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Bridgewater Associates 13F filings

Manager(s): Ray Dalio

Holdings as of 2025-09-30

Filed on 2025-11-13 under CIK 1350694

Company
Investment Type
Change
Value (x$1000)
increase or decrease
ISHARES TR CORE S&P500 ETF
4,049,300 sh
1,739,550 sh
75%
$2,710,196
$1,276,072
SPDR S&P 500 ETF TR TR UNIT
2,565,088 sh
-45,272 sh
-2%
$1,708,810
$95,999
Alphabet Inc
2,653,896 sh
-2,946,528 sh
-53%
$645,162
-$341,801
Microsoft Corp
1,097,169 sh
-617,888 sh
-36%
$568,279
-$284,808
Salesforce.com Inc
2,007,027 sh
367,426 sh
22%
$475,665
$28,562
NVIDIA Corp.
2,509,751 sh
-4,719,383 sh
-65%
$468,269
-$673,862
Lam Research COM
3,463,980 sh
1,825,200 sh
111%
$463,827
$304,308
Adobe Inc.
1,262,696 sh
533,198 sh
73%
$445,416
$163,188
Booking Holdings Inc
77,731 sh
1,578 sh
2%
$419,691
-$21,177
GE VERNOVA LLC COM
651,092 sh
-127,171 sh
-16%
$400,356
-$11,462
Uber Technologies Inc
3,604,153 sh
-129,616 sh
-3%
$353,099
$4,738
Johnson & Johnson
1,715,777 sh
-566,762 sh
-25%
$318,139
-$30,519
Meta Platforms, Inc.
416,919 sh
-390,154 sh
-48%
$306,177
-$289,516
Advanced Micro Devices Inc
1,794,801 sh
39,572 sh
2%
$290,381
$41,314
SEA LTD SPONSORED ADS
1,605,624 sh
732,692 sh
84%
$286,973
$147,356
Broadcom Inc
845,391 sh
-307,616 sh
-27%
$278,903
-$38,923
ServiceNow Inc
301,993 sh
106,419 sh
54%
$277,918
$76,852
Workday Inc
1,040,435 sh
591,561 sh
132%
$250,464
$142,734
Amazon.com Inc
1,124,977 sh
-118,948 sh
-10%
$247,011
-$25,894
Altria Group Inc
3,695,606 sh
-75,260 sh
-2%
$244,132
$23,046
Visa Inc
675,954 sh
31,640 sh
5%
$230,757
$1,993
Comcast Corp
6,859,625 sh
-1,848,458 sh
-21%
$215,529
-$95,262
WELLS FARGO CO NEW COM
2,535,209 sh
-1,013,639 sh
-29%
$212,501
-$71,833
Mastercard Inc
366,256 sh
240,358 sh
191%
$208,330
$137,583
Fiserv Inc
1,593,157 sh
331,284 sh
26%
$205,406
-$12,154
BRITISH AMERN TOB PLC SPONSORED ADR
3,742,720 sh
333,638 sh
10%
$198,664
$37,312
PayPal Holdings Inc.
2,822,331 sh
-325,210 sh
-10%
$189,266
-$44,659
Cigna Corp
603,139 sh
-13,487 sh
-2%
$173,855
-$29,989
ISHARES INC MSCI STH KOR ETF
2,035,116 sh
407,492 sh
25%
$163,013
$46,182
Expedia Group Inc
731,816 sh
-116,752 sh
-14%
$156,426
$13,290
HCA Healthcare Inc.
340,557 sh
-66,149 sh
-16%
$145,145
-$10,664
REDDIT INC COM
617,208 sh
617,208 sh
NEW
$141,952
$141,952
MetLife Inc.
1,658,039 sh
-231,863 sh
-12%
$136,573
-$15,413
VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF
2,475,609 sh
639,149 sh
35%
$134,128
$43,297
Pinterest Inc
4,126,366 sh
35,089 sh
1%
$132,745
-$13,968
Regeneron Pharmaceuticals Inc
235,381 sh
146,334 sh
164%
$132,348
$85,598
ISHARES TR MBS ETF
1,355,100 sh
-105,100 sh
-7%
$128,938
-$8,160
Citigroup Inc
1,261,052 sh
-370,340 sh
-23%
$127,997
-$10,867
Cisco Systems Inc
1,786,488 sh
-87,644 sh
-5%
$122,232
-$7,795
KLA Corp.
112,740 sh
87,719 sh
351%
$121,601
$99,189
NXP Semiconductors N.V.
523,933 sh
358,683 sh
217%
$119,315
$83,210
ROBINHOOD MKTS INC COM CL A
807,514 sh
807,514 sh
NEW
$115,620
$115,620
Oracle Corp
406,279 sh
72,565 sh
22%
$114,262
$41,302
ISHARES TR IBOXX INV CP ETF
962,500 sh
-72,800 sh
-7%
$107,290
-$6,189
Global Payments Inc
1,247,587 sh
-90,233 sh
-7%
$103,650
-$3,429
ARISTA NETWORKS INC EQTY
680,366 sh
-220,211 sh
-24%
$99,136
$6,998
eBay Inc.
1,065,049 sh
-833,990 sh
-44%
$96,866
-$44,536
Applied Materials Inc.
463,503 sh
463,503 sh
NEW
$94,898
$94,898
MANULIFE FINL CORP COM
2,990,651 sh
-141,806 sh
-5%
$93,197
-$6,757
GRAB HOLDINGS LIMITED CLASS A ORD Stock
15,177,046 sh
4,595,454 sh
43%
$91,366
$38,141
Amphenol Corp
735,263 sh
735,263 sh
NEW
$90,989
$90,989
CVS Health Corp.
1,193,144 sh
356,556 sh
43%
$89,951
$32,243
Hartford Financial Services Group
673,174 sh
-29,751 sh
-4%
$89,795
$615
QUALCOMM Inc.
531,040 sh
-232,706 sh
-30%
$88,344
-$33,290
Apple Inc
344,756 sh
-12,056 sh
-3%
$87,785
$14,578
ASML HOLDING N V N Y REGISTRY SHS
90,200 sh
78,789 sh
690%
$87,322
$78,177
DoorDash Inc.
312,161 sh
-405,921 sh
-57%
$84,905
-$92,109
Fortinet Inc
980,347 sh
-2,193,817 sh
-69%
$82,428
-$253,145
EQT Corp
1,506,494 sh
719,338 sh
91%
$81,998
$36,091
VeriSign Inc
289,239 sh
57,518 sh
25%
$80,863
$13,942
SHELL ADR EACH REP 2 ORD WI SPONSORED ADR
1,119,305 sh
-183,164 sh
-14%
$80,064
-$11,643
VALE S A SPONSORED ADS
7,339,531 sh
3,558,127 sh
94%
$79,707
$42,990
ISHARES INC CORE MSCI EMKT
1,161,001 sh
-16,022,308 sh
-93%
$76,533
-$954,981
Match Group Inc
2,038,086 sh
251,150 sh
14%
$71,985
$16,787
GoDaddy Inc
514,238 sh
107,706 sh
26%
$70,363
-$2,837
LPL Financial Holdings Inc
208,744 sh
16,089 sh
8%
$69,447
-$2,793
Intuit Inc
97,447 sh
38,609 sh
66%
$66,548
$20,205
Vistra Corp.
338,335 sh
-479,279 sh
-59%
$66,287
-$92,175
EMCOR Group Inc.
101,653 sh
-106,759 sh
-51%
$66,028
-$45,449
Talen Energy Corp COM
148,669 sh
-4,328 sh
-3%
$63,241
$18,754
Jabil Inc
288,182 sh
222,587 sh
339%
$62,584
$48,278
MERCADOLIBRE INC COM
26,486 sh
24,506 sh
1238%
$61,896
$56,721
Omnicom Group Inc
757,445 sh
286,639 sh
61%
$61,754
$27,884
Dynatrace Inc
1,256,083 sh
716,273 sh
133%
$60,857
$31,054
GSK PLC SPONSORED ADR ADR
1,401,755 sh
57,713 sh
4%
$60,500
$8,889
AbbVie Inc.
260,689 sh
-337,603 sh
-56%
$60,360
-$50,695
Universal Health Services Inc Clas
289,987 sh
-39,664 sh
-12%
$59,285
-$431
RYANAIR HLDGS PLC SPONSORED ADS
980,598 sh
509,307 sh
108%
$59,052
$31,873
Toll Brothers Inc
394,421 sh
-38,505 sh
-9%
$54,485
$5,075
NRG ENERGY INC COM NEW
325,652 sh
-491,430 sh
-60%
$52,739
-$78,468
TE CONNECTIVITY LTD SHS Stock
239,872 sh
23,051 sh
11%
$52,659
$16,088
STATE STR CORP COM
453,307 sh
-142,642 sh
-24%
$52,588
-$10,785
CREDO TECHNOLOGY GROUP HOLDI
352,806 sh
352,806 sh
NEW
$51,372
$51,372
Allstate Corp
237,267 sh
-160,466 sh
-40%
$50,929
-$29,139
Autodesk Inc
152,543 sh
152,543 sh
NEW
$48,458
$48,458
Charles Schwab Corp
483,300 sh
483,300 sh
NEW
$46,141
$46,141
Union Pacific Corp
194,619 sh
194,619 sh
NEW
$46,002
$46,002
Ovintiv Inc
1,112,765 sh
371,343 sh
50%
$44,933
$16,722
CITIZENS FINL GROUP INC COM
843,625 sh
427,491 sh
103%
$44,847
$26,225
BANK NEW YORK MELLON CORP COM
400,747 sh
-151,230 sh
-27%
$43,665
-$6,626
McKesson Corp.
56,139 sh
-91,630 sh
-62%
$43,370
-$64,912
Capital One Financial COM
203,729 sh
11,153 sh
6%
$43,309
$2,337
Merck & Co. Inc.
513,943 sh
-636,779 sh
-55%
$43,135
-$47,956
Comfort Systems USA Inc.
52,083 sh
39,837 sh
325%
$42,978
$36,412
Gilead Sciences Inc
385,364 sh
-280,936 sh
-42%
$42,775
-$31,098
Cardinal Health Inc
272,033 sh
13,278 sh
5%
$42,698
-$773
Hewlett Packard Enterprise Co.
1,710,453 sh
482,118 sh
39%
$42,009
$16,890
Monster Beverage Corp
611,218 sh
571,711 sh
1447%
$41,141
$38,666
Principal Financial Group Inc
491,533 sh
39,985 sh
9%
$40,753
$4,887
Prudential Financial Inc
389,326 sh
-100,194 sh
-20%
$40,389
-$12,205
Interactive Brokers Group Inc.
582,770 sh
582,770 sh
NEW
$40,100
$40,100
CHECK POINT SOFTWARE TECH LT ORD
193,044 sh
193,044 sh
NEW
$39,943
$39,943
Everest Re Group Ltd.
113,362 sh
-3,430 sh
-3%
$39,703
$11
ATLASSIAN CORPORATION CL A
248,449 sh
-43,375 sh
-15%
$39,677
-$19,590
General Electric Co.
131,528 sh
-12,473 sh
-9%
$39,566
$2,502
Celestica Inc - US Equity Option
159,194 sh
-468,951 sh
-75%
$39,222
-$58,838
American International Group Inc
497,445 sh
92,849 sh
23%
$39,069
$4,440
Monday.Com Ltd Equities
199,430 sh
199,430 sh
NEW
$38,628
$38,628
BorgWarner Inc.
875,404 sh
248,515 sh
40%
$38,483
$17,495
Costco Wholesale Corp
41,494 sh
16,434 sh
66%
$38,408
$13,600
Seagate Technology Holdings plc
162,108 sh
136,225 sh
526%
$38,267
$34,531
Regions Financial Corp. COM
1,448,944 sh
766,058 sh
112%
$38,209
$22,148
Vertiv Holdings Co
250,414 sh
164,398 sh
191%
$37,777
$26,732
NetApp Inc
318,188 sh
10,060 sh
3%
$37,693
$4,862
COREWEAVE INC COM CL A
270,556 sh
270,556 sh
NEW
$37,026
$37,026
NortonLifeLock Inc.
1,297,981 sh
8,791 sh
1%
$36,850
-$1,052
Zillow Group Inc.
475,922 sh
-170,934 sh
-26%
$36,670
-$8,642
Halozyme Therapeutics Inc
487,081 sh
487,081 sh
NEW
$35,723
$35,723
ASTRAZENECA PLC SPONSORED ADR
462,859 sh
-158,045 sh
-25%
$35,511
-$7,878
Marathon Petroleum Corp
183,639 sh
57,146 sh
45%
$35,395
$14,383
Nutanix Inc
474,489 sh
-510,759 sh
-52%
$35,297
-$40,015
Coterra Energy
1,482,757 sh
-155,472 sh
-9%
$35,067
-$6,511
Exelixis Inc
842,965 sh
822,100 sh
3940%
$34,814
$33,894
DT Midstream Inc.
306,829 sh
50,922 sh
20%
$34,690
$6,563
Devon Energy Corp
979,291 sh
519,964 sh
113%
$34,334
$19,723
Unum
436,084 sh
-125,800 sh
-22%
$33,919
-$11,459
TRUIST FINANCIAL CORP COM
732,520 sh
515,936 sh
238%
$33,491
$24,180
Etsy Inc
504,438 sh
418,089 sh
484%
$33,490
$29,159
UiPath Inc.
2,495,625 sh
97,357 sh
4%
$33,391
$2,693
Newmont Goldcorp
387,317 sh
-377,505 sh
-49%
$32,655
-$11,904
Globe Life Inc.
227,937 sh
14,617 sh
7%
$32,588
$6,074
Medtronic Plc
338,201 sh
136,035 sh
67%
$32,210
$14,587
DraftKings Inc
852,495 sh
446,685 sh
110%
$31,883
$14,478
WEBSTER FINL CORP CONN COM
535,348 sh
336,219 sh
169%
$31,821
$20,949
M & T BK CORP COM
160,727 sh
75,219 sh
88%
$31,763
$15,175
Owens Corning
222,087 sh
178,228 sh
406%
$31,416
$25,385
Netflix Inc
26,112 sh
23,492 sh
897%
$31,306
$27,797
T-Mobile US Inc.
129,991 sh
19,756 sh
18%
$31,117
$4,852
CORPAY INC
107,423 sh
31,779 sh
42%
$30,944
$5,844
ZIONS BANCORPORATION N A COM
545,367 sh
371,230 sh
213%
$30,857
$21,812
Ameriprise Financial Inc.
62,669 sh
23,472 sh
60%
$30,786
$9,865
H&R Block Inc.
606,262 sh
-26,556 sh
-4%
$30,659
-$4,076
Marvell Technology Inc.
358,699 sh
-42,839 sh
-11%
$30,156
-$923
BANK AMER CORP COM
571,084 sh
571,084 sh
NEW
$29,462
$29,462
Antero Resources Corp
867,070 sh
239,671 sh
38%
$29,099
$3,827
DocuSign Inc.
403,142 sh
238,966 sh
146%
$29,063
$16,275
Arch Capital Group Ltd.
317,694 sh
123,369 sh
63%
$28,824
$11,131
Teradyne Inc
207,426 sh
207,426 sh
NEW
$28,550
$28,550
Walmart Inc
275,976 sh
29,979 sh
12%
$28,442
$4,388
RenaissanceRe Holdings Ltd.
111,939 sh
111,939 sh
NEW
$28,425
$28,425
Tapestry Inc
250,693 sh
-388,836 sh
-61%
$28,383
-$27,774
Cognizant Technology Solutions Cor
420,493 sh
34,347 sh
9%
$28,202
-$1,929
Equinix Inc.
35,892 sh
-27,454 sh
-43%
$28,112
-$22,278
Equitable Holdings Inc
549,951 sh
516,302 sh
1534%
$27,927
$26,039
Schlumberger Ltd
811,712 sh
811,712 sh
NEW
$27,899
$27,899
Crocs Inc
332,750 sh
300,941 sh
946%
$27,801
$24,579
PulteGroup Inc
206,085 sh
-830,280 sh
-80%
$27,230
-$82,065
First Citizens BancShares COM
15,133 sh
15,133 sh
NEW
$27,075
$27,075
Canadian Pacific Kansas City C COM
362,629 sh
71,042 sh
24%
$27,012
$3,898
Gentex Corp
952,358 sh
-235,416 sh
-20%
$26,952
$833
GULFPORT ENERGY COM
146,973 sh
66,875 sh
83%
$26,599
$10,486
Gitlab Inc.
588,567 sh
419,575 sh
248%
$26,533
$18,910
Globus Medical Inc
461,091 sh
24,452 sh
6%
$26,407
$637
BROOKFIELD CORP CL A LTD VT SH Stock
384,727 sh
-126,028 sh
-25%
$26,403
-$5,144
OGE ENERGY CORP COM
563,723 sh
122,744 sh
28%
$26,083
$6,512
MAPLEBEAR INC COM
708,369 sh
708,369 sh
NEW
$26,040
$26,040
AMDOCS LTD SHS
314,377 sh
-4,291 sh
-1%
$25,795
-$3,280
COMERICA INC COM
371,839 sh
205,852 sh
124%
$25,478
$15,577
Corcept Therapeutics Inc
305,946 sh
305,946 sh
NEW
$25,427
$25,427
Travelers Cos. Inc.
90,458 sh
50 sh
0%
$25,258
$1,070
Philip Morris International Inc
154,315 sh
-39,279 sh
-20%
$25,030
-$10,229
Verizon Communications Inc
563,735 sh
505,015 sh
860%
$24,776
$22,235
Cameco Corp COM
293,928 sh
-72,220 sh
-20%
$24,663
-$2,493
PROSPERITY BANCSHARES INC COM
366,209 sh
264,244 sh
259%
$24,298
$17,136
Centene Corp
676,259 sh
-801,413 sh
-54%
$24,129
-$56,079
Evercore Inc
71,283 sh
66,540 sh
1403%
$24,045
$22,764
EOG Resources Inc
213,776 sh
75,077 sh
54%
$23,969
$7,379
Veeva Systems Inc
79,961 sh
50,171 sh
168%
$23,821
$15,242
Synchrony Financial cs
335,123 sh
87,870 sh
36%
$23,810
$7,308
TECHNIPFMC PLC
602,628 sh
-209,917 sh
-26%
$23,774
-$4,210
Vodafone Group PLC ADR COM
2,047,504 sh
1,325,929 sh
184%
$23,751
$16,059
Dropbox Inc
785,486 sh
497,436 sh
173%
$23,730
$15,492
Ciena Corp
161,707 sh
113,751 sh
237%
$23,556
$19,656
Allison Transmission Holdings Inc
273,666 sh
82,075 sh
43%
$23,229
$5,030
SENTINELONE INC CL A
1,308,827 sh
1,094,400 sh
510%
$23,048
$19,128
Lockheed Martin Corp
45,234 sh
45,234 sh
NEW
$22,581
$22,581
Airbnb Inc.
183,783 sh
41,975 sh
30%
$22,315
$3,548
SEI Investments Co.
262,502 sh
132,915 sh
103%
$22,273
$10,628
GLOBAL X FDS GLOBAL X URANIUM
458,572 sh
-117,816 sh
-20%
$21,860
-$510
Procter & Gamble Co.
141,455 sh
8,546 sh
6%
$21,735
$560
SUNCOR ENERGY INC NEW COM
508,612 sh
10,994 sh
2%
$21,289
$2,686
Roku Inc
209,308 sh
119,955 sh
134%
$20,958
$13,105
POPULAR INC COM NEW
163,842 sh
158,393 sh
2907%
$20,810
$20,209
Arrow Electronics Inc
170,949 sh
43,126 sh
34%
$20,685
$4,397
Autoliv Inc
164,989 sh
112,578 sh
215%
$20,376
$14,511
BioMarin Pharmaceutical Inc.
375,683 sh
147,937 sh
65%
$20,347
$7,828
FNB CORP PA COM
1,254,955 sh
1,254,955 sh
NEW
$20,217
$20,217
Barrick Mining Corp - US Equity Option
611,999 sh
-1,081,809 sh
-64%
$20,060
-$15,203
Bristol-Myers Squibb Co.
444,032 sh
-2,259,692 sh
-84%
$20,026
-$105,129
Curtiss-Wright Corp.
36,194 sh
13,231 sh
58%
$19,651
$8,432
ASSOCIATED BANC CORP COM
762,960 sh
349,336 sh
84%
$19,616
$9,528
Palantir Technologies Inc.
107,333 sh
107,333 sh
NEW
$19,580
$19,580
Par Pacific Holdings Inc
551,560 sh
92,180 sh
20%
$19,536
$7,349
Charter Communications Inc
70,746 sh
-365,595 sh
-84%
$19,463
-$158,918
APTIV HOLDINGS LTD EQTY
225,541 sh
225,541 sh
NEW
$19,446
$19,446
Elastic NV
229,364 sh
164,141 sh
252%
$19,379
$13,879
CANADIAN NATL RY CO COM
203,220 sh
24,930 sh
14%
$19,168
$628
OPEN TEXT CORP COM
510,541 sh
21,675 sh
4%
$19,087
$4,831
Reinsurance Group of America Inc.
99,072 sh
-3,062 sh
-3%
$19,035
-$1,224
SUN LIFE FINL INC COM
316,445 sh
-11,257 sh
-3%
$19,006
-$2,755
Chubb Ltd
67,082 sh
52,422 sh
358%
$18,934
$14,687
Shift4 Payments, Inc.
243,236 sh
-2,814 sh
-1%
$18,826
-$5,560
Cal-Maine Foods Inc.
199,418 sh
61,578 sh
45%
$18,765
$5,032
Genpact Ltd
445,489 sh
-80,183 sh
-15%
$18,662
-$4,473
US Foods Holding Corp.
243,344 sh
156,122 sh
179%
$18,645
$11,928
McDonald's Corp.
61,259 sh
20,811 sh
51%
$18,616
$6,798
Boyd Gaming Corp
215,006 sh
67,595 sh
46%
$18,587
$7,055
Zoetis Inc
125,592 sh
61,567 sh
96%
$18,377
$8,392
Rambus Inc
175,114 sh
-51,755 sh
-23%
$18,247
$3,723
Palo Alto Networks Inc
89,094 sh
-1,444,198 sh
-94%
$18,141
-$295,632
EURONET WORLDWIDE INC COM
206,526 sh
15,441 sh
8%
$18,135
-$1,237
PVH Corp
216,389 sh
33,071 sh
18%
$18,127
$5,551
ZoomInfo Technologies Inc.
1,640,814 sh
1,101,383 sh
204%
$17,901
$12,442
Elevance Health
55,203 sh
-3,634 sh
-6%
$17,837
-$5,048
Chipotle Mexican Grill Inc
449,993 sh
373,929 sh
492%
$17,635
$13,364
AppLovin Corp.
24,454 sh
17,039 sh
230%
$17,571
$14,975
CULLEN FROST BANKERS INC COM
138,524 sh
73,402 sh
113%
$17,561
$9,190
TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS
864,782 sh
864,782 sh
NEW
$17,469
$17,469
Medpace Holdings Inc
33,230 sh
33,230 sh
NEW
$17,086
$17,086
PNC FINL SVCS GROUP INC COM
84,142 sh
40,715 sh
94%
$16,907
$8,811
Old Republic International Corp
397,979 sh
275,148 sh
224%
$16,902
$12,180
Leidos Holdings Inc
89,101 sh
-89,090 sh
-50%
$16,837
-$11,274
Coca-Cola Co.
251,459 sh
31,552 sh
14%
$16,677
$1,119
Standardaero Inc EQTY
610,751 sh
180,223 sh
42%
$16,667
$3,041
Anglogold Ashanti Plc Common / Ordinary Stock
232,754 sh
-242,885 sh
-51%
$16,370
-$5,305
Duolingo Inc.
50,576 sh
50,576 sh
NEW
$16,277
$16,277
CADENCE BANK COM Stock
429,634 sh
429,634 sh
NEW
$16,128
$16,128
FLEX LTD ORD
277,572 sh
-30,170 sh
-10%
$16,091
$729
AGNICO EAGLE MINES LTD COM
95,322 sh
-222,395 sh
-70%
$16,067
-$21,719
GOLD FIELDS LTD NEW SPONSORED ADR
381,952 sh
-620,927 sh
-62%
$16,027
-$7,711
Abbott Laboratories
119,235 sh
62,345 sh
110%
$15,970
$8,232
TEXAS CAPITAL BANCSHARES INC COM
188,837 sh
58,670 sh
45%
$15,962
$5,627
Jack Henry & Associates Inc.
106,297 sh
64,874 sh
157%
$15,831
$8,368
AmerisourceBergen Corp
50,326 sh
-62,580 sh
-55%
$15,728
-$18,127
Gartner Inc
59,780 sh
59,780 sh
NEW
$15,714
$15,714
COREBRIDGE FINL INC COM
488,321 sh
488,321 sh
NEW
$15,651
$15,651
Boston Scientific Corp
159,729 sh
111,445 sh
231%
$15,594
$10,408
NORTHWESTERN CORP COM NEW
264,141 sh
11,388 sh
5%
$15,481
$2,515
Alnylam Pharmaceuticals Inc
33,911 sh
33,911 sh
NEW
$15,463
$15,463
Lantheus Holdings Inc
296,918 sh
-100,934 sh
-25%
$15,229
-$17,339
KEYCORP NEW COM
812,444 sh
49,414 sh
6%
$15,185
$1,893
F5 Networks Inc
46,868 sh
23,910 sh
104%
$15,147
$8,390
Vertex Pharmaceuticals Inc
38,324 sh
3,934 sh
11%
$15,009
-$301
VIATRIS INC COM Stock
1,512,056 sh
1,170,635 sh
343%
$14,969
$11,920
Sprouts Farmers Market Inc
134,955 sh
-56,073 sh
-29%
$14,683
-$16,768
Federated Hermes Inc.
279,126 sh
119,755 sh
75%
$14,495
$7,432
Republic Services Inc
63,062 sh
63,062 sh
NEW
$14,471
$14,471
SSR MNG INC COM
591,626 sh
564,551 sh
2085%
$14,448
$14,103
Twilio Inc
142,330 sh
-234,048 sh
-62%
$14,246
-$32,560
Toast Inc.
389,353 sh
-304,723 sh
-44%
$14,215
-$16,526
Edwards Lifesciences Corp
180,307 sh
-264,617 sh
-59%
$14,022
-$20,776
Abercrombie & Fitch Co.
162,357 sh
58,838 sh
57%
$13,890
$5,313
FRESHWORKS INC CLASS A COM
1,169,745 sh
18,250 sh
2%
$13,768
-$3,401
BP PLC SPONSORED ADR
398,606 sh
-125,113 sh
-24%
$13,736
-$1,939
Keysight Technologies Inc
78,445 sh
-76,267 sh
-49%
$13,722
-$11,629
WillScot Mobile Mini Holdings Corp.
649,954 sh
37,493 sh
6%
$13,721
-$3,060
Woodward Inc
54,267 sh
10,826 sh
25%
$13,714
$3,067
KINROSS GOLD CORP COM
551,327 sh
-540,124 sh
-49%
$13,686
-$3,336
S&P Global Inc.
27,956 sh
-36,197 sh
-56%
$13,606
-$20,221
Trane Technologies plc
32,227 sh
31,635 sh
5344%
$13,599
$13,340
ISHARES INC MSCI MEXICO ETF
197,575 sh
85,531 sh
76%
$13,477
$6,692
Primerica Inc
48,178 sh
26,379 sh
121%
$13,374
$7,408
Lincoln National Corp
330,768 sh
-163,116 sh
-33%
$13,340
-$3,748
Academy Sports & Outdoors Inc.
266,122 sh
166,997 sh
168%
$13,311
$8,869
Wabtec Corp.
66,396 sh
64,866 sh
4240%
$13,310
$12,990
Lear Corp
132,249 sh
100,049 sh
311%
$13,306
$10,248
Allegion Plc
74,883 sh
34,502 sh
85%
$13,281
$7,461
Qorvo Inc.
144,520 sh
114,292 sh
378%
$13,163
$10,596
Corteva Inc
191,216 sh
137,110 sh
253%
$12,932
$8,899
Travel + Leisure Co.
217,052 sh
99,306 sh
84%
$12,912
$6,835
Okta Inc
140,562 sh
-91,068 sh
-39%
$12,890
-$10,266
Hilton Worldwide Holdings Inc
49,487 sh
49,487 sh
NEW
$12,839
$12,839
Ecolab Inc
46,744 sh
46,744 sh
NEW
$12,801
$12,801
Willis Towers Watson Plc
36,905 sh
4,541 sh
14%
$12,749
$2,829
MADRIGAL PHARMACEUTICALS INC COM
27,785 sh
27,785 sh
NEW
$12,744
$12,744
Primoris Services Corp
91,963 sh
91,963 sh
NEW
$12,629
$12,629
Carlisle Cos. Inc.
38,255 sh
-42,950 sh
-53%
$12,584
-$17,738
DuPont de Nemours Inc.
161,394 sh
161,394 sh
NEW
$12,573
$12,573
Pegasystems Inc
218,492 sh
53,932 sh
33%
$12,563
$3,655
Marsh & McLennan Cos. Inc.
62,067 sh
62,067 sh
NEW
$12,508
$12,508
Remitly Global Inc.
762,558 sh
-67,059 sh
-8%
$12,430
-$3,142
ROBLOX Corp.
89,728 sh
89,728 sh
NEW
$12,429
$12,429
TG THERAPEUTICS INC COM
342,149 sh
342,149 sh
NEW
$12,360
$12,360
Adtalem Global Education Inc
79,951 sh
-101,927 sh
-56%
$12,348
-$10,792
American Express Co.
37,073 sh
37,073 sh
NEW
$12,314
$12,314
Assurant Inc
56,582 sh
56,582 sh
NEW
$12,256
$12,256
Assured Guaranty Ltd
144,023 sh
23,371 sh
19%
$12,192
$1,683
Arthur J Gallagher
39,190 sh
39,190 sh
NEW
$12,139
$12,139
Automatic Data Processing Inc
41,308 sh
41,308 sh
NEW
$12,124
$12,124
Kirby Corp
144,576 sh
144,576 sh
NEW
$12,065
$12,065
SM Energy Co.
482,150 sh
133,116 sh
38%
$12,039
$3,414
ADT Inc
1,380,674 sh
-534,088 sh
-28%
$12,026
-$4,192
SYNOVUS FINL CORP COM NEW
244,005 sh
244,005 sh
NEW
$11,976
$11,976
HubSpot Inc.
25,504 sh
7,450 sh
41%
$11,931
$1,882
InterDigital Inc.
34,540 sh
9,645 sh
39%
$11,924
$6,342
Upwork Inc
641,059 sh
641,059 sh
NEW
$11,904
$11,904
Jackson Financial Inc. Common Stock
117,206 sh
117,206 sh
NEW
$11,865
$11,865
PepsiCo Inc.
83,180 sh
5,570 sh
7%
$11,682
$1,434
Lamb Weston Holdings Inc
200,189 sh
192,412 sh
2474%
$11,627
$11,224
Parker-Hannifin Corp.
15,283 sh
15,283 sh
NEW
$11,587
$11,587
SCORPIO TANKERS INC SHS
204,078 sh
204,078 sh
NEW
$11,439
$11,439
nVent Electric plc
115,837 sh
115,837 sh
NEW
$11,426
$11,426
Teleflex Inc
92,558 sh
87,279 sh
1653%
$11,325
$10,700
Honeywell International Inc
53,734 sh
53,734 sh
NEW
$11,311
$11,311
Appfolio Inc
40,594 sh
40,594 sh
NEW
$11,190
$11,190
Incyte Corp
131,284 sh
-262,800 sh
-67%
$11,134
-$15,703
Yelp Inc
355,923 sh
56,707 sh
19%
$11,105
$851
Allegheny Technologies Inc
136,458 sh
136,458 sh
NEW
$11,099
$11,099
Taylor Morrison Home Corp
164,891 sh
-191,532 sh
-54%
$10,884
-$11,008
Voya Financial Inc
145,224 sh
6,936 sh
5%
$10,863
$1,045
Marriott International Inc
41,321 sh
41,321 sh
NEW
$10,762
$10,762
Ziff Davis
280,175 sh
280,175 sh
NEW
$10,675
$10,675
American Financial Group Inc
72,807 sh
38,715 sh
114%
$10,609
$6,306
Progressive Corp
42,709 sh
42,709 sh
NEW
$10,547
$10,547
Electronic Arts Inc
51,993 sh
51,993 sh
NEW
$10,487
$10,487
Zoom Video Communications Inc.
126,882 sh
1,643 sh
1%
$10,468
$702
Adient Plc
432,443 sh
432,443 sh
NEW
$10,413
$10,413
RingCentral Inc.
367,337 sh
367,337 sh
NEW
$10,410
$10,410
Virtu Financial Inc
287,812 sh
79,635 sh
38%
$10,217
$893
Sterling Construction Inc
29,965 sh
29,965 sh
NEW
$10,179
$10,179
Sun Country Airlines Holdings Inc.
861,477 sh
-33,515 sh
-4%
$10,174
-$342
FedEx Corp.
43,132 sh
43,132 sh
NEW
$10,171
$10,171
CNO Financial Group Inc.
252,391 sh
-17,473 sh
-6%
$9,982
-$429
OneMain Holdings, Inc. COM
173,501 sh
125,780 sh
264%
$9,796
$7,076
Sensata Technologies Holding Plc
318,262 sh
207,633 sh
188%
$9,723
$6,392
Cna Financial Corp
208,418 sh
172,352 sh
478%
$9,683
$8,005
Colgate-Palmolive Co.
120,680 sh
74,730 sh
163%
$9,647
$5,470
CommScope Holding Co. Inc.
622,782 sh
622,782 sh
NEW
$9,641
$9,641
Grand Canyon Education Inc
43,829 sh
-6,339 sh
-13%
$9,621
$139
PINNACLE WEST CAP CORP COM
106,291 sh
72,588 sh
215%
$9,530
$6,515
Otis Worldwide Corp
103,849 sh
103,849 sh
NEW
$9,495
$9,495
Cheniere Energy Inc
40,212 sh
31,852 sh
381%
$9,449
$7,413
Alaska Air Group Inc
189,225 sh
11,333 sh
6%
$9,420
$618
Littelfuse Inc
35,399 sh
35,399 sh
NEW
$9,169
$9,169
Group 1 Automotive Inc.
20,939 sh
6,823 sh
48%
$9,161
$2,996
Block Inc.
125,381 sh
-1,611,602 sh
-93%
$9,061
-$108,932
Graco Inc
105,490 sh
63,730 sh
153%
$8,962
$5,372
Fox Corp.
142,041 sh
-1,038,382 sh
-88%
$8,957
-$57,194
Accenture Plc
36,163 sh
36,163 sh
NEW
$8,918
$8,918
Analog Devices Inc
36,263 sh
36,263 sh
NEW
$8,910
$8,910
Motorola Solutions Inc
19,429 sh
19,429 sh
NEW
$8,885
$8,885
Range Resources Corp
234,698 sh
234,698 sh
NEW
$8,834
$8,834
TORONTO DOMINION BK ONT COM NEW
110,260 sh
50,585 sh
85%
$8,818
$4,438
Molina Healthcare Inc
46,053 sh
12,746 sh
38%
$8,813
-$1,109
SYNNEX Corp.
53,518 sh
34,233 sh
178%
$8,764
$6,147
ResMed Inc.
31,982 sh
26,728 sh
509%
$8,754
$7,398
URANIUM ENERGY CORP COM
655,749 sh
-672,556 sh
-51%
$8,748
-$284
NEXGEN ENERGY LTD COM
977,277 sh
-312,473 sh
-24%
$8,747
-$204
Axis Capital Holdings Ltd
91,190 sh
-172,547 sh
-65%
$8,736
-$18,645
ROCKET LAB CORP Common Stock
177,334 sh
177,334 sh
NEW
$8,496
$8,496
Dover Corp
50,875 sh
48,552 sh
2090%
$8,487
$8,061
Sanmina Corp
73,453 sh
-7,713 sh
-10%
$8,455
$515
Hanover Insurance Group Inc
46,495 sh
5,755 sh
14%
$8,445
$1,524
SMITHFIELD FOODS INC COMMON STOCK
357,585 sh
357,585 sh
NEW
$8,396
$8,396
Onto Innovation Inc.
64,021 sh
-126,593 sh
-66%
$8,273
-$10,966
DENISON MINES CORP COM
2,964,587 sh
-1,652,421 sh
-36%
$8,153
-$250
Dexcom Inc
120,495 sh
-133,316 sh
-53%
$8,108
-$14,047
Royal Caribbean Cruises Ltd
25,050 sh
25,050 sh
NEW
$8,106
$8,106
HANCOCK WHITNEY CORPORATION COM
128,877 sh
128,877 sh
NEW
$8,069
$8,069
CF Industries Holdings Inc.
89,820 sh
-139,763 sh
-61%
$8,057
-$13,065
Carrier Global Corp
134,658 sh
131,442 sh
4087%
$8,039
$7,804
Zscaler Inc
26,776 sh
26,776 sh
NEW
$8,024
$8,024
Bath and Body Works, Inc
311,313 sh
48,421 sh
18%
$8,019
$143
Carpenter Technology Corp
32,587 sh
-21,801 sh
-40%
$8,001
-$7,031
Ralph Lauren Corp
25,463 sh
25,463 sh
NEW
$7,984
$7,984
McCormick & Co
119,081 sh
111,745 sh
1523%
$7,968
$7,412
Eli Lilly
10,441 sh
10,441 sh
NEW
$7,966
$7,966
Guidewire Software Inc
34,375 sh
34,375 sh
NEW
$7,901
$7,901
Booz Allen Hamilton Holding Corp C
79,009 sh
27,567 sh
54%
$7,897
$2,540
Celsius Holdings Inc
137,349 sh
127,940 sh
1360%
$7,896
$7,460
Valero Energy Corp
46,334 sh
46,334 sh
NEW
$7,889
$7,889
Mondelez International Inc
124,708 sh
51,430 sh
70%
$7,791
$2,849
Williams Cos. Inc.
122,541 sh
122,541 sh
NEW
$7,763
$7,763
VALLEY NATL BANCORP COM
730,174 sh
730,174 sh
NEW
$7,740
$7,740
NOVO-NORDISK A S ADR
138,947 sh
138,947 sh
NEW
$7,710
$7,710
NATWEST GROUP PLC SPONS ADR ADR
544,652 sh
487,819 sh
858%
$7,707
$6,903
SIBANYE STILLWATER LTD ADR A D COMMON STOCK
675,028 sh
-122,688 sh
-15%
$7,587
$1,827
Concentrix Corp COM
164,338 sh
21,488 sh
15%
$7,584
$34
Aecom
58,075 sh
-46,730 sh
-45%
$7,577
-$4,251
Cirrus Logic Inc
60,423 sh
60,423 sh
NEW
$7,570
$7,570
COPA HOLDINGS SA CL A
63,684 sh
36,711 sh
136%
$7,567
$4,601
Urban Outfitters Inc
104,747 sh
104,747 sh
NEW
$7,482
$7,482
Mueller Industries Inc
73,820 sh
73,820 sh
NEW
$7,464
$7,464
NATIONAL FUEL GAS CO N J COM
80,506 sh
-140,269 sh
-64%
$7,436
-$11,266
Sonoco Products Co.
171,851 sh
171,851 sh
NEW
$7,405
$7,405
SMITH & NEPHEW PLC SPDN ADR NEW
203,993 sh
126,678 sh
164%
$7,403
$5,035
Enphase Energy Inc
209,056 sh
209,056 sh
NEW
$7,398
$7,398
Encompass Health Corp
57,798 sh
54,535 sh
1671%
$7,342
$6,942
Winmark Corp
14,731 sh
14,731 sh
NEW
$7,333
$7,333
Restaurant Brands International Inc
113,911 sh
100,901 sh
776%
$7,306
$6,445
Manhattan Associates Inc
35,163 sh
35,163 sh
NEW
$7,208
$7,208
Eastern Bankshares Inc. COM
396,357 sh
396,357 sh
NEW
$7,194
$7,194
Snowflake Inc.
31,773 sh
22,563 sh
245%
$7,166
$5,105
CommVault Systems Inc.
37,834 sh
5,919 sh
19%
$7,142
$1,578
Organon & Co.
668,687 sh
480,251 sh
255%
$7,142
$5,318
Hims & Hers Health Inc.
125,781 sh
-472,248 sh
-79%
$7,134
-$22,678
KKR & Co. Inc.
54,773 sh
51,149 sh
1411%
$7,118
$6,636
Science Applications International
70,179 sh
37,988 sh
118%
$6,974
$3,349
EQUINOR ASA SPONSORED ADR
284,620 sh
-642,968 sh
-69%
$6,939
-$16,381
IES Holdings Inc.
17,354 sh
17,354 sh
NEW
$6,901
$6,901
LKQ Corp
225,803 sh
225,803 sh
NEW
$6,896
$6,896
CONSOLIDATED EDISON INC COM
68,291 sh
68,291 sh
NEW
$6,865
$6,865
Lennox International Inc
12,908 sh
12,908 sh
NEW
$6,833
$6,833
Tripadvisor Inc
419,420 sh
419,420 sh
NEW
$6,820
$6,820
INDEPENDENT BANK CORP MASS COM
98,586 sh
98,586 sh
NEW
$6,819
$6,819
AMETEK Inc.
36,197 sh
36,197 sh
NEW
$6,805
$6,805
Five9 Inc.
281,193 sh
281,193 sh
NEW
$6,805
$6,805
Howmet Aerospace Inc.
34,630 sh
34,630 sh
NEW
$6,795
$6,795
Sarepta Therapeutics Inc
352,275 sh
352,275 sh
NEW
$6,788
$6,788
United Therapeutics Corp
16,065 sh
-179,053 sh
-92%
$6,735
-$49,332
Cboe Global Markets Inc
27,323 sh
27,323 sh
NEW
$6,701
$6,701
NEXTRACKER INC COM CL A
89,486 sh
70,070 sh
361%
$6,621
$5,565
Inspire Medical Systems Inc
88,952 sh
-52,695 sh
-37%
$6,600
-$11,782
Celanese Corp.
155,755 sh
155,755 sh
NEW
$6,554
$6,554
TechnipFMC Plc
29,609 sh
29,609 sh
NEW
$6,539
$6,539
Lincoln Electric Holdings Inc
27,665 sh
27,665 sh
NEW
$6,524
$6,524
Insulet Corp
21,094 sh
18,793 sh
817%
$6,512
$5,789
Acuity Brands Inc
18,781 sh
10,470 sh
126%
$6,468
$3,988
Sherwin-Williams Co.
18,673 sh
18,673 sh
NEW
$6,466
$6,466
Deckers Outdoor Corp
63,547 sh
63,547 sh
NEW
$6,442
$6,442
GLOBANT S A COM
112,186 sh
112,186 sh
NEW
$6,437
$6,437
GEO Group Inc.
313,342 sh
313,342 sh
NEW
$6,420
$6,420
Crown Holdings Inc
66,348 sh
54,608 sh
465%
$6,409
$5,200
Western Union Co.
800,556 sh
383,722 sh
92%
$6,396
$2,886
US BANCORP DEL COM NEW
132,255 sh
132,255 sh
NEW
$6,392
$6,392
New York Times Co.
111,211 sh
104,710 sh
1611%
$6,384
$6,020
BANKUNITED INC COM
166,958 sh
166,958 sh
NEW
$6,371
$6,371
Wayfair Inc
70,817 sh
70,817 sh
NEW
$6,326
$6,326
MILLICOM INTL CELLULAR SA COM STK
129,443 sh
-89,357 sh
-41%
$6,283
-$1,915
Blackstone Group LP
36,518 sh
34,051 sh
1380%
$6,239
$5,870
PUBLIC SVC ENTERPRISE GRP IN COM
74,757 sh
74,757 sh
NEW
$6,239
$6,239
Western Digital Corp
51,963 sh
51,963 sh
NEW
$6,239
$6,239
OLD NATL BANCORP IND COM
284,004 sh
284,004 sh
NEW
$6,234
$6,234
YANDEX N V SHS CLASS A
55,445 sh
55,445 sh
NEW
$6,225
$6,225
SPROTT URANIUM MINERS ETF ETF
102,300 sh
-28,801 sh
-22%
$6,182
-$102
Agilent Technologies Inc
47,697 sh
47,697 sh
NEW
$6,122
$6,122
KODIAK GAS SVCS INC
164,778 sh
164,778 sh
NEW
$6,092
$6,092
Tenet Healthcare Corp
29,990 sh
-57,173 sh
-66%
$6,089
-$9,252
ON HLDG AG NAMEN AKT A Stock
142,736 sh
142,736 sh
NEW
$6,045
$6,045
Armstrong World Industries Inc
30,674 sh
14,050 sh
85%
$6,012
$3,312
BJ's Wholesale Club Holdings Inc.
64,414 sh
57,006 sh
770%
$6,007
$5,208
Nasdaq Inc
67,601 sh
67,601 sh
NEW
$5,979
$5,979
Pure Storage Inc
71,170 sh
71,170 sh
NEW
$5,965
$5,965
LIBERTY MEDIA CORP DEL COM LBTY ONE S C COM
56,988 sh
56,988 sh
NEW
$5,952
$5,952
Dycom Industries Inc
20,269 sh
20,269 sh
NEW
$5,914
$5,914
Stride Inc.
39,538 sh
21,175 sh
115%
$5,889
$3,223
Harmony Biosciences Holdings Inc. COM
211,526 sh
211,526 sh
NEW
$5,830
$5,830
Fastenal Co.
118,830 sh
118,830 sh
NEW
$5,827
$5,827
WIX COM LTD SHS
32,690 sh
32,690 sh
NEW
$5,807
$5,807
Keurig Dr Pepper Inc.
227,359 sh
154,324 sh
211%
$5,800
$3,385
Payoneer Global Inc.
953,754 sh
953,754 sh
NEW
$5,770
$5,770
FULTON FINL CORP PA COM
309,297 sh
169,412 sh
121%
$5,762
$3,238
Moderna Inc
222,210 sh
222,210 sh
NEW
$5,740
$5,740
Carnival Corp
198,182 sh
198,182 sh
NEW
$5,729
$5,729
Kratos Defense & Security Solutions Inc.
62,621 sh
62,621 sh
NEW
$5,722
$5,722
Starbucks Corp
67,596 sh
3,133 sh
5%
$5,719
-$188
Dentsply Sirona Inc.
450,422 sh
360,295 sh
400%
$5,716
$4,285
American Tower Corp.
29,670 sh
26,203 sh
756%
$5,706
$4,940
Emerson Electric Co.
43,426 sh
34,554 sh
389%
$5,697
$4,514
TriNet Group Inc.
84,129 sh
84,129 sh
NEW
$5,627
$5,627
American Eagle Outfitters Inc
328,661 sh
328,661 sh
NEW
$5,623
$5,623
Biogen Inc
39,983 sh
39,983 sh
NEW
$5,601
$5,601
A O Smith Corp
76,251 sh
76,251 sh
NEW
$5,598
$5,598
Raymond James Financial Inc.
32,402 sh
32,402 sh
NEW
$5,593
$5,593
PBF Energy Inc
184,166 sh
-88,880 sh
-33%
$5,556
-$361
CSX Corp
154,988 sh
35,405 sh
30%
$5,504
$1,602
Watts Water Technologies Inc
19,626 sh
19,626 sh
NEW
$5,481
$5,481
COMMERCE BANCSHARES INC COM
91,635 sh
91,635 sh
NEW
$5,476
$5,476
Fidelity National Information Services Inc.
82,309 sh
-51,558 sh
-39%
$5,427
-$5,471
Intuitive Surgical Inc
12,119 sh
357 sh
3%
$5,420
-$972
Casey's General Stores Inc.
9,583 sh
7,497 sh
359%
$5,417
$4,353
BOK Financial COM
48,483 sh
48,483 sh
NEW
$5,403
$5,403
Visteon Corp
45,021 sh
45,021 sh
NEW
$5,396
$5,396
BANK OZK COM
105,534 sh
105,534 sh
NEW
$5,380
$5,380
Carvana Co.
14,229 sh
14,229 sh
NEW
$5,368
$5,368
Credit Acceptance Corp
11,370 sh
10,521 sh
1239%
$5,309
$4,876
SIRIUSXM HLDGS INC COMMON STOCK
226,993 sh
226,993 sh
NEW
$5,283
$5,283
XCEL ENERGY INC MINN COM
65,394 sh
65,394 sh
NEW
$5,274
$5,274
ASGN Inc.
110,003 sh
90,687 sh
469%
$5,209
$4,245
NewMarket Corp.
6,247 sh
1,014 sh
19%
$5,174
$1,559
Delta Air Lines Inc
90,969 sh
90,969 sh
NEW
$5,162
$5,162
Goldman Sachs Group Inc
6,428 sh
6,428 sh
NEW
$5,119
$5,119
ITT Inc
28,584 sh
28,584 sh
NEW
$5,110
$5,110
Oshkosh Corp
39,032 sh
24,550 sh
170%
$5,062
$3,418
HF Sinclair Corp
96,337 sh
96,337 sh
NEW
$5,042
$5,042
Halliburton Co.
204,572 sh
204,572 sh
NEW
$5,032
$5,032
Kroger Co.
74,161 sh
-822,964 sh
-92%
$4,999
-$59,352
FIRST BANCORP P R COM NEW
223,459 sh
223,459 sh
NEW
$4,927
$4,927
Cintas Corp
23,996 sh
23,996 sh
NEW
$4,925
$4,925
ExlService Holdings Inc.
110,797 sh
110,797 sh
NEW
$4,878
$4,878
Dollar General Corp
47,095 sh
34,706 sh
280%
$4,867
$3,450
Kontoor Brands Inc
60,943 sh
60,943 sh
NEW
$4,861
$4,861
Texas Roadhouse Inc
29,117 sh
25,374 sh
678%
$4,838
$4,137
Asbury Automotive Group Inc.
19,715 sh
19,715 sh
NEW
$4,819
$4,819
Bentley Systems Inc.
93,424 sh
93,424 sh
NEW
$4,809
$4,809
PTC Inc
23,633 sh
23,633 sh
NEW
$4,798
$4,798
IDEXX Laboratories Inc.
7,404 sh
4,779 sh
182%
$4,730
$3,322
La-Z-Boy Inc.
137,353 sh
137,353 sh
NEW
$4,714
$4,714
Bloom Energy Corp
55,723 sh
-132,143 sh
-70%
$4,712
$218
Dollar Tree Inc
49,257 sh
37,467 sh
318%
$4,648
$3,480
Vontier Corp
110,608 sh
84,948 sh
331%
$4,642
$3,695
AutoNation Inc
21,191 sh
19,923 sh
1571%
$4,636
$4,384
Olin Corp
183,320 sh
183,320 sh
NEW
$4,581
$4,581
Repligen Corp
33,616 sh
33,616 sh
NEW
$4,493
$4,493
LiveRamp Holdings, Inc.
165,371 sh
156,473 sh
1759%
$4,488
$4,194
Stryker Corp
12,102 sh
235 sh
2%
$4,474
-$221
Hubbell Inc
10,319 sh
9,714 sh
1606%
$4,440
$4,193
Energy Fuels Inc.
288,379 sh
-560,993 sh
-66%
$4,427
-$457
TKO Group Holdings Inc
21,870 sh
21,870 sh
NEW
$4,417
$4,417
DUKE ENERGY HOLDING CORP COM
35,659 sh
35,659 sh
NEW
$4,413
$4,413
FIRSTENERGY CORP COM
96,266 sh
96,266 sh
NEW
$4,411
$4,411
Frontdoor Inc
64,666 sh
26,789 sh
71%
$4,351
$2,119
Albertsons Companies, Inc.
246,763 sh
49,158 sh
25%
$4,321
$71
Madison Square Garden Entertainment Corp.
69,359 sh
69,359 sh
NEW
$4,309
$4,309
Stifel Financial Corp
37,928 sh
24,161 sh
175%
$4,304
$2,875
Chemours Co.
269,611 sh
269,611 sh
NEW
$4,271
$4,271
Fair Isaac Corp
2,829 sh
2,829 sh
NEW
$4,234
$4,234
DXC Technology Co.
308,550 sh
118,645 sh
62%
$4,206
$1,302
Las Vegas Sands Corp
77,779 sh
77,779 sh
NEW
$4,184
$4,184
SYMBOTIC INC
77,620 sh
77,620 sh
NEW
$4,184
$4,184
Buckle Inc
71,008 sh
71,008 sh
NEW
$4,165
$4,165
Simply Good Foods Co.
166,481 sh
166,481 sh
NEW
$4,132
$4,132
Applied Industrial Technologies in
15,812 sh
15,812 sh
NEW
$4,128
$4,128
Baxter International Inc
180,510 sh
163,570 sh
966%
$4,110
$3,597
MP Materials Corp.
61,108 sh
61,108 sh
NEW
$4,099
$4,099
Bright Horizons Family Solutions I
37,624 sh
34,529 sh
1116%
$4,085
$3,702
API Group Corp.
118,513 sh
118,513 sh
NEW
$4,073
$4,073
Federal Signal Corp
34,055 sh
34,055 sh
NEW
$4,052
$4,052
Pilgrim's Pride Corp.
99,268 sh
37,035 sh
60%
$4,042
$1,243
SUPER MICRO COMPUTER INC COM
83,464 sh
-695,330 sh
-89%
$4,001
-$34,168
SOLVENTUM CORP COMMON
54,686 sh
54,686 sh
NEW
$3,992
$3,992
Q2 Holdings Inc
55,014 sh
55,014 sh
NEW
$3,982
$3,982
Cargurus Inc
106,304 sh
47,109 sh
80%
$3,958
$1,977
Zebra Technologies Corp
13,318 sh
13,318 sh
NEW
$3,958
$3,958
Weatherford International plc
57,808 sh
-17,697 sh
-23%
$3,956
$157
DTE ENERGY CO COM
27,902 sh
27,902 sh
NEW
$3,946
$3,946
Axalta Coating Systems Ltd
137,689 sh
137,689 sh
NEW
$3,941
$3,941
AMEREN CORP COM
37,699 sh
37,699 sh
NEW
$3,935
$3,935
Planet Fitness Inc
37,858 sh
37,858 sh
NEW
$3,930
$3,930
Targa Resources Corp
23,457 sh
23,457 sh
NEW
$3,930
$3,930
Sealed Air Corp
110,181 sh
110,181 sh
NEW
$3,895
$3,895
HUNTINGTON BANCSHARES INC COM
224,417 sh
-647,760 sh
-74%
$3,876
-$10,742
PROG Holdings, Inc.
119,194 sh
119,194 sh
NEW
$3,857
$3,857
BLACKROCK INC COM Stock
3,276 sh
3,276 sh
NEW
$3,819
$3,819
Selective Insurance Group Inc
46,935 sh
11,457 sh
32%
$3,805
$731
Ingredion Inc
31,130 sh
25,526 sh
455%
$3,801
$3,041
CYBERARK SOFTWARE LTD SHS
7,843 sh
7,843 sh
NEW
$3,789
$3,789
Dillard's Inc.
6,089 sh
6,089 sh
NEW
$3,742
$3,742
Teladoc Health Inc.
483,749 sh
473,309 sh
4534%
$3,739
$3,648
Rockwell Automation Inc
10,636 sh
5,812 sh
120%
$3,718
$2,116
Phillips 66
27,323 sh
27,323 sh
NEW
$3,716
$3,716
CMS ENERGY CORP COM
50,551 sh
50,551 sh
NEW
$3,703
$3,703
Sunrun Inc
213,772 sh
213,772 sh
NEW
$3,696
$3,696
PPL CORP COM
99,070 sh
-117,606 sh
-54%
$3,681
-$3,662
FERGUSON PLC NEW COMMON STOCK NEW
16,377 sh
16,377 sh
NEW
$3,678
$3,678
Iris Energy Ltd ORDINARY SHARES
77,982 sh
77,982 sh
NEW
$3,660
$3,660
M/I Homes Inc.
25,228 sh
-88,416 sh
-78%
$3,644
-$9,098
Baker Hughes Co.
73,986 sh
73,986 sh
NEW
$3,605
$3,605
AeroVironment Inc.
11,349 sh
11,349 sh
NEW
$3,574
$3,574
DaVita Inc.
26,804 sh
-85,303 sh
-76%
$3,561
-$12,409
Fortune Brands Home & Security Inc.
66,334 sh
66,334 sh
NEW
$3,542
$3,542
Palomar Holdings Inc
30,331 sh
10,323 sh
52%
$3,541
$455
Blackline Inc
66,421 sh
24,171 sh
57%
$3,527
$1,135
HESS MIDSTREAM LP CL A SHS
102,047 sh
102,047 sh
NEW
$3,526
$3,526
Intercontinental Exchange Inc
20,823 sh
20,823 sh
NEW
$3,508
$3,508
O'Reilly Automotive Inc.
32,518 sh
32,518 sh
NEW
$3,506
$3,506
ACADIA Pharmaceuticals Inc.
163,245 sh
163,245 sh
NEW
$3,484
$3,484
HEICO Corp.
10,782 sh
10,782 sh
NEW
$3,481
$3,481
Huntington Ingalls Industries Inc
12,013 sh
12,013 sh
NEW
$3,459
$3,459
WESBANCO INC COM
108,045 sh
108,045 sh
NEW
$3,450
$3,450
TRANSUNION COM
41,003 sh
41,003 sh
NEW
$3,435
$3,435
ASTERA LABS INC COM
17,478 sh
-62,759 sh
-78%
$3,422
-$3,833
Affiliated Managers Group Inc
14,334 sh
-95,914 sh
-87%
$3,418
-$18,275
Lululemon Athletica Inc
19,159 sh
19,159 sh
NEW
$3,409
$3,409
MACOM Technology Solutions Holdings Inc.
27,192 sh
27,192 sh
NEW
$3,385
$3,385
TransMedics Group Inc.
30,085 sh
30,085 sh
NEW
$3,376
$3,376
Neogen Corp
584,794 sh
584,794 sh
NEW
$3,339
$3,339
Builders FirstSource Inc.
27,324 sh
24,705 sh
943%
$3,313
$3,007
Liberty Oilfield Services Inc.
268,318 sh
-103,001 sh
-28%
$3,311
-$952
Textron Inc
39,181 sh
39,181 sh
NEW
$3,310
$3,310
International Flavors & Fragrances Inc.
53,659 sh
53,659 sh
NEW
$3,302
$3,302
Five Below Inc
21,226 sh
21,226 sh
NEW
$3,284
$3,284
QuantumScape Corp. COM CL A
266,153 sh
266,153 sh
NEW
$3,279
$3,279
VIKING THERAPEUTICS INC COM
123,491 sh
123,491 sh
NEW
$3,245
$3,245
Procore Technologies Inc.
44,455 sh
44,455 sh
NEW
$3,242
$3,242
Neurocrine Biosciences Inc
23,038 sh
14,095 sh
158%
$3,234
$2,110
Kinder Morgan Inc
114,237 sh
114,237 sh
NEW
$3,234
$3,234
Cloudflare Inc
15,015 sh
15,015 sh
NEW
$3,222
$3,222
MicroStrategy Inc.
9,994 sh
2,830 sh
40%
$3,220
$324
Brighthouse Financial Inc
60,339 sh
-247,001 sh
-80%
$3,203
-$13,323
IVANHOE ELECTRIC INC COM
255,104 sh
255,104 sh
NEW
$3,202
$3,202
undefined
177,740 sh
177,740 sh
NEW
$3,189
$3,189
CNX Resources Corp.
99,266 sh
99,266 sh
NEW
$3,188
$3,188
Amgen Inc
11,295 sh
3,860 sh
52%
$3,187
$1,111
Magnite Inc
145,671 sh
145,671 sh
NEW
$3,173
$3,173
Teledyne Technologies Inc
5,399 sh
-2,532 sh
-32%
$3,164
-$899
Upstart Holdings Inc.
61,972 sh
61,972 sh
NEW
$3,148
$3,148
BioCryst Pharmaceuticals Inc.
411,503 sh
411,503 sh
NEW
$3,123
$3,123
RUBRIK INC. CL A
37,940 sh
37,940 sh
NEW
$3,121
$3,121
Charles River Laboratories International Inc.
19,908 sh
19,908 sh
NEW
$3,115
$3,115
Brunswick Corp
49,116 sh
49,116 sh
NEW
$3,106
$3,106
Donaldson Co. Inc.
37,948 sh
37,948 sh
NEW
$3,106
$3,106
ELBIT SYS LTD ORD
6,080 sh
6,080 sh
NEW
$3,100
$3,100
Brink's Co.
26,405 sh
8,243 sh
45%
$3,086
$1,464
Coca-Cola Consolidated Inc.
26,292 sh
23,358 sh
796%
$3,080
$2,752
TOWNEBANK PORTSMOUTH VA COM
89,059 sh
89,059 sh
NEW
$3,079
$3,079
Gap Inc
143,542 sh
143,542 sh
NEW
$3,070
$3,070
SPS Commerce Inc.
29,159 sh
29,159 sh
NEW
$3,037
$3,037
Sandstorm Gold Ltd COM
241,451 sh
241,451 sh
NEW
$3,023
$3,023
Wex Inc
19,154 sh
19,154 sh
NEW
$3,017
$3,017
ERO COPPER CORP INC COMMON
147,291 sh
-147,675 sh
-50%
$2,984
-$1,988
LABCORP HOLDINGS INC
10,393 sh
7,622 sh
275%
$2,983
$2,256
Bio-Rad Laboratories Inc.
10,632 sh
10,632 sh
NEW
$2,981
$2,981
Wolverine World Wide Inc
108,474 sh
108,474 sh
NEW
$2,977
$2,977
NetScout Systems Inc.
114,631 sh
114,631 sh
NEW
$2,961
$2,961
Post Holdings Inc
27,506 sh
24,696 sh
879%
$2,956
$2,650
Hanesbrands Inc
446,219 sh
446,219 sh
NEW
$2,941
$2,941
Ceridian HCM Holding Inc.
42,601 sh
42,601 sh
NEW
$2,935
$2,935
Itron Inc
23,542 sh
23,542 sh
NEW
$2,932
$2,932
Rent-A-Center Inc.
123,302 sh
123,302 sh
NEW
$2,914
$2,914
Leggett & Platt Inc.
327,368 sh
327,368 sh
NEW
$2,907
$2,907
AMER SPORTS INC COM
83,380 sh
83,380 sh
NEW
$2,897
$2,897
Haemonetics Corp
59,104 sh
12,820 sh
28%
$2,881
-$572
Churchill Downs Inc
29,631 sh
29,631 sh
NEW
$2,875
$2,875
IDACORP INC COM
21,680 sh
-65,469 sh
-75%
$2,865
-$7,196
National Vision Holdings Inc
98,144 sh
98,144 sh
NEW
$2,865
$2,865
Avery Dennison Corp
17,657 sh
17,657 sh
NEW
$2,863
$2,863
ALTC ACQUISITION CORP COM
25,593 sh
25,593 sh
NEW
$2,857
$2,857
Ionis Pharmaceuticals Inc
43,578 sh
43,578 sh
NEW
$2,851
$2,851
Radian Group Inc
78,438 sh
78,438 sh
NEW
$2,841
$2,841
Datadog Inc
19,943 sh
19,943 sh
NEW
$2,840
$2,840
BAUSCH HEALTH COS INC COM
436,553 sh
-308,010 sh
-41%
$2,816
-$2,143
VERITEX HLDGS INC COM
83,774 sh
83,774 sh
NEW
$2,809
$2,809
elf Beauty Inc.
21,106 sh
18,016 sh
583%
$2,796
$2,411
Rapid7 Inc
149,061 sh
149,061 sh
NEW
$2,795
$2,795
Murphy USA Inc
7,195 sh
7,195 sh
NEW
$2,794
$2,794
Alarm.com Holdings Inc.
52,383 sh
52,383 sh
NEW
$2,780
$2,780
Clearway Energy Inc Cl C Common stock
97,686 sh
88,829 sh
1003%
$2,760
$2,477
Trupanion Inc
63,038 sh
63,038 sh
NEW
$2,728
$2,728
Eaton Plc
7,270 sh
7,270 sh
NEW
$2,721
$2,721
Darden Restaurants Inc
14,284 sh
7,648 sh
115%
$2,719
$1,273
Amcor Plc
330,385 sh
310,976 sh
1602%
$2,703
$2,525
Steven Madden Ltd
80,652 sh
43,247 sh
116%
$2,700
$1,803
Viasat Inc
91,775 sh
91,775 sh
NEW
$2,689
$2,689
HERTZ GLOBAL HLDGS INC COM NEW Stock
395,332 sh
395,332 sh
NEW
$2,688
$2,688
Performance Food Group Co.
25,710 sh
19,114 sh
290%
$2,675
$2,098
Centrus Energy Corp
8,594 sh
-8,391 sh
-49%
$2,665
-$446
MDU RES GROUP INC COM
149,167 sh
129,321 sh
652%
$2,657
$2,326
Tidewater Inc
49,828 sh
49,828 sh
NEW
$2,657
$2,657
Verisk Analytics Inc
10,558 sh
10,558 sh
NEW
$2,655
$2,655
MRC Global Inc.
183,978 sh
183,978 sh
NEW
$2,653
$2,653
Masco Corp
37,662 sh
37,662 sh
NEW
$2,651
$2,651
Vulcan Materials Co.
8,531 sh
-218 sh
-2%
$2,624
$342
Constellation Brands Inc
19,286 sh
11,053 sh
134%
$2,597
$1,258
SS&C Technologies Holdings Inc.
29,174 sh
29,174 sh
NEW
$2,589
$2,589
Box Inc.
80,007 sh
80,007 sh
NEW
$2,582
$2,582
Franklin Electric Co. Inc.
27,042 sh
27,042 sh
NEW
$2,574
$2,574
HOPE BANCORP INC COM
237,025 sh
13,933 sh
6%
$2,553
$159
PAGSEGURO DIGITAL LTD COM CL A
254,545 sh
254,545 sh
NEW
$2,545
$2,545
Campbell Soup Co.
80,443 sh
69,479 sh
634%
$2,540
$2,204
Bread Financial Holdings, Inc.
45,490 sh
45,490 sh
NEW
$2,537
$2,537
CRH PLC ORD COMMON STOCK
20,993 sh
-1,649 sh
-7%
$2,517
$438
CUREVAC N V COM
466,407 sh
466,407 sh
NEW
$2,514
$2,514
Kimberly-Clark Corp.
20,142 sh
1,365 sh
7%
$2,504
$83
Exxon Mobil Corp
22,199 sh
-946,089 sh
-98%
$2,503
-$101,878
NOMAD FOODS LTD USD ORD SHS
189,703 sh
189,703 sh
NEW
$2,495
$2,495
AptarGroup Inc.
18,568 sh
18,568 sh
NEW
$2,482
$2,482
Marriott Vacations Worldwide Corp
37,183 sh
37,183 sh
NEW
$2,475
$2,475
nCino Inc.
91,205 sh
91,205 sh
NEW
$2,473
$2,473
Target Corp
27,530 sh
1,660 sh
6%
$2,469
-$83
Cabot Corp
32,389 sh
13,040 sh
67%
$2,463
$1,012
Dick's Sporting Goods Inc.
11,079 sh
11,079 sh
NEW
$2,462
$2,462
Warrior Met Coal Inc
38,633 sh
-29,443 sh
-43%
$2,459
-$661
NEW YORK CMNTY BANCORP INC COM NEW Stock
210,825 sh
-218,765 sh
-51%
$2,435
-$2,119
Nordson Corp
10,623 sh
10,623 sh
NEW
$2,411
$2,411
HUDBAY MINERALS INC COM
158,213 sh
-6,191 sh
-4%
$2,397
$656
Sysco Corp
29,101 sh
1,598 sh
6%
$2,396
$313
Clorox Co.
19,433 sh
12,452 sh
178%
$2,396
$1,558
Old Dominion Freight Line Inc
16,954 sh
16,954 sh
NEW
$2,387
$2,387
Rollins Inc
40,616 sh
40,616 sh
NEW
$2,386
$2,386
Liberty Broadband Corp
37,394 sh
-5,339 sh
-12%
$2,376
-$1,828
Waste Connections Inc.
13,436 sh
4,535 sh
51%
$2,362
$700
MAGNA INTL INC COM
49,612 sh
10,858 sh
28%
$2,351
$856
Harley-Davidson Inc.
84,231 sh
84,231 sh
NEW
$2,350
$2,350
ROYAL BK CDA MONTREAL QUE COM
15,878 sh
11,645 sh
275%
$2,341
$1,784
Akamai Technologies Inc
30,689 sh
30,689 sh
NEW
$2,325
$2,325
Floor & Decor Holdings Inc.
31,336 sh
31,336 sh
NEW
$2,309
$2,309
DigitalOcean Holdings Inc.
67,510 sh
67,510 sh
NEW
$2,306
$2,306
Bio-Techne Corp.
41,146 sh
41,146 sh
NEW
$2,289
$2,289
Boston Beer Co. Inc.
10,825 sh
10,825 sh
NEW
$2,289
$2,289
Align Technology Inc
18,208 sh
15,945 sh
705%
$2,280
$1,852
Moog Inc
10,934 sh
10,934 sh
NEW
$2,271
$2,271
Adaptive Biotechnologies Corp
151,254 sh
151,254 sh
NEW
$2,263
$2,263
Acadia Healthcare Co. Inc.
90,978 sh
90,978 sh
NEW
$2,253
$2,253
Calix Inc.
35,894 sh
35,894 sh
NEW
$2,203
$2,203
Teradata Corp
102,390 sh
44,643 sh
77%
$2,202
$914
Interpublic Group of Cos. Inc.
78,766 sh
78,766 sh
NEW
$2,198
$2,198
Universal Display Corp.
15,268 sh
1,244 sh
9%
$2,193
$27
Sonos Inc
137,550 sh
137,550 sh
NEW
$2,173
$2,173
STERIS plc
8,716 sh
5,233 sh
150%
$2,157
$1,320
OCEANFIRST FINL CORP COM
122,489 sh
12,578 sh
11%
$2,152
$216
FactSet Research Systems Inc.
7,436 sh
7,436 sh
NEW
$2,130
$2,130
Robert Half International Inc.
62,014 sh
62,014 sh
NEW
$2,107
$2,107
Simon Property Group Inc.
11,229 sh
11,229 sh
NEW
$2,107
$2,107
Broadridge Financial Solutions Inc
8,809 sh
8,809 sh
NEW
$2,098
$2,098
CubeSmart
51,173 sh
45,519 sh
805%
$2,081
$1,841
Antero Midstream Corp
107,055 sh
107,055 sh
NEW
$2,081
$2,081
AMERANT BANCORP INC CL A
107,093 sh
11,359 sh
12%
$2,064
$319
Hormel Foods Corp
83,137 sh
66,687 sh
405%
$2,057
$1,559
FTI Consulting Inc.
12,635 sh
12,635 sh
NEW
$2,042
$2,042
Iridium Communications Inc
116,726 sh
116,726 sh
NEW
$2,038
$2,038
Aon Plc
5,705 sh
5,705 sh
NEW
$2,034
$2,034
Chemed Corp
4,530 sh
1,690 sh
60%
$2,028
$645
SkyWest Inc.
20,003 sh
-15,783 sh
-44%
$2,013
-$1,672
Tri Pointe Homes Inc.
59,119 sh
-227,206 sh
-79%
$2,008
-$7,140
Equity LifeStyle Properties Inc.
32,904 sh
32,904 sh
NEW
$1,997
$1,997
Mosaic Co.
57,540 sh
57,540 sh
NEW
$1,995
$1,995
Qualys Inc
14,920 sh
12,414 sh
495%
$1,974
$1,616
Cummins Inc
4,663 sh
4,663 sh
NEW
$1,970
$1,970
KENVUE INC COM
120,953 sh
12,126 sh
11%
$1,963
-$315
RPM International Inc.
16,443 sh
16,443 sh
NEW
$1,938
$1,938
Conagra Brands Inc
105,425 sh
82,331 sh
357%
$1,930
$1,457
Core & Main Inc.
35,833 sh
35,833 sh
NEW
$1,929
$1,929
BANK N S HALIFAX COM
29,764 sh
11,025 sh
59%
$1,925
$891
FirstCash Inc.
12,109 sh
5,065 sh
72%
$1,918
$966
Paychex Inc
15,102 sh
15,102 sh
NEW
$1,914
$1,914
Nuvalent Inc. COM
22,057 sh
22,057 sh
NEW
$1,907
$1,907
Chewy Inc
47,043 sh
2,685 sh
6%
$1,903
$12
Brinker International Inc
15,018 sh
-67,620 sh
-82%
$1,902
-$13,000
WD-40 Co.
9,585 sh
9,585 sh
NEW
$1,894
$1,894
Kinsale Capital Group Inc
4,388 sh
4,388 sh
NEW
$1,866
$1,866
Tractor Supply Co.
32,818 sh
32,818 sh
NEW
$1,866
$1,866
Choice Hotels International Inc
17,384 sh
17,384 sh
NEW
$1,859
$1,859
Landstar System Inc
15,096 sh
15,096 sh
NEW
$1,850
$1,850
Valmont Industries Inc.
4,765 sh
2,323 sh
95%
$1,848
$1,051
Sphere Entertainment Co.
40,458 sh
40,458 sh
NEW
$1,830
$1,830
General Dynamics Corp
5,271 sh
5,271 sh
NEW
$1,797
$1,797
PagerDuty Inc.
108,603 sh
108,603 sh
NEW
$1,794
$1,794
Energizer Holdings Inc
71,645 sh
71,645 sh
NEW
$1,783
$1,783
Fluor Corp
42,330 sh
42,330 sh
NEW
$1,781
$1,781
Becton Dickinson and Co.
9,501 sh
125 sh
1%
$1,778
$163
Scotts Miracle-Gro Co.
31,060 sh
31,060 sh
NEW
$1,769
$1,769
Freeport-McMoRan Inc.
45,027 sh
45,027 sh
NEW
$1,766
$1,766
Ryder System Inc
9,344 sh
9,344 sh
NEW
$1,763
$1,763
ENTERGY CORP NEW COM
18,855 sh
18,855 sh
NEW
$1,757
$1,757
Steelcase Inc
102,112 sh
102,112 sh
NEW
$1,756
$1,756
Tyson Foods Inc
32,272 sh
16,366 sh
103%
$1,752
$862
ACI Worldwide Inc.
33,120 sh
33,120 sh
NEW
$1,748
$1,748
Avis Budget Group Inc
10,883 sh
10,883 sh
NEW
$1,748
$1,748
Humana Inc
6,603 sh
6,603 sh
NEW
$1,718
$1,718
KRYSTAL BIOTECH INC COM
9,723 sh
9,723 sh
NEW
$1,716
$1,716
Paylocity Holding Corp
10,748 sh
6,342 sh
144%
$1,712
$914
Kellogg Co.
20,830 sh
-1,727 sh
-8%
$1,708
-$86
Phreesia Inc
72,203 sh
72,203 sh
NEW
$1,698
$1,698
National Retail Properties Inc.
39,719 sh
32,118 sh
423%
$1,691
$1,363
Light & Wonder, Inc.
19,975 sh
19,975 sh
NEW
$1,677
$1,677
Hershey Co.
8,924 sh
574 sh
7%
$1,669
$283
Legalzoom.com Inc.
160,720 sh
160,720 sh
NEW
$1,668
$1,668
Under Armour, Inc.
331,672 sh
331,672 sh
NEW
$1,655
$1,655
Hamilton Lane Inc
12,237 sh
12,237 sh
NEW
$1,649
$1,649
Korn Ferry
23,550 sh
10,356 sh
78%
$1,648
$680
Coursera Inc.
140,240 sh
140,240 sh
NEW
$1,642
$1,642
General Mills Inc
32,487 sh
1,447 sh
5%
$1,638
$30
CENOVUS ENERGY INC COM
95,782 sh
95,782 sh
NEW
$1,627
$1,627
Advanced Energy Industries Inc
9,473 sh
9,473 sh
NEW
$1,612
$1,612
Envista Holdings Corp
78,416 sh
78,416 sh
NEW
$1,597
$1,597
Gaming and Leisure Properties Inc.
34,241 sh
34,241 sh
NEW
$1,596
$1,596
Hologic Inc
23,572 sh
16,258 sh
222%
$1,591
$1,114
Allied Motion Technologies Inc
35,558 sh
35,558 sh
NEW
$1,591
$1,591
Coeur Mining Inc
84,268 sh
84,268 sh
NEW
$1,581
$1,581
Cincinnati Financial Corp
9,979 sh
9,979 sh
NEW
$1,578
$1,578
O-I Glass Inc.
121,562 sh
121,562 sh
NEW
$1,577
$1,577
Spire, Inc. (formerly Laclede Gas) COM
19,007 sh
19,007 sh
NEW
$1,549
$1,549
IDEX Corp
9,459 sh
9,459 sh
NEW
$1,540
$1,540
Columbia Sportswear Co.
29,232 sh
29,232 sh
NEW
$1,529
$1,529
Toro Co.
19,981 sh
19,981 sh
NEW
$1,523
$1,523
Eagle Materials Inc
6,530 sh
6,530 sh
NEW
$1,522
$1,522
ALAMOS GOLD INC NEW COM CL A
42,885 sh
-143,296 sh
-77%
$1,495
-$3,450
Jones Lang LaSalle Inc.
4,963 sh
4,963 sh
NEW
$1,480
$1,480
Silgan Holdings Inc
34,378 sh
34,378 sh
NEW
$1,479
$1,479
ABM Industries Inc.
31,679 sh
31,679 sh
NEW
$1,461
$1,461
STAR BULK CARRIERS CORP SHS PAR
78,483 sh
78,483 sh
NEW
$1,459
$1,459
Cavco Industries Inc
2,490 sh
142 sh
6%
$1,446
$426
Wyndham Hotels & Resorts Inc.
18,044 sh
18,044 sh
NEW
$1,442
$1,442
Ingersoll Rand Inc
17,371 sh
17,371 sh
NEW
$1,435
$1,435
KBR Inc.
30,073 sh
30,073 sh
NEW
$1,422
$1,422
Progyny Inc
65,643 sh
65,643 sh
NEW
$1,413
$1,413
Skyworks Solutions Inc
18,265 sh
18,265 sh
NEW
$1,406
$1,406
Boeing Co.
6,453 sh
6,453 sh
NEW
$1,393
$1,393
Annaly Capital Management Inc. COM
68,878 sh
68,878 sh
NEW
$1,392
$1,392
Lumentum Holdings Inc
8,551 sh
8,551 sh
NEW
$1,391
$1,391
VF Corp
95,537 sh
95,537 sh
NEW
$1,379
$1,379
NVR Inc
171 sh
24 sh
16%
$1,374
$288
LendingClub Corp.
90,310 sh
90,310 sh
NEW
$1,372
$1,372
Alpha Metallurgical Res
8,311 sh
8,311 sh
NEW
$1,364
$1,364
HP Inc.
50,072 sh
50,072 sh
NEW
$1,363
$1,363
Kraft Heinz Co.
52,255 sh
3,816 sh
8%
$1,361
$110
Reliance Steel & Aluminum Co.
4,793 sh
4,793 sh
NEW
$1,346
$1,346
Molson Coors Beverage Co.
29,717 sh
-55,537 sh
-65%
$1,345
-$2,755
RLI Corp.
20,541 sh
20,541 sh
NEW
$1,340
$1,340
Clean Harbors Inc
5,762 sh
4,202 sh
269%
$1,338
$977
Church & Dwight Co. Inc.
14,926 sh
974 sh
7%
$1,308
-$33
American Woodmark Corp
19,534 sh
19,534 sh
NEW
$1,304
$1,304
Brixmor Property Group Inc.
46,916 sh
46,916 sh
NEW
$1,299
$1,299
VANGUARD INDEX FDS S&P 500 ETF SHS
2,121 sh
2,121 sh
NEW
$1,299
$1,299
Pool Corp.
4,180 sh
4,180 sh
NEW
$1,296
$1,296
PORTLAND GEN ELEC CO COM NEW
29,145 sh
29,145 sh
NEW
$1,282
$1,282
Essent Group Ltd.
19,879 sh
19,879 sh
NEW
$1,264
$1,264
TRANSALTA CORP COM
91,346 sh
-22,469 sh
-20%
$1,248
$23
Privia Health Group Inc.
50,023 sh
50,023 sh
NEW
$1,246
$1,246
Zimmer Biomet Holdings Inc
12,549 sh
5,988 sh
91%
$1,236
$638
Ollie's Bargain Outlet Holdings Inc.
9,621 sh
9,621 sh
NEW
$1,235
$1,235
SeaWorld Entertainment Inc.
23,795 sh
23,795 sh
NEW
$1,230
$1,230
Estee Lauder Cos. Inc.
13,926 sh
746 sh
6%
$1,227
$162
Cleveland-Cliffs Inc.
100,377 sh
100,377 sh
NEW
$1,225
$1,225
Matson Inc
12,373 sh
-7,259 sh
-37%
$1,220
-$966
Paycom Software Inc
5,854 sh
-51,698 sh
-90%
$1,218
-$12,100
Snap-on Inc.
3,440 sh
1,906 sh
124%
$1,192
$715
Thor Industries Inc
11,445 sh
11,445 sh
NEW
$1,187
$1,187
KAR Auction Services Inc.
40,732 sh
40,732 sh
NEW
$1,172
$1,172
Martin Marietta Materials Inc
1,855 sh
1,855 sh
NEW
$1,169
$1,169
VICI Properties Inc.
35,712 sh
35,712 sh
NEW
$1,165
$1,165
Ensign Group Inc
6,738 sh
4,922 sh
271%
$1,164
$884
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
15,178 sh
112 sh
1%
$1,140
$24
Chesapeake Energy Corp COM
10,688 sh
10,688 sh
NEW
$1,135
$1,135
Genworth Financial Inc.
127,064 sh
74,798 sh
143%
$1,131
$724
Integer Holdings Corp
10,759 sh
10,759 sh
NEW
$1,112
$1,112
Archrock Inc
42,230 sh
42,230 sh
NEW
$1,111
$1,111
Best Buy Co. Inc.
14,439 sh
14,439 sh
NEW
$1,092
$1,092
DOMINION ENERGY INC COM
17,777 sh
17,777 sh
NEW
$1,087
$1,087
VIKING HOLDINGS LTD ORD SHS
17,478 sh
17,478 sh
NEW
$1,086
$1,086
Boot Barn Holdings Inc
6,542 sh
6,542 sh
NEW
$1,084
$1,084
Quest Diagnostics Inc
5,646 sh
1,875 sh
50%
$1,076
$399
HARMONY GOLD MNG LTD SPONSORED ADR
59,082 sh
-593,274 sh
-91%
$1,072
-$8,041
Ingevity Corp
19,379 sh
19,379 sh
NEW
$1,070
$1,070
AT&T Inc
37,777 sh
-4,901,347 sh
-99%
$1,067
-$141,871
Invesco Ltd
46,467 sh
46,467 sh
NEW
$1,066
$1,066
Maximus Inc
11,477 sh
5,062 sh
79%
$1,049
$599
Xylem Inc
6,958 sh
6,958 sh
NEW
$1,026
$1,026
Rayonier Inc.
37,927 sh
37,927 sh
NEW
$1,007
$1,007
UMB FINL CORP COM
8,442 sh
8,442 sh
NEW
$999
$999
Resideo Technologies Inc
22,824 sh
22,824 sh
NEW
$986
$986
LAZARD LTD SHS -A -
18,366 sh
18,366 sh
NEW
$969
$969
HB Fuller Co.
16,268 sh
16,268 sh
NEW
$964
$964
Crown Castle International Corp.
9,799 sh
9,799 sh
NEW
$946
$946
Hasbro Inc
12,385 sh
12,385 sh
NEW
$939
$939
CleanSpark Inc.
64,645 sh
64,645 sh
NEW
$937
$937
SPROTT FDS TR JUNIOR URANIUM
31,592 sh
-11,395 sh
-27%
$921
$13
SLM CORPORATION COM
32,688 sh
-246,194 sh
-88%
$905
-$8,240
Digital Realty Trust Inc.
5,158 sh
-6,988 sh
-58%
$892
-$1,225
CDN IMPERIAL BK COMM TORONTO COM
11,138 sh
8,180 sh
277%
$890
$680
Wendy's Co.
97,205 sh
97,205 sh
NEW
$890
$890
ADMA Biologics Inc.
60,282 sh
60,282 sh
NEW
$884
$884
ORMAT TECHNOLOGIES INC COM
9,057 sh
9,057 sh
NEW
$872
$872
Ashland Global Holdings Inc.
17,588 sh
17,588 sh
NEW
$843
$843
WW Grainger Inc
862 sh
862 sh
NEW
$821
$821
Trex Co. Inc.
15,811 sh
15,811 sh
NEW
$817
$817
MillerKnoll Inc
45,794 sh
45,794 sh
NEW
$812
$812
MGIC Investment Corp.
28,453 sh
14,398 sh
102%
$807
$416
Silicon Laboratories Inc
6,150 sh
-35,956 sh
-85%
$806
-$5,399
WESCO International Inc.
3,774 sh
3,774 sh
NEW
$798
$798
COTY INC COM CL A
195,776 sh
195,776 sh
NEW
$791
$791
Williams-Sonoma Inc.
4,039 sh
4,039 sh
NEW
$789
$789
Impinj Inc
4,339 sh
4,339 sh
NEW
$784
$784
Anywhere Real Estate Inc.
73,843 sh
73,843 sh
NEW
$782
$782
Flywire Corp.
57,057 sh
57,057 sh
NEW
$773
$773
Omega Healthcare Investors Inc.
18,216 sh
-1,423 sh
-7%
$769
$49
PennyMac Financial Services Inc
5,988 sh
5,988 sh
NEW
$742
$742
United Natural Foods Inc
19,641 sh
19,641 sh
NEW
$739
$739
J M Smucker Co.
6,751 sh
-4,653 sh
-41%
$733
-$387
PTC Therapeutics Inc.
11,938 sh
11,938 sh
NEW
$733
$733
Freshpet Inc
12,924 sh
12,924 sh
NEW
$712
$712
ICL GROUP LTD COMMON STOCK
113,742 sh
113,742 sh
NEW
$707
$707
AMERICAN STS WTR CO COM
9,626 sh
9,626 sh
NEW
$706
$706
Packaging Corp. of America
3,237 sh
3,237 sh
NEW
$705
$705
Macy's Inc.
39,112 sh
39,112 sh
NEW
$701
$701
Gatx Corp
3,977 sh
3,977 sh
NEW
$695
$695
Kadant Inc
2,328 sh
2,328 sh
NEW
$693
$693
Dolby Laboratories Inc
9,461 sh
-20,387 sh
-68%
$685
-$1,532
GLOBAL E ONLINE LTD SHS
18,930 sh
18,930 sh
NEW
$677
$677
BANK MONTREAL QUE COM
5,169 sh
2,821 sh
120%
$674
$414
AST SpaceMobile Inc. Stock
13,741 sh
13,741 sh
NEW
$674
$674
Installed Building Products Inc
2,720 sh
2,720 sh
NEW
$671
$671
TFII CN COM
7,504 sh
7,504 sh
NEW
$661
$661
AGNC INVT CORP COM
67,260 sh
67,260 sh
NEW
$658
$658
OUSTER INC COMM STK
24,266 sh
24,266 sh
NEW
$656
$656
Affirm Holdings Inc.
8,860 sh
8,860 sh
NEW
$647
$647
Alight Inc.
196,885 sh
196,885 sh
NEW
$642
$642
Dorman Products Inc
4,116 sh
4,116 sh
NEW
$642
$642
EMBRAER S A SPONSORED ADS
10,611 sh
-163,231 sh
-94%
$641
-$9,252
Flowers Foods Inc
47,522 sh
36,488 sh
331%
$620
$444
Ryan Specialty Group Holdings Inc.
10,877 sh
10,877 sh
NEW
$613
$613
HealthEquity Inc.
6,379 sh
6,379 sh
NEW
$605
$605
Prestige Consumer Healthcare Inc.
9,657 sh
9,657 sh
NEW
$603
$603
ISHARES TR IBOXX HI YD ETF
7,334 sh
 
$595
One Gas Inc COM
7,296 sh
7,296 sh
NEW
$591
$591
Ondas Holdings Inc.
76,482 sh
76,482 sh
NEW
$590
$590
Lancaster Colony Corp
3,409 sh
3,409 sh
NEW
$589
$589
Dana Inc.
29,323 sh
29,323 sh
NEW
$588
$588
Valvoline Inc
16,195 sh
16,195 sh
NEW
$582
$582
First American Financial Corp
8,963 sh
-85,243 sh
-90%
$576
-$5,207
Sharkninja Inc COM
5,464 sh
1,437 sh
36%
$564
$165
Graham Holdings Co.
478 sh
180 sh
60%
$563
$281
Newell Brands Inc
107,187 sh
107,187 sh
NEW
$562
$562
Brown-Forman Corp.
20,561 sh
297 sh
1%
$557
$12
Hecla Mining Co.
45,503 sh
45,503 sh
NEW
$551
$551
OASIS PETROLEUM INC
5,415 sh
5,415 sh
NEW
$538
$538
Vail Resorts Inc
3,580 sh
3,580 sh
NEW
$535
$535
Levi Strauss
22,758 sh
22,758 sh
NEW
$530
$530
Select Medical Holdings Corp COM
41,152 sh
41,152 sh
NEW
$528
$528
OTTER TAIL CORP COM
6,406 sh
6,406 sh
NEW
$525
$525
PRIMO BRAND CORP-A COM
23,525 sh
-107,095 sh
-82%
$520
-$3,349
Blackbaud Inc
8,066 sh
8,066 sh
NEW
$519
$519
VALARIS LIMITED CL A Stock
10,288 sh
10,288 sh
NEW
$502
$502
ARMOUR RESIDENTIAL REIT INC COM SHS REIT
32,480 sh
32,480 sh
NEW
$485
$485
LATAM AIRLINES GROUP SA SPONSORED ADR
10,633 sh
10,633 sh
NEW
$481
$481
Polaris Inc.
8,221 sh
8,221 sh
NEW
$478
$478
DYNEX CAP INC COM
38,705 sh
38,705 sh
NEW
$476
$476
D R S Technologies Inc
10,459 sh
10,459 sh
NEW
$475
$475
COOPER COS INC COM
6,859 sh
343 sh
5%
$470
$6
Peabody Energy Corp
17,514 sh
-589,845 sh
-97%
$464
-$7,687
McGrath RentCorp
3,952 sh
3,952 sh
NEW
$464
$464
Inter Parfums Inc
4,709 sh
4,709 sh
NEW
$463
$463
Lemonade, Inc.
8,440 sh
8,440 sh
NEW
$452
$452
ENCORE ENERGY CORP COM COM
140,137 sh
-40,034 sh
-22%
$450
-$65
Waters Corp.
1,482 sh
1,482 sh
NEW
$444
$444
Tronox Holdings plc
109,517 sh
-1,289,638 sh
-92%
$440
-$6,654
BellRing Brands Inc.
11,984 sh
4,678 sh
64%
$436
$13
Arteris Inc.
43,169 sh
43,169 sh
NEW
$436
$436
BCE INC COM NEW
18,624 sh
18,624 sh
NEW
$435
$435
Wingstop Inc
1,707 sh
126 sh
8%
$430
-$102
Vaxcyte, Inc. COM
11,855 sh
11,855 sh
NEW
$427
$427
Prologis Inc.
3,721 sh
-1,293 sh
-26%
$426
-$101
Intapp Inc.
10,377 sh
10,377 sh
NEW
$424
$424
NISOURCE INC COM
9,786 sh
9,786 sh
NEW
$424
$424
nLight Inc.
14,222 sh
14,222 sh
NEW
$421
$421
OWL ROCK CAPITAL CORPORATION COM
32,862 sh
20,557 sh
167%
$420
$244
CAVA GROUP INC COM
6,664 sh
416 sh
7%
$403
-$123
CCC Intelligent Solutions Holdings Inc.
44,265 sh
44,265 sh
NEW
$403
$403
STANTEC INC COM
3,678 sh
-16,547 sh
-82%
$397
-$1,799
Fiat Chrysler Automobiles N.V. COM
41,806 sh
-2,006 sh
-5%
$390
-$49
KARMAN HLDGS INC COMMON STOCK
5,282 sh
5,282 sh
NEW
$381
$381
FTAI AVIATION LTD
2,255 sh
2,255 sh
NEW
$376
$376
CAE INC COM
12,163 sh
-8,414 sh
-41%
$360
-$242
TWO HBRS INVT CORP COM NEW REIT
36,436 sh
36,436 sh
NEW
$360
$360
CGI INC CL A SUB VTG
3,916 sh
-22,347 sh
-85%
$349
-$2,404
Boise Cascade
4,429 sh
4,429 sh
NEW
$342
$342
INVESCO MORTGAGE CAPITAL INC COM REIT
44,713 sh
44,713 sh
NEW
$338
$338
CENTERRA GOLD INC COM COM
31,139 sh
7,264 sh
30%
$334
$162
CENTERPOINT ENERGY Com
8,440 sh
8,440 sh
NEW
$327
$327
Penumbra Inc
1,280 sh
-2,034 sh
-61%
$324
-$526
Vicor Corp
6,254 sh
6,254 sh
NEW
$311
$311
ISOENERGY LTD COM NEW
30,241 sh
-7,348 sh
-20%
$305
$38
BIOHAVEN LTD
20,060 sh
20,060 sh
NEW
$301
$301
BLACKSKY TECHNOLOGY INC CL A NEW 0
14,879 sh
14,879 sh
NEW
$300
$300
Tenable Holdings Inc
10,216 sh
10,216 sh
NEW
$298
$298
COUPANG INC Common Stock
9,166 sh
9,166 sh
NEW
$295
$295
Bill.com Holdings Inc.
5,538 sh
-4,281 sh
-44%
$293
-$161
Mueller Water Products Inc.
11,387 sh
-230,747 sh
-95%
$291
-$5,530
ESAB Corp
2,601 sh
2,601 sh
NEW
$291
$291
EnerSys
2,561 sh
2,561 sh
NEW
$289
$289
Artisan Partners Asset Management
6,619 sh
6,619 sh
NEW
$287
$287
Micron Technology Inc
1,696 sh
1,696 sh
NEW
$284
$284
Ultra Clean Holdings Inc
10,393 sh
10,393 sh
NEW
$283
$283
CONMED Corp.
5,933 sh
5,933 sh
NEW
$279
$279
DR Horton Inc.
1,627 sh
-299,739 sh
-99%
$276
-$38,576
UniFirst Corp
1,626 sh
1,626 sh
NEW
$272
$272
RIO TINTO PLC SPONSORED ADR
4,073 sh
-613,812 sh
-99%
$269
-$35,772
SPDR SERIES TRUST BLOOMBERG BRCLYS
2,598 sh
 
$255
Ulta Beauty Inc
465 sh
-58,104 sh
-99%
$254
-$27,146
Marqeta Inc.
48,080 sh
48,080 sh
NEW
$254
$254
Masimo Corp
1,714 sh
69 sh
4%
$253
-$24
Aehr Test Systems
8,394 sh
8,394 sh
NEW
$253
$253
Joby Aviation Inc. Common Stock
15,619 sh
15,619 sh
NEW
$252
$252
Guardant Health Inc
4,010 sh
140 sh
4%
$251
$50
J&J Snack Foods Corp.
2,582 sh
2,582 sh
NEW
$248
$248
Genuine Parts Co.
1,765 sh
1,765 sh
NEW
$245
$245
GILDAN ACTIVEWEAR INC COM
4,219 sh
-27,651 sh
-87%
$244
-$1,323
Helmerich & Payne Inc.
11,054 sh
11,054 sh
NEW
$244
$244
PAN AMERICAN SILVER CORP COM
6,253 sh
6,253 sh
NEW
$242
$242
Certara Inc.
19,122 sh
19,122 sh
NEW
$234
$234
Ducommun Inc
2,417 sh
2,417 sh
NEW
$232
$232
Henry Schein Inc
3,469 sh
-51 sh
-1%
$230
-$27
B2GOLD CORP COM
46,264 sh
-26,175 sh
-36%
$229
-$32
Ligand Pharmaceuticals Inc
1,288 sh
1,288 sh
NEW
$228
$228
Gibraltar Industries Inc
3,535 sh
3,535 sh
NEW
$222
$222
Shake Shack Inc
2,322 sh
138 sh
6%
$217
-$90
Axcelis Technologies Inc
2,224 sh
2,224 sh
NEW
$217
$217
Realty Income Corp.
3,539 sh
3,539 sh
NEW
$215
$215
Air Lease Corp
3,352 sh
3,352 sh
NEW
$213
$213
IAC/InterActiveCorp
6,237 sh
6,237 sh
NEW
$212
$212
Rush Enterprises Inc
3,942 sh
3,942 sh
NEW
$211
$211
Workiva Inc
2,434 sh
2,434 sh
NEW
$210
$210
AVISTA CORP COM COM
5,469 sh
5,469 sh
NEW
$207
$207
Option Care Health Inc
7,404 sh
328 sh
5%
$206
-$24
PriceSmart Inc.
1,694 sh
1,694 sh
NEW
$205
$205
WAYSTAR HOLDING CORP COMMON STOCK
5,394 sh
5,394 sh
NEW
$205
$205
AKERO THERAPEUTICS INC COM
4,256 sh
4,256 sh
NEW
$202
$202
Riot Blockchain Inc
10,435 sh
10,435 sh
NEW
$199
$199
Ichor Holdings Ltd
10,888 sh
10,888 sh
NEW
$191
$191
Ur-Energy Inc. COM
92,733 sh
-59,416 sh
-39%
$166
$6
SERVE ROBOTICS INC COM
12,779 sh
12,779 sh
NEW
$149
$149
Patterson-UTI Energy Inc
21,153 sh
21,153 sh
NEW
$110
$110
Udemy Inc.
10,019 sh
10,019 sh
NEW
$70
$70
SPDR GOLD TRUST GOLD SHS
0 sh
-1,106,395 sh
-100%
$0
-$337,262
SPOTIFY TECHNOLOGY S A SHS
0 sh
-283,898 sh
-100%
$0
-$217,846
ARM HOLDINGS PLC SPONSORED ADR
0 sh
-473,725 sh
-100%
$0
-$76,620
Constellation Energy Corp
0 sh
-145,003 sh
-100%
$0
-$46,801
Lyft Inc
0 sh
-2,478,837 sh
-100%
$0
-$39,066
CoStar Group Inc.
0 sh
-432,708 sh
-100%
$0
-$34,790
Lennar Corp
0 sh
-238,744 sh
-100%
$0
-$26,407
Pfizer Inc
0 sh
-1,012,754 sh
-100%
$0
-$24,549
United Airlines Holdings Inc.
0 sh
-286,287 sh
-100%
$0
-$22,797
Synopsys Inc
0 sh
-31,574 sh
-100%
$0
-$16,187
JPMorgan Chase & Co
0 sh
-51,287 sh
-100%
$0
-$14,869
ConocoPhillips
0 sh
-165,634 sh
-100%
$0
-$14,864
BHP GROUP LTD SPONSORED ADS
0 sh
-262,747 sh
-100%
$0
-$12,636
Chart Industries Inc
0 sh
-72,646 sh
-100%
$0
-$11,961
NUTRIEN LTD COM
0 sh
-197,809 sh
-100%
$0
-$11,520
AXSOME THERAPEUTICS INC COM
0 sh
-107,292 sh
-100%
$0
-$11,200
PNM RESOURCES INC COM
0 sh
-171,638 sh
-100%
$0
-$9,667
SEADRILL 2021 LTD COM
0 sh
-340,862 sh
-100%
$0
-$8,948
Alcoa Corp
0 sh
-261,986 sh
-100%
$0
-$7,731
Hexcel Corp
0 sh
-116,023 sh
-100%
$0
-$6,554
Gates Industrial Plc
0 sh
-276,534 sh
-100%
$0
-$6,369
Tesla Inc
0 sh
-19,413 sh
-100%
$0
-$6,167
LANDBRIDGE COMPANY LLC CL A
0 sh
-89,418 sh
-100%
$0
-$6,043
GFL SUB VTG SHS
0 sh
-114,128 sh
-100%
$0
-$5,759
Juniper Networks Inc COM
0 sh
-132,830 sh
-100%
$0
-$5,304
MasTec Inc.
0 sh
-30,680 sh
-100%
$0
-$5,229
Brookfield Asset Management COM
0 sh
-82,222 sh
-100%
$0
-$4,542
Matador Resources Co.
0 sh
-86,357 sh
-100%
$0
-$4,121
Permian Resources
0 sh
-293,916 sh
-100%
$0
-$4,003
NOV Inc.
0 sh
-318,066 sh
-100%
$0
-$3,954
Steel Dynamics Inc
0 sh
-26,712 sh
-100%
$0
-$3,419
Frontier Group Holdings Inc.
0 sh
-821,122 sh
-100%
$0
-$2,981
COCA COLA EUROPEAN PARTNERS SHS
0 sh
-30,988 sh
-100%
$0
-$2,873
Foot Locker Inc COM
0 sh
-117,059 sh
-100%
$0
-$2,868
SIGMA LITHIUM CORPORATION COM
0 sh
-620,346 sh
-100%
$0
-$2,792
Pacific Premier Bancorp, Inc. COM
0 sh
-131,849 sh
-100%
$0
-$2,781
Allegro MicroSystems Inc.
0 sh
-77,321 sh
-100%
$0
-$2,644
STONECO LTD COM CL A
0 sh
-144,804 sh
-100%
$0
-$2,323
Ally Financial Inc
0 sh
-52,593 sh
-100%
$0
-$2,048
TEGNA Inc.
0 sh
-109,953 sh
-100%
$0
-$1,843
Coinbase Global Inc.
0 sh
-5,049 sh
-100%
$0
-$1,770
Granite Construction Inc
0 sh
-17,736 sh
-100%
$0
-$1,658
UGI CORP NEW COM
0 sh
-36,252 sh
-100%
$0
-$1,320
Mister Car Wash Inc.
0 sh
-217,205 sh
-100%
$0
-$1,305
Meritage Homes Corp.
0 sh
-17,306 sh
-100%
$0
-$1,159
Janus Henderson Group plc
0 sh
-27,926 sh
-100%
$0
-$1,085
Trade Desk Inc
0 sh
-12,107 sh
-100%
$0
-$872
SHOPIFY INC CL A
0 sh
-7,445 sh
-100%
$0
-$857
BGC GROUP INC CL A
0 sh
-78,002 sh
-100%
$0
-$798
Eastman Chemical Co.
0 sh
-9,779 sh
-100%
$0
-$730
Illinois Tool Works Inc.
0 sh
-2,811 sh
-100%
$0
-$695
KB Home
0 sh
-10,813 sh
-100%
$0
-$573
Brady Corp
0 sh
-7,597 sh
-100%
$0
-$516
UNILEVER PLC SPON ADR NEW
0 sh
-8,372 sh
-100%
$0
-$512
Signet Jewelers Ltd
0 sh
-6,184 sh
-100%
$0
-$492
PotlatchDeltic Corp.
0 sh
-12,415 sh
-100%
$0
-$476
ESCO Technologies Inc.
0 sh
-2,413 sh
-100%
$0
-$463
THOMSON REUTERS CORP COM COM
0 sh
-2,105 sh
-100%
$0
-$422
Fidelity National Financial Inc
0 sh
-7,001 sh
-100%
$0
-$392
VIPER ENERGY INC
0 sh
-8,395 sh
-100%
$0
-$320
Liberty Media CORP-Liberty Live Common / Ordinary Stock
0 sh
-3,847 sh
-100%
$0
-$312
WP Carey Inc.
0 sh
-4,429 sh
-100%
$0
-$276
Johnson Controls International Plc
0 sh
-2,370 sh
-100%
$0
-$250
TEMPUS AI INC CL A
0 sh
-3,815 sh
-100%
$0
-$242