All Tracked Securities
7,703 securities with institutional ownership data from SEC 13F filings
| # | Security | Institutional Value | Holders |
|---|---|---|---|
| 1 | NVIDIA CORPORATION 67066G104 | $29300.2T | 259 |
| 2 | MICROSOFT CORP 594918104 | $26725.3T | 272 |
| 3 | APPLE INC 037833100 | $23836.3T | 266 |
| 4 | AMAZON COM INC 023135106 | $16817.8T | 254 |
| 5 | SPDR S&P 500 ETF TR 78462F103 | $13124.9T | 218 |
| 6 | META PLATFORMS INC 30303M102 | $12808.5T | 221 |
| 7 | ISHARES TR 464287200 | $11167.8T | 168 |
| 8 | ALPHABET INC 02079K305 | $10189.8T | 247 |
| 9 | VISA INC 92826C839 | $9416.3T | 220 |
| 10 | SPDR S&P 500 ETF TR 78462F903 | $8992.4T | 5 |
| 11 | BROADCOM INC 11135F101 | $8630.2T | 193 |
| 12 | ALPHABET INC 02079K107 | $8375.6T | 212 |
| 13 | JPMORGAN CHASE & CO. 46625H100 | $7685.4T | 226 |
| 14 | MASTERCARD INC 57636Q104 | $7557.4T | 177 |
| 15 | ELI LILLY & CO 532457108 | $6631.7T | 192 |
| 16 | BERKSHIRE HATHAWAY INC DEL 084670702 | $6298.9T | 222 |
| 17 | TESLA INC 88160R101 | $4774.5T | 189 |
| 18 | COSTCO WHSL CORP NEW 22160K105 | $4770.0T | 199 |
| 19 | NETFLIX INC 64110L106 | $4724.0T | 159 |
| 20 | HOME DEPOT INC 437076102 | $4715.6T | 203 |
| 21 | INVESCO QQQ TR 46090E903 | $4480.3T | 4 |
| 22 | SPDR GOLD TR 78463V957 | $4353.9T | 3 |
| 23 | NVIDIA CORPORATION 67066G904 | $4237.5T | 4 |
| 24 | UNITEDHEALTH GROUP INC 91324P102 | $4214.2T | 168 |
| 25 | INVESCO QQQ TR 46090E953 | $4088.2T | 6 |
| 26 | SPDR GOLD TR 78463V907 | $3968.6T | 3 |
| 27 | EXXON MOBIL CORP 30231G102 | $3802.9T | 199 |
| 28 | THERMO FISHER SCIENTIFIC INC 883556102 | $3720.8T | 127 |
| 29 | JOHNSON & JOHNSON 478160104 | $3381.1T | 204 |
| 30 | APPLE INC 037833900 | $3318.9T | 4 |
| 31 | WALMART INC 931142103 | $3280.6T | 197 |
| 32 | AMERICAN TOWER CORP NEW 03027X100 | $3254.6T | 91 |
| 33 | UBER TECHNOLOGIES INC 90353T100 | $3243.7T | 113 |
| 34 | SPDR SERIES TRUST 78464A854 | $3236.1T | 72 |
| 35 | SALESFORCE INC 79466L302 | $3226.9T | 136 |
| 36 | ADOBE INC 00724F101 | $3203.1T | 131 |
| 37 | ABBVIE INC 00287Y109 | $3163.8T | 168 |
| 38 | LINDE PLC F G54950103 | $3106.5T | 105 |
| 39 | ORACLE CORP 68389X105 | $3076.5T | 161 |
| 40 | CHEVRON CORP NEW 166764100 | $3002.0T | 188 |
| 41 | VANGUARD TOTAL STOCK 922908769 | $2964.5T | 156 |
| 42 | VANGUARD S&P 500 ETF 922908363 | $2927.1T | 167 |
| 43 | S&P GLOBAL INC 78409V104 | $2918.6T | 97 |
| 44 | PROCTER & GAMBLE CO 742718109 | $2887.5T | 186 |
| 45 | T-MOBILE US INC 872590104 | $2880.3T | 86 |
| 46 | COMCAST CORP NEW 20030N101 | $2830.5T | 114 |
| 47 | SERVICENOW INC 81762P102 | $2820.4T | 121 |
| 48 | EATON CORP PLC F G29183103 | $2758.7T | 122 |
| 49 | MOODYS CORP 615369105 | $2710.0T | 60 |
| 50 | INTUIT 461202103 | $2706.6T | 99 |
| 51 | ACCENTURE PLC IRELAND F G1151C101 | $2671.7T | 124 |
| 52 | INTUITIVE SURGICAL INC 46120E602 | $2668.5T | 104 |
| 53 | MICROSOFT CORP 594918904 | $2656.9T | 2 |
| 54 | BANK AMERICA CORP 060505104 | $2614.7T | 160 |
| 55 | DISNEY WALT CO 254687106 | $2580.2T | 162 |
| 56 | INVSC QQQ TRUST SRS 1 46090E103 | $2565.5T | 181 |
| 57 | TJX COS INC NEW 872540109 | $2564.6T | 121 |
| 58 | MERCK & CO. INC. 58933Y105 | $2465.5T | 178 |
| 59 | RTX CORP 75513E101 | $2453.7T | 138 |
| 60 | DANAHER CORPORATION 235851102 | $2325.3T | 98 |
| 61 | COCA COLA CO 191216100 | $2302.8T | 161 |
| 62 | PALO ALTO NETWORKS INC 697435105 | $2264.0T | 118 |
| 63 | MCDONALDS CORP 580135101 | $2245.6T | 177 |
| 64 | WELLS FARGO CO NEW 949746101 | $2220.9T | 106 |
| 65 | CISCO SYS INC 17275R102 | $2206.2T | 165 |
| 66 | ABBOTT LABS 002824100 | $2185.9T | 149 |
| 67 | ASML HLDG N V F N07059210 | $2167.2T | 93 |
| 68 | HONEYWELL INTL INC 438516106 | $2147.1T | 136 |
| 69 | VERTEX PHARMACEUTICALS I 92532F100 | $2076.9T | 86 |
| 70 | MORGAN STANLEY 617446448 | $2070.2T | 108 |
| 71 | BOOKING HLDGS INC 09857L108 | $2025.1T | 93 |
| 72 | PEPSICO INC 713448108 | $2014.9T | 164 |
| 73 | ADVANCED MICRO DEVICES INC 007903107 | $2009.7T | 145 |
| 74 | OREILLY AUTOMOTIVE INC 67103H107 | $2008.2T | 80 |
| 75 | TEXAS INSTRS INC 882508104 | $2008.0T | 111 |
| 76 | NVIDIA CORPORATION 67066G954 | $2003.2T | 5 |
| 77 | WILLIAMS COS INC 969457100 | $1974.1T | 71 |
| 78 | NEXTERA ENERGY INC 65339F101 | $1967.3T | 139 |
| 79 | ISHARES TR 464288953 | $1952.2T | 2 |
| 80 | ISHARES TR 46432F339 | $1935.8T | 91 |
| 81 | BOSTON SCIENTIFIC CORP 101137107 | $1918.2T | 77 |
| 82 | STRYKER CORPORATION 863667101 | $1917.8T | 109 |
| 83 | DEVON ENERGY CORP NEW 25179M103 | $1902.8T | 67 |
| 84 | ISHARES TR 464287614 | $1884.9T | 100 |
| 85 | QUALCOMM INC 747525103 | $1834.5T | 145 |
| 86 | IBM CORP 459200101 | $1828.3T | 157 |
| 87 | CROWDSTRIKE HLDGS INC 22788C105 | $1826.7T | 95 |
| 88 | TESLA INC 88160R951 | $1819.4T | 5 |
| 89 | ANALOG DEVICES INC 032654105 | $1808.8T | 89 |
| 90 | ISHARES TR 46432F842 | $1798.0T | 108 |
| 91 | SHERWIN-WILLIAMS CO 824348106 | $1791.1T | 80 |
| 92 | MOTOROLA SOLUTIONS INC 620076307 | $1753.8T | 70 |
| 93 | CONOCOPHILLIPS 20825C104 | $1739.9T | 110 |
| 94 | ISHARES CORE US 464287226 | $1715.0T | 97 |
| 95 | TAIWAN SEMICONDUCTOR M F 874039100 | $1709.8T | 118 |
| 96 | PHILIP MORRIS INTL INC 718172109 | $1702.0T | 127 |
| 97 | GE AEROSPACE 369604301 | $1690.1T | 118 |
| 98 | ISHARES TR 464287655 | $1660.9T | 108 |
| 99 | MCKESSON CORP 58155Q103 | $1649.4T | 86 |
| 100 | REDWIRE CORPORATION 75776W103 | $1639.4T | 10 |
| 101 | BLACKROCK ETF TRUST 09290C103 | $1633.8T | 32 |
| 102 | GILEAD SCIENCES INC 375558103 | $1633.4T | 96 |
| 103 | FISERV INC 337738108 | $1630.2T | 83 |
| 104 | GOLDMAN SACHS GROUP INC 38141G104 | $1628.1T | 108 |
| 105 | EQUINIX INC 29444U700 | $1614.3T | 67 |
| 106 | ROPER TECHNOLOGIES INC 776696106 | $1613.7T | 73 |
| 107 | AMERICAN EXPRESS CO 025816109 | $1582.6T | 129 |
| 108 | WASTE MGMT INC DEL 94106L109 | $1577.4T | 109 |
| 109 | PROGRESSIVE CORP 743315103 | $1574.8T | 81 |
| 110 | ISHARES TR 46434V613 | $1552.2T | 50 |
| 111 | SCHWAB CHARLES CORP 808513105 | $1550.3T | 99 |
| 112 | VERIZON COMMUNICATIONS I 92343V104 | $1537.7T | 150 |
| 113 | GRAINGER W W INC 384802104 | $1535.5T | 68 |
| 114 | MICRON TECHNOLOGY INC 595112103 | $1527.7T | 106 |
| 115 | PFIZER INC 717081103 | $1513.2T | 144 |
| 116 | SEMPRA 816851109 | $1482.5T | 58 |
| 117 | AON PLC G0403H108 | $1481.0T | 62 |
| 118 | ZOETIS INC 98978V103 | $1472.7T | 95 |
| 119 | AMGEN INC 031162100 | $1456.8T | 146 |
| 120 | AT&T INC 00206R102 | $1454.7T | 130 |
| 121 | VANGUARD VALUE ETF 922908744 | $1452.8T | 120 |
| 122 | WORKDAY INC 98138H101 | $1439.1T | 64 |
| 123 | MARSH & MCLENNAN COS INC 571748102 | $1434.8T | 81 |
| 124 | APOLLO GLOBAL MGMT INC 03769M106 | $1429.0T | 57 |
| 125 | GLOBAL PMTS INC 37940X102 | $1417.1T | 44 |
| 126 | TESLA INC 88160R901 | $1409.1T | 3 |
| 127 | VANGUARD GROWTH ETF 922908736 | $1403.4T | 116 |
| 128 | BRISTOL MYERS SQUIBB CO 110122108 | $1387.3T | 120 |
| 129 | BLACKSTONE INC 09260D107 | $1383.5T | 104 |
| 130 | HOWMET AEROSPACE INC 443201108 | $1375.9T | 57 |
| 131 | APPLE INC 037833950 | $1370.7T | 4 |
| 132 | UNION PAC CORP 907818108 | $1362.2T | 120 |
| 133 | AUTODESK INC 052769106 | $1354.9T | 76 |
| 134 | CATERPILLAR INC 149123101 | $1353.3T | 155 |
| 135 | MEDTRONIC PLC F G5960L103 | $1351.9T | 122 |
| 136 | AMAZON COM INC 023135906 | $1351.6T | 2 |
| 137 | CAPITAL ONE FINL CORP 14040H105 | $1328.6T | 82 |
| 138 | VANGUARD FTSE DEVELOPED 921943858 | $1317.9T | 132 |
| 139 | ISHARES SILVER TR 46428Q959 | $1295.8T | 4 |
| 140 | BOEING CO 097023105 | $1294.5T | 109 |
| 141 | PALANTIR TECHNOLOGIES INC 69608A108 | $1286.1T | 116 |
| 142 | AMPHENOL CORP NEW 032095101 | $1280.5T | 80 |
| 143 | INTERCONTINENTAL EXCHANGE IN 45866F104 | $1277.6T | 78 |
| 144 | IQVIA HLDGS INC 46266C105 | $1268.8T | 60 |
| 145 | REGENERON PHARMACEUTICAL 75886F107 | $1250.3T | 72 |
| 146 | TARGET CORP 87612E106 | $1241.5T | 86 |
| 147 | DEERE & CO 244199105 | $1234.0T | 116 |
| 148 | ISHARES TR 464287408 | $1231.5T | 74 |
| 149 | FREEPORT-MCMORAN INC 35671D857 | $1221.9T | 81 |
| 150 | BROOKFIELD CORP 11271J107 | $1204.6T | 34 |
| 151 | AIRBNB INC 009066101 | $1201.3T | 71 |
| 152 | HUBSPOT INC 443573100 | $1192.3T | 43 |
| 153 | GENERAL DYNAMICS CORP 369550108 | $1184.1T | 97 |
| 154 | AIR PRODS & CHEMS INC 009158106 | $1183.3T | 79 |
| 155 | LOWES COS INC 548661107 | $1183.0T | 140 |
| 156 | MICROSOFT CORP 594918954 | $1177.5T | 2 |
| 157 | ISHARES TR 464287598 | $1168.5T | 79 |
| 158 | COSTAR GROUP INC 22160N109 | $1165.0T | 42 |
| 159 | ISHARES TR 464287507 | $1141.8T | 117 |
| 160 | COGNIZANT TECHNOLOGY SOL 192446102 | $1138.4T | 55 |
| 161 | EQT CORP 26884L109 | $1136.4T | 46 |
| 162 | CME GROUP INC 12572Q105 | $1135.6T | 66 |
| 163 | ALPHABET INC 02079K905 | $1121.5T | 4 |
| 164 | SPDR SERIES TRUST 78464A409 | $1120.5T | 67 |
| 165 | APPLIED MATLS INC 038222105 | $1114.3T | 117 |
| 166 | COLGATE PALMOLIVE CO 194162103 | $1111.9T | 100 |
| 167 | ALCON AG H01301128 | $1111.0T | 37 |
| 168 | ISHARES TR 464288877 | $1103.9T | 62 |
| 169 | NASDAQ INC 631103108 | $1097.4T | 53 |
| 170 | AUTOMATIC DATA PROCESSING IN 053015103 | $1092.6T | 112 |
| 171 | SYNOPSYS INC 871607107 | $1090.7T | 75 |
| 172 | BLACKROCK INC NEW 09290D101 | $1081.5T | 77 |
| 173 | SPOTIFY TECHNOLOGY S A L8681T102 | $1077.5T | 59 |
| 174 | ASTRAZENECA PLC F 046353108 | $1056.3T | 74 |
| 175 | NORFOLK SOUTHN CORP 655844108 | $1054.2T | 85 |
| 176 | PAYPAL HLDGS INC 70450Y103 | $1051.7T | 105 |
| 177 | PNC FINL SVCS GROUP INC 693475105 | $1038.5T | 81 |
| 178 | MAIN SECTOR ROTATION ETF 66538H591 | $1027.5T | 7 |
| 179 | AMERIPRISE FINL INC 03076C106 | $1016.8T | 77 |
| 180 | ISHARES TR 464287804 | $1011.4T | 120 |
| 181 | EXPEDIA GROUP INC 30212P303 | $1009.4T | 52 |
| 182 | ENERGY TRANSFER L P LP 29273V100 | $1009.3T | 69 |
| 183 | ARISTA NETWORKS INC 040413205 | $1004.1T | 68 |
| 184 | UNITED PARCEL SVC INC 911312106 | $1001.6T | 110 |
| 185 | CHENIERE ENERGY INC 16411R208 | $998468.6B | 66 |
| 186 | VANGUARD TOTAL BOND 921937835 | $998399.4B | 97 |
| 187 | HUNTINGTON BANCSHARES INC 446150104 | $995104.9B | 51 |
| 188 | GE VERNOVA INC 36828A101 | $985837.3B | 97 |
| 189 | MONSTER BEVERAGE CORP NEW 61174X109 | $975231.5B | 57 |
| 190 | BROADCOM INC 11135F901 | $975229.5B | 2 |
| 191 | PIONEER NAT RES CO 723787107 | $958558.2B | 8 |
| 192 | ECOLAB INC 278865100 | $958045.8B | 80 |
| 193 | US FOODS HLDG CORP 912008109 | $953366.1B | 28 |
| 194 | MONDELEZ INTL INC 609207105 | $944638.9B | 94 |
| 195 | CENCORA INC 03073E105 | $944536.1B | 71 |
| 196 | JPMORGAN EQUITY PREMIUM 46641Q332 | $942507.6B | 68 |
| 197 | EOG RES INC 26875P101 | $935504.9B | 71 |
| 198 | PROLOGIS INC. 74340W103 | $925173.9B | 79 |
| 199 | TAIWAN SEMICONDUCTOR MFG LTD SPONSOR 874039950 | $921307.0B | 3 |
| 200 | ALTRIA GROUP INC 02209S103 | $919542.6B | 110 |
| 201 | LAM RESEARCH CORP 512807306 | $915204.3B | 69 |
| 202 | INVESCO EXCHANGE TRADED FD T 46137V357 | $913007.7B | 99 |
| 203 | L3HARRIS TECHNOLOGIES IN 502431109 | $907752.5B | 71 |
| 204 | ENTERPRISE PRODS PARTNERS L 293792107 | $904234.5B | 82 |
| 205 | CITIGROUP INC 172967424 | $898564.4B | 100 |
| 206 | NIKE INC 654106103 | $895265.2B | 108 |
| 207 | VULCAN MATLS CO 929160109 | $893828.9B | 44 |
| 208 | MARVELL TECHNOLOGY INC 573874104 | $892765.9B | 70 |
| 209 | UNITED RENTALS INC 911363109 | $891875.7B | 70 |
| 210 | STARBUCKS CORP 855244109 | $890531.7B | 119 |
| 211 | NEWMONT CORP 651639106 | $889002.7B | 78 |
| 212 | ISHARES TR 464287150 | $888187.4B | 63 |
| 213 | ISHARES TR 464287902 | $888087.3B | 2 |
| 214 | AMERICAN INTL GROUP INC 026874784 | $887420.6B | 57 |
| 215 | INTEL CORP 458140100 | $881675.5B | 109 |
| 216 | ISHARES SILVER TR 46428Q909 | $873309.3B | 2 |
| 217 | CHUBB LTD F H1467J104 | $866820.8B | 99 |
| 218 | IDEXX LABS INC 45168D104 | $864439.5B | 72 |
| 219 | BERKSHIRE HATHAWAY INC DEL 084670108 | $863833.4B | 46 |
| 220 | GALLAGHER ARTHUR J & CO 363576109 | $860434.9B | 70 |
| 221 | CINTAS CORP 172908105 | $859687.4B | 83 |
| 222 | ISHARES TR 464287309 | $853012.8B | 91 |
| 223 | THE CIGNA GROUP 125523100 | $850357.6B | 81 |
| 224 | LOCKHEED MARTIN CORP 539830109 | $842024.0B | 136 |
| 225 | FORD MTR CO DEL 345370860 | $832579.0B | 104 |
| 226 | WELLTOWER INC 95040Q104 | $830090.7B | 62 |
| 227 | CORTEVA INC 22052L104 | $828273.5B | 69 |
| 228 | US BANCORP DEL 902973304 | $822084.4B | 90 |
| 229 | TARGA RES CORP 87612G101 | $819495.9B | 44 |
| 230 | TRANE TECHNOLOGIES PLC G8994E103 | $814755.6B | 84 |
| 231 | TRANSDIGM GROUP INC 893641100 | $813989.0B | 56 |
| 232 | SLB LIMITED 806857108 | $813986.3B | 73 |
| 233 | ONEOK INC NEW 682680103 | $808651.7B | 88 |
| 234 | META PLATFORMS INC 30303M952 | $808579.4B | 2 |
| 235 | SELECT SECTOR SPDR TR 81369Y905 | $802374.8B | 2 |
| 236 | JOHNSON CONTROLS INT F G51502105 | $789816.6B | 72 |
| 237 | NORTHROP GRUMMAN CORP 666807102 | $789241.9B | 86 |
| 238 | VISTRA CORP 92840M102 | $788205.4B | 56 |
| 239 | CADENCE DESIGN SYSTEM INC 127387108 | $785103.4B | 71 |
| 240 | ISHARES S&P 100 ETF 464287101 | $783562.7B | 49 |
| 241 | META PLATFORMS INC 30303M902 | $782150.2B | 2 |
| 242 | VANGUARD INTL EQUITY INDEX F 922042858 | $781642.0B | 115 |
| 243 | EXELIXIS INC 30161Q104 | $767488.2B | 30 |
| 244 | ISHARES TR 464287465 | $767274.9B | 92 |
| 245 | DIMENSIONAL U S CORE 25434V708 | $767225.8B | 44 |
| 246 | HCA HEALTHCARE INC 40412C101 | $765436.2B | 52 |
| 247 | CONSTELLATION ENERGY COR 21037T109 | $762606.1B | 79 |
| 248 | ISHARES INC 46434G103 | $760973.8B | 102 |
| 249 | MSCI INC 55354G100 | $756298.6B | 60 |
| 250 | PUBLIC STORAGE OPER CO 74460D109 | $754990.8B | 56 |
| 251 | AVANTOR INC 05352A100 | $754588.0B | 27 |
| 252 | APPLOVIN CORP 03831W108 | $749270.1B | 56 |
| 253 | VERISK ANALYTICS INC 92345Y106 | $748500.2B | 53 |
| 254 | AVALONBAY CMNTYS INC 053484101 | $748429.1B | 33 |
| 255 | MERCADOLIBRE INC 58733R102 | $745923.5B | 76 |
| 256 | CVS HEALTH CORP 126650100 | $739529.1B | 97 |
| 257 | DOVER CORP 260003108 | $739236.6B | 51 |
| 258 | 3M CO 88579Y101 | $737231.1B | 104 |
| 259 | GENERAL MTRS CO 37045V100 | $735810.4B | 70 |
| 260 | BLACKROCK ETF TRUST II 092528603 | $729622.3B | 33 |
| 261 | ELEVANCE HEALTH INC FORMERLY 036752103 | $727449.4B | 78 |
| 262 | HALLIBURTON CO 406216101 | $724316.5B | 54 |
| 263 | TE CONNECTIVITY LTD F H84989104 | $718761.2B | 10 |
| 264 | DUKE ENERGY CORP NEW 26441C204 | $717232.8B | 109 |
| 265 | SPDR SERIES TRUST 78464A508 | $711488.2B | 59 |
| 266 | SPDR GOLD SHARES ETF 78463V107 | $708479.9B | 136 |
| 267 | PARKER-HANNIFIN CORP 701094104 | $706770.4B | 79 |
| 268 | TRANSUNION 89400J107 | $703128.9B | 24 |
| 269 | ALPHABET INC 02079K957 | $701144.7B | 2 |
| 270 | ISHARES GOLD ETF 464285204 | $700470.6B | 82 |
| 271 | BAKER HUGHES COMPANY 05722G100 | $696530.9B | 45 |
| 272 | KLA CORP 482480100 | $691472.9B | 92 |
| 273 | SCHWAB US DIVIDEND 808524797 | $688749.9B | 87 |
| 274 | BIOGEN INC 09062X103 | $686483.3B | 56 |
| 275 | Aramark 03852U106 | $685335.1B | 18 |
| 276 | ICON PLC G4705A100 | $677041.7B | 37 |
| 277 | STATE STRET TEC SELECT 81369Y803 | $676158.4B | 105 |
| 278 | NOVO-NORDISK A S F 670100205 | $672883.8B | 86 |
| 279 | ISHARES 20 PLS YEAR 464287432 | $671402.5B | 75 |
| 280 | AVERY DENNISON CORP 053611109 | $669329.1B | 40 |
| 281 | PUTNAM ESG CORE BOND ETF 746729607 | $668546.0B | 2 |
| 282 | FEDEX CORP 31428X106 | $666425.6B | 101 |
| 283 | CBRE GROUP INC 12504L109 | $664332.9B | 56 |
| 284 | ST STERT SPDR BLMBG 1 3 78468R663 | $663588.5B | 69 |
| 285 | ISHARES US TECHNOLOGY 464287721 | $660590.8B | 62 |
| 286 | TRAVELERS COS INC 89417E109 | $658750.7B | 69 |
| 287 | CSX CORP 126408103 | $656957.9B | 83 |
| 288 | SCHWAB US LARGE CAP 808524300 | $647621.1B | 70 |
| 289 | AGNICO EAGLE MINES LTD F 008474108 | $647140.0B | 43 |
| 290 | SELECT SECTOR SPDR TR 81369Y955 | $646462.7B | 2 |
| 291 | MICROCHIP TECHNOLOGY INC. 595017104 | $645903.7B | 68 |
| 292 | WABTEC 929740108 | $644914.9B | 60 |
| 293 | COPART INC 217204106 | $640161.8B | 62 |
| 294 | EMERSON ELEC CO 291011104 | $639715.2B | 95 |
| 295 | METLIFE INC 59156R108 | $634849.3B | 67 |
| 296 | KKR & CO INC 48251W104 | $629403.9B | 56 |
| 297 | VANGUARD DIVIDEND 921908844 | $626319.3B | 115 |
| 298 | MARRIOTT INTL INC NEW 571903202 | $617705.9B | 82 |
| 299 | ATLASSIAN CORPORATION 049468101 | $616860.2B | 49 |
| 300 | FAIR ISAAC CORP 303250104 | $615029.8B | 49 |
| 301 | DIAMONDBACK ENERGY INC 25278X109 | $612255.9B | 60 |
| 302 | CRH PUBLIC LIMITED CO F G25508105 | $609369.0B | 47 |
| 303 | BECTON DICKINSON & CO 075887109 | $607789.5B | 81 |
| 304 | PINTEREST INC 72352L106 | $605440.9B | 47 |
| 305 | EVEREST GROUP LTD G3223R108 | $601069.1B | 46 |
| 306 | ZIMMER BIOMET HLDGS INC 98956P102 | $600557.9B | 53 |
| 307 | SEAGATE TECHNOLOGY HLDNGS PL G7997R103 | $600111.2B | 48 |
| 308 | REPUBLIC SVCS INC 760759100 | $599418.0B | 59 |
| 309 | CARNIVAL CORP F 143658300 | $598453.5B | 60 |
| 310 | MARATHON PETE CORP 56585A102 | $597637.4B | 92 |
| 311 | CDW CORP 12514G108 | $596623.0B | 49 |
| 312 | ISHARES TR 464287952 | $593629.2B | 2 |
| 313 | MONOLITHIC PWR SYS INC 609839105 | $590899.1B | 46 |
| 314 | HILTON WORLDWIDE HLDGS INC 43300A203 | $589450.3B | 54 |
| 315 | ROSS STORES INC 778296103 | $589145.2B | 60 |
| 316 | PACER FDS TR 69374H881 | $586291.2B | 48 |
| 317 | VERALTO CORP 92338C103 | $585849.1B | 57 |
| 318 | JPMORGAN ULTRA SHORT 46641Q837 | $581539.4B | 67 |
| 319 | SOUTHERN CO 842587107 | $578761.8B | 109 |
| 320 | NEW YORK TIMES CO 650111107 | $578329.1B | 28 |
| 321 | GODADDY INC 380237107 | $577642.4B | 32 |
| 322 | TYLER TECHNOLOGIES INC 902252105 | $576947.4B | 36 |
| 323 | DIGITAL RLTY TR INC 253868103 | $576457.2B | 61 |
| 324 | CONSTELLATION BRANDS INC 21036P108 | $572586.3B | 67 |
| 325 | AUTOZONE INC 053332102 | $567656.8B | 62 |
| 326 | DELTA AIR LINES INC DEL 247361702 | $565605.6B | 69 |
| 327 | FIDELITY TOTAL BOND ETF 316188309 | $564902.2B | 33 |
| 328 | VALERO ENERGY CORP 91913Y100 | $564398.4B | 77 |
| 329 | ISHARES TR 46429B697 | $563865.4B | 76 |
| 330 | VANGUARD MID CAP ETF 922908629 | $563373.7B | 101 |
| 331 | DISCOVER FINL SVCS COM STK 254709108 | $560775.0B | 30 |
| 332 | ISHARES 10-20 YEAR TSURY 464288653 | $559612.6B | 34 |
| 333 | D R HORTON INC 23331A109 | $557657.8B | 65 |
| 334 | CASEYS GEN STORES INC 147528103 | $557643.9B | 36 |
| 335 | PPG INDS INC 693506107 | $556102.2B | 46 |
| 336 | GOLDMAN SACHS ETF TR 381430503 | $551812.5B | 30 |
| 337 | VERTIV HOLDINGS CO 92537N108 | $551601.2B | 66 |
| 338 | ISHARES TR 464288414 | $550593.7B | 80 |
| 339 | TRACTOR SUPPLY CO 892356106 | $548018.4B | 60 |
| 340 | RBC BEARINGS INC 75524B104 | $546214.9B | 25 |
| 341 | CARDINAL HEALTH INC 14149Y108 | $543122.2B | 57 |
| 342 | SOUTHERN COPPER CORP 84265V105 | $542278.9B | 30 |
| 343 | ILLINOIS TOOL WKS INC 452308109 | $542240.9B | 85 |
| 344 | VANGUARD TOTAL 921909768 | $541136.2B | 61 |
| 345 | SELECT SECTOR SPDR TR 81369Y209 | $540426.1B | 85 |
| 346 | EDISON INTL 281020107 | $536777.1B | 48 |
| 347 | KYNDRYL HLDGS INC 50155Q100 | $533680.5B | 44 |
| 348 | ABACUS FCF LEADERS ETF 89628W302 | $533426.8B | 2 |
| 349 | CANADIAN PACIFIC KANSAS CITY 13646K108 | $533416.7B | 46 |
| 350 | NATERA INC 632307104 | $533237.4B | 33 |
| 351 | CHIPOTLE MEXICAN GRILL I 169656105 | $529423.5B | 89 |
| 352 | VANGUARD MUNI BND TAX 922907746 | $528614.1B | 64 |
| 353 | ISHARES TR 464287556 | $527611.1B | 44 |
| 354 | FIDELITY COVINGTON TRUST 316092352 | $525904.6B | 10 |
| 355 | TREX CO INC 89531P105 | $519886.9B | 25 |
| 356 | SAP SE 803054204 | $518704.6B | 47 |
| 357 | CENTENE CORP DEL 15135B101 | $517430.4B | 47 |
| 358 | AFLAC INC 001055102 | $516812.3B | 75 |
| 359 | AMETEK INC 031100100 | $516762.3B | 46 |
| 360 | SNOWFLAKE INC 833445109 | $515149.7B | 60 |
| 361 | CUMMINS INC 231021106 | $514351.1B | 77 |
| 362 | CHURCH & DWIGHT CO INC 171340102 | $511140.2B | 50 |
| 363 | ALIBABA GROUP HLDG LTD F 01609W102 | $509491.2B | 68 |
| 364 | TAKE-TWO INTERACTIVE SOFTWAR 874054109 | $507296.4B | 48 |
| 365 | CORNING INC 219350105 | $504817.2B | 74 |
| 366 | BANK NEW YORK MELLON CORP 064058100 | $504435.2B | 77 |
| 367 | Unilever PLC 904767704 | $504058.0B | 58 |
| 368 | OTIS WORLDWIDE CORP 68902V107 | $501995.7B | 58 |
| 369 | UNITED AIRLINES HLDG 910047109 | $500788.7B | 51 |
| 370 | CENTERPOINT ENERGY INC 15189T107 | $499728.7B | 39 |
| 371 | ZSCALER INC 98980G102 | $493180.1B | 48 |
| 372 | PHILLIPS 66 718546104 | $492508.2B | 88 |
| 373 | ARGENX SE 04016X101 | $491943.0B | 25 |
| 374 | HESS CORP 42809H107 | $491254.3B | 30 |
| 375 | ISHARES IBOXX HIGH YIELD 464288513 | $486549.2B | 61 |
| 376 | VANGUARD HIGH DIVIDEND 921946406 | $482669.7B | 95 |
| 377 | CARVANA CO 146869102 | $481877.8B | 32 |
| 378 | VANGUARD SMALL CAP ETF 922908751 | $479151.0B | 108 |
| 379 | FORTINET INC 34959E109 | $479118.3B | 62 |
| 380 | LENNAR CORP 526057104 | $477710.4B | 55 |
| 381 | KENVUE INC 49177J102 | $477666.5B | 50 |
| 382 | WASTE CONNECTIONS INC 94106B101 | $475397.6B | 43 |
| 383 | ISHARES TR 464287499 | $474892.8B | 60 |
| 384 | VANGUARD INTERMEDIATE 92206C870 | $474396.6B | 67 |
| 385 | LAM RESEARCH CORP 512807108 | $473647.6B | 30 |
| 386 | QUEST DIAGNOSTICS INC 74834L100 | $472885.5B | 43 |
| 387 | ROBINHOOD MKTS INC 770700102 | $470141.5B | 52 |
| 388 | ATMOS ENERGY CORP 049560105 | $470026.5B | 39 |
| 389 | MANHATTAN ASSOCIATES INC 562750109 | $469402.0B | 36 |
| 390 | COINBASE GLOBAL INC 19260Q107 | $467613.9B | 62 |
| 391 | PACCAR INC 693718108 | $466664.3B | 47 |
| 392 | VANGUARD TOTAL 92203J407 | $466285.1B | 63 |
| 393 | PAYCHEX INC 704326107 | $463377.4B | 87 |
| 394 | ISHARES TR 464287954 | $463178.4B | 3 |
| 395 | HEICO CORP NEW 422806109 | $462900.4B | 38 |
| 396 | NETAPP INC 64110D104 | $462529.7B | 44 |
| 397 | BLACKROCK INC NEW 09247X101 | $461932.7B | 34 |
| 398 | MARVELL TECHNOLOGY INC 573874954 | $461406.8B | 2 |
| 399 | NXP SEMICONDUCTORS N V N6596X109 | $460034.5B | 57 |
| 400 | QUANTA SVCS INC 74762E102 | $458756.4B | 66 |
| 401 | VANGUARD SHORT TERM COR 92206C409 | $458685.2B | 67 |
| 402 | CHARLES RIV LABS INTL INC 159864107 | $457655.2B | 28 |
| 403 | PERFORMANCE FOOD GROUP CO 71377A103 | $455366.3B | 23 |
| 404 | CF INDS HLDGS INC 125269100 | $453454.2B | 44 |
| 405 | SIMON PPTY GROUP INC NEW 828806109 | $452730.6B | 67 |
| 406 | SPROUTS FMRS MKT INC 85208M102 | $450621.1B | 42 |
| 407 | SPDR DOW JONES INDL AVERAGE 78467X959 | $447502.5B | 2 |
| 408 | DOORDASH INC 25809K105 | $447367.9B | 44 |
| 409 | VANGUARD INFORMATION 92204A702 | $446800.2B | 86 |
| 410 | MPLX LP LP 55336V100 | $442566.1B | 28 |
| 411 | INSULET CORP 45784P101 | $442549.5B | 41 |
| 412 | ALLSTATE CORP 020002101 | $442248.4B | 65 |
| 413 | SCHWAB US LARGE CAP ETF 808524201 | $436158.1B | 69 |
| 414 | LAUDER ESTEE COS INC 518439104 | $435571.4B | 52 |
| 415 | FIRSTENERGY CORP 337932107 | $433354.1B | 40 |
| 416 | WARNER BROS DISCOVERY IN 934423104 | $432425.5B | 65 |
| 417 | ISHARES TR 464287739 | $431700.6B | 32 |
| 418 | FRANKLIN U.S. LARGE CAP MULT 35473P801 | $428273.3B | 8 |
| 419 | CARMAX INC 143130102 | $427668.8B | 37 |
| 420 | IONIS PHARMACEUTICALS INC 462222100 | $426764.0B | 24 |
| 421 | RESMED INC 761152107 | $426056.0B | 42 |
| 422 | ISHARES TR 464287622 | $424309.4B | 67 |
| 423 | SPDR SERIES TRUST 78464A870 | $424273.2B | 42 |
| 424 | WESTERN DIGITAL CORP 958102105 | $423931.1B | 48 |
| 425 | XPO INC 983793100 | $422158.8B | 27 |
| 426 | ARES MANAGEMENT CORPORATION 03990B101 | $421189.3B | 35 |
| 427 | AMERICAN ELEC PWR CO INC 025537101 | $420358.4B | 82 |
| 428 | PUBLIC SVC ENTERPRISE GR 744573106 | $420323.6B | 62 |
| 429 | TEXAS ROADHOUSE INC 882681109 | $419147.6B | 35 |
| 430 | LATTICE SEMICONDUCTOR CORP 518415104 | $417562.9B | 21 |
| 431 | TRUIST FINL CORP 89832Q109 | $416223.1B | 77 |
| 432 | LIVE NATION ENTERTAINMENT IN 538034109 | $415546.0B | 39 |
| 433 | J P MORGAN EXCHANGE TRADED F 46641Q167 | $415428.3B | 11 |
| 434 | MOLINA HEALTHCARE INC 60855R100 | $415164.7B | 30 |
| 435 | PACKAGING CORP AMER 695156109 | $413834.6B | 39 |
| 436 | ISHARES MSCI USA MOMNTUM 46432F396 | $413406.4B | 54 |
| 437 | AXON ENTERPRISE INC 05464C101 | $410100.9B | 50 |
| 438 | EBAY INC 278642103 | $409021.9B | 59 |
| 439 | APPLOVIN CORP 03831W958 | $408847.6B | 3 |
| 440 | DARDEN RESTAURANTS INC 237194105 | $408316.3B | 49 |
| 441 | AMAZON COM INC 023135956 | $407398.1B | 3 |
| 442 | EDWARDS LIFESCIENCES COR 28176E108 | $407327.4B | 59 |
| 443 | GENERAL MILLS INC 370334104 | $406346.0B | 79 |
| 444 | ALBEMARLE CORP 012653200 | $404847.6B | 7 |
| 445 | NVR INC 62944T105 | $404841.8B | 37 |
| 446 | ISHARES MSCI EAFE GROWTH 464288885 | $404157.2B | 59 |
| 447 | DT MIDSTREAM INC 23345M107 | $402264.6B | 32 |
| 448 | SAREPTA THERAPEUTICS INC 803607100 | $401545.4B | 21 |
| 449 | WESTERN MIDSTREAM PAR LP 958669103 | $400643.0B | 17 |
| 450 | ISHARES TR 46434V621 | $399819.9B | 57 |
| 451 | KEYSIGHT TECHNOLOGIES INC 49338L103 | $399563.3B | 46 |
| 452 | BALL CORP 058498106 | $399243.6B | 35 |
| 453 | ADVANCED DRAIN SYS INC DEL 00790R104 | $397587.7B | 27 |
| 454 | OCCIDENTAL PETE CORP 674599105 | $397121.2B | 64 |
| 455 | BJS WHSL CLUB HLDGS INC 05550J101 | $396237.1B | 28 |
| 456 | BWX TECHNOLOGIES INC 05605H100 | $396053.5B | 32 |
| 457 | CLEAN HARBORS INC 184496107 | $394927.9B | 28 |
| 458 | SCHWAB US AGGREGATE BOND 808524839 | $394685.9B | 34 |
| 459 | SHIFT4 PMTS INC 82452J109 | $394092.6B | 19 |
| 460 | WEC ENERGY GROUP INC 92939U106 | $393497.4B | 70 |
| 461 | PG&E CORP 69331C108 | $392110.6B | 45 |
| 462 | SPDR S&P 500 ETF TR 78462F953 | $391661.1B | 4 |
| 463 | WINGSTOP INC 974155103 | $390461.1B | 24 |
| 464 | VANGUARD INTERMEDIATE 921937819 | $386848.9B | 53 |
| 465 | CANADIAN NAT RES LTD 136385101 | $386717.0B | 34 |
| 466 | FULL TRUCK ALLIANCE CO LTD 35969L108 | $385705.4B | 13 |
| 467 | PERMIAN RESOURCES CORP 71424F105 | $385260.6B | 27 |
| 468 | SBA COMMUNICATIONS CORP NEW 78410G104 | $385223.3B | 38 |
| 469 | ARCHER DANIELS MIDLAND CO 039483102 | $383151.1B | 51 |
| 470 | WEST PHARMACEUTICAL SVSC INC 955306105 | $381870.5B | 48 |
| 471 | VANGUARD BD INDEX FDS 921937827 | $381444.0B | 69 |
| 472 | REXFORD INDL RLTY INC 76169C100 | $379272.7B | 25 |
| 473 | TRADEWEB MKTS INC 892672106 | $377185.9B | 26 |
| 474 | SPDR SERIES TRUST 78464A649 | $375822.6B | 32 |
| 475 | ISHARES RUSSELL MID-CAP GROWTH ETF 464287481 | $375483.6B | 58 |
| 476 | ENTERGY CORP NEW 29364G103 | $375279.7B | 53 |
| 477 | BANK AMERICA CORP 060505954 | $375160.1B | 2 |
| 478 | WISDOMTREE US QLT DIV 97717X669 | $374177.2B | 45 |
| 479 | TETRA TECH INC NEW 88162G103 | $372800.8B | 30 |
| 480 | ISHARES BITCOIN ETF 46438F101 | $372334.7B | 67 |
| 481 | KRAFT HEINZ CO 500754106 | $372152.2B | 62 |
| 482 | BLACKROCK ETF TRUST 09290C806 | $371985.2B | 8 |
| 483 | DATADOG INC 23804L103 | $371934.1B | 52 |
| 484 | WEATHERFORD INTL PLC G48833118 | $371503.2B | 22 |
| 485 | ALIBABA GROUP HLDG LTD 01609W952 | $371127.2B | 3 |
| 486 | INVESCO EXCH TRADED FD TR II 46138G649 | $370924.9B | 55 |
| 487 | INTERACTIVE BROKERS GROUP IN 45841N107 | $370226.6B | 45 |
| 488 | EXPAND ENERGY CORPORATION 165167735 | $369474.4B | 33 |
| 489 | AXON ENTERPRISE INC 05464CAB7 | $368488.5B | 5 |
| 490 | KINDER MORGAN INC DEL 49456B101 | $368143.9B | 82 |
| 491 | HALEON PLC 405552100 | $367855.9B | 35 |
| 492 | CHEMED CORP NEW 16359R103 | $364326.6B | 26 |
| 493 | MASIMO CORP 574795100 | $364144.6B | 22 |
| 494 | KIMBERLY CLARK CORP 494368103 | $362532.9B | 81 |
| 495 | WESCO INTL INC 95082P105 | $361307.8B | 25 |
| 496 | CHARTER COMMUNICATIONS INC N 16119P108 | $360298.6B | 42 |
| 497 | WATSCO INC 942622200 | $359710.6B | 40 |
| 498 | ISHARES CORE MSCI TOTL 46432F834 | $359418.3B | 40 |
| 499 | VANGUARD INDEX FDS 922908611 | $357034.0B | 68 |
| 500 | FIDELITY NATL INFORMATION SV 31620M106 | $355606.6B | 59 |
| 501 | CYBERARK SOFTWARE LTD M2682V108 | $354098.8B | 33 |
| 502 | MARKEL GROUP INC 570535104 | $353402.0B | 44 |
| 503 | ULTA BEAUTY INC 90384S303 | $353341.9B | 56 |
| 504 | INVESCO EXCHANGE TRADED FD T 46137V241 | $352978.5B | 45 |
| 505 | VANGUARD INTER-TERM 92206C706 | $352880.6B | 42 |
| 506 | J P MORGAN EXCHANGE TRADED F 46654Q203 | $351284.4B | 55 |
| 507 | TKO GROUP HOLDINGS INC 87256C101 | $350138.1B | 29 |
| 508 | MATCH GROUP INC NEW 57667L107 | $349446.6B | 28 |
| 509 | CROWN CASTLE INC 22822V101 | $349115.8B | 58 |
| 510 | ISHARES SHORT TERM NTNL 464288158 | $348996.2B | 44 |
| 511 | CNX RES CORP 12653C108 | $346473.8B | 22 |
| 512 | EQUITY LIFESTYLE PPTYS INC 29472R108 | $345167.0B | 34 |
| 513 | PPL CORP 69351T106 | $342711.1B | 47 |
| 514 | DELTA AIR LINES INC DEL 247361902 | $341096.3B | 2 |
| 515 | NVENT ELECTRIC PLC G6700G107 | $339586.5B | 29 |
| 516 | ELECTRONIC ARTS INC 285512109 | $339383.4B | 59 |
| 517 | GARTNER INC 366651107 | $339275.0B | 44 |
| 518 | WHEATON PRECIOUS METALS CORP 962879102 | $339263.2B | 30 |
| 519 | ATKORE INC 047649108 | $339186.5B | 20 |
| 520 | SCIENCE APPLICATIONS INTL CO 808625107 | $337532.0B | 23 |
| 521 | STATE STRET ENRGY SLECT 81369Y506 | $335083.8B | 97 |
| 522 | GXO LOGISTICS INC 36262G101 | $335071.4B | 24 |
| 523 | DIAGEO PLC 25243Q205 | $332822.1B | 50 |
| 524 | SPDR S&P MIDCAP 400 ETF TR 78467Y107 | $332510.8B | 67 |
| 525 | REALTY INCOME CORP 756109104 | $332450.8B | 67 |
| 526 | HAEMONETICS CORP MASS 405024100 | $331860.1B | 15 |
| 527 | BROADCOM INC 11135F951 | $331841.6B | 2 |
| 528 | KROGER CO 501044101 | $331697.5B | 73 |
| 529 | WILLSCOT HLDGS CORP 971378104 | $328906.7B | 22 |
| 530 | DEXCOM INC 252131107 | $328679.1B | 55 |
| 531 | ROYAL CARIBBEAN GROUP V7780T103 | $327312.8B | 59 |
| 532 | ARCOSA INC 039653100 | $326515.3B | 20 |
| 533 | DELL TECHNOLOGIES INC 24703L202 | $326267.5B | 71 |
| 534 | MARTIN MARIETTA MATLS INC 573284106 | $326157.6B | 44 |
| 535 | THE TRADE DESK INC 88339J105 | $325705.7B | 63 |
| 536 | TELEDYNE TECHNOLOGIES INC 879360105 | $325573.5B | 32 |
| 537 | VALMONT INDS INC 920253101 | $325510.3B | 24 |
| 538 | BEST BUY INC 086516101 | $325429.9B | 55 |
| 539 | REVOLUTION MEDICINES INC 76155X100 | $325417.4B | 16 |
| 540 | FERGUSON ENTERPRISES INC 31488V107 | $324841.4B | 31 |
| 541 | TECHNIPFMC PLC G87110105 | $324127.9B | 21 |
| 542 | MEDPACE HLDGS INC 58506Q109 | $323778.8B | 33 |
| 543 | FERGUSON PLC NEW G3421J106 | $323541.1B | 5 |
| 544 | ISHARES MBS ETF 464288588 | $321739.4B | 60 |
| 545 | ROCKWELL AUTOMATION INC 773903109 | $321559.5B | 61 |
| 546 | HP INC 40434L105 | $321540.6B | 55 |
| 547 | FOX CORP 35137L105 | $321385.1B | 32 |
| 548 | FERRARI N V N3167Y103 | $319891.7B | 45 |
| 549 | REGENCY CTRS CORP 758849103 | $319613.5B | 28 |
| 550 | CLOUDFLARE INC 18915M107 | $319484.2B | 50 |
| 551 | EQUIFAX INC 294429105 | $319374.9B | 40 |
| 552 | J P MORGAN EXCHANGE TRADED F 46641Q670 | $319265.6B | 21 |
| 553 | VANGUARD REAL ESTATE 922908553 | $319002.5B | 85 |
| 554 | PULTE GROUP INC 745867101 | $318860.0B | 56 |
| 555 | BURLINGTON STORES INC 122017106 | $318751.3B | 26 |
| 556 | ROLLINS INC 775711104 | $318737.8B | 38 |
| 557 | WORLD GOLD TR 98149E303 | $318471.6B | 41 |
| 558 | CARRIER GLOBAL CORPORATION 14448C104 | $315500.5B | 69 |
| 559 | NEXSTAR MEDIA GROUP INC CLASS CLASS A 65336K103 | $313743.4B | 26 |
| 560 | CORPAY INC 219948106 | $313219.9B | 36 |
| 561 | ALPHABET INC 02079K955 | $312812.2B | 2 |
| 562 | AGILENT TECHNOLOGIES INC 00846U101 | $312751.6B | 52 |
| 563 | ISHARES TR 46429B747 | $312617.2B | 36 |
| 564 | INVITATION HOMES INC 46187W107 | $312280.7B | 30 |
| 565 | ROBLOX CORP 771049103 | $311990.1B | 43 |
| 566 | FIRST TR EXCHANGE TRADED FD 33738R506 | $311469.7B | 43 |
| 567 | RALPH LAUREN CORP 751212101 | $311427.6B | 37 |
| 568 | HERSHEY CO 427866108 | $311308.3B | 68 |
| 569 | YUM BRANDS INC 988498101 | $311215.4B | 72 |
| 570 | J P MORGAN EXCHANGE TRADED F 46654Q609 | $310405.7B | 15 |
| 571 | HARTFORD INSURANCE GROUP INC 416515104 | $310158.6B | 53 |
| 572 | LIBERTY MEDIA CORP DEL 531229755 | $309953.7B | 30 |
| 573 | DUPONT DE NEMOURS INC 26614N102 | $309577.8B | 66 |
| 574 | ANSYS INC 03662Q105 | $309328.7B | 36 |
| 575 | COTERRA ENERGY INC 127097103 | $308551.3B | 57 |
| 576 | ISHARES 0-3 MONTH 46436E718 | $308096.4B | 50 |
| 577 | JANUS DETROIT STR TR 47103U845 | $308071.7B | 34 |
| 578 | ISHARES INC 46434G764 | $307743.0B | 49 |
| 579 | FIRSTSERVICE CORP NEW 33767E202 | $306651.2B | 17 |
| 580 | OMNICOM GROUP INC 681919106 | $306132.0B | 47 |
| 581 | EXTRA SPACE STORAGE INC 30225T102 | $305752.5B | 45 |
| 582 | VERISIGN INC 92343E102 | $305615.9B | 44 |
| 583 | INGERSOLL RAND INC 45687V106 | $305588.0B | 50 |
| 584 | XYLEM INC 98419M100 | $305549.5B | 56 |
| 585 | DRAFTKINGS INC NEW 26142V105 | $304381.8B | 49 |
| 586 | E L F BEAUTY INC 26856L103 | $303896.5B | 27 |
| 587 | SHOPIFY INC F 82509L107 | $302939.4B | 88 |
| 588 | DOLLAR GEN CORP NEW 256677105 | $302393.9B | 63 |
| 589 | KIRBY CORP 497266106 | $300828.7B | 21 |
| 590 | SPDR INDEX SHS FDS 78463X889 | $300712.2B | 58 |
| 591 | JABIL INC 466313103 | $300634.3B | 43 |
| 592 | CAPITAL GROUP DIVIDEND 14020W106 | $300254.6B | 38 |
| 593 | GETTY IMAGES HOLDINGS INC 374275105 | $299944.8B | 10 |
| 594 | BAUSCH HEALTH COS INC 071734107 | $299199.9B | 14 |
| 595 | REGIONS FINANCIAL CORP NEW 7591EP100 | $299166.5B | 51 |
| 596 | STATE STREET 78464A375 | $297712.0B | 38 |
| 597 | VANGUARD LARGE CAP ETF 922908637 | $297314.3B | 67 |
| 598 | ZOOM COMMUNICATIONS INC 98980L101 | $297154.3B | 45 |
| 599 | ANTERO RESOURCES CORP 03674X106 | $295991.5B | 30 |
| 600 | VANECK MORNINGSTAR WIDE 92189F643 | $295925.4B | 43 |
| 601 | BLACKROCK ETF TRUST 09290C780 | $295296.3B | 6 |
| 602 | WIX COM LTD M98068105 | $293864.1B | 24 |
| 603 | JPMORGAN BETABUILDERS US EQU 46641Q399 | $293242.6B | 11 |
| 604 | AERCAP HOLDINGS NV N00985106 | $293019.8B | 29 |
| 605 | APTIV PLC G6095L109 | $292528.6B | 10 |
| 606 | CNH INDL N V N20944109 | $292417.4B | 26 |
| 607 | ENBRIDGE INC F 29250N105 | $291740.1B | 74 |
| 608 | GARMIN LTD H2906T109 | $290971.6B | 44 |
| 609 | VANECK ETF TRUST 92189F676 | $290920.4B | 64 |
| 610 | STE STRT FINCL SLCT 81369Y605 | $290784.6B | 81 |
| 611 | CROWN HLDGS INC 228368106 | $290529.1B | 32 |
| 612 | DOCUSIGN INC 256163106 | $290254.2B | 43 |
| 613 | AMERICAN WTR WKS CO INC 030420103 | $289721.4B | 62 |
| 614 | STRATEGY INC 594972408 | $289448.2B | 53 |
| 615 | LANDSTAR SYS INC 515098101 | $289155.9B | 22 |
| 616 | HOULIHAN LOKEY INC 441593100 | $288972.6B | 27 |
| 617 | ISHARES MSCI EMERGING 464287234 | $288461.5B | 56 |
| 618 | PRUDENTIAL FINL INC 744320102 | $288057.9B | 76 |
| 619 | GEN DIGITAL INC 668771108 | $288025.8B | 31 |
| 620 | DOXIMITY INC 26622P107 | $287696.6B | 29 |
| 621 | IBOTTA INC 451051106 | $287499.2B | 6 |
| 622 | TENCENT MUSIC ENTMT GROUP 88034P109 | $286831.1B | 16 |
| 623 | MONDAY COM LTD M7S64H106 | $286487.1B | 27 |
| 624 | VANGUARD SHORT TERM 92206C102 | $285547.9B | 50 |
| 625 | VENTAS INC 92276F100 | $285387.9B | 42 |
| 626 | HAMILTON LANE INC 407497106 | $284897.1B | 19 |
| 627 | ISHARES TR 46434V860 | $284873.8B | 24 |
| 628 | THOMSON REUTERS CORP 884903808 | $284644.8B | 27 |
| 629 | LULULEMON ATHLETICA INC 550021109 | $284189.3B | 63 |
| 630 | SEA LTD 81141R100 | $282511.6B | 37 |
| 631 | Waystar Holding Corp 946784105 | $282148.0B | 12 |
| 632 | STATE STREET SPDR S&P 78464A763 | $281828.1B | 55 |
| 633 | LEIDOS HLDGS INC 525327102 | $281038.2B | 45 |
| 634 | FASTENAL CO 311900104 | $280094.7B | 61 |
| 635 | CREDO TECHNOLOGY GROUP HOLDI G25457105 | $279958.8B | 25 |
| 636 | SCHWAB INTERNATIONAL 808524805 | $279173.5B | 60 |
| 637 | SYNOVUS FINL CORP 87161C501 | $278972.6B | 25 |
| 638 | GE AEROSPACE 369604901 | $277378.7B | 2 |
| 639 | ISHARES IBOXX INVT GRADE 464287242 | $277236.9B | 46 |
| 640 | ISHARES TR 464287905 | $276386.3B | 2 |
| 641 | ELEMENT SOLUTIONS INC 28618M106 | $276302.1B | 22 |
| 642 | SELECT SECTOR SPDR TR 81369Y957 | $276270.1B | 2 |
| 643 | LITTELFUSE INC 537008104 | $275770.4B | 23 |
| 644 | POWER INTEGRATIONS INC 739276103 | $275699.8B | 16 |
| 645 | TAPESTRY INC 876030107 | $275368.4B | 45 |
| 646 | INVESCO EXCH TRADED FD TR II 46138E339 | $275058.6B | 35 |
| 647 | MONGODB INC 60937P106 | $274925.4B | 39 |
| 648 | JACOBS SOLUTIONS INC 46982L108 | $274090.7B | 47 |
| 649 | SERVICE CORP INTL 817565104 | $274024.4B | 34 |
| 650 | INCYTE CORP 45337C102 | $273861.1B | 38 |
| 651 | IRON MTN INC NEW 46284V101 | $273809.5B | 56 |
| 652 | COHERENT CORP 19247G107 | $273771.2B | 39 |
| 653 | ROYAL BK CDA 780087102 | $272202.8B | 37 |
| 654 | COMMVAULT SYS INC 204166102 | $271398.3B | 23 |
| 655 | CCC INTELLIGENT SOLUTIONS HL 12510Q100 | $271104.1B | 21 |
| 656 | FORTIVE CORP 34959J108 | $270969.8B | 39 |
| 657 | TPG INC 872657101 | $269843.0B | 10 |
| 658 | BIO-TECHNE CORP 09073M104 | $269731.4B | 36 |
| 659 | EXELON CORP 30161N101 | $269552.4B | 59 |
| 660 | SPX TECHNOLOGIES INC 78473E103 | $268580.5B | 29 |
| 661 | APTIV PLC G3265R107 | $267128.2B | 25 |
| 662 | BLOCK INC A 852234103 | $266240.3B | 57 |
| 663 | ISHARES TR 464288646 | $266065.9B | 46 |
| 664 | ADVANCED MICRO DEVICES INC 007903907 | $264621.7B | 2 |
| 665 | MURPHY USA INC 626755102 | $263405.4B | 23 |
| 666 | SNOWFLAKE INC 833445959 | $263374.7B | 2 |
| 667 | DOMINION ENERGY INC 25746U109 | $262980.0B | 70 |
| 668 | TENET HEALTHCARE CORP 88033G407 | $262473.7B | 35 |
| 669 | ISHARES TR 464287663 | $262147.4B | 46 |
| 670 | BANK AMERICA CORP 060505904 | $262120.8B | 3 |
| 671 | SPDR SERIES TRUST 78468R853 | $260478.6B | 46 |
| 672 | NOBLE CORP PLC G65431127 | $260200.3B | 23 |
| 673 | SPDR SERIES TRUST 78468R796 | $258930.0B | 10 |
| 674 | TCW TRANSFORM SYSTEMS ETF 29287L205 | $256850.9B | 3 |
| 675 | GOLUB CAP BDC INC COM 38173M102 | $256434.6B | 20 |
| 676 | APTARGROUP INC 038336103 | $256366.5B | 26 |
| 677 | NORTHERN LTS FD TR IV 66538H179 | $254949.5B | 4 |
| 678 | WYNN RESORTS LTD 983134107 | $254939.4B | 31 |
| 679 | DECKERS OUTDOOR CORP 243537107 | $253088.4B | 43 |
| 680 | ISHARES TR 46429B655 | $252686.4B | 37 |
| 681 | ELI LILLY & CO 532457908 | $252070.7B | 2 |
| 682 | ISHARES US EQUITY FACTOR ETF 46434V282 | $251913.6B | 11 |
| 683 | PROTAGONIST THERAPEUTICS INC 74366E102 | $251496.9B | 16 |
| 684 | GATES INDL CORP PLC G39108108 | $250995.7B | 23 |
| 685 | KELLANOVA 487836108 | $250594.6B | 44 |
| 686 | EASTGROUP PPTYS INC 277276101 | $250031.3B | 24 |
| 687 | TORONTO DOMINION BK ONT 891160509 | $250026.3B | 37 |
| 688 | ISHARES INC 464286950 | $249853.0B | 2 |
| 689 | HEALTHEQUITY INC 42226A107 | $249669.9B | 29 |
| 690 | NRG ENERGY INC 629377508 | $249487.5B | 50 |
| 691 | PTC INC 69370C100 | $248683.2B | 37 |
| 692 | DOLBY LABORATORIES INC 25659T107 | $248532.0B | 20 |
| 693 | ANTERO MIDSTREAM CORP 03676B102 | $248371.7B | 24 |
| 694 | KEURIG DR PEPPER INC 49271V100 | $248357.2B | 44 |
| 695 | MATADOR RES CO 576485205 | $248166.0B | 30 |
| 696 | DUOLINGO INC 26603R106 | $246945.5B | 30 |
| 697 | STATE STRT CONS DSRY SLT 81369Y407 | $246444.4B | 63 |
| 698 | United Parks & Resorts Inc 81282V100 | $246376.5B | 12 |
| 699 | DIMENSIONAL INTERN CORE 25434V799 | $246073.0B | 20 |
| 700 | FIRST TR EXCHNG TRADED FD VI 33740F755 | $245853.5B | 32 |
| 701 | ISHARES TR 464288281 | $245735.5B | 56 |
| 702 | BIOMARIN PHARMACEUTICAL INC 09061G101 | $245248.8B | 29 |
| 703 | PROSPERITY BANCSHARES INC 743606105 | $244929.2B | 18 |
| 704 | POOL CORP 73278L105 | $244718.5B | 40 |
| 705 | BROADRIDGE FINL SOLUTION 11133T103 | $244266.1B | 60 |
| 706 | ARCH CAP GROUP LTD G0450A105 | $244242.6B | 40 |
| 707 | DIMENSIONAL U S TARGETED 25434V609 | $243360.8B | 24 |
| 708 | BUILDERS FIRSTSOURCE INC 12008R107 | $243258.0B | 50 |
| 709 | SELECT SECTOR SPDR TR 81369Y308 | $242746.9B | 59 |
| 710 | FIRST TR EXCHANGE-TRADED FD 33739Q408 | $242527.2B | 31 |
| 711 | BROOKFIELD INFRAST PARTNERS G16252101 | $242463.7B | 24 |
| 712 | ESAB CORPORATION 29605J106 | $242062.7B | 16 |
| 713 | SCHWAB US BROAD MARKET 808524102 | $241329.3B | 51 |
| 714 | VICI PPTYS INC 925652109 | $239927.1B | 43 |
| 715 | SCHWAB STRATEGIC TR 808524771 | $239648.9B | 33 |
| 716 | NEXTERA ENERGY INC 65339F663 | $239568.4B | 4 |
| 717 | INTEL CORP 458140950 | $239193.7B | 3 |
| 718 | BLOCK H & R INC 093671105 | $238478.0B | 31 |
| 719 | STRIDE INC 86333M108 | $238158.3B | 23 |
| 720 | BRIGHT HORIZONS FAM SOL IN D 109194100 | $237826.6B | 21 |
| 721 | DTE ENERGY CO 233331107 | $236235.0B | 52 |
| 722 | BLACKROCK, INC. 464288612 | $235726.9B | 15 |
| 723 | WILLIAMS SONOMA INC 969904101 | $235591.9B | 47 |
| 724 | METTLER TOLEDO INTERNATIONAL 592688105 | $235278.4B | 44 |
| 725 | SNAP ON INC 833034101 | $235250.2B | 48 |
| 726 | WISDOMTREE TR 97717Y527 | $235072.4B | 34 |
| 727 | VARONIS SYS INC 922280102 | $234601.9B | 22 |
| 728 | SCHWAB STRATEGIC TR 808524755 | $234016.0B | 30 |
| 729 | SPDR DOW JONES INDL AVERAGE 78467X109 | $233962.1B | 76 |
| 730 | SYSCO CORP 871829107 | $233364.2B | 64 |
| 731 | GRACO INC 384109104 | $232762.9B | 30 |
| 732 | UNITED THERAPEUTICS CORP DEL 91307C102 | $232659.9B | 32 |
| 733 | TE CONNECTIVITY PLC F G87052109 | $232281.7B | 50 |
| 734 | ALPHABET INC 02079K907 | $231914.4B | 2 |
| 735 | FRESHWORKS INC 358054104 | $231140.5B | 15 |
| 736 | COMMUNITY FINANCIAL SYSTEM I 203607106 | $230845.3B | 14 |
| 737 | EMCOR GROUP INC 29084Q100 | $230111.7B | 51 |
| 738 | MKS INC. 55306N104 | $228951.5B | 23 |
| 739 | VANGUARD INTL EQUITY INDEX F 922042775 | $228417.6B | 65 |
| 740 | FEDERAL SIGNAL CORP 313855108 | $228088.5B | 25 |
| 741 | ISHARES TR 464288620 | $227917.9B | 31 |
| 742 | FIFTH THIRD BANCORP 316773100 | $226964.4B | 59 |
| 743 | CURTISS WRIGHT CORP 231561101 | $226612.5B | 33 |
| 744 | LAS VEGAS SANDS CORP 517834107 | $225666.1B | 40 |
| 745 | CULLEN FROST BANKERS INC 229899109 | $225064.5B | 26 |
| 746 | BOEING CO 097023955 | $224958.0B | 3 |
| 747 | ISHARES TR 464288661 | $223762.1B | 45 |
| 748 | AMERICAN CENTY ETF TR 025072604 | $223488.6B | 34 |
| 749 | INVESCO EXCHANGE TRADED FD T 46137V233 | $222561.7B | 29 |
| 750 | HUMANA INC 444859102 | $222158.0B | 45 |
| 751 | VEEVA SYS INC 922475108 | $222152.8B | 52 |
| 752 | BROWN & BROWN INC 115236101 | $221964.9B | 41 |
| 753 | SPS COMM INC 78463M107 | $221659.0B | 22 |
| 754 | TWILIO INC 90138F102 | $221623.5B | 43 |
| 755 | IDEX CORP 45167R104 | $221489.7B | 31 |
| 756 | QUALYS INC 74758T303 | $220814.6B | 23 |
| 757 | VANGUARD SCOTTSDALE FDS 92206C771 | $220729.5B | 42 |
| 758 | BONDBLOXX ETF TRUST 09789C788 | $220610.1B | 7 |
| 759 | UNITEDHEALTH GROUP INC 91324P952 | $220405.8B | 3 |
| 760 | FIRST TR EXCHANGE-TRADED FD 33733E104 | $218741.0B | 38 |
| 761 | EURONET WORLDWIDE INC 298736109 | $218604.3B | 26 |
| 762 | AGIOS PHARMACEUTICALS INC 00847X104 | $218189.6B | 12 |
| 763 | MODINE MFG CO 607828100 | $217013.0B | 30 |
| 764 | ASBURY AUTOMOTIVE GROUP INC 043436104 | $216549.9B | 17 |
| 765 | CIENA CORP 171779309 | $216405.3B | 30 |
| 766 | LABCORP HLDGS INC 504922105 | $215833.2B | 43 |
| 767 | PROSHARES S&P 500 DIV ARISTOCRAT ETF 74348A467 | $215397.3B | 42 |
| 768 | OWENS CORNING NEW 690742101 | $215012.2B | 41 |
| 769 | APOLLO GLOBAL MGMT INC 03769M304 | $214837.1B | 5 |
| 770 | ILLUMINA INC 452327109 | $214276.6B | 38 |
| 771 | EAGLE MATLS INC 26969P108 | $213963.8B | 28 |
| 772 | PENUMBRA INC 70975L107 | $213917.4B | 21 |
| 773 | EQUITY RESIDENTIAL 29476L107 | $213775.9B | 34 |
| 774 | ISHARES TR 464287904 | $213774.2B | 3 |
| 775 | LANTHEUS HLDGS INC 516544103 | $213087.9B | 30 |
| 776 | ESCO TECHNOLOGIES INC 296315104 | $212966.5B | 15 |
| 777 | SMURFIT WESTROCK PLC G8267P108 | $212843.5B | 25 |
| 778 | OLD DOMINION FREIGHT LINE IN 679580100 | $212703.0B | 53 |
| 779 | TOTALENERGIES SE 89151E109 | $212606.9B | 41 |
| 780 | CROCS INC 227046109 | $212021.4B | 31 |
| 781 | CACI INTL INC 127190304 | $210636.8B | 35 |
| 782 | VSE CORP 918284100 | $210250.5B | 15 |
| 783 | HENRY JACK & ASSOC INC 426281101 | $210132.6B | 38 |
| 784 | INTEGER HLDGS CORP 45826HAB5 | $209382.0B | 7 |
| 785 | EVERGY INC 30034WAD8 | $209114.5B | 6 |
| 786 | STATE STRT UTLTES SLET 81369Y886 | $208871.5B | 80 |
| 787 | VANGUARD INDEX FDS 922908512 | $208682.6B | 46 |
| 788 | CLEARWAY ENERGY INC 18539C204 | $208515.6B | 19 |
| 789 | SPDR SERIES TRUST 78468R606 | $206459.1B | 29 |
| 790 | LENNOX INTL INC 526107107 | $206280.6B | 33 |
| 791 | CANADIAN NATL RY CO F 136375102 | $206219.5B | 38 |
| 792 | LEAR CORP 521865204 | $206051.2B | 21 |
| 793 | AMERICAN HOMES 4 RENT 02665T306 | $205147.4B | 27 |
| 794 | PLANET FITNESS INC 72703H101 | $204902.9B | 22 |
| 795 | STOCK YDS BANCORP INC 861025104 | $203802.0B | 9 |
| 796 | DIMENSIONAL US EQUITY 25434V401 | $203594.8B | 32 |
| 797 | RLI CORP 749607107 | $203143.2B | 19 |
| 798 | EASTMAN CHEM CO 277432100 | $203077.4B | 49 |
| 799 | CENOVUS ENERGY INC 15135U109 | $202762.5B | 17 |
| 800 | PAYLOCITY HLDG CORP 70438V106 | $202517.5B | 24 |
| 801 | SELECT SECTOR SPDR TR 81369Y852 | $202399.8B | 55 |
| 802 | SKYWORKS SOLUTIONS INC 83088M102 | $202383.7B | 47 |
| 803 | ISHARES US TREASURY BOND 46429B267 | $202009.6B | 45 |
| 804 | M & T BK CORP 55261F104 | $201991.7B | 47 |
| 805 | AES CORP 00130H105 | $201680.3B | 36 |
| 806 | ALLIANT ENERGY CORP 018802108 | $201615.7B | 38 |
| 807 | ADVANCED ENERGY INDS 007973100 | $201260.2B | 23 |
| 808 | GLACIER BANCORP INC NEW 37637Q105 | $200687.3B | 21 |
| 809 | ISHARES TR 464287671 | $200354.3B | 41 |
| 810 | DYNATRACE INC 268150109 | $199289.1B | 27 |
| 811 | CAPITAL GROUP GROWTH 14020G101 | $198213.9B | 29 |
| 812 | SS&C TECHNOLOGIES HLDGS INC 78467J100 | $198019.8B | 34 |
| 813 | DEUTSCHE BANK A G D18190898 | $197866.2B | 22 |
| 814 | PARSONS CORP DEL 70202L102 | $197518.4B | 22 |
| 815 | GE HEALTHCARE TECHNOLOGI 36266G107 | $197365.8B | 69 |
| 816 | VANECK GOLD MINERS ETF 92189F106 | $196828.2B | 47 |
| 817 | ZEBRA TECHNOLOGIES CORPORATI 989207105 | $196605.6B | 37 |
| 818 | HDFC BANK LTD 40415F101 | $196279.0B | 31 |
| 819 | ISHARES 7-10 YEAR TRSURY 464287440 | $195532.4B | 46 |
| 820 | HEWLETT PACKARD ENTERPRISE C 42824C109 | $195066.7B | 53 |
| 821 | NUCOR CORP 670346105 | $193967.6B | 66 |
| 822 | API GROUP CORP 00187Y100 | $193901.2B | 23 |
| 823 | PALANTIR TECHNOLOGIES INC 69608A908 | $193766.6B | 3 |
| 824 | CONSOLIDATED EDISON INC 209115104 | $193554.3B | 58 |
| 825 | FIRST SOLAR INC 336433107 | $193274.7B | 47 |
| 826 | SUN CMNTYS INC 866674104 | $192157.4B | 30 |
| 827 | SELECT SECTOR SPDR TR 81369Y906 | $192016.1B | 3 |
| 828 | CACTUS INC 127203107 | $191137.5B | 19 |
| 829 | SPDR INDEX SHS FDS 78463X509 | $191065.2B | 51 |
| 830 | VANGUARD WORLD FD 921910873 | $190968.3B | 20 |
| 831 | CARIS LIFE SCIENCES INC 142152107 | $190811.6B | 3 |
| 832 | ISHARES TR 464288638 | $190523.0B | 33 |
| 833 | FIRST TRUST 33734H106 | $190141.6B | 38 |
| 834 | VERTEX INC CL A 92538J106 | $189976.0B | 13 |
| 835 | IDACORP INC 451107106 | $189438.4B | 24 |
| 836 | BERKLEY W R CORP 084423102 | $189339.8B | 41 |
| 837 | CRANE COMPANY 224408104 | $189306.5B | 25 |
| 838 | WELLS FARGO CO NEW 949746951 | $189243.1B | 2 |
| 839 | ASHLAND INC 044186104 | $189126.4B | 19 |
| 840 | XCEL ENERGY INC 98389B100 | $188938.4B | 52 |
| 841 | PEABODY ENERGY CORP 704551100 | $188779.6B | 17 |
| 842 | CAVA GROUP INC 148929102 | $187998.4B | 30 |
| 843 | SSGA ACTIVE ETF TR 78467V608 | $187601.7B | 29 |
| 844 | TORO CO 891092108 | $187193.0B | 26 |
| 845 | SCHWAB 5-10 YEAR CORPORATE B 808524698 | $187070.3B | 12 |
| 846 | EXPONENT INC 30214U102 | $186758.0B | 20 |
| 847 | VANECK ETF TRUST 92189F956 | $186601.0B | 3 |
| 848 | PACER FDS TR 69374H857 | $186515.9B | 33 |
| 849 | ONTO INNOVATION INC 683344105 | $185293.2B | 23 |
| 850 | INSMED INC 457669307 | $185082.9B | 25 |
| 851 | ARMSTRONG WORLD INDS INC NEW 04247X102 | $184765.0B | 20 |
| 852 | DOLLAR TREE INC 256746108 | $184760.3B | 40 |
| 853 | CITIGROUP INC 172967954 | $184630.8B | 3 |
| 854 | APPLIED MATLS INC 038222905 | $184570.2B | 2 |
| 855 | ON SEMICONDUCTOR CORP 682189105 | $184462.1B | 36 |
| 856 | BANK NOVA SCOTIA HALIFAX 064149107 | $184436.0B | 21 |
| 857 | SHAKE SHACK INC 819047101 | $183974.9B | 23 |
| 858 | ISHARES 1-3 YEAR TREASRY 464287457 | $183652.2B | 66 |
| 859 | ALBEMARLE CORP 012653101 | $183626.9B | 49 |
| 860 | Tidewater Inc 88642R109 | $183534.2B | 11 |
| 861 | PIMCO ETF TR 72201R833 | $183445.1B | 50 |
| 862 | DOMINOS PIZZA INC 25754A201 | $183250.0B | 31 |
| 863 | TAIWAN SEMICONDUCTOR MFG LTD 874039900 | $183154.4B | 2 |
| 864 | UMB FINL CORP 902788108 | $182892.8B | 16 |
| 865 | SPDR SERIES TRUST 78468R812 | $182059.1B | 8 |
| 866 | SPDR SERIES TRUST 78464A664 | $181880.5B | 26 |
| 867 | VANECK ETF TRUST 92189F906 | $181811.1B | 3 |
| 868 | TECK RESOURCES LTD 878742204 | $181764.0B | 27 |
| 869 | STERIS PLC G8473T100 | $181554.9B | 47 |
| 870 | AMEREN CORP 023608102 | $181452.0B | 39 |
| 871 | ISHARES INC 46434G889 | $181352.7B | 14 |
| 872 | SCHWAB US LARGE CAP 808524409 | $180915.0B | 47 |
| 873 | AMERICAN CENTY ETF TR 025072877 | $180814.2B | 45 |
| 874 | SELECT SECTOR SPDR TR 81369Y704 | $180669.7B | 69 |
| 875 | PLAINS ALL AMERN PIPELINE L P UNIT LTD PARTN 726503105 | $180602.2B | 20 |
| 876 | NEXTERA ENERGY INC 65339F713 | $180417.6B | 5 |
| 877 | SAIA INC 78709Y105 | $180288.1B | 28 |
| 878 | ISHARES TR 464287648 | $179641.1B | 46 |
| 879 | KADANT INC 48282T104 | $179448.9B | 17 |
| 880 | DUTCH BROS INC 26701L100 | $179432.5B | 21 |
| 881 | OGE ENERGY CORP 670837103 | $179132.5B | 31 |
| 882 | COCA-COLA EUROPACIFIC F G25839104 | $179039.0B | 34 |
| 883 | BADGER METER INC 056525108 | $178608.2B | 27 |
| 884 | BROOKFIELD ASSET MANAGMT LTD 113004105 | $178223.4B | 21 |
| 885 | JPMORGAN CHASE & CO. 46625H900 | $178006.6B | 2 |
| 886 | ISHARES TR 464287955 | $177206.0B | 2 |
| 887 | KINROSS GOLD CORP 496902404 | $177135.3B | 29 |
| 888 | CHART INDS INC 16115Q308 | $177086.3B | 28 |
| 889 | VANGUARD SMALL CAP 922908595 | $177031.1B | 46 |
| 890 | NETFLIX INC 64110L956 | $176783.6B | 2 |
| 891 | NEUBERGER BERMAN OPT STR ETF 64135A705 | $176635.3B | 4 |
| 892 | LITHIA MTRS INC 536797103 | $176446.5B | 27 |
| 893 | ISHARES INC 46434G822 | $176138.8B | 34 |
| 894 | GENUINE PARTS CO 372460105 | $176026.8B | 58 |
| 895 | ISHARES SELECT DIVIDEND 464287168 | $175055.3B | 65 |
| 896 | ISHARES TR 46434V456 | $174946.1B | 31 |
| 897 | ORACLE CORP 68389X955 | $174883.5B | 4 |
| 898 | SOUTHWEST AIRLS CO 844741108 | $174499.7B | 52 |
| 899 | FLOOR & DECOR HLDGS INC 339750101 | $174272.9B | 19 |
| 900 | REDDIT INC 75734B100 | $174087.2B | 33 |
| 901 | DESCARTES SYS GROUP INC 249906108 | $174051.4B | 18 |
| 902 | CUBESMART 229663109 | $173833.3B | 29 |
| 903 | ISHARES HIGH 092528843 | $173588.3B | 7 |
| 904 | RIVIAN AUTOMOTIVE INC 76954A103 | $173168.6B | 51 |
| 905 | HILLMAN SOLUTIONS CORP 431636109 | $173034.1B | 16 |
| 906 | CLOROX CO DEL 189054109 | $172135.6B | 68 |
| 907 | GITLAB INC 37637K108 | $171815.8B | 22 |
| 908 | SANOFI SA 80105N105 | $171174.3B | 50 |
| 909 | CISCO SYS INC 17275R902 | $171072.7B | 3 |
| 910 | BRINKER INTL INC 109641100 | $170763.0B | 21 |
| 911 | INSTALLED BLDG PRODS INC 45780R101 | $170039.4B | 24 |
| 912 | SALESFORCE INC 79466L902 | $169393.7B | 2 |
| 913 | ASTERA LABS INC 04626A103 | $169363.4B | 24 |
| 914 | Hess Midstream LP 428103105 | $169346.6B | 18 |
| 915 | WATERS CORP 941848103 | $169301.9B | 39 |
| 916 | ALEXANDRIA REAL ESTATE EQ IN 015271109 | $169121.6B | 39 |
| 917 | MACOM TECH SOLUTIONS HLDGS I 55405Y100 | $169035.1B | 20 |
| 918 | Arista Networks Inc 040413106 | $169009.0B | 23 |
| 919 | LIVE NATION ENTERTAINMENT IN 538034BA6 | $168992.8B | 8 |
| 920 | CHEWY INC 16679L109 | $168765.4B | 29 |
| 921 | ENTEGRIS INC 29362U104 | $167847.9B | 31 |
| 922 | RAYMOND JAMES FINL INC 754730109 | $167726.8B | 44 |
| 923 | NOV INC 62955J103 | $167726.4B | 22 |
| 924 | NETFLIX INC 64110L906 | $167417.4B | 4 |
| 925 | ALNYLAM PHARMACEUTICALS INC 02043Q107 | $167283.5B | 39 |
| 926 | COUPANG INC 22266T109 | $166779.5B | 23 |
| 927 | UNITED CMNTY BKS BLAIRSVLE G 90984P303 | $166487.3B | 16 |
| 928 | SCHWAB US SMALL CAP ETF 808524607 | $166457.0B | 70 |
| 929 | CRITEO S A 226718104 | $166361.5B | 8 |
| 930 | SYNCHRONY FINANCIAL 87165B103 | $165686.3B | 49 |
| 931 | HEALTHPEAK PROPERTIES INC 42250P103 | $165635.6B | 44 |
| 932 | FIRST TR EXCHNG TRADED FD VI 33740F805 | $165452.5B | 26 |
| 933 | COLLIERS INTL GROUP INC 194693107 | $165390.3B | 8 |
| 934 | MGIC INVT CORP WIS 552848103 | $165217.9B | 25 |
| 935 | INSPIRE MED SYS INC 457730109 | $165092.6B | 20 |
| 936 | WHITE MTNS INS GROUP LTD G9618E107 | $165019.7B | 16 |
| 937 | ALLEGRO MICROSYSTEMS INC 01749D105 | $164831.9B | 14 |
| 938 | GUIDEWIRE SOFTWARE INC 40171V100 | $164597.2B | 29 |
| 939 | ISHARES BITCOIN TRUST ETF 46438F951 | $164139.7B | 4 |
| 940 | DAVITA INC 23918K108 | $163992.4B | 25 |
| 941 | VANGUARD RUSSELL 1000 92206C680 | $163817.9B | 34 |
| 942 | AVANTIS US LARGE CAP VALUE 025072349 | $163337.9B | 17 |
| 943 | NICE LTD 653656108 | $163282.5B | 24 |
| 944 | ISHARES RUSSELL 3000 ETF 464287689 | $163260.6B | 42 |
| 945 | REGAL REXNORD CORPORATION 758750103 | $163077.8B | 30 |
| 946 | PIMCO ETF TR 72201R775 | $162561.1B | 25 |
| 947 | AMDOCS LTD G02602103 | $162436.0B | 23 |
| 948 | VANGUARD MEGA CAP GROWTH 921910816 | $162173.5B | 43 |
| 949 | UGI CORP NEW 902681105 | $162012.8B | 31 |
| 950 | MADISON SQUARE GARDEN SP 55825T103 | $161935.8B | 19 |
| 951 | STATE STR CORP 857477103 | $161801.0B | 48 |
| 952 | GRIFFON CORP 398433102 | $161641.0B | 25 |
| 953 | INVESCO EXCH TRADED FD TR II 46138G508 | $161498.7B | 32 |
| 954 | BEAM THERAPEUTICS INC 07373V105 | $161490.3B | 13 |
| 955 | INTRA CELLULAR THERAPIES INC COM 46116X101 | $161132.6B | 12 |
| 956 | MILLICOM INTL CELLULAR S A L6388F110 | $160947.4B | 12 |
| 957 | DOW INC 260557103 | $160918.1B | 66 |
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| 959 | ISHARES TR 464289438 | $160579.0B | 40 |
| 960 | ISHARES ESG AWARE US AGGREGATE 46435U549 | $160457.9B | 24 |
| 961 | BRADY CORP 104674106 | $160179.2B | 15 |
| 962 | FLUTTER ENTMT PLC G3643J108 | $160030.8B | 19 |
| 963 | RIOT PLATFORMS INC 767292105 | $159859.7B | 20 |
| 964 | TOPBUILD CORP 89055F103 | $158866.0B | 21 |
| 965 | FIVE9 INC 338307101 | $158753.6B | 22 |
| 966 | BLOOM ENERGY CORP 093712107 | $158451.5B | 22 |
| 967 | ISHARES TR 464287630 | $158092.0B | 55 |
| 968 | VANECK ETF TRUST 92189H300 | $158029.3B | 16 |
| 969 | GOLDMAN SACHS ETF TR 381430529 | $157941.3B | 14 |
| 970 | NEBIUS GROUP N.V. N97284108 | $157921.3B | 18 |
| 971 | UDR INC 902653104 | $157830.7B | 28 |
| 972 | SPDR SERIES TRUST 78464A847 | $157502.0B | 37 |
| 973 | SOMNIGROUP INTERNATIONAL INC 88023U101 | $157267.0B | 19 |
| 974 | VANGUARD HEALTH CARE 92204A504 | $157099.0B | 56 |
| 975 | ETSY INC 29786A106 | $157055.8B | 29 |
| 976 | SELECT SECTOR SPDR TR 81369Y956 | $156551.7B | 3 |
| 977 | DIMENSIONAL ETF TRUST 25434V625 | $156392.4B | 8 |
| 978 | ISHARES TIPS BOND ETF 464287176 | $156242.7B | 58 |
| 979 | FLEX LTD Y2573F102 | $156022.2B | 28 |
| 980 | SELECT SECTOR SPDR TR 81369Y903 | $155733.7B | 3 |
| 981 | PPL CAP FDG INC 69352PAS2 | $155599.0B | 4 |
| 982 | INTERDIGITAL INC 45867GAD3 | $154681.8B | 3 |
| 983 | Lindsay Corp 535555106 | $154397.4B | 9 |
| 984 | ZETA GLOBAL HOLDINGS CORP 98956A105 | $154392.3B | 18 |
| 985 | TRIMBLE INC 896239100 | $154378.9B | 36 |
| 986 | FORTREA HLDGS INC 34965K107 | $154259.2B | 20 |
| 987 | AMER STATES WTR CO 029899101 | $153896.2B | 23 |
| 988 | FIRST FINL BANKSHARES INC 32020R109 | $153369.7B | 19 |
| 989 | DIMENSIONAL ETF TRUST 25434V732 | $153257.6B | 20 |
| 990 | HAYWARD HLDGS INC 421298100 | $153183.4B | 16 |
| 991 | HUBBELL INC 443510607 | $153080.2B | 38 |
| 992 | INTERNATIONAL FLAVORS&FRAGRA 459506101 | $152539.1B | 39 |
| 993 | KBR INC 48242W106 | $152448.9B | 25 |
| 994 | NOVANTA INC 67000B104 | $152397.2B | 17 |
| 995 | KEYCORP 493267108 | $152359.5B | 48 |
| 996 | NEW GOLD INC CDA COM 644535106 | $152205.3B | 9 |
| 997 | KRANESHARES TRUST 500767906 | $152125.9B | 3 |
| 998 | ITRON INC 465741106 | $151769.8B | 27 |
| 999 | STANDEX INTL CORP 854231107 | $151625.5B | 15 |
| 1000 | AMERICAN CENTY ETF TR 025072307 | $151605.4B | 8 |
| 1001 | FIGMA INC 316841105 | $151572.1B | 3 |
| 1002 | MICRON TECHNOLOGY INC 595112903 | $151370.3B | 2 |
| 1003 | FRANKLIN TEMPLETON ETF TR 35473P546 | $151053.9B | 2 |
| 1004 | ADVANCED MICRO DEVICES INC 007903957 | $150786.5B | 2 |
| 1005 | CORE & MAIN INC 21874C102 | $150719.9B | 21 |
| 1006 | ISHARES SILVER TRUST 46428Q109 | $150642.5B | 72 |
| 1007 | MCCORMICK & CO INC 579780206 | $150609.3B | 53 |
| 1008 | EXPEDITORS INTL WASH INC 302130109 | $150513.7B | 41 |
| 1009 | BANK MONTREAL QUE F 063671101 | $150502.4B | 28 |
| 1010 | MUELLER INDS INC 624756102 | $150431.0B | 32 |
| 1011 | CSW INDUSTRIALS INC 126402106 | $150354.2B | 19 |
| 1012 | PDD HOLDINGS INC 722304102 | $150341.4B | 29 |
| 1013 | AEROVIRONMENT INC 008073108 | $150167.5B | 26 |
| 1014 | RESIDEO TECHNOLOGIES INC 76118Y104 | $150112.9B | 25 |
| 1015 | ISHARES INC 464286900 | $149905.2B | 2 |
| 1016 | LPL FINL HLDGS INC 50212V100 | $149463.0B | 37 |
| 1017 | JAZZ PHARMACEUTICALS PLC G50871105 | $148859.1B | 25 |
| 1018 | COMFORT SYS USA INC 199908104 | $147893.6B | 40 |
| 1019 | ESSEX PPTY TR INC 297178105 | $147698.3B | 32 |
| 1020 | NNN REIT INC 637417106 | $147392.9B | 33 |
| 1021 | ISHARES TR 46435G409 | $147240.7B | 12 |
| 1022 | CAL MAINE FOODS INC 128030202 | $147061.7B | 20 |
| 1023 | C H ROBINSON WORLDWIDE INC 12541W209 | $147057.1B | 36 |
| 1024 | WISDOMTREE TR 97717W307 | $147045.1B | 24 |
| 1025 | ISHARES TR 464288687 | $146758.3B | 49 |
| 1026 | TEXAS PACIFIC LAND CORPORATI 88262P102 | $145542.2B | 30 |
| 1027 | ENERPAC TOOL GROUP CORP 292765104 | $145402.7B | 15 |
| 1028 | CONAGRA BRANDS INC 205887102 | $145379.5B | 48 |
| 1029 | ISHARES MSCI TAIWAN ETF 46434G772 | $145346.4B | 10 |
| 1030 | JPM BETABUILDERS INTL EQTY 46641Q373 | $144836.1B | 7 |
| 1031 | FRONTIER COMMUNICATIONS PARE 35909D109 | $144795.7B | 19 |
| 1032 | CMS ENERGY CORP 125896100 | $144756.1B | 34 |
| 1033 | J P MORGAN EXCHANGE TRADED F 46641Q647 | $144697.6B | 18 |
| 1034 | APPLIED INDL TECHNOLOGIES IN 03820C105 | $144442.7B | 30 |
| 1035 | DBX ETF TR 233051200 | $144431.2B | 25 |
| 1036 | INTERNATIONAL PAPER CO 460146103 | $144396.1B | 56 |
| 1037 | GENPACT LIMITED G3922B107 | $143885.0B | 25 |
| 1038 | SELECT SECTOR SPDR TR 81369Y954 | $143759.6B | 2 |
| 1039 | SIMPSON MFG INC 829073105 | $142678.7B | 23 |
| 1040 | SPDR SERIES TRUST 78464A474 | $142143.6B | 28 |
| 1041 | HALOZYME THERAPEUTICS INC 40637H109 | $142109.0B | 34 |
| 1042 | NISOURCE INC 65473P105 | $141810.3B | 43 |
| 1043 | RELX PLC 759530108 | $141754.0B | 25 |
| 1044 | COREBRIDGE FINL INC 21871X109 | $141694.4B | 17 |
| 1045 | CELSIUS HLDGS INC 15118V207 | $140997.3B | 26 |
| 1046 | SURGERY PARTNERS INC 86881A100 | $140727.0B | 8 |
| 1047 | CHESAPEAKE UTILS CORP 165303108 | $140546.9B | 17 |
| 1048 | FLYWIRE CORPORATION 302492103 | $140425.2B | 11 |
| 1049 | PLAINS GP HLDGS L P 72651A207 | $140374.1B | 17 |
| 1050 | OSI SYSTEMS INC 671044105 | $139894.8B | 21 |
| 1051 | GRAPHIC PACKAGING HLDG CO 388689101 | $139839.2B | 32 |
| 1052 | LAMAR ADVERTISING CO NEW 512816109 | $139782.3B | 30 |
| 1053 | PORTLAND GEN ELEC CO 736508847 | $139504.8B | 32 |
| 1054 | ASGN INC 00191U102 | $139361.8B | 22 |
| 1055 | COEUR MNG INC 192108504 | $139272.3B | 22 |
| 1056 | FIRST TR EXCHANGE-TRADED FD 33741X102 | $139117.2B | 27 |
| 1057 | UNUM GROUP 91529Y106 | $139062.9B | 41 |
| 1058 | BOK FINL CORP 05561Q201 | $138847.4B | 13 |
| 1059 | ADOBE INC 00724F951 | $138846.6B | 3 |
| 1060 | HOLOGIC INC 436440101 | $138812.5B | 37 |
| 1061 | SPROTT ASSET MANAGEMENT LP 85207H104 | $138732.5B | 27 |
| 1062 | BRIXMOR PPTY GROUP INC 11120U105 | $138369.4B | 22 |
| 1063 | SHELL PLC 780259305 | $138241.8B | 62 |
| 1064 | INVESCO EXCHANGE TRADED FD T 46137V472 | $138185.9B | 26 |
| 1065 | ALAMOS GOLD INC NEW 011532108 | $138007.7B | 14 |
| 1066 | ORMAT TECHNOLOGIES INC 686688102 | $137813.2B | 17 |
| 1067 | ISHARES TR 46434V274 | $137711.8B | 9 |
| 1068 | EXXON MOBIL CORP 30231G902 | $137702.6B | 2 |
| 1069 | WILEY JOHN & SONS INC 968223206 | $137642.8B | 13 |
| 1070 | SMARTSHEET INC 83200N103 | $137333.7B | 9 |
| 1071 | VANGUARD FINANCIALS ETF 92204A405 | $137253.7B | 40 |
| 1072 | Kinetik Holdings Inc 02215L209 | $137046.7B | 13 |
| 1073 | ELI LILLY & CO 532457958 | $136712.0B | 2 |
| 1074 | BELLRING BRANDS INC 07831C103 | $136696.0B | 23 |
| 1075 | WILLIS TOWERS WATSON PLC LTD G96629103 | $136100.7B | 34 |
| 1076 | CAPITAL GROUP CORE EQUITY ET 14020V108 | $135960.3B | 22 |
| 1077 | SONY GROUP CORP 835699307 | $135825.5B | 44 |
| 1078 | ISHARES TRUST ISHARES 0-1 YEAR TREASURY BOND ETF 464288679 | $135744.1B | 37 |
| 1079 | VANGUARD SCOTTSDALE FDS 92206C813 | $135650.2B | 27 |
| 1080 | FORTIS INC COM 349553107 | $135240.6B | 15 |
| 1081 | PRICE T ROWE GROUP INC 74144T108 | $134887.4B | 64 |
| 1082 | JOHNSON & JOHNSON 478160904 | $134594.3B | 2 |
| 1083 | Progyny Inc 74340E103 | $134592.4B | 14 |
| 1084 | RAMBUS INC DEL 750917106 | $134474.6B | 25 |
| 1085 | CAPITAL GROUP CORE PLUS INCOME ETF 14020Y102 | $134200.0B | 20 |
| 1086 | COTY INC 222070203 | $133778.8B | 16 |
| 1087 | GRAYSCALE BITCOIN TRUST 389637109 | $133457.4B | 44 |
| 1088 | NU HLDGS LTD G6683N103 | $133448.3B | 33 |
| 1089 | GAMING & LEISURE PPTYS INC 36467J108 | $133431.5B | 32 |
| 1090 | PURE STORAGE INC 74624M102 | $133176.7B | 39 |
| 1091 | SPDR SERIES TRUST 78464A950 | $133029.3B | 2 |
| 1092 | CELLEBRITE DI LTD ORDINARY SHARES M2197Q107 | $132812.0B | 11 |
| 1093 | FIRST HORIZON CORPORATION 320517105 | $132398.8B | 32 |
| 1094 | 3EDGE DYNAMIC FIXED INCM ETF 00791R830 | $132175.9B | 2 |
| 1095 | NEUROCRINE BIOSCIENCES INC 64125C109 | $132026.1B | 26 |
| 1096 | UBER TECHNOLOGIES INC 90353TAJ9 | $131661.9B | 7 |
| 1097 | APA CORPORATION 03743Q108 | $131533.5B | 31 |
| 1098 | TERADYNE INC 880770102 | $131392.4B | 38 |
| 1099 | VANGUARD MID CAP GROWTH 922908538 | $131356.1B | 39 |
| 1100 | PALANTIR TECHNOLOGIES INC 69608A958 | $131286.8B | 2 |
| 1101 | OPENLANE INC 48238T109 | $131255.0B | 11 |
| 1102 | EVERSOURCE ENERGY 30040W108 | $130983.1B | 49 |
| 1103 | WINMARK CORP 974250102 | $130773.9B | 10 |
| 1104 | CBOE GLOBAL MKTS INC 12503M108 | $130677.5B | 37 |
| 1105 | CHARLES SCHWAB US MC 808524508 | $130482.5B | 49 |
| 1106 | ORACLE CORP 68389X905 | $130213.5B | 4 |
| 1107 | COINBASE GLOBAL INC 19260Q957 | $130151.0B | 3 |
| 1108 | IMMUNOVANT INC 45258J102 | $129984.8B | 11 |
| 1109 | BOOT BARN HLDGS INC 099406100 | $129881.2B | 17 |
| 1110 | NUTANIX INC 67059N108 | $129318.0B | 24 |
| 1111 | VANECK IG FLOATING RATE ETF 92189F486 | $129281.7B | 12 |
| 1112 | TOAST INC 888787108 | $129198.3B | 31 |
| 1113 | AKAMAI TECHNOLOGIES INC 00971T101 | $128974.2B | 41 |
| 1114 | UNIVERSAL DISPLAY CORP 91347P105 | $128904.8B | 28 |
| 1115 | MID-AMER APT CMNTYS INC 59522J103 | $128388.1B | 44 |
| 1116 | SUMMIT MATLS INC 86614U100 | $128184.5B | 14 |
| 1117 | PENTAIR PLC G7S00T104 | $128079.1B | 38 |
| 1118 | ONEMAIN HLDGS INC 68268W103 | $127825.1B | 29 |
| 1119 | State Street SPDR Bloomberg Short Term High Yield Bond ETF 78468R408 | $127596.1B | 22 |
| 1120 | SPDR SERIES TRUST 78464A958 | $127529.9B | 2 |
| 1121 | AVIS BUDGET GROUP 053774105 | $127454.0B | 14 |
| 1122 | VANGUARD SHRT INF PROT 922020805 | $127277.8B | 38 |
| 1123 | VANGUARD MALVERN FDS 922020748 | $126968.8B | 9 |
| 1124 | SPDR SERIES TRUST 78464A359 | $126911.1B | 35 |
| 1125 | STEWART INFORMATION SVCS COR 860372101 | $126885.7B | 11 |
| 1126 | KIMCO RLTY CORP 49446R109 | $126630.5B | 34 |
| 1127 | FACTSET RESH SYS INC 303075105 | $126591.1B | 38 |
| 1128 | MORNINGSTAR INC 617700109 | $126125.9B | 22 |
| 1129 | WEYERHAEUSER CO 962166104 | $126063.9B | 54 |
| 1130 | GLOBAL X DEFENSE TECH ETF 37960A529 | $126025.9B | 11 |
| 1131 | Genius Sports Ltd G3934V109 | $125877.7B | 12 |
| 1132 | CONFLUENT INC 20717M103 | $125375.8B | 29 |
| 1133 | VANGUARD WHITEHALL FDS 921946794 | $125155.0B | 37 |
| 1134 | BCE INC 05534B760 | $125099.4B | 25 |
| 1135 | GLOBAL X FDS 37954Y673 | $125013.1B | 37 |
| 1136 | HIMS & HERS HEALTH INC 433000106 | $125005.0B | 27 |
| 1137 | INTERPUBLIC GROUP COS INC 460690100 | $124976.3B | 36 |
| 1138 | MGM RESORTS INTL 552953101 | $124716.7B | 35 |
| 1139 | SITEONE LANDSCAPE SUPPLY INC 82982L103 | $124504.1B | 20 |
| 1140 | ARM HLDGS PLC EQUITY A F 042068205 | $124294.8B | 43 |
| 1141 | CGI INC 12532H104 | $124293.3B | 19 |
| 1142 | MAPLEBEAR INC 565394103 | $123716.5B | 21 |
| 1143 | ALIBABA GROUP HLDG LTD 01609WBG6 | $123448.8B | 5 |
| 1144 | STEEL DYNAMICS INC 858119100 | $123289.5B | 37 |
| 1145 | MORGAN STANLEY 617446958 | $123064.3B | 2 |
| 1146 | UNITEDHEALTH GROUP INC 91324P902 | $123059.2B | 2 |
| 1147 | POWELL INDS INC 739128106 | $123005.2B | 26 |
| 1148 | ISHARES TR 464288273 | $122895.5B | 36 |
| 1149 | PAR TECHNOLOGY CORP 698884103 | $122765.6B | 9 |
| 1150 | UBS GROUP AG H42097107 | $122524.1B | 32 |
| 1151 | PGIM ETF TR 69344A107 | $122057.9B | 19 |
| 1152 | CAESARS ENTERTAINMENT INC NE 12769G100 | $121591.5B | 25 |
| 1153 | SCHWAB EMERGING MARKETS 808524706 | $121488.0B | 37 |
| 1154 | ISHARES TR 464287549 | $121061.8B | 21 |
| 1155 | FABRINET G3323L100 | $120942.8B | 29 |
| 1156 | CRA INTL INC 12618T105 | $120904.0B | 13 |
| 1157 | LYONDELLBASELL INDUSTRIES N N53745100 | $120764.5B | 47 |
| 1158 | AMERICAN FINL GROUP INC OHIO 025932104 | $120750.9B | 23 |
| 1159 | COCA-COLA FEMSA SAB DE CV 191241108 | $120536.1B | 14 |
| 1160 | GLOBUS MED INC 379577208 | $120497.4B | 29 |
| 1161 | STRATEGY INC 594972958 | $120443.8B | 3 |
| 1162 | OVINTIV INC 69047Q102 | $120427.0B | 26 |
| 1163 | AVANTIS U.S. EQUITY ETF 025072885 | $120014.3B | 25 |
| 1164 | FRANKLIN U.S. EQUITY INDEX E 35473P405 | $119921.9B | 3 |
| 1165 | FIRSTCASH HOLDINGS INC 33768G107 | $119860.0B | 23 |
| 1166 | RENAISSANCERE HLDGS LTD G7496G103 | $119515.6B | 20 |
| 1167 | CAMDEN PPTY TR 133131102 | $119501.7B | 30 |
| 1168 | PROCORE TECHNOLOGIES INC 74275K108 | $119466.7B | 21 |
| 1169 | ISHARES TR 46432F388 | $119322.0B | 27 |
| 1170 | DIMENSIONAL INTERN CORE 25434V203 | $119281.5B | 24 |
| 1171 | ENPRO INC 29355X107 | $118902.1B | 23 |
| 1172 | NEUBERGER BERMAN S-M CAP ETF 64135A804 | $118430.6B | 2 |
| 1173 | MOLSON COORS BEVERAG B 60871R209 | $118042.9B | 39 |
| 1174 | OCCIDENTAL PETE CORP 674599955 | $118029.4B | 2 |
| 1175 | VESTIS CORPORATION 29430C102 | $117892.0B | 18 |
| 1176 | CHEVRON CORP NEW 166764900 | $117831.1B | 2 |
| 1177 | EVERGY INC 30034W106 | $117692.6B | 44 |
| 1178 | INVESCO BULLETSHARES 2026 CORPORATE BOND ETF 46138J791 | $117600.2B | 22 |
| 1179 | STELLANTIS N.V N82405106 | $117595.2B | 29 |
| 1180 | ISHARES TR 464287473 | $117587.3B | 47 |
| 1181 | Texas Capital Bancshares Inc 88224Q107 | $117199.9B | 16 |
| 1182 | TEXTRON INC 883203101 | $117172.0B | 38 |
| 1183 | PERRIGO CO PLC G97822103 | $117126.8B | 20 |
| 1184 | DIMENSIONAL ETF TRUST 25434V740 | $116702.1B | 10 |
| 1185 | COOPER COS INC 216648501 | $116591.3B | 27 |
| 1186 | BLUE OWL CAPITAL INC 09581B103 | $116562.7B | 23 |
| 1187 | ENPHASE ENERGY INC 29355A107 | $116350.7B | 35 |
| 1188 | VANGUARD WORLD FD 921910709 | $116337.3B | 13 |
| 1189 | J P MORGAN EXCHANGE TRADED F 46641Q225 | $116292.7B | 14 |
| 1190 | PIMCO ETF TR 72201R718 | $116158.0B | 9 |
| 1191 | MASCO CORP 574599106 | $116137.7B | 38 |
| 1192 | SITIO ROYALTIES CORP 82983N108 | $116037.0B | 8 |
| 1193 | CAPITAL GROUP U S MULTI 14020Y300 | $115946.7B | 16 |
| 1194 | PAYCOM SOFTWARE INC 70432V102 | $115610.3B | 36 |
| 1195 | LOEWS CORP 540424108 | $115504.4B | 38 |
| 1196 | CMS ENERGY CORP 125896BX7 | $115452.1B | 5 |
| 1197 | ISHARES TR 464289511 | $115372.6B | 14 |
| 1198 | Beacon Roofing Supply Inc 073685109 | $115339.6B | 11 |
| 1199 | JUNIPER NETWORKS INC 48203R104 | $115277.6B | 17 |
| 1200 | DIMENSIONAL WLD EX US CR 25434V880 | $114396.1B | 16 |
| 1201 | SIXTH STREET SPECIALTY LENDI 83012A109 | $114247.7B | 12 |
| 1202 | AGREE RLTY CORP 008492100 | $114159.2B | 27 |
| 1203 | TYSON FOODS INC 902494103 | $114072.4B | 46 |
| 1204 | CARLISLE COS INC 142339100 | $113501.9B | 42 |
| 1205 | SHARKNINJA INC G8068L108 | $113489.4B | 20 |
| 1206 | ALASKA AIR GROUP INC 011659109 | $113462.3B | 26 |
| 1207 | POST HLDGS INC 737446AT1 | $113409.9B | 4 |
| 1208 | RUN 0 02/01/26 86771WAB1 | $113364.1B | 2 |
| 1209 | CELESTICA INC 15101Q207 | $113205.3B | 31 |
| 1210 | ULTRAGENYX PHARMACEUTICAL IN 90400D108 | $113135.9B | 15 |
| 1211 | AXIS CAP HLDGS LTD G0692U109 | $113093.0B | 19 |
| 1212 | ISHARES TR 46435G425 | $113079.6B | 44 |
| 1213 | CANADIAN IMPERIAL BANK OF CO 136069101 | $112945.5B | 22 |
| 1214 | PHINIA INC 71880K101 | $112783.0B | 20 |
| 1215 | LUMENTUM HLDGS INC 55024U109 | $112407.6B | 29 |
| 1216 | NEWMONT CORP 651639906 | $112394.0B | 2 |
| 1217 | US TREASURY 3 MONTH BILL 74933W452 | $112380.3B | 19 |
| 1218 | CHECK POINT SOFTWARE TECH LT M22465104 | $112182.1B | 47 |
| 1219 | GATX CORP 361448103 | $111957.1B | 22 |
| 1220 | DIMENSIONAL 25434V807 | $111861.8B | 25 |
| 1221 | BGC GROUP INC 088929104 | $111650.2B | 14 |
| 1222 | ARES CAPITAL CORP COM 04010L103 | $111568.2B | 40 |
| 1223 | NORWEGIAN CRUISE LINE HLDG L G66721104 | $111539.4B | 37 |
| 1224 | MANULIFE FINL CORP F 56501R106 | $111466.1B | 40 |
| 1225 | ISHARES TR 464288257 | $111387.8B | 35 |
| 1226 | FLOWSERVE CORP 34354P105 | $111358.4B | 31 |
| 1227 | DIMENSIONAL U S SMALL 25434V500 | $111287.0B | 39 |
| 1228 | FLUOR CORP 343412AJ1 | $110778.2B | 6 |
| 1229 | TELUS CORPORATION 87971M103 | $110640.7B | 19 |
| 1230 | NORDSON CORP 655663102 | $110635.8B | 27 |
| 1231 | OCULAR THERAPEUTIX INC 67576A100 | $110447.6B | 13 |
| 1232 | APPLIED OPTOELECTRONICS INC 03823U102 | $110423.7B | 9 |
| 1233 | BALCHEM CORP 057665200 | $110381.9B | 24 |
| 1234 | FIRST TR EXCHANGE-TRADED FD 33739Q200 | $110294.1B | 24 |
| 1235 | ALLISON TRANSMISSION HLDGS I 01973R101 | $110072.7B | 26 |
| 1236 | STEVANATO GROUP S P A T9224W109 | $109887.2B | 6 |
| 1237 | ISHARES BITCOIN TRUST ETF 46438F901 | $109869.4B | 3 |
| 1238 | JPMORGAN ACTIVE BOND ETF 46654Q716 | $109857.3B | 10 |
| 1239 | ISHARES TR 46435UAA9 | $109821.0B | 18 |
| 1240 | BP P L C F 055622104 | $109772.0B | 62 |
| 1241 | CALIFORNIA RES CORP 13057Q305 | $109707.0B | 18 |
| 1242 | AUTONATION INC 05329W102 | $109697.8B | 27 |
| 1243 | ON HLDG AG H5919C104 | $109601.2B | 28 |
| 1244 | OPEN TEXT CORP 683715106 | $109091.2B | 16 |
| 1245 | CITIGROUP INC 172967904 | $109059.9B | 3 |
| 1246 | ISHARES TR 46435U853 | $109044.7B | 36 |
| 1247 | SPDR SERIES TRUST 78464A805 | $108929.1B | 32 |
| 1248 | GRANITE CONSTR INC 387328AD9 | $108578.1B | 2 |
| 1249 | BLACKLINE INC 09239B109 | $108037.6B | 20 |
| 1250 | J P MORGAN EXCHANGE TRADED F 46641Q761 | $107946.0B | 24 |
| 1251 | CHORD ENERGY CORPORATION 674215207 | $107837.6B | 21 |
| 1252 | BRIGHTSTAR LOTTERY PLC G4863A108 | $107814.1B | 12 |
| 1253 | ATI INC 01741R102 | $107789.6B | 21 |
| 1254 | BUNGE GLOBAL SA H11356104 | $107771.4B | 31 |
| 1255 | EQUITABLE HLDGS INC 29452E101 | $107762.2B | 25 |
| 1256 | FIRST TR EXCHANGE-TRADED FD 336917109 | $107741.5B | 28 |
| 1257 | PJT PARTNERS INC 69343T107 | $107728.5B | 20 |
| 1258 | ALIGN TECHNOLOGY INC 016255101 | $107593.8B | 33 |
| 1259 | PRIMO BRANDS CORPORATION 741623102 | $107553.0B | 15 |
| 1260 | BERKSHIRE HATHAWAY INC DEL 084670902 | $107350.8B | 3 |
| 1261 | BXP INC 101121101 | $107293.3B | 32 |
| 1262 | CHAMPIONX CORPORATION 15872M104 | $107182.6B | 17 |
| 1263 | RIO TINTO PLC 767204100 | $107179.7B | 49 |
| 1264 | WP CAREY INC 92936U109 | $107139.8B | 46 |
| 1265 | H & E EQUIP SVCS INC COM 404030108 | $106958.5B | 7 |
| 1266 | INVESCO S & P MIDCAP 46137V464 | $106872.5B | 23 |
| 1267 | ISHARES TR 464287770 | $106784.2B | 14 |
| 1268 | UNITED AIRLS HLDGS INC 910047909 | $106670.7B | 2 |
| 1269 | WOLFSPEED INC 977852102 | $106615.5B | 15 |
| 1270 | NOVARTIS AG F 66987V109 | $106527.3B | 72 |
| 1271 | FIDELITY COVINGTON TRUST 316092840 | $106357.3B | 25 |
| 1272 | COGNEX CORP 192422103 | $106318.9B | 22 |
| 1273 | SKECHERS U S A INC 830566105 | $106090.1B | 20 |
| 1274 | INFOSYS LTD 456788108 | $105989.5B | 23 |
| 1275 | SPROUT SOCIAL INC 85209W109 | $105939.3B | 11 |
| 1276 | THE CAMPBELLS COMPANY 134429109 | $105862.4B | 33 |
| 1277 | FREEPORT-MCMORAN INC 35671D907 | $105833.7B | 3 |
| 1278 | RELIANCE INC 759509102 | $105704.0B | 30 |
| 1279 | ASPEN TECHNOLOGY INC 29109X106 | $105701.7B | 15 |
| 1280 | RYANAIR HOLDINGS PLC 783513203 | $105701.0B | 18 |
| 1281 | PIMCO ETF TR 72201R866 | $105576.5B | 24 |
| 1282 | SEMTECH CORP 816850101 | $105084.3B | 20 |
| 1283 | FORTUNE BRANDS INNOVATIONS I 34964C106 | $104958.3B | 34 |
| 1284 | FS KKR CAP CORP 302635206 | $104717.5B | 45 |
| 1285 | CHURCHILL DOWNS INC 171484108 | $104694.8B | 28 |
| 1286 | CASELLA WASTE SYS INC 147448104 | $104534.6B | 22 |
| 1287 | GLOBANT S A L44385109 | $104495.4B | 23 |
| 1288 | SANDISK CORP 80004C200 | $104178.4B | 19 |
| 1289 | SOUTHERN CO 842587DP9 | $103864.0B | 4 |
| 1290 | JOHN HANCOCK EXCHANGE TRADED 47804J206 | $103826.2B | 21 |
| 1291 | RH 74967X103 | $103741.3B | 17 |
| 1292 | LAKELAND FINL CORP 511656100 | $103580.0B | 15 |
| 1293 | AMERICAN WTR CAP CORP 03040WBE4 | $103336.8B | 7 |
| 1294 | VANGUARD INDEX FDS 922908652 | $103329.2B | 44 |
| 1295 | JONES LANG LASALLE INC 48020Q107 | $103172.2B | 29 |
| 1296 | UNIVERSAL HLTH SVCS INC 913903100 | $103097.2B | 30 |
| 1297 | VANGUARD ENERGY ETF 92204A306 | $102867.0B | 41 |
| 1298 | COHEN & STEERS INC 19247A100 | $102825.1B | 14 |
| 1299 | FEDERAL AGRIC MTG CORP 313148306 | $102766.7B | 17 |
| 1300 | VICTORYSHARES FREE CASH FLOW 92647X830 | $102748.4B | 8 |
| 1301 | DIGITALBRIDGE GROUP INC 25401T603 | $102670.9B | 17 |
| 1302 | VIPER ENERGY INC 927959106 | $102472.8B | 13 |
| 1303 | VANGUARD MEGA CAP VALUE 921910840 | $102392.8B | 28 |
| 1304 | CINCINNATI FINL CORP 172062101 | $101914.4B | 40 |
| 1305 | TAYLOR MORRISON HOME CORP 87724P106 | $101757.0B | 24 |
| 1306 | FIRST TRUST 33739Q705 | $101735.8B | 24 |
| 1307 | MASTERCARD INCORPORATED 57636Q904 | $101480.8B | 3 |
| 1308 | ISHARES TR 464288356 | $101363.2B | 21 |
| 1309 | PINNACLE WEST CAP CORP 723484101 | $100898.5B | 33 |
| 1310 | AGCO CORP 001084102 | $100865.4B | 21 |
| 1311 | SMUCKER J M CO 832696405 | $100771.1B | 40 |
| 1312 | Rubrik Inc 781154109 | $100744.7B | 14 |
| 1313 | ENCOMPASS HEALTH CORP 29261A100 | $100685.4B | 30 |
| 1314 | INTERDIGITAL INC 45867G101 | $100607.4B | 24 |
| 1315 | GLOBAL E ONLINE LTD M5216V106 | $100442.4B | 13 |
| 1316 | J P MORGAN EXCHANGE TRADED F 46641Q159 | $100257.6B | 17 |
| 1317 | INVESCO EXCH TRADED FD TR II 46138E354 | $99530.8B | 45 |
| 1318 | TXNM ENERGY INC 69349H107 | $99116.9B | 17 |
| 1319 | AKAMAI TECHNOLOGIES INC 00971TAN1 | $98842.4B | 6 |
| 1320 | FRANCO NEV CORP 351858105 | $98750.7B | 27 |
| 1321 | FEDERAL RLTY INVT TR NEW 313745101 | $98590.6B | 30 |
| 1322 | ISHARES TR 46429B598 | $98408.8B | 29 |
| 1323 | QIAGEN NV N72482149 | $98297.0B | 9 |
| 1324 | RENTOKIL INITIAL PLC 760125104 | $98146.0B | 16 |
| 1325 | APELLIS PHARMACEUTICALS INC 03753U106 | $97962.9B | 14 |
| 1326 | MARVELL TECHNOLOGY INC 573874904 | $97498.6B | 2 |
| 1327 | PAGERDUTY INC 69553P100 | $97336.8B | 10 |
| 1328 | ROCHE HOLDINGS LTD-SPONS ADR 771195104 | $97329.5B | 2 |
| 1329 | CAPITAL GRP FIXED INCM ETF T 14020Y201 | $97088.6B | 14 |
| 1330 | DIMENSIONAL US CORE 25434V104 | $96825.6B | 17 |
| 1331 | BOOKING HLDGS INC 09857LAN8 | $96733.1B | 5 |
| 1332 | ZTO EXPRESS CAYMAN INC 98980AAB1 | $96723.9B | 4 |
| 1333 | CHENIERE ENERGY PARTNERS LP 16411Q101 | $96673.8B | 16 |
| 1334 | CITIZENS FINL GROUP INC 174610105 | $96560.9B | 47 |
| 1335 | HOST HOTELS & RESORTS INC 44107P104 | $96285.5B | 33 |
| 1336 | VANGUARD SCOTTSDALE FDS 92206C730 | $96147.0B | 14 |
| 1337 | SOFI TECHNOLOGIES INC 83406F102 | $95983.0B | 45 |
| 1338 | DIMENSIONAL US 25434V724 | $95959.9B | 27 |
| 1339 | J P MORGAN EXCHANGE TRADED F 46641Q654 | $95870.0B | 25 |
| 1340 | HEICO CORP NEW 422806208 | $95643.5B | 24 |
| 1341 | CIRRUS LOGIC INC 172755100 | $95541.4B | 20 |
| 1342 | SILICON LABORATORIES INC 826919102 | $95273.2B | 23 |
| 1343 | ARK ETF TR 00214Q904 | $95225.2B | 2 |
| 1344 | NEW JERSEY RES CORP 646025106 | $95145.6B | 29 |
| 1345 | ABBVIE INC 00287Y959 | $95081.8B | 2 |
| 1346 | SUNOCO LP/SUNOCO FIN CORP COM UT REP LP 86765K109 | $95024.1B | 19 |
| 1347 | REINSURANCE GRP OF AMERICA I 759351604 | $94901.7B | 30 |
| 1348 | BNY MELLON ULTR SHRT INC ETF 09661T859 | $94896.8B | 2 |
| 1349 | KNIFE RIVER CORP 498894104 | $94853.8B | 26 |
| 1350 | KNIGHT-SWIFT TRANSN HLDGS IN 499049104 | $94824.7B | 20 |
| 1351 | DISTILLATE US FUNDAMENTAL STABILITY & VALUE ETF 26922A321 | $94740.6B | 11 |
| 1352 | FLEXSHARES TR 33939L506 | $94559.8B | 8 |
| 1353 | CLAROS MTG TR INC 18270D106 | $94391.0B | 6 |
| 1354 | TERRENO RLTY CORP 88146M101 | $94390.6B | 21 |
| 1355 | INTERNATIONAL BUSINESS MACHS 459200901 | $94364.8B | 2 |
| 1356 | DIMENSIONAL INTERNATIONAL SM 25434V773 | $94362.1B | 10 |
| 1357 | SENTINELONE INC 81730H109 | $94016.2B | 26 |
| 1358 | RADNET INC 750491102 | $94003.9B | 19 |
| 1359 | SELECT SECTOR SPDR TR 81369Y100 | $93983.7B | 42 |
| 1360 | HEWLETT PACKARD ENTERPRISE C 42824C208 | $93924.4B | 4 |
| 1361 | NORTHERN TR CORP 665859104 | $93644.0B | 39 |
| 1362 | OKTA INC 679295105 | $93601.4B | 34 |
| 1363 | KKR & CO INC 48251W954 | $93119.6B | 2 |
| 1364 | SCHWAB STRATEGIC TR 808524763 | $93100.7B | 24 |
| 1365 | CUSHMAN WAKEFIELD PLC G2717B108 | $92789.1B | 14 |
| 1366 | INGREDION INC 457187102 | $92677.9B | 38 |
| 1367 | AMKOR TECHNOLOGY INC 031652100 | $92661.4B | 22 |
| 1368 | NEWMONT CORP 651639956 | $92415.2B | 2 |
| 1369 | ADOBE INC 00724F901 | $92324.1B | 2 |
| 1370 | GOLDMAN SACHS GROUP INC 38141G904 | $92297.0B | 2 |
| 1371 | FIVE BELOW INC 33829M101 | $92225.7B | 23 |
| 1372 | MOOG INC 615394202 | $92181.5B | 25 |
| 1373 | LKQ CORP 501889208 | $92142.9B | 30 |
| 1374 | CHEVRON CORP NEW 166764950 | $92060.6B | 2 |
| 1375 | SKYWEST INC 830879102 | $91914.3B | 27 |
| 1376 | Compass Minerals International Inc 20451N101 | $91662.1B | 10 |
| 1377 | BARRICK MNG CORP 06849F908 | $91316.9B | 2 |
| 1378 | F5 INC 315616102 | $91239.5B | 30 |
| 1379 | UPSTART HLDGS INC 91680M107 | $91115.9B | 23 |
| 1380 | FRANKLIN U.S. CORE BOND ETF 35473P553 | $91038.8B | 9 |
| 1381 | FIDELITY COVINGTON TRUST 316092808 | $91016.9B | 29 |
| 1382 | PIMCO ETF TR 72201R585 | $90720.8B | 20 |
| 1383 | VALVOLINE INC 92047W101 | $90263.6B | 19 |
| 1384 | CENTERPOINT ENERGY INC 15189TBD8 | $90187.3B | 4 |
| 1385 | FIRST CTZNS BANCSHARES INC D 31946M103 | $90071.7B | 25 |
| 1386 | NORTHWESTERN ENERGY GROUP IN 668074305 | $90002.0B | 22 |
| 1387 | UFP TECHNOLOGIES INC 902673102 | $89982.5B | 15 |
| 1388 | SPROTT ASSET MANAGEMENT LP 85207K107 | $89978.4B | 21 |
| 1389 | UBER TECHNOLOGIES INC 90353TAM2 | $89957.3B | 4 |
| 1390 | AECOM 00766T100 | $89648.4B | 27 |
| 1391 | CINEMARK HLDGS INC 17243V102 | $89622.1B | 13 |
| 1392 | EXLSERVICE HOLDINGS INC 302081104 | $89264.0B | 20 |
| 1393 | GLOBE LIFE INC 37959E102 | $89229.6B | 39 |
| 1394 | DIMENSIONAL CORE FIXED 25434V872 | $89196.5B | 18 |
| 1395 | ISHARES US MEDICAL 464288810 | $89153.8B | 35 |
| 1396 | EXXON MOBIL CORP 30231G952 | $89055.6B | 2 |
| 1397 | LEGG MASON ETF INVT 52468L505 | $88969.3B | 15 |
| 1398 | AMERISAFE INC 03071H100 | $88890.0B | 12 |
| 1399 | VANGUARD TOTAL WORLD 922042742 | $88733.0B | 48 |
| 1400 | GLAUKOS CORP 377322102 | $88660.1B | 20 |
| 1401 | SELECT SECTOR SPDR TR 81369Y907 | $88471.5B | 2 |
| 1402 | BENTLEY SYS INC 08265T208 | $88284.1B | 27 |
| 1403 | TRANSMEDICS GROUP INC 89377M109 | $88227.4B | 21 |
| 1404 | ROBINHOOD MKTS INC 770700952 | $88172.2B | 4 |
| 1405 | ALLEGION PLC G0176J109 | $87805.1B | 34 |
| 1406 | DROPBOX INC 26210C104 | $87611.6B | 25 |
| 1407 | ECHOSTAR CORP 278768AB2 | $87180.5B | 5 |
| 1408 | HECLA MNG CO 422704106 | $87062.2B | 23 |
| 1409 | MIDDLEBY CORP 596278101 | $86977.7B | 20 |
| 1410 | MERCURY SYS INC 589378108 | $86960.7B | 16 |
| 1411 | Q2 HLDGS INC 74736L109 | $86767.2B | 23 |
| 1412 | AIR TRANS SVCS GROUP INC 00922RAD7 | $86728.5B | 2 |
| 1413 | FIDELITY NATIONAL FINANCIAL 31620R303 | $86644.1B | 37 |
| 1414 | MERCADOLIBRE INC 58733R952 | $86076.3B | 2 |
| 1415 | COUSINS PPTYS INC 222795502 | $86030.1B | 20 |
| 1416 | OSHKOSH CORP 688239201 | $85903.8B | 24 |
| 1417 | PALO ALTO NETWORKS INC 697435955 | $85854.6B | 2 |
| 1418 | OMEGA HEALTHCARE INVS INC 681936100 | $85796.9B | 36 |
| 1419 | DISC MEDICINE INC 254604101 | $85560.2B | 5 |
| 1420 | ISHARES INTERNATIONAL SELECT DIVIDEND ETF 464288448 | $85318.9B | 32 |
| 1421 | TC ENERGY CORP 87807B107 | $85129.9B | 26 |
| 1422 | LAMB WESTON HLDGS INC 513272104 | $85086.4B | 45 |
| 1423 | BAUSCH PLUS LOMB CORP 071705107 | $84996.7B | 9 |
| 1424 | COMMUNITY TR BANCORP INC 204149108 | $84856.7B | 10 |
| 1425 | ASSURANT INC 04621X108 | $84832.9B | 34 |
| 1426 | CARPENTER TECHNOLOGY CORP 144285103 | $84608.1B | 32 |
| 1427 | RUSH ENTERPRISES INC 781846209 | $84579.2B | 24 |
| 1428 | PAYCOR HCM INC 70435P102 | $84521.6B | 6 |
| 1429 | VANGUARD SCOTTSDALE FDS 92206C714 | $84394.2B | 27 |
| 1430 | MORGAN STANLEY 617446908 | $84343.8B | 3 |
| 1431 | HARMONY GOLD MINING CO LTD 413216300 | $84286.8B | 10 |
| 1432 | FMC CORP 302491303 | $84189.7B | 40 |
| 1433 | AUTOLIV INC 052800109 | $84166.5B | 19 |
| 1434 | BAIDU INC F 056752108 | $84116.3B | 29 |
| 1435 | BORGWARNER INC 099724106 | $84093.1B | 30 |
| 1436 | OCEANEERING INTL INC 675232102 | $83952.0B | 17 |
| 1437 | ISHARES INC 464286509 | $83892.4B | 17 |
| 1438 | INTUIT 461202903 | $83851.1B | 2 |
| 1439 | WELLS FARGO CO NEW 949746901 | $83729.0B | 3 |
| 1440 | BANKUNITED INC 06652K103 | $83537.3B | 15 |
| 1441 | BLACKROCK, INC. 464287861 | $83464.0B | 10 |
| 1442 | ISHARES TR 46434V803 | $83380.3B | 28 |
| 1443 | GSK PLC ADR F 37733W204 | $83303.4B | 65 |
| 1444 | GLOBALFOUNDRIES INC G39387108 | $83181.7B | 16 |
| 1445 | MR COOPER GROUP INC 62482R107 | $82639.5B | 27 |
| 1446 | MAGNITE INC 55955D100 | $82579.5B | 22 |
| 1447 | ALLIANT ENERGY CORP 018802AC2 | $82461.2B | 4 |
| 1448 | SPDR DOW JONES INDL AVERAGE 78467X909 | $82441.3B | 2 |
| 1449 | BAXTER INTL INC 071813109 | $82394.6B | 47 |
| 1450 | RPM INTL INC 749685103 | $82295.1B | 42 |
| 1451 | BLACKROCK US CARBON TR READ 09290C509 | $82238.1B | 11 |
| 1452 | VIASAT INC 92552V100 | $82224.7B | 10 |
| 1453 | HARLEY DAVIDSON INC 412822108 | $81981.3B | 24 |
| 1454 | EPAM SYS INC 29414B104 | $81901.7B | 33 |
| 1455 | ISHARES TR 46429B663 | $81780.2B | 43 |
| 1456 | VANGUARD WHITEHALL FDS 921946810 | $81769.6B | 27 |
| 1457 | BOOZ ALLEN HAMILTON HLDG COR 099502106 | $81602.3B | 34 |
| 1458 | ISHARES TR 464287606 | $81140.6B | 34 |
| 1459 | DIREXION SHS ETF TR 25461A726 | $81132.8B | 5 |
| 1460 | FOMENTO ECONOMICO MEXICANO S 344419106 | $81114.0B | 21 |
| 1461 | ICU MED INC 44930G107 | $81041.1B | 13 |
| 1462 | AFFIRM HLDGS INC 00827B106 | $80982.0B | 28 |
| 1463 | GROUP 1 AUTOMOTIVE INC 398905109 | $80903.5B | 22 |
| 1464 | J P MORGAN EXCHANGE TRADED F 46641Q134 | $80814.8B | 14 |
| 1465 | ISHARES SEMICONDUCTOR 464287523 | $80407.0B | 44 |
| 1466 | VANGUARD CONSUMER 92204A207 | $80311.5B | 32 |
| 1467 | BANC OF CALIFORNIA INC 05990K106 | $80269.1B | 17 |
| 1468 | GUIDEWIRE SOFTWARE INC 40171VAA8 | $80172.1B | 2 |
| 1469 | U.S. GLOBAL JETS ETF 26922A842 | $80115.6B | 12 |
| 1470 | YUM CHINA HLDGS INC 98850P109 | $80101.2B | 35 |
| 1471 | PRINCIPAL FINL GROUP INC 74251V102 | $80004.6B | 45 |
| 1472 | JEFFERIES FINL GROUP INC 47233W109 | $79943.5B | 30 |
| 1473 | CAMECO CORP F 13321L108 | $79934.2B | 38 |
| 1474 | VANGUARD BD INDEX FDS 921937793 | $79903.6B | 31 |
| 1475 | PEMBINA PIPELINE CORP 706327103 | $79842.6B | 17 |
| 1476 | WAYFAIR INC 94419LAP6 | $79766.5B | 3 |
| 1477 | WINTRUST FINL CORP 97650W108 | $79750.2B | 27 |
| 1478 | VIATRIS INC 92556V106 | $79749.8B | 53 |
| 1479 | ENVISTA HOLDINGS CORPORATION 29415F104 | $79718.5B | 17 |
| 1480 | RB GLOBAL INC 74935Q107 | $79718.1B | 24 |
| 1481 | INSULET CORP 45784PAK7 | $79641.3B | 3 |
| 1482 | TRANSCAT INC 893529107 | $79571.3B | 7 |
| 1483 | DICKS SPORTING GOODS INC 253393102 | $79530.3B | 39 |
| 1484 | ISHARES TR 46435G326 | $79514.3B | 25 |
| 1485 | ALERIAN MLP ETF 00162Q452 | $79451.7B | 37 |
| 1486 | Whirlpool Corp 963320106 | $79356.9B | 34 |
| 1487 | TYLER TEX INDPT SCH DIST 902252AB1 | $79175.3B | 6 |
| 1488 | CIRCLE INTERNET GROUP IN 172573107 | $79165.7B | 13 |
| 1489 | SPDR SERIES TRUST 78464A698 | $78859.5B | 24 |
| 1490 | South Street Corporation 840441109 | $78810.4B | 19 |
| 1491 | REVVITY INC 714046109 | $78789.0B | 26 |
| 1492 | PDD HOLDINGS INC 722304952 | $78757.0B | 2 |
| 1493 | NMI HLDGS INC 629209305 | $78754.4B | 21 |
| 1494 | PDD HOLDINGS INC 722304902 | $78707.4B | 2 |
| 1495 | WOODWARD INC 980745103 | $78648.2B | 21 |
| 1496 | VORNADO RLTY TR 929042109 | $78567.8B | 23 |
| 1497 | ANNALY CAP MGMT INC 035710839 | $78433.5B | 37 |
| 1498 | TOLL BROTHERS INC 889478103 | $78366.1B | 36 |
| 1499 | EXACT SCIENCES CORP 30063P105 | $78342.8B | 34 |
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| 1502 | LYFT INC 55087P104 | $78234.1B | 26 |
| 1503 | ENDEAVOR GROUP HLDGS INC 29260Y109 | $78209.9B | 4 |
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| 1505 | KNOWLES CORP 49926D109 | $77896.1B | 12 |
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| 1517 | BOX INC 10316T104 | $76842.6B | 22 |
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| 1521 | TG THERAPEUTICS INC 88322Q108 | $76321.2B | 20 |
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| 1548 | AMCOR PLC G0250X107 | $74216.4B | 33 |
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| 1612 | CENTURY CMNTYS INC 156504300 | $69706.1B | 16 |
| 1613 | TELEFLEX INCORPORATED 879369106 | $69383.0B | 24 |
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| 1615 | ISHARES TR 464287705 | $69256.9B | 40 |
| 1616 | RIBBON COMMUNICATIONS INC COM 762544104 | $69139.6B | 8 |
| 1617 | LINCOLN ELEC HLDGS INC 533900106 | $69122.8B | 29 |
| 1618 | V F CORP 918204108 | $69099.1B | 27 |
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| 1626 | ABERCROMBIE & FITCH CO 002896207 | $68317.6B | 26 |
| 1627 | GFL ENVIRONMENTAL INC 36168Q104 | $68242.8B | 19 |
| 1628 | FIRST TR EXCHNG TRADED FD VI 33740F516 | $68131.7B | 6 |
| 1629 | KB HOME 48666K109 | $68049.2B | 25 |
| 1630 | FIRST TRUST 33738R118 | $67940.8B | 29 |
| 1631 | ALLETE INC 018522300 | $67911.4B | 21 |
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| 1635 | BANCO BILBAO VIZCAYA ARGENTA 05946K101 | $67695.6B | 27 |
| 1636 | HUNT J B TRANS SVCS INC 445658107 | $67668.8B | 39 |
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| 1640 | BROOKFIELD INFRASTRUCTURE CO 11276H106 | $67310.9B | 17 |
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| 1645 | ECHOSTAR CORP 278768106 | $66947.6B | 21 |
| 1646 | CATALYST PHARMACEUTICALS INC 14888U101 | $66873.7B | 23 |
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| 1648 | SPDR SERIES TRUST 78464A900 | $66680.4B | 2 |
| 1649 | CELLDEX THERAPEUTICS INC 15117B202 | $66598.9B | 8 |
| 1650 | KIMBELL RTY PARTNERS LP 49435R102 | $66566.1B | 11 |
| 1651 | VAXCYTE INC 92243G108 | $66492.0B | 22 |
| 1652 | PHILLIPS EDISON & CO INC 71844V201 | $66474.2B | 23 |
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| 1654 | CELANESE CORP DEL 150870103 | $66246.6B | 29 |
| 1655 | ISHARES INC 464286772 | $66208.2B | 8 |
| 1656 | MSA SAFETY INC 553498106 | $66201.6B | 25 |
| 1657 | GRANITE CONSTR INC 387328107 | $66185.1B | 20 |
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| 1659 | SAMSARA INC 79589L106 | $66046.7B | 21 |
| 1660 | MOHAWK INDS INC 608190104 | $65953.9B | 27 |
| 1661 | HARTFORD TTL RTRN BND ETF 41653L305 | $65909.8B | 7 |
| 1662 | INVESCO S&P 500 HIGH 46138E362 | $65842.2B | 21 |
| 1663 | AMERICAN CENTY ETF TR 025072802 | $65716.7B | 26 |
| 1664 | MERCK & CO INC 58933Y905 | $65675.0B | 2 |
| 1665 | PROGRESS SOFTWARE CORP 743312100 | $65630.8B | 21 |
| 1666 | DOUBLELINE ETF TRUST 25861R303 | $65601.6B | 9 |
| 1667 | JPMORGAN HEDGED 46654Q724 | $65563.9B | 16 |
| 1668 | MAKEMYTRIP LIMITED MAURITIUS V5633W109 | $65498.1B | 13 |
| 1669 | STRATEGY INC 594972908 | $65379.2B | 2 |
| 1670 | VANGUARD S&P 500 GROWTH 921932505 | $65362.1B | 38 |
| 1671 | AMERICAN INTL GROUP INC 026874954 | $65345.9B | 2 |
| 1672 | VISA INC 92826C909 | $65241.5B | 2 |
| 1673 | ISHARES US AEROSPACE 464288760 | $64966.8B | 47 |
| 1674 | ENSIGN GROUP INC 29358P101 | $64915.7B | 32 |
| 1675 | IDEAYA BIOSCIENCES INC 45166A102 | $64875.2B | 10 |
| 1676 | MASTERCARD INCORPORATED 57636Q954 | $64843.4B | 2 |
| 1677 | GOLDMAN SACHS ETF TR 381430123 | $64816.4B | 7 |
| 1678 | Magnolia Oil & Gas Corp 559663109 | $64708.2B | 20 |
| 1679 | ESSENTIAL UTILS INC 29670G102 | $64350.7B | 35 |
| 1680 | Certara Inc 15687V109 | $64290.5B | 11 |
| 1681 | ISHARES U.S. INFRASTRUCTURE ETF 46435U713 | $64269.9B | 31 |
| 1682 | INVESCO ACTVELY MNGD ETC FD 46090F100 | $64243.1B | 26 |
| 1683 | UNITED AIRLS HLDGS INC 910047959 | $64225.5B | 2 |
| 1684 | ROYAL GOLD INC 780287108 | $64210.3B | 30 |
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| 1687 | HOME DEPOT INC 437076952 | $63893.9B | 3 |
| 1688 | UNITY SOFTWARE INC 91332U101 | $63875.1B | 21 |
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| 1690 | Genesis Energy LP 371927104 | $63663.8B | 7 |
| 1691 | IPG Photonics Corp 44980X109 | $63595.9B | 12 |
| 1692 | KLAVIYO INC 49845K101 | $63587.0B | 11 |
| 1693 | Zurn Elkay Water Solutions Corp 98983L108 | $63567.3B | 18 |
| 1694 | CONMED CORP 207410101 | $63460.3B | 19 |
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| 1697 | MODERNA INC 60770K107 | $63216.6B | 41 |
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| 1700 | FIGURE TECHNOLOGY SOLUTIO 349381103 | $63073.6B | 3 |
| 1701 | PEGASYSTEMS INC 705573103 | $63040.1B | 23 |
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| 1703 | IONQ INC 46222L108 | $62925.7B | 25 |
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| 1705 | CORCEPT THERAPEUTICS INC 218352102 | $62872.9B | 17 |
| 1706 | Tutor Perini Corp 901109108 | $62682.6B | 11 |
| 1707 | ISHARES TR 46435GAA0 | $62600.6B | 19 |
| 1708 | ACADEMY SPORTS AND OUTDOORS IN 00402L107 | $62491.1B | 25 |
| 1709 | WATTS WATER TECHNOLOGIES INC 942749102 | $62439.4B | 24 |
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| 1713 | NEW ORIENTAL ED & TECHNOLOGY 647581206 | $61968.4B | 12 |
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| 1722 | WISDOMTREE TR 97717W547 | $61619.7B | 16 |
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| 1725 | BELDEN INC NEW 077454106 | $61255.3B | 22 |
| 1726 | JACKSON FINANCIAL INC 46817M107 | $61213.9B | 29 |
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| 1728 | VANGUARD UTILITIES ETF 92204A876 | $61065.1B | 32 |
| 1729 | FREEPORT-MCMORAN INC 35671D957 | $60745.8B | 3 |
| 1730 | ISHARES TR 46435G672 | $60728.4B | 24 |
| 1731 | J P MORGAN EXCHANGE TRADED F 46641Q779 | $60652.2B | 9 |
| 1732 | ISHARES U S ETF TR 46431W507 | $60629.6B | 22 |
| 1733 | APPLIED MATLS INC 038222955 | $60577.6B | 2 |
| 1734 | ESSENT GROUP LTD G3198U102 | $60553.7B | 23 |
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| 1737 | LAUDER ESTEE COS INC 518439954 | $60450.4B | 2 |
| 1738 | GRUPO TELEVISA S A B 40049J206 | $60393.8B | 4 |
| 1739 | EAGLE CAPITAL SELECT EQTY 88339Y102 | $60374.7B | 4 |
| 1740 | CORVEL CORP 221006109 | $60369.7B | 15 |
| 1741 | MACYS INC 55616P104 | $60255.4B | 24 |
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| 1744 | COMMERCIAL METALS CO 201723103 | $60048.7B | 34 |
| 1745 | BIONTECH SE 09075V102 | $60027.2B | 18 |
| 1746 | ISHARES TR 464288240 | $59960.0B | 23 |
| 1747 | FIRST INDL RLTY TR INC 32054K103 | $59906.4B | 27 |
| 1748 | TEXAS INSTRS INC 882508954 | $59814.5B | 3 |
| 1749 | VANECK ETF TRUST 92189H607 | $59807.7B | 13 |
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| 1752 | VAIL RESORTS INC 91879QAN9 | $59717.8B | 3 |
| 1753 | TENABLE HLDGS INC 88025T102 | $59669.6B | 13 |
| 1754 | ALERIAN MLP ETN2044 48133Q309 | $59642.1B | 3 |
| 1755 | WAYFAIR INC 94419L101 | $59631.2B | 17 |
| 1756 | CALIX INC 13100M509 | $59358.9B | 16 |
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| 1758 | VANGUARD ESG US STOCK 921910733 | $59257.4B | 31 |
| 1759 | STARWOOD PPTY TR INC 85571B105 | $59025.7B | 26 |
| 1760 | ADTALEM GLOBAL ED INC 00737L103 | $58992.5B | 19 |
| 1761 | WISDOMTREE TR 97717W208 | $58889.6B | 17 |
| 1762 | PFIZER INC 717081903 | $58862.6B | 2 |
| 1763 | STAG INDL INC 85254J102 | $58772.1B | 34 |
| 1764 | INVESCO EXCH TRD SLF IDX FD 46138J577 | $58746.9B | 17 |
| 1765 | SUN LIFE FINL INC F 866796105 | $58738.6B | 25 |
| 1766 | BERRY GLOBAL GROUP INC COM 08579W103 | $58714.3B | 14 |
| 1767 | DIMENSIONAL EMERG CORE 25434V302 | $58579.8B | 17 |
| 1768 | FOX CORP 35137L204 | $58459.1B | 31 |
| 1769 | DYNE THERAPEUTICS INC 26818M108 | $58411.9B | 13 |
| 1770 | PRIMERICA INC 74164M108 | $58350.6B | 27 |
| 1771 | SLM CORP 78442P106 | $58286.3B | 20 |
| 1772 | CARVANA CO 146869952 | $58170.5B | 2 |
| 1773 | Sprinklr Inc 85208T107 | $58156.9B | 13 |
| 1774 | SKEENA RES LTD NEW 83056P715 | $58151.7B | 3 |
| 1775 | DIMENSIONAL US HIGH 25434V831 | $58125.8B | 16 |
| 1776 | MAIN THEMATIC INNOVATION ETF 66538H278 | $58084.3B | 3 |
| 1777 | PGIM AAA CLO ETF 69344A834 | $57988.9B | 6 |
| 1778 | VODAFONE GROUP PLC NEW F 92857W308 | $57943.8B | 38 |
| 1779 | Cleveland-Cliffs Inc 185899101 | $57941.0B | 32 |
| 1780 | SPROTT ASSET MANAGEMENT LP 85208R101 | $57904.2B | 22 |
| 1781 | BLUE OWL CAPITAL CORPORATION COM 69121K104 | $57857.3B | 26 |
| 1782 | FRANKLIN RESOURCES INC 354613101 | $57848.7B | 29 |
| 1783 | ISHARES INC 464286681 | $57824.1B | 7 |
| 1784 | INVESCO AEROSPACE & 46137V100 | $57434.2B | 31 |
| 1785 | STANLEY BLACK & DECKER INC 854502101 | $57329.6B | 35 |
| 1786 | PINNACLE FINL PARTNERS INC 72346Q104 | $57315.9B | 25 |
| 1787 | ARCHROCK INC 03957W106 | $57311.9B | 23 |
| 1788 | SIRIUSXM HLDGS INC EQUIT 829933100 | $57268.1B | 32 |
| 1789 | INTEL CORP 458140900 | $57254.3B | 3 |
| 1790 | FEDEX CORP 31428X906 | $57235.5B | 2 |
| 1791 | COLUMBIA ETF TR I 19761L706 | $57191.6B | 13 |
| 1792 | SPDR SERIES TRUST 78464A201 | $57137.3B | 29 |
| 1793 | MERUS N V N5749R100 | $57134.9B | 10 |
| 1794 | MARKETAXESS HLDGS INC 57060D108 | $57091.9B | 21 |
| 1795 | ACADIA HEALTHCARE COMPANY IN 00404A109 | $57088.0B | 17 |
| 1796 | LLOYDS BANKING GROUP PLC 539439109 | $57077.6B | 30 |
| 1797 | ZOOMINFO TECHNOLOGIES INC 98980F104 | $57010.6B | 19 |
| 1798 | MARA HOLDINGS INC 565788106 | $56923.1B | 29 |
| 1799 | TEGNA INC 87901J105 | $56829.5B | 29 |
| 1800 | VANECK ETF TRUST 92189F437 | $56779.7B | 23 |
| 1801 | VIAVI SOLUTIONS INC 925550105 | $56715.3B | 20 |
| 1802 | GOLDMAN SACHS ACTIVEBETA EMERGING MARKETS EQUITY ETF 381430206 | $56713.2B | 11 |
| 1803 | FIRST TRUST NASDAQ 33734X846 | $56680.0B | 46 |
| 1804 | SCHWAB CHARLES CORP 808513955 | $56668.2B | 2 |
| 1805 | PUTNAM ETF TRUST 746729300 | $56592.9B | 9 |
| 1806 | ISHARES INC 464286533 | $56529.1B | 24 |
| 1807 | WISDOMTREE TR 97717Y790 | $56485.5B | 11 |
| 1808 | PRESTIGE CONSMR HEALTHCARE I 74112D101 | $56375.1B | 20 |
| 1809 | GLOBAL X FUND GLB X NSDQ 37954Y483 | $56367.7B | 34 |
| 1810 | BARRICK MNG CORP 06849F108 | $56293.5B | 18 |
| 1811 | WEBSTER FINL CORP 947890109 | $56259.6B | 23 |
| 1812 | HAGERTY INC 405166109 | $56199.5B | 4 |
| 1813 | JAZZ INVESTMENTS I LTD 472145AF8 | $56199.3B | 3 |
| 1814 | FIDELITY WISE ORIGIN BITCOIN 315948109 | $56139.3B | 32 |
| 1815 | HOME BANCSHARES INC 436893200 | $56138.6B | 18 |
| 1816 | SPDR INDEX SHS FDS 78463X434 | $56080.6B | 7 |
| 1817 | SPDR SERIES TRUST 78468R523 | $55842.1B | 18 |
| 1818 | APPFOLIO INC 03783C100 | $55834.1B | 23 |
| 1819 | BANK OZK LITTLE ROCK ARK 06417N103 | $55813.7B | 22 |
| 1820 | SELECT SECTOR SPDR TR 81369Y860 | $55786.6B | 38 |
| 1821 | NORTHERN LTS FD TR III 66538R748 | $55727.9B | 3 |
| 1822 | CONSTRUCTION PARTNERS INC 21044C107 | $55713.2B | 19 |
| 1823 | FLUOR CORP NEW 343412102 | $55674.8B | 28 |
| 1824 | EA SERIES TRUST 02072L185 | $55657.5B | 4 |
| 1825 | INVESCO ACTIVELY MANAGED EXC 46090A887 | $55529.4B | 16 |
| 1826 | SERVICETITAN INC 81764X103 | $55448.7B | 7 |
| 1827 | NCINO INC 63947X101 | $55372.8B | 17 |
| 1828 | REV GROUP INC 749527107 | $55229.4B | 18 |
| 1829 | AAON INC 000360206 | $55201.8B | 20 |
| 1830 | THE TRADE DESK INC 88339J955 | $55200.7B | 2 |
| 1831 | ROBLOX CORP 771049903 | $55199.6B | 2 |
| 1832 | SUMITOMO MITSUI FINL GROUP I 86562M209 | $55198.5B | 24 |
| 1833 | SELECT SECTOR SPDR TR 81369Y909 | $55185.4B | 2 |
| 1834 | ACUITY INC 00508Y102 | $55125.9B | 27 |
| 1835 | CARLYLE GROUP INC 14316J108 | $55020.9B | 26 |
| 1836 | PAYPAL HLDGS INC 70450Y903 | $54995.5B | 2 |
| 1837 | GENERAC HLDGS INC 368736104 | $54865.4B | 36 |
| 1838 | SCHWAB US TIPS ETF 808524870 | $54837.3B | 34 |
| 1839 | RIVIAN AUTOMOTIVE INC 76954A953 | $54775.5B | 2 |
| 1840 | ALPS SMTH COR BD PLUS ETF 00162Q346 | $54673.1B | 5 |
| 1841 | VANGUARD CONSUMER 92204A108 | $54634.7B | 25 |
| 1842 | TEMPUS AI INC 88023B103 | $54613.9B | 13 |
| 1843 | AMENTUM HOLDINGS INC 023939101 | $54596.4B | 28 |
| 1844 | SSGA ACTIVE ETF TR 78467V848 | $54541.8B | 25 |
| 1845 | COSTCO WHSL CORP NEW 22160K955 | $54409.5B | 3 |
| 1846 | ISHARES S&P SMALL-CAP 600 VALUE ETF 464287879 | $54399.2B | 32 |
| 1847 | ESSENTIAL PPTYS RLTY TR INC 29670E107 | $54281.2B | 16 |
| 1848 | ALLY FINL INC 02005N100 | $53989.1B | 30 |
| 1849 | HENRY SCHEIN INC 806407102 | $53988.5B | 30 |
| 1850 | AMNEAL PHARMACEUTICALS INC 03168L105 | $53970.2B | 13 |
| 1851 | FIRST TR EXCHANGE-TRADED FD 33738D101 | $53888.5B | 25 |
| 1852 | Stratasys Ltd M85548101 | $53794.9B | 13 |
| 1853 | LIONSGATE STUDIOS CORP 53626N102 | $53794.8B | 8 |
| 1854 | AMPLIFY ETF TR 032108409 | $53575.4B | 18 |
| 1855 | ISHARES TR 46435G102 | $53379.3B | 22 |
| 1856 | QNITY ELECTRONICS INC 74743L100 | $53341.1B | 10 |
| 1857 | HUNTINGTON INGALLS INDS INC 446413106 | $53262.6B | 34 |
| 1858 | Ambarella Inc G037AX101 | $53243.6B | 17 |
| 1859 | OCCIDENTAL PETE CORP 674599905 | $53127.4B | 3 |
| 1860 | BLACKSTONE INC 09260D907 | $53084.6B | 2 |
| 1861 | ICICI BANK LIMITED 45104G104 | $53071.8B | 24 |
| 1862 | BERKSHIRE HATHAWAY INC DEL 084670952 | $52973.3B | 2 |
| 1863 | GMS INC 36251C103 | $52779.4B | 11 |
| 1864 | TOTALENERGIES F F92124100 | $52706.9B | 7 |
| 1865 | SHIFT4 PMTS INC 82452JAB5 | $52673.2B | 4 |
| 1866 | INNOVATOR ETFS TRUST 45783Y855 | $52507.5B | 8 |
| 1867 | SHIFT4 PMTS INC 82452JAD1 | $52424.0B | 5 |
| 1868 | MP MATERIALS CORP 553368101 | $52384.1B | 31 |
| 1869 | APPLOVIN CORP 03831W908 | $52381.5B | 3 |
| 1870 | STRIDE INC 86333MAA6 | $52360.1B | 5 |
| 1871 | CRACKER BARREL OLD CTRY STOR 22410JAB2 | $52341.9B | 5 |
| 1872 | ISHARES TR 46429B689 | $52322.2B | 29 |
| 1873 | ISHARES TR 46435G516 | $52260.0B | 30 |
| 1874 | ALIGHT INC 01626W101 | $52211.2B | 14 |
| 1875 | WESTERN UN CO 959802109 | $52172.8B | 32 |
| 1876 | VANGUARD S&P SMALL CAP 921932828 | $52080.1B | 19 |
| 1877 | PALO ALTO NETWORKS INC 697435905 | $52065.1B | 2 |
| 1878 | ENVIRI CORP 415864107 | $52040.3B | 10 |
| 1879 | ARRIVENT BIOPHARMA INC 04272N102 | $51973.5B | 6 |
| 1880 | THE MOSAIC CO 61945C103 | $51957.7B | 35 |
| 1881 | AXSOME THERAPEUTICS INC 05464T104 | $51917.3B | 20 |
| 1882 | BROOKFIELD RENEWABLE PARTNER G16258108 | $51880.5B | 17 |
| 1883 | Pacer Swan SOS Conservative April ETF 69374H543 | $51856.2B | 2 |
| 1884 | FIRST ADVANTAGE CORP NEW 31846B108 | $51702.9B | 4 |
| 1885 | SCHWAB STRATEGIC TR 808524730 | $51611.0B | 17 |
| 1886 | ISHARES RUSSELL TOP 200 ETF 464289446 | $51560.3B | 15 |
| 1887 | MIRUM PHARMACEUTICALS INC 604749101 | $51508.8B | 11 |
| 1888 | KINSALE CAP GROUP INC 49714P108 | $51386.1B | 28 |
| 1889 | QUALCOMM INC 747525903 | $51187.8B | 3 |
| 1890 | COMSTOCK RES INC 205768302 | $51132.7B | 16 |
| 1891 | NATIONAL FUEL GAS CO 636180101 | $51077.6B | 27 |
| 1892 | SCHWAB STRATEGIC TR 808524888 | $51054.2B | 21 |
| 1893 | Selective Insurance Group Inc 816300107 | $51036.4B | 24 |
| 1894 | ISHARES ESG AWARE USD CORPORAT 46435G193 | $50994.0B | 13 |
| 1895 | MERCK & CO INC 58933Y955 | $50887.1B | 2 |
| 1896 | HERTZ GLOBAL HLDGS INC 42806J700 | $50827.2B | 12 |
| 1897 | VANECK JUNIOR GOLD 92189F791 | $50721.1B | 22 |
| 1898 | PERFORMANT HEALTHCARE INC 71377E105 | $50619.2B | 4 |
| 1899 | Redfin Corp. 75737F108 | $50573.4B | 15 |
| 1900 | GAMESTOP CORP 36467W109 | $50500.0B | 23 |
| 1901 | ISHARES TR 46436E767 | $50495.4B | 14 |
| 1902 | VANGUARD WHITEHALL FDS 921946885 | $50467.4B | 24 |
| 1903 | AURORA INNOVATION INC 051774107 | $50463.2B | 17 |
| 1904 | INDIE SEMICONDUCTOR INC 45569U101 | $50352.2B | 11 |
| 1905 | RINGCENTRAL INC CL A 76680R206 | $50227.5B | 13 |
| 1906 | LEGALZOOM COM INC 52466B103 | $50224.9B | 12 |
| 1907 | SPOTIFY USA INC 84921RAB6 | $50175.6B | 5 |
| 1908 | CARNIVAL CORP 143658950 | $50175.2B | 3 |
| 1909 | SUNCOR ENERGY INC NEW 867224107 | $50024.4B | 35 |
| 1910 | ARK ETF TR 00214Q954 | $49959.7B | 2 |
| 1911 | COCA COLA CONSOLIDAT 191098102 | $49913.7B | 26 |
| 1912 | INVESCO ACTIVELY MANAGED EXC 46090A804 | $49898.2B | 11 |
| 1913 | HORMEL FOODS CORP 440452100 | $49804.7B | 34 |
| 1914 | REMITLY GLOBAL INC 75960P104 | $49595.2B | 11 |
| 1915 | FIRST TR EXCHNG TRADED FD VI 33740F672 | $49555.1B | 7 |
| 1916 | CAP GROUP SHORT DURATION 14020Y409 | $49513.8B | 9 |
| 1917 | D R HORTON INC 23331A909 | $49511.6B | 2 |
| 1918 | ALKERMES PLC G01767105 | $49482.5B | 24 |
| 1919 | AMBEV SA 02319V103 | $49448.8B | 21 |
| 1920 | AZEK CO INC 05478C105 | $49294.1B | 15 |
| 1921 | WARNER MUSIC GROUP CORP 934550203 | $49145.8B | 13 |
| 1922 | SIGNET JEWELERS LIMITED G81276100 | $49024.2B | 20 |
| 1923 | FRONTDOOR INC 35905A109 | $48933.3B | 26 |
| 1924 | ISHARES GLOBAL ENERGY ETF 464287341 | $48931.6B | 23 |
| 1925 | WISDOMTREE US SMALLCAP DIVID 97717W604 | $48823.6B | 25 |
| 1926 | AMERICAN AIRLS GROUP INC 02376R102 | $48720.6B | 41 |
| 1927 | SERVICENOW INC 81762P902 | $48662.0B | 2 |
| 1928 | RYAN SPECIALTY HOLDINGS 78351F107 | $48641.4B | 21 |
| 1929 | AMERICAN AIRLS GROUP INC 02376R952 | $48610.8B | 5 |
| 1930 | BRITISH AMERN TOB PLC 110448107 | $48538.8B | 40 |
| 1931 | BRUNSWICK CORP 117043109 | $48448.6B | 21 |
| 1932 | VIPER ENERGY INC 64361Q101 | $48227.3B | 6 |
| 1933 | ONESTREAM INC 68278B107 | $48173.1B | 6 |
| 1934 | SOUTHWEST GAS HOLDIN 844895102 | $48154.2B | 18 |
| 1935 | BILL Holdings Inc 090043100 | $48122.0B | 17 |
| 1936 | NEWMARKET CORP 651587107 | $48065.4B | 20 |
| 1937 | WORKIVA INC 98139A105 | $48045.4B | 16 |
| 1938 | ASCENDIS PHARMA A/S 04351PAD3 | $47854.3B | 3 |
| 1939 | ERO COPPER CORP 296006109 | $47814.3B | 5 |
| 1940 | J P MORGAN EXCHANGE TRADED F 46641Q274 | $47782.1B | 7 |
| 1941 | COGNYTE SOFTWARE LTD M25133105 | $47777.3B | 5 |
| 1942 | GERON CORP 374163103 | $47608.0B | 21 |
| 1943 | SPDR SERIES TRUST 78464A905 | $47591.7B | 3 |
| 1944 | FIRST TR EXCHANGE TRADED FD 33738R605 | $47566.9B | 25 |
| 1945 | SEABRIDGE GOLD INC 811916105 | $47499.3B | 9 |
| 1946 | SMITH A O CORP 831865209 | $47494.4B | 25 |
| 1947 | FRESHPET INC 358039105 | $47465.0B | 19 |
| 1948 | SIMPLY GOOD FOODS CO 82900L102 | $47278.1B | 18 |
| 1949 | INVESCO EXCH TRADED FD TR II 46138G698 | $47267.5B | 23 |
| 1950 | HCM DEFENDER 500 INDEX ETF 66538R730 | $47216.7B | 4 |
| 1951 | Pacer Funds Trust - Pacer Trendpilot 100 ETF 69374H303 | $47183.2B | 14 |
| 1952 | MATTEL INC COM 577081102 | $47104.0B | 20 |
| 1953 | JANUS HENDERSON SHRT 47103U886 | $47091.5B | 14 |
| 1954 | CARGURUS INC 141788109 | $47086.2B | 20 |
| 1955 | NLIGHT INC 65487K100 | $47018.7B | 10 |
| 1956 | FLOWERS FOODS INC 343498101 | $46924.6B | 22 |
| 1957 | MADDEN STEVEN LTD 556269108 | $46908.5B | 16 |
| 1958 | ATRICURE INC 04963C209 | $46828.2B | 10 |
| 1959 | RYDER SYS INC 783549108 | $46689.9B | 27 |
| 1960 | NEOGEN CORP 640491106 | $46682.2B | 17 |
| 1961 | FIRST TR EXCHNG TRADED FD VI 33740F862 | $46568.1B | 12 |
| 1962 | LUFAX HOLDING LTD 54975P201 | $46532.6B | 11 |
| 1963 | ISHARES EXPANDED TECH 464287515 | $46524.3B | 31 |
| 1964 | ISHARES TR 46436E858 | $46489.4B | 16 |
| 1965 | JD.COM INC 47215P106 | $46453.7B | 27 |
| 1966 | DISNEY WALT CO 254687956 | $46382.2B | 2 |
| 1967 | OLD REP INTL CORP 680223104 | $46339.5B | 32 |
| 1968 | IMPERIAL OIL LTD 453038408 | $46297.6B | 18 |
| 1969 | CRESCENT PT ENERGY CORP 22576C101 | $46249.7B | 2 |
| 1970 | CREDICORP LTD G2519Y108 | $46163.8B | 17 |
| 1971 | FIRST WATCH RESTAURANT GROUP 33748L101 | $46079.2B | 8 |
| 1972 | LULULEMON ATHLETICA INC 550021909 | $46041.5B | 2 |
| 1973 | Six Flags Entertainment Corp 83001A102 | $46025.2B | 2 |
| 1974 | T-MOBILE US INC 872590954 | $46001.8B | 2 |
| 1975 | FIRST TR EXCHANGE-TRADED FD 33733E302 | $45989.1B | 31 |
| 1976 | MANAGED PORTFOLIO SERIES 56167N720 | $45967.2B | 5 |
| 1977 | WISDOMTREE TR 97717X594 | $45834.1B | 18 |
| 1978 | SYNOPSYS INC 871607957 | $45744.0B | 2 |
| 1979 | TARGET CORP 87612E956 | $45713.5B | 3 |
| 1980 | J P MORGAN EXCHANGE TRADED F 46641Q878 | $45698.6B | 10 |
| 1981 | INVESCO EXCH TRD SLF IDX FD 46138J619 | $45662.0B | 17 |
| 1982 | STRYKER CORPORATION 863667951 | $45602.4B | 2 |
| 1983 | FIRST TR EXCH TRADED FD III 33739N108 | $45601.3B | 20 |
| 1984 | POPULAR INC COM NEW 733174700 | $45586.6B | 15 |
| 1985 | SCORPIO TANKERS INC Y7542C130 | $45519.3B | 16 |
| 1986 | ETFS GOLD TR 00326A104 | $45437.8B | 25 |
| 1987 | ASML HOLDING N V N07059950 | $45355.8B | 2 |
| 1988 | DIMENSIONAL US SMALL CAP 25434V815 | $45339.7B | 18 |
| 1989 | COMERICA INC 200340107 | $45339.1B | 31 |
| 1990 | VERONA PHARMA PLC 925050106 | $45257.1B | 14 |
| 1991 | EnerSys 29275Y102 | $45252.4B | 23 |
| 1992 | MCGRATH RENTCORP 580589109 | $45246.2B | 15 |
| 1993 | OPTION CARE HEALTH INC 68404L201 | $45130.1B | 16 |
| 1994 | NEW YORK LIFE INVTS ACTIVE E 45409F827 | $45117.8B | 10 |
| 1995 | ALCOA CORP 013872906 | $45098.8B | 2 |
| 1996 | VIAVI SOLUTIONS INC 925550AH8 | $45065.3B | 3 |
| 1997 | HA SUSTAINABLE INFRA CAP INC 41068X100 | $44999.8B | 21 |
| 1998 | STRYKER CORPORATION 863667901 | $44807.7B | 2 |
| 1999 | UIPATH INC 90364P105 | $44804.5B | 21 |
| 2000 | GRAND CANYON ED INC 38526M106 | $44801.9B | 22 |
| 2001 | POTLATCHDELTIC CORPORATION 737630103 | $44753.1B | 19 |
| 2002 | NUVALENT INC 670703107 | $44590.8B | 13 |
| 2003 | DELL TECHNOLOGIES INC 24703L952 | $44575.0B | 2 |
| 2004 | NORTHERN OIL & GAS INC 665531307 | $44527.1B | 20 |
| 2005 | SPDR SERIES TRUST 78464A300 | $44510.3B | 28 |
| 2006 | HASBRO INC 418056107 | $44470.6B | 34 |
| 2007 | SCHWAB LONG-TERM U.S. TREASURY ETF 808524680 | $44439.4B | 11 |
| 2008 | MILLER INDS INC TENN 600551204 | $44427.5B | 10 |
| 2009 | GAP INC 364760108 | $44410.2B | 24 |
| 2010 | ISHARES CORE MSCI EUROPE ETF 46434V738 | $44362.6B | 19 |
| 2011 | LAUDER ESTEE COS INC 518439904 | $44323.0B | 2 |
| 2012 | MDU RES GROUP INC 552690109 | $44309.5B | 17 |
| 2013 | RYMAN HOSPITALITY PPTYS INC 78377T107 | $44279.1B | 18 |
| 2014 | SOLVENTUM CORP 83444M101 | $44240.8B | 50 |
| 2015 | WESTERN ALLIANCE BANCORP 957638109 | $44169.9B | 25 |
| 2016 | CHEFS WHSE INC 163086AE1 | $44057.5B | 4 |
| 2017 | VANGUARD ADMIRAL FDS INC 921932885 | $44016.1B | 15 |
| 2018 | XPLR INFRASTRUCTURE LP 65341B106 | $43869.8B | 21 |
| 2019 | DXC TECHNOLOGY CO 23355L106 | $43845.5B | 23 |
| 2020 | GRAB HOLDINGS LIMITED G4124C109 | $43835.3B | 16 |
| 2021 | HOME DEPOT INC 437076902 | $43759.0B | 2 |
| 2022 | MADISON SQUARE GARDEN ENTMT 558256103 | $43746.0B | 14 |
| 2023 | KORN FERRY 500643200 | $43730.1B | 15 |
| 2024 | HURON CONSULTING GROUP INC 447462102 | $43705.5B | 15 |
| 2025 | HASHICORP INC 418100103 | $43587.8B | 8 |
| 2026 | INNOVATOR ETFS TRUST 45782C508 | $43534.4B | 12 |
| 2027 | INFINERA CORP 45667GAE3 | $43495.5B | 2 |
| 2028 | FLOWCO HLDGS INC 342909108 | $43445.4B | 3 |
| 2029 | TD SYNNEX CORPORATION 87162W100 | $43445.1B | 23 |
| 2030 | FIRST TR EXCHNG TRADED FD VI 33740F763 | $43431.7B | 10 |
| 2031 | ISHARES TR 46436E338 | $43397.4B | 7 |
| 2032 | BROWN FORMAN CORP 115637209 | $43381.0B | 27 |
| 2033 | HOWARD HUGHES HOLDINGS INC 44267T102 | $43347.2B | 18 |
| 2034 | FRANKLIN FTSE JAPAN ETF 35473P744 | $43289.6B | 11 |
| 2035 | ZACKS TRUST 98888G105 | $43276.4B | 5 |
| 2036 | ROBERT HALF INC. 770323103 | $43225.4B | 23 |
| 2037 | TREEHOUSE FOODS INC 89469A104 | $43161.1B | 14 |
| 2038 | AMERICAN INTL GROUP INC 026874904 | $43148.5B | 2 |
| 2039 | ARROW ELECTRS INC 042735100 | $43093.8B | 26 |
| 2040 | ORLA MNG LTD NEW 68634K106 | $42991.9B | 6 |
| 2041 | SPDR SERIES TRUST 78468R200 | $42904.9B | 15 |
| 2042 | BOOKING HOLDINGS INC 09857L908 | $42871.4B | 2 |
| 2043 | TEVA PHARMACEUTICAL INDS LTD 881624209 | $42843.4B | 30 |
| 2044 | Pacer Swan SOS Conservative October ETF 69374H527 | $42807.7B | 3 |
| 2045 | ACI WORLDWIDE INC 004498101 | $42780.5B | 20 |
| 2046 | MURPHY OIL CORP 626717102 | $42751.6B | 19 |
| 2047 | Lionsgate Studios Corp 53626M104 | $42733.2B | 4 |
| 2048 | AVIENT CORPORATION 05368V106 | $42698.1B | 21 |
| 2049 | GOLAR LNG LTD G9456A100 | $42690.9B | 10 |
| 2050 | STATE STREET 78468R721 | $42640.5B | 16 |
| 2051 | ISHARES MSCI BRAZIL ETF 464286400 | $42462.5B | 15 |
| 2052 | JAMF HLDG CORP 47074L105 | $42459.0B | 7 |
| 2053 | CVS HEALTH CORP 126650950 | $42425.2B | 2 |
| 2054 | ARES MANAGEMENT CORPORATION 03990B309 | $42335.0B | 4 |
| 2055 | Plymouth Industrial REIT Inc 729640102 | $42257.7B | 11 |
| 2056 | VANGUARD RUSSELL 2000 92206C664 | $42157.8B | 35 |
| 2057 | FIDELITY COVINGTON TRUST 31609A305 | $42152.6B | 11 |
| 2058 | LIQUIDIA CORPORATION 53635D202 | $42129.7B | 10 |
| 2059 | MITSUBISHI UFJ FINL GROUP IN 606822104 | $42121.3B | 25 |
| 2060 | VERIZON COMMUNICATIONS INC 92343V904 | $42118.7B | 2 |
| 2061 | REPLIGEN CORP 759916109 | $42055.2B | 27 |
| 2062 | GLOBAL X 37954Y475 | $41998.2B | 15 |
| 2063 | LIBERTY BROADBAND CORP 530307305 | $41904.6B | 20 |
| 2064 | CAPITAL ONE FINL CORP 14040H955 | $41869.3B | 2 |
| 2065 | INSIGHT ENTERPRISES INC 45765U103 | $41858.2B | 20 |
| 2066 | CONDUENT INC 206787103 | $41855.3B | 10 |
| 2067 | MSC Industrial Direct Co Inc 553530106 | $41718.9B | 23 |
| 2068 | RESTAURANT BRANDS INTL INC 76131D103 | $41647.9B | 21 |
| 2069 | FIDELITY NASDAQ COMP INDX 315912808 | $41639.4B | 17 |
| 2070 | COINBASE GLOBAL INC 19260QAB3 | $41607.2B | 6 |
| 2071 | NIO INC 62914VAK2 | $41604.8B | 4 |
| 2072 | CARETRUST REIT INC 14174T107 | $41595.6B | 23 |
| 2073 | T ROWE PRICE ETF INC 87283Q107 | $41578.2B | 8 |
| 2074 | MERITAGE HOMES CORP 59001A102 | $41576.4B | 25 |
| 2075 | WISDOMTREE INDIA EARNINGS FUND 97717W422 | $41559.9B | 12 |
| 2076 | TOWER SEMICONDUCTOR LTD M87915274 | $41552.7B | 12 |
| 2077 | SPDR SERIES TRUST 78464A839 | $41511.0B | 23 |
| 2078 | THOR INDS INC 885160101 | $41506.6B | 20 |
| 2079 | FRANKLIN TEMPLETON ETF TR 35473P108 | $41487.3B | 10 |
| 2080 | DARLING INGREDIENTS INC 237266101 | $41411.6B | 28 |
| 2081 | SPIRIT AEROSYSTEMS INC 85205TAQ3 | $41411.3B | 2 |
| 2082 | BLACKBAUD INC 09227Q100 | $41405.9B | 17 |
| 2083 | SABRA HEALTH CARE REIT INC 78573L106 | $41396.2B | 22 |
| 2084 | RHYTHM PHARMACEUTICALS INC 76243J105 | $41388.1B | 13 |
| 2085 | FTI CONSULTING INC 302941109 | $41341.1B | 22 |
| 2086 | VERA THERAPEUTICS INC 92337R101 | $41335.9B | 9 |
| 2087 | SPDR SERIES TRUST 78464A908 | $41325.7B | 2 |
| 2088 | VIKING THERAPEUTICS INC 92686J106 | $41273.8B | 21 |
| 2089 | BROOKFIELD RENEWABLE CORP 11284V105 | $41208.1B | 6 |
| 2090 | ENCORE WIRE CORP 292562105 | $41187.0B | 4 |
| 2091 | ALPS OSHARES US SMALL-CAP QU 00162Q395 | $41148.8B | 9 |
| 2092 | ISHARES FALLEN ANGELS 46435G474 | $41128.1B | 20 |
| 2093 | LULULEMON ATHLETICA INC 550021959 | $41117.0B | 3 |
| 2094 | KOSMOS ENERGY LTD 500688106 | $41112.3B | 18 |
| 2095 | COSTCO WHSL CORP NEW 22160K905 | $41027.7B | 3 |
| 2096 | EVOLENT HEALTH INC 30050B101 | $41003.7B | 13 |
| 2097 | INTAPP INC 45827U109 | $40961.8B | 15 |
| 2098 | IRHYTHM TECHNOLOGIES INC 450056106 | $40957.0B | 16 |
| 2099 | BOYD GAMING CORP 103304101 | $40956.6B | 21 |
| 2100 | KRANESHARES CSI CHINA 500767306 | $40883.3B | 17 |
| 2101 | NIKE INC 654106953 | $40834.6B | 3 |
| 2102 | JANUX THERAPEUTICS INC 47103J105 | $40834.2B | 10 |
| 2103 | STARWOOD PPTY TR INC 85571BBA2 | $40798.2B | 4 |
| 2104 | COREWEAVE INC 21873S108 | $40791.0B | 18 |
| 2105 | SHOALS TECHNOLOGIES GROUP IN 82489W107 | $40761.4B | 14 |
| 2106 | CAPRI HOLDINGS LIMITED G1890L107 | $40709.5B | 23 |
| 2107 | T ROWE PRICE ETF INC 87283Q867 | $40700.3B | 14 |
| 2108 | WYNDHAM HOTELS & RESORTS 98311A105 | $40668.6B | 22 |
| 2109 | TEREX CORP NEW 880779103 | $40666.4B | 21 |
| 2110 | ISHARES TR 46436E403 | $40632.2B | 8 |
| 2111 | BREAD FINANCIAL HOLDINGS INC 018581108 | $40585.0B | 18 |
| 2112 | COPT DEFENSE PROPERTIES 22002T108 | $40584.3B | 19 |
| 2113 | PHOTRONICS INC 719405102 | $40561.6B | 16 |
| 2114 | INTERCORP FINL SVCS INC P5626F128 | $40554.5B | 4 |
| 2115 | CROWDSTRIKE HLDGS INC 22788C955 | $40553.3B | 2 |
| 2116 | MCDONALDS CORP 580135951 | $40485.8B | 2 |
| 2117 | SPIRIT AEROSYSTEMS HLDGS INC 848574109 | $40447.3B | 9 |
| 2118 | FIRST AMERN FINL CORP 31847R102 | $40425.4B | 21 |
| 2119 | SILGAN HLDGS INC 827048109 | $40347.0B | 26 |
| 2120 | SCHWAB STRATEGIC TR 808524854 | $40345.7B | 24 |
| 2121 | DONALDSON INC 257651109 | $40335.0B | 23 |
| 2122 | GULFPORT ENERGY CORP 402635502 | $40326.1B | 16 |
| 2123 | PIMCO 25 YR ZERO CPN US TIF 72201R882 | $40260.1B | 12 |
| 2124 | AGNC INVT CORP 00123Q104 | $40245.4B | 36 |
| 2125 | SITIME CORP 82982T106 | $40197.8B | 16 |
| 2126 | GLOBAL X URANIUM ETF 37954Y871 | $40178.9B | 24 |
| 2127 | INTERPARFUMS INC 458334109 | $40137.3B | 14 |
| 2128 | ELDORADO GOLD CORP NEW 284902509 | $40059.7B | 11 |
| 2129 | VANGUARD SCOTTSDALE FDS 92206C623 | $39989.9B | 8 |
| 2130 | ISHARES INTERNATIONAL DIVIDEND GROWTH ETF 46435G524 | $39828.1B | 13 |
| 2131 | PTC Therapeutics Inc 69366J200 | $39806.9B | 10 |
| 2132 | FIRST TR EXCHANGE-TRADED FD 33738D879 | $39805.9B | 14 |
| 2133 | INVESCO EXCHANGE TRADED FD T 46137V449 | $39790.7B | 7 |
| 2134 | RTX CORPORATION 75513E951 | $39787.4B | 2 |
| 2135 | STATE STREET SPDR S&P KENSHO NEW ECONOMIES COMPOSITE ETF 78468R648 | $39738.2B | 8 |
| 2136 | ALLIANCEBERNSTEIN HLDG L P 01881G106 | $39729.5B | 19 |
| 2137 | INTERNATIONAL MNY EXPRESS IN 46005L101 | $39670.4B | 10 |
| 2138 | MADRIGAL PHARMACEUTICALS INC 558868105 | $39584.6B | 25 |
| 2139 | IMMUNOME INC 45257U108 | $39553.9B | 7 |
| 2140 | HUNTSMAN CORP COM 447011107 | $39544.3B | 18 |
| 2141 | SCHLUMBERGER LTD 806857908 | $39530.6B | 3 |
| 2142 | IREN LTD F Q4982L109 | $39526.0B | 13 |
| 2143 | BITMINE IMMERSION TECNOL 09175A206 | $39372.8B | 9 |
| 2144 | LEMONADE INC COM 52567D107 | $39328.4B | 13 |
| 2145 | B2GOLD CORP 11777Q209 | $39327.9B | 18 |
| 2146 | ISHARES TR 464288570 | $39265.7B | 24 |
| 2147 | ROBLOX CORP 771049953 | $39260.7B | 2 |
| 2148 | VANECK MORNINGSTAR INTERNATIONAL MOAT ETF 92189F593 | $39248.4B | 7 |
| 2149 | KEMPER CORP 488401100 | $39222.1B | 21 |
| 2150 | CORE SCIENTIFIC INC NEW 21874A106 | $39198.9B | 12 |
| 2151 | INVESCO S&P 500 PURE VALUE ETF 46137V258 | $39158.5B | 9 |
| 2152 | BROOKFIELD RENEWABLE CORP 11285B108 | $39077.8B | 11 |
| 2153 | SWEETGREEN INC 87043Q108 | $39074.9B | 20 |
| 2154 | NEW YORK LIFE INVESTMENTS ET 45409B560 | $39068.5B | 6 |
| 2155 | MERCADOLIBRE INC 58733R902 | $38996.3B | 2 |
| 2156 | SYNOPSYS INC 871607907 | $38958.1B | 2 |
| 2157 | UFP INDUSTRIES INC 90278Q108 | $38929.4B | 22 |
| 2158 | BHP GROUP LTD 088606108 | $38834.7B | 30 |
| 2159 | KEROS THERAPEUTICS INC 492327101 | $38829.6B | 6 |
| 2160 | TRANSOCEAN LTD F H8817H100 | $38815.3B | 26 |
| 2161 | VANECK ETF TRUST 92189H748 | $38791.3B | 9 |
| 2162 | EXTREME NETWORKS 30226D106 | $38691.8B | 20 |
| 2163 | AMERIS BANCORP 03076K108 | $38647.0B | 17 |
| 2164 | ICF INTL INC 44925C103 | $38583.8B | 16 |
| 2165 | WARRIOR MET COAL INC 93627C101 | $38537.6B | 18 |
| 2166 | FIDELITY COVINGTON TRUST 31609A404 | $38520.2B | 8 |
| 2167 | PROCTER AND GAMBLE CO 742718959 | $38472.9B | 2 |
| 2168 | ZILLOW GROUP INC 98954M200 | $38464.1B | 28 |
| 2169 | PIMCO ETF TR 72201R783 | $38358.0B | 16 |
| 2170 | NATURAL RESOURCE PARTNERS L 63900P608 | $38285.2B | 5 |
| 2171 | ULTRAPAR PARTICIPACOES SA 90400P101 | $38247.2B | 5 |
| 2172 | GLOBAL X FDS 37954Y951 | $38183.7B | 2 |
| 2173 | WISDOMTREE EMRG MRKT HG 97717W315 | $38092.0B | 34 |
| 2174 | THE BALDWIN INSURANCE GRP IN 05589G102 | $38042.3B | 10 |
| 2175 | ROCKET LAB CORP 773121108 | $38041.1B | 17 |
| 2176 | INVESCO LTD F G491BT108 | $38035.6B | 30 |
| 2177 | ALEXANDER & BALDWIN INC NEW 014491104 | $37943.0B | 12 |
| 2178 | EXPRO GROUP HOLDINGS NV N3144W105 | $37891.8B | 10 |
| 2179 | FLUENCE ENERGY INC 34379V103 | $37884.4B | 14 |
| 2180 | VERACYTE INC 92337F107 | $37817.8B | 18 |
| 2181 | LIGAND PHARMACEUTICALS INC 53220K504 | $37785.9B | 18 |
| 2182 | OLLIES BARGAIN OUTLET HLDGS 681116109 | $37778.6B | 23 |
| 2183 | CNO FINL GROUP INC 12621E103 | $37774.9B | 17 |
| 2184 | INNOVATOR U S 45782C813 | $37683.7B | 19 |
| 2185 | CORNERSTONE TOTAL RETURN FD 21924U300 | $37634.1B | 5 |
| 2186 | SCHWAB CHARLES CORP 808513905 | $37615.2B | 2 |
| 2187 | JANUS HENDERSON MORTGAGE-BACKED SECURITIES ETF 47103U852 | $37585.6B | 12 |
| 2188 | SPDR SERIES TRUST 78468R956 | $37541.9B | 2 |
| 2189 | VICTORYSHARES CORE INTERMEDI 92647N527 | $37531.1B | 6 |
| 2190 | INVESCO S&P SMALLCAP 600 REVENUE ETF 46138G664 | $37521.5B | 14 |
| 2191 | TRUPANION INC 898202106 | $37518.9B | 13 |
| 2192 | VANGUARD S&P 500 VALUE ETF 921932703 | $37498.3B | 28 |
| 2193 | AZENTA INC 114340102 | $37493.3B | 14 |
| 2194 | AMPLIFY ETF TR 032108664 | $37399.6B | 23 |
| 2195 | INVESCO BULLETSHARES 2025 HY 46138J817 | $37382.6B | 9 |
| 2196 | STERLING INFRASTRUCTURE 859241101 | $37361.0B | 29 |
| 2197 | POLARIS INC 731068102 | $37342.7B | 19 |
| 2198 | INVESCO SHORT TERM 46138G888 | $37201.6B | 11 |
| 2199 | BARRICK GOLD 067901108 | $37199.7B | 26 |
| 2200 | U HAUL HOLDING COMPANY 023586506 | $37188.0B | 16 |
| 2201 | SEAGATE HDD CAYMAN 81180WBL4 | $37075.2B | 4 |
| 2202 | EQV VENTURES ACQUISITION COR G3106N109 | $37035.0B | 3 |
| 2203 | ENANTA PHARMACEUTICALS INC 29251M106 | $37013.0B | 7 |
| 2204 | WALKER & DUNLOP INC 93148P102 | $36999.2B | 17 |
| 2205 | PAYPAL HLDGS INC 70450Y953 | $36913.2B | 2 |
| 2206 | HALLIBURTON CO 406216901 | $36828.8B | 2 |
| 2207 | FEDEX CORP 31428X956 | $36810.5B | 2 |
| 2208 | PALOMAR HLDGS INC 69753M105 | $36794.6B | 15 |
| 2209 | VARONIS SYS INC 922280AB8 | $36789.9B | 2 |
| 2210 | TRAVEL plus LEISURE CO 894164102 | $36785.7B | 18 |
| 2211 | BUCKLE INC COM 118440106 | $36781.6B | 12 |
| 2212 | EVERI HLDGS INC 30034T103 | $36727.0B | 9 |
| 2213 | BLACKSTONE SECURED 09261X102 | $36725.1B | 20 |
| 2214 | TRANSOCEAN INC 893830BW8 | $36707.8B | 2 |
| 2215 | TRIPLE FLAG PRECIOUS METAL 89679M104 | $36694.8B | 5 |
| 2216 | ZILLOW GROUP INC 98954MAH4 | $36672.2B | 2 |
| 2217 | MOONLAKE IMMUNOTHERAPEUTICS 61559X104 | $36572.1B | 6 |
| 2218 | PAGAYA TECHNOLOGIES LT FCLASS A M7S64L123 | $36536.6B | 7 |
| 2219 | Pacer Swan SOS Conservative July ETF 69374H535 | $36528.9B | 2 |
| 2220 | PROG HOLDINGS INC COM NPV 74319R101 | $36524.6B | 13 |
| 2221 | SOUTHWEST AIRLS CO 844741BG2 | $36517.8B | 4 |
| 2222 | VISTEON CORP 92839U206 | $36513.1B | 17 |
| 2223 | FIDELITY COVINGTON TRUST 316092782 | $36504.9B | 8 |
| 2224 | ALPS CLEAN ENERGY ETF 00162Q460 | $36415.4B | 3 |
| 2225 | COMMERCE BANCSHARES INC 200525103 | $36366.7B | 23 |
| 2226 | BLACKROCK INC 09290D901 | $36142.0B | 2 |
| 2227 | WORLD KINECT CORPORATION 98149GAB6 | $36139.2B | 3 |
| 2228 | DBX ETF TRUST - XTRACKERS RUSS 233051242 | $36113.9B | 3 |
| 2229 | OLEMA PHARMACEUTICALS INC 68062P106 | $36109.9B | 9 |
| 2230 | XENCOR INC 98401F105 | $36075.2B | 12 |
| 2231 | CSX CORP 126408953 | $36025.0B | 2 |
| 2232 | FIRST TR EXCHNG TRADED FD VI 33740F680 | $36007.3B | 8 |
| 2233 | SOTERA HEALTH CO 83601L102 | $36005.0B | 11 |
| 2234 | WORLD KINECT CORPORATION 981475106 | $35986.7B | 17 |
| 2235 | J P MORGAN EXCHANGE TRADED F 46654Q773 | $35976.5B | 8 |
| 2236 | WISDOMTREE JAPAN HEDGED EQ 97717W851 | $35965.4B | 17 |
| 2237 | ISHARES US HEALTHCARE 464287762 | $35937.3B | 26 |
| 2238 | DIMENSIONAL NATIONL 25434V849 | $35931.9B | 10 |
| 2239 | SCHWAB STRATEGIC TR 808524748 | $35924.3B | 14 |
| 2240 | SYLVAMO CORP 871332102 | $35917.9B | 30 |
| 2241 | EA SERIES TRUST 02072Q663 | $35906.0B | 3 |
| 2242 | PRUDENTIAL FINL INC 744320902 | $35899.7B | 2 |
| 2243 | FRANKLIN TEMPLETON ETF TR 35473P868 | $35811.1B | 8 |
| 2244 | FIRST TR EXCHANGE TRADED FD 33738R704 | $35757.4B | 24 |
| 2245 | PEBBLEBROOK HOTEL TR 70509VAA8 | $35744.8B | 3 |
| 2246 | ASML HOLDING N V N07059900 | $35744.4B | 2 |
| 2247 | WALGREENS BOOTS ALLIANCE INC 931427108 | $35692.8B | 41 |
| 2248 | TIMKEN CO 887389104 | $35674.4B | 28 |
| 2249 | TOYOTA MOTOR CORP 892331307 | $35605.4B | 35 |
| 2250 | QFIN HOLDINGS INC 88557W101 | $35521.6B | 14 |
| 2251 | LEGACY HOUSING CORP 52472M101 | $35504.6B | 7 |
| 2252 | CIVITAS RESOURCES INC 17888H103 | $35493.9B | 19 |
| 2253 | URBAN OUTFITTERS INC 917047102 | $35479.6B | 17 |
| 2254 | UNITED STS STL CORP NEW COM 912909108 | $35475.8B | 18 |
| 2255 | ANHEUSER BUSCH INBEV SA/NV 03524A108 | $35467.7B | 35 |
| 2256 | VOYA FINANCIAL INC 929089100 | $35460.9B | 25 |
| 2257 | BROADSTONE NET LEASE INC 11135E203 | $35458.0B | 11 |
| 2258 | RTX CORPORATION 75513E901 | $35443.2B | 2 |
| 2259 | CAE INC 124765108 | $35436.4B | 12 |
| 2260 | COMPANHIA DE SANEAMENTO BASI 20441A102 | $35420.8B | 10 |
| 2261 | FIRST TR EXCH TRADED FD III 33739P103 | $35353.7B | 15 |
| 2262 | ISHARES INC 464286525 | $35349.6B | 20 |
| 2263 | ZIONS BANCORPORATION N A 989701107 | $35309.9B | 22 |
| 2264 | BJS RESTAURANTS INC 09180C106 | $35278.4B | 7 |
| 2265 | ULTRA CLEAN HLDGS INC 90385V107 | $35238.6B | 11 |
| 2266 | PATTERSON-UTI ENERGY INC 703481101 | $35175.1B | 27 |
| 2267 | IAMGOLD CORP 450913108 | $35167.9B | 15 |
| 2268 | SELECT SECTOR SPDR TR 81369Y904 | $35066.4B | 2 |
| 2269 | AVIS BUDGET GROUP 053774955 | $35040.7B | 2 |
| 2270 | T ROWE PRICE DIVIDEND 87283Q404 | $34992.7B | 9 |
| 2271 | YELP INC 985817105 | $34948.5B | 19 |
| 2272 | FIRST TR EXCHANGE TRADED FD 33737A108 | $34914.5B | 23 |
| 2273 | SERVICENOW INC 81762P952 | $34801.3B | 2 |
| 2274 | FT VEST U.S. EQUITY DEEP BUFFER ETF - AUGUST 33740F854 | $34715.5B | 8 |
| 2275 | GOLDMAN SACHS ETF TR 381430602 | $34708.0B | 6 |
| 2276 | DIMENSIONAL ETF TRUST 25434V658 | $34707.7B | 13 |
| 2277 | APPLE HOSPITALITY REIT INC 03784Y200 | $34699.2B | 23 |
| 2278 | SPDR NUVEEN ICE SHORT TERM MUN 78468R739 | $34675.7B | 13 |
| 2279 | WAFD INC 938824109 | $34639.0B | 14 |
| 2280 | VANECK ETF TRUST 92189H201 | $34625.7B | 10 |
| 2281 | TRIP COM GROUP LTD 89677Q107 | $34602.0B | 20 |
| 2282 | ACV AUCTIONS INC 00091G104 | $34599.6B | 14 |
| 2283 | RITHM CAPITAL CORP 64828T201 | $34559.5B | 28 |
| 2284 | NEWMARK GROUP INC 65158N102 | $34552.0B | 16 |
| 2285 | VALARIS LTD G9460G101 | $34525.1B | 16 |
| 2286 | ELASTIC N V N14506104 | $34520.1B | 27 |
| 2287 | VIZSLA SILVER CORP 92859G608 | $34504.1B | 5 |
| 2288 | ISHARES INC 46434G863 | $34474.8B | 25 |
| 2289 | SANMINA CORPORATION 801056102 | $34462.8B | 20 |
| 2290 | CRINETICS PHARMACEUTICALS IN 22663K107 | $34405.2B | 14 |
| 2291 | ORGANON & CO 68622V106 | $34400.5B | 49 |
| 2292 | BRUKER CORP 116794108 | $34336.5B | 23 |
| 2293 | TETRA TECHNOLOGIES INC DEL 88162F105 | $34312.6B | 10 |
| 2294 | AMGEN INC 031162900 | $34293.7B | 2 |
| 2295 | HARTFORD DISCIP EQTY ETF 518416870 | $34223.3B | 5 |
| 2296 | ISHARES INC 464286392 | $34219.9B | 13 |
| 2297 | BOISE CASCADE CO DEL 09739D100 | $34204.1B | 17 |
| 2298 | UNDER ARMOUR INC 904311107 | $34166.2B | 18 |
| 2299 | LATHAM GROUP INC 51819L107 | $34085.0B | 8 |
| 2300 | LIBERTY BROADBAND CORP 530307107 | $34078.5B | 10 |
| 2301 | SUPER MICRO COMPUTER INC 86800U104 | $34077.3B | 11 |
| 2302 | OMNICELL COM 68213N109 | $34069.6B | 14 |
| 2303 | INDEPENDENCE RLTY TR INC 45378A106 | $34002.3B | 28 |
| 2304 | ISHARES TR 464287119 | $33997.9B | 14 |
| 2305 | ISHARES TR 46434V696 | $33940.8B | 8 |
| 2306 | FIRST TRUST 33739E108 | $33915.7B | 22 |
| 2307 | POWERFLEET INC 73931J109 | $33855.3B | 7 |
| 2308 | KONTOOR BRANDS INC 50050N103 | $33844.3B | 24 |
| 2309 | HELMERICH & PAYNE INC 423452101 | $33766.9B | 23 |
| 2310 | HARMONY BIOSCIENCES HLDG 413197104 | $33758.5B | 17 |
| 2311 | VAIL RESORTS INC 91879Q109 | $33721.5B | 22 |
| 2312 | ISHARES TR 46434V290 | $33700.6B | 10 |
| 2313 | CENTRUS ENERGY CORP 15643U104 | $33693.4B | 16 |
| 2314 | POST HLDGS INC 737446104 | $33690.6B | 23 |
| 2315 | VANECK LONG MUNI ETF 92189F536 | $33644.6B | 8 |
| 2316 | LUMEN TECHNOLOGIES INC 550241103 | $33567.0B | 33 |
| 2317 | CAVCO INDS INC DEL 149568107 | $33511.4B | 17 |
| 2318 | FIRST TR EXCHANGE TRAD FD VI 33739H101 | $33477.9B | 14 |
| 2319 | FRANKLIN ETF TR 353506108 | $33454.2B | 6 |
| 2320 | ISHARES RUSSELL TOP 200 VALUE ETF 464289420 | $33442.4B | 17 |
| 2321 | INVESCO EXCH TRADED FD TR II 46138E198 | $33440.0B | 18 |
| 2322 | PFIZER INC 717081953 | $33426.7B | 2 |
| 2323 | INDEPENDENT BK CORP MASS 453836108 | $33400.2B | 16 |
| 2324 | BANK NEW YORK MELLON CORP 064058900 | $33363.8B | 2 |
| 2325 | RADWARE LTD M81873107 | $33324.4B | 8 |
| 2326 | CVS HEALTH CORP 126650900 | $33312.3B | 2 |
| 2327 | STANTEC INC 85472N109 | $33307.6B | 10 |
| 2328 | ISHARES GLOBAL EQUITY FACTOR ETF 46434V316 | $33286.9B | 5 |
| 2329 | SHOPIFY INC 82509L957 | $33280.0B | 2 |
| 2330 | ISHARES TR 46436E866 | $33275.8B | 15 |
| 2331 | INVESCO EXCHANGE TRADED FD T 46137V498 | $33159.7B | 18 |
| 2332 | SOUNDHOUND AI INC 836100107 | $33154.2B | 29 |
| 2333 | QORVO INC 74736K101 | $33108.1B | 25 |
| 2334 | J P MORGAN EXCHANGE TRADED F 46641Q753 | $33053.7B | 8 |
| 2335 | GREENBRIER COS INC 393657101 | $33038.8B | 15 |
| 2336 | SPDR SERIES TRUST 78464A383 | $33033.5B | 10 |
| 2337 | AVIDITY BIOSCIENCES INC 05370A108 | $33026.5B | 16 |
| 2338 | ALPHATEC HLDGS INC 02081G201 | $33023.8B | 13 |
| 2339 | SPDR SERIES TRUST 78464A631 | $33016.7B | 27 |
| 2340 | PEABODY ENGR CORP 704551AD2 | $33014.4B | 3 |
| 2341 | RIVIAN AUTOMOTIVE INC 76954AAB9 | $32990.2B | 4 |
| 2342 | TIDAL TRUST II 88636J444 | $32922.1B | 4 |
| 2343 | VANECK ETF TRUST 92189H409 | $32850.9B | 18 |
| 2344 | DNOW Inc 67011P100 | $32792.5B | 12 |
| 2345 | I-80 GOLD CORP 44955L106 | $32770.2B | 9 |
| 2346 | FIRST TRUST 33740U703 | $32700.5B | 14 |
| 2347 | Nano Dimension Ltd 63008G203 | $32697.2B | 9 |
| 2348 | LIONS GATE ENTERTAINMENT CORP-A 535919401 | $32669.4B | 3 |
| 2349 | ISHARES TR 46436E130 | $32658.6B | 6 |
| 2350 | DEXCOM INC 252131AK3 | $32594.8B | 3 |
| 2351 | KKR & CO INC 48251W500 | $32594.2B | 3 |
| 2352 | FIREFLY AEROSPACE INC 31816X106 | $32579.1B | 4 |
| 2353 | IMAX CORP 45245E109 | $32561.3B | 11 |
| 2354 | FIRST TR EXCHANGE-TRADED ALP 33735J101 | $32557.0B | 17 |
| 2355 | INNOVATOR U S 45782C540 | $32530.9B | 13 |
| 2356 | FIRST TR EXCHANGE-TRADED FD 337345102 | $32513.3B | 25 |
| 2357 | HAEMONETICS CORP MASS 405024AB6 | $32505.5B | 2 |
| 2358 | FB FINL CORP 30257X104 | $32456.8B | 12 |
| 2359 | AAR CORP 000361105 | $32456.3B | 14 |
| 2360 | YIELDMAX NVDA OPTN INC 88634T774 | $32455.5B | 5 |
| 2361 | GRAHAM HLDGS CO 384637104 | $32413.4B | 13 |
| 2362 | SPDR SERIES TRUST 78468R906 | $32406.8B | 3 |
| 2363 | EOG RES INC 26875P901 | $32392.5B | 3 |
| 2364 | OFG BANCORP 67103X102 | $32374.8B | 12 |
| 2365 | COLUMBIA BKG SYS INC 197236102 | $32350.4B | 23 |
| 2366 | CRANE NXT CO 224441105 | $32347.6B | 23 |
| 2367 | DROPBOX INC 26210CAC8 | $32339.8B | 3 |
| 2368 | WOLFSPEED INC 977852AD4 | $32327.5B | 3 |
| 2369 | INVESTMENT MANAGERS SER TR I 46141T117 | $32319.7B | 6 |
| 2370 | HANOVER INS GROUP INC 410867105 | $32191.5B | 22 |
| 2371 | WISDOMTREE TR 97717Y857 | $32190.0B | 7 |
| 2372 | NCL CORP LTD 62886HBD2 | $32080.9B | 3 |
| 2373 | GILEAD SCIENCES INC 375558903 | $32032.4B | 2 |
| 2374 | OLD NATL BANCORP IND 680033107 | $32022.6B | 20 |
| 2375 | JBT MAREL CORPORATION 477839104 | $31970.8B | 19 |
| 2376 | HEALTHCARE RLTY TR CL A COM 42226K105 | $31947.9B | 25 |
| 2377 | INVESCO BULLETSHARES 2026 HIGH YIELD CORP BOND ETF 46138J635 | $31895.3B | 10 |
| 2378 | REDWOOD TRUST INC 758075402 | $31874.6B | 17 |
| 2379 | ROBINHOOD MKTS INC 770700902 | $31858.5B | 2 |
| 2380 | ENOVIS CORPORATION 194014502 | $31847.0B | 11 |
| 2381 | SPDR SERIES TRUST 78464A888 | $31827.3B | 22 |
| 2382 | FIDELITY COVINGTON TRUST 316092113 | $31807.4B | 13 |
| 2383 | VALLEY NATL BANCORP 919794107 | $31766.6B | 25 |
| 2384 | CEMEX SAB DE CV 151290889 | $31759.0B | 17 |
| 2385 | ALGOMA STL GROUP INC 015658107 | $31757.0B | 7 |
| 2386 | TARGET CORP 87612E906 | $31751.0B | 3 |
| 2387 | FIRST TRUST MID CAP CORE ALPHADEX FUND 33735B108 | $31743.6B | 18 |
| 2388 | CORNING INC 219350905 | $31683.7B | 2 |
| 2389 | ONESPAN INC 68287N100 | $31678.6B | 9 |
| 2390 | iShares iBonds Dec 2025 Term Corporate ETF 46434VBD1 | $31638.3B | 17 |
| 2391 | DIEBOLD NIXDORF INC 253651202 | $31634.6B | 8 |
| 2392 | HARBOR ETF TRUST 41151J505 | $31617.0B | 6 |
| 2393 | PETROLEO BRASILEIRO SA PETROBR SPONSORED ADR 71654V408 | $31606.8B | 27 |
| 2394 | ISHARES ESG ADV TOT USD BOND 46436E619 | $31604.4B | 11 |
| 2395 | American Public Education Inc 02913V103 | $31587.8B | 7 |
| 2396 | HARMONIC INC 413160102 | $31586.9B | 17 |
| 2397 | RIVIAN AUTOMOTIVE INC 76954AAD5 | $31567.5B | 6 |
| 2398 | GILDAN ACTIVEWEAR INC F 375916103 | $31566.5B | 21 |
| 2399 | TARSUS PHARMACEUTICALS INC 87650L103 | $31549.4B | 10 |
| 2400 | JPMORGAN SMALL MID CP 46641Q118 | $31546.8B | 10 |
| 2401 | INVESCO LTD. 46137V282 | $31541.1B | 19 |
| 2402 | Dayforce Inc 15677J108 | $31503.7B | 20 |
| 2403 | CADENCE BANK 12740C103 | $31465.0B | 19 |
| 2404 | DELEK LOGISTICS PARTNERS LP 24664T103 | $31449.5B | 7 |
| 2405 | SPDR SERIES TRUST 78464A821 | $31448.3B | 25 |
| 2406 | VERIZON COMMUNICATIONS INC 92343V954 | $31404.3B | 2 |
| 2407 | SPDR SERIES TRUST 78464A284 | $31384.5B | 23 |
| 2408 | BLACKROCK, INC. 464287390 | $31375.8B | 11 |
| 2409 | MEDICAL PPTYS TRUST INC 58463J304 | $31297.9B | 26 |
| 2410 | PELOTON INTERACTIVE INC 70614W100 | $31277.1B | 28 |
| 2411 | Hilton Grand Vacations Inc 43283X105 | $31271.8B | 12 |
| 2412 | CHARLES SCHWAB US REIT 808524847 | $31266.1B | 36 |
| 2413 | PUTNAM ETF TRUST 746729409 | $31240.3B | 2 |
| 2414 | INVENTRUST PPTYS CORP 46124J201 | $31207.7B | 20 |
| 2415 | CONSTELLIUM SE F21107101 | $31175.1B | 14 |
| 2416 | AIRBNB INC 009066AB7 | $31168.9B | 6 |
| 2417 | GUESS INC 401617105 | $31148.8B | 12 |
| 2418 | KLA CORP 482480950 | $31128.4B | 2 |
| 2419 | RIVERFRONT DYNAMIC US DV ETF 00162Q528 | $31084.2B | 5 |
| 2420 | JOHNSON & JOHNSON 478160954 | $31042.8B | 2 |
| 2421 | HALOZYME THERAPEUTICS INC 40637HAF6 | $31021.6B | 4 |
| 2422 | LIFE TIME GROUP HOLDINGS INC 53190C102 | $30984.5B | 10 |
| 2423 | RXO INC 74982T103 | $30976.9B | 19 |
| 2424 | CRACKER BARREL OLD CTRY STOR 22410J106 | $30929.2B | 20 |
| 2425 | XOMETRY INC 98423F109 | $30922.8B | 12 |
| 2426 | NETEASE INC 64110W102 | $30892.8B | 23 |
| 2427 | PIMCO RAFI DYNAMIC MULTI-FAC 72202L363 | $30865.2B | 3 |
| 2428 | ARIS WATER SOLUTIONS INC 04041L106 | $30823.2B | 14 |
| 2429 | WAYFAIR INC 94419LAR2 | $30818.5B | 2 |
| 2430 | SELECT SECTOR SPDR TR 81369Y952 | $30780.6B | 2 |
| 2431 | INTUITIVE SURGICAL INC 46120E902 | $30774.0B | 2 |
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| 2433 | TEXAS INSTRS INC 882508904 | $30761.9B | 2 |
| 2434 | LOUISIANA PAC CORP 546347105 | $30715.4B | 23 |
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| 2436 | AFFILIATED MANAGERS GROUP IN 008252108 | $30629.4B | 23 |
| 2437 | SENSIENT TECHNOLOGIES CORP 81725T100 | $30594.4B | 19 |
| 2438 | VALE S A 91912E905 | $30573.2B | 2 |
| 2439 | ISHARES TR 46434V266 | $30553.4B | 10 |
| 2440 | NCR VOYIX CORPORATION 62886E108 | $30527.3B | 19 |
| 2441 | PENGUIN SOLUTIONS INC G8232Y101 | $30431.6B | 10 |
| 2442 | LA Z BOY INC 505336107 | $30425.5B | 17 |
| 2443 | HEXCEL CORP NEW 428291108 | $30417.8B | 21 |
| 2444 | PROSHARES S&P MIDCAP 400 DIVIDEND ARISTOCRATS ETF 74347B680 | $30409.7B | 21 |
| 2445 | NOVA LTD M7516K103 | $30409.3B | 15 |
| 2446 | STATE STREET SPDR PORTFOLIO LONG TERM CORPORATE BOND ETF 78464A367 | $30360.3B | 11 |
| 2447 | ELEVATION ONCOLOGY INC 28623U101 | $30354.0B | 3 |
| 2448 | FORTUNA MNG CORP 349942102 | $30344.7B | 10 |
| 2449 | BRINKS CO 109696104 | $30285.7B | 22 |
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| 2451 | RADIAN GROUP INC 750236101 | $30243.4B | 21 |
| 2452 | NUVEEN ESG LARGE-CAP VAL ETF 67092P300 | $30228.0B | 12 |
| 2453 | AZZ INC 002474104 | $30215.9B | 16 |
| 2454 | HUMANA INC 444859952 | $30205.4B | 2 |
| 2455 | VANGUARD MATERIALS ETF 92204A801 | $30151.7B | 16 |
| 2456 | ISHARES CORE 46435U861 | $30144.4B | 8 |
| 2457 | INVESCO LTD. 46138E537 | $30098.6B | 13 |
| 2458 | YETI HLDGS INC 98585X104 | $30096.7B | 19 |
| 2459 | ENCORE CAP GROUP INC 292554102 | $30060.8B | 7 |
| 2460 | GREENBRIER COS INC 393657AM3 | $30014.5B | 4 |
| 2461 | XENON PHARMACEUTICALS INC 98420N105 | $30002.6B | 9 |
| 2462 | DIME CMNTY BANCSHARES INC 25432X102 | $29992.3B | 10 |
| 2463 | INVESCO EXCHANGE TRADED FD T 46137V142 | $29982.5B | 16 |
| 2464 | ISHARES HIGH YIELD SYSTEMATI 46435G250 | $29942.9B | 10 |
| 2465 | ISHARES GOVERNMENT/CREDIT BO 464288596 | $29935.1B | 6 |
| 2466 | WISDOMTREE TR 97717W109 | $29917.1B | 13 |
| 2467 | PILGRIMS PRIDE CORP 72147K108 | $29903.8B | 20 |
| 2468 | MIAMI INTL HLDGS INC 59356Q108 | $29903.4B | 2 |
| 2469 | ISHARES TR 46429B291 | $29852.8B | 10 |
| 2470 | INTEGRAL AD SCIENCE HLDNG CO 45828L108 | $29787.6B | 6 |
| 2471 | SPORTRADAR GROUP AG H8088L103 | $29754.6B | 7 |
| 2472 | ISHARES GNMA BOND ETF 46429B333 | $29740.3B | 7 |
| 2473 | NCR ATLEOS CORPORATION 63001N106 | $29680.1B | 20 |
| 2474 | JPMORGAN BETABUILDERS US AGG 46641Q241 | $29664.2B | 3 |
| 2475 | INNOVATOR ETFS TRUST 45782C680 | $29642.9B | 13 |
| 2476 | OPORTUN FINL CORP 68376D104 | $29642.3B | 4 |
| 2477 | UNITED BANKSHARES INC WEST V 909907107 | $29638.0B | 22 |
| 2478 | PROCTER AND GAMBLE CO 742718909 | $29606.4B | 2 |
| 2479 | FRANKLIN SENIOR LOAN ETF 35473P595 | $29600.2B | 12 |
| 2480 | TRI POINTE HOMES INC 87265H109 | $29585.7B | 20 |
| 2481 | HYATT HOTELS CORP 448579102 | $29555.4B | 22 |
| 2482 | ERIE INDTY CO 29530P102 | $29532.2B | 19 |
| 2483 | SONOCO PRODS CO 835495102 | $29532.1B | 28 |
| 2484 | UNDER ARMOUR INC 904311206 | $29519.2B | 17 |
| 2485 | EPR PPTYS 26884U109 | $29489.4B | 29 |
| 2486 | TRINET GROUP INC 896288107 | $29386.4B | 13 |
| 2487 | Innoviva Inc 45781M101 | $29358.6B | 13 |
| 2488 | SERVISFIRST BANCSHARES INC 81768T108 | $29356.1B | 16 |
| 2489 | VANGUARD SCOTTSDALE FDS 92206C649 | $29277.6B | 12 |
| 2490 | PERDOCEO ED CORP 71363P106 | $29216.2B | 18 |
| 2491 | PARK HOTELS & RESORTS INC 700517105 | $29215.1B | 16 |
| 2492 | VONTIER CORPORATION 928881101 | $29214.7B | 26 |
| 2493 | VANGUARD FTSE PACIFIC ETF 922042866 | $29185.8B | 18 |
| 2494 | XPERI INC 98423J101 | $29184.3B | 8 |
| 2495 | INARI MED INC 45332Y109 | $29175.5B | 8 |
| 2496 | AMERICOLD REALTY TRUST INC 03064D108 | $29171.2B | 22 |
| 2497 | INNOVATOR U S 45782C870 | $29136.1B | 16 |
| 2498 | LAZARD INC 52110M109 | $29112.2B | 16 |
| 2499 | XTRACKERS MSCI EAFE HIGH DIV 233051630 | $29071.6B | 7 |
| 2500 | SM ENERGY CO 78454L100 | $29065.9B | 25 |
| 2501 | FIRST TR EXCHNG TRADED FD VI 33740F649 | $29055.6B | 4 |
| 2502 | SILENCE THERAPEUTICS PLC 82686Q101 | $29051.5B | 6 |
| 2503 | PROCEPT BIOROBOTICS CORP 74276L105 | $29039.5B | 12 |
| 2504 | HANCOCK WHITNEY CORPORATION 410120109 | $28978.6B | 21 |
| 2505 | GRAY MEDIA INC 389375106 | $28863.7B | 10 |
| 2506 | Pacer Trendpilot US Mid Cap ETF 69374H204 | $28862.9B | 6 |
| 2507 | INVESCO PREFERRED ETF 46138E511 | $28841.0B | 27 |
| 2508 | COCA COLA CO 191216950 | $28802.9B | 2 |
| 2509 | SYNAPTICS INC 87157D109 | $28786.7B | 17 |
| 2510 | ISHARES INC 464286902 | $28769.5B | 2 |
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| 2513 | GENERAL MTRS CO 37045V950 | $28635.6B | 3 |
| 2514 | LADDER CAP CORP 505743104 | $28632.3B | 11 |
| 2515 | Kodiak Gas Services Inc 50012A108 | $28590.1B | 18 |
| 2516 | ISHARES TR 464287564 | $28566.3B | 18 |
| 2517 | PAN AMERN SILVER CORP 697900108 | $28437.0B | 23 |
| 2518 | XPONENTIAL FITNESS INC 98422X101 | $28415.3B | 8 |
| 2519 | PATHWARD FINANCIAL INC 59100U108 | $28405.0B | 14 |
| 2520 | GUARDANT HEALTH INC 40131M109 | $28387.8B | 19 |
| 2521 | PETROLEO BRASILEIRO SA PETRO 71654V958 | $28386.8B | 2 |
| 2522 | FIRST TR EXCHANGE-TRADED FD 33738D606 | $28357.4B | 11 |
| 2523 | BOOKING HOLDINGS INC 09857L958 | $28328.6B | 2 |
| 2524 | CARNIVAL CORP 143658900 | $28307.7B | 3 |
| 2525 | ZOETIS INC 98978V903 | $28277.0B | 2 |
| 2526 | RBB FUND TRUST 75526L886 | $28263.4B | 4 |
| 2527 | FIRST TR EXCHNG TRADED FD VI 33740U208 | $28241.4B | 11 |
| 2528 | INMODE LTD M5425M103 | $28210.1B | 16 |
| 2529 | KOHLS CORP 500255104 | $28195.6B | 15 |
| 2530 | NATURES SUNSHINE PRODS INC 639027101 | $28187.1B | 8 |
| 2531 | INNOVATOR ETFS TRUST 45782C797 | $28149.7B | 14 |
| 2532 | PARAMOUNT GLOBAL 92556H206 | $28136.4B | 25 |
| 2533 | AMERICAS GOLD AND SILVER CORP 03062D100 | $28083.4B | 6 |
| 2534 | OPERA LTD 68373M107 | $28071.8B | 9 |
| 2535 | EBAY INC. 278642903 | $28033.8B | 3 |
| 2536 | ZOOM COMMUNICATIONS INC 98980L951 | $28026.3B | 2 |
| 2537 | ISHARES INC 464286608 | $27976.5B | 14 |
| 2538 | PATTERSON COS INC COM 703395103 | $27936.9B | 12 |
| 2539 | COLLEGIUM PHARMACEUTICAL INC 19459JAC8 | $27917.9B | 3 |
| 2540 | LOWES COS INC 548661907 | $27916.6B | 2 |
| 2541 | SCOTTS MIRACLE-GRO CO 810186106 | $27880.5B | 29 |
| 2542 | ARRAY TECHNOLOGIES INC 04271T100 | $27837.4B | 13 |
| 2543 | LAUREATE EDUCATION INC 518613203 | $27793.4B | 13 |
| 2544 | EQUITY BANCSHARES INC 29460X109 | $27765.4B | 7 |
| 2545 | Virtu Financial 928254101 | $27693.1B | 20 |
| 2546 | ISHARES MORNINGSTAR VALUE ETF 464288109 | $27668.9B | 9 |
| 2547 | Sonic Automotive Inc 83545G102 | $27647.2B | 8 |
| 2548 | VICTORYSHARES US 500 ENHANCE 92647N782 | $27613.7B | 4 |
| 2549 | MACERICH CO 554382101 | $27599.9B | 12 |
| 2550 | ISHARES TR 46435U515 | $27575.0B | 18 |
| 2551 | EASTMAN CHEM CO 277432900 | $27479.3B | 2 |
| 2552 | FLEXSHARES TR 33939L761 | $27435.6B | 5 |
| 2553 | MERIT MED SYS INC 589889104 | $27404.3B | 23 |
| 2554 | LIBERTY GLOBAL LTD COM CL A G61188101 | $27385.6B | 17 |
| 2555 | AST SPACEMOBILE INC 00217D100 | $27360.4B | 17 |
| 2556 | CLEANSPARK INC 18452B209 | $27358.0B | 29 |
| 2557 | FUBOTV INC 35953DAB0 | $27347.5B | 3 |
| 2558 | FIRST TR EXCHNG TRADED FD VI 33740F748 | $27274.8B | 9 |
| 2559 | J P MORGAN EXCHANGE TRADED F 46654Q559 | $27265.1B | 3 |
| 2560 | PIPER SANDLER COMPANIES 724078100 | $27258.5B | 21 |
| 2561 | ORUKA THERAPEUTICS INC 687604108 | $27228.9B | 6 |
| 2562 | MATSON INC 57686G105 | $27202.0B | 23 |
| 2563 | VENTYX BIOSCIENCES INC 92332V107 | $27180.7B | 7 |
| 2564 | FIRST TR EXCHNG TRADED FD VI 33740F698 | $27155.0B | 9 |
| 2565 | TXO PARTNERS LP LP 87313P103 | $27125.3B | 5 |
| 2566 | LIBERTY MEDIA CORP DEL 530715AG6 | $27124.2B | 4 |
| 2567 | NORTHERN OIL & GAS INC 665531AJ8 | $27087.7B | 4 |
| 2568 | AMERICAN EAGLE OUTFITTERS IN 02553E106 | $27052.3B | 20 |
| 2569 | GOLDMAN SACHS 38150K103 | $27029.6B | 11 |
| 2570 | J & J SNACK FOODS CORP 466032109 | $27003.5B | 12 |
| 2571 | WISDOMTREE EM SMALL CAP 97717W281 | $26984.1B | 16 |
| 2572 | STONEX GROUP INC 861896108 | $26977.0B | 19 |
| 2573 | NATIONAL GRID PLC 636274409 | $26943.1B | 28 |
| 2574 | Alarm.com Holdings Inc 011642105 | $26937.3B | 18 |
| 2575 | GOOSEHEAD INS INC 38267D109 | $26921.1B | 14 |
| 2576 | QXO INC 82846H405 | $26907.5B | 14 |
| 2577 | WISDOMTREE TR 97717W588 | $26836.7B | 11 |
| 2578 | ELEVANCE HEALTH INC FORMERLY 036752903 | $26832.8B | 2 |
| 2579 | SELECT MED HLDGS CORP 81619Q105 | $26810.8B | 16 |
| 2580 | CLEAR CHANNEL OUTDOOR HLDGS 18453H106 | $26804.8B | 10 |
| 2581 | ARCOS DORADOS HOLDINGS INC SHS CLASS -A - G0457F107 | $26802.7B | 11 |
| 2582 | STEPSTONE GROUP INC 85914M107 | $26787.0B | 12 |
| 2583 | FIRST BANCORP P R 318672706 | $26784.3B | 13 |
| 2584 | HERCULES CAPITAL INC 427096508 | $26765.6B | 17 |
| 2585 | FIRST TR EXCHANGE-TRADED ALP 33734K109 | $26763.0B | 17 |
| 2586 | INVESCO EXCHANGE TRADED FD T 46137V597 | $26746.9B | 11 |
| 2587 | SAPIENS INTL CORP N V G7T16G103 | $26741.8B | 9 |
| 2588 | ADDUS HOMECARE CORP 006739106 | $26709.5B | 18 |
| 2589 | Blue Bird Corp 095306106 | $26691.8B | 9 |
| 2590 | AKERO THERAPEUTICS INC 00973Y108 | $26679.1B | 11 |
| 2591 | XTRACKERS USD HIGH YIELD CORPORATE BOND ETF 233051432 | $26580.1B | 19 |
| 2592 | SEADRILL LTD G7997W102 | $26556.6B | 10 |
| 2593 | PBF ENERGY INC 69318G106 | $26548.3B | 21 |
| 2594 | MAIN STR CAP CORP 56035L104 | $26438.0B | 22 |
| 2595 | PRUDENTIAL FINL INC 744320952 | $26412.7B | 2 |
| 2596 | CBIZ INC 124805102 | $26390.7B | 12 |
| 2597 | BANCORP INC DEL 05969A105 | $26380.9B | 14 |
| 2598 | VANGUARD ADMIRAL FDS INC 921932794 | $26347.2B | 12 |
| 2599 | ISHS SHRT MATRY MUNI BNDACTV ETF 46431W838 | $26344.0B | 10 |
| 2600 | VERINT SYS INC 92343X100 | $26335.3B | 10 |
| 2601 | FS CREDIT OPPORTUNITIES CORP 30290Y101 | $26298.6B | 21 |
| 2602 | HONEYWELL INTL INC 438516906 | $26277.2B | 2 |
| 2603 | DEUTSCHE BANK A G D18190958 | $26276.2B | 2 |
| 2604 | HARBOR LONG-TERM GROWERS ETF 41151J406 | $26269.6B | 7 |
| 2605 | ASCENDIS PHARMA A/S 04351P101 | $26247.8B | 13 |
| 2606 | ING GROEP N.V. 456837103 | $26242.3B | 24 |
| 2607 | FT VEST US EQUITY DEEP BUFFER ETF - MAY 33740F730 | $26218.7B | 6 |
| 2608 | TTM TECHNOLOGIES INC 87305R109 | $26207.6B | 17 |
| 2609 | TRUMP MEDIA AND TECHNOLOGY GRO 25400Q105 | $26166.2B | 19 |
| 2610 | H2O AMERICA 784305104 | $26115.0B | 12 |
| 2611 | Pacer Swan SOS Conservative January ETF 69374H584 | $26111.8B | 2 |
| 2612 | DOLLAR TREE INC 256746958 | $26087.5B | 2 |
| 2613 | S&P GLOBAL INC 78409V954 | $26079.3B | 2 |
| 2614 | ISHARES TR 464287291 | $26071.3B | 20 |
| 2615 | ARCUTIS BIOTHERAPEUTICS INC 03969K108 | $26044.4B | 10 |
| 2616 | ASE TECHNOLOGY HLDG CO LTD 00215W100 | $26025.1B | 19 |
| 2617 | PIMCO DYNAMIC 72201Y101 | $25985.7B | 18 |
| 2618 | TANGER INC 875465106 | $25970.0B | 16 |
| 2619 | T-MOBILE US INC 872590904 | $25967.4B | 2 |
| 2620 | CHAMPION HOMES INC 830830105 | $25947.7B | 15 |
| 2621 | DIMENSIONL US LARGE CAP 25434V666 | $25898.6B | 9 |
| 2622 | GLOBAL X ROBOTICS ARTFCL 37954Y715 | $25898.0B | 23 |
| 2623 | FIRST TR EXCHANGE-TRADED ALP 33734Y109 | $25895.4B | 16 |
| 2624 | CRESCENT ENERGY COMPANY 44952J104 | $25849.5B | 15 |
| 2625 | SNAP INC 83304A106 | $25831.1B | 27 |
| 2626 | FORD MTR CO 345370950 | $25825.6B | 2 |
| 2627 | TITAN AMER SA B9151N105 | $25779.5B | 3 |
| 2628 | MOELIS & CO 60786M105 | $25759.4B | 20 |
| 2629 | LIBERTY MEDIA CORP DEL 530715AL5 | $25758.1B | 2 |
| 2630 | HUDSON PAC PPTYS INC 444097109 | $25745.0B | 13 |
| 2631 | BANK HAWAII CORP 062540109 | $25713.5B | 16 |
| 2632 | PVH CORPORATION 693656100 | $25700.4B | 17 |
| 2633 | PROGRESSIVE CORP 743315953 | $25682.5B | 2 |
| 2634 | G III APPAREL GROUP LTD COM 36237H101 | $25622.3B | 13 |
| 2635 | ISHARES TR 46434V449 | $25622.0B | 13 |
| 2636 | FOUR CORNERS PPTY TR INC 35086T109 | $25620.9B | 16 |
| 2637 | ABSOLUTE SHS TR 00400R858 | $25607.9B | 2 |
| 2638 | ABRDN PHYSICAL SILVER SHARES 003264108 | $25561.4B | 15 |
| 2639 | AMPLIFY ETF TR 032108607 | $25520.4B | 16 |
| 2640 | ARISTA NETWORKS INC 040413955 | $25499.0B | 2 |
| 2641 | PATRICK INDS INC 703343AG8 | $25454.7B | 5 |
| 2642 | CAMTEK LTD M20791105 | $25429.9B | 12 |
| 2643 | ISHARES TR 464288224 | $25396.6B | 23 |
| 2644 | ISHARES GOLD TRUST MICRO 46436F103 | $25385.3B | 9 |
| 2645 | CENTURY ALUM CO 156431108 | $25361.6B | 14 |
| 2646 | SCHLUMBERGER LTD 806857958 | $25314.4B | 4 |
| 2647 | PERELLA WEINBERG PARTNERS 71367G102 | $25314.2B | 9 |
| 2648 | SPDR INDEX SHS FDS 78463X848 | $25299.3B | 11 |
| 2649 | ISHARES TR 464287572 | $25297.7B | 16 |
| 2650 | GOODYEAR TIRE & RUBR CO 382550101 | $25229.1B | 26 |
| 2651 | GOLDMAN SACHS ETF TR 38149W101 | $25159.9B | 5 |
| 2652 | ISHARES INTERNATIONAL DIVIDEND 09290C848 | $25144.0B | 5 |
| 2653 | CATALENT INC 148806102 | $25141.2B | 9 |
| 2654 | DOUBLELINE ETF TRUST 25861R402 | $25135.5B | 5 |
| 2655 | US BANCORP DEL 902973904 | $25118.7B | 3 |
| 2656 | WORKDAY INC 98138H951 | $25101.3B | 2 |
| 2657 | FIRST TRUST MUNICIPAL HIGH I 33739P301 | $25084.2B | 11 |
| 2658 | HILLENBRAND INC 431571108 | $25057.7B | 13 |
| 2659 | METLIFE INC 59156R958 | $25038.7B | 2 |
| 2660 | WISDOMTREE US SMALLCAP FUND 97717W562 | $25037.3B | 12 |
| 2661 | HARTFORD FDS EXCHANGE TRADED 41653L503 | $25017.5B | 8 |
| 2662 | DOUBLEVERIFY HLDGS INC 25862V105 | $25016.5B | 12 |
| 2663 | UNISYS CORP 909214306 | $24967.0B | 6 |
| 2664 | ADMA BIOLOGICS INC 000899104 | $24953.5B | 16 |
| 2665 | ISHARES TR 464288307 | $24947.7B | 21 |
| 2666 | JOHN HANCOCK EXCHANGE TRADED 47804J842 | $24914.7B | 7 |
| 2667 | ScanSource Inc 806037107 | $24873.0B | 13 |
| 2668 | COCA COLA CO 191216900 | $24863.7B | 2 |
| 2669 | TECNOGLASS INC F G87264100 | $24837.3B | 11 |
| 2670 | DIMENSIONAL INTERN HIGH 25434V765 | $24833.7B | 10 |
| 2671 | AVANTIS US LG CAP EQ ETF 025072158 | $24830.5B | 3 |
| 2672 | FIRST TR EXCHANGE TRADED FD 33734X143 | $24781.2B | 23 |
| 2673 | NORTHROP GRUMMAN CORP 666807902 | $24773.6B | 2 |
| 2674 | PATRICK INDS INC 703343103 | $24758.6B | 21 |
| 2675 | H WORLD GROUP LTD 44332NAB2 | $24755.9B | 3 |
| 2676 | LIGHT & WONDER INC 80874P109 | $24748.5B | 13 |
| 2677 | DOW INC 260557903 | $24716.5B | 2 |
| 2678 | ALTA EQUIPMENT GROUP INC 02128L106 | $24700.3B | 5 |
| 2679 | FULLER H B CO 359694106 | $24652.3B | 18 |
| 2680 | AUTODESK INC 052769956 | $24640.2B | 2 |
| 2681 | INTERNATIONAL BUSINESS MACHS 459200951 | $24608.5B | 2 |
| 2682 | FT VEST US EQUITY ENHANCE & MODERATE BUFFER ETF - MARCH 33740F474 | $24589.7B | 6 |
| 2683 | PEPSICO INC 713448958 | $24582.9B | 2 |
| 2684 | UL Solutions Inc 903731107 | $24519.4B | 12 |
| 2685 | WISDOMTREE DYNAMIC INTERNATION 97717X263 | $24463.7B | 13 |
| 2686 | TCW FLEXIBLE INCOME ETF 29287L700 | $24456.0B | 6 |
| 2687 | BARNES GROUP INC 067806109 | $24408.9B | 4 |
| 2688 | PEDIATRIX MEDICAL GROUP INC 58502B106 | $24378.5B | 14 |
| 2689 | EXCELERATE ENERGY INC 30069T101 | $24361.1B | 9 |
| 2690 | CHEMOURS CO 163851108 | $24334.4B | 29 |
| 2691 | ENSTAR GROUP LIMITED G3075P101 | $24316.6B | 13 |
| 2692 | MOBILEYE GLOBAL INC 60741F104 | $24309.6B | 19 |
| 2693 | BRIDGEBIO PHARMA INC 10806X102 | $24282.0B | 15 |
| 2694 | THE REALREAL INC 88339P101 | $24222.8B | 10 |
| 2695 | DATADOG INC 23804L953 | $24214.4B | 2 |
| 2696 | DIREXION SHS ETF TR 25459Y207 | $24161.3B | 15 |
| 2697 | F N B CORP 302520101 | $24154.5B | 20 |
| 2698 | INDIVIOR PLC G4766E116 | $24141.5B | 5 |
| 2699 | SL GREEN RLTY CORP 78440X887 | $24139.4B | 17 |
| 2700 | IHS HOLDING LIMITED ORD SHS G4701H109 | $24117.5B | 6 |
| 2701 | HUDBAY MINERALS INC 443628102 | $24089.1B | 19 |
| 2702 | ST SRT SPDR S&P MTLS AND 78464A755 | $24065.3B | 18 |
| 2703 | ARGAN INC 04010E109 | $24041.0B | 17 |
| 2704 | SELECT WATER SOLUTIONS INC 81617J301 | $24032.3B | 11 |
| 2705 | NAYAX LTD M7S750159 | $23995.1B | 3 |
| 2706 | Pacer Swan SOS Flex January ETF 69374H576 | $23986.1B | 3 |
| 2707 | SUPER MICRO COMPUTER INC 86800UAB0 | $23978.0B | 2 |
| 2708 | INGEVITY CORP 45688C107 | $23928.2B | 15 |
| 2709 | SAVERS VALUE VLG INC 80517M109 | $23910.1B | 5 |
| 2710 | DUN & BRADSTREET HLDGS INC 26484T106 | $23905.4B | 7 |
| 2711 | SEMTECH CORP 816850AF8 | $23878.8B | 2 |
| 2712 | IAC INC 44891N208 | $23866.0B | 19 |
| 2713 | BANCFIRST CORP 05945F103 | $23863.4B | 13 |
| 2714 | UNITED PARCEL SERVICE INC 911312906 | $23838.6B | 2 |
| 2715 | T ROWE PRICE ETF INC 87283Q503 | $23834.9B | 6 |
| 2716 | DANAHER CORPORATION 235851902 | $23751.3B | 2 |
| 2717 | DIODES INC 254543101 | $23743.1B | 17 |
| 2718 | ABSOLUTE SHS TR 00400R700 | $23629.8B | 2 |
| 2719 | YPF SOCIEDAD ANONIMA 984245100 | $23608.2B | 6 |
| 2720 | ARTISAN PARTNERS ASSET MGMT 04316A108 | $23600.0B | 22 |
| 2721 | PROSHARES ULTRAPRO QQQ 74347X831 | $23591.4B | 17 |
| 2722 | PNC FINL SVCS GROUP INC 693475905 | $23574.2B | 2 |
| 2723 | VALERO ENERGY CORP 91913Y950 | $23550.4B | 2 |
| 2724 | ALIBABA GROUP HLDG LTD 01609W902 | $23538.4B | 3 |
| 2725 | KRATOS DEFENSE & SEC SOLUTIO 50077B207 | $23510.4B | 22 |
| 2726 | VERITEX HLDGS INC 923451108 | $23509.3B | 11 |
| 2727 | DOUGLAS EMMETT INC 25960P109 | $23507.1B | 13 |
| 2728 | TERADATA CORP DEL 88076W103 | $23494.0B | 21 |
| 2729 | SPIRE INC 84857L101 | $23493.1B | 21 |
| 2730 | FIDELITY COVINGTON TRUST 316092790 | $23461.1B | 7 |
| 2731 | WISDOMTREE TR 97717W570 | $23452.6B | 9 |
| 2732 | FIDELITY MSCI HEALTH CARE INDEX ETF 316092600 | $23447.3B | 29 |
| 2733 | FIRST TR EXCHNG TRADED FD VI 33740F623 | $23445.8B | 10 |
| 2734 | GREAT LAKES DREDGE & DOCK CO 390607109 | $23425.6B | 11 |
| 2735 | BIOGEN INC 09062X903 | $23422.9B | 2 |
| 2736 | INNOVATIVE INDL PPTYS IN 45781V101 | $23409.4B | 23 |
| 2737 | PROSHARES TR 74347G606 | $23388.1B | 5 |
| 2738 | UNIFIRST CORP MASS 904708104 | $23382.0B | 18 |
| 2739 | UNIVERSAL CORP VA 913456109 | $23367.4B | 15 |
| 2740 | ISHARES TR 46434V647 | $23355.4B | 20 |
| 2741 | SCHWAB STRATEGIC TR 808524789 | $23354.5B | 10 |
| 2742 | AUTODESK INC 052769906 | $23354.5B | 2 |
| 2743 | FULTON FINL CORP PA 360271100 | $23322.0B | 18 |
| 2744 | SECURITY NATL FINL CORP 814785309 | $23320.4B | 4 |
| 2745 | Westlake Corp 960413102 | $23317.4B | 21 |
| 2746 | APOLLO GLOBAL MGMT INC 03769M906 | $23298.8B | 2 |
| 2747 | JASPER THERAPEUTICS INC 471871202 | $23275.3B | 6 |
| 2748 | AMN HEALTHCARE SVCS INC 001744101 | $23218.0B | 24 |
| 2749 | CHEFS WHSE INC 163086101 | $23207.4B | 13 |
| 2750 | LIBERTY GLOBAL LTD G61188127 | $23200.4B | 13 |
| 2751 | SOLSTICE ADVANCED MATLS INC 83443Q103 | $23199.7B | 8 |
| 2752 | ZOOM COMMUNICATIONS INC 98980L901 | $23189.5B | 2 |
| 2753 | SELECT SECTOR SPDR TR 81369Y958 | $23185.2B | 2 |
| 2754 | ABSOLUTE SHS TR 00400R809 | $23175.0B | 2 |
| 2755 | HINGE HEALTH INC 433313103 | $23145.9B | 2 |
| 2756 | FIRST TR EXCHNG TRADED FD VI 33740F839 | $23129.5B | 10 |
| 2757 | T ROWE PRICE ETF INC 87283Q834 | $23129.3B | 2 |
| 2758 | DBX ETF TR 233051879 | $23115.2B | 6 |
| 2759 | ISHARES TR 464288802 | $23114.6B | 22 |
| 2760 | AGILYSYS INC 00847J105 | $23080.6B | 18 |
| 2761 | MIRION TECHNOLOGIES INC 60471A101 | $23038.6B | 15 |
| 2762 | GLOBAL X MLP & ENERGY INFRASTRUCTURE ETF 37954Y293 | $23029.0B | 16 |
| 2763 | JD.COM INC 47215PAJ5 | $23008.0B | 2 |
| 2764 | NORTHERN LTS FD TR IV 66538H237 | $22975.9B | 2 |
| 2765 | Pacer Trendpilot International ETF 69374H683 | $22971.1B | 5 |
| 2766 | CAPITAL GROUP CORE 14021D107 | $22950.4B | 16 |
| 2767 | ISHARES CORE 60 40 BAL 464289867 | $22920.9B | 20 |
| 2768 | NEWS CORP NEW 65249B208 | $22906.5B | 19 |
| 2769 | INFLECTION POINT ACQUISITION G1169T104 | $22903.0B | 4 |
| 2770 | HELIOS TECHNOLOGIES INC 42328H109 | $22861.4B | 9 |
| 2771 | BIO RAD LABS INC 090572207 | $22859.9B | 20 |
| 2772 | LUMENTUM HLDGS INC 55024UAH2 | $22835.5B | 3 |
| 2773 | LGI HOMES INC 50187T106 | $22818.7B | 12 |
| 2774 | J P MORGAN EXCHANGE TRADED F 46641Q746 | $22810.3B | 4 |
| 2775 | FIRST TR EXCHNG TRADED FD VI 33740F847 | $22794.6B | 9 |
| 2776 | MAXIMUS INC 577933104 | $22789.3B | 23 |
| 2777 | TRIP COM GROUP LTD 89677QAB3 | $22779.2B | 2 |
| 2778 | Pacer Swan SOS Flex July ETF 69374H469 | $22734.4B | 2 |
| 2779 | COLUMBIA ETF TR II 19762B202 | $22721.2B | 10 |
| 2780 | CATHAY GEN BANCORP 149150104 | $22705.6B | 18 |
| 2781 | CIPHER MNG INC 17253J106 | $22699.5B | 13 |
| 2782 | ARES ACQUISITION CORP II G33033104 | $22691.7B | 3 |
| 2783 | QIAGEN NV N72482206 | $22671.1B | 13 |
| 2784 | BITWISE BITCOIN ETF 09174C104 | $22671.0B | 11 |
| 2785 | VAN ULTRA SHRT BND 92203C303 | $22657.7B | 15 |
| 2786 | FIRST TRUST TECHNOLOGY ALPHA 33734X176 | $22636.7B | 19 |
| 2787 | AXCELIS TECHNOLOGIES INC 054540208 | $22579.8B | 19 |
| 2788 | SCHWAB STRATEGIC TR 808524722 | $22568.5B | 9 |
| 2789 | SUNRUN INC 86771W105 | $22545.5B | 23 |
| 2790 | ASSOCIATED BANC CORP 045487105 | $22543.6B | 16 |
| 2791 | FIRST TR EXCH TRD ALPHDX FD 33737J182 | $22507.2B | 10 |
| 2792 | RAYONIER INC 754907103 | $22481.4B | 16 |
| 2793 | NEXTERA ENERGY INC 65339F901 | $22480.8B | 2 |
| 2794 | CAPITAL GROUP INTERNATIONAL 14021M107 | $22467.6B | 8 |
| 2795 | COLUMBIA DIVERSIFIED ETF 19761L508 | $22459.7B | 3 |
| 2796 | ISHARES U.S. INDUSTRIALS ETF 464287754 | $22456.2B | 15 |
| 2797 | LCI INDS 50189K103 | $22450.4B | 16 |
| 2798 | CATERPILLAR INC 149123951 | $22415.2B | 2 |
| 2799 | INVESCO RAFI STRATEGIC US ETF 46138J742 | $22324.3B | 10 |
| 2800 | LAM RESEARCH CORP 512807956 | $22295.8B | 2 |
| 2801 | DILLARDS INC 254067101 | $22281.9B | 12 |
| 2802 | LXP INDUSTRIAL TRUST 529043101 | $22278.7B | 12 |
| 2803 | ISHARES U.S. HOME CONSTRUCTION ETF 464288752 | $22251.8B | 19 |
| 2804 | UTZ BRANDS INC 918090101 | $22246.3B | 15 |
| 2805 | DIMENSIONAL WORLD EQUITY 25434V617 | $22175.9B | 8 |
| 2806 | VITAL FARMS INC 92847W103 | $22092.9B | 12 |
| 2807 | HERC HLDGS INC 42704L104 | $22081.1B | 16 |
| 2808 | TELUS INTL CDA INC 87975H100 | $22079.2B | 3 |
| 2809 | SILVERBOX CORP IV G81354105 | $22068.6B | 4 |
| 2810 | BEONE MEDICINES LTD 07725L102 | $22058.2B | 14 |
| 2811 | ISHARES CORE 5-10 YEAR USD 46435G417 | $22044.2B | 2 |
| 2812 | FRANKLIN ELEC INC 353514102 | $22034.3B | 20 |
| 2813 | DORMAN PRODS INC 258278100 | $22032.8B | 17 |
| 2814 | SCHWAB INTERNATIONAL 808524672 | $22028.8B | 12 |
| 2815 | NORTH AMERN CONSTR GROUP LTD 656811106 | $22016.7B | 2 |
| 2816 | SAFETY INS GROUP INC 78648T100 | $22006.8B | 5 |
| 2817 | ANALOG DEVICES INC 032654955 | $22002.5B | 2 |
| 2818 | BYLINE BANCORP INC 124411109 | $21980.7B | 7 |
| 2819 | SLR INVESTMENT CORP 83413U100 | $21976.3B | 5 |
| 2820 | ABBOTT LABS 002824900 | $21939.9B | 2 |
| 2821 | FRANKLIN U.S. MID CAP MULTIF 35473P884 | $21915.0B | 12 |
| 2822 | VOYAGER THERAPEUTICS INC 92915B106 | $21887.9B | 8 |
| 2823 | VANGUARD WORLD FD 921910725 | $21859.4B | 20 |
| 2824 | KORNIT DIGITAL LTD M6372Q113 | $21852.3B | 8 |
| 2825 | FRANKLIN TEMPLETON ETF TR 35473P462 | $21838.6B | 3 |
| 2826 | TAL EDUCATION GROUP 874080104 | $21806.8B | 11 |
| 2827 | FIRST TR EXCHANGE TRADED FD 33734X135 | $21794.8B | 16 |
| 2828 | JANUS HENDERSON GROUP PLC G4474Y214 | $21794.4B | 24 |
| 2829 | NEXGEN ENERGY LTD 65340P106 | $21777.7B | 20 |
| 2830 | TRIPADVISOR INC 896945201 | $21753.1B | 14 |
| 2831 | STATE STREET SPDR PORTFOLIO S&P 500 HIGH DIVIDEND ETF 78468R788 | $21745.3B | 28 |
| 2832 | DRX DLY S&P BIOTECH BULL 3X 25460G120 | $21741.7B | 4 |
| 2833 | DEVON ENERGY CORP NEW 25179M903 | $21739.4B | 2 |
| 2834 | INVESCO S&P EMERGING MARKETS LOW VOLATILITY ETF 46138E297 | $21738.6B | 7 |
| 2835 | FIDELITY ENHANCED MID CAP ETF 31609A503 | $21732.1B | 9 |
| 2836 | ISHARES TR 46436E759 | $21730.4B | 18 |
| 2837 | NGL ENERGY PARTNERS LP 62913M107 | $21715.9B | 9 |
| 2838 | SIMPLIFY MANAGED FUTURES ST 82889N699 | $21685.5B | 5 |
| 2839 | STARBUCKS CORP 855244909 | $21674.0B | 3 |
| 2840 | FIRST TR EXCHNG TRADED FD VI 33740U737 | $21656.3B | 9 |
| 2841 | GSR III ACQUISITION CORP G4R103107 | $21652.0B | 3 |
| 2842 | INVESCO EXCH TRD SLF IDX FD 46138J833 | $21650.2B | 3 |
| 2843 | STRUCTURE THERAPEUTICS INC 86366E106 | $21629.1B | 10 |
| 2844 | INVESCO INTERNATIONAL CORPORATE BO 46138E636 | $21620.1B | 3 |
| 2845 | INNOVATOR ETFS TRUST 45783Y673 | $21595.1B | 7 |
| 2846 | PRINCIPAL US MEGA-CAP ETF 74255Y870 | $21588.4B | 3 |
| 2847 | ETFIS SER TR I 26923G822 | $21582.9B | 10 |
| 2848 | CENTURI HOLDINGS INC 155923105 | $21550.9B | 7 |
| 2849 | CENTURION ACQUISITION CORP G20315100 | $21527.2B | 2 |
| 2850 | LISTED FDS TR 53656F573 | $21501.5B | 3 |
| 2851 | PEPSICO INC 713448908 | $21500.6B | 2 |
| 2852 | TERAWULF INC 88080T104 | $21491.8B | 17 |
| 2853 | EPLUS INC 294268107 | $21476.2B | 15 |
| 2854 | OUSTER INC 68989M202 | $21454.5B | 10 |
| 2855 | PHIBRO ANIMAL HEALTH CORP 71742Q106 | $21446.4B | 11 |
| 2856 | DIREXION DLY SM CAP BULL 3X 25459W847 | $21433.6B | 9 |
| 2857 | Columbia Sportswear Co 198516106 | $21426.5B | 16 |
| 2858 | Pacira BioSciences Inc 695127100 | $21416.5B | 15 |
| 2859 | BAHL & GAYNOR SMALL/MID CAP IN 26922B832 | $21378.1B | 4 |
| 2860 | ZYMEWORKS INC 98985Y108 | $21368.7B | 7 |
| 2861 | AMERESCO INC 02361E108 | $21368.5B | 11 |
| 2862 | LEONARDO DRS INC 52661A108 | $21365.5B | 15 |
| 2863 | NATIONAL STORAGE AFFILIATES 637870106 | $21353.5B | 15 |
| 2864 | ABM INDS INC 000957100 | $21351.5B | 15 |
| 2865 | EA SERIES TRUST 02072L680 | $21348.7B | 11 |
| 2866 | FIRST TR EXCH TRADED FD III 33739P608 | $21330.5B | 7 |
| 2867 | FEDERATED HERMES INC 314211103 | $21299.3B | 20 |
| 2868 | EOG RES INC 26875P951 | $21293.9B | 3 |
| 2869 | EXPAND ENERGY CORPORATION 165167955 | $21264.6B | 2 |
| 2870 | TRONOX HOLDINGS PLC G9087Q102 | $21221.2B | 13 |
| 2871 | FRANKLIN TEMPLETON ETF TR 35473P421 | $21164.2B | 2 |
| 2872 | STATE STREET 78464A797 | $21139.6B | 15 |
| 2873 | O-I GLASS INC 67098H104 | $21120.6B | 20 |
| 2874 | FIVERR INTL LTD M4R82T106 | $21113.4B | 10 |
| 2875 | JPM SUS MUNICIPAL INCOME 46654Q815 | $21096.2B | 4 |
| 2876 | SENSATA TECHNOLOGIES HLDG PL G8060N102 | $21091.5B | 19 |
| 2877 | JANUS HENDERSON B-BBB CLO ETF 47103U753 | $21056.2B | 9 |
| 2878 | ZURA BIO LTD G9TY5A101 | $21039.0B | 6 |
| 2879 | ENVISTA HOLDINGS CORPORATION 29415FAD6 | $21034.9B | 4 |
| 2880 | WOLFSPEED INC 977852AB8 | $20976.0B | 3 |
| 2881 | SPDR S&P INTL SMALL CAP 78463X871 | $20965.1B | 12 |
| 2882 | JH SECURITIZED INCOME ETF 47103U746 | $20955.9B | 7 |
| 2883 | FIRST TR EXCHNG TRADED FD VI 33740U778 | $20942.7B | 10 |
| 2884 | APPLIED FINANCE VALUATION 26923N405 | $20903.0B | 3 |
| 2885 | Rush Street Interactive Inc 782011100 | $20892.2B | 8 |
| 2886 | EDGEWISE THERAPEUTICS INC 28036F105 | $20891.6B | 12 |
| 2887 | BLACK HILLS CORP 092113109 | $20877.3B | 20 |
| 2888 | TELEPHONE & DATA SYS INC 879433829 | $20812.9B | 14 |
| 2889 | CONSOLIDATED WATER CO INC G23773107 | $20801.8B | 10 |
| 2890 | VICTORY PORTFOLIOS II 92647N667 | $20799.2B | 5 |
| 2891 | LIBERTY LATIN AMERICA LTD G9001E128 | $20782.3B | 10 |
| 2892 | FIRST TR EXCHANGE-TRADED ALP 33735K108 | $20763.2B | 12 |
| 2893 | JPMORGAN EQUITY FOCUS ETF 46654Q781 | $20755.3B | 6 |
| 2894 | Flagstar Bank NA 649445400 | $20744.2B | 15 |
| 2895 | BLOOMIN BRANDS INC 094235108 | $20738.8B | 16 |
| 2896 | ENDAVA PLC 29260V105 | $20735.6B | 11 |
| 2897 | ITURAN LOCATION AND CONTROL M6158M104 | $20718.8B | 6 |
| 2898 | BANK AMERICA CORP 060505682 | $20699.9B | 15 |
| 2899 | BRIGHTHOUSE FINL INC 10922N103 | $20668.6B | 20 |
| 2900 | DEVON ENERGY CORP NEW 25179M953 | $20587.7B | 2 |
| 2901 | DYNAVAX TECHNOLOGIES COR 268158201 | $20562.2B | 17 |
| 2902 | KRYSTAL BIOTECH INC 501147102 | $20554.3B | 14 |
| 2903 | FOOT LOCKER INC 344849104 | $20529.8B | 11 |
| 2904 | BLACKSTONE MTG TR INC 09257W100 | $20527.5B | 18 |
| 2905 | NEXTERA ENERGY CAP HLDGS INC 65339KCY4 | $20527.2B | 4 |
| 2906 | INTEGRA LIFESCIENCES HLDGS C 457985208 | $20521.3B | 12 |
| 2907 | IES HLDGS INC 44951W106 | $20510.6B | 15 |
| 2908 | ENGENE HOLDINGS INC 29286M105 | $20502.4B | 2 |
| 2909 | LAM RESEARCH CORP 512807906 | $20502.1B | 2 |
| 2910 | THE ODP CORP 88337F105 | $20456.4B | 6 |
| 2911 | SIMPLIFY EXCHANGE TRADED FUN 82889N103 | $20455.6B | 2 |
| 2912 | Collegium Pharmaceutical Inc 19459J104 | $20443.4B | 11 |
| 2913 | FIRST TR EXCHNG TRADED FD VI 33740F458 | $20426.0B | 7 |
| 2914 | APOGEE ENTERPRISES INC 037598109 | $20403.3B | 12 |
| 2915 | EIGHTCO HOLDINGS INC 22890A302 | $20312.1B | 3 |
| 2916 | ELECTRONIC ARTS INC 285512909 | $20312.1B | 2 |
| 2917 | INVSC HIGH YIELD 46137V563 | $20308.8B | 11 |
| 2918 | ABSOLUTE SHS TR 00400R601 | $20284.1B | 2 |
| 2919 | INVESCO EXCH TRD SLF IDX FD 46138J460 | $20282.7B | 10 |
| 2920 | FIRST TR EXCHNG TRADED FD VI 33740U505 | $20216.4B | 9 |
| 2921 | INVESCO EQUAL WEIGHT 0-30 YR 46138E107 | $20189.0B | 5 |
| 2922 | PACER US CASH COWS GROWTH ETF 69374H667 | $20185.2B | 3 |
| 2923 | SPHERE ENTERTAINMENT CO 55826T102 | $20185.1B | 17 |
| 2924 | LOVESAC COMPANY 54738L109 | $20155.0B | 8 |
| 2925 | SIX FLAGS ENTERTAINMENT CORP 83001C108 | $20142.4B | 17 |
| 2926 | AVANTIS EMERGING MARKETS VAL 025072372 | $20131.5B | 10 |
| 2927 | Rapid7 Inc 753422104 | $20127.1B | 10 |
| 2928 | FIRST TR EXCHANGE-TRADED FD 33738D804 | $20121.3B | 11 |
| 2929 | VISHAY INTERTECHNOLOGY INC 928298AR9 | $20106.8B | 3 |
| 2930 | FIRST TR EXCHANGE-TRADED FD 33733B100 | $20091.8B | 15 |
| 2931 | AVISTA CORP 05379B107 | $20062.2B | 22 |
| 2932 | SSR MINING IN 784730103 | $20032.4B | 13 |
| 2933 | GRANITESHARES GOLD TRUST 38748G101 | $20014.3B | 5 |
| 2934 | ISHARES TR 46435U663 | $19951.2B | 23 |
| 2935 | ACCENTURE PLC IRELAND G1151C901 | $19943.7B | 3 |
| 2936 | STANDARD LITHIUM LTD 853606101 | $19934.3B | 5 |
| 2937 | VALE S A 91912E105 | $19910.6B | 31 |
| 2938 | SIMPLIFY EXCHANGE TRADED FUN 82889N764 | $19891.9B | 3 |
| 2939 | ACHIEVE LIFE SCIENCES INC 004468500 | $19876.2B | 5 |
| 2940 | GREIF INC CL A 397624107 | $19865.5B | 13 |
| 2941 | Vanguard 500 Index Admiral 922908710 | $19854.0B | 3 |
| 2942 | ENOVA INTL INC 29357K103 | $19807.3B | 11 |
| 2943 | CHENIERE ENERGY INC 16411R908 | $19783.7B | 2 |
| 2944 | CALAMOS ETF TR 12811T738 | $19769.6B | 3 |
| 2945 | SIMMONS 1ST NATL CORP 828730200 | $19766.3B | 17 |
| 2946 | CHOICE HOTELS INTL INC 169905106 | $19751.3B | 19 |
| 2947 | DELL TECHNOLOGIES INC 24703L902 | $19750.6B | 2 |
| 2948 | OKLO INC 02156V109 | $19683.6B | 30 |
| 2949 | FIRST TR EXCHNG TRADED FD VI 33740F599 | $19594.3B | 8 |
| 2950 | MAGNA INTL INC 559222401 | $19579.9B | 23 |
| 2951 | ISHARES TR 46436E726 | $19570.2B | 12 |
| 2952 | BLACKROCK ETF TRUST 09290C863 | $19554.8B | 6 |
| 2953 | URANIUM ENERGY CORP 916896103 | $19550.2B | 24 |
| 2954 | INVESCO EXCH TRADED FD TR II 46138E628 | $19534.2B | 13 |
| 2955 | SHINHAN FINANCIAL GROUP CO L 824596100 | $19519.1B | 16 |
| 2956 | CORE NATURAL RESOURCES INC 218937100 | $19518.8B | 15 |
| 2957 | PLEXUS CORP 729132100 | $19497.8B | 13 |
| 2958 | CAPITAL ONE FINL CORP 14040H905 | $19488.4B | 2 |
| 2959 | WALMART INC 931142903 | $19459.5B | 2 |
| 2960 | MARZETTI COMPANY 513847103 | $19438.2B | 21 |
| 2961 | STATE STREET 78464A128 | $19424.4B | 5 |
| 2962 | FRANKLIN COVEY CO 353469109 | $19418.8B | 7 |
| 2963 | LIBERTY MEDIA CORP DEL 531229771 | $19414.0B | 17 |
| 2964 | QUINSTREET INC 74874Q100 | $19380.1B | 11 |
| 2965 | ISHARES MSCI GLOBAL GOLD MIN 46434G855 | $19378.8B | 8 |
| 2966 | FIRST TR EXCHNG TRADED FD VI 33740F722 | $19376.5B | 12 |
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| 2975 | Coursera Inc 22266M104 | $19215.0B | 11 |
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| 2986 | KASPI KZ JSC 48581R205 | $18986.1B | 7 |
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| 2991 | Garrett Motion Inc 366505105 | $18874.7B | 13 |
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| 3003 | FIRST TR EXCHNG TRADED FD VI 33740U844 | $18751.6B | 5 |
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| 3020 | MARATHON PETE CORP 56585A952 | $18364.7B | 2 |
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| 3060 | SOLENO THERAPEUTICS INC 834203309 | $17870.2B | 10 |
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| 3065 | PACER LUNT LRG CAP MULTI-FAC 69374H816 | $17811.0B | 8 |
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| 3078 | GOLDEN ENTMT INC 381013101 | $17619.7B | 7 |
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| 3091 | NORTHWEST NAT HLDG CO 66765N105 | $17413.3B | 16 |
| 3092 | Leggett & Platt Inc 524660107 | $17387.7B | 16 |
| 3093 | MILLROSE PPTYS INC 601137102 | $17350.6B | 16 |
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| 3098 | SPECTRUM BRANDS HLDGS INC NE 84790A105 | $17289.3B | 13 |
| 3099 | SAVARA INC 805111101 | $17275.6B | 8 |
| 3100 | MONRO INC 610236101 | $17228.7B | 9 |
| 3101 | ALTO NEUROSCIENCE INC 02157Q109 | $17188.4B | 4 |
| 3102 | Sun Country Airlines Holdings Inc 866683105 | $17152.5B | 11 |
| 3103 | FIRST TR EXCHNG TRADED FD VI 33740U307 | $17150.7B | 10 |
| 3104 | WASTE MGMT INC DEL 94106L909 | $17146.6B | 2 |
| 3105 | AB ACTIVE ETFS INC 00039J608 | $17146.4B | 2 |
| 3106 | TURNING PT BRANDS INC 90041L105 | $17139.6B | 9 |
| 3107 | UROGEN PHARMA LTD M96088105 | $17131.5B | 8 |
| 3108 | SPDR INDEX SHS FDS 78463X749 | $17114.7B | 11 |
| 3109 | READY CAPITAL CORP 75574U101 | $17099.8B | 22 |
| 3110 | ORION S.A. L72967109 | $17045.5B | 10 |
| 3111 | GLOBAL X MLP ETF 37954Y343 | $17037.5B | 9 |
| 3112 | R1 RCM INC 77634L105 | $17028.6B | 7 |
| 3113 | TAT TECHNOLOGIES LTD M8740S227 | $17025.4B | 3 |
| 3114 | DENTSPLY SIRONA INC 24906P109 | $17017.0B | 19 |
| 3115 | HAWKINS INC 420261109 | $17015.6B | 15 |
| 3116 | GLOBAL X 37954Y632 | $16992.1B | 19 |
| 3117 | ON SEMICONDUCTOR CORP 682189955 | $16948.6B | 3 |
| 3118 | INNOVATOR ETFS TRUST 45782C573 | $16940.0B | 10 |
| 3119 | ISHARES MORNINGSTAR MID-CAP ETF 464288208 | $16938.9B | 10 |
| 3120 | CARS COM INC 14575E105 | $16936.7B | 12 |
| 3121 | FIRST MERCHANTS CORP 320817109 | $16934.6B | 17 |
| 3122 | PORCH GROUP INC 733245104 | $16911.3B | 10 |
| 3123 | THERMO FISHER SCIENTIFIC INC 883556902 | $16902.6B | 2 |
| 3124 | AFFIRM HLDGS INC 00827BAB2 | $16863.9B | 2 |
| 3125 | DOLLAR TREE INC 256746908 | $16861.6B | 2 |
| 3126 | VANGUARD US MOMENTUM FACTOR 921935508 | $16857.0B | 10 |
| 3127 | COMPASS INC 20464U100 | $16850.6B | 20 |
| 3128 | ASPEN AEROGELS INC 04523Y105 | $16844.9B | 14 |
| 3129 | LIBERTY ENERGY INC 53115L104 | $16822.1B | 20 |
| 3130 | ANNEXON INC 03589W102 | $16797.2B | 8 |
| 3131 | Healthcare Services Group Inc 421906108 | $16794.6B | 13 |
| 3132 | ARBOR REALTY TRUST INC 038923108 | $16794.2B | 26 |
| 3133 | WABASH NATL CORP 929566107 | $16790.9B | 12 |
| 3134 | FARO TECHNOLOGIES INC 311642102 | $16765.4B | 4 |
| 3135 | AGRICULTURE & NAT SOL ACQ CO G0131Y100 | $16760.2B | 4 |
| 3136 | FIRST TR EXCHNG TRADED FD VI 33740F664 | $16759.9B | 9 |
| 3137 | PREMIER INC 74051N102 | $16753.6B | 14 |
| 3138 | PLANET LABS PBC 72703X106 | $16751.8B | 14 |
| 3139 | EATON VANCE TAX-MANAGED DIVE 27828N102 | $16745.8B | 13 |
| 3140 | FIDELIS INSURANCE HOLDINGS LTD COM G3398L118 | $16738.0B | 6 |
| 3141 | WESTROCK 96145D105 | $16721.2B | 4 |
| 3142 | NORDSTROM INC COM 655664100 | $16721.1B | 13 |
| 3143 | INVESCO S&P SMALLCAP INDUSTR 46138E123 | $16705.7B | 5 |
| 3144 | WARBY PARKER INC 93403J106 | $16683.8B | 8 |
| 3145 | ADVERUM BIOTECHNOLOGIES INC 00773U207 | $16655.1B | 5 |
| 3146 | SOLARIS RES INC 83419D201 | $16648.6B | 4 |
| 3147 | LAS VEGAS SANDS CORP 517834957 | $16648.0B | 2 |
| 3148 | BRIGHTVIEW HLDGS INC 10948C107 | $16647.4B | 9 |
| 3149 | ONDAS INC COM NEW 68236H204 | $16633.5B | 5 |
| 3150 | PETROLEO BRASILEIRO SA PETRO 71654V908 | $16610.6B | 2 |
| 3151 | UNITED PARCEL SERVICE INC 911312956 | $16584.8B | 2 |
| 3152 | COHEN & STEERS INFRASTRUCTUR 19248A109 | $16564.2B | 10 |
| 3153 | LENNAR CORP 526057302 | $16561.4B | 9 |
| 3154 | EVERTEC INC 30040P103 | $16560.4B | 12 |
| 3155 | SNOWFLAKE INC 833445AB5 | $16541.8B | 3 |
| 3156 | CALAMOS STRAT TTL RTRN FND 128125101 | $16511.0B | 11 |
| 3157 | Pacer Trendpilot US Bond ETF 69374H642 | $16508.2B | 6 |
| 3158 | LOWES COS INC 548661957 | $16504.3B | 2 |
| 3159 | FIRST TR EXCHNG TRADED FD VI 33740U836 | $16465.4B | 4 |
| 3160 | VICTORYSHARES US MULTI-FACTOR MINIMUM VOLATILITY ETF 92647N691 | $16464.1B | 3 |
| 3161 | STATE STR CORP 857477903 | $16432.6B | 2 |
| 3162 | PROASSURANCE CORP 74267C106 | $16419.6B | 9 |
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| 3164 | NATIONAL BK HLDGS CORP 633707104 | $16380.3B | 7 |
| 3165 | THE REALREAL INC 88339PAD3 | $16379.1B | 2 |
| 3166 | FIDELITY COVINGTON TRUST 316092709 | $16329.5B | 16 |
| 3167 | FLEXSHARES QUALITY DIVIDEND INDEX FUND 33939L860 | $16324.2B | 7 |
| 3168 | SPDR SERIES TRUST 78464A862 | $16322.7B | 14 |
| 3169 | FIRST TR EXCHNG TRADED FD VI 33740U729 | $16322.4B | 8 |
| 3170 | Ziff Davis Inc 48123V102 | $16277.0B | 11 |
| 3171 | WELLS FARGO CO NEW 949746804 | $16268.1B | 18 |
| 3172 | REGIONS FINANCIAL CORP NEW 7591EP950 | $16262.5B | 2 |
| 3173 | STAGWELL INC 85256A109 | $16223.7B | 8 |
| 3174 | ENLIVEN THERAPEUTICS INC 29337E102 | $16221.9B | 6 |
| 3175 | ROGERS CORP 775133101 | $16211.4B | 8 |
| 3176 | DROPBOX INC 26210CAD6 | $16188.4B | 4 |
| 3177 | AMERICAN CENTY ETF TR 025072208 | $16187.6B | 2 |
| 3178 | VS SM CAP FREE CASH FLOW ETF 92647X822 | $16184.2B | 3 |
| 3179 | AMGEN INC 031162950 | $16168.7B | 2 |
| 3180 | ZAI LAB LTD 98887Q104 | $16167.0B | 9 |
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| 3182 | GRAF GLOBAL CORP G4036C106 | $16119.0B | 3 |
| 3183 | CORECIVIC INC 21871N101 | $16116.0B | 15 |
| 3184 | EURONET WORLDWIDE INC 298736AL3 | $16108.6B | 4 |
| 3185 | INNOVATOR ETFS TRUST 45782C417 | $16108.1B | 11 |
| 3186 | INVESCO DB MULTI-SECTOR COMM 46140H502 | $16104.9B | 3 |
| 3187 | WESTLAKE CHEM PARTNERS LP COM UNIT RP LP 960417103 | $16100.8B | 6 |
| 3188 | BLACK SPADE ACQUISITION II C G1153L109 | $16097.1B | 2 |
| 3189 | FLEXSHARES TR 33939L407 | $16085.5B | 15 |
| 3190 | ISHARES MORNINGSTAR U.S. EQU 464287127 | $16070.6B | 13 |
| 3191 | FIRST TR EXCHANGE-TRADED FD 33738D408 | $16067.1B | 14 |
| 3192 | SUPERNUS PHARMACEUTICALS INC 868459108 | $16063.4B | 15 |
| 3193 | 3M CO 88579Y901 | $16058.1B | 2 |
| 3194 | HEIDRICK & STRUGGLES INTL IN 422819102 | $16057.5B | 11 |
| 3195 | AURA BIOSCIENCES INC 05153U107 | $16031.6B | 4 |
| 3196 | MIDCAP FINANCIAL INVSTMNT CORP COM NEW 03761U502 | $16020.2B | 12 |
| 3197 | TRUIST FINL CORP 89832Q959 | $16015.9B | 2 |
| 3198 | ZIMVIE INC 98888T107 | $15988.7B | 14 |
| 3199 | LITMAN GREGORY FDS TR 53700T827 | $15986.2B | 10 |
| 3200 | ROCKET LAB USA INC 773122106 | $15964.3B | 9 |
| 3201 | PIMCO RAFI DYNAMIC MULTI-FAC 72202L371 | $15962.0B | 4 |
| 3202 | WAVE LIFE SCIENCES LTD Y95308105 | $15935.0B | 10 |
| 3203 | DNP SELECT INCOME FD INC 23325P104 | $15932.1B | 22 |
| 3204 | TEMPUS AI INC 88023B953 | $15915.0B | 2 |
| 3205 | OKTA INC 679295AF2 | $15910.4B | 3 |
| 3206 | EASTERLY GOVERNMENT PROPERTI COMMON STOCK 27616P103 | $15898.5B | 9 |
| 3207 | VICTORY CAP HLDGS INC 92645B103 | $15892.5B | 18 |
| 3208 | FIRST TRUST SHORT DUR MANAG 33739P830 | $15856.0B | 8 |
| 3209 | PACIFIC BIOSCIENCES CALIF IN 69404D108 | $15851.6B | 14 |
| 3210 | WISDOMTREE DYNAMIC INTERNATION 97717X271 | $15811.5B | 5 |
| 3211 | GigaCloud Technology Inc G38644103 | $15804.9B | 8 |
| 3212 | BENTLEY SYS INC 08265TAD1 | $15770.3B | 3 |
| 3213 | RAYONIER ADVANCED MATLS INC 75508B104 | $15744.6B | 10 |
| 3214 | ISHARES DOW JONES U.S. ETF 464287846 | $15689.1B | 16 |
| 3215 | SCHNEIDER NATIONAL INC 80689H102 | $15676.5B | 13 |
| 3216 | ISHARES U.S. CONSUMER DISCRETIONARY ETF 464287580 | $15667.3B | 17 |
| 3217 | DOLLAR GEN CORP NEW 256677905 | $15665.3B | 2 |
| 3218 | SCHWAB CHARLES FAMILY FD 808515530 | $15654.8B | 3 |
| 3219 | WOLFSPEED INC 225447AD3 | $15620.0B | 2 |
| 3220 | VERIS RESIDENTIAL INC 554489104 | $15619.7B | 9 |
| 3221 | INVESCO EXCH TRADED FD TR II 46138G102 | $15619.0B | 5 |
| 3222 | JD.COM INC 47215P906 | $15598.9B | 2 |
| 3223 | CONOCOPHILLIPS 20825C954 | $15578.2B | 2 |
| 3224 | OTTER TAIL CORP 689648103 | $15513.3B | 18 |
| 3225 | SIMILARWEB LTD M84137104 | $15512.8B | 3 |
| 3226 | INVESCO EXCHANGE TRADED FD T 46137V266 | $15508.5B | 14 |
| 3227 | Marten Transport Ltd 573075108 | $15506.8B | 11 |
| 3228 | AMALGAMATED FINANCIAL CORP 022671101 | $15503.2B | 13 |
| 3229 | PURSUIT ATTRACTIONS AND HOSPIT COM 92552R406 | $15500.1B | 10 |
| 3230 | M / I HOMES INC 55305B101 | $15493.9B | 18 |
| 3231 | FIRST FINL BANCORP OH 320209109 | $15491.6B | 14 |
| 3232 | CAMECO CORP 13321L908 | $15488.9B | 2 |
| 3233 | ANAPTYSBIO INC 032724106 | $15485.4B | 6 |
| 3234 | U S PHYSICAL THERAPY 90337L108 | $15483.7B | 14 |
| 3235 | KENVUE INC 49177J902 | $15472.3B | 2 |
| 3236 | FIRST TRUST US EQUITY OPPORT 336920103 | $15466.6B | 9 |
| 3237 | ITAU UNIBANCO HLDG S A 465562106 | $15466.6B | 20 |
| 3238 | PREFERRED BK LOS ANGELES CA COM NEW 740367404 | $15465.5B | 12 |
| 3239 | SPRINGWORKS THERAPEUTICS INC 85205L107 | $15454.6B | 4 |
| 3240 | HSBC HLDGS PLC 404280406 | $15447.0B | 24 |
| 3241 | HURCO CO 447324104 | $15413.6B | 4 |
| 3242 | ELANCO ANIMAL HEALTH INC 28414H103 | $15374.7B | 19 |
| 3243 | VANGUARD RUSSELL 3000 92206C599 | $15362.4B | 13 |
| 3244 | EQUITY COMWLTH 294628102 | $15339.5B | 5 |
| 3245 | ALLIANCE RESOURCE PARTNERS L 01877R108 | $15303.8B | 15 |
| 3246 | CHUNGHWA TELECOM CO LTD 17133Q502 | $15294.9B | 10 |
| 3247 | DISNEY WALT CO 254687906 | $15267.7B | 3 |
| 3248 | INVESCO EXCH TRADED FD TR II 46138E263 | $15261.0B | 7 |
| 3249 | INNOSPEC INC 45768S105 | $15232.2B | 14 |
| 3250 | STOKE THERAPEUTICS INC 86150R107 | $15219.4B | 8 |
| 3251 | CADENCE DESIGN SYSTEM INC 127387908 | $15210.0B | 2 |
| 3252 | QUIDELORTHO CORP 219798105 | $15209.2B | 14 |
| 3253 | CALERES INC 129500104 | $15200.4B | 10 |
| 3254 | ABBVIE INC 00287y109 | $15194.3B | 3 |
| 3255 | CLEARWAY ENERGY INC 18539C105 | $15181.6B | 12 |
| 3256 | INNOVATOR US EQ POWER-MAR 45782C383 | $15178.9B | 10 |
| 3257 | MELAR ACQUISITION CORP. I G6004G100 | $15177.7B | 2 |
| 3258 | BRAZE INC 10576N102 | $15166.9B | 8 |
| 3259 | SPDR PORTFOLIO CORPORATE BON 78464A144 | $15155.3B | 10 |
| 3260 | INNOVATOR ETFS TRUST 45783Y780 | $15146.0B | 5 |
| 3261 | MISSION PRODUCE INC 60510V108 | $15139.8B | 5 |
| 3262 | BANK OF NT BUTTERFIELD&SON L G0772R208 | $15139.1B | 12 |
| 3263 | INVESCO EXCH TRADED FD TR II 46138G870 | $15076.6B | 15 |
| 3264 | EMBECTA CORP 29082K105 | $15071.5B | 25 |
| 3265 | GENMAB A/S 372303206 | $15064.4B | 20 |
| 3266 | DOCUSIGN INC 256163906 | $15040.5B | 2 |
| 3267 | APPLIED THERAPEUTICS INC 03828A101 | $15015.5B | 8 |
| 3268 | FIRST BANCSHARES MS COM 318916103 | $15012.8B | 5 |
| 3269 | FIRST TRUST CLOUD COMPUTING ETF 33734X192 | $15009.4B | 17 |
| 3270 | PNC FINL SVCS GROUP INC 693475955 | $15002.2B | 2 |
| 3271 | ACUSHNET HLDGS CORP 005098108 | $14999.1B | 15 |
| 3272 | PROVIDENT FINL SVCS INC 74386T105 | $14996.3B | 17 |
| 3273 | CIRCLE INTERNET GROUP INC 172573957 | $14983.6B | 2 |
| 3274 | ISHARES FUTURE AI & TECH ETF 46435U556 | $14977.6B | 19 |
| 3275 | NATWEST GROUP PLC 639057207 | $14973.9B | 21 |
| 3276 | C3 AI INC 12468P104 | $14968.5B | 27 |
| 3277 | DANA INC 235825205 | $14942.6B | 17 |
| 3278 | OVERLAY SHARES LARGE CAP EQ 53656F805 | $14941.5B | 5 |
| 3279 | INNOVIVA INC 45781MAD3 | $14936.1B | 2 |
| 3280 | TRAVERE THERAPEUTICS INC 89422G107 | $14931.3B | 9 |
| 3281 | CALIFORNIA WTR SVC GROUP 130788102 | $14919.1B | 21 |
| 3282 | EA SERIES TRUST 02072L565 | $14917.2B | 15 |
| 3283 | ABACUS GLOBAL MGMT INC 00258Y104 | $14908.0B | 5 |
| 3284 | SIMPLIFY MBS ETF 82889N525 | $14900.4B | 7 |
| 3285 | ERASCA INC 29479A108 | $14892.1B | 8 |
| 3286 | OLD SECOND BANCORP INC ILL 680277100 | $14883.4B | 7 |
| 3287 | KKR & CO INC 48251W904 | $14871.9B | 2 |
| 3288 | ARVINAS INC 04335A105 | $14860.4B | 8 |
| 3289 | ODDITY TECH LTD M7518J104 | $14859.4B | 11 |
| 3290 | FIFTH THIRD BANCORP 316773950 | $14823.5B | 2 |
| 3291 | GLOBAL X FDS 37954Y657 | $14818.3B | 18 |
| 3292 | VICTORY PORTFOLIOS II 92647N568 | $14805.8B | 4 |
| 3293 | SPDR INDEX SHS FDS 78463X533 | $14803.8B | 11 |
| 3294 | SUMMIT THERAPEUTICS INC 86627T108 | $14799.6B | 12 |
| 3295 | FT VEST U.S. EQUITY DEEP BUFFER ETF - DECEMBER 33740U406 | $14786.0B | 7 |
| 3296 | TREACE MED CONCEPTS INC 89455T109 | $14731.8B | 7 |
| 3297 | BARCLAYS PLC 06738E204 | $14717.5B | 18 |
| 3298 | WisdomTree International High Dividend Fund 97717W802 | $14714.3B | 10 |
| 3299 | CHIPOTLE MEXICAN GRILL INC 169656955 | $14710.8B | 3 |
| 3300 | INFORMATICA INC 45674M101 | $14704.3B | 8 |
| 3301 | PIMCO CORPORATE & INCOME OPP 72201B101 | $14691.1B | 13 |
| 3302 | METHANEX CORP 59151K108 | $14663.8B | 10 |
| 3303 | FIRST TR EXCHNG TRADED FD VI 33740F771 | $14655.6B | 9 |
| 3304 | NOVAVAX INC 670002401 | $14634.4B | 18 |
| 3305 | ISHARES MSCI CHINA ETF 46429B671 | $14633.5B | 15 |
| 3306 | KRANESHARES QUADRATIC INTEREST RATE VOLATILITY AND INFLATION HEDGE ETF 500767736 | $14629.4B | 7 |
| 3307 | HOPE BANCORP INC 43940T109 | $14622.9B | 16 |
| 3308 | DR REDDYS LABS LTD 256135203 | $14620.1B | 16 |
| 3309 | International Bancshares Corp 459044103 | $14611.5B | 11 |
| 3310 | EXACT SCIENCES CORP 30063PAB1 | $14585.4B | 4 |
| 3311 | MINERALS TECHNOLOGIES INC 603158106 | $14582.5B | 16 |
| 3312 | Innovator U.S. Small Cap Power Buffer ETF - January 45782C474 | $14554.9B | 4 |
| 3313 | PRIVIA HEALTH GROUP INC 74276R102 | $14549.2B | 13 |
| 3314 | CARTERS INC 146229109 | $14539.0B | 13 |
| 3315 | AT&T INC 00206R952 | $14534.9B | 2 |
| 3316 | INNOVATOR ETFS TRUST 45783Y848 | $14520.2B | 4 |
| 3317 | INNOVATOR ETFS TRUST 45783Y301 | $14495.3B | 5 |
| 3318 | KT CORP SPONSORED ADR 48268K101 | $14489.7B | 14 |
| 3319 | WISDOMTREE TR 97717W430 | $14470.9B | 4 |
| 3320 | BLOCK INC 852234AK9 | $14443.2B | 3 |
| 3321 | J P MORGAN EXCHANGE TRADED F 46641Q126 | $14442.7B | 7 |
| 3322 | ISHARES TR 464288372 | $14436.1B | 17 |
| 3323 | ELECTRONIC ARTS INC 285512959 | $14414.9B | 2 |
| 3324 | INVSC INTL DVDND ACHVRS 46137V548 | $14398.3B | 10 |
| 3325 | ORIGIN BANCORP INC 68621T102 | $14396.6B | 5 |
| 3326 | DOW INC 260557953 | $14385.9B | 2 |
| 3327 | AQUESTIVE THERAPEUTICS INC 03843E104 | $14373.7B | 8 |
| 3328 | LUCID GROUP INC 549498952 | $14373.1B | 2 |
| 3329 | WORTHINGTON ENTERPRISES INC 981811102 | $14370.8B | 16 |
| 3330 | ORASURE TECHNOLOGIES INC 68554V108 | $14361.9B | 10 |
| 3331 | ISHARES INTERNATIONAL TREASU 464288117 | $14353.0B | 7 |
| 3332 | EXPAND ENERGY CORPORATION 165167905 | $14346.8B | 2 |
| 3333 | METAGENOMI INC 59102M104 | $14344.2B | 6 |
| 3334 | NORWEGIAN CRUISE LINE HLDG L G66721954 | $14334.6B | 2 |
| 3335 | BLACKROCK, INC. 464286749 | $14323.2B | 10 |
| 3336 | INVESCO EXCH TRADED FD TR II 46138E230 | $14317.3B | 5 |
| 3337 | ENACT HLDGS INC 29249E109 | $14312.1B | 13 |
| 3338 | COINBASE GLOBAL INC 19260QAF4 | $14305.9B | 3 |
| 3339 | IONIS PHARMACEUTICALS INC 462222AD2 | $14271.8B | 2 |
| 3340 | ADAMS DIVERSIFIED EQUITY FD 006212104 | $14266.9B | 11 |
| 3341 | WISDMTREE EMERG MKT EX-ST OW 97717X578 | $14266.4B | 14 |
| 3342 | GDS HLDGS LTD 36165L108 | $14247.5B | 10 |
| 3343 | VIVID SEATS INC 92854T100 | $14247.5B | 6 |
| 3344 | ACTIVEPASSIVE US EQUITY ETF 89834G729 | $14224.2B | 4 |
| 3345 | KB FINL GROUP INC 48241A105 | $14214.4B | 17 |
| 3346 | CADENCE DESIGN SYSTEM INC 127387958 | $14199.4B | 2 |
| 3347 | SPDR SERIES TRUST 78464A656 | $14196.4B | 11 |
| 3348 | ANI Pharmaceuticals Inc 00182C103 | $14188.3B | 13 |
| 3349 | WORKIVA INC 98139AAB1 | $14179.8B | 2 |
| 3350 | LINDBLAD EXPEDITIONS HLDGS I 535219109 | $14174.4B | 7 |
| 3351 | US BANCORP DEL 902973954 | $14171.9B | 3 |
| 3352 | INTELLIA THERAPEUTICS INC 45826J105 | $14170.9B | 16 |
| 3353 | FIDELITY NATL INFORMATION SV 31620M906 | $14162.6B | 2 |
| 3354 | LIVANOVA PLC G5509L101 | $14153.6B | 13 |
| 3355 | XTRS LOW BETA HI YIELD ETF 233051267 | $14145.8B | 2 |
| 3356 | PROSHARES ULTRA S&P 500 74347R107 | $14121.0B | 18 |
| 3357 | Pacer Swan SOS Flex April ETF 69374H477 | $14119.9B | 2 |
| 3358 | WISDOMTREE TR 97717W844 | $14104.1B | 5 |
| 3359 | INNOVATOR LADDERED ALLOCATION 45783Y814 | $14080.6B | 7 |
| 3360 | SELECT SECTOR SPDR TR 81369Y908 | $14062.1B | 2 |
| 3361 | KINDER MORGAN INC DEL 49456B951 | $14041.3B | 2 |
| 3362 | ARDENT HEALTH INC 03980N107 | $14023.6B | 7 |
| 3363 | SSGA ACTIVE TR 78470P408 | $14019.2B | 11 |
| 3364 | AKAMAI TECHNOLOGIES INC 00971TAL5 | $13983.6B | 8 |
| 3365 | COGENT COMMUNICATIONS HLDGS 19239V302 | $13978.2B | 12 |
| 3366 | AMERICAN WTR WKS CO INC NEW 030420953 | $13960.8B | 2 |
| 3367 | BLACKBERRY LTD COM 09228F103 | $13960.7B | 12 |
| 3368 | INSPERITY INC 45778Q107 | $13948.4B | 13 |
| 3369 | ALPHA METALLURGICAL RESOUR I 020764106 | $13936.2B | 14 |
| 3370 | AT&T INC 00206R902 | $13933.6B | 2 |
| 3371 | ARRAY DIGITAL INFRASTRUCTURE 911684108 | $13928.3B | 6 |
| 3372 | ALNYLAM PHARMACEUTICALS INC 02043QAB3 | $13915.9B | 4 |
| 3373 | SCREAMING EAGLE ACQUISITN CO G79407105 | $13910.0B | 2 |
| 3374 | ALKAMI TECHNOLOGY INC 01644J108 | $13896.4B | 9 |
| 3375 | WISDOMTREE TR 97717X651 | $13873.7B | 12 |
| 3376 | LISTED FDS TR 53656F854 | $13858.1B | 2 |
| 3377 | DIREXION DAILY SEMICONDUCTOR BULL 3X SHARES 25459W458 | $13843.7B | 7 |
| 3378 | ENERFLEX LTD 29269R105 | $13817.8B | 7 |
| 3379 | VANECK ETF TRUST 92189H957 | $13817.6B | 2 |
| 3380 | APOLLO COML REAL EST FIN INC 03762U105 | $13806.1B | 15 |
| 3381 | VANECK SHORT MUNI ETF 92189F528 | $13790.8B | 11 |
| 3382 | PHILIP MORRIS INTL INC 718172959 | $13782.8B | 2 |
| 3383 | DIGITALOCEAN HLDGS INC 25402DAB8 | $13760.7B | 2 |
| 3384 | ISHARES TR 464287956 | $13758.5B | 2 |
| 3385 | PHILLIPS 66 718546904 | $13753.8B | 2 |
| 3386 | Red Rock Resorts Inc 75700L108 | $13732.7B | 8 |
| 3387 | AMERICAS CAR-MART INC 03062T105 | $13730.4B | 7 |
| 3388 | LAS VEGAS SANDS CORP 517834907 | $13727.2B | 2 |
| 3389 | VANECK ETF TRUST 92189H907 | $13722.7B | 2 |
| 3390 | DIAMONDROCK HOSPITALITY CO 252784301 | $13720.5B | 13 |
| 3391 | INNOVATOR ETFS TRUST 45783Y889 | $13709.1B | 6 |
| 3392 | Andersons Inc/The 034164103 | $13708.2B | 7 |
| 3393 | INVESCO S&P MIDCAP 400 GARP 46137V225 | $13701.8B | 4 |
| 3394 | Udemy Inc 902685106 | $13681.1B | 7 |
| 3395 | SPDR SERIES TRUST 78468R804 | $13663.3B | 10 |
| 3396 | THERMO FISHER SCIENTIFIC INC 883556952 | $13646.7B | 2 |
| 3397 | AMRIZE LTD H2927K103 | $13644.4B | 11 |
| 3398 | BUSINESS FIRST BANCSHARES INC COM 12326C105 | $13643.1B | 10 |
| 3399 | AIM ETF PRODUCTS TRUST 00888H802 | $13637.3B | 7 |
| 3400 | J P MORGAN EXCHANGE TRADED F 46641Q407 | $13632.7B | 8 |
| 3401 | MICROCHIP TECHNOLOGY INC. 595017954 | $13624.3B | 2 |
| 3402 | STRATEGIC ED INC 86272C103 | $13624.1B | 12 |
| 3403 | GE VERNOVA INC 36828A951 | $13623.4B | 2 |
| 3404 | FIRST HAWAIIAN INC 32051X108 | $13623.2B | 11 |
| 3405 | ISHARES TR 464288182 | $13595.5B | 9 |
| 3406 | SCHWAB 1-5 YR CORP BND ETF 808524714 | $13570.3B | 10 |
| 3407 | STURM RUGER 864159108 | $13567.2B | 13 |
| 3408 | STMICROELECTRONICS N V 861012102 | $13550.7B | 18 |
| 3409 | SNDL INC 83307B101 | $13550.2B | 7 |
| 3410 | REGENXBIO INC 75901B107 | $13544.1B | 8 |
| 3411 | SPDR INDEX SHS FDS 78463X202 | $13538.4B | 18 |
| 3412 | CAPITAL GRP FIXED INCM ETF T 14020Y508 | $13534.8B | 11 |
| 3413 | LINEAGE INC 53566V106 | $13528.8B | 8 |
| 3414 | 4D MOLECULAR THERAPEUTICS IN 35104E100 | $13519.1B | 6 |
| 3415 | INVESCO LTD. 46138G805 | $13514.0B | 12 |
| 3416 | FIRST TR EXCHNG TRADED FD VI 33740U786 | $13503.5B | 6 |
| 3417 | SOUTH PLAINS FINANCIAL INC 83946P107 | $13488.4B | 4 |
| 3418 | ALCOA CORP 013872956 | $13484.9B | 2 |
| 3419 | BROOKFIELD INFRASTRUCTURE CO 11275Q107 | $13484.5B | 7 |
| 3420 | PLAYTIKA HLDG CORP 72815L107 | $13480.4B | 11 |
| 3421 | ANTERIX INC 03676C100 | $13462.4B | 7 |
| 3422 | FIRST TR EXCH TRADED FD III 33738D820 | $13462.2B | 3 |
| 3423 | JOHN HANCOCK EXCHANGE TRADED 47804J859 | $13452.2B | 6 |
| 3424 | PITNEY BOWES INC 724479100 | $13451.0B | 13 |
| 3425 | LIVERAMP HLDGS INC 53815P108 | $13447.8B | 14 |
| 3426 | DANAHER CORPORATION 235851952 | $13430.7B | 2 |
| 3427 | FIRST TR EXCHANGE TRADED FD 33734X150 | $13417.0B | 14 |
| 3428 | MAXLINEAR INC 57776J100 | $13413.1B | 12 |
| 3429 | ISHARES TR 46434V381 | $13389.8B | 16 |
| 3430 | INVESCO BULLETSHARES 2033 CB 46139W825 | $13387.9B | 6 |
| 3431 | ETON PHARMACEUTICALS INC 29772L108 | $13383.4B | 6 |
| 3432 | CARNIVAL PLC 14365C103 | $13373.0B | 9 |
| 3433 | TASEKO MINES LTD 876511106 | $13360.4B | 8 |
| 3434 | RINGCENTRAL INC 76680RAH0 | $13348.8B | 3 |
| 3435 | RIGETTI COMPUTING INC 76655K103 | $13345.1B | 19 |
| 3436 | NATIONAL HEALTHCARE CORP 635906100 | $13317.0B | 10 |
| 3437 | Alamo Group Inc 011311107 | $13295.8B | 14 |
| 3438 | DIAMONDBACK ENERGY INC 25278X959 | $13294.2B | 2 |
| 3439 | THE TRADE DESK INC 88339J905 | $13285.1B | 2 |
| 3440 | PG&E CORP 69331C908 | $13282.4B | 2 |
| 3441 | RENEW ENERGY GLOBAL PLC G7500M104 | $13270.5B | 8 |
| 3442 | BROOKDALE SR LIVING INC 112463104 | $13256.0B | 8 |
| 3443 | VERICEL CORP 92346J108 | $13254.7B | 15 |
| 3444 | SMITH & NEPHEW PLC 83175M205 | $13252.2B | 18 |
| 3445 | INDEPENDENT BK CORP MICH 453838609 | $13240.7B | 6 |
| 3446 | ASTEC INDS INC 046224101 | $13237.2B | 7 |
| 3447 | UPBOUND GROUP INC 76009N100 | $13231.7B | 13 |
| 3448 | INVESCO DB US DOLLAR INDEX B 46141D203 | $13225.0B | 4 |
| 3449 | ISHARES TR 46436E486 | $13222.7B | 8 |
| 3450 | NEWAMSTERDAM PHARMA COMPANY N62509109 | $13222.7B | 7 |
| 3451 | KLARNA GROUP PLC F G5279N105 | $13221.5B | 2 |
| 3452 | OUTFRONT MEDIA INC 69007J106 | $13207.4B | 7 |
| 3453 | ETF SER SOLUTIONS 26922B105 | $13162.9B | 2 |
| 3454 | FRANKLIN BSP RLTY TR INC 35243J101 | $13150.8B | 14 |
| 3455 | TRINITY INDS INC 896522109 | $13127.0B | 17 |
| 3456 | WISDOMTREE TR 97717Y634 | $13118.8B | 4 |
| 3457 | DUPONT DE NEMOURS INC 26614N952 | $13091.8B | 2 |
| 3458 | DRAFTKINGS INC NEW 26142RAB0 | $13084.7B | 4 |
| 3459 | INVESCO EXCH TRD SLF IDX FD 46138J494 | $13081.6B | 10 |
| 3460 | SPROTT FDS TR 85208P303 | $13053.4B | 13 |
| 3461 | SPROTT INC 852066208 | $13046.4B | 10 |
| 3462 | NUSCALE PWR CORP 67079K100 | $13035.7B | 29 |
| 3463 | CAMDEN NATL CORP 133034108 | $13015.7B | 10 |
| 3464 | MARRIOTT VACATIONS WORLDWIDE 57164YAF4 | $13015.4B | 4 |
| 3465 | BLACKROCK WRLD X US CARBON 09290C608 | $13007.3B | 8 |
| 3466 | CENTRAL GARDEN & PET CO 153527205 | $13005.7B | 10 |
| 3467 | INNOVATOR U S 45782C656 | $13002.9B | 12 |
| 3468 | ISHARES TR 46436E205 | $13001.0B | 12 |
| 3469 | BANCO BRADESCO S A 059460303 | $12997.8B | 11 |
| 3470 | ISHARES TR 464288521 | $12980.8B | 19 |
| 3471 | CODEXIS INC 192005106 | $12972.5B | 9 |
| 3472 | APPLIED DIGITAL CORP 038169207 | $12942.6B | 18 |
| 3473 | ALBERTSONS COS INC 013091903 | $12913.6B | 2 |
| 3474 | SPARTANNASH CO 847215100 | $12888.7B | 9 |
| 3475 | D R HORTON INC 23331A959 | $12886.5B | 2 |
| 3476 | ZIM INTEGRATED SHIPPING SERV M9T951109 | $12880.4B | 13 |
| 3477 | HARTFORD FDS EXCHANGE TRADED 41653L404 | $12880.3B | 4 |
| 3478 | PGIM ACTIVE HIGH YIELD BOND ETF 69344A206 | $12859.2B | 5 |
| 3479 | CION INVT CORP 17259U204 | $12857.0B | 10 |
| 3480 | NETSTREIT CORP 64119V303 | $12851.5B | 11 |
| 3481 | NXP SEMICONDUCTORS N V N6596X909 | $12849.6B | 2 |
| 3482 | ISHARES ESG SELECT SCREENED S& 46436E551 | $12849.1B | 8 |
| 3483 | ARTERIS INC 04302A104 | $12844.2B | 6 |
| 3484 | COASTAL FINL CORP WA COM NEW 19046P209 | $12833.7B | 7 |
| 3485 | PROPETRO HLDG CORP 74347M108 | $12816.1B | 11 |
| 3486 | ISHARES MSCI SOUTH AFRICA ET 464286780 | $12804.0B | 3 |
| 3487 | REGIONS FINANCIAL CORP NEW 7591EP900 | $12803.1B | 2 |
| 3488 | Fresh Del Monte Produce Inc G36738105 | $12789.6B | 11 |
| 3489 | FIRST TR EXCH TRD ALPHDX FD 33737J174 | $12779.9B | 15 |
| 3490 | BROOKFIELD REAL ASSETS INC FD 112830104 | $12769.7B | 3 |
| 3491 | WISDOMTREE TR 97717X172 | $12768.0B | 8 |
| 3492 | ISHARES TOTAL RETURN ACTIVE ET 092528876 | $12764.2B | 3 |
| 3493 | JFROG LTD M6191J100 | $12759.1B | 16 |
| 3494 | VISHAY INTERTECHNOLOGY INC 928298108 | $12757.0B | 15 |
| 3495 | QUANEX BLDG PRODS CORP 747619104 | $12719.6B | 11 |
| 3496 | BITWISE CRYPTO IND INNOV ETF 301505624 | $12716.6B | 7 |
| 3497 | UMH PPTYS INC 903002103 | $12699.3B | 15 |
| 3498 | BNY MELLON CONCENTRATED INTL 09661T834 | $12687.8B | 3 |
| 3499 | Equitrans Midstream Corp 294600101 | $12683.6B | 4 |
| 3500 | UPWORK INC 91688F104 | $12641.9B | 13 |
| 3501 | ABIVAX SA 00370M103 | $12641.1B | 4 |
| 3502 | OWENS & MINOR INC NEW 690732102 | $12636.6B | 12 |
| 3503 | EASTERN BANKSHARES INC 27627N105 | $12616.3B | 16 |
| 3504 | INVESCO EXCH TRD SLF IDX FD 46138J841 | $12615.7B | 6 |
| 3505 | WISDOMTREE TR 97717X511 | $12610.9B | 11 |
| 3506 | TITAN MACHY INC 88830R101 | $12605.0B | 8 |
| 3507 | JBS N.V. N4732M103 | $12601.5B | 4 |
| 3508 | BRIDGEBIO PHARMA INC 10806XAD4 | $12588.3B | 2 |
| 3509 | ENERGIZER HLDGS INC NEW 29272W109 | $12578.7B | 14 |
| 3510 | ARTIVION INC 228903100 | $12573.3B | 11 |
| 3511 | BANCO SANTANDER SA 05964H105 | $12556.9B | 27 |
| 3512 | FIDELITY COVINGTON TRUST 316092204 | $12555.1B | 19 |
| 3513 | DIGITALOCEAN HLDGS INC 25402D102 | $12554.6B | 16 |
| 3514 | GRAINGER W W INC 384802954 | $12551.3B | 2 |
| 3515 | PRAXIS PRECISION MEDICINES I 74006W207 | $12548.6B | 9 |
| 3516 | BONDBLOXX ETF TRUST 09789C861 | $12543.1B | 4 |
| 3517 | VANGUARD S&P MID-CAP 400 VALUE ETF 921932844 | $12523.6B | 11 |
| 3518 | COMMERCE.COM INC 08975P108 | $12504.5B | 8 |
| 3519 | EMPLOYERS HLDGS INC 292218104 | $12495.1B | 13 |
| 3520 | MARATHON PETE CORP 56585A902 | $12473.5B | 2 |
| 3521 | AMERICAN AXLE & MFG HLDGS IN 024061103 | $12465.1B | 14 |
| 3522 | TELADOC HEALTH INC 87918AAF2 | $12455.0B | 3 |
| 3523 | CELSIUS HLDGS INC 15118V957 | $12417.8B | 2 |
| 3524 | VANECK CEF MUNI INCOME ETF 92189F460 | $12410.9B | 4 |
| 3525 | LISTED FDS TR 53656F862 | $12402.6B | 4 |
| 3526 | ANALOG DEVICES INC 032654905 | $12369.9B | 2 |
| 3527 | DIMENSIONAL INFLTN PRTD 25434V856 | $12367.5B | 10 |
| 3528 | ISHARES TR 46436E841 | $12364.8B | 14 |
| 3529 | ADVANCE AUTO PARTS INC COM 00751Y106 | $12355.6B | 16 |
| 3530 | PENNYMAC MTG INVT TR 70931T103 | $12349.5B | 13 |
| 3531 | COMMSCOPE HLDG CO INC 20337X109 | $12323.4B | 8 |
| 3532 | PG&E CORP 69331C306 | $12316.7B | 5 |
| 3533 | ENOVIX CORP 293594107 | $12316.2B | 19 |
| 3534 | EMERA INC 290876101 | $12304.9B | 2 |
| 3535 | SCHOLAR ROCK HLDG CORP 80706P103 | $12302.6B | 11 |
| 3536 | ROCKET PHARMACEUTICALS INC 77313F106 | $12302.0B | 13 |
| 3537 | DIAMONDBACK ENERGY INC 25278X909 | $12295.9B | 2 |
| 3538 | GIBRALTAR INDS INC 374689107 | $12291.6B | 12 |
| 3539 | XP INC G98239109 | $12274.2B | 13 |
| 3540 | UNIVERSAL TECHNICAL INST INC 913915104 | $12239.3B | 11 |
| 3541 | INNOVATOR ETFS TRUST 45782C318 | $12239.1B | 9 |
| 3542 | WINNEBAGO INDS INC 974637100 | $12232.3B | 14 |
| 3543 | STRATEGY INC SERIES A PERP PF 594972887 | $12223.8B | 4 |
| 3544 | WIPRO LTD 97651M109 | $12207.9B | 15 |
| 3545 | SHAKE SHACK INC 819047AB7 | $12206.2B | 3 |
| 3546 | BOLD EAGLE ACQUISITION CORP G2003N105 | $12196.8B | 3 |
| 3547 | VANGUARD SCOTTSDALE FDS 92206C573 | $12187.8B | 6 |
| 3548 | AMC NETWORKS INC 00164V103 | $12181.4B | 10 |
| 3549 | GOSSAMER BIO INC 38341PAA0 | $12178.9B | 2 |
| 3550 | FIRST TR EXCHNG TRADED FD VI 33740F615 | $12154.8B | 9 |
| 3551 | PENSKE AUTOMOTIVE GRP INC 70959W103 | $12129.3B | 18 |
| 3552 | INVESCO S&P 500 EQUAL WEIGHT 46137V340 | $12107.9B | 6 |
| 3553 | ACADIA PHARMACEUTICALS INC 004225108 | $12087.9B | 13 |
| 3554 | FIDELITY COVINGTON TRUST 316092402 | $12074.6B | 14 |
| 3555 | GCM GROSVENOR INC 36831E108 | $12061.7B | 5 |
| 3556 | JPM DIVER RET US MC EQUITY 46641Q886 | $12059.6B | 8 |
| 3557 | FRANKLIN FTSE INDIA ETF 35473P769 | $12054.8B | 10 |
| 3558 | KENNAMETAL INC COM 489170100 | $12027.3B | 12 |
| 3559 | AIM ETF PRODUCTS TRUST 00888H208 | $12019.3B | 3 |
| 3560 | TWIST BIOSCIENCE CORP 90184D100 | $11997.8B | 15 |
| 3561 | CASSAVA SCIENCES INC 14817C107 | $11995.0B | 10 |
| 3562 | HAWAIIAN ELEC INDUSTRIES 419870100 | $11969.0B | 16 |
| 3563 | MYR GROUP INC DEL 55405W104 | $11960.1B | 12 |
| 3564 | NOMAD FOODS LTD G6564A105 | $11959.1B | 10 |
| 3565 | INVESCO EXCH TRD SLF IDX FD 46138J510 | $11943.5B | 10 |
| 3566 | PRIMIS FINANCIAL CORP COM 74167B109 | $11927.2B | 7 |
| 3567 | EVERBRIDGE INC 29978A104 | $11914.8B | 2 |
| 3568 | MOSAIC CO NEW 61945C903 | $11898.7B | 2 |
| 3569 | WERNER ENTERPRISES INC 950755108 | $11893.7B | 14 |
| 3570 | BIOCRYST PHARMACEUTICALS INC 09058V103 | $11890.7B | 12 |
| 3571 | FREEDOM 100 EMERGING MARKETS ETF 02072L607 | $11876.5B | 12 |
| 3572 | LISTED FDS TR 53656F581 | $11864.5B | 4 |
| 3573 | CAPITAL SOUTHWEST CORP 140501107 | $11857.2B | 9 |
| 3574 | PROSHARES TR 74347G416 | $11844.3B | 7 |
| 3575 | INNOVIZ TECHNOLOGIES LTD M5R635108 | $11843.6B | 7 |
| 3576 | GALIANO GOLD INC 36352H100 | $11843.3B | 3 |
| 3577 | TIDAL TRUST I 886364231 | $11822.9B | 9 |
| 3578 | ONESPAWORLD HOLDINGS LIMITED P73684113 | $11822.4B | 9 |
| 3579 | BOWMAN CONSULTING GROUP LTD 103002101 | $11820.3B | 4 |
| 3580 | PG&E CORP 69331CAL2 | $11811.6B | 5 |
| 3581 | BIODESIX INC 09075X108 | $11810.0B | 4 |
| 3582 | FORWARD AIR CORP COM 349853101 | $11807.4B | 7 |
| 3583 | LEMAITRE VASCULAR INC 525558201 | $11807.1B | 14 |
| 3584 | MARRIOTT VACATIONS WORLDWIDE 57164Y107 | $11797.8B | 17 |
| 3585 | HUB GROUP INC 443320106 | $11796.4B | 17 |
| 3586 | MICROVAST HOLDINGS INC 59516C106 | $11763.8B | 4 |
| 3587 | FREEDOM HLDG CORP NEV 356390104 | $11750.0B | 3 |
| 3588 | PAYONEER GLOBAL INC 70451X104 | $11744.2B | 12 |
| 3589 | FRANKLIN INVESTMENT GRADE CO 35473P603 | $11740.2B | 4 |
| 3590 | TAKEDA PHARMACEUTICAL F 874060205 | $11731.2B | 23 |
| 3591 | HEALTHSTREAM INC 42222N103 | $11731.1B | 15 |
| 3592 | WISDOMTREE TR 97717Y477 | $11689.6B | 9 |
| 3593 | AMER SPORTS INC G0260P102 | $11689.1B | 12 |
| 3594 | CORPORACION AMER ARPTS S A L1995B107 | $11663.9B | 3 |
| 3595 | MORGAN STANLEY DIRECT LENDIN 61774A103 | $11650.6B | 7 |
| 3596 | INNOVATOR ETFS TRUST 45782C409 | $11645.7B | 7 |
| 3597 | TIDAL TR II 88634T824 | $11635.5B | 3 |
| 3598 | SOLARIS ENERGY INFRAS INC 83418M103 | $11613.2B | 6 |
| 3599 | QUANTERIX CORP 74766Q101 | $11600.5B | 8 |
| 3600 | INNOVATOR US EQ ULTRA-AUG 45782C672 | $11573.3B | 3 |
| 3601 | RANGER ENERGY SVCS INC 75282U104 | $11556.5B | 7 |
| 3602 | CUSTOMERS BANCORP INC 23204G100 | $11555.0B | 12 |
| 3603 | ISHARES 1-3 YEAR INTL TRBND ETF 464288125 | $11543.4B | 6 |
| 3604 | BAKER HUGHES COMPANY 05722G900 | $11526.2B | 2 |
| 3605 | SUNSTONE HOTEL INVS INC NEW 867892101 | $11517.7B | 12 |
| 3606 | CENTESSA PHARMACEUTICALS PLC 152309100 | $11478.3B | 6 |
| 3607 | GAMESTOP CORP NEW 36467W909 | $11457.6B | 2 |
| 3608 | GETTY RLTY CORP NEW COM 374297109 | $11453.9B | 16 |
| 3609 | ARDELYX INC 039697107 | $11451.8B | 12 |
| 3610 | VANECK BITCOIN ETF 92189K105 | $11451.6B | 4 |
| 3611 | CHURCHILL CAPITAL CORP IX G21301109 | $11450.1B | 4 |
| 3612 | FIRST TR EXCH TRD ALPHDX FD 33737J802 | $11447.9B | 5 |
| 3613 | PHREESIA INC 71944F106 | $11432.1B | 10 |
| 3614 | VITAL ENERGY INC 516806205 | $11422.8B | 11 |
| 3615 | SPDR BLOOMBERG 1-10 YEAR TIPS ETF 78468R861 | $11421.8B | 7 |
| 3616 | CRONOS GROUP INC COM 22717L101 | $11421.7B | 13 |
| 3617 | AMICUS THERAPEUTICS INC 03152W109 | $11384.6B | 15 |
| 3618 | SOLANA CO 42328V876 | $11371.3B | 2 |
| 3619 | ETFIS SER TR I 26923G806 | $11359.1B | 11 |
| 3620 | AMERICAN AIRLS GROUP INC 02376R902 | $11357.8B | 2 |
| 3621 | FIDELITY NATL INFORMATION SV 31620M956 | $11353.1B | 2 |
| 3622 | MBX BIOSCIENCES INC 55287L101 | $11349.0B | 5 |
| 3623 | GLOBAL X 37954Y830 | $11341.3B | 14 |
| 3624 | BROOKFIELD BUSINESS PARTNERS G16234109 | $11333.9B | 4 |
| 3625 | ROYAL CARIBBEAN GROUP V7780T953 | $11325.3B | 2 |
| 3626 | GOLDMAN SACHS BDC INC 38147U107 | $11320.6B | 14 |
| 3627 | ISHARES MSCI EUROPE FINANCIA 464289180 | $11286.7B | 8 |
| 3628 | VIRTUS INVT PARTNERS INC 92828Q109 | $11280.3B | 11 |
| 3629 | ISHARES U.S. TECH INDEPENDEN 46431W648 | $11271.0B | 6 |
| 3630 | 8X8 INC NEW COM 282914100 | $11268.0B | 9 |
| 3631 | FIRST TR EXCHNG TRADED FD VI 33740F482 | $11267.8B | 9 |
| 3632 | HELEN OF TROY LTD G4388N106 | $11267.4B | 13 |
| 3633 | BANNER CORP 06652V208 | $11266.9B | 10 |
| 3634 | Easterly Government Properties Inc 27616P301 | $11258.4B | 6 |
| 3635 | PEOPLES BANCORP INC 709789101 | $11251.1B | 11 |
| 3636 | EQUINOX GOLD CORP 29446Y502 | $11246.9B | 10 |
| 3637 | FULCRUM THERAPEUTICS INC 359616109 | $11234.0B | 7 |
| 3638 | B & G FOODS INC NEW 05508R106 | $11226.7B | 15 |
| 3639 | ATS CORPORATION 00217Y104 | $11223.5B | 8 |
| 3640 | VICOR CORP 925815102 | $11220.5B | 12 |
| 3641 | ISHARES TR 464289859 | $11211.9B | 16 |
| 3642 | Ethan Allen Interiors Inc 297602104 | $11198.0B | 10 |
| 3643 | FUTU HLDGS LTD 36118L106 | $11187.5B | 17 |
| 3644 | J P MORGAN EXCHANGE TRADED F 46641Q209 | $11180.4B | 7 |
| 3645 | AMERICAN CENTY ETF TR 025072505 | $11179.0B | 10 |
| 3646 | MARTI TECHNOLOGIES INC 573134103 | $11161.5B | 2 |
| 3647 | ISHARES YIELD OPTIMIZED BOND 46434V787 | $11157.6B | 7 |
| 3648 | ON SEMICONDUCTOR CORP 682189AU9 | $11156.1B | 6 |
| 3649 | GOLDMAN SACHS INV GRD CORP 381430479 | $11149.2B | 4 |
| 3650 | INNOVATOR ETFS TRUST 45782C805 | $11146.2B | 11 |
| 3651 | GLOBAL NET LEASE INC 379378201 | $11143.0B | 16 |
| 3652 | AIM ETF PRODUCTS TRUST 00888H570 | $11141.2B | 3 |
| 3653 | SRH TOTAL RETURN CF 101507101 | $11141.0B | 11 |
| 3654 | SUPER GROUP SGHC LIMITED G8588X103 | $11136.5B | 11 |
| 3655 | PROGRESSIVE CORP 743315903 | $11124.5B | 2 |
| 3656 | GLOBAL WTR RES INC 379463102 | $11117.4B | 6 |
| 3657 | ARCELLX INC 03940C100 | $11110.4B | 10 |
| 3658 | DORCHESTER MINERALS LP 25820R105 | $11105.9B | 4 |
| 3659 | CUSTOM TRUCK ONE SOURCE INC 23204X103 | $11080.1B | 8 |
| 3660 | KYMERA THERAPEUTICS INC 501575104 | $11060.4B | 10 |
| 3661 | CONCENTRA GROUP HOLDINGS PAR 20603L102 | $11045.2B | 9 |
| 3662 | FORMFACTOR INC 346375108 | $11043.4B | 17 |
| 3663 | ACELYRIN INC 00445A100 | $11027.4B | 4 |
| 3664 | HNI CORP 404251100 | $11010.7B | 16 |
| 3665 | CANTOR EQUITY PARTNERS I INC G1827K107 | $11006.7B | 4 |
| 3666 | AMERICAN SUPERCONDUCTOR CORP 030111207 | $10996.8B | 10 |
| 3667 | FIRST TRUST CONSUMER STAPLES 33734X119 | $10995.9B | 8 |
| 3668 | TOPGOLF CALLAWAY BRANDS 131193104 | $10992.6B | 18 |
| 3669 | ADTRAN HOLDINGS INC 00486H105 | $10991.0B | 6 |
| 3670 | HARBOR INTL COMPOUNDERS ETF 41151J885 | $10976.3B | 4 |
| 3671 | ASTORIA US EQUAL WT QLT KINGS ETF 02072L433 | $10974.6B | 4 |
| 3672 | INVSC S P 500 EQUAL WGHT 46137V365 | $10953.7B | 16 |
| 3673 | ISHARES MORNINGSTAR SMALL-CA ETF 464288604 | $10935.0B | 9 |
| 3674 | eXp World Holdings Inc 30212W100 | $10932.3B | 12 |
| 3675 | DAVE & BUSTERS ENTMT INC 238337109 | $10921.6B | 12 |
| 3676 | MACH NATURAL RESOURCES LP 55445L100 | $10898.6B | 4 |
| 3677 | IMPINJ INC 453204109 | $10881.3B | 17 |
| 3678 | PROTARA THERAPEUTICS INC 74365U107 | $10872.6B | 3 |
| 3679 | IRSA INVERSIONES Y REP S A 450047303 | $10855.5B | 2 |
| 3680 | FIRST TRUST MATERIALS ALPHAD 33734X168 | $10847.9B | 7 |
| 3681 | JANUS DETROIT STREET TRUST JANUS HENDERSON SMALL CAPGROWTH ALP ETF 47103U100 | $10844.6B | 5 |
| 3682 | MILLERKNOLL INC 600544100 | $10837.4B | 8 |
| 3683 | VINE HILL CAP INVT CORP. G93Y09107 | $10834.0B | 3 |
| 3684 | BENITEC BIOPHARMA INC 08205P209 | $10832.6B | 4 |
| 3685 | HAYMAKER ACQUISITION CORP IV G4375F108 | $10827.0B | 2 |
| 3686 | PROSHARES ULTRA QQQ 74347R206 | $10819.9B | 11 |
| 3687 | BAKER HUGHES COMPANY 05722G950 | $10808.5B | 2 |
| 3688 | BLOCK INC 852234AJ2 | $10803.8B | 3 |
| 3689 | AMERICAN WOODMARK CORPORATIO 030506109 | $10802.4B | 10 |
| 3690 | WORKDAY INC 98138H901 | $10785.2B | 2 |
| 3691 | NCL CORP LTD 62886HBK6 | $10777.6B | 2 |
| 3692 | SAILPOINT INC COM 78781J109 | $10772.4B | 7 |
| 3693 | MONARCH CASINO & RESORT INC 609027107 | $10769.7B | 11 |
| 3694 | INGLES MKTS INC 457030104 | $10769.5B | 12 |
| 3695 | MARAVAI LIFESCIENCES HLDGS I 56600D107 | $10766.3B | 12 |
| 3696 | CROSSAMERICA PARTNERS LP 22758A105 | $10760.2B | 7 |
| 3697 | SPDR S&P NORTH AMERICAN 78463X152 | $10733.7B | 3 |
| 3698 | HERTZ GLOBAL HLDGS INC 42806J148 | $10715.2B | 4 |
| 3699 | VOYAGER TECHNOLOGIES INC 92892B103 | $10703.3B | 4 |
| 3700 | ANYWHERE REAL ESTATE INC 75605Y106 | $10701.5B | 13 |
| 3701 | Daktronics Inc 234264109 | $10696.5B | 9 |
| 3702 | INVESCO CALIFORNIA AMT-FREE 46138E206 | $10695.2B | 8 |
| 3703 | MERCK & CO. INC. 58933y105 | $10692.4B | 2 |
| 3704 | ALBEMARLE CORP 012653901 | $10687.1B | 2 |
| 3705 | WISDOMTREE EQUITY 97717X560 | $10685.1B | 6 |
| 3706 | INTERFACE INC 458665304 | $10680.9B | 13 |
| 3707 | RENASANT CORP 75970E107 | $10680.4B | 13 |
| 3708 | SSGA ACTIVE ETF TR 78467V707 | $10666.6B | 10 |
| 3709 | PARAMOUNT SKYDANCE CORP 69932A204 | $10652.8B | 12 |
| 3710 | INVESCO S&P SMALLCAP VALUE W 46137V480 | $10648.5B | 11 |
| 3711 | APARTMENT INVT AND MGMT CO 03748R747 | $10647.6B | 12 |
| 3712 | MANCHESTER UTD PLC NEW G5784H106 | $10646.8B | 6 |
| 3713 | EBAY INC. 278642953 | $10633.6B | 2 |
| 3714 | NATIONAL HEALTH INVS INC 63633D104 | $10618.4B | 18 |
| 3715 | PRICE T ROWE GROUP INC 74144T908 | $10613.5B | 2 |
| 3716 | KULICKE & SOFFA INDS INC 501242101 | $10611.5B | 14 |
| 3717 | ISHARES CURRENCY HEDGED MSCI 46434V639 | $10583.5B | 3 |
| 3718 | CNA FINL CORP COM 126117100 | $10576.7B | 15 |
| 3719 | ISHARES GLOBAL HEALTHCARE ETF 464287325 | $10573.5B | 10 |
| 3720 | PACER FDS TR 69374H717 | $10569.4B | 6 |
| 3721 | PARK NATL CORP 700658107 | $10564.8B | 13 |
| 3722 | GOSSAMER BIO INC 38341P102 | $10551.4B | 6 |
| 3723 | DIMENSIONAL GLOBAL 25434V567 | $10548.7B | 7 |
| 3724 | ANNALY CAPITAL MANAGEMENT IN 035710959 | $10536.8B | 2 |
| 3725 | Navient Corp 63938C108 | $10527.3B | 11 |
| 3726 | HERITAGE FINL CORP WASH 42722X106 | $10517.2B | 8 |
| 3727 | LIMBACH HLDGS INC 53263P105 | $10502.7B | 11 |
| 3728 | CATERPILLAR INC 149123901 | $10486.6B | 2 |
| 3729 | GLOBAL X 37960A438 | $10474.1B | 3 |
| 3730 | ATRENEW INC 00138L108 | $10467.4B | 3 |
| 3731 | INVESCO BULLETSHARES 2032 CB 46139W858 | $10464.4B | 6 |
| 3732 | NUVEEN ESG SMALL-CAP ETF 67092P607 | $10460.7B | 13 |
| 3733 | SKYE BIOSCIENCEINC 83086J200 | $10448.1B | 2 |
| 3734 | SAFEHOLD INC 78646V107 | $10446.2B | 9 |
| 3735 | DBX ETF TR 233051283 | $10445.8B | 3 |
| 3736 | MARQETA INC 57142B104 | $10435.7B | 12 |
| 3737 | INNOVATOR ETFS TRUST 45782C888 | $10425.3B | 10 |
| 3738 | SK TELECOM CO LTD 78440P306 | $10422.0B | 13 |
| 3739 | CIVEO CORP CDA 17878Y207 | $10419.6B | 4 |
| 3740 | ACADIA RLTY TR 004239109 | $10395.8B | 11 |
| 3741 | BIGBEAR AI HLDGS INC COM 08975B109 | $10365.8B | 9 |
| 3742 | ISHARES INC 464286952 | $10362.8B | 2 |
| 3743 | SUPER MICRO COMPutER INC 86800U952 | $10359.8B | 2 |
| 3744 | PACER LUNT MIDCAP MULT-FACT 69374H725 | $10352.8B | 5 |
| 3745 | LOGITECH INTL S A H50430232 | $10346.4B | 21 |
| 3746 | PERMA-FIX ENVIRONMENTAL SVCS 714157203 | $10331.2B | 4 |
| 3747 | EMBRAER S.A. 29082A107 | $10317.3B | 16 |
| 3748 | PROSHARES SHORT S&P500 74349Y753 | $10289.0B | 6 |
| 3749 | HCI GROUP INC 40416E103 | $10273.9B | 12 |
| 3750 | SLIDE INS HLDGS INC 831349105 | $10254.2B | 3 |
| 3751 | SOCIEDAD QUIMICA Y MINERA DE 833635105 | $10247.6B | 12 |
| 3752 | MERCANTILE BK CORP COM 587376104 | $10239.0B | 9 |
| 3753 | WOLVERINE WORLD WIDE INC 978097103 | $10238.8B | 12 |
| 3754 | BIOMARIN PHARMACEUTICAL INC 09061GAK7 | $10234.3B | 5 |
| 3755 | UNITI GROUP INC 91325V108 | $10208.4B | 12 |
| 3756 | VALUED ADVISERS TR 92046L338 | $10202.5B | 3 |
| 3757 | CME GROUP INC 12572Q955 | $10186.3B | 2 |
| 3758 | STRATEGY SHS 86280R803 | $10181.0B | 3 |
| 3759 | JOHN HANCOCK EXCHANGE TRADED 47804J107 | $10173.3B | 7 |
| 3760 | HCA HEALTHCARE INC 40412C951 | $10162.5B | 2 |
| 3761 | INVESCO S&P MIDCAP 400 REV 46138G672 | $10161.9B | 10 |
| 3762 | FIDELITY COVINGTON TRUST 316092824 | $10160.8B | 9 |
| 3763 | FIRST TRUST EMERGING MARKETS 33737J307 | $10160.1B | 2 |
| 3764 | KELLY SVCS INC 488152208 | $10138.9B | 11 |
| 3765 | FIDELITY MSCI MATERIALS INDX 316092881 | $10130.1B | 6 |
| 3766 | RELAY THERAPEUTICS INC 75943R102 | $10126.8B | 10 |
| 3767 | NORTHROP GRUMMAN CORP 666807952 | $10119.8B | 2 |
| 3768 | MediaAlpha Inc 58450V104 | $10082.8B | 6 |
| 3769 | FRONTIER GROUP HLDGS INC 35909R108 | $10080.9B | 5 |
| 3770 | FT VEST US EQUITY MODERATE BUFFER ETF - DECEMBER 33740U679 | $10079.0B | 9 |
| 3771 | REPLIGEN CORP 759916AD1 | $10057.2B | 4 |
| 3772 | FIRST TR EXCH TRADED FD III 33739P855 | $10057.0B | 11 |
| 3773 | HANESBRANDS INC 410345102 | $10039.5B | 22 |
| 3774 | DIMENSIONAL US REAL 25434V823 | $10032.8B | 10 |
| 3775 | ISHARES GLOBAL COMM SERVICES ETF 464287275 | $10030.9B | 5 |
| 3776 | PACER FDS TR 69374H436 | $10029.7B | 10 |
| 3777 | USCB FINANCIAL HOLDINGS INC 90355N101 | $10028.0B | 3 |
| 3778 | ISHA CURR HEDGED MSCI JAPAN 46434V886 | $10016.8B | 3 |
| 3779 | BARRETT BUSINESS SVCS INC 068463108 | $10016.1B | 11 |
| 3780 | NUTANIX INC 67059NAH1 | $10005.9B | 3 |
| 3781 | VICTORYSHARES SHORT-TERM BON 92647N535 | $10005.1B | 7 |
| 3782 | MATERION CORP COM 576690101 | $10004.8B | 15 |
| 3783 | Innovex International Inc 457651107 | $9972.9B | 6 |
| 3784 | PG&E CORP 69331C958 | $9965.2B | 2 |
| 3785 | STARBOARD INVT TR 85521B742 | $9963.8B | 5 |
| 3786 | NEOGENOMICS INC 64049M209 | $9955.1B | 14 |
| 3787 | PROSHARES TR 74347G192 | $9953.3B | 5 |
| 3788 | VANECK ETF TRUST 92189F429 | $9944.0B | 14 |
| 3789 | ROYAL GOLD INC 780287908 | $9928.7B | 2 |
| 3790 | GLOBAL MEDICAL REIT INC 37954A204 | $9925.7B | 13 |
| 3791 | SPDR SERIES TRUST 78464A516 | $9925.7B | 5 |
| 3792 | DIMENSIONAL ETF TRUST 25434V575 | $9918.7B | 6 |
| 3793 | VANGUARD 0-3 MONTH 922040845 | $9918.5B | 5 |
| 3794 | CLARIVATE PLC G21810109 | $9910.6B | 9 |
| 3795 | AMERICAN CENTY ETF TR 025072794 | $9899.4B | 2 |
| 3796 | AMERICAN ASSETS TR INC 024013104 | $9887.3B | 12 |
| 3797 | AMERICAN CENTY ETF TR 025072364 | $9857.6B | 5 |
| 3798 | SEI EXCHANGE TRADED FUNDS 81589A700 | $9855.0B | 4 |
| 3799 | MGP INGREDIENTS INC NEW 55303J106 | $9791.8B | 13 |
| 3800 | CHEESECAKE FACTORY INC 163072101 | $9791.8B | 14 |
| 3801 | ARCADIUM LITHIUM PLC G0508H110 | $9773.8B | 11 |
| 3802 | ROBO GLOBAL ROBOTICS & AUTOMATION INDEX ETF 301505707 | $9770.2B | 15 |
| 3803 | BANK FIRST CORP 06211J100 | $9767.9B | 4 |
| 3804 | DRAFTKINGS INC NEW 26142V955 | $9737.3B | 3 |
| 3805 | PURECYCLE TECHNOLOGIES INC 74623V103 | $9735.9B | 16 |
| 3806 | MICROCHIP TECHNOLOGY INC. 595017904 | $9724.7B | 2 |
| 3807 | AIM ETF PRODUCTS TRUST 00888H869 | $9702.3B | 4 |
| 3808 | MARATHON OIL CORP 565849106 | $9699.3B | 13 |
| 3809 | ROCKET COS INC 77311W901 | $9691.8B | 2 |
| 3810 | HALLIBURTON CO 406216951 | $9690.3B | 2 |
| 3811 | LTC PPTYS INC 502175102 | $9678.6B | 18 |
| 3812 | GE AEROSPACE 369604951 | $9672.2B | 2 |
| 3813 | VANGUARD CALIF TAX FREE FDS 922021605 | $9665.3B | 5 |
| 3814 | UNITED MICROELECTRONICS CORP 910873405 | $9651.9B | 18 |
| 3815 | GENERAL MTRS CO 37045V900 | $9645.5B | 2 |
| 3816 | INVESCO EXCH TRADED FD TR II 46138E735 | $9642.7B | 8 |
| 3817 | KRAFT HEINZ CO 500754956 | $9639.9B | 2 |
| 3818 | SCRIPPS E W CO OHIO 811054402 | $9627.5B | 9 |
| 3819 | HCA HEALTHCARE INC 40412C901 | $9616.4B | 2 |
| 3820 | ISHARES SHORT DURATION HIGH YI 092528108 | $9609.7B | 4 |
| 3821 | EQT CORP 26884L959 | $9599.4B | 2 |
| 3822 | VANGUARD GLBAL EX US 922042676 | $9597.7B | 17 |
| 3823 | TENET HEALTHCARE CORP 88033G957 | $9591.9B | 2 |
| 3824 | SNAP INC 83304AAF3 | $9559.5B | 2 |
| 3825 | ISHARES TR 464287959 | $9549.5B | 2 |
| 3826 | EA BRIDGEWAY BLUE CHIP ETF 02072L714 | $9543.8B | 4 |
| 3827 | MKS INC. 55306NAB0 | $9533.0B | 2 |
| 3828 | RIO TINTO PLC 767204900 | $9531.3B | 2 |
| 3829 | FIRST TR EXCHANGE-TRADED FD 33733E203 | $9530.1B | 15 |
| 3830 | CARRIAGE SVCS INC 143905107 | $9528.5B | 7 |
| 3831 | LIVE OAK BANCSHARES INC 53803X105 | $9528.2B | 11 |
| 3832 | PRINCIPAL ACTIVE HIGH YIELD ET 74255Y102 | $9518.3B | 2 |
| 3833 | XEROX HOLDINGS CORP 98421M106 | $9512.1B | 20 |
| 3834 | TELEFONICA BRASIL SA 87936R205 | $9510.9B | 10 |
| 3835 | GLOBAL X FDS 37954Y574 | $9507.2B | 5 |
| 3836 | DIMENSIONAL ETF TRUST 25434V583 | $9506.2B | 5 |
| 3837 | STARZ ENTERTAINMENT CORP. 855919106 | $9505.1B | 5 |
| 3838 | CALUMET INC 131428104 | $9487.5B | 6 |
| 3839 | FIRST TRUST 33740U760 | $9486.7B | 8 |
| 3840 | ENOVIS CORPORATION 194014AB2 | $9486.1B | 3 |
| 3841 | ISHARES U.S. BROKER-DEALERS & SECURITIES EXCHANGES ETF 464288794 | $9482.5B | 14 |
| 3842 | DBX ETF TR 233051820 | $9477.5B | 3 |
| 3843 | LYONDELLBASELL INDUSTRIES N N53745950 | $9473.4B | 2 |
| 3844 | BEAZER HOMES USA INC 07556Q881 | $9444.4B | 14 |
| 3845 | AVADEL PHARMACEUTICALS PLC G29687103 | $9437.4B | 8 |
| 3846 | FIRST BUSEY CORP 319383204 | $9435.9B | 12 |
| 3847 | PACIFIC PREMIER BANCORP 69478X105 | $9431.2B | 9 |
| 3848 | GLOBAL X LITHIUM & BATTERY TECH ETF 37954Y855 | $9424.7B | 22 |
| 3849 | ALPS ETF TR 00162Q536 | $9383.5B | 3 |
| 3850 | Seneca Foods Corp 817070501 | $9377.5B | 7 |
| 3851 | FLEX LNG LTD G35947202 | $9369.0B | 8 |
| 3852 | WISDOMTREE INC 97717P104 | $9367.0B | 14 |
| 3853 | NIO INC 62914VAJ5 | $9352.1B | 3 |
| 3854 | TRAILBLAZER ACQUISITION CORP G9009S129 | $9330.8B | 2 |
| 3855 | OSISKO GOLD ROYALTIES LTD 68827L101 | $9325.7B | 9 |
| 3856 | INVESCO DORSEY WRIGHT MOMENTUM ETF 46137V837 | $9325.6B | 16 |
| 3857 | GRAYSCALE ETHEREUM TRUST 389638107 | $9323.9B | 23 |
| 3858 | ISHARES U.S. HEALTHCARE PROV 464288828 | $9316.1B | 9 |
| 3859 | STAR BULK CARRIERS CORP. Y8162K204 | $9297.6B | 16 |
| 3860 | HALOZYME THERAPEUTICS INC 40637HAD1 | $9269.0B | 3 |
| 3861 | EDWARDS LIFESCIENCES CORP 28176E958 | $9258.6B | 2 |
| 3862 | INVESCO DIVIDEND ACHIEVERS E 46137V506 | $9242.8B | 5 |
| 3863 | WEIBO CORP 948596AJ0 | $9240.2B | 3 |
| 3864 | COMPASS PATHWAYS PLC SPONSORED ADS 20451W101 | $9239.0B | 10 |
| 3865 | SPDR PORTFOLIO MSCI GLOBAL STOCK MARKET ETF 78463X475 | $9237.4B | 8 |
| 3866 | FIRST MID ILL BANCSHARES INC 320866106 | $9232.4B | 8 |
| 3867 | PIMCO ETF TR 72201R205 | $9227.2B | 12 |
| 3868 | BNY MELLON HIGH YIELD ETF 09661T800 | $9223.4B | 6 |
| 3869 | BERTO ACQUISITION CORP G1051H101 | $9199.2B | 2 |
| 3870 | GAMBLING COM GROUP LIMITED G3R239101 | $9196.7B | 8 |
| 3871 | COHEN CIRCLE ACQUISITION COR G3730H106 | $9182.5B | 2 |
| 3872 | MANNKIND CORP 56400P706 | $9179.4B | 16 |
| 3873 | FIRST TR EXCHANGE-TRADED FD 33733E872 | $9173.5B | 3 |
| 3874 | NEOS ETF TRUST 78433H303 | $9165.7B | 10 |
| 3875 | REAVES UTIL INCOME FD COM SH BEN INT 756158101 | $9159.5B | 11 |
| 3876 | Teekay Tankers Ltd G8726X106 | $9159.5B | 8 |
| 3877 | RXSIGHT INC 78349D107 | $9148.8B | 7 |
| 3878 | FIDELITY MSCI RL EST INDX 316092857 | $9147.1B | 11 |
| 3879 | XENIA HOTELS & RESORTS I 984017103 | $9141.8B | 16 |
| 3880 | SURMODICS INC 868873100 | $9119.1B | 9 |
| 3881 | SHUTTERSTOCK INC 825690100 | $9118.5B | 12 |
| 3882 | HECLA MNG CO 422704956 | $9105.3B | 2 |
| 3883 | FIRST COMWLTH FINL CORP PA COM 319829107 | $9088.4B | 17 |
| 3884 | ANYWHERE REAL ESTATE GROUP L 75606DAP6 | $9087.2B | 3 |
| 3885 | VIRTUS ETF TR II 92790A405 | $9085.1B | 8 |
| 3886 | ADECOAGRO S A COM L00849106 | $9079.8B | 6 |
| 3887 | JPMORGAN INTERNATIONAL GROWT 46641Q324 | $9077.9B | 5 |
| 3888 | COLGATE PALMOLIVE CO 194162903 | $9068.1B | 2 |
| 3889 | BLOCK INC 852234953 | $9065.9B | 2 |
| 3890 | SSGA ACTIVE TR 78470P630 | $9061.5B | 3 |
| 3891 | HERTZ GLOBAL HLDGS INC 42806J950 | $9058.9B | 2 |
| 3892 | CROSS CTRY HEALTHCARE IN 227483104 | $9055.2B | 12 |
| 3893 | DOLE PLC G27907107 | $9053.8B | 13 |
| 3894 | CHEGG INC 163092109 | $9051.2B | 10 |
| 3895 | FIRST TST NASDAQ CLEAN 33733E500 | $9044.0B | 12 |
| 3896 | HONDA MOTOR LTD 438128308 | $9040.5B | 22 |
| 3897 | SOUTHSTATE BK CORP 84472E102 | $9026.0B | 9 |
| 3898 | GABELLI DIVIDEND & INCOME TR 36242H104 | $9022.6B | 10 |
| 3899 | PC CONNECTION INC 69318J100 | $9019.9B | 8 |
| 3900 | ACCENTURE PLC IRELAND G1151C951 | $9009.4B | 2 |
| 3901 | BROWN FORMAN CORP 115637100 | $9007.1B | 15 |
| 3902 | ROYCE SMALL CAP TRUST INC 780910105 | $9006.5B | 13 |
| 3903 | NVIDIA 67066g104 | $9000.0B | 2 |
| 3904 | FIRST TR EXCHNG TRADED FD VI 33740U687 | $8997.9B | 4 |
| 3905 | ANGLOGOLD ASHANTI PLC G0378L100 | $8995.6B | 16 |
| 3906 | NETGEAR INC 64111Q104 | $8994.8B | 9 |
| 3907 | WISDOMTREE TR 97717W877 | $8994.5B | 5 |
| 3908 | NABORS ENERGY TRANSITION COR G6363K106 | $8987.9B | 3 |
| 3909 | BLACKROCK MUN TARGET TERM TR COM SHS BEN IN 09257P105 | $8982.4B | 7 |
| 3910 | ADIENT PLC G0084W101 | $8978.9B | 16 |
| 3911 | TANDEM DIABETES CARE INC 875372203 | $8939.4B | 15 |
| 3912 | DIGIMARC CORP NEW 25381B101 | $8919.3B | 4 |
| 3913 | JPM DIVERSIFIED RET EM EQUIT 46641Q308 | $8917.4B | 5 |
| 3914 | CVB FINL CORP 126600105 | $8910.9B | 13 |
| 3915 | GRID DYNAMICS HLDGS INC 39813G109 | $8906.9B | 12 |
| 3916 | SUNCOKE ENERGY INC COM 86722A103 | $8867.9B | 15 |
| 3917 | Gold.com Inc 00181T107 | $8841.9B | 6 |
| 3918 | ALPS ETF TR 00162Q387 | $8829.5B | 12 |
| 3919 | Amphastar Pharmaceuticals Inc 03209R103 | $8829.2B | 14 |
| 3920 | GREEN BRICK PARTNERS INC 392709101 | $8814.2B | 12 |
| 3921 | SMARTSTOP SELF STORAG REIT INC COMMON STOCK 83192D402 | $8805.1B | 4 |
| 3922 | AMERICAN EXPRESS CO 025816959 | $8794.5B | 2 |
| 3923 | GRAYSCALE BITCOIN MINI 389930207 | $8785.6B | 20 |
| 3924 | WEIS MKTS INC COM 948849104 | $8783.1B | 5 |
| 3925 | FIRST TR EXCHNG TRADED FD VI 33740F433 | $8773.0B | 9 |
| 3926 | DENISON MINES CORP 248356107 | $8760.4B | 15 |
| 3927 | SELECT SECTOR SPDR TR 81369Y900 | $8751.1B | 2 |
| 3928 | RELMADA THERAPEUTICS INC 75955J402 | $8741.8B | 4 |
| 3929 | SSGA ACTIVE ETF TR 78467V400 | $8741.1B | 4 |
| 3930 | UNITED NAT FOODS INC 911163103 | $8729.8B | 12 |
| 3931 | ON SEMICONDUCTOR CORP 682189905 | $8722.7B | 2 |
| 3932 | GOLDMAN SACHS ETF TR 381430438 | $8716.9B | 9 |
| 3933 | H WORLD GROUP LTD 44332N106 | $8714.8B | 7 |
| 3934 | LIVE NATION ENTERTAINMENT IN 538034BC2 | $8695.7B | 2 |
| 3935 | HONEYWELL INTL INC 438516956 | $8694.8B | 2 |
| 3936 | WK KELLOGG CO 92942W107 | $8691.0B | 18 |
| 3937 | T ROWE PRICE ETF INC 87283Q701 | $8687.9B | 5 |
| 3938 | FIRST TR EXCHANGE TRADED FD 33734X200 | $8687.3B | 9 |
| 3939 | BOEING CO 097023204 | $8685.1B | 6 |
| 3940 | NUVEEN ESG LARGE-CAP GROWTH ETF 67092P201 | $8676.4B | 12 |
| 3941 | ISHARES US & INTL HIGH YIELD CORP BOND ETF 464286178 | $8667.6B | 4 |
| 3942 | OCEANFIRST FINL CORP 675234108 | $8665.4B | 10 |
| 3943 | CANADIAN SOLAR INC 136635109 | $8661.0B | 7 |
| 3944 | VANGUARD ADMIRAL FDS INC 921932778 | $8660.8B | 12 |
| 3945 | CITY HLDG CO 177835105 | $8637.4B | 10 |
| 3946 | GLOBAL X CYBERSECURITY ETF 37954Y384 | $8626.5B | 10 |
| 3947 | INVESCO CEF 46138E404 | $8624.4B | 8 |
| 3948 | FIFTH ERA ACQUISITION CORP I G3415K127 | $8620.4B | 3 |
| 3949 | AMPLITUDE INC 03213A104 | $8607.0B | 7 |
| 3950 | LIFESTANCE HEALTH GROUP INC 53228F101 | $8596.7B | 7 |
| 3951 | HOVNANIAN ENTERPRISES INC 442487401 | $8594.2B | 10 |
| 3952 | MARINUS PHARMACEUTICALS INC 56854Q200 | $8587.8B | 2 |
| 3953 | INVESCO S&P INTERNATIONAL DEVELOPED QUALITY ETF 46138E214 | $8579.2B | 4 |
| 3954 | USCF SUMMERHAVEN DYNAMIC ETF 90290T809 | $8575.6B | 3 |
| 3955 | CABLE ONE INC 12685J105 | $8548.6B | 10 |
| 3956 | NXP SEMICONDUCTORS N V N6596X959 | $8543.4B | 2 |
| 3957 | EXPEDIA GROUP INC 30212P953 | $8542.1B | 2 |
| 3958 | CAMBRIA ETF TR 132061300 | $8538.5B | 4 |
| 3959 | JETBLUE AWYS CORP 477143951 | $8530.8B | 2 |
| 3960 | BAIN CAP SPECIALTY FIN INC COM STK 05684B107 | $8525.3B | 7 |
| 3961 | GOLDMAN SACHS ETF TR 381430230 | $8522.5B | 9 |
| 3962 | FRANKLIN TEMPLETON ETF TR 35473P561 | $8512.6B | 3 |
| 3963 | S&P GLOBAL INC 78409V904 | $8496.9B | 2 |
| 3964 | MERCURY GEN CORP NEW 589400100 | $8469.8B | 13 |
| 3965 | REVOLVE GROUP INC 76156B107 | $8461.9B | 8 |
| 3966 | JPMORGAN CHASE & CO 46625h100 | $8461.8B | 2 |
| 3967 | SELLAS LIFE SCIENCES GROUP I 81642T209 | $8459.7B | 6 |
| 3968 | LEGEND BIOTECH CORP FUNSPONSORED ADR 1 ADR REPS 2 ORD SHS 52490G102 | $8459.6B | 9 |
| 3969 | MISTER CAR WASH INC 60646V105 | $8458.9B | 9 |
| 3970 | SPDR DBLELINE EMRG MKT FXD INCM ETF 78470P309 | $8441.3B | 3 |
| 3971 | BANDWIDTH INC 05988J103 | $8439.9B | 6 |
| 3972 | TWO HARBORS INVENTMENT CORPO 90187BAB7 | $8437.4B | 2 |
| 3973 | PERPETUA RESOURCES CORP 714266103 | $8432.2B | 10 |
| 3974 | INVESCO GALAXY BITCOIN ETF 46091J101 | $8431.3B | 3 |
| 3975 | GOODRX HLDGS INC 38246G108 | $8411.1B | 14 |
| 3976 | IVANHOE ELECTRIC INC 46578C108 | $8410.0B | 5 |
| 3977 | VANECK MORNINGSTAR SMID MOAT 92189H730 | $8408.3B | 7 |
| 3978 | PARSONS CORP DEL 70202LAD4 | $8403.6B | 2 |
| 3979 | PGIM TOTAL RETURN BD ETF 69344A800 | $8399.2B | 4 |
| 3980 | UNIVEST FINANCIAL CORPORATIO 915271100 | $8395.7B | 8 |
| 3981 | CREDIT ACCEP CORP MICH 225310101 | $8393.5B | 7 |
| 3982 | ISHARES U S ETF TR 46431W853 | $8392.8B | 6 |
| 3983 | LIQUIDITY SVCS INC 53635B107 | $8381.1B | 9 |
| 3984 | INVESCO SOLAR ETF 46138G706 | $8367.3B | 17 |
| 3985 | Smithfield Foods Inc 832248207 | $8357.5B | 5 |
| 3986 | FIRST TR EXCHANGE-TRADED FD 33738D788 | $8346.3B | 4 |
| 3987 | NBT BANCORP INC 628778102 | $8336.4B | 11 |
| 3988 | BANK NEW YORK MELLON CORP 064058950 | $8332.9B | 2 |
| 3989 | LYFT INC 55087PAD6 | $8315.0B | 2 |
| 3990 | FIDELITY SMALL-MID MULTIFACTOR 316092527 | $8297.7B | 8 |
| 3991 | OAKTREE SPECIALTY LENDING COM 67401P405 | $8284.9B | 12 |
| 3992 | VANGUARD ADMIRAL FDS INC 921932869 | $8269.9B | 14 |
| 3993 | PDF SOLUTIONS INC 693282105 | $8269.6B | 10 |
| 3994 | SABRE CORP 78573M104 | $8266.4B | 14 |
| 3995 | DIREXION DAILY TECHNOLOGY BULL 3X SHARES 25459W102 | $8262.2B | 4 |
| 3996 | ALGONQUIN PWR UTILS CORP 015857105 | $8256.6B | 17 |
| 3997 | CANTOR EQUITY PARTNERS IV IN G1828E100 | $8254.3B | 3 |
| 3998 | SILA REALTY TRUST INC COMMON STOCK 146280508 | $8251.6B | 17 |
| 3999 | DIREXION DAILY FIN BULL 3X 25459Y694 | $8237.6B | 5 |
| 4000 | TRIMAS CORP 896215209 | $8232.9B | 6 |
| 4001 | NV5 GLOBAL INC 62945V109 | $8215.8B | 6 |
| 4002 | MIDDLESEX WTR CO 596680108 | $8211.8B | 11 |
| 4003 | ISHARES BLOOMBERG ROLL SELECT COMMODITY STRATEGY ETF 46431W598 | $8207.6B | 7 |
| 4004 | FIGS INC 30260D103 | $8180.4B | 11 |
| 4005 | GUARDIAN PHARMACY 40145W101 | $8169.2B | 7 |
| 4006 | Dorian LPG Ltd Y2106R110 | $8167.2B | 12 |
| 4007 | FIDELITY MOMENTUM FACTOR ETF 316092816 | $8163.6B | 5 |
| 4008 | CHICAGO ATLANTIC REAL ESTATE 167239102 | $8152.5B | 6 |
| 4009 | RALLIANT CORP 750940108 | $8140.8B | 13 |
| 4010 | GROUPON INC 399473206 | $8140.0B | 4 |
| 4011 | INNOVATOR GROWTH 45782C276 | $8139.1B | 10 |
| 4012 | CAMBRIA ETF TR 132061706 | $8137.1B | 4 |
| 4013 | BLUELINX HLDGS INC 09624H208 | $8129.5B | 6 |
| 4014 | PRIME MEDICINE INC 74168J101 | $8125.6B | 6 |
| 4015 | BBB FOODS INC G0896C103 | $8117.2B | 6 |
| 4016 | PAN AMERN SILVER CORP 697900908 | $8113.9B | 2 |
| 4017 | FIRST TR EXCHNG TRADED FD VI 33740U810 | $8100.3B | 5 |
| 4018 | J P MORGAN EXCHANGE TRADED F 46641Q845 | $8087.4B | 8 |
| 4019 | HARTFORD MULTIFACTOR DEVELOPED 518416102 | $8079.7B | 6 |
| 4020 | ARLO TECHNOLOGIES INC 04206A101 | $8077.8B | 14 |
| 4021 | CAMBRIA ETF TR 132061201 | $8075.1B | 8 |
| 4022 | NORTHWEST BANCSHARES INC MD 667340103 | $8070.1B | 16 |
| 4023 | BLACKROCK ETF TRUST II 092528884 | $8068.6B | 5 |
| 4024 | INVSC DB COMMODITY INDEX 46138B103 | $8059.4B | 13 |
| 4025 | ACM RESH INC COM CL A 00108J109 | $8052.8B | 11 |
| 4026 | HANMI FINL CORP 410495204 | $8051.2B | 10 |
| 4027 | FLUSHING FINL CORP 343873105 | $8030.2B | 9 |
| 4028 | BRIGHTSPRING HEALTH SVCS INC 10950A106 | $8023.0B | 9 |
| 4029 | VERSABANK 92512J106 | $8020.5B | 3 |
| 4030 | FIRST TR EXCHANGE-TRADED FD 33739G103 | $8004.7B | 5 |
| 4031 | NVE CORP 629445206 | $7997.1B | 6 |
| 4032 | CLEARFIELD INC 18482P103 | $7981.3B | 10 |
| 4033 | NUVEEN QUALITY MUNCP INCOME 67066V101 | $7972.1B | 13 |
| 4034 | FIRST TRUST EUROPE 33737J117 | $7962.7B | 14 |
| 4035 | DHT HOLDINGS INC F Y2065G121 | $7956.2B | 17 |
| 4036 | PAPA JOHNS INTL INC 698813102 | $7955.4B | 13 |
| 4037 | INVESCO VARIABLE RATE INVEST 46090A879 | $7951.4B | 7 |
| 4038 | IRADIMED CORP 46266A109 | $7948.4B | 12 |
| 4039 | CorMedix Inc 21900C308 | $7947.1B | 8 |
| 4040 | Osisko Development Corp 68828E809 | $7926.6B | 3 |
| 4041 | INTEGRA RES CORP 45826T509 | $7915.8B | 2 |
| 4042 | LENDINGCLUB CORP 52603A208 | $7881.0B | 9 |
| 4043 | EATON VANCE TAX-MANAGED GLOB 27829F108 | $7875.1B | 16 |
| 4044 | AvePoint Inc 053604104 | $7874.3B | 8 |
| 4045 | AVALO THERAPEUTICS INC 05338F306 | $7872.6B | 3 |
| 4046 | PAYMENTUS HOLDINGS INC COM CL A 70439P108 | $7865.6B | 7 |
| 4047 | FIDELITY COVINGTON TRUST 316092303 | $7861.9B | 13 |
| 4048 | AURINIA PHARMACEUTIC E FCLASS EQUITY 05156V102 | $7858.6B | 12 |
| 4049 | STONECO LTD G85158106 | $7854.0B | 17 |
| 4050 | INNOVATOR ETFS TRUST 45782C748 | $7854.0B | 8 |
| 4051 | GUGGENHEIM STRATEGIC OPPORTUN COM SBI 40167F101 | $7842.3B | 12 |
| 4052 | ATLANTA BRAVES HLDGS INC 047726302 | $7834.7B | 11 |
| 4053 | CENTRAL PAC FINL CORP 154760409 | $7832.4B | 10 |
| 4054 | HIPPO HLDGS INC 433539202 | $7831.2B | 4 |
| 4055 | NEOGENOMICS INC 64049MAB6 | $7812.3B | 2 |
| 4056 | FIRST TR EXCHANGE-TRADED ALP 33737M102 | $7811.8B | 9 |
| 4057 | FIRST TR EXCHNG TRADED FD VI 33740F631 | $7803.1B | 6 |
| 4058 | ISHARES U.S. BASIC MATERIALS ETF 464287838 | $7801.5B | 13 |
| 4059 | WISDOMTREE EUROPE HEDGED 97717X701 | $7798.0B | 13 |
| 4060 | PAGERDUTY INC 69553PAD2 | $7795.7B | 2 |
| 4061 | VANECK BDC INCOME ETF 92189F411 | $7794.8B | 14 |
| 4062 | TERNS PHARMACEUTICALS INC 880881107 | $7793.9B | 8 |
| 4063 | STELLAR BANCORP INC 858927106 | $7787.1B | 9 |
| 4064 | SIMPLIFY EXCHANGE TRADED FUN 82889N640 | $7761.2B | 5 |
| 4065 | MERCHANTS BANCORP IND 58844R108 | $7753.1B | 6 |
| 4066 | HAMILTON INSURANCE GROUP LTD G42706104 | $7750.1B | 5 |
| 4067 | AMERICAN TOWER CORP NEW 03027X900 | $7745.8B | 2 |
| 4068 | EMPERY DIGITAL INC 92864V608 | $7745.2B | 3 |
| 4069 | CADELER A S 12738K109 | $7734.0B | 3 |
| 4070 | FIRST INTST BANCSYSTEM INC 32055Y201 | $7730.6B | 14 |
| 4071 | BRCLYS BK IPATH BLOOM 06738C778 | $7711.5B | 10 |
| 4072 | SOUTHERN CO 842587DZ7 | $7706.7B | 2 |
| 4073 | NEW MTN FIN CORP 647551100 | $7706.6B | 10 |
| 4074 | SPDR SERIES TRUST 78464A292 | $7700.1B | 10 |
| 4075 | WISDOMTREE TR 97717X784 | $7693.8B | 4 |
| 4076 | E2OPEN PARENT HOLDINGS INC 29788T103 | $7684.5B | 4 |
| 4077 | ENERGY FUELS INC 292671708 | $7684.1B | 16 |
| 4078 | SUNOPTA INC 8676EP108 | $7683.8B | 11 |
| 4079 | GRUPO FINANCIERO GALICIA S.A 399909100 | $7668.6B | 7 |
| 4080 | EVERQUOTE INC 30041R108 | $7663.8B | 10 |
| 4081 | EXACT SCIENCES CORP 30063PAC9 | $7658.4B | 3 |
| 4082 | AXOGEN INC 05463X106 | $7656.5B | 6 |
| 4083 | WILLDAN GROUP INC 96924N100 | $7644.8B | 8 |
| 4084 | LYELL IMMUNOPHARMA 55083R104 | $7643.3B | 5 |
| 4085 | ALTAIR ENGR INC 021369103 | $7640.4B | 6 |
| 4086 | EMERSON ELEC CO 291011954 | $7639.1B | 2 |
| 4087 | WISDOMTREE TR 97717Y535 | $7632.9B | 4 |
| 4088 | FIRST TRUST CONSUMER DISCRET 33734X101 | $7622.3B | 12 |
| 4089 | FLEXSHARES STOXX GLOBAL BROA 33939L795 | $7610.9B | 7 |
| 4090 | EATON VANCE LIMITED DURATION I COM 27828H105 | $7603.3B | 13 |
| 4091 | ARROWHEAD PHARMACEUTICALS IN 04280A100 | $7596.2B | 18 |
| 4092 | AGNICO EAGLE MINES LTD 008474908 | $7579.6B | 3 |
| 4093 | BRIDGEWATER BANCSHARES INC 108621103 | $7575.5B | 7 |
| 4094 | BEYOND MEAT INC 08862EAB5 | $7568.9B | 5 |
| 4095 | BEST BUY INC 086516951 | $7568.0B | 2 |
| 4096 | ARTIVA BIOTHERAPEUTICS INC 04317A107 | $7554.3B | 5 |
| 4097 | NORTHEAST BK PORTLAND ME 66405S100 | $7552.4B | 7 |
| 4098 | NEXPOINT RESIDENTIAL TR INC 65341D102 | $7542.1B | 13 |
| 4099 | ACCURAY INC 004397105 | $7540.7B | 8 |
| 4100 | INVESCO DB AGRICULTURE 46140H106 | $7510.3B | 9 |
| 4101 | POTBELLY CORP 73754Y100 | $7509.7B | 4 |
| 4102 | EQUINOR ASA 29446M102 | $7509.5B | 22 |
| 4103 | INVESCO EXCH TRADED FD TR II 46138E222 | $7501.2B | 8 |
| 4104 | EVGO INC CL A COM 30052F100 | $7492.5B | 9 |
| 4105 | LOCKHEED MARTIN CORP 539830959 | $7486.7B | 2 |
| 4106 | AMERANT BANCORP INC 023576101 | $7485.1B | 5 |
| 4107 | BARINGS BDC INC 06759L103 | $7483.6B | 10 |
| 4108 | BEACON FINANCIAL CORP. COM 084680107 | $7481.9B | 14 |
| 4109 | THE REAL BROKERAGE INC 75585H206 | $7479.7B | 13 |
| 4110 | RECURSION PHARMACEUTICALS INC CL A 75629V104 | $7471.6B | 20 |
| 4111 | FIRST MAJESTIC SILVER CORP COM 32076V103 | $7471.5B | 17 |
| 4112 | WISDOMTREE MANAGED FUTURES STRATEGY FUND 97717W125 | $7471.2B | 6 |
| 4113 | ISHARES TR 46435U440 | $7469.8B | 8 |
| 4114 | J P MORGAN EXCHANGE TRADED F 46641Q217 | $7465.1B | 15 |
| 4115 | SIGMA LITHIUM CORPORATION 826599102 | $7456.7B | 7 |
| 4116 | ELME COMMUNITIES 939653101 | $7452.7B | 13 |
| 4117 | ISHARES IBONDS 2025 H/Y INC 46435U168 | $7451.2B | 6 |
| 4118 | CITIZENS FINL GROUP INC 174610955 | $7443.3B | 2 |
| 4119 | INNOVATOR ETFS TRUST 45782C789 | $7442.6B | 9 |
| 4120 | BLACKROCK CORPOR HI YLD FD I 09255P107 | $7441.5B | 9 |
| 4121 | FIRST TR EXCHNG TRADED FD VI 33740F581 | $7434.1B | 2 |
| 4122 | ISHARES HY CORP BD BUYWR ETF 46436E320 | $7414.4B | 5 |
| 4123 | BIT DIGITAL INC G1144A105 | $7410.6B | 8 |
| 4124 | ICL GROUP LTD M53213100 | $7397.5B | 11 |
| 4125 | STANDARDAERO INC 85423L103 | $7394.8B | 4 |
| 4126 | ZILLOW GROUP INC 98954M101 | $7381.1B | 17 |
| 4127 | EATON VANCE TAX-MANAGED BUY- 27828Y108 | $7364.9B | 12 |
| 4128 | ARK NEXT GENERATION 00214Q401 | $7362.5B | 15 |
| 4129 | ALLAKOS INC 01671P100 | $7349.4B | 4 |
| 4130 | SIMPLIFY EXCHANGE TRADED FUN 82889N202 | $7342.2B | 5 |
| 4131 | ORRSTOWN FINL SVCS INC 687380105 | $7341.9B | 6 |
| 4132 | LISTED FDS TR 53656G498 | $7341.8B | 8 |
| 4133 | Innovator U.S. Equity Buffer ETF - October 45782C771 | $7323.4B | 5 |
| 4134 | ISHARES TR 46436E312 | $7323.2B | 8 |
| 4135 | MIZUHO FINANCIAL GROUP INC 60687Y109 | $7306.7B | 18 |
| 4136 | ALEXANDERS INC 014752109 | $7299.0B | 7 |
| 4137 | GENTHERM INC 37253A103 | $7298.8B | 13 |
| 4138 | BLACKROCK, INC. 464286426 | $7294.1B | 8 |
| 4139 | CG ONCOLOGY INC 156944100 | $7286.8B | 6 |
| 4140 | FUBOTV INC 35953D104 | $7284.3B | 16 |
| 4141 | SOLARIS ENERGY INFRAS INC 83418M953 | $7283.6B | 2 |
| 4142 | AIM ETF PRODUCTS TRUST 00888H778 | $7273.3B | 4 |
| 4143 | FIRST TR EXCHANGE-TRADED FD 33738D796 | $7258.9B | 7 |
| 4144 | Theravance Biopharma Inc G8807B106 | $7250.2B | 8 |
| 4145 | CAVA GROUP INC 148929952 | $7249.2B | 2 |
| 4146 | AB TAX AWARE SHORT DUR MUNI 00039J202 | $7245.3B | 3 |
| 4147 | FRANKLIN U.S. LOW VOLATILITY 52468L406 | $7244.8B | 7 |
| 4148 | NUSHARES ETF TR 67092P706 | $7230.2B | 3 |
| 4149 | ISHARES CYBERSECURITY & TECH ETF 46435U135 | $7228.9B | 11 |
| 4150 | CABLE ONE INC 12685JAE5 | $7226.4B | 5 |
| 4151 | LATTICE STRATEGIES TR 518416409 | $7216.4B | 4 |
| 4152 | EXPEDIA GROUP INC 30212P903 | $7206.2B | 2 |
| 4153 | INVESCO EXCHANGE TRADED FD T 46137V746 | $7202.7B | 11 |
| 4154 | NUVEEN FLOATING RATE INCOME 67072T108 | $7199.5B | 9 |
| 4155 | ISHARES AGENCY BOND ETF 464288166 | $7198.7B | 10 |
| 4156 | FIRST TR EXCHNG TRADED FD VI 33740U802 | $7198.7B | 8 |
| 4157 | COLOMBIER ACQUISITION CORP I G2283U100 | $7191.6B | 2 |
| 4158 | AVANTIS REAL ESTATE ETF 025072356 | $7190.5B | 10 |
| 4159 | ELBIT SYS LTD M3760D101 | $7170.6B | 10 |
| 4160 | LIFE360 INC 532206109 | $7164.0B | 6 |
| 4161 | LYONDELLBASELL INDUSTRIES N N53745900 | $7144.0B | 2 |
| 4162 | MARA HOLDINGS INC 565788956 | $7138.5B | 3 |
| 4163 | DONNELLEY FINL SOLUTIONS INC 25787G100 | $7129.4B | 11 |
| 4164 | ISHARES TR 464288323 | $7128.6B | 8 |
| 4165 | UWM HOLDINGS CORPORATION 91823B109 | $7124.8B | 10 |
| 4166 | TRIUMPH FINANCIAL INC 89679E300 | $7122.7B | 9 |
| 4167 | ISHARES US TRANSPORTATION ET 464287192 | $7116.5B | 10 |
| 4168 | ISHARES U.S. INSURANCE ETF 464288786 | $7115.2B | 9 |
| 4169 | COGENT BIOSCIENCES INC 19240Q201 | $7109.2B | 11 |
| 4170 | FIRST BANCORP N C 318910106 | $7102.9B | 11 |
| 4171 | NYXOAH S A B6S7WD106 | $7096.2B | 2 |
| 4172 | CALAVO GROWERS INC 128246105 | $7095.6B | 7 |
| 4173 | FIDELITY COVINGTON TRUST 316092501 | $7091.5B | 14 |
| 4174 | D-WAVE QUANTUM INC 26740W109 | $7085.2B | 21 |
| 4175 | CRYOPORT INC 229050307 | $7076.8B | 4 |
| 4176 | Nutex Health Inc 67079U306 | $7074.6B | 5 |
| 4177 | SPDR S&P INTER DVD ETF 78463X772 | $7069.3B | 9 |
| 4178 | MASTERBRAND INC 57638P104 | $7056.0B | 23 |
| 4179 | NUVEEN ESG MID-CAP VALUE ETF 67092P508 | $7051.3B | 7 |
| 4180 | CISCO SYSTEMS INC 17275r102 | $7037.3B | 2 |
| 4181 | BUILD-A-BEAR WORKSHOP IN 120076104 | $7019.1B | 11 |
| 4182 | INNOVATOR US EQ BUFFER-FEB 45782C433 | $7018.0B | 5 |
| 4183 | INVESCO BUYBACK ACHIEVERS ET 46137V308 | $7014.6B | 9 |
| 4184 | HBT FINL INC. 404111106 | $7014.1B | 5 |
| 4185 | HARTFORD CORE BOND ETF 41653L701 | $7007.1B | 3 |
| 4186 | PERIMETER ACQUISITION CORP I G7010A129 | $7005.8B | 3 |
| 4187 | SIMON PPTY GROUP INC NEW 828806959 | $7002.1B | 2 |
| 4188 | ISHARES TR 46436E148 | $7001.5B | 4 |
| 4189 | BITDEER TECHNOLOGIES GROUP G11448100 | $6993.0B | 7 |
| 4190 | FIDELITY COVINGTON TRUST 316092873 | $6973.6B | 15 |
| 4191 | BIOAGE LABS INC 09077V100 | $6964.3B | 4 |
| 4192 | IDT CORP 448947507 | $6954.4B | 6 |
| 4193 | GRANITE REAL ESTATE INVT TR 387437114 | $6951.1B | 2 |
| 4194 | NURIX THERAPEUTICS INC 67080M103 | $6949.5B | 8 |
| 4195 | HONEST CO INC 438333106 | $6948.9B | 10 |
| 4196 | CENTERRA GOLD INC 152006102 | $6948.7B | 5 |
| 4197 | ISHARES U S ETF TR 46431W606 | $6945.6B | 9 |
| 4198 | FIDELITY D & D BANCORP INC 31609R100 | $6937.8B | 5 |
| 4199 | INNOVATOR ETFS TRUST 45783Y475 | $6935.0B | 3 |
| 4200 | ASPEN INSURANCE HOLDINGS LTD G05384501 | $6934.6B | 4 |
| 4201 | EMERSON ELEC CO 291011904 | $6927.8B | 2 |
| 4202 | BEL FUSE INC 077347300 | $6922.8B | 8 |
| 4203 | INNOVATOR ETFS TRUST 45783Y103 | $6908.2B | 5 |
| 4204 | NOVOCURE LTD G6674U108 | $6892.5B | 16 |
| 4205 | INVSC SP 500 EQL WGHT 46137V373 | $6888.9B | 7 |
| 4206 | ISHARES INC 464286285 | $6875.5B | 10 |
| 4207 | HERBALIFE LTD G4412G101 | $6869.8B | 11 |
| 4208 | WISDOMTREE BBG USD BULLISH 97717W471 | $6867.3B | 4 |
| 4209 | QCR HOLDINGS INC 74727A104 | $6866.8B | 10 |
| 4210 | ST JOE CO 790148100 | $6862.9B | 12 |
| 4211 | ISHARES MSCI UAE ETF 46434V761 | $6861.4B | 3 |
| 4212 | SI-BONE INC 825704109 | $6847.0B | 7 |
| 4213 | JBG SMITH PPTYS 46590V100 | $6837.2B | 9 |
| 4214 | ETF SER SOLUTIONS 26922A388 | $6837.0B | 6 |
| 4215 | AKAMAI TECHNOLOGIES INC 00971T951 | $6836.0B | 2 |
| 4216 | NUVEEN MUNICIPAL VALUE C 670928100 | $6831.7B | 10 |
| 4217 | OAKTREE ACQUISITION CORP III G6717R104 | $6825.2B | 3 |
| 4218 | XTRACKERS MSCI JAPAN HEDGED EQUITY ETF 233051507 | $6819.4B | 3 |
| 4219 | VANECK PHARMACEUTICAL ETF 92189F692 | $6808.6B | 11 |
| 4220 | SOUTH BOW CORP 83671M105 | $6808.2B | 13 |
| 4221 | AGF US MKT NEUTRL ANTI BETA ETF 00110G408 | $6792.9B | 9 |
| 4222 | SPDR SERIES TRUST 78468R747 | $6788.4B | 11 |
| 4223 | REVANCE THERAPEUTICS INC 761330109 | $6784.4B | 6 |
| 4224 | LIBERTY MEDIA CORP DEL 531229722 | $6777.2B | 13 |
| 4225 | MATTHEWS INTL CORP 577128101 | $6776.6B | 8 |
| 4226 | LI AUTO INC 50202M102 | $6766.8B | 12 |
| 4227 | NOKIA CORP 654902204 | $6763.2B | 29 |
| 4228 | GENESCO INC 371532102 | $6749.6B | 7 |
| 4229 | ASTRANA HEALTH INC 03763A207 | $6747.1B | 9 |
| 4230 | HACKETT GROUP INC 404609109 | $6734.2B | 10 |
| 4231 | DELEK US HLDGS INC NEW 24665A103 | $6719.4B | 10 |
| 4232 | INVESCO BULLETSHARES 2028 MUNICIPAL BOND ETF 46138J486 | $6717.5B | 11 |
| 4233 | WORTHINGTON STL INC 982104101 | $6711.2B | 14 |
| 4234 | REPAY HLDGS CORP 76029L100 | $6706.5B | 7 |
| 4235 | MITEK SYS INC 606710200 | $6701.2B | 9 |
| 4236 | GENEDX HOLDINGS CORP 81663L200 | $6698.8B | 14 |
| 4237 | HAIN CELESTIAL GROUP INC 405217100 | $6688.0B | 15 |
| 4238 | FIRST TR EXCH TRADED FD III 33739P889 | $6685.9B | 2 |
| 4239 | ROKU INC 77543R902 | $6679.2B | 2 |
| 4240 | T. ROWE PRICE EQUITY INCOME ETF 87283Q206 | $6638.8B | 4 |
| 4241 | GMO ETF TRUST 90139K100 | $6631.7B | 4 |
| 4242 | MNTN INC 55318A108 | $6626.0B | 5 |
| 4243 | ADAPTIVE BIOTECHNOLOGIES COR 00650F109 | $6625.2B | 11 |
| 4244 | ISHARES MSCI ACWI LOW CARBON 46434V464 | $6619.7B | 7 |
| 4245 | SALLY BEAUTY HLDGS INC COM 79546E104 | $6615.1B | 10 |
| 4246 | A10 Networks Inc 002121101 | $6608.3B | 14 |
| 4247 | SCHWAB MUNICIPAL BOND ETF 808524649 | $6605.5B | 5 |
| 4248 | AEROVIRONMENT INC 008073AA6 | $6604.7B | 2 |
| 4249 | CANNAE HLDGS INC 13765N107 | $6599.4B | 9 |
| 4250 | ECOLAB INC 278865900 | $6595.8B | 2 |
| 4251 | ARK ETF TR 00214Q708 | $6591.2B | 14 |
| 4252 | FLEXSHARES US QULTY LRG CP INDX ETF 33939L746 | $6590.6B | 3 |
| 4253 | ALTIMMUNE INC 02155H200 | $6582.4B | 10 |
| 4254 | EDGEWELL PERS CARE CO 28035Q102 | $6581.5B | 12 |
| 4255 | INVESCO GLOBAL LISTED PRIVATE 46137V118 | $6573.2B | 2 |
| 4256 | FIRST TR EXCHANGE TRADED FD 33734X127 | $6567.1B | 9 |
| 4257 | MELCO RESORTS AND ENTMNT LTD 585464100 | $6566.8B | 9 |
| 4258 | OPUS SMALL CAP VALUE ETF 26922A446 | $6563.1B | 2 |
| 4259 | FIRST TR EXCHNG TRADED FD VI 33740U661 | $6548.1B | 8 |
| 4260 | J P MORGAN EXCHANGE TRADED F 46641Q852 | $6545.0B | 8 |
| 4261 | TOMPKINS FINL CORP 890110109 | $6539.7B | 10 |
| 4262 | DIVERSIFIED ENERGY COMPANY P G2891G204 | $6539.4B | 7 |
| 4263 | ISHARES TR 46429B366 | $6536.8B | 7 |
| 4264 | AMBAC FINL GROUP INC 023139884 | $6530.5B | 6 |
| 4265 | WisdomTree International Equity Fund 97717W703 | $6526.7B | 8 |
| 4266 | GRUPO AEROPUERTO DEL PACIFIC 400506101 | $6522.0B | 4 |
| 4267 | BLACK STONE MINERALS L P 09225M101 | $6517.3B | 10 |
| 4268 | YHN ACQUISITION I LTD G1514D101 | $6516.7B | 2 |
| 4269 | SUBURBAN PROPANE PART LP 864482104 | $6509.2B | 10 |
| 4270 | BIRKENSTOCK HOLDING PLC M2029K104 | $6503.0B | 6 |
| 4271 | CHIMERA INVT CORP EQUITY 16934Q802 | $6502.8B | 11 |
| 4272 | ALPS ACTIVE EQUITY OPPORTUNI 00162Q510 | $6497.4B | 3 |
| 4273 | NKARTA INC 65487U108 | $6494.0B | 7 |
| 4274 | AIM ETF PRODUCTS TRUST 00888H687 | $6485.6B | 4 |
| 4275 | DEFIANCE CONNECTIVE TECHNOLOGIES ETF 26922A289 | $6484.4B | 9 |
| 4276 | PURECYCLE TECHNOLOGIES INC 74623V953 | $6454.0B | 2 |
| 4277 | EVOLUS INC 30052C107 | $6451.2B | 11 |
| 4278 | ALERIAN ENERGY INFRASTRUCTURE ETF 00162Q676 | $6449.3B | 8 |
| 4279 | INNOVATOR U S 45782C284 | $6448.0B | 7 |
| 4280 | AIM ETF PRODUCTS TRUST 00888H406 | $6447.2B | 3 |
| 4281 | FRANKLIN LTD DURATION INCOME 35472T101 | $6433.0B | 3 |
| 4282 | NESTLE S A FSPONSORED ADR 1 ADR REPS 1 ORD SHS 641069406 | $6432.7B | 4 |
| 4283 | GLOBAL PMTS INC 37940X902 | $6432.0B | 2 |
| 4284 | INVESCO EMERGING MARKETS SOV 46138E784 | $6425.1B | 10 |
| 4285 | ARCHER DANIELS MIDLAND CO 039483952 | $6416.4B | 2 |
| 4286 | IPATH SERIES B S&P 500 VIX 06748M196 | $6413.5B | 2 |
| 4287 | INVESCO CHINA TECHNOLOGY ETF 46138E800 | $6405.8B | 4 |
| 4288 | S & T BANCORP INC 783859101 | $6405.3B | 9 |
| 4289 | DISH NETWORK CORPORATION 25470MAF6 | $6402.8B | 2 |
| 4290 | ISHARES TR 46435U432 | $6400.9B | 5 |
| 4291 | FIDUS INVT CORP 316500107 | $6395.7B | 4 |
| 4292 | PIEDMONT REALTY TRUST INC COM CL A 720190206 | $6393.6B | 13 |
| 4293 | EATON VANCE TAX-MANAGED GLOB 27829C105 | $6386.8B | 12 |
| 4294 | XOMA ROYALTY CORPORATION 98419J206 | $6382.1B | 3 |
| 4295 | BLACKROCK, INC. 464289875 | $6376.5B | 13 |
| 4296 | CLEARBRIDGE ENRGY MDSTRA 18469P209 | $6370.3B | 9 |
| 4297 | PAR PAC HOLDINGS INC 69888T207 | $6362.2B | 10 |
| 4298 | IMMUNOCORE HLDGS PLC 45258D105 | $6354.6B | 9 |
| 4299 | QUAD / GRAPHICS INC 747301109 | $6347.3B | 6 |
| 4300 | PIMCO HIGH INCOME FD 722014107 | $6343.9B | 9 |
| 4301 | ISHARES MICRO-CAP ETF 464288869 | $6343.5B | 10 |
| 4302 | TRUST FOR PROFESSIONAL MANAG 89834G737 | $6336.7B | 2 |
| 4303 | SABLE OFFSHORE CORP 78574H104 | $6328.5B | 8 |
| 4304 | PROSH ULTRAPRO SHORT S&P 500 74349Y845 | $6327.3B | 5 |
| 4305 | BABCOCK & WILCOX ENTERPRISES COM 05614L209 | $6317.6B | 6 |
| 4306 | INNOVATOR ETFS TRUST 45783Y541 | $6317.6B | 6 |
| 4307 | INFINITY NAT RES INC 456941103 | $6308.5B | 6 |
| 4308 | WARNER BROS DISCOVERY INC 934423954 | $6302.9B | 2 |
| 4309 | FIRST TR EXCHANGE TRADED FD 33738R100 | $6299.0B | 6 |
| 4310 | INVESCO EXCH TRADED FD TR II 46138G300 | $6297.2B | 8 |
| 4311 | INOTIV INC 45783QAB6 | $6282.8B | 2 |
| 4312 | PULTE GROUP INC 745867901 | $6276.2B | 2 |
| 4313 | GRINDR INC 39854F101 | $6270.9B | 7 |
| 4314 | GRIFOLS S A 398438408 | $6267.1B | 12 |
| 4315 | BLACKROCK MUNIHLDNGS CALI QL 09254L107 | $6266.0B | 6 |
| 4316 | VEON LTD 91822M502 | $6264.1B | 4 |
| 4317 | DOUBLELINE YIELD OPPORTUNITI 25862D105 | $6246.4B | 7 |
| 4318 | ADVANSIX INC 00773T101 | $6244.5B | 14 |
| 4319 | SPDR INDEX SHS FDS 78463X756 | $6242.6B | 13 |
| 4320 | TITAN INTL INC ILL 88830M102 | $6241.3B | 9 |
| 4321 | VIPSHOP HLDGS LTD SPONSORED ADS A 92763W103 | $6238.7B | 14 |
| 4322 | DELUXE CORP MEDIUM TERM NTS COM 248019101 | $6222.1B | 10 |
| 4323 | AVIDXCHANGE HOLDINGS INC 05368X102 | $6209.1B | 7 |
| 4324 | CONFLUENT INC 20717MAB9 | $6204.1B | 5 |
| 4325 | NUVEEN S&P 500 BUY-WRITE INC 6706ER101 | $6202.8B | 10 |
| 4326 | PRICE T ROWE GROUP INC 74144T958 | $6197.4B | 2 |
| 4327 | FIRST TRUST RIVERFRONT DYNAM 33739P707 | $6193.2B | 6 |
| 4328 | VERIZON COMMUNICATIONS INC 92343v104 | $6189.0B | 3 |
| 4329 | CENTENE CORP DEL 15135B951 | $6186.7B | 2 |
| 4330 | INVESCO S&P 500 EQUAL WEIGHT 46137V332 | $6179.7B | 12 |
| 4331 | SPDR S&P GLOBAL NATURAL RESOURCES ETF 78463X541 | $6172.1B | 11 |
| 4332 | ALPS ETF TR 00162Q783 | $6170.0B | 6 |
| 4333 | VANECK SHORT HIGH YIELD MUNI E 92189F387 | $6161.2B | 10 |
| 4334 | COVENANT LOGISTICS GROUP INC CL A 22284P105 | $6155.2B | 10 |
| 4335 | iShares iBonds Dec 2024 Term Co 46434VBG4 | $6150.6B | 5 |
| 4336 | HORACE MANN EDUCATORS CORP N 440327104 | $6149.0B | 8 |
| 4337 | RBB FD INC 74933W460 | $6148.0B | 5 |
| 4338 | JPM BETABUILDERS US MID CAP 46641Q340 | $6147.0B | 4 |
| 4339 | WESTERN COPPER & GOLD CORP 95805V108 | $6142.6B | 4 |
| 4340 | DIREXION AUSPICE BRD CMDTY 25460E307 | $6141.6B | 4 |
| 4341 | GLOBAL LIGHTS ACQUISITION CO G3937F101 | $6141.0B | 3 |
| 4342 | FIRST TR EXCH TRADED FD III 33741Y100 | $6138.6B | 2 |
| 4343 | ISHARES RESIDENTIAL AND MULTISECTOR REAL ESTATE ETF 464288562 | $6132.4B | 13 |
| 4344 | AGORA INC 00851L103 | $6128.8B | 4 |
| 4345 | BANCO SANTANDER CHILE NEW 05965X109 | $6123.9B | 7 |
| 4346 | INVESCO DORSEY WRIGHT SMALLC 46138E842 | $6109.7B | 5 |
| 4347 | PIMCO ENHCD ST M-ACTIVE ESG 72201R643 | $6103.9B | 4 |
| 4348 | ISHARES IBOND 2026 HY & INC 46436E528 | $6103.0B | 6 |
| 4349 | OSCAR HEALTH INC 687793109 | $6096.1B | 14 |
| 4350 | CAREDX INC 14167L103 | $6093.8B | 9 |
| 4351 | ALTSHARES TRUST 02210T108 | $6091.3B | 2 |
| 4352 | SCHRODINGER INC 80810D103 | $6071.8B | 11 |
| 4353 | GOLD ROYALTY CORP 38071H106 | $6066.3B | 4 |
| 4354 | INVESCO S&P MIDCAP 400 PURE VALUE ETF 46137V191 | $6060.7B | 5 |
| 4355 | SSGA ACTIVE TR 78470P507 | $6058.5B | 6 |
| 4356 | ASP Isotopes Inc 00218A105 | $6049.0B | 6 |
| 4357 | CABLE ONE INC 12685JAG0 | $6047.4B | 4 |
| 4358 | SEQUANS COMMUNICATIONS-ADR 817323306 | $6046.8B | 3 |
| 4359 | BONDBLOXX ETF TRUST 09789C754 | $6045.9B | 3 |
| 4360 | INNODATA INC 457642205 | $6036.9B | 6 |
| 4361 | STANDARD MTR PRODS INC 853666105 | $6036.4B | 7 |
| 4362 | SIRIUSPOINT LTD G8192H106 | $6025.4B | 8 |
| 4363 | ACTUATE THERAPEUTICS INC 005083100 | $6012.7B | 2 |
| 4364 | HANCOCK JOHN PREM DIVID FD 41013T105 | $6006.6B | 5 |
| 4365 | NUVEEN ESG MID-CAP GROW ETF 67092P409 | $5998.8B | 4 |
| 4366 | AMERICAN WTR WKS CO INC NEW 030420903 | $5998.4B | 2 |
| 4367 | HALLADOR ENERGY COMPANY 40609P105 | $5990.5B | 6 |
| 4368 | PROSHARES ULTRASHORT 20Y TR 74347B201 | $5988.9B | 5 |
| 4369 | EA SERIES TRUST 02072L441 | $5974.4B | 4 |
| 4370 | STANDARD BIOTOOLS INC 34385P108 | $5971.9B | 7 |
| 4371 | ALBEMARLE CORP 012653951 | $5947.0B | 2 |
| 4372 | DAQO NEW ENERGY CORP 23703Q203 | $5946.9B | 9 |
| 4373 | JETBLUE AIRWAYS CORP 477143AP6 | $5945.9B | 2 |
| 4374 | DANAOS CORPORATION Y1968P121 | $5930.3B | 10 |
| 4375 | PDD HOLDINGS INC 722304AC6 | $5929.9B | 4 |
| 4376 | FLAHERTY & CRUMRINE PFD INCO 33848E106 | $5924.7B | 2 |
| 4377 | CTS Corp 126501105 | $5909.9B | 12 |
| 4378 | OOMA INC 683416101 | $5905.8B | 6 |
| 4379 | P10 INC 69376K106 | $5899.3B | 5 |
| 4380 | AMPLIFY ETF TR 032108847 | $5887.2B | 8 |
| 4381 | EXCHANGE LISTED FDS TR 30151E806 | $5878.3B | 2 |
| 4382 | ISHARES ESG SELECT SCREENED S& 46436E569 | $5872.6B | 5 |
| 4383 | ADVANCED FLOWER CAP INC 00109K105 | $5864.8B | 5 |
| 4384 | ISHARES TR 46435U259 | $5864.0B | 8 |
| 4385 | LCI INDS 501812AB7 | $5855.1B | 2 |
| 4386 | INVESCO BULLETSHARES 2028 HIGH YIELD CORPORATE BOND ETF 46138J452 | $5853.7B | 8 |
| 4387 | INNOVATOR ETFS TRUST 45782C466 | $5837.3B | 6 |
| 4388 | Innovator U.S. Equity Buffer ETF - December 45782C557 | $5835.1B | 5 |
| 4389 | PROSHARES TR II 74347Y755 | $5828.4B | 5 |
| 4390 | INVESCO INDIA EXCHANGE-TRADE 46137R109 | $5828.2B | 7 |
| 4391 | WESTAMERICA BANCORPORATION 957090103 | $5826.3B | 10 |
| 4392 | MERITAGE HOMES CORP 59001ABF8 | $5812.6B | 3 |
| 4393 | FRONTLINE PLC M46528101 | $5804.0B | 13 |
| 4394 | ALLIANZIM US 6M BF10 APR-OCT 00888H877 | $5783.4B | 5 |
| 4395 | HELIX ENERGY SOLUTIONS GRP I 42330P107 | $5769.2B | 12 |
| 4396 | BONDBLOXX ETF TRUST 09789C671 | $5763.1B | 2 |
| 4397 | TALOS ENERGY INC 87484T108 | $5753.2B | 11 |
| 4398 | TWO HBRS INVT CORP 90187B804 | $5752.1B | 11 |
| 4399 | FIDELITY COVINGTON TRUST 316092121 | $5750.1B | 2 |
| 4400 | TJX COS INC NEW 872540959 | $5740.7B | 2 |
| 4401 | DBX ETF TR 233051705 | $5739.6B | 7 |
| 4402 | STUBHUB HLDGS INC 86384P109 | $5736.0B | 3 |
| 4403 | JAKKS PAC INC 47012E403 | $5729.2B | 8 |
| 4404 | ENHABIT INC 29332G102 | $5725.4B | 12 |
| 4405 | BLACKROCK, INC. 46435G334 | $5713.5B | 12 |
| 4406 | FIRST FNDTN INC 32026V104 | $5709.6B | 7 |
| 4407 | URANIUM ENERGY CORP 916896903 | $5706.6B | 2 |
| 4408 | GLOBAL SHIP LEASE INC F Y27183600 | $5704.6B | 10 |
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| 4411 | ARES DYNAMIC CREDIT ALLOCATION CF 04014F102 | $5683.5B | 5 |
| 4412 | DIM GLB SUSTAIN FIX INC ETF 25434V674 | $5677.1B | 4 |
| 4413 | FIVE STAR BANCORP 33830T103 | $5671.7B | 5 |
| 4414 | ROOT INC CLASS A 77664L207 | $5666.5B | 7 |
| 4415 | DEFIANCE QUANTUM ETF 26922A420 | $5661.3B | 18 |
| 4416 | ARKO CORP 041242108 | $5661.0B | 6 |
| 4417 | EVANS BANKCORP INC 29911Q208 | $5658.0B | 3 |
| 4418 | INVESCO EXCH TRADED FD TR II 46138E727 | $5657.7B | 8 |
| 4419 | iShares AAA CLO Active ETF 092528504 | $5657.2B | 5 |
| 4420 | ISHARES TR 46429B614 | $5654.7B | 7 |
| 4421 | TOWNEBANK PORTSMOUTH VA COM 89214P109 | $5646.9B | 8 |
| 4422 | ARK GENOMIC REVOLUTION 00214Q302 | $5637.2B | 16 |
| 4423 | NUVEEN PFD & INCOME OPPORTUNIT COM 67073B106 | $5622.5B | 16 |
| 4424 | STEPAN CO 858586100 | $5621.7B | 9 |
| 4425 | CORNING INC 219350955 | $5613.4B | 2 |
| 4426 | CONTANGO ORE INC 21077F100 | $5610.6B | 5 |
| 4427 | ANGEL OAK ULTRASHORT INCOME 03463K752 | $5582.4B | 2 |
| 4428 | GLOBAL X FDS 37954Y236 | $5581.5B | 8 |
| 4429 | TIDAL TRUST II 88636J204 | $5579.4B | 3 |
| 4430 | AMPLIFY ETF TR 032108649 | $5578.6B | 6 |
| 4431 | JOHN HANCOCK EXCHANGE TRADED 47804J776 | $5572.0B | 2 |
| 4432 | 1ST SOURCE CORP 336901103 | $5570.9B | 8 |
| 4433 | BENCHMARK ELECTRS INC 08160H101 | $5565.5B | 9 |
| 4434 | MARINEMAX INC 567908108 | $5565.1B | 7 |
| 4435 | ORTHOFIX MED INC 68752M108 | $5558.1B | 6 |
| 4436 | JACK IN THE BOX INC 466367109 | $5551.1B | 11 |
| 4437 | DEERE & CO 244199905 | $5531.8B | 2 |
| 4438 | ADVISORSHARES TR 00768Y560 | $5530.7B | 5 |
| 4439 | RISING DRAGON ACQUISITION CO G7576K107 | $5530.3B | 2 |
| 4440 | ENPHASE ENERGY INC 29355AAK3 | $5524.6B | 2 |
| 4441 | WESBANCO INC 950810101 | $5524.0B | 12 |
| 4442 | LSI INDS INC OHIO 50216C108 | $5520.6B | 9 |
| 4443 | ARMADA HOFFLER PPTYS INC 04208T108 | $5515.2B | 11 |
| 4444 | SAGE THERAPEUTICS INC 78667J108 | $5511.6B | 7 |
| 4445 | ACCEL ENTERTAINMENT INC 00436Q106 | $5509.6B | 4 |
| 4446 | NOAH HLDGS LTD 65487X102 | $5499.7B | 5 |
| 4447 | NU SKIN ENTERPRISES INC CL A 67018T105 | $5492.4B | 11 |
| 4448 | FRANKLIN INCOME FOCUS ETF 35473P439 | $5484.1B | 5 |
| 4449 | FLAHERTY & CRUMRINE PFD INCO 338480106 | $5482.8B | 5 |
| 4450 | NATIONAL BEVERAGE CORP 635017106 | $5475.8B | 16 |
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| 4452 | KNOT OFFSHORE PARTNERS LP Y48125101 | $5462.4B | 2 |
| 4453 | VITA COCO CO INC 92846Q107 | $5461.4B | 11 |
| 4454 | WNS HLDGS LTD G98196101 | $5457.4B | 14 |
| 4455 | COHEN & STEERS LTD DURATION 19248C105 | $5455.4B | 4 |
| 4456 | CASTLE BIOSCIENCES INC 14843C105 | $5454.6B | 8 |
| 4457 | PROS HOLDINGS INC 74346Y103 | $5453.2B | 6 |
| 4458 | GLOBAL X RUSSELL 2000 CVRED CALL ETF 37954Y459 | $5449.9B | 7 |
| 4459 | BROOKLINE BANCORP INC DEL 11373M107 | $5449.3B | 6 |
| 4460 | SEABOARD CORP DEL 811543107 | $5448.8B | 6 |
| 4461 | AVANTIS US SMALL CAP EQUITY 025072323 | $5446.9B | 6 |
| 4462 | NUVEEN MUNICIPAL CREDIT INC 67070X101 | $5442.2B | 9 |
| 4463 | LUMENTUM HLDGS INC 55024UAD1 | $5435.1B | 2 |
| 4464 | PROSHARES TR 74347G242 | $5433.5B | 5 |
| 4465 | GLOBALSTAR INC 378973507 | $5431.3B | 7 |
| 4466 | RIO TINTO PLC 767204950 | $5430.9B | 2 |
| 4467 | FIFTH THIRD BANCORP 316773900 | $5416.2B | 2 |
| 4468 | TAKE-TWO INTERACTIVE SOFTWAR 874054959 | $5416.0B | 2 |
| 4469 | ENTERPRISE FINL SVCS CORP 293712105 | $5410.0B | 13 |
| 4470 | ISHARES TR 464288778 | $5405.4B | 11 |
| 4471 | TAKE-TWO INTERACTIVE SOFTWAR 874054909 | $5400.4B | 2 |
| 4472 | ENI S P A 26874R108 | $5394.5B | 15 |
| 4473 | INVESCO S&P 46090A697 | $5391.7B | 4 |
| 4474 | HIGH INCOME SECS FD 42968F108 | $5386.6B | 5 |
| 4475 | INVESCO S&P ULTRA DIVIDEND REVENUE ETF 46138G656 | $5386.6B | 8 |
| 4476 | FLEXSHARES TR 33939L688 | $5379.5B | 8 |
| 4477 | IROBOT CORP 462726100 | $5364.1B | 11 |
| 4478 | PEBBLEBROOK HOTEL TR 70509V605 | $5359.6B | 2 |
| 4479 | JPM INTERNTL VALUE ETF 46654Q757 | $5358.6B | 3 |
| 4480 | CAPITAL GRP FIXED INCM ETF T 14020Y607 | $5349.7B | 7 |
| 4481 | SPECTRUM BRANDS INC 84762LAZ8 | $5348.6B | 2 |
| 4482 | GUARDANT HEALTH INC 40131MAB5 | $5348.2B | 2 |
| 4483 | CBRE GBL REAL ESTATE INC FD 12504G100 | $5345.4B | 8 |
| 4484 | ANGIODYNAMICS INC 03475V101 | $5344.4B | 8 |
| 4485 | Rigel Pharmaceuticals Inc 766559702 | $5342.1B | 11 |
| 4486 | BRANDES INTERNATIONAL ETF 900934209 | $5325.9B | 2 |
| 4487 | SPDR S&P INSURANCE ETF 78464A789 | $5324.7B | 12 |
| 4488 | RESMED INC 761152957 | $5313.0B | 2 |
| 4489 | BRANDYWINE RLTY TR 105368203 | $5307.3B | 16 |
| 4490 | VANECK AGRIBUSINESS ETF 92189F700 | $5300.9B | 9 |
| 4491 | RAPPORT THERAPEUTICS INC 75383L102 | $5298.1B | 6 |
| 4492 | ARS PHARMACEUTICALS INC 82835W108 | $5298.1B | 6 |
| 4493 | REDFIN CORP 75737FAE8 | $5293.4B | 2 |
| 4494 | COMPASS DIVERSIFIED 20451Q104 | $5292.4B | 10 |
| 4495 | GLOBAL X FDS 37954Y889 | $5290.0B | 10 |
| 4496 | AGILENT TECHNOLOGIES INC 00846U901 | $5284.3B | 2 |
| 4497 | LINEAGE CELL THERAPEUTIC 53566P109 | $5272.7B | 9 |
| 4498 | INVESCO FINANCIAL PREFERRED ETF 46137V621 | $5269.4B | 11 |
| 4499 | GOLDMAN SACHS ACCESS HGHYLD BND ETF 381430453 | $5268.6B | 3 |
| 4500 | XPENG INC 98422D105 | $5264.5B | 10 |
| 4501 | ISHARES MORNINGSTAR SMALL-CA ETF 464288703 | $5259.7B | 5 |
| 4502 | DRX DLY FTSE CHINA BULL 3X 25460G195 | $5258.9B | 2 |
| 4503 | AAM LOW DUR PREF & INC SEC 26922A198 | $5257.6B | 2 |
| 4504 | KENNEDY-WILSON HOLDINGS INC 489398107 | $5253.8B | 12 |
| 4505 | JOHNSON OUTDOORS INC 479167108 | $5251.7B | 5 |
| 4506 | HANCOCK JOHN TAX-ADVANTAGED 41013V100 | $5251.2B | 7 |
| 4507 | MAC COPPER LIMITED G60409110 | $5243.6B | 7 |
| 4508 | AVANTIS CORE FIXED INCOME 025072562 | $5239.3B | 4 |
| 4509 | COMMUNITY HEALTHCARE TR INC COM 20369C106 | $5234.9B | 10 |
| 4510 | AVANOS MED INC 05350V106 | $5233.1B | 14 |
| 4511 | BRISTOW GROUP INC 11040G103 | $5231.9B | 7 |
| 4512 | DIMENSIONAL US SUS CORE 25434V716 | $5228.8B | 5 |
| 4513 | APPIAN CORP CL A 03782L101 | $5224.5B | 7 |
| 4514 | INVESTORS TITLE CO NC 461804106 | $5219.9B | 4 |
| 4515 | CONTEXT THERAPEUTICS INC 21077P108 | $5219.0B | 2 |
| 4516 | FIDELITY COVINGTON TRUST 316092865 | $5215.1B | 16 |
| 4517 | PEBBLEBROOK HOTEL TR 70509V704 | $5211.7B | 2 |
| 4518 | INVESCO S&P 500 EQUAL WEIGHT 46137V381 | $5210.3B | 7 |
| 4519 | ISHARES TR 46436E833 | $5210.2B | 6 |
| 4520 | AMYLYX PHARMACEUTICALS INC 03237H101 | $5204.3B | 7 |
| 4521 | CARGO THERAPEUTICS INC 14179K101 | $5202.2B | 3 |
| 4522 | GSR IV ACQUISITION CORP G4R12K107 | $5198.7B | 2 |
| 4523 | IBIO INC 451033708 | $5196.8B | 3 |
| 4524 | CHUBB LIMITED H1467J904 | $5188.5B | 2 |
| 4525 | COSTCO WHSL CORP NEW 22160k105 | $5182.7B | 2 |
| 4526 | FIVERR INTL LTD 33835LAA3 | $5177.8B | 2 |
| 4527 | DRIVEN BRANDS HLDGS INC 26210V102 | $5177.5B | 6 |
| 4528 | BIOLIFE SOLUTIONS INC 09062W204 | $5168.5B | 10 |
| 4529 | AMERICAN CENTURY DIVERSIFIED 025072109 | $5154.6B | 3 |
| 4530 | DIVERSIFIED HEALTHCARE TR 25525P107 | $5147.9B | 11 |
| 4531 | ASTRIA THERAPEUTICS INC 04635X102 | $5147.6B | 6 |
| 4532 | Innovator U.S. Small Cap Power Buffer ETF - April 45782C342 | $5144.1B | 5 |
| 4533 | CUMMINS INC 231021906 | $5138.8B | 2 |
| 4534 | Global X Emerging Markets Bond ETF 37954Y350 | $5133.3B | 2 |
| 4535 | ITRON INC 465741AN6 | $5128.3B | 3 |
| 4536 | TITAN ACQUISITION CORP G8901A103 | $5116.4B | 3 |
| 4537 | EAGLE BANCORP INC MD 268948106 | $5115.0B | 7 |
| 4538 | LUCID GROUP INC 549498103 | $5103.1B | 20 |
| 4539 | ENNIS INC COM 293389102 | $5102.4B | 7 |
| 4540 | ONITY GROUP INC 675746606 | $5102.2B | 3 |
| 4541 | ABRDN HEALTHCARE OPPORT 879105104 | $5102.0B | 8 |
| 4542 | AMERN SOFTWARE INC CL A 029683109 | $5102.0B | 2 |
| 4543 | BLACKROCK ESG CAP ALLC TERM 09262F100 | $5092.4B | 3 |
| 4544 | INNOVATOR ETFS TRUST 45782C235 | $5089.8B | 3 |
| 4545 | NUVEEN ESG EMERGING MARKETS EQUITY ETF 67092P888 | $5088.7B | 8 |
| 4546 | PIMCO ETF TR 72201R627 | $5086.3B | 4 |
| 4547 | PARK AEROSPACE CORP 70014A104 | $5085.8B | 5 |
| 4548 | GREEN PLAINS INC 393222104 | $5079.9B | 8 |
| 4549 | FINANCIAL INSTNS INC 317585404 | $5074.3B | 5 |
| 4550 | ESQUIRE FINL HLDGS INC 29667J101 | $5074.0B | 8 |
| 4551 | MAGNERA CORP 55939A107 | $5072.8B | 11 |
| 4552 | SNAP INC 83304AAB2 | $5067.7B | 3 |
| 4553 | GOLDMAN SACHS ETF TR 38149W739 | $5055.0B | 3 |
| 4554 | NORTHERN LTS FD TR IV 66538H534 | $5043.0B | 6 |
| 4555 | World Acceptance Corp 981419104 | $5041.6B | 8 |
| 4556 | WISDOMTREE INTL S/C DVD FUND 97717W760 | $5037.7B | 12 |
| 4557 | COMPANIA DE MINAS BUENAVENTU 204448104 | $5036.2B | 9 |
| 4558 | CVR ENERGY INC 12662P108 | $5030.7B | 11 |
| 4559 | MRC GLOBAL INC 55345K103 | $5025.3B | 9 |
| 4560 | SOLAREDGE TECHNOLOGIES INC 83417M104 | $5020.3B | 16 |
| 4561 | PROSHARES ULTRAPRO S&P 74347X864 | $5019.3B | 7 |
| 4562 | INTERCONTINENTAL HOTELS GROU 45857P806 | $5015.9B | 15 |
| 4563 | KALVISTA PHARMACEUTICALS INC 483497103 | $5014.9B | 7 |
| 4564 | MECHANICS BANCORP 43785V102 | $5011.6B | 4 |
| 4565 | FIRST TR EXCH TRADED FD III 33739P871 | $5010.7B | 2 |
| 4566 | SAREPTA THERAPEUTICS INC 803607950 | $5009.1B | 2 |
| 4567 | TRUST FOR PROFESSIONAL MANAG 89834G752 | $5008.0B | 2 |
| 4568 | SONOS INC 83570H108 | $5003.9B | 17 |
| 4569 | INVESCO EXCHANGE TRADED FD T 46137V217 | $5003.5B | 10 |
| 4570 | PROSHARES SHORT QQQ 74349Y837 | $4998.6B | 4 |
| 4571 | SPDR RUSSELL 1000 YIELD FOCU 78468R770 | $4989.4B | 7 |
| 4572 | INVESTAR HLDG CORP 46134L105 | $4983.2B | 6 |
| 4573 | NICOLET BANKSHARES INC 65406E102 | $4980.0B | 5 |
| 4574 | DREAM FINDERS HOMES INC 26154D100 | $4976.9B | 8 |
| 4575 | NIO INC 62914V106 | $4975.1B | 28 |
| 4576 | BURFORD CAP LTD G17977110 | $4967.1B | 6 |
| 4577 | SPROTT ETF TRUST 85210B102 | $4959.6B | 2 |
| 4578 | EATON VANCE ENH EQT INC II 278277108 | $4954.3B | 5 |
| 4579 | LUMENTUM HLDGS INC 55024UAF6 | $4950.1B | 3 |
| 4580 | CRESCENT CAP BDC INC COM 225655109 | $4949.0B | 4 |
| 4581 | GLADSTONE COMMERCIAL CORP 376536108 | $4946.4B | 10 |
| 4582 | INNOVATOR U S 45782C698 | $4941.5B | 8 |
| 4583 | FIDELITY COVINGTON TRUST 316092535 | $4933.4B | 3 |
| 4584 | ATYR PHARMA INC 002120202 | $4932.3B | 4 |
| 4585 | Innovator Intl Developed Power Buffer ETF-Apr 45782C367 | $4920.0B | 3 |
| 4586 | VICTORYSHARES US EQ INCOME E 92647N824 | $4919.6B | 7 |
| 4587 | CAPITOL FED FINL INC 14057J101 | $4919.0B | 12 |
| 4588 | CENTERSPACE 15202L107 | $4915.0B | 12 |
| 4589 | McGraw Hill Inc 580907103 | $4910.9B | 2 |
| 4590 | HEARTLAND FINL USA INC 42234Q102 | $4907.5B | 2 |
| 4591 | FLEXSHARES TR 33939L100 | $4904.3B | 7 |
| 4592 | FIRST TR EXCHANGE TRADED FD 33734X184 | $4895.3B | 9 |
| 4593 | ISHARES MSCI PACIFIC EX-JAPAN ETF 464286665 | $4894.8B | 13 |
| 4594 | P T TELEKOMUNIKASI INDONESIA 715684106 | $4881.7B | 12 |
| 4595 | ACADIAN ASSET MANAGEMENT INC COM 10948W103 | $4874.5B | 10 |
| 4596 | MALIBU BOATS INC 56117J100 | $4867.5B | 9 |
| 4597 | RADCOM LTD M81865111 | $4866.9B | 3 |
| 4598 | UNITED HOMES GROUP INC 91060H108 | $4866.6B | 8 |
| 4599 | DRUGS MADE IN AMER ACQUTN CO G2847J104 | $4861.2B | 3 |
| 4600 | STATE STREET SPDR DOW JONES REIT ETF 78464A607 | $4858.9B | 14 |
| 4601 | GRANITE REAL ESTATE INVT TR 387437205 | $4858.6B | 3 |
| 4602 | COMPLETE SOLARIA INC 20460L104 | $4857.9B | 2 |
| 4603 | TUYA INC 90114C107 | $4857.2B | 3 |
| 4604 | MYRIAD GENETICS INC 62855J104 | $4855.4B | 10 |
| 4605 | REYNOLDS CONSUMER PRODS INC 76171L106 | $4853.5B | 11 |
| 4606 | XTRACKERS S&P 500 SCORED & SCR 233051143 | $4849.5B | 8 |
| 4607 | SUPERIOR GROUP OF CO INC 868358102 | $4844.1B | 5 |
| 4608 | CALAMOS CONV OPPORTUNITIES & I SH BEN INT 128117108 | $4838.1B | 8 |
| 4609 | SHOCKWAVE MED INC 82489T104 | $4835.1B | 3 |
| 4610 | LEVI STRAUSS & CO NEW 52736R102 | $4833.2B | 9 |
| 4611 | FIRST TR EXCHANGE TRADED FD 33738R662 | $4829.5B | 4 |
| 4612 | FIRST BK WILLIAMSTOWN NEW JE 31931U102 | $4821.3B | 5 |
| 4613 | JOHN HANCOCK MORTGAGE-BACKED 47804J792 | $4808.5B | 2 |
| 4614 | TIM S A SPONSORED ADR 88706T108 | $4806.5B | 4 |
| 4615 | PETCO HEALTH AND WELLNESS CO I 71601V105 | $4796.7B | 14 |
| 4616 | ISHARES INC 464286343 | $4793.1B | 7 |
| 4617 | BED BATH & BEYOND INC 690370101 | $4792.6B | 14 |
| 4618 | SOLO BRANDS INC - CLASS A 83425V104 | $4790.4B | 5 |
| 4619 | STRATEGY SHARES NASDAQ 7HANDL INDEX ETF 86280R506 | $4787.7B | 7 |
| 4620 | NEW YORK LIFE INVESTMENTS ET 45409B800 | $4787.0B | 6 |
| 4621 | TYRA BIOSCIENCES INC 90240B106 | $4783.0B | 8 |
| 4622 | FIRST TR EXCHNG TRADED FD VI 33740U711 | $4777.6B | 4 |
| 4623 | RIVIAN AUTOMOTIVE INC 76954A903 | $4771.0B | 2 |
| 4624 | WESTERN ASSET DIVERS INC 95790K109 | $4770.7B | 7 |
| 4625 | ETSY INC 29786AAN6 | $4748.2B | 3 |
| 4626 | FIRST TRUST ALT ABS RET ETF 33740Y101 | $4747.4B | 4 |
| 4627 | TIMOTHY PLAN INTL ETF 887432334 | $4743.9B | 4 |
| 4628 | INVESCO NASDAQ INTERNET ETF 46137V530 | $4735.2B | 9 |
| 4629 | SSGA ACTIVE TR 78470P846 | $4726.9B | 4 |
| 4630 | BLACKROCK LIMITED DURATION INCOME TRUST 09249W101 | $4722.8B | 5 |
| 4631 | INNOVATOR GROWTH 45782C615 | $4718.6B | 5 |
| 4632 | TIPTREE INC 88822Q103 | $4717.9B | 7 |
| 4633 | MODIVCARE INC 60783X104 | $4717.4B | 8 |
| 4634 | MANITOWOC CO INC 563571405 | $4715.1B | 6 |
| 4635 | COHU INC 192576106 | $4714.1B | 9 |
| 4636 | STANLEY BLACK & DECKER INC 854502951 | $4712.1B | 2 |
| 4637 | ABRDN HEALTHCARE INVESTORS 87911J103 | $4708.1B | 7 |
| 4638 | PHILLIPS 66 718546954 | $4707.1B | 2 |
| 4639 | MARCUS CORP DEL 566330106 | $4706.5B | 7 |
| 4640 | ALLIANCEBERNSTEIN GLOBAL HIGH COM 01879R106 | $4702.9B | 9 |
| 4641 | SMITH & WESSON BRANDS IN 831754106 | $4701.0B | 12 |
| 4642 | ISHARES U S 464288851 | $4699.5B | 12 |
| 4643 | FRANKLIN U.S. CORE DIVIDEND 35473P306 | $4685.1B | 4 |
| 4644 | 89BIO INC 282559103 | $4674.5B | 7 |
| 4645 | FIRST TR EXCHANGE-TRADED FD 33733E856 | $4670.4B | 5 |
| 4646 | HUT 8 CORP 44812J104 | $4669.7B | 9 |
| 4647 | GLOBAL BUSINESS TRAVEL GROUP 37890B100 | $4666.7B | 6 |
| 4648 | INVESCO SEMICONDUCTORS ETF 46137V647 | $4660.4B | 9 |
| 4649 | DICKS SPORTING GOODS INC 253393902 | $4659.3B | 2 |
| 4650 | NUVEEN AMT FREE QLTY MUN INC 670657105 | $4654.9B | 15 |
| 4651 | LITHIUM AMERS CORP NEW 53681J103 | $4654.6B | 13 |
| 4652 | ICHOR HOLDINGS G4740B105 | $4647.6B | 10 |
| 4653 | MID PENN BANCORP INC 59540G107 | $4644.3B | 8 |
| 4654 | FT VEST INTERNATIONAL EQUITY M 33740U869 | $4643.8B | 3 |
| 4655 | MATRIX SVC CO 576853105 | $4640.7B | 6 |
| 4656 | INVESCO BLETSHS 2025 MNPL BND ETF 46138J528 | $4640.5B | 9 |
| 4657 | DIMENSNL INTERNTL SUS 25434V690 | $4639.1B | 6 |
| 4658 | VANECK EMERGING MARKETS HIGH Y 92189F353 | $4636.0B | 7 |
| 4659 | FIRST TR EXCH TRD ALPHDX FD 33737J158 | $4630.6B | 9 |
| 4660 | US NATURAL GAS FUND LP 912318409 | $4629.7B | 4 |
| 4661 | CAVA GROUP INC 148929902 | $4627.4B | 2 |
| 4662 | NAVITAS SEMICONDUCTOR CO 63942X106 | $4618.8B | 9 |
| 4663 | INVESCO AI AND NEXT GEN SOFT 46137V639 | $4618.6B | 6 |
| 4664 | ALPS SECTOR DIVIDEND DOGS 00162Q858 | $4613.2B | 9 |
| 4665 | CTO RLTY GROWTH INC NEW 22948Q101 | $4612.9B | 9 |
| 4666 | FIRST TR EXCHANGE TRADED FD 33738R720 | $4595.9B | 10 |
| 4667 | LISTED FDS TR 53656F870 | $4592.3B | 2 |
| 4668 | THERMON GROUP HLDGS INC 88362T103 | $4583.0B | 7 |
| 4669 | AMERICA MOVIL S A B DE F 02390A101 | $4578.9B | 14 |
| 4670 | ADVISOR SHARES Q DYNAMIC GRW EQY ETF 00768Y438 | $4575.7B | 2 |
| 4671 | UNITIL CORP 913259107 | $4573.5B | 13 |
| 4672 | PRECISION DRILLING CORP 74022D407 | $4570.9B | 5 |
| 4673 | COLUMBIA ETF TR I 19761L805 | $4570.6B | 2 |
| 4674 | VALUE LINE INC 920437100 | $4569.4B | 4 |
| 4675 | FIRST TR EXCHANGE TRADED FD 33734X838 | $4565.5B | 6 |
| 4676 | ALPS EQUAL SECTOR WEIGHT ETF 00162Q205 | $4561.6B | 5 |
| 4677 | TELADOC HEALTH INC 87918A105 | $4560.4B | 26 |
| 4678 | FIRST TR EXCHNG TRADED FD VI 33740F441 | $4558.9B | 6 |
| 4679 | CORE SCIENTIFIC INC NEW 21874A130 | $4552.0B | 2 |
| 4680 | INNOVATOR ETFS TRUST 45783Y442 | $4540.6B | 3 |
| 4681 | MYERS INDS INC 628464109 | $4538.1B | 8 |
| 4682 | KFORCE INC 493732101 | $4535.3B | 7 |
| 4683 | SINCLAIR INC 829242106 | $4535.0B | 7 |
| 4684 | VANECK RETAIL ETF 92189F684 | $4524.7B | 4 |
| 4685 | TRI CONTINENTAL CF 895436103 | $4524.6B | 11 |
| 4686 | RED VIOLET INC 75704L104 | $4518.7B | 7 |
| 4687 | BKV CORP 05603J108 | $4517.5B | 4 |
| 4688 | DAILY JOURNAL CORP 233912104 | $4513.6B | 6 |
| 4689 | VILLAGE SUPER MKT INC CL A NEW 927107409 | $4513.2B | 10 |
| 4690 | RBB FD INC 74933W486 | $4504.8B | 3 |
| 4691 | DUFF & PHELPS UTLITY AND INF 26433C105 | $4503.3B | 3 |
| 4692 | ETF SER SOLUTIONS 26922B642 | $4500.0B | 3 |
| 4693 | PENNANT GROUP INC 70805E109 | $4496.3B | 8 |
| 4694 | WESTERN ASSET EMERGING MKTS 95766A101 | $4496.0B | 6 |
| 4695 | ASANA INC CL A 04342Y104 | $4489.5B | 8 |
| 4696 | TURTLE BEACH CORP 900450206 | $4483.8B | 6 |
| 4697 | LINCOLN EDL SVCS CORP 533535100 | $4483.0B | 5 |
| 4698 | AIM ETF PRODUCTS TRUST 00888H794 | $4479.9B | 7 |
| 4699 | MFS MUN INCOME TR SH BEN INT 552738106 | $4478.1B | 6 |
| 4700 | CAMPING WORLD HLDGS INC 13462K109 | $4477.5B | 11 |
| 4701 | BRIGHTSPIRE CAPITAL INC 10949T109 | $4465.6B | 14 |
| 4702 | ALPS DISRUPTIVE TECHNOLOGIES 00162Q478 | $4464.6B | 2 |
| 4703 | UNITED STATES OIL FUND LP 91232N207 | $4451.9B | 13 |
| 4704 | INVESCO S&P 500 EQUAL WEIGHT UTILITIES ETF 46137V274 | $4450.0B | 8 |
| 4705 | BLACKROCK SCIENCE & TECH TR 09258G104 | $4448.1B | 9 |
| 4706 | ARDMORE SHIPPING CORP Y0207T100 | $4448.1B | 12 |
| 4707 | HAFNIA LTD Y2990R101 | $4447.3B | 10 |
| 4708 | BONDBLOXX ETF TRUST 09789C846 | $4444.6B | 2 |
| 4709 | ZENTALIS PHARMACEUTICALS INC 98943L107 | $4435.3B | 6 |
| 4710 | MICROBOT MED INC 59503A204 | $4434.7B | 2 |
| 4711 | CIVISTA BANCSHARES INC 178867107 | $4426.0B | 5 |
| 4712 | EATON VANCE T/M BUY-WRT INC 27828X100 | $4421.9B | 4 |
| 4713 | CENTENE CORP DEL 15135B901 | $4401.3B | 2 |
| 4714 | GLOBAL X 37954Y269 | $4398.6B | 2 |
| 4715 | COHEN & STEERS TAX ADVAN PFD 19249X108 | $4390.5B | 5 |
| 4716 | HERITAGE INSURANCE HLDGS INC 42727J102 | $4390.2B | 6 |
| 4717 | STERICYCLE INC 858912108 | $4390.1B | 6 |
| 4718 | PIMCO ETF TR 72201R593 | $4389.9B | 5 |
| 4719 | KRANESHARES TRUST 500767956 | $4381.6B | 3 |
| 4720 | VERASTEM INC 92337C203 | $4374.2B | 5 |
| 4721 | MANAGED PORTFOLIO SERIES 56167N183 | $4373.6B | 2 |
| 4722 | INTREPID POTASH INC 46121Y201 | $4370.5B | 4 |
| 4723 | ADVISORSHARES PURE 00768Y453 | $4369.5B | 7 |
| 4724 | ISHARES TR 46436E593 | $4365.0B | 6 |
| 4725 | KINDER MORGAN INC DEL 49456b101 | $4357.7B | 2 |
| 4726 | ARES COML REAL ESTATE CORP 04013V108 | $4353.9B | 8 |
| 4727 | NEUMORA THERAPEUTICS INC. 640979100 | $4353.9B | 9 |
| 4728 | SANARA MEDTECH INC 79957L100 | $4353.8B | 5 |
| 4729 | PIMCO CORPORATE & INCM STRG 72200U100 | $4350.8B | 5 |
| 4730 | DXP ENTERPRISES INC 233377407 | $4349.3B | 9 |
| 4731 | SHORE BANCSHARES INC 825107105 | $4342.9B | 6 |
| 4732 | KS GLOBAL CARBON STRATGY ETF 500767678 | $4340.9B | 4 |
| 4733 | FIRST TRUST DOW 30 EQL WGHT 33733A201 | $4340.4B | 7 |
| 4734 | FLEXSHARES MORNINGSTAR DEVEL 33939L803 | $4339.3B | 6 |
| 4735 | CARLYLE SECURED LENDING INC 872280102 | $4337.5B | 8 |
| 4736 | JPMORGAN HIGH YIELD MUNICPL 46654Q799 | $4336.9B | 7 |
| 4737 | ALTRIA GROUP INC 02209s103 | $4336.4B | 2 |
| 4738 | Proto Labs Inc 743713109 | $4332.0B | 12 |
| 4739 | CME GROUP INC 12572Q905 | $4329.6B | 2 |
| 4740 | COLUMBIA ETF TR I 19761L607 | $4324.2B | 7 |
| 4741 | EATON VANCE TX ADV GLBL DIV FD COM 27828S101 | $4313.0B | 8 |
| 4742 | VICTORYSHARES US 500 VOLATIL 92647N766 | $4311.4B | 5 |
| 4743 | PACER DATA & INFRASTRUCTURE 69374H741 | $4309.6B | 5 |
| 4744 | SOLARWINDS CORP 83417Q204 | $4308.2B | 4 |
| 4745 | GIGCAPITAL8 CORP G3864J100 | $4302.3B | 2 |
| 4746 | SMARTFINANCIAL INC 83190L208 | $4298.8B | 5 |
| 4747 | GLOBAL X SILVER MINERS ETF 37954Y848 | $4294.0B | 11 |
| 4748 | FIRST TR EXCHNG TRADED FD VI 33740F318 | $4293.2B | 2 |
| 4749 | KURA ONCOLOGY INC 50127T109 | $4290.9B | 8 |
| 4750 | ARRAY TECHNOLOGIES INC 04271TAB6 | $4287.7B | 4 |
| 4751 | ECOVYST INC 27923Q109 | $4287.3B | 6 |
| 4752 | TORM PLC G89479102 | $4284.5B | 8 |
| 4753 | BOX INC 10316TAB0 | $4282.4B | 2 |
| 4754 | GOLD FIELDS LTD 38059T906 | $4279.9B | 2 |
| 4755 | YORK WTR CO 987184108 | $4276.8B | 8 |
| 4756 | India Fund Inc/The 454089103 | $4273.4B | 4 |
| 4757 | DRUGS MADE IN AMER ACQ II CO G2851K120 | $4272.7B | 2 |
| 4758 | BIOTE CORP 090683103 | $4261.1B | 5 |
| 4759 | NEXTDECADE CORP 65342K105 | $4260.8B | 9 |
| 4760 | GRAIL INC 384747101 | $4260.4B | 14 |
| 4761 | FIRST TRUST MULTI CAP GROWTH 33733F101 | $4259.8B | 7 |
| 4762 | GLOBAL X AUTONOMOUS&ELEC-ETF 37954Y624 | $4252.8B | 12 |
| 4763 | AIR TRANS SVCS GROUP INC COM 00922R105 | $4250.7B | 7 |
| 4764 | BLACKROCK CAP ALLOCATION TER 09260U109 | $4248.5B | 4 |
| 4765 | UNIFI INC 904677200 | $4245.4B | 3 |
| 4766 | STARBOARD INVT TR 85521B775 | $4238.2B | 2 |
| 4767 | HESAI GROUP 428050108 | $4236.7B | 6 |
| 4768 | SPDR SERIES TRUST 78464A706 | $4230.2B | 5 |
| 4769 | PACER FDS TR 69374H766 | $4229.1B | 2 |
| 4770 | VISHAY PRECISION GROUP INC 92835K103 | $4225.7B | 3 |
| 4771 | HARBORONE BANCORP INC NEW 41165Y100 | $4223.1B | 7 |
| 4772 | DIANTHUS THERAPEUTICS INC 252828108 | $4220.3B | 4 |
| 4773 | CORE LABORATORIES INC 21867A105 | $4217.8B | 9 |
| 4774 | INNOVATOR ETFS TRUST 45783Y616 | $4209.3B | 2 |
| 4775 | INVESCO BULLETSHARES 2029 MUNICIPAL BOND ETF 46138J478 | $4201.5B | 8 |
| 4776 | IAMGOLD CORP 450913908 | $4197.1B | 2 |
| 4777 | SANFILIPPO JOHN B & SON INC 800422107 | $4195.9B | 9 |
| 4778 | ROYCE MICRO-CAP TR INC 780915104 | $4195.5B | 7 |
| 4779 | SYNCHRONY FINANCIAL 87165B903 | $4194.5B | 2 |
| 4780 | ORIX CORP 686330101 | $4188.6B | 12 |
| 4781 | FUTURECREST ACQUISITION CORP G3730U107 | $4181.4B | 2 |
| 4782 | AIM ETF PRODUCTS TRUST 00888H505 | $4181.3B | 7 |
| 4783 | DIREXION DAILY S&P 500 BULL 3X SHARES 25459W862 | $4180.2B | 12 |
| 4784 | POSCO HOLDINGS INC 693483109 | $4179.4B | 7 |
| 4785 | INVESCO S&P 500 EQUAL WEIGHT 46137V316 | $4175.0B | 5 |
| 4786 | SYNDAX PHARMACEUTICALS INC 87164F105 | $4159.7B | 10 |
| 4787 | CERENCE INC 156727109 | $4148.8B | 11 |
| 4788 | AMERICAN WELL CORP 03044L105 | $4143.1B | 2 |
| 4789 | AIM ETF PRODUCTS TRUST 00888H711 | $4142.1B | 4 |
| 4790 | SERITAGE GROWTH PPTYS 81752R100 | $4138.8B | 3 |
| 4791 | GROWGENERATION CORP 39986L109 | $4136.9B | 8 |
| 4792 | RETURN STACKED US SM FTR ETF 88636J816 | $4135.3B | 3 |
| 4793 | INSPIRED ENTMT INC 45782N108 | $4126.0B | 4 |
| 4794 | FORWARD AIR CORP COM 34986A104 | $4123.4B | 7 |
| 4795 | ALPINE INCOME PPTY TR INC 02083X103 | $4121.5B | 8 |
| 4796 | F&G ANNUITIES & LIFE INC 30190A104 | $4109.0B | 15 |
| 4797 | PACER FDS TR 69374H428 | $4104.6B | 3 |
| 4798 | KONINKLIJKE PHILIPS N V 500472303 | $4103.3B | 17 |
| 4799 | NUVEEN SELECT MAT MUN FD SH BEN INT 67061T101 | $4102.7B | 2 |
| 4800 | BILIBILI INC 090040106 | $4097.7B | 9 |
| 4801 | SIDDHI ACQUISITION CORP G8118C124 | $4096.4B | 2 |
| 4802 | PROSHARES TR 74347B425 | $4094.0B | 4 |
| 4803 | MARCUS & MILLICHAP INC 566324109 | $4093.3B | 7 |
| 4804 | UNITED STS LIME & MINERALS I 911922102 | $4077.0B | 9 |
| 4805 | CALVERT US L-C CR RESP INDEX 61774R205 | $4073.1B | 4 |
| 4806 | FIVE POINT HOLDINGS LLC 33833Q106 | $4060.7B | 3 |
| 4807 | INNOVATOR ETFS TRUST 45783Y681 | $4051.9B | 6 |
| 4808 | DIMENSIONAL ETF TRUST 25434V757 | $4049.5B | 4 |
| 4809 | BANCO BBVA ARGENTINA S A 058934100 | $4044.3B | 2 |
| 4810 | I3 VERTICALS INC 46571Y107 | $4040.3B | 8 |
| 4811 | SILVERCREST ASSET MGMT GROUP I CL A 828359109 | $4035.9B | 4 |
| 4812 | INNOVATOR ETFS TRUST 45783Y756 | $4031.6B | 5 |
| 4813 | ARMOUR RESIDENTIAL REIT INC 042315705 | $4029.2B | 11 |
| 4814 | THIRD COAST BANCSHARES INC 88422P109 | $4027.0B | 7 |
| 4815 | FT VEST US EQUITY MODERATE BUFFER ETF - OCTOBER 33740U695 | $4026.6B | 4 |
| 4816 | ROCKET COS INC 77311W951 | $4024.4B | 2 |
| 4817 | FIRST TRUST NASDAQ OIL & GAS ETF 33738R845 | $4012.8B | 5 |
| 4818 | iShares Core 10 Year USD Bond ETF 464289479 | $4012.4B | 4 |
| 4819 | PEAPACK-GLADSTONE FINL CORP 704699107 | $4009.9B | 8 |
| 4820 | AGILON HEALTH INC 00857U107 | $4007.9B | 8 |
| 4821 | PROSPECT CAP CORP 74348T102 | $4007.3B | 14 |
| 4822 | VIRTUS EQUITY & CONVERTIBLE 92841M101 | $4005.8B | 5 |
| 4823 | OMEROS CORP 682143102 | $3987.9B | 7 |
| 4824 | AB ACTIVE ETFS INC 00039J103 | $3987.1B | 3 |
| 4825 | SIEMENS A G FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 826197501 | $3986.8B | 2 |
| 4826 | ACCO BRANDS CORP 00081T108 | $3984.7B | 10 |
| 4827 | CENTRAL SECS CORP 155123102 | $3978.3B | 3 |
| 4828 | NPK INTERNATIONAL INC 651718504 | $3977.7B | 7 |
| 4829 | JENA ACQUISITION CORP II G5093B105 | $3969.8B | 2 |
| 4830 | GOLDEN OCEAN GROUP LTD G39637205 | $3966.7B | 5 |
| 4831 | HCM II ACQUISITION CORP G43658106 | $3965.6B | 4 |
| 4832 | NUVEEN NASDAQ 100 DYNAMIC OV 670699107 | $3965.5B | 8 |
| 4833 | COSTAMARE INC SHS Y1771G102 | $3964.1B | 10 |
| 4834 | DOUBLELINE INCOME SOLUTIONS 258622109 | $3963.8B | 13 |
| 4835 | ISHARES IBONDS 2027 HY INC 46436E478 | $3961.7B | 5 |
| 4836 | TRANSALTA CORP 89346D107 | $3958.5B | 10 |
| 4837 | PEAKSTONE REALTY TRUST 39818P799 | $3957.4B | 13 |
| 4838 | PERIMETER SOLUTIONS INC 71385M107 | $3957.0B | 8 |
| 4839 | GLOBAL X VARIABLE RATE PREF 37954Y376 | $3955.7B | 4 |
| 4840 | SPRING VALLEY ACQUISTN CORP G83752108 | $3949.3B | 3 |
| 4841 | ETSY INC 29786AAJ5 | $3936.3B | 2 |
| 4842 | ZOETIS INC 98978V953 | $3931.9B | 2 |
| 4843 | CULP INC 230215105 | $3924.2B | 2 |
| 4844 | MEDTRONIC PLC G5960L903 | $3923.9B | 2 |
| 4845 | CADRE HLDGS INC 12763L105 | $3921.8B | 7 |
| 4846 | GALAXY DIGITAL INC 36317J209 | $3913.0B | 7 |
| 4847 | WEAVE COMMUNICATIONS INC 94724R108 | $3909.5B | 6 |
| 4848 | FIRST TR EXCHNG TRADED FD VI 33740F870 | $3909.1B | 5 |
| 4849 | ABRDN BLOOMBERG ALL COMMODITY 003261104 | $3907.1B | 5 |
| 4850 | BLACKROCK ENHANCED EQTY DVD 09251A104 | $3902.8B | 14 |
| 4851 | PLAYA HOTELS & RESORTS NV N70544106 | $3893.7B | 2 |
| 4852 | INNOVATOR EQ DEF PROT 2YJ26 45783Y418 | $3891.4B | 6 |
| 4853 | FLEXSHARES HIGH YIELD VALUE 33939L662 | $3888.9B | 4 |
| 4854 | WEN ACQUISITION CORP G9R39C103 | $3886.5B | 2 |
| 4855 | XERIS BIOPHARMA HOLDINGS INC 98422E103 | $3880.3B | 10 |
| 4856 | MICROCHIP TECHNOLOGY INC. 595017BG8 | $3880.2B | 4 |
| 4857 | INNOVATOR U S 45782C664 | $3880.0B | 4 |
| 4858 | ISHARES MSCI CHINA A ETF 46434V514 | $3877.8B | 4 |
| 4859 | MFA FINL INC 55272X607 | $3872.4B | 9 |
| 4860 | CANTALOUPE INC 138103106 | $3869.4B | 3 |
| 4861 | INNOV PREM INC 15 BARR - JAN 45783Y368 | $3869.3B | 2 |
| 4862 | NANO NUCLEAR ENERGY INC COM 63010H108 | $3865.6B | 12 |
| 4863 | LISTED FDS TR 53656F599 | $3865.5B | 4 |
| 4864 | DMC GLOBAL INC 23291C103 | $3865.1B | 5 |
| 4865 | Biglari Holdings Inc 08986R309 | $3862.1B | 7 |
| 4866 | HINGHAM INSTN SVGS MASS 433323102 | $3862.0B | 4 |
| 4867 | ISHARES CORE 30 70 CON 464289883 | $3857.2B | 5 |
| 4868 | FERROGLOBE PLC G33856108 | $3854.8B | 6 |
| 4869 | COMPOSECURE INC 20459V105 | $3848.5B | 8 |
| 4870 | SEI EXCHANGE TRADED FUNDS 81589A601 | $3847.1B | 2 |
| 4871 | ATLANTA BRAVES HLDGS INC COM SER A 047726104 | $3846.7B | 9 |
| 4872 | KKR REAL ESTATE FIN TR INC 48251K100 | $3846.3B | 5 |
| 4873 | TRAEGER INC 89269P103 | $3845.3B | 5 |
| 4874 | Penguin Solutions Inc 706915105 | $3822.9B | 3 |
| 4875 | PROSHARES EAFE DVD GROWERS 74347B839 | $3821.3B | 4 |
| 4876 | ISHARES MSCI AUSTRALIA ETF 464286103 | $3818.7B | 10 |
| 4877 | SLEEP NUMBER CORP 83125X103 | $3815.4B | 8 |
| 4878 | SHOE CARNIVAL INC 824889109 | $3813.3B | 9 |
| 4879 | MIMEDX GROUP INC 602496101 | $3807.7B | 12 |
| 4880 | VIMEO INC 92719V100 | $3805.7B | 8 |
| 4881 | PGIM GLOBAL HIGH YIELD FD FO 69346J106 | $3801.9B | 5 |
| 4882 | NORTHRIM BANCORP INC 666762109 | $3801.2B | 6 |
| 4883 | RESMED INC 761152907 | $3799.7B | 2 |
| 4884 | DIGI INTL INC 253798102 | $3799.3B | 11 |
| 4885 | KINDERCARE LEARNING COMPANIE 49456W105 | $3799.3B | 5 |
| 4886 | MARRIOTT INTL INC NEW 571903952 | $3792.4B | 2 |
| 4887 | ISHARES TR 464287374 | $3791.5B | 7 |
| 4888 | ISHARES MSCI GLOBAL METALS & MINING PRODUCERS ETF 46434G848 | $3789.7B | 8 |
| 4889 | PIONEER ACQUISITION I CORP G7117W123 | $3787.6B | 3 |
| 4890 | HENNESSY CAPITAL INVST CORP 42600H108 | $3787.3B | 2 |
| 4891 | BIOVENTUS INC 09075A108 | $3773.4B | 7 |
| 4892 | PROSHARES S&P 500 EX-ENERGY 74347B581 | $3771.8B | 2 |
| 4893 | EL POLLO LOCO HLDGS INC 268603107 | $3771.1B | 6 |
| 4894 | SILVERBOW RES INC 82836G102 | $3763.3B | 2 |
| 4895 | PRA GROUP INC 69354N106 | $3759.1B | 5 |
| 4896 | HORIZON BANCORP INC 440407104 | $3756.3B | 12 |
| 4897 | SOUTHERN STATES BANCSHARES 843878307 | $3755.2B | 3 |
| 4898 | GORILLA TECHNOLOGY GROUP INC G4000K175 | $3752.7B | 4 |
| 4899 | PLAYSTUDIOS INC 72815G108 | $3750.2B | 6 |
| 4900 | TELEFONAKTIEBOLAGET LM ERICS 294821608 | $3745.1B | 19 |
| 4901 | PARAMOUNT GROUP INC 69924R108 | $3742.2B | 7 |
| 4902 | ICICI BANK LIMITED 45104G904 | $3733.7B | 2 |
| 4903 | ISHARES US PHARMACEUTICALS E 464288836 | $3728.3B | 8 |
| 4904 | MORTGAGE-BACKED SECURITIES 46654Q575 | $3727.8B | 3 |
| 4905 | OFFERPAD SOLUTIONS INC 67623L307 | $3725.7B | 4 |
| 4906 | STEELCASE INC 858155203 | $3724.8B | 9 |
| 4907 | FIRST TR INTER DURATN PFD & IN COM 33718W103 | $3723.3B | 10 |
| 4908 | SHOPIFY INC 82509LAA5 | $3719.4B | 2 |
| 4909 | COHEN & STEERS REIT & PFD & 19247X100 | $3715.4B | 10 |
| 4910 | PREFORMED LINE PRODS CO 740444104 | $3713.6B | 7 |
| 4911 | U HAUL HOLDING COMPANY 023586100 | $3713.1B | 11 |
| 4912 | INVESCO EXCH TRD SLF IDX FD 46138J445 | $3710.3B | 6 |
| 4913 | STRIVE U.S. ENERGY ETF 02072L722 | $3705.2B | 9 |
| 4914 | FIRST TR EXCH TRADED FD III 33739P202 | $3705.0B | 2 |
| 4915 | FRANKLIN TEMPLETON ETF TR 35473P645 | $3704.4B | 2 |
| 4916 | NUVEEN ESG INTERNATIONAL DEVELOPED MARKETS EQUITY ETF 67092P805 | $3699.6B | 6 |
| 4917 | ORCHID IS CAP INC 68571X301 | $3698.4B | 10 |
| 4918 | GABELLI HEALTHCARE & WELLNESS SHS 36246K103 | $3696.6B | 5 |
| 4919 | FIDELITY FUNDAMENTAL LARGE CAP 316092337 | $3695.4B | 2 |
| 4920 | CANTOR EQUITY PARTNERS III I G1828A108 | $3693.8B | 2 |
| 4921 | ARK ETF TR 00214Q203 | $3692.2B | 9 |
| 4922 | HELLO GROUP INC 423403104 | $3691.5B | 8 |
| 4923 | SPDR S&P GLOBAL INFRASTRUCTU 78463X855 | $3689.4B | 7 |
| 4924 | PRECIGEN INC 74017N105 | $3689.0B | 15 |
| 4925 | NUSHARES ETF TR 67092P862 | $3673.1B | 2 |
| 4926 | CECO ENVIRONMENTAL CORP 125141101 | $3671.0B | 7 |
| 4927 | Sunnova Energy International 86745K104 | $3669.9B | 9 |
| 4928 | RIVERNORTH OPPORTUNITIES FD 76881Y109 | $3662.7B | 3 |
| 4929 | CONMED CORP 207410AH4 | $3659.5B | 3 |
| 4930 | TORTOISE ENERGY INFRA CORP COM 89147L886 | $3655.8B | 7 |
| 4931 | CAMBRIA ETF TR 132061813 | $3653.5B | 2 |
| 4932 | PARK-OHIO HLDGS CORP 700666100 | $3642.8B | 7 |
| 4933 | TETRA TECH INC NEW 88162GAB9 | $3641.1B | 4 |
| 4934 | FT VEST US EQUITY BUFFER & P 33740F375 | $3640.8B | 3 |
| 4935 | XTRACKERS MSCI USA SELECTION E 233051150 | $3638.3B | 4 |
| 4936 | SYMBOTIC INC 87151X951 | $3637.6B | 2 |
| 4937 | SOUTHSIDE BANCSHARES INC 84470P109 | $3637.4B | 9 |
| 4938 | RADIANT LOGISTICS INC 75025X100 | $3637.0B | 4 |
| 4939 | SPDR SSGA MULTI-ASSET REAL R 78467V103 | $3634.4B | 9 |
| 4940 | MASTERCRAFT BOAT HLDGS INC 57637H103 | $3632.3B | 5 |
| 4941 | ISHARES SELF-DRIVING EV & TECH ETF 46435U366 | $3629.3B | 6 |
| 4942 | HORIZON EXPEDITION PLUS ETF 44053A630 | $3627.4B | 2 |
| 4943 | AAM S&P 500 HIGH DIV VAL ETF 26922A594 | $3626.6B | 3 |
| 4944 | NUVEEN NEW JERSEY QULT MUN F 67069Y102 | $3621.8B | 6 |
| 4945 | INNOVATOR ETFS TRUST 45783Y608 | $3620.3B | 4 |
| 4946 | INNOVATOR US EQ BUFFER-MAR 45782C391 | $3620.0B | 6 |
| 4947 | DRAFTKINGS INC NEW 26142V905 | $3618.0B | 2 |
| 4948 | PROSHARES ULTRAPRO SHORT DOW 30 ETF 74347G135 | $3613.0B | 4 |
| 4949 | PENNYMAC CORP 70932AAH6 | $3612.2B | 2 |
| 4950 | GABELLI EQUITY TRUST 362397101 | $3607.2B | 12 |
| 4951 | SPDR SERIES TRUST 78464A714 | $3601.7B | 5 |
| 4952 | TRINITY CAP INC 896442308 | $3601.1B | 8 |
| 4953 | PIMCO ETF TR 72201R577 | $3600.9B | 11 |
| 4954 | INVESCO EXCHANGE TRADED FD T 46137V456 | $3599.5B | 6 |
| 4955 | MARRIOTT INTL INC NEW 571903902 | $3599.0B | 2 |
| 4956 | MOVADO GROUP INC 624580106 | $3596.8B | 9 |
| 4957 | HENNESSY FDS TR 42588P692 | $3593.7B | 3 |
| 4958 | GREIF INC 397624206 | $3589.2B | 8 |
| 4959 | SUMMIT HOTEL PPTYS INC 866082100 | $3588.5B | 12 |
| 4960 | VAN SHT TX EXPT BND 921935870 | $3585.5B | 11 |
| 4961 | XTRACKERS MSCI EUROPE HEDGED EQUITY ETF 233051853 | $3583.3B | 9 |
| 4962 | ELLINGTON FINANCIAL INC 28852N109 | $3579.0B | 5 |
| 4963 | LEXICON PHARMACEUTICALS 528872302 | $3574.3B | 9 |
| 4964 | EATON VANCE RISK-MANAGED DIV 27829G106 | $3570.2B | 7 |
| 4965 | LATTICE STRATEGIES TR 518416201 | $3569.8B | 2 |
| 4966 | RPC INC 749660106 | $3568.4B | 11 |
| 4967 | WISDOMTREE INTL L/C DVD FUND 97717W794 | $3565.5B | 4 |
| 4968 | GINKGO BIOWORKS HOLDINGS INC CL A NEW 37611X209 | $3564.4B | 9 |
| 4969 | VICTORYSHARES US SMALL CAP H 92647N873 | $3562.6B | 2 |
| 4970 | HIBBETT INC 428567101 | $3560.9B | 3 |
| 4971 | INNOVATOR GROWTH 45782C334 | $3558.8B | 9 |
| 4972 | QUANTUMSCAPE CORP 74767V109 | $3544.7B | 20 |
| 4973 | BLACKROCK, INC. 464286251 | $3540.3B | 6 |
| 4974 | VANECK BIOTECH ETF 92189F726 | $3538.2B | 9 |
| 4975 | REZOLVE AI PLC G75398100 | $3536.5B | 6 |
| 4976 | RUMBLEON INC-B 781386305 | $3534.1B | 4 |
| 4977 | SANA BIOTECHNOLOGY INC 799566104 | $3533.9B | 13 |
| 4978 | EATON VANCE NATL MUN 27829L105 | $3531.0B | 3 |
| 4979 | CLIMB GLOBAL SOLUTIONS INC 946760105 | $3527.9B | 9 |
| 4980 | ORGANIGRAM HLDGS INC 68620P705 | $3526.3B | 2 |
| 4981 | AMC ENTMT HLDGS INC 00165C302 | $3523.6B | 19 |
| 4982 | BLACKROCK FLOATING RATE INCO 09255X100 | $3523.5B | 10 |
| 4983 | VIRTUS DIVIDEND INTEREST & PR 92840R101 | $3516.7B | 5 |
| 4984 | EnLink Midstream LLC 29336T100 | $3516.0B | 6 |
| 4985 | FIRST FINANCIAL NORTHWEST IN 32022K102 | $3513.6B | 3 |
| 4986 | OPENDOOR TECHNOLOGIES IN 683712103 | $3511.3B | 16 |
| 4987 | LUMINAR TECHNOLOGIES INC 550424953 | $3510.1B | 2 |
| 4988 | MIDWESTONE FINL GROUP INC NE 598511103 | $3507.3B | 4 |
| 4989 | ARCUS BIOSCIENCES INC COM 03969F109 | $3506.7B | 7 |
| 4990 | FIRST TRUST INDXX NEXTG ETF 33737K205 | $3498.5B | 5 |
| 4991 | VICTORYSHARES US LARGE CAP 92647N865 | $3493.8B | 3 |
| 4992 | ZIFF DAVIS INC 48123VAE2 | $3489.6B | 3 |
| 4993 | WM TECHNOLOGY INC COM 92971A109 | $3482.8B | 5 |
| 4994 | TENARIS S A 88031M109 | $3477.6B | 12 |
| 4995 | GRANITE RIDGE RESOURCES INC 387432107 | $3477.5B | 5 |
| 4996 | BLACKSTONE MORTGAGE TRUST IN 09257WAE0 | $3472.5B | 4 |
| 4997 | NEW YORK LIFE INVTS ACTIVE E 45409F843 | $3467.2B | 3 |
| 4998 | AVEANNA HEALTHCARE HLDGS INC 05356F105 | $3466.4B | 5 |
| 4999 | YALLA GROUP LTD 98459U103 | $3465.1B | 7 |
| 5000 | INNOVATE CORP 45784J303 | $3462.9B | 2 |
| 5001 | NATURAL GAS SVCS GROUP INC 63886Q109 | $3457.2B | 6 |
| 5002 | FIDELITY MERRIMACK STR TR 316188101 | $3452.2B | 4 |
| 5003 | FIRST TR EXCH TRADED FD III 33740J104 | $3446.8B | 6 |
| 5004 | DIMENSNL EMG MRKT SUS 25434V682 | $3440.9B | 4 |
| 5005 | HAVERTY FURNITURE COS INC 419596101 | $3435.2B | 8 |
| 5006 | GOLDMAN SACHS ACCESS INFLATI 381430362 | $3434.8B | 2 |
| 5007 | IMMERSION CORP 452521107 | $3434.5B | 7 |
| 5008 | NEXTNAV INC 65345N106 | $3430.3B | 4 |
| 5009 | SWIFTMERGE ACQUISITION CORP G63836103 | $3428.4B | 2 |
| 5010 | KINGSOFT CLOUD HLDGS LTD 49639K101 | $3428.0B | 6 |
| 5011 | WISDOMTREE TR 97717Y725 | $3426.7B | 6 |
| 5012 | EMPIRE ST RLTY TR INC 292104106 | $3421.2B | 11 |
| 5013 | WESTERN ASSET HIGH INCOME OP 95766K109 | $3413.5B | 6 |
| 5014 | LVMH MOET HENNESSY LOU FSPONSORED ADR 1 ADR REPS 0.2 ORD SHS 502441306 | $3411.7B | 2 |
| 5015 | ISHARES GLOBAL CONSUMER DISC 464288745 | $3409.7B | 5 |
| 5016 | LEGATO MERGER CORP III G5451A103 | $3405.0B | 3 |
| 5017 | INNOVID CORP 457679108 | $3399.0B | 2 |
| 5018 | KEURIG DR PEPPER INC 49271V900 | $3395.1B | 3 |
| 5019 | Ur-Energy Inc 91688R108 | $3390.7B | 11 |
| 5020 | INVESCO BULLETSHARES 2034 CB 46139W783 | $3387.5B | 4 |
| 5021 | ISHARES TR 46436E544 | $3384.7B | 5 |
| 5022 | PROSHARES BITCOIN ETF 74347G440 | $3370.9B | 15 |
| 5023 | ISHARES TR 46435U283 | $3370.3B | 7 |
| 5024 | INNOVATOR US EQ ULTRA-JAN 45782C300 | $3369.7B | 3 |
| 5025 | FTAI INFRASTRUCTURE INC COMMON STOCK 35953C106 | $3369.4B | 8 |
| 5026 | ISHARES MSCi USA SMALL-CAP MIN VOL FACTOR ETF 46435G433 | $3367.9B | 5 |
| 5027 | BERENSON ACQUISITION CORP I 083690107 | $3366.1B | 2 |
| 5028 | NEWHOLD INVT CORP III G6486E128 | $3366.0B | 2 |
| 5029 | VENTURE GLOBAL INC 92333F101 | $3365.7B | 7 |
| 5030 | OXLEY BRIDGE ACQ LTD G6858G123 | $3365.2B | 2 |
| 5031 | INVESCO S&P 500 EQUAL WEIGHT 46137V324 | $3358.6B | 8 |
| 5032 | INVESCO BULLETSHARES 2029 HIGH YIELD CORPORATE BOND ETF 46138J395 | $3354.2B | 6 |
| 5033 | PENNANTPARK INVT CORP 708062104 | $3352.1B | 7 |
| 5034 | KAYNE ANDERSON BDC INC 48662X105 | $3351.9B | 5 |
| 5035 | MERIDIANLINK INC 58985J105 | $3350.6B | 4 |
| 5036 | BRAEMAR HOTELS & RESORTS INC 10482B101 | $3347.8B | 6 |
| 5037 | PERFICIENT INC 71375U101 | $3341.5B | 5 |
| 5038 | INVESCO EXCHANGE TRADED FD T 46137V605 | $3340.2B | 5 |
| 5039 | INNOVATOR ETFS TRUST 45783Y244 | $3338.9B | 4 |
| 5040 | IB ACQUISITION CORP 44934N108 | $3338.3B | 2 |
| 5041 | BHP GROUP LTD 088606958 | $3335.6B | 2 |
| 5042 | FARMLAND PARTNERS INC 31154R109 | $3335.4B | 13 |
| 5043 | VANGUARD WELLINGTON FD 921935607 | $3326.0B | 6 |
| 5044 | GRANITESHARES ETF TR 38747R827 | $3325.3B | 5 |
| 5045 | CELCUITY INC 15102K100 | $3323.0B | 4 |
| 5046 | TRUSTCO BK CORP N Y 898349204 | $3320.0B | 9 |
| 5047 | ORMAT TECHNOLOGIES INC 686688AB8 | $3308.1B | 2 |
| 5048 | COLUMBUS MCKINNON CORP N Y 199333105 | $3306.4B | 9 |
| 5049 | WEIBO CORP 948596101 | $3304.9B | 7 |
| 5050 | MIDLAND STATES BANCORP INC 597742105 | $3297.4B | 7 |
| 5051 | GOLD FIELDS LTD NEW F 38059T106 | $3289.8B | 16 |
| 5052 | GESHER ACQUISITION CORP. II G3852D123 | $3286.8B | 2 |
| 5053 | METALLUS INC 887399103 | $3285.1B | 10 |
| 5054 | ELECTROMED INC 285409108 | $3282.8B | 6 |
| 5055 | LABORATORY CORP AMER HLDGS COM USD0.1 50540R409 | $3282.5B | 4 |
| 5056 | BILL HOLDINGS INC 090043AD2 | $3277.8B | 2 |
| 5057 | AVANTIS INTL SM CAP EQ ETF 025072190 | $3277.3B | 2 |
| 5058 | UNILEVER PLC 904767803 | $3276.2B | 8 |
| 5059 | FARMERS NATIONAL BANC CORP 309627107 | $3270.7B | 7 |
| 5060 | EATON VANCE TAX ADVT DIV INC 27828G107 | $3267.6B | 5 |
| 5061 | NIAGEN BIOSCIENCE INC 171077407 | $3266.7B | 4 |
| 5062 | NUVEEN SELECT TAX-FREE INCOM 67062F100 | $3266.6B | 6 |
| 5063 | LATAM AIRLINES GROUP SA 51817R205 | $3262.6B | 6 |
| 5064 | T ROWE PRICE ETF INC 87283Q305 | $3259.4B | 3 |
| 5065 | Cantor Equity Partners Inc G4491L104 | $3257.2B | 3 |
| 5066 | ABRDN TOTAL DYNAMIC DIVIDEND COM SH BEN INT 00326L100 | $3257.1B | 6 |
| 5067 | L3HARRIS TECHNOLOGIES INC 502431959 | $3256.2B | 2 |
| 5068 | T ROWE PRICE ETF INC 87283Q826 | $3238.9B | 4 |
| 5069 | TAIWAN FD INC 874036106 | $3236.2B | 4 |
| 5070 | PROSHARES INVESTMENT GRADE-INTEREST RATE HEDGED 74347B607 | $3234.6B | 8 |
| 5071 | GREENLIGHT CAPITAL RE LTD G4095J109 | $3231.8B | 6 |
| 5072 | SIMPLIFY SHORT TERM TREASURY FUTURES STRATEGY ETF 82889N657 | $3230.3B | 6 |
| 5073 | CIMPRESS PLC G2143T103 | $3229.9B | 5 |
| 5074 | PATRIA INVESTMENTS LIMITED G69451105 | $3224.4B | 7 |
| 5075 | MONTROSE ENVIRONMENTAL GROUP 615111101 | $3222.4B | 9 |
| 5076 | FLEXSHARES TR 33939L845 | $3218.7B | 9 |
| 5077 | CELESTICA INC 15101Q108 | $3216.6B | 3 |
| 5078 | THRYV HLDGS INC 886029206 | $3203.5B | 7 |
| 5079 | SFL CORPORATION LTD G7738W106 | $3203.1B | 10 |
| 5080 | WOORI FINL GROUP INC 981064108 | $3200.3B | 9 |
| 5081 | SNAP INC 83304AAK2 | $3199.5B | 3 |
| 5082 | PIMCO ETF TR 72201R635 | $3193.6B | 5 |
| 5083 | HIMAX TECHNOLOGIES INC 43289P106 | $3187.8B | 10 |
| 5084 | ALLOT LTD M0854Q105 | $3182.0B | 4 |
| 5085 | SPROTT FOCUS TR INC 85208J109 | $3180.3B | 2 |
| 5086 | Innovator U.S. Small Cap Power Buffer ETF - October 45782C599 | $3179.8B | 5 |
| 5087 | Encore Energy Corp 29259W700 | $3176.7B | 10 |
| 5088 | VIRTUS ARTIFICIAL INTELLIGENCE COM 92838Y100 | $3174.3B | 4 |
| 5089 | EMERGENT BIOSOLUTIONS INC 29089Q105 | $3172.9B | 10 |
| 5090 | REDWOOD TRUST INC 758075AF2 | $3157.9B | 2 |
| 5091 | WATERBRIDGE INFRASTRUCTURE L 940923105 | $3152.5B | 2 |
| 5092 | GLOBAL PMTS INC 37940XAU6 | $3148.4B | 2 |
| 5093 | FIDELITY US MULTIFACTOR ETF 316092378 | $3143.6B | 4 |
| 5094 | J P MORGAN EXCHANGE TRADED F 46654Q732 | $3140.6B | 7 |
| 5095 | FIRST TR EXCHANGE TRADED FD 33738R407 | $3139.3B | 4 |
| 5096 | WEC ENERGY GROUP INC 92939UAR7 | $3129.0B | 2 |
| 5097 | FIDELITY DIV ETF RISE RATES 316092832 | $3127.6B | 6 |
| 5098 | DYNEX CAP INC 26817Q886 | $3126.0B | 9 |
| 5099 | GORES HLDGS X INC G4002F109 | $3125.8B | 2 |
| 5100 | OR ROYALTIES INC. 68390D106 | $3123.5B | 5 |
| 5101 | MINERALYS THERAPEUTICS INC 603170101 | $3121.9B | 8 |
| 5102 | NUVEEN CA QUALTY MUN INCOME 67066Y105 | $3121.0B | 8 |
| 5103 | ULTA BEAUTY INC 90384S903 | $3119.6B | 2 |
| 5104 | FIRST TRUST NASDAQ SEMICONDU 33738R811 | $3117.0B | 8 |
| 5105 | GOLD ROYALTY CORP 38071H122 | $3115.8B | 3 |
| 5106 | ISHARES MSCI GERMANY ETF 464286806 | $3115.2B | 9 |
| 5107 | BLEND LABS INC 09352U108 | $3113.1B | 8 |
| 5108 | PULMONX CORP 745848101 | $3108.4B | 7 |
| 5109 | Symbotic Inc 87151X101 | $3102.4B | 15 |
| 5110 | GOLDMAN SACHS ETF TR 38149W788 | $3094.3B | 2 |
| 5111 | SPDR RUSSELL LOW VOL FOCUS 78468R754 | $3091.4B | 6 |
| 5112 | STONERIDGE INC 86183P102 | $3091.4B | 7 |
| 5113 | HERON THERAPEUTICS INC 427746102 | $3089.8B | 11 |
| 5114 | JD.COM INC 47215P956 | $3088.7B | 2 |
| 5115 | ACACIA RESH CORP 003881307 | $3085.7B | 5 |
| 5116 | PORTILLOS INC 73642K106 | $3084.9B | 9 |
| 5117 | FIRST TRUST SMALL CAP GROWTH 33737M300 | $3084.6B | 4 |
| 5118 | NUVEEN MUN HIGH INCOME OPPOR 670682103 | $3081.3B | 2 |
| 5119 | ONEOK INC NEW 682680903 | $3080.7B | 2 |
| 5120 | RENAISSANCE CAP GREENWICH FD 759937204 | $3080.1B | 5 |
| 5121 | CAPITOL SER TR 14064D519 | $3078.5B | 2 |
| 5122 | ALPHA & OMEGA SEMICONDUCTOR G6331P104 | $3076.1B | 12 |
| 5123 | COHEN & STEERS QUAL INC RLTY 19247L106 | $3071.2B | 7 |
| 5124 | ALERUS FINL CORP 01446U103 | $3070.8B | 6 |
| 5125 | SPDR S&P PHARMACEUTICALS ETF 78464A722 | $3070.5B | 5 |
| 5126 | TEEKAY TANKERS LTD Y8565N300 | $3067.5B | 3 |
| 5127 | WHITEFIBER INC G96115103 | $3063.5B | 2 |
| 5128 | GAMCO GLOBAL GOLD NAT RES & 36465A109 | $3063.2B | 8 |
| 5129 | COUCHBASE INC 22207T101 | $3063.1B | 4 |
| 5130 | CLEAN ENERGY FUELS CORP COM 184499101 | $3062.3B | 14 |
| 5131 | REIN THERAPEUTICS INC 00887A204 | $3058.1B | 2 |
| 5132 | GENCO SHIPPING & TRADING LTD Y2685T131 | $3053.3B | 9 |
| 5133 | ATLAS LITHIUM CORP 105861306 | $3052.1B | 2 |
| 5134 | PLUG PWR INC 72919P202 | $3050.5B | 28 |
| 5135 | Y-MABS THERAPEUTICS INC 984241109 | $3048.7B | 7 |
| 5136 | UNIVERSAL INS HLDGS INC 91359V107 | $3048.1B | 8 |
| 5137 | NUVEEN CR STRATEGIES INCOME 67073D102 | $3047.7B | 9 |
| 5138 | FUNKO INC 361008105 | $3045.7B | 6 |
| 5139 | INNOVATOR ETFS TRUST 45782C839 | $3043.3B | 6 |
| 5140 | CRAWFORD & CO 224633206 | $3043.2B | 8 |
| 5141 | CAMBRIA GLOBAL MOMENTUM ETF 132061508 | $3038.5B | 2 |
| 5142 | PINTEREST INC 72352L906 | $3038.5B | 2 |
| 5143 | ENERPLUS CORP 292766102 | $3034.4B | 2 |
| 5144 | SPDR BLOOMBERG EMERGING MARKET 78464A391 | $3028.7B | 11 |
| 5145 | NUVEEN AMT FREE MUN CR INC FD COM 67071L106 | $3025.2B | 14 |
| 5146 | HOME BANCORP INC 43689E107 | $3019.8B | 4 |
| 5147 | NUVEEN DYNAMIC MUN OPPORTUNI COM SHS 67079X102 | $3019.2B | 4 |
| 5148 | GLOBAL X CLOUD COMPUTING ETF 37954Y442 | $3016.6B | 7 |
| 5149 | TFI INTL INC 87241L109 | $3014.4B | 10 |
| 5150 | ISHARES MSCI KUWAIT ETF 46436E817 | $3014.2B | 2 |
| 5151 | INVESCO LARGE CAP VALUE ETF 46137V738 | $3012.1B | 7 |
| 5152 | BUMBLE INC 12047B105 | $3012.1B | 13 |
| 5153 | KIMBALL ELECTRONICS INC 49428J109 | $3010.6B | 9 |
| 5154 | ISHARES MSCI QATAR ETF 46434V779 | $3010.2B | 2 |
| 5155 | GSR IV ACQUISITION CORP G4R12K123 | $3005.1B | 2 |
| 5156 | BELPOINTE PREP LLC 080694102 | $3001.6B | 5 |
| 5157 | Uniti Group Inc 912932100 | $2999.9B | 4 |
| 5158 | NINTENDO CO LTD 654445303 | $2997.5B | 2 |
| 5159 | PINTEREST INC 72352L956 | $2994.8B | 2 |
| 5160 | ISHARES TR 464288406 | $2994.3B | 6 |
| 5161 | AIR PRODS & CHEMS INC 009158956 | $2992.8B | 2 |
| 5162 | ORIC PHARMACEUTICALS INC 68622P109 | $2992.1B | 5 |
| 5163 | CAPITAL BANCORP INC MD 139737100 | $2990.9B | 4 |
| 5164 | ISHARES TR 464288729 | $2989.3B | 6 |
| 5165 | WEC ENERGY GROUP INC 92939UAP1 | $2988.3B | 2 |
| 5166 | SOUTHWESTERN ENERGY CO 845467109 | $2987.6B | 8 |
| 5167 | NEW YORK LIFE INVESTMENTS ET 45409B461 | $2985.0B | 2 |
| 5168 | BARNES & NOBLE ED INC 06777U200 | $2983.9B | 6 |
| 5169 | FLAHERTY & CRMRN PRF INC 338478100 | $2981.8B | 9 |
| 5170 | FT VEST US EQUITY ENHANCE & 33740F334 | $2981.6B | 2 |
| 5171 | JBT MAREL CORPORATION 477839AB0 | $2980.2B | 4 |
| 5172 | WISDOMTREE CLOUD COMPUTING FUND 97717Y691 | $2978.9B | 7 |
| 5173 | THORNBURG INCM BUILDER OPP T 885213108 | $2975.6B | 2 |
| 5174 | ALLIENT INC 019330109 | $2974.9B | 8 |
| 5175 | PAYSAFE LIMITED G6964L206 | $2974.0B | 11 |
| 5176 | PACTIV EVERGREEN INC 69526K105 | $2973.8B | 2 |
| 5177 | RADIUS RECYCLING INC 806882106 | $2973.7B | 3 |
| 5178 | ANGI INC 00183L201 | $2963.7B | 10 |
| 5179 | UTAH MED PRODS INC 917488108 | $2963.3B | 6 |
| 5180 | FASTLY INC CL A 31188V100 | $2959.6B | 12 |
| 5181 | M-TRON INDS INC 55380K109 | $2959.4B | 3 |
| 5182 | MORGAN STANLEY ETF TRUST 61774R858 | $2958.3B | 2 |
| 5183 | IMMUNOCORE HLDGS PLC 45258DAB1 | $2950.2B | 2 |
| 5184 | SEPTERNA INC 81734D104 | $2942.6B | 6 |
| 5185 | AIM ETF PRODUCTS TRUST 00888H703 | $2938.6B | 7 |
| 5186 | ARCHIMEDES TECH SPAC PARTNER G04537117 | $2938.6B | 2 |
| 5187 | RE MAX HLDGS INC CL A 75524W108 | $2938.4B | 6 |
| 5188 | DEERE & CO 244199955 | $2938.2B | 2 |
| 5189 | SC II ACQUISITION CORP G7866D128 | $2937.4B | 2 |
| 5190 | JELD-WEN HLDG INC 47580P103 | $2937.1B | 8 |
| 5191 | INVESCO MORTGAGE CAPITAL INC 46131B704 | $2936.8B | 11 |
| 5192 | MAYVILLE ENGR CO INC 578605107 | $2936.1B | 7 |
| 5193 | GOLDMAN SACHS HEDGE INDUSTRY VIP ETF 381430545 | $2935.8B | 4 |
| 5194 | LIBERTY MEDIA CORP DEL 531229748 | $2928.9B | 9 |
| 5195 | SPDR S&P HEALTH CARE EQUIPME 78464A581 | $2928.7B | 7 |
| 5196 | J JILL INC 46620W201 | $2928.7B | 6 |
| 5197 | SUZANO S A 86959K105 | $2928.0B | 6 |
| 5198 | VECTOR GROUP LTD 92240M108 | $2921.8B | 7 |
| 5199 | ROMAN DBDR ACQUISITION CORP G7633M104 | $2919.5B | 2 |
| 5200 | PIMCO INCOME STRATEGY FD 72201H108 | $2919.1B | 6 |
| 5201 | SEI EXCHANGE TRADED FUNDS 81589A502 | $2918.5B | 2 |
| 5202 | MOTLEY FOOL 100 INDEX 74933W601 | $2917.6B | 7 |
| 5203 | Tootsie Roll Industries Inc 890516107 | $2917.0B | 9 |
| 5204 | OCCIDENTAL PETE CORP 674599162 | $2915.0B | 20 |
| 5205 | CONOCOPHILLIPS 20825C904 | $2914.0B | 2 |
| 5206 | XPEL Inc 98379L100 | $2913.4B | 9 |
| 5207 | VERMILION ENERGY INC 923725105 | $2912.0B | 8 |
| 5208 | CYTOKINETICS INC 23282WAC4 | $2911.3B | 2 |
| 5209 | HYSTER-YALE INC 449172105 | $2910.9B | 9 |
| 5210 | T ROWE PRICE ETF INC 87283Q883 | $2910.0B | 5 |
| 5211 | BLACKROCK SCI & TECH TRM TR 09260K101 | $2909.8B | 9 |
| 5212 | REX AMERICAN RES CORP 761624105 | $2907.6B | 8 |
| 5213 | JAMES HARDIE INDS PLC 47030M106 | $2901.3B | 6 |
| 5214 | PROSHARES TR 74347R842 | $2894.9B | 6 |
| 5215 | GLOBAL X FDS 37950E291 | $2894.8B | 9 |
| 5216 | HUDSON TECHNOLOGIES INC 444144109 | $2892.2B | 9 |
| 5217 | MATTERPORT INC 577096100 | $2887.2B | 6 |
| 5218 | GABELLI ETFS TRUST 36261K400 | $2882.6B | 2 |
| 5219 | CIDARA THERAPEUTICS INC 171757206 | $2875.3B | 4 |
| 5220 | WOODSIDE ENERGY GROUP LTD 980228308 | $2872.6B | 14 |
| 5221 | OPPENHEIMER HLDGS INC CL A NON VTG 683797104 | $2872.3B | 5 |
| 5222 | PRINCIPAL SPEC PR SEC ETF 74255Y888 | $2870.7B | 6 |
| 5223 | WAYFAIR INC 94419LAM3 | $2866.8B | 2 |
| 5224 | UPEXI INC 39959A205 | $2865.9B | 4 |
| 5225 | WHITESTONE REIT 966084204 | $2865.6B | 11 |
| 5226 | BITDEER TECHNOLOGIES GROUP 09175RAA8 | $2864.9B | 2 |
| 5227 | ISHARES TR 46435U325 | $2863.7B | 6 |
| 5228 | DATAVAULT AI INC 86633R609 | $2859.2B | 3 |
| 5229 | NUVEEN MULTI-ASSET INCOME 670750108 | $2858.8B | 4 |
| 5230 | RAFFERTY ASSET MANAGEMENT, LLC 25460G138 | $2854.3B | 6 |
| 5231 | DIREXION DLY JR GOLD BULL 2X 25460G831 | $2849.3B | 3 |
| 5232 | LIGHTBRIDGE CORP 53224K302 | $2844.9B | 5 |
| 5233 | DIAMOND HILL INVT GROUP INC COM NEW 25264R207 | $2836.0B | 6 |
| 5234 | ABB LTD SPONSORED ADR 000375204 | $2830.4B | 2 |
| 5235 | PAR TECHNOLOGY CORP 698884AC7 | $2829.0B | 3 |
| 5236 | AUTOHOME INC 05278C107 | $2825.2B | 10 |
| 5237 | CONSENSUS CLOUD SOLUTIONS INC COM 20848V105 | $2824.2B | 10 |
| 5238 | NATURAL GROCERS BY VITAMIN C 63888U108 | $2822.4B | 8 |
| 5239 | AMERICAN CENTY ETF TR 025072687 | $2819.6B | 2 |
| 5240 | AVIAT NETWORKS INC 05366Y201 | $2815.2B | 5 |
| 5241 | EQV VENTURES AC CORP. II G3106Q102 | $2809.9B | 2 |
| 5242 | ORION GROUP HLDGS INC 68628V308 | $2809.6B | 8 |
| 5243 | FIRST WESTN FINL INC 33751L105 | $2809.3B | 4 |
| 5244 | ORANGE SA SPONSORED ADR 684060106 | $2795.7B | 6 |
| 5245 | NEOS ETF TRUST 78433H675 | $2791.6B | 3 |
| 5246 | INNOVATOR ETFS TRUST 45783Y665 | $2787.0B | 2 |
| 5247 | AVANTIS EMG MKT EX CHINA ETF 02507A101 | $2770.9B | 2 |
| 5248 | FIRST FINANCIAL CORPORATION 320218100 | $2769.7B | 6 |
| 5249 | NB BANCORP INC 63945M107 | $2768.4B | 2 |
| 5250 | VIRTUS ETF TR II 92790A504 | $2766.6B | 2 |
| 5251 | NEXTERA ENERGY INC 65339F119 | $2765.8B | 2 |
| 5252 | DIGITAL TURBINE INC 25400W102 | $2765.6B | 12 |
| 5253 | VIRIDIAN THERAPEUTICS INC 92790C104 | $2761.9B | 3 |
| 5254 | PAMPA ENERGIA S A SPONS ADR LVL I 697660207 | $2761.2B | 7 |
| 5255 | VESTA REAL ESTATE CORP 92540K109 | $2755.4B | 7 |
| 5256 | FIRST TR EXCHANGE-TRADED FD 33736G106 | $2747.7B | 3 |
| 5257 | FRANKLIN FTSE CANADA ETF 35473P827 | $2742.7B | 5 |
| 5258 | SCHNEIDER ELEC SA FSPONSORED ADR 1 ADR REPS 0.2 ORD SHS 80687P106 | $2741.0B | 3 |
| 5259 | AIM ETF PRODUCTS TRUST 00888H844 | $2740.8B | 4 |
| 5260 | ISHARES TR 46435G532 | $2737.1B | 8 |
| 5261 | SPERO THERAPEUTICS INC 84833T103 | $2735.7B | 2 |
| 5262 | WEST FRASER TIMBER CO LTD 952845105 | $2732.8B | 9 |
| 5263 | ARK SPACE EXPLORATION & INNO 00214Q807 | $2730.4B | 7 |
| 5264 | BITFARMS LTD 09173B107 | $2728.6B | 7 |
| 5265 | SANDY SPRING BANCORP INC CMT-COM 800363103 | $2725.4B | 4 |
| 5266 | WHERE FOOD COMES FROM INC 96327X200 | $2723.5B | 3 |
| 5267 | Tactile Systems Technology Inc 87357P100 | $2718.5B | 9 |
| 5268 | IRONWOOD PHARMACEUTICALS INC COM CL A 46333X108 | $2717.7B | 15 |
| 5269 | RIMINI STR INC DEL 76674Q107 | $2716.6B | 6 |
| 5270 | JOYY INC 46591M109 | $2710.8B | 7 |
| 5271 | NATIONAL PRESTO INDS INC 637215104 | $2710.0B | 9 |
| 5272 | SIMULATIONS PLUS INC 829214105 | $2710.0B | 10 |
| 5273 | DESIGNER BRANDS INC 250565108 | $2709.9B | 7 |
| 5274 | CERIBELL INC 15678C102 | $2708.2B | 4 |
| 5275 | BORR DRILLING LTD G1466R173 | $2703.3B | 8 |
| 5276 | ADAMAS TRUST INC. 649604840 | $2701.7B | 9 |
| 5277 | CARTESIAN THERAPEUTICS INC 816212302 | $2699.7B | 4 |
| 5278 | CHART INDS INC 16115Q407 | $2693.4B | 3 |
| 5279 | iShares Intermediate Muni In 092528207 | $2691.1B | 3 |
| 5280 | UNITED FIRE GROUP INC 910340108 | $2688.9B | 7 |
| 5281 | ISHARES TR 46436E825 | $2687.9B | 7 |
| 5282 | TEEKAY CORPORATION LTD SHS G8726T105 | $2684.2B | 6 |
| 5283 | BECTON DICKINSON & CO 075887909 | $2684.1B | 2 |
| 5284 | NUVEEN MUN INCOME FD INC 67062J102 | $2683.8B | 2 |
| 5285 | DELCATH SYS INC 24661P807 | $2681.1B | 5 |
| 5286 | 10X GENOMICS INC 88025U109 | $2668.7B | 15 |
| 5287 | PROCAP ACQUISITION CORP G7257A105 | $2666.1B | 2 |
| 5288 | GOLDMAN ACCESS EM USD BOND 381430388 | $2665.8B | 2 |
| 5289 | AB INTERNAL LOW VOLAT EQ ETF 00039J822 | $2664.2B | 2 |
| 5290 | ALLIANZIM US LC BUFFER10 OCT 00888H604 | $2662.9B | 3 |
| 5291 | SNOWFLAKE INC 833445AD1 | $2662.8B | 2 |
| 5292 | INNOVATOR PWR BUFF SU ST ETF 45783Y723 | $2661.5B | 4 |
| 5293 | PURE CYCLE CORP 746228303 | $2660.6B | 5 |
| 5294 | NORDIC AMERICAN TANKERS LIMI G65773106 | $2659.7B | 17 |
| 5295 | FINVOLUTION GROUP 31810T101 | $2658.9B | 9 |
| 5296 | NORTHEAST CMNTY BANCORP INC 664121100 | $2655.5B | 6 |
| 5297 | LITE STRATEGY INC 55279B301 | $2654.0B | 4 |
| 5298 | SPDR S&P TELECOM ETF 78464A540 | $2653.1B | 3 |
| 5299 | CAPITAL GROUP INTRNL CR 14021T102 | $2653.0B | 8 |
| 5300 | SYSCO CORP 871829907 | $2647.2B | 2 |
| 5301 | GRAHAM CORP 384556106 | $2640.1B | 8 |
| 5302 | CBL & ASSOC PPTYS INC COMMON STOCK 124830878 | $2639.9B | 7 |
| 5303 | SIZZLE ACQUISITION CORP. II G8193F125 | $2632.0B | 2 |
| 5304 | WISDOMTREE TR 97717Y683 | $2631.1B | 5 |
| 5305 | Ginkgo Bioworks Holdings Inc 37611X100 | $2627.4B | 3 |
| 5306 | BLUE OWL CAP CORP III COM SHS 69122G102 | $2626.5B | 2 |
| 5307 | GERMAN AMERN BANCORP INC 373865104 | $2616.7B | 6 |
| 5308 | ELDRIDGE BBB-B CLO ETF 81752T528 | $2615.6B | 5 |
| 5309 | WISDOMTREE TR 97717W323 | $2612.2B | 4 |
| 5310 | INVESCO EXCH TRD SLF IDX FD 46138J411 | $2607.1B | 6 |
| 5311 | VANGUARD MALVERN FDS 922020755 | $2605.5B | 4 |
| 5312 | PETROLEO BRASILEIRO SA PETRO 71654V101 | $2605.3B | 8 |
| 5313 | FIRST TR EXCHNG TRADED FD VI 33740F292 | $2601.8B | 3 |
| 5314 | NUVEEN ENH YLD US AGGR BND 67092P102 | $2599.6B | 2 |
| 5315 | SP FUNDS S&P SHARIA INDU EXC 886364801 | $2599.1B | 3 |
| 5316 | PROTHENA CORP PLC G72800108 | $2597.0B | 9 |
| 5317 | DEUTSCHE TELEKOM ADR's 251566105 | $2595.8B | 2 |
| 5318 | GENERAL AMERN INVS CO INC 368802104 | $2593.8B | 4 |
| 5319 | CLEARWATER PAPER CORP 18538R103 | $2593.4B | 8 |
| 5320 | PROSHARES ULTRA GOLD 74347W601 | $2592.8B | 5 |
| 5321 | GENERATION BIO CO 37148K100 | $2591.7B | 3 |
| 5322 | UNITY BANCORP INC 913290102 | $2590.4B | 7 |
| 5323 | INVESCO VALUE MUN INCOME TR COM 46132P108 | $2590.1B | 6 |
| 5324 | FIRST TR EXCHANGE TRADED FD 33738R688 | $2589.2B | 5 |
| 5325 | SANDRIDGE ENERGY INC 80007P869 | $2588.9B | 6 |
| 5326 | SABINE RTY TR UNIT BEN INT 785688102 | $2584.7B | 6 |
| 5327 | CARTER BANKSHARES INC 146103106 | $2584.1B | 6 |
| 5328 | TIMOTHY PLAN 887432326 | $2582.4B | 3 |
| 5329 | ROBO GLOBAL ARTIFICIAL INTELLIGENCE ETF 301505731 | $2580.0B | 4 |
| 5330 | ABRDN LIFE SCIENCES INVESTOR 87911K100 | $2578.3B | 6 |
| 5331 | PIMCO INCOME STRATEGY FD II 72201J104 | $2576.9B | 12 |
| 5332 | DOCUSIGN INC 256163956 | $2575.1B | 2 |
| 5333 | SECUREWORKS CORP 81374A105 | $2573.9B | 2 |
| 5334 | PROSHARES ONLINE RETAIL ETF 74347B169 | $2573.8B | 2 |
| 5335 | ABRDN PHYSICAL PALLADIUM 003262102 | $2570.6B | 6 |
| 5336 | EVENTBRITE INC 29975E109 | $2569.1B | 6 |
| 5337 | FLEXSHARES TR 33939L605 | $2568.9B | 9 |
| 5338 | SPDR SERIES TRUST 78464A102 | $2565.6B | 9 |
| 5339 | CONNECTONE BANCORP INC 20786W107 | $2563.9B | 8 |
| 5340 | MAG SILVER CORP 55903Q104 | $2559.5B | 4 |
| 5341 | NRX PHARMACEUTICALS INC 629444209 | $2554.8B | 3 |
| 5342 | Innovator U.S. Equity Buffer ETF - November 45782C581 | $2552.2B | 4 |
| 5343 | SEZZLE INC 78435P105 | $2545.4B | 6 |
| 5344 | ON HLDG AG H5919C954 | $2541.0B | 2 |
| 5345 | SHYFT GROUP INC 825698103 | $2539.1B | 6 |
| 5346 | FIDELITY MERRIMACK STR TR 316188408 | $2538.8B | 5 |
| 5347 | HANCOCK JOHN PFD INCOME FD I 41021P103 | $2534.8B | 5 |
| 5348 | CORE SCIENTIFIC INC NEW 21874A114 | $2532.0B | 3 |
| 5349 | VILLAGE FARMS INTL INC 92707Y108 | $2529.3B | 7 |
| 5350 | SIMPLIFY EXCHANGE TRADED FUN 82889N848 | $2524.1B | 2 |
| 5351 | NUVATION BIO INC 67080N101 | $2518.8B | 6 |
| 5352 | EATON VANCE ENHANCED EQ INCM 278274105 | $2513.3B | 6 |
| 5353 | PROSHARES ULTRA 74347X633 | $2511.2B | 6 |
| 5354 | GLOBAL X BLOCKCHAIN ETF 37960A735 | $2510.0B | 2 |
| 5355 | EQV VENTURES AC CORP. II G3106Q110 | $2502.5B | 2 |
| 5356 | NABORS INDS INC 62957HAL9 | $2502.5B | 3 |
| 5357 | RACKSPACE TECHNOLOGY INC 750102105 | $2499.1B | 4 |
| 5358 | SYNCHRONY FINANCIAL 87165B953 | $2497.7B | 2 |
| 5359 | ISHARES MSCI MEXICO ETF 464286822 | $2495.2B | 10 |
| 5360 | INNOVATOR INTL 45782C722 | $2494.3B | 4 |
| 5361 | MARTIN MIDSTREAM PRTNRS L P 573331105 | $2493.0B | 2 |
| 5362 | COMMERCE.COM INC 08975PAB4 | $2492.7B | 2 |
| 5363 | STARBOARD INVT TR 85521B759 | $2491.2B | 2 |
| 5364 | ISHARES ETHEREUM TRUST 46438R105 | $2490.6B | 14 |
| 5365 | CAMBRIA ETF TR 132061862 | $2488.8B | 2 |
| 5366 | BUILDERS FIRSTSOURCE INC 12008R907 | $2487.5B | 2 |
| 5367 | GLOBAL PARTNERS LP 37946R109 | $2487.0B | 7 |
| 5368 | SIMPLIFY EXCHANGE TRADED FUN 82889N723 | $2485.5B | 4 |
| 5369 | HAFNIA LTD SHS G4233B109 | $2483.6B | 3 |
| 5370 | COMMUNITY HEALTH SYS INC NEW 203668108 | $2477.5B | 8 |
| 5371 | AIM ETF PRODUCTS TRUST 00888H307 | $2476.5B | 5 |
| 5372 | ISHARES TR MSCI EAFE SMCP 46435G839 | $2473.3B | 6 |
| 5373 | UNIVERSAL HEALTH RLTY INCOME 91359E105 | $2467.1B | 6 |
| 5374 | VANECK RARE EARTH AND STRATEGIC METALS ETF 92189H805 | $2465.7B | 7 |
| 5375 | CSG SYS INTL INC 126349AH2 | $2458.7B | 2 |
| 5376 | FEDERATED HERMES ETF TRUST 31423L305 | $2455.4B | 3 |
| 5377 | SIMPLIFY EXCHANGE TRADED FUN 82889N772 | $2455.4B | 5 |
| 5378 | UNIVERSAL LOGISTICS HLDGS IN 91388P105 | $2454.5B | 6 |
| 5379 | MONEYLION INC 60938K304 | $2454.5B | 2 |
| 5380 | NORTHFIELD BANCORP INC DEL 66611T108 | $2452.7B | 8 |
| 5381 | FIRST TR EXCHNG TRADED FD VI 33740F466 | $2446.6B | 3 |
| 5382 | FIRST CMNTY BANKSHARES INC V 31983A103 | $2440.2B | 7 |
| 5383 | CAPITAL GROUP NEW GEOGRAPHY 14021N105 | $2440.1B | 6 |
| 5384 | PGIM HIGH YIELD BOND FUND INC COM 69346H100 | $2438.3B | 6 |
| 5385 | CAPITAL GROUP GLOBAL EQUITY 14020R107 | $2437.7B | 6 |
| 5386 | SP FUNDS DOW JONES GLOBAL SUKUK ETF 886364702 | $2431.1B | 3 |
| 5387 | VARONIS SYS INC 922280AD4 | $2428.5B | 2 |
| 5388 | ABRDN PHYSICAL PLATINUM 003260106 | $2422.3B | 10 |
| 5389 | HEARTLAND EXPRESS INC 422347104 | $2421.0B | 7 |
| 5390 | SPDR S&P GLOBAL DIVIDEND ETF 78463X459 | $2418.1B | 6 |
| 5391 | KEARNY FINL CORP MD 48716P108 | $2417.0B | 8 |
| 5392 | DINE BRANDS GLOBAL INC 254423106 | $2416.8B | 7 |
| 5393 | NL INDS INC 629156407 | $2416.2B | 4 |
| 5394 | LIBERTY ALL STAR EQUITY FD 530158104 | $2414.6B | 10 |
| 5395 | TIMOTHY PLAN US SMALL CAP CORE 887432342 | $2411.2B | 3 |
| 5396 | CULLINAN THERAPEUTICS INC 230031106 | $2408.2B | 7 |
| 5397 | ISHARES TR 46438G372 | $2407.5B | 2 |
| 5398 | GANNETT CO INC 36472T109 | $2405.2B | 8 |
| 5399 | ISHARES MSCI EMERGING MKT SM 464286475 | $2393.4B | 4 |
| 5400 | MUNIYIELD MICH INSD FD INC 09254V105 | $2382.9B | 3 |
| 5401 | GUARANTY BANCSHARES INC TEX 400764106 | $2382.8B | 5 |
| 5402 | GITLAB INC 37637K958 | $2382.1B | 2 |
| 5403 | EXELON CORP 30161N951 | $2380.2B | 2 |
| 5404 | FIRST TR EXCHANGE-TRADED FD 33735T109 | $2379.7B | 4 |
| 5405 | YIELDMAX MSTR OPTION INCOME STRATEGY ETF 88634T493 | $2379.4B | 8 |
| 5406 | GATOS SILVER INC 368036109 | $2377.8B | 3 |
| 5407 | WISDOMTREE TR 97717Y543 | $2377.4B | 7 |
| 5408 | COREWEAVE INC 21873S908 | $2371.1B | 2 |
| 5409 | BLACKROCK TCP CAPITAL CORP 09259E108 | $2367.8B | 8 |
| 5410 | LINKBANCORP INC 53578P105 | $2364.7B | 8 |
| 5411 | BLACKROCK ENHANCD CAP & INM 09256A109 | $2364.1B | 4 |
| 5412 | TANGO THERAPEUTICS INC 87583X109 | $2363.3B | 5 |
| 5413 | SABA CAPITAL INCOME & OPRNT 78518H202 | $2361.5B | 5 |
| 5414 | SILVERCREST METALS INC 828363101 | $2361.2B | 6 |
| 5415 | INVESCO MUN OPPORTUNITY TR 46132C107 | $2361.1B | 4 |
| 5416 | SITE CTRS CORP 82981J851 | $2361.0B | 8 |
| 5417 | USA COMPRESSION PARTNERS LP 90290N109 | $2360.4B | 8 |
| 5418 | SHARPS TECHNOLOGY INC 82003F309 | $2359.1B | 2 |
| 5419 | STITCH FIX INC 860897107 | $2354.5B | 10 |
| 5420 | BARCLAYS BANK PLC 06742C723 | $2352.4B | 2 |
| 5421 | CHIPOTLE MEXICAN GRILL INC 169656905 | $2351.4B | 2 |
| 5422 | EOS ENERGY ENTERPRISES I 29415C101 | $2351.3B | 13 |
| 5423 | INVESCO PHLX SEMICONDUCTOR 46138G615 | $2345.2B | 4 |
| 5424 | PACS GROUP INC COM SHS 69380Q107 | $2342.0B | 6 |
| 5425 | PERMA-PIPE INTL HLDGS INC 714167103 | $2339.9B | 3 |
| 5426 | PIMCO ETF TR 72201R569 | $2337.3B | 4 |
| 5427 | AGILENT TECHNOLOGIES INC 00846U951 | $2334.8B | 2 |
| 5428 | HIVE DIGITAL TECHNOLOGIES LT 433921103 | $2334.7B | 4 |
| 5429 | A2Z CUST2MATE SOLUTIONS CORP 002205102 | $2329.1B | 2 |
| 5430 | OUTSET MED INC 690145206 | $2326.0B | 3 |
| 5431 | INNOVATOR ETFS TRUST 45783Y178 | $2324.6B | 3 |
| 5432 | STEREOTAXIS INC 85916J409 | $2323.6B | 6 |
| 5433 | ABEONA THERAPEUTICS INC 00289Y206 | $2319.2B | 6 |
| 5434 | MAMAS CREATIONS INC 56146T103 | $2319.1B | 5 |
| 5435 | CALIFORNIA BANCORP 84252A106 | $2317.0B | 5 |
| 5436 | MAGNACHIP SEMICONDUCTOR CORP 55933J203 | $2311.3B | 6 |
| 5437 | INNOVATOR ETFS TRUST 45782C532 | $2310.8B | 4 |
| 5438 | CERAGON NETWORKS LTD M22013102 | $2301.3B | 6 |
| 5439 | LIONS GATE ENTERTAINMENT-B 535919500 | $2299.3B | 5 |
| 5440 | INVESCO ACTIVELY MANAGED EXC 46090A721 | $2294.5B | 3 |
| 5441 | TEJON RANCH CO 879080109 | $2291.0B | 5 |
| 5442 | GOGO INC 38046C109 | $2290.3B | 9 |
| 5443 | BELITE BIO INC 07782B104 | $2286.3B | 3 |
| 5444 | MEDIFAST INC 58470H101 | $2284.6B | 7 |
| 5445 | CAP GROUP CONSERVATIVE EQ 14020U100 | $2284.6B | 6 |
| 5446 | SOUNDTHINKING INC 82536T107 | $2282.5B | 4 |
| 5447 | IMMUNITYBIO INC 45256X103 | $2281.8B | 10 |
| 5448 | FIRST TR EXCHNG TRADED FD VI 33740F540 | $2278.9B | 5 |
| 5449 | FIDELITY ENHANCED HIGH YIELD E 316092618 | $2277.0B | 4 |
| 5450 | VAALCO ENERGY INC 91851C201 | $2272.2B | 10 |
| 5451 | NORFOLK SOUTHN CORP 655844908 | $2270.7B | 2 |
| 5452 | NWPX INFRASTRUCTURE INC 667746101 | $2268.6B | 8 |
| 5453 | HOMETRUST BANCSHARES INC 437872104 | $2267.5B | 5 |
| 5454 | LOREAL UNSPON ADR 502117203 | $2262.2B | 2 |
| 5455 | WINNEBAGO INDS INC 974637AF7 | $2260.6B | 3 |
| 5456 | PRIMO WATER CORPORATION 74167P108 | $2260.6B | 3 |
| 5457 | COLUMBIA ETF TR II 19762B707 | $2259.5B | 4 |
| 5458 | PGIM SHORT DURATION HIGH 69355J104 | $2259.1B | 5 |
| 5459 | SHENANDOAH TELECOMMUNICATION 82312B106 | $2254.8B | 6 |
| 5460 | TAYSHA GENE THERAPIES INC 877619106 | $2249.8B | 7 |
| 5461 | SPARK I ACQUISITION CORP G8316B100 | $2249.4B | 2 |
| 5462 | GORMAN RUPP CO 383082104 | $2246.6B | 6 |
| 5463 | NEVRO CORP COM 64157F103 | $2245.9B | 4 |
| 5464 | YEXT INC 98585N106 | $2245.7B | 9 |
| 5465 | FIRST CMNTY CORP S C COM 319835104 | $2241.7B | 6 |
| 5466 | ISHARESIBONDSDEC2034TMCORP 46438G653 | $2241.6B | 3 |
| 5467 | ISHARES TR 46432F370 | $2235.8B | 3 |
| 5468 | EATON VANCE SR FLTNG RTE TR COM 27828Q105 | $2232.7B | 7 |
| 5469 | TELOS CORP MD 87969B101 | $2231.6B | 5 |
| 5470 | ISHARES GLOBAL CONSUMER STAPLES ETF 464288737 | $2231.1B | 7 |
| 5471 | KOREA ELEC PWR CORP 500631106 | $2228.8B | 7 |
| 5472 | FEDERAL AGRIC MTG CORP 313148108 | $2221.6B | 3 |
| 5473 | INVESCO S&P SMALLCAP HEALTH 46138E149 | $2220.5B | 4 |
| 5474 | METHODE ELECTRS INC 591520200 | $2220.5B | 7 |
| 5475 | SPOK HLDGS INC 84863T106 | $2220.0B | 4 |
| 5476 | LUCKY STRIKE ENTERTAINMENT C 10258P102 | $2218.0B | 5 |
| 5477 | NUVEEN AMT-FREE MUN VALUE FD 670695105 | $2218.0B | 5 |
| 5478 | ENERGY RECOVERY INC 29270J100 | $2217.2B | 6 |
| 5479 | EHEALTH INC 28238P109 | $2211.5B | 4 |
| 5480 | CLEANCORE SOLUTIONS INC 184492106 | $2210.0B | 2 |
| 5481 | CYTEK BIOSCIENCES INC 23285D109 | $2203.9B | 9 |
| 5482 | SIBANYE STILLWATER LTD 82575P107 | $2203.8B | 14 |
| 5483 | FRANKLIN U.S. TREASURY BOND 35473P488 | $2203.4B | 5 |
| 5484 | SYSCO CORP 871829957 | $2203.2B | 2 |
| 5485 | INNOVATOR ETFS TRUST 45782C821 | $2202.4B | 4 |
| 5486 | VANECK ENERGY INCOME ETF 92189H870 | $2198.2B | 2 |
| 5487 | INNOVATOR EMERGING 45782C714 | $2192.5B | 5 |
| 5488 | CITIZENS & NORTHN CORP 172922106 | $2190.4B | 7 |
| 5489 | FIRST TR EXCHNG TRADED FD VI FT VEST INTER EQ 33740F573 | $2182.7B | 2 |
| 5490 | NUVEEN MUN CR OPPORTUNITIES 670663103 | $2176.1B | 3 |
| 5491 | EDWARDS LIFESCIENCES CORP 28176E908 | $2176.0B | 2 |
| 5492 | ISHARES TR 464288957 | $2171.4B | 2 |
| 5493 | COMPAGNIE FINANCIERE A FUNSPONSORED ADR 1 ADR REPS 0.1 ORD SHS 204319107 | $2170.5B | 2 |
| 5494 | INVESCO CURRENCYSHARES JAPAN 46138W107 | $2167.9B | 5 |
| 5495 | CYTOSORBENTS CORP 23283X206 | $2159.5B | 4 |
| 5496 | WESTERN ASSET INV GRADE INC FD 95766T100 | $2158.6B | 3 |
| 5497 | ISHARES INC ASIA/PACIFIC 464286293 | $2158.2B | 2 |
| 5498 | VIR BIOTECHNOLOGY INC 92764N102 | $2152.4B | 10 |
| 5499 | EA SERIES TRUST 02072L615 | $2151.1B | 2 |
| 5500 | FIDELITY LTD TRM BND ETF 316188200 | $2150.5B | 5 |
| 5501 | VELOCITY FINL INC 92262D101 | $2149.5B | 3 |
| 5502 | CONSOLIDATED COMM HLDGS INC 209034107 | $2138.9B | 3 |
| 5503 | VANECK ETF TRUST 92189F601 | $2137.1B | 7 |
| 5504 | AIM ETF PRODUCTS TRUST 00888H109 | $2136.3B | 5 |
| 5505 | KELLY STRATEGIC ETF TR 48817R870 | $2132.9B | 3 |
| 5506 | PRIORITY TECHNOLOGY HLDGS IN 74275G107 | $2131.9B | 7 |
| 5507 | NAPCO SEC TECHNOLOGIES INC 630402105 | $2130.7B | 5 |
| 5508 | NEW FORTRESS ENERGY INC 644393100 | $2130.3B | 13 |
| 5509 | TRANSPORTADORA DE GAS SUR 893870204 | $2127.4B | 3 |
| 5510 | FULGENT GENETICS INC COM 359664109 | $2125.9B | 8 |
| 5511 | INNOVATOR ETFS TRUST 45784N882 | $2124.2B | 2 |
| 5512 | FIRST TR EXCHNG TRADED FD VI 33740F417 | $2121.5B | 3 |
| 5513 | INVESCO S&P 500 EX-RATE SENSIT 46138E388 | $2121.4B | 3 |
| 5514 | INVESCO EXCHANGE TRADED FD T 46137V811 | $2118.1B | 7 |
| 5515 | INNOVATOR US EQ BUFFER MAY 45782C326 | $2117.7B | 4 |
| 5516 | LCNB CORP 50181P100 | $2117.3B | 6 |
| 5517 | SOUTHERN MO BANCORP INC 843380106 | $2113.1B | 8 |
| 5518 | MUNICH RE GROUP FSPONSORED ADR 1 ADR REP 0.02 ORD SHS 626188106 | $2112.6B | 2 |
| 5519 | PIMCO ACCESS INCOME FUND 72203T100 | $2110.3B | 3 |
| 5520 | VITESSE ENERGY INC 92852X103 | $2105.2B | 12 |
| 5521 | INDUSTRIAL LOGISTICS PPTYS T 456237106 | $2103.9B | 9 |
| 5522 | VICTORYSHARES US DISCOVERY ENHANCED VOLATILITY WTD ETF 92647N774 | $2103.5B | 2 |
| 5523 | BLACKROCK MUNIHOLDINGS N 09254X101 | $2102.4B | 7 |
| 5524 | RELIANCE GLOBAL GROUP INC 75946W405 | $2099.0B | 2 |
| 5525 | DOUBLEDOWN INTERACTIVE CO LT 25862B109 | $2097.2B | 5 |
| 5526 | GLADSTONE LD CORP 376549101 | $2094.2B | 10 |
| 5527 | PIMCO DYNAMIC INCOME STRATEG 69346N107 | $2093.7B | 4 |
| 5528 | SOFI SELECT 500 ETF 886364173 | $2093.1B | 4 |
| 5529 | TECTONIC THERAPEUTIC EQUCLASS EQUITY 878972108 | $2093.0B | 6 |
| 5530 | ESSILOR INTL S A FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 297284200 | $2085.8B | 2 |
| 5531 | PARAGON 28 INC 69913P105 | $2082.5B | 3 |
| 5532 | LENDINGTREE INC NEW 52603B107 | $2080.6B | 7 |
| 5533 | ASURE SOFTWARE INC 04649U102 | $2078.9B | 4 |
| 5534 | BLACKROCK CR ALLOCATION INCO 092508100 | $2074.5B | 9 |
| 5535 | BLACKROCK TECHNOLOGY AND 09260Q108 | $2073.6B | 5 |
| 5536 | AMERICAN EXCEPTIONALISM ACQU G0273J101 | $2073.4B | 2 |
| 5537 | FLEXSHARES TR 33939L308 | $2070.3B | 4 |
| 5538 | FIRST LONG IS CORP COM 320734106 | $2067.6B | 3 |
| 5539 | FUTURECREST ACQUISITION CORP G3730U123 | $2067.2B | 2 |
| 5540 | ATEA PHARMACEUTICALS INC 04683R106 | $2066.0B | 5 |
| 5541 | SCHOLASTIC CORP 807066105 | $2063.8B | 7 |
| 5542 | BUILDERS FIRSTSOURCE INC 12008R957 | $2063.1B | 2 |
| 5543 | AMERICAN CENTY ETF TR 025072315 | $2062.6B | 2 |
| 5544 | BARINGS PARTICIPATION 06761A103 | $2060.8B | 3 |
| 5545 | CNB FINL CORP PA 126128107 | $2058.2B | 8 |
| 5546 | BAYTEX ENERGY CORP 07317Q105 | $2057.4B | 12 |
| 5547 | BLACKROCK MUNIHLDGS NY QLTY 09255C106 | $2056.3B | 5 |
| 5548 | INVESCO CURRENCYSHARES EURO CU 46138K103 | $2053.5B | 4 |
| 5549 | INVESCO EXCH TRADED FD TR II 46138E586 | $2050.7B | 5 |
| 5550 | FRANKLIN INCOME EQUITY FOCUS 35473P504 | $2047.5B | 4 |
| 5551 | NERDWALLET INC 64082B102 | $2045.9B | 7 |
| 5552 | TIDAL TRUST II 88636J642 | $2040.3B | 4 |
| 5553 | Innovator Intl Developed Power Buffer ETF-Jan 45782C524 | $2040.1B | 3 |
| 5554 | CORSAIR GAMING INC 22041X102 | $2038.3B | 8 |
| 5555 | BONDBLOXX BBG 7 YR US TREAS 09789C820 | $2037.4B | 2 |
| 5556 | INNOVATOR ETFS TRUST 45783Y566 | $2035.5B | 2 |
| 5557 | ISHARES TR 46436E502 | $2031.2B | 6 |
| 5558 | SUMMIT MIDSTREAM PARTNERS LP 866142409 | $2029.7B | 2 |
| 5559 | MOTORCAR PTS AMER INC 620071100 | $2029.3B | 4 |
| 5560 | SPDR SERIES TRUST 78464A771 | $2025.5B | 7 |
| 5561 | ASTRONICS CORP 046433108 | $2024.3B | 6 |
| 5562 | ENERGY SVCS ACQUISITION CORP 29271Q103 | $2023.3B | 4 |
| 5563 | FLEXSHARES DISCIPLINED 33939L779 | $2023.0B | 2 |
| 5564 | FIRST TR EXCHNG TRADED FD VI 33740F367 | $2019.2B | 4 |
| 5565 | DUCOMMUN INC DEL 264147109 | $2018.5B | 4 |
| 5566 | COLONY BANKCORP INC 19623P101 | $2017.1B | 4 |
| 5567 | INVESCO BIOTECHNOLOGY & GENO 46137V787 | $2015.2B | 5 |
| 5568 | TWO RDS SHARED TR 90214Q774 | $2014.8B | 3 |
| 5569 | DEXCOM INC 252131957 | $2008.2B | 2 |
| 5570 | TFS FINL CORP COM 87240R107 | $2008.1B | 11 |
| 5571 | PERION NETWORK LTD M78673114 | $2007.2B | 6 |
| 5572 | NATIONAL CINEMEDIA INC 635309206 | $2005.5B | 4 |
| 5573 | FIRST TRUST ADVISORS LP 33737J232 | $2005.2B | 2 |
| 5574 | PAR TECHNOLOGY CORP 698884AE3 | $2001.5B | 2 |
| 5575 | FORESTAR GROUP INC 346232101 | $1998.1B | 10 |
| 5576 | SPROTT PHYSICAL PLATINUM 85207Q104 | $1996.5B | 5 |
| 5577 | PIMCO DYNAMIC INCOME OPPORT 69355M107 | $1995.8B | 7 |
| 5578 | FRANKLIN TEMPLETON ETF TR 35473P660 | $1990.6B | 2 |
| 5579 | AXA- SPONS ADR 054536107 | $1988.9B | 2 |
| 5580 | PIMCO MUN INCOME FD II 72200W106 | $1984.8B | 3 |
| 5581 | DRX DLY AERO & DEF BULL 3X 25460E661 | $1984.5B | 2 |
| 5582 | AIM ETF PRODUCTS TRUST 00888H786 | $1974.6B | 2 |
| 5583 | HARTFORD FDS EXCHANGE TRADED 41653L875 | $1972.5B | 2 |
| 5584 | TIMOTHY PLAN 887432359 | $1971.9B | 3 |
| 5585 | DIREXION DAILY SEMI BEAR 3X 25460G112 | $1968.2B | 3 |
| 5586 | INVESCO DORSEY WRIGHT CONSUMER STAPLES MOMENTUM ETF 46137V886 | $1966.1B | 5 |
| 5587 | SHATTUCK LABS INC 82024L103 | $1965.0B | 3 |
| 5588 | FIRST TR EXCHNG TRADED FD VI 33740F490 | $1962.3B | 2 |
| 5589 | WILLIS LEASE FIN CORP 970646105 | $1960.8B | 6 |
| 5590 | NUVEEN ESG US AGGREGATE BOND 67092P870 | $1960.1B | 6 |
| 5591 | GLOBAL X FDS 37954Y901 | $1959.2B | 2 |
| 5592 | BALLARD PWR SYS INC NEW 058586108 | $1958.9B | 9 |
| 5593 | TARGET HOSPITALITY CORP 87615L107 | $1956.4B | 7 |
| 5594 | PHARVARIS N V N69605108 | $1949.0B | 2 |
| 5595 | INSTEEL INDS INC 45774W108 | $1948.7B | 5 |
| 5596 | INVESCO S&P 500 HIGH BETA ET 46138E370 | $1946.3B | 4 |
| 5597 | FIRST TR EXCHNG TRADED FD VI 33740F243 | $1937.0B | 3 |
| 5598 | YUM BRANDS INC 988498901 | $1936.7B | 2 |
| 5599 | NEUBERGER ENGY INFRSTR & INC 64129H104 | $1935.6B | 4 |
| 5600 | ISHARES INC 464286517 | $1932.9B | 4 |
| 5601 | INVESCO MSCI SUSTAINABLE FUTURE 46137V407 | $1932.5B | 8 |
| 5602 | NOVAGOLD RES INC 66987E206 | $1932.0B | 9 |
| 5603 | AKEBIA THERAPEUTICS INC 00972D105 | $1930.2B | 7 |
| 5604 | REPUBLIC DIGITAL ACQUISITION G7515A103 | $1929.4B | 2 |
| 5605 | INNOVATOR ETFS TRUST 45782C425 | $1929.3B | 3 |
| 5606 | ALPS ETF TR 00162Q726 | $1929.1B | 3 |
| 5607 | DUPONT DE NEMOURS INC 26614N902 | $1928.3B | 2 |
| 5608 | DAY ONE BIOPHARMACEUTICALS I 23954D109 | $1927.1B | 6 |
| 5609 | GRAYSCALE ETHEREUM MINI TR E 38964R203 | $1926.6B | 12 |
| 5610 | LIMONEIRA CO 532746104 | $1923.9B | 4 |
| 5611 | ISHARES ETHEREUM TR 46438R955 | $1923.7B | 2 |
| 5612 | BLACKROCK RES & COMMODITIES 09257A108 | $1923.6B | 7 |
| 5613 | NET LEASE OFFICE PROPERTIES 64110Y108 | $1917.8B | 14 |
| 5614 | MORGAN STANLEY INDIA 61745C105 | $1917.8B | 3 |
| 5615 | SERVICE PPTYS TR 81761L102 | $1915.9B | 9 |
| 5616 | INVESCO FUNDAMENTAL HIGH YIELD CORPORATE BOND ETF 46138E719 | $1915.5B | 7 |
| 5617 | OIL DRI CORP AMER 677864100 | $1915.2B | 5 |
| 5618 | J P MORGAN EXCHANGE TRADED F 46641Q233 | $1915.2B | 6 |
| 5619 | SPRUCE POWER HOLDING CORP 9837FR209 | $1914.8B | 2 |
| 5620 | REPUBLIC BANCORP INC KY 760281204 | $1912.3B | 7 |
| 5621 | BURKE HERBERT FINL SVCS CORP 12135Y108 | $1908.3B | 5 |
| 5622 | INNOVATOR US EQ U-BUFF MAY 45782C292 | $1907.2B | 3 |
| 5623 | DESKTOP METAL INC 25058X303 | $1904.6B | 3 |
| 5624 | BANK MARIN BANCORP 063425102 | $1904.0B | 4 |
| 5625 | GABELLI UTIL TR COM 36240A101 | $1902.2B | 7 |
| 5626 | ARCTURUS THERAPEUTICS HLDGS 03969T109 | $1901.1B | 9 |
| 5627 | BLACKSTONE STRATEGIC CRED 20 09257R101 | $1898.7B | 5 |
| 5628 | IBEX LTD G4690M101 | $1897.3B | 6 |
| 5629 | FIRST TR EXCH TRADED FD III 33739P863 | $1888.2B | 3 |
| 5630 | CLEANSPARK INC 18452B909 | $1887.0B | 2 |
| 5631 | COLUMBIA FINL INC 197641103 | $1886.4B | 4 |
| 5632 | DAYFORCE INC 15677JAD0 | $1885.3B | 4 |
| 5633 | FRANKLIN HIGH YIELD CORPORAT 35473P629 | $1882.8B | 5 |
| 5634 | ISHARES MSCI POLAND ETF 46429B606 | $1878.1B | 4 |
| 5635 | FIRST TRUST NASDAQ BANK ETF 33738R860 | $1870.8B | 6 |
| 5636 | ZOOZ STRATEGY LTD M2573A106 | $1867.5B | 2 |
| 5637 | REPOSITRAK INC 700215304 | $1865.4B | 8 |
| 5638 | CANADA GOOSE HLDGS INC SHS SUB VTG 135086106 | $1865.3B | 4 |
| 5639 | AMERICAN COASTAL INS CORP 910710102 | $1864.5B | 5 |
| 5640 | VANECK ETF TRUST 92189F452 | $1864.4B | 5 |
| 5641 | INFRACAP MLP ETF 26923G772 | $1863.4B | 3 |
| 5642 | 3M CO 88579Y951 | $1861.8B | 2 |
| 5643 | NBRGR BRMN NEX GEN CONNECT 64133Q108 | $1857.7B | 5 |
| 5644 | GREAT SOUTHN BANCORP INC 390905107 | $1857.6B | 6 |
| 5645 | CANTOR EQUITY PARTNERS II IN G1827P106 | $1854.4B | 2 |
| 5646 | NUVEEN DOW 30 DYNAMIC OVERWR 67075F105 | $1852.4B | 6 |
| 5647 | ISHARES INDIA 50 ETF 464289529 | $1852.0B | 7 |
| 5648 | DLOCAL LTD G29018101 | $1849.1B | 5 |
| 5649 | BAR HBR BANKSHARES 066849100 | $1847.9B | 8 |
| 5650 | SAFRAN FSPONSORED ADR 1 ADR REP 0.25 ORD SHS 786584102 | $1846.6B | 2 |
| 5651 | TWO RDS SHARED TR 90214Q683 | $1844.1B | 3 |
| 5652 | LENSAR INC 52634L108 | $1843.5B | 6 |
| 5653 | GLADSTONE INVT CORP 376546107 | $1842.5B | 5 |
| 5654 | FS BANCORP INC 30263Y104 | $1841.5B | 4 |
| 5655 | SANUWAVE HEALTH INC 80303D305 | $1841.4B | 3 |
| 5656 | INVESCO DORSEY WRIGHT INDUS 46137V845 | $1839.8B | 5 |
| 5657 | FT DORSEY WRIGHT MOMNT AND DIVID ETF 33738R696 | $1838.9B | 3 |
| 5658 | INVESCO EXCH TRADED FD TR II 46138G631 | $1837.7B | 10 |
| 5659 | ACNB CORP 000868109 | $1837.4B | 8 |
| 5660 | EATON VANCE MUNI INCOME TRUS 27826U108 | $1834.7B | 5 |
| 5661 | PHATHOM PHARMACEUTICALS INC 71722W107 | $1833.7B | 3 |
| 5662 | CASS INFORMATION SYS INC 14808P109 | $1826.6B | 6 |
| 5663 | REPLIMUNE GROUP INC 76029N106 | $1821.7B | 4 |
| 5664 | CONTEXTLOGIC INC 21077C305 | $1815.9B | 5 |
| 5665 | RISKIFIED LTD M8216R109 | $1813.9B | 8 |
| 5666 | TIC SOLUTIONS INC 00510N102 | $1813.6B | 3 |
| 5667 | BRP INC 05577W200 | $1813.6B | 4 |
| 5668 | HOST HOTELS & RESORTS INC 44107P954 | $1811.5B | 2 |
| 5669 | WISDOMTREE EFFICIENT GOLD PL 97717Y568 | $1810.4B | 3 |
| 5670 | DBS GROUP HOLDINGS SPON ADR 23304Y100 | $1809.9B | 2 |
| 5671 | PIMCO ETF TR 72201R304 | $1809.1B | 9 |
| 5672 | NOMURA HLDGS INC 65535H208 | $1808.9B | 13 |
| 5673 | FIRST TR EXCHANGE-TRADED FD 33739Q309 | $1803.8B | 2 |
| 5674 | IMAX CORP 45245EAJ8 | $1803.6B | 3 |
| 5675 | NUVEEN VRIABL RAT PFD & INM 67080R102 | $1803.5B | 3 |
| 5676 | PENNANTPARK FLOATING RATE CA 70806A106 | $1802.4B | 6 |
| 5677 | VENTAS RLTY LTD PARTNERSHIP 92277GAZ0 | $1802.3B | 3 |
| 5678 | TSAKOS ENERGY NAVIGATION LTD G9108L173 | $1802.1B | 4 |
| 5679 | CADIZ INC 127537207 | $1800.5B | 8 |
| 5680 | BLACKROCK MUNIYIELD QUALITY FD COM 09254E103 | $1800.5B | 5 |
| 5681 | BITWISE BITCOIN STANDARD CORPORATIONS ETF 091748509 | $1797.9B | 2 |
| 5682 | CRESUD S A C I F Y A 226406106 | $1797.4B | 2 |
| 5683 | OVINTIV INC 69047Q902 | $1795.4B | 2 |
| 5684 | REGENCELL BIOSCIENCE HLDGS L G7487R100 | $1793.7B | 2 |
| 5685 | ISHARES ETHEREUM TR 46438R905 | $1793.5B | 2 |
| 5686 | ALLOGENE THERAPEUTICS INC 019770106 | $1793.0B | 8 |
| 5687 | FIRST TR EXCHNG TRADED FD VI 33740F789 | $1792.8B | 4 |
| 5688 | ORGANOGENESIS HLDGS INC 68621F102 | $1790.1B | 7 |
| 5689 | VANECK ETF TRUST 92189H102 | $1788.7B | 3 |
| 5690 | SPDR SERIES TRUST 78468R515 | $1788.6B | 6 |
| 5691 | MORGAN STANLEY ETF TRUST 61774R106 | $1785.8B | 2 |
| 5692 | PUBMATIC INC COM CL A 74467Q103 | $1783.2B | 8 |
| 5693 | PROSPECT CAP CORP 74348TAT9 | $1781.1B | 2 |
| 5694 | VANECK ETF TRUST 92189F901 | $1780.9B | 2 |
| 5695 | N-ABLE INC 62878D100 | $1780.0B | 7 |
| 5696 | PREMIER FINANCIAL CORP 74052F108 | $1777.4B | 5 |
| 5697 | INVESCO DB ENERGY FUND ETF-C 46140H304 | $1776.8B | 2 |
| 5698 | FIRST TR SR FLTG RATE INCOME 33733U108 | $1776.4B | 4 |
| 5699 | RBB BANCORP 74930B105 | $1769.1B | 5 |
| 5700 | FLEXSHARES-INT QUAL DVD INDE 33939L837 | $1767.9B | 3 |
| 5701 | TURKCELL ILETISIM HIZMETLERI 900111204 | $1765.4B | 9 |
| 5702 | DIREXION SHS ETF TR 25460G500 | $1763.8B | 2 |
| 5703 | FIRST TR EXCHNG TRADED FD VI 33740F565 | $1763.8B | 2 |
| 5704 | HIGHLAND OPPS & INCOME FD 43010E404 | $1761.0B | 7 |
| 5705 | BLACKROCK N Y MUN INCOME TRU 09248L106 | $1760.9B | 6 |
| 5706 | OPKO HEALTH INC 68375N103 | $1760.1B | 14 |
| 5707 | FLEXSHARES ULTRA-SHORT INCOM 33939L886 | $1754.2B | 3 |
| 5708 | RIGETTI COMPUTING INC 76655K903 | $1752.8B | 2 |
| 5709 | FIDELITY INTL VAL FACT ETF 316092717 | $1750.8B | 2 |
| 5710 | FIRST TRUST DOW J SELECT MIC 33718M105 | $1750.7B | 5 |
| 5711 | METALS ACQUISITION LIMITED G60409102 | $1749.0B | 2 |
| 5712 | ZEVRA THERAPEUTICS INC COM NEW 488445206 | $1747.6B | 8 |
| 5713 | LESLIES INC 527064109 | $1744.0B | 7 |
| 5714 | CHAGEE HLDGS LTD 15743P104 | $1741.1B | 4 |
| 5715 | FIRST TR EXCHANGE-TRADED FD 33738R886 | $1739.2B | 4 |
| 5716 | ISHARES TR 46436E460 | $1737.9B | 6 |
| 5717 | INNOVATOR EMERGING 45782C516 | $1737.7B | 4 |
| 5718 | METROCITY BANKSHARES INC 59165J105 | $1734.9B | 3 |
| 5719 | UNITED STATES GAS FUND LP 91201T102 | $1734.9B | 3 |
| 5720 | LARIMAR THERAPEUTICS INC 517125100 | $1734.5B | 9 |
| 5721 | CALLON PETROLEUM CO 13123X508 | $1730.5B | 2 |
| 5722 | KKR INCOME OPPORTUNITIES FD COM 48249T106 | $1729.9B | 4 |
| 5723 | VIKING HOLDINGS LTD G93A5A101 | $1727.6B | 9 |
| 5724 | IBERDROLA S A FSPONSORED ADR 1 ADR REPS 4 ORD SHS 450737101 | $1725.7B | 3 |
| 5725 | SPDR S&P TRANSPORTATION ETF 78464A532 | $1718.2B | 6 |
| 5726 | AVID BIOSERVICES INC 05368M106 | $1715.9B | 4 |
| 5727 | GENCOR INDS INC 368678108 | $1715.2B | 6 |
| 5728 | UNITED STATES COPPER 911718104 | $1714.4B | 7 |
| 5729 | FIRST TR EXCHNG TRADED FD VI 33740F276 | $1713.6B | 6 |
| 5730 | LSB INDS INC 502160104 | $1713.3B | 7 |
| 5731 | INTUITIVE MACHINES INC 46125A100 | $1709.8B | 9 |
| 5732 | HUBSPOT INC 443573900 | $1706.4B | 2 |
| 5733 | CHARGEPOINT HOLDINGS INC 15961R105 | $1704.8B | 14 |
| 5734 | THREDUP INC 88556E102 | $1703.5B | 6 |
| 5735 | FLOTEK INDS INC DEL 343389409 | $1702.5B | 8 |
| 5736 | TELEFONICA S A 879382208 | $1702.4B | 13 |
| 5737 | RITHM ACQUISITION CORP G75751100 | $1701.7B | 2 |
| 5738 | EATON VANCE MUN INCOME TERM TR SHS 27829U105 | $1700.6B | 3 |
| 5739 | FIRST TR EXCHNG TRADED FD VI 33740F821 | $1698.9B | 3 |
| 5740 | LEADERSHARES ALPHAFACT TACT 90214Q691 | $1698.9B | 4 |
| 5741 | PIMCO BROAD US TIPS INDEX 72201R403 | $1696.5B | 4 |
| 5742 | JPMORGAN BETABUILDERS MSCI US REIT ETF 46641Q738 | $1695.2B | 7 |
| 5743 | VUZIX CORP 92921W300 | $1692.9B | 5 |
| 5744 | PEOPLES FINL SVCS CORP 711040105 | $1690.2B | 5 |
| 5745 | GERDAU SA 373737105 | $1687.9B | 9 |
| 5746 | PRUDENTIAL PLC 74435K204 | $1686.4B | 12 |
| 5747 | FIRST TRUST SSI STRATEGI ETF 33739Q507 | $1682.0B | 3 |
| 5748 | ANAVEX LIFE SCIENCES CORP 032797300 | $1681.0B | 10 |
| 5749 | MESA LABS INC 59064R109 | $1679.1B | 7 |
| 5750 | 51TALK ONLINE EDUCATION GROU 16954L204 | $1676.3B | 2 |
| 5751 | PROSHARES TR II 74347W882 | $1675.2B | 2 |
| 5752 | PrimeEnergy Resources Corp 74158E104 | $1673.3B | 5 |
| 5753 | SHARPLINK GAMING INC 820014405 | $1672.4B | 2 |
| 5754 | FIRST TR HIGH YIELD OPPRT 20 33741Q107 | $1671.2B | 4 |
| 5755 | SABA CAPITAL INCOME & OPPORT 880198205 | $1670.3B | 4 |
| 5756 | EYEPOINT PHARMACEUTICALS INC 30233G209 | $1669.2B | 5 |
| 5757 | FRESENIUS MEDICAL CARE AG 358029106 | $1666.3B | 12 |
| 5758 | ABRDN GLOBAL INFRA INCOME FU 00326W106 | $1665.2B | 3 |
| 5759 | SIGA TECHNOLOGIES INC COM 826917106 | $1660.2B | 8 |
| 5760 | ARK 21SHARES BITCOIN ETF 040919102 | $1658.0B | 5 |
| 5761 | POSTAL REALTY TRUST INC 73757R102 | $1657.3B | 6 |
| 5762 | AEROVATE THERAPEUTICS 008064107 | $1652.9B | 4 |
| 5763 | PLIANT THERAPEUTICS INC 729139105 | $1647.0B | 9 |
| 5764 | CAPITAL CITY BK GROUP INC 139674105 | $1645.8B | 5 |
| 5765 | NUVEEN PFD SECS & INC OPPTY 67075A106 | $1645.4B | 2 |
| 5766 | DADA NEXUS LTD ADR 23344D108 | $1642.0B | 3 |
| 5767 | CENTRAL GARDEN & PET CO 153527106 | $1641.2B | 7 |
| 5768 | GILAT SATELLITE NETWORKS LTD M51474118 | $1640.9B | 6 |
| 5769 | SOUTHERN FIRST BANCSHARES COM 842873101 | $1639.8B | 6 |
| 5770 | SPDR INDEX SHS FDS 78463X103 | $1639.3B | 7 |
| 5771 | TEEKAY CORPORATION Y8564W103 | $1636.2B | 2 |
| 5772 | FIRST BANCORP INC ME 31866P102 | $1635.8B | 4 |
| 5773 | FIDELITY COVINGTON TRUST 316092725 | $1635.3B | 4 |
| 5774 | ISHARES INC 46434G509 | $1634.6B | 3 |
| 5775 | PUTNAM BDC INCOME ETF 746729508 | $1631.7B | 2 |
| 5776 | PERSPECTIVE THERAPEUTICS INC 46489V302 | $1631.1B | 5 |
| 5777 | BRF SA 10552T107 | $1629.2B | 4 |
| 5778 | Impact Shares Affordable Housing MBS ETF 74741A106 | $1629.2B | 2 |
| 5779 | NEOS ETF TRUST 78433H501 | $1623.8B | 3 |
| 5780 | WISDOMTREE TR 97717Y550 | $1623.3B | 2 |
| 5781 | COSAN S A 22113B103 | $1620.5B | 5 |
| 5782 | PROLOGIS INC. 74340W953 | $1620.3B | 2 |
| 5783 | PROFICIENT AUTO LOGISTICS IN 74317M104 | $1619.6B | 5 |
| 5784 | TRUBRIDGE INC 205306103 | $1619.0B | 4 |
| 5785 | TERADYNE INC 880770902 | $1612.9B | 2 |
| 5786 | USANA HEALTH SCIENCES INC 90328M107 | $1612.1B | 6 |
| 5787 | KINGSTONE COS INC 496719105 | $1612.0B | 4 |
| 5788 | BLACKROCK INCOME TR INC 09247F209 | $1610.8B | 3 |
| 5789 | DBX ETF TR 233051101 | $1609.8B | 5 |
| 5790 | EVERCOMMERCE INC 29977X105 | $1602.5B | 4 |
| 5791 | DAVE INC 23834J201 | $1601.0B | 6 |
| 5792 | BLACKROCK TAXABLE MUNI BND 09248X100 | $1596.2B | 6 |
| 5793 | GLOBAL X MSCI ARGENTINA ETF 37950E259 | $1593.6B | 5 |
| 5794 | SKYWATER TECHNOLOGY INC 83089J108 | $1593.4B | 6 |
| 5795 | KRONOS WORLDWIDE INC 50105F105 | $1592.1B | 8 |
| 5796 | BLACKROCK MUNIASSETS FD INC COM 09254J102 | $1592.0B | 4 |
| 5797 | AMPHASTAR PHARMACEUTICALS IN 03209RAB9 | $1591.2B | 2 |
| 5798 | WPP PLC NEW 92937A102 | $1589.5B | 9 |
| 5799 | LANTHEUS HLDGS INC 516544AB9 | $1584.3B | 3 |
| 5800 | SOURCE CAPITAL COM SHS OF BEN I 836144303 | $1583.9B | 3 |
| 5801 | TIDAL ETF TR 886364520 | $1582.6B | 2 |
| 5802 | ISHARES INTEREST RATE HEDGED 46431W812 | $1582.3B | 4 |
| 5803 | FREIGHTCAR AMER INC 357023100 | $1579.5B | 4 |
| 5804 | METROPOLITAN BK HLDG CORP 591774104 | $1577.7B | 4 |
| 5805 | GLOBAL X FDS 37960A644 | $1577.4B | 2 |
| 5806 | BARINGS CORPORATE INVS 06759X107 | $1575.9B | 4 |
| 5807 | BLACKROCK MUNICIPAL INCOME 09253X102 | $1574.0B | 4 |
| 5808 | INVESCO DORSEY WRIGHT ENERGY 46137V878 | $1573.0B | 4 |
| 5809 | BONDBLOXX ETF TRUST 09789C853 | $1569.0B | 3 |
| 5810 | INVESCO PHARMACEUTICALS ETF 46137V662 | $1562.1B | 7 |
| 5811 | ZHIHU INC 98955N207 | $1559.6B | 5 |
| 5812 | PROSHARES TR 74349Y829 | $1559.6B | 2 |
| 5813 | LAZARD GLOBAL TOTAL RETURN & I COM 52106W103 | $1555.9B | 4 |
| 5814 | INNOVATOR BUFF SU STRAT ETF 45783Y731 | $1551.1B | 4 |
| 5815 | VANECK ETF TRUST 92189F171 | $1550.1B | 3 |
| 5816 | BUTTERFLY NETWORK INC COM CL A 124155102 | $1550.0B | 10 |
| 5817 | NABORS INDUSTRIES LTD G6359F137 | $1546.6B | 9 |
| 5818 | BLACKROCK MUNI INCOME TR II 09249N101 | $1545.7B | 2 |
| 5819 | FRANKLIN UNVL TR 355145103 | $1545.5B | 2 |
| 5820 | RUNWAY GROWTH FINANCE CORP 78163D100 | $1544.8B | 4 |
| 5821 | COPA HOLDINGS SA P31076105 | $1544.6B | 9 |
| 5822 | EATON VANCE TAX-ADVANTAGED G 27828U106 | $1540.4B | 2 |
| 5823 | 3-D SYS CORP DEL 88554D205 | $1539.5B | 14 |
| 5824 | Etoro Group Ltd G32089107 | $1537.5B | 3 |
| 5825 | EVOLV TECHNOLOGIES HLDNGS IN 30049H102 | $1536.0B | 11 |
| 5826 | AMERICAN CENTY ETF TR 025072281 | $1532.0B | 3 |
| 5827 | MISTRAS GROUP INC 60649T107 | $1531.7B | 4 |
| 5828 | KANZHUN LIMITED 48553T106 | $1530.6B | 8 |
| 5829 | FORWARD INDS INC N Y 349862409 | $1529.5B | 2 |
| 5830 | DIMENSNL ULTRASHRT FIXED 25434V591 | $1525.7B | 3 |
| 5831 | MCEWEN INC. 58039P305 | $1523.4B | 4 |
| 5832 | CONSOL ENERGY INC 20854L108 | $1523.2B | 8 |
| 5833 | ISHARES TR 46435U192 | $1519.7B | 5 |
| 5834 | DIREXION DAILY ENERGY BULL 2 25460G609 | $1517.2B | 3 |
| 5835 | SEI EXCHANGE TRADED FUNDS 81589A205 | $1516.9B | 2 |
| 5836 | INNOVATOR INT DEV POWER BUFF 45782C631 | $1515.8B | 4 |
| 5837 | NEW FORTRESS ENERGY INC 644393900 | $1513.7B | 2 |
| 5838 | KOLIBRI GLOBAL ENERGY INC 50043K406 | $1511.1B | 2 |
| 5839 | GLOBAL X FDS 37954Y780 | $1511.0B | 6 |
| 5840 | TRIPADVISOR INC 896945AD4 | $1510.5B | 4 |
| 5841 | ROCKY BRANDS INC 774515100 | $1509.5B | 6 |
| 5842 | Invesco ETFs/USA 46138E172 | $1506.4B | 2 |
| 5843 | ARTESIAN RES CORP 043113208 | $1504.5B | 4 |
| 5844 | VIRTUS NEWFLEET MULTI-SECTOR 26923G707 | $1502.7B | 5 |
| 5845 | RYERSON HLDG CORP 783754104 | $1501.4B | 4 |
| 5846 | PROSHARES SHORT DOW30 74347B235 | $1497.7B | 2 |
| 5847 | SAUL CTRS INC 804395101 | $1494.4B | 9 |
| 5848 | DOUBLELINE ETF TRUST 25861R105 | $1493.8B | 2 |
| 5849 | AEON BIOPHARMA INC 00791X100 | $1491.9B | 2 |
| 5850 | INVESCO SNR INCOME CF 46131H107 | $1488.2B | 10 |
| 5851 | BNY MELLON ETF TRUST 09661T826 | $1485.0B | 5 |
| 5852 | SOHU COM LTD 83410S108 | $1484.1B | 3 |
| 5853 | WESTERN ASSET MANAGED MUNS F 95766M105 | $1483.7B | 6 |
| 5854 | GRUPO AEROPORTUARIO DEL SURE 40051E202 | $1481.8B | 3 |
| 5855 | IHEARTMEDIA INC 45174J509 | $1481.0B | 6 |
| 5856 | CREXENDO INC 226552107 | $1476.6B | 4 |
| 5857 | INVESCO EXCHANGE-TRADED FD TR 46138E693 | $1472.8B | 2 |
| 5858 | ARQ INC 00770C101 | $1472.3B | 5 |
| 5859 | SMITH DOUGLAS HOMES CORP CLASS A A 83207R107 | $1470.5B | 4 |
| 5860 | LANDSEA HOMES CORP 51509P103 | $1470.0B | 4 |
| 5861 | SEMLER SCIENTIFIC INC 81684M104 | $1466.4B | 8 |
| 5862 | BARINGS GLOBAL SHORT DURATION 06760L100 | $1464.3B | 6 |
| 5863 | ISHARES BB RATED CORPORATE BOND ETF 46435U473 | $1462.7B | 2 |
| 5864 | DAKOTA GOLD CORP 46655E100 | $1458.5B | 5 |
| 5865 | IMPACT SHARES WOMEN'S EMPOWERM 45259A100 | $1457.8B | 5 |
| 5866 | GLOBAL X CONSCIOUS COMPANIES 37954Y731 | $1456.3B | 2 |
| 5867 | SAFE BULKERS INC Y7388L103 | $1455.2B | 9 |
| 5868 | CHOICEONE FINL SVCS INC 170386106 | $1454.1B | 3 |
| 5869 | ISHARES GLOBAL FINANCIALS ETF 464287333 | $1450.4B | 7 |
| 5870 | ARBOR REALTY TRUST INC 038923958 | $1447.6B | 2 |
| 5871 | LENZ THERAPEUTICS INC 52635N103 | $1445.0B | 7 |
| 5872 | BARK INC 68622E104 | $1441.2B | 8 |
| 5873 | VIRTUS TOTAL RETURN FD INC 92835W107 | $1440.5B | 3 |
| 5874 | MONTE ROSA THERAPEUTICS INC 61225M102 | $1440.0B | 5 |
| 5875 | TRILOGY METALS INC NEW 89621C105 | $1436.6B | 4 |
| 5876 | FIRST TR EXCHANGE-TRADED FD 33734G108 | $1435.3B | 6 |
| 5877 | APTUS DRAWDOWN MANAGED EQUITY 26922A784 | $1434.9B | 3 |
| 5878 | XAI OCTAGN FLT RAT AND ALT INM 98400T106 | $1434.7B | 5 |
| 5879 | ISHARES MSCI THAILAND ETF 464286624 | $1432.4B | 4 |
| 5880 | EMQQ THE EMERGING MARKETS INTERNET ETF 301505889 | $1424.0B | 4 |
| 5881 | GEMINI SPACE STA INC 36866J105 | $1423.6B | 3 |
| 5882 | LXP INDUSTRIAL TRUST 529043408 | $1422.2B | 2 |
| 5883 | NUVEEN ARIZONA QLTY MUN INC 67061W104 | $1422.0B | 3 |
| 5884 | PERCEPTIVE CAP SOLUTIONS COR G70077105 | $1419.4B | 2 |
| 5885 | JVSPAC ACQUISITION CORP G5212E105 | $1416.8B | 2 |
| 5886 | LG DISPLAY CO LTD 50186V102 | $1416.6B | 4 |
| 5887 | CARA THERAPEUTICS INC 140755109 | $1416.3B | 2 |
| 5888 | ARDAGH METAL PACKAGING S A L02235106 | $1415.4B | 5 |
| 5889 | ENEL CHILE S.A. 29278D105 | $1410.4B | 7 |
| 5890 | OXFORD LANE CAP CORP 691543102 | $1404.7B | 9 |
| 5891 | BANCO MACRO SA 05961W105 | $1404.7B | 4 |
| 5892 | GRANITESHARES ETF TR 38747R603 | $1404.2B | 4 |
| 5893 | INNOVATOR ETFS TRUST 45782C565 | $1403.9B | 5 |
| 5894 | DANONE - SPONS ADR 23636T100 | $1403.5B | 2 |
| 5895 | JINKOSOLAR HLDG CO LTD 47759T100 | $1403.5B | 4 |
| 5896 | ISHARES INC 464286145 | $1402.6B | 3 |
| 5897 | EATON VANCE TOTAL RETURN 61774R841 | $1400.9B | 5 |
| 5898 | ALUMIS INC 022307102 | $1397.6B | 5 |
| 5899 | FT VEST US EQUITY ENHANCE & MODERATE BUFFER ETF - JULY 33740F425 | $1397.2B | 2 |
| 5900 | INOGEN INC 45780L104 | $1392.5B | 10 |
| 5901 | ISHARES MSCI TURKEY ETF 464286715 | $1392.4B | 5 |
| 5902 | GLOBAL X FINTECH ETF 37954Y814 | $1392.3B | 5 |
| 5903 | LITHIUM AMERICAS ARGENTINA C 53681K100 | $1392.1B | 6 |
| 5904 | ARBUTUS BIOPHARMA CORP 03879J100 | $1391.8B | 8 |
| 5905 | INVESCO EXCHANGE TRADED FD T 46137V175 | $1390.0B | 4 |
| 5906 | ISHARES TRUST ISHARES ESG A 46435G441 | $1389.6B | 4 |
| 5907 | Invesco Dorsey Wright Developed Markets Momentum ETF 46138E875 | $1389.0B | 4 |
| 5908 | INVESCO QUALITY MUN INCOME T 46133G107 | $1386.1B | 4 |
| 5909 | T1 ENERGY INC COM NEW 35834F104 | $1383.9B | 10 |
| 5910 | OPPFI INC 68386H103 | $1383.4B | 6 |
| 5911 | NUVEEN PENNSYLVANIA QLT MUN 670972108 | $1381.2B | 4 |
| 5912 | KURA SUSHI USA INC 501270102 | $1378.7B | 4 |
| 5913 | DRX DLY HOMEBUILDERS BULL 3X 25490K596 | $1376.9B | 3 |
| 5914 | FIRST TRUST MULTI CAP VALUE 33733C108 | $1375.1B | 5 |
| 5915 | NAVIOS MARITIME PARTNERS L P COM U Y62267409 | $1372.6B | 5 |
| 5916 | DIGITAL ASSET ACQUISITION CO G2868C103 | $1372.1B | 2 |
| 5917 | WISDOMTREE U.S. AI ENHANCED VALUE FUND 97717W406 | $1369.8B | 7 |
| 5918 | FT GOLD STRAT QTRLY ETF 33733E849 | $1361.4B | 2 |
| 5919 | HEARTFLOW INC 42238D107 | $1361.3B | 3 |
| 5920 | INVESCO EXCHANGE-TRADED FD TR 46138E420 | $1359.4B | 5 |
| 5921 | GLOBAL X FDS 37954Y228 | $1358.9B | 2 |
| 5922 | BLACKROCK, INC. 464286764 | $1354.0B | 4 |
| 5923 | GLOBAL X SUPERDIVIDEND 37960A669 | $1352.7B | 7 |
| 5924 | WHEELS UP EXPERIENCE INC 96328L205 | $1350.5B | 10 |
| 5925 | ORTHOPEDIATRICS CORP 68752L100 | $1350.2B | 6 |
| 5926 | PARAMOUNT GLOBAL 92556H107 | $1350.1B | 5 |
| 5927 | CHEESECAKE FACTORY INC 163072AA9 | $1349.5B | 5 |
| 5928 | ADAMS NATURAL RESOURCES FUND I 00548F105 | $1348.8B | 5 |
| 5929 | STEALTHGAS INC SHS Y81669106 | $1346.9B | 5 |
| 5930 | EXPEDIA GROUP INC 30212PBE4 | $1338.6B | 2 |
| 5931 | TRACTOR SUPPLY CO 892356956 | $1335.6B | 2 |
| 5932 | CROWN CRAFTS INC 228309100 | $1335.0B | 2 |
| 5933 | LEADERSHARES ACTIVIST LEADER 90214Q717 | $1334.4B | 4 |
| 5934 | SILVERCORP METALS INC COM 82835P103 | $1332.2B | 8 |
| 5935 | EA SERIES TRUST 02072L532 | $1331.4B | 4 |
| 5936 | INGRAM MICRO HLDG CORP 457152106 | $1330.0B | 3 |
| 5937 | BANCO DE CHILE 059520106 | $1327.4B | 4 |
| 5938 | GLOBAL X MSCI CHINA CONSUMER D 37950E408 | $1326.7B | 3 |
| 5939 | SKILLSOFT CORP 83066P309 | $1324.2B | 3 |
| 5940 | DRX DLY GOLD MINERS BULL 2X 25460G781 | $1324.0B | 3 |
| 5941 | AEGON LTD 0076CA104 | $1322.9B | 13 |
| 5942 | PYROPHYTE ACQUISITION CORP. G7309T102 | $1322.6B | 2 |
| 5943 | ISHARES 25 YR TREAS STRIPS 46436E577 | $1322.3B | 3 |
| 5944 | PIMCO STRATEGIC INCOME FD 72200X104 | $1322.0B | 6 |
| 5945 | NEW FORTRESS ENERGY INC 644393950 | $1321.7B | 2 |
| 5946 | PACER FDS TR 69374H634 | $1320.0B | 2 |
| 5947 | BOWHEAD SPECIALTY HLDGS INC 10240L102 | $1319.1B | 4 |
| 5948 | INNOVATOR ETFS TRUST 45783Y210 | $1318.3B | 3 |
| 5949 | DISH NETWORK CORPORATION 25470MAB5 | $1317.0B | 2 |
| 5950 | TWO RDS SHARED TR 90214Q675 | $1315.6B | 2 |
| 5951 | INHIBRX BIOSCIENCES INC 45720N103 | $1312.6B | 6 |
| 5952 | VANGUARD ESG U.S. 921910691 | $1311.3B | 5 |
| 5953 | TECHTARGET INC 87874R308 | $1303.7B | 6 |
| 5954 | INNOVATOR US EQ BUFFER JUN 45782C755 | $1301.6B | 3 |
| 5955 | NUVEEN CHURCHILL DIRECT LEND 67090S108 | $1299.1B | 3 |
| 5956 | BLUE FOUNDRY BANCORP 09549B104 | $1296.0B | 5 |
| 5957 | RAMACO RES INC 75134P600 | $1295.7B | 10 |
| 5958 | FIDELITY STOCKS FOR INFL ETF 316092386 | $1295.1B | 3 |
| 5959 | ALLIANZIM US LC BUFFER10 FEB 00888H828 | $1295.0B | 3 |
| 5960 | SPDR SER TR 78468R671 | $1294.9B | 2 |
| 5961 | DISTILLATE INTERNATIONAL FUN 26922B501 | $1292.3B | 2 |
| 5962 | TREDEGAR CORP 894650100 | $1291.8B | 3 |
| 5963 | SSGA ACTIVE TR 78470P200 | $1291.3B | 2 |
| 5964 | VANECK ETF TRUST 92189F445 | $1291.2B | 2 |
| 5965 | CHATHAM LODGING TR 16208T102 | $1288.0B | 6 |
| 5966 | EATON VANCE MUN BD FD 27827X101 | $1287.0B | 4 |
| 5967 | AMERICAN CENTURY FOCUSED DYN 025072810 | $1284.9B | 2 |
| 5968 | SIGHT SCIENCES INC 82657M105 | $1283.7B | 5 |
| 5969 | ATOUR LIFESTYLE HLDGS LTD 04965M106 | $1281.4B | 4 |
| 5970 | ADVISORSHARES TR 00768Y818 | $1280.5B | 3 |
| 5971 | AMPLIFY DIGITAL PAYMENTS ETF 032108656 | $1279.1B | 4 |
| 5972 | EMPRESA DIST Y COMERCIAL NOR 29244A102 | $1278.8B | 2 |
| 5973 | TERNIUM SA 880890108 | $1275.7B | 7 |
| 5974 | ENDEAVOUR SILVER CORP 29258Y103 | $1271.3B | 7 |
| 5975 | SPDR S&P 500 ESG ETF 78468R531 | $1270.6B | 3 |
| 5976 | RMR GROUP INC 74967R106 | $1270.2B | 8 |
| 5977 | CLEVELAND-CLIFFS INC NEW 185899951 | $1268.8B | 3 |
| 5978 | QUETTA ACQUISITION CORP 74841A105 | $1268.7B | 2 |
| 5979 | FLAHERTY & CRUMRINE TOTAL RETU COM 338479108 | $1267.8B | 2 |
| 5980 | STARBOARD INVT TR 85521B783 | $1267.5B | 2 |
| 5981 | KENON HLDGS LTD Y46717107 | $1265.6B | 2 |
| 5982 | TOTAL RETURN SECURITIES FUND 870875101 | $1257.7B | 3 |
| 5983 | ABSCI CORPORATION 00091E109 | $1257.4B | 8 |
| 5984 | SPDR OIL & GAS EQUIP & SERV 78468R549 | $1254.4B | 2 |
| 5985 | INSPIRE GLOBAL HOPE ETF 66538H658 | $1252.7B | 2 |
| 5986 | METSERA INC 59267L107 | $1250.8B | 7 |
| 5987 | NYLI CBRE GLOBAL INFR MEGATREN 56064Q107 | $1247.4B | 3 |
| 5988 | RECRUIT HLDGS CO LTD FUNSPONSORED ADR 1 ADR REPS 0.2 ORD SHS 75629J101 | $1245.9B | 2 |
| 5989 | CAP GROUP MUNI HIGH-INCOME 14020Y805 | $1244.0B | 5 |
| 5990 | ALLY FINL INC 02005N950 | $1243.1B | 2 |
| 5991 | AMPLIFY ENERGY CORP NEW 03212B103 | $1240.7B | 6 |
| 5992 | MANHATTAN BRDG CAP INC 562803106 | $1239.8B | 3 |
| 5993 | TORTOISE NORTH AMERICAN 890930308 | $1235.6B | 5 |
| 5994 | VISTA GOLD CORP F 927926303 | $1235.5B | 4 |
| 5995 | RIVERNORTH FLEXIBLE MUNI INC 76883Y107 | $1235.0B | 2 |
| 5996 | SPDR BLOOMBERG ENHANCED ROLL YIELD COMMODITY STRATEGY NO K-1 ETF 78468R440 | $1233.5B | 5 |
| 5997 | PENNS WOODS BANCORP INC 708430103 | $1230.6B | 2 |
| 5998 | INNOVATOR G-100 PB ETF - NOV 45784N874 | $1227.8B | 2 |
| 5999 | AMERICAN VANGUARD CORP COM 030371108 | $1227.8B | 7 |
| 6000 | IMMATICS N.V N44445109 | $1227.4B | 3 |
| 6001 | CBRE GROUP INC 12504L909 | $1224.3B | 2 |
| 6002 | INVESCO EXCH TRD SLF IDX FD 46139W833 | $1223.5B | 3 |
| 6003 | NORTHERN LTS FD TR IV 66538H641 | $1223.0B | 3 |
| 6004 | BLACKROCK MUNIHOLDINGS C 09253N104 | $1222.0B | 9 |
| 6005 | ABRDN BLMBR AL CM LN D 003261203 | $1221.7B | 4 |
| 6006 | VOYA GLBL EQTY DVD & PRM OPP 92912T100 | $1219.3B | 5 |
| 6007 | GABELLI GLOBAL SMALL & MID C 36249W104 | $1218.7B | 3 |
| 6008 | INNOVATOR ETFS TRUST 45783Y335 | $1217.4B | 3 |
| 6009 | EGH ACQUISITION CORP. G2946P100 | $1214.3B | 2 |
| 6010 | INVESCO DB BASE METALS FUND ETF-C 46140H700 | $1209.4B | 2 |
| 6011 | FIRST TR EXCH TRADED FD III 33740J203 | $1207.5B | 3 |
| 6012 | INVESCO DB OIL FUND 46140H403 | $1205.4B | 5 |
| 6013 | DRX DLY 20 YR TREAS BEAR 3X 25460G849 | $1204.7B | 3 |
| 6014 | LUXFER HLDGS PLC G5698W116 | $1204.4B | 5 |
| 6015 | NACCO INDS INC 629579103 | $1204.0B | 3 |
| 6016 | JPMorgan BetaBuilders USD Investment Grade Corporate Bond ETF 46641Q449 | $1204.0B | 2 |
| 6017 | HANCOCK JOHN FINL OPPTYS FD 409735206 | $1203.3B | 4 |
| 6018 | ISHARES MSCI HONG KONG ETF 464286871 | $1202.2B | 4 |
| 6019 | VANDA PHARMACEUTICALS INC 921659108 | $1202.1B | 6 |
| 6020 | KRISPY KREME INC 50101L106 | $1201.5B | 8 |
| 6021 | SHOC US SEMICON EQUITY ETF 02072L672 | $1199.4B | 4 |
| 6022 | VANECK ETF TRUST 92189F130 | $1197.5B | 2 |
| 6023 | SEI EXCHANGE TRADED FUNDS 81589A304 | $1197.5B | 2 |
| 6024 | DISTRIBUTION SOLUTIONS GRP I 520776105 | $1196.5B | 3 |
| 6025 | MANAGED PORTFOLIO SERIES 56167R705 | $1196.5B | 2 |
| 6026 | NATHANS FAMOUS INC NEW 632347100 | $1183.9B | 4 |
| 6027 | INHIBIKASE THERAPEUTICS INC 45719W205 | $1183.3B | 3 |
| 6028 | ALTICE USA INC 02156K103 | $1180.2B | 9 |
| 6029 | NATIONAL ENERGY SERVICES REU G6375R107 | $1179.4B | 3 |
| 6030 | OPEN LENDING CORP 68373J104 | $1176.5B | 7 |
| 6031 | AB TAX AWARE INTER MUNI 00039J889 | $1174.9B | 2 |
| 6032 | WILLOW LANE ACQUISITION CORP G9675P102 | $1174.3B | 2 |
| 6033 | SERVE ROBOTICS INC 81758H106 | $1173.4B | 10 |
| 6034 | FLEXSHARES TR 33939L787 | $1173.1B | 2 |
| 6035 | BRT APARTMENTS CORP 055645303 | $1171.5B | 6 |
| 6036 | TORTOISE SUSTAINABLE & SOCIAL 27901F109 | $1170.7B | 3 |
| 6037 | ISHARES MORTGAGE REAL ESTATE ETF 46435G342 | $1164.9B | 8 |
| 6038 | DINGDONG CAYMAN LTD F 25445D101 | $1163.5B | 5 |
| 6039 | SELECTQUOTE INC 816307300 | $1162.3B | 7 |
| 6040 | ISHARES MSCI PERU & GLOBAL EXPOSURE ETF 464289842 | $1161.5B | 2 |
| 6041 | LIFEMD INC 53216B104 | $1156.1B | 5 |
| 6042 | ISHARES MORNINGSTAR SMALL-CA ETF 464288505 | $1155.4B | 4 |
| 6043 | BROOKFIELD BUSINESS CORP 11259V106 | $1152.5B | 4 |
| 6044 | VANGUARD SHORT DUR TAX 922907696 | $1150.4B | 3 |
| 6045 | AXONICS INC 05465P101 | $1150.2B | 3 |
| 6046 | ALPINE IMMUNE SCIENCES INC 02083G100 | $1149.6B | 2 |
| 6047 | IDAHO STRATEGIC RESOURCES 645827205 | $1147.7B | 6 |
| 6048 | WISDOMTREE TRUST WISDOMTREE INTEREST RATE HEDGED U.S. AGGREGATE BOND FUND 97717W380 | $1146.7B | 3 |
| 6049 | GRANITE PT MTG TR INC 38741L107 | $1145.1B | 8 |
| 6050 | FULL HSE RESORTS INC 359678109 | $1144.6B | 3 |
| 6051 | FRANKLIN TEMPLETON DIGITAL H 354921108 | $1144.5B | 4 |
| 6052 | WISDOMTREE TR 97717W778 | $1141.9B | 3 |
| 6053 | PGIM JENNISON FOCUSED GROWTH 69344A875 | $1141.2B | 2 |
| 6054 | ENTRADA THERAPEUTICS INC 29384C108 | $1139.8B | 6 |
| 6055 | JOURNEY MED CORP 48115J109 | $1139.6B | 3 |
| 6056 | DOCGO INC 256086109 | $1137.7B | 6 |
| 6057 | ISHARES TR 46436E742 | $1137.3B | 3 |
| 6058 | VALARIS LTD G9460G119 | $1136.5B | 7 |
| 6059 | PEARSON PLC 705015105 | $1132.5B | 9 |
| 6060 | BLACKROCK MUNIYILD QULT FD INC COM 09254F100 | $1132.4B | 5 |
| 6061 | RESOURCES CONNECTION INC COM 76122Q105 | $1131.3B | 9 |
| 6062 | NEUBERGER BERMAN REAL ESTATE 64190A103 | $1131.0B | 6 |
| 6063 | T ROWE PRICE ETF INC 87283Q800 | $1130.9B | 2 |
| 6064 | FIRST TRUST INTERNATIONAL EQUITY OPPORTUNITIES FUND 33734X853 | $1130.7B | 2 |
| 6065 | DONEGAL GROUP INC 257701201 | $1130.5B | 4 |
| 6066 | DENNYS CORP 24869P104 | $1126.5B | 7 |
| 6067 | FIRST TR EXCHANGE-TRADED FD 33733E831 | $1120.6B | 2 |
| 6068 | ISHARES ESG MSCI EM LEADERS 46436E601 | $1120.5B | 3 |
| 6069 | BNY MELLON INTL EQTY ETF 09661T404 | $1118.1B | 5 |
| 6070 | NET POWER INC 64107A105 | $1116.3B | 5 |
| 6071 | PULSE BIOSCIENCES INC 74587B101 | $1114.9B | 7 |
| 6072 | GRANITESHARES ETF TR 38747R306 | $1114.5B | 5 |
| 6073 | BANK7 CORP 06652N107 | $1114.0B | 3 |
| 6074 | BANCOLOMBIA S A SPONS ADR 05968L102 | $1113.4B | 4 |
| 6075 | ISHARES MORNINGSTAR MULTI-AS 46432F875 | $1113.4B | 4 |
| 6076 | INVESCO EXCH TRD SLF IDX FD 46139W791 | $1112.9B | 3 |
| 6077 | Global X FTSE Southeast Asia ETF 37950E648 | $1112.4B | 2 |
| 6078 | INNOVATOR ETFS TRUST 45783Y798 | $1111.3B | 2 |
| 6079 | NEW YORK COMMUNITY BANCORP 649445103 | $1110.8B | 3 |
| 6080 | BAOZUN INC 06684L103 | $1110.6B | 6 |
| 6081 | ARHAUS INC 04035M102 | $1109.4B | 4 |
| 6082 | AMPLIFY ETF TR 032108102 | $1109.2B | 3 |
| 6083 | BLACKROCK MULTI SECTOR INC T 09258A107 | $1108.3B | 3 |
| 6084 | SPIRE GLOBAL INC 848560306 | $1107.9B | 9 |
| 6085 | INVESCO BUILDING & CONSTRUCTION ETF 46137V779 | $1105.9B | 5 |
| 6086 | Verve Therapeutics 92539P101 | $1105.5B | 4 |
| 6087 | TRUECAR INC 89785L107 | $1104.3B | 5 |
| 6088 | CLOVER HEALTH INVESTMENTS CO 18914F103 | $1103.0B | 13 |
| 6089 | MEIRAGTX HLDGS PLC G59665102 | $1101.0B | 6 |
| 6090 | ZTO EXPRESS CAYMAN INC 98980A105 | $1100.6B | 9 |
| 6091 | INVESCO ACTIVELY MANAGED EXC 46090A101 | $1099.4B | 3 |
| 6092 | AMERICAN CENTY ETF TR 025072232 | $1099.2B | 3 |
| 6093 | ISHARES ASIA 50 ETF 464288430 | $1098.4B | 5 |
| 6094 | W & T OFFSHORE INC 92922P106 | $1097.3B | 8 |
| 6095 | WATERSTONE FINL INC MD 94188P101 | $1094.4B | 4 |
| 6096 | RESERVOIR MEDIA INC 76119X105 | $1090.8B | 4 |
| 6097 | Invesco Global Ex US High Yield Corporate Bond ETF 46138E669 | $1088.3B | 2 |
| 6098 | VIEMED HEALTHCARE INC 92663R105 | $1085.8B | 5 |
| 6099 | BLACKROCK UTILS INFRASTRUCTU 09248D104 | $1084.2B | 4 |
| 6100 | WHITEHORSE FIN INC 96524V106 | $1083.8B | 3 |
| 6101 | ETSY INC 29786AAL0 | $1083.6B | 2 |
| 6102 | LIFEVANTAGE CORP 53222K205 | $1082.9B | 5 |
| 6103 | NANO X IMAGING LTD M70700105 | $1081.1B | 8 |
| 6104 | BEYOND MEAT INC 08862E109 | $1079.0B | 16 |
| 6105 | ALLIANZIM US 6M B10 MAR-SEP 00888H661 | $1077.8B | 2 |
| 6106 | DAVIS SELECT US EQUITY ETF 23908L207 | $1077.4B | 3 |
| 6107 | VIRTUS CONV & INCOME FD 92838U108 | $1077.1B | 5 |
| 6108 | INVESCO EXCH TRADED FD TR II 46138E651 | $1072.9B | 4 |
| 6109 | TORTOISE PWR & ENERGY INFRAS 89147X104 | $1072.0B | 2 |
| 6110 | INVESCO QQQ INC ADV ETF 46090A689 | $1071.8B | 2 |
| 6111 | VANECK DIGITAL TRANSFORMATIO 92189H821 | $1071.4B | 3 |
| 6112 | TABOOLA.COM LTD M8744T106 | $1070.9B | 6 |
| 6113 | SPDR SERIES TRUST 78464A907 | $1066.1B | 2 |
| 6114 | MESABI TR 590672101 | $1065.3B | 2 |
| 6115 | ACLARIS THERAPEUTICS INC 00461U105 | $1063.2B | 5 |
| 6116 | ABCELLERA BIOLOGICS INC 00288U106 | $1062.4B | 10 |
| 6117 | QUDIAN INC 747798106 | $1061.0B | 2 |
| 6118 | VIANT TECHNOLOGY INC 92557A101 | $1059.3B | 3 |
| 6119 | BERRY CORP 08579X101 | $1058.5B | 7 |
| 6120 | PROSHARES ULTRA DOW30 74347R305 | $1058.4B | 2 |
| 6121 | SIMPLIFY EXCHANGE TRADED FUN 82889N863 | $1056.3B | 3 |
| 6122 | CHIME FINL INC 16935C109 | $1055.9B | 3 |
| 6123 | ANIKA THERAPEUTICS INC 035255108 | $1055.2B | 4 |
| 6124 | ISHARES MSCI JAPAN SMALL-CAP 464286582 | $1054.4B | 5 |
| 6125 | RED ROBIN GOURMET BURGERS IN 75689M101 | $1054.2B | 3 |
| 6126 | VIRCO MFG CO 927651109 | $1054.0B | 4 |
| 6127 | ARROW FINL CORP 042744102 | $1052.4B | 5 |
| 6128 | MERCEDES BENZ GROUP AG FUNSPONSORED ADR 1 ADR REP 0.25 ORD SHS 233825207 | $1051.6B | 3 |
| 6129 | POLESTAR AUTOMOTIVE HLDG UK 731105201 | $1051.3B | 5 |
| 6130 | FIRST TRUST NATURAL GAS ETF 33733E807 | $1047.3B | 3 |
| 6131 | INVESCO LEISURE AND ENTERTAINMENT ETF 46137V720 | $1046.5B | 7 |
| 6132 | LIGHTSPEED COMMERCE INC 53229C107 | $1046.1B | 5 |
| 6133 | JANUS DETROIT STREET TRUST JANUS HENDERSONSMALL/MID CAP GROWTH 47103U209 | $1044.6B | 4 |
| 6134 | MIND MEDICINE MINDMED INC 60255C885 | $1044.6B | 8 |
| 6135 | GLOBAL X FUNDS GLOBAL X MILL 37954Y764 | $1044.3B | 3 |
| 6136 | SMARTRENT INC 83193G107 | $1041.7B | 5 |
| 6137 | RIVERNORTH DOUBLELINE STRATE 76882G107 | $1041.4B | 7 |
| 6138 | HORIZON KINETICS INFL BENEF 53656F623 | $1040.2B | 5 |
| 6139 | FIRST INTERNET BANCORP 320557101 | $1039.5B | 6 |
| 6140 | WISDOMTREE EMERGING MARKETS 97717Y782 | $1039.4B | 2 |
| 6141 | INNOVATOR ETFS TRUST 45784N858 | $1037.4B | 3 |
| 6142 | ANGEL OAK FUNDS TRUST 03463K745 | $1034.6B | 2 |
| 6143 | CALAMOS CONV & HIGH INCOME F 12811P108 | $1034.0B | 5 |
| 6144 | KAROOOOO LTD ORD SHS Y4600W108 | $1032.0B | 4 |
| 6145 | LIBERTY LATIN AMERICA LTD G9001E102 | $1031.4B | 8 |
| 6146 | SPDR S&P EMERGING ASIA PACIF 78463X301 | $1031.1B | 4 |
| 6147 | AUTOLUS THERAPEUTICS PLC 05280R100 | $1030.1B | 6 |
| 6148 | AIM ETF PRODUCTS TRUST 00888H752 | $1029.7B | 3 |
| 6149 | FIDELITY MAGELLAN ETF 316092329 | $1026.4B | 2 |
| 6150 | VERTICAL AEROSPACE LTD G9471C206 | $1025.8B | 2 |
| 6151 | MEDALLION FINL CORP 583928106 | $1023.3B | 4 |
| 6152 | ZUMIEZ INC 989817101 | $1022.8B | 6 |
| 6153 | INVESCO ADV MUNI INC TR II 46132E103 | $1022.2B | 3 |
| 6154 | FLEXSTEEL INDS INC 339382103 | $1021.2B | 5 |
| 6155 | STRATTEC SEC CORP 863111100 | $1020.5B | 4 |
| 6156 | HUMACYTE INC 44486Q103 | $1020.1B | 11 |
| 6157 | OIL STS INTL INC 678026105 | $1018.8B | 7 |
| 6158 | SIERRA BANCORP 82620P102 | $1017.4B | 5 |
| 6159 | HANCOCK JOHN PFD INCOME FD II COM 41013X106 | $1017.0B | 3 |
| 6160 | REVELYST INC 690045109 | $1016.8B | 2 |
| 6161 | THE BEAUTY HEALTH COMPANY 88331L108 | $1016.6B | 6 |
| 6162 | VISTA ENERGY S.A.B. DE C.V. 92837L109 | $1015.6B | 7 |
| 6163 | SPDR BLOOMBERG INTERNATIONAL CORPORATE BOND ETF 78464A151 | $1013.3B | 5 |
| 6164 | ALDEYRA THERAPEUTICS INC 01438T106 | $1012.9B | 5 |
| 6165 | UNIFIED SER TR 90470L550 | $1011.4B | 3 |
| 6166 | CB FINL SVCS INC 12479G101 | $1011.3B | 2 |
| 6167 | GAN LTD G3728V109 | $1009.5B | 2 |
| 6168 | GEOSPACE TECHNOLOGIES CORP 37364X109 | $1008.5B | 4 |
| 6169 | VISTAGEN THERAPEUTICS INC 92840H400 | $1006.6B | 3 |
| 6170 | DOMO INC 257554105 | $1005.4B | 5 |
| 6171 | INNOVATOR DEEPWATER 45782C862 | $1005.1B | 5 |
| 6172 | TOKYO ELECTRON LTD F 889110102 | $1004.8B | 2 |
| 6173 | WASHINGTON MUT INVS FD 939330106 | $1004.6B | 2 |
| 6174 | BANK MONTREAL MEDIUM 06368B504 | $1004.4B | 3 |
| 6175 | BLACKROCK DEBT STRATEGIES FD 09255R202 | $1004.1B | 5 |
| 6176 | CONCRETE PUMPING HLDGS INC 206704108 | $1001.6B | 6 |
| 6177 | ALICO INC 016230104 | $1001.3B | 5 |
| 6178 | RCI HOSPITALITY HLDGS INC 74934Q108 | $998992.0M | 4 |
| 6179 | ICAHN ENTERPRISES LP 451100101 | $997739.0M | 9 |
| 6180 | Virtus Conv & Income Fund (ncv) 92838X102 | $996255.0M | 2 |
| 6181 | UNITED SEC BANCSHARES CALIF 911460103 | $994298.0M | 4 |
| 6182 | FARMERS & MERCHANTS BANCORP 30779N105 | $993287.0M | 3 |
| 6183 | BLACKROCK ENHANCED GLOBAL DI 092501105 | $992907.0M | 4 |
| 6184 | INTL GNRL INSURANCE HLDNGS L G4809J106 | $990635.0M | 3 |
| 6185 | MILLER HOWARD HIGH INC EQTY 600379101 | $989657.0M | 2 |
| 6186 | ESPERION THERAPEUTICS INC NE 29664W105 | $989010.0M | 10 |
| 6187 | FIRST TRUST ACTIVE FACTOR SM 33740F797 | $987223.0M | 2 |
| 6188 | INVESCO ZACKS 46137Y401 | $986545.0M | 4 |
| 6189 | BCB BANCORP INC 055298103 | $984165.0M | 6 |
| 6190 | AVINO SILVER & GOLD MINES LT 053906103 | $983752.0M | 2 |
| 6191 | FTVESTUS MAX BUFF ETF MARCH 33740U612 | $982411.0M | 3 |
| 6192 | PROSHARES ULTRAPRO DOW30 74347X823 | $981760.0M | 3 |
| 6193 | FOSTER L B CO 350060109 | $981080.0M | 6 |
| 6194 | MITSUBISHI HEAVY INDUSTRIES 606793404 | $980603.0M | 2 |
| 6195 | FLAHERTY & CRUMRINE DYNAMIC 33848W106 | $979730.0M | 4 |
| 6196 | SPORTSMANS WHSE HLDGS INC 84920Y106 | $979337.0M | 2 |
| 6197 | RANPAK HOLDINGS CORP 75321W103 | $978345.0M | 5 |
| 6198 | OMEGA FLEX INC 682095104 | $976591.0M | 4 |
| 6199 | PCB BANCORP 69320M109 | $975139.0M | 5 |
| 6200 | ISHARES TR 46436E296 | $974371.0M | 4 |
| 6201 | FlexShares ETFs/USA 33939L670 | $973624.0M | 2 |
| 6202 | OLYMPIC STEEL INC COM 68162K106 | $971524.0M | 6 |
| 6203 | FRP HLDGS INC 30292L107 | $969232.0M | 5 |
| 6204 | ATHIRA PHARMA INC 04746L203 | $968639.0M | 2 |
| 6205 | MERCER INTL INC 588056101 | $968256.0M | 5 |
| 6206 | TPG RE FIN TR INC 87266M107 | $966911.0M | 6 |
| 6207 | NUVEEN REAL ASSET INCOME & G 67074Y105 | $963182.0M | 3 |
| 6208 | DAVIS SELECT WORLDWIDE ETF 23908L306 | $959399.0M | 2 |
| 6209 | FORUM ENERGY TECHNOLOGIES IN 34984V209 | $959249.0M | 3 |
| 6210 | FORTINET INC 34959E909 | $957028.0M | 2 |
| 6211 | VANECK ETF TRUST 92189F767 | $954625.0M | 2 |
| 6212 | STRATA CRITICAL MEDICAL INC 092667104 | $954445.0M | 8 |
| 6213 | CLEARBRIDGE LARGE CAP GROWTH S 524682200 | $952192.0M | 2 |
| 6214 | GRUPO AEROPORTUARIO DEL CENT 400501102 | $951800.0M | 4 |
| 6215 | WEST BANCORPORATION INC 95123P106 | $950983.0M | 4 |
| 6216 | CRICUT INC 22658D100 | $950939.0M | 6 |
| 6217 | ISHARES TR 46435U796 | $950904.0M | 4 |
| 6218 | ANTERO RESOURCES CORP 03674X906 | $949463.0M | 2 |
| 6219 | INVESCO CA VAL MUNI INC TR 46132H106 | $948191.0M | 5 |
| 6220 | WEYCO GROUP INC 962149100 | $946619.0M | 3 |
| 6221 | AEHR TEST SYS 00760J108 | $944492.0M | 8 |
| 6222 | PAYSIGN INC 70451A104 | $943568.0M | 6 |
| 6223 | LANDS END INC NEW COM 51509F105 | $942952.0M | 8 |
| 6224 | COHERUS ONCOLOGY INC 19249H103 | $942805.0M | 9 |
| 6225 | LUMINAR TECHNOLOGIES INC 550424303 | $938839.0M | 8 |
| 6226 | ARCH RESOURCES INC 03940R107 | $938370.0M | 4 |
| 6227 | CENOVUS ENERGY INC 15135U117 | $937842.0M | 2 |
| 6228 | INFINEON TECHNOLOGIES FSPONSORED ADR 1 ADR REPS 1 ORD SHS 45662N103 | $937706.0M | 2 |
| 6229 | WISDOMTREE CYBERSECURITY FND 97717Y659 | $935534.0M | 5 |
| 6230 | HAWTHORN BANCSHARES INC 420476103 | $933731.0M | 2 |
| 6231 | TARGA RES CORP 87612G901 | $932720.0M | 2 |
| 6232 | INVESCO S&P SMALLCAP 600 PUR 46137V167 | $931162.0M | 3 |
| 6233 | FIRST TR EXCHNG TRADED FD VI FT VEST INT EQ M 33740U828 | $930400.0M | 2 |
| 6234 | INVESCO MUNI INCOME OPP TRST 46132X101 | $928702.0M | 6 |
| 6235 | VOYA EMERGING MKTS HIGH DIVI 92912P108 | $927265.0M | 5 |
| 6236 | DIREXION DAILY REGIONAL BANKS BULL 3X SHARES 25460G153 | $926672.0M | 5 |
| 6237 | MAXCYTE INC 57777K106 | $925807.0M | 7 |
| 6238 | INTESA SANPAOLO S P A FSPONSORED ADR 1 ADR REPS 6 ORD SHS 46115H107 | $925244.0M | 2 |
| 6239 | SPDR S&P SOFTWARE & SER ETF 78464A599 | $924992.0M | 6 |
| 6240 | BATH & BODY WORKS INC 070830904 | $923254.0M | 2 |
| 6241 | TAYLOR DEVICES INC 877163105 | $923219.0M | 4 |
| 6242 | CARLYLE CREDIT INCOME FUND 92535C104 | $920553.0M | 2 |
| 6243 | SPROTT JR URANIUM MINERS ETF 85208P808 | $918154.0M | 2 |
| 6244 | KALTURA INC 483467106 | $917174.0M | 4 |
| 6245 | ONEOK INC NEW 682680953 | $916367.0M | 2 |
| 6246 | SOLAREDGE TECHNOLOGIES INC 83417MAD6 | $914799.0M | 2 |
| 6247 | ISHARES US OIL EQUIP SER 464288844 | $911892.0M | 5 |
| 6248 | RICHARDSON ELECTRS LTD 763165107 | $911188.0M | 7 |
| 6249 | BLACKROCK MUN INCOME TR 09248F109 | $909443.0M | 7 |
| 6250 | INVESCO EXCHANGE-TRADED FD TR 46137V696 | $907913.0M | 2 |
| 6251 | COMMUNITY WEST BANCSHARES NE 203937107 | $907073.0M | 4 |
| 6252 | BAYCOM CORP 07272M107 | $907027.0M | 3 |
| 6253 | LAKELAND INDS INC 511795106 | $906916.0M | 5 |
| 6254 | PMV PHARMACEUTICALS INC 69353Y103 | $906052.0M | 5 |
| 6255 | ENTERPRISE BANCORP INC MASS CDT-COM CD 293668109 | $905905.0M | 2 |
| 6256 | EA SERIES TRUST 02072L102 | $904288.0M | 5 |
| 6257 | LITMAN GREGORY FDS TR 53700T736 | $903865.0M | 2 |
| 6258 | MEDIWOUND LTD M68830112 | $903733.0M | 3 |
| 6259 | IPERIONX LTD 44916E100 | $903432.0M | 4 |
| 6260 | PANGAEA LOGISTICS SOLUTION L G6891L105 | $902952.0M | 4 |
| 6261 | CALAMOS ETF TR 12811T803 | $901895.0M | 3 |
| 6262 | FIRST BUSINESS FINL SVCS INC 319390100 | $901651.0M | 3 |
| 6263 | NYLI MACKAY DEFINEDTERM MUNI 56064K100 | $900526.0M | 3 |
| 6264 | BETTER HOME AND FINANCE HOLDIN 08774B508 | $896040.0M | 4 |
| 6265 | AMPRIUS TECHNOLOGIES INC 03214Q108 | $894211.0M | 8 |
| 6266 | ISHARES GLOBAL TIMBER & FORE 464288174 | $893983.0M | 6 |
| 6267 | INNOVATOR ETFS TRUST 45782C763 | $892352.0M | 3 |
| 6268 | DIREXION SHS ETF TR 25460E265 | $892068.0M | 2 |
| 6269 | CELSIUS HLDGS INC 15118V907 | $891095.0M | 2 |
| 6270 | ALPS INTERNATIONAL SECTOR DIVIDEND DOGS ETF 00162Q718 | $890415.0M | 3 |
| 6271 | CAPITAL GROUP EQUITY ETF TR 14022A102 | $889276.0M | 2 |
| 6272 | ECOPETROL S A 279158109 | $887956.0M | 5 |
| 6273 | AMERICAN CENTY ETF TR 025072299 | $887077.0M | 2 |
| 6274 | BLACKROCK MUNIYIELD N Y QUAL 09255E102 | $886660.0M | 2 |
| 6275 | JP MORGAN INFLATION MGD BOND 46654Q104 | $885435.0M | 3 |
| 6276 | UP FINTECH HLDG LTD 91531W106 | $885169.0M | 6 |
| 6277 | PROSHARES ULTRASHORT DOW30 74347G374 | $881818.0M | 2 |
| 6278 | JIAYIN GROUP INC 47737C104 | $881230.0M | 4 |
| 6279 | INVESCO BLOOMBERG PRICING PO 46138J775 | $879906.0M | 4 |
| 6280 | WASHINGTON TR BANCORP INC 940610108 | $877887.0M | 3 |
| 6281 | COHEN & STEERS TOTAL RETURN 19247R103 | $876938.0M | 4 |
| 6282 | FRANKLIN EMERGING MARKET COR 35473P207 | $874806.0M | 3 |
| 6283 | SEMRUSH HLDGS INC 81686C104 | $873068.0M | 5 |
| 6284 | VIRGIN GALACTIC HOLDINGS INC 92766K403 | $872823.0M | 11 |
| 6285 | OKLO INC 02156V959 | $872295.0M | 2 |
| 6286 | CARPARTS COM INC 14427M107 | $871018.0M | 3 |
| 6287 | SPDR SERIES TRUST 78468R887 | $869997.0M | 3 |
| 6288 | RETAIL OPPORTUNITY INVTS COR 76131N101 | $869011.0M | 3 |
| 6289 | GENIE ENERGY LTD 372284208 | $867670.0M | 4 |
| 6290 | VANGUARD WELLINGTON FD 921935706 | $865355.0M | 4 |
| 6291 | TIZIANA LIFE SCIENCES LTD G88912103 | $864926.0M | 3 |
| 6292 | CLARUS CORP NEW 18270P109 | $862936.0M | 5 |
| 6293 | ENFUSION INC - CLASS A 292812104 | $862358.0M | 3 |
| 6294 | CS DISCO INC 126327105 | $860908.0M | 6 |
| 6295 | POWER SOLUTIONS INTL INC 73933G202 | $860112.0M | 3 |
| 6296 | NUVEEN ESG HI YLD CORP BND 67092P854 | $859591.0M | 3 |
| 6297 | EASTMAN KODAK CO 277461406 | $859396.0M | 8 |
| 6298 | LOANDEPOT INC 53946R106 | $857197.0M | 6 |
| 6299 | VEREN INC 92340V107 | $855871.0M | 5 |
| 6300 | GAIN THERAPEUTICS INC 36269B105 | $854869.0M | 2 |
| 6301 | UNITED STS ANTIMONY CORP 911549103 | $853400.0M | 7 |
| 6302 | WIDEOPENWEST INC 96758W101 | $851042.0M | 3 |
| 6303 | ONE LIBERTY PPTYS INC 682406103 | $850710.0M | 8 |
| 6304 | NEW PROVIDENCE ACQUISITION C G6476A102 | $850654.0M | 2 |
| 6305 | MAINSTREET BANCSHARES INC 56064Y100 | $850410.0M | 2 |
| 6306 | NUVEEN N Y MUN VALUE FUND INC 67062M105 | $848828.0M | 2 |
| 6307 | BLACKROCK, INC. 46434G830 | $847580.0M | 7 |
| 6308 | GOLDMAN SACHS S&P 500 PREMIUM 38149W622 | $846519.0M | 4 |
| 6309 | RGC RES INC 74955L103 | $844817.0M | 5 |
| 6310 | NUVEEN TAXABLE MUNICPAL INM 67074C103 | $843965.0M | 3 |
| 6311 | INVESCO EXCHANGE-TRADED FD TR 46138E644 | $843573.0M | 2 |
| 6312 | SOHO HOUSE & CO INC 586001109 | $842950.0M | 5 |
| 6313 | PIMCO PREF AND CAP SEC ACT 72201R619 | $840289.0M | 2 |
| 6314 | WESTERN ASSET MUN HIGH INCOM 95766N103 | $838173.0M | 3 |
| 6315 | LIBERTY LIVE HLDGS INC 530909308 | $836092.0M | 3 |
| 6316 | BLACKSKY TECHNOLOGY INC 09263B207 | $835242.0M | 4 |
| 6317 | STEM INC 85859N102 | $833214.0M | 7 |
| 6318 | ATLANTICUS HOLDINGS CORP 04914Y102 | $832277.0M | 4 |
| 6319 | NUVEEN CALIFORNIA MUNI VLU F 67062C107 | $831136.0M | 4 |
| 6320 | AIM ETF PRODUCTS TRUST 00888H836 | $830299.0M | 3 |
| 6321 | VOYA INFRASTRUCTURE INDLS & 92912X101 | $828804.0M | 2 |
| 6322 | DOUGLAS DYNAMICS INC 25960R105 | $827807.0M | 3 |
| 6323 | ABRDN WORLD HEALTHCARE FUND 87911L108 | $827233.0M | 4 |
| 6324 | NEUBERGER BERMAN MUN FD INC 64124P101 | $827025.0M | 2 |
| 6325 | ALVOTECH L01800108 | $826553.0M | 3 |
| 6326 | PERSONALIS INC 71535D106 | $826464.0M | 5 |
| 6327 | NORWOOD FINANCIAL CORP 669549107 | $825881.0M | 3 |
| 6328 | Eagle Point Credit Co Inc 269808101 | $825367.0M | 8 |
| 6329 | MVB FINL CORP 553810102 | $822762.0M | 4 |
| 6330 | DASSAULT SYS S A FSPONSORED ADR 1 ADR REPS 1 ORD SHS 237545108 | $819894.0M | 3 |
| 6331 | EHANG HLDGS LTD 26853E102 | $819279.0M | 4 |
| 6332 | APARTMENT INCOME REIT CORP 03750L109 | $818067.0M | 2 |
| 6333 | CAPRICOR THERAPEUTICS INC 14070B309 | $817481.0M | 4 |
| 6334 | FRANKLIN INTERNATIONAL AGGRE 35473P611 | $814135.0M | 3 |
| 6335 | Zacks Small/Mid Cap ETF 98888G204 | $812727.0M | 2 |
| 6336 | MATIV HOLDINGS INC 808541106 | $811136.0M | 7 |
| 6337 | AVANGRID INC 05351W103 | $810418.0M | 6 |
| 6338 | PROSHARES GLB INFRASTRUCTURE 74347B508 | $807832.0M | 3 |
| 6339 | LEGG MASON ETF INVT 524682309 | $805368.0M | 2 |
| 6340 | BNY MELLON HIGH YIELD STRATE 09660L105 | $805144.0M | 3 |
| 6341 | VIOMI TECHNOLOGY CO LTD 92762J103 | $802791.0M | 2 |
| 6342 | ACCOLADE INC 00437E102 | $801528.0M | 2 |
| 6343 | CHEGG INC 163092AF6 | $796911.0M | 2 |
| 6344 | TEUCRIUM COMMODITY TR 88166A508 | $795675.0M | 6 |
| 6345 | SUNRUN INC 86771W955 | $794032.0M | 2 |
| 6346 | HOLLEY INC 43538H103 | $793568.0M | 5 |
| 6347 | GEN DIGITAL INC 668771116 | $793482.0M | 3 |
| 6348 | ADVANTAGE SOLUTIONS INC 00791N102 | $790363.0M | 6 |
| 6349 | VTEX G9470A102 | $789703.0M | 5 |
| 6350 | TILRAY BRANDS INC 88688T100 | $788560.0M | 25 |
| 6351 | FED HERMES SHRT DUR HI YIELD 31423L206 | $784976.0M | 3 |
| 6352 | CALAMOS ETF TR 12811T605 | $784354.0M | 2 |
| 6353 | FIDELITY ENH SM CAP ETF 31609A206 | $782043.0M | 3 |
| 6354 | ATN INTL INC 00215F107 | $780980.0M | 4 |
| 6355 | AUDIOCODES LTD M15342104 | $780766.0M | 4 |
| 6356 | EXPERIAN PLC FSPONSORED ADR 1 ADR REPS 1 ORD SHS 30215C101 | $776631.0M | 2 |
| 6357 | PARKE BANCORP INC 700885106 | $774678.0M | 3 |
| 6358 | BONDBLOXX CCC-RATED USD HIGH YIELD CORPORATE BOND ETF 09789C887 | $774058.0M | 2 |
| 6359 | ZIPRECRUITER INC 98980B103 | $773359.0M | 5 |
| 6360 | AIM ETF PRODUCTS TRUST 00888H737 | $772063.0M | 2 |
| 6361 | RUSH ENTERPRISES INC 781846308 | $770132.0M | 3 |
| 6362 | TEADS HLDG CO 69002R103 | $768399.0M | 5 |
| 6363 | MICROCHIP TECHNOLOGY INC. 595017302 | $767548.0M | 3 |
| 6364 | HIGHPEAK ENERGY INC 43114Q105 | $767234.0M | 6 |
| 6365 | WISDOMTREE EMRG MKTS DEBT 97717X867 | $765713.0M | 5 |
| 6366 | NATIONAL RESH CORP 637372202 | $764546.0M | 6 |
| 6367 | FIRST TRUST NASDAQ-100 EX-TE 33733E401 | $764528.0M | 5 |
| 6368 | INVESCO EXCHANGE TRADED FD T 46137Y609 | $764207.0M | 2 |
| 6369 | ICC HLDGS INC 44931Q104 | $763407.0M | 2 |
| 6370 | QUEST RESOURCE HOLDING CORP 74836W203 | $762573.0M | 5 |
| 6371 | PUTNAM PREMIER INCOME TRUST 746853100 | $762202.0M | 7 |
| 6372 | CITIZENS FINL SVCS INC 174615104 | $762158.0M | 3 |
| 6373 | ON24 INC 68339B104 | $762128.0M | 5 |
| 6374 | GLOBAL X FDS 37950E333 | $761710.0M | 3 |
| 6375 | BLACKROCK CORE BD TR SHS BEN INT 09249E101 | $760602.0M | 8 |
| 6376 | HYLIION HOLDINGS CORP 449109107 | $756685.0M | 7 |
| 6377 | EXCHANGE TRADED CONCEPTS TRU 301505558 | $756579.0M | 4 |
| 6378 | AEMETIS INC 00770K202 | $755759.0M | 6 |
| 6379 | BLACKROCK MUNIYIELD CF 09253W104 | $755596.0M | 7 |
| 6380 | FIRST TRUST SMALL CAP VAL 33737M409 | $755285.0M | 3 |
| 6381 | DOCEBO INC 25609L105 | $754676.0M | 3 |
| 6382 | VANGUARD SCOTTSDALE FDS 92206c102 | $752081.0M | 2 |
| 6383 | GUGGENHEIM ACTIVE ALLOCATION 40170T106 | $751990.0M | 4 |
| 6384 | JOHN HANCOCK PFD INCOME FUND 41013W108 | $751850.0M | 4 |
| 6385 | TSS INC DEL 87288V101 | $749127.0M | 4 |
| 6386 | ISHARES GLOBAL UTILITIES 464288711 | $747832.0M | 5 |
| 6387 | CATO CORP NEW CL A 149205106 | $746710.0M | 5 |
| 6388 | CORE MOLDING TECHNOLOGIES IN 218683100 | $743690.0M | 3 |
| 6389 | FRANKLIN U.S. SMALL CAP MULT 35473P876 | $742230.0M | 3 |
| 6390 | COOPER STD HLDGS INC 21676P103 | $741039.0M | 5 |
| 6391 | MANAGER DIRECTED PORTFOLIOS 56170L695 | $740809.0M | 3 |
| 6392 | NEW AMER HIGH INCOME FD INC 641876800 | $739165.0M | 2 |
| 6393 | SPDR S&P CHINA ETF 78463X400 | $738296.0M | 3 |
| 6394 | MEREO BIOPHARMA GROUP PLC 589492107 | $738125.0M | 5 |
| 6395 | ANDRETTI ACQUISITION CORP II G26745110 | $737500.0M | 2 |
| 6396 | ABRDN ASIA PACIFIC INCOME FU 003009107 | $737331.0M | 2 |
| 6397 | LEGACY ED INC 52474R207 | $737025.0M | 2 |
| 6398 | ORANGE CNTY BANCORP INC 68417L107 | $736195.0M | 3 |
| 6399 | TRIPLEPOINT VENTURE GROWTH B 89677Y100 | $733388.0M | 3 |
| 6400 | VANGUARD MUN BD FDS 922907712 | $732645.0M | 2 |
| 6401 | BRIDGEBIO PHARMA INC 10806XAB8 | $732354.0M | 3 |
| 6402 | AXT INC 00246W103 | $730537.0M | 2 |
| 6403 | AUDIOEYE INC 050734201 | $729356.0M | 5 |
| 6404 | NAVIGATOR HLDGS LTD Y62132108 | $728363.0M | 3 |
| 6405 | IQIYI INC 46267X108 | $727829.0M | 8 |
| 6406 | BETA BIONICS INC 08659B102 | $726427.0M | 5 |
| 6407 | TPI COMPOSITES INC 87266J104 | $722881.0M | 7 |
| 6408 | ELLSWORTH GROWTH & INCOME FD 289074106 | $720651.0M | 2 |
| 6409 | RCM TECHNOLOGIES INC 749360400 | $719980.0M | 4 |
| 6410 | STAR HLDGS 85512G106 | $715368.0M | 5 |
| 6411 | INVESCO EXCH TRD SLF IDX FD 46138J437 | $714833.0M | 5 |
| 6412 | GRAN TIERRA ENERGY INC DEL 38500T200 | $714708.0M | 3 |
| 6413 | AMERICAN CENTURY MID CAP GRO 025072760 | $713163.0M | 2 |
| 6414 | FIRST TR MLP & ENERGY INCOME FD 33739B104 | $710248.0M | 2 |
| 6415 | WESTROCK COFFEE CO 96145W103 | $708498.0M | 5 |
| 6416 | CLEARPOINT NEURO INC 18507C103 | $705859.0M | 6 |
| 6417 | JOHN HANCOCK EXCHANGE TRADED 47804J834 | $704258.0M | 4 |
| 6418 | DIMENSIONAL ETF TRUST 25434V633 | $703785.0M | 3 |
| 6419 | BLACKROCK ENERGY & RES TR 09250U101 | $703658.0M | 2 |
| 6420 | CYTOMX THERAPEUTICS INC 23284F105 | $700374.0M | 5 |
| 6421 | EA SER TR 02072L698 | $699544.0M | 2 |
| 6422 | CARROLS RESTAURANT GROUP INC 14574X104 | $698149.0M | 2 |
| 6423 | KORU MEDICAL SYSTEMS INC 759910102 | $697448.0M | 6 |
| 6424 | DOUBLELINE ETF TRUST 25861R204 | $696745.0M | 2 |
| 6425 | MARRIOTT VACATIONS WORLDWIDE 57164YAD9 | $695600.0M | 2 |
| 6426 | WESTERN ASSET HIGH YIELD OPPOR COM 95768B107 | $695138.0M | 5 |
| 6427 | TMC THE METALS CO INC F 87261Y106 | $694799.0M | 9 |
| 6428 | INVESCO DORSEY WRIGHT HEALTH 46137V852 | $692752.0M | 4 |
| 6429 | RILEY EXPLORATION PERMIAN IN 76665T102 | $689834.0M | 3 |
| 6430 | EUROPACIFIC GROWTH FD 298706110 | $687672.0M | 2 |
| 6431 | CUREVAC N V COM N2451R105 | $687634.0M | 6 |
| 6432 | CITY OFFICE REIT INC 178587101 | $686199.0M | 5 |
| 6433 | VANECK VIDEOGAMING ESPORTS 92189F114 | $685816.0M | 4 |
| 6434 | ZEVIA PBC CLASS A 98955K104 | $685439.0M | 5 |
| 6435 | BITCOIN DEPOT INC 09174P105 | $684852.0M | 4 |
| 6436 | SPDR INDEX SHS FDS 78463X426 | $684474.0M | 2 |
| 6437 | B. RILEY FINANCIAL INC 05580M108 | $683600.0M | 6 |
| 6438 | HF FOODS GROUP INC 40417F109 | $683229.0M | 4 |
| 6439 | SOFTBANK GROUP CORP UNSP ADR 83404D109 | $681652.0M | 2 |
| 6440 | VANGUARD TOTAL WORLD BOND ET 92206C565 | $681562.0M | 4 |
| 6441 | ISHARES TR 46436E387 | $680464.0M | 3 |
| 6442 | SCHWAB HIGH YIELD BOND ETF 808524631 | $679985.0M | 4 |
| 6443 | DESTINATION XL GROUP INC 25065K104 | $678245.0M | 4 |
| 6444 | Seligman Funds/Closed-end/USA 19842X109 | $677734.0M | 2 |
| 6445 | TALKSPACE INC 87427V103 | $676793.0M | 8 |
| 6446 | TRIVAGO N V 89686D303 | $674788.0M | 3 |
| 6447 | RED RIVER BANCSHARES INC 75686R202 | $673575.0M | 4 |
| 6448 | NUCOR CORP 670346905 | $670684.0M | 2 |
| 6449 | ADVENT CONVERTIBLE AND INCOME FUND 00764C109 | $670162.0M | 6 |
| 6450 | SEACOR MARINE HLDGS INC 78413P101 | $667920.0M | 4 |
| 6451 | CARDLYTICS INC 14161W105 | $667887.0M | 4 |
| 6452 | WISDOMTREE TR 97717X610 | $666359.0M | 4 |
| 6453 | MFS MULTIMARKET INCOME TR 552737108 | $666193.0M | 2 |
| 6454 | CORBUS PHARMACEUTICALS HLDGS 21833P301 | $666169.0M | 4 |
| 6455 | QUIPT HOME MEDICAL CORP 74880P104 | $665686.0M | 6 |
| 6456 | CORVUS PHARMACEUTICALS INC 221015100 | $664997.0M | 4 |
| 6457 | ENLIGHT RENEWABLE ENERGY LTD M4056D110 | $664936.0M | 3 |
| 6458 | METTLER TOLEDO INTERNATIONAL 592688955 | $664799.0M | 2 |
| 6459 | KARAT PACKAGING INC 48563L101 | $661281.0M | 4 |
| 6460 | EDITAS MEDICINE INC COM 28106W103 | $657342.0M | 10 |
| 6461 | IN EQU D PR ETF - 2 Y O 2026 45784N601 | $656814.0M | 2 |
| 6462 | COLUMBIA ETF TR II 19762B509 | $654323.0M | 2 |
| 6463 | BLACKROCK HEALTH SCIENCES TR 09250W107 | $652329.0M | 6 |
| 6464 | ZYNEX INC 98986M103 | $650112.0M | 4 |
| 6465 | BRC INC 05601U105 | $649367.0M | 7 |
| 6466 | MBIA INC 55262C100 | $649006.0M | 5 |
| 6467 | C4 THERAPEUTICS INC 12529R107 | $648587.0M | 7 |
| 6468 | GREENE CNTY BANCORP INC 394357107 | $647452.0M | 3 |
| 6469 | VANECK AFRICA INDEX ETF 92189F866 | $646833.0M | 4 |
| 6470 | THIRD HARMONIC BIO INC 88427A107 | $646649.0M | 5 |
| 6471 | SIRIUS XM HLDGS INC 82968B103 | $646046.0M | 5 |
| 6472 | NEXTDOOR HOLDINGS INC 65345M108 | $644489.0M | 6 |
| 6473 | INVESCO EXCHANGE TRADED FD T 46137V860 | $642927.0M | 4 |
| 6474 | UBS AG ET GL SHR COVR CL ETN 22542D233 | $642472.0M | 2 |
| 6475 | PUMA BIOTECHNOLOGY INC 74587V107 | $641581.0M | 6 |
| 6476 | BANKWELL FINL GROUP INC 06654A103 | $641048.0M | 4 |
| 6477 | ALARUM TECHNOLOGIES LTD 78643B500 | $640845.0M | 4 |
| 6478 | NEKTAR THERAPEUTICS 640268306 | $640687.0M | 4 |
| 6479 | ZSCALER INC 98980GAB8 | $640408.0M | 2 |
| 6480 | RVRNRTH MGD DUR MUNI INC 76882H105 | $640082.0M | 3 |
| 6481 | DAVIS FUNDAMENTAL ETF TR 23908L405 | $639270.0M | 2 |
| 6482 | FUTUREFUEL CORP COM 36116M106 | $639122.0M | 6 |
| 6483 | ATEGRITY SPECIALTY IN CO HO 04681Y103 | $637727.0M | 2 |
| 6484 | SPDR S&P KENSHO CLEAN POWER ET 78468R655 | $637606.0M | 3 |
| 6485 | AMERICAN OUTDOOR BRANDS INC 02875D109 | $635072.0M | 6 |
| 6486 | PIMCO MUN INCOME FD III 72201A103 | $632699.0M | 3 |
| 6487 | JOINT CORP 47973J102 | $632258.0M | 5 |
| 6488 | PUBLIC SVC ENTERPRISE GRP IN 744573906 | $631768.0M | 2 |
| 6489 | COMMERCIAL VEH GROUP INC 202608105 | $629635.0M | 4 |
| 6490 | REPUBLIC DIGITAL ACQUISITION G7515A111 | $629300.0M | 2 |
| 6491 | RUMBLE INC 78137L105 | $628885.0M | 10 |
| 6492 | VERU INC 92536C103 | $628546.0M | 4 |
| 6493 | IONIS PHARMACEUTICALS INC 462222AF7 | $626631.0M | 2 |
| 6494 | PALMER SQUARE CAPITAL BDC IN 69702V107 | $625724.0M | 2 |
| 6495 | LIFEWAY FOODS INC 531914109 | $625404.0M | 4 |
| 6496 | SVENSKA HANDELSBANKEN FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 86959C103 | $625359.0M | 2 |
| 6497 | MICHELIN COMPAGNIE GEN FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 59410T106 | $625065.0M | 2 |
| 6498 | ELEVATION SERIES TRUST 210322509 | $624991.0M | 4 |
| 6499 | GLOBAL X DOW 30 COV CALL ETF 37960A859 | $624527.0M | 3 |
| 6500 | BROADWIND INC 11161T207 | $624336.0M | 3 |
| 6501 | LANDBRIDGE COMPANY LLC 514952100 | $624148.0M | 4 |
| 6502 | WEN ACQUISITION CORP G9R39C129 | $623800.0M | 2 |
| 6503 | ABRDN GLOBAL DYNAMIC DIVIDEN 00302M106 | $623670.0M | 2 |
| 6504 | ORION PROPERTIES INC COM 68629Y103 | $622292.0M | 15 |
| 6505 | ALLIANZIM US LC BUFFER10 MAY 00888H760 | $620476.0M | 2 |
| 6506 | MICROVISION INC DEL 594960304 | $617391.0M | 8 |
| 6507 | BBLX IRM TAX-AWARE S DUR ETF 09789C721 | $616762.0M | 3 |
| 6508 | GAOTU TECHEDU INC 36257Y109 | $614559.0M | 4 |
| 6509 | SANDOZ GROUP AG FSPONSORED ADR 1 ADR REPS 1 ORD SHS 799926100 | $614326.0M | 2 |
| 6510 | ISHARES TR 464287531 | $613831.0M | 3 |
| 6511 | INNOVATOR ETFS TRUST 45782C128 | $613513.0M | 2 |
| 6512 | ABRDN EMERGING MARKETS EX CH 00301W105 | $612570.0M | 3 |
| 6513 | SAN JUAN BASIN RTY TR 798241105 | $611525.0M | 3 |
| 6514 | CROSSFIRST BANKSHARES INC 22766M109 | $609894.0M | 2 |
| 6515 | PRINCIPAL REAL ESTATE IN 74255X104 | $607812.0M | 3 |
| 6516 | QRAFT AI-ENH US LRG CAP MTM 30151E780 | $607689.0M | 3 |
| 6517 | MARINE PRODS CORP 568427108 | $607115.0M | 4 |
| 6518 | AERSALE CORPORATION 00810F106 | $605945.0M | 3 |
| 6519 | MAGNUM ICE CREAM CO NV N5505D105 | $605725.0M | 5 |
| 6520 | INNOVATOR US EQ ULTRA MAR 45782C375 | $605524.0M | 2 |
| 6521 | FIRST TR EXCHNG TRADED FD VI 33740U109 | $605210.0M | 4 |
| 6522 | MERIDIAN CORPORATION 58958P104 | $604201.0M | 2 |
| 6523 | TTEC HLDGS INC 89854H102 | $602752.0M | 5 |
| 6524 | PACER FDS TR 69374H386 | $601605.0M | 4 |
| 6525 | BNY MELLON MUN BD INFRASTRUC 09662W109 | $601474.0M | 2 |
| 6526 | FIDELITY ENH LRG CAP VAL ETF 31609A107 | $601027.0M | 9 |
| 6527 | FRONTVIEW REIT INC 35922N100 | $600810.0M | 3 |
| 6528 | EVOLUTION PETE CORP 30049A107 | $600383.0M | 6 |
| 6529 | GEVO INC 374396406 | $600258.0M | 7 |
| 6530 | PROFRAC HLDG CORP 74319N100 | $600052.0M | 5 |
| 6531 | FIRST TRUST DIVIDEND STRENGT 33733E708 | $599996.0M | 3 |
| 6532 | WISDOMTREE INTERNATIONAL AI 97717W786 | $596910.0M | 2 |
| 6533 | BLACKROCK ENHANCED INTL DIV 092524107 | $594934.0M | 4 |
| 6534 | TOURMALINE BIO INC 89157D105 | $594758.0M | 4 |
| 6535 | TEMPLETON EMERGING MKTS INCO 880192109 | $593112.0M | 3 |
| 6536 | BCP INVESTMENT CORPORATION 73688F201 | $591714.0M | 2 |
| 6537 | REGULUS THERAPEUTICS IN 75915K309 | $591535.0M | 2 |
| 6538 | REGIONAL MGMT CORP 75902K106 | $590983.0M | 4 |
| 6539 | EDAP TMS S A 268311107 | $589114.0M | 3 |
| 6540 | GRUPO CIBEST SA 40090E106 | $588698.0M | 3 |
| 6541 | HAMILTON BEACH BRANDS HLDG C 40701T104 | $588492.0M | 3 |
| 6542 | ROUNDHILL BALL METAVERSE ETF 53656F417 | $586498.0M | 3 |
| 6543 | PROSHARES TR 74347R693 | $586388.0M | 4 |
| 6544 | RED CAT HLDGS INC COM 75644T100 | $585183.0M | 6 |
| 6545 | SAREPTA THERAPEUTICS INC 803607AD2 | $584982.0M | 2 |
| 6546 | TRANSMEDICS GROUP INC 89377MAB5 | $584850.0M | 2 |
| 6547 | GLOBAL INDUSTRIAL COMPANY 37892E102 | $584676.0M | 5 |
| 6548 | INOTIV INC 45783Q100 | $582803.0M | 3 |
| 6549 | NEUROGENE INC 64135M105 | $582679.0M | 4 |
| 6550 | FORTRESS BIOTECH INC 34960Q307 | $582604.0M | 5 |
| 6551 | FIRST TRUST ENHAN EQTY INC 337318109 | $581923.0M | 3 |
| 6552 | GDL FD 361570104 | $577737.0M | 2 |
| 6553 | HEALTH CATALYST INC 42225T107 | $577642.0M | 4 |
| 6554 | HARTFORD LRG CAP GRWTH ETF 41653L883 | $577402.0M | 3 |
| 6555 | RWE AG F 74975E303 | $575748.0M | 2 |
| 6556 | EVE HLDG INC 29970N104 | $574871.0M | 6 |
| 6557 | TWFG INC 87318A101 | $573965.0M | 2 |
| 6558 | TILE SHOP HLDGS INC 88677Q109 | $571648.0M | 4 |
| 6559 | Atlantica Sustainable Infrastr G0751N103 | $571444.0M | 4 |
| 6560 | CITI TRENDS INC 17306X102 | $570551.0M | 2 |
| 6561 | TOWNSQUARE MEDIA INC 892231101 | $568500.0M | 4 |
| 6562 | I MAB 44975P103 | $567917.0M | 2 |
| 6563 | DEFINITIVE HEALTHCARE CORP 24477E103 | $567492.0M | 6 |
| 6564 | BOSTON OMAHA CORP 101044105 | $566959.0M | 4 |
| 6565 | PINSTRIPES HLDGS INC CL A 06690B107 | $565581.0M | 3 |
| 6566 | ALTUS POWER INC 02217A102 | $564755.0M | 3 |
| 6567 | SANGAMO THERAPEUTICS INC 800677106 | $564182.0M | 6 |
| 6568 | CAPITAL GRP FIXED INCM ETF T 14020Y888 | $563660.0M | 2 |
| 6569 | INVESCO EXCHANGE-TRADED FD TR 46137V753 | $561108.0M | 3 |
| 6570 | VOC ENERGY TR 91829B103 | $559416.0M | 2 |
| 6571 | PIMCO CALIF MUN INCOME FD 72200N106 | $558408.0M | 3 |
| 6572 | OMNIAB INC 68218J103 | $557578.0M | 7 |
| 6573 | SOLID BIOSCIENCES INC 83422E204 | $557011.0M | 4 |
| 6574 | AMES NATL CORP 031001100 | $554056.0M | 3 |
| 6575 | EA SERIES TRUST 02072L409 | $553671.0M | 3 |
| 6576 | OXFORD SQUARE CAP CORP 69181V107 | $552907.0M | 4 |
| 6577 | VANECK ETF TRUST 92189F841 | $552619.0M | 4 |
| 6578 | TIMBERLAND BANCORP INC 887098101 | $551988.0M | 4 |
| 6579 | SONIDA SENIOR LIVING INC 140475203 | $550470.0M | 3 |
| 6580 | INTELLICHECK INC 45817G201 | $550264.0M | 3 |
| 6581 | NEUROPACE INC 641288105 | $549853.0M | 3 |
| 6582 | WISDOMTREE TR 97717W521 | $549493.0M | 2 |
| 6583 | ESTABLISHMENT LABS HLDGS INC G31249108 | $549068.0M | 6 |
| 6584 | ALLIANZIM US 6M B10 JUN-DEC 00888H646 | $548110.0M | 2 |
| 6585 | HORIZON TECHNOLOGY FIN CORP 44045A102 | $548102.0M | 3 |
| 6586 | ISHARES INTERNATIONAL DEVELOPED SMALL CAP VALUE FACTOR ETF 46436E510 | $546248.0M | 3 |
| 6587 | NYLI MACKAY CORE PLUS BOND ETF 45409F785 | $546244.0M | 2 |
| 6588 | ABRDN GLOBAL PREMIER PPTYS F 00302L108 | $546196.0M | 6 |
| 6589 | 1 800 FLOWERS COM INC 68243Q106 | $545633.0M | 5 |
| 6590 | ADC THERAPEUTICS SA H0036K147 | $544802.0M | 4 |
| 6591 | AMPLIFY ETHO CLIMATE LEADERS 032108557 | $543687.0M | 3 |
| 6592 | PLAYBOY INC 72814P109 | $541233.0M | 6 |
| 6593 | LIFECORE BIOMEDICAL INC 514766104 | $539497.0M | 4 |
| 6594 | ERSTE GROUP BK A G FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 296036304 | $537985.0M | 2 |
| 6595 | ISHARES MSCI ISRAEL ETF 464286632 | $537932.0M | 7 |
| 6596 | BRAINSWAY LTD 10501L106 | $537086.0M | 3 |
| 6597 | GLOBAL X VIDEO GAMES& ESPORT 37954Y392 | $536127.0M | 5 |
| 6598 | NUVEEN GLOBAL HIGH INCOME FD 67075G103 | $534013.0M | 4 |
| 6599 | BLACKROCK MUNIVEST CF 09253R105 | $533807.0M | 5 |
| 6600 | PTC INC 69370C900 | $531113.0M | 2 |
| 6601 | PLUMAS BANCORP 729273102 | $529677.0M | 3 |
| 6602 | SIMPLIFY EXCHANGE TRADED FUN 82889N830 | $528434.0M | 2 |
| 6603 | TRUEBLUE INC 89785X101 | $527624.0M | 5 |
| 6604 | QUANTASING GROUP LTD 74767N107 | $527468.0M | 3 |
| 6605 | OXFORD LANE CAP CORP 691543847 | $525612.0M | 2 |
| 6606 | WESTERN ASSET HIGH INC FD II I 95766J102 | $525368.0M | 4 |
| 6607 | ISHARES MSCI INDONESIA ETF 46429B309 | $523345.0M | 2 |
| 6608 | Vanguard Total Stock Mkt Idx Adm 922908728 | $520923.0M | 2 |
| 6609 | PUTNAM MANAGED MUN INCOME TR 746823103 | $520887.0M | 4 |
| 6610 | STONEBRIDGE ACQUISITION II C G85096124 | $520028.0M | 2 |
| 6611 | BYRNA TECHNOLOGIES INC 12448X201 | $519970.0M | 5 |
| 6612 | AMERICAN CONSERVATIVE VALUES 26923N108 | $519112.0M | 2 |
| 6613 | MORGAN STANLEY ETF TRUST 61774R601 | $518807.0M | 2 |
| 6614 | KAMADA LTD M6240T109 | $517515.0M | 2 |
| 6615 | SIMPLIFY EXCHANGE TRADED FUN 82889N798 | $515163.0M | 4 |
| 6616 | OTSUKA HLDGS CO LTD FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 689164101 | $511224.0M | 2 |
| 6617 | BW LPG LTD Y10230103 | $509554.0M | 3 |
| 6618 | CALEDONIA MNG CORP PLC G1757E113 | $507236.0M | 2 |
| 6619 | FIRST TR EXCHNG TRADED FD VI 33740U588 | $506731.0M | 2 |
| 6620 | AVANTIS US MID CAP EQ ETF 025072125 | $506594.0M | 2 |
| 6621 | NATIONAL BANKSHARES INC VA 634865109 | $505310.0M | 3 |
| 6622 | ALEANNA INC 01444V103 | $504493.0M | 2 |
| 6623 | KRANESHARES TRUST 500767405 | $503709.0M | 2 |
| 6624 | MFS INTER INCOME TR SH BEN INT 55273C107 | $502820.0M | 5 |
| 6625 | BAKKT HOLDINGS INC 05759B305 | $501507.0M | 4 |
| 6626 | ISHARES MSCI SINGAPORE ETF 46434G780 | $500899.0M | 3 |
| 6627 | EA SERIES TRUST 02072L573 | $498787.0M | 2 |
| 6628 | ENTREPRENEURSHARES SERIES TR 293828877 | $498211.0M | 2 |
| 6629 | TEUCRIUM CORN ETF 88166A102 | $498063.0M | 3 |
| 6630 | RECKITT BENCKISER SPON ADR 756255204 | $495557.0M | 2 |
| 6631 | ATAI LIFE SCIENCES NV N0731H103 | $495276.0M | 4 |
| 6632 | OUTDOOR HOLDING CO 00175J107 | $493337.0M | 6 |
| 6633 | DOUGLAS ELLIMAN INC 25961D105 | $493000.0M | 6 |
| 6634 | BRANDYWINEGBL GBL INCM OPP F 10537L104 | $491610.0M | 2 |
| 6635 | INNOVATOR ETFS TRUST 45783Y160 | $488359.0M | 2 |
| 6636 | SEANERGY MARITIME HLDGS CORP Y73760400 | $487705.0M | 2 |
| 6637 | KVH INDS INC 482738101 | $486783.0M | 4 |
| 6638 | BANK MANDIRI TBK ADR 69367U105 | $486767.0M | 2 |
| 6639 | 908 DEVICES INC 65443P102 | $486488.0M | 3 |
| 6640 | COMPANHIA PARANAENSE DE ENER 20441B605 | $485959.0M | 6 |
| 6641 | Visa Inc Cl A 92826c839 | $484903.0M | 3 |
| 6642 | BOUNDLESS BIO INC 10170A100 | $483960.0M | 5 |
| 6643 | INNOVATOR IBD 50 ETF 45782C102 | $483733.0M | 2 |
| 6644 | AVITA MEDICAL INC 05380C102 | $482971.0M | 5 |
| 6645 | CHIPMOS TECHNOLOGIES INC 16965P202 | $482835.0M | 3 |
| 6646 | SIMPLIFY INTEREST RATE HEDGE ETF 82889N855 | $482183.0M | 2 |
| 6647 | DIREXION DLY SM CAP BEAR 3X 25460E232 | $480061.0M | 2 |
| 6648 | EGAIN CORP 28225C806 | $479631.0M | 4 |
| 6649 | GLADSTONE CAPITAL CORP 376535878 | $478805.0M | 5 |
| 6650 | TECHTARGET INC 87874R100 | $478563.0M | 4 |
| 6651 | UNITY SOFTWARE INC 91332UAB7 | $478502.0M | 2 |
| 6652 | ANGEL OAK FINL STRATEGIES IN 03464A100 | $478151.0M | 2 |
| 6653 | GRAVITY CO LTD 38911N206 | $477796.0M | 3 |
| 6654 | KODIAK SCIENCES INC 50015M109 | $477613.0M | 4 |
| 6655 | ADVISORSHARES TR 00768Y297 | $477398.0M | 2 |
| 6656 | PROSHARES ULTRA BLOOMBERG CR 74347Y888 | $475408.0M | 4 |
| 6657 | TWIN DISC INC 901476101 | $474314.0M | 4 |
| 6658 | PRINCETON BANCORP INC 74179A107 | $474209.0M | 3 |
| 6659 | GLOBAL X TELEMDN AND DIGTL HELT ETF 37954Y285 | $474070.0M | 2 |
| 6660 | INDEPENDENT BANK GROUP INC 45384B106 | $473762.0M | 3 |
| 6661 | J P MORGAN EXCHANGE TRADED F 46654Q591 | $472656.0M | 2 |
| 6662 | PROSHARES ULTRASHORT BLM 74347Y813 | $470932.0M | 2 |
| 6663 | CONTINEUM THERAPEUTICS INC 21217B100 | $470235.0M | 5 |
| 6664 | CVRX INC 126638105 | $470018.0M | 4 |
| 6665 | FUELCELL ENERGY INC 35952H700 | $469726.0M | 4 |
| 6666 | ACME UTD CORP 004816104 | $468669.0M | 3 |
| 6667 | ISHARES MSCI AGRICULTURE PRO 464286350 | $468078.0M | 2 |
| 6668 | MACROGENICS INC 556099109 | $468045.0M | 7 |
| 6669 | NORTHERN LTS FD TR IV 66538H419 | $467788.0M | 2 |
| 6670 | INVESCO KBW HIGH DIVIDEND YI 46138E610 | $467747.0M | 4 |
| 6671 | PACER US EXPORT LEADERS ETF 69374H402 | $465803.0M | 2 |
| 6672 | WOLFSPEED INC 97785W106 | $465793.0M | 4 |
| 6673 | INVESCO DB US DLR INDEX TR 46141D104 | $463936.0M | 2 |
| 6674 | CANDEL THERAPEUTICS INC 137404109 | $463888.0M | 4 |
| 6675 | PROSHARES TR 74347B847 | $463769.0M | 2 |
| 6676 | FIRST SVGS FINL GROUP INC 33621E109 | $463282.0M | 3 |
| 6677 | GUGGENHEIM TAXABLE MUNICP BO 401664107 | $463245.0M | 2 |
| 6678 | CERUS CORP 157085101 | $462039.0M | 7 |
| 6679 | DESTRA MULTI-ALTERNATIVE 25065A502 | $461678.0M | 2 |
| 6680 | ITERUM THERAPEUTICS PLC G6333L200 | $461277.0M | 2 |
| 6681 | NEW FOUND GOLD CORP 64440N103 | $461218.0M | 4 |
| 6682 | TILLYS INC 886885102 | $460620.0M | 4 |
| 6683 | UNIVERSAL STAINLESS & ALLOY 913837100 | $459292.0M | 3 |
| 6684 | VOLKSWAGEN A G FUNSPONSORED ADR 1 ADR REPS 0.1 ORD SHS 928662600 | $459170.0M | 3 |
| 6685 | TIDAL TRUST II 88636J527 | $456409.0M | 3 |
| 6686 | SARATOGA INVT CORP 80349A208 | $456317.0M | 6 |
| 6687 | MANAGED PORTFOLIO SERIES 56167N753 | $456151.0M | 2 |
| 6688 | CALAMOS LNG SHR EQT DYNAMIC 12812C106 | $455707.0M | 2 |
| 6689 | MIDDLEFIELD BANC CORP 596304204 | $454603.0M | 3 |
| 6690 | OPTIMIZERX CORP 68401U204 | $453977.0M | 5 |
| 6691 | BULLISH G16910120 | $453646.0M | 2 |
| 6692 | INOTR EQ DEF PR ETF - 1 YR F 45784N775 | $452986.0M | 2 |
| 6693 | LIGHTPATH TECHNOLOGIES INC 532257805 | $452841.0M | 2 |
| 6694 | INVESCO EXCHANGE-TRADED FD TR 46138E115 | $452701.0M | 4 |
| 6695 | BTC DEV CORP G0701G125 | $452668.0M | 2 |
| 6696 | GALECTIN THERAPEUTICS INC 363225202 | $452023.0M | 5 |
| 6697 | ISHARES S&P GSCI COMMODITY I 46428R107 | $451894.0M | 5 |
| 6698 | EA SERIES TRUST ALTRIUS GBL DIV 02072L656 | $451046.0M | 2 |
| 6699 | DOUBLELINE OPPORTUNISTIC CR 258623107 | $450329.0M | 2 |
| 6700 | SPROTT ETF TRUST 85210B201 | $449972.0M | 2 |
| 6701 | INFINERA CORP 45667G103 | $446758.0M | 3 |
| 6702 | Vanguard Small Cap Index Adm 922908686 | $446431.0M | 2 |
| 6703 | CHEMUNG FINL CORP 164024101 | $446356.0M | 3 |
| 6704 | BNY MELLON ETF TRUST 09661T503 | $446275.0M | 3 |
| 6705 | INVESCO BLOOMBERG MVP MULTI- 46137V712 | $446239.0M | 5 |
| 6706 | ISHARES INC 464286657 | $446118.0M | 3 |
| 6707 | FRANKLIN TEMPLETON ETF TR 35473P678 | $445597.0M | 4 |
| 6708 | BAYER A G F 072730302 | $445321.0M | 2 |
| 6709 | MESOBLAST LTD 590717401 | $443961.0M | 6 |
| 6710 | VANGUARD WELLINGTON FD 921935805 | $441911.0M | 5 |
| 6711 | PRAIRIE OPER CO 739650109 | $440981.0M | 6 |
| 6712 | REKOR SYSTEMS INC 759419104 | $440144.0M | 4 |
| 6713 | AMPLIFY ETF TR 032108631 | $439333.0M | 3 |
| 6714 | Dodge & Cox International Stock 256206103 | $439306.0M | 2 |
| 6715 | SPDR DR INTERNATIONAL RL EST 78463X863 | $438185.0M | 7 |
| 6716 | NEXXEN INTL LTD M8T80P204 | $438058.0M | 3 |
| 6717 | GLOBAL X FDS 37954Y434 | $437518.0M | 3 |
| 6718 | BK TECHNOLOGIES CORPORATION 05587G203 | $436821.0M | 2 |
| 6719 | NORTHERN LTS FD TR IV 66537J796 | $435843.0M | 2 |
| 6720 | INNOVATOR EQUITY 45783Y251 | $435228.0M | 4 |
| 6721 | EATON VANCE NEW YORK MUN BD 27827Y109 | $434693.0M | 2 |
| 6722 | FIRST TR EXCHNG TRADED FD VI 33740F391 | $434691.0M | 2 |
| 6723 | SUNCAR TECHNOLOGY GROUP INC G85727108 | $433839.0M | 2 |
| 6724 | VALHI INC NEW 918905209 | $433701.0M | 3 |
| 6725 | IMPINJ INC 453204AD1 | $433698.0M | 3 |
| 6726 | SELECT STOXX EUR AER DE ETF (US) 84858T772 | $433101.0M | 4 |
| 6727 | AG MTG INVT TR INC 001228501 | $430907.0M | 5 |
| 6728 | MONTAUK RENEWABLES INC 61218C103 | $429997.0M | 5 |
| 6729 | PURPLE INNOVATION INC 74640Y106 | $429358.0M | 3 |
| 6730 | BICARA THERAPEUTICS INC 055477103 | $427045.0M | 3 |
| 6731 | Invesco New York AMT-Free 46138E529 | $426832.0M | 3 |
| 6732 | INOVATR E D PRCT ETF - 1 MAR 45784N742 | $426528.0M | 3 |
| 6733 | FT NDQ100 MOD BUFF ETF - NOV 33740U513 | $426484.0M | 2 |
| 6734 | WSDMTREE YLD EN US ST AGG 97717Y808 | $426082.0M | 4 |
| 6735 | POWERSCHOOL HLDGS 73939C106 | $426057.0M | 2 |
| 6736 | LIBERTY ALL-STAR GROWTH FD INC 529900102 | $425271.0M | 4 |
| 6737 | TIDAL TRUST II 88636X732 | $423397.0M | 4 |
| 6738 | PUTNAM MUN OPPORTUNITIES TR SH BEN INT 746922103 | $422306.0M | 3 |
| 6739 | 2SEVENTY BIO INC 901384107 | $421419.0M | 2 |
| 6740 | MAMMOTH ENERGY SVCS INC 56155L108 | $420701.0M | 2 |
| 6741 | NUVEEN NEW YORK QLT MUN INC 67066X107 | $419468.0M | 2 |
| 6742 | CHECKPOINT THERAPEUTICS INC 162828206 | $419137.0M | 4 |
| 6743 | BLEICHROEDER ACQUISITION COR G1169T138 | $419005.0M | 3 |
| 6744 | RING ENERGY INC COM 76680V108 | $418258.0M | 6 |
| 6745 | DWS MUNICIPAL INCOME CF 233368109 | $417519.0M | 4 |
| 6746 | EATON VANCE SHORT DURATION D 27828V104 | $416478.0M | 2 |
| 6747 | NEWTEKONE INC 652526203 | $415014.0M | 4 |
| 6748 | OCUGEN INC 67577C105 | $414920.0M | 6 |
| 6749 | ISHARES MSCI NEW ZEALAND ETF 464289123 | $414653.0M | 2 |
| 6750 | ALLIANCEBERNSTEIN NATL MUN I 01864U106 | $414403.0M | 2 |
| 6751 | SASOL LTD 803866300 | $414322.0M | 7 |
| 6752 | OAK VY BANCORP OAKDALE CALIF 671807105 | $414260.0M | 3 |
| 6753 | LANDMARK BANCORP INC 51504L107 | $413281.0M | 3 |
| 6754 | FIRST TR EXCH TRD ALPHDX FD 33737J125 | $412652.0M | 2 |
| 6755 | CLOUGH GLOBAL EQUITY FD 18914C100 | $412468.0M | 2 |
| 6756 | INVESCO EXCHANGE TRADED FD T 46137V522 | $412187.0M | 2 |
| 6757 | HILLEVAX INC 43157M102 | $411571.0M | 4 |
| 6758 | U.S. SILCA HOLDINGS INC 90346E103 | $411442.0M | 2 |
| 6759 | BRIDGER AEROSPACE GRP HLDGS 96812F102 | $410527.0M | 4 |
| 6760 | VERA BRADLEY INC 92335C106 | $409991.0M | 3 |
| 6761 | EASTERN CO 276317104 | $409985.0M | 3 |
| 6762 | AMERICAN WELL CORP 03044L204 | $409920.0M | 5 |
| 6763 | CHIMERA INVT CORP 16934Q208 | $405806.0M | 2 |
| 6764 | PACIRA BIOSCIENCES INC 695127AF7 | $404872.0M | 3 |
| 6765 | NUVEEN CALIFORNIA SELECT TAX 67063R103 | $404364.0M | 2 |
| 6766 | DIANA SHIPPING INC Y2066G104 | $404336.0M | 5 |
| 6767 | ASA GOLD AND PRECIOUS METALS G3156P103 | $403805.0M | 5 |
| 6768 | BROADCOM INC Y09827109 | $402715.0M | 2 |
| 6769 | XUNLEI LTD-ADR 98419E108 | $401771.0M | 3 |
| 6770 | AIM ETF PRODUCTS TRUST 00888H612 | $400210.0M | 2 |
| 6771 | CANAAN INC 134748102 | $399388.0M | 6 |
| 6772 | FREEDOM DAY DIVIDEND ETF 02072L847 | $398674.0M | 2 |
| 6773 | INVESCO KBW REGIONAL BANKING ETF 46138E578 | $397059.0M | 3 |
| 6774 | NEXXEN INTERNATIONAL LTD 89484T104 | $396518.0M | 2 |
| 6775 | UPSTREAM BIO INC 91678A107 | $396324.0M | 3 |
| 6776 | CENTURION ACQUISITION CORP G20315118 | $396100.0M | 2 |
| 6777 | COMPUGEN LTD M25722105 | $395579.0M | 3 |
| 6778 | INFUSYSTEM HLDGS INC 45685K102 | $395386.0M | 4 |
| 6779 | TRAVELZOO 89421Q205 | $393138.0M | 2 |
| 6780 | CLIMB BIO INC 28658R106 | $392808.0M | 6 |
| 6781 | FENNEC PHARMACEUTICALS INC 31447P100 | $392484.0M | 6 |
| 6782 | AMERICAN BITCOIN CORP. 02462A104 | $392185.0M | 2 |
| 6783 | WESTERN ASSET GLOBAL CORP DE 95790C107 | $391558.0M | 2 |
| 6784 | HIMALAYA SHIPPING LTD G4660A103 | $390177.0M | 3 |
| 6785 | GOHEALTH INC 38046W204 | $387859.0M | 3 |
| 6786 | VESTAS WIND SYS A/S FSPONSORED ADR 0.333333333333 ORD SHS 925458101 | $386813.0M | 2 |
| 6787 | CIA ENERGETICA DE MINAS GERA 204409601 | $386721.0M | 11 |
| 6788 | GROUPON INC 399473956 | $385606.0M | 2 |
| 6789 | FORRESTER RESH INC 346563109 | $385314.0M | 4 |
| 6790 | VIDENT U.S. BOND STRATEGY ET 26922A602 | $385111.0M | 2 |
| 6791 | SERA PROGNOSTICS INC 81749D107 | $384372.0M | 3 |
| 6792 | ASTRONOVA INC 04638F108 | $383943.0M | 2 |
| 6793 | EV Floating Rate Income 278279104 | $383447.0M | 3 |
| 6794 | SUPERX AI TECHNOLOGY LTD G5294K110 | $383102.0M | 2 |
| 6795 | Vanguard Primecap Core Inv 921921508 | $381999.0M | 2 |
| 6796 | NEXPOINT DIVERSIFIED REL ET 65340G205 | $381519.0M | 5 |
| 6797 | LISTED FD TR 53656F672 | $380828.0M | 3 |
| 6798 | ESH ACQUISITION CORP 296424104 | $379633.0M | 2 |
| 6799 | IRONWOOD PHARMACEUTICALS INC 46333XAH1 | $376974.0M | 3 |
| 6800 | LANTRONIX INC 516548203 | $376145.0M | 2 |
| 6801 | GENASYS INC 36872P103 | $374783.0M | 3 |
| 6802 | Invesco Exchange-Traded Fund Trust Invesco Dorsey Wright Utilities Momentum 46137V795 | $374086.0M | 2 |
| 6803 | SPDR INDEX SHS FDS 78463X418 | $373783.0M | 2 |
| 6804 | SPDR INDEX SHS FDS 78463X194 | $373445.0M | 2 |
| 6805 | NEWSMAX INC 65250K105 | $373013.0M | 6 |
| 6806 | RIVERVIEW BANCORP INC 769397100 | $372824.0M | 3 |
| 6807 | AQUA METALS INC 03837J101 | $371656.0M | 3 |
| 6808 | PONCE FINANCIAL GROUP INC 732344106 | $371343.0M | 2 |
| 6809 | SMC CORP JAPAN FSPONSORED ADR 1 ADR REP 0.05 ORD SHS 78445W306 | $370359.0M | 2 |
| 6810 | EMPIRE PETE CORP 292034303 | $370151.0M | 3 |
| 6811 | NEURONETICS INC 64131A105 | $369922.0M | 4 |
| 6812 | ITEOS THERAPEUTICS INC 46565G104 | $369747.0M | 5 |
| 6813 | ALLIANZIM US LC BUFFER10 SEP 00888H695 | $369212.0M | 2 |
| 6814 | IN GRO-100 PWR BUF ETF - DEC 45784N841 | $368557.0M | 2 |
| 6815 | GLOBA TERRA ACQUISITION COR G3933N108 | $368330.0M | 2 |
| 6816 | ATOSSA THERAPEUTICS INC 04962H506 | $367636.0M | 6 |
| 6817 | EMPIRE ST RLTY OP L P 292102100 | $367587.0M | 2 |
| 6818 | ESSA BANCORP INC COM STK 29667D104 | $367023.0M | 2 |
| 6819 | COMPANHIA PARANAENSE DE ENER 20441B704 | $365266.0M | 4 |
| 6820 | BNY MELLON US M/C CORE ETF 09661T206 | $364537.0M | 3 |
| 6821 | MCCORMICK & CO INC 579780107 | $363932.0M | 2 |
| 6822 | CITIZENS INC 174740100 | $363721.0M | 3 |
| 6823 | JEFFERSON CAPITAL INC 47248R103 | $363505.0M | 2 |
| 6824 | BLUE OWL TECHNOLOGY FIN CORP 095924106 | $363383.0M | 2 |
| 6825 | INVESCO RSL 2000 DYN MLTFCTR 46138J593 | $363082.0M | 2 |
| 6826 | CREDIT SUISSE HIGH YIELD BD 22544F103 | $362069.0M | 4 |
| 6827 | SPDR GOLD SHARES ETF 78463v107 | $361004.0M | 2 |
| 6828 | IMMUNEERING CORP 45254E107 | $360857.0M | 2 |
| 6829 | AEVA TECHNOLOGIES INC 00835Q202 | $359958.0M | 4 |
| 6830 | MEXICO FD INC 592835102 | $357700.0M | 4 |
| 6831 | SENSEONICS HLDGS INC 81727U105 | $356432.0M | 4 |
| 6832 | SIMON PPTY GROUP INC NEW 828806909 | $356314.0M | 2 |
| 6833 | INNOVATOR ETFS TRUST 45783Y111 | $355301.0M | 3 |
| 6834 | QUANTUM SI INC 74765K105 | $355264.0M | 6 |
| 6835 | GREYSTONE HOUSING IMPACT INV 02364V206 | $355169.0M | 4 |
| 6836 | MFS CHARTER INCOME TRUST 552727109 | $353963.0M | 6 |
| 6837 | REPARE THERAPEUTICS INC 760273102 | $353524.0M | 4 |
| 6838 | MAGIC SOFTWARE ENTERPRISES L 559166103 | $352386.0M | 3 |
| 6839 | TEMPLETON EMERGING MARKETS 880191101 | $351464.0M | 2 |
| 6840 | GRAFTECH INTERNATIONAL LTD 384313508 | $351183.0M | 4 |
| 6841 | AIRSHIP AI HLDGS INC 008940108 | $350515.0M | 5 |
| 6842 | KNIGHTSCOPE INC 49907V201 | $349622.0M | 4 |
| 6843 | VERITONE INC 92347M100 | $349203.0M | 5 |
| 6844 | THE ONCOLOGY INSTITUTE INC 68236X100 | $349119.0M | 2 |
| 6845 | MARKFORGED HOLDING CORP 57064N201 | $346607.0M | 2 |
| 6846 | FVCBANKCORP INC 36120Q101 | $346606.0M | 3 |
| 6847 | AWARE INC MASS 05453N100 | $346060.0M | 4 |
| 6848 | MAIDEN HOLDINGS LTD SHS G5753U112 | $345520.0M | 2 |
| 6849 | PSQ HLDGS INC CLASS A 693691107 | $344825.0M | 5 |
| 6850 | HIGHLAND GLOBAL ALLOCATION F 43010T104 | $344320.0M | 2 |
| 6851 | Innovator U.S. Equity Ultra Buffer ETF - September 45782C649 | $343750.0M | 2 |
| 6852 | PROVIDENT BANCORP INC 74383L105 | $343193.0M | 3 |
| 6853 | VOX ROYALTY CORP 92919F103 | $342917.0M | 3 |
| 6854 | ASTRAZENECA PLC ORD G0593M107 | $341232.0M | 2 |
| 6855 | SEVEN HILLS REALTY TRUST 81784E101 | $340411.0M | 4 |
| 6856 | VANECK ETF TRUST 92189H839 | $340144.0M | 5 |
| 6857 | TELLURIAN INC NEW 87968A104 | $339876.0M | 3 |
| 6858 | MATERIALISE NV SPONSORED ADS 57667T100 | $339592.0M | 5 |
| 6859 | INVESCO WILDERHILL CLEAN ENE 46137V134 | $335906.0M | 7 |
| 6860 | ELEVATION SERIES TRUST 210322400 | $334692.0M | 3 |
| 6861 | RANGE NUCLEAR RENAISSANCE INDEX ETF 301505475 | $331291.0M | 5 |
| 6862 | VALKYRIE ETF TRUST II 91917A207 | $330937.0M | 5 |
| 6863 | BNY MELLON MUN INCOME INC 05589T104 | $330877.0M | 2 |
| 6864 | WEBULL CORP G9572D103 | $328900.0M | 4 |
| 6865 | ESCALADE INC 296056104 | $327534.0M | 2 |
| 6866 | KOPIN CORP 500600101 | $327121.0M | 5 |
| 6867 | EXPENSIFY INC 30219Q106 | $326805.0M | 5 |
| 6868 | EATON VANCE CA MUNI INCOME TR SH BEN INT 27826F101 | $326616.0M | 2 |
| 6869 | ALECTOR INC 014442107 | $326508.0M | 7 |
| 6870 | JAMES RIV GROUP LTD G5005R107 | $326468.0M | 6 |
| 6871 | CIPHER MINING INC 17253J906 | $326322.0M | 2 |
| 6872 | MINISO GROUP HLDG LTD 66981J102 | $325302.0M | 5 |
| 6873 | Vanguard Developed Markets Index Admiral 921943809 | $324117.0M | 2 |
| 6874 | VANECK ISRAEL ETF 92189F635 | $323991.0M | 4 |
| 6875 | JOHN MARSHALL BANCORP INC 47805L101 | $323677.0M | 3 |
| 6876 | ISHARES TR 46438G588 | $322499.0M | 4 |
| 6877 | BLUEROCK PRIVATE REAL ES 09631P102 | $321390.0M | 3 |
| 6878 | FIRST TRUST DORSEY WRIGHT DY 33738R878 | $320472.0M | 2 |
| 6879 | INVESCO TR INVESTMENT GRADE 46131M106 | $319163.0M | 3 |
| 6880 | DRDGOLD LIMITED 26152H301 | $318877.0M | 4 |
| 6881 | HEINEKEN N V FSPONSORED ADR 1 ADR REPS 0.5 ORD SHS 423012301 | $316764.0M | 2 |
| 6882 | AIM ETF PRODUCTS TRUST 00888H810 | $316099.0M | 2 |
| 6883 | QVC GROUP INC 74915M100 | $314447.0M | 5 |
| 6884 | IMMUCELL CORP NEW 452525306 | $314390.0M | 2 |
| 6885 | INNOVAGE HLDG CORP 45784A104 | $313459.0M | 3 |
| 6886 | LISTED FDS TR 53656F607 | $312814.0M | 2 |
| 6887 | MYOMO INC 62857J201 | $312287.0M | 3 |
| 6888 | INNOVATOR ETFS TRUST 45783Y236 | $312176.0M | 3 |
| 6889 | CALAMOS ETF TR 12811T126 | $311304.0M | 2 |
| 6890 | THORNBURG MULTI SECTOR B ETF 88521L207 | $311215.0M | 2 |
| 6891 | NEW GERMANY FD INC 644465106 | $310958.0M | 2 |
| 6892 | PIONEER BANCORP INC MD 723561106 | $310125.0M | 3 |
| 6893 | SOLID POWER INC CLASS A COM 83422N105 | $309937.0M | 8 |
| 6894 | CALAMOS GLOBAL DYNAMIC INCOM 12811L107 | $309709.0M | 4 |
| 6895 | COHEN & STEERS CLOSED-END OP 19248P106 | $307956.0M | 4 |
| 6896 | PLDT INC 69344D408 | $307469.0M | 4 |
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| 7036 | ACRIVON THERAPEUTICS INC 004890109 | $227560.0M | 5 |
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| 7043 | AIM ETF PRODUCTS TRUST 00888H745 | $222428.0M | 3 |
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| 7045 | ProShare Advisors LLC 74348A434 | $220965.0M | 2 |
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| 7047 | NXG CUSHING MIDSTREAM ENERGY 231631300 | $220873.0M | 2 |
| 7048 | SIREN ETF TR 829658202 | $220829.0M | 3 |
| 7049 | KULR TECHNOLOGY GROUP INC 50125G307 | $220432.0M | 2 |
| 7050 | ISHARES MSCI NETHERLANDS ETF 464286814 | $219400.0M | 2 |
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| 7056 | KESTRA MED TECHNOLOGIES LTD G52441105 | $213579.0M | 2 |
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| 7070 | TRINSEO PLC G9059U107 | $206022.0M | 5 |
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| 7082 | NORTHERN DYNASTY MINERALS LT 66510M204 | $198070.0M | 7 |
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| 7084 | FT VEST US EQ MAX BUF OCT 33740F136 | $197449.0M | 2 |
| 7085 | ERMENEGILDO ZEGNA N V N30577105 | $196994.0M | 4 |
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| 7092 | HIREQUEST INC 433535101 | $194212.0M | 3 |
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| 7095 | EVOTEC SE 30050E105 | $192669.0M | 2 |
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| 7098 | Cochlear Ltd 191459205 | $191743.0M | 2 |
| 7099 | ALT5 SIGMA CORP 47089W104 | $191635.0M | 2 |
| 7100 | CHILDRENS PL INC NEW 168905107 | $191265.0M | 3 |
| 7101 | DAIMLER TRUCK HLDG AG F 23384L101 | $191141.0M | 3 |
| 7102 | EUROPEAN WAX CTR INC 29882P106 | $190681.0M | 3 |
| 7103 | FIRST GTY BANCSHARES INC 32043P106 | $189079.0M | 3 |
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| 7105 | AMBER INTL HLDG LTD 45113Y203 | $187863.0M | 2 |
| 7106 | CEA INDUSTRIES INC 86887P309 | $187630.0M | 3 |
| 7107 | BLAIZE HLDGS INC 092915107 | $187285.0M | 2 |
| 7108 | WALDENCAST PLC G9503X103 | $186625.0M | 3 |
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| 7110 | PDS BIOTECHNOLOGY CORP 70465T107 | $186202.0M | 3 |
| 7111 | GALAPAGOS NV 36315X101 | $185549.0M | 4 |
| 7112 | CHINA YUCHAI INTL LTD G21082105 | $185478.0M | 2 |
| 7113 | CHINA FUND INC 169373107 | $184898.0M | 2 |
| 7114 | FG NEXUS INC. 30329Y304 | $182209.0M | 2 |
| 7115 | LUCID GROUP INC 549498202 | $181283.0M | 7 |
| 7116 | ROUNDHILL GENERATIVE AI & TECHNOLOGY ETF 88636J600 | $181222.0M | 4 |
| 7117 | NORTHERN TECHNOLOGIES INTL C 665809109 | $180220.0M | 3 |
| 7118 | 1STDIBS COM INC 320551104 | $180022.0M | 4 |
| 7119 | STRATUS PPTYS INC 863167201 | $179999.0M | 3 |
| 7120 | SES AI CORPORATION 78397Q109 | $178987.0M | 3 |
| 7121 | PALVELLA THERAPEUTICS IN 697947109 | $178813.0M | 3 |
| 7122 | HARVARD BIOSCIENCE INC 416906105 | $177987.0M | 4 |
| 7123 | KULR TECHNOLOGY GROUP INC 50125G109 | $177460.0M | 2 |
| 7124 | VANECK LOW CARBON ENERGYETF 92189F502 | $177060.0M | 3 |
| 7125 | CARTICA ACQUISITION CORP G1995D117 | $176213.0M | 2 |
| 7126 | LITHIUM ARGENTINA AG H5012F103 | $175150.0M | 6 |
| 7127 | INVESCO S&P SPIN-OFF ETF 46137V159 | $174791.0M | 2 |
| 7128 | NEKTAR THERAPEUTICS COM 640268108 | $174778.0M | 4 |
| 7129 | MASTECH DIGITAL INC 57633B100 | $174300.0M | 3 |
| 7130 | GOLDEN MATRIX GROUP INC 381098300 | $173918.0M | 4 |
| 7131 | SMITH MIDLAND CORP 832156103 | $173025.0M | 2 |
| 7132 | PROFOUND MEDICAL CORP 74319B502 | $172960.0M | 2 |
| 7133 | CIA BRASILEIRA DE DIS ADR 20440T300 | $172437.0M | 2 |
| 7134 | Global X Alternative Income ETF 37954Y806 | $172113.0M | 2 |
| 7135 | WEBTOON ENTMT INC 94845U105 | $171106.0M | 2 |
| 7136 | ISHARES MSCI SWEDEN ETF 464286756 | $170687.0M | 5 |
| 7137 | CENTURY CASINOS INC 156492100 | $169595.0M | 4 |
| 7138 | GENELUX CORPORATION 36870H103 | $169547.0M | 3 |
| 7139 | SUI GROUP HOLDINGS LIMITED 59982U200 | $169484.0M | 2 |
| 7140 | MURANO GLOBAL INVTS PLC G63369113 | $169133.0M | 4 |
| 7141 | EMX RTY CORP 26873J107 | $168665.0M | 2 |
| 7142 | ENVVENO MEDICAL CORPORATION 29415J106 | $167624.0M | 3 |
| 7143 | CARIBOU BIOSCIENCES INC 142038108 | $167572.0M | 5 |
| 7144 | EXODUS MOVEMENT INC 30209R106 | $166225.0M | 2 |
| 7145 | GOPRO INC CLASS A 38268T103 | $165639.0M | 7 |
| 7146 | ENVELA CORP 29402E102 | $165111.0M | 3 |
| 7147 | BICYCLE THERAPEUTICS PLC 088786108 | $164162.0M | 5 |
| 7148 | ABRDN JAPAN EQUITY FUND INC 00306J109 | $163732.0M | 3 |
| 7149 | STRAWBERRY FIELDS REIT INC 863182101 | $163317.0M | 4 |
| 7150 | SUNRISE RLTY TR INC 867981102 | $162971.0M | 3 |
| 7151 | Spirit Airlines Inc 848577102 | $161469.0M | 3 |
| 7152 | NISSAN MTR LTD F 654744408 | $161095.0M | 2 |
| 7153 | VOYA ASIA PAC HIGH DIV EQT I 92912J102 | $160757.0M | 2 |
| 7154 | ALTI GLOBAL INC 02157E106 | $160620.0M | 3 |
| 7155 | KORRO BIO INC 500946108 | $160566.0M | 2 |
| 7156 | CANGO INCKY ADR 137586103 | $159730.0M | 2 |
| 7157 | LEXEO THERAPEUTICS INC 52886X107 | $159708.0M | 3 |
| 7158 | LUCID DIAGNOSTICS INC 54948X109 | $159578.0M | 3 |
| 7159 | BEAM GLOBAL 07373B109 | $159277.0M | 4 |
| 7160 | CHURCHILL CAPITAL CORP IX G21301117 | $158898.0M | 3 |
| 7161 | KALARIS THERAPEUTICS INC 482929106 | $158050.0M | 2 |
| 7162 | RESOLUTE HLDGS MGMT INC 76134H101 | $156421.0M | 5 |
| 7163 | PIONEER MUNICIPAL HIGH INCOME 723763108 | $156171.0M | 3 |
| 7164 | HANCOCK JOHN INVT TR TAX ADV GLB SH 41013P749 | $155893.0M | 2 |
| 7165 | CASI PHARMACEUTICALS INC G1933S101 | $155601.0M | 2 |
| 7166 | POET TECHNOLOGIES INC 73044W302 | $155597.0M | 3 |
| 7167 | BLACKROCK, INC. 464288497 | $154627.0M | 4 |
| 7168 | ALIGOS THERAPEUTICS INC 01626L204 | $154241.0M | 3 |
| 7169 | TSCAN THERAPEUTICS INC 89854M101 | $153789.0M | 5 |
| 7170 | NEW ERA HELIUM INC 64428N117 | $153724.0M | 2 |
| 7171 | AIRGAIN INC 00938A104 | $152888.0M | 5 |
| 7172 | NEW PAC METALS CORP 64782A107 | $150083.0M | 2 |
| 7173 | MAUI LD & PINEAPPLE INC 577345101 | $149779.0M | 3 |
| 7174 | INVESCO GLOBAL CLEAN ENERGY 46138G847 | $149410.0M | 4 |
| 7175 | GRAYSCALE ETHEREUM MINI 38964R104 | $149234.0M | 4 |
| 7176 | ASSEMBLY BIOSCIENCES INC 045396207 | $148748.0M | 3 |
| 7177 | FARADAY FUTURE INTLGT ELEC I COM N 307359885 | $148163.0M | 4 |
| 7178 | AARON'S COMPANY INC 00258W108 | $147998.0M | 2 |
| 7179 | HUTCHMED CHINA LTD 44842L103 | $147772.0M | 4 |
| 7180 | ELEDON PHARMACEUTICALS ORD 28617K101 | $147616.0M | 5 |
| 7181 | SO YOUNG INTERNATIONAL INC 83356Q108 | $147329.0M | 2 |
| 7182 | TON STRATEGY CO 92337U302 | $147162.0M | 2 |
| 7183 | BIOMEA FUSION INC 09077A106 | $146874.0M | 6 |
| 7184 | SOLITARIO RESOURCES CORP 8342EP107 | $146552.0M | 4 |
| 7185 | GRAF GLOBAL CORP G4036C122 | $145818.0M | 2 |
| 7186 | AEON BIOPHARMA INC 00791X118 | $144992.0M | 2 |
| 7187 | NAUTILUS BIOTECHNOLOGY INC 63909J108 | $144607.0M | 4 |
| 7188 | PALLADYNE AI CORP 80359A205 | $144485.0M | 4 |
| 7189 | ANGEL STUDIOS INC CL A COM 034948109 | $143983.0M | 2 |
| 7190 | POINT BRIDGE 26922A628 | $143375.0M | 3 |
| 7191 | JUMIA TECHNOLOGIES AG 48138M105 | $143327.0M | 7 |
| 7192 | WALMART DE MEXICO ADR 93114W107 | $143282.0M | 2 |
| 7193 | HUYA INC 44852D108 | $143235.0M | 4 |
| 7194 | BAYERISCHE MOTOREN WERKE AG 072743404 | $143057.0M | 2 |
| 7195 | GCI LIBERTY INC 36164V800 | $142931.0M | 4 |
| 7196 | NEW HORIZON AIRCRAFT LTD 64550A115 | $142848.0M | 2 |
| 7197 | PLUM ACQUISITION CORP III G63290103 | $142159.0M | 2 |
| 7198 | CERVOMED INC 15713L109 | $141954.0M | 3 |
| 7199 | DIAMOND OFFSHORE 25271C201 | $141438.0M | 2 |
| 7200 | LEGATO MERGER CORP III G5451A111 | $141272.0M | 3 |
| 7201 | ALLSPRING MULTI SECTOR INCOM 94987D101 | $140874.0M | 2 |
| 7202 | CNX RES CORP 12653CAG3 | $140002.0M | 2 |
| 7203 | OAKTREE ACQUISITION CORP III G6717R112 | $138955.0M | 2 |
| 7204 | BRIDGFORD FOODS CORP 108763103 | $138846.0M | 2 |
| 7205 | AURORA CANNABIS INC F 05156X850 | $138800.0M | 14 |
| 7206 | VINE HILL CAP INVT CORP. G93Y09115 | $137583.0M | 3 |
| 7207 | SAFETY SHOT INC 48208F105 | $137448.0M | 4 |
| 7208 | SENSUS HEALTHCARE INC 81728J109 | $136216.0M | 3 |
| 7209 | ABRDN GLOBAL INCOME FUND INC 003013109 | $134980.0M | 4 |
| 7210 | INOVIO PHARMACEUTICALS INC 45773H409 | $134943.0M | 6 |
| 7211 | VOXX INTERNATIONAL CORPORATION 91829F104 | $134307.0M | 3 |
| 7212 | CALAMOS ETF TR 12811T746 | $132643.0M | 2 |
| 7213 | ANDRETTI ACQUISITION CORP II G26745128 | $131887.0M | 2 |
| 7214 | NORTH EUROPEAN OIL RTY TR 659310106 | $131736.0M | 3 |
| 7215 | GAUZY LTD M4757U106 | $130569.0M | 2 |
| 7216 | TCW STRATEGIC INCOME FUND 872340104 | $129595.0M | 3 |
| 7217 | VYNE THERAPEUTICS INC 92941V308 | $129528.0M | 2 |
| 7218 | Organovo Holdings Inc 68620A203 | $129009.0M | 2 |
| 7219 | DRAGANFLY INC. 26142Q304 | $128440.0M | 2 |
| 7220 | SDCL EDGE ACQUISITION CORP G79471127 | $128275.0M | 2 |
| 7221 | CONTROLADORA VUELA COMP DE A 21240E105 | $127704.0M | 3 |
| 7222 | ISHARES GLOBAL MATERIALS ETF 464288695 | $127203.0M | 2 |
| 7223 | SEER INC 81578P106 | $125603.0M | 2 |
| 7224 | VALNEVA SE 92025Y103 | $125351.0M | 2 |
| 7225 | PROTALIX BIOTHERAPEUTICS INC 74365A309 | $125050.0M | 2 |
| 7226 | SIZZLE ACQUISITION CORP. II G8193F133 | $124975.0M | 2 |
| 7227 | US GOLDMINING INC 90291W108 | $123102.0M | 3 |
| 7228 | ARQIT QUANTUM INC G0567U127 | $123096.0M | 2 |
| 7229 | INVESCO EXCH TRADED FD TR II 46138E594 | $122490.0M | 3 |
| 7230 | BROOKFIELD WEALTH SOL LTD G17434104 | $122461.0M | 3 |
| 7231 | EAGLE POINT INCOME COMPANY I 269817102 | $122352.0M | 2 |
| 7232 | NABORS ENERGY TRANSITION COR G6363K114 | $122015.0M | 2 |
| 7233 | PAN PAC INTL HLDGS COR FUNSPONSORED ADR 1 ADR REPS 1 ORD SHS 69807K105 | $121727.0M | 2 |
| 7234 | ACUMEN PHARMACEUTICALS INC 00509G209 | $121320.0M | 4 |
| 7235 | STRATEGY SHS 86280R787 | $121188.0M | 2 |
| 7236 | GRAYSCALE COINDESK CRYPTO G40705108 | $120832.0M | 2 |
| 7237 | UNUSUAL MACHS INC 91532F102 | $120056.0M | 3 |
| 7238 | VACASA INC 91854V206 | $119687.0M | 3 |
| 7239 | FIRST TR SPECIALTY FIN & FIN 33733G109 | $119138.0M | 3 |
| 7240 | Q2 HLDGS INC 74736LAD1 | $118112.0M | 2 |
| 7241 | STANCE SUSTAINABLE BETA ETF 02072L151 | $117653.0M | 2 |
| 7242 | ABRDN INCOME CREDIT STRATEGI 003057106 | $117572.0M | 5 |
| 7243 | CMB.TECH NV B38564108 | $117522.0M | 7 |
| 7244 | CURIS INC 231269309 | $117158.0M | 5 |
| 7245 | TORTOISE ESSENTIAL 890930100 | $116686.0M | 2 |
| 7246 | OFS CAP CORP 67103B100 | $116187.0M | 2 |
| 7247 | ANTERIS TECHNOLOGIES GLOBAL 03675P102 | $115961.0M | 3 |
| 7248 | WHITEHAWK THERAPEUTICS INC 00032Q104 | $115554.0M | 2 |
| 7249 | FRACTYL HEALTH INC 35168W103 | $114911.0M | 2 |
| 7250 | GOLDMINING INC 38149E101 | $113818.0M | 4 |
| 7251 | TELIX PHARMACEUTICAL LTD 87961M105 | $113728.0M | 2 |
| 7252 | IONEER LTD 46211L101 | $113417.0M | 2 |
| 7253 | GYRE THERAPEUTICS INC 403783103 | $113200.0M | 2 |
| 7254 | ZENAS BIOPHARMA INC 98937L105 | $113186.0M | 3 |
| 7255 | DATADOG INC 23804LAB9 | $112448.0M | 2 |
| 7256 | TERRESTRIAL ENERGY INC 881454102 | $112131.0M | 2 |
| 7257 | TEMPLETON DRAGON FD INC 88018T101 | $111998.0M | 2 |
| 7258 | TIDAL TR II 88634T766 | $111719.0M | 2 |
| 7259 | C & F FINL CORP COM 12466Q104 | $111612.0M | 3 |
| 7260 | ZEO ENERGY CORP 98944F117 | $111065.0M | 3 |
| 7261 | SB FINL GROUP INC 78408D105 | $109315.0M | 2 |
| 7262 | SEAPORT ENTMT GROUP INC 812215200 | $109153.0M | 4 |
| 7263 | U S ENERGY CORP DEL 911805307 | $107829.0M | 2 |
| 7264 | OBSIDIAN ENERGY LTD COM 674482203 | $107641.0M | 2 |
| 7265 | GLYCOMIMETICS INC 38000Q102 | $107636.0M | 2 |
| 7266 | CADRENAL THERAPEUTICS INC 127636207 | $106488.0M | 2 |
| 7267 | MOBILICOM LTD 60742B102 | $106385.0M | 2 |
| 7268 | SPARK I ACQUISITION CORP G8316B118 | $105293.0M | 2 |
| 7269 | CIBUS INC 17166A101 | $105124.0M | 4 |
| 7270 | ISHARES MSCI FRANCE ETF 464286707 | $105118.0M | 4 |
| 7271 | ORAMED PHARMACEUTICALS INC 68403P203 | $105080.0M | 3 |
| 7272 | TORTOISE ENERGY FUND 890930209 | $104971.0M | 2 |
| 7273 | MOUNTAIN LAKE ACQUISITION CO G6301B127 | $104870.0M | 2 |
| 7274 | BioLineRx Ltd. (blrx) 09071M205 | $104476.0M | 2 |
| 7275 | INVIVYD INC COM 00534A102 | $104242.0M | 4 |
| 7276 | Federal National Mortgage Association Fannie Mae 313586109 | $104057.0M | 3 |
| 7277 | CALAMOS ETF TR 12811T878 | $103985.0M | 2 |
| 7278 | AKOYA BIOSCIENCES INC 00974H104 | $103479.0M | 2 |
| 7279 | ROADZEN INC G7606H116 | $103115.0M | 2 |
| 7280 | FOSSIL GROUP INC 34988V106 | $101958.0M | 2 |
| 7281 | TUHURA BIOSCIENCES INC 898920103 | $101946.0M | 3 |
| 7282 | FONAR CORP 344437405 | $101884.0M | 4 |
| 7283 | CALAMOS ETF TR 12811T860 | $101581.0M | 2 |
| 7284 | IMMUNIC INC 4525EP101 | $101312.0M | 3 |
| 7285 | SWK HLDGS CORP 78501P203 | $100469.0M | 2 |
| 7286 | RITHM PPTY TR INC 38983D300 | $99975.0M | 2 |
| 7287 | OVID THERAPEUTICS INC 690469101 | $99940.0M | 3 |
| 7288 | CIM Real Estate Finance Trust Inc 12558Q103 | $99526.0M | 2 |
| 7289 | BASSETT FURNITURE INDS INC 070203104 | $98532.0M | 2 |
| 7290 | WRAP TECHNOLOGIES INC 98212N107 | $98171.0M | 4 |
| 7291 | NN INC 629337106 | $98080.0M | 2 |
| 7292 | VIVAKOR INC 92852R403 | $98064.0M | 3 |
| 7293 | MILESTONE SCIENTIFIC INC 59935P209 | $97380.0M | 3 |
| 7294 | MAZE THERAPEUTICS INC 578784100 | $97294.0M | 3 |
| 7295 | EVI INDS INC 26929N102 | $97272.0M | 2 |
| 7296 | MFS HIGH INCOME MUN TR 59318D104 | $97070.0M | 3 |
| 7297 | STRIVE INC 862945102 | $96705.0M | 5 |
| 7298 | CHERRY HILL MTG INVT CORP 164651101 | $95783.0M | 2 |
| 7299 | SKILLZ INC COM CL A 83067L208 | $95771.0M | 6 |
| 7300 | WESTERN NEW ENG BANCORP INC 958892101 | $95401.0M | 2 |
| 7301 | NEUROSENSE THERAPEUTICS LTD M74240108 | $95303.0M | 2 |
| 7302 | COYA THERAPEUTICS INC 22407B108 | $94478.0M | 2 |
| 7303 | CAESARSTONE LTD M20598104 | $94264.0M | 3 |
| 7304 | GLOBAL SELF STORAGE INC 37955N106 | $93979.0M | 2 |
| 7305 | ADVSHRS STAR GBL BUY-WRITE 00768Y768 | $93602.0M | 2 |
| 7306 | SAFE PRO GROUP INC COM 78642D101 | $93105.0M | 3 |
| 7307 | AMARIN CORP PLC 023111404 | $92739.0M | 2 |
| 7308 | SILVACO GROUP INC 82728C102 | $92690.0M | 3 |
| 7309 | SOLID POWER EQY WARRANT 83422N113 | $91886.0M | 2 |
| 7310 | THE ONE GROUP HOSPITALITY IN 88338K103 | $91193.0M | 2 |
| 7311 | PETMED EXPRESS INC 716382106 | $91052.0M | 3 |
| 7312 | MAKITA CORP FSPONSORED ADR 1 ADR REPS 1 ORD SHS 560877300 | $90700.0M | 2 |
| 7313 | CRANE HBR ACQUISITION CORP G24979117 | $90122.0M | 2 |
| 7314 | BLUE RIDGE BANKSHARES INC VA 095825105 | $89958.0M | 2 |
| 7315 | ETF SER SOLUTIONS 26922A297 | $89447.0M | 2 |
| 7316 | DRUGS MADE IN AMER ACQ II CO G2851K112 | $88200.0M | 2 |
| 7317 | INSIGHT ENTERPRISES INC 45765UAB9 | $87620.0M | 2 |
| 7318 | AC IMMUNE SA H00263105 | $87581.0M | 3 |
| 7319 | GBANK FINL HLDGS INC 36166F100 | $87336.0M | 2 |
| 7320 | KEEN VISION ACQUISITION CORP G52443127 | $87325.0M | 2 |
| 7321 | NYLI HEDGE MULTI-STRATEGY TRAC 45409B107 | $85992.0M | 2 |
| 7322 | IMPERIAL PETE INC Y3894J187 | $85422.0M | 2 |
| 7323 | HYCROFT MINING HOLDING CORP 44862P208 | $85319.0M | 3 |
| 7324 | INUVO INC 46122W303 | $84980.0M | 3 |
| 7325 | HAYMAKER ACQUISITION CORP IV G4375F116 | $84620.0M | 2 |
| 7326 | EXPAND ENERGY CORPORATION WT EXP 020926 C 165167180 | $84486.0M | 3 |
| 7327 | ISHARES BLOCKCHAIN AND TECH ETF 46436E361 | $84281.0M | 3 |
| 7328 | TAILWIND 2.0 ACQUISITION COR G8662J129 | $82811.0M | 2 |
| 7329 | RISING DRAGON ACQUISITION CO G7576K115 | $82410.0M | 2 |
| 7330 | BP PRUDHOE BAY RTY TR 055630107 | $82395.0M | 4 |
| 7331 | KINGSWAY FINL SVCS INC 496904202 | $81857.0M | 2 |
| 7332 | X4 PHARMACEUTICALS INC 98420X202 | $81587.0M | 3 |
| 7333 | INVESCO ZACKS MULTI-ASSET IN 46137Y500 | $80927.0M | 2 |
| 7334 | PROKIDNEY CORP G7S53R104 | $80911.0M | 3 |
| 7335 | PHARMACYTE BIOTECH INC 71715X203 | $80270.0M | 2 |
| 7336 | HENNESSY CAP INVT CORP VII G4405D115 | $79637.0M | 2 |
| 7337 | BRASKEM S A 105532105 | $79336.0M | 3 |
| 7338 | ECARX HOLDINGS INC G29201111 | $78829.0M | 2 |
| 7339 | BANKFINANCIAL CORP 06643P104 | $78258.0M | 3 |
| 7340 | SIFY TECHNOLOGIES LTD 82655M206 | $78113.0M | 4 |
| 7341 | TEVOGEN BIO HLDGS INC 88165K101 | $78064.0M | 3 |
| 7342 | GSI TECHNOLOGY INC 36241U106 | $77860.0M | 3 |
| 7343 | ALPHA MODUS HLDGS INC 020952115 | $75743.0M | 2 |
| 7344 | VERRICA PHARMACEUTICALS 92511W108 | $75138.0M | 3 |
| 7345 | RAMACO RES INC 75134P501 | $75040.0M | 6 |
| 7346 | UNIVERSAL ELECTRS INC 913483103 | $74615.0M | 2 |
| 7347 | ISPIRE TECHNOLOGY INC 46501C100 | $74221.0M | 3 |
| 7348 | TRANSCONTINENTAL RLTY INVS 893617209 | $73898.0M | 3 |
| 7349 | PHX MINERALS INC 69291A100 | $73760.0M | 2 |
| 7350 | BLACKROCK HEALTH SCIENCES TE 09260E105 | $73543.0M | 5 |
| 7351 | BOLT BIOTHERAPEUTICS INC 097702203 | $72445.0M | 2 |
| 7352 | FUTURECREST ACQUISITION CORP G3730U115 | $71722.0M | 2 |
| 7353 | MERCURITY FINTECH HOLDING IN G59467202 | $71211.0M | 2 |
| 7354 | EAGLE BANCORP MONT INC 26942G100 | $70455.0M | 2 |
| 7355 | DMY SQUARED TECHNOLOGY GROUP 233276112 | $70434.0M | 2 |
| 7356 | ROCKWELL MED INC 774374300 | $70018.0M | 4 |
| 7357 | ISHARES MSCI DENMARK ETF 46429B523 | $68603.0M | 3 |
| 7358 | ACTINIUM PHARMACEUTICALS INC 00507W206 | $68176.0M | 2 |
| 7359 | FLEXSHARES US QUALITY LOW VO 33939L654 | $66983.0M | 2 |
| 7360 | BLACKSKY TECHNOLOGY INC 09263B116 | $66892.0M | 2 |
| 7361 | CORECARD CORPORATION 45816D100 | $66251.0M | 2 |
| 7362 | GABELLI MULTIMEDIA TR INC 36239Q109 | $65976.0M | 3 |
| 7363 | OFFICE PPTYS INCOME TR 67623C109 | $65692.0M | 6 |
| 7364 | EMEREN GROUP LTD 75971T301 | $65052.0M | 4 |
| 7365 | Sunpower Corp. 867652406 | $64795.0M | 4 |
| 7366 | HENNESSY CAPITAL INVST CORP 42600H116 | $64721.0M | 2 |
| 7367 | TEMA AMERICAN RESHORING ETF 87975E602 | $63725.0M | 2 |
| 7368 | MERSANA THERAPEUTICS INC 59045L106 | $63424.0M | 3 |
| 7369 | MICROALGO INC G6077Y400 | $63302.0M | 3 |
| 7370 | ABRDN ASIA PACIFIC INCOME FUND COM NEW 003009867 | $63230.0M | 3 |
| 7371 | VISHAY INTERTECHNOLOGY INC 928298AP3 | $62461.0M | 2 |
| 7372 | VANECK VIETNAM ETF 92189F817 | $61780.0M | 3 |
| 7373 | NISUN INTL ENT DVPMT GP CO L G6593L122 | $61756.0M | 2 |
| 7374 | SITE CENTERS CORP 82981J109 | $61750.0M | 2 |
| 7375 | OATLY GROUP AB 67421J108 | $61564.0M | 3 |
| 7376 | SONDER HOLDINGS INC 83542D300 | $61518.0M | 4 |
| 7377 | VIDENT U.S. EQUITY STRATEGY ETF 26922A503 | $61302.0M | 2 |
| 7378 | BLUEBIRD BIO INC 09609G209 | $61212.0M | 2 |
| 7379 | MOBIX LABS INC 60743G118 | $61161.0M | 2 |
| 7380 | LARGO INC 517097101 | $61154.0M | 2 |
| 7381 | ACRES COMMERCIAL REALTY CORP 00489Q102 | $60971.0M | 2 |
| 7382 | LIVEWIRE GROUP INC 53838J105 | $60943.0M | 3 |
| 7383 | FORAFRIC GLOBAL PLC X3R81D102 | $60868.0M | 2 |
| 7384 | REZOLVE AI LTD G75398118 | $60711.0M | 2 |
| 7385 | INNOVATOR ETFS TRUST 45784N106 | $60655.0M | 2 |
| 7386 | COMPANHIA SIDERURGICA NACION 20440W105 | $60541.0M | 4 |
| 7387 | ULTRALIFE BATTERIES COM 903899102 | $60081.0M | 2 |
| 7388 | MARBLEGATE ACQUISITION CORP 56608A113 | $59552.0M | 3 |
| 7389 | PATRIOT NATL BANCORP INC 70336F203 | $59314.0M | 2 |
| 7390 | MOBILE INFRASTRUCTURE CORP 60739N101 | $59134.0M | 2 |
| 7391 | PEPGEN INC 713317105 | $58461.0M | 4 |
| 7392 | LIVEPERSON INC 538146101 | $58388.0M | 3 |
| 7393 | MUSTANG BIO INC 62818Q302 | $57148.0M | 2 |
| 7394 | XCF GLOBAL INC 98400U103 | $56983.0M | 2 |
| 7395 | VAST RENEWABLES LIMITED Q9379E113 | $56713.0M | 3 |
| 7396 | APA CORPORATION 03743Q908 | $56712.0M | 2 |
| 7397 | TRAWS PHARMA INC 68232V884 | $55842.0M | 2 |
| 7398 | BIG LOTS INC COM 089302103 | $55773.0M | 2 |
| 7399 | INVESCO CURRENCYSHARES BRITISH POUND 46138M109 | $55609.0M | 2 |
| 7400 | CSLM ACQUISITION CORP G2365L119 | $55014.0M | 2 |
| 7401 | LASER PHOTONICS CORP 51807Q100 | $54945.0M | 3 |
| 7402 | TASKUS INC CLASS A COM 87652V109 | $54702.0M | 5 |
| 7403 | MONOGRAM TECHNOLOGIES INC 609786108 | $54631.0M | 4 |
| 7404 | CRITICAL METALS CORP G2662B111 | $53533.0M | 2 |
| 7405 | OPAL FUELS INC 68347P103 | $53373.0M | 4 |
| 7406 | NIU TECHNOLOGIES 65481N100 | $53345.0M | 2 |
| 7407 | TELOMIR PHARMACEUTICALS INC 87975F104 | $53155.0M | 3 |
| 7408 | GCT SEMICONDUCTOR HLDG INC 36170N107 | $52479.0M | 3 |
| 7409 | INNOVATOR ETFS TRUST 45784N791 | $52360.0M | 3 |
| 7410 | CURALEAF HLDGS INC F 23126M102 | $51108.0M | 2 |
| 7411 | JAWS MUSTANG ACQUISITION COR G50737124 | $51063.0M | 2 |
| 7412 | ISHARES TR 46435G847 | $50745.0M | 3 |
| 7413 | UNION BANKSHARES INC 905400107 | $50023.0M | 2 |
| 7414 | CALAMOS ETF TR 12811T688 | $49991.0M | 2 |
| 7415 | SMI 3FOURTEEN FC TREND ETF 26923N512 | $49751.0M | 2 |
| 7416 | AMARIN CORP ADR 023111206 | $48567.0M | 5 |
| 7417 | PROSHARES TR 74347B375 | $48470.0M | 2 |
| 7418 | MFS GOVT MKTS INCOME TR 552939100 | $48429.0M | 4 |
| 7419 | GLOBAL INDEMNITY GROUP LLC 37959R103 | $47776.0M | 2 |
| 7420 | TEMA ETF TRUST 87975E701 | $47527.0M | 2 |
| 7421 | ZOMEDICA CORP 98980M109 | $47182.0M | 2 |
| 7422 | CHARGEPOINT HLDGS INC 15961R303 | $46850.0M | 6 |
| 7423 | WW INTL INC 98262P101 | $46507.0M | 2 |
| 7424 | CBAK ENERGY TECHNOLOGY INC 14986C102 | $45601.0M | 2 |
| 7425 | BUZZFEED INC 12430A300 | $44934.0M | 3 |
| 7426 | ABPRO HLDGS INC 000847111 | $44752.0M | 2 |
| 7427 | X4 PHARMACEUTICALS INC 98420X103 | $44740.0M | 2 |
| 7428 | SOUTHLAND HLDGS INC 84445C100 | $43755.0M | 2 |
| 7429 | CENTURY THERAPEUTICS INC 15673T100 | $43213.0M | 3 |
| 7430 | ASSERTIO HOLDINGS INC 04546C205 | $42461.0M | 4 |
| 7431 | CASTELLUM INC 14838T204 | $42171.0M | 3 |
| 7432 | WATERDROP INC 94132V105 | $41861.0M | 2 |
| 7433 | BANCO SANTANDER BRASIL S A 05967A107 | $41805.0M | 3 |
| 7434 | SMART SAND INC 83191H107 | $40929.0M | 3 |
| 7435 | PANDORA A /S F 698341302 | $40754.0M | 2 |
| 7436 | 9F INC 65442R208 | $40731.0M | 3 |
| 7437 | SCHWAB CRYPTO THEMATIC 808524656 | $39943.0M | 4 |
| 7438 | COMPX INTL INC 20563P101 | $39929.0M | 2 |
| 7439 | SOLARMAX TECHNOLOGY INC 83419H103 | $39391.0M | 2 |
| 7440 | TEVOGEN BIO HLDGS INC 88165K119 | $38682.0M | 3 |
| 7441 | CARBON REVOLUTION LTD G1893D110 | $38557.0M | 4 |
| 7442 | INVESCO MSCI USA ETF 46138E461 | $38307.0M | 2 |
| 7443 | AZUL SA-ADR 05501U106 | $38240.0M | 3 |
| 7444 | GCT SEMICONDUCTOR HLDG INC 36170N115 | $37326.0M | 2 |
| 7445 | TRILLER GROUP INC 895970101 | $37302.0M | 4 |
| 7446 | VIRTRA INC 92827K301 | $36669.0M | 2 |
| 7447 | CYCURION INC 95758L115 | $36420.0M | 3 |
| 7448 | STELLUS CAP INVT CORP 858568108 | $35269.0M | 2 |
| 7449 | 374WATER INC 88583P104 | $35229.0M | 3 |
| 7450 | DESTINY TECH100 INC 25063F107 | $34721.0M | 3 |
| 7451 | NUVATION BIO INC 67080N119 | $34694.0M | 2 |
| 7452 | COHEN & STEERS INFRASTRUCTUR 19248A117 | $34689.0M | 5 |
| 7453 | LYELL IMMUNOPHARMA INC 55083R203 | $34177.0M | 2 |
| 7454 | ELONG POWER HOLDING LTD. G3016G103 | $33096.0M | 2 |
| 7455 | FURY GOLD MINES LIMITED 36117T100 | $33058.0M | 3 |
| 7456 | GENERATION BIO CO 37148K209 | $32984.0M | 2 |
| 7457 | WEREWOLF THERAPEUTICS INC 95075A107 | $32560.0M | 2 |
| 7458 | FIRST TR EXCHANGE-TRADED FD 33736N101 | $32490.0M | 2 |
| 7459 | IGM BIOSCIENCES INC 449585108 | $32334.0M | 2 |
| 7460 | CHIMERIX INC COM 16934W106 | $31872.0M | 2 |
| 7461 | PONY AI INC 732908108 | $31775.0M | 4 |
| 7462 | AMERICAN RLTY INVS INC 029174109 | $31713.0M | 2 |
| 7463 | STAR GROUP L P 85512C105 | $31271.0M | 2 |
| 7464 | SYNCHRONOSS TECHNOLOGIES INC 87157B400 | $30833.0M | 3 |
| 7465 | ROADZEN INC G7606H108 | $30819.0M | 2 |
| 7466 | HEARTBEAM INC 42238H108 | $30573.0M | 2 |
| 7467 | SKYX PLATFORMS CORP 78471E105 | $30141.0M | 2 |
| 7468 | NVNI GROUP LIMITED G50716110 | $29574.0M | 3 |
| 7469 | BAIRD MED INVT HLDGS LTD G0705H111 | $29553.0M | 3 |
| 7470 | EMBOTELLADORA ANDINA S A 29081P204 | $29359.0M | 2 |
| 7471 | ESH ACQUISITION CORP 296424112 | $28881.0M | 2 |
| 7472 | LANZATECH GLOBAL INC 51655R101 | $28791.0M | 4 |
| 7473 | INTERNATIONAL TOWER HILL MIN 46050R102 | $28534.0M | 2 |
| 7474 | Zapp Electric Vehicles Group Ltd G9889X115 | $28424.0M | 2 |
| 7475 | AMPLIFY ETF TR 032108474 | $28333.0M | 6 |
| 7476 | FS SPECIALTY LENDING FUND FSSL 644323107 | $27920.0M | 2 |
| 7477 | AMTD DIGITAL INC SPONSORED ADS 00180N101 | $27603.0M | 2 |
| 7478 | PATTERN GROUP INC 70339W104 | $27284.0M | 2 |
| 7479 | RLJ LODGING TR 74965L200 | $26968.0M | 2 |
| 7480 | BIOMOTION SCIENCES-CW29 G1281K114 | $26791.0M | 2 |
| 7481 | GRAB HOLDINGS LIMITED G4124C117 | $26785.0M | 3 |
| 7482 | DBV TECHNOLOGIES S A 23306J309 | $26728.0M | 2 |
| 7483 | IRON HORSE ACQUISITIONS CORP 462837121 | $26493.0M | 2 |
| 7484 | KANDI TECHNOLOGIES GROUP INC G5214E103 | $26441.0M | 4 |
| 7485 | RCF ACQUISITION CORP G7330C110 | $26178.0M | 2 |
| 7486 | NEOS ETF TRUST 78433H576 | $25761.0M | 3 |
| 7487 | INNOVATOR ETFS TRUST 45784N643 | $25726.0M | 2 |
| 7488 | FIBROBIOLOGICS INC 31573L105 | $25246.0M | 2 |
| 7489 | BEYOND AIR INC 08862L202 | $24715.0M | 2 |
| 7490 | ArrowMark Financial Corp 861780104 | $24591.0M | 2 |
| 7491 | LIBERTY MEDIA CORP 531229607 | $23692.0M | 2 |
| 7492 | CROWN LNG HLDGS LTD G268AP117 | $23623.0M | 2 |
| 7493 | Q32 BIO INC 746964105 | $23125.0M | 4 |
| 7494 | ENVOY MEDICAL INC 29415V117 | $23050.0M | 4 |
| 7495 | PRO-DEX INC COLO 74265M205 | $22836.0M | 3 |
| 7496 | ROUNDHILL SPRT BETNG AND 53656F789 | $22737.0M | 3 |
| 7497 | LAMF GLOBAL VENTURES CORP I G5338L124 | $22500.0M | 2 |
| 7498 | INVESCO S&P 500 BUYWRITE ETF 46137V399 | $21844.0M | 2 |
| 7499 | GCI LIBERTY INC 36164V602 | $21802.0M | 2 |
| 7500 | AFYA LTD G01125106 | $21672.0M | 2 |
| 7501 | BNY MELLON ETF TRUST 09661T305 | $21658.0M | 3 |
| 7502 | LISTED FD TR 53656F730 | $21423.0M | 2 |
| 7503 | LISTED FD TR 53656F680 | $21415.0M | 2 |
| 7504 | LISTED FD TR 53656F748 | $21321.0M | 2 |
| 7505 | LISTED FD TR 53656F763 | $21201.0M | 2 |
| 7506 | REVIVA PHARMACEUTCLS HLDGS I 76152G100 | $21117.0M | 2 |
| 7507 | VERDE CLEAN FUELS INC 923372106 | $20958.0M | 2 |
| 7508 | LISTED FD TR 53656F664 | $20932.0M | 2 |
| 7509 | A K A BRANDS HLDG CORP 00152K200 | $20628.0M | 3 |
| 7510 | LISTED FD TR 53656F698 | $20614.0M | 2 |
| 7511 | XBP Europe Holdings Inc 98400V119 | $20250.0M | 3 |
| 7512 | CARTESIAN GROWTH CORP II G19305120 | $20031.0M | 2 |
| 7513 | BLACKROCK FLTNG RT INC TR 091941104 | $19827.0M | 2 |
| 7514 | GLOBAL X HEALTHTECH ETF 37954Y137 | $19719.0M | 2 |
| 7515 | DRILLING TOOLS INTL CORP 26205E107 | $19707.0M | 2 |
| 7516 | REE AUTOMOTIVE LTD M8287R202 | $19585.0M | 2 |
| 7517 | SCILEX HOLDING CO 80880W106 | $19545.0M | 2 |
| 7518 | FORESIGHT AUTONOMOUS ADR 345523203 | $19309.0M | 2 |
| 7519 | FALCONS BEYOND GLOBAL INC 306121112 | $18640.0M | 2 |
| 7520 | CHECHE GROUP INC G20707116 | $18485.0M | 2 |
| 7521 | EON RESOURCES INC 40472A128 | $18396.0M | 2 |
| 7522 | FUELCELL ENERGY 35952H601 | $18324.0M | 2 |
| 7523 | FLYEXCLUSIVE INC 343928107 | $18080.0M | 2 |
| 7524 | LIVEWIRE GROUP INC 53838J113 | $17272.0M | 2 |
| 7525 | AIRSHIP AI HLDGS INC 008940116 | $17220.0M | 2 |
| 7526 | SOLIDION TECHNOLOGY INC 834212102 | $17046.0M | 2 |
| 7527 | UNUSUAL WHALES SUBVERSIVE DEMOCRATIC TRADING ETF 886364199 | $16886.0M | 3 |
| 7528 | CELLECTIS S A 15117K103 | $16715.0M | 2 |
| 7529 | YATSEN HLDG LTD 985194208 | $16558.0M | 2 |
| 7530 | BRAND ENGAGEMENT NETWORK INC 104932116 | $16348.0M | 3 |
| 7531 | OCEAN PWR TECHNOLOGIES INC 674870506 | $15966.0M | 3 |
| 7532 | JAMES HARDIE INDS PLC G4253H101 | $15561.0M | 4 |
| 7533 | IMPALA PLATINUM HLDGS F 452553308 | $15458.0M | 2 |
| 7534 | GRUPO AVAL ACCIONES Y VALORE 40053W101 | $15414.0M | 3 |
| 7535 | SPRING VALLEY ACQUISTN CORP G83752116 | $15161.0M | 2 |
| 7536 | ZSPACE INC 98980W107 | $15073.0M | 2 |
| 7537 | RALLYBIO CORP 75120L100 | $14840.0M | 2 |
| 7538 | Nestle SA H57312649 | $14791.0M | 2 |
| 7539 | BOLT PROJS HLDGS INC 09769B115 | $14476.0M | 3 |
| 7540 | VOLATILITY SHS TR 92864M301 | $14352.0M | 2 |
| 7541 | EVEREST CONSOLIDATOR ACQ COR 29978K110 | $13661.0M | 2 |
| 7542 | VOLATILITY SHS TR 92864M780 | $13452.0M | 4 |
| 7543 | SYSTEM1 INC 87200P109 | $12934.0M | 2 |
| 7544 | TRX GOLD CORPORATION 87283P109 | $12696.0M | 2 |
| 7545 | FINWISE BANCORP 31813A109 | $12449.0M | 2 |
| 7546 | ENLIVEX THERAPEUTICS LTD M4130Y106 | $12411.0M | 2 |
| 7547 | NIKOLA CORP 654110303 | $12109.0M | 6 |
| 7548 | PRELUDE THERAPEUTICS INC 74065P101 | $11983.0M | 2 |
| 7549 | COMPLETE SOLARIA INC 20460L112 | $11848.0M | 2 |
| 7550 | WISEKEY INTERNATIONAL HLDS L 97727L408 | $11540.0M | 2 |
| 7551 | WISDOMTREE TR 97717Y626 | $11403.0M | 2 |
| 7552 | LYRA THERAPEUTICS INC 55234L105 | $11377.0M | 3 |
| 7553 | AURORA MOBILE LTD 051857209 | $11155.0M | 3 |
| 7554 | SUPER HI INTL HLDG LTD 86803S106 | $11136.0M | 2 |
| 7555 | CAMBER ENERGY INC COM 13200M607 | $10614.0M | 2 |
| 7556 | ATARA BIOTHERAPEUTICS INC 046513206 | $10568.0M | 5 |
| 7557 | DOUYU INTL HLDGS LTD 25985W204 | $10343.0M | 2 |
| 7558 | DIGINEX LTD G28687104 | $10269.0M | 2 |
| 7559 | ALPS OSHARES GLOBAL INTERNET 00162Q361 | $10240.0M | 2 |
| 7560 | AMPLIFY ETF TR 032108805 | $10223.0M | 2 |
| 7561 | YIELDMAX UNIVERSE FO IN ETFS 88636J659 | $10202.0M | 2 |
| 7562 | GENIUS GROUP LTD Y3005A117 | $10139.0M | 2 |
| 7563 | CRESCO LABS INC F 22587M106 | $9993.0M | 2 |
| 7564 | ISHARES MSCI JAPAN VALUE ETF 46435U374 | $9843.0M | 2 |
| 7565 | GOLD RESOURCE CORP 38068T105 | $9584.0M | 2 |
| 7566 | TEMA ETF TRUST 87975E883 | $9499.0M | 2 |
| 7567 | NIOCORP DEVS LTD 654484153 | $9488.0M | 3 |
| 7568 | CITIUS PHARMACEUTICALS INC 17322U306 | $9481.0M | 2 |
| 7569 | PAPAYA GRWT OPPORTUNITY CORP 69882P110 | $9391.0M | 2 |
| 7570 | ZEDGE INC 98923T104 | $9361.0M | 2 |
| 7571 | OATLY GROUP AB 67421J207 | $9207.0M | 4 |
| 7572 | MURAL ONCOLOGY PUB LTD CO G63365103 | $9123.0M | 5 |
| 7573 | STEM INC 85859N300 | $8926.0M | 3 |
| 7574 | ALLBIRDS INC 01675A208 | $8864.0M | 3 |
| 7575 | PAYSAFE LIMITED G6964L115 | $8822.0M | 2 |
| 7576 | IZEA WORLDWIDE INC EQUIT 46604H204 | $8383.0M | 2 |
| 7577 | MULTISENSOR AI HOLDINGS INC 456948116 | $8379.0M | 2 |
| 7578 | SQUARESPACE INC 85225A107 | $8046.0M | 2 |
| 7579 | MAXEON SOLAR TECHNOLOGIES LT Y58473102 | $7829.0M | 2 |
| 7580 | WERIDE INC 950915108 | $7739.0M | 2 |
| 7581 | THE LION ELECTRIC COMPANY 536221104 | $7632.0M | 2 |
| 7582 | WM TECHNOLOGY INC-CW24 92971A117 | $7583.0M | 2 |
| 7583 | BLACKROCK MUN INCOME QUALITY COM 092479104 | $7522.0M | 2 |
| 7584 | TELESAT CORP 879512309 | $7457.0M | 3 |
| 7585 | ONKURE THERAPEUTICS INC 68277Q105 | $7320.0M | 2 |
| 7586 | MERCEDES BENZ GROU ORDF D1668R123 | $7118.0M | 2 |
| 7587 | ZOOMCAR HLDGS INC 45784G119 | $7091.0M | 2 |
| 7588 | ILEARNINGENGINES INC 45175Q114 | $6933.0M | 2 |
| 7589 | INUVO INC 46122W204 | $6804.0M | 2 |
| 7590 | LABOR SMART INCORPORATED 50541A108 | $6412.0M | 2 |
| 7591 | CHEETAH MOBILE INC 163075203 | $6081.0M | 2 |
| 7592 | UTSTARCOM HOLDINGS CORP G9310A122 | $6076.0M | 2 |
| 7593 | QUANTUM CORP 747906600 | $5980.0M | 2 |
| 7594 | CLEARBRIDGE ENERGY MIDSTRM O 18469P118 | $5975.0M | 2 |
| 7595 | RAIL VISION LTD M8186D122 | $5757.0M | 2 |
| 7596 | RAFAEL HLDGS INC 75062E106 | $5443.0M | 2 |
| 7597 | AIM ETF PRODUCTS TRUST 00888H554 | $5333.0M | 2 |
| 7598 | THE9 LTD 88337K401 | $5083.0M | 2 |
| 7599 | DIREXION DAILY REAL ESTATE B 25460G419 | $4806.0M | 2 |
| 7600 | LXP INDUSTRIAL TRUST 529043309 | $4801.0M | 2 |
| 7601 | RETRACTABLE TECHNOLOGIES INC 76129W105 | $4734.0M | 2 |
| 7602 | AIR CANADA 008911877 | $4715.0M | 2 |
| 7603 | PROSHARES ULTRAPRO SHT 74347G648 | $4477.0M | 2 |
| 7604 | FIRST CAP INC 31942S104 | $4232.0M | 2 |
| 7605 | PARAMOUNT GOLD NEV CORP 69924M109 | $4210.0M | 2 |
| 7606 | ADAPTIMMUNE THERAPEUTICS ADR 00653A107 | $4178.0M | 2 |
| 7607 | BALLYS CORPORATION 05875B106 | $4073.0M | 2 |
| 7608 | ECO WAVE POWER GLOBAL 27900N103 | $4022.0M | 2 |
| 7609 | COSTAMARE BULKERS HLDGS LTD Y2001C101 | $3982.0M | 2 |
| 7610 | PROCURE ETF TRUST II 74280R205 | $3903.0M | 2 |
| 7611 | MINK THERAPEUTICS INC 603693201 | $3829.0M | 3 |
| 7612 | FIBROGEN INC 31572Q881 | $3663.0M | 2 |
| 7613 | KARYOPHARM THERAPEUTICS INC 48576U205 | $3617.0M | 2 |
| 7614 | TEAM INC 878155308 | $3566.0M | 2 |
| 7615 | GENEDX HOLDINGS CORP 81663L119 | $3525.0M | 3 |
| 7616 | NEONODE INC 64051M709 | $3497.0M | 2 |
| 7617 | BANZAI INTERNATIONAL INC 06682J118 | $3425.0M | 2 |
| 7618 | IRON HORSE ACQUISITIONS CORP 462837113 | $3423.0M | 2 |
| 7619 | FLUENCE ENERGY INC 34379V903 | $3260.0M | 2 |
| 7620 | YIREN DIGITAL LTD 98585L100 | $3111.0M | 2 |
| 7621 | NOBLE CORP PLC WT EXP 020428 G65431135 | $3035.0M | 2 |
| 7622 | NANOVIRICIDES INC 630087302 | $2958.0M | 4 |
| 7623 | ONECONNECT FINL TECHNOLOGY C 68248T204 | $2841.0M | 2 |
| 7624 | ISHARES INC 464286640 | $2753.0M | 2 |
| 7625 | CAMBIUM NETWORKS CORP G17766109 | $2579.0M | 2 |
| 7626 | CRYO-CELL INTL INC 228895108 | $2569.0M | 2 |
| 7627 | GAIA INC NEW 36269P104 | $2530.0M | 2 |
| 7628 | RIVERNORTH OPPORTUNITIES FD 76881Y174 | $2377.0M | 2 |
| 7629 | TRON INC 85237B101 | $2333.0M | 2 |
| 7630 | INVESCO MSCI GLOBAL TIMBER ETF 46138E545 | $2230.0M | 2 |
| 7631 | ANGHAMI INC G0369L119 | $2206.0M | 2 |
| 7632 | REVELATION BIOSCIENCES INC 76135L119 | $2138.0M | 2 |
| 7633 | CHUYS HLDGS INC 171604101 | $2102.0M | 2 |
| 7634 | BIOVIE INC 09074F504 | $2094.0M | 2 |
| 7635 | FIRST TRUST NASDAQ FOOD & BE 33738R852 | $2046.0M | 2 |
| 7636 | DULUTH HLDGS INC 26443V101 | $2014.0M | 2 |
| 7637 | NOBLE CORP PLC WT EXP 020428 G65431150 | $1996.0M | 2 |
| 7638 | AEYE INC 008183204 | $1918.0M | 2 |
| 7639 | LIBERTY LIVE HOLDINGS INC COM SER A 530909100 | $1794.0M | 2 |
| 7640 | STEAKHOLDER FOODS LTD 583435201 | $1746.0M | 2 |
| 7641 | THE BEACHBODY COMPANY INC 073463309 | $1709.0M | 4 |
| 7642 | KRANSHRS ELCTR VHCL FTR 500767827 | $1427.0M | 2 |
| 7643 | MICROCLOUD HOLOGRAM INC G55032166 | $1426.0M | 2 |
| 7644 | CALAMOS ETF TR 12811T845 | $1425.0M | 2 |
| 7645 | ENZOLYTICS INC 294112107 | $1389.0M | 3 |
| 7646 | MAIA BIOTECHNOLOGY INC 552641102 | $1359.0M | 2 |
| 7647 | PRECISION BIOSCIENCES INC 74019P207 | $1355.0M | 2 |
| 7648 | MESA AIR GROUP INC 590479135 | $1317.0M | 2 |
| 7649 | TRINITY BIOTECH PLC 896438504 | $1277.0M | 3 |
| 7650 | UXIN LTD FSPONSORED ADR 1 ADR REPS 300 ORD SHS 91818X306 | $1262.0M | 2 |
| 7651 | INSIGHT MOLECULAR DIA INC 68235C206 | $1224.0M | 2 |
| 7652 | KEZAR LIFE SCIENCES INC 49372L209 | $1205.0M | 2 |
| 7653 | ODYSSEY MARINE EXPL INC 676118201 | $1184.0M | 2 |
| 7654 | BOREALIS FOODS INC 09973D113 | $1184.0M | 2 |
| 7655 | CERO THERAPEUTICS HLDGS INC 71902K113 | $1114.0M | 2 |
| 7656 | VIRNETX HLDG CORP 92823T207 | $1106.0M | 2 |
| 7657 | MOVELLA HOLDINGS INC 62459N113 | $1071.0M | 2 |
| 7658 | CLEANSPARK INC 18452B118 | $1054.0M | 2 |
| 7659 | TRUMP MEDIA & TECHNOLOGY GRO 25400Q113 | $981,000 | 3 |
| 7660 | SOCIETY PASS INC 83370P201 | $952,000 | 2 |
| 7661 | M-TRON INDS INC 55380K125 | $875,000 | 2 |
| 7662 | ALAUNOS THERAPEUTICS INC 98973P309 | $834,000 | 2 |
| 7663 | FEMTO TECH INC 31447N204 | $802,000 | 2 |
| 7664 | BIOCERES CROP SOLUTIONS CORP G1117K114 | $781,000 | 2 |
| 7665 | VISTA OUTDOOR INC 928377100 | $756,000 | 2 |
| 7666 | USA RARE EARTH INC 91733P107 | $698,000 | 2 |
| 7667 | BURNING ROCK BIOTECH LTD 12233L206 | $675,000 | 2 |
| 7668 | BT BRANDS INC 0557MQ115 | $628,000 | 2 |
| 7669 | BRISTOL-MYERS SQUIBB CO 110122140 | $593,000 | 2 |
| 7670 | PAVMED INC 70387R403 | $553,000 | 3 |
| 7671 | QVC GROUP INC SER A CLASS SERIES A 74915M605 | $505,000 | 2 |
| 7672 | AMERICAN STRATEGIC INVEST CO 649439304 | $490,000 | 2 |
| 7673 | SONOMA PHARMACEUTICALS INC 83558L303 | $484,000 | 2 |
| 7674 | INTCHAINS GROUP LTD 45828E104 | $425,000 | 2 |
| 7675 | SERIES PORTFOLIOS TR 81752T486 | $378,000 | 2 |
| 7676 | SPDR INDEX SHS FDS 78470E205 | $366,000 | 2 |
| 7677 | CLEARSIDE BIOMEDICAL INC 185063203 | $342,000 | 2 |
| 7678 | GENERATION INCOME PPTYS INC 37149D204 | $328,000 | 2 |
| 7679 | TNF PHARMACEUTICALS INC 62856X201 | $289,000 | 2 |
| 7680 | 111 INC 68247Q201 | $285,000 | 2 |
| 7681 | CARISMA THERAPEUTICS INC 14216R101 | $257,000 | 2 |
| 7682 | SCISPARC LTD M82618113 | $256,000 | 2 |
| 7683 | DARE BIOSCIENCE INC COM NEW 23666P200 | $232,000 | 2 |
| 7684 | PLANET 13 HOLDINGS INC 72707C108 | $227,000 | 2 |
| 7685 | DIANA SHIPPING INC Y2066G138 | $213,000 | 2 |
| 7686 | LI-CYCLE HLDGS CORP 50202P204 | $182,000 | 2 |
| 7687 | ASHFORD HOSPITALITY TR INC 044103794 | $179,000 | 2 |
| 7688 | AYTU BIOPHARMA INC 054754858 | $171,000 | 2 |
| 7689 | TORO CORP Y8900D108 | $130,000 | 2 |
| 7690 | SCILEX HOLDING CO 80880W205 | $118,000 | 2 |
| 7691 | HEALTHY CHOICE WELLNESS CLASS A 42227T105 | $114,000 | 4 |
| 7692 | ESS TECH INC 26916J205 | $65,000 | 2 |
| 7693 | SERINA THERAPEUTICS INC 81751A108 | $63,000 | 2 |
| 7694 | WORKHORSE GROUP INC 98138J404 | $62,000 | 4 |
| 7695 | THERAPEUTICSMD INC COM NEW 88338N206 | $57,000 | 2 |
| 7696 | CENNTRO INC 150964104 | $40,000 | 2 |
| 7697 | BARNWELL INDS INC 068221100 | $32,000 | 2 |
| 7698 | IM CANNABIS CORP 44969Q406 | $25,000 | 2 |
| 7699 | BIONANO GENOMICS INC 09075F404 | $25,000 | 2 |
| 7700 | AQUABOUNTY TECHNOLOGIES INC 03842K309 | $17,000 | 5 |
| 7701 | WORKHORSE GROUP INC 98138J305 | $15,000 | 2 |
| 7702 | VIVOSIM LABS INC 68620A302 | $12,000 | 2 |
| 7703 | GREENIDGE GENERATION HLDGS I 39531G308 | $3,000 | 2 |