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Holdings (Monthly) Guide ↗

Siit Small/Mid Cap Fund

· Sei Institutional Investments Trust
Monthly Holdings $809M AUM 203 positions Period May 2026 Filed Jul 29, 2026 EDGAR ↗ ← All Funds
All 125 New 34 Added 203 Reduced 69 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 RBC BEARINGS INCORPORATED 75524B104 Feb 2026 12,577 -6,868 $7.2M -35.8% 0.89% EC
2 LITTELFUSE, INC. 537008104 Feb 2026 14,376 -5,000 $6.7M -1.7% 0.83% EC
3 KEYSIGHT TECHNOLOGIES, INC. 49338L103 Feb 2026 16,138 -5,591 $5.5M -18.2% 0.68% EC
4 CASEY'S GENERAL STORES, INC. 147528103 Feb 2026 7,095 -5,125 $5.4M -35.0% 0.67% EC
5 CIRRUS LOGIC, INC. 172755100 Feb 2026 31,880 -3,170 $5.4M +9.5% 0.67% EC
6 STERLING INFRASTRUCTURE, INC. 859241101 Feb 2026 6,123 -3,357 $5.3M +29.9% 0.65% EC
7 THE ENSIGN GROUP, INC. 29358P101 Feb 2026 30,946 -13,960 $5.2M -46.1% 0.64% EC
8 PLEXUS CORP. 729132100 Feb 2026 16,099 -5,711 $4.3M +2.0% 0.53% EC
9 VALMONT INDUSTRIES, INC. 920253101 Feb 2026 8,117 -1,514 $4.2M -4.7% 0.52% EC
10 TRAVEL + LEISURE CO. 894164102 Feb 2026 59,441 -9,446 $4.0M -20.4% 0.50% EC
11 FABRINET G3323L100 Feb 2026 6,143 -3,492 $4.0M -23.6% 0.50% EC
12 MATADOR RESOURCES COMPANY 576485205 Feb 2026 71,986 -14,197 $3.9M -12.9% 0.48% EC
13 GLOBUS MEDICAL, INC. 379577208 Feb 2026 46,040 -4,539 $3.8M -21.9% 0.47% EC
14 VIAVI SOLUTIONS INC. 925550105 Feb 2026 76,597 -80,128 $3.7M -20.1% 0.46% EC
15 OSHKOSH CORPORATION 688239201 Feb 2026 27,500 -2,300 $3.6M -29.4% 0.44% EC
16 JABIL INC. 466313103 Feb 2026 9,580 -8,950 $3.5M -28.9% 0.43% EC
17 MONOLITHIC POWER SYSTEMS, INC. 609839105 Feb 2026 2,225 -1,593 $3.5M -20.1% 0.43% EC
18 HEALTHEQUITY, INC. 42226A107 Feb 2026 39,482 -7,839 $3.5M -4.0% 0.43% EC
19 CARETRUST REIT, INC. 14174T107 Feb 2026 85,082 -14,597 $3.5M -14.2% 0.43% EC
20 BURLINGTON STORES, INC. 122017106 Feb 2026 10,523 -1,847 $3.4M -10.2% 0.42% EC
21 CLEAR SECURE, INC. 18467V109 Feb 2026 61,077 -6,873 $3.4M +2.5% 0.42% EC
22 NORDSON CORPORATION 655663102 Feb 2026 11,762 -2,128 $3.4M -17.1% 0.42% EC
23 INTERFACE, INC. 458665304 Feb 2026 111,670 -9,100 $3.3M -13.1% 0.41% EC
24 CROCS, INC. 227046109 Feb 2026 27,150 -2,330 $3.2M +20.5% 0.40% EC
25 ENCOMPASS HEALTH CORPORATION 29261A100 Feb 2026 29,783 -5,365 $3.2M -16.9% 0.39% EC
26 Popular, Inc. 733174700 Feb 2026 20,972 -8,728 $3.1M -22.5% 0.39% EC
27 ROLLINS, INC. 775711104 Feb 2026 65,258 -6,348 $3.1M -28.8% 0.38% EC
28 CITIZENS FINANCIAL GROUP, INC. 174610105 Feb 2026 48,100 -15,800 $3.0M -22.1% 0.37% EC
29 DAVITA INC. 23918K108 Feb 2026 15,360 -4,000 $3.0M -1.3% 0.37% EC
30 PERDOCEO EDUCATION CORPORATION 71363P106 Feb 2026 91,636 -8,127 $3.0M -10.8% 0.37% EC
31 TOLL BROTHERS, INC. 889478103 Feb 2026 20,900 -5,900 $2.9M -31.3% 0.36% EC
32 ADVANCED DRAINAGE SYSTEMS, INC. 00790R104 Feb 2026 20,375 -12,787 $2.8M -50.1% 0.35% EC
33 ONTO INNOVATION INC. 683344105 Feb 2026 10,912 -1,895 $2.8M +1.9% 0.35% EC
34 NVENT ELECTRIC PUBLIC LIMITED COMPANY G6700G107 Feb 2026 16,845 -2,988 $2.8M +19.8% 0.35% EC
35 EXLSERVICE HOLDINGS, INC. 302081104 Feb 2026 95,027 -16,678 $2.8M -21.0% 0.34% EC
36 KULICKE AND SOFFA INDUSTRIES, INC. 501242101 Feb 2026 27,043 -4,819 $2.8M +24.0% 0.34% EC
37 WESCO INTERNATIONAL, INC. 95082P105 Feb 2026 7,627 -3,639 $2.8M -15.5% 0.34% EC
38 NEXSTAR MEDIA GROUP, INC. 65336K103 Feb 2026 15,350 -3,785 $2.7M -43.0% 0.34% EC
39 AXON ENTERPRISE, INC. 05464C101 Feb 2026 6,003 -1,070 $2.7M -29.8% 0.33% EC
40 REPLIGEN CORPORATION 759916109 Feb 2026 21,223 -3,717 $2.6M -18.1% 0.33% EC
41 EXPONENT, INC. 30214U102 Feb 2026 43,929 -7,723 $2.6M -31.8% 0.32% EC
42 HOST HOTELS & RESORTS, INC. 44107P104 Feb 2026 110,000 -79,350 $2.5M -31.9% 0.31% EC
43 BRUNSWICK CORPORATION 117043109 Feb 2026 29,830 -3,872 $2.5M -6.9% 0.31% EC
44 SIRIUS XM HOLDINGS INC. 829933100 Feb 2026 83,820 -10,100 $2.5M +20.0% 0.31% EC
45 PRICESMART, INC. 741511109 Feb 2026 14,490 -2,577 $2.5M -6.7% 0.30% EC
46 TENET HEALTHCARE CORPORATION 88033G407 Feb 2026 13,790 -910 $2.4M -31.3% 0.30% EC
47 CHURCH & DWIGHT CO., INC. 171340102 Feb 2026 25,037 -4,394 $2.4M -22.4% 0.30% EC
48 POWER INTEGRATIONS, INC. 739276103 Feb 2026 28,132 -11,332 $2.4M +25.0% 0.29% EC
49 MERCURY SYSTEMS, INC. 589378108 Feb 2026 21,038 -2,108 $2.3M +14.0% 0.29% EC
50 COGNEX CORPORATION 192422103 Feb 2026 35,654 -6,306 $2.3M +2.9% 0.29% EC
51 GARRETT MOTION INC. 366505105 Feb 2026 70,423 -25,777 $2.3M +17.8% 0.29% EC
52 NOVA LTD M7516K103 Feb 2026 4,584 -2,565 $2.3M -26.6% 0.28% EC
53 SABRA HEALTH CARE REIT, INC. 78573L106 Feb 2026 114,090 -10,320 $2.3M -11.2% 0.28% EC
54 TYLER TECHNOLOGIES, INC. 902252105 Feb 2026 6,921 -1,215 $2.2M -24.9% 0.27% EC
55 GUARDANT HEALTH, INC. 40131M109 Feb 2026 16,703 -7,396 $2.2M -4.3% 0.27% EC
56 CONSTRUCTION PARTNERS, INC. 21044C107 Feb 2026 18,363 -3,223 $2.1M -26.3% 0.26% EC
57 RELIANCE, INC. 759509102 Feb 2026 5,615 -996 $2.1M +2.5% 0.26% EC
58 POOL CORPORATION 73278L105 Feb 2026 11,686 -2,059 $2.1M -32.1% 0.26% EC
59 SKYWORKS SOLUTIONS, INC. 83088M102 Feb 2026 26,660 -2,850 $2.1M +18.0% 0.26% EC
60 TTM TECHNOLOGIES, INC. 87305R109 Feb 2026 11,730 -2,140 $2.0M +40.9% 0.25% EC
61 DT MIDSTREAM, INC. 23345M107 Feb 2026 14,553 -2,582 $2.0M -14.4% 0.25% EC
62 RAMBUS INC. 750917106 Feb 2026 13,954 -8,996 $2.0M -11.3% 0.25% EC
63 LANDSTAR SYSTEM, INC. 515098101 Feb 2026 9,683 -1,718 $2.0M +7.8% 0.25% EC
64 HEXCEL CORPORATION 428291108 Feb 2026 22,059 -3,917 $2.0M -17.7% 0.24% EC
65 THE NEW YORK TIMES COMPANY 650111107 Feb 2026 25,496 -4,524 $1.9M -19.9% 0.24% EC
66 RYMAN HOSPITALITY PROPERTIES, INC. 78377T107 Feb 2026 16,616 -2,921 $1.9M -0.8% 0.24% EC
67 TAPESTRY, INC. 876030107 Feb 2026 13,100 -8,500 $1.9M -43.3% 0.24% EC
68 REINSURANCE GROUP OF AMERICA, INCORPORATED 759351604 Feb 2026 9,410 -1,020 $1.9M -16.0% 0.23% EC
69 CARPENTER TECHNOLOGY CORPORATION 144285103 Feb 2026 3,905 -690 $1.8M +0.1% 0.23% EC
70 BIO-TECHNE CORPORATION 09073M104 Feb 2026 34,995 -6,137 $1.8M -25.5% 0.22% EC
71 The Descartes Systems Group Inc. 249906108 Feb 2026 24,436 -4,290 $1.8M -5.3% 0.22% EC
72 DICK'S SPORTING GOODS, INC. 253393102 Feb 2026 7,915 -1,395 $1.8M -5.0% 0.22% EC
73 CARTER'S, INC. 146229109 Feb 2026 46,050 -6,240 $1.8M +1.3% 0.22% EC
74 INDIVIOR PHARMACEUTICALS, INC. 45579U109 Feb 2026 49,140 -9,000 $1.8M -7.0% 0.22% EC
75 UNITED THERAPEUTICS CORPORATION 91307C102 Feb 2026 3,150 -2,250 $1.8M -35.5% 0.22% EC
76 QUEST DIAGNOSTICS INCORPORATED 74834L100 Feb 2026 8,995 -1,596 $1.8M -21.9% 0.22% EC
77 MUELLER INDUSTRIES, INC. 624756102 Feb 2026 13,600 -100 $1.7M +8.2% 0.22% EC
78 TERRENO REALTY CORPORATION 88146M101 Feb 2026 26,470 -4,697 $1.7M -15.5% 0.22% EC
79 GEN DIGITAL INC. 668771108 Feb 2026 67,400 -42,150 $1.7M -29.7% 0.21% EC
80 ELEMENT SOLUTIONS INC 28618M106 Feb 2026 40,940 -9,330 $1.7M -1.5% 0.21% EC
81 COMFORT SYSTEMS USA, INC. 199908104 Feb 2026 948 -180 $1.7M +7.5% 0.21% EC
82 OLLIE'S BARGAIN OUTLET HOLDINGS, INC. 681116109 Feb 2026 21,152 -14,773 $1.7M -55.1% 0.21% EC
83 PEDIATRIX MEDICAL GROUP, INC. 58502B106 Feb 2026 79,450 -770 $1.7M +7.5% 0.21% EC
84 HOME BANCSHARES, INC. 436893200 Feb 2026 63,483 -11,263 $1.7M -17.2% 0.21% EC
85 FIRST FINANCIAL BANKSHARES, INC. 32020R109 Feb 2026 51,697 -13,698 $1.7M -16.5% 0.21% EC
86 FAIR ISAAC CORPORATION 303250104 Feb 2026 1,342 -235 $1.7M -24.5% 0.21% EC
87 COMPASS MINERALS INTERNATIONAL, INC. 20451N101 Feb 2026 52,570 -9,670 $1.7M +7.0% 0.21% EC
88 STIFEL FINANCIAL CORP. 860630102 Feb 2026 23,907 -8,452 $1.7M -30.0% 0.21% EC
89 CONSTELLIUM SE F21107101 Feb 2026 48,900 -8,950 $1.7M +16.4% 0.21% EC
90 PATTERSON-UTI ENERGY, INC. 703481101 Feb 2026 146,950 -31,560 $1.6M +8.4% 0.20% EC
91 ARAMARK 03852U106 Feb 2026 30,520 -5,590 $1.6M +7.8% 0.20% EC
92 MGIC INVESTMENT CORPORATION 552848103 Feb 2026 64,000 -17,200 $1.6M -25.1% 0.20% EC
93 COPART, INC. 217204106 Feb 2026 48,308 -8,479 $1.6M -26.8% 0.20% EC
94 STERIS PUBLIC LIMITED COMPANY G8473T100 Feb 2026 7,391 -1,311 $1.6M -28.4% 0.19% EC
95 CHESAPEAKE UTILITIES CORPORATION 165303108 Feb 2026 12,720 -2,256 $1.6M -23.0% 0.19% EC
96 MASTEC, INC. 576323109 Feb 2026 4,110 -3,370 $1.6M -30.2% 0.19% EC
97 EverQuote Inc 30041R108 Feb 2026 80,720 -14,790 $1.6M +2.9% 0.19% EC
98 Veracyte Inc 92337F107 Feb 2026 33,380 -5,290 $1.5M +9.3% 0.19% EC
99 CARLISLE COMPANIES INCORPORATED 142339100 Feb 2026 4,417 -777 $1.5M -25.7% 0.19% EC
100 ICHOR HOLDINGS, LTD. G4740B105 Feb 2026 21,131 -18,229 $1.5M -19.3% 0.19% EC
101 AXSOME THERAPEUTICS, INC. 05464T104 Feb 2026 6,444 -3,071 $1.5M -3.1% 0.19% EC
102 TRANSUNION 89400J107 Feb 2026 21,085 -3,740 $1.5M -22.6% 0.19% EC
103 Atmus Filtration Technologies Inc 04956D107 Feb 2026 32,000 -34,555 $1.5M -65.1% 0.19% EC
104 V2X, INC. 92242T101 Feb 2026 17,870 -3,280 $1.5M +0.7% 0.18% EC
105 VSE CORPORATION 918284100 Feb 2026 7,996 -10,079 $1.5M -63.9% 0.18% EC
106 FORMFACTOR, INC. 346375108 Feb 2026 11,880 -2,190 $1.5M +6.4% 0.18% EC
107 PRIMERICA, INC. 74164M108 Feb 2026 5,441 -968 $1.5M -9.6% 0.18% EC
108 ZURN ELKAY WATER SOLUTIONS CORPORATION 98983L108 Feb 2026 31,140 -5,810 $1.5M -22.3% 0.18% EC
109 GENPACT LIMITED G3922B107 Feb 2026 44,100 -19,050 $1.5M -42.1% 0.18% EC
110 WATSCO, INC. 942622200 Feb 2026 3,920 -688 $1.4M -25.2% 0.18% EC
111 VIRTU FINANCIAL, INC. 928254101 Feb 2026 28,640 -5,550 $1.4M +1.4% 0.18% EC
112 UNIVERSAL DISPLAY CORPORATION 91347P105 Feb 2026 15,584 -2,776 $1.4M -26.7% 0.18% EC
113 UNUM GROUP 91529Y106 Feb 2026 17,100 -21,900 $1.4M -49.1% 0.18% EC
114 JACKSON FINANCIAL INC. 46817M107 Feb 2026 13,800 -14,640 $1.4M -54.3% 0.18% EC
115 RYAN SPECIALTY HOLDINGS, INC. 78351F107 Feb 2026 44,529 -7,815 $1.4M -31.1% 0.18% EC
116 CHEMED CORPORATION 16359R103 Feb 2026 3,323 -590 $1.4M -11.7% 0.18% EC
117 FRANKLIN RESOURCES, INC. 354613101 Feb 2026 45,600 -8,880 $1.4M -2.2% 0.17% EC
118 DHT HOLDINGS, INC. Y2065G121 Feb 2026 86,410 -16,470 $1.4M -29.7% 0.17% EC
119 FLEX LTD. Y2573F102 Feb 2026 9,300 -16,500 $1.4M -13.8% 0.17% EC
120 EAST WEST BANCORP, INC. 27579R104 Feb 2026 11,360 -2,130 $1.4M -5.7% 0.17% EC
121 NAPCO SECURITY TECHNOLOGIES, INC. 630402105 Feb 2026 36,955 -6,570 $1.4M -31.6% 0.17% EC
122 BROOKFIELD INFRASTRUCTURE CORPORATION 11276H106 Feb 2026 33,280 -5,914 $1.4M -29.3% 0.17% EC
123 MYR GROUP INC. 55405W104 Feb 2026 2,950 -3,380 $1.4M -19.7% 0.17% EC
124 InterDigital, Inc. 45867G101 Feb 2026 5,423 -2,622 $1.4M -53.6% 0.17% EC
125 COHEN & STEERS, INC. 19247A100 Feb 2026 19,538 -3,466 $1.4M -11.3% 0.17% EC
126 Smithfield Foods, Inc. 832248207 Feb 2026 52,730 -8,110 $1.4M -10.0% 0.17% EC
127 URBAN OUTFITTERS, INC. 917047102 Feb 2026 18,650 -3,220 $1.4M -6.4% 0.17% EC
128 VICTORY CAPITAL HOLDINGS, INC. 92645B103 Feb 2026 16,000 -6,000 $1.4M -11.1% 0.17% EC
129 ELANCO ANIMAL HEALTH INCORPORATED 28414H103 Feb 2026 55,660 -9,710 $1.3M -23.1% 0.16% EC
130 ENVISTA HOLDINGS CORPORATION 29415F104 Feb 2026 56,240 -10,390 $1.3M -31.9% 0.16% EC
131 COLUMBIA SPORTSWEAR COMPANY 198516106 Feb 2026 19,930 -3,690 $1.3M -9.8% 0.16% EC
132 TECHNIPFMC PLC G87110105 Feb 2026 19,010 -13,040 $1.3M -38.8% 0.16% EC
133 GROUP 1 AUTOMOTIVE, INC. 398905109 Feb 2026 4,100 -4,800 $1.3M -55.3% 0.16% EC
134 JACK HENRY & ASSOCIATES, INC. 426281101 Feb 2026 9,454 -1,677 $1.3M -28.7% 0.16% EC
135 ADT INC. 00090Q103 Feb 2026 191,800 -147,490 $1.3M -52.7% 0.16% EC
136 MURPHY OIL CORPORATION 626717102 Feb 2026 35,500 -13,661 $1.3M -21.2% 0.16% EC
137 SHARKNINJA, INC. G8068L108 Feb 2026 10,420 -2,000 $1.3M -16.8% 0.16% EC
138 LIGAND PHARMACEUTICALS INCORPORATED 53220K504 Feb 2026 5,472 -750 $1.3M +2.9% 0.16% EC
139 SIMMONS FIRST NATIONAL CORPORATION 828730200 Feb 2026 59,040 -10,840 $1.3M -9.0% 0.16% EC
140 Customers Bancorp, Inc. 23204G100 Feb 2026 16,840 -2,970 $1.3M -5.3% 0.16% EC
141 CENTRAL GARDEN & PET COMPANY 153527205 Feb 2026 36,690 -6,790 $1.3M -16.6% 0.15% EC
142 Rush Street Interactive Inc 782011100 Feb 2026 49,030 -14,080 $1.2M -0.3% 0.15% EC
143 RENAISSANCERE HOLDINGS LTD. G7496G103 Feb 2026 4,430 -820 $1.2M -21.8% 0.15% EC
144 NETSTREIT CORP. 64119V303 Feb 2026 61,050 -11,170 $1.2M -17.5% 0.15% EC
145 1ST SOURCE CORPORATION 336901103 Feb 2026 16,700 -2,930 $1.2M -6.3% 0.15% EC
146 ENOVA INTERNATIONAL, INC. 29357K103 Feb 2026 7,630 -1,400 $1.2M -1.9% 0.15% EC
147 G-III APPAREL GROUP, LTD. 36237H101 Feb 2026 38,000 -47,230 $1.2M -52.9% 0.15% EC
148 Apple Hospitality REIT, Inc. 03784Y200 Feb 2026 83,300 -21,700 $1.2M -4.9% 0.15% EC
149 STANDEX INTERNATIONAL CORPORATION 854231107 Feb 2026 4,412 -3,144 $1.2M -38.3% 0.15% EC
150 Tanger Inc. 875465106 Feb 2026 33,880 -5,580 $1.2M -16.4% 0.15% EC
151 LAUREATE EDUCATION, INC. 518613203 Feb 2026 37,180 -7,270 $1.2M -17.3% 0.15% EC
152 PHOTRONICS, INC. 719405102 Feb 2026 36,750 -9,150 $1.2M -30.8% 0.15% EC
153 GFL ENVIRONMENTAL INC. 36168Q104 Feb 2026 35,237 -6,251 $1.2M -35.5% 0.15% EC
154 U. S. PHYSICAL THERAPY, INC. 90337L108 Feb 2026 18,220 -3,232 $1.2M -34.2% 0.14% EC
155 BRIDGEBIO PHARMA, INC. 10806X102 Feb 2026 17,617 -18,693 $1.2M -51.6% 0.14% EC
156 HAMILTON LANE INCORPORATED 407497106 Feb 2026 13,293 -2,358 $1.2M -29.5% 0.14% EC
157 THE CHEFS' WAREHOUSE, INC. 163086101 Feb 2026 15,090 -4,080 $1.2M -15.6% 0.14% EC
158 MGM RESORTS INTERNATIONAL 552953101 Feb 2026 26,300 -1,300 $1.1M +12.9% 0.14% EC
159 ONE GAS, INC. 68235P108 Feb 2026 14,700 -2,610 $1.1M -24.5% 0.14% EC
160 UIPATH, INC. 90364P105 Feb 2026 95,300 -20,650 $1.1M -10.2% 0.14% EC
161 WINGSTOP INC. 974155103 Feb 2026 7,047 -1,251 $1.1M -48.6% 0.14% EC
162 COSTAR GROUP, INC. 22160N109 Feb 2026 34,253 -6,012 $1.1M -38.6% 0.14% EC
163 DOMINO'S PIZZA, INC. 25754A201 Feb 2026 3,549 -634 $1.1M -34.5% 0.14% EC
164 MOELIS & COMPANY 60786M105 Feb 2026 16,211 -11,254 $1.1M -33.1% 0.13% EC
165 MUELLER WATER PRODUCTS, INC. 624758108 Feb 2026 43,000 -7,920 $1.1M -28.9% 0.13% EC
166 DELUXE CORPORATION 248019101 Feb 2026 43,900 -54,820 $1.1M -61.1% 0.13% EC
167 JONES LANG LASALLE INCORPORATED 48020Q107 Feb 2026 3,770 -710 $1.1M -24.7% 0.13% EC
168 BRIXMOR PROPERTY GROUP INC. 11120U105 Feb 2026 34,700 -10,400 $1.1M -22.3% 0.13% EC
169 COVISTA INC. 00737L103 Feb 2026 8,968 -1,600 $1.1M +2.0% 0.13% EC
170 ANI PHARMACEUTICALS, INC. 00182C103 Feb 2026 13,080 -2,630 $1.0M -11.5% 0.13% EC
171 GETTY REALTY CORP. 374297109 Feb 2026 31,500 -2,500 $1.0M -8.2% 0.13% EC
172 REGENCY CENTERS CORPORATION 758849103 Feb 2026 13,240 -2,320 $1.0M -16.7% 0.13% EC
173 REGIONS FINANCIAL CORPORATION 7591EP100 Feb 2026 36,100 -27,500 $1.0M -42.9% 0.12% EC
174 SANMINA CORPORATION 801056102 Feb 2026 3,850 -8,050 $1000K -45.9% 0.12% EC
175 CALIX, INC. 13100M509 Feb 2026 24,200 -5,250 $962K -36.9% 0.12% EC
176 HUNTINGTON INGALLS INDUSTRIES, INC. 446413106 Feb 2026 3,100 -5,920 $955K -76.2% 0.12% EC
177 CASELLA WASTE SYSTEMS, INC. 147448104 Feb 2026 11,588 -5,457 $952K -40.0% 0.12% EC
178 UFP INDUSTRIES, INC. 90278Q108 Feb 2026 11,402 -2,023 $924K -33.2% 0.11% EC
179 NATIONAL FUEL GAS COMPANY 636180101 Feb 2026 11,700 -4,200 $904K -37.6% 0.11% EC
180 NEWMARK GROUP, INC. 65158N102 Feb 2026 63,610 -10,760 $889K -17.7% 0.11% EC
181 THE GREENBRIER COMPANIES, INC. 393657101 Feb 2026 18,500 -4,400 $872K -32.5% 0.11% EC
182 PALOMAR HOLDINGS, INC. 69753M105 Feb 2026 7,810 -1,060 $836K -23.8% 0.10% EC
183 AUTONATION, INC. 05329W102 Feb 2026 4,400 -1,800 $826K -31.7% 0.10% EC
184 MIRION TECHNOLOGIES, INC. 60471A101 Feb 2026 44,230 -42,930 $809K -57.1% 0.10% EC
185 EPAM SYSTEMS, INC. 29414B104 Feb 2026 7,592 -1,333 $778K -38.2% 0.10% EC
186 ADEIA INC. 00676P107 Feb 2026 28,900 -38,000 $772K -44.2% 0.10% EC
187 PHIBRO ANIMAL HEALTH CORPORATION 71742Q106 Feb 2026 24,500 -4,500 $754K -52.3% 0.09% EC
188 HUBSPOT, INC. 443573100 Feb 2026 3,319 -583 $732K -29.1% 0.09% EC
189 GATES INDUSTRIAL CORPORATION PLC G39108108 Feb 2026 27,000 -17,800 $700K -43.3% 0.09% EC
190 SUPERNUS PHARMACEUTICALS, INC. 868459108 Feb 2026 14,726 -10,154 $680K -50.1% 0.08% EC
191 Essent Group Ltd. G3198U102 Feb 2026 11,500 -6,100 $666K -37.8% 0.08% EC
192 OLD REPUBLIC INTERNATIONAL CORPORATION 680223104 Feb 2026 17,600 -20,500 $655K -59.9% 0.08% EC
193 MARKETAXESS HOLDINGS INC. 57060D108 Feb 2026 4,979 -874 $647K -42.4% 0.08% EC
194 OSI SYSTEMS, INC. 671044105 Feb 2026 2,966 -9,300 $643K -81.6% 0.08% EC
195 SUNCOKE ENERGY, INC. 86722A103 Feb 2026 69,900 -100,700 $630K -35.2% 0.08% EC
196 CNH Industrial N.V. N20944109 Feb 2026 60,600 -109,400 $619K -70.4% 0.08% EC
197 BWX TECHNOLOGIES, INC. 05605H100 Feb 2026 2,922 -518 $572K -19.2% 0.07% EC
198 Crane Co 224408104 Feb 2026 3,105 -7,528 $568K -73.4% 0.07% EC
199 MERIT MEDICAL SYSTEMS, INC. 589889104 Feb 2026 6,522 -908 $411K -28.3% 0.05% EC
200 INSMED INCORPORATED 457669307 Feb 2026 2,976 -4,174 $318K -70.2% 0.04% EC
201 AMNEAL PHARMACEUTICALS, INC. 03168L105 Feb 2026 22,372 -75,268 $295K -78.1% 0.04% EC
202 FS KKR CAPITAL CORP. 302635206 Feb 2026 25,700 -10,100 $279K -27.7% 0.03% EC
203 NCR ATLEOS CORPORATION 63001N106 Feb 2026 5,400 -2,700 $241K -32.9% 0.03% EC