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Holdings (Monthly) Guide ↗

First Trust Multi Cap Growth AlphaDEX Fund

· First Trust Exchange-Traded AlphaDEX Fund
Monthly Holdings $581M AUM 906 positions Period Jul 2026 Filed Sep 22, 2026 EDGAR ↗ ← All Funds
All 252 New 277 Added 147 Reduced 228 Exited · Jul 2026 vs Jan 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 DAIWA CAPITAL MARKETS AMERICA INC. 000000000 Jan 2026 3,311,703 +3,271,542 $3.3M +959.9% 0.57% RA
2 INCYTE CORP INCY Jul 2026 24,639 NEW $2.9M 0.51% EC
3 FORTINET INC FTNT Jul 2026 18,183 NEW $2.9M 0.51% EC
4 DATADOG INC DDOG Jan 2026 10,727 +5,468 $2.9M +322.7% 0.50% EC
5 EBAY INC EBAY Jan 2026 24,995 +8,572 $2.8M +90.2% 0.49% EC
6 INTERACTIVE BROKERS GROUP INC IBKR Jan 2026 32,088 +9,844 $2.8M +69.5% 0.49% EC
7 MORGAN STANLEY MS Jan 2026 13,361 +3,288 $2.8M +52.7% 0.49% EC
8 EMCOR GROUP INC EME Jan 2026 3,364 +440 $2.7M +27.3% 0.46% EC
9 CINCINNATI FINANCIAL CORP CINF Jul 2026 15,084 NEW $2.7M 0.46% EC
10 UNITED RENTALS INC URI Jan 2026 2,465 +1,175 $2.7M +163.7% 0.46% EC
11 ROSS STORES INC ROST Jul 2026 10,499 NEW $2.6M 0.46% EC
12 DELL TECHNOLOGIES INC DELL Jul 2026 6,475 NEW $2.6M 0.45% EC
13 ILLUMINA INC ILMN Jul 2026 12,709 NEW $2.6M 0.45% EC
14 QUANTA SERVICES INC PWR Jan 2026 3,881 -354 $2.6M +28.9% 0.45% EC
15 ANALOG DEVICES INC ADI Jul 2026 7,034 NEW $2.6M 0.45% EC
16 KEYSIGHT TECHNOLOGIES INC KEYS Jul 2026 7,980 NEW $2.5M 0.44% EC
17 AMPHENOL CORP APH Jan 2026 15,839 +2,608 $2.5M +33.5% 0.44% EC
18 CUMMINS INC CMI Jul 2026 3,916 NEW $2.5M 0.43% EC
19 SEAGATE TECHNOLOGY HOLDINGS PLC STX Jan 2026 2,895 NEW $2.5M 0.43% EC
20 MEDPACE HOLDINGS INC MEDP Jan 2026 4,220 +2,649 $2.4M +166.1% 0.42% EC
21 COMFORT SYSTEMS USA INC FIX Jan 2026 1,408 -507 $2.4M +11.4% 0.42% EC
22 TALEN ENERGY CORP TLN Jan 2026 7,268 +2,499 $2.4M +46.2% 0.42% EC
23 WESTERN DIGITAL CORP WDC Jul 2026 4,371 NEW $2.4M 0.41% EC
24 ARISTA NETWORKS INC ANET Jan 2026 13,154 +5,181 $2.4M +109.9% 0.41% EC
25 WOODWARD INC WWD Jan 2026 6,564 +648 $2.4M +25.9% 0.41% EC
26 CARPENTER TECHNOLOGY CORP CRS Jan 2026 4,529 +2,287 $2.4M +230.3% 0.41% EC
27 NORTHERN TRUST CORP NTRS Jan 2026 12,853 +2,379 $2.3M +49.6% 0.41% EC
28 LUMENTUM HOLDINGS INC LITE Jan 2026 3,257 +863 $2.3M +147.9% 0.40% EC
29 WELLTOWER INC WELL Jan 2026 9,844 +2,138 $2.3M +59.0% 0.40% EC
30 MONOLITHIC POWER SYSTEMS INC MPWR Jan 2026 1,618 +40 $2.3M +30.1% 0.40% EC
31 ADVANCED MICRO DEVICES INC AMD Jan 2026 4,807 -3,541 $2.3M +15.8% 0.40% EC
32 GOLDMAN SACHS GROUP INC (THE) GS Jan 2026 2,209 +173 $2.2M +18.1% 0.39% EC
33 MONSTER BEVERAGE CORP MNST Jan 2026 23,247 +4,589 $2.2M +48.7% 0.39% EC
34 CROWDSTRIKE HOLDINGS INC CRWD Jan 2026 11,712 +10,187 $2.2M +232.1% 0.39% EC
35 BOEING COMPANY (THE) BA Jan 2026 10,323 +5,512 $2.2M +98.4% 0.39% EC
36 ALPHABET INC GOOGL Jan 2026 6,252 +538 $2.2M +15.3% 0.39% EC
37 CISCO SYSTEMS INC CSCO Jan 2026 19,023 +452 $2.2M +51.7% 0.38% EC
38 NATERA INC NTRA Jan 2026 8,233 +428 $2.2M +22.2% 0.38% EC
39 EVERPURE INC P Jan 2026 28,359 +17,685 $2.2M +194.8% 0.38% EC
40 XPO INC XPO Jul 2026 10,886 NEW $2.2M 0.38% EC
41 EATON CORP PLC ETN Jan 2026 5,243 NEW $2.2M 0.38% EC
42 ROCKWELL AUTOMATION INC ROK Jan 2026 4,515 +838 $2.2M +39.8% 0.38% EC
43 F5 INC FFIV Jul 2026 5,371 NEW $2.2M 0.37% EC
44 GE AEROSPACE GE Jan 2026 5,979 +2,588 $2.2M +106.9% 0.37% EC
45 CIENA CORP CIEN Jan 2026 5,692 +1,920 $2.1M +126.0% 0.37% EC
46 ELI LILLY & COMPANY LLY Jan 2026 1,864 +200 $2.1M +24.1% 0.37% EC
47 CATERPILLAR INC CAT Jan 2026 2,624 -498 $2.1M +4.2% 0.37% EC
48 CURTISS-WRIGHT CORP CW Jan 2026 2,950 +355 $2.1M +25.3% 0.37% EC
49 FTAI AVIATION LTD FTAI Jan 2026 10,325 NEW $2.1M 0.37% EC
50 CREDO TECHNOLOGY GROUP HOLDING LTD CRDO Jan 2026 10,271 NEW $2.1M 0.37% EC
51 ATI INC ATI Jan 2026 11,337 +3,650 $2.1M +129.8% 0.37% EC
52 TERADYNE INC TER Jul 2026 5,774 NEW $2.1M 0.37% EC
53 WEST PHARMACEUTICAL SERVICES INC WST Jul 2026 6,225 NEW $2.1M 0.37% EC
54 VERTIV HOLDINGS COMPANY VRT Jan 2026 8,341 -2,695 $2.0M -1.9% 0.35% EC
55 FIRST SOLAR INC FSLR Jan 2026 9,468 +2,622 $2.0M +29.4% 0.35% EC
56 MICRON TECHNOLOGY INC MU Jul 2026 2,418 NEW $2.0M 0.34% EC
57 RBC BEARINGS INC RBC Jan 2026 3,469 +2,289 $1.9M +224.4% 0.33% EC
58 BLOOM ENERGY CORP BE Jan 2026 9,225 -927 $1.9M +23.5% 0.33% EC
59 BURLINGTON STORES INC BURL Jan 2026 5,152 +200 $1.9M +29.6% 0.33% EC
60 GE VERNOVA INC GEV Jan 2026 1,901 -835 $1.9M -5.3% 0.33% EC
61 SNOWFLAKE INC SNOW Jan 2026 6,412 +1,650 $1.9M +104.9% 0.33% EC
62 MKS INC MKSI Jul 2026 6,281 NEW $1.9M 0.32% EC
63 SOMNIGROUP INTERNATIONAL INC SGI Jul 2026 28,499 NEW $1.9M 0.32% EC
64 AMAZON.COM INC AMZN Jan 2026 6,848 +652 $1.9M +25.4% 0.32% EC
65 CLOUDFLARE INC NET Jan 2026 6,654 +1,356 $1.9M +97.6% 0.32% EC
66 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC MTSI Jan 2026 7,345 +2,195 $1.8M +63.7% 0.32% EC
67 ASTERA LABS INC ALAB Jan 2026 5,784 -495 $1.8M +90.3% 0.31% EC
68 MASTEC INC MTZ Jan 2026 6,715 -1,512 $1.8M -10.7% 0.31% EC
69 WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP WAB Jan 2026 6,052 +1,158 $1.8M +56.3% 0.30% EC
70 MARVELL TECHNOLOGY INC MRVL Jan 2026 9,377 -2,916 $1.8M +81.3% 0.30% EC
71 CH ROBINSON WORLDWIDE INC CHRW Jul 2026 11,863 NEW $1.8M 0.30% EC
72 APPLE INC AAPL Jan 2026 5,641 +1,800 $1.7M +74.8% 0.30% EC
73 AIRBNB INC ABNB Jan 2026 11,403 +3,706 $1.7M +73.5% 0.30% EC
74 FORD MOTOR CO F Jul 2026 117,391 NEW $1.7M 0.30% EC
75 VENTAS INC VTR Jan 2026 18,377 +4,875 $1.7M +63.9% 0.30% EC
76 HOWMET AEROSPACE INC HWM Jan 2026 6,068 -908 $1.7M +18.0% 0.30% EC
77 NEXTPOWER INC NXT Jan 2026 18,756 +8,628 $1.7M +42.1% 0.29% EC
78 LIBERTY MEDIA CORP FWONK Jan 2026 17,150 +13,616 $1.7M +447.2% 0.29% EC
79 BROADCOM INC AVGO Jan 2026 4,321 +189 $1.7M +22.9% 0.29% EC
80 SIMON PROPERTY GROUP INC SPG Jan 2026 7,297 +5,417 $1.7M +365.4% 0.29% EC
81 MERCK & COMPANY INC MRK Jul 2026 12,700 NEW $1.7M 0.29% EC
82 JOHNSON & JOHNSON JNJ Jul 2026 6,425 NEW $1.6M 0.29% EC
83 MARRIOTT INTERNATIONAL INC MAR Jan 2026 4,404 -207 $1.6M +12.9% 0.28% EC
84 MONGODB INC MDB Jan 2026 4,857 +596 $1.6M +3.6% 0.28% EC
85 JOHNSON CONTROLS INTERNATIONAL PLC JCI Jan 2026 11,167 NEW $1.6M 0.28% EC
86 NEWMONT CORP NEM Jan 2026 17,469 -438 $1.6M -18.6% 0.28% EC
87 NVIDIA CORP NVDA Jan 2026 8,153 +482 $1.6M +11.6% 0.28% EC
88 ROYAL CARIBBEAN CRUISES LTD RCL Jan 2026 5,141 NEW $1.6M 0.28% EC
89 HEICO CORP HEI Jan 2026 4,582 +1,354 $1.6M +52.9% 0.28% EC
90 AMETEK INC AME Jan 2026 6,744 +1,655 $1.6M +43.0% 0.28% EC
91 FREEPORT-MCMORAN INC FCX Jul 2026 25,947 NEW $1.6M 0.28% EC
92 NORDSON CORP NDSN Jul 2026 5,409 NEW $1.6M 0.28% EC
93 PALO ALTO NETWORKS INC PANW Jul 2026 4,785 NEW $1.6M 0.27% EC
94 HILTON WORLDWIDE HOLDINGS INC HLT Jan 2026 4,936 -45 $1.6M +6.4% 0.27% EC
95 CARDINAL HEALTH INC CAH Jul 2026 6,869 NEW $1.6M 0.27% EC
96 PROGRESSIVE CORP (THE) PGR Jan 2026 7,472 +4,332 $1.6M +141.9% 0.27% EC
97 APPLIED MATERIALS INC AMAT Jul 2026 3,090 NEW $1.6M 0.27% EC
98 CARVANA COMPANY CVNA Jan 2026 24,793 +20,557 $1.5M -9.0% 0.27% EC
99 API GROUP CORP APG Jan 2026 38,532 -8,204 $1.5M -21.3% 0.26% EC
100 TENET HEALTHCARE CORP THC Jul 2026 5,973 NEW $1.5M 0.26% EC
101 TRANE TECHNOLOGIES PLC TT Jan 2026 3,323 NEW $1.5M 0.26% EC
102 LAM RESEARCH CORP LRCX Jan 2026 5,157 -5,288 $1.5M -38.0% 0.26% EC
103 ETSY INC ETSY Jan 2026 18,291 +8,744 $1.5M +195.5% 0.26% EC
104 SANDISK CORP SNDK Jul 2026 1,226 NEW $1.5M 0.26% EC
105 COHERENT CORP COHR Jan 2026 5,665 -4,024 $1.5M -27.6% 0.26% EC
106 GUARDANT HEALTH INC GH Jan 2026 9,185 +549 $1.5M +51.1% 0.26% EC
107 PACS GROUP INC PACS Jul 2026 32,316 NEW $1.5M 0.26% EC
108 AST SPACEMOBILE INC ASTS Jan 2026 25,146 +13,000 $1.5M +9.8% 0.26% EC
109 CADENCE DESIGN SYSTEMS INC CDNS Jan 2026 4,348 +3,233 $1.5M +347.4% 0.26% EC
110 HUBBELL INC HUBB Jan 2026 3,121 +769 $1.5M +28.5% 0.26% EC
111 VICTORIA'S SECRET & COMPANY VSCO Jul 2026 16,506 NEW $1.5M 0.25% EC
112 AMNEAL PHARMACEUTICALS INC AMRX Jan 2026 79,605 +39,215 $1.5M +163.9% 0.25% EC
113 ENOVA INTERNATIONAL INC ENVA Jan 2026 5,724 +2,487 $1.5M +172.1% 0.25% EC
114 CORCEPT THERAPEUTICS INC CORT Jul 2026 12,677 NEW $1.5M 0.25% EC
115 ROCKET LAB CORP RKLB Jan 2026 21,982 -3,650 $1.4M -30.4% 0.25% EC
116 BWX TECHNOLOGIES INC BWXT Jan 2026 8,383 +4,301 $1.4M +68.6% 0.24% EC
117 IES HOLDINGS INC IESC Jan 2026 1,877 -390 $1.4M +62.1% 0.24% EC
118 TUTOR PERINI CORP TPC Jan 2026 16,609 +9,015 $1.4M +132.2% 0.24% EC
119 DEXCOM INC DXCM Jan 2026 16,587 +11,341 $1.4M +261.2% 0.24% EC
120 GARMIN LTD GRMN Jan 2026 4,705 NEW $1.4M 0.24% EC
121 COCA-COLA CONSOLIDATED INC COKE Jul 2026 7,219 NEW $1.4M 0.23% EC
122 KLA CORP KLAC Jan 2026 7,408 +6,231 $1.4M -19.4% 0.23% EC
123 MADISON SQUARE GARDEN SPORTS CORP MSGS Jan 2026 3,427 +2,062 $1.3M +248.6% 0.23% EC
124 GLAUKOS CORP GKOS Jan 2026 7,886 +3,197 $1.3M +134.9% 0.23% EC
125 TG THERAPEUTICS INC TGTX Jan 2026 25,080 +19,161 $1.3M +649.1% 0.23% EC
126 QUALCOMM INC QCOM Jul 2026 8,830 NEW $1.3M 0.23% EC
127 TOAST INC TOST Jan 2026 40,158 +10,741 $1.3M +41.6% 0.22% EC
128 FRONTDOOR INC FTDR Jan 2026 17,760 +8,586 $1.3M +137.9% 0.22% EC
129 H & R BLOCK INC HRB Jul 2026 28,946 NEW $1.3M 0.22% EC
130 COMPASS INC COMP Jul 2026 111,755 NEW $1.3M 0.22% EC
131 MOOG INC MOG/A Jul 2026 3,253 NEW $1.3M 0.22% EC
132 RTX CORP RTX Jan 2026 5,887 -3,863 $1.3M -35.3% 0.22% EC
133 KRYSTAL BIOTECH INC KRYS Jan 2026 3,708 +130 $1.3M +26.6% 0.22% EC
134 QXO INC QXO Jan 2026 94,430 +57,845 $1.3M +54.8% 0.22% EC
135 CIPHER DIGITAL INC CIFR Jan 2026 56,243 +21,762 $1.3M +128.1% 0.22% EC
136 CYTOKINETICS INC CYTK Jan 2026 16,176 +2,294 $1.2M +42.2% 0.22% EC
137 COGNEX CORP CGNX Jul 2026 19,027 NEW $1.2M 0.21% EC
138 LANTHEUS HOLDINGS INC LNTH Jan 2026 12,420 +7,118 $1.2M +248.8% 0.21% EC
139 INVESCO LTD IVZ Jan 2026 41,771 NEW $1.2M 0.21% EC
140 CRINETICS PHARMACEUTICALS INC CRNX Jan 2026 14,730 +12,584 $1.2M +1047.9% 0.21% EC
141 AXSOME THERAPEUTICS INC AXSM Jan 2026 5,628 +797 $1.2M +37.8% 0.21% EC
142 LIFE TIME GROUP HOLDINGS INC LTH Jan 2026 26,990 +7,079 $1.2M +109.6% 0.21% EC
143 3M COMPANY MMM Jul 2026 6,902 NEW $1.2M 0.21% EC
144 ARCHROCK INC AROC Jan 2026 33,847 +6,727 $1.2M +50.8% 0.21% EC
145 ZETA GLOBAL HOLDINGS CORP ZETA Jan 2026 56,013 +36,007 $1.2M +225.5% 0.21% EC
146 CORNING INC GLW Jul 2026 8,749 NEW $1.2M 0.21% EC
147 JP MORGAN CHASE & COMPANY JPM Jan 2026 3,413 -1,028 $1.2M -11.6% 0.21% EC
148 AFFILIATED MANAGERS GROUP INC AMG Jul 2026 3,258 NEW $1.2M 0.21% EC
149 MUELLER INDUSTRIES INC MLI Jul 2026 17,936 NEW $1.2M 0.21% EC
150 AMGEN INC AMGN Jan 2026 3,086 -2,375 $1.2M -36.3% 0.21% EC
151 DOORDASH INC DASH Jan 2026 6,054 +2,897 $1.2M +83.8% 0.21% EC
152 APOLLO GLOBAL MANAGEMENT INC APO Jan 2026 9,443 +4,502 $1.2M +78.4% 0.21% EC
153 LAS VEGAS SANDS CORP LVS Jan 2026 24,188 -3,284 $1.2M -18.4% 0.20% EC
154 VIASAT INC VSAT Jul 2026 15,345 NEW $1.2M 0.20% EC
155 BRIGHTSPRING HEALTH SERVICES INC BTSG Jan 2026 19,759 +6,171 $1.2M +121.1% 0.20% EC
156 COREWEAVE INC CRWV Jul 2026 16,392 NEW $1.2M 0.20% EC
157 TAPESTRY INC TPR Jan 2026 7,632 -6,364 $1.2M -34.5% 0.20% EC
158 LAUREATE EDUCATION INC LAUR Jan 2026 30,352 +18,259 $1.2M +180.3% 0.20% EC
159 HALOZYME THERAPEUTICS INC HALO Jan 2026 14,085 +3,599 $1.2M +54.6% 0.20% EC
160 TJX COMPANIES INC (THE) TJX Jan 2026 7,374 -1,938 $1.2M -16.8% 0.20% EC
161 VALMONT INDUSTRIES INC VMI Jul 2026 2,386 NEW $1.1M 0.20% EC
162 OKTA INC OKTA Jan 2026 8,078 +4,052 $1.1M +237.1% 0.20% EC
163 RYMAN HOSPITALITY PROPERTIES INC RHP Jan 2026 8,574 +4,845 $1.1M +224.5% 0.20% EC
164 ARROWHEAD PHARMACEUTICALS INC ARWR Jan 2026 13,526 +5,862 $1.1M +115.5% 0.20% EC
165 TE CONNECTIVITY PLC TEL Jan 2026 5,542 NEW $1.1M 0.20% EC
166 EASTERN BANKSHARES INC EBC Jul 2026 49,567 NEW $1.1M 0.20% EC
167 HEXCEL CORP HXL Jul 2026 11,017 NEW $1.1M 0.20% EC
168 IMMUNITYBIO INC IBRX Jul 2026 157,387 NEW $1.1M 0.20% EC
169 PARKER-HANNIFIN CORP PH Jan 2026 1,142 -485 $1.1M -26.8% 0.19% EC
170 ABBVIE INC ABBV Jul 2026 4,438 NEW $1.1M 0.19% EC
171 AMERICAN EXPRESS COMPANY AXP Jan 2026 3,301 -1,533 $1.1M -34.8% 0.19% EC
172 FASTENAL COMPANY FAST Jan 2026 23,260 +14,583 $1.1M +195.0% 0.19% EC
173 ITT INC ITT Jan 2026 5,651 +1,584 $1.1M +49.4% 0.19% EC
174 CG ONCOLOGY INC CGON Jan 2026 15,514 +5,709 $1.1M +116.4% 0.19% EC
175 WALMART INC WMT Jan 2026 9,866 -2,974 $1.1M -28.3% 0.19% EC
176 ENERSYS ENS Jul 2026 5,895 NEW $1.1M 0.19% EC
177 TRAVEL PLUS LEISURE COMPANY TNL Jan 2026 14,423 +1,917 $1.1M +26.1% 0.19% EC
178 DYCOM INDUSTRIES INC DY Jan 2026 2,724 +114 $1.1M +14.9% 0.19% EC
179 NEUROCRINE BIOSCIENCES INC NBIX Jan 2026 6,541 +1,564 $1.1M +61.1% 0.19% EC
180 UBER TECHNOLOGIES INC UBER Jan 2026 15,484 +2,699 $1.1M +6.5% 0.19% EC
181 CARNIVAL CORP LTD CCL Jan 2026 39,106 NEW $1.1M 0.19% EC
182 TAKE-TWO INTERACTIVE SOFTWARE INC TTWO Jan 2026 4,470 +391 $1.1M +20.8% 0.19% EC
183 WILLIAMS COMPANIES INC (THE) WMB Jan 2026 15,030 +3,131 $1.1M +34.4% 0.19% EC
184 VERTEX PHARMACEUTICALS INC VRTX Jan 2026 2,250 -54 $1.1M -0.8% 0.19% EC
185 FEDERAL SIGNAL CORP FSS Jan 2026 8,579 +3,706 $1.1M +103.5% 0.19% EC
186 ADVANCED ENERGY INDUSTRIES INC AEIS Jul 2026 3,697 NEW $1.1M 0.19% EC
187 UNITED THERAPEUTICS CORP UTHR Jul 2026 2,063 NEW $1.1M 0.18% EC
188 VIAVI SOLUTIONS INC VIAV Jul 2026 28,857 NEW $1.1M 0.18% EC
189 EDWARDS LIFESCIENCES CORP EW Jan 2026 12,350 +3,961 $1.1M +55.7% 0.18% EC
190 GALAXY DIGITAL INC GLXY Jul 2026 50,400 NEW $1.1M 0.18% EC
191 GRANITE CONSTRUCTION INC GVA Jan 2026 8,715 +1,068 $1.1M +14.2% 0.18% EC
192 JBT MAREL CORP JBTM Jan 2026 7,604 +1,751 $1.1M +14.4% 0.18% EC
193 AXON ENTERPRISE INC AXON Jul 2026 1,994 NEW $1.1M 0.18% EC
194 BRINKER INTERNATIONAL INC EAT Jan 2026 4,921 +1,234 $1.1M +80.8% 0.18% EC
195 RALPH LAUREN CORP RL Jan 2026 2,748 +253 $1.0M +18.5% 0.18% EC
196 EVERUS CONSTRUCTION GROUP INC ECG Jan 2026 8,304 -2,005 $1.0M +14.2% 0.18% EC
197 FIRSTCASH HOLDINGS INC FCFS Jan 2026 5,096 +669 $1.0M +37.7% 0.18% EC
198 MAPLEBEAR INC CART Jan 2026 23,282 +11,515 $1.0M +137.5% 0.18% EC
199 MODINE MANUFACTURING COMPANY MOD Jul 2026 5,161 NEW $1.0M 0.18% EC
200 EVERCORE INC EVR Jan 2026 3,228 +635 $1.0M +13.0% 0.18% EC
201 HECLA MINING COMPANY HL Jan 2026 72,406 +26,438 $1.0M -1.2% 0.18% EC
202 VULCAN MATERIALS COMPANY VMC Jan 2026 3,787 +1,280 $1.0M +35.0% 0.18% EC
203 RIOT PLATFORMS INC RIOT Jan 2026 50,327 +8,552 $1.0M +57.1% 0.18% EC
204 APPLIED DIGITAL CORP APLD Jan 2026 36,940 +24,723 $1.0M +144.4% 0.18% EC
205 DUTCH BROS INC BROS Jan 2026 15,352 +6,708 $1.0M +115.0% 0.18% EC
206 SANMINA CORP SANM Jul 2026 5,443 NEW $1.0M 0.17% EC
207 TKO GROUP HOLDINGS INC TKO Jan 2026 5,549 +2,172 $1.0M +47.5% 0.17% EC
208 FIVE BELOW INC FIVE Jan 2026 4,598 -87 $998K +11.2% 0.17% EC
209 MIRUM PHARMACEUTICALS INC MIRM Jan 2026 9,414 +2,972 $997K +50.0% 0.17% EC
210 ESCO TECHNOLOGIES INC ESE Jan 2026 3,149 +441 $993K +60.7% 0.17% EC
211 HYATT HOTELS CORP H Jan 2026 5,686 +1,284 $990K +43.8% 0.17% EC
212 SITIME CORP SITM Jan 2026 1,847 -651 $989K +9.0% 0.17% EC
213 RHYTHM PHARMACEUTICALS INC RYTM Jan 2026 9,930 +1,689 $986K +16.7% 0.17% EC
214 TERAWULF INC WULF Jan 2026 55,789 +20,355 $985K +108.0% 0.17% EC
215 ARGAN INC AGX Jan 2026 1,724 +100 $983K +74.5% 0.17% EC
216 DROPBOX INC DBX Jan 2026 30,098 +17,406 $980K +203.0% 0.17% EC
217 STERLING INFRASTRUCTURE INC STRL Jan 2026 1,642 -86 $980K +58.4% 0.17% EC
218 AFFIRM HOLDINGS INC AFRM Jan 2026 13,698 +4,089 $980K +69.1% 0.17% EC
219 RALLIANT CORP RAL Jul 2026 14,973 NEW $979K 0.17% EC
220 WATTS WATER TECHNOLOGIES INC WTS Jan 2026 2,818 +901 $974K +69.8% 0.17% EC
221 AAON INC AAON Jul 2026 10,860 NEW $967K 0.17% EC
222 ROBINHOOD MARKETS INC HOOD Jan 2026 11,142 +1,907 $964K +5.0% 0.17% EC
223 ACADIAN ASSET MANAGEMENT INC AAMI Jan 2026 11,114 +286 $961K +60.2% 0.17% EC
224 ACUITY INC AYI Jul 2026 2,925 NEW $961K 0.17% EC
225 CONSTRUCTION PARTNERS INC ROAD Jan 2026 9,280 +2,778 $959K +34.2% 0.17% EC
226 CHEFS' WAREHOUSE INC (THE) CHEF Jan 2026 8,271 +1,740 $954K +132.2% 0.17% EC
227 ACI WORLDWIDE INC ACIW Jan 2026 16,440 +9,059 $943K +194.5% 0.16% EC
228 ACUSHNET HOLDINGS CORP GOLF Jan 2026 9,302 +462 $942K +9.9% 0.16% EC
229 SENTINELONE INC S Jul 2026 48,718 NEW $929K 0.16% EC
230 ELF BEAUTY INC ELF Jul 2026 11,171 NEW $926K 0.16% EC
231 ECHOSTAR CORP SATS Jan 2026 11,009 +2,892 $926K +0.7% 0.16% EC
232 RINGCENTRAL INC RNG Jan 2026 16,315 +5,940 $907K +238.0% 0.16% EC
233 REDDIT INC RDDT Jan 2026 6,436 +213 $905K -19.3% 0.16% EC
234 FEDERATED HERMES INC FHI Jul 2026 14,974 NEW $898K 0.16% EC
235 BRIDGEBIO PHARMA INC BBIO Jan 2026 11,100 -431 $889K -0.2% 0.15% EC
236 INTERNATIONAL BUSINESS MACHINES CORP IBM Jan 2026 3,973 +446 $889K -17.9% 0.15% EC
237 ELANCO ANIMAL HEALTH INC ELAN Jul 2026 33,594 NEW $886K 0.15% EC
238 HIMS & HERS HEALTH INC HIMS Jan 2026 31,797 -376 $883K +1.3% 0.15% EC
239 TEXAS ROADHOUSE INC TXRH Jan 2026 4,279 +1,091 $879K +53.3% 0.15% EC
240 MERCURY SYSTEMS INC MRCY Jan 2026 9,011 +4,907 $875K +127.1% 0.15% EC
241 PRECIGEN INC PGEN Jul 2026 139,467 NEW $874K 0.15% EC
242 FIRST ADVANTAGE CORP FA Jan 2026 44,042 +23,423 $874K +213.9% 0.15% EC
243 QUALYS INC QLYS Jan 2026 6,012 +4,685 $870K +397.2% 0.15% EC
244 OSCAR HEALTH INC OSCR Jan 2026 27,872 +7,025 $870K +190.9% 0.15% EC
245 ATAIBECKLEY INC ATAI Jul 2026 120,679 NEW $866K 0.15% EC
246 HERC HOLDINGS INC HRI Jul 2026 5,770 NEW $866K 0.15% EC
247 AXOS FINANCIAL INC AX Jul 2026 8,490 NEW $861K 0.15% EC
248 ALIGNMENT HEALTHCARE INC ALHC Jan 2026 57,873 +32,104 $859K +48.0% 0.15% EC
249 CARETRUST REIT INC CTRE Jan 2026 20,489 +974 $859K +17.9% 0.15% EC
250 APPLOVIN CORP APP Jan 2026 2,167 +45 $858K -14.5% 0.15% EC
251 MATCH GROUP INC MTCH Jan 2026 21,729 +10,802 $856K +151.6% 0.15% EC
252 TTM TECHNOLOGIES INC TTMI Jan 2026 7,368 -5,417 $851K -32.3% 0.15% EC
253 NATIONAL HEALTHCARE CORP NHC Jul 2026 3,763 NEW $851K 0.15% EC
254 MACERICH COMPANY (THE) MAC Jan 2026 32,821 +23,264 $848K +368.8% 0.15% EC
255 MOELIS & COMPANY MC Jan 2026 12,639 +2,371 $848K +15.2% 0.15% EC
256 CHARLES RIVER LABORATORIES INTERNATIONAL INC CRL Jul 2026 3,646 NEW $848K 0.15% EC
257 LIQUIDIA CORP LQDA Jan 2026 9,970 -4,785 $839K +34.1% 0.15% EC
258 GATX CORP GATX Jan 2026 4,666 +1,544 $835K +47.0% 0.14% EC
259 NEOGENOMICS INC NEO Jul 2026 54,487 NEW $833K 0.14% EC
260 SOTERA HEALTH COMPANY SHC Jul 2026 46,576 NEW $832K 0.14% EC
261 ZURN ELKAY WATER SOLUTIONS CORP ZWS Jan 2026 16,363 +4,979 $826K +57.5% 0.14% EC
262 DIGITALOCEAN HOLDINGS INC DOCN Jan 2026 7,018 -3,559 $825K +41.1% 0.14% EC
263 ALLEGRO MICROSYSTEMS INC ALGM Jul 2026 19,791 NEW $821K 0.14% EC
264 LINCOLN ELECTRIC HOLDINGS INC LECO Jan 2026 3,112 +167 $813K +4.1% 0.14% EC
265 CHEESECAKE FACTORY INC (THE) CAKE Jan 2026 7,996 +3,964 $811K +247.0% 0.14% EC
266 STANDARDAERO INC SARO Jan 2026 27,642 +3,036 $810K +6.6% 0.14% EC
267 SUNRUN INC RUN Jul 2026 82,388 NEW $808K 0.14% EC
268 REMITLY GLOBAL INC RELY Jan 2026 35,473 +28,236 $808K +744.2% 0.14% EC
269 EXELIXIS INC EXEL Jan 2026 15,194 -908 $806K +21.0% 0.14% EC
270 CENTURY ALUMINUM COMPANY CENX Jul 2026 17,968 NEW $804K 0.14% EC
271 POWELL INDUSTRIES INC POWL Jan 2026 3,849 +2,572 $803K +41.8% 0.14% EC
272 VALVOLINE INC VVV Jul 2026 20,910 NEW $803K 0.14% EC
273 SEMTECH CORP SMTC Jul 2026 6,810 NEW $802K 0.14% EC
274 ENCORE CAPITAL GROUP INC ECPG Jul 2026 8,521 NEW $802K 0.14% EC
275 RELAY THERAPEUTICS INC RLAY Jul 2026 42,487 NEW $800K 0.14% EC
276 PITNEY BOWES INC PBI Jan 2026 45,373 +17,031 $795K +169.1% 0.14% EC
277 DAVE INC DAVE Jan 2026 2,134 +294 $795K +164.1% 0.14% EC
278 ROIVANT SCIENCES LTD ROIV Jan 2026 23,362 NEW $792K 0.14% EC
279 CRANE COMPANY CR Jan 2026 3,707 +1,794 $791K +126.5% 0.14% EC
280 NLIGHT INC LASR Jan 2026 11,418 -2,150 $786K +26.9% 0.14% EC
281 10X GENOMICS INC TXG Jul 2026 16,586 NEW $784K 0.14% EC
282 TRAVERE THERAPEUTICS INC TVTX Jan 2026 13,993 +673 $782K +88.9% 0.14% EC
283 CALUMET INC CLMT Jan 2026 17,655 -2,835 $780K +69.9% 0.14% EC
284 LIFESTANCE HEALTH GROUP INC LFST Jan 2026 74,225 +16,394 $778K +90.3% 0.13% EC
285 DT MIDSTREAM INC DTM Jan 2026 5,632 +1,210 $777K +39.5% 0.13% EC
286 CIMPRESS PLC CMPR Jan 2026 7,816 NEW $771K 0.13% EC
287 DUCOMMUN INC DCO Jul 2026 4,292 NEW $768K 0.13% EC
288 OPENLANE INC OPLN Jan 2026 19,277 +2,187 $766K +49.3% 0.13% EC
289 DIVERSIFIED HEALTHCARE TRUST DHC Jul 2026 85,480 NEW $761K 0.13% EC
290 WAYFAIR INC W Jan 2026 8,946 +162 $760K -16.5% 0.13% EC
291 RAMBUS INC RMBS Jan 2026 8,305 +624 $756K -13.5% 0.13% EC
292 IONQ INC IONQ Jan 2026 20,699 +16,768 $754K +379.9% 0.13% EC
293 HEALTHCARE SERVICES GROUP INC HCSG Jul 2026 32,369 NEW $754K 0.13% EC
294 ONTO INNOVATION INC ONTO Jul 2026 2,912 NEW $753K 0.13% EC
295 VICOR CORP VICR Jan 2026 3,630 -1,014 $753K +2.8% 0.13% EC
296 CLEANSPARK INC CLSK Jan 2026 54,635 +34,518 $752K +215.6% 0.13% EC
297 BOOT BARN HOLDINGS INC BOOT Jan 2026 5,034 +35 $750K -15.9% 0.13% EC
298 BLUE BIRD CORP BLBD Jan 2026 10,069 +3,695 $749K +133.6% 0.13% EC
299 KYMERA THERAPEUTICS INC KYMR Jan 2026 7,208 +1,975 $745K +95.9% 0.13% EC
300 RUBRIK INC RBRK Jan 2026 10,297 +7,991 $745K +477.5% 0.13% EC
301 UL SOLUTIONS INC ULS Jan 2026 8,117 -833 $744K +18.3% 0.13% EC
302 WILLIS LEASE FINANCE CORP WLFC Jan 2026 10,422 +8,214 $743K +84.7% 0.13% EC
303 SPX TECHNOLOGIES INC SPXC Jan 2026 3,374 -153 $741K +0.8% 0.13% EC
304 DXP ENTERPRISES INC DXPE Jan 2026 4,712 +1,003 $740K +53.4% 0.13% EC
305 DIGI INTERNATIONAL INC DGII Jan 2026 10,605 +1,200 $739K +82.5% 0.13% EC
306 FORMFACTOR INC FORM Jul 2026 6,891 NEW $732K 0.13% EC
307 ARCUS BIOSCIENCES INC RCUS Jul 2026 25,784 NEW $727K 0.13% EC
308 FEDERAL AGRICULTURAL MORTGAGE CORP AGM Jan 2026 3,193 +875 $727K +85.2% 0.13% EC
309 FLYWIRE CORP FLYW Jan 2026 45,244 +24,086 $724K +171.7% 0.13% EC
310 STAGWELL INC STGW Jul 2026 85,596 NEW $723K 0.13% EC
311 LIGAND PHARMACEUTICALS INC LGND Jan 2026 2,515 -177 $723K +39.8% 0.13% EC
312 INNOVEX INTERNATIONAL INC INVX Jul 2026 25,643 NEW $720K 0.12% EC
313 CIRRUS LOGIC INC CRUS Jul 2026 5,565 NEW $720K 0.12% EC
314 MADRIGAL PHARMACEUTICALS INC MDGL Jan 2026 1,538 +23 $719K -3.0% 0.12% EC
315 HINGE HEALTH INC HNGE Jul 2026 9,577 NEW $715K 0.12% EC
316 TWIST BIOSCIENCE CORP TWST Jan 2026 7,729 +1,311 $708K +168.4% 0.12% EC
317 XOMETRY INC XMTR Jan 2026 8,237 -322 $706K +44.4% 0.12% EC
318 CBL & ASSOCIATES PROPERTIES INC CBL Jul 2026 11,979 NEW $703K 0.12% EC
319 VSE CORP VSEC Jan 2026 3,616 +1,260 $703K +36.5% 0.12% EC
320 LOAR HOLDINGS INC LOAR Jul 2026 10,257 NEW $702K 0.12% EC
321 SHOALS TECHNOLOGIES GROUP INC SHLS Jul 2026 80,301 NEW $702K 0.12% EC
322 AVEANNA HEALTHCARE HOLDINGS INC AVAH Jul 2026 74,209 NEW $697K 0.12% EC
323 LUMEN TECHNOLOGIES INC LUMN Jan 2026 107,652 -5,878 $687K -31.4% 0.12% EC
324 PROGYNY INC PGNY Jan 2026 22,058 +2,242 $687K +45.2% 0.12% EC
325 ESTABLISHMENT LABS HOLDINGS INC ESTA Jan 2026 7,413 NEW $686K 0.12% EC
326 EZCORP INC EZPW Jul 2026 22,996 NEW $685K 0.12% EC
327 JOHN WILEY & SONS INC WLY Jul 2026 13,110 NEW $684K 0.12% EC
328 GARRETT MOTION INC GTX Jan 2026 21,941 -7,257 $683K +29.8% 0.12% EC
329 CUSTOM TRUCK ONE SOURCE INC CTOS Jan 2026 67,310 -3,375 $683K +52.9% 0.12% EC
330 PLANET LABS PBC PL Jan 2026 33,273 +7,465 $681K +5.7% 0.12% EC
331 ASTRONICS CORP ATRO Jan 2026 9,782 +401 $680K -4.3% 0.12% EC
332 CORE SCIENTIFIC INC CORZ Jul 2026 32,309 NEW $669K 0.12% EC
333 ADAPTIVE BIOTECHNOLOGIES CORP ADPT Jan 2026 29,650 -1,689 $669K +15.4% 0.12% EC
334 INNODATA INC INOD Jan 2026 10,518 +6,521 $661K +198.2% 0.11% EC
335 SPHERE ENTERTAINMENT COMPANY SPHR Jul 2026 4,594 NEW $658K 0.11% EC
336 SKYWARD SPECIALTY INSURANCE GROUP INC SKWD Jan 2026 10,899 +2,932 $653K +83.8% 0.11% EC
337 BEL FUSE INC BELFB Jan 2026 2,388 -612 $649K +7.6% 0.11% EC
338 XERIS BIOPHARMA HOLDINGS INC XERS Jul 2026 80,301 NEW $649K 0.11% EC
339 KAISER ALUMINUM CORP KALU Jul 2026 4,061 NEW $648K 0.11% EC
340 AUTOMATIC DATA PROCESSING INC ADP Jul 2026 2,431 NEW $648K 0.11% EC
341 GIGACLOUD TECHNOLOGY INC GCT Jan 2026 14,809 NEW $648K 0.11% EC
342 SEI INVESTMENTS COMPANY SEIC Jan 2026 6,285 +1,983 $647K +71.3% 0.11% EC
343 PAYCHEX INC PAYX Jul 2026 5,532 NEW $646K 0.11% EC
344 ADEIA INC ADEA Jan 2026 24,140 +6,774 $643K +104.8% 0.11% EC
345 NUTANIX INC NTNX Jul 2026 10,817 NEW $638K 0.11% EC
346 AMBARELLA INC AMBA Jan 2026 7,414 NEW $638K 0.11% EC
347 HUNTINGTON INGALLS INDUSTRIES INC HII Jul 2026 1,944 NEW $635K 0.11% EC
348 VITA COCO COMPANY INC (THE) COCO Jan 2026 9,617 +16 $634K +23.8% 0.11% EC
349 CSW INDUSTRIALS INC CSW Jan 2026 1,979 +175 $631K +29.6% 0.11% EC
350 PINTEREST INC PINS Jul 2026 26,209 NEW $629K 0.11% EC
351 ANAPTYSBIO INC ANAB Jul 2026 11,777 NEW $628K 0.11% EC
352 YETI HOLDINGS INC YETI Jul 2026 12,834 NEW $628K 0.11% EC
353 HASBRO INC HAS Jan 2026 6,674 -1,933 $627K -18.4% 0.11% EC
354 TEMPUS AI INC TEM Jan 2026 14,273 +8,297 $626K +75.2% 0.11% EC
355 ARES MANAGEMENT CORP ARES Jan 2026 4,888 +464 $626K -5.4% 0.11% EC
356 CALLAWAY GOLF COMPANY CALY Jul 2026 33,845 NEW $625K 0.11% EC
357 POLARIS INC PII Jul 2026 9,290 NEW $623K 0.11% EC
358 GITLAB INC GTLB Jul 2026 18,055 NEW $623K 0.11% EC
359 CHARLES SCHWAB CORP (THE) SCHW Jan 2026 5,897 -4,557 $621K -42.9% 0.11% EC
360 ULTA BEAUTY INC ULTA Jul 2026 1,205 NEW $618K 0.11% EC
361 BLACKROCK INC BLK Jul 2026 566 NEW $617K 0.11% EC
362 PJT PARTNERS INC PJT Jan 2026 3,652 +485 $615K +12.2% 0.11% EC
363 PROTAGONIST THERAPEUTICS INC PTGX Jan 2026 4,495 -166 $614K +61.1% 0.11% EC
364 LEMONADE INC LMND Jan 2026 12,711 +5,561 $614K -1.0% 0.11% EC
365 ENSIGN GROUP INC (THE) ENSG Jan 2026 3,440 -1,623 $613K -29.5% 0.11% EC
366 MP MATERIALS CORP MP Jan 2026 14,760 +4,283 $611K -0.8% 0.11% EC
367 TERRENO REALTY CORP TRNO Jan 2026 8,510 +2,499 $610K +64.8% 0.11% EC
368 ABERCROMBIE & FITCH COMPANY ANF Jul 2026 6,122 NEW $609K 0.11% EC
369 INTERFACE INC TILE Jul 2026 17,746 NEW $608K 0.11% EC
370 RESIDEO TECHNOLOGIES INC REZI Jan 2026 17,722 -7,397 $608K -29.4% 0.11% EC
371 ENCOMPASS HEALTH CORP EHC Jan 2026 5,455 +2,130 $606K +92.8% 0.10% EC
372 ZOOM COMMUNICATIONS INC ZM Jul 2026 6,302 NEW $605K 0.10% EC
373 METTLER-TOLEDO INTERNATIONAL INC MTD Jan 2026 427 -599 $605K -57.1% 0.10% EC
374 UNIQURE NV QURE Jan 2026 13,806 NEW $602K 0.10% EC
375 KKR & CO. INC KKR Jul 2026 5,926 NEW $601K 0.10% EC
376 MSA SAFETY INC MSA Jan 2026 3,157 +2,057 $601K +208.3% 0.10% EC
377 GUARDIAN PHARMACY SERVICES INC GRDN Jul 2026 15,189 NEW $600K 0.10% EC
378 CHIPOTLE MEXICAN GRILL INC CMG Jul 2026 15,998 NEW $595K 0.10% EC
379 AZZ INC AZZ Jan 2026 4,101 +1,306 $593K +70.8% 0.10% EC
380 MONARCH CASINO & RESORT INC MCRI Jan 2026 4,833 +2,707 $593K +204.9% 0.10% EC
381 TRANSUNION TRU Jan 2026 7,541 -799 $593K -10.0% 0.10% EC
382 AMENTUM HOLDINGS INC AMTM Jul 2026 26,664 NEW $592K 0.10% EC
383 BOOKING HOLDINGS INC BKNG Jan 2026 3,050 +2,855 $588K -39.7% 0.10% EC
384 AMERICAN HEALTHCARE REIT INC AHR Jan 2026 10,570 -4,426 $588K -16.5% 0.10% EC
385 COCA-COLA COMPANY (THE) KO Jan 2026 6,692 -3,539 $586K -23.4% 0.10% EC
386 PROTO LABS INC PRLB Jul 2026 7,803 NEW $586K 0.10% EC
387 PRIVIA HEALTH GROUP INC PRVA Jan 2026 24,716 +7,546 $585K +46.7% 0.10% EC
388 UNIVERSAL TECHNICAL INSTITUTE INC UTI Jan 2026 14,869 +7,078 $585K +169.6% 0.10% EC
389 AXOGEN INC AXGN Jul 2026 13,770 NEW $581K 0.10% EC
390 VISA INC V Jan 2026 1,585 -456 $580K -11.7% 0.10% EC
391 ONESPAWORLD HOLDINGS LTD OSW Jan 2026 22,518 NEW $580K 0.10% EC
392 DONALDSON COMPANY INC DCI Jul 2026 6,138 NEW $578K 0.10% EC
393 ESTEE LAUDER COMPANIES INC (THE) EL Jul 2026 6,888 NEW $578K 0.10% EC
394 FASTLY INC FSLY Jan 2026 25,491 -14,502 $578K +56.1% 0.10% EC
395 CECO ENVIRONMENTAL CORP CECO Jan 2026 8,761 +256 $577K +0.7% 0.10% EC
396 BROOKDALE SENIOR LIVING INC BKD Jan 2026 39,524 -7,643 $577K -18.4% 0.10% EC
397 RUSH STREET INTERACTIVE INC RSI Jan 2026 21,383 +5,963 $575K +111.2% 0.10% EC
398 PHILIP MORRIS INTERNATIONAL INC PM Jan 2026 3,008 -1,451 $574K -28.3% 0.10% EC
399 SEZZLE INC SEZL Jan 2026 3,706 -1,852 $574K +63.2% 0.10% EC
400 DIGITAL REALTY TRUST INC DLR Jul 2026 3,029 NEW $571K 0.10% EC
401 RADNET INC RDNT Jan 2026 8,938 +1,521 $570K +9.6% 0.10% EC
402 EMERSON ELECTRIC COMPANY EMR Jan 2026 3,799 -1,590 $569K -28.1% 0.10% EC
403 LAMAR ADVERTISING COMPANY LAMR Jan 2026 3,533 +745 $565K +58.0% 0.10% EC
404 FLOWSERVE CORP FLS Jan 2026 7,432 -5,281 $565K -43.2% 0.10% EC
405 TENABLE HOLDINGS INC TENB Jul 2026 17,245 NEW $563K 0.10% EC
406 GORMAN RUPP COMPANY (THE) GRC Jan 2026 6,932 -1,594 $563K +21.1% 0.10% EC
407 PHILLIPS EDISON & COMPANY INC PECO Jan 2026 13,242 +3,323 $563K +56.6% 0.10% EC
408 HCA HEALTHCARE INC HCA Jul 2026 1,395 NEW $562K 0.10% EC
409 KNOWLES CORP KN Jul 2026 15,330 NEW $561K 0.10% EC
410 WARBY PARKER INC WRBY Jan 2026 20,963 +16,379 $560K +378.5% 0.10% EC
411 ATMUS FILTRATION TECHNOLOGIES INC ATMU Jan 2026 10,811 +1,007 $558K -1.8% 0.10% EC
412 FLUTTER ENTERTAINMENT PLC FLUT Jan 2026 5,326 NEW $556K 0.10% EC
413 DYNATRACE INC DT Jul 2026 12,551 NEW $556K 0.10% EC
414 KITE REALTY GROUP TRUST KRG Jan 2026 19,420 +4,610 $556K +59.8% 0.10% EC
415 MSCI INC MSCI Jan 2026 969 +363 $555K +50.2% 0.10% EC
416 FEDERAL REALTY INVESTMENT TRUST FRT Jan 2026 4,466 +2,715 $554K +212.9% 0.10% EC
417 KIMCO REALTY CORP KIM Jul 2026 21,742 NEW $554K 0.10% EC
418 WASTE MANAGEMENT INC WM Jan 2026 2,442 -4,069 $553K -61.8% 0.10% EC
419 TANGO THERAPEUTICS INC TNGX Jul 2026 20,345 NEW $553K 0.10% EC
420 INHIBRX BIOSCIENCES INC INBX Jul 2026 6,714 NEW $551K 0.10% EC
421 BRIXMOR PROPERTY GROUP INC BRX Jan 2026 17,479 +10,751 $551K +205.6% 0.10% EC
422 GLOBUS MEDICAL INC GMED Jan 2026 6,977 -3,126 $550K -40.0% 0.10% EC
423 PERIMETER SOLUTIONS INC PRM Jan 2026 17,839 -646 $546K +13.0% 0.09% EC
424 ECOLAB INC ECL Jan 2026 1,952 -774 $542K -29.5% 0.09% EC
425 IONIS PHARMACEUTICALS INC IONS Jan 2026 10,429 -723 $540K -41.4% 0.09% EC
426 CINEMARK HOLDINGS INC CNK Jan 2026 14,749 +10,451 $540K +430.2% 0.09% EC
427 AGNC INVESTMENT CORP AGNC Jul 2026 50,567 NEW $539K 0.09% EC
428 NEXTERA ENERGY INC NEE Jul 2026 6,196 NEW $539K 0.09% EC
429 LIFE360 INC LIF Jan 2026 9,956 +4,455 $538K +70.7% 0.09% EC
430 META PLATFORMS INC META Jan 2026 964 -119 $537K -30.8% 0.09% EC
431 WISDOMTREE INC WT Jan 2026 27,623 +3,045 $535K +34.4% 0.09% EC
432 HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC HASI Jan 2026 14,114 +7,638 $534K +139.9% 0.09% EC
433 EQUINIX INC EQIX Jul 2026 521 NEW $531K 0.09% EC
434 ESSEX PROPERTY TRUST INC ESS Jul 2026 1,867 NEW $530K 0.09% EC
435 MYR GROUP INC MYRG Jan 2026 1,588 -275 $529K +13.6% 0.09% EC
436 WARNER MUSIC GROUP CORP WMG Jul 2026 20,360 NEW $529K 0.09% EC
437 O'REILLY AUTOMOTIVE INC ORLY Jan 2026 5,907 -1,934 $528K -31.6% 0.09% EC
438 STANDEX INTERNATIONAL CORP SXI Jan 2026 1,777 +399 $527K +59.3% 0.09% EC
439 ASTEC INDUSTRIES INC ASTE Jul 2026 10,394 NEW $527K 0.09% EC
440 NUVATION BIO INC NUVB Jul 2026 82,391 NEW $522K 0.09% EC
441 YUM! BRANDS INC YUM Jan 2026 3,402 -3,503 $521K -51.4% 0.09% EC
442 L3HARRIS TECHNOLOGIES INC LHX Jul 2026 1,873 NEW $519K 0.09% EC
443 PDF SOLUTIONS INC PDFS Jul 2026 11,229 NEW $518K 0.09% EC
444 AUTOZONE INC AZO Jan 2026 171 +68 $516K +35.2% 0.09% EC
445 DIANTHUS THERAPEUTICS INC DNTH Jul 2026 4,800 NEW $513K 0.09% EC
446 DRAFTKINGS INC DKNG Jan 2026 21,819 +11,715 $512K +84.3% 0.09% EC
447 TRANSDIGM GROUP INC TDG Jan 2026 407 +146 $511K +37.0% 0.09% EC
448 SOLARIS ENERGY INFRASTRUCTURE INC SEI Jan 2026 9,881 -1,190 $508K -16.9% 0.09% EC
449 APPLIED OPTOELECTRONICS INC AAOI Jan 2026 5,365 -6,313 $506K -0.6% 0.09% EC
450 BGC GROUP INC BGC Jan 2026 43,777 +10,227 $504K +65.0% 0.09% EC
451 SKYWEST INC SKYW Jan 2026 4,712 -2,315 $504K -25.7% 0.09% EC
452 COEUR MINING INC CDE Jan 2026 33,772 -5,808 $504K -37.8% 0.09% EC
453 A10 NETWORKS INC ATEN Jan 2026 17,022 +5,514 $503K +150.8% 0.09% EC
454 VERACYTE INC VCYT Jan 2026 10,829 +1,159 $502K +36.2% 0.09% EC
455 BANCORP INC (THE) TBBK Jan 2026 7,472 +1,442 $501K +39.8% 0.09% EC
456 ONDAS INC ONDS Jul 2026 66,891 NEW $501K 0.09% EC
457 TEXAS PACIFIC LAND CORP TPL Jul 2026 1,244 NEW $501K 0.09% EC
458 NRG ENERGY INC NRG Jul 2026 3,724 NEW $500K 0.09% EC
459 KODIAK GAS SERVICES INC KGS Jan 2026 8,464 +455 $497K +47.7% 0.09% EC
460 OUSTER INC OUST Jan 2026 12,716 +8,102 $496K +416.1% 0.09% EC
461 SOFI TECHNOLOGIES INC SOFI Jan 2026 30,338 -24,302 $495K -60.3% 0.09% EC
462 ORMAT TECHNOLOGIES INC ORA Jan 2026 5,060 -1,327 $494K -38.1% 0.09% EC
463 ACM RESEARCH INC ACMR Jan 2026 6,263 -6,637 $491K -34.5% 0.09% EC
464 ACV AUCTIONS INC ACVA Jul 2026 65,087 NEW $488K 0.08% EC
465 ADVANCED DRAINAGE SYSTEMS INC WMS Jul 2026 3,512 NEW $486K 0.08% EC
466 NORWEGIAN CRUISE LINE HOLDINGS LTD NCLH Jan 2026 26,108 NEW $484K 0.08% EC
467 VERICEL CORP VCEL Jan 2026 10,519 +7,745 $483K +384.4% 0.08% EC
468 SLIDE INSURANCE HOLDINGS INC SLDE Jul 2026 24,158 NEW $482K 0.08% EC
469 BRADY CORP BRC Jan 2026 5,110 -85 $482K +7.2% 0.08% EC
470 REALREAL INC (THE) REAL Jul 2026 39,692 NEW $480K 0.08% EC
471 ARCUTIS BIOTHERAPEUTICS INC ARQT Jan 2026 17,847 +321 $479K +7.8% 0.08% EC
472 RIVIAN AUTOMOTIVE INC RIVN Jan 2026 31,352 -59,367 $477K -64.3% 0.08% EC
473 PENNYMAC FINANCIAL SERVICES INC PFSI Jul 2026 6,326 NEW $477K 0.08% EC
474 SYNOPSYS INC SNPS Jul 2026 1,218 NEW $474K 0.08% EC
475 BEAM THERAPEUTICS INC BEAM Jan 2026 18,530 +11,186 $473K +133.1% 0.08% EC
476 HORACE MANN EDUCATORS CORP HMN Jul 2026 9,061 NEW $472K 0.08% EC
477 CURBLINE PROPERTIES CORP CURB Jan 2026 15,392 +2,485 $472K +50.7% 0.08% EC
478 ALUMIS INC ALMS Jul 2026 16,630 NEW $470K 0.08% EC
479 PRIMORIS SERVICES CORP PRIM Jan 2026 5,560 -1,546 $469K -55.4% 0.08% EC
480 DIME COMMERCIAL BANCSHARES INC DCOM Jul 2026 11,513 NEW $469K 0.08% EC
481 SENSIENT TECHNOLOGIES CORP SXT Jan 2026 3,794 -1,840 $469K -11.9% 0.08% EC
482 AMERICAN EAGLE OUTFITTERS INC AEO Jul 2026 27,209 NEW $467K 0.08% EC
483 NEWMARK GROUP INC NMRK Jul 2026 30,973 NEW $464K 0.08% EC
484 CLEAR SECURE INC YOU Jan 2026 8,396 -3,210 $464K +22.5% 0.08% EC
485 PTC THERAPEUTICS INC PTCT Jan 2026 6,756 -4,857 $459K -47.6% 0.08% EC
486 ATLANTA BRAVES HOLDINGS INC BATRK Jan 2026 9,017 +6,485 $458K +353.3% 0.08% EC
487 INGEVITY CORP NGVT Jan 2026 6,265 -613 $458K +1.2% 0.08% EC
488 CAVA GROUP INC CAVA Jan 2026 7,021 +4,016 $458K +151.4% 0.08% EC
489 COLLEGIUM PHARMACEUTICAL INC COLL Jul 2026 12,927 NEW $457K 0.08% EC
490 DORMAN PRODUCTS INC DORM Jan 2026 3,428 +565 $456K +28.4% 0.08% EC
491 OUTFRONT MEDIA INC OUT Jan 2026 14,286 -2,608 $455K +10.8% 0.08% EC
492 OPENDOOR TECHNOLOGIES INC OPEN Jul 2026 119,303 NEW $450K 0.08% EC
493 UFP TECHNOLOGIES INC UFPT Jan 2026 1,765 +414 $450K +32.5% 0.08% EC
494 PAYMENTUS HOLDINGS INC PAY Jan 2026 13,162 +3,677 $449K +77.0% 0.08% EC
495 ANI PHARMACEUTICALS INC ANIP Jan 2026 5,654 +497 $448K +6.1% 0.08% EC
496 NURIX THERAPEUTICS INC NRIX Jul 2026 19,290 NEW $448K 0.08% EC
497 MADISON SQUARE GARDEN ENTERTAINMENT CORP MSGE Jan 2026 5,786 -1,768 $447K -4.4% 0.08% EC
498 IDEAYA BIOSCIENCES INC IDYA Jul 2026 12,555 NEW $446K 0.08% EC
499 FLUENCE ENERGY INC FLNC Jul 2026 31,991 NEW $446K 0.08% EC
500 VARONIS SYSTEMS INC VRNS Jul 2026 11,153 NEW $446K 0.08% EC
501 BIGLARI HOLDINGS INC BH/A Jul 2026 224 NEW $445K 0.08% EC
502 AMPRIUS TECHNOLOGIES INC AMPX Jul 2026 45,884 NEW $440K 0.08% EC
503 TETRA TECHNOLOGIES INC TTI Jul 2026 56,131 NEW $432K 0.07% EC
504 CENTURI HOLDINGS INC CTRI Jan 2026 15,477 -647 $431K -3.2% 0.07% EC
505 MANNKIND CORP MNKD Jan 2026 109,855 +57,018 $430K +40.6% 0.07% EC
506 BIOCRYST PHARMACEUTICALS INC BCRX Jan 2026 46,799 -5,397 $420K +22.4% 0.07% EC
507 KESTRA MEDICAL TECHNOLOGIES LTD KMTS Jan 2026 18,396 NEW $420K 0.07% EC
508 XPEL INC XPEL Jul 2026 9,436 NEW $419K 0.07% EC
509 TERADATA CORP TDC Jan 2026 13,504 +129 $418K +9.7% 0.07% EC
510 MAXLINEAR INC MXL Jul 2026 6,211 NEW $415K 0.07% EC
511 TRIMAS CORP TRS Jul 2026 10,393 NEW $415K 0.07% EC
512 GRIFFON CORP GFF Jan 2026 4,797 -2,391 $413K -29.4% 0.07% EC
513 LEGALZOOM.COM INC LZ Jan 2026 51,872 +21,701 $408K +52.2% 0.07% EC
514 SYNDAX PHARMACEUTICALS INC SNDX Jul 2026 21,409 NEW $408K 0.07% EC
515 TAYSHA GENE THERAPIES INC TSHA Jul 2026 68,720 NEW $403K 0.07% EC
516 INTELLIA THERAPEUTICS INC NTLA Jul 2026 37,588 NEW $401K 0.07% EC
517 COMMVAULT SYSTEMS INC CVLT Jul 2026 3,300 NEW $389K 0.07% EC
518 NAVITAS SEMICONDUCTOR CORP NVTS Jan 2026 35,488 +6,976 $385K +57.5% 0.07% EC
519 PROGRESS SOFTWARE CORP PRGS Jan 2026 9,468 +4,729 $384K +98.2% 0.07% EC
520 GRINDR INC GRND Jul 2026 22,127 NEW $384K 0.07% EC
521 MARA HOLDINGS INC MARA Jul 2026 33,692 NEW $381K 0.07% EC
522 AGIOS PHARMACEUTICALS INC AGIO Jul 2026 12,610 NEW $379K 0.07% EC
523 BOX INC BOX Jan 2026 11,981 +6,084 $378K +152.9% 0.07% EC
524 PAYLOCITY HOLDING CORP PCTY Jul 2026 2,637 NEW $364K 0.06% EC
525 HAEMONETICS CORP HAE Jan 2026 4,239 -842 $363K +7.1% 0.06% EC
526 UPSTART HOLDINGS INC UPST Jan 2026 13,210 +9,177 $362K +129.0% 0.06% EC
527 AMYLYX PHARMACEUTICALS INC AMLX Jul 2026 17,705 NEW $360K 0.06% EC
528 FRESHWORKS INC FRSH Jan 2026 31,422 +14,805 $357K +99.2% 0.06% EC
529 T1 ENERGY INC TE Jul 2026 83,856 NEW $350K 0.06% EC
530 ULTRAGENYX PHARMACEUTICAL INC RARE Jul 2026 14,014 NEW $349K 0.06% EC
531 CITY HOLDING COMPANY CHCO Jan 2026 2,397 +689 $348K +65.4% 0.06% EC
532 SHIFT4 PAYMENTS INC FOUR Jan 2026 6,538 +3,737 $347K +109.5% 0.06% EC
533 BRINK'S COMPANY (THE) BCO Jul 2026 2,916 NEW $345K 0.06% EC
534 PELOTON INTERACTIVE INC PTON Jul 2026 53,804 NEW $344K 0.06% EC
535 COHEN & STEERS INC CNS Jul 2026 4,175 NEW $343K 0.06% EC
536 MORNINGSTAR INC MORN Jul 2026 1,766 NEW $340K 0.06% EC
537 MORGAN STANLEY INSTITUTIONAL LIQUIDITY FUNDS MISXX Jan 2026 338,154 -447,708 $338K -57.0% 0.06% STIV
538 MERIT MEDICAL SYSTEMS INC MMSI Jan 2026 3,974 -30 $338K +4.0% 0.06% EC
539 PALOMAR HOLDINGS INC PLMR Jan 2026 2,516 -506 $337K -9.9% 0.06% EC
540 GRAHAM HOLDINGS CO GHC Jul 2026 277 NEW $333K 0.06% EC
541 FIGS INC FIGS Jul 2026 31,082 NEW $333K 0.06% EC
542 SEACOAST BANKING CORP OF FLORIDA SBCF Jan 2026 9,564 +28 $332K +4.2% 0.06% EC
543 AMERICAN SUPERCONDUCTOR CORP AMSC Jan 2026 11,274 +7,804 $331K +218.9% 0.06% EC
544 AMERICAN STATES WATER COMPANY AWR Jan 2026 3,848 +1,040 $330K +60.9% 0.06% EC
545 NICOLET BANKSHARES INC NIC Jan 2026 1,925 +247 $329K +34.3% 0.06% EC
546 SMARTSTOP SELF STORAGE REIT INC SMA Jul 2026 9,783 NEW $328K 0.06% EC
547 TANGER INC SKT Jan 2026 8,057 +1,958 $328K +64.2% 0.06% EC
548 BANK FIRST CORP BFC Jan 2026 2,143 -316 $327K -4.6% 0.06% EC
549 SL GREEN REALTY CORP SLG Jul 2026 6,140 NEW $325K 0.06% EC
550 UIPATH INC PATH Jan 2026 25,351 -17,707 $323K -40.3% 0.06% EC
551 MAGNITE INC MGNI Jul 2026 16,754 NEW $323K 0.06% EC
552 DUOLINGO INC DUOL Jul 2026 2,396 NEW $323K 0.06% EC
553 RYAN SPECIALTY HOLDINGS INC RYAN Jan 2026 7,299 +3,881 $322K +95.3% 0.06% EC
554 AGILYSYS INC AGYS Jan 2026 3,041 +521 $320K +46.3% 0.06% EC
555 MONTE ROSA THERAPEUTICS INC GLUE Jul 2026 19,338 NEW $319K 0.06% EC
556 ALKAMI TECHNOLOGY INC ALKT Jul 2026 17,550 NEW $319K 0.06% EC
557 COVISTA INC CVSA Jan 2026 2,549 +843 $318K +80.1% 0.06% EC
558 INVENTRUST PROPERTIES CORP IVT Jan 2026 8,984 +1,769 $318K +50.0% 0.06% EC
559 ELASTIC NV ESTC Jan 2026 4,835 NEW $318K 0.06% EC
560 HCI GROUP INC HCI Jan 2026 1,815 +252 $318K +28.1% 0.06% EC
561 EOS ENERGY ENTERPRISES INC EOSE Jan 2026 93,737 +49,329 $317K -51.3% 0.05% EC
562 SAMSARA INC IOT Jan 2026 8,498 +3,520 $317K +126.8% 0.05% EC
563 ST. JOE COMPANY (THE) JOE Jan 2026 5,079 -1,779 $316K -30.4% 0.05% EC
564 RED ROCK RESORTS INC RRR Jan 2026 4,889 +52 $315K +3.2% 0.05% EC
565 URBAN EDGE PROPERTIES UE Jul 2026 13,899 NEW $315K 0.05% EC
566 DANA INC DAN Jan 2026 11,684 -9,735 $315K -49.2% 0.05% EC
567 SERVICE CORPORATION INTERNATIONAL SCI Jan 2026 3,630 -894 $313K -14.0% 0.05% EC
568 NOVOCURE LTD NVCR Jan 2026 20,989 NEW $311K 0.05% EC
569 CHIME FINANCIAL INC CHYM Jul 2026 13,458 NEW $309K 0.05% EC
570 ALLEGION PLC ALLE Jan 2026 1,961 NEW $309K 0.05% EC
571 ARDELYX INC ARDX Jan 2026 62,351 -24,941 $309K -54.0% 0.05% EC
572 HEALTHEQUITY INC HQY Jan 2026 3,050 +1,125 $307K +86.1% 0.05% EC
573 SCOTTS MIRACLE-GRO COMPANY (THE) SMG Jan 2026 4,668 +1,180 $307K +36.9% 0.05% EC
574 SUPERNUS PHARMACEUTICALS INC SUPN Jul 2026 6,839 NEW $305K 0.05% EC
575 IRADIMED CORP IRMD Jul 2026 3,328 NEW $302K 0.05% EC
576 HERBALIFE LTD HLF Jan 2026 24,182 NEW $300K 0.05% EC
577 ARMSTRONG WORLD INDUSTRIES INC AWI Jan 2026 1,717 -1,975 $300K -55.8% 0.05% EC
578 SABRA HEALTH CARE REIT INC SBRA Jan 2026 14,124 -4,505 $299K -14.3% 0.05% EC
579 TARSUS PHARMACEUTICALS INC TARS Jan 2026 5,052 -1,164 $298K -25.7% 0.05% EC
580 WD-40 COMPANY WDFC Jan 2026 1,306 +800 $297K +153.5% 0.05% EC
581 FIRST INDUSTRIAL REALTY TRUST INC FR Jan 2026 4,493 -4,750 $296K -44.8% 0.05% EC
582 AVIS BUDGET GROUP INC CAR Jan 2026 2,150 +775 $295K +86.9% 0.05% EC
583 CACI INTERNATIONAL INC CACI Jul 2026 593 NEW $295K 0.05% EC
584 NEW YORK TIMES COMPANY (THE) NYT Jan 2026 3,940 -8,766 $295K -68.3% 0.05% EC
585 ALEXANDER'S INC ALX Jan 2026 1,153 +696 $294K +162.7% 0.05% EC
586 OMEGA HEALTHCARE INVESTORS INC OHI Jan 2026 5,781 -2,176 $293K -16.2% 0.05% EC
587 STEPSTONE GROUP INC STEP Jan 2026 6,664 -4,332 $292K -62.4% 0.05% EC
588 IMPINJ INC PI Jan 2026 1,926 +911 $292K +108.0% 0.05% EC
589 HARROW INC HROW Jan 2026 7,488 -822 $290K -14.7% 0.05% EC
590 VIPER ENERGY INC VNOM Jul 2026 6,499 NEW $290K 0.05% EC
591 BRIGHT HORIZONS FAMILY SOLUTIONS LLC BFAM Jan 2026 3,889 +2,151 $290K +80.1% 0.05% EC
592 BIOMARIN PHARMACEUTICAL INC BMRN Jan 2026 4,814 -4,093 $289K -42.6% 0.05% EC
593 EASTGROUP PROPERTIES INC EGP Jan 2026 1,362 +372 $285K +58.3% 0.05% EC
594 WYNN RESORTS LTD WYNN Jan 2026 2,838 -3,028 $282K -55.3% 0.05% EC
595 ACADIA PHARMACEUTICALS INC ACAD Jan 2026 10,893 -22,133 $282K -66.0% 0.05% EC
596 REGENCY CENTERS CORP REG Jan 2026 3,457 +902 $278K +49.1% 0.05% EC
597 STAG INDUSTRIAL INC STAG Jan 2026 7,241 -2,358 $277K -23.1% 0.05% EC
598 CLOROX COMPANY CLX Jul 2026 2,888 NEW $276K 0.05% EC
599 WILLDAN GROUP INC WLDN Jan 2026 4,021 -888 $276K -55.5% 0.05% EC
600 CELSIUS HOLDINGS INC CELH Jan 2026 9,410 -2,161 $275K -54.7% 0.05% EC
601 BALCHEM CORP BCPC Jan 2026 1,632 -669 $273K -30.2% 0.05% EC
602 IRHYTHM HOLDINGS INC IRTC Jan 2026 2,317 -1,660 $271K -55.8% 0.05% EC
603 INTUITIVE MACHINES INC LUNR Jan 2026 21,877 +9,334 $270K +13.3% 0.05% EC
604 GODADDY INC GDDY Jul 2026 3,249 NEW $269K 0.05% EC
605 INSTALLED BUILDING PRODUCTS INC IBP Jul 2026 1,199 NEW $267K 0.05% EC
606 ANTERO MIDSTREAM CORP AM Jan 2026 12,113 +2,197 $266K +42.6% 0.05% EC
607 QUANTUM COMPUTING INC QUBT Jul 2026 32,780 NEW $266K 0.05% EC
608 A.O. SMITH CORP AOS Jul 2026 4,395 NEW $264K 0.05% EC
609 UDR INC UDR Jul 2026 6,905 NEW $263K 0.05% EC
610 OLLIE'S BARGAIN OUTLET HOLDINGS INC OLLI Jan 2026 3,585 +1,975 $263K +48.3% 0.05% EC
611 HURON CONSULTING GROUP INC HURN Jan 2026 1,728 -1,215 $262K -47.3% 0.05% EC
612 CHURCHILL DOWNS INC CHDN Jan 2026 3,075 -3,129 $259K -57.5% 0.04% EC
613 PAPA JOHN'S INTERNATIONAL INC PZZA Jan 2026 8,647 +6,052 $259K +183.3% 0.04% EC
614 PRAXIS PRECISION MEDICINES INC PRAX Jan 2026 823 -903 $253K -53.3% 0.04% EC
615 PURECYCLE TECHNOLOGIES INC PCT Jul 2026 39,207 NEW $250K 0.04% EC
616 NPK INTERNATIONAL INC NPKI Jul 2026 19,986 NEW $250K 0.04% EC
617 CARIS LIFE SCIENCES INC CAI Jul 2026 15,463 NEW $242K 0.04% EC
618 VOYAGER TECHNOLOGIES INC VOYG Jul 2026 9,862 NEW $242K 0.04% EC
619 PLUG POWER INC PLUG Jan 2026 117,335 +66,641 $242K +125.4% 0.04% EC
620 RED CAT HOLDINGS INC RCAT Jul 2026 29,858 NEW $225K 0.04% EC
621 ARRAY TECHNOLOGIES INC ARRY Jul 2026 42,912 NEW $224K 0.04% EC
622 JOBY AVIATION INC JOBY Jan 2026 30,894 NEW $221K 0.04% EC
623 ENOVIS CORP ENOV Jul 2026 7,537 NEW $220K 0.04% EC
624 RIGETTI COMPUTING INC RGTI Jan 2026 14,262 +6,296 $213K +47.3% 0.04% EC
625 ATRICURE INC ATRC Jan 2026 5,573 -4,718 $210K -44.6% 0.04% EC
626 D-WAVE QUANTUM INC QBTS Jul 2026 11,486 NEW $208K 0.04% EC
627 SPS COMMERCE INC SPSC Jul 2026 2,727 NEW $200K 0.03% EC
628 GOOSEHEAD INSURANCE INC GSHD Jul 2026 3,216 NEW $199K 0.03% EC
629 CRA INTERNATIONAL INC CRAI Jan 2026 1,095 -932 $196K -48.8% 0.03% EC
630 ASANA INC ASAN Jan 2026 22,286 +15,001 $185K +148.3% 0.03% EC
631 APPIAN CORP APPN Jan 2026 6,812 -4,684 $184K -42.7% 0.03% EC
632 ALARM.COM HOLDINGS INC ALRM Jan 2026 3,339 +1,381 $183K +91.4% 0.03% EC
633 AVEPOINT INC AVPT Jul 2026 13,916 NEW $181K 0.03% EC
634 NATIONAL VISION HOLDINGS INC EYE Jan 2026 8,205 -7,564 $181K -56.5% 0.03% EC
635 BRAZE INC BRZE Jan 2026 7,192 -1,544 $179K -1.5% 0.03% EC
636 ARTISAN PARTNERS ASSET MANAGEMENT INC APAM Jan 2026 4,519 -478 $177K -20.3% 0.03% EC
637 NCINO INC NCNO Jan 2026 9,539 +5,646 $176K +111.9% 0.03% EC
638 LXP INDUSTRIAL TRUST LXP Jul 2026 2,895 NEW $175K 0.03% EC
639 SHAKE SHACK INC SHAK Jul 2026 2,784 NEW $175K 0.03% EC
640 LUCID GROUP INC LCID Jul 2026 23,317 NEW $172K 0.03% EC
641 ALPHATEC HOLDINGS INC ATEC Jan 2026 18,033 -6,156 $172K -52.1% 0.03% EC
642 VITAL FARMS INC VITL Jan 2026 13,413 +10,286 $171K +91.9% 0.03% EC
643 ARLO TECHNOLOGIES INC ARLO Jul 2026 11,574 NEW $170K 0.03% EC
644 CHESAPEAKE UTILITIES CORP CPK Jan 2026 1,273 -1,128 $169K -45.3% 0.03% EC
645 CADRE HOLDINGS INC CDRE Jan 2026 5,472 -6,988 $169K -66.2% 0.03% EC
646 ACADIA REALTY TRUST AKR Jan 2026 7,458 +2,597 $168K +72.3% 0.03% EC
647 LEMAITRE VASCULAR INC LMAT Jan 2026 1,627 +396 $165K +57.6% 0.03% EC
648 MECHANICS BANCORP MCHB Jul 2026 9,812 NEW $165K 0.03% EC
649 KINETIK HOLDINGS INC KNTK Jul 2026 3,226 NEW $163K 0.03% EC
650 BALDWIN INSURANCE GROUP INC (THE) BWIN Jul 2026 5,868 NEW $163K 0.03% EC
651 VIRIDIAN THERAPEUTICS INC VRDN Jan 2026 8,493 -7,861 $161K -70.2% 0.03% EC
652 CELLDEX THERAPEUTICS INC CLDX Jan 2026 4,194 +517 $160K +76.5% 0.03% EC
653 NETSTREIT CORP NTST Jan 2026 7,382 -9,603 $158K -50.5% 0.03% EC
654 FRESHPET INC FRPT Jan 2026 2,639 -702 $157K -32.5% 0.03% EC
655 NATIONAL HEALTH INVESTORS INC NHI Jan 2026 2,044 +735 $157K +45.7% 0.03% EC
656 GRAIL INC GRAL Jan 2026 2,284 -3,661 $157K -73.1% 0.03% EC
657 UMH PROPERTIES INC UMH Jan 2026 10,305 +4,029 $156K +58.7% 0.03% EC
658 ENERPAC TOOL GROUP CORP EPAC Jan 2026 4,350 +1,739 $155K +47.5% 0.03% EC
659 TRUPANION INC TRUP Jan 2026 6,298 +3,624 $154K +80.3% 0.03% EC
660 TOOTSIE ROLL INDUSTRIES INC TR Jan 2026 3,946 -1,610 $154K -26.8% 0.03% EC
661 ELLINGTON FINANCIAL INC EFC Jan 2026 11,462 -18,519 $152K -60.5% 0.03% EC
662 DYNEX CAPITAL INC (NEW) DX Jan 2026 11,899 -9,484 $151K -49.0% 0.03% EC
663 HAGERTY INC HGTY Jul 2026 13,088 NEW $151K 0.03% EC
664 CALIX INC CALX Jan 2026 4,178 -2,488 $150K -49.6% 0.03% EC
665 CORVEL CORP CRVL Jul 2026 2,497 NEW $150K 0.03% EC
666 BELLRING BRANDS INC BRBR Jan 2026 12,053 +5,452 $149K -9.0% 0.03% EC
667 GENEDX HOLDINGS CORP WGS Jan 2026 2,272 -1,641 $148K -60.7% 0.03% EC
668 ORCHID ISLAND CAPITAL INC ORC Jul 2026 22,380 NEW $145K 0.03% EC
669 VISTANCE NETWORKS INC VISN Jan 2026 12,207 -15,864 $143K -71.6% 0.02% EC
670 HAWKINS INC HWKN Jan 2026 1,096 -336 $140K -24.8% 0.02% EC
671 STOKE THERAPEUTICS INC STOK Jul 2026 4,769 NEW $138K 0.02% EC
672 TURNING POINT BRANDS INC TPB Jan 2026 1,838 -1,919 $137K -69.9% 0.02% EC
673 ZYMEWORKS INC ZYME Jul 2026 5,969 NEW $131K 0.02% EC
674 SAREPTA THERAPEUTICS INC SRPT Jul 2026 8,682 NEW $129K 0.02% EC
675 POWER SOLUTIONS INTERNATIONAL INC PSIX Jan 2026 4,013 -1,230 $111K -70.5% 0.02% EC
676 ENOVIX CORP ENVX Jul 2026 25,699 NEW $105K 0.02% EC
677 OMNIAB INC 2200964D Jan 2026 162 $0 0.00% EC
678 OMNIAB INC 2200963D Jan 2026 162 $0 0.00% EC
LPL Financial Holdings Inc 50212V100 5,006 SOLD $1.8M
Expedia Group Inc 30212P303 6,312 SOLD $1.7M
Gilead Sciences Inc 375558103 11,655 SOLD $1.7M
Targa Resources Corp 87612G101 7,753 SOLD $1.6M
Twilio Inc 90138F102 12,572 SOLD $1.5M
Cboe Global Markets Inc 12503M108 5,698 SOLD $1.5M
Nasdaq Inc 631103108 14,729 SOLD $1.4M
Constellation Energy Corp 21037T109 5,061 SOLD $1.4M
IDEXX Laboratories Inc 45168D104 2,114 SOLD $1.4M
Carnival Corp 143658300 46,840 SOLD $1.4M
Wells Fargo & Co 949746101 15,348 SOLD $1.4M
First Citizens BancShares Inc/ 31946M103 668 SOLD $1.4M
Insmed Inc 457669307 8,220 SOLD $1.3M
Palantir Technologies Inc 69608A108 8,047 SOLD $1.2M
WW Grainger Inc 384802104 1,035 SOLD $1.1M
Rollins Inc 775711104 17,404 SOLD $1.1M
Martin Marietta Materials Inc 573284106 1,677 SOLD $1.1M
Public Service Enterprise Grou 744573106 13,008 SOLD $1.1M
Prologis Inc 74340W103 8,183 SOLD $1.1M
Electronic Arts Inc 285512109 5,111 SOLD $1.0M
Uranium Energy Corp 916896103 60,420 SOLD $1.0M
Vistra Corp 92840M102 6,475 SOLD $1.0M
Waters Corp 941848103 2,750 SOLD $1.0M
Intuitive Surgical Inc 46120E602 1,845 SOLD $0.9M
Gen Digital Inc 668771108 38,419 SOLD $0.9M
Alnylam Pharmaceuticals Inc 02043Q107 2,628 SOLD $0.9M
Boyd Gaming Corp 103304101 10,348 SOLD $0.9M
Royal Gold Inc 780287108 3,175 SOLD $0.8M
Honeywell International Inc 438516106 3,667 SOLD $0.8M
Urban Outfitters Inc 917047102 11,720 SOLD $0.8M
Penumbra Inc 70975L107 2,269 SOLD $0.8M
Costco Wholesale Corp 22160K105 829 SOLD $0.8M
TransMedics Group Inc 89377M109 5,800 SOLD $0.8M
Darden Restaurants Inc 237194105 3,886 SOLD $0.8M
Roku Inc 77543R102 8,131 SOLD $0.8M
Lyft Inc 55087P104 45,540 SOLD $0.8M
Kirby Corp 497266106 6,406 SOLD $0.8M
Corpay Inc 219948106 2,375 SOLD $0.7M
Comstock Resources Inc 205768302 30,443 SOLD $0.7M
Live Nation Entertainment Inc 538034109 5,018 SOLD $0.7M
Xylem Inc/NY 98419M100 5,252 SOLD $0.7M
InterDigital Inc 45867G101 2,216 SOLD $0.7M
S&P Global Inc 78409V104 1,369 SOLD $0.7M
Moody's Corp 615369105 1,401 SOLD $0.7M
Alaska Air Group Inc 011659109 14,029 SOLD $0.7M
Walt Disney Co/The 254687106 6,286 SOLD $0.7M
Domino's Pizza Inc 25754A201 1,716 SOLD $0.7M
Boston Scientific Corp 101137107 7,501 SOLD $0.7M
Tesla Inc 88160R101 1,589 SOLD $0.7M
Mastercard Inc 57636Q104 1,254 SOLD $0.7M
ADMA Biologics Inc 000899104 38,691 SOLD $0.7M
Virtu Financial Inc 928254101 15,884 SOLD $0.7M
Symbotic Inc 87151X101 11,861 SOLD $0.6M
Revolution Medicines Inc 76155X100 6,646 SOLD $0.6M
Insulet Corp 45784P101 2,515 SOLD $0.6M
Repligen Corp 759916109 4,307 SOLD $0.6M
Fair Isaac Corp 303250104 424 SOLD $0.6M
American Airlines Group Inc 02376R102 46,033 SOLD $0.6M
Coupang Inc 22266T109 30,320 SOLD $0.6M
Credit Acceptance Corp 225310101 1,193 SOLD $0.6M
Clean Harbors Inc 184496107 2,257 SOLD $0.6M
Old National Bancorp/IN 680033107 23,723 SOLD $0.6M
Silicon Laboratories Inc 826919102 4,050 SOLD $0.6M
Salesforce Inc 79466L302 2,700 SOLD $0.6M
WEX Inc 96208T104 3,551 SOLD $0.5M
Casella Waste Systems Inc 147448104 5,403 SOLD $0.5M
Core & Main Inc 21874C102 10,185 SOLD $0.5M
East West Bancorp Inc 27579R104 4,709 SOLD $0.5M
Applied Industrial Technologie 03820C105 2,061 SOLD $0.5M
CSG Systems International Inc 126349109 6,635 SOLD $0.5M
Banc of California Inc 05990K106 26,381 SOLD $0.5M
Jack Henry & Associates Inc 426281101 2,900 SOLD $0.5M
OSI Systems Inc 671044105 2,074 SOLD $0.5M
Diebold Nixdorf Inc 253651202 7,496 SOLD $0.5M
Pegasystems Inc 705573103 11,817 SOLD $0.5M
Globalstar Inc 378973507 8,337 SOLD $0.5M
ExlService Holdings Inc 302081104 12,473 SOLD $0.5M
Kratos Defense & Security Solu 50077B207 4,649 SOLD $0.5M
Planet Fitness Inc 72703H101 4,881 SOLD $0.4M
Ivanhoe Electric Inc / US 46578C108 25,478 SOLD $0.4M
Catalyst Pharmaceuticals Inc 14888U101 17,444 SOLD $0.4M
Upwork Inc 91688F104 20,541 SOLD $0.4M
Centrus Energy Corp 15643U104 1,455 SOLD $0.4M
Mueller Water Products Inc 624758108 14,812 SOLD $0.4M
ServiceTitan Inc 81764X103 4,969 SOLD $0.4M
Lattice Semiconductor Corp 518415104 4,796 SOLD $0.4M
Cullen/Frost Bankers Inc 229899109 2,787 SOLD $0.4M
Sherwin-Williams Co/The 824348106 1,075 SOLD $0.4M
Pathward Financial Inc 59100U108 4,219 SOLD $0.4M
Starbucks Corp 855244109 4,134 SOLD $0.4M
Altria Group Inc 02209S103 6,038 SOLD $0.4M
Mirion Technologies Inc 60471A101 15,065 SOLD $0.4M
Intercontinental Exchange Inc 45866F104 2,150 SOLD $0.4M
IDACORP Inc 451107106 2,788 SOLD $0.4M
Illinois Tool Works Inc 452308109 1,414 SOLD $0.4M
CME Group Inc 12572Q105 1,275 SOLD $0.4M
Tandem Diabetes Care Inc 875372203 18,523 SOLD $0.4M
Marzetti Company/The 513847103 2,147 SOLD $0.4M
Apellis Pharmaceuticals Inc 03753U106 16,208 SOLD $0.4M
Stryker Corp 863667101 990 SOLD $0.4M
Artivion Inc 228903100 8,926 SOLD $0.4M
Primerica Inc 74164M108 1,366 SOLD $0.4M
McDonald's Corp 580135101 1,139 SOLD $0.4M
SLM Corp 78442P106 13,039 SOLD $0.4M
Republic Services Inc 760759100 1,644 SOLD $0.4M
Marsh & McLennan Cos Inc 571748102 1,876 SOLD $0.4M
Evolv Technologies Holdings In 30049H102 56,861 SOLD $0.4M
Pinnacle Financial Partners In 72348N109 3,697 SOLD $0.4M
Unity Software Inc 91332U101 11,984 SOLD $0.3M
Golub Capital BDC Inc 38173M102 26,003 SOLD $0.3M
NewMarket Corp 651587107 512 SOLD $0.3M
Houlihan Lokey Inc 441593100 2,025 SOLD $0.3M
Otis Worldwide Corp 68902V107 3,985 SOLD $0.3M
DaVita Inc 23918K108 3,105 SOLD $0.3M
T-Mobile US Inc 872590104 1,715 SOLD $0.3M
Global Net Lease Inc 379378201 34,836 SOLD $0.3M
Perdoceo Education Corp 71363P106 10,213 SOLD $0.3M
TPG Inc 872657101 5,528 SOLD $0.3M
Pacira BioSciences Inc 695127100 15,732 SOLD $0.3M
Blackstone Inc 09260D107 2,259 SOLD $0.3M
US Physical Therapy Inc 90337L108 3,836 SOLD $0.3M
Zillow Group Inc 98954M200 5,104 SOLD $0.3M
First Watch Restaurant Group I 33748L101 19,866 SOLD $0.3M
PTC Inc 69370C100 1,999 SOLD $0.3M
Distribution Solutions Group I 520776105 10,937 SOLD $0.3M
Microsoft Corp 594918104 721 SOLD $0.3M
Sprouts Farmers Market Inc 85208M102 4,370 SOLD $0.3M
Abbott Laboratories 002824100 2,780 SOLD $0.3M
Snap Inc 83304A106 43,723 SOLD $0.3M
Autodesk Inc 052769106 1,176 SOLD $0.3M
Frontier Group Holdings Inc 35909R108 63,607 SOLD $0.3M
Spyre Therapeutics Inc 00773J202 9,146 SOLD $0.3M
Adobe Inc 00724F101 994 SOLD $0.3M
Inspire Medical Systems Inc 457730109 3,826 SOLD $0.3M
Gartner Inc 366651107 1,380 SOLD $0.3M
ROBLOX Corp 771049103 4,298 SOLD $0.3M
PennyMac Mortgage Investment T 70931T103 23,871 SOLD $0.3M
BILL Holdings Inc 090043100 6,470 SOLD $0.3M
Procore Technologies Inc 74275K108 4,851 SOLD $0.3M
Workiva Inc 98139A105 3,474 SOLD $0.3M
Yext Inc 98585N106 37,171 SOLD $0.3M
Intuit Inc 461202103 526 SOLD $0.3M
Marqeta Inc 57142B104 63,071 SOLD $0.3M
Bowhead Specialty Holdings Inc 10240L102 10,496 SOLD $0.3M
Root Inc/OH 77664L207 4,149 SOLD $0.3M
ARS Pharmaceuticals Inc 82835W108 25,717 SOLD $0.3M
Cargurus Inc 141788109 7,811 SOLD $0.3M
Cactus Inc 127203107 4,456 SOLD $0.3M
Coastal Financial Corp/WA 19046P209 2,613 SOLD $0.3M
LiveRamp Holdings Inc 53815P108 10,200 SOLD $0.2M
Sprinklr Inc 85208T107 38,508 SOLD $0.2M
Guidewire Software Inc 40171V100 1,731 SOLD $0.2M
Uniti Group Inc 912932100 29,041 SOLD $0.2M
Amplitude Inc 03213A104 25,871 SOLD $0.2M
Concentra Group Holdings Paren 20603L102 10,344 SOLD $0.2M
Community Financial System Inc 203607106 3,543 SOLD $0.2M
Broadstone Net Lease Inc 11135E203 11,719 SOLD $0.2M
H2O America 784305104 4,156 SOLD $0.2M
Barrett Business Services Inc 068463108 5,623 SOLD $0.2M
Leonardo DRS Inc 52661A108 5,176 SOLD $0.2M
United States Lime & Minerals 911922102 1,701 SOLD $0.2M
Blackstone Mortgage Trust Inc 09257W100 10,641 SOLD $0.2M
Primo Brands Corp 741623102 10,790 SOLD $0.2M
ARMOUR Residential REIT Inc 042315705 11,508 SOLD $0.2M
Kadant Inc 48282T104 620 SOLD $0.2M
CoreCivic Inc 21871N101 10,651 SOLD $0.2M
Wingstop Inc 974155103 740 SOLD $0.2M
Addus HomeCare Corp 006739106 1,896 SOLD $0.2M
Aeva Technologies Inc 00835Q202 15,329 SOLD $0.2M
IDT Corp 448947507 3,975 SOLD $0.2M
WP Carey Inc 92936U109 2,742 SOLD $0.2M
Esab Corp 29605J106 1,578 SOLD $0.2M
Microvast Holdings Inc 59516C106 72,704 SOLD $0.2M
Graco Inc 384109104 2,153 SOLD $0.2M
Main Street Capital Corp 56035L104 2,923 SOLD $0.2M
Hamilton Lane Inc 407497106 1,314 SOLD $0.2M
Rexford Industrial Realty Inc 76169C100 4,556 SOLD $0.2M
Grand Canyon Education Inc 38526M106 1,062 SOLD $0.2M
Yelp Inc 985817105 6,700 SOLD $0.2M
Global Business Travel Group I 37890B100 26,610 SOLD $0.2M
Essential Properties Realty Tr 29670E107 5,947 SOLD $0.2M
fuboTV Inc 35953D104 80,782 SOLD $0.2M
Napco Security Technologies In 630402105 4,883 SOLD $0.2M
Kinsale Capital Group Inc 49714P108 450 SOLD $0.2M
Agree Realty Corp 008492100 2,449 SOLD $0.2M
NextNav Inc 65345N106 12,235 SOLD $0.2M
Healthcare Realty Trust Inc 42226K105 10,407 SOLD $0.2M
Blackbaud Inc 09227Q100 3,216 SOLD $0.2M
American Homes 4 Rent 02665T306 5,496 SOLD $0.2M
BlackLine Inc 09239B109 3,681 SOLD $0.2M
Wyndham Hotels & Resorts Inc 98311A105 2,336 SOLD $0.2M
ZoomInfo Technologies Inc 98980F104 20,015 SOLD $0.2M
Schrodinger Inc/United States 80810D103 11,384 SOLD $0.2M
CBIZ Inc 124805102 4,034 SOLD $0.2M
MiMedx Group Inc 602496101 30,070 SOLD $0.2M
Ocular Therapeutix Inc 67576A100 16,768 SOLD $0.2M
Verra Mobility Corp 92511U102 7,873 SOLD $0.2M
Appfolio Inc 03783C100 757 SOLD $0.1M
Klaviyo Inc 49845K101 6,270 SOLD $0.1M
Chemours Co/The 163851108 8,471 SOLD $0.1M
GPGI Inc 20459V105 5,180 SOLD $0.1M
Six Flags Entertainment Corp 83001C108 6,511 SOLD $0.1M
Alamo Group Inc 011311107 595 SOLD $0.1M
Iridium Communications Inc 46269C102 5,745 SOLD $0.1M
Payoneer Global Inc 70451X104 17,771 SOLD $0.1M
Limbach Holdings Inc 53263P105 1,282 SOLD $0.1M
Getty Realty Corp 374297109 3,647 SOLD $0.1M
Trinity Industries Inc 896522109 3,777 SOLD $0.1M
Park National Corp 700658107 655 SOLD $0.1M
McGrath RentCorp 580589109 951 SOLD $0.1M
LTC Properties Inc 502175102 2,904 SOLD $0.1M
Republic Bancorp Inc/KY 760281204 1,449 SOLD $0.1M
Driven Brands Holdings Inc 26210V102 6,740 SOLD $0.1M
Prestige Consumer Healthcare I 74112D101 1,619 SOLD $0.1M
Sila Realty Trust Inc 146280508 4,283 SOLD $0.1M
Stock Yards Bancorp Inc 861025104 1,536 SOLD $0.1M
Exponent Inc 30214U102 1,437 SOLD $0.1M
California Water Service Group 130788102 2,305 SOLD $0.1M
EVERTEC Inc 30040P103 3,433 SOLD $0.1M
Veris Residential Inc 554489104 6,711 SOLD $0.1M
Gogo Inc 38046C109 21,429 SOLD $0.1M
Hertz Global Holdings Inc 42806J700 19,427 SOLD $0.1M
DoubleVerify Holdings Inc 25862V105 8,729 SOLD $0.1M
Cannae Holdings Inc 13765N107 6,350 SOLD $0.1M
Extreme Networks Inc 30226D106 5,996 SOLD $0.1M
Porch Group Inc 733245104 10,937 SOLD $0.1M
Groupon Inc 399473206 5,672 SOLD $0.1M
Intapp Inc 45827U109 2,178 SOLD $0.1M