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Holdings (Monthly) Guide ↗

Siit Small Cap Ii Fund

· Sei Institutional Investments Trust
Monthly Holdings $243M AUM 654 positions Period May 2026 Filed Jul 29, 2026 EDGAR ↗ ← All Funds
All 121 New 73 Added 235 Reduced 121 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 N/A 783965593 Feb 2026 6,126,578 +1,208,810 $6.1M +24.6% 2.53% STIV
2 N/A RTYM26 Feb 2026 26 -37,474 $3.8M +1556.5% 1.57% DE
3 COLUMBIA BANKING SYSTEM, INC. 197236102 Feb 2026 87,295 -20,958 $2.6M -16.0% 1.07% EC
4 DIODES INCORPORATED 254543101 Feb 2026 23,514 +14,648 $2.5M +309.4% 1.02% EC
5 CLEVELAND-CLIFFS INC. 185899101 Feb 2026 181,466 -29,464 $2.5M +9.8% 1.02% EC
6 COMMERCIAL METALS COMPANY 201723103 Feb 2026 30,910 -4,000 $2.4M -8.1% 0.97% EC
7 Progyny Inc N/A Feb 2026 87,903 NEW $2.2M 0.93% EC
8 Hudbay Minerals Inc. 443628102 Feb 2026 76,270 +4,298 $2.2M +9.1% 0.92% EC
9 OLD NATIONAL BANCORP 680033107 Feb 2026 92,283 -17,519 $2.2M -12.6% 0.91% EC
10 VIAVI SOLUTIONS INC. 925550105 Feb 2026 44,489 -23,614 $2.2M +6.8% 0.89% EC
11 ASSOCIATED BANC-CORP N/A Feb 2026 75,628 NEW $2.1M 0.87% EC
12 JACKSON FINANCIAL INC. 46817M107 Feb 2026 18,898 -4,800 $1.9M -24.9% 0.80% EC
13 ASTEC INDUSTRIES, INC. N/A Feb 2026 38,280 NEW $1.9M 0.80% EC
14 ZIONS BANCORPORATION, NATIONAL ASSOCIATION 989701107 Feb 2026 30,392 -6,772 $1.9M -10.8% 0.78% EC
15 VALMONT INDUSTRIES, INC. 920253101 Feb 2026 3,513 -410 $1.8M +1.2% 0.75% EC
16 VISTEON CORPORATION 92839U206 Feb 2026 15,042 -4,044 $1.8M -2.6% 0.73% EC
17 STRIDE, INC. 86333M108 Feb 2026 19,019 -5,500 $1.8M -15.1% 0.72% EC
18 Open Text Corporation 683715106 Feb 2026 65,910 -16,803 $1.6M -23.3% 0.65% EC
19 MOLINA HEALTHCARE, INC. 60855R100 Feb 2026 9,047 -8,733 $1.6M -42.7% 0.65% EC
20 BRINKER INTERNATIONAL, INC. 109641100 Feb 2026 10,924 -1,000 $1.6M -12.0% 0.64% EC
21 ABERCROMBIE & FITCH CO. N/A Feb 2026 19,968 NEW $1.5M 0.64% EC
22 TEREX CORPORATION 880779103 Feb 2026 25,100 +16,606 $1.5M +149.9% 0.60% EC
23 DELEK US HOLDINGS, INC. 24665A103 Feb 2026 31,449 -13,698 $1.4M -18.6% 0.58% EC
24 Enpro Inc. 29355X107 Feb 2026 4,537 +837 $1.4M +45.5% 0.57% EC
25 KULICKE AND SOFFA INDUSTRIES, INC. 501242101 Feb 2026 13,323 -1,445 $1.4M +31.8% 0.56% EC
26 PHOTRONICS, INC. 719405102 Feb 2026 41,883 -25,766 $1.4M -46.5% 0.56% EC
27 SILICON MOTION TECHNOLOGY CORPORATION 82706C108 Feb 2026 4,845 -3,981 $1.3M +17.6% 0.55% EC
28 ENCOMPASS HEALTH CORPORATION 29261A100 Feb 2026 12,618 -1,471 $1.3M -12.1% 0.55% EC
29 STANDEX INTERNATIONAL CORPORATION 854231107 Feb 2026 4,796 -1,312 $1.3M -17.0% 0.55% EC
30 FLAGSTAR BANK, NATIONAL ASSOCIATION 649445400 Feb 2026 89,469 +1,180 $1.3M +12.3% 0.52% EC
31 HEXCEL CORPORATION 428291108 Feb 2026 13,718 -1,617 $1.2M -13.3% 0.51% EC
32 AMERICAN EAGLE OUTFITTERS, INC. N/A Feb 2026 77,799 NEW $1.2M 0.51% EC
33 VALLEY NATIONAL BANCORP 919794107 Feb 2026 84,737 -6,242 $1.2M +1.7% 0.48% EC
34 HIGHWOODS PROPERTIES, INC. 431284108 Feb 2026 44,614 -5,437 $1.2M +3.4% 0.48% EC
35 ROGERS CORPORATION 775133101 Feb 2026 7,445 -662 $1.1M +20.5% 0.43% EC
36 COHU, INC. 192576106 Feb 2026 19,952 -2,209 $1.1M +57.3% 0.43% EC
37 NEWMARK GROUP, INC. 65158N102 Feb 2026 73,899 -5,868 $1.0M -10.9% 0.43% EC
38 CARETRUST REIT, INC. 14174T107 Feb 2026 25,139 -2,024 $1.0M -7.0% 0.42% EC
39 URBAN OUTFITTERS, INC. 917047102 Feb 2026 13,940 +10,262 $1.0M +315.9% 0.42% EC
40 AAON, INC. N/A Feb 2026 7,171 NEW $1.0M 0.41% EC
41 BEL FUSE INC. N/A Feb 2026 3,550 NEW $975K 0.40% EC
42 LITTELFUSE, INC. 537008104 Feb 2026 2,049 -265 $957K +17.3% 0.39% EC
43 Liquidia Corp 53635D202 May 2026 15,440 NEW $955K 0.39% EC
44 HELIOS TECHNOLOGIES, INC. 42328H109 May 2026 11,494 NEW $955K 0.39% EC
45 NVENT ELECTRIC PUBLIC LIMITED COMPANY G6700G107 Feb 2026 5,682 -713 $949K +25.4% 0.39% EC
46 THE ENSIGN GROUP, INC. 29358P101 Feb 2026 5,643 -592 $946K -29.2% 0.39% EC
47 WESCO INTERNATIONAL, INC. 95082P105 Feb 2026 2,571 -2,324 $929K -34.5% 0.38% EC
48 LYFT, INC. 55087P104 Feb 2026 63,904 $902K +2.0% 0.37% EC
49 SERVISFIRST BANCSHARES, INC. 81768T108 Feb 2026 11,514 +1,253 $898K +8.0% 0.37% EC
50 GATES INDUSTRIAL CORPORATION PLC G39108108 Feb 2026 33,593 -3,651 $871K -15.2% 0.36% EC
51 TUTOR PERINI CORPORATION 901109108 Feb 2026 12,049 $861K -5.1% 0.36% EC
52 APPLIED DIGITAL CORPORATION N/A Feb 2026 17,938 NEW $848K 0.35% EC
53 PERMIAN RESOURCES CORPORATION 71424F105 Feb 2026 43,377 -4,715 $834K -5.2% 0.34% EC
54 PRICESMART, INC. 741511109 Feb 2026 4,890 -613 $831K -2.3% 0.34% EC
55 SILICON LABORATORIES INC. 826919102 Feb 2026 3,803 -413 $828K -4.0% 0.34% EC
56 LIMBACH HOLDINGS, INC. 53263P105 May 2026 10,671 NEW $826K 0.34% EC
57 F.N.B. CORPORATION 302520101 Feb 2026 46,803 -44,821 $818K -47.4% 0.34% EC
58 POWER INTEGRATIONS, INC. 739276103 Feb 2026 9,494 -3,231 $797K +30.8% 0.33% EC
59 HARMONIC INC. 413160102 Feb 2026 52,501 -5,707 $793K +28.2% 0.33% EC
60 COGNEX CORPORATION 192422103 Feb 2026 12,022 -1,508 $792K +7.6% 0.33% EC
61 WINTRUST FINANCIAL CORPORATION 97650W108 Feb 2026 5,241 -570 $787K -5.9% 0.32% EC
62 SmartFinancial, Inc. 83190L208 Feb 2026 18,668 $778K +6.4% 0.32% EC
63 Navitas Semiconductor Corp 63942X106 Feb 2026 29,140 +25,530 $775K +2285.7% 0.32% EC
64 Arlo Technologies Inc 04206A101 Feb 2026 55,931 +46,780 $746K +419.7% 0.31% EC
65 PENGUIN SOLUTIONS, INC. 706915105 May 2026 13,200 NEW $737K 0.30% EC
66 VOYA FINANCIAL, INC. 929089100 Feb 2026 8,934 -991 $726K +9.3% 0.30% EC
67 RELIANCE, INC. 759509102 Feb 2026 1,894 -238 $721K +7.2% 0.30% EC
68 EXCELERATE ENERGY, INC. 30069T101 Feb 2026 21,807 +15,058 $718K +164.4% 0.30% EC
69 Regal Rexnord Corporation 758750103 Feb 2026 3,539 -384 $714K -17.6% 0.29% EC
70 Praxis Precision Medicines Inc 74006W207 Feb 2026 2,031 +420 $711K +31.0% 0.29% EC
71 IDACORP, INC. 451107106 Feb 2026 5,030 -547 $706K -12.1% 0.29% EC
72 CLEAR SECURE, INC. 18467V109 Feb 2026 12,602 -9,324 $699K -34.5% 0.29% EC
73 CACTUS, INC. 127203107 Feb 2026 11,988 +2,634 $696K +37.7% 0.29% EC
74 FIRST INTERSTATE BANCSYSTEM, INC. 32055Y201 Feb 2026 19,515 -2,120 $695K -7.2% 0.29% EC
75 DT MIDSTREAM, INC. 23345M107 Feb 2026 4,909 -616 $687K -10.4% 0.28% EC
76 LANDSTAR SYSTEM, INC. 515098101 Feb 2026 3,266 -410 $676K +12.8% 0.28% EC
77 CTO REALTY GROWTH, INC. 22948Q101 Feb 2026 32,843 -409 $675K +4.2% 0.28% EC
78 NATIONAL BANK HOLDINGS CORPORATION 633707104 Feb 2026 16,044 -1,744 $671K -5.7% 0.28% EC
79 CLEAN HARBORS, INC. 184496107 Feb 2026 2,367 -257 $665K -13.5% 0.27% EC
80 AVEANNA HEALTHCARE HOLDINGS INC. 05356F105 Feb 2026 92,077 -12,800 $660K -14.5% 0.27% EC
81 CACI INTERNATIONAL INC. 127190304 Feb 2026 1,283 -139 $659K -24.1% 0.27% EC
82 NORTHERN OIL AND GAS, INC. 665531307 Feb 2026 30,194 -15,000 $657K -47.3% 0.27% EC
83 FORUM ENERGY TECHNOLOGIES, INC. 34984V209 May 2026 13,080 NEW $657K 0.27% EC
84 NORDSON CORPORATION 655663102 Feb 2026 2,281 -286 $655K -13.0% 0.27% EC
85 INDEPENDENT BANK CORP. 453836108 Feb 2026 8,224 -893 $650K -8.6% 0.27% EC
86 THE NEW YORK TIMES COMPANY 650111107 Feb 2026 8,598 -1,082 $647K -16.3% 0.27% EC
87 RYMAN HOSPITALITY PROPERTIES, INC. 78377T107 Feb 2026 5,605 -699 $645K +3.7% 0.27% EC
88 Univest Financial Corporation 915271100 Feb 2026 16,314 -1,105 $643K +10.1% 0.27% EC
89 IRONWOOD PHARMACEUTICALS, INC. 46333X108 Feb 2026 179,973 +74,770 $643K +78.6% 0.27% EC
90 KORN FERRY 500643200 Feb 2026 9,181 -758 $642K +3.1% 0.27% EC
91 ITT INC. 45073V108 Feb 2026 3,291 -359 $642K -13.1% 0.26% EC
92 APPLIED OPTOELECTRONICS, INC. 03823U102 May 2026 4,050 NEW $642K 0.26% EC
93 PRESTIGE CONSUMER HEALTHCARE INC. 74112D101 Feb 2026 13,416 +535 $638K -28.6% 0.26% EC
94 SENSATA TECHNOLOGIES HOLDING PLC G8060N102 May 2026 12,696 NEW $627K 0.26% EC
95 AnaptysBio Inc N/A Feb 2026 11,201 NEW $624K 0.26% EC
96 BRUNSWICK CORPORATION 117043109 Feb 2026 7,364 -924 $617K -6.5% 0.25% EC
97 ARGAN, INC. N/A Feb 2026 913 NEW $609K 0.25% EC
98 FIRSTCASH HOLDINGS, INC. 33768G107 Feb 2026 2,767 +867 $608K +66.1% 0.25% EC
99 Rush Street Interactive Inc 782011100 Feb 2026 23,995 +11,610 $608K +148.6% 0.25% EC
100 CABOT CORPORATION 127055101 Feb 2026 6,943 -754 $608K +3.7% 0.25% EC
101 DICK'S SPORTING GOODS, INC. 253393102 Feb 2026 2,667 -335 $607K -0.7% 0.25% EC
102 TRAVEL + LEISURE CO. 894164102 Feb 2026 8,852 -2,655 $602K -29.0% 0.25% EC
103 LEMAITRE VASCULAR, INC. 525558201 Feb 2026 6,262 -786 $593K -22.3% 0.24% EC
104 QUEST DIAGNOSTICS INCORPORATED 74834L100 Feb 2026 3,034 -381 $591K -18.3% 0.24% EC
105 MATADOR RESOURCES COMPANY 576485205 Feb 2026 10,953 -4,099 $587K -24.1% 0.24% EC
106 TERRENO REALTY CORPORATION 88146M101 Feb 2026 8,929 -1,120 $587K -11.6% 0.24% EC
107 TD SYNNEX CORPORATION 87162W100 May 2026 2,242 NEW $586K 0.24% EC
108 FB Financial Corporation 30257X104 Feb 2026 11,102 -9,352 $585K -47.7% 0.24% EC
109 AGREE REALTY CORPORATION N/A Feb 2026 7,852 NEW $582K 0.24% EC
110 LANTHEUS HOLDINGS, INC. 516544103 Feb 2026 5,850 +2,192 $581K +112.0% 0.24% EC
111 AZZ INC. N/A Feb 2026 4,271 NEW $579K 0.24% EC
112 HOME BANCSHARES, INC. 436893200 Feb 2026 21,415 -2,686 $573K -13.4% 0.24% EC
113 DORMAN PRODUCTS, INC. 258278100 Feb 2026 4,622 +734 $573K +25.0% 0.24% EC
114 COPT DEFENSE PROPERTIES 22002T108 Feb 2026 17,863 -1,940 $573K -9.0% 0.24% EC
115 Expro Group Holdings N.V. N3144W105 Feb 2026 38,728 +3,886 $572K -8.1% 0.24% EC
116 iShares Trust - iShares Russell 2000 Value ETF 464287630 Feb 2026 2,632 +1,447 $563K +140.5% 0.23% EC
117 CITI TRENDS, INC. 17306X102 Feb 2026 11,974 -200 $551K -4.5% 0.23% EC
118 HURON CONSULTING GROUP INC. 447462102 Feb 2026 5,124 -558 $550K -31.5% 0.23% EC
119 MORNINGSTAR, INC. 617700109 Feb 2026 3,015 +209 $549K +6.8% 0.23% EC
120 CASEY'S GENERAL STORES, INC. 147528103 Feb 2026 715 -394 $549K -27.9% 0.23% EC
121 Ambiq Micro Inc N/A Feb 2026 6,830 NEW $544K 0.22% EC
122 INSTALLED BUILDING PRODUCTS, INC. 45780R101 Feb 2026 2,577 -279 $541K -42.2% 0.22% EC
123 DAVE INC. 23834J201 Feb 2026 1,905 -1,300 $538K -13.1% 0.22% EC
124 SIMMONS FIRST NATIONAL CORPORATION 828730200 Feb 2026 24,990 -2,767 $536K -3.0% 0.22% EC
125 CIPHER DIGITAL INC. 17253J106 Feb 2026 22,663 +7,570 $536K +127.6% 0.22% EC
126 PERFORMANCE FOOD GROUP COMPANY 71377A103 Feb 2026 5,448 -592 $535K -8.8% 0.22% EC
127 STERIS PUBLIC LIMITED COMPANY G8473T100 Feb 2026 2,493 -313 $530K -25.1% 0.22% EC
128 GROUP 1 AUTOMOTIVE, INC. 398905109 Feb 2026 1,675 +385 $530K +26.1% 0.22% EC
129 THE HANOVER INSURANCE GROUP, INC. 410867105 Feb 2026 2,842 -308 $529K -7.0% 0.22% EC
130 CHESAPEAKE UTILITIES CORPORATION 165303108 Feb 2026 4,291 -538 $529K -19.4% 0.22% EC
131 V2X, INC. 92242T101 Feb 2026 6,364 +5,000 $529K +456.1% 0.22% EC
132 National Energy Services Reunited Corp. G6375R107 Feb 2026 21,410 -3,230 $521K -15.5% 0.22% EC
133 Collegium Pharmaceutical, Inc. 19459J104 Feb 2026 15,417 -4,768 $518K -38.4% 0.21% EC
134 NATIONAL STORAGE AFFILIATES TRUST 637870106 Feb 2026 12,149 -18,332 $518K -51.5% 0.21% EC
135 CHURCHILL DOWNS INCORPORATED 171484108 Feb 2026 5,930 +514 $517K +3.9% 0.21% EC
136 STAG INDUSTRIAL, INC. 85254J102 Feb 2026 13,562 -1,474 $514K -12.9% 0.21% EC
137 CARLISLE COMPANIES INCORPORATED 142339100 Feb 2026 1,488 -187 $513K -22.4% 0.21% EC
138 BELDEN INC. N/A Feb 2026 4,862 NEW $511K 0.21% EC
139 TRANSUNION 89400J107 Feb 2026 7,113 -892 $509K -19.1% 0.21% EC
140 FIRST FINANCIAL CORPORATION 320218100 Feb 2026 7,350 -800 $508K -1.5% 0.21% EC
141 Arteris Inc 04302A104 Feb 2026 14,135 -510 $508K +104.2% 0.21% EC
142 ICHOR HOLDINGS, LTD. G4740B105 May 2026 7,040 NEW $504K 0.21% EC
143 PERDOCEO EDUCATION CORPORATION 71363P106 Feb 2026 15,462 -1,928 $501K -13.7% 0.21% EC
144 ENERGY FUELS INCORPORATED 292671708 Feb 2026 27,391 +16,470 $499K +114.3% 0.21% EC
145 ROYAL GOLD, INC. 780287108 Feb 2026 2,223 +113 $499K -21.1% 0.21% EC
146 PRIMERICA, INC. 74164M108 Feb 2026 1,836 -230 $496K -5.4% 0.20% EC
147 DAKTRONICS, INC 234264109 Feb 2026 23,963 -2,755 $496K -28.1% 0.20% EC
148 PEGASYSTEMS INC. 705573103 Feb 2026 13,781 +8,862 $492K +128.9% 0.20% EC
149 ENERPAC TOOL GROUP CORP. 292765104 Feb 2026 14,655 +6,303 $491K +44.0% 0.20% EC
150 CNO FINANCIAL GROUP, INC. N/A Feb 2026 10,651 NEW $490K 0.20% EC
151 UNIVERSAL DISPLAY CORPORATION 91347P105 Feb 2026 5,257 -660 $484K -23.3% 0.20% EC
152 KIMBALL ELECTRONICS, INC. 49428J109 Feb 2026 18,481 -1,410 $479K -3.6% 0.20% EC
153 GOLD.COM, INC. 00181T107 Feb 2026 11,316 +8,020 $479K +152.8% 0.20% EC
154 CHEMED CORPORATION 16359R103 Feb 2026 1,121 -141 $478K -7.6% 0.20% EC
155 Ralliant Corp 750940108 May 2026 7,713 NEW $477K 0.20% EC
156 NVE Corporation 629445206 Feb 2026 4,870 -2,170 $477K -1.6% 0.20% EC
157 Credo Technology Group Holding Ltd G25457105 Feb 2026 2,000 -500 $472K +68.2% 0.19% EC
158 Nutex Health Inc 67079U306 Feb 2026 3,634 -970 $469K -7.7% 0.19% EC
159 NAPCO SECURITY TECHNOLOGIES, INC. 630402105 Feb 2026 12,466 -1,560 $468K -28.4% 0.19% EC
160 BROOKFIELD INFRASTRUCTURE CORPORATION 11276H106 Feb 2026 11,230 -1,408 $466K -26.0% 0.19% EC
161 OPTION CARE HEALTH, INC. 68404L201 Feb 2026 22,217 +5,969 $464K -12.1% 0.19% EC
162 MATERION CORPORATION 576690101 Feb 2026 2,100 -400 $462K +13.4% 0.19% EC
163 KBR, INC. 48242W106 Feb 2026 13,220 +669 $462K -12.8% 0.19% EC
164 CHIMERA INVESTMENT CORPORATION 16934Q802 Feb 2026 33,920 -3,687 $462K -9.7% 0.19% EC
165 ALERUS FINANCIAL CORPORATION 01446U103 Feb 2026 16,098 -3,140 $460K +0.3% 0.19% EC
166 COHEN & STEERS, INC. 19247A100 Feb 2026 6,591 -826 $460K -7.2% 0.19% EC
167 KINSALE CAPITAL GROUP, INC. 49714P108 Feb 2026 1,508 +464 $460K +13.0% 0.19% EC
168 SANMINA CORPORATION 801056102 Feb 2026 1,768 -500 $459K +30.4% 0.19% EC
169 BENTLEY SYSTEMS, INCORPORATED 08265T208 Feb 2026 13,993 -1,765 $457K -20.7% 0.19% EC
170 PLEXUS CORP. 729132100 Feb 2026 1,700 -200 $456K +23.7% 0.19% EC
171 Proto Labs, Inc. 743713109 Feb 2026 6,000 $455K +22.0% 0.19% EC
172 GREEN PLAINS INC. 393222104 Feb 2026 28,860 +4,760 $452K +36.7% 0.19% EC
173 HAEMONETICS CORPORATION 405024100 Feb 2026 6,640 $450K +7.1% 0.19% EC
174 GENCO SHIPPING & TRADING LIMITED Y2685T131 Feb 2026 18,680 -2,830 $449K -13.1% 0.19% EC
175 GARRETT MOTION INC. 366505105 Feb 2026 13,707 -6,700 $449K +8.1% 0.19% EC
176 FIRSTSERVICE CORPORATION N/A Feb 2026 3,344 NEW $449K 0.19% EC
177 nLIGHT Inc 65487K100 Feb 2026 6,020 -780 $446K +16.8% 0.18% EC
178 MGIC INVESTMENT CORPORATION 552848103 Feb 2026 17,493 -1,901 $441K -14.3% 0.18% EC
179 Maze Therapeutics Inc 578784100 May 2026 16,610 NEW $440K 0.18% EC
180 BENCHMARK ELECTRONICS, INC. 08160H101 May 2026 5,200 NEW $439K 0.18% EC
181 LINCOLN NATIONAL CORPORATION 534187109 Feb 2026 12,443 -33,810 $439K -72.3% 0.18% EC
182 Tactile Systems Technology Inc 87357P100 Feb 2026 17,789 +346 $438K -14.3% 0.18% EC
183 ENERSYS 29275Y102 Feb 2026 1,911 -300 $436K +18.6% 0.18% EC
184 VICOR CORPORATION 925815102 May 2026 1,300 NEW $435K 0.18% EC
185 JACK HENRY & ASSOCIATES, INC. 426281101 Feb 2026 3,189 -400 $435K -25.4% 0.18% EC
186 ALTO INGREDIENTS, INC. N/A Feb 2026 79,400 NEW $433K 0.18% EC
187 AXALTA COATING SYSTEMS LTD. G0750C108 Feb 2026 14,045 -1,527 $432K -16.9% 0.18% EC
188 MOOG INC. 615394202 Feb 2026 1,200 $432K +6.7% 0.18% EC
189 BLOOM ENERGY CORPORATION N/A Feb 2026 1,500 NEW $428K 0.18% EC
190 VIASAT, INC. 92552V100 May 2026 5,300 NEW $427K 0.18% EC
191 SEMTECH CORPORATION 816850101 Feb 2026 2,800 -100 $427K +63.2% 0.18% EC
192 Ibex Ltd G4690M101 Feb 2026 13,496 $427K +9.5% 0.18% EC
193 FIRST COMMONWEALTH FINANCIAL CORPORATION 319829107 Feb 2026 22,532 -8,215 $427K -20.8% 0.18% EC
194 BCB BANCORP, INC. N/A Feb 2026 40,762 NEW $426K 0.18% EC
195 DANA INCORPORATED 235825205 Feb 2026 12,000 $425K +3.4% 0.18% EC
196 GLOBUS MEDICAL, INC. 379577208 Feb 2026 5,179 -563 $424K -22.6% 0.17% EC
197 ENCORE CAPITAL GROUP, INC. 292554102 Feb 2026 5,300 -300 $424K +10.8% 0.17% EC
198 Inmode Ltd M5425M103 Feb 2026 30,398 $423K +1.3% 0.17% EC
199 SM ENERGY COMPANY 78454L100 Feb 2026 13,760 -1,495 $423K +19.8% 0.17% EC
200 DIME COMMUNITY BANCSHARES, INC. 25432X102 Feb 2026 11,270 $422K +15.7% 0.17% EC
201 EXTREME NETWORKS, INC. 30226D106 Feb 2026 15,900 $422K +89.6% 0.17% EC
202 BEL FUSE INC. N/A Feb 2026 1,716 NEW $420K 0.17% EC
203 KNOWLES CORPORATION 49926D109 May 2026 11,200 NEW $419K 0.17% EC
204 ACUITY INC. 00508Y102 May 2026 1,372 NEW $419K 0.17% EC
205 MYR GROUP INC. 55405W104 Feb 2026 900 -600 $419K +3.4% 0.17% EC
206 ZUMIEZ INC. 989817101 Feb 2026 16,987 -500 $418K -8.7% 0.17% EC
207 VERALTO CORPORATION 92338C103 Feb 2026 5,083 +1,578 $418K +22.4% 0.17% EC
208 THERAVANCE BIOPHARMA, INC. G8807B106 Feb 2026 26,019 +1,010 $418K -8.4% 0.17% EC
209 GRAHAM CORPORATION 384556106 Feb 2026 4,163 $417K +23.3% 0.17% EC
210 Idaho Strategic Resources, Inc. 645827205 Feb 2026 10,546 -1,970 $412K -23.5% 0.17% EC
211 SYNAPTICS INCORPORATED 87157D109 Feb 2026 3,000 -700 $412K +36.6% 0.17% EC
212 DYCOM INDUSTRIES, INC. 267475101 Feb 2026 800 -100 $408K +7.9% 0.17% EC
213 MIDLAND STATES BANCORP, INC. 597742105 Feb 2026 14,584 +5,800 $405K +108.6% 0.17% EC
214 Vox Royalty Corp 92919F103 Feb 2026 69,387 -3,750 $405K -13.8% 0.17% EC
215 TTM TECHNOLOGIES, INC. 87305R109 Feb 2026 2,300 -1,600 $400K -1.7% 0.16% EC
216 BANK OF MARIN BANCORP N/A Feb 2026 15,460 NEW $399K 0.16% EC
217 BOOZ ALLEN HAMILTON HOLDING CORPORATION N/A Feb 2026 5,045 NEW $399K 0.16% EC
218 ENOVA INTERNATIONAL, INC. 29357K103 Feb 2026 2,471 $399K +16.2% 0.16% EC
219 GFL ENVIRONMENTAL INC. 36168Q104 Feb 2026 11,887 -1,494 $399K -32.6% 0.16% EC
220 CTS CORPORATION 126501105 May 2026 6,200 NEW $398K 0.16% EC
221 SSR MINING INC. 784730103 Feb 2026 12,700 -800 $396K -8.8% 0.16% EC
222 STEVEN MADDEN, LTD. 556269108 Feb 2026 9,093 +408 $395K +26.0% 0.16% EC
223 U. S. PHYSICAL THERAPY, INC. 90337L108 Feb 2026 6,146 -771 $395K -31.2% 0.16% EC
224 TERAWULF INC. 88080T104 Feb 2026 15,438 +8,070 $395K +230.2% 0.16% EC
225 OIL STATES INTERNATIONAL, INC. 678026105 Feb 2026 46,370 +16,370 $394K +0.4% 0.16% EC
226 SITIME CORPORATION 82982T106 Feb 2026 554 -400 $393K +3.7% 0.16% EC
227 HAMILTON LANE INCORPORATED 407497106 Feb 2026 4,484 -562 $391K -26.2% 0.16% EC
228 HEALTHCARE SERVICES GROUP, INC. 421906108 Feb 2026 18,900 $389K -5.4% 0.16% EC
229 CALEDONIA MINING CORPORATION PLC G1757E113 Feb 2026 16,380 -9,770 $389K -53.1% 0.16% EC
230 FORMFACTOR, INC. 346375108 Feb 2026 3,100 -900 $386K -2.3% 0.16% EC
231 FIRST AMERICAN FINANCIAL CORPORATION 31847R102 Feb 2026 5,806 -631 $385K -14.8% 0.16% EC
232 SAFE BULKERS, INC. Y7388L103 Feb 2026 61,098 -14,280 $382K -22.8% 0.16% EC
233 STARWOOD PROPERTY TRUST, INC. 85571B105 Feb 2026 22,332 -2,426 $381K -13.5% 0.16% EC
234 PATRICK INDUSTRIES, INC. 703343103 Feb 2026 4,213 +557 $381K -15.7% 0.16% EC
235 MYERS INDUSTRIES, INC. 628464109 Feb 2026 16,700 -500 $381K -1.0% 0.16% EC
236 MERITAGE HOMES CORPORATION 59001A102 Feb 2026 5,817 -221 $380K -16.7% 0.16% EC
237 RILEY EXPLORATION PERMIAN, INC. 76665T102 May 2026 11,404 NEW $379K 0.16% EC
238 NWPX INFRASTRUCTURE, INC. 667746101 May 2026 3,200 NEW $377K 0.16% EC
239 Pangaea Logistics Solutions Ltd G6891L105 Feb 2026 49,840 +480 $377K -18.3% 0.16% EC
240 GUARDANT HEALTH, INC. 40131M109 Feb 2026 2,904 -100 $377K +33.5% 0.16% EC
241 AMERICAN SUPERCONDUCTOR CORPORATION N/A Feb 2026 7,374 NEW $376K 0.15% EC
242 NEXTPOWER INC. N/A Feb 2026 2,401 NEW $376K 0.15% EC
243 CuriosityStream Inc 23130Q107 Feb 2026 131,040 +12,570 $375K -6.4% 0.15% EC
244 TEEKAY CORPORATION LTD. G8726T105 Feb 2026 32,625 -9,110 $374K -30.8% 0.15% EC
245 WINGSTOP INC. 974155103 Feb 2026 2,384 -292 $374K -46.1% 0.15% EC
246 COMPASS MINERALS INTERNATIONAL, INC. 20451N101 May 2026 11,700 NEW $373K 0.15% EC
247 DOMINO'S PIZZA, INC. 25754A201 Feb 2026 1,198 -151 $372K -31.5% 0.15% EC
248 ARDMORE SHIPPING CORPORATION Y0207T100 Feb 2026 23,088 +16,180 $371K +228.1% 0.15% EC
249 PBF ENERGY INC. 69318G106 May 2026 9,100 NEW $370K 0.15% EC
250 BGC GROUP, INC. N/A Feb 2026 35,200 NEW $368K 0.15% EC
251 Postal Realty Trust Inc 73757R102 Feb 2026 15,845 -8,750 $365K -28.4% 0.15% EC
252 AMNEAL PHARMACEUTICALS, INC. 03168L105 Feb 2026 27,700 $365K -4.6% 0.15% EC
253 TURNING POINT BRANDS, INC. 90041L105 May 2026 4,293 NEW $365K 0.15% EC
254 CENTURY ALUMINUM COMPANY 156431108 May 2026 5,500 NEW $363K 0.15% EC
255 AMN HEALTHCARE SERVICES, INC. N/A Feb 2026 12,500 NEW $362K 0.15% EC
256 The Bank of N.T. Butterfield & Son Limited G0772R208 Feb 2026 6,400 $361K +11.3% 0.15% EC
257 COEUR MINING, INC. 192108504 Feb 2026 18,700 +3,000 $361K -15.2% 0.15% EC
258 CONSOLIDATED WATER CO. LTD. G23773107 Feb 2026 11,954 -1,310 $361K -28.1% 0.15% EC
259 PORTLAND GENERAL ELECTRIC COMPANY 736508847 Feb 2026 7,188 -781 $360K -16.2% 0.15% EC
260 SPHERE ENTERTAINMENT CO. 55826T102 Feb 2026 2,600 -200 $360K +8.0% 0.15% EC
261 Spire Inc. 84857L101 Feb 2026 4,356 -472 $358K -19.0% 0.15% EC
262 Hallador Energy Company 40609P105 Feb 2026 18,601 -5,530 $358K -18.3% 0.15% EC
263 OPENLANE, INC. 48238T109 Feb 2026 9,400 -1,800 $358K +12.2% 0.15% EC
264 OMNICELL, INC. 68213N109 May 2026 8,100 NEW $358K 0.15% EC
265 ORIGIN BANCORP, INC. 68621T102 May 2026 7,500 NEW $357K 0.15% EC
266 ARROW FINANCIAL CORPORATION N/A Feb 2026 9,700 NEW $356K 0.15% EC
267 INTEST CORPORATION 461147100 May 2026 21,100 NEW $355K 0.15% EC
268 OUTFRONT MEDIA INC. 69007J304 May 2026 11,000 NEW $355K 0.15% EC
269 UNITED NATURAL FOODS, INC. 911163103 May 2026 6,900 NEW $354K 0.15% EC
270 DIGI INTERNATIONAL INC. 253798102 Feb 2026 5,300 -2,200 $354K -3.3% 0.15% EC
271 PREFORMED LINE PRODUCTS COMPANY 740444104 Feb 2026 956 -90 $354K +33.3% 0.15% EC
272 RANGER ENERGY SERVICES, INC. 75282U104 Feb 2026 22,764 -4,850 $352K -26.8% 0.15% EC
273 CONNECTONE BANCORP, INC. 20786W107 May 2026 11,700 NEW $352K 0.15% EC
274 Maravai LifeSciences Holdings Inc 56600D107 May 2026 73,200 NEW $351K 0.14% EC
275 APYX MEDICAL, INC. 03837C106 Feb 2026 87,900 +8,000 $351K +34.4% 0.14% EC
276 WSFS FINANCIAL CORPORATION 929328102 Feb 2026 4,900 +400 $350K +22.5% 0.14% EC
277 PAR PACIFIC HOLDINGS, INC. 69888T207 Feb 2026 6,200 -500 $348K +21.8% 0.14% EC
278 FLYWIRE CORPORATION 302492103 May 2026 21,700 NEW $348K 0.14% EC
279 LIGAND PHARMACEUTICALS INCORPORATED 53220K504 Feb 2026 1,500 $348K +17.0% 0.14% EC
280 FRONTDOOR, INC. 35905A109 Feb 2026 5,600 +400 $348K -2.5% 0.14% EC
281 Paysign Inc 70451A104 May 2026 47,800 NEW $348K 0.14% EC
282 BANK7 CORP. 06652N107 Feb 2026 7,845 $347K +8.8% 0.14% EC
283 INGEVITY CORPORATION 45688C107 Feb 2026 5,116 -557 $347K -15.1% 0.14% EC
284 SOUTHERN FIRST BANCSHARES, INC. 842873101 Feb 2026 6,000 -400 $347K -3.0% 0.14% EC
285 KAISER ALUMINUM CORPORATION 483007704 May 2026 1,900 NEW $346K 0.14% EC
286 AMERIS BANCORP 03076K108 Feb 2026 4,100 $346K +8.6% 0.14% EC
287 VALVOLINE INC. 92047W101 Feb 2026 10,202 -1,110 $344K -19.5% 0.14% EC
288 MAXLINEAR, INC. 57776J100 May 2026 3,700 NEW $344K 0.14% EC
289 CALLAWAY GOLF COMPANY 131193104 May 2026 22,300 NEW $343K 0.14% EC
290 DOUGLAS DYNAMICS, INC. 25960R105 Feb 2026 7,700 +700 $343K +6.7% 0.14% EC
291 ADDUS HOMECARE CORPORATION N/A Feb 2026 3,730 NEW $342K 0.14% EC
292 AerSale Corp 00810F106 Feb 2026 51,865 $342K -15.5% 0.14% EC
293 WATTS WATER TECHNOLOGIES, INC. 942749102 Feb 2026 1,100 $340K -6.0% 0.14% EC
294 THE ANDERSONS, INC N/A Feb 2026 4,800 NEW $339K 0.14% EC
295 INNOVAGE HOLDING CORP. 45784A104 Feb 2026 44,599 +8,599 $339K +4.9% 0.14% EC
296 INTREPID POTASH, INC. 46121Y201 Feb 2026 8,655 -3,280 $338K -23.4% 0.14% EC
297 Shattuck Labs Inc 82024L103 Feb 2026 56,700 -22,000 $337K +9.4% 0.14% EC
298 ENERGY SERVICES OF AMERICA CORPORATION 29271Q103 Feb 2026 22,568 -8,830 $337K -31.3% 0.14% EC
299 JBT MAREL CORPORATION 477839104 Feb 2026 2,500 +600 $336K +14.8% 0.14% EC
300 ADTRAN HOLDINGS, INC. 00486H105 Feb 2026 20,300 -2,000 $336K +47.7% 0.14% EC
301 TREDEGAR CORPORATION 894650100 Feb 2026 42,887 -6,800 $335K -26.6% 0.14% EC
302 FRONTVIEW REIT, INC. 35922N100 Feb 2026 18,878 $335K +7.1% 0.14% EC
303 CUSTOM TRUCK ONE SOURCE, INC. 23204X103 May 2026 34,900 NEW $334K 0.14% EC
304 APTARGROUP, INC. N/A Feb 2026 2,880 NEW $334K 0.14% EC
305 LIFESTANCE HEALTH GROUP, INC. 53228F101 May 2026 43,200 NEW $333K 0.14% EC
306 PERIMETER SOLUTIONS, INC. 71385M107 May 2026 10,300 NEW $332K 0.14% EC
307 ADVANCED ENERGY INDUSTRIES, INC. N/A Feb 2026 1,100 NEW $332K 0.14% EC
308 MADISON SQUARE GARDEN ENTERTAINMENT CORP. 558256103 Feb 2026 4,700 $331K +11.7% 0.14% EC
309 BRIDGEBIO PHARMA, INC. 10806X102 Feb 2026 5,002 -200 $331K -4.2% 0.14% EC
310 WARRIOR MET COAL, INC. 93627C101 Feb 2026 3,500 -200 $331K +7.4% 0.14% EC
311 KENNAMETAL INC. 489170100 Feb 2026 10,000 -500 $328K -22.4% 0.14% EC
312 SGHC Ltd G8588X103 Feb 2026 26,300 -1,000 $327K +12.1% 0.14% EC
313 MURPHY USA INC. 626755102 Feb 2026 647 -407 $327K -20.5% 0.14% EC
314 Ouster Inc 68989M202 Feb 2026 7,100 -3,000 $327K +70.8% 0.13% EC
315 PHINIA INC. 71880K101 Feb 2026 4,200 $324K +6.4% 0.13% EC
316 NioCorp Developments Ltd 654484609 Feb 2026 56,127 $324K +8.9% 0.13% EC
317 WORTHINGTON ENTERPRISES, INC. 981811102 Feb 2026 5,700 +1,200 $324K +28.4% 0.13% EC
318 Prelude Therapeutics Inc 74065P101 May 2026 82,100 NEW $322K 0.13% EC
319 THE REALREAL, INC. 88339P101 Feb 2026 33,330 +19,070 $321K +83.8% 0.13% EC
320 ESCO TECHNOLOGIES INC. 296315104 May 2026 1,100 NEW $321K 0.13% EC
321 TEXAS CAPITAL BANCSHARES, INC. 88224Q107 Feb 2026 3,200 -200 $318K -1.7% 0.13% EC
322 GENTEX CORPORATION 371901109 Feb 2026 13,158 -1,430 $318K -6.9% 0.13% EC
323 MUELLER WATER PRODUCTS, INC. 624758108 Feb 2026 12,600 +1,000 $318K -8.5% 0.13% EC
324 SILGAN HOLDINGS INC. 827048109 Feb 2026 8,394 -913 $315K -29.5% 0.13% EC
325 ZURN ELKAY WATER SOLUTIONS CORPORATION 98983L108 Feb 2026 6,700 $315K -7.8% 0.13% EC
326 SPX TECHNOLOGIES, INC. N/A Feb 2026 1,453 NEW $315K 0.13% EC
327 UFP INDUSTRIES, INC. 90278Q108 Feb 2026 3,846 -483 $312K -30.1% 0.13% EC
328 BLACK HILLS CORPORATION N/A Feb 2026 4,264 NEW $311K 0.13% EC
329 8X8, INC. 282914100 Feb 2026 149,800 $310K -3.3% 0.13% EC
330 SUPERNUS PHARMACEUTICALS, INC. 868459108 May 2026 6,700 NEW $309K 0.13% EC
331 PARKE BANCORP, INC. 700885106 Feb 2026 9,770 $300K +10.3% 0.12% EC
332 RICHARDSON ELECTRONICS, LTD. 763165107 Feb 2026 17,633 $299K +38.3% 0.12% EC
333 GRIFFON CORPORATION 398433102 Feb 2026 3,400 $299K +3.2% 0.12% EC
334 FEDERAL SIGNAL CORPORATION 313855108 Feb 2026 2,800 +200 $299K -1.3% 0.12% EC
335 Enanta Pharmaceuticals Inc 29251M106 May 2026 22,600 NEW $297K 0.12% EC
336 BRIDGEWATER BANCSHARES, INC. 108621103 Feb 2026 15,732 $297K +3.2% 0.12% EC
337 AGENUS INC. 00847G804 May 2026 84,700 NEW $296K 0.12% EC
338 EASTERN BANKSHARES, INC. 27627N105 May 2026 14,800 NEW $292K 0.12% EC
339 Mineralys Therapeutics Inc 603170101 Feb 2026 9,250 +2,410 $291K +45.6% 0.12% EC
340 LSB INDUSTRIES, INC. 502160104 May 2026 23,100 NEW $290K 0.12% EC
341 Precigen, Inc. 74017N105 May 2026 66,590 NEW $289K 0.12% EC
342 UMB FINANCIAL CORPORATION 902788108 Feb 2026 2,200 $289K +13.3% 0.12% EC
343 BOWMAN CONSULTING GROUP LTD. 103002101 Feb 2026 9,151 $289K -6.0% 0.12% EC
344 SONOS, INC. 83570H108 Feb 2026 18,200 -3,000 $287K -12.0% 0.12% EC
345 enCore Energy Corp. 29259W700 Feb 2026 179,214 +74,770 $287K +1.7% 0.12% EC
346 Popular, Inc. 733174700 May 2026 1,913 NEW $284K 0.12% EC
347 AMALGAMATED FINANCIAL CORP. N/A Feb 2026 6,800 NEW $282K 0.12% EC
348 AXT, INC. 00246W103 May 2026 2,730 NEW $282K 0.12% EC
349 RESIDEO TECHNOLOGIES, INC. 76118Y104 Feb 2026 9,000 $281K -19.2% 0.12% EC
350 GEVO, INC. 374396406 Feb 2026 151,303 +46,450 $281K +47.5% 0.12% EC
351 FIRST HORIZON CORPORATION 320517105 Feb 2026 11,523 -1,275 $279K -8.3% 0.12% EC
352 ARCOSA, INC. N/A Feb 2026 2,200 NEW $279K 0.12% EC
353 ROCKY BRANDS, INC. 774515100 Feb 2026 7,209 -3,490 $279K -42.4% 0.11% EC
354 ASTRONICS CORPORATION N/A Feb 2026 3,200 NEW $278K 0.11% EC
355 CITY HOLDING COMPANY 177835105 Feb 2026 2,227 -243 $277K -6.6% 0.11% EC
356 NATURE'S SUNSHINE PRODUCTS, INC. 639027101 Feb 2026 13,000 -500 $277K -26.0% 0.11% EC
357 NMI HOLDINGS, INC. 629209305 Feb 2026 7,690 -836 $276K -17.6% 0.11% EC
358 UNIVERSAL INSURANCE HOLDINGS, INC. 91359V107 Feb 2026 7,435 $275K +5.3% 0.11% EC
359 GOGO INC. 38046C109 Feb 2026 60,016 +46,620 $274K +384.0% 0.11% EC
360 CORSAIR GAMING, INC. 22041X102 Feb 2026 22,558 +1,850 $274K +140.9% 0.11% EC
361 INGREDION INCORPORATED 457187102 Feb 2026 2,696 -292 $273K -22.1% 0.11% EC
362 VANDA PHARMACEUTICALS INC. 921659108 May 2026 42,400 NEW $273K 0.11% EC
363 Adaptive Biotechnologies Corp 00650F109 Feb 2026 17,977 -300 $272K -7.0% 0.11% EC
364 YETI HOLDINGS, INC. 98585X104 Feb 2026 5,658 +483 $271K +20.0% 0.11% EC
365 POOL CORPORATION 73278L105 Feb 2026 1,488 -187 $270K -29.1% 0.11% EC
366 Esquire Financial Holdings Inc 29667J101 Feb 2026 2,456 $270K +8.8% 0.11% EC
367 FIGS, INC. 30260D103 May 2026 22,800 NEW $268K 0.11% EC
368 CONSTRUCTION PARTNERS, INC. 21044C107 Feb 2026 2,300 -300 $268K -23.3% 0.11% EC
369 COLONY BANKCORP, INC. 19623P101 Feb 2026 13,500 -12,001 $267K -47.1% 0.11% EC
370 EXLSERVICE HOLDINGS, INC. 302081104 Feb 2026 9,141 -993 $265K -16.2% 0.11% EC
371 AMERICAN HEALTHCARE REIT, INC. 398182303 Feb 2026 5,400 -2,000 $264K -31.7% 0.11% EC
372 Customers Bancorp, Inc. 23204G100 Feb 2026 3,500 -900 $263K -11.4% 0.11% EC
373 PEDIATRIX MEDICAL GROUP, INC. 58502B106 Feb 2026 12,200 -2,000 $263K -6.8% 0.11% EC
374 FLEXSTEEL INDUSTRIES, INC. 339382103 Feb 2026 4,549 +1,770 $262K +83.3% 0.11% EC
375 PHIBRO ANIMAL HEALTH CORPORATION 71742Q106 Feb 2026 8,449 -9,650 $260K -73.7% 0.11% EC
376 SOUTHWEST GAS HOLDINGS, INC. 844895102 Feb 2026 3,000 $259K -2.2% 0.11% EC
377 POWELL INDUSTRIES, INC. 739128106 Feb 2026 898 +482 $255K +17.3% 0.11% EC
378 BALCHEM CORPORATION N/A Feb 2026 1,600 NEW $251K 0.10% EC
379 INTERFACE, INC. 458665304 Feb 2026 8,413 $249K -6.0% 0.10% EC
380 Atmus Filtration Technologies Inc 04956D107 Feb 2026 5,300 -700 $248K -36.0% 0.10% EC
381 AMBARELLA, INC. G037AX101 Feb 2026 3,400 -700 $245K -0.8% 0.10% EC
382 ORRSTOWN FINANCIAL SERVICES, INC. 687380105 Feb 2026 6,548 $243K +3.3% 0.10% EC
383 VILLAGE SUPER MARKET, INC. 927107409 Feb 2026 5,167 $240K +18.7% 0.10% EC
384 LCI INDUSTRIES 50189K103 Feb 2026 2,200 -400 $240K -30.7% 0.10% EC
385 NERDWALLET, INC. 64082B102 Feb 2026 27,821 -7,390 $239K -37.4% 0.10% EC
386 WESTAMERICA BANCORPORATION 957090103 Feb 2026 4,276 -465 $237K -1.2% 0.10% EC
387 PALOMAR HOLDINGS, INC. 69753M105 Feb 2026 2,200 -200 $235K -20.7% 0.10% EC
388 MIMEDX GROUP, INC. 602496101 Feb 2026 63,611 -31,730 $234K -49.8% 0.10% EC
389 CADIZ INC. 127537207 Feb 2026 47,765 $233K -6.2% 0.10% EC
390 TELOS CORPORATION 87969B101 Feb 2026 48,562 +2,510 $233K +25.6% 0.10% EC
391 NAVIGATOR HOLDINGS LTD. Y62132108 Feb 2026 10,582 -3,500 $230K -22.4% 0.09% EC
392 Niagen Bioscience Inc 171077407 Feb 2026 59,183 -18,070 $228K -41.4% 0.09% EC
393 BIOAGE Labs Inc 09077V100 Feb 2026 13,069 $226K -22.4% 0.09% EC
394 Keros Therapeutics Inc 492327101 Feb 2026 20,008 +2,460 $225K -9.6% 0.09% EC
395 BLUE BIRD CORPORATION N/A Feb 2026 3,280 NEW $222K 0.09% EC
396 RUSH ENTERPRISES, INC. 781846308 Feb 2026 3,420 -140 $222K -3.6% 0.09% EC
397 BK TECHNOLOGIES CORPORATION 05587G203 Feb 2026 2,663 -1,460 $220K -38.8% 0.09% EC
398 THE CHEESECAKE FACTORY INCORPORATED 163072101 Feb 2026 3,284 -356 $217K -8.0% 0.09% EC
399 IMMERSION CORPORATION 452521107 Feb 2026 33,448 $217K +6.1% 0.09% EC
400 ENVISTA HOLDINGS CORPORATION 29415F104 Feb 2026 9,200 -1,000 $217K -27.3% 0.09% EC
401 IRHYTHM HOLDINGS, INC. 450056106 Feb 2026 1,900 $216K -14.8% 0.09% EC
402 NORTHRIM BANCORP, INC. 666762109 Feb 2026 8,694 -890 $215K -4.6% 0.09% EC
403 MCGRAW HILL, INC. 580907103 Feb 2026 17,718 -3,020 $213K -26.5% 0.09% EC
404 HOMETRUST BANCSHARES, INC. 437872104 Feb 2026 4,588 $213K +10.3% 0.09% EC
405 Inhibrx Biosciences Inc 45720N103 May 2026 2,040 NEW $212K 0.09% EC
406 MID PENN BANCORP, INC. 59540G107 Feb 2026 6,487 $212K +1.5% 0.09% EC
407 DESIGNER BRANDS INC. 250565108 Feb 2026 27,433 $212K +8.4% 0.09% EC
408 COSTAMARE INC. Y1771G102 Feb 2026 13,670 -2,870 $210K -27.7% 0.09% EC
409 SOUTHERN MISSOURI BANCORP, INC. 843380106 Feb 2026 2,978 $206K +11.5% 0.08% EC
410 Orchid Island Capital Inc 68571X301 Feb 2026 30,320 $206K -8.9% 0.08% EC
411 Banco Latinoamericano de Comercio Exterior, S.A. P16994132 Feb 2026 3,548 $198K +11.6% 0.08% EC
412 COGENT BIOSCIENCES, INC. 19240Q201 Feb 2026 5,663 +500 $198K -1.3% 0.08% EC
413 Tango Therapeutics Inc 87583X109 Feb 2026 8,920 -12,750 $196K -18.8% 0.08% EC
414 HCI GROUP, INC. N/A Feb 2026 1,270 NEW $196K 0.08% EC
415 FIVE STAR BANCORP 33830T103 Feb 2026 4,627 $195K +8.5% 0.08% EC
416 BWX TECHNOLOGIES, INC. 05605H100 Feb 2026 986 -123 $193K -15.5% 0.08% EC
417 WILLDAN GROUP, INC. 96924N100 Feb 2026 2,102 $191K +1.9% 0.08% EC
418 CNX RESOURCES CORPORATION 12653C108 Feb 2026 5,659 -1,146 $191K -32.9% 0.08% EC
419 THE MARZETTI COMPANY 513847103 Feb 2026 1,702 -186 $191K -38.6% 0.08% EC
420 VIRIDIAN THERAPEUTICS, INC. 92790C104 May 2026 10,380 NEW $183K 0.08% EC
421 REX AMERICAN RESOURCES CORPORATION 761624105 May 2026 3,910 NEW $183K 0.08% EC
422 Resolute Holdings Management, Inc 76134H101 May 2026 1,520 NEW $181K 0.07% EC
423 LIQUIDITY SERVICES, INC. 53635B107 Feb 2026 4,978 $180K +14.6% 0.07% EC
424 Red Violet Inc 75704L104 Feb 2026 3,157 -2,080 $179K -20.9% 0.07% EC
425 Costamare Bulkers Holdings Ltd Y2001C101 Feb 2026 11,098 $179K -15.4% 0.07% EC
426 INNOSPEC INC. 45768S105 Feb 2026 2,158 -235 $179K -2.3% 0.07% EC
427 Brookfield Business Holdings Corp 113006100 May 2026 5,378 NEW $177K 0.07% EC
428 INTEGRA LIFESCIENCES HOLDINGS CORPORATION 457985208 Feb 2026 10,979 -1,193 $176K +27.1% 0.07% EC
429 EverQuote Inc 30041R108 Feb 2026 9,152 $176K +21.8% 0.07% EC
430 HBT FINANCIAL, INC. 404111106 Feb 2026 6,015 -2,020 $172K -20.5% 0.07% EC
431 INNODATA INC. 457642205 Feb 2026 1,640 -9,663 $172K -65.5% 0.07% EC
432 American Integrity Insurance Group Inc N/A Feb 2026 10,286 NEW $168K 0.07% EC
433 ORION GROUP HOLDINGS, INC. 68628V308 Feb 2026 12,170 -13,030 $167K -51.6% 0.07% EC
434 Ardagh Metal Packaging S.A. L02235106 Feb 2026 41,530 -18,487 $167K -42.5% 0.07% EC
435 Ategrity Specialty Insurance Company Holdings 04681Y103 May 2026 8,510 NEW $166K 0.07% EC
436 LENDINGTREE, INC. 52603B107 Feb 2026 4,343 $166K +2.2% 0.07% EC
437 Karat Packaging Inc 48563L101 Feb 2026 6,031 +3,500 $164K +162.2% 0.07% EC
438 Septerna Inc 81734D104 Feb 2026 5,404 $163K +4.1% 0.07% EC
439 ALPINE INCOME PROPERTY TRUST, INC. 02083X103 May 2026 8,420 NEW $162K 0.07% EC
440 Q2 HOLDINGS, INC. 74736L109 Feb 2026 3,400 $161K -1.6% 0.07% EC
441 BUILD-A-BEAR WORKSHOP, INC. 120076104 Feb 2026 4,239 $158K -23.5% 0.07% EC
442 JEFFERSON CAPITAL, INC. 47248R103 Feb 2026 9,110 $155K -17.6% 0.06% EC
443 COMMERCE.COM, INC. 08975P108 Feb 2026 49,068 $154K +12.6% 0.06% EC
444 Clearfield, Inc. 18482P103 May 2026 3,190 NEW $151K 0.06% EC
445 Primis Financial Corp. 74167B109 Feb 2026 10,202 $147K +9.2% 0.06% EC
446 GENIE ENERGY LTD. 372284208 Feb 2026 10,495 $146K -4.5% 0.06% EC
447 O-I GLASS, INC. 67098H104 Feb 2026 16,469 -1,790 $144K -41.1% 0.06% EC
448 Allient Inc. N/A Feb 2026 1,819 NEW $144K 0.06% EC
449 STITCH FIX, INC. 860897107 Feb 2026 40,069 $143K +6.9% 0.06% EC
450 ZENAS BIOPHARMA, INC. 98937L105 May 2026 7,740 NEW $142K 0.06% EC
451 AMERICAN PUBLIC EDUCATION, INC. 02913V103 May 2026 2,850 NEW $141K 0.06% EC
452 Iovance Biotherapeutics Inc 462260100 Feb 2026 34,080 -6,650 $140K -11.1% 0.06% EC
453 Zymeworks Inc 98985Y108 May 2026 5,500 NEW $138K 0.06% EC
454 GREAT SOUTHERN BANCORP, INC. 390905107 Feb 2026 1,904 $137K +16.6% 0.06% EC
455 California BanCorp 84252A106 Feb 2026 7,176 $136K +3.7% 0.06% EC
456 Annexon Inc 03589W102 Feb 2026 23,783 $129K -3.2% 0.05% EC
457 EDITAS MEDICINE, INC. 28106W103 Feb 2026 37,088 $128K +57.3% 0.05% EC
458 RED RIVER BANCSHARES, INC. 75686R202 Feb 2026 1,386 $126K +2.5% 0.05% EC
459 GIGACLOUD TECHNOLOGY INC G38644103 Feb 2026 3,444 $124K -18.7% 0.05% EC
460 LOANDEPOT, INC. 53946R106 Feb 2026 92,103 $122K -36.2% 0.05% EC
461 Carter Bankshares, Inc. 146103106 Feb 2026 4,445 $121K +31.0% 0.05% EC
462 PRIMEENERGY RESOURCES CORPORATION N/A Feb 2026 726 NEW $120K 0.05% EC
463 PILGRIM'S PRIDE CORPORATION 72147K108 Feb 2026 4,201 $119K -34.4% 0.05% EC
464 SLIDE INSURANCE HOLDINGS, INC. 831349105 May 2026 6,530 NEW $118K 0.05% EC
465 VISTANCE NETWORKS, INC. 20337X109 Feb 2026 9,352 -45,133 $117K -87.8% 0.05% EC
466 NORWOOD FINANCIAL CORP. 669549107 Feb 2026 3,799 $115K +4.0% 0.05% EC
467 WAVE Life Sciences Ltd Y95308105 May 2026 17,230 NEW $113K 0.05% EC
468 GLOBAL INDUSTRIAL COMPANY N/A Feb 2026 3,700 NEW $112K 0.05% EC
469 LSI INDUSTRIES INC. 50216C108 Feb 2026 4,435 -8,380 $107K -61.2% 0.04% EC
470 EASTMAN KODAK COMPANY 277461406 Feb 2026 10,818 $107K +35.5% 0.04% EC
471 AKEBIA THERAPEUTICS, INC. 00972D105 Feb 2026 104,809 -58,280 $107K -50.0% 0.04% EC
472 Xerox Holdings Corp 98421M106 May 2026 32,860 NEW $106K 0.04% EC
473 Larimar Therapeutics Inc 517125100 Feb 2026 29,512 +22,530 $103K +177.0% 0.04% EC
474 INNOVEX INTERNATIONAL, INC. 457651107 Feb 2026 3,820 $102K +1.4% 0.04% EC
475 CAPITAL BANCORP, INC. 139737100 Feb 2026 3,127 $100K +8.5% 0.04% EC
476 EAGLE BANCORP MONTANA, INC. 26942G100 Feb 2026 4,395 $98K +2.3% 0.04% EC
477 MAMMOTH ENERGY SERVICES, INC. 56155L108 Feb 2026 29,110 +10,328 $98K +124.8% 0.04% EC
478 First Tracks Biotherapeutics Inc 337185102 May 2026 6,001 NEW $96K 0.04% EC
479 Pacs Group Inc 69380Q107 Feb 2026 2,550 $93K +0.4% 0.04% EC
480 BUMBLE INC. 12047B105 May 2026 29,300 NEW $93K 0.04% EC
481 Kodiak Sciences Inc 50015M109 May 2026 2,530 NEW $93K 0.04% EC
482 BUSINESS FIRST BANCSHARES, INC. 12326C105 Feb 2026 3,215 -6,300 $92K -64.8% 0.04% EC
483 Perpetua Resources Corp 714266103 Feb 2026 3,335 -2,650 $90K -59.1% 0.04% EC
484 ORGANOGENESIS HOLDINGS INC. 68621F102 Feb 2026 34,767 -79,295 $89K -75.6% 0.04% EC
485 PARK-OHIO HOLDINGS CORP. 700666100 Feb 2026 2,614 $85K +26.5% 0.04% EC
486 MYRIAD GENETICS, INC. 62855J104 Feb 2026 21,114 $84K -13.9% 0.03% EC
487 INDEPENDENT BANK CORPORATION 453838609 Feb 2026 2,420 $83K -1.2% 0.03% EC
488 KEARNY FINANCIAL CORP. 48716P108 Feb 2026 9,903 $82K +7.7% 0.03% EC
489 FVCBankcorp, Inc. 36120Q101 Feb 2026 5,158 +910 $81K +24.1% 0.03% EC
490 Evolv Technologies Holdings Inc 30049H102 Feb 2026 12,292 $79K +21.7% 0.03% EC
491 CELCUITY INC. 15102K100 May 2026 590 NEW $78K 0.03% EC
492 Porch Group, Inc. 733245104 May 2026 7,220 NEW $75K 0.03% EC
493 NACCO INDUSTRIES, INC. 629579103 Feb 2026 1,454 $74K -11.8% 0.03% EC
494 SIERRA BANCORP 82620P102 Feb 2026 1,902 $72K +5.6% 0.03% EC
495 PEOPLES BANCORP OF NORTH CAROLINA, INC. 710577107 Feb 2026 1,676 $71K +10.2% 0.03% EC
496 MBX Biosciences Inc 55287L101 Feb 2026 2,240 $70K -3.3% 0.03% EC
497 Xencor Inc 98401F105 Feb 2026 5,892 -850 $70K -18.7% 0.03% EC
498 EMERGENT BIOSOLUTIONS INC. 29089Q105 Feb 2026 7,374 -28,510 $67K -77.0% 0.03% EC
499 RBB BANCORP 74930B105 Feb 2026 2,740 $66K +11.3% 0.03% EC
500 UNITY BANCORP, INC 913290102 Feb 2026 1,158 $65K +5.0% 0.03% EC
501 Sionna Therapeutics Inc 829401108 Feb 2026 1,488 $64K +17.2% 0.03% EC
502 FRIEDMAN INDUSTRIES, INCORPORATED 358435105 Feb 2026 2,674 $63K +25.6% 0.03% EC
503 U.S. GOLD CORP 90291C201 Feb 2026 3,850 -16,950 $62K -86.2% 0.03% EC
504 Aebi Schmidt Holding AG H00501108 Feb 2026 4,749 -13,810 $59K -77.9% 0.02% EC
505 Domo Inc 257554105 Feb 2026 13,674 $57K +16.2% 0.02% EC
506 BASSETT FURNITURE INDUSTRIES, INCORPORATED N/A Feb 2026 3,495 NEW $52K 0.02% EC
507 HANMI FINANCIAL CORPORATION 410495204 Feb 2026 1,717 $52K +15.4% 0.02% EC
508 Olema Pharmaceuticals Inc 68062P106 May 2026 3,710 NEW $49K 0.02% EC
509 SMITH & WESSON BRANDS, INC. 831754106 Feb 2026 3,201 $49K +27.9% 0.02% EC
510 Lexeo Therapeutics Inc 52886X107 Feb 2026 9,446 $49K -28.4% 0.02% EC
511 PLAYSTUDIOS, INC. 72815G108 Feb 2026 85,475 $47K +8.6% 0.02% EC
512 NEUROGENE INC. 64135M105 Feb 2026 1,558 $44K +20.6% 0.02% EC
513 HERON THERAPEUTICS, INC. 427746102 Feb 2026 45,455 -8,958 $40K -38.9% 0.02% EC
514 CNB FINANCIAL CORPORATION 126128107 Feb 2026 1,273 -2,260 $39K -60.5% 0.02% EC
515 Backblaze Inc 05637B105 May 2026 4,630 NEW $38K 0.02% EC
516 Viant Technology Inc 92557A101 May 2026 2,980 NEW $38K 0.02% EC
517 MGP INGREDIENTS, INC. 55303J106 Feb 2026 2,116 -230 $37K -16.2% 0.02% EC
518 Nextdoor Holdings Inc 65345M108 Feb 2026 17,031 $36K +20.6% 0.01% EC
519 Stoke Therapeutics Inc 86150R107 May 2026 1,160 NEW $36K 0.01% EC
520 FIDELITY D & D BANCORP, INC. 31609R100 Feb 2026 740 $35K +6.5% 0.01% EC
521 ATN INTERNATIONAL, INC. 00215F107 Feb 2026 1,223 -1,670 $34K -58.7% 0.01% EC
522 Prime Medicine, Inc 74168J101 Feb 2026 9,465 $34K -23.2% 0.01% EC
523 BIGBEAR.AI HOLDINGS, INC. 08975B109 Feb 2026 6,450 -87,976 $33K -91.3% 0.01% EC
524 ESCALADE, INCORPORATED 296056104 Feb 2026 1,702 +730 $32K +128.2% 0.01% EC
525 Third Coast Bancshares Inc 88422P109 Feb 2026 795 -8,380 $30K -91.6% 0.01% EC
526 FINWISE BANCORP 31813A109 Feb 2026 2,109 $30K -14.6% 0.01% EC
527 RAYONIER ADVANCED MATERIALS INC. 75508B104 May 2026 3,020 NEW $28K 0.01% EC
528 Lightbridge Corp 53224K302 May 2026 2,300 NEW $26K 0.01% EC
529 HOLLEY INC. 43538H103 Feb 2026 9,387 -108,390 $26K -94.7% 0.01% EC
530 Kolibri Global Energy Inc. 50043K406 May 2026 4,710 NEW $24K 0.01% EC
531 Sana Biotechnology Inc 799566104 Feb 2026 5,385 $18K -21.6% 0.01% EC
532 VERASTEM, INC. 92337C203 May 2026 4,000 NEW $17K 0.01% EC
533 N/A 92539P101 Feb 2026 21,810 $0 +0.0% 0.00% EC
LUMENTUM HOLDINGS INC. 55024U109 1,417 SOLD $1.0M
RIGEL PHARMACEUTICALS, INC. 766559702 21,799 SOLD $0.8M
NEXSTAR MEDIA GROUP, INC. 65336K103 2,621 SOLD $0.7M
PROSPERITY BANCSHARES, INC. 743606105 8,244 SOLD $0.6M
UNIFIRST CORPORATION 904708104 2,395 SOLD $0.6M
HERITAGE INSURANCE HOLDINGS, INC. 42727J102 17,795 SOLD $0.5M
CONTANGO ORE, INC. 21077F100 16,229 SOLD $0.5M
WHIRLPOOL CORPORATION 963320106 7,048 SOLD $0.5M
ENVIRI CORPORATION 415864107 25,297 SOLD $0.5M
CORMEDIX INC. 21900C308 64,379 SOLD $0.5M
AVANOS MEDICAL, INC. 05350V106 28,079 SOLD $0.4M
OppFi Inc 68386H103 41,733 SOLD $0.4M
Kiniksa Pharmaceuticals International PLC G52694109 8,570 SOLD $0.4M
DIVERSIFIED HEALTHCARE TRUST 25525P107 55,200 SOLD $0.4M
ARROWHEAD PHARMACEUTICALS, INC. 04280A100 5,600 SOLD $0.4M
FULGENT GENETICS, INC. 359664109 23,099 SOLD $0.4M
CONCENTRIX CORPORATION 20602D101 10,680 SOLD $0.4M
NATIONAL VISION HOLDINGS, INC. 63845R107 12,661 SOLD $0.3M
PLANET LABS PBC 72703X106 14,100 SOLD $0.3M
Lifezone Metals Ltd G5568L109 73,130 SOLD $0.3M
ALIGNMENT HEALTHCARE, INC. 01625V104 17,600 SOLD $0.3M
DIEBOLD NIXDORF, INCORPORATED 253651202 4,200 SOLD $0.3M
KORU MEDICAL SYSTEMS, INC. 759910102 69,951 SOLD $0.3M
APPIAN CORPORATION 03782L101 12,400 SOLD $0.3M
MONTROSE ENVIRONMENTAL GROUP, INC. 615111101 11,200 SOLD $0.3M
Arcutis Biotherapeutics Inc 03969K108 11,800 SOLD $0.3M
SIGHT SCIENCES, INC. 82657M105 60,795 SOLD $0.3M
GULFPORT ENERGY CORPORATION 402635502 1,500 SOLD $0.3M
AXSOME THERAPEUTICS, INC. 05464T104 1,863 SOLD $0.3M
Washington Trust Bancorp, Inc. 940610108 8,900 SOLD $0.3M
MIRUM PHARMACEUTICALS, INC. 604749101 3,200 SOLD $0.3M
SEACOAST BANKING CORPORATION OF FLORIDA 811707801 9,400 SOLD $0.3M
CALIX, INC. 13100M509 5,600 SOLD $0.3M
ABEONA THERAPEUTICS INC. 00289Y206 56,133 SOLD $0.3M
NETSCOUT SYSTEMS, INC. 64115T104 9,700 SOLD $0.3M
MERCURY SYSTEMS, INC. 589378108 3,129 SOLD $0.3M
LAUREATE EDUCATION, INC. 518613203 8,600 SOLD $0.3M
LIVERAMP HOLDINGS, INC. 53815P108 10,100 SOLD $0.3M
CAMDEN NATIONAL CORPORATION 133034108 5,912 SOLD $0.3M
ZEVRA THERAPEUTICS, INC. 488445206 30,428 SOLD $0.3M
HILLMAN SOLUTIONS CORP. 431636109 33,000 SOLD $0.3M
BIOCRYST PHARMACEUTICALS, INC. 09058V103 30,000 SOLD $0.3M
REPUBLIC BANCORP, INC. 760281204 3,700 SOLD $0.3M
CROSS COUNTRY HEALTHCARE, INC. 227483104 28,664 SOLD $0.2M
Grindr Inc 39854F101 21,765 SOLD $0.2M
LENDINGCLUB CORPORATION 52603A208 16,500 SOLD $0.2M
TRAVERE THERAPEUTICS, INC. 89422G107 8,100 SOLD $0.2M
Day One Biopharmaceuticals Inc 23954D109 21,884 SOLD $0.2M
SUNRUN INC. 86771W105 17,200 SOLD $0.2M
BRIXMOR PROPERTY GROUP INC. 11120U105 7,449 SOLD $0.2M
PARK HOTELS & RESORTS INC. 700517105 19,030 SOLD $0.2M
BIOVENTUS INC. 09075A108 24,464 SOLD $0.2M
LXP INDUSTRIAL TRUST 529043408 4,180 SOLD $0.2M
ATLANTICUS HOLDINGS CORPORATION 04914Y102 3,843 SOLD $0.2M
ANI PHARMACEUTICALS, INC. 00182C103 2,711 SOLD $0.2M
GUARDIAN PHARMACY SERVICES, INC. 40145W101 5,843 SOLD $0.2M
Monte Rosa Therapeutics Inc 61225M102 10,934 SOLD $0.2M
Brookfield Business Corp 11259V106 5,378 SOLD $0.2M
ONE LIBERTY PROPERTIES, INC. 682406103 7,577 SOLD $0.2M
KALVISTA PHARMACEUTICALS, INC. 483497103 10,799 SOLD $0.2M
MERCANTILE BANK CORPORATION 587376104 3,347 SOLD $0.2M
Neuropace Inc 641288105 11,728 SOLD $0.2M
TETRA TECH, INC. 88162G103 4,655 SOLD $0.2M
HERTZ GLOBAL HOLDINGS, INC. 42806J700 36,198 SOLD $0.2M
PAGAYA TECHNOLOGIES LTD M7S64L123 13,482 SOLD $0.2M
LIFEWAY FOODS, INC. 531914109 6,773 SOLD $0.2M
Anterix Inc 03676C100 4,046 SOLD $0.1M
FLOTEK INDUSTRIES, INC. 343389409 9,566 SOLD $0.1M
QUIDELORTHO CORPORATION 219798105 6,401 SOLD $0.1M
LUXFER HOLDINGS PLC G5698W116 11,203 SOLD $0.1M
Castle Biosciences Inc 14843C105 4,797 SOLD $0.1M
Urogen Pharma Ltd M96088105 6,293 SOLD $0.1M
PUMA BIOTECHNOLOGY, INC. 74587V107 23,675 SOLD $0.1M
NORTHFIELD BANCORP, INC. 66611T108 9,742 SOLD $0.1M
UNITED FIRE GROUP, INC. 910340108 3,300 SOLD $0.1M
KOPIN CORPORATION 500600101 56,622 SOLD $0.1M
RAMACO RESOURCES, INC. 75134P600 8,120 SOLD $0.1M
DONEGAL GROUP INC. 257701201 6,885 SOLD $0.1M
WM Technology Inc 92971A109 181,245 SOLD $0.1M
PHATHOM PHARMACEUTICALS, INC. 71722W107 9,566 SOLD $0.1M
OPORTUN FINANCIAL CORPORATION 68376D104 23,149 SOLD $0.1M
BOWHEAD SPECIALTY HOLDINGS INC. 10240L102 4,713 SOLD $0.1M
LENZ Therapeutics Inc 52635N103 8,438 SOLD $0.1M
Butterfly Network Inc 124155102 29,673 SOLD $0.1M
NEXTDECADE CORPORATION 65342K105 18,855 SOLD $0.1M
Replimune Group Inc 76029N106 13,139 SOLD $0.1M
GROUPON, INC. 399473206 7,506 SOLD $0.1M
FINANCE OF AMERICA COMPANIES INC. 31738L206 4,583 SOLD $0.1M
R C M TECHNOLOGIES, INC. 749360400 4,674 SOLD $0.1M
Tectonic Therapeutic Inc 878972108 3,197 SOLD $0.1M
ARHAUS, INC 04035M102 8,706 SOLD $0.1M
US GoldMining Inc 90291W108 5,721 SOLD $0.1M
CRICUT, INC. 22658D100 15,989 SOLD $0.1M
PONCE FINANCIAL GROUP, INC. 732344106 4,169 SOLD $0.1M
Eton Pharmaceuticals Inc 29772L108 3,819 SOLD $0.1M
FIRST WESTERN FINANCIAL, INC. 33751L105 2,536 SOLD $0.1M
Natural Grocers by Vitamin Cottage Inc 63888U108 2,349 SOLD $0.1M
METROCITY BANKSHARES, INC. 59165J105 2,246 SOLD $0.1M
Airjoule Technologies Corp 612160101 19,431 SOLD $0.1M
VITAL FARMS, INC. 92847W103 2,891 SOLD $0.1M
Gray Media, Inc 389375106 11,662 SOLD $0.1M
ARS Pharmaceuticals Inc 82835W108 6,235 SOLD $0.1M
MOTORCAR PARTS OF AMERICA, INC. 620071100 5,442 SOLD $0.1M
BED BATH & BEYOND, INC. 690370101 10,538 SOLD $0.1M
Electromed Inc 285409108 2,218 SOLD $0.1M
ArriVent BioPharma Inc 04272N102 2,208 SOLD $0.1M
HF FOODS GROUP INC. 40417F109 23,231 SOLD $0.0M
ARQ, INC. 00770C101 13,425 SOLD $0.0M
Regenxbio Inc 75901B107 5,107 SOLD $0.0M
Real Brokerage Inc 75585H206 17,024 SOLD $0.0M
MICROVAST HOLDINGS, INC. 59516C106 19,592 SOLD $0.0M
Quantum-Si Inc 74765K105 45,131 SOLD $0.0M
BLACKSKY TECHNOLOGY INC. 09263B207 2,260 SOLD $0.0M
CLAROS MORTGAGE TRUST, INC. 18270D106 17,295 SOLD $0.0M
OLD SECOND BANCORP, INC. 680277100 2,058 SOLD $0.0M
CENTRUS ENERGY CORP. 15643U104 153 SOLD $0.0M
Titan America SA B9151N105 1,624 SOLD $0.0M
SINCLAIR, INC. 829242106 1,698 SOLD $0.0M
TriSalus Life Sciences Inc 89680M101 3,743 SOLD $0.0M
GOSSAMER BIO, INC. 38341P102 26,686 SOLD $0.0M
Kaltura Inc 483467106 6,800 SOLD $0.0M