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MORGAN STANLEY

· CIK 0000895421
13F Portfolio $1.67T AUM 45,420 positions Filed Feb 13, 2026 EDGAR ↗ ← All Funds
8196 New
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 AAPL APPLE INC Technology 230,483,035 $62.66B 3.74% NEW
2 NVDA NVIDIA CORPORATION Technology 323,733,984 $60.38B 3.60% NEW
3 MSFT MICROSOFT CORP Technology 121,220,561 $58.62B 3.50% NEW
4 GOOGL ALPHABET INC Communication Services 121,794,366 $38.12B 2.28% NEW
5 AMZN AMAZON COM INC Consumer Cyclical 161,580,340 $37.30B 2.23% NEW
6 AVGO BROADCOM INC Technology 72,964,756 $25.25B 1.51% NEW
7 META META PLATFORMS INC Communication Services 37,553,102 $24.79B 1.48% NEW
8 GOOGL ALPHABET INC Communication Services 71,841,419 $22.54B 1.35% NEW
9 JPM JPMORGAN CHASE & CO. Financial Services 66,385,268 $21.39B 1.28% NEW
10 LRGF SPDR S&P 500 ETF TR 29,324,506 $20.00B 1.19% NEW
11 LLY ELI LILLY & CO Healthcare 15,593,019 $16.76B 1.00% NEW
12 IVV ISHARES TR 24,028,236 $16.46B 0.98% NEW
13 V VISA INC Financial Services 46,863,081 $16.44B 0.98% NEW
14 TSLA TESLA INC Consumer Cyclical 35,783,015 $16.09B 0.96% NEW
15 VOO VANGUARD INDEX FDS 24,568,372 $15.41B 0.92% NEW
16 BRK/B BERKSHIRE HATHAWAY INC DEL 26,280,201 $13.21B 0.79% NEW
17 IWF ISHARES TR 27,636,174 $13.08B 0.78% NEW
18 QQQM INVESCO QQQ TR 16,041,841 $9.85B 0.59% NEW
19 JNJ JOHNSON & JOHNSON Healthcare 46,325,589 $9.59B 0.57% NEW
20 WMT WALMART INC Consumer Defensive 84,273,016 $9.39B 0.56% NEW
21 IEFA ISHARES TR 104,883,248 $9.38B 0.56% NEW
22 BND VANGUARD BD INDEX FDS 124,929,480 $9.25B 0.55% NEW
23 MA MASTERCARD INCORPORATED Financial Services 16,046,550 $9.16B 0.55% NEW
24 ABBV ABBVIE INC Healthcare 40,041,940 $9.15B 0.55% NEW
25 IYE EXXON MOBIL CORP 74,457,855 $8.96B 0.54% NEW
26 IWD ISHARES TR 39,663,587 $8.34B 0.50% NEW
27 COST COSTCO WHSL CORP NEW Consumer Defensive 9,523,423 $8.21B 0.49% NEW
28 NFLX NETFLIX INC Communication Services 85,349,973 $8.00B 0.48% NEW
29 HD HOME DEPOT INC Consumer Cyclical 22,113,754 $7.61B 0.45% NEW
30 VUG VANGUARD INDEX FDS 14,385,761 $7.02B 0.42% NEW
31 PG PROCTER AND GAMBLE CO Consumer Defensive 48,823,274 $7.00B 0.42% NEW
32 IEMG ISHARES INC 102,793,787 $6.91B 0.41% NEW
33 TMO THERMO FISHER SCIENTIFIC INC Healthcare 11,894,277 $6.89B 0.41% NEW
34 GS GOLDMAN SACHS GROUP INC Financial Services 7,462,643 $6.56B 0.39% NEW
35 UBER UBER TECHNOLOGIES INC Technology 80,196,924 $6.55B 0.39% NEW
36 KO COCA COLA CO Consumer Defensive 93,199,753 $6.52B 0.39% NEW
37 VTV VANGUARD INDEX FDS 33,171,922 $6.34B 0.38% NEW
38 BAC BANK AMERICA CORP Financial Services 112,791,313 $6.20B 0.37% NEW
39 RSP INVESCO EXCHANGE TRADED FD T 31,346,217 $6.00B 0.36% NEW
40 CSCO CISCO SYS INC Technology 75,326,258 $5.80B 0.35% NEW
41 VEA VANGUARD TAX-MANAGED FDS 90,491,038 $5.65B 0.34% NEW
42 PANW PALO ALTO NETWORKS INC Technology 30,462,984 $5.61B 0.34% NEW
43 CVX CHEVRON CORP NEW Energy 36,305,638 $5.53B 0.33% NEW
44 GLD SPDR GOLD TR Financial Services 13,893,741 $5.51B 0.33% NEW
45 RTX RTX CORPORATION Industrials 29,783,584 $5.46B 0.33% NEW
46 AMD ADVANCED MICRO DEVICES INC Technology 25,041,819 $5.36B 0.32% NEW
47 ORCL ORACLE CORP Technology 27,125,099 $5.29B 0.32% NEW
48 NEE NEXTERA ENERGY INC Utilities 65,670,440 $5.27B 0.32% NEW
49 UNH UNITEDHEALTH GROUP INC Healthcare 15,790,095 $5.21B 0.31% NEW
50 PLTR PALANTIR TECHNOLOGIES INC Technology 29,206,906 $5.19B 0.31% NEW
51 AMGN AMGEN INC Healthcare 15,744,528 $5.15B 0.31% NEW
52 BX BLACKSTONE INC Financial Services 32,862,165 $5.07B 0.30% NEW
53 CRM SALESFORCE INC Technology 19,009,146 $5.04B 0.30% NEW
54 WFC WELLS FARGO CO NEW Financial Services 53,574,153 $4.99B 0.30% NEW
55 AXP AMERICAN EXPRESS CO Financial Services 13,199,234 $4.88B 0.29% NEW
56 MRK MERCK & CO INC Healthcare 44,946,021 $4.73B 0.28% NEW
57 MU MICRON TECHNOLOGY INC Technology 16,396,655 $4.68B 0.28% NEW
58 MCD MCDONALDS CORP Consumer Cyclical 15,270,740 $4.67B 0.28% NEW
59 VTI VANGUARD INDEX FDS 13,792,394 $4.62B 0.28% NEW
60 ABT ABBOTT LABS Healthcare 36,727,533 $4.60B 0.28% NEW
61 IBM INTERNATIONAL BUSINESS MACHS Technology 14,859,806 $4.40B 0.26% NEW
62 SPGI S&P GLOBAL INC Financial Services 8,333,099 $4.35B 0.26% NEW
63 GE GE AEROSPACE Industrials 13,924,762 $4.29B 0.26% NEW
64 SHOP SHOPIFY INC Technology 26,453,143 $4.26B 0.25% NEW
65 IWM ISHARES TR 17,121,140 $4.21B 0.25% NEW
66 IVW ISHARES TR 33,646,152 $4.15B 0.25% NEW
67 ETN EATON CORP PLC Industrials 12,978,790 $4.13B 0.25% NEW
68 TSM TAIWAN SEMICONDUCTOR MFG LTD Technology 13,513,371 $4.11B 0.24% NEW
69 TJX TJX COS INC NEW Consumer Cyclical 26,541,902 $4.08B 0.24% NEW
70 CAT CATERPILLAR INC Industrials 7,075,119 $4.05B 0.24% NEW
71 DIS DISNEY WALT CO Communication Services 35,447,892 $4.03B 0.24% NEW
72 DASH DOORDASH INC Communication Services 17,536,824 $3.97B 0.24% NEW
73 GEV GE VERNOVA INC Utilities 6,054,474 $3.96B 0.24% NEW
74 SPOT SPOTIFY TECHNOLOGY S A Communication Services 6,600,718 $3.83B 0.23% NEW
75 HON HONEYWELL INTL INC Industrials 19,425,421 $3.79B 0.23% NEW
76 PM PHILIP MORRIS INTL INC Consumer Defensive 23,419,685 $3.76B 0.22% NEW
77 BLK BLACKROCK INC Financial Services 3,508,220 $3.75B 0.22% NEW
78 APP APPLOVIN CORP Technology 5,561,646 $3.75B 0.22% NEW
79 PEP PEPSICO INC Consumer Defensive 24,956,082 $3.58B 0.21% NEW
80 NET CLOUDFLARE INC Technology 18,009,245 $3.55B 0.21% NEW
81 MELI MERCADOLIBRE INC Consumer Cyclical 1,729,499 $3.48B 0.21% NEW
82 NOW SERVICENOW INC Technology 22,733,483 $3.48B 0.21% NEW
83 LRCX LAM RESEARCH CORP Technology 19,886,007 $3.40B 0.20% NEW
84 INTU INTUIT Technology 5,100,857 $3.38B 0.20% NEW
85 ISRG INTUITIVE SURGICAL INC Healthcare 5,741,035 $3.25B 0.19% NEW
86 AGG ISHARES TR 32,483,415 $3.24B 0.19% NEW
87 IVE ISHARES TR 15,278,856 $3.24B 0.19% NEW
88 QCOM QUALCOMM INC Technology 18,615,425 $3.18B 0.19% NEW
89 BKNG BOOKING HOLDINGS INC Consumer Cyclical 594,231 $3.18B 0.19% NEW
90 C CITIGROUP INC Financial Services 26,961,521 $3.15B 0.19% NEW
91 JPST J P MORGAN EXCHANGE TRADED F 61,468,768 $3.11B 0.19% NEW
92 EFA ISHARES TR 31,617,599 $3.04B 0.18% NEW
93 LIN LINDE PLC Basic Materials 7,086,440 $3.02B 0.18% NEW
94 AMAT APPLIED MATLS INC Technology 11,470,835 $2.95B 0.18% NEW
95 UNP UNION PAC CORP Industrials 12,636,050 $2.92B 0.17% NEW
96 CRWD CROWDSTRIKE HLDGS INC Technology 6,216,679 $2.91B 0.17% NEW
97 VWO VANGUARD INTL EQUITY INDEX F 53,912,443 $2.90B 0.17% NEW
98 GILD GILEAD SCIENCES INC Healthcare 23,512,734 $2.89B 0.17% NEW
99 CEG CONSTELLATION ENERGY CORP Utilities 8,054,637 $2.85B 0.17% NEW
100 ADI ANALOG DEVICES INC Technology 10,450,624 $2.83B 0.17% NEW
101 VIG VANGUARD SPECIALIZED FUNDS 12,774,029 $2.81B 0.17% NEW
102 XLK SELECT SECTOR SPDR TR 19,348,529 $2.79B 0.17% NEW
103 LMT LOCKHEED MARTIN CORP Industrials 5,728,551 $2.77B 0.17% NEW
104 JEPI J P MORGAN EXCHANGE TRADED F 47,234,309 $2.70B 0.16% NEW
105 ADP AUTOMATIC DATA PROCESSING IN Industrials 10,348,562 $2.66B 0.16% NEW
106 IWP ISHARES TR 19,403,290 $2.66B 0.16% NEW
107 T AT&T INC Communication Services 106,944,397 $2.66B 0.16% NEW
108 VZ VERIZON COMMUNICATIONS INC Communication Services 64,997,318 $2.65B 0.16% NEW
109 LOW LOWES COS INC Consumer Cyclical 10,829,071 $2.61B 0.16% NEW
110 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 15,875,593 $2.57B 0.15% NEW
111 TMUS T-MOBILE US INC Communication Services 12,582,682 $2.55B 0.15% NEW
112 MSLC MORGAN STANLEY PATHWAY FDS 46,157,645 $2.51B 0.15% NEW
113 SPYM SPDR SERIES TRUST 30,855,614 $2.48B 0.15% NEW
114 VO VANGUARD INDEX FDS 8,494,623 $2.47B 0.15% NEW
115 APH AMPHENOL CORP NEW Technology 18,185,947 $2.46B 0.15% NEW
116 IJH ISHARES TR 36,986,458 $2.44B 0.15% NEW
117 DHR DANAHER CORPORATION Healthcare 10,644,562 $2.44B 0.14% NEW
118 BSV VANGUARD BD INDEX FDS 30,553,571 $2.41B 0.14% NEW
119 INTC INTEL CORP Technology 65,249,269 $2.41B 0.14% NEW
120 ANET ARISTA NETWORKS INC Technology 18,179,893 $2.38B 0.14% NEW
121 IUSG ISHARES TR 14,005,357 $2.35B 0.14% NEW
122 SCHW SCHWAB CHARLES CORP Financial Services 23,233,235 $2.32B 0.14% NEW
123 BA BOEING CO Industrials 10,613,828 $2.30B 0.14% NEW
124 CME CME GROUP INC Financial Services 8,363,151 $2.28B 0.14% NEW
125 XLF SELECT SECTOR SPDR TR 40,923,262 $2.24B 0.13% NEW
126 PFE PFIZER INC Healthcare 89,113,604 $2.22B 0.13% NEW
127 SHY ISHARES TR 26,646,281 $2.21B 0.13% NEW
128 PBUS INVESCO EXCH TRADED FD TR II 32,156,914 $2.20B 0.13% NEW
129 SYK STRYKER CORPORATION Healthcare 6,249,585 $2.20B 0.13% NEW
130 BSX BOSTON SCIENTIFIC CORP Healthcare 22,960,556 $2.19B 0.13% NEW
131 BIL SPDR SERIES TRUST 23,815,971 $2.18B 0.13% NEW
132 IJR ISHARES TR 18,064,089 $2.17B 0.13% NEW
133 ADBE ADOBE INC Technology 6,195,038 $2.17B 0.13% NEW
134 PGR PROGRESSIVE CORP Financial Services 9,488,160 $2.16B 0.13% NEW
135 SNPS SYNOPSYS INC Technology 4,573,980 $2.15B 0.13% NEW
136 RPRX ROYALTY PHARMA PLC Healthcare 55,274,069 $2.14B 0.13% NEW
137 TXN TEXAS INSTRS INC Technology 12,294,129 $2.13B 0.13% NEW
138 KLAC KLA CORP Technology 1,733,866 $2.11B 0.13% NEW
139 COF CAPITAL ONE FINL CORP Financial Services 8,677,981 $2.10B 0.13% NEW
140 NOC NORTHROP GRUMMAN CORP Industrials 3,667,833 $2.09B 0.12% NEW
141 ECL ECOLAB INC Basic Materials 7,883,084 $2.07B 0.12% NEW
142 SHW SHERWIN WILLIAMS CO Basic Materials 6,313,220 $2.05B 0.12% NEW
143 NU HLDGS LTD 121,350,701 $2.03B 0.12% NEW
144 VB VANGUARD INDEX FDS 7,864,543 $2.03B 0.12% NEW
145 ACN ACCENTURE PLC IRELAND Technology 7,536,001 $2.02B 0.12% NEW
146 IAU* ISHARES GOLD TR 24,895,743 $2.02B 0.12% NEW
147 WMB WILLIAMS COS INC Energy 33,572,067 $2.02B 0.12% NEW
148 VCIT VANGUARD SCOTTSDALE FDS 24,048,406 $2.01B 0.12% NEW
149 AJG GALLAGHER ARTHUR J & CO Financial Services 7,773,808 $2.01B 0.12% NEW
150 DE DEERE & CO Industrials 4,251,054 $1.98B 0.12% NEW
151 SREA SEMPRA Utilities 22,330,091 $1.97B 0.12% NEW
152 TT TRANE TECHNOLOGIES PLC Industrials 5,055,421 $1.97B 0.12% NEW
153 AON AON PLC Financial Services 5,570,506 $1.97B 0.12% NEW
154 SNOW SNOWFLAKE INC Technology 8,941,881 $1.96B 0.12% NEW
155 MCK MCKESSON CORP Healthcare 2,389,249 $1.96B 0.12% NEW
156 ZTS ZOETIS INC Healthcare 15,465,506 $1.95B 0.12% NEW
157 MDT MEDTRONIC PLC Healthcare 20,222,575 $1.94B 0.12% NEW
158 PH PARKER-HANNIFIN CORP Industrials 2,133,044 $1.87B 0.11% NEW
159 WELL WELLTOWER INC Real Estate 10,067,111 $1.87B 0.11% NEW
160 ASML ASML HOLDING N V Technology 1,703,116 $1.82B 0.11% NEW
161 PLD PROLOGIS INC. Real Estate 14,256,520 $1.82B 0.11% NEW
162 ABNB AIRBNB INC Consumer Cyclical 13,234,861 $1.80B 0.11% NEW
163 SBUX STARBUCKS CORP Consumer Cyclical 21,275,936 $1.79B 0.11% NEW
164 QUAL ISHARES TR 8,969,360 $1.78B 0.11% NEW
165 XLV SELECT SECTOR SPDR TR 11,486,551 $1.78B 0.11% NEW
166 GD GENERAL DYNAMICS CORP Industrials 5,206,906 $1.75B 0.10% NEW
167 JCI JOHNSON CTLS INTL PLC Industrials 14,536,279 $1.74B 0.10% NEW
168 FCX FREEPORT-MCMORAN INC Basic Materials 34,262,241 $1.74B 0.10% NEW
169 SPYG SPDR SERIES TRUST 16,219,528 $1.73B 0.10% NEW
170 AMT AMERICAN TOWER CORP NEW Real Estate 9,807,651 $1.72B 0.10% NEW
171 AFRM AFFIRM HLDGS INC Technology 23,010,300 $1.71B 0.10% NEW
172 EEM ISHARES TR 31,098,222 $1.70B 0.10% NEW
173 AEP AMERICAN ELEC PWR CO INC Utilities 14,661,858 $1.69B 0.10% NEW
174 RBLX ROBLOX CORP Technology 20,728,914 $1.68B 0.10% NEW
175 TLT ISHARES TR 19,186,986 $1.67B 0.10% NEW
176 AZO AUTOZONE INC Consumer Cyclical 492,794 $1.67B 0.10% NEW
177 VEU VANGUARD INTL EQUITY INDEX F 22,631,718 $1.66B 0.10% NEW
178 CMI CUMMINS INC Industrials 3,234,236 $1.65B 0.10% NEW
179 IEF ISHARES TR 17,039,671 $1.64B 0.10% NEW
180 VGT VANGUARD WORLD FD 2,151,255 $1.62B 0.10% NEW
181 ITOT ISHARES TR 10,899,766 $1.62B 0.10% NEW
182 CVS CVS HEALTH CORP Healthcare 20,373,774 $1.62B 0.10% NEW
183 CB CHUBB LIMITED Financial Services 5,158,213 $1.61B 0.10% NEW
184 IBN ICICI BANK LIMITED Financial Services 53,772,858 $1.60B 0.10% NEW
185 FBND FIDELITY MERRIMACK STR TR 34,716,320 $1.60B 0.10% NEW
186 EWJ ISHARES INC 19,577,080 $1.58B 0.09% NEW
187 EMR EMERSON ELEC CO Industrials 11,806,049 $1.57B 0.09% NEW
188 COP CONOCOPHILLIPS Energy 16,709,645 $1.56B 0.09% NEW
189 VCSH VANGUARD SCOTTSDALE FDS 19,425,956 $1.55B 0.09% NEW
190 WDC WESTERN DIGITAL CORP Technology 8,944,662 $1.54B 0.09% NEW
191 XLI SELECT SECTOR SPDR TR 9,884,699 $1.53B 0.09% NEW
192 BMY BRISTOL-MYERS SQUIBB CO Healthcare 28,348,637 $1.53B 0.09% NEW
193 CL COLGATE PALMOLIVE CO Consumer Defensive 19,246,217 $1.52B 0.09% NEW
194 ROP ROPER TECHNOLOGIES INC Industrials 3,376,267 $1.50B 0.09% NEW
195 DELL DELL TECHNOLOGIES INC Technology 11,883,657 $1.50B 0.09% NEW
196 MAR MARRIOTT INTL INC NEW Consumer Cyclical 4,793,465 $1.49B 0.09% NEW
197 HYG ISHARES TR 18,215,323 $1.47B 0.09% NEW
198 WM WASTE MGMT INC DEL Industrials 6,671,652 $1.47B 0.09% NEW
199 SEAGATE TECHNOLOGY HLDNGS PL 5,317,516 $1.46B 0.09% NEW
200 VYM VANGUARD WHITEHALL FDS 10,202,996 $1.46B 0.09% NEW
201 EVTR MORGAN STANLEY ETF TRUST 28,229,610 $1.45B 0.09% NEW
202 OREILLY AUTOMOTIVE INC 15,899,133 $1.45B 0.09% NEW
203 DUK DUKE ENERGY CORP NEW Utilities 12,340,630 $1.45B 0.09% NEW
204 USB US BANCORP DEL Financial Services 27,087,096 $1.45B 0.09% NEW
205 USMV ISHARES TR 15,236,841 $1.43B 0.09% NEW
206 MSTR STRATEGY INC Technology 9,380,398 $1.43B 0.09% NEW
207 SLB SLB LIMITED Energy 37,095,243 $1.42B 0.09% NEW
208 ET ENERGY TRANSFER L P Energy 86,310,272 $1.42B 0.09% NEW
209 STT SPDR DOW JONES INDL AVERAGE Financial Services 2,961,548 $1.42B 0.09% NEW
210 MSCI MSCI INC Financial Services 2,467,556 $1.42B 0.09% NEW
211 VERX VERTEX PHARMACEUTICALS INC Technology 3,120,310 $1.41B 0.08% NEW
212 XBI SPDR SERIES TRUST 11,491,683 $1.40B 0.08% NEW
213 RDVY FIRST TR EXCHANGE TRADED FD 20,152,942 $1.40B 0.08% NEW
214 VGSH VANGUARD SCOTTSDALE FDS 23,769,661 $1.40B 0.08% NEW
215 CPNG COUPANG INC Consumer Cyclical 58,860,223 $1.39B 0.08% NEW
216 VGK VANGUARD INTL EQUITY INDEX F 16,250,731 $1.36B 0.08% NEW
217 VGIT VANGUARD SCOTTSDALE FDS 22,609,003 $1.35B 0.08% NEW
218 DGRO ISHARES TR 19,366,070 $1.34B 0.08% NEW
219 GLW CORNING INC Technology 15,206,561 $1.33B 0.08% NEW
220 EQT EQT CORP Energy 24,744,626 $1.33B 0.08% NEW
221 LQD ISHARES TR 11,948,409 $1.32B 0.08% NEW
222 XLE SELECT SECTOR SPDR TR 29,438,378 $1.32B 0.08% NEW
223 JEPQ J P MORGAN EXCHANGE TRADED F 22,507,866 $1.31B 0.08% NEW
224 MMM 3M CO Industrials 8,132,442 $1.30B 0.08% NEW
225 BK BANK NEW YORK MELLON CORP Financial Services 11,195,018 $1.30B 0.08% NEW
226 QXO QXO INC Industrials 67,129,733 $1.29B 0.08% NEW
227 MO ALTRIA GROUP INC Consumer Defensive 22,306,173 $1.29B 0.08% NEW
228 VST VISTRA CORP Utilities 7,914,694 $1.28B 0.08% NEW
229 AZN ASTRAZENECA PLC Healthcare 13,878,726 $1.28B 0.08% NEW
230 MRSH MARSH & MCLENNAN COS INC Financial Services 6,870,731 $1.27B 0.08% NEW
231 ROIV ROIVANT SCIENCES LTD Healthcare 58,359,553 $1.27B 0.08% NEW
232 VTEB VANGUARD MUN BD FDS 25,172,743 $1.27B 0.08% NEW
233 LNG CHENIERE ENERGY INC Energy 6,511,626 $1.27B 0.08% NEW
234 URI UNITED RENTALS INC Industrials 1,561,701 $1.26B 0.07% NEW
235 VXUS VANGUARD STAR FDS 16,494,667 $1.24B 0.07% NEW
236 CMCSA COMCAST CORP NEW Communication Services 41,615,239 $1.24B 0.07% NEW
237 NEM NEWMONT CORP Basic Materials 12,401,862 $1.24B 0.07% NEW
238 NKE NIKE INC Consumer Cyclical 19,399,560 $1.24B 0.07% NEW
239 NVS NOVARTIS AG Healthcare 8,876,906 $1.22B 0.07% NEW
240 CRH CRH PLC Basic Materials 9,742,448 $1.22B 0.07% NEW
241 DUT MOODYS CORP 2,370,601 $1.21B 0.07% NEW
242 VLO VALERO ENERGY CORP Energy 7,437,933 $1.21B 0.07% NEW
243 HOOD ROBINHOOD MKTS INC Financial Services 10,683,776 $1.21B 0.07% NEW
244 CGGR CAPITAL GROUP GROWTH ETF 26,878,644 $1.20B 0.07% NEW
245 ACWI ISHARES TR 8,437,430 $1.19B 0.07% NEW
246 XYZ BLOCK INC Technology 18,178,700 $1.18B 0.07% NEW
247 CLV TRIP COM GROUP LTD 16,377,936 $1.18B 0.07% NEW
248 APO APOLLO GLOBAL MGMT INC Financial Services 8,119,322 $1.18B 0.07% NEW
249 SLV ISHARES SILVER TR Financial Services 18,073,229 $1.16B 0.07% NEW
250 JMBS JANUS DETROIT STR TR 25,412,542 $1.16B 0.07% NEW
251 IYW ISHARES TR 5,773,004 $1.15B 0.07% NEW
252 IUSB ISHARES TR 24,700,344 $1.15B 0.07% NEW
253 SOJF SOUTHERN CO Utilities 13,148,239 $1.15B 0.07% NEW
254 IWS ISHARES TR 8,071,505 $1.14B 0.07% NEW
255 ROK ROCKWELL AUTOMATION INC Industrials 2,921,840 $1.14B 0.07% NEW
256 HWM HOWMET AEROSPACE INC Industrials 5,533,106 $1.13B 0.07% NEW
257 RSG REPUBLIC SVCS INC Industrials 5,348,501 $1.13B 0.07% NEW
258 TDG TRANSDIGM GROUP INC Industrials 852,237 $1.13B 0.07% NEW
259 CDNS CADENCE DESIGN SYSTEM INC Technology 3,598,438 $1.12B 0.07% NEW
260 SPYV SPDR SERIES TRUST 19,747,812 $1.12B 0.07% NEW
261 ON HLDG AG 24,119,871 $1.12B 0.07% NEW
262 OTIS OTIS WORLDWIDE CORP Industrials 12,675,067 $1.11B 0.07% NEW
263 QQQM INVESCO EXCH TRADED FD TR II 4,367,200 $1.10B 0.07% NEW
264 GDX VANECK ETF TRUST 12,876,546 $1.10B 0.07% NEW
265 TRV TRAVELERS COMPANIES INC Financial Services 3,793,750 $1.10B 0.07% NEW
266 MGK VANGUARD WORLD FD 2,651,172 $1.09B 0.07% NEW
267 FXI ISHARES TR 28,270,283 $1.08B 0.07% NEW
268 MS MORGAN STANLEY Financial Services 6,094,734 $1.08B 0.07% NEW
269 CBRE CBRE GROUP INC Real Estate 6,691,017 $1.08B 0.06% NEW
270 GM GENERAL MTRS CO Consumer Cyclical 13,191,028 $1.07B 0.06% NEW
271 REGN REGENERON PHARMACEUTICALS Healthcare 1,389,323 $1.07B 0.06% NEW
272 VONG VANGUARD SCOTTSDALE FDS 8,657,734 $1.05B 0.06% NEW
273 CAH CARDINAL HEALTH INC Healthcare 5,122,688 $1.05B 0.06% NEW
274 IDXX IDEXX LABS INC Healthcare 1,553,731 $1.05B 0.06% NEW
275 JAAA JANUS DETROIT STR TR 20,616,010 $1.04B 0.06% NEW
276 IWR ISHARES TR 10,797,769 $1.04B 0.06% NEW
277 O REALTY INCOME CORP Real Estate 18,291,294 $1.03B 0.06% NEW
278 CSL CARLISLE COS INC Industrials 3,221,424 $1.03B 0.06% NEW
279 TFC TRUIST FINL CORP Financial Services 20,931,279 $1.03B 0.06% NEW
280 AMERIPRISE FINL INC 2,098,911 $1.03B 0.06% NEW
281 VRT VERTIV HOLDINGS CO Industrials 6,343,129 $1.03B 0.06% NEW
282 HCA HCA HEALTHCARE INC Healthcare 2,194,522 $1.02B 0.06% NEW
283 MDLZ MONDELEZ INTL INC Consumer Defensive 18,949,749 $1.02B 0.06% NEW
284 DYNF BLACKROCK ETF TRUST 16,575,210 $1.01B 0.06% NEW
285 PNC PNC FINL SVCS GROUP INC Financial Services 4,815,394 $1.01B 0.06% NEW
286 TKO TKO GROUP HOLDINGS INC Communication Services 4,808,486 $1.00B 0.06% NEW
287 NOBL PROSHARES TR 9,647,940 $1.00B 0.06% NEW
288 SPG SIMON PPTY GROUP INC NEW Real Estate 5,423,378 $1.00B 0.06% NEW
289 ITW ILLINOIS TOOL WKS INC Industrials 4,074,849 $1.00B 0.06% NEW
290 KKRT KKR & CO INC Financial Services 7,872,268 $1.00B 0.06% NEW
291 IUSV ISHARES TR 9,720,751 $996.8M 0.06% NEW
292 IDEV ISHARES TR 12,080,336 $996.4M 0.06% NEW
293 CGDV CAPITAL GROUP DIVIDEND VALUE 22,831,150 $996.4M 0.06% NEW
294 MPC MARATHON PETE CORP Energy 6,083,885 $989.4M 0.06% NEW
295 COR CENCORA INC Healthcare 2,924,809 $987.9M 0.06% NEW
296 ETR ENTERGY CORP NEW Utilities 10,651,436 $984.5M 0.06% NEW
297 COIN COINBASE GLOBAL INC Financial Services 4,351,772 $984.1M 0.06% NEW
298 ROST ROSS STORES INC Consumer Cyclical 5,436,788 $979.4M 0.06% NEW
299 LHX L3HARRIS TECHNOLOGIES INC Industrials 3,318,020 $974.1M 0.06% NEW
300 STE STERIS PLC Healthcare 3,839,818 $973.5M 0.06% NEW
301 FPE FIRST TR EXCH TRADED FD III 53,251,105 $970.2M 0.06% NEW
302 FTXH FIRST TR EXCHANGE TRADED FD 13,557,064 $968.7M 0.06% NEW
303 CSX CSX CORP Industrials 26,716,490 $968.5M 0.06% NEW
304 SMH VANECK ETF TRUST 2,657,540 $957.1M 0.06% NEW
305 RACE FERRARI N V Consumer Cyclical 2,546,564 $941.1M 0.06% NEW
306 MBB ISHARES TR 9,852,362 $938.1M 0.06% NEW
307 VT VANGUARD INTL EQUITY INDEX F 6,649,142 $937.9M 0.06% NEW
308 CI THE CIGNA GROUP Healthcare 3,387,860 $932.4M 0.06% NEW
309 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 12,145,411 $931.2M 0.06% NEW
310 XLC SELECT SECTOR SPDR TR 7,900,088 $930.0M 0.06% NEW
311 XLU SELECT SECTOR SPDR TR 21,694,396 $926.1M 0.06% NEW
312 EFX EQUIFAX INC Industrials 4,248,361 $921.8M 0.06% NEW
313 TRMB TRIMBLE INC Technology 11,763,672 $921.7M 0.06% NEW
314 COWZ PACER FDS TR 15,312,750 $921.4M 0.06% NEW
315 FDX FEDEX CORP Industrials 3,181,548 $919.0M 0.06% NEW
316 MUB ISHARES TR 8,576,961 $918.7M 0.06% NEW
317 DVY ISHARES TR 6,506,794 $918.4M 0.06% NEW
318 BROADRIDGE FINL SOLUTIONS IN 4,072,181 $908.8M 0.05% NEW
319 INFY INFOSYS LTD Technology 50,927,556 $907.5M 0.05% NEW
320 AFL AFLAC INC Financial Services 8,224,483 $906.9M 0.05% NEW
321 CCI CROWN CASTLE INC Real Estate 10,188,814 $905.5M 0.05% NEW
322 KRE SPDR SERIES TRUST 13,915,604 $901.9M 0.05% NEW
323 GLDM WORLD GOLD TR Financial Services 10,562,081 $901.7M 0.05% NEW
324 ADSK AUTODESK INC Technology 3,044,163 $901.1M 0.05% NEW
325 NDAQ NASDAQ INC Financial Services 9,266,562 $900.1M 0.05% NEW
326 FWONK LIBERTY MEDIA CORP DEL Communication Services 9,135,154 $899.9M 0.05% NEW
327 MINT PIMCO ETF TR 8,945,100 $897.6M 0.05% NEW
328 SAP SAP SE Technology 3,681,438 $894.3M 0.05% NEW
329 ELV ELEVANCE HEALTH INC FORMERLY Healthcare 2,521,123 $883.8M 0.05% NEW
330 FVD FIRST TR EXCHANGE-TRADED FD 19,106,927 $880.4M 0.05% NEW
331 IONQ IONQ INC Technology 19,566,831 $878.0M 0.05% NEW
332 VTWO VANGUARD SCOTTSDALE FDS 8,811,195 $876.9M 0.05% NEW
333 OEF ISHARES TR 2,555,823 $876.6M 0.05% NEW
334 XLY SELECT SECTOR SPDR TR 7,340,011 $876.5M 0.05% NEW
335 PSX PHILLIPS 66 Energy 6,791,424 $876.4M 0.05% NEW
336 CA8A CACI INTL INC 1,644,048 $876.0M 0.05% NEW
337 VRSK VERISK ANALYTICS INC Industrials 3,914,224 $875.6M 0.05% NEW
338 VNQ VANGUARD INDEX FDS 9,890,313 $875.2M 0.05% NEW
339 MET METLIFE INC Financial Services 10,938,865 $863.5M 0.05% NEW
340 VV VANGUARD INDEX FDS 2,721,373 $856.7M 0.05% NEW
341 EFV ISHARES TR 11,985,894 $855.9M 0.05% NEW
342 CMG CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 23,109,809 $855.1M 0.05% NEW
343 DAL DELTA AIR LINES INC DEL Industrials 12,310,804 $854.4M 0.05% NEW
344 MLM MARTIN MARIETTA MATLS INC Basic Materials 1,367,016 $851.2M 0.05% NEW
345 PWR QUANTA SVCS INC Industrials 2,005,203 $846.3M 0.05% NEW
346 IWO ISHARES TR 2,619,371 $846.1M 0.05% NEW
347 FICO FAIR ISAAC CORP Technology 499,836 $845.0M 0.05% NEW
348 PYPL PAYPAL HLDGS INC Financial Services 14,466,364 $844.5M 0.05% NEW
349 MKL MARKEL GROUP INC Financial Services 392,164 $843.0M 0.05% NEW
350 VOE VANGUARD INDEX FDS 4,750,549 $842.6M 0.05% NEW
351 IXUS ISHARES TR 9,912,876 $839.0M 0.05% NEW
352 USFR WISDOMTREE TR 16,653,519 $838.0M 0.05% NEW
353 BHP BHP GROUP LTD Basic Materials 13,800,183 $833.1M 0.05% NEW
354 DG DOLLAR GEN CORP NEW Consumer Defensive 6,270,333 $832.5M 0.05% NEW
355 VOT VANGUARD INDEX FDS 2,972,164 $829.7M 0.05% NEW
356 FAST FASTENAL CO Industrials 20,654,311 $828.9M 0.05% NEW
357 CIT CINTAS CORP 4,393,116 $826.2M 0.05% NEW
358 UPS UNITED PARCEL SERVICE INC Industrials 8,328,551 $826.1M 0.05% NEW
359 TEL TE CONNECTIVITY PLC Technology 3,620,434 $823.7M 0.05% NEW
360 VXF VANGUARD INDEX FDS 3,936,464 $823.2M 0.05% NEW
361 ALL ALLSTATE CORP Financial Services 3,946,632 $821.5M 0.05% NEW
362 PULS PGIM ETF TR 16,551,738 $820.8M 0.05% NEW
363 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 2,934,206 $818.4M 0.05% NEW
364 AME AMETEK INC Industrials 3,963,062 $813.7M 0.05% NEW
365 BE BLOOM ENERGY CORP Industrials 9,352,198 $812.6M 0.05% NEW
366 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 2,823,631 $811.1M 0.05% NEW
367 KINDER MORGAN INC DEL 29,394,053 $808.0M 0.05% NEW
368 GDDY GODADDY INC Technology 6,491,771 $805.5M 0.05% NEW
369 MTB M & T BK CORP Financial Services 3,995,284 $805.0M 0.05% NEW
370 SGOV ISHARES TR 7,998,636 $802.9M 0.05% NEW
371 AIG AMERICAN INTL GROUP INC Financial Services 9,342,024 $799.2M 0.05% NEW
372 VBR VANGUARD INDEX FDS 3,772,834 $799.0M 0.05% NEW
373 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 5,445,261 $798.2M 0.05% NEW
374 FISV FISERV INC Technology 11,881,851 $798.1M 0.05% NEW
375 HDB HDFC BANK LTD Financial Services 21,690,727 $792.6M 0.05% NEW
376 WBD WARNER BROS DISCOVERY INC Communication Services 27,462,742 $791.5M 0.05% NEW
377 TGT TARGET CORP Consumer Defensive 8,058,019 $787.7M 0.05% NEW
378 OKE ONEOK INC NEW Energy 10,702,909 $786.7M 0.05% NEW
379 TEAM ATLASSIAN CORPORATION Technology 4,822,007 $781.8M 0.05% NEW
380 APD AIR PRODS & CHEMS INC Basic Materials 3,162,043 $781.1M 0.05% NEW
381 IWB ISHARES TR 2,089,875 $780.4M 0.05% NEW
382 PCAR PACCAR INC Industrials 7,091,281 $776.6M 0.05% NEW
383 IWN ISHARES TR 4,269,726 $773.7M 0.05% NEW
384 DGRW WISDOMTREE TR 8,512,117 $761.2M 0.04% NEW
385 FTSM FIRST TR EXCHANGE-TRADED FD 12,682,599 $760.1M 0.04% NEW
386 NSC NORFOLK SOUTHN CORP Industrials 2,629,990 $759.3M 0.04% NEW
387 CNM CORE & MAIN INC Industrials 14,586,859 $758.1M 0.04% NEW
388 EOG EOG RES INC Energy 7,176,503 $753.6M 0.04% NEW
389 PRU PRUDENTIAL FINL INC Financial Services 6,649,202 $750.6M 0.04% NEW
390 GOVT ISHARES TR 32,547,584 $749.4M 0.04% NEW
391 BURL BURLINGTON STORES INC Consumer Cyclical 2,570,995 $742.6M 0.04% NEW
392 GSLC GOLDMAN SACHS ETF TR 5,577,959 $738.4M 0.04% NEW
393 EXC EXELON CORP Utilities 16,925,683 $737.8M 0.04% NEW
394 RY ROYAL BK CDA Financial Services 4,269,524 $727.9M 0.04% NEW
395 EQIX EQUINIX INC Real Estate 948,913 $727.0M 0.04% NEW
396 NRG NRG ENERGY INC Utilities 4,492,024 $715.3M 0.04% NEW
397 MTUM ISHARES TR 2,854,620 $714.5M 0.04% NEW
398 PCOR PROCORE TECHNOLOGIES INC Technology 9,820,381 $714.3M 0.04% NEW
399 SOXX ISHARES TR 2,368,608 $713.3M 0.04% NEW
400 KDP KEURIG DR PEPPER INC Consumer Defensive 25,357,596 $710.3M 0.04% NEW
401 SCHD SCHWAB STRATEGIC TR 25,858,157 $709.3M 0.04% NEW
402 LMBS FIRST TR EXCHANGE-TRADED FD 14,150,597 $707.4M 0.04% NEW
403 SNDK SANDISK CORP Technology 2,970,361 $705.1M 0.04% NEW
404 AVY AVERY DENNISON CORP Industrials 3,869,889 $703.9M 0.04% NEW
405 SHEL SHELL PLC Energy 9,549,023 $701.7M 0.04% NEW
406 EMLP FIRST TR EXCHANGE-TRADED FD 18,510,517 $701.0M 0.04% NEW
407 IJK ISHARES TR 7,220,033 $699.5M 0.04% NEW
408 D DOMINION ENERGY INC Utilities 11,910,925 $697.9M 0.04% NEW
409 RMD RESMED INC Healthcare 2,891,697 $696.5M 0.04% NEW
410 SE SEA LTD Consumer Cyclical 5,392,601 $687.9M 0.04% NEW
411 SDVY FIRST TR EXCHANGE-TRADED FD 17,946,856 $687.7M 0.04% NEW
412 WRB BERKLEY W R CORP Financial Services 9,798,358 $687.1M 0.04% NEW
413 A AGILENT TECHNOLOGIES INC Healthcare 5,041,881 $686.0M 0.04% NEW
414 TRU TRANSUNION Industrials 7,976,665 $684.0M 0.04% NEW
415 WDAY WORKDAY INC Technology 3,180,824 $683.2M 0.04% NEW
416 AUR AURORA INNOVATION INC Technology 177,739,330 $682.5M 0.04% NEW
417 AMLP ALPS ETF TR 14,428,816 $678.4M 0.04% NEW
418 PPL PPL CORP Utilities 19,372,902 $678.4M 0.04% NEW
419 CASY CASEYS GEN STORES INC Consumer Cyclical 1,227,132 $678.2M 0.04% NEW
420 YUM YUM BRANDS INC Consumer Cyclical 4,471,127 $676.4M 0.04% NEW
421 IOT SAMSARA INC Technology 19,068,362 $676.0M 0.04% NEW
422 CBOE CBOE GLOBAL MKTS INC Financial Services 2,691,162 $675.5M 0.04% NEW
423 PDD PDD HOLDINGS INC Consumer Cyclical 5,948,846 $674.5M 0.04% NEW
424 STT STATE STR CORP Financial Services 5,222,382 $673.7M 0.04% NEW
425 SDY SPDR SERIES TRUST 4,840,696 $673.6M 0.04% NEW
426 MDY SPDR S&P MIDCAP 400 ETF TR Financial Services 1,115,655 $673.1M 0.04% NEW
427 ENB ENBRIDGE INC Energy 14,067,947 $672.9M 0.04% NEW
428 EBAY EBAY INC. Consumer Cyclical 7,723,032 $672.7M 0.04% NEW
429 MSI MOTOROLA SOLUTIONS INC Technology 1,754,052 $672.4M 0.04% NEW
430 B BARRICK MNG CORP Basic Materials 15,356,247 $668.8M 0.04% NEW
431 IBIT ISHARES BITCOIN TRUST ETF Financial Services 13,440,659 $667.3M 0.04% NEW
432 EA ELECTRONIC ARTS INC Communication Services 3,253,027 $664.7M 0.04% NEW
433 MOAT VANECK ETF TRUST 6,414,541 $664.3M 0.04% NEW
434 FTNT FORTINET INC Technology 8,312,273 $660.1M 0.04% NEW
435 ULTA ULTA BEAUTY INC Consumer Cyclical 1,090,625 $659.8M 0.04% NEW
436 FSLR FIRST SOLAR INC Energy 2,521,347 $658.7M 0.04% NEW
437 SAN BANCO SANTANDER SA Financial Services 56,109,418 $658.2M 0.04% NEW
438 SHV ISHARES TR 5,973,525 $658.0M 0.04% NEW
439 FQI DIGITAL RLTY TR INC 4,251,287 $657.7M 0.04% NEW
440 XLP SELECT SECTOR SPDR TR 8,453,265 $656.6M 0.04% NEW
441 CFG CITIZENS FINL GROUP INC Financial Services 11,217,975 $655.2M 0.04% NEW
442 BDX BECTON DICKINSON & CO Healthcare 3,374,640 $654.9M 0.04% NEW
443 NVO NOVO-NORDISK A S Healthcare 12,842,089 $653.4M 0.04% NEW
444 MLPX GLOBAL X FDS 10,749,125 $650.6M 0.04% NEW
445 CVNA CARVANA CO Consumer Cyclical 1,526,517 $644.2M 0.04% NEW
446 SPSM SPDR SERIES TRUST 13,747,260 $644.2M 0.04% NEW
447 ITA* ISHARES TR 2,993,497 $642.7M 0.04% NEW
448 MDLN MEDLINE INC Healthcare 15,162,060 $636.8M 0.04% NEW
449 TTWO TAKE-TWO INTERACTIVE SOFTWAR Communication Services 2,478,143 $634.5M 0.04% NEW
450 KR KROGER CO Consumer Defensive 10,130,194 $632.9M 0.04% NEW
451 LPLA LPL FINL HLDGS INC Financial Services 1,763,263 $629.8M 0.04% NEW
452 IT GARTNER INC Technology 2,495,575 $629.6M 0.04% NEW
453 NUE NUCOR CORP Basic Materials 3,853,205 $628.5M 0.04% NEW
454 MRVL MARVELL TECHNOLOGY INC Technology 7,340,161 $623.8M 0.04% NEW
455 EW EDWARDS LIFESCIENCES CORP Healthcare 7,314,292 $623.5M 0.04% NEW
456 CARR CARRIER GLOBAL CORPORATION Industrials 11,757,449 $621.3M 0.04% NEW
457 VIGI VANGUARD WHITEHALL FDS 6,793,264 $621.2M 0.04% NEW
458 CTSH COGNIZANT TECHNOLOGY SOLUTIO Technology 7,461,317 $619.3M 0.04% NEW
459 XYL XYLEM INC Industrials 4,541,906 $618.5M 0.04% NEW
460 BKR BAKER HUGHES COMPANY Energy 13,474,866 $613.6M 0.04% NEW
461 EPD ENTERPRISE PRODS PARTNERS L Energy 19,116,333 $612.9M 0.04% NEW
462 EXPE EXPEDIA GROUP INC Consumer Cyclical 2,162,193 $612.6M 0.04% NEW
463 TRGP TARGA RES CORP Energy 3,303,983 $609.6M 0.04% NEW
464 ARMK ARAMARK Industrials 16,531,695 $609.4M 0.04% NEW
465 VGLT VANGUARD SCOTTSDALE FDS 10,894,021 $607.9M 0.04% NEW
466 SUB ISHARES TR 5,673,861 $605.4M 0.04% NEW
467 CG CARLYLE GROUP INC Financial Services 10,189,948 $602.3M 0.04% NEW
468 HSY HERSHEY CO Consumer Defensive 3,308,408 $602.1M 0.04% NEW
469 CTVA CORTEVA INC Basic Materials 8,931,814 $598.7M 0.04% NEW
470 NXPI NXP SEMICONDUCTORS N V Technology 2,750,729 $597.1M 0.04% NEW
471 F FORD MTR CO Consumer Cyclical 45,421,358 $595.9M 0.04% NEW
472 HBC2 HSBC HLDGS PLC 7,483,883 $588.8M 0.04% NEW
473 MPWR MONOLITHIC PWR SYS INC Technology 649,070 $588.3M 0.04% NEW
474 BIV VANGUARD BD INDEX FDS 7,471,592 $581.9M 0.04% NEW
475 IEX IDEX CORP Industrials 3,266,370 $581.2M 0.04% NEW
476 IQVIA HLDGS INC 2,577,993 $581.1M 0.04% NEW
477 MDB MONGODB INC Technology 1,381,364 $579.7M 0.04% NEW
478 SONY SONY GROUP CORP Technology 22,603,685 $578.7M 0.04% NEW
479 MTD METTLER TOLEDO INTERNATIONAL Healthcare 413,583 $576.6M 0.03% NEW
480 KMB KIMBERLY-CLARK CORP Consumer Defensive 5,713,095 $576.4M 0.03% NEW
481 MCHP MICROCHIP TECHNOLOGY INC. Technology 9,035,226 $575.7M 0.03% NEW
482 FANG DIAMONDBACK ENERGY INC Energy 3,828,941 $575.6M 0.03% NEW
483 QSR RESTAURANT BRANDS INTL INC Consumer Cyclical 8,429,121 $575.1M 0.03% NEW
484 UL UNILEVER PLC Consumer Defensive 8,755,962 $572.6M 0.03% NEW
485 SU SUNCOR ENERGY INC NEW Energy 12,877,899 $571.3M 0.03% NEW
486 SPMD SPDR SERIES TRUST 9,824,255 $568.9M 0.03% NEW
487 VBK VANGUARD INDEX FDS 1,882,603 $568.8M 0.03% NEW
488 BRK/A BERKSHIRE HATHAWAY INC DEL 749 $565.3M 0.03% NEW
489 GEHC GE HEALTHCARE TECHNOLOGIES I Healthcare 6,887,643 $564.9M 0.03% NEW
490 PEG PUBLIC SVC ENTERPRISE GRP IN Utilities 7,014,677 $563.3M 0.03% NEW
491 GWW WW GRAINGER INC Industrials 557,304 $562.4M 0.03% NEW
492 GRAB GRAB HOLDINGS LIMITED Technology 112,488,631 $561.3M 0.03% NEW
493 STLD STEEL DYNAMICS INC Basic Materials 3,268,743 $553.9M 0.03% NEW
494 VCLT VANGUARD SCOTTSDALE FDS 7,276,765 $551.9M 0.03% NEW
495 DDOG DATADOG INC Technology 4,037,621 $549.1M 0.03% NEW
496 JLL JONES LANG LASALLE INC Real Estate 1,630,867 $548.7M 0.03% NEW
497 SHYG ISHARES TR 12,779,590 $547.9M 0.03% NEW
498 HIG HARTFORD INSURANCE GROUP INC Financial Services 3,974,918 $547.7M 0.03% NEW
499 RDDT REDDIT INC Communication Services 2,372,443 $545.4M 0.03% NEW
500 HPE HEWLETT PACKARD ENTERPRISE C Technology 22,703,344 $545.3M 0.03% NEW
501 PAYX PAYCHEX INC Industrials 4,843,248 $543.3M 0.03% NEW
502 IBB ISHARES TR 3,204,126 $540.8M 0.03% NEW
503 ED CONSOLIDATED EDISON INC Utilities 5,393,572 $535.7M 0.03% NEW
504 WCN WASTE CONNECTIONS INC Industrials 3,043,147 $533.6M 0.03% NEW
505 TSCO TRACTOR SUPPLY CO Consumer Cyclical 10,622,335 $531.2M 0.03% NEW
506 DHI D R HORTON INC Consumer Cyclical 3,684,724 $530.7M 0.03% NEW
507 SPDW SPDR INDEX SHS FDS 11,915,888 $529.2M 0.03% NEW
508 IJJ ISHARES TR 4,000,861 $526.5M 0.03% NEW
509 INDA ISHARES TR 9,699,699 $524.3M 0.03% NEW
510 ARES ARES MANAGEMENT CORPORATION Financial Services 3,240,681 $523.8M 0.03% NEW
511 RKT ROCKET COS INC Financial Services 27,009,279 $522.9M 0.03% NEW
512 IR INGERSOLL RAND INC Industrials 6,565,926 $520.2M 0.03% NEW
513 FTCS FIRST TR EXCHANGE-TRADED FD 5,619,073 $519.8M 0.03% NEW
514 SYF SYNCHRONY FINANCIAL Financial Services 6,230,111 $519.8M 0.03% NEW
515 AIRR FIRST TR EXCHANGE TRADED FD 5,279,524 $519.1M 0.03% NEW
516 TM TOYOTA MOTOR CORP Consumer Cyclical 2,421,645 $518.4M 0.03% NEW
517 AEM AGNICO EAGLE MINES LTD Basic Materials 3,052,065 $517.4M 0.03% NEW
518 XEL XCEL ENERGY INC Utilities 6,993,126 $516.5M 0.03% NEW
519 FITBI FIFTH THIRD BANCORP Financial Services 10,977,833 $513.9M 0.03% NEW
520 VRSN VERISIGN INC Technology 2,110,944 $512.9M 0.03% NEW
521 VONV VANGUARD SCOTTSDALE FDS 5,525,018 $510.0M 0.03% NEW
522 LII LENNOX INTL INC Industrials 1,049,559 $509.6M 0.03% NEW
523 AXON AXON ENTERPRISE INC Industrials 897,161 $509.5M 0.03% NEW
524 VYMI VANGUARD WHITEHALL FDS 5,616,721 $505.5M 0.03% NEW
525 RPM RPM INTL INC Basic Materials 4,833,811 $502.7M 0.03% NEW
526 LYV LIVE NATION ENTERTAINMENT IN Communication Services 3,511,224 $500.3M 0.03% NEW
527 BN BROOKFIELD CORP Financial Services 10,865,057 $498.6M 0.03% NEW
528 DSI ISHARES TR 3,866,815 $498.2M 0.03% NEW
529 TD TORONTO DOMINION BK ONT Financial Services 5,286,308 $498.0M 0.03% NEW
530 RF REGIONS FINANCIAL CORP NEW Financial Services 18,356,400 $497.5M 0.03% NEW
531 CPRT COPART INC Industrials 12,706,076 $497.4M 0.03% NEW
532 IWV ISHARES TR 1,284,822 $497.0M 0.03% NEW
533 USHY ISHARES TR 13,291,070 $497.0M 0.03% NEW
534 BMO BANK MONTREAL QUE Financial Services 3,817,406 $495.5M 0.03% NEW
535 ATR APTARGROUP INC Healthcare 4,049,796 $493.9M 0.03% NEW
536 VMC VULCAN MATLS CO Basic Materials 1,727,232 $492.6M 0.03% NEW
537 AMG AFFILIATED MANAGERS GROUP IN Financial Services 1,705,721 $491.7M 0.03% NEW
538 BINC BLACKROCK ETF TRUST II 9,314,383 $491.5M 0.03% NEW
539 VTR VENTAS INC Real Estate 6,344,347 $490.9M 0.03% NEW
540 TECH BIO-TECHNE CORP Healthcare 8,345,414 $490.8M 0.03% NEW
541 TBIL RBB FD INC 9,814,951 $489.6M 0.03% NEW
542 PFF ISHARES TR 15,810,728 $489.5M 0.03% NEW
543 PAVE GLOBAL X FDS 10,218,475 $488.3M 0.03% NEW
544 GBIL GOLDMAN SACHS ETF TR 4,882,355 $487.9M 0.03% NEW
545 FE FIRSTENERGY CORP Utilities 10,825,147 $484.6M 0.03% NEW
546 DOV DOVER CORP Industrials 2,479,823 $484.2M 0.03% NEW
547 MSSM MORGAN STANLEY PATHWAY FDS 9,562,042 $483.8M 0.03% NEW
548 VFH VANGUARD WORLD FD 3,604,287 $481.1M 0.03% NEW
549 TER TERADYNE INC Technology 2,442,014 $472.7M 0.03% NEW
550 KVYO KLAVIYO INC Technology 14,547,090 $472.3M 0.03% NEW
551 CCL1EUR CARNIVAL CORP 15,449,058 $471.8M 0.03% NEW
552 VFLO VICTORY PORTFOLIOS II 11,931,199 $469.9M 0.03% NEW
553 TIP ISHARES TR 4,267,849 $469.1M 0.03% NEW
554 OXY OCCIDENTAL PETE CORP Energy 11,398,589 $468.7M 0.03% NEW
555 TYL TYLER TECHNOLOGIES INC Technology 1,030,300 $467.7M 0.03% NEW
556 DGX QUEST DIAGNOSTICS INC Healthcare 2,693,568 $467.4M 0.03% NEW
557 BAH BOOZ ALLEN HAMILTON HLDG COR Industrials 5,514,811 $465.2M 0.03% NEW
558 VHT VANGUARD WORLD FD 1,615,053 $464.9M 0.03% NEW
559 TTE TOTALENERGIES SE Energy 7,075,455 $462.9M 0.03% NEW
560 ATO ATMOS ENERGY CORP Utilities 2,755,913 $462.0M 0.03% NEW
561 SRLN SSGA ACTIVE ETF TR 11,164,717 $460.8M 0.03% NEW
562 GIS GENERAL MLS INC Consumer Defensive 9,837,490 $457.4M 0.03% NEW
563 PIMCO ETF TR 17,115,719 $456.6M 0.03% NEW
564 LULU LULULEMON ATHLETICA INC Consumer Cyclical 2,197,158 $456.6M 0.03% NEW
565 RIO RIO TINTO PLC Basic Materials 5,704,917 $456.6M 0.03% NEW
566 HBAN HUNTINGTON BANCSHARES INC Financial Services 26,312,732 $456.5M 0.03% NEW
567 BBDO CAMECO CORP Financial Services 4,978,333 $455.5M 0.03% NEW
568 SCHF SCHWAB STRATEGIC TR 18,928,150 $455.0M 0.03% NEW
569 IGSB ISHARES TR 8,596,267 $454.6M 0.03% NEW
570 CM CANADIAN IMPERIAL BANK OF CO Financial Services 4,988,745 $452.0M 0.03% NEW
571 GRID FIRST TR EXCHANGE TRADED FD 2,948,976 $451.3M 0.03% NEW
572 J JACOBS SOLUTIONS INC Industrials 3,379,681 $447.7M 0.03% NEW
573 JKHY HENRY JACK & ASSOC INC Technology 2,450,259 $447.1M 0.03% NEW
574 HAL HALLIBURTON CO Energy 15,806,168 $446.7M 0.03% NEW
575 SYY SYSCO CORP Consumer Defensive 6,058,405 $446.4M 0.03% NEW
576 WAB WABTEC Industrials 2,068,165 $441.5M 0.03% NEW
577 SNY SANOFI SA Healthcare 9,102,196 $441.1M 0.03% NEW
578 CLS CELESTICA INC Technology 1,490,104 $440.5M 0.03% NEW
579 DLTR DOLLAR TREE INC Consumer Defensive 3,565,003 $438.5M 0.03% NEW
580 IJT ISHARES TR 3,096,109 $437.0M 0.03% NEW
581 ARGX ARGENX SE Healthcare 518,852 $436.3M 0.03% NEW
582 MORN MORNINGSTAR INC Financial Services 2,006,325 $436.0M 0.03% NEW
583 PVAL PUTNAM ETF TRUST 9,566,730 $436.0M 0.03% NEW
584 AVEM AMERICAN CENTY ETF TR 5,659,671 $435.9M 0.03% NEW
585 AWK AMERICAN WTR WKS CO INC NEW Utilities 3,331,918 $434.8M 0.03% NEW
586 MFG MIZUHO FINANCIAL GROUP INC Financial Services 59,084,500 $432.5M 0.03% NEW
587 WEC WEC ENERGY GROUP INC Utilities 4,066,576 $428.9M 0.03% NEW
588 TPR TAPESTRY INC Consumer Cyclical 3,327,212 $425.1M 0.03% NEW
589 ABVX ABIVAX SA Healthcare 3,151,994 $425.1M 0.03% NEW
590 DVN DEVON ENERGY CORP NEW Energy 11,590,460 $424.6M 0.03% NEW
591 WST WEST PHARMACEUTICAL SVSC INC Healthcare 1,531,858 $421.5M 0.03% NEW
592 SPHQ INVESCO EXCHANGE TRADED FD T 5,610,664 $421.1M 0.03% NEW
593 RJF RAYMOND JAMES FINL INC Financial Services 2,621,221 $420.9M 0.03% NEW
594 MGV VANGUARD WORLD FD 2,979,945 $420.6M 0.03% NEW
595 KHC KRAFT HEINZ CO Consumer Defensive 17,298,626 $419.5M 0.03% NEW
596 ESGD ISHARES TR 4,392,541 $417.7M 0.03% NEW
597 DEM WISDOMTREE TR 8,939,360 $417.6M 0.03% NEW
598 SMFG SUMITOMO MITSUI FINL GROUP I Financial Services 21,541,139 $416.4M 0.03% NEW
599 CGCP CAPITAL GRP FIXED INCM ETF T 18,386,647 $416.3M 0.03% NEW
600 SEIC SEI INVTS CO Financial Services 5,075,178 $416.3M 0.03% NEW
601 AES AES CORP Utilities 29,024,825 $416.2M 0.03% NEW
602 ARKK ARK ETF TR 5,381,890 $414.0M 0.03% NEW
603 XLG INVESCO EXCHANGE TRADED FD T 6,977,609 $413.6M 0.03% NEW
604 ARM ARM HOLDINGS PLC Technology 3,783,006 $413.5M 0.03% NEW
605 ARCH CAP GROUP LTD 4,289,082 $411.4M 0.03% NEW
606 HDV ISHARES TR 3,380,192 $411.1M 0.03% NEW
607 CYBERARK SOFTWARE LTD 917,999 $409.5M 0.02% NEW
608 DOW DOW INC Basic Materials 17,511,885 $409.4M 0.02% NEW
609 LKQ1 LKQ CORP 13,549,186 $409.2M 0.02% NEW
610 BIIB BIOGEN INC Healthcare 2,325,013 $409.2M 0.02% NEW
611 TLH ISHARES TR 4,018,422 $408.6M 0.02% NEW
612 ADM ARCHER DANIELS MIDLAND CO Consumer Defensive 7,076,029 $406.8M 0.02% NEW
613 FIX COMFORT SYS USA INC Industrials 431,673 $402.9M 0.02% NEW
614 UAL UNITED AIRLS HLDGS INC Industrials 3,580,241 $400.3M 0.02% NEW
615 EMB ISHARES TR 4,148,831 $399.4M 0.02% NEW
616 JBHT HUNT J B TRANS SVCS INC Industrials 2,046,069 $397.6M 0.02% NEW
617 DLB DOLBY LABORATORIES INC Technology 6,171,310 $396.3M 0.02% NEW
618 JBL JABIL INC Technology 1,737,085 $396.1M 0.02% NEW
619 ES EVERSOURCE ENERGY Utilities 5,879,604 $395.9M 0.02% NEW
620 ODFL OLD DOMINION FREIGHT LINE IN Industrials 2,515,417 $394.4M 0.02% NEW
621 FIXD FIRST TR EXCHNG TRADED FD VI 8,859,149 $392.6M 0.02% NEW
622 PSA PUBLIC STORAGE OPER CO Real Estate 1,508,888 $391.6M 0.02% NEW
623 FNDF SCHWAB STRATEGIC TR 8,650,706 $391.1M 0.02% NEW
624 BALL BALL CORP Consumer Cyclical 7,355,234 $389.6M 0.02% NEW
625 ESGU ISHARES TR 2,614,653 $389.5M 0.02% NEW
626 LYB LYONDELLBASELL INDUSTRIES N Basic Materials 8,971,741 $388.5M 0.02% NEW
627 LITE LUMENTUM HLDGS INC Technology 1,051,759 $387.7M 0.02% NEW
628 LEN LENNAR CORP Consumer Cyclical 3,762,980 $386.8M 0.02% NEW
629 ALNY ALNYLAM PHARMACEUTICALS INC Healthcare 970,157 $385.8M 0.02% NEW
630 OMC OMNICOM GROUP INC Communication Services 4,770,074 $385.2M 0.02% NEW
631 FDL FIRST TR EXCHANGE-TRADED FD 8,670,709 $384.5M 0.02% NEW
632 NDSN NORDSON CORP Industrials 1,582,637 $380.5M 0.02% NEW
633 KEYS KEYSIGHT TECHNOLOGIES INC Technology 1,871,983 $380.4M 0.02% NEW
634 LH LABCORP HOLDINGS INC Healthcare 1,505,539 $377.7M 0.02% NEW
635 MANH MANHATTAN ASSOCIATES INC Technology 2,178,422 $377.5M 0.02% NEW
636 VOOG VANGUARD ADMIRAL FDS INC 848,649 $377.3M 0.02% NEW
637 BNS BANK NOVA SCOTIA HALIFAX Financial Services 5,110,450 $376.6M 0.02% NEW
638 STZ CONSTELLATION BRANDS INC Consumer Defensive 2,725,174 $376.0M 0.02% NEW
639 HUM HUMANA INC Healthcare 1,465,669 $375.4M 0.02% NEW
640 FTLS FIRST TR EXCH TRADED FD III 5,252,510 $372.9M 0.02% NEW
641 EL LAUDER ESTEE COS INC Consumer Defensive 3,560,620 $372.9M 0.02% NEW
642 VONE VANGUARD SCOTTSDALE FDS 1,201,654 $371.4M 0.02% NEW
643 CNQ CANADIAN NAT RES LTD Energy 10,946,534 $370.5M 0.02% NEW
644 CNC CENTENE CORP DEL Healthcare 9,002,570 $370.5M 0.02% NEW
645 TRI4EUR THOMSON REUTERS CORP 2,802,312 $369.6M 0.02% NEW
646 MFC MANULIFE FINL CORP Financial Services 10,175,194 $369.2M 0.02% NEW
647 TOST TOAST INC Technology 10,372,626 $368.3M 0.02% NEW
648 BRO BROWN & BROWN INC Financial Services 4,620,122 $368.2M 0.02% NEW
649 DBEF DBX ETF TR 7,638,041 $367.5M 0.02% NEW
650 IWY ISHARES TR 1,322,246 $366.2M 0.02% NEW
651 CP CANADIAN PACIFIC KANSAS CITY Industrials 4,955,711 $364.9M 0.02% NEW
652 VLTO VERALTO CORP Industrials 3,654,214 $364.6M 0.02% NEW
653 IGV ISHARES TR 3,443,088 $363.9M 0.02% NEW
654 ON ON SEMICONDUCTOR CORP Technology 6,704,559 $363.1M 0.02% NEW
655 CHRW C H ROBINSON WORLDWIDE INC Industrials 2,254,439 $362.4M 0.02% NEW
656 RWL INVESCO EXCH TRADED FD TR II 3,154,989 $361.2M 0.02% NEW
657 PPG PPG INDS INC Basic Materials 3,520,764 $360.7M 0.02% NEW
658 FPEI FIRST TR EXCH TRADED FD III 18,537,923 $359.5M 0.02% NEW
659 AVB AVALONBAY CMNTYS INC Real Estate 1,978,148 $358.7M 0.02% NEW
660 ACWX ISHARES TR 5,336,686 $358.3M 0.02% NEW
661 FV FIRST TR EXCHANGE TRADED FD 5,675,249 $357.1M 0.02% NEW
662 ING ING GROEP N.V. Financial Services 12,749,112 $357.0M 0.02% NEW
663 CSGP COSTAR GROUP INC Real Estate 5,291,136 $355.8M 0.02% NEW
664 ARCC ARES CAPITAL CORP Financial Services 17,558,581 $355.2M 0.02% NEW
665 UBS UBS GROUP AG Financial Services 7,654,099 $354.5M 0.02% NEW
666 BIDU BAIDU INC Communication Services 2,709,426 $354.0M 0.02% NEW
667 BBUS J P MORGAN EXCHANGE TRADED F 2,861,481 $352.8M 0.02% NEW
668 IJS ISHARES TR 3,100,925 $352.6M 0.02% NEW
669 PRICE T ROWE GROUP INC 3,443,322 $352.5M 0.02% NEW
670 EXE EXPAND ENERGY CORPORATION Energy 3,183,177 $351.3M 0.02% NEW
671 ZS ZSCALER INC Technology 1,557,640 $350.3M 0.02% NEW
672 SOFI SOFI TECHNOLOGIES INC Financial Services 13,323,366 $348.8M 0.02% NEW
673 COHR COHERENT CORP Technology 1,875,889 $346.2M 0.02% NEW
674 NTRS NORTHERN TR CORP Financial Services 2,530,104 $345.6M 0.02% NEW
675 CGGO CAPITAL GROUP GBL GROWTH EQT 9,961,008 $345.1M 0.02% NEW
676 HEI HEICO CORP NEW Industrials 1,058,393 $342.5M 0.02% NEW
677 XLB SELECT SECTOR SPDR TR 7,499,014 $340.1M 0.02% NEW
678 ASTS AST SPACEMOBILE INC Technology 4,661,551 $338.6M 0.02% NEW
679 GRMN GARMIN LTD Technology 1,666,557 $338.1M 0.02% NEW
680 DXCM DEXCOM INC Healthcare 5,072,646 $336.7M 0.02% NEW
681 PPA INVESCO EXCHANGE TRADED FD T 2,143,208 $335.7M 0.02% NEW
682 IGIB ISHARES TR 6,210,405 $334.6M 0.02% NEW
683 JMTG J P MORGAN EXCHANGE TRADED F 6,521,316 $333.0M 0.02% NEW
684 CNP CENTERPOINT ENERGY INC Utilities 8,683,700 $332.9M 0.02% NEW
685 GGG GRACO INC Industrials 4,057,036 $332.6M 0.02% NEW
686 IEI ISHARES TR 2,784,256 $332.3M 0.02% NEW
687 DXJ WISDOMTREE TR 2,301,707 $331.8M 0.02% NEW
688 ILMN ILLUMINA INC Healthcare 2,529,045 $331.7M 0.02% NEW
689 CHH CHOICE HOTELS INTL INC Consumer Cyclical 3,478,422 $331.4M 0.02% NEW
690 BMNR BITMINE IMMERSION TECNOLOGIE Financial Services 12,197,071 $331.2M 0.02% NEW
691 EWY ISHARES INC 3,405,205 $331.1M 0.02% NEW
692 SMCI SUPER MICRO COMPUTER INC Technology 11,287,585 $330.4M 0.02% NEW
693 EXK EXACT SCIENCES CORP Basic Materials 3,250,329 $330.1M 0.02% NEW
694 KGC KINROSS GOLD CORP Basic Materials 11,712,584 $329.8M 0.02% NEW
695 ALB ALBEMARLE CORP Basic Materials 2,323,662 $328.7M 0.02% NEW
696 DRI DARDEN RESTAURANTS INC Consumer Cyclical 1,783,413 $328.2M 0.02% NEW
697 CHD CHURCH & DWIGHT CO INC Consumer Defensive 3,913,620 $328.2M 0.02% NEW
698 SPEM SPDR INDEX SHS FDS 6,997,855 $327.6M 0.02% NEW
699 EMBJ EMBRAER S.A. Industrials 5,064,419 $326.0M 0.02% NEW
700 FDS FACTSET RESH SYS INC Financial Services 1,120,740 $325.2M 0.02% NEW
701 FIS FIDELITY NATL INFORMATION SV Technology 4,892,611 $325.2M 0.02% NEW
702 SPLV INVESCO EXCH TRADED FD TR II 4,550,646 $325.0M 0.02% NEW
703 CIEN CIENA CORP Technology 1,384,972 $323.9M 0.02% NEW
704 DD DUPONT DE NEMOURS INC Basic Materials 8,037,745 $323.1M 0.02% NEW
705 CMS CMS ENERGY CORP Utilities 4,612,982 $322.6M 0.02% NEW
706 PODD INSULET CORP Healthcare 1,134,583 $322.5M 0.02% NEW
707 FDN FIRST TR EXCHANGE-TRADED FD 1,195,793 $321.9M 0.02% NEW
708 ALAB ASTERA LABS INC Technology 1,934,467 $321.8M 0.02% NEW
709 TERN TERNS PHARMACEUTICALS INC Healthcare 7,945,608 $321.0M 0.02% NEW
710 SPMO INVESCO EXCH TRADED FD TR II 2,682,877 $320.1M 0.02% NEW
711 VEEV VEEVA SYS INC Healthcare 1,431,519 $319.6M 0.02% NEW
712 EVLN MORGAN STANLEY ETF TRUST 6,454,638 $319.3M 0.02% NEW
713 BP BP PLC Energy 9,187,111 $319.1M 0.02% NEW
714 BCS BARCLAYS PLC Financial Services 12,521,555 $318.7M 0.02% NEW
715 PHM PULTE GROUP INC Consumer Cyclical 2,716,659 $318.6M 0.02% NEW
716 DTE DTE ENERGY CO Utilities 2,468,125 $318.3M 0.02% NEW
717 COCA-COLA EUROPACIFIC PARTNE 3,494,328 $316.9M 0.02% NEW
718 NTAP NETAPP INC Technology 2,957,076 $316.7M 0.02% NEW
719 BOND PIMCO ETF TR 3,380,670 $314.7M 0.02% NEW
720 WPM WHEATON PRECIOUS METALS CORP Basic Materials 2,676,471 $314.5M 0.02% NEW
721 WEX WEX INC Technology 2,111,108 $314.5M 0.02% NEW
722 JPIE J P MORGAN EXCHANGE TRADED F 6,790,024 $314.3M 0.02% NEW
723 POOL POOL CORP Industrials 1,371,772 $313.8M 0.02% NEW
724 DPZ DOMINOS PIZZA INC Consumer Cyclical 750,674 $312.9M 0.02% NEW
725 FLOT ISHARES TR 6,136,314 $312.1M 0.02% NEW
726 FND FLOOR & DECOR HLDGS INC Consumer Cyclical 5,120,116 $311.8M 0.02% NEW
727 EWZ ISHARES INC 9,802,338 $311.4M 0.02% NEW
728 CINF CINCINNATI FINL CORP Financial Services 1,906,678 $311.4M 0.02% NEW
729 NBIS NEBIUS GROUP N.V. Communication Services 3,704,659 $310.1M 0.02% NEW
730 WTW WILLIS TOWERS WATSON PLC LTD Financial Services 942,389 $309.7M 0.02% NEW
731 TWLO TWILIO INC Communication Services 2,176,841 $309.6M 0.02% NEW
732 GPC GENUINE PARTS CO Consumer Cyclical 2,512,478 $308.9M 0.02% NEW
733 HPQ HP INC Technology 13,860,615 $308.8M 0.02% NEW
734 IGM ISHARES TR 2,390,840 $308.8M 0.02% NEW
735 CHTR CHARTER COMMUNICATIONS INC N Communication Services 1,473,719 $307.6M 0.02% NEW
736 MPLX MPLX LP Energy 5,763,110 $307.6M 0.02% NEW
737 KEX KIRBY CORP Industrials 2,784,374 $306.8M 0.02% NEW
738 IP INTERNATIONAL PAPER CO Consumer Cyclical 7,782,769 $306.6M 0.02% NEW
739 TFX TELEFLEX INCORPORATED Healthcare 2,499,425 $305.0M 0.02% NEW
740 HUBB HUBBELL INC Industrials 686,047 $304.7M 0.02% NEW
741 AVUV AMERICAN CENTY ETF TR 2,985,056 $304.4M 0.02% NEW
742 EME EMCOR GROUP INC Industrials 497,258 $304.2M 0.02% NEW
743 JCPB J P MORGAN EXCHANGE TRADED F 6,423,061 $304.1M 0.02% NEW
744 KEY KEYCORP Financial Services 14,730,816 $304.0M 0.02% NEW
745 VNLA JANUS DETROIT STR TR 6,152,641 $302.3M 0.02% NEW
746 EVSD MORGAN STANLEY ETF TRUST 5,873,132 $302.1M 0.02% NEW
747 AEE AMEREN CORP Utilities 3,023,867 $302.0M 0.02% NEW
748 OPEN OPENDOOR TECHNOLOGIES INC Real Estate 51,586,202 $300.7M 0.02% NEW
749 IRM IRON MTN INC DEL Real Estate 3,598,973 $298.5M 0.02% NEW
750 EFG ISHARES TR 2,609,776 $297.3M 0.02% NEW
751 KVUE KENVUE INC Consumer Defensive 17,228,962 $297.2M 0.02% NEW
752 EXPD EXPEDITORS INTL WASH INC Industrials 1,983,127 $295.5M 0.02% NEW
753 IDV* ISHARES TR 7,483,755 $295.2M 0.02% NEW
754 RCKT ROCKET LAB CORP Healthcare 4,196,128 $292.7M 0.02% NEW
755 IBKR INTERACTIVE BROKERS GROUP IN Financial Services 4,520,646 $290.7M 0.02% NEW
756 SCHG SCHWAB STRATEGIC TR 8,820,737 $287.7M 0.02% NEW
757 VIS VANGUARD WORLD FD 958,367 $286.0M 0.02% NEW
758 GSK GSK PLC Healthcare 5,828,663 $285.8M 0.02% NEW
759 EMXC ISHARES INC 3,923,113 $285.1M 0.02% NEW
760 IM8N INSMED INC 1,631,906 $284.0M 0.02% NEW
761 DRAFTKINGS INC NEW 8,223,301 $283.4M 0.02% NEW
762 NTRA NATERA INC Healthcare 1,234,154 $282.7M 0.02% NEW
763 SNA SNAP ON INC Industrials 819,468 $282.4M 0.02% NEW
764 FOXA FOX CORP Communication Services 3,860,010 $282.1M 0.02% NEW
765 EVRG EVERGY INC Utilities 3,873,667 $280.8M 0.02% NEW
766 BBVA BANCO BILBAO VIZCAYA ARGENTA Financial Services 11,981,661 $279.3M 0.02% NEW
767 WSO.B WATSCO INC Industrials 824,866 $277.9M 0.02% NEW
768 IREN IREN LIMITED Financial Services 7,351,083 $277.7M 0.02% NEW
769 TRP TC ENERGY CORP Energy 5,043,528 $277.4M 0.02% NEW
770 CTRA COTERRA ENERGY INC Energy 10,532,781 $277.2M 0.02% NEW
771 TTD THE TRADE DESK INC Technology 7,298,353 $277.0M 0.02% NEW
772 BJ BJS WHSL CLUB HLDGS INC Consumer Defensive 3,076,557 $277.0M 0.02% NEW
773 RVTY REVVITY INC Healthcare 2,844,464 $275.2M 0.02% NEW
774 CDW CDW CORP Technology 2,012,657 $274.1M 0.02% NEW
775 BLKB BLACKBAUD INC Technology 4,318,917 $273.5M 0.02% NEW
776 WAT WATERS CORP Healthcare 719,171 $273.2M 0.02% NEW
777 OMFL INVESCO EXCH TRD SLF IDX FD 4,460,387 $272.7M 0.02% NEW
778 BMTA BRITISH AMERN TOB PLC 4,812,348 $272.5M 0.02% NEW
779 PFG PRINCIPAL FINANCIAL GROUP IN Financial Services 3,079,857 $271.7M 0.02% NEW
780 HYLS FIRST TR EXCHANGE-TRADED FD 6,476,051 $271.1M 0.02% NEW
781 CGUS CAPITAL GROUP CORE EQUITY ET 6,715,499 $270.2M 0.02% NEW
782 HII HUNTINGTON INGALLS INDS INC Industrials 792,241 $269.4M 0.02% NEW
783 BUD ANHEUSER BUSCH INBEV SA/NV Consumer Defensive 4,205,767 $269.3M 0.02% NEW
784 EQR EQUITY RESIDENTIAL Real Estate 4,270,623 $269.2M 0.02% NEW
785 FLUTTER ENTMT PLC 1,247,956 $268.4M 0.02% NEW
786 PKG PACKAGING CORP AMER Consumer Cyclical 1,293,360 $266.7M 0.02% NEW
787 SBAC SBA COMMUNICATIONS CORP NEW Real Estate 1,377,798 $266.5M 0.02% NEW
788 IDA IDACORP INC Utilities 2,103,940 $266.3M 0.02% NEW
789 LDOS LEIDOS HOLDINGS INC Technology 1,474,369 $266.0M 0.02% NEW
790 TOTL SSGA ACTIVE ETF TR 6,604,998 $265.9M 0.02% NEW
791 VICI VICI PPTYS INC Real Estate 9,451,047 $265.8M 0.02% NEW
792 FCNCA FIRST CTZNS BANCSHARES INC D Financial Services 123,048 $264.1M 0.02% NEW
793 KNG FIRST TR EXCHANGE-TRADED FD 5,367,743 $263.8M 0.02% NEW
794 CAG CONAGRA BRANDS INC Consumer Defensive 15,229,557 $263.6M 0.02% NEW
795 TEVA TEVA PHARMACEUTICAL INDS LTD Healthcare 8,444,801 $263.6M 0.02% NEW
796 SPSB SPDR SERIES TRUST 8,712,343 $263.1M 0.02% NEW
797 INCY INCYTE CORP Healthcare 2,663,823 $263.1M 0.02% NEW
798 EIX EDISON INTL Utilities 4,382,331 $263.0M 0.02% NEW
799 GDXJ VANECK ETF TRUST 2,306,483 $262.4M 0.02% NEW
800 PRAX PRAXIS PRECISION MEDICINES I Healthcare 889,889 $262.3M 0.02% NEW
801 IQLT ISHARES TR 5,764,397 $262.0M 0.02% NEW
802 CNI CANADIAN NATL RY CO Industrials 2,649,092 $261.9M 0.02% NEW
803 Q QNITY ELECTRONICS INC Technology 3,205,495 $261.7M 0.02% NEW
804 PCG PG&E CORP Utilities 16,285,735 $261.7M 0.02% NEW
805 MSDL MORGAN STANLEY DIRECT LENDIN Financial Services 15,876,336 $261.6M 0.02% NEW
806 MRNA MODERNA INC Healthcare 8,870,716 $261.6M 0.02% NEW
807 XLRE SELECT SECTOR SPDR TR 6,477,356 $261.4M 0.02% NEW
808 GL GLOBE LIFE INC Financial Services 1,860,257 $260.2M 0.02% NEW
809 CF CF INDS HLDGS INC Basic Materials 3,360,135 $259.9M 0.02% NEW
810 RGLD ROYAL GOLD INC Basic Materials 1,167,521 $259.5M 0.01% NEW
811 BKLN INVESCO EXCH TRADED FD TR II 12,343,783 $259.2M 0.01% NEW
812 BBIN J P MORGAN EXCHANGE TRADED F 3,574,797 $258.5M 0.01% NEW
813 CEF/U SPROTT ASSET MANAGEMENT LP 5,627,038 $257.7M 0.01% NEW
814 PNR PENTAIR PLC Industrials 2,474,549 $257.7M 0.01% NEW
815 LUV SOUTHWEST AIRLS CO Industrials 6,228,475 $257.4M 0.01% NEW
816 MKC MCCORMICK & CO INC Consumer Defensive 3,779,455 $257.4M 0.01% NEW
817 XOP SPDR SERIES TRUST 2,033,968 $256.8M 0.01% NEW
818 SCI SERVICE CORP INTL Consumer Cyclical 3,280,253 $255.8M 0.01% NEW
819 XMMO INVESCO EXCHANGE TRADED FD T 1,845,451 $255.5M 0.01% NEW
820 XME SPDR SERIES TRUST 2,465,518 $255.5M 0.01% NEW
821 APA APA CORPORATION Energy 10,425,586 $255.0M 0.01% NEW
822 PB PROSPERITY BANCSHARES INC Financial Services 3,679,871 $254.3M 0.01% NEW
823 KWEB KRANESHARES TRUST 7,454,933 $253.8M 0.01% NEW
824 RELX RELX PLC Communication Services 6,279,696 $253.8M 0.01% NEW
825 CAR AVIS BUDGET GROUP Industrials 1,975,675 $253.5M 0.01% NEW
826 CHWY CHEWY INC Consumer Cyclical 7,660,258 $253.2M 0.01% NEW
827 BBY BEST BUY INC Consumer Cyclical 3,778,294 $252.9M 0.01% NEW
828 PDBC INVESCO ACTVELY MNGD ETC FD 19,076,997 $252.8M 0.01% NEW
829 UNM UNUM GROUP Financial Services 3,259,970 $252.6M 0.01% NEW
830 IYR ISHARES TR 2,687,434 $252.3M 0.01% NEW
831 AMCR AMCOR PLC Consumer Cyclical 30,237,924 $252.2M 0.01% NEW
832 DLN WISDOMTREE TR 2,861,252 $252.0M 0.01% NEW
833 SAIA SAIA INC Industrials 771,698 $252.0M 0.01% NEW
834 KTOS KRATOS DEFENSE & SEC SOLUTIO Industrials 3,311,095 $251.3M 0.01% NEW
835 AER AERCAP HOLDINGS NV Industrials 1,745,881 $251.0M 0.01% NEW
836 ESS ESSEX PPTY TR INC Real Estate 958,090 $250.7M 0.01% NEW
837 KINSALE CAP GROUP INC 636,426 $248.9M 0.01% NEW
838 WMS ADVANCED DRAIN SYS INC DEL Industrials 1,710,126 $247.7M 0.01% NEW
839 XMHQ INVESCO EXCHANGE TRADED FD T 2,413,021 $247.1M 0.01% NEW
840 SLF SUN LIFE FINANCIAL INC. Financial Services 3,952,646 $246.6M 0.01% NEW
841 CGMU CAPITAL GRP FIXED INCM ETF T 8,991,680 $246.2M 0.01% NEW
842 AIQ GLOBAL X FDS 4,818,444 $245.1M 0.01% NEW
843 BNDX VANGUARD CHARLOTTE FDS 5,053,978 $244.2M 0.01% NEW
844 MAKEMYTRIP LIMITED MAURITIUS 2,970,342 $243.9M 0.01% NEW
845 SJM SMUCKER J M CO Consumer Defensive 2,486,596 $243.2M 0.01% NEW
846 SSD SIMPSON MFG INC Industrials 1,505,388 $243.1M 0.01% NEW
847 VTIP VANGUARD MALVERN FDS 4,899,017 $242.3M 0.01% NEW
848 RIVN RIVIAN AUTOMOTIVE INC Consumer Cyclical 12,222,479 $240.9M 0.01% NEW
849 IEUR ISHARES TR 3,392,971 $240.8M 0.01% NEW
850 PWV INVESCO EXCHANGE TRADED FD T 3,617,029 $240.6M 0.01% NEW
851 VMBS VANGUARD SCOTTSDALE FDS 5,097,662 $240.0M 0.01% NEW
852 LB LANDBRIDGE COMPANY LLC Energy 4,894,992 $239.8M 0.01% NEW
853 EVMO MORGAN STANLEY ETF TRUST 4,685,999 $237.7M 0.01% NEW
854 RGA REINSURANCE GRP OF AMERICA I Financial Services 1,166,567 $237.4M 0.01% NEW
855 SPGP INVESCO EXCHANGE TRADED FD T 2,074,872 $236.2M 0.01% NEW
856 GPN GLOBAL PMTS INC Industrials 3,047,269 $235.9M 0.01% NEW
857 MEDP MEDPACE HLDGS INC Healthcare 416,678 $234.0M 0.01% NEW
858 L LOEWS CORP Financial Services 2,221,441 $233.9M 0.01% NEW
859 EVR EVERCORE INC Financial Services 686,603 $233.6M 0.01% NEW
860 EZU ISHARES INC 3,636,639 $233.1M 0.01% NEW
861 GSY INVESCO ACTIVELY MANAGED EXC 4,606,527 $231.5M 0.01% NEW
862 VOOV VANGUARD ADMIRAL FDS INC 1,129,059 $231.3M 0.01% NEW
863 BXP BXP INC Real Estate 3,427,418 $231.3M 0.01% NEW
864 CLX CLOROX CO DEL Consumer Defensive 2,293,151 $231.2M 0.01% NEW
865 FTGC FIRST TR EXCHANGE TRAD FD VI 9,946,675 $231.1M 0.01% NEW
866 XGDVX GABELLI DIVID & INCOME TR 8,319,588 $231.0M 0.01% NEW
867 XEXGX EATON VANCE TAX-MANAGED GLOB 24,202,274 $230.6M 0.01% NEW
868 APLS APELLIS PHARMACEUTICALS INC Healthcare 9,173,004 $230.4M 0.01% NEW
869 AVDE AMERICAN CENTY ETF TR 2,792,330 $229.9M 0.01% NEW
870 BAI BLACKROCK ETF TRUST 6,893,721 $229.6M 0.01% NEW
871 MAA MID-AMER APT CMNTYS INC Real Estate 1,652,369 $229.5M 0.01% NEW
872 NVR NVR INC Consumer Cyclical 31,289 $228.2M 0.01% NEW
873 USFD US FOODS HLDG CORP Consumer Defensive 3,023,049 $227.7M 0.01% NEW
874 RL RALPH LAUREN CORP Consumer Cyclical 643,535 $227.6M 0.01% NEW
875 LSTR LANDSTAR SYS INC Industrials 1,578,423 $226.8M 0.01% NEW
876 FUTU FUTU HLDGS LTD Financial Services 1,379,876 $226.6M 0.01% NEW
877 H HYATT HOTELS CORP Consumer Cyclical 1,409,801 $226.0M 0.01% NEW
878 SNPE DBX ETF TR 3,618,867 $226.0M 0.01% NEW
879 DCI DONALDSON INC Industrials 2,542,166 $225.4M 0.01% NEW
880 PDI PIMCO DYNAMIC INCOME FD Financial Services 12,700,678 $224.9M 0.01% NEW
881 PAAA PGIM ETF TR 4,360,865 $223.5M 0.01% NEW
882 GCOW PACER FDS TR 5,403,735 $222.7M 0.01% NEW
883 THRO BLACKROCK ETF TRUST 5,722,190 $220.6M 0.01% NEW
884 DUSA DAVIS FUNDAMENTAL ETF TR 4,312,238 $220.5M 0.01% NEW
885 FSIG FIRST TR EXCHANGE-TRADED FD 11,476,255 $220.2M 0.01% NEW
886 DBMF LITMAN GREGORY FDS TR 7,845,100 $220.1M 0.01% NEW
887 EGP EASTGROUP PPTYS INC Real Estate 1,233,742 $219.8M 0.01% NEW
888 FEZ SPDR INDEX SHS FDS 3,412,696 $219.7M 0.01% NEW
889 LOGI LOGITECH INTL S A Technology 2,190,070 $219.5M 0.01% NEW
890 ROL ROLLINS INC Consumer Cyclical 3,647,361 $218.9M 0.01% NEW
891 CRWV COREWEAVE INC Technology 3,056,943 $218.9M 0.01% NEW
892 EQNR EQUINOR ASA Energy 9,250,933 $218.6M 0.01% NEW
893 DECK DECKERS OUTDOOR CORP Consumer Cyclical 2,108,384 $218.6M 0.01% NEW
894 NSIT INSIGHT ENTERPRISES INC Technology 2,681,920 $218.5M 0.01% NEW
895 ZG ZILLOW GROUP INC Communication Services 3,197,447 $218.1M 0.01% NEW
896 FN FABRINET Technology 477,816 $217.5M 0.01% NEW
897 HLN HALEON PLC Healthcare 21,495,383 $217.3M 0.01% NEW
898 DKS DICKS SPORTING GOODS INC Consumer Cyclical 1,097,448 $217.3M 0.01% NEW
899 WH WYNDHAM HOTELS & RESORTS INC Consumer Cyclical 2,872,466 $217.0M 0.01% NEW
900 PINS PINTEREST INC Communication Services 8,358,205 $216.4M 0.01% NEW
901 LVS LAS VEGAS SANDS CORP Consumer Cyclical 3,322,350 $216.3M 0.01% NEW
902 ESGE ISHARES INC 4,885,857 $215.8M 0.01% NEW
903 WES WESTERN MIDSTREAM PARTNERS L Energy 5,446,475 $215.1M 0.01% NEW
904 QQEW FIRST TR EXCHANGE-TRADED FD 1,512,747 $215.0M 0.01% NEW
905 EXR EXTRA SPACE STORAGE INC Real Estate 1,650,606 $214.9M 0.01% NEW
906 FFIV F5 INC Technology 841,054 $214.7M 0.01% NEW
907 IHI ISHARES TR 3,440,023 $213.8M 0.01% NEW
908 CW CURTISS WRIGHT CORP Industrials 387,663 $213.7M 0.01% NEW
909 VRP INVESCO EXCH TRADED FD TR II 8,776,100 $213.5M 0.01% NEW
910 RECS COLUMBIA ETF TR I 5,215,842 $213.0M 0.01% NEW
911 EMN EASTMAN CHEM CO Basic Materials 3,335,367 $212.9M 0.01% NEW
912 PTLC PACER FDS TR 3,829,344 $212.8M 0.01% NEW
913 CALF PACER FDS TR 4,794,585 $212.7M 0.01% NEW
914 INVH INVITATION HOMES INC Real Estate 7,647,080 $212.5M 0.01% NEW
915 PTCT PTC INC Healthcare 1,219,489 $212.4M 0.01% NEW
916 MLPA GLOBAL X FDS 4,382,044 $212.1M 0.01% NEW
917 VPU VANGUARD WORLD FD 1,145,923 $212.0M 0.01% NEW
918 TDY TELEDYNE TECHNOLOGIES INC Technology 414,940 $211.9M 0.01% NEW
919 UCON FIRST TR EXCHNG TRADED FD VI 8,336,565 $209.8M 0.01% NEW
920 CCK CROWN HLDGS INC Consumer Cyclical 2,034,453 $209.5M 0.01% NEW
921 TPL TEXAS PACIFIC LAND CORPORATI Energy 727,921 $209.1M 0.01% NEW
922 BSY BENTLEY SYS INC Technology 5,473,937 $208.9M 0.01% NEW
923 TXT TEXTRON INC Industrials 2,394,940 $208.8M 0.01% NEW
924 NTR NUTRIEN LTD Basic Materials 3,372,403 $208.1M 0.01% NEW
925 VOX VANGUARD WORLD FD 1,072,900 $207.7M 0.01% NEW
926 BAM BROOKFIELD ASSET MANAGMT LTD Financial Services 3,944,483 $206.7M 0.01% NEW
927 CGCB CAPITAL GRP FIXED INCM ETF T 7,751,877 $205.6M 0.01% NEW
928 BSCR INVESCO EXCH TRD SLF IDX FD 10,382,016 $204.9M 0.01% NEW
929 NI NISOURCE INC Utilities 4,882,914 $203.9M 0.01% NEW
930 AA ALCOA CORP Basic Materials 3,835,160 $203.8M 0.01% NEW
931 ESGV VANGUARD WORLD FD 1,680,712 $203.3M 0.01% NEW
932 SW SMURFIT WESTROCK PLC Consumer Cyclical 5,247,523 $202.9M 0.01% NEW
933 DOCU DOCUSIGN INC Technology 2,962,100 $202.6M 0.01% NEW
934 MCHI ISHARES TR 3,366,959 $202.3M 0.01% NEW
935 EUFN ISHARES TR 5,452,627 $202.2M 0.01% NEW
936 FCN FTI CONSULTING INC Industrials 1,182,867 $202.1M 0.01% NEW
937 IBP INSTALLED BLDG PRODS INC Consumer Cyclical 778,002 $201.8M 0.01% NEW
938 QYLD GLOBAL X FDS 11,403,699 $201.5M 0.01% NEW
939 VTRS VIATRIS INC Healthcare 16,179,967 $201.4M 0.01% NEW
940 ACI ALBERTSONS COS INC Consumer Defensive 11,687,694 $200.7M 0.01% NEW
941 LNT ALLIANT ENERGY CORP Utilities 3,084,452 $200.5M 0.01% NEW
942 AVTR AVANTOR INC Healthcare 17,468,418 $200.2M 0.01% NEW
943 SPIB SPDR SERIES TRUST 5,919,428 $200.1M 0.01% NEW
944 IYF ISHARES TR 1,551,356 $200.0M 0.01% NEW
945 BZ KANZHUN LIMITED Industrials 9,800,740 $199.7M 0.01% NEW
946 HUBS HUBSPOT INC Technology 497,214 $199.5M 0.01% NEW
947 EFAV ISHARES TR 2,310,102 $199.2M 0.01% NEW
948 XETYX EATON VANCE TAX-MANAGED DIVE 12,987,864 $199.2M 0.01% NEW
949 OGE OGE ENERGY CORP Utilities 4,628,210 $197.6M 0.01% NEW
950 PSKY PARAMOUNT SKYDANCE CORP Communication Services 14,725,740 $197.3M 0.01% NEW
951 DOC HEALTHPEAK PROPERTIES INC Real Estate 12,251,344 $197.0M 0.01% NEW
952 CSW CSW INDUSTRIALS INC Industrials 669,601 $196.5M 0.01% NEW
953 STRL STERLING INFRASTRUCTURE INC Industrials 638,566 $195.5M 0.01% NEW
954 SOLSTICE ADVANCED MATLS INC 4,017,107 $195.2M 0.01% NEW
955 CAVA CAVA GROUP INC Consumer Cyclical 3,318,894 $194.8M 0.01% NEW
956 AOS SMITH A O CORP Industrials 2,909,395 $194.6M 0.01% NEW
957 FTSL FIRST TR EXCHANGE-TRADED FD 4,226,966 $193.9M 0.01% NEW
958 QGEN QIAGEN NV Healthcare 4,306,976 $193.7M 0.01% NEW
959 NWG NATWEST GROUP PLC Financial Services 11,061,146 $193.6M 0.01% NEW
960 BLD TOPBUILD CORP Industrials 462,840 $193.1M 0.01% NEW
961 IVZ INVESCO LTD Financial Services 7,338,776 $192.8M 0.01% NEW
962 TSN TYSON FOODS INC Consumer Defensive 3,286,088 $192.6M 0.01% NEW
963 ALLE ALLEGION PLC Industrials 1,209,676 $192.6M 0.01% NEW
964 ITB ISHARES TR 1,994,342 $192.1M 0.01% NEW
965 WSM WILLIAMS SONOMA INC Consumer Cyclical 1,074,827 $192.0M 0.01% NEW
966 RCI ROGERS COMMUNICATIONS INC Communication Services 5,080,341 $191.7M 0.01% NEW
967 NVST ENVISTA HOLDINGS CORPORATION Healthcare 8,809,244 $191.2M 0.01% NEW
968 JHMM JOHN HANCOCK EXCHANGE TRADED 2,914,232 $190.8M 0.01% NEW
969 MLI MUELLER INDS INC Industrials 1,659,496 $190.5M 0.01% NEW
970 NORWEGIAN CRUISE LINE HLDG L 8,520,548 $190.2M 0.01% NEW
971 UHS UNIVERSAL HLTH SVCS INC Healthcare 871,377 $190.0M 0.01% NEW
972 ISPY PROSHARES TR 4,162,211 $189.9M 0.01% NEW
973 UTHR UNITED THERAPEUTICS CORP DEL Healthcare 389,275 $189.7M 0.01% NEW
974 CWAN CLEARWATER ANALYTICS HLDGS I Technology 7,855,686 $189.5M 0.01% NEW
975 REGL PROSHARES TR 2,249,203 $189.4M 0.01% NEW
976 BIPC BROOKFIELD INFRASTRUCTURE CO Utilities 4,165,872 $189.1M 0.01% NEW
977 KNX KNIGHT-SWIFT TRANSN HLDGS IN Industrials 3,605,646 $188.5M 0.01% NEW
978 HTHT H WORLD GROUP LTD Consumer Cyclical 4,002,602 $188.3M 0.01% NEW
979 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical 5,157,306 $188.2M 0.01% NEW
980 FNV FRANCO NEV CORP Basic Materials 906,771 $188.0M 0.01% NEW
981 ELAN ELANCO ANIMAL HEALTH INC Healthcare 8,286,608 $187.5M 0.01% NEW
982 BNDW VANGUARD SCOTTSDALE FDS 2,726,458 $187.4M 0.01% NEW
983 JQUA J P MORGAN EXCHANGE TRADED F 2,960,267 $187.0M 0.01% NEW
984 VDE VANGUARD WORLD FD 1,478,173 $186.1M 0.01% NEW
985 SCZ ISHARES TR 2,389,338 $185.2M 0.01% NEW
986 WY WEYERHAEUSER CO MTN BE Real Estate 7,819,347 $185.2M 0.01% NEW
987 CGMS CAPITAL GRP FIXED INCM ETF T 6,699,298 $185.0M 0.01% NEW
988 FERG FERGUSON ENTERPRISES INC Industrials 830,780 $185.0M 0.01% NEW
989 ZION ZIONS BANCORPORATION N A Financial Services 3,151,319 $184.5M 0.01% NEW
990 FTS FORTIS INC Utilities 3,549,885 $184.4M 0.01% NEW
991 EXEL EXELIXIS INC Healthcare 4,206,656 $184.4M 0.01% NEW
992 TW TRADEWEB MKTS INC Financial Services 1,713,418 $184.3M 0.01% NEW
993 UPST UPSTART HLDGS INC Financial Services 4,206,615 $184.0M 0.01% NEW
994 DBX DROPBOX INC Technology 6,612,123 $183.8M 0.01% NEW
995 WYNN WYNN RESORTS LTD Consumer Cyclical 1,525,140 $183.5M 0.01% NEW
996 TFLO ISHARES TR 3,631,683 $183.3M 0.01% NEW
997 SPHR SPHERE ENTERTAINMENT CO Communication Services 1,921,864 $182.7M 0.01% NEW
998 APTV APTIV PLC Consumer Cyclical 2,386,173 $181.6M 0.01% NEW
999 DEUTSCHE BANK A G 4,693,952 $181.0M 0.01% NEW
1000 LNC LINCOLN NATL CORP IND Financial Services 4,062,903 $180.9M 0.01% NEW
1001 TDIV FIRST TR EXCHANGE TRADED FD 1,864,983 $180.6M 0.01% NEW
1002 FTAIN FTAI AVIATION LTD Industrials 914,925 $180.1M 0.01% NEW
1003 CREDO TECHNOLOGY GROUP HOLDI 1,250,583 $179.9M 0.01% NEW
1004 FTV FORTIVE CORP Technology 3,259,205 $179.9M 0.01% NEW
1005 VPL VANGUARD INTL EQUITY INDEX F 1,989,105 $179.8M 0.01% NEW
1006 PBA PEMBINA PIPELINE CORP Energy 4,723,159 $179.8M 0.01% NEW
1007 HALO HALOZYME THERAPEUTICS INC Healthcare 2,658,299 $178.9M 0.01% NEW
1008 BG BUNGE GLOBAL SA Consumer Defensive 2,005,760 $178.7M 0.01% NEW
1009 CPAY CORPAY INC Technology 593,702 $178.7M 0.01% NEW
1010 FLEX FLEX LTD Technology 2,946,427 $178.0M 0.01% NEW
1011 BSCS INVESCO EXCH TRD SLF IDX FD 8,629,850 $177.8M 0.01% NEW
1012 PAA PLAINS ALL AMERN PIPELINE L Energy 9,881,248 $177.5M 0.01% NEW
1013 PHYS/U SPROTT ASSET MANAGEMENT LP 5,374,013 $177.4M 0.01% NEW
1014 SWKS SKYWORKS SOLUTIONS INC Technology 2,796,429 $177.3M 0.01% NEW
1015 IFF INTERNATIONAL FLAVORS&FRAGRA Basic Materials 2,626,460 $177.0M 0.01% NEW
1016 XBXMX NUVEEN S&P 500 BUY-WRITE INC 12,037,265 $176.9M 0.01% NEW
1017 RS RELIANCE INC Basic Materials 612,387 $176.9M 0.01% NEW
1018 SWK STANLEY BLACK & DECKER INC Industrials 2,379,216 $176.7M 0.01% NEW
1019 GAMING & LEISURE PPTYS INC 3,952,649 $176.6M 0.01% NEW
1020 N1UA NEW ORIENTAL ED & TECHNOLOGY 3,200,578 $176.1M 0.01% NEW
1021 PSN PARSONS CORP DEL Industrials 2,847,932 $176.0M 0.01% NEW
1022 SF STIFEL FINL CORP Financial Services 1,405,203 $176.0M 0.01% NEW
1023 HO1 HOLOGIC INC 2,362,076 $176.0M 0.01% NEW
1024 LINE LINEAGE INC Real Estate 5,017,332 $175.6M 0.01% NEW
1025 MAS MASCO CORP Industrials 2,753,894 $174.8M 0.01% NEW
1026 AU ANGLOGOLD ASHANTI PLC Basic Materials 2,038,986 $173.9M 0.01% NEW
1027 SMIG ETF SER SOLUTIONS 6,033,636 $173.8M 0.01% NEW
1028 SHLD GLOBAL X FDS 2,673,833 $173.2M 0.01% NEW
1029 FTA FIRST TR EXCHANGE-TRADED ALP 2,009,411 $173.1M 0.01% NEW
1030 ODD ODDITY TECH LTD Technology 4,305,565 $173.0M 0.01% NEW
1031 NBIX NEUROCRINE BIOSCIENCES INC Healthcare 1,209,378 $171.5M 0.01% NEW
1032 BWXT BWX TECHNOLOGIES INC Industrials 992,387 $171.5M 0.01% NEW
1033 LLYVK LIBERTY LIVE HOLDINGS INC Communication Services 2,062,231 $171.5M 0.01% NEW
1034 FPF FIRST TR INTER DURATN PFD & Financial Services 9,196,102 $171.4M 0.01% NEW
1035 FELE FRANKLIN ELEC INC Industrials 1,790,205 $171.0M 0.01% NEW
1036 ASX ASE TECHNOLOGY HLDG CO LTD Technology 10,607,588 $170.8M 0.01% NEW
1037 WHITE MTNS INS GROUP LTD 82,151 $170.7M 0.01% NEW
1038 LYFT LYFT INC Technology 8,797,523 $170.4M 0.01% NEW
1039 NGG NATIONAL GRID PLC Utilities 2,199,519 $170.1M 0.01% NEW
1040 DBEU DBX ETF TR 3,524,913 $169.2M 0.01% NEW
1041 XAR SPDR SERIES TRUST 698,073 $168.4M 0.01% NEW
1042 DEO DIAGEO PLC Consumer Defensive 1,947,245 $168.0M 0.01% NEW
1043 DVA DAVITA INC Healthcare 1,477,045 $167.8M 0.01% NEW
1044 GLBE GLOBAL E ONLINE LTD Consumer Cyclical 4,267,715 $167.8M 0.01% NEW
1045 PNW PINNACLE WEST CAP CORP Utilities 1,887,965 $167.5M 0.01% NEW
1046 SPROUTS FMRS MKT INC 2,098,249 $167.2M 0.01% NEW
1047 TARS TARSUS PHARMACEUTICALS INC Healthcare 2,040,742 $167.1M 0.01% NEW
1048 THC TENET HEALTHCARE CORP Healthcare 840,693 $167.1M 0.01% NEW
1049 CZR CAESARS ENTERTAINMENT INC NE Consumer Cyclical 7,141,899 $167.0M 0.01% NEW
1050 NEAR ISHARES U S ETF TR 3,268,723 $167.0M 0.01% NEW
1051 SANM SANMINA CORPORATION Technology 1,110,660 $166.7M 0.01% NEW
1052 U UNITY SOFTWARE INC Technology 3,773,089 $166.7M 0.01% NEW
1053 DORM DORMAN PRODS INC Consumer Cyclical 1,352,183 $166.6M 0.01% NEW
1054 UITB VICTORY PORTFOLIOS II 3,513,322 $166.4M 0.01% NEW
1055 JEMA J P MORGAN EXCHANGE TRADED F 3,394,392 $166.3M 0.01% NEW
1056 SCCO SOUTHERN COPPER CORP Basic Materials 1,155,973 $165.8M 0.01% NEW
1057 WCC WESCO INTL INC Industrials 677,602 $165.8M 0.01% NEW
1058 IHDG WISDOMTREE TR 3,401,918 $165.5M 0.01% NEW
1059 ZBH ZIMMER BIOMET HOLDINGS INC Healthcare 1,838,096 $165.3M 0.01% NEW
1060 RPV INVESCO EXCHANGE TRADED FD T 1,595,954 $165.0M 0.01% NEW
1061 PAPI MORGAN STANLEY ETF TRUST 6,387,688 $164.7M 0.01% NEW
1062 BAX BAXTER INTL INC Healthcare 8,615,885 $164.6M 0.01% NEW
1063 P PURE STORAGE INC Technology 2,456,541 $164.6M 0.01% NEW
1064 COO COOPER COS INC Healthcare 2,007,690 $164.6M 0.01% NEW
1065 COLB COLUMBIA BKG SYS INC Financial Services 5,886,839 $164.5M 0.01% NEW
1066 HAS HASBRO INC Consumer Cyclical 2,004,185 $164.3M 0.01% NEW
1067 CBZ CBIZ INC Industrials 3,251,355 $164.0M 0.01% NEW
1068 TLN TALEN ENERGY CORP Utilities 437,423 $164.0M 0.01% NEW
1069 VALE VALE S A Basic Materials 12,563,174 $163.7M 0.01% NEW
1070 TSPA T ROWE PRICE ETF INC 3,821,023 $163.5M 0.01% NEW
1071 PEN PENUMBRA INC Healthcare 525,507 $163.4M 0.01% NEW
1072 COLM COLUMBIA SPORTSWEAR CO Consumer Cyclical 2,962,174 $163.2M 0.01% NEW
1073 STIP ISHARES TR 1,591,996 $163.0M 0.01% NEW
1074 BSCU INVESCO EXCH TRD SLF IDX FD 9,598,976 $162.4M 0.01% NEW
1075 XPO XPO INC Industrials 1,193,780 $162.2M 0.01% NEW
1076 XYLD GLOBAL X FDS 3,987,866 $162.0M 0.01% NEW
1077 MEAR ISHARES U S ETF TR 3,213,395 $161.7M 0.01% NEW
1078 SCHX SCHWAB STRATEGIC TR 6,006,598 $161.6M 0.01% NEW
1079 IMO IMPERIAL OIL LTD Energy 1,867,363 $161.2M 0.01% NEW
1080 MP MP MATERIALS CORP Basic Materials 3,177,806 $160.5M 0.01% NEW
1081 IAGG ISHARES TR 3,200,607 $160.1M 0.01% NEW
1082 STM STMICROELECTRONICS N V Technology 6,156,161 $159.7M 0.01% NEW
1083 BLDR BUILDERS FIRSTSOURCE INC Industrials 1,543,719 $158.8M 0.01% NEW
1084 YMM FULL TRUCK ALLIANCE CO LTD Technology 14,769,842 $158.5M 0.01% NEW
1085 CRL CHARLES RIV LABS INTL INC Healthcare 792,820 $158.2M 0.01% NEW
1086 JD JD.COM INC Consumer Cyclical 5,492,904 $157.6M 0.01% NEW
1087 TECK TECK RESOURCES LTD Basic Materials 3,284,839 $157.3M 0.01% NEW
1088 INDV INDIVIOR PLC Healthcare 4,377,774 $157.1M 0.01% NEW
1089 KIM KIMCO RLTY CORP Real Estate 7,737,873 $156.8M 0.01% NEW
1090 JEF JEFFERIES FINL GROUP INC Financial Services 2,524,669 $156.5M 0.01% NEW
1091 MUNI PIMCO ETF TR 2,982,364 $156.3M 0.01% NEW
1092 CHECK POINT SOFTWARE TECH LT 841,901 $156.2M 0.01% NEW
1093 BXSL BLACKSTONE SECD LENDING FD Financial Services 5,931,804 $156.2M 0.01% NEW
1094 BSCT INVESCO EXCH TRD SLF IDX FD 8,288,748 $156.1M 0.01% NEW
1095 XRT SPDR SERIES TRUST 1,829,248 $156.0M 0.01% NEW
1096 NLY ANNALY CAPITAL MANAGEMENT IN Real Estate 6,977,329 $156.0M 0.01% NEW
1097 XP XP INC Financial Services 9,524,277 $155.9M 0.01% NEW
1098 EQH EQUITABLE HLDGS INC Financial Services 3,250,299 $154.9M 0.01% NEW
1099 HEI/A HEICO CORP NEW 613,474 $154.9M 0.01% NEW
1100 FLJP FRANKLIN TEMPLETON ETF TR 4,490,762 $154.7M 0.01% NEW
1101 CGSD CAPITAL GRP FIXED INCM ETF T 5,944,971 $154.6M 0.01% NEW
1102 VCR VANGUARD WORLD FD 392,116 $154.5M 0.01% NEW
1103 GEN GEN DIGITAL INC Technology 5,677,523 $154.4M 0.01% NEW
1104 AIZ ASSURANT INC Financial Services 640,431 $154.2M 0.01% NEW
1105 HRL HORMEL FOODS CORP Consumer Defensive 6,455,021 $153.0M 0.01% NEW
1106 SHOO MADDEN STEVEN LTD Consumer Cyclical 3,671,441 $152.9M 0.01% NEW
1107 PATH UIPATH INC Technology 9,310,304 $152.6M 0.01% NEW
1108 TPG TPG INC Financial Services 2,384,592 $152.2M 0.01% NEW
1109 ELS EQUITY LIFESTYLE PPTYS INC Real Estate 2,506,968 $151.9M 0.01% NEW
1110 EPRT ESSENTIAL PPTYS RLTY TR INC Real Estate 5,121,515 $151.9M 0.01% NEW
1111 MOH MOLINA HEALTHCARE INC Healthcare 874,936 $151.8M 0.01% NEW
1112 URA GLOBAL X FDS 3,550,762 $151.7M 0.01% NEW
1113 EEMV ISHARES INC 2,367,297 $151.6M 0.01% NEW
1114 EVSM MORGAN STANLEY ETF TRUST 3,009,023 $151.6M 0.01% NEW
1115 PUK PRUDENTIAL PLC Financial Services 4,866,383 $151.4M 0.01% NEW
1116 SATS ECHOSTAR CORP Technology 1,392,820 $151.4M 0.01% NEW
1117 ON1 OLD NATL BANCORP IND 6,776,716 $151.2M 0.01% NEW
1118 ZBRA ZEBRA TECHNOLOGIES CORPORATI Technology 622,410 $151.1M 0.01% NEW
1119 MOD MODINE MFG CO Consumer Cyclical 1,130,902 $151.0M 0.01% NEW
1120 LAMR LAMAR ADVERTISING CO NEW Real Estate 1,190,570 $150.7M 0.01% NEW
1121 FMB FIRST TR EXCH TRADED FD III 2,945,540 $150.6M 0.01% NEW
1122 SYM SYMBOTIC INC Industrials 2,530,874 $150.6M 0.01% NEW
1123 HEFA ISHARES TR 3,630,089 $150.1M 0.01% NEW
1124 IX ORIX CORP Financial Services 5,117,942 $149.5M 0.01% NEW
1125 TOL TOLL BROTHERS INC Consumer Cyclical 1,105,793 $149.5M 0.01% NEW
1126 HBM HUDBAY MINERALS INC Basic Materials 7,528,284 $149.4M 0.01% NEW
1127 MGC VANGUARD WORLD FD 594,721 $149.4M 0.01% NEW
1128 OKTA OKTA INC Technology 1,722,952 $149.0M 0.01% NEW
1129 ITT ITT INC Industrials 858,072 $148.9M 0.01% NEW
1130 TAL TAL EDUCATION GROUP Consumer Defensive 13,637,220 $148.8M 0.01% NEW
1131 SSB SOUTHSTATE BK CORP Financial Services 1,579,164 $148.6M 0.01% NEW
1132 EPI WISDOMTREE TR 3,207,457 $148.5M 0.01% NEW
1133 REG REGENCY CTRS CORP Real Estate 2,144,760 $148.1M 0.01% NEW
1134 IYH ISHARES TR 2,269,524 $147.7M 0.01% NEW
1135 ALGN ALIGN TECHNOLOGY INC Healthcare 944,850 $147.5M 0.01% NEW
1136 SMMU PIMCO ETF TR 2,922,726 $147.4M 0.01% NEW
1137 ATI ATI INC Industrials 1,283,539 $147.3M 0.01% NEW
1138 CHART INDS INC 713,547 $147.2M 0.01% NEW
1139 FNDE SCHWAB STRATEGIC TR 4,079,189 $147.1M 0.01% NEW
1140 ACM AECOM Industrials 1,542,289 $147.0M 0.01% NEW
1141 LVHI LEGG MASON ETF INVT 3,985,050 $146.7M 0.01% NEW
1142 AKAM AKAMAI TECHNOLOGIES INC Technology 1,680,801 $146.7M 0.01% NEW
1143 RYAN RYAN SPECIALTY HOLDINGS INC Financial Services 2,840,310 $146.6M 0.01% NEW
1144 FUN SIX FLAGS ENTERTAINMENT CORP Consumer Cyclical 9,473,532 $145.3M 0.01% NEW
1145 GPCR STRUCTURE THERAPEUTICS INC Healthcare 2,087,834 $145.2M 0.01% NEW
1146 CVE CENOVUS ENERGY INC Energy 8,578,317 $145.1M 0.01% NEW
1147 BSCQ INVESCO EXCH TRD SLF IDX FD 7,372,407 $144.3M 0.01% NEW
1148 EVEREST GROUP LTD 425,241 $144.3M 0.01% NEW
1149 NVT NVENT ELECTRIC PLC Industrials 1,409,585 $143.7M 0.01% NEW
1150 HFXI NEW YORK LIFE INVESTMENTS ET 4,426,596 $143.6M 0.01% NEW
1151 CGBL CAPITAL GROUP CORE BALANCED 4,062,395 $143.5M 0.01% NEW
1152 WWD WOODWARD INC Industrials 474,194 $143.4M 0.01% NEW
1153 PBR PETROLEO BRASILEIRO SA PETRO Energy 12,087,833 $143.2M 0.01% NEW
1154 QTEC FIRST TR EXCHANGE-TRADED FD 621,138 $143.0M 0.01% NEW
1155 FDVV FIDELITY COVINGTON TRUST 2,520,014 $142.9M 0.01% NEW
1156 FXU FIRST TR EXCHANGE TRADED FD 3,172,178 $142.8M 0.01% NEW
1157 USIG ISHARES TR 2,755,600 $142.7M 0.01% NEW
1158 GSIE GOLDMAN SACHS ETF TR 3,313,212 $142.3M 0.01% NEW
1159 FNDX SCHWAB STRATEGIC TR 5,222,076 $142.1M 0.01% NEW
1160 BCPC BALCHEM CORP Basic Materials 926,162 $142.0M 0.01% NEW
1161 ENTG ENTEGRIS INC Technology 1,685,319 $142.0M 0.01% NEW
1162 CWB SPDR SERIES TRUST 1,591,638 $142.0M 0.01% NEW
1163 RRX REGAL REXNORD CORPORATION Industrials 1,010,252 $141.8M 0.01% NEW
1164 NWSA NEWS CORP NEW Communication Services 5,412,573 $141.4M 0.01% NEW
1165 SUSA ISHARES TR 1,011,602 $141.0M 0.01% NEW
1166 NLR VANECK ETF TRUST 1,133,847 $140.8M 0.01% NEW
1167 BF/B BROWN FORMAN CORP 5,402,889 $140.8M 0.01% NEW
1168 PINNACLE FINL PARTNERS INC 1,475,422 $140.8M 0.01% NEW
1169 MGA MAGNA INTL INC Consumer Cyclical 2,635,095 $140.5M 0.01% NEW
1170 PFGC PERFORMANCE FOOD GROUP CO Consumer Defensive 1,559,357 $140.2M 0.01% NEW
1171 NFJ VIRTUS DIVIDEND INTEREST & P Financial Services 10,841,427 $139.7M 0.01% NEW
1172 SITM SITIME CORP Technology 395,583 $139.7M 0.01% NEW
1173 ZM ZOOM COMMUNICATIONS INC Technology 1,618,308 $139.6M 0.01% NEW
1174 CELC CELCUITY INC Healthcare 1,398,970 $139.5M 0.01% NEW
1175 TFI SPDR SERIES TRUST 3,051,251 $139.5M 0.01% NEW
1176 CGXU CAPITAL GROUP INTL FOCUS EQT 4,704,190 $139.0M 0.01% NEW
1177 DSGX DESCARTES SYS GROUP INC Technology 1,584,393 $138.9M 0.01% NEW
1178 HST HOST HOTELS & RESORTS INC Real Estate 7,822,113 $138.7M 0.01% NEW
1179 IDCC INTERDIGITAL INC Technology 435,194 $138.6M 0.01% NEW
1180 AS AMER SPORTS INC Consumer Cyclical 3,707,204 $138.5M 0.01% NEW
1181 8QR CONFLUENT INC 4,567,873 $138.1M 0.01% NEW
1182 WIT WIPRO LTD Technology 48,531,368 $137.8M 0.01% NEW
1183 BMRN BIOMARIN PHARMACEUTICAL INC Healthcare 2,315,620 $137.6M 0.01% NEW
1184 QGRW WISDOMTREE TR 2,344,690 $137.6M 0.01% NEW
1185 STWD STARWOOD PPTY TR INC Real Estate 7,614,736 $137.1M 0.01% NEW
1186 JOBY JOBY AVIATION INC Industrials 10,356,804 $136.7M 0.01% NEW
1187 IEV ISHARES TR 1,992,128 $136.7M 0.01% NEW
1188 HQY HEALTHEQUITY INC Healthcare 1,486,057 $136.1M 0.01% NEW
1189 ALLY ALLY FINL INC Financial Services 2,997,779 $135.8M 0.01% NEW
1190 DAY DAYFORCE INC 1,962,343 $135.7M 0.01% NEW
1191 OKLO OKLO INC Utilities 1,884,091 $135.2M 0.01% NEW
1192 FTI TECHNIPFMC PLC Energy 3,034,155 $135.2M 0.01% NEW
1193 OWL BLUE OWL CAPITAL INC Financial Services 9,047,936 $135.2M 0.01% NEW
1194 ROKU ROKU INC Communication Services 1,245,302 $135.1M 0.01% NEW
1195 FLR FLUOR CORP NEW Industrials 3,405,733 $135.0M 0.01% NEW
1196 DINO HF SINCLAIR CORP Energy 2,928,087 $134.9M 0.01% NEW
1197 HURN HURON CONSULTING GROUP INC Industrials 779,120 $134.7M 0.01% NEW
1198 VDC VANGUARD WORLD FD 637,725 $134.7M 0.01% NEW
1199 GIB CGI INC Technology 1,453,829 $134.2M 0.01% NEW
1200 TAP MOLSON COORS BEVERAGE CO Consumer Defensive 2,874,494 $134.2M 0.01% NEW
1201 GNRC GENERAC HLDGS INC Industrials 982,458 $134.0M 0.01% NEW
1202 MNDY MONDAY COM LTD Technology 907,723 $133.9M 0.01% NEW
1203 BCE BCE INC Communication Services 5,610,568 $133.6M 0.01% NEW
1204 CWST CASELLA WASTE SYS INC Industrials 1,362,854 $133.5M 0.01% NEW
1205 ASHR DBX ETF TR 4,062,767 $133.5M 0.01% NEW
1206 ONC BEONE MEDICINES LTD Healthcare 437,661 $133.0M 0.01% NEW
1207 MOG.B MOOG INC Industrials 544,431 $132.6M 0.01% NEW
1208 SPHY SPDR SERIES TRUST 5,600,772 $132.6M 0.01% NEW
1209 NYT NEW YORK TIMES CO Communication Services 1,909,553 $132.6M 0.01% NEW
1210 FNX FIRST TR EXCHANGE-TRADED ALP 1,050,519 $132.3M 0.01% NEW
1211 FIG FIGMA INC Technology 3,539,626 $132.3M 0.01% NEW
1212 ASND ASCENDIS PHARMA A/S Healthcare 617,968 $131.8M 0.01% NEW
1213 FTCB FIRST TR EXCHANGE-TRADED FD 6,203,204 $131.7M 0.01% NEW
1214 SOLV SOLVENTUM CORP Healthcare 1,660,906 $131.6M 0.01% NEW
1215 ILF ISHARES TR 4,321,968 $131.6M 0.01% NEW
1216 FEX FIRST TR EXCHANGE-TRADED ALP 1,107,991 $131.4M 0.01% NEW
1217 ESSENTIAL UTILS INC 3,420,270 $131.2M 0.01% NEW
1218 VTHR VANGUARD SCOTTSDALE FDS 436,121 $131.0M 0.01% NEW
1219 CPT CAMDEN PPTY TR Real Estate 1,189,505 $130.9M 0.01% NEW
1220 PREF PRINCIPAL EXCHANGE TRADED FD 6,865,997 $130.9M 0.01% NEW
1221 EWBC EAST WEST BANCORP INC Financial Services 1,161,857 $130.6M 0.01% NEW
1222 DIVO AMPLIFY ETF TR 2,929,359 $130.4M 0.01% NEW
1223 BOTZ GLOBAL X FDS 3,593,928 $130.2M 0.01% NEW
1224 RYAAY RYANAIR HOLDINGS PLC 1,801,283 $130.0M 0.01% NEW
1225 CMA COMERICA INC 1,494,011 $129.9M 0.01% NEW
1226 MACOM TECH SOLUTIONS HLDGS I 758,162 $129.9M 0.01% NEW
1227 URTH ISHARES INC 698,705 $129.8M 0.01% NEW
1228 OIH VANECK ETF TRUST 455,222 $129.6M 0.01% NEW
1229 STN STANTEC INC Industrials 1,371,942 $129.5M 0.01% NEW
1230 GRAL GRAIL INC Healthcare 1,511,687 $129.4M 0.01% NEW
1231 IBDU ISHARES TR 5,508,349 $128.9M 0.01% NEW
1232 AAON AAON INC Industrials 1,687,671 $128.7M 0.01% NEW
1233 JAVA J P MORGAN EXCHANGE TRADED F 1,793,105 $128.6M 0.01% NEW
1234 WPC WP CAREY INC Real Estate 1,997,345 $128.5M 0.01% NEW
1235 MUSA MURPHY USA INC Consumer Cyclical 318,473 $128.5M 0.01% NEW
1236 ABUS ARBUTUS BIOPHARMA CORP Healthcare 26,702,776 $128.4M 0.01% NEW
1237 IOO ISHARES TR 1,013,535 $128.4M 0.01% NEW
1238 ENPH ENPHASE ENERGY INC Energy 4,005,142 $128.4M 0.01% NEW
1239 CBSH COMMERCE BANCSHARES INC Financial Services 2,440,069 $127.7M 0.01% NEW
1240 FXO FIRST TR EXCHANGE TRADED FD 2,115,411 $127.7M 0.01% NEW
1241 JXN JACKSON FINANCIAL INC Financial Services 1,196,405 $127.6M 0.01% NEW
1242 HIMS HIMS & HERS HEALTH INC Healthcare 3,929,232 $127.6M 0.01% NEW
1243 BWA BORGWARNER INC Consumer Cyclical 2,823,717 $127.2M 0.01% NEW
1244 AMDOCS LTD 1,575,916 $126.9M 0.01% NEW
1245 CPB THE CAMPBELLS COMPANY Consumer Defensive 4,550,388 $126.8M 0.01% NEW
1246 RENAISSANCERE HLDGS LTD 451,021 $126.8M 0.01% NEW
1247 FORM FORMFACTOR INC Technology 2,271,562 $126.7M 0.01% NEW
1248 REXR REXFORD INDL RLTY INC Real Estate 3,265,811 $126.5M 0.01% NEW
1249 NBSD NEUBERGER BERMAN ETF TRUST 2,465,782 $126.2M 0.01% NEW
1250 ARQT ARCUTIS BIOTHERAPEUTICS INC Healthcare 4,340,239 $126.0M 0.01% NEW
1251 TCAF T ROWE PRICE ETF INC 3,290,868 $125.8M 0.01% NEW
1252 ARTY ISHARES TR 2,610,430 $125.8M 0.01% NEW
1253 BMI BADGER METER INC Technology 720,969 $125.7M 0.01% NEW
1254 KYN KAYNE ANDERSON ENERGY INFRST Financial Services 10,143,636 $125.6M 0.01% NEW
1255 LYG LLOYDS BANKING GROUP PLC Financial Services 23,685,544 $125.5M 0.01% NEW
1256 UDR UDR INC Real Estate 3,416,662 $125.3M 0.01% NEW
1257 RDY DR REDDYS LABS LTD Healthcare 8,926,051 $125.3M 0.01% NEW
1258 GIL GILDAN ACTIVEWEAR INC Consumer Cyclical 2,005,073 $125.2M 0.01% NEW
1259 FR FIRST INDL RLTY TR INC Real Estate 2,184,198 $125.1M 0.01% NEW
1260 FIVE FIVE BELOW INC Consumer Cyclical 663,033 $124.9M 0.01% NEW
1261 PCTY PAYLOCITY HLDG CORP Technology 817,209 $124.6M 0.01% NEW
1262 DTM DT MIDSTREAM INC Energy 1,041,197 $124.6M 0.01% NEW
1263 FHN FIRST HORIZON CORPORATION Financial Services 5,212,543 $124.6M 0.01% NEW
1264 IWL ISHARES TR 728,697 $124.3M 0.01% NEW
1265 VKTX VIKING HOLDINGS LTD Healthcare 1,741,068 $124.3M 0.01% NEW
1266 IMCB ISHARES TR 1,501,549 $124.2M 0.01% NEW
1267 PAAS PAN AMERN SILVER CORP Basic Materials 2,396,226 $124.1M 0.01% NEW
1268 CELH CELSIUS HLDGS INC Consumer Defensive 2,702,134 $123.6M 0.01% NEW
1269 ARE ALEXANDRIA REAL ESTATE EQ IN Real Estate 2,524,717 $123.6M 0.01% NEW
1270 TXRH TEXAS ROADHOUSE INC Consumer Cyclical 743,729 $123.5M 0.01% NEW
1271 WTV WISDOMTREE TR 1,322,128 $123.4M 0.01% NEW
1272 USRT ISHARES TR 2,164,347 $123.3M 0.01% NEW
1273 VOYA VOYA FINANCIAL INC Financial Services 1,653,993 $123.2M 0.01% NEW
1274 IMVT IMMUNOVANT INC Healthcare 4,846,385 $123.2M 0.01% NEW
1275 NTES NETEASE INC Technology 894,440 $123.1M 0.01% NEW
1276 TEM TEMPUS AI INC Healthcare 2,083,394 $123.0M 0.01% NEW
1277 FYBR FRONTIER COMMUNICATIONS PARE 3,230,076 $123.0M 0.01% NEW
1278 KBWB INVESCO EXCH TRADED FD TR II 1,456,646 $122.8M 0.01% NEW
1279 ELBIT SYS LTD 212,250 $122.6M 0.01% NEW
1280 DON WISDOMTREE TR 2,374,903 $122.5M 0.01% NEW
1281 SIL GLOBAL X FDS 1,466,102 $122.4M 0.01% NEW
1282 AFG AMERICAN FINL GROUP INC OHIO Financial Services 894,998 $122.3M 0.01% NEW
1283 VFC V F CORP Consumer Cyclical 6,747,348 $122.0M 0.01% NEW
1284 SN SHARKNINJA INC Consumer Cyclical 1,080,326 $120.9M 0.01% NEW
1285 NGL NGL ENERGY PARTNERS LP Energy 12,088,762 $120.9M 0.01% NEW
1286 GSST GOLDMAN SACHS ETF TR 2,385,447 $120.4M 0.01% NEW
1287 MTH MERITAGE HOMES CORP Consumer Cyclical 1,825,946 $120.1M 0.01% NEW
1288 CDTX CIDARA THERAPEUTICS INC 542,722 $119.9M 0.01% NEW
1289 3M4 MASIMO CORP 920,735 $119.8M 0.01% NEW
1290 TPYP TORTOISE CAPITAL SERIES TRUS 3,391,404 $119.7M 0.01% NEW
1291 MOS MOSAIC CO NEW Basic Materials 4,955,715 $119.4M 0.01% NEW
1292 ORI OLD REP INTL CORP Financial Services 2,614,838 $119.3M 0.01% NEW
1293 SLQD ISHARES TR 2,353,233 $119.3M 0.01% NEW
1294 RODM LATTICE STRATEGIES TR 3,222,470 $119.2M 0.01% NEW
1295 XPEV XPENG INC Consumer Cyclical 5,855,148 $118.7M 0.01% NEW
1296 RWK INVESCO EXCH TRADED FD TR II 938,017 $118.6M 0.01% NEW
1297 WBS WEBSTER FINL CORP Financial Services 1,883,171 $118.5M 0.01% NEW
1298 SKYY FIRST TR EXCHANGE TRADED FD 910,867 $118.5M 0.01% NEW
1299 IYJ ISHARES TR 799,436 $118.5M 0.01% NEW
1300 BUFR FIRST TR EXCHNG TRADED FD VI 3,455,657 $118.4M 0.01% NEW
1301 SUI SUN CMNTYS INC Real Estate 954,742 $118.3M 0.01% NEW
1302 ACHR ARCHER AVIATION INC Industrials 15,717,522 $118.2M 0.01% NEW
1303 SPTM SPDR SERIES TRUST 1,431,332 $118.1M 0.01% NEW
1304 TBBB BBB FOODS INC Consumer Defensive 3,534,884 $118.0M 0.01% NEW
1305 GH GUARDANT HEALTH INC Healthcare 1,154,299 $117.9M 0.01% NEW
1306 AR ANTERO RESOURCES CORP Energy 3,417,825 $117.8M 0.01% NEW
1307 PII POLARIS INC Consumer Cyclical 1,861,942 $117.8M 0.01% NEW
1308 CRS CARPENTER TECHNOLOGY CORP Industrials 373,613 $117.6M 0.01% NEW
1309 YUMC YUM CHINA HLDGS INC Consumer Cyclical 2,461,426 $117.5M 0.01% NEW
1310 GFL GFL ENVIRONMENTAL INC Industrials 2,731,961 $117.3M 0.01% NEW
1311 IPAR INTERPARFUMS INC Consumer Defensive 1,379,293 $117.0M 0.01% NEW
1312 LNTH LANTHEUS HLDGS INC Healthcare 1,757,569 $117.0M 0.01% NEW
1313 OSK OSHKOSH CORP Industrials 930,328 $116.9M 0.01% NEW
1314 IBDT ISHARES TR 4,589,972 $116.8M 0.01% NEW
1315 ARKG ARK ETF TR 4,025,965 $116.6M 0.01% NEW
1316 HXL HEXCEL CORP NEW Industrials 1,578,123 $116.6M 0.01% NEW
1317 ETSY ETSY INC Consumer Cyclical 2,100,092 $116.4M 0.01% NEW
1318 INSP INSPIRE MED SYS INC Healthcare 1,259,762 $116.2M 0.01% NEW
1319 TMHC TAYLOR MORRISON HOME CORP Consumer Cyclical 1,973,433 $116.2M 0.01% NEW
1320 BIP BROOKFIELD INFRAST PARTNERS Utilities 3,343,528 $116.2M 0.01% NEW
1321 VSGX VANGUARD WORLD FD 1,619,657 $116.0M 0.01% NEW
1322 QS QUANTUMSCAPE CORP Consumer Cyclical 11,126,497 $115.9M 0.01% NEW
1323 CRCL CIRCLE INTERNET GROUP INC Financial Services 1,460,730 $115.8M 0.01% NEW
1324 PAYC PAYCOM SOFTWARE INC Technology 726,809 $115.8M 0.01% NEW
1325 ILCG ISHARES TR 1,112,299 $115.7M 0.01% NEW
1326 EWC ISHARES INC 2,145,609 $115.7M 0.01% NEW
1327 FXL FIRST TR EXCHANGE TRADED FD 687,175 $115.6M 0.01% NEW
1328 ARKW ARK ETF TR 780,087 $115.2M 0.01% NEW
1329 RRC RANGE RES CORP Energy 3,267,227 $115.2M 0.01% NEW
1330 CBU COMMUNITY FINANCIAL SYSTEM I Financial Services 2,005,436 $115.2M 0.01% NEW
1331 FIW FIRST TR EXCHANGE-TRADED FD 1,058,156 $115.0M 0.01% NEW
1332 VLUE ISHARES TR 840,473 $114.9M 0.01% NEW
1333 QAI NEW YORK LIFE INVESTMENTS ET 3,419,037 $114.6M 0.01% NEW
1334 E ENI S P A Energy 3,019,566 $114.6M 0.01% NEW
1335 FNF FIDELITY NATIONAL FINANCIAL Financial Services 2,097,427 $114.5M 0.01% NEW
1336 BIRK BIRKENSTOCK HOLDING PLC Consumer Cyclical 2,797,719 $114.4M 0.01% NEW
1337 VWOB VANGUARD WHITEHALL FDS 1,696,819 $114.4M 0.01% NEW
1338 ERIE ERIE INDTY CO Financial Services 399,078 $114.4M 0.01% NEW
1339 FXH FIRST TR EXCHANGE TRADED FD 1,004,142 $114.3M 0.01% NEW
1340 FTC FIRST TR EXCHANGE-TRADED ALP 714,028 $114.2M 0.01% NEW
1341 ZTO ZTO EXPRESS CAYMAN INC Industrials 5,459,308 $114.0M 0.01% NEW
1342 GWRE GUIDEWIRE SOFTWARE INC Technology 567,172 $114.0M 0.01% NEW
1343 GLTR ABRDN PRECIOUS METALS BASKET Financial Services 553,776 $113.9M 0.01% NEW
1344 AAXJ ISHARES TR 1,220,358 $113.6M 0.01% NEW
1345 ETH GRAYSCALE ETHEREUM MINI TR E Financial Services 4,048,985 $113.6M 0.01% NEW
1346 OBDC BLUE OWL CAPITAL CORPORATION Financial Services 9,137,406 $113.6M 0.01% NEW
1347 CVSB MORGAN STANLEY ETF TRUST 2,228,020 $113.1M 0.01% NEW
1348 HSIC HENRY SCHEIN INC Healthcare 1,495,602 $113.0M 0.01% NEW
1349 LTM LATAM AIRLINES GROUP SA Industrials 2,091,845 $113.0M 0.01% NEW
1350 IVOO VANGUARD ADMIRAL FDS INC 1,009,424 $112.9M 0.01% NEW
1351 XNEAX NUVEEN AMT FREE QLTY MUN INC 9,700,112 $112.8M 0.01% NEW
1352 PSLV/U SPROTT ASSET MANAGEMENT LP 4,760,761 $112.6M 0.01% NEW
1353 STOK STOKE THERAPEUTICS INC Healthcare 3,546,158 $112.6M 0.01% NEW
1354 ABEV AMBEV SA Consumer Defensive 45,462,628 $112.3M 0.01% NEW
1355 EVSB MORGAN STANLEY ETF TRUST 2,204,667 $112.2M 0.01% NEW
1356 VOD VODAFONE GROUP PLC NEW Communication Services 8,487,605 $112.1M 0.01% NEW
1357 XSOE WISDOMTREE TR 2,870,785 $112.0M 0.01% NEW
1358 RHI ROBERT HALF INC. Industrials 4,121,421 $111.9M 0.01% NEW
1359 ALC ALCON AG Healthcare 1,419,370 $111.9M 0.01% NEW
1360 AVUS AMERICAN CENTY ETF TR 994,121 $111.1M 0.01% NEW
1361 EWU ISHARES TR 2,523,562 $111.0M 0.01% NEW
1362 ICOW PACER FDS TR 2,868,753 $111.0M 0.01% NEW
1363 WULF TERAWULF INC Financial Services 9,641,209 $110.8M 0.01% NEW
1364 CHE CHEMED CORP NEW Healthcare 258,833 $110.7M 0.01% NEW
1365 USTB VICTORY PORTFOLIOS II 2,173,526 $110.5M 0.01% NEW
1366 KBR KBR INC Industrials 2,748,597 $110.5M 0.01% NEW
1367 OHI OMEGA HEALTHCARE INVS INC Real Estate 2,490,333 $110.4M 0.01% NEW
1368 PJT PJT PARTNERS INC Financial Services 659,729 $110.3M 0.01% NEW
1369 ATMU ATMUS FILTRATION TECHNOLOGIE Industrials 2,123,403 $110.2M 0.01% NEW
1370 IXN ISHARES TR 1,049,090 $110.2M 0.01% NEW
1371 GOLF ACUSHNET HLDGS CORP Consumer Cyclical 1,379,236 $110.1M 0.01% NEW
1372 CX CEMEX SAB DE CV Basic Materials 9,579,658 $110.1M 0.01% NEW
1373 TU TELUS CORPORATION Communication Services 8,347,951 $109.9M 0.01% NEW
1374 MUFG MITSUBISHI UFJ FINL GROUP IN Financial Services 6,904,972 $109.5M 0.01% NEW
1375 KT KT CORP Communication Services 5,767,963 $109.4M 0.01% NEW
1376 AVPT AVEPOINT INC Technology 7,871,282 $109.3M 0.01% NEW
1377 WK WORKIVA INC Technology 1,265,693 $109.2M 0.01% NEW
1378 GVA GRANITE CONSTR INC Industrials 944,981 $109.0M 0.01% NEW
1379 WAL WESTERN ALLIANCE BANCORP Financial Services 1,296,374 $109.0M 0.01% NEW
1380 LSCC LATTICE SEMICONDUCTOR CORP Technology 1,480,940 $109.0M 0.01% NEW
1381 WIX WIX COM LTD Technology 1,046,381 $108.7M 0.01% NEW
1382 BEP BROOKFIELD RENEWABLE PARTNER Utilities 4,029,046 $108.7M 0.01% NEW
1383 JAZZ JAZZ PHARMACEUTICALS PLC Healthcare 639,179 $108.7M 0.01% NEW
1384 OPCH OPTION CARE HEALTH INC Healthcare 3,410,233 $108.7M 0.01% NEW
1385 MTCH MATCH GROUP INC NEW Communication Services 3,352,088 $108.2M 0.01% NEW
1386 VKTX VIKING THERAPEUTICS INC Healthcare 3,076,270 $108.2M 0.01% NEW
1387 DT DYNATRACE INC Technology 2,494,681 $108.1M 0.01% NEW
1388 BFAM BRIGHT HORIZONS FAM SOL IN D Consumer Cyclical 1,066,234 $108.1M 0.01% NEW
1389 INGR INGREDION INC Consumer Defensive 979,877 $108.0M 0.01% NEW
1390 RWJ INVESCO EXCH TRADED FD TR II 2,214,246 $107.9M 0.01% NEW
1391 LFUS LITTELFUSE INC Technology 426,222 $107.8M 0.01% NEW
1392 BAP CREDICORP LTD Financial Services 375,502 $107.8M 0.01% NEW
1393 GSUS GOLDMAN SACHS ETF TR 1,140,097 $107.6M 0.01% NEW
1394 IHG INTERCONTINENTAL HOTELS GROU Consumer Cyclical 764,049 $107.6M 0.01% NEW
1395 FPX FIRST TR EXCHANGE-TRADED FD 657,727 $107.6M 0.01% NEW
1396 XCEM COLUMBIA ETF TR II 2,800,821 $107.4M 0.01% NEW
1397 AM ANTERO MIDSTREAM CORP Energy 6,034,114 $107.3M 0.01% NEW
1398 BBIO BRIDGEBIO PHARMA INC Healthcare 1,399,809 $107.1M 0.01% NEW
1399 IFRA ISHARES TR 2,029,036 $106.8M 0.01% NEW
1400 KNTK KINETIK HOLDINGS INC Energy 2,957,971 $106.6M 0.01% NEW
1401 SHAK SHAKE SHACK INC Consumer Cyclical 1,313,153 $106.6M 0.01% NEW
1402 NXST NEXSTAR MEDIA GROUP INC Communication Services 524,484 $106.5M 0.01% NEW
1403 MTZ MASTEC INC Industrials 489,911 $106.5M 0.01% NEW
1404 G GENPACT LIMITED Technology 2,275,612 $106.5M 0.01% NEW
1405 MAT MATTEL INC Consumer Cyclical 5,350,290 $106.1M 0.01% NEW
1406 LRN STRIDE INC Consumer Defensive 1,631,570 $105.9M 0.01% NEW
1407 XT ISHARES TR 1,512,452 $105.5M 0.01% NEW
1408 BBNX BETA BIONICS INC Healthcare 3,459,453 $105.4M 0.01% NEW
1409 SNAP SNAP INC Communication Services 13,059,829 $105.4M 0.01% NEW
1410 SGI SOMNIGROUP INTERNATIONAL INC Consumer Defensive 1,178,755 $105.2M 0.01% NEW
1411 NRP NATURAL RESOURCE PARTNERS L Energy 1,006,232 $105.1M 0.01% NEW
1412 SPHD INVESCO EXCH TRADED FD TR II 2,186,635 $105.0M 0.01% NEW
1413 HL HECLA MNG CO Basic Materials 5,465,981 $104.9M 0.01% NEW
1414 BROS DUTCH BROS INC Consumer Cyclical 1,709,256 $104.6M 0.01% NEW
1415 ACIW ACI WORLDWIDE INC Technology 2,188,415 $104.6M 0.01% NEW
1416 PWB INVESCO EXCHANGE TRADED FD T 822,431 $104.5M 0.01% NEW
1417 CLF CLEVELAND-CLIFFS INC NEW Basic Materials 7,862,669 $104.4M 0.01% NEW
1418 SDA SEALED AIR CORP NEW Consumer Cyclical 2,511,900 $104.1M 0.01% NEW
1419 UGI UGI CORP NEW Utilities 2,768,790 $103.6M 0.01% NEW
1420 XAODX ABRDN TOTAL DYNAMIC DIVIDEND 10,626,062 $103.6M 0.01% NEW
1421 BILL BILL HOLDINGS INC Technology 1,897,935 $103.5M 0.01% NEW
1422 AN AUTONATION INC Consumer Cyclical 499,265 $103.1M 0.01% NEW
1423 BEN FRANKLIN RESOURCES INC Financial Services 4,314,807 $103.1M 0.01% NEW
1424 AORT ARTIVION INC Healthcare 2,256,742 $102.9M 0.01% NEW
1425 CMF ISHARES TR 1,790,589 $102.9M 0.01% NEW
1426 ESE ESCO TECHNOLOGIES INC Technology 526,445 $102.9M 0.01% NEW
1427 HMC HONDA MOTOR LTD Consumer Cyclical 3,477,779 $102.5M 0.01% NEW
1428 SHM SPDR SERIES TRUST 2,135,323 $102.5M 0.01% NEW
1429 DY DYCOM INDS INC Industrials 303,106 $102.4M 0.01% NEW
1430 RIG TRANSOCEAN LTD Energy 24,790,325 $102.4M 0.01% NEW
1431 SMTC SEMTECH CORP Technology 1,389,257 $102.4M 0.01% NEW
1432 BSCV INVESCO EXCH TRD SLF IDX FD 6,129,247 $102.3M 0.01% NEW
1433 FSV FIRSTSERVICE CORP NEW Real Estate 657,144 $102.2M 0.01% NEW
1434 MUST COLUMBIA ETF TR I 4,946,952 $102.0M 0.01% NEW
1435 SNX TD SYNNEX CORPORATION Technology 676,741 $101.7M 0.01% NEW
1436 RBC RBC BEARINGS INC Industrials 225,807 $101.3M 0.01% NEW
1437 AEG AEGON LTD Financial Services 13,131,922 $101.2M 0.01% NEW
1438 CGDG CAPITAL GROUP DIVIDEND GROWE 2,831,829 $100.9M 0.01% NEW
1439 RVT ROYCE SMALL CAP TRUST INC Financial Services 6,252,497 $100.7M 0.01% NEW
1440 MMSI MERIT MED SYS INC Healthcare 1,140,390 $100.5M 0.01% NEW
1441 IBDS ISHARES TR 4,139,603 $100.5M 0.01% NEW
1442 CROX CROCS INC Consumer Cyclical 1,174,144 $100.4M 0.01% NEW
1443 VVV VALVOLINE INC Energy 3,451,601 $100.3M 0.01% NEW
1444 PRF INVESCO EXCHANGE TRADED FD T 2,135,865 $100.2M 0.01% NEW
1445 MTDR MATADOR RES CO Energy 2,351,669 $99.8M 0.01% NEW
1446 CARY ANGEL OAK FUNDS TRUST 4,791,541 $99.8M 0.01% NEW
1447 RHP RYMAN HOSPITALITY PPTYS INC Real Estate 1,053,651 $99.7M 0.01% NEW
1448 XHB SPDR SERIES TRUST 967,556 $99.6M 0.01% NEW
1449 IYG ISHARES TR 1,079,849 $99.6M 0.01% NEW
1450 KEP KOREA ELEC PWR CORP Utilities 6,037,153 $99.6M 0.01% NEW
1451 EPAM EPAM SYS INC Technology 485,820 $99.5M 0.01% NEW
1452 TSHA TAYSHA GENE THERAPIES INC Healthcare 18,078,518 $99.4M 0.01% NEW
1453 TAK TAKEDA PHARMACEUTICAL CO LTD Healthcare 6,373,202 $99.4M 0.01% NEW
1454 QEFA SPDR INDEX SHS FDS 1,095,075 $99.3M 0.01% NEW
1455 AVIG AMERICAN CENTY ETF TR 2,366,751 $99.2M 0.01% NEW
1456 XEVVX EATON VANCE LIMITED DURATION 10,003,565 $99.1M 0.01% NEW
1457 IYC ISHARES TR 961,133 $99.1M 0.01% NEW
1458 NNN NNN REIT INC Real Estate 2,499,244 $99.0M 0.01% NEW
1459 IBDW ISHARES TR 4,676,640 $98.9M 0.01% NEW
1460 KRC KILROY RLTY CORP Real Estate 2,643,973 $98.8M 0.01% NEW
1461 IRT INDEPENDENCE RLTY TR INC Real Estate 5,649,829 $98.8M 0.01% NEW
1462 DTD WISDOMTREE TR 1,162,988 $98.7M 0.01% NEW
1463 LMND LEMONADE INC Financial Services 1,381,573 $98.3M 0.01% NEW
1464 AGI ALAMOS GOLD INC NEW Basic Materials 2,548,632 $98.3M 0.01% NEW
1465 SBSW SIBANYE STILLWATER LTD Basic Materials 6,898,349 $98.3M 0.01% NEW
1466 FLS FLOWSERVE CORP Industrials 1,414,342 $98.1M 0.01% NEW
1467 ARWR ARROWHEAD PHARMACEUTICALS IN Healthcare 1,476,005 $98.0M 0.01% NEW
1468 OSCR OSCAR HEALTH INC Healthcare 6,814,046 $97.9M 0.01% NEW
1469 AWR AMER STATES WTR CO Utilities 1,347,240 $97.6M 0.01% NEW
1470 FROG JFROG LTD Technology 1,562,151 $97.6M 0.01% NEW
1471 EHC ENCOMPASS HEALTH CORP Healthcare 919,028 $97.5M 0.01% NEW
1472 NTNX NUTANIX INC Technology 1,886,770 $97.5M 0.01% NEW
1473 SLYG SPDR SERIES TRUST 1,035,279 $97.5M 0.01% NEW
1474 CRTO CRITEO S A Communication Services 4,723,794 $97.4M 0.01% NEW
1475 CCC CCC INTELLIGENT SOLUTIONS HL Technology 12,233,467 $97.3M 0.01% NEW
1476 FAF FIRST AMERN FINL CORP Financial Services 1,582,554 $97.2M 0.01% NEW
1477 STLA STELLANTIS N.V Consumer Cyclical 8,918,850 $97.1M 0.01% NEW
1478 ACUITY INC 269,101 $96.9M 0.01% NEW
1479 RSPT INVESCO EXCHANGE TRADED FD T 2,125,719 $96.7M 0.01% NEW
1480 ALK ALASKA AIR GROUP INC Industrials 1,921,213 $96.6M 0.01% NEW
1481 FXR FIRST TR EXCHANGE TRADED FD 1,206,216 $96.3M 0.01% NEW
1482 SEI SOLARIS ENERGY INFRAS INC Energy 2,091,364 $96.1M 0.01% NEW
1483 TDC TERADATA CORP DEL Technology 3,151,388 $95.9M 0.01% NEW
1484 HLI HOULIHAN LOKEY INC Financial Services 550,308 $95.9M 0.01% NEW
1485 CVLT COMMVAULT SYS INC Technology 764,565 $95.8M 0.01% NEW
1486 SIGI SELECTIVE INS GROUP INC Financial Services 1,145,193 $95.8M 0.01% NEW
1487 CE CELANESE CORP DEL Basic Materials 2,265,023 $95.8M 0.01% NEW
1488 NFG NATIONAL FUEL GAS CO Energy 1,194,300 $95.6M 0.01% NEW
1489 DAR DARLING INGREDIENTS INC Consumer Defensive 2,649,084 $95.4M 0.01% NEW
1490 XEMDX WESTERN ASSET EMERGING MKTS 8,968,464 $95.3M 0.01% NEW
1491 SGOL ETFS GOLD TR Financial Services 2,319,730 $95.3M 0.01% NEW
1492 SCHP SCHWAB STRATEGIC TR 3,596,264 $95.3M 0.01% NEW
1493 LBRDK LIBERTY BROADBAND CORP Communication Services 1,958,989 $95.2M 0.01% NEW
1494 RBRK RUBRIK INC. Technology 1,242,771 $95.0M 0.01% NEW
1495 SSNC SS&C TECHNOLOGIES HLDGS INC Technology 1,085,208 $94.9M 0.01% NEW
1496 YOU CLEAR SECURE INC Technology 2,696,837 $94.6M 0.01% NEW
1497 BILI BILIBILI INC Technology 3,846,849 $94.6M 0.01% NEW
1498 CR CRANE COMPANY Industrials 512,884 $94.6M 0.01% NEW
1499 KWR QUAKER HOUGHTON Basic Materials 688,173 $94.5M 0.01% NEW
1500 BSM BLACK STONE MINERALS L P Energy 7,107,673 $94.5M 0.01% NEW
1501 MKSI MKS INC. Technology 590,521 $94.4M 0.01% NEW
1502 ARMSTRONG WORLD INDS INC NEW 493,726 $94.4M 0.01% NEW
1503 ADC AGREE RLTY CORP Real Estate 1,307,232 $94.2M 0.01% NEW
1504 TRNO TERRENO RLTY CORP Real Estate 1,603,575 $94.1M 0.01% NEW
1505 W WAYFAIR INC Consumer Cyclical 937,425 $94.1M 0.01% NEW
1506 CWEN CLEARWAY ENERGY INC Utilities 2,827,024 $94.0M 0.01% NEW
1507 VRRM VERRA MOBILITY CORP Technology 4,194,005 $94.0M 0.01% NEW
1508 IBDR ISHARES TR 3,878,527 $94.0M 0.01% NEW
1509 OTEX OPEN TEXT CORP Technology 2,884,381 $94.0M 0.01% NEW
1510 FOX FOX CORP Communication Services 1,446,797 $93.9M 0.01% NEW
1511 FALN ISHARES TR 3,440,640 $93.9M 0.01% NEW
1512 LLYVK LIBERTY LIVE HOLDINGS INC Communication Services 1,152,499 $93.9M 0.01% NEW
1513 UMBF UMB FINL CORP Financial Services 816,382 $93.9M 0.01% NEW
1514 EAT BRINKER INTL INC Consumer Cyclical 653,927 $93.9M 0.01% NEW
1515 VSS VANGUARD INTL EQUITY INDEX F 654,171 $93.8M 0.01% NEW
1516 RGEN REPLIGEN CORP Healthcare 570,977 $93.6M 0.01% NEW
1517 FSS FEDERAL SIGNAL CORP Industrials 861,113 $93.5M 0.01% NEW
1518 PHEQ MORGAN STANLEY ETF TRUST 2,869,498 $93.5M 0.01% NEW
1519 CNH CNH INDL N V Industrials 10,130,435 $93.4M 0.01% NEW
1520 KBIA KB FINL GROUP INC 1,080,052 $92.9M 0.01% NEW
1521 NRIX NURIX THERAPEUTICS INC Healthcare 4,881,069 $92.6M 0.01% NEW
1522 XXI TWENTY ONE CAP INC Financial Services 10,551,642 $92.4M 0.01% NEW
1523 BSCW INVESCO EXCH TRD SLF IDX FD 4,426,019 $92.4M 0.01% NEW
1524 INBX INHIBRX BIOSCIENCES INC Healthcare 1,167,728 $92.3M 0.01% NEW
1525 SPXC SPX TECHNOLOGIES INC Industrials 460,571 $92.1M 0.01% NEW
1526 PHO INVESCO EXCHANGE TRADED FD T 1,308,121 $92.1M 0.01% NEW
1527 QLYS QUALYS INC Technology 691,800 $91.9M 0.01% NEW
1528 IMCG ISHARES TR 1,149,360 $91.8M 0.01% NEW
1529 OUSA ALPS ETF TR 1,588,646 $91.7M 0.01% NEW
1530 LEA LEAR CORP Consumer Cyclical 797,946 $91.4M 0.01% NEW
1531 ATEC ALPHATEC HLDGS INC Healthcare 4,340,936 $91.3M 0.01% NEW
1532 CART MAPLEBEAR INC Consumer Cyclical 2,023,855 $91.0M 0.01% NEW
1533 SHG SHINHAN FINANCIAL GROUP CO L Financial Services 1,696,358 $91.0M 0.01% NEW
1534 IBTG ISHARES TR 3,975,244 $90.9M 0.01% NEW
1535 MTN VAIL RESORTS INC Consumer Cyclical 684,147 $90.9M 0.01% NEW
1536 AXALTA COATING SYS LTD 2,804,430 $90.6M 0.01% NEW
1537 NBXG NEUBERGER NEXT GENERATION Financial Services 6,265,820 $90.5M 0.01% NEW
1538 GOF GUGGENHEIM STRATEGIC OPPORTU Financial Services 7,020,414 $90.4M 0.01% NEW
1539 DES WISDOMTREE TR 2,701,031 $90.3M 0.01% NEW
1540 SR SPIRE INC Utilities 1,091,189 $90.2M 0.01% NEW
1541 POST POST HLDGS INC Consumer Defensive 909,995 $90.1M 0.01% NEW
1542 BIZD VANECK ETF TRUST 6,353,665 $90.1M 0.01% NEW
1543 ELF E L F BEAUTY INC Consumer Defensive 1,184,786 $90.1M 0.01% NEW
1544 BBJP J P MORGAN EXCHANGE TRADED F 1,365,237 $90.0M 0.01% NEW
1545 AXSM AXSOME THERAPEUTICS INC Healthcare 491,201 $89.7M 0.01% NEW
1546 SOUN SOUNDHOUND AI INC Technology 8,987,522 $89.6M 0.01% NEW
1547 EDG GOLD FIELDS LTD 2,049,360 $89.5M 0.01% NEW
1548 MIDD MIDDLEBY CORP Industrials 600,687 $89.3M 0.01% NEW
1549 GUNR FLEXSHARES TR 1,946,464 $89.2M 0.01% NEW
1550 TEX TEREX CORP NEW Industrials 1,669,042 $89.1M 0.01% NEW
1551 DDWM WISDOMTREE TR 2,041,359 $88.9M 0.01% NEW
1552 KMX CARMAX INC Consumer Cyclical 2,300,103 $88.9M 0.01% NEW
1553 JNK SPDR SERIES TRUST 913,187 $88.8M 0.01% NEW
1554 BLOK AMPLIFY ETF TR 1,559,411 $88.7M 0.01% NEW
1555 HQH ABRDN HEALTHCARE INVESTORS Financial Services 4,683,466 $88.7M 0.01% NEW
1556 FSMB FIRST TR EXCH TRADED FD III 4,412,903 $88.5M 0.01% NEW
1557 DIOD DIODES INC Technology 1,791,915 $88.4M 0.01% NEW
1558 R RYDER SYS INC Industrials 461,685 $88.4M 0.01% NEW
1559 TTMI TTM TECHNOLOGIES INC Technology 1,280,522 $88.4M 0.01% NEW
1560 AIT APPLIED INDL TECHNOLOGIES IN Industrials 342,981 $88.1M 0.01% NEW
1561 XBOEX BLACKROCK ENHANCED GLOBAL DI 7,519,901 $88.1M 0.01% NEW
1562 PAG PENSKE AUTOMOTIVE GRP INC Consumer Cyclical 556,135 $88.0M 0.01% NEW
1563 FDT FIRST TR EXCH TRD ALPHDX FD 1,107,012 $87.9M 0.01% NEW
1564 CTRE CARETRUST REIT INC Real Estate 2,430,189 $87.9M 0.01% NEW
1565 AVLV AMERICAN CENTY ETF TR 1,159,380 $87.8M 0.01% NEW
1566 BEPC BROOKFIELD RENEWABLE CORP Utilities 2,289,593 $87.8M 0.01% NEW
1567 MDGL MADRIGAL PHARMACEUTICALS INC Healthcare 150,462 $87.6M 0.01% NEW
1568 FLXR TCW ETF TRUST 2,209,223 $87.5M 0.01% NEW
1569 ZWS ZURN ELKAY WATER SOLNS CORP Industrials 1,881,211 $87.5M 0.01% NEW
1570 VNET VNET GROUP INC Technology 10,332,297 $87.4M 0.01% NEW
1571 PXF INVESCO EXCH TRADED FD TR II 1,332,723 $87.4M 0.01% NEW
1572 APLD APPLIED DIGITAL CORP Technology 3,561,014 $87.3M 0.01% NEW
1573 ANF ABERCROMBIE & FITCH CO Consumer Cyclical 687,278 $86.5M 0.01% NEW
1574 AMRZ AMRIZE LTD Basic Materials 1,596,175 $86.3M 0.01% NEW
1575 ICON PLC 473,639 $86.3M 0.01% NEW
1576 NAD NUVEEN QUALITY MUNCP INCOME Financial Services 7,179,292 $86.3M 0.01% NEW
1577 IYE ISHARES TR 1,809,873 $86.0M 0.01% NEW
1578 SUN SUNOCO LP/SUNOCO FIN CORP Energy 1,639,420 $85.9M 0.01% NEW
1579 QDPL PACER FDS TR 2,022,559 $85.9M 0.01% NEW
1580 JBTM JBT MAREL CORPORATION Industrials 569,206 $85.8M 0.01% NEW
1581 AVAV AEROVIRONMENT INC Industrials 354,479 $85.7M 0.01% NEW
1582 FTDR FRONTDOOR INC Consumer Cyclical 1,485,123 $85.7M 0.01% NEW
1583 RAL RALLIANT CORP Industrials 1,682,367 $85.6M 0.01% NEW
1584 VIOO VANGUARD ADMIRAL FDS INC 771,734 $85.6M 0.01% NEW
1585 AHR AMERICAN HEALTHCARE REIT INC Real Estate 1,810,013 $85.2M 0.01% NEW
1586 BBN BLACKROCK TAX MUNICPAL BD TR Financial Services 5,213,773 $85.1M 0.01% NEW
1587 REET ISHARES TR 3,406,677 $85.0M 0.01% NEW
1588 FSLY FASTLY INC Technology 8,339,234 $84.9M 0.01% NEW
1589 FRT FEDERAL RLTY INVT TR NEW Real Estate 841,812 $84.9M 0.01% NEW
1590 NXT NEXTPOWER INC Technology 973,500 $84.8M 0.01% NEW
1591 AXGN AXOGEN INC Healthcare 2,586,870 $84.7M 0.01% NEW
1592 SSRM SSR MINING IN Basic Materials 3,861,853 $84.7M 0.01% NEW
1593 FIXT TCW ETF TRUST 2,212,609 $84.6M 0.01% NEW
1594 SCHB SCHWAB STRATEGIC TR 3,217,149 $84.4M 0.01% NEW
1595 PFLD ETF SER SOLUTIONS 4,306,796 $84.3M 0.01% NEW
1596 SYU1 SYNOVUS FINL CORP 1,683,475 $84.3M 0.01% NEW
1597 MRP MILLROSE PPTYS INC Real Estate 2,814,843 $84.1M 0.01% NEW
1598 M MACYS INC Consumer Cyclical 3,800,349 $83.8M 0.01% NEW
1599 LECO LINCOLN ELEC HLDGS INC Industrials 349,565 $83.8M 0.01% NEW
1600 KNF KNIFE RIVER CORP Basic Materials 1,189,341 $83.7M 0.01% NEW
1601 RBA RB GLOBAL INC Industrials 810,790 $83.4M 0.01% NEW
1602 CIFR CIPHER MINING INC Financial Services 5,644,046 $83.3M 0.01% NEW
1603 YETI YETI HLDGS INC Consumer Cyclical 1,884,361 $83.2M 0.01% NEW
1604 FSM FORTUNA MNG CORP Basic Materials 8,472,690 $83.1M 0.01% NEW
1605 GPI GROUP 1 AUTOMOTIVE INC Consumer Cyclical 211,178 $83.1M 0.01% NEW
1606 FBT FIRST TR EXCHANGE-TRADED FD 401,201 $82.9M 0.01% NEW
1607 TBLL INVESCO EXCH TRADED FD TR II 784,136 $82.8M 0.01% NEW
1608 AZZ AZZ INC Industrials 771,358 $82.7M 0.01% NEW
1609 BEKE KE HLDGS INC Real Estate 5,240,876 $82.6M 0.01% NEW
1610 APAM ARTISAN PARTNERS ASSET MGMT Financial Services 2,022,630 $82.4M 0.01% NEW
1611 NMR NOMURA HLDGS INC Financial Services 9,815,360 $82.4M 0.01% NEW
1612 WF WOORI FINL GROUP INC Financial Services 1,399,904 $82.3M 0.01% NEW
1613 OC OWENS CORNING NEW Industrials 734,026 $82.1M 0.01% NEW
1614 FTEC FIDELITY COVINGTON TRUST 365,438 $82.1M 0.01% NEW
1615 AMX AMERICA MOVIL SAB DE CV Communication Services 3,970,788 $82.1M 0.01% NEW
1616 AEIS ADVANCED ENERGY INDS Industrials 391,641 $82.0M 0.01% NEW
1617 BHF BRIGHTHOUSE FINL INC Financial Services 1,264,992 $82.0M 0.01% NEW
1618 SCHV SCHWAB STRATEGIC TR 2,766,550 $81.9M 0.01% NEW
1619 PGX INVESCO EXCH TRADED FD TR II 7,271,262 $81.7M 0.01% NEW
1620 ITRI ITRON INC Technology 880,118 $81.7M 0.01% NEW
1621 GTO INVESCO ACTIVELY MANAGED EXC 1,722,422 $81.7M 0.01% NEW
1622 ICF ISHARES TR 1,367,217 $81.6M 0.01% NEW
1623 AVDV AMERICAN CENTY ETF TR 867,838 $81.6M 0.01% NEW
1624 EWG ISHARES INC 1,918,054 $81.5M 0.01% NEW
1625 MSGS MADISON SQUARE GRDN SPRT COR Communication Services 314,962 $81.5M 0.01% NEW
1626 JAMES HARDIE INDS PLC 3,925,740 $81.5M 0.01% NEW
1627 EEFT EURONET WORLDWIDE INC Technology 1,069,863 $81.4M 0.01% NEW
1628 RMBS* RAMBUS INC DEL 885,092 $81.3M 0.01% NEW
1629 CFR CULLEN FROST BANKERS INC Financial Services 641,890 $81.3M 0.01% NEW
1630 TMDX TRANSMEDICS GROUP INC Healthcare 667,761 $81.2M 0.01% NEW
1631 TREX TREX CO INC Industrials 2,313,285 $81.2M 0.01% NEW
1632 URBN URBAN OUTFITTERS INC Consumer Cyclical 1,076,797 $81.0M 0.01% NEW
1633 IBTH ISHARES TR 3,603,315 $81.0M 0.01% NEW
1634 TME TENCENT MUSIC ENTMT GROUP Communication Services 4,614,530 $80.9M 0.01% NEW
1635 CSQ CALAMOS STRATEGIC TOTAL RETU Financial Services 4,211,288 $80.9M 0.01% NEW
1636 KBE SPDR SERIES TRUST 1,330,255 $80.7M 0.01% NEW
1637 GMED GLOBUS MED INC Healthcare 924,375 $80.7M 0.01% NEW
1638 IONS IONIS PHARMACEUTICALS INC Healthcare 1,019,906 $80.7M 0.01% NEW
1639 WU WESTERN UN CO Financial Services 8,648,431 $80.5M 0.01% NEW
1640 ASO ACADEMY SPORTS & OUTDOORS IN Consumer Cyclical 1,610,782 $80.5M 0.01% NEW
1641 CYTK CYTOKINETICS INC Healthcare 1,265,301 $80.4M 0.01% NEW
1642 AGNC AGNC INVT CORP Real Estate 7,491,585 $80.3M 0.01% NEW
1643 EXPO EXPONENT INC Industrials 1,154,210 $80.2M 0.01% NEW
1644 PDP INVESCO EXCHANGE TRADED FD T 688,024 $80.1M 0.01% NEW
1645 SLGN SILGAN HLDGS INC Consumer Cyclical 1,980,712 $80.0M 0.01% NEW
1646 COPX GLOBAL X FDS 1,113,573 $79.9M 0.01% NEW
1647 HAYW HAYWARD HLDGS INC Industrials 5,149,647 $79.6M 0.01% NEW
1648 COS CNO FINL GROUP INC 1,870,982 $79.5M 0.01% NEW
1649 MEGI NYLI CBRE GBL INFR MEGTRNDS Financial Services 5,769,365 $79.4M 0.01% NEW
1650 PRMB PRIMO BRANDS CORPORATION Consumer Defensive 4,850,797 $79.3M 0.01% NEW
1651 EWW ISHARES INC 1,142,007 $79.2M 0.01% NEW
1652 BRKR BRUKER CORP Healthcare 1,676,840 $79.0M 0.01% NEW
1653 GSEW GOLDMAN SACHS ETF TR 927,246 $78.9M 0.01% NEW
1654 IQDG WISDOMTREE TR 1,902,500 $78.9M 0.01% NEW
1655 IBDV ISHARES TR 3,572,524 $78.8M 0.01% NEW
1656 RNAGBP AVIDITY BIOSCIENCES INC 1,092,482 $78.8M 0.01% NEW
1657 LW LAMB WESTON HLDGS INC Consumer Defensive 1,881,007 $78.8M 0.01% NEW
1658 TKR TIMKEN CO Industrials 934,236 $78.6M 0.01% NEW
1659 GOLAR LNG LTD 2,110,671 $78.5M 0.01% NEW
1660 AGCO AGCO CORP Industrials 752,166 $78.5M 0.01% NEW
1661 LUMN LUMEN TECHNOLOGIES INC Communication Services 10,095,977 $78.4M 0.01% NEW
1662 CMC COMMERCIAL METALS CO Basic Materials 1,132,879 $78.4M 0.01% NEW
1663 KTB KONTOOR BRANDS INC Consumer Cyclical 1,283,592 $78.4M 0.01% NEW
1664 DWLD DAVIS FUNDAMENTAL ETF TR 1,680,607 $78.4M 0.01% NEW
1665 USPH U S PHYSICAL THERAPY Healthcare 1,003,333 $78.4M 0.01% NEW
1666 MDU MDU RES GROUP INC Industrials 4,012,339 $78.3M 0.01% NEW
1667 MT ARCELORMITTAL SA LUXEMBOURG Basic Materials 1,718,345 $78.3M 0.01% NEW
1668 ECG EVERUS CONSTR GROUP Industrials 914,533 $78.2M 0.01% NEW
1669 MMIN NEW YORK LIFE INVTS ACTIVE E 3,267,570 $78.2M 0.01% NEW
1670 ARLP ALLIANCE RESOURCE PARTNERS L Energy 3,363,174 $78.1M 0.01% NEW
1671 AMH AMERICAN HOMES 4 RENT Real Estate 2,432,689 $78.1M 0.01% NEW
1672 FOLD AMICUS THERAPEUTICS INC Healthcare 5,479,689 $78.0M 0.01% NEW
1673 TMFC RBB FD INC 1,086,008 $77.9M 0.01% NEW
1674 BITQ BITWISE FUNDS TRUST 3,910,750 $77.9M 0.01% NEW
1675 LPX LOUISIANA PAC CORP Basic Materials 964,411 $77.9M 0.01% NEW
1676 NIO NIO INC Consumer Cyclical 15,269,286 $77.9M 0.01% NEW
1677 TTEK TETRA TECH INC NEW Industrials 2,320,740 $77.8M 0.01% NEW
1678 CALM CAL MAINE FOODS INC Consumer Defensive 978,163 $77.8M 0.01% NEW
1679 HLNE HAMILTON LANE INC Financial Services 579,226 $77.8M 0.01% NEW
1680 PTNQ PACER FDS TR 988,311 $77.7M 0.01% NEW
1681 SPSC SPS COMM INC Technology 872,018 $77.7M 0.01% NEW
1682 HG HAMILTON INSURANCE GROUP LTD Financial Services 2,772,152 $77.3M 0.01% NEW
1683 RUN SUNRUN INC Energy 4,201,799 $77.3M 0.01% NEW
1684 FER FERROVIAL SE Industrials 1,196,550 $77.3M 0.01% NEW
1685 IBTI ISHARES TR 3,451,070 $77.2M 0.01% NEW
1686 ENSG ENSIGN GROUP INC Healthcare 442,247 $77.0M 0.01% NEW
1687 MKTX MARKETAXESS HLDGS INC Financial Services 424,877 $77.0M 0.01% NEW
1688 PHG KONINKLIJKE PHILIPS N V Healthcare 2,841,880 $77.0M 0.01% NEW
1689 BPOP POPULAR INC Financial Services 617,353 $76.9M 0.01% NEW
1690 PTGX PROTAGONIST THERAPEUTICS INC Healthcare 879,024 $76.8M 0.01% NEW
1691 GNTX GENTEX CORP Consumer Cyclical 3,296,313 $76.7M 0.01% NEW
1692 OGS ONE GAS INC Utilities 992,430 $76.7M 0.01% NEW
1693 TDS TELEPHONE & DATA SYS INC Communication Services 1,869,536 $76.7M 0.01% NEW
1694 CGIE CAPITAL GROUP INTERNATIONAL 2,190,697 $76.3M 0.01% NEW
1695 SCHE SCHWAB STRATEGIC TR 2,324,707 $76.1M 0.01% NEW
1696 KSS KOHLS CORP Consumer Cyclical 3,725,573 $76.0M 0.01% NEW
1697 ADUS ADDUS HOMECARE CORP Healthcare 707,035 $75.9M 0.01% NEW
1698 GKOS GLAUKOS CORP Healthcare 670,778 $75.7M 0.01% NEW
1699 ASA GOLD AND PRECIOUS MTLS L 1,267,205 $75.6M 0.01% NEW
1700 FYX FIRST TR EXCHANGE-TRADED ALP 667,395 $75.5M 0.01% NEW
1701 DDS DILLARDS INC Consumer Cyclical 124,430 $75.4M 0.01% NEW
1702 ANGL VANECK ETF TRUST 2,568,558 $75.4M 0.01% NEW
1703 TSEM TOWER SEMICONDUCTOR LTD Technology 642,254 $75.4M 0.01% NEW
1704 EWQ ISHARES INC 1,675,565 $75.4M 0.01% NEW
1705 FBCG FIDELITY COVINGTON TRUST 1,373,800 $75.3M 0.00% NEW
1706 CDC VICTORY PORTFOLIOS II 1,142,029 $75.2M 0.00% NEW
1707 LAZ LAZARD INC Financial Services 1,548,429 $75.2M 0.00% NEW
1708 NOK NOKIA CORP Technology 11,608,634 $75.1M 0.00% NEW
1709 THO THOR INDS INC Consumer Cyclical 728,757 $74.8M 0.00% NEW
1710 SMR NUSCALE PWR CORP Utilities 5,277,905 $74.8M 0.00% NEW
1711 CUBE CUBESMART Real Estate 2,072,198 $74.7M 0.00% NEW
1712 PDO PIMCO DYNAMIC INCOME OPRNTS Financial Services 5,397,465 $74.7M 0.00% NEW
1713 IBTJ ISHARES TR 3,400,107 $74.6M 0.00% NEW
1714 CRUS CIRRUS LOGIC INC Technology 629,527 $74.6M 0.00% NEW
1715 CGSM CAPITAL GRP FIXED INCM ETF T 2,829,898 $74.5M 0.00% NEW
1716 JHG JANUS HENDERSON GROUP PLC Financial Services 1,562,026 $74.3M 0.00% NEW
1717 PRESTIGE CONSMR HEALTHCARE I 1,202,927 $74.2M 0.00% NEW
1718 BOOT BOOT BARN HLDGS INC Consumer Cyclical 420,273 $74.2M 0.00% NEW
1719 SLM SLM CORP Financial Services 2,740,342 $74.2M 0.00% NEW
1720 POR PORTLAND GEN ELEC CO Utilities 1,544,643 $74.1M 0.00% NEW
1721 EQWL INVESCO EXCHANGE TRADED FD T 627,061 $74.1M 0.00% NEW
1722 ICUI ICU MED INC Healthcare 518,636 $74.0M 0.00% NEW
1723 PLXS PLEXUS CORP Technology 502,397 $73.9M 0.00% NEW
1724 SUNC SUNOCOCORP LLC Energy 1,497,070 $73.8M 0.00% NEW
1725 ONTO ONTO INNOVATION INC Technology 467,189 $73.8M 0.00% NEW
1726 THG HANOVER INS GROUP INC Financial Services 402,613 $73.6M 0.00% NEW
1727 PRIM PRIMORIS SVCS CORP Industrials 592,432 $73.5M 0.00% NEW
1728 AVT AVNET INC Technology 1,524,945 $73.3M 0.00% NEW
1729 WING WINGSTOP INC Consumer Cyclical 307,339 $73.3M 0.00% NEW
1730 QRVO QORVO INC Technology 863,875 $73.0M 0.00% NEW
1731 IAI ISHARES TR 406,797 $73.0M 0.00% NEW
1732 ALV AUTOLIV INC Consumer Cyclical 613,501 $72.8M 0.00% NEW
1733 IYY* ISHARES TR 437,954 $72.6M 0.00% NEW
1734 DUOL DUOLINGO INC Technology 413,487 $72.6M 0.00% NEW
1735 CDE COEUR MNG INC Basic Materials 4,065,936 $72.5M 0.00% NEW
1736 HIMU BLACKROCK ETF TRUST II 1,486,630 $72.4M 0.00% NEW
1737 PSC PRINCIPAL EXCHANGE TRADED FD 1,251,857 $72.3M 0.00% NEW
1738 EWTX EDGEWISE THERAPEUTICS INC Healthcare 2,910,881 $72.2M 0.00% NEW
1739 VIAV VIAVI SOLUTIONS INC Technology 4,050,927 $72.2M 0.00% NEW
1740 OUSM ALPS ETF TR 1,648,414 $72.1M 0.00% NEW
1741 GGAL GRUPO FINANCIERO GALICIA S.A Financial Services 1,335,587 $72.0M 0.00% NEW
1742 BYD BOYD GAMING CORP Consumer Cyclical 841,477 $71.7M 0.00% NEW
1743 PEGA PEGASYSTEMS INC Technology 1,200,213 $71.7M 0.00% NEW
1744 AMKR AMKOR TECHNOLOGY INC Technology 1,806,649 $71.3M 0.00% NEW
1745 IDU ISHARES TR 657,781 $71.3M 0.00% NEW
1746 QQQE DIREXION SHS ETF TR 695,869 $71.2M 0.00% NEW
1747 TAFI AB ACTIVE ETFS INC 2,818,875 $71.1M 0.00% NEW
1748 HASI HA SUSTAINABLE INFRA CAP INC Financial Services 2,259,054 $71.0M 0.00% NEW
1749 MDYG SPDR SERIES TRUST 767,912 $71.0M 0.00% NEW
1750 JPLD J P MORGAN EXCHANGE TRADED F 1,354,725 $70.9M 0.00% NEW
1751 WDS WOODSIDE ENERGY GROUP LTD Energy 4,539,156 $70.8M 0.00% NEW
1752 SPTL SPDR SERIES TRUST 2,665,585 $70.6M 0.00% NEW
1753 BL BLACKLINE INC Technology 1,274,776 $70.5M 0.00% NEW
1754 VISN COMMSCOPE HLDG CO INC Technology 3,881,679 $70.4M 0.00% NEW
1755 WHR WHIRLPOOL CORP Consumer Cyclical 975,454 $70.4M 0.00% NEW
1756 PR PERMIAN RESOURCES CORP Energy 5,014,522 $70.4M 0.00% NEW
1757 ULS UL SOLUTIONS INC Industrials 891,917 $70.3M 0.00% NEW
1758 CSTM CONSTELLIUM SE Basic Materials 3,728,118 $70.3M 0.00% NEW
1759 FMS FRESENIUS MEDICAL CARE AG Healthcare 2,939,839 $70.0M 0.00% NEW
1760 PLNT PLANET FITNESS INC Consumer Cyclical 643,375 $69.8M 0.00% NEW
1761 BWX SPDR SERIES TRUST 3,095,764 $69.7M 0.00% NEW
1762 RYTM RHYTHM PHARMACEUTICALS INC Healthcare 651,402 $69.7M 0.00% NEW
1763 ALSN ALLISON TRANSMISSION HLDGS I Consumer Cyclical 711,613 $69.7M 0.00% NEW
1764 AVA AVISTA CORP Utilities 1,807,397 $69.7M 0.00% NEW
1765 PIPR PIPER SANDLER COMPANIES Financial Services 204,613 $69.5M 0.00% NEW
1766 SHIFT4 PMTS INC 1,101,671 $69.4M 0.00% NEW
1767 RLI RLI CORP Financial Services 1,082,797 $69.3M 0.00% NEW
1768 PID INVESCO EXCHANGE TRADED FD T 3,138,532 $69.0M 0.00% NEW
1769 PAGP PLAINS GP HLDGS L P Energy 3,603,062 $69.0M 0.00% NEW
1770 TORO TORO CO Industrials 874,754 $68.9M 0.00% NEW
1771 PTCT PTC THERAPEUTICS INC Healthcare 905,192 $68.8M 0.00% NEW
1772 AAL AMERICAN AIRLS GROUP INC Industrials 4,476,614 $68.6M 0.00% NEW
1773 ACP ABRDN INCOME CREDIT STRATEGI Financial Services 12,677,955 $68.6M 0.00% NEW
1774 QTWO Q2 HLDGS INC Technology 950,214 $68.6M 0.00% NEW
1775 ADT ADT INC DEL Industrials 8,495,198 $68.6M 0.00% NEW
1776 COLD AMERICOLD REALTY TRUST INC Real Estate 5,330,331 $68.5M 0.00% NEW
1777 CPRX CATALYST PHARMACEUTICALS INC Healthcare 2,933,399 $68.5M 0.00% NEW
1778 CRBG COREBRIDGE FINL INC Financial Services 2,268,699 $68.4M 0.00% NEW
1779 CNX CNX RES CORP Energy 1,860,631 $68.4M 0.00% NEW
1780 GME GAMESTOP CORP NEW Consumer Cyclical 3,406,885 $68.4M 0.00% NEW
1781 ERIC TELEFONAKTIEBOLAGET LM ERICS Technology 7,082,013 $68.3M 0.00% NEW
1782 AXIS CAP HLDGS LTD 637,596 $68.3M 0.00% NEW
1783 ALRM ALARM COM HLDGS INC Technology 1,338,254 $68.3M 0.00% NEW
1784 ZYME ZYMEWORKS INC Healthcare 2,593,080 $68.3M 0.00% NEW
1785 IYZ ISHARES TR 2,010,223 $68.1M 0.00% NEW
1786 ESNT ESSENT GROUP LTD Financial Services 1,046,693 $68.0M 0.00% NEW
1787 XSMO INVESCO EXCHANGE TRADED FD T 942,702 $67.9M 0.00% NEW
1788 IPAC ISHARES TR 927,022 $67.9M 0.00% NEW
1789 AROC ARCHROCK INC Energy 2,607,412 $67.8M 0.00% NEW
1790 BSTZ BLACKROCK SCIENCE & TECHNOLO Financial Services 2,999,473 $67.8M 0.00% NEW
1791 CADE CADENCE BANK 1,582,463 $67.8M 0.00% NEW
1792 RDNT RADNET INC Healthcare 949,971 $67.8M 0.00% NEW
1793 HEDJ WISDOMTREE TR 1,277,299 $67.8M 0.00% NEW
1794 MMIT NEW YORK LIFE INVTS ACTIVE E 2,785,502 $67.8M 0.00% NEW
1795 OZK BANK OZK LITTLE ROCK ARK Financial Services 1,468,034 $67.6M 0.00% NEW
1796 BTU PEABODY ENERGY CORP Energy 2,273,605 $67.5M 0.00% NEW
1797 DOL WISDOMTREE TR 1,024,259 $67.4M 0.00% NEW
1798 BFH BREAD FINANCIAL HOLDINGS INC Financial Services 910,301 $67.4M 0.00% NEW
1799 WINTRUST FINL CORP 481,144 $67.3M 0.00% NEW
1800 HP HELMERICH & PAYNE INC Energy 2,344,793 $67.2M 0.00% NEW
1801 GAP GAP INC Consumer Cyclical 2,625,165 $67.2M 0.00% NEW
1802 APOG APOGEE THERAPEUTICS INC Industrials 890,264 $67.2M 0.00% NEW
1803 GLOB GLOBANT S A Technology 1,027,471 $67.2M 0.00% NEW
1804 HTO H2O AMERICA Utilities 1,368,180 $67.0M 0.00% NEW
1805 PTA COHEN & STEERS TAX ADVAN PFD Financial Services 3,470,377 $67.0M 0.00% NEW
1806 SPYD SPDR SERIES TRUST 1,546,240 $66.9M 0.00% NEW
1807 VLY VALLEY NATL BANCORP Financial Services 5,715,459 $66.8M 0.00% NEW
1808 IESC IES HLDGS INC Industrials 171,488 $66.7M 0.00% NEW
1809 QBTS D-WAVE QUANTUM INC Technology 2,550,977 $66.7M 0.00% NEW
1810 ARIS ARIS MNG CORP Basic Materials 4,109,797 $66.7M 0.00% NEW
1811 BRBR BELLRING BRANDS INC Consumer Defensive 2,494,422 $66.7M 0.00% NEW
1812 BKGI BNY MELLON ETF TRUST 1,651,431 $66.6M 0.00% NEW
1813 EXLS EXLSERVICE HOLDINGS INC Technology 1,569,266 $66.6M 0.00% NEW
1814 BKE BUCKLE INC Consumer Cyclical 1,244,389 $66.5M 0.00% NEW
1815 IBDX ISHARES TR 2,603,401 $66.5M 0.00% NEW
1816 EPP ISHARES INC 1,316,758 $66.5M 0.00% NEW
1817 DWM WISDOMTREE TR 965,799 $66.4M 0.00% NEW
1818 HYD VANECK ETF TRUST 1,297,365 $66.3M 0.00% NEW
1819 RITM RITHM CAPITAL CORP Real Estate 6,079,402 $66.3M 0.00% NEW
1820 EDV VANGUARD WORLD FD 1,017,943 $66.2M 0.00% NEW
1821 PLUS EPLUS INC Technology 752,440 $66.0M 0.00% NEW
1822 WGS GENEDX HOLDINGS CORP Healthcare 506,091 $65.8M 0.00% NEW
1823 GPK GRAPHIC PACKAGING HLDG CO Consumer Cyclical 4,370,614 $65.8M 0.00% NEW
1824 VALARIS LTD 1,305,879 $65.8M 0.00% NEW
1825 GXO GXO LOGISTICS INCORPORATED Industrials 1,249,370 $65.8M 0.00% NEW
1826 EMLC VANECK ETF TRUST 2,546,122 $65.7M 0.00% NEW
1827 GNR SPDR INDEX SHS FDS 1,057,386 $65.7M 0.00% NEW
1828 FNB F N B CORP Financial Services 3,840,987 $65.7M 0.00% NEW
1829 NOVOCURE LTD 5,069,895 $65.6M 0.00% NEW
1830 RPG INVESCO EXCHANGE TRADED FD T 1,401,577 $65.4M 0.00% NEW
1831 HRB BLOCK H & R INC Consumer Cyclical 1,500,953 $65.4M 0.00% NEW
1832 FEM FIRST TR EXCH TRD ALPHDX FD 2,390,271 $65.4M 0.00% NEW
1833 GTES GATES INDL CORP PLC Industrials 3,042,742 $65.3M 0.00% NEW
1834 QFIN QFIN HOLDINGS INC Financial Services 3,383,229 $65.2M 0.00% NEW
1835 ITGR INTEGER HLDGS CORP Healthcare 831,116 $65.2M 0.00% NEW
1836 EPR EPR PPTYS Real Estate 1,304,517 $65.1M 0.00% NEW
1837 HYMB SPDR SERIES TRUST 2,608,179 $65.0M 0.00% NEW
1838 AI C3 AI INC Technology 4,824,499 $65.0M 0.00% NEW
1839 SKYW SKYWEST INC Industrials 645,527 $64.8M 0.00% NEW
1840 BNTX BIONTECH SE Healthcare 680,669 $64.8M 0.00% NEW
1841 MSA MSA SAFETY INC Industrials 404,022 $64.7M 0.00% NEW
1842 CORP PIMCO ETF TR 660,979 $64.7M 0.00% NEW
1843 MUR MURPHY OIL CORP Energy 2,067,537 $64.6M 0.00% NEW
1844 FLRN SPDR SERIES TRUST 2,102,442 $64.6M 0.00% NEW
1845 ABCB AMERIS BANCORP Financial Services 869,711 $64.6M 0.00% NEW
1846 AMBA AMBARELLA INC Technology 911,477 $64.6M 0.00% NEW
1847 HYS PIMCO ETF TR 678,313 $64.3M 0.00% NEW
1848 IYT ISHARES TR 862,857 $64.3M 0.00% NEW
1849 DOCS DOXIMITY INC Healthcare 1,449,907 $64.2M 0.00% NEW
1850 TENB TENABLE HLDGS INC Technology 2,728,338 $64.2M 0.00% NEW
1851 APPF APPFOLIO INC Technology 275,549 $64.1M 0.00% NEW
1852 SEDG SOLAREDGE TECHNOLOGIES INC Energy 2,220,836 $64.1M 0.00% NEW
1853 MSGE MADISON SQUARE GARDEN ENTMT Communication Services 1,187,189 $64.0M 0.00% NEW
1854 MUC BLACKROCK MUNIHLDNGS CALI QL Financial Services 6,034,241 $64.0M 0.00% NEW
1855 EAGLE MATLS INC 309,417 $64.0M 0.00% NEW
1856 WD5A TRAVEL PLUS LEISURE CO 906,101 $63.9M 0.00% NEW
1857 EPS WISDOMTREE TR 899,783 $63.8M 0.00% NEW
1858 CSM PROSHARES TR 799,731 $63.7M 0.00% NEW
1859 OLLI OLLIES BARGAIN OUTLET HLDGS Consumer Defensive 580,983 $63.7M 0.00% NEW
1860 NICE NICE LTD Technology 562,764 $63.6M 0.00% NEW
1861 VMI VALMONT INDS INC Industrials 157,885 $63.5M 0.00% NEW
1862 AG FIRST MAJESTIC SILVER CORP Basic Materials 3,809,109 $63.5M 0.00% NEW
1863 RH RH Consumer Cyclical 353,996 $63.4M 0.00% NEW
1864 FMHI FIRST TR EXCH TRADED FD III 1,321,787 $63.4M 0.00% NEW
1865 LAD LITHIA MTRS INC Consumer Cyclical 190,472 $63.3M 0.00% NEW
1866 GEL GENESIS ENERGY L P Energy 4,054,770 $63.3M 0.00% NEW
1867 MTG MGIC INVT CORP WIS Financial Services 2,161,683 $63.2M 0.00% NEW
1868 FTXL FIRST TR EXCHANGE TRADED FD 487,464 $63.1M 0.00% NEW
1869 BLW BLACKROCK LTD DURATION INCOM Financial Services 4,593,229 $63.1M 0.00% NEW
1870 RDWR RADWARE LTD Technology 2,619,687 $63.1M 0.00% NEW
1871 CENX CENTURY ALUM CO Basic Materials 1,609,093 $63.0M 0.00% NEW
1872 SDOG ALPS ETF TR 1,041,535 $63.0M 0.00% NEW
1873 SPAB SPDR SERIES TRUST 2,444,589 $62.9M 0.00% NEW
1874 MHK MOHAWK INDS INC Consumer Cyclical 573,684 $62.7M 0.00% NEW
1875 CAE CAE INC Industrials 2,059,644 $62.7M 0.00% NEW
1876 CLSK CLEANSPARK INC Technology 6,187,031 $62.6M 0.00% NEW
1877 OVV OVINTIV INC Energy 1,597,583 $62.6M 0.00% NEW
1878 IGF ISHARES TR 1,020,179 $62.6M 0.00% NEW
1879 SMDV PROSHARES TR 946,524 $62.5M 0.00% NEW
1880 SNEX STONEX GROUP INC Financial Services 656,791 $62.5M 0.00% NEW
1881 USAC USA COMPRESSION PARTNERS LP Energy 2,712,603 $62.4M 0.00% NEW
1882 KAT ADVISORS SER TR 1,130,916 $62.2M 0.00% NEW
1883 WIW WESTERN AST INFL LKD OPP & I Financial Services 7,238,089 $62.2M 0.00% NEW
1884 CLH CLEAN HARBORS INC Industrials 264,242 $62.0M 0.00% NEW
1885 SJNK SPDR SERIES TRUST 2,444,190 $61.9M 0.00% NEW
1886 IMTM ISHARES TR 1,289,410 $61.9M 0.00% NEW
1887 G9N GRUPO AEROPUERTO DEL PACIFIC 233,997 $61.7M 0.00% NEW
1888 KFY KORN FERRY Industrials 933,946 $61.7M 0.00% NEW
1889 SIG SIGNET JEWELERS LIMITED Consumer Cyclical 742,362 $61.5M 0.00% NEW
1890 HR HEALTHCARE RLTY TR Real Estate 3,627,298 $61.5M 0.00% NEW
1891 POWL POWELL INDS INC Industrials 192,719 $61.4M 0.00% NEW
1892 COKE COCA COLA CONS INC Consumer Defensive 400,732 $61.4M 0.00% NEW
1893 TKC TURKCELL ILETISIM HIZMETLERI Communication Services 11,219,091 $61.4M 0.00% NEW
1894 HESM HESS MIDSTREAM LP Energy 1,778,659 $61.4M 0.00% NEW
1895 LCII LCI INDS Consumer Cyclical 504,765 $61.2M 0.00% NEW
1896 MGY MAGNOLIA OIL & GAS CORP Energy 2,796,949 $61.2M 0.00% NEW
1897 ARRY ARRAY TECHNOLOGIES INC Energy 6,624,381 $61.1M 0.00% NEW
1898 PPLT ABRDN PLATINUM ETF TRUST Financial Services 326,667 $60.9M 0.00% NEW
1899 PSMT PRICESMART INC Consumer Defensive 495,799 $60.8M 0.00% NEW
1900 ETG EATON VANCE TX ADV GLBL DIV Financial Services 2,631,728 $60.8M 0.00% NEW
1901 HRI HERC HLDGS INC Industrials 409,639 $60.8M 0.00% NEW
1902 UEC URANIUM ENERGY CORP Energy 5,199,199 $60.7M 0.00% NEW
1903 AMRX AMNEAL PHARMACEUTICALS INC Healthcare 4,818,099 $60.7M 0.00% NEW
1904 WTS WATTS WATER TECHNOLOGIES INC Industrials 219,876 $60.7M 0.00% NEW
1905 NAC NUVEEN CA QUALTY MUN INCOME Financial Services 5,137,471 $60.7M 0.00% NEW
1906 BKD BROOKDALE SR LIVING INC Healthcare 5,615,134 $60.6M 0.00% NEW
1907 AL AIR LEASE CORP 942,431 $60.5M 0.00% NEW
1908 DK DELEK US HLDGS INC NEW Energy 2,033,037 $60.3M 0.00% NEW
1909 ORGO ORGANOGENESIS HLDGS INC Healthcare 11,638,836 $60.3M 0.00% NEW
1910 UMC UNITED MICROELECTRONICS CORP Technology 7,668,830 $60.3M 0.00% NEW
1911 BC BRUNSWICK CORP Consumer Cyclical 811,054 $60.2M 0.00% NEW
1912 AMTM AMENTUM HOLDINGS INC Industrials 2,075,352 $60.2M 0.00% NEW
1913 BCAT BLACKROCK CAP ALLOCATION TER Financial Services 4,244,802 $60.1M 0.00% NEW
1914 WDI WESTERN ASSET DIVERSIFIED IN Financial Services 4,350,906 $60.1M 0.00% NEW
1915 URGN UROGEN PHARMA LTD Healthcare 2,562,901 $60.0M 0.00% NEW
1916 EWL ISHARES INC 999,835 $60.0M 0.00% NEW
1917 VNO VORNADO RLTY TR Real Estate 1,797,664 $59.8M 0.00% NEW
1918 GRUPO AEROPORTUARIO DEL SURE 184,883 $59.8M 0.00% NEW
1919 MPT MEDICAL PPTYS TRUST INC Financial Services 11,954,863 $59.8M 0.00% NEW
1920 GT GOODYEAR TIRE & RUBR CO Consumer Cyclical 6,796,576 $59.5M 0.00% NEW
1921 BRX BRIXMOR PPTY GROUP INC Real Estate 2,267,183 $59.4M 0.00% NEW
1922 RDN RADIAN GROUP INC Financial Services 1,648,747 $59.3M 0.00% NEW
1923 JBS JBS N.V. Consumer Defensive 4,110,122 $59.3M 0.00% NEW
1924 AAOI APPLIED OPTOELECTRONICS INC Technology 1,699,855 $59.3M 0.00% NEW
1925 NJR NEW JERSEY RES CORP Utilities 1,283,533 $59.2M 0.00% NEW
1926 RQI COHEN & STEERS QUALITY INCOM Financial Services 5,168,845 $59.0M 0.00% NEW
1927 ALGM ALLEGRO MICROSYSTEMS INC Technology 2,233,136 $58.9M 0.00% NEW
1928 CXM SPRINKLR INC Technology 7,568,609 $58.9M 0.00% NEW
1929 SNN SMITH & NEPHEW PLC Healthcare 1,789,470 $58.7M 0.00% NEW
1930 FDD FIRST TR EXCHANGE-TRADED FD 3,351,416 $58.6M 0.00% NEW
1931 EMO CLEARBRIDGE ENERGY MIDSTRM O Financial Services 1,312,442 $58.6M 0.00% NEW
1932 FFIN FIRST FINL BANKSHARES INC Financial Services 1,961,644 $58.6M 0.00% NEW
1933 CHRD CHORD ENERGY CORPORATION Energy 630,710 $58.5M 0.00% NEW
1934 APG API GROUP CORP Industrials 1,528,130 $58.5M 0.00% NEW
1935 VNOM VIPER ENERGY INC Energy 1,511,777 $58.4M 0.00% NEW
1936 CFA VICTORY PORTFOLIOS II 639,747 $58.2M 0.00% NEW
1937 FRPT FRESHPET INC Consumer Defensive 953,249 $58.1M 0.00% NEW
1938 FBIN FORTUNE BRANDS INNOVATIONS I Industrials 1,157,875 $57.9M 0.00% NEW
1939 PVH PVH CORPORATION Consumer Cyclical 864,030 $57.9M 0.00% NEW
1940 PRI PRIMERICA INC Financial Services 223,841 $57.8M 0.00% NEW
1941 CGAU CENTERRA GOLD INC Basic Materials 4,023,485 $57.8M 0.00% NEW
1942 CAKE CHEESECAKE FACTORY INC Consumer Cyclical 1,145,216 $57.8M 0.00% NEW
1943 ACA ARCOSA INC Industrials 543,548 $57.8M 0.00% NEW
1944 FHB FIRST HAWAIIAN INC Financial Services 2,279,975 $57.7M 0.00% NEW
1945 FLIN FRANKLIN TEMPLETON ETF TR 1,491,503 $57.6M 0.00% NEW
1946 QQQX NUVEEN NASDAQ 100 DYNAMIC OV Financial Services 2,017,428 $57.5M 0.00% NEW
1947 KRNT KORNIT DIGITAL LTD Industrials 3,998,548 $57.5M 0.00% NEW
1948 UUUU ENERGY FUELS INC Energy 3,952,694 $57.5M 0.00% NEW
1949 JBGS JBG SMITH PPTYS Real Estate 3,376,120 $57.4M 0.00% NEW
1950 NUMV NUSHARES ETF TR 1,468,247 $57.4M 0.00% NEW
1951 AEO AMERICAN EAGLE OUTFITTERS IN Consumer Cyclical 2,174,643 $57.3M 0.00% NEW
1952 CGW INVESCO EXCH TRADED FD TR II 909,559 $57.3M 0.00% NEW
1953 GFS GLOBALFOUNDRIES INC Technology 1,638,900 $57.2M 0.00% NEW
1954 FLG FLAGSTAR BANK NATIONAL ASSOC Financial Services 4,541,489 $57.2M 0.00% NEW
1955 RA BROOKFIELD REAL ASSETS INCOM Financial Services 4,411,299 $57.2M 0.00% NEW
1956 CRI CARTERS INC Consumer Cyclical 1,762,036 $57.1M 0.00% NEW
1957 BTG B2GOLD CORP Basic Materials 12,635,354 $57.0M 0.00% NEW
1958 MARA MARA HOLDINGS INC Financial Services 6,338,225 $56.9M 0.00% NEW
1959 CHT CHUNGHWA TELECOM CO LTD Communication Services 1,363,517 $56.9M 0.00% NEW
1960 OSIS OSI SYSTEMS INC Technology 222,904 $56.9M 0.00% NEW
1961 WFC 7.5 PERP L WELLS FARGO CO NEW 46,901 $56.8M 0.00% NEW
1962 ENVA ENOVA INTL INC Financial Services 361,418 $56.8M 0.00% NEW
1963 NE NOBLE CORP PLC Energy 2,003,537 $56.6M 0.00% NEW
1964 GMAB GENMAB A/S Healthcare 1,834,439 $56.5M 0.00% NEW
1965 BIO.B BIO RAD LABS INC Industrials 186,387 $56.5M 0.00% NEW
1966 UI UBIQUITI INC Technology 102,022 $56.5M 0.00% NEW
1967 EQX EQUINOX GOLD CORP Basic Materials 4,016,673 $56.4M 0.00% NEW
1968 VRIG INVESCO ACTIVELY MANAGED EXC 2,246,537 $56.4M 0.00% NEW
1969 MSM MSC INDL DIRECT INC Industrials 670,330 $56.4M 0.00% NEW
1970 EMA EMERA INC Utilities 1,143,852 $56.3M 0.00% NEW
1971 WLK WESTLAKE CORPORATION Basic Materials 759,623 $56.2M 0.00% NEW
1972 SAIC SCIENCE APPLICATIONS INTL CO Technology 557,939 $56.2M 0.00% NEW
1973 PFFD GLOBAL X FDS 2,968,352 $56.1M 0.00% NEW
1974 JPC NUVEEN PFD & INCOME OPPORTUN Financial Services 6,918,424 $56.1M 0.00% NEW
1975 KNSA KINIKSA PHARMACEUTICALS INTL Healthcare 1,360,044 $56.1M 0.00% NEW
1976 KLIC KULICKE & SOFFA INDS INC Technology 1,230,330 $56.1M 0.00% NEW
1977 MC MOELIS & CO Financial Services 813,212 $55.9M 0.00% NEW
1978 IGLB ISHARES TR 1,107,623 $55.9M 0.00% NEW
1979 PSO PEARSON PLC Communication Services 3,971,424 $55.8M 0.00% NEW
1980 NUMG NUSHARES ETF TR 1,165,326 $55.6M 0.00% NEW
1981 NULV NUSHARES ETF TR 1,232,845 $55.5M 0.00% NEW
1982 JETS ETF SER SOLUTIONS 1,977,280 $55.5M 0.00% NEW
1983 HTD CORCEPT THERAPEUTICS INC Financial Services 1,592,059 $55.4M 0.00% NEW
1984 NEU NEWMARKET CORP Basic Materials 80,182 $55.1M 0.00% NEW
1985 ACMR ACM RESH INC Technology 1,392,306 $54.9M 0.00% NEW
1986 AUB ATLANTIC UN BANKSHARES CORP Financial Services 1,555,413 $54.9M 0.00% NEW
1987 UPWK UPWORK INC Industrials 2,765,286 $54.8M 0.00% NEW
1988 VNT VONTIER CORPORATION Technology 1,471,568 $54.7M 0.00% NEW
1989 RDIV INVESCO EXCH TRADED FD TR II 1,050,996 $54.7M 0.00% NEW
1990 COWG PACER FDS TR 1,553,074 $54.7M 0.00% NEW
1991 FIBK FIRST INTST BANCSYSTEM INC Financial Services 1,578,719 $54.6M 0.00% NEW
1992 NWE NORTHWESTERN ENERGY GROUP IN Utilities 846,080 $54.6M 0.00% NEW
1993 KRYS KRYSTAL BIOTECH INC Healthcare 221,481 $54.6M 0.00% NEW
1994 CGNX COGNEX CORP Technology 1,517,130 $54.6M 0.00% NEW
1995 BTZ BLACKROCK CR ALLOCATION INCO Financial Services 5,039,088 $54.6M 0.00% NEW
1996 IDOG ALPS ETF TR 1,415,057 $54.6M 0.00% NEW
1997 WEN WENDYS CO Consumer Cyclical 6,549,066 $54.6M 0.00% NEW
1998 SCHM SCHWAB STRATEGIC TR 1,812,779 $54.5M 0.00% NEW
1999 UTF COHEN & STEERS INFRASTRUCTUR Financial Services 2,259,569 $54.5M 0.00% NEW
2000 MDYV SPDR SERIES TRUST 643,475 $54.5M 0.00% NEW
2001 AB ALLIANCEBERNSTEIN HLDG L P Financial Services 1,412,548 $54.4M 0.00% NEW
2002 SNDR SCHNEIDER NATIONAL INC Industrials 2,046,747 $54.3M 0.00% NEW
2003 HYT BLACKROCK CORPOR HI YLD FD I Financial Services 6,099,288 $54.3M 0.00% NEW
2004 HWC HANCOCK WHITNEY CORPORATION Financial Services 851,854 $54.2M 0.00% NEW
2005 IGRO ISHARES TR 654,069 $54.1M 0.00% NEW
2006 KMT KENNAMETAL INC Industrials 1,904,655 $54.1M 0.00% NEW
2007 TVTX TRAVERE THERAPEUTICS INC Healthcare 1,415,897 $54.1M 0.00% NEW
2008 VRDN VIRIDIAN THERAPEUTICS INC Healthcare 1,738,225 $54.1M 0.00% NEW
2009 BOX BOX INC Technology 1,806,394 $54.0M 0.00% NEW
2010 OMF ONEMAIN HLDGS INC Financial Services 799,486 $54.0M 0.00% NEW
2011 UBSI UNITED BANKSHARES INC WEST V Financial Services 1,403,141 $53.9M 0.00% NEW
2012 MGRC MCGRATH RENTCORP Industrials 512,617 $53.8M 0.00% NEW
2013 MSEX MIDDLESEX WTR CO Utilities 1,066,578 $53.8M 0.00% NEW
2014 SUPN SUPERNUS PHARMACEUTICALS INC Healthcare 1,079,471 $53.6M 0.00% NEW
2015 RGTI RIGETTI COMPUTING INC Technology 2,422,003 $53.6M 0.00% NEW
2016 AGO ASSURED GUARANTY LTD Financial Services 594,934 $53.5M 0.00% NEW
2017 GLXY GALAXY DIGITAL INC. Financial Services 2,390,599 $53.5M 0.00% NEW
2018 MTRN MATERION CORP Basic Materials 429,482 $53.4M 0.00% NEW
2019 IPGP IPG PHOTONICS CORP Technology 745,246 $53.4M 0.00% NEW
2020 MRCY MERCURY SYS INC Industrials 730,676 $53.3M 0.00% NEW
2021 ARW ARROW ELECTRS INC Technology 483,639 $53.3M 0.00% NEW
2022 SLAB SILICON LABORATORIES INC Technology 407,383 $53.2M 0.00% NEW
2023 HCC WARRIOR MET COAL INC Energy 603,758 $53.2M 0.00% NEW
2024 ARGT GLOBAL X FDS 582,126 $53.2M 0.00% NEW
2025 MATX MATSON INC Industrials 430,292 $53.2M 0.00% NEW
2026 FLTR VANECK ETF TRUST 2,086,413 $53.2M 0.00% NEW
2027 EIPI FIRST TR EXCHNG TRADED FD VI 2,660,795 $52.9M 0.00% NEW
2028 ALKS ALKERMES PLC Healthcare 1,888,487 $52.8M 0.00% NEW
2029 FBTC FIDELITY WISE ORIGIN BITCOIN Financial Services 692,686 $52.8M 0.00% NEW
2030 DXC DXC TECHNOLOGY CO Technology 3,592,576 $52.6M 0.00% NEW
2031 FIIG FIRST TR EXCHANGE-TRADED FD 2,482,467 $52.6M 0.00% NEW
2032 POWI POWER INTEGRATIONS INC Technology 1,479,555 $52.6M 0.00% NEW
2033 KORP AMERICAN CENTY ETF TR 1,111,463 $52.5M 0.00% NEW
2034 BST BLACKROCK SCIENCE & TECHNOLO Financial Services 1,293,892 $52.5M 0.00% NEW
2035 MAIN MAIN STR CAP CORP Financial Services 867,861 $52.4M 0.00% NEW
2036 XBGYX BLACKROCK ENHANCED INTL DIV 8,911,994 $52.4M 0.00% NEW
2037 TXG 10X GENOMICS INC Healthcare 3,196,893 $52.1M 0.00% NEW
2038 CBT CABOT CORP Basic Materials 786,344 $52.1M 0.00% NEW
2039 PPC PILGRIMS PRIDE CORP Consumer Defensive 1,335,871 $52.1M 0.00% NEW
2040 GATX GATX CORP Industrials 307,011 $52.1M 0.00% NEW
2041 IBDY ISHARES TR 1,991,654 $52.1M 0.00% NEW
2042 REMX VANECK ETF TRUST 703,527 $52.0M 0.00% NEW
2043 LAUR LAUREATE EDUCATION INC Consumer Defensive 1,542,676 $51.9M 0.00% NEW
2044 TSLX SIXTH STREET SPECIALTY LENDI Financial Services 2,390,628 $51.9M 0.00% NEW
2045 RVMD REVOLUTION MEDICINES INC Healthcare 651,732 $51.9M 0.00% NEW
2046 NMM NAVIOS MARITIME PARTNERS L P Industrials 989,887 $51.9M 0.00% NEW
2047 VTWG VANGUARD SCOTTSDALE FDS 219,855 $51.9M 0.00% NEW
2048 VIRT VIRTU FINL INC Financial Services 1,553,978 $51.8M 0.00% NEW
2049 ESI ELEMENT SOLUTIONS INC Basic Materials 2,071,725 $51.8M 0.00% NEW
2050 ILCB ISHARES TR 547,486 $51.7M 0.00% NEW
2051 KD KYNDRYL HLDGS INC Technology 1,942,497 $51.6M 0.00% NEW
2052 PRFZ INVESCO EXCHANGE TRADED FD T 1,120,992 $51.4M 0.00% NEW
2053 RIOT RIOT PLATFORMS INC Financial Services 4,053,960 $51.4M 0.00% NEW
2054 XJQCX NUVEEN CR STRATEGIES INCOME 10,217,636 $51.3M 0.00% NEW
2055 VIST VISTA ENERGY S.A.B. DE C.V. Energy 1,052,775 $51.2M 0.00% NEW
2056 CQP CHENIERE ENERGY PARTNERS LP Energy 957,686 $51.2M 0.00% NEW
2057 ESTC ELASTIC N V Technology 678,714 $51.2M 0.00% NEW
2058 JSMD JANUS DETROIT STR TR 626,786 $51.1M 0.00% NEW
2059 OPLN OPENLANE INC Consumer Cyclical 1,716,208 $51.1M 0.00% NEW
2060 DNL WISDOMTREE TR 1,236,952 $51.0M 0.00% NEW
2061 NULG NUSHARES ETF TR 521,099 $51.0M 0.00% NEW
2062 VSAT VIASAT INC Technology 1,477,554 $50.9M 0.00% NEW
2063 STEP STEPSTONE GROUP INC Financial Services 793,149 $50.9M 0.00% NEW
2064 VRNS VARONIS SYS INC Technology 1,548,868 $50.8M 0.00% NEW
2065 MCR MFS CHARTER INCOME TR Financial Services 8,100,176 $50.8M 0.00% NEW
2066 TNGY TORTOISE ENERGY INFRA CORP 1,241,397 $50.8M 0.00% NEW
2067 CHDN CHURCHILL DOWNS INC Consumer Cyclical 445,963 $50.7M 0.00% NEW
2068 JFR NUVEEN FLOATING RATE INCOME Financial Services 6,459,306 $50.6M 0.00% NEW
2069 HUN HUNTSMAN CORP Basic Materials 5,046,274 $50.5M 0.00% NEW
2070 S SENTINELONE INC Technology 3,362,472 $50.4M 0.00% NEW
2071 UTWO RBB FD INC 1,037,604 $50.4M 0.00% NEW
2072 APPN APPIAN CORP Technology 1,420,031 $50.3M 0.00% NEW
2073 BGC BGC GROUP INC Financial Services 5,627,664 $50.3M 0.00% NEW
2074 GTLB GITLAB INC Technology 1,339,022 $50.3M 0.00% NEW
2075 ANAB ANAPTYSBIO INC Healthcare 1,034,562 $50.2M 0.00% NEW
2076 EMKT LAZARD ACTIVE ETF TR 1,998,938 $50.1M 0.00% NEW
2077 ARKQ ARK ETF TR 436,060 $50.0M 0.00% NEW
2078 VAW VANGUARD WORLD FD 240,575 $49.9M 0.00% NEW
2079 FAD FIRST TR EXCHANGE-TRADED ALP 308,449 $49.9M 0.00% NEW
2080 SCHA SCHWAB STRATEGIC TR 1,752,530 $49.9M 0.00% NEW
2081 VSCO VICTORIAS SECRET AND CO Consumer Cyclical 921,385 $49.9M 0.00% NEW
2082 VITL VITAL FARMS INC Consumer Defensive 1,561,978 $49.9M 0.00% NEW
2083 TTAN SERVICETITAN INC Technology 468,379 $49.9M 0.00% NEW
2084 VCYT VERACYTE INC Healthcare 1,183,069 $49.8M 0.00% NEW
2085 BBWI BATH & BODY WORKS INC Consumer Cyclical 2,478,682 $49.8M 0.00% NEW
2086 ASGI ABRDN GLOBAL INFRA INCOME FU Financial Services 2,223,918 $49.7M 0.00% NEW
2087 PCEF INVESCO EXCH TRADED FD TR II 2,499,683 $49.7M 0.00% NEW
2088 TELFY TELEFONICA S A 12,241,319 $49.6M 0.00% NEW
2089 NOVT NOVANTA INC Technology 416,639 $49.6M 0.00% NEW
2090 BANK AMERICA CORP 39,558 $49.5M 0.00% NEW
2091 PEY INVESCO EXCHANGE TRADED FD T 2,427,014 $49.5M 0.00% NEW
2092 LI LI AUTO INC Consumer Cyclical 2,915,832 $49.4M 0.00% NEW
2093 XSD SPDR SERIES TRUST 153,372 $49.3M 0.00% NEW
2094 LEU CENTRUS ENERGY CORP Energy 203,092 $49.3M 0.00% NEW
2095 PATK PATRICK INDS INC Consumer Cyclical 454,681 $49.3M 0.00% NEW
2096 MQY BLACKROCK MUNIYILD QULT FD I Financial Services 4,362,677 $49.3M 0.00% NEW
2097 FBP FIRST BANCORP P R Financial Services 2,369,906 $49.1M 0.00% NEW
2098 EQL ALPS ETF TR 1,059,156 $49.1M 0.00% NEW
2099 MIR MIRION TECHNOLOGIES INC Industrials 2,096,858 $49.1M 0.00% NEW
2100 MWA MUELLER WTR PRODS INC Industrials 2,059,150 $49.0M 0.00% NEW
2101 KAI KADANT INC Industrials 171,730 $48.9M 0.00% NEW
2102 HIW HIGHWOODS PPTYS INC Real Estate 1,894,544 $48.9M 0.00% NEW
2103 DFIN DONNELLEY FINL SOLUTIONS INC Financial Services 1,047,536 $48.9M 0.00% NEW
2104 SFBS SERVISFIRST BANCSHARES INC Financial Services 681,079 $48.9M 0.00% NEW
2105 SKM SK TELECOM CO LTD Communication Services 2,374,999 $48.8M 0.00% NEW
2106 CORZ CORE SCIENTIFIC INC NEW Technology 3,338,427 $48.6M 0.00% NEW
2107 AX AXOS FINANCIAL INC Financial Services 563,890 $48.6M 0.00% NEW
2108 NOG NORTHERN OIL & GAS INC Energy 2,262,731 $48.6M 0.00% NEW
2109 JPME J P MORGAN EXCHANGE TRADED F 446,483 $48.5M 0.00% NEW
2110 CAI CARIS LIFE SCIENCES INC Healthcare 1,794,991 $48.4M 0.00% NEW
2111 INDB INDEPENDENT BK CORP MASS Financial Services 662,432 $48.4M 0.00% NEW
2112 PFFV GLOBAL X FDS 2,173,299 $48.3M 0.00% NEW
2113 DFNL DAVIS FUNDAMENTAL ETF TR 998,160 $48.2M 0.00% NEW
2114 IMCV ISHARES TR 585,516 $48.2M 0.00% NEW
2115 BTX BLACKROCK TECH AND PRIVATE E Healthcare 7,293,873 $48.1M 0.00% NEW
2116 CRBN ISHARES TR 208,394 $48.0M 0.00% NEW
2117 EDIV SPDR INDEX SHS FDS 1,226,265 $48.0M 0.00% NEW
2118 FUL FULLER H B CO Basic Materials 807,059 $48.0M 0.00% NEW
2119 XAGG MORGAN STANLEY ETF TRUST 949,341 $47.9M 0.00% NEW
2120 IART INTEGRA LIFESCIENCES HLDGS C Healthcare 3,849,067 $47.8M 0.00% NEW
2121 NUSC NUSHARES ETF TR 1,068,910 $47.7M 0.00% NEW
2122 ACWV ISHARES INC 401,887 $47.7M 0.00% NEW
2123 OI O-I GLASS INC Consumer Cyclical 3,231,866 $47.7M 0.00% NEW
2124 WFRD WEATHERFORD INTL PLC Energy 608,408 $47.6M 0.00% NEW
2125 USMC PRINCIPAL EXCHANGE TRADED FD 695,333 $47.6M 0.00% NEW
2126 RING ISHARES INC 646,005 $47.6M 0.00% NEW
2127 LCID LUCID GROUP INC Consumer Cyclical 4,487,208 $47.4M 0.00% NEW
2128 CRGY CRESCENT ENERGY COMPANY Energy 5,650,795 $47.4M 0.00% NEW
2129 SYFI AB ACTIVE ETFS INC 1,318,594 $47.4M 0.00% NEW
2130 CVSA ADTALEM GLOBAL ED INC Consumer Cyclical 457,746 $47.4M 0.00% NEW
2131 TPC TUTOR PERINI CORP Industrials 706,247 $47.3M 0.00% NEW
2132 PI IMPINJ INC Technology 271,748 $47.3M 0.00% NEW
2133 PKX POSCO HOLDINGS INC Basic Materials 888,572 $47.3M 0.00% NEW
2134 EFXT ENERFLEX LTD Energy 3,060,896 $47.2M 0.00% NEW
2135 SOC SABLE OFFSHORE CORP Energy 5,233,890 $47.2M 0.00% NEW
2136 PIZ INVESCO EXCH TRADED FD TR II 962,626 $47.2M 0.00% NEW
2137 BCI ABRDN ETFS 2,413,874 $47.1M 0.00% NEW
2138 EMGF ISHARES INC 814,633 $47.1M 0.00% NEW
2139 ATAT ATOUR LIFESTYLE HLDGS LTD Consumer Cyclical 1,195,127 $47.1M 0.00% NEW
2140 WMG WARNER MUSIC GROUP CORP Communication Services 1,533,698 $47.0M 0.00% NEW
2141 TIGO MILLICOM INTL CELLULAR S A Communication Services 847,747 $47.0M 0.00% NEW
2142 SQM SOCIEDAD QUIMICA Y MINERA DE Basic Materials 681,479 $46.9M 0.00% NEW
2143 TOLZ PROSHARES TR 865,682 $46.9M 0.00% NEW
2144 GVI ISHARES TR 435,555 $46.8M 0.00% NEW
2145 ALHC ALIGNMENT HEALTHCARE INC Healthcare 2,362,546 $46.7M 0.00% NEW
2146 SFD SMITHFIELD FOODS INC Consumer Defensive 2,088,209 $46.6M 0.00% NEW
2147 LOAR LOAR HOLDINGS INC Industrials 685,320 $46.6M 0.00% NEW
2148 MAC MACERICH CO Real Estate 2,517,835 $46.5M 0.00% NEW
2149 JOYY JOYY INC Communication Services 716,719 $46.4M 0.00% NEW
2150 SGML SIGMA LITHIUM CORPORATION Basic Materials 3,510,685 $46.3M 0.00% NEW
2151 FEP FIRST TR EXCH TRD ALPHDX FD 860,875 $46.3M 0.00% NEW
2152 SPEU SPDR INDEX SHS FDS 887,173 $46.2M 0.00% NEW
2153 KRMA GLOBAL X FDS 1,064,523 $46.2M 0.00% NEW
2154 FMC FMC CORP Basic Materials 3,325,639 $46.1M 0.00% NEW
2155 BXMT BLACKSTONE MTG TR INC Real Estate 2,407,160 $46.0M 0.00% NEW
2156 NPO ENPRO INC Industrials 214,893 $46.0M 0.00% NEW
2157 OUT OUTFRONT MEDIA INC Real Estate 1,908,365 $46.0M 0.00% NEW
2158 PRGO PERRIGO CO PLC Healthcare 3,302,778 $46.0M 0.00% NEW
2159 IXG ISHARES TR 379,652 $45.9M 0.00% NEW
2160 YPF YPF SOCIEDAD ANONIMA Energy 1,265,812 $45.8M 0.00% NEW
2161 TNDM TANDEM DIABETES CARE INC Healthcare 2,080,497 $45.7M 0.00% NEW
2162 OLED UNIVERSAL DISPLAY CORP Technology 391,319 $45.7M 0.00% NEW
2163 CNXC CONCENTRIX CORP Technology 1,098,147 $45.7M 0.00% NEW
2164 NMIH NMI HLDGS INC Financial Services 1,119,410 $45.7M 0.00% NEW
2165 PKW INVESCO EXCHANGE TRADED FD T 339,899 $45.7M 0.00% NEW
2166 XOMA XOMA ROYALTY CORPORATION Healthcare 1,714,668 $45.6M 0.00% NEW
2167 SONO SONOS INC Technology 2,590,473 $45.5M 0.00% NEW
2168 SLG SL GREEN RLTY CORP Real Estate 991,410 $45.5M 0.00% NEW
2169 BLV VANGUARD BD INDEX FDS 653,972 $45.5M 0.00% NEW
2170 OTTR OTTER TAIL CORP Utilities 562,289 $45.4M 0.00% NEW
2171 NZF NUVEEN MUNICIPAL CREDIT INC Financial Services 3,608,808 $45.4M 0.00% NEW
2172 SLYV SPDR SERIES TRUST 498,532 $45.4M 0.00% NEW
2173 NWS NEWS CORP NEW Communication Services 1,529,287 $45.3M 0.00% NEW
2174 TPH TRI POINTE HOMES INC Consumer Cyclical 1,435,945 $45.2M 0.00% NEW
2175 WSC WILLSCOT HLDGS CORP Industrials 2,398,437 $45.2M 0.00% NEW
2176 HAE HAEMONETICS CORP MASS Healthcare 562,949 $45.1M 0.00% NEW
2177 TILT FLEXSHARES TR 181,214 $45.1M 0.00% NEW
2178 PLAB PHOTRONICS INC Technology 1,408,220 $45.1M 0.00% NEW
2179 LPL LG DISPLAY CO LTD Technology 10,686,764 $45.0M 0.00% NEW
2180 CHEF CHEFS WHSE INC Consumer Defensive 721,621 $45.0M 0.00% NEW
2181 TS TENARIS S A Energy 1,169,688 $45.0M 0.00% NEW
2182 FEMB FIRST TR EXCH TRADED FD III 1,506,967 $44.9M 0.00% NEW
2183 GCOR GOLDMAN SACHS ETF TR 1,081,329 $44.9M 0.00% NEW
2184 PFXF VANECK ETF TRUST 2,541,327 $44.9M 0.00% NEW
2185 BKU BANKUNITED INC Financial Services 1,005,982 $44.8M 0.00% NEW
2186 IYK ISHARES TR 669,862 $44.8M 0.00% NEW
2187 SFLO VICTORY PORTFOLIOS II 1,519,915 $44.8M 0.00% NEW
2188 TGTX TG THERAPEUTICS INC Healthcare 1,503,037 $44.8M 0.00% NEW
2189 SYLD CAMBRIA ETF TR 644,465 $44.8M 0.00% NEW
2190 SBRA SABRA HEALTH CARE REIT INC Real Estate 2,364,102 $44.8M 0.00% NEW
2191 SKT TANGER INC Real Estate 1,338,348 $44.7M 0.00% NEW
2192 AAUC ALLIED GOLD CORP Basic Materials 1,951,385 $44.6M 0.00% NEW
2193 FXE INVESCO CURRENCYSHARES EURO Financial Services 411,128 $44.6M 0.00% NEW
2194 CERT CERTARA INC Healthcare 5,055,818 $44.5M 0.00% NEW
2195 AOMR ANGEL OAK MORTGAGE REIT INC Real Estate 5,172,061 $44.5M 0.00% NEW
2196 PBF PBF ENERGY INC Energy 1,641,986 $44.5M 0.00% NEW
2197 NATL NCR ATLEOS CORPORATION Technology 1,168,276 $44.5M 0.00% NEW
2198 WRBY WARBY PARKER INC Healthcare 2,040,603 $44.5M 0.00% NEW
2199 FLO FLOWERS FOODS INC Consumer Defensive 4,085,612 $44.5M 0.00% NEW
2200 HE HAWAIIAN ELEC INDUSTRIES Utilities 3,600,987 $44.3M 0.00% NEW
2201 TAC TRANSALTA CORP Utilities 3,497,528 $44.2M 0.00% NEW
2202 SPTS SPDR SERIES TRUST 1,508,707 $44.2M 0.00% NEW
2203 DSU BLACKROCK DEBT STRATEGIES FD Financial Services 4,334,732 $44.1M 0.00% NEW
2204 CSGS CSG SYS INTL INC Technology 575,019 $44.1M 0.00% NEW
2205 VIPSHOP HLDGS LTD 2,491,632 $44.1M 0.00% NEW
2206 CVBF CVB FINL CORP Financial Services 2,369,413 $44.1M 0.00% NEW
2207 PZA INVESCO EXCH TRADED FD TR II 1,899,820 $44.1M 0.00% NEW
2208 CYRX CRYOPORT INC Industrials 4,587,544 $44.0M 0.00% NEW
2209 XNTK SPDR SERIES TRUST 158,330 $44.0M 0.00% NEW
2210 AGX ARGAN INC Industrials 140,169 $43.9M 0.00% NEW
2211 PONY PONY AI INC Industrials 3,024,346 $43.9M 0.00% NEW
2212 BCX BLACKROCK RES & COMMODITIES Financial Services 3,992,507 $43.8M 0.00% NEW
2213 SCHR SCHWAB STRATEGIC TR 1,747,388 $43.8M 0.00% NEW
2214 STEW SRH TOTAL RETURN FUND INC Financial Services 2,362,659 $43.8M 0.00% NEW
2215 CIB COMPANHIA DE SANEAMENTO BASI Financial Services 1,835,646 $43.8M 0.00% NEW
2216 THR THERMON GROUP HLDGS INC Industrials 1,175,768 $43.7M 0.00% NEW
2217 CRK COMSTOCK RES INC Energy 1,883,337 $43.7M 0.00% NEW
2218 CPK CHESAPEAKE UTILS CORP Utilities 349,233 $43.6M 0.00% NEW
2219 CARG CARGURUS INC Consumer Cyclical 1,135,905 $43.6M 0.00% NEW
2220 XRAY DENTSPLY SIRONA INC Healthcare 3,794,956 $43.4M 0.00% NEW
2221 ADX ADAMS DIVERSIFIED EQUITY FD Financial Services 1,858,871 $43.3M 0.00% NEW
2222 IDYA IDEAYA BIOSCIENCES INC Healthcare 1,252,404 $43.3M 0.00% NEW
2223 GBCI GLACIER BANCORP INC NEW Financial Services 979,812 $43.2M 0.00% NEW
2224 CLBT CELLEBRITE DI LTD Technology 2,390,114 $43.1M 0.00% NEW
2225 WTMF WISDOMTREE TR 1,130,590 $43.0M 0.00% NEW
2226 FHI FEDERATED HERMES INC Financial Services 825,452 $43.0M 0.00% NEW
2227 ENR ENERGIZER HLDGS INC NEW Industrials 2,155,974 $42.9M 0.00% NEW
2228 TXNM TXNM ENERGY INC Utilities 727,022 $42.8M 0.00% NEW
2229 WOLF WOLFSPEED INC Technology 2,455,876 $42.8M 0.00% NEW
2230 IGR CBRE GBL REAL ESTATE INC FD Financial Services 9,757,644 $42.7M 0.00% NEW
2231 MMU WESTERN ASSET MANAGED MUNS F Financial Services 4,092,453 $42.7M 0.00% NEW
2232 NWN NORTHWEST NAT HLDG CO Utilities 913,961 $42.7M 0.00% NEW
2233 GUG GUGGENHEIM ACTIVE ALLOC FD Financial Services 2,782,293 $42.7M 0.00% NEW
2234 DTH WISDOMTREE TR 826,442 $42.6M 0.00% NEW
2235 SXT SENSIENT TECHNOLOGIES CORP Basic Materials 453,927 $42.6M 0.00% NEW
2236 FTRE FORTREA HLDGS INC Healthcare 2,467,625 $42.6M 0.00% NEW
2237 NUBD NUSHARES ETF TR 1,900,775 $42.5M 0.00% NEW
2238 VBIL VANGUARD INSTL INDEX FD 563,317 $42.5M 0.00% NEW
2239 GBAB GUGGENHEIM TAXABLE MUNICP BO Financial Services 2,846,263 $42.5M 0.00% NEW
2240 TCMD TACTILE SYS TECHNOLOGY INC Healthcare 1,463,247 $42.4M 0.00% NEW
2241 CHW CALAMOS GBL DYN INCOME FUND Financial Services 5,722,402 $42.4M 0.00% NEW
2242 GNW GENWORTH FINL INC Financial Services 4,693,839 $42.4M 0.00% NEW
2243 PRM PERIMETER SOLUTIONS INC Basic Materials 1,539,089 $42.4M 0.00% NEW
2244 ORA ORMAT TECHNOLOGIES INC Utilities 382,685 $42.3M 0.00% NEW
2245 FSK FS KKR CAP CORP Financial Services 2,851,562 $42.2M 0.00% NEW
2246 FMX FOMENTO ECONOMICO MEXICANO S Consumer Defensive 417,717 $42.2M 0.00% NEW
2247 BCC BOISE CASCADE CO DEL Basic Materials 573,546 $42.2M 0.00% NEW
2248 CATH GLOBAL X FDS 512,441 $42.1M 0.00% NEW
2249 KIE SPDR SERIES TRUST 700,455 $42.1M 0.00% NEW
2250 REZ ISHARES TR 509,037 $42.1M 0.00% NEW
2251 PHIN PHINIA INC Consumer Cyclical 670,346 $42.0M 0.00% NEW
2252 RARE ULTRAGENYX PHARMACEUTICAL IN Healthcare 1,826,295 $42.0M 0.00% NEW
2253 YYY* AMPLIFY ETF TR 3,648,956 $42.0M 0.00% NEW
2254 GTX GARRETT MOTION INC Consumer Cyclical 2,409,561 $42.0M 0.00% NEW
2255 LVHD LEGG MASON ETF INVT 1,051,881 $42.0M 0.00% NEW
2256 MYRG MYR GROUP INC DEL Industrials 191,968 $41.9M 0.00% NEW
2257 ISTB ISHARES TR 859,137 $41.9M 0.00% NEW
2258 XAWFX ALLIANCEBERNSTEIN GLOBAL HIG 3,912,885 $41.8M 0.00% NEW
2259 KBH KB HOME Consumer Cyclical 740,349 $41.8M 0.00% NEW
2260 TPB TURNING PT BRANDS INC Consumer Defensive 385,138 $41.7M 0.00% NEW
2261 EES WISDOMTREE TR 733,144 $41.7M 0.00% NEW
2262 IFV FIRST TR EXCHANGE TRADED FD 1,680,893 $41.7M 0.00% NEW
2263 BTO HANCOCK JOHN FINL OPPTYS FD Financial Services 1,189,553 $41.7M 0.00% NEW
2264 EWI ISHARES INC 768,056 $41.7M 0.00% NEW
2265 ENS ENERSYS Industrials 283,847 $41.7M 0.00% NEW
2266 LDP COHEN & STEERS LTD DURATION Financial Services 1,966,040 $41.6M 0.00% NEW
2267 OR OR ROYALTIES INC. Basic Materials 1,175,913 $41.6M 0.00% NEW
2268 IVLU ISHARES TR 1,093,103 $41.6M 0.00% NEW
2269 SOBO SOUTH BOW CORP Energy 1,511,797 $41.5M 0.00% NEW
2270 LRGF ISHARES TR 597,630 $41.5M 0.00% NEW
2271 VC VISTEON CORP Consumer Cyclical 435,906 $41.5M 0.00% NEW
2272 SKOR FLEXSHARES TR 842,961 $41.4M 0.00% NEW
2273 GRPM INVESCO EXCHANGE TRADED FD T 344,999 $41.4M 0.00% NEW
2274 GBDC GOLUB CAP BDC INC Financial Services 3,048,675 $41.4M 0.00% NEW
2275 JHMD JOHN HANCOCK EXCHANGE TRADED 995,415 $41.3M 0.00% NEW
2276 UNFI UNITED NAT FOODS INC Consumer Defensive 1,227,299 $41.3M 0.00% NEW
2277 BBT BEACON FINANCIAL CORP. Financial Services 1,565,804 $41.3M 0.00% NEW
2278 DQ DAQO NEW ENERGY CORP Technology 1,397,963 $41.2M 0.00% NEW
2279 FTHY FIRST TR HIGH YIELD OPPRT 20 Financial Services 2,926,092 $41.2M 0.00% NEW
2280 SRPT SAREPTA THERAPEUTICS INC Healthcare 1,912,635 $41.2M 0.00% NEW
2281 IXJ ISHARES TR 421,925 $41.1M 0.00% NEW
2282 EWA ISHARES INC 1,565,948 $41.0M 0.00% NEW
2283 IGE ISHARES TR 816,638 $41.0M 0.00% NEW
2284 REZI RESIDEO TECHNOLOGIES INC Industrials 1,164,198 $40.9M 0.00% NEW
2285 AOM ISHARES TR 856,486 $40.9M 0.00% NEW
2286 DRS LEONARDO DRS INC Industrials 1,197,420 $40.8M 0.00% NEW
2287 BUG GLOBAL X FDS 1,338,808 $40.8M 0.00% NEW
2288 PSI INVESCO EXCHANGE TRADED FD T 516,936 $40.8M 0.00% NEW
2289 ASBA ASSOCIATED BANC CORP Financial Services 1,581,912 $40.8M 0.00% NEW
2290 PECO PHILLIPS EDISON & CO INC Real Estate 1,145,114 $40.7M 0.00% NEW
2291 FNDA SCHWAB STRATEGIC TR 1,283,324 $40.4M 0.00% NEW
2292 PTON PELOTON INTERACTIVE INC Consumer Cyclical 6,551,010 $40.4M 0.00% NEW
2293 CPRI CAPRI HOLDINGS LIMITED Consumer Cyclical 1,652,219 $40.3M 0.00% NEW
2294 CEVA CEVA INC Technology 1,873,222 $40.3M 0.00% NEW
2295 NGDN NEW GOLD INC CDA 4,620,607 $40.2M 0.00% NEW
2296 NUV NUVEEN MUN VALUE FD INC Financial Services 4,435,983 $40.2M 0.00% NEW
2297 TNK TEEKAY TANKERS LTD Energy 752,168 $40.2M 0.00% NEW
2298 ABG ASBURY AUTOMOTIVE GROUP INC Consumer Cyclical 172,679 $40.2M 0.00% NEW
2299 CSIQ CANADIAN SOLAR INC Energy 1,688,944 $40.1M 0.00% NEW
2300 SPMB SPDR SERIES TRUST 1,790,660 $40.1M 0.00% NEW
2301 ALKT ALKAMI TECHNOLOGY INC Technology 1,739,146 $40.1M 0.00% NEW
2302 MMS MAXIMUS INC Industrials 464,734 $40.1M 0.00% NEW
2303 IHE ISHARES TR 472,581 $40.1M 0.00% NEW
2304 GDS GDS HLDGS LTD Technology 1,148,494 $40.1M 0.00% NEW
2305 ALG ALAMO GROUP INC Industrials 238,659 $40.1M 0.00% NEW
2306 STAG STAG INDL INC Real Estate 1,088,433 $40.0M 0.00% NEW
2307 CSMD PROFESIONALLY MANAGED PORTFO 1,263,909 $40.0M 0.00% NEW
2308 BFOR ALPS ETF TR 485,186 $40.0M 0.00% NEW
2309 IYM ISHARES TR 259,215 $39.9M 0.00% NEW
2310 HDEF DBX ETF TR 1,285,847 $39.8M 0.00% NEW
2311 PBW INVESCO EXCHANGE TRADED FD T 1,304,790 $39.8M 0.00% NEW
2312 CUSHMAN AND WAKEFIELD LTD 2,460,393 $39.8M 0.00% NEW
2313 RUSHB RUSH ENTERPRISES INC Consumer Cyclical 734,913 $39.6M 0.00% NEW
2314 CDL VICTORY PORTFOLIOS II 574,975 $39.6M 0.00% NEW
2315 DTCR GLOBAL X FDS 1,870,523 $39.5M 0.00% NEW
2316 LOPE GRAND CANYON ED INC Consumer Defensive 236,821 $39.4M 0.00% NEW
2317 RYLD GLOBAL X FDS 2,572,759 $39.4M 0.00% NEW
2318 BKH BLACK HILLS CORP Utilities 566,831 $39.3M 0.00% NEW
2319 NPCE NEUROPACE INC Healthcare 2,547,784 $39.3M 0.00% NEW
2320 AIR AAR CORP Industrials 474,321 $39.3M 0.00% NEW
2321 VICR VICOR CORP Technology 358,177 $39.3M 0.00% NEW
2322 DV DOUBLEVERIFY HLDGS INC Technology 3,428,434 $39.2M 0.00% NEW
2323 SMPL SIMPLY GOOD FOODS CO Consumer Defensive 1,952,713 $39.2M 0.00% NEW
2324 SVM SILVERCORP METALS INC Basic Materials 4,692,989 $39.1M 0.00% NEW
2325 UTG REAVES UTIL INCOME FD Financial Services 1,069,694 $39.1M 0.00% NEW
2326 CALY TOPGOLF CALLAWAY BRANDS CORP Consumer Cyclical 3,352,491 $39.1M 0.00% NEW
2327 MAN MANPOWERGROUP INC WIS Industrials 1,315,924 $39.1M 0.00% NEW
2328 JJSF J & J SNACK FOODS CORP Consumer Defensive 431,968 $39.0M 0.00% NEW
2329 XIFR XPLR INFRASTRUCTURE LP Utilities 3,896,217 $39.0M 0.00% NEW
2330 TDW TIDEWATER INC NEW Energy 771,313 $39.0M 0.00% NEW
2331 ROBO EXCHANGE TRADED CONCEPTS TRU 561,572 $38.9M 0.00% NEW
2332 DBJP DBX ETF TR 410,069 $38.8M 0.00% NEW
2333 VTYXUSD VENTYX BIOSCIENCES INC 4,292,951 $38.8M 0.00% NEW
2334 FLQM FRANKLIN TEMPLETON ETF TR 688,993 $38.8M 0.00% NEW
2335 HUBG HUB GROUP INC Industrials 907,794 $38.7M 0.00% NEW
2336 SPBO SPDR SERIES TRUST 1,316,598 $38.6M 0.00% NEW
2337 XMLV INVESCO EXCH TRADED FD TR II 619,290 $38.6M 0.00% NEW
2338 SRAD SPORTRADAR GROUP AG Technology 1,624,216 $38.6M 0.00% NEW
2339 PCVX VAXCYTE INC Healthcare 835,387 $38.5M 0.00% NEW
2340 FFA FIRST TR ENHANCED EQUITY INC Financial Services 1,749,873 $38.5M 0.00% NEW
2341 SPNT SIRIUSPOINT LTD Financial Services 1,759,026 $38.5M 0.00% NEW
2342 NCZ VIRTUS CONVERTIBLE & INC FD Financial Services 2,788,267 $38.4M 0.00% NEW
2343 KRG KITE RLTY GROUP TR Real Estate 1,600,762 $38.4M 0.00% NEW
2344 PFM INVESCO EXCHANGE TRADED FD T 744,548 $38.3M 0.00% NEW
2345 BMA BANCO MACRO SA Financial Services 425,316 $38.3M 0.00% NEW
2346 SXI STANDEX INTL CORP Industrials 176,343 $38.3M 0.00% NEW
2347 FCFS FIRSTCASH HOLDINGS INC Financial Services 239,857 $38.2M 0.00% NEW
2348 WRD WERIDE INC Technology 4,395,922 $38.2M 0.00% NEW
2349 BTSG BRIGHTSPRING HEALTH SVCS INC Healthcare 1,017,544 $38.1M 0.00% NEW
2350 IBHF ISHARES TR 1,647,921 $38.0M 0.00% NEW
2351 FLCB FRANKLIN TEMPLETON ETF TR 1,756,740 $38.0M 0.00% NEW
2352 JMUB J P MORGAN EXCHANGE TRADED F 751,420 $37.9M 0.00% NEW
2353 OLN OLIN CORP Basic Materials 1,820,854 $37.9M 0.00% NEW
2354 WDFC WD 40 CO Basic Materials 192,489 $37.9M 0.00% NEW
2355 WWW WOLVERINE WORLD WIDE INC Consumer Cyclical 2,082,629 $37.8M 0.00% NEW
2356 ESAB ESAB CORPORATION Industrials 338,042 $37.8M 0.00% NEW
2357 ADNT ADIENT PLC Consumer Cyclical 1,968,867 $37.7M 0.00% NEW
2358 OCSL OAKTREE SPECIALTY LENDING CO Financial Services 2,959,826 $37.7M 0.00% NEW
2359 NPFD NUVEEN VRIABL RAT PFD & INM Financial Services 1,978,914 $37.7M 0.00% NEW
2360 BANC BANC OF CALIFORNIA INC Financial Services 1,950,491 $37.6M 0.00% NEW
2361 SPTI SPDR SERIES TRUST 1,304,034 $37.6M 0.00% NEW
2362 ALGT ALLEGIANT TRAVEL CO Industrials 440,952 $37.6M 0.00% NEW
2363 PTEN PATTERSON-UTI ENERGY INC Energy 6,149,661 $37.6M 0.00% NEW
2364 CIB1N GRUPO CIBEST SA 590,196 $37.5M 0.00% NEW
2365 PTMC PACER FDS TR 1,051,888 $37.5M 0.00% NEW
2366 DNP DNP SELECT INCOME FD INC Financial Services 3,754,158 $37.5M 0.00% NEW
2367 EOSE EOS ENERGY ENTERPRISES INC Industrials 3,269,699 $37.5M 0.00% NEW
2368 CUBI CUSTOMERS BANCORP INC Financial Services 511,848 $37.4M 0.00% NEW
2369 SCHO SCHWAB STRATEGIC TR 1,533,400 $37.4M 0.00% NEW
2370 DWX SPDR INDEX SHS FDS 850,303 $37.4M 0.00% NEW
2371 VNQI VANGUARD INTL EQUITY INDEX F 814,217 $37.3M 0.00% NEW
2372 CVCO CAVCO INDS INC DEL Consumer Cyclical 63,106 $37.3M 0.00% NEW
2373 AOR ISHARES TR 571,943 $37.2M 0.00% NEW
2374 EVH EVOLENT HEALTH INC Healthcare 9,278,123 $37.1M 0.00% NEW
2375 AGL AGILON HEALTH INC Healthcare 53,877,223 $37.1M 0.00% NEW
2376 FTGS FIRST TR EXCHANGE-TRADED FD 1,049,331 $37.1M 0.00% NEW
2377 CRVL CORVEL CORP Financial Services 547,477 $37.0M 0.00% NEW
2378 NVG NUVEEN AMT FREE MUN CR INC F Financial Services 2,923,383 $37.0M 0.00% NEW
2379 ALX ALEXANDERS INC Real Estate 169,491 $36.9M 0.00% NEW
2380 LBTYK LIBERTY GLOBAL LTD Communication Services 3,314,624 $36.9M 0.00% NEW
2381 IMNM IMMUNOME INC Healthcare 1,709,089 $36.7M 0.00% NEW
2382 SWX SOUTHWEST GAS HLDGS INC Utilities 458,601 $36.7M 0.00% NEW
2383 MAGN MAGNERA CORP Industrials 2,422,467 $36.7M 0.00% NEW
2384 TGNA TEGNA INC 1,888,199 $36.6M 0.00% NEW
2385 FHLC FIDELITY COVINGTON TRUST 492,368 $36.6M 0.00% NEW
2386 LGND LIGAND PHARMACEUTICALS INC Healthcare 193,402 $36.6M 0.00% NEW
2387 CTRI CENTURI HOLDINGS INC Utilities 1,446,988 $36.5M 0.00% NEW
2388 ARCB ARCBEST CORP Industrials 492,400 $36.5M 0.00% NEW
2389 UAN CVR PARTNERS LP Basic Materials 355,845 $36.5M 0.00% NEW
2390 QLTA ISHARES TR 757,391 $36.4M 0.00% NEW
2391 BSCX INVESCO EXCH TRD SLF IDX FD 1,696,854 $36.4M 0.00% NEW
2392 ROBT FIRST TR EXCHANGE TRADED FD 700,695 $36.3M 0.00% NEW
2393 MCY MERCURY GENL CORP NEW Financial Services 386,300 $36.3M 0.00% NEW
2394 ASAN ASANA INC Technology 2,647,505 $36.3M 0.00% NEW
2395 SIVR ABRDN SILVER ETF TRUST Financial Services 536,624 $36.3M 0.00% NEW
2396 JPIB J P MORGAN EXCHANGE TRADED F 745,083 $36.3M 0.00% NEW
2397 XNCMX NUVEEN CALIFORNIA AMT QLT MU 2,916,009 $36.3M 0.00% NEW
2398 ICL ICL GROUP LTD Basic Materials 6,348,875 $36.3M 0.00% NEW
2399 BSJQ INVESCO EXCH TRD SLF IDX FD 1,549,518 $36.2M 0.00% NEW
2400 BOH BANK HAWAII CORP Financial Services 527,866 $36.1M 0.00% NEW
2401 ERO ERO COPPER CORP Basic Materials 1,275,535 $36.1M 0.00% NEW
2402 IGEB ISHARES TR 786,559 $35.9M 0.00% NEW
2403 PKST PEAKSTONE REALTY TRUST Real Estate 2,500,507 $35.9M 0.00% NEW
2404 CRNX CRINETICS PHARMACEUTICALS IN Healthcare 768,826 $35.8M 0.00% NEW
2405 LMAT LEMAITRE VASCULAR INC Healthcare 440,933 $35.8M 0.00% NEW
2406 FNY FIRST TR EXCHANGE-TRADED ALP 391,891 $35.7M 0.00% NEW
2407 HIO WESTERN ASSET HIGH INCOME OP Financial Services 9,632,812 $35.7M 0.00% NEW
2408 BVN COMPANIA DE MINAS BUENAVENTU Basic Materials 1,282,187 $35.7M 0.00% NEW
2409 ONEQ FIDELITY COMWLTH TR 389,358 $35.6M 0.00% NEW
2410 ADMA ADMA BIOLOGICS INC Healthcare 1,948,373 $35.5M 0.00% NEW
2411 0J7Q IAC INC 907,984 $35.5M 0.00% NEW
2412 GEO GEO GROUP INC NEW Industrials 2,200,681 $35.5M 0.00% NEW
2413 PAYO PAYONEER GLOBAL INC Technology 6,300,854 $35.4M 0.00% NEW
2414 AUPH AURINIA PHARMACEUTICALS INC Healthcare 2,216,915 $35.4M 0.00% NEW
2415 4DH DANA INC 1,486,339 $35.3M 0.00% NEW
2416 QDEL QUIDELORTHO CORP Healthcare 1,235,267 $35.3M 0.00% NEW
2417 HOMB HOME BANCSHARES INC Financial Services 1,269,330 $35.3M 0.00% NEW
2418 SON SONOCO PRODS CO Consumer Cyclical 807,972 $35.3M 0.00% NEW
2419 HNGE HINGE HEALTH INC Healthcare 757,781 $35.2M 0.00% NEW
2420 UFPT UFP TECHNOLOGIES INC Healthcare 158,376 $35.2M 0.00% NEW
2421 DLY DOUBLELINE YIELD OPPORTUNITI Financial Services 2,415,562 $35.1M 0.00% NEW
2422 CNR CORE NATURAL RESOURCES INC Energy 396,500 $35.1M 0.00% NEW
2423 MZTI MARZETTI COMPANY Consumer Defensive 213,122 $35.0M 0.00% NEW
2424 CRSP CRISPR THERAPEUTICS AG Healthcare 667,060 $35.0M 0.00% NEW
2425 PLMR PALOMAR HLDGS INC Financial Services 259,484 $35.0M 0.00% NEW
2426 TRN TRINITY INDS INC Industrials 1,321,554 $34.9M 0.00% NEW
2427 DMLP DORCHESTER MINERALS LP Energy 1,560,165 $34.9M 0.00% NEW
2428 VSEC VSE CORP Industrials 201,857 $34.9M 0.00% NEW
2429 UFPT UFP INDUSTRIES INC Healthcare 382,681 $34.8M 0.00% NEW
2430 RSI RUSH STREET INTERACTIVE INC Consumer Cyclical 1,793,193 $34.8M 0.00% NEW
2431 APLE APPLE HOSPITALITY REIT INC Real Estate 2,936,812 $34.8M 0.00% NEW
2432 G7A GRUPO AEROPORTUARIO DEL CENT 318,743 $34.7M 0.00% NEW
2433 XSW SPDR SERIES TRUST 185,153 $34.6M 0.00% NEW
2434 NMRK NEWMARK GROUP INC Real Estate 1,991,504 $34.5M 0.00% NEW
2435 VEON VEON LTD Communication Services 656,436 $34.5M 0.00% NEW
2436 MHO M/I HOMES INC Consumer Cyclical 269,478 $34.5M 0.00% NEW
2437 KRMN KARMAN HLDGS INC Industrials 471,161 $34.5M 0.00% NEW
2438 FLQL FRANKLIN TEMPLETON ETF TR 496,973 $34.5M 0.00% NEW
2439 IHF ISHARES TR 717,727 $34.4M 0.00% NEW
2440 SMG SCOTTS MIRACLE-GRO CO Basic Materials 589,618 $34.4M 0.00% NEW
2441 SENSATA TECHNOLOGIES HLDG PL 1,031,999 $34.4M 0.00% NEW
2442 ITM VANECK ETF TRUST 728,172 $34.3M 0.00% NEW
2443 FULT FULTON FINL CORP PA Financial Services 1,776,054 $34.3M 0.00% NEW
2444 VIOV VANGUARD ADMIRAL FDS INC 350,706 $34.3M 0.00% NEW
2445 KOF COCA-COLA FEMSA SAB DE CV Consumer Defensive 361,974 $34.3M 0.00% NEW
2446 ETHA ISHARES ETHEREUM TR Financial Services 1,526,592 $34.2M 0.00% NEW
2447 SIRI SIRIUSXM HOLDINGS INC Communication Services 1,711,687 $34.2M 0.00% NEW
2448 SKY CHAMPION HOMES INC Consumer Cyclical 404,828 $34.2M 0.00% NEW
2449 ROAD CONSTRUCTION PARTNERS INC Industrials 314,957 $34.2M 0.00% NEW
2450 PAGS PAGSEGURO DIGITAL LTD Technology 3,542,106 $34.1M 0.00% NEW
2451 IXC ISHARES TR 814,044 $34.1M 0.00% NEW
2452 HNI HNI CORP Industrials 809,634 $34.0M 0.00% NEW
2453 ILCV ISHARES TR 360,366 $34.0M 0.00% NEW
2454 HUT HUT 8 CORP Financial Services 739,649 $34.0M 0.00% NEW
2455 RWR SPDR SERIES TRUST 345,499 $33.9M 0.00% NEW
2456 IBDZ ISHARES TR 1,286,773 $33.9M 0.00% NEW
2457 PSK SPDR SERIES TRUST 1,070,368 $33.9M 0.00% NEW
2458 CNK CINEMARK HLDGS INC Communication Services 1,458,260 $33.9M 0.00% NEW
2459 DVYE ISHARES INC 1,087,489 $33.9M 0.00% NEW
2460 TCBI TEXAS CAP BANCSHARES INC Financial Services 373,905 $33.9M 0.00% NEW
2461 BDC BELDEN INC Technology 290,437 $33.9M 0.00% NEW
2462 ACLX ARCELLX INC Healthcare 518,404 $33.8M 0.00% NEW
2463 PEB 1.75 12/15/26 PEBBLEBROOK HOTEL TR 34,990,000 $33.8M 0.00% NEW
2464 NOV NOV INC Energy 2,158,398 $33.7M 0.00% NEW
2465 FCOM FIDELITY COVINGTON TRUST 460,192 $33.7M 0.00% NEW
2466 PRG PROG HOLDINGS INC Industrials 1,142,496 $33.7M 0.00% NEW
2467 HCI HCI GROUP INC Financial Services 175,661 $33.7M 0.00% NEW
2468 JHML JOHN HANCOCK EXCHANGE TRADED 421,658 $33.7M 0.00% NEW
2469 ICVT ISHARES TR 341,624 $33.7M 0.00% NEW
2470 NWL NEWELL BRANDS INC Consumer Defensive 9,042,598 $33.6M 0.00% NEW
2471 FGD FIRST TR EXCHANGE TRADED FD 1,111,103 $33.6M 0.00% NEW
2472 FCG FIRST TR EXCHANGE-TRADED FD 1,436,361 $33.6M 0.00% NEW
2473 MIRM MIRUM PHARMACEUTICALS INC Healthcare 425,685 $33.6M 0.00% NEW
2474 VET VERMILION ENERGY INC Energy 4,028,433 $33.6M 0.00% NEW
2475 CDRE CADRE HLDGS INC Industrials 822,628 $33.6M 0.00% NEW
2476 UCB UNITED CMNTY BKS BLAIRSVLE G Financial Services 1,075,551 $33.6M 0.00% NEW
2477 FCPT FOUR CORNERS PPTY TR INC Real Estate 1,451,436 $33.5M 0.00% NEW
2478 PNQI INVESCO EXCHANGE TRADED FD T 619,487 $33.4M 0.00% NEW
2479 PRA PROASSURANCE CORP Financial Services 1,381,908 $33.4M 0.00% NEW
2480 IVOV VANGUARD ADMIRAL FDS INC 330,328 $33.4M 0.00% NEW
2481 INSW INTERNATIONAL SEAWAYS INC Energy 686,629 $33.3M 0.00% NEW
2482 ECAT BLACKROCK ESG CAP ALLC TERM Financial Services 2,166,951 $33.3M 0.00% NEW
2483 CWT CALIFORNIA WTR SVC GROUP Utilities 767,034 $33.2M 0.00% NEW
2484 EUSA ISHARES INC 320,882 $33.2M 0.00% NEW
2485 PGNY PROGYNY INC Healthcare 1,286,631 $33.0M 0.00% NEW
2486 MYI BLACKROCK MUNIYIELD QUALITY Financial Services 3,039,217 $33.0M 0.00% NEW
2487 PK PARK HOTELS & RESORTS INC Real Estate 3,157,952 $33.0M 0.00% NEW
2488 CALX CALIX INC Technology 622,875 $33.0M 0.00% NEW
2489 EBC EASTERN BANKSHARES INC Financial Services 1,788,372 $33.0M 0.00% NEW
2490 XFOR X4 PHARMACEUTICALS INC Healthcare 8,208,015 $32.8M 0.00% NEW
2491 ICLN ISHARES TR 1,996,459 $32.8M 0.00% NEW
2492 GHC GRAHAM HLDGS CO Consumer Defensive 29,839 $32.8M 0.00% NEW
2493 WT WISDOMTREE INC Financial Services 2,688,475 $32.8M 0.00% NEW
2494 VAC MARRIOTT VACATIONS WORLDWIDE Consumer Cyclical 567,959 $32.8M 0.00% NEW
2495 CPA COPA HOLDINGS SA Industrials 270,039 $32.6M 0.00% NEW
2496 NBB NUVEEN TAXABLE MUNICPAL INM Financial Services 2,060,349 $32.6M 0.00% NEW
2497 CATY CATHAY GEN BANCORP Financial Services 672,697 $32.6M 0.00% NEW
2498 DHS WISDOMTREE TR 319,429 $32.5M 0.00% NEW
2499 BLDP BALLARD PWR SYS INC NEW Industrials 12,793,799 $32.5M 0.00% NEW
2500 PTY PIMCO CORPORATE & INCOME OPP Financial Services 2,516,693 $32.5M 0.00% NEW
2501 JKS JINKOSOLAR HLDG CO LTD Energy 1,257,680 $32.5M 0.00% NEW
2502 BDJ BLACKROCK ENHANCED EQUITY DI Financial Services 3,419,184 $32.4M 0.00% NEW
2503 LDUR PIMCO ETF TR 337,435 $32.4M 0.00% NEW
2504 HOG HARLEY DAVIDSON INC Consumer Cyclical 1,576,407 $32.3M 0.00% NEW
2505 BABA 0.5 06/01/31 ALIBABA GROUP HLDG LTD 20,780,000 $32.3M 0.00% NEW
2506 BILS SPDR SERIES TRUST 325,251 $32.3M 0.00% NEW
2507 TRIP TRIPADVISOR INC Consumer Cyclical 2,210,732 $32.2M 0.00% NEW
2508 CGBD CARLYLE SECURED LENDING INC Financial Services 2,574,644 $32.2M 0.00% NEW
2509 CWCO CONSOLIDATED WATER CO INC Utilities 909,370 $32.1M 0.00% NEW
2510 EDOW FIRST TR EXCHANGE-TRADED FD 775,258 $32.0M 0.00% NEW
2511 SM SM ENERGY CO Energy 1,706,953 $31.9M 0.00% NEW
2512 HWKN HAWKINS INC Basic Materials 224,645 $31.9M 0.00% NEW
2513 CDP COPT DEFENSE PROPERTIES Real Estate 1,144,545 $31.8M 0.00% NEW
2514 TBBK BANCORP INC DEL Financial Services 470,863 $31.8M 0.00% NEW
2515 REYN REYNOLDS CONSUMER PRODS INC Consumer Cyclical 1,383,876 $31.7M 0.00% NEW
2516 COLL COLLEGIUM PHARMACEUTICAL INC Healthcare 684,613 $31.7M 0.00% NEW
2517 IPKW INVESCO EXCH TRADED FD TR II 569,476 $31.6M 0.00% NEW
2518 DWAS INVESCO EXCH TRADED FD TR II 326,941 $31.6M 0.00% NEW
2519 WHD CACTUS INC Energy 692,360 $31.6M 0.00% NEW
2520 VVR INVESCO SR INCOME TR Financial Services 9,670,319 $31.6M 0.00% NEW
2521 RRR RED ROCK RESORTS INC Consumer Cyclical 510,432 $31.6M 0.00% NEW
2522 BCO BRINKS CO Industrials 270,755 $31.6M 0.00% NEW
2523 VIOG VANGUARD ADMIRAL FDS INC 260,007 $31.5M 0.00% NEW
2524 BBAR BANCO BBVA ARGENTINA S A Financial Services 1,742,164 $31.5M 0.00% NEW
2525 LEVI STRAUSS & CO NEW 1,516,884 $31.5M 0.00% NEW
2526 NEOG NEOGEN CORP Healthcare 4,496,331 $31.4M 0.00% NEW
2527 BMEZ BLACKROCK HEALTH SCIENCES TE Financial Services 2,087,736 $31.4M 0.00% NEW
2528 GFF GRIFFON CORP Industrials 426,591 $31.4M 0.00% NEW
2529 TFII TFI INTL INC Industrials 303,800 $31.4M 0.00% NEW
2530 MNRO MONRO INC Consumer Cyclical 1,566,559 $31.4M 0.00% NEW
2531 CXW CORECIVIC INC Real Estate 1,642,663 $31.4M 0.00% NEW
2532 IRDM IRIDIUM COMMUNICATIONS INC Communication Services 1,795,202 $31.2M 0.00% NEW
2533 LXP LXP INDUSTRIAL TRUST Real Estate 629,099 $31.2M 0.00% NEW
2534 PXH INVESCO EXCH TRADED FD TR II 1,208,404 $31.2M 0.00% NEW
2535 SFNC SIMMONS 1ST NATL CORP Financial Services 1,653,394 $31.2M 0.00% NEW
2536 COCO VITA COCO CO INC Consumer Defensive 585,439 $31.0M 0.00% NEW
2537 FBK FB FINL CORP Financial Services 555,090 $31.0M 0.00% NEW
2538 RNST RENASANT CORP Financial Services 877,230 $30.9M 0.00% NEW
2539 IBHI ISHARES TR 1,306,212 $30.9M 0.00% NEW
2540 PCRX PACIRA BIOSCIENCES INC Healthcare 1,192,594 $30.9M 0.00% NEW
2541 HYBL SSGA ACTIVE TR 1,085,063 $30.9M 0.00% NEW
2542 FRSH FRESHWORKS INC Technology 2,516,355 $30.8M 0.00% NEW
2543 AAP ADVANCE AUTO PARTS INC Consumer Cyclical 783,539 $30.8M 0.00% NEW
2544 VICTORY CAP HLDGS INC 487,929 $30.8M 0.00% NEW
2545 EZM WISDOMTREE TR 459,278 $30.7M 0.00% NEW
2546 ABM ABM INDS INC Industrials 724,716 $30.7M 0.00% NEW
2547 SITE SITEONE LANDSCAPE SUPPLY INC Industrials 245,944 $30.6M 0.00% NEW
2548 DSL DOUBLELINE INCOME SOLUTIONS Financial Services 2,718,268 $30.6M 0.00% NEW
2549 HRMY HARMONY BIOSCIENCES HLDGS IN Healthcare 817,507 $30.6M 0.00% NEW
2550 ACAD ACADIA PHARMACEUTICALS INC Healthcare 1,141,974 $30.5M 0.00% NEW
2551 DOCN DIGITALOCEAN HLDGS INC Technology 632,588 $30.4M 0.00% NEW
2552 AZTA AZENTA INC Healthcare 913,182 $30.4M 0.00% NEW
2553 MGNI MAGNITE INC Communication Services 1,862,538 $30.2M 0.00% NEW
2554 SLVM SYLVAMO CORP Basic Materials 626,607 $30.2M 0.00% NEW
2555 FLMI FRANKLIN TEMPLETON ETF TR 1,213,060 $30.2M 0.00% NEW
2556 HHH HOWARD HUGHES HOLDINGS INC Real Estate 378,144 $30.2M 0.00% NEW
2557 IRTC IRHYTHM TECHNOLOGIES INC Healthcare 169,991 $30.2M 0.00% NEW
2558 GRFS GRIFOLS S A Healthcare 3,222,956 $30.1M 0.00% NEW
2559 RLY SSGA ACTIVE ETF TR 957,920 $30.1M 0.00% NEW
2560 STNG SCORPIO TANKERS INC Energy 592,507 $30.1M 0.00% NEW
2561 JOET VIRTUS ETF TR II 716,707 $30.1M 0.00% NEW
2562 HTZ HERTZ GLOBAL HLDGS INC Industrials 5,854,860 $30.1M 0.00% NEW
2563 NSP INSPERITY INC Industrials 776,975 $30.1M 0.00% NEW
2564 FLNC FLUENCE ENERGY INC Utilities 1,517,703 $30.0M 0.00% NEW
2565 CACC CREDIT ACCEP CORP MICH Financial Services 67,650 $30.0M 0.00% NEW
2566 DGS WISDOMTREE TR 523,575 $30.0M 0.00% NEW
2567 GVIP GOLDMAN SACHS ETF TR 193,382 $30.0M 0.00% NEW
2568 ATRO ASTRONICS CORP Industrials 551,766 $29.9M 0.00% NEW
2569 BBHY J P MORGAN EXCHANGE TRADED F 642,888 $29.9M 0.00% NEW
2570 IEP ICAHN ENTERPRISES LP Industrials 3,957,018 $29.9M 0.00% NEW
2571 LBRT LIBERTY ENERGY INC Energy 1,616,828 $29.8M 0.00% NEW
2572 ZETA ZETA GLOBAL HOLDINGS CORP Technology 1,466,553 $29.8M 0.00% NEW
2573 NSA NATIONAL STORAGE AFFILIATES Real Estate 1,056,120 $29.8M 0.00% NEW
2574 SILJ AMPLIFY ETF TR 1,075,640 $29.8M 0.00% NEW
2575 EXTR EXTREME NETWORKS Technology 1,786,211 $29.7M 0.00% NEW
2576 ARCO ARCOS DORADOS HOLDINGS INC Consumer Cyclical 4,045,638 $29.7M 0.00% NEW
2577 KCE SPDR SERIES TRUST 197,905 $29.7M 0.00% NEW
2578 EOS EATON VANCE ENHANCED EQUITY Financial Services 1,265,391 $29.6M 0.00% NEW
2579 PARR PAR PAC HOLDINGS INC Energy 840,621 $29.5M 0.00% NEW
2580 FXN FIRST TR EXCHANGE TRADED FD 1,790,127 $29.5M 0.00% NEW
2581 FESM FIDELITY COVINGTON TRUST 779,747 $29.5M 0.00% NEW
2582 ENOV ENOVIS CORPORATION Industrials 1,105,238 $29.4M 0.00% NEW
2583 TRUP TRUPANION INC Financial Services 787,460 $29.4M 0.00% NEW
2584 DLOCAL LTD 2,080,513 $29.4M 0.00% NEW
2585 LRGE LEGG MASON ETF INVT 357,055 $29.4M 0.00% NEW
2586 LGLV SPDR SERIES TRUST 166,958 $29.3M 0.00% NEW
2587 NCNO NCINO INC Technology 1,142,457 $29.3M 0.00% NEW
2588 NYF ISHARES TR 546,628 $29.3M 0.00% NEW
2589 XMTR XOMETRY INC Industrials 491,437 $29.2M 0.00% NEW
2590 FXD FIRST TR EXCHANGE TRADED FD 427,450 $29.2M 0.00% NEW
2591 AMR ALPHA METALLURGICAL RESOUR I Energy 146,199 $29.2M 0.00% NEW
2592 VCV INVESCO CALIF VALUE MUN INCO Financial Services 2,623,570 $29.2M 0.00% NEW
2593 LTH LIFE TIME GROUP HOLDINGS INC Consumer Cyclical 1,096,375 $29.1M 0.00% NEW
2594 NTSK NETSKOPE INC Technology 1,655,572 $29.0M 0.00% NEW
2595 RGNX REGENXBIO INC Healthcare 2,014,788 $29.0M 0.00% NEW
2596 IAK ISHARES TR 213,025 $29.0M 0.00% NEW
2597 STNE STONECO LTD Technology 1,958,900 $29.0M 0.00% NEW
2598 LTC LTC PPTYS INC Real Estate 842,506 $29.0M 0.00% NEW
2599 IXP* ISHARES TR 238,643 $28.9M 0.00% NEW
2600 PLUG PLUG POWER INC Industrials 14,679,617 $28.9M 0.00% NEW
2601 WSFS WSFS FINL CORP Financial Services 522,821 $28.9M 0.00% NEW
2602 RCUS ARCUS BIOSCIENCES INC Healthcare 1,210,754 $28.9M 0.00% NEW
2603 BRCB BLACK ROCK COFFEE BAR INC Consumer Defensive 1,293,802 $28.8M 0.00% NEW
2604 CRC CALIFORNIA RES CORP Energy 643,847 $28.8M 0.00% NEW
2605 OXLC OXFORD LANE CAP CORP Financial Services 1,965,318 $28.8M 0.00% NEW
2606 MLCO MELCO RESORTS AND ENTMNT LTD Consumer Cyclical 3,798,657 $28.8M 0.00% NEW
2607 QUS SPDR SERIES TRUST 164,826 $28.7M 0.00% NEW
2608 DBC INVESCO DB COMMDY INDX TRCK Financial Services 1,283,715 $28.7M 0.00% NEW
2609 PPH VANECK ETF TRUST 277,606 $28.6M 0.00% NEW
2610 WD WALKER & DUNLOP INC Financial Services 476,017 $28.6M 0.00% NEW
2611 CIVI CIVITAS RESOURCES INC 1,054,859 $28.6M 0.00% NEW
2612 GEM GOLDMAN SACHS ETF TR 685,147 $28.5M 0.00% NEW
2613 AMLX AMYLYX PHARMACEUTICALS INC Healthcare 2,359,824 $28.5M 0.00% NEW
2614 TRS TRIMAS CORP Consumer Cyclical 803,428 $28.5M 0.00% NEW
2615 INVA INNOVIVA INC Healthcare 1,418,739 $28.4M 0.00% NEW
2616 BTT BLACKROCK MUN TARGET TERM TR Financial Services 1,241,871 $28.3M 0.00% NEW
2617 INTERCORP FINL SVCS INC 668,685 $28.3M 0.00% NEW
2618 RFDI FIRST TR EXCH TRADED FD III 351,570 $28.3M 0.00% NEW
2619 FYC FIRST TR EXCHANGE-TRADED ALP 293,292 $28.2M 0.00% NEW
2620 NVMI NOVA LTD Technology 85,832 $28.2M 0.00% NEW
2621 NML NEUBERGER ENGY INFRSTR & INC Financial Services 3,315,764 $28.2M 0.00% NEW
2622 SHIFT4 PMTS INC 352,242 $28.2M 0.00% NEW
2623 DIN DINE BRANDS GLOBAL INC Consumer Cyclical 876,049 $28.2M 0.00% NEW
2624 ACLS AXCELIS TECHNOLOGIES INC Technology 350,220 $28.1M 0.00% NEW
2625 MGNR AMERICAN BEACON SELECT FUNDS 637,778 $28.1M 0.00% NEW
2626 NPCT NUVEEN CORE PLUS IMPACT FUND Financial Services 2,761,229 $28.1M 0.00% NEW
2627 RSPN INVESCO EXCHANGE TRADED FD T 495,219 $28.0M 0.00% NEW
2628 VTWV VANGUARD SCOTTSDALE FDS 175,277 $28.0M 0.00% NEW
2629 RXO RXO INC Industrials 2,211,797 $28.0M 0.00% NEW
2630 MD PEDIATRIX MEDICAL GROUP INC Healthcare 1,304,070 $27.9M 0.00% NEW
2631 BOKF BOK FINL CORP Financial Services 235,096 $27.8M 0.00% NEW
2632 CNTA CENTESSA PHARMACEUTICALS PLC Healthcare 1,109,098 $27.7M 0.00% NEW
2633 PGY PAGAYA TECHNOLOGIES LTD Technology 1,326,266 $27.7M 0.00% NEW
2634 RMT ROYCE MICRO-CAP TR INC Financial Services 2,652,412 $27.7M 0.00% NEW
2635 FFBC FIRST FINL BANCORP OH Financial Services 1,104,790 $27.6M 0.00% NEW
2636 ESTABLISHMENT LABS HLDGS INC 378,448 $27.6M 0.00% NEW
2637 STPZ PIMCO ETF TR 513,365 $27.5M 0.00% NEW
2638 TWST TWIST BIOSCIENCE CORP Healthcare 866,356 $27.5M 0.00% NEW
2639 CRVS CORVUS PHARMACEUTICALS INC Healthcare 3,567,908 $27.5M 0.00% NEW
2640 WAY WAYSTAR HLDG CORP Technology 838,814 $27.5M 0.00% NEW
2641 COMP COMPASS INC Technology 2,596,079 $27.4M 0.00% NEW
2642 BRC BRADY CORP Industrials 349,957 $27.4M 0.00% NEW
2643 PFS PROVIDENT FINL SVCS INC Financial Services 1,381,795 $27.3M 0.00% NEW
2644 NUDM NUSHARES ETF TR 752,029 $27.2M 0.00% NEW
2645 CCS CENTURY CMNTYS INC Consumer Cyclical 457,020 $27.1M 0.00% NEW
2646 BBEU J P MORGAN EXCHANGE TRADED F 369,495 $27.1M 0.00% NEW
2647 INTF ISHARES TR 716,912 $27.1M 0.00% NEW
2648 AKAM AKAMAI TECHNOLOGIES INC Technology 27,370,000 $27.0M 0.00% NEW
2649 PENN PENN ENTERTAINMENT INC Consumer Cyclical 1,831,931 $27.0M 0.00% NEW
2650 JD JD.COM INC Consumer Cyclical 26,938,000 $27.0M 0.00% NEW
2651 SYNA SYNAPTICS INC Technology 364,846 $27.0M 0.00% NEW
2652 OGM1 COGENT COMMUNICATIONS HLDGS 1,252,451 $27.0M 0.00% NEW
2653 CMPR CIMPRESS PLC Communication Services 405,127 $27.0M 0.00% NEW
2654 LZ LEGALZOOM COM INC Industrials 2,715,356 $27.0M 0.00% NEW
2655 FXG FIRST TR EXCHANGE TRADED FD 444,087 $26.9M 0.00% NEW
2656 NUVL NUVALENT INC Healthcare 267,389 $26.9M 0.00% NEW
2657 XEADX ALLSPRING INCOME OPPORTUNIT 3,962,540 $26.9M 0.00% NEW
2658 GHY PGIM GLOBAL HIGH YIELD FD FO Financial Services 2,174,084 $26.8M 0.00% NEW
2659 EGO ELDORADO GOLD CORP NEW Basic Materials 746,774 $26.8M 0.00% NEW
2660 JGLO J P MORGAN EXCHANGE TRADED F 396,221 $26.8M 0.00% NEW
2661 RCI ROGERS CORP Communication Services 292,457 $26.8M 0.00% NEW
2662 NMZ NUVEEN MUN HIGH INCOME OPPOR Financial Services 2,622,749 $26.7M 0.00% NEW
2663 LGOV FIRST TR EXCHANGE-TRADED FD 1,224,161 $26.7M 0.00% NEW
2664 CON CONCENTRA GROUP HOLDINGS PAR Healthcare 1,357,741 $26.7M 0.00% NEW
2665 LIF LIFE360 INC Technology 416,566 $26.7M 0.00% NEW
2666 XRNPX COHEN & STEERS REIT & PFD & 1,341,144 $26.6M 0.00% NEW
2667 FLYW FLYWIRE CORPORATION Technology 1,878,954 $26.6M 0.00% NEW
2668 PRCT PROCEPT BIOROBOTICS CORP Healthcare 843,491 $26.5M 0.00% NEW
2669 ROUS LATTICE STRATEGIES TR 459,588 $26.5M 0.00% NEW
2670 RVLV REVOLVE GROUP INC Consumer Cyclical 876,350 $26.5M 0.00% NEW
2671 BIDD BLACKROCK ETF TRUST 917,386 $26.4M 0.00% NEW
2672 RAMP LIVERAMP HLDGS INC Technology 899,142 $26.4M 0.00% NEW
2673 BURFORD CAP LTD 2,958,887 $26.4M 0.00% NEW
2674 NG NOVAGOLD RES INC Basic Materials 2,828,973 $26.4M 0.00% NEW
2675 LEG LEGGETT & PLATT INC Consumer Cyclical 2,395,741 $26.4M 0.00% NEW
2676 FNDC SCHWAB STRATEGIC TR 587,495 $26.2M 0.00% NEW
2677 XDIAX NUVEEN DOW 30 DYNMC OVERWRT 1,714,813 $26.2M 0.00% NEW
2678 ONDS ONDAS HLDGS INC Technology 2,677,174 $26.1M 0.00% NEW
2679 AKR ACADIA RLTY TR Real Estate 1,271,873 $26.1M 0.00% NEW
2680 FRI FIRST TR EXCHANGE-TRADED FD 955,863 $26.1M 0.00% NEW
2681 FNCL FIDELITY COVINGTON TRUST 335,406 $26.1M 0.00% NEW
2682 KGS KODIAK GAS SVCS INC Energy 697,140 $26.1M 0.00% NEW
2683 BGB BLACKSTONE STRATEGIC CRED 20 Financial Services 2,213,045 $26.1M 0.00% NEW
2684 BSJS INVESCO EXCH TRD SLF IDX FD 1,184,692 $26.1M 0.00% NEW
2685 PRVA PRIVIA HEALTH GROUP INC Healthcare 1,098,941 $26.1M 0.00% NEW
2686 WOR WORTHINGTON ENTERPRISES INC Industrials 504,816 $26.0M 0.00% NEW
2687 ETV EATON VANCE TAX-MANAGED BUY- Financial Services 1,812,744 $26.0M 0.00% NEW
2688 SG SWEETGREEN INC Consumer Cyclical 3,849,361 $26.0M 0.00% NEW
2689 YELP YELP INC Communication Services 855,881 $26.0M 0.00% NEW
2690 AGYS AGILYSYS INC Technology 218,719 $26.0M 0.00% NEW
2691 DNN DENISON MINES CORP Energy 9,770,298 $26.0M 0.00% NEW
2692 THQ ABRDN HEALTHCARE OPPORTUNITI Financial Services 1,354,223 $25.9M 0.00% NEW
2693 EWT ISHARES INC 407,124 $25.9M 0.00% NEW
2694 COGT COGENT BIOSCIENCES INC Healthcare 726,777 $25.8M 0.00% NEW
2695 PRDO PERDOCEO ED CORP Consumer Defensive 879,759 $25.8M 0.00% NEW
2696 CNS COHEN & STEERS INC Financial Services 410,772 $25.8M 0.00% NEW
2697 MGEE MGE ENERGY INC Utilities 328,610 $25.8M 0.00% NEW
2698 EYE NATIONAL VISION HLDGS INC Consumer Cyclical 997,942 $25.8M 0.00% NEW
2699 MNA NEW YORK LIFE INVESTMENTS ET 719,936 $25.8M 0.00% NEW
2700 AVNT AVIENT CORPORATION Basic Materials 824,640 $25.8M 0.00% NEW
2701 BSJR INVESCO EXCH TRD SLF IDX FD 1,138,492 $25.7M 0.00% NEW
2702 DPG DUFF & PHELPS UTLITY AND INF Financial Services 2,024,868 $25.7M 0.00% NEW
2703 BANF BANCFIRST CORP Financial Services 242,422 $25.7M 0.00% NEW
2704 PTI P T TELEKOMUNIKASI INDONESIA 1,220,684 $25.7M 0.00% NEW
2705 DFUS DIMENSIONAL ETF TRUST 346,290 $25.7M 0.00% NEW
2706 EELV INVESCO EXCH TRADED FD TR II 936,182 $25.7M 0.00% NEW
2707 OMCL OMNICELL COM Healthcare 565,598 $25.6M 0.00% NEW
2708 EVYM MORGAN STANLEY ETF TRUST 512,401 $25.6M 0.00% NEW
2709 9HI HILLENBRAND INC 804,946 $25.5M 0.00% NEW
2710 DNOW DNOW INC Energy 1,920,148 $25.4M 0.00% NEW
2711 DVAX DYNAVAX TECHNOLOGIES CORP 1,653,993 $25.4M 0.00% NEW
2712 FLCO FRANKLIN TEMPLETON ETF TR 1,172,120 $25.4M 0.00% NEW
2713 PRGS PROGRESS SOFTWARE CORP Technology 589,875 $25.3M 0.00% NEW
2714 VERA VERA THERAPEUTICS INC Healthcare 499,665 $25.3M 0.00% NEW
2715 RBCAA REPUBLIC BANCORP INC KY Financial Services 365,717 $25.2M 0.00% NEW
2716 MNKD MANNKIND CORP Healthcare 4,443,922 $25.2M 0.00% NEW
2717 AQN ALGONQUIN PWR UTILS CORP Utilities 4,093,676 $25.2M 0.00% NEW
2718 VCEL VERICEL CORP Healthcare 697,723 $25.1M 0.00% NEW
2719 IOVA IOVANCE BIOTHERAPEUTICS INC Healthcare 9,191,840 $25.1M 0.00% NEW
2720 ATKR ATKORE INC Industrials 396,507 $25.1M 0.00% NEW
2721 AAMI ACADIAN ASSET MANAGEMENT INC Financial Services 532,515 $25.0M 0.00% NEW
2722 OII OCEANEERING INTL INC Energy 1,041,053 $25.0M 0.00% NEW
2723 NEO NEOGENOMICS INC Healthcare 2,126,049 $25.0M 0.00% NEW
2724 NVAX NOVAVAX INC Healthcare 3,717,984 $25.0M 0.00% NEW
2725 ULST SSGA ACTIVE ETF TR 615,379 $24.9M 0.00% NEW
2726 OFG OFG BANCORP Financial Services 607,542 $24.9M 0.00% NEW
2727 EFOR ASGN INC 514,827 $24.8M 0.00% NEW
2728 UE URBAN EDGE PPTYS Real Estate 1,291,579 $24.8M 0.00% NEW
2729 PACS PACS GROUP INC Financial Services 645,581 $24.8M 0.00% NEW
2730 SOXQ INVESCO EXCH TRADED FD TR II 444,392 $24.8M 0.00% NEW
2731 SII SPROTT INC Financial Services 253,020 $24.8M 0.00% NEW
2732 IEO* ISHARES TR 277,232 $24.7M 0.00% NEW
2733 SUSB ISHARES TR 979,842 $24.7M 0.00% NEW
2734 NTCT NETSCOUT SYS INC Technology 913,334 $24.7M 0.00% NEW
2735 TLTW ISHARES TR 1,089,818 $24.7M 0.00% NEW
2736 VSH VISHAY INTERTECHNOLOGY INC Technology 1,704,971 $24.7M 0.00% NEW
2737 SYBT STOCK YDS BANCORP INC Financial Services 379,970 $24.7M 0.00% NEW
2738 GIGB GOLDMAN SACHS ETF TR 532,769 $24.6M 0.00% NEW
2739 STC STEWART INFORMATION SVCS COR Financial Services 350,108 $24.6M 0.00% NEW
2740 PL PLANET LABS PBC Industrials 1,247,317 $24.6M 0.00% NEW
2741 SIMO SILICON MOTION TECHNOLOGY CO Technology 264,858 $24.6M 0.00% NEW
2742 GLRE GREENLIGHT CAPITAL RE LTD Financial Services 1,683,418 $24.5M 0.00% NEW
2743 IGPT INVESCO EXCHANGE TRADED FD T 412,205 $24.5M 0.00% NEW
2744 CXT CRANE NXT CO Industrials 520,423 $24.5M 0.00% NEW
2745 CQQQ INVESCO EXCH TRADED FD TR II 471,036 $24.5M 0.00% NEW
2746 LSAK LESAKA TECHNOLOGIES INC Technology 5,129,612 $24.5M 0.00% NEW
2747 CHCO CITY HLDG CO Financial Services 205,256 $24.5M 0.00% NEW
2748 BHK BLACKROCK CORE BD TR Financial Services 2,548,743 $24.4M 0.00% NEW
2749 SPYX SPDR SERIES TRUST 433,413 $24.4M 0.00% NEW
2750 AGIO AGIOS PHARMACEUTICALS INC Healthcare 894,037 $24.3M 0.00% NEW
2751 EMQQ EXCHANGE TRADED CONCEPTS TRU 602,733 $24.3M 0.00% NEW
2752 EWH ISHARES INC 1,143,346 $24.3M 0.00% NEW
2753 URNM SPROTT FDS TR 442,395 $24.3M 0.00% NEW
2754 SARO STANDARDAERO INC Industrials 844,116 $24.2M 0.00% NEW
2755 FVRR FIVERR INTL LTD Communication Services 1,223,228 $24.2M 0.00% NEW
2756 KALU KAISER ALUMINUM CORP Basic Materials 210,182 $24.1M 0.00% NEW
2757 TNET TRINET GROUP INC Industrials 408,085 $24.1M 0.00% NEW
2758 TDV PROSHARES TR 278,659 $24.1M 0.00% NEW
2759 WAFD WAFD INC Financial Services 752,786 $24.1M 0.00% NEW
2760 SPHB INVESCO EXCH TRADED FD TR II 205,871 $24.1M 0.00% NEW
2761 GGME INVESCO EXCHANGE TRADED FD T 404,048 $24.1M 0.00% NEW
2762 GROY GOLD ROYALTY CORP Basic Materials 5,943,473 $24.0M 0.00% NEW
2763 DRH DIAMONDROCK HOSPITALITY CO Real Estate 2,678,378 $24.0M 0.00% NEW
2764 NKTR NEKTAR THERAPEUTICS Healthcare 566,421 $23.9M 0.00% NEW
2765 BAB INVESCO EXCH TRADED FD TR II 879,391 $23.9M 0.00% NEW
2766 SBH SALLY BEAUTY HLDGS INC Consumer Cyclical 1,674,157 $23.9M 0.00% NEW
2767 IQDF FLEXSHARES TR 784,538 $23.9M 0.00% NEW
2768 EVJ EATON VANCE TAX ADVT DIV INC 946,949 $23.8M 0.00% NEW
2769 WKC WORLD KINECT CORPORATION Energy 1,016,773 $23.8M 0.00% NEW
2770 HMN HORACE MANN EDUCATORS CORP N Financial Services 515,724 $23.8M 0.00% NEW
2771 KN KNOWLES CORP Technology 1,110,534 $23.8M 0.00% NEW
2772 CC CHEMOURS CO Basic Materials 2,015,631 $23.8M 0.00% NEW
2773 DYN DYNE THERAPEUTICS INC Healthcare 1,213,559 $23.7M 0.00% NEW
2774 XSVM INVESCO EXCHANGE TRADED FD T 414,523 $23.7M 0.00% NEW
2775 JBLU JETBLUE AWYS CORP Industrials 5,172,744 $23.5M 0.00% NEW
2776 PLAY DAVE & BUSTERS ENTMT INC Communication Services 1,451,586 $23.5M 0.00% NEW
2777 JOE ST JOE CO Real Estate 396,097 $23.5M 0.00% NEW
2778 NXTG FIRST TR EXCHANGE-TRADED FD 217,962 $23.5M 0.00% NEW
2779 ISCB ISHARES TR 361,019 $23.5M 0.00% NEW
2780 USO UNITED STS OIL FD LP Financial Services 338,832 $23.4M 0.00% NEW
2781 IVOG VANGUARD ADMIRAL FDS INC 194,948 $23.4M 0.00% NEW
2782 AIO VIRTUS ARTIFICIAL INTELLIGEN Financial Services 1,076,406 $23.4M 0.00% NEW
2783 PEPS MORGAN STANLEY ETF TRUST 795,001 $23.4M 0.00% NEW
2784 EVHY MORGAN STANLEY ETF TRUST 440,030 $23.3M 0.00% NEW
2785 MICC MAGNUM ICE CREAM CO NV Consumer Defensive 1,470,028 $23.3M 0.00% NEW
2786 DFJ WISDOMTREE TR 241,728 $23.3M 0.00% NEW
2787 MCRI MONARCH CASINO & RESORT INC Consumer Cyclical 243,213 $23.3M 0.00% NEW
2788 LFST LIFESTANCE HEALTH GROUP INC Healthcare 3,305,412 $23.3M 0.00% NEW
2789 RNG RINGCENTRAL INC Technology 804,194 $23.2M 0.00% NEW
2790 MLYS MINERALYS THERAPEUTICS INC Healthcare 639,507 $23.2M 0.00% NEW
2791 RIVN RIVIAN AUTOMOTIVE INC Consumer Cyclical 18,452,000 $23.2M 0.00% NEW
2792 SCHZ SCHWAB STRATEGIC TR 991,763 $23.2M 0.00% NEW
2793 RWX SPDR INDEX SHS FDS 827,651 $23.2M 0.00% NEW
2794 IWX ISHARES TR 252,202 $23.2M 0.00% NEW
2795 RXRX RECURSION PHARMACEUTICALS IN Healthcare 5,657,578 $23.1M 0.00% NEW
2796 EXI ISHARES TR 131,933 $23.1M 0.00% NEW
2797 BANR BANNER CORP Financial Services 369,120 $23.1M 0.00% NEW
2798 UHAL.B U HAUL HOLDING COMPANY Industrials 494,365 $23.1M 0.00% NEW
2799 DHT DHT HOLDINGS INC Energy 1,892,149 $23.1M 0.00% NEW
2800 XNCR XENCOR INC Healthcare 1,508,727 $23.1M 0.00% NEW
2801 PVLA PALVELLA THERAPEUTICS INC NE Healthcare 220,662 $23.1M 0.00% NEW
2802 BNL BROADSTONE NET LEASE INC Real Estate 1,328,533 $23.1M 0.00% NEW
2803 DCH AMERICAN AXLE & MFG HLDGS IN Industrials 3,597,018 $23.1M 0.00% NEW
2804 ZD ZIFF DAVIS INC Communication Services 655,670 $23.0M 0.00% NEW
2805 SBCF SEACOAST BKG CORP FLA Financial Services 733,430 $23.0M 0.00% NEW
2806 DGT SPDR SERIES TRUST 137,833 $23.0M 0.00% NEW
2807 TAN INVESCO EXCH TRADED FD TR II 466,869 $22.9M 0.00% NEW
2808 SCHC SCHWAB STRATEGIC TR 503,328 $22.9M 0.00% NEW
2809 EVIM MORGAN STANLEY ETF TRUST 431,796 $22.9M 0.00% NEW
2810 KIO KKR INCOME OPPORTUNITIES FD Financial Services 1,976,253 $22.9M 0.00% NEW
2811 FLKR FRANKLIN TEMPLETON ETF TR 714,615 $22.9M 0.00% NEW
2812 SDHY PGIM SHORT DUR HIG YLD OPP F Financial Services 1,390,895 $22.9M 0.00% NEW
2813 RFV INVESCO EXCHANGE TRADED FD T 178,393 $22.8M 0.00% NEW
2814 OGN ORGANON & CO Healthcare 3,179,142 $22.8M 0.00% NEW
2815 UBER UBER TECHNOLOGIES INC Technology 17,562,000 $22.8M 0.00% NEW
2816 GIII G III APPAREL GROUP LTD Consumer Cyclical 786,264 $22.8M 0.00% NEW
2817 CASH PATHWARD FINANCIAL INC Financial Services 320,213 $22.7M 0.00% NEW
2818 GBX GREENBRIER COS INC Industrials 486,053 $22.7M 0.00% NEW
2819 CWI SPDR INDEX SHS FDS 631,653 $22.7M 0.00% NEW
2820 IBTO ISHARES TR 923,089 $22.7M 0.00% NEW
2821 UCTT ULTRA CLEAN HLDGS INC Technology 894,423 $22.7M 0.00% NEW
2822 CGON CG ONCOLOGY INC Healthcare 545,019 $22.6M 0.00% NEW
2823 ENVX ENOVIX CORPORATION Industrials 3,092,556 $22.6M 0.00% NEW
2824 SNDX SYNDAX PHARMACEUTICALS INC Healthcare 1,075,501 $22.6M 0.00% NEW
2825 EZPW EZCORP INC Financial Services 1,161,627 $22.6M 0.00% NEW
2826 GLO CLOUGH GLOBAL OPPORTUNITIES Financial Services 3,983,568 $22.5M 0.00% NEW
2827 WBI WATERBRIDGE INFRASTRUCTURE L Energy 1,125,667 $22.5M 0.00% NEW
2828 FCF FIRST COMWLTH FINL CORP PA Financial Services 1,334,894 $22.5M 0.00% NEW
2829 GO GROCERY OUTLET HLDG CORP Consumer Defensive 2,228,279 $22.5M 0.00% NEW
2830 IGHG PROSHARES TR 286,367 $22.5M 0.00% NEW
2831 UAA UNDER ARMOUR INC Consumer Cyclical 4,518,556 $22.5M 0.00% NEW
2832 QQQI NEOS ETF TRUST 416,793 $22.4M 0.00% NEW
2833 EPAC ENERPAC TOOL GROUP CORP Industrials 586,840 $22.4M 0.00% NEW
2834 TFPM TRIPLE FLAG PRECIOUS METAL Basic Materials 674,292 $22.4M 0.00% NEW
2835 NBR NABORS INDUSTRIES LTD Energy 412,241 $22.4M 0.00% NEW
2836 QCLN FIRST TR EXCHANGE-TRADED FD 501,345 $22.4M 0.00% NEW
2837 FIGS FIGS INC Consumer Cyclical 1,967,903 $22.4M 0.00% NEW
2838 SAM BOSTON BEER INC Consumer Defensive 114,300 $22.3M 0.00% NEW
2839 KSPI KASPI KZ JSC Technology 285,138 $22.3M 0.00% NEW
2840 MXL MAXLINEAR INC Technology 1,277,270 $22.3M 0.00% NEW
2841 NBTB NBT BANCORP INC Financial Services 535,913 $22.3M 0.00% NEW
2842 ANIP ANI PHARMACEUTICALS INC Healthcare 281,427 $22.2M 0.00% NEW
2843 CLMT CALUMET INC Energy 1,117,977 $22.2M 0.00% NEW
2844 MYGN MYRIAD GENETICS INC Healthcare 3,607,789 $22.2M 0.00% NEW
2845 TV GRUPO TELEVISA S A B Communication Services 7,623,020 $22.2M 0.00% NEW
2846 AMPX AMPRIUS TECHNOLOGIES INC Industrials 2,809,821 $22.2M 0.00% NEW
2847 DGRS WISDOMTREE TR 446,507 $22.2M 0.00% NEW
2848 FMDE FIDELITY COVINGTON TRUST 608,154 $22.1M 0.00% NEW
2849 LC LENDINGCLUB CORP Financial Services 1,165,614 $22.1M 0.00% NEW
2850 MBLY MOBILEYE GLOBAL INC Consumer Cyclical 2,111,592 $22.0M 0.00% NEW
2851 WGO WINNEBAGO INDS INC Consumer Cyclical 542,449 $22.0M 0.00% NEW
2852 SEADRILL LTD 634,428 $22.0M 0.00% NEW
2853 IDHQ INVESCO EXCH TRADED FD TR II 624,378 $21.9M 0.00% NEW
2854 IMTX IMMATICS N.V Healthcare 2,089,796 $21.9M 0.00% NEW
2855 ISHG ISHARES TR 291,547 $21.9M 0.00% NEW
2856 GSHD GOOSEHEAD INS INC Financial Services 297,416 $21.9M 0.00% NEW
2857 PGF INVESCO EXCHANGE TRADED FD T 1,548,101 $21.9M 0.00% NEW
2858 BCH BANCO DE CHILE Financial Services 576,017 $21.9M 0.00% NEW
2859 GENI GENIUS SPORTS LIMITED Communication Services 1,984,894 $21.9M 0.00% NEW
2860 SYSB ISHARES TR 243,617 $21.9M 0.00% NEW
2861 GGN GAMCO GLOBAL GOLD NAT RES & Financial Services 4,231,974 $21.8M 0.00% NEW
2862 IAG IAMGOLD CORP Basic Materials 1,322,664 $21.8M 0.00% NEW
2863 SMOT VANECK ETF TRUST 602,220 $21.8M 0.00% NEW
2864 HTFL HEARTFLOW INC Healthcare 745,924 $21.7M 0.00% NEW
2865 GEMI GEMINI SPACE STA INC Financial Services 2,190,611 $21.7M 0.00% NEW
2866 PD PAGERDUTY INC Technology 1,656,960 $21.7M 0.00% NEW
2867 WEA WESTERN ASSET PREMIER BD FD Financial Services 1,967,120 $21.7M 0.00% NEW
2868 ACHC ACADIA HEALTHCARE COMPANY IN Healthcare 1,528,476 $21.7M 0.00% NEW
2869 ISCV ISHARES TR 316,489 $21.7M 0.00% NEW
2870 WTPI WISDOMTREE TR 656,531 $21.7M 0.00% NEW
2871 JIRE J P MORGAN EXCHANGE TRADED F 288,842 $21.6M 0.00% NEW
2872 PZZA PAPA JOHNS INTL INC Consumer Cyclical 560,509 $21.6M 0.00% NEW
2873 JUST GOLDMAN SACHS ETF TR 222,824 $21.5M 0.00% NEW
2874 GLP GLOBAL PARTNERS LP Energy 513,420 $21.5M 0.00% NEW
2875 ROCK GIBRALTAR INDS INC Industrials 434,234 $21.5M 0.00% NEW
2876 STAA STAAR SURGICAL CO Healthcare 928,914 $21.4M 0.00% NEW
2877 GGB GERDAU SA Basic Materials 5,802,585 $21.4M 0.00% NEW
2878 XBMNX BLACKROCK 2037 MUNICIPAL TAR 817,422 $21.4M 0.00% NEW
2879 BVXB ITAU UNIBANCO HLDG S A 2,980,623 $21.3M 0.00% NEW
2880 KYMR KYMERA THERAPEUTICS INC Healthcare 274,018 $21.3M 0.00% NEW
2881 CVI CVR ENERGY INC Energy 836,615 $21.3M 0.00% NEW
2882 GRPN GROUPON INC Communication Services 1,208,443 $21.3M 0.00% NEW
2883 TAXF AMERICAN CENTY ETF TR 422,323 $21.3M 0.00% NEW
2884 MAREX GROUP PLC 554,490 $21.3M 0.00% NEW
2885 ADAM NAT RES FD INC 978,343 $21.3M 0.00% NEW
2886 XERS XERIS BIOPHARMA HOLDINGS INC Healthcare 2,707,783 $21.3M 0.00% NEW
2887 PRKS UNITED PARKS & RESORTS INC Consumer Cyclical 585,370 $21.2M 0.00% NEW
2888 SDGR SCHRODINGER INC Healthcare 1,186,698 $21.2M 0.00% NEW
2889 RSPG INVESCO EXCHANGE TRADED FD T 266,315 $21.2M 0.00% NEW
2890 TDTT FLEXSHARES TR 879,737 $21.2M 0.00% NEW
2891 CUZ COUSINS PPTYS INC Real Estate 820,067 $21.1M 0.00% NEW
2892 NVRI ENVIRI CORP Industrials 1,177,309 $21.1M 0.00% NEW
2893 SKE SKEENA RES LTD NEW Basic Materials 888,954 $21.1M 0.00% NEW
2894 DEI DOUGLAS EMMETT INC Real Estate 1,919,226 $21.1M 0.00% NEW
2895 BLMN BLOOMIN BRANDS INC Consumer Cyclical 3,418,459 $21.1M 0.00% NEW
2896 SPLB SPDR SERIES TRUST 933,608 $21.1M 0.00% NEW
2897 UNF UNIFIRST CORP MASS Industrials 109,236 $21.1M 0.00% NEW
2898 SMIN ISHARES TR 301,001 $21.0M 0.00% NEW
2899 SBLK STAR BULK CARRIERS CORP. Industrials 1,094,404 $21.0M 0.00% NEW
2900 HCXY HERCULES CAPITAL INC Financial Services 1,114,173 $21.0M 0.00% NEW
2901 BANK OF NT BUTTERFIELD&SON L 420,255 $20.9M 0.00% NEW
2902 NTLA INTELLIA THERAPEUTICS INC Healthcare 2,327,852 $20.9M 0.00% NEW
2903 PAM PAMPA ENERGIA S A Utilities 236,359 $20.9M 0.00% NEW
2904 CNA CNA FINL CORP Financial Services 437,239 $20.9M 0.00% NEW
2905 FDIS FIDELITY COVINGTON TRUST 204,012 $20.8M 0.00% NEW
2906 ELME ELME COMMUNITIES Real Estate 1,197,043 $20.8M 0.00% NEW
2907 NORDIC AMERICAN TANKERS LIMI 6,054,191 $20.8M 0.00% NEW
2908 STRA STRATEGIC ED INC Consumer Defensive 259,422 $20.8M 0.00% NEW
2909 HYBB ISHARES TR 439,046 $20.7M 0.00% NEW
2910 FEMS FIRST TR EXCH TRD ALPHDX FD 491,391 $20.7M 0.00% NEW
2911 HYDB ISHARES TR 436,471 $20.7M 0.00% NEW
2912 SNDL SNDL INC Healthcare 12,417,045 $20.6M 0.00% NEW
2913 JPIN J P MORGAN EXCHANGE TRADED F 301,199 $20.5M 0.00% NEW
2914 RWO SPDR INDEX SHS FDS 454,665 $20.5M 0.00% NEW
2915 YORW YORK WTR CO Utilities 642,716 $20.5M 0.00% NEW
2916 ARR ARMOUR RESIDENTIAL REIT INC Real Estate 1,155,245 $20.4M 0.00% NEW
2917 RIV RIVERNORTH OPPORTUNITIES FD Financial Services 1,732,561 $20.3M 0.00% NEW
2918 FNGU BANK MONTREAL QUE Financial Services 804,852 $20.3M 0.00% NEW
2919 QDF FLEXSHARES TR 251,322 $20.3M 0.00% NEW
2920 AMSC AMERICAN SUPERCONDUCTOR CORP Industrials 705,442 $20.3M 0.00% NEW
2921 GSG ISHARES S&P GSCI COMMODITY- Financial Services 879,534 $20.3M 0.00% NEW
2922 PCI PGIM ETF TR 400,000 $20.3M 0.00% NEW
2923 RSPH INVESCO EXCHANGE TRADED FD T 635,983 $20.3M 0.00% NEW
2924 BEAM BEAM THERAPEUTICS INC Healthcare 729,400 $20.2M 0.00% NEW
2925 RLTY COHEN & STEERS REAL ESTATE O Financial Services 1,373,956 $20.2M 0.00% NEW
2926 SGHC SUPER GROUP SGHC LIMITED Consumer Cyclical 1,689,985 $20.2M 0.00% NEW
2927 NPKI NPK INTERNATIONAL INC Energy 1,693,062 $20.2M 0.00% NEW
2928 BLBD BLUE BIRD CORP Consumer Cyclical 428,634 $20.1M 0.00% NEW
2929 DNLI DENALI THERAPEUTICS INC Healthcare 1,219,854 $20.1M 0.00% NEW
2930 UI2 KEMPER CORP 496,492 $20.1M 0.00% NEW
2931 PPTA PERPETUA RESOURCES CORP Basic Materials 831,081 $20.1M 0.00% NEW
2932 BBAI BIGBEAR AI HLDGS INC Technology 3,718,024 $20.1M 0.00% NEW
2933 XHE SPDR SERIES TRUST 227,403 $20.1M 0.00% NEW
2934 COHU COHU INC Technology 860,196 $20.0M 0.00% NEW
2935 INOD INNODATA INC Technology 392,800 $20.0M 0.00% NEW
2936 DFAC DIMENSIONAL ETF TRUST 505,370 $20.0M 0.00% NEW
2937 PFBC PREFERRED BK LOS ANGELES CA Financial Services 211,840 $20.0M 0.00% NEW
2938 FUTY FIDELITY COVINGTON TRUST 361,941 $20.0M 0.00% NEW
2939 IBOC INTERNATIONAL BANCSHARES COR Financial Services 300,642 $20.0M 0.00% NEW
2940 NDMO NUVEEN DYNAMIC MUN OPPORTUNI Financial Services 1,981,391 $20.0M 0.00% NEW
2941 MFIC MIDCAP FINANCIAL INVSTMNT CO Financial Services 1,743,681 $19.9M 0.00% NEW
2942 JMIA JUMIA TECHNOLOGIES AG Consumer Cyclical 1,595,217 $19.9M 0.00% NEW
2943 KIDS ORTHOPEDIATRICS CORP Healthcare 1,116,141 $19.8M 0.00% NEW
2944 FTF FRANKLIN LTD DURATION INCOME Financial Services 3,218,111 $19.8M 0.00% NEW
2945 VYX NCR VOYIX CORPORATION Technology 1,938,547 $19.8M 0.00% NEW
2946 PROK PROKIDNEY CORP Healthcare 8,817,001 $19.8M 0.00% NEW
2947 HYGV FLEXSHARES TR 484,214 $19.7M 0.00% NEW
2948 ATAI ATAI BECKLEY NV Healthcare 4,820,973 $19.7M 0.00% NEW
2949 PWP PERELLA WEINBERG PARTNERS Financial Services 1,137,265 $19.7M 0.00% NEW
2950 CWEN CLEARWAY ENERGY INC Utilities 625,958 $19.7M 0.00% NEW
2951 AIN ALBANY INTL CORP Consumer Cyclical 387,380 $19.6M 0.00% NEW
2952 VNM VANECK ETF TRUST 1,027,395 $19.6M 0.00% NEW
2953 WBTN WEBTOON ENTMT INC Technology 1,504,375 $19.6M 0.00% NEW
2954 MOO VANECK ETF TRUST 269,164 $19.6M 0.00% NEW
2955 KOD KODIAK SCIENCES INC Healthcare 699,772 $19.6M 0.00% NEW
2956 HQL ABRDN LIFE SCIENCES INVESTOR Financial Services 1,164,826 $19.5M 0.00% NEW
2957 SUSC ISHARES TR 835,545 $19.5M 0.00% NEW
2958 PAXS PIMCO ACCESS INCOME FUND Financial Services 1,276,072 $19.5M 0.00% NEW
2959 DOO BRP INC Consumer Cyclical 275,637 $19.5M 0.00% NEW
2960 RSPU INVESCO EXCHANGE TRADED FD T 260,293 $19.5M 0.00% NEW
2961 PEB PEBBLEBROOK HOTEL TR Real Estate 1,716,740 $19.4M 0.00% NEW
2962 HOPE HOPE BANCORP INC Financial Services 1,771,271 $19.4M 0.00% NEW
2963 FENI FIDELITY COVINGTON TRUST 530,566 $19.4M 0.00% NEW
2964 UVV UNIVERSAL CORP VA Consumer Defensive 366,906 $19.4M 0.00% NEW
2965 GNL GLOBAL NET LEASE INC Real Estate 2,250,456 $19.4M 0.00% NEW
2966 PBI PITNEY BOWES INC Industrials 1,830,152 $19.3M 0.00% NEW
2967 FTXO FIRST TR EXCHANGE TRADED FD 511,176 $19.3M 0.00% NEW
2968 SHYD VANECK ETF TRUST 842,220 $19.3M 0.00% NEW
2969 EVLV EVOLV TECHNOLOGIES HLDNGS IN Industrials 2,694,684 $19.3M 0.00% NEW
2970 SA SEABRIDGE GOLD INC Basic Materials 650,841 $19.3M 0.00% NEW
2971 ALIT ALIGHT INC Technology 9,866,629 $19.2M 0.00% NEW
2972 ALEX ALEXANDER & BALDWIN INC NEW 932,157 $19.2M 0.00% NEW
2973 ASTE ASTEC INDS INC Industrials 443,563 $19.2M 0.00% NEW
2974 STOT SSGA ACTIVE TR 405,823 $19.2M 0.00% NEW
2975 XFOFX COHEN & STEERS CLOSED-END OP 1,452,926 $19.2M 0.00% NEW
2976 PENG PENGUIN SOLUTIONS INC Technology 979,737 $19.2M 0.00% NEW
2977 UVE UNIVERSAL INS HLDGS INC Financial Services 566,785 $19.2M 0.00% NEW
2978 CFO VICTORY PORTFOLIOS II 259,245 $19.1M 0.00% NEW
2979 PRK PARK NATL CORP Financial Services 125,623 $19.1M 0.00% NEW
2980 HAM HARMONY GOLD MINING CO LTD 959,380 $19.1M 0.00% NEW
2981 PBD INVESCO EXCH TRADED FD TR II 1,187,100 $19.1M 0.00% NEW
2982 MODL VICTORY PORTFOLIOS II 401,586 $19.1M 0.00% NEW
2983 IBTM ISHARES TR 826,446 $19.1M 0.00% NEW
2984 CRAI CRA INTL INC Industrials 94,998 $19.1M 0.00% NEW
2985 WLY WILEY JOHN & SONS INC Communication Services 621,784 $19.0M 0.00% NEW
2986 NOMAD FOODS LTD 1,520,507 $19.0M 0.00% NEW
2987 BUI BLACKROCK UTILS INFRASTRUCTU Financial Services 739,858 $19.0M 0.00% NEW
2988 NCV VIRTUS CONVERTIBLE & INCOME Financial Services 1,254,551 $19.0M 0.00% NEW
2989 PFSI PENNYMAC FINL SVCS INC NEW Financial Services 144,092 $19.0M 0.00% NEW
2990 NRK NUVEEN NEW YORK AMT QLT MUNI Financial Services 1,882,329 $19.0M 0.00% NEW
2991 IHAK ISHARES TR 394,121 $19.0M 0.00% NEW
2992 ON 0.5 03/01/29 ON SEMICONDUCTOR CORP 20,001,000 $18.9M 0.00% NEW
2993 ARLO ARLO TECHNOLOGIES INC Industrials 1,350,487 $18.9M 0.00% NEW
2994 BBAX J P MORGAN EXCHANGE TRADED F 335,577 $18.9M 0.00% NEW
2995 ARI APOLLO COML REAL EST FIN INC Real Estate 1,950,734 $18.9M 0.00% NEW
2996 LIT GLOBAL X FDS 291,026 $18.9M 0.00% NEW
2997 USA LIBERTY ALL STAR EQUITY FD Financial Services 3,005,226 $18.9M 0.00% NEW
2998 NRC NATIONAL RESH CORP Healthcare 1,003,709 $18.8M 0.00% NEW
2999 ICFI ICF INTL INC Industrials 220,635 $18.8M 0.00% NEW
3000 EPOL ISHARES TR 534,227 $18.8M 0.00% NEW
3001 METC RAMACO RES INC Energy 1,041,733 $18.8M 0.00% NEW
3002 1B2 BITFARMS LTD 7,974,858 $18.7M 0.00% NEW
3003 XMYDX BLACKROCK MUNIYIELD FD INC 1,784,936 $18.7M 0.00% NEW
3004 SBET SHARPLINK GAMING INC Financial Services 2,091,194 $18.7M 0.00% NEW
3005 LZB LA Z BOY INC Consumer Cyclical 501,516 $18.7M 0.00% NEW
3006 NAMS NEWAMSTERDAM PHARMA COMPANY Healthcare 532,803 $18.7M 0.00% NEW
3007 REX REX AMERICAN RES CORP Basic Materials 577,406 $18.7M 0.00% NEW
3008 ADPT ADAPTIVE BIOTECHNOLOGIES COR Healthcare 1,149,082 $18.7M 0.00% NEW
3009 FLDR FIDELITY MERRIMACK STR TR 371,438 $18.7M 0.00% NEW
3010 UGR ULTRAPAR PARTICIPACOES SA 4,947,134 $18.7M 0.00% NEW
3011 WERN WERNER ENTERPRISES INC Industrials 621,431 $18.6M 0.00% NEW
3012 IOSP INNOSPEC INC Basic Materials 243,535 $18.6M 0.00% NEW
3013 SDIV GLOBAL X FDS 775,126 $18.6M 0.00% NEW
3014 TALO TALOS ENERGY INC Energy 1,689,320 $18.6M 0.00% NEW
3015 TRMK TRUSTMARK CORP Financial Services 477,472 $18.6M 0.00% NEW
3016 PRN INVESCO EXCHANGE TRADED FD T 105,850 $18.5M 0.00% NEW
3017 VERX VERTEX INC Technology 924,888 $18.5M 0.00% NEW
3018 EWX SPDR INDEX SHS FDS 281,308 $18.5M 0.00% NEW
3019 CNMD CONMED CORP Healthcare 454,849 $18.5M 0.00% NEW
3020 TEI TEMPLETON EMERGING MKTS INCO Financial Services 2,860,983 $18.5M 0.00% NEW
3021 TGB TASEKO MINES LTD Basic Materials 3,248,900 $18.4M 0.00% NEW
3022 PALL ABRDN PALLADIUM ETF TRUST Financial Services 126,413 $18.4M 0.00% NEW
3023 TY TRI CONTL CORP Financial Services 562,413 $18.4M 0.00% NEW
3024 PUMP PROPETRO HLDG CORP Energy 1,928,080 $18.3M 0.00% NEW
3025 BATRK ATLANTA BRAVES HLDGS INC Communication Services 464,600 $18.3M 0.00% NEW
3026 SUZ SUZANO S A Basic Materials 1,955,831 $18.3M 0.00% NEW
3027 DMBS DOUBLELINE ETF TRUST 367,871 $18.3M 0.00% NEW
3028 FJP FIRST TR EXCH TRD ALPHDX FD 271,912 $18.3M 0.00% NEW
3029 SLP SIMULATIONS PLUS INC Healthcare 1,000,149 $18.2M 0.00% NEW
3030 NGVT INGEVITY CORP Basic Materials 307,969 $18.2M 0.00% NEW
3031 GSBD GOLDMAN SACHS BDC INC Financial Services 1,957,343 $18.2M 0.00% NEW
3032 NHI NATIONAL HEALTH INVS INC Real Estate 237,569 $18.1M 0.00% NEW
3033 RTO RENTOKIL INITIAL PLC Industrials 615,281 $18.1M 0.00% NEW
3034 GARP ISHARES TR 266,021 $18.1M 0.00% NEW
3035 MUX MCEWEN INC. Basic Materials 978,533 $18.1M 0.00% NEW
3036 AMN AMN HEALTHCARE SVCS INC Healthcare 1,148,548 $18.1M 0.00% NEW
3037 BHE BENCHMARK ELECTRS INC Technology 423,203 $18.1M 0.00% NEW
3038 ADEA ADEIA INC Technology 1,048,703 $18.1M 0.00% NEW
3039 AAT AMERICAN ASSETS TR INC Real Estate 955,303 $18.1M 0.00% NEW
3040 PTF INVESCO EXCHANGE TRADED FD T 236,107 $18.1M 0.00% NEW
3041 SHC SOTERA HEALTH CO Healthcare 1,023,352 $18.1M 0.00% NEW
3042 FIVN FIVE9 INC Technology 900,301 $18.1M 0.00% NEW
3043 PJX PETROLEO BRASILEIRO SA PETRO 1,598,802 $18.0M 0.00% NEW
3044 REM ISHARES TR 810,199 $18.0M 0.00% NEW
3045 LIVN LIVANOVA PLC Healthcare 291,459 $17.9M 0.00% NEW
3046 ZIM INTEGRATED SHIPPING SERV 842,665 $17.9M 0.00% NEW
3047 SMLR SEMLER SCIENTIFIC INC 1,168,043 $17.9M 0.00% NEW
3048 HLIT HARMONIC INC Technology 1,805,488 $17.9M 0.00% NEW
3049 RXI ISHARES TR 86,909 $17.8M 0.00% NEW
3050 EATON VANCE TAX-MANAGED GLOB 1,933,376 $17.8M 0.00% NEW
3051 DEC DIVERSIFIED ENERGY CO Energy 1,230,900 $17.8M 0.00% NEW
3052 REAL THE REALREAL INC Consumer Cyclical 1,125,737 $17.8M 0.00% NEW
3053 GPRE GREEN PLAINS INC Basic Materials 1,811,665 $17.8M 0.00% NEW
3054 NXE NEXGEN ENERGY LTD Energy 1,928,115 $17.7M 0.00% NEW
3055 KXI ISHARES TR 273,863 $17.7M 0.00% NEW
3056 CLOU GLOBAL X FDS 782,490 $17.7M 0.00% NEW
3057 THRM GENTHERM INC Consumer Cyclical 486,123 $17.7M 0.00% NEW
3058 NSSC NAPCO SEC TECHNOLOGIES INC Industrials 423,516 $17.7M 0.00% NEW
3059 SGRY SURGERY PARTNERS INC Healthcare 1,140,803 $17.6M 0.00% NEW
3060 CECO CECO ENVIRONMENTAL CORP Industrials 294,115 $17.6M 0.00% NEW
3061 ANDE ANDERSONS INC Consumer Defensive 330,766 $17.6M 0.00% NEW
3062 BUSE FIRST BUSEY CORP Financial Services 736,628 $17.5M 0.00% NEW
3063 IHS IHS HOLDING LIMITED Communication Services 2,347,611 $17.5M 0.00% NEW
3064 NANR SPDR INDEX SHS FDS 257,669 $17.5M 0.00% NEW
3065 PCH POTLATCHDELTIC CORPORATION 439,009 $17.5M 0.00% NEW
3066 TILE INTERFACE INC Consumer Cyclical 621,259 $17.3M 0.00% NEW
3067 PSQ PROSHARES TR 573,654 $17.3M 0.00% NEW
3068 BIT BLACKROCK MULTI SECTOR INC T Financial Services 1,326,419 $17.3M 0.00% NEW
3069 K4F ONESTREAM INC 941,344 $17.3M 0.00% NEW
3070 HSAI HESAI GROUP Consumer Cyclical 769,990 $17.2M 0.00% NEW
3071 FIDU FIDELITY COVINGTON TRUST 209,071 $17.2M 0.00% NEW
3072 CURB CURBLINE PPTYS CORP Real Estate 742,908 $17.2M 0.00% NEW
3073 MTX MINERALS TECHNOLOGIES INC Basic Materials 282,288 $17.2M 0.00% NEW
3074 QURE UNIQURE NV Healthcare 716,927 $17.2M 0.00% NEW
3075 CCCC C4 THERAPEUTICS INC Healthcare 8,981,662 $17.2M 0.00% NEW
3076 PBP INVESCO EXCHANGE TRADED FD T 750,569 $17.1M 0.00% NEW
3077 MCW MISTER CAR WASH INC Consumer Cyclical 3,076,976 $17.1M 0.00% NEW
3078 AMRC AMERESCO INC Industrials 583,754 $17.1M 0.00% NEW
3079 WSBCO WESBANCO INC Financial Services 514,377 $17.1M 0.00% NEW
3080 RLAY RELAY THERAPEUTICS INC Healthcare 2,018,464 $17.1M 0.00% NEW
3081 FWONA LIBERTY MEDIA CORP DEL Communication Services 190,949 $17.1M 0.00% NEW
3082 NPB NORTHPOINTE BANCSHARES INC. Financial Services 1,016,943 $17.1M 0.00% NEW
3083 PSF COHEN & STEERS SELECT PFD & Financial Services 841,222 $17.1M 0.00% NEW
3084 HGV HILTON GRAND VACATIONS INC Consumer Cyclical 381,188 $17.1M 0.00% NEW
3085 SEB SEABOARD CORP DEL Industrials 3,827 $17.0M 0.00% NEW
3086 GTY GETTY RLTY CORP NEW Real Estate 620,412 $17.0M 0.00% NEW
3087 JRI NUVEEN REAL ASSET INCOME & G Financial Services 1,246,761 $17.0M 0.00% NEW
3088 SEZL SEZZLE INC Financial Services 267,067 $17.0M 0.00% NEW
3089 FTMA PUTNAM ETF TRUST 1,877,377 $16.9M 0.00% NEW
3090 DIAL COLUMBIA ETF TR I 921,138 $16.9M 0.00% NEW
3091 CAPR CAPRICOR THERAPEUTICS INC Healthcare 585,840 $16.9M 0.00% NEW
3092 HFRO HIGHLAND OPPS & INCOME FD Financial Services 2,822,936 $16.9M 0.00% NEW
3093 LNN LINDSAY CORP Industrials 143,207 $16.9M 0.00% NEW
3094 FLGR FRANKLIN TEMPLETON ETF TR 503,182 $16.9M 0.00% NEW
3095 LMB LIMBACH HLDGS INC Industrials 216,518 $16.9M 0.00% NEW
3096 FDP FRESH DEL MONTE PRODUCE INC Consumer Defensive 472,936 $16.9M 0.00% NEW
3097 PAHC PHIBRO ANIMAL HEALTH CORP Healthcare 447,312 $16.7M 0.00% NEW
3098 DEA EASTERLY GOVT PPTYS INC Real Estate 788,421 $16.7M 0.00% NEW
3099 GCT GIGACLOUD TECHNOLOGY INC Technology 425,045 $16.7M 0.00% NEW
3100 EDD MORGAN STANLEY EMERGING MKTS Financial Services 3,068,940 $16.7M 0.00% NEW
3101 OLMA OLEMA PHARMACEUTICALS INC Healthcare 665,803 $16.6M 0.00% NEW
3102 EOI EATON VANCE ENHANCED EQUITY Financial Services 809,564 $16.6M 0.00% NEW
3103 GON GERON CORP 12,603,418 $16.6M 0.00% NEW
3104 ARKF ARK ETF TR 348,670 $16.6M 0.00% NEW
3105 NWBI NORTHWEST BANCSHARES INC MD Financial Services 1,382,107 $16.6M 0.00% NEW
3106 LAC LITHIUM AMERS CORP NEW Basic Materials 3,799,231 $16.6M 0.00% NEW
3107 PHI PLDT INC Communication Services 759,639 $16.5M 0.00% NEW
3108 STBA S & T BANCORP INC Financial Services 418,692 $16.5M 0.00% NEW
3109 GRBK GREEN BRICK PARTNERS INC Consumer Cyclical 262,785 $16.5M 0.00% NEW
3110 CAM AB ACTIVE ETFS INC 656,016 $16.5M 0.00% NEW
3111 OPP RIVERNORTH DOUBLELINE STRATE Financial Services 2,070,723 $16.5M 0.00% NEW
3112 ZEPP ZEPP HEALTH CORPORATION Technology 610,294 $16.4M 0.00% NEW
3113 UUP INVESCO DB US DLR INDEX TR Financial Services 607,698 $16.4M 0.00% NEW
3114 SRRK SCHOLAR ROCK HLDG CORP Healthcare 372,731 $16.4M 0.00% NEW
3115 SHO SUNSTONE HOTEL INVS INC NEW Real Estate 1,834,913 $16.4M 0.00% NEW
3116 FBNC FIRST BANCORP N C Financial Services 322,910 $16.4M 0.00% NEW
3117 CII BLACKROCK ENHANCED LARGE CAP Financial Services 701,176 $16.4M 0.00% NEW
3118 BJRI BJS RESTAURANTS INC Consumer Cyclical 415,840 $16.4M 0.00% NEW
3119 KW KENNEDY-WILSON HOLDINGS INC Real Estate 1,694,064 $16.4M 0.00% NEW
3120 ZG ZILLOW GROUP INC Communication Services 239,864 $16.4M 0.00% NEW
3121 CIGI COLLIERS INTL GROUP INC Real Estate 111,141 $16.3M 0.00% NEW
3122 LQDA LIQUIDIA CORPORATION Healthcare 473,532 $16.3M 0.00% NEW
3123 VECO VEECO INSTRS INC DEL Technology 571,087 $16.3M 0.00% NEW
3124 BLACKROCK MUNIHOLDINGS QUALI 1,625,906 $16.3M 0.00% NEW
3125 UTEN RBB FD INC 370,114 $16.3M 0.00% NEW
3126 DDOG DATADOG INC Technology 16,340,000 $16.3M 0.00% NEW
3127 VTC VANGUARD SCOTTSDALE FDS 209,180 $16.2M 0.00% NEW
3128 XTL SPDR SERIES TRUST 105,988 $16.2M 0.00% NEW
3129 SPH SUBURBAN PROPANE PARTNERS L Utilities 875,062 $16.2M 0.00% NEW
3130 SMMT SUMMIT THERAPEUTICS INC Healthcare 926,579 $16.2M 0.00% NEW
3131 SSL SASOL LTD Basic Materials 2,486,086 $16.2M 0.00% NEW
3132 CMRE COSTAMARE INC Industrials 1,024,674 $16.2M 0.00% NEW
3133 VIR VIR BIOTECHNOLOGY INC Healthcare 2,679,145 $16.2M 0.00% NEW
3134 LEN/B LENNAR CORP 169,623 $16.1M 0.00% NEW
3135 BRSL BRIGHTSTAR LOTTERY PLC Consumer Cyclical 1,042,034 $16.1M 0.00% NEW
3136 SVXY PROSHARES TR II Financial Services 291,194 $16.1M 0.00% NEW
3137 DLX DELUXE CORP Communication Services 719,456 $16.1M 0.00% NEW
3138 INTR INTER & CO INC Financial Services 1,894,333 $16.1M 0.00% NEW
3139 1RG REV GROUP INC 263,585 $16.0M 0.00% NEW
3140 IFN INDIA FD INC Financial Services 1,168,770 $16.0M 0.00% NEW
3141 FRO FRONTLINE PLC Energy 733,784 $16.0M 0.00% NEW
3142 HYZD WISDOMTREE TR 710,290 $16.0M 0.00% NEW
3143 DBA INVESCO DB MULTI-SECTOR COMM Financial Services 626,077 $16.0M 0.00% NEW
3144 AIV APARTMENT INVT & MGMT CO Real Estate 2,687,760 $16.0M 0.00% NEW
3145 ICHR ICHOR HOLDINGS Technology 865,368 $15.9M 0.00% NEW
3146 BSAC BANCO SANTANDER CHILE NEW Financial Services 511,923 $15.9M 0.00% NEW
3147 JTEK J P MORGAN EXCHANGE TRADED F 176,768 $15.9M 0.00% NEW
3148 TCOM 0.75 06/15/29 TRIP COM GROUP LTD 12,906,000 $15.9M 0.00% NEW
3149 SLVP ISHARES INC 463,875 $15.9M 0.00% NEW
3150 MLKN MILLERKNOLL INC Consumer Cyclical 869,470 $15.9M 0.00% NEW
3151 AMPH AMPHASTAR PHARMACEUTICALS IN Healthcare 591,631 $15.8M 0.00% NEW
3152 DRVN DRIVEN BRANDS HLDGS INC Consumer Cyclical 1,066,484 $15.8M 0.00% NEW
3153 BRZE BRAZE INC Technology 460,885 $15.8M 0.00% NEW
3154 BKLC BNY MELLON ETF TRUST 120,450 $15.8M 0.00% NEW
3155 SRVR PACER FDS TR 549,822 $15.7M 0.00% NEW
3156 GSAT GLOBALSTAR INC Communication Services 257,882 $15.7M 0.00% NEW
3157 BBDO BANCO BRADESCO S A Financial Services 4,725,754 $15.7M 0.00% NEW
3158 PCN PIMCO CORPORATE & INCM STRG Financial Services 1,233,029 $15.7M 0.00% NEW
3159 CVMC MORGAN STANLEY ETF TRUST 244,927 $15.7M 0.00% NEW
3160 EVTC EVERTEC INC Technology 539,746 $15.7M 0.00% NEW
3161 TFIN TRIUMPH FINANCIAL INC Financial Services 250,672 $15.7M 0.00% NEW
3162 ORLA ORLA MNG LTD NEW Basic Materials 1,162,437 $15.7M 0.00% NEW
3163 NMCO NUVEEN MUN CR OPPORTUNITIES Financial Services 1,530,318 $15.7M 0.00% NEW
3164 GHM GRAHAM CORP Industrials 243,402 $15.6M 0.00% NEW
3165 VKQ INVESCO MUNICIPAL TRUST Financial Services 1,614,764 $15.6M 0.00% NEW
3166 RUM RUMBLE INC Technology 2,463,625 $15.6M 0.00% NEW
3167 MBC MASTERBRAND INC Consumer Cyclical 1,405,605 $15.5M 0.00% NEW
3168 GDYN GRID DYNAMICS HLDGS INC Technology 1,716,986 $15.5M 0.00% NEW
3169 JPEM J P MORGAN EXCHANGE TRADED F 254,970 $15.5M 0.00% NEW
3170 BGR BLACKROCK ENERGY & RES TR Financial Services 1,143,311 $15.5M 0.00% NEW
3171 XHR XENIA HOTELS & RESORTS INC Real Estate 1,093,445 $15.5M 0.00% NEW
3172 PRLB PROTO LABS INC Industrials 305,612 $15.5M 0.00% NEW
3173 SGDM SPROTT ETF TRUST 221,718 $15.4M 0.00% NEW
3174 GCC WISDOMTREE TR 728,160 $15.4M 0.00% NEW
3175 TIGR UP FINTECH HLDG LTD Financial Services 1,608,446 $15.4M 0.00% NEW
3176 APEI AMERICAN PUB ED INC Consumer Defensive 406,025 $15.3M 0.00% NEW
3177 AUGO AURA MINERALS INC Basic Materials 303,837 $15.3M 0.00% NEW
3178 PCG 4.25 12/01/27 PG&E CORP 14,889,000 $15.3M 0.00% NEW
3179 BSOL BITWISE SOLANA STAKING ETF Financial Services 932,922 $15.3M 0.00% NEW
3180 MRTN MARTEN TRANS LTD Industrials 1,343,772 $15.3M 0.00% NEW
3181 HYHG PROSHARES TR 236,935 $15.3M 0.00% NEW
3182 LBRDA LIBERTY BROADBAND CORP Communication Services 316,004 $15.3M 0.00% NEW
3183 OUST OUSTER INC Technology 703,440 $15.2M 0.00% NEW
3184 PCG 6 12/01/27 A PG&E CORP 371,154 $15.2M 0.00% NEW
3185 NHC NATIONAL HEALTHCARE CORP Healthcare 110,948 $15.2M 0.00% NEW
3186 EIS* ISHARES INC 138,044 $15.2M 0.00% NEW
3187 TGS TRANSPORTADORA DE GAS SUR Energy 487,494 $15.2M 0.00% NEW
3188 FLTB FIDELITY MERRIMACK STR TR 299,141 $15.2M 0.00% NEW
3189 NBHC NATIONAL BK HLDGS CORP Financial Services 398,516 $15.1M 0.00% NEW
3190 INVX INNOVEX INTERNATIONAL INC Energy 692,580 $15.1M 0.00% NEW
3191 FRHC FREEDOM HLDG CORP NEV Financial Services 124,308 $15.1M 0.00% NEW
3192 IAT ISHARES TR 274,140 $15.1M 0.00% NEW
3193 SPPP SPROTT ASSET MANAGEMENT LP Financial Services 896,321 $15.1M 0.00% NEW
3194 DAVE DAVE INC Technology 68,155 $15.1M 0.00% NEW
3195 CMBS ISHARES TR 306,977 $15.1M 0.00% NEW
3196 NBP NOVABRIDGE BIOSCIENCES Healthcare 3,785,502 $15.1M 0.00% NEW
3197 DYT1 DYNEX CAP INC 1,074,301 $15.1M 0.00% NEW
3198 NCA NUVEEN CALIFORNIA MUNI VLU F Financial Services 1,681,135 $15.0M 0.00% NEW
3199 LGIH LGI HOMES INC Consumer Cyclical 350,103 $15.0M 0.00% NEW
3200 AFFIRM HLDGS INC 13,585,000 $15.0M 0.00% NEW
3201 TBPH THERAVANCE BIOPHARMA INC Healthcare 803,119 $15.0M 0.00% NEW
3202 SCHQ SCHWAB STRATEGIC TR 473,990 $15.0M 0.00% NEW
3203 DAC DANAOS CORPORATION Industrials 159,431 $15.0M 0.00% NEW
3204 GAB GABELLI EQUITY TR INC Financial Services 2,433,594 $15.0M 0.00% NEW
3205 DGII DIGI INTL INC Technology 345,827 $15.0M 0.00% NEW
3206 PEJ INVESCO EXCHANGE TRADED FD T 243,853 $15.0M 0.00% NEW
3207 IQ IQIYI INC Communication Services 7,787,808 $15.0M 0.00% NEW
3208 CTLP CANTALOUPE INC Technology 1,407,841 $15.0M 0.00% NEW
3209 BWG BRANDYWINEGBL GBL INCM OPP F Financial Services 1,784,426 $14.9M 0.00% NEW
3210 USAR USA RARE EARTH INC Basic Materials 1,253,579 $14.9M 0.00% NEW
3211 KRP KIMBELL RTY PARTNERS LP Energy 1,267,043 $14.9M 0.00% NEW
3212 EPU ISHARES TR 205,908 $14.9M 0.00% NEW
3213 DBRG DIGITALBRIDGE GROUP INC Real Estate 970,186 $14.9M 0.00% NEW
3214 PNTG PENNANT GROUP INC Healthcare 528,199 $14.9M 0.00% NEW
3215 SKYT SKYWATER TECHNOLOGY INC Technology 817,827 $14.9M 0.00% NEW
3216 IBMP ISHARES TR 584,924 $14.9M 0.00% NEW
3217 GSL GLOBAL SHIP LEASE INC NEW Industrials 422,760 $14.8M 0.00% NEW
3218 FCT FIRST TR SR FLTG RATE INCOME Financial Services 1,469,664 $14.8M 0.00% NEW
3219 PICK ISHARES INC 287,807 $14.8M 0.00% NEW
3220 XES SPDR SERIES TRUST 180,099 $14.8M 0.00% NEW
3221 JHSC JOHN HANCOCK EXCHANGE TRADED 351,200 $14.7M 0.00% NEW
3222 NFRA FLEXSHARES TR 243,545 $14.7M 0.00% NEW
3223 SCL STEPAN CO Basic Materials 310,346 $14.7M 0.00% NEW
3224 KOMP SPDR SERIES TRUST 246,048 $14.7M 0.00% NEW
3225 MKSI MKS INC. Technology 11,482,000 $14.6M 0.00% NEW
3226 CHI CALAMOS CONV OPPORTUNITIES & Financial Services 1,396,889 $14.6M 0.00% NEW
3227 LILAK LIBERTY LATIN AMERICA LTD Communication Services 1,960,008 $14.6M 0.00% NEW
3228 FRDM EA SERIES TRUST 285,186 $14.6M 0.00% NEW
3229 AKRE PROFESIONALLY MANAGED PORTFO 222,409 $14.6M 0.00% NEW
3230 RLX RLX TECHNOLOGY INC Consumer Defensive 6,250,492 $14.6M 0.00% NEW
3231 AXTI AXT INC Technology 890,629 $14.6M 0.00% NEW
3232 JPSE J P MORGAN EXCHANGE TRADED F 290,788 $14.6M 0.00% NEW
3233 SKWD SKYWARD SPECIALTY INS GROUP Financial Services 284,813 $14.6M 0.00% NEW
3234 FOUR 0.5 08/01/27 SHIFT4 PMTS INC 15,135,000 $14.5M 0.00% NEW
3235 MEIRAGTX HLDGS PLC 1,829,252 $14.5M 0.00% NEW
3236 QQXT FIRST TR EXCHANGE-TRADED FD 146,150 $14.5M 0.00% NEW
3237 BCSF BAIN CAP SPECIALTY FIN INC Financial Services 1,042,834 $14.5M 0.00% NEW
3238 LKFN LAKELAND FINL CORP Financial Services 254,055 $14.5M 0.00% NEW
3239 THS TREEHOUSE FOODS INC 614,354 $14.5M 0.00% NEW
3240 GTM ZOOMINFO TECHNOLOGIES INC Technology 1,424,261 $14.5M 0.00% NEW
3241 RDW REDWIRE CORPORATION Industrials 1,904,911 $14.5M 0.00% NEW
3242 NUEM NUSHARES ETF TR 406,638 $14.5M 0.00% NEW
3243 UTI UNIVERSAL TECHNICAL INST INC Consumer Defensive 553,417 $14.5M 0.00% NEW
3244 RYN RAYONIER INC Real Estate 667,480 $14.5M 0.00% NEW
3245 DAWNGBX DAY ONE BIOPHARMACEUTICALS I 1,550,274 $14.4M 0.00% NEW
3246 VSTM VERASTEM INC Healthcare 1,871,562 $14.4M 0.00% NEW
3247 FUMB FIRST TR EXCH TRADED FD III 720,112 $14.4M 0.00% NEW
3248 KURA KURA ONCOLOGY INC Healthcare 1,389,828 $14.4M 0.00% NEW
3249 JAZZ 3.125 09/15/30 JAZZ INVESTMENTS I LTD 10,849,000 $14.4M 0.00% NEW
3250 GMF SPDR INDEX SHS FDS 104,033 $14.4M 0.00% NEW
3251 FLGB FRANKLIN TEMPLETON ETF TR 427,640 $14.4M 0.00% NEW
3252 CZA INVESCO EXCHANGE TRADED FD T 130,230 $14.4M 0.00% NEW
3253 CENTA CENTRAL GARDEN & PET CO Consumer Defensive 494,052 $14.4M 0.00% NEW
3254 SEM SELECT MED HLDGS CORP Healthcare 966,710 $14.4M 0.00% NEW
3255 FLNG FLEX LNG LTD Energy 575,120 $14.3M 0.00% NEW
3256 COUR COURSERA INC Consumer Defensive 1,948,478 $14.3M 0.00% NEW
3257 ANNX ANNEXON INC Healthcare 2,856,143 $14.3M 0.00% NEW
3258 CHA CHAGEE HLDGS LTD Consumer Defensive 1,231,261 $14.3M 0.00% NEW
3259 EBS EMERGENT BIOSOLUTIONS INC Healthcare 1,157,696 $14.3M 0.00% NEW
3260 THW ABRDN WORLD HEALTHCARE FUND Financial Services 1,116,058 $14.3M 0.00% NEW
3261 HTH HILLTOP HOLDINGS INC Financial Services 420,004 $14.3M 0.00% NEW
3262 FINV FINVOLUTION GROUP Financial Services 2,722,051 $14.2M 0.00% NEW
3263 ATEN A10 NETWORKS INC Technology 804,350 $14.2M 0.00% NEW
3264 XBMEX BLACKROCK HEALTH SCIENCES TR 345,789 $14.2M 0.00% NEW
3265 ECC EAGLE POINT CREDIT COMPANY I Financial Services 2,467,854 $14.2M 0.00% NEW
3266 UPBD UPBOUND GROUP INC Technology 808,377 $14.2M 0.00% NEW
3267 INN SUMMIT HOTEL PPTYS INC Real Estate 2,911,131 $14.2M 0.00% NEW
3268 ASH ASHLAND INC Basic Materials 241,460 $14.2M 0.00% NEW
3269 SPIP SPDR SERIES TRUST 543,864 $14.1M 0.00% NEW
3270 PLYM PLYMOUTH INDL REIT INC 644,989 $14.1M 0.00% NEW
3271 WABC WESTAMERICA BANCORPORATION Financial Services 294,769 $14.1M 0.00% NEW
3272 SVRA SAVARA INC Healthcare 2,337,896 $14.1M 0.00% NEW
3273 AIA ISHARES TR 144,546 $14.1M 0.00% NEW
3274 INMD INMODE LTD Healthcare 959,000 $14.1M 0.00% NEW
3275 CWH CAMPING WORLD HLDGS INC Consumer Cyclical 1,446,835 $14.1M 0.00% NEW
3276 RERE ATRENEW INC Consumer Cyclical 2,651,394 $14.1M 0.00% NEW
3277 VMO INVESCO MUN OPPORTUNITY TR Financial Services 1,467,258 $14.0M 0.00% NEW
3278 AVAH AVEANNA HEALTHCARE HLDGS INC Healthcare 1,718,099 $14.0M 0.00% NEW
3279 DFAT DIMENSIONAL ETF TRUST 235,634 $14.0M 0.00% NEW
3280 HAFC HANMI FINL CORP Financial Services 517,458 $14.0M 0.00% NEW
3281 ECH ISHARES INC 345,671 $14.0M 0.00% NEW
3282 XPRO EXPRO GROUP HOLDINGS NV Energy 1,045,886 $14.0M 0.00% NEW
3283 WS WORTHINGTON STL INC Basic Materials 402,597 $13.9M 0.00% NEW
3284 MATW MATTHEWS INTL CORP Industrials 533,479 $13.9M 0.00% NEW
3285 ECPG ENCORE CAP GROUP INC Financial Services 256,190 $13.9M 0.00% NEW
3286 HLX HELIX ENERGY SOLUTIONS GRP I Energy 2,220,411 $13.9M 0.00% NEW
3287 NTST NETSTREIT CORP Real Estate 789,061 $13.9M 0.00% NEW
3288 MEG MONTROSE ENVIRONMENTAL GROUP Industrials 559,918 $13.9M 0.00% NEW
3289 SHLS SHOALS TECHNOLOGIES GROUP IN Energy 1,632,447 $13.9M 0.00% NEW
3290 CTS CTS CORP Technology 323,252 $13.9M 0.00% NEW
3291 PIO INVESCO EXCH TRADED FD TR II 313,430 $13.8M 0.00% NEW
3292 PPL 2.875 03/15/28 PPL CAP FDG INC 12,607,000 $13.8M 0.00% NEW
3293 PSP INVESCO EXCHANGE TRADED FD T 206,278 $13.8M 0.00% NEW
3294 RCKT ROCKET PHARMACEUTICALS INC Healthcare 3,941,377 $13.8M 0.00% NEW
3295 MXI ISHARES TR 143,089 $13.8M 0.00% NEW
3296 CARS CARS COM INC Consumer Cyclical 1,132,889 $13.8M 0.00% NEW
3297 VIA VIA TRANSN INC Technology 475,695 $13.8M 0.00% NEW
3298 FIZZ NATIONAL BEVERAGE CORP Consumer Defensive 432,692 $13.8M 0.00% NEW
3299 MLAB MESA LABS INC Technology 175,589 $13.8M 0.00% NEW
3300 YSG YATSEN HLDG LTD Consumer Cyclical 3,541,612 $13.8M 0.00% NEW
3301 MQ MARQETA INC Technology 2,899,692 $13.8M 0.00% NEW
3302 MLTX MOONLAKE IMMUNOTHERAPEUTICS Healthcare 1,044,581 $13.8M 0.00% NEW
3303 ARDX ARDELYX INC Healthcare 2,358,806 $13.8M 0.00% NEW
3304 XAWPX ABRDN GLOBAL PREMIER PPTYS F 3,580,888 $13.8M 0.00% NEW
3305 IBHH ISHARES TR 580,552 $13.7M 0.00% NEW
3306 CFFN CAPITOL FED FINL INC Financial Services 2,016,223 $13.7M 0.00% NEW
3307 PSN 2.625 03/01/29 PARSONS CORP DEL 13,345,000 $13.7M 0.00% NEW
3308 EXK ENDEAVOUR SILVER CORP Basic Materials 1,457,902 $13.7M 0.00% NEW
3309 ATRC ATRICURE INC Healthcare 346,116 $13.7M 0.00% NEW
3310 SSTK SHUTTERSTOCK INC Communication Services 716,729 $13.7M 0.00% NEW
3311 PDX PIMCO DYNAMIC INCOME STRATEG Financial Services 728,761 $13.7M 0.00% NEW
3312 IGBH ISHARES U S ETF TR 554,908 $13.7M 0.00% NEW
3313 RMR RMR GROUP INC Real Estate 916,830 $13.7M 0.00% NEW
3314 QUBT QUANTUM COMPUTING INC Technology 1,329,581 $13.6M 0.00% NEW
3315 EEMA ISHARES INC 144,936 $13.6M 0.00% NEW
3316 BCRX BIOCRYST PHARMACEUTICALS INC Healthcare 1,745,563 $13.6M 0.00% NEW
3317 IBTL ISHARES TR 661,495 $13.6M 0.00% NEW
3318 WLDN WILLDAN GROUP INC Industrials 130,933 $13.6M 0.00% NEW
3319 LASR NLIGHT INC Technology 361,769 $13.6M 0.00% NEW
3320 MDIV FIRST TR EXCHANGE TRADED FD 863,206 $13.6M 0.00% NEW
3321 TN1 TENNANT CO 184,116 $13.6M 0.00% NEW
3322 FAN FIRST TR EXCHANGE-TRADED FD 662,451 $13.6M 0.00% NEW
3323 VVX V2X INC Industrials 248,578 $13.6M 0.00% NEW
3324 VIV TELEFONICA BRASIL SA Communication Services 1,141,576 $13.5M 0.00% NEW
3325 MLN VANECK ETF TRUST 771,342 $13.5M 0.00% NEW
3326 DFUV DIMENSIONAL ETF TRUST 290,199 $13.5M 0.00% NEW
3327 SLI STANDARD LITHIUM LTD Basic Materials 3,019,423 $13.5M 0.00% NEW
3328 MATV MATIV HOLDINGS INC Basic Materials 1,109,144 $13.5M 0.00% NEW
3329 SAH SONIC AUTOMOTIVE INC Consumer Cyclical 217,422 $13.4M 0.00% NEW
3330 RFI COHEN & STEERS TOTAL RETURN Financial Services 1,216,880 $13.4M 0.00% NEW
3331 CHYM CHIME FINL INC Financial Services 532,947 $13.4M 0.00% NEW
3332 GSSC GOLDMAN SACHS ETF TR 177,360 $13.4M 0.00% NEW
3333 GLDD GREAT LAKES DREDGE & DOCK CO 1,019,618 $13.4M 0.00% NEW
3334 EMNT PIMCO ETF TR 135,539 $13.4M 0.00% NEW
3335 PGEN PRECIGEN INC Healthcare 3,193,523 $13.3M 0.00% NEW
3336 XHLF BONDBLOXX ETF TRUST 265,482 $13.3M 0.00% NEW
3337 ABR ARBOR REALTY TRUST INC Real Estate 1,719,006 $13.3M 0.00% NEW
3338 SCHL SCHOLASTIC CORP Communication Services 449,856 $13.3M 0.00% NEW
3339 EFC ELLINGTON FINANCIAL INC Real Estate 981,437 $13.3M 0.00% NEW
3340 SLNO SOLENO THERAPEUTICS INC Healthcare 287,639 $13.3M 0.00% NEW
3341 CPZ CALAMOS LNG SHR EQT DYNAMIC Financial Services 910,759 $13.3M 0.00% NEW
3342 BBBY BED BATH & BEYOND INC Consumer Cyclical 2,438,552 $13.3M 0.00% NEW
3343 FTXN FIRST TR EXCHANGE TRADED FD 476,758 $13.3M 0.00% NEW
3344 ADCT ADC THERAPEUTICS SA Healthcare 3,769,743 $13.3M 0.00% NEW
3345 PMT PENNYMAC MTG INVT TR Real Estate 1,060,012 $13.3M 0.00% NEW
3346 XNIEX VIRTUS EQUITY & CONV INCM FD 533,775 $13.3M 0.00% NEW
3347 NTNX NUTANIX INC Technology 13,826,000 $13.3M 0.00% NEW
3348 PWZ INVESCO EXCH TRADED FD TR II 548,762 $13.3M 0.00% NEW
3349 ZROZ PIMCO ETF TR 206,318 $13.3M 0.00% NEW
3350 WMK WEIS MKTS INC Consumer Defensive 206,723 $13.2M 0.00% NEW
3351 MMT MFS MULTIMARKET INCOME TR Financial Services 2,845,731 $13.2M 0.00% NEW
3352 KYIVSTAR GROUP LTD 1,019,404 $13.2M 0.00% NEW
3353 XENE XENON PHARMACEUTICALS INC Healthcare 294,332 $13.2M 0.00% NEW
3354 TRVI TREVI THERAPEUTICS INC Healthcare 1,050,296 $13.1M 0.00% NEW
3355 FNK FIRST TR EXCHANGE-TRADED ALP 236,007 $13.1M 0.00% NEW
3356 ERII ENERGY RECOVERY INC Industrials 973,294 $13.1M 0.00% NEW
3357 XIGDX VOYA GLBL EQTY DIV & PREM OP 2,294,112 $13.1M 0.00% NEW
3358 IRMD IRADIMED CORP Healthcare 134,731 $13.1M 0.00% NEW
3359 PML PIMCO MUN INCOME FD II Financial Services 1,736,960 $13.1M 0.00% NEW
3360 EH EHANG HLDGS LTD Industrials 993,583 $13.1M 0.00% NEW
3361 SPB SPECTRUM BRANDS HLDGS INC NE Consumer Defensive 221,381 $13.1M 0.00% NEW
3362 INCM FRANKLIN TEMPLETON ETF TR 464,961 $13.0M 0.00% NEW
3363 BSMR INVESCO EXCH TRD SLF IDX FD 550,284 $13.0M 0.00% NEW
3364 DLS WISDOMTREE TR 160,714 $13.0M 0.00% NEW
3365 ESPR ESPERION THERAPEUTICS INC NE Healthcare 3,514,227 $13.0M 0.00% NEW
3366 UTL UNITIL CORP Utilities 268,046 $13.0M 0.00% NEW
3367 MSTR STRATEGY INC Technology 15,916,000 $13.0M 0.00% NEW
3368 GVAL CAMBRIA ETF TR 412,217 $13.0M 0.00% NEW
3369 IE IVANHOE ELECTRIC INC Technology 811,335 $13.0M 0.00% NEW
3370 HALO HALOZYME THERAPEUTICS INC Healthcare 9,760,000 $13.0M 0.00% NEW
3371 BLFS BIOLIFE SOLUTIONS INC Healthcare 535,040 $12.9M 0.00% NEW
3372 BF/A BROWN FORMAN CORP 491,526 $12.9M 0.00% NEW
3373 XPEL XPEL INC Consumer Cyclical 258,312 $12.9M 0.00% NEW
3374 EMC GLOBAL X FDS 419,241 $12.9M 0.00% NEW
3375 CSR CENTERSPACE Real Estate 192,429 $12.8M 0.00% NEW
3376 CLOA BLACKROCK ETF TRUST II 247,780 $12.8M 0.00% NEW
3377 ACVA ACV AUCTIONS INC Consumer Cyclical 1,597,489 $12.8M 0.00% NEW
3378 CBRL CRACKER BARREL OLD CTRY STOR Consumer Cyclical 503,811 $12.8M 0.00% NEW
3379 SFIX STITCH FIX INC Consumer Cyclical 2,426,657 $12.7M 0.00% NEW
3380 INDY ISHARES TR 258,207 $12.7M 0.00% NEW
3381 ISSC INNOVATIVE SOLUTIONS & SUPPO Industrials 671,528 $12.7M 0.00% NEW
3382 LPG DORIAN LPG LTD Energy 522,322 $12.7M 0.00% NEW
3383 KNCT INVESCO EXCHANGE TRADED FD T 94,820 $12.7M 0.00% NEW
3384 MVST MICROVAST HOLDINGS INC Industrials 4,530,171 $12.7M 0.00% NEW
3385 RELY REMITLY GLOBAL INC Technology 918,981 $12.7M 0.00% NEW
3386 AVSC AMERICAN CENTY ETF TR 215,629 $12.7M 0.00% NEW
3387 SPGM SPDR INDEX SHS FDS 165,005 $12.7M 0.00% NEW
3388 SHE SPDR SERIES TRUST 95,814 $12.7M 0.00% NEW
3389 GLUE MONTE ROSA THERAPEUTICS INC Healthcare 805,530 $12.6M 0.00% NEW
3390 UWMC UWM HOLDINGS CORPORATION Financial Services 2,882,923 $12.6M 0.00% NEW
3391 TGLS TECNOGLASS INC Basic Materials 250,908 $12.6M 0.00% NEW
3392 FYT FIRST TR EXCHANGE-TRADED ALP 222,587 $12.6M 0.00% NEW
3393 CORPORACION AMER ARPTS S A 485,041 $12.6M 0.00% NEW
3394 CNXN PC CONNECTION INC Technology 218,291 $12.6M 0.00% NEW
3395 HCKT HACKETT GROUP INC Technology 642,156 $12.6M 0.00% NEW
3396 TNGX TANGO THERAPEUTICS INC Healthcare 1,421,794 $12.6M 0.00% NEW
3397 DBAW DBX ETF TR 305,362 $12.6M 0.00% NEW
3398 VSTS VESTIS CORPORATION Industrials 1,885,351 $12.6M 0.00% NEW
3399 BOW BOWHEAD SPECIALTY HLDGS INC Financial Services 440,529 $12.6M 0.00% NEW
3400 SMB VANECK ETF TRUST 722,060 $12.6M 0.00% NEW
3401 BWIN THE BALDWIN INSURANCE GRP IN Financial Services 522,958 $12.6M 0.00% NEW
3402 AOA ISHARES TR 140,004 $12.5M 0.00% NEW
3403 EVN EATON VANCE MUNI INCOME TRUS Financial Services 1,162,890 $12.5M 0.00% NEW
3404 FWONK 2.25 08/15/27 LIBERTY MEDIA CORP DEL 9,875,000 $12.5M 0.00% NEW
3405 IMKTA INGLES MKTS INC Consumer Defensive 182,149 $12.5M 0.00% NEW
3406 VG VENTURE GLOBAL INC Energy 1,828,838 $12.5M 0.00% NEW
3407 QNST QUINSTREET INC Communication Services 867,614 $12.5M 0.00% NEW
3408 GEF.B GREIF INC Industrials 183,864 $12.4M 0.00% NEW
3409 ACT ENACT HLDGS INC Financial Services 313,877 $12.4M 0.00% NEW
3410 MAX MEDIAALPHA INC Communication Services 960,154 $12.4M 0.00% NEW
3411 BOX BOX INC Technology 12,764,000 $12.4M 0.00% NEW
3412 FXF INVESCO CURRENCYSHARES SWISS Financial Services 111,198 $12.4M 0.00% NEW
3413 AGNT EXP WORLD HLDGS INC 1,369,466 $12.4M 0.00% NEW
3414 EWP ISHARES INC 229,825 $12.4M 0.00% NEW
3415 SMLF ISHARES TR 165,378 $12.4M 0.00% NEW
3416 VRTS VIRTUS INVT PARTNERS INC Financial Services 75,900 $12.4M 0.00% NEW
3417 PRSU PURSUIT ATTRACTIONS AND HOSP Industrials 366,828 $12.4M 0.00% NEW
3418 JRS NUVEEN REAL ESTATE INCOME FD Financial Services 1,612,269 $12.3M 0.00% NEW
3419 BZH BEAZER HOMES USA INC Consumer Cyclical 608,828 $12.3M 0.00% NEW
3420 GPN 1.5 03/01/31 GLOBAL PMTS INC 13,745,000 $12.3M 0.00% NEW
3421 BTBT BIT DIGITAL INC Financial Services 6,521,371 $12.3M 0.00% NEW
3422 CATX PERSPECTIVE THERAPEUTICS INC Healthcare 4,474,522 $12.3M 0.00% NEW
3423 IDLV INVESCO EXCH TRADED FD TR II 362,712 $12.3M 0.00% NEW
3424 AEF ABRDN EMERGING MARKETS EX CH Financial Services 1,756,326 $12.3M 0.00% NEW
3425 IIPR INNOVATIVE INDL PPTYS INC Real Estate 259,534 $12.3M 0.00% NEW
3426 AVNS AVANOS MED INC Healthcare 1,094,036 $12.3M 0.00% NEW
3427 XNET XUNLEI LTD Communication Services 1,732,013 $12.3M 0.00% NEW
3428 HCSG HEALTHCARE SVCS GROUP INC Healthcare 642,219 $12.3M 0.00% NEW
3429 BLACKROCK MUN INCOME QUALITY 1,119,344 $12.2M 0.00% NEW
3430 IMAX IMAX CORP Communication Services 330,845 $12.2M 0.00% NEW
3431 GENCO SHIPPING & TRADING LTD 662,771 $12.2M 0.00% NEW
3432 DXPE DXP ENTERPRISES INC Industrials 111,209 $12.2M 0.00% NEW
3433 JSI JANUS DETROIT STR TR 234,527 $12.2M 0.00% NEW
3434 HEEM ISHARES INC 351,014 $12.2M 0.00% NEW
3435 GPOR GULFPORT ENERGY CORP Energy 58,615 $12.2M 0.00% NEW
3436 BLCO BAUSCH PLUS LOMB CORP Healthcare 713,267 $12.2M 0.00% NEW
3437 ENIC ENEL CHILE S.A. Utilities 3,027,873 $12.2M 0.00% NEW
3438 GGUS GOLDMAN SACHS ETF TR 190,991 $12.2M 0.00% NEW
3439 PSCT INVESCO EXCH TRADED FD TR II 214,523 $12.1M 0.00% NEW
3440 HEWJ ISHARES TR 229,868 $12.1M 0.00% NEW
3441 FPXI FIRST TR EXCHANGE TRADED FD 204,281 $12.1M 0.00% NEW
3442 TOWN TOWNEBANK PORTSMOUTH VA Financial Services 361,370 $12.1M 0.00% NEW
3443 XONE BONDBLOXX ETF TRUST 243,110 $12.0M 0.00% NEW
3444 OSW ONESPAWORLD HOLDINGS LIMITED Consumer Cyclical 578,705 $12.0M 0.00% NEW
3445 ISCG ISHARES TR 216,238 $12.0M 0.00% NEW
3446 STK COLUMBIA SELIGM PREM TECH GR Financial Services 325,310 $12.0M 0.00% NEW
3447 NAVI NAVIENT CORPORATION Financial Services 919,723 $12.0M 0.00% NEW
3448 TMP TOMPKINS FINL CORP Financial Services 164,789 $12.0M 0.00% NEW
3449 AGM FEDERAL AGRIC MTG CORP Financial Services 67,963 $11.9M 0.00% NEW
3450 VTOL BRISTOW GROUP INC Energy 325,260 $11.9M 0.00% NEW
3451 PRTA PROTHENA CORP PLC Healthcare 1,246,775 $11.9M 0.00% NEW
3452 UROY URANIUM RTY CORP Energy 3,361,582 $11.9M 0.00% NEW
3453 CPF CENTRAL PAC FINL CORP Financial Services 381,579 $11.9M 0.00% NEW
3454 LBTYK LIBERTY GLOBAL LTD Communication Services 1,075,517 $11.9M 0.00% NEW
3455 BORR DRILLING LTD 2,941,438 $11.9M 0.00% NEW
3456 TBCH TURTLE BEACH CORP Technology 844,541 $11.8M 0.00% NEW
3457 LI LI AUTO INC Consumer Cyclical 11,741,000 $11.8M 0.00% NEW
3458 RPD RAPID7 INC Technology 777,944 $11.8M 0.00% NEW
3459 FGSN F&G ANNUITIES & LIFE INC Financial Services 382,431 $11.8M 0.00% NEW
3460 TBLD THORNBURG INCM BUILDER OPP T Financial Services 586,827 $11.8M 0.00% NEW
3461 PCT PURECYCLE TECHNOLOGIES INC Industrials 1,372,583 $11.8M 0.00% NEW
3462 MNR MACH NATURAL RESOURCES LP Energy 1,067,395 $11.8M 0.00% NEW
3463 IQQQ PROSHARES TR 264,023 $11.7M 0.00% NEW
3464 TITN TITAN MACHY INC Industrials 779,891 $11.7M 0.00% NEW
3465 TDOC TELADOC HEALTH INC Healthcare 1,675,282 $11.7M 0.00% NEW
3466 HERBALIFE LTD 909,551 $11.7M 0.00% NEW
3467 BATRA ATLANTA BRAVES HLDGS INC Communication Services 275,771 $11.7M 0.00% NEW
3468 UFCS UNITED FIRE GROUP INC Financial Services 322,293 $11.7M 0.00% NEW
3469 KBWD INVESCO EXCH TRADED FD TR II 856,832 $11.7M 0.00% NEW
3470 NBH NEUBERGER MUN FD INC Financial Services 1,156,815 $11.7M 0.00% NEW
3471 PRGS 3.5 03/01/30 PROGRESS SOFTWARE CORP 11,576,000 $11.7M 0.00% NEW
3472 EFT EATON VANCE FLTING RATE INC Financial Services 1,035,799 $11.7M 0.00% NEW
3473 ADTN ADTRAN HOLDINGS INC Technology 1,343,547 $11.7M 0.00% NEW
3474 NMAI NUVEEN MULTI ASSET INCOME FU Financial Services 893,107 $11.6M 0.00% NEW
3475 RFG INVESCO EXCHANGE TRADED FD T 221,738 $11.6M 0.00% NEW
3476 MEOH METHANEX CORP Basic Materials 292,664 $11.6M 0.00% NEW
3477 IDT IDT CORP Communication Services 226,835 $11.6M 0.00% NEW
3478 CABO CABLE ONE INC Communication Services 102,872 $11.6M 0.00% NEW
3479 CCB COASTAL FINL CORP WA Financial Services 101,301 $11.6M 0.00% NEW
3480 EFAD PROSHARES TR 278,344 $11.6M 0.00% NEW
3481 STEL STELLAR BANCORP INC Financial Services 374,982 $11.6M 0.00% NEW
3482 BBRE J P MORGAN EXCHANGE TRADED F 125,291 $11.6M 0.00% NEW
3483 COTY COTY INC Consumer Defensive 3,766,172 $11.6M 0.00% NEW
3484 DUK DUKE ENERGY CORP NEW Utilities 11,240,000 $11.6M 0.00% NEW
3485 NIC NICOLET BANKSHARES INC Financial Services 95,370 $11.6M 0.00% NEW
3486 POH3 CARNIVAL PLC 380,140 $11.5M 0.00% NEW
3487 XGLQX CLOUGH GLOBAL EQUITY FD 1,502,804 $11.5M 0.00% NEW
3488 MARA HOLDINGS INC 13,835,000 $11.5M 0.00% NEW
3489 ROOT ROOT INC Financial Services 159,029 $11.5M 0.00% NEW
3490 CENT CENTRAL GARDEN & PET CO Consumer Defensive 357,118 $11.5M 0.00% NEW
3491 INCO COLUMBIA ETF TR II 176,969 $11.5M 0.00% NEW
3492 ATHM AUTOHOME INC Communication Services 514,960 $11.5M 0.00% NEW
3493 HROW HARROW INC Healthcare 233,755 $11.5M 0.00% NEW
3494 NUVB NUVATION BIO INC Healthcare 1,276,128 $11.4M 0.00% NEW
3495 WTTR SELECT WATER SOLUTIONS INC Utilities 1,086,609 $11.4M 0.00% NEW
3496 FXZ FIRST TR EXCHANGE TRADED FD 176,062 $11.4M 0.00% NEW
3497 XMVM INVESCO EXCHANGE TRADED FD T 177,803 $11.4M 0.00% NEW
3498 AVADEL PHARMACEUTICALS PLC 529,074 $11.4M 0.00% NEW
3499 ANGI ANGI INC Communication Services 881,733 $11.4M 0.00% NEW
3500 KLAR KLARNA GROUP PLC Technology 394,305 $11.4M 0.00% NEW
3501 PDFS PDF SOLUTIONS INC Technology 399,222 $11.4M 0.00% NEW
3502 HTD HANCOCK JOHN TAX-ADVANTAGED Financial Services 481,356 $11.4M 0.00% NEW
3503 DCOM DIME CMNTY BANCSHARES INC Financial Services 377,704 $11.4M 0.00% NEW
3504 AQST AQUESTIVE THERAPEUTICS INC Healthcare 1,758,750 $11.4M 0.00% NEW
3505 RCAT RED CAT HLDGS INC Technology 1,431,953 $11.4M 0.00% NEW
3506 GTN.A GRAY MEDIA INC Communication Services 2,338,308 $11.3M 0.00% NEW
3507 KALV KALVISTA PHARMACEUTICALS INC Healthcare 700,228 $11.3M 0.00% NEW
3508 HPS HANCOCK JOHN PFD INCOME FD I Financial Services 783,453 $11.3M 0.00% NEW
3509 DBD DIEBOLD NIXDORF INC Technology 166,275 $11.3M 0.00% NEW
3510 HTHT 3 05/01/26 H WORLD GROUP LTD 8,855,000 $11.3M 0.00% NEW
3511 WK WORKIVA INC Technology 11,438,000 $11.3M 0.00% NEW
3512 IBMQ ISHARES TR 438,509 $11.2M 0.00% NEW
3513 FAX ABRDN ASIA PACIFIC INCOME FU Financial Services 730,698 $11.2M 0.00% NEW
3514 MRVI MARAVAI LIFESCIENCES HLDGS I Healthcare 3,446,802 $11.2M 0.00% NEW
3515 EMBC EMBECTA CORP Healthcare 941,564 $11.2M 0.00% NEW
3516 TK TEEKAY CORPORATION LTD Energy 1,237,196 $11.2M 0.00% NEW
3517 BBH VANECK ETF TRUST 59,010 $11.2M 0.00% NEW
3518 KBWY INVESCO EXCH TRADED FD TR II 723,172 $11.2M 0.00% NEW
3519 BBSI BARRETT BUSINESS SVCS INC Industrials 307,808 $11.1M 0.00% NEW
3520 DOLE DOLE PLC Consumer Defensive 742,987 $11.1M 0.00% NEW
3521 EZA ISHARES INC 160,944 $11.1M 0.00% NEW
3522 SAFT SAFETY INS GROUP INC Financial Services 142,087 $11.1M 0.00% NEW
3523 CODI COMPASS DIVERSIFIED Industrials 2,305,229 $11.1M 0.00% NEW
3524 GCMG GCM GROSVENOR INC Financial Services 975,874 $11.0M 0.00% NEW
3525 BGS B & G FOODS INC NEW Consumer Defensive 2,568,910 $11.0M 0.00% NEW
3526 DFAS DIMENSIONAL ETF TRUST 158,429 $11.0M 0.00% NEW
3527 EDAP EDAP TMS S A Healthcare 3,352,080 $11.0M 0.00% NEW
3528 BHVN BIOHAVEN LTD Healthcare 975,196 $11.0M 0.00% NEW
3529 BSMW INVESCO EXCH TRD SLF IDX FD 438,308 $11.0M 0.00% NEW
3530 MHD BLACKROCK MUNIHOLDINGS FD IN Financial Services 936,680 $11.0M 0.00% NEW
3531 SFL SFL CORPORATION LTD Industrials 1,407,394 $11.0M 0.00% NEW
3532 VSDA VICTORY PORTFOLIOS II 207,870 $11.0M 0.00% NEW
3533 EIG EMPLOYERS HLDGS INC Financial Services 253,954 $11.0M 0.00% NEW
3534 PBE INVESCO EXCHANGE TRADED FD T 133,303 $11.0M 0.00% NEW
3535 EEMS ISHARES INC 162,016 $10.9M 0.00% NEW
3536 EWS ISHARES INC 397,294 $10.9M 0.00% NEW
3537 EXACT SCIENCES CORP 10,658,000 $10.9M 0.00% NEW
3538 FRME FIRST MERCHANTS CORP Financial Services 291,208 $10.9M 0.00% NEW
3539 BSCY INVESCO EXCH TRD SLF IDX FD 518,972 $10.9M 0.00% NEW
3540 VRE VERIS RESIDENTIAL INC Real Estate 732,380 $10.9M 0.00% NEW
3541 DIV GLOBAL X FDS 625,642 $10.8M 0.00% NEW
3542 GRND GRINDR INC Technology 798,403 $10.8M 0.00% NEW
3543 TE T1 ENERGY INC Industrials 9,236,836 $10.8M 0.00% NEW
3544 CET CENTRAL SECS CORP Financial Services 212,816 $10.8M 0.00% NEW
3545 FCAL FIRST TR EXCH TRADED FD III 218,423 $10.8M 0.00% NEW
3546 MESO MESOBLAST LTD Healthcare 596,952 $10.8M 0.00% NEW
3547 HZO MARINEMAX INC Consumer Cyclical 444,263 $10.8M 0.00% NEW
3548 ASTH ASTRANA HEALTH INC Healthcare 433,825 $10.8M 0.00% NEW
3549 SAFE SAFEHOLD INC Real Estate 783,767 $10.7M 0.00% NEW
3550 SNOW SNOWFLAKE INC Technology 7,202,000 $10.7M 0.00% NEW
3551 MAZE MAZE THERAPEUTICS INC Healthcare 258,086 $10.7M 0.00% NEW
3552 XEFRX EATON VANCE SR FLTNG RTE TR 958,312 $10.7M 0.00% NEW
3553 OCUL OCULAR THERAPEUTIX INC Healthcare 879,144 $10.7M 0.00% NEW
3554 XCHYX CALAMOS CONV & HIGH INCOME F 943,356 $10.7M 0.00% NEW
3555 FSTA FIDELITY COVINGTON TRUST 216,362 $10.6M 0.00% NEW
3556 BL BLACKLINE INC Technology 10,095,000 $10.6M 0.00% NEW
3557 HELP CYBIN INC Healthcare 1,299,756 $10.6M 0.00% NEW
3558 NEE 3 03/01/27 NEXTERA ENERGY CAP HLDGS INC 8,560,000 $10.6M 0.00% NEW
3559 CATBUSD ASTRIA THERAPEUTICS INC 810,795 $10.6M 0.00% NEW
3560 FNDB SCHWAB STRATEGIC TR 399,288 $10.6M 0.00% NEW
3561 INGM INGRAM MICRO HLDG CORP Technology 496,379 $10.6M 0.00% NEW
3562 AGGY WISDOMTREE TR 240,177 $10.6M 0.00% NEW
3563 LUNR INTUITIVE MACHINES INC Industrials 651,561 $10.6M 0.00% NEW
3564 NUW NUVEEN AMT-FREE MUN VALUE FD Financial Services 737,245 $10.5M 0.00% NEW
3565 BBAG J P MORGAN EXCHANGE TRADED F 227,109 $10.5M 0.00% NEW
3566 QXO QXO INC Industrials 191,149 $10.5M 0.00% NEW
3567 DFIV DIMENSIONAL ETF TRUST 211,046 $10.5M 0.00% NEW
3568 FISI FINANCIAL INSTNS INC Financial Services 337,488 $10.5M 0.00% NEW
3569 GWX SPDR INDEX SHS FDS 256,950 $10.5M 0.00% NEW
3570 LEGN LEGEND BIOTECH CORP Healthcare 482,550 $10.5M 0.00% NEW
3571 GOLD GOLD COM INC Financial Services 307,442 $10.5M 0.00% NEW
3572 NUS NU SKIN ENTERPRISES INC Consumer Defensive 1,088,155 $10.5M 0.00% NEW
3573 APOG APOGEE ENTERPRISES INC Industrials 287,077 $10.5M 0.00% NEW
3574 EPC EDGEWELL PERS CARE CO Consumer Defensive 612,649 $10.4M 0.00% NEW
3575 ALB 7.25 03/01/27 ALBEMARLE CORP 175,554 $10.4M 0.00% NEW
3576 IWC ISHARES TR 66,004 $10.4M 0.00% NEW
3577 CMCO COLUMBUS MCKINNON CORP N Y Industrials 601,927 $10.4M 0.00% NEW
3578 FSCO FS CREDIT OPPORTUNITIES CORP Financial Services 1,647,077 $10.4M 0.00% NEW
3579 ZVRA ZEVRA THERAPEUTICS INC Healthcare 1,157,913 $10.4M 0.00% NEW
3580 QQQJ INVESCO EXCH TRADED FD TR II 281,512 $10.4M 0.00% NEW
3581 NMFC NEW MTN FIN CORP Financial Services 1,126,025 $10.4M 0.00% NEW
3582 NTGR NETGEAR INC Technology 421,686 $10.3M 0.00% NEW
3583 UTZ UTZ BRANDS INC Consumer Defensive 996,008 $10.3M 0.00% NEW
3584 JSTC TIDAL TRUST I 508,915 $10.3M 0.00% NEW
3585 DRUG BRIGHT MINDS BIOSCIENCES INC Healthcare 132,122 $10.3M 0.00% NEW
3586 BTE BAYTEX ENERGY CORP Energy 3,186,316 $10.3M 0.00% NEW
3587 ACRS ACLARIS THERAPEUTICS INC Healthcare 3,415,390 $10.3M 0.00% NEW
3588 ABCL ABCELLERA BIOLOGICS INC Healthcare 3,001,850 $10.3M 0.00% NEW
3589 NXDT NEXPOINT DIVERSIFIED REL ET Financial Services 2,679,829 $10.3M 0.00% NEW
3590 GRVY GRAVITY CO LTD Technology 177,289 $10.3M 0.00% NEW
3591 AHCO ADAPTHEALTH CORP Healthcare 1,029,324 $10.3M 0.00% NEW
3592 BBUC BROOKFIELD BUSINESS CORP Financial Services 285,373 $10.2M 0.00% NEW
3593 JAZZ 2 06/15/26 JAZZ INVESTMENTS I LTD 8,850,000 $10.2M 0.00% NEW
3594 BTDR BITDEER TECHNOLOGIES GROUP Technology 912,096 $10.2M 0.00% NEW
3595 CMS 3.375 05/01/28 CMS ENERGY CORP 9,550,000 $10.2M 0.00% NEW
3596 CDNA CAREDX INC Healthcare 541,522 $10.2M 0.00% NEW
3597 ALNT ALLIENT INC Technology 189,640 $10.2M 0.00% NEW
3598 SITC SITE CTRS CORP Real Estate 1,584,676 $10.2M 0.00% NEW
3599 BNED BARNES & NOBLE ED INC Consumer Cyclical 1,104,662 $10.2M 0.00% NEW
3600 DINT DAVIS FUNDAMENTAL ETF TR 355,209 $10.1M 0.00% NEW
3601 JAMF JAMF HLDG CORP 778,039 $10.1M 0.00% NEW
3602 MCB METROPOLITAN BK HLDG CORP Financial Services 132,507 $10.1M 0.00% NEW
3603 BILL BILL HOLDINGS INC Technology 11,010,000 $10.1M 0.00% NEW
3604 WSR WHITESTONE REIT Real Estate 727,929 $10.1M 0.00% NEW
3605 IBRX IMMUNITYBIO INC Healthcare 5,106,214 $10.1M 0.00% NEW
3606 TROX TRONOX HOLDINGS PLC Basic Materials 2,423,076 $10.1M 0.00% NEW
3607 FIDELIS INSURANCE HOLDINGS L 516,260 $10.1M 0.00% NEW
3608 LVLN SPDR SERIES TRUST 400,000 $10.1M 0.00% NEW
3609 AUDC AUDIOCODES LTD Technology 1,154,866 $10.1M 0.00% NEW
3610 PCL PGIM ETF TR 200,000 $10.1M 0.00% NEW
3611 NABL N-ABLE INC Technology 1,346,084 $10.1M 0.00% NEW
3612 CMBT CMB.TECH NV Industrials 1,040,573 $10.0M 0.00% NEW
3613 SXC SUNCOKE ENERGY INC Energy 1,392,201 $10.0M 0.00% NEW
3614 EE EXCELERATE ENERGY INC Utilities 357,135 $10.0M 0.00% NEW
3615 BALI BLACKROCK ETF TRUST 315,989 $10.0M 0.00% NEW
3616 ENFR ALPS ETF TR 318,230 $10.0M 0.00% NEW
3617 DCO DUCOMMUN INC DEL Industrials 105,178 $10.0M 0.00% NEW
3618 VOTE TCW ETF TRUST 124,662 $10.0M 0.00% NEW
3619 HPO SERVICE PPTYS TR 5,432,509 $10.0M 0.00% NEW
3620 PSIX POWER SOLUTIONS INTL INC Industrials 174,754 $10.0M 0.00% NEW
3621 IMCR IMMUNOCORE HLDGS PLC Healthcare 287,125 $10.0M 0.00% NEW
3622 TWO TWO HBRS INVT CORP Real Estate 948,967 $10.0M 0.00% NEW
3623 BY BYLINE BANCORP INC Financial Services 341,643 $10.0M 0.00% NEW
3624 GSWO GOLDMAN SACHS ETF TR 172,206 $9.9M 0.00% NEW
3625 ELPC COMPANHIA PARANAENSE DE ENER Utilities 1,043,008 $9.9M 0.00% NEW
3626 AXIA CENTRAIS ELET BRAS SA Utilities 1,080,828 $9.9M 0.00% NEW
3627 SCSC SCANSOURCE INC Technology 252,831 $9.9M 0.00% NEW
3628 JBI JANUS INTERNATIONAL GROUP IN Industrials 1,507,340 $9.9M 0.00% NEW
3629 LAB STANDARD BIOTOOLS INC Healthcare 7,695,678 $9.9M 0.00% NEW
3630 PICB INVESCO EXCH TRADED FD TR II 411,901 $9.8M 0.00% NEW
3631 DJT TRUMP MEDIA & TECHNOLOGY GRO Communication Services 741,804 $9.8M 0.00% NEW
3632 XNXJX NUVEEN NEW JERSEY QULT MUN F 776,533 $9.8M 0.00% NEW
3633 MIAX MIAMI INTL HLDGS INC Financial Services 220,879 $9.8M 0.00% NEW
3634 FA FIRST ADVANTAGE CORP NEW Industrials 673,970 $9.8M 0.00% NEW
3635 IVOL KRANESHARES TRUST 510,980 $9.8M 0.00% NEW
3636 GSGO GOLDMAN SACHS ETF TR 243,451 $9.8M 0.00% NEW
3637 ORIC ORIC PHARMACEUTICALS INC Healthcare 1,194,073 $9.8M 0.00% NEW
3638 SLX VANECK ETF TRUST 114,938 $9.8M 0.00% NEW
3639 PALI PALISADE BIO INC Healthcare 4,142,446 $9.7M 0.00% NEW
3640 EWN ISHARES INC 170,451 $9.7M 0.00% NEW
3641 GOVZUSD ISHARES TR 1,049,456 $9.7M 0.00% NEW
3642 PDM PIEDMONT REALTY TRUST INC Real Estate 1,163,645 $9.7M 0.00% NEW
3643 WEAV WEAVE COMMUNICATIONS INC Technology 1,278,072 $9.7M 0.00% NEW
3644 KBA KRANESHARES TRUST 313,369 $9.7M 0.00% NEW
3645 AOK ISHARES TR 241,151 $9.7M 0.00% NEW
3646 UHAL.B U HAUL HOLDING COMPANY Industrials 191,484 $9.7M 0.00% NEW
3647 EU ENCORE ENERGY CORP Energy 3,887,389 $9.6M 0.00% NEW
3648 MBUU MALIBU BOATS INC Consumer Cyclical 341,342 $9.6M 0.00% NEW
3649 IBEX LTD 251,813 $9.6M 0.00% NEW
3650 IEZ ISHARES TR 460,477 $9.6M 0.00% NEW
3651 ARVN ARVINAS INC Healthcare 810,072 $9.6M 0.00% NEW
3652 FOXF FOX FACTORY HLDG CORP Consumer Cyclical 561,416 $9.6M 0.00% NEW
3653 JGH NUVEEN GLOBAL HIGH INCOME FD Financial Services 759,247 $9.6M 0.00% NEW
3654 NET CLOUDFLARE INC Technology 8,151,000 $9.6M 0.00% NEW
3655 MUJ BLACKROCK MUNIHLDGS NJ QLTY Financial Services 803,081 $9.6M 0.00% NEW
3656 KFRC KFORCE INC Industrials 307,640 $9.5M 0.00% NEW
3657 TFSL TFS FINL CORP Financial Services 710,502 $9.5M 0.00% NEW
3658 WPP WPP PLC NEW Communication Services 423,256 $9.5M 0.00% NEW
3659 SPT SPROUT SOCIAL INC Technology 842,969 $9.5M 0.00% NEW
3660 NUTX NUTEX HEALTH INC Healthcare 57,640 $9.5M 0.00% NEW
3661 HLMN HILLMAN SOLUTIONS CORP Industrials 1,095,678 $9.5M 0.00% NEW
3662 WFG WEST FRASER TIMBER CO LTD Basic Materials 155,175 $9.5M 0.00% NEW
3663 TYLER TEX INDPT SCH DIST 9,365,000 $9.5M 0.00% NEW
3664 HFWA HERITAGE FINL CORP WASH Financial Services 399,617 $9.5M 0.00% NEW
3665 SLDP SOLID POWER INC Industrials 2,219,462 $9.4M 0.00% NEW
3666 KYTX KYVERNA THERAPEUTICS INC Healthcare 1,002,495 $9.4M 0.00% NEW
3667 OPFI OPPFI INC Technology 900,665 $9.4M 0.00% NEW
3668 GXC SPDR INDEX SHS FDS 97,296 $9.4M 0.00% NEW
3669 DNTH DIANTHUS THERAPEUTICS INC Healthcare 228,016 $9.4M 0.00% NEW
3670 PKB INVESCO EXCHANGE TRADED FD T 101,407 $9.4M 0.00% NEW
3671 LOB LIVE OAK BANCSHARES INC Financial Services 273,097 $9.4M 0.00% NEW
3672 GVUS GOLDMAN SACHS ETF TR 173,384 $9.4M 0.00% NEW
3673 NVTS NAVITAS SEMICONDUCTOR CORP Technology 1,312,488 $9.4M 0.00% NEW
3674 MTW MANITOWOC CO INC Industrials 780,847 $9.4M 0.00% NEW
3675 SH PROSHARES TR 259,631 $9.4M 0.00% NEW
3676 TIMB TIM S A Communication Services 479,083 $9.3M 0.00% NEW
3677 XFFCX FLAHERTY & CRUMRINE PFD SECS 563,696 $9.3M 0.00% NEW
3678 POST 2.5 08/15/27 POST HLDGS INC 8,635,000 $9.3M 0.00% NEW
3679 VGUS VANGUARD INSTL INDEX FD 123,069 $9.3M 0.00% NEW
3680 LQDH ISHARES U S ETF TR 99,470 $9.3M 0.00% NEW
3681 WRLD WORLD ACCEP CORPORATION Financial Services 65,810 $9.2M 0.00% NEW
3682 LUNG PULMONX CORP Healthcare 4,160,469 $9.2M 0.00% NEW
3683 HIVE HIVE DIGITAL TECHNOLOGIES LT Financial Services 3,557,340 $9.2M 0.00% NEW
3684 ASPI ASP ISOTOPES INC Basic Materials 1,709,783 $9.1M 0.00% NEW
3685 AIVL WISDOMTREE TR 79,464 $9.1M 0.00% NEW
3686 HYGW ISHARES TR 305,810 $9.1M 0.00% NEW
3687 FVAL FIDELITY COVINGTON TRUST 126,067 $9.1M 0.00% NEW
3688 ANYWHERE REAL ESTATE INC 642,816 $9.1M 0.00% NEW
3689 DUOT DUOS TECHNOLOGIES GROUP INC Technology 807,552 $9.1M 0.00% NEW
3690 HAP VANECK ETF TRUST 150,955 $9.1M 0.00% NEW
3691 HEAL GLOBAL X FDS 310,304 $9.1M 0.00% NEW
3692 SEI 0.25 10/01/31 SOLARIS ENERGY INFRAS INC 8,408,000 $9.1M 0.00% NEW
3693 RAVI FLEXSHARES TR 119,765 $9.0M 0.00% NEW
3694 UVSP UNIVEST FINANCIAL CORPORATIO Financial Services 274,876 $9.0M 0.00% NEW
3695 VAC 3.25 12/15/27 MARRIOTT VACATIONS WORLDWIDE 9,445,000 $9.0M 0.00% NEW
3696 HPE 7.625 09/01/27 HEWLETT PACKARD ENTERPRISE C 134,150 $8.9M 0.00% NEW
3697 JBSS SANFILIPPO JOHN B & SON INC Consumer Defensive 126,585 $8.9M 0.00% NEW
3698 OXM OXFORD INDS INC Consumer Cyclical 261,044 $8.9M 0.00% NEW
3699 TUR* ISHARES INC 259,117 $8.9M 0.00% NEW
3700 SNCY SUN CTRY AIRLS HLDGS INC Industrials 619,081 $8.9M 0.00% NEW
3701 EWO ISHARES INC 251,058 $8.9M 0.00% NEW
3702 BROOKFIELD BUSINESS PARTNERS 252,703 $8.9M 0.00% NEW
3703 NNI NELNET INC Financial Services 66,795 $8.9M 0.00% NEW
3704 DEUS DBX ETF TR 151,868 $8.9M 0.00% NEW
3705 WEC WEC ENERGY GROUP INC Utilities 7,584,000 $8.8M 0.00% NEW
3706 BFLY BUTTERFLY NETWORK INC Healthcare 2,325,929 $8.8M 0.00% NEW
3707 HIPO HIPPO HLDGS INC Financial Services 293,623 $8.8M 0.00% NEW
3708 NNE NANO NUCLEAR ENERGY INC Industrials 367,811 $8.8M 0.00% NEW
3709 LNTH 2.625 12/15/27 LANTHEUS HLDGS INC 7,711,000 $8.8M 0.00% NEW
3710 MLR MILLER INDS INC TENN Consumer Cyclical 235,560 $8.8M 0.00% NEW
3711 GBF ISHARES TR 83,776 $8.8M 0.00% NEW
3712 CPS COOPER STD HLDGS INC Consumer Cyclical 267,157 $8.8M 0.00% NEW
3713 MCHP 0.75 06/01/30 MICROCHIP TECHNOLOGY INC. 8,940,000 $8.8M 0.00% NEW
3714 SBR SABINE RTY TR Energy 127,459 $8.7M 0.00% NEW
3715 KNOP KNOT OFFSHORE PARTNERS LP Industrials 842,501 $8.7M 0.00% NEW
3716 ASC ARDMORE SHIPPING CORP Industrials 823,112 $8.7M 0.00% NEW
3717 SLDE SLIDE INS HLDGS INC Financial Services 447,232 $8.7M 0.00% NEW
3718 IVT INVENTRUST PPTYS CORP Real Estate 308,710 $8.7M 0.00% NEW
3719 SMP STANDARD MTR PRODS INC Consumer Cyclical 235,798 $8.7M 0.00% NEW
3720 TRTX TPG RE FIN TR INC Real Estate 1,008,925 $8.7M 0.00% NEW
3721 CTO CTO RLTY GROWTH INC NEW Real Estate 471,790 $8.7M 0.00% NEW
3722 MBIN MERCHANTS BANCORP IND Financial Services 254,779 $8.7M 0.00% NEW
3723 BSMS INVESCO EXCH TRD SLF IDX FD 368,732 $8.7M 0.00% NEW
3724 FINS ANGEL OAK FINL STRATEGIES IN Financial Services 655,575 $8.7M 0.00% NEW
3725 PRCH PORCH GROUP INC Technology 947,554 $8.7M 0.00% NEW
3726 AMSF AMERISAFE INC Financial Services 225,060 $8.6M 0.00% NEW
3727 HYLB DBX ETF TR 234,570 $8.6M 0.00% NEW
3728 LPTH LIGHTPATH TECHNOLOGIES INC Technology 798,112 $8.6M 0.00% NEW
3729 USCI UNITED STS COMMODITY INDEX F Financial Services 110,987 $8.6M 0.00% NEW
3730 PAR PAR TECHNOLOGY CORP Technology 237,236 $8.6M 0.00% NEW
3731 FWRD FORWARD AIR CORP Industrials 344,071 $8.6M 0.00% NEW
3732 SUPV GRUPO SUPERVIELLE S.A. Financial Services 727,671 $8.6M 0.00% NEW
3733 PHR PHREESIA INC Healthcare 507,786 $8.6M 0.00% NEW
3734 SCVL SHOE CARNIVAL INC Consumer Cyclical 508,970 $8.6M 0.00% NEW
3735 CTKB CYTEK BIOSCIENCES INC Healthcare 1,700,985 $8.6M 0.00% NEW
3736 HAE 2.5 06/01/29 HAEMONETICS CORP MASS 8,285,000 $8.6M 0.00% NEW
3737 BKT BLACKROCK INCOME TR INC Financial Services 775,620 $8.6M 0.00% NEW
3738 NXRT NEXPOINT RESIDENTIAL TR INC Real Estate 284,275 $8.6M 0.00% NEW
3739 JXI ISHARES TR 108,707 $8.5M 0.00% NEW
3740 DBL DOUBLELINE OPPORTUNISTIC CR Financial Services 560,498 $8.5M 0.00% NEW
3741 EVRG EVERGY INC Utilities 7,020,000 $8.5M 0.00% NEW
3742 JANX JANUX THERAPEUTICS INC Healthcare 618,385 $8.5M 0.00% NEW
3743 RES RPC INC Energy 1,568,280 $8.5M 0.00% NEW
3744 AMPH 2 03/15/29 AMPHASTAR PHARMACEUTICALS IN 9,248,000 $8.5M 0.00% NEW
3745 RLJ RLJ LODGING TR Real Estate 1,143,754 $8.5M 0.00% NEW
3746 IDE VOYA INFRASTRUCTURE INDLS & Financial Services 692,601 $8.5M 0.00% NEW
3747 NXG NXG NEXTGEN INFRASTR INCM FD Financial Services 168,567 $8.5M 0.00% NEW
3748 SPOTIFY USA INC 7,496,000 $8.5M 0.00% NEW
3749 BBW BUILD-A-BEAR WORKSHOP INC Consumer Cyclical 138,779 $8.5M 0.00% NEW
3750 MOTI VANECK ETF TRUST 231,725 $8.5M 0.00% NEW
3751 USLM UNITED STS LIME & MINERALS I Basic Materials 70,922 $8.5M 0.00% NEW
3752 XLGIX LAZARD GLOBAL TOTAL RETURN & 482,845 $8.4M 0.00% NEW
3753 LSPD LIGHTSPEED COMMERCE INC Technology 694,506 $8.4M 0.00% NEW
3754 LQDT LIQUIDITY SVCS INC Consumer Cyclical 276,681 $8.4M 0.00% NEW
3755 SCHH SCHWAB STRATEGIC TR 400,676 $8.4M NEW
3756 TE T1 ENERGY INC Industrials 1,250,399 $8.4M NEW
3757 ETON ETON PHARMACEUTICALS INC Healthcare 493,914 $8.4M NEW
3758 BSJT INVESCO EXCH TRD SLF IDX FD 387,613 $8.3M NEW
3759 YALA YALLA GROUP LTD Technology 1,201,008 $8.3M NEW
3760 HIFS HINGHAM INSTN SVGS MASS Financial Services 29,324 $8.3M NEW
3761 CEPU CENTRAL PUERTO S A Utilities 475,790 $8.3M NEW
3762 IIM INVESCO VALUE MUN INCOME TR Financial Services 674,730 $8.3M NEW
3763 PSEC PROSPECT CAP CORP Financial Services 3,208,846 $8.3M NEW
3764 FXB INVESCO CURRENCYSHARES BRIT Financial Services 64,017 $8.3M NEW
3765 BRSP BRIGHTSPIRE CAPITAL INC Real Estate 1,482,115 $8.3M NEW
3766 FLGT FULGENT GENETICS INC Healthcare 315,253 $8.3M NEW
3767 WDIV SPDR INDEX SHS FDS 109,700 $8.3M NEW
3768 AGZ ISHARES TR 75,005 $8.3M NEW
3769 BBDC BARINGS BDC INC Financial Services 899,484 $8.3M NEW
3770 HIX WESTERN ASSET HIGH INCOM FD Financial Services 1,982,061 $8.2M NEW
3771 MNSO MINISO GROUP HLDG LTD Consumer Cyclical 439,596 $8.2M NEW
3772 DFE WISDOMTREE TR 114,446 $8.2M NEW
3773 CMP COMPASS MINERALS INTL INC Basic Materials 418,553 $8.2M NEW
3774 ORC ORCHID IS CAP INC Real Estate 1,137,936 $8.2M NEW
3775 EQAL INVESCO EXCH TRADED FD TR II 155,387 $8.2M NEW
3776 ESPO VANECK ETF TRUST 78,945 $8.2M NEW
3777 PCY INVESCO EXCH TRADED FD TR II 377,591 $8.2M NEW
3778 NIQ NIQ GLOBAL INTELLIGENCE PLC Technology 495,818 $8.2M NEW
3779 VSMV VICTORY PORTFOLIOS II 147,789 $8.2M NEW
3780 BBCA J P MORGAN EXCHANGE TRADED F 87,792 $8.2M NEW
3781 ETD ETHAN ALLEN INTERIORS INC Consumer Cyclical 356,608 $8.1M NEW
3782 WINA WINMARK CORP Consumer Cyclical 20,095 $8.1M NEW
3783 SLSR SOLARIS RES INC Basic Materials 1,020,814 $8.1M NEW
3784 WEBULL CORP 1,045,234 $8.1M NEW
3785 GCO GENESCO INC Consumer Cyclical 327,808 $8.1M NEW
3786 FVC FIRST TR EXCHANGE TRADED FD 223,140 $8.1M NEW
3787 GLIN VANECK ETF TRUST 175,762 $8.1M NEW
3788 VLU SPDR SERIES TRUST 38,434 $8.1M NEW
3789 KCCA KRANESHARES TRUST 481,330 $8.1M NEW
3790 UNG UNITED STS NAT GAS FD LP Financial Services 658,957 $8.1M NEW
3791 MGPI MGP INGREDIENTS INC NEW Consumer Defensive 332,051 $8.1M NEW
3792 UNIT UNITI GROUP LLC Real Estate 1,150,228 $8.1M NEW
3793 FLOC FLOWCO HLDGS INC Energy 430,153 $8.1M NEW
3794 BGT BLACKROCK FLOATING RATE INC Financial Services 710,689 $8.1M NEW
3795 ETB EATON VANCE TAX MNGED BUY WR Financial Services 526,920 $8.0M NEW
3796 PRAA PRA GROUP INC Financial Services 454,255 $8.0M NEW
3797 XAI OCTAGN FLT RAT & ALT INM 1,672,500 $8.0M NEW
3798 LIND LINDBLAD EXPEDITIONS HLDGS I Consumer Cyclical 555,079 $8.0M NEW
3799 SBSI SOUTHSIDE BANCSHARES INC Financial Services 263,365 $8.0M NEW
3800 FWRG FIRST WATCH RESTAURANT GROUP Consumer Cyclical 530,690 $8.0M NEW
3801 ITRG INTEGRA RES CORP Basic Materials 1,994,832 $8.0M NEW
3802 GABC GERMAN AMERN BANCORP INC Financial Services 203,849 $8.0M NEW
3803 HRTG HERITAGE INSURANCE HLDGS INC Financial Services 272,454 $8.0M NEW
3804 RXST RXSIGHT INC Healthcare 765,025 $8.0M NEW
3805 CAMT CAMTEK LTD Technology 74,905 $8.0M NEW
3806 HELEN OF TROY LTD 374,573 $8.0M NEW
3807 GPGI COMPOSECURE INC Industrials 412,493 $8.0M NEW
3808 AMPL AMPLITUDE INC Technology 685,561 $7.9M NEW
3809 CGEM CULLINAN THERAPEUTICS INC Healthcare 766,934 $7.9M NEW
3810 REPL REPLIMUNE GROUP INC Healthcare 814,888 $7.9M NEW
3811 CSTL CASTLE BIOSCIENCES INC Healthcare 203,577 $7.9M NEW
3812 APO 6.75 07/31/26 APOLLO GLOBAL MGMT INC 104,760 $7.9M NEW
3813 XPH SPDR SERIES TRUST 141,231 $7.9M NEW
3814 ZURA BIO LTD 1,509,411 $7.9M NEW
3815 RPD RAPID7 INC Technology 8,374,000 $7.9M NEW
3816 CIG CIA ENERGETICA DE MINAS GERA Utilities 3,946,057 $7.9M NEW
3817 BDN BRANDYWINE RLTY TR Real Estate 2,700,665 $7.9M NEW
3818 STUB STUBHUB HLDGS INC Technology 582,770 $7.9M NEW
3819 NWPX NWPX INFRASTRUCTURE INC Industrials 125,986 $7.9M NEW
3820 DNUT KRISPY KREME INC Consumer Defensive 1,957,342 $7.9M NEW
3821 FINX GLOBAL X FDS 267,156 $7.9M NEW
3822 BKV BKV CORP Energy 289,510 $7.9M NEW
3823 CTA SIMPLIFY EXCHANGE TRADED FUN 288,267 $7.9M NEW
3824 NX QUANEX BLDG PRODS CORP Industrials 510,832 $7.9M NEW
3825 CMPS COMPASS PATHWAYS PLC Healthcare 1,137,520 $7.8M NEW
3826 EAGG ISHARES TR 163,870 $7.8M NEW
3827 FEUZ FIRST TR EXCH TRD ALPHDX FD 127,651 $7.8M NEW
3828 WNC WABASH NATL CORP Industrials 904,947 $7.8M NEW
3829 NUHY NUSHARES ETF TR 362,430 $7.8M NEW
3830 ENOV ENOVIS CORPORATION Industrials 8,015,000 $7.8M NEW
3831 BKAG BNY MELLON ETF TRUST 184,235 $7.8M NEW
3832 EVGO EVGO INC Consumer Cyclical 2,679,864 $7.8M NEW
3833 EGBN EAGLE BANCORP INC MD Financial Services 363,743 $7.8M NEW
3834 ETX EATON VANCE MUN INCOME 2028 Financial Services 416,007 $7.8M NEW
3835 CLB CORE LABORATORIES INC Energy 485,038 $7.8M NEW
3836 CLVT CLARIVATE PLC Technology 2,325,570 $7.8M NEW
3837 TCE2 CELLDEX THERAPEUTICS INC NEW 285,535 $7.8M NEW
3838 FDLO FIDELITY COVINGTON TRUST 116,170 $7.8M NEW
3839 HPI HANCOCK JOHN PFD INCOME FD Financial Services 478,880 $7.8M NEW
3840 TSLL DIREXION SHS ETF TR 405,631 $7.8M NEW
3841 CRNC CERENCE INC Technology 724,578 $7.7M NEW
3842 NEE NEXTERA ENERGY INC Utilities 149,595 $7.7M NEW
3843 AFB ALLIANCEBERNSTEIN NATL MUN I Financial Services 714,178 $7.7M NEW
3844 HACK AMPLIFY ETF TR 96,117 $7.7M NEW
3845 POET POET TECHNOLOGIES INC Technology 1,220,206 $7.7M NEW
3846 OSPN ONESPAN INC Technology 601,322 $7.7M NEW
3847 XBFZX BLACKROCK CALIF MUN INCOME T 718,538 $7.7M NEW
3848 VPG VISHAY PRECISION GROUP INC Technology 199,482 $7.7M NEW
3849 MBWM MERCANTILE BK CORP Financial Services 159,614 $7.7M NEW
3850 GAU GALIANO GOLD INC Basic Materials 3,032,195 $7.7M NEW
3851 HNRG HALLADOR ENERGY COMPANY Energy 402,393 $7.7M NEW
3852 TXO TXO PARTNERS LP Energy 717,153 $7.7M NEW
3853 NGNE NEUROGENE INC Healthcare 371,174 $7.6M NEW
3854 SEVN SEVEN HILLS REALTY TRUST Real Estate 859,110 $7.6M NEW
3855 BV BRIGHTVIEW HLDGS INC Industrials 603,425 $7.6M NEW
3856 FDM FIRST TR EXCHANGE-TRADED FD 95,648 $7.6M NEW
3857 HLIO HELIOS TECHNOLOGIES INC Industrials 142,008 $7.6M NEW
3858 NAVIGATOR HLDGS LTD 438,494 $7.6M NEW
3859 CNOB CONNECTONE BANCORP INC Financial Services 289,545 $7.6M NEW
3860 INTA INTAPP INC Technology 165,673 $7.6M NEW
3861 EMHY ISHARES INC 188,025 $7.6M NEW
3862 KMI 4.75 03/31/28 EL PASO ENERGY CAP TR I 154,081 $7.6M NEW
3863 BPRE BLUEROCK PVT REAL ESTATE FD 504,649 $7.6M NEW
3864 AESI ATLAS ENERGY SOLUTIONS INC Energy 803,054 $7.6M NEW
3865 CRMD CORMEDIX INC Healthcare 648,762 $7.5M NEW
3866 TSAKOS ENERGY NAVIGATION LTD 336,264 $7.5M NEW
3867 MTH 1.75 05/15/28 MERITAGE HOMES CORP 7,657,000 $7.5M NEW
3868 IFLN INVESCO EXCH TRADED FD TR II 403,572 $7.5M NEW
3869 RIGS ALPS ETF TR 324,993 $7.5M NEW
3870 MANCHESTER UTD PLC NEW 468,249 $7.5M NEW
3871 GRC GORMAN RUPP CO Industrials 155,993 $7.4M NEW
3872 LYV 2.875 01/15/30 LIVE NATION ENTERTAINMENT IN 7,085,000 $7.4M NEW
3873 UMH UMH PPTYS INC Real Estate 467,563 $7.4M NEW
3874 NAN NUVEEN NEW YORK QLT MUN INC Financial Services 659,488 $7.4M NEW
3875 ANIK ANIKA THERAPEUTICS INC Healthcare 772,230 $7.4M NEW
3876 OBIL RBB FD INC 147,510 $7.4M NEW
3877 PDS PRECISION DRILLING CORP Energy 102,852 $7.4M NEW
3878 RFMZ RIVERNORTH FLEXIBLE MUNI INC Financial Services 583,430 $7.4M NEW
3879 BB BLACKBERRY LTD Technology 1,948,765 $7.4M NEW
3880 EFSC ENTERPRISE FINL SVCS CORP Financial Services 136,479 $7.4M NEW
3881 ECVT ECOVYST INC Basic Materials 756,208 $7.4M NEW
3882 BHC BAUSCH HEALTH COS INC Healthcare 1,054,718 $7.3M NEW
3883 IBMO ISHARES TR 285,753 $7.3M NEW
3884 NEXT NEXTDECADE CORP Energy 1,388,936 $7.3M NEW
3885 ESRT EMPIRE ST RLTY TR INC Real Estate 1,121,301 $7.3M NEW
3886 OSG OCTAVE SPECIALTY GROUP INC Financial Services 938,712 $7.3M NEW
3887 JACK JACK IN THE BOX INC Consumer Cyclical 385,372 $7.3M NEW
3888 MORT VANECK ETF TRUST 694,284 $7.3M NEW
3889 MYE MYERS INDS INC Consumer Cyclical 388,648 $7.3M NEW
3890 CIM CHIMERA INVT CORP Real Estate 584,898 $7.3M NEW
3891 TENX TENAX THERAPEUTICS INC Healthcare 596,376 $7.3M NEW
3892 HDGE ADVISORSHARES TR 453,661 $7.3M NEW
3893 AMWD AMERICAN WOODMARK CORPORATIO Consumer Cyclical 134,706 $7.3M NEW
3894 NPK NATIONAL PRESTO INDS INC Industrials 67,993 $7.3M NEW
3895 MSTR STRATEGY SHS Technology 148,868 $7.3M NEW
3896 INDI INDIE SEMICONDUCTOR INC Technology 2,055,314 $7.3M NEW
3897 VTS VITESSE ENERGY INC Energy 376,485 $7.3M NEW
3898 GU9 GUESS INC 432,757 $7.2M NEW
3899 BSMQ INVESCO EXCH TRD SLF IDX FD 305,705 $7.2M NEW
3900 ORN ORION S.A. Industrials 1,363,041 $7.2M NEW
3901 GSEE GOLDMAN SACHS ETF TR 127,675 $7.2M NEW
3902 JPMB J P MORGAN EXCHANGE TRADED F 176,902 $7.1M NEW
3903 APPS DIGITAL TURBINE INC Technology 1,427,510 $7.1M NEW
3904 BSMU INVESCO EXCH TRD SLF IDX FD 324,056 $7.1M NEW
3905 RIGL RIGEL PHARMACEUTICALS INC Healthcare 166,489 $7.1M NEW
3906 CDZI CADIZ INC Utilities 1,270,970 $7.1M NEW
3907 CNP CENTERPOINT ENERGY INC Utilities 6,500,000 $7.1M NEW
3908 OPTU OPTIMUM COMMUNICATIONS INC Communication Services 4,307,488 $7.1M NEW
3909 ULCC FRONTIER GROUP HLDGS INC Industrials 1,508,848 $7.1M NEW
3910 AMBP ARDAGH METAL PACKAGING S A Consumer Cyclical 1,731,961 $7.1M NEW
3911 BENTLEY SYS INC 7,111,000 $7.1M NEW
3912 GSBC GREAT SOUTHN BANCORP INC Financial Services 115,179 $7.1M NEW
3913 UHT UNIVERSAL HEALTH RLTY INCOME Real Estate 180,711 $7.1M NEW
3914 PTH INVESCO EXCHANGE TRADED FD T 142,463 $7.1M NEW
3915 NATR NATURES SUNSHINE PRODS INC Consumer Defensive 327,304 $7.1M NEW
3916 PEPG PEPGEN INC Healthcare 1,084,400 $7.1M NEW
3917 XBIL RBB FD INC 140,972 $7.1M NEW
3918 LITE 0.5 06/15/28 LUMENTUM HLDGS INC 2,485,000 $7.1M NEW
3919 BELFB BEL FUSE INC Technology 41,559 $7.0M NEW
3920 TR TOOTSIE ROLL INDS INC Consumer Defensive 192,448 $7.0M NEW
3921 KSA ISHARES TR 193,525 $7.0M NEW
3922 PXE INVESCO EXCHANGE TRADED FD T 251,305 $7.0M NEW
3923 IHD VOYA EMERGING MKTS HIGH DIVI Financial Services 1,116,416 $7.0M NEW
3924 BFS SAUL CTRS INC Real Estate 221,955 $7.0M NEW
3925 HGLB HIGHLAND GLOBAL ALLOCATION F Financial Services 766,386 $7.0M NEW
3926 IYLD ISHARES TR 325,871 $7.0M NEW
3927 WVE WAVE LIFE SCIENCES LTD Healthcare 409,663 $7.0M NEW
3928 AEVA AEVA TECHNOLOGIES INC Consumer Cyclical 523,406 $7.0M NEW
3929 MMD NYLI MACKAY DEFINEDTERM MUNI Financial Services 467,318 $6.9M NEW
3930 USXF ISHARES TR 120,658 $6.9M NEW
3931 SABR SABRE CORP Consumer Cyclical 5,095,875 $6.9M NEW
3932 BLACKBERRY LTD 5,500,000 $6.9M NEW
3933 MOMO HELLO GROUP INC Communication Services 1,054,954 $6.9M NEW
3934 HIMX HIMAX TECHNOLOGIES INC Technology 842,263 $6.9M NEW
3935 EUSB ISHARES TR 157,030 $6.9M NEW
3936 PHVS PHARVARIS N V Healthcare 248,334 $6.9M NEW
3937 FIGR FIGURE TECHNOLOGY SOLUTIO Financial Services 168,372 $6.9M NEW
3938 MXCT MAXCYTE INC Healthcare 4,433,693 $6.9M NEW
3939 BGX BLACKSTONE LONG SHORT CR INC Financial Services 589,248 $6.9M NEW
3940 WCLD WISDOMTREE TR 195,964 $6.9M NEW
3941 ALRS ALERUS FINL CORP Financial Services 304,602 $6.9M NEW
3942 HBNC HORIZON BANCORP INC Financial Services 403,764 $6.8M NEW
3943 ITRI ITRON INC Technology 6,924,000 $6.8M NEW
3944 DVOL FIRST TR EXCHANGE-TRADED FD 195,216 $6.8M NEW
3945 CTBI COMMUNITY TR BANCORP INC Financial Services 120,966 $6.8M NEW
3946 RDVT RED VIOLET INC Technology 119,941 $6.8M NEW
3947 PAY PAYMENTUS HOLDINGS INC Technology 216,198 $6.8M NEW
3948 REAX THE REAL BROKERAGE INC Real Estate 1,871,139 $6.8M NEW
3949 GTIP GOLDMAN SACHS ETF TR 138,917 $6.8M NEW
3950 BMRC BANK MARIN BANCORP Financial Services 262,196 $6.8M NEW
3951 HEZU ISHARES TR 155,101 $6.8M NEW
3952 SAIL SAILPOINT INC Technology 334,014 $6.8M NEW
3953 FVR FRONTVIEW REIT INC Real Estate 457,410 $6.8M NEW
3954 XSCDX LMP CAP & INCOME FD INC 455,427 $6.7M NEW
3955 CCD CALAMOS DYNAMIC CONV & INCOM Financial Services 323,008 $6.7M NEW
3956 ISD PGIM HIGH YIELD BOND FUND IN Financial Services 463,516 $6.7M NEW
3957 IQI INVESCO QUALITY MUN INCOME T Financial Services 672,514 $6.7M NEW
3958 WDH WATERDROP INC Financial Services 3,522,759 $6.7M NEW
3959 TEO TELECOM ARGENTINA SA Communication Services 576,229 $6.7M NEW
3960 VGM INVESCO TR INVT GRADE MUNS Financial Services 644,709 $6.7M NEW
3961 ESQ ESQUIRE FINL HLDGS INC Financial Services 65,303 $6.7M NEW
3962 MTUS METALLUS INC Basic Materials 387,880 $6.7M NEW
3963 OIS OIL STS INTL INC Energy 981,839 $6.6M NEW
3964 MMTM SPDR SERIES TRUST 22,750 $6.6M NEW
3965 OMER OMEROS CORP Healthcare 386,152 $6.6M NEW
3966 IBND SPDR SERIES TRUST 206,320 $6.6M NEW
3967 TRST TRUSTCO BK CORP N Y Financial Services 159,888 $6.6M NEW
3968 CCNE CNB FINL CORP PA Financial Services 251,987 $6.6M NEW
3969 GOEX GLOBAL X FDS 81,797 $6.6M NEW
3970 DSGN DESIGN THERAPEUTICS INC Healthcare 702,306 $6.6M NEW
3971 SRCE 1ST SOURCE CORP Financial Services 105,305 $6.6M NEW
3972 DHC DIVERSIFIED HEALTHCARE TR Real Estate 1,355,674 $6.6M NEW
3973 ARDC ARES DYNAMIC CR ALLOCATION F Financial Services 494,361 $6.6M NEW
3974 RPD RAPID7 INC Technology 7,210,000 $6.6M NEW
3975 EHAB ENHABIT INC Healthcare 707,965 $6.5M NEW
3976 BLE BLACKROCK MUNI INCOME TR II 624,757 $6.5M NEW
3977 OMDA OMADA HEALTH INC Healthcare 412,106 $6.5M NEW
3978 SJT SAN JUAN BASIN RTY TR Energy 1,156,904 $6.5M NEW
3979 ADAMM ADAMAS TRUST INC. Financial Services 889,297 $6.5M NEW
3980 INDS PACER FDS TR 176,904 $6.5M NEW
3981 ENGN ENGENE HOLDINGS INC Healthcare 718,485 $6.5M NEW
3982 XHS SPDR SERIES TRUST 60,706 $6.5M NEW
3983 TSI TCW STRATEGIC INCOME FD INC Financial Services 1,312,802 $6.5M NEW
3984 ASPEN INSURANCE HOLDINGS LTD 174,613 $6.5M NEW
3985 UNTY UNITY BANCORP INC Financial Services 125,250 $6.5M NEW
3986 EC ECOPETROL S A Energy 645,378 $6.5M NEW
3987 FXY INVESCO CURRENCYSHARES JAPAN Financial Services 109,924 $6.4M NEW
3988 XTN SPDR SERIES TRUST 70,553 $6.4M NEW
3989 RGR STURM RUGER & CO INC Industrials 197,341 $6.4M NEW
3990 SPRY ARS PHARMACEUTICALS INC Healthcare 552,364 $6.4M NEW
3991 ARDT ARDENT HEALTH INC Healthcare 727,369 $6.4M NEW
3992 ZEUS OLYMPIC STEEL INC 149,810 $6.4M NEW
3993 VKI INVESCO ADVANTAGE MUN INCOME Financial Services 700,584 $6.4M NEW
3994 GBTC GRAYSCALE BITCOIN TRUST ETF Financial Services 93,441 $6.4M NEW
3995 VZLA VIZSLA SILVER CORP Basic Materials 1,166,982 $6.4M NEW
3996 IIIN INSTEEL INDS INC Industrials 201,548 $6.4M NEW
3997 RAPP RAPPORT THERAPEUTICS INC Healthcare 210,331 $6.4M NEW
3998 DNA GINKGO BIOWORKS HOLDINGS INC Healthcare 766,487 $6.4M NEW
3999 WLFC WILLIS LEASE FIN CORP Industrials 46,819 $6.4M NEW
4000 ELVN ENLIVEN THERAPEUTICS INC Healthcare 411,823 $6.3M NEW
4001 JGRO J P MORGAN EXCHANGE TRADED F 68,028 $6.3M NEW
4002 JPUS J P MORGAN EXCHANGE TRADED F 50,828 $6.3M NEW
4003 LGN LEGENCE CORP Industrials 146,114 $6.3M NEW
4004 TTI TETRA TECHNOLOGIES INC DEL Energy 670,499 $6.3M NEW
4005 WDC 3 11/15/28 WESTERN DIGITAL CORP 1,370,000 $6.3M NEW
4006 NIM NUVEEN SELECT MAT MUN FD Financial Services 673,203 $6.3M NEW
4007 NETL ETF SER SOLUTIONS 263,649 $6.3M NEW
4008 SMBK SMARTFINANCIAL INC Financial Services 169,012 $6.3M NEW
4009 SNOW SNOWFLAKE INC Technology 4,044,000 $6.2M NEW
4010 LOMA LOMA NEGRA C I A S A MTN 14 Basic Materials 481,978 $6.2M NEW
4011 ETOR ETORO GROUP LTD Financial Services 177,250 $6.2M NEW
4012 BFC BANK FIRST CORP Financial Services 50,945 $6.2M NEW
4013 ORRF ORRSTOWN FINL SVCS INC Financial Services 174,699 $6.2M NEW
4014 CSV CARRIAGE SVCS INC Consumer Cyclical 146,190 $6.2M NEW
4015 BLSH BULLISH Technology 163,220 $6.2M NEW
4016 FFWM FIRST FNDTN INC 1,002,683 $6.2M NEW
4017 NCDL NUVEEN CHURCHILL DIRECT LEND Financial Services 462,907 $6.2M NEW
4018 NN NEXTNAV INC Communication Services 370,909 $6.2M NEW
4019 OOMA OOMA INC Communication Services 525,921 $6.2M NEW
4020 MBSD FLEXSHARES TR 296,612 $6.2M NEW
4021 PAX PATRIA INVESTMENTS LIMITED Financial Services 387,666 $6.2M NEW
4022 ILTB ISHARES TR 123,908 $6.2M NEW
4023 GLIBK GCI LIBERTY INC Communication Services 165,451 $6.2M NEW
4024 BGSI BOYD GROUP SERVICES INC Consumer Cyclical 38,612 $6.2M NEW
4025 EVER EVERQUOTE INC Communication Services 227,723 $6.1M NEW
4026 GOVI INVESCO EXCH TRADED FD TR II 223,152 $6.1M NEW
4027 LFCR LIFECORE BIOMEDICAL INC Healthcare 751,505 $6.1M NEW
4028 OPY OPPENHEIMER HLDGS INC Financial Services 84,823 $6.1M NEW
4029 ETJ EATON VANCE RISK-MANAGED DIV Financial Services 693,493 $6.1M NEW
4030 STVN STEVANATO GROUP S P A Healthcare 304,001 $6.1M NEW
4031 JCE NUVEEN CORE EQUITY ALPHA FD Financial Services 383,571 $6.1M NEW
4032 TX TERNIUM SA Basic Materials 160,021 $6.1M NEW
4033 CLOV CLOVER HEALTH INVESTMENTS CO Healthcare 2,599,028 $6.1M NEW
4034 RYZ RYERSON HLDG CORP Consumer Defensive 242,648 $6.1M NEW
4035 AVK ADVENT CONV & INCOME FD Financial Services 486,277 $6.1M NEW
4036 JPXN ISHARES TR 70,497 $6.1M NEW
4037 BKHY BNY MELLON ETF TRUST 126,577 $6.1M NEW
4038 EXPE EXPEDIA GROUP INC Consumer Cyclical 5,444,000 $6.1M NEW
4039 SMBC SOUTHERN MO BANCORP INC Financial Services 102,706 $6.1M NEW
4040 BHRB BURKE HERBERT FINL SVCS CORP Financial Services 97,362 $6.1M NEW
4041 PFN PIMCO INCOME STRATEGY FD II Financial Services 806,145 $6.0M NEW
4042 IBTK ISHARES TR 304,168 $6.0M NEW
4043 FBRT FRANKLIN BSP RLTY TR INC Real Estate 601,418 $6.0M NEW
4044 SYNA SYNAPTICS INC Technology 5,700,000 $6.0M NEW
4045 SYRE SPYRE THERAPEUTICS INC Healthcare 182,734 $6.0M NEW
4046 PLOW DOUGLAS DYNAMICS INC Consumer Cyclical 183,242 $6.0M NEW
4047 EWD ISHARES INC 121,212 $6.0M NEW
4048 GAL SSGA ACTIVE ETF TR 120,416 $6.0M NEW
4049 FENY FIDELITY COVINGTON TRUST 239,938 $5.9M NEW
4050 IRON DISC MEDICINE INC Healthcare 74,826 $5.9M NEW
4051 ALLT ALLOT LTD Technology 603,888 $5.9M NEW
4052 XSLV INVESCO EXCH TRADED FD TR II 127,993 $5.9M NEW
4053 LAR LITHIUM ARGENTINA AG Basic Materials 1,059,980 $5.9M NEW
4054 FIVN FIVE9 INC Technology 6,577,000 $5.9M NEW
4055 RSPS INVESCO EXCHANGE TRADED FD T 203,347 $5.9M NEW
4056 USNA USANA HEALTH SCIENCES INC Consumer Defensive 300,591 $5.9M NEW
4057 AROW ARROW FINL CORP Financial Services 187,897 $5.9M NEW
4058 MMI MARCUS & MILLICHAP INC Real Estate 215,721 $5.9M NEW
4059 IBCP INDEPENDENT BK CORP MICH Financial Services 180,786 $5.9M NEW
4060 NGS NATURAL GAS SVCS GROUP INC Energy 174,755 $5.9M NEW
4061 AHRT ARMADA HOFFLER PPTYS INC Financial Services 886,602 $5.9M NEW
4062 GDEN GOLDEN ENTMT INC Consumer Cyclical 215,803 $5.9M NEW
4063 NBN NORTHEAST BK PORTLAND ME Financial Services 56,393 $5.9M NEW
4064 HSTM HEALTHSTREAM INC Healthcare 253,812 $5.9M NEW
4065 GII SPDR INDEX SHS FDS 83,907 $5.9M NEW
4066 IBCA ISHARES TR 224,325 $5.8M NEW
4067 DBX DROPBOX INC Technology 5,754,000 $5.8M NEW
4068 ITIC INVESTORS TITLE CO NC Financial Services 23,232 $5.8M NEW
4069 NRIM NORTHRIM BANCORP INC Financial Services 217,657 $5.8M NEW
4070 BSMT INVESCO EXCH TRD SLF IDX FD 249,398 $5.8M NEW
4071 XPOF XPONENTIAL FITNESS INC Consumer Cyclical 701,210 $5.8M NEW
4072 AMWL AMERICAN WELL CORP Healthcare 1,174,468 $5.8M NEW
4073 UAMY UNITED STATES ANTIMONY CORP Basic Materials 1,148,358 $5.8M NEW
4074 EBND SPDR SERIES TRUST 269,440 $5.8M NEW
4075 KE KIMBALL ELECTRONICS INC Industrials 206,720 $5.8M NEW
4076 GAM GENERAL AMERN INVS CO INC Financial Services 97,734 $5.7M NEW
4077 QABA FIRST TR EXCHANGE-TRADED FD 101,291 $5.7M NEW
4078 KBDC KAYNE ANDERSON BDC INC Financial Services 400,456 $5.7M NEW
4079 EWM ISHARES INC 208,523 $5.7M NEW
4080 FAB FIRST TR EXCHANGE-TRADED ALP 63,842 $5.7M NEW
4081 KOP KOPPERS HOLDINGS INC Basic Materials 209,928 $5.7M NEW
4082 GNMA ISHARES TR 127,632 $5.7M NEW
4083 GUT GABELLI UTIL TR Financial Services 942,529 $5.7M NEW
4084 RWTQ REDWOOD TRUST INC Financial Services 1,027,329 $5.7M NEW
4085 MTA METALLA RTY & STREAMING LTD Basic Materials 729,656 $5.7M NEW
4086 MAGS LISTED FDS TR 86,002 $5.7M NEW
4087 4IU INVESCO INDIA EXCHANGE-TRADE 232,830 $5.7M NEW
4088 SMMD ISHARES TR 75,492 $5.7M NEW
4089 QDEF FLEXSHARES TR 69,603 $5.6M NEW
4090 HPP HUDSON PAC PPTYS INC Real Estate 519,524 $5.6M NEW
4091 CYTK 3.5 07/01/27 CYTOKINETICS INC 3,955,000 $5.6M NEW
4092 OSBC OLD SECOND BANCORP INC ILL Financial Services 288,122 $5.6M NEW
4093 TCBK TRICO BANCSHARES Financial Services 118,235 $5.6M NEW
4094 NAGE NIAGEN BIOSCIENCE INC Healthcare 880,124 $5.6M NEW
4095 RGT ROYCE GLOBAL TRUST INC Financial Services 425,121 $5.6M NEW
4096 ERH ALLSPRING UTILITIES AND HIGH Financial Services 470,962 $5.6M NEW
4097 LION LIONSGATE STUDIOS CORP Communication Services 608,755 $5.6M NEW
4098 IDR IDAHO STRATEGIC RESOURCES Basic Materials 136,810 $5.5M NEW
4099 TIC TIC SOLUTIONS INC Industrials 544,981 $5.5M NEW
4100 HTT HIGH TEMPLAR TECHNOLOGY LTD Financial Services 1,550,161 $5.5M NEW
4101 XNROX NEUBERGER REAL ESTATE 1,808,734 $5.5M NEW
4102 HYMC HYCROFT MINING HOLDING CORP Basic Materials 231,275 $5.5M NEW
4103 HOV HOVNANIAN ENTERPRISES INC Consumer Cyclical 56,303 $5.5M NEW
4104 GRT-U GRANITE REAL ESTATE INVT TR 92,679 $5.5M NEW
4105 PEBO PEOPLES BANCORP INC Financial Services 182,480 $5.5M NEW
4106 CYH COMMUNITY HEALTH SYS INC NEW Healthcare 1,755,201 $5.5M NEW
4107 FOR FORESTAR GROUP INC Real Estate 222,147 $5.5M NEW
4108 COMT ISHARES U S ETF TR 218,951 $5.5M NEW
4109 628 SEMRUSH HLDGS INC 457,389 $5.4M NEW
4110 HUYA HUYA INC Communication Services 1,883,997 $5.4M NEW
4111 BRKR 6.375 09/01/28 BRUKER CORP 14,815 $5.4M NEW
4112 HLLY HOLLEY INC Consumer Cyclical 1,311,520 $5.4M NEW
4113 CAL CALERES INC Consumer Cyclical 444,272 $5.4M NEW
4114 EWCZ EUROPEAN WAX CTR INC Consumer Defensive 1,500,493 $5.4M NEW
4115 DDL DINGDONG CAYMAN LTD Consumer Defensive 2,166,824 $5.4M NEW
4116 ERC ALLSPRING MULTI SECTOR INCOM Financial Services 579,583 $5.4M NEW
4117 PIE INVESCO EXCH TRADED FD TR II 227,987 $5.4M NEW
4118 MPAA MOTORCAR PTS AMER INC Consumer Cyclical 435,058 $5.4M NEW
4119 ENTA ENANTA PHARMACEUTICALS INC Healthcare 339,918 $5.4M NEW
4120 PFLT PENNANTPARK FLOATING RATE CA Financial Services 577,124 $5.3M NEW
4121 NXP NUVEEN SELECT TAX-FREE INCOM Financial Services 379,281 $5.3M NEW
4122 WIP SPDR SERIES TRUST 135,745 $5.3M NEW
4123 MARA 0 03/01/30 MARA HOLDINGS INC 6,820,000 $5.3M NEW
4124 RC READY CAPITAL CORP Real Estate 2,448,413 $5.3M NEW
4125 GOGO GOGO INC Communication Services 1,143,529 $5.3M NEW
4126 TIPT TIPTREE INC Financial Services 291,076 $5.3M NEW
4127 LYFT LYFT INC Technology 4,422,000 $5.3M NEW
4128 CONFLUENT INC 5,471,000 $5.3M NEW
4129 CIO CITY OFFICE REIT INC 759,313 $5.3M NEW
4130 MYN BLACKROCK MUNIYIELD N Y QUAL Financial Services 534,812 $5.3M NEW
4131 CSWC CAPITAL SOUTHWEST CORP Financial Services 238,264 $5.3M NEW
4132 BKSY BLACKSKY TECHNOLOGY INC Technology 281,375 $5.3M NEW
4133 BMBL BUMBLE INC Technology 1,475,363 $5.3M NEW
4134 DRD DRDGOLD LIMITED Basic Materials 169,493 $5.3M NEW
4135 QTRX QUANTERIX CORP Healthcare 822,998 $5.2M NEW
4136 VNDA VANDA PHARMACEUTICALS INC Healthcare 593,023 $5.2M NEW
4137 SANA SANA BIOTECHNOLOGY INC Healthcare 1,285,045 $5.2M NEW
4138 KREF KKR REAL ESTATE FIN TR INC Real Estate 634,797 $5.2M NEW
4139 AMCX AMC NETWORKS INC Communication Services 547,856 $5.2M NEW
4140 BSMV INVESCO EXCH TRD SLF IDX FD 246,749 $5.2M NEW
4141 ALCO ALICO INC Consumer Defensive 143,214 $5.2M NEW
4142 VUZI VUZIX CORP Technology 1,370,081 $5.2M NEW
4143 MATE MAN ETF SER TR 200,000 $5.2M NEW
4144 IBTA IBOTTA INC Technology 227,070 $5.2M NEW
4145 ABSI ABSCI CORPORATION Healthcare 1,478,838 $5.2M NEW
4146 OCFC OCEANFIRST FINL CORP Financial Services 287,200 $5.2M NEW
4147 HYEM VANECK ETF TRUST 258,477 $5.1M NEW
4148 XHC HERITAGE COMM CORP 426,559 $5.1M NEW
4149 MSTR STRATEGY INC Technology 4,983,000 $5.1M NEW
4150 ZLAB ZAI LAB LTD Healthcare 289,705 $5.1M NEW
4151 FRGE FORGE GLOBAL HOLDINGS INC 114,411 $5.1M NEW
4152 IMTB ISHARES TR 115,189 $5.1M NEW
4153 LADR LADDER CAP CORP Real Estate 463,198 $5.1M NEW
4154 USDU WISDOMTREE TR 197,305 $5.1M NEW
4155 MH MCGRAW HILL INC Consumer Defensive 308,491 $5.1M NEW
4156 ARTNA ARTESIAN RES CORP Utilities 160,575 $5.1M NEW
4157 FCBC FIRST CMNTY BANKSHARES INC V Financial Services 150,171 $5.1M NEW
4158 FNLC FIRST BANCORP INC ME Financial Services 191,568 $5.1M NEW
4159 COIN COINBASE GLOBAL INC Financial Services 4,943,000 $5.1M NEW
4160 API AGORA INC Technology 1,242,117 $5.1M NEW
4161 NGVC NATURAL GROCERS BY VITAMIN C Consumer Defensive 201,779 $5.1M NEW
4162 IDRV ISHARES TR 133,223 $5.1M NEW
4163 FDMT 4D MOLECULAR THERAPEUTICS IN Healthcare 672,695 $5.0M NEW
4164 SHBI SHORE BANCSHARES INC Financial Services 284,743 $5.0M NEW
4165 TWI TITAN INTL INC ILL Industrials 642,772 $5.0M NEW
4166 RCLO ADVISOR MANAGED PORTFOLIOS 200,000 $5.0M NEW
4167 ETO EATON VANCE TAX-ADVANTAGED G Financial Services 165,443 $5.0M NEW
4168 GDOT GREEN DOT CORP Financial Services 391,887 $5.0M NEW
4169 CNNE CANNAE HLDGS INC Consumer Cyclical 318,992 $5.0M NEW
4170 RSPF INVESCO EXCHANGE TRADED FD T 63,917 $5.0M NEW
4171 IPI INTREPID POTASH INC Basic Materials 180,871 $5.0M NEW
4172 FQAL FIDELITY COVINGTON TRUST 66,236 $5.0M NEW
4173 SLRC SLR INVESTMENT CORP Financial Services 323,244 $5.0M NEW
4174 AMAL AMALGAMATED FINANCIAL CORP Financial Services 155,838 $5.0M NEW
4175 PPT PUTNAM PREMIER INCOME TR Financial Services 1,407,853 $5.0M NEW
4176 RAAA ADVISOR MANAGED PORTFOLIOS 198,613 $5.0M NEW
4177 CGO CALAMOS GLOBAL TOTAL RETURN Financial Services 435,670 $5.0M NEW
4178 PTLO PORTILLOS INC Consumer Cyclical 1,092,878 $5.0M NEW
4179 XRN GLOBAL MED REIT INC Financial Services 146,721 $5.0M NEW
4180 MFA MFA FINL INC Real Estate 531,283 $4.9M NEW
4181 ALMS ALUMIS INC Healthcare 506,529 $4.9M NEW
4182 AEHR AEHR TEST SYS Technology 244,783 $4.9M NEW
4183 FTK FLOTEK INDS INC DEL Energy 286,142 $4.9M NEW
4184 MDXG MIMEDX GROUP INC Healthcare 727,783 $4.9M NEW
4185 PMM PUTNAM MANAGED MUN INCOME TR Financial Services 783,384 $4.9M NEW
4186 BRD1EUR MIND MEDICINE MINDMED INC 366,695 $4.9M NEW
4187 ALT ALTIMMUNE INC Healthcare 1,359,885 $4.9M NEW
4188 CMCL CALEDONIA MNG CORP PLC Basic Materials 187,290 $4.9M NEW
4189 MIY BLACKROCK MUNIYIELD MICH QU Financial Services 416,786 $4.9M NEW
4190 XBKNX BLACKROCK INVT QUALITY MUN T 436,115 $4.9M NEW
4191 GBTG GLOBAL BUSINESS TRAVEL GROUP Technology 637,508 $4.9M NEW
4192 FDRR FIDELITY COVINGTON TRUST 79,803 $4.9M NEW
4193 VYGR VOYAGER TECHNOLOGIES INC Healthcare 186,212 $4.9M NEW
4194 MCHB MECHANICS BANCORP Financial Services 332,342 $4.9M NEW
4195 EOLS EVOLUS INC Healthcare 730,665 $4.9M NEW
4196 AD ARRAY DIGITAL INFRASTRUCTURE Communication Services 90,523 $4.9M NEW
4197 MISL FIRST TR EXCHANGE-TRADED FD 113,199 $4.8M NEW
4198 FSZ FIRST TR EXCH TRD ALPHDX FD 60,467 $4.8M NEW
4199 HDSN HUDSON TECHNOLOGIES INC Basic Materials 705,577 $4.8M NEW
4200 CRCT CRICUT INC Technology 975,021 $4.8M NEW
4201 GOOD GLADSTONE COMMERCIAL CORP Real Estate 452,264 $4.8M NEW
4202 CAC CAMDEN NATL CORP Financial Services 111,161 $4.8M NEW
4203 XMPT VANECK ETF TRUST 220,316 $4.8M NEW
4204 QCRH QCR HOLDINGS INC Financial Services 57,825 $4.8M NEW
4205 FDUS FIDUS INVT CORP Financial Services 249,524 $4.8M NEW
4206 FLBL FRANKLIN TEMPLETON ETF TR 205,482 $4.8M NEW
4207 AVTX AVALO THERAPEUTICS INC Healthcare 264,907 $4.8M NEW
4208 BSJU INVESCO EXCH TRD SLF IDX FD 183,924 $4.8M NEW
4209 NBBK NB BANCORP INC Financial Services 242,132 $4.8M NEW
4210 BRW SABA CAPITAL INCOME & OPRNT Financial Services 684,249 $4.8M NEW
4211 DENN DENNYS CORP 768,706 $4.8M NEW
4212 IHRT IHEARTMEDIA INC Communication Services 1,148,665 $4.8M NEW
4213 FTCA PUTNAM ETF TRUST 652,389 $4.8M NEW
4214 FUBO FUBOTV INC Communication Services 1,892,608 $4.8M NEW
4215 TBLA TABOOLA.COM LTD Communication Services 1,034,315 $4.8M NEW
4216 LTBR LIGHTBRIDGE CORP Industrials 376,981 $4.8M NEW
4217 MPV BARINGS PARTN INVS Financial Services 299,678 $4.8M NEW
4218 LX LEXINFINTECH HLDGS LTD Financial Services 1,452,485 $4.7M NEW
4219 JVAL J P MORGAN EXCHANGE TRADED F 96,763 $4.7M NEW
4220 DBEZ DBX ETF TR 85,882 $4.7M NEW
4221 FPI FARMLAND PARTNERS INC Real Estate 488,155 $4.7M NEW
4222 ZIP ZIPRECRUITER INC Industrials 1,211,254 $4.7M NEW
4223 IPX IPERIONX LTD Basic Materials 130,506 $4.7M NEW
4224 HYDW DBX ETF TR 100,001 $4.7M NEW
4225 RYAM RAYONIER ADVANCED MATLS INC Basic Materials 799,108 $4.7M NEW
4226 FKU FIRST TR EXCH TRD ALPHDX FD 92,195 $4.7M NEW
4227 KROS KEROS THERAPEUTICS INC Healthcare 230,492 $4.7M NEW
4228 GAIN GLADSTONE INVT CORP Financial Services 335,654 $4.7M NEW
4229 TDUP THREDUP INC Consumer Cyclical 733,808 $4.7M NEW
4230 NAVN NAVAN INC Technology 274,399 $4.7M NEW
4231 DFAX DIMENSIONAL ETF TRUST 143,107 $4.7M NEW
4232 CORNERSTONE STRATEGIC INVEST 558,877 $4.7M NEW
4233 PFL PIMCO INCOME STRATEGY FD Financial Services 553,865 $4.7M NEW
4234 ZBIO ZENAS BIOPHARMA INC Healthcare 128,335 $4.7M NEW
4235 0HQK CBL & ASSOC PPTYS INC 125,659 $4.6M NEW
4236 BA 6 10/15/27 BOEING CO 67,300 $4.6M NEW
4237 PLPC PREFORMED LINE PRODS CO Industrials 22,470 $4.6M NEW
4238 IGOV ISHARES TR 111,409 $4.6M NEW
4239 EVH EVOLENT HEALTH INC Healthcare 6,900,000 $4.6M NEW
4240 UAA UNDER ARMOUR INC Consumer Cyclical 960,167 $4.6M NEW
4241 PGZ PRINCIPAL REAL ESTATE INCOME Financial Services 460,262 $4.6M NEW
4242 EH3 AMARIN CORP PLC 330,109 $4.6M NEW
4243 TMC TMC THE METALS COMPANY INC Basic Materials 746,582 $4.6M NEW
4244 CBLL CERIBELL INC Healthcare 209,668 $4.6M NEW
4245 TLTD FLEXSHARES TR 49,528 $4.6M NEW
4246 EDF VIRTUS STONE HBR EMRG MKTS I Financial Services 921,403 $4.6M NEW
4247 GGZ GABELLI GLOBAL SMALL & MID C Financial Services 304,727 $4.6M NEW
4248 SVV SAVERS VALUE VLG INC Consumer Cyclical 489,306 $4.6M NEW
4249 TDTF FLEXSHARES TR 189,368 $4.5M NEW
4250 ASIX ADVANSIX INC Basic Materials 261,856 $4.5M NEW
4251 IIF MORGAN STANLEY INDIA INVT FD Financial Services 181,241 $4.5M NEW
4252 ALPHA & OMEGA SEMICONDUCTOR 228,233 $4.5M NEW
4253 ODC OIL DRI CORP AMER Basic Materials 92,229 $4.5M NEW
4254 PACB PACIFIC BIOSCIENCES CALIF IN Healthcare 2,410,540 $4.5M NEW
4255 CTEV CLARITEV CORPORATION Healthcare 105,367 $4.5M NEW
4256 BFST BUSINESS FIRST BANCSHARES IN Financial Services 172,090 $4.5M NEW
4257 DGICB DONEGAL GROUP INC Financial Services 224,929 $4.5M NEW
4258 BNO UNITED STS BRENT OIL FD LP Financial Services 158,486 $4.5M NEW
4259 BLTE BELITE BIO INC Healthcare 28,013 $4.5M NEW
4260 FREL FIDELITY COVINGTON TRUST 166,630 $4.5M NEW
4261 PPIH PERMA-PIPE INTL HLDGS INC Industrials 147,336 $4.5M NEW
4262 HGTY HAGERTY INC Financial Services 332,819 $4.5M NEW
4263 SERV SERVE ROBOTICS INC Industrials 430,919 $4.5M NEW
4264 SIZE ISHARES TR 27,522 $4.4M NEW
4265 BETA BETA TECHNOLOGIES INC Industrials 157,441 $4.4M NEW
4266 RPAY REPAY HLDGS CORP Technology 1,214,955 $4.4M NEW
4267 EAGL 2023 ETF SERIES TRUST 136,600 $4.4M NEW
4268 NIU NIU TECHNOLOGIES Consumer Cyclical 1,462,807 $4.4M NEW
4269 KEMQ KRANESHARES TRUST 179,609 $4.4M NEW
4270 KTCC KEY TRONIC CORP Technology 1,586,457 $4.4M NEW
4271 WASH WASHINGTON TR BANCORP INC Financial Services 149,736 $4.4M NEW
4272 DFH DREAM FINDERS HOMES INC Consumer Cyclical 258,526 $4.4M NEW
4273 QLV FLEXSHARES TR 61,276 $4.4M NEW
4274 FTNY PUTNAM ETF TRUST 562,747 $4.4M NEW
4275 CNL COLLECTIVE MINING LTD Basic Materials 302,566 $4.4M NEW
4276 YEXT YEXT INC Technology 546,801 $4.4M NEW
4277 GRDN GUARDIAN PHARMACY SVCS INC Healthcare 146,251 $4.4M NEW
4278 BILL BILL HOLDINGS INC Technology 4,655,000 $4.4M NEW
4279 CCSI CONSENSUS CLOUD SOLUTIONS IN Technology 201,546 $4.4M NEW
4280 TRIN TRINITY CAP INC Financial Services 300,160 $4.4M NEW
4281 TREE LENDINGTREE INC NEW Financial Services 82,749 $4.4M NEW
4282 CION CION INVT CORP Financial Services 453,788 $4.4M NEW
4283 CLBK COLUMBIA FINL INC Financial Services 282,247 $4.4M NEW
4284 AIOT POWERFLEET INC Technology 823,929 $4.4M NEW
4285 ZTR VIRTUS TOTAL RETURN FD INC Financial Services 695,521 $4.4M NEW
4286 XRX XEROX HOLDINGS CORP Technology 1,847,573 $4.4M NEW
4287 CSAN COSAN S A Energy 1,105,472 $4.4M NEW
4288 NTSX WISDOMTREE TR 79,596 $4.4M NEW
4289 DMAC DIAMEDICA THERAPEUTICS INC Healthcare 547,610 $4.4M NEW
4290 XRMMX RIVERNORTH MANAGED DUR MUN I 319,589 $4.3M NEW
4291 PNNT PENNANTPARK INVT CORP Financial Services 729,571 $4.3M NEW
4292 RHLD RESOLUTE HLDGS MGMT INC Industrials 21,050 $4.3M NEW
4293 SMRT SMARTRENT INC Technology 2,145,427 $4.3M NEW
4294 DEW WISDOMTREE TR 70,332 $4.3M NEW
4295 SHEN SHENANDOAH TELECOMMUNICATION Communication Services 372,671 $4.3M NEW
4296 COLO GLOBAL X FDS 120,635 $4.3M NEW
4297 PMO PUTNAM MUN OPPORTUNITIES TR Financial Services 401,211 $4.3M NEW
4298 TCPC BLACKROCK TCP CAPITAL CORP Financial Services 784,708 $4.3M NEW
4299 IBHG ISHARES TR 192,290 $4.3M NEW
4300 MAPS WM TECHNOLOGY INC Technology 5,201,555 $4.3M NEW
4301 MCS MARCUS CORP DEL Communication Services 276,331 $4.3M NEW
4302 SB SAFE BULKERS INC Industrials 887,177 $4.3M NEW
4303 KOS KOSMOS ENERGY LTD Energy 4,709,209 $4.3M NEW
4304 ASTL ALGOMA STL GROUP INC Basic Materials 1,040,539 $4.3M NEW
4305 ALTL PACER FDS TR 99,291 $4.3M NEW
4306 HY HYSTER-YALE INC Industrials 143,178 $4.3M NEW
4307 LOVE LOVESAC COMPANY Consumer Cyclical 287,524 $4.2M NEW
4308 VREX VAREX IMAGING CORP Healthcare 362,627 $4.2M NEW
4309 EDN EMPRESA DIST Y COMERCIAL NOR Utilities 140,773 $4.2M NEW
4310 BCAL CALIFORNIA BANCORP Financial Services 225,851 $4.2M NEW
4311 SOR SOURCE CAPITAL Financial Services 91,963 $4.2M NEW
4312 BSL BLACKSTONE SENI FLTN RAT 202 Financial Services 311,419 $4.2M NEW
4313 UAE ISHARES TR 219,267 $4.2M NEW
4314 MSB MESABI TR Financial Services 108,742 $4.2M NEW
4315 UDMY UDEMY INC Consumer Defensive 715,922 $4.2M NEW
4316 IRS IRSA INVERSIONES Y REP S A Industrials 253,024 $4.2M NEW
4317 BSRR SIERRA BANCORP Financial Services 128,019 $4.2M NEW
4318 DHF BNY MELLON HIGH YIELD STRATE Financial Services 1,686,256 $4.2M NEW
4319 BETR BETTER HOME & FINANCE HOLDIN Financial Services 128,311 $4.2M NEW
4320 SMA SMARTSTOP SELF STORAG REIT I Real Estate 135,040 $4.2M NEW
4321 TQQQ PROSHARES TR 78,980 $4.2M NEW
4322 XSSPX NUVEEN S&P 500 DYNAMIC OVERW 230,724 $4.2M NEW
4323 DBX DROPBOX INC Technology 4,202,000 $4.2M NEW
4324 XPCQX PIMCO CALIF MUN INCOME FD 476,390 $4.2M NEW
4325 PSTL POSTAL REALTY TRUST INC Real Estate 257,173 $4.2M NEW
4326 HTLD HEARTLAND EXPRESS INC Industrials 458,417 $4.1M NEW
4327 WTBA WEST BANCORPORATION INC Financial Services 186,214 $4.1M NEW
4328 BIOA BIOAGE LABS INC Healthcare 311,659 $4.1M NEW
4329 BLACKROCK MUNIHLDGS NY QLTY 402,932 $4.1M NEW
4330 CTOS CUSTOM TRUCK ONE SOURCE INC Industrials 714,693 $4.1M NEW
4331 ASLE AERSALE CORPORATION Industrials 577,909 $4.1M NEW
4332 NHS NEUBERGER HIGH YIELD ST FD I Financial Services 552,232 $4.1M NEW
4333 MAMA MAMAS CREATIONS INC Consumer Defensive 304,292 $4.1M NEW
4334 SOCL GLOBAL X FDS 74,306 $4.1M NEW
4335 ZUMZ ZUMIEZ INC Consumer Cyclical 157,072 $4.1M NEW
4336 EYPT EYEPOINT INC Healthcare 223,699 $4.1M NEW
4337 PHK PIMCO HIGH INCOME FD Financial Services 840,360 $4.1M NEW
4338 BW BABCOCK & WILCOX ENTERPRISES Industrials 642,573 $4.1M NEW
4339 NB NIOCORP DEVS LTD Basic Materials 766,546 $4.1M NEW
4340 PRME PRIME MEDICINE INC Healthcare 1,169,898 $4.1M NEW
4341 IBTP ISHARES TR 157,174 $4.1M NEW
4342 NFGC NEW FOUND GOLD CORP Basic Materials 1,364,018 $4.1M NEW
4343 GHI GREYSTONE HOUSING IMPACT INV Financial Services 587,823 $4.1M NEW
4344 IVVD INVIVYD INC Healthcare 1,638,367 $4.0M NEW
4345 COIN COINBASE GLOBAL INC Financial Services 4,051,000 $4.0M NEW
4346 SIBN SI-BONE INC Healthcare 204,899 $4.0M NEW
4347 DJCO DAILY JOURNAL CORP Technology 8,288 $4.0M NEW
4348 NNDM NANO DIMENSION LTD Technology 2,618,051 $4.0M NEW
4349 RPC P10 INC Financial Services 408,459 $4.0M NEW
4350 SENEA SENECA FOODS CORP NEW Consumer Defensive 36,208 $4.0M NEW
4351 GDL GDL FD Financial Services 472,773 $4.0M NEW
4352 CERS CERUS CORP Healthcare 1,940,157 $4.0M NEW
4353 EQBK EQUITY BANCSHARES INC Financial Services 88,948 $4.0M NEW
4354 FELC FIDELITY COVINGTON TRUST 103,903 $4.0M NEW
4355 EVTL VERTICAL AEROSPACE LTD Industrials 743,030 $4.0M NEW
4356 LYTS LSI INDS INC OHIO Technology 216,133 $4.0M NEW
4357 ECON COLUMBIA ETF TR II 144,778 $4.0M NEW
4358 OBNK ORIGIN BANCORP INC Financial Services 105,191 $4.0M NEW
4359 CNDT CONDUENT INC Technology 2,052,829 $3.9M NEW
4360 DUHP DIMENSIONAL ETF TRUST 103,530 $3.9M NEW
4361 BHB BAR HBR BANKSHARES Financial Services 126,576 $3.9M NEW
4362 KELYA KELLY SVCS INC Industrials 445,674 $3.9M NEW
4363 CRSR CORSAIR GAMING INC Technology 659,379 $3.9M NEW
4364 OPPJ WISDOMTREE TR 84,386 $3.9M NEW
4365 HTB HOMETRUST BANCSHARES INC Financial Services 91,161 $3.9M NEW
4366 CLOI VANECK ETF TRUST 74,083 $3.9M NEW
4367 SCJ ISHARES INC 42,551 $3.9M NEW
4368 PJP INVESCO EXCHANGE TRADED FD T 37,356 $3.9M NEW
4369 AWK 3.625 06/15/26 AMERICAN WTR CAP CORP 3,918,000 $3.9M NEW
4370 PLTK PLAYTIKA HLDG CORP Technology 984,640 $3.9M NEW
4371 LXU LSB INDS INC Basic Materials 457,368 $3.9M NEW
4372 EIM EATON VANCE MUN BD FD Financial Services 399,534 $3.9M NEW
4373 CVY INVESCO EXCHANGE TRADED FD T 144,894 $3.9M NEW
4374 FLY FIREFLY AEROSPACE INC Industrials 173,343 $3.9M NEW
4375 DAKT DAKTRONICS INC Technology 195,436 $3.9M NEW
4376 SBGI SINCLAIR INC Communication Services 250,583 $3.8M NEW
4377 AIVI WISDOMTREE TR 73,648 $3.8M NEW
4378 XMVTX BLACKROCK MUNIVEST FD II INC 354,072 $3.8M NEW
4379 PBT PERMIAN BASIN RTY TR Energy 224,661 $3.8M NEW
4380 BCV BANCROFT FD LTD Financial Services 172,388 $3.8M NEW
4381 SMOG VANECK ETF TRUST 29,342 $3.8M NEW
4382 HTEC EXCHANGE TRADED CONCEPTS TRU 107,547 $3.8M NEW
4383 ODV OSISKO DEVELOPMENT CORP Basic Materials 1,088,016 $3.8M NEW
4384 COFS CHOICEONE FINL SVCS INC Financial Services 128,572 $3.8M NEW
4385 AIP ARTERIS INC Technology 244,695 $3.8M NEW
4386 BAND BANDWIDTH INC Technology 245,250 $3.8M NEW
4387 RMMZ RIVERNORTH MANAGED DUR MUN I Financial Services 260,598 $3.8M NEW
4388 QHY WISDOMTREE TR 81,398 $3.8M NEW
4389 INR INFINITY NAT RES INC Energy 256,561 $3.8M NEW
4390 RCS PIMCO STRATEGIC INCOME FD Financial Services 678,370 $3.8M NEW
4391 BKIE BNY MELLON ETF TRUST 40,773 $3.8M NEW
4392 JRVR JAMES RIV GROUP HOLDINGS INC Financial Services 593,081 $3.8M NEW
4393 CIVB CIVISTA BANCSHARES INC Financial Services 169,180 $3.8M NEW
4394 INGN INOGEN INC Healthcare 558,368 $3.8M NEW
4395 FTRI FIRST TR EXCHANGE TRADED FD 239,370 $3.8M NEW
4396 CRVO CERVOMED INC Healthcare 474,494 $3.7M NEW
4397 FCOR FIDELITY MERRIMACK STR TR 78,358 $3.7M NEW
4398 LENZ LENZ THERAPEUTICS INC Healthcare 233,382 $3.7M NEW
4399 WB WEIBO CORP Communication Services 365,341 $3.7M NEW
4400 VLRS CONTROLADORA VUELA COMP DE A Industrials 419,793 $3.7M NEW
4401 TRNS TRANSCAT INC Industrials 65,510 $3.7M NEW
4402 GNT GAMCO NAT RES GOLD & INCOME Financial Services 497,307 $3.7M NEW
4403 ORKA ORUKA THERAPEUTICS INC Healthcare 122,198 $3.7M NEW
4404 XEVGX EATON VANCE SHORT DURATION D 338,025 $3.7M NEW
4405 IVR INVESCO MORTGAGE CAPITAL INC Real Estate 438,738 $3.7M NEW
4406 EIDO ISHARES TR 197,154 $3.7M NEW
4407 SRTA STRATA CRITICAL MEDICAL INC Industrials 766,449 $3.7M NEW
4408 FCVT FIRST TR EXCHANGE-TRADED FD 85,635 $3.7M NEW
4409 WLKP WESTLAKE CHEM PARTNERS LP Basic Materials 193,238 $3.7M NEW
4410 MSBI MIDLAND STATES BANCORP INC Financial Services 173,128 $3.7M NEW
4411 XMVFX BLACKROCK MUNIVEST FD INC 528,219 $3.7M NEW
4412 ELD WISDOMTREE TR 125,151 $3.7M NEW
4413 MSTR STRATEGY INC Technology 46,295 $3.6M NEW
4414 SILA SILA REALTY TRUST INC Real Estate 156,343 $3.6M NEW
4415 SOJF SOUTHERN CO Utilities 3,398,000 $3.6M NEW
4416 CEMB ISHARES INC 79,035 $3.6M NEW
4417 PZT INVESCO EXCH TRADED FD TR II 162,123 $3.6M NEW
4418 GSM FERROGLOBE PLC Basic Materials 778,926 $3.6M NEW
4419 JSPR JASPER THERAPEUTICS INC Healthcare 1,969,785 $3.6M NEW
4420 III INFORMATION SVCS GROUP INC Technology 622,274 $3.6M NEW
4421 LEO BNY MELLON STRATEGIC MUNS IN Financial Services 565,469 $3.6M NEW
4422 FTMH PUTNAM ETF TRUST 310,803 $3.6M NEW
4423 TCBX THIRD COAST BANCSHARES INC Financial Services 94,446 $3.6M NEW
4424 OTF BLUE OWL TECHNOLOGY FIN CORP Financial Services 246,718 $3.6M NEW
4425 FSUN FIRSTSUN CAP BANCORP Financial Services 95,310 $3.6M NEW
4426 MOFG MIDWESTONE FINL GROUP INC NE 93,054 $3.6M NEW
4427 RZLT REZOLUTE INC Healthcare 1,516,435 $3.6M NEW
4428 MED MEDIFAST INC Consumer Cyclical 334,858 $3.6M NEW
4429 TDAY USA TODAY CO INC Communication Services 693,553 $3.6M NEW
4430 XSHQ INVESCO EXCH TRADED FD TR II 84,528 $3.6M NEW
4431 SSYS STRATASYS LTD Technology 407,043 $3.5M NEW
4432 TDF TEMPLETON DRAGON FD INC Financial Services 312,775 $3.5M NEW
4433 XFRAX BLACKROCK FLOATING RATE INCO 298,840 $3.5M NEW
4434 IAE VOYA ASIA PAC HIGH DIV EQT I Financial Services 482,249 $3.5M NEW
4435 FEIM FREQUENCY ELECTRS INC Technology 65,203 $3.5M NEW
4436 CEE CENTRAL & EASTERN EUROPE FD Financial Services 198,255 $3.5M NEW
4437 DDD 3-D SYS CORP DEL Technology 1,979,438 $3.5M NEW
4438 PGC PEAPACK-GLADSTONE FINL CORP Financial Services 125,348 $3.5M NEW
4439 CDEI MORGAN STANLEY ETF TRUST 42,080 $3.5M NEW
4440 VTMX VESTA REAL ESTATE CORP Real Estate 114,153 $3.5M NEW
4441 IBMR ISHARES TR 136,578 $3.5M NEW
4442 PFD FLAHERTY & CRUMRINE PFD INCO Financial Services 292,438 $3.5M NEW
4443 PGHY INVESCO EXCH TRADED FD TR II 174,464 $3.5M NEW
4444 DIVB ISHARES TR 65,255 $3.5M NEW
4445 F FORD MTR CO Consumer Cyclical 3,335,000 $3.5M NEW
4446 ANGO ANGIODYNAMICS INC Healthcare 269,104 $3.5M NEW
4447 KARO KAROOOOO LTD Technology 75,914 $3.5M NEW
4448 OPRA OPERA LTD Communication Services 242,401 $3.4M NEW
4449 CHINA YUCHAI INTL LTD 96,322 $3.4M NEW
4450 RSPR INVESCO EXCHANGE TRADED FD T 101,626 $3.4M NEW
4451 CLMB CLIMB GLOBAL SOLUTIONS INC Technology 33,221 $3.4M NEW
4452 ATNI ATN INTL INC Communication Services 149,721 $3.4M NEW
4453 GOTU GAOTU TECHEDU INC Consumer Defensive 1,469,385 $3.4M NEW
4454 OFIX ORTHOFIX MED INC Healthcare 224,643 $3.4M NEW
4455 SVIX VS TRUST Financial Services 140,512 $3.4M NEW
4456 ALDX ALDEYRA THERAPEUTICS INC Healthcare 657,032 $3.4M NEW
4457 BLACKROCK MUN INCOME TR 339,289 $3.4M NEW
4458 MTRX MATRIX SVC CO Industrials 290,322 $3.4M NEW
4459 ABAT AMERICAN BATTERY TECHNOLOGY Basic Materials 1,015,801 $3.4M NEW
4460 GIC GLOBAL INDUSTRIAL COMPANY Industrials 115,910 $3.4M NEW
4461 BXC BLUELINX HLDGS INC Industrials 55,130 $3.4M NEW
4462 VFF VILLAGE FARMS INTL INC Consumer Defensive 922,464 $3.4M NEW
4463 PSCH INVESCO EXCH TRADED FD TR II 76,416 $3.4M NEW
4464 SLS SELLAS LIFE SCIENCES GROUP I Healthcare 890,929 $3.4M NEW
4465 AKAM AKAMAI TECHNOLOGIES INC Technology 3,341,000 $3.3M NEW
4466 BBCB J P MORGAN EXCHANGE TRADED F 73,064 $3.3M NEW
4467 ONTF ON24 INC 419,851 $3.3M NEW
4468 LCTX LINEAGE CELL THERAPEUTICS IN Healthcare 1,998,663 $3.3M NEW
4469 HBCP HOME BANCORP INC Financial Services 57,701 $3.3M NEW
4470 DMRC DIGIMARC CORP NEW Technology 507,460 $3.3M NEW
4471 UPB UPSTREAM BIO INC Healthcare 122,068 $3.3M NEW
4472 AGQI FIRST TR EXCHNG TRADED FD VI 200,858 $3.3M NEW
4473 FMBH FIRST MID ILL BANCSHARES INC Financial Services 84,477 $3.3M NEW
4474 BCYC BICYCLE THERAPEUTICS PLC Healthcare 465,222 $3.3M NEW
4475 CLNE CLEAN ENERGY FUELS CORP Energy 1,568,054 $3.3M NEW
4476 MCI BARINGS CORPORATE INVS Financial Services 181,313 $3.3M NEW
4477 HEQ JOHN HANCOCK DIVERSIFIED INC Financial Services 305,817 $3.3M NEW
4478 IEUS ISHARES TR 47,716 $3.3M NEW
4479 CXSE WISDOMTREE TR 81,393 $3.3M NEW
4480 JOF JAPAN SMALLER CAPITALIZATION Financial Services 294,575 $3.3M NEW
4481 MIN MFS INTER INCOME TR Financial Services 1,244,987 $3.2M NEW
4482 SNSR GLOBAL X FDS 87,896 $3.2M NEW
4483 LEMB ISHARES INC 78,073 $3.2M NEW
4484 GROV GROVE COLLABORATIVE HOLD INC Consumer Defensive 2,946,992 $3.2M NEW
4485 OBE OBSIDIAN ENERGY LTD Energy 527,197 $3.2M NEW
4486 VLGEA VILLAGE SUPER MKT INC Consumer Defensive 91,294 $3.2M NEW
4487 ACCO ACCO BRANDS CORP Industrials 864,736 $3.2M NEW
4488 DH DEFINITIVE HEALTHCARE CORP Healthcare 1,123,646 $3.2M NEW
4489 IMRX IMMUNEERING CORP Healthcare 489,617 $3.2M NEW
4490 THFF FIRST FINANCIAL CORPORATION Financial Services 53,270 $3.2M NEW
4491 ABNB AIRBNB INC Consumer Cyclical 3,244,000 $3.2M NEW
4492 PKE PARK AEROSPACE CORP Industrials 150,349 $3.2M NEW
4493 PRGS 1 04/15/26 PROGRESS SOFTWARE CORP 3,225,000 $3.2M NEW
4494 KRUS KURA SUSHI USA INC Consumer Cyclical 61,191 $3.2M NEW
4495 KBWP INVESCO EXCH TRADED FD TR II 25,105 $3.2M NEW
4496 FMNB FARMERS NATIONAL BANC CORP Financial Services 239,650 $3.2M NEW
4497 MITK MITEK SYS INC Technology 301,852 $3.2M NEW
4498 RZG INVESCO EXCHANGE TRADED FD T 58,348 $3.2M NEW
4499 NVEC NVE CORP Technology 53,447 $3.2M NEW
4500 GLU GABELLI GLOBL UTIL & INCOME Financial Services 164,514 $3.2M NEW
4501 DKL DELEK LOGISTICS PARTNERS LP Energy 70,976 $3.2M NEW
4502 RBB RBB BANCORP Financial Services 153,311 $3.2M NEW
4503 VBF INVESCO BD FD Financial Services 205,026 $3.2M NEW
4504 NATIONAL ENERGY SERVICES REU 201,749 $3.2M NEW
4505 KODK EASTMAN KODAK CO Industrials 373,250 $3.2M NEW
4506 MEI METHODE ELECTRS INC Technology 474,121 $3.1M NEW
4507 FDHY FIDELITY COVINGTON TRUST 63,767 $3.1M NEW
4508 PCF HIGH INCOME SECS FD Financial Services 510,769 $3.1M NEW
4509 AVO MISSION PRODUCE INC Consumer Defensive 270,491 $3.1M NEW
4510 TYRA TYRA BIOSCIENCES INC Healthcare 118,898 $3.1M NEW
4511 PERI PERION NETWORK LTD Communication Services 325,964 $3.1M NEW
4512 DCTH DELCATH SYS INC Healthcare 308,550 $3.1M NEW
4513 XPER XPERI INC Technology 531,752 $3.1M NEW
4514 AGQ PROSHARES TR II Financial Services 20,057 $3.1M NEW
4515 ASND ASCENDIS PHARMA A/S Healthcare 2,191,000 $3.1M NEW
4516 SCHI SCHWAB STRATEGIC TR 135,026 $3.1M NEW
4517 DFAI DIMENSIONAL ETF TRUST 81,257 $3.1M NEW
4518 MUA BLACKROCK MUNIASSETS FD INC Financial Services 288,637 $3.1M NEW
4519 ERTH INVESCO EXCHANGE TRADED FD T 65,469 $3.1M NEW
4520 AADR ADVISORSHARES TR 35,761 $3.1M NEW
4521 TUYA TUYA INC Technology 1,461,164 $3.1M NEW
4522 AMC AMC ENTMT HLDGS INC Communication Services 1,976,245 $3.1M NEW
4523 PXI INVESCO EXCHANGE TRADED FD T 68,051 $3.1M NEW
4524 DCBO DOCEBO INC Technology 138,536 $3.1M NEW
4525 DTEC ALPS ETF TR 63,159 $3.1M NEW
4526 RNGR RANGER ENERGY SVCS INC Energy 219,157 $3.1M NEW
4527 FFIC FLUSHING FINL CORP Financial Services 201,497 $3.1M NEW
4528 WTI W & T OFFSHORE INC Energy 1,870,969 $3.0M NEW
4529 WOOF PETCO HEALTH & WELLNESS CO I Consumer Cyclical 1,081,040 $3.0M NEW
4530 TOUR TUNIU CORP Consumer Cyclical 4,894,748 $3.0M NEW
4531 ESG FLEXSHARES TR 19,172 $3.0M NEW
4532 GDRX GOODRX HLDGS INC Healthcare 1,118,427 $3.0M NEW
4533 AXIA/P CENTRAIS ELET BRAS SA 323,723 $3.0M NEW
4534 SIGA SIGA TECHNOLOGIES INC Healthcare 494,456 $3.0M NEW
4535 THD* ISHARES INC 50,585 $3.0M NEW
4536 NZAC SPDR INDEX SHS FDS 70,350 $3.0M NEW
4537 CLW CLEARWATER PAPER CORP Basic Materials 173,282 $3.0M NEW
4538 ERAS ERASCA INC Healthcare 810,385 $3.0M NEW
4539 CBAN COLONY BANKCORP INC Financial Services 168,988 $3.0M NEW
4540 EIRL ISHARES TR 40,915 $3.0M NEW
4541 CVLG COVENANT LOGISTICS GROUP INC Industrials 136,403 $3.0M NEW
4542 ETSY ETSY INC Consumer Cyclical 3,365,000 $3.0M NEW
4543 MKC/V MCCORMICK & CO INC 44,124 $3.0M NEW
4544 XLSR SSGA ACTIVE TR 48,155 $3.0M NEW
4545 LE LANDS END INC NEW Consumer Cyclical 206,121 $3.0M NEW
4546 FET FORUM ENERGY TECHNOLOGIES IN Energy 80,952 $3.0M NEW
4547 HAFNIA LTD 560,924 $3.0M NEW
4548 JCAP JEFFERSON CAPITAL INC Financial Services 133,669 $3.0M NEW
4549 IIIV I3 VERTICALS INC Technology 117,892 $3.0M NEW
4550 BL BLACKLINE INC Technology 3,005,000 $3.0M NEW
4551 BWB BRIDGEWATER BANCSHARES INC Financial Services 169,118 $3.0M NEW
4552 WATERSTONE FINL INC MD 178,624 $3.0M NEW
4553 FT FRANKLIN UNVL TR Financial Services 369,413 $3.0M NEW
4554 EVX VANECK ETF TRUST 77,088 $2.9M NEW
4555 CABA CABALETTA BIO INC Healthcare 1,343,708 $2.9M NEW
4556 CCIF CARLYLE CREDIT INCOME FUND Financial Services 627,331 $2.9M NEW
4557 PSL INVESCO EXCHANGE TRADED FD T 29,274 $2.9M NEW
4558 ICSH ISHARES TR 57,560 $2.9M NEW
4559 SGRT TIDAL TRUST I 116,245 $2.9M NEW
4560 DFIC DIMENSIONAL ETF TRUST 84,302 $2.9M NEW
4561 ARKB ARK 21SHARES BITCOIN ETF Financial Services 99,999 $2.9M NEW
4562 SEPN SEPTERNA INC Healthcare 103,985 $2.9M NEW
4563 GAMB GAMBLING COM GROUP LIMITED Consumer Cyclical 526,025 $2.9M NEW
4564 NEXN NEXXEN INTL LTD Communication Services 438,945 $2.9M NEW
4565 TOUS T ROWE PRICE ETF INC 83,127 $2.9M NEW
4566 DFEM DIMENSIONAL ETF TRUST 86,604 $2.9M NEW
4567 RUNN STRATEGIC TRUST 85,733 $2.9M NEW
4568 SY SO YOUNG INTERNATIONAL INC Healthcare 1,114,776 $2.9M NEW
4569 GOSS GOSSAMER BIO INC Healthcare 918,888 $2.8M NEW
4570 AMTB AMERANT BANCORP INC Financial Services 145,696 $2.8M NEW
4571 PUBM PUBMATIC INC Technology 320,392 $2.8M NEW
4572 GEF.B GREIF INC Industrials 37,932 $2.8M NEW
4573 BAR GRANITESHARES GOLD TR Financial Services 66,432 $2.8M NEW
4574 MOVAA MOVADO GROUP INC Consumer Cyclical 136,887 $2.8M NEW
4575 SRV NXG CUSHING MIDSTREAM ENERGY Financial Services 72,185 $2.8M NEW
4576 IFGL ISHARES TR 122,002 $2.8M NEW
4577 SCHK SCHWAB STRATEGIC TR 85,631 $2.8M NEW
4578 POWA INVESCO EXCH TRD SLF IDX FD 31,195 $2.8M NEW
4579 FMAT FIDELITY COVINGTON TRUST 52,669 $2.8M NEW
4580 V32S DIREXION SHS ETF TR 892,655 $2.8M NEW
4581 DMB BNY MELLON MUN BD INFRASTRUC Financial Services 253,914 $2.8M NEW
4582 BGH BARINGS GLOBAL SHORT DURATIO Financial Services 185,588 $2.8M NEW
4583 SFST SOUTHERN FIRST BANCSHARES Financial Services 54,052 $2.8M NEW
4584 AUTL AUTOLUS THERAPEUTICS PLC Healthcare 1,397,251 $2.8M NEW
4585 DFAU DIMENSIONAL ETF TRUST 59,296 $2.8M NEW
4586 VIXM PROSHARES TR II Financial Services 181,426 $2.8M NEW
4587 FBIZ FIRST BUSINESS FINL SVCS INC Financial Services 50,923 $2.8M NEW
4588 PRQR PROQR THRAPEUTICS N V Healthcare 1,367,119 $2.8M NEW
4589 LAW CS DISCO INC Technology 355,218 $2.8M NEW
4590 EARN ELLINGTON CREDIT COMPANY Financial Services 521,666 $2.7M NEW
4591 NLOP NET LEASE OFFICE PROPERTIES Real Estate 106,515 $2.7M NEW
4592 RFM RIVERNORTH FLEXIBLE MUN INCO Financial Services 196,392 $2.7M NEW
4593 HBT HBT FINL INC. Financial Services 106,100 $2.7M NEW
4594 COSTAMARE BULKERS HLDGS LTD 177,697 $2.7M NEW
4595 NREF NEXPOINT REAL ESTATE FIN INC Real Estate 194,271 $2.7M NEW
4596 VTES VANGUARD WELLINGTON FD 26,927 $2.7M NEW
4597 SWBI SMITH & WESSON BRANDS INC Industrials 276,712 $2.7M NEW
4598 LINC LINCOLN EDL SVCS CORP Consumer Defensive 112,821 $2.7M NEW
4599 VEGI ISHARES INC 70,549 $2.7M NEW
4600 SBIO ALPS ETF TR 53,101 $2.7M NEW
4601 FOA FINANCE OF AMERICA COMPAN Financial Services 112,083 $2.7M NEW
4602 GCV GABELLI CONV & INC SECS FD I Financial Services 651,280 $2.7M NEW
4603 CVRX CVRX INC Healthcare 380,641 $2.7M NEW
4604 GREK GLOBAL X FDS 40,925 $2.7M NEW
4605 CLDT CHATHAM LODGING TR Real Estate 396,057 $2.7M NEW
4606 DFP FLAHERTY & CRUMRINE DYNAMIC Financial Services 129,167 $2.7M NEW
4607 TRDA ENTRADA THERAPEUTICS INC Healthcare 260,251 $2.7M NEW
4608 HPF HANCOCK JOHN PFD INCOME FD I Financial Services 165,951 $2.7M NEW
4609 BXMT 5.5 03/15/27 BLACKSTONE MORTGAGE TRUST IN 2,699,000 $2.7M NEW
4610 CCBG CAPITAL CITY BK GROUP INC Financial Services 62,479 $2.7M NEW
4611 AXIA/PC CENTRAIS ELET BRAS SA 308,417 $2.7M NEW
4612 DXYZ DESTINY TECH100 INC 86,645 $2.7M NEW
4613 MCBS METROCITY BANKSHARES INC Financial Services 99,896 $2.7M NEW
4614 TBRG TRUBRIDGE INC Healthcare 119,834 $2.6M NEW
4615 BTSG 6.75 02/01/27 BRIGHTSPRING HEALTH SVCS INC 20,935 $2.6M NEW
4616 HVT HAVERTY FURNITURE COS INC Consumer Cyclical 112,971 $2.6M NEW
4617 BWMN BOWMAN CONSULTING GROUP LTD Industrials 79,715 $2.6M NEW
4618 PDT HANCOCK JOHN PREM DIVID FD Financial Services 207,166 $2.6M NEW
4619 DIM WISDOMTREE TR 32,590 $2.6M NEW
4620 SID COMPANHIA SIDERURGICA NACION Basic Materials 1,639,146 $2.6M NEW
4621 CHCT COMMUNITY HEALTHCARE TR INC Real Estate 159,445 $2.6M NEW
4622 RM REGIONAL MGMT CORP Financial Services 67,387 $2.6M NEW
4623 DKNG 0 03/15/28 DRAFTKINGS INC NEW 2,855,000 $2.6M NEW
4624 USSG DBX ETF TR 41,059 $2.6M NEW
4625 BYND BEYOND MEAT INC Consumer Defensive 3,169,088 $2.6M NEW
4626 LUXFER HLDGS PLC 191,831 $2.6M NEW
4627 FTSD FRANKLIN ETF TR 28,501 $2.6M NEW
4628 SD SANDRIDGE ENERGY INC Energy 179,048 $2.6M NEW
4629 ARHS ARHAUS INC Consumer Cyclical 230,195 $2.6M NEW
4630 GHYG ISHARES INC 55,854 $2.6M NEW
4631 NAZ NUVEEN ARIZONA QLTY MUN INC Financial Services 216,696 $2.6M NEW
4632 SES SES AI CORPORATION Consumer Cyclical 1,429,973 $2.6M NEW
4633 TLRY TILRAY BRANDS INC Healthcare 284,764 $2.6M NEW
4634 PDN INVESCO EXCH TRADED FD TR II 60,852 $2.6M NEW
4635 LTPZ PIMCO ETF TR 49,591 $2.6M NEW
4636 MILN GLOBAL X FDS 54,667 $2.6M NEW
4637 JELD JELD-WEN HLDG INC Industrials 1,042,746 $2.6M NEW
4638 LAND GLADSTONE LD CORP Real Estate 280,291 $2.6M NEW
4639 NRDS NERDWALLET INC Financial Services 189,197 $2.6M NEW
4640 EB4 EVENTBRITE INC 574,130 $2.6M NEW
4641 TLSI TRISALUS LIFE SCIENCES INC Healthcare 365,255 $2.5M NEW
4642 UVXY PROSHARES TR II Financial Services 70,812 $2.5M NEW
4643 BUZZ VANECK ETF TRUST 78,112 $2.5M NEW
4644 BDYN BLACKROCK ETF TRUST 99,086 $2.5M NEW
4645 PNW 4.75 06/15/27 PINNACLE WEST CAP CORP 2,370,000 $2.5M NEW
4646 JOUT JOHNSON OUTDOORS INC Consumer Cyclical 59,516 $2.5M NEW
4647 JBLU JETBLUE AIRWAYS CORP Industrials 2,611,000 $2.5M NEW
4648 BRBI BRBI BR PARTNERS S A Financial Services 181,789 $2.5M NEW
4649 PCYO PURE CYCLE CORP Utilities 229,445 $2.5M NEW
4650 KOLD PROSHARES TR II Financial Services 71,484 $2.5M NEW
4651 FTXR FIRST TR EXCHANGE TRADED FD 64,976 $2.5M NEW
4652 SOJF SOUTHERN CO Utilities 50,000 $2.5M NEW
4653 SABA SABA CAPITAL INCOME & OPPORT Financial Services 304,748 $2.5M NEW
4654 VRNS 1 09/15/29 VARONIS SYS INC 2,703,000 $2.5M NEW
4655 ABEO ABEONA THERAPEUTICS INC Healthcare 473,661 $2.5M NEW
4656 FXA INVESCO CURRENCYSHARES AUSTR Financial Services 37,753 $2.5M NEW
4657 IRWD IRONWOOD PHARMACEUTICALS INC Healthcare 739,685 $2.5M NEW
4658 IMXI INTERNATIONAL MNY EXPRESS IN Technology 162,009 $2.5M NEW
4659 LILAK LIBERTY LATIN AMERICA LTD Communication Services 335,826 $2.5M NEW
4660 KRMD KORU MEDICAL SYSTEMS INC Healthcare 427,026 $2.5M NEW
4661 CARE CARTER BANKSHARES INC Financial Services 126,189 $2.5M NEW
4662 MBI MBIA INC Financial Services 346,073 $2.5M NEW
4663 FUND SPROTT FOCUS TR INC Financial Services 285,138 $2.5M NEW
4664 GNE GENIE ENERGY LTD Utilities 179,384 $2.5M NEW
4665 XNQPX NUVEEN PENNSYLVANIA QLT MUN 207,598 $2.5M NEW
4666 RSPD INVESCO EXCHANGE TRADED FD T 43,228 $2.5M NEW
4667 NUSA NUSHARES ETF TR 105,092 $2.5M NEW
4668 GHYB GOLDMAN SACHS ETF TR 54,100 $2.5M NEW
4669 CASS CASS INFORMATION SYS INC Industrials 58,997 $2.4M NEW
4670 PFX PHENIXFIN CORP Financial Services 55,406 $2.4M NEW
4671 UTMD UTAH MED PRODS INC Healthcare 43,705 $2.4M NEW
4672 IRTC IRHYTHM TECHNOLOGIES INC Healthcare 1,752,000 $2.4M NEW
4673 OIA INVESCO MUNI INCOME OPP TRST Financial Services 406,161 $2.4M NEW
4674 MHF WESTERN ASSET MUN HIGH INCOM Financial Services 352,696 $2.4M NEW
4675 VTEX VTEX Technology 642,560 $2.4M NEW
4676 RSPM INVESCO EXCHANGE TRADED FD T 70,758 $2.4M NEW
4677 LPRO OPEN LENDING CORP Financial Services 1,553,976 $2.4M NEW
4678 SPFI SOUTH PLAINS FINANCIAL INC Financial Services 62,057 $2.4M NEW
4679 HUMA HUMACYTE INC Healthcare 2,505,428 $2.4M NEW
4680 WW WW INTL INC Consumer Cyclical 82,089 $2.4M NEW
4681 ATEX ANTERIX INC Communication Services 109,445 $2.4M NEW
4682 CRML CRITICAL METALS CORP Basic Materials 344,068 $2.4M NEW
4683 AVNW AVIAT NETWORKS INC Technology 111,579 $2.4M NEW
4684 GLIBK GCI LIBERTY INC Communication Services 64,665 $2.4M NEW
4685 FRMI FERMI INC Utilities 297,129 $2.4M NEW
4686 RMI RIVERNORTH OPPORTUNISTIC MUN Financial Services 165,549 $2.4M NEW
4687 SGDJ SPROTT ETF TRUST 28,157 $2.4M NEW
4688 CRMT AMERICAS CAR-MART INC Consumer Cyclical 93,679 $2.4M NEW
4689 IVA INVENTIVA SA Healthcare 507,701 $2.4M NEW
4690 NVST 1.75 08/15/28 ENVISTA HOLDINGS CORPORATION 2,461,000 $2.4M NEW
4691 FBCV FIDELITY COVINGTON TRUST 66,144 $2.4M NEW
4692 EBF ENNIS INC Industrials 130,871 $2.4M NEW
4693 CGC CANOPY GROWTH CORP Healthcare 2,064,852 $2.4M NEW
4694 AEBI SCHMIDT HLDG AG 185,952 $2.4M NEW
4695 FMF FIRST TR EXCHANGE-TRADED FD 49,942 $2.3M NEW
4696 DBVT DBV TECHNOLOGIES S A Healthcare 122,495 $2.3M NEW
4697 FRST PRIMIS FINANCIAL CORP Financial Services 168,572 $2.3M NEW
4698 SPOK SPOK HLDGS INC Healthcare 177,693 $2.3M NEW
4699 FLSP FRANKLIN TEMPLETON ETF TR 87,040 $2.3M NEW
4700 AVIR ATEA PHARMACEUTICALS INC Healthcare 656,075 $2.3M NEW
4701 METCB RAMACO RES INC Energy 199,083 $2.3M NEW
4702 NNY NUVEEN N Y MUN VALUE FD Financial Services 272,853 $2.3M NEW
4703 EPM EVOLUTION PETE CORP Energy 659,963 $2.3M NEW
4704 SPCE VIRGIN GALACTIC HOLDINGS INC Industrials 727,289 $2.3M NEW
4705 RGP RESOURCES CONNECTION INC Industrials 462,932 $2.3M NEW
4706 ESML ISHARES TR 50,692 $2.3M NEW
4707 PFIS PEOPLES FINL SVCS CORP Financial Services 47,795 $2.3M NEW
4708 CD8 CRESUD S A C I F Y A 183,853 $2.3M NEW
4709 INVZ INNOVIZ TECHNOLOGIES LTD Consumer Cyclical 2,715,492 $2.3M NEW
4710 ALH ALLIANCE LAUNDRY HLDGS INC Consumer Cyclical 113,669 $2.3M NEW
4711 MASS 908 DEVICES INC Healthcare 440,486 $2.3M NEW
4712 FCEL FUELCELL ENERGY INC Industrials 315,275 $2.3M NEW
4713 VERX VERTEX INC Technology 2,430,000 $2.3M NEW
4714 XYZ BLOCK INC Technology 2,487,000 $2.3M NEW
4715 TIPX SPDR SERIES TRUST 120,335 $2.3M NEW
4716 SBI WESTERN ASSET INTER MUNI FD Financial Services 298,824 $2.3M NEW
4717 FRBA FIRST BK WILLIAMSTOWN NEW JE Financial Services 139,269 $2.3M NEW
4718 TTAM TITAN AMER SA Basic Materials 138,944 $2.3M NEW
4719 KARS KRANESHARES TRUST 74,950 $2.3M NEW
4720 VFL ABRDN NATL MUN INCOME FD Financial Services 221,437 $2.3M NEW
4721 CHMG CHEMUNG FINL CORP Financial Services 40,748 $2.3M NEW
4722 GGLL DIREXION SHS ETF TR 23,414 $2.3M NEW
4723 KESTRA MED TECHNOLOGIES LTD 85,452 $2.3M NEW
4724 KRNY KEARNY FINL CORP MD Financial Services 305,448 $2.3M NEW
4725 EAF GRAFTECH INTL LTD Industrials 145,850 $2.3M NEW
4726 HSHP HIMALAYA SHIPPING LTD Industrials 248,390 $2.3M NEW
4727 GRNT GRANITE RIDGE RESOURCES INC Energy 480,639 $2.3M NEW
4728 OCCIO OFS CREDIT COMPANY INC Financial Services 466,311 $2.3M NEW
4729 BVS BIOVENTUS INC Healthcare 302,258 $2.2M NEW
4730 GDE WISDOMTREE TR 36,445 $2.2M NEW
4731 NRGV ENERGY VAULT HOLDINGS INC Utilities 486,451 $2.2M NEW
4732 LYV 3.125 01/15/29 LIVE NATION ENTERTAINMENT IN 1,541,000 $2.2M NEW
4733 BMVP INVESCO EXCHANGE TRADED FD T 45,793 $2.2M NEW
4734 DSM BNY MELLON STRATEGIC MUN BD Financial Services 362,328 $2.2M NEW
4735 LKFT GALAPAGOS NV 68,285 $2.2M NEW
4736 SLDB SOLID BIOSCIENCES INC Healthcare 394,266 $2.2M NEW
4737 RZV INVESCO EXCHANGE TRADED FD T 18,679 $2.2M NEW
4738 USAS AMERICAS GOLD AND SILVER COR Basic Materials 433,467 $2.2M NEW
4739 SKIL SKILLSOFT CORP Consumer Defensive 237,402 $2.2M NEW
4740 CHIQ GLOBAL X FDS 103,428 $2.2M NEW
4741 ACEL ACCEL ENTERTAINMENT INC Consumer Cyclical 192,469 $2.2M NEW
4742 VEL VELOCITY FINL INC Financial Services 105,527 $2.2M NEW
4743 NECB NORTHEAST CMNTY BANCORP INC Financial Services 96,807 $2.2M NEW
4744 EVEX EVE HLDG INC Industrials 548,498 $2.2M NEW
4745 ZGN ERMENEGILDO ZEGNA N V Consumer Cyclical 212,858 $2.2M NEW
4746 SRI STONERIDGE INC Consumer Cyclical 376,079 $2.2M NEW
4747 VMD VIEMED HEALTHCARE INC Healthcare 292,771 $2.2M NEW
4748 ILPT INDUSTRIAL LOGISTICS PPTYS T Real Estate 392,456 $2.2M NEW
4749 FLG 6 11/01/51 FLAGSTAR BANK NATIONAL ASSOC 54,268 $2.2M NEW
4750 KINS KINGSTONE COS INC Financial Services 129,094 $2.2M NEW
4751 BVE DIAMOND HILL INVT GROUP INC 12,748 $2.2M NEW
4752 STKL SUNOPTA INC Consumer Defensive 568,603 $2.2M NEW
4753 FBLA FB BANCORP INC Financial Services 168,041 $2.2M NEW
4754 AGRO ADECOAGRO S A Consumer Defensive 272,196 $2.2M NEW
4755 SI SHOULDER INNOVATIONS INC Healthcare 150,794 $2.2M NEW
4756 ACV VIRTUS DIVERSIFIED INCM & CO Financial Services 81,974 $2.2M NEW
4757 AVD AMERICAN VANGUARD CORP Basic Materials 560,447 $2.1M NEW
4758 VYGR VOYAGER THERAPEUTICS INC Healthcare 544,114 $2.1M NEW
4759 GTOP GOLDMAN SACHS ETF TR 54,100 $2.1M NEW
4760 ACH OWENS & MINOR INC NEW Healthcare 762,757 $2.1M NEW
4761 LOCO EL POLLO LOCO HLDGS INC Consumer Cyclical 204,177 $2.1M NEW
4762 KC KINGSOFT CLOUD HLDGS LTD Technology 206,541 $2.1M NEW
4763 U UNITY SOFTWARE INC Technology 2,210,000 $2.1M NEW
4764 OUNZ VANECK MERK GOLD ETF Financial Services 51,172 $2.1M NEW
4765 DSGR DISTRIBUTION SOLUTIONS GRP I Industrials 77,247 $2.1M NEW
4766 VXX BARCLAYS BANK PLC Financial Services 79,877 $2.1M NEW
4767 XXY CROSS CTRY HEALTHCARE INC 260,761 $2.1M NEW
4768 VGI VIRTUS GLOBAL MULTI-SECTOR I Financial Services 268,980 $2.1M NEW
4769 MSD MORGAN STANLEY EMKT DBT FD I Financial Services 285,154 $2.1M NEW
4770 THRY THRYV HLDGS INC Communication Services 347,667 $2.1M NEW
4771 IBMS ISHARES TR 80,641 $2.1M NEW
4772 CHURCHILL CAP CORP X 134,415 $2.1M NEW
4773 ESEA EUROSEAS LTD Industrials 38,356 $2.1M NEW
4774 GILT GILAT SATELLITE NETWORKS LTD Technology 161,689 $2.1M NEW
4775 NUVEEN CALIF SELECT TAX FREE 158,462 $2.1M NEW
4776 RIVN RIVIAN AUTOMOTIVE INC Consumer Cyclical 1,867,000 $2.1M NEW
4777 OLP ONE LIBERTY PPTYS INC Real Estate 103,021 $2.1M NEW
4778 LEGH LEGACY HOUSING CORP Consumer Cyclical 106,753 $2.1M NEW
4779 SHYL DBX ETF TR 46,261 $2.1M NEW
4780 HEPS D MARKET ELECTR SVCS & TRADI Consumer Cyclical 838,360 $2.1M NEW
4781 EPSN EPSILON ENERGY LTD Energy 446,935 $2.1M NEW
4782 BSSX INVESCO EXCH TRD SLF IDX FD 80,157 $2.1M NEW
4783 GEVO GEVO INC Basic Materials 1,036,048 $2.1M NEW
4784 FRP HLDGS INC 90,777 $2.1M NEW
4785 GRW TCW ETF TRUST 66,357 $2.1M NEW
4786 MUND NORTHERN FDS 20,000 $2.1M NEW
4787 FC FRANKLIN COVEY CO Industrials 122,840 $2.1M NEW
4788 BSJV INVESCO EXCH TRD SLF IDX FD 77,176 $2.1M NEW
4789 FRD FRIEDMAN INDS INC Basic Materials 100,466 $2.1M NEW
4790 MUNC NORTHERN FDS 20,000 $2.1M NEW
4791 SPHR SPHERE ENTERTAINMENT CO Communication Services 750,000 $2.1M NEW
4792 BLZE BACKBLAZE INC Technology 440,647 $2.1M NEW
4793 SION SIONNA THERAPEUTICS INC Healthcare 49,876 $2.1M NEW
4794 KKRT KKR & CO INC Financial Services 39,504 $2.0M NEW
4795 MMLP MARTIN MIDSTREAM PRTNRS L P Energy 783,372 $2.0M NEW
4796 TRC TEJON RANCH CO Industrials 129,550 $2.0M NEW
4797 CTRN CITI TRENDS INC Consumer Cyclical 48,929 $2.0M NEW
4798 MSOS ADVISORSHARES TR 429,028 $2.0M NEW
4799 MARA HOLDINGS INC 2,520,000 $2.0M NEW
4800 PSR INVESCO ACTIVELY MANAGED EXC 22,366 $2.0M NEW
4801 EOT EATON VANCE NATL MUN OPPORT Financial Services 119,398 $2.0M NEW
4802 OPRX OPTIMIZERX CORP Healthcare 164,592 $2.0M NEW
4803 EOD ALLSPRING GLOBAL DIVIDEND OP Financial Services 344,635 $2.0M NEW
4804 DAYFORCE INC 2,026,000 $2.0M NEW
4805 AAAC COLUMBIA ETF TR I 100,000 $2.0M NEW
4806 ALARM COM HLDGS INC 2,106,000 $2.0M NEW
4807 NFBK NORTHFIELD BANCORP INC DEL Financial Services 175,255 $2.0M NEW
4808 CCRP COLUMBIA ETF TR I 100,000 $2.0M NEW
4809 BH BIGLARI HLDGS INC Consumer Cyclical 6,001 $2.0M NEW
4810 SPFF GLOBAL X FDS 213,823 $2.0M NEW
4811 PYZ INVESCO EXCHANGE TRADED FD T 18,082 $2.0M NEW
4812 XBTAX BLACKROCK LONG-TERM MUN ADVA 213,840 $2.0M NEW
4813 WLYB WILEY JOHN & SONS INC Communication Services 65,006 $2.0M NEW
4814 IAUX I-80 GOLD CORP Basic Materials 1,356,397 $2.0M NEW
4815 RVNU DBX ETF TR 80,693 $2.0M NEW
4816 AKBA AKEBIA THERAPEUTICS INC Healthcare 1,228,816 $2.0M NEW
4817 SQQQ PROSHARES TR 28,848 $2.0M NEW
4818 USMF WISDOMTREE TR 38,536 $2.0M NEW
4819 AFFIRM HLDGS INC 2,056,000 $2.0M NEW
4820 SLN SILENCE THERAPEUTICS PLC Healthcare 324,630 $2.0M NEW
4821 TECX TECTONIC THERAPEUTIC INC Healthcare 94,435 $2.0M NEW
4822 NNBR NN INC Industrials 1,537,171 $2.0M NEW
4823 AVBP ARRIVENT BIOPHARMA INC Healthcare 97,590 $2.0M NEW
4824 ALM ALMONTY INDS INC Basic Materials 222,666 $2.0M NEW
4825 COMP COMPASS THERAPEUTICS INC Technology 365,245 $2.0M NEW
4826 AII AMERICAN INTEGRITY INS GROUP Financial Services 94,087 $2.0M NEW
4827 HPK HIGHPEAK ENERGY INC Energy 413,255 $2.0M NEW
4828 PHAT PHATHOM PHARMACEUTICALS INC Healthcare 117,781 $2.0M NEW
4829 EIC EAGLE POINT INCOME COMPANY I Financial Services 171,227 $2.0M NEW
4830 FTMU PUTNAM ETF TRUST 249,790 $2.0M NEW
4831 ONIT ONITY GROUP INC Financial Services 42,504 $1.9M NEW
4832 PBYI PUMA BIOTECHNOLOGY INC Healthcare 326,774 $1.9M NEW
4833 JHI HANCOCK JOHN INVT TR II Financial Services 142,132 $1.9M NEW
4834 IGI WESTERN ASSET INVT GRADE OPP Financial Services 117,579 $1.9M NEW
4835 FSP FRANKLIN STR PPTYS CORP Real Estate 2,043,455 $1.9M NEW
4836 CBNK CAPITAL BANCORP INC MD Financial Services 68,564 $1.9M NEW
4837 OLPX OLAPLEX HLDGS INC Consumer Cyclical 1,439,260 $1.9M NEW
4838 FAAR FIRST TR EXCHANGE TRAD FD VI 71,059 $1.9M NEW
4839 FBRX FORTE BIOSCIENCES INC Healthcare 70,531 $1.9M NEW
4840 SMWB SIMILARWEB LTD Communication Services 256,660 $1.9M NEW
4841 GRX GABELLI HLTHCARE & WELLNESS Financial Services 199,618 $1.9M NEW
4842 FDMO FIDELITY COVINGTON TRUST 22,835 $1.9M NEW
4843 GDO WSTRN AST GLBL CORP OPP FD I Financial Services 162,182 $1.9M NEW
4844 CRF CORNERSTONE TOTAL RETURN FD Financial Services 237,993 $1.9M NEW
4845 XTWO BONDBLOXX ETF TRUST 38,531 $1.9M NEW
4846 NOA NORTH AMERN CONSTR GROUP LTD Energy 132,470 $1.9M NEW
4847 CMRC COMMERCE.COM INC Technology 462,008 $1.9M NEW
4848 DBB INVESCO DB MULTI-SECTOR COMM Financial Services 82,818 $1.9M NEW
4849 RLGT RADIANT LOGISTICS INC Industrials 299,975 $1.9M NEW
4850 NEXM NEXMETALS MINING CORP. Basic Materials 485,615 $1.9M NEW
4851 DHY CREDIT SUISSE HIGH YIELD CRE Financial Services 949,085 $1.9M NEW
4852 QTUM ETF SER SOLUTIONS 17,292 $1.9M NEW
4853 IMMR IMMERSION CORP Technology 277,578 $1.9M NEW
4854 DJP BARCLAYS BANK PLC Financial Services 50,184 $1.9M NEW
4855 DMO WESTERN ASSET MTG DEFINED OP Financial Services 169,919 $1.9M NEW
4856 RZLV REZOLVE AI PLC Technology 731,243 $1.9M NEW
4857 FULC FULCRUM THERAPEUTICS INC Healthcare 165,623 $1.9M NEW
4858 TSAT TELESAT CORP Technology 64,323 $1.9M NEW
4859 FENC FENNEC PHARMACEUTICALS INC Healthcare 242,476 $1.9M NEW
4860 MBX MBX BIOSCIENCES INC Healthcare 59,026 $1.9M NEW
4861 DC DAKOTA GOLD CORP Basic Materials 327,368 $1.9M NEW
4862 PINE ALPINE INCOME PPTY TR INC Real Estate 111,099 $1.9M NEW
4863 TVTX TRAVERE THERAPEUTICS INC Healthcare 1,305,000 $1.9M NEW
4864 XAGDX ABRDN GLOBAL DYNAMIC DIVIDEN 158,708 $1.9M NEW
4865 PFI INVESCO EXCHANGE TRADED FD T 32,051 $1.9M NEW
4866 VTR 3.75 06/01/26 VENTAS RLTY LTD PARTNERSHIP 1,310,000 $1.8M NEW
4867 DFAE DIMENSIONAL ETF TRUST 56,694 $1.8M NEW
4868 BCAX BICARA THERAPEUTICS INC Healthcare 109,456 $1.8M NEW
4869 MX MAGNACHIP SEMICONDUCTOR CORP Technology 720,630 $1.8M NEW
4870 OPRT OPORTUN FINL CORP Financial Services 347,228 $1.8M NEW
4871 EGHT 8X8 INC NEW Technology 931,993 $1.8M NEW
4872 AMPY AMPLIFY ENERGY CORP NEW Energy 401,014 $1.8M NEW
4873 TATT TAT TECHNOLOGIES LTD Industrials 41,009 $1.8M NEW
4874 TIPZ PIMCO ETF TR 34,871 $1.8M NEW
4875 HYLN HYLIION HOLDINGS CORP Consumer Cyclical 989,830 $1.8M NEW
4876 NNOX NANO X IMAGING LTD Healthcare 650,346 $1.8M NEW
4877 SGHT SIGHT SCIENCES INC Healthcare 229,363 $1.8M NEW
4878 JLS NUVEEN MORTGAGE AND INCOME F Financial Services 99,988 $1.8M NEW
4879 SRET GLOBAL X FDS 83,496 $1.8M NEW
4880 BSBR BANCO SANTANDER BRASIL S A Financial Services 296,717 $1.8M NEW
4881 EGY VAALCO ENERGY INC Energy 495,802 $1.8M NEW
4882 WRN WESTERN COPPER & GOLD CORP Basic Materials 675,521 $1.8M NEW
4883 UMAC UNUSUAL MACHS INC Financial Services 141,482 $1.8M NEW
4884 ECF ELLSWORTH GROWTH & INCOME FD Financial Services 154,779 $1.8M NEW
4885 VENU VENU HLDG CORP Consumer Cyclical 213,281 $1.8M NEW
4886 NEWT NEWTEKONE INC Financial Services 158,064 $1.8M NEW
4887 DSP VIANT TECHNOLOGY INC Technology 148,841 $1.8M NEW
4888 RWM PROSHARES TR 109,380 $1.8M NEW
4889 PSNL PERSONALIS INC Healthcare 224,563 $1.8M NEW
4890 TPZ TORTOISE CAPITAL SERIES TRUS 87,610 $1.8M NEW
4891 CWBC COMMUNITY WEST BANCSHARES NE Financial Services 79,293 $1.8M NEW
4892 OFLX OMEGA FLEX INC Industrials 60,313 $1.8M NEW
4893 ABX ABACUS GLOBAL MGMT INC Financial Services 207,482 $1.8M NEW
4894 NIO NIO INC Consumer Cyclical 1,880,000 $1.8M NEW
4895 ARX ACCELERANT HOLDINGS Financial Services 108,230 $1.8M NEW
4896 ARRY ARRAY TECHNOLOGIES INC Energy 1,947,000 $1.8M NEW
4897 LIDR AEYE INC Consumer Cyclical 957,193 $1.8M NEW
4898 MNPR MONOPAR THERAPEUTICS INC Healthcare 26,967 $1.8M NEW
4899 PUI INVESCO EXCHANGE TRADED FD T 40,308 $1.8M NEW
4900 RR RICHTECH ROBOTICS INC Industrials 541,770 $1.7M NEW
4901 ASM AVINO SILVER & GOLD MINES LT Basic Materials 280,472 $1.7M NEW
4902 GOOS CANADA GOOSE HLDGS INC Consumer Cyclical 134,334 $1.7M NEW
4903 RAPT RAPT THERAPEUTICS INC 51,324 $1.7M NEW
4904 PEZ INVESCO EXCHANGE TRADED FD T 16,653 $1.7M NEW
4905 BBIO BRIDGEBIO PHARMA INC Healthcare 1,539,000 $1.7M NEW
4906 INTW GRANITESHARES ETF TR 40,000 $1.7M NEW
4907 USCB USCB FINANCIAL HOLDINGS INC Financial Services 93,626 $1.7M NEW
4908 DMRA GALECTO INC Healthcare 74,917 $1.7M NEW
4909 RNW RENEW ENERGY GLOBAL PLC Utilities 304,803 $1.7M NEW
4910 NPV NUVEEN VIRGINIA QLTY MUNCPL Financial Services 155,284 $1.7M NEW
4911 CTMX CYTOMX THERAPEUTICS INC Healthcare 401,191 $1.7M NEW
4912 ACB AURORA CANNABIS INC Healthcare 404,384 $1.7M NEW
4913 NXDR NEXTDOOR HOLDINGS INC Communication Services 811,454 $1.7M NEW
4914 OXY/WS OCCIDENTAL PETE CORP 88,322 $1.7M NEW
4915 ELMD ELECTROMED INC Healthcare 58,352 $1.7M NEW
4916 BWFG BANKWELL FINL GROUP INC Financial Services 36,990 $1.7M NEW
4917 DBI DESIGNER BRANDS INC Consumer Cyclical 228,036 $1.7M NEW
4918 MPB MID PENN BANCORP INC Financial Services 54,552 $1.7M NEW
4919 ZD ZIFF DAVIS INC Communication Services 1,731,000 $1.7M NEW
4920 AVXL ANAVEX LIFE SCIENCES CORP Healthcare 474,856 $1.7M NEW
4921 SEANERGY MARITIME HLDGS CORP 182,921 $1.7M NEW
4922 CVIE MORGAN STANLEY ETF TRUST 23,533 $1.7M NEW
4923 RCKY ROCKY BRANDS INC Consumer Cyclical 57,205 $1.7M NEW
4924 MNTN MNTN INC Communication Services 140,338 $1.7M NEW
4925 FLC FLAHERTY & CRUMRINE TOTAL RE Financial Services 95,549 $1.7M NEW
4926 LU LUFAX HOLDING LTD Financial Services 651,599 $1.7M NEW
4927 JMOM J P MORGAN EXCHANGE TRADED F 24,396 $1.7M NEW
4928 MVBF MVB FINL CORP Financial Services 64,298 $1.7M NEW
4929 ACTG ACACIA RESH CORP Industrials 443,263 $1.7M NEW
4930 DDIV FIRST TR EXCHANGE TRADED FD 39,682 $1.6M NEW
4931 FUNC FIRST UTD CORP Financial Services 43,995 $1.6M NEW
4932 AMJB JPMORGAN CHASE FINL CO LLC Financial Services 54,922 $1.6M NEW
4933 OKEANIS ECO TANKERS COR 48,504 $1.6M NEW
4934 IDNA ISHARES TR 62,518 $1.6M NEW
4935 PTBD PACER FDS TR 83,415 $1.6M NEW
4936 ELE ELEMENTAL RTY CORP Basic Materials 95,361 $1.6M NEW
4937 75Z SOHO HOUSE & CO INC 180,201 $1.6M NEW
4938 VPV INVESCO PA VALUE MUN INC TR Financial Services 154,190 $1.6M NEW
4939 EUDG WISDOMTREE TR 42,953 $1.6M NEW
4940 XWIAX WESTERN ASST INFLTN LKD INM 193,440 $1.6M NEW
4941 UIS UNISYS CORP Technology 579,156 $1.6M NEW
4942 HAPI HARBOR ETF TRUST 38,920 $1.6M NEW
4943 ISTR INVESTAR HLDG CORP Financial Services 59,713 $1.6M NEW
4944 ESCA ESCALADE INC Consumer Cyclical 118,167 $1.6M NEW
4945 PKBK PARKE BANCORP INC Financial Services 63,537 $1.6M NEW
4946 REPX RILEY EXPLORATION PERMIAN IN Energy 60,240 $1.6M NEW
4947 FSBC FIVE STAR BANCORP Financial Services 44,385 $1.6M NEW
4948 CSBR CHAMPIONS ONCOLOGY INC Healthcare 229,659 $1.6M NEW
4949 DFIS DIMENSIONAL ETF TRUST 48,121 $1.6M NEW
4950 OBT ORANGE CNTY BANCORP INC Financial Services 55,519 $1.6M NEW
4951 NFE NEW FORTRESS ENERGY INC Utilities 1,389,296 $1.6M NEW
4952 MTBA SIMPLIFY EXCHANGE TRADED FUN 31,362 $1.6M NEW
4953 MIST MILESTONE PHARMACEUTICALS IN Healthcare 781,875 $1.6M NEW
4954 SUMMIT HOTEL PPTYS 1,585,000 $1.6M NEW
4955 EMF TEMPLETON EMERGING MKTS FD Financial Services 91,503 $1.6M NEW
4956 EDOG ALPS ETF TR 64,559 $1.6M NEW
4957 BRT BRT APARTMENTS CORP Real Estate 105,744 $1.6M NEW
4958 NEXA NEXA RES S A Basic Materials 175,370 $1.6M NEW
4959 BZUN BAOZUN INC Consumer Cyclical 582,849 $1.6M NEW
4960 CGEN COMPUGEN LTD Healthcare 1,009,701 $1.5M NEW
4961 MEC MAYVILLE ENGR CO INC Industrials 82,390 $1.5M NEW
4962 CLPT CLEARPOINT NEURO INC Healthcare 112,646 $1.5M NEW
4963 BLFY BLUE FOUNDRY BANCORP 123,818 $1.5M NEW
4964 CLFD CLEARFIELD INC Technology 52,762 $1.5M NEW
4965 RUSHB RUSH ENTERPRISES INC Consumer Cyclical 27,296 $1.5M NEW
4966 WKC WORLD KINECT CORPORATION Energy 1,463,000 $1.5M NEW
4967 DMAX ISHARES TR 57,558 $1.5M NEW
4968 EVCM EVERCOMMERCE INC Technology 126,625 $1.5M NEW
4969 GINN GOLDMAN SACHS ETF TR 20,952 $1.5M NEW
4970 ACRE ARES COML REAL ESTATE CORP Real Estate 319,254 $1.5M NEW
4971 TMF DIREXION SHS ETF TR 40,872 $1.5M NEW
4972 CNRG SPDR SERIES TRUST 17,039 $1.5M NEW
4973 XMQTX BLACKROCK MUNIYIELD QUALITY 151,206 $1.5M NEW
4974 RMNI RIMINI STR INC DEL Technology 391,369 $1.5M NEW
4975 DXCM DEXCOM INC Healthcare 1,650,000 $1.5M NEW
4976 ACNB ACNB CORP Financial Services 31,350 $1.5M NEW
4977 CHPT CHARGEPOINT HOLDINGS INC Consumer Cyclical 227,898 $1.5M NEW
4978 SPVM INVESCO EXCHANGE TRADED FD T 22,309 $1.5M NEW
4979 ASIC ATEGRITY SPECIALTY IN CO HO Financial Services 71,772 $1.5M NEW
4980 LIBERTY MEDIA CORP DEL 1,500,000 $1.5M NEW
4981 NOAH NOAH HLDGS LTD Financial Services 149,310 $1.5M NEW
4982 BURL BURLINGTON STORES INC Consumer Cyclical 1,012,000 $1.5M NEW
4983 NEE NEXTERA ENERGY INC Utilities 30,630 $1.5M NEW
4984 SMHI SEACOR MARINE HLDGS INC Industrials 247,775 $1.5M NEW
4985 NMT NUVEEN MASSACHUSETS QLT MUN Financial Services 131,286 $1.5M NEW
4986 PCB PCB BANCORP Financial Services 68,537 $1.5M NEW
4987 AVBC AVIDIA BANCORP INC Financial Services 88,136 $1.5M NEW
4988 HCRB HARTFORD FDS EXCHANGE TRADED 41,776 $1.5M NEW
4989 INFL LISTED FDS TR 33,130 $1.5M NEW
4990 PANGAEA LOGISTICS SOLUTION L 213,346 $1.5M NEW
4991 MPA BLACKROCK MUNIYIELD PA QLTY Financial Services 132,322 $1.5M NEW
4992 PCT PURECYCLE TECHNOLOGIES INC Industrials 1,464,000 $1.5M NEW
4993 SILC SILICOM LTD Technology 99,230 $1.5M NEW
4994 FLR 1.125 08/15/29 FLUOR CORP 1,280,000 $1.5M NEW
4995 TRX TRX GOLD CORPORATION Basic Materials 1,577,203 $1.5M NEW
4996 IGA VOYA GLBL ADV & PREM OPP FD Financial Services 149,304 $1.5M NEW
4997 HYI WESTERN ASSET HIGH YIELD OPP Financial Services 129,543 $1.4M NEW
4998 GUTS FRACTYL HEALTH INC Healthcare 656,482 $1.4M NEW
4999 PGJ INVESCO EXCHANGE TRADED FD T 49,901 $1.4M NEW
5000 KRT KARAT PACKAGING INC Consumer Cyclical 63,550 $1.4M NEW
5001 DPRO DRAGANFLY INC. Industrials 207,054 $1.4M NEW
5002 INBK FIRST INTERNET BANCORP Financial Services 68,526 $1.4M NEW
5003 MG MISTRAS GROUP INC Industrials 112,931 $1.4M NEW
5004 IBHJ ISHARES TR 53,607 $1.4M NEW
5005 CCAP CRESCENT CAP BDC INC Financial Services 101,475 $1.4M NEW
5006 EUAD SPINNAKER ETF SERIES 33,739 $1.4M NEW
5007 TMDX TRANSMEDICS GROUP INC Healthcare 950,000 $1.4M NEW
5008 CTNM CONTINEUM THERAPEUTICS INC Healthcare 124,286 $1.4M NEW
5009 SOXL DIREXION SHS ETF TR 33,725 $1.4M NEW
5010 ACVF ETF OPPORTUNITIES TRUST 28,627 $1.4M NEW
5011 FSTR FOSTER L B CO Industrials 52,226 $1.4M NEW
5012 RAIL FREIGHTCAR AMER INC Industrials 126,900 $1.4M NEW
5013 PSCI INVESCO EXCH TRADED FD TR II 9,334 $1.4M NEW
5014 FBDC FIRST TR EXCHNG TRADED FD VI 72,173 $1.4M NEW
5015 LXEO LEXEO THERAPEUTICS INC Healthcare 140,181 $1.4M NEW
5016 EDIT EDITAS MEDICINE INC Healthcare 678,913 $1.4M NEW
5017 ACNT ASCENT INDUSTRIES CO Basic Materials 85,907 $1.4M NEW
5018 ORN ORION GROUP HLDGS INC Industrials 139,923 $1.4M NEW
5019 UMMA LISTED FDS TR 46,960 $1.4M NEW
5020 SAMG SILVERCREST ASSET MGMT GROUP Financial Services 91,531 $1.4M NEW
5021 FCTR FIRST TR EXCHANGE-TRADED FD 38,970 $1.4M NEW
5022 USAU U S GOLD CORP Basic Materials 71,567 $1.4M NEW
5023 LNKB LINKBANCORP INC Financial Services 167,567 $1.4M NEW
5024 BCBP BCB BANCORP INC Financial Services 171,350 $1.4M NEW
5025 ITRN ITURAN LOCATION AND CONTROL Technology 32,081 $1.4M NEW
5026 AFYA LTD 89,222 $1.4M NEW
5027 CMU MFS HIGH YIELD MUN TR Financial Services 391,611 $1.4M NEW
5028 LMNR LIMONEIRA CO Consumer Defensive 108,380 $1.4M NEW
5029 MDWD MEDIWOUND LTD Healthcare 73,954 $1.4M NEW
5030 ZH ZHIHU INC Communication Services 415,396 $1.4M NEW
5031 EUHY ISHARES INC 25,394 $1.4M NEW
5032 CCO CLEAR CHANNEL OUTDOOR HLDGS Communication Services 610,426 $1.3M NEW
5033 VOXR VOX ROYALTY CORP Basic Materials 284,210 $1.3M NEW
5034 UVIX VS TRUST Financial Services 235,307 $1.3M NEW
5035 DFSV DIMENSIONAL ETF TRUST 40,813 $1.3M NEW
5036 DSX DIANA SHIPPING INC Industrials 808,425 $1.3M NEW
5037 CXH MFS INVT GRADE MUN TR Financial Services 168,737 $1.3M NEW
5038 SMLV SPDR SERIES TRUST 10,192 $1.3M NEW
5039 SLQT SELECTQUOTE INC Financial Services 944,197 $1.3M NEW
5040 STGW STAGWELL INC Communication Services 272,003 $1.3M NEW
5041 TG TREDEGAR CORP Industrials 184,679 $1.3M NEW
5042 CANTOR EQUITY PARTNERS II IN 117,657 $1.3M NEW
5043 PBJ INVESCO EXCHANGE TRADED FD T 29,507 $1.3M NEW
5044 LYEL LYELL IMMUNOPHARMA INC Healthcare 42,949 $1.3M NEW
5045 STRZ STARZ ENTERTAINMENT CORP. Communication Services 112,871 $1.3M NEW
5046 VTN INVESCO TR INVT GRADE NEW YO Financial Services 114,170 $1.3M NEW
5047 SDG ISHARES TR 15,589 $1.3M NEW
5048 AUNA AUNA S A Healthcare 266,452 $1.3M NEW
5049 EVC ENTRAVISION COMMUNICATIONS C Communication Services 447,094 $1.3M NEW
5050 IDGT ISHARES TR 15,410 $1.3M NEW
5051 ALVO ALVOTECH Healthcare 255,224 $1.3M NEW
5052 ARCT ARCTURUS THERAPEUTICS HLDGS Healthcare 213,392 $1.3M NEW
5053 SMCI SUPER MICRO COMPUTER INC Technology 1,470,000 $1.3M NEW
5054 CURR CURRENC GROUP INC Financial Services 729,215 $1.3M NEW
5055 SGC SUPERIOR GROUP OF CO INC Consumer Cyclical 134,726 $1.3M NEW
5056 MCN XAI MADISON EQUITY PREMIUM I Financial Services 216,523 $1.3M NEW
5057 NATH NATHANS FAMOUS INC NEW Consumer Cyclical 13,871 $1.3M NEW
5058 MCFT MASTERCRAFT BOAT HLDGS INC Consumer Cyclical 68,446 $1.3M NEW
5059 CGNT COGNYTE SOFTWARE LTD Technology 136,932 $1.3M NEW
5060 ASST STRIVE INC Communication Services 1,739,816 $1.3M NEW
5061 SOHU SOHU COM LTD Technology 82,016 $1.3M NEW
5062 JMST J P MORGAN EXCHANGE TRADED F 25,159 $1.3M NEW
5063 BOXX EA SERIES TRUST 11,128 $1.3M NEW
5064 OSUR ORASURE TECHNOLOGIES INC Healthcare 529,262 $1.3M NEW
5065 ACIC AMERICAN COASTAL INS CORP Financial Services 101,006 $1.3M NEW
5066 EFSI EAGLE FINL SVCS INC Financial Services 31,955 $1.3M NEW
5067 EGAN EGAIN CORP Technology 123,391 $1.3M NEW
5068 DV DOLLY VARDEN SILVER CORP Technology 285,175 $1.3M NEW
5069 HRTX HERON THERAPEUTICS INC Healthcare 963,851 $1.3M NEW
5070 CUT INVESCO EXCH TRADED FD TR II 43,098 $1.3M NEW
5071 ATLC ATLANTICUS HOLDINGS CORP Financial Services 18,630 $1.2M NEW
5072 VIXY PROSHARES TR II Financial Services 48,367 $1.2M NEW
5073 BBP ETFIS SER TR I 15,442 $1.2M NEW
5074 KOPN KOPIN CORP Technology 527,290 $1.2M NEW
5075 EHI WESTERN ASSET GBL HIGH INC F Financial Services 192,202 $1.2M NEW
5076 JBIO JADE BIOSCIENCES INC Healthcare 79,767 $1.2M NEW
5077 STRT STRATTEC SEC CORP Consumer Cyclical 16,150 $1.2M NEW
5078 PSFE PAYSAFE LIMITED Technology 151,881 $1.2M NEW
5079 FIP FTAI INFRASTRUCTURE INC Industrials 265,760 $1.2M NEW
5080 ATLO AMES NATL CORP Financial Services 53,341 $1.2M NEW
5081 GPMT GRANITE PT MTG TR INC Real Estate 509,789 $1.2M NEW
5082 SRL SCULLY ROYALTY LTD Financial Services 142,964 $1.2M NEW
5083 OGIG ALPS ETF TR 23,182 $1.2M NEW
5084 ELVA ELECTROVAYA INC Industrials 154,062 $1.2M NEW
5085 CDRO CODERE ONLINE LUXEMBOURG S A Consumer Cyclical 151,206 $1.2M NEW
5086 5TC TRUECAR INC 533,321 $1.2M NEW
5087 UDN INVESCO DB US DLR INDEX TR Financial Services 65,996 $1.2M NEW
5088 LAKE LAKELAND INDS INC Consumer Cyclical 136,110 $1.2M NEW
5089 XPGPX PIMCO GLOBAL STOCKSPLS INCM 130,968 $1.2M NEW
5090 EDEN ISHARES TR 10,427 $1.2M NEW
5091 AURA AURA BIOSCIENCES INC Healthcare 218,407 $1.2M NEW
5092 NVDL GRANITESHARES ETF TR 13,476 $1.2M NEW
5093 MACOM TECH SOLUTIONS HLDGS I 571,000 $1.2M NEW
5094 ARQ ARQ INC Industrials 362,538 $1.2M NEW
5095 URG UR-ENERGY INC Energy 851,749 $1.2M NEW
5096 MITT TPG MTG INVTS TR INC Real Estate 137,938 $1.2M NEW
5097 TSSI TSS INC DEL Technology 165,811 $1.2M NEW
5098 ONLN PROSHARES TR 19,757 $1.2M NEW
5099 BNY BLACKROCK N Y MUN INCOME TRU 115,404 $1.2M NEW
5100 ANRO ALTO NEUROSCIENCE INC Healthcare 65,581 $1.2M NEW
5101 ONL ORION PROPERTIES INC Real Estate 515,535 $1.2M NEW
5102 GALT GALECTIN THERAPEUTICS INC Healthcare 279,288 $1.2M NEW
5103 BLND BLEND LABS INC Technology 381,929 $1.2M NEW
5104 ELVR ELEVRA LITHIUM LTD Basic Materials 22,071 $1.2M NEW
5105 CEV EATON VANCE CALIF MUN INCOM Financial Services 115,228 $1.2M NEW
5106 RELL RICHARDSON ELECTRS LTD Technology 106,247 $1.2M NEW
5107 OPK OPKO HEALTH INC Healthcare 917,353 $1.2M NEW
5108 TLS TELOS CORP MD Technology 226,105 $1.2M NEW
5109 WEYS WEYCO GROUP INC Consumer Cyclical 37,581 $1.1M NEW
5110 CRTC DBX ETF TR 31,268 $1.1M NEW
5111 BUFC AB ACTIVE ETFS INC 27,704 $1.1M NEW
5112 MNDO MIND C T I LTD Technology 994,951 $1.1M NEW
5113 NMAX NEWSMAX INC Communication Services 147,609 $1.1M NEW
5114 COLL COLLEGIUM PHARMACEUTICAL INC Healthcare 806,000 $1.1M NEW
5115 CRNT CERAGON NETWORKS LTD Technology 538,793 $1.1M NEW
5116 RBBN RIBBON COMMUNICATIONS INC Communication Services 392,391 $1.1M NEW
5117 BBMC J P MORGAN EXCHANGE TRADED F 10,594 $1.1M NEW
5118 DISV DIMENSIONAL ETF TRUST 29,636 $1.1M NEW
5119 DOUG DOUGLAS ELLIMAN INC Real Estate 474,882 $1.1M NEW
5120 FSSL FS SPECIALTY LENDING FD 79,470 $1.1M NEW
5121 XNXNX NUVEEN N Y SELECT TAX FREE I 92,885 $1.1M NEW
5122 AMBQ AMBIQ MICRO INC Technology 39,284 $1.1M NEW
5123 SSP SCRIPPS E W CO OHIO Communication Services 280,457 $1.1M NEW
5124 CVGW CALAVO GROWERS INC Consumer Defensive 51,321 $1.1M NEW
5125 IMUX IMMUNIC INC Healthcare 2,091,011 $1.1M NEW
5126 LCNB LCNB CORP Financial Services 67,933 $1.1M NEW
5127 GASS STEALTHGAS INC Industrials 158,563 $1.1M NEW
5128 PLBY PLAYBOY INC Consumer Cyclical 592,051 $1.1M NEW
5129 NCMI NATIONAL CINEMEDIA INC Communication Services 286,067 $1.1M NEW
5130 CLPR CLIPPER RLTY INC Real Estate 291,288 $1.1M NEW
5131 LFMD LIFEMD INC Healthcare 326,205 $1.1M NEW
5132 BRBS BLUE RIDGE BANKSHARES INC VA Financial Services 259,620 $1.1M NEW
5133 FLWS 1 800 FLOWERS COM INC Consumer Cyclical 281,416 $1.1M NEW
5134 IGIC INTL GNRL INSURANCE HLDNGS L Financial Services 44,033 $1.1M NEW
5135 DOYU DOUYU INTL HLDGS LTD Communication Services 162,234 $1.1M NEW
5136 CHEF 2.375 12/15/28 CHEFS WHSE INC 727,000 $1.1M NEW
5137 ZD ZIFF DAVIS INC Communication Services 1,130,000 $1.1M NEW
5138 GLV CLOUGH GLOBAL DIVID & INCOME Financial Services 184,164 $1.1M NEW
5139 ATYR ATYR PHARMA INC Healthcare 1,403,009 $1.1M NEW
5140 ALHC ALIGNMENT HEALTHCARE INC Healthcare 720,000 $1.1M NEW
5141 VIAV VIAVI SOLUTIONS INC Technology 809,000 $1.1M NEW
5142 TNGY TORTOISE CAPITAL SERIES TRUS 120,216 $1.1M NEW
5143 DGXX DIGI PWR X INC Technology 425,535 $1.1M NEW
5144 ZNTL ZENTALIS PHARMACEUTICALS INC Healthcare 803,654 $1.1M NEW
5145 TBI TRUEBLUE INC Industrials 238,138 $1.1M NEW
5146 BYRN BYRNA TECHNOLOGIES INC Industrials 64,407 $1.1M NEW
5147 RXT RACKSPACE TECHNOLOGY INC Technology 1,110,386 $1.1M NEW
5148 SPE SPECIAL OPPORTUNITIES FD INC Financial Services 73,382 $1.1M NEW
5149 RWAY RUNWAY GROWTH FINANCE CORP Financial Services 120,687 $1.1M NEW
5150 KRO KRONOS WORLDWIDE INC Basic Materials 243,425 $1.1M NEW
5151 CAPL CROSSAMERICA PARTNERS LP Energy 52,163 $1.1M NEW
5152 ICMB INVESTCORP CR MGMT BDC INC Financial Services 397,641 $1.1M NEW
5153 IFRX INFLARX NV Healthcare 1,061,234 $1.1M NEW
5154 PAYS PAYSIGN INC Technology 207,525 $1.1M NEW
5155 AERO GRUPO AEROMEXICO SAB DE CV Industrials 48,553 $1.1M NEW
5156 YB YUANBAO INC Financial Services 52,550 $1.1M NEW
5157 DOG PROSHARES TR 45,232 $1.1M NEW
5158 OGI ORGANIGRAM GLOBAL INC Healthcare 632,237 $1.1M NEW
5159 GWRS GLOBAL WTR RES INC Utilities 125,634 $1.1M NEW
5160 GLAD GLADSTONE CAPITAL CORP Financial Services 51,318 $1.1M NEW
5161 SCHY SCHWAB STRATEGIC TR 35,490 $1.1M NEW
5162 TLTE FLEXSHARES TR 16,559 $1.1M NEW
5163 HNST HONEST CO INC Consumer Cyclical 408,993 $1.1M NEW
5164 ANIP ANI PHARMACEUTICALS INC Healthcare 837,000 $1.1M NEW
5165 FCCO FIRST CMNTY CORP S C Financial Services 35,416 $1.1M NEW
5166 BKF ISHARES INC 23,846 $1.0M NEW
5167 TWFG TWFG INC Financial Services 36,203 $1.0M NEW
5168 GURU GLOBAL X FDS 16,646 $1.0M NEW
5169 CRON CRONOS GROUP INC Healthcare 393,104 $1.0M NEW
5170 QUAD QUAD / GRAPHICS INC Industrials 164,577 $1.0M NEW
5171 PNOV INNOVATOR ETFS TRUST 24,698 $1.0M NEW
5172 TRAK REPOSITRAK INC Technology 83,373 $1.0M NEW
5173 FORR FORRESTER RESH INC Industrials 126,895 $1.0M NEW
5174 MOG.B MOOG INC Industrials 4,140 $1.0M NEW
5175 BMRN BIOMARIN PHARMACEUTICAL INC Healthcare 1,072,000 $1.0M NEW
5176 REFA COLUMBIA ETF TR I 50,000 $1.0M NEW
5177 NVA NOVA MINERALS LTD Basic Materials 167,716 $1.0M NEW
5178 MPTI M-TRON INDS INC Technology 19,228 $1.0M NEW
5179 AARD AARDVARK THERAPEUTICS INC Healthcare 77,954 $1.0M NEW
5180 ARKO ARKO CORP Consumer Cyclical 225,129 $1.0M NEW
5181 ALMU AELUMA INC Technology 59,383 $1.0M NEW
5182 ACDC PROFRAC HLDG CORP Energy 261,973 $1.0M NEW
5183 TZOO TRAVELZOO Communication Services 142,731 $1.0M NEW
5184 CCU COMPANIA CERVECERIAS UNIDAS Consumer Defensive 79,331 $1.0M NEW
5185 PEABODY ENGR CORP 603,000 $1.0M NEW
5186 MUNB NORTHERN FDS 10,000 $1.0M NEW
5187 FF FUTUREFUEL CORP Basic Materials 316,506 $1.0M NEW
5188 DOMO DOMO INC Technology 119,722 $1.0M NEW
5189 LWAY LIFEWAY FOODS INC Consumer Defensive 41,518 $1.0M NEW
5190 RTH VANECK ETF TRUST 4,024 $1.0M NEW
5191 VGZ VISTA GOLD CORP Basic Materials 509,508 $1.0M NEW
5192 CXE MFS HIGH INCOME MUN TR Financial Services 270,203 $1000K NEW
5193 NCL CORP LTD 1,000,000 $998K NEW
5194 LABU DIREXION SHS ETF TR 6,222 $992K NEW
5195 HDG PROSHARES TR 19,087 $984K NEW
5196 ASPN ASPEN AEROGELS INC Industrials 347,648 $984K NEW
5197 TIL INSTIL BIO INC Healthcare 88,979 $979K NEW
5198 SGU STAR GROUP L P Energy 82,559 $978K NEW
5199 PRLD PRELUDE THERAPEUTICS INC Healthcare 334,916 $971K NEW
5200 CIFR CIPHER MINING INC Financial Services 278,000 $970K NEW
5201 FSBW FS BANCORP INC Financial Services 23,492 $967K NEW
5202 TALK TALKSPACE INC Healthcare 266,382 $967K NEW
5203 MFM MFS MUN INCOME TR Financial Services 177,680 $965K NEW
5204 TRVG TRIVAGO N V Communication Services 332,365 $964K NEW
5205 ALLO ALLOGENE THERAPEUTICS INC Healthcare 703,138 $963K NEW
5206 DIHP DIMENSIONAL ETF TRUST 30,337 $961K NEW
5207 SPIR SPIRE GLOBAL INC Industrials 127,869 $959K NEW
5208 EAGLE BANCORP MONT INC 48,143 $958K NEW
5209 CINT CI&T INC Technology 234,768 $956K NEW
5210 FDIQ INVESCO EXCH TRADED FD TR II 15,447 $955K NEW
5211 BOOM DMC GLOBAL INC Energy 142,521 $953K NEW
5212 BSVN BANK7 CORP Financial Services 23,165 $949K NEW
5213 RMAX RE MAX HLDGS INC Real Estate 124,884 $948K NEW
5214 TSBK TIMBERLAND BANCORP INC Financial Services 26,463 $947K NEW
5215 MYFW FIRST WESTN FINL INC Financial Services 35,310 $947K NEW
5216 NMI NUVEEN MUN INCOME FD INC Financial Services 95,276 $946K NEW
5217 CRD-B CRAWFORD & CO 83,937 $944K NEW
5218 SSTI SOUNDTHINKING INC Technology 117,304 $942K NEW
5219 SURE ADVISORSHARES TR 7,358 $938K NEW
5220 GETY GETTY IMAGES HOLDINGS INC Communication Services 699,670 $938K NEW
5221 ATMP BARCLAYS BANK PLC Financial Services 32,570 $937K NEW
5222 TARA PROTARA THERAPEUTICS INC Healthcare 175,329 $935K NEW
5223 CXDO CREXENDO INC Communication Services 143,784 $930K NEW
5224 BDRY AMPLIFY COMMODITY TRUST Financial Services 105,898 $929K NEW
5225 IDCC INTERDIGITAL INC Technology 225,000 $927K NEW
5226 OVLY OAK VY BANCORP OAKDALE CALIF Financial Services 30,772 $925K NEW
5227 METV LISTED FDS TR 49,155 $923K NEW
5228 DTF DTF TAX-FREE INCOME 2028 TER Financial Services 80,712 $922K NEW
5229 GENERATION BIO CO 161,378 $917K NEW
5230 PACK RANPAK HOLDINGS CORP Consumer Cyclical 169,371 $916K NEW
5231 PLBC PLUMAS BANCORP Financial Services 20,404 $912K NEW
5232 XYF X FINL Financial Services 161,420 $904K NEW
5233 PYPD POLYPID LTD Healthcare 208,278 $904K NEW
5234 AZ A2Z CUST2MATE SOLUTIONS CORP Technology 138,831 $904K NEW
5235 EHTH EHEALTH INC Financial Services 196,330 $903K NEW
5236 FATE FATE THERAPEUTICS INC Healthcare 916,946 $901K NEW
5237 VERI VERITONE INC Technology 193,496 $900K NEW
5238 SKYH SKY HARBOUR GROUP CORPORATIO Industrials 100,089 $898K NEW
5239 RUN SUNRUN INC Energy 950,000 $898K NEW
5240 AGEN AGENUS INC Healthcare 285,198 $896K NEW
5241 TRMD TORM PLC Energy 45,734 $895K NEW
5242 BHR BRAEMAR HOTELS & RESORTS INC Real Estate 311,835 $895K NEW
5243 GCBC GREENE CNTY BANCORP INC Financial Services 40,151 $893K NEW
5244 SNBR SLEEP NUMBER CORP Consumer Cyclical 104,821 $887K NEW
5245 BRFH BARFRESH FOOD GROUP INC Consumer Defensive 302,466 $886K NEW
5246 AAAU GOLDMAN SACHS PHYSICAL GOLD Financial Services 20,784 $884K NEW
5247 BCML BAYCOM CORP Financial Services 30,067 $884K NEW
5248 ISRA VANECK ETF TRUST 15,005 $882K NEW
5249 PTRN PATTERN GROUP INC Technology 76,369 $881K NEW
5250 OPBK OP BANCORP Financial Services 62,388 $881K NEW
5251 INSE INSPIRED ENTMT INC Consumer Cyclical 94,104 $881K NEW
5252 BWAY BRAINSWAY LTD Healthcare 46,158 $878K NEW
5253 RCMT RCM TECHNOLOGIES INC Industrials 42,871 $876K NEW
5254 PVI INVESCO EXCH TRADED FD TR II 35,114 $875K NEW
5255 CTGO CONTANGO ORE INC Basic Materials 33,001 $872K NEW
5256 EMSF MATTHEWS INTL FDS 30,665 $870K NEW
5257 GPRO GOPRO INC Technology 615,529 $868K NEW
5258 ISOU ISOENERGY LTD Energy 95,268 $867K NEW
5259 DBP INVESCO DB MULTI-SECTOR COMM Financial Services 8,422 $866K NEW
5260 VECO 2.875 06/01/29 VEECO INSTRS INC DEL 700,000 $866K NEW
5261 NKSH NATIONAL BANKSHARES INC VA Financial Services 25,730 $863K NEW
5262 STHO STAR HLDGS Real Estate 104,320 $859K NEW
5263 MVIS MICROVISION INC DEL Technology 1,035,154 $857K NEW
5264 TMQ TRILOGY METALS INC NEW Basic Materials 198,430 $855K NEW
5265 PFO FLAHERTY & CRUMRINE PFD INCO Financial Services 90,453 $855K NEW
5266 BKTI BK TECHNOLOGIES CORPORATION Technology 11,450 $854K NEW
5267 NAII NATURAL ALTERNATIVES INTL IN Consumer Defensive 237,250 $849K NEW
5268 PDLB PONCE FINANCIAL GROUP INC Financial Services 51,728 $846K NEW
5269 MPX MARINE PRODS CORP Consumer Cyclical 96,487 $845K NEW
5270 PSCE INVESCO EXCH TRADED FD TR II 19,633 $844K NEW
5271 KDK KODIAK AI INC. Technology 77,066 $842K NEW
5272 QLC FLEXSHARES TR 10,388 $841K NEW
5273 PESI PERMA-FIX ENVIRONMENTAL SVCS Industrials 66,731 $840K NEW
5274 TTGT TECHTARGET INC Communication Services 155,564 $840K NEW
5275 JILL J JILL INC Consumer Cyclical 61,134 $839K NEW
5276 ARB ALTSHARES TRUST 28,822 $838K NEW
5277 SRZN SURROZEN INC Healthcare 36,961 $835K NEW
5278 GUSE GOLDMAN SACHS ETF TR 20,500 $829K NEW
5279 RICK RCI HOSPITALITY HLDGS INC Consumer Cyclical 34,642 $826K NEW
5280 FELV FIDELITY COVINGTON TRUST 23,732 $823K NEW
5281 ALARM COM HLDGS INC 823,000 $821K NEW
5282 FVCB FVCBANKCORP INC Financial Services 58,517 $814K NEW
5283 LTRX LANTRONIX INC Technology 138,079 $809K NEW
5284 AFK VANECK ETF TRUST 30,228 $809K NEW
5285 MXF MEXICO FD INC Financial Services 40,128 $808K NEW
5286 IZRL ARK ETF TR 27,016 $808K NEW
5287 OPEN OPENDOOR TECHNOLOGIES INC Real Estate 895,608 $806K NEW
5288 ECBK ECB BANCORP INC Financial Services 46,336 $806K NEW
5289 ALTG ALTA EQUIPMENT GROUP INC Industrials 175,014 $805K NEW
5290 EXFY EXPENSIFY INC Technology 531,276 $802K NEW
5291 TASK TASKUS INC Technology 67,955 $801K NEW
5292 VINCI COMPASS INVESTMENTS LT 61,362 $800K NEW
5293 EVO EVOTEC AG Healthcare 259,590 $800K NEW
5294 COM DIREXION SHS ETF TR 27,026 $799K NEW
5295 MGF MFS GOVT MKTS INCOME TR Financial Services 264,212 $799K NEW
5296 HCAT HEALTH CATALYST INC Healthcare 333,955 $798K NEW
5297 WOOD ISHARES TR 11,057 $796K NEW
5298 RSVR RESERVOIR MEDIA INC Communication Services 105,187 $796K NEW
5299 TH TARGET HOSPITALITY CORP Industrials 99,333 $796K NEW
5300 BNTC BENITEC BIOPHARMA INC Healthcare 58,812 $792K NEW
5301 ASUR ASURE SOFTWARE INC Technology 84,072 $792K NEW
5302 TOI THE ONCOLOGY INSTITUTE INC Healthcare 222,053 $791K NEW
5303 GME/WS GAMESTOP CORP NEW 261,243 $786K NEW
5304 TCX TUCOWS INC Technology 35,034 $785K NEW
5305 KLC KINDERCARE LEARNING COMPANIE Consumer Defensive 181,459 $784K NEW
5306 JHEM JOHN HANCOCK EXCHANGE TRADED 23,654 $778K NEW
5307 BZAI BLAIZE HLDGS INC Technology 398,362 $777K NEW
5308 CZWI CITIZENS CMNTY BANCORP INC M Financial Services 43,444 $774K NEW
5309 FRAF FRANKLIN FINL SVCS CORP Financial Services 15,403 $773K NEW
5310 KF KOREA FD INC Financial Services 21,134 $768K NEW
5311 ICCC IMMUCELL CORP Healthcare 124,716 $767K NEW
5312 ASMB ASSEMBLY BIOSCIENCES INC Healthcare 22,534 $766K NEW
5313 HAIN HAIN CELESTIAL GROUP INC Consumer Defensive 715,231 $765K NEW
5314 FLBR FRANKLIN TEMPLETON ETF TR 40,106 $764K NEW
5315 SKF PROSHARES TR 30,001 $763K NEW
5316 ZSEP INNOVATOR ETFS TRUST 28,454 $762K NEW
5317 CADL CANDEL THERAPEUTICS INC Healthcare 134,031 $757K NEW
5318 RPAR TIDAL TRUST I 35,286 $757K NEW
5319 SNOW LAKE RES LTD 251,328 $754K NEW
5320 FDSB FIFTH DIST BANCORP INC Financial Services 50,000 $750K NEW
5321 OFS OFS CAP CORP Financial Services 157,516 $750K NEW
5322 BW LPG LTD 57,159 $749K NEW
5323 IMSR TERRESTRIAL ENERGY INC Energy 122,307 $747K NEW
5324 JAKK JAKKS PAC INC Consumer Cyclical 43,924 $741K NEW
5325 TECL DIREXION SHS ETF TR 6,292 $739K NEW
5326 FTDS FIRST TR EXCHANGE-TRADED FD 13,073 $739K NEW
5327 CSD INVESCO EXCHANGE TRADED FD T 7,391 $737K NEW
5328 YRD YIREN DIGITAL LTD Financial Services 199,194 $737K NEW
5329 PKOH PARK-OHIO HLDGS CORP Industrials 35,099 $735K NEW
5330 BELFB BEL FUSE INC Technology 4,830 $733K NEW
5331 CMTG CLAROS MTG TR INC Real Estate 239,100 $732K NEW
5332 CMT CORE MOLDING TECHNOLOGIES IN Basic Materials 36,319 $728K NEW
5333 IMSR TERRESTRIAL ENERGY INC Energy 342,279 $726K NEW
5334 DSWL DESWELL INDS INC Technology 209,534 $725K NEW
5335 GEOPARK LTD 97,651 $724K NEW
5336 IBUY AMPLIFY ETF TR 9,719 $723K NEW
5337 BUFD FIRST TR EXCHNG TRADED FD VI 25,606 $723K NEW
5338 OABI OMNIAB INC Healthcare 389,687 $721K NEW
5339 AKOB EMBOTELLADORA ANDINA S A 25,670 $716K NEW
5340 RGCO RGC RES INC Utilities 33,523 $714K NEW
5341 DBEM DBX ETF TR 22,395 $713K NEW
5342 PDYN PALLADYNE AI CORP Technology 166,891 $711K NEW
5343 MBCN MIDDLEFIELD BANC CORP 20,541 $709K NEW
5344 EWK ISHARES INC 29,192 $709K NEW
5345 FELG FIDELITY COVINGTON TRUST 16,969 $708K NEW
5346 HBB HAMILTON BEACH BRANDS HLDG C Consumer Cyclical 42,848 $705K NEW
5347 ACES ALPS ETF TR 21,734 $705K NEW
5348 CDXS CODEXIS INC Healthcare 431,140 $703K NEW
5349 FFAI FARADAY FUTURE INTLGT ELEC I Consumer Cyclical 688,315 $702K NEW
5350 SAR SARATOGA INVT CORP Financial Services 30,338 $700K NEW
5351 KFS KINGSWAY FINL SVCS INC Consumer Cyclical 51,942 $699K NEW
5352 BANX ARROWMARK FINANCIAL CORP Financial Services 32,001 $698K NEW
5353 FLXS FLEXSTEEL INDS INC Consumer Cyclical 17,660 $697K NEW
5354 ABVE ABOVE FOOD INGREDIENTS INC Consumer Defensive 427,776 $697K NEW
5355 DGRE WISDOMTREE TR 22,246 $697K NEW
5356 SNCR SYNCHRONOSS TECHNOLOGIES INC 81,261 $696K NEW
5357 VUSB VANGUARD BD INDEX FDS 13,897 $693K NEW
5358 NPWR NET POWER INC Industrials 303,697 $692K NEW
5359 ENOR ISHARES TR 24,029 $692K NEW
5360 FRMM ETHZILLA CORPORATION Technology 141,112 $691K NEW
5361 UFOX ETF SER SOLUTIONS 10,801 $690K NEW
5362 EXE EXPAND ENERGY CORPORATION Energy 6,894 $687K NEW
5363 EWZS ISHARES TR 53,119 $687K NEW
5364 SWKH SWK HLDGS CORP Financial Services 39,662 $682K NEW
5365 UGL PROSHARES TR II Financial Services 12,253 $680K NEW
5366 MFIN MEDALLION FINL CORP Financial Services 65,456 $674K NEW
5367 DLNG DYNAGAS LNG PARTNERS LP Energy 178,428 $673K NEW
5368 GPRF GOLDMAN SACHS ETF TR 13,285 $673K NEW
5369 CZNC CITIZENS & NORTHN CORP Financial Services 33,333 $672K NEW
5370 PLRX PLIANT THERAPEUTICS INC Healthcare 548,962 $670K NEW
5371 EVF EATON VANCE SR INCOME TR Financial Services 126,683 $668K NEW
5372 EINC VANECK ETF TRUST 6,921 $666K NEW
5373 CRDF CARDIFF ONCOLOGY INC Healthcare 235,834 $663K NEW
5374 IMMX IMMIX BIOPHARMA INC Healthcare 126,622 $662K NEW
5375 MTLS MATERIALISE NV Technology 118,885 $660K NEW
5376 SMTI SANARA MEDTECH INC Healthcare 28,227 $659K NEW
5377 NWFL NORWOOD FINANCIAL CORP Financial Services 23,480 $659K NEW
5378 FHTX FOGHORN THERAPEUTICS INC Healthcare 121,727 $657K NEW
5379 TNXP TONIX PHARMACEUTICALS HLDG C Healthcare 42,038 $657K NEW
5380 EEA EUROPEAN EQUITY FD INC Financial Services 63,524 $654K NEW
5381 GHRS GH RESEARCH PLC Healthcare 51,404 $653K NEW
5382 FTHI FIRST TR EXCHANGE TRADED FD 27,623 $652K NEW
5383 BBC ETFIS SER TR I 16,859 $650K NEW
5384 STRV EA SERIES TRUST 14,740 $650K NEW
5385 AIRO AIRO GROUP HLDGS INC Industrials 78,763 $644K NEW
5386 LDI LOANDEPOT INC Financial Services 311,123 $644K NEW
5387 SEF PROSHARES TR 20,976 $644K NEW
5388 TAYD TAYLOR DEVICES INC Industrials 11,011 $644K NEW
5389 IAF ABRDN AUSTRALIA EQUITY FD IN Financial Services 49,804 $643K NEW
5390 PSCF INVESCO EXCH TRADED FD TR II 11,188 $643K NEW
5391 WBIY ABSOLUTE SHS TR 20,085 $643K NEW
5392 RLJ 1.95 PERP A RLJ LODGING TR 25,777 $642K NEW
5393 KEQU KEWAUNEE SCIENTIFIC CORP Consumer Cyclical 17,134 $641K NEW
5394 SATL SATELLOGIC INC Technology 341,544 $639K NEW
5395 AVSU AMERICAN CENTY ETF TR 8,369 $639K NEW
5396 CFBK CF BANKSHARES INC Financial Services 25,553 $638K NEW
5397 TE T1 ENERGY INC Industrials 500,000 $637K NEW
5398 AIRT AIR T INC Industrials 33,206 $634K NEW
5399 SPYI NEOS ETF TRUST 12,061 $634K NEW
5400 PXED PHOENIX ED PARTNERS INC Consumer Defensive 20,889 $633K NEW
5401 OCGN OCUGEN INC Healthcare 463,454 $626K NEW
5402 FCAP FIRST CAP INC Financial Services 10,561 $625K NEW
5403 SMC SUMMIT MIDSTREAM CORPORATION Energy 23,388 $624K NEW
5404 WNEB WESTERN NEW ENG BANCORP INC Financial Services 49,442 $624K NEW
5405 BTMD BIOTE CORP Healthcare 239,736 $623K NEW
5406 SWIM LATHAM GROUP INC Industrials 98,156 $623K NEW
5407 CFFI C & F FINL CORP Financial Services 8,557 $621K NEW
5408 FMAO FARMERS & MERCHANTS BANCORP Financial Services 24,844 $614K NEW
5409 BTQ BTQ TECHNOLOGIES CORP Technology 119,906 $614K NEW
5410 MRAM EVERSPIN TECHNOLOGIES INC Technology 65,886 $611K NEW
5411 HFFG HF FOODS GROUP INC Consumer Defensive 283,491 $610K NEW
5412 NVX NOVONIX LIMITED Industrials 602,890 $609K NEW
5413 GIFI GULF IS FABRICATION INC 50,739 $607K NEW
5414 NUGT DIREXION SHS ETF TR 3,277 $603K NEW
5415 GSIT GSI TECHNOLOGY INC Technology 96,731 $601K NEW
5416 QLD PROSHARES TR 8,483 $597K NEW
5417 IDN INTELLICHECK INC Technology 89,312 $597K NEW
5418 INFU INFUSYSTEM HLDGS INC Healthcare 66,487 $596K NEW
5419 CLYM CLIMB BIO INC Healthcare 148,538 $594K NEW
5420 JBTM JBT MAREL CORPORATION Industrials 581,000 $593K NEW
5421 BWZ SPDR SERIES TRUST 21,642 $593K NEW
5422 XGN EXAGEN INC Healthcare 97,438 $592K NEW
5423 ATS ATS CORPORATION Industrials 21,491 $592K NEW
5424 LZM LIFEZONE METALS LIMITED Basic Materials 138,536 $592K NEW
5425 TTEC TTEC HLDGS INC Technology 164,226 $591K NEW
5426 MUU DIREXION SHS ETF TR 5,844 $589K NEW
5427 FSFG FIRST SVGS FINL GROUP INC 18,437 $587K NEW
5428 EPR 5.75 PERP C EPR PPTYS 26,461 $587K NEW
5429 GRRR GORILLA TECHNOLOGY GROUP INC Technology 53,689 $586K NEW
5430 BOC BOSTON OMAHA CORP Communication Services 47,203 $584K NEW
5431 SPXS DIREXION SHS ETF TR 16,433 $583K NEW
5432 PLSE PULSE BIOSCIENCES INC Healthcare 42,397 $582K NEW
5433 FLL FULL HSE RESORTS INC Consumer Cyclical 222,302 $580K NEW
5434 WB WEIBO CORP Communication Services 500,000 $579K NEW
5435 MARB FIRST TR EXCH TRADED FD III 28,002 $578K NEW
5436 PIM PUTNAM MASTER INTER INCOME T Financial Services 172,669 $577K NEW
5437 BKMC BNY MELLON ETF TRUST 5,288 $576K NEW
5438 FLCH FRANKLIN TEMPLETON ETF TR 24,190 $576K NEW
5439 NKTX NKARTA INC Healthcare 311,116 $576K NEW
5440 ESBA EMPIRE ST RLTY OP L P 91,024 $573K NEW
5441 SBFG SB FINL GROUP INC Financial Services 25,640 $571K NEW
5442 BBCP CONCRETE PUMPING HLDGS INC Industrials 84,826 $569K NEW
5443 AVBH AVIDBANK HLDGS INC Financial Services 21,427 $569K NEW
5444 FTPA PUTNAM ETF TRUST 65,858 $568K NEW
5445 VBNK VERSABANK NEW Financial Services 37,853 $567K NEW
5446 SPMC SOUND POINT MERIDIAN CAP INC Financial Services 41,148 $566K NEW
5447 TERRA INNOVATUM GLOBAL NV 122,376 $565K NEW
5448 GLOF ISHARES TR 10,711 $565K NEW
5449 TPVG TRIPLEPOINT VENTURE GROWTH B Financial Services 86,213 $564K NEW
5450 KRRO KORRO BIO INC Healthcare 69,728 $559K NEW
5451 PSCD INVESCO EXCH TRADED FD TR II 5,304 $556K NEW
5452 ASG LIBERTY ALL-STAR GROWTH FD I Financial Services 104,834 $556K NEW
5453 GLSI GREENWICH LIFESCIENCES INC Healthcare 26,379 $554K NEW
5454 PRTH PRIORITY TECHNOLOGY HLDGS IN Technology 101,443 $553K NEW
5455 AOHY ANGEL OAK FUNDS TRUST 49,661 $551K NEW
5456 ARES ARES MANAGEMENT CORPORATION Financial Services 10,901 $549K NEW
5457 AGEM ABRDN FDS 14,313 $549K NEW
5458 PEBK PEOPLES BANCORP N C INC Financial Services 15,174 $549K NEW
5459 MNTK MONTAUK RENEWABLES INC Utilities 328,662 $549K NEW
5460 LBRX LB PHARMACEUTICALS INC Healthcare 24,641 $549K NEW
5461 BPRN PRINCETON BANCORP INC Financial Services 15,802 $548K NEW
5462 23I FORWARD INDS INC N Y 82,930 $548K NEW
5463 ZYNGA INC 500,000 $548K NEW
5464 DAVA ENDAVA PLC Technology 86,563 $547K NEW
5465 SNDA SONIDA SENIOR LIVING INC Healthcare 16,720 $545K NEW
5466 EWJV ISHARES TR 13,690 $544K NEW
5467 TUSK MAMMOTH ENERGY SVCS INC Industrials 292,698 $541K NEW
5468 DCGO DOCGO INC Healthcare 614,362 $539K NEW
5469 MNSB MAINSTREET BANCSHARES INC Financial Services 26,465 $539K NEW
5470 PNRG PRIMEENERGY RESOURCES CORP Energy 3,148 $538K NEW
5471 CPLB NEW YORK LIFE INVTS ACTIVE E 25,338 $538K NEW
5472 XLO XILIO THERAPEUTICS INC Healthcare 839,850 $538K NEW
5473 NMS NUVEEN MINN QUALITY MUN INM Financial Services 45,797 $537K NEW
5474 MRSN MERSANA THERAPEUTICS INC 18,496 $535K NEW
5475 NRT NORTH EUROPEAN OIL RTY TR Energy 81,248 $535K NEW
5476 HITI HIGH TIDE INC Healthcare 201,405 $534K NEW
5477 MSTR STRATEGY INC Technology 482,000 $533K NEW
5478 DSTL ETF SER SOLUTIONS 9,027 $532K NEW
5479 NC NACCO INDS INC Energy 10,833 $531K NEW
5480 MREO MEREO BIOPHARMA GROUP PLC Healthcare 1,273,785 $531K NEW
5481 INKM SSGA ACTIVE ETF TR 16,086 $531K NEW
5482 NBTX NANOBIOTIX Healthcare 22,923 $530K NEW
5483 GTE GRAN TIERRA ENERGY INC Energy 124,885 $530K NEW
5484 MDV MODIV INDUSTRIAL INC Real Estate 36,767 $529K NEW
5485 SGMT SAGIMET BIOSCIENCES INC Healthcare 89,244 $528K NEW
5486 DYNAMIX CORP 51,180 $527K NEW
5487 SKYX SKYX PLATFORMS CORP Industrials 242,253 $526K NEW
5488 UMI USCF ETF TR 10,661 $523K NEW
5489 ESOA ENERGY SVCS ACQUISITION CORP Industrials 64,016 $523K NEW
5490 DFLV DIMENSIONAL ETF TRUST 15,211 $520K NEW
5491 DMXF ISHARES TR 6,918 $520K NEW
5492 SMID SMITH MIDLAND CORP Basic Materials 14,280 $519K NEW
5493 LWLG LIGHTWAVE LOGIC INC Basic Materials 160,159 $519K NEW
5494 KLTR KALTURA INC Technology 316,231 $519K NEW
5495 OM OUTSET MED INC Healthcare 139,719 $518K NEW
5496 LRMR LARIMAR THERAPEUTICS INC Healthcare 135,983 $518K NEW
5497 XRPN ARMADA ACQUISITION CORP II Financial Services 50,574 $518K NEW
5498 RCEL AVITA MEDICAL INC Healthcare 149,715 $517K NEW
5499 SEG SEAPORT ENTMT GROUP INC Real Estate 26,105 $516K NEW
5500 OTLY OATLY GROUP AB Consumer Defensive 48,271 $516K NEW
5501 MIRM MIRUM PHARMACEUTICALS INC Healthcare 200,000 $516K NEW
5502 W WAYFAIR INC Consumer Cyclical 310,000 $516K NEW
5503 CNCK COINCHECK GROUP NV Financial Services 204,144 $514K NEW
5504 CURI CURIOSITYSTREAM INC Communication Services 134,655 $512K NEW
5505 TMCI TREACE MED CONCEPTS INC Healthcare 208,723 $511K NEW
5506 WHITEFIBER INC 32,073 $507K NEW
5507 KLXE KLX ENERGY SERVICS HOLDNGS I Energy 267,963 $506K NEW
5508 DVLT DATAVAULT AI INC Technology 773,763 $505K NEW
5509 MSTY TIDAL TRUST II 17,015 $504K NEW
5510 LQDB ISHARES TR 5,774 $503K NEW
5511 POWW OUTDOOR HOLDING CO Industrials 294,134 $503K NEW
5512 BTAL AGF INVTS TR 34,888 $502K NEW
5513 BOIL PROSHARES TR II Financial Services 21,874 $501K NEW
5514 RSKD RISKIFIED LTD Technology 100,744 $501K NEW
5515 SSSS SURO CAPITAL CORP Financial Services 52,995 $500K NEW
5516 NUAG NUSHARES ETF TR 23,512 $498K NEW
5517 ALEC ALECTOR INC Healthcare 319,072 $498K NEW
5518 COSO COASTALSOUTH BANCSHARES INC Financial Services 21,398 $498K NEW
5519 IQSI NEW YORK LIFE INVESTMENTS ET 14,120 $497K NEW
5520 HRZN HORIZON TECHNOLOGY FIN CORP Financial Services 76,865 $496K NEW
5521 UBFO UNITED SEC BANCSHARES CALIF 49,153 $495K NEW
5522 OBOOK HLDGS INC 74,088 $495K NEW
5523 NL NL INDS INC Industrials 90,367 $494K NEW
5524 PAL PROFICIENT AUTO LOGISTICS IN Industrials 51,199 $494K NEW
5525 UNB UNION BANKSHARES INC Financial Services 20,791 $493K NEW
5526 LFVN LIFEVANTAGE CORP Consumer Defensive 79,890 $492K NEW
5527 APUE TRUST FOR PROFESSIONAL MANAG 11,807 $492K NEW
5528 LUXE LUXEXPERIENCE BV Consumer Cyclical 58,890 $492K NEW
5529 TMV DIREXION SHS ETF TR 13,219 $491K NEW
5530 BETTERWARE DE MEXC S A P I D 34,403 $489K NEW
5531 GQRE FLEXSHARES TR 8,286 $488K NEW
5532 GENC GENCOR INDS INC Industrials 37,455 $485K NEW
5533 XCAFX MORGAN STANLEY CHINA A SH FD 27,935 $485K NEW
5534 GDXU BANK MONTREAL QUE Financial Services 1,990 $485K NEW
5535 CPER UNITED STS COMMODITY INDEX F Financial Services 13,863 $485K NEW
5536 CMTL COMTECH TELECOMMUNICATIONS C Technology 91,530 $484K NEW
5537 BKKT BAKKT HOLDINGS INC Technology 48,146 $483K NEW
5538 KGEI KOLIBRI GLOBAL ENERGY INC Energy 122,938 $483K NEW
5539 AXON AXON ENTERPRISE INC Industrials 191,000 $480K NEW
5540 FNWD FINWARD BANCORP Financial Services 13,588 $478K NEW
5541 DIBS 1STDIBS COM INC Consumer Cyclical 79,767 $478K NEW
5542 DFGR DIMENSIONAL ETF TRUST 18,073 $477K NEW
5543 EYLD CAMBRIA ETF TR 12,428 $476K NEW
5544 MRBK MERIDIAN CORPORATION Financial Services 27,055 $476K NEW
5545 GANX GAIN THERAPEUTICS INC Healthcare 147,591 $475K NEW
5546 RRBI RED RIVER BANCSHARES INC Financial Services 6,651 $475K NEW
5547 CRBU CARIBOU BIOSCIENCES INC Healthcare 298,456 $475K NEW
5548 ANGX ANGEL STUDIOS INC Communication Services 101,534 $474K NEW
5549 FDBC FIDELITY D & D BANCORP INC Financial Services 10,829 $471K NEW
5550 ORA ORMAT TECHNOLOGIES INC Utilities 351,000 $471K NEW
5551 OSIS OSI SYSTEMS INC Technology 315,000 $467K NEW
5552 RPT RITHM PPTY TR INC Real Estate 28,157 $467K NEW
5553 WEST WESTROCK COFFEE CO Consumer Defensive 114,665 $467K NEW
5554 OPEN OPENDOOR TECHNOLOGIES INC Real Estate 895,907 $466K NEW
5555 BMEA BIOMEA FUSION INC Healthcare 372,629 $462K NEW
5556 NACP TIDAL TRUST III 9,375 $462K NEW
5557 ADV ADVANTAGE SOLUTIONS INC Communication Services 523,792 $461K NEW
5558 RVSB RIVERVIEW BANCORP INC Financial Services 91,670 $460K NEW
5559 FORTY FORMULA SYSTEMS 1985 LTD 2,708 $453K NEW
5560 SATS 3.875 11/30/30 ECHOSTAR CORP 135,086 $451K NEW
5561 REFI CHICAGO ATLANTIC REAL ESTATE Real Estate 36,744 $450K NEW
5562 RENATUS TACTICAL ACQUIS 42,200 $450K NEW
5563 BKCG BNY MELLON ETF TRUST II 12,362 $450K NEW
5564 REGENCELL BIOSCIENCE HLDGS L 21,424 $450K NEW
5565 MERC MERCER INTL INC Basic Materials 227,103 $450K NEW
5566 SMTH ALPS ETF TR 17,190 $448K NEW
5567 OSS ONE STOP SYS INC Technology 62,240 $447K NEW
5568 PALC PACER FDS TR 8,544 $446K NEW
5569 PBFS PIONEER BANCORP INC MD Financial Services 33,057 $446K NEW
5570 SLVR SPROTT FDS TR 7,970 $445K NEW
5571 JYNT JOINT CORP Healthcare 50,968 $444K NEW
5572 STXS STEREOTAXIS INC Healthcare 191,848 $441K NEW
5573 QSI QUANTUM SI INC Healthcare 399,994 $440K NEW
5574 DRIV GLOBAL X FDS 14,847 $439K NEW
5575 LUCK LUCKY STRIKE ENTERTAINMENT C Consumer Cyclical 51,680 $438K NEW
5576 BTC GRAYSCALE BITCOIN MINI TR ET Financial Services 11,256 $436K NEW
5577 HYNE HOYNE BANCORP INC Financial Services 30,000 $435K NEW
5578 VFMO VANGUARD WELLINGTON FD 2,271 $434K NEW
5579 OWLT OWLET INC Healthcare 26,749 $433K NEW
5580 MINO PIMCO ETF TR 9,535 $432K NEW
5581 RILY BRC INC Financial Services 388,083 $431K NEW
5582 FSEP FIRST TR EXCHNG TRADED FD VI 8,350 $431K NEW
5583 NODK NI HLDGS INC Financial Services 32,335 $430K NEW
5584 FXNC FIRST NATL CORP Financial Services 17,034 $430K NEW
5585 COOK TRAEGER INC Consumer Cyclical 396,840 $429K NEW
5586 NMRA NEUMORA THERAPEUTICS INC. Healthcare 238,484 $427K NEW
5587 KVHI KVH INDS INC Technology 61,171 $426K NEW
5588 BVFL BV FINL INC Financial Services 23,456 $425K NEW
5589 OPHC OPTIMUMBANK HLDGS INC Financial Services 100,002 $425K NEW
5590 PSEP INNOVATOR ETFS TRUST 9,707 $424K NEW
5591 DFNM DIMENSIONAL ETF TRUST 8,788 $423K NEW
5592 CLLS CELLECTIS S A Healthcare 87,176 $422K NEW
5593 ISBA ISABELLA BK CORP Financial Services 8,399 $420K NEW
5594 PTN PALATIN TECHNOLOGIES INC Healthcare 27,281 $420K NEW
5595 ZENA ZENATECH INC Technology 131,116 $420K NEW
5596 OMFS INVESCO EXCH TRD SLF IDX FD 9,433 $419K NEW
5597 LVDS J P MORGAN EXCHANGE TRADED F 8,391 $417K NEW
5598 LFT LUMENT FINANCE TRUST INC Real Estate 294,973 $416K NEW
5599 ETHE GRAYSCALE ETHEREUM TRUST ETF Financial Services 17,063 $416K NEW
5600 RDVI FIRST TR EXCHANGE-TRADED FD 15,829 $415K NEW
5601 DTIL PRECISION BIOSCIENCES INC Healthcare 99,805 $415K NEW
5602 FPH FIVE POINT HOLDINGS LLC Real Estate 74,268 $415K NEW
5603 ULH UNIVERSAL LOGISTICS HLDGS IN Industrials 27,281 $414K NEW
5604 CLAR CLARUS CORP NEW Consumer Cyclical 123,130 $412K NEW
5605 ALTO ALTO INGREDIENTS INC Basic Materials 143,137 $412K NEW
5606 JHS HANCOCK JOHN INCOME SECS TR Financial Services 35,161 $412K NEW
5607 SUSL ISHARES TR 3,392 $411K NEW
5608 MPLT MAPLIGHT THERAPEUTICS INC Healthcare 23,222 $408K NEW
5609 LIQT LIQTECH INTL INC Industrials 279,303 $408K NEW
5610 LAES SEALSQ CORP Technology 107,721 $407K NEW
5611 FTNJ PUTNAM ETF TRUST 46,442 $406K NEW
5612 BSET BASSETT FURNITURE INDS INC Consumer Cyclical 24,226 $406K NEW
5613 ORBS EIGHTCO HOLDINGS INC Technology 233,941 $405K NEW
5614 ANEB ANEBULO PHARMACEUTICALS INC 399,404 $403K NEW
5615 BKSE BNY MELLON ETF TRUST 3,585 $403K NEW
5616 NRDY NERDY INC Technology 387,697 $403K NEW
5617 VLN VALENS SEMICONDUCTOR LTD Technology 283,927 $403K NEW
5618 ASEA GLOBAL X FDS 21,985 $403K NEW
5619 JMSB JOHN MARSHALL BANCORP INC Financial Services 20,153 $403K NEW
5620 FBYD FALCONS BEYOND GLOBAL INC Industrials 26,835 $403K NEW
5621 KENON HLDGS LTD 6,073 $403K NEW
5622 ENLT ENLIGHT RENEWABLE ENERGY LTD Utilities 8,850 $402K NEW
5623 GNLX GENELUX CORPORATION Healthcare 92,189 $402K NEW
5624 ANDG ANDERSEN GROUP INC Consumer Cyclical 15,472 $401K NEW
5625 AVR ANTERIS TECHNOLOGIES GLOBAL Healthcare 80,378 $401K NEW
5626 LSBK LAKE SHORE BANCORP INC Financial Services 27,098 $397K NEW
5627 URAA DIREXION SHS ETF TR 12,700 $397K NEW
5628 GRNY TIDAL TRUST I 16,028 $397K NEW
5629 OPAL OPAL FUELS INC Utilities 168,273 $396K NEW
5630 ALTI ALTI GLOBAL INC Financial Services 84,995 $394K NEW
5631 VEGN ETF SER SOLUTIONS 6,473 $394K NEW
5632 PSCC INVESCO EXCH TRADED FD TR II 12,665 $394K NEW
5633 AREN THE ARENA GROUP HOLDINGS INC Communication Services 98,275 $393K NEW
5634 ACHV ACHIEVE LIFE SCIENCES INC Healthcare 79,061 $393K NEW
5635 ARAY ACCURAY INC Healthcare 476,143 $393K NEW
5636 TMFG RBB FD INC 13,010 $392K NEW
5637 FIRST TR EXCH TRADED FD III 5,221 $392K NEW
5638 AFCG ADVANCED FLOWER CAP INC Real Estate 137,448 $392K NEW
5639 XBIT XBIOTECH INC Healthcare 163,419 $391K NEW
5640 PFIG INVESCO EXCH TRADED FD TR II 16,055 $390K NEW
5641 FISR SSGA ACTIVE TR 15,039 $390K NEW
5642 JFIN JIAYIN GROUP INC Communication Services 67,159 $390K NEW
5643 BALY BALLYS CORPORATION Consumer Cyclical 23,523 $389K NEW
5644 BARK BARK INC Consumer Cyclical 644,390 $388K NEW
5645 RRGB RED ROBIN GOURMET BURGERS IN Consumer Cyclical 95,296 $386K NEW
5646 POCI PRECISION OPTICS CORP INC MA Healthcare 91,993 $385K NEW
5647 GYRE GYRE THERAPEUTICS INC Healthcare 54,498 $385K NEW
5648 TSLR GRANITESHARES ETF TR 12,000 $384K NEW
5649 BFINUSD BANKFINANCIAL CORP 31,965 $384K NEW
5650 SNWV SANUWAVE HEALTH INC Healthcare 12,827 $383K NEW
5651 IBLC ISHARES TR 9,335 $382K NEW
5652 GBFH GBANK FINL HLDGS INC Financial Services 11,262 $382K NEW
5653 WKEY WISEKEY INTERNATIONAL HLDS L Technology 48,425 $380K NEW
5654 MRCC MONROE CAP CORP Financial Services 59,649 $380K NEW
5655 FDTS FIRST TR EXCH TRD ALPHDX FD 6,496 $379K NEW
5656 VALN VALNEVA SE Healthcare 42,981 $379K NEW
5657 ATOM ATOMERA INC Technology 171,001 $378K NEW
5658 KRBN KRANESHARES TRUST 10,662 $377K NEW
5659 ONEW ONEWATER MARINE INC Consumer Cyclical 34,683 $375K NEW
5660 PRENETICS GLOBAL LTD 23,799 $375K NEW
5661 SKIN THE BEAUTY HEALTH COMPANY Consumer Defensive 269,653 $375K NEW
5662 SMMV ISHARES TR 8,649 $375K NEW
5663 HGER HARBOR ETF TRUST 15,085 $374K NEW
5664 MCRB SERES THERAPEUTICS INC Healthcare 25,126 $374K NEW
5665 PXJ INVESCO EXCHANGE TRADED FD T 12,720 $373K NEW
5666 ONCY ONCOLYTICS BIOTECH INC Healthcare 426,518 $373K NEW
5667 VOR VOR BIOPHARMA INC Healthcare 28,463 $372K NEW
5668 ACU ACME UTD CORP Consumer Defensive 9,184 $370K NEW
5669 KULR KULR TECHNOLOGY GROUP INC Technology 124,797 $369K NEW
5670 DBO INVESCO DB MULTI-SECTOR COMM Financial Services 30,212 $369K NEW
5671 SNAP SNAP INC Communication Services 420,000 $366K NEW
5672 NVDS INVESTMENT MANAGERS SER TR I 13,066 $366K NEW
5673 CZFS CITIZENS FINL SVCS INC Financial Services 6,406 $365K NEW
5674 TULP LENDWAY INC Industrials 105,309 $363K NEW
5675 ELDN ELEDON PHARMACEUTICALS INC Healthcare 240,545 $363K NEW
5676 TVRD TVARDI THERAPEUTICS INC Healthcare 84,466 $363K NEW
5677 POWR ISHARES INC 15,402 $362K NEW
5678 STEM STEM INC Technology 24,074 $362K NEW
5679 CBFV CB FINL SVCS INC Financial Services 10,386 $362K NEW
5680 SHAG WISDOMTREE TR 7,498 $360K NEW
5681 LNSR LENSAR INC Healthcare 30,922 $360K NEW
5682 OPEN OPENDOOR TECHNOLOGIES INC Real Estate 895,907 $358K NEW
5683 FXC INVESCO CURRENCYSHARES CDN D Financial Services 5,026 $358K NEW
5684 FGM FIRST TR EXCH TRD ALPHDX FD 5,722 $357K NEW
5685 CAN CANAAN INC Technology 516,162 $356K NEW
5686 SENS SENSEONICS HLDGS INC Healthcare 64,391 $355K NEW
5687 CHINA AUTOMOTIVE SYS INC 83,287 $355K NEW
5688 TWIN TWIN DISC INC Industrials 21,260 $355K NEW
5689 MXE MEXICO EQUITY & INCOME FD Financial Services 28,581 $354K NEW
5690 GGT GABELLI MULTIMEDIA TR INC Financial Services 84,212 $354K NEW
5691 CHRS COHERUS ONCOLOGY INC Healthcare 248,394 $353K NEW
5692 ABOS ACUMEN PHARMACEUTICALS INC Healthcare 166,905 $352K NEW
5693 SNFCA SECURITY NATL FINL CORP Financial Services 38,919 $351K NEW
5694 LIVN LIVANOVA PLC Healthcare 302,000 $349K NEW
5695 BNC CEA INDUSTRIES INC Industrials 54,328 $349K NEW
5696 TGEN TECOGEN INC NEW Industrials 69,978 $346K NEW
5697 CSB VICTORY PORTFOLIOS II 5,883 $345K NEW
5698 HYSA BONDBLOXX ETF TRUST 22,754 $345K NEW
5699 JPEF J P MORGAN EXCHANGE TRADED F 4,605 $344K NEW
5700 KTF DWS MUN INCOME TR NEW Financial Services 37,530 $341K NEW
5701 OBIO ORCHESTRA BIOMED HLDGS INC Healthcare 81,851 $340K NEW
5702 XRLV INVESCO EXCH TRADED FD TR II 6,268 $339K NEW
5703 FLHY FRANKLIN TEMPLETON ETF TR 13,851 $338K NEW
5704 AEYE AUDIOEYE INC Technology 33,836 $338K NEW
5705 SELF GLOBAL SELF STORAGE INC Real Estate 66,200 $338K NEW
5706 WHG WESTWOOD HLDGS GROUP INC Financial Services 19,609 $337K NEW
5707 URNJ SPROTT FDS TR 13,344 $336K NEW
5708 FTXG FIRST TR EXCHANGE TRADED FD 16,023 $336K NEW
5709 BBDO BANCO BRADESCO S A Financial Services 116,918 $336K NEW
5710 GPIX GOLDMAN SACHS ETF TR 6,346 $335K NEW
5711 CAOS EA SERIES TRUST 3,730 $335K NEW
5712 CMCM CHEETAH MOBILE INC Communication Services 55,654 $334K NEW
5713 ELA ENVELA CORP Consumer Cyclical 24,922 $333K NEW
5714 SEALTD 0.25 09/15/26 SEA LTD 343,000 $333K NEW
5715 AFRI FORAFRIC GLOBAL PLC Consumer Defensive 30,148 $333K NEW
5716 FNKO FUNKO INC Consumer Cyclical 97,754 $332K NEW
5717 CMDY ISHARES U S ETF TR 6,800 $332K NEW
5718 FFLG FIDELITY COVINGTON TRUST 11,001 $329K NEW
5719 CRDL CARDIOL THERAPEUTICS INC Healthcare 344,463 $329K NEW
5720 IOBTQ IO BIOTECH INC 539,182 $328K NEW
5721 STRW STRAWBERRY FIELDS REIT INC Real Estate 25,061 $328K NEW
5722 FNGS BANK MONTREAL MEDIUM Financial Services 4,816 $328K NEW
5723 CBIO CRESCENT BIOPHARMA INC. Healthcare 27,521 $326K NEW
5724 MYO MYOMO INC Healthcare 358,454 $326K NEW
5725 PSNY POLESTAR AUTOMOTIVE HLDG UK Consumer Cyclical 15,220 $325K NEW
5726 LMRI LUMEXA IMAGING HOLDINGS INC Healthcare 17,533 $324K NEW
5727 FOSL FOSSIL GROUP INC Consumer Cyclical 86,100 $324K NEW
5728 ISPR ISPIRE TECHNOLOGY INC Consumer Defensive 115,404 $323K NEW
5729 THNQ EXCHANGE TRADED CONCEPTS TRU 5,087 $323K NEW
5730 PROP PRAIRIE OPER CO Financial Services 190,044 $321K NEW
5731 SOGP SOUND GROUP INC Technology 27,562 $320K NEW
5732 KMID VIRTUS ETF TR II 13,040 $318K NEW
5733 RDNW RIDENOW GROUP INC Consumer Cyclical 57,573 $318K NEW
5734 OZ BELPOINTE PREP LLC Real Estate 4,858 $316K NEW
5735 BCIC BCP INVESTMENT CORPORATION Financial Services 26,599 $315K NEW
5736 GIGAMEDIA LTD 206,506 $314K NEW
5737 SEER SEER INC Healthcare 171,368 $314K NEW
5738 SRBK SR BANCORP INC Financial Services 19,871 $313K NEW
5739 PLG PLATINUM GROUP METALS LTD Basic Materials 132,473 $313K NEW
5740 FMN FEDERATED HERMES PREM MUNI I Financial Services 28,139 $313K NEW
5741 FJUL FIRST TR EXCHNG TRADED FD VI 5,541 $310K NEW
5742 COYA COYA THERAPEUTICS INC Healthcare 53,356 $309K NEW
5743 NORW GLOBAL X FDS 10,267 $308K NEW
5744 NUAI NEW ERA ENERGY & DIGITAL INC Energy 104,959 $308K NEW
5745 NEON NEONODE INC Technology 176,337 $307K NEW
5746 ACR ACRES COMMERCIAL REALTY CORP Real Estate 14,368 $307K NEW
5747 RDCM RADCOM LTD Communication Services 23,422 $306K NEW
5748 HQI HIREQUEST INC Industrials 29,142 $306K NEW
5749 JPRE J P MORGAN EXCHANGE TRADED F 6,527 $305K NEW
5750 SEAT VIVID SEATS INC Communication Services 42,270 $305K NEW
5751 INTT INTEST CORP Technology 40,663 $304K NEW
5752 RMBI RICHMOND MUT BANCORPORATION Financial Services 21,519 $302K NEW
5753 TMAT NORTHERN LTS FD TR IV 12,070 $302K NEW
5754 RLMD RELMADA THERAPEUTICS INC Healthcare 62,357 $301K NEW
5755 IHY VANECK ETF TRUST 13,690 $301K NEW
5756 NURE NUSHARES ETF TR 10,624 $299K NEW
5757 NDIA GLOBAL X FDS 10,000 $298K NEW
5758 DFSD DIMENSIONAL ETF TRUST 6,205 $298K NEW
5759 ACIU AC IMMUNE SA Healthcare 94,345 $296K NEW
5760 SEIM SEI EXCHANGE TRADED FUNDS 6,390 $295K NEW
5761 BLLN BILLIONTOONE INC Healthcare 3,599 $295K NEW
5762 AISP AIRSHIP AI HLDGS INC Technology 101,769 $294K NEW
5763 IONR IONEER LTD Basic Materials 60,905 $292K NEW
5764 GEOS GEOSPACE TECHNOLOGIES CORP Energy 17,264 $292K NEW
5765 UPGD INVESCO EXCHANGE TRADED FD T 3,940 $292K NEW
5766 STRS STRATUS PPTYS INC Real Estate 12,017 $291K NEW
5767 THM INTERNATIONAL TOWER HILL MIN Basic Materials 156,171 $290K NEW
5768 EEX EMERALD HOLDING INC Communication Services 64,930 $290K NEW
5769 BROOKFIELD WEALTH SOL LTD 6,297 $289K NEW
5770 LITE 0.5 12/15/26 LUMENTUM HLDGS INC 78,000 $289K NEW
5771 ATRA ATARA BIOTHERAPEUTICS INC Healthcare 15,991 $289K NEW
5772 SDS PROSHARES TR 4,200 $288K NEW
5773 ONEY SPDR SERIES TRUST 2,532 $288K NEW
5774 TKNO ALPHA TEKNOVA INC Healthcare 75,667 $288K NEW
5775 RGEN 1 12/15/28 REPLIGEN CORP 262,000 $286K NEW
5776 CODA CODA OCTOPUS GROUP INC Industrials 30,676 $285K NEW
5777 IETC ISHARES U S ETF TR 2,808 $285K NEW
5778 INCE FRANKLIN TEMPLETON ETF TR 4,655 $284K NEW
5779 BRR PROCAP FINL INC Financial Services 80,405 $284K NEW
5780 MSIF MSC INCOME FUND INC Financial Services 21,532 $283K NEW
5781 PRNT ARK ETF TR 12,637 $282K NEW
5782 CIA CITIZENS INC Financial Services 58,360 $282K NEW
5783 PAI WESTERN ASSET INVESTMENT GRA Financial Services 22,514 $281K NEW
5784 BHV BLACKROCK VA MUN BD TR Financial Services 26,859 $281K NEW
5785 SUNS SUNRISE RLTY TR INC Real Estate 29,734 $280K NEW
5786 IBHK ISHARES TR 10,829 $280K NEW
5787 BALT INNOVATOR ETFS TRUST 8,346 $280K NEW
5788 CPLS AB ACTIVE ETFS INC 7,841 $279K NEW
5789 DLHC DLH HLDGS CORP Industrials 49,263 $278K NEW
5790 AREC AMERICAN RES CORP Energy 112,185 $278K NEW
5791 KG KESTREL GROUP LTD Financial Services 27,158 $278K NEW
5792 QGRO AMERICAN CENTY ETF TR 2,422 $277K NEW
5793 NOTE FISCALNOTE HOLDINGS INC 187,949 $276K NEW
5794 CD CHAINCE DIGITAL HOLDINGS INC Technology 55,344 $275K NEW
5795 DFSI DIMENSIONAL ETF TRUST 6,403 $274K NEW
5796 QLTY GMO ETF TRUST 7,122 $274K NEW
5797 HWBK HAWTHORN BANCSHARES INC Financial Services 7,815 $273K NEW
5798 RSST TIDAL TRUST II 9,598 $272K NEW
5799 CPAC CEMENTOS PACASMAYO S A A Basic Materials 26,086 $272K NEW
5800 WALD WALDENCAST PLC Technology 144,568 $272K NEW
5801 TSQ TOWNSQUARE MEDIA INC Communication Services 52,764 $271K NEW
5802 HOFT HOOKER FURNISHINGS CORPORATI Consumer Cyclical 23,946 $270K NEW
5803 SVAL ISHARES TR 7,864 $270K NEW
5804 ECNS ISHARES TR 8,221 $269K NEW
5805 IMDX INSIGHT MOLECULAR DIA INC Healthcare 35,913 $269K NEW
5806 IMPERIAL PETE INC 74,371 $269K NEW
5807 UNCY UNICYCIVE THERAPEUTICS INC Healthcare 46,584 $269K NEW
5808 ZVIA ZEVIA PBC Consumer Defensive 115,702 $268K NEW
5809 GAIA GAIA INC NEW Communication Services 73,790 $268K NEW
5810 SLNH SOLUNA HOLDINGS INC Technology 228,318 $267K NEW
5811 TRINSEO PLC 536,422 $267K NEW
5812 VABK VIRGINIA NATL BANKSHARES COR Financial Services 6,677 $266K NEW
5813 SWZ TOTAL RETURN SECURITIES FUND Financial Services 42,272 $263K NEW
5814 MYPS PLAYSTUDIOS INC Technology 403,048 $263K NEW
5815 PERF PERFECT CORP Technology 144,972 $262K NEW
5816 ANTX AN2 THERAPEUTICS INC Healthcare 229,770 $262K NEW
5817 AVIV AMERICAN CENTY ETF TR 3,673 $262K NEW
5818 HEQT SIMPLIFY EXCHANGE TRADED FUN 8,154 $261K NEW
5819 MGNX MACROGENICS INC Healthcare 161,016 $259K NEW
5820 KOS KOSMOS ENERGY LTD Energy 613,000 $259K NEW
5821 IPAY AMPLIFY ETF TR 4,968 $259K NEW
5822 INNV INNOVAGE HLDG CORP Healthcare 49,809 $259K NEW
5823 HERE HERE GROUP LTD Consumer Cyclical 50,246 $257K NEW
5824 JMM NUVEEN MULTI-MKT INCOME FD Financial Services 42,401 $256K NEW
5825 GSEU GOLDMAN SACHS ETF TR 5,601 $256K NEW
5826 PMTS CPI CARD GROUP INC Financial Services 17,381 $255K NEW
5827 IBHL ISHARES TR 9,899 $255K NEW
5828 QEMM SPDR INDEX SHS FDS 3,850 $255K NEW
5829 SRG SERITAGE GROWTH PPTYS Real Estate 78,351 $255K NEW
5830 CHGX EA SERIES TRUST 9,356 $254K NEW
5831 FETH FIDELITY ETHEREUM FD Financial Services 8,571 $254K NEW
5832 BAER BRIDGER AEROSPACE GRP HLDGS Industrials 138,316 $253K NEW
5833 FWD AB ACTIVE ETFS INC 2,420 $253K NEW
5834 CDNL CARDINAL INFRASTRUCTURE GROU Industrials 10,399 $251K NEW
5835 GLDG GOLDMINING INC Basic Materials 201,126 $251K NEW
5836 BBLU EA SERIES TRUST 16,349 $249K NEW
5837 USVM VICTORY PORTFOLIOS II 2,729 $249K NEW
5838 HSDT SOLANA CO Healthcare 86,105 $249K NEW
5839 MFUL COLLABORATIVE INVESTMNT SER 11,373 $247K NEW
5840 BH/A BIGLARI HLDGS INC 142 $247K NEW
5841 DHX DHI GROUP INC Industrials 159,111 $247K NEW
5842 PTON PELOTON INTERACTIVE INC Consumer Cyclical 250,000 $246K NEW
5843 EML EASTERN CO Industrials 12,505 $246K NEW
5844 RGEF TIDAL TRUST III 8,025 $246K NEW
5845 PPTY ETF SER SOLUTIONS 8,158 $246K NEW
5846 DFEV DIMENSIONAL ETF TRUST 7,278 $246K NEW
5847 ESP ESPEY MFG & ELECTRS CORP Industrials 5,206 $245K NEW
5848 VIOT VIOMI TECHNOLOGY CO LTD Consumer Cyclical 133,309 $245K NEW
5849 INSG INSEEGO CORP Technology 23,763 $244K NEW
5850 RBLD FIRST TR EXCHANGE-TRADED FD 3,264 $244K NEW
5851 ACVU HARTFORD FDS EXCHANGE TRADED 8,891 $244K NEW
5852 HUSV FIRST TR EXCH TRADED FD III 6,288 $243K NEW
5853 GSID GOLDMAN SACHS ETF TR 3,503 $243K NEW
5854 DIGINEX LTD 57,820 $241K NEW
5855 ARKX ARK ETF TR 8,308 $241K NEW
5856 PSBD PALMER SQUARE CAPITAL BDC IN Financial Services 19,749 $241K NEW
5857 HURC HURCO CO Industrials 15,546 $240K NEW
5858 CNYA ISHARES TR 6,920 $239K NEW
5859 SERA SERA PROGNOSTICS INC Healthcare 80,968 $239K NEW
5860 BNR BURNING ROCK BIOTECH LTD Healthcare 11,840 $239K NEW
5861 ABTC AMERICAN BITCOIN CORP. Financial Services 140,077 $238K NEW
5862 PLX PROTALIX BIOTHERAPEUTICS INC Healthcare 131,987 $238K NEW
5863 DAO YOUDAO INC Consumer Defensive 23,546 $237K NEW
5864 VIRC VIRCO MFG CO Consumer Cyclical 37,083 $237K NEW
5865 ETSY ETSY INC Consumer Cyclical 256,000 $236K NEW
5866 NTZ NATUZZI S P A Consumer Cyclical 99,966 $236K NEW
5867 KLRS KALARIS THERAPEUTICS INC Healthcare 27,948 $236K NEW
5868 SVCO SILVACO GROUP INC Technology 58,217 $236K NEW
5869 TDVG T ROWE PRICE ETF INC 5,223 $235K NEW
5870 TEAD TEADS HLDG CO Technology 333,210 $235K NEW
5871 FMY FIRST TR MTG INCOME FD Financial Services 19,269 $234K NEW
5872 SCMB SCHWAB STRATEGIC TR 9,078 $234K NEW
5873 DCRE DOUBLELINE ETF TRUST 4,505 $234K NEW
5874 SPDV ETF SER SOLUTIONS 6,704 $232K NEW
5875 UPXI UPEXI INC Communication Services 137,788 $231K NEW
5876 BDTX BLACK DIAMOND THERAPEUTICS I Healthcare 95,149 $231K NEW
5877 CVLC MORGAN STANLEY ETF TRUST 2,742 $231K NEW
5878 UXIN UXIN LTD Consumer Cyclical 68,353 $230K NEW
5879 BSVO EA SERIES TRUST 9,873 $230K NEW
5880 ASRT ASSERTIO HOLDINGS INC Healthcare 25,345 $230K NEW
5881 CBC CENTRAL BANCOMPANY Financial Services 9,497 $229K NEW
5882 MLP MAUI LD & PINEAPPLE INC Real Estate 13,484 $228K NEW
5883 SCM STELLUS CAP INVT CORP Financial Services 17,996 $228K NEW
5884 SNAP SNAP INC Communication Services 244,000 $227K NEW
5885 NCL CORP LTD 223,000 $226K NEW
5886 TCRX TSCAN THERAPEUTICS INC Healthcare 225,829 $226K NEW
5887 VALU VALUE LINE INC Financial Services 5,840 $224K NEW
5888 SOPH SOPHIA GENETICS SA Healthcare 48,047 $224K NEW
5889 MSTR STRATEGY SHS Technology 10,104 $222K NEW
5890 LXRX LEXICON PHARMACEUTICALS INC Healthcare 193,035 $222K NEW
5891 RENATUS TACTICAL ACQUIS 20,000 $222K NEW
5892 YINN DIREXION SHS ETF TR 5,201 $222K NEW
5893 AVSD AMERICAN CENTY ETF TR 2,974 $221K NEW
5894 OVBC OHIO VY BANC CORP Financial Services 5,520 $221K NEW
5895 EIPX FIRST TR EXCHANGE-TRADED FD 8,315 $220K NEW
5896 ARQQ ARQIT QUANTUM INC Technology 10,045 $220K NEW
5897 GH GUARDANT HEALTH INC Healthcare 120,000 $219K NEW
5898 PSET PRINCIPAL EXCHANGE TRADED FD 2,876 $219K NEW
5899 MPU MEGA MATRIX INC Industrials 240,449 $219K NEW
5900 OPPE WISDOMTREE TR 4,235 $218K NEW
5901 CURV TORRID HLDGS INC Consumer Cyclical 222,256 $217K NEW
5902 SFBC SOUND FINL BANCORP INC Financial Services 4,970 $217K NEW
5903 TI TITAN MNG CORP 73,200 $217K NEW
5904 FLJH FRANKLIN TEMPLETON ETF TR 5,735 $216K NEW
5905 FCBD ADVISORS INNER CIRCLE FD II 8,424 $215K NEW
5906 ALAR ALARUM TECHNOLOGIES LTD Technology 25,025 $215K NEW
5907 LODE COMSTOCK INC Real Estate 56,878 $214K NEW
5908 CHGG CHEGG INC Consumer Defensive 228,977 $213K NEW
5909 RSPC INVESCO EXCHANGE TRADED FD T 5,312 $212K NEW
5910 NVCT NUVECTIS PHARMA INC Healthcare 28,011 $211K NEW
5911 AMTD AMTD IDEA GROUP Financial Services 214,267 $211K NEW
5912 TXMD THERAPEUTICSMD INC Healthcare 129,217 $211K NEW
5913 EFIV SPDR SERIES TRUST 3,178 $210K NEW
5914 PFUT PUTNAM ETF TRUST 8,305 $210K NEW
5915 BSY 0.375 07/01/27 BENTLEY SYS INC 222,000 $209K NEW
5916 BIO.B BIO RAD LABS INC Industrials 697 $208K NEW
5917 WRAP WRAP TECHNOLOGIES INC Technology 86,778 $207K NEW
5918 PLTY TIDAL TRUST II 4,001 $206K NEW
5919 NUKZ EXCHANGE TRADED CONCEPTS TRU 3,233 $205K NEW
5920 MCGA YORKVILLE ACQUISITION CORP. Financial Services 20,000 $205K NEW
5921 LVWR LIVEWIRE GROUP INC Consumer Cyclical 46,343 $205K NEW
5922 DERM JOURNEY MED CORP Healthcare 26,500 $204K NEW
5923 SIXA EXCHANGE TRADED CONCEPTS TRU 4,088 $204K NEW
5924 XEMD BONDBLOXX ETF TRUST 4,573 $204K NEW
5925 EFNL ISHARES TR 4,261 $204K NEW
5926 SDHC SMITH DOUGLAS HOMES CORP Real Estate 12,150 $204K NEW
5927 PSCM INVESCO EXCH TRADED FD TR II 2,422 $204K NEW
5928 QQQH NEOS ETF TRUST 3,748 $204K NEW
5929 CBK COMMERCIAL BANCGROUP INC Financial Services 8,286 $204K NEW
5930 OAKM HARRIS OAKMARK ETF TRUST 7,157 $203K NEW
5931 GBX 2.875 04/15/28 GREENBRIER COS INC 188,000 $202K NEW
5932 MDXH MDXHEALTH SA Healthcare 56,536 $202K NEW
5933 CONL GRANITESHARES ETF TR 13,729 $201K NEW
5934 VELO VELO3D INC Technology 14,607 $201K NEW
5935 QVCGA QVC GROUP INC Consumer Cyclical 19,135 $200K NEW
5936 WSO.B WATSCO INC Industrials 589 $200K NEW
5937 EURO TECH HOLDINGS CO LTD 166,347 $200K NEW
5938 VRA VERA BRADLEY INC Consumer Cyclical 82,195 $199K NEW
5939 LRGC AB ACTIVE ETFS INC 2,548 $198K NEW
5940 VTEC VANGUARD CALIF TAX FREE FDS 1,974 $198K NEW
5941 XZO EXZEO GROUP INC Financial Services 8,148 $198K NEW
5942 SLGL SOL GEL TECHNOLOGIES Healthcare 4,684 $197K NEW
5943 ATHE ALTERITY THERAPEUTICS LTD Healthcare 63,682 $196K NEW
5944 SFY TIDAL TRUST I 1,482 $196K NEW
5945 EMXF ISHARES TR 4,190 $195K NEW
5946 FTXH FIRST TR EXCHANGE TRADED FD 5,915 $195K NEW
5947 WTAI WISDOMTREE TR 6,677 $195K NEW
5948 JMSI J P MORGAN EXCHANGE TRADED F 3,836 $193K NEW
5949 WHF WHITEHORSE FIN INC Financial Services 27,619 $192K NEW
5950 RILY B. RILEY FINANCIAL INC Financial Services 41,053 $192K NEW
5951 INMB INMUNE BIO INC Healthcare 122,512 $191K NEW
5952 FINW FINWISE BANCORP Financial Services 10,653 $191K NEW
5953 CPSH CPS TECHNOLOGIES CORP Technology 60,600 $187K NEW
5954 ZSPC ZSPACE INC Technology 396,084 $187K NEW
5955 EPR 9 PERP E EPR PPTYS 6,221 $186K NEW
5956 INV INNVENTURE INC Financial Services 44,382 $186K NEW
5957 BTCO INVESCO GALAXY BITCOIN ETF Financial Services 2,128 $185K NEW
5958 NEN NEW ENGLAND RLTY ASSOC LTD P Real Estate 2,874 $185K NEW
5959 JMEE J P MORGAN EXCHANGE TRADED F 2,870 $185K NEW
5960 STRO SUTRO BIOPHARMA INC Healthcare 15,922 $184K NEW
5961 INO INOVIO PHARMACEUTICALS INC Healthcare 105,828 $184K NEW
5962 VRCA VERRICA PHARMACEUTICALS INC Healthcare 22,009 $183K NEW
5963 MIND MIND TECHNOLOGY INC Technology 20,800 $183K NEW
5964 REI RING ENERGY INC Energy 209,908 $183K NEW
5965 CRBP CORBUS PHARMACEUTICALS HLDGS Healthcare 22,381 $182K NEW
5966 HELO J P MORGAN EXCHANGE TRADED F 2,716 $180K NEW
5967 Q2 HLDGS INC 178,000 $180K NEW
5968 BBOT BRIDGEBIO ONCOLOGY THERAPEUT Healthcare 14,352 $180K NEW
5969 SCLX SCILEX HOLDING CO Healthcare 14,606 $178K NEW
5970 SGMO SANGAMO THERAPEUTICS INC Healthcare 423,752 $178K NEW
5971 TECB ISHARES TR 2,919 $178K NEW
5972 DFEB FIRST TR EXCHNG TRADED FD VI 3,721 $178K NEW
5973 PFFA ETFIS SER TR I 8,239 $178K NEW
5974 AIRJ AIRJOULE TECHNOLOGIES CORP Industrials 44,904 $177K NEW
5975 MGYR MAGYAR BANCORP INC Financial Services 10,217 $177K NEW
5976 ALNY ALNYLAM PHARMACEUTICALS INC Healthcare 120,000 $176K NEW
5977 XRSFX RIVERNORTH CAP AND INCM FD I 12,263 $176K NEW
5978 XMTR XOMETRY INC Industrials 140,000 $176K NEW
5979 PAWZ PROSHARES TR 3,217 $176K NEW
5980 XNOMX NUVEEN MISSOURI QLT MUN INC 14,751 $176K NEW
5981 IDMO INVESCO EXCH TRADED FD TR II 3,160 $176K NEW
5982 ENZL ISHARES TR 3,868 $175K NEW
5983 SEDG SOLAREDGE TECHNOLOGIES INC Energy 150,000 $174K NEW
5984 EVI EVI INDS INC Industrials 7,049 $174K NEW
5985 SPWR SUNPOWER INC Energy 110,271 $173K NEW
5986 ITRI ITRON INC Technology 171,000 $173K NEW
5987 CCLDO CARECLOUD INC Healthcare 59,053 $172K NEW
5988 ILOW AB ACTIVE ETFS INC 4,016 $171K NEW
5989 AVES AMERICAN CENTY ETF TR 2,932 $171K NEW
5990 PAMT PAMT CORP Industrials 14,096 $170K NEW
5991 REKR REKOR SYSTEMS INC Technology 123,350 $170K NEW
5992 AOUT AMERICAN OUTDOOR BRANDS INC Consumer Cyclical 21,953 $170K NEW
5993 LCR MANAGED PORTFOLIO SERIES 4,440 $169K NEW
5994 BITB BITWISE BITCOIN ETF TR Financial Services 3,551 $169K NEW
5995 STNC HENNESSY FDS TR 5,083 $168K NEW
5996 RNAC CARTESIAN THERAPEUTICS INC Healthcare 23,294 $168K NEW
5997 DTRE FIRST TR EXCHANGE-TRADED FD 4,233 $167K NEW
5998 FAUG FIRST TR EXCHNG TRADED FD VI 3,145 $167K NEW
5999 NTCL NETCLASS TECHNOLOGY INC Technology 481,264 $166K NEW
6000 QIPT QUIPT HOME MEDICAL CORP 47,047 $166K NEW
6001 ASYS AMTECH SYS INC Technology 13,211 $166K NEW
6002 SOHON SOTHERLY HOTELS INC Real Estate 76,949 $165K NEW
6003 CUREVAC N V 36,448 $165K NEW
6004 FDEM FIDELITY COVINGTON TRUST 5,331 $165K NEW
6005 CARL CARLSMED INC Healthcare 13,329 $165K NEW
6006 FFEB FIRST TR EXCHNG TRADED FD VI 2,901 $164K NEW
6007 IKT INHIBIKASE THERAPEUTICS INC Healthcare 79,682 $163K NEW
6008 HCM HUTCHMED CHINA LTD Healthcare 12,147 $162K NEW
6009 DIEM FRANKLIN TEMPLETON ETF TR 4,815 $162K NEW
6010 STIM NEURONETICS INC Healthcare 116,431 $161K NEW
6011 GENZ VANECK ETF TRUST 3,920 $160K NEW
6012 CHCI COMSTOCK HLDG COS INC Real Estate 13,775 $160K NEW
6013 PEB 6.375 PERP E PEBBLEBROOK HOTEL TR 8,381 $160K NEW
6014 UTES ETFIS SER TR I 2,011 $159K NEW
6015 GFR GREENFIRE RES LTD NEW Energy 33,139 $158K NEW
6016 IQDY FLEXSHARES TR 4,302 $158K NEW
6017 GAMR AMPLIFY ETF TR 1,739 $158K NEW
6018 LCTD BLACKROCK ETF TRUST 2,875 $157K NEW
6019 MAXSMAKING INC 12,051 $157K NEW
6020 XAIX DBX ETF TR 3,638 $156K NEW
6021 BEDY BNY MELLON ETF TRUST II 5,853 $156K NEW
6022 JIG J P MORGAN EXCHANGE TRADED F 2,119 $155K NEW
6023 IVES WEDBUSH SER TR 4,915 $155K NEW
6024 IBMT ISHARES TR 5,949 $154K NEW
6025 ROBN ETF OPPORTUNITIES TRUST 2,850 $154K NEW
6026 FLOW GLOBAL X FDS 4,280 $154K NEW
6027 ABFL ABACUS FCF ETF TR 2,159 $154K NEW
6028 DWUS ADVISORSHARES TR 2,840 $154K NEW
6029 NEWP NEW PAC METALS CORP Basic Materials 43,853 $154K NEW
6030 EPHE ISHARES TR 6,159 $154K NEW
6031 QUIK QUICKLOGIC CORP Technology 25,526 $153K NEW
6032 PDEX PRO-DEX INC COLO Healthcare 3,972 $153K NEW
6033 SPXL DIREXION SHS ETF TR 692 $153K NEW
6034 FIVA FIDELITY COVINGTON TRUST 4,444 $152K NEW
6035 PNBK PATRIOT NATL BANCORP INC Financial Services 83,585 $152K NEW
6036 TFLR T ROWE PRICE ETF INC 2,926 $150K NEW
6037 GJUL FIRST TR EXCHNG TRADED FD VI 3,639 $150K NEW
6038 VCRB VANGUARD MALVERN FDS 1,920 $150K NEW
6039 BJAN INNOVATOR ETFS TRUST 2,713 $149K NEW
6040 IONS IONIS PHARMACEUTICALS INC Healthcare 94,000 $149K NEW
6041 BATL BATTALION OIL CORP Energy 131,897 $149K NEW
6042 TNYA TENAYA THERAPEUTICS INC Healthcare 208,431 $148K NEW
6043 BEAT HEARTBEAM INC Healthcare 61,632 $148K NEW
6044 AIRS AIRSCULPT TECHNOLOGIES INC Healthcare 74,690 $148K NEW
6045 CPSS CONSUMER PORTFOLIO SVCS INC Financial Services 15,780 $147K NEW
6046 LARK LANDMARK BANCORP INC Financial Services 5,585 $146K NEW
6047 MJ AMPLIFY ETF TR 4,908 $146K NEW
6048 ANIX ANIXA BIOSCIENCES INC Healthcare 46,860 $146K NEW
6049 PHYL PGIM ETF TR 4,099 $145K NEW
6050 NDOW COLLABORATIVE INVESTMNT SER 5,239 $144K NEW
6051 GOLDEN MATRIX GROUP INC 179,992 $144K NEW
6052 CVGI COMMERCIAL VEH GROUP INC Consumer Cyclical 99,994 $144K NEW
6053 JBND J P MORGAN EXCHANGE TRADED F 2,663 $144K NEW
6054 TCI TRANSCONTINENTAL RLTY INVS Real Estate 2,455 $144K NEW
6055 ADAG ADAGENE INC Healthcare 75,645 $143K NEW
6056 EVMN EVOMMUNE INC Healthcare 8,346 $143K NEW
6057 BOCT INNOVATOR ETFS TRUST 2,887 $143K NEW
6058 CARZ FIRST TR EXCHANGE TRADED FD 1,828 $142K NEW
6059 CBNA CHAIN BRIDGE BANCORP INC Financial Services 4,104 $142K NEW
6060 CIK CREDIT SUISSE ASSET MGMT INC Financial Services 50,190 $142K NEW
6061 RJET REPUBLIC AWYS HLDGS INC Industrials 7,698 $141K NEW
6062 ENLV ENLIVEX THERAPEUTICS LTD Healthcare 200,627 $141K NEW
6063 ISCF ISHARES TR 3,399 $141K NEW
6064 MPRO NORTHERN LTS FD TR IV 4,583 $141K NEW
6065 FLNA CASSAVA SCIENCES INC Healthcare 70,439 $139K NEW
6066 GSJY GOLDMAN SACHS ETF TR 2,990 $139K NEW
6067 SSBI SUMMIT ST BK SANTA ROSA CALI Financial Services 11,970 $139K NEW
6068 UYLD ANGEL OAK FUNDS TRUST 2,715 $139K NEW
6069 USL UNITED STS 12 MONTH OIL FD L Financial Services 4,159 $139K NEW
6070 JSCP J P MORGAN EXCHANGE TRADED F 2,901 $138K NEW
6071 MBOT MICROBOT MED INC Healthcare 68,972 $138K NEW
6072 DMAY FIRST TR EXCHNG TRADED FD VI 3,043 $138K NEW
6073 NXGL NEXGEL INC Healthcare 85,404 $138K NEW
6074 SUPERCOM LTD NEW 15,181 $137K NEW
6075 CSPI CSP INC Technology 10,989 $137K NEW
6076 PHAR PHARMING GROUP NV Healthcare 7,700 $136K NEW
6077 BDL FLANIGANS ENTERPRISES INC Consumer Cyclical 4,761 $136K NEW
6078 JBBB JANUS DETROIT STR TR 2,842 $136K NEW
6079 TDOC TELADOC HEALTH INC Healthcare 142,000 $135K NEW
6080 SMBS SCHWAB STRATEGIC TR 5,245 $135K NEW
6081 TBN TAMBORAN RES CORP Basic Materials 4,898 $133K NEW
6082 HURA TUHURA BIOSCIENCES INC Healthcare 176,197 $133K NEW
6083 TSLY TIDAL TRUST II 3,538 $133K NEW
6084 JFLX J P MORGAN EXCHANGE TRADED F 2,644 $133K NEW
6085 TLX TELIX PHARMACEUTICAL LTD Healthcare 17,653 $132K NEW
6086 SLND SOUTHLAND HLDGS INC Industrials 39,731 $132K NEW
6087 FLCA FRANKLIN TEMPLETON ETF TR 2,718 $131K NEW
6088 LAWR ROBOT CONSULTING CO LTD Technology 35,000 $131K NEW
6089 SCLZ NORTHERN LTS FD TR III 2,395 $131K NEW
6090 UBCP UNITED BANCORP INC OHIO Financial Services 9,080 $130K NEW
6091 YSEP FIRST TR EXCHNG TRADED FD VI 5,000 $130K NEW
6092 SGA SAGA COMMUNICATIONS INC Communication Services 11,360 $130K NEW
6093 NXXT NEXTNRG INC Utilities 89,305 $129K NEW
6094 HYGH ISHARES U S ETF TR 1,502 $129K NEW
6095 NMG NOUVEAU MONDE GRAPHITE INC Basic Materials 52,001 $129K NEW
6096 NABORS INDS INC 160,000 $129K NEW
6097 IH IHUMAN INC Consumer Defensive 61,200 $129K NEW
6098 PSTP INNOVATOR ETFS TRUST 3,625 $128K NEW
6099 KHPI MANAGED PORTFOLIO SERIES 4,987 $128K NEW
6100 AVSE AMERICAN CENTY ETF TR 1,969 $128K NEW
6101 CHAT TIDAL TRUST II 2,155 $127K NEW
6102 FDG AMERICAN CENTY ETF TR 998 $127K NEW
6103 TCHP T ROWE PRICE ETF INC 2,537 $127K NEW
6104 CALI BLACKROCK ETF TRUST II 2,500 $126K NEW
6105 CGTX COGNITION THERAPEUTICS INC Healthcare 93,328 $126K NEW
6106 RCG RENN FD INC Financial Services 49,000 $126K NEW
6107 HNVR HANOVER BANCORP INC Financial Services 5,435 $126K NEW
6108 XCOR FUNDX INVT TR 1,563 $126K NEW
6109 CIX COMPX INTL INC Industrials 5,393 $126K NEW
6110 FTCI FTC SOLAR INC Energy 11,471 $125K NEW
6111 BTCS BTCS INC Financial Services 47,137 $124K NEW
6112 BMNU ETF OPPORTUNITIES TRUST 26,000 $124K NEW
6113 PMVP PMV PHARMACEUTICALS INC Healthcare 98,875 $124K NEW
6114 BITO PROSHARES TR 10,113 $123K NEW
6115 WESHOP HOLDINGS LTD 1,266 $120K NEW
6116 VFVA VANGUARD WELLINGTON FD 904 $120K NEW
6117 CLNN CLENE INC Healthcare 20,429 $120K NEW
6118 WGO 3.25 01/15/30 WINNEBAGO INDS INC 127,000 $119K NEW
6119 TBLU TORTOISE CAPITAL SERIES TRUS 2,335 $119K NEW
6120 RISR TIDAL TRUST I 3,263 $118K NEW
6121 GBLI GLOBAL INDEMNITY GROUP LLC Financial Services 4,148 $118K NEW
6122 GEG GREAT ELM GROUP INC Healthcare 46,124 $118K NEW
6123 GPIQ GOLDMAN SACHS ETF TR 2,223 $118K NEW
6124 ITEQ AMPLIFY ETF TR 2,013 $117K NEW
6125 JSML JANUS DETROIT STR TR 1,584 $117K NEW
6126 SUPERX AI TECHNOLOGY LTD 7,411 $116K NEW
6127 ARTV ARTIVA BIOTHERAPEUTICS INC Healthcare 27,072 $116K NEW
6128 ELTX ELICIO THERAPEUTICS INC Healthcare 14,553 $116K NEW
6129 HAIL SPDR SERIES TRUST 3,478 $116K NEW
6130 NOVABAY PHARMACEUTICALS INC 20,529 $116K NEW
6131 VLT INVESCO HIGH INCOME TR II Financial Services 10,303 $115K NEW
6132 GAUG FIRST TR EXCHNG TRADED FD VI 2,930 $115K NEW
6133 JNUG DIREXION SHS ETF TR 555 $115K NEW
6134 QVMT INVESCO EXCH TRADED FD TR II 2,001 $114K NEW
6135 SDVD FIRST TR EXCH TRADED FD III 5,324 $114K NEW
6136 CDLR CADELER A S Industrials 6,131 $114K NEW
6137 EMM GLOBAL X FDS 3,303 $113K NEW
6138 ACRV ACRIVON THERAPEUTICS INC Healthcare 46,831 $113K NEW
6139 MOB MOBILICOM LTD Technology 18,468 $113K NEW
6140 SND SMART SAND INC Energy 27,980 $112K NEW
6141 LUCD LUCID DIAGNOSTICS INC Healthcare 102,598 $112K NEW
6142 LXP LXP INDUSTRIAL TRUST Real Estate 2,371 $112K NEW
6143 PTEU PACER FDS TR 3,629 $112K NEW
6144 VHI VALHI INC NEW Basic Materials 9,241 $111K NEW
6145 LIBERTY MEDIA CORP DEL 1,851,000 $111K NEW
6146 JYONG BIOTECH LTD 28,113 $111K NEW
6147 IDEF BLACKROCK ETF TRUST 3,603 $111K NEW
6148 AMUB UBS AG LONDON BRANCH Financial Services 5,864 $111K NEW
6149 SECT NORTHERN LTS FD TR IV 1,703 $110K NEW
6150 SAFX XCF GLOBAL INC Energy 402,448 $110K NEW
6151 TMFS RBB FD INC 3,150 $110K NEW
6152 IONS IONIS PHARMACEUTICALS INC Healthcare 80,000 $110K NEW
6153 WINN HARBOR ETF TRUST 3,507 $109K NEW
6154 HCMT DIREXION SHS ETF TR 2,828 $109K NEW
6155 GJAN FIRST TR EXCHNG TRADED FD VI 2,547 $109K NEW
6156 JULONG HOLDING LTD 26,997 $109K NEW
6157 DALI FIRST TR EXCHANGE TRADED FD 3,774 $109K NEW
6158 KOID KRANESHARES TRUST 3,390 $108K NEW
6159 AIVC AMPLIFY ETF TR 1,586 $108K NEW
6160 FICS FIRST TR EXCHANGE TRADED FD 2,676 $107K NEW
6161 FAPR FIRST TR EXCHNG TRADED FD VI 2,411 $107K NEW
6162 CVR CHICAGO RIVET & MACH CO Industrials 7,690 $107K NEW
6163 EP EMPIRE PETE CORP Energy 35,163 $107K NEW
6164 BRLT BRILLIANT EARTH GROUP INC Consumer Cyclical 61,063 $107K NEW
6165 LEGR FIRST TR EXCHANGE-TRADED FD 1,795 $107K NEW
6166 SDCI USCF ETF TR 4,836 $107K NEW
6167 XVV ISHARES TR 2,006 $106K NEW
6168 EQTY VALUED ADVISERS TR 3,904 $105K NEW
6169 CANG CANGO INC Consumer Cyclical 69,920 $105K NEW
6170 CANTOR EQUITY PARTNERS I INC 10,058 $105K NEW
6171 AUBN AUBURN NATL BANCORP Financial Services 3,876 $104K NEW
6172 PSCU INVESCO EXCH TRADED FD TR II 1,816 $104K NEW
6173 SUIG SUI GROUP HOLDINGS LIMITED Financial Services 62,528 $104K NEW
6174 FLYX FLYEXCLUSIVE INC Industrials 25,320 $104K NEW
6175 RBKB RHINEBECK BANCORP INC Financial Services 8,640 $104K NEW
6176 NP NEPTUNE INS HLDGS INC Technology 3,557 $104K NEW
6177 AWAY AMPLIFY ETF TR 5,006 $104K NEW
6178 GVA 3.25 06/15/30 GRANITE CONSTR INC 65,000 $104K NEW
6179 APIE TRUST FOR PROFESSIONAL MANAG 2,914 $103K NEW
6180 OXSQ OXFORD SQUARE CAP CORP Financial Services 58,780 $103K NEW
6181 CEFS EXCHANGE LISTED FDS TR 4,487 $103K NEW
6182 MAMB NORTHERN LTS FD TR IV 4,317 $103K NEW
6183 DFDV DEFI DEVELOPMENT CORP Technology 20,416 $103K NEW
6184 ECX ECARX HOLDINGS INC Consumer Cyclical 59,854 $103K NEW
6185 NA NANO LABS LTD Technology 32,659 $103K NEW
6186 PYXS PYXIS ONCOLOGY INC Healthcare 89,222 $103K NEW
6187 BJUL INNOVATOR ETFS TRUST 2,021 $103K NEW
6188 UJAN INNOVATOR ETFS TRUST 2,371 $103K NEW
6189 GDMA EA SERIES TRUST 2,660 $103K NEW
6190 TDI TOUCHSTONE ETF TRUST 2,644 $102K NEW
6191 SKLZ SKILLZ INC Technology 23,700 $102K NEW
6192 EMTL SSGA ACTIVE TR 2,355 $102K NEW
6193 PCM PCM FD INC Financial Services 16,614 $102K NEW
6194 NYM AB ACTIVE ETFS INC 4,075 $102K NEW
6195 SMTC 1.625 11/01/27 SEMTECH CORP 50,000 $102K NEW
6196 PENG PENGUIN SOLUTIONS INC Technology 100,000 $102K NEW
6197 TVAL T ROWE PRICE ETF INC 2,877 $101K NEW
6198 CV CAPSOVISION INC Healthcare 9,463 $101K NEW
6199 GMOM CAMBRIA ETF TR 3,001 $101K NEW
6200 LCTU BLACKROCK ETF TRUST 1,355 $100K NEW
6201 PWRD TCW ETF TRUST 1,042 $100K NEW
6202 HTRB HARTFORD FDS EXCHANGE TRADED 2,928 $100K NEW
6203 SANG SANGOMA TECHNOLOGIES CORP Technology 19,700 $100K NEW
6204 CVE CENOVUS ENERGY INC Energy 8,062 $99K NEW
6205 BEEP MOBILE INFRASTRUCTURE CORP Real Estate 38,886 $99K NEW
6206 WLTH WEALTHFRONT CORP Technology 7,284 $99K NEW
6207 IZEA IZEA WORLDWIDE INC Communication Services 22,553 $99K NEW
6208 DDLS WISDOMTREE TR 2,298 $99K NEW
6209 AIFC ALT5 SIGMA CORP 89,549 $99K NEW
6210 BAND BANDWIDTH INC Technology 100,000 $98K NEW
6211 OPAD OFFERPAD SOLUTIONS INC Real Estate 81,197 $98K NEW
6212 IQSU NEW YORK LIFE INVESTMENTS ET 1,783 $98K NEW
6213 EMBD GLOBAL X FDS 4,060 $97K NEW
6214 DJD INVESCO EXCHANGE TRADED FD T 1,704 $97K NEW
6215 SEIE SEI EXCHANGE TRADED FUNDS 2,986 $97K NEW
6216 CIG/C CIA ENERGETICA DE MINAS GERA 37,292 $97K NEW
6217 AEIS 2.5 09/15/28 ADVANCED ENERGY INDS 59,000 $97K NEW
6218 KNO INVESTMENT MANAGERS SER TR I 1,886 $97K NEW
6219 MGX METAGENOMI INC Healthcare 59,682 $97K NEW
6220 MID AMERICAN CENTY ETF TR 1,482 $97K NEW
6221 OMEX ODYSSEY MARINE EXPL INC Industrials 49,214 $96K NEW
6222 REVS COLUMBIA ETF TR I 3,400 $96K NEW
6223 SRFM SURF AIR MOBILITY INC Industrials 49,437 $96K NEW
6224 FTQI FIRST TR EXCHANGE TRADED FD 4,559 $95K NEW
6225 XDEC FIRST TR EXCHNG TRADED FD VI 2,316 $95K NEW
6226 ALXO ALX ONCOLOGY HLDGS INC Healthcare 83,757 $95K NEW
6227 DRTS ALPHA TAU MEDICAL LTD Healthcare 19,113 $95K NEW
6228 LITS LITE STRATEGY INC Healthcare 71,458 $94K NEW
6229 NEGG NEWEGG COMMERCE INC Consumer Cyclical 1,854 $94K NEW
6230 REVIVA PHARMACEUTCLS HLDGS I 337,315 $94K NEW
6231 SENEB SENECA FOODS CORP NEW Consumer Defensive 863 $94K NEW
6232 AUST AUSTIN GOLD CORP Basic Materials 63,400 $94K NEW
6233 BCFN BARON ETF TR 3,749 $93K NEW
6234 JIVE J P MORGAN EXCHANGE TRADED F 1,162 $93K NEW
6235 MCHP 7.5 03/15/28 MICROCHIP TECHNOLOGY INC. 1,600 $93K NEW
6236 BETZ LISTED FDS TR 4,442 $93K NEW
6237 YLDE LEGG MASON ETF INVT 1,712 $93K NEW
6238 FLV AMERICAN CENTY ETF TR 1,223 $93K NEW
6239 STEX STREAMEX CORP Financial Services 30,484 $92K NEW
6240 ACLC AMERICAN CENTY ETF TR 1,173 $92K NEW
6241 KURE KRANESHARES TRUST 5,362 $91K NEW
6242 RPID RAPID MICRO BIOSYSTEMS INC Healthcare 31,389 $91K NEW
6243 PJAN INNOVATOR ETFS TRUST 1,932 $91K NEW
6244 MINN TRUST FOR PROFESSIONAL MANAG 4,001 $90K NEW
6245 FENG PHOENIX NEW MEDIA LTD Communication Services 54,002 $90K NEW
6246 WEAT TEUCRIUM COMMODITY TR Financial Services 4,515 $90K NEW
6247 NTIC NORTHERN TECHNOLOGIES INTL C Basic Materials 11,452 $90K NEW
6248 DFCF DIMENSIONAL ETF TRUST 2,105 $90K NEW
6249 DDI DOUBLEDOWN INTERACTIVE CO LT Technology 10,372 $90K NEW
6250 JCPI J P MORGAN EXCHANGE TRADED F 1,838 $89K NEW
6251 SCHMID GROUP N.V. 14,275 $88K NEW
6252 XJH ISHARES TR 1,972 $88K NEW
6253 GRCE GRACE THERAPEUTICS INC Healthcare 25,448 $88K NEW
6254 NEPH NEPHROS INC Healthcare 17,959 $88K NEW
6255 KMDA KAMADA LTD Healthcare 12,411 $88K NEW
6256 WAVE ECO WAVE POWER GLOBAL AB Utilities 14,970 $87K NEW
6257 VUSE ETF SER SOLUTIONS 1,323 $87K NEW
6258 OVL LISTED FDS TR 1,635 $87K NEW
6259 TWN TAIWAN FD INC Financial Services 1,625 $87K NEW
6260 TUG LISTED FDS TR 2,170 $86K NEW
6261 EFAX SPDR INDEX SHS FDS 1,704 $86K NEW
6262 QMOM EA SERIES TRUST 1,313 $86K NEW
6263 QMMM HOLDINGS LTD 711 $85K NEW
6264 BAPR INNOVATOR ETFS TRUST 1,763 $85K NEW
6265 BNAI BRAND ENGAGEMENT NETWORK INC Technology 36,459 $85K NEW
6266 APYX APYX MEDICAL CORPORATION Healthcare 24,069 $84K NEW
6267 WWJD NORTHERN LTS FD TR IV 2,284 $83K NEW
6268 DFSU DIMENSIONAL ETF TRUST 1,916 $83K NEW
6269 BKCH GLOBAL X FDS 1,301 $83K NEW
6270 TEVOGEN BIO HLDGS INC 250,258 $83K NEW
6271 MUSQ EXCHANGE TRADED CONCEPTS TRU 2,937 $83K NEW
6272 WGMI VALKYRIE ETF TRUST II 2,126 $81K NEW
6273 NBCR NEUBERGER BERMAN ETF TRUST 2,578 $81K NEW
6274 IPHA INNATE PHARMA S A Healthcare 46,394 $81K NEW
6275 DRLL EA SERIES TRUST 2,834 $81K NEW
6276 FDEC FIRST TR EXCHNG TRADED FD VI 1,579 $81K NEW
6277 HDL SUPER HI INTL HLDG LTD Consumer Cyclical 5,016 $81K NEW
6278 TORO TORO CORP Industrials 15,207 $80K NEW
6279 ACTU ACTUATE THERAPEUTICS INC Healthcare 13,119 $80K NEW
6280 DIT AMCON DISTRG CO Consumer Defensive 763 $80K NEW
6281 IPO RENAISSANCE CAP GREENWICH FD 1,754 $80K NEW
6282 NBJP NEUBERGER BERMAN ETF TRUST 2,581 $80K NEW
6283 ACGR AMERICAN CENTY ETF TR 1,200 $79K NEW
6284 ADUR ADURO CLEAN TECHNOLOGIES INC Basic Materials 7,523 $78K NEW
6285 AMTX AEMETIS INC Energy 55,925 $78K NEW
6286 TLSA TIZIANA LIFE SCIENCES LTD Healthcare 52,156 $78K NEW
6287 PTRB PGIM ETF TR 1,835 $77K NEW
6288 CNTY CENTURY CASINOS INC Consumer Cyclical 57,955 $77K NEW
6289 DWAW ADVISORSHARES TR 1,733 $77K NEW
6290 NEOV NEOVOLTA INC Industrials 25,154 $76K NEW
6291 BBBY BED BATH & BEYOND INC Consumer Cyclical 115,697 $76K NEW
6292 USIO USIO INC Technology 56,135 $76K NEW
6293 FFLC FIDELITY COVINGTON TRUST 1,414 $75K NEW
6294 NAUT NAUTILUS BIOTECHNOLOGY INC Healthcare 38,584 $75K NEW
6295 TZA DIREXION SHS ETF TR 10,002 $75K NEW
6296 RNG RINGCENTRAL INC Technology 76,000 $75K NEW
6297 DIVI FRANKLIN TEMPLETON ETF TR 1,929 $75K NEW
6298 HYFI AB ACTIVE ETFS INC 1,992 $75K NEW
6299 BOTJ BANK OF THE JAMES FINL GP IN Financial Services 4,025 $75K NEW
6300 HUHUTECH INTL GROUP INC 7,720 $75K NEW
6301 FIDI FIDELITY COVINGTON TRUST 2,882 $75K NEW
6302 MOTO GUINNESS ATKINSON FDS 1,401 $75K NEW
6303 NSPR INSPIREMD INC Healthcare 41,833 $74K NEW
6304 CTSO CYTOSORBENTS CORP Healthcare 116,480 $74K NEW
6305 IMA IMAGENEBIO INC Healthcare 10,771 $74K NEW
6306 KIM 7.25 PERP N KIMCO RLTY CORP 1,267 $74K NEW
6307 PURR HYPERLIQUID STRATEGIES INC Basic Materials 20,842 $74K NEW
6308 PMAY INNOVATOR ETFS TRUST 1,852 $73K NEW
6309 DFVX DIMENSIONAL ETF TRUST 985 $73K NEW
6310 QINT AMERICAN CENTY ETF TR 1,132 $73K NEW
6311 FEPI ETF OPPORTUNITIES TRUST 1,592 $73K NEW
6312 CNXT VANECK ETF TRUST 1,656 $72K NEW
6313 FPA FIRST TR EXCH TRD ALPHDX FD 1,938 $72K NEW
6314 OKUR ONKURE THERAPEUTICS INC Healthcare 24,962 $72K NEW
6315 FTLF FITLIFE BRANDS INC Consumer Defensive 4,378 $71K NEW
6316 EDRY EURODRY LTD Industrials 5,539 $71K NEW
6317 LGH NORTHERN LTS FD TR III 1,145 $71K NEW
6318 HYTR NORTHERN LTS FD TR III 3,260 $71K NEW
6319 ACIO ETF SER SOLUTIONS 1,619 $71K NEW
6320 FID FIRST TR EXCHANGE TRADED FD 3,441 $71K NEW
6321 VGSR MANAGER DIRECTED PORTFOLIOS 6,789 $71K NEW
6322 CAPITAL CLEAN ENERGY CARRIER 3,370 $70K NEW
6323 VFQY VANGUARD WELLINGTON FD 457 $70K NEW
6324 CLIP GLOBAL X FDS 699 $70K NEW
6325 NAK NORTHERN DYNASTY MINERALS LT Basic Materials 35,483 $70K NEW
6326 BIVI BIOVIE INC Healthcare 60,222 $70K NEW
6327 BATT AMPLIFY ETF TR 5,036 $70K NEW
6328 DLTH DULUTH HLDGS INC Consumer Cyclical 33,382 $69K NEW
6329 HDUS LATTICE STRATEGIES TR 1,063 $69K NEW
6330 UEIC UNIVERSAL ELECTRS INC Technology 19,160 $69K NEW
6331 SPUS TIDAL TRUST I 1,349 $69K NEW
6332 HAUZ DBX ETF TR 2,959 $69K NEW
6333 MBND SSGA ACTIVE TR 2,501 $68K NEW
6334 GNTA GENENTA SCIENCE S P A Healthcare 45,900 $68K NEW
6335 PDEC INNOVATOR ETFS TRUST 1,575 $68K NEW
6336 VFMV VANGUARD WELLINGTON FD 524 $68K NEW
6337 VFS VINFAST AUTO LTD Consumer Cyclical 20,342 $68K NEW
6338 NTHI NEONC TECHNOLOGIES HLDGS INC Healthcare 8,204 $68K NEW
6339 NEWZ EA SERIES TRUST 2,493 $68K NEW
6340 MBCC NORTHERN LTS FD TR IV 1,831 $68K NEW
6341 BMAY INNOVATOR ETFS TRUST 1,500 $67K NEW
6342 BAIN CAP GSS INVT CORP 102,651 $67K NEW
6343 SBC SBC MED GROUP HLDGS INC Industrials 15,506 $67K NEW
6344 QBIG INVESCO ACTIVELY MANAGED EXC 1,736 $67K NEW
6345 MKOR MATTHEWS ASIA FDS 1,936 $67K NEW
6346 QAT ISHARES TR 3,538 $67K NEW
6347 MKTW MARKETWISE INC Technology 4,420 $66K NEW
6348 CVEO CIVEO CORP CDA Industrials 2,890 $66K NEW
6349 STTK SHATTUCK LABS INC Healthcare 18,108 $66K NEW
6350 SCYB SCHWAB STRATEGIC TR 2,494 $66K NEW
6351 LOAN MANHATTAN BRDG CAP INC Real Estate 14,130 $66K NEW
6352 APRE APREA THERAPEUTICS INC Healthcare 77,030 $66K NEW
6353 TOPS TOP SHIPS INC Industrials 14,500 $65K NEW
6354 EPRF INNOVATOR ETFS TRUST 3,711 $65K NEW
6355 KPTI KARYOPHARM THERAPEUTICS INC Healthcare 8,858 $65K NEW
6356 SFLR INNOVATOR ETFS TRUST 1,768 $65K NEW
6357 UFEB INNOVATOR ETFS TRUST 1,766 $65K NEW
6358 SEIS SEI EXCHANGE TRADED FUNDS 2,323 $65K NEW
6359 DCOR DIMENSIONAL ETF TRUST 881 $65K NEW
6360 IBTQ ISHARES TR 2,530 $64K NEW
6361 FLMB FRANKLIN TEMPLETON ETF TR 2,702 $64K NEW
6362 UPRO PROSHARES TR 545 $63K NEW
6363 DBE INVESCO DB MULTI-SECTOR COMM Financial Services 3,601 $63K NEW
6364 IVVB BLACKROCK ETF TRUST II 1,901 $63K NEW
6365 HLAL LISTED FDS TR 1,010 $63K NEW
6366 GF NEW GERMANY FD INC Financial Services 5,483 $63K NEW
6367 PFFR ETFIS SER TR I 3,462 $62K NEW
6368 DTI DRILLING TOOLS INTL CORP Energy 25,180 $62K NEW
6369 FDIG FIDELITY COVINGTON TRUST 1,591 $61K NEW
6370 HERO GLOBAL X FDS 2,058 $61K NEW
6371 OCS OCULIS HOLDING AG Healthcare 3,050 $61K NEW
6372 SDOW PROSHARES TR 1,902 $61K NEW
6373 FOXX FOXX DEV HLDGS INC Industrials 13,099 $61K NEW
6374 CAMP CAMP4 THERAPEUTICS CORP Healthcare 9,914 $61K NEW
6375 BAK BRASKEM S A Basic Materials 20,471 $60K NEW
6376 AIEQ AMPLIFY ETF TR 1,336 $60K NEW
6377 OVID OVID THERAPEUTICS INC Healthcare 36,952 $60K NEW
6378 SIEB SIEBERT FINL CORP Financial Services 17,133 $60K NEW
6379 WYHG WING YIP FOOD CHINA HLDGS GR Consumer Defensive 109,197 $60K NEW
6380 VCEB VANGUARD WORLD FD 938 $60K NEW
6381 UP WHEELS UP EXPERIENCE INC Industrials 90,709 $60K NEW
6382 PAUG INNOVATOR ETFS TRUST 1,375 $59K NEW
6383 MSTR STRATEGY INC Technology 51,000 $59K NEW
6384 SVA SINOVAC BIOTECH LTD Healthcare 9,144 $59K NEW
6385 QMAR FIRST TR EXCHNG TRADED FD VI 1,767 $58K NEW
6386 BHM BLUEROCK HOMES TRUST INC Real Estate 5,461 $58K NEW
6387 MLPB UBS AG LONDON BRANCH Financial Services 2,300 $58K NEW
6388 XJUN FIRST TR EXCHNG TRADED FD VI 1,353 $58K NEW
6389 BUSA 2023 ETF SERIES TRUST 1,588 $58K NEW
6390 IRD OPUS GENETICS INC Healthcare 28,665 $58K NEW
6391 NANC TIDAL TRUST I 1,259 $57K NEW
6392 CSTE CAESARSTONE LTD Industrials 30,566 $57K NEW
6393 JUCY ETF SER SOLUTIONS 2,548 $57K NEW
6394 QBER ELEVATION SERIES TRUST 2,359 $57K NEW
6395 BILT BLACKROCK ETF TRUST 2,184 $56K NEW
6396 SLSN SOLESENCE INC Consumer Defensive 35,288 $56K NEW
6397 DFIP DIMENSIONAL ETF TRUST 1,342 $56K NEW
6398 EXOD EXODUS MOVEMENT INC Technology 3,762 $56K NEW
6399 TIDAL TRUST II 14,439 $56K NEW
6400 DEFT DEFI TECHNOLOGIES INC Financial Services 73,578 $56K NEW
6401 RMIF ETF SER SOLUTIONS 2,237 $55K NEW
6402 EQ EQUILLIUM INC Healthcare 35,734 $55K NEW
6403 MGIC MAGIC SOFTWARE ENTERPRISES L 2,140 $55K NEW
6404 MCHX MARCHEX INC Communication Services 33,136 $55K NEW
6405 AVRE AMERICAN CENTY ETF TR 1,258 $55K NEW
6406 MSSS NORTHERN LTS FD TR IV 1,805 $55K NEW
6407 NFTY FIRST TR EXCH TRD ALPHDX FD 933 $54K NEW
6408 CPSO CALAMOS ETF TR 2,000 $54K NEW
6409 OMCL OMNICELL COM Healthcare 50,000 $54K NEW
6410 FCO ABRDN GLOBAL INCOME FUND INC Financial Services 18,416 $54K NEW
6411 PMBS PIMCO ETF TR 1,083 $54K NEW
6412 CPSN CALAMOS ETF TR 2,000 $54K NEW
6413 IBIO IBIO INC Healthcare 27,595 $53K NEW
6414 GSIB THEMES ETF TR 1,000 $53K NEW
6415 AVSF AMERICAN CENTY ETF TR 1,113 $52K NEW
6416 KYNB FIBROGEN INC Healthcare 5,924 $52K NEW
6417 UMAR INNOVATOR ETFS TRUST 1,298 $52K NEW
6418 LOT LOTUS TECHNOLOGY INC Consumer Cyclical 36,732 $52K NEW
6419 AMPG AMPLITECH GROUP INC Technology 17,266 $52K NEW
6420 GRNB VANECK ETF TRUST 2,116 $52K NEW
6421 DFAW DIMENSIONAL ETF TRUST 695 $51K NEW
6422 USGO US GOLDMINING INC Basic Materials 5,822 $51K NEW
6423 PEW GRABAGUN DIGITAL HLDGS INC Industrials 17,054 $51K NEW
6424 CSHI NEOS ETF TRUST 1,032 $51K NEW
6425 ORR EA SERIES TRUST 1,500 $51K NEW
6426 GNOV FIRST TR EXCHNG TRADED FD VI 1,286 $51K NEW
6427 SIF SIFCO INDS INC Industrials 9,150 $51K NEW
6428 DEEF DBX ETF TR 1,413 $51K NEW
6429 WTRE WISDOMTREE TR 2,378 $51K NEW
6430 QID PROSHARES TR 2,501 $51K NEW
6431 SEIQ SEI EXCHANGE TRADED FUNDS 1,298 $51K NEW
6432 LOOP LOOP INDS INC Basic Materials 50,511 $51K NEW
6433 NTSI WISDOMTREE TR 1,145 $50K NEW
6434 EQS EQUUS TOTAL RETURN INC Financial Services 35,666 $50K NEW
6435 FSMD FIDELITY COVINGTON TRUST 1,143 $50K NEW
6436 PASG PASSAGE BIO INC Healthcare 4,275 $50K NEW
6437 SEIV SEI EXCHANGE TRADED FUNDS 1,213 $50K NEW
6438 ORMP ORAMED PHARMACEUTICALS INC Healthcare 17,634 $50K NEW
6439 PTIN PACER FDS TR 1,597 $50K NEW
6440 PROSHARES TR 12,400 $50K NEW
6441 HCM III ACQUISITION CORP 100,000 $50K NEW
6442 TOON KARTOON STUDIOS INC. Communication Services 69,064 $50K NEW
6443 PAPR INNOVATOR ETFS TRUST 1,264 $49K NEW
6444 EVENTBRITE INC 50,000 $49K NEW
6445 DIG PROSHARES TR 1,353 $49K NEW
6446 TJUL INNOVATOR ETFS TRUST 1,642 $49K NEW
6447 CAML PROFESIONALLY MANAGED PORTFO 1,272 $49K NEW
6448 DSEP FIRST TR EXCHNG TRADED FD VI 1,080 $48K NEW
6449 DURA VANECK ETF TRUST 1,431 $48K NEW
6450 VPC ETFIS SER TR I 2,708 $48K NEW
6451 IROQ IF BANCORP INC 1,774 $48K NEW
6452 DXR DAXOR CORP Healthcare 3,237 $48K NEW
6453 RAVE RAVE RESTAURANT GROUP INC Consumer Cyclical 14,397 $48K NEW
6454 DMA DESTRA MULTI-ALTERNATIVE FD Financial Services 5,296 $48K NEW
6455 UFO PROCURE ETF TRUST II 1,228 $47K NEW
6456 LCUT LIFETIME BRANDS INC Consumer Cyclical 11,997 $47K NEW
6457 AOTG EA SERIES TRUST 846 $47K NEW
6458 WYY WIDEPOINT CORP Technology 8,755 $47K NEW
6459 WOMN TIDAL TRUST III 1,132 $47K NEW
6460 AQLT ISHARES TR 1,665 $47K NEW
6461 FFSM FIDELITY COVINGTON TRUST 1,523 $47K NEW
6462 FNOV FIRST TR EXCHNG TRADED FD VI 852 $47K NEW
6463 ASHS DBX ETF TR 1,201 $47K NEW
6464 RAA ETF OPPORTUNITIES TRUST 1,687 $46K NEW
6465 FIAX TIDAL TRUST II 2,576 $46K NEW
6466 BGIG ETF SER SOLUTIONS 1,426 $46K NEW
6467 CEW WISDOMTREE TR 2,425 $46K NEW
6468 HERZ HERZFELD CREDIT INCOME FUND Financial Services 20,638 $46K NEW
6469 DAX GLOBAL X FDS 1,001 $46K NEW
6470 FCEF FIRST TR EXCHNG TRADED FD VI 1,968 $45K NEW
6471 AMBR AMBER INTL HLDG LTD Real Estate 26,080 $45K NEW
6472 GOCO GOHEALTH INC Financial Services 20,864 $45K NEW
6473 AXR AMREP CORP Real Estate 2,379 $45K NEW
6474 BIBL NORTHERN LTS FD TR IV 991 $45K NEW
6475 AMZA ETFIS SER TR I 1,130 $45K NEW
6476 NERV MINERVA NEUROSCIENCES INC Healthcare 11,055 $44K NEW
6477 TMFM RBB FD INC 1,894 $44K NEW
6478 FMST FOREMOST CLEAN ENERGY LTD Basic Materials 20,893 $44K NEW
6479 IMRN IMMURON LTD Healthcare 57,381 $44K NEW
6480 GK ADVISORSHARES TR 1,700 $44K NEW
6481 CHURCHILL CAP CORP X 5,625 $43K NEW
6482 QNRX QUOIN PHARMACEUTICALS LTD Healthcare 3,000 $43K NEW
6483 FLD FOLD HLDGS INC Financial Services 16,513 $43K NEW
6484 GEMD GOLDMAN SACHS ETF TR 1,011 $43K NEW
6485 UDEC INNOVATOR ETFS TRUST 1,076 $43K NEW
6486 SIFY SIFY TECHNOLOGIES LTD Communication Services 3,490 $43K NEW
6487 PETS PETMED EXPRESS INC Healthcare 13,289 $43K NEW
6488 COPJ SPROTT FDS TR 1,082 $43K NEW
6489 TOVX THERIVA BIOLOGICS INC Healthcare 200,000 $42K NEW
6490 WSBK WINCHESTER BANCORP INC Financial Services 4,000 $42K NEW
6491 SOTK SONO TEK CORP Technology 10,120 $42K NEW
6492 ECOW PACER FDS TR 1,705 $42K NEW
6493 DVYA ISHARES INC 919 $41K NEW
6494 QWLD SPDR INDEX SHS FDS 284 $41K NEW
6495 RDZN ROADZEN INC Technology 16,686 $40K NEW
6496 AVAL GRUPO AVAL ACCIONES Y VALORE Financial Services 9,808 $40K NEW
6497 ARL AMERICAN RLTY INVS INC Real Estate 2,461 $40K NEW
6498 PHDG INVESCO ACTIVELY MANAGED EXC 1,055 $40K NEW
6499 PPSI PIONEER PWR SOLUTIONS INC Industrials 8,349 $39K NEW
6500 TTRX TURN THERAPEUTICS INC Healthcare 10,000 $39K NEW
6501 BYLD ISHARES TR 1,724 $39K NEW
6502 FLGV FRANKLIN TEMPLETON ETF TR 1,908 $39K NEW
6503 VTVT VTV THERAPEUTICS INC Healthcare 977 $39K NEW
6504 ISMD NORTHERN LTS FD TR IV 1,011 $39K NEW
6505 APT ALPHA PRO TECH LTD Industrials 8,766 $39K NEW
6506 QQH NORTHERN LTS FD TR III 502 $39K NEW
6507 RANI RANI THERAPEUTICS HLDGS INC Healthcare 28,677 $39K NEW
6508 CBUS CIBUS INC Healthcare 22,123 $38K NEW
6509 TRFK PACER FDS TR 600 $38K NEW
6510 FDTX FIDELITY COVINGTON TRUST 943 $38K NEW
6511 XYZ BLOCK INC Technology 39,000 $38K NEW
6512 OPXS OPTEX SYS HLDGS INC Industrials 2,692 $38K NEW
6513 XXGRFXX EAGLE CAP GROWTH FD INC 3,545 $38K NEW
6514 COCH ENVOY MEDICAL INC Healthcare 57,100 $38K NEW
6515 GRWG GROWGENERATION CORP Consumer Cyclical 25,139 $38K NEW
6516 UOCT INNOVATOR ETFS TRUST 962 $38K NEW
6517 BUFQ FIRST TR EXCHNG TRADED FD VI 1,043 $37K NEW
6518 UNOV INNOVATOR ETFS TRUST 980 $37K NEW
6519 PRTS CARPARTS COM INC Consumer Cyclical 74,565 $37K NEW
6520 GLL PROSHARES TR II Financial Services 1,425 $37K NEW
6521 FONR FONAR CORP Healthcare 2,000 $37K NEW
6522 FARM FARMER BROS CO Consumer Defensive 25,400 $37K NEW
6523 SCHJ SCHWAB STRATEGIC TR 1,483 $37K NEW
6524 DFGX DIMENSIONAL ETF TRUST 697 $37K NEW
6525 SPAI SAFE PRO GROUP INC Industrials 8,817 $37K NEW
6526 AP AMPCO-PITTSBURG CORP Industrials 6,871 $37K NEW
6527 ATOS ATOSSA THERAPEUTICS INC Healthcare 61,500 $36K NEW
6528 IMOS CHIPMOS TECHNOLOGIES INC Technology 1,219 $36K NEW
6529 KRKR 36KR HOLDINGS INC Communication Services 7,539 $36K NEW
6530 3IV1 INNOVATOR ETFS TRUST 1,029 $36K NEW
6531 KZR KEZAR LIFE SCIENCES INC Healthcare 5,685 $36K NEW
6532 FREIGHTOS LTD 15,652 $36K NEW
6533 QNCX QUINCE THERAPEUTICS INC Healthcare 10,623 $36K NEW
6534 YOLO ADVISORSHARES TR 10,768 $36K NEW
6535 OZEM ROUNDHILL ETF TRUST 1,039 $35K NEW
6536 CRT CROSS TIMBERS RTY TR Energy 4,437 $35K NEW
6537 FLTW FRANKLIN TEMPLETON ETF TR 579 $35K NEW
6538 ULBI ULTRALIFE CORP Industrials 6,147 $35K NEW
6539 ACFN ACORN ENERGY INC Technology 2,312 $35K NEW
6540 ENPH ENPHASE ENERGY INC Energy 40,000 $35K NEW
6541 ATLN ATLANTIC INTL CORP Healthcare 26,130 $35K NEW
6542 KSCP KNIGHTSCOPE INC Industrials 9,342 $35K NEW
6543 ANVS ANNOVIS BIO INC Healthcare 9,901 $34K NEW
6544 PTL NORTHERN LTS FD TR IV 138 $34K NEW
6545 TOPT ISHARES TR 1,096 $34K NEW
6546 GRN BARCLAYS BANK PLC Financial Services 1,000 $34K NEW
6547 SPRB SPRUCE BIOSCIENCES INC Healthcare 388 $34K NEW
6548 UCO PROSHARES TR II Financial Services 1,748 $34K NEW
6549 XTEN BONDBLOXX ETF TRUST 728 $34K NEW
6550 LZ TECHNOLOGY HLDGS LTD 20,200 $34K NEW
6551 SPD SIMPLIFY EXCHANGE TRADED FUN 847 $33K NEW
6552 LOGISTIC PROPERTIES OF THE A 12,195 $33K NEW
6553 TCPB THRIVENT ETF TRUST 643 $33K NEW
6554 NOCT INNOVATOR ETFS TRUST 568 $33K NEW
6555 ALZN ALZAMEND NEURO INC Healthcare 18,000 $33K NEW
6556 PFEB INNOVATOR ETFS TRUST 802 $33K NEW
6557 QVAL EA SERIES TRUST 666 $33K NEW
6558 XOVR ENTREPRENEURSHARES SERIES TR 1,605 $32K NEW
6559 PROSHARES TR II 6,050 $32K NEW
6560 ONEV SPDR SERIES TRUST 241 $32K NEW
6561 DRUP GRANITESHARES ETF TR 481 $32K NEW
6562 JADE J P MORGAN EXCHANGE TRADED F 508 $32K NEW
6563 GYLD ARROW ETF TR 2,352 $32K NEW
6564 VGAS VERDE CLEAN FUELS INC Utilities 15,393 $32K NEW
6565 NDRA ENDRA LIFE SCIENCES INC Healthcare 6,946 $31K NEW
6566 IUS INVESCO EXCH TRD SLF IDX FD 548 $31K NEW
6567 LGL LGL GROUP INC Technology 5,442 $31K NEW
6568 SHAK SHAKE SHACK INC Consumer Cyclical 33,000 $31K NEW
6569 DCFEUR MOGO INC 29,060 $31K NEW
6570 DUSB DIMENSIONAL ETF TRUST 607 $31K NEW
6571 CHMI CHERRY HILL MTG INVT CORP Real Estate 11,978 $31K NEW
6572 QCJL FIRST TR EXCHNG TRADED FD VI 1,286 $31K NEW
6573 TISI TEAM INC Industrials 2,150 $30K NEW
6574 SDSI AMERICAN CENTY ETF TR 586 $30K NEW
6575 DOMH DOMINARI HOLDINGS INC Financial Services 6,001 $30K NEW
6576 AGOX STARBOARD INVT TR 1,037 $30K NEW
6577 CKX CKX LDS INC Energy 3,233 $30K NEW
6578 KAIXIN HLDGS 5,679 $29K NEW
6579 ETHO AMPLIFY ETF TR 450 $29K NEW
6580 USSE SEGALL BRYANT & HAMILL TR 873 $29K NEW
6581 ELLOMAY CAPITAL LIMITED 1,200 $29K NEW
6582 SCYX SCYNEXIS INC Healthcare 46,095 $29K NEW
6583 HOWL WEREWOLF THERAPEUTICS INC Healthcare 46,002 $29K NEW
6584 LRNZ ELEVATION SERIES TRUST 608 $29K NEW
6585 LOUP INNOVATOR ETFS TRUST 379 $29K NEW
6586 GRML KLOTHO NEUROSCIENCES INC Basic Materials 100,002 $29K NEW
6587 FGDL FRANKLIN TEMPLETON HOLDINGS Financial Services 500 $29K NEW
6588 HSCZ ISHARES TR 739 $29K NEW
6589 EJAN INNOVATOR ETFS TRUST 849 $29K NEW
6590 MAXEON SOLAR TECHNOLOGIES LT 10,382 $29K NEW
6591 DRSK ETF SER SOLUTIONS 999 $28K NEW
6592 TNA DIREXION SHS ETF TR 621 $28K NEW
6593 VHC VIRNETX HLDG CORP Technology 1,689 $28K NEW
6594 GORO GOLD RESOURCE CORP Basic Materials 34,037 $28K NEW
6595 TMSL T ROWE PRICE ETF INC 783 $28K NEW
6596 MDCX MEDICUS PHARMA LTD Healthcare 18,306 $28K NEW
6597 QMCO QUANTUM CORP Technology 4,313 $28K NEW
6598 AIFD TCW ETF TRUST 733 $28K NEW
6599 NBCM NEUBERGER BERMAN ETF TRUST 1,217 $28K NEW
6600 NRXP NRX PHARMACEUTICALS INC Healthcare 10,029 $27K NEW
6601 PJUL INNOVATOR ETFS TRUST 583 $27K NEW
6602 IWLG NEW YORK LIFE INVTS ACTIVE E 499 $27K NEW
6603 PVL PERMIANVILLE RTY TR Energy 15,001 $27K NEW
6604 CLOZ SERIES PORTFOLIOS TR 1,017 $27K NEW
6605 DEMZ ADVISORS INNER CIRCLE FD III 620 $26K NEW
6606 TSME THRIVENT ETF TRUST 633 $26K NEW
6607 NRXS NEURAXIS INC Healthcare 5,802 $26K NEW
6608 BITW BITWISE 10 CRYPTO INDEX ETF Financial Services 448 $26K NEW
6609 XWIN XMAX INC Consumer Cyclical 4,387 $26K NEW
6610 VCRM VANGUARD MUN BD FDS 348 $26K NEW
6611 QARP DBX ETF TR 445 $26K NEW
6612 TLYS TILLYS INC Consumer Cyclical 13,137 $26K NEW
6613 ATNM ACTINIUM PHARMACEUTICALS INC Healthcare 19,070 $26K NEW
6614 FJAN FIRST TR EXCHNG TRADED FD VI 496 $26K NEW
6615 ACET ADICET BIO INC Healthcare 3,040 $26K NEW
6616 PIEQ PRINCIPAL EXCHANGE TRADED FD 770 $25K NEW
6617 GDEC FIRST TR EXCHNG TRADED FD VI 671 $25K NEW
6618 SCO PROSHARES TR II Financial Services 1,275 $25K NEW
6619 MLCI MOUNT LOGAN CAP INC Financial Services 3,026 $25K NEW
6620 GSC GOLDMAN SACHS ETF TR 459 $25K NEW
6621 SRTS SENSUS HEALTHCARE INC Healthcare 6,267 $25K NEW
6622 LVO LIVEONE INC Communication Services 5,280 $25K NEW
6623 BCTX BRIACELL THERAPEUTICS CORP Healthcare 3,501 $25K NEW
6624 BCAB BIOATLA INC Healthcare 43,653 $25K NEW
6625 DWMF WISDOMTREE TR 760 $25K NEW
6626 CUSD TRUST FOR PROFESSIONAL MANAG 1,300 $25K NEW
6627 CMCT CREATIVE MEDIA & CMNTY TR Real Estate 6,607 $25K NEW
6628 UHG UNITED HOMES GROUP INC Consumer Cyclical 15,708 $25K NEW
6629 IREN IREN LIMITED Financial Services 10,000 $24K NEW
6630 GMOI GMO ETF TRUST 725 $24K NEW
6631 PAR PAR TECHNOLOGY CORP Technology 25,000 $24K NEW
6632 EMDM FIRST TR EXCHANGE TRADED FD 776 $24K NEW
6633 BIRD ALLBIRDS INC Technology 5,895 $24K NEW
6634 FTWO EA SERIES TRUST 592 $24K NEW
6635 STKS THE ONE GROUP HOSPITALITY IN Consumer Cyclical 13,721 $24K NEW
6636 LEE LEE ENTERPRISES INC Communication Services 5,002 $24K NEW
6637 MARPS MARINE PETE TR Energy 5,779 $24K NEW
6638 GNSS GENASYS INC Technology 11,165 $24K NEW
6639 SORA ASIASTRATEGY Consumer Cyclical 7,845 $24K NEW
6640 VOC VOC ENERGY TR Energy 8,772 $24K NEW
6641 FNWB FIRST NORTHWEST BANCORP Financial Services 2,522 $24K NEW
6642 GRO BRAZIL POTASH CORP Basic Materials 12,500 $24K NEW
6643 LCFY LOCAFY LIMITED Communication Services 8,400 $24K NEW
6644 ALGS ALIGOS THERAPEUTICS INC Healthcare 2,520 $23K NEW
6645 DEXC DIMENSIONAL ETF TRUST 385 $23K NEW
6646 HGBL HERITAGE GLOBAL INC Financial Services 18,668 $23K NEW
6647 GCTS GCT SEMICONDUCTOR HLDG INC Technology 19,289 $23K NEW
6648 INVE IDENTIV INC Technology 6,001 $23K NEW
6649 TBJL INNOVATOR ETFS TRUST 1,154 $23K NEW
6650 VWAV VISIONWAVE HOLDINGS INC Industrials 2,481 $23K NEW
6651 BSCZ INVESCO EXCH TRD SLF IDX FD 1,102 $23K NEW
6652 RENT RENT THE RUNWAY INC Consumer Cyclical 2,893 $23K NEW
6653 LEAD SIREN ETF TR 300 $23K NEW
6654 DDM PROSHARES TR 401 $23K NEW
6655 TRON TRON INC Consumer Cyclical 18,324 $23K NEW
6656 LDRC ISHARES TR 895 $23K NEW
6657 AFSC ABRDN FDS 741 $23K NEW
6658 VRM VROOM INC Consumer Cyclical 1,134 $23K NEW
6659 JHMB JOHN HANCOCK EXCHANGE TRADED 1,009 $22K NEW
6660 JULT AIM ETF PRODUCTS TRUST 498 $22K NEW
6661 BLNK BLINK CHARGING CO Industrials 33,349 $22K NEW
6662 USD PROSHARES TR 423 $22K NEW
6663 GNOM GLOBAL X FDS 487 $22K NEW
6664 KGRN KRANESHARES TRUST 818 $22K NEW
6665 PBSE PGIM ROCK ETF TR 749 $22K NEW
6666 AGNG GLOBAL X FDS 612 $22K NEW
6667 FEAM 5E ADVANCED MATERIALS INC Basic Materials 7,203 $22K NEW
6668 FYLD CAMBRIA ETF TR 676 $22K NEW
6669 JG AURORA MOBILE LTD Technology 3,490 $22K NEW
6670 GROW U S GLOBAL INVS INC Financial Services 9,001 $22K NEW
6671 TMB THORNBURG ETF TR 848 $22K NEW
6672 UUU UNIVERSAL SAFETY PRODS INC Industrials 4,190 $22K NEW
6673 KJUL INNOVATOR ETFS TRUST 680 $22K NEW
6674 TOV EA SERIES TRUST 750 $22K NEW
6675 FDLS NORTHERN LTS FD TR IV 601 $21K NEW
6676 PITANIUM LTD 2,064 $21K NEW
6677 HERITAGE DISTILLING HLDG CO 13,739 $21K NEW
6678 BHR BRAEMAR HOTELS & RESORTS INC Real Estate 1,440 $21K NEW
6679 GOAU ETF SER SOLUTIONS 501 $21K NEW
6680 DDEC FIRST TR EXCHNG TRADED FD VI 472 $21K NEW
6681 CTEC GLOBAL X FDS 400 $21K NEW
6682 HERD PACER FDS TR 486 $21K NEW
6683 NNVC NANOVIRICIDES INC Healthcare 18,651 $21K NEW
6684 LASE LASER PHOTONICS CORP Industrials 8,481 $21K NEW
6685 LDSF FIRST TR EXCHNG TRADED FD VI 1,084 $21K NEW
6686 LANVIN GROUP HOLDINGS LIMITE 10,265 $21K NEW
6687 VGMS VANGUARD MALVERN FDS 400 $21K NEW
6688 DDC ENTERPRISE LTD 10,000 $20K NEW
6689 AIFU AIFU INC Financial Services 7,649 $20K NEW
6690 XMAR FIRST TR EXCHNG TRADED FD VI 511 $20K NEW
6691 PMI PICARD MEDICAL INC Healthcare 11,553 $20K NEW
6692 ILIT ISHARES TR 1,293 $20K NEW
6693 RDOG ALPS ETF TR 557 $20K NEW
6694 DBND DOUBLELINE ETF TRUST 430 $20K NEW
6695 DFDV DEFI DEVELOPMENT CORP Technology 12,879 $20K NEW
6696 XNAV FUNDX INVT TR 245 $20K NEW
6697 XTIA XTI AEROSPACE INC Industrials 15,930 $20K NEW
6698 APCB TRUST FOR PROFESSIONAL MANAG 666 $20K NEW
6699 NEUROONE MED TECHNOLOGIES CO 25,984 $20K NEW
6700 OKTA OKTA INC Technology 20,000 $20K NEW
6701 HYFT MINDWALK HOLDINGS CORP Healthcare 10,720 $20K NEW
6702 TACK CAPITOL SER TR 647 $19K NEW
6703 LCAP PRINCIPAL EXCHANGE TRADED FD 656 $19K NEW
6704 XCUR EXICURE INC Healthcare 3,565 $19K NEW
6705 MODULAR MED INC 53,000 $19K NEW
6706 SOYB TEUCRIUM COMMODITY TR Financial Services 875 $19K NEW
6707 RFIL RF INDS LTD Industrials 3,292 $19K NEW
6708 FCTE ETF OPPORTUNITIES TRUST 762 $19K NEW
6709 TWO HARBORS INVENTMENT CORPO 19,000 $19K NEW
6710 ECOR ELECTROCORE INC Healthcare 4,202 $19K NEW
6711 IMMP IMMUTEP LTD Healthcare 6,572 $19K NEW
6712 GECC GREAT ELM CAP CORP Financial Services 2,642 $19K NEW
6713 UCIB UBS AG LONDON BRANCH Financial Services 661 $19K NEW
6714 SAUG FIRST TR EXCHNG TRADED FD VI 727 $19K NEW
6715 ABLD ABACUS FCF ETF TR 633 $18K NEW
6716 BEEM BEAM GLOBAL Energy 12,256 $18K NEW
6717 SEEM SEI EXCHANGE TRADED FUNDS 589 $18K NEW
6718 NSRX NASUS PHARMA LTD Healthcare 2,000 $18K NEW
6719 CVU CPI AEROSTRUCTURES INC Industrials 4,600 $18K NEW
6720 QTTB Q32 BIO INC Healthcare 5,478 $18K NEW
6721 SNAP SNAP INC Communication Services 20,000 $18K NEW
6722 SPRU SPRUCE POWER HOLDING CORP Energy 3,552 $18K NEW
6723 ROKT SPDR SERIES TRUST 212 $18K NEW
6724 CERY SPDR SERIES TRUST 632 $18K NEW
6725 SBFM SUNSHINE BIOPHARMA INC Healthcare 14,634 $18K NEW
6726 ARAI ARRIVE AI INC Technology 6,841 $18K NEW
6727 ARBE ARBE ROBOTICS LTD Technology 15,189 $18K NEW
6728 MCHP MICROCHIP TECHNOLOGY INC. Technology 10,000 $18K NEW
6729 APLT APPLIED THERAPEUTICS INC 178,474 $18K NEW
6730 GTEK GOLDMAN SACHS ETF TR 443 $18K NEW
6731 GGRW GABELLI ETFS TRUST 500 $18K NEW
6732 CGNG CAPITAL GROUP NEW GEOGRAPHY 550 $18K NEW
6733 STSS SHARPS TECHNOLOGY INC Healthcare 8,649 $18K NEW
6734 CNVS CINEVERSE CORP Communication Services 8,298 $18K NEW
6735 WHLR 7 12/31/31 WHEELER REAL ESTATE INVT TR 200 $18K NEW
6736 DEED FIRST TR EXCHNG TRADED FD VI 808 $17K NEW
6737 ICLO INVESCO ACTIVELY MANAGED EXC 682 $17K NEW
6738 FBOT FIDELITY COVINGTON TRUST 522 $17K NEW
6739 ORGN ORIGIN MATERIALS INC Basic Materials 82,173 $17K NEW
6740 PPI INVESTMENT MANAGERS SER TR I 931 $17K NEW
6741 ESLA ESTRELLA IMMUNOPHARMA INC Healthcare 11,097 $17K NEW
6742 RAAX VANECK ETF TRUST 494 $17K NEW
6743 HFSI HARTFORD FDS EXCHANGE TRADED 485 $17K NEW
6744 BOLT BOLT BIOTHERAPEUTICS INC Healthcare 3,128 $17K NEW
6745 SSII SS INNOVATIONS INTERNATIONAL Healthcare 3,000 $17K NEW
6746 EMPD EMPERY DIGITAL INC Consumer Cyclical 3,718 $17K NEW
6747 BHST BIOHARVEST SCIENCES INC Basic Materials 3,250 $17K NEW
6748 OEFA ALPS ETF TR 501 $17K NEW
6749 IIGD INVESCO EXCH TRD SLF IDX FD 673 $17K NEW
6750 MINV MATTHEWS ASIA FDS 473 $17K NEW
6751 AUSTRALIAN OILSEEDS HLDGS LT 32,400 $17K NEW
6752 BLNE BEELINE HOLDINGS INC Consumer Defensive 9,700 $17K NEW
6753 CHAU DIREXION SHS ETF TR 781 $16K NEW
6754 PAINREFORM LTD 25,602 $16K NEW
6755 RBOT VICARIOUS SURGICAL INC 7,543 $16K NEW
6756 WHWK WHITEHAWK THERAPEUTICS INC Healthcare 6,748 $16K NEW
6757 FURY FURY GOLD MINES LIMITED Basic Materials 27,648 $16K NEW
6758 TUSB THRIVENT ETF TRUST 322 $16K NEW
6759 ACXP ACURX PHARMACEUTICALS INC Healthcare 6,500 $16K NEW
6760 HALO HALOZYME THERAPEUTICS INC Healthcare 15,000 $16K NEW
6761 PROV PROVIDENT FINL HLDGS INC Financial Services 1,006 $16K NEW
6762 ZIG ETF SER SOLUTIONS 439 $16K NEW
6763 INLX INTELLINETICS INC Technology 2,000 $16K NEW
6764 CNTN THARIMMUNE INC Healthcare 5,263 $16K NEW
6765 SPE 2.75 01/27/27 C SPECIAL OPPORTUNITIES FD INC 645 $16K NEW
6766 SABS SAB BIOTHERAPEUTICS INC Healthcare 4,262 $16K NEW
6767 EMIF ISHARES TR 600 $16K NEW
6768 TAOX TAO SYNERGIES INC Healthcare 4,319 $16K NEW
6769 NTRB NUTRIBAND INC Healthcare 3,500 $16K NEW
6770 NDLSUSD NOODLES & CO 22,438 $16K NEW
6771 ZAPR INNOVATOR ETFS TRUST 612 $16K NEW
6772 MTVA METAVIA INC Healthcare 1,860 $16K NEW
6773 ELSE ELECTRO-SENSORS INC Technology 3,751 $16K NEW
6774 BOLD BOUNDLESS BIO INC Healthcare 13,000 $16K NEW
6775 TSEL TOUCHSTONE ETF TRUST 550 $16K NEW
6776 DAUG FIRST TR EXCHNG TRADED FD VI 350 $16K NEW
6777 UJUL INNOVATOR ETFS TRUST 400 $16K NEW
6778 FDRV FIDELITY COVINGTON TRUST 944 $15K NEW
6779 FAZ DIREXION SHS ETF TR 401 $15K NEW
6780 NJUL INNOVATOR ETFS TRUST 212 $15K NEW
6781 MAYS MAYS J W INC Real Estate 385 $15K NEW
6782 OVLH LISTED FDS TR 386 $15K NEW
6783 PROF PROFOUND MED CORP Healthcare 1,929 $15K NEW
6784 EZBC FRANKLIN TEMPLETON DIGITAL H Financial Services 300 $15K NEW
6785 SAMT ADVISORS INNER CIRCLE FD III 393 $15K NEW
6786 FHEQ FIDELITY GREENWOOD STREET TR 490 $15K NEW
6787 ANY1EUR SPHERE 3D CORP NEW 50,680 $15K NEW
6788 KFFB KENTUCKY FIRST FED BANCORP Financial Services 3,242 $15K NEW
6789 INCANNEX HEALTHCARE INC 41,993 $15K NEW
6790 TSMX DIREXION SHS ETF TR 300 $15K NEW
6791 AUSF GLOBAL X FDS 319 $15K NEW
6792 MURANO GLOBAL INVTS PLC 25,575 $15K NEW
6793 BUFF INNOVATOR ETFS TRUST 295 $15K NEW
6794 HOVR NEW HORIZON AIRCRAFT LTD Industrials 9,982 $15K NEW
6795 GTBP GT BIOPHARMA INC Healthcare 18,599 $15K NEW
6796 PJFG PGIM ETF TR 131 $15K NEW
6797 JVA COFFEE HLDG CO INC Consumer Defensive 3,714 $14K NEW
6798 BRF VANECK ETF TRUST 897 $14K NEW
6799 SZNE PACER FDS TR 410 $14K NEW
6800 SNOV FIRST TR EXCHNG TRADED FD VI 577 $14K NEW
6801 ARMP ARMATA PHARMACEUTICALS INC Healthcare 2,269 $14K NEW
6802 BTM BITCOIN DEPOT INC Financial Services 11,025 $14K NEW
6803 VTSI VIRTRA INC Industrials 3,385 $14K NEW
6804 SKYH/WS SKY HARBOUR GROUP CORPORATIO 22,000 $14K NEW
6805 AFLG FIRST TR EXCHNG TRADED FD VI 363 $14K NEW
6806 TRFM ETF SER SOLUTIONS 298 $14K NEW
6807 QJUN FIRST TR EXCHNG TRADED FD VI 444 $14K NEW
6808 HUIZ HUIZE HLDG LTD Financial Services 5,020 $14K NEW
6809 APM APTORUM GROUP LIMITED Healthcare 13,300 $14K NEW
6810 HOLA J P MORGAN EXCHANGE TRADED F 269 $14K NEW
6811 NJAN INNOVATOR ETFS TRUST 255 $14K NEW
6812 AMZU DIREXION SHS ETF TR 400 $14K NEW
6813 PDCC PEARL DIVER CREDIT COMPANY I Financial Services 1,000 $14K NEW
6814 AI INFRASTRUCTURE ACQUISI 53,306 $14K NEW
6815 ARBK ARGO BLOCKCHAIN PLC Financial Services 4,035 $14K NEW
6816 EXOZ EXOZYMES INC Healthcare 1,250 $14K NEW
6817 SCWO 374WATER INC Industrials 6,672 $14K NEW
6818 PATK 1.75 12/01/28 PATRICK INDS INC 8,000 $14K NEW
6819 SMAY FIRST TR EXCHNG TRADED FD VI 521 $14K NEW
6820 OESX ORION ENERGY SYS INC Industrials 877 $13K NEW
6821 AMS AMERICAN SHARED HOSPITAL SVC Healthcare 6,308 $13K NEW
6822 LHAI LINKHOME HLDGS INC Real Estate 1,719 $13K NEW
6823 CPIX CUMBERLAND PHARMACEUTICALS I Healthcare 3,260 $13K NEW
6824 NAPR INNOVATOR ETFS TRUST 241 $13K NEW
6825 NVDY TIDAL TRUST II 881 $13K NEW
6826 DFEN DIREXION SHS ETF TR 201 $13K NEW
6827 PFRL PGIM ETF TR 258 $13K NEW
6828 ULVM VICTORY PORTFOLIOS II 140 $13K NEW
6829 KOSS KOSS CORP Technology 3,080 $13K NEW
6830 FLSW FRANKLIN TEMPLETON ETF TR 304 $13K NEW
6831 LONZ PIMCO ETF TR 251 $13K NEW
6832 PDC EARLYWORKS CO LTD Technology 1,947 $13K NEW
6833 XJR ISHARES TR 294 $13K NEW
6834 RBIL RBB FD INC 252 $13K NEW
6835 TIDAL TRUST II 726 $13K NEW
6836 TBUX T ROWE PRICE ETF INC 250 $12K NEW
6837 CDIG EA SERIES TRUST 500 $12K NEW
6838 CRD-B CRAWFORD & CO 1,157 $12K NEW
6839 UGA UNITED STS GASOLINE FD LP Financial Services 200 $12K NEW
6840 BGRN ISHARES TR 256 $12K NEW
6841 FPFD FIDELITY COVINGTON TRUST 561 $12K NEW
6842 BAMB NORTHERN LTS FD TR IV 462 $12K NEW
6843 DJIA GLOBAL X FDS 553 $12K NEW
6844 MGMT UNIFIED SER TR 273 $12K NEW
6845 VIDI ETF SER SOLUTIONS 356 $12K NEW
6846 LGCY LEGACY ED INC Consumer Defensive 1,176 $12K NEW
6847 SPXT PROSHARES TR 115 $12K NEW
6848 MDAI SPECTRAL AI INC Healthcare 8,401 $12K NEW
6849 SEV APTERA MOTORS CORP Consumer Cyclical 2,775 $12K NEW
6850 OXBRIDGE RE HLDGS LTD 9,000 $12K NEW
6851 LND BRASILAGRO COMPANHIA BRASILE Consumer Defensive 3,317 $12K NEW
6852 DFNS NUKKLEUS INC Industrials 2,941 $12K NEW
6853 SNES SENESTECH INC Basic Materials 5,500 $12K NEW
6854 BRAG BRAGG GAMING GROUP INC Technology 5,600 $12K NEW
6855 HYPR HYPERFINE INC Healthcare 12,000 $12K NEW
6856 AGGH SIMPLIFY EXCHANGE TRADED FUN 566 $12K NEW
6857 UEVM VICTORY PORTFOLIOS II 211 $12K NEW
6858 MHH MASTECH DIGITAL INC Industrials 1,670 $12K NEW
6859 FLEE FRANKLIN TEMPLETON ETF TR 318 $12K NEW
6860 RFL RAFAEL HLDGS INC Real Estate 9,808 $12K NEW
6861 IEDI ISHARES U S ETF TR 207 $11K NEW
6862 ALTISOURCE PORTFOLIO SOLUTIO 1,632 $11K NEW
6863 IMNN IMUNON INC Healthcare 2,964 $11K NEW
6864 HBIO HARVARD BIOSCIENCE INC Healthcare 16,686 $11K NEW
6865 PLCE CHILDRENS PL INC NEW Consumer Cyclical 2,802 $11K NEW
6866 ALOT ASTRONOVA INC Technology 1,284 $11K NEW
6867 VS VERSUS SYSTEMS INC Technology 9,063 $11K NEW
6868 ABVC ABVC BIOPHARMA INC Healthcare 5,175 $11K NEW
6869 PENNYMAC CORP 11,000 $11K NEW
6870 JAMF HLDG CORP 11,000 $11K NEW
6871 XELB XCEL BRANDS INC Consumer Cyclical 10,000 $11K NEW
6872 UFI UNIFI INC Consumer Cyclical 3,050 $11K NEW
6873 BCTK BARON ETF TR 425 $11K NEW
6874 WLAC WILLOW LANE ACQUISITION CORP Financial Services 2,380 $11K NEW
6875 VALQ AMERICAN CENTY ETF TR 161 $11K NEW
6876 JF PINTEC TECHNOLOGY HLDGS LTD Financial Services 11,690 $11K NEW
6877 DOGZ DOGNESS INTERNATIONAL CORP Consumer Cyclical 1,000 $11K NEW
6878 BOAT TIDAL TRUST I 333 $11K NEW
6879 KJAN INNOVATOR ETFS TRUST 254 $11K NEW
6880 IJAN INNOVATOR ETFS TRUST 290 $10K NEW
6881 BKEM BNY MELLON ETF TRUST 139 $10K NEW
6882 FJUN FIRST TR EXCHNG TRADED FD VI 183 $10K NEW
6883 BRHY BLACKROCK ETF TRUST II 200 $10K NEW
6884 HMOP HARTFORD FDS EXCHANGE TRADED 261 $10K NEW
6885 VNCE VINCE HLDG CORP Consumer Cyclical 2,502 $10K NEW
6886 YCS PROSHARES TR II Financial Services 200 $10K NEW
6887 RGS REGIS CORPORATION Consumer Cyclical 364 $10K NEW
6888 INVESTMENT MANAGERS SER TR 976 $10K NEW
6889 HTZWW HERTZ GLOBAL HLDGS INC 3,716 $10K NEW
6890 EVGN EVOGENE LTD Healthcare 9,051 $10K NEW
6891 HOTH HOTH THERAPEUTICS INC Healthcare 10,006 $10K NEW
6892 WLDR TWO RDS SHARED TR 278 $10K NEW
6893 PLTM GRANITESHARES PLATINUM TR Financial Services 500 $10K NEW
6894 GTN.A GRAY MEDIA INC Communication Services 821 $10K NEW
6895 MAGA ETF SER SOLUTIONS 191 $10K NEW
6896 DJUL FIRST TR EXCHNG TRADED FD VI 205 $10K NEW
6897 BKCI BNY MELLON ETF TRUST 189 $10K NEW
6898 TACT TRANSACT TECHNOLOGIES INC Technology 2,431 $10K NEW
6899 AMOM EXCHANGE LISTED FDS TR 200 $10K NEW
6900 CRACKER BARREL OLD CTRY STOR 10,000 $10K NEW
6901 MFUS PIMCO EQUITY SER 171 $10K NEW
6902 CCOR LISTED FDS TR 367 $10K NEW
6903 SWAN AMPLIFY ETF TR 295 $10K NEW
6904 GPRE GREEN PLAINS INC Basic Materials 10,000 $10K NEW
6905 KAPR INNOVATOR ETFS TRUST 272 $10K NEW
6906 SSK ETF OPPORTUNITIES TRUST 500 $10K NEW
6907 OTLK OUTLOOK THERAPEUTICS INC Healthcare 6,024 $10K NEW
6908 CGGE CAPITAL GROUP GLOBAL EQUITY 300 $9K NEW
6909 MSMR ETF SER SOLUTIONS 270 $9K NEW
6910 LGO LARGO INC Basic Materials 10,054 $9K NEW
6911 QQMG INVESCO EXCH TRADED FD TR II 221 $9K NEW
6912 PLUR PLURI INC Healthcare 3,077 $9K NEW
6913 VERU VERU INC Healthcare 4,270 $9K NEW
6914 BUFZ FIRST TR EXCHNG TRADED FD VI 344 $9K NEW
6915 FCPI FIDELITY COVINGTON TRUST 184 $9K NEW
6916 MVO MV OIL TR Energy 7,301 $9K NEW
6917 BDCZ UBS AG LONDON BRANCH Financial Services 537 $9K NEW
6918 RZLV REZOLVE AI PLC Technology 9,898 $9K NEW
6919 PW POWER REIT Real Estate 10,100 $9K NEW
6920 MUSI AMERICAN CENTY ETF TR 200 $9K NEW
6921 FUFU BITFUFU INC Financial Services 3,314 $9K NEW
6922 JFU 9F INC Technology 1,365 $9K NEW
6923 VETZ TIDAL TRUST I 433 $9K NEW
6924 NIXX NIXXY INC Industrials 9,000 $9K NEW
6925 NOTV INOTIV INC Healthcare 15,210 $9K NEW
6926 BBBI BONDBLOXX ETF TRUST 164 $9K NEW
6927 FOCT FIRST TR EXCHNG TRADED FD VI 174 $9K NEW
6928 YALL TIDAL TRUST I 195 $8K NEW
6929 SLMT BRERA HOLDINGS PLC Financial Services 4,522 $8K NEW
6930 VTGN VISTAGEN THERAPEUTICS INC Healthcare 12,658 $8K NEW
6931 EDUC EDUCATIONAL DEV CORP Communication Services 6,321 $8K NEW
6932 FGBI FIRST GTY BANCSHARES INC Financial Services 1,548 $8K NEW
6933 CNF CNFINANCE HLDGS LTD Financial Services 1,370 $8K NEW
6934 TIDAL TRUST II 400 $8K NEW
6935 OGCP EMPIRE ST RLTY OP L P 1,300 $8K NEW
6936 MARA HOLDINGS INC 9,000 $8K NEW
6937 TONX TON STRATEGY CO Financial Services 4,098 $8K NEW
6938 BYSI BEYONDSPRING INC Healthcare 5,000 $8K NEW
6939 BOSC BOS BETTER ONLINE SOLUTIONS Technology 1,767 $8K NEW
6940 TYGO TIGO ENERGY INC Energy 5,825 $8K NEW
6941 FGMC FG MERGER II CORP Financial Services 799 $8K NEW
6942 YOOV CONCORDE INTL GROUP LTD Industrials 4,979 $8K NEW
6943 GTEC GREENLAND TECHNOLOGIES HLDG Industrials 13,002 $8K NEW
6944 FBIO FORTRESS BIOTECH INC Healthcare 2,158 $8K NEW
6945 LCI INDS 8,000 $8K NEW
6946 IDVO AMPLIFY ETF TR 204 $8K NEW
6947 KNDI KANDI TECHNOLOGIES GROUP INC Consumer Cyclical 9,878 $8K NEW
6948 SRXH SRX HEALTH SOLUTIONS INC. Healthcare 34,000 $8K NEW
6949 AFBI AFFINITY BANCSHARES INC Financial Services 380 $8K NEW
6950 TUA SIMPLIFY EXCHANGE TRADED FUN 353 $8K NEW
6951 SIHY HARBOR ETF TRUST 168 $8K NEW
6952 RFLR INNOVATOR ETFS TRUST 269 $8K NEW
6953 DGICB DONEGAL GROUP INC Financial Services 430 $8K NEW
6954 UCL UCLOUDLINK GROUP INC Communication Services 4,625 $8K NEW
6955 FTHM FATHOM HOLDINGS INC Real Estate 7,501 $8K NEW
6956 YOUL YOULIFE GROUP INC Consumer Defensive 5,271 $8K NEW
6957 ALTY GLOBAL X FDS 631 $8K NEW
6958 TAVI TAVIA ACQUISITION CORP Financial Services 711 $7K NEW
6959 PARK PARK DENTAL PARTNERS INC Healthcare 500 $7K NEW
6960 CGMM CAPITAL GROUP EQUITY ETF TR 255 $7K NEW
6961 PLTU DIREXION SHS ETF TR 100 $7K NEW
6962 CMDT PIMCO ETF TR 266 $7K NEW
6963 CVKD CADRENAL THERAPEUTICS INC Healthcare 1,080 $7K NEW
6964 ULTY TIDAL TRUST II 196 $7K NEW
6965 ZALT INNOVATOR ETFS TRUST 224 $7K NEW
6966 TMFE RBB FD INC 250 $7K NEW
6967 BZFD BUZZFEED INC Communication Services 7,809 $7K NEW
6968 DUO FANGDD NETWORK GROUP LTD Real Estate 4,958 $7K NEW
6969 SCCR SCHWAB STRATEGIC TR 280 $7K NEW
6970 AGPU AXE COMPUTE INC Technology 1,000 $7K NEW
6971 SACH SACHEM CAP CORP Real Estate 6,875 $7K NEW
6972 AEI ALSET INC Real Estate 2,075 $7K NEW
6973 SQNS SEQUANS COMMUNICATIONS S A Technology 1,586 $7K NEW
6974 BIOX BIOCERES CROP SOLUTIONS CORP Basic Materials 5,397 $7K NEW
6975 PBHC PATHFINDER BANCORP INC MD Financial Services 495 $7K NEW
6976 AKO/A EMBOTELLADORA ANDINA S A 299 $7K NEW
6977 BDEC INNOVATOR ETFS TRUST 141 $7K NEW
6978 OCC OPTICAL CABLE CORP Technology 1,570 $7K NEW
6979 MMLG FIRST TR EXCHNG TRADED FD VI 197 $7K NEW
6980 WWR WESTWATER RES INC Basic Materials 9,301 $7K NEW
6981 DRTS ALPHA TAU MEDICAL LTD Healthcare 20,475 $7K NEW
6982 JHPI JOHN HANCOCK EXCHANGE TRADED 302 $7K NEW
6983 KZIA KAZIA THERAPEUTICS LTD Healthcare 1,000 $7K NEW
6984 PSIL ADVISORSHARES TR 400 $7K NEW
6985 NYXH NYXOAH S A Healthcare 1,475 $7K NEW
6986 SPWH SPORTSMANS WHSE HLDGS INC Consumer Cyclical 4,646 $7K NEW
6987 ATLX ATLAS LITHIUM CORP Basic Materials 1,603 $7K NEW
6988 BNKK BONK INC Consumer Defensive 2,615 $7K NEW
6989 VOLT TEMA ETF TRUST 233 $7K NEW
6990 JPO TIDAL TRUST II 421 $7K NEW
6991 ESIX SPDR SERIES TRUST 211 $7K NEW
6992 IAUM ISHARES GOLD TR Financial Services 154 $7K NEW
6993 CRPT FIRST TR EXCHNG TRADED FD VI 440 $7K NEW
6994 XITK SPDR SERIES TRUST 37 $7K NEW
6995 SBDS SOLO BRANDS INC 1,091 $7K NEW
6996 SOLOWIN HOLDINGS 1,603 $7K NEW
6997 WISE THEMES ETF TR 168 $7K NEW
6998 EQRR PROSHARES TR 101 $7K NEW
6999 FFGX FIDELITY COVINGTON TRUST 214 $7K NEW
7000 CGCV CAPITAL GROUP CONSERVATIVE E 213 $6K NEW
7001 NAKA KINDLY MD INC Healthcare 18,450 $6K NEW
7002 SPYC SIMPLIFY EXCHANGE TRADED FUN 151 $6K NEW
7003 FDV FEDERATED HERMES ETF TRUST 226 $6K NEW
7004 GVLU TIDAL TRUST I 262 $6K NEW
7005 MAXI SIMPLIFY EXCHANGE TRADED FUN 450 $6K NEW
7006 YJUN FIRST TR EXCHNG TRADED FD VI 249 $6K NEW
7007 XTOC INNOVATOR ETFS TRUST 190 $6K NEW
7008 YJ YUNJI INC Consumer Cyclical 5,379 $6K NEW
7009 TAIL CAMBRIA ETF TR 551 $6K NEW
7010 PHIO PHIO PHARMACEUTICALS CORP Healthcare 6,000 $6K NEW
7011 CVV CVD EQUIP CORP Industrials 2,035 $6K NEW
7012 CMMB CHEMOMAB THERAPEUTICS LTD Healthcare 3,775 $6K NEW
7013 CONNECT BIOPHARMA HLDGS LTD 2,209 $6K NEW
7014 IAPR INNOVATOR ETFS TRUST 200 $6K NEW
7015 TFPN TIDAL TRUST II 239 $6K NEW
7016 NEOS ETF TRUST 196 $6K NEW
7017 PODC PODCASTONE INC Communication Services 2,474 $6K NEW
7018 RF ACQUISITION CORP II 564 $6K NEW
7019 LPCN LIPOCINE INC NEW Healthcare 751 $6K NEW
7020 BUCK SIMPLIFY EXCHANGE TRADED FUN 252 $6K NEW
7021 RWTQ REDWOOD TRUST INC Financial Services 6,000 $6K NEW
7022 TPST TEMPEST THERAPEUTICS INC Healthcare 2,058 $6K NEW
7023 WVVI WILLAMETTE VY VINEYARD INC Consumer Defensive 1,925 $6K NEW
7024 BNDC FLEXSHARES TR 261 $6K NEW
7025 BUXX EA SERIES TRUST 289 $6K NEW
7026 CRWS CROWN CRAFTS INC Consumer Cyclical 2,103 $6K NEW
7027 PXLW PIXELWORKS INC Technology 916 $6K NEW
7028 NE NOBLE CORP PLC Energy 332 $6K NEW
7029 NEWBURY STR II ACQUISITION C 558 $6K NEW
7030 NBOS NEUBERGER BERMAN ETF TRUST 213 $6K NEW
7031 HOLO MICROCLOUD HOLOGRAM INC Technology 2,197 $6K NEW
7032 SNAP SNAP INC Communication Services 6,000 $6K NEW
7033 WFCF WHERE FOOD COMES FROM INC Technology 500 $6K NEW
7034 YMAX TIDAL TRUST II 570 $6K NEW
7035 RSSS RESEARCH SOLUTIONS INC Technology 1,932 $6K NEW
7036 CUE CUE BIOPHARMA INC Healthcare 18,594 $6K NEW
7037 AEMD AETHLON MED INC Healthcare 2,047 $6K NEW
7038 NYAX NAYAX LTD Technology 112 $6K NEW
7039 OMAH TIDAL TRUST III 301 $6K NEW
7040 BODI THE BEACHBODY COMPANY INC Communication Services 536 $6K NEW
7041 AIOO AIM ETF PRODUCTS TRUST 216 $6K NEW
7042 FNGR FINGERMOTION INC Communication Services 4,500 $6K NEW
7043 ETHW BITWISE ETHEREUM ETF Financial Services 260 $6K NEW
7044 ELUT ELUTIA INC Healthcare 7,971 $6K NEW
7045 RFDA ALPS ETF TR 86 $6K NEW
7046 BSMY INVESCO EXCH TRD SLF IDX FD 222 $5K NEW
7047 CAPE DOUBLELINE ETF TRUST 168 $5K NEW
7048 YTRA YATRA ONLINE INC Consumer Cyclical 3,038 $5K NEW
7049 AA MISSION ACQUISITION CORP 500 $5K NEW
7050 CHGG CHEGG INC Consumer Defensive 6,000 $5K NEW
7051 TCRT ALAUNOS THERAPEUTICS INC Healthcare 1,647 $5K NEW
7052 YETH ROUNDHILL ETF TRUST 300 $5K NEW
7053 LINK INTERLINK ELECTRS INC Technology 1,351 $5K NEW
7054 EXACT SCIENCES CORP 5,000 $5K NEW
7055 QCAP FIRST TR EXCHNG TRADED FD VI 220 $5K NEW
7056 DADS TIDAL TRUST I 274 $5K NEW
7057 ONE AND ONE GREEN TECHNOLOGI 1,000 $5K NEW
7058 DFAR DIMENSIONAL ETF TRUST 226 $5K NEW
7059 REFR RESEARCH FRONTIERS INC Technology 3,935 $5K NEW
7060 BLZR TRAILBLAZER ACQUISITION CORP Financial Services 500 $5K NEW
7061 VAMO CAMBRIA ETF TR 150 $5K NEW
7062 PABU ISHARES TR 70 $5K NEW
7063 HDMV FIRST TR EXCH TRADED FD III 143 $5K NEW
7064 STG SUNLANDS TECHNOLOGY GROUP Consumer Defensive 855 $5K NEW
7065 EEFT EURONET WORLDWIDE INC Technology 6,000 $5K NEW
7066 WLAC WILLOW LANE ACQUISITION CORP Financial Services 400 $5K NEW
7067 AVMU AMERICAN CENTY ETF TR 108 $5K NEW
7068 IGC IGC PHARMA INC Healthcare 17,707 $5K NEW
7069 WIMI WIMI HOLOGRAM CLOUD INC Communication Services 2,100 $5K NEW
7070 IDX VANECK ETF TRUST 301 $5K NEW
7071 XHYE BONDBLOXX ETF TRUST 127 $5K NEW
7072 PSQO PALMER SQUARE FUNDS TRUST 236 $5K NEW
7073 AFMC FIRST TR EXCHNG TRADED FD VI 140 $5K NEW
7074 DISH 3.375 08/15/26 DISH NETWORK CORPORATION 5,000 $5K NEW
7075 SNGX SOLIGENIX INC Healthcare 3,592 $5K NEW
7076 ZDEK INNOVATOR ETFS TRUST 185 $5K NEW
7077 AJUL INNOVATOR ETFS TRUST 163 $5K NEW
7078 XSHD INVESCO EXCH TRADED FD TR II 367 $5K NEW
7079 IBO IMPACT BIOMEDICAL INC Healthcare 9,266 $5K NEW
7080 ZJUL INNOVATOR ETFS TRUST 161 $5K NEW
7081 AOCT INNOVATOR ETFS TRUST 176 $5K NEW
7082 FLAX FRANKLIN TEMPLETON ETF TR 157 $5K NEW
7083 JEMB JANUS DETROIT STR TR 86 $5K NEW
7084 EM SMART SH GLOBAL LTD Consumer Cyclical 3,922 $5K NEW
7085 CBON VANECK ETF TRUST 200 $5K NEW
7086 SABS SAB BIOTHERAPEUTICS INC Healthcare 146,439 $5K NEW
7087 FTOH PUTNAM ETF TRUST 543 $5K NEW
7088 ABOT ABACUS FCF ETF TR 115 $5K NEW
7089 RSSB TIDAL TRUST II 161 $5K NEW
7090 GREE GREENIDGE GENERATION HLDGS I Financial Services 3,040 $4K NEW
7091 ZTEK ZENTEK LTD Healthcare 7,000 $4K NEW
7092 JX LUXVENTURE GROUP INC 745 $4K NEW
7093 OSTIN TECHNOLOGY GROUP CO LT 2,629 $4K NEW
7094 RAIN RAIN ENHANCEMENT TECHNOLOGIE Utilities 750 $4K NEW
7095 CING CINGULATE INC Healthcare 1,000 $4K NEW
7096 TRTY CAMBRIA ETF TR 152 $4K NEW
7097 KHYB KRANESHARES TRUST 176 $4K NEW
7098 GRAF GRAF GLOBAL CORP Financial Services 400 $4K NEW
7099 CDLX CARDLYTICS INC Communication Services 3,727 $4K NEW
7100 CYN CYNGN INC Technology 1,800 $4K NEW
7101 FTAG FIRST TR EXCHANGE TRADED FD 158 $4K NEW
7102 PRT PERMROCK ROYALTY TRUST Energy 1,466 $4K NEW
7103 SEED ORIGIN AGRITECH LIMITED Basic Materials 3,670 $4K NEW
7104 FLN FIRST TR EXCH TRD ALPHDX FD 178 $4K NEW
7105 AAPG ASCENTAGE PHARMA GROUP INTL Healthcare 153 $4K NEW
7106 PPBT PURPLE BIOTECH LTD Healthcare 6,091 $4K NEW
7107 NCTY THE9 LTD Technology 627 $4K NEW
7108 EQV VENTURES AC CORP. II 398 $4K NEW
7109 ARKR ARK RESTAURANTS CORP Consumer Cyclical 594 $4K NEW
7110 AMDL GRANITESHARES ETF TR 254 $4K NEW
7111 GWH ESS TECH INC Industrials 2,087 $4K NEW
7112 SYPR SYPRIS SOLUTIONS INC Consumer Cyclical 1,600 $4K NEW
7113 BCDA BIOCARDIA INC Healthcare 3,105 $4K NEW
7114 FLNT FLUENT INC Communication Services 1,602 $4K NEW
7115 GYRO GYRODYNE LLC Real Estate 426 $4K NEW
7116 PDSB PDS BIOTECHNOLOGY CORP Healthcare 4,922 $4K NEW
7117 INCR INTERCURE LTD Healthcare 4,163 $4K NEW
7118 AIS TIDAL TRUST III 100 $4K NEW
7119 SIMS SPDR SERIES TRUST 89 $4K NEW
7120 GSEP FIRST TR EXCHNG TRADED FD VI 97 $4K NEW
7121 FCLD FIDELITY COVINGTON TRUST 125 $4K NEW
7122 CAMX ADVISORS INNER CIRCLE FD 118 $4K NEW
7123 EMBX VANECK FDS 73 $4K NEW
7124 HECLA MNG CO 51 $4K NEW
7125 SNT SENSTAR TECHNOLOGIES CORP Industrials 760 $4K NEW
7126 YD BIO LTD 299 $4K NEW
7127 XJUL FIRST TR EXCHNG TRADED FD VI 92 $4K NEW
7128 LONA ATHIRA PHARMA INC Healthcare 470 $4K NEW
7129 MSTR STRATEGY SHS Technology 101 $4K NEW
7130 JZXN JIUZI HOLDINGS INC Consumer Cyclical 2,034 $4K NEW
7131 SLNG STABILIS SOLUTIONS INC Energy 770 $4K NEW
7132 IQSM NEW YORK LIFE INVESTMENTS ET 100 $3K NEW
7133 LDEM ISHARES TR 59 $3K NEW
7134 HUADI INTERNATIONAL GRP CO L 3,076 $3K NEW
7135 SIM GRUPO SIMEC SAB DE C V Basic Materials 115 $3K NEW
7136 KI2 THE BRAND HOUSE COLLECTIVE I 3,118 $3K NEW
7137 BNGO BIONANO GENOMICS INC Healthcare 2,224 $3K NEW
7138 CORZZ CORE SCIENTIFIC INC NEW 233 $3K NEW
7139 WBX WALLBOX NV Technology 1,446 $3K NEW
7140 HTOO FUSION FUEL GREEN PLC Utilities 1,015 $3K NEW
7141 FMAY FIRST TR EXCHNG TRADED FD VI 63 $3K NEW
7142 SFYX TIDAL TRUST I 205 $3K NEW
7143 WPRT WESTPORT FUEL SYSTEMS INC Consumer Cyclical 2,123 $3K NEW
7144 GTIM GOOD TIMES RESTAURANTS INC Consumer Cyclical 2,735 $3K NEW
7145 UAVS AGEAGLE AERIAL SYS INC NEW Technology 4,044 $3K NEW
7146 XFIV BONDBLOXX ETF TRUST 66 $3K NEW
7147 EDSA EDESA BIOTECH INC Healthcare 2,300 $3K NEW
7148 NTWK NETSOL TECHNOLOGIES INC Technology 1,075 $3K NEW
7149 FEMR FIDELITY COVINGTON TRUST 100 $3K NEW
7150 VPLS VANGUARD MALVERN FDS 41 $3K NEW
7151 SKYE SKYE BIOSCIENCE INC Healthcare 4,269 $3K NEW
7152 MURANO GLOBAL INVTS PLC 121,600 $3K NEW
7153 PMAR INNOVATOR ETFS TRUST 71 $3K NEW
7154 RLYB RALLYBIO CORP Healthcare 4,640 $3K NEW
7155 BJUN INNOVATOR ETFS TRUST 68 $3K NEW
7156 QRHC QUEST RESOURCE HLDG CORP Industrials 1,701 $3K NEW
7157 CULP CULP INC Consumer Cyclical 884 $3K NEW
7158 CATO CATO CORP NEW Consumer Cyclical 1,007 $3K NEW
7159 MBS ANGEL OAK FUNDS TRUST 354 $3K NEW
7160 NJUN INNOVATOR ETFS TRUST 98 $3K NEW
7161 EDGH ADVISORS INNER CIRCLE FD II 101 $3K NEW
7162 LBAY TIDAL TRUST I 126 $3K NEW
7163 DSMC ETF SER SOLUTIONS 86 $3K NEW
7164 ICECURE MEDICAL LTD CAESAREA 5,000 $3K NEW
7165 IINN INSPIRA TECHNOLOGIES OXY BHN Healthcare 3,380 $3K NEW
7166 BUFB INNOVATOR ETFS TRUST 83 $3K NEW
7167 FFND NORTHERN LTS FD TR II 100 $3K NEW
7168 ZEO ZEO ENERGY CORP Energy 2,756 $3K NEW
7169 BMR BEAMR IMAGING LTD Technology 1,890 $3K NEW
7170 NAUG INNOVATOR ETFS TRUST 100 $3K NEW
7171 RMTI ROCKWELL MED INC Healthcare 3,542 $3K NEW
7172 CWS ADVISORSHARES TR 42 $3K NEW
7173 QMAG FIRST TR EXCHNG TRADED FD VI 124 $3K NEW
7174 ICG INTCHAINS GROUP LTD Technology 1,629 $3K NEW
7175 UONEK URBAN ONE INC Communication Services 2,795 $3K NEW
7176 JULW AIM ETF PRODUCTS TRUST 73 $3K NEW
7177 COEPTIS THERAPEUTICS HLDGS I 200 $3K NEW
7178 PBBK PB BANKSHARES INC 134 $3K NEW
7179 EUO PROSHARES TR II Financial Services 100 $3K NEW
7180 QDEC FIRST TR EXCHNG TRADED FD VI 87 $3K NEW
7181 WCBR WISDOMTREE TR 101 $3K NEW
7182 FITE SPDR SERIES TRUST 32 $3K NEW
7183 NE NOBLE CORP PLC Energy 331 $3K NEW
7184 ALLW SSGA ACTIVE TR 100 $3K NEW
7185 METALPHA TECHN HOLDING LTD 1,300 $3K NEW
7186 RVP RETRACTABLE TECHNOLOGIES INC Healthcare 3,530 $3K NEW
7187 HYDR GLOBAL X FDS 85 $3K NEW
7188 SLNZ TCW ETF TRUST 58 $3K NEW
7189 NERD LISTED FDS TR 110 $3K NEW
7190 LIVE LIVE VENTURES INC Consumer Cyclical 180 $3K NEW
7191 VNTG VANTAGE CORP Industrials 3,029 $3K NEW
7192 MNOV MEDICINOVA INC Healthcare 2,000 $3K NEW
7193 TELA TELA BIO INC Healthcare 2,219 $3K NEW
7194 EBANG INTL HLDGS INC 848 $3K NEW
7195 OPTX SYNTEC OPTICS HLDGS INC Technology 903 $3K NEW
7196 FDIF FIDELITY COVINGTON TRUST 72 $3K NEW
7197 AUID AUTHID INC Technology 2,941 $3K NEW
7198 FMET FIDELITY COVINGTON TRUST 71 $3K NEW
7199 ONECONSTRUCTION GROUP LTD 2,000 $3K NEW
7200 XOS XOS INC Industrials 1,408 $3K NEW
7201 GVA 3.75 05/15/28 GRANITE CONSTR INC 1,000 $3K NEW
7202 PEX PROSHARES TR 102 $3K NEW
7203 BBBS BONDBLOXX ETF TRUST 49 $3K NEW
7204 EMHC SPDR SERIES TRUST 98 $3K NEW
7205 LVWR LIVEWIRE GROUP INC Consumer Cyclical 40,000 $3K NEW
7206 UBS UBS AG Financial Services 25 $2K NEW
7207 RINF PROSHARES TR 77 $2K NEW
7208 AKA A K A BRANDS HLDG CORP Consumer Cyclical 226 $2K NEW
7209 HIPS GRANITESHARES ETF TR 206 $2K NEW
7210 OPTT OCEAN PWR TECHNOLOGIES INC Industrials 8,000 $2K NEW
7211 BRNS BARINTHUS BIOTHERAPEUTICS PL Healthcare 3,406 $2K NEW
7212 CORZW CORE SCIENTIFIC INC NEW 279 $2K NEW
7213 GMHS GAMEHAUS HOLDINGS INC Technology 2,482 $2K NEW
7214 SPTB SPDR SERIES TRUST 77 $2K NEW
7215 BTAI BIOXCEL THERAPEUTICS INC Healthcare 1,464 $2K NEW
7216 RMCF ROCKY MTN CHOCOLATE FACTORY Consumer Defensive 1,225 $2K NEW
7217 ADXN ADDEX THERAPEUTICS LTD Healthcare 300 $2K NEW
7218 FSEC FIDELITY MERRIMACK STR TR 52 $2K NEW
7219 LNAI LUNAI BIOWORKS INC Healthcare 2,614 $2K NEW
7220 SMART DIGITAL GROUP LTD 1,238 $2K NEW
7221 BLCN SIREN ETF TR 95 $2K NEW
7222 XSVN BONDBLOXX ETF TRUST 47 $2K NEW
7223 SIXO AIM ETF PRODUCTS TRUST 65 $2K NEW
7224 NEMD NEUBERGER BERMAN ETF TRUST 43 $2K NEW
7225 SQFT PRESIDIO PPTY TR INC Real Estate 667 $2K NEW
7226 RNRG GLOBAL X FDS 66 $2K NEW
7227 KRSP RICE ACQUISITION CORP 3 Financial Services 207 $2K NEW
7228 INDONESIA ENERGY CORP LTD 740 $2K NEW
7229 AHT ASHFORD HOSPITALITY TR INC Real Estate 507 $2K NEW
7230 UONEK URBAN ONE INC Communication Services 2,500 $2K NEW
7231 SOBR SOBR SAFE INC Technology 1,001 $2K NEW
7232 CHECK CAP LTD 1,311 $2K NEW
7233 MFDX PIMCO EQUITY SER 54 $2K NEW
7234 DTCX DATACENTREX INC Technology 757 $2K NEW
7235 HTAB HARTFORD FDS EXCHANGE TRADED 108 $2K NEW
7236 JULJ INNOVATOR ETFS TRUST 83 $2K NEW
7237 CCEL CRYO-CELL INTL INC Healthcare 601 $2K NEW
7238 AIMEI HEALTH TECHNOLOGY CO L 32 $2K NEW
7239 AIRG AIRGAIN INC Technology 500 $2K NEW
7240 ETSY ETSY INC Consumer Cyclical 2,000 $2K NEW
7241 XTRE BONDBLOXX ETF TRUST 40 $2K NEW
7242 NCPL NETCAPITAL INC Financial Services 3,007 $2K NEW
7243 DWTX DOGWOOD THERAPEUTICS INC Healthcare 477 $2K NEW
7244 VTEI VANGUARD MUN BD FDS 19 $2K NEW
7245 FHDG FIRST TR EXCHNG TRADED FD VI 58 $2K NEW
7246 JBLU JETBLUE AIRWAYS CORP Industrials 2,000 $2K NEW
7247 VALARIS LTD 1,106 $2K NEW
7248 BWET AMPLIFY COMMODITY TRUST Financial Services 100 $2K NEW
7249 YLD PRINCIPAL EXCHANGE TRADED FD 101 $2K NEW
7250 EHLD EUROHOLDINGS LTD Industrials 282 $2K NEW
7251 ITERUM THERAPEUTICS PLC 5,713 $2K NEW
7252 YCL PROSHARES TR II Financial Services 100 $2K NEW
7253 XBB BONDBLOXX ETF TRUST 46 $2K NEW
7254 FIGB FIDELITY MERRIMACK STR TR 43 $2K NEW
7255 DFLI DRAGONFLY ENERGY HOLDINGS CO Industrials 608 $2K NEW
7256 ZDGE ZEDGE INC Communication Services 569 $2K NEW
7257 BKDV BNY MELLON ETF TRUST II 64 $2K NEW
7258 ZHENGYE BIOTECHNOLOGY HLDG L 1,607 $2K NEW
7259 WDTE TIDAL TRUST II 58 $2K NEW
7260 VATE INNOVATE CORP Industrials 408 $2K NEW
7261 CHAI CORE AI HOLDINGS INC Financial Services 1,125 $2K NEW
7262 BGLD FIRST TR EXCHANGE-TRADED FD 106 $2K NEW
7263 FISK EMPIRE ST RLTY OP L P 300 $2K NEW
7264 LTRN LANTERN PHARMA INC Healthcare 601 $2K NEW
7265 LPSN LIVEPERSON INC Technology 465 $2K NEW
7266 DABS DOUBLELINE ETF TRUST 35 $2K NEW
7267 LSF LAIRD SUPERFOOD INC Consumer Defensive 801 $2K NEW
7268 QNTM QUANTUM BIOPHARMA LTD Healthcare 243 $2K NEW
7269 CORN TEUCRIUM COMMODITY TR Financial Services 100 $2K NEW
7270 SMX SEC MATTERS PLC 108 $2K NEW
7271 PCMM BONDBLOXX ETF TRUST 35 $2K NEW
7272 FJET STARFIGHTERS SPACE INC Industrials 150 $2K NEW
7273 NCSM NCS MULTISTAGE HLDGS INC Energy 44 $2K NEW
7274 SST SYSTEM1 INC Industrials 439 $2K NEW
7275 CLDI CALIDI BIOTHERAPEUTICS INC Healthcare 1,467 $2K NEW
7276 QIS SIMPLIFY EXCHANGE TRADED FUN 115 $2K NEW
7277 XSEP FIRST TR EXCHNG TRADED FD VI 40 $2K NEW
7278 FSYD FIDELITY COVINGTON TRUST 34 $2K NEW
7279 XPL SOLITARIO RESOURCES CORP Basic Materials 2,419 $2K NEW
7280 KJUN INNOVATOR ETFS TRUST 60 $2K NEW
7281 DRUGS MADE IN AMER ACQ II CO 169 $2K NEW
7282 SURG SURGEPAYS INC Technology 1,000 $2K NEW
7283 JAYUD GLOBAL LOGISTICS LTD 333 $2K NEW
7284 HYIN WISDOMTREE TR 102 $2K NEW
7285 FLSA FRANKLIN TEMPLETON ETF TR 51 $2K NEW
7286 GIG GIGCAPITAL7 CORP Financial Services 153 $2K NEW
7287 MOLN MOLECULAR PARTNERS AG Healthcare 367 $2K NEW
7288 CTXR CITIUS PHARMACEUTICALS INC Healthcare 2,032 $2K NEW
7289 AVMV AMERICAN CENTY ETF TR 22 $2K NEW
7290 GCTS/WS GCT SEMICONDUCTOR HLDG INC 20,734 $2K NEW
7291 STI SOLIDION TECHNOLOGY INC Industrials 220 $2K NEW
7292 YCBD CBDMD INC Healthcare 1,139 $2K NEW
7293 CBAT CBAK ENERGY TECHNOLOGY INC Industrials 1,834 $2K NEW
7294 MAIA MAIA BIOTECHNOLOGY INC Healthcare 1,000 $2K NEW
7295 SFYF TIDAL TRUST I 26 $2K NEW
7296 MLSS MILESTONE SCIENTIFIC INC Healthcare 5,511 $2K NEW
7297 CLRB CELLECTAR BIOSCIENCES INC Healthcare 510 $2K NEW
7298 HYPD HYPERION DEFI INC Healthcare 419 $1K NEW
7299 ALTISOURCE PORTFOLIO SOLUTIO 3,570 $1K NEW
7300 CISO CISO GLOBAL INC Technology 3,021 $1K NEW
7301 LFWD LIFEWARD LTD Healthcare 2,502 $1K NEW
7302 WLDS WEARABLE DEVICES LTD Technology 1,254 $1K NEW
7303 INTG INTERGROUP CORP Consumer Cyclical 50 $1K NEW
7304 AQMS AQUA METALS INC Industrials 295 $1K NEW
7305 BAFN BAYFIRST FINANCIAL CORP Financial Services 179 $1K NEW
7306 BGI BIRKS GROUP INC Consumer Cyclical 1,562 $1K NEW
7307 DJTWW TRUMP MEDIA & TECHNOLOGY GRO 200 $1K NEW
7308 MONEYHERO LIMITED 1,112 $1K NEW
7309 OSTX OS THERAPIES INCORPORATED Healthcare 1,000 $1K NEW
7310 EMCB WISDOMTREE TR 21 $1K NEW
7311 XBP XBP GLOBAL HOLDINGS INC Technology 205 $1K NEW
7312 CHURCHILL CAPITAL CORP IX 130 $1K NEW
7313 DRCT DIRECT DIGITAL HOLDINGS INC Communication Services 21,058 $1K NEW
7314 DECM FIRST TR EXCHNG TRADED FD VI 41 $1K NEW
7315 ARCHIMEDES TECH SPAC PARTNER 130 $1K NEW
7316 BTOC ARMLOGI HOLDING CORP Industrials 2,542 $1K NEW
7317 EWUS ISHARES TR 31 $1K NEW
7318 MTR MESA RTY TR Energy 302 $1K NEW
7319 REPUBLIC DIGITAL ACQUISITION 129 $1K NEW
7320 NEW PROVIDENCE ACQUISITION C 127 $1K NEW
7321 QBUL ELEVATION SERIES TRUST 54 $1K NEW
7322 AGRICULTURE & NAT SOL ACQ CO 114 $1K NEW
7323 K&F GROWTH ACQUISITION CORP 123 $1K NEW
7324 FBY TIDAL TRUST II 100 $1K NEW
7325 DRUGS MADE IN AMER ACQUTN CO 121 $1K NEW
7326 CANTOR EQUITY PARTNERS IV IN 122 $1K NEW
7327 KORE KORE GROUP HLDGS INC Communication Services 296 $1K NEW
7328 XWEL XWELL INC Consumer Cyclical 2,701 $1K NEW
7329 AIRI AIR INDS GROUP Industrials 400 $1K NEW
7330 SYBX SYNLOGIC INC Healthcare 1,095 $1K NEW
7331 VFMF VANGUARD WELLINGTON FD 8 $1K NEW
7332 VRME VERIFYME INC Industrials 2,000 $1K NEW
7333 DISTOKEN ACQUISITION CORP 10,000 $1K NEW
7334 PEXL PACER FDS TR 19 $1K NEW
7335 ALTISOURCE PORTFOLIO SOLUTIO 3,587 $1K NEW
7336 ZNB ZETA NETWORK GROUP Communication Services 2,035 $1K NEW
7337 FRPT FRESHPET INC Consumer Defensive 1,000 $1K NEW
7338 PSQH PSQ HOLDINGS INC Technology 1,129 $1K NEW
7339 LANVIN GROUP HOLDINGS LIMITE 100,000 $1K NEW
7340 INKT MINK THERAPEUTICS INC Healthcare 104 $1K NEW
7341 EMET VANECK ETF TRUST 31 $1K NEW
7342 CWD CALIBERCOS INC Financial Services 904 $1K NEW
7343 GUARDFORCE AI CO LTD 2,000 $1K NEW
7344 FEDU FOUR SEASONS ED CAYMAN INC Consumer Defensive 101 $1K NEW
7345 SEPU AIM ETF PRODUCTS TRUST 38 $1K NEW
7346 SSO PROSHARES TR 18 $1K NEW
7347 FLORA GROWTH CORP 174 $1K NEW
7348 IWMI NEOS ETF TRUST 22 $1K NEW
7349 EFOI ENERGY FOCUS INC Consumer Cyclical 463 $1K NEW
7350 PAVM PAVMED INC Healthcare 4,826 $1K NEW
7351 CSAI CLOUDASTRUCTURE INC Technology 1,313 $1K NEW
7352 NINE NINE ENERGY SERVICE INC Energy 3,048 $1K NEW
7353 RDTL GRANITESHARES ETF TR 21 $1K NEW
7354 RPTX REPARE THERAPEUTICS INC 404 $1K NEW
7355 LPAA LAUNCH ONE ACQUISITION CORP Financial Services 99 $1K NEW
7356 SIMA SIM ACQUISITION CORP. I Financial Services 99 $1K NEW
7357 CENNTRO INC 7,664 $1K NEW
7358 LPBB LAUNCH TWO ACQUISITION CORP. Financial Services 99 $1K NEW
7359 ROMAN DBDR ACQUISITION CORP 99 $1K NEW
7360 LYRA LYRA THERAPEUTICS INC Healthcare 334 $1K NEW
7361 LIVE OAK ACQUISITION CORP V 99 $1K NEW
7362 PRPL PURPLE INNOVATION INC Consumer Cyclical 1,471 $1K NEW
7363 WEN ACQUISITION CORP 100 $1K NEW
7364 XTLB XTL BIOPHARMACEUTICALS LTD Healthcare 1,740 $1K NEW
7365 IVDA IVEDA SOLUTIONS INC Industrials 1,200 $1K NEW
7366 KEMX KRANESHARES TRUST 26 $996 NEW
7367 PARK HA BIOLOGICAL TECH CO L 6,263 $996 NEW
7368 ZJK INDL CO. LTD. 496 $992 NEW
7369 POLE ANDRETTI ACQUISITION CORP II Financial Services 94 $988 NEW
7370 FIFTH ERA ACQUISITION CORP I 96 $988 NEW
7371 PENN PENN ENTERTAINMENT INC Consumer Cyclical 1,000 $988 NEW
7372 MLAC MOUNTAIN LAKE ACQUISITION CO Financial Services 94 $978 NEW
7373 ELBM ELECTRA BATTERY MATERIALS CO Basic Materials 1,222 $978 NEW
7374 AIM AIM IMMUNOTECH INC Healthcare 864 $976 NEW
7375 CANE TEUCRIUM COMMODITY TR Financial Services 100 $976 NEW
7376 CUB LIONHEART HOLDINGS Financial Services 91 $967 NEW
7377 ALDEL FINL II INC 92 $965 NEW
7378 INFLECTION POINT ACQUISITION 90 $965 NEW
7379 ZENVIA INC 1,000 $963 NEW
7380 DECU AIM ETF PRODUCTS TRUST 35 $959 NEW
7381 ARTIUS II ACQUISITION INC 93 $958 NEW
7382 VACH VOYAGER ACQUISITION CORP Financial Services 89 $950 NEW
7383 RNXT RENOVORX INC Healthcare 1,121 $942 NEW
7384 NXTC NEXTCURE INC Healthcare 66 $937 NEW
7385 COCP COCRYSTAL PHARMA INC Healthcare 948 $928 NEW
7386 FLUX FLUX PWR HLDGS INC Industrials 730 $927 NEW
7387 NVNO ENVVENO MEDICAL CORPORATION Healthcare 2,874 $922 NEW
7388 M3-BRIGADE ACQUISITION VI CO 92 $920 NEW
7389 BLUE GOLD LTD 478 $918 NEW
7390 APXT APEX TREAS CORP Financial Services 92 $910 NEW
7391 BEAG BOLD EAGLE ACQUISITION CORP Financial Services 86 $910 NEW
7392 PRM PERIMETER ACQUISITION CORP I Basic Materials 87 $894 NEW
7393 ZOOZ ZOOZ STRATEGY LTD Industrials 22,246 $888 NEW
7394 CRANE HBR ACQUISITION CORP 82 $883 NEW
7395 XTNT XTANT MED HLDGS INC Healthcare 1,125 $882 NEW
7396 INFLECTION PT ACQUISITION CO 87 $882 NEW
7397 OYSTER ENTERPRISES II ACQUIS 87 $877 NEW
7398 TEXAS VENTURES ACQUISITION I 82 $873 NEW
7399 CAL REDWOOD ACQUISITION CORP 86 $869 NEW
7400 CSNR COHEN & STEERS ETF TRUST 28 $864 NEW
7401 VINE HILL CAP INVT CORP. 80 $862 NEW
7402 GENIUS GROUP LTD 1,500 $862 NEW
7403 SZZL SIZZLE ACQUISITION CORP. II Financial Services 84 $853 NEW
7404 NEWHOLD INVT CORP III 82 $850 NEW
7405 JTAI JET AI INC Technology 1,451 $850 NEW
7406 GPAT GP-ACT III ACQUISITION CORP Financial Services 79 $845 NEW
7407 ANBIO BIOTECHNOLOGY 28 $842 NEW
7408 ALF CENTURION ACQUISITION CORP Financial Services 79 $841 NEW
7409 PCAP PROCAP ACQUISITION CORP Financial Services 83 $841 NEW
7410 UPLD UPLAND SOFTWARE INC Technology 588 $841 NEW
7411 M3BRIGADE ACQUISITION V CORP 79 $840 NEW
7412 FLAU FRANKLIN TEMPLETON ETF TR 26 $839 NEW
7413 REALPHA TECH CORP 2,000 $834 NEW
7414 COE 51TALK ONLINE EDUCATION GROU Technology 26 $830 NEW
7415 LOCL LOCAL BOUNTI CORP Consumer Defensive 385 $824 NEW
7416 CGCT CARTESIAN GROWTH CORP III Financial Services 80 $824 NEW
7417 TACH TITAN ACQUISITION CORP Financial Services 80 $820 NEW
7418 A SPAC III ACQUISITION CORP 34 $796 NEW
7419 MIXED MARTIAL ARTS GROUP LTD 700 $784 NEW
7420 AWRE AWARE INC MASS Technology 423 $784 NEW
7421 D. BORAL ARC ACQ I CORP. 78 $782 NEW
7422 DJAN FIRST TR EXCHNG TRADED FD VI 18 $781 NEW
7423 PY PRINCIPAL EXCHANGE TRADED FD 14 $779 NEW
7424 SMCO TIDAL TRUST II 29 $777 NEW
7425 SNAV COLLABORATIVE INVESTMNT SER 22 $769 NEW
7426 PAPL PINEAPPLE FINANCIAL INC Financial Services 539 $760 NEW
7427 RKLX TIDAL TRUST II 19 $756 NEW
7428 MOTG VANECK ETF TRUST 19 $753 NEW
7429 ENERGYS GROUP LTD 881 $750 NEW
7430 AEC ANFIELD ENERGY INC Basic Materials 145 $744 NEW
7431 MGRX MANGOCEUTICALS INC Healthcare 1,000 $740 NEW
7432 MSFL GRANITESHARES ETF TR 27 $734 NEW
7433 GEN GEN DIGITAL INC Technology 162 $732 NEW
7434 BLZR TRAILBLAZER ACQUISITION CORP Financial Services 73 $731 NEW
7435 SPRO SPERO THERAPEUTICS INC Healthcare 313 $729 NEW
7436 CXAI CXAPP INC Technology 2,191 $728 NEW
7437 BITS GLOBAL X FDS 11 $716 NEW
7438 BLUE WTR ACQUISITION CORP. I 69 $712 NEW
7439 APPX INVESTMENT MANAGERS SER TR I 20 $709 NEW
7440 COHEN CIRCLE ACQUISIT CORP I 69 $707 NEW
7441 NAAS NAAS TECHNOLOGY INC Consumer Cyclical 209 $706 NEW
7442 KOCHAV DEFENSE ACQUI CO 69 $700 NEW
7443 THAYER VENTURES ACQ CORP II 69 $698 NEW
7444 CANTOR EQUITY PARTNERS V INC 68 $697 NEW
7445 BTC DEV CORP 69 $691 NEW
7446 SCOR COMSCORE INC Communication Services 106 $689 NEW
7447 TALON CAP CORP 68 $687 NEW
7448 OXLEY BRIDGE ACQ LTD 67 $675 NEW
7449 NWTG NEWTON GOLF COMPANY INC Consumer Cyclical 450 $675 NEW
7450 HCM III ACQUISITION CORP 67 $673 NEW
7451 PACH PIONEER ACQUISITION I CORP Financial Services 67 $673 NEW
7452 GSHR GESHER ACQUISITION CORP. II Financial Services 65 $667 NEW
7453 GAUZY LTD 512 $660 NEW
7454 RVSN RAIL VISION LTD Industrials 2,016 $653 NEW
7455 IBAC IB ACQUISITION CORP Financial Services 62 $651 NEW
7456 MACI MELAR ACQUISITION CORP. I Financial Services 61 $648 NEW
7457 STELLAR V CAP CORP 62 $643 NEW
7458 RANGE CAP ACQUISITION CORP 61 $636 NEW
7459 EVOLUTION GLOBAL ACQUISITION 64 $632 NEW
7460 HIGHVIEW MERGER CORP 63 $630 NEW
7461 OTG ACQUISITION CORP. I 63 $630 NEW
7462 GSR IV ACQUISITION CORP 63 $629 NEW
7463 CSLM DIGITA ASSET ACQ CORP I 63 $627 NEW
7464 RANGE CAP ACQUISITION CORP I 63 $627 NEW
7465 USBC USBC INC. Technology 986 $626 NEW
7466 SPRING VY ACQUISITION CORP I 61 $619 NEW
7467 DSX DIANA SHIPPING INC Industrials 7,534 $619 NEW
7468 STCE SCHWAB STRATEGIC TR 10 $616 NEW
7469 PSNYW POLESTAR AUTOMOTIVE HLDG UK 96 $612 NEW
7470 KEEN VISION ACQUISITION CORP 52 $611 NEW
7471 TAILWIND 2.0 ACQUISITION COR 62 $611 NEW
7472 TRANSLATIONAL DEV ACQUISITIO 58 $607 NEW
7473 INTJ INTELLIGENT GROUP LIMITED Industrials 1,000 $600 NEW
7474 BKUI BNY MELLON ETF TRUST 11 $595 NEW
7475 SPARK I ACQUISITION CORP 52 $594 NEW
7476 RAAQ REAL ASSET ACQUISITION CORP Financial Services 58 $593 NEW
7477 MAMO MASSIMO GROUP Consumer Cyclical 149 $593 NEW
7478 LWAC LIGHTWAVE ACQUISITION CORP Financial Services 59 $592 NEW
7479 DAAQ DIGITAL ASSET ACQUISITION CO Financial Services 58 $589 NEW
7480 PLMK PLUM ACQUISITION CORP IV Financial Services 56 $584 NEW
7481 FACT FACT II ACQUISITION CORP Financial Services 56 $583 NEW
7482 SMCY TIDAL TRUST II 72 $583 NEW
7483 BITCOIN INFRASTRUCTURE ACQUI 58 $571 NEW
7484 OAKTREE ACQUISITION CORP III 54 $571 NEW
7485 CYPH CYPHERPUNK TECHNOLOGIES INC Healthcare 486 $563 NEW
7486 KPLT KATAPULT HOLDINGS INC Technology 87 $562 NEW
7487 BACC BLUE ACQUISITION CORP. Financial Services 55 $562 NEW
7488 BRN BARNWELL INDS INC Energy 503 $559 NEW
7489 A PARADISE ACQUISITION CORP 55 $553 NEW
7490 AXIOM INTELLIGENCE AC CORP 1 55 $553 NEW
7491 FEGE RBB FUND TRUST 12 $552 NEW
7492 HENNESSY CAP INVT CORP VII 53 $549 NEW
7493 DRNZ REX ETF TR 25 $544 NEW
7494 BKHA BLACK HAWK ACQUISITION CORP Financial Services 48 $540 NEW
7495 EDGI ADVISORS INNER CIRCLE FD II 19 $539 NEW
7496 CTRM CASTOR MARITIME INC Industrials 259 $536 NEW
7497 VNME VENDOME ACQUISITION CORP I Financial Services 53 $532 NEW
7498 PGAC PANTAGES CAPITAL ACQUISITION Financial Services 51 $528 NEW
7499 DYNAMIX CORP III 53 $524 NEW
7500 EGH ACQUISITION CORP. 51 $517 NEW
7501 CHAR CHARLTON ARIA ACQUISITION CO Financial Services 49 $513 NEW
7502 HSPT HORIZON SPACE ACQUISITION II Financial Services 48 $506 NEW
7503 FSHP FLAG SHIP ACQUISITION CORP Financial Services 47 $505 NEW
7504 NOEM CO2 ENERGY TRANSITION CORP Financial Services 49 $504 NEW
7505 EPSIUM ENTERPRISE LTD 251 $502 NEW
7506 RDI READING INTL INC Communication Services 471 $495 NEW
7507 UG UNITED GUARDIAN INC Consumer Defensive 79 $487 NEW
7508 GLOBA TERRA ACQUISITION COR 48 $485 NEW
7509 CAYSON ACQUISITION CORP 45 $479 NEW
7510 YHN ACQUISITION I LTD 45 $477 NEW
7511 MCGA YORKVILLE ACQUISITION CORP. Financial Services 47 $476 NEW
7512 SOLARIUS CAPITAL ACQU CORP 47 $472 NEW
7513 MCKINLEY ACQUISITION CORP 47 $469 NEW
7514 ONCH 1RT ACQUISITION CORP. Financial Services 46 $469 NEW
7515 QUHUO LTD 434 $469 NEW
7516 PELICAN ACQUISITION CORP 46 $467 NEW
7517 EUREKA ACQUISITION CORP 42 $459 NEW
7518 TRIB TRINITY BIOTECH PLC Healthcare 580 $459 NEW
7519 CGIB CAPITAL GRP FIXED INCM ETF T 18 $456 NEW
7520 GALATA ACQUISITION CORP II 46 $456 NEW
7521 DYOR INSIGHT DIGITAL PARTNERS II Financial Services 46 $456 NEW
7522 ALCHEMY INVTS ACQUISITN CORP 32 $455 NEW
7523 GP GREENPOWER MTR CO INC Consumer Cyclical 582 $454 NEW
7524 INVEST GREEN ACQUISITION COR 46 $453 NEW
7525 MULL GRANITESHARES ETF TR 5 $448 NEW
7526 DXLG DESTINATION XL GROUP INC Consumer Cyclical 482 $443 NEW
7527 ESHA ESH ACQUISITION CORP Financial Services 23 $441 NEW
7528 RDAC RISING DRAGON ACQUISITION CO Financial Services 43 $422 NEW
7529 VANI VIVANI MEDICAL INC Healthcare 341 $419 NEW
7530 MINT INCORPORATION LTD 1,394 $418 NEW
7531 LKSP LAKE SUPERIOR ACQUISITION CO Financial Services 42 $417 NEW
7532 COLA COLUMBUS ACQUISITION CORP Financial Services 40 $416 NEW
7533 LAFAYETTE ACQUISITION CORP 42 $416 NEW
7534 BDSX BIODESIX INC Healthcare 61 $415 NEW
7535 FIGX CAP ACQUISITION CORP. 41 $412 NEW
7536 PRPH PROPHASE LABS INC Healthcare 919 $411 NEW
7537 SIDU SIDUS SPACE INC Industrials 131 $411 NEW
7538 ASTX INVESTMENT MANAGERS SER TR 10 $409 NEW
7539 SPUU DIREXION SHS ETF TR 2 $407 NEW
7540 YQ 17 ED & TECHNOLOGY GROUP INC Consumer Defensive 112 $401 NEW
7541 SPXU PROSHARES TR 8 $398 NEW
7542 DTSQ DT CLOUD STAR ACQUISITION CO Financial Services 37 $398 NEW
7543 IPOD DUNE ACQUISITION CORP II Financial Services 39 $397 NEW
7544 HYFM HYDROFARM HLDGS GROUP INC Industrials 261 $394 NEW
7545 INAC INDIGO ACQUISITION CORP Financial Services 39 $391 NEW
7546 FVN FUTURE VISION II ACQUISITION Financial Services 37 $390 NEW
7547 TPLC TIMOTHY PLAN 8 $390 NEW
7548 QSEA QUARTZSEA ACQUISITION CORP Financial Services 38 $389 NEW
7549 EMTY PROSHARES TR 31 $388 NEW
7550 HARVARD AVE ACQUISITION CORP 39 $387 NEW
7551 MYSZ MY SIZE INC Technology 509 $386 NEW
7552 CCM CONCORD MED SVCS HLDGS LTD Healthcare 100 $386 NEW
7553 TPSC TIMOTHY PLAN 9 $381 NEW
7554 BAYA BAYVIEW ACQUISITION CORP Financial Services 32 $380 NEW
7555 INFLECTION POINT ACQU CORP V 37 $380 NEW
7556 SHFS SHF HOLDINGS INC Financial Services 10,000 $379 NEW
7557 NCNA NUCANA PLC Healthcare 105 $378 NEW
7558 PRHI PRESURANCE HOLDINGS INC Financial Services 529 $377 NEW
7559 GWAV GREENWAVE TECHNOLOGY SOLUTIO Industrials 72 $377 NEW
7560 RVYL RYVYL INC Technology 2,286 $371 NEW
7561 CODX CO-DIAGNOSTICS INC Healthcare 2,200 $371 NEW
7562 GPUS HYPERSCALE DATA INC Industrials 2,000 $367 NEW
7563 REE REE AUTOMOTIVE LTD Consumer Cyclical 500 $367 NEW
7564 RIBB RIBBON ACQUISITION CORP Financial Services 35 $363 NEW
7565 UYG PROSHARES TR 3 $359 NEW
7566 YI 111 INC Healthcare 140 $358 NEW
7567 GCAL GOLDMAN SACHS ETF TR 7 $356 NEW
7568 LGVN LONGEVERON INC Healthcare 689 $349 NEW
7569 CHENGHE ACQUISITION III CO 35 $349 NEW
7570 AVGE AMERICAN CENTY ETF TR 4 $344 NEW
7571 KALA KALA BIO INC Healthcare 607 $338 NEW
7572 AAPU DIREXION SHS ETF TR 10 $336 NEW
7573 MTNB MATINAS BIOPHARMA HLDGS INC Healthcare 561 $328 NEW
7574 NXTT NEXT TECHNOLOGY HOLDING INC Technology 54 $326 NEW
7575 LCCC LAKESHORE ACQUISITION III CO Financial Services 32 $326 NEW
7576 AYTU AYTU BIOPHARMA INC Healthcare 125 $325 NEW
7577 PZG PARAMOUNT GOLD NEV CORP Basic Materials 257 $325 NEW
7578 NMP NMP ACQUISITION CORP Financial Services 32 $321 NEW
7579 EMIS EMMIS ACQUISITION CORP. Financial Services 32 $318 NEW
7580 CHAMPIONSGATE ACQUISITION CO 31 $316 NEW
7581 CASI PHARMACEUTICALS INC 367 $312 NEW
7582 SILVER PEGASUS ACQUISITION C 31 $312 NEW
7583 CVM CEL-SCI CORP Healthcare 59 $310 NEW
7584 LESL LESLIES INC Consumer Cyclical 187 $309 NEW
7585 PBDC PUTNAM ETF TRUST 9 $304 NEW
7586 QUANTUMSPHERE ACQUISITION CO 30 $300 NEW
7587 SPBC SIMPLIFY EXCHANGE TRADED FUN 6 $299 NEW
7588 UYSC UY SCUTI ACQUISITION CORP. Financial Services 28 $287 NEW
7589 XUSP INNOVATOR ETFS TRUST 6 $285 NEW
7590 DAPP VANECK ETF TRUST 17 $283 NEW
7591 NYC AMERICAN STRATEGIC INVEST CO Real Estate 34 $282 NEW
7592 ZSC USCF ETF TR 10 $280 NEW
7593 UGRO URBAN-GRO INC Industrials 1,000 $280 NEW
7594 GOOX ETF OPPORTUNITIES TRUST 4 $279 NEW
7595 OAKU OAK WOODS ACQUISITION CORP 23 $278 NEW
7596 BLRX BIOLINE RX LIMITED Healthcare 100 $277 NEW
7597 CDIO CARDIO DIAGNOSTICS HOLDGS IN Healthcare 100 $271 NEW
7598 NVNI GROUP LIMITED 100 $265 NEW
7599 CLICK HLDGS LTD 50 $263 NEW
7600 KORU DIREXION SHS ETF TR 1 $260 NEW
7601 AGH AUREUS GREENWAY HLDGS INC Consumer Cyclical 82 $258 NEW
7602 SLE SUPER LEAGUE ENTERPRISE INC Communication Services 417 $255 NEW
7603 WKHS WORKHORSE GROUP INC Consumer Cyclical 50 $254 NEW
7604 ASIA PACIFIC WIRE & CABLE CO 135 $252 NEW
7605 MSC STUDIO CITY INTL HLDGS LTD Consumer Cyclical 70 $249 NEW
7606 UCFI CN HEALTHY FOOD TECH GROUP C Financial Services 45 $248 NEW
7607 ROM PROSHARES TR 2 $246 NEW
7608 BLUE HAT INTERACTIVE ENTMT T 211 $245 NEW
7609 ODV OSISKO DEVELOPMENT CORP Basic Materials 1,333 $240 NEW
7610 BYFC BROADWAY FINL CORP DEL Financial Services 32 $237 NEW
7611 ORIGIN INVT CORP I 23 $233 NEW
7612 NEUP NEUPHORIA THERAPEUTICS INC Healthcare 58 $225 NEW
7613 GLMD GALMED PHARMACEUTICALS LTD Healthcare 298 $224 NEW
7614 ESGG FLEXSHARES TR 1 $222 NEW
7615 GURE GULF RES INC Basic Materials 60 $222 NEW
7616 BTCI NEOS ETF TRUST 5 $220 NEW
7617 ALIS CALISA ACQUISITION CORP Financial Services 22 $218 NEW
7618 SLAI SOLAI LIMITED Technology 323 $217 NEW
7619 KELYB KELLY SVCS INC Industrials 24 $216 NEW
7620 QETA QUETTA ACQUISITION CORP Financial Services 19 $216 NEW
7621 AIXI XIAO-I CORP Technology 522 $214 NEW
7622 CHANSON INTL HLDG 97 $213 NEW
7623 PHUN PHUNWARE INC Technology 115 $213 NEW
7624 DYAI DYADIC INTL INC DEL Healthcare 227 $213 NEW
7625 QUCY MAINZ BIOMED N V Healthcare 189 $212 NEW
7626 INTS INTENSITY THERAPEUTICS INC Healthcare 500 $205 NEW
7627 GDMN WISDOMTREE TR 2 $204 NEW
7628 STARRY SEA ACQUISITION CORP 20 $200 NEW
7629 SQFTW PRESIDIO PPTY TR INC 6,674 $200 NEW
7630 TBMC TRAILBLAZER MERGER CORP I Financial Services 15 $200 NEW
7631 PHETON HLDGS LTD 473 $199 NEW
7632 WTG WINTERGREEN ACQUISITION CORP Financial Services 19 $193 NEW
7633 AGM/A FEDERAL AGRIC MTG CORP 1 $192 NEW
7634 ARCM ARROW INVTS TR 1 $188 NEW
7635 NIOBW NIOCORP DEVS LTD 100 $186 NEW
7636 OLB OLB GROUP INC Technology 300 $186 NEW
7637 TRPA HARTFORD FDS EXCHANGE TRADED 4 $186 NEW
7638 IPWR IDEAL PWR INC Industrials 60 $185 NEW
7639 OPER ETF SER SOLUTIONS 1 $184 NEW
7640 GDEV GDEV INC Technology 12 $180 NEW
7641 FAS DIREXION SHS ETF TR 1 $179 NEW
7642 TNON TENON MEDICAL INC Healthcare 188 $179 NEW
7643 MILUNA ACQUISITION CORP 18 $178 NEW
7644 UTSI UTSTARCOM HOLDINGS CORP Technology 70 $178 NEW
7645 QMMY FIRST TR EXCHNG TRADED FD VI 7 $175 NEW
7646 TWNPQ TWIN HOSPITALITY GROUP INC 261 $174 NEW
7647 AQB AQUABOUNTY TECHNOLOGIES INC Consumer Defensive 184 $171 NEW
7648 VNRXGBP VOLITIONRX LTD 665 $170 NEW
7649 MCRP MICROPOLIS AI ROBOTICS Technology 120 $167 NEW
7650 SNTI SENTI BIOSCIENCES INC Healthcare 160 $166 NEW
7651 AEON AEON BIOPHARMA INC Healthcare 150 $165 NEW
7652 BSAA BEST SPAC I ACQUISITION CORP Financial Services 16 $162 NEW
7653 CROWN RESV ACQUISITION CORP 16 $159 NEW
7654 STONEBRIDGE ACQUISITION II C 16 $159 NEW
7655 FUSB FIRST US BANCSHARES INC Financial Services 11 $159 NEW
7656 PFIX SIMPLIFY EXCHANGE TRADED FUN 3 $157 NEW
7657 MVV PROSHARES TR 2 $155 NEW
7658 TOK ISHARES TR 1 $152 NEW
7659 PIFI ETF SER SOLUTIONS 1 $152 NEW
7660 RFEM FIRST TR EXCH TRADED FD III 1 $151 NEW
7661 MBIO MUSTANG BIO INC Healthcare 153 $150 NEW
7662 GRAB GRAB HOLDINGS LIMITED Technology 500 $147 NEW
7663 USEA UNITED MARITIME CORPORATION Industrials 85 $146 NEW
7664 SUUN POWERBANK CORP Utilities 80 $145 NEW
7665 CLIX PROSHARES TR 2 $144 NEW
7666 UPV PROSHARES TR 1 $144 NEW
7667 EET PROSHARES TR 1 $142 NEW
7668 ADGM ADAGIO MED HLDGS INC Healthcare 137 $142 NEW
7669 FATAQ FAT BRANDS INC 445 $141 NEW
7670 LSTA LISATA THERAPEUTICS INC Healthcare 75 $140 NEW
7671 IMCC IM CANNABIS CORP Healthcare 100 $139 NEW
7672 GIPR GENERATION INCOME PPTYS INC Real Estate 215 $138 NEW
7673 AMERICAN REBEL HLDGS INC 200 $138 NEW
7674 FDIV EA SERIES TRUST 5 $135 NEW
7675 TTT PROSHARES TR 1 $132 NEW
7676 EEMX SPDR INDEX SHS FDS 3 $130 NEW
7677 DPST DIREXION SHS ETF TR 1 $130 NEW
7678 SHOC EA SERIES TRUST 1 $129 NEW
7679 IQM FRANKLIN TEMPLETON ETF TR 1 $129 NEW
7680 PAB PGIM ETF TR 2 $126 NEW
7681 BIB PROSHARES TR 1 $125 NEW
7682 UDOW PROSHARES TR 2 $125 NEW
7683 ICAP SERIES PORTFOLIOS TR 4 $124 NEW
7684 ADME ETF SER SOLUTIONS 2 $124 NEW
7685 NAIL DBX ETF TR 2 $123 NEW
7686 VIVS VIVOSIM LABS INC Healthcare 68 $123 NEW
7687 SRS PROSHARES TR 2 $122 NEW
7688 MYND MYND AI INC Consumer Defensive 280 $122 NEW
7689 BRZU DIREXION SHS ETF TR 1 $120 NEW
7690 EZJ PROSHARES TR 2 $120 NEW
7691 SPXE PROSHARES TR 1 $119 NEW
7692 MBRX MOLECULIN BIOTECH INC Healthcare 36 $119 NEW
7693 SPXV PROSHARES TR 1 $118 NEW
7694 UJB PROSHARES TR 1 $115 NEW
7695 FSCS FIRST TR EXCHANGE TRADED FD 3 $113 NEW
7696 EMDV PROSHARES TR 2 $111 NEW
7697 VERS PROSHARES TR 1 $111 NEW
7698 AIIO ROBO.AI INC. Consumer Cyclical 357 $109 NEW
7699 EVGO EVGO INC Consumer Cyclical 1,450 $109 NEW
7700 OGEN ORAGENICS INC Healthcare 138 $108 NEW
7701 URE PROSHARES TR 1 $108 NEW
7702 ZKIN ZK INTL GROUP CO LTD Basic Materials 72 $108 NEW
7703 QRFT EXCHANGE LISTED FDS TR 1 $107 NEW
7704 SNSE SENSEI BIOTHERAPEUTICS INC Healthcare 10 $107 NEW
7705 INDL DIREXION SHS ETF TR 1 $106 NEW
7706 HIDV AB ACTIVE ETFS INC 1 $104 NEW
7707 MAKX PROSHARES TR 2 $101 NEW
7708 MIDU DIREXION SHS ETF TR 1 $100 NEW
7709 BBSB J P MORGAN EXCHANGE TRADED F 1 $99 NEW
7710 SPXN PROSHARES TR 1 $99 NEW
7711 BUL PACER FDS TR 1 $97 NEW
7712 SCAP SERIES PORTFOLIOS TR 2 $95 NEW
7713 ZECP ZACKS TRUST 2 $94 NEW
7714 LMND LEMONADE INC Financial Services 3,582 $94 NEW
7715 J40T PROSHARES TR 2 $93 NEW
7716 QDVO AMPLIFY ETF TR 3 $92 NEW
7717 DUSTUSD DIREXION SHS ETF TR 12 $91 NEW
7718 COHN COHEN & CO INC NEW Financial Services 3 $90 NEW
7719 RNEM FIRST TR EXCHANGE TRADED FD 1 $88 NEW
7720 QQQA PROSHARES TR 1 $88 NEW
7721 SUPL PROSHARES TR 2 $86 NEW
7722 RXL PROSHARES TR 1 $86 NEW
7723 HOMZ ETF SER SOLUTIONS 1 $86 NEW
7724 ANEW PROSHARES TR 1 $85 NEW
7725 ALPHATIME ACQUISITION CORP 6 $85 NEW
7726 BCD ABRDN ETFS 2 $83 NEW
7727 TINY PROSHARES TR 1 $83 NEW
7728 ROLR HIGH ROLLER TECHNOLOGIES INC Consumer Cyclical 40 $82 NEW
7729 UTSL DIREXION SHS ETF TR 2 $82 NEW
7730 FEDM FLEXSHARES TR 1 $81 NEW
7731 INAB IN8BIO INC Healthcare 34 $80 NEW
7732 QCLS Q/C TECHNOLOGIES INC Technology 20 $80 NEW
7733 VEEA VEEA INC Technology 1,000 $80 NEW
7734 SOXY TIDAL TRUST II 1 $79 NEW
7735 ERX DIREXION SHS ETF TR 1 $79 NEW
7736 SIXS EXCHANGE TRADED CONCEPTS TRU 1 $79 NEW
7737 FCA FIRST TR EXCH TRD ALPHDX FD 2 $79 NEW
7738 DIVD EA SERIES TRUST 2 $78 NEW
7739 BBSC J P MORGAN EXCHANGE TRADED F 1 $78 NEW
7740 DVND TOUCHSTONE ETF TRUST 2 $76 NEW
7741 AUUD AUDDIA INC Technology 77 $75 NEW
7742 SIXH EXCHANGE TRADED CONCEPTS TRU 1 $75 NEW
7743 VNSE NATIXIS ETF TRUST II 1 $75 NEW
7744 URTY PROSHARES TR 1 $74 NEW
7745 PINK SIMPLIFY EXCHANGE TRADED FUN 2 $74 NEW
7746 PAMC PACER FDS TR 1 $72 NEW
7747 TOPW ROUNDHILL ETF TRUST 1 $72 NEW
7748 EUDV PROSHARES TR 1 $71 NEW
7749 ION PROSHARES TR 1 $71 NEW
7750 SIFI HARBOR ETF TRUST 1 $71 NEW
7751 USCA DBX ETF TR 1 $71 NEW
7752 SUPP TCW ETF TRUST 1 $70 NEW
7753 EFO PROSHARES TR 1 $70 NEW
7754 SINT SINTX TECHNOLOGIES INC Healthcare 18 $70 NEW
7755 HSMV FIRST TR EXCH TRADED FD III 1 $70 NEW
7756 USPX FRANKLIN TEMPLETON ETF TR 1 $70 NEW
7757 FLEU FRANKLIN TEMPLETON ETF TR 2 $69 NEW
7758 AAVM EA SERIES TRUST 2 $69 NEW
7759 MBOX EA SERIES TRUST 1 $69 NEW
7760 AMBO AMBOW ED HLDG LTD Consumer Defensive 25 $69 NEW
7761 TYD DIREXION SHS ETF TR 2 $69 NEW
7762 MRGR PROSHARES TR 1 $69 NEW
7763 LFEQ VANECK ETF TRUST 1 $68 NEW
7764 SOS SOS LIMITED Technology 49 $68 NEW
7765 BRLN BLACKROCK ETF TRUST II 1 $68 NEW
7766 WANT DIREXION SHS ETF TR 1 $68 NEW
7767 SIXL EXCHANGE TRADED CONCEPTS TRU 1 $68 NEW
7768 CELZ CREATIVE MED TECHNOLOGY HLDG Healthcare 34 $67 NEW
7769 HIBL DIREXION SHS ETF TR 1 $67 NEW
7770 OSCV ETF SER SOLUTIONS 1 $67 NEW
7771 PST PROSHARES TR 3 $67 NEW
7772 UYM PROSHARES TR 2 $67 NEW
7773 CILUSD VICTORY PORTFOLIOS II 1 $67 NEW
7774 UXI PROSHARES TR 1 $66 NEW
7775 ATFV THE ALGER ETF TRUST 1 $66 NEW
7776 EBIZ GLOBAL X FDS 2 $66 NEW
7777 KRANESHARES TRUST 2 $66 NEW
7778 AFSM FIRST TR EXCHNG TRADED FD VI 1 $65 NEW
7779 TMDV PROSHARES TR 1 $65 NEW
7780 OILK PROSHARES TR 1 $64 NEW
7781 ONOF GLOBAL X FDS 1 $63 NEW
7782 NTSE WISDOMTREE TR 1 $63 NEW
7783 MAGY ROUNDHILL ETF TRUST 1 $62 NEW
7784 STXG EA SERIES TRUST 1 $62 NEW
7785 VBND ETF SER SOLUTIONS 1 $62 NEW
7786 ROSC LATTICE STRATEGIES TR 1 $62 NEW
7787 TYLG GLOBAL X FDS 1 $61 NEW
7788 FLRT PACER FDS TR 1 $61 NEW
7789 UDI USCF ETF TR 1 $61 NEW
7790 GUSH DIREXION SHS ETF TR 2 $61 NEW
7791 RITA ETF SER SOLUTIONS 3 $61 NEW
7792 STXE EA SERIES TRUST 1 $60 NEW
7793 TPOR DIREXION SHS ETF TR 1 $60 NEW
7794 FDEV FIDELITY COVINGTON TRUST 1 $60 NEW
7795 BPI GRAYSCALE FUNDS TRUST 2 $60 NEW
7796 KWT ISHARES TR 1 $60 NEW
7797 ATON ALPHATON CAPITAL CORP Financial Services 100 $60 NEW
7798 UBR PROSHARES TR 2 $60 NEW
7799 DUG PROSHARES TR 1 $60 NEW
7800 KMLM KRANESHARES TRUST 2 $59 NEW
7801 HYUP DBX ETF TR 1 $59 NEW
7802 EURL DIREXION SHS ETF TR 1 $59 NEW
7803 EASG DBX ETF TR 1 $58 NEW
7804 HELX FRANKLIN TEMPLETON ETF TR 1 $58 NEW
7805 GSIG GOLDMAN SACHS ETF TR 1 $58 NEW
7806 LOPP GABELLI ETFS TRUST 1 $57 NEW
7807 AHYB AMERICAN CENTY ETF TR 1 $57 NEW
7808 XB BONDBLOXX ETF TRUST 1 $57 NEW
7809 MBBB VANECK ETF TRUST 2 $57 NEW
7810 INEQ COLUMBIA ETF TR I 1 $56 NEW
7811 CRIS CURIS INC Healthcare 57 $56 NEW
7812 NFLT ETFIS SER TR I 2 $56 NEW
7813 KNGZ FIRST TR EXCHANGE TRADED FD 1 $56 NEW
7814 STRR STAR EQUITY HOLDINGS INC Healthcare 5 $56 NEW
7815 QVML INVESCO EXCH TRADED FD TR II 1 $56 NEW
7816 DVLU FIRST TR EXCHANGE-TRADED FD 1 $55 NEW
7817 JHDV JOHN HANCOCK EXCHANGE TRADED 1 $55 NEW
7818 LNZA LANZATECH GLOBAL INC Industrials 4 $55 NEW
7819 IMOM EA SERIES TRUST 1 $55 NEW
7820 IGLD FIRST TR EXCHANGE-TRADED FD 2 $55 NEW
7821 USAI PACER FDS TR 1 $55 NEW
7822 MYY PROSHARES TR 3 $54 NEW
7823 CTEX PROSHARES TR 1 $54 NEW
7824 FFIU SPINNAKER ETF SERIES 2 $54 NEW
7825 ABLG ABACUS FCF ETF TR 1 $54 NEW
7826 FPXE FIRST TR EXCHANGE TRADED FD 1 $54 NEW
7827 SARK INVESTMENT MANAGERS SER TR I 1 $54 NEW
7828 QIG WISDOMTREE TR 1 $54 NEW
7829 XHYC BONDBLOXX ETF TRUST 1 $53 NEW
7830 EMCR DBX ETF TR 1 $53 NEW
7831 XPND FIRST TR EXCHNG TRADED FD VI 1 $53 NEW
7832 BNDI NEOS ETF TRUST 1 $53 NEW
7833 STKE SOL STRATEGIES INC Financial Services 35 $53 NEW
7834 DGIN VANECK ETF TRUST 1 $53 NEW
7835 FLQS FRANKLIN TEMPLETON ETF TR 1 $53 NEW
7836 IWFG NEW YORK LIFE INVTS ACTIVE E 1 $53 NEW
7837 IMFL INVESCO EXCH TRD SLF IDX FD 1 $53 NEW
7838 NHTC NATURAL HEALTH TRENDS CORP Consumer Cyclical 17 $53 NEW
7839 EQIN COLUMBIA ETF TR I 1 $52 NEW
7840 MEXX DIREXION SHS ETF TR 2 $52 NEW
7841 FPWR FIRST TR EXCHANGE-TRADED FD 1 $52 NEW
7842 NUGO NUSHARES ETF TR 1 $52 NEW
7843 UST PROSHARES TR 1 $52 NEW
7844 SAA PROSHARES TR 2 $52 NEW
7845 PULT PUTNAM ETF TRUST 1 $51 NEW
7846 CDX SIMPLIFY EXCHANGE TRADED FUN 2 $51 NEW
7847 XHYT BONDBLOXX ETF TRUST 1 $51 NEW
7848 DEEP ETF SER SOLUTIONS 1 $51 NEW
7849 ISHP FIRST TR EXCHANGE TRADED FD 1 $51 NEW
7850 WEBL DIREXION SHS ETF TR 1 $50 NEW
7851 DSTX ETF SER SOLUTIONS 1 $50 NEW
7852 FTFT FUTURE FINTECH GROUP INC Technology 65 $50 NEW
7853 SPMV1USD INVESCO EXCH TRADED FD TR II 1 $50 NEW
7854 LTL PROSHARES TR 1 $50 NEW
7855 TBF PROSHARES TR 2 $50 NEW
7856 UTRE RBB FD INC 1 $50 NEW
7857 PLDR PUTNAM ETF TRUST 1 $49 NEW
7858 UFIV RBB FD INC 1 $49 NEW
7859 SPDG SPDR SERIES TRUST 1 $49 NEW
7860 SHPH SHUTTLE PHARMACTCLS HLDGS IN Healthcare 27 $49 NEW
7861 TPHD TIMOTHY PLAN 1 $49 NEW
7862 GAA CAMBRIA ETF TR 1 $49 NEW
7863 OCIO ETF SER SOLUTIONS 1 $49 NEW
7864 DNOV FIRST TR EXCHNG TRADED FD VI 1 $49 NEW
7865 OSEA HARBOR ETF TRUST 1 $49 NEW
7866 HYXF ISHARES TR 1 $49 NEW
7867 EAOA ISHARES TR 1 $49 NEW
7868 NBET NEUBERGER BERMAN ETF TRUST 1 $49 NEW
7869 UMDD PROSHARES TR 1 $48 NEW
7870 ICU SEASTAR MEDICAL HOLDING CORP Healthcare 200 $48 NEW
7871 TEQI T ROWE PRICE ETF INC 1 $48 NEW
7872 CLSE TRUST FOR PROFESSIONAL MANAG 1 $48 NEW
7873 UBOT DIREXION SHS ETF TR 1 $48 NEW
7874 STXK EA SERIES TRUST 1 $47 NEW
7875 DDX EA SERIES TRUST 1 $47 NEW
7876 UBS UBS AG Financial Services 1 $47 NEW
7877 INNOVATOR ETFS TRUST 1 $47 NEW
7878 JHCB JOHN HANCOCK EXCHANGE TRADED 2 $47 NEW
7879 MCH MATTHEWS ASIA FDS 1 $47 NEW
7880 BLES NORTHERN LTS FD TR IV 1 $47 NEW
7881 PWS PACER FDS TR 1 $46 NEW
7882 XPP PROSHARES TR 1 $46 NEW
7883 TGRW T ROWE PRICE ETF INC 1 $46 NEW
7884 DRV DIREXION SHS ETF TR 1 $46 NEW
7885 HISF FIRST TR EXCHANGE-TRADED FD 1 $46 NEW
7886 EMMF WISDOMTREE TR 1 $46 NEW
7887 OVM LISTED FDS TR 2 $46 NEW
7888 EART GLOBAL X FDS 1 $45 NEW
7889 JCTC JEWETT CAMERON TRADING LTD Basic Materials 20 $45 NEW
7890 CAIE CALAMOS ETF TR 1 $45 NEW
7891 TDSC EXCHANGE LISTED FDS TR 1 $45 NEW
7892 MRSK NORTHERN LIGHTS FD TR 1 $45 NEW
7893 DXD PROSHARES TR 2 $45 NEW
7894 TINT PROSHARES TR 1 $45 NEW
7895 XDTE ROUNDHILL ETF TRUST 1 $45 NEW
7896 GDEV GDEV INC Technology 2,500 $45 NEW
7897 BEDZ ADVISORSHARES TR 1 $44 NEW
7898 BUYZ FRANKLIN TEMPLETON ETF TR 1 $44 NEW
7899 TUGN LISTED FDS TR 1 $44 NEW
7900 SZK PROSHARES TR 3 $44 NEW
7901 UPW PROSHARES TR 2 $44 NEW
7902 IG PRINCIPAL EXCHANGE TRADED FD 2 $43 NEW
7903 REK PROSHARES TR 2 $43 NEW
7904 UTWY RBB FD INC 1 $43 NEW
7905 FMKT TIDAL TRUST I 2 $43 NEW
7906 RDFI COLLABORATIVE INVESTMNT SER 1 $43 NEW
7907 MSTB ETF SER SOLUTIONS 1 $43 NEW
7908 FPRO FIDELITY COVINGTON TRUST 1 $43 NEW
7909 FDNI FIRST TR EXCHANGE TRADED FD 1 $43 NEW
7910 BNGE FIRST TR EXCHANGE TRADED FD 1 $43 NEW
7911 VICE ADVISORSHARES TR 1 $42 NEW
7912 SEMI COLUMBIA ETF TR I 1 $42 NEW
7913 YANG DIREXION SHS ETF TR 1 $42 NEW
7914 IDUB ETF SER SOLUTIONS 1 $42 NEW
7915 SVOL SIMPLIFY EXCHANGE TRADED FUN 2 $42 NEW
7916 ABEQ UNIFIED SER TR 1 $42 NEW
7917 PINNACLE FOOD GROUP LTD 20 $42 NEW
7918 JLQD JANUS DETROIT STR TR 1 $42 NEW
7919 FLMX FRANKLIN TEMPLETON ETF TR 1 $41 NEW
7920 VNAM GLOBAL X FDS 1 $41 NEW
7921 LQDW ISHARES TR 1 $41 NEW
7922 RISN NORTHERN LTS FD TR IV 1 $41 NEW
7923 UTHY RBB FD INC 1 $41 NEW
7924 ZHDG TIDAL TRUST I 1 $41 NEW
7925 MIG VANECK ETF TRUST 1 $41 NEW
7926 SCNI SCINAI IMMUNOTHERAPEUTICS LT Healthcare 58 $41 NEW
7927 XCCC BONDBLOXX ETF TRUST 1 $41 NEW
7928 WEBS DIREXION SHS ETF TR 2 $41 NEW
7929 INQQ EXCHANGE TRADED CONCEPTS TRU 2 $41 NEW
7930 DEHP DIMENSIONAL ETF TRUST 1 $40 NEW
7931 IBD NORTHERN LTS FD TR IV 1 $40 NEW
7932 QDTE ROUNDHILL ETF TRUST 1 $40 NEW
7933 USG USCF ETF TR 1 $40 NEW
7934 FLYE FLY E GROUP INC Consumer Cyclical 6 $40 NEW
7935 JRE JANUS DETROIT STR TR 1 $39 NEW
7936 PEB PEBBLEBROOK HOTEL TR Real Estate 2 $39 NEW
7937 MNBD ALPS ETF TR 1 $39 NEW
7938 FRTY THE ALGER ETF TRUST 1 $39 NEW
7939 TBG EA SERIES TRUST 1 $39 NEW
7940 XHYH BONDBLOXX ETF TRUST 1 $39 NEW
7941 DLPN DOLPHIN ENTMT INC Communication Services 25 $39 NEW
7942 STXV EA SERIES TRUST 1 $38 NEW
7943 MOOD EA SERIES TRUST 1 $38 NEW
7944 COWS AMPLIFY ETF TR 1 $38 NEW
7945 BITC BITWISE FUNDS TRUST 1 $38 NEW
7946 SHYM BLACKROCK ETF TRUST II 1 $38 NEW
7947 OALC UNIFIED SER TR 1 $38 NEW
7948 XCLR GLOBAL X FDS 1 $38 NEW
7949 SDEM GLOBAL X FDS 1 $38 NEW
7950 ROAM LATTICE STRATEGIES TR 1 $38 NEW
7951 QLVE FLEXSHARES TR 1 $37 NEW
7952 COMB GRANITESHARES ETF TR 1 $37 NEW
7953 QSIX PACER FDS TR 1 $37 NEW
7954 PQDI PRINCIPAL EXCHANGE TRADED FD 1 $37 NEW
7955 TYA SIMPLIFY EXCHANGE TRADED FUN 2 $37 NEW
7956 VCLN VIRTUS ETF TR II 1 $37 NEW
7957 BPAY BLACKROCK ETF TRUST 1 $37 NEW
7958 ETFIS SER TR I 1 $37 NEW
7959 DOGG FIRST TR EXCHANGE-TRADED FD 1 $37 NEW
7960 XAIR BEYOND AIR INC Healthcare 50 $36 NEW
7961 ERNA ERNEXA THERAPEUTICS INC Healthcare 30 $36 NEW
7962 CPHC CANTERBURY PK HLDG CORP Consumer Cyclical 2 $36 NEW
7963 DIVZ ELEVATION SERIES TRUST 1 $36 NEW
7964 WATT ENERGOUS CORP Technology 9 $36 NEW
7965 COCH ENVOY MEDICAL INC Healthcare 933 $36 NEW
7966 TPIF TIMOTHY PLAN 1 $36 NEW
7967 GV VISIONARY HOLDINGS INC Consumer Defensive 31 $36 NEW
7968 TAOP TAOPING INC Technology 26 $36 NEW
7969 QVMS INVESCO EXCH TRADED FD TR II 1 $35 NEW
7970 EAOM ISHARES TR 1 $35 NEW
7971 UBT PROSHARES TR 2 $35 NEW
7972 TWM PROSHARES TR 1 $34 NEW
7973 SDP PROSHARES TR 2 $34 NEW
7974 SAEF SCHWAB STRATEGIC TR 1 $34 NEW
7975 SKYQ SKY QUARRY INC Energy 152 $34 NEW
7976 SEIX VIRTUS ETF TR II 1 $34 NEW
7977 NVNI GROUP LIMITED 500 $34 NEW
7978 ICON ICON ENERGY CORP Industrials 50 $34 NEW
7979 NDIV AMPLIFY ETF TR 1 $34 NEW
7980 BFIX BUILD FUNDS TRUST 1 $34 NEW
7981 GHTA COLLABORATIVE INVESTMNT SER 1 $34 NEW
7982 FMNY FIRST TR EXCH TRADED FD III 1 $34 NEW
7983 QTOC INNOVATOR ETFS TRUST 1 $34 NEW
7984 KOCT INNOVATOR ETFS TRUST 1 $34 NEW
7985 KTEC KRANESHARES TRUST 2 $34 NEW
7986 FTEK FUEL TECH INC Industrials 21 $33 NEW
7987 QYLG GLOBAL X FDS 1 $33 NEW
7988 GTOQ INVESCO ACTIVELY MANAGED EXC 1 $33 NEW
7989 PBTP INVESCO EXCH TRADED FD TR II 1 $33 NEW
7990 INVESCO EXCH TRADED FD TR II 1 $33 NEW
7991 SATO INVESCO EXCH TRADED FD TR II 1 $33 NEW
7992 HIGH SIMPLIFY EXCHANGE TRADED FUN 1 $33 NEW
7993 MFEM PIMCO EQUITY SER 1 $32 NEW
7994 EWV PROSHARES TR 1 $32 NEW
7995 MBNE SSGA ACTIVE TR 1 $32 NEW
7996 RSPE INVESCO EXCH TRADED FD TR II 1 $32 NEW
7997 INMU BLACKROCK ETF TRUST II 1 $32 NEW
7998 CGHM CAPITAL GRP FIXED INCM ETF T 1 $32 NEW
7999 WBIF ABSOLUTE SHS TR 1 $31 NEW
8000 MKAM EA SERIES TRUST 1 $31 NEW
8001 TMFX RBB FD INC 1 $31 NEW
8002 SOLR GUINNESS ATKINSON FDS 1 $31 NEW
8003 QVMM INVESCO EXCH TRADED FD TR II 1 $31 NEW
8004 ERET ISHARES TR 1 $31 NEW
8005 XTR GLOBAL X FDS 1 $30 NEW
8006 ARP ADVISORS INNER CIRCLE FD II 1 $30 NEW
8007 VRAI ETFIS SER TR I 1 $30 NEW
8008 NUDV NUSHARES ETF TR 1 $30 NEW
8009 HARD SIMPLIFY EXCHANGE TRADED FUN 1 $30 NEW
8010 TALK TALKSPACE INC Healthcare 2,000 $30 NEW
8011 SETM SPROTT FDS TR 1 $29 NEW
8012 RYLG GLOBAL X FDS 1 $29 NEW
8013 INVESCO ACTIVELY MANAGED EXC 1 $29 NEW
8014 INVESCO EXCH TRADED FD TR II 1 $29 NEW
8015 GDIV HARBOR ETF TRUST 1 $28 NEW
8016 IGTR INNOVATOR ETFS TRUST 1 $28 NEW
8017 KITT NAUTICUS ROBOTICS INC Industrials 36 $28 NEW
8018 AZTD TIDAL TRUST I 1 $28 NEW
8019 BWEN BROADWIND INC Industrials 10 $28 NEW
8020 SBND COLUMBIA ETF TR I 1 $28 NEW
8021 PILL DIREXION SHS ETF TR 2 $28 NEW
8022 ADVISORSHARES TR 1 $27 NEW
8023 BLDG CAMBRIA ETF TR 1 $27 NEW
8024 SNPD DBX ETF TR 1 $27 NEW
8025 FLIA FRANKLIN TEMPLETON ETF TR 1 $27 NEW
8026 DYLG GLOBAL X FDS 1 $27 NEW
8027 RBNE ROBIN ENERGY LTD Energy 9 $27 NEW
8028 BYRE PRINCIPAL EXCHANGE TRADED FD 1 $27 NEW
8029 REED REEDS INC Consumer Defensive 13 $27 NEW
8030 QVOY ULTIMUS MANAGERS TR 1 $27 NEW
8031 BULD PACER FDS TR 1 $26 NEW
8032 LIEN CHICAGO ATLANTIC BDC INC Financial Services 2 $26 NEW
8033 SPYT TIDAL TRUST II 1 $26 NEW
8034 EEMO INVESCO EXCH TRADED FD TR II 1 $26 NEW
8035 ISWN AMPLIFY ETF TR 1 $26 NEW
8036 SPCK COLLABORATIVE INVESTMNT SER 1 $26 NEW
8037 RTAI COLLABORATIVE INVESTMNT SER 1 $26 NEW
8038 TYO DIREXION SHS ETF TR 1 $26 NEW
8039 SEA ETF SER SOLUTIONS 1 $26 NEW
8040 EKSO BIONICS HLDGS INC 3 $26 NEW
8041 UBXG U-BX TECHNOLOGY LTD Technology 13 $26 NEW
8042 WELLCHANGE HLDGS CO LTD 162 $26 NEW
8043 GXDW GLOBAL X FDS 1 $25 NEW
8044 XRMI GLOBAL X FDS 1 $25 NEW
8045 HCTI HEALTHCARE TRIANGLE INC Healthcare 40 $25 NEW
8046 APRJ INNOVATOR ETFS TRUST 1 $25 NEW
8047 THY NORTHERN LIGHTS FD TR 1 $25 NEW
8048 SIJ PROSHARES TR 2 $25 NEW
8049 JOJO TIDAL TRUST I 1 $25 NEW
8050 APMU TRUST FOR PROFESSIONAL MANAG 1 $25 NEW
8051 VYNE VYNE THERAPEUTICS INC Healthcare 43 $25 NEW
8052 IPOS RENAISSANCE CAP GREENWICH FD 1 $24 NEW
8053 QRMI GLOBAL X FDS 1 $24 NEW
8054 ERY DIREXION SHS ETF TR 1 $24 NEW
8055 FCSH FEDERATED HERMES ETF TRUST 1 $24 NEW
8056 RFCI ALPS ETF TR 1 $23 NEW
8057 WBIG ABSOLUTE SHS TR 1 $23 NEW
8058 RULE COLLABORATIVE INVESTMNT SER 1 $23 NEW
8059 ETF SER SOLUTIONS 1 $23 NEW
8060 FMQQ EXCHANGE TRADED CONCEPTS TRU 1 $23 NEW
8061 LALT FIRST TR EXCHNG TRADED FD VI 1 $23 NEW
8062 EFZ PROSHARES TR 1 $23 NEW
8063 EPV PROSHARES TR 1 $23 NEW
8064 VSHY VIRTUS ETF TR II 1 $23 NEW
8065 AGZD WISDOMTREE TR 1 $23 NEW
8066 JIN MED INTL LTD. 100 $22 NEW
8067 RXD PROSHARES TR 2 $22 NEW
8068 SBB PROSHARES TR 1 $22 NEW
8069 SPRE TIDAL TRUST I 1 $22 NEW
8070 EFAS GLOBAL X FDS 1 $22 NEW
8071 MRKR MARKER THERAPEUTICS INC Healthcare 15 $22 NEW
8072 GOVX GEOVAX LABS INC Healthcare 120 $21 NEW
8073 HHS HARTE HANKS INC Communication Services 7 $21 NEW
8074 MIGI MAWSON INFRASTRUCTURE GROUP Financial Services 5 $21 NEW
8075 OKYO PHARMA LTD 10 $21 NEW
8076 DRIP DIREXION SHS ETF TR 2 $21 NEW
8077 MFLX FIRST TR EXCHNG TRADED FD VI 1 $21 NEW
8078 PROFUSA INC 199 $21 NEW
8079 MSTR STRATEGY SHS Technology 1 $21 NEW
8080 TLF TANDY LEATHER FACTORY INC Consumer Cyclical 7 $21 NEW
8081 HAUS TIDAL TRUST I 1 $21 NEW
8082 SDD PROSHARES TR 1 $20 NEW
8083 SCC PROSHARES TR 1 $20 NEW
8084 SMDD PROSHARES TR 1 $20 NEW
8085 EUM PROSHARES TR 1 $20 NEW
8086 SPSK TIDAL TRUST I 1 $20 NEW
8087 ABXB ABACUS FCF ETF TR 1 $20 NEW
8088 RETL DIREXION SHS ETF TR 2 $20 NEW
8089 TECS DIREXION SHS ETF TR 1 $20 NEW
8090 MSN EMERSON RADIO CORP Technology 49 $19 NEW
8091 AQWA GLOBAL X FDS 1 $19 NEW
8092 HFBL HOME FED BANCORP INC LA NEW Financial Services 1 $19 NEW
8093 EVMT INVESCO ACTVELY MNGD ETC FD 1 $19 NEW
8094 ACCS ACCESS NEWSWIRE INC Communication Services 2 $19 NEW
8095 APLY TIDAL TRUST II 1 $19 NEW
8096 AFIF TWO RDS SHARED TR 1 $19 NEW
8097 NVVE NUVVE HOLDING CORP Technology 7 $18 NEW
8098 AGIG ABUNDIA GLOBAL IMPACT GROUP Energy 9 $18 NEW
8099 HNNA HENNESSY ADVISORS INC Financial Services 1 $17 NEW
8100 INTZ INTRUSION INC Technology 15 $17 NEW
8101 HIGH-TREND INTERNATIONAL GRO 2 $17 NEW
8102 RAND RAND CAP CORP Financial Services 1 $17 NEW
8103 SMN PROSHARES TR 1 $16 NEW
8104 MZZ PROSHARES TR 1 $16 NEW
8105 MTEX MANNATECH INC Consumer Defensive 1 $16 NEW
8106 CETY CLEAN ENERGY TECHNOLOGIES IN Industrials 22 $16 NEW
8107 ORKT ORANGEKLOUD TECHNOLOGY INC Technology 24 $16 NEW
8108 DVAL FRANKLIN TEMPLETON ETF TR 1 $15 NEW
8109 BIS PROSHARES TR 1 $15 NEW
8110 SER SERINA THERAPEUTICS INC Healthcare 8 $15 NEW
8111 SNOA SONOMA PHARMACEUTICALS INC Healthcare 4 $15 NEW
8112 SNOY TIDAL TRUST II 1 $15 NEW
8113 UNL UNITED STS 12 MONTH NAT GAS Financial Services 2 $15 NEW
8114 EVNT ALTSHARES TRUST 1 $15 NEW
8115 DRN DIREXION SHS ETF TR 1 $15 NEW
8116 TOKEUSD CAMBRIA ETF TR 2 $14 NEW
8117 CDT CDT EQUITY INC Healthcare 11 $14 NEW
8118 SPDN DIREXION SHS ETF TR 1 $14 NEW
8119 MCSE FRANKLIN TEMPLETON ETF TR 1 $14 NEW
8120 NCL NORTHANN CORP Consumer Cyclical 52 $14 NEW
8121 TRT TRIO TECH INTL Technology 1 $14 NEW
8122 VVOS VIVOS THERAPEUTICS INC Healthcare 7 $14 NEW
8123 XHG XCHANGE TEC.INC Real Estate 15 $13 NEW
8124 SCKT SOCKET MOBILE INC Technology 13 $13 NEW
8125 CJMB CALLAN JMB INC Industrials 12 $13 NEW
8126 EFU PROSHARES TR 1 $12 NEW
8127 JOBY JOBY AVIATION INC Industrials 3 $12 NEW
8128 SWVL SWVL HOLDINGS CORP Technology 6 $11 NEW
8129 INTEGRATED MEDIA TECHNLOGY L 18 $11 NEW
8130 SHFS SHF HOLDINGS INC Financial Services 10 $11 NEW
8131 TLPH TALPHERA INC Healthcare 10 $11 NEW
8132 DIREXION SHS ETF TR 2 $11 NEW
8133 GNPX GENPREX INC Healthcare 6 $11 NEW
8134 MAPS WM TECHNOLOGY INC Technology 1,000 $10 NEW
8135 FITNESS CHAMPS HLDGS LTD 45 $10 NEW
8136 SAIHEAT LTD 1 $9 NEW
8137 AMAX STARBOARD INVT TR 1 $9 NEW
8138 CELG-R BRISTOL-MYERS SQUIBB CO 119 $9 NEW
8139 NXTS N2OFF INC Consumer Defensive 5 $8 NEW
8140 USOY TIDAL TRUST II 1 $8 NEW
8141 22ND CENTY GROUP INC 10 $8 NEW
8142 PFFL UBS AG LONDON BRANCH Financial Services 1 $8 NEW
8143 XBIO XENETIC BIOSCIENCES INC Healthcare 3 $7 NEW
8144 SSM SONO GROUP N V Consumer Cyclical 1 $7 NEW
8145 SDOT SADOT GROUP INC Consumer Defensive 6 $7 NEW
8146 FABC STABLEX TECHNOLOGIES INC 3 $7 NEW
8147 CAN FITE BIOFARMA LTD 33 $7 NEW
8148 JDSTGBP DIREXION SHS ETF TR 2 $7 NEW
8149 LICHEN INTL LTD 2 $6 NEW
8150 PSHG PERFORMANCE SHIPPING INC Industrials 3 $6 NEW
8151 SMSI SMITH MICRO SOFTWARE INC Technology 11 $6 NEW
8152 VASTA PLATFORM LTD 1 $5 NEW
8153 AAME ATLANTIC AMERN CORP Financial Services 1 $5 NEW
8154 BGSF BGSF INC Industrials 1 $5 NEW
8155 FRSXUSD FORESIGHT AUTONOMOUS HLDGS L 4 $5 NEW
8156 JRSH JERASH HLDGS US INC Consumer Cyclical 1 $5 NEW
8157 GCTK GLUCOTRACK INC Healthcare 1 $4 NEW
8158 CHNR CHINA NATURAL RESOURCES INC Industrials 1 $4 NEW
8159 AMERISERV FINL INC 1 $4 NEW
8160 BNBX BNB PLUS CORP Healthcare 3 $4 NEW
8161 RKDA ARCADIA BIOSCIENCES INC Basic Materials 2 $4 NEW
8162 ARTW ARTS WAY MFG INC Industrials 1 $4 NEW
8163 ALBT AVALON GLOBOCARE CORP Real Estate 3 $4 NEW
8164 BIAF BIOAFFINITY TECHNOLOGIES INC Healthcare 3 $4 NEW
8165 CETX CEMTREX INC Technology 1 $3 NEW
8166 LGHL LION GROUP HOLDING LTD Financial Services 1 $3 NEW
8167 MDBH MDB CAP HLDGS LLC Financial Services 1 $3 NEW
8168 NTIP NETWORK-1 TECHNOLOGIES INC Industrials 2 $3 NEW
8169 COLLPLANT BIOTECHNOLOGIES LT 1 $3 NEW
8170 OCEANPAL INC 3 $3 NEW
8171 BTTC BLACK TITAN CORP Financial Services 1 $2 NEW
8172 UTIME LTD 2 $2 NEW
8173 ADIL ADIAL PHARMACEUTICALS INC Healthcare 9 $2 NEW
8174 CYCN CYCLERION THERAPEUTICS INC Healthcare 1 $2 NEW
8175 FABTQ FAT BRANDS INC 1 $2 NEW
8176 PMCB PHARMACYTE BIOTECH INC Healthcare 2 $2 NEW
8177 PTIX PROTAGENIC THERAPEUTICS INC Healthcare 2 $2 NEW
8178 USEG U S ENERGY CORP DEL Energy 2 $2 NEW
8179 HCWC HEALTHY CHOICE WELLNESS CORP Consumer Defensive 6 $2 NEW
8180 INUV INUVO INC Communication Services 1 $2 NEW
8181 LEXX LEXARIA BIOSCIENCE CORP Healthcare 3 $2 NEW
8182 MDIA MEDIACO HLDG INC Communication Services 3 $2 NEW
8183 CIF MFS INTER HIGH INCOME FD Financial Services 1 $2 NEW
8184 MOGU MOGU INC Consumer Cyclical 1 $2 NEW
8185 MGLD THE MARYGOLD COMPANIES INC Financial Services 1 $1 NEW
8186 HUBC HUB CYBER SECURITY LTD Technology 100 $1 NEW
8187 SUNE SUNATION ENERGY INC Industrials 1 $1 NEW
8188 PPCB PROPANC BIOPHARMA INC Healthcare 1 $1 NEW
8189 RDHL REDHILL BIOPHARMA LTD Healthcare 1 $1 NEW
8190 TOMZ TOMI ENVIRONMENTAL SOLUTIONS Industrials 1 $1 NEW
8191 AACG ATA CREATIVITY GLOBAL Consumer Defensive 1 $1 NEW
8192 ADITXT INC 1 $1 NEW
8193 AKTX AKARI THERAPEUTICS PLC Healthcare 3 $1 NEW
8194 ATER ATERIAN INC Consumer Cyclical 1 $1 NEW
8195 CAPS CAPSTONE HLDG CORP Basic Materials 1 $1 NEW
8196 EVTV ENVIROTECH VEHICLES INC Consumer Cyclical 3 $1 NEW
Sector Allocation
Technology 30.7%
Financial Services 14.8%
Healthcare 10.7%
Communication Services 10.3%
Consumer Cyclical 10.1%
Industrials 8.9%
Consumer Defensive 4.7%
Energy 2.9%
Utilities 2.8%
Basic Materials 2.3%