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SG Americas Securities, LLC

· CIK 0001313360
13F Portfolio $92.9B AUM 3,194 positions Filed Apr 16, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
287 New 1251 Added 1532 Reduced 709 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 AVGO BROADCOM INC COM Technology 21,342,800 $6.61B 7.11% +10.4M +95.3%
2 GOOGL ALPHABET INC CAP STK CL A Communication Services 17,582,917 $5.06B 5.44% +9.8M +126.5%
3 JPM JPMORGAN CHASE & CO COM Financial Services 15,599,956 $4.59B 4.94% +9.4M +150.9%
4 MU MICRON TECHNOLOGY INC COM Technology 10,582,752 $3.58B 3.85% +6.3M +147.1%
5 META META PLATFORMS INC CL A Communication Services 5,991,150 $3.43B 3.69% +3.8M +173.3%
6 GOOGL ALPHABET INC CAP STK CL C Communication Services 10,824,846 $3.11B 3.34% +4.8M +78.7%
7 MSFT MICROSOFT CORP COM Technology 5,421,595 $2.01B 2.16% -1.3M -19.6%
8 AAPL APPLE INC COM Technology 6,964,698 $1.77B 1.90% -5.6M -44.7%
9 LRGF STATE STR SPDR S&P 500 ETF T TR UNIT 2,179,433 $1.42B 1.53% +1.6M +291.8%
10 LIN LINDE PLC Basic Materials 2,201,856 $1.09B 1.18% -223K -9.2%
11 JNJ JOHNSON & JOHNSON COM Healthcare 4,010,908 $980.4M 1.05% +2.2M +125.9%
12 AMZN AMAZON COM INC COM Consumer Cyclical 6,044,106 $973.7M 1.05% +420K +7.5%
13 EQIX EQUINIX INC COM Real Estate 896,484 $878.8M 0.95% +180K +25.1%
14 COST COSTCO WHOLESALE CORPORATION COM Consumer Defensive 817,441 $814.5M 0.88% +351K +75.1%
15 CALL LUMENTUM HLDGS INC 1,155,000 $688.5M 0.74%
16 PDD PDD HOLDINGS INC SPONSORED ADS Consumer Cyclical 6,301,820 $643.9M 0.69% +3.1M +94.6%
17 TSLA TESLA INC COM Consumer Cyclical 1,699,714 $631.9M 0.68% +473K +38.6%
18 DHR DANAHER CORP DEL COM Healthcare 3,331,048 $631.6M 0.68% +1.4M +72.3%
19 V VISA INC COM CL A Financial Services 2,085,903 $630.4M 0.68% -937K -31.0%
20 SNDK SANDISK CORP COM Technology 944,503 $600.1M 0.65% +491K +108.4%
21 LLY ELI LILLY & CO COM Healthcare 652,281 $599.9M 0.65% +396K +154.9%
22 AXP AMERICAN EXPRESS CO COM Financial Services 1,965,738 $594.6M 0.64% +771K +64.5%
23 BMY BRISTOL-MYERS SQUIBB CO COM Healthcare 8,910,032 $540.4M 0.58% +6.3M +239.6%
24 UNH UNITEDHEALTH GROUP INC COM Healthcare 1,960,359 $530.5M 0.57% +265K +15.6%
25 APH AMPHENOL CORP CL A Technology 4,159,165 $525.5M 0.57% +3.1M +294.3%
26 SYK STRYKER CORPORATION COM Healthcare 1,525,239 $501.2M 0.54% +959K +169.2%
27 CVX CHEVRON CORPORATION COM Energy 2,364,671 $489.2M 0.53% +1.0M +73.8%
28 GE GE AEROSPACE COM NEW Industrials 1,715,481 $486.8M 0.52% +1.2M +204.1%
29 QQQM INVESCO QQQ TR UNIT SER 1 809,697 $467.3M 0.50% +596K +278.9%
30 BKNG BOOKING HOLDINGS INC COM Consumer Cyclical 97,911 $412.2M 0.44% +90K +1145.2%
31 WMT WALMART INC COM Consumer Defensive 3,195,932 $397.2M 0.43% -548K -14.6%
32 CMI CUMMINS INC COM Industrials 736,670 $396.3M 0.43% +531K +257.9%
33 ASML ASML HLDG NV N Y REGISTRY Technology 293,392 $387.5M 0.42% -4K -1.3%
34 GLD SPDR GOLD TR GOLD Financial Services 883,213 $380.0M 0.41% +225K +34.2%
35 NFLX NETFLIX INC. COM Communication Services 3,717,505 $357.4M 0.39% +1.8M +96.6%
36 COHR COHERENT CORP COM Technology 1,478,984 $352.3M 0.38% +1.4M +1646.1%
37 PM PHILIP MORRIS INTL INC COM Consumer Defensive 2,091,125 $345.7M 0.37% -169K -7.5%
38 MMM 3M CO COM Industrials 2,369,879 $344.2M 0.37% +2.1M +653.6%
39 USB US BANCORP COM NEW Financial Services 6,559,944 $341.2M 0.37% +2.2M +51.4%
40 MCD MCDONALDS CORP COM Consumer Cyclical 963,550 $299.5M 0.32% +393K +68.9%
41 INTU INTUIT COM Technology 674,982 $291.8M 0.31% +427K +172.1%
42 COMCAST CORP NEW CL A 10,074,374 $289.2M 0.31% +2.7M +36.2%
43 KO COCA COLA CO COM Consumer Defensive 3,616,403 $275.0M 0.30% +591K +19.5%
44 GLW CORNING INC COM Technology 2,004,676 $272.6M 0.29% +1.4M +224.0%
45 JCI JOHNSON CONTROLS INTERNATION Industrials 2,068,995 $270.9M 0.29% +1.8M +660.6%
46 PFE PFIZER INC COM Healthcare 9,513,295 $267.1M 0.29% +4.1M +75.8%
47 T AT&T INC COM Communication Services 9,125,571 $264.6M 0.28% +2.3M +33.3%
48 HST HOST HOTELS & RESORTS INC COM Real Estate 13,755,486 $263.6M 0.28% +9.8M +251.9%
49 LITE LUMENTUM HLDGS INC COM Technology 371,251 $260.9M 0.28% +75K +25.4%
50 GD GENERAL DYNAMICS CORP COM Industrials 750,462 $257.6M 0.28% +159K +26.9%
51 ABBV ABBVIE INC COM Healthcare 1,135,261 $246.9M 0.27% +613K +117.2%
52 BRK/B BERKSHIRE HATHAWAY INC DEL CL B NEW 509,344 $244.1M 0.26% +102K +25.1%
53 IYE EXXON MOBIL CORP COM 1,433,096 $243.1M 0.26% +622K +76.7%
54 CAH CARDINAL HEALTH INC COM Healthcare 1,147,406 $242.5M 0.26% +420K +57.7%
55 PEP PEPSICO INC COM Consumer Defensive 1,549,237 $240.6M 0.26% -241K -13.4%
56 AMT AMERICAN TOWER CORP COM Real Estate 1,382,740 $238.6M 0.26% +271K +24.4%
57 HCA HCA HEALTHCARE INC COM Healthcare 496,510 $235.0M 0.25% +362K +268.3%
58 HON HONEYWELL INTL INC COM Industrials 1,037,231 $234.4M 0.25% -3.0M -74.4%
59 ELV ELEVANCE HEALTH INC FORMERLY COM Healthcare 796,553 $233.2M 0.25% +561K +238.6%
60 LRCX LAM RESEARCH CORP COM NEW Technology 1,086,364 $232.1M 0.25% +476K +78.1%
61 C CITIGROUP INC COM NEW Financial Services 2,036,286 $230.9M 0.25% +717K +54.3%
62 PGR PROGRESSIVE CORP COM Financial Services 1,133,726 $224.8M 0.24% -7K -0.6%
63 PYPL PAYPAL HLDGS INC COM Financial Services 4,967,170 $224.7M 0.24% +3.9M +355.1%
64 WELL WELLTOWER INC COM Real Estate 1,122,894 $222.0M 0.24% +863K +331.4%
65 INTC INTEL CORP COM Technology 4,904,643 $216.4M 0.23% +1.4M +39.0%
66 DIS DISNEY WALT CO COM Communication Services 2,245,404 $216.4M 0.23% +1.9M +644.9%
67 CAT CATERPILLAR INC COM Industrials 305,431 $216.4M 0.23% -128K -29.5%
68 ABT ABBOTT LABORATORIES COM Healthcare 2,064,157 $211.9M 0.23% +1.1M +114.4%
69 FIX COMFORT SYS USA INC COM Industrials 153,458 $211.6M 0.23% +31K +25.3%
70 ACN ACCENTURE PLC IRELAND SHS CLASS A Technology 1,059,171 $210.0M 0.23% +99K +10.3%
71 ORCL ORACLE CORP COM Technology 1,396,782 $205.5M 0.22% -915K -39.6%
72 WBD WARNER BROS DISCOVERY INC COM SER A Communication Services 7,411,707 $203.5M 0.22% +3.6M +96.0%
73 AIG AMERICAN INTL GROUP INC COM NEW Financial Services 2,703,304 $203.4M 0.22% +803K +42.3%
74 AES AES CORP COM Utilities 14,280,668 $201.2M 0.22% +7.1M +99.8%
75 MRK MERCK & CO INC COM Healthcare 1,665,520 $200.3M 0.22% +274K +19.7%
76 CRM SALESFORCE INC COM Technology 1,071,815 $200.1M 0.21% -413K -27.8%
77 TE CONNECTIVITY PLC ORD 955,816 $199.8M 0.21% +461K +93.2%
78 MPWR MONOLITHIC PWR SYS INC COM Technology 181,766 $198.7M 0.21% -80K -30.7%
79 AMD ADVANCED MICRO DEVICES INC COM Technology 952,724 $193.8M 0.21% +392K +69.8%
80 ZS PUT ZSCALER INC Technology 737,700 $192.4M 0.21% -33K -4.3%
81 A AGILENT TECHNOLOGIES INC COM Healthcare 1,674,856 $190.9M 0.20% +867K +107.2%
82 BKR BAKER HUGHES COMPANY CL A Energy 3,119,241 $190.4M 0.20% +2.3M +273.7%
83 ROST ROSS STORES INC COM Consumer Cyclical 873,589 $189.2M 0.20% +698K +398.6%
84 RSG REPUBLIC SVCS INC COM Industrials 858,726 $188.1M 0.20% +283K +49.2%
85 WM WASTE MGMT INC DEL COM Industrials 813,358 $186.9M 0.20% -334K -29.1%
86 ALIBABA GROUP HLDG LTD SPONSORED ADS 1,486,176 $186.5M 0.20% -218K -12.8%
87 DG DOLLAR GEN CORP COM Consumer Defensive 1,554,918 $184.6M 0.20% +1.5M +1583.5%
88 AMAT APPLIED MATLS INC COM Technology 533,283 $182.3M 0.20% +92K +20.9%
89 MO ALTRIA GROUP INC COM Consumer Defensive 2,686,002 $177.2M 0.19% -952K -26.2%
90 HILTON WORLDWIDE HLDGS INC COM 567,890 $172.7M 0.19% +248K +77.3%
91 LDOS LEIDOS HOLDINGS INC COM Technology 1,097,724 $170.7M 0.18% +998K +998.6%
92 EIX EDISON INTL COM Utilities 2,294,019 $167.9M 0.18% +997K +76.8%
93 COP CONOCOPHILLIPS COM Energy 1,268,576 $167.5M 0.18% +679K +115.0%
94 LMT LOCKHEED MARTIN CORP COM Industrials 276,383 $167.0M 0.18% +14K +5.4%
95 TGT TARGET CORP COM Consumer Defensive 1,359,679 $164.8M 0.18% +687K +102.1%
96 VRT VERTIV HOLDINGS CO COM CL A Industrials 642,290 $160.9M 0.17% +569K +781.1%
97 PLTR PALANTIR TECHNOLOGIES INC CL A Technology 1,083,816 $158.5M 0.17% -274K -20.2%
98 ATI ATI INC COM Industrials 1,075,368 $156.4M 0.17% +1.0M +1471.8%
99 AMGN AMGEN INC COM Healthcare 442,661 $155.8M 0.17% +45K +11.4%
100 NEM NEWMONT CORP COM Basic Materials 1,434,686 $155.3M 0.17% +608K +73.5%
101 VICI VICI PPTYS INC COM Real Estate 5,659,186 $154.6M 0.17% +5.1M +1001.4%
102 NXPI NXP SEMICONDUCTORS N V COM Technology 768,773 $151.3M 0.16% +268K +53.6%
103 VLTO VERALTO CORP COM Industrials 1,681,786 $148.7M 0.16% +900K +115.2%
104 ARM ARM HOLDINGS PLC SPONSORED ADS Technology 971,067 $146.9M 0.16% +705K +265.6%
105 PLD PROLOGIS INC. COM Real Estate 1,098,612 $145.2M 0.16% +509K +86.4%
106 PWR QUANTA SVCS INC COM Industrials 264,207 $145.1M 0.16% +190K +255.6%
107 MCK MCKESSON CORP COM Healthcare 166,792 $144.3M 0.15% +31K +22.9%
108 ADI ANALOG DEVICES INC COM Technology 451,149 $143.5M 0.15% -35K -7.1%
109 NORWEGIAN CRUISE LINE HLDGS 7,631,139 $142.7M 0.15% +6.1M +386.6%
110 EOG RES INC COM 979,410 $141.6M 0.15% +379K +63.2%
111 NTAP NETAPP INC COM Technology 1,329,475 $136.1M 0.15% +1.1M +378.9%
112 XME SEA LTD SPONSORD ADS 1,642,304 $136.0M 0.15% +97K +6.3%
113 CRCL CIRCLE INTERNET GROUP INC COM CL A Financial Services 1,415,875 $135.1M 0.14% +1.1M +295.6%
114 GS GOLDMAN SACHS GROUP INC COM Financial Services 159,527 $135.0M 0.14% -78K -32.9%
115 GILD GILEAD SCIENCES INC COM Healthcare 968,035 $134.9M 0.14% -301K -23.7%
116 TER TERADYNE INC COM Technology 452,105 $134.0M 0.14% +253K +127.5%
117 IWM ISHARES TR RUSSELL 2000 ETF 533,865 $132.4M 0.14% +262K +96.2%
118 NSC NORFOLK SOUTHN CORP COM Industrials 459,805 $132.0M 0.14% +374K +437.4%
119 FDX FEDEX CORP COM Industrials 368,727 $131.3M 0.14% +259K +235.0%
120 DUT MOODYS CORP COM 300,036 $130.9M 0.14% +158K +111.6%
121 ISRG INTUITIVE SURGICAL INC COM NEW Healthcare 282,578 $130.3M 0.14% +4K +1.4%
122 PG PROCTER & GAMBLE CO COM Consumer Defensive 899,221 $129.9M 0.14% +493K +121.4%
123 DXCM DEXCOM INC COM Healthcare 2,065,277 $129.7M 0.14% +1.5M +281.7%
124 VZ VERIZON COMMUNICATIONS INC COM Communication Services 2,583,149 $129.7M 0.14% +629K +32.2%
125 ADP AUTOMATIC DATA PROCESSING IN COM Industrials 635,921 $129.2M 0.14% +177K +38.5%
126 JD JD.COM INC SPON ADS CL A Consumer Cyclical 4,334,816 $128.2M 0.14% +2.5M +141.0%
127 PNC PNC FINL SVCS GROUP INC COM Financial Services 615,865 $128.2M 0.14% +522K +554.7%
128 WDC 3 11/15/28 WESTERN DIGITAL CORP NOTE 3.00011/1 180,000 $127.8M 0.14% NEW
129 NEE NEXTERA ENERGY INC COM Utilities 1,364,962 $126.8M 0.14% +276K +25.4%
130 PANW PALO ALTO NETWORKS INC COM Technology 788,284 $126.4M 0.14% +331K +72.3%
131 REGN REGENERON PHARMACEUTICALS COM Healthcare 158,278 $122.3M 0.13% +27K +20.7%
132 LHX L3HARRIS TECHNOLOGIES INC COM Industrials 351,131 $121.2M 0.13% +148K +72.6%
133 CI THE CIGNA GROUP COM Healthcare 454,283 $121.2M 0.13% +132K +40.9%
134 GRMN GARMIN LTD Technology 506,273 $117.5M 0.13% +333K +192.8%
135 TDG TRANSDIGM GROUP INC COM Industrials 100,895 $116.9M 0.13% +54K +114.3%
136 NUE NUCOR CORP COM Basic Materials 685,141 $115.9M 0.12% +600K +701.6%
137 ANET ARISTA NETWORKS INC COM Technology 938,885 $115.3M 0.12% -100K -9.6%
138 NU HLDGS LTD ORD SHS CL A 7,964,591 $114.5M 0.12% +7.4M +1198.4%
139 FTNT FORTINET INC COM Technology 1,390,542 $113.6M 0.12% +523K +60.2%
140 SNPS SYNOPSYS INC COM Technology 282,116 $111.9M 0.12% +146K +107.9%
141 MRSH MARSH & MCLENNAN COS INC COM Financial Services 644,704 $111.8M 0.12% +534K +483.8%
142 MAR MARRIOTT INTL INC NEW CL A Consumer Cyclical 341,258 $111.6M 0.12% +119K +53.2%
143 HD HOME DEPOT INC COM Consumer Cyclical 336,561 $110.7M 0.12% -357K -51.5%
144 RTX RTX CORPORATION COM Industrials 570,109 $110.0M 0.12% +58K +11.4%
145 EA ELECTRONIC ARTS INC COM Communication Services 530,121 $108.1M 0.12% -67K -11.2%
146 SCHW SCHWAB CHARLES CORP COM Financial Services 1,508,397 $107.9M 0.12% +1.2M +476.6%
147 SLV ISHARES SILVER TR ISHARES Financial Services 1,576,707 $107.4M 0.12% -2.5M -61.2%
148 TFC TRUIST FINL CORP COM Financial Services 2,330,586 $107.1M 0.12% +2.1M +768.6%
149 ROP ROPER TECHNOLOGIES INC COM Industrials 301,227 $106.6M 0.12% -108K -26.3%
150 BDX BECTON DICKINSON & CO COM Healthcare 677,017 $106.4M 0.12% -53K -7.3%
151 F FORD MTR CO COM Consumer Cyclical 9,002,765 $103.9M 0.11% +7.4M +458.7%
152 FTI TECHNIPFMC PLC COM Energy 1,441,583 $99.7M 0.11% +932K +182.7%
153 COR CENCORA INC COM Healthcare 311,140 $97.7M 0.10% -8K -2.6%
154 CCL1EUR CARNIVAL CORP COMMON STOCK 3,773,875 $97.7M 0.10% +907K +31.6%
155 KIM KIMCO REALTY CORP COM Real Estate 4,308,961 $96.8M 0.10% +1.9M +77.6%
156 LOW LOWES COS INC COM Consumer Cyclical 408,249 $96.5M 0.10% +333K +439.9%
157 MDY STATE STR SPDR S&P MIDCAP 40 UTSER1 S&PDCRP Financial Services 153,398 $94.6M 0.10% +68K +78.9%
158 CL COLGATE PALMOLIVE CO COM Consumer Defensive 1,104,306 $94.1M 0.10% -85K -7.1%
159 EMR EMERSON ELEC CO COM Industrials 714,329 $93.6M 0.10% +272K +61.7%
160 UNP UNION PAC CORP COM Industrials 385,680 $93.6M 0.10% +175K +82.8%
161 VST VISTRA CORP COM Utilities 619,979 $93.2M 0.10% +315K +103.0%
162 3M4 MASIMO CORP COM 522,824 $93.0M 0.10% +506K +3082.3%
163 NET PUT CLOUDFLARE INC Technology 1,013,400 $92.4M 0.10%
164 EWZ ISHARES INC MSCI BRAZIL ETF 2,344,250 $90.0M 0.10% +2.0M +645.6%
165 CEG CONSTELLATION ENERGY CORP COM Utilities 320,556 $89.5M 0.10% +46K +16.7%
166 QCOM QUALCOMM INC COM Technology 692,475 $89.2M 0.10% -643K -48.1%
167 ADBE ADOBE INC COM Technology 366,779 $89.2M 0.10% +12K +3.4%
168 RBRK PUT RUBRIK INC. Technology 1,200,000 $89.0M 0.10%
169 CME CME GROUP INC COM Financial Services 299,355 $88.4M 0.10% +61K +25.8%
170 CVS CVS HEALTH CORP COM Healthcare 1,228,069 $87.5M 0.09% +148K +13.7%
171 WIX WIX COM LTD Technology 970,500 $87.4M 0.09% +18K +1.9%
172 CBRE CBRE GROUP INC CL A Real Estate 641,686 $86.9M 0.09% +546K +571.7%
173 SREA SEMPRA COM Utilities 884,642 $86.0M 0.09% +673K +317.2%
174 BRK/A BERKSHIRE HATHAWAY INC DEL CL A 119 $85.5M 0.09%
175 TOWER SEMICONDUCTOR LTD SHS NEW 486,865 $85.4M 0.09% NEW
176 CW CURTISS WRIGHT CORP COM Industrials 123,018 $83.8M 0.09% +97K +373.1%
177 IBM INTERNATIONAL BUSINESS MACHS COM Technology 343,965 $83.4M 0.09% -199K -36.7%
178 LVS LAS VEGAS SANDS CORP COM Consumer Cyclical 1,529,236 $82.4M 0.09% +651K +74.2%
179 KINDER MORGAN INC DEL COM 2,445,534 $82.0M 0.09% +332K +15.7%
180 XYL XYLEM INC COM Industrials 681,904 $81.5M 0.09% +490K +255.4%
181 UPS UNITED PARCEL SVCS INC CL B Industrials 824,050 $81.1M 0.09% +547K +197.4%
182 SBAC SBA COMMUNICATIONS CORP CL A Real Estate 469,911 $80.9M 0.09% +296K +170.6%
183 TT TRANE TECHNOLOGIES PLC Industrials 193,655 $80.7M 0.09% -230K -54.3%
184 MSCI MSCI INC COM Financial Services 147,525 $79.5M 0.09% +78K +112.5%
185 EW EDWARDS LIFESCIENCES CORP COM Healthcare 980,609 $78.5M 0.09% +387K +65.2%
186 UNFI UNITED NAT FOODS INC COM Consumer Defensive 1,732,060 $78.0M 0.08% +1.1M +155.1%
187 RCL ROYAL CARIBBEAN GROUP COM Consumer Cyclical 278,869 $76.7M 0.08% -68K -19.7%
188 IVV ISHARES TR CORE S&P500 ETF 117,372 $76.7M 0.08% +62K +110.2%
189 NET CALL CLOUDFLARE INC Technology 1,010,200 $76.5M 0.08%
190 AME AMETEK INC COM Industrials 356,862 $76.5M 0.08% +169K +90.1%
191 CALL SPDR GOLD TR 848,600 $75.2M 0.08% -342K -28.7%
192 ETSY ETSY INC COM Consumer Cyclical 1,497,174 $74.8M 0.08% +1.3M +823.6%
193 ICE INTERCONTINENTAL EXCHANGE IN COM Financial Services 475,579 $74.8M 0.08% +254K +114.4%
194 KHC KRAFT HEINZ CO COM Consumer Defensive 3,319,277 $74.7M 0.08% +1.9M +127.6%
195 EXPE EXPEDIA GROUP INC COM NEW Consumer Cyclical 321,252 $74.2M 0.08% +244K +316.6%
196 MA MASTERCARD INCORPORATED CL A Financial Services 148,427 $74.2M 0.08% +13K +9.5%
197 CIEN CIENA CORP COM NEW Technology 190,949 $74.1M 0.08% +114K +147.3%
198 GWW WW GRAINGER INC COM Industrials 67,902 $74.1M 0.08%
199 NRG NRG ENERGY INC COM NEW Utilities 502,436 $73.4M 0.08% +465K +1247.6%
200 MELI MERCADOLIBRE INC COM Consumer Cyclical 42,409 $73.3M 0.08% +21K +93.7%
201 BK BANK NEW YORK MELLON CORP COM Financial Services 617,715 $73.3M 0.08% +132K +27.1%
202 MRVL MARVELL TECHNOLOGY INC COM Technology 737,415 $73.0M 0.08% -1.7M -69.8%
203 VMC VULCAN MATLS CO COM Basic Materials 263,951 $71.9M 0.08% +159K +151.0%
204 HUM HUMANA INC COM Healthcare 410,634 $71.2M 0.08% +334K +434.4%
205 NOW SERVICENOW INC COM Technology 679,699 $71.1M 0.08% -1.1M -62.4%
206 NVDA CALL NVIDIA CORPORATION Technology 2,653,300 $70.7M 0.08% -361K -12.0%
207 HO1 HOLOGIC INC COM 932,831 $70.5M 0.08% +512K +121.5%
208 AL AIR LEASE CORP CL A 1,081,868 $70.3M 0.08% +860K +387.3%
209 NKE NIKE INC CL B Consumer Cyclical 1,320,388 $69.7M 0.07% +167K +14.5%
210 MSTR STRATEGY INC CL A NEW Technology 558,805 $69.7M 0.07% -170K -23.3%
211 HBAN HUNTINGTON BANCSHARES INC COM Financial Services 4,446,473 $69.6M 0.07% +3.8M +644.5%
212 STT STATE STR SPDR DOW JONES IND UT SER 1 Financial Services 150,011 $69.5M 0.07% +98K +186.3%
213 SYY SYSCO CORP COM Consumer Defensive 970,947 $69.3M 0.07% +697K +254.7%
214 IBN ICICI BANK LIMITED ADR Financial Services 2,662,894 $69.0M 0.07% +1.8M +202.7%
215 DE DEERE & CO COM Industrials 122,349 $68.9M 0.07% -123K -50.1%
216 INVH INVITATION HOMES INC COM Real Estate 2,743,929 $68.2M 0.07% +1.5M +127.8%
217 DELL TECHNOLOGIES INC CL C 414,765 $68.1M 0.07% +113K +37.4%
218 CRWV COREWEAVE INC COM CL A Technology 876,527 $67.9M 0.07% +547K +166.1%
219 GTLB GITLAB INC CLASS A COM Technology 3,135,394 $67.8M 0.07% +3.1M +6528.0%
220 FCX FREEPORT MCMORAN INC CL B Basic Materials 1,150,809 $67.6M 0.07% -25K -2.1%
221 J JACOBS SOLUTIONS INC COM Industrials 530,083 $67.5M 0.07% +394K +289.6%
222 PODD INSULET CORP COM Healthcare 318,848 $66.9M 0.07% +280K +712.1%
223 SLB SLB LIMITED COM STK Energy 1,301,506 $66.9M 0.07% +205K +18.6%
224 MNDY MONDAY COM LTD Technology 967,427 $66.9M 0.07% +35K +3.7%
225 TMO THERMO FISHER SCIENTIFIC INC COM Healthcare 143,935 $66.7M 0.07% +10K +7.6%
226 QNITY ELECTRONICS INC COMMON STOCK 574,466 $66.3M 0.07% +341K +146.0%
227 ADSK AUTODESK INC COM Technology 272,548 $65.2M 0.07% +167K +158.4%
228 VTRS VIATRIS INC COM Healthcare 4,812,814 $65.0M 0.07% +4.5M +1581.9%
229 DUK DUKE ENERGY CORP NEW COM NEW Utilities 495,934 $64.9M 0.07% -345K -41.0%
230 OREILLY AUTOMOTIVE INC COM 703,015 $64.9M 0.07% +35K +5.2%
231 XOM CALL EXXON MOBIL CORP Energy 2,381,600 $64.9M 0.07% +516K +27.7%
232 ABNB AIRBNB INC COM CL A Consumer Cyclical 624,000 $64.1M 0.07% +387K +163.6%
233 BAC BANK AMERICA CORP COM Financial Services 1,314,838 $64.1M 0.07% +450K +52.0%
234 ETN EATON CORP PLC Industrials 176,989 $63.3M 0.07% -188K -51.5%
235 TRV TRAVELERS COMPANIES INC COM Financial Services 216,982 $63.3M 0.07% +45K +26.0%
236 TTWO TAKE-TWO INTERACTIVE SOFTWAR COM Communication Services 319,643 $63.1M 0.07% +214K +201.9%
237 MAA MID-AMER APT CMNTYS INC COM Real Estate 512,086 $62.5M 0.07% +430K +524.0%
238 DOCU DOCUSIGN INC COM Technology 1,314,632 $62.3M 0.07% +1.1M +452.3%
239 LNG CHENIERE ENERGY INC COM NEW Energy 217,920 $61.8M 0.07% +133K +157.5%
240 TEAM ATLASSIAN CORPORATION CL A Technology 905,629 $61.8M 0.07% +830K +1091.4%
241 FIDELITY NATL INFORMATION SV COM 1,307,288 $61.3M 0.07% +731K +127.0%
242 EXE EXPAND ENERGY CORPORATION COM Energy 553,079 $60.7M 0.07% +384K +228.0%
243 EL LAUDER ESTEE COS INC CL A Consumer Defensive 838,759 $60.2M 0.07% +389K +86.5%
244 PTCT PTC THERAPEUTICS INC COM Healthcare 879,701 $59.9M 0.07% -15K -1.6%
245 CHWY CHEWY INC CL A Consumer Cyclical 2,213,220 $59.8M 0.06% +2.0M +764.8%
246 SATS ECHOSTAR CORP CL A Technology 508,734 $59.6M 0.06% +472K +1301.1%
247 FITBI FIFTH THIRD BANCORP COM Financial Services 1,276,644 $59.3M 0.06% +1.0M +411.4%
248 BLK BLACKROCK INC COM Financial Services 60,911 $58.6M 0.06% +2K +3.0%
249 BSX BOSTON SCIENTIFIC CORP COM Healthcare 931,155 $58.4M 0.06% +545K +140.9%
250 NEOG NEOGEN CORP COM Healthcare 6,266,033 $58.2M 0.06% +4.6M +287.4%
251 DVN DEVON ENERGY CORP NEW COM Energy 1,154,888 $58.1M 0.06% -81K -6.6%
252 ED CONSOLIDATED EDISON INC COM Utilities 510,878 $57.8M 0.06% -33K -6.0%
253 TJX TJX COS INC NEW COM Consumer Cyclical 360,915 $57.6M 0.06% -200K -35.6%
254 RBRK RUBRIK INC. CL A Technology 1,171,286 $57.4M 0.06% +1.1M +1284.7%
255 NDAQ NASDAQ INC COM Financial Services 674,919 $57.3M 0.06% +522K +340.6%
256 CMS CMS ENERGY CORP COM Utilities 736,195 $57.1M 0.06% +400K +119.2%
257 HRMY HARMONY BIOSCIENCES HLDGS IN COM Healthcare 2,018,174 $56.5M 0.06% +1.1M +109.9%
258 CDNS CADENCE DESIGN SYSTEM INC COM Technology 203,046 $56.4M 0.06% +115K +129.6%
259 WFC WELLS FARGO & CO COM Financial Services 708,295 $56.4M 0.06% +164K +30.1%
260 UBER UBER TECHNOLOGIES INC COM Technology 772,435 $55.6M 0.06% +592K +328.4%
261 M MACYS INC COM Consumer Cyclical 3,059,374 $55.3M 0.06% +2.8M +1344.4%
262 PH PARKER-HANNIFIN CORP COM Industrials 61,660 $55.2M 0.06% +24K +64.5%
263 BRX BRIXMOR PPTY GROUP INC COM Real Estate 1,905,232 $54.9M 0.06% +780K +69.3%
264 ON ON SEMICONDUCTOR CORP COM Technology 885,336 $54.8M 0.06% -103K -10.4%
265 D DOMINION ENERGY INC COM Utilities 875,341 $54.1M 0.06% +342K +64.0%
266 QRVO QORVO INC COM Technology 698,958 $54.1M 0.06% +464K +198.1%
267 SDA SEALED AIR CORP NEW COM Consumer Cyclical 1,284,638 $54.0M 0.06% +1.3M +8220.7%
268 SPOT SPOTIFY TECHNOLOGY S A Communication Services 110,947 $53.8M 0.06% -11K -9.2%
269 RL RALPH LAUREN CORP CL A Consumer Cyclical 155,399 $53.5M 0.06% +9K +6.5%
270 NOC NORTHROP GRUMMAN CORP COM Industrials 77,347 $52.8M 0.06% -90K -53.8%
271 COF CAPITAL ONE FINL CORP COM Financial Services 287,852 $52.5M 0.06% +91K +46.2%
272 PCG PG&E CORP COM Utilities 2,984,809 $52.4M 0.06% +2.3M +366.6%
273 GEHC GE HEALTHCARE TECHNOLOGIES I COMMON STOCK Healthcare 734,773 $52.3M 0.06% +130K +21.5%
274 VLO VALERO ENERGY CORP COM Energy 210,280 $52.0M 0.06% +144K +217.6%
275 WAB WABTEC COM Industrials 206,116 $51.5M 0.06% +54K +35.3%
276 EFA ISHARES TR MSCI EAFE ETF 527,893 $51.3M 0.06% -1.1M -67.1%
277 COIN 0.25 04/01/30 COINBASE GLOBAL INC NOTE 0.250 4/0 550,000 $51.2M 0.06%
278 BROADRIDGE FINL SOLUTIONS IN COM 313,889 $51.0M 0.06% +112K +55.5%
279 CXM SPRINKLR INC CL A Technology 8,377,479 $50.3M 0.05% +3.8M +84.9%
280 SPY PUT STATE STR SPDR S&P 500 ETF T Financial Services 2,409,000 $50.2M 0.05% +362K +17.7%
281 OXY OCCIDENTAL PETE CORP COM Energy 783,041 $50.0M 0.05% +461K +143.0%
282 TMUS T-MOBILE US INC COM Communication Services 373,655 $50.0M 0.05% -30K -7.4%
283 XBI SPDR SERIES TRUST STATE STREET SPD 391,243 $50.0M 0.05% +86K +28.2%
284 DOV DOVER CORP COM Industrials 238,862 $49.8M 0.05% +190K +390.5%
285 PUT LUMENTUM HLDGS INC 1,296,000 $49.6M 0.05%
286 APTV APTIV PLC COM Consumer Cyclical 711,959 $49.4M 0.05% +602K +544.7%
287 BBY BEST BUY INC COM Consumer Cyclical 772,157 $49.0M 0.05% +708K +1098.2%
288 EEFT EURONET WORLDWIDE INC COM Technology 1,013,827 $48.9M 0.05% +1.0M +10000.0%
289 CCI CROWN CASTLE INC COM Real Estate 599,648 $48.8M 0.05% +319K +113.3%
290 KWEB KRANESHARES TRUST CSI CHI INTERNET 1,693,386 $48.1M 0.05% +1.5M +925.2%
291 DECK DECKERS OUTDOOR CORP COM Consumer Cyclical 480,769 $48.1M 0.05% +240K +99.9%
292 CSX CSX CORP COM Industrials 1,170,841 $48.1M 0.05% -211K -15.3%
293 WDC WESTERN DIGITAL CORP COM Technology 177,180 $47.9M 0.05% +53K +42.7%
294 MNST MONSTER BEVERAGE CORP NEW COM Consumer Defensive 657,779 $47.7M 0.05% +351K +114.5%
295 DOW DOW HLDGS INC COM Basic Materials 1,143,200 $47.6M 0.05% +147K +14.7%
296 HDB HDFC BANK LTD SPONSORED ADS Financial Services 1,913,692 $47.6M 0.05% +1.9M +6904.2%
297 WMB WILLIAMS COS INC COM Energy 653,849 $47.6M 0.05% -3.1M -82.3%
298 RSP INVESCO EXCHANGE TRADED FD T S&P500 EQL WGT 243,971 $46.8M 0.05% +235K +2482.5%
299 ARCH CAP GROUP LTD ORD 485,292 $46.6M 0.05% +200K +70.2%
300 URI UNITED RENTALS INC COM Industrials 63,620 $46.4M 0.05% -19K -23.2%
301 BWA BORGWARNER INC COM Consumer Cyclical 834,699 $45.3M 0.05% +745K +831.2%
302 WCN WASTE CONNECTIONS INC COM Industrials 277,968 $45.2M 0.05% +44K +19.1%
303 KR KROGER CO COM Consumer Defensive 617,934 $44.7M 0.05% +161K +35.1%
304 HSIC SCHEIN HENRY INC COM Healthcare 606,492 $44.7M 0.05% -214K -26.1%
305 MTZ MASTEC INC COM Industrials 138,809 $44.7M 0.05% +109K +366.3%
306 TPC TUTOR PERINI CORP COM Industrials 578,515 $44.7M 0.05% +212K +58.0%
307 FXI ISHARES TR CHINA LG-CAP ETF 1,237,271 $44.4M 0.05% +222K +21.8%
308 AMKR AMKOR TECHNOLOGY INC COM Technology 978,570 $44.1M 0.05% +279K +39.8%
309 APP APPLOVIN CORP COM CL A Technology 110,469 $44.0M 0.05% +33K +43.2%
310 AEP AMERICAN ELEC PWR CO INC COM Utilities 335,172 $43.9M 0.05% -6K -1.6%
311 B BARRICK MNG CORP COM Basic Materials 1,065,042 $43.4M 0.05% +507K +91.0%
312 AFL AFLAC INC COM Financial Services 395,346 $43.4M 0.05% +245K +163.7%
313 BIDUN BAIDU INC SPON ADR REP A 385,315 $42.9M 0.05% +22K +6.0%
314 DGX QUEST DIAGNOSTICS INC COM Healthcare 217,286 $42.6M 0.05% +38K +20.9%
315 KVUE KENVUE INC COM Consumer Defensive 2,461,986 $42.4M 0.05% -614K -19.9%
316 BX BLACKSTONE INC COM Financial Services 367,766 $42.3M 0.05% +165K +81.4%
317 KLAC KLA CORP COM NEW Technology 28,708 $42.3M 0.04% +8K +40.3%
318 HOOD ROBINHOOD MKTS INC COM CL A Financial Services 1,491,273 $42.2M 0.04% +859K +135.8%
319 GLBE GLOBAL E ONLINE LTD Consumer Cyclical 1,365,092 $42.1M 0.04% +82K +6.4%
320 SPG SIMON PPTY GROUP INC NEW COM Real Estate 223,593 $41.7M 0.04% +26K +12.9%
321 MDLZ MONDELEZ INTL INC CL A Consumer Defensive 722,214 $41.6M 0.04% -419K -36.7%
322 JKHY HENRY JACK & ASSOC INC COM Technology 262,109 $41.4M 0.04% +187K +248.6%
323 EBAY EBAY INC. COM Consumer Cyclical 453,758 $41.3M 0.04% +213K +88.2%
324 PEG PUBLIC SVC ENTERPRISE GROUP COM Utilities 505,229 $40.9M 0.04% -76K -13.0%
325 AVY AVERY DENNISON CORP COM Industrials 236,309 $40.8M 0.04% +56K +31.1%
326 CRH CRH PLC ORD Basic Materials 384,235 $40.4M 0.04% -1.0M -72.3%
327 NDSN NORDSON CORP COM Industrials 151,709 $40.4M 0.04% +134K +774.5%
328 OKE ONEOK INC NEW COM Energy 446,104 $40.3M 0.04% +58K +14.9%
329 ENERGY TRANSFER L P COM UT LTD PTN 2,073,255 $40.0M 0.04% +133K +6.8%
330 OMC OMNICOM GROUP INC COM Communication Services 530,862 $40.0M 0.04% +383K +259.0%
331 LUV SOUTHWEST AIRLS CO COM Industrials 1,062,063 $39.9M 0.04% -2.7M -71.7%
332 ALGN ALIGN TECHNOLOGY INC COM Healthcare 232,442 $39.8M 0.04% +94K +67.8%
333 XLF SELECT SECTOR SPDR TR STATE STREET FIN 805,837 $39.8M 0.04% +636K +375.8%
334 HWM HOWMET AEROSPACE INC COM Industrials 171,559 $39.5M 0.04% +88K +106.3%
335 KDP KEURIG DR PEPPER INC COM Consumer Defensive 1,491,986 $39.3M 0.04% -439K -22.7%
336 LRN 1.125 09/01/27 STRIDE INC NOTE 1.125 9/0 228,190 $39.1M 0.04% NEW
337 DRH DIAMONDROCK HOSPITALITY CO COM Real Estate 4,172,671 $39.1M 0.04% +2.1M +106.1%
338 FSLR FIRST SOLAR INC COM Energy 197,258 $38.9M 0.04% +99K +100.5%
339 CNC CENTENE CORP DEL COM Healthcare 1,183,619 $38.8M 0.04% +381K +47.5%
340 PNFP PINNACLE FINL PARTNERS INC COM Financial Services 448,493 $38.6M 0.04% NEW
341 OC OWENS CORNING NEW COM Industrials 356,932 $38.6M 0.04% +144K +67.9%
342 CTRA COTERRA ENERGY INC COM Energy 1,092,646 $38.4M 0.04% +816K +295.0%
343 EXR EXTRA SPACE STORAGE INC COM Real Estate 292,159 $38.3M 0.04% +103K +54.8%
344 IYR ISHARES TR U.S. REAL ES ETF 403,457 $38.2M 0.04% +223K +123.4%
345 GGG GRACO INC COM Industrials 449,054 $38.0M 0.04% +325K +263.1%
346 JAZZ PHARMACEUTICALS PLC SHS USD 199,705 $37.8M 0.04% +64K +46.8%
347 KEYS KEYSIGHT TECHNOLOGIES INC COM Technology 133,278 $37.6M 0.04% +6K +4.6%
348 XEL XCEL ENERGY INC COM Utilities 471,299 $37.4M 0.04% -758K -61.7%
349 FIVE FIVE BELOW INC COM Consumer Cyclical 163,474 $37.4M 0.04% +143K +689.3%
350 HUN HUNTSMAN CORP COM Basic Materials 2,792,887 $37.2M 0.04% -585K -17.3%
351 VNOM VIPER ENERGY INC CL A Energy 790,772 $37.2M 0.04% +214K +37.2%
352 KGS KODIAK GAS SVCS INC COM Energy 635,705 $37.1M 0.04% +613K +2692.2%
353 MS MORGAN STANLEY COM NEW Financial Services 225,219 $37.1M 0.04% -74K -24.8%
354 LSTR LANDSTAR SYS INC COM Industrials 231,069 $37.0M 0.04% +210K +992.2%
355 IP INTERNATIONAL PAPER CO COM Consumer Cyclical 1,037,440 $37.0M 0.04% -553K -34.8%
356 YUM YUM BRANDS INC COM Consumer Cyclical 238,030 $37.0M 0.04% +210K +756.1%
357 CSTM CONSTELLIUM SE CL A Basic Materials 1,497,460 $36.8M 0.04% +523K +53.6%
358 MPC MARATHON PETE CORP COM Energy 149,920 $36.6M 0.04% -170K -53.2%
359 FISV FISERV INC COM Technology 653,231 $36.5M 0.04% +240K +57.9%
360 KEY KEYCORP COM Financial Services 1,810,016 $36.3M 0.04% +1.3M +289.2%
361 DDOG DATADOG INC CL A COM Technology 305,224 $36.0M 0.04% -197K -39.2%
362 TDAY USA TODAY CO INC COM Communication Services 5,102,391 $36.0M 0.04% -796K -13.5%
363 GRAB GRAB HOLDINGS LIMITED CLASS A ORD Technology 9,804,355 $35.9M 0.04% +5.2M +111.3%
364 BIIB BIOGEN INC COM Healthcare 195,668 $35.9M 0.04% +12K +6.4%
365 MTD METTLER TOLEDO INTERNATIONAL COM Healthcare 28,393 $35.8M 0.04% +22K +379.3%
366 LLYVA LIBERTY LIVE HOLDINGS INC COM SER A Communication Services 386,788 $35.4M 0.04% -51K -11.6%
367 ENPH ENPHASE ENERGY INC COM Energy 931,097 $35.2M 0.04% -35K -3.6%
368 UCTT ULTRA CLEAN HLDGS INC COM Technology 565,569 $35.2M 0.04% +440K +348.7%
369 FLEX FLEXTRONICS INTL LTD ORD Technology 532,373 $34.8M 0.04% +333K +167.1%
370 CFG CITIZENS FINL GROUP INC COM Financial Services 578,128 $34.7M 0.04% +271K +88.4%
371 ITGR INTEGER HLDGS CORP COM Healthcare 390,984 $34.4M 0.04% +374K +2196.5%
372 ZTS ZOETIS INC CL A Healthcare 290,332 $34.3M 0.04% +14K +5.0%
373 WAT WATERS CORP COM Healthcare 115,069 $34.3M 0.04% +78K +209.0%
374 DT DYNATRACE INC COM NEW Technology 924,069 $34.2M 0.04% +851K +1160.8%
375 FFIV F5 INC COM Technology 118,072 $34.2M 0.04% +83K +233.1%
376 PEN PENUMBRA INC COM Healthcare 102,035 $33.5M 0.04% +91K +818.3%
377 VIKING HOLDINGS LTD ORD 451,490 $33.2M 0.04% +238K +111.9%
378 AZO AUTOZONE INC COM Consumer Cyclical 9,785 $33.1M 0.04% -5K -35.1%
379 SHOP SHOPIFY INC CL A SUB VTG Technology 277,078 $32.9M 0.04% -232K -45.5%
380 AAMI ACADIAN ASSET MANAGEMENT INC COM Financial Services 603,683 $32.9M 0.04% +244K +67.9%
381 STT STATE STR CORP COM Financial Services 259,538 $32.8M 0.04% -6K -2.2%
382 DOCS DOXIMITY INC CL A Healthcare 1,408,597 $32.8M 0.04% +1.4M +3403.2%
383 HAL HALLIBURTON CO COM Energy 837,956 $32.7M 0.04% +93K +12.4%
384 MDB MONGODB INC CL A Technology 133,416 $32.7M 0.04% +121K +984.1%
385 DHI D R HORTON INC COM Consumer Cyclical 237,807 $32.6M 0.04% +36K +18.1%
386 DVA DAVITA INC COM Healthcare 212,293 $32.6M 0.04% +46K +27.4%
387 ALB ALBEMARLE CORP COM Basic Materials 180,759 $32.5M 0.04% +56K +44.5%
388 ROK ROCKWELL AUTOMATION INC COM Industrials 90,399 $32.4M 0.04% -1K -1.5%
389 VRSK VERISK ANALYTICS INC COM Industrials 169,816 $32.2M 0.04% -103K -37.8%
390 CRL CHARLES RIV LABS INTL INC COM Healthcare 186,173 $32.1M 0.04% +4K +2.4%
391 MSFT PUT MICROSOFT CORP Technology 924,900 $31.7M 0.03% +666K +257.8%
392 CMG CHIPOTLE MEXICAN GRILL INC COM Consumer Cyclical 985,226 $31.5M 0.03% -222K -18.4%
393 CINF CINCINNATI FINL CORP COM Financial Services 199,339 $31.4M 0.03% +65K +48.4%
394 ODFL OLD DOMINION FREIGHT LINE IN COM Industrials 159,817 $31.2M 0.03% -38K -19.1%
395 CTRE CARETRUST REIT INC COM Real Estate 850,861 $31.2M 0.03% -14K -1.6%
396 CTVA CORTEVA INC COM Basic Materials 371,650 $31.1M 0.03% -144K -28.0%
397 TOL TOLL BROTHERS INC COM Consumer Cyclical 227,044 $31.0M 0.03% +37K +19.2%
398 OKTA OKTA INC CL A Technology 392,421 $30.9M 0.03% +340K +641.7%
399 KNSA KINIKSA PHARMACEUTICALS INTL ORD SHS CL A Healthcare 640,179 $30.8M 0.03% +99K +18.2%
400 EVR EVERCORE INC CLASS A Financial Services 103,006 $30.7M 0.03% +100K +3886.3%
401 EXPD EXPEDITORS INTL WASH INC COM Industrials 213,627 $30.6M 0.03% +191K +837.2%
402 XLI SELECT SECTOR SPDR TR STATE STREET IND 189,016 $30.6M 0.03% +122K +180.2%
403 ECL ECOLAB INC COM Basic Materials 114,829 $30.5M 0.03% -169K -59.5%
404 VRSN VERISIGN INC COM Technology 122,623 $30.5M 0.03% +46K +59.2%
405 NIO NIO INC SPON ADS Consumer Cyclical 5,027,161 $30.3M 0.03% +2.0M +67.2%
406 ON HLDG AG NAMEN AKT A 880,329 $29.9M 0.03% +731K +489.8%
407 FOXA FOX CORP CL A COM Communication Services 511,811 $29.9M 0.03% +384K +299.8%
408 URGN UROGEN PHARMA LTD COM Healthcare 1,657,846 $29.8M 0.03% +280K +20.3%
409 XLK SELECT SECTOR SPDR TR STATE STREET TEC 223,212 $29.7M 0.03% +160K +251.2%
410 SNOW SNOWFLAKE INC COM Technology 217,249 $29.6M 0.03% +58K +36.4%
411 PFG PRINCIPAL FINANCIAL GROUP IN COM Financial Services 327,360 $29.5M 0.03% +83K +33.8%
412 GMED GLOBUS MED INC CL A Healthcare 340,452 $29.3M 0.03% +241K +241.1%
413 CBOE CBOE GLOBAL MKTS INC COM Financial Services 104,175 $29.3M 0.03% +10K +10.4%
414 PSA PUBLIC STORAGE OPER CO COM Real Estate 106,700 $28.9M 0.03% +40K +60.9%
415 ALL ALLSTATE CORP COM Financial Services 139,372 $28.9M 0.03% -27K -16.1%
416 PAYX PAYCHEX INC COM Industrials 312,328 $28.8M 0.03% -10K -3.1%
417 RJF RAYMOND JAMES FINL INC COM Financial Services 198,547 $28.7M 0.03% +78K +64.1%
418 CPRT COPART INC COM Industrials 861,515 $28.6M 0.03% +186K +27.6%
419 MET METLIFE INC COM Financial Services 404,334 $28.6M 0.03% +184K +83.6%
420 WST WEST PHARMACEUTICAL SVSC INC COM Healthcare 114,044 $28.6M 0.03% +13K +13.0%
421 PUT ISHARES TR 8,819,200 $28.5M 0.03% +2.5M +38.6%
422 WRB BERKLEY W R CORP COM Financial Services 425,134 $28.2M 0.03% +81K +23.6%
423 AER AERCAP HOLDINGS NV Industrials 205,342 $28.2M 0.03% +38K +23.0%
424 TDY TELEDYNE TECHNOLOGIES INC COM Technology 46,344 $28.0M 0.03% -26K -36.0%
425 PRU PRUDENTIAL FINL INC COM Financial Services 285,209 $27.9M 0.03% +238K +503.5%
426 SOJF SOUTHERN CO COM Utilities 288,378 $27.8M 0.03% -23K -7.3%
427 STX 3.5 06/01/28 SEAGATE HDD CAYMAN NOTE 3.500 6/0 60,000 $27.8M 0.03% NEW
428 FLG FLAGSTAR BANK NATIONAL ASSOC COM NEW Financial Services 2,098,389 $27.6M 0.03% +2.0M +3352.0%
429 ASNDUSD ASCENDIS PHARMA A/S SPONSORED ADR 120,790 $27.6M 0.03% +110K +977.2%
430 COIN COINBASE GLOBAL INC COM CL A Financial Services 325,244 $27.5M 0.03% +232K +250.0%
431 TIGO MILLICOM INTL CELLULAR S A COM STK Communication Services 366,461 $27.5M 0.03% -67K -15.4%
432 ESTC ELASTIC N V ORD Technology 548,722 $27.4M 0.03% +540K +6125.6%
433 CLX CLOROX CO DEL COM Consumer Defensive 264,194 $27.4M 0.03% -14K -5.1%
434 SOXX ISHARES TR ISHARES SEMICDTR 83,156 $27.3M 0.03% +55K +194.9%
435 O REALTY INCOME CORP COM Real Estate 444,723 $27.2M 0.03% -21K -4.5%
436 SMH VANECK ETF TRUST SEMICONDUCTR ETF 70,788 $27.1M 0.03% +62K +687.4%
437 FWONK LIBERTY MEDIA CORP DEL COM LBTY ONE S C Communication Services 318,594 $27.1M 0.03% +270K +556.5%
438 HPQ HP INC COM Technology 1,407,607 $27.0M 0.03% -381K -21.3%
439 QQQ PUT INVESCO QQQ TR Financial Services 1,678,600 $26.9M 0.03% -251K -13.0%
440 GIS GENERAL MILLS INC COM Consumer Defensive 721,688 $26.9M 0.03% +181K +33.4%
441 INCY INCYTE CORP COM Healthcare 285,152 $26.8M 0.03% +98K +52.7%
442 TSCO TRACTOR SUPPLY CO COM Consumer Cyclical 592,313 $26.8M 0.03% +160K +37.0%
443 FANG DIAMONDBACK ENERGY INC COM Energy 134,436 $26.6M 0.03% -27K -16.9%
444 ASCENDIS PHARMA A/S NOTE 2.250 4/0 180,000 $26.5M 0.03%
445 EXC EXELON CORP COM Utilities 539,108 $26.4M 0.03% -944K -63.7%
446 NFLX CALL NETFLIX INC. Communication Services 2,131,300 $26.4M 0.03% +689K +47.8%
447 LII LENNOX INTL INC COM Industrials 56,797 $26.4M 0.03% +25K +78.0%
448 LQD ISHARES TR IBOXX INV CP ETF 241,595 $26.3M 0.03% +238K +6160.6%
449 CVNA CARVANA CO CL A Consumer Cyclical 83,752 $26.3M 0.03% -170K -67.0%
450 BFH BREAD FINANCIAL HOLDINGS INC COM Financial Services 350,061 $26.2M 0.03% +315K +899.4%
451 AVB AVALONBAY CMNTYS INC COM Real Estate 159,728 $26.1M 0.03% +79K +96.7%
452 CHUBB LTD SWITZ COM 79,575 $25.9M 0.03% -169K -68.0%
453 MCHP MICROCHIP TECHNOLOGY INC. COM Technology 398,694 $25.8M 0.03% -93K -18.9%
454 SHW SHERWIN WILLIAMS CO COM Basic Materials 80,179 $25.7M 0.03% +53K +195.3%
455 OHI OMEGA HEALTHCARE INVS INC COM Real Estate 583,976 $25.6M 0.03% +297K +103.3%
456 VTR VENTAS INC COM Real Estate 311,502 $25.5M 0.03% +180K +136.4%
457 AON AON PLC SHS CL A Financial Services 78,916 $25.5M 0.03% -64K -44.9%
458 VERX VERTEX PHARMACEUTICALS INC COM Technology 56,982 $25.4M 0.03% -59K -50.8%
459 MKSI MKS INC. COM Technology 110,343 $25.4M 0.03% +91K +477.0%
460 PRICE T ROWE GROUP INC COM 279,200 $25.2M 0.03% +128K +85.1%
461 XLY SELECT SECTOR SPDR TR STATE STREET CON 230,903 $25.2M 0.03% +162K +235.4%
462 ACM AECOM COM Industrials 295,508 $25.1M 0.03% +211K +250.8%
463 EQR EQUITY RESIDENTIAL SH BEN INT Real Estate 422,890 $25.0M 0.03% -18K -4.2%
464 SUI SUN CMNTYS INC COM Real Estate 198,193 $25.0M 0.03% +95K +91.2%
465 ETR ENTERGY CORP NEW COM Utilities 222,006 $24.9M 0.03% +106K +91.4%
466 CALL ISHARES TR 3,062,100 $24.9M 0.03% -364K -10.6%
467 DINO HF SINCLAIR CORP COM Energy 399,094 $24.9M 0.03% +227K +131.3%
468 GPC GENUINE PARTS CO COM Consumer Cyclical 234,651 $24.8M 0.03% +193K +459.2%
469 RBLX ROBLOX CORP CL A Technology 437,011 $24.7M 0.03% +91K +26.4%
470 WDAY WORKDAY INC CL A Technology 190,109 $24.7M 0.03% +103K +117.7%
471 BE BLOOM ENERGY CORP COM CL A Industrials 182,226 $24.7M 0.03% -478K -72.4%
472 OTIS OTIS WORLDWIDE CORP COM Industrials 319,774 $24.6M 0.03% -179K -35.9%
473 LULU LULULEMON ATHLETICA INC COM Consumer Cyclical 160,202 $24.5M 0.03% -92K -36.4%
474 INDA ISHARES TR MSCI INDIA ETF 521,654 $24.4M 0.03% +424K +436.8%
475 NXT NEXTPOWER INC CLASS A COM Technology 200,669 $24.2M 0.03% +155K +335.4%
476 CIFR 1.75 05/15/30 CIPHER DIGITAL INC NOTE 1.750 5/1 83,410 $24.1M 0.03% NEW
477 BNTX BIONTECH SE SPONSORED ADS Healthcare 270,245 $24.0M 0.03% -95K -26.0%
478 TRS TRIMAS CORP COM NEW Consumer Cyclical 667,091 $24.0M 0.03% +582K +688.2%
479 ES EVERSOURCE ENERGY COM Utilities 344,771 $23.9M 0.03% +80K +30.2%
480 TSN TYSON FOODS INC CL A Consumer Defensive 371,431 $23.8M 0.03% -146K -28.1%
481 PKG PACKAGING CORP AMER COM Consumer Cyclical 112,138 $23.8M 0.03% +5K +4.7%
482 GVA GRANITE CONSTR INC COM Industrials 197,987 $23.7M 0.03% +5K +2.8%
483 NVDA PUT NVIDIA CORPORATION Technology 2,750,600 $23.6M 0.03% -2.7M -50.0%
484 BBDO CAMECO CORP COM Financial Services 217,275 $23.6M 0.03% -13K -5.6%
485 TEVA TEVA PHARMACEUTICAL INDS LTD SPONSORED ADS Healthcare 780,518 $23.5M 0.03% +546K +232.2%
486 STE STERIS PLC SHS USD Healthcare 105,707 $23.4M 0.03% -51K -32.7%
487 CF CF INDUSTRIES HOLD COM Basic Materials 179,800 $23.3M 0.03% +96K +114.6%
488 4DH DANA INC COM 690,454 $23.2M 0.03% +643K +1341.4%
489 EME EMCOR GROUP INC COM Industrials 31,414 $23.2M 0.03% -8K -21.1%
490 FERG FERGUSON ENTERPRISES INC COMMON STOCK NEW Industrials 99,028 $23.1M 0.03% +15K +17.6%
491 XYZ BLOCK INC CL A Technology 383,471 $23.1M 0.03% +82K +27.2%
492 SBUX STARBUCKS CORP COM Consumer Cyclical 265,970 $22.9M 0.03% -1.0M -79.7%
493 STRK STRATEGY INC NOTE 0.625 3/1 Technology 200,000 $22.8M 0.03%
494 EQT EQT CORP COM Energy 406,393 $22.8M 0.03% -111K -21.5%
495 AVPT AVEPOINT INC COM CL A Technology 2,391,696 $22.7M 0.02% +1.8M +335.2%
496 AVT AVNET INC COM Technology 367,698 $22.7M 0.02% +258K +235.7%
497 IM8N INSMED INC COM PAR $.01 137,149 $22.4M 0.02% +70K +105.4%
498 CDW CDW CORP COM Technology 185,196 $22.4M 0.02% -4K -2.2%
499 CTLP CANTALOUPE INC COM Technology 2,071,355 $22.4M 0.02% +1.8M +574.8%
500 NTRS NORTHERN TR CORP COM Financial Services 159,857 $22.3M 0.02% -20K -11.3%
501 TPL TEXAS PACIFIC LAND CORPORATI COM Energy 46,957 $22.3M 0.02% +38K +408.5%
502 TXT TEXTRON INC COM Industrials 253,654 $22.2M 0.02% -176K -40.9%
503 SW SMURFIT WESTROCK PLC Consumer Cyclical 555,264 $22.1M 0.02% +403K +264.5%
504 THC TENET HEALTHCARE CORP COM NEW Healthcare 117,161 $22.1M 0.02% -56K -32.5%
505 ESS ESSEX PPTY TR INC COM Real Estate 91,254 $22.1M 0.02% +29K +45.5%
506 CPAY CORPAY INC COM Technology 75,549 $22.0M 0.02% +51K +211.2%
507 TRNO TERRENO RLTY CORP COM Real Estate 357,735 $22.0M 0.02% +57K +18.9%
508 SF STIFEL FINL CORP COM Financial Services 296,572 $21.9M 0.02% +171K +136.8%
509 RMD RESMED INC COM Healthcare 97,275 $21.8M 0.02% +51K +111.1%
510 CUBE CUBESMART COM Real Estate 594,294 $21.8M 0.02% -145K -19.6%
511 ADM ARCHER DANIELS MIDLAND CO COM Consumer Defensive 299,426 $21.8M 0.02% +229K +324.0%
512 GDDY GODADDY INC CL A Technology 262,951 $21.7M 0.02% +12K +4.6%
513 BRO BROWN & BROWN INC COM Financial Services 332,213 $21.7M 0.02% +111K +50.2%
514 MSTR 0 03/01/30 STRATEGY INC NOTE 3/0 250,000 $21.6M 0.02% NEW
515 C CALL CITIGROUP INC Financial Services 613,900 $21.5M 0.02% +104K +20.4%
516 SYF SYNCHRONY FINANCIAL COM Financial Services 315,520 $21.5M 0.02% +131K +71.4%
517 ATAT ATOUR LIFESTYLE HLDGS LTD SPONSORED ADS Consumer Cyclical 581,946 $21.4M 0.02% -121K -17.2%
518 KKRT KKR & CO INC COM Financial Services 231,453 $21.4M 0.02% -86K -27.1%
519 CIT CINTAS CORP COM 126,432 $21.4M 0.02% -877K -87.4%
520 ARMSTRONG WORLD INDS INC NEW COM 129,686 $21.4M 0.02% +31K +31.7%
521 CLS CELESTICA INC COM Technology 75,377 $21.2M 0.02% +6K +8.1%
522 VIPSHOP HLDGS LTD SPONSORED ADS A 1,344,090 $21.1M 0.02% +411K +44.1%
523 SNX TD SYNNEX CORPORATION COM Technology 125,141 $21.1M 0.02% +49K +65.3%
524 PNR PENTAIR PLC Industrials 241,649 $21.1M 0.02% -121K -33.4%
525 MU CALL MICRON TECHNOLOGY INC Technology 299,200 $21.0M 0.02% +101K +51.0%
526 TTD THE TRADE DESK INC COM CL A Technology 923,312 $20.9M 0.02% +520K +129.2%
527 GAMING & LEISURE P COM 472,013 $20.9M 0.02% +109K +30.1%
528 FTV FORTIVE CORP COM Technology 378,363 $20.9M 0.02% +204K +117.0%
529 ALRM ALARM COM HLDGS INC COM Technology 483,486 $20.9M 0.02% +223K +85.3%
530 SNAP SNAP INC CL A Communication Services 4,535,783 $20.9M 0.02% +1.4M +44.7%
531 JBTM JBT MAREL CORPORATION COM Industrials 162,986 $20.8M 0.02% -7K -4.0%
532 CPNG COUPANG INC CL A Consumer Cyclical 1,100,603 $20.8M 0.02% +112K +11.3%
533 FCNCA FIRST CTZNS BANCSHARES INC D CL A Financial Services 10,986 $20.7M 0.02% +8K +231.3%
534 JBL JABIL INC COM Technology 77,882 $20.7M 0.02% +18K +30.7%
535 STLD STEEL DYNAMICS INC COM Basic Materials 114,401 $20.6M 0.02% +48K +71.3%
536 VECO 2.875 06/01/29 VEECO INSTRS INC DEL NOTE 2.875 6/0 150,000 $20.5M 0.02%
537 NTCT NETSCOUT SYS INC COM Technology 636,640 $20.2M 0.02% +187K +41.6%
538 SHO SUNSTONE HOTEL INVS INC NEW COM Real Estate 2,244,427 $20.2M 0.02% +2.1M +1899.5%
539 XLC SELECT SECTOR SPDR TR STATE STREET COM 181,740 $20.1M 0.02% +163K +886.0%
540 AKR ACADIA RLTY TR COM SH BEN INT Real Estate 1,050,584 $20.1M 0.02% -204K -16.2%
541 KMB KIMBERLY-CLARK CORP COM Consumer Defensive 207,501 $20.0M 0.02% -157K -43.1%
542 NET CLOUDFLARE INC CL A COM Technology 96,718 $20.0M 0.02% -54K -35.6%
543 RACE FERRARI N V COM Consumer Cyclical 58,910 $19.9M 0.02% -6K -9.0%
544 FSLY FASTLY INC CL A Technology 685,415 $19.9M 0.02% +340K +98.2%
545 PTC THERAPEUTICS INC NOTE 1.500 9/1 150,000 $19.9M 0.02% NEW
546 ASBA ASSOCIATED BANC-CORP COM Financial Services 767,671 $19.9M 0.02% +315K +69.6%
547 MHK MOHAWK INDS INC COM Consumer Cyclical 200,382 $19.7M 0.02% +166K +491.1%
548 META PUT META PLATFORMS INC Communication Services 522,200 $19.6M 0.02% +130K +33.2%
549 DTE DTE ENERGY CO COM Utilities 133,855 $19.6M 0.02% -173K -56.3%
550 SMCI SUPER MICRO COMER INC COM NEW Technology 856,639 $19.5M 0.02% +471K +122.3%
551 SUPN SUPERNUS PHARMACEUTICALS COM Healthcare 377,213 $19.5M 0.02% +364K +2847.0%
552 RAL RALLIANT CORP COM Industrials 468,704 $19.5M 0.02% +396K +546.3%
553 XLP SELECT SECTOR SPDR TR STATE STREET CON 237,629 $19.5M 0.02% +154K +183.0%
554 EWW ISHARES INC MSCI MEXICO ETF 258,719 $19.5M 0.02% +242K +1481.0%
555 TRGP TARGA RES CORP COM Energy 77,465 $19.4M 0.02% -57K -42.3%
556 DRI DARDEN RESTAURANTS INC COM Consumer Cyclical 99,072 $19.4M 0.02% +30K +43.6%
557 RIO RIO TINTO PLC SPONSORED ADR Basic Materials 206,862 $19.3M 0.02% +94K +84.0%
558 STEP STEPSTONE GROUP INC COM CL A Financial Services 402,245 $19.2M 0.02% +374K +1314.5%
559 FAST FASTENAL CO COM Industrials 413,037 $19.2M 0.02% -919K -69.0%
560 DD DUPONT DE NEMOURS INC COM Basic Materials 417,750 $19.1M 0.02% +252K +151.7%
561 DKS DICKS SPORTING GOODS INC COM Consumer Cyclical 96,279 $19.1M 0.02% +16K +19.8%
562 APO APOLLO GLOBAL MGMT INC COM Financial Services 170,312 $19.0M 0.02% +35K +25.8%
563 AFRM AFFIRM HLDGS INC COM CL A Technology 470,444 $18.9M 0.02% -5K -1.0%
564 RBRK CALL RUBRIK INC. Technology 1,205,000 $18.9M 0.02%
565 DOC HEALTHPEAK PROPERTIES INC COM Real Estate 1,140,062 $18.7M 0.02% -15K -1.3%
566 ULTA ULTA BEAUTY INC COM Consumer Cyclical 35,746 $18.7M 0.02% +13K +54.3%
567 BIO.B BIO RAD LABS INC CL A Industrials 66,985 $18.7M 0.02% +48K +253.3%
568 BGC BGC GROUP INC CL A Financial Services 1,908,807 $18.7M 0.02% +1.2M +153.1%
569 ARE ALEXANDRIA REAL ESTATE EQ IN COM Real Estate 399,722 $18.6M 0.02% +244K +157.2%
570 AKAM AKAMAI TECHNOLOGIES INC COM Technology 161,471 $18.5M 0.02% -69K -29.9%
571 ADIENT PLC ORD 913,585 $18.5M 0.02% +494K +117.8%
572 UUUU ENERGY FUELS INC COM NEW Energy 1,010,166 $18.4M 0.02% +271K +36.6%
573 RGA REINSURANCE GROUP AMER INC COM NEW Financial Services 89,847 $18.3M 0.02% +19K +26.5%
574 XLE SELECT SECTOR SPDR TR STATE STREET ENE 299,033 $18.3M 0.02% +48K +19.3%
575 NVR NVR INC COM Consumer Cyclical 2,777 $18.3M 0.02% -1K -34.4%
576 XPEV XPENG INC ADS Consumer Cyclical 1,067,173 $18.3M 0.02% -101K -8.7%
577 AR ANTERO RESOURCES CORP COM Energy 429,514 $18.2M 0.02% +285K +197.0%
578 ALNY ALNYLAM PHARMACEUTICALS INC COM Healthcare 55,060 $18.2M 0.02% -36K -39.4%
579 EVEREST GROUP LTD COM 55,706 $18.2M 0.02% +22K +63.3%
580 EMB ISHARES TR JPMORGAN USD EMG 191,736 $18.0M 0.02% -302K -61.1%
581 REXR REXFORD INDL RLTY INC COM Real Estate 549,251 $18.0M 0.02% -118K -17.7%
582 SCSC SCANSOURCE INC COM Technology 494,988 $18.0M 0.02% +211K +74.4%
583 HUBS HUBSPOT INC COM Technology 73,520 $17.9M 0.02% +43K +142.1%
584 PPG PPG INDS INC COM Basic Materials 167,382 $17.9M 0.02% -26K -13.4%
585 ITW ILLINOIS TOOL WKS INC COM Industrials 68,564 $17.8M 0.02% -297K -81.3%
586 HAS HASBRO INC COM Consumer Cyclical 190,441 $17.8M 0.02% +19K +11.0%
587 SON SONOCO PRODS CO COM Consumer Cyclical 328,972 $17.8M 0.02% -399K -54.8%
588 ROIV ROIVANT SCIENCES LTD Healthcare 640,923 $17.8M 0.02% +618K +2651.4%
589 AAPL PUT APPLE INC Technology 1,487,100 $17.7M 0.02% -898K -37.6%
590 MTB M & T BK CORP COM Financial Services 85,770 $17.7M 0.02% +22K +34.8%
591 ALX ALEXANDERS INC COM Real Estate 74,728 $17.7M 0.02% +64K +582.3%
592 MKSI 1.25 06/01/30 MKS INC. NOTE 1.250 6/0 107,180 $17.6M 0.02% NEW
593 BRIDGEBIO PHARMA INC NOTE 2.500 3/1 97,660 $17.6M 0.02% +38K +63.2%
594 GPN GLOBAL PMTS INC COM Industrials 260,264 $17.5M 0.02% -549K -67.8%
595 AS AMER SPORTS INC COM Consumer Cyclical 530,550 $17.5M 0.02% +259K +95.2%
596 AWK AMERICAN WTR WKS CO INC NEW COM Utilities 128,258 $17.5M 0.02% -14K -9.7%
597 NVO NOVO-NORDISK A S ADR Healthcare 472,124 $17.4M 0.02% -2.1M -81.4%
598 LYB LYONDELLBASELL INDUSTRIES NV SHS - A - Basic Materials 229,357 $17.3M 0.02% +94K +69.3%
599 TSLA CALL TESLA INC Consumer Cyclical 567,100 $17.3M 0.02% -932K -62.2%
600 IQVIA HLDGS INC COM 101,280 $17.3M 0.02% +51K +101.7%
601 CHD CHURCH & DWIGHT CO INC COM Consumer Defensive 183,879 $17.2M 0.02% -80K -30.4%
602 GEN GEN DIGITAL INC COM Technology 910,799 $17.1M 0.02% +299K +49.0%
603 EGP EASTGROUP PPTYS INC COM Real Estate 92,181 $17.1M 0.02% +21K +29.8%
604 CRAI CRA INTL INC COM Industrials 105,339 $17.1M 0.02% +49K +86.6%
605 KRE SPDR SERIES TRUST STATE STREET SPD 257,095 $16.8M 0.02% +192K +295.9%
606 UNM UNUM GROUP COM Financial Services 228,473 $16.7M 0.02% +75K +48.6%
607 IBKR INTERACTIVE BROKERS GROUP IN COM CL A Financial Services 247,461 $16.6M 0.02% +184K +292.5%
608 AAOI APPLIED OPTOELECTRONICS INC COM Technology 195,908 $16.6M 0.02% +111K +129.8%
609 NYT NEW YORK TIMES CO MTN BE CL A Communication Services 197,814 $16.6M 0.02% +154K +350.2%
610 AEE AMEREN CORP COM Utilities 150,685 $16.6M 0.02% +6K +4.2%
611 ADTN ADTRAN HOLDINGS INC COM Technology 1,316,049 $16.6M 0.02% +459K +53.6%
612 DAL DELTA AIR LINES INC COM NEW Industrials 248,772 $16.5M 0.02% -68K -21.4%
613 UPSTART HLDGS INC NOTE 2.00010/0 170,000 $16.5M 0.02% NEW
614 LSCC LATTICE SEMICONDUCTOR CORP COM Technology 177,999 $16.5M 0.02% -744K -80.7%
615 IFF INTERNATIONAL FLAVORS&FRAGRA COM Basic Materials 226,822 $16.5M 0.02% +87K +62.2%
616 PSTG EVERPURE INC CL A Technology 277,645 $16.4M 0.02% -35K -11.1%
617 UEC URANIUM ENERGY CORP COM Energy 1,210,877 $16.3M 0.02% -69K -5.4%
618 PBR PETROLEO BRASILEIRO S A SPONSORED ADR Energy 784,417 $16.3M 0.02% +738K +1593.1%
619 VALE VALE S A SPONSORED ADS Basic Materials 1,022,036 $16.3M 0.02% +214K +26.4%
620 FERROVIAL SE ORD 249,529 $16.2M 0.02% -55K -18.0%
621 TEX TEREX CORP NEW COM Industrials 274,621 $16.2M 0.02% +235K +586.0%
622 EEM ISHARES TR MSCI EMG MKT ETF 285,279 $16.2M 0.02% -104K -26.8%
623 PCAR PACCAR INC COM Industrials 139,771 $16.1M 0.02% -541K -79.5%
624 WTW WILLIS TOWERS WATSON PLC LTD Financial Services 55,479 $16.1M 0.02% -6K -9.2%
625 ERO ERO COPPER CORP COM Basic Materials 599,878 $16.0M 0.02% +596K +10000.0%
626 PAAS PAN AMERN SILVER CORP COM Basic Materials 291,967 $15.9M 0.02% -356K -55.0%
627 W WAYFAIR INC CL A Consumer Cyclical 211,005 $15.9M 0.02% -37K -14.8%
628 WPC WP CAREY INC COM Real Estate 233,158 $15.8M 0.02% +123K +111.5%
629 EFX EQUIFAX INC COM Industrials 87,377 $15.7M 0.02% +26K +41.4%
630 CROX CROCS INC COM Consumer Cyclical 188,941 $15.7M 0.02% +143K +309.2%
631 DASH DOORDASH INC CL A Communication Services 104,380 $15.7M 0.02% -246K -70.2%
632 EQX EQUINOX GOLD CORP COM Basic Materials 1,083,165 $15.7M 0.02% +569K +110.7%
633 UHS UNIVERSAL HLTH SVCS INC CL B Healthcare 87,227 $15.6M 0.02% +33K +62.3%
634 HEI/A HEICO CORP NEW CL A 73,767 $15.6M 0.02% +45K +159.1%
635 VSTS VESTIS CORPORATION COM Industrials 1,979,460 $15.6M 0.02% +1.7M +571.0%
636 CCK CROWN HLDGS INC COM Consumer Cyclical 154,866 $15.5M 0.02% +99K +175.2%
637 FDS FACTSET RESH SYS INC COM Financial Services 70,920 $15.4M 0.02% +50K +240.5%
638 AGCO AGCO CORP COM Industrials 131,152 $15.2M 0.02% -26K -16.6%
639 ELF E L F BEAUTY INC COM Consumer Defensive 250,413 $15.2M 0.02% +95K +61.3%
640 AAL AMERICAN AIRLINES GROUP INC COM Industrials 1,411,918 $15.2M 0.02% -215K -13.2%
641 XLV SELECT SECTOR SPDR TR STATE STREET HEA 103,238 $15.1M 0.02% -5K -4.8%
642 SHEL SHELL PLC SPON ADS Energy 162,003 $15.1M 0.02% -154K -48.8%
643 BAH BOOZ ALLEN HAMILTON HLDG COR CL A Industrials 192,932 $15.1M 0.02% -33K -14.7%
644 LH LABCORP HOLDINGS INC COM Healthcare 56,352 $15.0M 0.02% -12K -17.2%
645 SOFI SOFI TECHNOLOGIES INC COM Financial Services 939,147 $14.9M 0.02% +37K +4.1%
646 FR FIRST INDL RLTY TR INC COM Real Estate 257,711 $14.9M 0.02% +74K +40.4%
647 AMERIPRISE FINL INC COM 33,481 $14.9M 0.02% +7K +27.4%
648 MOH MOLINA HEALTHCARE INC COM Healthcare 111,235 $14.8M 0.02% +24K +27.5%
649 ENVA ENOVA INTL INC COM Financial Services 109,139 $14.8M 0.02% -30K -21.5%
650 SEDG SOLAREDGE TECHNOLOGIES INC COM Energy 289,907 $14.8M 0.02% +131K +82.3%
651 CALL TAIWAN SEMICONDUCTOR MANUFAC 127,900 $14.7M 0.02% -707K -84.7%
652 L LOEWS CORP COM Financial Services 138,009 $14.7M 0.02% -28K -16.8%
653 CREDO TECHNOLOGY GROUP HOLDI ORDINARY SHARES 156,481 $14.7M 0.02% -96K -38.1%
654 SPY CALL STATE STR SPDR S&P 500 ETF T Financial Services 509,000 $14.7M 0.02% +388K +322.4%
655 IEF ISHARES TR 7-10 YR TRSY BD 153,643 $14.7M 0.02% -189K -55.2%
656 TEM TEMPUS AI INC CL A Healthcare 324,077 $14.7M 0.02% -48K -12.9%
657 IGV ISHARES TR EXPANDED TECH 182,913 $14.6M 0.02% +181K +10000.0%
658 BAM BROOKFIELD ASSET MANAGMT LTD CL A LMT VTG Financial Services 329,364 $14.6M 0.02% +210K +175.6%
659 ARES ARES MANAGEMENT CORPORATION CL A COM STK Financial Services 134,016 $14.6M 0.02% +8K +6.0%
660 POOL POOL CORP COM Industrials 71,919 $14.6M 0.02% -9K -10.9%
661 UNH PUT UNITEDHEALTH GROUP INC Healthcare 839,000 $14.5M 0.02% -1.6M -66.3%
662 VOO VANGUARD INDEX FDS S&P 500 ETF 24,244 $14.5M 0.02% +13K +110.9%
663 AU ANGLOGOLD ASHANTI PLC COM Basic Materials 148,140 $14.4M 0.02% +86K +140.3%
664 PSKY PARAMOUNT SKYDANCE CORP COM CL B Communication Services 1,597,902 $14.4M 0.02% +824K +106.4%
665 YUMC YUM CHINA HLDGS INC COM Consumer Cyclical 293,294 $14.3M 0.01% +25K +9.4%
666 GEO GEO GROUP INC COM Industrials 850,332 $14.3M 0.01% +347K +68.9%
667 UMH UMH PPTYS INC COM Real Estate 988,065 $14.3M 0.01% -505K -33.8%
668 COCA-COLA EUROPACIFIC PARTNE 156,908 $14.2M 0.01% +18K +12.6%
669 BG BUNGE GLOBAL SA COM Consumer Defensive 111,819 $14.2M 0.01% -147K -56.8%
670 RPRX ROYALTY PHARMA PLC SHS CLASS A Healthcare 296,339 $14.2M 0.01% +8K +2.8%
671 HTHT H WORLD GROUP LTD SPONSORED ADS Consumer Cyclical 282,048 $14.2M 0.01% +57K +25.2%
672 QBTS D-WAVE QUANTUM INC COM Technology 982,664 $14.2M 0.01% -1.3M -56.8%
673 ROKU ROKU INC COM CL A Communication Services 149,670 $14.2M 0.01% +54K +56.0%
674 AVGO PUT BROADCOM INC Technology 412,500 $14.2M 0.01% -386K -48.3%
675 LINE LINEAGE INC COM Real Estate 429,978 $14.1M 0.01% +168K +64.2%
676 EVRG EVERGY INC COM Utilities 171,773 $14.1M 0.01% +74K +75.8%
677 CRWD CROWDSTRIKE HLDGS INC CL A Technology 35,895 $14.0M 0.01% -323K -90.0%
678 ONTO ONTO INNOVATION INC COM Technology 68,315 $14.0M 0.01% +63K +1144.1%
679 MKC MCCORMICK & CO INC COM NON VTG Consumer Defensive 275,583 $13.9M 0.01% +101K +58.3%
680 IWB ISHARES TR RUS 1000 ETF 38,947 $13.9M 0.01% NEW
681 FICO FAIR ISAAC CORP COM Technology 12,854 $13.7M 0.01% +3K +29.8%
682 UTHR UNITED THERAPEUTICS CORP DEL COM Healthcare 23,113 $13.7M 0.01% -4K -14.3%
683 DTM DT MIDSTREAM INC COMMON STOCK Energy 101,247 $13.6M 0.01% +38K +60.8%
684 IWF ISHARES TR RUS 1000 GRW ETF 31,933 $13.6M 0.01% +9K +36.6%
685 DAVE DAVE INC CLASS A COM NEW Technology 78,001 $13.6M 0.01% -11K -11.9%
686 NOVOCURE LTD ORD 1,245,541 $13.6M 0.01% +967K +346.7%
687 TKR TIMKEN CO COM Industrials 133,727 $13.4M 0.01% +57K +74.6%
688 DXC DXC TECHNOLOGY CO COM Technology 1,068,547 $13.4M 0.01% +316K +42.0%
689 JBS JBS N.V. CL A Consumer Defensive 746,785 $13.4M 0.01% +398K +114.4%
690 INDB INDEPENDENT BK CORP MASS COM Financial Services 178,170 $13.4M 0.01% -58K -24.6%
691 FQI DIGITAL RLTY TR INC COM 74,102 $13.4M 0.01% -217K -74.6%
692 CAT CALL CATERPILLAR INC Industrials 89,000 $13.3M 0.01% -339K -79.2%
693 KNTK KINETIK HOLDINGS INC COM NEW CL A Energy 274,447 $13.3M 0.01% +132K +92.6%
694 AMD CALL ADVANCED MICRO DEVICES INC Technology 481,000 $13.2M 0.01% -1.7M -78.4%
695 TKO TKO GROUP HOLDINGS INC CL A Communication Services 65,397 $13.2M 0.01% +10K +18.6%
696 PSIX POWER SOLUTIONS INTL INC COM NEW Industrials 216,395 $13.2M 0.01% +215K +10000.0%
697 TTEK TETRA TECH INC NEW COM Industrials 435,175 $13.1M 0.01% +171K +64.5%
698 ATO ATMOS ENERGY CORP COM Utilities 70,855 $13.1M 0.01% -6K -8.2%
699 INTC CALL INTEL CORP Technology 1,414,500 $13.0M 0.01% -1.4M -49.4%
700 XP XP INC CL A Financial Services 680,507 $13.0M 0.01% +418K +158.9%
701 HUBB HUBBELL INC COM Industrials 26,165 $12.8M 0.01% -12K -32.2%
702 WINTRUST FINL CORP COM 92,333 $12.8M 0.01% +41K +78.8%
703 AKAM 1.125 02/15/29 AKAMAI TECHNOLOGIES INC NOTE 1.125 2/1 112,090 $12.8M 0.01% +61K +119.8%
704 MRNA MODERNA INC COM Healthcare 250,868 $12.7M 0.01% -28K -10.0%
705 QURE UNIQURE NV Healthcare 776,604 $12.7M 0.01% +712K +1107.3%
706 SHC SOTERA HEALTH CO COM Healthcare 879,489 $12.6M 0.01% +866K +6382.6%
707 AMCR AMCOR PLC COM Consumer Cyclical 315,915 $12.6M 0.01% NEW
708 WEC WEC ENERGY GROUP INC COM Utilities 108,276 $12.5M 0.01% -175K -61.8%
709 PTCT PTC INC COM Healthcare 87,628 $12.5M 0.01% +72K +455.2%
710 APD AIR PRODUCTS AND CHEMICALS I COM Basic Materials 42,946 $12.5M 0.01% +322 +0.8%
711 LRCX CALL LAM RESEARCH CORP Technology 310,800 $12.5M 0.01% -396K -56.0%
712 XLU SELECT SECTOR SPDR TR STATE STREET UTI 269,860 $12.4M 0.01% +59K +28.1%
713 ELS EQUITY LIFESTYLE PROPERTIES COM Real Estate 197,457 $12.3M 0.01% +9K +4.5%
714 QQQ CALL INVESCO QQQ TR Financial Services 781,800 $12.3M 0.01% -406K -34.2%
715 SNOW 0 10/01/29 SNOWFLAKE INC NOTE 10/0 100,200 $12.3M 0.01% NEW
716 SITC SITE CTRS CORP COM Real Estate 2,262,491 $12.2M 0.01% +1.4M +176.0%
717 H HYATT HOTELS CORP COM CL A Consumer Cyclical 84,953 $12.2M 0.01% -148K -63.5%
718 HRL HORMEL FOODS CORP COM Consumer Defensive 538,072 $12.2M 0.01% +337K +167.1%
719 SRPT SAREPTA THERAPEUTICS INC COM Healthcare 559,063 $12.2M 0.01% +368K +192.1%
720 IBIT ISHARES BITCOIN TRUST ETF SHS BEN INT Financial Services 314,596 $12.1M 0.01% +305K +3041.6%
721 AAPL CALL APPLE INC Technology 1,367,100 $12.0M 0.01% -978K -41.7%
722 XLB SELECT SECTOR SPDR TR STATE STREET MAT 240,750 $12.0M 0.01% -79K -24.7%
723 OVV OVINTIV INC COM Energy 202,278 $12.0M 0.01% +106K +109.2%
724 GOOGL CALL ALPHABET INC Communication Services 157,900 $12.0M 0.01% -849K -84.3%
725 LAMR LAMAR ADVERTISING CO CL A Real Estate 94,409 $12.0M 0.01% +19K +25.4%
726 IREN LIMITED NOTE 3.250 6/1 53,430 $12.0M 0.01% +37K +219.2%
727 BAP CREDICORP LTD COM Financial Services 35,015 $11.9M 0.01% +3K +9.2%
728 FLS FLOWSERVE CORP COM Industrials 160,598 $11.8M 0.01% +52K +47.6%
729 CGNX COGNEX CORP COM Technology 240,572 $11.8M 0.01% -49K -17.1%
730 BW BABCOCK & WILCOX ENTERPRISES COM Industrials 801,080 $11.8M 0.01% +775K +2985.1%
731 ZS ZSCALER INC COM Technology 83,730 $11.7M 0.01% -32K -27.9%
732 SGI SOMNIGROUP INTERNATIONAL INC COM Consumer Defensive 158,259 $11.7M 0.01% +74K +88.1%
733 LW LAMB WESTON HLDGS INC COM Consumer Defensive 276,116 $11.7M 0.01% -526K -65.6%
734 EXLS EXLSERVICE HLDGS INC COM Technology 383,004 $11.7M 0.01% +365K +2001.5%
735 MOS MOSAIC CO COM Basic Materials 455,480 $11.6M 0.01% -279K -38.0%
736 ACWI ISHARES TR MSCI ACWI ETF 83,589 $11.6M 0.01% -1K -1.2%
737 PUT TAIWAN SEMICONDUCTOR MANUFAC 832,000 $11.6M 0.01% -121K -12.7%
738 TOST TOAST INC CL A Technology 434,176 $11.5M 0.01% +146K +50.6%
739 MKL MARKEL GROUP INC COM Financial Services 6,009 $11.5M 0.01% +2K +53.7%
740 CPT CAMDEN PPTY TR SH BEN INT Real Estate 116,890 $11.4M 0.01% -160K -57.8%
741 HBC2 HSBC HLDGS PLC SPON ADR NEW 137,925 $11.4M 0.01% -7K -5.0%
742 IVT INVENTRUST PPTYS CORP COM NEW Real Estate 373,157 $11.4M 0.01% +146K +64.2%
743 SPXN PROSHARES TR SP500 EX FINLS 160,000 $11.3M 0.01%
744 NNN NNN REIT INC COM Real Estate 268,872 $11.3M 0.01% +239K +798.2%
745 HUT HUT 8 CORP COM Financial Services 240,348 $11.3M 0.01% +229K +1956.4%
746 POR PORTLAND GEN ELEC CO COM NEW Utilities 213,163 $11.2M 0.01% +197K +1251.4%
747 HBM HUDBAY MINERALS INC COM Basic Materials 532,090 $11.1M 0.01% NEW
748 AXON AXON ENTERPRISE INC COM Industrials 26,112 $11.1M 0.01% +9K +56.2%
749 NI NISOURCE INC COM Utilities 237,527 $11.1M 0.01% +41K +21.0%
750 RCKT ROCKET LAB CORP COM Healthcare 171,872 $11.0M 0.01% -317K -64.8%
751 AGO ASSURED GUARANTY LTD COM Financial Services 135,233 $11.0M 0.01% +63K +87.5%
752 CSGP COSTAR GROUP INC COM Real Estate 272,347 $11.0M 0.01% +37K +15.9%
753 KMT KENNAMETAL INC COM Industrials 300,207 $10.8M 0.01% +26K +9.5%
754 CRBG COREBRIDGE FINL INC COM Financial Services 453,453 $10.8M 0.01% +177K +63.9%
755 RF REGIONS FINANCIAL CORP NEW COM Financial Services 413,029 $10.8M 0.01% -358K -46.4%
756 ACUITY INC COM 38,322 $10.7M 0.01% +35K +981.6%
757 NTRA NATERA INC COM Healthcare 53,609 $10.7M 0.01% +17K +45.2%
758 ON1 OLD NATL BANCORP IND COM 484,993 $10.7M 0.01% -523K -51.9%
759 OSK OSHKOSH CORP COM Industrials 72,767 $10.7M 0.01% +25K +50.8%
760 ILMN ILLUMINA INC COM Healthcare 86,318 $10.6M 0.01% +6K +8.0%
761 MOD MODINE MFG CO COM Consumer Cyclical 49,031 $10.6M 0.01% -14K -22.4%
762 REZI RESIDEO TECHNOLOGIES INC COM Industrials 314,845 $10.6M 0.01% +56K +21.4%
763 HSY HERSHEY CO COM Consumer Defensive 50,984 $10.6M 0.01% +17K +50.8%
764 MP MP MATERIALS CORP COM CL A Basic Materials 218,200 $10.5M 0.01% +60K +38.2%
765 OLN OLIN CORP COM PAR $1 Basic Materials 353,924 $10.5M 0.01% -102K -22.3%
766 FIG FIGMA INC CLASS A COM STK Technology 497,551 $10.5M 0.01% +347K +230.3%
767 AOS SMITH A O CORP COM Industrials 159,272 $10.5M 0.01% -100K -38.6%
768 DAR DARLING INGREDIENTS INC COM Consumer Defensive 169,313 $10.5M 0.01% +152K +858.9%
769 WD5A TRAVEL PLUS LEISURE CO COM 151,236 $10.5M 0.01% -14K -8.5%
770 IT GARTNER INC COM Technology 65,792 $10.4M 0.01% +5K +7.5%
771 OMDA OMADA HEALTH INC COM Healthcare 827,447 $10.4M 0.01% NEW
772 WEX WEX INC COM Technology 67,927 $10.4M 0.01% +53K +363.1%
773 KLIC KULICKE & SOFFA INDS INC COM Technology 157,996 $10.4M 0.01% +84K +113.5%
774 EHC ENCOMPASS HEALTH CORP COM Healthcare 107,288 $10.4M 0.01% +19K +21.8%
775 COLD AMERICOLD REALTY TRUST INC COM Real Estate 902,429 $10.3M 0.01% +116K +14.7%
776 NWN NORTHWEST NAT HLDG CO COM Utilities 193,166 $10.3M 0.01% +28K +17.0%
777 AG FIRST MAJESTIC SILVER CORP COM Basic Materials 477,063 $10.2M 0.01% +346K +263.4%
778 TRI4EUR THOMSON REUTERS CORP COM 113,864 $10.2M 0.01% -24K -17.4%
779 SLVM SYLVAMO CORP COMMON STOCK Basic Materials 242,221 $10.2M 0.01% +19K +8.3%
780 CHE CHEMED CORP NEW COM Healthcare 27,062 $10.2M 0.01% +596 +2.2%
781 DRAFTKINGS INC NEW COM CL A 471,128 $10.2M 0.01% +170K +56.4%
782 CRUS CIRRUS LOGIC INC COM Technology 70,190 $10.2M 0.01% +50K +254.7%
783 WPM WHEATON PRECIOUS METALS CORP COM Basic Materials 76,783 $10.1M 0.01% +67K +658.0%
784 ZM ZOOM COMMUNICATIONS INC CL A Technology 124,419 $10.0M 0.01% -49K -28.3%
785 DOMINOS PIZZA INC COM 27,875 $10.0M 0.01% +14K +102.3%
786 TLT ISHARES TR 20 YR TR BD ETF 115,242 $10.0M 0.01% -10K -7.8%
787 CNP CENTERPOINT ENERGY INC COM Utilities 231,325 $10.0M 0.01% +19K +8.8%
788 BBIO BRIDGEBIO PHARMA INC COM Healthcare 134,217 $10.0M 0.01% +54K +68.2%
789 CTSH COGNIZANT TECHNOLOGY SOLUTIO CL A Technology 162,331 $10.0M 0.01% -525K -76.4%
790 QQQM INVESCO EXCH TRADED FD TR II NASDAQ 100 ETF 41,863 $9.9M 0.01%
791 RCI ROGERS CORP COM Communication Services 92,453 $9.9M 0.01% +19K +26.3%
792 APA APA CORPORATION COM Energy 232,566 $9.9M 0.01% -135K -36.7%
793 SSNC SS&C TECH HLDGS COM Technology 145,503 $9.8M 0.01% +103K +244.3%
794 SAP SAP SE SPON ADR Technology 57,299 $9.8M 0.01% +53K +1374.1%
795 BMNR BITMINE IMMERSION TECNOLOGIE COM NEW Financial Services 495,356 $9.8M 0.01% +235K +90.2%
796 BRBR BELLRING BRANDS INC COMMON STOCK Consumer Defensive 606,604 $9.8M 0.01% +326K +115.9%
797 HYG ISHARES TR IBOXX HI YD ETF 122,589 $9.8M 0.01% -54K -30.4%
798 ENS ENERSYS COM Industrials 56,016 $9.7M 0.01% +46K +436.7%
799 TSHA TAYSHA GENE THERAPIES INC COM Healthcare 2,176,742 $9.7M 0.01% +1.4M +178.5%
800 LEGN LEGEND BIOTECH CORP SPONSORED ADS Healthcare 535,658 $9.7M 0.01% +164K +44.1%
801 SMTC SEMTECH CORP COM Technology 125,582 $9.7M 0.01% +18K +16.5%
802 ADC AGREE RLTY CORP COM Real Estate 128,058 $9.7M 0.01% +116K +1000.6%
803 GNW GENWORTH FINL INC COM Financial Services 1,188,288 $9.6M 0.01% +754K +173.7%
804 GT GOODYEAR TIRE & RUBR CO COM Consumer Cyclical 1,447,677 $9.6M 0.01% +770K +113.5%
805 COTY COTY INC COM CL A Consumer Defensive 4,772,870 $9.6M 0.01% -1.2M -20.3%
806 HIG HARTFORD INSURANCE GROUP INC COM Financial Services 70,746 $9.6M 0.01% -177K -71.4%
807 SSD SIMPSON MFG INC COM Industrials 55,393 $9.5M 0.01% -7K -11.2%
808 AM ANTERO MIDSTREAM CORP COM Energy 414,746 $9.5M 0.01% +16K +4.0%
809 MATX MATSON INC COM Industrials 57,586 $9.4M 0.01% +52K +887.1%
810 MAS MASCO CORP COM Industrials 155,823 $9.4M 0.01% -396K -71.8%
811 IR INGERSOLL RAND INC COM Industrials 117,332 $9.4M 0.01% -134K -53.3%
812 TSLA PUT TESLA INC Consumer Cyclical 1,757,900 $9.4M 0.01% -1.0M -36.8%
813 PUT BANK AMERICA CORP 2,872,300 $9.3M 0.01% -1.5M -34.7%
814 BRZE BRAZE INC COM CL A Technology 394,604 $9.3M 0.01% +105K +36.2%
815 NET 0 08/15/26 CLOUDFLARE INC NOTE 8/1 79,370 $9.3M 0.01% +27K +50.9%
816 NXST NEXSTAR MEDIA GROUP INC COMMON STOCK Communication Services 51,367 $9.3M 0.01% +48K +1272.0%
817 CSW CSW INDUSTRIALS INC COM Industrials 35,542 $9.3M 0.01% -100K -73.9%
818 OGE OGE ENERGY CORP COM Utilities 191,602 $9.2M 0.01% +29K +17.6%
819 OSCR OSCAR HEALTH INC CL A Healthcare 800,984 $9.2M 0.01% -120K -13.1%
820 EMBC EMBECTA CORP COMMON STOCK Healthcare 1,038,948 $9.2M 0.01% +603K +138.4%
821 VIRT VIRTU FINL INC CL A Financial Services 208,816 $9.2M 0.01% +12K +6.3%
822 VNO VORNADO RLTY TR SH BEN INT Real Estate 349,468 $9.1M 0.01% +276K +376.4%
823 PHM PULTE GROUP INC COM Consumer Cyclical 76,589 $9.0M 0.01% -161K -67.8%
824 SMP STANDARD MTR PRODS INC COM Consumer Cyclical 259,180 $9.0M 0.01% +175K +207.8%
825 LC LENDINGCLUB ISSUANCE TR SER COM NEW Financial Services 626,424 $9.0M 0.01% -14K -2.2%
826 RNST RENASANT CORP COM Financial Services 248,116 $9.0M 0.01% -165K -40.0%
827 NHI NATIONAL HEALTH INVS INC COM Real Estate 110,587 $8.9M 0.01% +99K +818.3%
828 CHTR CHARTER COMMUNICATIONS INC CL A Communication Services 41,055 $8.9M 0.01% -19K -31.3%
829 SR SPIRE INC COM Utilities 97,812 $8.9M 0.01% +48K +96.4%
830 AMD PUT ADVANCED MICRO DEVICES INC Technology 848,300 $8.8M 0.01% -1.0M -54.7%
831 AMRX AMNEAL PHARMACEUTICALS INC COM STK CL A Healthcare 710,876 $8.8M 0.01% -74K -9.4%
832 AFFIRM HLDGS INC NOTE 0.75012/1 94,420 $8.8M 0.01% NEW
833 OWL BLUE OWL CAPITAL INC COM CL A Financial Services 964,577 $8.8M 0.01% +837K +656.2%
834 CSL CARLISLE COS INC COM Industrials 26,291 $8.8M 0.01% -65K -71.2%
835 TRMB TRIMBLE INC COM Technology 134,403 $8.8M 0.01% -120K -47.2%
836 CRS CARPENTER TECHNOLOGY CORP COM Industrials 22,213 $8.8M 0.01% +10K +84.3%
837 BALL BALL CORP COM Consumer Cyclical 146,796 $8.7M 0.01% +7K +5.2%
838 JANUS HENDERSON GROUP PLC ORD 168,712 $8.7M 0.01% -122K -42.0%
839 ENB ENBRIDGE INC COM Energy 159,704 $8.6M 0.01% NEW
840 MU PUT MICRON TECHNOLOGY INC Technology 474,900 $8.6M 0.01% -431K -47.6%
841 WYNN WYNN RESORTS LTD COM Consumer Cyclical 84,890 $8.6M 0.01% +2K +2.5%
842 ZION ZIONS BANCORPORATION NATL AS COM Financial Services 149,538 $8.6M 0.01% -97K -39.5%
843 XME SPDR SERIES TRUST STATE STREET SPD 79,531 $8.6M 0.01% -11K -12.4%
844 GTX GARRETT MOTION INC COM Consumer Cyclical 470,257 $8.5M 0.01% +302K +179.8%
845 GFF GRIFFON CORP COM Industrials 117,092 $8.5M 0.01% +51K +77.2%
846 CFR CULLEN FROST BANKERS INC COM Financial Services 61,900 $8.5M 0.01% +17K +39.2%
847 SOLV SOLVENTUM CORP COM Healthcare 129,663 $8.5M 0.01% +36K +38.4%
848 LUMN LUMEN TECHNOLOGIES INC COM Communication Services 1,216,669 $8.5M 0.01% +868K +249.0%
849 FLUTTER ENTMT PLC 82,269 $8.4M 0.01% -497K -85.8%
850 LAUR LAUREATE ED INC COMMON STOCK Consumer Defensive 240,176 $8.4M 0.01% +78K +48.1%
851 STRA STRATEGIC ED INC COM Consumer Defensive 100,212 $8.3M 0.01% +39K +62.9%
852 BMRN BIOMARIN PHARMACEUTICAL INC COM Healthcare 146,963 $8.3M 0.01% -211K -59.0%
853 G GENPACT LIMITED Technology 222,669 $8.3M 0.01% +170K +318.9%
854 NBIS NEBIUS GROUP N.V. SHS CLASS A Communication Services 79,886 $8.3M 0.01% -114K -58.9%
855 BHF BRIGHTHOUSE FINL INC COM Financial Services 138,287 $8.3M 0.01% -203K -59.5%
856 FOX FOX CORP CL B COM Communication Services 155,110 $8.2M 0.01% -258K -62.5%
857 ZBH ZIMMER BIOMET HOLDINGS INC COM Healthcare 91,078 $8.2M 0.01% -12K -12.0%
858 STLA STELLANTIS N.V Consumer Cyclical 1,161,506 $8.2M 0.01% +121K +11.6%
859 PLTR PUT PALANTIR TECHNOLOGIES INC Technology 789,900 $8.2M 0.01% +334K +73.2%
860 MAREX GROUP PLC ORD 184,519 $8.2M 0.01% +171K +1217.4%
861 DV DOUBLEVERIFY HLDGS INC COM Technology 862,047 $8.2M 0.01% +800K +1278.9%
862 APPLE HOSPITALITY REIT INC COM NEW 711,315 $8.2M 0.01% +602K +549.5%
863 TYL TYLER TECHNOLOGIES INC COM Technology 23,906 $8.2M 0.01% -10K -29.2%
864 MTDR MATADOR RES CO COM Energy 128,744 $8.1M 0.01% +28K +28.4%
865 RPM RPM INTL INC COM Basic Materials 81,471 $8.1M 0.01% +36K +80.0%
866 MA CALL MASTERCARD INCORPORATED Financial Services 200,000 $8.0M 0.01% +160K +400.0%
867 CASY CASEYS GEN STORES INC COM Consumer Cyclical 10,963 $8.0M 0.01% +7K +208.8%
868 FORTUNE BRANDS INNOVATIONS I COM 203,990 $7.9M 0.01% +108K +112.5%
869 MLKN MILLERKNOLL INC COM Consumer Cyclical 549,173 $7.9M 0.01% +70K +14.7%
870 PSX PHILLIPS 66 COM Energy 43,554 $7.9M 0.01% -244K -84.8%
871 MORN MORNINGSTAR INC COM Financial Services 46,937 $7.9M 0.01% +32K +211.1%
872 ENSG ENSIGN GROUP INC COM Healthcare 39,263 $7.9M 0.01% +1K +3.2%
873 YMM FULL TRUCK ALLIANCE CO LTD SPONSORED ADS Technology 952,808 $7.9M 0.01% -194K -16.9%
874 CHRW C H ROBINSON WORLDWIDE IN COM NEW Industrials 47,438 $7.9M 0.01% +28K +141.2%
875 AGNC AGNC INVT CORP COM Real Estate 783,680 $7.9M 0.01% -2.3M -74.8%
876 BATRK ATLANTA BRAVES HLDGS INC COM SER C Communication Services 184,058 $7.9M 0.01% -13K -6.4%
877 TRIP TRIPADVISOR INC COM Consumer Cyclical 734,928 $7.8M 0.01% -373K -33.7%
878 DUOL DUOLINGO INC CL A COM Technology 79,234 $7.8M 0.01% +1K +1.7%
879 NBIX NEUROCRINE BIOSCIENCES INC COM Healthcare 59,267 $7.8M 0.01% -75K -56.0%
880 ANDE ANDERSONS INC COM Consumer Defensive 108,619 $7.8M 0.01% -14K -11.5%
881 VOYA VOYA FINANCIAL INC COM Financial Services 113,718 $7.8M 0.01% +104K +1038.3%
882 SITE SITEONE LANDSCAPE SUPPLY INC COM Industrials 58,315 $7.8M 0.01% -46K -44.2%
883 DOLE PLC ORD 542,400 $7.8M 0.01% +171K +46.1%
884 GBX 2.875 04/15/28 GREENBRIER COS INC NOTE 2.875 4/1 66,850 $7.7M 0.01% +47K +234.2%
885 SKT TANGER INC COM Real Estate 224,636 $7.6M 0.01% +71K +45.8%
886 BZ KANZHUN LIMITED SPONSORED ADS Industrials 567,920 $7.6M 0.01% +112K +24.5%
887 CLH CLEAN HARBORS INC COM Industrials 26,384 $7.6M 0.01% -36K -57.9%
888 FLR 1.125 08/15/29 FLUOR CORP NOTE 1.125 8/1 61,100 $7.5M 0.01% NEW
889 KO CALL COCA COLA CO Consumer Defensive 2,183,500 $7.5M 0.01% +775K +55.0%
890 BPOP POPULAR INC COM NEW Financial Services 55,280 $7.4M 0.01% -203K -78.6%
891 SLGN SILGAN HLDGS INC COM Consumer Cyclical 190,755 $7.4M 0.01% -984K -83.8%
892 LEU CENTRUS ENERGY CORP CL A Energy 42,521 $7.4M 0.01% +39K +1033.3%
893 DCO DUCOMMUN INC DEL COM Industrials 60,333 $7.4M 0.01% +30K +95.9%
894 SFD SMITHFIELD FOODS INC COM Consumer Defensive 261,461 $7.3M 0.01% +234K +848.6%
895 CVX CALL CHEVRON CORPORATION Energy 173,300 $7.3M 0.01% -572K -76.7%
896 BWXT BWX TECHNOLOGIES INC COM Industrials 35,679 $7.3M 0.01% -8K -17.7%
897 LITX INVESTMENT MANAGERS SER TR I TRADR 2X LONG LI 249,000 $7.3M 0.01% NEW
898 BLBD BLUE BIRD CORP COM Consumer Cyclical 128,199 $7.3M 0.01% +26K +25.9%
899 AJG GALLAGHER ARTHUR J & CO COM Financial Services 33,427 $7.2M 0.01% +2K +7.1%
900 CART MAPLEBEAR INC COM Consumer Cyclical 193,158 $7.2M 0.01% -80K -29.3%
901 AMZN CALL AMAZON COM INC Consumer Cyclical 998,000 $7.2M 0.01% -83K -7.7%
902 PUT SPDR GOLD TR 415,000 $7.2M 0.01% -1.4M -77.4%
903 PLAY DAVE & BUSTERS ENTMT INC COM Communication Services 663,199 $7.2M 0.01% +29K +4.6%
904 APG API GROUP CORP COM STK Industrials 176,834 $7.2M 0.01% +139K +372.6%
905 AMTM AMENTUM HOLDINGS INC COM Industrials 274,602 $7.2M 0.01% -71K -20.5%
906 MBLY MOBILEYE GLOBAL INC COMMON CLASS A Consumer Cyclical 1,039,100 $7.1M 0.01% +198K +23.5%
907 AMPX AMPRIUS TECHNOLOGIES INC COMMON STOCK Industrials 423,037 $7.1M 0.01% +168K +65.7%
908 CBU COMMUNITY FINANCIAL SYSTEM I COM Financial Services 121,256 $7.1M 0.01% -48K -28.2%
909 ENTG ENTEGRIS INC COM Technology 60,623 $7.1M 0.01% -86K -58.5%
910 IRMD IRADIMED CORP COM Healthcare 73,561 $7.1M 0.01% +3K +4.5%
911 VRNS VARONIS SYS INC COM Technology 328,802 $7.1M 0.01% +184K +126.7%
912 PLNT PLANET FITNESS MASTER ISSUER CL A Consumer Cyclical 94,896 $7.1M 0.01% +68K +251.6%
913 MPT MEDICAL PROPERTIES TRUST INC COM Financial Services 1,522,327 $7.0M 0.01% +467K +44.2%
914 AMRZ AMRIZE LTD Basic Materials 125,442 $7.0M 0.01% +90K +254.3%
915 RSI RUSH STREET INTERACTIVE INC COM Consumer Cyclical 322,374 $7.0M 0.01% +55K +20.6%
916 RVTY REVVITY INC COM Healthcare 79,874 $7.0M 0.01% -43K -35.1%
917 GTY GETTY RLTY CORP NEW COM Real Estate 219,123 $7.0M 0.01% +190K +655.1%
918 GPOR GULFPORT ENERGY CORP COMMON SHARES Energy 32,810 $6.9M 0.01% +21K +177.5%
919 GENCO SHIPPING & TRADING LTD 307,663 $6.9M 0.01% +241K +364.8%
920 HTZ HERTZ GLOBAL HLDGS INC COM NEW Industrials 1,503,871 $6.9M 0.01% -8K -0.6%
921 CALL ISHARES TR 1,639,000 $6.9M 0.01% +221K +15.6%
922 BCS BARCLAYS PLC ADR Financial Services 326,738 $6.9M 0.01% -8K -2.3%
923 NTR NUTRIEN LTD COM Basic Materials 91,528 $6.9M 0.01% +87K +1974.5%
924 C PUT CITIGROUP INC Financial Services 2,404,000 $6.9M 0.01% +703K +41.4%
925 GSL GLOBAL SHIP LEASE INC COM CL A Industrials 185,168 $6.9M 0.01% +128K +225.9%
926 CNOB CONNECTONE BANCORP INC COM Financial Services 257,401 $6.9M 0.01% -342K -57.0%
927 IBOC INTERNATIONAL BANCSHARES COR COM Financial Services 102,348 $6.9M 0.01% +15K +16.9%
928 TDOC TELADOC HEALTH INC COM Healthcare 1,261,856 $6.9M 0.01% -35K -2.7%
929 OGS ONE GAS INC COM Utilities 79,398 $6.8M 0.01% -57K -42.0%
930 GOOGL CALL ALPHABET INC Communication Services 408,700 $6.8M 0.01% -471K -53.5%
931 MIR CALL MIRION TECHNOLOGIES INC Industrials 984,000 $6.8M 0.01%
932 NOV NOV INC COM Energy 360,729 $6.8M 0.01% +318K +749.1%
933 BEKE KE HLDGS INC SPONSORED ADS Real Estate 452,999 $6.8M 0.01% -32K -6.5%
934 LEN LENNAR CORP CL A Consumer Cyclical 77,635 $6.7M 0.01% +61K +361.8%
935 URA GLOBAL X FDS GLOBAL X URANIUM 138,804 $6.7M 0.01% +118K +579.0%
936 BEN FRANKLIN RESOURCES INC COM Financial Services 284,463 $6.7M 0.01% +14K +5.1%
937 HIMS HIMS & HERS HEALTH INC COM CL A Healthcare 322,820 $6.7M 0.01% -49K -13.1%
938 ZBRA ZEBRA TECHNOLOGIES CORPORATI CL A Technology 32,049 $6.7M 0.01% -33K -50.6%
939 MANH MANHATTAN ASSOCIATES INC COM Technology 50,188 $6.7M 0.01% -6K -10.1%
940 SMPL SIMPLY GOOD FOODS CO COM Consumer Defensive 465,390 $6.7M 0.01% +413K +782.6%
941 WOLF WOLFSPEED INC COMMON STOCK Technology 408,733 $6.7M 0.01% NEW
942 VVV VALVOLINE INC COM Energy 198,002 $6.7M 0.01% +160K +416.9%
943 AGG ISHARES TR CORE US AGGBD ET 67,167 $6.7M 0.01% -238K -78.0%
944 HII HUNTINGTON INGALLS INDS INC COM Industrials 17,527 $6.7M 0.01% -20K -53.4%
945 FUL FULLER H B CO COM Basic Materials 107,901 $6.7M 0.01% +42K +62.6%
946 ECVT ECOVYST INC COM Basic Materials 516,569 $6.6M 0.01% +185K +56.0%
947 AA ALCOA CORP COM Basic Materials 99,711 $6.6M 0.01% -35K -25.9%
948 IDA IDACORP INC COM Utilities 46,193 $6.6M 0.01% +3K +6.2%
949 USFD US FOODS HLDG CORP COM Consumer Defensive 71,467 $6.6M 0.01% -8K -9.6%
950 JOYY JOYY INC ADS REPSTG COM A Communication Services 112,466 $6.6M 0.01% +37K +49.9%
951 QSR RESTAURANT BRANDS INTL INC COM Consumer Cyclical 88,563 $6.5M 0.01% +83K +1576.1%
952 NWSA NEWS CORP NEW CL A Communication Services 261,616 $6.5M 0.01% -357K -57.7%
953 CPRI CAPRI HOLDINGS LIMITED Consumer Cyclical 369,719 $6.5M 0.01% +46K +14.4%
954 KTOS KRATOS DEFENSE & SEC SOLUTIO COM NEW Industrials 92,362 $6.5M 0.01% +876 +1.0%
955 BMTA BRITISH AMERN TOB PLC SPONSORED ADR 111,264 $6.5M 0.01% -628K -85.0%
956 TMHC TAYLOR MORRISON HOME CORP COM Consumer Cyclical 111,587 $6.5M 0.01% +90K +416.9%
957 BYD BOYD GAMING CORP COM Consumer Cyclical 78,616 $6.5M 0.01% +64K +426.0%
958 NVENT ELEC PLC 54,437 $6.4M 0.01% -242K -81.6%
959 IEX IDEX CORP COM Industrials 33,928 $6.4M 0.01% +1K +4.4%
960 FNF FIDELITY NATL FINL INC COM Financial Services 138,532 $6.4M 0.01% +89K +177.0%
961 LNT ALLIANT ENERGY CORP COM Utilities 89,498 $6.4M 0.01% -7K -7.5%
962 CARR CARRIER GLOBAL CORPORATION COM Industrials 114,043 $6.4M 0.01% -600K -84.0%
963 GLOBALFOUNDRIES INC ORDINARY SHARES 143,991 $6.4M 0.01% +58K +68.3%
964 TORO TORO CO COM Industrials 68,455 $6.4M 0.01% +55K +416.7%
965 FN FABRINET Technology 12,256 $6.4M 0.01% +4K +57.6%
966 ALKS ALKERMES PLC Healthcare 178,993 $6.3M 0.01% +143K +399.0%
967 UVXY PROSHARES TR II ULTRA VIX SHORT Financial Services 120,000 $6.3M 0.01%
968 CHRD CHORD ENERGY CORPORATION COM NEW Energy 44,034 $6.3M 0.01% +29K +196.0%
969 WSM WILLIAMS SONOMA INC COM Consumer Cyclical 34,223 $6.2M 0.01% +13K +60.0%
970 ASTS AST SPACEMOBILE INC COM CL A Technology 75,157 $6.2M 0.01% +12K +18.6%
971 GLXY GALAXY DIGITAL INC. CL A Financial Services 451,875 $6.2M 0.01% +199K +78.9%
972 CLF CLEVELAND-CLIFFS INC NEW COM Basic Materials 728,040 $6.2M 0.01% +55K +8.2%
973 MLYS MINERALYS THERAPEUTICS INC COM Healthcare 225,833 $6.1M 0.01% -5K -2.1%
974 CZR CAESARS ENTERTAINMENT INC NE COM Consumer Cyclical 231,290 $6.1M 0.01% -866K -78.9%
975 PALL ABRDN PALLADIUM ETF TRUST PHYSICAL PALLADM Financial Services 45,375 $6.1M 0.01%
976 U UNITY SOFTWARE INC COM Technology 278,125 $6.1M 0.01% +93K +50.6%
977 CXW CORECIVIC INC COM Real Estate 321,616 $6.1M 0.01% -232K -41.9%
978 DLOCAL LTD CLASS A COM 466,570 $6.1M 0.01% +457K +4760.6%
979 BANC BANC OF CALIFORNIA INC COM Financial Services 344,033 $6.0M 0.01% +199K +137.7%
980 AVGO CALL BROADCOM INC Technology 265,800 $6.0M 0.01% -752K -73.9%
981 CSTL CASTLE BIOSCIENCES INC COM Healthcare 244,886 $6.0M 0.01% +224K +1051.8%
982 FNB F N B CORP COM Financial Services 358,244 $6.0M 0.01% +306K +585.2%
983 HG HAMILTON INSURANCE GROUP LTD CL B Financial Services 200,323 $6.0M 0.01% -135K -40.2%
984 REG REGENCY CTRS CORP COM Real Estate 78,977 $6.0M 0.01% -108K -57.8%
985 IDXX IDEXX LABS INC COM Healthcare 10,631 $6.0M 0.01% -33K -75.5%
986 RGLD ROYAL GOLD INC COM Basic Materials 23,403 $6.0M 0.01% +6K +32.4%
987 MEDP MEDPACE HLDGS INC COM Healthcare 12,379 $5.9M 0.01% -48K -79.4%
988 STAG STAG INDUSTRIAL INC COM Real Estate 164,485 $5.9M 0.01% +9K +5.6%
989 NLY ANNALY CAPITAL MANAGEMENT IN COM NEW Real Estate 277,899 $5.9M 0.01% +6K +2.3%
990 AAON AAON INC COM PAR $0.004 Industrials 70,690 $5.8M 0.01% -141K -66.6%
991 KBR KBR INC COM Industrials 158,666 $5.8M 0.01% -83K -34.3%
992 STWD STARWOOD PPTY TR INC COM Real Estate 338,177 $5.8M 0.01% -35K -9.3%
993 ZS CALL ZSCALER INC Technology 833,200 $5.8M 0.01% +71K +9.4%
994 KINSALE CAP GROUP INC COM 16,922 $5.8M 0.01% -8K -33.3%
995 CDE COEUR MNG INC COM NEW Basic Materials 306,141 $5.7M 0.01% +119K +64.0%
996 LYFT LYFT INC CL A COM Technology 429,634 $5.7M 0.01% -164K -27.7%
997 TME TENCENT MUSIC ENTMT GROUP SPON ADS Communication Services 612,367 $5.7M 0.01% +70K +12.9%
998 UDR UDR INC COM Real Estate 168,194 $5.7M 0.01% +63K +60.2%
999 SPXV PROSHARES TR SP500 EX HLTH 80,000 $5.7M 0.01%
1000 AM6 AMICUS THERAPEUTIC COM 392,835 $5.7M 0.01% +286K +269.4%
1001 MAC MACERICH CO COM Real Estate 300,194 $5.7M 0.01% +200K +199.8%
1002 IREN LIMITED ORDINARY SHARES 165,402 $5.7M 0.01% +43K +34.9%
1003 CALL BANK AMERICA CORP 1,341,800 $5.7M 0.01% -195K -12.7%
1004 CALL STATE STR SPDR DOW JONES IND 70,000 $5.7M 0.01%
1005 GDX VANECK ETF TRUST GOLD MINERS ETF 61,578 $5.7M 0.01% -55K -47.1%
1006 SLM SLM CORP COM Financial Services 261,392 $5.6M 0.01% +101K +63.1%
1007 PPLT ABRDN PLATINUM ETF TRUST PHYSCL PLATM Financial Services 31,230 $5.6M 0.01% -250 -0.8%
1008 VEEV VEEVA SYS INC CL A COM Healthcare 31,631 $5.6M 0.01% +11K +57.0%
1009 JPM PUT JPMORGAN CHASE & CO Financial Services 366,800 $5.6M 0.01% -130K -26.2%
1010 QLYS QUALYS INC COM Technology 62,671 $5.5M 0.01% +29K +87.5%
1011 LIVN LIVANOVA PLC Healthcare 86,490 $5.5M 0.01% +62K +256.6%
1012 TWLO TWILIO INC CL A Communication Services 43,632 $5.5M 0.01% -7K -14.6%
1013 COKE COCA COLA CONS INC COM Consumer Defensive 28,501 $5.5M 0.01% -113K -79.9%
1014 VNQ VANGUARD INDEX FDS REAL ESTATE ETF 61,600 $5.5M 0.01% +3K +4.9%
1015 STM STMICROELECTRONICS N V NY REGISTRY Technology 157,971 $5.5M 0.01% +113K +248.2%
1016 MCHI ISHARES TR MSCI CHINA ETF 97,103 $5.5M 0.01% +82K +522.8%
1017 CACC CREDIT ACCEP CORP MICH COM Financial Services 12,835 $5.4M 0.01% +10K +429.9%
1018 INSP INSPIRE MED SYS INC COM Healthcare 105,147 $5.4M 0.01% +67K +173.5%
1019 TECH BIO-TECHNE CORP COM Healthcare 103,634 $5.4M 0.01% -33K -24.1%
1020 PONY PONY AI INC SPONSORED ADS Industrials 571,575 $5.4M 0.01% +28K +5.1%
1021 BILL BILL HOLDINGS INC COM Technology 140,845 $5.4M 0.01% -62K -30.5%
1022 ERIE ERIE INDTY CO CL A Financial Services 21,336 $5.4M 0.01% +7K +48.3%
1023 MACOM TECH SOLUTIONS HLDGS I COM 24,087 $5.3M 0.01% -30K -55.4%
1024 AFGB AMERICAN FINANCIAL GROUP INC COM Financial Services 41,297 $5.3M 0.01% +22K +119.6%
1025 YETI YETI HLDGS INC COM Consumer Cyclical 143,754 $5.3M 0.01% -604K -80.8%
1026 MGM MGM RESORTS INTERNATIONAL COM Consumer Cyclical 141,642 $5.2M 0.01% -466K -76.7%
1027 K4F ONESTREAM INC CL A 218,311 $5.2M 0.01% -56K -20.6%
1028 SNA SNAP ON INC COM Industrials 14,374 $5.2M 0.01% +6K +78.5%
1029 NJR NEW JERSEY RES CORP COM Utilities 94,936 $5.2M 0.01% -71K -42.8%
1030 HRB BLOCK H & R INC COM Consumer Cyclical 163,973 $5.2M 0.01% +69K +72.4%
1031 RVMD REVOLUTION MEDICINES INC COM Healthcare 53,426 $5.2M 0.01% +37K +219.5%
1032 TXRH TEXAS ROADHOUSE INC COM Consumer Cyclical 31,426 $5.2M 0.01% -5K -13.8%
1033 CERT CERTARA INC COM Healthcare 906,615 $5.2M 0.01% +857K +1717.4%
1034 BP BP PLC SPONSORED ADR Energy 108,934 $5.1M 0.01% -21K -16.0%
1035 PPH PUT VANECK ETF TRUST 587,200 $5.1M 0.01% +15K +2.6%
1036 FTAIN FTAI AVIATION LTD Industrials 20,804 $5.1M 0.01% +12K +125.8%
1037 LECO LINCOLN ELEC HLDGS INC COM Industrials 20,347 $5.1M 0.01% -92K -81.9%
1038 CIM CHIMERA INVT CORP COM Real Estate 402,233 $5.0M 0.01% -196K -32.7%
1039 TPH TRI POINTE HOMES INC COM Consumer Cyclical 107,974 $5.0M 0.01% -138K -56.2%
1040 VICR VICOR CORP COM Technology 31,268 $5.0M 0.01% +21K +215.7%
1041 RIOT RIOT PLATFORMS INC COM Financial Services 406,604 $5.0M 0.01% +192K +89.3%
1042 MARA MARA HOLDINGS INC COM Financial Services 613,957 $5.0M 0.01% -805K -56.7%
1043 R RYDER SYS INC COM Industrials 24,345 $5.0M 0.01% +18K +281.3%
1044 SWK STANLEY BLACK & DECKER INC COM Industrials 69,918 $5.0M 0.01% -2K -3.0%
1045 RH RH COM Consumer Cyclical 35,314 $4.9M 0.01% -17K -32.5%
1046 NBTB NBT BANCORP INC COM Financial Services 115,900 $4.9M 0.01% +44K +61.3%
1047 TAP MOLSON COORS BEVERAGE CO CL B Consumer Defensive 114,570 $4.9M 0.01% +68K +144.4%
1048 PODD PUT INSULET CORP Healthcare 293,000 $4.9M 0.01% +113K +62.8%
1049 SBET SHARPLINK INC COM NEW Financial Services 758,022 $4.9M 0.01% +598K +372.3%
1050 KGC KINROSS GOLD CORP COM Basic Materials 158,008 $4.8M 0.01% +133K +535.0%
1051 UGI UGI CORP NEW COM Utilities 131,938 $4.8M 0.01% -96K -42.0%
1052 CALL APPLIED MATLS INC 156,600 $4.8M 0.01% -108K -40.9%
1053 SBCF SEACOAST BKG CORP FLA COM NEW Financial Services 158,376 $4.8M 0.01% +133K +528.3%
1054 STRL STERLING INFRASTRUCTURE INC COM Industrials 11,775 $4.8M 0.01% +7K +143.4%
1055 PPH CALL VANECK ETF TRUST 491,900 $4.8M 0.01% -77K -13.6%
1056 IONS IONIS PHARMACEUTICALS INC COM Healthcare 63,295 $4.8M 0.01% +30K +89.5%
1057 INGR INGREDION INC COM Consumer Defensive 42,182 $4.8M 0.01% +28K +203.9%
1058 GOLD FIELDS LTD SPONSORED ADR 104,515 $4.7M 0.01% +87K +503.1%
1059 GXO GXO LOGISTICS INCORPORATED COMMON STOCK Industrials 91,179 $4.7M 0.01% -112K -55.2%
1060 PBF PBF ENERGY INC CL A Energy 99,241 $4.7M 0.01% +19K +24.2%
1061 PARR PAR PAC HOLDINGS INC COM NEW Energy 75,339 $4.7M 0.01% -489K -86.6%
1062 UPSTART HLDGS INC COM 183,637 $4.7M 0.01% -902K -83.1%
1063 MMS MAXIMUS INC COM Industrials 72,764 $4.7M 0.01% +57K +351.9%
1064 NFLX PUT NETFLIX INC. Communication Services 586,500 $4.7M 0.01% -643K -52.3%
1065 CECO CECO ENVIRONMENTAL CORP COM Industrials 78,143 $4.7M 0.01% -3K -3.2%
1066 BROS DUTCH BROS INC CL A Consumer Cyclical 91,750 $4.6M 0.01% +88K +2693.0%
1067 KMX CARMAX INC COM Consumer Cyclical 111,471 $4.6M 0.01% -66K -37.3%
1068 PFGC PERFORMANCE FOOD GROUP CO COM Consumer Defensive 53,958 $4.6M 0.01% -18K -24.6%
1069 SEADRILL LTD COM 101,474 $4.6M 0.01% +89K +725.7%
1070 RIVN RIVIAN AUTOMOTIVE INC COM CL A Consumer Cyclical 306,189 $4.6M 0.01% -852K -73.6%
1071 CUBI CUSTOMERS BANCORP INC COM Financial Services 66,308 $4.6M 0.01% -37K -35.9%
1072 FND FLOOR & DECOR HLDGS INC CL A Consumer Cyclical 90,404 $4.6M 0.01% -21K -19.0%
1073 SARO STANDARDAERO INC COM Industrials 177,643 $4.6M 0.01% +168K +1714.7%
1074 WHR WHIRLPOOL CORP COM Consumer Cyclical 85,083 $4.6M 0.01% -17K -16.5%
1075 CAG CONAGRA BRANDS INC COM Consumer Defensive 291,500 $4.6M 0.01% -254K -46.5%
1076 TBBK BANCORP INC DEL COM Financial Services 84,465 $4.5M 0.01% +70K +479.2%
1077 CALL SUNCOR ENERGY INC NEW 231,900 $4.5M 0.01% -94K -28.8%
1078 MIDD MIDDLEBY CORP COM Industrials 34,192 $4.5M 0.01% -10K -23.1%
1079 ORCL PUT ORACLE CORP Technology 1,417,300 $4.5M 0.01% -174K -11.0%
1080 VSAT VIASAT INC COM Technology 98,826 $4.5M 0.01% -18K -15.6%
1081 SIG SIGNET JEWELERS LIMITED Consumer Cyclical 53,431 $4.5M 0.01% +36K +212.3%
1082 RPD RAPID7 INC COM Technology 817,649 $4.5M 0.01% +213K +35.1%
1083 HLNE HAMILTON LANE INC CL A Financial Services 45,319 $4.5M 0.01% -26K -36.8%
1084 MGRC MCGRATH RENTCORP COM Industrials 40,648 $4.5M 0.01% +9K +29.8%
1085 LI LI AUTO INC SPONSORED ADS Consumer Cyclical 250,040 $4.5M 0.01% -92K -26.9%
1086 EYE NATIONAL VISION HLDGS INC COM Consumer Cyclical 171,922 $4.5M 0.01% -168K -49.4%
1087 CGGR CAPITAL GROUP GROWTH ETF SHS CREATION UNI 110,700 $4.4M 0.01% NEW
1088 ITRI 1.375 07/15/30 ITRON INC NOTE 1.375 7/1 44,190 $4.4M 0.01% +36K +452.4%
1089 IOSP INNOSPEC INC COM Basic Materials 60,868 $4.4M 0.01% -15K -19.7%
1090 TREX TREX INC COM Industrials 121,784 $4.4M 0.01% +18K +17.6%
1091 SU SUNCOR ENERGY INC NEW COM Energy 313,603 $4.4M 0.01% NEW
1092 XRT SPDR SERIES TRUST STATE STREET SPD 54,700 $4.4M 0.01% -431 -0.8%
1093 EEFT CALL EURONET WORLDWIDE INC Technology 1,000,000 $4.4M 0.01%
1094 CMS 3.375 05/01/28 CMS ENERGY CORP NOTE 3.375 5/0 38,890 $4.4M 0.01% NEW
1095 OKLO OKLO INC COM CL A Utilities 87,838 $4.4M 0.01% -33K -27.3%
1096 FUTU FUTU HLDGS LTD SPON ADS CL A Financial Services 31,685 $4.3M 0.01% -14K -31.3%
1097 LYV 3.125 01/15/29 LIVE NATION ENTERTAINMENT IN NOTE 3.125 1/1 27,940 $4.3M 0.01%
1098 CLSK CLEANSPARK INC COM NEW Technology 503,288 $4.3M 0.01% -625K -55.4%
1099 ASH ASHLAND INC COM Basic Materials 76,411 $4.2M 0.01% -149K -66.2%
1100 IPI INTREPID POTASH INC COM Basic Materials 98,754 $4.2M 0.01% +93K +1773.2%
1101 AVAV AEROVIRONMENT INC COM Industrials 22,939 $4.2M 0.01% +6K +36.6%
1102 FHI FEDERATED HERMES INC CL B Financial Services 73,964 $4.2M 0.01% +16K +27.6%
1103 IWD ISHARES TR RUS 1000 VAL ETF 19,626 $4.2M 0.01% -6K -22.6%
1104 DBX DROPBOX INC CL A Technology 184,334 $4.2M 0.01% +4K +2.5%
1105 UAL UNITED AIRLS HLDGS INC COM Industrials 45,416 $4.2M 0.01% -85K -65.3%
1106 IHG INTERCONTINENTAL HOTELS GROU SPONSORED ADS Consumer Cyclical 31,212 $4.2M 0.00% +16K +100.0%
1107 BLDR BUILDERS FIRSTSOURCE INC COM Industrials 50,534 $4.2M 0.00% -62K -55.1%
1108 SHAK SHAKE SHACK INC CL A Consumer Cyclical 46,943 $4.2M 0.00% +30K +184.7%
1109 PR PERMIAN RESOURCES CORP CLASS A COM Energy 192,765 $4.1M 0.00% -179K -48.2%
1110 EWY ISHARES INC MSCI STH KOR ETF 33,323 $4.1M 0.00% NEW
1111 TMF DIREXION SHARES ETF TRUST DLY 20 YR TRESUR 112,994 $4.1M 0.00% -32K -22.3%
1112 BIRK BIRKENSTOCK HOLDING PLC COM Consumer Cyclical 113,357 $4.1M 0.00% +20K +21.8%
1113 SLV PUT ISHARES SILVER TR Financial Services 165,000 $4.1M 0.00% -1.5M -90.3%
1114 BLD TOPBUILD COR COM Industrials 11,512 $4.0M 0.00% -22K -65.3%
1115 EQUINOX GOLD CORP NOTE 4.75010/1 18,490 $4.0M 0.00% NEW
1116 DELL CALL DELL TECHNOLOGIES INC Technology 90,600 $4.0M 0.00% -85K -48.3%
1117 INVX INNOVEX INTERNATIONAL INC COM Energy 165,170 $4.0M 0.00% -416K -71.6%
1118 TAL TAL ED GROUP SPONSORED ADS Consumer Defensive 354,271 $4.0M 0.00% +119K +50.3%
1119 CPRX CATALYST PHARMACEUTICALS INC COM Healthcare 161,552 $4.0M 0.00% +129K +392.9%
1120 CA8A CACI INTL INC CL A 7,341 $4.0M 0.00% +3K +77.8%
1121 APPF APPFOLIO INC COM CL A Technology 25,185 $4.0M 0.00% +22K +666.2%
1122 ITWO PROSHARES TR RUSSELL 2000 HIG 100,000 $4.0M 0.00%
1123 ANF ABERCROMBIE & FITCH CO CL A Consumer Cyclical 43,236 $4.0M 0.00% +14K +45.6%
1124 CALL MARATHON PETE CORP 77,800 $3.9M 0.00% +700 +0.9%
1125 CNR CORE NATURAL RESOURCES INC COM Energy 37,611 $3.9M 0.00% +27K +241.5%
1126 AEIS ADVANCED ENERGY INDS COM Industrials 12,085 $3.9M 0.00% +5K +76.8%
1127 QGEN QIAGEN NV ORD SHARES Healthcare 96,848 $3.9M 0.00% NEW
1128 UE URBAN EDGE PPTYS COM Real Estate 194,016 $3.9M 0.00% +163K +534.1%
1129 WCC WESCO INTL INC COM Industrials 14,101 $3.9M 0.00% -10K -40.9%
1130 PHR PHREESIA INC COM Healthcare 457,925 $3.8M 0.00% +387K +544.3%
1131 MTCH MATCH GROUP INC NEW COM Communication Services 124,605 $3.8M 0.00% -230K -64.9%
1132 BFAM BRIGHT HORIZONS FAM SOL IN D COM Consumer Cyclical 46,581 $3.8M 0.00% +24K +106.6%
1133 WAL WESTERN ALLIANCE BANCORP COM Financial Services 53,451 $3.8M 0.00% +39K +278.5%
1134 TTMI TTM TECHNOLOGIES INC COM Technology 38,812 $3.8M 0.00% +11K +41.7%
1135 SEM SELECT MED HLDGS CORP COM Healthcare 231,988 $3.8M 0.00% +196K +543.9%
1136 SAFE SAFEHOLD INC COM Real Estate 279,205 $3.8M 0.00% +196K +237.0%
1137 GNRC GENERAC HLDGS INC COM Industrials 19,334 $3.8M 0.00% -21K -51.5%
1138 STNE STONECO LTD COM CL A Technology 266,250 $3.8M 0.00% -28K -9.5%
1139 MLM MARTIN MARIETTA MATLS INC COM Basic Materials 6,383 $3.8M 0.00% -3K -31.5%
1140 FULT FULTON FINL CORP PA COM Financial Services 184,491 $3.8M 0.00% +46K +33.1%
1141 SLAB SILICON LABORATORIES INC COM Technology 17,998 $3.7M 0.00% -32K -64.0%
1142 CRM CALL SALESFORCE INC Technology 817,800 $3.7M 0.00% +722K +753.6%
1143 ABCB AMERIS BANCORP COM Financial Services 47,903 $3.7M 0.00% -36K -43.1%
1144 WHD CACTUS INC CL A Energy 78,748 $3.7M 0.00% +55K +237.1%
1145 TGT CALL TARGET CORP Consumer Defensive 240,400 $3.7M 0.00% +207K +628.5%
1146 QQQI NEOS ETF TRUST NASDAQ 100 HIGH 75,000 $3.7M 0.00% NEW
1147 REYN REYNOLDS CONSUMER PRODS INC COM Consumer Cyclical 175,168 $3.7M 0.00% -1.3M -88.0%
1148 SPYI NEOS ETF TRUST NEOS S&P 500 HI 75,000 $3.7M 0.00% NEW
1149 AIZ ASSURANT INC COM Financial Services 16,965 $3.7M 0.00% -45K -72.7%
1150 CHDN CHURCHILL DOWNS INC COM Consumer Cyclical 41,119 $3.7M 0.00% +33K +380.4%
1151 BF/B BROWN FORMAN CORP CL B 139,373 $3.7M 0.00% +12K +9.3%
1152 MS CALL MORGAN STANLEY Financial Services 159,700 $3.7M 0.00% -54K -25.3%
1153 TNET TRINET GROUP INC COM Industrials 101,013 $3.7M 0.00% +76K +302.5%
1154 FMC FMC CORP COM NEW Basic Materials 213,656 $3.7M 0.00% +13K +6.7%
1155 ERII ENERGY RECOVERY INC COM Industrials 364,337 $3.7M 0.00% +202K +124.7%
1156 GL GLOBE LIFE INC COM Financial Services 26,321 $3.7M 0.00% -73K -73.6%
1157 VIAV VIAVI SOLUTIONS INC COM Technology 109,753 $3.7M 0.00% +63K +133.8%
1158 IOT SAMSARA INC COM CL A Technology 114,645 $3.6M 0.00% -76K -39.8%
1159 CHART INDS INC COM 17,538 $3.6M 0.00% +12K +218.2%
1160 FIBK FIRST INTST BANCSYSTEM INC COM Financial Services 108,497 $3.6M 0.00% +33K +43.5%
1161 CNXN PC CONNECTION INC COM Technology 61,407 $3.6M 0.00% +33K +115.5%
1162 ORA ORMAT TECHNOLOGIES INC COM Utilities 32,006 $3.6M 0.00% -684 -2.1%
1163 EFSC ENTERPRISE FINL SVCS CORP COM Financial Services 65,832 $3.6M 0.00% +36K +123.1%
1164 WSO.B WATSCO INC COM Industrials 9,764 $3.6M 0.00% -853 -8.0%
1165 CTRI CENTURI HOLDINGS INC COM Utilities 120,130 $3.5M 0.00% -344K -74.1%
1166 BELFB BEL FUSE INC CL B Technology 17,642 $3.5M 0.00% +13K +277.3%
1167 CG CARLYLE GROUP INC COM Financial Services 71,511 $3.5M 0.00% -3K -3.6%
1168 YOU CLEAR SECURE INC COM CL A Technology 71,132 $3.4M 0.00% +62K +689.0%
1169 EWJ ISHARES INC MSCI JAPAN ETF 40,769 $3.4M 0.00% -26K -38.9%
1170 ASM AVINO SILVER & GOLD MINES LT COM Basic Materials 543,146 $3.4M 0.00% NEW
1171 SJM SMUCKER J M CO COM NEW Consumer Defensive 35,599 $3.4M 0.00% -359K -91.0%
1172 AI C3 AI INC CL A Technology 407,598 $3.4M 0.00% +23K +6.0%
1173 ROBO EXCHANGE TRADED CONCEPTS TRU ROBO GLB ETF 50,002 $3.4M 0.00%
1174 SKYW SKYWEST INC COM Industrials 37,145 $3.4M 0.00% +17K +80.3%
1175 MSFT CALL MICROSOFT CORP Technology 742,800 $3.4M 0.00% +158K +26.9%
1176 SNCY SUN CTRY AIRLS HLDGS INC COM Industrials 205,916 $3.4M 0.00% +185K +896.3%
1177 UVSP UNIVEST FINANCIAL CORPORATIO COM Financial Services 99,155 $3.4M 0.00% +78K +359.9%
1178 CLPT CLEARPOINT NEURO INC COM Healthcare 372,356 $3.4M 0.00% NEW
1179 META CALL META PLATFORMS INC Communication Services 235,400 $3.4M 0.00% -117K -33.2%
1180 CURV TORRID HLDGS INC COM Consumer Cyclical 1,903,074 $3.4M 0.00% NEW
1181 BN BROOKFIELD CORP CL A LTD VT SH Financial Services 83,511 $3.4M 0.00% +80K +2112.8%
1182 GLOBAL X FDS RBTCS ARTFL INTE 101,760 $3.4M 0.00% +4K +3.9%
1183 PLTR CALL PALANTIR TECHNOLOGIES INC Technology 514,300 $3.4M 0.00% +153K +42.5%
1184 EPD ENTERPRISE PRODS PARTNERS L COM Energy 88,788 $3.4M 0.00% NEW
1185 AIR AAR CORP COM Industrials 30,579 $3.3M 0.00% +6K +24.8%
1186 ACI ALBERTSONS COS INC COMMON STOCK Consumer Defensive 196,058 $3.3M 0.00% +14K +7.9%
1187 EQH EQUITABLE HLDGS INC COM Financial Services 90,015 $3.3M 0.00% -804K -89.9%
1188 LZB LA Z BOY INC COM Consumer Cyclical 103,670 $3.3M 0.00% -45K -30.1%
1189 SO 4.5 06/15/27 SOUTHERN CO NOTE 4.500 6/1 30,000 $3.3M 0.00% NEW
1190 LYV LIVE NATION ENTERTAINMENT IN COM Communication Services 21,629 $3.3M 0.00% -5K -17.5%
1191 BCPC BALCHEM CORP COM Basic Materials 19,435 $3.3M 0.00% -35K -64.6%
1192 TCBK TRICO BANCSHARES COM Financial Services 69,226 $3.3M 0.00% +49K +239.5%
1193 ECH ISHARES INC MSCI CHILE ETF 82,447 $3.3M 0.00% NEW
1194 MRP MILLROSE PPTYS INC COM CL A Real Estate 116,532 $3.3M 0.00% +92K +371.5%
1195 CCC CCC INTELLIGENT SOLUTIONS HL COM Technology 542,286 $3.3M 0.00% +493K +1006.3%
1196 SAIA SAIA INC COM Industrials 9,260 $3.3M 0.00% -11K -53.3%
1197 WWD WOODWARD INC COM Industrials 9,029 $3.2M 0.00% -10K -51.6%
1198 CLV TRIP COM GROUP LTD ADS 64,904 $3.2M 0.00% +51K +381.8%
1199 CNX CNX RES CORP COM Energy 83,788 $3.2M 0.00% -95K -53.2%
1200 TLN TALEN ENERGY CORP COM Utilities 10,118 $3.2M 0.00% +8K +356.4%
1201 JBLU JETBLUE AIRWAYS CORP COM Industrials 730,288 $3.2M 0.00% -109K -13.0%
1202 COGNYTE SOFTWARE LTD ORD 398,246 $3.2M 0.00% +196K +97.3%
1203 HLI HOULIHAN LOKEY INC CL A Financial Services 22,446 $3.2M 0.00% -25K -53.1%
1204 GRPN GROUPON INC COM NEW Communication Services 270,682 $3.2M 0.00% +73K +37.0%
1205 RNG RINGCENTRAL INC CL A Technology 86,307 $3.2M 0.00% -183K -67.9%
1206 WD WALKER & DUNLOP INC COM Financial Services 72,175 $3.2M 0.00% +23K +45.5%
1207 FCPT FOUR CORNERS PPTY TR INC COM Real Estate 135,344 $3.2M 0.00% +108K +395.7%
1208 ETOR ETORO GROUP LTD SHS CL A Financial Services 106,299 $3.2M 0.00% NEW
1209 SCL STEPAN CO COM Basic Materials 63,873 $3.2M 0.00% +17K +37.6%
1210 AWR AMER STATES WTR CO COM Utilities 41,808 $3.2M 0.00% -4K -8.8%
1211 ARWR ARROWHEAD PHARMACEUTICALS IN COM Healthcare 50,350 $3.2M 0.00%
1212 SEI SOLARIS ENERGY INFRAS INC COM CL A Energy 55,839 $3.2M 0.00% -150K -72.9%
1213 COPX GLOBAL X FDS GLOBAL X COPPER 41,297 $3.2M 0.00% +27K +195.1%
1214 AUR AURORA INNOVATION INC CLASS A COM Technology 761,078 $3.1M 0.00% -8.9M -92.1%
1215 GABC GERMAN AMERN BANCORP INC COM Financial Services 74,821 $3.1M 0.00% -52K -41.2%
1216 BITDEER TECHNOLOGIES GROUP CL A ORD 361,255 $3.1M 0.00% +205K +130.5%
1217 WSFS WSFS FINL CORP COM Financial Services 47,704 $3.1M 0.00% +17K +55.9%
1218 CBZ CBIZ INC COM Industrials 115,579 $3.1M 0.00% -591K -83.7%
1219 IQ IQIYI INC SPONSORED ADS Communication Services 2,285,819 $3.1M 0.00% -253K -10.0%
1220 SGRY SURGERY PARTNERS INC COM Healthcare 258,141 $3.1M 0.00% -309K -54.5%
1221 BOKF BOK FINL CORP COM NEW Financial Services 24,026 $3.1M 0.00% +19K +352.3%
1222 ARRY 1 12/01/28 ARRAY TECHNOLOGIES INC NOTE 1.00012/0 34,000 $3.0M 0.00%
1223 DDS DILLARDS INC CL A Consumer Cyclical 5,321 $3.0M 0.00% +5K +1773.6%
1224 ADT ADT INC DEL COM Industrials 461,671 $3.0M 0.00% +308K +201.0%
1225 XOP SPDR SERIES TRUST STATE STREET SPD 16,676 $3.0M 0.00% -21K -56.0%
1226 POWL POWELL INDS INC COM Industrials 5,590 $3.0M 0.00% +1K +30.0%
1227 JAMES HARDIE INDS PLC ORD 159,104 $3.0M 0.00% -471K -74.8%
1228 ZG PUT ZILLOW GROUP INC Communication Services 538,000 $3.0M 0.00% +18K +3.5%
1229 PUT ISHARES TR 1,658,500 $3.0M 0.00% +1.1M +175.5%
1230 SVM SILVERCORP METALS INC COM Basic Materials 277,449 $3.0M 0.00% NEW
1231 LMAT LEMAITRE VASCULAR INC COM Healthcare 27,204 $3.0M 0.00% -29K -51.3%
1232 RRX REGAL REXNORD CORPORATION COM Industrials 15,783 $3.0M 0.00% -3K -16.8%
1233 BANR BANNER CORP COM NEW Financial Services 48,508 $2.9M 0.00% +26K +114.6%
1234 AVTR AVANTOR INC COM Healthcare 373,892 $2.9M 0.00% -28K -7.0%
1235 ETSY 0.125 10/01/26 ETSY INC NOTE 0.12510/0 30,000 $2.9M 0.00% +9K +42.9%
1236 UTI UNIVERSAL TECHNICAL INST INC COM Consumer Defensive 80,877 $2.9M 0.00% +76K +1534.2%
1237 IPGP IPG PHOTONICS CORP COM Technology 25,373 $2.9M 0.00% -10K -27.5%
1238 SMCI 3.5 03/01/29 SUPER MICRO COMER INC NOTE 3.500 3/0 36,350 $2.9M 0.00% +21K +142.3%
1239 ITB ISHARES TR US HOME CONS ETF 32,010 $2.9M 0.00% -12K -28.0%
1240 NUTX NUTEX HEALTH INC COM Healthcare 30,360 $2.9M 0.00% +29K +3232.6%
1241 N1UA NEW ORIENTAL ED & TECHNOLOGY SPON ADR 50,900 $2.9M 0.00% +26K +103.5%
1242 FLNC FLUENCE ENERGY INC COM CL A Utilities 209,259 $2.9M 0.00% +74K +54.8%
1243 WLK WESTLAKE CORPORATION COM Basic Materials 24,576 $2.9M 0.00% -12K -33.6%
1244 TMP TOMPKINS FINL CORP COM Financial Services 36,417 $2.9M 0.00% +9K +34.0%
1245 NVRI ENVIRI CORP COM Industrials 145,845 $2.9M 0.00% -497K -77.3%
1246 MTN VAIL RESORTS INC COM Consumer Cyclical 22,257 $2.9M 0.00% -6K -20.6%
1247 CALL EOG RES INC 89,600 $2.8M 0.00% +15K +20.6%
1248 ACLXGBX ARCELLX INC COMMON STOCK 24,713 $2.8M 0.00% +13K +105.2%
1249 GBCI GLACIER BANCORP INC NEW COM Financial Services 63,418 $2.8M 0.00% +3K +4.9%
1250 CALL WILLIAMS COS INC 169,500 $2.8M 0.00% NEW
1251 CMBT CMB.TECH NV Industrials 223,691 $2.8M 0.00% +106K +90.4%
1252 VSNT VERSANT MEDIA GROUP INC COM CL A Industrials 75,982 $2.8M 0.00% NEW
1253 FHB FIRST HAWAIIAN INC COM Financial Services 113,558 $2.8M 0.00% +24K +26.9%
1254 DRS LEONARDO DRS INC COM Industrials 62,687 $2.8M 0.00% -127K -66.9%
1255 JLL JONES LANG LASALLE INC COM Real Estate 9,159 $2.8M 0.00% -3K -21.6%
1256 HAYW HAYWARD HLDGS INC COM Industrials 206,572 $2.8M 0.00% +164K +388.1%
1257 JBHT HUNT J B TRANS SVCS INC COM Industrials 13,011 $2.8M 0.00% -216K -94.3%
1258 COP CALL CONOCOPHILLIPS Energy 89,400 $2.7M 0.00% -325K -78.4%
1259 ASO ACADEMY SPORTS & OUTDOORS IN COM Consumer Cyclical 48,555 $2.7M 0.00% +8K +20.4%
1260 PCG 4.25 12/01/27 PG&E CORP NOTE 4.25012/0 26,400 $2.7M 0.00% NEW
1261 SOLSTICE ADVANCED MATLS INC COM 35,792 $2.7M 0.00% -205K -85.1%
1262 WRBY WARBY PARKER INC CL A COM Healthcare 128,768 $2.7M 0.00% NEW
1263 FRPT FRESHPET INC COM Consumer Defensive 45,970 $2.7M 0.00% -37K -44.3%
1264 VKTX VIKING THERAPEUTICS INC COM Healthcare 82,482 $2.7M 0.00% +13K +18.5%
1265 AUPH AURINIA PHARMACEUTICALS INC COM Healthcare 180,960 $2.7M 0.00% +45K +32.8%
1266 EFOR ASGN INC COM 68,386 $2.6M 0.00% +28K +68.9%
1267 AMBA AMBARELLA INC Technology 51,367 $2.6M 0.00% -4K -7.0%
1268 PI IMPINJ INC COM Technology 25,743 $2.6M 0.00% +18K +241.1%
1269 JKS JINKOSOLAR HLDG CO LTD SPONSORED ADR Energy 104,036 $2.6M 0.00% -90K -46.4%
1270 DAWNGBX DAY ONE BIOPHARMACEUTICALS I COM 122,922 $2.6M 0.00% -227K -64.9%
1271 BXP BXP INC COM Real Estate 50,676 $2.6M 0.00% +7K +15.9%
1272 CALL CISCO SYS INC 281,200 $2.6M 0.00% +100K +55.2%
1273 MLCO MELCO RESORTS AND ENTMNT LTD ADR Consumer Cyclical 461,100 $2.6M 0.00% +303K +190.9%
1274 HOG HARLEY DAVIDSON INC COM Consumer Cyclical 128,044 $2.6M 0.00% -966K -88.3%
1275 SWKS SKYWORKS SOLUTIONS INC COM Technology 48,143 $2.6M 0.00% -15K -24.1%
1276 CRVL CORVEL CORP COM Financial Services 47,005 $2.6M 0.00% +36K +313.2%
1277 SPSC SPS COMM INC COM Technology 46,127 $2.6M 0.00% +6K +16.0%
1278 ADUS ADDUS HOMECARE CORP COM Healthcare 27,303 $2.6M 0.00% +17K +176.0%
1279 NEU NEWMARKET CORP COM Basic Materials 3,976 $2.5M 0.00% -879 -18.1%
1280 AMZU DIREXION SHARES ETF TRUST DLY AMZN BULL 2X 94,785 $2.5M 0.00% NEW
1281 NBN NORTHEAST BK PORTLAND ME COM Financial Services 22,577 $2.5M 0.00% -1K -4.5%
1282 CIFR CIPHER DIGITAL INC COM Financial Services 197,058 $2.5M 0.00% -1.1M -85.1%
1283 RENATUS TACTICAL ACQUIS SHS CL A 246,095 $2.5M 0.00% NEW
1284 NCL CORP LTD NOTE 1.125 2/1 25,800 $2.5M 0.00% +20K +330.0%
1285 AHR AMERICAN HEALTHCARE REIT INC COM Real Estate 53,563 $2.5M 0.00% -14K -20.6%
1286 BOOT BOOT BARN HLDGS INC COM Consumer Cyclical 17,212 $2.5M 0.00% +8K +81.5%
1287 MGEE MGE ENERGY INC COM Utilities 32,477 $2.5M 0.00% +21K +182.7%
1288 SFBS SERVISFIRST BANCSHARES INC COM Financial Services 34,456 $2.5M 0.00% -42K -54.8%
1289 INTU PUT INTUIT Technology 13,500 $2.5M 0.00% +6K +87.5%
1290 NBHC NATIONAL BK HLDGS CORP CL A Financial Services 63,357 $2.5M 0.00% +9K +15.7%
1291 ARKK ARK ETF TR INNOVATION ETF 36,702 $2.5M 0.00% +11K +44.7%
1292 CNM CORE & MAIN INC CL A Industrials 50,179 $2.5M 0.00% -32K -38.9%
1293 GDXJ VANECK ETF TRUST JUNIOR GOLD MINE 20,578 $2.5M 0.00% +15K +280.7%
1294 ALK ALASKA AIR GROUP INC COM Industrials 67,158 $2.5M 0.00% +7K +11.4%
1295 PUT SUPER MICRO COMER INC 840,000 $2.5M 0.00% NEW
1296 LOGI LOGITECH INTL S A Technology 26,891 $2.5M 0.00% +13K +94.8%
1297 FCFS FIRSTCASH HOLDINGS INC COM Financial Services 13,032 $2.5M 0.00% +9K +251.2%
1298 TALO TALOS ENERGY INC COM Energy 154,466 $2.4M 0.00% -114K -42.4%
1299 LPLA LPL FINL HLDGS INC COM Financial Services 8,052 $2.4M 0.00% +2K +37.1%
1300 OXY/WS OCCIDENTAL PETE CORP W EXP 08/03/202 56,450 $2.4M 0.00%
1301 VAC MARRIOTT VACATIONS WORLDWIDE COM Consumer Cyclical 37,185 $2.4M 0.00% +22K +142.7%
1302 WS WORTHINGTON STL INC COM Basic Materials 79,776 $2.4M 0.00% -15K -15.6%
1303 VG VENTURE GLOBAL INC COM CL A Energy 153,217 $2.4M 0.00% +30K +24.7%
1304 ANIP ANI PHARMACEUTICALS INC COM Healthcare 31,348 $2.4M 0.00% -65K -67.4%
1305 TXNM TXNM ENERGY INC COM Utilities 41,162 $2.4M 0.00% +17K +69.5%
1306 PLOW DOUGLAS DYNAMICS INC COM Consumer Cyclical 56,916 $2.4M 0.00% +18K +47.3%
1307 CCS CENTURY COMMUNITIES INC COM Consumer Cyclical 41,732 $2.4M 0.00% +32K +311.1%
1308 CWST CASELLA WASTE SYS INC CL A Industrials 30,079 $2.4M 0.00% +6K +23.9%
1309 PRGS PROGRESS SOFTWARE CORP COM Technology 92,819 $2.4M 0.00% +65K +229.2%
1310 RGTI RIGETTI COMING INC COMMON STOCK Technology 169,203 $2.4M 0.00% +112K +197.2%
1311 MNRO MONRO INC COM Consumer Cyclical 147,901 $2.4M 0.00% +24K +19.1%
1312 VRT CALL VERTIV HOLDINGS CO Industrials 21,700 $2.4M 0.00% +2K +8.5%
1313 FIZZ NATIONAL BEVERAGE CORP COM Consumer Defensive 70,266 $2.4M 0.00% +44K +170.0%
1314 WABC WESTAMERICA BANCORPORATION COM Financial Services 45,171 $2.4M 0.00% +13K +39.0%
1315 UMBF UMB FINL CORP COM Financial Services 20,784 $2.3M 0.00% +8K +62.7%
1316 OUST OUSTER INC COM NEW Technology 127,585 $2.3M 0.00% -149K -53.9%
1317 XLRE SELECT SECTOR SPDR TR STATE STREET REA 57,381 $2.3M 0.00% -355K -86.1%
1318 WERN WERNER ENTERPRISES INC COM Industrials 79,634 $2.3M 0.00%
1319 CALL SCHWAB CHARLES CORP 182,700 $2.3M 0.00% -565K -75.6%
1320 FFWM FIRST FNDTN INC COM 395,033 $2.3M 0.00% +341K +625.5%
1321 PRDO PERDOCEO ED CORP COM Consumer Defensive 62,519 $2.3M 0.00% -156K -71.4%
1322 TDC TERADATA CORP DEL COM Technology 90,393 $2.3M 0.00% +35K +63.8%
1323 TGTX TG THERAPEUTICS INC COM Healthcare 69,748 $2.3M 0.00% -9K -11.0%
1324 NEO NEOGENOMICS INC COM NEW Healthcare 312,154 $2.3M 0.00% -2K -0.7%
1325 LGIH LGI HOMES INC COM Consumer Cyclical 58,526 $2.3M 0.00% -33K -36.0%
1326 ATKR ATKORE INC COM Industrials 39,195 $2.3M 0.00% +7K +22.4%
1327 CALL BARRICK MNG CORP 115,000 $2.3M 0.00% -89K -43.6%
1328 MUSA MURPHY USA INC COM Consumer Cyclical 4,639 $2.3M 0.00% -128K -96.5%
1329 LOPE GRAND CANYON ED INC COM Consumer Defensive 13,414 $2.3M 0.00% -23K -63.2%
1330 RBA RB GLOBAL INC COM Industrials 23,757 $2.3M 0.00% NEW
1331 BHP BHP BILLITON LIMITED SPONSORED ADS Basic Materials 31,262 $2.3M 0.00% -112K -78.2%
1332 DGII DIGI INTL INC COM Technology 47,149 $2.3M 0.00% +22K +84.4%
1333 DELL PUT DELL TECHNOLOGIES INC Technology 393,500 $2.3M 0.00% +133K +51.1%
1334 DNUT KRISPY KREME INC COM Consumer Defensive 668,213 $2.3M 0.00% -48K -6.7%
1335 0HQK CBL & ASSOC PPTYS INC COMMON STOCK 58,906 $2.3M 0.00% -1K -2.1%
1336 SLG SL GREEN RLTY CORP COM Real Estate 61,161 $2.3M 0.00% -20K -24.4%
1337 BXMT BLACKSTONE MORTGAGE TRUST IN COM CL A Real Estate 117,963 $2.3M 0.00% -97K -45.0%
1338 CPB THE CAMPBELLS COMPANY COM Consumer Defensive 101,332 $2.3M 0.00% +37K +58.4%
1339 XHB SPDR SERIES TRUST STATE STREET SPD 22,836 $2.3M 0.00% +7K +40.8%
1340 CTBI COMMUNITY TR BANCORP INC COM Financial Services 37,098 $2.3M 0.00%
1341 NTNX NUTANIX INC CL A Technology 59,018 $2.2M 0.00% -80K -57.7%
1342 EXPO EXPONENT INC COM Industrials 34,365 $2.2M 0.00% -2K -6.1%
1343 SRCE 1ST SOURCE CORP COM Financial Services 32,378 $2.2M 0.00% +21K +191.1%
1344 JD 0.25 06/01/29 JD.COM INC NOTE 0.250 6/0 22,500 $2.2M 0.00% +8K +50.0%
1345 IBB ISHARES TR ISHARES BIOTECH 13,260 $2.2M 0.00% -29K -68.6%
1346 OTTR OTTER TAIL CORP COM Utilities 25,504 $2.2M 0.00% +12K +86.8%
1347 IPAR INTERPARFUMS INC COM Consumer Defensive 24,621 $2.2M 0.00% -98K -80.0%
1348 RMBS* RAMBUS INC DEL COM 25,962 $2.2M 0.00% -38K -59.2%
1349 FLR FLUOR CORP COM Industrials 47,894 $2.2M 0.00% +2K +4.8%
1350 MYRG MYR GROUP INC COM Industrials 7,882 $2.2M 0.00% -1K -15.0%
1351 U 0 11/15/26 UNITY SOFTWARE INC NOTE 11/1 22,890 $2.2M 0.00%
1352 COCO VITA COCO CO INC COM Consumer Defensive 46,274 $2.2M 0.00% +22K +93.3%
1353 AX AXOS FINANCIAL INC COM Financial Services 25,924 $2.2M 0.00% -13K -32.6%
1354 PB PROSPERITY BANCSHARES INC COM Financial Services 32,738 $2.2M 0.00% +10K +42.5%
1355 COLL COLLEGIUM PHARMACEUTICAL INC COM Healthcare 66,397 $2.2M 0.00% +49K +284.4%
1356 PUT ALIBABA GROUP HLDG LTD 288,100 $2.2M 0.00% -408K -58.6%
1357 RYAN RYAN SPECIALTY HOLDINGS INC CL A Financial Services 64,484 $2.2M 0.00% -338K -84.0%
1358 TFX TELEFLEX INCORPORATED COM Healthcare 18,189 $2.2M 0.00% +10K +123.5%
1359 PUT ROBINHOOD MKTS INC 153,000 $2.2M 0.00% +143K +1430.0%
1360 EXEL EXELIXIS INC COM Healthcare 50,495 $2.2M 0.00% +14K +39.1%
1361 HCKT HACKETT GROUP INC COM Technology 166,458 $2.2M 0.00% +103K +160.8%
1362 Z ZILLOW GROUP INC CL C CAP STK Communication Services 52,266 $2.2M 0.00% -193K -78.7%
1363 ADBE CALL ADOBE INC Technology 331,900 $2.2M 0.00% +258K +352.2%
1364 EVTC EVERTEC INC COM Technology 76,649 $2.2M 0.00% +34K +80.3%
1365 EMN EASTMAN CHEM CO COM Basic Materials 28,289 $2.2M 0.00% -4K -13.0%
1366 ALV AUTOLIV INC COM Consumer Cyclical 20,505 $2.2M 0.00% +3K +18.6%
1367 ESTABLISHMENT LABS HLDGS INC COM 37,928 $2.2M 0.00% +22K +134.3%
1368 SNEX STONEX GROUP INC COM Financial Services 26,684 $2.2M 0.00% -32K -54.8%
1369 IMMUNOCORE HLDGS PLC NOTE 2.500 2/0 24,000 $2.2M 0.00%
1370 SLV CALL ISHARES SILVER TR Financial Services 162,300 $2.1M 0.00% -233K -58.9%
1371 GATX GATX CORP COM Industrials 12,516 $2.1M 0.00% -8K -40.4%
1372 CURB CURBLINE PPTYS CORP COM Real Estate 82,733 $2.1M 0.00% -371K -81.8%
1373 VLO CALL VALERO ENERGY CORP Energy 26,100 $2.1M 0.00% -156K -85.6%
1374 VIST VISTA ENERGY S.A.B. DE C.V. SPONSORED ADS Energy 28,058 $2.1M 0.00% NEW
1375 UVV UNIVERSAL CORP VA MTNS BK EN COM Consumer Defensive 40,157 $2.1M 0.00% +16K +67.2%
1376 PUT ISHARES TR 849,600 $2.1M 0.00% NEW
1377 GNTX GENTEX CORP COM Consumer Cyclical 95,906 $2.1M 0.00% -33K -25.6%
1378 POST POST HLDGS INC COM Consumer Defensive 21,143 $2.1M 0.00% +14K +216.2%
1379 VISN VISTANCE NETWORKS INC COM Technology 114,608 $2.1M 0.00% -107K -48.4%
1380 AZZ AZZ INC COM Industrials 16,561 $2.1M 0.00% +7K +78.6%
1381 RGR STURM RUGER & CO INC COM Industrials 51,651 $2.1M 0.00% +16K +45.2%
1382 HXL HEXCEL CORP NEW COM Industrials 25,587 $2.1M 0.00% -49K -65.5%
1383 EPAM EPAM SYS INC COM Technology 15,281 $2.1M 0.00% -27K -63.9%
1384 FFIN FIRST FINL BANKSHARES INC COM Financial Services 69,827 $2.1M 0.00% -347K -83.3%
1385 GH GUARDANT HEALTH INC COM Healthcare 22,244 $2.1M 0.00% +5K +30.5%
1386 FTRE FORTREA HLDGS INC COMMON STOCK Healthcare 217,592 $2.0M 0.00% +64K +42.0%
1387 DYN DYNE THERAPEUTICS INC COM Healthcare 112,626 $2.0M 0.00% -153K -57.6%
1388 BKH BLACK HILLS CORP COM Utilities 29,220 $2.0M 0.00% +22K +315.4%
1389 ZWS ZURN ELKAY WATER SOLNS CORP COM Industrials 45,125 $2.0M 0.00% +16K +53.5%
1390 ESAB ESAB CORPORATION COM Industrials 20,881 $2.0M 0.00% +7K +50.3%
1391 CALL DOW HLDGS INC 200,000 $2.0M 0.00% +190K +1804.8%
1392 HYMC HYCROFT MINING HOLDING CORP CL A NEW Basic Materials 57,329 $2.0M 0.00% +44K +326.4%
1393 LEA LEAR CORP COM NEW Consumer Cyclical 16,658 $2.0M 0.00% -9K -36.2%
1394 CWT CALIFORNIA WTR SVC GROUP COM Utilities 44,335 $2.0M 0.00% +5K +11.3%
1395 KOS KOSMOS ENERGY LTD COM Energy 722,891 $2.0M 0.00% +601K +494.9%
1396 HWKN HAWKINS INC COM Basic Materials 13,066 $2.0M 0.00% -10K -42.7%
1397 VGK VANGUARD INTL EQUITY INDEX F FTSE EUROPE ETF 24,216 $2.0M 0.00% +22K +894.1%
1398 ACHR ARCHER AVIATION INC COM CL A Industrials 385,121 $2.0M 0.00% -1.6M -80.5%
1399 RS RELIANCE INC COM Basic Materials 6,533 $2.0M 0.00% +2K +30.4%
1400 PUT CROWDSTRIKE HLDGS INC 56,800 $2.0M 0.00% -12K -17.6%
1401 PHG KONINKLIJKE PHILIPS N V NY REGIS SHS NEW Healthcare 72,158 $2.0M 0.00% +40K +125.1%
1402 HEI HEICO CORP NEW COM Industrials 7,198 $2.0M 0.00% -10K -57.5%
1403 TELADOC HEALTH INC NOTE 1.250 6/0 20,500 $2.0M 0.00% +12K +141.2%
1404 EVER EVERQUOTE INC COM CL A Communication Services 127,598 $2.0M 0.00% -117K -47.9%
1405 GS CALL GOLDMAN SACHS GROUP INC Financial Services 69,900 $2.0M 0.00% +15K +27.1%
1406 RLAY RELAY THERAPEUTICS INC COM Healthcare 197,535 $2.0M 0.00% -23K -10.6%
1407 QS QUANTUMSCAPE CORP COM CL A Consumer Cyclical 307,363 $2.0M 0.00% +251K +440.9%
1408 ICFI ICF INTL INC COM Industrials 30,026 $2.0M 0.00% -5K -13.8%
1409 KLAR KLARNA GROUP PLC Technology 149,664 $2.0M 0.00% +132K +761.2%
1410 GOOGL PUT ALPHABET INC Communication Services 544,000 $2.0M 0.00% -623K -53.4%
1411 ELDN ELEDON PHARMACEUTICALS INC COM Healthcare 635,845 $2.0M 0.00% +8K +1.4%
1412 PLUN PLUG PWR INC COM NEW 864,328 $2.0M 0.00% -255K -22.8%
1413 XOMETRY INC NOTE 1.000 2/0 16,770 $1.9M 0.00%
1414 FBP FIRST BANCORP CORPORATION COM NEW Financial Services 91,127 $1.9M 0.00% -37K -29.1%
1415 AGIO AGIOS PHARMACEUTICALS INC COM Healthcare 57,247 $1.9M 0.00% +11K +23.2%
1416 DIOD DIODES INC COM Technology 28,285 $1.9M 0.00% -12K -29.9%
1417 RHI ROBERT HALF INC. COM Industrials 75,676 $1.9M 0.00% -173K -69.5%
1418 MOG.B MOOG INC CL A Industrials 6,566 $1.9M 0.00% -6K -48.3%
1419 VTR 3.75 06/01/26 VENTAS RLTY LTD PARTNERSHIP NOTE 3.750 6/0 12,800 $1.9M 0.00%
1420 ADPT ADAPTIVE BIOTECHNOLOGIES COR COM Healthcare 137,758 $1.9M 0.00% +38K +37.9%
1421 WMT PUT WALMART INC Consumer Defensive 300,000 $1.9M 0.00% NEW
1422 PTGX PROTAGONIST THERAPEUTICS INC COM Healthcare 18,097 $1.9M 0.00% -2K -9.5%
1423 EPC EDGEWELL PERSONAL CARE CO COM Consumer Defensive 89,238 $1.9M 0.00% -84K -48.6%
1424 PUT ARM HOLDINGS PLC 1,913,900 $1.9M 0.00% +293K +18.1%
1425 HAM HARMONY GOLD MNG LTD SPONSORED ADR 123,738 $1.9M 0.00% +87K +233.4%
1426 ICLN ISHARES TR GL CLEAN ENE ETF 103,797 $1.9M 0.00% -42K -28.8%
1427 SCI SERVICE CORP INTL COM Consumer Cyclical 22,932 $1.9M 0.00% +10K +76.7%
1428 BKU BANKUNITED INC COM Financial Services 41,762 $1.9M 0.00% -36K -46.0%
1429 ALSN ALLISON TRANSMISSION HLDGS I COM Consumer Cyclical 16,041 $1.9M 0.00% -973 -5.7%
1430 AROC ARCHROCK INC COM Energy 53,926 $1.9M 0.00% -126K -70.0%
1431 FIVN FIVE9 INC COM Technology 123,731 $1.9M 0.00% -29K -18.8%
1432 ORGO ORGANOGENESIS HLDGS INC COM Healthcare 790,766 $1.9M 0.00% +225K +39.8%
1433 PCVX VAXCYTE INC COM Healthcare 32,212 $1.9M 0.00% +12K +57.7%
1434 VLY VALLEY NATL BANCORP COM Financial Services 152,219 $1.9M 0.00% +79K +107.5%
1435 MC MOELIS & CO CL A Financial Services 32,716 $1.9M 0.00% +3K +8.5%
1436 PNW PINNACLE WEST CAP CORP COM Utilities 18,508 $1.9M 0.00% -9K -31.9%
1437 GAP GAP INC COM Consumer Cyclical 76,936 $1.9M 0.00% -69K -47.5%
1438 MZTI MARZETTI COMPANY COM Consumer Defensive 13,456 $1.9M 0.00% -80 -0.6%
1439 GIGACLOUD TECHNOLOGY INC CLASS A ORD 41,005 $1.9M 0.00% +36K +681.2%
1440 NUE PUT NUCOR CORP Basic Materials 325,400 $1.9M 0.00% NEW
1441 RKT ROCKET COS INC COM CL A Financial Services 130,405 $1.9M 0.00% -49K -27.3%
1442 FHN FIRST HORIZON CORPORATION COM Financial Services 81,231 $1.8M 0.00% +23K +38.5%
1443 WASH WASHINGTON TR BANCORP INC COM Financial Services 54,945 $1.8M 0.00% -43K -44.2%
1444 BBWI BATH & BODY WORKS INC COM Consumer Cyclical 98,451 $1.8M 0.00% -368K -78.9%
1445 COLB COLUMBIA BKG SYS INC COM Financial Services 66,727 $1.8M 0.00% +41K +156.4%
1446 LBRDK LIBERTY BROADBAND CORP COM SER C Communication Services 36,216 $1.8M 0.00% -45K -55.6%
1447 IDCC INTERDIGITAL INC COM Technology 6,026 $1.8M 0.00% +234 +4.0%
1448 LNN LINDSAY CORP COM Industrials 15,270 $1.8M 0.00% -2K -12.0%
1449 HTO H2O AMERICA COM Utilities 30,689 $1.8M 0.00% +3K +9.3%
1450 VALARIS LTD CL A 18,317 $1.8M 0.00% -2K -10.4%
1451 CPK CHESAPEAKE UTILS CORP COM Utilities 14,178 $1.8M 0.00% +5K +49.5%
1452 FTXH FIRST TR EXCHANGE-TRADED FD NASDAQ CYB ETF 28,590 $1.8M 0.00% +17K +147.9%
1453 GWRE GUIDEWIRE SOFTWARE INC COM Technology 11,980 $1.8M 0.00% -27K -69.1%
1454 ITGR 1.875 03/15/30 INTEGER HLDGS CORP DBCV 1.875 3/1 17,900 $1.8M 0.00% NEW
1455 ESE ESCO TECHNOLOGIES INC COM Technology 6,345 $1.8M 0.00% -9K -58.6%
1456 CORZ CORE SCIENTIFIC INC NEW COM Technology 119,104 $1.8M 0.00% -864K -87.9%
1457 RENAISSANCERE HLDGS LTD COM 5,970 $1.8M 0.00% -14K -69.7%
1458 BHE BENCHMARK ELECTRS INC COM Technology 31,506 $1.8M 0.00% +4K +14.9%
1459 OZK BANK OZK LITTLE ROCK ARK COM Financial Services 38,480 $1.8M 0.00% -19K -33.2%
1460 DLTR DOLLAR TREE INC COM Consumer Defensive 16,101 $1.8M 0.00% -161K -90.9%
1461 KNF KNIFE RIVER CORP COMMON STOCK Basic Materials 21,404 $1.7M 0.00% -1K -4.6%
1462 VSCO VICTORIAS SECRET AND CO COMMON STOCK Consumer Cyclical 37,709 $1.7M 0.00% -29K -43.7%
1463 BTG B2GOLD CORP COM Basic Materials 384,901 $1.7M 0.00% +200K +108.6%
1464 FRESH DEL MONTE PRODUCE INC ORD 43,207 $1.7M 0.00% +16K +56.8%
1465 SHAK 0 03/01/28 SHAKE SHACK INC NOTE 3/0 18,150 $1.7M 0.00%
1466 ACAD ACADIA PHARMACEUTICALS INC COM Healthcare 77,208 $1.7M 0.00% +35K +84.0%
1467 CAVA CAVA GROUP INC COM Consumer Cyclical 21,227 $1.7M 0.00% -12K -35.3%
1468 QXO QXO INC COM NEW Industrials 88,109 $1.7M 0.00% +79K +891.4%
1469 ALAB ASTERA LABS INC COM Technology 15,590 $1.7M 0.00% -31K -66.6%
1470 AEO AMERICAN EAGLE OUTFITTERS IN COM Consumer Cyclical 102,293 $1.7M 0.00% +16K +19.1%
1471 DCI DONALDSON INC COM Industrials 20,126 $1.7M 0.00% -3K -13.9%
1472 NUVL NUVALENT INC COM Healthcare 16,648 $1.7M 0.00% -4K -18.1%
1473 ABOS ACUMEN PHARMACEUTICALS INC COM Healthcare 719,257 $1.7M 0.00% +318K +79.3%
1474 HOMB HOME BANCSHARES INC COM Financial Services 62,950 $1.7M 0.00% -7K -9.9%
1475 KSS KOHLS CORP COM Consumer Cyclical 131,434 $1.7M 0.00% -116K -47.0%
1476 PTEN PATTERSON-UTI ENERGY INC COM Energy 156,091 $1.7M 0.00% -28K -15.1%
1477 LKQ1 LKQ CORP COM 57,437 $1.7M 0.00% -213K -78.8%
1478 OWL PUT BLUE OWL CAPITAL INC Financial Services 576,100 $1.7M 0.00% +291K +101.9%
1479 CNI CANADIAN NATL RY CO COM Industrials 16,374 $1.7M 0.00% +14K +574.1%
1480 PUT SELECT SECTOR SPDR TR 810,200 $1.7M 0.00% -393K -32.7%
1481 UBSI UNITED BANKSHARES INC WEST V COM Financial Services 40,530 $1.7M 0.00% -16K -28.7%
1482 TRMK TRUSTMARK CORP COM Financial Services 39,611 $1.7M 0.00% +3K +9.0%
1483 JOE ST JOE CO COM Real Estate 26,582 $1.7M 0.00% -12K -31.6%
1484 VFC V F CORP COM Consumer Cyclical 98,133 $1.7M 0.00% -5K -5.2%
1485 CGON CG ONCOLOGY INC COM Healthcare 24,632 $1.7M 0.00% +4K +17.6%
1486 RDNT RADNET INC COM Healthcare 29,748 $1.7M 0.00% -528 -1.7%
1487 XPO XPO INC COM Industrials 8,465 $1.6M 0.00% -17K -67.3%
1488 ZETA ZETA GLOBAL HOLDINGS CORP CL A Technology 103,095 $1.6M 0.00% -131K -56.0%
1489 SGML SIGMA LITHIUM CORPORATION COM Basic Materials 132,855 $1.6M 0.00% NEW
1490 PAGP PLAINS GP HLDGS L P LTD PARTNR INT A Energy 67,426 $1.6M 0.00% +44K +191.8%
1491 RYTM RHYTHM PHARMACEUTICALS INC COM Healthcare 18,760 $1.6M 0.00% +7K +59.8%
1492 BJ BJS WHSL CLUB HLDGS INC COM Consumer Defensive 16,547 $1.6M 0.00% -4K -20.1%
1493 FELE FRANKLIN ELEC INC COM Industrials 17,655 $1.6M 0.00% -35K -66.7%
1494 APLD APPLIED DIGITAL CORP COM NEW Technology 68,480 $1.6M 0.00% +35K +105.2%
1495 TVTX TRAVERE THERAPEUTICS INC COM Healthcare 54,691 $1.6M 0.00% +21K +60.4%
1496 PMT PENNYMAC MTG INVT TR COM Real Estate 139,170 $1.6M 0.00% -388K -73.6%
1497 ALLY ALLY FINL INC COM Financial Services 41,251 $1.6M 0.00% +33K +411.2%
1498 CYTK CYTOKINETICS INC COM NEW Healthcare 24,541 $1.6M 0.00% -8K -23.8%
1499 SKY CHAMPION HOMES INC COM Consumer Cyclical 21,723 $1.6M 0.00% +8K +56.6%
1500 FCG FIRST TR EXCHANGE-TRADED FD NAT GAS ETF 50,870 $1.6M 0.00% NEW
1501 ALPHA & OMEGA SEMICONDUCTOR 72,458 $1.6M 0.00% -6K -7.8%
1502 SOUN SOUNDHOUND AI INC CLASS A COM Technology 233,769 $1.6M 0.00% NEW
1503 ECPG ENCORE CAP GROUP INC COM Financial Services 22,898 $1.6M 0.00% -44K -65.7%
1504 EVLV EVOLV TECHNOLOGIES HLDNGS IN COM CL A Industrials 264,575 $1.6M 0.00% -429K -61.8%
1505 BANF BANCFIRST CORP COM Financial Services 14,715 $1.6M 0.00% +3K +25.5%
1506 RERE ATRENEW INC SPONSORED ADS Consumer Cyclical 338,235 $1.6M 0.00% -10K -2.9%
1507 SIL GLOBAL X FDS GLOBAL X SILVER 17,596 $1.6M 0.00% +3K +22.9%
1508 AZN ASTRAZENECA PLC Healthcare 8,013 $1.6M 0.00% NEW
1509 ORCL CALL ORACLE CORP Technology 483,400 $1.6M 0.00% +21K +4.5%
1510 AN AUTONATION INC COM Consumer Cyclical 8,054 $1.6M 0.00% -382 -4.5%
1511 RUN SUNRUN INC COM Energy 115,543 $1.6M 0.00% -27K -18.8%
1512 LXP LXP INDUSTRIAL TRUST COM Real Estate 33,704 $1.6M 0.00% +8K +30.0%
1513 HWC HANCOCK WHITNEY CORPORATION COM Financial Services 24,457 $1.6M 0.00% +153 +0.6%
1514 Q2 HLDGS INC NOTE 0.750 6/0 15,670 $1.6M 0.00%
1515 PECO PHILLIPS EDISON & CO INC COMMON STOCK Real Estate 41,425 $1.6M 0.00% -165K -79.9%
1516 CALL KINDER MORGAN INC DEL 367,900 $1.6M 0.00% NEW
1517 TUR* ISHARES INC MSCI TURKEY ETF 40,000 $1.5M 0.00% NEW
1518 ABG ASBURY AUTOMOTIVE GROUP INC COM Consumer Cyclical 7,906 $1.5M 0.00% -1K -13.0%
1519 OPCH OPTION CARE HEALTH INC COM NEW Healthcare 57,300 $1.5M 0.00%
1520 MSA MSA SAFETY INC COM Industrials 9,386 $1.5M 0.00% -69K -88.0%
1521 WH WYNDHAM HOTELS & RESORTS INC COM Consumer Cyclical 18,901 $1.5M 0.00% -27K -58.5%
1522 SEIC SEI INVTS CO COM Financial Services 19,528 $1.5M 0.00% -2K -7.3%
1523 FMX FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS Consumer Defensive 13,788 $1.5M 0.00% +7K +95.9%
1524 KRYS KRYSTAL BIOTECH INC COM Healthcare 5,899 $1.5M 0.00% -13K -68.8%
1525 NWL NEWELL BRANDS INC COM Consumer Defensive 444,414 $1.5M 0.00% -35K -7.3%
1526 RTX CALL RTX CORPORATION Industrials 57,100 $1.5M 0.00% -965K -94.4%
1527 PUT SPDR SERIES TRUST 448,200 $1.5M 0.00% +211K +88.7%
1528 RHP RYMAN HOSPITALITY PPTYS INC COM Real Estate 16,431 $1.5M 0.00% -932 -5.4%
1529 IVZ INVESCO LTD Financial Services 62,341 $1.5M 0.00% -233K -78.9%
1530 SLN SILENCE THERAPEUTICS PLC ADS Healthcare 286,698 $1.5M 0.00% +30K +11.8%
1531 CMC COMMERCIAL METALS CO COM Basic Materials 24,560 $1.5M 0.00% +22K +1074.0%
1532 GKOS PUT GLAUKOS CORP Healthcare 550,000 $1.5M 0.00%
1533 BBVA BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR Financial Services 68,904 $1.5M 0.00% -221K -76.2%
1534 MSEX MIDDLESEX WTR CO COM Utilities 28,664 $1.5M 0.00% +18K +178.8%
1535 ZG PUT ZILLOW GROUP INC Communication Services 200,000 $1.5M 0.00% NEW
1536 DFIN DONNELLEY FINL SOLUTIONS INC COM Financial Services 31,532 $1.5M 0.00% +13K +74.0%
1537 RUSHB RUSH ENTERPRISES INC CL A Consumer Cyclical 22,334 $1.5M 0.00% -5K -17.4%
1538 GPRE GREEN PLAINS INC COM Basic Materials 89,532 $1.5M 0.00% -9K -8.7%
1539 CVSA COVISTA INC COM Consumer Cyclical 12,772 $1.5M 0.00% -205K -94.1%
1540 AMDOCS LTD 22,534 $1.5M 0.00% NEW
1541 NOK NOKIA CORP SPONSORED ADR Technology 182,434 $1.5M 0.00% NEW
1542 IIPR INNOVATIVE INDL PPTYS INC COM Real Estate 29,183 $1.5M 0.00% +4K +17.1%
1543 HESM HESS MIDSTREAM LP CL A Energy 37,472 $1.5M 0.00% +864 +2.4%
1544 GIII G III APPAREL GROUP LTD COM Consumer Cyclical 52,390 $1.5M 0.00% +31K +149.8%
1545 HQY HEALTHEQUITY INC COM Healthcare 17,354 $1.4M 0.00% +4K +31.1%
1546 THE REALREAL INC DEBT 4.000 2/1 12,000 $1.4M 0.00%
1547 PATK PATRICK INDS INC COM Consumer Cyclical 12,974 $1.4M 0.00% -246K -95.0%
1548 GOLF ACUSHNET HLDGS CORP COM Consumer Cyclical 15,412 $1.4M 0.00% -7K -29.8%
1549 BIDU CALL BAIDU INC Communication Services 49,700 $1.4M 0.00% -100K -66.9%
1550 DQ DAQO NEW ENERGY CORP SPNSRD ADS NEW Technology 67,643 $1.4M 0.00% +25K +58.1%
1551 EPRT ESSENTIAL PPTYS RLTY TR INC COM Real Estate 47,260 $1.4M 0.00% -12K -20.6%
1552 BEAM BEAM THERAPEUTICS INC COM Healthcare 60,180 $1.4M 0.00% -43K -41.8%
1553 OIH VANECK ETF TRUST OIL SERVICES ETF 3,546 $1.4M 0.00% +795 +28.9%
1554 AAL PUT AMERICAN AIRLINES GROUP INC Industrials 835,800 $1.4M 0.00% -564K -40.3%
1555 MLI MUELLER INDS INC COM Industrials 12,908 $1.4M 0.00% -78K -85.8%
1556 HURN HURON CONSULTING GROUP INC COM Industrials 11,204 $1.4M 0.00% +259 +2.4%
1557 PAGAYA TECHNOLOGIES LTD CL A NEW 122,441 $1.4M 0.00% NEW
1558 PORCH GROUP INC DEBT 9.000 5/1 13,500 $1.4M 0.00%
1559 CALL GENERAL MTRS CO 153,000 $1.4M 0.00% -194K -56.0%
1560 SEZL SEZZLE INC COM Financial Services 22,506 $1.4M 0.00% -27K -54.8%
1561 MTH 1.75 05/15/28 MERITAGE HOMES CORP NOTE 1.750 5/1 14,750 $1.4M 0.00%
1562 MDGL MADRIGAL PHARMACEUTICALS INC COM Healthcare 2,711 $1.4M 0.00% -4K -57.5%
1563 CALL INTERACTIVE BROKERS GROUP IN 350,000 $1.4M 0.00% NEW
1564 NNE NANO NUCLEAR ENERGY INC COM Industrials 68,892 $1.4M 0.00% +27K +66.3%
1565 BSY BENTLEY SYS INC COM CL B Technology 40,147 $1.4M 0.00% -41K -50.8%
1566 COGT COGENT BIOSCIENCES INC COM Healthcare 36,527 $1.4M 0.00% -1K -2.9%
1567 STZ CONSTELLATION BRANDS INC CL A Consumer Defensive 9,370 $1.4M 0.00% -30K -76.0%
1568 ETSY CALL ETSY INC Consumer Cyclical 1,604,200 $1.4M 0.00% +329K +25.8%
1569 PSX CALL PHILLIPS 66 Energy 25,100 $1.4M 0.00% NEW
1570 AEM AGNICO EAGLE MINES LTD COM Basic Materials 6,888 $1.4M 0.00% +5K +281.0%
1571 AESI ATLAS ENERGY SOLUTIONS INC COM NEW Energy 106,562 $1.4M 0.00% -20K -15.6%
1572 IRT INDEPENDENCE RLTY TR INC COM Real Estate 93,832 $1.4M 0.00% +49K +111.5%
1573 ADSK PUT AUTODESK INC Technology 35,300 $1.4M 0.00%
1574 HCI HCI GROUP INC COM Financial Services 8,968 $1.4M 0.00% +4K +82.2%
1575 SITM SITIME CORP COM Technology 4,012 $1.4M 0.00% -83 -2.0%
1576 NPKI NPK INTERNATIONAL INC COM Energy 95,553 $1.4M 0.00% +56K +143.3%
1577 FCX CALL FREEPORT MCMORAN INC Basic Materials 113,800 $1.4M 0.00% -101K -46.9%
1578 ANAB ANAPTYSBIO INC COM Healthcare 24,851 $1.4M 0.00% +14K +138.3%
1579 ATR APTARGROUP INC COM Healthcare 10,861 $1.4M 0.00% -13K -54.5%
1580 TDW TIDEWATER INC NEW COM Energy 16,382 $1.4M 0.00% -118K -87.8%
1581 MGY MAGNOLIA OIL & GAS CORP CL A Energy 43,348 $1.4M 0.00% -49K -52.8%
1582 GOOGL PUT ALPHABET INC Communication Services 46,400 $1.4M 0.00% -188K -80.2%
1583 UFPT UFP INDUSTRIES INC COM Healthcare 14,698 $1.4M 0.00% -7K -31.6%
1584 QFIN QFIN HOLDINGS INC AMERICAN DEP Financial Services 104,403 $1.3M 0.00% -18K -14.6%
1585 CALL ISHARES TR 1,199,800 $1.3M 0.00% +915K +321.3%
1586 SPROUTS FMRS MKT INC COM 17,469 $1.3M 0.00% +4K +31.2%
1587 TNK TEEKAY TANKERS LTD CL A Energy 18,251 $1.3M 0.00% +7K +56.9%
1588 MTG MGIC INVT CORP WIS COM Financial Services 50,906 $1.3M 0.00% +4K +9.0%
1589 RBC RBC BEARINGS INC COM Industrials 2,443 $1.3M 0.00% -7K -73.0%
1590 CC CHEMOURS CO COM Basic Materials 60,192 $1.3M 0.00% -176K -74.5%
1591 CR CRANE COMPANY COMMON STOCK Industrials 7,754 $1.3M 0.00% -14K -64.4%
1592 NGVT INGEVITY CORP COM Basic Materials 18,595 $1.3M 0.00% +10K +115.8%
1593 CXT CRANE NXT CO COM Industrials 32,622 $1.3M 0.00% -28K -46.5%
1594 SUNRUN INC NOTE 4.000 3/0 11,100 $1.3M 0.00% NEW
1595 BDC BELDEN INC COM Technology 11,467 $1.3M 0.00% -4K -24.5%
1596 BCC BOISE CASCADE CO DEL COM Basic Materials 17,290 $1.3M 0.00% -18K -50.6%
1597 KRG KITE REALTY GROUP TRUST COM NEW Real Estate 53,343 $1.3M 0.00% -183K -77.4%
1598 REAL THE REALREAL INC COM Consumer Cyclical 144,038 $1.3M 0.00% -227K -61.2%
1599 MD PEDIATRIX MEDICAL GROUP INC COM Healthcare 60,936 $1.3M 0.00% -12K -16.6%
1600 COST CALL COSTCO WHOLESALE CORPORATION Consumer Defensive 23,300 $1.3M 0.00% -52K -68.8%
1601 ISPY PROSHARES TR S&P 500 HIGH INC 30,000 $1.3M 0.00%
1602 IBP INSTALLED BLDG PRODS INC COM Consumer Cyclical 4,897 $1.3M 0.00% -4K -46.9%
1603 GTES GATES INDL CORP PLC ORD Industrials 57,341 $1.3M 0.00% -13K -18.3%
1604 OGN ORGANON & CO COMMON STOCK Healthcare 216,319 $1.3M 0.00% -60K -21.6%
1605 NFG NATIONAL FUEL GAS CO COM Energy 13,791 $1.3M 0.00% -46K -77.1%
1606 APLS CALL APELLIS PHARMACEUTICALS INC Healthcare 150,000 $1.3M 0.00% NEW
1607 LFUS LITTELFUSE INC COM Technology 3,817 $1.3M 0.00% -22K -85.3%
1608 NIC NICOLET BANKSHARES INC COM Financial Services 8,700 $1.3M 0.00% +950 +12.3%
1609 LQDA LIQUIDIA CORPORATION COM NEW Healthcare 34,088 $1.3M 0.00% -21K -37.7%
1610 OPLN OPENLANE INC COM Consumer Cyclical 44,042 $1.3M 0.00% +2K +6.0%
1611 WMG WARNER MUSIC GROUP CORP COM CL A Communication Services 50,140 $1.3M 0.00% +21K +69.9%
1612 AMH AMERICAN HOMES 4 RENT CL A Real Estate 45,586 $1.3M 0.00% -149K -76.5%
1613 BKD BROOKDALE SR LIVING INC COM Healthcare 92,405 $1.3M 0.00% -641K -87.4%
1614 ATEN A10 NETWORKS INC COM Technology 54,521 $1.3M 0.00% +3K +6.0%
1615 ORC ORCHID IS CAP INC COM NEW Real Estate 179,209 $1.3M 0.00% +102K +133.6%
1616 LI PUT LI AUTO INC Consumer Cyclical 231,300 $1.3M 0.00% -167K -41.9%
1617 FDX CALL FEDEX CORP Industrials 41,100 $1.3M 0.00% -160K -79.5%
1618 FIGR FIGURE TECHNOLOGY SOLUTIO COM CL A Financial Services 36,965 $1.3M 0.00% +2K +6.6%
1619 SHYG ISHARES TR 0-5YR HI YL CP 29,631 $1.3M 0.00% NEW
1620 AXSM AXSOME THERAPEUTICS INC. COM Healthcare 7,392 $1.2M 0.00% -10K -58.2%
1621 UAA UNDER ARMOUR INC CL A Consumer Cyclical 211,044 $1.2M 0.00% -489K -69.8%
1622 PRM PERIMETER SOLUTIONS INC COMMON STOCK Basic Materials 50,919 $1.2M 0.00% -180K -78.0%
1623 UCB UNITED CMNTY BKS BLAIRSVLE G COM Financial Services 39,435 $1.2M 0.00% -17K -29.9%
1624 LOB LIVE OAK BANCSHARES INC COM Financial Services 37,567 $1.2M 0.00% +20K +113.9%
1625 CCSI CONSENSUS CLOUD SOLUTIONS IN COM Technology 52,185 $1.2M 0.00% +1K +2.5%
1626 ACA ARCOSA INC COM Industrials 11,628 $1.2M 0.00% -4K -25.5%
1627 GKOS GLAUKOS CORP COM Healthcare 11,446 $1.2M 0.00% -49K -81.0%
1628 IART INTEGRA LIFESCIENCES HLDGS C COM NEW Healthcare 130,554 $1.2M 0.00% -250K -65.7%
1629 BC BRUNSWICK CORP COM Consumer Cyclical 16,887 $1.2M 0.00% +766 +4.8%
1630 MRNA PUT MODERNA INC Healthcare 780,000 $1.2M 0.00% +730K +1475.8%
1631 ITT ITT INC COM Industrials 6,432 $1.2M 0.00% -4K -38.1%
1632 OFG OFG BANCORP COM Financial Services 30,256 $1.2M 0.00% -3K -9.1%
1633 FOUR 0.5 08/01/27 SHIFT4 PMTS INC NOTE 0.500 8/0 12,950 $1.2M 0.00% -7K -36.5%
1634 MCRI MONARCH CASINO & RESORT INC COM Consumer Cyclical 12,767 $1.2M 0.00% -5K -27.7%
1635 TIP ISHARES TR TIPS BD ETF 11,009 $1.2M 0.00% +3K +35.5%
1636 AXGN AXOGEN INC COM Healthcare 36,644 $1.2M 0.00% -29K -44.0%
1637 PDBC INVESCO ACTVELY MNGD ETC FD OPTIMUM YIELD 70,000 $1.2M 0.00% NEW
1638 WOR WORTHINGTON ENTERPRISES INC COM Industrials 23,183 $1.2M 0.00% -4K -15.1%
1639 CHECK POINT SOFTWARE TECH LT ORD 8,456 $1.2M 0.00% -14K -62.9%
1640 EWBC EAST WEST BANCORP INC COM Financial Services 11,310 $1.2M 0.00% -117K -91.2%
1641 TCE2 CELLDEX THERAPEUTICS INC NEW COM NEW 38,008 $1.2M 0.00% -9K -19.7%
1642 BIP BROOKFIELD INFRASTRUCTURE PA LP INT UNIT Utilities 33,400 $1.2M 0.00% -37K -52.7%
1643 BCO BRINKS CO COM Industrials 11,628 $1.2M 0.00% -4K -27.0%
1644 CALL SLB LIMITED 110,100 $1.2M 0.00% +67K +154.3%
1645 PEP CALL PEPSICO INC Consumer Defensive 333,200 $1.2M 0.00% +74K +28.7%
1646 AMN AMN HEALTHCARE SVCS INC COM Healthcare 65,472 $1.2M 0.00% -1K -1.5%
1647 TERN TERNS PHARMACEUTICALS INC COM Healthcare 22,774 $1.2M 0.00% -21K -48.1%
1648 VMI VALMONT INDS INC COM Industrials 3,004 $1.2M 0.00% -154 -4.9%
1649 CIMPRESS PLC SHS EURO 16,428 $1.2M 0.00% -26K -61.5%
1650 AMSC AMERICAN SUPERCONDUCTOR CORP SHS NEW Industrials 35,385 $1.2M 0.00% -36K -50.2%
1651 INFY INFOSYS LTD SPONSORED ADR Technology 88,649 $1.2M 0.00% -124K -58.4%
1652 BUSE FIRST BUSEY CORP COM NEW Financial Services 47,371 $1.2M 0.00% +9K +23.2%
1653 CALL ALIBABA GROUP HLDG LTD 157,700 $1.2M 0.00% -322K -67.1%
1654 SPXC SPX TECHNOLOGIES INC COM Industrials 5,971 $1.2M 0.00% -17K -73.8%
1655 PRESTIGE CONSMR HEALTHCARE I COM 20,132 $1.2M 0.00% -46K -69.7%
1656 NMIH NMI HLDGS INC COM Financial Services 31,773 $1.2M 0.00% -6K -16.0%
1657 TWST TWIST BIOSCIENCE CORP COM Healthcare 25,070 $1.2M 0.00% -51K -67.2%
1658 APLS APELLIS PHARMACEUTICALS INC COM Healthcare 29,601 $1.2M 0.00% -537K -94.8%
1659 BANDWIDTH INC NOTE 0.500 4/0 13,300 $1.2M 0.00% -4K -21.8%
1660 DORM DORMAN PRODS INC COM Consumer Cyclical 11,348 $1.2M 0.00% +4K +56.4%
1661 DKNG 0 03/15/28 DRAFTKINGS INC NEW NOTE 3/1 13,100 $1.2M 0.00% +3K +33.7%
1662 ATRO ASTRONICS CORP COM Industrials 17,667 $1.2M 0.00% -24K -58.0%
1663 HALO HALOZYME THERAPEUTICS INC COM Healthcare 18,178 $1.2M 0.00% -17K -48.2%
1664 VRDN VIRIDIAN THERAPEUTICS INC COM Healthcare 60,044 $1.2M 0.00% +27K +81.5%
1665 FCF FIRST COMWLTH FINL CORP PA COM Financial Services 66,728 $1.2M 0.00% -31K -31.9%
1666 KNX KNIGHT-SWIFT TRANSN HLDGS IN CL A Industrials 20,346 $1.2M 0.00% -79K -79.5%
1667 PHIN PHINIA INC COMMON STOCK Consumer Cyclical 17,118 $1.2M 0.00% -599 -3.4%
1668 BILI BILIBILI INC SPONS ADS REP Z Technology 51,970 $1.2M 0.00% +34K +187.7%
1669 SHOALS TECHNOLOGIES GROUP IN CL A 177,831 $1.2M 0.00% -555K -75.7%
1670 CHEF CHEFS WHSE INC COM Consumer Defensive 19,668 $1.2M 0.00% +10K +111.8%
1671 CE CELANESE CORP DEL COM Basic Materials 17,724 $1.2M 0.00% -11K -38.7%
1672 BNS BANK NOVA SCOTIA B C COM Financial Services 16,768 $1.2M 0.00% NEW
1673 WU WESTERN UN CO COM Financial Services 132,958 $1.2M 0.00% -7.8M -98.3%
1674 REPL REPLIMUNE GROUP INC COM Healthcare 151,674 $1.2M 0.00% +80K +110.8%
1675 AGM FEDERAL AGRIC MTG CORP CL C Financial Services 7,811 $1.2M 0.00% -2K -20.7%
1676 WTS WATTS WATER TECHNOLOGIES INC CL A Industrials 3,981 $1.2M 0.00% -7K -62.4%
1677 CRM PUT SALESFORCE INC Technology 130,000 $1.2M 0.00% -310K -70.5%
1678 BA CALL BOEING CO Industrials 174,900 $1.2M 0.00% +52K +41.7%
1679 NTLA INTELLIA THERAPEUTICS INC COM Healthcare 89,688 $1.1M 0.00% +17K +22.6%
1680 NVAX NOVAVAX INC COM NEW Healthcare 141,085 $1.1M 0.00% -835K -85.5%
1681 LUNR INTUITIVE MACHINES INC CLASS A COM Industrials 61,824 $1.1M 0.00% -4K -5.6%
1682 JNJ CALL JOHNSON & JOHNSON Healthcare 429,400 $1.1M 0.00% -1.5M -78.2%
1683 GRC GORMAN RUPP CO COM Industrials 18,361 $1.1M 0.00% +7K +65.5%
1684 ICUI ICU MED INC COM Healthcare 8,832 $1.1M 0.00% +5K +117.3%
1685 RDY DR REDDYS LABS LTD ADR Healthcare 82,316 $1.1M 0.00% NEW
1686 VSTM VERASTEM INC COM NEW Healthcare 215,004 $1.1M 0.00% -175K -44.9%
1687 GPK GRAPHIC PACKAGING HLDG CO COM Consumer Cyclical 114,530 $1.1M 0.00% -51K -30.7%
1688 TCBI TEXAS CAP BANCSHARES INC COM Financial Services 11,977 $1.1M 0.00% -23K -65.7%
1689 PANW PUT PALO ALTO NETWORKS INC Technology 167,200 $1.1M 0.00% +150K +872.1%
1690 AXALTA COATING SYS LTD COM 40,870 $1.1M 0.00% -482K -92.2%
1691 NHC NATIONAL HEALTHCARE CORP COM Healthcare 7,079 $1.1M 0.00% -5K -43.3%
1692 BEPC BROOKFIELD RENEWABLE CORP CL A EX SUB VTG Utilities 28,399 $1.1M 0.00% -115K -80.2%
1693 ASST STRIVE INC CL A COM Communication Services 112,453 $1.1M 0.00% NEW
1694 FIGS FIGS INC CL A Consumer Cyclical 76,261 $1.1M 0.00% +8K +12.3%
1695 AVBP ARRIVENT BIOPHARMA INC COM Healthcare 48,716 $1.1M 0.00% -3K -5.3%
1696 AAP ADVANCE AUTO PARTS INC COM Consumer Cyclical 21,238 $1.1M 0.00% -18K -46.5%
1697 CWAN CLEARWATER ANALYTICS HLDGS I CL A Technology 47,372 $1.1M 0.00% -37K -44.1%
1698 EWS ISHARES INC MSCI SINGPOR ETF 39,670 $1.1M 0.00% -2K -5.9%
1699 MELI PUT MERCADOLIBRE INC Consumer Cyclical 2,100 $1.1M 0.00% -8K -80.0%
1700 UL UNILEVER PLC SPON ADR NEW Consumer Defensive 19,554 $1.1M 0.00% -14K -41.0%
1701 ADVANCED DRAIN SYS INC DEL COM 8,116 $1.1M 0.00% -15K -65.5%
1702 CDP COPT DEFENSE PROPERTIES SHS BEN INT Real Estate 36,378 $1.1M 0.00% -10K -21.3%
1703 IIIN INSTEEL INDS INC COM Industrials 33,064 $1.1M 0.00% -3K -9.5%
1704 PSMT PRICESMART INC COM Consumer Defensive 7,374 $1.1M 0.00% -8K -50.5%
1705 STBA S & T BANCORP INC COM Financial Services 26,545 $1.1M 0.00% +4K +20.1%
1706 ARCB ARCBEST CORP COM Industrials 11,267 $1.1M 0.00% +4K +51.5%
1707 IJR ISHARES TR CORE S&P SCP ETF 8,907 $1.1M 0.00% -22K -71.6%
1708 MTX MINERALS TECHNOLOGIES INC COM Basic Materials 15,608 $1.1M 0.00% +5K +40.8%
1709 CBSH COMMERCE BANCSHARES INC COM Financial Services 22,504 $1.1M 0.00% -53K -70.4%
1710 STOK STOKE THERAPEUTICS INC COM Healthcare 33,996 $1.1M 0.00% +8K +31.6%
1711 LIF LIFE360 INC COM Technology 27,108 $1.1M 0.00% +18K +192.7%
1712 OLLI OLLIES BARGAIN OUTLET HLDGS COM Consumer Defensive 12,020 $1.1M 0.00% -2K -12.7%
1713 IDYA IDEAYA BIOSCIENCES INC COM Healthcare 32,964 $1.1M 0.00% +3K +11.8%
1714 WDAY CALL WORKDAY INC Technology 44,600 $1.1M 0.00% NEW
1715 PATH UIPATH INC CL A Technology 98,405 $1.1M 0.00% -487K -83.2%
1716 OPEN OPENDOOR TECHNOLOGIES INC COM Real Estate 232,431 $1.1M 0.00% -664K -74.1%
1717 GSAT GLOBALSTAR INC COM NEW Communication Services 16,383 $1.1M 0.00% -12K -42.5%
1718 TEM PUT TEMPUS AI INC Healthcare 50,000 $1.1M 0.00% -50K -50.0%
1719 ESSENTIAL UTILS INC COM 26,903 $1.1M 0.00% -26K -49.3%
1720 AVA AVISTA CORP COM Utilities 26,920 $1.1M 0.00% +180 +0.7%
1721 DCH DAUCH CORP COM Industrials 182,019 $1.1M 0.00% +57K +45.5%
1722 NWE NORTHWESTERN ENERGY GROUP IN COM NEW Utilities 16,363 $1.1M 0.00% -10K -37.8%
1723 NG NOVAGOLD RESOURCES INC COM NEW Basic Materials 119,839 $1.1M 0.00% -42K -25.9%
1724 MRCY MERCURY SYS INC COM Industrials 14,764 $1.1M 0.00% -7K -33.6%
1725 ATHM AUTOHOME INC SP ADS RP CL A Communication Services 61,715 $1.1M 0.00% +5K +9.1%
1726 CDZI CADIZ INC COM NEW Utilities 218,094 $1.1M 0.00% +205K +1511.6%
1727 PAWZ PROSHARES TR PET CARE ETF 20,676 $1.1M 0.00% -10K -32.3%
1728 BMI BADGER METER INC COM Technology 6,961 $1.1M 0.00% -15K -68.8%
1729 SXI STANDEX INTL CORP COM Industrials 4,165 $1.1M 0.00% -941 -18.4%
1730 MRTN MARTEN TRANS LTD COM Industrials 80,662 $1.1M 0.00% -28K -25.4%
1731 PRIM PRIMORIS SVCS CORP COM Industrials 7,386 $1.1M 0.00% +5K +271.2%
1732 MTH MERITAGE HOMES CORP COM Consumer Cyclical 17,037 $1.1M 0.00% -2K -9.5%
1733 SEB SEABOARD CORP DEL COM Industrials 186 $1.1M 0.00% -135 -42.1%
1734 QNST QUINSTREET INC COM Communication Services 87,125 $1.0M 0.00% -3K -3.7%
1735 PRI PRIMERICA INC COM Financial Services 4,176 $1.0M 0.00% -685 -14.1%
1736 CCB COASTAL FINL CORP WA COM NEW Financial Services 13,719 $1.0M 0.00% +6K +71.2%
1737 HOPE HOPE BANCORP INC COM Financial Services 93,360 $1.0M 0.00% +42K +83.4%
1738 ATMU ATMUS FILTRATION TECHNOLOGIE COM Industrials 18,359 $1.0M 0.00% -26K -58.6%
1739 EZPW EZCORP INC CL A NON VTG Financial Services 41,063 $1.0M 0.00% +19K +88.7%
1740 PGNY PROGYNY INC COM Healthcare 61,391 $1.0M 0.00% +43K +225.3%
1741 CNH CNH INDL N V Industrials 94,653 $1.0M 0.00% -159K -62.8%
1742 NE NOBLE CORP PLC ORD SHS A Energy 21,116 $1.0M 0.00% -419K -95.2%
1743 MARA 0 03/01/30 MARA HOLDINGS INC NOTE 3/0 12,000 $1.0M 0.00% NEW
1744 VECO VEECO INSTRS INC DEL COM Technology 30,595 $1.0M 0.00% -102K -76.9%
1745 DHC DIVERSIFIED HEALTHCARE TR COM SH BEN INT Real Estate 155,237 $1.0M 0.00% -60K -28.0%
1746 CRGY CRESCENT ENERGY COMPANY CL A COM Energy 76,290 $1.0M 0.00% +15K +25.1%
1747 VRRM VERRA MOBILITY CORP CL A COM STK Technology 71,798 $1.0M 0.00% -198K -73.4%
1748 ASIX ADVANSIX INC COM Basic Materials 42,016 $1.0M 0.00% -26K -38.0%
1749 PRK PARK NATL CORP COM Financial Services 6,272 $1.0M 0.00%
1750 628 SEMRUSH HLDGS INC CL A COM 85,760 $1.0M 0.00% +64K +293.4%
1751 UNF UNIFIRST CORP MASS COM Industrials 4,071 $1.0M 0.00% -4K -52.0%
1752 CELCUITY INC NOTE 2.750 8/0 4,200 $1.0M 0.00%
1753 PUT AFFIRM HLDGS INC 50,600 $1.0M 0.00% -199K -79.7%
1754 DOCU PUT DOCUSIGN INC Technology 45,900 $1.0M 0.00%
1755 SMMT SUMMIT THERAPEUTICS INC COM Healthcare 53,523 $1.0M 0.00% +38K +243.3%
1756 THG HANOVER INS GROUP INC COM Financial Services 5,858 $1.0M 0.00% -8K -57.2%
1757 IJH ISHARES TR CORE S&P MCP ETF 15,010 $1.0M 0.00%
1758 ETHA ISHARES ETHEREUM TR Financial Services 63,900 $1.0M 0.00% +46K +256.8%
1759 TARS TARSUS PHARMACEUTICALS INC COM Healthcare 14,382 $1.0M 0.00% +864 +6.4%
1760 MDU MDU RES GROUP INC COM Industrials 48,535 $1.0M 0.00% -9K -14.9%
1761 PDM PIEDMONT REALTY TRUST INC COM CL A Real Estate 152,981 $1.0M 0.00% -319K -67.6%
1762 NEOGENOMICS INC NOTE 0.250 1/1 11,000 $1.0M 0.00%
1763 INOD INNODATA INC COM NEW Technology 25,993 $1.0M 0.00% -8K -23.3%
1764 PTON PELOTON INTERACTIVE INC CL A COM Consumer Cyclical 233,990 $1.0M 0.00% -204K -46.5%
1765 RLI RLI CORP COM Financial Services 17,581 $1.0M 0.00% -16K -48.3%
1766 SFNC SIMMONS FIRST NATL CORP CL A $1 PAR Financial Services 51,576 $1.0M 0.00% -63K -54.8%
1767 MUR MURPHY OIL CORP COM Energy 24,215 $999K 0.00% -98K -80.2%
1768 MKTX MARKETAXESS HLDGS INC COM Financial Services 6,032 $995K 0.00% -5K -47.2%
1769 MBC MASTERBRAND INC COMMON STOCK Consumer Cyclical 119,639 $994K 0.00% -618K -83.8%
1770 NKE PUT NIKE INC Consumer Cyclical 100,000 $990K 0.00% -776K -88.6%
1771 MHO M/I HOMES INC COM Consumer Cyclical 8,046 $985K 0.00% +51 +0.6%
1772 VCYT VERACYTE INC COM Healthcare 30,514 $983K 0.00% +5K +20.5%
1773 PL PLANET LABS PBC COM CL A Industrials 35,129 $982K 0.00% +11K +47.4%
1774 COUR COURSERA INC COM Consumer Defensive 168,665 $982K 0.00% +105K +166.1%
1775 IMTX IMMATICS N.V Healthcare 99,441 $978K 0.00% -109K -52.3%
1776 PRKS UNITED PARKS & RESORTS INC COM Consumer Cyclical 29,928 $977K 0.00% -105K -77.8%
1777 PINS PINTEREST INC CL A Communication Services 53,218 $976K 0.00% -86K -61.9%
1778 SSB SOUTHSTATE BK CORP COM Financial Services 10,520 $973K 0.00% -142K -93.1%
1779 USLM UNITED STS LIME & MINERALS I COM Basic Materials 7,438 $971K 0.00% +176 +2.4%
1780 BSY 0.375 07/01/27 BENTLEY SYS INC NOTE 0.375 7/0 10,200 $971K 0.00%
1781 SXT SENSIENT TECHNOLOGIES CORP COM Basic Materials 11,212 $969K 0.00% -11K -49.4%
1782 AORT ARTIVION INC COM Healthcare 26,371 $966K 0.00% -13K -32.4%
1783 CPA COPA HOLDINGS SA CL A Industrials 8,454 $960K 0.00% +3K +51.8%
1784 PUT PAYPAL HLDGS INC 1,423,800 $960K 0.00% +1.3M +981.9%
1785 PRVA PRIVIA HEALTH GROUP INC COM Healthcare 46,574 $958K 0.00% +24K +102.3%
1786 TFIN TRIUMPH FINANCIAL INC COM Financial Services 16,043 $957K 0.00% -78K -82.8%
1787 INTC PUT INTEL CORP Technology 1,638,600 $956K 0.00% +789K +92.8%
1788 NCNO NCINO INC COM Technology 63,842 $956K 0.00% +12K +24.3%
1789 MDXG MIMEDX GROUP INC COM Healthcare 241,881 $955K 0.00% +54K +28.6%
1790 NSSC NAPCO SEC TECHNOLOGIES INC COM Industrials 24,220 $954K 0.00% -18K -43.1%
1791 UI UBIQUITI INC COM Technology 1,206 $953K 0.00% -556 -31.6%
1792 ALL CALL ALLSTATE CORP Financial Services 100,000 $947K 0.00% NEW
1793 PFSI PENNYMAC FINL SVCS INC NEW COM Financial Services 10,829 $946K 0.00% +3K +42.5%
1794 NOMAD FOODS LTD USD ORD 98,341 $945K 0.00% -133K -57.5%
1795 CALL PAYPAL HLDGS INC 1,107,400 $944K 0.00% -276K -20.0%
1796 SBH SALLY BEAUTY HLDGS INC COM Consumer Cyclical 67,853 $940K 0.00% -15K -18.4%
1797 ARQT ARCUTIS BIOTHERAPEUTICS INC COM Healthcare 39,826 $938K 0.00% +5K +13.1%
1798 RXO RXO INC COMMON STOCK Industrials 64,083 $937K 0.00% -258K -80.1%
1799 EPR EPR PPTYS COM SH BEN INT Real Estate 18,709 $935K 0.00% -1K -7.0%
1800 BOX BOX INC CL A Technology 39,423 $932K 0.00% +14K +55.1%
1801 CENTA CENTRAL GARDEN & PET CO CL A NON-VTG Consumer Defensive 28,722 $931K 0.00% +12K +77.0%
1802 TR TOOTSIE ROLL INDS INC COM Consumer Defensive 21,795 $931K 0.00% -21K -48.7%
1803 KEX KIRBY CORP COM Industrials 6,981 $928K 0.00% +3K +69.2%
1804 SONY SONY GROUP CORP SPONSORED ADR Technology 44,657 $924K 0.00% +11K +32.1%
1805 CALL TJX COS INC NEW 25,200 $922K 0.00% -503K -95.2%
1806 PACS PACS GROUP INC COM Financial Services 28,624 $919K 0.00% +14K +100.5%
1807 SWX SOUTHWEST GAS HLDGS INC COM Utilities 10,579 $919K 0.00% +1K +13.8%
1808 IE IVANHOE ELECTRIC INC COM Technology 77,728 $919K 0.00% -73K -48.4%
1809 PUT SEA LTD 13,100 $918K 0.00% -35K -72.8%
1810 ACT ENACT HLDGS INC COM Financial Services 22,491 $918K 0.00% +3K +17.5%
1811 SOLOWIN HOLDINGS CL A ORD 260,510 $917K 0.00% NEW
1812 GRND GRINDR INC COM Technology 75,816 $917K 0.00% -141K -65.1%
1813 SCCO SOUTHERN COPPER CORP COM Basic Materials 5,311 $914K 0.00% -91K -94.5%
1814 ARVN ARVINAS INC COM Healthcare 86,231 $914K 0.00% +8K +10.3%
1815 CTS CTS CORP COM Technology 19,106 $913K 0.00% -8K -29.6%
1816 POWI POWER INTEGRATIONS INC COM Technology 17,831 $913K 0.00% -27K -59.8%
1817 PUT MATCH GROUP INC NEW 370,000 $911K 0.00% +310K +516.7%
1818 VSH VISHAY INTERTECHNOLOGY INC COM Technology 50,446 $908K 0.00% -99K -66.2%
1819 RCUS ARCUS BIOSCIENCES INC COM Healthcare 42,055 $908K 0.00% -3K -7.5%
1820 CRCA PROSHARES TR ULTRA CRCL 22,000 $908K 0.00% NEW
1821 PAA PLAINS ALL AMERN PIPELINE L UNIT LTD PARTN Energy 40,657 $908K 0.00% NEW
1822 PMT 8.5 06/01/29 PENNYMAC CORP NOTE 8.500 6/0 8,770 $907K 0.00%
1823 MWA MUELLER WTR PRODS INC COM SER A Industrials 33,003 $907K 0.00% -354K -91.5%
1824 MAN MANPOWERGROUP INC WIS COM Industrials 30,744 $906K 0.00% +7K +28.1%
1825 CMRE COSTAMARE INC Industrials 53,521 $905K 0.00% -26K -33.0%
1826 BANK OF N T BUTTERFIELD & SO SHS NEW 17,226 $904K 0.00% -11K -38.4%
1827 NMRK NEWMARK GROUP INC CL A Real Estate 60,333 $904K 0.00% -349K -85.2%
1828 ACIW ACI WORLDWIDE INC COM Technology 22,012 $903K 0.00% -47K -68.0%
1829 XRAY DENTSPLY SIRONA INC COM Healthcare 77,877 $903K 0.00% -15K -16.3%
1830 FG F&G ANNUITIES & LIFE INC COMMON STOCK Financial Services 35,587 $901K 0.00% +2K +6.3%
1831 LTC LTC PPTYS INC COM Real Estate 24,226 $900K 0.00% +2K +10.7%
1832 SNDX SYNDAX PHARMACEUTICALS INC COM Healthcare 38,548 $900K 0.00% -91K -70.2%
1833 STNG SCORPIO TANKERS INC Energy 12,040 $899K 0.00% -3K -21.3%
1834 OLED UNIVERSAL DISPLAY CORP COM Technology 9,811 $899K 0.00% -7K -42.3%
1835 OGM1 COGENT COMM HOLDINGS INC COM NEW 47,717 $899K 0.00% -20K -29.9%
1836 CALY AWAY GOLF CO COM Consumer Cyclical 64,707 $898K 0.00% -549K -89.5%
1837 CHT CHUNGHWA TELECOM CO LTD SPON ADR NEW11 Communication Services 21,264 $898K 0.00% +18K +582.6%
1838 CON CONCENTRA GROUP HOLDINGS PAR COMMON STOCK Healthcare 41,845 $898K 0.00% -19K -31.1%
1839 ICHR ICHOR HOLDINGS Technology 19,275 $898K 0.00% -7K -26.1%
1840 UMC UNITED MICROELECTRONICS CORP SPON ADR NEW Technology 99,946 $898K 0.00% NEW
1841 EAGLE MATLS INC COM 4,733 $897K 0.00% -25K -83.9%
1842 DNLI DENALI THERAPEUTICS INC COM Healthcare 46,642 $896K 0.00% -103K -68.8%
1843 UI2 KEMPER CORP COM 29,262 $894K 0.00% -49K -62.7%
1844 BBT BEACON FINANCIAL CORP. COM Financial Services 29,718 $892K 0.00% -19K -38.7%
1845 TLYS TILLYS INC CL A Consumer Cyclical 220,095 $891K 0.00%
1846 PLMR PALOMAR HLDGS INC COM Financial Services 7,450 $890K 0.00% -5K -40.4%
1847 AZO PUT AUTOZONE INC Consumer Cyclical 1,600 $890K 0.00%
1848 CALL ISHARES TR 55,000 $888K 0.00% -5K -8.3%
1849 MQ MARQETA INC CLASS A COM Technology 217,525 $888K 0.00% -878K -80.2%
1850 ARW ARROW ELECTRS INC COM Technology 6,181 $886K 0.00% -13K -67.0%
1851 SEALTD 0.25 09/15/26 SEA LTD NOTE 0.250 9/1 9,000 $882K 0.00%
1852 RAMP LIVERAMP HLDGS INC COM Technology 33,210 $881K 0.00% -8K -18.6%
1853 VZ CALL VERIZON COMMUNICATIONS INC Communication Services 446,200 $880K 0.00% +231K +107.7%
1854 TINY PROSHARES TR NANOTECH ETF 14,340 $879K 0.00% -3K -15.1%
1855 PLAB PHOTRONICS INC COM Technology 21,699 $877K 0.00% -1K -5.1%
1856 SIGI SELECTIVE INS GROUP INC COM Financial Services 11,616 $876K 0.00% -17K -59.0%
1857 TOWN TOWNEBANK PORTSMOUTH VA COM Financial Services 25,955 $874K 0.00% -15K -37.4%
1858 WBS WEBSTER FINL CORP COM Financial Services 12,578 $873K 0.00% -29K -69.7%
1859 DY DYCOM INDS INC COM Industrials 2,576 $873K 0.00% -11K -81.2%
1860 CALL SELECT SECTOR SPDR TR 1,370,600 $871K 0.00% +1.0M +303.1%
1861 CP CANADIAN PACIFIC KANSAS CITY COM Industrials 11,061 $870K 0.00% +6K +124.8%
1862 XHC HERITAGE COMM CORP COM 69,624 $869K 0.00% +33K +91.9%
1863 FEZ SPDR INDEX SHS FDS STATE STREET SPD 14,000 $869K 0.00% NEW
1864 GPI GROUP 1 AUTOMOTIVE INC COM Consumer Cyclical 2,619 $866K 0.00% +716 +37.6%
1865 VET VERMILION ENERGY INC COM Energy 62,748 $865K 0.00% -4K -6.0%
1866 BHVN BIOHAVEN LTD COM Healthcare 102,083 $864K 0.00% -3K -3.3%
1867 PCOR PROCORE TECHNOLOGIES INC COM Technology 15,130 $862K 0.00% +5K +46.1%
1868 XPEL XPEL INC COM Consumer Cyclical 19,474 $862K 0.00% +13K +205.2%
1869 UBER PUT UBER TECHNOLOGIES INC Technology 95,800 $860K 0.00% -72K -42.8%
1870 APOG APOGEE THERAPEUTICS INC COM Industrials 10,207 $859K 0.00% -63K -86.1%
1871 FIDELIS INSURANCE HOLDINGS L COM 44,821 $857K 0.00% +29K +179.1%
1872 WSBCO WESBANCO INC COM Financial Services 24,786 $855K 0.00% -15K -37.4%
1873 BVXB ITAU UNIBANCO HLDG S A SPON ADR REP PFD 101,879 $854K 0.00% +66K +187.8%
1874 RDDT CALL REDDIT INC Communication Services 23,000 $852K 0.00% NEW
1875 CABO CABLE ONE INC COM Communication Services 9,330 $851K 0.00% -793 -7.8%
1876 BNL BROADSTONE NET LEASE INC COM Real Estate 46,404 $848K 0.00% -16K -25.3%
1877 CSIQ CANADIAN SOLAR INC COM Energy 61,210 $848K 0.00% -36K -37.2%
1878 VERITONE INC NOTE 1.75011/1 8,930 $848K 0.00%
1879 JEF JEFFERIES FINANCIAL GROUP IN COM Financial Services 20,552 $848K 0.00% -291K -93.4%
1880 UNH CALL UNITEDHEALTH GROUP INC Healthcare 263,900 $847K 0.00% -38K -12.7%
1881 RARE ULTRAGENYX PHARMACEUTICAL IN COM Healthcare 40,387 $846K 0.00% +8K +25.4%
1882 PRCT PROCEPT BIOROBOTICS CORP COM Healthcare 33,716 $843K 0.00% -51K -60.0%
1883 AGI ALAMOS GOLD INC COM CL A Basic Materials 18,974 $843K 0.00% NEW
1884 ACMR ACM RESH INC COM CL A Technology 21,351 $840K 0.00% -208K -90.7%
1885 NBR NABORS INDUSTRIES LTD Energy 9,754 $839K 0.00% -12K -54.5%
1886 BXC BLUELINX HLDGS INC COM NEW Industrials 15,424 $836K 0.00% -1K -7.8%
1887 AVNT AVIENT CORPORATION COM Basic Materials 22,906 $831K 0.00% -9K -28.3%
1888 SBRA SABRA HEALTH CARE REIT INC COM Real Estate 43,159 $830K 0.00% -9K -16.9%
1889 CHCO CITY HLDG CO COM Financial Services 6,901 $825K 0.00% -4K -37.4%
1890 MFC MANULIFE FINL CORP COM Financial Services 23,945 $825K 0.00% -19K -43.9%
1891 ARCC ARES CAPITAL CORP COM Financial Services 45,730 $824K 0.00% -3K -7.0%
1892 HSTM HEALTHSTREAM INC COM Healthcare 39,798 $824K 0.00% -726 -1.8%
1893 VCEL VERICEL CORP COM Healthcare 25,593 $823K 0.00% -8K -23.1%
1894 LMND LEMONADE INC COM Financial Services 13,135 $823K 0.00% -19K -58.5%
1895 VYGR VOYAGER TECHNOLOGIES INC COM CL A Healthcare 35,099 $821K 0.00% NEW
1896 SA SEABRIDGE GOLD INC COM Basic Materials 28,926 $820K 0.00% +803 +2.9%
1897 GCO GENESCO INC COM Consumer Cyclical 28,237 $819K 0.00% -12K -29.8%
1898 DXCM PUT DEXCOM INC Healthcare 68,900 $818K 0.00% -2K -2.8%
1899 XNCR XENCOR INC COM Healthcare 67,566 $815K 0.00% -61K -47.4%
1900 FNKO FUNKO INC COM CL A Consumer Cyclical 258,597 $815K 0.00% +248K +2249.0%
1901 MPLX MPLX LP COM UNIT REP LTD Energy 14,282 $815K 0.00% +4K +33.5%
1902 NX QUANEX BLDG PRODS CORP COM Industrials 45,312 $814K 0.00% -21K -31.2%
1903 IMXI INTERNATIONAL MONEY EXPRESS COM Technology 51,330 $811K 0.00% +9K +21.3%
1904 GHC GRAHAM HLDGS CO COM CL B Consumer Defensive 767 $811K 0.00% -897 -53.9%
1905 TXG 10X GENOMICS INC CL A COM Healthcare 38,134 $810K 0.00% -26K -40.2%
1906 PRA PROASSURANCE CORP COM Financial Services 32,757 $810K 0.00% -11K -25.2%
1907 CSAN COSAN S A ADS Energy 196,491 $810K 0.00% +8K +4.1%
1908 MCY MERCURY GENL CORP NEW COM Financial Services 9,189 $810K 0.00% -495 -5.1%
1909 SUPERX AI TECHNOLOGY LTD USD ORD SHS NEW 101,111 $809K 0.00% +13K +14.9%
1910 JD PUT JD.COM INC Consumer Cyclical 271,500 $806K 0.00% +115K +73.2%
1911 UHAL/B U HAUL HOLDING COMPANY COM SER N 18,020 $805K 0.00% -84K -82.4%
1912 ETD ETHAN ALLEN INTERIORS INC COM Consumer Cyclical 36,170 $805K 0.00% -11K -23.1%
1913 SPNT SIRIUSPOINT LTD COM Financial Services 37,333 $804K 0.00% +13K +56.1%
1914 LNTH 2.625 12/15/27 LANTHEUS HLDGS INC NOTE 2.62512/1 6,740 $804K 0.00%
1915 CALL LOWES COS INC 75,000 $800K 0.00% +11K +16.5%
1916 BJRI BJS RESTAURANTS INC COM Consumer Cyclical 22,750 $799K 0.00% +5K +31.4%
1917 ELAN ELANCO ANIMAL HEALTH INC COM Healthcare 33,298 $797K 0.00% -62K -65.1%
1918 PFS PROVIDENT FINL SVCS INC COM Financial Services 37,556 $795K 0.00% -5K -12.4%
1919 CENX CENTURY ALUM CO COM Basic Materials 13,528 $794K 0.00% -7K -34.8%
1920 PUT MARA HOLDINGS INC 130,100 $794K 0.00% -310K -70.4%
1921 OSIS OSI SYSTEMS INC COM Technology 2,983 $792K 0.00% -2K -33.7%
1922 LASR NLIGHT INC COM Technology 13,850 $790K 0.00% -257 -1.8%
1923 CVNA PUT CARVANA CO Consumer Cyclical 15,800 $789K 0.00% -8K -35.0%
1924 HTHT 3 05/01/26 H WORLD GROUP LTD NOTE 3.000 5/0 6,000 $788K 0.00%
1925 HSAI HESAI GROUP SPONSORED ADS Consumer Cyclical 41,159 $787K 0.00% -27K -39.7%
1926 IMNM IMMUNOME INC COM Healthcare 35,970 $787K 0.00% -126K -77.8%
1927 BA PUT BOEING CO Industrials 26,600 $783K 0.00% +10K +61.2%
1928 GREK GLOBAL X FDS MSCI GREECE ETF 12,250 $782K 0.00% +3K +26.0%
1929 MMSI MERIT MED SYS INC COM Healthcare 11,341 $782K 0.00% -6K -35.0%
1930 EPAC ENERPAC TOOL GROUP CORP CL A COM Industrials 21,417 $781K 0.00% -11K -33.1%
1931 0J7Q IAC INC COM NEW 19,491 $780K 0.00% -3K -12.6%
1932 MRVL CALL MARVELL TECHNOLOGY INC Technology 71,300 $780K 0.00% -225K -75.9%
1933 MGA MAGNA INTL INC COM Consumer Cyclical 13,931 $777K 0.00% +12K +498.4%
1934 TE T1 ENERGY INC COM NEW Industrials 176,730 $776K 0.00% -318K -64.2%
1935 LNTH LANTHEUS HLDGS INC COM Healthcare 10,209 $774K 0.00% -3K -24.3%
1936 PUT CAPITAL ONE FINL CORP 14,100 $772K 0.00% NEW
1937 HCC WARRIOR MET COAL INC COM Energy 8,284 $772K 0.00% -174K -95.5%
1938 LTH LIFE TIME GROUP HOLDINGS INC COMMON STOCK Consumer Cyclical 28,493 $768K 0.00% +4K +14.3%
1939 VVX V2X INC COM Industrials 11,215 $768K 0.00% -8K -40.8%
1940 REX REX AMERICAN RES CORP COM Basic Materials 16,813 $766K 0.00% -8K -31.1%
1941 HR HEALTHCARE RLTY TR CL A COM Real Estate 45,024 $765K 0.00% -167K -78.7%
1942 PPTA PERPETUA RESOURCES CORP COM Basic Materials 27,047 $761K 0.00% NEW
1943 QTWO Q2 HLDGS INC COM Technology 16,081 $761K 0.00% +3K +25.3%
1944 CWEN CLEARWAY ENERGY INC CL A Utilities 19,409 $760K 0.00% -6K -24.3%
1945 ORI OLD REP INTL CORP COM Financial Services 19,055 $760K 0.00% -49K -72.1%
1946 PUT PRUDENTIAL FINL INC 88,300 $759K 0.00% +31K +55.2%
1947 APPLIED INDL TECHNOLOGIES IN COM 2,840 $754K 0.00% -58K -95.3%
1948 UNIT UNITI GROUP LLC COM Real Estate 80,399 $754K 0.00% -915K -91.9%
1949 LADR LADDER CAP CORP CL A Real Estate 77,084 $753K 0.00% -18K -19.2%
1950 PJT PJT PARTNERS INC COM CL A Financial Services 5,390 $753K 0.00% -4K -44.9%
1951 WT WISDOMTREE INC COM Financial Services 51,656 $752K 0.00% -114K -68.9%
1952 WAFD WAFD INC COM Financial Services 23,926 $751K 0.00% -30K -55.4%
1953 HMN HORACE MANN EDUCATORS CORP N COM Financial Services 17,575 $750K 0.00% -3K -12.5%
1954 LBTYK LIBERTY GLOBAL LTD COM CL A Communication Services 62,058 $750K 0.00% -445K -87.8%
1955 KRUS KURA SUSHI USA INC CL A COM Consumer Cyclical 10,718 $748K 0.00% +1K +14.0%
1956 DASH PUT DOORDASH INC Communication Services 10,200 $747K 0.00% -71K -87.5%
1957 CVI CVR ENERGY INC COM Energy 22,064 $742K 0.00% -7K -23.5%
1958 PAYC PAYCOM SOFTWARE INC COM Technology 6,098 $741K 0.00% -155K -96.2%
1959 SPB SPECTRUM BRANDS HOLDINGS INC COM Consumer Defensive 10,045 $740K 0.00% -8K -42.9%
1960 BVN COMPANIA DE MINAS BUENAVENTU SPONSORED ADR Basic Materials 20,462 $737K 0.00% -24K -54.4%
1961 SAM BOSTON BEER INC CL A Consumer Defensive 3,178 $732K 0.00% -1K -24.7%
1962 GIC GLOBAL INDUSTRIAL COMPANY COM Industrials 23,209 $732K 0.00% -2K -9.1%
1963 INDV INDIVIOR PHARMACEUTICALS INC COM Healthcare 23,990 $731K 0.00% NEW
1964 SNY SANOFI SA SPONSORED ADR Healthcare 15,142 $730K 0.00% -131 -0.9%
1965 ATEC ALPHATEC HLDGS INC COM NEW Healthcare 67,065 $730K 0.00% +3K +4.2%
1966 APOG APOGEE ENTERPRISES INC COM Industrials 21,716 $728K 0.00% -8K -27.0%
1967 NVST ENVISTA HOLDINGS CORPORATION COM Healthcare 28,640 $727K 0.00% -11K -27.9%
1968 ULS UL SOLUTIONS INC CLASS A COM Industrials 8,465 $726K 0.00% -9K -51.2%
1969 LLYVK LIBERTY LIVE HOLDINGS INC COM SHS SER C Communication Services 7,704 $725K 0.00% -602K -98.7%
1970 UFCS UNITED FIRE GROUP INC COM Financial Services 19,519 $723K 0.00% -2K -9.9%
1971 ERAS ERASCA INC COM Healthcare 44,697 $723K 0.00% -4K -8.2%
1972 PUT SPDR SERIES TRUST 290,000 $722K 0.00% NEW
1973 BRKR BRUKER CORP COM Healthcare 19,941 $720K 0.00% -79K -79.9%
1974 IMAX IMAX CORP COM Communication Services 18,887 $718K 0.00% +14K +284.0%
1975 IRON DISC MEDICINE INC COM Healthcare 11,226 $718K 0.00% -10K -46.9%
1976 SYBT STOCK YDS BANCORP INC COM Financial Services 10,825 $718K 0.00% -7K -39.0%
1977 RELY REMITLY GLOBAL INC COM Technology 45,783 $717K 0.00% -39K -45.9%
1978 NNI NELNET INC CL A Financial Services 5,548 $715K 0.00% -6K -53.7%
1979 ARWR 0 01/15/32 ARROWHEAD PHARMACEUTICALS IN NOTE 1/1 6,900 $715K 0.00% NEW
1980 LCII LCI INDS COM Consumer Cyclical 5,811 $715K 0.00% -2K -20.6%
1981 PEGA PEGASYSTEMS INC COM Technology 16,763 $713K 0.00% -5K -21.5%
1982 EE EXCELERATE ENERGY INC CL A COM Utilities 21,295 $712K 0.00% +14K +179.7%
1983 PPH CALL VANECK ETF TRUST 11,000 $712K 0.00%
1984 JJSF J & J SNACK FOODS CORP COM Consumer Defensive 8,972 $711K 0.00% -40K -81.6%
1985 BTU PEABODY ENGR CORP COM Energy 21,573 $711K 0.00% -68K -76.0%
1986 XERS XERIS BIOPHARMA HOLDINGS INC COM Healthcare 121,911 $707K 0.00% +12K +10.7%
1987 BL 1 06/01/29 BLACKLINE INC NOTE 1.000 6/0 7,500 $704K 0.00%
1988 AGX ARGAN INC COM Industrials 1,292 $704K 0.00% -3K -70.5%
1989 MRVL PUT MARVELL TECHNOLOGY INC Technology 293,000 $704K 0.00% -1.1M -78.9%
1990 LNC LINCOLN NATL CORP IND COM Financial Services 19,836 $704K 0.00% -18K -47.1%
1991 SENSATA TECHNOLOGIES HLDG PL 19,901 $701K 0.00% +5K +37.4%
1992 MAGS LISTED FDS TR ROUNDHILL MAGNIF 12,085 $700K 0.00% NEW
1993 SHOP CALL SHOPIFY INC Technology 67,200 $694K 0.00% -404K -85.7%
1994 COHU COHU INC COM Technology 22,665 $694K 0.00% -22K -49.1%
1995 TMO PUT THERMO FISHER SCIENTIFIC INC Healthcare 11,100 $693K 0.00% +6K +126.5%
1996 IRTC IRHYTHM HOLDINGS INC COM Healthcare 5,870 $693K 0.00% -5K -47.6%
1997 TPG TPG INC COM CL A Financial Services 17,081 $692K 0.00% +13K +280.9%
1998 CSR CENTERSPACE COM Real Estate 12,040 $692K 0.00% +4K +51.2%
1999 DBRG DIGITALBRIDGE GROUP INC CL A NEW Real Estate 44,790 $691K 0.00% -27K -37.5%
2000 FSS FEDERAL SIGNAL CORP COM Industrials 6,368 $689K 0.00% -3K -28.3%
2001 FRSH FRESHWORKS INC CLASS A COM Technology 85,816 $689K 0.00% -25K -22.2%
2002 OCFC OCEANFIRST FINL CORP COM Financial Services 38,136 $688K 0.00% +10K +37.2%
2003 VC VISTEON CORP COM NEW Consumer Cyclical 7,549 $688K 0.00% +2K +26.3%
2004 TMDX TRANSMEDICS GROUP INC COM Healthcare 6,910 $687K 0.00% -9K -56.1%
2005 FTDR FRONTDOOR INC COM Consumer Cyclical 12,979 $686K 0.00% -8K -39.0%
2006 TX TERNIUM SA SPONSORED ADS Basic Materials 17,080 $686K 0.00% -2K -11.3%
2007 BKE BUCKLE INC COM Consumer Cyclical 13,618 $686K 0.00% -14K -50.9%
2008 CBT CABOT CORP COM Basic Materials 9,079 $684K 0.00% -27K -75.0%
2009 PBI PITNEY BOWES INC COM Industrials 61,857 $684K 0.00% +3K +5.6%
2010 MGNI MAGNITE INC COM Communication Services 57,237 $680K 0.00% -2K -3.4%
2011 BBIO 2.25 02/01/29 BRIDGEBIO PHARMA INC NOTE 2.250 2/0 6,100 $680K 0.00% -4K -40.3%
2012 HLMN HILLMAN SOLUTIONS CORP COM Industrials 81,780 $680K 0.00% +49K +152.6%
2013 ANET CALL ARISTA NETWORKS INC Technology 22,000 $679K 0.00% -399K -94.8%
2014 SYRE SPYRE THERAPEUTICS INC COM NEW Healthcare 13,396 $676K 0.00% -10K -42.6%
2015 SPOT PUT SPOTIFY TECHNOLOGY S A Communication Services 3,000 $675K 0.00% -17K -85.2%
2016 EWM ISHARES INC MSCI MLY ETF NEW 23,775 $675K 0.00% -14K -37.8%
2017 KAI KADANT INC COM Industrials 2,301 $673K 0.00% -1K -37.7%
2018 PII POLARIS INC COM Consumer Cyclical 12,338 $672K 0.00% -15K -55.6%
2019 MGRE AFFILIATED MANAGERS GROUP COM Financial Services 2,413 $668K 0.00% +856 +55.0%
2020 FSLR CALL FIRST SOLAR INC Energy 26,000 $667K 0.00%
2021 JXN JACKSON FINANCIAL INC COM CL A Financial Services 6,291 $665K 0.00% -13K -66.7%
2022 RGEN REPLIGEN CORP COM Healthcare 5,644 $665K 0.00% -9K -62.1%
2023 BTSG BRIGHTSPRING HEALTH SVCS INC COM Healthcare 15,512 $661K 0.00% -168K -91.5%
2024 MMM CALL 3M CO Industrials 155,500 $660K 0.00% NEW
2025 CNK CINEMARK HLDGS INC COM Communication Services 23,063 $658K 0.00% -669K -96.7%
2026 GEF.B GREIF INC CL A Industrials 9,802 $657K 0.00% +3K +48.9%
2027 INTU CALL INTUIT Technology 14,600 $657K 0.00% -140K -90.6%
2028 TOON KARTOON STUDIOS INC. COM NEW Communication Services 1,050,010 $655K 0.00% NEW
2029 IESC IES HOLDINGS INC COM Industrials 1,372 $654K 0.00% -10K -87.8%
2030 SHY ISHARES TR 1 3 YR TREAS BD 7,925 $654K 0.00% -4K -36.1%
2031 KOD KODIAK SCIENCES INC COM Healthcare 17,124 $653K 0.00% -7K -29.0%
2032 PAGAYA U S HLDG CO LLC NOTE 6.12510/0 5,780 $653K 0.00%
2033 DYT1 DYNEX CAP INC COM 51,185 $653K 0.00% -58K -53.2%
2034 ONC BEONE MEDICINES LTD SPONSORED ADS Healthcare 2,197 $652K 0.00% -241 -9.9%
2035 WAY WAYSTAR HLDG CORP COM Technology 27,043 $652K 0.00% +6K +30.3%
2036 LKFN LAKELAND FINL CORP COM Financial Services 11,360 $652K 0.00% -3K -22.1%
2037 SMG SCOTTS MIRACLE-GRO CO CL A Basic Materials 10,696 $650K 0.00% -3K -23.5%
2038 AREC AMERICAN RES CORP CL A Energy 268,703 $650K 0.00% +14K +5.7%
2039 MTSI 0 12/15/29 MACOM TECH SOLUTIONS HLDGS I NOTE 12/1 4,500 $649K 0.00% NEW
2040 BLFS BIOLIFE SOLUTIONS INC COM NEW Healthcare 34,036 $649K 0.00% +7K +25.5%
2041 OBNK ORIGIN BANCORP INC COM Financial Services 15,613 $647K 0.00% +3K +21.5%
2042 AMPH AMPHASTAR PHARMACEUTICALS IN COM Healthcare 32,806 $643K 0.00% -61K -64.9%
2043 XPRO EXPRO GROUP HOLDINGS NV COM Energy 36,849 $642K 0.00% NEW
2044 CTEX PROSHARES TR S&P KENSHO CLEA 18,653 $641K 0.00% -3K -14.3%
2045 SLNO SOLENO THERAPEUTICS INC COM Healthcare 19,139 $641K 0.00% -21K -52.4%
2046 ARDX ARDELYX INC COM Healthcare 106,801 $640K 0.00% -65K -37.8%
2047 CASH PATHWARD FINANCIAL INC COM Financial Services 7,159 $639K 0.00% -7K -47.9%
2048 GTM ZOOMINFO TECHNOLOGIES INC COMMON STOCK Technology 106,643 $638K 0.00% +55K +107.9%
2049 LRN STRIDE INC COM Consumer Defensive 7,239 $638K 0.00% -549K -98.7%
2050 CAL CALERES INC COM Consumer Cyclical 60,556 $638K 0.00% -102K -62.8%
2051 GOOD GLADSTONE COMMERCIAL CORP COM Real Estate 55,859 $638K 0.00% -14K -19.5%
2052 AD ARRAY DIGITAL INFRASTRUCTURE COM Communication Services 13,814 $637K 0.00% -4K -23.2%
2053 ASAN ASANA INC CL A Technology 99,402 $636K 0.00% +34K +51.0%
2054 URBN URBAN OUTFITTERS INC COM Consumer Cyclical 10,012 $634K 0.00% -16K -61.1%
2055 TNDM TANDEM DIABETES CARE INC COM NEW Healthcare 33,022 $633K 0.00% -29K -46.7%
2056 MAT MATTEL INC COM Consumer Cyclical 43,527 $632K 0.00% -106K -71.0%
2057 ADMA ADMA BIOLOGICS INC COM Healthcare 70,160 $632K 0.00% +10K +16.4%
2058 EZJ PROSHARES TR UL MSCI JP ETF 11,600 $631K 0.00%
2059 BOH BANK HAWAII CORP COM Financial Services 8,501 $631K 0.00% -21K -71.3%
2060 FFBC 1ST FINL BANCORP COM Financial Services 22,544 $629K 0.00% -50K -68.8%
2061 HP HELMERICH & PAYNE INC COM Energy 17,457 $629K 0.00% -7K -29.7%
2062 GSK GSK PLC SPONSORED ADR Healthcare 11,363 $627K 0.00% -12K -51.2%
2063 SAFT SAFETY INS GROUP INC COM Financial Services 8,620 $626K 0.00% -128 -1.5%
2064 UNG UNITED STS NAT GAS FD LP UNIT PAR Financial Services 53,210 $624K 0.00% +18K +50.7%
2065 NMM NAVIOS MARITIME PARTNERS LP COM UNIT LPI Industrials 9,218 $622K 0.00% NEW
2066 CALL ELI LILLY & CO 6,900 $621K 0.00% -110K -94.1%
2067 FAF FIRST AMERN FINL CORP COM Financial Services 10,274 $619K 0.00% -1K -11.9%
2068 LEVI STRAUSS & CO NEW CL A COM STK 33,351 $617K 0.00% +16K +91.1%
2069 CHYM CHIME FINL INC COM SHS CL A Financial Services 32,954 $617K 0.00% +2K +6.5%
2070 WSC WILLSCOT HLDGS CORP COM CL A Industrials 35,546 $617K 0.00% +16K +82.7%
2071 FNV FRANCO NEV CORP COM Basic Materials 2,494 $616K 0.00% NEW
2072 CUZ COUSINS PPTYS INC COM NEW Real Estate 27,285 $616K 0.00% +794 +3.0%
2073 BCI ABRDN ETFS BBRG ALL COMD K1 25,314 $615K 0.00% NEW
2074 RYZ RYERSON HLDG CORP COM Consumer Defensive 27,140 $610K 0.00% +3K +12.6%
2075 NSIT INSIGHT ENTERPRISES INC COM Technology 9,110 $610K 0.00% -10K -51.8%
2076 WGO WINNEBAGO INDS INC COM Consumer Cyclical 19,674 $610K 0.00% +7K +59.6%
2077 ABR ARBOR REALTY TRUST INC COM Real Estate 78,912 $608K 0.00% -38K -32.6%
2078 AZTA AZENTA INC COM Healthcare 28,741 $607K 0.00% +10K +55.9%
2079 PEB PEBBLEBROOK HOTEL TR COM Real Estate 47,977 $606K 0.00% -105K -68.7%
2080 JBGS JBG SMITH PPTYS COM Real Estate 41,475 $606K 0.00% -341K -89.2%
2081 CELC CELCUITY INC COM Healthcare 5,300 $605K 0.00% -9K -62.8%
2082 GBX GREENBRIER COS INC COM Industrials 11,485 $605K 0.00% -6K -35.9%
2083 AIN ALBANY INTL CORP CL A Consumer Cyclical 11,565 $604K 0.00% -20K -63.5%
2084 IONQ IONQ INC COM Technology 20,936 $604K 0.00% +12K +139.9%
2085 RVLV REVOLVE GROUP INC CL A Consumer Cyclical 26,663 $603K 0.00% +17K +177.1%
2086 RHLD RESOLUTE HLDGS MGMT INC COM Industrials 3,708 $602K 0.00% +2K +186.8%
2087 FLNC 2.25 06/15/30 FLUENCE ENERGY INC NOTE 2.250 6/1 6,000 $601K 0.00%
2088 KLAC CALL KLA CORP Technology 10,000 $600K 0.00% -95K -90.5%
2089 DORIAN LPG LTD SHS USD 17,464 $597K 0.00% -36K -67.1%
2090 CALX CALIX INC COM Technology 12,193 $597K 0.00% -7K -36.9%
2091 DLX DELUXE CORP MEDIUM TERM NTS COM Communication Services 21,672 $597K 0.00% -11K -34.4%
2092 SKWD SKYWARD SPECIALTY INS GROUP COM Financial Services 13,629 $595K 0.00% -4K -21.2%
2093 KRBN KRANESHARES TRUST GLOBAL CARB STRA 20,000 $594K 0.00%
2094 IMKTA INGLES MKTS INC CL A Consumer Defensive 6,587 $592K 0.00% +1K +24.8%
2095 IOVA IOVANCE BIOTHERAPEUTICS INC COM Healthcare 167,878 $589K 0.00% +112K +203.1%
2096 JBSS SANFILIPPO JOHN B & SON INC COM Consumer Defensive 7,425 $589K 0.00% -2K -21.0%
2097 CALM CAL MAINE FOODS INC COM NEW Consumer Defensive 7,442 $589K 0.00% -3K -28.5%
2098 ONLN PROSHARES TR ONLINE RTL ETF 11,045 $588K 0.00% +657 +6.3%
2099 DNTH DIANTHUS THERAPEUTICS INC COM Healthcare 7,007 $588K 0.00% -12K -62.3%
2100 FBK FB FINL CORP COM Financial Services 11,285 $586K 0.00% -7K -39.1%
2101 CLMT CALUMET INC COM Energy 16,293 $585K 0.00% -17K -51.7%
2102 DDOG PUT DATADOG INC Technology 36,800 $585K 0.00% -98K -72.8%
2103 IBCP INDEPENDENT BK CORP MICH COM NEW Financial Services 17,525 $584K 0.00% -3K -13.6%
2104 APPLIED OPTOELECTRONICS INC NOTE 2.750 1/1 2,600 $582K 0.00% -9K -78.3%
2105 KN KNOWLES CORP COM Technology 22,636 $581K 0.00% -17K -42.8%
2106 GPGI GPGI INC COM CL A Industrials 33,936 $580K 0.00% -99K -74.4%
2107 LPTH LIGHTPATH TECHNOLOGIES INC COM CL A Technology 57,684 $579K 0.00% +3K +6.0%
2108 FRO FRONTLINE PLC COM Energy 16,536 $576K 0.00% NEW
2109 PEBO PEOPLES BANCORP INC COM Financial Services 17,437 $573K 0.00% +2K +9.4%
2110 APAM ARTISAN PARTNERS ASSET MGMT CL A Financial Services 15,630 $569K 0.00% -8K -32.9%
2111 PUT ELI LILLY & CO 71,000 $569K 0.00% -103K -59.1%
2112 EFXT ENERFLEX LTD COM Energy 27,154 $568K 0.00% +19K +253.0%
2113 EQRR PROSHARES TR EQTS FOR RISIN 8,151 $567K 0.00% -16K -66.0%
2114 BOW BOWHEAD SPECIALTY HLDGS INC COM Financial Services 25,230 $566K 0.00% -6K -18.2%
2115 ALGT ALLEGIANT TRAVEL CO COM Industrials 6,988 $566K 0.00% -5K -41.7%
2116 IMVT IMMUNOVANT INC COM Healthcare 22,801 $566K 0.00% -23K -50.0%
2117 CUSHMAN AND WAKEFIELD LTD COMMON SHARES 46,064 $565K 0.00% -50K -52.3%
2118 BL BLACKLINE INC COM Technology 15,275 $565K 0.00%
2119 AMR ALPHA METALLURGICAL RESOUR I COM Energy 2,754 $565K 0.00% -16K -85.4%
2120 CHWY PUT CHEWY INC Consumer Cyclical 106,500 $564K 0.00% +10K +10.4%
2121 ETOR CALL ETORO GROUP LTD Financial Services 486,100 $564K 0.00% NEW
2122 EWT ISHARES INC MSCI TAIWAN ETF 7,921 $562K 0.00% +5K +151.6%
2123 CLIX PROSHARES TR LONG ONLINE SHRT 10,526 $562K 0.00% +1K +10.9%
2124 RDW REDWIRE CORPORATION COM Industrials 66,058 $561K 0.00% -561 -0.8%
2125 CALL MONSTER BEVERAGE CORP NEW 55,800 $561K 0.00% -190K -77.3%
2126 CALL INTERNATIONAL BUSINESS MACHS 120,300 $560K 0.00% -870K -87.9%
2127 HRTG HERITAGE INSURANCE HLDGS INC COM Financial Services 21,282 $559K 0.00% -6K -22.3%
2128 REKR REKOR SYSTEMS INC COM Technology 680,899 $558K 0.00%
2129 ITRI ITRON INC COM Technology 6,209 $557K 0.00% -1K -17.1%
2130 BLKB BLACKBAUD INC COM Technology 14,427 $557K 0.00% -5K -26.2%
2131 GSHD GOOSEHEAD INS INC COM CL A Financial Services 13,056 $557K 0.00% +4K +41.8%
2132 MSGE MADISON SQUARE GARDEN ENTMT COM CL A Communication Services 9,423 $555K 0.00% -5K -32.5%
2133 TFSL TFS FINL CORP COM Financial Services 39,408 $554K 0.00% -17K -29.6%
2134 SFL SFL CORPORATION LTD Industrials 51,133 $552K 0.00% +21K +69.2%
2135 WMK WEIS MKTS INC COM Consumer Defensive 8,056 $551K 0.00% -3K -24.6%
2136 RLJ RLJ LODGING TR COM Real Estate 73,953 $549K 0.00% -167K -69.3%
2137 PCRX PACIRA BIOSCIENCES INC COM Healthcare 24,303 $549K 0.00% +5K +28.0%
2138 HNRG HALLADOR ENERGY COMPANY COM Energy 33,721 $549K 0.00% +9K +34.6%
2139 HTD CORCEPT THERAPEUTICS INC COM Financial Services 13,583 $548K 0.00% -245 -1.8%
2140 TENB TENABLE HLDGS INC COM Technology 32,252 $546K 0.00% -60K -65.2%
2141 PAG PENSKE AUTOMOTIVE GRP INC COM Consumer Cyclical 3,645 $545K 0.00% -400 -9.9%
2142 FLY FIREFLY AEROSPACE INC COM Industrials 19,065 $543K 0.00% +9K +96.1%
2143 PUT SELECT SECTOR SPDR TR 50,200 $541K 0.00% -67K -57.1%
2144 VSEC VSE CORP COM Industrials 2,928 $540K 0.00% -57K -95.1%
2145 SMBK SMARTFINANCIAL INC COM NEW Financial Services 13,785 $539K 0.00% -21K -60.2%
2146 ROAD CONSTRUCTION PARTNERS INC COM CL A Industrials 4,839 $538K 0.00% -6K -57.3%
2147 NVS NOVARTIS AG SPONSORED ADR Healthcare 3,515 $537K 0.00% NEW
2148 TDS TELEPHONE & DATA SYS INC COM NEW Communication Services 12,758 $537K 0.00% -27K -67.8%
2149 LZ LEGALZOOM COM INC COM Industrials 94,670 $537K 0.00% -439K -82.3%
2150 BY BYLINE BANCORP INC COM Financial Services 16,988 $536K 0.00% -19K -52.5%
2151 CCO CLEAR CHANNEL OUTDOOR HLDGS COM Communication Services 225,920 $535K 0.00% +202K +856.6%
2152 WK WORKIVA INC COM CL A Technology 8,956 $534K 0.00% -45K -83.4%
2153 WING WINGSTOP INC COM Consumer Cyclical 3,439 $533K 0.00% -38K -91.7%
2154 DDI DOUBLEDOWN INTERACTIVE CO LT ADS Technology 63,016 $532K 0.00%
2155 CAKE CHEESECAKE FACTORY INC COM Consumer Cyclical 9,709 $532K 0.00% -16K -62.8%
2156 FLYW FLYWIRE CORPORATION COM VTG Technology 45,738 $532K 0.00% -32K -41.5%
2157 PCTY PAYLOCITY HLDG CORP COM Technology 4,911 $531K 0.00% -14K -73.7%
2158 XENE XENON PHARMACEUTICALS INC COM Healthcare 9,119 $530K 0.00% +2K +28.9%
2159 ADEA ADEIA INC COM Technology 22,059 $530K 0.00% +12K +116.0%
2160 LION LIONSGATE STUDIOS CORP COM Communication Services 55,243 $530K 0.00% +31K +132.2%
2161 IHS HOLDING LIMITED ORD 64,282 $529K 0.00% NEW
2162 GE CALL GE AEROSPACE Industrials 100,500 $529K 0.00% -519K -83.8%
2163 MXL MAXLINEAR INC COM Technology 30,359 $528K 0.00% -147K -82.9%
2164 PUT ON HLDG AG 109,100 $523K 0.00% -30K -21.5%
2165 DXPE DXP ENTERPRISES INC COM NEW Industrials 3,741 $523K 0.00% -11K -75.3%
2166 ETN CALL EATON CORP PLC Industrials 74,000 $522K 0.00% +32K +78.3%
2167 NSA NATIONAL STORAGE AFFILIATES COM SHS BEN IN Real Estate 13,773 $520K 0.00% -8K -36.5%
2168 INSW INTERNATIONAL SEAWAYS INC COM Energy 7,131 $520K 0.00% -27K -79.2%
2169 ASTE ASTEC INDS INC COM Industrials 9,662 $520K 0.00% -8K -44.9%
2170 CDNA CAREDX INC COM Healthcare 29,949 $520K 0.00% +2K +8.3%
2171 CRVS CORVUS PHARMACEUTICALS INC COM Healthcare 35,420 $518K 0.00% +15K +76.9%
2172 TN1 TENNANT CO COM 7,737 $514K 0.00% -4K -34.8%
2173 PAR PAR TECHNOLOGY CORP COM Technology 38,449 $513K 0.00% -713K -94.9%
2174 LCID LUCID GROUP INC COM NEW Consumer Cyclical 53,691 $512K 0.00% -127K -70.4%
2175 BANK AMERICA CORP 7.25CNV PFD L 430 $512K 0.00%
2176 IAUX I-80 GOLD CORP COM Basic Materials 337,090 $512K 0.00% +321K +2016.6%
2177 KALU KAISER ALUMINIUM CORPORATION COM PAR $0.01 Basic Materials 4,241 $511K 0.00% -2K -34.5%
2178 IDT IDT CORP CL B NEW Communication Services 10,401 $511K 0.00% -4K -28.8%
2179 BX PUT BLACKSTONE INC Financial Services 468,300 $510K 0.00% +384K +456.2%
2180 WDFC WD 40 CO COM Basic Materials 2,502 $510K 0.00% +900 +56.2%
2181 HFWA HERITAGE FINL CORP WASH COM Financial Services 19,571 $509K 0.00% +2K +12.0%
2182 VERA VERA THERAPEUTICS INC CL A Healthcare 12,651 $509K 0.00% -14K -52.1%
2183 RIO CALL RIO TINTO PLC Basic Materials 70,200 $509K 0.00% NEW
2184 PUT GLOBAL X FDS 95,000 $508K 0.00% +55K +137.5%
2185 TNGX TANGO THERAPEUTICS INC COM Healthcare 24,257 $507K 0.00% +2K +10.2%
2186 VTV VANGUARD INDEX FDS VALUE ETF 2,580 $506K 0.00% NEW
2187 AEG AEGON LTD AMER REG 1 CERT Financial Services 69,596 $505K 0.00% -2K -2.6%
2188 CIG CIA ENERGETICA DE MINAS GERA SP ADR N-V PFD Utilities 211,400 $505K 0.00% NEW
2189 DEA EASTERLY GOVT PPTYS INC COM Real Estate 23,507 $504K 0.00% -4K -15.3%
2190 EQT CALL EQT CORP Energy 43,300 $502K 0.00% -67K -60.6%
2191 VITL VITAL FARMS INC COM Consumer Defensive 35,526 $502K 0.00% -4K -9.0%
2192 PUT KRANESHARES TRUST 70,000 $502K 0.00% +20K +40.0%
2193 OUT OUTFRONT MEDIA INC COM NEW Real Estate 18,941 $502K 0.00% -19K -49.5%
2194 PSN PARSONS CORP DEL COM Industrials 9,249 $501K 0.00% -22K -70.2%
2195 URG UR-ENERGY INC COM Energy 336,501 $501K 0.00% +37K +12.5%
2196 BH BIGLARI HLDGS INC COM STK CL B Consumer Cyclical 1,517 $500K 0.00% NEW
2197 EBF ENNIS INC COM Industrials 23,306 $499K 0.00% +4K +23.8%
2198 TTI TETRA TECHNOLOGIES INC DEL COM Energy 58,331 $497K 0.00% -5K -7.4%
2199 PDFS PDF SOLUTIONS INC COM Technology 15,178 $496K 0.00% -4K -19.9%
2200 EVOLENT HEALTH INC NOTE 3.50012/0 9,450 $494K 0.00% -6K -37.0%
2201 PUT COREWEAVE INC 66,000 $494K 0.00% +46K +225.1%
2202 NPO ENPRO INC COM Industrials 1,971 $494K 0.00% -3K -61.8%
2203 LAD LITHIA MTRS INC COM Consumer Cyclical 1,977 $494K 0.00% -6K -76.6%
2204 EBC EASTERN BANKSHARES INC COM Financial Services 25,195 $493K 0.00% -40K -61.6%
2205 MEG MONTROSE ENVIRONMENTAL GROUP COM Industrials 22,471 $492K 0.00% -509 -2.2%
2206 HROW HARROW INC COM Healthcare 13,817 $487K 0.00% +4K +47.3%
2207 OSW ONESPAWORLD HOLDINGS LIMITED COM Consumer Cyclical 21,227 $487K 0.00% -21K -50.1%
2208 LEG LEGGETT & PLATT INC COM Consumer Cyclical 49,135 $485K 0.00% -322K -86.7%
2209 PUT WEBULL CORP 238,100 $484K 0.00% -141K -37.1%
2210 DAKT DAKTRONICS INC COM Technology 24,716 $483K 0.00% -3K -9.7%
2211 LIND LINDBLAD EXPEDITIONS HLDGS I COM Consumer Cyclical 27,883 $482K 0.00% -144K -83.8%
2212 ARI APOLLO COML REAL ESTATE FIN COM Real Estate 45,435 $480K 0.00% -55K -54.5%
2213 FBNC FIRST BANCORP N C COM Financial Services 8,527 $480K 0.00% -7K -44.6%
2214 MIR MIRION TECHNOLOGIES INC COM CL A Industrials 25,783 $479K 0.00% -18K -41.2%
2215 THFF FIRST FINANCIAL CORPORATION COM Financial Services 7,585 $479K 0.00% -2K -20.9%
2216 STEL STELLAR BANCORP INC COM Financial Services 13,064 $478K 0.00% -372 -2.8%
2217 MAKEMYTRIP LIMITED MAURITIUS 12,731 $475K 0.00% +3K +31.0%
2218 VT VANGUARD INTL EQUITY INDEX F TT WRLD ST ETF 3,429 $474K 0.00%
2219 URTH ISHARES INC MSCI WORLD ETF 2,624 $472K 0.00%
2220 GIB CGI INC CL A SUB VTG Technology 6,426 $470K 0.00% NEW
2221 GLDD GREAT LAKES DREDGE & DOCK CO COM 27,615 $469K 0.00% -78K -73.9%
2222 ARLO ARLO TECHNOLOGIES INC COM Industrials 32,883 $468K 0.00% -13K -28.9%
2223 MFA MFA FINL INC COM Real Estate 48,804 $468K 0.00%
2224 RXRX RECURSION PHARMACEUTICALS IN CL A Healthcare 152,567 $468K 0.00% +77K +102.8%
2225 NTST NETSTREIT CORP COM Real Estate 24,880 $468K 0.00% -11K -31.1%
2226 ETSY PUT ETSY INC Consumer Cyclical 62,000 $468K 0.00% -108K -63.5%
2227 MRNA CALL MODERNA INC Healthcare 20,900 $467K 0.00% -150K -87.8%
2228 EZU ISHARES INC MSCI EURZONE ETF 7,461 $467K 0.00% -29K -79.4%
2229 OMF ONEMAIN HLDGS INC COM Financial Services 8,648 $463K -2K -21.7%
2230 PVH PVH CORPORATION COM Consumer Cyclical 6,634 $463K -29K -81.3%
2231 SNDR SCHNEIDER NATIONAL INC CL B Industrials 17,540 $462K -7K -27.2%
2232 WES WESTERN MIDSTREAM PARTNERS L COM UNIT LP INT Energy 11,219 $462K -339 -2.9%
2233 OI O-I GLASS INC COM Consumer Cyclical 43,791 $460K -11K -20.5%
2234 BLMN BLOOMIN BRANDS INC COM Consumer Cyclical 85,062 $459K +5K +6.4%
2235 EXTR EXTREME NETWORKS INC COM Technology 30,423 $459K -78K -72.0%
2236 OMCL OMNICELL COM COM Healthcare 13,731 $458K -7K -33.2%
2237 TK TEEKAY CORPORATION LTD Energy 37,411 $457K NEW
2238 WBI WATERBRIDGE INFRASTRUCTURE L CL A SHS REPSTG Energy 17,045 $457K NEW
2239 KRP KIMBELL RTY PARTNERS LP UNIT Energy 31,600 $457K +17K +115.3%
2240 PANW CALL PALO ALTO NETWORKS INC Technology 93,900 $456K -65K -40.9%
2241 TECK TECK RESOURCES LTD CL B Basic Materials 8,786 $455K NEW
2242 MCB METROPOLITAN BK HLDG CORP COM Financial Services 5,450 $454K -3K -32.3%
2243 XHR XENIA HOTELS & RESORTS INC COM Real Estate 30,546 $453K -35K -53.3%
2244 CSGS CSG SYS INTL INC COM Technology 5,648 $452K -8K -57.6%
2245 GFL GFL ENVIRONMENTAL INC SUB VTG Industrials 10,796 $450K NEW
2246 NATL NCR ATLEOS CORPORATION COM Technology 10,327 $450K -10K -50.2%
2247 NKE CALL NIKE INC Consumer Cyclical 953,900 $449K -370K -27.9%
2248 NEE CALL NEXTERA ENERGY INC Utilities 54,000 $445K -192K -78.0%
2249 SANM SANMINA CORP COM Technology 3,434 $445K -5K -58.5%
2250 WHITE MTNS INS GROUP LTD COM 201 $442K +135 +204.6%
2251 OBDC BLUE OWL CAPITAL CORPORATION COM Financial Services 39,979 $442K +18K +79.3%
2252 SPOT CALL SPOTIFY TECHNOLOGY S A Communication Services 13,500 $441K -15K -53.1%
2253 SMA SMARTSTOP SELF STORAG REIT I COMMON STOCK Real Estate 14,558 $441K +5K +47.6%
2254 EAT BRINKER INTL INC COM Consumer Cyclical 3,086 $441K -2K -33.0%
2255 CALL BHP BILLITON LIMITED 50,000 $440K NEW
2256 PUT TEXAS INSTRS INC 24,400 $439K +8K +47.0%
2257 KALV KALVISTA PHARMACEUTICALS INC COM Healthcare 21,828 $439K -26K -54.5%
2258 HIW HIGHWOODS PPTYS INC COM Real Estate 20,437 $438K +15K +269.1%
2259 ZG CALL ZILLOW GROUP INC Communication Services 225,000 $438K -275K -55.0%
2260 JANX JANUX THERAPEUTICS INC COM Healthcare 31,533 $438K -48K -60.5%
2261 GLIBK GCI LIBERTY INC COM SER C Communication Services 11,725 $436K +7K +165.1%
2262 MIRM MIRUM PHARMACEUTICALS INC COM Healthcare 4,715 $436K -14K -74.8%
2263 COIN CALL COINBASE GLOBAL INC Financial Services 40,900 $436K -4K -8.3%
2264 ISRG CALL INTUITIVE SURGICAL INC Healthcare 23,400 $435K -23K -49.5%
2265 WMT CALL WALMART INC Consumer Defensive 47,400 $435K -722K -93.8%
2266 CRACKER BARREL OLD CTRY STOR NOTE 0.625 6/1 4,420 $435K
2267 ASPI ASP ISOTOPES INC COM Basic Materials 97,985 $433K NEW
2268 CPS COOPER-STANDARD HOLDINGS INC COM Consumer Cyclical 15,538 $433K +11K +231.4%
2269 ROKU CALL ROKU INC Communication Services 40,900 $431K
2270 MUX MCEWEN INC. COM NEW Basic Materials 21,122 $431K NEW
2271 VALE CALL VALE S A Basic Materials 355,100 $431K NEW
2272 SYNA SYNAPTICS INC COM Technology 6,142 $430K +1K +31.9%
2273 DCOM DIME CMNTY BANCSHARES INC COM Financial Services 12,717 $430K
2274 FIP FTAI INFRASTRUCTURE INC COMMON STOCK Industrials 86,806 $429K -35K -28.9%
2275 CVLT COMMVAULT SYS INC COM Technology 5,499 $428K -2K -31.0%
2276 CALL WASTE MGMT INC DEL 409,100 $427K +357K +686.7%
2277 SWBI SMITH & WESSON BRANDS INC COM Industrials 29,776 $427K +16K +120.8%
2278 PAY PAYMENTUS HOLDINGS INC COM CL A Technology 16,756 $426K -4K -20.0%
2279 TRN TRINITY INDS INC COM Industrials 13,245 $426K -18K -58.0%
2280 CLARIVATE PLC ORD 167,907 $425K -37K -18.0%
2281 FROG JFROG LTD ORD Technology 9,061 $425K -17K -65.5%
2282 PENN PENN ENTERTAINMENT INC COM Consumer Cyclical 28,302 $425K -121K -81.1%
2283 LQDT LIQUIDITY SVCS INC COM Consumer Cyclical 13,894 $425K +6K +82.0%
2284 SRRK SCHOLAR ROCK HLDG CORP COM Healthcare 8,625 $424K -76K -89.8%
2285 BMBL BUMBLE INC COM CL A Technology 130,154 $424K -87K -40.0%
2286 PLPC PREFORMED LINE PRODS CO COM Industrials 1,561 $423K -1K -45.1%
2287 ZD ZIFF DAVIS INC COM Communication Services 10,085 $423K -13K -55.4%
2288 ANGO ANGIODYNAMICS INC COM Healthcare 37,158 $422K +7K +24.1%
2289 AEHR AEHR TEST SYS COM Technology 11,384 $422K NEW
2290 HCSG HEALTHCARE SVCS GROUP INC COM Healthcare 22,641 $420K -21K -48.2%
2291 USPH U S PHYSICAL THERAPY COM Healthcare 5,573 $418K -6K -52.9%
2292 PUMP PROPETRO HLDG CORP COM Energy 28,933 $417K -24K -45.0%
2293 ARKG ARK ETF TR GENOMIC REV ETF 15,786 $417K -87K -84.6%
2294 CENT CENTRAL GARDEN & PET CO COM Consumer Defensive 11,346 $417K +159 +1.4%
2295 DRVN DRIVEN BRANDS HLDGS INC COM Consumer Cyclical 33,067 $417K -84K -71.7%
2296 GON GERON CORP COM 279,083 $416K +120K +75.8%
2297 CWH CAMPING WORLD HLDGS INC CL A Consumer Cyclical 60,354 $412K +7K +13.6%
2298 ENR ENERGIZER HLDGS INC COM Industrials 25,055 $411K -4K -12.8%
2299 POH3 CARNIVAL PLC ADS 15,896 $410K -20K -55.4%
2300 FMBH FIRST MID BANCSHARES INC COM Financial Services 9,961 $410K +2K +17.7%
2301 LPX LOUISIANA PAC CORP COM Basic Materials 5,629 $410K -3K -31.9%
2302 HAFC HANMI FINL CORP COM NEW Financial Services 15,484 $408K +4K +33.1%
2303 AIFC ALT5 SIGMA CORP COM 367,150 $408K +267K +267.1%
2304 NWBI NORTHWEST BANCSHARES INC COM Financial Services 32,132 $408K -37K -53.2%
2305 ASC ARDMORE SHIPPING CORP COM Industrials 26,681 $407K NEW
2306 TS TENARIS S A SPONSORED ADS Energy 7,002 $407K NEW
2307 LMB LIMBACH HLDGS INC COM Industrials 5,197 $406K +3K +123.5%
2308 KURA KURA ONCOLOGY INC COM Healthcare 49,816 $405K -102K -67.2%
2309 OIS OIL STS INTL INC COM Energy 34,668 $404K -4K -10.7%
2310 ADSK CALL AUTODESK INC Technology 56,900 $404K +23K +68.3%
2311 PLUS EPLUS INC COM Technology 5,372 $404K -9K -62.9%
2312 TILE INTERFACE INC COM Consumer Cyclical 16,192 $404K -5K -22.7%
2313 HNGE HINGE HEALTH INC CL A Healthcare 10,409 $401K -553 -5.0%
2314 JETS ETF SER SOLUTIONS US GLB JETS 16,280 $401K -19K -54.1%
2315 EXK ENDEAVOUR SILVER CORP COM Basic Materials 42,960 $400K +32K +282.8%
2316 VCSH VANGUARD SCOTTSDALE FDS SHRT TRM CORP BD 5,041 $400K
2317 IRWD IRONWOOD PHARMACEUTICALS INC COM CL A Healthcare 113,630 $399K +56K +96.8%
2318 URI PUT UNITED RENTALS INC Industrials 5,500 $396K -2K -26.7%
2319 U PUT UNITY SOFTWARE INC Technology 100,000 $395K -210K -67.8%
2320 CALL LAUDER ESTEE COS INC 29,000 $395K
2321 KKRT PUT KKR & CO INC Financial Services 38,000 $393K -13K -25.9%
2322 MITK MITEK SYS INC COM NEW Technology 29,096 $393K -20K -40.5%
2323 KRC KILROY REALTY CORP COM Real Estate 13,940 $393K -173K -92.6%
2324 PDD PUT PDD HOLDINGS INC Consumer Cyclical 96,800 $392K -145K -60.0%
2325 PAGS PAGSEGURO DIGITAL LTD COM CL A Technology 38,997 $391K -21K -35.1%
2326 ABM ABM INDS INC COM Industrials 10,142 $391K -28K -73.2%
2327 ONDS ONDAS INC COM NEW Technology 43,174 $390K +25K +134.7%
2328 PFBC PREFERRED BK LOS ANGELES CA COM NEW Financial Services 4,268 $387K -2K -28.2%
2329 RRR RED ROCK RESORTS INC CL A Consumer Cyclical 7,244 $387K -18K -71.5%
2330 W PUT WAYFAIR INC Consumer Cyclical 84,100 $387K -57K -40.6%
2331 YELP YELP INC CL A Communication Services 15,641 $387K -29K -64.8%
2332 ORRF ORRSTOWN FINL SVCS INC COM Financial Services 10,711 $386K +2K +21.8%
2333 EWCZ EUROPEAN WAX CTR INC CLASS A COM Consumer Defensive 66,613 $385K +43K +178.1%
2334 MSM MSC INDL DIRECT INC CL A Industrials 4,158 $384K -1K -24.7%
2335 AAT AMERICAN ASSETS TR INC COM Real Estate 20,732 $382K -13K -38.2%
2336 MNKD MANNKIND CORP COM NEW Healthcare 155,219 $380K +12K +8.1%
2337 QUBT QUANTUM COMING INC COM Technology 55,258 $379K -103K -65.1%
2338 COS CNO FINL GROUP INC COM 9,225 $379K -26K -73.9%
2339 KW KENNEDY-WILSON HOLDINGS INC COM Real Estate 35,020 $379K -34K -48.9%
2340 FCN FTI CONSULTING INC COM Industrials 2,141 $378K -4K -63.5%
2341 UPWK UPWORK INC COM Industrials 34,468 $378K -128K -78.8%
2342 CNXC CONCENTRIX CORP COM Technology 13,765 $377K -4K -23.4%
2343 NUVB NUVATION BIO INC COM CL A Healthcare 87,387 $375K +26K +41.4%
2344 SANA SANA BIOTECHNOLOGY INC COM Healthcare 130,083 $375K +32K +32.4%
2345 APPN APPIAN CORP CL A Technology 15,494 $374K -58K -78.8%
2346 HE HAWAIIAN ELEC INDS INC MTN B COM Utilities 25,232 $374K -43K -62.9%
2347 EHAB ENHABIT INC COM Healthcare 26,429 $372K +7K +35.4%
2348 SQM SOCIEDAD QUIMICA Y MINERA DE SPON ADR SER B Basic Materials 4,600 $372K +589 +14.7%
2349 ECG EVERUS CONSTR GROUP COM Industrials 3,155 $372K +16 +0.5%
2350 KFY KORN FERRY COM NEW Industrials 5,894 $371K -11K -64.9%
2351 EGBN EAGLE BANCORPORATION INC COM Financial Services 14,927 $371K -15K -50.9%
2352 PUT ISHARES TR 78,000 $371K -27K -25.7%
2353 VGT VANGUARD WORLD FD INF TECH ETF 530 $370K NEW
2354 VNT VONTIER CORPORATION COM Technology 10,442 $370K -8K -43.2%
2355 PUT CISCO SYS INC 32,500 $370K -18K -35.0%
2356 RIGL RIGEL PHARMACEUTICALS INC COM Healthcare 13,687 $370K +919 +7.2%
2357 PRMB PRIMO BRANDS CORPORATION CLASS A COM Consumer Defensive 19,584 $369K -10K -32.9%
2358 PRLB PROTO LABS INC COM Industrials 6,429 $367K -24K -78.7%
2359 KRMN KARMAN HLDGS INC COMMON STOCK Industrials 4,582 $367K -39K -89.5%
2360 TEL CALL TE CONNECTIVITY PLC Technology 50,100 $366K NEW
2361 AG PUT FIRST MAJESTIC SILVER CORP Basic Materials 150,000 $364K NEW
2362 GBDC GOLUB CAP BDC INC COM Financial Services 28,699 $363K +21K +258.8%
2363 AMRC AMERESCO INC CL A Industrials 14,215 $362K -128K -90.0%
2364 CALL BERKSHIRE HATHAWAY INC DEL 23,500 $362K -23K -49.9%
2365 PUT DISNEY WALT CO 33,500 $362K NEW
2366 ESI ELEMENT SOLUTIONS INC COM Basic Materials 10,612 $362K -22K -67.0%
2367 WTTR SELECT WATER SOLUTIONS INC CL A COM Utilities 23,568 $361K -39K -62.1%
2368 COLM COLUMBIA SPORTSWEAR CO COM Consumer Cyclical 6,581 $361K -27K -80.2%
2369 LBRT LIBERTY ENERGY INC COM CL A Energy 12,483 $360K +687 +5.8%
2370 UBS UBS GROUP AG Financial Services 9,200 $359K NEW
2371 TRANSOCEAN LTD REGISTERED 54,204 $359K -566K -91.3%
2372 BURFORD CAPITAL LIMITED ORD 79,245 $358K -795K -90.9%
2373 OKEANIS ECO TANKERS COR 7,073 $358K NEW
2374 CNS COHEN & STEERS INC COM Financial Services 5,706 $357K -12K -67.4%
2375 ABUS ARBUTUS BIOPHARMA CORP COM Healthcare 79,033 $356K +37K +89.8%
2376 USB PUT US BANCORP Financial Services 108,100 $356K NEW
2377 AMSF AMERISAFE INC COM Financial Services 10,621 $354K +2K +29.3%
2378 LXU LSB INDS INC COM Basic Materials 23,658 $353K -15K -39.5%
2379 HOV HOVNANIAN ENTERPRISES INC CL A NEW Consumer Cyclical 3,179 $353K +1K +48.5%
2380 EBS EMERGENT BIOSOLUTIONS INC COM Healthcare 42,394 $352K +2K +4.6%
2381 CAC CAMDEN NATL CORP COM Financial Services 7,413 $352K -1K -14.1%
2382 LIBERTY GLOBAL LTD COM CL C 29,911 $351K -6K -15.6%
2383 BKNG CALL BOOKING HOLDINGS INC Consumer Cyclical 2,400 $351K -4K -61.3%
2384 LGN LEGENCE CORP CL A Industrials 6,222 $351K NEW
2385 ESPR ESPERION THERAPEUTICS INC NE COM Healthcare 127,983 $351K +77K +151.0%
2386 BVE DIAMOND HILL INVT GROUP INC COM NEW 2,030 $349K -830 -29.0%
2387 WEN WENDYS CO COM Consumer Cyclical 50,001 $348K -76K -60.3%
2388 CRNX CRINETICS PHARMACEUTICALS IN COM Healthcare 9,571 $348K -12K -56.1%
2389 CVCO CAVCO INDS INC DEL COM Consumer Cyclical 716 $347K -922 -56.3%
2390 KTB KONTOOR BRANDS INC COM Consumer Cyclical 4,926 $346K -10K -67.5%
2391 SVM PUT SILVERCORP METALS INC Basic Materials 173,100 $346K NEW
2392 INGM INGRAM MICRO HLDG CORP COM Technology 14,775 $344K +6K +69.3%
2393 RYN RAYONIER INC COM Real Estate 16,613 $343K +5K +42.6%
2394 USAR USA RARE EARTH INC COM Basic Materials 22,653 $343K -17K -42.9%
2395 MSGS MADISON SQUARE GRDN SPRT COR CL A Communication Services 1,065 $342K -6K -84.0%
2396 HZO MARINEMAX INC COM Consumer Cyclical 12,646 $342K -21K -62.4%
2397 PIPR PIPER SANDLER COMPANIES COM Financial Services 4,465 $342K NEW
2398 BLTE BELITE BIO INC SPONSORED ADS Healthcare 2,144 $342K -611 -22.2%
2399 FLO FLOWERS FOODS INC COM Consumer Defensive 41,763 $340K +886 +2.2%
2400 HBNC HORIZON BANCORP IND COM Financial Services 20,466 $339K +3K +15.9%
2401 GNL GLOBAL NET LEASE INC COM NEW Real Estate 36,237 $339K -33K -47.4%
2402 BWIN THE BALDWIN INSURANCE GRP IN COM CL A Financial Services 15,388 $338K -264K -94.5%
2403 CAT PUT CATERPILLAR INC Industrials 25,400 $338K -21K -45.6%
2404 ZGN ERMENEGILDO ZEGNA N V ORD Consumer Cyclical 32,423 $338K -5K -12.7%
2405 PAYO PAYONEER GLOBAL INC COM Technology 69,719 $337K -3K -4.5%
2406 GLUE MONTE ROSA THERAPEUTICS INC COM Healthcare 20,468 $337K +3K +18.5%
2407 HTH HILLTOP HLDGS INC COM Financial Services 9,341 $335K -7K -41.3%
2408 TRVI TREVI THERAPEUTICS INC COM Healthcare 28,051 $335K -97K -77.5%
2409 VWO VANGUARD INTL EQUITY INDEX F FTSE EMR MKT ETF 6,191 $335K NEW
2410 BZH BEAZER HOMES USA INC COM NEW Consumer Cyclical 17,320 $333K +3K +20.2%
2411 TTD PUT THE TRADE DESK INC Technology 20,200 $333K -13K -39.0%
2412 DEC DIVERSIFIED ENERGY CO COMMON STOCK Energy 19,095 $333K +11K +150.0%
2413 HLIO HELIOS TECHNOLOGIES INC COM Industrials 5,115 $331K -12K -70.1%
2414 BBD BANCO BRADESCO S A SP ADR PFD NEW Financial Services 90,511 $330K +67K +281.2%
2415 RDN RADIAN GROUP INC COM Financial Services 9,933 $329K -47K -82.6%
2416 SOXL DIREXION SHARES ETF TRUST DAILY SEMICONDUC 6,836 $328K NEW
2417 CALL PRUDENTIAL FINL INC 229,600 $327K +43K +23.0%
2418 FSM FORTUNA MNG CORP COM NEW Basic Materials 32,901 $327K -27K -44.9%
2419 ABVX ABIVAX SA SPONSORED ADS Healthcare 2,929 $326K NEW
2420 NXE NEXGEN ENERGY LTD COM Energy 27,999 $325K NEW
2421 STC STEWART INFORMATION SVCS COR COM Financial Services 5,256 $324K -9K -63.1%
2422 UBER CALL UBER TECHNOLOGIES INC Technology 190,700 $323K -103K -35.1%
2423 VYX NCR VOYIX CORPORATION COM Technology 50,798 $322K -11K -18.4%
2424 WLY WILEY JOHN & SONS INC CL A Communication Services 8,452 $322K -15K -63.7%
2425 VZ PUT VERIZON COMMUNICATIONS INC Communication Services 75,300 $321K
2426 VREX VAREX IMAGING CORP COM Healthcare 30,202 $320K +1K +4.4%
2427 METC RAMACO RES INC COM CL A Energy 20,668 $320K -5K -20.2%
2428 CPF CENTRAL PAC FINL CORP COM NEW Financial Services 10,005 $320K -3K -22.3%
2429 AGRO ADECOAGRO S A COM Consumer Defensive 21,204 $318K NEW
2430 CALL OREILLY AUTOMOTIVE INC 48,000 $317K
2431 RELX RELX PLC SPONSORED ADR Communication Services 9,549 $317K -139 -1.4%
2432 ARRY ARRAY TECHNOLOGIES INC COM Energy 43,684 $316K -91K -67.6%
2433 CALL MCDONALDS CORP 29,000 $316K -68K -70.0%
2434 VOD VODAFONE GROUP PLC SPONSORED ADR Communication Services 21,000 $315K -6K -23.1%
2435 WB WEIBO CORP NOTE 1.37512/0 Communication Services 3,000 $315K
2436 BIDU PUT BAIDU INC Communication Services 158,000 $315K +115K +265.7%
2437 PUT NU HLDGS LTD 342,200 $314K +182K +113.9%
2438 JPM CALL JPMORGAN CHASE & CO Financial Services 42,800 $314K +6K +17.6%
2439 PZZA PAPA JOHNS INTL INC COM Consumer Cyclical 9,682 $314K -157K -94.2%
2440 PRG PROG HOLDINGS INC COM NPV Industrials 10,934 $314K -30K -73.2%
2441 ACLS AXCELIS TECHNOLOGIES INC COM NEW Technology 3,375 $314K -11K -76.2%
2442 FLNG FLEX LNG LTD Energy 10,576 $314K +4K +57.3%
2443 SVRA SAVARA INC COM Healthcare 57,400 $313K +12K +26.1%
2444 LRN PUT STRIDE INC Consumer Defensive 70,000 $312K -20K -22.2%
2445 HUBG HUB GROUP INC CL A Industrials 8,669 $312K -67K -88.6%
2446 MCHP PUT MICROCHIP TECHNOLOGY INC. Technology 62,200 $312K
2447 OII OCEANEERING INTL INC COM Energy 8,763 $311K -145K -94.3%
2448 DNOW DNOW INC COM Energy 26,066 $310K -480 -1.8%
2449 SSRM SSR MINING IN COM Basic Materials 10,528 $310K -23K -68.5%
2450 SXC SUNCOKE ENERGY INC COM Energy 47,448 $309K -17K -25.8%
2451 LRN CALL STRIDE INC Consumer Defensive 70,000 $308K +50K +250.0%
2452 PVLA PALVELLA THERAPEUTICS INC NE COM Healthcare 2,472 $308K -217 -8.1%
2453 CYTK 3.5 07/01/27 CYTOKINETICS INC NOTE 3.500 7/0 2,100 $308K -4K -65.0%
2454 HERE HERE GROUP LTD ADS Consumer Cyclical 87,121 $308K
2455 SG SWEETGREEN INC COM CL A Consumer Cyclical 59,105 $307K -94K -61.3%
2456 AMPL AMPLITUDE INC COM CL A Technology 44,521 $304K -20K -31.0%
2457 XMTR XOMETRY INC CLASS A COM Industrials 7,410 $303K -113K -93.8%
2458 TPB TURNING PT BRANDS INC COM Consumer Defensive 3,495 $303K -8K -68.8%
2459 IRDM IRIDIUM COMMUNICATIONS INC COM Communication Services 10,892 $302K -46K -80.8%
2460 KWR QUAKER HOUGHTON COM Basic Materials 2,430 $302K -2K -38.5%
2461 FCX PUT FREEPORT MCMORAN INC Basic Materials 323,300 $302K -83K -20.5%
2462 LOAR LOAR HOLDINGS INC COM Industrials 5,252 $301K +770 +17.2%
2463 UFPT UFP TECHNOLOGIES INC COM Healthcare 1,549 $300K -3K -67.2%
2464 INDI INDIE SEMICONDUCTOR INC CLASS A COM Technology 93,129 $300K +58K +164.6%
2465 THR THERMON GROUP HLDGS INC COM Industrials 5,932 $299K -17K -73.8%
2466 IXJ ISHARES TR GLOB HLTHCRE ETF 3,190 $298K +973 +43.9%
2467 CALL TARGA RES CORP 21,500 $297K NEW
2468 TBPH THERAVANCE BIOPHARMA INC COM Healthcare 18,256 $296K +4K +25.8%
2469 MAIN MAIN STR CAP CORP COM Financial Services 5,598 $296K NEW
2470 NSY NICE LTD SPONSORED ADR 2,673 $295K -12K -81.6%
2471 NRIX NURIX THERAPEUTICS INC COM Healthcare 18,974 $294K -12K -38.7%
2472 TALK TALKSPACE INC COM Healthcare 56,892 $294K -32K -35.8%
2473 ROKU PUT ROKU INC Communication Services 68,600 $294K
2474 TCBX THIRD COAST BANCSHARES INC COM Financial Services 7,738 $293K -2K -21.8%
2475 TIMB TIM S A SPONSORED ADR Communication Services 11,068 $293K NEW
2476 WFC PUT WELLS FARGO & CO Financial Services 288,100 $292K +45K +18.5%
2477 SAN BANCO SANTANDER SA ADR Financial Services 25,855 $292K NEW
2478 FLGT FULGENT GENETICS INC COM Healthcare 18,356 $292K
2479 UUUU PUT ENERGY FUELS INC Energy 215,000 $292K -5K -2.3%
2480 AURA MINERALS INC SHS NEW 3,562 $291K -669 -15.8%
2481 CALL OCCIDENTAL PETE CORP 13,600 $291K -56K -80.3%
2482 IBRX IMMUNITYBIO INC COM Healthcare 37,790 $290K -11K -23.0%
2483 MET PUT METLIFE INC Financial Services 54,300 $289K -300K -84.7%
2484 SYK PUT STRYKER CORPORATION Healthcare 10,600 $288K -10K -48.5%
2485 MO CALL ALTRIA GROUP INC Consumer Defensive 250,500 $288K +177K +242.2%
2486 DEI DOUGLAS EMMETT INC COM Real Estate 30,309 $286K -13K -29.8%
2487 GME GAMESTOP CORP CL A Consumer Cyclical 12,427 $286K +3K +29.3%
2488 CALL CHUBB LTD SWITZ 38,400 $286K -146K -79.2%
2489 SOFI PUT SOFI TECHNOLOGIES INC Financial Services 680,600 $286K NEW
2490 SILA SILA REALTY TRUST INC COMMON STOCK Real Estate 12,049 $285K -3K -22.3%
2491 GOLAR LNG LTD 5,230 $283K -26K -83.2%
2492 SVV SAVERS VALUE VLG INC COM Consumer Cyclical 38,030 $283K -8K -17.6%
2493 LGND LIGAND PHARMACEUTICALS INC COM NEW Healthcare 1,416 $283K -9K -86.9%
2494 JEPI J P MORGAN EXCHANGE TRADED F EQUITY PREMIUM 5,000 $283K NEW
2495 JD CALL JD.COM INC Consumer Cyclical 229,700 $282K -50K -17.9%
2496 KFRC KFORCE INC COM Industrials 9,616 $281K -3K -25.1%
2497 GBTG GLOBAL BUSINESS TRAVEL GROUP COM CL A Technology 50,305 $281K -168K -76.9%
2498 ROCK GIBRALTAR INDS INC COM Industrials 7,015 $280K -17K -71.0%
2499 TTE TOTALENERGIES SE ACT Energy 3,067 $279K NEW
2500 BFC BANK FIRST CORP COM Financial Services 2,066 $279K -4K -67.5%
2501 BFST BUSINESS FIRST BANCSHARES IN COM Financial Services 10,323 $279K -15K -58.7%
2502 EQBK EQUITY BANCSHARES INC COM CL A Financial Services 6,250 $278K -1K -14.8%
2503 CALL ACCENTURE PLC IRELAND 38,300 $277K -61K -61.6%
2504 TYRA TYRA BIOSCIENCES INC COM Healthcare 7,215 $276K NEW
2505 SWMR SWARMER INC COM Technology 5,837 $276K NEW
2506 DBD DIEBOLD NIXDORF INC COM Technology 3,656 $276K -21K -85.4%
2507 MCHB MECHANICS BANCORP CL A Financial Services 18,729 $276K +6K +48.3%
2508 PRAX PRAXIS PRECISION MEDICINES I COM NEW Healthcare 852 $275K -9K -91.5%
2509 ATRC ATRICURE INC COM Healthcare 9,627 $275K -27K -74.0%
2510 STZ PUT CONSTELLATION BRANDS INC Consumer Defensive 65,000 $274K -8K -10.6%
2511 CALL ARM HOLDINGS PLC 79,800 $273K +10K +14.0%
2512 SPGI PUT S&P GLOBAL INC Financial Services 12,100 $271K
2513 HIFS HINGHAM INSTN SVGS MASS COM Financial Services 947 $271K -795 -45.6%
2514 NEM PUT NEWMONT CORP Basic Materials 113,800 $270K -92K -44.8%
2515 PUT DIREXION SHARES ETF TRUST 150,000 $270K NEW
2516 OSPN ONESPAN INC COM Technology 25,580 $269K -2K -6.2%
2517 PRAA PRA GROUP INC COM Financial Services 15,318 $268K +3K +27.1%
2518 DC DAKOTA GOLD CORP COM Basic Materials 52,961 $267K +33K +171.5%
2519 AMAL AMALGAMATED FINANCIAL CORP COM Financial Services 6,853 $266K -7K -49.5%
2520 PUT HSBC HLDGS PLC 116,700 $264K +77K +191.0%
2521 KYMR KYMERA THERAPEUTICS INC COM Healthcare 3,163 $263K -20K -86.1%
2522 ESQ ESQUIRE FINL HLDGS INC COM Financial Services 2,440 $262K -814 -25.0%
2523 CERENCE INC NOTE 1.500 7/0 3,000 $262K
2524 DLB DOLBY LABORATORIES INC COM CL A Technology 4,366 $262K -8K -65.4%
2525 TECNOGLASS INC ORD 5,866 $261K -13K -69.1%
2526 ZYME ZYMEWORKS INC COM Healthcare 10,429 $261K -7K -40.6%
2527 ABBV CALL ABBVIE INC Healthcare 60,000 $261K -931K -93.9%
2528 AS CALL AMER SPORTS INC Consumer Cyclical 100,000 $260K NEW
2529 CMP COMPASS MINERALS INTL INC COM Basic Materials 11,126 $260K -34K -75.4%
2530 INVA INNOVIVA INC COM Healthcare 11,160 $260K -40K -78.2%
2531 VTS VITESSE ENERGY INC COMMON STOCK Energy 14,291 $260K -26K -64.9%
2532 IAU* ISHARES GOLD TR ISHARES NEW 2,935 $259K NEW
2533 HNI HNI CORP COM Industrials 7,695 $257K -35K -82.0%
2534 SABR SABRE CORP COM Consumer Cyclical 177,429 $257K -5K -2.5%
2535 HAE HAEMONETICS CORP MASS COM Healthcare 4,540 $256K -10K -68.1%
2536 KD KYNDRYL HLDGS INC COMMON STOCK Technology 19,515 $256K -19K -49.4%
2537 NGVC NATURAL GROCERS BY VITAMIN COM Consumer Defensive 9,877 $255K -11K -52.2%
2538 CRC CALIFORNIA RES CORP COM STOCK Energy 3,680 $255K -25K -87.0%
2539 AMX AMERICA MOVIL SAB DE CV SPON ADS RP CL B Communication Services 10,013 $255K NEW
2540 AIOT POWERFLEET INC COM Technology 82,510 $254K -4K -4.5%
2541 FUBO FUBOTV INC COM NEW CL A Communication Services 26,817 $254K NEW
2542 AIV APARTMENT INVT & MGMT CO CL A Real Estate 62,274 $253K -54K -46.6%
2543 CLOV CLOVER HEALTH INVESTMENTS CO COM CL A Healthcare 143,759 $253K +85K +143.5%
2544 COMP COMPASS THERAPEUTICS INC COM Technology 47,670 $252K -59K -55.2%
2545 KSPI KASPI KZ JSC SPONSORED ADS Technology 3,389 $251K -527 -13.5%
2546 ACHC ACADIA HEALTHCARE COMPANY IN COM Healthcare 10,733 $251K -282K -96.3%
2547 GE PUT GE AEROSPACE Industrials 11,000 $251K -19K -63.0%
2548 SMFG SUMITOMO MITSUI FIN GRP INC SPONSORED ADR Financial Services 12,659 $250K +5K +73.7%
2549 EIDO ISHARES TR MSCI INDONIA ETF 15,760 $249K NEW
2550 SCHG SCHWAB STRATEGIC TR US LCAP GR ETF 8,534 $249K NEW
2551 PLXS PLEXUS CORP COM Technology 1,224 $248K -7K -85.6%
2552 BRSP BRIGHTSPIRE CAPITAL INC COM CL A Real Estate 44,367 $248K -29K -39.4%
2553 ASX ASE TECHNOLOGY HLDG CO LTD SPONSORED ADS Technology 11,461 $248K NEW
2554 GRBK GREEN BRICK PARTNERS INC COM Consumer Cyclical 3,845 $248K -36K -90.4%
2555 AXP PUT AMERICAN EXPRESS CO Financial Services 18,200 $247K NEW
2556 CIB COMPANHIA DE SANEAMENTO BASI SPONSORED ADR Financial Services 8,077 $246K NEW
2557 NAVI NAVIENT CORPORATION COM Financial Services 30,087 $246K -25K -45.6%
2558 GTN.A GRAY MEDIA INC COM Communication Services 56,459 $245K -38K -40.3%
2559 RIVN CALL RIVIAN AUTOMOTIVE INC Consumer Cyclical 165,800 $244K -643K -79.5%
2560 SIMO SILICON MOTION TECHNOLOGY CO SPONSORED ADR Technology 2,172 $244K -14K -86.7%
2561 APPS DIGITAL TURBINE INC COM NEW Technology 84,413 $243K -92K -52.1%
2562 NWPX NWPX INFRASTRUCTURE INC COM Industrials 3,115 $243K -2K -35.7%
2563 GEVO GEVO INC COM PAR Basic Materials 88,556 $242K -26K -22.5%
2564 VRE VERIS RESIDENTIAL INC COM Real Estate 12,850 $242K -506K -97.5%
2565 IAK ISHARES TR U.S. INSRNCE ETF 1,881 $241K
2566 NRIM NORTHRIM BANCORP INC COM Financial Services 10,520 $241K -4K -26.7%
2567 PJX PETROLEO BRASILEIRO S A SP ADR NON VTG 12,785 $240K -33K -72.2%
2568 CVBF CVB FINL CORP COM Financial Services 12,345 $239K -40K -76.2%
2569 TAN INVESCO EXCH TRADED FD TR II SOLAR ETF 4,290 $239K -83K -95.1%
2570 GMAB GENMAB A/S SPONSORED ADS Healthcare 8,887 $238K +2K +36.3%
2571 MLAB MESA LABS INC COM Technology 2,667 $236K -942 -26.1%
2572 QCOM CALL QUALCOMM INC Technology 38,700 $236K -613K -94.1%
2573 EFC ELLINGTON FINANCIAL INC COM Real Estate 19,906 $236K -53K -72.5%
2574 BORR DRILLING LTD 40,732 $235K +3K +7.8%
2575 ONTF ON24 INC COM 28,990 $235K +11K +62.2%
2576 LTM LATAM AIRLINES GROUP SA SPONSORED ADR Industrials 4,708 $233K NEW
2577 NKTR NEKTAR THERAPEUTICS COM NEW Healthcare 3,235 $233K -8K -70.5%
2578 FSK FS KKR CAP CORP COM Financial Services 22,930 $233K -34K -59.9%
2579 MYGN MYRIAD GENETICS INC COM Healthcare 51,865 $233K +12K +30.3%
2580 SN SHARKNINJA INC COM Consumer Cyclical 2,192 $232K -30K -93.2%
2581 FOXF FOX FACTORY HLDG CORP COM Consumer Cyclical 14,067 $232K -12K -46.8%
2582 FMS FRESENIUS MEDICAL CARE AG SPONSORED ADR Healthcare 10,221 $231K -89 -0.9%
2583 LINC LINCOLN EDL SVCS CORP COM Consumer Defensive 5,687 $231K -8K -59.9%
2584 SHBI SHORE BANCSHARES INC COM Financial Services 12,372 $231K +3K +27.6%
2585 EWA ISHARES INC MSCI AUST ETF 8,327 $231K -5K -37.0%
2586 QCRH QCR HLDGS INC COM Financial Services 2,695 $230K -6K -67.6%
2587 OCUL OCULAR THERAPEUTIX INC COM Healthcare 26,987 $229K -67K -71.2%
2588 CALL SPDR SERIES TRUST 165,000 $229K +53K +46.8%
2589 OSBC OLD SECOND BANCORP INC DEL COM Financial Services 11,371 $229K -11K -49.5%
2590 CTAS PUT CINTAS CORP Industrials 7,500 $229K
2591 USO UNITED STS OIL FD LP UNITS Financial Services 1,800 $229K -3K -60.0%
2592 PRGO PERRIGO CO PLC Healthcare 21,220 $228K -113K -84.2%
2593 EWP ISHARES INC MSCI SPAIN ETF 4,155 $226K -2K -36.6%
2594 SBSI SOUTHSIDE BANCSHARES INC COM Financial Services 7,225 $225K -6K -43.7%
2595 CARG CARGURUS INC COM CL A Consumer Cyclical 6,588 $224K -32K -83.0%
2596 VRTS VIRTUS INVT PARTNERS INC COM Financial Services 1,657 $223K -5K -74.2%
2597 CAR AVIS BUDGET GROUP INC COM Industrials 1,519 $222K -99K -98.5%
2598 GS PUT GOLDMAN SACHS GROUP INC Financial Services 4,200 $222K NEW
2599 HTFL HEARTFLOW INC COM Healthcare 9,119 $222K -2K -14.9%
2600 CBRL CRACKER BARREL OLD CTRY STOR COM Consumer Cyclical 7,885 $222K -414 -5.0%
2601 PUT LAUDER ESTEE COS INC 10,000 $221K NEW
2602 CALL WEBULL CORP 1,507,300 $220K +1.4M +1679.6%
2603 CGEM CULLINAN THERAPEUTICS INC COM Healthcare 15,479 $220K -152 -1.0%
2604 AXP CALL AMERICAN EXPRESS CO Financial Services 21,100 $217K +16K +322.0%
2605 URI CALL UNITED RENTALS INC Industrials 4,100 $217K -6K -59.4%
2606 BHRB BURKE HERBERT FINL SVCS CORP COM Financial Services 3,464 $216K -3K -50.0%
2607 OCSL OAKTREE SPECIALTY LENDING COM Financial Services 19,101 $216K -11K -37.4%
2608 W CALL WAYFAIR INC Consumer Cyclical 323,100 $214K -304K -48.5%
2609 THO THOR INDS INC COM Consumer Cyclical 2,680 $214K -2K -47.0%
2610 ESRT EMPIRE ST RLTY TR INC CL A Real Estate 41,056 $213K -20K -32.2%
2611 IMCR IMMUNOCORE HLDGS PLC ADS Healthcare 7,078 $213K -2K -18.3%
2612 BLK PUT BLACKROCK INC Financial Services 4,500 $213K -12K -71.9%
2613 ROOT ROOT INC CL A NEW Financial Services 4,814 $213K -25K -84.0%
2614 RCAT RED CAT HLDGS INC COM Technology 16,190 $212K NEW
2615 OSS ONE STOP SYS INC COM Technology 28,022 $212K NEW
2616 CNMD CONMED CORP COM Healthcare 5,993 $212K -7K -53.5%
2617 SBSW SIBANYE STILLWATER LTD SPONSORED ADR Basic Materials 17,230 $212K -1K -6.5%
2618 NBBK NB BANCORP INC COM Financial Services 10,024 $211K -3K -23.4%
2619 CCNE CNB FINL CORP PA COM Financial Services 7,272 $211K -11K -59.4%
2620 PDD CALL PDD HOLDINGS INC Consumer Cyclical 69,200 $211K -207K -75.0%
2621 SCHL SCHOLASTIC CORP COM Communication Services 5,393 $211K -10K -65.6%
2622 MBIN MERCHANTS BANCORP IND COM Financial Services 4,915 $211K -3K -41.0%
2623 PNTG PENNANT GROUP INC COM Healthcare 6,888 $210K -9K -56.8%
2624 NOW CALL SERVICENOW INC Technology 72,300 $210K +48K +195.1%
2625 PCT PURECYCLE TECHNOLOGIES INC COM Industrials 40,389 $210K -35K -46.3%
2626 LAZ LAZARD INC COM Financial Services 4,932 $210K -32K -86.8%
2627 TRUP TRUPANION INC COM Financial Services 8,165 $209K -5K -37.4%
2628 TRIN TRINITY CAP INC COM Financial Services 14,215 $209K -139 -1.0%
2629 COMP COMPASS INC CL A Technology 28,537 $209K -65K -69.5%
2630 KRNY KEARNY FINL CORP MD COM Financial Services 27,538 $208K -10K -27.4%
2631 ZG ZILLOW GROUP INC CL A Communication Services 5,033 $208K -2K -26.2%
2632 CNA CNA FINL CORP COM Financial Services 4,514 $207K -11K -71.7%
2633 EZA ISHARES INC MSCI STH AFR ETF 3,051 $207K -2K -44.7%
2634 HLIT HARMONIC INC COM Technology 22,886 $206K -44K -65.6%
2635 MCHP CALL MICROCHIP TECHNOLOGY INC. Technology 74,000 $205K -372K -83.4%
2636 MSBI MIDLAND STATES BANCORP INC COM Financial Services 9,185 $205K -3K -26.8%
2637 AUB ATLANTIC UN BANKSHARES CORP COM Financial Services 5,742 $205K -1.5M -99.6%
2638 ORIC ORIC PHARMACEUTICALS INC COM Healthcare 16,093 $204K -25K -60.8%
2639 MELI CALL MERCADOLIBRE INC Consumer Cyclical 4,900 $204K
2640 KVYO KLAVIYO INC COM SER A Technology 10,455 $203K -98K -90.3%
2641 VIA VIA TRANSN INC COM CL A Technology 13,445 $202K NEW
2642 MDLZ CALL MONDELEZ INTL INC Consumer Defensive 158,000 $201K +133K +524.5%
2643 SLQT SELECTQUOTE INC COM Financial Services 319,669 $201K -28K -8.0%
2644 PAHC PHIBRO ANIMAL HEALTH CORP CL A COM Healthcare 3,643 $201K -10K -73.8%
2645 FMNB FARMERS NATIONAL BANC CORP COM Financial Services 15,227 $200K +920 +6.4%
2646 VLGEA VILLAGE SUPER MKT INC CL A NEW Consumer Defensive 4,718 $199K +1K +44.9%
2647 XRN CHIRON REAL ESTATE INC COM NEW Financial Services 6,028 $199K +2K +68.0%
2648 LIT GLOBAL X FDS LITHIUM BTRY ETF 2,671 $199K NEW
2649 EIG EMPLOYERS HLDGS INC COM Financial Services 4,834 $199K +188 +4.0%
2650 CLB CORE LABORATORIES INC COM Energy 11,851 $199K -5K -28.3%
2651 INTA INTAPP INC COM Technology 7,707 $198K -14K -65.0%
2652 DFTX DEFINIUM THERAPEUTICS INC COM Healthcare 10,493 $198K NEW
2653 GO GROCERY OUTLET HLDG CORP COM Consumer Defensive 28,155 $198K -46K -62.0%
2654 CVNA CALL CARVANA CO Consumer Cyclical 7,700 $197K -117K -93.8%
2655 BCRX BIOCRYST PHARMACEUTICALS INC COM Healthcare 20,649 $197K -106K -83.7%
2656 EXC PUT EXELON CORP Utilities 492,900 $197K NEW
2657 GDYN GRID DYNAMICS HLDGS INC CL A Technology 34,517 $197K -4K -9.8%
2658 SPT SPROUT SOCIAL INC COM CL A Technology 34,463 $196K +3K +10.7%
2659 GDXU BANK MONTREAL MEDIUM MICROSCTR 3X LEV Financial Services 975 $196K NEW
2660 CFFN CAPITOL FED FINL INC COM Financial Services 27,461 $196K -42K -60.4%
2661 FSUN FIRSTSUN CAP BANCORP COM Financial Services 5,378 $196K -3K -35.1%
2662 CALL SUPER MICRO COMER INC 725,000 $194K +162K +28.9%
2663 ABNB PUT AIRBNB INC Consumer Cyclical 32,900 $194K -78K -70.5%
2664 CAPR CAPRICOR THERAPEUTICS INC COM NEW Healthcare 6,333 $193K NEW
2665 PFE CALL PFIZER INC Healthcare 164,100 $193K -152K -48.1%
2666 TINT PROSHARES TR SMART MATLS ETF 5,399 $193K -6K -52.8%
2667 ENOV ENOVIS CORPORATION COM Industrials 8,503 $193K -10K -53.7%
2668 FISI FINANCIAL INSTITUTIONS INC COM Financial Services 6,102 $193K -2K -27.0%
2669 GSBC GREAT SOUTHN BANCORP INC COM Financial Services 3,050 $193K -917 -23.1%
2670 TT CALL TRANE TECHNOLOGIES PLC Industrials 50,000 $192K NEW
2671 ENPH PUT ENPHASE ENERGY INC Energy 66,300 $191K -198K -74.9%
2672 HHH HOWARD HUGHES HOLDINGS INC COM Real Estate 3,002 $190K -46K -93.9%
2673 CALL PAN AMERN SILVER CORP 25,000 $190K -5K -16.7%
2674 SMBC SOUTHERN MO BANCORP INC COM Financial Services 2,970 $190K -3K -46.4%
2675 ALMS ALUMIS INC COM Healthcare 8,626 $190K NEW
2676 RRBI RED RIVER BANCSHARES INC COM Financial Services 2,091 $189K NEW
2677 TD TORONTO DOMINION BK ONT COM NEW Financial Services 2,026 $189K NEW
2678 CALL NOKIA CORP 134,400 $188K NEW
2679 JNK SPDR SERIES TRUST STATE STREET SPD 1,965 $188K NEW
2680 HYLB DBX ETF TR XTRACK USD HIGH 5,186 $188K NEW
2681 GILD CALL GILEAD SCIENCES INC Healthcare 7,300 $188K -535K -98.7%
2682 ALHC ALIGNMENT HEALTHCARE INC COM Healthcare 10,605 $187K -50K -82.4%
2683 STAR BULK CARRIERS CORP. SHS PAR 8,121 $187K NEW
2684 BBAI BIGBEAR AI HLDGS INC COM Technology 52,806 $186K +20K +62.9%
2685 CALL AMERICAN ELEC PWR CO INC 42,200 $186K -48K -53.1%
2686 TFII TRANSFORCE INC COM Industrials 1,700 $185K +621 +57.5%
2687 UA UNDER ARMOUR INC CL C Consumer Cyclical 31,898 $185K -249K -88.7%
2688 FRHC FREEDOM HOLDING CORP COM Financial Services 1,274 $185K +119 +10.3%
2689 TFPM TRIPLE FLAG PRECIOUS METAL COM Basic Materials 5,307 $184K NEW
2690 AU PUT ANGLOGOLD ASHANTI PLC Basic Materials 25,000 $184K -25K -50.0%
2691 EWH ISHARES INC MSCI HONG KG ETF 7,955 $184K -287K -97.3%
2692 DFH DREAM FINDERS HOMES INC COM CL A Consumer Cyclical 13,243 $184K -143K -91.5%
2693 AII AMERICAN INTEGRITY INS GROUP COM Financial Services 9,515 $183K -3K -26.4%
2694 WOOF PETCO HEALTH & WELLNESS CO I COM Consumer Cyclical 65,661 $183K -25K -27.4%
2695 GDOT GREEN DOT CORP CL A Financial Services 16,301 $183K -28K -62.8%
2696 VIR VIR BIOTECHNOLOGY INC COM Healthcare 20,284 $182K -39K -65.8%
2697 TRST TRUSTCO BK CORP N Y COM NEW Financial Services 4,168 $182K -4K -46.6%
2698 CALL ISHARES TR 318,900 $182K +125K +64.6%
2699 TIC TIC SOLUTIONS INC COM Industrials 27,653 $182K -36K -56.6%
2700 ALKT ALKAMI TECHNOLOGY INC COM Technology 11,632 $182K -202K -94.6%
2701 MAX MEDIAALPHA INC CL A Communication Services 19,473 $181K +4K +23.2%
2702 NOW PUT SERVICENOW INC Technology 327,500 $180K +297K +973.8%
2703 SPFI SOUTH PLAINS FINANCIAL INC COM Financial Services 4,288 $180K -739 -14.7%
2704 ORLA ORLA MNG LTD NEW COM Basic Materials 11,070 $179K NEW
2705 CEVA CEVA INC COM Technology 9,594 $179K -14K -58.9%
2706 LIBERTY LATIN AMERICA LTD COM CL C 20,294 $179K -10K -33.8%
2707 CRSP CRISPR THERAPEUTICS AG NAMEN AKT Healthcare 3,737 $178K -10K -73.0%
2708 BB BLACKBERRY LTD COM Technology 54,961 $178K NEW
2709 HLX HELIX ENERGY SOLUTIONS GRP I COM Energy 17,927 $177K -24K -57.7%
2710 NORDIC AMERICAN TANKERS LIMI COM 30,118 $176K -19K -38.4%
2711 KELYA KELLY SVCS INC CL A Industrials 19,880 $176K -7K -26.1%
2712 PUT ISHARES TR 238,800 $175K -101K -29.7%
2713 CSV CARRIAGE SVCS INC COM Consumer Cyclical 3,839 $175K -15K -79.8%
2714 MLTX MOONLAKE IMMUNOTHERAPEUTICS CLASS A ORD Healthcare 9,350 $174K -13K -57.3%
2715 STKL SUNOPTA INC COM Consumer Defensive 26,766 $173K +9K +49.9%
2716 CALL GLOBAL X FDS 25,000 $173K NEW
2717 MBUU MALIBU BOATS INC COM CL A Consumer Cyclical 6,692 $173K -16K -69.9%
2718 SPORTRADAR GROUP AG CLASS A ORD 10,247 $172K -18K -64.1%
2719 CALL COREWEAVE INC 69,500 $172K +30K +76.8%
2720 XOM PUT EXXON MOBIL CORP Energy 50,800 $172K +18K +54.9%
2721 PRSU PURSUIT ATTRACTIONS AND HOSP COM Industrials 4,680 $171K -3K -37.2%
2722 ALT ALTIMMUNE INC COM NEW Healthcare 55,625 $171K +45K +426.0%
2723 PUT ISHARES INC 200,000 $170K NEW
2724 RBCAA REPUBLIC BANCORP INC KY CL A Financial Services 2,391 $169K -777 -24.5%
2725 ANGI ANGI INC CL A NEW Communication Services 24,627 $169K -71K -74.2%
2726 BKV BKV CORP COM Energy 5,940 $169K -50K -89.3%
2727 CNYA ISHARES TR MSCI CHINA A 4,926 $168K
2728 VERX VERTEX INC CL A Technology 14,142 $168K -20K -58.8%
2729 MATV MATIV HOLDINGS INC COM Basic Materials 19,256 $168K -10K -33.8%
2730 WNC WABASH NATL CORP COM Industrials 19,419 $167K -15K -43.6%
2731 TDUP THREDUP INC CL A Consumer Cyclical 50,842 $167K +31K +153.8%
2732 UTL UNITIL CORP COM Utilities 3,170 $166K +816 +34.7%
2733 RGNX REGENXBIO INC COM Healthcare 19,847 $166K -21K -51.0%
2734 ACVA ACV AUCTIONS INC COM CL A Consumer Cyclical 39,106 $166K -46K -54.3%
2735 XPEV PUT XPENG INC Consumer Cyclical 129,100 $165K -604K -82.4%
2736 BBBY BED BATH & BEYOND INC COM Consumer Cyclical 35,505 $165K -61K -63.2%
2737 VIV TELEFONICA BRASIL SA SPONSORED ADS Communication Services 10,347 $165K +1K +11.5%
2738 ALGM ALLEGRO MICROSYSTEMS INC COM Technology 5,245 $165K -10K -64.5%
2739 FFIC FLUSHING FINL CORP COM Financial Services 10,744 $165K -3K -20.8%
2740 KEY PUT KEYCORP Financial Services 262,100 $165K -196K -42.8%
2741 KOP KOPPERS HOLDINGS INC COM Basic Materials 4,246 $164K NEW
2742 IBEX LTD SHS NEW 6,119 $164K -1K -18.3%
2743 BCAL CALIFORNIA BANCORP COM Financial Services 9,228 $164K +3K +53.1%
2744 CTOS CUSTOM TRUCK ONE SOURCE INC COM CL A Industrials 24,952 $164K -19K -43.8%
2745 ALCON AG ORD 2,162 $163K +102 +5.0%
2746 SERV SERVE ROBOTICS INC COM Industrials 19,364 $163K NEW
2747 CWEN CLEARWAY ENERGY INC CL C Utilities 4,149 $163K -3K -44.8%
2748 ZM PUT ZOOM COMMUNICATIONS INC Technology 74,900 $163K -182K -70.9%
2749 ZM CALL ZOOM COMMUNICATIONS INC Technology 35,900 $162K -32K -47.2%
2750 ARCT ARCTURUS THERAPEUTICS HLDGS COM Healthcare 20,972 $162K NEW
2751 CVLG COVENANT LOGISTICS GROUP INC CL A Industrials 5,951 $162K -6K -50.1%
2752 ENVX ENOVIX CORPORATION COM Industrials 31,084 $161K +21K +205.6%
2753 G9N GRUPO AEROPORTUNARIO DEL PAC SPON ADS B 649 $160K -603 -48.2%
2754 HUYA HUYA INC ADS REP SHS A Communication Services 48,398 $160K -37K -43.6%
2755 JBI JANUS INTERNATIONAL GROUP IN COMMON STOCK Industrials 30,966 $159K -50K -61.8%
2756 AMCX AMC NETWORKS INC CL A Communication Services 23,405 $159K +3K +14.1%
2757 VICTORY CAP HLDGS INC DEL COM CL A 2,413 $158K -10K -80.1%
2758 DDD 3D SYS CORP DEL COM NEW Technology 83,516 $157K -39K -31.8%
2759 NSP INSPERITY INC COM Industrials 5,797 $157K -9K -62.0%
2760 ERIC TELEFONAKTIEBOLAGET LM ERICS ADR B SEK 10 Technology 13,854 $156K NEW
2761 GWW CALL WW GRAINGER INC Industrials 11,500 $156K +9K +310.7%
2762 TCMD TACTILE SYS TECHNOLOGY INC COM Healthcare 5,965 $156K -8K -57.8%
2763 SFIX STITCH FIX INC COM CL A Consumer Cyclical 47,244 $156K -100K -67.9%
2764 AIP ARTERIS INC COM Technology 9,486 $156K -13K -57.2%
2765 AMGN CALL AMGEN INC Healthcare 2,600 $156K -112K -97.7%
2766 ADI CALL ANALOG DEVICES INC Technology 7,700 $156K NEW
2767 SPXU PROSHARES TR ULTRAPRO SHORT S 2,732 $155K NEW
2768 GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B 462 $155K -7K -93.8%
2769 GTE GRAN TIERRA ENERGY INC COM Energy 17,159 $154K NEW
2770 AGNT EXP WORLD HLDGS INC COM 25,648 $154K -23K -47.7%
2771 KEY CALL KEYCORP Financial Services 275,900 $154K -75K -21.4%
2772 DRD DRDGOLD LIMITED SPON ADR REPSTG Basic Materials 5,256 $154K NEW
2773 NPCE NEUROPACE INC COM Healthcare 11,640 $153K +4K +52.9%
2774 PGEN PRECIGEN INC COM Healthcare 39,613 $153K +294 +0.8%
2775 RWTQ REDWOOD TRUST INC COM Financial Services 27,213 $153K +12K +77.8%
2776 EOSE EOS ENERGY ENTERPRISES INC COM CL A Industrials 30,859 $153K +22K +249.3%
2777 WVE WAVE LIFE SCIENCES LTD Healthcare 20,923 $152K -46K -68.8%
2778 CALL DOMINOS PIZZA INC 5,000 $152K NEW
2779 MBWM MERCANTILE BK CORP COM Financial Services 2,986 $151K -3K -51.8%
2780 RYAAY RYANAIR HOLDINGS PLC SPONSORED ADR 2,604 $151K -3K -55.6%
2781 PD PAGERDUTY INC COM Technology 24,249 $151K -88K -78.3%
2782 CTKB CYTEK BIOSCIENCES INC COM Healthcare 34,606 $151K -30K -46.2%
2783 SDGR SCHRODINGER INC COM Healthcare 13,193 $150K -52K -79.8%
2784 RPC RIDGEPOST CAP INC CL A COM Financial Services 20,707 $150K -18K -46.9%
2785 E ENI SPA SPONSORED ADR Energy 2,651 $150K -169 -6.0%
2786 VZLA VIZSLA SILVER CORP COM NEW Basic Materials 45,437 $150K NEW
2787 WB WEIBO CORP SPONSORED ADR Communication Services 17,110 $150K -64K -78.9%
2788 KE KIMBALL ELECTRONICS INC COM Industrials 6,282 $149K -10K -61.3%
2789 RCKY ROCKY BRANDS INC COM Consumer Cyclical 3,854 $149K NEW
2790 VTOL BRISTOW GROUP INC COM Energy 3,156 $148K -11K -77.1%
2791 IDR IDAHO STRATEGIC RESOURCES COM NEW Basic Materials 4,603 $148K +2K +59.5%
2792 BF/A BROWN FORMAN CORP CL A 5,480 $147K -2K -26.9%
2793 AMC AMC ENTMT HLDGS INC CL A NEW Communication Services 150,077 $147K NEW
2794 MATW MATTHEWS INTL CORP CL A Industrials 5,681 $147K -10K -63.0%
2795 ORN ORION GROUP HLDGS INC COM Industrials 13,476 $147K -911 -6.3%
2796 GOOS CANADA GOOSE HLDGS INC SHS SUB VTG Consumer Cyclical 13,387 $147K -5K -25.8%
2797 EU ENCORE ENERGY CORP COM NEW Energy 81,755 $147K -35K -30.0%
2798 BTBT BIT DIGITAL INC Financial Services 110,932 $145K -165K -59.8%
2799 O CALL REALTY INCOME CORP Real Estate 125,000 $145K -66K -34.7%
2800 VNDA VANDA PHARMACEUTICALS INC COM Healthcare 21,042 $145K +10K +94.7%
2801 UTZ UTZ BRANDS INC COM CL A Consumer Defensive 18,249 $145K -8K -29.3%
2802 STN STANTEC INC COM Industrials 1,671 $144K NEW
2803 UMAC UNUSUAL MACHS INC COM Financial Services 11,517 $143K -5K -31.9%
2804 TREE LENDINGTREE INC COM Financial Services 3,329 $143K -9K -73.3%
2805 CANNAE HLDGS INC COM 12,536 $143K -6K -31.0%
2806 BULLISH ORD 3,996 $143K NEW
2807 WINA WINMARK CORP COM Consumer Cyclical 333 $142K -4K -92.8%
2808 PUT PNC FINL SVCS GROUP INC 32,200 $142K
2809 FAST PUT FASTENAL CO Industrials 103,100 $141K
2810 FUN SIX FLAGS ENTERTAINMENT CORP COM Consumer Cyclical 7,916 $141K -32K -80.0%
2811 ATI CALL ATI INC Industrials 10,000 $140K NEW
2812 SD SANDRIDGE ENERGY INC COM NEW Energy 8,607 $140K -14K -62.5%
2813 AMWD AMERICAN WOODMARK CORP COM Consumer Cyclical 3,461 $138K -2K -33.6%
2814 BLDP BALLARD PWR SYS INC NEW COM Industrials 57,100 $138K -97K -63.0%
2815 MIAX MIAMI INTL HLDGS INC COM Financial Services 3,537 $138K +1K +48.9%
2816 SAIC SCIENCE APPLICATIONS INTL CO COM Technology 1,456 $138K -10K -87.5%
2817 DNN DENISON MINES CORP COM Energy 39,031 $138K +29K +288.8%
2818 ELMD ELECTROMED INC COM Healthcare 5,905 $138K +2K +51.5%
2819 XRX XEROX HOLDINGS CORP COM NEW Technology 105,390 $136K +67K +172.3%
2820 HIMS CALL HIMS & HERS HEALTH INC Healthcare 65,300 $136K NEW
2821 WRD WERIDE INC SPONSORED ADS Technology 16,851 $136K NEW
2822 OKLO PUT OKLO INC Utilities 100,000 $135K NEW
2823 CRTO CRITEO S A SPONS ADS Communication Services 7,526 $135K NEW
2824 NPK NATIONAL PRESTO INDS INC COM Industrials 988 $135K -6K -86.2%
2825 SAH SONIC AUTOMOTIVE INC CL A Consumer Cyclical 1,974 $135K -6K -75.8%
2826 NTGR NETGEAR INC COM Technology 6,184 $135K -9K -59.6%
2827 ACH ACCENDRA HEALTH INC COM Healthcare 58,927 $134K -16K -21.0%
2828 KMX PUT CARMAX INC Consumer Cyclical 51,100 $133K
2829 KOPN KOPIN CORP COM Technology 59,041 $133K -17K -22.0%
2830 ENPH CALL ENPHASE ENERGY INC Energy 28,900 $132K -60K -67.5%
2831 GDS GDS HLDGS LTD SPONSORED ADS Technology 3,268 $132K NEW
2832 GASS STEALTHGAS INC Industrials 14,362 $132K NEW
2833 SPMO INVESCO EXCH TRADED FD TR II S&P 500 MOMNTM 1,169 $131K +87 +8.0%
2834 PRTA PROTHENA CORP PLC Healthcare 13,522 $131K -49K -78.5%
2835 BXSL BLACKSTONE SECD LENDING FD COMMON STOCK Financial Services 5,513 $131K -5K -48.4%
2836 TAK TAKEDA PHARMACEUTICAL CO LTD SPONSORED ADS Healthcare 7,065 $131K -7K -49.0%
2837 CIB1N GRUPO CIBEST SA SPON ADS 1,803 $131K NEW
2838 EVH EVOLENT HEALTH INC CL A Healthcare 57,658 $131K -40K -41.1%
2839 INN SUMMIT HOTEL PPTYS COM Real Estate 29,725 $131K -10K -24.7%
2840 XYZ PUT BLOCK INC Technology 28,000 $130K -17K -37.4%
2841 PUT ACCENTURE PLC IRELAND 15,000 $130K NEW
2842 GOGO GOGO INC COM Communication Services 32,256 $130K -38K -53.9%
2843 RES RPC INC COM Energy 18,128 $128K -43K -70.2%
2844 SCVL SHOE CARNIVAL INC COM Consumer Cyclical 8,202 $128K -10K -55.8%
2845 GPCR STRUCTURE THERAPEUTICS INC SPONSORED ADS Healthcare 2,649 $128K -7K -73.9%
2846 TUYA TUYA INC SPONSERED ADS Technology 55,300 $128K NEW
2847 HY HYSTER-YALE INC CL A Industrials 3,925 $128K -7K -64.2%
2848 LYG LLOYDS BANKING GROUP PLC SPONSORED ADR Financial Services 25,398 $128K NEW
2849 ICON PLC 1,152 $127K -3K -71.0%
2850 CYRX CRYOPORT INC COM PAR $0.001 Industrials 15,252 $126K -103K -87.2%
2851 PUT SLB LIMITED 40,000 $126K -41K -50.5%
2852 BLFY BLUE FOUNDRY BANCORP COM 9,534 $126K NEW
2853 FET FORUM ENERGY TECHNOLOGIES IN COM Energy 2,140 $126K NEW
2854 BKR CALL BAKER HUGHES COMPANY Energy 8,000 $125K -145K -94.8%
2855 WSR WHITESTONE REIT COM Real Estate 7,764 $125K -4K -34.8%
2856 FBRT FRANKLIN BSP RLTY TR INC COMMON STOCK Real Estate 14,654 $124K -23K -60.7%
2857 TGB TASEKO MINES LTD COM Basic Materials 19,209 $124K -2K -9.5%
2858 LB LANDBRIDGE COMPANY LLC CL A Energy 1,801 $124K NEW
2859 G7A GRUPO AEROPORTUARIO DEL CENT SPON ADR 1,077 $124K -346 -24.3%
2860 SHIFT4 PMTS INC CL A 2,838 $124K -180K -98.5%
2861 GGLL DIREXION SHARES ETF TRUST DLY GOOGL BUL 2X 1,574 $123K -106K -98.5%
2862 FINV FINVOLUTION GROUP SPONSORED ADS Financial Services 25,577 $123K -827 -3.1%
2863 ETOR PUT ETORO GROUP LTD Financial Services 205,600 $123K NEW
2864 LBRDA LIBERTY BROADBAND CORP COM SER A Communication Services 2,420 $122K -805 -25.0%
2865 CALL NU HLDGS LTD 166,700 $122K -420K -71.6%
2866 PERION NETWORK LTD SHS NEW 12,190 $122K +2K +21.9%
2867 KKRT CALL KKR & CO INC Financial Services 12,500 $122K -147K -92.2%
2868 CNTA CENTESSA PHARMACEUTICALS PLC SPONSORED ADS Healthcare 3,081 $122K -261K -98.8%
2869 NMFC NEW MTN FIN CORP COM Financial Services 15,693 $122K NEW
2870 AEVA AEVA TECHNOLOGIES INC COM NEW Consumer Cyclical 9,241 $122K -5K -36.1%
2871 ADI PUT ANALOG DEVICES INC Technology 11,000 $122K NEW
2872 AVNS AVANOS MED INC COM Healthcare 8,712 $122K -70K -89.0%
2873 CMCO COLUMBUS MCKINNON CORP N Y COM Industrials 8,396 $122K -31K -78.6%
2874 EMTY PROSHARES TR DECLINE RETAIL 10,217 $121K -15K -60.0%
2875 PENG PENGUIN SOLUTIONS INC COM Technology 6,859 $121K -88K -92.8%
2876 BDN BRANDYWINE RLTY TR SH BEN INT NEW Real Estate 44,621 $121K -21K -32.5%
2877 CARS CARS COM INC COM Consumer Cyclical 14,912 $121K -313K -95.5%
2878 SHOP PUT SHOPIFY INC Technology 9,000 $121K -185K -95.4%
2879 MDLN MEDLINE INC COM CL A Healthcare 2,715 $121K NEW
2880 CRI CARTERS INC COM Consumer Cyclical 3,344 $120K -27K -89.0%
2881 EWTX EDGEWISE THERAPEUTICS INC COM Healthcare 3,804 $120K -85K -95.7%
2882 SOXQ INVESCO EXCH TRADED FD TR II INVESCO PHLX SM 1,971 $118K
2883 RAPP RAPPORT THERAPEUTICS INC COM Healthcare 3,776 $118K -6K -61.0%
2884 SLDE SLIDE INS HLDGS INC COM Financial Services 6,532 $118K -18K -72.9%
2885 STAA STAAR SURGICAL CO COM PAR $0.01 Healthcare 6,300 $118K -20K -76.0%
2886 USCB USCB FINANCIAL HOLDINGS INC CLASS A COM Financial Services 6,363 $118K +910 +16.7%
2887 DDOG CALL DATADOG INC Technology 58,400 $117K -32K -35.4%
2888 PURR HYPERLIQUID STRATEGIES INC COM Basic Materials 22,996 $117K NEW
2889 OLP ONE LIBERTY PPTYS INC COM Real Estate 5,438 $117K -333 -5.8%
2890 AHCO ADAPTHEALTH CORP COMMON STOCK Healthcare 9,739 $116K -68K -87.5%
2891 NOAH NOAH HLDGS LTD SPON ADS Financial Services 11,668 $116K NEW
2892 KSA ISHARES TR MSCI SAUDI ARBIA 2,909 $116K -12K -80.9%
2893 NIO CALL NIO INC Consumer Cyclical 65,300 $116K +20K +42.6%
2894 OPTU OPTIMUM COMMUNICATIONS INC CL A Communication Services 88,196 $115K +42K +90.0%
2895 GDEN GOLDEN ENTMT INC COM Consumer Cyclical 4,274 $114K -11K -72.4%
2896 AMTB AMERANT BANCORP INC CL A Financial Services 5,124 $113K -15K -74.1%
2897 PSNL PERSONALIS INC COM Healthcare 17,731 $113K -27K -60.3%
2898 CONSOLIDATED WATER CO INC ORD 3,423 $113K -2K -37.0%
2899 GIL GILDAN ACTIVEWEAR INC COM Consumer Cyclical 2,022 $113K -10K -83.5%
2900 SUNC SUNOCOCORP LLC COM SHS LLC Energy 1,810 $112K NEW
2901 ACEL ACCEL ENTERTAINMENT INC COM CL A1 Consumer Cyclical 10,305 $112K -3K -25.3%
2902 WKC WORLD KINECT CORPORATION COM Energy 4,843 $112K -14K -73.9%
2903 GROY GOLD ROYALTY CORP COMMON SHARES Basic Materials 31,140 $111K -20K -39.0%
2904 PGC PEAPACK-GLADSTONE FINL CORP COM Financial Services 3,153 $111K -6K -66.7%
2905 CALL MOODYS CORP 49,900 $110K NEW
2906 NEE PUT NEXTERA ENERGY INC Utilities 77,200 $110K NEW
2907 MTUS METALLUS INC COM Basic Materials 6,712 $110K -7K -52.1%
2908 ZLAB ZAI LAB LTD ADR Healthcare 5,799 $109K -5K -44.2%
2909 GGB GERDAU SA SPON ADR REP PFD Basic Materials 30,300 $109K NEW
2910 KBIA KB FINL GROUP INC SPONSORED ADR 1,085 $108K NEW
2911 RIVN PUT RIVIAN AUTOMOTIVE INC Consumer Cyclical 158,600 $108K -295K -65.0%
2912 PAX PATRIA INVESTMENTS LIMITED COM CL A Financial Services 8,550 $108K -17K -66.3%
2913 AXTI AXT INC COM Technology 1,898 $108K NEW
2914 ARKW ARK ETF TR NEXT GNRTN INTER 893 $108K -3K -74.0%
2915 CHCT COMMUNITY HEALTHCARE TR INC COM Real Estate 6,827 $108K -4K -36.6%
2916 DSGX DESCARTES SYS GROUP INC COM Technology 1,514 $108K NEW
2917 IIIV I3 VERTICALS INC COM CL A Technology 4,852 $108K -11K -70.0%
2918 AVO MISSION PRODUCE INC COM Consumer Defensive 7,848 $108K -19K -70.4%
2919 NREF NEXPOINT REAL ESTATE FIN INC COM Real Estate 7,948 $107K NEW
2920 WFC CALL WELLS FARGO & CO Financial Services 198,100 $107K -879K -81.6%
2921 FWRG FIRST WATCH RESTAURANT GROUP COM Consumer Cyclical 10,172 $107K -7K -39.4%
2922 SIRI SIRIUSXM HOLDINGS INC COMMON STOCK Communication Services 4,654 $107K -149K -97.0%
2923 MCW MISTER CAR WASH INC COM Consumer Cyclical 15,262 $106K -31K -67.3%
2924 PKX POSCO HOLDINGS INC SPONSORED ADR Basic Materials 1,812 $106K NEW
2925 CBAN COLONY BANKCORP INC COM Financial Services 5,313 $106K NEW
2926 VHT VANGUARD WORLD FD HEALTH CAR ETF 390 $106K
2927 UDMY UDEMY INC COM Consumer Defensive 22,855 $106K -42K -64.5%
2928 NTSK NETSKOPE INC CL A Technology 12,505 $106K -20K -61.3%
2929 FWONA LIBERTY MEDIA CORP DEL COM LBTY ONE S A Communication Services 1,354 $106K -2K -55.5%
2930 LRCX PUT LAM RESEARCH CORP Technology 55,000 $106K -7K -11.2%
2931 EGY VAALCO ENERGY INC COM NEW Energy 16,530 $105K -35K -67.8%
2932 RMAX RE/MAX HLDGS INC CL A Real Estate 18,244 $105K +3K +19.9%
2933 FWDI FORWARD INDUSTRIES INC COM Consumer Cyclical 23,401 $104K NEW
2934 LOCO EL POLLO LOCO HLDGS INC COM Consumer Cyclical 7,487 $104K -5K -38.7%
2935 ODD ODDITY TECH LTD SHS CL A Technology 7,784 $104K NEW
2936 TSDD GRANITESHARES ETF TR 2X SHORT TSLA DA 10,000 $104K
2937 SIBN SI BONE INC COM Healthcare 8,194 $103K -12K -58.8%
2938 AKBA AKEBIA THREAPEUTICS INC COM Healthcare 73,069 $102K -100K -57.9%
2939 CALL SSR MINING IN 69,100 $101K NEW
2940 NWFL NORWOOD FINANCIAL CORP COM Financial Services 3,429 $101K NEW
2941 GDXD BANK MONTREAL MEDIUM MICROSECTORS GOL Financial Services 2,449 $101K NEW
2942 LNG CALL CHENIERE ENERGY INC Energy 6,800 $101K -4K -34.0%
2943 MBX MBX BIOSCIENCES INC COM Healthcare 3,386 $101K -1K -28.9%
2944 CRSR CORSAIR GAMING INC COM Technology 18,269 $101K -16K -46.6%
2945 DAVA ENDAVA PLC ADS Technology 22,893 $101K -6K -20.4%
2946 KROS KEROS THERAPEUTICS INC COM Healthcare 9,135 $101K -90K -90.7%
2947 UHT UNIVERSAL HEALTH RLTY INCOME SH BEN INT Real Estate 2,474 $100K -27K -91.7%
2948 ACRS ACLARIS THERAPEUTICS INC COM Healthcare 26,767 $100K +11K +73.5%
2949 PCAR CALL PACCAR INC Industrials 50,000 $100K NEW
2950 OPK OPKO HEALTH INC COM Healthcare 87,846 $100K +34K +62.6%
2951 NVA NOVA MINERALS LTD SPONSORED ADS Basic Materials 16,725 $98K NEW
2952 GSBD GOLDMAN SACHS BDC INC Financial Services 10,909 $97K -5K -30.2%
2953 CYH COMMUNITY HEALTH SYS INC NEW COM Healthcare 32,957 $97K -2K -6.3%
2954 FATE FATE THERAPEUTICS INC COM Healthcare 80,139 $96K +41K +105.9%
2955 PUT GE HEALTHCARE TECHNOLOGIES I 23,900 $94K -19K -44.7%
2956 FULC FULCRUM THERAPEUTICS INC COM Healthcare 12,139 $93K +373 +3.2%
2957 BTE BAYTEX ENERGY CORP COM Energy 20,481 $92K -7K -25.6%
2958 RC READY CAPITAL CORP COM Real Estate 56,748 $92K +18K +48.0%
2959 CMG CALL CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 50,400 $92K -54K -51.6%
2960 WEBULL CORP ORD 18,879 $91K -394K -95.4%
2961 AUTL AUTOLUS THERAPEUTICS LTD SPON ADS Healthcare 66,107 $91K -571 -0.9%
2962 VRT PUT VERTIV HOLDINGS CO Industrials 52,500 $91K -106K -66.8%
2963 PUT SELECT SECTOR SPDR TR 15,000 $91K NEW
2964 NVTS NAVITAS SEMICONDUCTOR CORP COM Technology 10,360 $91K -11K -51.1%
2965 CALL SPDR SERIES TRUST 22,500 $90K -21K -48.5%
2966 CALL IMPERIAL PETE INC 201,000 $90K
2967 OCGN OCUGEN INC COM Healthcare 49,598 $90K NEW
2968 CALL FORTUNA MNG CORP 254,300 $90K -156K -38.0%
2969 PUT GENERAL MTRS CO 36,500 $89K +15K +69.8%
2970 ODV OSISKO DEVELOPMENT CORP COM NEW Basic Materials 26,964 $88K -4K -12.5%
2971 OSG OCTAVE SPECIALTY GROUP INC COM NEW Financial Services 18,817 $87K -384K -95.3%
2972 AHRT AH RLTY TR INC COM Financial Services 15,789 $87K -24K -60.7%
2973 VUZI VUZIX CORP COM NEW Technology 37,791 $87K -10K -21.0%
2974 ACDC PROFRAC HLDG CORP CLASS A COM Energy 13,883 $86K NEW
2975 PFE PUT PFIZER INC Healthcare 500,000 $85K -2.5M -83.2%
2976 MOMO HELLO GROUP INC ADS Communication Services 14,789 $85K -18K -55.1%
2977 PUT AGNC INVT CORP 30,000 $84K NEW
2978 TWI TITAN INTL INC ILL COM Industrials 12,149 $84K -3K -18.8%
2979 TLV GRUPO TELEVISA S A B SPON ADR REP ORD 28,622 $83K -2K -6.7%
2980 KGC CALL KINROSS GOLD CORP Basic Materials 30,000 $82K -258K -89.6%
2981 NEM CALL NEWMONT CORP Basic Materials 20,000 $82K -368K -94.8%
2982 BHC BAUSCH HEALTH COS INC COM Healthcare 14,810 $80K +476 +3.3%
2983 PUT BARRICK MNG CORP 55,000 $79K -358K -86.7%
2984 PUT BANK OZK LITTLE ROCK ARK 35,000 $79K -16K -31.2%
2985 PUT NOKIA CORP 797,500 $79K +248K +45.0%
2986 PUT PAN AMERN SILVER CORP 25,000 $78K -6K -19.4%
2987 T CALL AT&T INC Communication Services 200,000 $78K +166K +479.7%
2988 ABAT AMERICAN BATTERY TECHNOLOGY COM NEW Basic Materials 27,517 $77K +5K +23.4%
2989 NAGE NIAGEN BIOSCIENCE INC COM NEW Healthcare 17,424 $77K -37K -68.1%
2990 PUT EOG RES INC 71,600 $77K -87K -54.9%
2991 ETN PUT EATON CORP PLC Industrials 12,000 $77K NEW
2992 PG CALL PROCTER & GAMBLE CO Consumer Defensive 33,800 $76K -188K -84.7%
2993 CALL ARK ETF TR 34,000 $76K -20K -37.0%
2994 CMRC COMMERCE.COM INC COM SER 1 Technology 27,594 $74K -5K -15.2%
2995 SLDP SOLID POWER INC CLASS A COM Industrials 24,444 $73K NEW
2996 YEXT YEXT INC COM Technology 18,840 $72K -52K -73.6%
2997 TABOOLA.COM LTD ORD 23,125 $72K +6K +31.6%
2998 MRVI MARAVAI LIFESCIENCES HLDGS I COM CL A Healthcare 24,996 $71K -402K -94.2%
2999 ABCL ABCELLERA BIOLOGICS INC COM Healthcare 20,200 $70K NEW
3000 MSTR CALL STRATEGY INC Technology 33,000 $70K -109K -76.7%
3001 ABEV AMBEV SA SPONSORED ADR Consumer Defensive 23,866 $70K NEW
3002 MVST MICROVAST HOLDINGS INC COM Industrials 45,784 $69K -29K -39.0%
3003 EOLS EVOLUS INC COM Healthcare 16,763 $69K -11K -39.8%
3004 RBBN RIBBON COMMUNICATIONS INC COM Communication Services 32,161 $68K -9K -22.6%
3005 RCKT ROCKET PHARMACEUTICALS INC COM Healthcare 19,133 $68K -45K -70.0%
3006 NXE CALL NEXGEN ENERGY LTD Energy 360,200 $67K NEW
3007 MBLY CALL MOBILEYE GLOBAL INC Consumer Cyclical 520,000 $67K NEW
3008 BNTX CALL BIONTECH SE Healthcare 78,800 $67K +58K +280.7%
3009 BFLY BUTTERFLY NETWORK INC COM CL A Healthcare 16,597 $67K +6K +59.1%
3010 SNDL SNDL INC COM Healthcare 50,667 $67K +9K +21.3%
3011 RUM RUMBLE INC COM CL A Technology 12,992 $66K -7K -35.3%
3012 ILPT INDUSTRIAL LOGISTICS PPTYS T COM SHS BEN INT Real Estate 11,332 $64K NEW
3013 SLS SELLAS LIFE SCIENCES GROUP I COM NEW Healthcare 15,166 $64K -21K -58.4%
3014 NRGV ENERGY VAULT HOLDINGS INC COM Utilities 19,420 $64K NEW
3015 VZLA PUT VIZSLA SILVER CORP Basic Materials 60,000 $64K NEW
3016 LFCR LIFECORE BIOMEDICAL INC COM Healthcare 17,279 $64K NEW
3017 LULU CALL LULULEMON ATHLETICA INC Consumer Cyclical 10,000 $64K
3018 WIT WIPRO LTD SPON ADR 1 SH Technology 29,720 $63K +2K +6.1%
3019 PUT MGIC INVT CORP WIS 104,000 $62K NEW
3020 PINS PUT PINTEREST INC Communication Services 31,100 $61K NEW
3021 EGHT 8X8 INC NEW COM Technology 36,910 $61K +10K +38.6%
3022 OPEN CALL OPENDOOR TECHNOLOGIES INC Real Estate 65,000 $60K -82K -55.9%
3023 ZIP ZIPRECRUITER INC CL A Industrials 32,270 $59K -11K -25.7%
3024 CALL AMERIPRISE FINL INC 45,000 $57K NEW
3025 SWIM LATHAM GROUP INC COM Industrials 10,396 $56K -2K -16.4%
3026 O PUT REALTY INCOME CORP Real Estate 226,400 $56K -176K -43.8%
3027 RTX PUT RTX CORPORATION Industrials 57,500 $55K -59K -50.6%
3028 CHRS COHERUS ONCOLOGY INC COM Healthcare 32,797 $55K -2K -4.8%
3029 HPO SERVICE PPTYS TR COM SH BEN INT 40,703 $55K -1K -2.5%
3030 TLS TELOS CORP MD COM Technology 12,700 $53K NEW
3031 LAC LITHIUM AMERS CORP NEW COM Basic Materials 13,201 $52K NEW
3032 MIST MILESTONE PHARMACEUTICALS IN COM Healthcare 42,512 $51K -55K -56.3%
3033 ABSI ABSCI CORPORATION COM Healthcare 17,116 $51K -24K -58.2%
3034 PUT APPLIED MATLS INC 26,900 $50K -77K -74.1%
3035 CERS CERUS CORP COM Healthcare 26,754 $49K -35K -56.3%
3036 SES SES AI CORPORATION CL A COM Consumer Cyclical 50,836 $49K +36K +251.4%
3037 ARCC PUT ARES CAPITAL CORP Financial Services 55,100 $48K -95K -63.4%
3038 XYZ CALL BLOCK INC Technology 22,600 $48K
3039 PUT MILLICOM INTL CELLULAR S A 27,400 $48K NEW
3040 CRH CALL CRH PLC Basic Materials 210,000 $47K NEW
3041 WTI W & T OFFSHORE INC COM Energy 13,096 $45K -21K -61.7%
3042 DOMO DOMO INC COM CL B Technology 14,807 $45K -20K -57.5%
3043 CALL ZIONS BANCORPORATION NATL AS 58,200 $44K NEW
3044 FAST CALL FASTENAL CO Industrials 39,700 $44K
3045 CALL TRUIST FINL CORP 199,000 $44K +15K +8.2%
3046 TOI THE ONCOLOGY INSTITUTE INC COM Healthcare 14,098 $43K -2K -12.6%
3047 CAN CANAAN INC SPONSORED ADS Technology 100,000 $43K NEW
3048 BLND BLEND LABS INC CL A Technology 24,802 $42K -34K -57.6%
3049 EVEX EVE HLDG INC COM Industrials 17,001 $42K +6K +52.3%
3050 PACB PACIFIC BIOSCIENCES CALIF IN COM Healthcare 32,061 $42K -69K -68.2%
3051 GOSS GOSSAMER BIO INC COM Healthcare 128,568 $42K +54K +73.4%
3052 STZ CALL CONSTELLATION BRANDS INC Consumer Defensive 10,000 $41K -14K -58.2%
3053 CALL FORD MTR CO 100,000 $41K
3054 PUT COMCAST CORP NEW 70,000 $40K NEW
3055 PUT UNION PAC CORP 18,900 $40K -61K -76.2%
3056 KHC CALL KRAFT HEINZ CO Consumer Defensive 75,600 $39K
3057 NFE NEW FORTRESS ENERGY INC COM CL A Utilities 65,728 $39K +3K +4.5%
3058 SKM CALL SK TELECOM CO LTD Communication Services 25,000 $39K NEW
3059 ALLO ALLOGENE THERAPEUTICS INC COM Healthcare 15,390 $38K -9K -35.8%
3060 CALL BANK OZK LITTLE ROCK ARK 70,000 $38K -14K -16.8%
3061 NXDR NEXTDOOR HOLDINGS INC COM CL A Communication Services 26,405 $37K -20K -43.0%
3062 CTAS CALL CINTAS CORP Industrials 40,000 $37K -9K -19.0%
3063 UBS CALL UBS GROUP AG Financial Services 30,000 $36K -200 -0.7%
3064 SG CALL SWEETGREEN INC Consumer Cyclical 200,000 $36K -115K -36.5%
3065 CALL SELECT SECTOR SPDR TR 44,300 $35K +13K +40.6%
3066 CALL CITIZENS FINL GROUP INC 45,000 $35K NEW
3067 RXT RACKSPACE TECHNOLOGY INC COM Technology 35,036 $34K NEW
3068 JELD JELD-WEN HLDG INC COM Industrials 27,706 $34K +5K +24.6%
3069 NMRA NEUMORA THERAPEUTICS INC. COM Healthcare 17,178 $33K -49K -74.0%
3070 PUT FORD MTR CO 100,000 $32K
3071 LX LEXINFINTECH HLDGS LTD ADR Financial Services 14,654 $32K
3072 SNOW CALL SNOWFLAKE INC Technology 20,500 $32K -70K -77.5%
3073 PUT BERKSHIRE HATHAWAY INC DEL 10,500 $32K -24K -69.4%
3074 POWW OUTDOOR HOLDING CO COM Industrials 15,906 $32K -5K -24.3%
3075 EDIT EDITAS MEDICINE INC COM Healthcare 13,136 $32K -4K -21.8%
3076 CALL GE HEALTHCARE TECHNOLOGIES I 18,400 $31K -159K -89.6%
3077 MMM PUT 3M CO Industrials 12,500 $30K -88K -87.6%
3078 LU LUFAX HOLDING LTD SPONSORED ADR Financial Services 15,880 $30K -183K -92.0%
3079 GDRX GOODRX HLDGS INC COM CL A Healthcare 14,586 $29K NEW
3080 FHN CALL FIRST HORIZON CORPORATION Financial Services 108,600 $29K +2K +1.4%
3081 PATH CALL UIPATH INC Technology 89,900 $29K NEW
3082 UBS PUT UBS GROUP AG Financial Services 10,000 $28K -45K -81.8%
3083 CRON CRONOS GROUP INC COM Healthcare 11,147 $28K -8K -43.2%
3084 NFGC NEW FOUND GOLD CORP COM Basic Materials 14,257 $28K NEW
3085 GETY GETTY IMAGES HOLDINGS INC CL A COM Communication Services 34,354 $27K -40K -53.7%
3086 TTD CALL THE TRADE DESK INC Technology 73,500 $27K -606K -89.2%
3087 IKT INHIBIKASE THERAPEUTICS INC COM NEW Healthcare 15,480 $26K NEW
3088 BNTX PUT BIONTECH SE Healthcare 41,000 $26K -29K -41.4%
3089 PUT PETROLEO BRASILEIRO S A 115,000 $26K NEW
3090 QSI QUANTUM SI INC COM CL A Healthcare 33,677 $26K +5K +15.7%
3091 PUT MONSTER BEVERAGE CORP NEW 73,900 $26K -107K -59.1%
3092 CALL PETROLEO BRASILEIRO S A 10,000 $25K NEW
3093 CALL SELECT SECTOR SPDR TR 75,000 $25K -118K -61.0%
3094 XPEV CALL XPENG INC Consumer Cyclical 25,000 $25K -160K -86.5%
3095 DEFT DEFI TECHNOLOGIES INC COM Financial Services 45,818 $25K NEW
3096 SID COMPANHIA SIDERURGICA NACION SPONSORED ADR Basic Materials 19,929 $25K -80K -80.0%
3097 BZAI BLAIZE HLDGS INC COM Technology 13,361 $24K -14K -50.7%
3098 HIVE HIVE DIGITAL TECHNOLOGIES LT COM NEW Financial Services 12,698 $24K NEW
3099 CALL COMCAST CORP NEW 32,300 $24K -50K -60.8%
3100 SIDU SIDUS SPACE INC CL A COM NEW Industrials 10,219 $24K -27K -72.7%
3101 HCA CALL HCA HEALTHCARE INC Healthcare 32,700 $24K -80K -71.0%
3102 MVIS MICROVISION INC DEL COM NEW Technology 37,078 $24K -48K -56.6%
3103 PUT AMERICA MOVIL SAB DE CV 25,000 $23K NEW
3104 MO PUT ALTRIA GROUP INC Consumer Defensive 52,400 $22K -368K -87.5%
3105 MBLY PUT MOBILEYE GLOBAL INC Consumer Cyclical 30,000 $22K NEW
3106 VRSK CALL VERISK ANALYTICS INC Industrials 85,900 $21K NEW
3107 CALL TEXAS INSTRS INC 14,200 $21K -46K -76.5%
3108 AAL CALL AMERICAN AIRLINES GROUP INC Industrials 350,000 $21K NEW
3109 ARES PUT ARES MANAGEMENT CORPORATION Financial Services 15,000 $21K NEW
3110 MS PUT MORGAN STANLEY Financial Services 26,000 $21K -47K -64.4%
3111 BTG CALL B2GOLD CORP Basic Materials 32,900 $20K NEW
3112 ZVIA ZEVIA PBC CL A Consumer Defensive 16,917 $20K +4K +27.7%
3113 IE CALL IVANHOE ELECTRIC INC Technology 203,400 $20K NEW
3114 PUT UNITED STS OIL FD LP 65,000 $19K NEW
3115 JNJ PUT JOHNSON & JOHNSON Healthcare 20,000 $19K -258K -92.8%
3116 LVWR LIVEWIRE GROUP INC COM Consumer Cyclical 11,362 $19K NEW
3117 LAB STANDARD BIOTOOLS INC COM Healthcare 20,905 $19K -73K -77.8%
3118 PUT MARATHON PETE CORP 31,500 $18K -18K -36.0%
3119 AMT CALL AMERICAN TOWER CORP Real Estate 10,100 $18K
3120 DAL CALL DELTA AIR LINES INC Industrials 10,000 $18K NEW
3121 VALE PUT VALE S A Basic Materials 34,400 $18K NEW
3122 PUT TRUIST FINL CORP 29,800 $18K -131K -81.5%
3123 VLO PUT VALERO ENERGY CORP Energy 32,300 $16K -17K -35.0%
3124 CRDF CARDIFF ONCOLOGY INC COM Healthcare 10,057 $16K -6K -36.3%
3125 PLRX PLIANT THERAPEUTICS INC COM Healthcare 12,604 $16K +343 +2.8%
3126 CALL NORWEGIAN CRUISE LINE HLDGS 20,000 $16K NEW
3127 PUT DOW HLDGS INC 1,600,000 $16K NEW
3128 CNDT CONDUENT INC COM Technology 12,567 $16K -12K -48.1%
3129 BN CALL BROOKFIELD CORP Financial Services 58,800 $15K NEW
3130 ORBS EIGHTCO HOLDINGS INC COM Technology 16,281 $15K NEW
3131 CALL ADVISORSHARES TR 86,300 $14K -414K -82.8%
3132 CHWY CALL CHEWY INC Consumer Cyclical 72,100 $14K
3133 WPM PUT WHEATON PRECIOUS METALS CORP Basic Materials 40,000 $14K -34K -46.1%
3134 LI CALL LI AUTO INC Consumer Cyclical 115,900 $14K -76K -39.7%
3135 CALL HSBC HLDGS PLC 10,000 $13K -4K -28.6%
3136 CALL MARA HOLDINGS INC 139,300 $13K
3137 NIO PUT NIO INC Consumer Cyclical 638,000 $13K -482K -43.0%
3138 HUMA HUMACYTE INC COM Healthcare 21,037 $13K -13K -38.3%
3139 COP PUT CONOCOPHILLIPS Energy 20,000 $12K -238K -92.3%
3140 GRWG GROWGENERATION CORP COM Consumer Cyclical 10,665 $12K -4K -24.9%
3141 DVLT DATAVAULT AI INC COM Technology 17,101 $11K NEW
3142 SHEL PUT SHELL PLC Energy 32,800 $11K -538K -94.2%
3143 ADBE PUT ADOBE INC Technology 60,400 $10K -149K -71.1%
3144 ARBE ROBOTICS LTD ORDINARY SHARES 16,387 $10K NEW
3145 KWEB CALL KRANESHARES TRUST 70,000 $10K -40K -36.4%
3146 ARCC CALL ARES CAPITAL CORP Financial Services 35,000 $10K NEW
3147 MNDY CALL MONDAY COM LTD Technology 17,300 $9K NEW
3148 CALL ISHARES TR 36,700 $8K NEW
3149 CHGG CHEGG INC COM Consumer Defensive 10,516 $8K -1K -9.6%
3150 BUD PUT ANHEUSER BUSCH INBEV SA NV Consumer Defensive 33,700 $8K -110K -76.6%
3151 HAIN HAIN CELESTIAL GROUP INC COM Consumer Defensive 10,930 $8K -34K -75.6%
3152 DXCM CALL DEXCOM INC Healthcare 13,700 $8K
3153 VZLA CALL VIZSLA SILVER CORP Basic Materials 150,000 $8K NEW
3154 MAPS WM TECHNOLOGY INC COM Technology 12,681 $8K -8K -39.7%
3155 CALL JOYY INC 55,800 $8K NEW
3156 BLNK BLINK CHARGING CO COM Industrials 11,925 $7K NEW
3157 CALL SEA LTD 24,600 $6K
3158 CRCL PUT CIRCLE INTERNET GROUP INC Financial Services 620,500 $6K +484K +353.2%
3159 HITEK GLOBAL INC USD CL A 112,129 $6K NEW
3160 KHC PUT KRAFT HEINZ CO Consumer Defensive 10,000 $6K NEW
3161 FHN PUT FIRST HORIZON CORPORATION Financial Services 10,700 $5K -8K -42.8%
3162 FISV CALL FISERV INC Technology 15,200 $5K -196K -92.8%
3163 CALL CNH INDL N V 50,000 $5K NEW
3164 MET CALL METLIFE INC Financial Services 33,300 $5K -270K -89.0%
3165 USB CALL US BANCORP Financial Services 20,000 $5K NEW
3166 CALL AGNC INVT CORP 30,000 $5K NEW
3167 UUUU CALL ENERGY FUELS INC Energy 40,000 $5K
3168 NAKA NAKAMOTO INC COM Healthcare 20,131 $4K -153K -88.4%
3169 RIO PUT RIO TINTO PLC Basic Materials 17,200 $4K -38K -68.8%
3170 CALL ON HLDG AG 12,800 $4K -16K -56.0%
3171 OWL CALL BLUE OWL CAPITAL INC Financial Services 74,600 $3K +52K +227.2%
3172 BTDR CALL BITDEER TECHNOLOGIES GROUP Technology 16,000 $2K NEW
3173 CALL DISNEY WALT CO 14,200 $2K NEW
3174 MSTR PUT STRATEGY INC Technology 65,800 $1K -110K -62.6%
3175 ITERUM THERAPEUTICS PLC SHS NEW 33,464 $1K +21K +161.8%
3176 BTG PUT B2GOLD CORP Basic Materials 17,500 $1K NEW
Sector Allocation
Technology 28.1%
Communication Services 16.2%
Financial Services 13.4%
Healthcare 10.7%
Industrials 8.8%
Consumer Cyclical 7.2%
Consumer Defensive 4.5%
Real Estate 3.9%
Basic Materials 2.7%
Energy 2.5%