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Avior Wealth Management, LLC

· CIK 0001599868
13F Portfolio $3.5B AUM 825 positions Filed Apr 9, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
127 New 359 Added 250 Reduced 41 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 VUG VANGUARD INDEX FDS 435,418 $189.9M 5.39% -12K -2.6%
2 DGRO ISHARES TR 1,899,744 $133.3M 3.78%
3 VOE VANGUARD INDEX FDS 528,225 $97.3M 2.76% -13K -2.3%
4 VOT VANGUARD INDEX FDS 357,505 $92.0M 2.61% +8K +2.4%
5 JAVA J P MORGAN EXCHANGE TRADED F 978,139 $70.2M 1.99% -43K -4.2%
6 JGRO J P MORGAN EXCHANGE TRADED F 793,135 $67.0M 1.90% -15K -1.8%
7 IVV ISHARES TR 86,770 $56.7M 1.61% -5K -5.4%
8 BND VANGUARD BD INDEX FDS 730,405 $53.8M 1.53% +241K +49.3%
9 BRK/B BERKSHIRE HATHAWAY INC DEL 109,042 $52.3M 1.48%
10 AAPL APPLE INC Technology 198,441 $50.3M 1.43% +16K +8.8%
11 BSCT INVESCO EXCH TRD SLF IDX FD 2,599,716 $48.5M 1.38% -15K -0.6%
12 VOO VANGUARD INDEX FDS 77,043 $46.0M 1.31% +4K +5.2%
13 NVDA NVIDIA CORPORATION Technology 263,363 $45.9M 1.30% +14K +5.8%
14 BSCV INVESCO EXCH TRD SLF IDX FD 2,688,721 $44.3M 1.25% -26K -0.9%
15 BSCR INVESCO EXCH TRD SLF IDX FD 2,202,366 $43.2M 1.23% -175K -7.4%
16 SPYV SPDR SERIES TRUST 738,755 $41.8M 1.19% +49K +7.1%
17 VEA VANGUARD TAX-MANAGED FDS 642,047 $41.0M 1.16% +23K +3.7%
18 VTV VANGUARD INDEX FDS 208,487 $40.9M 1.16% +6K +3.1%
19 VBK VANGUARD INDEX FDS 131,049 $39.6M 1.12% -2K -1.5%
20 IMCG ISHARES TR 446,106 $35.1M 1.00% -180K -28.7%
21 XMVM INVESCO EXCHANGE TRADED FD T 525,711 $34.2M 0.97% +18K +3.5%
22 VB VANGUARD INDEX FDS 129,053 $33.8M 0.96% -25K -16.1%
23 BIV VANGUARD BD INDEX FDS 434,553 $33.5M 0.95% +13K +3.1%
24 SMIZ ZACKS TRUST 887,974 $32.9M 0.93% +206K +30.3%
25 AVUV AMERICAN CENTY ETF TR 279,586 $30.9M 0.88% -13K -4.5%
26 SPY STATE STR SPDR S&P 500 ETF T Financial Services 46,696 $30.4M 0.86% +6K +15.7%
27 BSV VANGUARD BD INDEX FDS 376,993 $29.6M 0.84% +11K +3.1%
28 VEU VANGUARD INTL EQUITY INDEX F 392,275 $29.5M 0.84% -4K -1.1%
29 AGG ISHARES TR 293,531 $29.1M 0.83% +267K +1022.1%
30 TLT ISHARES TR 312,742 $27.1M 0.77% +309K +8213.2%
31 SPSM SPDR SERIES TRUST 549,962 $26.6M 0.75% +10K +1.8%
32 SCHP SCHWAB STRATEGIC TR 982,911 $26.2M 0.74% +69K +7.5%
33 IVW ISHARES TR 230,828 $26.1M 0.74% +9K +4.2%
34 SCHO SCHWAB STRATEGIC TR 1,058,171 $25.7M 0.73% +74K +7.5%
35 GQ9 SPDR GOLD TR 58,721 $25.3M 0.72% +35K +145.3%
36 BNDX VANGUARD CHARLOTTE FDS 522,750 $25.1M 0.71% +37K +7.7%
37 MUB ISHARES TR 220,186 $23.4M 0.66% -33K -13.0%
38 MSFT MICROSOFT CORP Technology 62,030 $23.0M 0.65% +8K +15.2%
39 VCIT VANGUARD SCOTTSDALE FDS 276,960 $22.9M 0.65% +4K +1.4%
40 BALI BLACKROCK ETF TRUST 712,602 $22.0M 0.62% NEW
41 SCHB SCHWAB STRATEGIC TR 863,449 $21.7M 0.61% +17K +2.0%
42 MGV VANGUARD WORLD FD 148,688 $21.5M 0.61% -43K -22.4%
43 VBR VANGUARD INDEX FDS 93,968 $20.4M 0.58%
44 AMZN AMAZON COM INC Consumer Cyclical 96,688 $20.1M 0.57% +9K +10.7%
45 MGK VANGUARD WORLD FD 54,205 $19.9M 0.56% -4K -6.6%
46 DFAE DIMENSIONAL ETF TRUST 562,999 $19.1M 0.54% +14K +2.5%
47 VYM VANGUARD WHITEHALL FDS 125,305 $18.6M 0.53% -13K -9.6%
48 VWO VANGUARD INTL EQUITY INDEX F 340,249 $18.4M 0.52% -4K -1.2%
49 SPMD SPDR SERIES TRUST 286,401 $17.0M 0.48% +12K +4.3%
50 GOOGL ALPHABET INC Communication Services 56,877 $16.4M 0.46% +2K +3.0%
51 IVOV VANGUARD ADMIRAL FDS INC 158,534 $16.2M 0.46% +8K +5.2%
52 FLOT ISHARES TR 311,245 $15.9M 0.45% -51K -14.1%
53 HEGD LISTED FDS TR 576,125 $14.2M 0.40% +11K +2.0%
54 HYLB DBX ETF TR 387,572 $14.0M 0.40% +24K +6.5%
55 SCHG SCHWAB STRATEGIC TR 477,240 $13.9M 0.39% +312K +188.5%
56 QQQM INVESCO EXCH TRADED FD TR II 57,337 $13.6M 0.39%
57 NDQ INVESCO QQQ TR 23,372 $13.5M 0.38% +3K +14.8%
58 GOOGL ALPHABET INC Communication Services 46,708 $13.4M 0.38% +1K +3.2%
59 AVDV AMERICAN CENTY ETF TR 131,988 $13.2M 0.37% +112K +548.7%
60 VTI VANGUARD INDEX FDS 41,067 $13.2M 0.37% +1K +3.2%
61 META META PLATFORMS INC Communication Services 22,809 $13.0M 0.37% +412 +1.8%
62 SCHD SCHWAB STRATEGIC TR 417,210 $12.8M 0.36% +5K +1.3%
63 BA BOEING CO Industrials 64,169 $12.8M 0.36%
64 VO VANGUARD INDEX FDS 46,048 $12.7M 0.36% -9K -16.4%
65 MU MICRON TECHNOLOGY INC Technology 36,080 $12.2M 0.35% +5K +15.2%
66 VIOV VANGUARD ADMIRAL FDS INC 118,424 $12.0M 0.34% +3K +2.8%
67 SCHV SCHWAB STRATEGIC TR 386,852 $11.8M 0.34% +372K +2568.7%
68 AVGO BROADCOM INC Technology 38,024 $11.8M 0.33% +2K +5.3%
69 SCHM SCHWAB STRATEGIC TR 376,909 $11.7M 0.33% +40K +11.8%
70 IGSB ISHARES TR 214,288 $11.3M 0.32%
71 VXUS VANGUARD STAR FDS 144,438 $11.1M 0.32% +7K +5.4%
72 HELO J P MORGAN EXCHANGE TRADED F 172,428 $11.0M 0.31% +2K +1.1%
73 SMH VANECK ETF TRUST 28,741 $11.0M 0.31% +25K +606.2%
74 XOM EXXON MOBIL CORP Energy 63,930 $10.8M 0.31% +3K +5.7%
75 VGK VANGUARD INTL EQUITY INDEX F 130,098 $10.7M 0.30% NEW
76 ABBV ABBVIE INC Healthcare 49,259 $10.7M 0.30% -1K -2.6%
77 IXG ISHARES TR 92,173 $10.5M 0.30% NEW
78 VWOB VANGUARD WHITEHALL FDS 159,837 $10.5M 0.30% +10K +6.8%
79 EFG ISHARES TR 92,724 $10.3M 0.29% +1K +1.4%
80 DYNF BLACKROCK ETF TRUST 175,210 $10.2M 0.29% +153K +685.8%
81 JPM JPMORGAN CHASE & CO Financial Services 34,581 $10.2M 0.29% +1K +4.4%
82 VNQ VANGUARD INDEX FDS 114,083 $10.1M 0.29% +1K +0.9%
83 TSLA TESLA INC Consumer Cyclical 26,480 $9.8M 0.28% +2K +9.9%
84 AIA ISHARES TR 91,502 $9.7M 0.28% NEW
85 JEPQ J P MORGAN EXCHANGE TRADED F 168,439 $9.4M 0.27% +56K +49.2%
86 EFA ISHARES TR 94,519 $9.2M 0.26% +63K +199.8%
87 CGDV CAPITAL GROUP DIVIDEND VALUE 202,106 $8.6M 0.24% +153K +307.7%
88 SCHH SCHWAB STRATEGIC TR 397,445 $8.5M 0.24% +24K +6.3%
89 GLDM WORLD GOLD TR Financial Services 91,208 $8.5M 0.24% -2K -2.3%
90 DBL DOUBLELINE OPPORTUNISTIC CR Financial Services 573,966 $8.4M 0.24% NEW
91 BSJQ INVESCO EXCH TRD SLF IDX FD 358,722 $8.3M 0.24% +8K +2.2%
92 ORCL ORACLE CORP Technology 54,434 $8.0M 0.23% -5K -9.0%
93 SCHZ SCHWAB STRATEGIC TR 336,413 $7.8M 0.22% +16K +5.2%
94 XLP SELECT SECTOR SPDR TR 94,356 $7.7M 0.22% +88K +1350.1%
95 PDI PIMCO DYNAMIC INCOME FD Financial Services 450,684 $7.7M 0.22% NEW
96 DFAI DIMENSIONAL ETF TRUST 197,614 $7.7M 0.22% -15K -7.0%
97 WPC WP CAREY INC Real Estate 112,980 $7.7M 0.22% NEW
98 FDL FIRST TR EXCHANGE-TRADED FD 148,873 $7.6M 0.21% +140K +1505.5%
99 UNP UNION PAC CORP Industrials 31,013 $7.5M 0.21% -1K -4.0%
100 SPYG SPDR SERIES TRUST 75,847 $7.4M 0.21% +9K +14.1%
101 CAT CATERPILLAR INC Industrials 10,132 $7.2M 0.20% +7K +180.8%
102 VSS VANGUARD INTL EQUITY INDEX F 48,694 $7.1M 0.20% -271 -0.6%
103 JNJ JOHNSON & JOHNSON Healthcare 28,911 $7.1M 0.20% -3K -8.3%
104 USRT ISHARES TR 117,528 $7.0M 0.20% +5K +4.3%
105 COST COSTCO WHOLESALE CORPORATION Consumer Defensive 6,965 $6.9M 0.20% +854 +14.0%
106 ITOT ISHARES TR 48,429 $6.9M 0.20%
107 SPDW SPDR INDEX SHS FDS 150,170 $6.9M 0.19%
108 JEPI J P MORGAN EXCHANGE TRADED F 120,689 $6.8M 0.19% +61K +101.0%
109 RDVY FIRST TR EXCHANGE TRADED FD 99,734 $6.8M 0.19% +75K +310.1%
110 SLYV SPDR SERIES TRUST 69,224 $6.5M 0.18% -7K -9.1%
111 C CITIGROUP INC Financial Services 56,859 $6.4M 0.18% +976 +1.8%
112 GS GOLDMAN SACHS GROUP INC Financial Services 7,605 $6.4M 0.18%
113 EWP ISHARES INC 116,291 $6.3M 0.18% NEW
114 DFIV DIMENSIONAL ETF TRUST 118,206 $6.2M 0.18% +1K +1.2%
115 MDYV SPDR SERIES TRUST 73,202 $6.2M 0.18%
116 FTGS FIRST TR EXCHANGE-TRADED FD 182,598 $6.2M 0.18% NEW
117 LMBS FIRST TR EXCHANGE-TRADED FD 124,666 $6.2M 0.18% NEW
118 IJH ISHARES TR 88,925 $6.0M 0.17% +4K +5.3%
119 MMIT NEW YORK LIFE INVTS ACTIVE E 242,530 $5.8M 0.17% NEW
120 XLK SELECT SECTOR SPDR TR 43,925 $5.8M 0.17% +6K +14.7%
121 DIS DISNEY WALT CO Communication Services 60,239 $5.8M 0.16% +5K +8.2%
122 CSCO CISCO SYS INC Technology 73,854 $5.7M 0.16% +3K +3.8%
123 FTCB FIRST TR EXCHANGE-TRADED FD 268,805 $5.6M 0.16% NEW
124 LLY ELI LILLY & CO Healthcare 6,070 $5.6M 0.16% +615 +11.3%
125 HYDB ISHARES TR 119,315 $5.6M 0.16% -98K -45.2%
126 VNQI VANGUARD INTL EQUITY INDEX F 123,963 $5.5M 0.16% +7K +6.0%
127 VV VANGUARD INDEX FDS 18,319 $5.5M 0.15% -2K -8.7%
128 VGSH VANGUARD SCOTTSDALE FDS 93,067 $5.4M 0.15% +42K +81.2%
129 TOTL SSGA ACTIVE ETF TR 135,199 $5.4M 0.15% NEW
130 SIVR ABRDN SILVER ETF TRUST Financial Services 74,887 $5.4M 0.15% -45K -37.3%
131 EEM ISHARES TR 93,838 $5.3M 0.15% +88K +1481.4%
132 BSMT INVESCO EXCH TRD SLF IDX FD 229,676 $5.3M 0.15% +28K +13.8%
133 HD HOME DEPOT INC Consumer Cyclical 16,067 $5.3M 0.15%
134 WMT WALMART INC Consumer Defensive 41,313 $5.1M 0.15% +5K +12.5%
135 IJR ISHARES TR 41,016 $5.1M 0.14% -1K -3.5%
136 MA MASTERCARD INCORPORATED Financial Services 10,029 $5.0M 0.14% +208 +2.1%
137 KR KROGER CO Consumer Defensive 69,231 $5.0M 0.14% +1K +2.1%
138 AXP AMERICAN EXPRESS CO Financial Services 16,380 $5.0M 0.14%
139 CVX CHEVRON CORPORATION Energy 23,695 $4.9M 0.14% +3K +11.8%
140 JCPI J P MORGAN EXCHANGE TRADED F 100,729 $4.9M 0.14% +5K +5.1%
141 IWB ISHARES TR 13,752 $4.9M 0.14% -2K -15.1%
142 IWF ISHARES TR 11,178 $4.8M 0.14% +276 +2.5%
143 IAU* ISHARES GOLD TR 53,797 $4.7M 0.14% +7K +15.3%
144 AVXC AMERICAN CENTY ETF TR 70,000 $4.7M 0.13% -3K -3.9%
145 OKE ONEOK INC NEW Energy 52,291 $4.7M 0.13% +1K +2.7%
146 SPTM SPDR SERIES TRUST 59,247 $4.7M 0.13% +6K +11.0%
147 BSMV INVESCO EXCH TRD SLF IDX FD 223,134 $4.7M 0.13% +49K +28.1%
148 SPAB SPDR SERIES TRUST 178,501 $4.6M 0.13%
149 WFC WELLS FARGO & CO Financial Services 57,416 $4.6M 0.13% +5K +9.4%
150 V VISA INC Financial Services 15,004 $4.5M 0.13% -150 -1.0%
151 IMCV ISHARES TR 53,240 $4.5M 0.13% +38K +247.8%
152 VRP INVESCO EXCH TRADED FD TR II 187,744 $4.5M 0.13% NEW
153 IEFA ISHARES TR 49,721 $4.5M 0.13% -4K -7.7%
154 FENI FIDELITY COVINGTON TRUST 120,093 $4.5M 0.13% -77K -39.2%
155 MCD MCDONALDS CORP Consumer Cyclical 14,233 $4.4M 0.12% +330 +2.4%
156 KMI KINDER MORGAN INC DEL Energy 128,880 $4.3M 0.12% +1K +1.1%
157 GEV GE VERNOVA INC Utilities 4,950 $4.3M 0.12% +279 +6.0%
158 BSMR INVESCO EXCH TRD SLF IDX FD 182,511 $4.3M 0.12% -9K -4.5%
159 NFLX NETFLIX INC. Communication Services 44,403 $4.3M 0.12% -1K -3.1%
160 JPIB J P MORGAN EXCHANGE TRADED F 89,018 $4.3M 0.12% NEW
161 SCHA SCHWAB STRATEGIC TR 145,664 $4.2M 0.12% +95K +185.8%
162 SCHF SCHWAB STRATEGIC TR 167,924 $4.2M 0.12% +24K +16.4%
163 ABT ABBOTT LABORATORIES Healthcare 40,456 $4.2M 0.12% -2K -5.4%
164 DFEM DIMENSIONAL ETF TRUST 120,149 $4.2M 0.12% +3K +2.7%
165 FCX FREEPORT MCMORAN INC Basic Materials 69,192 $4.1M 0.12% -565 -0.8%
166 BINV 2023 ETF SERIES TRUST 97,670 $4.0M 0.11% +59K +155.4%
167 IWY ISHARES TR 15,873 $3.9M 0.11% -533 -3.2%
168 FTCS FIRST TR EXCHANGE-TRADED FD 42,321 $3.9M 0.11%
169 ADP AUTOMATIC DATA PROCESSING IN Industrials 19,184 $3.9M 0.11% +7K +58.7%
170 PG PROCTER & GAMBLE CO Consumer Defensive 27,131 $3.9M 0.11% -183 -0.7%
171 BAC BANK AMERICA CORP Financial Services 78,061 $3.8M 0.11% -1K -1.5%
172 FIIG FIRST TR EXCHANGE-TRADED FD 180,401 $3.7M 0.11% NEW
173 IEMG ISHARES INC 53,434 $3.7M 0.10% +7K +13.9%
174 SPTS SPDR SERIES TRUST 124,417 $3.6M 0.10% -2K -1.9%
175 DFIS DIMENSIONAL ETF TRUST 104,455 $3.5M 0.10% +3K +2.9%
176 ARCC ARES CAPITAL CORP Financial Services 195,035 $3.5M 0.10% NEW
177 GE GE AEROSPACE Industrials 12,362 $3.5M 0.10% +798 +6.9%
178 SPSB SPDR SERIES TRUST 116,650 $3.5M 0.10%
179 IWD ISHARES TR 16,358 $3.5M 0.10%
180 BOND PIMCO ETF TR 37,742 $3.5M 0.10% NEW
181 CRM SALESFORCE INC Technology 18,236 $3.4M 0.10% +2K +12.3%
182 COP CONOCOPHILLIPS Energy 25,100 $3.3M 0.09% -3K -10.9%
183 BLK BLACKROCK INC Financial Services 3,437 $3.3M 0.09% -50 -1.4%
184 SCYB SCHWAB STRATEGIC TR 127,110 $3.3M 0.09% +97K +317.2%
185 DISV DIMENSIONAL ETF TRUST 81,037 $3.2M 0.09% +502 +0.6%
186 COMT ISHARES U S ETF TR 94,111 $3.2M 0.09% -3K -3.3%
187 IWP ISHARES TR 24,383 $3.1M 0.09% +271 +1.1%
188 AMD ADVANCED MICRO DEVICES INC Technology 15,128 $3.1M 0.09% +888 +6.2%
189 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 9,029 $3.1M 0.09% +936 +11.6%
190 BSCS INVESCO EXCH TRD SLF IDX FD 148,517 $3.0M 0.09% -4K -2.3%
191 DE DEERE & CO Industrials 5,346 $3.0M 0.09% -38 -0.7%
192 BSCW INVESCO EXCH TRD SLF IDX FD 145,581 $3.0M 0.09% +48K +48.7%
193 LYB LYONDELLBASELL INDUSTRIES NV Basic Materials 37,037 $3.0M 0.09% +32K +689.4%
194 HON HONEYWELL INTL INC Industrials 12,976 $2.9M 0.08%
195 IVE ISHARES TR 13,749 $2.9M 0.08% +557 +4.2%
196 FSIG FIRST TR EXCHANGE-TRADED FD 152,934 $2.9M 0.08% NEW
197 BRK/A BERKSHIRE HATHAWAY INC DEL 4 $2.9M 0.08% -1 -20.0%
198 SCZ ISHARES TR 35,943 $2.8M 0.08% -1K -3.1%
199 XLE SELECT SECTOR SPDR TR 45,420 $2.8M 0.08% +13K +42.0%
200 CTVA CORTEVA INC Basic Materials 33,064 $2.8M 0.08%
201 BSCU INVESCO EXCH TRD SLF IDX FD 164,815 $2.8M 0.08% +7K +4.3%
202 USFD US FOODS HLDG CORP Consumer Defensive 29,281 $2.7M 0.08% +281 +1.0%
203 DELL DELL TECHNOLOGIES INC Technology 16,392 $2.7M 0.08% +2K +12.5%
204 BITW BITWISE 10 CRYPTO INDEX ETF Financial Services 60,265 $2.7M 0.08% NEW
205 UNH UNITEDHEALTH GROUP INC Healthcare 9,779 $2.6M 0.07% -301 -3.0%
206 HYLS FIRST TR EXCHANGE-TRADED FD 64,842 $2.6M 0.07% NEW
207 GLPI GAMING & LEISURE P Real Estate 58,501 $2.6M 0.07% NEW
208 AFMC FIRST TR EXCHNG TRADED FD VI 72,876 $2.6M 0.07% NEW
209 VCSH VANGUARD SCOTTSDALE FDS 32,600 $2.6M 0.07% +425 +1.3%
210 BLV VANGUARD BD INDEX FDS 37,506 $2.6M 0.07% +31K +480.8%
211 ACN ACCENTURE PLC IRELAND Technology 12,996 $2.6M 0.07% -110 -0.8%
212 SCHX SCHWAB STRATEGIC TR 99,912 $2.6M 0.07% -10K -9.3%
213 NEE NEXTERA ENERGY INC Utilities 27,435 $2.5M 0.07% +350 +1.3%
214 PEP PEPSICO INC Consumer Defensive 16,385 $2.5M 0.07% +580 +3.7%
215 BMI BADGER METER INC Technology 16,631 $2.5M 0.07% +6K +63.2%
216 XLU SELECT SECTOR SPDR TR 54,979 $2.5M 0.07% +18K +48.1%
217 UCON FIRST TR EXCHNG TRADED FD VI 101,566 $2.5M 0.07% NEW
218 SLV ISHARES SILVER TR Financial Services 36,913 $2.5M 0.07% -9K -20.2%
219 XLF SELECT SECTOR SPDR TR 50,020 $2.5M 0.07% +10K +23.5%
220 FMHI FIRST TR EXCH TRADED FD III 51,664 $2.5M 0.07% NEW
221 PLTR PALANTIR TECHNOLOGIES INC Technology 16,759 $2.5M 0.07% -212 -1.2%
222 XLI SELECT SECTOR SPDR TR 15,102 $2.4M 0.07% -439 -2.8%
223 DFAT DIMENSIONAL ETF TRUST 39,013 $2.4M 0.07% +9K +31.4%
224 ECL ECOLAB INC Basic Materials 9,096 $2.4M 0.07%
225 SYK STRYKER CORPORATION Healthcare 7,255 $2.4M 0.07% -2K -20.1%
226 IJS ISHARES TR 20,118 $2.4M 0.07% -1K -5.5%
227 SOXX ISHARES TR 7,248 $2.4M 0.07% +569 +8.5%
228 IWM ISHARES TR 9,650 $2.4M 0.07% +3K +50.0%
229 RSG REPUBLIC SVCS INC Industrials 10,801 $2.4M 0.07% +594 +5.8%
230 LQD ISHARES TR 21,625 $2.4M 0.07% -150 -0.7%
231 DOW DOW HLDGS INC Basic Materials 56,228 $2.3M 0.07% +19K +53.0%
232 FTHI FIRST TR EXCHANGE TRADED FD 99,907 $2.3M 0.07% +25K +32.6%
233 VONG VANGUARD SCOTTSDALE FDS 20,755 $2.3M 0.07%
234 SHYG ISHARES TR 53,806 $2.3M 0.07% -122K -69.3%
235 SCHE SCHWAB STRATEGIC TR 69,003 $2.3M 0.06% +2K +3.1%
236 FIX COMFORT SYS USA INC Industrials 1,647 $2.3M 0.06% -254 -13.4%
237 BSCX INVESCO EXCH TRD SLF IDX FD 105,782 $2.2M 0.06% NEW
238 DHR DANAHER CORP DEL Healthcare 11,721 $2.2M 0.06% -2K -15.1%
239 IJJ ISHARES TR 16,584 $2.2M 0.06% +125 +0.8%
240 IYF ISHARES TR 18,418 $2.2M 0.06% -1K -5.9%
241 TJX TJX COS INC NEW Consumer Cyclical 13,515 $2.2M 0.06% +255 +1.9%
242 AOR ISHARES TR 33,497 $2.2M 0.06% +8K +30.9%
243 GRID FIRST TR EXCHANGE-TRADED FD 13,065 $2.1M 0.06% +6K +77.2%
244 T AT&T INC Communication Services 73,361 $2.1M 0.06%
245 IYW ISHARES TR 11,658 $2.1M 0.06% +4K +43.3%
246 BP BP PLC Energy 44,580 $2.1M 0.06% +661 +1.5%
247 VZ VERIZON COMMUNICATIONS INC Communication Services 41,734 $2.1M 0.06% +7K +19.2%
248 RTX RTX CORPORATION Industrials 11,145 $2.1M 0.06% +1K +11.1%
249 VTES VANGUARD WELLINGTON FD 20,370 $2.1M 0.06% +3K +20.3%
250 FEMB FIRST TR EXCH TRADED FD III 71,216 $2.0M 0.06% NEW
251 QCOM QUALCOMM INC Technology 15,860 $2.0M 0.06% +2K +12.6%
252 BSCQ INVESCO EXCH TRD SLF IDX FD 104,024 $2.0M 0.06% -29K -21.9%
253 SCIO FIRST TR EXCHANGE-TRADED FD 98,315 $2.0M 0.06% NEW
254 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 12,735 $2.0M 0.06% +128 +1.0%
255 TMO THERMO FISHER SCIENTIFIC INC Healthcare 4,038 $2.0M 0.06% -358 -8.1%
256 PPA INVESCO EXCHANGE TRADED FD T 11,641 $1.9M 0.06% +179 +1.6%
257 BIL SPDR SERIES TRUST 20,896 $1.9M 0.05% +7K +53.4%
258 VOOV VANGUARD ADMIRAL FDS INC 9,385 $1.9M 0.05% +534 +6.0%
259 SNPE DBX ETF TR 31,859 $1.9M 0.05% -168 -0.5%
260 USMV ISHARES TR 20,400 $1.9M 0.05% +709 +3.6%
261 FBTC FIDELITY WISE ORIGIN BITCOIN Financial Services 31,984 $1.9M 0.05% +263 +0.8%
262 VLO VALERO ENERGY CORP Energy 7,629 $1.9M 0.05% +4K +87.4%
263 IBM INTERNATIONAL BUSINESS MACHS Technology 7,701 $1.8M 0.05% +996 +14.8%
264 PSX PHILLIPS 66 Energy 9,911 $1.8M 0.05% +94 +1.0%
265 FTEC FIDELITY COVINGTON TRUST 8,516 $1.8M 0.05% -103 -1.2%
266 ARKK ARK ETF TR 26,212 $1.8M 0.05% +16K +166.5%
267 MRVL MARVELL TECHNOLOGY INC Technology 17,802 $1.8M 0.05% -200 -1.1%
268 ET ENERGY TRANSFER L P Energy 90,606 $1.7M 0.05%
269 COR CENCORA INC Healthcare 5,528 $1.7M 0.05%
270 SCHI SCHWAB STRATEGIC TR 73,590 $1.7M 0.05% -956 -1.3%
271 VUSB VANGUARD BD INDEX FDS 33,476 $1.7M 0.05% +628 +1.9%
272 MDYG SPDR SERIES TRUST 17,245 $1.7M 0.05% +278 +1.6%
273 IBIT ISHARES BITCOIN TRUST ETF Financial Services 42,844 $1.6M 0.05% +278 +0.7%
274 FJAN FIRST TR EXCHNG TRADED FD VI 32,521 $1.6M 0.05% -502 -1.5%
275 IBB ISHARES TR 9,707 $1.6M 0.05% +2K +28.8%
276 SHOP SHOPIFY INC Technology 13,727 $1.6M 0.05% -750 -5.2%
277 MTUM ISHARES TR 6,744 $1.6M 0.05%
278 VIG VANGUARD SPECIALIZED FUNDS 7,512 $1.6M 0.05% +825 +12.3%
279 SCHW SCHWAB CHARLES CORP Financial Services 16,620 $1.6M 0.04% -2K -8.6%
280 ICF ISHARES TR 24,781 $1.5M 0.04% -1K -5.0%
281 SPEM SPDR INDEX SHS FDS 32,650 $1.5M 0.04% -157K -82.8%
282 IWR ISHARES TR 15,578 $1.5M 0.04% +367 +2.4%
283 MS MORGAN STANLEY Financial Services 9,197 $1.5M 0.04% -258 -2.7%
284 SGOV ISHARES TR 14,903 $1.5M 0.04% -5K -23.6%
285 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 20,375 $1.5M 0.04% -2K -8.1%
286 DKS DICKS SPORTING GOODS INC Consumer Cyclical 7,426 $1.5M 0.04% NEW
287 KO COCA COLA CO Consumer Defensive 19,306 $1.5M 0.04% +1K +8.1%
288 ANGL VANECK ETF TRUST 50,367 $1.4M 0.04% -962 -1.9%
289 HAP VANECK ETF TRUST 19,817 $1.4M 0.04% NEW
290 ADI ANALOG DEVICES INC Technology 4,502 $1.4M 0.04% +202 +4.7%
291 WDC WESTERN DIGITAL CORP Technology 5,191 $1.4M 0.04% +1K +26.3%
292 ETN EATON CORP PLC Industrials 3,884 $1.4M 0.04% +23 +0.6%
293 MDT MEDTRONIC PLC Healthcare 15,849 $1.4M 0.04% +2K +11.0%
294 COF CAPITAL ONE FINL CORP Financial Services 7,514 $1.4M 0.04% +2K +40.3%
295 ITA* ISHARES TR 6,258 $1.4M 0.04% +484 +8.4%
296 VERX VERTEX PHARMACEUTICALS INC Technology 3,054 $1.4M 0.04% -248 -7.5%
297 MMM 3M CO Industrials 9,387 $1.4M 0.04% +199 +2.2%
298 FTSM FIRST TR EXCHANGE-TRADED FD 22,762 $1.4M 0.04% NEW
299 WHITE MTNS INS GROUP LTD 617 $1.4M 0.04%
300 XLG INVESCO EXCHANGE TRADED FD T 24,912 $1.4M 0.04% -974 -3.8%
301 XLY SELECT SECTOR SPDR TR 12,368 $1.3M 0.04% -65 -0.5%
302 KKRT KKR & CO INC Financial Services 14,358 $1.3M 0.04% +4K +42.3%
303 XPH SPDR SERIES TRUST 24,324 $1.3M 0.04% NEW
304 SHW SHERWIN WILLIAMS CO Basic Materials 4,092 $1.3M 0.04% +75 +1.9%
305 IWL ISHARES TR 7,943 $1.3M 0.04% -280 -3.4%
306 GIL GILDAN ACTIVEWEAR INC Consumer Cyclical 22,904 $1.3M 0.04% -2K -7.3%
307 LMT LOCKHEED MARTIN CORP Industrials 2,100 $1.3M 0.04% +1K +100.2%
308 GILD GILEAD SCIENCES INC Healthcare 9,627 $1.3M 0.04% +2K +18.6%
309 CL COLGATE PALMOLIVE CO Consumer Defensive 14,669 $1.3M 0.04% +307 +2.1%
310 ASND ASCENDIS PHARMA A/S Healthcare 5,463 $1.2M 0.04% -1K -16.0%
311 MSTR STRATEGY INC Technology 10,007 $1.2M 0.04% +569 +6.0%
312 RBC RBC BEARINGS INC Industrials 2,290 $1.2M 0.04% -410 -15.2%
313 FTLS FIRST TR EXCH TRADED FD III 17,611 $1.2M 0.04% NEW
314 XLC SELECT SECTOR SPDR TR 11,055 $1.2M 0.04% -493 -4.3%
315 ROAD CONSTRUCTION PARTNERS INC Industrials 11,006 $1.2M 0.04% -819 -6.9%
316 LIN LINDE PLC Basic Materials 2,460 $1.2M 0.04% +253 +11.5%
317 FTAIN FTAI AVIATION LTD Industrials 4,959 $1.2M 0.03% -358 -6.7%
318 CCI CROWN CASTLE INC Real Estate 14,879 $1.2M 0.03% +400 +2.8%
319 GRNY TIDAL TRUST I 50,483 $1.2M 0.03% +9K +22.5%
320 RL RALPH LAUREN CORP Consumer Cyclical 3,492 $1.2M 0.03% NEW
321 ASML ASML HLDG NV Technology 908 $1.2M 0.03% +54 +6.3%
322 SBUX STARBUCKS CORP Consumer Cyclical 13,327 $1.2M 0.03% +2K +15.0%
323 OMC OMNICOM GROUP INC Communication Services 15,586 $1.2M 0.03% +2K +14.4%
324 FISV FISERV INC Technology 20,669 $1.2M 0.03% +3K +16.5%
325 WWD WOODWARD INC Industrials 3,210 $1.1M 0.03% +960 +42.7%
326 XNEAX NUVEEN AMT FREE QLTY MUN INC 101,823 $1.1M 0.03% +2K +2.2%
327 AMAT APPLIED MATLS INC Technology 3,327 $1.1M 0.03% +419 +14.4%
328 HYG ISHARES TR 14,148 $1.1M 0.03% +2K +12.3%
329 PFE PFIZER INC Healthcare 39,915 $1.1M 0.03% -8K -16.6%
330 BSSX INVESCO EXCH TRD SLF IDX FD 44,085 $1.1M 0.03% +36K +465.7%
331 IHE ISHARES TR 12,856 $1.1M 0.03% NEW
332 PANW PALO ALTO NETWORKS INC Technology 6,833 $1.1M 0.03% +4K +173.1%
333 RBA RB GLOBAL INC Industrials 11,398 $1.1M 0.03% +747 +7.0%
334 CEFS EXCHANGE LISTED FDS TR 48,209 $1.1M 0.03% +3K +7.0%
335 REGN REGENERON PHARMACEUTICALS Healthcare 1,399 $1.1M 0.03% -110 -7.3%
336 FNF FIDELITY NATL FINL INC Financial Services 23,234 $1.1M 0.03% +1K +5.3%
337 SPYX SPDR SERIES TRUST 20,283 $1.1M 0.03% -276 -1.3%
338 XLV SELECT SECTOR SPDR TR 7,312 $1.1M 0.03% -280 -3.7%
339 XMHQ INVESCO EXCHANGE TRADED FD T 10,368 $1.1M 0.03% -367 -3.4%
340 ARCH CAP GROUP LTD 11,021 $1.1M 0.03% -1K -11.3%
341 VT VANGUARD INTL EQUITY INDEX F 7,645 $1.1M 0.03%
342 BINC BLACKROCK ETF TRUST II 20,106 $1.0M 0.03% +6K +44.7%
343 NVS NOVARTIS AG Healthcare 6,801 $1.0M 0.03% +431 +6.8%
344 AOM ISHARES TR 21,603 $1.0M 0.03% +379 +1.8%
345 RENAISSANCERE HLDGS LTD 3,413 $1.0M 0.03% -696 -16.9%
346 LOW LOWES COS INC Consumer Cyclical 4,293 $1.0M 0.03% +289 +7.2%
347 QLD PROSHARES TR 16,570 $1.0M 0.03%
348 AVEE AMERICAN CENTY ETF TR 15,889 $1.0M 0.03% -2K -13.5%
349 TFC TRUIST FINL CORP Financial Services 21,867 $1.0M 0.03% +1K +5.6%
350 VONV VANGUARD SCOTTSDALE FDS 10,717 $1.0M 0.03%
351 IWS ISHARES TR 6,885 $1.0M 0.03%
352 PPH VANECK ETF TRUST 9,627 $1.0M 0.03% NEW
353 CHUBB LTD SWITZ 3,027 $986K 0.03% -1K -28.2%
354 PWR QUANTA SVCS INC Industrials 1,795 $986K 0.03% +304 +20.4%
355 LH LABCORP HOLDINGS INC Healthcare 3,686 $983K 0.03%
356 ADSK AUTODESK INC Technology 4,100 $982K 0.03% -651 -13.7%
357 NAD NUVEEN QUALITY MUNCP INCOME Financial Services 85,217 $980K 0.03% +2K +2.5%
358 SHY ISHARES TR 11,857 $979K 0.03% -11K -47.9%
359 TLH ISHARES TR 9,659 $973K 0.03% NEW
360 PYPL PAYPAL HLDGS INC Financial Services 21,454 $970K 0.03% -2K -9.9%
361 PGR PROGRESSIVE CORP Financial Services 4,883 $968K 0.03% +2K +100.9%
362 HLI HOULIHAN LOKEY INC Financial Services 6,732 $967K 0.03% -318 -4.5%
363 EZU ISHARES INC 15,380 $963K 0.03% -2K -9.8%
364 BUFR FIRST TR EXCHNG TRADED FD VI 28,325 $957K 0.03% +19K +203.5%
365 URTH ISHARES INC 5,311 $956K 0.03% -90 -1.7%
366 VGT VANGUARD WORLD FD 1,369 $955K 0.03% +41 +3.1%
367 SCHR SCHWAB STRATEGIC TR 38,051 $948K 0.03%
368 VONE VANGUARD SCOTTSDALE FDS 3,201 $945K 0.03% -28 -0.9%
369 BN BROOKFIELD CORP Financial Services 23,308 $943K 0.03% +247 +1.1%
370 AWI ARMSTRONG WORLD INDS INC NEW Industrials 5,720 $943K 0.03% -2K -22.1%
371 SHYM BLACKROCK ETF TRUST II 42,522 $936K 0.03% NEW
372 CSL CARLISLE COS INC Industrials 2,793 $932K 0.03% -714 -20.4%
373 OXY OCCIDENTAL PETE CORP Energy 14,061 $931K 0.03% -5K -26.8%
374 NEM NEWMONT CORP Basic Materials 8,509 $921K 0.03% +1K +13.3%
375 CIBR FIRST TR EXCHANGE-TRADED FD 14,684 $920K 0.03% +483 +3.4%
376 WDFC WD 40 CO Basic Materials 4,498 $917K 0.03% +897 +24.9%
377 NKE NIKE INC Consumer Cyclical 17,330 $915K 0.03% -17K -49.7%
378 BDX BECTON DICKINSON & CO Healthcare 5,814 $914K 0.03% +264 +4.8%
379 PRI PRIMERICA INC Financial Services 3,646 $913K 0.03% -197 -5.1%
380 JBL JABIL INC Technology 3,407 $905K 0.03% -140 -4.0%
381 IOO ISHARES TR 7,449 $901K 0.03% -60 -0.8%
382 DVY ISHARES TR 5,908 $895K 0.03% +246 +4.3%
383 IJK ISHARES TR 8,856 $891K 0.03% -116 -1.3%
384 LHX L3HARRIS TECHNOLOGIES INC Industrials 2,577 $889K 0.03% +86 +3.5%
385 WSO.B WATSCO INC Industrials 2,443 $889K 0.03% -138 -5.3%
386 SDVY FIRST TR EXCHANGE TRADED FD 22,518 $888K 0.03% +1K +5.2%
387 CRWD CROWDSTRIKE HLDGS INC Technology 2,271 $887K 0.03% +318 +16.3%
388 EXE EXPAND ENERGY CORPORATION Energy 8,055 $884K 0.03% -661 -7.6%
389 VTEB VANGUARD MUN BD FDS 17,544 $875K 0.03% NEW
390 TPR TAPESTRY INC Consumer Cyclical 6,142 $867K 0.03% -356 -5.5%
391 TXN TEXAS INSTRS INC Technology 4,462 $866K 0.03% +148 +3.4%
392 SPYM SPDR SERIES TRUST 11,307 $865K 0.03% -1K -11.3%
393 RRC RANGE RES CORP Energy 19,114 $864K 0.02%
394 ADX ADAMS DIVERSIFIED EQUITY FD Financial Services 39,263 $859K 0.02% +10K +33.5%
395 Q QNITY ELECTRONICS INC Technology 7,418 $856K 0.02% NEW
396 NVENT ELEC PLC 7,229 $855K 0.02% -76 -1.0%
397 AJG GALLAGHER ARTHUR J & CO Financial Services 3,943 $854K 0.02% NEW
398 ARMK ARAMARK Industrials 21,005 $852K 0.02% +4K +26.5%
399 SCHC SCHWAB STRATEGIC TR 18,209 $851K 0.02% -100 -0.6%
400 QUAL ISHARES TR 4,437 $851K 0.02% +2K +71.1%
401 BK BANK NEW YORK MELLON CORP Financial Services 7,160 $849K 0.02% +1K +19.9%
402 TRGP TARGA RES CORP Energy 3,353 $841K 0.02%
403 USFR WISDOMTREE TR 16,692 $840K 0.02% +2K +11.2%
404 ANDE ANDERSONS INC Consumer Defensive 11,559 $830K 0.02% -3K -23.0%
405 VGIT VANGUARD SCOTTSDALE FDS 13,918 $829K 0.02% +677 +5.1%
406 BOH BANK HAWAII CORP Financial Services 11,108 $825K 0.02% -647 -5.5%
407 JBTM JBT MAREL CORPORATION Industrials 6,437 $823K 0.02% -497 -7.2%
408 ISRG INTUITIVE SURGICAL INC Healthcare 1,782 $822K 0.02% -86 -4.6%
409 CAKE CHEESECAKE FACTORY INC Consumer Cyclical 14,886 $815K 0.02% -4K -19.8%
410 NVO NOVO-NORDISK A S Healthcare 22,063 $811K 0.02% -2K -7.3%
411 APH AMPHENOL CORP Technology 6,357 $803K 0.02% NEW
412 EFV ISHARES TR 10,774 $801K 0.02% +8K +248.7%
413 AOA ISHARES TR 9,023 $798K 0.02% +347 +4.0%
414 PPG PPG INDS INC Basic Materials 7,439 $795K 0.02% -1K -12.9%
415 AMGN AMGEN INC Healthcare 2,250 $792K 0.02% +364 +19.3%
416 PECO PHILLIPS EDISON & CO INC Real Estate 21,001 $786K 0.02% NEW
417 BUFT FIRST TR EXCHNG TRADED FD VI 31,549 $783K 0.02%
418 AER AERCAP HOLDINGS NV Industrials 5,702 $782K 0.02%
419 PH PARKER-HANNIFIN CORP Industrials 863 $773K 0.02% +23 +2.7%
420 PM PHILIP MORRIS INTL INC Consumer Defensive 4,624 $764K 0.02% +662 +16.7%
421 USHY ISHARES TR 20,692 $762K 0.02% +970 +4.9%
422 IDNA ISHARES TR 26,154 $760K 0.02%
423 RDVI FIRST TR EXCHANGE-TRADED FD 29,414 $752K 0.02% +545 +1.9%
424 O REALTY INCOME CORP Real Estate 12,269 $751K 0.02% -8K -39.0%
425 ZION ZIONS BANCORPORATION NATL AS Financial Services 13,026 $751K 0.02%
426 GARP ISHARES TR 11,718 $750K 0.02% NEW
427 BAM BROOKFIELD ASSET MANAGMT LTD Financial Services 16,774 $746K 0.02% +4K +34.4%
428 FNDF SCHWAB STRATEGIC TR 15,216 $745K 0.02% NEW
429 DNP DNP SELECT INCOME FD INC Financial Services 72,269 $744K 0.02%
430 PBH PRESTIGE CONSMR HEALTHCARE I Healthcare 12,516 $742K 0.02% -897 -6.7%
431 FTQI FIRST TR EXCHANGE TRADED FD 37,235 $742K 0.02% +16K +75.3%
432 GD GENERAL DYNAMICS CORP Industrials 2,130 $731K 0.02% +66 +3.2%
433 THRO BLACKROCK ETF TRUST 20,144 $730K 0.02% NEW
434 IYZ ISHARES TR 18,466 $726K 0.02% NEW
435 BPRE BLUEROCK PVT REAL ESTATE FD 43,534 $723K 0.02% NEW
436 FUL FULLER H B CO Basic Materials 11,642 $718K 0.02% -1K -9.0%
437 PLD PROLOGIS INC. Real Estate 5,418 $716K 0.02% -134 -2.4%
438 ONEQ FIDELITY COMWLTH TR 8,415 $715K 0.02% -117 -1.4%
439 INTC INTEL CORP Technology 16,037 $708K 0.02% +2K +12.7%
440 COWZ PACER FDS TR 11,269 $705K 0.02% NEW
441 IRM IRON MTN INC DEL Real Estate 6,889 $704K 0.02% NEW
442 KEY KEYCORP Financial Services 35,077 $703K 0.02% +3K +9.0%
443 RWJ INVESCO EXCH TRADED FD TR II 13,878 $701K 0.02% +4K +37.1%
444 MRK MERCK & CO INC Healthcare 5,747 $691K 0.02% +896 +18.5%
445 EQT EQT CORP Energy 10,845 $690K 0.02% +3K +38.8%
446 AGOX STARBOARD INVT TR 25,801 $687K 0.02%
447 IWN ISHARES TR 3,572 $677K 0.02% -135 -3.6%
448 NOC NORTHROP GRUMMAN CORP Industrials 993 $677K 0.02% -27 -2.6%
449 HLMN HILLMAN SOLUTIONS CORP Industrials 80,993 $674K 0.02% -7K -7.5%
450 WMG WARNER MUSIC GROUP CORP Communication Services 26,328 $672K 0.02%
451 HESM HESS MIDSTREAM LP Energy 17,225 $670K 0.02% +10K +138.4%
452 CBRE CBRE GROUP INC Real Estate 4,922 $667K 0.02% +746 +17.9%
453 NXPI NXP SEMICONDUCTORS N V Technology 3,382 $666K 0.02% +2K +127.3%
454 EOG EOG RES INC Energy 4,602 $665K 0.02% -2K -35.1%
455 RCKT ROCKET LAB CORP Healthcare 10,294 $661K 0.02% -769 -7.0%
456 STT STATE STR CORP Financial Services 5,189 $657K 0.02% -50 -0.9%
457 EEMS ISHARES INC 9,467 $655K 0.02% -400 -4.0%
458 GTY GETTY RLTY CORP NEW Real Estate 20,584 $655K 0.02% -1K -5.4%
459 IM8N INSMED INC 3,994 $653K 0.02% +2K +68.4%
460 CSW CSW INDUSTRIALS INC Industrials 2,502 $652K 0.02% -248 -9.0%
461 HAS HASBRO INC Consumer Cyclical 6,953 $651K 0.02% -395 -5.4%
462 PNR PENTAIR PLC Industrials 7,465 $650K 0.02% -83 -1.1%
463 TIP ISHARES TR 5,870 $648K 0.02%
464 XTL SPDR SERIES TRUST 3,407 $641K 0.02% +135 +4.1%
465 KHC KRAFT HEINZ CO Consumer Defensive 28,297 $636K 0.02% +2K +6.1%
466 AVY AVERY DENNISON CORP Industrials 3,676 $635K 0.02%
467 LKQ1 LKQ CORP 21,549 $633K 0.02%
468 IYH ISHARES TR 10,190 $628K 0.02% NEW
469 DFAS DIMENSIONAL ETF TRUST 8,813 $627K 0.02%
470 BE BLOOM ENERGY CORP Industrials 4,570 $619K 0.02%
471 CMCSA COMCAST CORP NEW Communication Services 20,963 $618K 0.02% +5K +29.2%
472 WM WASTE MGMT INC DEL Industrials 2,686 $617K 0.02% +134 +5.2%
473 PKG PACKAGING CORP AMER Consumer Cyclical 2,904 $616K 0.02% -157 -5.1%
474 LPG DORIAN LPG LTD Energy 18,000 $616K 0.02%
475 LSTR LANDSTAR SYS INC Industrials 3,833 $614K 0.02% -510 -11.7%
476 MLM MARTIN MARIETTA MATLS INC Basic Materials 1,043 $614K 0.02% +299 +40.2%
477 EMR EMERSON ELEC CO Industrials 4,672 $612K 0.02%
478 UNF UNIFIRST CORP MASS Industrials 2,423 $610K 0.02% -1K -34.1%
479 VNLA JANUS DETROIT STR TR 12,455 $609K 0.02% -110 -0.9%
480 RHRX STARBOARD INVT TR 31,904 $606K 0.02%
481 BKR BAKER HUGHES COMPANY Energy 9,897 $604K 0.02% +590 +6.3%
482 BOTZ GLOBAL X FDS 18,167 $604K 0.02%
483 UL UNILEVER PLC Consumer Defensive 10,533 $600K 0.02% +4K +70.3%
484 SYBT STOCK YDS BANCORP INC Financial Services 9,052 $600K 0.02% -606 -6.3%
485 ALLE ALLEGION PLC Industrials 4,102 $596K 0.02% +1K +53.0%
486 SITE SITEONE LANDSCAPE SUPPLY INC Industrials 4,475 $596K 0.02% -266 -5.6%
487 HCA HCA HEALTHCARE INC Healthcare 1,255 $594K 0.02% +34 +2.8%
488 AVDE AMERICAN CENTY ETF TR 6,973 $592K 0.02% -584 -7.7%
489 INGR INGREDION INC Consumer Defensive 5,206 $587K 0.02%
490 LPLA LPL FINL HLDGS INC Financial Services 1,948 $586K 0.02% +38 +2.0%
491 BSX BOSTON SCIENTIFIC CORP Healthcare 9,305 $584K 0.02% +391 +4.4%
492 XLB SELECT SECTOR SPDR TR 11,611 $580K 0.02% +3K +28.5%
493 TYG TORTOISE ENERGY INFRSTRCTR C Financial Services 11,581 $577K 0.02% +5K +66.5%
494 DDS DILLARDS INC Consumer Cyclical 1,000 $572K 0.02% NEW
495 BX BLACKSTONE INC Financial Services 4,972 $572K 0.02% +970 +24.2%
496 RIO RIO TINTO PLC Basic Materials 6,108 $570K 0.02% +340 +5.9%
497 ALH ALLIANCE LAUNDRY HLDGS INC Consumer Cyclical 27,414 $569K 0.02% NEW
498 SNDK SANDISK CORP Technology 894 $568K 0.02% NEW
499 NJUL INNOVATOR ETFS TRUST 7,944 $567K 0.02%
500 NTRA NATERA INC Healthcare 2,781 $556K 0.02% -93 -3.2%
501 ITW ILLINOIS TOOL WKS INC Industrials 2,136 $556K 0.02% -106 -4.7%
502 EVTC EVERTEC INC Technology 19,669 $555K 0.02% -1K -6.6%
503 RQI COHEN & STEERS QUALITY INCOM Financial Services 45,872 $553K 0.02% +4K +9.6%
504 EXPD EXPEDITORS INTL WASH INC Industrials 3,854 $552K 0.02% -414 -9.7%
505 VHT VANGUARD WORLD FD 2,023 $551K 0.02% +207 +11.4%
506 JCI JOHNSON CONTROLS INTERNATION Industrials 4,193 $549K 0.02% +188 +4.7%
507 THO THOR INDS INC Consumer Cyclical 6,870 $549K 0.02% -448 -6.1%
508 INTU INTUIT Technology 1,269 $549K 0.02% +23 +1.9%
509 BRC BRADY CORP Industrials 6,731 $547K 0.02% NEW
510 FFIN FIRST FINL BANKSHARES INC Financial Services 18,567 $547K 0.02% -1K -6.3%
511 IAG IAMGOLD CORP Basic Materials 29,000 $546K 0.01%
512 ROKU ROKU INC Communication Services 5,742 $543K 0.01% -414 -6.7%
513 EDIV SPDR INDEX SHS FDS 13,732 $542K 0.01%
514 SEIC SEI INVTS CO Financial Services 6,897 $541K 0.01% -531 -7.2%
515 GL GLOBE LIFE INC Financial Services 3,888 $541K 0.01% +648 +20.0%
516 DVYE ISHARES INC 15,603 $536K 0.01% +6K +70.6%
517 VPU VANGUARD WORLD FD 2,701 $535K 0.01% +651 +31.8%
518 JLL JONES LANG LASALLE INC Real Estate 1,749 $532K 0.01% NEW
519 WAT WATERS CORP Healthcare 1,756 $523K 0.01% NEW
520 SPHY SPDR SERIES TRUST 22,272 $519K 0.01% +434 +2.0%
521 CI THE CIGNA GROUP Healthcare 2,230 $518K 0.01% +565 +33.9%
522 WRB BERKLEY W R CORP Financial Services 7,816 $518K 0.01%
523 LRCX LAM RESEARCH CORP Technology 2,412 $515K 0.01% +343 +16.6%
524 AXON AXON ENTERPRISE INC Industrials 1,211 $514K 0.01% +324 +36.5%
525 UBER UBER TECHNOLOGIES INC Technology 7,139 $513K 0.01% +950 +15.3%
526 CHH CHOICE HOTELS INTL INC Consumer Cyclical 4,930 $510K 0.01% -340 -6.5%
527 XLRE SELECT SECTOR SPDR TR 12,430 $508K 0.01% -9K -42.2%
528 GIS GENERAL MILLS INC Consumer Defensive 13,587 $506K 0.01% +120 +0.9%
529 MKSI MKS INC. Technology 2,200 $506K 0.01% -495 -18.4%
530 ISCG ISHARES TR 9,212 $505K 0.01% -194 -2.1%
531 IUSG ISHARES TR 3,253 $505K 0.01% -1K -28.2%
532 MPC MARATHON PETE CORP Energy 2,062 $503K 0.01% -75 -3.5%
533 PCVX VAXCYTE INC Healthcare 8,647 $502K 0.01% -840 -8.8%
534 USB US BANCORP Financial Services 9,658 $502K 0.01% +672 +7.5%
535 DHS WISDOMTREE TR 4,584 $501K 0.01%
536 EPD ENTERPRISE PRODS PARTNERS L Energy 13,225 $500K 0.01% +2K +20.8%
537 PRU PRUDENTIAL FINL INC Financial Services 5,074 $496K 0.01% -290 -5.4%
538 SLB SLB LIMITED Energy 9,099 $493K 0.01% +834 +10.1%
539 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 3,898 $489K 0.01% +2K +76.9%
540 DEUS DBX ETF TR 8,117 $486K 0.01% -131 -1.6%
541 PULS PGIM ETF TR 9,762 $483K 0.01% NEW
542 MO ALTRIA GROUP INC Consumer Defensive 7,278 $480K 0.01% +1K +21.3%
543 RLI RLI CORP Financial Services 8,370 $477K 0.01% -588 -6.6%
544 YUM YUM BRANDS INC Consumer Cyclical 3,049 $474K 0.01% -224 -6.8%
545 ENB ENBRIDGE INC Energy 8,747 $474K 0.01% +3K +51.0%
546 FDX FEDEX CORP Industrials 1,327 $473K 0.01% +161 +13.8%
547 NSC NORFOLK SOUTHN CORP Industrials 1,644 $472K 0.01% +856 +108.6%
548 CGBD CARLYLE SECURED LENDING INC Financial Services 43,047 $471K 0.01% +26K +145.5%
549 HBC2 HSBC HLDGS PLC 5,639 $465K 0.01% +709 +14.4%
550 DUK DUKE ENERGY CORP NEW Utilities 3,528 $462K 0.01%
551 LUMN LUMEN TECHNOLOGIES INC Communication Services 66,282 $461K 0.01% +5K +8.5%
552 IOT SAMSARA INC Technology 14,462 $458K 0.01% +4K +43.5%
553 MDY STATE STR SPDR S&P MIDCAP 40 Financial Services 742 $458K 0.01% +294 +65.6%
554 SLYG SPDR SERIES TRUST 4,734 $457K 0.01% -484 -9.3%
555 SN SHARKNINJA INC Consumer Cyclical 4,262 $451K 0.01% -421 -9.0%
556 DTCR GLOBAL X FDS 18,673 $447K 0.01% +783 +4.4%
557 FTI TECHNIPFMC PLC Energy 6,464 $447K 0.01% -258 -3.8%
558 TT TRANE TECHNOLOGIES PLC Industrials 1,071 $446K 0.01% -14 -1.3%
559 VCLT VANGUARD SCOTTSDALE FDS 5,970 $446K 0.01% +61 +1.0%
560 BILS SPDR SERIES TRUST 4,456 $443K 0.01% -1K -18.8%
561 ATFV THE ALGER ETF TRUST 14,069 $441K 0.01% -3K -17.8%
562 BLOK AMPLIFY ETF TR 8,766 $437K 0.01% +3K +41.8%
563 SOJF SOUTHERN CO Utilities 4,510 $435K 0.01% +979 +27.7%
564 SPHD INVESCO EXCH TRADED FD TR II 8,863 $435K 0.01% -655 -6.9%
565 CLH CLEAN HARBORS INC Industrials 1,515 $434K 0.01% -100 -6.2%
566 WST WEST PHARMACEUTICAL SVSC INC Healthcare 1,729 $433K 0.01%
567 AMP AMERIPRISE FINL INC Financial Services 972 $432K 0.01% +44 +4.7%
568 IGIB ISHARES TR 8,109 $432K 0.01% -59 -0.7%
569 FIZZ NATIONAL BEVERAGE CORP Consumer Defensive 12,818 $431K 0.01% -829 -6.1%
570 BROS DUTCH BROS INC Consumer Cyclical 8,499 $431K 0.01% +1K +14.8%
571 FJUN FIRST TR EXCHNG TRADED FD VI 7,602 $430K 0.01%
572 CEMB ISHARES INC 9,437 $427K 0.01%
573 LECO LINCOLN ELEC HLDGS INC Industrials 1,714 $427K 0.01% -185 -9.7%
574 XPO XPO INC Industrials 2,194 $427K 0.01% -6K -71.5%
575 DGRW WISDOMTREE TR 4,837 $425K 0.01% +170 +3.6%
576 BUFG FIRST TR EXCHNG TRADED FD VI 15,813 $425K 0.01%
577 PVI INVESCO EXCH TRADED FD TR II 17,004 $423K 0.01% -1K -7.2%
578 FHLC FIDELITY COVINGTON TRUST 6,003 $422K 0.01%
579 FLRN SPDR SERIES TRUST 13,669 $421K 0.01% +912 +7.2%
580 AME AMETEK INC Industrials 1,948 $418K 0.01% +375 +23.8%
581 SPIB SPDR SERIES TRUST 12,396 $416K 0.01%
582 BSCY INVESCO EXCH TRD SLF IDX FD 19,951 $413K 0.01% NEW
583 FALN ISHARES TR 15,316 $409K 0.01% +7K +83.7%
584 AS AMER SPORTS INC Consumer Cyclical 12,430 $409K 0.01% NEW
585 CASY CASEYS GEN STORES INC Consumer Cyclical 559 $407K 0.01% +28 +5.3%
586 RYTM RHYTHM PHARMACEUTICALS INC Healthcare 4,650 $404K 0.01% +1K +30.2%
587 FTMH PUTNAM ETF TRUST 34,937 $403K 0.01% NEW
588 AR ANTERO RESOURCES CORP Energy 9,451 $401K 0.01%
589 IMO IMPERIAL OIL LTD Energy 3,061 $400K 0.01%
590 PTY PIMCO CORPORATE & INCOME OPP Financial Services 33,070 $399K 0.01%
591 CAH CARDINAL HEALTH INC Healthcare 1,887 $399K 0.01% +780 +70.5%
592 PJUL INNOVATOR ETFS TRUST 8,659 $398K 0.01% -466 -5.1%
593 SHEL SHELL PLC Energy 4,269 $397K 0.01% +484 +12.8%
594 TM TOYOTA MOTOR CORP Consumer Cyclical 1,926 $397K 0.01% +318 +19.8%
595 IEX IDEX CORP Industrials 2,090 $396K 0.01% -187 -8.2%
596 MTZ MASTEC INC Industrials 1,231 $396K 0.01% NEW
597 FFIV F5 INC Technology 1,365 $395K 0.01% -110 -7.5%
598 ELV ELEVANCE HEALTH INC FORMERLY Healthcare 1,345 $394K 0.01% -144 -9.7%
599 FLTR VANECK ETF TRUST 15,449 $394K 0.01% NEW
600 GH GUARDANT HEALTH INC Healthcare 4,259 $393K 0.01% NEW
601 CNQ CANADIAN NAT RES LTD MED TER Energy 8,033 $391K 0.01% +544 +7.3%
602 CHRW C H ROBINSON WORLDWIDE IN Industrials 2,348 $390K 0.01% -962 -29.1%
603 SWK STANLEY BLACK & DECKER INC Industrials 5,469 $389K 0.01% -510 -8.5%
604 GM GENERAL MTRS CO Consumer Cyclical 5,175 $386K 0.01% +152 +3.0%
605 SEAGATE TECHNOLOGY HLDNGS PL 975 $382K 0.01% +121 +14.2%
606 WY WEYERHAEUSER CO Real Estate 15,610 $381K 0.01% -1K -7.4%
607 TQQQ PROSHARES TR 9,149 $381K 0.01%
608 B BARRICK MNG CORP Basic Materials 9,327 $380K 0.01% +208 +2.3%
609 BHP BHP BILLITON LIMITED Basic Materials 5,230 $380K 0.01% +499 +10.6%
610 TFLO ISHARES TR 7,513 $380K 0.01% +3K +61.6%
611 ZTS ZOETIS INC Healthcare 3,212 $380K 0.01% -356 -10.0%
612 UBS UBS GROUP AG Financial Services 9,703 $379K 0.01% +3K +46.6%
613 ESGE ISHARES INC 8,331 $379K 0.01% -93 -1.1%
614 ALAB ASTERA LABS INC Technology 3,441 $377K 0.01% +2K +130.5%
615 PR PERMIAN RESOURCES CORP Energy 17,569 $375K 0.01% -1K -7.6%
616 ADBE ADOBE INC Technology 1,530 $372K 0.01% -10 -0.7%
617 EMXC ISHARES INC 4,727 $372K 0.01% NEW
618 TMUS T-MOBILE US INC Communication Services 1,765 $371K 0.01% +626 +55.0%
619 QTEC FIRST TR EXCHANGE-TRADED FD 1,705 $368K 0.01% -131 -7.1%
620 JKHY HENRY JACK & ASSOC INC Technology 2,329 $368K 0.01% -116 -4.7%
621 ARTY ISHARES TR 7,880 $367K 0.01% NEW
622 JAAA JANUS DETROIT STR TR 7,276 $367K 0.01% NEW
623 DAL DELTA AIR LINES INC Industrials 5,486 $365K 0.01% +355 +6.9%
624 WYNN WYNN RESORTS LTD Consumer Cyclical 3,587 $364K 0.01% +341 +10.5%
625 DBEF DBX ETF TR 7,372 $364K 0.01% +93 +1.3%
626 SDY SPDR SERIES TRUST 2,493 $364K 0.01% -55 -2.2%
627 REZ ISHARES TR 4,364 $363K 0.01% NEW
628 CELH CELSIUS HLDGS INC Consumer Defensive 10,227 $363K 0.01% +1K +15.4%
629 ABVX ABIVAX SA Healthcare 3,240 $361K 0.01% +444 +15.9%
630 XRAY DENTSPLY SIRONA INC Healthcare 31,068 $360K 0.01% +463 +1.5%
631 BTT BLACKROCK MUN TARGET TERM TR Financial Services 15,769 $358K 0.01% +384 +2.5%
632 EMB ISHARES TR 3,806 $358K 0.01% -68 -1.8%
633 PFF ISHARES TR 11,789 $357K 0.01% +183 +1.6%
634 ESGD ISHARES TR 3,736 $357K 0.01% -85 -2.2%
635 COIN COINBASE GLOBAL INC Financial Services 2,040 $356K 0.01% -43 -2.1%
636 HWM HOWMET AEROSPACE INC Industrials 1,544 $356K 0.01% +202 +15.1%
637 CSX CSX CORP Industrials 8,665 $356K 0.01% +525 +6.5%
638 STIP ISHARES TR 3,438 $356K 0.01% +228 +7.1%
639 XYZ BLOCK INC Technology 5,888 $354K 0.01% -2K -23.1%
640 HIG HARTFORD INSURANCE GROUP INC Financial Services 2,607 $353K 0.01% +56 +2.2%
641 GBTC GRAYSCALE BITCOIN TRUST ETF Financial Services 6,677 $352K 0.01% -1K -16.0%
642 DT DYNATRACE INC Technology 9,521 $352K 0.01% +1K +13.2%
643 ANET ARISTA NETWORKS INC Technology 2,862 $351K 0.01% +870 +43.7%
644 UPS UNITED PARCEL SVCS INC Industrials 3,565 $351K 0.01% +1K +48.5%
645 BMY BRISTOL-MYERS SQUIBB CO Healthcare 5,773 $350K 0.01% -2K -26.0%
646 KIE SPDR SERIES TRUST 6,354 $349K 0.01% -55 -0.9%
647 DOV DOVER CORP Industrials 1,664 $347K 0.01% NEW
648 PAA PLAINS ALL AMERN PIPELINE L Energy 15,460 $345K 0.01% NEW
649 VYMI VANGUARD WHITEHALL FDS 3,620 $341K 0.01% -38 -1.0%
650 IHI ISHARES TR 6,393 $341K 0.01% -2K -19.2%
651 SYLD CAMBRIA ETF TR 4,491 $339K 0.01% -61 -1.3%
652 GSY INVESCO ACTIVELY MANAGED EXC 6,721 $337K 0.01% NEW
653 F FORD MTR CO Consumer Cyclical 29,149 $336K 0.01% +2K +6.3%
654 PBR PETROLEO BRASILEIRO S A Energy 16,149 $335K 0.01% +511 +3.3%
655 NRG NRG ENERGY INC Utilities 2,291 $335K 0.01% -383 -14.3%
656 ALL ALLSTATE CORP Financial Services 1,614 $335K 0.01% +105 +7.0%
657 RY ROYAL BK CDA Financial Services 2,054 $332K 0.01% +256 +14.2%
658 TTE TOTALENERGIES SE Energy 3,624 $330K 0.01% NEW
659 IBN ICICI BANK LIMITED Financial Services 12,730 $330K 0.01% +654 +5.4%
660 SU SUNCOR ENERGY INC NEW Energy 4,985 $330K 0.01% -655 -11.6%
661 CRCL CIRCLE INTERNET GROUP INC Financial Services 3,452 $329K 0.01% NEW
662 ILMN ILLUMINA INC Healthcare 2,666 $329K 0.01% -1K -30.0%
663 DON STATE STR SPDR DOW JONES IND 706 $327K 0.01% NEW
664 DSI ISHARES TR 2,683 $325K 0.01% +737 +37.9%
665 RVMD REVOLUTION MEDICINES INC Healthcare 3,327 $324K 0.01% -4K -54.6%
666 IWO ISHARES TR 1,025 $322K 0.01% -53 -4.9%
667 KGC KINROSS GOLD CORP Basic Materials 10,492 $320K 0.01% -409 -3.8%
668 TRV TRAVELERS COMPANIES INC Financial Services 1,093 $319K 0.01% +81 +8.0%
669 MCHP MICROCHIP TECHNOLOGY INC. Technology 4,934 $319K 0.01% NEW
670 RRR RED ROCK RESORTS INC Consumer Cyclical 5,962 $318K 0.01% -468 -7.3%
671 RRX REGAL REXNORD CORPORATION Industrials 1,693 $317K 0.01% -721 -29.9%
672 HYD VANECK ETF TRUST 6,304 $316K 0.01%
673 DD DUPONT DE NEMOURS INC Basic Materials 6,894 $316K 0.01% +86 +1.3%
674 ETHE GRAYSCALE ETHEREUM STAKING E Financial Services 18,418 $314K 0.01% +2K +10.2%
675 HPE HEWLETT PACKARD ENTERPRISE C Technology 13,201 $314K 0.01% -4K -25.0%
676 FQI DIGITAL RLTY TR INC 1,737 $313K 0.01% NEW
677 GDX VANECK ETF TRUST 3,397 $312K 0.01% +575 +20.4%
678 MRSH MARSH & MCLENNAN COS INC Financial Services 1,792 $311K 0.01% +72 +4.2%
679 LTPZ PIMCO ETF TR 6,070 $310K 0.01% -60 -1.0%
680 IQLT ISHARES TR 6,656 $308K 0.01% NEW
681 BITB BITWISE BITCOIN ETF TR Financial Services 8,304 $306K 0.01% -2K -20.1%
682 HTFL HEARTFLOW INC Healthcare 12,549 $305K 0.01% NEW
683 PNC PNC FINL SVCS GROUP INC Financial Services 1,459 $304K 0.01% +95 +7.0%
684 AVUS AMERICAN CENTY ETF TR 2,718 $302K 0.01% -495 -15.4%
685 PSTG EVERPURE INC Technology 5,117 $302K 0.01% -310 -5.7%
686 DFSU DIMENSIONAL ETF TRUST 7,302 $300K 0.01% +549 +8.1%
687 NOBL PROSHARES TR 2,828 $300K 0.01% +210 +8.0%
688 BBVA BANCO BILBAO VIZCAYA ARGENTA Financial Services 13,749 $298K 0.01% +839 +6.5%
689 MET METLIFE INC Financial Services 5,158 $297K 0.01% +103 +2.0%
690 PHYS/U SPROTT ASSET MANAGEMENT LP 8,366 $296K 0.01% +385 +4.8%
691 IJT ISHARES TR 2,046 $296K 0.01% -176 -7.9%
692 CCO CAMECO CORP Communication Services 2,718 $295K 0.01%
693 VFH VANGUARD WORLD FD 2,436 $294K 0.01% +643 +35.9%
694 CRWV COREWEAVE INC Technology 3,786 $293K 0.01% NEW
695 OWL BLUE OWL CAPITAL INC Financial Services 32,119 $293K 0.01% +560 +1.8%
696 CLS CELESTICA INC Technology 1,041 $293K 0.01% +22 +2.2%
697 WMB WILLIAMS COS INC Energy 4,002 $291K 0.01% -729 -15.4%
698 HSY HERSHEY CO Consumer Defensive 1,396 $290K 0.01% +79 +6.0%
699 ESGV VANGUARD WORLD FD 2,584 $290K 0.01%
700 IDOG ALPS ETF TR 6,960 $290K 0.01%
701 INDA ISHARES TR 6,114 $286K 0.01% -3K -35.7%
702 AEP AMERICAN ELEC PWR CO INC Utilities 2,182 $286K 0.01% +128 +6.2%
703 AGZ ISHARES TR 2,604 $286K 0.01% -47 -1.8%
704 HUBS HUBSPOT INC Technology 1,163 $284K 0.01% +402 +52.8%
705 URI UNITED RENTALS INC Industrials 387 $282K 0.01% +60 +18.4%
706 OEF ISHARES TR 884 $281K 0.01% -73 -7.6%
707 DUT MOODYS CORP 639 $279K 0.01% NEW
708 RGTI RIGETTI COMPUTING INC Technology 19,575 $275K 0.01% +9K +88.8%
709 TAN INVESCO EXCH TRADED FD TR II 4,896 $273K 0.01% +84 +1.8%
710 CNR CORE NATURAL RESOURCES INC Energy 2,604 $273K 0.01% -40 -1.5%
711 PEG PUBLIC SVC ENTERPRISE GROUP Utilities 3,350 $271K 0.01% -586 -14.9%
712 KTOS KRATOS DEFENSE & SEC SOLUTIO Industrials 3,844 $271K 0.01% NEW
713 IEO* ISHARES TR 2,166 $271K 0.01% NEW
714 APG API GROUP CORP Industrials 6,634 $269K 0.01% -661 -9.1%
715 MEC MAYVILLE ENGR CO INC Industrials 14,919 $268K 0.01%
716 ABNB AIRBNB INC Consumer Cyclical 2,118 $267K 0.01% -34 -1.6%
717 MAIN MAIN STR CAP CORP Financial Services 5,024 $266K 0.01% +1K +28.1%
718 IBP INSTALLED BLDG PRODS INC Consumer Cyclical 1,003 $266K 0.01% NEW
719 WBD WARNER BROS DISCOVERY INC Communication Services 9,662 $265K 0.01% +194 +2.0%
720 XCEM COLUMBIA ETF TR II 6,499 $265K 0.01%
721 BMNR BITMINE IMMERSION TECNOLOGIE Financial Services 13,378 $265K 0.01% +3K +26.8%
722 NOW SERVICENOW INC Technology 2,511 $262K 0.01% -621 -19.8%
723 ELBIT SYS LTD 308 $262K 0.01% NEW
724 VXF VANGUARD INDEX FDS 1,261 $260K 0.01% -44 -3.4%
725 VDC VANGUARD WORLD FD 1,154 $259K 0.01% NEW
726 DCOR DIMENSIONAL ETF TRUST 3,569 $257K 0.01%
727 SOFI SOFI TECHNOLOGIES INC Financial Services 15,978 $254K 0.01% NEW
728 VGLT VANGUARD SCOTTSDALE FDS 4,572 $253K 0.01%
729 EQR EQUITY RESIDENTIAL Real Estate 4,258 $252K 0.01% -1K -22.5%
730 DYH TARGET CORP 2,077 $252K 0.01% NEW
731 QYLD GLOBAL X FDS 14,658 $251K 0.01% -204 -1.4%
732 3M4 MASIMO CORP 1,410 $251K 0.01% -2K -62.9%
733 NUE NUCOR CORP Basic Materials 1,483 $251K 0.01% +17 +1.2%
734 UAL UNITED AIRLS HLDGS INC Industrials 2,711 $250K 0.01% +608 +28.9%
735 RHTX STARBOARD INVT TR 13,466 $249K 0.01%
736 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 905 $249K 0.01% -148 -14.1%
737 COHR COHERENT CORP Technology 1,045 $249K 0.01% -280 -21.1%
738 DBP INVESCO DB MULTI-SECTOR COMM Financial Services 2,242 $247K 0.01% NEW
739 NUBD NUSHARES ETF TR 11,091 $246K 0.01% -82 -0.7%
740 AFRM AFFIRM HLDGS INC Technology 5,368 $246K 0.01% +355 +7.1%
741 DIVI FRANKLIN TEMPLETON ETF TR 6,157 $245K 0.01%
742 FN FABRINET Technology 469 $245K 0.01% NEW
743 ETHA ISHARES ETHEREUM TR Financial Services 15,437 $244K 0.01% +800 +5.5%
744 EMLP FIRST TR EXCHANGE-TRADED FD 5,595 $244K 0.01% NEW
745 TOST TOAST INC Technology 9,208 $244K 0.01% +2K +30.3%
746 CSGS CSG SYS INTL INC Technology 3,042 $243K 0.01% +21 +0.7%
747 USA LIBERTY ALL STAR EQUITY FD Financial Services 43,577 $242K 0.01%
748 SAP SAP SE Technology 1,392 $238K 0.01% -22 -1.6%
749 HASI HA SUSTAINABLE INFRA CAP INC Financial Services 6,432 $236K 0.01%
750 NXP NUVEEN SELECT TAX-FREE INCOM Financial Services 16,388 $235K 0.01%
751 XBI SPDR SERIES TRUST 1,839 $235K 0.01% NEW
752 DAC DANAOS CORPORATION Industrials 2,083 $235K 0.01% NEW
753 MBB ISHARES TR 2,459 $233K 0.01% -44 -1.8%
754 LUV SOUTHWEST AIRLS CO Industrials 6,179 $232K 0.01% NEW
755 BSMU INVESCO EXCH TRD SLF IDX FD 10,636 $232K 0.01% +1K +15.4%
756 STEL STELLAR BANCORP INC Financial Services 6,333 $232K 0.01% -6K -48.6%
757 PFFD GLOBAL X FDS 12,546 $231K 0.01% +954 +8.2%
758 LULU LULULEMON ATHLETICA INC Consumer Cyclical 1,506 $231K 0.01% NEW
759 SPIN SSGA ACTIVE TR 7,500 $229K 0.01% NEW
760 AMT AMERICAN TOWER CORP Real Estate 1,326 $229K 0.01% NEW
761 GLW CORNING INC Technology 1,682 $229K 0.01% NEW
762 MDLZ MONDELEZ INTL INC Consumer Defensive 4,651 $227K 0.01% -311 -6.3%
763 CVS CVS HEALTH CORP Healthcare 3,164 $227K 0.01% +216 +7.3%
764 TTWO TAKE-TWO INTERACTIVE SOFTWAR Communication Services 1,150 $227K 0.01% +8 +0.7%
765 SONY SONY GROUP CORP Technology 10,956 $227K 0.01% +1K +11.8%
766 UGI UGI CORP NEW Utilities 6,215 $226K 0.01% NEW
767 FVD FIRST TR EXCHANGE-TRADED FD 4,812 $226K 0.01% +436 +10.0%
768 IUSB ISHARES TR 4,877 $225K 0.01% -70 -1.4%
769 ROL ROLLINS INC Consumer Cyclical 4,216 $225K 0.01% +148 +3.6%
770 TD TORONTO DOMINION BK ONT Financial Services 2,400 $224K 0.01% +233 +10.8%
771 SNY SANOFI SA Healthcare 4,638 $223K 0.01% +353 +8.2%
772 AIG AMERICAN INTL GROUP INC Financial Services 2,966 $223K 0.01% NEW
773 WTRG ESSENTIAL UTILS INC Utilities 5,540 $223K 0.01% NEW
774 MCK MCKESSON CORP Healthcare 256 $222K 0.01% NEW
775 NBH NEUBERGER MUN FD INC Financial Services 21,707 $220K 0.01% +490 +2.3%
776 DAVE DAVE INC Technology 1,259 $219K 0.01% -791 -38.6%
777 FDS FACTSET RESH SYS INC Financial Services 1,006 $218K 0.01% -112 -10.0%
778 SMTC SEMTECH CORP Technology 2,838 $218K 0.01% -2K -41.0%
779 WIT WIPRO LTD Technology 102,909 $218K 0.01% +48K +88.1%
780 MINT PIMCO ETF TR 2,166 $218K 0.01% -993 -31.4%
781 AFL AFLAC INC Financial Services 1,975 $217K 0.01% NEW
782 TECH BIO-TECHNE CORP Healthcare 4,132 $216K 0.01% -2K -27.2%
783 CMI CUMMINS INC Industrials 400 $215K 0.01% NEW
784 XEL XCEL ENERGY INC Utilities 2,706 $215K 0.01% NEW
785 KBIA KB FINL GROUP INC 2,152 $215K 0.01% NEW
786 EBAY EBAY INC. Consumer Cyclical 2,356 $214K 0.01% NEW
787 NLR VANECK ETF TRUST 1,606 $214K 0.01% NEW
788 BUD ANHEUSER BUSCH INBEV SA NV Consumer Defensive 3,073 $213K 0.01% NEW
789 NMI NUVEEN MUN INCOME FD INC Financial Services 20,370 $213K 0.01% NEW
790 SLQD ISHARES TR 4,199 $212K 0.01%
791 CP CANADIAN PACIFIC KANSAS CITY Industrials 2,684 $211K 0.01% NEW
792 GRC GORMAN RUPP CO Industrials 3,386 $210K 0.01% NEW
793 IFF INTERNATIONAL FLAVORS&FRAGRA Basic Materials 2,882 $209K 0.01% NEW
794 EMHY ISHARES INC 5,299 $209K 0.01% -25K -82.5%
795 EIX EDISON INTL Utilities 2,822 $207K 0.01% NEW
796 HYMB SPDR SERIES TRUST 8,210 $204K 0.01%
797 FTNT FORTINET INC Technology 2,488 $203K 0.01% NEW
798 TLN TALEN ENERGY CORP Utilities 632 $202K 0.01% -57 -8.3%
799 LPL LG DISPLAY CO LTD Technology 51,353 $199K 0.01% +32K +160.4%
800 HCXY HERCULES CAPITAL INC Financial Services 12,774 $189K 0.01% NEW
801 NMZ NUVEEN MUN HIGH INCOME OPPOR Financial Services 17,825 $185K 0.01% NEW
802 GBDC GOLUB CAP BDC INC Financial Services 14,508 $184K 0.01% NEW
803 ADPT ADAPTIVE BIOTECHNOLOGIES COR Healthcare 12,915 $179K 0.01% +1K +12.0%
804 OBDC BLUE OWL CAPITAL CORPORATION Financial Services 15,593 $172K 0.01% NEW
805 CION CION INVT CORP Financial Services 24,806 $170K 0.01% NEW
806 PFLT PENNANTPARK FLOATING RATE CA Financial Services 20,751 $167K 0.01% NEW
807 IE IVANHOE ELECTRIC INC Technology 13,273 $157K 0.00%
808 IIM INVESCO VALUE MUN INCOME TR Financial Services 12,600 $153K 0.00%
809 NIM NUVEEN SELECT MAT MUN FD Financial Services 16,066 $152K 0.00%
810 IQI INVESCO QUALITY MUN INCOME T Financial Services 15,700 $151K 0.00%
811 AGNC AGNC INVT CORP Real Estate 13,351 $134K 0.00% NEW
812 UMC UNITED MICROELECTRONICS CORP Technology 14,597 $131K 0.00% -471 -3.1%
813 AFIF TWO RDS SHARED TR 14,066 $130K 0.00% -4K -23.7%
814 PNBK PATRIOT NATL BANCORP INC Financial Services 100,000 $129K 0.00%
815 APLX INVESTMENT MANAGERS SER TR I 10,800 $118K 0.00% +5K +80.0%
816 MUC BLACKROCK MUNIHLDNGS CALI Financial Services 10,094 $105K 0.00% NEW
817 BITO PROSHARES TR 10,065 $94K 0.00% NEW
818 BBDC BARINGS BDC INC Financial Services 10,398 $86K 0.00% NEW
819 NOK NOKIA CORP Technology 10,314 $83K 0.00%
820 LYG LLOYDS BANKING GROUP PLC Financial Services 14,673 $74K 0.00% NEW
821 BRSP BRIGHTSPIRE CAPITAL INC Real Estate 12,038 $67K 0.00% NEW
822 DHF BNY MELLON HIGH YIELD STRATE Financial Services 13,772 $34K 0.00% +3K +24.2%
823 RPAY REPAY HLDGS CORP Technology 10,175 $26K 0.00%
824 TNYA TENAYA THERAPEUTICS INC Healthcare 13,100 $9K NEW
825 NFE NEW FORTRESS ENERGY INC Utilities 10,200 $6K
Sector Allocation
Technology 27.2%
Financial Services 21.0%
Industrials 11.0%
Communication Services 7.9%
Healthcare 7.8%
Consumer Cyclical 7.7%
Energy 6.2%
Consumer Defensive 4.7%
Basic Materials 3.1%
Real Estate 2.2%