Overview

Fund Profile

Key Facts

Portfolio Strategy

The BMO S&P US Small Cap Index ETF has been designed to replicate, to the extent possible, the performance of the S&P SmallCap 600® Index, net of expenses. The ETF invests in and holds the Constituent Securities of the Index in the same proportion as they are reflected in the Index. The U.S. dollar currency exposure of the ETF is hedged back to the Canadian dollar.

Benchmark Info

The S&P SmallCap 600® Index is a float-adjusted, market capitalization weighted Index that tracks the small-cap segment of the U.S. equity market. The Index is designed to measure the performance of 600 small-cap companies which meet specific inclusion criteria to ensure they are liquid and financially viable. Index weights are re-balanced quarterly.

Fund Benefits

  • Designed for investors looking for growth solutions
  • Exposure to diversified U.S. small-cap equities
  • Currency is hedged to mitigate currency impacts
  • Professionally managed by BMO Global Asset Management

Risk Rating

Download

Price & Performance

Performance Chart

Growth of 10,000

Chart comparing growth of $10,000. From START_DATE to END_DATE. Comparing FUND_1 and FUND_2. For more details, email [email protected] or call 1-800-361-1392.

Performance Details

Daily Prices

Daily prices table has 3 columns. Table columns are Unit Price as of Aug 15, 2022, 1 Day Change, 1 Day % Change
Unit Price as of
(Aug 15, 2022)
1 Day Change 1 Day % Change
Market Price $ 34.51 - -
Price (NAV) $ 35.9234 $ 0.1480 0.41%

Performance

Annualized Performance

Annualized Performance (%) for period ending: Jul 29, 2022

Table for annualized performance. For period ending
1 Year 2 Year 3 Year 5 Year 10 Year Since Inception
NAV -7.45% 19.48% - - - 7.19%
Index -8.22% 18.69% - - - 6.33%
Calendar Performance

Calendar Year Performance (%) for period ending: Jul 29, 2022

Table for calendar performance. For period ending
YTD 2021 2020
NAV -11.63% 25.34% 7.24%
Index -12.00% 24.81% 6.01%
Cumulative Performance

Cumulative Performance (%) for period ending: Jul 29, 2022

Table for cumulative performance. For period ending
YTD 1 mo 3 Mo 6 Mo 1 Year 2 Year 3 Year 5 Year 10 Year Since Inception
NAV -11.63% 9.90% 2.14% -4.57% -7.45% 42.75% - - - 18.77%
Index -12.00% 9.87% 1.85% -5.01% -8.22% 40.87% - - - 16.44%

Download

Tax & Distributions

Distribution History

Each BMO ETF will distribute net taxable income to investors at least once a year. A BMO ETF will have taxable income if the income generated (for example interest, dividend, capital gains, etc.) by the securities within the BMO ETF is greater than the expenses of the BMO ETF. The distributions will either be paid in cash or reinvested in the BMO ETF at the discretion of the manager. The future distribution dates for BMO ETFs may change at any time and whether or not a distribution occurs will depend on the tax characteristics of the underlying investments.

The following table lists historical distributions and includes information about the frequency dollar value and tax composition of the distribution. The tax composition of the BMO ETF distribution will be determined on a yearly basis and will only be available after the BMO ETFs tax year. This information will be reported in an official tax receipt provided to investors by their broker.

Download Distribution History (Excel)
Table for distribution history. For period ending
Distribution Period

Future distribution dates may change without any prior notice.

Footnote
Ex-Dividend Date Record Date Pay Date Cash Distribution Per Unit Reinvested Distribution Per Unit

Distributions by the BMO ETF that are not paid in cash should be accounted for by investors for tax purposes by adding the distribution amount to the adjusted cost base of the units held.

Footnote
Total Distribution Per Unit
Mar, 2022 Mar 29, 2022 Mar 30, 2022 Apr 04, 2022 0.110000 0.000000 0.110000
Jun, 2022 Jun 28, 2022 Jun 29, 2022 Jul 05, 2022 0.110000 0.000000 0.110000
Sep, 2022 Sep 28, 2022 Sep 29, 2022 Oct 05, 2022 - - -
Dec, 2022 Dec 28, 2022 Dec 29, 2022 Jan 03, 2023 - - -
Download Distribution Tax (Excel)
ETF distribution tax table. Showing for year
Distribution Period Eligible Dividends Non Eligible Dividends Other Income Capital Gains Return of Capital Foreign Income Foreign Tax Paid Total Distribution per Unit for Tax Purpose

The exact tax treatment of the distributions for a calendar year is calculated after the BMO ETF's tax year-end. As a result investors will receive an official tax statement from their broker detailing the type of income they have to report for tax purposes for the entire year and not for each distribution.

Footnote
- - - - - - - - -

Download

Holdings & Allocations

Daily Holdings

As of Aug 15, 2022

Stock

100.08%

Cash and Cash Equivalents

-0.08%

Number of Holdings

604

Total Net Assets

$ 3,592,376.00


Download Holdings (Excel)
No column selected.
Daily holdings table has 5 columns. Table columns are Weight (%), Name, ISIN, Bloomberg Ticker, Base Market Value
Weight (%) Name ISIN Bloomberg Ticker Number of Shares Currency Base Market Value Sector Asset Class
0.63% AGREE REALTY CORP US0084921008 ADC 6,834 USD 708,711 Real Estate Stock
0.61% LANTHEUS HOLDINGS INC US5165441032 LNTH 6,280 USD 678,412 Health Care Stock
0.60% EXLSERVICE HOLDINGS INC US3020811044 EXLS 2,964 USD 668,427 Information Technology Stock
0.59% UFP INDUSTRIES INC US90278Q1085 UFPI 5,693 USD 658,792 Industrials Stock
0.56% EXPONENT INC US30214U1025 EXPO 4,688 USD 623,511 Industrials Stock
0.53% ROGERS CORP US7751331015 ROG 1,718 USD 597,971 Information Technology Stock
0.53% LIVENT CORP US53814L1089 LTHM 14,709 USD 588,509 Materials Stock
0.52% SM ENERGY CO US78454L1008 SM 10,955 USD 579,136 Energy Stock
0.52% AMN HEALTHCARE SERVICES INC US0017441017 AMN 3,992 USD 577,622 Health Care Stock
0.50% ENSIGN GROUP INC/THE US29358P1012 ENSG 4,844 USD 558,108 Health Care Stock
0.49% SPS COMMERCE INC US78463M1071 SPSC 3,225 USD 552,343 Information Technology Stock
0.48% SERVISFIRST BANCSHARES INC US81768T1088 SFBS 4,491 USD 537,202 Financials Stock
0.46% CIVITAS RESOURCES INC US17888H1032 CIVI 6,410 USD 518,969 - Stock
0.46% APPLIED INDUSTRIAL TECHNOLOGIES INC US03820C1053 AIT 3,542 USD 518,269 Industrials Stock
0.46% HELMERICH & PAYNE INC US4234521015 HP 9,541 USD 516,453 Energy Stock
0.45% CYTOKINETICS INC US23282W6057 CYTK 7,625 USD 500,229 Health Care Stock
0.45% BALCHEM CORP US0576652004 BCPC 2,860 USD 500,166 Materials Stock
0.44% SOUTH JERSEY INDUSTRIES INC US8385181081 SJI 11,002 USD 489,039 Utilities Stock
0.43% INDEPENDENT BANK CORP US4538361084 INDB 4,303 USD 485,946 Financials Stock
0.43% ONTO INNOVATION INC US6833441057 ONTO 4,563 USD 484,625 Information Technology Stock
0.42% ACADEMY SPORTS & OUTDOORS INC US00402L1070 ASO 7,720 USD 471,289 Consumer Discretionary Stock
0.42% ASBURY AUTOMOTIVE GROUP INC US0434361046 ABG 1,938 USD 465,313 Consumer Discretionary Stock
0.41% MUELLER INDUSTRIES INC US6247561029 MLI 5,204 USD 464,247 Industrials Stock
0.41% COMMUNITY BANK SYSTEM INC US2036071064 CBU 4,964 USD 461,161 Financials Stock
0.41% COMFORT SYSTEMS USA INC US1999081045 FIX 3,297 USD 460,718 Industrials Stock
0.41% ATI INC US01741R1023 ATI 11,057 USD 457,376 Materials Stock
0.40% DIODES INC US2545431015 DIOD 4,166 USD 451,064 Information Technology Stock
0.40% JOHN BEAN TECHNOLOGIES CORP US4778391049 JBT 2,827 USD 443,277 Industrials Stock
0.39% FRANKLIN ELECTRIC CO INC US3535141028 FELE 3,581 USD 441,568 Industrials Stock
0.39% FABRINET KYG3323L1005 FN 3,383 USD 439,727 Information Technology Stock
0.39% HB FULLER CO US3596941068 FUL 4,860 USD 438,891 Materials Stock
0.39% UNITED COMMUNITY BANKS INC/GA US90984P3038 UCBI 9,350 USD 433,226 Financials Stock
0.38% ADVANCED ENERGY INDUSTRIES INC US0079731008 AEIS 3,443 USD 424,196 Information Technology Stock
0.37% ASSURED GUARANTY LTD BMG0585R1060 AGO 5,861 USD 419,981 Financials Stock
0.37% ALARM.COM HOLDINGS INC US0116421050 ALRM 4,244 USD 418,318 Information Technology Stock
0.37% KORN FERRY US5006432000 KFY 4,933 USD 417,342 Industrials Stock
0.37% CVB FINANCIAL CORP US1266001056 CVBF 11,615 USD 416,447 Financials Stock
0.37% MATSON INC US57686G1058 MATX 3,728 USD 413,312 Industrials Stock
0.36% MR COOPER GROUP INC US62482R1077 COOP 6,765 USD 407,225 Financials Stock
0.36% HILLENBRAND INC US4315711089 HI 6,560 USD 406,823 Industrials Stock
0.36% VIAVI SOLUTIONS INC US9255501051 VIAV 19,955 USD 406,670 Information Technology Stock
0.36% ESSENTIAL PROPERTIES REALTY TRUST INC US29670E1073 EPRT 12,358 USD 404,648 Real Estate Stock
0.36% FIRST HAWAIIAN INC US32051X1081 FHB 11,215 USD 401,816 Financials Stock
0.36% CALIFORNIA WATER SERVICE GROUP US1307881029 CWT 4,919 USD 399,842 Utilities Stock
0.35% WALKER & DUNLOP INC US93148P1021 WD 2,695 USD 396,492 Financials Stock
0.35% AMERICAN STATES WATER CO US0298991011 AWR 3,402 USD 394,469 Utilities Stock
0.35% INSIGHT ENTERPRISES INC US45765U1034 NSIT 3,229 USD 393,996 Information Technology Stock
0.35% RESIDEO TECHNOLOGIES INC US76118Y1047 REZI 12,955 USD 393,263 Industrials Stock
0.35% LCI INDUSTRIES US50189K1034 LCII 2,227 USD 392,368 Consumer Discretionary Stock
0.35% AMERIS BANCORP US03076K1088 ABCB 6,034 USD 388,299 Financials Stock
0.34% BANKUNITED INC US06652K1034 BKU 7,281 USD 384,534 Financials Stock
0.34% MERITAGE HOMES CORP US59001A1025 MTH 3,379 USD 384,519 Consumer Discretionary Stock
0.34% MERIT MEDICAL SYSTEMS INC US5898891040 MMSI 4,669 USD 383,136 Health Care Stock
0.34% PACIFIC PREMIER BANCORP INC US69478X1054 PPBI 8,315 USD 380,870 Financials Stock
0.34% WSFS FINANCIAL CORP US9293281021 WSFS 5,762 USD 379,422 Financials Stock
0.34% AVISTA CORP US05379B1070 AVA 6,630 USD 377,963 Utilities Stock
0.34% ABM INDUSTRIES INC US0009571003 ABM 6,119 USD 376,868 Industrials Stock
0.34% AEROJET ROCKETDYNE HOLDINGS INC US0078001056 AJRD 6,854 USD 375,871 Industrials Stock
0.34% SIGNET JEWELERS LTD BMG812761002 SIG 4,341 USD 375,718 Consumer Discretionary Stock
0.33% FIRST BANCORP/PUERTO RICO PR3186727065 FBP 17,598 USD 369,084 Financials Stock
0.33% AMERICAN EQUITY INVESTMENT LIFE HOLDING CO US0256762065 AEL 6,883 USD 369,022 Financials Stock
0.33% SIMMONS FIRST NATIONAL CORP US8287302009 SFNC 11,287 USD 368,268 Financials Stock
0.33% LXP INDUSTRIAL TRUST US5290431015 LXP 25,033 USD 366,059 Real Estate Stock
0.33% HOSTESS BRANDS INC US44109J1060 TWNK 12,320 USD 364,924 Consumer Staples Stock
0.32% ALBANY INTERNATIONAL CORP US0123481089 AIN 2,901 USD 363,934 Industrials Stock
0.32% PBF ENERGY INC US69318G1067 PBF 8,342 USD 363,696 Energy Stock
0.32% GROUP 1 AUTOMOTIVE INC US3989051095 GPI 1,522 USD 363,389 Consumer Discretionary Stock
0.32% CONMED CORP US2074101013 CNMD 2,706 USD 360,461 Health Care Stock
0.32% PATTERSON-UTI ENERGY INC US7034811015 PTEN 18,994 USD 355,462 Energy Stock
0.32% ARCOSA INC US0396531008 ACA 4,233 USD 355,061 Industrials Stock
0.32% RAMBUS INC US7509171069 RMBS 9,822 USD 353,808 Information Technology Stock
0.32% BADGER METER INC US0565251081 BMI 2,695 USD 353,535 Information Technology Stock
0.31% PERFICIENT INC US71375U1016 PRFT 3,075 USD 352,187 Information Technology Stock
0.31% SANMINA CORP US8010561020 SANM 5,418 USD 348,658 Information Technology Stock
0.31% MAXLINEAR INC US57776J1007 MXL 6,514 USD 348,062 Information Technology Stock
0.31% DORMAN PRODUCTS INC US2582781009 DORM 2,540 USD 347,954 Consumer Discretionary Stock
0.31% UNIFIRST CORP/MA US9047081040 UNF 1,345 USD 343,557 Industrials Stock
0.30% INNOVATIVE INDUSTRIAL PROPERTIES INC US45781V1017 IIPR 2,564 USD 340,222 Real Estate Stock
0.30% SIMPLY GOOD FOODS CO/THE US82900L1026 SMPL 7,736 USD 337,575 Consumer Staples Stock
0.30% KULICKE & SOFFA INDUSTRIES INC US5012421013 KLIC 5,412 USD 336,328 Information Technology Stock
0.30% PRESTIGE CONSUMER HEALTHCARE INC US74112D1019 PBH 4,601 USD 336,107 Health Care Stock
0.30% ARCONIC ROLLED PRODUCTS CORP US03966V1070 ARNC 9,182 USD 335,732 Materials Stock
0.30% BOISE CASCADE CO US09739D1000 BCC 3,629 USD 333,250 Industrials Stock
0.30% HUB GROUP INC US4433201062 HUBG 2,978 USD 332,544 Industrials Stock
0.30% FORWARD AIR CORP US3498531017 FWRD 2,361 USD 332,330 Industrials Stock
0.29% SPX TECHNOLOGIES INC US78473E1038 - 3,989 USD 329,292 - Stock
0.29% NATIONAL VISION HOLDINGS INC US63845R1077 EYE 7,050 USD 324,109 Consumer Discretionary Stock
0.29% FORMFACTOR INC US3463751087 FORM 7,149 USD 320,818 Information Technology Stock
0.29% SELECT MEDICAL HOLDINGS CORP US81619Q1058 SEM 8,947 USD 320,211 Health Care Stock
0.28% WD-40 CO US9292361071 WDFC 1,196 USD 317,630 Consumer Staples Stock
0.28% INDEPENDENT BANK GROUP INC US45384B1061 IBTX 3,241 USD 313,223 Financials Stock
0.28% TREEHOUSE FOODS INC US89469A1043 THS 4,988 USD 311,781 Consumer Staples Stock
0.28% OWENS & MINOR INC US6907321029 OMI 6,781 USD 308,767 Health Care Stock
0.28% CORCEPT THERAPEUTICS INC US2183521028 CORT 8,517 USD 308,559 Health Care Stock
0.27% SITE CENTERS CORP US82981J1097 SITC 15,736 USD 307,895 Real Estate Stock
0.27% UNITED NATURAL FOODS INC US9111631035 UNFI 5,037 USD 299,631 Consumer Staples Stock
0.27% MANTECH INTERNATIONAL CORP/VA US5645631046 MANT 2,424 USD 299,620 Industrials Stock
0.27% QUAKER CHEMICAL CORP US7473161070 KWR 1,176 USD 298,780 Materials Stock
0.27% PLEXUS CORP US7291321005 PLXS 2,437 USD 298,490 Information Technology Stock
0.27% TRUPANION INC US8982021060 TRUP 3,082 USD 297,976 Financials Stock
0.27% AAON INC US0003602069 AAON 3,637 USD 297,418 Industrials Stock
0.26% ATLAS AIR WORLDWIDE HOLDINGS INC US0491642056 AAWW 2,296 USD 295,652 Industrials Stock
0.26% PACIRA BIOSCIENCES INC US6951271005 PCRX 3,963 USD 295,280 Health Care Stock
0.26% YELP INC US9858171054 YELP 6,000 USD 292,100 Communication Services Stock
0.26% MOOG INC US6153942023 MOG/A 2,555 USD 292,036 Industrials Stock
0.26% STEVEN MADDEN LTD US5562691080 SHOO 6,691 USD 290,938 Consumer Discretionary Stock
0.26% COGENT COMMUNICATIONS HOLDINGS INC US19239V3024 CCOI 3,708 USD 290,877 Communication Services Stock
0.26% FEDERAL SIGNAL CORP US3138551086 FSS 5,251 USD 290,674 Industrials Stock
0.26% ENCORE WIRE CORP US2925621052 WIRE 1,707 USD 289,360 Industrials Stock
0.26% CAVCO INDUSTRIES INC US1495681074 CVCO 779 USD 288,122 Consumer Discretionary Stock
0.26% AXOS FINANCIAL INC US05465C1009 AX 4,782 USD 286,129 Financials Stock
0.25% INTEGER HOLDINGS CORP US45826H1095 ITGR 2,900 USD 285,283 Health Care Stock
0.25% AXCELIS TECHNOLOGIES INC US0545402085 ACLS 2,892 USD 284,981 Information Technology Stock
0.25% SUNSTONE HOTEL INVESTORS INC US8678921011 SHO 18,600 USD 284,712 Real Estate Stock
0.25% NETSCOUT SYSTEMS INC US64115T1043 NTCT 6,574 USD 281,778 Information Technology Stock
0.25% GLAUKOS CORP US3773221029 GKOS 4,130 USD 281,071 Health Care Stock
0.25% COLUMBIA BANKING SYSTEM INC US1972361026 COLB 6,725 USD 280,265 Financials Stock
0.25% ITRON INC US4657411066 ITRI 3,927 USD 280,079 Information Technology Stock
0.25% INNOSPEC INC US45768S1050 IOSP 2,174 USD 278,539 Materials Stock
0.24% BRADY CORP US1046741062 BRC 4,198 USD 273,779 Industrials Stock
0.24% STEPAN CO US8585861003 SCL 1,844 USD 272,148 Materials Stock
0.24% INSTALLED BUILDING PRODUCTS INC US45780R1014 IBP 2,017 USD 270,347 Consumer Discretionary Stock
0.24% UNITI GROUP INC US91325V1089 UNIT 20,505 USD 269,411 Real Estate Stock
0.24% CHESAPEAKE UTILITIES CORP US1653031088 CPK 1,532 USD 267,624 Utilities Stock
0.24% GMS INC US36251C1036 GMS 3,735 USD 264,891 Industrials Stock
0.24% RETAIL OPPORTUNITY INVESTMENTS CORP US76131N1019 ROIC 11,168 USD 264,352 Real Estate Stock
0.23% ESCO TECHNOLOGIES INC US2963151046 ESE 2,268 USD 262,950 Industrials Stock
0.23% FOUR CORNERS PROPERTY TRUST INC US35086T1097 FCPT 6,957 USD 261,560 Real Estate Stock
0.23% J & J SNACK FOODS CORP US4660321096 JJSF 1,310 USD 260,883 Consumer Staples Stock
0.23% MYRIAD GENETICS INC US62855J1043 MYGN 7,250 USD 260,879 Health Care Stock
0.23% ADAPTHEALTH CORP US00653Q1022 AHCO 8,700 USD 260,505 Health Care Stock
0.23% AEROVIRONMENT INC US0080731088 AVAV 2,021 USD 260,214 Industrials Stock
0.23% FLAGSTAR BANCORP INC US3379307057 FBC 4,741 USD 259,995 Financials Stock
0.23% EDGEWELL PERSONAL CARE CO US28035Q1022 EPC 4,702 USD 259,798 Consumer Staples Stock
0.23% LGI HOMES INC US50187T1060 LGIH 1,802 USD 258,996 Consumer Discretionary Stock
0.23% GENTHERM INC US37253A1034 THRM 2,954 USD 257,997 Consumer Discretionary Stock
0.23% GENWORTH FINANCIAL INC US37247D1063 GNW 45,926 USD 253,102 Financials Stock
0.23% SEACOAST BANKING CORP OF FLORIDA US8117078019 SBCF 5,502 USD 252,801 Financials Stock
0.23% BANNER CORP US06652V2088 BANR 3,058 USD 252,714 Financials Stock
0.23% ARCBEST CORP US03937C1053 ARCB 2,141 USD 252,288 Industrials Stock
0.22% COVETRUS INC US22304C1009 CVET 9,368 USD 251,852 Health Care Stock
0.22% SONOS INC US83570H1086 SONO 11,390 USD 251,526 Consumer Discretionary Stock
0.22% BOOT BARN HOLDINGS INC US0994061002 BOOT 2,651 USD 249,805 Consumer Discretionary Stock
0.22% DIGITAL TURBINE INC US25400W1027 APPS 7,900 USD 249,703 Information Technology Stock
0.22% O-I GLASS INC US67098H1041 OI 13,498 USD 249,123 Materials Stock
0.22% FIRST FINANCIAL BANCORP US3202091092 FFBC 8,147 USD 247,942 Financials Stock
0.22% CONSOL ENERGY INC US20854L1089 CEIX 2,854 USD 247,274 Energy Stock
0.22% BANCFIRST CORP US05945F1030 BANF 1,637 USD 247,260 Financials Stock
0.22% PROGRESS SOFTWARE CORP US7433121008 PRGS 3,803 USD 246,448 Information Technology Stock
0.22% TRUSTMARK CORP US8984021027 TRMK 5,531 USD 243,569 Financials Stock
0.22% DIAMONDROCK HOSPITALITY CO US2527843013 DRH 19,002 USD 242,797 Real Estate Stock
0.22% GREEN PLAINS INC US3932221043 GPRE 4,826 USD 241,299 Energy Stock
0.21% ENPRO INDUSTRIES INC US29355X1072 NPO 1,806 USD 240,574 Industrials Stock
0.21% KAR AUCTION SERVICES INC US48238T1097 KAR 10,926 USD 239,446 Industrials Stock
0.21% WINNEBAGO INDUSTRIES INC US9746371007 WGO 2,871 USD 237,631 Consumer Discretionary Stock
0.21% XENIA HOTELS & RESORTS INC US9840171030 XHR 10,265 USD 237,546 Real Estate Stock
0.21% FRONTDOOR INC US35905A1097 FTDR 7,100 USD 237,063 Consumer Discretionary Stock
0.21% SHAKE SHACK INC US8190471016 SHAK 3,385 USD 236,136 Consumer Discretionary Stock
0.21% CARETRUST REIT INC US14174T1079 CTRE 8,382 USD 235,946 Real Estate Stock
0.21% ALLSCRIPTS HEALTHCARE SOLUTIONS INC US01988P1084 MDRX 10,423 USD 235,687 Health Care Stock
0.21% MDC HOLDINGS INC US5526761086 MDC 5,110 USD 235,318 Consumer Discretionary Stock
0.21% VIR BIOTECHNOLOGY INC US92764N1028 VIR 6,460 USD 232,619 Health Care Stock
0.21% EVERTEC INC PR30040P1032 EVTC 5,138 USD 230,771 Information Technology Stock
0.21% CAL-MAINE FOODS INC US1280302027 CALM 3,235 USD 230,766 Consumer Staples Stock
0.21% LAKELAND FINANCIAL CORP US5116561003 LKFN 2,224 USD 230,608 Financials Stock
0.20% RENASANT CORP US75970E1073 RNST 5,011 USD 228,172 Financials Stock
0.20% PARK NATIONAL CORP US7006581075 PRK 1,266 USD 228,085 Financials Stock
0.20% TRINITY INDUSTRIES INC US8965221091 TRN 6,310 USD 227,136 Industrials Stock
0.20% TRI POINTE HOMES INC US87265H1095 TPH 9,270 USD 225,049 Consumer Discretionary Stock
0.20% SIX FLAGS ENTERTAINMENT CORP US83001A1025 SIX 7,000 USD 223,966 Consumer Discretionary Stock
0.20% EMBECTA CORP US29082K1051 EMBC 5,190 USD 223,863 Health Care Stock
0.20% PALOMAR HOLDINGS INC US69753M1053 PLMR 2,193 USD 223,771 Financials Stock
0.20% BLOOMIN' BRANDS INC US0942351083 BLMN 7,386 USD 222,685 Consumer Discretionary Stock
0.20% NORTHWEST BANCSHARES INC US6673401039 NWBI 11,401 USD 221,898 Financials Stock
0.20% JACK IN THE BOX INC US4663671091 JACK 1,930 USD 221,446 Consumer Discretionary Stock
0.20% PROVIDENT FINANCIAL SERVICES INC US74386T1051 PFS 6,796 USD 221,123 Financials Stock
0.20% WASHINGTON REAL ESTATE INVESTMENT TRUST US9396531017 WRE 7,902 USD 220,292 Real Estate Stock
0.20% MATERION CORP US5766901012 MTRN 1,780 USD 220,271 Materials Stock
0.20% URBAN EDGE PROPERTIES US91704F1049 UE 9,900 USD 219,133 Real Estate Stock
0.20% VERITIV CORP US9234541020 VRTV 1,222 USD 218,801 Industrials Stock
0.19% TECHTARGET INC US87874R1005 TTGT 2,335 USD 216,502 Communication Services Stock
0.19% NMI HOLDINGS INC US6292093050 NMIH 7,478 USD 216,290 Financials Stock
0.19% HOPE BANCORP INC US43940T1097 HOPE 10,822 USD 216,076 Financials Stock
0.19% ADTRAN HOLDINGS INC US00486H1059 ADTN 6,697 USD 216,001 Information Technology Stock
0.19% WOLVERINE WORLD WIDE INC US9780971035 WWW 7,288 USD 215,874 Consumer Discretionary Stock
0.19% CINEMARK HOLDINGS INC US17243V1026 CNK 9,612 USD 215,363 Communication Services Stock
0.19% XENCOR INC US98401F1057 XNCR 5,349 USD 214,567 Health Care Stock
0.19% IRONWOOD PHARMACEUTICALS INC US46333X1081 IRWD 13,880 USD 213,358 Health Care Stock
0.19% EXTREME NETWORKS INC US30226D1063 EXTR 11,772 USD 213,013 Information Technology Stock
0.19% DYNAVAX TECHNOLOGIES CORP US2681582019 DVAX 10,550 USD 212,688 Health Care Stock
0.19% CALLON PETROLEUM CO US13123X5086 CPE 4,149 USD 212,643 Energy Stock
0.19% PIPER SANDLER COS US7240781002 PIPR 1,239 USD 212,586 Financials Stock
0.19% TANGER FACTORY OUTLET CENTERS INC US8754651060 SKT 9,356 USD 212,526 Real Estate Stock
0.19% ELF BEAUTY INC US26856L1035 ELF 4,292 USD 210,112 Consumer Staples Stock
0.19% SUPERNUS PHARMACEUTICALS INC US8684591089 SUPN 4,784 USD 209,870 Health Care Stock
0.19% VERITEX HOLDINGS INC US9234511080 VBTX 4,839 USD 209,847 Financials Stock
0.19% KONTOOR BRANDS INC US50050N1037 KTB 4,059 USD 209,498 Consumer Discretionary Stock
0.19% LINDSAY CORP US5355551061 LNN 961 USD 208,150 Industrials Stock
0.19% APOLLO MEDICAL HOLDINGS INC US03763A2078 AMEH 3,286 USD 208,025 Health Care Stock
0.19% CARPENTER TECHNOLOGY CORP US1442851036 CRS 4,316 USD 207,889 Materials Stock
0.18% TWO HARBORS INVESTMENT CORP US90187B4086 TWO 30,996 USD 206,826 Financials Stock
0.18% VISTA OUTDOOR INC US9283771007 VSTO 5,037 USD 204,327 Consumer Discretionary Stock
0.18% CSG SYSTEMS INTERNATIONAL INC US1263491094 CSGS 2,724 USD 203,737 Information Technology Stock
0.18% EASTERLY GOVERNMENT PROPERTIES INC US27616P1030 DEA 8,206 USD 203,031 Real Estate Stock
0.18% NBT BANCORP INC US6287781024 NBTB 3,724 USD 202,829 Financials Stock
0.18% WORLD FUEL SERVICES CORP US9814751064 INT 5,669 USD 202,160 Energy Stock
0.18% PEDIATRIX MEDICAL GROUP INC US58502B1061 MD 7,485 USD 201,035 Health Care Stock
0.18% NORTHWEST NATURAL HOLDING CO US66765N1054 NWN 2,931 USD 200,910 Utilities Stock
0.18% TRIUMPH BANCORP INC US89679E3009 TBK 2,066 USD 200,520 Financials Stock
0.18% LIGAND PHARMACEUTICALS INC US53220K5048 LGND 1,444 USD 199,994 Health Care Stock
0.18% WARRIOR MET COAL INC US93627C1018 HCC 4,626 USD 199,894 Materials Stock
0.18% APOLLO COMMERCIAL REAL ESTATE FINANCE INC US03762U1051 ARI 11,893 USD 199,700 Financials Stock
0.18% TELEPHONE AND DATA SYSTEMS INC US8794338298 TDS 9,029 USD 199,504 Communication Services Stock
0.18% XRAY-TWOLF HOLDCO CORP US98390M1036 XPER 9,313 USD 198,327 Information Technology Stock
0.18% GCP APPLIED TECHNOLOGIES INC US36164Y1010 GCP 4,837 USD 197,088 Materials Stock
0.18% OXFORD INDUSTRIES INC US6914973093 OXM 1,408 USD 196,934 Consumer Discretionary Stock
0.17% LTC PROPERTIES INC US5021751020 LTC 3,408 USD 196,043 Real Estate Stock
0.17% INTERDIGITAL INC US45867G1013 IDCC 2,704 USD 193,656 Information Technology Stock
0.17% STONEX GROUP INC US8618961085 SNEX 1,575 USD 193,642 Financials Stock
0.17% MONRO INC US6102361010 MNRO 2,869 USD 193,216 Consumer Discretionary Stock
0.17% ADTALEM GLOBAL EDUCATION INC US00737L1035 ATGE 3,935 USD 192,737 Consumer Discretionary Stock
0.17% DAVE & BUSTER'S ENTERTAINMENT INC US2383371091 PLAY 3,467 USD 192,725 Consumer Discretionary Stock
0.17% TTM TECHNOLOGIES INC US87305R1095 TTMI 9,043 USD 192,577 Information Technology Stock
0.17% IROBOT CORP US4627261005 IRBT 2,483 USD 192,025 Consumer Discretionary Stock
0.17% PLANTRONICS INC US7274931085 POLY 3,711 USD 190,722 Information Technology Stock
0.17% B&G FOODS INC US05508R1068 BGS 6,205 USD 190,602 Consumer Staples Stock
0.17% SALLY BEAUTY HOLDINGS INC US79546E1047 SBH 9,593 USD 190,423 Consumer Discretionary Stock
0.17% ALLEGIANT TRAVEL CO US01748X1028 ALGT 1,333 USD 189,902 Industrials Stock
0.17% EAGLE BANCORP INC US2689481065 EGBN 2,938 USD 189,331 Financials Stock
0.17% BARNES GROUP INC US0678061096 B 4,168 USD 189,033 Industrials Stock
0.17% 3D SYSTEMS CORP US88554D2053 DDD 11,729 USD 188,923 Information Technology Stock
0.17% ODP CORP/THE US88337F1057 ODP 3,911 USD 188,533 Consumer Discretionary Stock
0.17% NV5 GLOBAL INC US62945V1098 NVEE 1,045 USD 188,485 Industrials Stock
0.17% CHEESECAKE FACTORY INC/THE US1630721017 CAKE 4,395 USD 188,324 Consumer Discretionary Stock
0.17% ACADIA REALTY TRUST US0042391096 AKR 8,181 USD 188,052 Real Estate Stock
0.17% METHODE ELECTRONICS INC US5915202007 MEI 3,376 USD 187,971 Information Technology Stock
0.17% MYR GROUP INC US55405W1045 MYRG 1,456 USD 187,787 Industrials Stock
0.17% CENTRAL GARDEN & PET CO US1535272058 CENTA 3,421 USD 187,298 Consumer Staples Stock
0.17% AAR CORP US0003611052 AIR 3,028 USD 187,158 Industrials Stock
0.17% GIBRALTAR INDUSTRIES INC US3746891072 ROCK 3,004 USD 186,954 Industrials Stock
0.17% NEOGENOMICS INC US64049M2098 NEO 11,218 USD 186,918 Health Care Stock
0.17% RENT-A-CENTER INC/TX US76009N1000 RCII 4,822 USD 186,705 Consumer Discretionary Stock
0.17% AMERICAN ASSETS TRUST INC US0240131047 AAT 4,715 USD 186,518 Real Estate Stock
0.17% MIDDLESEX WATER CO US5966801087 MSEX 1,510 USD 186,449 Utilities Stock
0.17% FB FINANCIAL CORP US30257X1046 FBK 3,243 USD 186,426 Financials Stock
0.17% WESTAMERICA BANCORP US9570901036 WABC 2,365 USD 185,005 Financials Stock
0.16% GRIFFON CORP US3984331021 GFF 4,284 USD 184,729 Industrials Stock
0.16% VIRTUS INVESTMENT PARTNERS INC US92828Q1094 VRTS 645 USD 183,951 Financials Stock
0.16% STRATEGIC EDUCATION INC US86272C1036 STRA 2,006 USD 183,563 Consumer Discretionary Stock
0.16% ADDUS HOMECARE CORP US0067391062 ADUS 1,467 USD 182,087 Health Care Stock
0.16% LIVERAMP HOLDINGS INC US53815P1084 RAMP 6,140 USD 180,998 Information Technology Stock
0.16% MEDIFAST INC US58470H1014 MED 1,009 USD 180,338 Consumer Staples Stock
0.16% KNOWLES CORP US49926D1090 KN 8,298 USD 180,246 Information Technology Stock
0.16% INTER PARFUMS INC US4583341098 IPAR 1,631 USD 179,813 Consumer Staples Stock
0.16% GLOBAL NET LEASE INC US3793782018 GNL 9,286 USD 179,775 Real Estate Stock
0.16% PRICESMART INC US7415111092 PSMT 2,102 USD 179,733 Consumer Staples Stock
0.16% PHOTRONICS INC US7194051022 PLAB 5,552 USD 179,071 Information Technology Stock
0.16% HORACE MANN EDUCATORS CORP US4403271046 HMN 3,690 USD 178,641 Financials Stock
0.16% SYLVAMO CORP US8713321029 SLVM 3,135 USD 178,032 Materials Stock
0.16% CORVEL CORP US2210061097 CRVL 818 USD 176,574 Health Care Stock
0.16% NEXPOINT RESIDENTIAL TRUST INC US65341D1028 NXRT 2,136 USD 176,547 Real Estate Stock
0.16% MODIVCARE INC US60783X1046 MODV 1,127 USD 176,148 Health Care Stock
0.16% HNI CORP US4042511000 HNI 3,778 USD 175,441 Industrials Stock
0.16% ULTRA CLEAN HOLDINGS INC US90385V1070 UCTT 4,025 USD 175,171 Information Technology Stock
0.16% STEWART INFORMATION SERVICES CORP US8603721015 STC 2,474 USD 174,597 Financials Stock
0.16% OSI SYSTEMS INC US6710441055 OSIS 1,355 USD 174,568 Information Technology Stock
0.16% BRANDYWINE REALTY TRUST US1053682035 BDN 15,387 USD 173,768 Real Estate Stock
0.15% ALEXANDER & BALDWIN INC US0144911049 ALEX 6,552 USD 172,425 Real Estate Stock
0.15% STRIDE INC US86333M1080 LRN 3,700 USD 171,580 Consumer Discretionary Stock
0.15% SHUTTERSTOCK INC US8256901005 SSTK 2,123 USD 171,555 Communication Services Stock
0.15% PRA GROUP INC US69354N1063 PRAA 3,437 USD 171,406 Financials Stock
0.15% FIRST COMMONWEALTH FINANCIAL CORP US3198291078 FCF 8,628 USD 170,711 Financials Stock
0.15% PENNYMAC MORTGAGE INVESTMENT TRUST US70931T1034 PMT 8,417 USD 170,664 Financials Stock
0.15% ANYWHERE REAL ESTATE INC US75605Y1064 HOUS 10,612 USD 170,657 Real Estate Stock
0.15% HILLTOP HOLDINGS INC US4327481010 HTH 4,451 USD 170,502 Financials Stock
0.15% URBAN OUTFITTERS INC US9170471026 URBN 5,770 USD 169,867 Consumer Discretionary Stock
0.15% COHU INC US1925761066 COHU 4,352 USD 169,743 Information Technology Stock
0.15% COMPASS MINERALS INTERNATIONAL INC US20451N1019 CMP 3,030 USD 169,567 Materials Stock
0.15% SCHOLASTIC CORP US8070661058 SCHL 2,786 USD 169,360 Communication Services Stock
0.15% BANCORP INC/THE US05969A1051 TBBK 5,077 USD 168,861 Financials Stock
0.15% ST JOE CO/THE US7901481009 JOE 3,017 USD 168,216 Real Estate Stock
0.15% ALAMO GROUP INC US0113111076 ALG 904 USD 167,592 Industrials Stock
0.15% CENTURY COMMUNITIES INC US1565043007 CCS 2,454 USD 167,263 Consumer Discretionary Stock
0.15% MGP INGREDIENTS INC US55303J1060 MGPI 1,142 USD 166,892 Consumer Staples Stock
0.15% XPEL INC US98379L1008 XPEL 1,520 USD 166,752 Consumer Discretionary Stock
0.15% OFG BANCORP PR67103X1020 OFG 4,345 USD 166,217 Financials Stock
0.15% VECTOR GROUP LTD US92240M1080 VGR 11,854 USD 165,998 Consumer Staples Stock
0.15% BRINKER INTERNATIONAL INC US1096411004 EAT 3,915 USD 165,988 Consumer Discretionary Stock
0.15% VERICEL CORP US92346J1088 VCEL 4,209 USD 165,850 Health Care Stock
0.15% GREEN BRICK PARTNERS INC US3927091013 GRBK 4,200 USD 165,766 Consumer Discretionary Stock
0.15% BERKSHIRE HILLS BANCORP INC US0846801076 BHLB 4,231 USD 165,024 Financials Stock
0.15% MERIDIAN BIOSCIENCE INC US5895841014 VIVO 3,885 USD 165,017 Health Care Stock
0.15% EPLUS INC US2942681071 PLUS 2,461 USD 165,008 Information Technology Stock
0.15% GRANITE CONSTRUCTION INC US3873281071 GVA 4,048 USD 164,782 Industrials Stock
0.15% PATRICK INDUSTRIES INC US7033431039 PATK 2,002 USD 164,309 Consumer Discretionary Stock
0.15% CENTERSPACE US15202L1070 CSR 1,411 USD 163,372 Real Estate Stock
0.15% ISTAR INC US45031U1016 STAR 7,579 USD 163,357 Real Estate Stock
0.14% AVANOS MEDICAL INC US05350V1061 AVNS 4,232 USD 161,621 Health Care Stock
0.14% CLEARFIELD INC US18482P1030 CLFD 1,026 USD 160,044 Information Technology Stock
0.14% M/I HOMES INC US55305B1017 MHO 2,591 USD 159,813 Consumer Discretionary Stock
0.14% MARTEN TRANSPORT LTD US5730751089 MRTN 5,403 USD 159,690 Industrials Stock
0.14% CITY HOLDING CO US1778351056 CHCO 1,373 USD 159,503 Financials Stock
0.14% SAFETY INSURANCE GROUP INC US78648T1007 SAFT 1,287 USD 159,213 Financials Stock
0.14% MATIV INC US8085411069 MATV 4,904 USD 158,487 Materials Stock
0.14% PGT INNOVATIONS INC US69336V1017 PGTI 5,389 USD 158,372 Industrials Stock
0.14% HOSPITALITY PROPERTIES TRUST US81761L1026 SVC 15,108 USD 157,748 Real Estate Stock
0.14% TENNANT CO US8803451033 TNC 1,704 USD 157,270 Industrials Stock
0.14% EMERGENT BIOSOLUTIONS INC US29089Q1058 EBS 3,991 USD 157,105 Health Care Stock
0.14% SOUTHSIDE BANCSHARES INC US84470P1093 SBSI 2,936 USD 156,727 Financials Stock
0.14% CTS CORP US1265011056 CTS 2,842 USD 156,478 Information Technology Stock
0.14% NATIONAL BANK HOLDINGS CORP US6337071046 NBHC 2,754 USD 155,863 Financials Stock
0.14% ENERPAC TOOL GROUP CORP US2927651040 EPAC 5,444 USD 155,070 Industrials Stock
0.14% AMERICAN AXLE & MANUFACTURING HOLDINGS INC US0240611030 AXL 10,480 USD 154,602 Consumer Discretionary Stock
0.14% ENCORE CAPITAL GROUP INC US2925541029 ECPG 2,123 USD 154,457 Financials Stock
0.14% UNIVERSAL CORP/VA US9134561094 UVV 2,248 USD 154,208 Consumer Staples Stock
0.14% FRANKLIN BSP REALTY TRUST INC US35243J1016 FBRT 7,658 USD 154,187 Financials Stock
0.14% NATIONAL BEVERAGE CORP US6350171061 FIZZ 2,131 USD 153,773 Consumer Staples Stock
0.14% ENANTA PHARMACEUTICALS INC US29251M1062 ENTA 1,682 USD 152,960 Health Care Stock
0.14% FIRST BANCORP/SOUTHERN PINES NC US3189101062 FBNC 3,065 USD 151,548 Financials Stock
0.13% BED BATH & BEYOND INC US0758961009 BBBY 7,306 USD 150,872 Consumer Discretionary Stock
0.13% ARCUS BIOSCIENCES INC US03969F1093 RCUS 4,170 USD 150,696 Health Care Stock
0.13% CAPITOL FEDERAL FINANCIAL INC US14057J1016 CFFN 11,615 USD 150,359 Financials Stock
0.13% PROTO LABS INC US7437131094 PRLB 2,516 USD 149,472 Industrials Stock
0.13% LA-Z-BOY INC US5053361078 LZB 3,859 USD 148,173 Consumer Discretionary Stock
0.13% PROASSURANCE CORP US74267C1062 PRA 4,850 USD 147,164 Financials Stock
0.13% DINE BRANDS GLOBAL INC US2544231069 DIN 1,529 USD 147,058 Consumer Discretionary Stock
0.13% GREEN DOT CORP US39304D1028 GDOT 4,867 USD 146,926 Financials Stock
0.13% DONNELLEY FINANCIAL SOLUTIONS INC US25787G1004 DFIN 2,557 USD 146,463 Financials Stock
0.13% KAISER ALUMINUM CORP US4830077040 KALU 1,451 USD 146,260 Materials Stock
0.13% REGENXBIO INC US75901B1070 RGNX 3,373 USD 145,838 Health Care Stock
0.13% ENOVA INTERNATIONAL INC US29357K1034 ENVA 2,975 USD 145,716 Financials Stock
0.13% CORECIVIC INC US21871N1019 CXW 10,933 USD 145,340 Industrials Stock
0.13% S&T BANCORP INC US7838591011 STBA 3,495 USD 145,339 Financials Stock
0.13% CUSTOMERS BANCORP INC US23204G1004 CUBI 2,775 USD 144,516 Financials Stock
0.13% SKYWEST INC US8308791024 SKYW 4,520 USD 142,927 Industrials Stock
0.13% GETTY REALTY CORP US3742971092 GTY 3,623 USD 142,011 Real Estate Stock
0.13% ANDERSONS INC/THE US0341641035 ANDE 2,878 USD 141,708 Consumer Staples Stock
0.13% AVID BIOSERVICES INC US05368M1062 CDMO 5,556 USD 141,553 Health Care Stock
0.13% VERIS RESIDENTIAL INC US5544891048 VRE 7,330 USD 141,245 Real Estate Stock
0.13% STANDEX INTERNATIONAL CORP US8542311076 SXI 1,101 USD 141,234 Industrials Stock
0.13% AMPHASTAR PHARMACEUTICALS INC US03209R1032 AMPH 3,346 USD 140,481 Health Care Stock
0.13% SHENANDOAH TELECOMMUNICATIONS CO US82312B1061 SHEN 4,480 USD 140,448 Communication Services Stock
0.12% GOGO INC US38046C1099 GOGO 6,250 USD 139,471 Communication Services Stock
0.12% DIGI INTERNATIONAL INC US2537981027 DGII 3,118 USD 139,118 Information Technology Stock
0.12% NOW INC US67011P1003 DNOW 9,935 USD 138,869 Industrials Stock
0.12% HARMONIC INC US4131601027 HLIT 9,363 USD 138,487 Information Technology Stock
0.12% HARMONY BIOSCIENCES HOLDINGS INC US4131971040 HRMY 2,105 USD 138,286 Health Care Stock
0.12% NEW YORK MORTGAGE TRUST INC US6496045013 NYMT 34,898 USD 137,826 Financials Stock
0.12% CHEFS' WAREHOUSE INC/THE US1630861011 CHEF 3,007 USD 137,076 Consumer Staples Stock
0.12% VEECO INSTRUMENTS INC US9224171002 VECO 4,587 USD 136,994 Information Technology Stock
0.12% AZZ INC US0024741045 AZZ 2,259 USD 135,808 Industrials Stock
0.12% DIME COMMUNITY BANCSHARES INC US25432X1028 DCOM 2,943 USD 133,779 Financials Stock
0.12% EMPLOYERS HOLDINGS INC US2922181043 EIG 2,539 USD 133,766 Financials Stock
0.12% SPARTANNASH CO US8472151005 SPTN 3,206 USD 132,659 Consumer Staples Stock
0.12% US PHYSICAL THERAPY INC US90337L1089 USPH 1,138 USD 132,100 Health Care Stock
0.12% PROG HOLDINGS INC US74319R1014 PRG 4,950 USD 131,480 Financials Stock
0.12% NABORS INDUSTRIES LTD BMG6359F1370 NBR 809 USD 131,373 Energy Stock
0.12% TTEC HOLDINGS INC US89854H1023 TTEC 1,681 USD 130,609 Information Technology Stock
0.12% DESIGNER BRANDS INC US2505651081 DBI 5,556 USD 130,510 Consumer Discretionary Stock
0.12% BROOKLINE BANCORP INC US11373M1071 BRKL 7,090 USD 129,666 Financials Stock
0.11% HEALTHCARE SERVICES GROUP INC US4219061086 HCSG 6,678 USD 128,767 Industrials Stock
0.11% ADVANSIX INC US00773T1016 ASIX 2,574 USD 128,666 Materials Stock
0.11% US SILICA HOLDINGS INC US90346E1038 SLCA 6,904 USD 128,492 Energy Stock
0.11% LEMAITRE VASCULAR INC US5255582018 LMAT 1,769 USD 127,834 Health Care Stock
0.11% AGILYSYS INC US00847J1051 AGYS 1,791 USD 127,066 Information Technology Stock
0.11% GREENBRIER COS INC/THE US3936571013 GBX 2,982 USD 126,815 Industrials Stock
0.11% PATHWARD FINANCIAL INC US59100U1088 CASH 2,685 USD 126,730 Financials Stock
0.11% CALERES INC US1295001044 CAL 3,376 USD 126,447 Consumer Discretionary Stock
0.11% SLEEP NUMBER CORP US83125X1037 SNBR 2,035 USD 125,861 Consumer Discretionary Stock
0.11% TRINSEO PLC IE0000QBK8U7 TSE 3,109 USD 125,716 Materials Stock
0.11% MESA LABORATORIES INC US59064R1095 MLAB 487 USD 125,496 Health Care Stock
0.11% FULGENT GENETICS INC US3596641098 FLGT 1,805 USD 124,076 Health Care Stock
0.11% RADNET INC US7504911022 RDNT 4,169 USD 123,864 Health Care Stock
0.11% ASTEC INDUSTRIES INC US0462241011 ASTE 2,093 USD 123,073 Industrials Stock
0.11% ARCHROCK INC US03957W1062 AROC 12,361 USD 123,003 Energy Stock
0.11% STURM RUGER & CO INC US8641591081 RGR 1,609 USD 122,710 Consumer Discretionary Stock
0.11% ICHOR HOLDINGS LTD KYG4740B1059 ICHR 2,615 USD 122,447 Information Technology Stock
0.11% BLUCORA INC US0952291005 BCOR 4,228 USD 122,016 Financials Stock
0.11% SIMULATIONS PLUS INC US8292141053 SLP 1,444 USD 121,327 Health Care Stock
0.11% REDWOOD TRUST INC US7580754023 RWT 11,009 USD 120,917 Financials Stock
0.11% PREFERRED BANK/LOS ANGELES CA US7403674044 PFBC 1,245 USD 120,306 Financials Stock
0.11% G-III APPAREL GROUP LTD US36237H1014 GIII 3,849 USD 118,579 Consumer Discretionary Stock
0.11% TRIUMPH GROUP INC US8968181011 TGI 5,914 USD 118,463 Industrials Stock
0.11% MARCUS & MILLICHAP INC US5663241090 MMI 2,243 USD 118,460 Real Estate Stock
0.11% HESKA CORP US42805E3062 HSKA 987 USD 118,406 Health Care Stock
0.11% ABERCROMBIE & FITCH CO US0028962076 ANF 4,616 USD 117,902 Consumer Discretionary Stock
0.10% APOGEE ENTERPRISES INC US0375981091 APOG 2,030 USD 117,351 Industrials Stock
0.10% ARMADA HOFFLER PROPERTIES INC US04208T1088 AHH 6,194 USD 116,397 Real Estate Stock
0.10% NEXTGEN HEALTHCARE INC US65343C1027 NXGN 5,036 USD 115,955 Health Care Stock
0.10% DELUXE CORP US2480191012 DLX 3,839 USD 115,645 Industrials Stock
0.10% SONIC AUTOMOTIVE INC US83545G1022 SAH 1,785 USD 115,191 Consumer Discretionary Stock
0.10% SMART GLOBAL HOLDINGS INC KYG8232Y1017 SGH 4,328 USD 114,512 Information Technology Stock
0.10% AMERISAFE INC US03071H1005 AMSF 1,769 USD 114,455 Financials Stock
0.10% COMMUNITY HEALTHCARE TRUST INC US20369C1062 CHCT 2,161 USD 114,325 Real Estate Stock
0.10% FRESH DEL MONTE PRODUCE INC KYG367381053 FDP 3,063 USD 114,289 Consumer Staples Stock
0.10% BANC OF CALIFORNIA INC US05990K1060 BANC 4,848 USD 114,192 Financials Stock
0.10% OFFICE PROPERTIES INCOME TRUST US67623C1099 OPI 4,332 USD 114,170 Real Estate Stock
0.10% LAREDO PETROLEUM INC US5168062058 LPI 1,333 USD 114,013 Energy Stock
0.10% KKR REAL ESTATE FINANCE TRUST INC US48251K1007 KREF 4,435 USD 113,737 Financials Stock
0.10% JAMES RIVER GROUP HOLDINGS LTD BMG5005R1079 JRVR 3,331 USD 113,541 Financials Stock
0.10% SUMMIT HOTEL PROPERTIES INC US8660821005 INN 9,803 USD 113,491 Real Estate Stock
0.10% KAMAN CORP US4835481031 KAMN 2,563 USD 113,264 Industrials Stock
0.10% BUCKLE INC/THE US1184401065 BKE 2,708 USD 113,171 Consumer Discretionary Stock
0.10% LIVEPERSON INC US5381461012 LPSN 6,334 USD 112,079 Information Technology Stock
0.10% ALPHA & OMEGA SEMICONDUCTOR LTD BMG6331P1041 AOSL 1,980 USD 112,033 Information Technology Stock
0.10% BENCHMARK ELECTRONICS INC US08160H1014 BHE 3,120 USD 111,906 Information Technology Stock
0.10% CONSENSUS CLOUD SOLUTIONS INC US20848V1052 CCSI 1,463 USD 111,651 Information Technology Stock
0.10% GEO GROUP INC/THE US36162J1060 GEO 11,356 USD 111,390 Real Estate Stock
0.10% READY CAPITAL CORP US75574U1016 RC 6,157 USD 111,331 Financials Stock
0.10% RPT REALTY US74971D1019 RPT 7,793 USD 110,739 Real Estate Stock
0.10% B RILEY FINANCIAL INC US05580M1080 RILY 1,482 USD 110,671 Financials Stock
0.10% HERITAGE FINANCIAL CORP/WA US42722X1063 HFWA 3,117 USD 110,350 Financials Stock
0.10% A10 NETWORKS INC US0021211018 ATEN 5,340 USD 109,929 Information Technology Stock
0.10% EW SCRIPPS CO/THE US8110544025 SSP 5,294 USD 109,392 Communication Services Stock
0.10% TOMPKINS FINANCIAL CORP US8901101092 TMP 1,074 USD 109,354 Financials Stock
0.10% AMC NETWORKS INC US00164V1035 AMCX 2,728 USD 109,077 Communication Services Stock
0.10% ANGIODYNAMICS INC US03475V1017 ANGO 3,453 USD 108,207 Health Care Stock
0.10% NEKTAR THERAPEUTICS US6402681083 NKTR 17,045 USD 108,016 Health Care Stock
0.10% INNOVIVA INC US45781M1018 INVA 5,742 USD 107,903 Health Care Stock
0.10% UNITIL CORP US9132591077 UTL 1,469 USD 107,596 Utilities Stock
0.10% ARTIVION INC US2289031005 AORT 3,584 USD 107,547 Health Care Stock
0.10% WABASH NATIONAL CORP US9295661071 WNC 4,485 USD 107,436 Industrials Stock
0.10% OCEANEERING INTERNATIONAL INC US6752321025 OII 8,975 USD 106,685 Energy Stock
0.10% CARS.COM INC US14575E1055 CARS 5,976 USD 106,515 Communication Services Stock
0.09% VIAD CORP US92552R4065 VVI 1,883 USD 106,155 Industrials Stock
0.09% COHERUS BIOSCIENCES INC US19249H1032 CHRS 5,879 USD 105,242 Health Care Stock
0.09% MONARCH CASINO & RESORT INC US6090271072 MCRI 1,206 USD 105,019 Consumer Discretionary Stock
0.09% ELLINGTON FINANCIAL INC US28852N1090 EFC 5,189 USD 104,878 - Stock
0.09% HAWAIIAN HOLDINGS INC US4198791018 HA 4,699 USD 104,375 Industrials Stock
0.09% AMERICAN WOODMARK CORP US0305061097 AMWD 1,520 USD 104,230 Industrials Stock
0.09% MARINEMAX INC US5679081084 HZO 1,971 USD 104,197 Consumer Discretionary Stock
0.09% CERENCE INC US1567271093 CRNC 3,500 USD 104,168 Information Technology Stock
0.09% ALLEGIANCE BANCSHARES INC US01748H1077 ABTX 1,731 USD 103,529 Financials Stock
0.09% CUTERA INC US2321091082 CUTR 1,513 USD 102,578 Health Care Stock
0.09% GOLDEN ENTERTAINMENT INC US3810131017 GDEN 1,860 USD 102,386 Consumer Discretionary Stock
0.09% VAREX IMAGING CORP US92214X1063 VREX 3,546 USD 102,105 Health Care Stock
0.09% PDF SOLUTIONS INC US6932821050 PDFS 2,709 USD 101,779 Information Technology Stock
0.09% PERDOCEO EDUCATION CORP US71363P1066 PRDO 6,299 USD 101,541 Consumer Discretionary Stock
0.09% PAR PACIFIC HOLDINGS INC US69888T2078 PARR 4,180 USD 100,939 Energy Stock
0.09% CHICO'S FAS INC US1686151028 CHS 11,452 USD 100,064 Consumer Discretionary Stock
0.09% SCANSOURCE INC US8060371072 SCSC 2,310 USD 99,907 Information Technology Stock
0.09% QUANEX BUILDING PRODUCTS CORP US7476191041 NX 2,957 USD 97,968 Industrials Stock
0.09% GENESCO INC US3715321028 GCO 1,183 USD 97,183 Consumer Discretionary Stock
0.09% HAWKINS INC US4202611095 HWKN 1,717 USD 97,151 Materials Stock
0.09% HANMI FINANCIAL CORP US4104952043 HAFC 2,790 USD 97,081 Financials Stock
0.09% CEVA INC US1572101053 CEVA 2,127 USD 96,906 Information Technology Stock
0.09% DRIL-QUIP INC US2620371045 DRQ 3,154 USD 96,883 Energy Stock
0.09% USANA HEALTH SCIENCES INC US90328M1071 USNA 1,058 USD 96,787 Consumer Staples Stock
0.09% MATTHEWS INTERNATIONAL CORP US5771281012 MATW 2,769 USD 96,028 Industrials Stock
0.09% TITAN INTERNATIONAL INC US88830M1027 TWI 4,702 USD 96,006 Industrials Stock
0.08% BIOLIFE SOLUTIONS INC US09062W2044 BLFS 2,790 USD 93,660 Health Care Stock
0.08% INTERFACE INC US4586653044 TILE 5,441 USD 93,047 Industrials Stock
0.08% CROSS COUNTRY HEALTHCARE INC US2274831047 CCRN 3,248 USD 92,728 Health Care Stock
0.08% ENHABIT HOME HEALTH & HOSPICE US29332G1022 EHAB 4,500 USD 92,346 Health Care Stock
0.08% CALAVO GROWERS INC US1282461052 CVGW 1,620 USD 91,788 Consumer Staples Stock
0.08% MYERS INDUSTRIES INC US6284641098 MYE 3,229 USD 91,560 Materials Stock
0.08% ARMOUR RESIDENTIAL REIT INC US0423155078 ARR 9,446 USD 91,436 Financials Stock
0.08% STANDARD MOTOR PRODUCTS INC US8536661056 SMP 1,740 USD 91,132 Consumer Discretionary Stock
0.08% TALOS ENERGY INC US87484T1088 TALO 3,781 USD 91,011 Energy Stock
0.08% CORE LABORATORIES NV NL0000200384 CLB 4,238 USD 90,744 Energy Stock
0.08% CLEARWATER PAPER CORP US18538R1032 CLW 1,547 USD 90,268 Materials Stock
0.08% HEARTLAND EXPRESS INC US4223471040 HTLD 4,267 USD 89,492 Industrials Stock
0.08% PENN VIRGINIA CORP US70788V1026 ROCC 1,940 USD 88,737 Energy Stock
0.08% PROPETRO HOLDING CORP US74347M1080 PUMP 7,829 USD 88,414 Energy Stock
0.08% NETGEAR INC US64111Q1040 NTGR 2,629 USD 87,135 Information Technology Stock
0.08% TRUEBLUE INC US89785X1019 TBI 3,044 USD 86,982 Industrials Stock
0.08% UNIQURE NV NL0010696654 QURE 3,230 USD 86,628 Health Care Stock
0.08% UNISYS CORP US9092143067 UIS 6,194 USD 85,619 Information Technology Stock
0.08% UNIVERSAL HEALTH REALTY INCOME TRUST US91359E1055 UHT 1,174 USD 85,383 Real Estate Stock
0.08% AMERICA'S CAR-MART INC/TX US03062T1051 CRMT 546 USD 85,296 Consumer Discretionary Stock
0.08% GUESS? INC US4016171054 GES 3,284 USD 84,982 Consumer Discretionary Stock
0.08% SAFEHOLD INC US78645L1008 SAFE 1,420 USD 84,672 Real Estate Stock
0.08% FARO TECHNOLOGIES INC US3116421021 FARO 1,667 USD 84,167 Information Technology Stock
0.08% BIG LOTS INC US0893021032 BIG 2,615 USD 84,140 Consumer Discretionary Stock
0.07% CARDIOVASCULAR SYSTEMS INC US1416191062 CSII 3,738 USD 82,836 Health Care Stock
0.07% HOMESTREET INC US43785V1026 HMST 1,711 USD 82,811 Financials Stock
0.07% TIMKENSTEEL CORP US8873991033 TMST 3,698 USD 82,522 Materials Stock
0.07% HANGER INC US41043F2083 HNGR 3,392 USD 81,735 Health Care Stock
0.07% AMBAC FINANCIAL GROUP INC US0231398845 AMBC 4,121 USD 81,377 Financials Stock
0.07% TRUSTCO BANK CORP NY US8983492047 TRST 1,761 USD 81,004 Financials Stock
0.07% CENTRAL PACIFIC FINANCIAL CORP US1547604090 CPF 2,527 USD 79,873 Financials Stock
0.07% MERCER INTERNATIONAL INC US5880561015 MERC 3,695 USD 79,546 Materials Stock
0.07% HIBBETT INC US4285671016 HIBB 1,115 USD 79,307 Consumer Discretionary Stock
0.07% CHATHAM LODGING TRUST US16208T1025 CLDT 4,466 USD 78,910 Real Estate Stock
0.07% NORTHFIELD BANCORP INC US66611T1088 NFBK 3,941 USD 78,280 Financials Stock
0.07% BRISTOW GROUP INC US11040G1031 VTOL 2,128 USD 78,220 Energy Stock
0.07% UNITED FIRE GROUP INC US9103401082 UFCS 1,975 USD 77,185 Financials Stock
0.07% BRIGHTSPHERE INVESTMENT GROUP INC US10948W1036 BSIG 2,957 USD 76,787 Financials Stock
0.07% SAUL CENTERS INC US8043951016 BFS 1,201 USD 76,511 Real Estate Stock
0.07% JOHN B SANFILIPPO & SON INC US8004221078 JBSS 816 USD 76,197 Consumer Staples Stock
0.07% CHILDREN'S PLACE INC/THE US1689051076 PLCE 1,176 USD 75,784 Consumer Discretionary Stock
0.07% BJ'S RESTAURANTS INC US09180C1062 BJRI 2,145 USD 75,745 Consumer Discretionary Stock
0.07% RESOURCES CONNECTION INC US76122Q1058 RGP 2,752 USD 75,548 Industrials Stock
0.07% COLLEGIUM PHARMACEUTICAL INC US19459J1043 COLL 3,109 USD 75,397 Health Care Stock
0.07% INSTEEL INDUSTRIES INC US45774W1080 IIIN 1,782 USD 75,369 Industrials Stock
0.07% QUINSTREET INC US74874Q1004 QNST 4,611 USD 75,163 Communication Services Stock
0.07% INOGEN INC US45780L1044 INGN 1,883 USD 74,975 Health Care Stock
0.07% 8X8 INC US2829141009 EGHT 10,833 USD 74,941 Information Technology Stock
0.07% TOOTSIE ROLL INDUSTRIES INC US8905161076 TR 1,629 USD 74,827 Consumer Staples Stock
0.07% INDUSTRIAL LOGISTICS PROPERTIES TRUST US4562371066 ILPT 5,987 USD 74,412 Real Estate Stock
0.07% HEIDRICK & STRUGGLES INTERNATIONAL INC US4228191023 HSII 1,801 USD 74,360 Industrials Stock
0.07% RUTH'S HOSPITALITY GROUP INC US7833321091 RUTH 2,869 USD 73,391 Consumer Discretionary Stock
0.07% SUN COUNTRY AIRLINES HOLDINGS INC US8666831057 SNCY 2,800 USD 73,035 Industrials Stock
0.07% ORION OFFICE REIT INC US68629Y1038 ONL 5,182 USD 72,901 Real Estate Stock
0.06% ARLO TECHNOLOGIES INC US04206A1016 ARLO 7,946 USD 72,301 Information Technology Stock
0.06% KELLY SERVICES INC US4881522084 KELYA 3,067 USD 72,004 Industrials Stock
0.06% WISDOMTREE INVESTMENTS INC US97717P1049 WETF 10,058 USD 70,359 Financials Stock
0.06% VANDA PHARMACEUTICALS INC US9216591084 VNDA 5,173 USD 70,037 Health Care Stock
0.06% HELIX ENERGY SOLUTIONS GROUP INC US42330P1075 HLX 13,047 USD 69,209 Energy Stock
0.06% EBIX INC US2787152063 EBIX 2,182 USD 69,138 Information Technology Stock
0.06% HEALTHSTREAM INC US42222N1037 HSTM 2,220 USD 68,966 Health Care Stock
0.06% SUNCOKE ENERGY INC US86722A1034 SXC 7,630 USD 68,638 Materials Stock
0.06% CORSAIR GAMING INC US22041X1028 CRSR 3,060 USD 68,403 Information Technology Stock
0.06% MOVADO GROUP INC US6245801062 MOV 1,478 USD 68,291 Consumer Discretionary Stock
0.06% ETHAN ALLEN INTERIORS INC US2976021046 ETD 2,017 USD 67,658 Consumer Discretionary Stock
0.06% PITNEY BOWES INC US7244791007 PBI 14,922 USD 66,829 Industrials Stock
0.06% TUPPERWARE BRANDS CORP US8998961044 TUP 4,200 USD 66,404 Consumer Discretionary Stock
0.06% URSTADT BIDDLE PROPERTIES INC US9172862057 UBA 2,759 USD 65,770 Real Estate Stock
0.06% INVESCO MORTGAGE CAPITAL INC US46131B7047 IVR 2,979 USD 65,670 Financials Stock
0.06% HAYNES INTERNATIONAL INC US4208772016 HAYN 1,138 USD 65,654 Materials Stock
0.06% PC CONNECTION INC US69318J1007 CNXN 1,008 USD 65,244 Information Technology Stock
0.06% AMERICAN VANGUARD CORP US0303711081 AVD 2,452 USD 65,224 Materials Stock
0.06% GRANITE POINT MORTGAGE TRUST INC US38741L1070 GPMT 4,927 USD 64,799 Financials Stock
0.06% KOPPERS HOLDINGS INC US50060P1066 KOP 1,936 USD 64,466 Materials Stock
0.06% SURMODICS INC US8688731004 SRDX 1,284 USD 64,117 Health Care Stock
0.06% LIQUIDITY SERVICES INC US53635B1070 LQDT 2,446 USD 62,476 Consumer Discretionary Stock
0.06% ATN INTERNATIONAL INC US00215F1075 ATNI 995 USD 62,425 Communication Services Stock
0.06% RE/MAX HOLDINGS INC US75524W1080 RMAX 1,762 USD 61,902 Real Estate Stock
0.06% RPC INC US7496601060 RES 6,441 USD 61,849 Energy Stock
0.06% HARSCO CORP US4158641070 HSC 7,271 USD 61,655 Industrials Stock
0.05% REX AMERICAN RESOURCES CORP US7616241052 REX 1,440 USD 61,071 Energy Stock
0.05% ITEOS THERAPEUTICS INC US46565G1040 ITOS 1,851 USD 60,680 Health Care Stock
0.05% WHITESTONE REIT US9660842041 WSR 4,228 USD 60,680 Real Estate Stock
0.05% EZCORP INC US3023011063 EZPW 4,919 USD 60,376 Financials Stock
0.05% LENDINGTREE INC US52603B1070 TREE 1,005 USD 60,302 Financials Stock
0.05% WORLD ACCEPTANCE CORP US9814191048 WRLD 332 USD 59,771 Financials Stock
0.05% CONSOLIDATED COMMUNICATIONS HOLDINGS INC US2090341072 CNSL 6,654 USD 59,429 Communication Services Stock
0.05% CARA THERAPEUTICS INC US1407551092 CARA 3,875 USD 58,765 Health Care Stock
0.05% ANI PHARMACEUTICALS INC US00182C1036 ANIP 1,202 USD 58,704 Health Care Stock
0.05% FORRESTER RESEARCH INC US3465631097 FORR 1,005 USD 58,681 Industrials Stock
0.05% THRYV HOLDINGS INC US8860292064 THRY 1,566 USD 58,007 Communication Services Stock
0.05% DXP ENTERPRISES INC/TX US2333774071 DXPE 1,570 USD 57,142 Industrials Stock
0.05% PETMED EXPRESS INC US7163821066 PETS 1,918 USD 56,416 Consumer Discretionary Stock
0.05% PENNANT GROUP INC/THE US70805E1091 PNTG 2,481 USD 55,781 Health Care Stock
0.05% ZUMIEZ INC US9898171015 ZUMZ 1,508 USD 55,528 Consumer Discretionary Stock
0.05% DIVERSIFIED HEALTHCARE TRUST US25525P1075 DHC 21,878 USD 55,062 Real Estate Stock
0.05% HCI GROUP INC US40416E1038 HCI 718 USD 54,443 Financials Stock
0.05% COMPUTER PROGRAMS AND SYSTEMS INC US2053061030 CPSI 1,351 USD 54,402 Health Care Stock
0.05% CENTURY ALUMINUM CO US1564311082 CENX 4,676 USD 53,652 Materials Stock
0.05% ORTHOFIX MEDICAL INC US68752M1080 OFIX 1,823 USD 53,504 Health Care Stock
0.05% AARON'S CO INC/THE US00258W1080 AAN 2,813 USD 52,644 Consumer Discretionary Stock
0.05% CENTRAL GARDEN & PET CO US1535271068 CENT 896 USD 52,166 Consumer Staples Stock
0.05% COMMUNITY HEALTH SYSTEMS INC US2036681086 CYH 11,594 USD 52,074 Health Care Stock
0.05% DMC GLOBAL INC US23291C1036 BOOM 1,790 USD 51,958 Energy Stock
0.05% SHOE CARNIVAL INC US8248891090 SCVL 1,568 USD 51,828 Consumer Discretionary Stock
0.05% CHUY'S HOLDINGS INC US1716041017 CHUY 1,731 USD 51,340 Consumer Discretionary Stock
0.04% HAVERTY FURNITURE COS INC US4195961010 HVT 1,274 USD 50,414 Consumer Discretionary Stock
0.04% DORIAN LPG LTD MHY2106R1100 LPG 2,532 USD 50,130 Energy Stock
0.04% ONESPAN INC US68287N1000 OSPN 3,152 USD 48,777 Information Technology Stock
0.04% DOUGLAS ELLIMAN INC US25961D1054 DOUG 6,321 USD 48,378 Real Estate Stock
0.04% EAGLE PHARMACEUTICALS INC/DE US2697961082 EGRX 1,023 USD 47,426 Health Care Stock
0.04% CIRCOR INTERNATIONAL INC US17273K1097 CIR 1,856 USD 47,334 Industrials Stock
0.04% ZIMVIE INC US98888T1079 ZIMV 1,910 USD 47,281 Health Care Stock
0.04% NATIONAL PRESTO INDUSTRIES INC US6372151042 NPK 465 USD 46,278 Industrials Stock
0.04% SIRIUSPOINT LTD BMG8192H1060 SPNT 7,915 USD 46,174 Financials Stock
0.04% PHIBRO ANIMAL HEALTH CORP US71742Q1067 PAHC 1,866 USD 46,120 Health Care Stock
0.04% MARCUS CORP/THE US5663301068 MCS 2,016 USD 46,107 Communication Services Stock
0.04% HERSHA HOSPITALITY TRUST US4278255009 HT 3,023 USD 45,493 Real Estate Stock
0.04% WW INTERNATIONAL INC US98262P1012 WW 4,893 USD 44,711 Consumer Discretionary Stock
0.04% GANNETT CO INC US36472T1097 GCI 13,417 USD 43,292 Communication Services Stock
0.04% UNIVERSAL INSURANCE HOLDINGS INC US91359V1070 UVE 2,548 USD 41,600 Financials Stock
0.04% SENECA FOODS CORP US8170705011 SENEA 551 USD 41,190 Consumer Staples Stock
0.04% COMTECH TELECOMMUNICATIONS CORP US2058262096 CMTL 2,428 USD 40,801 Information Technology Stock
0.04% RAYONIER ADVANCED MATERIALS INC US75508B1044 RYAM 5,839 USD 40,017 Materials Stock
0.04% ORASURE TECHNOLOGIES INC US68554V1089 OSUR 6,629 USD 39,442 Health Care Stock
0.03% ANIKA THERAPEUTICS INC US0352551081 ANIK 1,327 USD 38,912 Health Care Stock
0.03% JOINT CORP/THE US47973J1025 JYNT 1,327 USD 38,724 Health Care Stock
0.03% UNIVERSAL ELECTRONICS INC US9134831034 UEIC 1,157 USD 37,138 Consumer Discretionary Stock
0.03% OIL STATES INTERNATIONAL INC US6780261052 OIS 5,668 USD 36,870 Energy Stock
0.03% ORGANOGENESIS HOLDINGS INC US68621F1021 ORGO 5,787 USD 36,374 Health Care Stock
0.03% LL FLOORING HOLDINGS INC US55003T1079 LL 2,722 USD 35,869 Consumer Discretionary Stock
0.03% FRANKLIN STREET PROPERTIES CORP US35471R1068 FSP 8,493 USD 35,406 Real Estate Stock
0.03% DIEBOLD NIXDORF INC US2536511031 DBD 6,717 USD 35,197 Information Technology Stock
0.03% MOTORCAR PARTS OF AMERICA INC US6200711009 MPAA 1,743 USD 34,824 Consumer Discretionary Stock
0.03% TREDEGAR CORP US8946501009 TG 2,350 USD 34,546 Materials Stock
0.03% OPTIMIZERX CORP US68401U2042 OPRX 1,665 USD 33,523 Health Care Stock
0.03% SELECTQUOTE INC US8163073005 SLQT 11,434 USD 33,351 Financials Stock
0.03% OLYMPIC STEEL INC US68162K1060 ZEUS 856 USD 32,061 Materials Stock
0.03% FOSSIL GROUP INC US34988V1061 FOSL 4,310 USD 31,485 Consumer Discretionary Stock
0.03% GLATFELTER CORP US3773201062 GLT 4,096 USD 29,816 Materials Stock
0.03% POWELL INDUSTRIES INC US7391281067 POWL 832 USD 29,476 Industrials Stock
0.03% PARK AEROSPACE CORP US70014A1043 PKE 1,781 USD 28,779 Industrials Stock
0.02% CATO CORP/THE US1492051065 CATO 1,608 USD 26,710 Consumer Discretionary Stock
0.02% AMERICAN PUBLIC EDUCATION INC US02913V1035 APEI 1,730 USD 26,571 Consumer Discretionary Stock
0.02% EHEALTH INC US28238P1093 EHTH 2,216 USD 26,484 Financials Stock
0.02% ZYNEX INC US98986M1036 ZYXI 2,042 USD 26,119 Health Care Stock
0.02% CALAMP CORP US1281261099 CAMP 3,297 USD 24,681 Information Technology Stock
0.02% FUTUREFUEL CORP US36116M1062 FF 2,359 USD 23,200 Materials Stock
0.02% EL POLLO LOCO HOLDINGS INC US2686031079 LOCO 1,781 USD 22,481 Consumer Discretionary Stock
0.02% UNIFI INC US9046772003 UFI 1,263 USD 21,338 Consumer Discretionary Stock
0.02% CONN'S INC US2082421072 CONN 1,411 USD 21,088 Consumer Discretionary Stock
0.00% CELSIUS HOLDINGS INC US15118V2079 CELH 10 USD 1,307 Consumer Staples Stock
0.00% PROGENIC PHARMACEUTICALS INC. US743CVR0370 - 1,178 USD - - Stock
-0.08% CASH - - 1 CAD -88,243 - Cash and Cash Equivalents

Holdings Breakdown

Sector Allocation

has a donut chart divided into 11 ranges. Ranges are: 19.85%, Financials.16.75%, Industrials.13.07%, Information Technology.11.67%, Consumer Discretionary.11.47%, Health Care.7.85%, Real Estate.5.82%, Energy.5.26%, Materials.4.52%, Consumer Staples.1.92%, Utilities.1.81%, Communication Services.

Geographic Allocation

has a donut chart divided into 1 range. The range is: 100%, United States.

Download