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Overview

Fund Profile

Key Facts

Fund Ticker ZSML.F
Net Assets (Mn)
(Nov 30, 2020)
$ 7.33
Base Currency CAD
Closing Market Price $ 30.05
12-Month Low/High (Market Price) $ 19.95 / $ 30.10
Closing NAV Price
(Nov 30, 2020)
$ 29.3232
12-Month Low/High (Price (NAV)) $ 16.9329 / $ 30.3136
Annualized Distribution Yield
(Nov 20, 2020)

Annualized Distribution Yield: The most recent regular distribution, or expected distribution, (excluding additional year end distributions) annualized for frequency, divided by current NAV.

1.38%
Swap Fee -
Counterparty Exposure  -
Maximum Annual Management Fee 0.20%
Management Expense Ratio 0.22%

Estimate only. Audited MER is unavailable since the ETF has not yet completed a financial year.

Market Volume 36,000
Distribution Frequency Quarterly
Options Available No
Inception Date Feb 05, 2020
Fiscal Year-End December 31
Units Outstanding (000's) 250
Index S&P SmallCap 600® Index CAD Hedged
Market Cap ($Bn)
(Oct 30, 2020)
1,021.12
Exchange TSX
CUSIP 05589W305
Eligibility RRSP/RRIF/RESP/DPSP/TFSA

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

  • Low
  • Low to Medium
  • Medium
  • Medium to High
  • High

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Price & Performance

Performance Details

Fund Total Assets ($Mn)
(Nov 30, 2020)
$ 7.33
Market Price $ 30.05
12-Month Low/High (Market Price) $ 19.95 / $ 30.10
Price (NAV) $ 29.3232
12-Month Low/High (Price (NAV)) $ 16.9329 / $ 30.3136
Distribution Frequency Quarterly

Daily Prices

Unit Price as of
(Nov 30, 2020)
1 Day Change 1 Day % Change
Market Price $ 30.05 - -
Price (NAV) $ 29.3232 $ -0.7122 -2.37%

Performance

Annualized Performance

Annualized Performance (%) for period ending: -

1 Year 2 Year 3 Year 5 Year 10 Year Since Inception
NAV - - - - - -
Index - - - - - -
Calendar Performance

Calendar Year Performance (%) for period ending: -

YTD
NAV -
Index -
Cumulative Performance

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 - - - - - - - - - -
Index - - - - - - - - - -

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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)
Distribution Period

Future distribution dates may change without any prior notice.

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.

Total Distribution Per Unit
Mar, 2020 Mar 27, 2020 Mar 30, 2020 Apr 02, 2020 0.100000 0.000000 0.100000
Jun, 2020 Jun 26, 2020 Jun 29, 2020 Jul 06, 2020 0.100000 0.000000 0.100000
Sep, 2020 Sep 28, 2020 Sep 29, 2020 Oct 02, 2020 0.100000 0.000000 0.100000
Dec, 2020 Dec 29, 2020 Dec 30, 2020 Jan 05, 2021 - - -
Download Distribution Tax (Excel)
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.

- - - - - - - - -

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Holdings & Allocations

Daily Holdings

As of Nov 30, 2020

Stock

99.34%

Cash and Cash Equivalents

0.66%

Number of Holdings

607

Total Net Assets

$ 7,330,819.00


Download Holdings (Excel)
No column selected.
Weight (%) Name ISIN Bloomberg Ticker Number of Shares Currency Base Market Value Sector Asset Class
0.66% BROOKS AUTOMATION INC US1143401024 BRKS 1,386 USD 131,382 Information Technology Stock
0.65% NEOGENOMICS INC US64049M2098 NEO 2,080 USD 128,528 Health Care Stock
0.65% MICHAEL KORS HOLDINGS LTD VGG1890L1076 CPRI 2,819 USD 129,527 Consumer Discretionary Stock
0.63% KINSALE CAPITAL GROUP INC US49714P1084 KNSL 399 USD 124,446 Financials Stock
0.58% YETI HOLDINGS INC US98585X1046 YETI 1,402 USD 115,019 Consumer Discretionary Stock
0.56% SAIA INC US78709Y1055 SAIA 493 USD 111,751 Industrials Stock
0.55% OMNICELL INC US68213N1090 OMCL 803 USD 109,343 Health Care Stock
0.54% CLEVELAND-CLIFFS INC US1858991011 CLF 7,501 USD 107,254 Materials Stock
0.53% EXPONENT INC US30214U1025 EXPO 970 USD 104,571 Industrials Stock
0.53% POWER INTEGRATIONS INC US7392761034 POWI 1,123 USD 104,118 Information Technology Stock
0.49% CROCS INC US2270461096 CROX 1,267 USD 96,901 Consumer Discretionary Stock
0.46% ADVANCED ENERGY INDUSTRIES INC US0079731008 AEIS 723 USD 90,572 Information Technology Stock
0.46% IRIDIUM COMMUNICATIONS INC US46269C1027 IRDM 2,186 USD 91,102 Communication Services Stock
0.45% CHART INDUSTRIES INC US16115Q3083 GTLS 665 USD 89,265 Industrials Stock
0.45% ENSIGN GROUP INC/THE US29358P1012 ENSG 954 USD 89,044 Health Care Stock
0.45% PROTO LABS INC US7437131094 PRLB 502 USD 90,073 Industrials Stock
0.45% SPS COMMERCE INC US78463M1071 SPSC 660 USD 88,346 Information Technology Stock
0.44% AGREE REALTY CORP US0084921008 ADC 1,012 USD 86,611 Real Estate Stock
0.44% LIVEPERSON INC US5381461012 LPSN 1,156 USD 87,706 Information Technology Stock
0.43% JOHN BEAN TECHNOLOGIES CORP US4778391049 JBT 596 USD 85,576 Industrials Stock
0.43% WD-40 CO US9292361071 WDFC 257 USD 84,880 Consumer Staples Stock
0.42% ALARM.COM HOLDINGS INC US0116421050 ALRM 838 USD 82,614 Information Technology Stock
0.42% MERITAGE HOMES CORP US59001A1025 MTH 706 USD 82,657 Consumer Discretionary Stock
0.41% BALCHEM CORP US0576652004 BCPC 607 USD 81,740 Materials Stock
0.41% COMMUNITY BANK SYSTEM INC US2036071064 CBU 1,008 USD 81,491 Financials Stock
0.41% INNOVATIVE INDUSTRIAL PROPERTIES INC US45781V1017 IIPR 404 USD 80,622 Real Estate Stock
0.41% STAMPS.COM INC US8528572006 STMP 330 USD 80,340 Consumer Discretionary Stock
0.40% QUAKER CHEMICAL CORP US7473161070 KWR 246 USD 78,912 Materials Stock
0.40% WATTS WATER TECHNOLOGIES INC US9427491025 WTS 516 USD 78,506 Industrials Stock
0.40% UFP INDUSTRIES INC US90278Q1085 UFPI 1,149 USD 80,057 Industrials Stock
0.40% TRUPANION INC US8982021060 TRUP 609 USD 80,182 Financials Stock
0.39% FORMFACTOR INC US3463751087 FORM 1,438 USD 76,569 Information Technology Stock
0.39% ITRON INC US4657411066 ITRI 758 USD 77,385 Information Technology Stock
0.39% LCI INDUSTRIES US50189K1034 LCII 472 USD 77,101 Consumer Discretionary Stock
0.39% MACY'S INC US55616P1049 M 5,867 USD 77,795 Consumer Discretionary Stock
0.38% AMN HEALTHCARE SERVICES INC US0017441017 AMN 883 USD 74,722 Health Care Stock
0.38% VIAVI SOLUTIONS INC US9255501051 VIAV 4,304 USD 75,711 Information Technology Stock
0.37% APPLIED INDUSTRIAL TECHNOLOGIES INC US03820C1053 AIT 727 USD 74,050 Industrials Stock
0.37% VONAGE HOLDINGS CORP US92886T2015 VG 4,337 USD 72,433 Communication Services Stock
0.37% GLAUKOS CORP US3773221029 GKOS 838 USD 73,439 Health Care Stock
0.36% CONMED CORP US2074101013 CNMD 537 USD 71,058 Health Care Stock
0.36% SHAKE SHACK INC US8190471016 SHAK 665 USD 70,524 Consumer Discretionary Stock
0.35% DIODES INC US2545431015 DIOD 789 USD 69,637 Information Technology Stock
0.35% EXLSERVICE HOLDINGS INC US3020811044 EXLS 643 USD 69,527 Information Technology Stock
0.35% GREEN DOT CORP US39304D1028 GDOT 1,002 USD 69,697 Financials Stock
0.35% HILLENBRAND INC US4315711089 HI 1,415 USD 68,857 Industrials Stock
0.35% LEXINGTON REALTY TRUST US5290431015 LXP 5,201 USD 68,964 Real Estate Stock
0.35% UNIFIRST CORP/MA US9047081040 UNF 286 USD 68,670 Industrials Stock
0.35% FIRST HAWAIIAN INC US32051X1081 FHB 2,451 USD 69,774 Financials Stock
0.34% AMERICAN STATES WATER CO US0298991011 AWR 693 USD 66,438 Utilities Stock
0.34% HMS HOLDINGS CORP US40425J1016 HMSY 1,673 USD 68,267 Health Care Stock
0.34% ROGERS CORP US7751331015 ROG 352 USD 67,159 Information Technology Stock
0.33% AAON INC US0003602069 AAON 767 USD 64,876 Industrials Stock
0.33% AEROJET ROCKETDYNE HOLDINGS INC US0078001056 AJRD 1,364 USD 66,305 Industrials Stock
0.33% COVETRUS INC US22304C1009 CVET 1,839 USD 64,520 Health Care Stock
0.33% DORMAN PRODUCTS INC US2582781009 DORM 543 USD 65,139 Consumer Discretionary Stock
0.33% HB FULLER CO US3596941068 FUL 973 USD 66,126 Materials Stock
0.33% MERIT MEDICAL SYSTEMS INC US5898891040 MMSI 915 USD 65,440 Health Care Stock
0.33% PACIFIC PREMIER BANCORP INC US69478X1054 PPBI 1,769 USD 66,211 Financials Stock
0.33% ARCONIC ROLLED PRODUCTS CORP US03966V1070 ARNC 1,817 USD 64,916 Materials Stock
0.33% BED BATH & BEYOND INC US0758961009 BBBY 2,370 USD 64,513 Consumer Discretionary Stock
0.32% ABM INDUSTRIES INC US0009571003 ABM 1,252 USD 62,600 Industrials Stock
0.32% ESCO TECHNOLOGIES INC US2963151046 ESE 489 USD 62,808 Industrials Stock
0.32% FRANKLIN ELECTRIC CO INC US3535141028 FELE 720 USD 63,201 Industrials Stock
0.32% OLD NATIONAL BANCORP/IN US6800331075 ONB 3,120 USD 64,142 Financials Stock
0.32% PACIRA BIOSCIENCES INC US6951271005 PCRX 797 USD 62,715 Health Care Stock
0.32% SELECT MEDICAL HOLDINGS CORP US81619Q1058 SEM 2,014 USD 63,036 Health Care Stock
0.32% RESIDEO TECHNOLOGIES INC US76118Y1047 REZI 2,640 USD 63,394 Industrials Stock
0.32% BANKUNITED INC US06652K1034 BKU 1,737 USD 64,314 Financials Stock
0.31% ARCOSA INC US0396531008 ACA 913 USD 61,527 Industrials Stock
0.31% AVISTA CORP US05379B1070 AVA 1,274 USD 62,078 Utilities Stock
0.31% FABRINET KYG3323L1005 FN 693 USD 61,479 Information Technology Stock
0.31% INSIGHT ENTERPRISES INC US45765U1034 NSIT 659 USD 61,176 Information Technology Stock
0.31% MATSON INC US57686G1058 MATX 812 USD 61,301 Industrials Stock
0.31% MICROSTRATEGY INC US5949724083 MSTR 137 USD 60,986 Information Technology Stock
0.31% ASSURED GUARANTY LTD BMG0585R1060 AGO 1,573 USD 61,551 Financials Stock
0.30% AMERICAN EQUITY INVESTMENT LIFE HOLDING CO US0256762065 AEL 1,733 USD 59,147 Financials Stock
0.30% BADGER METER INC US0565251081 BMI 549 USD 58,779 Information Technology Stock
0.30% CALIFORNIA WATER SERVICE GROUP US1307881029 CWT 922 USD 59,247 Utilities Stock
0.30% COGENT COMMUNICATIONS HOLDINGS INC US19239V3024 CCOI 795 USD 60,028 Communication Services Stock
0.30% CVB FINANCIAL CORP US1266001056 CVBF 2,398 USD 59,140 Financials Stock
0.30% MDC HOLDINGS INC US5526761086 MDC 942 USD 59,052 Consumer Discretionary Stock
0.30% MEDIFAST INC US58470H1014 MED 224 USD 59,386 Consumer Staples Stock
0.30% STEPAN CO US8585861003 SCL 399 USD 60,192 Materials Stock
0.30% STEVEN MADDEN LTD US5562691080 SHOO 1,439 USD 58,812 Consumer Discretionary Stock
0.30% XENCOR INC US98401F1057 XNCR 1,073 USD 58,973 Health Care Stock
0.30% HELMERICH & PAYNE INC US4234521015 HP 2,033 USD 60,119 Energy Stock
0.29% AMERIS BANCORP US03076K1088 ABCB 1,309 USD 57,817 Financials Stock
0.29% CORCEPT THERAPEUTICS INC US2183521028 CORT 1,947 USD 57,247 Health Care Stock
0.29% INTEGER HOLDINGS CORP US45826H1095 ITGR 617 USD 57,766 Health Care Stock
0.29% LGI HOMES INC US50187T1060 LGIH 412 USD 57,814 Consumer Discretionary Stock
0.29% MOOG INC US6153942023 MOG/A 564 USD 56,664 Industrials Stock
0.29% SOUTH JERSEY INDUSTRIES INC US8385181081 SJI 1,888 USD 56,444 Utilities Stock
0.29% WALKER & DUNLOP INC US93148P1021 WD 548 USD 56,942 Financials Stock
0.29% WOLVERINE WORLD WIDE INC US9780971035 WWW 1,534 USD 57,495 Consumer Discretionary Stock
0.29% R1 RCM INC US7493971052 RCM 2,166 USD 57,047 Health Care Stock
0.28% COLUMBIA BANKING SYSTEM INC US1972361026 COLB 1,354 USD 55,584 Financials Stock
0.28% INDEPENDENT BANK CORP US4538361084 INDB 624 USD 54,815 Financials Stock
0.28% INSTALLED BUILDING PRODUCTS INC US45780R1014 IBP 426 USD 54,672 Consumer Discretionary Stock
0.28% RENEWABLE ENERGY GROUP INC US75972A3014 REGI 735 USD 55,440 Energy Stock
0.28% SPX CORP US7846351044 SPXC 842 USD 56,020 Industrials Stock
0.28% SPX FLOW INC US78469X1072 FLOW 798 USD 55,528 Industrials Stock
0.28% ALLSCRIPTS HEALTHCARE SOLUTIONS INC US01988P1084 MDRX 3,076 USD 54,649 Health Care Stock
0.28% BRINKER INTERNATIONAL INC US1096411004 EAT 851 USD 55,381 Consumer Discretionary Stock
0.27% ALLEGIANT TRAVEL CO US01748X1028 ALGT 244 USD 53,930 Industrials Stock
0.27% ASBURY AUTOMOTIVE GROUP INC US0434361046 ABG 364 USD 53,309 Consumer Discretionary Stock
0.27% BRADY CORP US1046741062 BRC 917 USD 52,614 Industrials Stock
0.27% EVERTEC INC PR30040P1032 EVTC 1,127 USD 54,403 Information Technology Stock
0.27% IROBOT CORP US4627261005 IRBT 528 USD 53,781 Consumer Discretionary Stock
0.27% KORN FERRY US5006432000 KFY 1,043 USD 54,236 Industrials Stock
0.27% LIVENT CORP US53814L1089 LTHM 2,764 USD 54,454 Materials Stock
0.27% ONTO INNOVATION INC US6833441057 ONTO 918 USD 52,707 Information Technology Stock
0.27% PLEXUS CORP US7291321005 PLXS 550 USD 53,364 Information Technology Stock
0.27% SANMINA CORP US8010561020 SANM 1,275 USD 52,681 Information Technology Stock
0.27% SHENANDOAH TELECOMMUNICATIONS CO US82312B1061 SHEN 939 USD 54,194 Communication Services Stock
0.27% SKYWEST INC US8308791024 SKYW 949 USD 52,910 Industrials Stock
0.27% J & J SNACK FOODS CORP US4660321096 JJSF 281 USD 53,058 Consumer Staples Stock
0.26% ALBANY INTERNATIONAL CORP US0123481089 AIN 577 USD 51,353 Industrials Stock
0.26% BARNES GROUP INC US0678061096 B 876 USD 52,344 Industrials Stock
0.26% ESSENTIAL PROPERTIES REALTY TRUST INC US29670E1073 EPRT 1,914 USD 51,057 Real Estate Stock
0.26% GIBRALTAR INDUSTRIES INC US3746891072 ROCK 611 USD 51,943 Industrials Stock
0.26% MANTECH INTERNATIONAL CORP/VA US5645631046 MANT 513 USD 51,280 Information Technology Stock
0.26% NATIONAL STORAGE AFFILIATES TRUST US6378701063 NSA 1,164 USD 51,367 Real Estate Stock
0.26% SIMMONS FIRST NATIONAL CORP US8287302009 SFNC 2,063 USD 52,245 Financials Stock
0.26% XRAY-TWOLF HOLDCO CORP US98390M1036 XPER 2,054 USD 50,896 Information Technology Stock
0.26% INDEPENDENT BANK GROUP INC US45384B1061 IBTX 693 USD 50,499 Financials Stock
0.25% 8X8 INC US2829141009 EGHT 1,964 USD 50,426 Information Technology Stock
0.25% CALLAWAY GOLF CO US1311931042 ELY 1,776 USD 49,013 Consumer Discretionary Stock
0.25% COOPER TIRE & RUBBER CO US2168311072 CTB 953 USD 49,172 Consumer Discretionary Stock
0.25% FORWARD AIR CORP US3498531017 FWRD 527 USD 50,010 Industrials Stock
0.25% GROUP 1 AUTOMOTIVE INC US3989051095 GPI 323 USD 49,838 Consumer Discretionary Stock
0.25% INNOSPEC INC US45768S1050 IOSP 466 USD 49,801 Materials Stock
0.25% MAXLINEAR INC US57776J1007 MXL 1,242 USD 50,406 Information Technology Stock
0.25% SOUTHWESTERN ENERGY CO US8454671095 SWN 12,141 USD 49,037 Energy Stock
0.25% UNITED COMMUNITY BANKS INC/GA US90984P3038 UCBI 1,624 USD 50,428 Financials Stock
0.25% UNITI GROUP INC US91325V1089 UNIT 3,665 USD 48,930 Real Estate Stock
0.24% EHEALTH INC US28238P1093 EHTH 486 USD 47,962 Financials Stock
0.24% FOUR CORNERS PROPERTY TRUST INC US35086T1097 FCPT 1,333 USD 48,490 Real Estate Stock
0.24% KONTOOR BRANDS INC US50050N1037 KTB 886 USD 47,948 Consumer Discretionary Stock
0.24% MERITOR INC US59001K1007 MTOR 1,370 USD 46,971 Industrials Stock
0.24% SLEEP NUMBER CORP US83125X1037 SNBR 520 USD 46,861 Consumer Discretionary Stock
0.24% WASHINGTON REAL ESTATE INVESTMENT TRUST US9396531017 WRE 1,559 USD 46,993 Real Estate Stock
0.24% BRANDYWINE REALTY TRUST US1053682035 BDN 3,231 USD 46,703 Real Estate Stock
0.24% MR COOPER GROUP INC US62482R1077 COOP 1,363 USD 47,192 Financials Stock
0.23% AEROVIRONMENT INC US0080731088 AVAV 406 USD 45,024 Industrials Stock
0.23% BIG LOTS INC US0893021032 BIG 670 USD 44,960 Consumer Discretionary Stock
0.23% BIOTELEMETRY INC US0906721065 BEAT 645 USD 46,415 Health Care Stock
0.23% CARETRUST REIT INC US14174T1079 CTRE 1,807 USD 45,597 Real Estate Stock
0.23% COMFORT SYSTEMS USA INC US1999081045 FIX 691 USD 45,220 Industrials Stock
0.23% CUBIC CORP US2296691064 CUB 593 USD 45,099 Industrials Stock
0.23% FEDERAL SIGNAL CORP US3138551086 FSS 1,141 USD 45,981 Industrials Stock
0.23% GENTHERM INC US37253A1034 THRM 617 USD 45,562 Consumer Discretionary Stock
0.23% HUB GROUP INC US4433201062 HUBG 636 USD 45,115 Industrials Stock
0.23% KULICKE & SOFFA INDUSTRIES INC US5012421013 KLIC 1,163 USD 45,991 Information Technology Stock
0.23% MUELLER INDUSTRIES INC US6247561029 MLI 1,075 USD 45,736 Industrials Stock
0.23% NMI HOLDINGS INC US6292093050 NMIH 1,594 USD 45,357 Financials Stock
0.23% OWENS & MINOR INC US6907321029 OMI 1,360 USD 45,498 Health Care Stock
0.23% PRA GROUP INC US69354N1063 PRAA 860 USD 46,496 Financials Stock
0.23% PRICESMART INC US7415111092 PSMT 438 USD 46,235 Consumer Staples Stock
0.23% RANGE RESOURCES CORP US75281A1097 RRC 4,801 USD 45,516 Energy Stock
0.22% B&G FOODS INC US05508R1068 BGS 1,210 USD 43,513 Consumer Staples Stock
0.22% BOTTOMLINE TECHNOLOGIES DE INC US1013881065 EPAY 719 USD 42,617 Information Technology Stock
0.22% CADENCE BANCORP US12739A1007 CADE 2,367 USD 42,852 Financials Stock
0.22% FLAGSTAR BANCORP INC US3379307057 FBC 950 USD 43,231 Financials Stock
0.22% MAGELLAN HEALTH INC US5590792074 MGLN 418 USD 42,913 Health Care Stock
0.22% PROGRESS SOFTWARE CORP US7433121008 PRGS 845 USD 44,006 Information Technology Stock
0.22% RAMBUS INC US7509171069 RMBS 2,147 USD 43,832 Information Technology Stock
0.22% SERVISFIRST BANCSHARES INC US81768T1088 SFBS 874 USD 42,883 Financials Stock
0.22% WINNEBAGO INDUSTRIES INC US9746371007 WGO 637 USD 43,788 Consumer Discretionary Stock
0.21% AXOS FINANCIAL INC US05465C1009 AX 975 USD 42,419 Financials Stock
0.21% BOISE CASCADE CO US09739D1000 BCC 742 USD 41,677 Materials Stock
0.21% EASTERLY GOVERNMENT PROPERTIES INC US27616P1030 DEA 1,501 USD 42,223 Real Estate Stock
0.21% FIRST BANCORP/PUERTO RICO PR3186727065 FBP 4,119 USD 42,474 Financials Stock
0.21% LA-Z-BOY INC US5053361078 LZB 867 USD 41,706 Consumer Discretionary Stock
0.21% PDC ENERGY INC US69327R1014 PDCE 1,873 USD 40,671 Energy Stock
0.21% PENNYMAC MORTGAGE INVESTMENT TRUST US70931T1034 PMT 1,867 USD 41,462 Financials Stock
0.21% PROVIDENCE SERVICE CORP/THE US7438151026 PRSC 231 USD 40,737 Health Care Stock
0.21% VICOR CORP US9258151029 VICR 393 USD 41,831 Industrials Stock
0.21% RETAIL PROPERTIES OF AMERICA INC US76131V2025 RPAI 4,030 USD 42,393 Real Estate Stock
0.21% ALLEGHENY TECHNOLOGIES INC US01741R1023 ATI 2,374 USD 41,591 Materials Stock
0.21% CHESAPEAKE UTILITIES CORP US1653031088 CPK 309 USD 41,739 Utilities Stock
0.21% RENASANT CORP US75970E1073 RNST 1,057 USD 42,376 Financials Stock
0.21% MEDNAX INC US58502B1061 MD 1,607 USD 42,178 Health Care Stock
0.20% FIRST FINANCIAL BANCORP US3202091092 FFBC 1,855 USD 38,666 Financials Stock
0.20% FIRST MIDWEST BANCORP INC/IL US3208671046 FMBI 2,149 USD 39,045 Financials Stock
0.20% HORACE MANN EDUCATORS CORP US4403271046 HMN 780 USD 40,438 Financials Stock
0.20% RENT-A-CENTER INC/TX US76009N1000 RCII 910 USD 39,969 Consumer Discretionary Stock
0.20% SIGNET JEWELERS LTD BMG812761002 SIG 987 USD 38,826 Consumer Discretionary Stock
0.20% TUPPERWARE BRANDS CORP US8998961044 TUP 924 USD 40,380 Consumer Discretionary Stock
0.20% XENIA HOTELS & RESORTS INC US9840171030 XHR 2,142 USD 39,196 Real Estate Stock
0.20% CAPITOL FEDERAL FINANCIAL INC US14057J1016 CFFN 2,478 USD 39,648 Financials Stock
0.19% CAVCO INDUSTRIES INC US1495681074 CVCO 161 USD 37,638 Consumer Discretionary Stock
0.19% KNOWLES CORP US49926D1090 KN 1,725 USD 38,040 Information Technology Stock
0.19% MONRO INC US6102361010 MNRO 630 USD 38,463 Consumer Discretionary Stock
0.19% NIC INC US62914B1008 EGOV 1,264 USD 38,470 Information Technology Stock
0.19% NORTHWEST BANCSHARES INC US6673401039 NWBI 2,407 USD 36,980 Financials Stock
0.19% PERFICIENT INC US71375U1016 PRFT 625 USD 36,956 Information Technology Stock
0.19% RETAIL OPPORTUNITY INVESTMENTS CORP US76131N1019 ROIC 2,197 USD 37,035 Real Estate Stock
0.19% SHUTTERSTOCK INC US8256901005 SSTK 416 USD 37,148 Consumer Discretionary Stock
0.19% SYKES ENTERPRISES INC US8712371033 SYKE 754 USD 36,848 Information Technology Stock
0.19% CHEESECAKE FACTORY INC/THE US1630721017 CAKE 789 USD 38,405 Consumer Discretionary Stock
0.19% ODP CORP/THE US88337F1057 ODP 990 USD 36,861 Consumer Discretionary Stock
0.18% ADDUS HOMECARE CORP US0067391062 ADUS 283 USD 36,478 Health Care Stock
0.18% AMERICAN ASSETS TRUST INC US0240131047 AAT 937 USD 34,912 Real Estate Stock
0.18% AMERICAN WOODMARK CORP US0305061097 AMWD 321 USD 36,481 Industrials Stock
0.18% APOLLO COMMERCIAL REAL ESTATE FINANCE INC US03762U1051 ARI 2,572 USD 36,008 Financials Stock
0.18% ATLAS AIR WORLDWIDE HOLDINGS INC US0491642056 AAWW 493 USD 35,733 Industrials Stock
0.18% BANNER CORP US06652V2088 BANR 660 USD 35,426 Financials Stock
0.18% CAL-MAINE FOODS INC US1280302027 CALM 686 USD 34,861 Consumer Staples Stock
0.18% CENTRAL GARDEN & PET CO US1535272058 CENTA 737 USD 35,309 Consumer Staples Stock
0.18% CSG SYSTEMS INTERNATIONAL INC US1263491094 CSGS 627 USD 35,324 Information Technology Stock
0.18% DIAMONDROCK HOSPITALITY CO US2527843013 DRH 3,737 USD 36,496 Real Estate Stock
0.18% ENPRO INDUSTRIES INC US29355X1072 NPO 385 USD 35,405 Industrials Stock
0.18% GLOBAL NET LEASE INC US3793782018 GNL 1,689 USD 36,610 Real Estate Stock
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0.07% TRUSTCO BANK CORP NY US8983491056 TRST 1,829 USD 14,418 Financials Stock
0.07% US CONCRETE INC US90333L2016 USCR 303 USD 13,962 Materials Stock
0.07% VIAD CORP US92552R4065 VVI 379 USD 14,751 Industrials Stock
0.07% NOW INC US67011P1003 DNOW 2,047 USD 14,834 Industrials Stock
0.07% FULGENT GENETICS INC US3596641098 FLGT 221 USD 12,893 Health Care Stock
0.06% ADVANSIX INC US00773T1016 ASIX 534 USD 12,324 Materials Stock
0.06% AEGION CORP US00770F1049 AEGN 576 USD 12,829 Industrials Stock
0.06% AMERICAN PUBLIC EDUCATION INC US02913V1035 APEI 279 USD 11,247 Consumer Discretionary Stock
0.06% CALERES INC US1295001044 CAL 755 USD 11,541 Consumer Discretionary Stock
0.06% CENTRAL PACIFIC FINANCIAL CORP US1547604090 CPF 528 USD 11,239 Financials Stock
0.06% CENTURY ALUMINUM CO US1564311082 CENX 960 USD 12,655 Materials Stock
0.06% CHUY'S HOLDINGS INC US1716041017 CHUY 370 USD 11,388 Consumer Discretionary Stock
0.06% COMTECH TELECOMMUNICATIONS CORP US2058262096 CMTL 467 USD 11,560 Information Technology Stock
0.06% CUSTOMERS BANCORP INC US23204G1004 CUBI 554 USD 12,152 Financials Stock
0.06% DIGI INTERNATIONAL INC US2537981027 DGII 545 USD 12,146 Information Technology Stock
0.06% DONNELLEY FINANCIAL SOLUTIONS INC US25787G1004 DFIN 570 USD 12,059 Financials Stock
0.06% FORRESTER RESEARCH INC US3465631097 FORR 205 USD 11,022 Industrials Stock
0.06% FOSSIL GROUP INC US34988V1061 FOSL 895 USD 12,321 Consumer Discretionary Stock
0.06% FRANKLIN STREET PROPERTIES CORP US35471R1068 FSP 1,844 USD 11,112 Real Estate Stock
0.06% GRANITE POINT MORTGAGE TRUST INC US38741L1070 GPMT 1,054 USD 12,675 Financials Stock
0.06% GREEN PLAINS INC US3932221043 GPRE 627 USD 12,035 Energy Stock
0.06% HAVERTY FURNITURE COS INC US4195961010 HVT 324 USD 11,454 Consumer Discretionary Stock
0.06% HAWKINS INC US4202611095 HWKN 178 USD 11,600 Materials Stock
0.06% HEALTHSTREAM INC US42222N1037 HSTM 479 USD 11,620 Health Care Stock
0.06% HEIDRICK & STRUGGLES INTERNATIONAL INC US4228191023 HSII 369 USD 12,508 Industrials Stock
0.06% INTERFACE INC US4586653044 TILE 1,124 USD 12,182 Industrials Stock
0.06% KKR REAL ESTATE FINANCE TRUST INC US48251K1007 KREF 513 USD 12,145 Financials Stock
0.06% LYDALL INC US5508191062 LDL 319 USD 11,351 Industrials Stock
0.06% PC CONNECTION INC US69318J1007 CNXN 208 USD 12,331 Information Technology Stock
0.06% PREFERRED BANK/LOS ANGELES CA US7403674044 PFBC 256 USD 12,225 Financials Stock
0.06% PROPETRO HOLDING CORP US74347M1080 PUMP 1,586 USD 11,885 Energy Stock
0.06% READY CAPITAL CORP US75574U1016 RC 718 USD 12,066 Financials Stock
0.06% RUTH'S HOSPITALITY GROUP INC US7833321091 RUTH 591 USD 11,950 Consumer Discretionary Stock
0.06% SM ENERGY CO US78454L1008 SM 2,045 USD 11,234 Energy Stock
0.06% SURMODICS INC US8688731004 SRDX 255 USD 12,399 Health Care Stock
0.06% UNITED FIRE GROUP INC US9103401082 UFCS 399 USD 11,333 Financials Stock
0.06% WISDOMTREE INVESTMENTS INC US97717P1049 WETF 2,133 USD 11,856 Financials Stock
0.06% WORLD ACCEPTANCE CORP US9814191048 WRLD 84 USD 12,317 Financials Stock
0.06% BRISTOW GROUP INC US11040G1031 VTOL 444 USD 12,830 Energy Stock
0.05% AMERICAN VANGUARD CORP US0303711081 AVD 513 USD 10,100 Materials Stock
0.05% ARLO TECHNOLOGIES INC US04206A1016 ARLO 1,454 USD 9,933 Information Technology Stock
0.05% BONANZA CREEK ENERGY INC US0977934001 BCEI 356 USD 10,204 Energy Stock
0.05% CENTRAL GARDEN & PET CO US1535271068 CENT 185 USD 9,620 Consumer Staples Stock
0.05% CONSOLIDATED COMMUNICATIONS HOLDINGS INC US2090341072 CNSL 1,388 USD 10,095 Communication Services Stock
0.05% CUTERA INC US2321091082 CUTR 328 USD 10,658 Health Care Stock
0.05% DESIGNER BRANDS INC US2505651081 DBI 1,021 USD 10,475 Consumer Discretionary Stock
0.05% DIME COMMUNITY BANCSHARES INC US2539221083 DCOM 538 USD 10,096 Financials Stock
0.05% DORIAN LPG LTD MHY2106R1100 LPG 633 USD 8,985 Energy Stock
0.05% DSP GROUP INC US23332B1061 DSPG 433 USD 9,464 Information Technology Stock
0.05% ETHAN ALLEN INTERIORS INC US2976021046 ETH 412 USD 9,776 Consumer Discretionary Stock
0.05% FOUNDATION BUILDING MATERIALS INC US3503921062 FBM 424 USD 10,594 Industrials Stock
0.05% GENESCO INC US3715321028 GCO 262 USD 10,674 Consumer Discretionary Stock
0.05% INSTEEL INDUSTRIES INC US45774W1080 IIIN 355 USD 10,664 Industrials Stock
0.05% MOTORCAR PARTS OF AMERICA INC US6200711009 MPAA 368 USD 9,616 Consumer Discretionary Stock
0.05% NATIONAL PRESTO INDUSTRIES INC US6372151042 NPK 96 USD 10,604 Industrials Stock
0.05% PAR PACIFIC HOLDINGS INC US69888T2078 PARR 711 USD 10,517 Energy Stock
0.05% PHIBRO ANIMAL HEALTH CORP US71742Q1067 PAHC 389 USD 9,543 Health Care Stock
0.05% QEP RESOURCES INC US74733V1008 QEP 4,578 USD 9,572 Energy Stock
0.05% RAYONIER ADVANCED MATERIALS INC US75508B1044 RYAM 1,191 USD 10,007 Materials Stock
0.05% RESOURCES CONNECTION INC US76122Q1058 RGP 579 USD 9,106 Industrials Stock
0.05% REX AMERICAN RESOURCES CORP US7616241052 REX 105 USD 10,705 Energy Stock
0.05% SAUL CENTERS INC US8043951016 BFS 225 USD 9,117 Real Estate Stock
0.05% SMART GLOBAL HOLDINGS INC KYG8232Y1017 SGH 255 USD 10,164 Information Technology Stock
0.05% SUNCOKE ENERGY INC US86722A1034 SXC 1,555 USD 9,088 Materials Stock
0.05% TREDEGAR CORP US8946501009 TG 474 USD 9,732 Materials Stock
0.05% UNIVERSAL INSURANCE HOLDINGS INC US91359V1070 UVE 561 USD 10,171 Financials Stock
0.05% URSTADT BIDDLE PROPERTIES INC US9172862057 UBA 574 USD 10,466 Real Estate Stock
0.05% GANNETT CO INC US36472T1097 GCI 2,503 USD 9,232 Communication Services Stock
0.05% COMPUTER PROGRAMS AND SYSTEMS INC US2053061030 CPSI 242 USD 8,935 Health Care Stock
0.05% CALLON PETROLEUM CO US13123X5086 CPE 751 USD 9,275 Energy Stock
0.04% CALAMP CORP US1281261099 CAMP 658 USD 7,793 Information Technology Stock
0.04% CROSS COUNTRY HEALTHCARE INC US2274831047 CCRN 664 USD 7,502 Health Care Stock
0.04% DXP ENTERPRISES INC/TX US2333774071 DXPE 309 USD 8,451 Industrials Stock
0.04% EL POLLO LOCO HOLDINGS INC US2686031079 LOCO 354 USD 7,204 Consumer Discretionary Stock
0.04% FUTUREFUEL CORP US36116M1062 FF 494 USD 7,692 Materials Stock
0.04% HANMI FINANCIAL CORP US4104952043 HAFC 575 USD 7,281 Financials Stock
0.04% HCI GROUP INC US40416E1038 HCI 118 USD 7,992 Financials Stock
0.04% HERSHA HOSPITALITY TRUST US4278255009 HT 691 USD 7,269 Real Estate Stock
0.04% INVACARE CORP US4612031017 IVC 645 USD 7,145 Health Care Stock
0.04% MERCER INTERNATIONAL INC US5880561015 MERC 769 USD 8,179 Materials Stock
0.04% MOVADO GROUP INC US6245801062 MOV 316 USD 6,948 Consumer Discretionary Stock
0.04% RED ROBIN GOURMET BURGERS INC US75689M1018 RRGB 292 USD 7,626 Consumer Discretionary Stock
0.04% SENECA FOODS CORP US8170705011 SENEA 131 USD 7,125 Consumer Staples Stock
0.04% SHOE CARNIVAL INC US8248891090 SCVL 171 USD 8,121 Consumer Discretionary Stock
0.04% US SILICA HOLDINGS INC US90346E1038 SLCA 1,415 USD 7,939 Energy Stock
0.04% WHITESTONE REIT US9660842041 WSR 782 USD 7,637 Real Estate Stock
0.04% NABORS INDUSTRIES LTD BMG6359F1370 NBR 129 USD 8,777 Energy Stock
0.03% ANI PHARMACEUTICALS INC US00182C1036 ANIP 178 USD 6,833 Health Care Stock
0.03% CONN'S INC US2082421072 CONN 369 USD 5,312 Consumer Discretionary Stock
0.03% EZCORP INC US3023011063 EZPW 979 USD 6,472 Financials Stock
0.03% FIESTA RESTAURANT GROUP INC US31660B1017 FRGI 335 USD 5,112 Consumer Discretionary Stock
0.03% HAYNES INTERNATIONAL INC US4208772016 HAYN 242 USD 6,660 Materials Stock
0.03% LANNETT CO INC US5160121019 LCI 644 USD 5,152 Health Care Stock
0.03% LIQUIDITY SERVICES INC US53635B1070 LQDT 520 USD 6,422 Consumer Discretionary Stock
0.03% MARCUS CORP/THE US5663301068 MCS 446 USD 6,800 Communication Services Stock
0.03% MATRIX SERVICE CO US5768531056 MTRX 492 USD 6,121 Energy Stock
0.03% OIL STATES INTERNATIONAL INC US6780261052 OIS 1,165 USD 6,718 Energy Stock
0.03% PARK AEROSPACE CORP US70014A1043 PKE 376 USD 6,216 Industrials Stock
0.03% POWELL INDUSTRIES INC US7391281067 POWL 171 USD 5,736 Industrials Stock
0.03% REGIS CORP US7589321071 RGS 466 USD 5,138 Consumer Discretionary Stock
0.03% TEAM INC US8781551002 TISI 584 USD 6,606 Industrials Stock
0.03% TITAN INTERNATIONAL INC US88830M1027 TWI 966 USD 6,298 Industrials Stock
0.03% UNIFI INC US9046772003 UFI 282 USD 5,545 Consumer Discretionary Stock
0.03% VERA BRADLEY INC US92335C1062 VRA 453 USD 4,989 Consumer Discretionary Stock
0.03% VERITIV CORP US9234541020 VRTV 245 USD 5,912 Industrials Stock
0.03% ZYNEX INC US98986M1036 ZYXI 365 USD 6,617 Health Care Stock
0.02% APPLIED OPTOELECTRONICS INC US03823U1025 AAOI 369 USD 3,982 Information Technology Stock
0.02% BEL FUSE INC US0773473006 BELFB 197 USD 3,751 Information Technology Stock
0.02% CATO CORP/THE US1492051065 CATO 416 USD 4,354 Consumer Discretionary Stock
0.02% CHICO'S FAS INC US1686151028 CHS 2,287 USD 4,485 Consumer Discretionary Stock
0.02% CONSOL ENERGY INC US20854L1089 CEIX 500 USD 3,435 Energy Stock
0.02% DAKTRONICS INC US2342641097 DAKT 723 USD 4,235 Information Technology Stock
0.02% EXTERRAN CORP US30227H1068 EXTN 545 USD 3,001 Energy Stock
0.02% GREENHILL & CO INC US3952591044 GHL 283 USD 4,785 Financials Stock
0.02% OLYMPIC STEEL INC US68162K1060 ZEUS 177 USD 3,411 Materials Stock
0.02% PENN VIRGINIA CORP US70788V1026 PVAC 256 USD 2,999 Energy Stock
0.02% RPC INC US7496601060 RES 993 USD 3,998 Energy Stock
0.02% SPOK HOLDINGS INC US84863T1060 SPOK 336 USD 4,289 Communication Services Stock
0.02% TALOS ENERGY INC US87484T1088 TALO 386 USD 4,291 Energy Stock
0.02% TIMKENSTEEL CORP US8873991033 TMST 769 USD 4,704 Materials Stock
0.01% BARNES & NOBLE EDUCATION INC US06777U1016 BNED 591 USD 2,786 Consumer Discretionary Stock
0.01% GEOSPACE TECHNOLOGIES CORP US37364X1090 GEOS 262 USD 2,113 Energy Stock
0.01% RR DONNELLEY & SONS CO US2578672006 RRD 1,367 USD 2,485 Industrials Stock
0.01% UNITED INSURANCE HOLDINGS CORP US9107101027 UIHC 400 USD 2,301 Financials Stock
0.01% LAREDO PETROLEUM INC US5168062058 LPI 172 USD 2,638 Energy Stock
0.00% GULFPORT ENERGY CORP US4026353049 GPORQ 408 USD 53 Energy Stock
0.00% NEWPARK RESOURCES INC US6517185046 NR 252 USD 491 Energy Stock
0.00% WASHINGTON PRIME GROUP INC US93964W1080 WPG 524 USD 694 Real Estate Stock
0.00% PROGENIC PHARMACEUTICALS INC. US743CVR0370 - 1,178 USD - - Stock
0.00% OASIS PETROLEUM INC. CALL EXP 31DEC25 US6742151169 - 4 USD - - Stock
0.66% CASH - - 1 CAD 130,394 - Cash and Cash Equivalents

Holdings Breakdown

Sector Allocation

Geographic Allocation

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