Moderna Inc
|
MRNA |
SH |
1603900 |
229.117 Billion |
Apple Inc
|
AAPL |
SH |
1163313 |
159.048 Billion |
SPDR S&P 500 ETF TRUST
|
SPY |
SH |
401243 |
151.369 Billion |
Microsoft Corp.
|
MSFT |
SH |
561606 |
144.237 Billion |
iShares Core MSCI Emerging Markets ETF-
|
IEMG |
SH |
2193367 |
107.607 Billion |
iShares Core S&P 500 ETF-
|
IVV |
SH |
280153 |
106.22 Billion |
iShares MSCI EAFE ETF-
|
EFA |
SH |
1136519 |
71.021 Billion |
Structured Products Corp.
|
KSA |
SH |
1690046 |
69.951 Billion |
iShares Currency Hedged MSCI EAFE ETF-
|
HEFA |
SH |
2010970 |
63.989 Billion |
Amazon.com Inc.
|
AMZN |
SH |
568821 |
60.414 Billion |
Alphabet Inc. Class A
|
GOOGL |
SH |
27472 |
59.868 Billion |
VANGUARD 500 INDEX FUND-ETF Shares
|
VOO |
SH |
152631 |
52.945 Billion |
iShares Russell 2000 ETF-
|
IWM |
SH |
310872 |
52.649 Billion |
Johnson & Johnson Co.
|
JNJ |
SH |
255126 |
45.288 Billion |
Alphabet Inc. Class C
|
GOOG |
SH |
18389 |
40.225 Billion |
Xtrackers MSCI EAFE Hedged Equity ETF-
|
DBEF |
SH |
1138275 |
39.623 Billion |
UnitedHealth Group Inc.
|
UNH |
SH |
70715 |
36.321 Billion |
AbbVie Inc
|
ABBV |
SH |
233714 |
35.795 Billion |
Abbott Laboratories
|
ABT |
SH |
318951 |
34.654 Billion |
VANGUARD EMERGING MARKETS STOCK INDEX FUND-ETF Shares
|
VWO |
SH |
832021 |
34.654 Billion |
Berkshire Hathaway Inc Class B
|
BRK.B |
SH |
120180 |
32.811 Billion |
Hillenbrand Inc.
|
HI |
SH |
797676 |
32.673 Billion |
VANGUARD DEVELOPED MARKETS INDEX FUND-ETF Shares
|
VEA |
SH |
758806 |
30.959 Billion |
Procter & Gamble Co. (OH) (1905)
|
PG |
SH |
195181 |
28.065 Billion |
VISA Inc
|
V |
SH |
138691 |
27.307 Billion |
Tesla Inc
|
TSLA |
SH |
38765 |
26.105 Billion |
NVIDIA Corp.
|
NVDA |
SH |
163941 |
24.852 Billion |
iShares Russell 1000 Value ETF-
|
IWD |
SH |
168826 |
24.475 Billion |
iShares Russell 1000 Growth ETF-
|
IWF |
SH |
109444 |
23.935 Billion |
JPMorgan Chase & Co. (Chemical Bank)
|
JPM |
SH |
211684 |
23.838 Billion |
Home Depot, Inc. (The)
|
HD |
SH |
80730 |
22.142 Billion |
VANGUARD SHORT-TERM BOND INDEX FUND-ETF Shares
|
BSV |
SH |
281525 |
21.618 Billion |
Goldman Sachs Access Ultra Short Bond ETF-
|
GSST |
SH |
424089 |
21.141 Billion |
VANGUARD SMALL-CAP INDEX FUND-ETF Shares
|
VB |
SH |
115887 |
20.409 Billion |
McDonalds Corp.
|
MCD |
SH |
80664 |
19.914 Billion |
Pfizer, Inc.
|
PFE |
SH |
367430 |
19.265 Billion |
Bank of America Corp. (North Carolina National Bank)
|
BAC |
SH |
615037 |
19.146 Billion |
ExxonMobil Corp. (Standard Oil of New Jersey)
|
XOM |
SH |
222148 |
19.025 Billion |
Pepsico Inc. (Loft, Inc.)
|
PEP |
SH |
112367 |
18.727 Billion |
VANGUARD TOTAL BOND MARKET INDEX FUND-ETF Shares
|
BND |
SH |
248286 |
18.686 Billion |
Mastercard Inc
|
MA |
SH |
55325 |
17.454 Billion |
SPDR(R) Bloomberg High Yield Bond ETF-
|
JNK |
SH |
187105 |
16.972 Billion |
Thermo Fisher Scientific, Inc.
|
TMO |
SH |
31017 |
16.851 Billion |
Merck & Co
|
MRK |
SH |
183330 |
16.714 Billion |
Intel Corp.
|
INTC |
SH |
435684 |
16.299 Billion |
Lilly (Eli) & Co.
|
LLY |
SH |
50194 |
16.274 Billion |
Bristol-Myers Squibb Co
|
BMY |
SH |
200905 |
15.47 Billion |
MercadoLibre Inc
|
MELI |
SH |
24248 |
15.443 Billion |
Kimberly-Clark Corp.
|
KMB |
SH |
113846 |
15.386 Billion |
Cisco Systems, Inc.
|
CSCO |
SH |
354388 |
15.111 Billion |
Costco Co.
|
COST |
SH |
31138 |
14.924 Billion |
Union Pacific Corp.
|
UNP |
SH |
65621 |
13.996 Billion |
Broadcom Ltd. (Avago Technologies)
|
AVGO |
SH |
28429 |
13.811 Billion |
Oracle Corp
|
ORCL |
SH |
188829 |
13.194 Billion |
Chevron Corp. (Standard Oil of California)
|
CVX |
SH |
88566 |
12.822 Billion |
iShares 1-5 Year Investment Grade Corporate Bond ETF-
|
IGSB |
SH |
249396 |
12.607 Billion |
Texas Instruments, Inc.
|
TXN |
SH |
81620 |
12.541 Billion |
Salesforce.com Inc.
|
CRM |
SH |
74779 |
12.342 Billion |
International Business Machines Corp.
|
IBM |
SH |
84605 |
11.946 Billion |
Target Corp.
|
TGT |
SH |
83467 |
11.788 Billion |
AT&T Inc. (Southwestern Bell - SBC Corp.)
|
T |
SH |
562321 |
11.786 Billion |
Danaher Corp.
|
DHR |
SH |
46345 |
11.749 Billion |
VANGUARD TOTAL STOCK MARKET INDEX FUND-ETF Shares
|
VTI |
SH |
61301 |
11.563 Billion |
Comcast Corp. Class A
|
CMCSA |
SH |
294274 |
11.547 Billion |
Switch Inc
|
SWCH |
SH |
340527 |
11.408 Billion |
iShares Core S&P Small-Cap ETF-
|
IJR |
SH |
123079 |
11.374 Billion |
NextEra Energy Inc.
|
NEE |
SH |
146521 |
11.35 Billion |
The Health Care Select Sector SPDR Fund-
|
XLV |
SH |
85764 |
10.998 Billion |
Morgan Stanley
|
MS |
SH |
143184 |
10.891 Billion |
Coca Cola Co.
|
KO |
SH |
168857 |
10.623 Billion |
Walt Disney Co. (The)
|
DIS |
SH |
108363 |
10.229 Billion |
Yatra Online Inc
|
YTRA |
SH |
4529057 |
10.19 Billion |
Elevance Health Inc
|
ELV |
SH |
20728 |
10.003 Billion |
American Tower Corp., Class A
|
AMT |
SH |
39050 |
9.981 Billion |
Walmart Inc
|
WMT |
SH |
81911 |
9.959 Billion |
Amgen, Inc.
|
AMGN |
SH |
40112 |
9.759 Billion |
Adobe Systems, Inc.
|
ADBE |
SH |
25578 |
9.363 Billion |
Charles Schwab Corp
|
SCHW |
SH |
145322 |
9.181 Billion |
CVS Health Corp. (Melville Shoe)
|
CVS |
SH |
97666 |
9.05 Billion |
QUALCOMM Inc.
|
QCOM |
SH |
69250 |
8.846 Billion |
iShares ESG Aware MSCI EM ETF-
|
ESGE |
SH |
267958 |
8.658 Billion |
Boeing Company
|
BA |
SH |
63239 |
8.646 Billion |
NIKE Inc.
|
NKE |
SH |
83878 |
8.572 Billion |
Caterpillar Inc.
|
CAT |
SH |
46420 |
8.298 Billion |
ConocoPhillips (Phillips Petroleum)
|
COP |
SH |
89972 |
8.08 Billion |
Honeywell International Inc. (Allied Chemical and Dye - Allied Signal)
|
HON |
SH |
45709 |
7.945 Billion |
Invesco QQQ Trust, Series 1
|
QQQ |
SH |
27958 |
7.836 Billion |
Alibaba Group Holding Ltd ADR
|
BABA |
SH |
66118 |
7.516 Billion |
Vertex Pharmaceuticals, Inc.
|
VRTX |
SH |
25775 |
7.263 Billion |
Verizon Communications (Bell Atlantic Corp.)
|
VZ |
SH |
140378 |
7.124 Billion |
VANGUARD REAL ESTATE INDEX FUND-ETF Shares
|
VNQ |
SH |
77947 |
7.102 Billion |
Iron Mountain, Inc.
|
IRM |
SH |
141292 |
6.88 Billion |
Elastic NV
|
ESTC |
SH |
101024 |
6.836 Billion |
Wells Fargo & Co. (Northwest Bancorporation)
|
WFC |
SH |
171792 |
6.729 Billion |
ProLogis, Inc.
|
PLD |
SH |
55329 |
6.51 Billion |
Lowes Companies, Inc.
|
LOW |
SH |
36995 |
6.462 Billion |
Gilead Sciences Inc.
|
GILD |
SH |
104515 |
6.46 Billion |
Charter Communications Inc
|
CHTR |
SH |
13764 |
6.449 Billion |
Mondelez International Inc. (Kraft Foods)
|
MDLZ |
SH |
103833 |
6.447 Billion |
Intuit, Inc.
|
INTU |
SH |
16649 |
6.417 Billion |
Raytheon Technologies Corp. (United Technologies)
|
RTX |
SH |
65769 |
6.321 Billion |
Marsh & McLennan Companies, Inc.
|
MMC |
SH |
40459 |
6.281 Billion |
Entegris Inc.
|
ENTG |
SH |
66889 |
6.162 Billion |
American Express Co
|
AXP |
SH |
44089 |
6.112 Billion |
Baidu Inc ADR
|
BIDU |
SH |
41061 |
6.107 Billion |
BlackRock Inc. Class A
|
BLK |
SH |
9947 |
6.058 Billion |
Intercontinental Exchange Inc
|
ICE |
SH |
63219 |
5.945 Billion |
CSX Corp
|
CSX |
SH |
204112 |
5.931 Billion |
iShares MSCI Emerging Markets ETF-
|
EEM |
SH |
147910 |
5.931 Billion |
Applied Materials Inc.
|
AMAT |
SH |
61209 |
5.568 Billion |
Dollar General Corp.
|
DG |
SH |
22314 |
5.477 Billion |
Automatic Data Processing Inc
|
ADP |
SH |
26031 |
5.468 Billion |
Aon PLC
|
AON |
SH |
20106 |
5.422 Billion |
Medtronic Plc
|
MDT |
SH |
60199 |
5.403 Billion |
United Parcel Service, Inc. Class B
|
UPS |
SH |
29489 |
5.383 Billion |
Humana, Inc.
|
HUM |
SH |
11339 |
5.308 Billion |
Copart Inc.
|
CPRT |
SH |
48098 |
5.226 Billion |
TJX Companies Inc.
|
TJX |
SH |
93472 |
5.22 Billion |
Advanced Micro Devices Inc
|
AMD |
SH |
68256 |
5.22 Billion |
Zoetis, Inc.
|
ZTS |
SH |
30074 |
5.169 Billion |
Mettler-Toledo International, Inc.
|
MTD |
SH |
4488 |
5.156 Billion |
Cigna Holding Co
|
CI |
SH |
19302 |
5.086 Billion |
Steel Partners Holdings LP
|
SPLP |
SH |
119167 |
5.002 Billion |
Huazhu Grp Ltd ADS ADR
|
HTHT |
SH |
131185 |
4.998 Billion |
Capital One Financial Corp
|
COF |
SH |
47621 |
4.962 Billion |
Lam Research Corp.
|
LRCX |
SH |
11596 |
4.942 Billion |
Norfolk Southern Corp.
|
NSC |
SH |
21578 |
4.904 Billion |
Abiomed Inc
|
ABMD |
SH |
19731 |
4.884 Billion |
General Motors Co
|
GM |
SH |
153462 |
4.874 Billion |
iShares Russell 1000 ETF-
|
IWB |
SH |
23433 |
4.868 Billion |
ServiceNow Inc
|
NOW |
SH |
10195 |
4.848 Billion |
The Energy Select Sector SPDR Fund-
|
XLE |
SH |
67669 |
4.839 Billion |
General Dynamics Corp. (Electric Boat)
|
GD |
SH |
20954 |
4.636 Billion |
Alerian MLP ETF-
|
AMLP |
SH |
133841 |
4.611 Billion |
PayPal Holdings Inc
|
PYPL |
SH |
65962 |
4.607 Billion |
Sherwin-Williams Co.
|
SHW |
SH |
20565 |
4.605 Billion |
Heico Corp. Class A
|
HEI.A |
SH |
43514 |
4.586 Billion |
WisdomTree Europe Hedged Equity Fund-N/A
|
HEDJ |
SH |
69771 |
4.573 Billion |
VANGUARD GLOBAL EX-U.S. REAL ESTATE INDEX FUND-ETF Shares
|
VNQI |
SH |
103203 |
4.569 Billion |
Procore Technologies Inc
|
PCOR |
SH |
100246 |
4.55 Billion |
Moodys Corp
|
MCO |
SH |
16684 |
4.538 Billion |
Prudential Financial Inc.
|
PRU |
SH |
47114 |
4.508 Billion |
AutoZone Inc.
|
AZO |
SH |
2096 |
4.505 Billion |
Deere & Co.
|
DE |
SH |
15026 |
4.5 Billion |
Parker-Hannifin Corp.
|
PH |
SH |
18287 |
4.5 Billion |
Chubb Limited
|
CB |
SH |
22549 |
4.433 Billion |
Lockheed Martin Corp.
|
LMT |
SH |
10245 |
4.405 Billion |
S&P Global Inc. (McGraw-Hill Inc.)
|
SPGI |
SH |
13012 |
4.386 Billion |
Air Products & Chemicals Inc
|
APD |
SH |
18240 |
4.386 Billion |
Bank Of New York Mellon Corp
|
BK |
SH |
102370 |
4.27 Billion |
Philip Morris International Inc
|
PM |
SH |
42929 |
4.239 Billion |
Starbucks Corp.
|
SBUX |
SH |
55468 |
4.237 Billion |
Micron Technology, Inc.
|
MU |
SH |
76490 |
4.228 Billion |
Teledyne Technologies, Inc.
|
TDY |
SH |
11254 |
4.221 Billion |
Edwards Lifesciences Corp.
|
EW |
SH |
43866 |
4.171 Billion |
U.S. Bancorp (First National Bank of Cincinnati)
|
USB |
SH |
90193 |
4.151 Billion |
iShares MSCI ACWI ETF-
|
ACWI |
SH |
48755 |
4.09 Billion |
Marriott International Inc/MD
|
MAR |
SH |
29645 |
4.032 Billion |
Meta Platforms Inc
|
META |
SH |
24710 |
3.984 Billion |
Altria Group, Inc. (Philip Morris)
|
MO |
SH |
95127 |
3.973 Billion |
Centene Corp
|
CNC |
SH |
46533 |
3.937 Billion |
VANGUARD FTSE ALL-WORLD EX-US INDEX FUND-ETF Shares
|
VEU |
SH |
78485 |
3.921 Billion |
Emerson Electric Co.
|
EMR |
SH |
49185 |
3.912 Billion |
Roper Technologies Inc
|
ROP |
SH |
9891 |
3.903 Billion |
Analog Devices Inc
|
ADI |
SH |
26398 |
3.856 Billion |
Freeport-McMoRan Copper & Gold, Inc
|
FCX |
SH |
131130 |
3.837 Billion |
PNC Financial Services Group, Inc. (The) (Provident National Trust Co.)
|
PNC |
SH |
23975 |
3.783 Billion |
SPDR(R) Dow Jones Global Real Estate ETF-
|
RWO |
SH |
85236 |
3.762 Billion |
Equinix Inc
|
EQIX |
SH |
5717 |
3.756 Billion |
CME Group Inc
|
CME |
SH |
18326 |
3.751 Billion |
Intuitive Surgical Inc
|
ISRG |
SH |
18594 |
3.732 Billion |
Southern Co.
|
SO |
SH |
52225 |
3.724 Billion |
Synopsys Inc.
|
SNPS |
SH |
12160 |
3.693 Billion |
Ameriprise Financial, Inc.
|
AMP |
SH |
15518 |
3.688 Billion |
FedEx Corporation
|
FDX |
SH |
16231 |
3.68 Billion |
Waste Management, Inc.
|
WM |
SH |
23963 |
3.666 Billion |
Crown Castle International Corp
|
CCI |
SH |
21713 |
3.656 Billion |
3M Co. (Minnesota Mining & Manufacturing)
|
MMM |
SH |
27884 |
3.609 Billion |
Netflix Inc
|
NFLX |
SH |
20435 |
3.573 Billion |
TDCX Inc
|
TDCX |
SH |
384754 |
3.559 Billion |
Northrop Grumman Corp.
|
NOC |
SH |
7425 |
3.553 Billion |
Ecolab Inc.
|
ECL |
SH |
22977 |
3.533 Billion |
Citigroup, Inc.
|
C |
SH |
76651 |
3.525 Billion |
Estee Lauder Companies Inc.
|
EL |
SH |
13815 |
3.518 Billion |
Boston Scientific Inc.
|
BSX |
SH |
93873 |
3.498 Billion |
ANSYS, Inc.
|
ANSS |
SH |
14581 |
3.489 Billion |
Duke Energy Corp.
|
DUK |
SH |
32190 |
3.451 Billion |
Gartner, Inc.
|
IT |
SH |
14210 |
3.436 Billion |
SBA Communications Corp.
|
SBAC |
SH |
10716 |
3.43 Billion |
iShares Core MSCI EAFE ETF-
|
IEFA |
SH |
57979 |
3.412 Billion |
Ford Motor Co.
|
F |
SH |
304543 |
3.39 Billion |
Agilent Technologies Inc
|
A |
SH |
28451 |
3.379 Billion |
IDEXX Laboratories Inc.
|
IDXX |
SH |
9620 |
3.374 Billion |
MetLife Inc.
|
MET |
SH |
53515 |
3.36 Billion |
Booking Holdings Inc. (Priceline)
|
BKNG |
SH |
1908 |
3.337 Billion |
iShares ESG Aware MSCI USA Small-Cap ETF-
|
ESML |
SH |
105430 |
3.321 Billion |
Li Auto Inc. ADS
|
LI |
SH |
86538 |
3.315 Billion |
Levi Strauss & Co
|
LEVI |
SH |
202084 |
3.298 Billion |
Public Storage, Inc.
|
PSA |
SH |
10533 |
3.294 Billion |
Eaton Corp. (Torbenson Axle Co. - Eaton Axle & Spring)
|
ETN |
SH |
25987 |
3.274 Billion |
Continental Resources Inc
|
CLR |
SH |
49946 |
3.264 Billion |
ZTO Express Cayman Inc ADR
|
ZTO |
SH |
118107 |
3.242 Billion |
Fidelity National Information Services Inc
|
FIS |
SH |
35293 |
3.235 Billion |
Kinder Morgan Inc. (DE)
|
KMI |
SH |
191682 |
3.212 Billion |
HCA Healthcare Inc
|
HCA |
SH |
19034 |
3.199 Billion |
Otis Worldwide Corp
|
OTIS |
SH |
45006 |
3.181 Billion |
Illinois Tool Works Inc
|
ITW |
SH |
17424 |
3.175 Billion |
OReilly Automotive Inc.
|
ORLY |
SH |
4855 |
3.067 Billion |
Pioneer Natural Resources Co.
|
PXD |
SH |
13636 |
3.042 Billion |
Occidental Petroleum Corp.
|
OXY |
SH |
51422 |
3.028 Billion |
American International Group, Inc.
|
AIG |
SH |
59063 |
3.02 Billion |
Halliburton Co.
|
HAL |
SH |
96264 |
3.019 Billion |
T-Mobile US Inc
|
TMUS |
SH |
22414 |
3.016 Billion |
Xcel Energy Inc. (Northern States Power Co. (MN))
|
XEL |
SH |
42355 |
2.997 Billion |
Allstate Corp (The)
|
ALL |
SH |
23440 |
2.971 Billion |
Dominion Energy Inc
|
D |
SH |
37157 |
2.966 Billion |
Biogen Inc
|
BIIB |
SH |
14395 |
2.936 Billion |
iShares Russell 3000 ETF-
|
IWV |
SH |
13440 |
2.922 Billion |
Marathon Petroleum Corp
|
MPC |
SH |
35265 |
2.899 Billion |
American Electric Power Company Inc
|
AEP |
SH |
30068 |
2.885 Billion |
Colgate-Palmolive Co.
|
CL |
SH |
35840 |
2.872 Billion |
Progressive Corp.
|
PGR |
SH |
24538 |
2.853 Billion |
Republic Services Inc.
|
RSG |
SH |
21697 |
2.84 Billion |
CenterPoint Energy Inc
|
CNP |
SH |
95325 |
2.82 Billion |
General Mills Co.
|
GIS |
SH |
37360 |
2.819 Billion |
Truist Financial Corp
|
TFC |
SH |
59203 |
2.808 Billion |
LKQ Corp
|
LKQ |
SH |
56842 |
2.79 Billion |
Activision Blizzard Inc
|
ATVI |
SH |
35681 |
2.778 Billion |
American Water Works Co Inc
|
AWK |
SH |
18620 |
2.77 Billion |
IDEX Corp.
|
IEX |
SH |
15191 |
2.759 Billion |
SPDR S&P MIDCAP 400 ETF TRUST
|
MDY |
SH |
6669 |
2.758 Billion |
Becton, Dickinson and Co.
|
BDX |
SH |
11032 |
2.72 Billion |
CMS Energy Corp. (Consumers Power Co.)
|
CMS |
SH |
39849 |
2.69 Billion |
Travelers Companies, Inc. (The) (St. Paul Fire and Marine Insurance)
|
TRV |
SH |
15824 |
2.677 Billion |
Cintas Corporation
|
CTAS |
SH |
7149 |
2.671 Billion |
Canadian Pacific Railway Ltd. (2001)
|
CP |
SH |
38022 |
2.655 Billion |
Regions Financial Corp. (Birmingham, AL)
|
RF |
SH |
141589 |
2.655 Billion |
Church & Dwight Co., Inc.
|
CHD |
SH |
28470 |
2.638 Billion |
Coterra Energy Inc
|
CTRA |
SH |
101851 |
2.627 Billion |
Exelon Corp
|
EXC |
SH |
57488 |
2.605 Billion |
Pagerduty Inc
|
PD |
SH |
104901 |
2.599 Billion |
Devon Energy Corp.
|
DVN |
SH |
46807 |
2.58 Billion |
Northern Trust Corp.
|
NTRS |
SH |
26449 |
2.551 Billion |
Stryker Corp.
|
SYK |
SH |
12717 |
2.53 Billion |
RBC Bearings Inc.
|
RBC |
SH |
13651 |
2.525 Billion |
Simon Property Group, Inc.
|
SPG |
SH |
26256 |
2.492 Billion |
Motorola Solutions Inc
|
MSI |
SH |
11780 |
2.469 Billion |
General Electric Co
|
GE |
SH |
38015 |
2.42 Billion |
Newmont Mining Corp. (Holding Co.)
|
NEM |
SH |
40437 |
2.413 Billion |
Electronic Arts, Inc.
|
EA |
SH |
19712 |
2.398 Billion |
Zimmer Biomet Holdings Inc
|
ZBH |
SH |
22813 |
2.397 Billion |
Schlumberger Ltd.
|
SLB |
SH |
66841 |
2.39 Billion |
Garmin Ltd
|
GRMN |
SH |
24266 |
2.384 Billion |
EOG Resources Inc
|
EOG |
SH |
21507 |
2.375 Billion |
Synchrony Financial
|
SYF |
SH |
85079 |
2.35 Billion |
Walgreens Boots Alliance Inc.
|
WBA |
SH |
61953 |
2.348 Billion |
eBay Inc.
|
EBAY |
SH |
55892 |
2.329 Billion |
Mid-America Apartment Communities, Inc.
|
MAA |
SH |
13115 |
2.291 Billion |
Molina Healthcare Inc
|
MOH |
SH |
8132 |
2.274 Billion |
Dow Inc
|
DOW |
SH |
43183 |
2.229 Billion |
Monster Beverage Corp.
|
MNST |
SH |
23961 |
2.221 Billion |
CF Industries Holdings Inc
|
CF |
SH |
25701 |
2.203 Billion |
McKesson Corp.
|
MCK |
SH |
6742 |
2.199 Billion |
Liberty Broadband Corp Class C
|
LBRDK |
SH |
19019 |
2.199 Billion |
iShares Russell 2000 Value ETF-
|
IWN |
SH |
16095 |
2.191 Billion |
Fiserv, Inc.
|
FI |
SH |
24090 |
2.143 Billion |
VeriSign Inc.
|
VRSN |
SH |
12732 |
2.131 Billion |
Discover Financial Services
|
DFS |
SH |
22389 |
2.118 Billion |
Keurig Dr Pepper Inc
|
KDP |
SH |
59850 |
2.118 Billion |
HP Inc
|
HPQ |
SH |
64407 |
2.111 Billion |
Regeneron Pharmaceuticals Inc.
|
REGN |
SH |
3548 |
2.097 Billion |
Kroger Co.
|
KR |
SH |
44101 |
2.087 Billion |
ONEOK Inc. (Oklahoma Natural Gas)
|
OKE |
SH |
37577 |
2.085 Billion |
Ametek Inc.
|
AME |
SH |
18796 |
2.066 Billion |
Paychex Inc.
|
PAYX |
SH |
17972 |
2.046 Billion |
iShares U.S. Real Estate ETF-
|
IYR |
SH |
22236 |
2.045 Billion |
CBRE Group Inc Common Stock Class A
|
CBRE |
SH |
27695 |
2.039 Billion |
Archer-Daniels-Midland Co.
|
ADM |
SH |
26120 |
2.027 Billion |
VANGUARD SMALL-CAP VALUE INDEX FUND-ETF Shares
|
VBR |
SH |
13486 |
2.02 Billion |
iShares MSCI KLD 400 Social ETF-
|
DSI |
SH |
27849 |
2.002 Billion |
Corteva Inc
|
CTVA |
SH |
36733 |
1.989 Billion |
Gap (The)
|
GPS |
SH |
237271 |
1.955 Billion |
ResMed Inc.
|
RMD |
SH |
9311 |
1.952 Billion |
Baxter International Inc.
|
BAX |
SH |
30323 |
1.948 Billion |
L3harris Technologies Inc
|
LHX |
SH |
8005 |
1.935 Billion |
Hilton Worldwide Holdings Inc
|
HLT |
SH |
17351 |
1.934 Billion |
Globe Life Inc
|
GL |
SH |
19753 |
1.926 Billion |
iShares MSCI ACWI ex U.S. ETF-
|
ACWX |
SH |
42560 |
1.915 Billion |
Kraft Heinz Co. (The)
|
KHC |
SH |
49979 |
1.906 Billion |
Sempra Energy, Inc.
|
SRE |
SH |
12620 |
1.896 Billion |
Carrier Global Corp.
|
CARR |
SH |
52739 |
1.881 Billion |
Palo Alto Networks Inc
|
PANW |
SH |
3805 |
1.879 Billion |
KLA Corp
|
KLAC |
SH |
5882 |
1.877 Billion |
Camden Property Trust
|
CPT |
SH |
13798 |
1.856 Billion |
United Rentals, Inc.
|
URI |
SH |
7567 |
1.838 Billion |
Yum! Brands, Inc. (Tricon Global Restaurants)
|
YUM |
SH |
16189 |
1.838 Billion |
State Street Corp. (State Street Bank & Trust Co., Boston, MA)
|
STT |
SH |
29553 |
1.822 Billion |
Cboe Global Markets Inc
|
CBOE |
SH |
16094 |
1.821 Billion |
Fifth Third Bancorp (1927) (Cincinnati, OH)
|
FITB |
SH |
54126 |
1.819 Billion |
Grainger (W.W.) Inc.
|
GWW |
SH |
3998 |
1.817 Billion |
Nucor Corp. (Nuclear Corp. of America)
|
NUE |
SH |
17401 |
1.817 Billion |
Marathon Oil Corp. (1901) (old U.S. Steel)
|
MRO |
SH |
80514 |
1.81 Billion |
GlaxoSmithKline Plc ADR
|
GSK |
SH |
41420 |
1.803 Billion |
STERIS Corp.
|
STE |
SH |
8730 |
1.8 Billion |
Lululemon Athletica inc.
|
LULU |
SH |
6521 |
1.778 Billion |
Fastenal Co.
|
FAST |
SH |
34368 |
1.716 Billion |
Sysco Corp.
|
SYY |
SH |
20130 |
1.705 Billion |
Molson Coors Brewing Co
|
TAP |
SH |
30916 |
1.685 Billion |
Cabot Microelectronics Corp
|
CCMP |
SH |
9617 |
1.678 Billion |
Icon Plc Ads
|
ICLR |
SH |
7703 |
1.669 Billion |
EQT Corporation (Equitable Gas Co.)
|
EQT |
SH |
48260 |
1.66 Billion |
Diamondback Energy Inc
|
FANG |
SH |
13625 |
1.651 Billion |
Valero Energy Corp.
|
VLO |
SH |
15393 |
1.636 Billion |
Tyson Foods, Inc.
|
TSN |
SH |
18948 |
1.631 Billion |
UGI Corp. (United Gas Improvement)
|
UGI |
SH |
41993 |
1.621 Billion |
T. Rowe Price Group
|
TROW |
SH |
14257 |
1.62 Billion |
Henry (Jack) & Associates, Inc.
|
JKHY |
SH |
8933 |
1.608 Billion |
Take-Two Interactive Software, Inc.
|
TTWO |
SH |
13088 |
1.604 Billion |
East West Bancorp, Inc.
|
EWBC |
SH |
24683 |
1.599 Billion |
Cummins Inc
|
CMI |
SH |
8259 |
1.598 Billion |
Mosaic Company (The)
|
MOS |
SH |
33690 |
1.592 Billion |
Amphenol Corp. (1987)
|
APH |
SH |
24651 |
1.587 Billion |
PacWest Bancorp (DE)
|
PACW |
SH |
59412 |
1.584 Billion |
Public Service Enterprise Group Inc
|
PEG |
SH |
24757 |
1.567 Billion |
Blackstone Group Inc
|
BX |
SH |
17031 |
1.554 Billion |
SPDR(R) Dow Jones International Real Estate ETF-
|
RWX |
SH |
54772 |
1.546 Billion |
Pilgrims Pride Corp
|
PPC |
SH |
49026 |
1.531 Billion |
Fortinet Inc
|
FTNT |
SH |
27038 |
1.53 Billion |
Booz Allen Hamilton Holding Corp
|
BAH |
SH |
16836 |
1.522 Billion |
Toronto-Dominion Bank (The)
|
TD |
SH |
23104 |
1.515 Billion |
Williams Cos. (The)
|
WMB |
SH |
48463 |
1.513 Billion |
Royal Bank of Canada (NYSE)
|
RY |
SH |
15587 |
1.509 Billion |
Equity Residential
|
EQR |
SH |
20778 |
1.501 Billion |
Power Integrations, Inc.
|
POWI |
SH |
19971 |
1.498 Billion |
Expeditors International of Washington Inc
|
EXPD |
SH |
15272 |
1.488 Billion |
Dollar Tree Inc.
|
DLTR |
SH |
9545 |
1.487 Billion |
Apollo Global Management Inc
|
APO |
SH |
30667 |
1.487 Billion |
DuPont de Nemours, Inc.
|
DD |
SH |
26681 |
1.483 Billion |
News Inc. Class A
|
NWSA |
SH |
93171 |
1.451 Billion |
Equity Lifestyle Properties Inc
|
ELS |
SH |
20516 |
1.446 Billion |
IQVIA Holdings Inc
|
IQV |
SH |
6650 |
1.443 Billion |
Ingredion Inc.
|
INGR |
SH |
16330 |
1.44 Billion |
Phillips 66
|
PSX |
SH |
17478 |
1.433 Billion |
Kosmos Energy Ltd
|
KOS |
SH |
228586 |
1.415 Billion |
Martin Marietta Materials Inc.
|
MLM |
SH |
4726 |
1.414 Billion |
Dell Technologies Inc
|
DELL |
SH |
30585 |
1.413 Billion |
INCYTE Corporation
|
INCY |
SH |
18502 |
1.406 Billion |
Cadence Design Systems, Inc.
|
CDNS |
SH |
9300 |
1.395 Billion |
Trane Technologies Plc
|
TT |
SH |
10730 |
1.394 Billion |
MSCI Inc
|
MSCI |
SH |
3374 |
1.391 Billion |
Lennar Corp. Class A
|
LEN |
SH |
19633 |
1.386 Billion |
Eversource Energy (Western Massachusetts Cos./Northeast Utilities)
|
ES |
SH |
16391 |
1.384 Billion |
SPDR Portfolio Aggregate Bond ETF-
|
SPAB |
SH |
52528 |
1.384 Billion |
Cognizant Technology Solutions Corp
|
CTSH |
SH |
20396 |
1.377 Billion |
Comerica, Inc. (Detroit, MI) (Detroit Bank & Trust)
|
CMA |
SH |
18742 |
1.375 Billion |
International Paper Co.
|
IP |
SH |
32813 |
1.373 Billion |
WEC Energy Group (Wisconsin Electric Power)
|
WEC |
SH |
13603 |
1.369 Billion |
Verisk Analytics Inc
|
VRSK |
SH |
7855 |
1.36 Billion |
TE Connectivity Ltd
|
TEL |
SH |
11916 |
1.348 Billion |
Saia Inc
|
SAIA |
SH |
7160 |
1.346 Billion |
iShares ESG Aware MSCI EAFE ETF-
|
ESGD |
SH |
21430 |
1.345 Billion |
Leidos Holdings Inc
|
LDOS |
SH |
13176 |
1.327 Billion |
iShares Russell 2000 Growth ETF-
|
IWO |
SH |
6405 |
1.321 Billion |
Microchip Technology Inc
|
MCHP |
SH |
22660 |
1.316 Billion |
Life Storage Inc
|
LSI |
SH |
11781 |
1.315 Billion |
Infosys Ltd ADR
|
INFY |
SH |
70954 |
1.313 Billion |
KeyCorp, Inc. (Cleveland, Ohio)
|
KEY |
SH |
75861 |
1.307 Billion |
UBS Group AG ADR
|
UBS |
SH |
80430 |
1.305 Billion |
Live Nation Entertainment Inc
|
LYV |
SH |
15783 |
1.303 Billion |
Cardinal Health, Inc.
|
CAH |
SH |
24806 |
1.297 Billion |
Annaly Mortgage Management, Inc.
|
NLY |
SH |
218994 |
1.294 Billion |
Nutrien Ltd
|
NTR |
SH |
16231 |
1.293 Billion |
Welltower Inc.
|
WELL |
SH |
15669 |
1.29 Billion |
Olin Corp. (Mathieson Chemical)
|
OLN |
SH |
27831 |
1.288 Billion |
Autodesk, Inc.
|
ADSK |
SH |
7474 |
1.285 Billion |
Ball Corp.
|
BALL |
SH |
18609 |
1.28 Billion |
Campbell Soup Co.
|
CPB |
SH |
26610 |
1.278 Billion |
Voya Financial Inc
|
VOYA |
SH |
21319 |
1.269 Billion |
KKR & Co. Inc
|
KKR |
SH |
27226 |
1.26 Billion |
D.R. Horton, Inc.
|
DHI |
SH |
18993 |
1.257 Billion |
DTE Energy Co. (Detroit Edison)
|
DTE |
SH |
9861 |
1.25 Billion |
Hartford Financial Services Group
|
HIG |
SH |
19077 |
1.248 Billion |
Halozyme Therapeutics Inc
|
HALO |
SH |
28005 |
1.232 Billion |
Cognex Corp
|
CGNX |
SH |
28858 |
1.227 Billion |
Howmet Aerospace Inc. (Aluminum Co. of America - Alcoa - Arconic)
|
HWM |
SH |
38978 |
1.226 Billion |
AFLAC Inc.
|
AFL |
SH |
22021 |
1.218 Billion |
NXP Semiconductors N.V.
|
NXPI |
SH |
8180 |
1.211 Billion |
Corning Inc.
|
GLW |
SH |
37968 |
1.196 Billion |
ON Semiconductor Corp
|
ON |
SH |
23620 |
1.188 Billion |
Illumina Inc
|
ILMN |
SH |
6428 |
1.185 Billion |
Ventas, Inc.
|
VTR |
SH |
22944 |
1.18 Billion |
iShares S&P 500 Growth ETF-
|
IVW |
SH |
19269 |
1.163 Billion |
Whirlpool Corp. (DE)
|
WHR |
SH |
7468 |
1.156 Billion |
M&T Bank Corp. (Buffalo, NY) (Manufacturers & Traders Trust)
|
MTB |
SH |
7224 |
1.151 Billion |
Omnicom Group Inc.
|
OMC |
SH |
18049 |
1.148 Billion |
Consolidated Edison Co. of New York Inc. (Consolidated Gas Co. of New York)
|
ED |
SH |
12066 |
1.147 Billion |
Ameren Corporation
|
AEE |
SH |
12644 |
1.143 Billion |
PACCAR Inc.
|
PCAR |
SH |
13777 |
1.134 Billion |
Canadian National Railway Co.
|
CNI |
SH |
10036 |
1.129 Billion |
Aptiv PLC
|
APTV |
SH |
12665 |
1.128 Billion |
Choice Hotels International, Inc.
|
CHH |
SH |
10059 |
1.123 Billion |
Vmware Inc
|
VMW |
SH |
9822 |
1.119 Billion |
Edison International (Southern California Edison)
|
EIX |
SH |
17663 |
1.117 Billion |
Trex Company
|
TREX |
SH |
20523 |
1.117 Billion |
Hewlett Packard Enterprise Co
|
HPE |
SH |
83658 |
1.109 Billion |
Universal Health Services Class B
|
UHS |
SH |
10956 |
1.103 Billion |
Rockwell Automation, Inc.
|
ROK |
SH |
5439 |
1.084 Billion |
Chipotle Mexican Grill, Inc.
|
CMG |
SH |
828 |
1.082 Billion |
Hershey Company (The)
|
HSY |
SH |
5012 |
1.078 Billion |
Johnson Controls International plc (Tyco Laboratories)
|
JCI |
SH |
22486 |
1.077 Billion |
Wyndham Hotels & Resorts Inc
|
WH |
SH |
16383 |
1.077 Billion |
Extra Space Storage, Inc.
|
EXR |
SH |
6308 |
1.073 Billion |
First Industrial Realty Trust, Inc.
|
FR |
SH |
22429 |
1.065 Billion |
Interpublic Group of Companies Inc (The)
|
IPG |
SH |
38537 |
1.061 Billion |
Pinnacle West Capital Corp
|
PNW |
SH |
14448 |
1.056 Billion |
RB Global Inc
|
RBA |
SH |
16112 |
1.048 Billion |
Cencora Inc.
|
COR |
SH |
7303 |
1.033 Billion |
Huntington Bancshares, Inc. (Huntington National Bank, Columbus, OH)
|
HBAN |
SH |
85742 |
1.031 Billion |
Constellation Brands, Inc.
|
STZ |
SH |
4403 |
1.026 Billion |
CarMax Inc.
|
KMX |
SH |
11278 |
1.02 Billion |
HF Sinclair Corporation
|
DINO |
SH |
22476 |
1.015 Billion |
Ross Stores Inc. (DE)
|
ROST |
SH |
14425 |
1.013 Billion |
NVR Inc
|
NVR |
SH |
252 |
1.009 Billion |
Westlake Chemical Corp
|
WLK |
SH |
10287 |
1.008 Billion |
Caseys General Stores, Inc.
|
CASY |
SH |
5447 |
1.008 Billion |
Toll Brothers, Inc.
|
TOL |
SH |
22417 |
1 Billion |
Global Payments Inc.
|
GPN |
SH |
8926 |
988 Million |
Realty Income Corp.
|
O |
SH |
14381 |
982 Million |
LyondellBasell Industries NV
|
LYB |
SH |
11136 |
974 Million |
Tractor Supply Company
|
TSCO |
SH |
5005 |
970 Million |
Horizon Therapeutics PLC
|
HZNP |
SH |
12146 |
969 Million |
Alcoa Corp
|
AA |
SH |
21254 |
969 Million |
Stellantis NV
|
STLA |
SH |
78274 |
967 Million |
Warner Bros.Discovery Inc
|
WBD |
SH |
71899 |
965 Million |
NetEase Inc ADR
|
NTES |
SH |
10300 |
962 Million |
Textron Inc.
|
TXT |
SH |
15653 |
956 Million |
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST
|
DIA |
SH |
3087 |
950 Million |
Old Dominion Freight Line Inc
|
ODFL |
SH |
3695 |
947 Million |
Cheniere Energy Inc
|
LNG |
SH |
7097 |
944 Million |
Amcor Ltd
|
AMCR |
SH |
75940 |
944 Million |
McCormick & Co. Non-Voting Shares
|
MKC |
SH |
11315 |
942 Million |
Qiagen N.V.
|
QGEN |
SH |
19785 |
934 Million |
NetApp Inc.
|
NTAP |
SH |
14015 |
914 Million |
HealthEquity Inc
|
HQY |
SH |
14844 |
911 Million |
Penske Automotive Group, Inc.
|
PAG |
SH |
8663 |
907 Million |
Paycom Software Inc
|
PAYC |
SH |
3173 |
889 Million |
CoStar Group Inc
|
CSGP |
SH |
14672 |
886 Million |
Vulcan Materials Company
|
VMC |
SH |
6186 |
879 Million |
Arch Capital Group Ltd.
|
ACGL |
SH |
19281 |
877 Million |
IAA Inc
|
IAA |
SH |
26763 |
877 Million |
Bank of Nova Scotia (NYSE) ADR
|
BNS |
SH |
14770 |
875 Million |
Citizens Financial Group Inc
|
CFG |
SH |
24278 |
866 Million |
AutoNation, Inc. (Republic Industries)
|
AN |
SH |
7665 |
857 Million |
Entergy Corp.
|
ETR |
SH |
7612 |
857 Million |
Helmerich & Payne, Inc.
|
HP |
SH |
19872 |
856 Million |
Fortive Corp
|
FTV |
SH |
15700 |
854 Million |
Ally Financial Inc
|
ALLY |
SH |
25223 |
845 Million |
DexCom Inc
|
DXCM |
SH |
11303 |
842 Million |
Principal Financial Group
|
PFG |
SH |
12589 |
841 Million |
Cincinnati Financial Corp. (Cincinnati Insurance Co.)
|
CINF |
SH |
7049 |
839 Million |
Assured Guaranty Ltd.
|
AGO |
SH |
14923 |
833 Million |
Nasdaq Inc
|
NDAQ |
SH |
5418 |
826 Million |
FleetCor Technologies Inc
|
FLT |
SH |
3924 |
824 Million |
iShares Core S&P Mid-Cap ETF-
|
IJH |
SH |
3619 |
819 Million |
Celanese Corp
|
CE |
SH |
6932 |
815 Million |
Murphy Oil Corp.
|
MUR |
SH |
26915 |
813 Million |
Enbridge, Inc. (Interprovincial Pipe Line System - IPL Energy)
|
ENB |
SH |
18973 |
802 Million |
Quanta Services, Inc.
|
PWR |
SH |
6383 |
800 Million |
Lennox International, Inc.
|
LII |
SH |
3845 |
794 Million |
ConAgra Brands Inc
|
CAG |
SH |
23129 |
792 Million |
Tyler Technologies Inc
|
TYL |
SH |
2369 |
788 Million |
Clorox Co.
|
CLX |
SH |
5565 |
785 Million |
Digital Realty Trust, Inc.
|
DLR |
SH |
6042 |
784 Million |
Wintrust Financial Corp.
|
WTFC |
SH |
9743 |
781 Million |
Capri Holdings Ltd (Michael Kors Holdings)
|
CPRI |
SH |
19053 |
781 Million |
Kirby Corp
|
KEX |
SH |
12807 |
779 Million |
Matador Resources Co
|
MTDR |
SH |
16675 |
777 Million |
Perrigo Co PLC
|
PRGO |
SH |
19009 |
771 Million |
CGI Inc
|
GIB |
SH |
9679 |
771 Million |
Descartes Systems Group Inc.
|
DSGX |
SH |
12329 |
765 Million |
Range Resources Corp.
|
RRC |
SH |
30849 |
764 Million |
Performance Food Group Co
|
PFGC |
SH |
16586 |
763 Million |
Bank of Montreal (NYSE)
|
BMO |
SH |
7898 |
760 Million |
Skyworks Solutions, Inc.
|
SWKS |
SH |
8194 |
759 Million |
Match Group Inc.
|
MTCH |
SH |
10892 |
759 Million |
Arthur J. Gallagher & Co Inc
|
AJG |
SH |
4603 |
750 Million |
Avient Corp. (PolyOne Corp.)
|
AVNT |
SH |
18725 |
750 Million |
Rio Tinto plc (NYSE) ADR
|
RIO |
SH |
12279 |
749 Million |
Weyerhaeuser Corp.
|
WY |
SH |
22415 |
742 Million |
AES Corp. (The)
|
AES |
SH |
35292 |
741 Million |
VANGUARD RUSSELL 2000 INDEX FUND-ETF Shares
|
VTWO |
SH |
10808 |
739 Million |
Raymond James Financial Inc.
|
RJF |
SH |
8248 |
737 Million |
TransDigm Group Inc
|
TDG |
SH |
1369 |
735 Million |
Jones Lang Lasalle Inc
|
JLL |
SH |
4204 |
735 Million |
PDC Energy Corp.
|
PDCE |
SH |
11930 |
735 Million |
Markel Corp. (Holding Co.)
|
MKL |
SH |
567 |
733 Million |
Dorman Products, Inc.
|
DORM |
SH |
6658 |
730 Million |
Envista Holdings Corp
|
NVST |
SH |
18885 |
728 Million |
IDACORP Inc. Holding Co.
|
IDA |
SH |
6795 |
720 Million |
Equifax Inc.
|
EFX |
SH |
3908 |
714 Million |
Credit Acceptance Corp.
|
CACC |
SH |
1503 |
712 Million |
Acadia Healthcare Company Inc.
|
ACHC |
SH |
10258 |
694 Million |
Syneos Health Inc Class A
|
SYNH |
SH |
9681 |
694 Million |
CDK Global Inc
|
CDK |
SH |
12600 |
690 Million |
Cooper Companies (The)
|
COO |
SH |
2201 |
689 Million |
Genuine Parts Co.
|
GPC |
SH |
5130 |
682 Million |
Linde Plc.
|
LIN |
SH |
2358 |
678 Million |
Cemig-Companhia Energetica Minas Gerais ADR
|
CIG |
SH |
335010 |
677 Million |
Enterprise Products Partners LP
|
EPD |
SH |
27584 |
672 Million |
Quest Diagnostics, Inc.
|
DGX |
SH |
4975 |
662 Million |
SVB Financial Group
|
SIVBQ |
SH |
1665 |
658 Million |
Visteon Corp.
|
VC |
SH |
6329 |
656 Million |
Avery Dennison Corp.
|
AVY |
SH |
4044 |
655 Million |
Stifel Financial Corp
|
SF |
SH |
11695 |
655 Million |
AvalonBay Communities, Inc.
|
AVB |
SH |
3320 |
645 Million |
International Flavors and Fragrances, Inc.
|
IFF |
SH |
5411 |
645 Million |
Hess Corp
|
HES |
SH |
6074 |
643 Million |
iShares S&P 500 Value ETF-
|
IVE |
SH |
4662 |
641 Million |
iShares Russell Mid-Cap ETF-
|
IWR |
SH |
9907 |
641 Million |
Albemarle Corp.
|
ALB |
SH |
3054 |
638 Million |
United Airlines Holdings Inc
|
UAL |
SH |
18018 |
638 Million |
Signature Bank
|
SBNY |
SH |
3558 |
638 Million |
First Republic Bank
|
FRCB |
SH |
4407 |
635 Million |
Masco Corp.
|
MAS |
SH |
12536 |
634 Million |
Apache Corp
|
APA |
SH |
18145 |
633 Million |
iShares Select Dividend ETF-
|
DVY |
SH |
5279 |
621 Million |
Cullen/Frost Bankers, Inc. (Frost National Bank) (San Antonio, TX)
|
CFR |
SH |
5331 |
621 Million |
Marvell Technology Group Ltd
|
MRVL |
SH |
14203 |
618 Million |
Citrix Systems Inc.
|
CTXS |
SH |
6343 |
616 Million |
V.F. Corp. (Vanity Fair Mills Inc.)
|
VFC |
SH |
13942 |
616 Million |
Alexandria Real Estate Equities, Inc.
|
ARE |
SH |
4225 |
613 Million |
iShares Core U.S. Aggregate Bond ETF-
|
AGG |
SH |
6020 |
612 Million |
Willis Towers Watson Public Limited Co
|
WTW |
SH |
3102 |
612 Million |
Pinnacle Financial Partners Inc
|
PNFP |
SH |
8441 |
610 Million |
Berry Global Group Inc
|
BERY |
SH |
11152 |
609 Million |
CBIZ Inc
|
CBZ |
SH |
15190 |
607 Million |
FactSet Research Systems Inc
|
FDS |
SH |
1572 |
605 Million |
Laboratory Corp of America Holdings
|
LH |
SH |
2577 |
604 Million |
Paramount Global
|
PARA |
SH |
24214 |
598 Million |
Pool Corp
|
POOL |
SH |
1697 |
596 Million |
Waters Corporation
|
WAT |
SH |
1795 |
594 Million |
Keysight Technologies Inc
|
KEYS |
SH |
4291 |
592 Million |
Dover Corp.
|
DOV |
SH |
4862 |
590 Million |
Shopify Inc
|
SHOP |
SH |
18860 |
589 Million |
Baker Hughes Company
|
BKR |
SH |
20332 |
587 Million |
Best Buy Co., Inc.
|
BBY |
SH |
8994 |
586 Million |
Goldman Sachs Group Inc
|
GS |
SH |
1973 |
586 Million |
Constellation Energy Corporation
|
CEG |
SH |
10168 |
582 Million |
Duke Realty Corp.
|
DRE |
SH |
10557 |
580 Million |
Texas Roadhouse Inc, Class A
|
TXRH |
SH |
7908 |
579 Million |
Canadian Natural Resources, Ltd
|
CNQ |
SH |
10667 |
573 Million |
Pultegroup Inc
|
PHM |
SH |
14461 |
573 Million |
Morningstar Inc
|
MORN |
SH |
2343 |
567 Million |
Crowdstrike Holdings Inc
|
CRWD |
SH |
3355 |
566 Million |
Independent Bank Corp. (MA)
|
INDB |
SH |
7098 |
564 Million |
Ingersoll Rand Inc
|
IR |
SH |
13380 |
563 Million |
Prosperity Bancshares Inc
|
PB |
SH |
8218 |
561 Million |
Livent Corp
|
LTHM |
SH |
24664 |
560 Million |
Targa Resources Inc
|
TRGP |
SH |
9362 |
559 Million |
Fluor Corp.
|
FLR |
SH |
22920 |
558 Million |
Etsy Inc
|
ETSY |
SH |
7627 |
558 Million |
Host Hotels& Resorts Inc
|
HST |
SH |
35231 |
553 Million |
Enphase Energy Inc
|
ENPH |
SH |
2821 |
551 Million |
Franklin Resources Inc
|
BEN |
SH |
23430 |
546 Million |
VICI Properties Inc
|
VICI |
SH |
18275 |
544 Million |
Axa Equitable Holdings Inc
|
EQH |
SH |
20697 |
540 Million |
Canadian Imperial Bank of Commerce (NYSE)
|
CM |
SH |
11094 |
539 Million |
First Citizens BancShares, Inc. Class A
|
FCNCA |
SH |
813 |
532 Million |
Southwest Airlines Co.
|
LUV |
SH |
14707 |
531 Million |
Workday Inc
|
WDAY |
SH |
3805 |
531 Million |
Broadridge Financial Solutions Inc
|
BR |
SH |
3713 |
529 Million |
MGIC Investment Corp. (1984)
|
MTG |
SH |
41759 |
526 Million |
Graphic Packaging Holding Company
|
GPK |
SH |
25670 |
526 Million |
Magellan Midstream Partners LP
|
MMP |
SH |
10998 |
525 Million |
Seacoast Banking Corp. of Florida
|
SBCF |
SH |
15846 |
524 Million |
Liberty Global plc Class C
|
LBTYK |
SH |
23697 |
523 Million |
Hormel Foods Corp.
|
HRL |
SH |
10861 |
514 Million |
Goldman Sachs Future Planet Equity ETF-
|
GSFP |
SH |
17989 |
514 Million |
Methanex Corp
|
MEOH |
SH |
13417 |
513 Million |
Crown Holdings Inc. (Crown Cork & Seal)
|
CCK |
SH |
5553 |
512 Million |
TC Energy Corp
|
TRP |
SH |
9879 |
512 Million |
PPL Corp. (Pennsylvania Power & Light)
|
PPL |
SH |
18844 |
511 Million |
PPG Industries, Inc. (Pittsburgh Plate Glass)
|
PPG |
SH |
4467 |
511 Million |
Jabil Inc
|
JBL |
SH |
9900 |
507 Million |
Unum Group, Inc.
|
UNM |
SH |
14904 |
507 Million |
Chart Industries Inc
|
GTLS |
SH |
3012 |
504 Million |
Axalta Coating Systems Ltd
|
AXTA |
SH |
22810 |
504 Million |
Revvity Inc.
|
RVTY |
SH |
3525 |
501 Million |
FMC Corp. (Food Machinery & Chemical Corp.)
|
FMC |
SH |
4634 |
496 Million |
Macom Techno Ord
|
MTSI |
SH |
10760 |
496 Million |
Magnolia Oil & Gas Corp Class A
|
MGY |
SH |
23529 |
494 Million |
Teradyne Inc
|
TER |
SH |
5485 |
491 Million |
Monolithic Power Systems Inc
|
MPWR |
SH |
1273 |
489 Million |
SPDR(R) EURO STOXX 50(R) ETF-
|
FEZ |
SH |
14053 |
489 Million |
Yum China Holdings Inc
|
YUMC |
SH |
10085 |
489 Million |
Smucker (J.M.) Co.
|
SJM |
SH |
3813 |
488 Million |
Inter Parfums Inc.
|
IPAR |
SH |
6629 |
484 Million |
Southern Copper Corp.
|
SCCO |
SH |
9680 |
482 Million |
Vistra Energy Corp
|
VST |
SH |
21109 |
482 Million |
Hunt (J.B.) Transport Services, Inc.
|
JBHT |
SH |
3054 |
481 Million |
Park Hotels & Resorts Inc
|
PK |
SH |
35439 |
481 Million |
Alamo Group Inc.
|
ALG |
SH |
4110 |
479 Million |
AtriCure Inc
|
ATRC |
SH |
11685 |
477 Million |
Seagate Technology plc
|
STX |
SH |
6654 |
475 Million |
Check Point Software Technologies Ltd
|
CHKP |
SH |
3865 |
471 Million |
WestRock Co
|
WRK |
SH |
11751 |
468 Million |
Covetrus Inc
|
CVET |
SH |
22456 |
466 Million |
Silicon Laboratories Inc
|
SLAB |
SH |
3277 |
460 Million |
Sun Life Financial Inc
|
SLF |
SH |
9987 |
458 Million |
Retail Opportunity Investments Corp
|
ROIC |
SH |
28913 |
456 Million |
Coty Inc.
|
COTY |
SH |
56894 |
456 Million |
Packaging Corp. of America
|
PKG |
SH |
3310 |
455 Million |
Westinghouse Air Brake Technologies Corp
|
WAB |
SH |
5530 |
454 Million |
Zoom Video Communications Inc
|
ZM |
SH |
4198 |
453 Million |
iShares U.S. Financial Services ETF-
|
IYG |
SH |
3039 |
450 Million |
Delta Air Lines Inc.
|
DAL |
SH |
15467 |
448 Million |
Lithia Motors Inc, Class A
|
LAD |
SH |
1622 |
446 Million |
Globus Medical Inc
|
GMED |
SH |
7952 |
446 Million |
First Solar Inc
|
FSLR |
SH |
6517 |
444 Million |
Macerich Company (The)
|
MAC |
SH |
50847 |
443 Million |
Applied Industrial Technologies Inc. (Brown Fence & Wire - Jim Brown Stores - Bearings Specialists)
|
AIT |
SH |
4606 |
443 Million |
Medpace Holdings Inc
|
MEDP |
SH |
2957 |
443 Million |
Ameris Bancorp
|
ABCB |
SH |
11009 |
442 Million |
Littelfuse Inc.
|
LFUS |
SH |
1734 |
441 Million |
Copa Holdings S.A.
|
CPA |
SH |
6964 |
441 Million |
Houlihan Lokey Inc
|
HLI |
SH |
5572 |
440 Million |
Janus Henderson Group PLC
|
JHG |
SH |
18646 |
438 Million |
Hilton Grand Vacations Inc
|
HGV |
SH |
12217 |
437 Million |
Arista Networks Inc
|
ANET |
SH |
4635 |
434 Million |
Ulta Beauty Inc
|
ULTA |
SH |
1124 |
433 Million |
EPAM Systems, Inc.
|
EPAM |
SH |
1461 |
431 Million |
Old Republic International Corp.
|
ORI |
SH |
19150 |
428 Million |
Balchem Corp.
|
BCPC |
SH |
3301 |
428 Million |
iShares Core S&P U.S. Value ETF-
|
IUSV |
SH |
6400 |
428 Million |
Viavi Solutions Inc
|
VIAV |
SH |
32059 |
424 Million |
iShares Cohen & Steers REIT ETF-
|
ICF |
SH |
6938 |
422 Million |
Akamai Technologies Inc.
|
AKAM |
SH |
4609 |
421 Million |
Terreno Realty Corp
|
TRNO |
SH |
7557 |
421 Million |
Qorvo Inc
|
QRVO |
SH |
4464 |
421 Million |
Elanco Animal Health Inc
|
ELAN |
SH |
21437 |
421 Million |
MGM Resorts International, Inc.
|
MGM |
SH |
14500 |
420 Million |
Borg Warner Inc
|
BWA |
SH |
12589 |
420 Million |
Ryman Hospitality Properties, Inc. REIT
|
RHP |
SH |
5528 |
420 Million |
Pinduoduo Inc
|
PDD |
SH |
6800 |
420 Million |
Novanta Inc
|
NOVT |
SH |
3457 |
419 Million |
Materion Corp
|
MTRN |
SH |
5684 |
419 Million |
NorthWestern Corp
|
NWE |
SH |
7097 |
418 Million |
Credicorp Ltd ADR
|
BAP |
SH |
3477 |
417 Million |
CSW Industrials Inc
|
CSWI |
SH |
4027 |
415 Million |
Sprout Social, Inc.
|
SPT |
SH |
7107 |
413 Million |
Goldman Sachs Future Tech Leaders Equity ETF-
|
GTEK |
SH |
18025 |
413 Million |
Kohls Corp.
|
KSS |
SH |
11542 |
412 Million |
Inspire Medical Systems Inc
|
INSP |
SH |
2258 |
412 Million |
JD.com Inc ADR
|
JD |
SH |
6400 |
411 Million |
Cathay General Bancorp, Inc.
|
CATY |
SH |
10485 |
410 Million |
Supernus Pharmaceuticals Inc
|
SUPN |
SH |
14129 |
409 Million |
John Wiley & Sons Inc.
|
WLY |
SH |
8545 |
408 Million |
TFI Intl Inc
|
TFII |
SH |
5055 |
406 Million |
Stag Industrial Inc
|
STAG |
SH |
13159 |
406 Million |
Loews Corp
|
L |
SH |
6826 |
405 Million |
SPDR(R) S&P Bank ETF-
|
KBE |
SH |
9130 |
401 Million |
Catalent Inc
|
CTLT |
SH |
3726 |
400 Million |
Arch Coal Inc
|
ARCH |
SH |
2793 |
400 Million |
California Water Services Group
|
CWT |
SH |
7175 |
399 Million |
Advance Auto Parts, Inc.
|
AAP |
SH |
2297 |
398 Million |
Bank of the Ozarks
|
OZK |
SH |
10609 |
398 Million |
Brown-Forman Corp. Class B
|
BF.B |
SH |
5656 |
397 Million |
Barrick Gold Corp
|
GOLD |
SH |
22440 |
397 Million |
LPL Financial Holdings Inc
|
LPLA |
SH |
2151 |
397 Million |
Grand Canyon Education Inc
|
LOPE |
SH |
4204 |
396 Million |
Repligen Corp.
|
RGEN |
SH |
2415 |
392 Million |
Darden Restaurants Inc
|
DRI |
SH |
3445 |
390 Million |
Dycom Industries Inc
|
DY |
SH |
4156 |
387 Million |
Kellogg Co.
|
K |
SH |
5414 |
386 Million |
Central Garden & Pet Co. Class A
|
CENTA |
SH |
9604 |
384 Million |
Brookfield Corporation
|
BN |
SH |
8624 |
384 Million |
Marten Transport Ltd
|
MRTN |
SH |
22794 |
383 Million |
MongoDB Inc
|
MDB |
SH |
1473 |
382 Million |
Altra Industrial Motion Corp
|
AIMC |
SH |
10766 |
380 Million |
Atlassian Corp Plc
|
TEAM |
SH |
2027 |
380 Million |
Churchill Downs Inc
|
CHDN |
SH |
1971 |
378 Million |
Agree Realty Corp.
|
ADC |
SH |
5246 |
378 Million |
Xylem Inc
|
XYL |
SH |
4822 |
377 Million |
ICF International Inc
|
ICFI |
SH |
3953 |
376 Million |
LTC Properties, Inc.
|
LTC |
SH |
9783 |
376 Million |
Fox Corp Class A
|
FOXA |
SH |
11636 |
374 Million |
Align Technology Inc
|
ALGN |
SH |
1574 |
373 Million |
VANGUARD FTSE ALL-WORLD EX-US SMALL-CAP INDEX FUND-ETF Shares
|
VSS |
SH |
3616 |
373 Million |
Portland General Electric Co.
|
POR |
SH |
7652 |
370 Million |
Atmos Energy Corp. (Energas)
|
ATO |
SH |
3298 |
370 Million |
Datadog Inc
|
DDOG |
SH |
3881 |
370 Million |
Macys Inc
|
M |
SH |
20036 |
367 Million |
Insulet Corp
|
PODD |
SH |
1682 |
367 Million |
Zscaler Inc
|
ZS |
SH |
2455 |
367 Million |
National Bank Holdings Corp
|
NBHC |
SH |
9552 |
366 Million |
Avanos Medical Inc
|
AVNS |
SH |
13295 |
363 Million |
Stanley Black & Decker Inc.
|
SWK |
SH |
3454 |
362 Million |
The Trade Desk Inc Class A
|
TTD |
SH |
8614 |
361 Million |
SEI Investments Co.
|
SEIC |
SH |
6552 |
354 Million |
MPLX L.P.
|
MPLX |
SH |
12097 |
353 Million |
Rapid7 Inc
|
RPD |
SH |
5270 |
352 Million |
Arcosa Inc
|
ACA |
SH |
7541 |
350 Million |
Cohn & Steers Inc
|
CNS |
SH |
5485 |
349 Million |
Glacier Bancorp, Inc.
|
GBCI |
SH |
7367 |
349 Million |
Boston Beer Inc Class A
|
SAM |
SH |
1153 |
349 Million |
Tempur Sealy International Inc
|
TPX |
SH |
16272 |
348 Million |
Oxford Industries
|
OXM |
SH |
3907 |
347 Million |
Cloudflare Inc
|
NET |
SH |
7925 |
347 Million |
TransUnion
|
TRU |
SH |
4325 |
346 Million |
EastGroup Properties, Inc.
|
EGP |
SH |
2237 |
345 Million |
Lincoln National Corp.
|
LNC |
SH |
7363 |
344 Million |
Healthpeak Properties Inc.
|
PEAK |
SH |
13289 |
344 Million |
Tata Motors Ltd ADR
|
TTM |
SH |
13277 |
343 Million |
Hasbro Inc.
|
HAS |
SH |
4135 |
339 Million |
Aecom
|
ACM |
SH |
5180 |
338 Million |
Amerisafe Inc
|
AMSF |
SH |
6470 |
337 Million |
Cryoport Inc
|
CYRX |
SH |
10766 |
334 Million |
Hologic Inc.
|
HOLX |
SH |
4811 |
333 Million |
Invesco Ltd. ADR
|
IVZ |
SH |
20655 |
333 Million |
Azenta Inc
|
AZTA |
SH |
4598 |
332 Million |
MasTec Inc. (Burnup & Sims, Inc.)
|
MTZ |
SH |
4636 |
332 Million |
Alliant Energy Corp
|
LNT |
SH |
5622 |
330 Million |
Paylocity Holding Corp
|
PCTY |
SH |
1886 |
329 Million |
Essex Property Trust, Inc.
|
ESS |
SH |
1239 |
324 Million |
West Pharmaceutical Services Inc
|
WST |
SH |
1072 |
324 Million |
Mednax Inc
|
MD |
SH |
15395 |
323 Million |
Antero Resources Corp
|
AR |
SH |
10520 |
322 Million |
Juniper Networks Inc
|
JNPR |
SH |
11236 |
320 Million |
Waste Connections Inc
|
WCN |
SH |
2558 |
317 Million |
Fox Corp
|
FOX |
SH |
10662 |
317 Million |
Graco Inc.
|
GGG |
SH |
5314 |
316 Million |
iShares Short-Term National Muni Bond ETF-
|
SUB |
SH |
3021 |
316 Million |
Huntsman Corp
|
HUN |
SH |
11102 |
315 Million |
NewMarket Corp. (Albermarle Paper Manufacturing - Ethyl Corp.)
|
NEU |
SH |
1039 |
313 Million |
Oshkosh Corporation
|
OSK |
SH |
3800 |
312 Million |
Sun Communities, Inc.
|
SUI |
SH |
1960 |
312 Million |
Thomson Reuters Corp.
|
TRI |
SH |
2992 |
312 Million |
Sociedad Quimica y Minera de Chile S.A. Class A ADR
|
SQM |
SH |
3727 |
311 Million |
Sealed Air Corp.
|
SEE |
SH |
5363 |
310 Million |
Boston Properties, Inc.
|
BXP |
SH |
3468 |
309 Million |
Trimble Navigation Ltd.
|
TRMB |
SH |
5287 |
308 Million |
Bill.com Holdings, Inc.
|
BILL |
SH |
2803 |
308 Million |
Evergy Inc
|
EVRG |
SH |
4653 |
304 Million |
Avantor Inc
|
AVTR |
SH |
9695 |
302 Million |
CNA Financial Corp.
|
CNA |
SH |
6700 |
301 Million |
iShares National Muni Bond ETF-
|
MUB |
SH |
2820 |
300 Million |
Expedia Group Inc
|
EXPE |
SH |
3142 |
298 Million |
Aercap Holdings N.V.
|
AER |
SH |
7246 |
297 Million |
National Health Investors, Inc.
|
NHI |
SH |
4848 |
294 Million |
Hubbell Inc Class B
|
HUBB |
SH |
1647 |
294 Million |
Tapestry Inc
|
TPR |
SH |
9646 |
294 Million |
Schein (Henry) Inc.
|
HSIC |
SH |
3813 |
293 Million |
Snap Inc Class A
|
SNAP |
SH |
22315 |
293 Million |
Bunge Ltd. ADR
|
BG |
SH |
3204 |
291 Million |
Paycor HCM Inc
|
PYCR |
SH |
11164 |
290 Million |
Imperial Oil Ltd. (ASE)
|
IMO |
SH |
6110 |
288 Million |
American Homes 4 Rent
|
AMH |
SH |
8089 |
287 Million |
Mattel Inc.
|
MAT |
SH |
12763 |
285 Million |
Eastman Chemical Co.
|
EMN |
SH |
3161 |
284 Million |
Mueller Industries Inc
|
MLI |
SH |
5338 |
284 Million |
Invitation Homes Inc
|
INVH |
SH |
7987 |
284 Million |
Zillow Group Inc. Class A
|
ZG |
SH |
8903 |
283 Million |
Block Inc.
|
SQ |
SH |
4603 |
283 Million |
Lions Gate Entertainment Corp Class A
|
LGF.A |
SH |
30364 |
283 Million |
Group 1 Automotive, Inc.
|
GPI |
SH |
1659 |
282 Million |
American Airlines Group Inc
|
AAL |
SH |
22230 |
282 Million |
WEX, Inc.
|
WEX |
SH |
1809 |
281 Million |
Block (H&R) Inc.
|
HRB |
SH |
7915 |
280 Million |
Belden Inc
|
BDC |
SH |
5264 |
280 Million |
Skyline Champion Corp
|
SKY |
SH |
5863 |
278 Million |
Lumen Technologies, Inc
|
LUMN |
SH |
25414 |
277 Million |
CDW Corp.
|
CDW |
SH |
1747 |
275 Million |
Univar Solutions Inc
|
UNVR |
SH |
11065 |
275 Million |
Dynatrace Inc
|
DT |
SH |
6978 |
275 Million |
Empire State Realty Trust Inc
|
ESRT |
SH |
38929 |
274 Million |
Lions Gate Entertainment Corp Class B
|
LGF.B |
SH |
30919 |
273 Million |
Jacobs Solutions Inc
|
J |
SH |
2138 |
272 Million |
Mohawk Industries Inc.
|
MHK |
SH |
2188 |
272 Million |
OceanFirst Financial Corp.
|
OCFC |
SH |
14238 |
272 Million |
Ares Management LP
|
ARES |
SH |
4764 |
271 Million |
MarketAxess Holdings Inc
|
MKTX |
SH |
1053 |
270 Million |
Ingevity Corp
|
NGVT |
SH |
4281 |
270 Million |
Axonics Inc
|
AXNX |
SH |
4740 |
269 Million |
Intra-Cellular Therapies Inc
|
ITCI |
SH |
4681 |
267 Million |
Chemours Co (The)
|
CC |
SH |
8344 |
267 Million |
AZEK Company Inc.
|
AZEK |
SH |
15946 |
267 Million |
Semtech Corp
|
SMTC |
SH |
4847 |
266 Million |
Kratos Defense & Security Solutions Inc
|
KTOS |
SH |
19200 |
266 Million |
RLI Corp.
|
RLI |
SH |
2284 |
266 Million |
Reinsurance Group of America Inc
|
RGA |
SH |
2258 |
265 Million |
Criteo S.A. ADR
|
CRTO |
SH |
10773 |
263 Million |
DXC Technology Company
|
DXC |
SH |
8634 |
262 Million |
Agilysys Inc.
|
AGYS |
SH |
5536 |
262 Million |
Patterson-UTI Energy Inc
|
PTEN |
SH |
16618 |
262 Million |
Middleby Corp (The)
|
MIDD |
SH |
2091 |
262 Million |
Watsco Inc.
|
WSO |
SH |
1094 |
261 Million |
Bruker Corp
|
BRKR |
SH |
4137 |
260 Million |
Burlington Stores Inc
|
BURL |
SH |
1912 |
260 Million |
Cousins Properties, Inc.
|
CUZ |
SH |
8865 |
259 Million |
Royal Caribbean Cruises Ltd
|
RCL |
SH |
7403 |
258 Million |
CubeSmart
|
CUBE |
SH |
6046 |
258 Million |
Mercury General Corp.
|
MCY |
SH |
5766 |
255 Million |
Stride Inc
|
LRN |
SH |
6241 |
255 Million |
Apollo Endosurgery Inc
|
APEN |
SH |
69731 |
255 Million |
Energy Transfer Equity LP
|
ET |
SH |
24914 |
249 Million |
Vodafone Group Plc Sponsored ADR
|
VOD |
SH |
15954 |
249 Million |
Nexstar Media Group Inc
|
NXST |
SH |
1526 |
249 Million |
Twilio Inc
|
TWLO |
SH |
2972 |
249 Million |
CSG Systems International Inc.
|
CSGS |
SH |
4153 |
248 Million |
Zions Bancorp
|
ZION |
SH |
4880 |
248 Million |
Golden Ocean Group Limited
|
GOGL |
SH |
21271 |
248 Million |
Beacon Roofing Supply Inc
|
BECN |
SH |
4818 |
247 Million |
Rexford Industrial Realty Inc
|
REXR |
SH |
4267 |
246 Million |
WSFS Financial Corp.
|
WSFS |
SH |
6109 |
245 Million |
ITT Inc. (International Telephone and Telegraph)
|
ITT |
SH |
3623 |
244 Million |
Carters Inc
|
CRI |
SH |
3467 |
244 Million |
Lamb Weston Holdings Inc
|
LW |
SH |
3415 |
244 Million |
Urban Outfitters Inc.
|
URBN |
SH |
13046 |
243 Million |
Casella Waste Systems Inc
|
CWST |
SH |
3332 |
242 Million |
STORE Capital Corp
|
STOR |
SH |
9275 |
242 Million |
MSC Industrial Direct, Inc.
|
MSM |
SH |
3191 |
240 Million |
UDR Inc. (Old Dominion REIT - United Dominion Realty Trust)
|
UDR |
SH |
5205 |
240 Million |
Jazz Pharmaceuticals plc
|
JAZZ |
SH |
1525 |
238 Million |
Tanger Factory Outlet Centers Inc
|
SKT |
SH |
16646 |
237 Million |
ZoomInfo Technologies Inc.
|
ZI |
SH |
7052 |
234 Million |
Owens-IL Inc
|
OI |
SH |
16676 |
233 Million |
Western Alliance Bancorporation
|
WAL |
SH |
3295 |
233 Million |
Ovintiv Inc. (Pan Canadian Energy - Encana Corp.)
|
OVV |
SH |
5233 |
231 Million |
Open Text Corp.
|
OTEX |
SH |
6049 |
229 Million |
ACI Worldwide Inc. (Transaction Systems Architects)
|
ACIW |
SH |
8860 |
229 Million |
Williams-Sonoma Inc.
|
WSM |
SH |
2060 |
229 Million |
Veeva Systems Inc
|
VEEV |
SH |
1157 |
229 Million |
Uber Technologies Inc
|
UBER |
SH |
11148 |
228 Million |
Alaska Air Group Inc
|
ALK |
SH |
5662 |
227 Million |
Ryder System Inc.
|
R |
SH |
3201 |
227 Million |
Biotechne Corp
|
TECH |
SH |
655 |
227 Million |
Silgan Holdings Inc
|
SLGN |
SH |
5500 |
227 Million |
Commercial Metals Company
|
CMC |
SH |
6839 |
226 Million |
Charles River Laboratories International Inc
|
CRL |
SH |
1046 |
224 Million |
Alnylam Pharmaceuticals Inc
|
ALNY |
SH |
1533 |
224 Million |
iShares Expanded Tech-Software Sector ETF-
|
IGV |
SH |
832 |
224 Million |
Generac Holdlings Inc
|
GNRC |
SH |
1061 |
223 Million |
Exponent Inc.
|
EXPO |
SH |
2425 |
222 Million |
DoubleVerify Holdings Inc
|
DV |
SH |
9788 |
222 Million |
Cogent Communications Group Inc
|
CCOI |
SH |
3645 |
221 Million |
Texas Capital Bancshares Inc
|
TCBI |
SH |
4156 |
219 Million |
Woodward Inc
|
WWD |
SH |
2372 |
219 Million |
Brixmor Property Group Inc
|
BRX |
SH |
10830 |
219 Million |
Teleflex, Inc.
|
TFX |
SH |
888 |
218 Million |
Murphy USA Inc
|
MUSA |
SH |
930 |
217 Million |
Progyny, Inc.
|
PGNY |
SH |
7461 |
217 Million |
ICU Medical Inc
|
ICUI |
SH |
1313 |
216 Million |
Wolfspeed Inc (Cree Inc)
|
WOLF |
SH |
3391 |
215 Million |
Suncor Energy, Inc.
|
SU |
SH |
6105 |
214 Million |
Okta Inc
|
OKTA |
SH |
2363 |
214 Million |
BioMarin Pharmaceutical Inc
|
BMRN |
SH |
2573 |
213 Million |
Plains All American Pipeline LP
|
PAA |
SH |
21665 |
213 Million |
Lennar Corp. Class B
|
LEN.B |
SH |
3612 |
212 Million |
Boot Barn Holdings Inc
|
BOOT |
SH |
3059 |
211 Million |
Lear Corp
|
LEA |
SH |
1669 |
210 Million |
Zebra Technologies Corp
|
ZBRA |
SH |
715 |
210 Million |
Brookfield Renewable Corporation Class A
|
BEPC |
SH |
5911 |
210 Million |
U-Haul Holding Company
|
UHAL |
SH |
437 |
209 Million |
DigitalOcean Holdings Inc
|
DOCN |
SH |
5065 |
209 Million |
Shockwave Medical Inc
|
SWAV |
SH |
1087 |
208 Million |
Formula One Group
|
FWONK |
SH |
3255 |
207 Million |
Helen Of Troy Ltd.
|
HELE |
SH |
1266 |
206 Million |
Steel Dynamics, Inc.
|
STLD |
SH |
3109 |
206 Million |
Dicks Sporting Goods, Inc
|
DKS |
SH |
2728 |
206 Million |
Five Below Inc
|
FIVE |
SH |
1817 |
206 Million |
Kimco Realty Corporation
|
KIM |
SH |
10379 |
205 Million |
RLJ Lodging Trust
|
RLJ |
SH |
18618 |
205 Million |
Davita Inc.
|
DVA |
SH |
2552 |
204 Million |
SPDR(R) Dow Jones REIT ETF-
|
RWR |
SH |
2135 |
203 Million |
Change Healthcare Inc
|
CHNG |
SH |
8793 |
203 Million |
OGE Energy Corp. (Oklahoma Gas & Electric)
|
OGE |
SH |
5249 |
202 Million |
Howard Hughes Holdings Inc
|
HHH |
SH |
2975 |
202 Million |
The Technology Select Sector SPDR Fund-
|
XLK |
SH |
1575 |
200 Million |
Ambev S.A. ADR
|
ABEV |
SH |
79300 |
199 Million |
Eastern Bankshares, Inc.
|
EBC |
SH |
10717 |
198 Million |
DigitalBridge Group Inc
|
DBRG |
SH |
40265 |
196 Million |
Verra Mobility Corp
|
VRRM |
SH |
12492 |
196 Million |
Goodyear Tire and Rubber Co.
|
GT |
SH |
17455 |
187 Million |
Manulife Financial Corp
|
MFC |
SH |
10413 |
180 Million |
Heritage Commerce Corp.
|
HTBK |
SH |
16851 |
180 Million |
Fulton Financial Corp.
|
FULT |
SH |
12331 |
178 Million |
Viatris Inc
|
VTRS |
SH |
16815 |
176 Million |
Unisys Corp. (Burroughs Adding Machine)
|
UIS |
SH |
14399 |
173 Million |
Palantir Technologies Inc.
|
PLTR |
SH |
18327 |
166 Million |
Norwegian Cruise Line Holdings Ltd
|
NCLH |
SH |
14740 |
164 Million |
Oil States International Inc
|
OIS |
SH |
29073 |
158 Million |
Sirius XM Holdings Inc
|
SIRI |
SH |
24873 |
152 Million |
Carnival Corp.
|
CCL |
SH |
17402 |
151 Million |
Compania Cervecerias Unidas S.A. ADR
|
CCU |
SH |
10140 |
128 Million |
NIO INC NOTE 2/0
|
DEBT-NIO |
PRN |
140000 |
118 Million |
Hanesbrands, Inc.
|
HBI |
SH |
11291 |
116 Million |
GrafTech International Ltd
|
EAF |
SH |
15924 |
113 Million |
NIO INC NOTE 0.500% 2/0
|
DEBT-NIO |
PRN |
120000 |
90 Million |
Equitrans Midstream Corp
|
ETRN |
SH |
13826 |
88 Million |
Opendoor Technologies, Inc.
|
OPEN |
SH |
17815 |
84 Million |
Brookdale Senior Living Inc.
|
BKD |
SH |
12634 |
57 Million |
Kinross Gold Corp. ADR
|
KGC |
SH |
15248 |
55 Million |
Heron Therapeutics Inc
|
HRTX |
SH |
17959 |
50 Million |
Genworth Financial Inc
|
GNW |
SH |
13318 |
47 Million |
Skillz Inc
|
SKLZ |
SH |
34524 |
43 Million |
Nektar Therapeutics, Inc.
|
NKTR |
SH |
10526 |
40 Million |
Grab Holdings Limited
|
GRAB |
SH |
13594 |
34 Million |
Qurate Retail Group Inc Series A (Formerly Liberty Interactive)
|
QRTEA |
SH |
11162 |
32 Million |
IQIYI INC NOTE 2.000% 4/0
|
DEBT-IQIY |
PRN |
40000 |
32 Million |
IQIYI INC NOTE 4.000%12/1
|
DEBT-IQIY |
PRN |
30000 |
20 Million |
ContextLogic Inc
|
WISH |
SH |
10944 |
18 Million |