Goldman Sachs Trust Company, N.A.

Taken From the combined 2022-06-30 13F-HR Filing of GOLDMAN SACHS GROUP INC

Stock Symbol Security Type Shares Market Value
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
WhaleWisdom Logo

Elevate your investments