AHL Partners LLP

Taken From the combined 2021-09-30 13F-HR Filing of MAN GROUP PLC

Stock Symbol Security Type Shares Market Value
iShares iBoxx USD High Yield Corporate Bond ETF HYG SH 2011587 175.994 Billion
SPDR(R) Bloomberg High Yield Bond ETF-SPDR(R) Bloomberg High Yield Bond ETF JNK SH 1113572 121.78 Billion
iShares TIPS Bond ETF- TIP SH 915208 116.863 Billion
Invesco Senior Loan ETF- BKLN SH 4338404 95.922 Billion
iShares iBoxx $ Investment Grade Corporate Bond ETF-iShares iBoxx $ Investment Grade Corporate Bond ETF LQD SH 576751 76.725 Billion
Align Technology Inc ALGN SH 91055 60.591 Billion
Costco Co. COST SH 131866 59.254 Billion
Abbott Laboratories ABT SH 496190 58.615 Billion
Deere & Co. DE SH 166986 55.952 Billion
United Rentals, Inc. URI SH 153455 53.852 Billion
Marriott International Inc/MD MAR SH 326151 48.3 Billion
Advanced Micro Devices Inc AMD SH 465895 47.941 Billion
Starbucks Corp. SBUX SH 429124 47.337 Billion
NVIDIA Corp. NVDA SH 216409 44.831 Billion
HCA Healthcare Inc HCA SH 180994 43.931 Billion
iShares J.P. Morgan USD Emerging Markets Bond ETF- EMB SH 398463 43.855 Billion
Booking Holdings Inc. (Priceline) BKNG SH 17794 42.241 Billion
Caterpillar Inc. CAT SH 218699 41.984 Billion
Roku Inc ROKU SH 133325 41.777 Billion
Intel Corp. INTC SH 780831 41.603 Billion
Intuitive Surgical Inc ISRG SH 41536 41.293 Billion
Shopify Inc SHOP SH 30198 40.942 Billion
SVB Financial Group SIVBQ SH 62692 40.554 Billion
Mastercard Inc MA SH 114090 39.667 Billion
DexCom Inc DXCM SH 71595 39.152 Billion
Verizon Communications (Bell Atlantic Corp.) VZ SH 707819 38.229 Billion
Delta Air Lines Inc. DAL SH 893344 38.065 Billion
Southwest Airlines Co. LUV SH 706946 36.358 Billion
Morgan Stanley MS SH 368911 35.899 Billion
VANGUARD SHORT-TERM BOND INDEX FUND-ETF Shares BSV SH 413397 33.874 Billion
Target Corp. TGT SH 147281 33.693 Billion
American Airlines Group Inc AAL SH 1605988 32.955 Billion
Block Inc. SQ SH 137216 32.91 Billion
Cummins Inc CMI SH 146414 32.879 Billion
ServiceNow Inc NOW SH 51873 32.279 Billion
Analog Devices Inc ADI SH 187332 31.374 Billion
Zoom Video Communications Inc ZM SH 119978 31.374 Billion
Ralph Lauren Corp. Class A RL SH 281348 31.241 Billion
Pepsico Inc. (Loft, Inc.) PEP SH 205924 30.973 Billion
Walmart Inc WMT SH 220692 30.76 Billion
IDEXX Laboratories Inc. IDXX SH 48985 30.464 Billion
Applied Materials Inc. AMAT SH 235529 30.32 Billion
VISA Inc V SH 134318 29.919 Billion
Charles Schwab Corp SCHW SH 404492 29.463 Billion
Medtronic Plc MDT SH 231341 28.999 Billion
Centene Corp CNC SH 461761 28.772 Billion
Danaher Corp. DHR SH 94372 28.731 Billion
Moodys Corp MCO SH 80882 28.722 Billion
S&P Global Inc. (McGraw-Hill Inc.) SPGI SH 67422 28.647 Billion
Boston Beer Inc Class A SAM SH 55836 28.462 Billion
McDonalds Corp. MCD SH 117389 28.304 Billion
Salesforce.com Inc. CRM SH 103974 28.2 Billion
iShares Core U.S. Aggregate Bond ETF-iShares Core U.S. Aggregate Bond ETF AGG SH 244046 28.024 Billion
Apple Inc AAPL SH 194362 27.502 Billion
Brown-Forman Corp. Class B BF.B SH 408590 27.38 Billion
Edwards Lifesciences Corp. EW SH 238699 27.023 Billion
Microsoft Corp. MSFT SH 95701 26.98 Billion
Becton, Dickinson and Co. BDX SH 108694 26.719 Billion
Alphabet Inc. Class A GOOGL SH 9769 26.118 Billion
Lam Research Corp. LRCX SH 45814 26.075 Billion
Hologic Inc. HOLX SH 349381 25.788 Billion
W D-40 Co WDFC SH 110778 25.643 Billion
Cadence Design Systems, Inc. CDNS SH 168311 25.489 Billion
Vanguard Real Estate Index Fund-ETF Shares VNQ SH 249670 25.411 Billion
Paycom Software Inc PAYC SH 50957 25.262 Billion
VANGUARD EMERGING MARKETS STOCK INDEX FUND-ETF Shares VWO SH 500670 25.039 Billion
Etsy Inc ETSY SH 120290 25.016 Billion
EPAM Systems, Inc. EPAM SH 43744 24.955 Billion
Chewy Inc CHWY SH 365977 24.927 Billion
Hubspot Inc HUBS SH 36794 24.876 Billion
Skechers USA, Inc. Class A SKX SH 589782 24.842 Billion
Coca Cola Co. KO SH 472115 24.772 Billion
Meta Platforms Inc META SH 72904 24.743 Billion
Goldman Sachs Group Inc GS SH 64924 24.543 Billion
Verisk Analytics Inc VRSK SH 121436 24.32 Billion
T-Mobile US Inc TMUS SH 190283 24.311 Billion
Adobe Systems, Inc. ADBE SH 42183 24.286 Billion
3M Co. (Minnesota Mining & Manufacturing) MMM SH 138340 24.268 Billion
Estee Lauder Companies Inc. EL SH 80870 24.255 Billion
Coinbase Global Inc COIN SH 106409 24.206 Billion
Quanta Services, Inc. PWR SH 212196 24.152 Billion
Spotify Technology SA SPOT SH 107176 24.151 Billion
CVS Health Corp. (Melville Shoe) CVS SH 282375 23.962 Billion
Accenture Plc ACN SH 74634 23.877 Billion
Deckers Outdoor Corp DECK SH 65412 23.561 Billion
Fidelity National Information Services Inc FIS SH 192793 23.459 Billion
Coupa Software Inc COUP SH 106665 23.379 Billion
Expedia Group Inc EXPE SH 139816 22.916 Billion
Charter Communications Inc CHTR SH 31353 22.811 Billion
AT&T Inc. (Southwestern Bell - SBC Corp.) T SH 837637 22.625 Billion
Progressive Corp. PGR SH 247891 22.407 Billion
CoStar Group Inc CSGP SH 260043 22.379 Billion
Hilton Worldwide Holdings Inc HLT SH 169262 22.361 Billion
Netflix Inc NFLX SH 36632 22.358 Billion
Boston Scientific Inc. BSX SH 512187 22.224 Billion
FedEx Corporation FDX SH 100133 21.958 Billion
Stryker Corp. SYK SH 82987 21.885 Billion
Hershey Company (The) HSY SH 127794 21.629 Billion
Marsh & McLennan Companies, Inc. MMC SH 141907 21.489 Billion
Lululemon Athletica inc. LULU SH 52906 21.411 Billion
Williams-Sonoma Inc. WSM SH 120664 21.397 Billion
Invesco DB Commodity Index Tracking Fund DBC SH 1048844 21.166 Billion
Cintas Corporation CTAS SH 55588 21.16 Billion
Walt Disney Co. (The) DIS SH 124955 21.139 Billion
Palo Alto Networks Inc PANW SH 43848 21.003 Billion
Broadcom Ltd. (Avago Technologies) AVGO SH 43289 20.992 Billion
Insulet Corp PODD SH 72041 20.476 Billion
UnitedHealth Group Inc. UNH SH 52338 20.451 Billion
Freshpet Inc FRPT SH 143018 20.407 Billion
Dicks Sporting Goods, Inc DKS SH 169846 20.342 Billion
Agilent Technologies Inc A SH 129006 20.322 Billion
Intuit, Inc. INTU SH 37516 20.24 Billion
QUALCOMM Inc. QCOM SH 156474 20.182 Billion
McCormick & Co. Non-Voting Shares MKC SH 248338 20.123 Billion
Quidelortho Corp QDEL SH 142293 20.085 Billion
Six Flags Entertainment Corp. SIX SH 472199 20.068 Billion
Thermo Fisher Scientific, Inc. TMO SH 35100 20.054 Billion
Abiomed Inc ABMD SH 60922 19.831 Billion
Equifax Inc. EFX SH 78219 19.822 Billion
Lamb Weston Holdings Inc LW SH 322694 19.804 Billion
ON Semiconductor Corp ON SH 430828 19.719 Billion
Yandex N.V. YNDX SH 245681 19.578 Billion
Fortinet Inc FTNT SH 66858 19.525 Billion
Texas Roadhouse Inc, Class A TXRH SH 213648 19.512 Billion
Revvity Inc. RVTY SH 112549 19.504 Billion
PayPal Holdings Inc PYPL SH 74905 19.491 Billion
Twitter Inc TWTR SH 320092 19.33 Billion
Autodesk, Inc. ADSK SH 67164 19.153 Billion
Global Payments Inc. GPN SH 120465 18.983 Billion
Tyson Foods, Inc. TSN SH 238437 18.822 Billion
OReilly Automotive Inc. ORLY SH 30693 18.755 Billion
Lumen Technologies, Inc LUMN SH 1500461 18.591 Billion
Amazon.com Inc. AMZN SH 5591 18.367 Billion
Tandem Diabetes Care Inc TNDM SH 153216 18.291 Billion
MercadoLibre Inc MELI SH 10876 18.265 Billion
NextEra Energy Inc. NEE SH 224461 17.625 Billion
Southern Co. SO SH 284382 17.623 Billion
Vulcan Materials Company VMC SH 103556 17.518 Billion
Molina Healthcare Inc MOH SH 64073 17.384 Billion
ResMed Inc. RMD SH 65652 17.303 Billion
Copart Inc. CPRT SH 124568 17.28 Billion
KKR & Co. Inc KKR SH 281278 17.124 Billion
United Airlines Holdings Inc UAL SH 357567 17.009 Billion
Blackstone Group Inc BX SH 145401 16.916 Billion
Capital One Financial Corp COF SH 104284 16.891 Billion
Live Nation Entertainment Inc LYV SH 184989 16.858 Billion
Oracle Corp ORCL SH 192354 16.76 Billion
J & J Snack Foods Corp. JJSF SH 109251 16.696 Billion
Martin Marietta Materials Inc. MLM SH 48485 16.566 Billion
Baxter International Inc. BAX SH 205542 16.532 Billion
Zimmer Biomet Holdings Inc ZBH SH 112721 16.498 Billion
VANGUARD INTERMEDIATE-TERM CORPORATE BOND INDEX FUND-ETF Shares VCIT SH 174183 16.445 Billion
Alaska Air Group Inc ALK SH 280447 16.434 Billion
West Pharmaceutical Services Inc WST SH 38019 16.141 Billion
Waters Corporation WAT SH 44921 16.05 Billion
United Parcel Service, Inc. Class B UPS SH 87912 16.009 Billion
Uber Technologies Inc UBER SH 356239 15.96 Billion
Intercontinental Exchange Inc ICE SH 138914 15.95 Billion
Interactive Brokers Group Inc IBKR SH 254904 15.891 Billion
Herbalife Nutrition Ltd HLF SH 370539 15.703 Billion
BlackRock Inc. Class A BLK SH 18690 15.675 Billion
Workday Inc WDAY SH 62093 15.516 Billion
Tesla Inc TSLA SH 19947 15.468 Billion
Insperity Inc. NSP SH 139381 15.435 Billion
BCE Inc. (Bell Telephone of Canada) BCE SH 307803 15.409 Billion
Coupang Inc CPNG SH 546937 15.232 Billion
Old Dominion Freight Line Inc ODFL SH 52724 15.078 Billion
TransUnion TRU SH 134107 15.062 Billion
Veeva Systems Inc VEEV SH 52028 14.993 Billion
Ringcentral Inc RNG SH 68771 14.958 Billion
T. Rowe Price Group TROW SH 75930 14.935 Billion
Nasdaq Inc NDAQ SH 77169 14.895 Billion
Micron Technology, Inc. MU SH 209453 14.867 Billion
Cooper Companies (The) COO SH 35595 14.712 Billion
Waste Management, Inc. WM SH 98157 14.661 Billion
Cisco Systems, Inc. CSCO SH 267073 14.537 Billion
Booz Allen Hamilton Holding Corp BAH SH 181802 14.426 Billion
STERIS Corp. STE SH 70461 14.394 Billion
Texas Instruments, Inc. TXN SH 74381 14.297 Billion
Fiserv, Inc. FI SH 131679 14.287 Billion
Elevance Health Inc ELV SH 38102 14.204 Billion
Mondelez International Inc. (Kraft Foods) MDLZ SH 242731 14.122 Billion
Carlyle Group Inc CG SH 298412 14.109 Billion
Eldorado Resorts Inc CZR SH 125079 14.044 Billion
UMB Financial Corp (City National Bank & Trust Co. - United Missouri Bancshares, Kansas City, MO) UMBF SH 144861 14.01 Billion
Monster Beverage Corp. MNST SH 157311 13.974 Billion
Bandwidth Inc BAND SH 154495 13.948 Billion
Reynolds Consumer Products Inc. REYN SH 509023 13.917 Billion
Robert Half International, Inc. RHI SH 138500 13.896 Billion
First Financial Bankshares Inc FFIN SH 301381 13.848 Billion
Hanesbrands, Inc. HBI SH 806460 13.839 Billion
Comcast Corp. Class A CMCSA SH 246866 13.807 Billion
Columbia Sportswear Co COLM SH 143464 13.75 Billion
Lancaster Colony Corp. LANC SH 81221 13.711 Billion
CME Group Inc CME SH 70733 13.678 Billion
Mattel Inc. MAT SH 726318 13.48 Billion
Twilio Inc TWLO SH 42229 13.473 Billion
Skyworks Solutions, Inc. SWKS SH 80802 13.315 Billion
Cardinal Health, Inc. CAH SH 265325 13.123 Billion
First Hawaiian Inc FHB SH 445594 13.078 Billion
Pool Corp POOL SH 30081 13.067 Billion
Ameriprise Financial, Inc. AMP SH 49286 13.017 Billion
Penumbra Inc PEN SH 48769 12.997 Billion
Wolverine World Wide, Inc. WWW SH 434306 12.96 Billion
Commerce Bancshares, Inc. (Commerce Trust Co., Kansas City, MO) CBSH SH 185963 12.958 Billion
Roper Technologies Inc ROP SH 29031 12.952 Billion
LPL Financial Holdings Inc LPLA SH 82474 12.929 Billion
Inmode Ltd INMD SH 80828 12.888 Billion
Tractor Supply Company TSCO SH 63377 12.841 Billion
Keurig Dr Pepper Inc KDP SH 372333 12.719 Billion
MasTec Inc. (Burnup & Sims, Inc.) MTZ SH 144536 12.471 Billion
Genuine Parts Co. GPC SH 102629 12.442 Billion
Laboratory Corp of America Holdings LH SH 44116 12.416 Billion
Cigna Holding Co CI SH 61966 12.403 Billion
Mettler-Toledo International, Inc. MTD SH 8986 12.377 Billion
Quest Diagnostics, Inc. DGX SH 84968 12.347 Billion
MarketAxess Holdings Inc MKTX SH 29250 12.305 Billion
Paylocity Holding Corp PCTY SH 43864 12.299 Billion
Upwork Inc UPWK SH 272498 12.271 Billion
Crocs Inc CROX SH 85277 12.236 Billion
Staar Surgical Co. STAA SH 94993 12.209 Billion
Shockwave Medical Inc SWAV SH 58931 12.133 Billion
Raymond James Financial Inc. RJF SH 129312 11.933 Billion
Crowdstrike Holdings Inc CRWD SH 48544 11.931 Billion
Lennox International, Inc. LII SH 39901 11.738 Billion
Allegion plc ALLE SH 88428 11.688 Billion
The Energy Select Sector SPDR Fund- XLE SH 224141 11.676 Billion
AutoZone Inc. AZO SH 6863 11.653 Billion
Coca-Cola European Partners PLC CCEP SH 210096 11.616 Billion
Molson Coors Brewing Co TAP SH 250370 11.612 Billion
Celsius Holdings, Inc. CELH SH 127904 11.523 Billion
KLA Corp KLAC SH 34297 11.473 Billion
Thomson Reuters Corp. TRI SH 103438 11.428 Billion
Masimo Corp MASI SH 41897 11.342 Billion
Johnson Controls International plc (Tyco Laboratories) JCI SH 165612 11.275 Billion
Pfizer, Inc. PFE SH 260360 11.198 Billion
Monolithic Power Systems Inc MPWR SH 23094 11.193 Billion
Aon PLC AON SH 39068 11.164 Billion
TJX Companies Inc. TJX SH 168725 11.132 Billion
Cinemark Holdings Inc CNK SH 577350 11.091 Billion
Liberty Global plc Class C LBTYK SH 376006 11.077 Billion
Hancock Whitney Corp HWC SH 233836 11.018 Billion
Bank Of New York Mellon Corp BK SH 212488 11.015 Billion
Truist Financial Corp TFC SH 187276 10.984 Billion
VanEck Russia ETF- RSX SH 361362 10.956 Billion
Teleflex, Inc. TFX SH 29071 10.947 Billion
Warner Bros.Discovery Inc WBD SH 429087 10.89 Billion
DENTSPLY International Inc. (1983) XRAY SH 185769 10.784 Billion
Fox Corp Class A FOXA SH 267250 10.719 Billion
Colgate-Palmolive Co. CL SH 141726 10.712 Billion
Fubotv Inc FUBO SH 441729 10.584 Billion
CLARIVATE PLC CLVT SH 481855 10.553 Billion
Jefferies Financial Group Inc. (Talcott National - Leucadia National) JEF SH 283566 10.529 Billion
Fastenal Co. FAST SH 202926 10.473 Billion
Iridium Communications Inc IRDM SH 261235 10.41 Billion
Ares Management LP ARES SH 140671 10.386 Billion
IQVIA Holdings Inc IQV SH 43218 10.352 Billion
Columbia Banking System, Inc. COLB SH 271218 10.304 Billion
Bank of Hawaii Corp. (Honolulu, HI) BOH SH 125056 10.276 Billion
Simply Good Foods Co/The SMPL SH 297877 10.274 Billion
Farfetch Ltd FTCHF SH 274012 10.27 Billion
Republic Services Inc. RSG SH 85180 10.227 Billion
Willis Towers Watson Public Limited Co WTW SH 43900 10.205 Billion
Atlassian Corp Plc TEAM SH 25925 10.148 Billion
McKesson Corp. MCK SH 50817 10.132 Billion
NovoCure Ltd NVCR SH 86880 10.093 Billion
PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund-PIMCO 0-5 Year High Yield Corporate Bond Index Exchange-Traded Fund HYS SH 99786 9.903 Billion
United Community Banks Inc UCBI SH 300078 9.849 Billion
Duke Energy Corp. DUK SH 100287 9.787 Billion
Murphy USA Inc MUSA SH 58461 9.778 Billion
Pacific Premier BanCorp., Inc. PPBI SH 235732 9.769 Billion
Morningstar Inc MORN SH 37511 9.716 Billion
Invesco Ltd. ADR IVZ SH 399762 9.638 Billion
Old National Bancorp ONB SH 568479 9.636 Billion
CSX Corp CSX SH 321698 9.567 Billion
Cadence Bank CADE SH 317551 9.457 Billion
Zynga, Inc. ZNGA SH 1254231 9.444 Billion
Primo Water Corp PRMW SH 600620 9.442 Billion
HealthEquity Inc HQY SH 145318 9.411 Billion
Envista Holdings Corp NVST SH 224434 9.384 Billion
John Wiley & Sons Inc. WLY SH 179547 9.374 Billion
KBR Inc KBR SH 237561 9.36 Billion
Illumina Inc ILMN SH 23069 9.357 Billion
Arthur J. Gallagher & Co Inc AJG SH 62943 9.356 Billion
NIKE Inc. NKE SH 64291 9.337 Billion
AtriCure Inc ATRC SH 134019 9.321 Billion
Cogent Communications Group Inc CCOI SH 131488 9.315 Billion
Stifel Financial Corp SF SH 136806 9.297 Billion
Nevro Corp NVRO SH 79821 9.29 Billion
JPMorgan Chase & Co. (Chemical Bank) JPM SH 56581 9.262 Billion
Elanco Animal Health Inc ELAN SH 289007 9.216 Billion
Community Bank System, Inc. CBU SH 134647 9.213 Billion
FactSet Research Systems Inc FDS SH 23333 9.211 Billion
Xylem Inc XYL SH 74464 9.21 Billion
Constellation Brands, Inc. STZ SH 43373 9.138 Billion
Omnicom Group Inc. OMC SH 125165 9.069 Billion
Universal Health Services Class B UHS SH 65540 9.069 Billion
Webster Financial Corp. WBS SH 166174 9.05 Billion
Synchrony Financial SYF SH 185074 9.046 Billion
V.F. Corp. (Vanity Fair Mills Inc.) VFC SH 134806 9.031 Billion
Energizer Holdings Inc ENR SH 229937 8.979 Billion
LKQ Corp LKQ SH 178010 8.957 Billion
Paychex Inc. PAYX SH 79631 8.955 Billion
U-Haul Holding Company UHAL SH 13835 8.938 Billion
Bank of America Corp. (North Carolina National Bank) BAC SH 207058 8.79 Billion
Exelon Corp EXC SH 180567 8.729 Billion
TELUS Corp. Non-Voting Shares TU SH 396661 8.711 Billion
Nielsen N.V. NLSN SH 453727 8.707 Billion
American Electric Power Company Inc AEP SH 106655 8.658 Billion
Nomad Foods Ltd NOMD SH 314059 8.655 Billion
Sherwin-Williams Co. SHW SH 30637 8.57 Billion
Repligen Corp. RGEN SH 29651 8.569 Billion
Brookfield Corporation BN SH 160069 8.565 Billion
Dillards Inc. DDS SH 49507 8.541 Billion
Steel Dynamics, Inc. STLD SH 145959 8.536 Billion
Automatic Data Processing Inc ADP SH 42591 8.515 Billion
Workiva Inc WK SH 60262 8.495 Billion
Teledyne Technologies, Inc. TDY SH 19751 8.485 Billion
Knight Transportation Inc. KNX SH 165894 8.485 Billion
Five Below Inc FIVE SH 47568 8.41 Billion
Floor & Decor Holdings Inc FND SH 69554 8.401 Billion
Wendys Co. (The) WEN SH 386421 8.378 Billion
Franklin Resources Inc BEN SH 281048 8.353 Billion
Globant S.A. GLOB SH 29722 8.352 Billion
Sempra Energy, Inc. SRE SH 65886 8.335 Billion
Enphase Energy Inc ENPH SH 55379 8.305 Billion
Northern Trust Corp. NTRS SH 76950 8.296 Billion
Fulgent Genetics Inc FLGT SH 91700 8.248 Billion
Post Holdings Inc POST SH 74765 8.236 Billion
Rogers Communications Inc. Class B (NYSE) RCI SH 176465 8.23 Billion
Linde Plc. LIN SH 28031 8.224 Billion
ICU Medical Inc ICUI SH 35229 8.222 Billion
Lithia Motors Inc, Class A LAD SH 25913 8.215 Billion
Globus Medical Inc GMED SH 106755 8.18 Billion
Masco Corp. MAS SH 146927 8.162 Billion
Microchip Technology Inc MCHP SH 53126 8.154 Billion
D.R. Horton, Inc. DHI SH 96690 8.119 Billion
State Street Corp. (State Street Bank & Trust Co., Boston, MA) STT SH 93358 7.909 Billion
PACCAR Inc. PCAR SH 100119 7.901 Billion
Eaton Corp. (Torbenson Axle Co. - Eaton Axle & Spring) ETN SH 52793 7.883 Billion
KAR Auction Services Inc KAR SH 480641 7.878 Billion
TE Connectivity Ltd TEL SH 56992 7.82 Billion
Kornit Digital Ltd KRNT SH 53987 7.814 Billion
Humana, Inc. HUM SH 19999 7.783 Billion
Hyatt Hotels Corp H SH 100241 7.729 Billion
Splunk Inc SPLK SH 52873 7.651 Billion
Haemonetics Corp. (MA) HAE SH 108197 7.638 Billion
Cencora Inc. COR SH 63903 7.633 Billion
Ingredion Inc. INGR SH 85437 7.605 Billion
International Business Machines Corp. IBM SH 54667 7.595 Billion
Tradeweb Markets Inc TW SH 93907 7.586 Billion
Parker-Hannifin Corp. PH SH 27038 7.56 Billion
USANA Health Sciences Inc. USNA SH 81772 7.539 Billion
Lowes Companies, Inc. LOW SH 37136 7.533 Billion
Prosperity Bancshares Inc PB SH 105238 7.486 Billion
Dominos Pizza Inc DPZ SH 15651 7.465 Billion
Johnson & Johnson Co. JNJ SH 46189 7.46 Billion
Dominion Energy Inc D SH 102073 7.453 Billion
Arista Networks Inc ANET SH 21650 7.44 Billion
Newell Brands Inc NWL SH 334942 7.416 Billion
Owens Corning Inc OC SH 86251 7.374 Billion
Teradyne Inc TER SH 67548 7.374 Billion
Bruker Corp BRKR SH 94378 7.371 Billion
Gartner, Inc. IT SH 24137 7.335 Billion
Dollar General Corp. DG SH 34570 7.334 Billion
Steven Madden Ltd SHOO SH 182271 7.32 Billion
Huntington Bancshares, Inc. (Huntington National Bank, Columbus, OH) HBAN SH 471863 7.295 Billion
TeraData Corp. TDC SH 126621 7.262 Billion
Axa Equitable Holdings Inc EQH SH 244275 7.24 Billion
Union Pacific Corp. UNP SH 36894 7.232 Billion
CVB Financial Corp. CVBF SH 354941 7.23 Billion
Ziff Davis Inc ZD SH 52893 7.226 Billion
Builders FirstSource Inc BLDR SH 139584 7.222 Billion
Spectrum Brands Holdings (Zapata Off-Shore - HRG Group) SPB SH 75480 7.221 Billion
Mimecast Ltd MIME SH 112853 7.177 Billion
IAA Inc IAA SH 131349 7.168 Billion
Discover Financial Services DFS SH 58065 7.133 Billion
Exponent Inc. EXPO SH 62868 7.114 Billion
Avery Dennison Corp. AVY SH 34314 7.11 Billion
CarMax Inc. KMX SH 55063 7.046 Billion
Enovis Corp ENOV SH 148889 6.834 Billion
Sonoco Products Co. SON SH 114451 6.819 Billion
Packaging Corp. of America PKG SH 49246 6.768 Billion
Bio-Rad Laboratories Inc Class A BIO SH 9072 6.767 Billion
Moderna Inc MRNA SH 17464 6.721 Billion
WestRock Co WRK SH 134842 6.719 Billion
Toronto-Dominion Bank (The) TD SH 101555 6.718 Billion
RB Global Inc RBA SH 108478 6.689 Billion
Evercore Inc. Class A EVR SH 49972 6.68 Billion
Korn Ferry KFY SH 92106 6.665 Billion
Nuvasive Inc NUVA SH 111363 6.665 Billion
Teladoc Health Inc TDOC SH 52385 6.643 Billion
Henry (Jack) & Associates, Inc. JKHY SH 40483 6.642 Billion
Ubiquiti Inc UI SH 22178 6.624 Billion
8x8 Inc EGHT SH 281538 6.585 Billion
Hain Celestial Group HAIN SH 153754 6.578 Billion
Urban Outfitters Inc. URBN SH 220146 6.536 Billion
XP Inc. XP SH 161965 6.506 Billion
Open Lending Corp LPRO SH 179461 6.473 Billion
GFL Environmental Inc. Subordinate Voting Shares GFL SH 173504 6.446 Billion
FTI Consulting, Inc. FCN SH 47800 6.439 Billion
Graphic Packaging Holding Company GPK SH 338034 6.436 Billion
Helen Of Troy Ltd. HELE SH 28580 6.421 Billion
Royal Bank of Canada (NYSE) RY SH 63884 6.355 Billion
American Eagle Outfitters Inc AEO SH 246178 6.351 Billion
Ecolab Inc. ECL SH 30441 6.351 Billion
Invesco Emerging Markets Sovereign Debt ETF- PCY SH 238040 6.349 Billion
Dun & Bradstreet Holdings, Inc. DNB SH 376815 6.334 Billion
Tenet Healthcare Corp. THC SH 95259 6.329 Billion
RH Common Stock RH SH 9484 6.325 Billion
Canadian Pacific Railway Ltd. (2001) CP SH 96981 6.311 Billion
Keysight Technologies Inc KEYS SH 38352 6.301 Billion
Synopsys Inc. SNPS SH 20929 6.266 Billion
Zendesk Inc ZEN SH 53783 6.26 Billion
Cognizant Technology Solutions Corp CTSH SH 84096 6.241 Billion
Citigroup, Inc. C SH 88704 6.225 Billion
Pure Storage Inc PSTG SH 247391 6.224 Billion
Integra LifeSciences Holdings Corp IART SH 90845 6.221 Billion
JetBlue Airways Corp JBLU SH 405047 6.193 Billion
Paramount Global PARA SH 156610 6.188 Billion
Blueprint Medicines Corp BPMC SH 60035 6.172 Billion
Ambarella Inc AMBA SH 39572 6.163 Billion
Zions Bancorp ZION SH 99410 6.152 Billion
Ford Motor Co. F SH 431940 6.116 Billion
Affiliated Managers Group Inc AMG SH 40451 6.112 Billion
Virtu Financial Inc VIRT SH 249605 6.098 Billion
Texas Capital Bancshares Inc TCBI SH 101590 6.097 Billion
Inari Medical, Inc. NARI SH 74919 6.076 Billion
Brunswick Corp. BC SH 63459 6.046 Billion
Box Inc BOX SH 255369 6.045 Billion
Progyny, Inc. PGNY SH 107459 6.018 Billion
Janus Henderson Group PLC JHG SH 145053 5.995 Billion
Bright Horizons Family Solutions, Inc. BFAM SH 42829 5.971 Billion
ManpowerGroup Inc. MAN SH 55084 5.964 Billion
Louisiana Pacific Corp. LPX SH 97181 5.964 Billion
C.H. Robinson Worldwide Inc CHRW SH 68553 5.964 Billion
Dollar Tree Inc. DLTR SH 62063 5.941 Billion
News Inc. Class A NWSA SH 252397 5.939 Billion
Schein (Henry) Inc. HSIC SH 77648 5.914 Billion
Kroger Co. KR SH 145997 5.903 Billion
Berry Global Group Inc BERY SH 96947 5.902 Billion
BJs Wholesale Club Holdings Inc BJ SH 107197 5.887 Billion
Chubb Limited CB SH 33927 5.886 Billion
Snap Inc Class A SNAP SH 79616 5.881 Billion
Darling Ingredients Inc DAR SH 81061 5.828 Billion
Encompass Health Corp EHC SH 77421 5.81 Billion
MetLife Inc. MET SH 94063 5.807 Billion
Kimberly-Clark Corp. KMB SH 43817 5.803 Billion
Qorvo Inc QRVO SH 34711 5.803 Billion
Conmed Corp CNMD SH 44245 5.789 Billion
Edison International (Southern California Edison) EIX SH 104335 5.787 Billion
Zillow Group Inc. Class A ZG SH 65253 5.78 Billion
Sirius XM Holdings Inc SIRI SH 946451 5.773 Billion
Ulta Beauty Inc ULTA SH 15995 5.773 Billion
Lincoln National Corp. LNC SH 83855 5.765 Billion
StoneCo Ltd STNE SH 165602 5.75 Billion
Lennar Corp. Class A LEN SH 61275 5.74 Billion
Boeing Company BA SH 26031 5.725 Billion
Prestige Consumer Healthcare Inc. (Prestige Brands Holdings) PBH SH 101490 5.695 Billion
Lilly (Eli) & Co. LLY SH 24395 5.636 Billion
Whirlpool Corp. (DE) WHR SH 27595 5.626 Billion
Sealed Air Corp. SEE SH 102598 5.621 Billion
Capri Holdings Ltd (Michael Kors Holdings) CPRI SH 114966 5.566 Billion
SEI Investments Co. SEIC SH 93852 5.565 Billion
Doximity Inc DOCS SH 68649 5.54 Billion
PTC Inc. PTC SH 45990 5.509 Billion
Advanced Drainage Systems Inc WMS SH 50762 5.491 Billion
Houlihan Lokey Inc HLI SH 59563 5.486 Billion
SPS Commerce Inc SPSC SH 33702 5.436 Billion
Saia Inc SAIA SH 22773 5.421 Billion
Digital Turbine Inc APPS SH 78492 5.396 Billion
Ball Corp. BALL SH 59594 5.362 Billion
Clorox Co. CLX SH 32364 5.36 Billion
Airbnb, Inc. ABNB SH 31842 5.341 Billion
Trex Company TREX SH 52281 5.329 Billion
Charles River Laboratories International Inc CRL SH 12907 5.326 Billion
Amcor Ltd AMCR SH 457197 5.299 Billion
Sleep Number Corp SNBR SH 56354 5.268 Billion
TriNet Group Inc TNET SH 55276 5.228 Billion
Home Depot, Inc. (The) HD SH 15701 5.154 Billion
NiSource Inc. NI SH 211580 5.127 Billion
Stanley Black & Decker Inc. SWK SH 29225 5.123 Billion
Cheniere Energy Inc LNG SH 52371 5.115 Billion
Vicor Corp VICR SH 37954 5.092 Billion
Synovus Financial Corp. (Columbus, GA) SNV SH 114897 5.043 Billion
Goodyear Tire and Rubber Co. GT SH 283395 5.016 Billion
Corteva Inc CTVA SH 117655 4.951 Billion
Glaukos Corp GKOS SH 102091 4.918 Billion
Marvell Technology Group Ltd MRVL SH 81116 4.892 Billion
PG&E Corp. (Pacific Gas & Electric) PCG SH 505084 4.849 Billion
Genpact Ltd G SH 102018 4.847 Billion
Biotechne Corp TECH SH 9995 4.843 Billion
Coherent Corp COHR SH 81514 4.839 Billion
AptarGroup, Inc. ATR SH 40312 4.811 Billion
Wix.com Ltd WIX SH 24192 4.741 Billion
Hamilton Lane Inc HLNE SH 55788 4.732 Billion
Westinghouse Air Brake Technologies Corp WAB SH 54874 4.731 Billion
Palomar Holdings Inc PLMR SH 58371 4.718 Billion
CommVault Systems Inc CVLT SH 62141 4.68 Billion
Fortune Brands Innovations Inc FBIN SH 52332 4.68 Billion
Smith (A.O.) Corp., Class B AOS SH 75954 4.639 Billion
Archer-Daniels-Midland Co. ADM SH 77257 4.636 Billion
Vail Resorts Inc MTN SH 13874 4.635 Billion
Akamai Technologies Inc. AKAM SH 43965 4.598 Billion
Glacier Bancorp, Inc. GBCI SH 82902 4.589 Billion
Cannae Holdings Inc CNNE SH 146514 4.558 Billion
DocuSign Inc DOCU SH 17703 4.557 Billion
Service Corp. International, Inc. SCI SH 75543 4.552 Billion
Everest Group Ltd EG SH 18110 4.542 Billion
New York Times Co. Class A NYT SH 92003 4.533 Billion
Allison Transmission Holdings Inc ALSN SH 127071 4.488 Billion
Medpace Holdings Inc MEDP SH 23679 4.482 Billion
Freedom Holding Corp FRHC SH 71053 4.461 Billion
NeoGenomics, Inc. NEO SH 92206 4.448 Billion
Crown Holdings Inc. (Crown Cork & Seal) CCK SH 44019 4.436 Billion
Performance Food Group Co PFGC SH 95363 4.431 Billion
Unum Group, Inc. UNM SH 176580 4.425 Billion
Aercap Holdings N.V. AER SH 76472 4.421 Billion
TreeHouse Foods Inc THS SH 110002 4.387 Billion
Nordstrom Inc. JWN SH 165259 4.371 Billion
SolarEdge Technologies Inc SEDG SH 16352 4.337 Billion
Invesco S&P 500 Low Volatility ETF- SPLV SH 71010 4.32 Billion
Moelis & Co MC SH 69366 4.292 Billion
Avantor Inc AVTR SH 104831 4.288 Billion
Amedisys Inc AMED SH 28475 4.246 Billion
Cryoport Inc CYRX SH 63755 4.24 Billion
Flowers Foods FLO SH 179204 4.235 Billion
Merit Medical Systems Inc. MMSI SH 58840 4.225 Billion
Silicon Laboratories Inc SLAB SH 30138 4.224 Billion
Crane NXT Co CXT SH 44461 4.215 Billion
Davita Inc. DVA SH 36154 4.203 Billion
Asana, Inc. ASAN SH 40449 4.2 Billion
Axis Capital Holdings Ltd AXS SH 90862 4.183 Billion
Tetra Tech, Inc. TTEK SH 27630 4.126 Billion
Graham Holdings, Inc. GHC SH 6965 4.103 Billion
Garmin Ltd GRMN SH 26385 4.102 Billion
Cable One Inc CABO SH 2256 4.09 Billion
Popular Inc (Puerto Rico) BPOP SH 52192 4.054 Billion
Trane Technologies Plc TT SH 23429 4.045 Billion
CF Industries Holdings Inc CF SH 72273 4.034 Billion
Allstate Corp (The) ALL SH 31683 4.034 Billion
RenaissanceRe Holdings Ltd RNR SH 28883 4.026 Billion
ASGN Inc. (On Assignment Inc.) ASGN SH 35542 4.021 Billion
The Trade Desk Inc Class A TTD SH 57058 4.011 Billion
Itron, Inc. ITRI SH 52660 3.983 Billion
Take-Two Interactive Software, Inc. TTWO SH 25803 3.975 Billion
Kinsale Capital Group Inc KNSL SH 24537 3.968 Billion
AMN Healthcare Services Inc AMN SH 34471 3.956 Billion
Aramark ARMK SH 119773 3.936 Billion
Artisan Partners Asset Management Inc APAM SH 80432 3.935 Billion
Hormel Foods Corp. HRL SH 95879 3.931 Billion
EXACT Sciences Corp EXAS SH 41163 3.929 Billion
VanEck High Yield Muni ETF-VanEck High Yield Muni ETF HYD SH 62466 3.903 Billion
F.N.B. Corp. FNB SH 334300 3.885 Billion
VanEck Vietnam ETF- VNM SH 201490 3.883 Billion
Expeditors International of Washington Inc EXPD SH 32223 3.839 Billion
Telephone and Data Systems Inc TDS SH 195005 3.803 Billion
Trupanion Inc TRUP SH 48955 3.802 Billion
Reinsurance Group of America Inc RGA SH 34166 3.801 Billion
Brown & Brown Inc. BRO SH 68317 3.788 Billion
Landstar System Inc LSTR SH 23988 3.786 Billion
Dow Inc DOW SH 65765 3.785 Billion
Illinois Tool Works Inc ITW SH 18302 3.782 Billion
Sonos Inc SONO SH 116427 3.768 Billion
Alleghany Corp (NY) Y SH 6014 3.755 Billion
Mohawk Industries Inc. MHK SH 21033 3.731 Billion
Quaker Chemical Corp. KWR SH 15678 3.727 Billion
WillScot Corp WSC SH 117221 3.718 Billion
Stericycle Inc. SRCL SH 54676 3.716 Billion
Novanta Inc NOVT SH 24036 3.714 Billion
Polaris Inc PII SH 30913 3.699 Billion
Adaptive Biotechnologies Corp ADPT SH 108577 3.691 Billion
Lyft Inc LYFT SH 68838 3.689 Billion
Vanguard Dividend Appreciation Index Fund-ETF Shares VIG SH 23932 3.676 Billion
CMS Energy Corp. (Consumers Power Co.) CMS SH 61474 3.672 Billion
Fidelity National Financial Inc FNF SH 80523 3.651 Billion
Manulife Financial Corp MFC SH 188538 3.627 Billion
NVR Inc NVR SH 754 3.615 Billion
Interpublic Group of Companies Inc (The) IPG SH 98149 3.599 Billion
Eastern Bankshares, Inc. EBC SH 176438 3.582 Billion
CenterPoint Energy Inc CNP SH 145527 3.58 Billion
Icon Plc Ads ICLR SH 13588 3.56 Billion
WEC Energy Group (Wisconsin Electric Power) WEC SH 40236 3.549 Billion
Loews Corp L SH 64816 3.496 Billion
CyberArk Software Ltd CYBR SH 21903 3.457 Billion
Fabrinet FN SH 33641 3.449 Billion
Lattice Semconductor Corp. LSCC SH 52744 3.41 Billion
Inspire Medical Systems Inc INSP SH 14630 3.407 Billion
Hunt (J.B.) Transport Services, Inc. JBHT SH 20369 3.406 Billion
GoDaddy Inc GDDY SH 48676 3.393 Billion
TripAdvisor Inc TRIP SH 100163 3.391 Billion
iShares 5-10 Year Investment Grade Corporate Bond ETF-iShares 5-10 Year Investment Grade Corporate Bond ETF IGIB SH 56396 3.387 Billion
Campbell Soup Co. CPB SH 80786 3.378 Billion
Cheesecake Factory, Inc. (The) CAKE SH 71866 3.378 Billion
Smucker (J.M.) Co. SJM SH 28009 3.362 Billion
iShares Russell 1000 Growth ETF-iShares Russell 1000 Growth ETF IWF SH 12265 3.361 Billion
Corpay Inc. CPAY SH 12847 3.357 Billion
Albemarle Corp. ALB SH 15295 3.349 Billion
Ross Stores Inc. (DE) ROST SH 30768 3.349 Billion
Eastman Chemical Co. EMN SH 33145 3.339 Billion
Cullen/Frost Bankers, Inc. (Frost National Bank) (San Antonio, TX) CFR SH 28142 3.338 Billion
Progress Software Corp. PRGS SH 67779 3.334 Billion
Anaplan Inc PLAN SH 54680 3.329 Billion
ExlService Holdings Inc EXLS SH 26953 3.318 Billion
Amyris Inc AMRSQ SH 239683 3.291 Billion
Minerals Technologies Inc. MTX SH 46969 3.28 Billion
Ryder System Inc. R SH 39352 3.255 Billion
Okta Inc OKTA SH 13640 3.237 Billion
Federated Hermes Inc. (Federated Investors) FHI SH 99561 3.236 Billion
First American Corp (The) FAF SH 47966 3.216 Billion
iShares Mortgage Real Estate ETF-iShares Mortgage Real Estate ETF REM SH 88857 3.215 Billion
AZEK Company Inc. AZEK SH 87858 3.209 Billion
Power Integrations, Inc. POWI SH 32297 3.197 Billion
Dolby Laboratories DLB SH 36214 3.187 Billion
iShares Preferred and Income Securities ETF-iShares Preferred and Income Securities ETF PFF SH 82067 3.185 Billion
The Health Care Select Sector SPDR Fund- XLV SH 24969 3.179 Billion
Dish Network Corp, Class A DISH SH 72939 3.17 Billion
Alarm.com Holdings Inc ALRM SH 40460 3.164 Billion
LHC Group Inc. LHCG SH 20161 3.163 Billion
Invesco QQQ Trust, Series 1 QQQ SH 8796 3.149 Billion
Covetrus Inc CVET SH 172679 3.132 Billion
Astrana Health Inc. ASTH SH 34221 3.116 Billion
Plexus Corp. PLXS SH 34790 3.111 Billion
iShares Frontier and Select EM ETF- FM SH 91225 3.093 Billion
Signet Jewelers Ltd SIG SH 38924 3.073 Billion
Caseys General Stores, Inc. CASY SH 16212 3.055 Billion
Bank of Montreal (NYSE) BMO SH 30561 3.048 Billion
Carrier Global Corp. CARR SH 58792 3.043 Billion
CDW Corp. CDW SH 16685 3.037 Billion
Liveramp Holdings Inc RAMP SH 64081 3.027 Billion
Cognex Corp CGNX SH 37310 2.993 Billion
SPDR S&P 500 ETF TRUST SPY SH 6942 2.979 Billion
CGI Inc GIB SH 35101 2.975 Billion
Procter & Gamble Co. (OH) (1905) PG SH 21260 2.972 Billion
Axon Enterprise Inc AXON SH 16967 2.97 Billion
Choice Hotels International, Inc. CHH SH 23288 2.943 Billion
iShares Core S&P 500 ETF-iShares Core S&P 500 ETF IVV SH 6806 2.932 Billion
Schneider National Inc SNDR SH 128912 2.931 Billion
MKS Instruments Inc MKSI SH 19362 2.922 Billion
The Technology Select Sector SPDR Fund- XLK SH 19529 2.916 Billion
Churchill Downs Inc CHDN SH 12054 2.894 Billion
Owens & Minor, Inc (Holding Co.) OMI SH 92048 2.88 Billion
Sarepta Therapeutics Inc SRPT SH 31132 2.879 Billion
Xcel Energy Inc. (Northern States Power Co. (MN)) XEL SH 45979 2.874 Billion
Viasat Inc. VSAT SH 52160 2.872 Billion
Alkermes Plc. ALKS SH 92958 2.867 Billion
Under Armour Inc UAA SH 141237 2.85 Billion
Guardant Health Inc GH SH 22766 2.846 Billion
Simpson Manufacturing Co., Inc. SSD SH 26534 2.838 Billion
Fair Isaac Corp FICO SH 7132 2.838 Billion
Clean Harbors Inc. CLH SH 27286 2.834 Billion
Momentive Global Inc MNTV SH 143792 2.818 Billion
Arch Capital Group Ltd. ACGL SH 73739 2.815 Billion
Oshkosh Corporation OSK SH 27464 2.811 Billion
Azenta Inc AZTA SH 27375 2.802 Billion
Verra Mobility Corp VRRM SH 185178 2.791 Billion
Chemed Corporation CHE SH 5996 2.789 Billion
Dover Corp. DOV SH 17893 2.782 Billion
CRISPR Therapeutics AG CRSP SH 24759 2.771 Billion
Insight Enterprises, Inc. NSIT SH 30732 2.768 Billion
Block (H&R) Inc. HRB SH 109925 2.748 Billion
Sotera Health Co SHC SH 104428 2.731 Billion
International Flavors and Fragrances, Inc. IFF SH 20352 2.721 Billion
Occidental Petroleum Corp. OXY SH 91408 2.704 Billion
National Vision Holdings Inc EYE SH 47381 2.69 Billion
Vmware Inc VMW SH 18046 2.683 Billion
Brighthouse Financial Inc BHF SH 59302 2.682 Billion
Church & Dwight Co., Inc. CHD SH 32469 2.681 Billion
ManTech International Corp MANT SH 35202 2.673 Billion
Broadridge Financial Solutions Inc BR SH 16029 2.671 Billion
Valvoline Inc VVV SH 85635 2.67 Billion
SS&C Technologies Holdings Inc SSNC SH 37997 2.637 Billion
Resideo Technologies Inc REZI SH 105670 2.62 Billion
American Financial Group Inc. (Holding Co.) AFG SH 20702 2.605 Billion
Flextronics International Inc. FLEX SH 146443 2.589 Billion
PPG Industries, Inc. (Pittsburgh Plate Glass) PPG SH 18099 2.588 Billion
TopBuild Corp BLD SH 12608 2.582 Billion
Pegasystems Inc. PEGA SH 20249 2.574 Billion
Topgold Callaway Brands MODG SH 93121 2.573 Billion
Best Buy Co., Inc. BBY SH 24299 2.569 Billion
Grocery Outlet Holding Corp GO SH 118629 2.559 Billion
Armstrong World Industries Inc. AWI SH 26790 2.558 Billion
ITT Inc. (International Telephone and Telegraph) ITT SH 29790 2.557 Billion
MongoDB Inc MDB SH 5401 2.547 Billion
ANSYS, Inc. ANSS SH 7473 2.544 Billion
Markel Corp. (Holding Co.) MKL SH 2124 2.538 Billion
United Parks & Resorts Inc. PRKS SH 45832 2.535 Billion
Beauty Health Co SKIN SH 96998 2.519 Billion
Ufp Industries Inc UFPI SH 36801 2.502 Billion
Trimble Navigation Ltd. TRMB SH 30373 2.498 Billion
Tapestry Inc TPR SH 67097 2.484 Billion
Wayfair Inc Class A W SH 9613 2.456 Billion
Brinks Company (The) BCO SH 38731 2.452 Billion
MSA Safety Inc MSA SH 16768 2.443 Billion
Tenable Holdings Inc TENB SH 52509 2.423 Billion
PPL Corp. (Pennsylvania Power & Light) PPL SH 86419 2.409 Billion
Sprouts Farmers Market Inc SFM SH 103227 2.392 Billion
NanoString Technologies Inc NSTG SH 49380 2.371 Billion
Carlisle Companies Inc CSL SH 11867 2.359 Billion
Qualys, Inc. QLYS SH 21189 2.358 Billion
Washington Federal Inc WAFD SH 68545 2.352 Billion
VeriSign Inc. VRSN SH 11447 2.347 Billion
Werner Enterprises, Inc. WERN SH 53005 2.347 Billion
Frontdoor Inc FTDR SH 55847 2.34 Billion
Robinhood Markets Inc HOOD SH 55585 2.339 Billion
Gen Digital Inc GEN SH 91288 2.31 Billion
Driven Brands Holdings Inc DRVN SH 79542 2.298 Billion
Western Union Co (The) WU SH 113421 2.293 Billion
Comerica, Inc. (Detroit, MI) (Detroit Bank & Trust) CMA SH 28435 2.289 Billion
MillerKnoll Inc MLKN SH 60413 2.275 Billion
Synaptics Inc SYNA SH 12655 2.274 Billion
Westlake Chemical Corp WLK SH 24857 2.265 Billion
JELD-WEN Holding Inc JELD SH 90201 2.258 Billion
Dropbox Inc DBX SH 76803 2.244 Billion
Vertiv Holdings Co VRT SH 93096 2.243 Billion
TG Therapeutics Inc TGTX SH 67196 2.236 Billion
Royal Caribbean Cruises Ltd RCL SH 25068 2.23 Billion
Emerson Electric Co. EMR SH 23421 2.206 Billion
Sysco Corp. SYY SH 28065 2.203 Billion
Canadian National Railway Co. CNI SH 19052 2.203 Billion
Semtech Corp SMTC SH 28079 2.189 Billion
Diodes Inc. DIOD SH 24066 2.18 Billion
Guidewire Software, Inc. GWRE SH 18321 2.178 Billion
Neogen Corp NEOGV SH 50025 2.173 Billion
YETI Holdings Inc YETI SH 25242 2.163 Billion
National Instruments Corp NATI SH 55081 2.161 Billion
Bristol-Myers Squibb Co BMY SH 36344 2.15 Billion
Chemours Co (The) CC SH 73365 2.132 Billion
1Life Healthcare Inc. ONEM SH 104920 2.125 Billion
Scotts Miracle-Gro Co. (The) SMG SH 14491 2.121 Billion
The Consumer Discretionary Select Sector SPDR Fund- XLY SH 11803 2.118 Billion
Darden Restaurants Inc DRI SH 13961 2.115 Billion
Universal Display Corp OLED SH 12361 2.113 Billion
Chipotle Mexican Grill, Inc. CMG SH 1162 2.112 Billion
Snap-On Inc. SNA SH 10108 2.112 Billion
Assurant Inc. AIZ SH 13377 2.11 Billion
LivePerson Inc. LPSN SH 35741 2.107 Billion
Olin Corp. (Mathieson Chemical) OLN SH 43641 2.106 Billion
Integer Holdings Corp ITGR SH 23339 2.085 Billion
Jabil Inc JBL SH 35698 2.084 Billion
Public Service Enterprise Group Inc PEG SH 34157 2.08 Billion
The Health Care Select Sector SPDR Fund- XLV PUT 16300 2.075 Billion
The Health Care Select Sector SPDR Fund- XLV CALL 16300 2.075 Billion
New Relic Inc NEWR SH 28788 2.066 Billion
Norfolk Southern Corp. NSC SH 8590 2.055 Billion
Nordson Corporation NDSN SH 8602 2.049 Billion
EMCOR Group, Inc. EME SH 17713 2.044 Billion
Vroom, Inc. VRM SH 92210 2.035 Billion
Bank of Nova Scotia (NYSE) ADR BNS SH 32635 2.008 Billion
Pultegroup Inc PHM SH 43536 1.999 Billion
Principal Financial Group PFG SH 30779 1.982 Billion
BOK Financial Corp BOKF SH 22132 1.982 Billion
Kennametal Inc. KMT SH 57659 1.974 Billion
MAXIMUS, Inc. MMS SH 23614 1.965 Billion
Xerox Corp. (Haloid Co.) XRX SH 97287 1.962 Billion
Middleby Corp (The) MIDD SH 11500 1.961 Billion
Atlantica Sustainable Infrastr PLC AY SH 56612 1.954 Billion
Equinox Gold Corp EQX SH 296065 1.954 Billion
DLocal Limited Cl A DLO SH 35789 1.953 Billion
Old Republic International Corp. ORI SH 84408 1.952 Billion
Cardlytics Inc CDLX SH 23239 1.951 Billion
Seagate Technology plc STX SH 23480 1.938 Billion
DXC Technology Company DXC SH 57163 1.921 Billion
International Paper Co. IP SH 34184 1.912 Billion
Academy Sports and Outdoors, Inc. ASO SH 47359 1.895 Billion
Credicorp Ltd ADR BAP SH 16859 1.87 Billion
Rapid7 Inc RPD SH 16531 1.868 Billion
Globe Life Inc GL SH 20940 1.864 Billion
IPG Photonics Corp IPGP SH 11748 1.861 Billion
Cincinnati Financial Corp. (Cincinnati Insurance Co.) CINF SH 16067 1.835 Billion
Alamos Gold Inc AGI SH 252611 1.819 Billion
Acadia Healthcare Company Inc. ACHC SH 28486 1.817 Billion
ConAgra Brands Inc CAG SH 53605 1.816 Billion
Arrow Electronics Corp. ARW SH 16171 1.816 Billion
Lincoln Electric Holdings Inc LECO SH 14072 1.812 Billion
Toll Brothers, Inc. TOL SH 32565 1.801 Billion
Ingevity Corp NGVT SH 25226 1.8 Billion
Sun Life Financial Inc SLF SH 34751 1.788 Billion
Leslies, Inc. LESL SH 86712 1.781 Billion
Ping Identity Holding Corp PING SH 72324 1.777 Billion
OneMain Holdings Inc OMF SH 31978 1.769 Billion
HP Inc HPQ SH 64571 1.767 Billion
John Bean Technologies Corp JBT SH 12481 1.754 Billion
Petco Health and Wellness Company Inc WOOF SH 82634 1.744 Billion
ZoomInfo Technologies Inc. ZI SH 28472 1.742 Billion
Dycom Industries Inc DY SH 24433 1.741 Billion
Kirby Corp KEX SH 36210 1.737 Billion
Appian Corp APPN SH 18530 1.714 Billion
Berkeley (W.R.) Corp. WRB SH 23413 1.713 Billion
UGI Corp. (United Gas Improvement) UGI SH 40029 1.706 Billion
Canadian Solar Inc CSIQ SH 49253 1.704 Billion
VanEck Semiconductor ETF- SMH SH 6635 1.7 Billion
Merck & Co MRK SH 22622 1.699 Billion
Entegris Inc. ENTG SH 13492 1.699 Billion
Select Medical Holdings Corp SEM SH 46945 1.698 Billion
DTE Energy Co. (Detroit Edison) DTE SH 15093 1.686 Billion
Datadog Inc DDOG SH 11899 1.682 Billion
South State Corp SSB SH 22450 1.676 Billion
Graco Inc. GGG SH 23939 1.675 Billion
FirstEnergy Corp. FE SH 46772 1.666 Billion
Jamf Holding Corp. JAMF SH 43235 1.665 Billion
CDK Global Inc CDK SH 38624 1.643 Billion
iShares Semiconductor ETF-iShares Semiconductor ETF SOXX SH 3680 1.641 Billion
Cloudflare Inc NET SH 14561 1.64 Billion
Light & Wonder Inc LNW SH 19725 1.639 Billion
Entergy Corp. ETR SH 16387 1.627 Billion
Fuller (H.B.) Co. FUL SH 24937 1.61 Billion
Proto Labs Inc PRLB SH 24013 1.599 Billion
Terex Corp. (Northwest Engineering Co.) TEX SH 37872 1.594 Billion
Cimpress PLC CMPR SH 18311 1.59 Billion
Shutterstock Inc SSTK SH 13810 1.565 Billion
iShares Latin America 40 ETF-iShares Latin America 40 ETF ILF SH 58692 1.558 Billion
Green Dot Corp GDOT SH 30856 1.553 Billion
LGI Homes Inc LGIH SH 10926 1.551 Billion
Ormat Technologies Inc ORA SH 23220 1.547 Billion
Vontier Corp. VNT SH 46025 1.546 Billion
LCI Industries LCII SH 11441 1.54 Billion
ZIM Integrated Shipping Services Ltd ZIM SH 30380 1.54 Billion
Black Knight Inc BKI SH 21156 1.523 Billion
Mercury Systems Inc. MRCY SH 32024 1.519 Billion
Ashland Inc. ASH SH 17038 1.518 Billion
AGCO Corp AGCO SH 12309 1.508 Billion
Shake Shack Inc SHAK SH 19163 1.504 Billion
Masonite International Corp DOOR SH 14108 1.497 Billion
Nexstar Media Group Inc NXST SH 9811 1.491 Billion
BlackLine Inc BL SH 12620 1.49 Billion
Restaurant Brands International Inc QSR SH 24238 1.483 Billion
RPM International Inc. RPM SH 19083 1.482 Billion
Patterson Companies, Inc. PDCO SH 48061 1.449 Billion
AppFolio Inc APPF SH 12036 1.449 Billion
Signature Bank SBNY SH 5306 1.445 Billion
Canadian Imperial Bank of Commerce (NYSE) CM SH 12974 1.444 Billion
Wells Fargo & Co. (Northwest Bancorporation) WFC SH 31073 1.442 Billion
KB Home Inc. KBH SH 37058 1.442 Billion
Everbridge Inc EVBG SH 9499 1.435 Billion
Hasbro Inc. HAS SH 15883 1.417 Billion
Corning Inc. GLW SH 38660 1.411 Billion
Switch Inc SWCH SH 55420 1.407 Billion
Sprout Social, Inc. SPT SH 11538 1.407 Billion
IDEX Corp. IEX SH 6766 1.4 Billion
Brinker International Inc. EAT SH 28184 1.382 Billion
Belden Inc BDC SH 23631 1.377 Billion
Hydrofarm Holdings Group, Inc. HYFM SH 36210 1.371 Billion
Chegg Inc CHGG SH 19939 1.356 Billion
Allogene Therapeutics Inc ALLO SH 52315 1.344 Billion
Fortive Corp FTV SH 18838 1.329 Billion
Pagseguro Digital Ltd PAGS SH 25687 1.329 Billion
Healthcare Services Group Inc HCSG SH 53057 1.326 Billion
Hillenbrand Inc. HI SH 30974 1.321 Billion
Kemper Corp. (1990) KMPR SH 19718 1.317 Billion
Brady Corp. Class A BRC SH 25638 1.3 Billion
PhenomeX Inc CELL SH 66328 1.297 Billion
Aspen Technology Inc AZPN SH 10449 1.283 Billion
General Motors Co GM SH 24256 1.279 Billion
InterDigital, Inc. IDCC SH 18789 1.274 Billion
Algonquin Power & Utilities AQN SH 86674 1.271 Billion
Southwest Gas Holdings Inc SWX SH 18825 1.259 Billion
Amdocs Ltd DOX SH 16578 1.255 Billion
Comfort Systems USA, Inc. FIX SH 17423 1.243 Billion
Euronet Worldwide Inc. EEFT SH 9700 1.235 Billion
TFI Intl Inc TFII SH 12045 1.231 Billion
Wheaton Precious Metals Corp WPM SH 32612 1.226 Billion
Qualtrics Intl Inc XM SH 28557 1.221 Billion
Cabot Corp. CBT SH 24014 1.204 Billion
Hewlett Packard Enterprise Co HPE SH 84383 1.202 Billion
Ortho Clinical Diagnostics Holdings PLC OCDX SH 64596 1.194 Billion
LyondellBasell Industries NV LYB SH 12691 1.191 Billion
Cohn & Steers Inc CNS SH 14098 1.181 Billion
Ingersoll Rand Inc IR SH 23281 1.174 Billion
Manhattan Associates, Inc. MANH SH 7646 1.17 Billion
Syneos Health Inc Class A SYNH SH 13374 1.17 Billion
AFLAC Inc. AFL SH 22358 1.166 Billion
Q2 Holdings Inc QTWO SH 14485 1.161 Billion
Deciphera Pharmaceuticals Inc DCPH SH 33639 1.143 Billion
Accolade, Inc. ACCD SH 26895 1.134 Billion
Consolidated Edison Co. of New York Inc. (Consolidated Gas Co. of New York) ED SH 15478 1.124 Billion
MDU Resources Group MDU SH 37364 1.109 Billion
10X Genomics Inc TXG SH 7594 1.106 Billion
Celanese Corp CE SH 7334 1.105 Billion
Williams Cos. (The) WMB SH 42423 1.1 Billion
SPDR(R) S&P(R) Homebuilders ETF-SPDR(R) S&P(R) Homebuilders ETF XHB SH 15170 1.089 Billion
General Mills Co. GIS SH 18161 1.086 Billion
NCR Voyix Corp VYX SH 27845 1.079 Billion
Phreesia Inc PHR SH 17470 1.078 Billion
Formfactor Inc FORM SH 28790 1.075 Billion
PriceSmart Inc PSMT SH 13837 1.073 Billion
Essential Utilities Inc WTRG SH 23077 1.063 Billion
Sumo Logic, Inc. SUMO SH 65826 1.061 Billion
Vonage Holdings Corp VG SH 62922 1.014 Billion
Global-E Online Ltd GLBE SH 14124 1.014 Billion
Selective Insurance Group Inc. SIGI SH 13239 1 Billion
Heico Corp. HEI SH 7551 996 Million
Silgan Holdings Inc SLGN SH 25830 991 Million
PacWest Bancorp (DE) PACW SH 21837 990 Million
AbCellera Biologics Inc. ABCL SH 49165 985 Million
PNC Financial Services Group, Inc. (The) (Provident National Trust Co.) PNC SH 4962 971 Million
Toro Co TTC SH 9728 948 Million
VANGUARD DEVELOPED MARKETS INDEX FUND-ETF Shares VEA SH 18687 944 Million
Leggett & Platt Inc. LEG SH 21004 942 Million
VANGUARD EUROPEAN STOCK INDEX FUND-ETF Shares VGK SH 14291 938 Million
APi Group Corp APG SH 45598 928 Million
Axalta Coating Systems Ltd AXTA SH 31381 916 Million
iShares MSCI Philippines ETF- EPHE SH 30507 908 Million
Karuna Therapeutics Inc KRTX SH 7372 902 Million
Riot Blockchain Inc RIOT SH 34981 899 Million
Reata Pharmaceuticals Inc RETA SH 8901 896 Million
Dynatrace Inc DT SH 12601 894 Million
Chart Industries Inc GTLS SH 4659 890 Million
BigCommerce Holdings, Inc. BIGC SH 17582 890 Million
Planet Fitness Inc PLNT SH 10886 855 Million
ExxonMobil Corp. (Standard Oil of New Jersey) XOM SH 14336 843 Million
M.D.C. Holdings Inc. MDC SH 17847 834 Million
iShares MSCI ACWI ETF-iShares MSCI ACWI ETF ACWI SH 8332 833 Million
Cushman & Wakefield PLC CWK SH 44410 826 Million
ABM Industries Inc ABM SH 18316 824 Million
MaxLinear Inc MXL SH 16431 809 Million
ACI Worldwide Inc. (Transaction Systems Architects) ACIW SH 25896 796 Million
Sabre Corp SABR SH 66911 792 Million
Ametek Inc. AME SH 6378 791 Million
LendingTree Inc TREE SH 5648 790 Million
RBC Bearings Inc. RBC SH 3703 786 Million
Mosaic Company (The) MOS SH 21892 782 Million
Nov Inc NOV SH 59235 777 Million
Blackbaud Inc BLKB SH 10865 764 Million
Rockwell Automation, Inc. ROK SH 2590 762 Million
Avis Budget Group Inc. (CUC International - Cendant) CAR SH 6536 762 Million
United States Steel Corp. X SH 34243 752 Million
ONE Gas, Inc. OGS SH 11843 750 Million
SailPoint Technologies Holdings Inc SAIL SH 17269 740 Million
Strategic Education Inc. (Strayer Education) STRA SH 10484 739 Million
Altra Industrial Motion Corp AIMC SH 13320 737 Million
Magnite Inc. (Rubicon Project Inc.) MGNI SH 26304 737 Million
Brookfield Renewable Corporation Class A BEPC SH 18670 725 Million
Walker & Dunlop Inc WD SH 6383 724 Million
CACI International Inc. Class A CACI SH 2747 720 Million
Cracker Barrel Old Country Store, Inc. CBRL SH 5067 709 Million
nVent Electric PLC NVT SH 21777 704 Million
Wolfspeed Inc (Cree Inc) WOLF SH 8684 701 Million
Mueller Water Products Inc. MWA SH 46003 700 Million
Tyler Technologies Inc TYL SH 1514 694 Million
Otis Worldwide Corp OTIS SH 8423 693 Million
NewMarket Corp. (Albermarle Paper Manufacturing - Ethyl Corp.) NEU SH 2041 691 Million
Leidos Holdings Inc LDOS SH 7168 689 Million
AAON, Inc AAON SH 10432 682 Million
Allegro MicroSystems, Inc. ALGM SH 21260 679 Million
Hess Corp HES SH 8675 678 Million
Kroger Co. KR PUT 16700 675 Million
Kroger Co. KR CALL 16700 675 Million
iShares MSCI EAFE ETF-iShares MSCI EAFE ETF EFA SH 8623 673 Million
Outset Medical, Inc. OM SH 13615 673 Million
XPO Logistics Inc XPO SH 8200 653 Million
DuPont de Nemours, Inc. DD SH 9587 652 Million
WEX, Inc. WEX SH 3639 641 Million
Alnylam Pharmaceuticals Inc ALNY SH 3383 639 Million
The Financial Select Sector SPDR Fund- XLF PUT 16700 627 Million
The Financial Select Sector SPDR Fund- XLF CALL 16700 627 Million
NRG Energy Inc NRG SH 15260 623 Million
Freeport-McMoRan Copper & Gold, Inc FCX SH 18924 616 Million
Zscaler Inc ZS SH 2347 615 Million
RLI Corp. RLI SH 6036 605 Million
Cleveland-Cliffs Inc CLF SH 30113 597 Million
Boyd Gaming Corp. BYD SH 9428 596 Million
Marathon Oil Corp. (1901) (old U.S. Steel) MRO SH 43014 588 Million
Air Products & Chemicals Inc APD SH 2286 585 Million
Zebra Technologies Corp ZBRA SH 1123 579 Million
SolarWinds Corp SWI SH 34114 571 Million
Lear Corp LEA SH 3630 568 Million
Upbound Group Inc UPBD SH 9995 562 Million
Maravai LifeSciences Holdings, Inc. MRVI SH 11450 562 Million
Eversource Energy (Western Massachusetts Cos./Northeast Utilities) ES SH 6864 561 Million
Amkor Technology Inc. AMKR SH 22440 560 Million
Arena Pharmaceuticals Inc ARNA SH 9254 551 Million
SSR Mining SSRM SH 37823 550 Million
Amphenol Corp. (1987) APH SH 6967 510 Million
Lemonade, Inc. LMND SH 7578 508 Million
Eqova Water Technologies Corp AQUA SH 13511 507 Million
Macom Techno Ord MTSI SH 7771 504 Million
Applied Industrial Technologies Inc. (Brown Fence & Wire - Jim Brown Stores - Bearings Specialists) AIT SH 5572 502 Million
Travelers Companies, Inc. (The) (St. Paul Fire and Marine Insurance) TRV SH 3271 497 Million
Phillips 66 PSX SH 6995 490 Million
Bank of the Ozarks OZK SH 11320 487 Million
UniFirst Corp UNF SH 2235 475 Million
eBay Inc. EBAY CALL 6800 474 Million
eBay Inc. EBAY PUT 6800 474 Million
Avista Corp. (Washington Water Power Co.) AVA SH 12120 474 Million
Newmont Mining Corp. (Holding Co.) NEM PUT 8700 472 Million
Newmont Mining Corp. (Holding Co.) NEM CALL 8700 472 Million
Silvergate Capital Corp SICP SH 4072 470 Million
Schlumberger Ltd. SLB SH 15794 468 Million
Agios Pharmaceuticals Inc AGIO SH 10075 465 Million
Perficient Inc. PRFT SH 3963 459 Million
Pagerduty Inc PD SH 10804 448 Million
Varonis Systems Inc VRNS SH 7329 446 Million
Littelfuse Inc. LFUS SH 1608 439 Million
Verint Systems Inc VRNT SH 9741 436 Million
Advanced Energy Industries Inc AEIS SH 4954 435 Million
Victoria`s Secret & Co VSCO SH 7879 435 Million
Badger Meter Inc BMI SH 4294 434 Million
Generac Holdlings Inc GNRC SH 1040 425 Million
Pioneer Natural Resources Co. PXD SH 2542 423 Million
Kinder Morgan Inc. (DE) KMI SH 25126 420 Million
B2Gold Corp BTG SH 122048 417 Million
Regions Financial Corp. (Birmingham, AL) RF SH 19517 416 Million
Arvinas Holding Company LLC ARVN SH 5064 416 Million
Roblox Corp. Class A RBLX SH 5511 416 Million
Woodward Inc WWD SH 3568 404 Million
Duck Creek Technologies, Inc. DCT SH 9121 404 Million
Kulicke & Soffa Industries Inc. KLIC SH 6904 402 Million
Taylor Morrison Home Corp TMHC SH 15428 398 Million
The Financial Select Sector SPDR Fund- XLF SH 10580 397 Million
Valley National Bancorp VLY SH 29167 388 Million
Cabot Microelectronics Corp CCMP SH 3133 386 Million
Howmet Aerospace Inc. (Aluminum Co. of America - Alcoa - Arconic) HWM SH 12028 375 Million
Applovin Corp APP SH 5120 371 Million
Lilly (Eli) & Co. LLY PUT 1600 370 Million
Lilly (Eli) & Co. LLY CALL 1600 370 Million
Cerence Inc CRNC SH 3814 367 Million
Donaldson Company, Inc. DCI SH 6373 366 Million
Hanover Insurance Group, Inc. (The) THG SH 2817 365 Million
New Jersey Resources Corp. NJR SH 10412 362 Million
AeroVironment Inc AVAV SH 4114 355 Million
SunPower Corp SPWR SH 15603 354 Million
Methanex Corp MEOH SH 7655 352 Million
Owens-IL Inc OI SH 24177 345 Million
Erie Indemnity Co, Class A ERIE SH 1887 337 Million
Acushnet Holdings Corp GOLF SH 7036 329 Million
Simmons First National Corp. SFNC SH 10913 323 Million
Paysafe Limited PSFE SH 41592 322 Million
Casella Waste Systems Inc CWST SH 4185 318 Million
Lumentum Holdings Inc LITE SH 3808 318 Million
GrafTech International Ltd EAF SH 29915 309 Million
Synnex Corp SNX SH 2943 306 Million
Gibraltar Industries Inc ROCK SH 4358 304 Million
SPDR(R) S&P(R) Retail ETF-SPDR(R) S&P(R) Retail ETF XRT SH 3352 303 Million
Balchem Corp. BCPC SH 2049 297 Million
Pentair Plc PNR SH 4045 294 Million
Flowserve Corporation FLS SH 8447 293 Million
Installed Building Products Inc IBP SH 2736 293 Million
Seagate Technology plc STX PUT 3500 289 Million
Seagate Technology plc STX CALL 3500 289 Million
International Game Technology, Inc. IGT SH 10710 282 Million
Cowen Inc Cl A COWN SH 8230 282 Million
United Bankshares, Inc. UBSI SH 7708 280 Million
Rackspace Technology, Inc. RXT SH 19420 276 Million
Ensign Group Inc. (The) ENSG SH 3637 272 Million
Churchill Cap III Corp MPLN SH 47954 270 Million
Bunge Ltd. ADR BG SH 3268 266 Million
The Industrial Select Sector SPDR Fund- XLI SH 2710 265 Million
Element Solutions Inc ESI SH 12095 262 Million
The Utilities Select Sector SPDR Fund- XLU SH 4040 258 Million
Fox Factory Holding Corp FOXF SH 1709 247 Million
McAfee Corp. MCFE SH 11185 247 Million
Encore Capital Group Inc ECPG SH 4993 246 Million
Ballard Power Systems, Inc. BLDP SH 17495 246 Million
Summit Materials Inc SUM SH 7677 245 Million
iShares MSCI Taiwan ETF- EWT SH 3938 244 Million
Avient Corp. (PolyOne Corp.) AVNT SH 5264 244 Million
Enova International Inc ENVA SH 7032 243 Million
Hercules Capital Inc HTGC SH 14593 242 Million
Tri Pointe Homes Inc (DE) TPH SH 11531 242 Million
Pinnacle West Capital Corp PNW SH 3323 240 Million
Rogers Corp. ROG SH 1271 237 Million
Veradigm Inc MDRX SH 17071 228 Million
Stitch Fix Inc SFIX SH 5683 227 Million
Piper Jaffray Companies PIPR SH 1622 225 Million
Nelnet, Inc Class A NNI SH 2823 224 Million
BGC Group Inc BGC SH 42370 221 Million
Acuity Brands Inc (Holding Company) AYI SH 1265 219 Million
SpartanNash Co SPTN SH 9995 219 Million
United Natural Foods Inc UNFI SH 4492 218 Million
Vertex Pharmaceuticals, Inc. VRTX PUT 1200 218 Million
Vertex Pharmaceuticals, Inc. VRTX CALL 1200 218 Million
Black Hills Corp. BKH SH 3462 217 Million
Citizens Financial Group Inc CFG SH 4513 212 Million
Albany International Corp. (DE) AIN SH 2647 203 Million
D.R. Horton, Inc. DHI PUT 2400 202 Million
D.R. Horton, Inc. DHI CALL 2400 202 Million
Weis Markets Inc WMK SH 3827 201 Million
SPX Technologies Inc SPXC SH 3746 200 Million
Regeneron Pharmaceuticals Inc. REGN SH 328 198 Million
Vishay Intertechnology, Inc. VSH SH 9739 196 Million
BioMarin Pharmaceutical Inc BMRN SH 2537 196 Million
Fiverr International Ltd FVRR SH 1061 194 Million
Wintrust Financial Corp. WTFC SH 2387 192 Million
Elastic NV ESTC SH 1205 180 Million
The Industrial Select Sector SPDR Fund- XLI PUT 1800 176 Million
Kforce Inc KFRC SH 2875 171 Million
NorthWestern Energy Group Inc NWE SH 2977 171 Million
SiteOne Landscape Supply Inc SITE SH 844 168 Million
Vertex Pharmaceuticals, Inc. VRTX SH 908 165 Million
Onto Innovation Inc. ONTO SH 2263 164 Million
Virtus Investment Partners Inc VRTS SH 529 164 Million
CommScope Holding Co Inc COMM SH 11983 163 Million
Timken (Roller Bearing Axle) Co. TKR SH 2467 161 Million
Avnet Inc AVT SH 4138 153 Million
CBIZ Inc CBZ SH 4721 153 Million
Sage Therapeutics Inc SAGE SH 3430 152 Million
Univar Solutions Inc UNVR SH 6384 152 Million
Interface Inc TILE SH 9980 151 Million
Warner Bros.Discovery Inc WBD PUT 5900 150 Million
Warner Bros.Discovery Inc WBD CALL 5900 150 Million
Kelly Services, Inc., Class A KELYA SH 7765 147 Million
Zurn Water Solutions Corp ZWS SH 2131 137 Million
Pioneer Natural Resources Co. PXD PUT 800 133 Million
Pitney-Bowes Inc. PBI SH 18355 132 Million
Newmont Mining Corp. (Holding Co.) NEM SH 2408 131 Million
Photronics, Inc. PLAB SH 9630 131 Million
Independent Bank Corp. (MA) INDB SH 1687 128 Million
Forward Air Corp FWRD SH 1528 127 Million
Conduent Inc CNDT SH 18920 125 Million
Hub Group, Inc. Class A HUBG SH 1797 124 Million
Chevron Corp. (Standard Oil of California) CVX PUT 1200 122 Million
Chevron Corp. (Standard Oil of California) CVX CALL 1200 122 Million
Altice USA Inc ATUS SH 5894 122 Million
Biogen Inc BIIB SH 428 121 Million
eBay Inc. EBAY SH 1720 120 Million
SMART Global Holdings Inc SGH SH 2688 120 Million
Huntsman Corp HUN SH 4013 119 Million
Rambus Inc. RMBS SH 5332 118 Million
The Industrial Select Sector SPDR Fund- XLI CALL 1200 117 Million
Caterpillar Inc. CAT PUT 600 115 Million
Caterpillar Inc. CAT CALL 600 115 Million
BrightSphere Investment Group PLC BSIG SH 4378 114 Million
A10 Networks Inc ATEN SH 8388 113 Million
Cognyte Software Ltd CGNT SH 5504 113 Million
Primerica Inc PRI SH 723 111 Million
Rite Aid Corp. RADCQ SH 7659 109 Million
Lennar Corp. Class A LEN CALL 1100 103 Million
Lennar Corp. Class A LEN PUT 1100 103 Million
Watts Water Technologies, Inc. WTS SH 603 101 Million
United Airlines Holdings Inc UAL PUT 2000 95 Million
United Airlines Holdings Inc UAL CALL 2000 95 Million
NXP Semiconductors N.V. NXPI SH 482 94 Million
FirstCash Holdings Inc FCFS SH 1048 92 Million
Sapiens International Corp SPNS SH 3155 91 Million
TechnipFMC plc Ordinary Share (FMC Technologies) FTI SH 11860 89 Million
Charles Schwab Corp SCHW PUT 1200 87 Million
Charles Schwab Corp SCHW CALL 1200 87 Million
Barrick Gold Corp GOLD SH 4812 87 Million
C3ai, Inc. AI SH 1836 85 Million
MYR Group Inc. MYRG SH 848 84 Million
Aveanna Healthcare Holdings Inc AVAH SH 9920 80 Million
The Materials Select Sector SPDR Fund- XLB PUT 1000 79 Million
Granite Construction Inc. GVA SH 1953 77 Million
Varex Imaging Corp VREX SH 2669 75 Million
Smith & Wesson Brands Inc. (American Outdoor Brands) SWBI SH 3574 74 Million
ModivCare Inc MODV SH 409 74 Million
The Joint Corp JYNT SH 755 74 Million
AvePoint Inc AVPT SH 8772 74 Million
Community Health Systems, Inc. CYH SH 6221 73 Million
The Communication Services Select Sector SPDR Fund- XLC PUT 900 72 Million
The Communication Services Select Sector SPDR Fund- XLC CALL 900 72 Million
The Materials Select Sector SPDR Fund- XLB CALL 900 71 Million
Brookdale Senior Living Inc. BKD SH 11135 70 Million
Tivity Health Inc TVTY SH 3012 69 Million
American Express Co AXP PUT 400 67 Million
American Express Co AXP CALL 400 67 Million
Mednax Inc MD SH 2241 64 Million
Amneal Pharmaceuticals Inc AMRX SH 11933 64 Million
Union Pacific Corp. UNP PUT 300 59 Million
Union Pacific Corp. UNP CALL 300 59 Million
Marriott International Inc/MD MAR PUT 400 59 Million
Marriott International Inc/MD MAR CALL 400 59 Million
Boise Cascade L.L.C. BCC SH 1065 57 Million
American Airlines Group Inc AAL CALL 2800 57 Million
Corvel Corp. CRVL SH 303 56 Million
The Consumer Staples Select Sector SPDR Fund- XLP CALL 800 55 Million
Bank of NT Butterfield & Son Limited NTB SH 1512 54 Million
Focus Financial Partners Inc FOCS SH 1022 54 Million
General Motors Co GM PUT 1000 53 Million
General Motors Co GM CALL 1000 53 Million
TTM Technologies Inc TTMI SH 4049 51 Million
American Airlines Group Inc AAL PUT 2500 51 Million
NOW Inc DNOW SH 6646 51 Million
PJT Partners Inc PJT SH 631 50 Million
The Consumer Staples Select Sector SPDR Fund- XLP PUT 700 48 Million
Cardiovascular Systems Inc CSII SH 1449 48 Million
Tucows Inc TCX SH 599 47 Million
Intapp Inc INTA SH 1825 47 Million
Scorpio Tankers Inc STNG SH 2494 46 Million
Innoviva Inc INVA SH 2601 43 Million
Century Communities Inc CCS SH 694 43 Million
Renewable Energy Group Inc REGI SH 842 42 Million
OrthoPediatrics Corp KIDS SH 639 42 Million
Greenbrier Companies Inc. (The) GBX SH 957 41 Million
Philip Morris International Inc PM SH 428 41 Million
GoPro Inc GPRO SH 4342 41 Million
Yum! Brands, Inc. (Tricon Global Restaurants) YUM SH 323 40 Million
SkyWest Inc SKYW SH 802 40 Million
Mueller Industries Inc MLI SH 949 39 Million
Stonex Group Inc. (INTL FCStone) SNEX SH 587 39 Million
Ironwood Pharmaceuticals Inc IRWD SH 3018 39 Million
Atea Pharmaceuticals Inc. AVIR SH 1115 39 Million
ConocoPhillips (Phillips Petroleum) COP SH 568 38 Million
MarineMax Inc. HZO SH 782 38 Million
Lyft Inc LYFT PUT 700 38 Million
Lyft Inc LYFT CALL 700 38 Million
Warner Music Group Corp. Class A WMG SH 857 37 Million
Valero Energy Corp. VLO PUT 500 35 Million
Valero Energy Corp. VLO CALL 500 35 Million
GMS Inc GMS SH 798 35 Million
Deere & Co. DE PUT 100 34 Million
Deere & Co. DE CALL 100 34 Million
OraSure Technologies Inc OSUR SH 3039 34 Million
Cambium Networks Corp CMBM SH 950 34 Million
Pioneer Natural Resources Co. PXD CALL 200 33 Million
Hibbett Sports, Inc. HIBB SH 464 33 Million
Clorox Co. CLX PUT 200 33 Million
Clorox Co. CLX CALL 200 33 Million
Livent Corp LTHM SH 1444 33 Million
The Utilities Select Sector SPDR Fund- XLU PUT 500 32 Million
The Utilities Select Sector SPDR Fund- XLU CALL 500 32 Million
Harmony Biosciences Holdings, Inc. HRMY SH 830 32 Million
General Electric Co GE CALL 300 31 Million
General Electric Co GE PUT 300 31 Million
Electronic Arts, Inc. EA SH 216 31 Million
Take-Two Interactive Software, Inc. TTWO PUT 200 31 Million
Take-Two Interactive Software, Inc. TTWO CALL 200 31 Million
American Express Co AXP SH 177 30 Million
Comstock Resources Inc. CRK SH 2935 30 Million
Steelcase Inc. Class A SCS SH 2353 30 Million
The Technology Select Sector SPDR Fund- XLK CALL 200 30 Million
Whiting Petroleum Corp WLL SH 513 30 Million
Vermillion Energy, Inc. VET SH 3079 30 Million
Levi Strauss & Co LEVI SH 1235 30 Million
Federal Signal Corp. FSS SH 747 29 Million
MGM Resorts International, Inc. MGM SH 658 28 Million
First BanCorp (Puerto Rico) FBP SH 2103 28 Million
California Resources Corp. CRC SH 647 27 Million
Sturm, Ruger & Co., Inc. RGR SH 358 26 Million
CITI Trends Inc CTRN SH 358 26 Million
Farfetch Ltd FTCHF PUT 700 26 Million
Farfetch Ltd FTCHF CALL 700 26 Million
Vir Biotechnology, Inc. VIR SH 601 26 Million
Unisys Corp. (Burroughs Adding Machine) UIS SH 882 22 Million
OSI Systems Inc. OSIS SH 229 22 Million
Quanterix Corp QTRX SH 448 22 Million
Pretium Resources Inc PVG SH 2132 21 Million
Science Applications International Corp SAIC SH 242 21 Million
Asbury Automotive Group, Inc. ABG SH 95 19 Million
Southwestern Energy Co. SWN SH 3438 19 Million
OGE Energy Corp. (Oklahoma Gas & Electric) OGE SH 581 19 Million
SFL Corporation Ltd SFL SH 2098 18 Million
Textainer Group Holdings Ltd TGH SH 521 18 Million
MiMedx Group Inc MDXG SH 3041 18 Million
Ocugen Inc OCGN SH 2545 18 Million
Radius Recycling Inc RDUS SH 379 17 Million
PROG Holdings Inc PRG SH 408 17 Million
AT&T Inc. (Southwestern Bell - SBC Corp.) T PUT 600 16 Million
AT&T Inc. (Southwestern Bell - SBC Corp.) T CALL 600 16 Million
Ceva Inc CEVA SH 376 16 Million
Check Point Software Technologies Ltd CHKP SH 143 16 Million
SLM Corp SLM SH 841 15 Million
Horace Mann Educators Corp. HMN SH 374 15 Million
Franco-Nevada Corp FNV SH 108 14 Million
Smiledirectclub Inc SDCCQ SH 2556 14 Million
MGM Resorts International, Inc. MGM PUT 300 13 Million
Buckle Inc BKE SH 330 13 Million
Gildan Activewear Inc GIL SH 345 13 Million
Absci Corp ABSI SH 1127 13 Million
Macys Inc M SH 536 12 Million
Dicks Sporting Goods, Inc DKS PUT 100 12 Million
Dicks Sporting Goods, Inc DKS CALL 100 12 Million
American Water Works Co Inc AWK SH 73 12 Million
Honeywell International Inc. (Allied Chemical and Dye - Allied Signal) HON SH 54 11 Million
Apache Corp APA SH 456 10 Million
Oxford Industries OXM SH 107 10 Million
MGM Resorts International, Inc. MGM CALL 200 9 Million
Wynn Resorts Ltd WYNN SH 102 9 Million
Vector Group Ltd. (Liggett Group Inc. - Brooke Group Ltd.) VGR SH 682 9 Million
Diamondback Energy Inc FANG SH 91 9 Million
Amgen, Inc. AMGN SH 36 8 Million
Exelixis Inc EXEL SH 381 8 Million
Nutrien Ltd NTR SH 115 7 Million
Kellogg Co. K SH 117 7 Million
AutoNation, Inc. (Republic Industries) AN SH 58 7 Million
Match Group Inc. MTCH SH 44 7 Million
TKO Group Holdings Inc TKO SH 119 7 Million
Allegiant Travel Co ALGT SH 34 7 Million
Penske Automotive Group, Inc. PAG SH 68 7 Million
Yelp Inc. YELP SH 178 7 Million
iRhythm Technologies Inc IRTC SH 122 7 Million
Revolve Group Inc RVLV SH 115 7 Million
Motorola Solutions Inc MSI SH 27 6 Million
Golar LNG Ltd GLNG SH 498 6 Million
Horizon Therapeutics PLC HZNP SH 52 6 Million
Halliburton Co. HAL SH 241 5 Million
Tempur Sealy International Inc TPX SH 110 5 Million
Coterra Energy Inc CTRA SH 245 5 Million
Penn National Gaming Inc. PENN SH 63 5 Million
Activision Blizzard Inc ATVI SH 70 5 Million
Zoetis, Inc. ZTS SH 24 5 Million
Sunrun Inc RUN SH 103 5 Million
Pinterest Inc PINS SH 98 5 Million
Eagle Materials Inc. EXP SH 31 4 Million
CNO Financial Group Inc CNO SH 180 4 Million
INCYTE Corporation INCY SH 54 4 Million
Agnico-Eagle Mines, Ltd AEM SH 71 4 Million
American States Water Co. AWR SH 46 4 Million
Assured Guaranty Ltd. AGO SH 87 4 Million
Targa Resources Inc TRGP SH 77 4 Million
Wingstop Inc WING SH 24 4 Million
US Foods Holding Corp USFD SH 118 4 Million
Brookfield Infrastructure Partners L.P. Subordinate Shares BIPC SH 65 4 Million
SoFi Technologies Inc SOFI SH 239 4 Million
Kohls Corp. KSS SH 62 3 Million
Baker Hughes Company BKR SH 112 3 Million
Nucor Corp. (Nuclear Corp. of America) NUE SH 30 3 Million
Innospec Inc IOSP SH 34 3 Million
Meritage Homes Corp. MTH SH 31 3 Million
M&T Bank Corp. (Buffalo, NY) (Manufacturers & Traders Trust) MTB SH 17 3 Million
Hubbell Inc Class B HUBB SH 15 3 Million
Gentex Corp. GNTX SH 78 3 Million
Insmed Inc INSM SH 110 3 Million
Portland General Electric Co. POR SH 67 3 Million
Corcept Therapeutics Inc CORT SH 135 3 Million
First Republic Bank FRCB SH 14 3 Million
Constellium SE CSTM SH 176 3 Million
Xencor Inc XNCR SH 96 3 Million
Red Rock Resorts Inc RRR SH 62 3 Million
Hilton Grand Vacations Inc HGV SH 66 3 Million
Vistra Energy Corp VST SH 181 3 Million
Chevron Corp. (Standard Oil of California) CVX SH 21 2 Million
Grainger (W.W.) Inc. GWW SH 5 2 Million
Thor Industries, Inc. THO SH 14 2 Million
MGIC Investment Corp. (1984) MTG SH 128 2 Million
United Therapeutics Corp UTHR SH 10 2 Million
EQT Corporation (Equitable Gas Co.) EQT SH 98 2 Million
Reliance Steel & Aluminum Co. RS SH 13 2 Million
PVH Corp. (Phillips Jones - Phillips Van Heusen Corp.) PVH SH 19 2 Million
South Jersey Industries Inc. SJI SH 98 2 Million
Home BancShares Inc HOMB SH 87 2 Million
Western Alliance Bancorporation WAL SH 20 2 Million
Matador Resources Co MTDR SH 53 2 Million
PennyMac Financial Services Inc PFSI SH 39 2 Million
EnLink Midstream LLC ENLC SH 274 2 Million
Surgery Partners Inc SGRY SH 42 2 Million
Wyndham Hotels & Resorts Inc WH SH 20 2 Million
Denbury Inc. DEN SH 31 2 Million
Frontier Communications Parent Inc FYBR SH 61 2 Million
Open Text Corp. OTEX SH 30 1 Million
Advance Auto Parts, Inc. AAP SH 6 1 Million
Allegheny Technologies Inc ATI SH 81 1 Million
CBRE Group Inc Common Stock Class A CBRE SH 12 1 Million
Helmerich & Payne, Inc. HP SH 38 1 Million
Atmos Energy Corp. (Energas) ATO SH 11 1 Million
Murphy Oil Corp. MUR SH 35 1 Million
Burlington Stores Inc BURL SH 4 1 Million
ChampionX Corp CHX SH 28 1 Million
CureVac N.V. CVAC SH 27 1 Million
Genius Sports Limited GENI SH 71 1 Million
Concentrix Corp. CNXC SH 8 1 Million
Canadian Natural Resources, Ltd CNQ SH 12 0
Ovintiv Inc. (Pan Canadian Energy - Encana Corp.) OVV SH 4 0
Suncor Energy, Inc. SU SH 12 0
Beyond Inc BYON SH 2 0
Foot Locker Inc. (F. W. Woolworth) FL SH 8 0
Juniper Networks Inc JNPR SH 18 0
Regal Rexnord Corp RRX SH 2 0
Magna International Inc. Class A MGA SH 4 0
Novavax, Inc NVAX SH 1 0
Atkore Inc ATKR SH 2 0
Twist Bioscience Corp TWST SH 3 0
DraftKings Inc. DKNG SH 8 0
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