| 63 | LLY | ELI LILLY & CO | $1.3B | 1.2M shares | 3.1% | before Q1 2026 |
| 64 | JPM | JPMORGAN CHASE & CO | $1B | 3.6M shares | 2.5% | before Q1 2026 |
| 65 | MA | MASTERCARD INC - A | $563.7M | 1.3M shares | 1.4% | before Q1 2026 |
| 66 | BRK/B | BERKSHIRE HATHAWAY INC-CL B | $549.9M | 1.3M shares | 1.4% | before Q1 2026 |
| 67 | COST | COSTCO WHOLESALE CORP | $528.5M | 645.9K shares | 1.3% | before Q1 2026 |
| 68 | V | VISA INC-CLASS A SHARES | $481.5M | 1.6M shares | 1.2% | before Q1 2026 |
| 69 | WMT | WALMART INC | $453.5M | 4.6M shares | 1.1% | before Q1 2026 |
| 70 | ABBV | ABBVIE INC | $355.1M | 1.6M shares | 0.9% | before Q1 2026 |
| 71 | GE | GENERAL ELECTRIC | $308.1M | 942.4K shares | 0.8% | before Q1 2026 |
| 72 | BAC | BANK OF AMERICA CORP | $296.8M | 6M shares | 0.7% | before Q1 2026 |
| 73 | TJX | TJX COMPANIES INC | $289.8M | 2.2M shares | 0.7% | before Q1 2026 |
| 74 | UNH | UNITEDHEALTH GROUP INC | $288.5M | 793.6K shares | 0.7% | before Q1 2026 |
| 75 | HD | HOME DEPOT INC | $279.8M | 907.1K shares | 0.7% | before Q1 2026 |
| 76 | PG | PROCTER & GAMBLE CO/THE | $272.6M | 2.1M shares | 0.7% | before Q1 2026 |
| 77 | TMO | THERMO FISHER SCIENTIFIC INC | $266.5M | 607.8K shares | 0.7% | before Q1 2026 |
| 78 | MRK | MERCK & CO. INC. | $253.9M | 2.3M shares | 0.6% | before Q1 2026 |
| 79 | KO | COCA-COLA CO/THE | $248.5M | 3.5M shares | 0.6% | before Q1 2026 |
| 80 | NFLX | NETFLIX INC | $227.6M | 3.6M shares | 0.6% | before Q1 2026 |
| 81 | PGR | PROGRESSIVE CORP | $224.1M | 1.2M shares | 0.6% | before Q1 2026 |
| 82 | GS | GOLDMAN SACHS GROUP INC | $221M | 249.8K shares | 0.5% | before Q1 2026 |
| 83 | SPOT | SPOTIFY TECHNOLOGY SA | $213.2M | 530.9K shares | 0.5% | before Q1 2026 |
| 84 | RY | ROYAL BANK OF CANADA | $212.6M | 1.2M shares | 0.5% | before Q1 2026 |
| 85 | FITB | FIFTH THIRD BANCORP | $206.6M | 4.2M shares | 0.5% | before Q1 2026 |
| 86 | LIN | LINDE PLC | $205.6M | 453K shares | 0.5% | before Q1 2026 |
| 87 | TXN | TEXAS INSTRUMENTS INC | $200.1M | 767.4K shares | 0.5% | before Q1 2026 |
| 88 | SYK | STRYKER CORP | $197.4M | 716.9K shares | 0.5% | before Q1 2026 |
| 89 | MS | MORGAN STANLEY | $189M | 1M shares | 0.5% | before Q1 2026 |
| 90 | APH | AMPHENOL CORP-CL A | $188.7M | 1.2M shares | 0.5% | before Q1 2026 |
| 91 | WFC | WELLS FARGO & CO | $178.7M | 2.5M shares | 0.4% | before Q1 2026 |
| 92 | C | CITIGROUP INC | $177.6M | 1.5M shares | 0.4% | before Q1 2026 |
| 93 | WST | WEST PHARMACEUTICAL SERVICES | $176M | 560.6K shares | 0.4% | before Q1 2026 |
| 94 | MCO | MOODY'S CORP | $169.6M | 428K shares | 0.4% | before Q1 2026 |
| 95 | FERG | FERGUSON ENTERPRISES INC | $164.8M | 793.7K shares | 0.4% | before Q1 2026 |
| 96 | AMGN | AMGEN INC | $163.6M | 516.5K shares | 0.4% | before Q1 2026 |
| 97 | PEP | PEPSICO INC | $145.3M | 1.2M shares | 0.4% | before Q1 2026 |
| 98 | WDC | WESTERN DIGITAL CORP | $143.8M | 257.4K shares | 0.4% | before Q1 2026 |
| 99 | HWM | HOWMET AEROSPACE INC | $142M | 603.6K shares | 0.3% | before Q1 2026 |
| 100 | VZ | VERIZON COMMUNICATIONS INC | $137.9M | 3.7M shares | 0.3% | before Q1 2026 |
| 101 | RSG | REPUBLIC SERVICES INC | $135.9M | 729.4K shares | 0.3% | before Q1 2026 |
| 102 | GILD | GILEAD SCIENCES INC | $132.3M | 1.2M shares | 0.3% | before Q1 2026 |
| 103 | AXP | AMERICAN EXPRESS CO | $129.1M | 436.2K shares | 0.3% | before Q1 2026 |
| 104 | ADI | ANALOG DEVICES INC | $128.2M | 368.9K shares | 0.3% | before Q1 2026 |
| 105 | MCD | MCDONALD'S CORP | $126.7M | 535.7K shares | 0.3% | before Q1 2026 |
| 106 | IR | INGERSOLL-RAND INC | $125.6M | 1.8M shares | 0.3% | before Q1 2026 |
| 107 | ETN | EATON CORP PLC | $118M | 316.6K shares | 0.3% | before Q1 2026 |
| 108 | DIS | WALT DISNEY CO/THE | $112.7M | 1.3M shares | 0.3% | before Q1 2026 |
| 109 | UNP | UNION PACIFIC CORP | $112.7M | 473.8K shares | 0.3% | before Q1 2026 |
| 110 | SCHW | SCHWAB (CHARLES) CORP | $111.4M | 1.4M shares | 0.3% | before Q1 2026 |
| 111 | TYL | TYLER TECHNOLOGIES INC | $107.7M | 421.2K shares | 0.3% | before Q1 2026 |
| 112 | LPLA | LPL FINANCIAL HOLDINGS INC | $107.7M | 437.2K shares | 0.3% | before Q1 2026 |
| 113 | WELL | WELLTOWER INC | $107.7M | 542.4K shares | 0.3% | before Q1 2026 |
| 114 | BLK | BLACKROCK INC | $104.8M | 124.6K shares | 0.3% | before Q1 2026 |
| 115 | T | AT&T INC | $103.6M | 5.7M shares | 0.3% | before Q1 2026 |
| 116 | UBER | UBER TECHNOLOGIES INC | $103.6M | 1.6M shares | 0.3% | before Q1 2026 |
| 117 | VRTX | VERTEX PHARMACEUTICALS INC | $101.9M | 234.6K shares | 0.3% | before Q1 2026 |
| 118 | ABT | ABBOTT LABORATORIES | $101.4M | 1.3M shares | 0.2% | before Q1 2026 |
| 119 | CB | CHUBB LTD | $98.1M | 329.2K shares | 0.2% | before Q1 2026 |
| 120 | MSA | MSA SAFETY INC | $97.5M | 638.7K shares | 0.2% | before Q1 2026 |
| 121 | SHOP | SHOPIFY INC - CLASS A | $95.5M | 956.5K shares | 0.2% | before Q1 2026 |
| 122 | PLD | PROLOGIS INC | $94.6M | 798.2K shares | 0.2% | before Q1 2026 |
| 123 | COF | CAPITAL ONE FINANCIAL CORP | $89.3M | 508.7K shares | 0.2% | before Q1 2026 |
| 124 | PFE | PFIZER INC | $88M | 4.2M shares | 0.2% | before Q1 2026 |
| 125 | PH | PARKER HANNIFIN CORP | $88M | 102.9K shares | 0.2% | before Q1 2026 |
| 126 | MCK | MCKESSON CORP | $87.5M | 132.5K shares | 0.2% | before Q1 2026 |
| 127 | AJG | ARTHUR J GALLAGHER & CO | $85.4M | 425.2K shares | 0.2% | before Q1 2026 |
| 128 | BMY | BRISTOL-MYERS SQUIBB CO | $85.2M | 1.7M shares | 0.2% | before Q1 2026 |
| 129 | DHR | DANAHER CORP | $85.1M | 510.6K shares | 0.2% | before Q1 2026 |
| 130 | CVS | CVS HEALTH CORP | $83.4M | 921.9K shares | 0.2% | before Q1 2026 |
| 131 | LOW | LOWE'S COS INC | $82.5M | 427.7K shares | 0.2% | before Q1 2026 |
| 132 | CL | COLGATE-PALMOLIVE CO | $81.2M | 1M shares | 0.2% | before Q1 2026 |
| 133 | WM | WASTE MANAGEMENT INC | $80.6M | 413.4K shares | 0.2% | before Q1 2026 |
| 134 | SO | SOUTHERN CO/THE | $79.9M | 954.7K shares | 0.2% | before Q1 2026 |
| 135 | CBRE | CBRE GROUP INC - A | $79.4M | 673.7K shares | 0.2% | before Q1 2026 |
| 136 | BMO | BANK OF MONTREAL | $78.6M | 508.7K shares | 0.2% | before Q1 2026 |
| 137 | DUK | DUKE ENERGY CORP | $78.6M | 709.9K shares | 0.2% | before Q1 2026 |
| 138 | ROL | ROLLINS INC | $78.1M | 2.1M shares | 0.2% | before Q1 2026 |
| 139 | SPGI | S&P GLOBAL INC | $77.2M | 216.8K shares | 0.2% | before Q1 2026 |
| 140 | TT | TRANE TECHNOLOGIES PLC | $76.8M | 178.9K shares | 0.2% | before Q1 2026 |
| 141 | SBUX | STARBUCKS CORP | $73.8M | 825.1K shares | 0.2% | before Q1 2026 |
| 142 | PWR | QUANTA SERVICES INC | $72.8M | 115.6K shares | 0.2% | before Q1 2026 |
| 143 | TMUS | T-MOBILE US INC | $71.7M | 488.5K shares | 0.2% | before Q1 2026 |
| 144 | USB | US BANCORP | $69.7M | 1.3M shares | 0.2% | before Q1 2026 |
| 145 | NEM | NEWMONT CORP | $68.9M | 844K shares | 0.2% | before Q1 2026 |
| 146 | FTNT | FORTINET INC | $67.6M | 503.4K shares | 0.2% | before Q1 2026 |
| 147 | CM | CAN IMPERIAL BK OF COMMERCE | $67.1M | 666.1K shares | 0.2% | before Q1 2026 |
| 148 | BNS | BANK OF NOVA SCOTIA | $67M | 881.5K shares | 0.2% | before Q1 2026 |
| 149 | ELV | ELEVANCE HEALTH INC | $66M | 195.2K shares | 0.2% | before Q1 2026 |
| 150 | ADP | AUTOMATIC DATA PROCESSING | $64.3M | 328.4K shares | 0.2% | before Q1 2026 |
| 151 | CMI | CUMMINS INC | $64.3M | 103K shares | 0.2% | before Q1 2026 |
| 152 | ECL | ECOLAB INC | $63.6M | 260.9K shares | 0.2% | before Q1 2026 |
| 153 | MAR | MARRIOTT INTERNATIONAL -CL A | $63.1M | 194.7K shares | 0.2% | before Q1 2026 |
| 154 | MDT | MEDTRONIC PLC | $63.1M | 921.8K shares | 0.2% | before Q1 2026 |
| 155 | MRSH | MARSH & MCLENNAN COS | $62.7M | 430.4K shares | 0.2% | before Q1 2026 |
| 156 | BNY | BANK OF NEW YORK MELLON CORP | $62.3M | 492.8K shares | 0.2% | before Q1 2026 |
| 157 | MELI | MERCADOLIBRE INC | $61M | 41.1K shares | 0.1% | before Q1 2026 |
| 158 | PNC | PNC FINANCIAL SERVICES GROUP | $59.8M | 277.9K shares | 0.1% | before Q1 2026 |
| 159 | CME | CME GROUP INC | $58.9M | 305K shares | 0.1% | before Q1 2026 |
| 160 | CEG | Constellation Energy Corp | $58.5M | 269.4K shares | 0.1% | before Q1 2026 |
| 161 | ORLY | O'REILLY AUTOMOTIVE INC | $58.4M | 725K shares | 0.1% | before Q1 2026 |
| 162 | CI | THE CIGNA GROUP | $55.9M | 231.9K shares | 0.1% | before Q1 2026 |
| 163 | JCI | JOHNSON CONTROLS INTERNATION | $55.9M | 437.5K shares | 0.1% | before Q1 2026 |
| 164 | KKR | KKR & CO INC | $55.5M | 690.8K shares | 0.1% | before Q1 2026 |
| 165 | AMT | AMERICAN TOWER CORP | $55.4M | 387K shares | 0.1% | before Q1 2026 |
| 166 | CMCSA | COMCAST CORP-CLASS A | $55.2M | 2.6M shares | 0.1% | before Q1 2026 |
| 167 | CSX | CSX CORP | $55.2M | 1.3M shares | 0.1% | before Q1 2026 |
| 168 | TDG | TRANSDIGM GROUP INC | $54.8M | 47.1K shares | 0.1% | before Q1 2026 |
| 169 | BX | BLACKSTONE INC | $54.8M | 532.3K shares | 0.1% | before Q1 2026 |
| 170 | INTU | INTUIT INC | $54.7M | 239.8K shares | 0.1% | before Q1 2026 |
| 171 | EMR | EMERSON ELECTRIC CO | $54.7M | 436.7K shares | 0.1% | before Q1 2026 |
| 172 | TRV | TRAVELERS COS INC/THE | $53.5M | 185.3K shares | 0.1% | before Q1 2026 |
| 173 | AZO | AUTOZONE INC | $53.1M | 19K shares | 0.1% | before Q1 2026 |
| 174 | AEM | AGNICO EAGLE MINES LTD | $52.9M | 389K shares | 0.1% | before Q1 2026 |
| 175 | CAH | CARDINAL HEALTH INC | $52.1M | 250.9K shares | 0.1% | before Q1 2026 |
| 176 | ACN | ACCENTURE PLC-CL A | $51.5M | 473.1K shares | 0.1% | before Q1 2026 |
| 177 | HCA | HCA HEALTHCARE INC | $50.4M | 147.7K shares | 0.1% | before Q1 2026 |
| 178 | CRH | CRH PLC | $49.7M | 531.1K shares | 0.1% | before Q1 2026 |
| 179 | TEL | TE CONNECTIVITY PLC | $49.5M | 280.8K shares | 0.1% | before Q1 2026 |
| 180 | CTAS | CINTAS CORP | $49.2M | 330.9K shares | 0.1% | before Q1 2026 |
| 181 | ICE | INTERCONTINENTAL EXCHANGE IN | $49.1M | 456.4K shares | 0.1% | before Q1 2026 |
| 182 | D | DOMINION ENERGY INC | $49M | 819.9K shares | 0.1% | before Q1 2026 |
| 183 | HOOD | ROBINHOOD MARKETS INC - A | $48.8M | 556.1K shares | 0.1% | before Q1 2026 |
| 184 | CP | CANADIAN PACIFIC KANSAS CITY | $48.4M | 638.2K shares | 0.1% | before Q1 2026 |
| 185 | ITW | ILLINOIS TOOL WORKS | $48.4M | 204.5K shares | 0.1% | before Q1 2026 |
| 186 | URI | UNITED RENTALS INC | $48.3M | 48.7K shares | 0.1% | before Q1 2026 |
| 187 | GM | GENERAL MOTORS CO | $46.4M | 688.5K shares | 0.1% | before Q1 2026 |
| 188 | PCAR | PACCAR INC | $45.3M | 431.2K shares | 0.1% | before Q1 2026 |
| 189 | SPG | SIMON PROPERTY GROUP INC | $45M | 230K shares | 0.1% | before Q1 2026 |
| 190 | REGN | REGENERON PHARMACEUTICALS | $44.8M | 82.2K shares | 0.1% | before Q1 2026 |
| 191 | AON | AON PLC-CLASS A | $44.5M | 153.5K shares | 0.1% | before Q1 2026 |
| 192 | DASH | DOORDASH INC - A | $43.6M | 269.9K shares | 0.1% | before Q1 2026 |
| 193 | BSX | BOSTON SCIENTIFIC CORP | $43.4M | 1.2M shares | 0.1% | before Q1 2026 |
| 194 | MNST | MONSTER BEVERAGE CORP | $43.4M | 515.8K shares | 0.1% | before Q1 2026 |
| 195 | EW | EDWARDS LIFESCIENCES CORP | $42.8M | 541.4K shares | 0.1% | before Q1 2026 |
| 196 | AFL | AFLAC INC | $42.2M | 411.7K shares | 0.1% | before Q1 2026 |
| 197 | MFC | MANULIFE FINANCIAL CORP | $42M | 1.2M shares | 0.1% | before Q1 2026 |
| 198 | KMB | KIMBERLY-CLARK CORP | $41.9M | 436.2K shares | 0.1% | before Q1 2026 |
| 199 | MPWR | MONOLITHIC POWER SYSTEMS INC | $41.7M | 34.5K shares | 0.1% | before Q1 2026 |
| 200 | ED | CONSOLIDATED EDISON INC | $41M | 423.3K shares | 0.1% | before Q1 2026 |
| 201 | CARR | CARRIER GLOBAL CORP | $40.9M | 637.1K shares | 0.1% | before Q1 2026 |
| 202 | SRE | SEMPRA | $40.6M | 500.7K shares | 0.1% | before Q1 2026 |
| 203 | APD | AIR PRODUCTS & CHEMICALS INC | $40.5M | 157.8K shares | 0.1% | before Q1 2026 |
| 204 | NUE | NUCOR CORP | $40M | 205.2K shares | 0.1% | before Q1 2026 |
| 205 | TFC | TRUIST FINANCIAL CORP | $38.9M | 892.5K shares | 0.1% | before Q1 2026 |
| 206 | AME | AMETEK INC | $38.5M | 181.8K shares | 0.1% | before Q1 2026 |
| 207 | ROP | ROPER TECHNOLOGIES INC | $38.2M | 129.2K shares | 0.1% | before Q1 2026 |
| 208 | ALL | ALLSTATE CORP | $38.1M | 183.3K shares | 0.1% | before Q1 2026 |
| 209 | EXC | EXELON CORP | $37.9M | 929.1K shares | 0.1% | before Q1 2026 |
| 210 | GWW | WW GRAINGER INC | $37.7M | 31.7K shares | 0.1% | before Q1 2026 |
| 211 | YUM | YUM! BRANDS INC | $37.6M | 269K shares | 0.1% | before Q1 2026 |
| 212 | F | FORD MOTOR CO | $37.1M | 3.1M shares | 0.1% | before Q1 2026 |
| 213 | TGT | TARGET CORP | $36.1M | 316.2K shares | 0.1% | before Q1 2026 |
| 214 | GRMN | GARMIN LTD | $36.1M | 173.7K shares | 0.1% | before Q1 2026 |
| 215 | EA | ELECTRONIC ARTS INC | $35.9M | 200K shares | 0.1% | before Q1 2026 |
| 216 | APO | APOLLO GLOBAL MANAGEMENT INC | $35.8M | 346.3K shares | 0.1% | before Q1 2026 |
| 217 | VST | Vistra Corp | $35.8M | 257.8K shares | 0.1% | before Q1 2026 |
| 218 | ROK | ROCKWELL AUTOMATION INC | $34.2M | 79K shares | 0.1% | before Q1 2026 |
| 219 | ETR | ENTERGY CORP | $34.1M | 339K shares | 0.1% | before Q1 2026 |
| 220 | NTAP | NETAPP INC | $33.9M | 250.5K shares | 0.1% | before Q1 2026 |
| 221 | FAST | FASTENAL CO | $33.8M | 805.5K shares | 0.1% | before Q1 2026 |
| 222 | COR | CENCORA INC | $33.5M | 135.4K shares | 0.1% | before Q1 2026 |
| 223 | WAB | WABTEC CORP | $33.4M | 141.7K shares | 0.1% | before Q1 2026 |
| 224 | PSA | PUBLIC STORAGE | $32.3M | 116.1K shares | 0.1% | before Q1 2026 |
| 225 | CMG | CHIPOTLE MEXICAN GRILL INC | $32.1M | 1.1M shares | 0.1% | before Q1 2026 |
| 226 | KDP | KEURIG DR PEPPER INC | $31.6M | 1.1M shares | 0.1% | before Q1 2026 |
| 227 | RKLB UQ | ROCKET LAB | $31.6M | 355.8K shares | 0.1% | Q2 2026 |
| 228 | EBAY | EBAY INC | $30.8M | 314.8K shares | 0.1% | before Q1 2026 |
| 229 | MCHP | MICROCHIP TECHNOLOGY INC | $30.2M | 378.9K shares | 0.1% | before Q1 2026 |
| 230 | NKE | NIKE INC -CL B | $30.2M | 840.2K shares | 0.1% | before Q1 2026 |
| 231 | HIG | HARTFORD INSURANCE GROUP INC | $30M | 259K shares | 0.1% | before Q1 2026 |
| 232 | WCN | WASTE CONNECTIONS INC | $29.6M | 203.3K shares | 0.1% | before Q1 2026 |
| 233 | FFIV | F5 Inc | $29.5M | 80.9K shares | 0.1% | before Q1 2026 |
| 234 | HUM | HUMANA INC | $29.3M | 84.4K shares | 0.1% | before Q1 2026 |
| 235 | XEL | XCEL ENERGY INC | $29.2M | 415.4K shares | 0.1% | before Q1 2026 |
| 236 | STT | STATE STREET CORP | $29M | 195.7K shares | 0.1% | before Q1 2026 |
| 237 | ACGL | ARCH CAPITAL GROUP LTD | $29M | 341.7K shares | 0.1% | before Q1 2026 |
| 238 | IDXX | IDEXX LABORATORIES INC | $29M | 62.9K shares | 0.1% | before Q1 2026 |
| 239 | ADSK | AUTODESK INC | $28.9M | 169.9K shares | 0.1% | before Q1 2026 |
| 240 | TTWO | TAKE-TWO INTERACTIVE SOFTWRE | $28.9M | 132.1K shares | 0.1% | before Q1 2026 |
| 241 | MET | METLIFE INC | $28.6M | 386.3K shares | 0.1% | before Q1 2026 |
| 242 | DGX | QUEST DIAGNOSTICS INC | $27.9M | 150.3K shares | 0.1% | before Q1 2026 |
| 243 | DHI | DR HORTON INC | $27.4M | 192.1K shares | 0.1% | before Q1 2026 |
| 244 | WMB | WILLIAMS COS INC | $27.3M | 420.6K shares | 0.1% | before Q1 2026 |
| 245 | AXON | AXON ENTERPRISE INC | $27M | 55K shares | 0.1% | before Q1 2026 |
| 246 | SLF | SUN LIFE FINANCIAL INC | $26.6M | 387.1K shares | 0.1% | before Q1 2026 |
| 247 | PAYX | PAYCHEX INC | $26.5M | 308.5K shares | 0.1% | before Q1 2026 |
| 248 | PEG | PUBLIC SERVICE ENTERPRISE GP | $26.4M | 372.2K shares | 0.1% | before Q1 2026 |
| 249 | BDX | BECTON DICKINSON AND CO | $26.3M | 198.4K shares | 0.1% | before Q1 2026 |
| 250 | XYL | XYLEM INC | $26.2M | 253.3K shares | 0.1% | before Q1 2026 |
| 251 | AMP | AMERIPRISE FINANCIAL INC | $25.7M | 64.1K shares | 0.1% | before Q1 2026 |
| 252 | VTR | VENTAS INC | $25.6M | 329K shares | 0.1% | before Q1 2026 |
| 253 | XYZ | BLOCK INC | $25.5M | 382.9K shares | 0.1% | before Q1 2026 |
| 254 | VRSN | VERISIGN INC | $25.2M | 114.7K shares | 0.1% | before Q1 2026 |
| 255 | MSCI | MSCI INC | $25.2M | 51.4K shares | 0.1% | before Q1 2026 |
| 256 | AWK | AMERICAN WATER WORKS CO INC | $24.7M | 214.6K shares | 0.1% | before Q1 2026 |
| 257 | CCEP | COCA-COLA EUROPACIFIC PARTNE | $24.5M | 280.3K shares | 0.1% | before Q1 2026 |
| 258 | PYPL | PAYPAL HOLDINGS INC | $24.4M | 647.3K shares | 0.1% | before Q1 2026 |
| 259 | SYY | SYSCO CORP | $24.2M | 331.3K shares | 0.1% | before Q1 2026 |
| 260 | AIG | AMERICAN INTERNATIONAL GROUP | $24.2M | 370.5K shares | 0.1% | before Q1 2026 |
| 261 | WRB | WR BERKLEY CORP | $24M | 389.3K shares | 0.1% | before Q1 2026 |
| 262 | VRSK | VERISK ANALYTICS INC | $23.9M | 151.9K shares | 0.1% | before Q1 2026 |
| 263 | PCG | P G & E CORP | $23.7M | 1.6M shares | 0.1% | before Q1 2026 |
| 264 | RJF | RAYMOND JAMES FINANCIAL INC | $23.5M | 176.8K shares | 0.1% | before Q1 2026 |
| 265 | CINF | CINCINNATI FINANCIAL CORP | $23.3M | 143.7K shares | 0.1% | before Q1 2026 |
| 266 | WEC | WEC ENERGY GROUP INC | $23M | 225.3K shares | 0.1% | before Q1 2026 |
| 267 | A | AGILENT TECHNOLOGIES INC | $22.9M | 197.4K shares | 0.1% | before Q1 2026 |
| 268 | PRU | PRUDENTIAL FINANCIAL INC | $22.9M | 242.5K shares | 0.1% | before Q1 2026 |
| 269 | IRM | IRON MOUNTAIN INC | $22.9M | 207K shares | 0.1% | before Q1 2026 |
| 270 | EQR | EQUITY RESIDENTIAL | $22.8M | 384K shares | 0.1% | before Q1 2026 |
| 271 | WAT | WATERS CORP | $22.4M | 68.4K shares | 0.1% | before Q1 2026 |
| 272 | ADM | ARCHER-DANIELS-MIDLAND CO | $22.2M | 332.8K shares | 0.1% | before Q1 2026 |
| 273 | MTB | M & T BANK CORP | $22M | 105.8K shares | 0.1% | before Q1 2026 |
| 274 | KVUE | KENVUE INC | $22M | 1.3M shares | 0.1% | before Q1 2026 |
| 275 | HBAN | HUNTINGTON BANCSHARES INC | $21.7M | 1.4M shares | 0.1% | before Q1 2026 |
| 276 | NDAQ | NASDAQ INC | $21.7M | 314.8K shares | 0.1% | before Q1 2026 |
| 277 | MKL | MARKEL GROUP INC | $21.4M | 12.5K shares | 0.1% | before Q1 2026 |
| 278 | BIIB | BIOGEN INC | $21M | 111K shares | 0.1% | before Q1 2026 |
| 279 | Q | QNITY ELECTRONICS INC | $20.9M | 146.4K shares | 0.1% | before Q1 2026 |
| 280 | CMS | CMS ENERGY CORP | $20.5M | 306K shares | 0.1% | before Q1 2026 |
| 281 | STLD | STEEL DYNAMICS INC | $20.5M | 102K shares | 0.1% | before Q1 2026 |
| 282 | KR | KROGER CO | $20.4M | 420.1K shares | 0.1% | before Q1 2026 |
| 283 | RMD | RESMED INC | $20.4M | 119.4K shares | 0.1% | before Q1 2026 |
| 284 | INCY | INCYTE CORP | $20.2M | 203.7K shares | 0.1% | before Q1 2026 |
| 285 | IQV | IQVIA HOLDINGS INC | $20M | 118.3K shares | 0.0% | before Q1 2026 |
| 286 | CCI | CROWN CASTLE INC | $19.9M | 301K shares | 0.0% | before Q1 2026 |
| 287 | NTRS | NORTHERN TRUST CORP | $19.7M | 129.9K shares | 0.0% | before Q1 2026 |
| 288 | DTE | DTE ENERGY COMPANY | $19.3M | 144.7K shares | 0.0% | before Q1 2026 |
| 289 | CNP | CENTERPOINT ENERGY INC | $19.3M | 500.6K shares | 0.0% | before Q1 2026 |
| 290 | TDY | TELEDYNE TECHNOLOGIES INC | $19.1M | 32.7K shares | 0.0% | before Q1 2026 |
| 291 | TWLO | TWILIO INC - A | $19.1M | 105.7K shares | 0.0% | before Q1 2026 |
| 292 | SUNB | SUNBELT RENTALS HOLDINGS INC | $19.1M | 298.6K shares | 0.0% | before Q1 2026 |
| 293 | CNC | CENTENE CORP | $18.9M | 337.4K shares | 0.0% | before Q1 2026 |
| 294 | AEE | AMEREN CORPORATION | $18.9M | 190.7K shares | 0.0% | before Q1 2026 |
| 295 | OTIS | OTIS WORLDWIDE CORP | $18.8M | 300.7K shares | 0.0% | before Q1 2026 |
| 296 | EXR | EXTRA SPACE STORAGE INC | $18.8M | 147.9K shares | 0.0% | before Q1 2026 |
| 297 | NRG | NRG ENERGY INC | $18.8M | 147.1K shares | 0.0% | before Q1 2026 |
| 298 | AVB | AVALONBAY COMMUNITIES INC | $18.5M | 112.3K shares | 0.0% | before Q1 2026 |
| 299 | WTW | WILLIS TOWERS WATSON PLC | $18.5M | 80.7K shares | 0.0% | before Q1 2026 |
| 300 | DOV | DOVER CORP | $18.4M | 94K shares | 0.0% | before Q1 2026 |
| 301 | ZTS | ZOETIS INC | $18.3M | 291.7K shares | 0.0% | before Q1 2026 |
| 302 | L | LOEWS CORP | $17.9M | 181.2K shares | 0.0% | before Q1 2026 |
| 303 | CFG | CITIZENS FINANCIAL GROUP | $17.9M | 292.5K shares | 0.0% | before Q1 2026 |
| 304 | CPRT | COPART INC | $17.9M | 726.4K shares | 0.0% | before Q1 2026 |
| 305 | BRO | BROWN & BROWN INC | $17.6M | 313.2K shares | 0.0% | before Q1 2026 |
| 306 | MTD | METTLER-TOLEDO INTERNATIONAL | $17.6M | 15.7K shares | 0.0% | before Q1 2026 |
| 307 | FTS | FORTIS INC | $17.5M | 350.2K shares | 0.0% | before Q1 2026 |
| 308 | GEHC | GE HEALTHCARE TECHNOLOGY | $17.5M | 311.9K shares | 0.0% | before Q1 2026 |
| 309 | WDAY | WORKDAY INC-CLASS A | $17.4M | 162.5K shares | 0.0% | before Q1 2026 |
| 310 | KGC | KINROSS GOLD CORP | $17.4M | 840.1K shares | 0.0% | before Q1 2026 |
| 311 | SSNC | SS&C TECHNOLOGIES HOLDINGS | $17.3M | 318.9K shares | 0.0% | before Q1 2026 |
| 312 | EIX | EDISON INTERNATIONAL | $17.3M | 265.6K shares | 0.0% | before Q1 2026 |
| 313 | FICO | FAIR ISAAC CORP | $17.2M | 16.5K shares | 0.0% | before Q1 2026 |
| 314 | DG | DOLLAR GENERAL CORP | $17.2M | 170.5K shares | 0.0% | before Q1 2026 |
| 315 | HUBB | HUBBELL INC | $16.9M | 36.9K shares | 0.0% | before Q1 2026 |
| 316 | ZM | ZOOM COMMUNICATIONS INC | $16.8M | 222.8K shares | 0.0% | before Q1 2026 |
| 317 | SNA | SNAP-ON INC | $16.8M | 47.7K shares | 0.0% | before Q1 2026 |
| 318 | VEEV | VEEVA SYSTEMS INC-CLASS A | $16.8M | 108K shares | 0.0% | before Q1 2026 |
| 319 | CDW | CDW CORP/DE | $16.7M | 135.8K shares | 0.0% | before Q1 2026 |
| 320 | FISV | FISERV INC | $16.6M | 387.5K shares | 0.0% | before Q1 2026 |
| 321 | TECK | TECK RESOURCES LTD-CLS B | $16.6M | 319.2K shares | 0.0% | before Q1 2026 |
| 322 | ESS | ESSEX PROPERTY TRUST INC | $16.6M | 65.2K shares | 0.0% | before Q1 2026 |
| 323 | PPG | PPG INDUSTRIES INC | $16.5M | 155.7K shares | 0.0% | before Q1 2026 |
| 324 | DLTR | DOLLAR TREE INC | $16.5M | 155.9K shares | 0.0% | before Q1 2026 |
| 325 | ES | EVERSOURCE ENERGY | $16.4M | 258.7K shares | 0.0% | before Q1 2026 |
| 326 | ILMN | ILLUMINA INC | $16.3M | 106.3K shares | 0.0% | before Q1 2026 |
| 327 | PPL | PPL CORP | $16.3M | 513.1K shares | 0.0% | before Q1 2026 |
| 328 | STE | STERIS PLC | $16.3M | 88.3K shares | 0.0% | before Q1 2026 |
| 329 | PHM | PULTEGROUP INC | $16M | 133.7K shares | 0.0% | before Q1 2026 |
| 330 | CHKP | CHECK POINT SOFTWARE TECH | $16M | 139K shares | 0.0% | before Q1 2026 |
| 331 | GIS | GENERAL MILLS INC | $16M | 524.7K shares | 0.0% | before Q1 2026 |
| 332 | SYF | SYNCHRONY FINANCIAL | $15.8M | 237.7K shares | 0.0% | before Q1 2026 |
| 333 | MAA | MID-AMERICA APARTMENT COMM | $15.8M | 129.7K shares | 0.0% | before Q1 2026 |
| 334 | HSY | HERSHEY CO/THE | $15.8M | 102.7K shares | 0.0% | before Q1 2026 |
| 335 | DXCM | DEXCOM INC | $15.8M | 267.4K shares | 0.0% | before Q1 2026 |
| 336 | CTSH | COGNIZANT TECH SOLUTIONS-A | $15.7M | 464.9K shares | 0.0% | before Q1 2026 |
| 337 | RF | REGIONS FINANCIAL CORP | $15.7M | 596.1K shares | 0.0% | before Q1 2026 |
| 338 | FE | FIRSTENERGY CORP | $15.6M | 374.7K shares | 0.0% | before Q1 2026 |
| 339 | FSLR | FIRST SOLAR INC | $15.4M | 74.7K shares | 0.0% | before Q1 2026 |
| 340 | BURL | BURLINGTON STORES INC | $15.4M | 55.6K shares | 0.0% | before Q1 2026 |
| 341 | KEY | KEYCORP | $15.1M | 750.4K shares | 0.0% | before Q1 2026 |
| 342 | HLT | HILTON WORLDWIDE HOLDINGS IN | $15.1M | 52.3K shares | 0.0% | before Q1 2026 |
| 343 | PTC | PTC INC | $14.9M | 149.8K shares | 0.0% | before Q1 2026 |
| 344 | TROW | T ROWE PRICE GROUP INC | $14.8M | 148.8K shares | 0.0% | before Q1 2026 |
| 345 | AER | AERCAP HOLDINGS NV | $14.5M | 114K shares | 0.0% | Q2 2026 |
| 346 | PFG | PRINCIPAL FINANCIAL GROUP | $14.3M | 151.2K shares | 0.0% | before Q1 2026 |
| 347 | CPAY | CORPAY INC | $14.2M | 48.7K shares | 0.0% | before Q1 2026 |
| 348 | IFF | INTL FLAVORS & FRAGRANCES | $14.1M | 203.6K shares | 0.0% | before Q1 2026 |
| 349 | LH | LABCORP HOLDINGS INC | $14M | 57.1K shares | 0.0% | before Q1 2026 |
| 350 | ARES | ARES MANAGEMENT CORP - A | $14M | 143.3K shares | 0.0% | before Q1 2026 |
| 351 | JBHT | HUNT (JB) TRANSPRT SVCS INC | $13.9M | 55K shares | 0.0% | before Q1 2026 |
| 352 | OKTA | OKTA INC | $13.9M | 116.3K shares | 0.0% | before Q1 2026 |
| 353 | STZ | CONSTELLATION BRANDS INC-A | $13.8M | 113.7K shares | 0.0% | before Q1 2026 |
| 354 | CNI | CANADIAN NATL RAILWAY CO | $13.8M | 132.5K shares | 0.0% | before Q1 2026 |
| 355 | OMC | OMNICOM GROUP | $13.8M | 216.3K shares | 0.0% | before Q1 2026 |
| 356 | NI | NISOURCE INC | $13.7M | 329K shares | 0.0% | before Q1 2026 |
| 357 | VLTO | VERALTO CORP | $13.4M | 172.6K shares | 0.0% | before Q1 2026 |
| 358 | RBA | RB GLOBAL INC | $13.1M | 128.5K shares | 0.0% | before Q1 2026 |
| 359 | KMI | KINDER MORGAN INC | $12.9M | 461.6K shares | 0.0% | before Q1 2026 |
| 360 | CRTO | CRITEO SA-SPON ADR | $12.9M | 806.9K shares | 0.0% | before Q1 2026 |
| 361 | DOW | DOW INC | $12.8M | 536.3K shares | 0.0% | before Q1 2026 |
| 362 | KHC | KRAFT HEINZ CO/THE | $12.5M | 603.5K shares | 0.0% | before Q1 2026 |
| 363 | GEN | GEN DIGITAL INC | $12.4M | 568.3K shares | 0.0% | before Q1 2026 |
| 364 | HEI/A | HEICO CORP-CLASS A | $12.4M | 54.8K shares | 0.0% | before Q1 2026 |
| 365 | ULTA | ULTA BEAUTY INC | $12.2M | 30.9K shares | 0.0% | before Q1 2026 |
| 366 | HPQ | HP INC | $12M | 625.8K shares | 0.0% | before Q1 2026 |
| 367 | FIS | FIDELITY NATIONAL INFO SERV | $12M | 352.5K shares | 0.0% | before Q1 2026 |
| 368 | EVRG | EVERGY INC | $12M | 158.3K shares | 0.0% | before Q1 2026 |
| 369 | CHD | CHURCH & DWIGHT CO INC | $11.9M | 140.2K shares | 0.0% | before Q1 2026 |
| 370 | LNT | ALLIANT ENERGY CORP | $11.8M | 176.8K shares | 0.0% | before Q1 2026 |
| 371 | EL | ESTEE LAUDER COMPANIES-CL A | $11.7M | 168.8K shares | 0.0% | before Q1 2026 |
| 372 | EFX | EQUIFAX INC | $11.6M | 83.8K shares | 0.0% | before Q1 2026 |
| 373 | MAS | MASCO CORP | $11.6M | 163.1K shares | 0.0% | before Q1 2026 |
| 374 | SBAC | SBA COMMUNICATIONS CORP | $11.4M | 74.2K shares | 0.0% | before Q1 2026 |
| 375 | FIX | COMFORT SYSTEMS USA INC | $11.4M | 6.6K shares | 0.0% | before Q1 2026 |
| 376 | FTV | FORTIVE CORP | $11.3M | 212.1K shares | 0.0% | before Q1 2026 |
| 377 | LII | LENNOX INTERNATIONAL INC | $11.3M | 22.5K shares | 0.0% | before Q1 2026 |
| 378 | RPRX | ROYALTY PHARMA PLC- CL A | $11.1M | 227.1K shares | 0.0% | before Q1 2026 |
| 379 | VTRS | VIATRIS INC | $10.9M | 782.3K shares | 0.0% | before Q1 2026 |
| 380 | GL | GLOBE LIFE INC | $10.8M | 69K shares | 0.0% | before Q1 2026 |
| 381 | TSCO | TRACTOR SUPPLY COMPANY | $10.8M | 389.3K shares | 0.0% | before Q1 2026 |
| 382 | BR | BROADRIDGE FINANCIAL SOLUTIO | $10.6M | 88.7K shares | 0.0% | before Q1 2026 |
| 383 | MGA | MAGNA INTERNATIONAL INC | $10.6M | 184.3K shares | 0.0% | before Q1 2026 |
| 384 | GPN | GLOBAL PAYMENTS INC | $10.5M | 165.4K shares | 0.0% | before Q1 2026 |
| 385 | INVH | INVITATION HOMES INC | $10.4M | 394.1K shares | 0.0% | before Q1 2026 |
| 386 | GIB | CGI INC | $10.4M | 183.5K shares | 0.0% | before Q1 2026 |
| 387 | ZBH | ZIMMER BIOMET HOLDINGS INC | $10.4M | 137.5K shares | 0.0% | before Q1 2026 |
| 388 | IEX | IDEX CORP | $10.3M | 52.1K shares | 0.0% | before Q1 2026 |
| 389 | CF | CF INDUSTRIES HOLDINGS INC | $10.3M | 108.9K shares | 0.0% | before Q1 2026 |
| 390 | NBIX | NEUROCRINE BIOSCIENCES INC | $10.3M | 69.9K shares | 0.0% | before Q1 2026 |
| 391 | APTV | APTIV PLC | $10.2M | 190K shares | 0.0% | before Q1 2026 |
| 392 | BALL | BALL CORP | $10M | 183.7K shares | 0.0% | before Q1 2026 |
| 393 | GPC | GENUINE PARTS CO | $9.9M | 95.9K shares | 0.0% | before Q1 2026 |
| 394 | TRI | THOMSON REUTERS | $9.9M | 138.1K shares | 0.0% | Q2 2026 |
| 395 | EMA | EMERA INC | $9.6M | 206.8K shares | 0.0% | before Q1 2026 |
| 396 | NLY | ANNALY CAPITAL MANAGEMENT IN | $9.6M | 488.6K shares | 0.0% | before Q1 2026 |
| 397 | HEI | HEICO CORP | $9.4M | 30K shares | 0.0% | before Q1 2026 |
| 398 | WPC | WP CAREY INC | $9.3M | 148.3K shares | 0.0% | before Q1 2026 |
| 399 | LYB | LYONDELLBASELL INDU-CL A | $9.2M | 200.6K shares | 0.0% | before Q1 2026 |
| 400 | HST | HOST HOTELS & RESORTS INC | $9.1M | 439.6K shares | 0.0% | before Q1 2026 |
| 401 | DAL | DELTA AIR LINES INC | $9.1M | 111.1K shares | 0.0% | before Q1 2026 |
| 402 | CHRW | C.H. ROBINSON WORLDWIDE INC | $9.1M | 55.1K shares | 0.0% | before Q1 2026 |
| 403 | EG | EVEREST GROUP LTD | $9M | 28.8K shares | 0.0% | before Q1 2026 |
| 404 | ARMK | ARAMARK | $8.9M | 179.6K shares | 0.0% | before Q1 2026 |
| 405 | BBY | BEST BUY CO INC | $8.9M | 134.6K shares | 0.0% | before Q1 2026 |
| 406 | JHX | JAMES HARDIE IND PLC | $8.9M | 389.7K shares | 0.0% | Q2 2026 |
| 407 | JLL | JONES LANG LASALLE INC | $8.9M | 32.7K shares | 0.0% | before Q1 2026 |
| 408 | SWK | STANLEY BLACK & DECKER INC | $8.9M | 107.6K shares | 0.0% | before Q1 2026 |
| 409 | RIVN | RIVIAN AUTOMOTIVE INC-A | $8.8M | 581.7K shares | 0.0% | before Q1 2026 |
| 410 | DOC | HEALTHPEAK PROPERTIES INC | $8.8M | 467.9K shares | 0.0% | before Q1 2026 |
| 411 | SUI | SUN COMMUNITIES INC | $8.8M | 83.5K shares | 0.0% | before Q1 2026 |
| 412 | BG | BUNGE GLOBAL SA | $8.8M | 93.8K shares | 0.0% | before Q1 2026 |
| 413 | JAZZ | JAZZ PHARMACEUTICALS PLC | $8.6M | 40.8K shares | 0.0% | Q2 2026 |
| 414 | RGA | REINSURANCE GROUP OF AMERICA | $8.5M | 45.6K shares | 0.0% | before Q1 2026 |
| 415 | ENB | ENBRIDGE INC | $8.5M | 178.8K shares | 0.0% | before Q1 2026 |
| 416 | TRU | TRANSUNION | $8.5M | 134K shares | 0.0% | before Q1 2026 |
| 417 | BCE | BCE INC | $8.4M | 444.3K shares | 0.0% | before Q1 2026 |
| 418 | REG | REGENCY CENTERS CORP | $8.2M | 117.1K shares | 0.0% | before Q1 2026 |
| 419 | ZBRA | ZEBRA TECHNOLOGIES CORP-CL A | $7.9M | 34.3K shares | 0.0% | before Q1 2026 |
| 420 | CCK | CROWN HOLDINGS INC | $7.8M | 79.7K shares | 0.0% | before Q1 2026 |
| 421 | FNF | FIDELITY NATIONAL FINANCIAL | $7.8M | 188.6K shares | 0.0% | before Q1 2026 |
| 422 | AGI | ALAMOS GOLD INC-CLASS A | $7.8M | 292.5K shares | 0.0% | before Q1 2026 |
| 423 | RVTY | REVVITY INC | $7.7M | 79.1K shares | 0.0% | before Q1 2026 |
| 424 | GFL | GFL ENVIRONMENTAL INC-SUB VT | $7.7M | 238.9K shares | 0.0% | before Q1 2026 |
| 425 | PKG | PACKAGING CORP OF AMERICA | $7.6M | 36.7K shares | 0.0% | before Q1 2026 |
| 426 | PNR | PENTAIR PLC | $7.6M | 113.7K shares | 0.0% | before Q1 2026 |
| 427 | MKC | MCCORMICK & CO-NON VTG SHRS | $7.6M | 172.6K shares | 0.0% | before Q1 2026 |
| 428 | CHTR | CHARTER COMMUNICATIONS INC-A | $7.6M | 61K shares | 0.0% | before Q1 2026 |
| 429 | CNH | CNH INDUSTRIAL NV | $7.5M | 768.5K shares | 0.0% | before Q1 2026 |
| 430 | ALLY | ALLY FINANCIAL INC | $7.5M | 186K shares | 0.0% | before Q1 2026 |
| 431 | UDR | UDR INC | $7.5M | 213.9K shares | 0.0% | before Q1 2026 |
| 432 | ELS | EQUITY LIFESTYLE PROPERTIES | $7.4M | 130.6K shares | 0.0% | before Q1 2026 |
| 433 | CPT | CAMDEN PROPERTY TRUST | $7.2M | 71.5K shares | 0.0% | before Q1 2026 |
| 434 | LULU | LULULEMON ATHLETICA INC | $7.2M | 71.7K shares | 0.0% | Q2 2026 |
| 435 | CG | CARLYLE GROUP INC/THE | $7.1M | 193.4K shares | 0.0% | before Q1 2026 |
| 436 | CSGP | COSTAR GROUP INC | $7.1M | 285.3K shares | 0.0% | before Q1 2026 |
| 437 | EQH | EQUITABLE HOLDINGS INC | $7M | 183.3K shares | 0.0% | before Q1 2026 |
| 438 | GDDY | GODADDY INC - CLASS A | $7M | 94.1K shares | 0.0% | before Q1 2026 |
| 439 | CLX | CLOROX COMPANY | $7M | 83.7K shares | 0.0% | before Q1 2026 |
| 440 | ALGN | ALIGN TECHNOLOGY INC | $7M | 47.2K shares | 0.0% | before Q1 2026 |
| 441 | TW | TRADEWEB MARKETS INC-CLASS A | $6.9M | 79.7K shares | 0.0% | before Q1 2026 |
| 442 | OXY | OCCIDENTAL PETROLEUM CORP | $6.9M | 161.4K shares | 0.0% | before Q1 2026 |
| 443 | GRAB | GRAB HOLDINGS LTD - CL A | $6.7M | 2M shares | 0.0% | before Q1 2026 |
| 444 | BMRN | BIOMARIN PHARMACEUTICAL INC | $6.5M | 130.3K shares | 0.0% | before Q1 2026 |
| 445 | UAL | UNITED AIRLINES HOLDINGS INC | $6.4M | 54.1K shares | 0.0% | before Q1 2026 |
| 446 | PODD | INSULET CORP | $6.4M | 48.2K shares | 0.0% | before Q1 2026 |
| 447 | AFG | AMERICAN FINANCIAL GROUP INC | $6.3M | 51.7K shares | 0.0% | before Q1 2026 |
| 448 | FOXA | FOX CORP - CLASS A | $6.3M | 138.7K shares | 0.0% | before Q1 2026 |
| 449 | TU | TELUS CORP | $6.3M | 683.9K shares | 0.0% | before Q1 2026 |
| 450 | BNTX | BIONTECH SE-ADR | $6.3M | 77.7K shares | 0.0% | before Q1 2026 |
| 451 | JKHY | JACK HENRY & ASSOCIATES INC | $6.1M | 50.8K shares | 0.0% | before Q1 2026 |
| 452 | WTRG | ESSENTIAL UTILITIES INC | $6.1M | 182.5K shares | 0.0% | before Q1 2026 |
| 453 | BEN | FRANKLIN RESOURCES INC | $6.1M | 208.5K shares | 0.0% | before Q1 2026 |
| 454 | RBLX | ROBLOX CORP -CLASS A | $5.8M | 122K shares | 0.0% | before Q1 2026 |
| 455 | BLDR | BUILDERS FIRSTSOURCE INC | $5.7M | 73.1K shares | 0.0% | before Q1 2026 |
| 456 | GIL | GILDAN ACTIVEWEAR INC | $5.7M | 125.7K shares | 0.0% | before Q1 2026 |
| 457 | IT | GARTNER INC | $5.6M | 49.1K shares | 0.0% | before Q1 2026 |
| 458 | HBM | HUDBAY MINERALS INC | $5.5M | 266.1K shares | 0.0% | Q2 2026 |
| 459 | IAG | IAMGOLD CORP | $5.5M | 394.1K shares | 0.0% | Q2 2026 |
| 460 | ATO | ATMOS ENERGY CORP | $5.4M | 35.6K shares | 0.0% | before Q1 2026 |
| 461 | CAE | CAE INC | $4.9M | 224.1K shares | 0.0% | before Q1 2026 |
| 462 | AG | FIRST MAJESTIC SILVER CORP | $4.9M | 329.6K shares | 0.0% | Q2 2026 |
| 463 | BF/B | BROWN-FORMAN CORP-CLASS B | $4.9M | 208.3K shares | 0.0% | before Q1 2026 |
| 464 | SW | SMURFIT WESTROCK PLC | $4.7M | 115.1K shares | 0.0% | before Q1 2026 |
| 465 | FDX | FEDEX CORP | $4.5M | 16.6K shares | 0.0% | before Q1 2026 |
| 466 | FUTU | FUTU HOLDINGS LTD-ADR | $4.5M | 55.2K shares | 0.0% | before Q1 2026 |
| 467 | EQX | EQUINOX GOLD CORP | $4.5M | 524.4K shares | 0.0% | Q2 2026 |
| 468 | CRBG | COREBRIDGE FINANCIAL INC | $4.4M | 176.7K shares | 0.0% | before Q1 2026 |
| 469 | STN | STANTEC INC | $4.4M | 73.3K shares | 0.0% | before Q1 2026 |
| 470 | TPL | TEXAS PACIFIC LAND CORP | $4.4M | 11.5K shares | 0.0% | before Q1 2026 |
| 471 | FOX | FOX CORP - CLASS B | $3.9M | 95.4K shares | 0.0% | before Q1 2026 |
| 472 | ERIE | ERIE INDEMNITY COMPANY-CL A | $3.9M | 18.6K shares | 0.0% | before Q1 2026 |
| 473 | RCI | ROGERS COMMUNICATIONS INC-B | $3.8M | 135.2K shares | 0.0% | before Q1 2026 |
| 474 | TFII | TFI INTERNATIONAL INC | $3.6M | 28.7K shares | 0.0% | before Q1 2026 |
| 475 | SLB | SLB LTD | $3.6M | 88.9K shares | 0.0% | before Q1 2026 |
| 476 | LUV | SOUTHWEST AIRLINES CO | $3.6M | 79.5K shares | 0.0% | before Q1 2026 |
| 477 | SOLS | SOLSTICE ADV MATERIALS INC | $3.4M | 43.8K shares | 0.0% | before Q1 2026 |
| 478 | MDLZ | MONDELEZ INTERNATIONAL INC-A | $3.4M | 66.3K shares | 0.0% | before Q1 2026 |
| 479 | VMC | VULCAN MATERIALS CO | $3.1M | 12.1K shares | 0.0% | before Q1 2026 |
| 480 | DECK | DECKERS OUTDOOR CORP | $3.1M | 35.6K shares | 0.0% | before Q1 2026 |
| 481 | LNG | CHENIERE ENERGY INC | $2.8M | 13.3K shares | 0.0% | before Q1 2026 |
| 482 | ODFL | OLD DOMINION FREIGHT LINE | $2.6M | 13.5K shares | 0.0% | before Q1 2026 |
| 483 | TRGP | TARGA RESOURCES CORP | $2.5M | 10.7K shares | 0.0% | before Q1 2026 |
| 484 | NTR | NUTRIEN LTD | $2.5M | 44.8K shares | 0.0% | before Q1 2026 |
| 485 | OKE | ONEOK INC | $2.4M | 32K shares | 0.0% | before Q1 2026 |
| 486 | CCJ | CAMECO CORP | $2M | 22.6K shares | 0.0% | before Q1 2026 |
| 487 | PBA | PEMBINA PIPELINE CORP | $1.8M | 45.1K shares | 0.0% | before Q1 2026 |
| 488 | RS | RELIANCE INC | $1.7M | 5.1K shares | 0.0% | before Q1 2026 |
| 489 | SE | SEA LTD-ADR | $1.6M | 19.6K shares | 0.0% | before Q1 2026 |
| 490 | FN | FABRINET | $910K | 1.9K shares | 0.0% | Q2 2026 |
| 491 | RDDT | REDDIT INC-CL A | $904K | 6K shares | 0.0% | Q2 2026 |
| 492 | EME | EMCOR GROUP INC | $799K | 1.1K shares | 0.0% | before Q1 2026 |
| 493 | FLEX | FLEX LTD | $664K | 4.7K shares | 0.0% | Q2 2026 |