| 97 | LLY | ELI LILLY & CO | $13.2B | 11M shares | 2.3% | before Q1 2026 |
| 98 | MRK | MERCK & CO. INC. | $11.1B | 86.2M shares | 1.9% | before Q1 2026 |
| 99 | MA | MASTERCARD INC - A | $6.5B | 12.7M shares | 1.1% | before Q1 2026 |
| 100 | JNJ | JOHNSON & JOHNSON | $5.7B | 22.6M shares | 1.0% | before Q1 2026 |
| 101 | AZN | ASTRAZENECA PLC | $5.4B | 28.5M shares | 0.9% | before Q1 2026 |
| 102 | UNH | UNITEDHEALTH GROUP INC | $4.4B | 10.7M shares | 0.8% | before Q1 2026 |
| 103 | BLK | BLACKROCK INC | $4.3B | 4.5M shares | 0.7% | before Q1 2026 |
| 104 | SRE | SEMPRA | $4.1B | 43.8M shares | 0.7% | before Q1 2026 |
| 105 | TXN | TEXAS INSTRUMENTS INC | $3.9B | 13.1M shares | 0.7% | before Q1 2026 |
| 106 | TRGP | TARGA RESOURCES CORP | $3.8B | 14.2M shares | 0.7% | before Q1 2026 |
| 107 | ELV | ELEVANCE HEALTH INC | $3.6B | 9.2M shares | 0.6% | before Q1 2026 |
| 108 | CAH | CARDINAL HEALTH INC | $3.5B | 14.9M shares | 0.6% | before Q1 2026 |
| 109 | CVS | CVS HEALTH CORP | $3.5B | 33.8M shares | 0.6% | before Q1 2026 |
| 110 | WELL | WELLTOWER INC | $3.4B | 15.2M shares | 0.6% | before Q1 2026 |
| 111 | V | VISA INC-CLASS A SHARES | $3.4B | 9.9M shares | 0.6% | before Q1 2026 |
| 112 | WFC | WELLS FARGO & CO | $3.3B | 39.4M shares | 0.6% | before Q1 2026 |
| 113 | PM | PHILIP MORRIS INTERNATIONAL | $3.2B | 17.5M shares | 0.5% | before Q1 2026 |
| 114 | DHR | DANAHER CORP | $3.1B | 16.3M shares | 0.5% | before Q1 2026 |
| 115 | DIS | WALT DISNEY CO/THE | $3.1B | 32M shares | 0.5% | before Q1 2026 |
| 116 | UBS | UBS GROUP AG-REG | $3B | 59.6M shares | 0.5% | before Q1 2026 |
| 117 | APH | AMPHENOL CORP-CL A | $2.9B | 16.6M shares | 0.5% | before Q1 2026 |
| 118 | FLEX | FLEX LTD | $2.9B | 18M shares | 0.5% | before Q1 2026 |
| 119 | ETN | EATON CORP PLC | $2.9B | 6.8M shares | 0.5% | before Q1 2026 |
| 120 | FANG | DIAMONDBACK ENERGY INC | $2.9B | 16.4M shares | 0.5% | before Q1 2026 |
| 121 | MRSH | MARSH & MCLENNAN COS | $2.8B | 17M shares | 0.5% | before Q1 2026 |
| 122 | D | DOMINION ENERGY INC | $2.8B | 40.9M shares | 0.5% | before Q1 2026 |
| 123 | HD | HOME DEPOT INC | $2.7B | 7.7M shares | 0.5% | before Q1 2026 |
| 124 | SYK | STRYKER CORP | $2.6B | 8.2M shares | 0.4% | before Q1 2026 |
| 125 | GE | GENERAL ELECTRIC | $2.5B | 6.8M shares | 0.4% | before Q1 2026 |
| 126 | NOC | NORTHROP GRUMMAN CORP | $2.5B | 4.9M shares | 0.4% | before Q1 2026 |
| 127 | BAC | BANK OF AMERICA CORP | $2.5B | 44.1M shares | 0.4% | before Q1 2026 |
| 128 | LIN | LINDE PLC | $2.5B | 4.8M shares | 0.4% | before Q1 2026 |
| 129 | WMB | WILLIAMS COS INC | $2.5B | 33.1M shares | 0.4% | before Q1 2026 |
| 130 | NDAQ | NASDAQ INC | $2.4B | 30.3M shares | 0.4% | before Q1 2026 |
| 131 | KO | COCA-COLA CO/THE | $2.4B | 29.1M shares | 0.4% | before Q1 2026 |
| 132 | USFD | US FOODS HOLDING CORP | $2.4B | 23M shares | 0.4% | before Q1 2026 |
| 133 | MTB | M & T BANK CORP | $2.3B | 9.8M shares | 0.4% | before Q1 2026 |
| 134 | CUSIP:30231G102 | EXXON MOBIL CORP | $2.3B | 16.7M shares | 0.4% | before Q1 2026 |
| 135 | AIG | AMERICAN INTERNATIONAL GROUP | $2.3B | 30.3M shares | 0.4% | before Q1 2026 |
| 136 | ADP | AUTOMATIC DATA PROCESSING | $2.2B | 10M shares | 0.4% | before Q1 2026 |
| 137 | SPGI | S&P GLOBAL INC | $2.2B | 5.3M shares | 0.4% | before Q1 2026 |
| 138 | HBAN | HUNTINGTON BANCSHARES INC | $2.2B | 122.3M shares | 0.4% | before Q1 2026 |
| 139 | DVN | DEVON ENERGY CORP | $2.1B | 51.5M shares | 0.4% | before Q1 2026 |
| 140 | CB | CHUBB LTD | $2.1B | 6.2M shares | 0.4% | before Q1 2026 |
| 141 | UL | UNILEVER PLC-SPONSORED ADR | $2.1B | 35.1M shares | 0.4% | before Q1 2026 |
| 142 | SPG | SIMON PROPERTY GROUP INC | $2.1B | 9.4M shares | 0.4% | before Q1 2026 |
| 143 | PCAR | PACCAR INC | $2B | 17.1M shares | 0.4% | before Q1 2026 |
| 144 | TTE | TOTALENERGIES SE | $2B | 26.3M shares | 0.4% | before Q1 2026 |
| 145 | MAR | MARRIOTT INTERNATIONAL -CL A | $2B | 5.5M shares | 0.3% | before Q1 2026 |
| 146 | NFLX | NETFLIX INC | $2B | 28M shares | 0.3% | before Q1 2026 |
| 147 | AWK | AMERICAN WATER WORKS CO INC | $2B | 14.9M shares | 0.3% | before Q1 2026 |
| 148 | AEP | AMERICAN ELECTRIC POWER | $1.9B | 13.9M shares | 0.3% | before Q1 2026 |
| 149 | TJX | TJX COMPANIES INC | $1.8B | 12.2M shares | 0.3% | before Q1 2026 |
| 150 | HCA | HCA HEALTHCARE INC | $1.8B | 4.7M shares | 0.3% | before Q1 2026 |
| 151 | KDP | KEURIG DR PEPPER INC | $1.8B | 55.9M shares | 0.3% | before Q1 2026 |
| 152 | BRK/B | BERKSHIRE HATHAWAY INC-CL B | $1.8B | 3.6M shares | 0.3% | before Q1 2026 |
| 153 | DKS | DICK'S SPORTING GOODS INC | $1.7B | 7.7M shares | 0.3% | before Q1 2026 |
| 154 | FERG | FERGUSON ENTERPRISES INC | $1.7B | 7.2M shares | 0.3% | before Q1 2026 |
| 155 | HONA | HONEYWELL AEROSPACE INC | $1.7B | 7.7M shares | 0.3% | Q2 2026 |
| 156 | VRTX | VERTEX PHARMACEUTICALS INC | $1.6B | 3.2M shares | 0.3% | before Q1 2026 |
| 157 | GILD | GILEAD SCIENCES INC | $1.6B | 12.7M shares | 0.3% | before Q1 2026 |
| 158 | ATO | ATMOS ENERGY CORP | $1.6B | 9.2M shares | 0.3% | before Q1 2026 |
| 159 | COP | CONOCOPHILLIPS | $1.6B | 15.1M shares | 0.3% | before Q1 2026 |
| 160 | TEL | TE CONNECTIVITY PLC | $1.6B | 7.7M shares | 0.3% | before Q1 2026 |
| 161 | EW | EDWARDS LIFESCIENCES CORP | $1.5B | 16.8M shares | 0.3% | before Q1 2026 |
| 162 | ICE | INTERCONTINENTAL EXCHANGE IN | $1.5B | 11.8M shares | 0.3% | before Q1 2026 |
| 163 | TMUS | T-MOBILE US INC | $1.4B | 8.6M shares | 0.2% | before Q1 2026 |
| 164 | RJF | RAYMOND JAMES FINANCIAL INC | $1.4B | 9.4M shares | 0.2% | before Q1 2026 |
| 165 | SPOT | SPOTIFY TECHNOLOGY SA | $1.4B | 3.1M shares | 0.2% | before Q1 2026 |
| 166 | COF | CAPITAL ONE FINANCIAL CORP | $1.4B | 7.1M shares | 0.2% | before Q1 2026 |
| 167 | ROST | ROSS STORES INC | $1.4B | 6.6M shares | 0.2% | before Q1 2026 |
| 168 | LHX | L3HARRIS TECHNOLOGIES INC | $1.4B | 4.7M shares | 0.2% | before Q1 2026 |
| 169 | SHOP | SHOPIFY INC - CLASS A | $1.4B | 11.9M shares | 0.2% | before Q1 2026 |
| 170 | ADM | ARCHER-DANIELS-MIDLAND CO | $1.4B | 17.7M shares | 0.2% | before Q1 2026 |
| 171 | JPM | JPMORGAN CHASE & CO | $1.3B | 4.1M shares | 0.2% | before Q1 2026 |
| 172 | KKR | KKR & CO INC | $1.3B | 14.6M shares | 0.2% | before Q1 2026 |
| 173 | FITB | FIFTH THIRD BANCORP | $1.3B | 23.7M shares | 0.2% | before Q1 2026 |
| 174 | CCI | CROWN CASTLE INC | $1.3B | 17.3M shares | 0.2% | before Q1 2026 |
| 175 | HON | HONEYWELL INTL INC | $1.3B | 5.8M shares | 0.2% | Q2 2026 |
| 176 | COR | CENCORA INC | $1.3B | 4.6M shares | 0.2% | before Q1 2026 |
| 177 | ABBV | ABBVIE INC | $1.3B | 5.1M shares | 0.2% | before Q1 2026 |
| 178 | PGR | PROGRESSIVE CORP | $1.3B | 5.7M shares | 0.2% | before Q1 2026 |
| 179 | EMR | EMERSON ELECTRIC CO | $1.2B | 8.5M shares | 0.2% | before Q1 2026 |
| 180 | EQT | EQT CORP | $1.2B | 22.6M shares | 0.2% | before Q1 2026 |
| 181 | AXON | AXON ENTERPRISE INC | $1.2B | 2.1M shares | 0.2% | before Q1 2026 |
| 182 | BNY | BANK OF NEW YORK MELLON CORP | $1.2B | 8.1M shares | 0.2% | before Q1 2026 |
| 183 | JCI | JOHNSON CONTROLS INTERNATION | $1.2B | 7.9M shares | 0.2% | before Q1 2026 |
| 184 | GS | GOLDMAN SACHS GROUP INC | $1.1B | 1.1M shares | 0.2% | before Q1 2026 |
| 185 | PNFP | PINNACLE FINANCIAL PARTNERS | $1.1B | 11.1M shares | 0.2% | before Q1 2026 |
| 186 | NTRA | NATERA INC | $1.1B | 4M shares | 0.2% | before Q1 2026 |
| 187 | AXP | AMERICAN EXPRESS CO | $1.1B | 3.2M shares | 0.2% | before Q1 2026 |
| 188 | MS | MORGAN STANLEY | $1.1B | 5.1M shares | 0.2% | before Q1 2026 |
| 189 | JHX | JAMES HARDIE IND PLC | $1.1B | 40.8M shares | 0.2% | before Q1 2026 |
| 190 | ARES | ARES MANAGEMENT CORP - A | $1.1B | 9.5M shares | 0.2% | before Q1 2026 |
| 191 | GWW | WW GRAINGER INC | $1.1B | 775.6K shares | 0.2% | before Q1 2026 |
| 192 | PPG | PPG INDUSTRIES INC | $1B | 8.6M shares | 0.2% | before Q1 2026 |
| 193 | WY | WEYERHAEUSER CO | $1B | 43.6M shares | 0.2% | before Q1 2026 |
| 194 | TT | TRANE TECHNOLOGIES PLC | $1B | 2.1M shares | 0.2% | before Q1 2026 |
| 195 | CNI | CANADIAN NATL RAILWAY CO | $1B | 8.5M shares | 0.2% | before Q1 2026 |
| 196 | AMGN | AMGEN INC | $993M | 2.7M shares | 0.2% | before Q1 2026 |
| 197 | WMT | WALMART INC | $992.5M | 8.8M shares | 0.2% | before Q1 2026 |
| 198 | A | AGILENT TECHNOLOGIES INC | $990.2M | 7.5M shares | 0.2% | before Q1 2026 |
| 199 | BDX | BECTON DICKINSON AND CO | $962.2M | 6.4M shares | 0.2% | before Q1 2026 |
| 200 | SHW | SHERWIN-WILLIAMS CO/THE | $958.8M | 2.8M shares | 0.2% | before Q1 2026 |
| 201 | PG | PROCTER & GAMBLE CO/THE | $948.4M | 6.5M shares | 0.2% | before Q1 2026 |
| 202 | CLH | CLEAN HARBORS INC | $942.6M | 3.2M shares | 0.2% | before Q1 2026 |
| 203 | AVY | AVERY DENNISON CORP | $939.8M | 5.8M shares | 0.2% | before Q1 2026 |
| 204 | KR | KROGER CO | $939.6M | 16.9M shares | 0.2% | before Q1 2026 |
| 205 | EXC | EXELON CORP | $939.2M | 20.1M shares | 0.2% | before Q1 2026 |
| 206 | FCX | FREEPORT-MCMORAN INC | $938.2M | 14.9M shares | 0.2% | before Q1 2026 |
| 207 | CMS | CMS ENERGY CORP | $930.1M | 12.2M shares | 0.2% | before Q1 2026 |
| 208 | ICLR | ICON PLC | $924.1M | 5.3M shares | 0.2% | before Q1 2026 |
| 209 | IWM | ISHARES RUSSELL 2000 ETF | $921.9M | 3.1M shares | 0.2% | before Q1 2026 |
| 210 | NKE | NIKE INC -CL B | $911.7M | 22.2M shares | 0.2% | before Q1 2026 |
| 211 | ROP | ROPER TECHNOLOGIES INC | $890.3M | 2.6M shares | 0.2% | before Q1 2026 |
| 212 | ARGX | ARGENX SE - ADR | $863.3M | 930.5K shares | 0.1% | before Q1 2026 |
| 213 | CNC | CENTENE CORP | $853.8M | 13.3M shares | 0.1% | before Q1 2026 |
| 214 | ECHO | ECHOSTAR CORP-A | $853.3M | 8.4M shares | 0.1% | before Q1 2026 |
| 215 | MPC | MARATHON PETROLEUM CORP | $831.5M | 3.3M shares | 0.1% | before Q1 2026 |
| 216 | MCD | MCDONALD'S CORP | $831.5M | 3.1M shares | 0.1% | before Q1 2026 |
| 217 | ABNB | AIRBNB INC-CLASS A | $827.9M | 5.8M shares | 0.1% | before Q1 2026 |
| 218 | SUNB | SUNBELT RENTALS HOLDINGS INC | $806.8M | 11.1M shares | 0.1% | before Q1 2026 |
| 219 | DRI | DARDEN RESTAURANTS INC | $800.2M | 3.9M shares | 0.1% | before Q1 2026 |
| 220 | UBER | UBER TECHNOLOGIES INC | $797.5M | 11.1M shares | 0.1% | before Q1 2026 |
| 221 | REGN | REGENERON PHARMACEUTICALS | $792M | 1.3M shares | 0.1% | before Q1 2026 |
| 222 | DUK | DUKE ENERGY CORP | $790.3M | 6.2M shares | 0.1% | before Q1 2026 |
| 223 | PPL | PPL CORP | $776.9M | 21.4M shares | 0.1% | before Q1 2026 |
| 224 | LOW | LOWE'S COS INC | $775M | 3.5M shares | 0.1% | before Q1 2026 |
| 225 | ABT | ABBOTT LABORATORIES | $753.6M | 8.3M shares | 0.1% | before Q1 2026 |
| 226 | UTHR | UNITED THERAPEUTICS CORP | $747.2M | 1.4M shares | 0.1% | before Q1 2026 |
| 227 | YUM | YUM! BRANDS INC | $740.5M | 4.6M shares | 0.1% | before Q1 2026 |
| 228 | STE | STERIS PLC | $737.6M | 3.5M shares | 0.1% | before Q1 2026 |
| 229 | SCHW | SCHWAB (CHARLES) CORP | $735.5M | 8M shares | 0.1% | before Q1 2026 |
| 230 | AAON | AAON INC | $732.3M | 5.8M shares | 0.1% | before Q1 2026 |
| 231 | AME | AMETEK INC | $724.4M | 3M shares | 0.1% | before Q1 2026 |
| 232 | RVMD | REVOLUTION MEDICINES INC | $719.8M | 3.8M shares | 0.1% | before Q1 2026 |
| 233 | PLD | PROLOGIS INC | $718.2M | 5.3M shares | 0.1% | before Q1 2026 |
| 234 | MNST | MONSTER BEVERAGE CORP | $717.6M | 7.5M shares | 0.1% | before Q1 2026 |
| 235 | KMB | KIMBERLY-CLARK CORP | $712M | 6.5M shares | 0.1% | before Q1 2026 |
| 236 | DASH | DOORDASH INC - A | $708.8M | 3.8M shares | 0.1% | before Q1 2026 |
| 237 | WCC | WESCO INTERNATIONAL INC | $697.2M | 2M shares | 0.1% | before Q1 2026 |
| 238 | ZTS | ZOETIS INC | $677.2M | 9.4M shares | 0.1% | before Q1 2026 |
| 239 | BIIB | BIOGEN INC | $673.6M | 3.1M shares | 0.1% | before Q1 2026 |
| 240 | PFE | PFIZER INC | $670.1M | 27.8M shares | 0.1% | before Q1 2026 |
| 241 | PH | PARKER HANNIFIN CORP | $666.7M | 681.6K shares | 0.1% | before Q1 2026 |
| 242 | CHRW | C.H. ROBINSON WORLDWIDE INC | $666.2M | 3.5M shares | 0.1% | before Q1 2026 |
| 243 | NTR | NUTRIEN LTD | $654.1M | 10.4M shares | 0.1% | before Q1 2026 |
| 244 | BSX | BOSTON SCIENTIFIC CORP | $653.1M | 15.3M shares | 0.1% | before Q1 2026 |
| 245 | SUI | SUN COMMUNITIES INC | $646.3M | 5.4M shares | 0.1% | before Q1 2026 |
| 246 | CTVA | CORTEVA INC | $644.7M | 7.6M shares | 0.1% | before Q1 2026 |
| 247 | VIK | VIKING HOLDINGS LTD | $644.6M | 6.2M shares | 0.1% | before Q1 2026 |
| 248 | IBKR | INTERACTIVE BROKERS GRO-CL A | $642.5M | 7.4M shares | 0.1% | before Q1 2026 |
| 249 | ALNY | ALNYLAM PHARMACEUTICALS INC | $635.3M | 2.1M shares | 0.1% | before Q1 2026 |
| 250 | RF | REGIONS FINANCIAL CORP | $634M | 21M shares | 0.1% | before Q1 2026 |
| 251 | FTAI | FTAI AVIATION LTD | $629.5M | 2.3M shares | 0.1% | before Q1 2026 |
| 252 | TW | TRADEWEB MARKETS INC-CLASS A | $618.3M | 6.2M shares | 0.1% | before Q1 2026 |
| 253 | RRX | REGAL REXNORD CORP | $615.5M | 2.6M shares | 0.1% | before Q1 2026 |
| 254 | IONS | IONIS PHARMACEUTICALS INC | $606.7M | 7.7M shares | 0.1% | before Q1 2026 |
| 255 | GSK | GSK PLC-SPON ADR | $597.4M | 11.4M shares | 0.1% | before Q1 2026 |
| 256 | NTAP | NETAPP INC | $597.4M | 3.9M shares | 0.1% | before Q1 2026 |
| 257 | CYTK | CYTOKINETICS INC | $590.5M | 6.9M shares | 0.1% | before Q1 2026 |
| 258 | MTD | METTLER-TOLEDO INTERNATIONAL | $586.5M | 459.1K shares | 0.1% | before Q1 2026 |
| 259 | LNG | CHENIERE ENERGY INC | $584.2M | 2.4M shares | 0.1% | before Q1 2026 |
| 260 | DXCM | DEXCOM INC | $574.3M | 8.5M shares | 0.1% | before Q1 2026 |
| 261 | SLB | SLB LTD | $574.2M | 12.4M shares | 0.1% | before Q1 2026 |
| 262 | BA | BOEING CO/THE | $561.6M | 2.6M shares | 0.1% | before Q1 2026 |
| 263 | GLPI | GAMING AND LEISURE PROPERTIE | $555.7M | 12.5M shares | 0.1% | before Q1 2026 |
| 264 | POOL | POOL CORP | $553.6M | 2.6M shares | 0.1% | before Q1 2026 |
| 265 | WDC | WESTERN DIGITAL CORP | $551.3M | 863.2K shares | 0.1% | before Q1 2026 |
| 266 | H | HYATT HOTELS CORP - CL A | $548M | 2.8M shares | 0.1% | before Q1 2026 |
| 267 | STZ | CONSTELLATION BRANDS INC-A | $531M | 3.8M shares | 0.1% | before Q1 2026 |
| 268 | RY | ROYAL BANK OF CANADA | $528.6M | 2.6M shares | 0.1% | before Q1 2026 |
| 269 | SO | SOUTHERN CO/THE | $528.3M | 5.5M shares | 0.1% | before Q1 2026 |
| 270 | SBUX | STARBUCKS CORP | $517M | 5.1M shares | 0.1% | before Q1 2026 |
| 271 | FAST | FASTENAL CO | $516.5M | 10.8M shares | 0.1% | before Q1 2026 |
| 272 | WAT | WATERS CORP | $515M | 1.4M shares | 0.1% | before Q1 2026 |
| 273 | HLT | HILTON WORLDWIDE HOLDINGS IN | $511.6M | 1.5M shares | 0.1% | before Q1 2026 |
| 274 | MDT | MEDTRONIC PLC | $506.5M | 6.5M shares | 0.1% | before Q1 2026 |
| 275 | RS | RELIANCE INC | $497M | 1.3M shares | 0.1% | before Q1 2026 |
| 276 | TREX | TREX COMPANY INC | $494.3M | 9.9M shares | 0.1% | before Q1 2026 |
| 277 | TMO | THERMO FISHER SCIENTIFIC INC | $490.9M | 979.2K shares | 0.1% | before Q1 2026 |
| 278 | QGEN | QIAGEN N.V. | $484.2M | 12.4M shares | 0.1% | before Q1 2026 |
| 279 | WCN | WASTE CONNECTIONS INC | $477.9M | 2.9M shares | 0.1% | before Q1 2026 |
| 280 | TRU | TRANSUNION | $476.4M | 6.6M shares | 0.1% | before Q1 2026 |
| 281 | ALLY | ALLY FINANCIAL INC | $473.7M | 10.3M shares | 0.1% | before Q1 2026 |
| 282 | CL | COLGATE-PALMOLIVE CO | $468.6M | 5.1M shares | 0.1% | before Q1 2026 |
| 283 | KT | KT CORP-SP ADR | $466.1M | 27M shares | 0.1% | before Q1 2026 |
| 284 | PRIM | PRIMORIS SERVICES CORP | $463.4M | 4.7M shares | 0.1% | before Q1 2026 |
| 285 | AHR | AMERICAN HEALTHCARE REIT INC | $451.6M | 8.7M shares | 0.1% | before Q1 2026 |
| 286 | WAB | WABTEC CORP | $450.4M | 1.7M shares | 0.1% | before Q1 2026 |
| 287 | TFC | TRUIST FINANCIAL CORP | $447.6M | 9M shares | 0.1% | before Q1 2026 |
| 288 | ALHC | ALIGNMENT HEALTHCARE INC | $447.2M | 18.8M shares | 0.1% | before Q1 2026 |
| 289 | TPG | TPG INC | $446.8M | 11M shares | 0.1% | before Q1 2026 |
| 290 | GM | GENERAL MOTORS CO | $446M | 5.8M shares | 0.1% | before Q1 2026 |
| 291 | SHEL | SHELL PLC-ADR | $444.5M | 5.7M shares | 0.1% | before Q1 2026 |
| 292 | MDGL | MADRIGAL PHARMACEUTICALS INC | $443.4M | 825.7K shares | 0.1% | before Q1 2026 |
| 293 | MELI | MERCADOLIBRE INC | $435.1M | 256.3K shares | 0.1% | before Q1 2026 |
| 294 | ADI | ANALOG DEVICES INC | $434.6M | 1.1M shares | 0.1% | before Q1 2026 |
| 295 | VOO | VANGUARD S&P 500 ETF | $427.1M | 621.9K shares | 0.1% | before Q1 2026 |
| 296 | TTMI | TTM TECHNOLOGIES | $424.2M | 2.3M shares | 0.1% | before Q1 2026 |
| 297 | PSA | PUBLIC STORAGE | $423.3M | 1.3M shares | 0.1% | before Q1 2026 |
| 298 | KYMR | KYMERA THERAPEUTICS INC | $421.4M | 3.7M shares | 0.1% | before Q1 2026 |
| 299 | PTGX | PROTAGONIST THERAPEUTICS INC | $418.8M | 3.4M shares | 0.1% | before Q1 2026 |
| 300 | WEC | WEC ENERGY GROUP INC | $417.2M | 3.6M shares | 0.1% | before Q1 2026 |
| 301 | CVX | CHEVRON CORP | $415.6M | 2.5M shares | 0.1% | before Q1 2026 |
| 302 | ASND | ASCENDIS PHARMA A/S | $413.1M | 1.5M shares | 0.1% | Q2 2026 |
| 303 | NXT | NEXTPOWER INC-CL A | $408.3M | 3.4M shares | 0.1% | before Q1 2026 |
| 304 | PCVX | VAXCYTE INC | $407M | 7M shares | 0.1% | before Q1 2026 |
| 305 | INCY | INCYTE CORP | $405.3M | 3.6M shares | 0.1% | before Q1 2026 |
| 306 | HUBB | HUBBELL INC | $405M | 774.1K shares | 0.1% | before Q1 2026 |
| 307 | CME | CME GROUP INC | $401M | 1.8M shares | 0.1% | before Q1 2026 |
| 308 | GPCR | STRUCTURE THERAPEUTICS INC | $396.1M | 7.4M shares | 0.1% | before Q1 2026 |
| 309 | BBIO | BRIDGEBIO PHARMA INC | $395.4M | 5.3M shares | 0.1% | before Q1 2026 |
| 310 | CTRE | CARETRUST REIT INC | $391.2M | 9.7M shares | 0.1% | before Q1 2026 |
| 311 | DOV | DOVER CORP | $390.5M | 1.7M shares | 0.1% | before Q1 2026 |
| 312 | MCHP | MICROCHIP TECHNOLOGY INC | $389.6M | 4.3M shares | 0.1% | before Q1 2026 |
| 313 | CNQ | CANADIAN NATURAL RESOURCES | $389.1M | 9.8M shares | 0.1% | before Q1 2026 |
| 314 | EQH | EQUITABLE HOLDINGS INC | $385.5M | 8.8M shares | 0.1% | before Q1 2026 |
| 315 | IDXX | IDEXX LABORATORIES INC | $382.6M | 726.7K shares | 0.1% | before Q1 2026 |
| 316 | HASI | HA SUSTAINABLE INFRASTRUCTUR | $381.8M | 9.8M shares | 0.1% | before Q1 2026 |
| 317 | LMT | LOCKHEED MARTIN CORP | $380.2M | 746.2K shares | 0.1% | before Q1 2026 |
| 318 | PEP | PEPSICO INC | $379.8M | 2.8M shares | 0.1% | before Q1 2026 |
| 319 | CGON | CG ONCOLOGY INC | $378.3M | 5.3M shares | 0.1% | before Q1 2026 |
| 320 | COLB | COLUMBIA BANKING SYSTEM INC | $374.6M | 11.7M shares | 0.1% | before Q1 2026 |
| 321 | PR | PERMIAN RESOURCES CORP-CL A | $371.1M | 20.2M shares | 0.1% | before Q1 2026 |
| 322 | IDA | IDACORP INC | $371M | 2.5M shares | 0.1% | before Q1 2026 |
| 323 | SRRK | SCHOLAR ROCK HOLDING CORP | $370M | 6.7M shares | 0.1% | before Q1 2026 |
| 324 | VNOM | VIPER ENERGY INC-CL A | $368.7M | 8.7M shares | 0.1% | before Q1 2026 |
| 325 | CHRD | CHORD ENERGY CORP | $362.1M | 3.2M shares | 0.1% | before Q1 2026 |
| 326 | WAL | WESTERN ALLIANCE BANCORP | $360.8M | 4.4M shares | 0.1% | before Q1 2026 |
| 327 | CLDX | CELLDEX THERAPEUTICS INC | $355.1M | 9.5M shares | 0.1% | before Q1 2026 |
| 328 | XYZ | BLOCK INC | $354.6M | 4.7M shares | 0.1% | before Q1 2026 |
| 329 | BNS | BANK OF NOVA SCOTIA | $354.4M | 4.1M shares | 0.1% | before Q1 2026 |
| 330 | CMI | CUMMINS INC | $353.1M | 495K shares | 0.1% | before Q1 2026 |
| 331 | VOYA | VOYA FINANCIAL INC | $351.7M | 3.9M shares | 0.1% | before Q1 2026 |
| 332 | LYV | LIVE NATION ENTERTAINMENT IN | $346.4M | 1.9M shares | 0.1% | before Q1 2026 |
| 333 | PTCT | PTC THERAPEUTICS INC | $336.7M | 4.1M shares | 0.1% | before Q1 2026 |
| 334 | LAMR | LAMAR ADVERTISING CO-A | $331.6M | 2.1M shares | 0.1% | before Q1 2026 |
| 335 | EHC | ENCOMPASS HEALTH CORP | $331.4M | 3.3M shares | 0.1% | before Q1 2026 |
| 336 | CACI | CACI INTERNATIONAL INC -CL A | $329.6M | 711.6K shares | 0.1% | before Q1 2026 |
| 337 | LOAR | LOAR HOLDINGS INC | $327.5M | 4.1M shares | 0.1% | before Q1 2026 |
| 338 | UPS | UNITED PARCEL SERVICE-CL B | $327.5M | 3M shares | 0.1% | before Q1 2026 |
| 339 | DAL | DELTA AIR LINES INC | $326.9M | 3.5M shares | 0.1% | before Q1 2026 |
| 340 | HUBG | HUB GROUP INC-CL A | $326.1M | 7.4M shares | 0.1% | before Q1 2026 |
| 341 | FIVE | FIVE BELOW | $325.7M | 1.8M shares | 0.1% | before Q1 2026 |
| 342 | CUBI | CUSTOMERS BANCORP INC | $319.2M | 4M shares | 0.1% | before Q1 2026 |
| 343 | ILMN | ILLUMINA INC | $318.8M | 1.8M shares | 0.1% | before Q1 2026 |
| 344 | HAPN | HAPPEN INC | $317M | 15.3M shares | 0.1% | before Q1 2026 |
| 345 | DNTH | DIANTHUS THERAPEUTICS INC | $314.8M | 3.2M shares | 0.1% | before Q1 2026 |
| 346 | CRS | CARPENTER TECHNOLOGY | $312.2M | 506.2K shares | 0.1% | before Q1 2026 |
| 347 | BLDR | BUILDERS FIRSTSOURCE INC | $310.1M | 3.5M shares | 0.1% | before Q1 2026 |
| 348 | MAS | MASCO CORP | $308.4M | 3.8M shares | 0.1% | before Q1 2026 |
| 349 | CPAY | CORPAY INC | $306.8M | 920.5K shares | 0.1% | before Q1 2026 |
| 350 | HUM | HUMANA INC | $304M | 765.4K shares | 0.1% | before Q1 2026 |
| 351 | POWI | POWER INTEGRATIONS INC | $301.2M | 3.6M shares | 0.1% | before Q1 2026 |
| 352 | STT | STATE STREET CORP | $299.7M | 1.8M shares | 0.1% | before Q1 2026 |
| 353 | B | BARRICK MINING CORP | $299M | 8.1M shares | 0.1% | before Q1 2026 |
| 354 | TXRH | TEXAS ROADHOUSE INC | $297.9M | 1.5M shares | 0.1% | before Q1 2026 |
| 355 | VLY | VALLEY NATIONAL BANCORP | $294.3M | 20.1M shares | 0.1% | before Q1 2026 |
| 356 | AJG | ARTHUR J GALLAGHER & CO | $294.2M | 1.3M shares | 0.1% | before Q1 2026 |
| 357 | BHP | BHP GROUP LTD-SPON ADR | $293.6M | 3.5M shares | 0.1% | before Q1 2026 |
| 358 | CRL | CHARLES RIVER LABORATORIES | $292.2M | 1.3M shares | 0.1% | before Q1 2026 |
| 359 | CASY | CASEY'S GENERAL STORES INC | $290.8M | 365.8K shares | 0.1% | before Q1 2026 |
| 360 | MOH | MOLINA HEALTHCARE INC | $289.8M | 1.3M shares | 0.1% | before Q1 2026 |
| 361 | ORLY | O'REILLY AUTOMOTIVE INC | $289M | 3.1M shares | 0.1% | before Q1 2026 |
| 362 | MET | METLIFE INC | $288.1M | 3.4M shares | 0.1% | before Q1 2026 |
| 363 | BJ | BJ'S WHOLESALE CLUB HOLDINGS | $286.3M | 3.3M shares | 0.0% | before Q1 2026 |
| 364 | GRAB | GRAB HOLDINGS LTD - CL A | $285.4M | 75.7M shares | 0.0% | before Q1 2026 |
| 365 | RTX | RTX CORP | $284.8M | 1.5M shares | 0.0% | before Q1 2026 |
| 366 | MSCI | MSCI INC | $284.1M | 507.3K shares | 0.0% | before Q1 2026 |
| 367 | SKY | CHAMPION HOMES INC | $283.2M | 3.2M shares | 0.0% | before Q1 2026 |
| 368 | MBX | MBX BIOSCIENCES INC | $274.8M | 5M shares | 0.0% | before Q1 2026 |
| 369 | MICC | MAGNUM ICE CREAM CO NV/THE | $272.2M | 15.6M shares | 0.0% | before Q1 2026 |
| 370 | RDDT | REDDIT INC-CL A | $271.6M | 1.6M shares | 0.0% | before Q1 2026 |
| 371 | CALY | CALLAWAY GOLF COMPANY | $268.4M | 14.3M shares | 0.0% | before Q1 2026 |
| 372 | CRNX | CRINETICS PHARMACEUTICALS IN | $266.8M | 7.1M shares | 0.0% | before Q1 2026 |
| 373 | HDB | HDFC BANK LTD-ADR | $264.8M | 10.3M shares | 0.0% | before Q1 2026 |
| 374 | BUD | ANHEUSER-BUSCH INBEV-SPN ADR | $262.9M | 3.2M shares | 0.0% | before Q1 2026 |
| 375 | CTAS | CINTAS CORP | $262.4M | 1.5M shares | 0.0% | before Q1 2026 |
| 376 | ABCB | AMERIS BANCORP | $261.1M | 2.9M shares | 0.0% | before Q1 2026 |
| 377 | TEVA | TEVA PHARMACEUTICAL-SP ADR | $259.9M | 7.7M shares | 0.0% | before Q1 2026 |
| 378 | RYAAY | RYANAIR HOLDINGS PLC-SP ADR | $259.5M | 4M shares | 0.0% | before Q1 2026 |
| 379 | IEX | IDEX CORP | $258.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 380 | LTH | LIFE TIME GROUP HOLDINGS INC | $257.6M | 6.3M shares | 0.0% | before Q1 2026 |
| 381 | MOD | MODINE MANUFACTURING CO | $256.7M | 961.2K shares | 0.0% | before Q1 2026 |
| 382 | BBD | BANCO BRADESCO-ADR | $255M | 73.5M shares | 0.0% | before Q1 2026 |
| 383 | DNOW | DNOW INC | $253.1M | 19.5M shares | 0.0% | before Q1 2026 |
| 384 | IVV | ISHARES CORE S&P 500 ETF | $250.4M | 334.3K shares | 0.0% | before Q1 2026 |
| 385 | COO | COOPER COS INC/THE | $248.8M | 3.5M shares | 0.0% | before Q1 2026 |
| 386 | AYI | ACUITY INC | $247.9M | 658.2K shares | 0.0% | before Q1 2026 |
| 387 | OPCH | OPTION CARE HEALTH INC | $247.1M | 11.8M shares | 0.0% | before Q1 2026 |
| 388 | TSN | TYSON FOODS INC-CL A | $246.5M | 4.3M shares | 0.0% | before Q1 2026 |
| 389 | CNK | CINEMARK HOLDINGS INC | $246.1M | 7.8M shares | 0.0% | before Q1 2026 |
| 390 | RNST | RENASANT CORP | $245.9M | 5.8M shares | 0.0% | before Q1 2026 |
| 391 | TEX | TEREX CORP | $241.6M | 3.3M shares | 0.0% | before Q1 2026 |
| 392 | PSN | PARSONS CORP | $241M | 4.6M shares | 0.0% | before Q1 2026 |
| 393 | UMBF | UMB FINANCIAL CORP | $240.9M | 1.7M shares | 0.0% | before Q1 2026 |
| 394 | LH | LABCORP HOLDINGS INC | $239.6M | 855.6K shares | 0.0% | before Q1 2026 |
| 395 | OTIS | OTIS WORLDWIDE CORP | $238.9M | 3.3M shares | 0.0% | before Q1 2026 |
| 396 | VB | VANGUARD SMALL-CAP ETF | $238.7M | 787.4K shares | 0.0% | before Q1 2026 |
| 397 | MORN | MORNINGSTAR INC | $232.9M | 1.5M shares | 0.0% | before Q1 2026 |
| 398 | HTFL | HEARTFLOW INC | $230.7M | 7.9M shares | 0.0% | before Q1 2026 |
| 399 | EOG | EOG RESOURCES INC | $230.3M | 1.8M shares | 0.0% | before Q1 2026 |
| 400 | CHEF | CHEFS' WAREHOUSE INC/THE | $229.8M | 2.4M shares | 0.0% | before Q1 2026 |
| 401 | AMCR | AMCOR PLC | $228.9M | 5.3M shares | 0.0% | before Q1 2026 |
| 402 | R | RYDER SYSTEM INC | $228.8M | 867.3K shares | 0.0% | before Q1 2026 |
| 403 | BMY | BRISTOL-MYERS SQUIBB CO | $225.5M | 3.9M shares | 0.0% | before Q1 2026 |
| 404 | RCL | ROYAL CARIBBEAN CRUISES LTD | $222.9M | 701.9K shares | 0.0% | before Q1 2026 |
| 405 | VST | Vistra Corp | $222.2M | 1.4M shares | 0.0% | before Q1 2026 |
| 406 | BROS | DUTCH BROS INC-CLASS A | $222M | 3.1M shares | 0.0% | before Q1 2026 |
| 407 | SLF | SUN LIFE FINANCIAL INC | $220.6M | 2.8M shares | 0.0% | before Q1 2026 |
| 408 | CBT | CABOT CORP | $219.5M | 2.4M shares | 0.0% | before Q1 2026 |
| 409 | UDR | UDR INC | $217.7M | 5.5M shares | 0.0% | before Q1 2026 |
| 410 | FWONK | LIBERTY MEDIA CORP-FORMULA-C | $216.8M | 2.3M shares | 0.0% | before Q1 2026 |
| 411 | STEP | STEPSTONE GROUP INC-CLASS A | $214.7M | 5.2M shares | 0.0% | before Q1 2026 |
| 412 | NYT | NEW YORK TIMES CO-A | $214.3M | 3.1M shares | 0.0% | before Q1 2026 |
| 413 | AIT | APPLIED INDUSTRIAL TECH INC | $213.6M | 631.6K shares | 0.0% | before Q1 2026 |
| 414 | EVR | EVERCORE INC - A | $213.4M | 625K shares | 0.0% | before Q1 2026 |
| 415 | CCJ | CAMECO CORP | $212.9M | 2.1M shares | 0.0% | before Q1 2026 |
| 416 | KEY | KEYCORP | $212.4M | 9.2M shares | 0.0% | before Q1 2026 |
| 417 | FFIV | F5 Inc | $210.8M | 506.9K shares | 0.0% | before Q1 2026 |
| 418 | YETI | YETI HOLDINGS INC | $209.7M | 4.2M shares | 0.0% | before Q1 2026 |
| 419 | W | WAYFAIR INC- CLASS A | $208.8M | 2.3M shares | 0.0% | before Q1 2026 |
| 420 | SYY | SYSCO CORP | $208.7M | 2.5M shares | 0.0% | before Q1 2026 |
| 421 | FIX | COMFORT SYSTEMS USA INC | $208.1M | 105K shares | 0.0% | before Q1 2026 |
| 422 | HWM | HOWMET AEROSPACE INC | $207.8M | 773K shares | 0.0% | before Q1 2026 |
| 423 | NVR | NVR INC | $207.3M | 30.4K shares | 0.0% | before Q1 2026 |
| 424 | BURL | BURLINGTON STORES INC | $206.1M | 650.5K shares | 0.0% | before Q1 2026 |
| 425 | RBA | RB GLOBAL INC | $201.8M | 1.7M shares | 0.0% | before Q1 2026 |
| 426 | AZO | AUTOZONE INC | $201M | 62.9K shares | 0.0% | before Q1 2026 |
| 427 | IEFA | ISHARES CORE MSCI EAFE ETF | $200.6M | 2.1M shares | 0.0% | before Q1 2026 |
| 428 | JBHT | HUNT (JB) TRANSPRT SVCS INC | $200.2M | 691.6K shares | 0.0% | before Q1 2026 |
| 429 | MKL | MARKEL GROUP INC | $200M | 102.4K shares | 0.0% | before Q1 2026 |
| 430 | EXPE | EXPEDIA GROUP INC | $199.6M | 780.1K shares | 0.0% | before Q1 2026 |
| 431 | PSX | PHILLIPS 66 | $199.3M | 1.2M shares | 0.0% | before Q1 2026 |
| 432 | MTDR | MATADOR RESOURCES CO | $198.9M | 4M shares | 0.0% | before Q1 2026 |
| 433 | OKTA | OKTA INC | $198.8M | 1.5M shares | 0.0% | before Q1 2026 |
| 434 | HG | HAMILTON INSURANCE GROU-CL B | $196.1M | 5.8M shares | 0.0% | before Q1 2026 |
| 435 | SNX | TD SYNNEX CORP | $194.3M | 726.6K shares | 0.0% | before Q1 2026 |
| 436 | NI | NISOURCE INC | $194M | 4.1M shares | 0.0% | before Q1 2026 |
| 437 | EFSC | ENTERPRISE FINANCIAL SERVICE | $191.7M | 2.9M shares | 0.0% | before Q1 2026 |
| 438 | RL | RALPH LAUREN CORP | $191.3M | 476.5K shares | 0.0% | before Q1 2026 |
| 439 | CX | CEMEX SAB-SPONS ADR PART CER | $188.6M | 15.7M shares | 0.0% | before Q1 2026 |
| 440 | COST | COSTCO WHOLESALE CORP | $184.8M | 197.6K shares | 0.0% | before Q1 2026 |
| 441 | VVV | VALVOLINE INC | $184.1M | 4.7M shares | 0.0% | before Q1 2026 |
| 442 | MEOH | METHANEX CORP | $183.2M | 4M shares | 0.0% | before Q1 2026 |
| 443 | KGS | KODIAK GAS SERVICES INC | $182.7M | 2.4M shares | 0.0% | before Q1 2026 |
| 444 | RCUS | ARCUS BIOSCIENCES INC | $181.8M | 5.9M shares | 0.0% | before Q1 2026 |
| 445 | IMCR | IMMUNOCORE HOLDINGS PLC-ADR | $181.7M | 5.7M shares | 0.0% | before Q1 2026 |
| 446 | VIAV | VIAVI SOLUTIONS INC | $181.5M | 3.8M shares | 0.0% | before Q1 2026 |
| 447 | VLO | VALERO ENERGY CORP | $181M | 695K shares | 0.0% | before Q1 2026 |
| 448 | CPNG | COUPANG INC | $180.7M | 10.4M shares | 0.0% | before Q1 2026 |
| 449 | SF | STIFEL FINANCIAL CORP | $179M | 2.6M shares | 0.0% | before Q1 2026 |
| 450 | SITM | SITIME CORP | $176M | 236.1K shares | 0.0% | before Q1 2026 |
| 451 | MRNA | MODERNA INC | $172.4M | 2.5M shares | 0.0% | before Q1 2026 |
| 452 | TECK | TECK RESOURCES LTD-CLS B | $172.3M | 2.9M shares | 0.0% | before Q1 2026 |
| 453 | BDC | BELDEN INC | $171.6M | 1.4M shares | 0.0% | before Q1 2026 |
| 454 | NTRS | NORTHERN TRUST CORP | $170.5M | 980.6K shares | 0.0% | before Q1 2026 |
| 455 | ACHC | ACADIA HEALTHCARE CO INC | $169.1M | 5.7M shares | 0.0% | before Q1 2026 |
| 456 | EQPT | EQUIPMENTSHARE.COM INC-A | $168.2M | 8.6M shares | 0.0% | before Q1 2026 |
| 457 | EG | EVEREST GROUP LTD | $168.1M | 470.6K shares | 0.0% | before Q1 2026 |
| 458 | COGT | COGENT BIOSCIENCES INC | $168.1M | 4.3M shares | 0.0% | before Q1 2026 |
| 459 | KFY | KORN FERRY | $167.7M | 2.5M shares | 0.0% | before Q1 2026 |
| 460 | FRPT | FRESHPET INC | $167.3M | 2.8M shares | 0.0% | before Q1 2026 |
| 461 | PECO | PHILLIPS EDISON & COMPANY IN | $167M | 4M shares | 0.0% | before Q1 2026 |
| 462 | AVB | AVALONBAY COMMUNITIES INC | $166.8M | 883.9K shares | 0.0% | before Q1 2026 |
| 463 | CACC | CREDIT ACCEPTANCE CORP | $165.6M | 260.1K shares | 0.0% | before Q1 2026 |
| 464 | LFUS | LITTELFUSE INC | $165.4M | 363.2K shares | 0.0% | before Q1 2026 |
| 465 | BPOP | POPULAR INC | $164.9M | 1M shares | 0.0% | before Q1 2026 |
| 466 | ITT | ITT INC | $163.2M | 825.1K shares | 0.0% | before Q1 2026 |
| 467 | AXSM | AXSOME THERAPEUTICS INC | $160.1M | 653.9K shares | 0.0% | before Q1 2026 |
| 468 | MYRG | MYR GROUP INC/DELAWARE | $159.3M | 318.3K shares | 0.0% | before Q1 2026 |
| 469 | EPRT | ESSENTIAL PROPERTIES REALTY | $159.3M | 5.3M shares | 0.0% | before Q1 2026 |
| 470 | FSUN | FIRSTSUN CAPITAL BANCORP | $158.9M | 4.1M shares | 0.0% | before Q1 2026 |
| 471 | WSE | Wise Group Plc (US) | $158.3M | 13.2M shares | 0.0% | Q2 2026 |
| 472 | HOPE | HOPE BANCORP INC | $156.5M | 11.4M shares | 0.0% | before Q1 2026 |
| 473 | KEX | KIRBY CORP | $156.4M | 1.2M shares | 0.0% | before Q1 2026 |
| 474 | AU | ANGLOGOLD ASHANTI PLC | $156.2M | 1.9M shares | 0.0% | before Q1 2026 |
| 475 | PNW | PINNACLE WEST CAPITAL | $155.9M | 1.5M shares | 0.0% | before Q1 2026 |
| 476 | BKD | BROOKDALE SENIOR LIVING INC | $155M | 9.6M shares | 0.0% | before Q1 2026 |
| 477 | MIRM | MIRUM PHARMACEUTICALS INC | $153.4M | 1.3M shares | 0.0% | before Q1 2026 |
| 478 | SSB | SOUTHSTATE BANK CORP | $151.9M | 1.5M shares | 0.0% | before Q1 2026 |
| 479 | EXPD | EXPEDITORS INTL WASH INC | $151.8M | 931.4K shares | 0.0% | before Q1 2026 |
| 480 | MMYT | MAKEMYTRIP LTD | $149.6M | 2.8M shares | 0.0% | before Q1 2026 |
| 481 | SFNC | SIMMONS FIRST NATL CORP-CL A | $149.3M | 6.6M shares | 0.0% | before Q1 2026 |
| 482 | SBCF | SEACOAST BANKING CORP/FL | $149M | 4.5M shares | 0.0% | before Q1 2026 |
| 483 | INDA | ISHARES MSCI INDIA ETF | $147.9M | 3M shares | 0.0% | before Q1 2026 |
| 484 | ALKS | ALKERMES PLC | $147.5M | 2.8M shares | 0.0% | before Q1 2026 |
| 485 | CVE | CENOVUS ENERGY INC | $147.2M | 5.9M shares | 0.0% | before Q1 2026 |
| 486 | RUSHA | RUSH ENTERPRISES INC-CL A | $146.9M | 2M shares | 0.0% | before Q1 2026 |
| 487 | EYE | NATIONAL VISION HOLDINGS INC | $145.8M | 7.7M shares | 0.0% | before Q1 2026 |
| 488 | PATK | PATRICK INDUSTRIES INC | $145.8M | 1.6M shares | 0.0% | before Q1 2026 |
| 489 | FIBK | FIRST INTERSTATE BANCSYS-A | $145.3M | 3.8M shares | 0.0% | before Q1 2026 |
| 490 | AMRZ | AMRIZE LTD | $143.7M | 2.7M shares | 0.0% | before Q1 2026 |
| 491 | BUSE | FIRST BUSEY CORP | $143.5M | 4.9M shares | 0.0% | before Q1 2026 |
| 492 | LIVN | LIVANOVA PLC | $143M | 1.7M shares | 0.0% | before Q1 2026 |
| 493 | WT | WISDOMTREE INC | $142.4M | 8.4M shares | 0.0% | before Q1 2026 |
| 494 | RKT | ROCKET COS INC-CLASS A | $142.2M | 9M shares | 0.0% | before Q1 2026 |
| 495 | BCC | BOISE CASCADE CO | $141.7M | 1.8M shares | 0.0% | before Q1 2026 |
| 496 | SYRE | SPYRE THERAPEUTICS INC | $140.4M | 1.6M shares | 0.0% | before Q1 2026 |
| 497 | PCOR | PROCORE TECHNOLOGIES INC | $140.2M | 3.5M shares | 0.0% | before Q1 2026 |
| 498 | TPR | TAPESTRY INC | $139.9M | 955.4K shares | 0.0% | before Q1 2026 |
| 499 | KNX | KNIGHT-SWIFT TRANSPORTATION | $139.7M | 1.8M shares | 0.0% | before Q1 2026 |
| 500 | DXPE | DXP ENTERPRISES INC | $139.3M | 825.3K shares | 0.0% | before Q1 2026 |
| 501 | DFTX | DEFINIUM THERAPEUTICS INC | $138.8M | 2.9M shares | 0.0% | before Q1 2026 |
| 502 | DCOM | DIME COMMERCIAL BANCSHARES I | $138.5M | 3.4M shares | 0.0% | before Q1 2026 |
| 503 | AMTB | AMERANT BANCORP INC | $137.6M | 5.4M shares | 0.0% | before Q1 2026 |
| 504 | TS | TENARIS SA-ADR | $136.4M | 2.5M shares | 0.0% | before Q1 2026 |
| 505 | GL | GLOBE LIFE INC | $136.1M | 761.8K shares | 0.0% | before Q1 2026 |
| 506 | SGI | SOMNIGROUP INTERNATIONAL INC | $135.7M | 1.7M shares | 0.0% | before Q1 2026 |
| 507 | TTEK | TETRA TECH INC | $135M | 4.7M shares | 0.0% | before Q1 2026 |
| 508 | RACE | FERRARI NV | $134.5M | 362.8K shares | 0.0% | before Q1 2026 |
| 509 | WHD | CACTUS INC - A | $134M | 2.6M shares | 0.0% | before Q1 2026 |
| 510 | VCYT | VERACYTE INC | $133.6M | 2.3M shares | 0.0% | before Q1 2026 |
| 511 | WMS | ADVANCED DRAINAGE SYSTEMS IN | $131.9M | 840.5K shares | 0.0% | before Q1 2026 |
| 512 | HBM | HUDBAY MINERALS INC | $130.6M | 5.5M shares | 0.0% | before Q1 2026 |
| 513 | MIDD | MIDDLEBY CORP | $130M | 755.8K shares | 0.0% | before Q1 2026 |
| 514 | FRVO | FERVO ENERGY CO | $129.6M | 4.4M shares | 0.0% | Q2 2026 |
| 515 | AMT | AMERICAN TOWER CORP | $129.6M | 792.3K shares | 0.0% | before Q1 2026 |
| 516 | BEKE | KE HOLDINGS INC-ADR | $129.5M | 8.9M shares | 0.0% | before Q1 2026 |
| 517 | BILL | BILL HOLDINGS INC | $128.8M | 3.6M shares | 0.0% | before Q1 2026 |
| 518 | XMTR | XOMETRY INC-A | $127.7M | 1.3M shares | 0.0% | before Q1 2026 |
| 519 | IRON | DISC MEDICINE INC | $127.4M | 1.7M shares | 0.0% | before Q1 2026 |
| 520 | BOOT | BOOT BARN HOLDINGS INC | $127.1M | 773.7K shares | 0.0% | before Q1 2026 |
| 521 | EE | EXCELERATE ENERGY INC-A | $126.9M | 3.3M shares | 0.0% | before Q1 2026 |
| 522 | ADPT | ADAPTIVE BIOTECHNOLOGIES | $126.8M | 5.9M shares | 0.0% | before Q1 2026 |
| 523 | VEEV | VEEVA SYSTEMS INC-CLASS A | $126.7M | 714.1K shares | 0.0% | before Q1 2026 |
| 524 | EBC | EASTERN BANKSHARES INC | $126.3M | 5.7M shares | 0.0% | before Q1 2026 |
| 525 | GD | GENERAL DYNAMICS CORP | $126.2M | 356.3K shares | 0.0% | before Q1 2026 |
| 526 | OKE | ONEOK INC | $126.2M | 1.5M shares | 0.0% | before Q1 2026 |
| 527 | CAVA | CAVA GROUP INC | $126M | 1.6M shares | 0.0% | before Q1 2026 |
| 528 | SARO | STANDARDAERO INC | $125.9M | 4.2M shares | 0.0% | before Q1 2026 |
| 529 | CWST | CASELLA WASTE SYSTEMS INC-A | $125.3M | 1.3M shares | 0.0% | before Q1 2026 |
| 530 | BANC | BANC OF CALIFORNIA INC | $125.1M | 6.1M shares | 0.0% | before Q1 2026 |
| 531 | HLI | HOULIHAN LOKEY INC | $124.7M | 929.8K shares | 0.0% | before Q1 2026 |
| 532 | ICHR | ICHOR HOLDINGS LTD | $124.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 533 | VSH | VISHAY INTERTECHNOLOGY INC | $124.4M | 2.3M shares | 0.0% | before Q1 2026 |
| 534 | COCO | VITA COCO CO INC/THE | $122M | 1.8M shares | 0.0% | before Q1 2026 |
| 535 | HTO | H2O AMERICA | $121.3M | 2M shares | 0.0% | before Q1 2026 |
| 536 | IR | INGERSOLL-RAND INC | $120.7M | 1.5M shares | 0.0% | before Q1 2026 |
| 537 | GATX | GATX CORP | $120.4M | 679.7K shares | 0.0% | before Q1 2026 |
| 538 | ROL | ROLLINS INC | $119.7M | 2.9M shares | 0.0% | before Q1 2026 |
| 539 | RKLB UQ | ROCKET LAB | $119.3M | 1.2M shares | 0.0% | Q2 2026 |
| 540 | MAC | MACERICH CO/THE | $117.8M | 4.7M shares | 0.0% | before Q1 2026 |
| 541 | PFGC | PERFORMANCE FOOD GROUP CO | $116.2M | 1M shares | 0.0% | before Q1 2026 |
| 542 | OUT | OUTFRONT MEDIA INC | $116.1M | 3.5M shares | 0.0% | before Q1 2026 |
| 543 | AR | ANTERO RESOURCES CORP | $115.8M | 3.3M shares | 0.0% | before Q1 2026 |
| 544 | ACGL | ARCH CAPITAL GROUP LTD | $115.5M | 1.2M shares | 0.0% | before Q1 2026 |
| 545 | HWC | HANCOCK WHITNEY CORP | $115.3M | 1.5M shares | 0.0% | before Q1 2026 |
| 546 | STOK | STOKE THERAPEUTICS INC | $115.2M | 3.5M shares | 0.0% | before Q1 2026 |
| 547 | CPK | CHESAPEAKE UTILITIES CORP | $115.1M | 939.8K shares | 0.0% | before Q1 2026 |
| 548 | MGNI | MAGNITE INC | $114.7M | 6M shares | 0.0% | before Q1 2026 |
| 549 | LION | LIONSGATE STUDIOS CORP | $113.7M | 7.4M shares | 0.0% | Q2 2026 |
| 550 | LNTH | LANTHEUS HOLDINGS INC | $112.4M | 1M shares | 0.0% | before Q1 2026 |
| 551 | KTOS | KRATOS DEFENSE & SECURITY | $112.2M | 2.3M shares | 0.0% | before Q1 2026 |
| 552 | OMCL | OMNICELL INC | $112.1M | 2.7M shares | 0.0% | before Q1 2026 |
| 553 | AVNT | AVIENT CORP | $111.4M | 3M shares | 0.0% | before Q1 2026 |
| 554 | APO | APOLLO GLOBAL MANAGEMENT INC | $111.1M | 938.8K shares | 0.0% | before Q1 2026 |
| 555 | TTWO | TAKE-TWO INTERACTIVE SOFTWRE | $111M | 444K shares | 0.0% | before Q1 2026 |
| 556 | CARG | CARGURUS INC | $111M | 3.3M shares | 0.0% | before Q1 2026 |
| 557 | IMNM | IMMUNOME INC | $110.4M | 5.2M shares | 0.0% | before Q1 2026 |
| 558 | RITM | RITHM CAPITAL CORP | $109.1M | 11.6M shares | 0.0% | before Q1 2026 |
| 559 | KWR | QUAKER CHEMICAL CORPORATION | $108M | 679.6K shares | 0.0% | before Q1 2026 |
| 560 | ODFL | OLD DOMINION FREIGHT LINE | $107.1M | 494.7K shares | 0.0% | before Q1 2026 |
| 561 | CPRT | COPART INC | $107.1M | 3.8M shares | 0.0% | before Q1 2026 |
| 562 | YUMC | YUM CHINA HOLDINGS INC | $106.5M | 2.6M shares | 0.0% | before Q1 2026 |
| 563 | INSP | INSPIRE MEDICAL SYSTEMS INC | $106.3M | 2.4M shares | 0.0% | before Q1 2026 |
| 564 | TRVI | TREVI THERAPEUTICS INC | $106M | 5.7M shares | 0.0% | before Q1 2026 |
| 565 | FAF | FIRST AMERICAN FINANCIAL | $104.6M | 1.5M shares | 0.0% | before Q1 2026 |
| 566 | PCG | P G & E CORP | $103.1M | 6.1M shares | 0.0% | before Q1 2026 |
| 567 | AFRM | AFFIRM HOLDINGS INC | $101.4M | 1.2M shares | 0.0% | before Q1 2026 |
| 568 | MCB | METROPOLITAN BANK HOLDING CO | $101M | 1M shares | 0.0% | before Q1 2026 |
| 569 | PKG | PACKAGING CORP OF AMERICA | $100.7M | 422.6K shares | 0.0% | before Q1 2026 |
| 570 | BKNG | BOOKING HOLDINGS INC | $100.6M | 564.3K shares | 0.0% | before Q1 2026 |
| 571 | HNGE | HINGE HEALTH INC-A | $100.1M | 1.2M shares | 0.0% | before Q1 2026 |
| 572 | CVSA | COVISTA INC | $100M | 802.1K shares | 0.0% | before Q1 2026 |
| 573 | GT | GOODYEAR TIRE & RUBBER CO | $99.7M | 15.1M shares | 0.0% | before Q1 2026 |
| 574 | MPWR | MONOLITHIC POWER SYSTEMS INC | $99.5M | 72K shares | 0.0% | before Q1 2026 |
| 575 | CRBG | COREBRIDGE FINANCIAL INC | $99.5M | 3.5M shares | 0.0% | before Q1 2026 |
| 576 | SMMD | ISHARES TR | $99.4M | 1.1M shares | 0.0% | Q2 2026 |
| 577 | TDW | TIDEWATER INC | $98.3M | 1.5M shares | 0.0% | before Q1 2026 |
| 578 | AKR | ACADIA REALTY TRUST | $97.8M | 4.7M shares | 0.0% | before Q1 2026 |
| 579 | ATRC | ATRICURE INC | $97.8M | 3.5M shares | 0.0% | before Q1 2026 |
| 580 | CFG | CITIZENS FINANCIAL GROUP | $97.7M | 1.4M shares | 0.0% | before Q1 2026 |
| 581 | ONON | ON HOLDING AG-CLASS A | $97.5M | 2.8M shares | 0.0% | before Q1 2026 |
| 582 | CRUS | CIRRUS LOGIC INC | $96.9M | 652.2K shares | 0.0% | before Q1 2026 |
| 583 | TSEM | TOWER SEMICONDUCTOR LTD | $96.9M | 372.4K shares | 0.0% | before Q1 2026 |
| 584 | DKNG UW | DRAFTKINGS INC-CL A | $96.8M | 3.8M shares | 0.0% | Q2 2026 |
| 585 | ESS | ESSEX PROPERTY TRUST INC | $96.3M | 330.3K shares | 0.0% | before Q1 2026 |
| 586 | RVTY | REVVITY INC | $96.3M | 865.6K shares | 0.0% | before Q1 2026 |
| 587 | GWRE | GUIDEWIRE SOFTWARE INC | $95.5M | 776.4K shares | 0.0% | before Q1 2026 |
| 588 | ALV | AUTOLIV INC | $95.4M | 821.6K shares | 0.0% | before Q1 2026 |
| 589 | ROIV | ROIVANT SCIENCES LTD | $95.1M | 2.7M shares | 0.0% | before Q1 2026 |
| 590 | GFL | GFL ENVIRONMENTAL INC-SUB VT | $95.1M | 2.6M shares | 0.0% | before Q1 2026 |
| 591 | MRCY | MERCURY SYSTEMS INC | $94.9M | 775.5K shares | 0.0% | before Q1 2026 |
| 592 | CELC | CELCUITY INC | $94.8M | 906.6K shares | 0.0% | before Q1 2026 |
| 593 | DSGX | DESCARTES SYSTEMS GRP/THE | $94.4M | 1.4M shares | 0.0% | before Q1 2026 |
| 594 | WTFC | WINTRUST FINANCIAL CORP | $94M | 584.9K shares | 0.0% | before Q1 2026 |
| 595 | FLYW | FLYWIRE CORP-VOTING | $93.8M | 5.3M shares | 0.0% | before Q1 2026 |
| 596 | GH | GUARDANT HEALTH INC | $93.2M | 621.5K shares | 0.0% | before Q1 2026 |
| 597 | AMRC | AMERESCO INC-CL A | $93.1M | 3.4M shares | 0.0% | before Q1 2026 |
| 598 | AIZ | ASSURANT INC | $92.7M | 345.2K shares | 0.0% | before Q1 2026 |
| 599 | QNT | QUANTINUUM INC | $92.4M | 1.1M shares | 0.0% | Q2 2026 |
| 600 | AER | AERCAP HOLDINGS NV | $92.2M | 632.6K shares | 0.0% | before Q1 2026 |
| 601 | PNC | PNC FINANCIAL SERVICES GROUP | $91.8M | 373K shares | 0.0% | before Q1 2026 |
| 602 | NRG | NRG ENERGY INC | $91.8M | 628.5K shares | 0.0% | before Q1 2026 |
| 603 | WPC | WP CAREY INC | $90.1M | 1.3M shares | 0.0% | before Q1 2026 |
| 604 | CNOB | CONNECTONE BANCORP INC | $90M | 2.7M shares | 0.0% | before Q1 2026 |
| 605 | EME | EMCOR GROUP INC | $88.1M | 106.2K shares | 0.0% | before Q1 2026 |
| 606 | SCZ | ISHARES MSCI EAFE SMALL-CAP | $88.1M | 1.1M shares | 0.0% | before Q1 2026 |
| 607 | TVTX | TRAVERE THERAPEUTICS INC | $87.1M | 1.5M shares | 0.0% | before Q1 2026 |
| 608 | BKLN | INVESCO SENIOR LOAN ETF | $86.7M | 4.3M shares | 0.0% | before Q1 2026 |
| 609 | XENE | XENON PHARMACEUTICALS INC | $86M | 1.4M shares | 0.0% | before Q1 2026 |
| 610 | LAUR | LAUREATE EDUCATION INC | $86M | 2.4M shares | 0.0% | before Q1 2026 |
| 611 | RBLX | ROBLOX CORP -CLASS A | $85M | 1.6M shares | 0.0% | Q2 2026 |
| 612 | AMPL | AMPLITUDE INC-CLASS A | $84.8M | 11.1M shares | 0.0% | before Q1 2026 |
| 613 | FSLR | FIRST SOLAR INC | $84.4M | 357.7K shares | 0.0% | before Q1 2026 |
| 614 | BXDC | BLACKSTONE DIGIT | $83.4M | 3.9M shares | 0.0% | Q2 2026 |
| 615 | ESE | ESCO TECHNOLOGIES INC | $83.3M | 238K shares | 0.0% | before Q1 2026 |
| 616 | XHR | XENIA HOTELS & RESORTS INC | $83.1M | 4.1M shares | 0.0% | before Q1 2026 |
| 617 | OVV | OVINTIV INC | $83M | 1.6M shares | 0.0% | before Q1 2026 |
| 618 | PWP | PERELLA WEINBERG PARTNERS | $82.8M | 5.2M shares | 0.0% | before Q1 2026 |
| 619 | PHVS | PHARVARIS NV | $82.7M | 2.4M shares | 0.0% | before Q1 2026 |
| 620 | CCNE | CNB FINANCIAL CORP/PA | $81.7M | 2.4M shares | 0.0% | before Q1 2026 |
| 621 | SANM | SANMINA CORP | $81.2M | 320.7K shares | 0.0% | before Q1 2026 |
| 622 | MPB | MID PENN BANCORP INC | $80.4M | 2.3M shares | 0.0% | before Q1 2026 |
| 623 | OCFC | OCEANFIRST FINANCIAL CORP | $80.3M | 4.1M shares | 0.0% | before Q1 2026 |
| 624 | NGVT | INGEVITY CORP | $80.3M | 1.1M shares | 0.0% | before Q1 2026 |
| 625 | SPNT | SIRIUSPOINT LTD | $80.2M | 3.3M shares | 0.0% | before Q1 2026 |
| 626 | HLIO | HELIOS TECHNOLOGIES INC | $79.2M | 887.4K shares | 0.0% | before Q1 2026 |
| 627 | DAVE | DAVE INC | $79.1M | 212.2K shares | 0.0% | before Q1 2026 |
| 628 | HOOD | ROBINHOOD MARKETS INC - A | $78.9M | 786.3K shares | 0.0% | before Q1 2026 |
| 629 | BLBD | BLUE BIRD CORP | $78.6M | 995.2K shares | 0.0% | before Q1 2026 |
| 630 | IBN | ICICI BANK LTD-SPON ADR | $78M | 2.7M shares | 0.0% | before Q1 2026 |
| 631 | TGB | TREKOR METALS LTD | $77.4M | 11.2M shares | 0.0% | Q2 2026 |
| 632 | SIGI | SELECTIVE INSURANCE GROUP | $77.1M | 795.3K shares | 0.0% | Q2 2026 |
| 633 | WTTR | SELECT WATER SOLUTIONS INC | $77M | 3.9M shares | 0.0% | before Q1 2026 |
| 634 | VC | VISTEON CORP | $76.7M | 772.6K shares | 0.0% | before Q1 2026 |
| 635 | OSW | ONESPAWORLD HOLDINGS LTD | $76.5M | 2.7M shares | 0.0% | before Q1 2026 |
| 636 | KVYO | KLAVIYO INC-A | $76.2M | 5M shares | 0.0% | before Q1 2026 |
| 637 | CCS | CENTURY COMMUNITIES INC | $75.3M | 1.1M shares | 0.0% | before Q1 2026 |
| 638 | PTC | PTC INC | $75.2M | 661.9K shares | 0.0% | before Q1 2026 |
| 639 | NAVN | NAVAN INC-CL A | $74.9M | 3.3M shares | 0.0% | before Q1 2026 |
| 640 | APGE | APOGEE THERAPEUTICS INC | $74.9M | 564.3K shares | 0.0% | before Q1 2026 |
| 641 | WWW | WOLVERINE WORLD WIDE INC | $74.9M | 4.5M shares | 0.0% | before Q1 2026 |
| 642 | NOVT | NOVANTA INC | $74.8M | 460.9K shares | 0.0% | before Q1 2026 |
| 643 | UNP | UNION PACIFIC CORP | $74.5M | 273.8K shares | 0.0% | before Q1 2026 |
| 644 | VOYG | VOYAGER TECHNOLOGIES INC-A | $74.4M | 2.3M shares | 0.0% | before Q1 2026 |
| 645 | TYL | TYLER TECHNOLOGIES INC | $74.4M | 254.4K shares | 0.0% | before Q1 2026 |
| 646 | CNH | CNH INDUSTRIAL NV | $74.1M | 6.6M shares | 0.0% | before Q1 2026 |
| 647 | CHH | CHOICE HOTELS INTL INC | $73.8M | 669.7K shares | 0.0% | before Q1 2026 |
| 648 | ATMU | ATMUS FILTRATION TECHNOLOGIE | $73.7M | 1.4M shares | 0.0% | before Q1 2026 |
| 649 | SWIM | LATHAM GROUP INC | $73.5M | 11.4M shares | 0.0% | before Q1 2026 |
| 650 | BN | BROOKFIELD CORP | $73.5M | 1.7M shares | 0.0% | before Q1 2026 |
| 651 | PFS | PROVIDENT FINANCIAL SERVICES | $73.3M | 3.1M shares | 0.0% | before Q1 2026 |
| 652 | ATEN | A10 NETWORKS INC | $73.2M | 2M shares | 0.0% | before Q1 2026 |
| 653 | GLBE | GLOBAL-E ONLINE LTD | $73M | 2.1M shares | 0.0% | before Q1 2026 |
| 654 | ZION | ZIONS BANCORP NA | $72.8M | 1.1M shares | 0.0% | before Q1 2026 |
| 655 | NU UN | NU HOLDINGS LTD/CAYMAN ISL-A | $72.6M | 5.4M shares | 0.0% | before Q1 2026 |
| 656 | AVLN | AVALYN PHARMACEUTICALS INC | $72.5M | 2.2M shares | 0.0% | Q2 2026 |
| 657 | GRDN | GUARDIAN PHRMCY SERVICES-A | $72.4M | 1.7M shares | 0.0% | before Q1 2026 |
| 658 | FN | FABRINET | $72.1M | 128.3K shares | 0.0% | before Q1 2026 |
| 659 | HEI/A | HEICO CORP-CLASS A | $72.1M | 279.6K shares | 0.0% | before Q1 2026 |
| 660 | IWN | ISHARES RUSSELL 2000 VALUE E | $72M | 325.5K shares | 0.0% | before Q1 2026 |
| 661 | VIG | VANGUARD DIVIDEND APPREC ETF | $71.8M | 303.6K shares | 0.0% | before Q1 2026 |
| 662 | CEG | Constellation Energy Corp | $71.7M | 288.6K shares | 0.0% | before Q1 2026 |
| 663 | BALL | BALL CORP | $71.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 664 | T | AT&T INC | $71.1M | 3.4M shares | 0.0% | before Q1 2026 |
| 665 | ESI | ELEMENT SOLUTIONS INC | $71.1M | 1.5M shares | 0.0% | before Q1 2026 |
| 666 | SBS | CIA SANEAMENTO BASICO DE-ADR | $71M | 12.3M shares | 0.0% | before Q1 2026 |
| 667 | UNFI | UNITED NATURAL FOODS INC | $70.5M | 1.5M shares | 0.0% | before Q1 2026 |
| 668 | TRMK | TRUSTMARK CORP | $70.4M | 1.5M shares | 0.0% | before Q1 2026 |
| 669 | NPB | NORTHPOINTE BANCSHARES INC | $70M | 3.7M shares | 0.0% | before Q1 2026 |
| 670 | FROG | JFROG LTD | $70M | 769.7K shares | 0.0% | Q2 2026 |
| 671 | MOG/A | MOOG INC-CLASS A | $69.8M | 164.6K shares | 0.0% | before Q1 2026 |
| 672 | REXR | REXFORD INDUSTRIAL REALTY IN | $69.8M | 2.1M shares | 0.0% | before Q1 2026 |
| 673 | ENSG | ENSIGN GROUP INC/THE | $69.6M | 434.3K shares | 0.0% | before Q1 2026 |
| 674 | EAT | BRINKER INTERNATIONAL INC | $69.5M | 413.5K shares | 0.0% | before Q1 2026 |
| 675 | CDW | CDW CORP/DE | $69.2M | 492.2K shares | 0.0% | before Q1 2026 |
| 676 | BAP | CREDICORP LTD | $68.9M | 176.8K shares | 0.0% | before Q1 2026 |
| 677 | SPY | SS SPDR S&P 500 ETF TRUST-US | $68.8M | 92.1K shares | 0.0% | before Q1 2026 |
| 678 | TOST | TOAST INC-CLASS A | $68.3M | 2.5M shares | 0.0% | before Q1 2026 |
| 679 | IE | IVANHOE ELECTRIC INC / US | $67.6M | 7M shares | 0.0% | before Q1 2026 |
| 680 | WH | WYNDHAM HOTELS & RESORTS INC | $67.2M | 797.8K shares | 0.0% | before Q1 2026 |
| 681 | INVH | INVITATION HOMES INC | $67M | 2.2M shares | 0.0% | Q2 2026 |
| 682 | WIX | WIX.COM LTD | $66.7M | 1.5M shares | 0.0% | before Q1 2026 |
| 683 | INVX | INNOVEX INTERNATIONAL INC | $66.7M | 2.7M shares | 0.0% | before Q1 2026 |
| 684 | CUSIP:842587ED5 | SOUTHERN CO | $66.3M | 65.4M shares | 0.0% | Q2 2026 |
| 685 | ELAN | ELANCO ANIMAL HEALTH INC | $65.9M | 2.7M shares | 0.0% | before Q1 2026 |
| 686 | KSPI | JSC KASPI.KZ ADR | $65.8M | 759.8K shares | 0.0% | before Q1 2026 |
| 687 | ALH | ALLIANCE LAUNDRY HOLDINGS IN | $65.5M | 2.5M shares | 0.0% | before Q1 2026 |
| 688 | AGM | FEDERAL AGRIC MTG CORP-CL C | $65.3M | 327.9K shares | 0.0% | before Q1 2026 |
| 689 | NPO | ENPRO INC | $65.2M | 173.1K shares | 0.0% | before Q1 2026 |
| 690 | DOCS | DOXIMITY INC-CLASS A | $65M | 3.1M shares | 0.0% | before Q1 2026 |
| 691 | WING | WINGSTOP INC | $64.9M | 374.5K shares | 0.0% | before Q1 2026 |
| 692 | TCOM | TRIP.COM GROUP LTD-ADR | $64.8M | 1.6M shares | 0.0% | before Q1 2026 |
| 693 | IRM | IRON MOUNTAIN INC | $64.8M | 512.9K shares | 0.0% | before Q1 2026 |
| 694 | MTH | MERITAGE HOMES CORP | $64.8M | 772.3K shares | 0.0% | before Q1 2026 |
| 695 | VZ | VERIZON COMMUNICATIONS INC | $64.5M | 1.5M shares | 0.0% | before Q1 2026 |
| 696 | KLRA | KAILERA THERAPEUTICS INC | $64.3M | 2.9M shares | 0.0% | Q2 2026 |
| 697 | AXGN | AXOGEN INC | $64.3M | 1.4M shares | 0.0% | before Q1 2026 |
| 698 | RELY | REMITLY GLOBAL INC | $63.7M | 2.8M shares | 0.0% | before Q1 2026 |
| 699 | AGYS | AGILYSYS INC | $63.5M | 608K shares | 0.0% | before Q1 2026 |
| 700 | HAL | HALLIBURTON CO | $63.4M | 1.9M shares | 0.0% | before Q1 2026 |
| 701 | AKTS | AKTIS ONCOLOGY INC | $63.4M | 2M shares | 0.0% | before Q1 2026 |
| 702 | VTMX | CORP INMOBILIARIA VESTA-ADR | $63M | 1.8M shares | 0.0% | before Q1 2026 |
| 703 | WST | WEST PHARMACEUTICAL SERVICES | $62.8M | 175.1K shares | 0.0% | before Q1 2026 |
| 704 | BKR | BAKER HUGHES CO | $62.6M | 1.1M shares | 0.0% | before Q1 2026 |
| 705 | FIP | FTAI INFRASTRUCTURE INC | $62.6M | 13.5M shares | 0.0% | before Q1 2026 |
| 706 | MBWM | MERCANTILE BANK CORP | $62.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 707 | EWZ | ISHARES MSCI BRAZIL ETF | $62M | 1.8M shares | 0.0% | before Q1 2026 |
| 708 | SIMO | SILICON MOTION TECHNOL-ADR | $61.7M | 185.3K shares | 0.0% | before Q1 2026 |
| 709 | EGO | ELDORADO GOLD CORP | $61.2M | 2M shares | 0.0% | Q2 2026 |
| 710 | SHOO | STEVEN MADDEN LTD | $60.7M | 1.4M shares | 0.0% | before Q1 2026 |
| 711 | MDLZ | MONDELEZ INTERNATIONAL INC-A | $60.6M | 1M shares | 0.0% | before Q1 2026 |
| 712 | CURB | CURBLINE PROPERTIES CORP | $60.4M | 2M shares | 0.0% | before Q1 2026 |
| 713 | PEB | PEBBLEBROOK HOTEL TRUST | $60.1M | 3.1M shares | 0.0% | before Q1 2026 |
| 714 | BANR | BANNER CORPORATION | $60M | 903.3K shares | 0.0% | before Q1 2026 |
| 715 | ASTH | ASTRANA HEALTH INC | $60M | 1.3M shares | 0.0% | before Q1 2026 |
| 716 | TLN | TALEN ENERGY CORP | $59.9M | 155.9K shares | 0.0% | before Q1 2026 |
| 717 | XYL | XYLEM INC | $59.9M | 506.4K shares | 0.0% | before Q1 2026 |
| 718 | GKOS | GLAUKOS CORP | $59.8M | 428.2K shares | 0.0% | before Q1 2026 |
| 719 | FRT | FEDERAL REALTY INVS TRUST | $59.8M | 484.7K shares | 0.0% | Q2 2026 |
| 720 | CUSIP:59001ABF8 | MERITAGE HOMES CORP | $59.5M | 57.3M shares | 0.0% | before Q1 2026 |
| 721 | FBK | FB FINANCIAL CORP | $59.2M | 1.1M shares | 0.0% | before Q1 2026 |
| 722 | ENVA | ENOVA INTERNATIONAL INC | $59M | 245.2K shares | 0.0% | before Q1 2026 |
| 723 | ASB | ASSOCIATED BANC-CORP | $58.7M | 1.9M shares | 0.0% | before Q1 2026 |
| 724 | VTR | VENTAS INC | $58.6M | 660.3K shares | 0.0% | before Q1 2026 |
| 725 | TWST | TWIST BIOSCIENCE CORP | $58.5M | 568.3K shares | 0.0% | before Q1 2026 |
| 726 | MOS | MOSAIC CO/THE | $58.4M | 2.8M shares | 0.0% | before Q1 2026 |
| 727 | C | CITIGROUP INC | $58.1M | 414.8K shares | 0.0% | before Q1 2026 |
| 728 | IM8N | INSMED INC | $58M | 543.9K shares | 0.0% | before Q1 2026 |
| 729 | BHE | BENCHMARK ELECTRONICS INC | $57.9M | 586.9K shares | 0.0% | before Q1 2026 |
| 730 | NBHC | NATIONAL BANK HOLD-CL A | $57.8M | 1.3M shares | 0.0% | before Q1 2026 |
| 731 | BAND | BANDWIDTH INC-CLASS A | $57.7M | 911.9K shares | 0.0% | before Q1 2026 |
| 732 | VRDN | VIRIDIAN THERAPEUTICS INC | $57.5M | 3.1M shares | 0.0% | before Q1 2026 |
| 733 | CVLT | COMMVAULT SYSTEMS INC | $57M | 402.1K shares | 0.0% | before Q1 2026 |
| 734 | ALGM | ALLEGRO MICROSYSTEMS INC | $56.7M | 814.9K shares | 0.0% | before Q1 2026 |
| 735 | SU | SUNCOR ENERGY INC | $56.6M | 1.1M shares | 0.0% | before Q1 2026 |
| 736 | UEC | URANIUM ENERGY CORP | $56.6M | 5.3M shares | 0.0% | before Q1 2026 |
| 737 | MO | ALTRIA GROUP INC | $56.4M | 783.7K shares | 0.0% | before Q1 2026 |
| 738 | MQ | MARQETA INC-A | $56.4M | 13.9M shares | 0.0% | before Q1 2026 |
| 739 | ADEA | ADEIA INC | $56.4M | 1.7M shares | 0.0% | before Q1 2026 |
| 740 | TWLO | TWILIO INC - A | $56.3M | 273K shares | 0.0% | before Q1 2026 |
| 741 | KVUE | KENVUE INC | $55.3M | 2.9M shares | 0.0% | before Q1 2026 |
| 742 | LEVI | LEVI STRAUSS & CO- CLASS A | $55.1M | 2.2M shares | 0.0% | before Q1 2026 |
| 743 | WSO | WATSCO INC | $55M | 132.1K shares | 0.0% | before Q1 2026 |
| 744 | PRVA | PRIVIA HEALTH GROUP INC | $54.8M | 2.1M shares | 0.0% | before Q1 2026 |
| 745 | NTCT | NETSCOUT SYSTEMS INC | $54.8M | 1.3M shares | 0.0% | before Q1 2026 |
| 746 | ENB | ENBRIDGE INC | $54.7M | 1M shares | 0.0% | before Q1 2026 |
| 747 | BF/B | BROWN-FORMAN CORP-CLASS B | $54.5M | 2M shares | 0.0% | before Q1 2026 |
| 748 | RYTM | RHYTHM PHARMACEUTICALS INC | $54.3M | 488.7K shares | 0.0% | before Q1 2026 |
| 749 | IWP | ISHARES RUSSELL MID-CAP GROW | $54.2M | 370.3K shares | 0.0% | Q2 2026 |
| 750 | VOT | VANGUARD INDEX FDS | $54.1M | 176.7K shares | 0.0% | Q2 2026 |
| 751 | BFH | BREAD FINANCIAL HOLDINGS INC | $54M | 498.4K shares | 0.0% | before Q1 2026 |
| 752 | AIR | AAR CORP | $54M | 377.8K shares | 0.0% | before Q1 2026 |
| 753 | JBTM | JBT MAREL CORP | $53.7M | 370.1K shares | 0.0% | before Q1 2026 |
| 754 | MMM | 3M CO | $53.5M | 330.7K shares | 0.0% | before Q1 2026 |
| 755 | ATLC | ATLANTICUS HOLDINGS CORP | $53.4M | 522.6K shares | 0.0% | before Q1 2026 |
| 756 | CPT | CAMDEN PROPERTY TRUST | $53.4M | 466.6K shares | 0.0% | before Q1 2026 |
| 757 | TRNO | TERRENO REALTY CORP | $53.4M | 824.5K shares | 0.0% | before Q1 2026 |
| 758 | NEM | NEWMONT CORP | $53.3M | 570.6K shares | 0.0% | before Q1 2026 |
| 759 | ITRI | ITRON INC | $53M | 612.6K shares | 0.0% | before Q1 2026 |
| 760 | TNET | TRINET GROUP INC | $52.9M | 1.1M shares | 0.0% | before Q1 2026 |
| 761 | FTI | TECHNIPFMC PLC | $52.3M | 788.2K shares | 0.0% | before Q1 2026 |
| 762 | SR | SPIRE INC | $52.1M | 667.6K shares | 0.0% | before Q1 2026 |
| 763 | MNTN | MNTN INC-A | $51.8M | 5.6M shares | 0.0% | before Q1 2026 |
| 764 | CFR | CULLEN/FROST BANKERS INC | $51.8M | 335K shares | 0.0% | before Q1 2026 |
| 765 | SN | SHARKNINJA INC | $51.7M | 339.5K shares | 0.0% | before Q1 2026 |
| 766 | INTA | INTAPP INC | $51.6M | 2M shares | 0.0% | before Q1 2026 |
| 767 | WM | WASTE MANAGEMENT INC | $51.4M | 230.8K shares | 0.0% | before Q1 2026 |
| 768 | OLLI | OLLIE'S BARGAIN OUTLET HOLDI | $51.2M | 666.4K shares | 0.0% | before Q1 2026 |
| 769 | BRX | BRIXMOR PROPERTY GROUP INC | $51.2M | 1.6M shares | 0.0% | before Q1 2026 |
| 770 | MVBF | MVB FINANCIAL CORP | $51.2M | 1.8M shares | 0.0% | before Q1 2026 |
| 771 | BCAL | CALIFORNIA BANCORP | $51M | 2.4M shares | 0.0% | before Q1 2026 |
| 772 | GGG | GRACO INC | $50.9M | 673.6K shares | 0.0% | before Q1 2026 |
| 773 | ZWS | ZURN ELKAY WATER SOLUTIONS C | $50.8M | 1M shares | 0.0% | before Q1 2026 |
| 774 | RIO | RIO TINTO PLC-SPON ADR | $50.3M | 529.7K shares | 0.0% | before Q1 2026 |
| 775 | OGS | ONE GAS INC | $50.1M | 650.3K shares | 0.0% | before Q1 2026 |
| 776 | ALLE | ALLEGION PLC | $50.1M | 356.7K shares | 0.0% | before Q1 2026 |
| 777 | CTRI | CENTURI HOLDINGS INC | $50.1M | 1.7M shares | 0.0% | before Q1 2026 |
| 778 | TCBI | TEXAS CAPITAL BANCSHARES INC | $49.9M | 483.2K shares | 0.0% | before Q1 2026 |
| 779 | CDE | COEUR MINING INC | $49.8M | 3.1M shares | 0.0% | before Q1 2026 |
| 780 | FCNCA | FIRST CITIZENS BCSHS -CL A | $49.6M | 23.9K shares | 0.0% | before Q1 2026 |
| 781 | GLOB | GLOBANT SA | $49.4M | 1.7M shares | 0.0% | before Q1 2026 |
| 782 | NCNO | NCINO INC | $49.3M | 3M shares | 0.0% | Q2 2026 |
| 783 | FRBT | FORBRIGHT INC -A | $47.5M | 2.6M shares | 0.0% | Q2 2026 |
| 784 | DORM | DORMAN PRODUCTS INC | $47.5M | 348.1K shares | 0.0% | before Q1 2026 |
| 785 | SRLN | SS BLACKSTONE SR LOAN ETF | $47.3M | 1.2M shares | 0.0% | before Q1 2026 |
| 786 | CUSIP:G5S37H101 | MAREX GROUP PLC | $47.2M | 775K shares | 0.0% | before Q1 2026 |
| 787 | QQQ | INVESCO QQQ TRUST SERIES 1 | $47.2M | 64K shares | 0.0% | Q2 2026 |
| 788 | ESNT | ESSENT GROUP LTD | $47.1M | 733K shares | 0.0% | before Q1 2026 |
| 789 | ACN | ACCENTURE PLC-CL A | $47.1M | 378.5K shares | 0.0% | before Q1 2026 |
| 790 | MTRN | MATERION CORP | $47.1M | 158.3K shares | 0.0% | Q2 2026 |
| 791 | IDCC | INTERDIGITAL INC | $46.9M | 165.6K shares | 0.0% | before Q1 2026 |
| 792 | VIRT | VIRTU FINANCIAL INC-CLASS A | $46.6M | 782.1K shares | 0.0% | before Q1 2026 |
| 793 | AX | AXOS FINANCIAL INC | $45.8M | 470.6K shares | 0.0% | before Q1 2026 |
| 794 | EGP | EASTGROUP PROPERTIES INC | $45.5M | 224.5K shares | 0.0% | before Q1 2026 |
| 795 | JCAP | JEFFERSON CAPITAL INC | $45.2M | 2.3M shares | 0.0% | before Q1 2026 |
| 796 | VIA | VIA TRANSPORTATION INC-CL A | $45.1M | 2.5M shares | 0.0% | before Q1 2026 |
| 797 | LII | LENNOX INTERNATIONAL INC | $44.6M | 77.8K shares | 0.0% | before Q1 2026 |
| 798 | CLBT | CELLEBRITE DI LTD | $44.5M | 3M shares | 0.0% | before Q1 2026 |
| 799 | NVST | ENVISTA HOLDINGS CORP | $44.4M | 1.7M shares | 0.0% | before Q1 2026 |
| 800 | VEA | VANGUARD FTSE DEVELOPED ETF | $44.1M | 619K shares | 0.0% | before Q1 2026 |
| 801 | ADSK | AUTODESK INC | $43.8M | 225.4K shares | 0.0% | before Q1 2026 |
| 802 | XPO | XPO INC | $43.7M | 212.9K shares | 0.0% | before Q1 2026 |
| 803 | QBTS | D-WAVE QUANTUM INC | $43.7M | 1.8M shares | 0.0% | before Q1 2026 |
| 804 | WEX | WEX INC | $43.3M | 306.8K shares | 0.0% | before Q1 2026 |
| 805 | VLRS | CONTROLADORA VUELA CIA-ADR | $43.3M | 4.6M shares | 0.0% | before Q1 2026 |
| 806 | JAZZ | JAZZ PHARMACEUTICALS PLC | $43.2M | 179.1K shares | 0.0% | before Q1 2026 |
| 807 | PGNY | PROGYNY INC | $43.1M | 1.5M shares | 0.0% | before Q1 2026 |
| 808 | XLU | ST SR UTL SL SE SPDR ETF-USD | $42.9M | 946K shares | 0.0% | Q2 2026 |
| 809 | FUL | H.B. FULLER CO. | $42.6M | 730.5K shares | 0.0% | before Q1 2026 |
| 810 | CMCSA | COMCAST CORP-CLASS A | $42.3M | 1.7M shares | 0.0% | before Q1 2026 |
| 811 | HAYW | HAYWARD HOLDINGS INC | $42.2M | 2.4M shares | 0.0% | before Q1 2026 |
| 812 | PRAX | PRAXIS PRECISION MEDICINES I | $42.1M | 125.9K shares | 0.0% | before Q1 2026 |
| 813 | DAR | DARLING INGREDIENTS INC | $42.1M | 770.4K shares | 0.0% | before Q1 2026 |
| 814 | RGLD | ROYAL GOLD INC | $41.9M | 210.1K shares | 0.0% | before Q1 2026 |
| 815 | NSSC | NAPCO SECURITY TECHNOLOGIES | $41.9M | 1.1M shares | 0.0% | before Q1 2026 |
| 816 | COMP | COMPASS INC - CLASS A | $41.8M | 3.4M shares | 0.0% | before Q1 2026 |
| 817 | RARE | ULTRAGENYX PHARMACEUTICAL IN | $41.8M | 1.3M shares | 0.0% | before Q1 2026 |
| 818 | FSV | FIRSTSERVICE CORP | $41.5M | 291.9K shares | 0.0% | before Q1 2026 |
| 819 | FTRE | FORTREA HOLDINGS INC | $41.5M | 2.4M shares | 0.0% | Q2 2026 |
| 820 | OXY | OCCIDENTAL PETROLEUM CORP | $41.4M | 852.7K shares | 0.0% | before Q1 2026 |
| 821 | RWT | REDWOOD TRUST INC | $41.4M | 8.7M shares | 0.0% | before Q1 2026 |
| 822 | MUSA | MURPHY USA INC | $41.1M | 76.2K shares | 0.0% | before Q1 2026 |
| 823 | CRVS | CORVUS PHARMACEUTICALS INC | $40.8M | 2.7M shares | 0.0% | before Q1 2026 |
| 824 | VEON | VEON LTD | $40.7M | 779.1K shares | 0.0% | before Q1 2026 |
| 825 | FRSH | FRESHWORKS INC-CL A | $40.5M | 4M shares | 0.0% | before Q1 2026 |
| 826 | ZBIO | ZENAS BIOPHARMA INC | $40.5M | 1.6M shares | 0.0% | before Q1 2026 |
| 827 | FCFS | FIRSTCASH HOLDINGS INC | $40.2M | 185.7K shares | 0.0% | before Q1 2026 |
| 828 | CW | CURTISS-WRIGHT CORP | $40.1M | 53K shares | 0.0% | before Q1 2026 |
| 829 | AAP | ADVANCE AUTO PARTS INC | $39.9M | 641.8K shares | 0.0% | before Q1 2026 |
| 830 | ECPG | ENCORE CAPITAL GROUP INC | $39.7M | 426.1K shares | 0.0% | before Q1 2026 |
| 831 | CUSIP:949746804 | WELLS FARGO CO NEW | $39.6M | 34.2K shares | 0.0% | before Q1 2026 |
| 832 | TD | TORONTO-DOMINION BANK | $39.5M | 324.6K shares | 0.0% | before Q1 2026 |
| 833 | OSIS | OSI SYSTEMS INC | $38.8M | 177.6K shares | 0.0% | before Q1 2026 |
| 834 | THC | TENET HEALTHCARE CORP | $38.8M | 207.4K shares | 0.0% | before Q1 2026 |
| 835 | CUSIP:69331CAL2 | PG&E CORP | $38.4M | 37.3M shares | 0.0% | before Q1 2026 |
| 836 | URI | UNITED RENTALS INC | $38.2M | 33.8K shares | 0.0% | before Q1 2026 |
| 837 | EIX | EDISON INTERNATIONAL | $38.1M | 512.1K shares | 0.0% | before Q1 2026 |
| 838 | SKT | TANGER INC | $38.1M | 965.9K shares | 0.0% | before Q1 2026 |
| 839 | WLTH | WEALTHFRONT CORP | $37.7M | 4.2M shares | 0.0% | before Q1 2026 |
| 840 | RLI | RLI CORP | $37.5M | 634.6K shares | 0.0% | before Q1 2026 |
| 841 | FIS | FIDELITY NATIONAL INFO SERV | $37.1M | 954K shares | 0.0% | before Q1 2026 |
| 842 | NTES | NETEASE INC-ADR | $36.9M | 287.6K shares | 0.0% | before Q1 2026 |
| 843 | IEMG | ISHARES CORE MSCI EMERGING | $36.7M | 442.7K shares | 0.0% | before Q1 2026 |
| 844 | LYTS | LSI INDUSTRIES INC | $36.5M | 1.4M shares | 0.0% | before Q1 2026 |
| 845 | MCK | MCKESSON CORP | $36.4M | 48.2K shares | 0.0% | before Q1 2026 |
| 846 | SLG | SL GREEN REALTY CORP | $36.4M | 703.7K shares | 0.0% | before Q1 2026 |
| 847 | NSA | NATIONAL STORAGE AFFILIATES | $36.1M | 811.9K shares | 0.0% | before Q1 2026 |
| 848 | APPF | APPFOLIO INC - A | $36.1M | 224.9K shares | 0.0% | Q2 2026 |
| 849 | VLTO | VERALTO CORP | $36M | 406.5K shares | 0.0% | before Q1 2026 |
| 850 | APTV | APTIV PLC | $36M | 587.2K shares | 0.0% | before Q1 2026 |
| 851 | MITK | MITEK SYSTEMS INC | $35.8M | 1.8M shares | 0.0% | before Q1 2026 |
| 852 | WERN | WERNER ENTERPRISES INC | $35.8M | 821K shares | 0.0% | before Q1 2026 |
| 853 | BNL | BROADSTONE NET LEASE INC | $35.7M | 1.7M shares | 0.0% | Q2 2026 |
| 854 | LADR | LADDER CAPITAL CORP-REIT | $35.6M | 3.6M shares | 0.0% | before Q1 2026 |
| 855 | MFC | MANULIFE FINANCIAL CORP | $35.6M | 876.9K shares | 0.0% | before Q1 2026 |
| 856 | CIVB | CIVISTA BANCSHARES INC | $35.5M | 1.3M shares | 0.0% | before Q1 2026 |
| 857 | AON | AON PLC-CLASS A | $35.3M | 106.4K shares | 0.0% | before Q1 2026 |
| 858 | INTR | INTER & CO INC - CL A | $35.1M | 6.5M shares | 0.0% | before Q1 2026 |
| 859 | HQY | HEALTHEQUITY INC | $35M | 387.9K shares | 0.0% | before Q1 2026 |
| 860 | EGBN | EAGLE BANCORP INC | $35M | 1.2M shares | 0.0% | before Q1 2026 |
| 861 | KALU | KAISER ALUMINUM CORP | $35M | 178.7K shares | 0.0% | before Q1 2026 |
| 862 | CCU | CIA CERVECERIAS UNI-SPON ADR | $34.7M | 3.1M shares | 0.0% | before Q1 2026 |
| 863 | IWO | ISHARES RUSSELL 2000 GROWTH | $34.4M | 87.2K shares | 0.0% | before Q1 2026 |
| 864 | TMDX | TRANSMEDICS GROUP INC | $34.3M | 516K shares | 0.0% | before Q1 2026 |
| 865 | EXE | EXPAND ENERGY CORP | $34.3M | 375.8K shares | 0.0% | before Q1 2026 |
| 866 | BKU | BANKUNITED INC | $34M | 702K shares | 0.0% | before Q1 2026 |
| 867 | MBUU | MALIBU BOATS INC - A | $34M | 1.2M shares | 0.0% | before Q1 2026 |
| 868 | CUSIP:68389X204 | ORACLE CORP | $33.6M | 760.2K shares | 0.0% | before Q1 2026 |
| 869 | BCML | BAYCOM CORP | $33.4M | 1M shares | 0.0% | before Q1 2026 |
| 870 | MNKD | MANNKIND CORP | $33.4M | 7.8M shares | 0.0% | before Q1 2026 |
| 871 | NTST | NETSTREIT CORP | $32.9M | 1.6M shares | 0.0% | before Q1 2026 |
| 872 | PENG | PENGUIN SOLUTIONS INC | $32.9M | 432.7K shares | 0.0% | before Q1 2026 |
| 873 | PUMP | PROPETRO HOLDING CORP | $32.8M | 2.3M shares | 0.0% | before Q1 2026 |
| 874 | LQDT | LIQUIDITY SERVICES INC | $32.8M | 838.9K shares | 0.0% | before Q1 2026 |
| 875 | SUZ | SUZANO SA - SPON ADR | $32.7M | 4.2M shares | 0.0% | before Q1 2026 |
| 876 | AMX | AMERICA MOVIL SAB DE CV | $32.6M | 1.3M shares | 0.0% | before Q1 2026 |
| 877 | M | MACY'S INC | $32.6M | 1.4M shares | 0.0% | Q2 2026 |
| 878 | PRG | PROG HOLDINGS INC | $32.5M | 697.3K shares | 0.0% | before Q1 2026 |
| 879 | CUSIP:56087FAD6 | MAKEMYTRIP LIMITED MAURITIUS | $32.2M | 35.3M shares | 0.0% | Q2 2026 |
| 880 | PGC | PEAPACK GLADSTONE FINL CORP | $31.9M | 674.9K shares | 0.0% | before Q1 2026 |
| 881 | IMAX | IMAX CORP | $31.9M | 800.2K shares | 0.0% | before Q1 2026 |
| 882 | CCK | CROWN HOLDINGS INC | $31.7M | 283.6K shares | 0.0% | before Q1 2026 |
| 883 | KIM | KIMCO REALTY CORP | $31.7M | 1.3M shares | 0.0% | before Q1 2026 |
| 884 | CNX | CNX RESOURCES CORP | $31.4M | 924.7K shares | 0.0% | before Q1 2026 |
| 885 | YOU | CLEAR SECURE INC -CLASS A | $31.4M | 562.8K shares | 0.0% | before Q1 2026 |
| 886 | ASTS | AST SPACEMOBILE INC | $31.2M | 350.7K shares | 0.0% | before Q1 2026 |
| 887 | AVPT | AVEPOINT INC | $31.1M | 2.8M shares | 0.0% | before Q1 2026 |
| 888 | AMH | AMERICAN HOMES 4 RENT- A | $31.1M | 928.3K shares | 0.0% | Q2 2026 |
| 889 | KOD | KODIAK SCIENCES INC | $30.9M | 793.6K shares | 0.0% | before Q1 2026 |
| 890 | LFST | LIFESTANCE HEALTH GROUP INC | $30.9M | 2.9M shares | 0.0% | Q2 2026 |
| 891 | ARMK | ARAMARK | $30.9M | 542.4K shares | 0.0% | before Q1 2026 |
| 892 | VRNS | VARONIS SYSTEMS INC | $30.7M | 732.4K shares | 0.0% | Q2 2026 |
| 893 | PDM | PIEDMONT REALTY TRUST INC | $30.7M | 3.4M shares | 0.0% | before Q1 2026 |
| 894 | SW | SMURFIT WESTROCK PLC | $30.7M | 662.6K shares | 0.0% | before Q1 2026 |
| 895 | INGM | INGRAM MICRO HOLDING CORP | $30.6M | 1.1M shares | 0.0% | before Q1 2026 |
| 896 | HLN | HALEON PLC-ADR | $30.5M | 3.3M shares | 0.0% | before Q1 2026 |
| 897 | CWBC | COMMUNITY WEST BANCSHARES | $30.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 898 | AUB | ATLANTIC UNION BANKSHARES CO | $30.5M | 721.2K shares | 0.0% | before Q1 2026 |
| 899 | FRME | FIRST MERCHANTS CORP | $30.4M | 696.6K shares | 0.0% | before Q1 2026 |
| 900 | DINO | HF SINCLAIR CORP | $30.4M | 436.3K shares | 0.0% | before Q1 2026 |
| 901 | PFSI | PENNYMAC FINANCIAL SERVICES | $30.4M | 348.8K shares | 0.0% | before Q1 2026 |
| 902 | BBSI | BARRETT BUSINESS SVCS INC | $30.4M | 855.1K shares | 0.0% | before Q1 2026 |
| 903 | ECL | ECOLAB INC | $30.4M | 109K shares | 0.0% | before Q1 2026 |
| 904 | WTM | WHITE MOUNTAINS INSURANCE GP | $30.1M | 14.5K shares | 0.0% | before Q1 2026 |
| 905 | SWK | STANLEY BLACK & DECKER INC | $30.1M | 320K shares | 0.0% | before Q1 2026 |
| 906 | CF | CF INDUSTRIES HOLDINGS INC | $30.1M | 277.6K shares | 0.0% | before Q1 2026 |
| 907 | OPFI | OPPFI INC | $30M | 3M shares | 0.0% | before Q1 2026 |
| 908 | SDRL | SEADRILL LIMITED | $29.9M | 791.8K shares | 0.0% | before Q1 2026 |
| 909 | HLX | HELIX ENERGY SOLUTIONS GROUP | $29.8M | 3.4M shares | 0.0% | before Q1 2026 |
| 910 | GLD | SPDR GOLD SHARES | $29.7M | 80.6K shares | 0.0% | before Q1 2026 |
| 911 | HYG | ISHR IBX USD HIYLD CB ETF-UI | $29.6M | 370.5K shares | 0.0% | before Q1 2026 |
| 912 | VRSK | VERISK ANALYTICS INC | $29.6M | 164.9K shares | 0.0% | before Q1 2026 |
| 913 | VTOL | BRISTOW GROUP INC | $29.6M | 716.1K shares | 0.0% | before Q1 2026 |
| 914 | TRNS | TRANSCAT INC | $29.4M | 317K shares | 0.0% | before Q1 2026 |
| 915 | CLMT | CALUMET INC | $29.2M | 811.5K shares | 0.0% | before Q1 2026 |
| 916 | DX | DYNEX CAPITAL INC | $29.1M | 2.2M shares | 0.0% | before Q1 2026 |
| 917 | ULS | UL SOLUTIONS INC - CLASS A | $28.9M | 284.2K shares | 0.0% | before Q1 2026 |
| 918 | EBAY | EBAY INC | $28.9M | 258.4K shares | 0.0% | before Q1 2026 |
| 919 | TKR | TIMKEN CO | $28.9M | 198.6K shares | 0.0% | Q2 2026 |
| 920 | PRCT | PROCEPT BIOROBOTICS CORP | $28.8M | 1.3M shares | 0.0% | before Q1 2026 |
| 921 | AS | AMER SPORTS INC | $28.7M | 847.3K shares | 0.0% | before Q1 2026 |
| 922 | PEGA | PEGASYSTEMS INC | $28.5M | 950.5K shares | 0.0% | before Q1 2026 |
| 923 | MLKN | MILLERKNOLL INC | $28.4M | 1.4M shares | 0.0% | before Q1 2026 |
| 924 | PACS | PACS GROUP INC | $28.3M | 664.9K shares | 0.0% | before Q1 2026 |
| 925 | AORT | ARTIVION INC | $28.3M | 1.3M shares | 0.0% | before Q1 2026 |
| 926 | CART | MAPLEBEAR INC | $28.2M | 595K shares | 0.0% | Q2 2026 |
| 927 | WFRD | WEATHERFORD INTERNATIONAL PL | $28.2M | 345.7K shares | 0.0% | before Q1 2026 |
| 928 | MSM | MSC INDUSTRIAL DIRECT CO-A | $28.1M | 236.5K shares | 0.0% | before Q1 2026 |
| 929 | CAMT | CAMTEK LTD | $28M | 171.9K shares | 0.0% | before Q1 2026 |
| 930 | LTC | LTC PROPERTIES INC | $28M | 728.7K shares | 0.0% | before Q1 2026 |
| 931 | PNTG | PENNANT GROUP INC/THE | $28M | 757.6K shares | 0.0% | before Q1 2026 |
| 932 | AEM | AGNICO EAGLE MINES LTD | $28M | 180.3K shares | 0.0% | before Q1 2026 |
| 933 | HCC | WARRIOR MET COAL INC | $28M | 344.8K shares | 0.0% | before Q1 2026 |
| 934 | CCB | COASTAL FINANCIAL CORP/WA | $28M | 360.9K shares | 0.0% | before Q1 2026 |
| 935 | KN | KNOWLES CORP | $27.9M | 672.9K shares | 0.0% | before Q1 2026 |
| 936 | HOMB | HOME BANCSHARES INC | $27.9M | 977.3K shares | 0.0% | before Q1 2026 |
| 937 | SMBK | SMARTFINANCIAL INC | $27.9M | 594.4K shares | 0.0% | before Q1 2026 |
| 938 | KTB | KONTOOR BRANDS INC | $27.8M | 333.7K shares | 0.0% | before Q1 2026 |
| 939 | ASC | ARDMORE SHIPPING CORP | $27.8M | 2M shares | 0.0% | before Q1 2026 |
| 940 | VTI | VANGUARD TOTAL STOCK MKT ETF | $27.7M | 74.9K shares | 0.0% | before Q1 2026 |
| 941 | CVBF | CVB FINANCIAL CORP | $27.7M | 1.2M shares | 0.0% | before Q1 2026 |
| 942 | QCRH | QCR HOLDINGS INC | $27.7M | 284.3K shares | 0.0% | before Q1 2026 |
| 943 | DMRA | DAMORA THERAPEUTICS INC | $27.5M | 1.1M shares | 0.0% | before Q1 2026 |
| 944 | CMC | COMMERCIAL METALS CO | $27.3M | 435.8K shares | 0.0% | before Q1 2026 |
| 945 | ICFI | ICF INTERNATIONAL INC | $27.3M | 375.1K shares | 0.0% | before Q1 2026 |
| 946 | RHLD | RESOLUTE HOLDINGS MANAG | $27.3M | 188.7K shares | 0.0% | before Q1 2026 |
| 947 | PJT | PJT PARTNERS INC - A | $27.2M | 180.2K shares | 0.0% | before Q1 2026 |
| 948 | TSHA | TAYSHA GENE THERAPIES INC | $27.1M | 4M shares | 0.0% | before Q1 2026 |
| 949 | LEG | LEGGETT & PLATT INC | $27M | 2.3M shares | 0.0% | before Q1 2026 |
| 950 | VYX | NCR VOYIX CORP | $27M | 3.3M shares | 0.0% | before Q1 2026 |
| 951 | VSAT | VIASAT INC | $26.9M | 299.2K shares | 0.0% | before Q1 2026 |
| 952 | RGA | REINSURANCE GROUP OF AMERICA | $26.8M | 126.2K shares | 0.0% | before Q1 2026 |
| 953 | NUVL | NUVALENT INC-A | $26.8M | 217.2K shares | 0.0% | before Q1 2026 |
| 954 | CSR | CENTERSPACE | $26.8M | 476.1K shares | 0.0% | before Q1 2026 |
| 955 | CRI | CARTER'S INC | $26.6M | 645.9K shares | 0.0% | before Q1 2026 |
| 956 | TTI | TETRA TECHNOLOGIES INC | $26.6M | 2.3M shares | 0.0% | before Q1 2026 |
| 957 | CDP | COPT DEFENSE PROPERTIES | $26.5M | 729.3K shares | 0.0% | before Q1 2026 |
| 958 | OBK | ORIGIN BANCORP INC | $26.5M | 518.4K shares | 0.0% | before Q1 2026 |
| 959 | ITUB | ITAU UNIBANCO H-SPON PRF ADR | $26.4M | 3.2M shares | 0.0% | before Q1 2026 |
| 960 | CHD | CHURCH & DWIGHT CO INC | $26.4M | 272.8K shares | 0.0% | before Q1 2026 |
| 961 | TGTX | TG THERAPEUTICS INC | $26.3M | 478.3K shares | 0.0% | before Q1 2026 |
| 962 | IART | INTEGRA LIFESCIENCES HOLDING | $26.2M | 1.5M shares | 0.0% | before Q1 2026 |
| 963 | ALGT | ALLEGIANT TRAVEL CO | $26.2M | 223.1K shares | 0.0% | Q2 2026 |
| 964 | RDN | RADIAN GROUP INC | $26.2M | 695.3K shares | 0.0% | before Q1 2026 |
| 965 | TGT | TARGET CORP | $26.2M | 200.4K shares | 0.0% | before Q1 2026 |
| 966 | BG | BUNGE GLOBAL SA | $26.1M | 244.5K shares | 0.0% | before Q1 2026 |
| 967 | KLIC | KULICKE & SOFFA INDUSTRIES | $26.1M | 195K shares | 0.0% | Q2 2026 |
| 968 | SPXC | SPX TECHNOLOGIES INC | $26M | 106.2K shares | 0.0% | before Q1 2026 |
| 969 | FHB | FIRST HAWAIIAN INC | $25.9M | 884.5K shares | 0.0% | before Q1 2026 |
| 970 | AXTI | AXT INC | $25.9M | 359.5K shares | 0.0% | Q2 2026 |
| 971 | UTL | UNITIL CORP | $25.9M | 491.5K shares | 0.0% | before Q1 2026 |
| 972 | MAN | MANPOWERGROUP INC | $25.7M | 761.3K shares | 0.0% | Q2 2026 |
| 973 | UNM | UNUM GROUP | $25.7M | 287.5K shares | 0.0% | before Q1 2026 |
| 974 | PCTY | PAYLOCITY HOLDING CORP | $25.6M | 244.5K shares | 0.0% | before Q1 2026 |
| 975 | AA | ALCOA CORP | $25.5M | 489K shares | 0.0% | before Q1 2026 |
| 976 | CENX | CENTURY ALUMINUM COMPANY | $25.3M | 548.9K shares | 0.0% | before Q1 2026 |
| 977 | FNB | FNB CORP | $25.1M | 1.3M shares | 0.0% | before Q1 2026 |
| 978 | HL | HECLA MINING CO | $25M | 1.6M shares | 0.0% | before Q1 2026 |
| 979 | URBN | URBAN OUTFITTERS INC | $25M | 352.4K shares | 0.0% | before Q1 2026 |
| 980 | UTI | UNIVERSAL TECHNICAL INSTITUT | $24.9M | 582.1K shares | 0.0% | before Q1 2026 |
| 981 | MCRI | MONARCH CASINO & RESORT INC | $24.8M | 188.7K shares | 0.0% | before Q1 2026 |
| 982 | CNL | COLLECTIVE MINING LTD | $24.8M | 2M shares | 0.0% | before Q1 2026 |
| 983 | AXTA | AXALTA COATING SYSTEMS LTD | $24.7M | 721.9K shares | 0.0% | before Q1 2026 |
| 984 | RHP | RYMAN HOSPITALITY PROPERTIES | $24.7M | 191.8K shares | 0.0% | Q2 2026 |
| 985 | PHIN | PHINIA INC | $24.6M | 298.7K shares | 0.0% | before Q1 2026 |
| 986 | OZK | BANK OZK | $24.5M | 470.3K shares | 0.0% | before Q1 2026 |
| 987 | PXED | PHOENIX ED PARTNERS INC | $24.4M | 743.1K shares | 0.0% | before Q1 2026 |
| 988 | DGII | DIGI INTERNATIONAL INC | $24.4M | 325.3K shares | 0.0% | before Q1 2026 |
| 989 | CGNX | COGNEX CORP | $24.3M | 336K shares | 0.0% | before Q1 2026 |
| 990 | AIP | ARTERIS INC | $24.3M | 500.2K shares | 0.0% | before Q1 2026 |
| 991 | FMBH | FIRST MID BANCSHARES INC | $24.2M | 503.2K shares | 0.0% | before Q1 2026 |
| 992 | SON | SONOCO PRODUCTS CO | $24.1M | 428.4K shares | 0.0% | before Q1 2026 |
| 993 | SWX | SOUTHWEST GAS HOLDINGS INC | $24.1M | 271.5K shares | 0.0% | before Q1 2026 |
| 994 | HXL | HEXCEL CORP | $24.1M | 240.5K shares | 0.0% | before Q1 2026 |
| 995 | KNTK | KINETIK HOLDINGS INC | $24.1M | 497.6K shares | 0.0% | before Q1 2026 |
| 996 | BRUN | BOOST RUN INC | $24M | 619.2K shares | 0.0% | Q2 2026 |
| 997 | MYFW | FIRST WESTERN FINANCIAL INC | $24M | 747.1K shares | 0.0% | before Q1 2026 |
| 998 | HELE | HELEN OF TROY LTD | $24M | 824.2K shares | 0.0% | before Q1 2026 |
| 999 | PLUS | EPLUS INC | $23.9M | 287.4K shares | 0.0% | before Q1 2026 |
| 1000 | WGS | GENEDX HOLDINGS CORP | $23.9M | 347.9K shares | 0.0% | before Q1 2026 |