All Stocks

Every US-listed company Delvantic covers — 2,767 tickers, each linking to its full analysis page. A complete index for browsing, reference, or scraping. Tickers we don’t service (ETFs/funds, indices, non-common, delisted, and off-exchange listings) are listed in a separate table below and marked Do not service.

Serviced companies (2,767)

# Ticker ▲▼ Company ▲▼ Sector ▲▼ Market Cap ▲▼ Employees ▲▼ Last Report ▲▼
1 NVDA NVIDIA Corporation Technology $4.74T 36,000 Jun 22, 2026 5d
2 GOOG Alphabet Inc. Communication Services $4.14T 185,719 Jun 23, 2026 4d
3 GOOGL Alphabet Inc. Communication Services $4.08T 185,719 Jun 22, 2026 5d
4 AAPL Apple Inc. Technology $4.04T 166,000 Jun 22, 2026 5d
5 MSFT Microsoft Corporation Technology $2.77T 228,000 Jun 22, 2026 5d
6 AMZN Amazon.com, Inc. Consumer Cyclical $2.50T 1,560,000 Jun 16, 2026 10d
7 SPCX Space Exploration Technologies Corp. Industrials $2.00T 22,000
8 AVGO Broadcom Inc. Technology $1.74T 37,000 Jun 22, 2026 5d
9 TSLA Tesla, Inc. Consumer Cyclical $1.43T 125,665
10 META Meta Platforms, Inc. Communication Services $1.40T 76,834 Jun 22, 2026 5d
11 MU Micron Technology, Inc. Technology $1.28T 48,000
12 LLY Eli Lilly and Company Healthcare $1.06T 47,000 Jun 24, 2026 3d
13 WMT Walmart Inc. Consumer Defensive $947B 2,100,000 Jun 22, 2026 5d
14 JPM JPMorgan Chase & Co. Financial Services $882B 316,864 Jun 25, 2026 2d
15 AMD Advanced Micro Devices, Inc. Technology $850B 28,000 Jun 23, 2026 4d
16 ASML ASML Holding N.V. Technology $692B 43,882
17 INTC Intel Corp. Technology $645B 85,100 Jun 23, 2026 4d
18 V Visa Inc. Financial Services $644B 28,800 Jun 27, 2026 today
19 JNJ Johnson & Johnson Healthcare $589B 136,967 Jun 23, 2026 4d
20 AMAT Applied Materials, Inc. Technology $504B 35,900 Jun 23, 2026 4d
21 CAT Caterpillar Inc. Industrials $487B 112,900 Jun 23, 2026 4d
22 LRCX Lam Research Corporation Technology $474B 18,600 Jun 23, 2026 4d
23 CSCO Cisco Systems, Inc. Technology $448B 90,400 Jun 23, 2026 4d
24 ABBV AbbVie Inc. Healthcare $444B 55,000 Jun 24, 2026 3d
25 MA Mastercard Incorporated Financial Services $441B 35,300 Jun 27, 2026 today
26 ORCL Oracle Corporation Technology $428B 159,000
27 COST Costco Wholesale Corporation Consumer Defensive $422B 333,000 Jun 24, 2026 3d
28 BAC Bank of America Corporation Financial Services $411B 213,000 Jun 25, 2026 2d
29 GE GE Aerospace Industrials $386B 53,000 Jun 24, 2026 3d
30 KO The Coca-Cola Company Consumer Defensive $356B 65,900 Jun 24, 2026 3d
31 MS Morgan Stanley Financial Services $349B 81,000 Jun 24, 2026 3d
32 PG The Procter & Gamble Company Consumer Defensive $349B 108,000 Jun 24, 2026 3d
33 HD The Home Depot, Inc. Consumer Cyclical $346B 470,100 Jun 24, 2026 3d
34 HSBC HSBC Holdings plc Financial Services $322B 211,940 Jun 26, 2026 1d
35 KLAC KLA Corporation Technology $321B 15,000 Jun 24, 2026 3d
36 GS The Goldman Sachs Group, Inc. Financial Services $314B 46,600
37 NFLX Netflix, Inc. Communication Services $311B 14,000 Jun 24, 2026 3d
38 MRK Merck & Co., Inc. Healthcare $310B 73,000
39 NVS Novartis AG Healthcare $296B 75,511
40 AZN AstraZeneca PLC Healthcare $292B 94,300 Jun 25, 2026 2d
41 GEV GE Vernova Inc. Utilities $292B 76,800 Jun 25, 2026 2d
42 SNDK Sandisk Corporation Technology $284B 12,000
43 RY Royal Bank of Canada Financial Services $282B 94,624
44 PM Philip Morris International Inc. Consumer Defensive $282B 83,100 Jun 25, 2026 2d
45 DELL Dell Technologies Inc. Technology $265B 108,000 Jun 5, 2026 21d
46 TXN Texas Instruments Incorporated Technology $260B 34,000 Jun 25, 2026 2d
47 PLTR Palantir Technologies Inc. Technology $259B 4,001 Jun 25, 2026 2d
48 WFC Wells Fargo & Company Financial Services $257B 211,608 Jun 26, 2026 1d
49 IBM International Business Machines Corporation Technology $255B 270,300 Jun 26, 2026 1d
50 RTX RTX Corporation Industrials $253B 185,000 Jun 26, 2026 1d
51 C Citigroup Inc. Financial Services $242B 226,000
52 MRVL Marvell Technology, Inc. Technology $234B 7,598 Jun 26, 2026 1d
53 AXP American Express Company Financial Services $232B 75,100 Jun 26, 2026 1d
54 BABA Alibaba Group Holding Limited Consumer Cyclical $228B 124,320 Jun 26, 2026 1d
55 MUFG Mitsubishi UFJ Financial Group, Inc. Financial Services $228B 140,000
56 NVO Novo Nordisk A/S Healthcare $212B 77,406
57 ADI Analog Devices, Inc. Technology $204B 24,000 Jun 27, 2026 today
58 TM Toyota Motor Corporation Consumer Cyclical $203B 383,853
59 PANW Palo Alto Networks, Inc. Technology $202B 15,758 Jun 27, 2026 today
60 WDC Western Digital Corporation Technology $202B 40,000
61 TD The Toronto-Dominion Bank Financial Services $202B 100,424
62 STX Seagate Technology Holdings plc Technology $202B 30,000 Jun 26, 2026 1d
63 APH Amphenol Corporation Technology $201B 170,000 Jun 27, 2026 today
64 QCOM QUALCOMM Incorporated Technology $200B 49,000 Jun 26, 2026 1d
65 ANET Arista Networks, Inc. Technology $198B 4,412 Jun 26, 2026 1d
66 TMUS T-Mobile US, Inc. Communication Services $198B 70,000
67 SAN Banco Santander, S.A. Financial Services $197B 206,736
68 VZ Verizon Communications Inc. Communication Services $194B 99,400 Jun 27, 2026 today
69 GLW Corning Inc Technology $192B 67,200 Jun 27, 2026 today
70 MCD McDonald's Corporation Consumer Cyclical $192B 150,000 Jun 27, 2026 today
71 PEP PepsiCo, Inc. Consumer Defensive $191B 319,000 Jun 27, 2026 today
72 TMO Thermo Fisher Scientific Inc. Healthcare $191B 125,000
73 AMGN Amgen Inc. Healthcare $190B 28,000
74 NEE NextEra Energy, Inc. Utilities $182B 16,800
75 SAP SAP SE Technology $181B 108,187
76 CRWD CrowdStrike Holdings, Inc. Technology $178B 10,118
77 DIS The Walt Disney Company Communication Services $172B 231,000
78 BA The Boeing Company Industrials $171B 172,000
79 DE Deere & Company Industrials $168B 73,100
80 BUD Anheuser-Busch InBev SA/NV Consumer Defensive $165B 144,000
81 ETN Eaton Corporation plc Industrials $163B 96,402
82 ABT Abbott Laboratories Healthcare $162B 114,000
83 APP AppLovin Corporation Technology $160B 876
84 T AT&T Inc. Communication Services $158B 139,970
85 WELL Welltower Inc. Real Estate $157B 685
86 SCHW The Charles Schwab Corporation Financial Services $156B 32,100
87 IBKR Interactive Brokers Group, Inc. Financial Services $154B 3,027
88 GILD Gilead Sciences, Inc. Healthcare $154B 17,600
89 BLK BlackRock, Inc. Financial Services $152B 24,900
90 HONIV Honeywell International Inc. Common Stock Ex Distribution When Issued Industrials $151B 102,000
91 SCCO Southern Copper Corporation Basic Materials $149B 16,395
92 UBER Uber Technologies, Inc. Technology $148B 31,100
93 SHOP Shopify Inc. Technology $145B 8,100
94 ISRG Intuitive Surgical, Inc. Healthcare $142B 15,638
95 BX Blackstone Inc. Financial Services $139B 4,895
96 DHR Danaher Corporation Healthcare $137B 61,000
97 BTI British American Tobacco p.l.c. Consumer Defensive $136B 47,440
98 BBVA Banco Bilbao Vizcaya Argentaria, S.A. Financial Services $136B 124,741
99 PFE Pfizer Inc. Healthcare $135B 81,000
100 CVS CVS Health Corp. Healthcare $133B 300,000
101 HDB HDFC Bank Limited Financial Services $132B 214,521
102 BKNG Booking Holdings Inc. Consumer Cyclical $131B 24,500
103 PLD Prologis, Inc. Real Estate $130B 2,703
104 CRM Salesforce, Inc. Technology $127B 76,453 Jun 5, 2026 21d
105 SYK Stryker Corporation Healthcare $127B 53,000
106 COF Capital One Financial Corporation Financial Services $126B 76,300
107 LOW Lowe's Companies, Inc. Consumer Cyclical $125B 300,000
108 VRTX Vertex Pharmaceuticals Incorporated Healthcare $125B 6,100
109 MO Altria Group, Inc. Consumer Defensive $123B 5,900
110 BMO Bank of Montreal Financial Services $123B 54,078
111 PH Parker-Hannifin Corporation Industrials $122B 61,120
112 SBUX Starbucks Corporation Consumer Cyclical $119B 361,000
113 MFG Mizuho Financial Group, Inc. Financial Services $118B 51,212
114 LMT Lockheed Martin Corporation Industrials $117B 121,000
115 VRT Vertiv Holdings Co Industrials $117B 31,000
116 SONY Sony Group Corporation Technology $114B 113,000
117 BMY Bristol-Myers Squibb Company Healthcare $112B 34,100
118 FTNT Fortinet, Inc. Technology $111B 14,556
119 EQIX Equinix, Inc. Real Estate $110B 13,606
120 SO The Southern Company Utilities $110B 28,314
121 HWM Howmet Aerospace Inc. Industrials $109B 23,930
122 PBR Petróleo Brasileiro S.A. - Petrobras Energy $106B 41,778
123 BNS The Bank of Nova Scotia Financial Services $106B 85,815
124 CM Canadian Imperial Bank of Commerce Financial Services $105B 48,698
125 PDD PDD Holdings Inc. Consumer Cyclical $104B 23,465
126 CDNS Cadence Design Systems, Inc. Technology $104B 12,837
127 GSK GSK plc Healthcare $104B 68,629
128 MDT Medtronic plc Healthcare $103B 95,000
129 NEM Newmont Corporation Basic Materials $103B 44,100
130 NOW ServiceNow, Inc. Technology $101B 26,293 Jun 26, 2026 today
131 SNY Sanofi Healthcare $100B 82,878
132 CMI Cummins Inc. Industrials $100B 69,600
133 MAR Marriott International, Inc. Consumer Cyclical $100B 418,000
134 DUK Duke Energy Corporation Utilities $98.64B 26,413
135 PNC The PNC Financial Services Group, Inc. Financial Services $98.38B 53,686
136 CEG Constellation Energy Corporation Utilities $96.23B 14,215
137 BN Brookfield Corporation Financial Services $95.75B 250,000
138 SPOT Spotify Technology S.A. Communication Services $94.59B 7,323
139 USB U.S. Bancorp Financial Services $94.55B 70,000
140 MNST Monster Beverage Corporation Consumer Defensive $94.26B 6,891
141 GD General Dynamics Corporation Industrials $93.22B 110,000
142 UPS United Parcel Service, Inc. Industrials $92.91B 460,000
143 SMFG Sumitomo Mitsui Financial Group, Inc. Financial Services $92.32B 120,000
144 ITUB Itaú Unibanco Holding S.A. Financial Services $90.71B 99,600
145 BCS Barclays PLC Financial Services $90.23B 92,850
146 MCK McKesson Corporation Healthcare $89.43B 44,000
147 FCX Freeport-McMoRan Inc. Basic Materials $89.19B 28,500
148 HOOD Robinhood Markets, Inc. Financial Services $88.87B 2,900
149 ING ING Groep N.V. Financial Services $88.54B 60,000
150 ASX ASE Technology Holding Co., Ltd. Technology $88.22B 96,436
151 SNPS Synopsys, Inc. Technology $87.00B 28,000
152 ADP Automatic Data Processing, Inc. Industrials $86.47B 64,000
153 HCA HCA Healthcare, Inc. Healthcare $86.02B 320,000
154 ELV Elevance Health Inc. Healthcare $85.82B 104,200
155 MELI MercadoLibre, Inc. Consumer Cyclical $84.92B 84,207
156 JCI Johnson Controls International plc Industrials $84.44B 87,000
157 SHW The Sherwin-Williams Company Basic Materials $84.40B 64,246
158 ABNB Airbnb, Inc. Consumer Cyclical $84.21B 7,300
159 LYG Lloyds Banking Group plc Financial Services $83.69B 61,228
160 RCL Royal Caribbean Cruises Ltd. Consumer Cyclical $83.01B 105,950
161 CNQ Canadian Natural Resources Limited Energy $82.91B 10,640
162 CMCSA Comcast Corporation Communication Services $82.77B 182,000
163 KKR KKR & Co. Inc. Financial Services $80.93B 4,834
164 ADBE Adobe Inc. Technology $80.59B 30,709
165 NET Cloudflare, Inc. Technology $80.44B 4,400
166 EMR Emerson Electric Co. Industrials $80.37B 73,000
167 DASH DoorDash, Inc. Communication Services $79.78B 31,400
168 DDOG Datadog, Inc. Technology $79.55B 8,100
169 AMX América Móvil, S.A.B. de C.V. Communication Services $79.31B 177,620
170 MDLZ Mondelez International, Inc. Consumer Defensive $79.10B 90,000
171 ACN Accenture plc Technology $78.93B 801,000
172 AMT American Tower Corporation Real Estate $78.61B 5,125
173 SNOW Snowflake Inc. Technology $78.31B 7,834
174 BE Bloom Energy Corporation Industrials $77.09B 2,127
175 ITW Illinois Tool Works Inc. Industrials $77.02B 44,000
176 AEM Agnico Eagle Mines Limited Basic Materials $76.74B 10,125
177 MCO Moody's Corporation Financial Services $76.67B 15,795
178 FDX FedEx Corporation Industrials $76.00B 306,000
179 HLT Hilton Worldwide Holdings Inc. Consumer Cyclical $75.78B 182,000
180 CI Cigna Corporation Healthcare $74.56B 71,295
181 ORLY O'Reilly Automotive, Inc. Consumer Cyclical $74.21B 93,419
182 TDG TransDigm Group Incorporated Industrials $73.98B 16,600
183 TER Teradyne, Inc. Technology $73.88B 6,500
184 NTES NetEase, Inc. Technology $73.45B 26,028
185 INTU Intuit Inc. Technology $73.23B 18,200 Jun 7, 2026 19d
186 SPG Simon Property Group, Inc. Real Estate $73.13B 3,600
187 CL Colgate-Palmolive Company Consumer Defensive $72.87B 34,000
188 BAM Brookfield Asset Management Ltd. Financial Services $72.11B 2,500
189 NOC Northrop Grumman Corporation Industrials $71.02B 97,000
190 FIX Comfort Systems USA, Inc. Industrials $70.97B 22,700
191 SLB Slb N.V. Energy $70.90B 109,400
192 NOK Nokia Oyj Technology $70.54B 78,434
193 GM General Motors Company Consumer Cyclical $70.42B 162,000
194 URI United Rentals, Inc. Industrials $70.27B 27,900
195 NSC Norfolk Southern Corporation Industrials $70.09B 19,600
196 NXPI NXP Semiconductors N.V. Technology $69.94B 33,100
197 DLR Digital Realty Trust, Inc. Real Estate $68.63B 4,135
198 CIEN Ciena Corporation Technology $68.61B 8,795
199 CVNA Carvana Co. Consumer Cyclical $68.34B 23,100
200 APO Apollo Global Management, Inc. Financial Services $68.20B 5,141
201 WBD Warner Bros. Discovery, Inc. Communication Services $68.19B 35,000
202 TRV The Travelers Companies, Inc. Financial Services $67.68B 34,000
203 DB Deutsche Bank AG Financial Services $67.31B 89,687
204 MFC Manulife Financial Corporation Financial Services $67.06B 37,000
205 MSI Motorola Solutions, Inc. Technology $66.88B 21,000
206 BSX Boston Scientific Corporation Healthcare $65.70B 53,000 Jun 3, 2026 23d
207 REGN Regeneron Pharmaceuticals, Inc. Healthcare $65.20B 15,158
208 RACE Ferrari N.V. Consumer Cyclical $65.02B 5,465
209 GWW W.W. Grainger, Inc. Industrials $64.91B 23,500
210 COHR Coherent, Inc. Technology $64.58B 26,157
211 MPWR Monolithic Power Systems, Inc. Technology $64.52B 4,017
212 NU Nu Holdings Ltd. Financial Services $63.78B 8,037
213 SU Suncor Energy Inc. Energy $63.64B 15,010
214 LITE Lumentum Holdings Inc. Technology $63.56B 7,257
215 STM STMicroelectronics N.V. Technology $63.48B 49,602
216 PCAR PACCAR Inc Industrials $63.22B 30,100
217 TFC Truist Financial Corporation Financial Services $63.13B 37,529
218 CARR Carrier Global Corporation Industrials $63.12B 48,000
219 HPE Hewlett Packard Enterprise Company Technology $62.19B 61,000
220 NBIS Nebius Group N.V. Communication Services $61.61B 1,371
221 TGT Target Corporation Consumer Defensive $60.90B 440,000
222 NKE NIKE, Inc. Consumer Cyclical $60.33B 79,400 Jun 18, 2026 8d
223 TRGP Targa Resources Corp. Energy $58.69B 3,370
224 TEL TE Connectivity plc Technology $57.72B 90,000
225 FLEX Flex Ltd. Technology $57.64B 148,115
226 NUE Nucor Corporation Basic Materials $56.68B 32,700
227 BKR Baker Hughes Co Energy $56.66B 56,200
228 BDX Becton, Dickinson and Company Healthcare $56.49B 70,000
229 IMO Imperial Oil Limited Energy $56.31B 5,100
230 KEYS Keysight Technologies, Inc. Technology $56.17B 15,400
231 COR Cencora, Inc. Healthcare $55.67B 47,000 Jun 3, 2026 23d
232 AME AMETEK, Inc. Industrials $55.23B 21,500
233 F Ford Motor Company Consumer Cyclical $55.22B 170,000
234 CAH Cardinal Health, Inc. Healthcare $54.98B 57,700
235 ARGX argenx SE Healthcare $54.90B 1,599
236 SE Sea Limited Consumer Cyclical $54.52B 80,700
237 FAST Fastenal Company Industrials $54.07B 21,339
238 LHX L3Harris Technologies, Inc. Industrials $53.75B 47,000
239 CRWV CoreWeave, Inc. Class A Common Stock Technology $52.69B 881
240 EW Edwards Lifesciences Corporation Healthcare $51.66B 15,800
241 FANG Diamondback Energy, Inc. Energy $51.35B 1,983
242 EA Electronic Arts Inc. Communication Services $51.34B 13,700
243 FER Ferrovial SE Industrials $50.59B 25,264
244 CRDO Credo Technology Group Holding Ltd Technology $49.98B 500
245 LNG Cheniere Energy, Inc. Energy $49.27B 1,714
246 RKLB Rocket Lab USA, Inc. Industrials $48.94B 2,100
247 HEI HEICO Corporation Industrials $48.09B 10,000
248 EBAY eBay Inc. Consumer Cyclical $47.95B 11,500
249 WAB Westinghouse Air Brake Technologies Corporation Industrials $47.93B 29,500
250 MCHP Microchip Technology Incorporated Technology $47.67B 22,300
251 DHI D.R. Horton, Inc. Consumer Cyclical $47.16B 14,766
252 MT ArcelorMittal S.A. Basic Materials $47.05B 125,416
253 STT State Street Corporation Financial Services $46.91B 52,711
254 ON ON Semiconductor Corporation Technology $46.53B 26,400
255 CVE Cenovus Energy Inc. Energy $46.27B 7,150
256 HUM Humana Inc. Healthcare $46.08B 65,680
257 FERG Ferguson plc Industrials $45.86B 35,000
258 KDP Keurig Dr Pepper Inc. Consumer Defensive $45.44B 29,000
259 CCEP Coca-Cola Europacific Partners PLC Consumer Defensive $45.03B 41,000
260 VIK Viking Holdings Ltd Consumer Cyclical $44.93B 12,000
261 GRMN Garmin Ltd. Technology $44.84B 21,800
262 IDXX IDEXX Laboratories, Inc. Healthcare $43.78B 11,000
263 TTWO Take-Two Interactive Software, Inc. Communication Services $43.77B 12,371
264 INFY Infosys Limited Technology $43.74B 300,000
265 UAL United Airlines Holdings, Inc. Industrials $43.69B 109,200
266 IX ORIX Corporation Financial Services $43.52B 33,807
267 YUM Yum! Brands, Inc. Consumer Cyclical $43.10B 49,000
268 SLF Sun Life Financial Inc. Financial Services $42.94B 31,768
269 CMG Chipotle Mexican Grill, Inc. Consumer Cyclical $42.75B 130,504
270 FMX Fomento Económico Mexicano, S.A.B. de C.V. Consumer Defensive $42.71B 394,010
271 VTR Ventas, Inc. Real Estate $42.51B 498
272 FNV Franco-Nevada Corporation Basic Materials $41.49B 42
273 ADSK Autodesk, Inc. Technology $41.44B 15,300
274 AU AngloGold Ashanti plc Basic Materials $41.26B 38,000
275 HLN Haleon plc Healthcare $40.92B 24,561
276 AMP Ameriprise Financial, Inc. Financial Services $40.75B 13,380
277 VMC Vulcan Materials Company Basic Materials $40.61B 11,971
278 LYV Live Nation Entertainment, Inc. Communication Services $40.33B 16,200
279 CBRE CBRE Group, Inc. Real Estate $39.41B 155,000
280 CCL Carnival Corporation & plc Consumer Cyclical $39.05B 160,000
281 ALNY Alnylam Pharmaceuticals, Inc. Healthcare $38.90B 2,230
282 CLS Celestica Inc. Technology $38.81B 21,914
283 WEC WEC Energy Group, Inc. Utilities $38.71B 7,000
284 TEVA Teva Pharmaceutical Industries Limited Healthcare $38.67B 37,000
285 A Agilent Technologies, Inc. Healthcare $38.41B 17,900
286 JBL Jabil Inc. Technology $37.79B 138,000
287 CBRS Cerebras Systems Inc. Technology $37.57B 340
288 COIN Coinbase Global, Inc. Financial Services $37.55B 4,951
289 PCG PG&E Corporation Utilities $37.44B 28,410
290 PYPL PayPal Holdings, Inc. Financial Services $37.38B 24,400 Jun 18, 2026 8d
291 NTRA Natera, Inc. Healthcare $37.34B 4,424
292 ARES Ares Management Corporation Financial Services $36.94B 4,250
293 ERIC Telefonaktiebolaget LM Ericsson (publ) Technology $36.78B 92,866
294 EME EMCOR Group, Inc. Industrials $36.61B 40,400
295 MLM Martin Marietta Materials, Inc. Basic Materials $36.60B 9,400
296 BBD Banco Bradesco S.A. Financial Services $36.59B 71,953
297 KVUE Kenvue Inc. Consumer Defensive $36.30B 22,000
298 HBAN Huntington Bancshares Incorporated Financial Services $36.06B 20,092
299 KMB Kimberly-Clark Corp Consumer Defensive $35.88B 37,667
300 HSY The Hershey Company Consumer Defensive $35.84B 18,540
301 KR The Kroger Co. Consumer Defensive $35.83B 409,000
302 BIDU Baidu, Inc. Communication Services $35.62B 35,900
303 HMC Honda Motor Co., Ltd. Consumer Cyclical $34.81B 194,993
304 CHT Chunghwa Telecom Co., Ltd. Communication Services $34.75B 19,912
305 CCI Crown Castle Inc. Real Estate $34.71B 1,500
306 PAYX Paychex, Inc. Industrials $34.65B 16,500
307 ESLT Elbit Systems Ltd. Industrials $34.32B 19,712
308 RBLX Roblox Corporation Technology $34.04B 2,474
309 JD JD.com, Inc. Consumer Cyclical $34.02B 570,895
310 RYAAY Ryanair Holdings plc Industrials $33.39B 25,863
311 ALC Alcon Inc. Healthcare $33.23B 25,628
312 EQT EQT Corporation Energy $32.96B 1,523
313 ACGL Arch Capital Group Ltd. Financial Services $32.96B 8,000
314 EC Ecopetrol S.A. Energy $32.26B 28,197
315 CNC Centene Corp. Healthcare $31.98B 62,775
316 VOD Vodafone Group Public Limited Company Communication Services $31.92B 93,000
317 MTZ MasTec, Inc. Industrials $31.89B 32,000
318 ZTS Zoetis Inc. Healthcare $31.88B 13,800 Jun 7, 2026 19d
319 IR Ingersoll Rand Inc. Industrials $31.84B 21,000
320 DTE DTE Energy Company Utilities $31.79B 9,650
321 AEE Ameren Corporation Utilities $31.70B 8,981
322 CPNG Coupang, Inc. Consumer Cyclical $31.56B 108,000
323 IQV IQVIA Holdings Inc. Healthcare $31.12B 89,000
324 LVS Las Vegas Sands Corp. Consumer Cyclical $30.67B 39,900
325 TS Tenaris S.A. Energy $30.64B 25,144
326 RDDT Reddit, Inc. Communication Services $30.38B 2,233
327 NTAP NetApp, Inc. Technology $30.29B 11,800
328 DOV Dover Corporation Industrials $30.21B 24,000
329 AMRZ Amrize Ltd Basic Materials $30.14B 19,000
330 EL The Estée Lauder Companies Inc. Consumer Defensive $30.12B 57,000
331 BIIB Biogen Inc. Healthcare $29.82B 7,605
332 WDAY Workday, Inc. Technology $29.80B 20,482
333 CRS Carpenter Technology Corporation Industrials $29.77B 4,600
334 MTSI MACOM Technology Solutions Holdings, Inc. Technology $29.77B 1,700
335 GEHC GE HealthCare Technologies Inc. Healthcare $29.54B 53,000
336 TPR Tapestry, Inc. Consumer Cyclical $29.50B 19,000 Jun 7, 2026 19d
337 FTS Fortis Inc. Utilities $29.41B 9,800
338 GFI Gold Fields Limited Basic Materials $29.37B 6,560 Jun 3, 2026 23d
339 RJF Raymond James Financial, Inc. Financial Services $29.33B 24,565
340 NTR Nutrien Ltd. Basic Materials $29.26B 25,500
341 TWLO Twilio Inc. Technology $29.08B 5,502
342 ASTS AST SpaceMobile, Inc. Technology $29.07B 578
343 CQP Cheniere Energy Partners, L.P. Energy $29.07B 1,530
344 RMD ResMed Inc. Healthcare $29.05B 9,980 Jun 7, 2026 19d
345 CASY Casey's General Stores, Inc. Consumer Cyclical $29.04B 23,338 Jun 7, 2026 19d
346 ATO Atmos Energy Corporation Utilities $28.99B 5,260
347 HAL Halliburton Company Energy $28.96B 48,000
348 KGC Kinross Gold Corporation Basic Materials $28.95B 8,447
349 EIX Edison International Utilities $28.76B 14,013
350 TCOM Trip.com Group Limited Consumer Cyclical $28.65B 41,073
351 TECK Teck Resources Limited Basic Materials $28.44B 7,200
352 TDY Teledyne Technologies Incorporated Technology $28.40B 14,900
353 CW Curtiss-Wright Corporation Industrials $28.36B 8,900 Jun 7, 2026 19d
354 OTIS Otis Worldwide Corporation Industrials $28.25B 72,000
355 EXPE Expedia Group, Inc. Consumer Cyclical $28.06B 16,500
356 CPRT Copart, Inc. Industrials $27.93B 13,800 Jun 7, 2026 19d
357 TSEM Tower Semiconductor Ltd. Technology $27.93B 5,613
358 SATS EchoStar Corporation Technology $27.84B 13,700
359 MKSI MKS Inc. Technology $27.71B 10,200
360 HUBB Hubbell Inc Industrials $27.50B 18,000
361 PBA Pembina Pipeline Corporation Energy $27.41B 2,997
362 TPL Texas Pacific Land Corporation Energy $27.30B 111 Jun 7, 2026 19d
363 PPG PPG Industries, Inc. Basic Materials $27.28B 46,000 Jun 7, 2026 19d
364 ATI ATI Inc. Industrials $27.23B 7,800 Jun 7, 2026 19d
365 NVT nVent Electric plc Industrials $27.10B 12,100
366 DXCM DexCom, Inc. Healthcare $27.07B 10,200 Jun 7, 2026 19d
367 STRL Sterling Infrastructure, Inc. Industrials $27.06B 3,200 Jun 7, 2026 19d
368 FICO Fair Isaac Corporation Technology $27.04B 3,718
369 ILMN Illumina, Inc. Healthcare $26.88B 8,970
370 DVN Devon Energy Corporation Energy $26.56B 2,300
371 DG Dollar General Corporation Consumer Defensive $26.50B 194,200
372 SYM Symbotic Inc. Industrials $26.50B 1,650 Jun 1, 2026 25d
373 VG Venture Global, Inc. Industrials $26.45B 2,000
374 SYF Synchrony Financial Financial Services $26.41B 20,000
375 FISV Fiserv, Inc. Technology $26.37B 38,000
376 PHG Koninklijke Philips N.V. Healthcare $26.32B 65,714
377 JBHT J.B. Hunt Transport Services, Inc. Industrials $25.90B 33,646 Jun 7, 2026 19d
378 PHM PulteGroup, Inc. Consumer Cyclical $25.87B 6,793
379 WWD Woodward, Inc. Industrials $25.85B 9,300
380 IHG InterContinental Hotels Group PLC Consumer Cyclical $25.85B 12,587
381 QSR Restaurant Brands International Inc. Consumer Cyclical $25.79B 37,600
382 FSLR First Solar, Inc. Energy $25.79B 8,100 Jun 7, 2026 19d
383 AFRM Affirm Holdings, Inc. Technology $25.74B 2,006
384 FTI TechnipFMC plc Energy $25.69B 21,000 Jun 7, 2026 19d
385 MTD Mettler-Toledo International Inc. Healthcare $25.54B 16,000
386 LUV Southwest Airlines Co. Industrials $25.36B 71,506
387 ZM Zoom Communications, Inc. Technology $25.35B 7,412
388 RL Ralph Lauren Corporation Consumer Cyclical $25.27B 23,400 Jun 7, 2026 19d
389 NMR Nomura Holdings, Inc. Financial Services $25.17B 27,301
390 KEY KeyCorp Financial Services $25.07B 16,989
391 WST West Pharmaceutical Services, Inc. Healthcare $24.79B 10,600 Jun 7, 2026 19d
392 STZ Constellation Brands, Inc. Consumer Defensive $24.78B 10,600
393 MSTR Strategy Inc Technology $24.45B 1,539
394 CMS CMS Energy Corporation Utilities $24.35B 8,433
395 DRI Darden Restaurants, Inc. Consumer Cyclical $24.27B 191,105
396 RPRX Royalty Pharma plc Healthcare $24.19B 100
397 WAT Waters Corporation Healthcare $24.06B 7,600
398 ENTG Entegris, Inc. Technology $23.89B 8,200
399 XPO XPO Logistics, Inc. Industrials $23.84B 38,000
400 P Everpure, Inc. Industrials $23.83B 6,000
401 DLTR Dollar Tree, Inc. Consumer Defensive $23.80B 153,032 Jun 7, 2026 19d
402 MRNA Moderna, Inc. Healthcare $23.71B 5,800
403 AER AerCap Holdings N.V. Industrials $23.67B 698
404 MDB MongoDB, Inc. Technology $23.66B 5,558 Jun 1, 2026 25d
405 TROW T. Rowe Price Group, Inc. Financial Services $23.61B 8,084
406 UTHR United Therapeutics Corporation Healthcare $23.33B 1,305 Jun 7, 2026 19d
407 LEN Lennar Corporation Consumer Cyclical $23.30B 13,265
408 CHD Church & Dwight Co., Inc. Consumer Defensive $23.26B 5,750 Jun 7, 2026 19d
409 VRSK Verisk Analytics, Inc. Technology $23.20B 7,800
410 PFG Principal Financial Group, Inc. Financial Services $23.18B 19,700
411 NI NiSource Inc Utilities $22.92B 7,668
412 DGX Quest Diagnostics Incorporated Healthcare $22.73B 55,000
413 INCY Incyte Corporation Healthcare $22.73B 2,617
414 KOF Coca-Cola FEMSA, S.A.B. de C.V. Consumer Defensive $22.50B 118,683 Jun 7, 2026 19d
415 INSM Insmed Incorporated Healthcare $22.43B 1,271
416 SNX TD Synnex Corp Technology $22.38B 23,900
417 FFIV F5, Inc. Technology $22.26B 6,114
418 SOFI SoFi Technologies, Inc. Financial Services $22.19B 5,000
419 LH Labcorp Holdings Inc. Healthcare $21.84B 60,900
420 CPAY Corpay, Inc. Technology $21.73B 11,200
421 BG Bunge Global S.A. Consumer Defensive $21.64B 34,000
422 VLTO Veralto Corporation Industrials $21.61B 17,000
423 PKG Packaging Corporation of America Consumer Cyclical $21.52B 15,400
424 FOXA Fox Corporation Communication Services $21.51B 10,200
425 ZS Zscaler, Inc. Technology $21.39B 7,348
426 AMKR Amkor Technology, Inc. Technology $21.22B 28,300 Jun 16, 2026 11d
427 EXE Expand Energy Corporation Energy $21.20B 1,500 Jun 7, 2026 19d
428 DPC DPC Holdings Ltd. Industrials $21.18B 3,077
429 DOW Dow Inc. Basic Materials $21.18B 36,000
430 CHRW C.H. Robinson Worldwide, Inc. Industrials $21.14B 13,347
431 EXPD Expeditors International of Washington, Inc. Industrials $21.01B 19,203
432 SMCI Super Micro Computer, Inc. Technology $20.99B 6,238
433 HPQ HP Inc. Technology $20.92B 58,000
434 BURL Burlington Stores, Inc. Consumer Cyclical $20.91B 17,057
435 FN Fabrinet Technology $20.91B 15,966
436 TEAM Atlassian Corporation Technology $20.68B 12,157
437 OKTA Okta, Inc. Technology $20.65B 5,914
438 ROL Rollins, Inc. Consumer Cyclical $20.61B 20,000
439 ULTA Ulta Beauty, Inc. Consumer Cyclical $20.59B 20,000
440 TSN Tyson Foods, Inc. Consumer Defensive $20.58B 138,000 Jun 7, 2026 19d
441 STE STERIS plc Healthcare $20.52B 17,840
442 SQM Sociedad Química y Minera de Chile S.A. Basic Materials $20.45B 8,344
443 DKS DICK'S Sporting Goods, Inc. Consumer Cyclical $20.43B 68,400
444 IONQ IonQ, Inc. Technology $20.35B 407
445 SN SharkNinja, Inc. Consumer Cyclical $20.22B 4,143 Jun 15, 2026 12d
446 ROKU Roku, Inc. Communication Services $20.09B 3,340
447 EVRG Evergy, Inc. Utilities $19.98B 4,731
448 TW Tradeweb Markets Inc. Financial Services $19.97B 1,412
449 FIS Fidelity National Information Services, Inc. Technology $19.94B 44,000
450 AMCR Amcor plc Consumer Cyclical $19.82B 77,000
451 AS Amer Sports, Inc. Consumer Cyclical $19.76B 13,400
452 RCI Rogers Communications Inc. Communication Services $19.75B 24,000
453 RS Reliance Steel & Aluminum Co. Basic Materials $19.69B 15,900 Jun 7, 2026 19d
454 CRCL Circle Internet Group Financial Services $19.66B 900
455 BCH Banco de Chile Financial Services $19.65B 11,614
456 RIVN Rivian Automotive, Inc. Consumer Cyclical $19.64B 14,861
457 FOX Fox Corporation Communication Services $19.59B 10,200
458 SBAC SBA Communications Corporation Real Estate $19.49B 1,720
459 BWXT BWX Technologies, Inc. Industrials $19.23B 8,700
460 IFF International Flavors & Fragrances Inc. Basic Materials $19.07B 22,400
461 VTRS Viatris Inc. Healthcare $19.02B 32,000
462 LSCC Lattice Semiconductor Corporation Technology $19.01B 1,110
463 GIS General Mills, Inc. Consumer Defensive $18.89B 34,000
464 CHTR Charter Communications, Inc. Communication Services $18.87B 94,500 Jun 3, 2026 23d
465 FTV Fortive Corporation Industrials $18.82B 10,000
466 H Hyatt Hotels Corporation Consumer Cyclical $18.81B 52,000
467 PAAS Pan American Silver Corp. Basic Materials $18.75B 9,000
468 SITM SiTime Corporation Technology $18.68B 395
469 DD DuPont de Nemours, Inc. Basic Materials $18.61B 15,000
470 CTSH Cognizant Technology Solutions Corporation Technology $18.55B 336,300
471 WY Weyerhaeuser Company Basic Materials $18.53B 9,400
472 LYB LyondellBasell Industries N.V. Basic Materials $18.02B 20,000
473 ZBH Zimmer Biomet Holdings, Inc. Healthcare $18.01B 17,000
474 YPF YPF Sociedad Anónima Energy $17.93B 21,594
475 ITT ITT Inc. Industrials $17.89B 11,367
476 MGA Magna International Inc. Consumer Cyclical $17.57B 167,000
477 CX CEMEX, S.A.B. de C.V. Basic Materials $17.44B 43,800 Jun 15, 2026 12d
478 TU Telus Corp Communication Services $17.33B 110,225
479 NVR NVR, Inc. Consumer Cyclical $17.32B 7,000
480 IREN IREN Limited Financial Services $17.04B 257
481 BEN Franklin Resources, Inc. Financial Services $16.98B 9,850 Jun 17, 2026 10d
482 NVMI Nova Ltd. Technology $16.98B 1,177
483 NDSN Nordson Corporation Industrials $16.97B 8,033
484 HST Host Hotels & Resorts, Inc. Real Estate $16.93B 165
485 KSPI Joint Stock Company Kaspi.kz Technology $16.90B 7,802
486 PFGC Performance Food Group Co Consumer Defensive $16.85B 42,785
487 GNRC Generac Holdings Inc. Industrials $16.78B 9,400
488 IEX IDEX Corporation Industrials $16.78B 9,000
489 NXT Nextpower Inc. Technology $16.76B 1,300
490 IOT Samsara Inc. Technology $16.72B 3,500 Jun 1, 2026 25d
491 FLUT Flutter Entertainment plc Consumer Cyclical $16.68B 28,518
492 STLA Stellantis N.V. Consumer Cyclical $16.63B 258,537
493 CDW CDW Corporation Technology $16.62B 15,100
494 GPN Global Payments Inc. Financial Services $16.52B 27,000
495 NBIX Neurocrine Biosciences, Inc. Healthcare $16.51B 1,800
496 CF CF Industries Holdings, Inc. Basic Materials $16.45B 2,800
497 LTM LATAM Airlines Group S.A. Industrials $16.44B 39,005
498 AKAM Akamai Technologies, Inc. Technology $16.42B 10,811
499 SGI Somnigroup International Inc Consumer Defensive $16.39B 12,000
500 BBY Best Buy Co., Inc. Consumer Cyclical $16.38B 85,000 Jun 9, 2026 17d
501 BALL Ball Corporation Consumer Cyclical $16.34B 16,000
502 MAS Masco Corporation Consumer Cyclical $16.11B 18,000 Jun 16, 2026 11d
503 MAA Mid-America Apartment Communities, Inc. Real Estate $16.07B 2,532
504 ONTO Onto Innovation Inc. Technology $16.03B 1,551
505 GMAB Genmab A/S Healthcare $16.02B 2,638
506 KEP Korea Electric Power Corporation Utilities $16.01B 22,481
507 THC Tenet Healthcare Corporation Healthcare $15.84B 98,000
508 CLH Clean Harbors, Inc. Industrials $15.82B 22,796
509 PKX POSCO Holdings Inc. Basic Materials $15.78B 429
510 ALB Albemarle Corporation Basic Materials $15.77B 8,300
511 TSCO Tractor Supply Company Consumer Cyclical $15.76B 26,000
512 GPC Genuine Parts Company Consumer Cyclical $15.72B 63,000
513 CSL Carlisle Cos. Industrials $15.72B 5,900
514 LAMR Lamar Advertising Company Real Estate $15.66B 3,500
515 VNOM Viper Energy, Inc. Energy $15.63B
516 RRX Regal Rexnord Corporation Industrials $15.58B 30,000
517 PAA Plains All American Pipeline, L.P. Energy $15.42B 3,950
518 TPG TPG Inc. Financial Services $15.34B 1,900
519 TOL Toll Brothers, Inc. Consumer Cyclical $15.34B 4,900
520 TXT Textron Inc. Industrials $15.29B 34,000
521 RBRK Rubrik, Inc. Technology $15.28B 3,200
522 DTM DT Midstream, Inc. Energy $15.28B 556
523 TKO TKO Group Holdings, Inc. Communication Services $15.20B 4,000
524 SSNC SS&C Technologies Holdings, Inc. Technology $15.18B 26,800
525 DOCN DigitalOcean Holdings, Inc. Technology $15.15B 1,210
526 JHX James Hardie Industries plc Basic Materials $15.10B 5,679
527 MEDP Medpace Holdings, Inc. Healthcare $15.05B 5,900
528 MOD Modine Manufacturing Company Consumer Cyclical $15.00B 11,000
529 LECO Lincoln Electric Holdings, Inc. Industrials $15.00B 12,000
530 LOGI Logitech International S.A. Technology $14.98B 7,300
531 OVV Ovintiv Inc. Energy $14.98B 1,623 Jun 9, 2026 17d
532 VICR Vicor Corporation Technology $14.96B 1,074
533 TIGO Millicom International Cellular S.A. Communication Services $14.95B 14,487
534 TOST Toast, Inc. Technology $14.95B 5,700 Jun 14, 2026 13d
535 MLI Mueller Industries, Inc. Industrials $14.86B 5,168
536 J Jacobs Solutions Inc. Industrials $14.78B 43,000
537 CG The Carlyle Group Inc. Financial Services $14.78B 2,300 Jun 10, 2026 17d
538 REG Regency Centers Corporation Real Estate $14.69B 495
539 DY Dycom Industries, Inc. Industrials $14.66B 19,556
540 DOC Healthpeak Properties, Inc. Real Estate $14.64B 387
541 SUI Sun Communities, Inc. Real Estate $14.61B 6,491
542 RGLD Royal Gold, Inc. Basic Materials $14.44B 30
543 ARMK Aramark Industrials $14.40B 266,680
544 JLL Jones Lang LaSalle Incorporated Real Estate $14.40B 112,100
545 HRL Hormel Foods Corporation Consumer Defensive $14.31B 20,000 Jun 7, 2026 19d
546 SWK Stanley Black & Decker, Inc. Industrials $14.29B 48,000
547 WULF TeraWulf Inc. Technology $14.26B 141
548 BWA BorgWarner Inc. Consumer Cyclical $14.25B 38,300
549 DECK Deckers Outdoor Corporation Consumer Cyclical $14.25B 4,800
550 IESC IES Holdings, Inc. Industrials $14.24B 9,423
551 JAZZ Jazz Pharmaceuticals plc Healthcare $14.21B 2,890
552 ALLY Ally Financial Inc. Financial Services $14.20B 10,700
553 RPM RPM International Inc. Basic Materials $14.17B 17,659
554 COKE Coca-Cola Consolidated, Inc. Consumer Defensive $14.08B 15,000
555 GRAB Grab Holdings Limited Technology $14.07B 11,267
556 GEN Gen Digital Inc. Technology $14.04B 3,400
557 TLK Perusahaan Perseroan (Persero) PT Telekomunikasi Indonesia Tbk Communication Services $14.03B 19,712
558 NWSA News Corporation Communication Services $14.02B 23,900
559 SMTC Semtech Corporation Technology $13.95B 1,838
560 AA Alcoa Corporation Basic Materials $13.92B 13,900 Jun 11, 2026 16d
561 RMBS Rambus Inc. Technology $13.90B 712
562 AEIS Advanced Energy Industries, Inc. Industrials $13.88B 10,000
563 OHI Omega Healthcare Investors, Inc. Real Estate $13.82B 60
564 DVA DaVita Inc. Healthcare $13.79B 76,000
565 COO The Cooper Companies, Inc. Healthcare $13.78B 16,000
566 MKC McCormick & Company, Incorporated Consumer Defensive $13.72B 14,100 Jun 7, 2026 19d
567 FUTU Futu Holdings Limited Financial Services $13.72B 3,343
568 SANM Sanmina Corporation Technology $13.59B 32,000
569 CHKP Check Point Software Technologies Ltd. Technology $13.56B 6,669 Jun 5, 2026 21d
570 HUT Hut 8 Corp. Financial Services $13.55B 248
571 CNH CNH Industrial N.V. Industrials $13.55B 35,850 Jun 15, 2026 12d
572 PR Permian Resources Corporation Energy $13.50B 482
573 EVR Evercore Inc. Financial Services $13.45B 2,395
574 EXEL Exelixis, Inc. Healthcare $13.38B 1,147
575 PTC PTC Inc. Technology $13.37B 7,512
576 AGI Alamos Gold Inc. Basic Materials $13.27B 2,400
577 OWL Blue Owl Capital Inc. Financial Services $13.26B 1,200
578 MOG-A Moog Inc. Industrials $13.19B 13,500
579 NTNX Nutanix, Inc. Technology $13.17B 7,150
580 PAC Grupo Aeroportuario del Pacífico, S.A.B. de C.V. Industrials $13.13B 3,541
581 APTV Aptiv PLC Consumer Cyclical $13.11B 144,250
582 ARCC Ares Capital Corporation Financial Services $13.06B 1,200
583 PNW Pinnacle West Capital Corporation Utilities $13.00B 94
584 PINS Pinterest, Inc. Communication Services $12.99B 4,778
585 BF-B Brown-Forman Corporation Consumer Defensive $12.96B 5,700
586 TXRH Texas Roadhouse, Inc. Consumer Cyclical $12.92B 95,000
587 TRU TransUnion Industrials $12.92B 13,440
588 QXO QXO, Inc. Industrials $12.90B 7,794
589 HTHT H World Group Limited Consumer Cyclical $12.83B 28,502
590 LDOS Leidos Holdings, Inc. Technology $12.80B 47,000
591 ENLT Enlight Renewable Energy Ltd Utilities $12.74B 360
592 LULU Lululemon Athletica Inc. Consumer Cyclical $12.72B 39,000 Jun 3, 2026 23d
593 UDR UDR, Inc. Real Estate $12.70B 1,419
594 RVTY Revvity, Inc. Healthcare $12.67B 11,000
595 GGG Graco Inc. Industrials $12.66B 4,300
596 AVY Avery Dennison Corporation Basic Materials $12.59B 35,000
597 ALGN Align Technology, Inc. Healthcare $12.58B 21,200
598 TME Tencent Music Entertainment Group Communication Services $12.58B 5,353
599 SNN Smith & Nephew plc Healthcare $12.54B 17,818
600 KNX Knight-Swift Transportation Holdings Inc. Industrials $12.52B 35,300
601 AGNC AGNC Investment Corp. Real Estate $12.51B 53
602 PEN Penumbra, Inc. Healthcare $12.48B 4,600
603 FMS Fresenius Medical Care AG & Co. KGaA Healthcare $12.48B 112,035
604 AIT Applied Industrial Technologies, Inc. Industrials $12.37B 6,818
605 CCK Crown Holdings, Inc. Consumer Cyclical $12.36B 23,000
606 CR Crane Company Industrials $12.35B 7,500
607 U Unity Software Inc. Technology $12.32B 4,987
608 SKM SK Telecom Co.,Ltd Communication Services $12.31B 5,054
609 AMH American Homes 4 Rent Real Estate $12.24B 1,730
610 AUR Aurora Innovation, Inc. Technology $12.23B 1,800
611 ELS Equity LifeStyle Properties, Inc. Real Estate $12.19B 3,800 Jun 15, 2026 12d
612 ELAN Elanco Animal Health Incorporated Healthcare $12.17B 9,000
613 PAG Penske Automotive Group, Inc. Consumer Cyclical $11.98B 28,700
614 ONON On Holding AG Consumer Cyclical $11.97B 3,963
615 MOH Molina Healthcare, Inc. Healthcare $11.97B 18,000 Jun 7, 2026 19d
616 LI Li Auto Inc. Consumer Cyclical $11.95B 32,248
617 DRS Leonardo DRS, Inc. Industrials $11.92B 7,000
618 WMS Advanced Drainage Systems, Inc. Industrials $11.89B 5,705 Jun 7, 2026 19d
619 TYL Tyler Technologies, Inc. Technology $11.85B 7,462
620 PS Pershing Square Inc. Financial Services $11.85B 44
621 DINO HF Sinclair Corporation Energy $11.84B 5,297
622 MDGL Madrigal Pharmaceuticals, Inc. Healthcare $11.82B 528
623 APA APA Corporation Energy $11.81B 1,791
624 CLX The Clorox Company Consumer Defensive $11.79B 7,400 Jun 7, 2026 19d
625 SJM The J. M. Smucker Company Consumer Defensive $11.78B 9,000
626 DT Dynatrace, Inc. Technology $11.78B 4,700
627 TRMB Trimble Inc. Technology $11.71B 12,100 Jun 21, 2026 6d
628 ARW Arrow Electronics, Inc. Technology $11.71B 21,520
629 CSGP CoStar Group, Inc. Real Estate $11.70B 8,441 Jun 3, 2026 23d
630 CPT Camden Property Trust Real Estate $11.69B 1,660
631 EMBJ Embraer S.A. Technology $11.63B 21,122 Jun 10, 2026 17d
632 FORM FormFactor, Inc. Technology $11.60B 2,238
633 BLD TopBuild Corp. Industrials $11.51B 13,984
634 XPEV XPeng Inc. Consumer Cyclical $11.48B 15,364
635 IVZ Invesco Ltd. Financial Services $11.47B 7,499
636 LFUS Littelfuse, Inc. Industrials $11.44B 17,000
637 NIO NIO Inc. Consumer Cyclical $11.43B 45,635
638 APLD Applied Digital Corp. Technology $11.42B 205
639 BJ BJ's Wholesale Club Holdings, Inc. Consumer Defensive $11.35B 33,000 Jun 20, 2026 7d
640 WSE Wise Group plc Class A Ordinary Shares Industrials $11.15B 6,500
641 BAX Baxter International Inc. Healthcare $11.13B 38,000
642 AAOI Applied Optoelectronics, Inc. Technology $11.12B 3,309
643 ARWR Arrowhead Pharmaceuticals, Inc. Healthcare $11.11B 609
644 HII Huntington Ingalls Industries, Inc. Industrials $11.11B 44,000
645 BMRN BioMarin Pharmaceutical Inc. Healthcare $11.08B 3,040
646 GMED Globus Medical, Inc. Healthcare $11.08B 5,300
647 TECH Bio-Techne Corporation Healthcare $11.07B 3,100
648 UMBF UMB Financial Corporation Financial Services $11.01B 3,698
649 CART Maplebear Inc. Technology $11.00B 3,540 Jun 7, 2026 19d
650 KRYS Krystal Biotech, Inc. Healthcare $10.97B 275
651 OC Owens Corning Industrials $10.97B 25,000
652 EGP EastGroup Properties, Inc. Real Estate $10.95B 101
653 ICLR ICON Public Limited Company Healthcare $10.92B 40,950
654 AR Antero Resources Corporation Energy $10.90B 616
655 AYI Acuity Brands, Inc. Industrials $10.89B 13,200
656 WTFC Wintrust Financial Corporation Financial Services $10.88B 5,903
657 SMMT Summit Therapeutics Inc. Healthcare $10.87B 159
658 ESI Element Solutions Inc Basic Materials $10.81B 5,300 Jun 7, 2026 19d
659 AM Antero Midstream Corporation Energy $10.78B 616
660 FRT Federal Realty Investment Trust Real Estate $10.76B 304
661 BPOP Popular, Inc. Financial Services $10.76B 9,274 Jun 7, 2026 19d
662 BXP BXP, Inc. Real Estate $10.75B 816 Jun 7, 2026 19d
663 PODD Insulet Corp. Healthcare $10.65B 5,400
664 CIFR Cipher Mining Inc. Financial Services $10.61B 43
665 AAON AAON, Inc. Industrials $10.61B 4,812
666 AHR American Healthcare REIT, Inc. Real Estate $10.54B 114 Jun 7, 2026 19d
667 SWKS Skyworks Solutions, Inc. Technology $10.52B 9,938
668 CDE Coeur Mining, Inc. Basic Materials $10.51B 2,116
669 RIOT Riot Platforms, Inc. Financial Services $10.50B 783
670 AES The AES Corporation Utilities $10.46B 9,100
671 GDDY GoDaddy Inc. Technology $10.46B 5,518
672 SCI Service Corporation International Consumer Cyclical $10.46B 25,000
673 HL Hecla Mining Company Basic Materials $10.42B 1,830 Jun 14, 2026 13d
674 POWL Powell Industries, Inc. Industrials $10.42B 2,748
675 GSAT Globalstar, Inc. Communication Services $10.34B 389
676 FIVE Five Below, Inc. Consumer Defensive $10.32B 7,300
677 OGE OGE Energy Corp. Utilities $10.23B 2,291
678 CACI CACI International Inc Technology $10.03B 25,000
679 ALSN Allison Transmission Holdings, Inc. Consumer Cyclical $10.02B 4,000
680 TKR The Timken Company Industrials $10.01B 19,000
681 GTLS Chart Industries, Inc. Industrials $10.00B 11,928 Jun 7, 2026 19d
682 ONB Old National Bancorp Financial Services $9.95B 4,028
683 DCI Donaldson Company, Inc. Industrials $9.93B 14,000
684 DPZ Domino's Pizza, Inc. Consumer Cyclical $9.92B 10,200
685 MP MP Materials Corp. Basic Materials $9.90B 804
686 EHC Encompass Health Corporation Healthcare $9.89B 28,572
687 SFD Smithfield Foods, Inc. Consumer Defensive $9.80B 33,250
688 BRX Brixmor Property Group Inc. Real Estate $9.79B 453
689 GME GameStop Corp. Consumer Cyclical $9.76B 6,000 Jun 21, 2026 6d
690 MUSA Murphy USA Inc. Consumer Cyclical $9.72B 5,900
691 GLXY Galaxy Digital Financial Services $9.71B 700
692 CAVA CAVA Group, Inc. Consumer Cyclical $9.70B 10,300
693 LINE Lineage, Inc. Real Estate $9.70B 26,000
694 ENSG The Ensign Group, Inc. Healthcare $9.69B 39,300 Jun 7, 2026 19d
695 PAYP PayPay Corporation Technology $9.65B 2,012
696 CFR Cullen/Frost Bankers, Inc. Financial Services $9.64B 6,008
697 NCLH Norwegian Cruise Line Holdings Ltd. Consumer Cyclical $9.63B 41,700
698 BLDR Builders FirstSource, Inc. Industrials $9.59B 28,000 Jun 12, 2026 15d
699 FLS Flowserve Corporation Industrials $9.58B 16,000 Jun 9, 2026 17d
700 HMY Harmony Gold Mining Company Limited Basic Materials $9.55B 34,350
701 FROG JFrog Ltd. Technology $9.54B 1,600
702 HLI Houlihan Lokey, Inc. Financial Services $9.54B 2,601
703 SIRI Sirius XM Holdings Inc. Communication Services $9.54B 5,119 Jun 7, 2026 19d
704 FCFS FirstCash Holdings, Inc Financial Services $9.52B 20,000 Jun 7, 2026 19d
705 LLYVK Liberty Live Group Communication Services $9.46B 300
706 LEVI Levi Strauss & Co. Consumer Cyclical $9.45B 18,700 Jun 10, 2026 17d
707 CTRE CareTrust REIT, Inc. Real Estate $9.40B 21
708 ASR Grupo Aeroportuario del Sureste, S. A. B. de C. V. Industrials $9.30B 1,936
709 ARE Alexandria Real Estate Equities, Inc. Real Estate $9.29B 552
710 HBM Hudbay Minerals Inc. Basic Materials $9.25B 2,233
711 OSK Oshkosh Corp Industrials $9.25B 18,033
712 CUBE CubeSmart Real Estate $9.25B 3,104
713 ADC Agree Realty Corporation Real Estate $9.25B 75
714 IAG Iamgold Corporation Basic Materials $9.15B 3,741
715 JKHY Jack Henry & Associates, Inc. Technology $9.14B 7,198
716 BROS Dutch Bros Inc. Consumer Cyclical $9.12B 18,000
717 NUVL Nuvalent, Inc. Healthcare $9.09B 162
718 DDS Dillard's, Inc. Consumer Cyclical $9.08B 28,800
719 ACM Aecom Industrials $9.07B 51,000
720 PRMB Primo Brands Corporation Consumer Defensive $9.05B 13,000 Jun 7, 2026 19d
721 CNM Core & Main, Inc. Industrials $9.05B 5,700
722 ALV Autoliv, Inc. Consumer Cyclical $9.04B 59,310 Jun 20, 2026 7d
723 IT Gartner, Inc. Industrials $9.04B 21,107
724 AMG Affiliated Managers Group, Inc. Financial Services $8.98B 4,100
725 KYMR Kymera Therapeutics, Inc. Healthcare $8.89B 208
726 HUBS HubSpot, Inc. Technology $8.89B 8,574
727 TEM Tempus AI, Inc. Healthcare $8.87B 2,400
728 KTOS Kratos Defense & Security Solutions, Inc. Industrials $8.85B 4,000
729 PL Planet Labs PBC Industrials $8.83B 810
730 NNN NNN REIT, Inc. Real Estate $8.82B 83
731 MSGS Madison Square Garden Sports Corp. Communication Services $8.81B 514
732 ALKS Alkermes plc Healthcare $8.81B 2,095
733 CORT Corcept Therapeutics Incorporated Healthcare $8.76B 500
734 MXL MaxLinear, Inc. Technology $8.65B 1,115
735 CORZ Core Scientific, Inc. Technology $8.65B 325
736 TTD The Trade Desk, Inc. Communication Services $8.64B 3,522 Jun 7, 2026 19d
737 AOS A. O. Smith Corporation Industrials $8.63B 12,700
738 SSD Simpson Manufacturing Co., Inc. Industrials $8.62B 5,872
739 HALO Halozyme Therapeutics, Inc. Healthcare $8.62B 350
740 LUMN Lumen Technologies, Inc. Communication Services $8.57B 24,000
741 RRC Range Resources Corporation Energy $8.56B 565 Jun 7, 2026 19d
742 AGCO AGCO Corporation Industrials $8.50B 24,000
743 SUN Sunoco LP Energy $8.49B 8,910 Jun 7, 2026 19d
744 VSAT Viasat, Inc. Technology $8.46B 7,500
745 BOKF BOK Financial Corporation Financial Services $8.45B 5,030
746 GKOS Glaukos Corporation Healthcare $8.43B 995
747 QRVO Qorvo, Inc. Technology $8.39B 6,200 Jun 13, 2026 14d
748 BSY Bentley Systems, Incorporated Technology $8.39B 5,500 Jun 7, 2026 19d
749 FR First Industrial Realty Trust, Inc. Real Estate $8.37B 152
750 DAR Darling Ingredients Inc. Consumer Defensive $8.37B 15,500 Jun 7, 2026 19d
751 QBTS D-Wave Quantum Inc. Technology $8.36B 216
752 CBSH Commerce Bancshares, Inc. Financial Services $8.35B 4,662
753 LTH Life Time Group Holdings, Inc. Consumer Cyclical $8.31B 43,000
754 IDA IDACORP, Inc. Utilities $8.29B 2,130
755 ECG Everus Construction Group, Inc. Industrials $8.27B 8,700
756 ENS EnerSys Industrials $8.27B 11,072
757 FIG Figma, Inc. Technology $8.21B 1,886
758 FRO Frontline Plc Industrials $8.19B 83
759 BIRK Birkenstock Holding plc Consumer Cyclical $8.19B 6,200
760 TGTX TG Therapeutics, Inc. Healthcare $8.19B 352
761 APGE Apogee Therapeutics, Inc. Healthcare $8.19B 196
762 GIL Gildan Activewear Inc. Consumer Cyclical $8.18B 50,000
763 VLY Valley National Bancorp Financial Services $8.16B 3,732
764 DOCU DocuSign, Inc. Technology $8.16B 6,838
765 VSH Vishay Intertechnology, Inc. Technology $8.15B 22,700
766 MTCH Match Group, Inc. Communication Services $8.14B 2,270 Jun 12, 2026 15d
767 RAL Ralliant Corp Technology $8.09B 7,000
768 EMN Eastman Chemical Company Basic Materials $8.09B 14,000
769 BIO Bio-Rad Laboratories, Inc. Healthcare $8.06B 7,700
770 NPO EnPro Industries, Inc. Industrials $8.03B 3,500
771 SFM Sprouts Farmers Market, Inc. Consumer Defensive $8.03B 35,000
772 JHG Janus Henderson Group plc Financial Services $8.00B 2,308 Jun 21, 2026 6d
773 QGEN Qiagen N.V. Healthcare $7.95B 5,736
774 REXR Rexford Industrial Realty, Inc. Real Estate $7.95B 256 Jun 9, 2026 17d
775 PLXS Plexus Corp. Technology $7.94B 20,000
776 ATR AptarGroup, Inc. Healthcare $7.93B 13,000
777 CMC Commercial Metals Company Basic Materials $7.93B 13,178
778 AG First Majestic Silver Corp. Basic Materials $7.93B 4,000
779 CAE CAE Inc. Industrials $7.92B 13,000
780 IMVT Immunovant, Inc. Healthcare $7.85B 362
781 HESM Hess Midstream LP Energy $7.82B 176
782 BVN Compañía de Minas Buenaventura S.A.A. Basic Materials $7.81B 8,310
783 PCVX Vaxcyte, Inc. Healthcare $7.78B 414
784 CRUS Cirrus Logic, Inc. Technology $7.77B 1,609
785 MIDD The Middleby Corporation Industrials $7.77B 10,616
786 STN Stantec Inc. Industrials $7.75B 32,000
787 OSCR Oscar Health, Inc. Healthcare $7.72B 2,400 Jun 9, 2026 17d
788 ORA Ormat Technologies, Inc. Utilities $7.63B 1,512
789 CELH Celsius Holdings, Inc. Consumer Defensive $7.63B 1,073 Jun 18, 2026 8d
790 MYRG MYR Group Inc. Industrials $7.59B 8,500
791 MANH Manhattan Associates, Inc. Technology $7.57B 4,690
792 CWEN Clearway Energy, Inc. Utilities $7.56B 60
793 POOL Pool Corporation Industrials $7.56B 6,000
794 PNFP Pinnacle Financial Partners, Inc. Financial Services $7.54B 8,389
795 UGI UGI Corporation Utilities $7.54B 9,750
796 CHWY Chewy, Inc. Consumer Cyclical $7.51B 18,000 Jun 13, 2026 14d
797 COLB Columbia Banking System, Inc. Financial Services $7.50B 6,005 Jun 19, 2026 8d
798 TTEK Tetra Tech, Inc. Industrials $7.49B 30,000
799 FLR Fluor Corporation Industrials $7.49B 22,995
800 SAIL SailPoint, Inc. Technology $7.48B 2,738
801 STAG STAG Industrial, Inc. Real Estate $7.47B 91
802 BAH Booz Allen Hamilton Holding Corporation Industrials $7.46B 35,900 Jun 7, 2026 19d
803 RYTM Rhythm Pharmaceuticals, Inc. Healthcare $7.43B 283
804 EQX Equinox Gold Corp. Basic Materials $7.43B 3,692
805 ETSY Etsy, Inc. Consumer Cyclical $7.41B 2,400 Jun 18, 2026 9d
806 HQY HealthEquity, Inc. Healthcare $7.40B 3,105
807 AXTA Axalta Coating Systems Ltd. Basic Materials $7.38B 12,900 Jun 11, 2026 16d
808 MHK Mohawk Industries, Inc. Consumer Cyclical $7.38B 41,900
809 NEU NewMarket Corporation Basic Materials $7.37B 2,060
810 SNAP Snap Inc. Communication Services $7.36B 5,061
811 KEX Kirby Corporation Industrials $7.33B 5,414
812 CWAN Clearwater Analytics Holdings, Inc. Technology $7.30B 1,915
813 PB Prosperity Bancshares, Inc. Financial Services $7.30B 3,898
814 HIMS Hims & Hers Health, Inc. Healthcare $7.30B 1,637 May 21, 2026 36d
815 GTES Gates Industrial Corporation plc Industrials $7.29B 14,100 Jun 17, 2026 10d
816 HXL Hexcel Corporation Industrials $7.28B 5,894
817 GAP The Gap, Inc. Consumer Cyclical $7.28B 82,000
818 NFG National Fuel Gas Company Energy $7.27B 2,311
819 CAMT Camtek Ltd. Technology $7.25B 656
820 EXP Eagle Materials Inc. Basic Materials $7.23B 2,500
821 SLAB Silicon Laboratories Inc. Technology $7.20B 1,868
822 KMX CarMax, Inc. Consumer Cyclical $7.20B 30,048 Jun 21, 2026 5d
823 VNO Vornado Realty Trust Real Estate $7.16B 2,996 Jun 9, 2026 17d
824 KNSL Kinsale Capital Group, Inc. Financial Services $7.16B 716
825 EDU New Oriental Education & Technology Group Inc. Consumer Defensive $7.16B 67,935
826 KLAR Klarna Group plc Technology $7.15B 3,778
827 IDCC InterDigital, Inc. Technology $7.13B 430
828 HR Healthcare Realty Trust Incorporated Real Estate $7.12B 550
829 ROAD Construction Partners, Inc. Industrials $7.11B 6,412
830 LNTH Lantheus Holdings, Inc. Healthcare $7.10B 808
831 ACA Arcosa, Inc. Industrials $7.10B 6,250
832 AVT Avnet, Inc. Technology $7.08B 15,462
833 PAYC Paycom Software, Inc. Technology $7.02B 5,770 Jun 5, 2026 21d
834 TRNO Terreno Realty Corporation Real Estate $7.01B 49
835 LQDA Liquidia Corporation Healthcare $6.95B 170
836 COMP Compass, Inc. Technology $6.93B 2,566
837 LEA Lear Corporation Consumer Cyclical $6.92B 173,700
838 AWI Armstrong World Industries, Inc. Industrials $6.92B 3,600
839 OMF OneMain Holdings, Inc. Financial Services $6.92B 9,000
840 BILI Bilibili Inc. Technology $6.91B 8,088
841 MOS The Mosaic Company Basic Materials $6.91B 13,765
842 ACI Albertsons Companies Consumer Defensive $6.88B 283,333
843 GVA Granite Construction Incorporated Industrials $6.85B 2,300
844 FNB F.N.B. Corporation Financial Services $6.85B 4,104
845 AVAV AeroVironment, Inc. Industrials $6.82B 1,403
846 LKQ LKQ Corporation Consumer Cyclical $6.82B 47,000
847 DBX Dropbox, Inc. Technology $6.78B 2,204
848 LAD Lithia Motors, Inc. Consumer Cyclical $6.78B 30,000
849 SGHC Super Group (SGHC) Limited Consumer Cyclical $6.77B 3,589
850 VFC V.F. Corporation Consumer Cyclical $6.76B 18,000 Jun 21, 2026 5d
851 KLIC Kulicke and Soffa Industries, Inc. Technology $6.74B 2,677
852 CHRD Chord Energy Corporation Energy $6.73B 762
853 ACMR ACM Research, Inc. Technology $6.70B 2,023
854 NOV NOV Inc. Energy $6.70B 34,010
855 BB BlackBerry Limited Technology $6.68B 1,820
856 BYD Boyd Gaming Corporation Consumer Cyclical $6.67B 16,009
857 CPB Campbell Soup Company Consumer Defensive $6.66B 14,400
858 CAG Conagra Brands, Inc. Consumer Defensive $6.66B 18,500 Jun 7, 2026 19d
859 TMHC Taylor Morrison Home Corporation Consumer Cyclical $6.63B 3,000 Jun 15, 2026 12d
860 FRVO Fervo Energy Co. Utilities $6.63B 199
861 AVTR Avantor, Inc. Healthcare $6.62B 13,500
862 GTX Garrett Motion Inc. Consumer Cyclical $6.57B 6,600
863 PPC Pilgrim's Pride Corporation Consumer Defensive $6.57B 62,600
864 ELVR Elevra Lithium Limited Basic Materials $6.55B 230
865 M Macy's, Inc. Consumer Cyclical $6.54B 94,189
866 PRAX Praxis Precision Medicines, Inc. Healthcare $6.53B 116
867 VSCO Victoria's Secret & Co. Consumer Cyclical $6.53B 12,000
868 CACC Credit Acceptance Corporation Financial Services $6.52B 2,291
869 VSXY Victoria's Secret & Company Consumer Cyclical $6.50B 33,000
870 MSM MSC Industrial Direct Co., Inc. Industrials $6.49B 7,191
871 SWX Southwest Gas Holdings, Inc. Utilities $6.48B 11,122
872 CPA Copa Holdings, S.A. Industrials $6.47B 8,565
873 MSA MSA Safety Incorporated Industrials $6.47B 5,000
874 GATX GATX Corporation Industrials $6.45B 2,150
875 WH Wyndham Hotels & Resorts, Inc. Consumer Cyclical $6.45B 2,200
876 ICL ICL Group Ltd Basic Materials $6.43B 12,349
877 CGON CG Oncology Inc. Healthcare $6.42B 142
878 AN AutoNation, Inc. Consumer Cyclical $6.41B 25,100
879 GOLF Acushnet Holdings Corp. Consumer Cyclical $6.41B 7,300
880 INGM Ingram Micro Holding Corporation Technology $6.38B 23,500 Jun 19, 2026 8d
881 PACS PACS Group, Inc. Financial Services $6.37B 32,433
882 TXNM TXNM Energy, Inc. Utilities $6.36B 1,695
883 UBSI United Bankshares, Inc. Financial Services $6.36B 2,553
884 MRCY Mercury Systems, Inc. Industrials $6.34B 2,364
885 FND Floor & Decor Holdings, Inc. Consumer Cyclical $6.30B 10,413 Jun 9, 2026 17d
886 CNTA Centessa Pharmaceuticals plc Healthcare $6.27B 77
887 SRRK Scholar Rock Holding Corporation Healthcare $6.26B 128
888 SBSW Sibanye Stillwater Limited Basic Materials $6.23B 57,857
889 ENPH Enphase Energy, Inc. Energy $6.22B 2,781
890 GRFS Grifols, S.A. Healthcare $6.22B 23,833
891 FSV FirstService Corporation Real Estate $6.20B 30,000
892 CHDN Churchill Downs Incorporated Consumer Cyclical $6.20B 6,480
893 LW Lamb Weston Holdings, Inc. Consumer Defensive $6.20B 10,700
894 GLBE Global-e Online Ltd. Consumer Cyclical $6.17B 1,084
895 EGO Eldorado Gold Corporation Basic Materials $6.17B 5,800
896 RGTI Rigetti Computing, Inc. Technology $6.15B 137
897 INGR Ingredion Incorporated Consumer Defensive $6.15B 11,000
898 CLF Cleveland-Cliffs Inc. Basic Materials $6.14B 30,000
899 KRMN Karman Holdings Inc. Industrials $6.13B 1,113
900 PCOR Procore Technologies, Inc. Technology $6.13B 4,203
901 URBN Urban Outfitters, Inc. Consumer Cyclical $6.11B 11,000
902 BZ Kanzhun Limited Industrials $6.10B 5,688
903 PSMT PriceSmart, Inc. Consumer Defensive $6.06B 12,133
904 ABVX Abivax S.A. Healthcare $6.06B 69
905 POR Portland General Electric Company Utilities $5.97B 2,915
906 AUB Atlantic Union Bankshares Corporation Financial Services $5.96B 2,128
907 GXO GXO Logistics, Inc. Industrials $5.94B 150,000
908 BMA Banco Macro S.A. Financial Services $5.93B 9,004
909 FRMI Fermi Inc. Common Stock Utilities $5.92B 1
910 CROX Crocs, Inc. Consumer Cyclical $5.91B 7,910
911 OR OR Royalties Inc. Basic Materials $5.90B 124
912 ALK Alaska Air Group, Inc. Industrials $5.89B 29,773
913 MIRM Mirum Pharmaceuticals, Inc. Healthcare $5.89B 334
914 CAR Avis Budget Group, Inc. Industrials $5.88B 17,000
915 HNGE Hinge Health, Inc. Healthcare $5.81B 1,514
916 MTRN Materion Corporation Basic Materials $5.80B 3,000
917 HOMB Home Bancshares, Inc. Financial Services $5.78B 2,552
918 CVLT Commvault Systems, Inc. Technology $5.78B 3,200
919 LPX Louisiana-Pacific Corporation Basic Materials $5.76B 4,300
920 NJR New Jersey Resources Corporation Utilities $5.72B 1,372
921 GDS GDS Holdings Limited Technology $5.72B 2,276
922 DSGX The Descartes Systems Group Inc. Technology $5.69B 1,334
923 IBP Installed Building Products, Inc. Consumer Cyclical $5.68B 10,800 Jun 3, 2026 23d
924 RUSHA Rush Enterprises, Inc. Consumer Cyclical $5.66B 7,827
925 REYN Reynolds Consumer Products Inc. Consumer Defensive $5.65B 6,000
926 TWST Twist Bioscience Corporation Healthcare $5.63B 923
927 MTH Meritage Homes Corporation Consumer Cyclical $5.63B 1,898
928 BC Brunswick Corporation Consumer Cyclical $5.63B 13,650
929 DUOL Duolingo, Inc. Technology $5.59B 830
930 SPHR Sphere Entertainment Co. Communication Services $5.59B 1,080
931 ESTC Elastic N.V. Technology $5.57B 3,403
932 ACLS Axcelis Technologies, Inc. Technology $5.55B 1,524
933 ENVA Enova International, Inc. Financial Services $5.51B 1,852
934 SEZL Sezzle Inc. Financial Services $5.51B 402
935 AMRX Amneal Pharmaceuticals, Inc. Healthcare $5.50B 8,300 Jun 13, 2026 14d
936 TVTX Travere Therapeutics, Inc. Healthcare $5.50B 385
937 FBIN Fortune Brands Innovations, Inc. Industrials $5.48B 11,000 Jun 18, 2026 9d
938 TEX Terex Corporation Industrials $5.46B 11,400 Jun 11, 2026 16d
939 BCPC Balchem Corp Basic Materials $5.44B 1,372
940 BGC BGC Group, Inc Financial Services $5.44B 3,971
941 DOX Amdocs Limited Technology $5.43B 29,058
942 LYFT Lyft, Inc. Technology $5.42B 2,934
943 PCTY Paylocity Holding Corporation Technology $5.38B 6,400
944 S SentinelOne, Inc. Technology $5.36B 2,800
945 BTG B2Gold Corp. Basic Materials $5.34B 2,212
946 BOOT Boot Barn Holdings, Inc. Consumer Cyclical $5.32B 10,400
947 LEGN Legend Biotech Corporation Healthcare $5.31B 2,900
948 OBDC Blue Owl Capital Corporation Financial Services $5.30B
949 DIOD Diodes Incorporated Technology $5.28B 7,829
950 PATH UiPath Inc. Technology $5.28B 3,868
951 PIPR Piper Sandler Companies Financial Services $5.25B 1,826
952 RITM Rithm Capital Corp. Financial Services $5.24B 7,327
953 CAI Caris Life Sciences, Inc. Healthcare $5.23B 1,769
954 CRSP CRISPR Therapeutics AG Healthcare $5.21B 393
955 MARA Marathon Digital Holdings, Inc. Financial Services $5.20B 171
956 APPF AppFolio Inc. Technology $5.19B 1,702
957 OTEX Open Text Corporation Technology $5.19B 21,700
958 TREX Trex Company, Inc. Industrials $5.17B 1,838 Jun 10, 2026 17d
959 NAVN Navan, Inc. Technology $5.16B 3,400
960 INDV Indivior Pharmaceuticals Inc Healthcare $5.15B 1,030
961 NICE NICE Ltd. Technology $5.13B 9,626
962 CHH Choice Hotels International, Inc. Consumer Cyclical $5.13B 1,695
963 SITE SiteOne Landscape Supply, Inc. Industrials $5.10B 7,840 Jun 3, 2026 23d
964 VVV Valvoline Inc. Energy $5.07B 10,500
965 MMYT MakeMyTrip Limited Consumer Cyclical $5.06B 4,576
966 PSN Parsons Corporation Industrials $5.03B 20,000
967 GLNG Golar LNG Limited Energy $5.03B 474
968 DLB Dolby Laboratories, Inc. Technology $5.01B 2,080
969 FFIN First Financial Bankshares, Inc. Financial Services $5.01B 1,400
970 UCTT Ultra Clean Holdings, Inc. Technology $5.00B 6,773
971 PRIM Primoris Services Corporation Industrials $4.98B 15,716 Jun 10, 2026 17d
972 AMTM Amentum Holdings, Inc. Industrials $4.94B 53,000 Jun 12, 2026 15d
973 ACIW ACI Worldwide, Inc. Technology $4.94B 3,103
974 XMTR Xometry, Inc. Industrials $4.93B 1,088
975 JSM Navient Corporation SR NT 6% 121543 Financial Services $4.92B 2,100
976 GBTG Global Business Travel Group, Inc. Technology $4.92B 19,000
977 FIGR Figure Technology Solutions, Inc. Class A Common Stock Financial Services $4.91B 530
978 GTLB GitLab Inc. Technology $4.91B 2,375 Jun 1, 2026 25d
979 MC Moelis & Company Financial Services $4.90B 1,308
980 DFTX Definium Therapeutics, Inc. Healthcare $4.90B 74
981 ALHC Alignment Healthcare, Inc. Healthcare $4.88B 1,679
982 SBRA Sabra Health Care REIT, Inc. Real Estate $4.87B 50
983 OTF Blue Owl Technology Finance Corp. Financial Services $4.85B
984 IBOC International Bancshares Corporation Financial Services $4.84B 2,103
985 G Genpact Limited Technology $4.84B 145,000
986 CUZ Cousins Properties Incorporated Real Estate $4.81B 306
987 FELE Franklin Electric Co., Inc. Industrials $4.81B 6,467
988 NNI Nelnet, Inc. Financial Services $4.80B 6,739
989 SLM SLM Corporation Financial Services $4.80B 1,788
990 SKY Champion Homes, Inc. Consumer Cyclical $4.80B 9,000
991 CNX CNX Resources Corporation Energy $4.77B 458
992 MTN Vail Resorts, Inc. Consumer Cyclical $4.75B 7,600
993 UFPI UFP Industries, Inc. Basic Materials $4.75B 15,000
994 MAIN Main Street Capital Corporation Financial Services $4.74B 104
995 VRNS Varonis Systems, Inc. Technology $4.73B 2,406 Jun 5, 2026 21d
996 POWI Power Integrations, Inc. Technology $4.73B 865
997 NXST Nexstar Media Group, Inc. Communication Services $4.72B 11,773
998 RELY Remitly Global, Inc. Technology $4.71B 2,800
999 RIG Transocean Ltd. Energy $4.71B 5,470
1000 CSW CSW Industrials, Inc. Industrials $4.70B 2,600
1001 SR Spire Inc. Utilities $4.70B 3,523
1002 REZI Resideo Technologies, Inc. Technology $4.69B 14,640
1003 IPGP IPG Photonics Corporation Technology $4.68B 4,740
1004 VCYT Veracyte, Inc. Healthcare $4.67B 755
1005 RYAN Ryan Specialty Holdings, Inc. Financial Services $4.65B 5,556
1006 MRX Marex Group PLC Financial Services $4.64B 3,224
1007 HRB H&R Block, Inc. Consumer Cyclical $4.61B 70,100
1008 AQN Algonquin Power & Utilities Corp. Utilities $4.60B 3,233
1009 AZZ AZZ Inc. Industrials $4.58B 3,684
1010 CENX Century Aluminum Company Basic Materials $4.53B 2,971
1011 EPR EPR Properties Real Estate $4.52B 55
1012 WEX WEX Inc. Technology $4.52B 6,500
1013 MIR Mirion Technologies, Inc. Industrials $4.51B 2,800
1014 CVCO Cavco Industries, Inc. Consumer Cyclical $4.51B 6,500
1015 SAIC Science Applications International Corporation Technology $4.51B 24,000
1016 HCC Warrior Met Coal, Inc. Energy $4.48B 1,336
1017 CIGI Colliers International Group Inc. Real Estate $4.46B 23,000
1018 KVYO Klaviyo, Inc. Technology $4.45B 2,316 Jun 1, 2026 25d
1019 LBRT Liberty Energy Inc. Energy $4.45B 5,700
1020 MAAS Maase Inc. Financial Services $4.45B 230
1021 IRDM Iridium Communications Inc. Communication Services $4.43B 873
1022 LBRDA Liberty Broadband Corporation Communication Services $4.41B 1,900
1023 QS QuantumScape Corporation Consumer Cyclical $4.40B 800
1024 CELC Celcuity Inc. Healthcare $4.40B 155
1025 TXG 10x Genomics, Inc. Healthcare $4.40B 1,306
1026 ATAT Atour Lifestyle Holdings Limited Consumer Cyclical $4.38B 5,488
1027 PFSI PennyMac Financial Services, Inc. Financial Services $4.38B 4,457
1028 OCTV Octave Intelligence plc Class B Ordinary Shares Technology $4.37B 10
1029 VECO Veeco Instruments Inc. Technology $4.36B 1,231
1030 NVST Envista Holdings Corp Healthcare $4.36B 12,300
1031 ATMU Atmus Filtration Technologies Inc. Industrials $4.36B 4,500
1032 LBRDK Liberty Broadband Corporation Communication Services $4.35B 1,900
1033 DAVE Dave Inc. Technology $4.34B 274
1034 ACAD ACADIA Pharmaceuticals Inc. Healthcare $4.34B 653
1035 FOUR Shift4 Payments, Inc. Technology $4.34B 4,000
1036 CSTM Constellium SE Basic Materials $4.33B 12,000 Jun 19, 2026 8d
1037 OLLI Ollie's Bargain Outlet Holdings, Inc. Consumer Defensive $4.32B 5,900
1038 QLYS Qualys, Inc. Technology $4.31B 2,443 Jun 7, 2026 19d
1039 KTB Kontoor Brands, Inc. Consumer Cyclical $4.31B 13,200
1040 LMND Lemonade, Inc. Financial Services $4.30B 1,235
1041 KRC Kilroy Realty Corporation Real Estate $4.29B 229
1042 SRAD Sportradar Group AG Technology $4.28B 4,582
1043 FHI Federated Hermes, Inc. Financial Services $4.27B 2,000
1044 WING Wingstop Inc. Consumer Cyclical $4.24B 325
1045 GPGI GPGI, Inc. Industrials $4.24B 1,000
1046 FCN FTI Consulting, Inc. Industrials $4.23B 8,105
1047 BRC Brady Corporation Industrials $4.22B 5,700
1048 HGV Hilton Grand Vacations Inc. Consumer Cyclical $4.22B 22,300
1049 EPAM EPAM Systems, Inc. Technology $4.22B 61,200 Jun 7, 2026 19d
1050 NVTS Navitas Semiconductor Corp Technology $4.21B 190
1051 COCO The Vita Coco Company, Inc. Consumer Defensive $4.21B 319
1052 PLNT Planet Fitness, Inc. Consumer Cyclical $4.19B 4,173 Jun 3, 2026 23d
1053 EWTX Edgewise Therapeutics, Inc. Healthcare $4.18B 117
1054 MWA Mueller Water Products, Inc. Industrials $4.18B 3,400
1055 BBWI Bath & Body Works, Inc. Consumer Cyclical $4.18B 8,885
1056 NTSK Netskope, Inc. Class A Common Stock Technology $4.16B 2,605
1057 KBR KBR, Inc. Industrials $4.11B 38,000
1058 FLY Firefly Aerospace Inc. Industrials $4.10B 780
1059 THO Thor Industries, Inc. Consumer Cyclical $4.10B 22,300
1060 HLNE Hamilton Lane Incorporated Financial Services $4.10B 700
1061 BTDR Bitdeer Technologies Group Technology $4.09B 183
1062 LIF Life360, Inc. Technology $4.08B 455
1063 OLED Universal Display Corporation Technology $4.07B 468
1064 CLSK CleanSpark, Inc. Financial Services $4.07B 256
1065 EXTR Extreme Networks, Inc. Technology $4.05B 2,656
1066 FBP First BanCorp. Financial Services $4.05B 3,113
1067 PI Impinj, Inc. Technology $4.04B 451
1068 MAT Mattel, Inc. Consumer Cyclical $4.03B 34,000
1069 POST Post Holdings, Inc. Consumer Defensive $4.03B 11,480
1070 BCO The Brink's Company Industrials $4.02B 66,100
1071 MMED MiniMed Group, Inc. Common Stock Healthcare $4.00B
1072 EXLS ExlService Holdings, Inc. Technology $3.97B 59,500
1073 ANF Abercrombie & Fitch Co. Consumer Cyclical $3.97B 6,800
1074 ONDS Ondas Holdings Inc. Technology $3.97B 113
1075 PII Polaris Inc. Consumer Cyclical $3.96B 15,000
1076 LAZ Lazard Inc Financial Services $3.95B 3,355 Jun 17, 2026 10d
1077 TNGX Tango Therapeutics, Inc. Healthcare $3.92B 155
1078 PJT PJT Partners Inc. Financial Services $3.92B 1,224
1079 CHEF The Chefs' Warehouse, Inc. Consumer Defensive $3.90B 5,029
1080 KBH KB Home Consumer Cyclical $3.89B 2,384
1081 NAKA Nakamoto Inc. Financial Services $3.88B 33
1082 MKTX MarketAxess Holdings Inc. Financial Services $3.88B 891
1083 CPRX Catalyst Pharmaceuticals, Inc. Healthcare $3.86B 181
1084 SXI Standex International Corporation Industrials $3.85B 3,700
1085 CAKE The Cheesecake Factory Incorporated Consumer Cyclical $3.85B 47,900
1086 MHO M/I Homes, Inc. Consumer Cyclical $3.83B 1,760
1087 DORM Dorman Products, Inc. Consumer Cyclical $3.83B 3,787
1088 NAMS NewAmsterdam Pharma Company N.V. Healthcare $3.82B 100
1089 MSGE Madison Square Garden Entertainment Corp. Communication Services $3.80B 1,200
1090 WAY Waystar Holding Corp. Technology $3.79B 1,500
1091 YETI YETI Holdings, Inc. Consumer Cyclical $3.79B 1,340 Jun 13, 2026 14d
1092 CRNX Crinetics Pharmaceuticals, Inc. Healthcare $3.78B 437
1093 LFST LifeStance Health Group, Inc. Healthcare $3.74B 7,535
1094 GPI Group 1 Automotive, Inc. Consumer Cyclical $3.73B 20,413
1095 MEOH Methanex Corporation Basic Materials $3.72B 1,415
1096 ABG Asbury Automotive Group, Inc. Consumer Cyclical $3.71B 15,100
1097 DOCS Doximity, Inc. Healthcare $3.71B 827
1098 LASR nLIGHT, Inc. Technology $3.71B 800
1099 LRN Stride, Inc. Consumer Defensive $3.70B 7,800
1100 RGC Regencell Bioscience Holdings Limited Healthcare $3.70B 12
1101 KEEL Keel Infrastructure Corp. Technology $3.70B 274
1102 BFAM Bright Horizons Family Solutions Inc. Consumer Cyclical $3.69B 32,050
1103 VCX Fundrise Innovation Fund, LLC Financial Services $3.66B
1104 ITRI Itron, Inc. Technology $3.66B 5,215
1105 NHI National Health Investors, Inc. Real Estate $3.65B 30
1106 BULL Webull Corporation Class A Ordinary Shares Technology $3.63B 1,194
1107 BRBI BRBI BR Partners S.A. ADSs Financial Services $3.62B 189
1108 OSIS OSI Systems, Inc. Technology $3.61B 6,681
1109 RRR Red Rock Resorts, Inc. Consumer Cyclical $3.58B 9,300
1110 FLNC Fluence Energy, Inc. Utilities $3.58B 1,595
1111 BOX Box, Inc. Technology $3.57B 2,810
1112 BATRA Atlanta Braves Holdings, Inc. Communication Services $3.57B 1,450
1113 SLG SL Green Realty Corp. Real Estate $3.56B 1,221
1114 DLO Dlocal Limited Technology $3.56B 1,274
1115 BLSH Bullish Technology $3.56B 414
1116 KAI Kadant Inc. Industrials $3.55B 3,900
1117 DAN Dana Incorporated Consumer Cyclical $3.55B 39,300
1118 BILL Bill.com Holdings, Inc. Technology $3.54B 2,187 Jun 5, 2026 21d
1119 REAL The RealReal, Inc. Consumer Cyclical $3.52B 3,011
1120 MNSO MINISO Group Holding Limited Consumer Cyclical $3.52B 7,003
1121 IDYA IDEAYA Biosciences, Inc. Healthcare $3.51B 131
1122 HAYW Hayward Holdings, Inc. Industrials $3.51B 1,934
1123 ELVN Enliven Therapeutics, Inc. Healthcare $3.51B 62
1124 KN Knowles Corporation Technology $3.49B 5,500
1125 FUL H.B. Fuller Company Basic Materials $3.49B 7,075
1126 DYN Dyne Therapeutics, Inc. Healthcare $3.46B 192
1127 MNDY monday.com Ltd. Technology $3.46B 2,508 Jun 9, 2026 17d
1128 GRBK Green Brick Partners, Inc. Consumer Cyclical $3.46B 650
1129 GEF Greif, Inc. Consumer Cyclical $3.45B 14,000
1130 HWKN Hawkins, Inc. Basic Materials $3.45B 928
1131 NSA National Storage Affiliates Trust Real Estate $3.43B 1,458
1132 BEAM Beam Therapeutics Inc. Healthcare $3.42B 393
1133 PTRN Pattern Group Inc. Series A Common Stock Technology $3.40B 2,100
1134 OPCH Option Care Health, Inc. Healthcare $3.40B 8,000 Jun 7, 2026 19d
1135 ICUI ICU Medical, Inc. Healthcare $3.39B 15,000
1136 AVNT Avient Corporation Basic Materials $3.37B 9,200
1137 YSS York Space Systems, Inc. Technology $3.36B 710
1138 ADEA Adeia Inc. Technology $3.35B 150 Jun 20, 2026 7d
1139 OPEN Opendoor Technologies Inc. Real Estate $3.35B 1,470
1140 LUNR Intuitive Machines, Inc. Industrials $3.34B 435
1141 TENB Tenable Holdings, Inc. Technology $3.33B 1,872
1142 AAP Advance Auto Parts, Inc. Consumer Cyclical $3.31B 33,200
1143 TTAM Titan America S.A. Basic Materials $3.30B 2,742
1144 COLM Columbia Sportswear Company Consumer Cyclical $3.30B 9,780
1145 CECO CECO Environmental Corp. Industrials $3.30B 1,540
1146 WRBY Warby Parker Inc. Healthcare $3.29B 2,218
1147 SFNC Simmons First National Corporation Financial Services $3.29B 2,949
1148 CURB Curbline Properties Corp. Real Estate $3.29B 39
1149 LEU Centrus Energy Corp. Energy $3.29B 322
1150 LILAP Liberty Latin America Ltd. 9% Cum Perp Red Pfd Shs Series A When-issued Communication Services $3.28B 9,000
1151 GBDC Golub Capital BDC, Inc. Financial Services $3.28B 875
1152 ALMS Alumis Inc. Healthcare $3.26B 223
1153 AXTI AXT, Inc. Technology $3.25B 1,527
1154 BHE Benchmark Electronics, Inc. Technology $3.24B 11,700
1155 UPST Upstart Holdings, Inc. Financial Services $3.22B 1,405
1156 RUN Sunrun Inc. Energy $3.22B 11,058
1157 CWK Cushman & Wakefield plc Real Estate $3.20B 52,000
1158 PVH PVH Corp. Consumer Cyclical $3.19B 16,000
1159 NATL NCR Atleos Corporation Technology $3.19B 20,000
1160 CARG CarGurus, Inc. Consumer Cyclical $3.19B 1,282
1161 HIW Highwoods Properties, Inc. Real Estate $3.19B 350
1162 IPAR Inter Parfums, Inc. Consumer Defensive $3.18B 647
1163 ATRO Astronics Corporation Industrials $3.18B 2,733
1164 ARCB ArcBest Corp Industrials $3.18B 14,200
1165 CTRI Centuri Holdings, Inc. Utilities $3.17B 8,687
1166 CLBT Cellebrite DI Ltd. Technology $3.17B 1,167
1167 QURE uniQure N.V. Healthcare $3.16B 221
1168 SEDG SolarEdge Technologies, Inc. Energy $3.16B 3,961
1169 PHIN PHINIA Inc. Consumer Cyclical $3.14B 12,700
1170 PATK Patrick Industries, Inc. Consumer Cyclical $3.14B 10,000
1171 AD Array Digital Infrastructure Inc Communication Services $3.12B 60
1172 ORKA Oruka Therapeutics, Inc. Healthcare $3.12B 28
1173 RNG RingCentral, Inc. Technology $3.11B 4,260
1174 IAC IAC Inc. Communication Services $3.09B 5,156
1175 ASO Academy Sports and Outdoors, Inc. Consumer Cyclical $3.08B 9,900
1176 VC Visteon Corporation Consumer Cyclical $3.08B 10,000
1177 USLM United States Lime & Minerals, Inc. Basic Materials $3.07B 345
1178 FIZZ National Beverage Corp. Consumer Defensive $3.06B 1,559
1179 RARE Ultragenyx Pharmaceutical Inc. Healthcare $3.03B 1,294
1180 BSM Black Stone Minerals, L.P. Energy $3.01B 115
1181 MGRC McGrath RentCorp Industrials $3.01B 1,219
1182 RHI Robert Half Inc. Industrials $3.00B 15,650
1183 AEO American Eagle Outfitters, Inc. Consumer Cyclical $3.00B 9,000 Jun 18, 2026 9d
1184 AEHR Aehr Test Systems Technology $2.99B 115
1185 ADPT Adaptive Biotechnologies Corporation Healthcare $2.99B 619
1186 COHU Cohu, Inc. Technology $2.98B 2,986
1187 HLIO Helios Technologies, Inc. Industrials $2.96B 2,500
1188 EXPO Exponent, Inc. Industrials $2.94B 966
1189 EFXT Enerflex Ltd. Energy $2.94B 4,600
1190 MMS Maximus, Inc. Industrials $2.94B 41,100
1191 SBLK Star Bulk Carriers Corp. Industrials $2.94B 283
1192 KALU Kaiser Aluminum Corporation Basic Materials $2.93B 3,900
1193 PLUG Plug Power Inc. Industrials $2.91B 3,224
1194 NTCT NetScout Systems, Inc. Technology $2.91B 2,273
1195 ASH Ashland Inc. Basic Materials $2.89B 3,200
1196 DBRG DigitalBridge Group, Inc. Financial Services $2.88B 324
1197 BWLP BW LPG Limited Industrials $2.87B 1,429
1198 PLBL Polibeli Group Ltd Consumer Cyclical $2.87B 154
1199 OSW OneSpaWorld Holdings Ltd Consumer Cyclical $2.86B 5,395
1200 CLMT Calumet Inc. Energy $2.85B 1,503
1201 BCC Boise Cascade Company Basic Materials $2.85B 7,670
1202 FA First Advantage Corporation Industrials $2.84B 10,000
1203 VISN Vistance Networks, Inc. Technology $2.84B 20,000
1204 BTE Baytex Energy Corp. Energy $2.82B 370
1205 NP Neptune Insurance Holdings Inc. Technology $2.82B 60
1206 SAH Sonic Automotive, Inc. Consumer Cyclical $2.81B 10,800
1207 AMBA Ambarella, Inc. Technology $2.81B 941
1208 IVT InvenTrust Properties Corp. Real Estate $2.80B 101
1209 RH Rh Consumer Cyclical $2.77B 5,690
1210 SOUN SoundHound AI, Inc. Technology $2.77B 842
1211 BRUN Boost Run Inc. Class A Common Stock Technology $2.76B 3
1212 IHS IHS Holding Limited Communication Services $2.76B 2,864
1213 ERO Ero Copper Corp. Basic Materials $2.76B 3,690
1214 WAFD WaFd, Inc. Financial Services $2.75B 2,018
1215 ATS ATS Corporation Industrials $2.75B 7,500
1216 HIMX Himax Technologies, Inc. Technology $2.74B 2,177
1217 IRON Disc Medicine, Inc. Healthcare $2.74B 94
1218 KMT Kennametal Inc. Industrials $2.74B 8,400 Jun 17, 2026 10d
1219 WOR Worthington Industries, Inc. Industrials $2.73B 6,000
1220 PENN PENN Entertainment, Inc. Consumer Cyclical $2.73B 23,118
1221 CENT Central Garden & Pet Company Consumer Defensive $2.71B 6,000
1222 ATKR Atkore Inc. Industrials $2.69B 5,264
1223 TMDX TransMedics Group, Inc. Healthcare $2.69B 728
1224 NGVT Ingevity Corporation Basic Materials $2.68B 1,600
1225 CTOS Custom Truck One Source, Inc. Industrials $2.68B 2,619
1226 MGNI Magnite, Inc. Communication Services $2.68B 905 Jun 17, 2026 10d
1227 OUST Ouster, Inc. Technology $2.68B 320
1228 HOG Harley-Davidson, Inc. Consumer Cyclical $2.67B 5,900 Jun 21, 2026 6d
1229 FRME First Merchants Corporation Financial Services $2.66B 2,120
1230 WK Workiva Inc. Technology $2.63B 2,873
1231 STNE StoneCo Ltd. Technology $2.62B 14,792
1232 HUBG Hub Group, Inc. Industrials $2.61B 6,552
1233 FRPT Freshpet, Inc. Consumer Defensive $2.60B 1,296
1234 PDFS PDF Solutions, Inc. Technology $2.59B 539
1235 FBNC First Bancorp Financial Services $2.59B 1,345
1236 UAA Under Armour, Inc. Consumer Cyclical $2.59B 6,800
1237 FSLY Fastly, Inc. Technology $2.59B 1,100
1238 BBT Beacon Financial Corp. Financial Services $2.58B 951
1239 PAY Paymentus Holdings, Inc. Technology $2.58B 1,307 Jun 14, 2026 13d
1240 FSM Fortuna Mining Corp. Basic Materials $2.58B 4,961
1241 AGYS Agilysys, Inc. Technology $2.57B 2,200
1242 DXPE DXP Enterprises, Inc. Industrials $2.57B 3,028
1243 WERN Werner Enterprises, Inc. Industrials $2.56B 13,000
1244 NIQ NIQ Global Intelligence Plc Technology $2.55B 38,625
1245 FRSH Freshworks Inc. Technology $2.54B 4,400
1246 KC Kingsoft Cloud Holdings Limited Technology $2.54B 2,228
1247 APAM Artisan Partners Asset Management Inc. Financial Services $2.53B 584
1248 UA Under Armour, Inc. Consumer Cyclical $2.51B 6,800
1249 BLBD Blue Bird Corporation Consumer Cyclical $2.50B 1,945
1250 BUSE First Busey Corporation Financial Services $2.47B 1,965
1251 IMAX IMAX Corporation Communication Services $2.47B 700
1252 EXK Endeavour Silver Corp. Basic Materials $2.47B 1,539
1253 LILKV Liberty Latin America Ltd Class C Common Stock Ex-Distribution When Issued Communication Services $2.46B 9,000
1254 ATEN A10 Networks, Inc. Technology $2.44B 481
1255 QNT Quantinuum Inc. Class A Common Stock Technology $2.43B 679
1256 WIX Wix.com Ltd. Technology $2.43B 4,399
1257 KD Kyndryl Holdings, Inc. Technology $2.42B 80,000 Jun 12, 2026 15d
1258 INOD Innodata Inc. Technology $2.41B 6,597
1259 PAYO Payoneer Global Inc. Technology $2.41B 2,407
1260 PBI Pitney Bowes Inc. Industrials $2.39B 7,200 Jun 19, 2026 8d
1261 WOLF Wolfspeed Inc. Technology $2.37B 3,434
1262 FUN Six Flags Entertainment Corporation Consumer Cyclical $2.35B 5,000
1263 WHR Whirlpool Corporation Consumer Cyclical $2.35B 44,000
1264 BRZE Braze, Inc. Technology $2.34B 1,699
1265 LCII LCI Industries Consumer Cyclical $2.33B 11,500
1266 HTH Hilltop Holdings Inc. Financial Services $2.30B 3,616
1267 BANR Banner Corporation Financial Services $2.30B 1,910
1268 ACHC Acadia Healthcare Company, Inc. Healthcare $2.30B 25,500
1269 WU The Western Union Company Financial Services $2.27B 9,100
1270 RAMP LiveRamp Holdings, Inc. Technology $2.26B 1,400 Jun 16, 2026 11d
1271 CALX Calix, Inc. Technology $2.25B 1,820
1272 DAC Danaos Corporation Industrials $2.24B 4
1273 CMPR Cimpress plc Industrials $2.23B 14,333
1274 PRKS United Parks & Resorts Inc. Consumer Cyclical $2.22B 3,300
1275 INFQ Infleqtion Inc Technology $2.22B 204
1276 RLX RLX Technology Inc. Consumer Defensive $2.20B 381
1277 BKE The Buckle, Inc. Consumer Cyclical $2.19B 2,900
1278 SHAK Shake Shack Inc. Consumer Cyclical $2.18B 12,826 Jun 3, 2026 23d
1279 PGNY Progyny, Inc. Healthcare $2.18B 675
1280 NWL Newell Brands Inc. Consumer Defensive $2.18B 23,700
1281 CPRI Capri Holdings Limited Consumer Cyclical $2.18B 14,650 Jun 9, 2026 17d
1282 JBLU JetBlue Airways Corporation Industrials $2.16B 21,611
1283 VCEL Vericel Corporation Healthcare $2.14B 357
1284 VNET VNET Group, Inc. Technology $2.14B 2,581
1285 NWN Northwest Natural Holding Company Utilities $2.13B 1,452
1286 DRVN Driven Brands Holdings Inc. Consumer Cyclical $2.12B 10,700
1287 IMOS ChipMOS TECHNOLOGIES Inc. Technology $2.12B 5,688
1288 HYMC Hycroft Mining Holding Corporation Basic Materials $2.11B 51
1289 BOBS Bob's Discount Furniture, Inc. Consumer Cyclical $2.11B 5,800
1290 PEB Pebblebrook Hotel Trust Real Estate $2.11B 60
1291 GENB Generate Biomedicines, Inc. Financial Services $2.11B 312
1292 LMAT LeMaitre Vascular, Inc. Healthcare $2.11B 651
1293 AGM Federal Agricultural Mortgage Financial Services $2.10B 211
1294 BFLY Butterfly Network, Inc. Healthcare $2.10B 190
1295 BCRX BioCryst Pharmaceuticals, Inc. Healthcare $2.08B 580
1296 HAWK HawkEye 360, Inc. Industrials $2.07B 403
1297 OFG OFG Bancorp Financial Services $2.07B 2,223
1298 LILA Liberty Latin America Ltd. Communication Services $2.06B 9,000
1299 BRSL Brightstar Lottery PLC Consumer Cyclical $2.06B 5,781
1300 AMR Alpha Metallurgical Resources, Inc. Basic Materials $2.06B 3,948
1301 SEM Select Medical Holdings Corporation Healthcare $2.05B 30,000
1302 STC Stewart Information Services Corporation Financial Services $2.05B 6,800
1303 SPB Spectrum Brands Holdings, Inc. Consumer Defensive $2.03B 3,100
1304 ADMA ADMA Biologics, Inc. Healthcare $2.03B 685
1305 HNI HNI Corporation Industrials $2.02B 7,600
1306 NUVB Nuvation Bio Inc. Healthcare $2.02B 273
1307 TGLS Tecnoglass Inc. Basic Materials $2.01B 9,837
1308 AIN Albany International Corp. Consumer Cyclical $2.00B 5,400
1309 SGRY Surgery Partners, Inc. Healthcare $1.99B 15,000
1310 KSS Kohl's Corporation Consumer Cyclical $1.99B 87,000
1311 NRIX Nurix Therapeutics, Inc. Healthcare $1.98B 314
1312 HUN Huntsman Corporation Basic Materials $1.97B 6,300
1313 KARD Kardigan, Inc. Healthcare $1.97B 231
1314 AESI Atlas Energy Solutions Inc. Energy $1.97B 1,143
1315 DEI Douglas Emmett, Inc. Real Estate $1.96B 770
1316 QFIN Qfin Holdings, Inc. Financial Services $1.95B 3,527
1317 WGS GeneDx Holdings Corp. Healthcare $1.95B 1,000
1318 FIGS FIGS, Inc. Consumer Cyclical $1.94B 303
1319 ALG Alamo Group Inc. Industrials $1.94B 3,750
1320 HSAI Hesai Group Consumer Cyclical $1.93B 1,142
1321 PLSE Pulse Biosciences, Inc. Healthcare $1.90B 75
1322 KOD Kodiak Sciences Inc. Healthcare $1.90B 109
1323 PRLB Proto Labs, Inc. Industrials $1.90B 2,357
1324 EZPW EZCORP, Inc. Financial Services $1.90B 8,000
1325 LCID Lucid Group, Inc. Consumer Cyclical $1.88B 6,800
1326 TILE Interface, Inc. Industrials $1.88B 3,577
1327 AIP Arteris, Inc. Technology $1.88B 299
1328 DRD DRDGOLD Limited Basic Materials $1.88B 893
1329 NEXT Nextdecade Corp Industrials $1.85B 360
1330 AMPX Amprius Technologies, Inc. Industrials $1.83B 99
1331 BWIN The Baldwin Insurance Group, Inc. Financial Services $1.83B 4,000
1332 AGL Agilon Health, Inc. Healthcare $1.82B 1,076
1333 BAND Bandwidth Inc. Technology $1.82B 1,100
1334 PUMP ProPetro Holding Corp. Energy $1.81B 1,900
1335 PLAB Photronics, Inc. Technology $1.81B 1,900 Jun 11, 2026 16d
1336 GT The Goodyear Tire & Rubber Company Consumer Cyclical $1.81B 68,000
1337 CNXN PC Connection, Inc. Technology $1.80B 2,580
1338 VPG Vishay Precision Group, Inc. Technology $1.78B 2,100
1339 VSTS Vestis Corporation Industrials $1.78B 19,600
1340 BHC Bausch Health Companies Inc. Healthcare $1.78B 20,700
1341 MQ Marqeta, Inc. Technology $1.77B 921
1342 MLYS Mineralys Therapeutics, Inc. Healthcare $1.77B 51
1343 SLS SELLAS Life Sciences Group, Inc. Healthcare $1.76B 13
1344 SRPT Sarepta Therapeutics, Inc. Healthcare $1.76B 1,372
1345 VERX Vertex, Inc. Technology $1.75B 1,900 Jun 1, 2026 25d
1346 OMCL Omnicell, Inc. Healthcare $1.75B 3,560
1347 STGW Stagwell Inc. Communication Services $1.74B 11,857
1348 NVCR Novocure Ltd Healthcare $1.74B 1,605
1349 STRA Strategic Education, Inc. Consumer Defensive $1.74B 3,801
1350 MRVI Maravai LifeSciences Holdings, Inc. Healthcare $1.72B 570
1351 AMBQ Ambiq Micro, Inc. Technology $1.71B 190
1352 ARCO Arcos Dorados Holdings Inc. Consumer Cyclical $1.71B 100,000
1353 SHLS Shoals Technologies Group, Inc. Energy $1.71B 1,290
1354 NTLA Intellia Therapeutics, Inc. Healthcare $1.71B 403
1355 RVLV Revolve Group, Inc. Consumer Cyclical $1.70B 1,664
1356 CBZ CBIZ, Inc. Industrials $1.69B 10,000
1357 INTA Intapp, Inc. Technology $1.69B 1,336
1358 OPRA Opera Limited Technology $1.69B 605
1359 EVTC EVERTEC, Inc. Technology $1.69B 4,800
1360 FTRE Fortrea Holdings Inc. Healthcare $1.68B 15,000
1361 SONO Sonos, Inc. Technology $1.67B 1,708
1362 DV DoubleVerify Holdings, Inc. Technology $1.66B 1,197
1363 EVCM EverCommerce Inc. Technology $1.65B 2,000
1364 SEPN Septerna Inc Healthcare $1.65B 130
1365 TPB Turning Point Brands, Inc. Consumer Defensive $1.64B 310
1366 FLNG FLEX LNG Ltd Industrials $1.63B 9
1367 FIVN Five9, Inc. Technology $1.63B 3,073 Jun 16, 2026 11d
1368 ADNT Adient plc Consumer Cyclical $1.63B 70,000
1369 APPN Appian Corporation Technology $1.63B 2,033
1370 HLIT Harmonic Inc. Technology $1.62B 901
1371 FLO Flowers Foods, Inc. Consumer Defensive $1.61B 10,200
1372 NCNO nCino, Inc. Technology $1.60B 1,833
1373 GENI Genius Sports Limited Communication Services $1.60B 1,850
1374 CRI Carter's Inc. Consumer Cyclical $1.60B 15,400
1375 BVC BitVentures Limited Technology $1.60B 6
1376 FORTY Formula Systems (1985) Ltd. Technology $1.60B 21,900
1377 IE Ivanhoe Electric Inc. Basic Materials $1.59B 240
1378 ABSI Absci Corporation Healthcare $1.59B 156
1379 VRDN Viridian Therapeutics, Inc. Healthcare $1.59B 143
1380 ASAN Asana, Inc. Technology $1.58B 1,819
1381 HLMN Hillman Solutions Corp. Industrials $1.58B 3,886
1382 NSP Insperity, Inc. Industrials $1.58B 306,023
1383 DNOW Dnow Inc. Energy $1.58B 2,575
1384 HROW Harrow Health, Inc. Healthcare $1.57B 382
1385 GLP Global Partners LP Energy $1.57B 3,265
1386 PWP Perella Weinberg Partners Financial Services $1.56B 700
1387 AAPG Ascentage Pharma Group International Healthcare $1.56B 567
1388 BL BlackLine, Inc. Technology $1.56B 1,843
1389 HCSG Healthcare Services Group, Inc. Healthcare $1.55B 35,300
1390 ENR Energizer Holdings, Inc. Industrials $1.55B 5,600
1391 HURN Huron Consulting Group Inc. Industrials $1.55B 8,610
1392 EOSE Eos Energy Enterprises, Inc. Industrials $1.55B 430
1393 IMCR Immunocore Holdings plc Healthcare $1.52B 493
1394 HQ Horizon Quantum Holdings Ltd. Class A Ordinary Shares Technology $1.51B
1395 EYE National Vision Holdings, Inc. Consumer Cyclical $1.51B 13,411
1396 ATEX Anterix Inc. Communication Services $1.51B 86
1397 MAN ManpowerGroup Inc. Industrials $1.50B 26,700
1398 RXT Rackspace Technology, Inc. Technology $1.49B 5,100
1399 WEN The Wendy's Company Consumer Cyclical $1.49B 14,900
1400 CNXC Concentrix Corporation Technology $1.48B 450,000
1401 TE T1 Energy Inc Industrials $1.48B 328
1402 KARO Karooooo Ltd. Technology $1.48B 4,387
1403 KRP Kimbell Royalty Partners, LP Energy $1.47B 23
1404 PLTK Playtika Holding Corp. Technology $1.46B 3,500
1405 MAZE Maze Therapeutics, Inc. Healthcare $1.46B 141
1406 REX REX American Resources Corporation Basic Materials $1.45B 122
1407 GIII G-III Apparel Group, Ltd. Consumer Cyclical $1.45B 3,933
1408 AMRC Ameresco, Inc. Industrials $1.45B 1,500
1409 ATRC AtriCure, Inc. Healthcare $1.44B 1,300
1410 WYFI WhiteFiber, Inc. Ordinary Shares Technology $1.42B 39
1411 ODC Oil-Dri Corporation of America Basic Materials $1.41B 949
1412 TDOC Teladoc Health, Inc. Healthcare $1.39B 4,620
1413 BRBR BellRing Brands, Inc. Consumer Defensive $1.38B 485
1414 IDT IDT Corporation Communication Services $1.38B 1,820
1415 IART Integra LifeSciences Holdings Corporation Healthcare $1.38B 4,396
1416 AI C3.ai, Inc. Technology $1.37B 891
1417 CDNA CareDx, Inc Healthcare $1.37B 644 Jun 1, 2026 25d
1418 PICS PicS N.V. Technology $1.37B 4,202
1419 SBH Sally Beauty Holdings, Inc. Consumer Cyclical $1.37B 12,000
1420 JJSF J&J Snack Foods Corp. Consumer Defensive $1.36B 5,000
1421 ATEC Alphatec Holdings, Inc. Healthcare $1.36B 867
1422 EFC Ellington Financial Inc. Real Estate $1.36B 400
1423 BBAI BigBear.ai Holdings, Inc. Technology $1.35B 630
1424 ENVX Enovix Corporation Industrials $1.35B 570
1425 ARDT Ardent Health Inc. Healthcare $1.34B 23,063
1426 DAO Youdao, Inc. Consumer Defensive $1.34B 3,750
1427 PSNY Polestar Automotive Holding UK PLC Consumer Cyclical $1.34B 2,547
1428 ECVT Ecovyst Inc. Basic Materials $1.33B 920
1429 DXC DXC Technology Company Technology $1.33B 130,000
1430 NSSC Napco Security Technologies, Inc. Industrials $1.33B 1,070
1431 LSPD Lightspeed Commerce Inc. Technology $1.33B 3,000
1432 ASTE Astec Industries, Inc. Industrials $1.33B 4,148
1433 AMC AMC Entertainment Holdings, Inc. Communication Services $1.32B 2,915
1434 AOSL Alpha and Omega Semiconductor Limited Technology $1.32B 2,332
1435 UMH UMH Properties, Inc. Real Estate $1.32B 513
1436 PGY Pagaya Technologies Ltd. Technology $1.32B 527 Jun 9, 2026 17d
1437 PRGO Perrigo Company plc Healthcare $1.31B 8,325
1438 RERE ATRenew Inc. Consumer Cyclical $1.31B 2,096
1439 INNV Innovage Holding Corp. Healthcare $1.31B 2,440
1440 ROCK Gibraltar Industries, Inc. Industrials $1.31B 2,097
1441 GLOB Globant S.A. Technology $1.30B 28,867
1442 CLVT Clarivate Plc Technology $1.28B 12,000
1443 AVLN Avalyn Pharma Inc. Common Stock Healthcare $1.28B 50
1444 AEVA Aeva Technologies, Inc. Consumer Cyclical $1.28B 276
1445 MNKD MannKind Corporation Healthcare $1.28B 403
1446 FCEL FuelCell Energy, Inc. Industrials $1.27B 584
1447 PAHC Phibro Animal Health Corporation Healthcare $1.27B 1,940
1448 CEVA CEVA, Inc. Technology $1.27B 406
1449 SCL Stepan Co Basic Materials $1.27B 2,328
1450 MBC MasterBrand, Inc. Consumer Cyclical $1.26B 13,000
1451 ITRN Ituran Location and Control Ltd. Technology $1.26B 2,892
1452 PRGS Progress Software Corporation Technology $1.26B 2,815
1453 ENOV Enovis Corporation Healthcare $1.26B 7,367
1454 QUBT Quantum Computing, Inc. Technology $1.25B 41
1455 POET POET Technologies Inc. Technology $1.25B 56
1456 GCT GigaCloud Technology Inc. Technology $1.24B 1,561
1457 BLKB Blackbaud, Inc. Technology $1.24B 2,600
1458 EPC Edgewell Personal Care Company Consumer Defensive $1.24B 6,700
1459 TBLA Taboola.com Ltd. Technology $1.24B 1,966
1460 GOLD Gold.com, Inc. Financial Services $1.23B 482
1461 APPS Digital Turbine, Inc. Technology $1.23B 754
1462 AMN AMN Healthcare Services, Inc. Healthcare $1.23B 2,968
1463 CXM Sprinklr, Inc. Technology $1.21B 3,589
1464 LQDT Liquidity Services, Inc. Consumer Cyclical $1.21B 781
1465 BLFS BioLife Solutions, Inc. Healthcare $1.21B 159
1466 PZZA Papa John's International, Inc. Consumer Cyclical $1.21B 11,400
1467 CMPS COMPASS Pathways plc Healthcare $1.21B 166
1468 KMTS Kestra Medical Technologies, Ltd. Healthcare $1.21B 300
1469 LWLG Lightwave Logic, Inc. Basic Materials $1.21B 34
1470 ICFI ICF International, Inc. Industrials $1.20B 9,000
1471 ALVO Alvotech Healthcare $1.20B 1,012
1472 RDWR Radware Ltd. Technology $1.20B 1,137
1473 VIA Via Transportation, Inc. Technology $1.19B 973
1474 PRCT PROCEPT BioRobotics Corporation Healthcare $1.19B 756
1475 COLL Collegium Pharmaceutical, Inc. Healthcare $1.19B 357
1476 OMDA Omada Health Healthcare $1.19B 849
1477 PNTG The Pennant Group, Inc. Healthcare $1.18B 7,000
1478 SMPL The Simply Good Foods Company Consumer Defensive $1.18B 316
1479 CDRE Cadre Holdings, Inc. Industrials $1.18B 2,284
1480 AZTA Azenta, Inc. Healthcare $1.18B 3,000
1481 AVNS Avanos Medical, Inc. Healthcare $1.17B 2,227
1482 SENEA Seneca Foods Corporation Consumer Defensive $1.16B 2,800
1483 ARRY Array Technologies, Inc. Energy $1.16B 1,021
1484 CNL Collective Mining Ltd. Basic Materials $1.16B 102
1485 EYPT EyePoint Pharmaceuticals, Inc. Healthcare $1.15B 165
1486 LIFE Ethos Technologies Inc. Financial Services $1.14B 548
1487 SDGR Schrödinger, Inc. Healthcare $1.14B 891
1488 HTLD Heartland Express, Inc. Industrials $1.13B 5,220
1489 CRVS Corvus Pharmaceuticals, Inc. Healthcare $1.13B 31
1490 AORT Artivion, Inc. Healthcare $1.13B 1,600
1491 ARHS Arhaus, Inc. Consumer Cyclical $1.13B 2,390
1492 BH Biglari Holdings Inc. Consumer Cyclical $1.13B 2,535
1493 AIAI AIAI Holdings Corporation Class A Common Stock Industrials $1.13B 18
1494 ACVA ACV Auctions Inc. Consumer Cyclical $1.12B 2,900
1495 RHLD Resolute Holdings Management, Inc. Industrials $1.11B 7
1496 ASST Strive, Inc. Communication Services $1.10B 51 Jun 14, 2026 12d
1497 SIFY Sify Technologies Limited Communication Services $1.10B 4,319
1498 ADTN ADTRAN Holdings Inc. Technology $1.10B 3,202 Jun 1, 2026 25d
1499 BLDP Ballard Power Systems Inc. Industrials $1.09B 887
1500 TUYA Tuya Inc. Technology $1.09B 1,435
1501 UPBD Upbound Group, Inc. Technology $1.09B 11,970
1502 SG Sweetgreen, Inc. Consumer Cyclical $1.09B 6,407
1503 CGEM Cullinan Therapeutics, Inc. Healthcare $1.08B 111
1504 FUBO fuboTV Inc. Communication Services $1.08B 590
1505 MUX McEwen Mining Inc. Basic Materials $1.08B 1,864
1506 DLX Deluxe Corporation Communication Services $1.06B 4,981
1507 MGRT Mega Fortune Company Limited Technology $1.06B 11
1508 NAK Northern Dynasty Minerals Ltd. Basic Materials $1.05B
1509 EVC Entravision Communications Communication Services $1.05B 1,025
1510 USPH U.S. Physical Therapy, Inc. Healthcare $1.05B 4,034
1511 SPTX Seaport Therapeutics, Inc. Common Stock Healthcare $1.04B 58
1512 UAMY United States Antimony Corporation Basic Materials $1.03B 101
1513 UPWK Upwork Inc. Industrials $1.03B 600 May 28, 2026 30d
1514 LMRI Lumexa Imaging Holdings, Inc. Common Stock Healthcare $1.02B
1515 HIVE HIVE Digital Technologies Ltd. Financial Services $1.01B 20
1516 DRTS Alpha Tau Medical Ltd Healthcare $1.01B 118
1517 LXRX Lexicon Pharmaceuticals, Inc. Healthcare $1.00B 103
1518 KDK Kodiak AI, Inc. Common Stock Technology $1.00B 271
1519 SCSC ScanSource, Inc. Technology $1,000M 2,300
1520 OLMA Olema Pharmaceuticals, Inc. Healthcare $995M 96
1521 RCAT Red Cat Holdings, Inc. Technology $989M 115
1522 DFIN Donnelley Financial Solutions, Inc. Financial Services $989M 1,800
1523 BAK Braskem S.A. Basic Materials $988M 8,569
1524 TNDM Tandem Diabetes Care, Inc. Healthcare $983M 2,650
1525 SBET Sharplink, Inc. Financial Services $979M 15
1526 ETON Eton Pharmaceuticals, Inc. Healthcare $978M 44
1527 LMB Limbach Holdings, Inc. Industrials $971M 1,500
1528 ENRD Einride AB Technology $966M 500
1529 ASM Avino Silver & Gold Mines Ltd. Basic Materials $961M 350
1530 MFA MFA Financial, Inc. Real Estate $960M 348
1531 JBSS John B. Sanfilippo & Son, Inc. Consumer Defensive $954M 1,800
1532 CSR Centerspace Real Estate $954M 374
1533 WEST Westrock Coffee Company, LLC Consumer Defensive $949M 1,408
1534 HTZ Hertz Global Holdings, Inc. Industrials $947M 26,000
1535 PCRX Pacira BioSciences, Inc. Healthcare $942M 788
1536 PHAR Pharming Group N.V. Healthcare $937M 404
1537 CRML Critical Metals Corp. Basic Materials $933M 4
1538 SANA Sana Biotechnology, Inc. Healthcare $932M 194
1539 AMPH Amphastar Pharmaceuticals, Inc. Healthcare $928M 2,028
1540 GOOS Canada Goose Holdings Inc. Consumer Cyclical $922M 4,462
1541 CRSR Corsair Gaming, Inc. Technology $920M 2,567
1542 BKSY BlackSky Technology Inc. Technology $919M 340
1543 KODK Eastman Kodak Company Technology $913M 3,900
1544 JANX Janux Therapeutics, Inc. Healthcare $909M 91
1545 AMPL Amplitude, Inc. Technology $907M 740
1546 TBN Tamboran Resources Corp Energy $906M 39
1547 MOMO Hello Group Inc. Communication Services $906M 1,390
1548 ALOY REalloys Inc. Basic Materials $899M 10
1549 NUTX Nutex Health, Inc. Healthcare $888M 800
1550 REPL Replimune Group, Inc. Healthcare $887M 479
1551 CRTO Criteo S.A. Industrials $884M 3,645
1552 KURA Kura Oncology, Inc. Healthcare $882M 192
1553 NNE Nano Nuclear Energy Inc. Industrials $875M 62
1554 BLZE Backblaze, Inc. Technology $874M 346
1555 MITK Mitek Systems, Inc. Technology $871M 565
1556 TALK Talkspace, Inc. Healthcare $871M 521
1557 GRPN Groupon, Inc. Communication Services $869M 2,079
1558 DQ Daqo New Energy Corp. Energy $869M 4,749
1559 HYLN Hyliion Holdings Corp. Industrials $867M 110
1560 PSIX Power Solutions International, Inc. Industrials $866M 700
1561 ARKO Arko Corp. Consumer Cyclical $865M 11,772
1562 ADAM Adamas Trust, Inc. Real Estate $855M 70
1563 CERT Certara, Inc. Healthcare $854M 1,487
1564 GTM ZoomInfo Technologies Inc. Technology $852M 3,508
1565 CAPL CrossAmerica Partners LP Energy $850M 179
1566 PHAT Phathom Pharmaceuticals, Inc. Healthcare $846M 427
1567 INMD InMode Ltd. Healthcare $846M 599
1568 DSGN Design Therapeutics, Inc. Healthcare $844M 56
1569 SPRY ARS Pharmaceuticals, Inc. Healthcare $838M 155
1570 NXDR Nextdoor Holdings, Inc. Communication Services $832M 546
1571 TIGR UP Fintech Holding Ltd. Sponsored ADR Class A Financial Services $826M 1,193
1572 SHAZ SharonAI Holdings, Inc. Class A Common Stock Technology $819M 25
1573 NAVI Navient Corporation Financial Services $818M 2,100
1574 QDEL QuidelOrtho Corporation Healthcare $814M 6,600
1575 EVER EverQuote, Inc. Communication Services $814M 324
1576 MATW Matthews International Corporation Industrials $808M 11,000
1577 HKD AMTD Digital Inc. Technology $798M 166
1578 PD PagerDuty, Inc. Technology $793M 1,242
1579 OPFI OppFi Inc. Technology $792M 445
1580 EVEX Eve Holding, Inc. Industrials $791M 174
1581 HPP Hudson Pacific Properties, Inc. Real Estate $781M 740
1582 ROOT Root, Inc. Financial Services $781M 1,021
1583 OPTU Optimum Communications, Inc. Communication Services $780M 10,900
1584 AVEX Aevex Corp. Industrials $778M 650
1585 ALRS Alerus Financial Corporation Financial Services $769M 846
1586 SIBN SI-BONE, Inc. Healthcare $769M 349
1587 ODD Oddity Tech Ltd. Technology $758M 489
1588 BZH Beazer Homes USA, Inc. Consumer Cyclical $757M 1,158
1589 GILT Gilat Satellite Networks Ltd. Technology $754M 1,118
1590 HSTM HealthStream, Inc. Healthcare $750M 1,083
1591 CBLL CeriBell, Inc. Healthcare $749M 281
1592 BLMN Bloomin' Brands, Inc. Consumer Cyclical $741M 81,000
1593 HRTG Heritage Insurance Holdings, Inc. Financial Services $738M 540
1594 BTQ BTQ Technologies Corp. Common Stock Technology $727M 38
1595 NXRT NexPoint Residential Trust, Inc. Real Estate $727M 2
1596 TMS Teamshares Inc. Financial Services $724M
1597 WOOF Petco Health and Wellness Company, Inc. Consumer Cyclical $724M 29,000
1598 ELA Envela Corporation Consumer Cyclical $722M 309
1599 JBIO Jade Biosciences, Inc. Healthcare $717M 50
1600 GIBO GIBO Holdings Limited Communication Services $716M 23
1601 NNNN Anbio Biotechnology Class A Ordinary Shares Healthcare $707M 27
1602 PAR PAR Technology Corporation Technology $697M 1,581
1603 ADSE ADS-TEC Energy PLC Industrials $695M 302
1604 BTBT Bit Digital, Inc. Financial Services $695M 54
1605 RZLV Rezolve AI PLC Technology $690M 26
1606 MEI Methode Electronics, Inc. Technology $680M 6,900
1607 OCS Oculis Holding AG Healthcare $677M 49
1608 NMAX Newsmax, Inc. Consumer Cyclical $674M 500
1609 RSVR Reservoir Media, Inc. Communication Services $670M 99
1610 AROW Arrow Financial Corporation Financial Services $663M 580
1611 ESPR Esperion Therapeutics, Inc. Healthcare $659M 304
1612 HY Hyster-Yale Materials Handling, Inc. Industrials $652M 8,500
1613 BVS Bioventus Inc. Healthcare $651M 930
1614 FISN Deep Fission, Inc. Utilities $649M 60
1615 CSTL Castle Biosciences, Inc. Healthcare $648M 784
1616 CCOI Cogent Communications Holdings, Inc. Communication Services $648M 1,899
1617 MTA Metalla Royalty & Streaming Ltd. Basic Materials $648M 9
1618 HELE Helen of Troy Limited Consumer Defensive $642M 1,883
1619 VRRM Verra Mobility Corporation Technology $641M 1,754
1620 UMAC Unusual Machines, Inc. Technology $638M 141
1621 BRAI Braiin Ltd Technology $637M 5
1622 BHB Bar Harbor Bankshares Financial Services $635M 458
1623 MAX MediaAlpha, Inc. Communication Services $633M 144
1624 TSAT Telesat Corporation Technology $630M 610
1625 LPTH LightPath Technologies, Inc. Technology $629M 304
1626 FBYD Falcon's Beyond Global, Inc. Class A Common Stock Industrials $628M 207
1627 MSBI Midland States Bancorp, Inc. Financial Services $626M 850
1628 NTGR NETGEAR, Inc. Technology $623M 636
1629 MNTN MNTN, Inc Class A Technology $621M 534
1630 PACK Ranpak Holdings Corp. Consumer Cyclical $619M 800
1631 MGRE Affiliated Managers Group, Inc. Financial Services $619M 4,100
1632 KE Kimball Electronics, Inc. Industrials $618M 7,000
1633 VLGEA Village Super Market, Inc. Consumer Defensive $618M 2,190
1634 CGNT Cognyte Software Ltd. Technology $614M 1,623
1635 EMD Western Asset Emerging Markets Debt Fund Inc. Financial Services $613M
1636 ONT Onterris, Inc. Industrials $607M 3,400
1637 CRMD CorMedix Inc. Healthcare $606M 64
1638 PHR Phreesia, Inc. Healthcare $593M 2,082
1639 CTEV Claritev Corporation Healthcare $592M 2,700
1640 TRAX First Tracks Biotherapeutics Inc Healthcare $588M 104
1641 MNPR Monopar Therapeutics Inc. Healthcare $587M 22
1642 BOT RoboStrategy, Inc. Common Stock Financial Services $587M
1643 ASPI ASP Isotopes Inc. Common Stock Basic Materials $587M 136
1644 CERS Cerus Corporation Healthcare $585M 614
1645 BBCP Concrete Pumping Holdings, Inc. Industrials $584M 1,590
1646 TCBX Third Coast Bancshares, Inc. Financial Services $575M 376
1647 CBNK Capital Bancorp, Inc. Financial Services $574M 389
1648 FMNB Farmers National Banc Corp. Financial Services $572M 682
1649 MDXG MiMedx Group, Inc. Healthcare $572M 837
1650 EVGO EVgo, Inc. Consumer Cyclical $571M 329
1651 ELMT Elmet Group Co. Industrials $568M 543
1652 TREE LendingTree, Inc. Financial Services $568M 927
1653 WNC Wabash National Corporation Industrials $567M 6,000
1654 MLAB Mesa Laboratories, Inc. Healthcare $566M 741
1655 EVH Evolent Health, Inc. Healthcare $566M 4,500
1656 PUBM PubMatic, Inc. Technology $556M 1,049
1657 CLPT ClearPoint Neuro, Inc. Healthcare $554M 115
1658 TATT TAT Technologies Ltd. Industrials $553M 634
1659 FLGT Fulgent Genetics, Inc. Healthcare $552M 1,313
1660 ATHM Autohome Inc. Communication Services $549M 4,345
1661 BTGO BitGo Holdings, Inc. Financial Services $548M 566
1662 NPCE NeuroPace, Inc. Healthcare $543M 202
1663 RYAM Rayonier Advanced Materials Inc. Basic Materials $542M 2,350
1664 ONTX Onconova Therapeutics, Inc. Healthcare $541M 16
1665 MYGN Myriad Genetics, Inc. Healthcare $538M 2,725
1666 OXM Oxford Industries, Inc. Consumer Cyclical $535M 6,000
1667 YEXT Yext, Inc. Technology $533M 1,150
1668 URG Ur-Energy Inc. Energy $530M 157
1669 SLDP Solid Power, Inc. Industrials $530M 260
1670 HBCP Home Bancorp, Inc. Financial Services $530M 471
1671 RGNX REGENXBIO Inc. Healthcare $529M 353
1672 SSTK Shutterstock, Inc. Communication Services $527M 1,565
1673 QH Quhuo Limited Technology $522M 421
1674 ARVN Arvinas, Inc. Healthcare $519M 430
1675 NINE Nine Energy Service, Inc. Energy $519M 1,077
1676 AIOT PowerFleet, Inc. Technology $517M 1,954
1677 ANGX Angel Studios, Inc. Communication Services $513M 219
1678 MRAM Everspin Technologies, Inc. Technology $512M 86
1679 CLFD Clearfield, Inc. Technology $511M 400
1680 BWMN Bowman Consulting Group Ltd. Industrials $506M 2,300
1681 CCXI Churchill Capital Corp XI Financial Services $502M
1682 OCGN Ocugen, Inc. Healthcare $501M 95
1683 CLB Core Laboratories N.V. Energy $499M 3,400
1684 CABA Cabaletta Bio, Inc. Healthcare $496M 161
1685 WTI W&T Offshore, Inc. Energy $495M 400
1686 RPD Rapid7, Inc. Technology $492M 2,413
1687 ADUR Aduro Clean Technologies Inc. Industrials $488M 25
1688 OIS Oil States International, Inc. Energy $486M 2,439
1689 RZLT Rezolute, Inc. Healthcare $485M 74
1690 CBIO Crescent Biopharma, Inc. Healthcare $483M 41
1691 DDD 3D Systems Corporation Technology $482M 1,833
1692 FRPH FRP Holdings, Inc. Real Estate $480M 19
1693 IIIV i3 Verticals, Inc. Technology $478M 1,480
1694 LAES SEALSQ Corp Technology $476M 67
1695 VITL Vital Farms, Inc. Consumer Defensive $476M 598
1696 NGNE Neurogene Inc. Healthcare $475M 107
1697 MTW The Manitowoc Company, Inc. Industrials $470M 4,740
1698 FSTR L.B. Foster Company Industrials $468M 1,057
1699 ASPN Aspen Aerogels, Inc. Industrials $467M 554
1700 BBBY Bed Bath & Beyond Inc. Consumer Cyclical $467M 32,000
1701 NVCT Nuvectis Pharma, Inc. Healthcare $466M 13
1702 ARQQ Arqit Quantum Inc. Technology $464M 82
1703 BNED Barnes & Noble Education, Inc. Consumer Cyclical $461M 3,559
1704 FWRD Forward Air Corporation Industrials $458M 6,319
1705 IPI Intrepid Potash, Inc. Basic Materials $456M 468
1706 LWAY Lifeway Foods, Inc. Consumer Defensive $455M 291
1707 NVEC NVE Corporation Technology $454M 42
1708 BXC BlueLinx Holdings Inc. Industrials $453M 1,980
1709 AIBZ Bitzero Holdings Inc. Common Shares Technology $452M
1710 GDYN Grid Dynamics Holdings, Inc. Technology $451M 4,926
1711 AURA Aura Biosciences, Inc. Healthcare $449M 106
1712 SWMR Swarmer, Inc Common Stock Technology $445M 49
1713 CYH Community Health Systems, Inc. Healthcare $442M 45,000
1714 AQST Aquestive Therapeutics, Inc. Healthcare $436M 142
1715 GRRR Gorilla Technology Group Inc. Technology $433M 307
1716 XRX Xerox Holdings Corporation Industrials $433M 17,600
1717 SLN Silence Therapeutics plc Healthcare $433M 116
1718 MOBI Mobia Medical, Inc. Common Stock Healthcare $433M 167
1719 GOGO Gogo Inc. Communication Services $430M 790
1720 CCRN Cross Country Healthcare, Inc. Healthcare $426M 9,605
1721 OPTX Syntec Optics Holdings, Inc. Technology $425M 148
1722 TASK TaskUs, Inc. Technology $423M 58,850
1723 GBFH GBank Financial Holdings Inc. Financial Services $423M 175
1724 DGXX Digi Power X Inc. Financial Services $422M 15
1725 AIV Apartment Investment and Management Company Real Estate $417M 58
1726 RVI Robinhood Ventures Fund I Real Estate $416M
1727 CLMB Climb Global Solutions, Inc. Technology $415M 367
1728 GETY Getty Images Holdings, Inc. Communication Services $414M 1,700
1729 EBS Emergent BioSolutions Inc. Healthcare $411M 900
1730 PLAY Dave & Buster's Entertainment, Inc. Communication Services $411M 23,420
1731 PACB Pacific Biosciences of California, Inc. Healthcare $407M 575
1732 BRCC BRC Inc. Consumer Defensive $406M 551
1733 HTT High Templar Tech Limited Financial Services $406M 262
1734 OEC Orion S.A. Basic Materials $405M 1,652
1735 GTN Gray Media, Inc. Communication Services $404M 9,118
1736 BETR Better Home & Finance Holding Company Financial Services $402M 1,250
1737 ULH Universal Logistics Holdings, Inc. Industrials $402M 10,821
1738 OSS One Stop Systems, Inc. Technology $401M 103
1739 HVT Haverty Furniture Companies, Inc. Consumer Cyclical $398M 2,334
1740 IBEX IBEX Limited Technology $396M 33,000
1741 HNST The Honest Company, Inc. Consumer Cyclical $396M 164
1742 MLP Maui Land & Pineapple Company, Inc. Real Estate $396M 15
1743 LSAK Lesaka Technologies, Inc. Technology $394M 2,531
1744 CMCL Caledonia Mining Corporation Plc Basic Materials $390M 2,900
1745 PHOE Phoenix Asia Holdings Limited Ordinary Shares Industrials $386M 29
1746 ENHA Enhanced Group Inc. Class A Financial Services $383M 1
1747 PERI Perion Network Ltd. Communication Services $380M 528
1748 OFIX Orthofix Medical Inc. Healthcare $378M 1,616
1749 BKKT Bakkt Holdings, Inc. Technology $377M 559
1750 ACCO ACCO Brands Corporation Industrials $375M 5,000
1751 MVST Microvast Holdings, Inc. Industrials $375M 1,921
1752 CD Chaince Digital Holdings Inc. Technology $370M 13
1753 LPRO Open Lending Corporation Financial Services $368M 205
1754 AII American Integrity Insurance Group, Inc. Financial Services $367M 313
1755 FVRR Fiverr International Ltd. Communication Services $365M 762
1756 ODV Osisko Development Corp. Basic Materials $360M 100
1757 BYND Beyond Meat, Inc. Consumer Defensive $358M 754
1758 NEGG Newegg Commerce, Inc. Consumer Cyclical $355M 762
1759 PSFE Paysafe Limited Technology $352M 3,300
1760 VELO Velo3D, Inc. Industrials $350M 134
1761 AVIR Atea Pharmaceuticals, Inc. Healthcare $348M 55
1762 ZURA Zura Bio Limited Healthcare $348M 30
1763 ELMD Electromed, Inc. Healthcare $343M 177
1764 ZIP ZipRecruiter, Inc. Industrials $342M 1,000
1765 SSP The E.W. Scripps Company Communication Services $342M 5,000
1766 BMBL Bumble Inc. Technology $342M 1,200
1767 CAST FreeCast, Inc. Class A Common Stock Technology $341M 48
1768 NUAI New Era Energy & Digital, Inc. Energy $340M 7
1769 AGCC Agencia Comercial Spirits Ltd Consumer Defensive $340M
1770 PTLO Portillo's Inc. Consumer Cyclical $334M 8,512
1771 MASS 908 Devices Inc. Healthcare $332M 172
1772 GALT Galectin Therapeutics Inc. Healthcare $329M 15
1773 VRXA Veraxa Biotech Holding AG Healthcare $328M 8
1774 SES SES AI Corporation Consumer Cyclical $328M 250
1775 AIRS AirSculpt Technologies, Inc. Healthcare $322M 410
1776 FSBW FS Bancorp, Inc. Financial Services $320M 567
1777 TSSI TSS, Inc. Technology $318M 161
1778 TLS Telos Corporation Technology $316M 504
1779 ISSC Innovative Aerosystems, Inc. Industrials $315M 133
1780 FAC Cartesian Growth Corporation III Class A Ordinary Shares Financial Services $313M 2
1781 ONIT Onity Group Inc. Financial Services $312M 4,200
1782 LCTX Lineage Cell Therapeutics, Inc. Healthcare $312M 74
1783 DBI Designer Brands Inc. Consumer Cyclical $311M 14,000
1784 SIGA SIGA Technologies, Inc. Healthcare $310M 46
1785 STTK Shattuck Labs, Inc. Healthcare $308M 44
1786 ZUMZ Zumiez Inc. Consumer Cyclical $308M 2,400
1787 AKBA Akebia Therapeutics, Inc. Healthcare $306M 181
1788 NMRA Neumora Therapeutics, Inc. Common Stock Healthcare $305M 110
1789 TROO TROOPS, Inc. Technology $303M 42
1790 UP Wheels Up Experience Inc. Industrials $302M 1,807
1791 ALIT Alight, Inc. Technology $302M 9,500
1792 FENC Fennec Pharmaceuticals Inc. Healthcare $302M 32
1793 HELP Cybin Inc. Common Stock Healthcare $300M 50
1794 CABO Cable One, Inc. Communication Services $300M 2,817
1795 SGHT Sight Sciences, Inc. Healthcare $299M 216
1796 PTN Palatin Technologies, Inc. Healthcare $298M 30
1797 MGNX MacroGenics, Inc. Healthcare $296M 300
1798 MPAA Motorcar Parts of America, Inc. Consumer Cyclical $294M 5,900
1799 CNCK Coincheck Group N.V. Financial Services $294M 185
1800 TRDA Entrada Therapeutics, Inc. Healthcare $293M 183
1801 LYEL Lyell Immunopharma, Inc. Healthcare $291M 161
1802 GLSI Greenwich LifeSciences, Inc. Healthcare $291M 4
1803 NNDM Nano Dimension Ltd. Technology $289M 519
1804 TMCI Treace Medical Concepts, Inc. Healthcare $289M 432
1805 JLHL Julong Holding Limited Class A Ordinary Shares Industrials $288M 42
1806 LAB Standard BioTools Inc. Healthcare $287M 388
1807 NL NL Industries, Inc. Industrials $286M 3,034
1808 AIFU AIFU Inc. Financial Services $286M 4,707
1809 STRO Sutro Biopharma, Inc. Healthcare $286M 269
1810 ABAT American Battery Technology Company Common Stock Basic Materials $286M 96
1811 WXM WF International Limited Ordinary Shares Industrials $285M 27
1812 HCKT The Hackett Group, Inc. Technology $284M 1,618
1813 NPB Northpointe Bancshares, Inc. Financial Services $284M 491
1814 ALMU Aeluma, Inc. Technology $284M 11
1815 RPAY Repay Holdings Corporation Technology $283M 465
1816 LVWR LiveWire Group, Inc. Consumer Cyclical $283M 182
1817 OTLY Oatly Group AB Consumer Defensive $281M 1,468
1818 HBB Hamilton Beach Brands Holding Company Consumer Cyclical $279M 679
1819 BCYC Bicycle Therapeutics plc Healthcare $278M 305
1820 RNAC Cartesian Therapeutics, Inc. Healthcare $277M 75
1821 PNRG PrimeEnergy Resources Corporation Energy $276M 77
1822 DXYZ Destiny Tech100 Inc. Financial Services $276M
1823 OSG Octave Specialty Group, Inc. Financial Services $275M 380
1824 IVVD Invivyd, Inc. Healthcare $275M 99
1825 TOYO TOYO Co., Ltd. Energy $271M 528
1826 JACK Jack in the Box Inc. Consumer Cyclical $263M 1,606
1827 UIS Unisys Corporation Technology $262M 15,400
1828 XPOF Xponential Fitness, Inc. Consumer Cyclical $261M 288
1829 XNDU Xanadu Quantum Technologies Limited Class B Subordinate Voting Shares Technology $253M 3
1830 IONR ioneer Ltd Basic Materials $253M 29
1831 CLW Clearwater Paper Corporation Basic Materials $252M 2,200
1832 SUJA Suja Life, Inc. Consumer Defensive $252M 590
1833 PMI Picard Medical, Inc. Healthcare $250M 75
1834 ALTG Alta Equipment Group Inc. Industrials $249M 2,900
1835 SHMD SCHMID Group N.V. Class A Ordinary Shares Industrials $246M 800
1836 HUHU HUHUTECH International Group Inc. Ordinary Shares Industrials $246M 93
1837 BUUU BUUU Group Ltd Industrials $246M 16
1838 EGHT 8x8, Inc. Technology $245M 1,948
1839 FRD Friedman Industries, Incorporated Basic Materials $245M 268
1840 TBCH Turtle Beach Corporation Technology $244M 262
1841 SUPX SuperX AI Technology Limited Technology $243M 40
1842 ACH Accendra Health, Inc. Healthcare $243M 23,200
1843 FATE Fate Therapeutics, Inc. Healthcare $242M 181
1844 ANGI Angi Inc. Communication Services $241M 2,800
1845 LTBR Lightbridge Corporation Industrials $241M 10
1846 SENS Senseonics Holdings, Inc. Healthcare $239M 117
1847 AUDC AudioCodes Ltd. Technology $239M 946
1848 OP OceanPal Inc. Industrials $237M 513
1849 EH EHang Holdings Limited Industrials $234M 483
1850 PRLD Prelude Therapeutics Incorporated Healthcare $233M 131
1851 AIIR Air Global PLC Ordinary Shares Consumer Defensive $232M 2
1852 SILC Silicom Ltd. Technology $231M 260
1853 CMRC Commerce.com, Inc. Technology $230M 1,161
1854 ATOM Atomera Incorporated Technology $230M 20
1855 HERE Here Group Limited Consumer Cyclical $230M 714
1856 PDYN Palladyne AI Corp. Technology $230M 71
1857 RFIL RF Industries, Ltd. Industrials $229M 302
1858 VUZI Vuzix Corp. Technology $229M 88
1859 GTE Gran Tierra Energy Inc. Energy $229M 431
1860 SLNH Soluna Holdings, Inc. Technology $227M 47
1861 PPIH Perma-Pipe International Holdings, Inc. Industrials $225M 750
1862 LAW CS Disco, Inc. Technology $224M 561
1863 SMRT SmartRent, Inc. Technology $223M 494
1864 REI Ring Energy, Inc. Energy $223M 115
1865 RXST RxSight, Inc. Healthcare $222M 498
1866 ALOT AstroNova, Inc. Technology $221M 441
1867 EGG Enigmatig Limited Industrials $219M 15
1868 CURR Currenc Group, Inc. Financial Services $218M 2
1869 AIRO AIRO Group Holdings, Inc. Common Stock Industrials $218M 151
1870 GSIT GSI Technology, Inc. Technology $218M 148
1871 NKTX Nkarta, Inc. Healthcare $217M 108
1872 COOK Traeger, Inc. Consumer Cyclical $216M 665
1873 CNXU Conexeu Sciences Inc. Healthcare $214M 4
1874 ALEC Alector, Inc. Healthcare $214M 175
1875 VLN Valens Semiconductor Ltd. Technology $213M 256
1876 SGC Superior Group of Companies, Inc. Consumer Cyclical $210M 7,100
1877 CNDT Conduent Incorporated Technology $209M 53,000
1878 CPSS Consumer Portfolio Services, Inc. Financial Services $208M 913
1879 WHWK Whitehawk Therapeutics Inc Healthcare $206M 40
1880 WSHP WeShop Holdings Limited Class A Ordinary Shares Communication Services $205M 19
1881 SMHI SEACOR Marine Holdings Inc. Industrials $204M 1,239
1882 AVTX Avalo Therapeutics, Inc. Healthcare $204M 23
1883 TTRX Turn Therapeutics Inc. Healthcare $203M 2
1884 RCMT RCM Technologies, Inc. Industrials $200M 4,220
1885 SBMT Silver Bow Mining Corp. Basic Materials $200M 18
1886 PAL Proficient Auto Logistics, Inc. Common Stock Industrials $200M 671
1887 INR Infinity Natural Resources, Inc. Energy $198M 101
1888 AIB AIB Data Centers Inc. Technology $197M 3
1889 CURV Torrid Holdings Inc. Consumer Cyclical $197M 1,810
1890 FULC Fulcrum Therapeutics, Inc. Healthcare $195M 45
1891 III Information Services Group, Inc. Technology $194M 1,300
1892 JRVR James River Group Holdings, Ltd. Financial Services $194M 645
1893 ORMP Oramed Pharmaceuticals Inc. Healthcare $191M 13
1894 LCUT Lifetime Brands, Inc. Consumer Cyclical $191M 1,180
1895 HRZN Horizon Technology Finance Corporation Financial Services $190M
1896 EMBC Embecta Corp. Healthcare $188M 2,000
1897 HOFT Hooker Furnishings Corporation Consumer Cyclical $186M 1,034
1898 GLDG GoldMining Inc. Basic Materials $185M 33
1899 FF FutureFuel Corp. Basic Materials $185M 537
1900 SPCE Virgin Galactic Holdings, Inc. Industrials $184M 694
1901 CELG-RI Bristol-Myers Squibb Company Ce Healthcare $184M 34,100
1902 EDC Direxion Daily MSCI Emerging Markets Bull 3X Shares Financial Services $183M
1903 TLSI TriSalus Life Sciences, Inc. Healthcare $179M 110
1904 QTRX Quanterix Corporation Healthcare $178M 471
1905 CTGO Contango Ore, Inc. Basic Materials $178M 12
1906 LENZ LENZ Therapeutics, Inc. Healthcare $177M 6
1907 PYXS Pyxis Oncology, Inc. Healthcare $175M 44
1908 SHIM Shimmick Corp. Industrials $175M 971
1909 WALD Waldencast plc Technology $175M 335
1910 IPHA Innate Pharma S.A. Healthcare $175M 181
1911 BDSX Biodesix, Inc. Healthcare $174M 273
1912 INGN Inogen, Inc. Healthcare $174M 766
1913 SY So-Young International Inc. Healthcare $173M 1,800
1914 IMRX Immuneering Corporation Healthcare $173M 54
1915 MX MagnaChip Semiconductor Technology $171M 737
1916 CVGI Commercial Vehicle Group, Inc. Industrials $171M 6,767
1917 APYX Apyx Medical Corporation Healthcare $171M 205
1918 ATGL Alpha Technology Group Limited Technology $168M 23
1919 CRBU Caribou Biosciences, Inc. Healthcare $167M 147
1920 ZONE CleanCore Solutions, Inc. Industrials $166M 7
1921 YDES YD Bio Limited Ordinary Shares Healthcare $166M 4
1922 MRDN Meridian Holdings Inc. Technology $166M 1,200
1923 KULR KULR Technology Group, Inc. Industrials $166M 74
1924 WYY WidePoint Corporation Technology $165M 246
1925 DLTH Duluth Holdings Inc. Consumer Cyclical $165M 807
1926 KGEI Kolibri Global Energy Inc. Energy $163M 8
1927 OCC Optical Cable Corporation Technology $162M 339
1928 INSG Inseego Corp. Technology $162M 218
1929 DMRC Digimarc Corporation Technology $161M 110
1930 MDWD MediWound Ltd. Healthcare $161M 121
1931 BZAI Blaize Holdings Inc. Technology $159M 241
1932 CAN Canaan Inc. Technology $158M 463
1933 JFIN Jiayin Group Inc. Communication Services $158M 1,028
1934 TGEN Tecogen Inc. Industrials $157M 91
1935 NPWR NET Power Inc. Industrials $156M 68
1936 NGEN NervGen Pharma Corp. Common stock Healthcare $154M 7
1937 AMWL American Well Corporation Healthcare $154M 562
1938 BMHL Bluemount Holdings Limited Financial Services $153M 9
1939 QTTB Q32 Bio Inc. Healthcare $153M 28
1940 DAVA Endava plc Technology $152M 11,668
1941 CURI CuriosityStream Inc. Communication Services $152M 42
1942 JELD JELD-WEN Holding, Inc. Industrials $149M 16,000
1943 CHCI Comstock Holding Companies, Inc. Real Estate $148M 206
1944 AMPG AmpliTech Group, Inc. Technology $147M 47
1945 BRCB Black Rock Coffee Bar, Inc. Consumer Cyclical $146M 2,800
1946 ABOS Acumen Pharmaceuticals, Inc. Healthcare $146M 61
1947 HURC Hurco Companies, Inc. Industrials $146M 688
1948 ORBS Eightco Holdings Inc. Technology $146M 23
1949 SLQT SelectQuote, Inc. Financial Services $145M 4,292
1950 IMDX Insight Molecular Diagnostics Inc. Healthcare $145M 46
1951 TONX TON Strategy Co. Financial Services $145M 18
1952 CHPT ChargePoint Holdings, Inc. Consumer Cyclical $144M 1,395
1953 EXFY Expensify, Inc. Technology $144M 117
1954 MOLN Molecular Partners AG Healthcare $143M 158
1955 HYPR Hyperfine, Inc. Healthcare $142M 102
1956 CVRX CVRx, Inc. Healthcare $142M 206
1957 VENU Venu Holding Corporation Consumer Cyclical $141M 50
1958 ANTA Antalpha Platform Holding Company Financial Services $138M 96
1959 EPM Evolution Petroleum Corporation Energy $137M 11
1960 RDZN Roadzen, Inc. Technology $135M 368
1961 GCTS GCT Semiconductor Holding, Inc. Technology $134M 126
1962 IFRX InflaRx N.V. Healthcare $134M 74
1963 MRLN Merlin, Inc. Technology $134M 3
1964 SIF SIFCO Industries, Inc. Industrials $131M 244
1965 HCAT Health Catalyst, Inc. Healthcare $131M 1,500
1966 ADCT ADC Therapeutics S.A. Healthcare $130M 263
1967 BRR ProCap Financial, Inc. Technology $129M 5
1968 GPRO GoPro, Inc. Technology $128M 696
1969 MXCT MaxCyte, Inc. Healthcare $127M 91
1970 ZJK ZJK Industrial Co., Ltd. Industrials $127M 403
1971 TLYS Tilly's, Inc. Consumer Cyclical $127M 1,410
1972 INVZ Innoviz Technologies Ltd. Consumer Cyclical $127M 415
1973 CHGG Chegg, Inc. Consumer Defensive $127M 1,241
1974 AGEN Agenus Inc. Healthcare $126M 316
1975 OXSQ Oxford Square Capital Corp. Financial Services $125M
1976 USBC USBC, Inc. Technology $124M 11
1977 BOOM DMC Global Inc. Energy $124M 1,600
1978 PEPG PepGen Inc. Healthcare $123M 56
1979 DOMO Domo, Inc. Technology $123M 888
1980 TTSH Tile Shop Holdings, Inc. Consumer Cyclical $123M 1,035
1981 FJET Starfighters Space Inc Industrials $122M
1982 WTF Waton Financial Limited Ordinary Shares Financial Services $122M 31
1983 CGTX Cognition Therapeutics, Inc. Healthcare $121M 25
1984 NCSM NCS Multistage Holdings, Inc. Energy $119M 252
1985 TRT Trio-Tech International Technology $119M 673
1986 AMTX Aemetis, Inc. Energy $119M 223
1987 RRGB Red Robin Gourmet Burgers, Inc. Consumer Cyclical $118M 21,443
1988 PLYX Polaryx Therapeutics, Inc. Common Stock Healthcare $117M 11
1989 SPRO Spero Therapeutics, Inc. Healthcare $117M 32
1990 MED Medifast, Inc. Consumer Cyclical $117M 504
1991 NA Nano Labs Ltd Technology $116M 88
1992 SKYX SKYX Platforms Corp. Industrials $115M 76
1993 LUD Luda Technology Group Limited Basic Materials $113M 162
1994 ZVIA Zevia PBC Consumer Defensive $112M 108
1995 XGN Exagen Inc. Healthcare $111M 209
1996 FGMC FG Merger II Corp. Financial Services $107M 2
1997 MVIS MicroVision, Inc. Technology $107M 185
1998 CRBP Corbus Pharmaceuticals Holdings, Inc. Healthcare $106M 36
1999 QTI QT Imaging Holdings, Inc. Healthcare $106M 10
2000 STI Solidion Technology Inc. Industrials $105M 28
2001 AARD Aardvark Therapeutics, Inc. Common Stock Healthcare $105M 22
2002 HUMA Humacyte, Inc. Healthcare $104M 218
2003 BWEN Broadwind, Inc. Industrials $103M 411
2004 RFL Rafael Holdings, Inc. Real Estate $101M 28
2005 FLL Full House Resorts, Inc. Consumer Cyclical $101M 1,685
2006 TEAD Teads Holding Co. Technology $99.90M 1,800
2007 TTEC TTEC Holdings, Inc. Technology $99.75M 50,000
2008 BAER Bridger Aerospace Group Holdings, Inc. Common Stock Industrials $99.42M 191
2009 ROC Rank One Computing Corp. Technology $99.41M 79
2010 BDTX Black Diamond Therapeutics, Inc. Healthcare $97.41M 24
2011 AMCI AMC Robotics Corporation Technology $97.18M 2
2012 NAMM Namib Minerals Basic Materials $96.98M 1,500
2013 OPRX OptimizeRx Corp. Healthcare $96.08M 136
2014 VNCE Vince Holding Corp. Consumer Cyclical $95.58M 565
2015 TORO Toro Corp. Industrials $94.71M
2016 ATRA Atara Biotherapeutics, Inc. Healthcare $94.70M 153
2017 YOOV Concorde International Group Ltd. Industrials $94.43M 134
2018 VIVO VivoPower PLC Energy $94.19M 92
2019 NTHI Neonc Technologies Holdings, Inc. Healthcare $94.18M 8
2020 CNTN Canton Strategic Holdings Inc Healthcare $94.16M 2
2021 SIDU Sidus Space, Inc. Industrials $93.52M 99
2022 DVLT Datavault AI Inc. Technology $93.32M 63
2023 STIM Neuronetics, Inc. Healthcare $93.25M 716
2024 RLYB Rallybio Corporation Healthcare $92.80M 15
2025 MHH Mastech Digital, Inc. Industrials $92.51M 1,525
2026 CPSH CPS Technologies Corporation Technology $91.77M 92
2027 NXTT Next Technology Holding Inc. Technology $90.75M 6
2028 SRFM Surf Air Mobility Inc. Industrials $90.56M 556
2029 REKR Rekor Systems, Inc. Technology $89.69M 321
2030 COE 51Talk Online Education Group Technology $89.30M 360
2031 IDN Intellicheck, Inc. Technology $88.09M 38
2032 BNAI Brand Engagement Network, Inc. Technology $87.93M 39
2033 AUC ATIF Holdings Limited Ordinary Shares Financial Services $87.87M 6
2034 ENGN enGene Holdings Inc. Healthcare $87.54M 56
2035 GLOO Gloo Holdings, Inc. Technology $87.54M 550
2036 HOVR New Horizon Aircraft Ltd Technology $86.61M 30
2037 ISPR Ispire Technology Inc. Consumer Defensive $86.10M 98
2038 MB MasterBeef Group Consumer Cyclical $85.95M 329
2039 SKIN The Beauty Health Company Consumer Defensive $85.54M 769
2040 OM Outset Medical, Inc. Healthcare $85.09M 354
2041 FATN FatPipe, Inc. Technology $84.71M 154
2042 PUSA Aureus Greenway Holdings, Inc. Consumer Cyclical $84.69M 47
2043 GPUS Hyperscale Data, Inc. Industrials $83.90M 374
2044 LFVN LifeVantage Corporation Consumer Defensive $83.52M 222
2045 SAFX XCF Global, Inc. Class A Common Stock Energy $83.48M 8
2046 LESL Leslie's, Inc. Consumer Cyclical $82.74M 3,850
2047 CRDF Cardiff Oncology, Inc. Healthcare $82.73M 31
2048 MBOT Microbot Medical Inc. Healthcare $82.03M 20
2049 FRMM Forum Markets, Incorporated Technology $81.15M 3
2050 QMCO Quantum Corporation Technology $80.80M 770
2051 VTIX Virtuix Holdings Inc. Class A Common Stock Technology $80.38M 42
2052 LIXT Lixte Biotechnology Holdings, Inc. Healthcare $79.74M 2
2053 FSEA First Seacoast Bancorp Financial Services $79.38M 75
2054 CHRN Ekso Bionics Holdings, Inc. Common Stock Healthcare $79.21M 55
2055 ILLR Triller Group Inc. Technology $78.91M 144
2056 MAYS J.W. Mays, Inc. Real Estate $78.38M 28
2057 GEG Great Elm Group, Inc. Financial Services $78.08M 50
2058 CANG Cango Inc. Technology $77.78M 217
2059 KALA KALA BIO, Inc. Healthcare $77.63M 38
2060 AIIO Robo.ai Inc. Consumer Cyclical $77.04M 68
2061 SDA SunCar Technology Group Inc. Consumer Cyclical $76.70M 560
2062 HCHL Happy City Holdings Limited Class A Ordinary shares Consumer Cyclical $76.03M 104
2063 ELTX Elicio Therapeutics, Inc. Healthcare $75.96M 32
2064 ENTX Entera Bio Ltd. Healthcare $75.91M 18
2065 NNOX Nano-X Imaging Ltd. Healthcare $75.85M 165
2066 GAMB Gambling.com Group Ltd Communication Services $75.07M 599
2067 FTCI FTC Solar, Inc. Energy $74.42M 202
2068 SNWV SANUWAVE Health Inc. Healthcare $74.04M 55
2069 HYFT MindWalk Holdings Corp. Healthcare $73.80M 102
2070 EDSA Edesa Biotech, Inc. Healthcare $72.83M 16
2071 SLNG Stabilis Solutions, Inc. Energy $72.71M 104
2072 CMTL Comtech Telecommunications Corp. Technology $71.31M 1,500
2073 PED PEDEVCO Corp. Energy $71.12M 14
2074 BLNK Blink Charging Co. Industrials $71.09M 542
2075 HMR Heidmar Maritime Holdings Corp. Industrials $71.09M 57
2076 NEOV NeoVolta Inc Industrials $70.99M 17
2077 BOF BranchOut Food Inc. Consumer Defensive $70.15M 185
2078 DH Definitive Healthcare Corp. Healthcare $69.65M 782
2079 QTEX QTREX Quantum Ltd. Technology $69.51M 34
2080 OTLK Outlook Therapeutics, Inc. Healthcare $69.12M 23
2081 BGM BGM Group Ltd. Healthcare $68.11M 298
2082 CNVS Cineverse Corp. Communication Services $67.08M 176
2083 CUE Cue Biopharma, Inc. Healthcare $66.72M 41
2084 NYXH Nyxoah S.A. Healthcare $66.14M 163
2085 NVX Novonix Limited Industrials $66.00M 210
2086 PLCE The Children's Place, Inc. Consumer Cyclical $65.27M 2,530
2087 ECOR electroCore, Inc. Healthcare $65.04M 73
2088 COAG Hemab Therapeutics Holdings, Inc. Common Stock Healthcare $65.02M 59
2089 STEM Stem, Inc. Technology $64.85M 569
2090 ATLN Atlantic International Corp. Healthcare $64.79M 300
2091 HRTX Heron Therapeutics, Inc. Healthcare $64.76M 122
2092 LSE Leishen Energy Holding Co., Ltd. Energy $64.52M 177
2093 NRXP NRx Pharmaceuticals, Inc. Healthcare $64.48M 2
2094 ZEPP Zepp Health Corporation Technology $64.31M 765
2095 EDRY EuroDry Ltd. Industrials $64.18M
2096 FTEK Fuel Tech, Inc. Industrials $63.58M 78
2097 HOUR Hour Loop, Inc. Consumer Cyclical $63.35M 151
2098 FLNT Fluent, Inc. Communication Services $63.29M 208
2099 BEEP Mobile Infrastructure Corp Real Estate $63.23M 18
2100 HDRN Hadron Energy, Inc. Industrials $61.14M 2
2101 WFCF Where Food Comes From Inc Industrials $61.03M 95
2102 INO Inovio Pharmaceuticals, Inc. Healthcare $60.56M 134
2103 EXOZ eXoZymes, Inc. Healthcare $60.54M 31
2104 SCLX Scilex Holding Company Healthcare $60.20M 115
2105 MTC MMTec, Inc. Technology $60.20M 31
2106 VHUB VenHub Global, Inc. Common Stock Consumer Cyclical $60.04M 2
2107 INVE Identiv, Inc. Technology $60.02M 166
2108 CNTX Context Therapeutics Inc. Healthcare $59.88M 15
2109 YIBO Planet Image International Limited Class A Industrials $59.81M 1,615
2110 CLNN Clene Inc. Healthcare $59.68M 75
2111 MYPS PLAYSTUDIOS, Inc. Technology $59.51M 556
2112 MCRP Micropolis AI Robotics Industrials $59.31M 69
2113 ALAR Alarum Technologies Ltd. Technology $58.60M 68
2114 SLSN Solesence, Inc. Common Stock Consumer Defensive $58.27M 98
2115 WAVE Eco Wave Power Global AB (publ) Utilities $57.93M 12
2116 VIDA VIDA Global Inc. Technology $57.91M 37
2117 AHMA Ambitions Enterprise Management Co. L.L.C Consumer Cyclical $57.67M 43
2118 LVO LiveOne, Inc. Communication Services $57.33M 140
2119 STG Sunlands Technology Group Consumer Defensive $57.26M 2,071
2120 GAIA Gaia, Inc. Communication Services $57.15M 104
2121 INCR InterCure Ltd. Healthcare $57.15M 320
2122 GMHS Gamehaus Holdings Inc. Technology $56.87M 143
2123 BOLD Boundless Bio, Inc. Healthcare $56.38M 64
2124 THCH TH International Limited Consumer Cyclical $54.14M 2,367
2125 CHR Cheer Holding, Inc. Communication Services $54.03M 122
2126 ATYR aTyr Pharma, Inc. Healthcare $54.02M 56
2127 GCL GCL Global Holdings Ltd Ordinary Shares Technology $53.89M 2
2128 HIT Health In Tech, Inc. Technology $53.75M 73
2129 ANPA Rich Sparkle Holdings Limited Industrials $53.75M 32
2130 GUTS Fractyl Health, Inc. Healthcare $53.64M 102
2131 ABLV Able View Inc. Communication Services $53.47M 89
2132 SOGP Sound Group Inc. Technology $53.06M 563
2133 TOP TOP Financial Group Limited Financial Services $52.82M 11
2134 APT Alpha Pro Tech, Ltd. Industrials $52.82M 130
2135 HAIN The Hain Celestial Group, Inc. Consumer Defensive $52.74M 2,786
2136 ZTEK Zentek Ltd. Basic Materials $52.66M 18
2137 AREN The Arena Group Holdings, Inc. Communication Services $52.60M 190
2138 TGE Generation Essentials Group Technology $52.34M 79
2139 NPT Texxon Holding Limited Ordinary shares Consumer Cyclical $52.13M 143
2140 BCHT Birchtech Corp. Industrials $52.09M 12
2141 ATHR Aether Holdings, Inc. Common Stock Technology $51.86M 11
2142 BZFD BuzzFeed, Inc. Communication Services $50.40M 611
2143 SPCB SuperCom Ltd. Industrials $50.31M 124
2144 PDSB PDS Biotechnology Corporation Healthcare $49.74M 24
2145 RANI Rani Therapeutics Holdings, Inc. Healthcare $48.83M 105
2146 SRTS Sensus Healthcare, Inc. Healthcare $48.56M 54
2147 BGDE Big Digital Energy, Inc. Technology $48.42M 33
2148 VERU Veru Inc. Healthcare $48.31M 210
2149 SLMT Brera Holdings PLC Financial Services $48.14M 34
2150 MREO Mereo BioPharma Group plc Healthcare $47.34M 36
2151 LTRN Lantern Pharma Inc. Healthcare $46.83M 24
2152 SLND Southland Holdings, Inc. Industrials $46.26M 1,800
2153 PLUT Plutus Financial Group Limited Financial Services $46.05M 10
2154 OPTT Ocean Power Technologies, Inc. Industrials $45.92M 43
2155 SACH Sachem Capital Corp. Real Estate $45.56M 28
2156 TRON Tron Inc. Consumer Cyclical $45.52M 5
2157 CVV CVD Equipment Corporation Industrials $45.25M 118
2158 VRM Vroom, Inc. Consumer Cyclical $44.99M 704
2159 TPCS TechPrecision Corporation Industrials $44.85M 162
2160 MLGO MicroAlgo Inc. Technology $44.20M 87
2161 IPWR Ideal Power Inc. Industrials $43.99M 16
2162 RMCO Royalty Management Holding Corporation Financial Services $43.96M
2163 DRIO DarioHealth Corp. Healthcare $43.80M 196
2164 AVX Avax One Technology Ltd Consumer Defensive $43.54M 3
2165 PPSI Pioneer Pow Industrials $43.16M 59
2166 BBGI Beasley Broadcast Group, Inc. Communication Services $43.11M 542
2167 STAK STAK Inc. Ordinary Shares Energy $42.74M 47
2168 KBSX FST Corp. Basic Materials $42.07M 1
2169 MATH Metalpha Technology Holding Limited Financial Services $41.71M 25
2170 MNTS Momentus Inc. Industrials $41.60M 123
2171 NXXT NextNRG Inc. Utilities $41.58M 163
2172 AERT Aeries Technology, Inc Industrials $41.50M 1,700
2173 MYO Myomo, Inc. Healthcare $41.15M 184
2174 WBX Wallbox N.V. Technology $41.03M 905
2175 WPRT Westport Fuel Systems Inc. Consumer Cyclical $40.88M 1,509
2176 TVGN Tevogen Bio Holdings Inc. Healthcare $40.25M 18
2177 SJ Scienjoy Holding Corporation Communication Services $40.06M 280
2178 FTHM Fathom Holdings Inc. Real Estate $39.91M 270
2179 LOOP Loop Industries, Inc. Basic Materials $39.67M 50
2180 ZDGE Zedge, Inc. Communication Services $39.34M 106
2181 MLCI Mount Logan Capital Inc. Financial Services $38.15M 3
2182 ARAY Accuray Incorporated Healthcare $37.74M 987
2183 PETS PetMed Express, Inc. Healthcare $37.60M 287
2184 APWC Asia Pacific Wire & Cable Corporation Limited Industrials $37.30M 1,208
2185 ENGS Energys Group Limited Industrials $37.15M 38
2186 GOSS Gossamer Bio, Inc. Healthcare $36.82M 162
2187 BRIA Brillia Inc Industrials $36.75M 224
2188 MNY MoneyHero Limited Class A Ordinary Shares Communication Services $36.59M 286
2189 FTH Faeth Therapeutics, Inc. Healthcare $36.56M 29
2190 PIII P3 Health Partners Inc. Healthcare $36.49M 320
2191 RDIB Reading International, Inc. Communication Services $36.37M 2,025
2192 PLSM Pulsenmore Ltd. Ordinary Shares Healthcare $36.16M 58
2193 ONMD OneMedNet Corporation Healthcare $35.93M 22
2194 ZENA ZenaTech, Inc. Technology $35.70M 30
2195 BIRD Allbirds, Inc. Technology $35.69M 542
2196 YI 111, Inc. Healthcare $35.64M 1,238
2197 DAIO Data I/O Corporation Technology $35.60M 88
2198 NEPH Nephros, Inc. Healthcare $35.50M 31
2199 TOON Kartoon Studios Inc. Communication Services $34.70M 344
2200 RYET Ruanyun Edai Technology Inc. Ordinary shares Consumer Defensive $34.43M 96
2201 WATT Energous Corporation Technology $34.22M 26
2202 CYPH Cypherpunk Technologies Inc. Healthcare $33.91M 52
2203 PBK PowerBank Corporation Common Stock Utilities $33.81M 25
2204 YOUL Youlife Group Inc. Consumer Defensive $33.79M 4,008
2205 GNTA Genenta Science S.p.A. Healthcare $33.12M 13
2206 SCAG Scage Future Industrials $33.00M 99
2207 STEX Streamex Corp. Financial Services $32.90M 5
2208 HLP Hongli Group Inc. Basic Materials $32.14M 163
2209 FEAM 5E Advanced Materials Inc. Basic Materials $31.98M 57
2210 GRAN Grande Group Limited Class A Ordinary Shares Financial Services $31.66M 14
2211 LIVE Live Ventures Incorporated Consumer Cyclical $31.52M 1,429
2212 LOCL Local Bounti Corporation Consumer Defensive $31.23M 333
2213 RYOJ rYojbaba Co., Ltd. Common Shares Industrials $31.07M 129
2214 HSPT Horizon Space Acquisition II Corp. Financial Services $31.00M 2
2215 BRLS Borealis Foods Inc. Consumer Defensive $30.91M 147
2216 NIXX Nixxy, Inc. Industrials $30.50M 3
2217 WKHS Workhorse Group Inc. Consumer Cyclical $30.50M 146
2218 LASE Laser Photonics Corporation Industrials $30.26M 56
2219 CRVO CervoMed Inc. Industrials $30.18M 15
2220 JFU 9F Inc. Technology $30.14M 276
2221 RITR Reitar Logtech Holdings Limited Ordinary shares Industrials $29.99M 52
2222 XOS Xos, Inc. Consumer Cyclical $29.83M 101
2223 SLBT Horizon Space Acquisition II Corp. Healthcare $29.69M 2
2224 CTSO Cytosorbents Corporation Healthcare $29.33M 149
2225 EIKN Eikon Therapeutics, Inc. Common Stock Healthcare $29.20M 484
2226 AWRE Aware, Inc. Technology $29.01M 64
2227 SCWO 374Water Inc. Industrials $28.66M 55
2228 STKE Sol Strategies Inc. Common Shares Financial Services $28.59M 3
2229 EUDA EUDA Health Holdings Limited Healthcare $28.41M 117
2230 SNTI Senti Biosciences, Inc. Healthcare $28.39M 34
2231 LITB LightInTheBox Holding Co., Ltd. Consumer Cyclical $28.33M 422
2232 MDBH MDB Capital Holdings, LLC Class A common Financial Services $28.25M 16
2233 SUUN PowerBank Corp Utilities $28.20M 18
2234 OIO OIO Group Industrials $28.02M 79
2235 CING Cingulate Inc. Healthcare $27.81M 13
2236 UFG Uni-Fuels Holdings Limited Industrials $27.46M 17
2237 CDLX Cardlytics, Inc. Communication Services $27.36M 440
2238 RNTX Rein Therapeutics Inc. Healthcare $27.15M 11
2239 HBIO Harvard Bioscience, Inc. Healthcare $26.88M 331
2240 INLX Intellinetics, Inc. Technology $26.79M 138
2241 ACCS ACCESS Newswire Inc. Communication Services $26.55M 113
2242 FNGR FingerMotion, Inc. Communication Services $26.35M 64
2243 JG Aurora Mobile Limited Technology $25.98M 393
2244 DGNX Diginex Limited Technology $25.26M 19
2245 COHN Cohen & Company Inc. Financial Services $25.21M 117
2246 SST System1, Inc. Technology $25.12M 250
2247 FLD Fold Holdings, Inc. Technology $25.09M 40
2248 PMEC Primech Holdings Ltd. Ordinary Shares Industrials $24.79M 2,744
2249 FOFO Hang Feng Technology Innovation Co., Ltd. Ordinary Shares Financial Services $24.68M 13
2250 TXMD TherapeuticsMD, Inc. Healthcare $24.42M 1
2251 VNTG Vantage Corp Industrials $24.33M 53
2252 AGPU Axe Compute Inc. Technology $24.30M 23
2253 YSXT YSX Tech. Co., Ltd Financial Services $24.27M 39
2254 APLM Apollomics, Inc. Healthcare $24.27M 13
2255 XBP XBP Global Holdings, Inc. Technology $24.23M 1,310
2256 NYC American Strategic Investment Co. Real Estate $24.18M
2257 BMR Beamr Imaging Ltd. Technology $23.76M 38
2258 ACCL Acco Group Holdings Limited Technology $23.44M 22
2259 ANGH Anghami Inc. Communication Services $23.18M 186
2260 SLGB Smart Logistics Global Limited Ordinary Shares Industrials $23.14M 72
2261 KZIA Kazia Therapeutics Ltd ADR Healthcare $23.03M 6
2262 FOXX Foxx Development Holdings Inc. Industrials $22.99M 25
2263 TOPP Toppoint Holdings Inc. Industrials $22.85M 2
2264 BLIV BeLive Holdings Technology $22.80M 34
2265 BEEM Beam Global Energy $22.73M 245
2266 HPAI Helport AI Limited Technology $22.63M 331
2267 HTCO High-Trend International Group Industrials $22.59M 31
2268 SNAL Snail, Inc. Class A Common Stock Technology $22.26M 149
2269 ARKR Ark Restaurants Corp. Consumer Cyclical $22.09M 1,246
2270 MDXH MDxHealth S.A. Healthcare $21.92M 312
2271 DSC DSC Holdings Ltd. Technology $21.75M
2272 CRMT America's Car-Mart, Inc. Consumer Cyclical $21.59M 2,280
2273 BATL Battalion Oil Corporation Energy $21.04M 38
2274 ICCM IceCure Medical Ltd Healthcare $20.94M 64
2275 YXT YXT.COM Group Holding Limited Technology $20.80M
2276 FFAI Faraday Future Intelligent Electric Inc. Consumer Cyclical $20.80M 249
2277 BIOX Bioceres Crop Solutions Corp. Basic Materials $20.56M 400
2278 BAFN BayFirst Financial Corp. Financial Services $20.49M 305
2279 DCX Digital Currency X Technology Inc. Consumer Cyclical $20.42M 1,382
2280 VTGN VistaGen Therapeutics, Inc. Healthcare $20.37M 48
2281 CTRM Castor Maritime Inc. Industrials $20.19M 1
2282 ICG Intchains Group Limited Technology $19.99M 133
2283 DARE Dare Bioscience, Inc. Healthcare $19.90M 23
2284 WETO Webus International Limited Ordinary Shares Technology $19.49M 27
2285 PLUR Pluri Inc. Healthcare $19.42M 106
2286 ZGM Zenta Group Company Limited Technology $19.25M 9
2287 YMT Yimutian Inc. Technology $19.19M 573
2288 JVA Coffee Holding Co., Inc. Consumer Defensive $19.12M 92
2289 SPPL Simpple Ltd. Industrials $19.10M 39
2290 ZTG Zenta Group Company Limited Class A Ordinary Shares Technology $18.89M 9
2291 INUV Inuvo, Inc. Technology $18.67M 73
2292 MRNO Murano Global Investments PLC Ordinary Shares Real Estate $18.57M 556
2293 MOVE Corvex, Inc. Technology $18.56M 32
2294 GRML Greenland Mines Ltd. Basic Materials $18.55M 3
2295 SMXT Solarmax Technology Inc. Common Stock Energy $18.49M 76
2296 QUCY Mainz Biomed N.V. Healthcare $18.40M 26
2297 LNAI Lunai Bioworks Inc. Healthcare $18.27M 29
2298 SAGT SAGTEC GLOBAL Ltd Technology $18.07M 19
2299 CABR Caring Brands, Inc. Healthcare $17.83M 4
2300 ZJYL Jin Medical International Ltd. Healthcare $17.69M 269
2301 QNTM Quantum BioPharma Ltd. Healthcare $17.64M 17
2302 EPSM Epsium Enterprise Limited Ordinary Shares Consumer Defensive $17.45M 13
2303 XCUR Exicure, Inc. Healthcare $17.21M 7
2304 MWYN Marwynn Holdings, Inc. Common stock Consumer Defensive $17.17M 27
2305 ZBAO Zhibao Technology Inc. Class A Ordinary Shares Financial Services $17.02M 164
2306 ASTI Ascent Solar Technologies, Inc. Common Stock Energy $16.97M 16
2307 TMDE TMD Energy Limited Energy $16.97M 66
2308 MGIH Millennium Group International Holdings Limited Consumer Cyclical $16.88M 498
2309 ASTC Astrotech Corporation Industrials $16.75M 30
2310 REFR Research Frontiers Incorporated Technology $16.72M 6
2311 IHT InnSuites Hospitality Trust Real Estate $16.64M 52
2312 SGMO Sangamo Therapeutics, Inc. Healthcare $16.57M 183
2313 GGRP The Glimpse Group, Inc. Technology $16.49M 40
2314 GNS Genius Group Limited Consumer Defensive $16.36M 133
2315 RGNT Regentis Biomaterials Ltd. Healthcare $16.34M 10
2316 RYDE Ryde Group Ltd Technology $16.30M 30
2317 RAIN Rain Enhancement Technologies Holdco Inc Utilities $16.27M 4
2318 THH TryHard Holdings Limited Industrials $16.11M 110
2319 MFI mF International Limited Technology $15.99M 34
2320 DOGZ Dogness (International) Corporation Consumer Cyclical $15.96M 197
2321 BESS Bimergen Energy Corporation Utilities $15.77M 3
2322 LNZA LanzaTech Global, Inc. Industrials $15.63M 383
2323 SVRN Oceanpal Inc Industrials $15.63M 5
2324 EBON Ebang International Holdings Inc. Technology $15.51M 218
2325 KMRK K-Tech Solutions Company Limited Consumer Cyclical $15.29M 20
2326 CHOW ChowChow Cloud International Holdings Ltd. Technology $15.23M 22
2327 ATOS Atossa Therapeutics, Inc. Healthcare $15.16M 15
2328 PASG Passage Bio, Inc. Healthcare $15.08M 60
2329 PDC Perpetuals.com Ltd Technology $15.07M 20
2330 OMH Ohmyhome Limited Real Estate $14.85M 108
2331 HYPD Hyperion DeFi, Inc. Healthcare $14.77M 13
2332 ONEG OneConstruction Group Limited Industrials $14.77M 14
2333 RTB RTB Digital Inc Technology $14.49M 15
2334 TGL Treasure Global Inc. Technology $14.45M 25
2335 SDST Stardust Power Inc. Basic Materials $14.39M 10
2336 CUPR Cuprina Holdings (Cayman) Limited Class A Ordinary Shares Healthcare $14.29M 15
2337 OPAD Offerpad Solutions Inc. Real Estate $14.19M 200
2338 TVRD Tvardi Therapeutics, Inc. Healthcare $14.07M 12
2339 TLIH Ten-League International Holdings Limited Ordinary Shares Industrials $13.97M 62
2340 CHAI Core AI Holdings Inc Technology $13.95M 25
2341 MDRR Medalist Diversified REIT, Inc. Real Estate $13.90M
2342 NEON Neonode Inc. Technology $13.76M 40
2343 FLUX Flux Power Holdings, Inc. Industrials $13.73M 119
2344 GYRO Gyrodyne, LLC Real Estate $13.70M 6
2345 PETZ TDH Holdings, Inc. Consumer Defensive $13.56M 17
2346 ATER Aterian, Inc. Consumer Cyclical $13.52M 97
2347 OPTH Optimi Health Corp. Healthcare $13.43M 6
2348 DSY Big Tree Cloud Holdings Limited Consumer Defensive $13.42M 50
2349 MPU Mega Matrix Corp. Industrials $13.40M 18
2350 BLIN Bridgeline Digital, Inc. Technology $13.23M 40
2351 MOBX Mobix Labs, Inc. Technology $13.12M 50
2352 BTOC Armlogi Holding Corp. common stock Industrials $13.09M 200
2353 ANY Sphere 3D Corp. Technology $13.07M 2
2354 UONE Urban One, Inc. Communication Services $13.02M 962
2355 CALC CalciMedica, Inc. Healthcare $12.89M 14
2356 PLRZ Polyrizon Ltd. Healthcare $12.79M 2
2357 RCT RedCloud Holdings plc Technology $12.74M 930
2358 UPLD Upland Software, Inc. Technology $12.66M 998
2359 GRNQ Greenpro Capital Corp. Industrials $12.62M 48
2360 BLNE Beeline Holdings Inc. Financial Services $12.49M 86
2361 SUGP SU Group Holdings Limited Ordinary Shares Industrials $12.45M 202
2362 GDTC CytoMed Therapeutics Limited Healthcare $12.19M 43
2363 BFRI Biofrontera Inc. Healthcare $12.12M 88
2364 REED Reed's, Inc. Consumer Defensive $11.71M 24
2365 HOTH Hoth Therapeutics, Inc. Healthcare $11.69M 6
2366 ETS Elite Express Holding Inc. Industrials $11.68M 25
2367 KWM K Wave Media Ltd. Communication Services $11.56M 21
2368 SEGG Sports Entertainment Gaming Global Corporation Consumer Cyclical $11.51M 12
2369 SDOT Sadot Group Inc. Consumer Defensive $11.44M 110
2370 TGHL Growhub Ltd Technology $11.32M 12
2371 BNCWZ CEA Industries Inc. Technology $11.31M 164
2372 SMSI Smith Micro Software, Inc. Technology $11.28M 164
2373 KNRX Knorex Ltd. Technology $11.23M 111
2374 YMAT J-Star Holding Co., Ltd. Ordinary Shares Basic Materials $11.20M 65
2375 BGL Blue Gold Limited Basic Materials $11.19M 2
2376 AIRE reAlpha Tech Corp. Technology $10.92M 54
2377 AKTX Akari Therapeutics, Plc Healthcare $10.90M 8
2378 FEMY Femasys Inc. Healthcare $10.87M 69
2379 MYSE Myseum Inc. Technology $10.85M 10
2380 ELOG Eastern International Ltd. Ordinary Shares Industrials $10.59M 131
2381 UUU Universal Safety Products, Inc. Industrials $10.57M 11
2382 LHAI Linkhome Holdings Inc. Real Estate $10.57M 5
2383 BMGL Basel Medical Group Ltd Ordinary Shares Healthcare $10.50M 32
2384 MODD Modular Medical, Inc. Healthcare $10.42M 39
2385 JUNS Jupiter Neurosciences, Inc. Healthcare $10.18M 4
2386 AQMS Aqua Metals, Inc. Industrials $10.15M 11
2387 FEBO Fenbo Holdings Limited Ordinary Shares Technology $10.09M 271
2388 PRZO ParaZero Technologies Ltd. Industrials $10.06M 22
2389 LZMH LZ Technology Holdings Limited Class B Ordinary Shares Technology $10.05M 67
2390 PRSO Peraso Inc. Technology $9.99M 42
2391 HCAI Hauchen AI Parking Management Technology Holding Co., Ltd. Industrials $9.91M 73
2392 ADGM Adagio Medical Holdings, Inc. Healthcare $9.83M 80
2393 MTEX Mannatech, Incorporated Consumer Defensive $9.71M 189
2394 VEEA Veea Inc. Technology $9.70M 45
2395 GLE Global Engine Group Holding Limited Ordinary Shares Technology $9.65M 4
2396 FTRK Fast Track Group Communication Services $9.64M 4
2397 GWH ESS Tech, Inc. Industrials $9.62M 240
2398 PRHI Presurance Holdings, Inc. Financial Services $9.61M 9
2399 CGTL Creative Global Technology Holdings Limited Ordinary Shares Consumer Cyclical $9.49M 17
2400 MDCX Medicus Pharma Ltd. Common Stock Healthcare $9.37M 12
2401 DXF Eason Technology Limited Financial Services $9.10M 14
2402 POM POMDOCTOR Ltd Healthcare $9.01M 156
2403 CMCT Creative Media & Community Trust Corporation Real Estate $8.97M 5
2404 TOVX Theriva Biologics, Inc. Healthcare $8.91M 20
2405 OBAI Our Bond, Inc. Technology $8.74M 52
2406 LOBO Lobo Technologies Ltd. Consumer Cyclical $8.65M 93
2407 MSLE Satellos Bioscience Inc. Healthcare $8.64M 18
2408 CCHH CCH Holdings Ltd Ordinary Shares Consumer Defensive $8.55M 190
2409 AEON AEON Biopharma, Inc. Healthcare $8.54M 5
2410 SVRE SaverOne 2014 Ltd Technology $8.54M 50
2411 AZI Autozi Internet Technology (Global) Ltd. Consumer Cyclical $8.53M 86
2412 GAUZ Gauzy Ltd. Ordinary Shares Technology $8.49M 708
2413 LIQT LiqTech International, Inc. Industrials $8.44M 105
2414 CYAB Cyabra, Inc. Common Stock Technology $8.34M 2
2415 OSRH OSR Holdings, Inc. Healthcare $8.28M 19
2416 XELB Xcel Brands, Inc. Consumer Cyclical $8.25M 34
2417 QNRX Quoin Pharmaceuticals, Ltd. Healthcare $8.18M 3
2418 HWH HWH International Inc. Consumer Cyclical $8.16M 16
2419 AIMD Ainos, Inc. Healthcare $8.15M 44
2420 SUNE SUNation Energy Inc. Industrials $8.10M 189
2421 ARBB ARB IOT Group Limited Technology $8.08M 13
2422 MIMI Mint Incorporation Limited Industrials $8.08M 15
2423 FGI FGI Industries Ltd. Industrials $8.01M 420
2424 BNR Burning Rock Biotech Limited Healthcare $7.99M 674
2425 DLXY Delixy Holdings Limited Ordinary Shares Energy $7.98M 11
2426 SYBX Synlogic, Inc. Healthcare $7.95M 1
2427 YHGJ Yunhong Green CTI Ltd. Consumer Cyclical $7.91M 52
2428 NIPG NIP Group Inc. Communication Services $7.90M 253
2429 ZKIN ZK International Group Co., Ltd. Basic Materials $7.89M 274
2430 RVSN Rail Vision Ltd. Industrials $7.89M 52
2431 GITS Global Interactive Technologies, Inc. Technology $7.86M 12
2432 IFBD Infobird Co., Ltd Technology $7.86M 55
2433 SKYQ Sky Quarry Inc. Energy $7.85M 26
2434 EHGO Eshallgo Inc. Class A Ordinary Shares Industrials $7.83M 128
2435 SKK SKK Holdings Limited Industrials $7.80M 136
2436 JCTC Jewett-Cameron Trading Company Ltd. Basic Materials $7.74M 62
2437 WHLRP Wheeler Real Estate Investment Trust, Inc. Real Estate $7.73M 56
2438 CISO CISO Global Inc. Technology $7.58M 141
2439 CURX Curanex Pharmaceuticals Inc Common Stock Healthcare $7.54M
2440 VNRX Volitionrx Ltd Healthcare $7.50M 75
2441 SNES SenesTech, Inc. Basic Materials $7.42M 24
2442 MSN Emerson Radio Corp. Technology $7.37M 25
2443 SSG ProShares UltraShort Semiconductors Financial Services $7.32M
2444 FRSX Foresight Autonomous Holdings Ltd. Consumer Cyclical $7.32M 81
2445 EDHL Everbright Digital Holding Limited Ordinary Shares Communication Services $7.30M 8
2446 WGRX Wellgistics Health, Inc. Healthcare $7.19M 31
2447 IMRN Immuron Limited Healthcare $7.10M 7
2448 BTCT BTC Digital Ltd. Consumer Defensive $7.04M 21
2449 TDTH Trident Digital Tech Holdings Ltd Technology $7.00M 23
2450 IOTR iOThree Limited Ordinary Shares Technology $6.95M 35
2451 NXL Nexalin Technology, Inc. Healthcare $6.89M 6
2452 JZ Jianzhi Education Technology Group Company Limited Consumer Defensive $6.75M 46
2453 MMA Mixed Martial Arts Group Limited Consumer Cyclical $6.71M 24
2454 CVM CEL-SCI Corporation Healthcare $6.70M 43
2455 SLAI SOLAI Limited Technology $6.69M 56
2456 BTBD BT Brands, Inc. Consumer Cyclical $6.56M 40
2457 HSCS HeartSciences Inc. Healthcare $6.48M 15
2458 DTSS Datasea, Inc. Technology $6.44M 39
2459 PCLA PicoCELA Inc. Communication Services $6.39M 53
2460 CTXR Citius Pharmaceuticals, Inc. Healthcare $6.37M 23
2461 DBGI Digital Brands Group, Inc. Consumer Cyclical $6.33M 41
2462 SSM Sono Group N.V. Consumer Cyclical $6.14M 15
2463 UBXG U-BX Technology Ltd. Technology $6.12M 17
2464 DMIIR Drugs Made In America Acquisition II Corp. Financial Services $6.08M
2465 AMSS AMASS Brands Inc. Common Stock Consumer Defensive $6.07M 25
2466 VS Versus Systems Inc. Technology $6.05M 5
2467 BTTC Black Titan Corporation Financial Services $5.99M 37
2468 INDP Indaptus Therapeutics, Inc. Healthcare $5.97M 7
2469 REE REE Automotive Ltd. Consumer Cyclical $5.87M 244
2470 SONM DNA X, Inc. Technology $5.86M 160
2471 GCDT Green Circle Decarbonize Technology Ltd. Industrials $5.80M 4
2472 BCTX BriaCell Therapeutics Corp. Healthcare $5.76M 16
2473 ALP AlphaTON Capital Corp. Common Stock Healthcare $5.65M 4
2474 WKSP Worksport Ltd. Consumer Cyclical $5.62M 80
2475 MLEC Moolec Science S.A. Healthcare $5.58M 103
2476 HXHX Haoxin Holdings Limited Class A Ordinary Shares Industrials $5.57M 85
2477 JSPR Jasper Therapeutics, Inc. Healthcare $5.54M 22
2478 GELS Gelteq Limited Ordinary Shares Healthcare $5.51M 7
2479 TBH Brag House Holdings, Inc. Technology $5.50M 4
2480 CLRO ClearOne, Inc. Technology $5.49M 80
2481 SILO Silo Pharma, Inc. Healthcare $5.47M 3
2482 EJH E-Home Household Service Holdings Limited Consumer Cyclical $5.44M 528
2483 WOK WORK Medical Technology Group Ltd. Class A Healthcare $5.42M 238
2484 ADVB Advanced Biomed Inc. Common Stock Healthcare $5.40M 40
2485 CRE Cre8 Enterprise Limited Class A Ordinary Shares Industrials $5.40M 89
2486 KRKR 36Kr Holdings Inc. Communication Services $5.21M 301
2487 VSME VS Media Holdings Limited Class A Ordinary Shares Communication Services $5.19M 46
2488 CREG Smart Powerr Corp. Utilities $5.17M 14
2489 MRM MEDIROM Healthcare Technologies Inc. Consumer Cyclical $5.09M 334
2490 RMSG Real Messenger Corporation Technology $5.05M 19
2491 GVH Globavend Holdings Limited Industrials $5.05M 7
2492 FMFC Kandal M Venture Limited Consumer Defensive $5.01M 1,255
2493 DFNS T3 Defense Inc. Industrials $4.97M 15
2494 AMST Amesite Inc. Technology $4.96M 9
2495 JBDI JBDI Holdings Limited Industrials $4.94M 104
2496 PN Skycorp Solar Group Limited Energy $4.94M 113
2497 SCKT Socket Mobile, Inc. Technology $4.92M 52
2498 APM Aptorum Group Limited Healthcare $4.91M 1
2499 HUBC HUB Cyber Security Ltd. Technology $4.89M 322
2500 HTOO Fusion Fuel Green PLC Utilities $4.82M 116
2501 ORGN Origin Materials, Inc. Basic Materials $4.77M 98
2502 NXGL NEXGEL, Inc. Healthcare $4.76M 19
2503 NITO Nexentis Technologies Inc. Basic Materials $4.74M 4
2504 DSS DSS, Inc. Consumer Cyclical $4.73M 100
2505 IQST iQSTEL Inc. Communication Services $4.69M 100
2506 LGCB Linkage Global Inc Technology $4.60M 46
2507 MWG Multi Ways Holdings Limited Industrials $4.57M 89
2508 FABC Fabric.AI, Inc. Consumer Cyclical $4.56M 150
2509 LSH Lakeside Holding Limited Industrials $4.50M 50
2510 GTBP GT Biopharma, Inc. Healthcare $4.50M 1
2511 TWAV TaoWeave, Inc. Financial Services $4.49M 7
2512 NXTC NextCure, Inc. Healthcare $4.41M 43
2513 RNAZ TransCode Therapeutics, Inc. Healthcare $4.32M 7
2514 CETX Cemtrex, Inc. Technology $4.32M 264
2515 UZX Linkage Global Inc. Class A Ordinary Shares Technology $4.30M 46
2516 NWGL CL Workshop Group Limited Basic Materials $4.29M 151
2517 SNGX Soligenix, Inc. Healthcare $4.23M 14
2518 AQB AquaBounty Technologies, Inc. Consumer Defensive $4.19M 4
2519 HKPD Cellyan Biotechnology Co., Ltd Healthcare $4.17M 27
2520 SPHL Springview Holdings Ltd Class A Ordinary Shares Consumer Cyclical $4.17M 71
2521 YYGH YY Group Holding Limited Industrials $4.13M 1,146
2522 CRIS Curis, Inc. Healthcare $4.12M 24
2523 INTJ Intelligent Group Limited Industrials $4.11M 22
2524 CXAI CXApp Inc. Technology $4.11M 41
2525 TRIB Trinity Biotech plc Healthcare $4.05M 380
2526 KTTA Pasithea Therapeutics Corp. Healthcare $4.04M 4
2527 ALZN Alzamend Neuro Inc Healthcare $4.02M 5
2528 BAOS Baosheng Media Group Holdings Limited Communication Services $4.01M 31
2529 ZSTK ZeroStack Corp. Financial Services $4.00M 21
2530 MKZR MacKenzie Realty Capital, Inc. Real Estate $3.99M 100
2531 IZM ICZOOM Group Inc. Technology $3.79M 97
2532 TNON Tenon Medical, Inc. Healthcare $3.78M 27
2533 BIAF bioAffinity Technologies, Inc. Healthcare $3.76M 57
2534 NDRA ENDRA Life Sciences Inc. Healthcare $3.76M 21
2535 MGRX Mangoceuticals, Inc. Healthcare $3.75M 3
2536 TOPS Top Ships Inc. Industrials $3.75M 1
2537 ZDAI DirectBooking Technology Co., Ltd. Industrials $3.75M 33
2538 POAS Phaos Technology Holdings (Caym Healthcare $3.74M 25
2539 AMOD Alpha Modus Holdings, Inc. Technology $3.72M 4
2540 CJMB Callan JMB Inc. Industrials $3.68M 26
2541 YHC LQR House Inc. Consumer Defensive $3.65M 4
2542 PAVS Paranovus Entertainment Technology Ltd. Healthcare $3.52M 27
2543 FLZH Flash Sports & Media, Inc. Communication Services $3.45M 5
2544 OCG Oriental Culture Holding Ltd. Consumer Cyclical $3.44M 33
2545 CODX Co-Diagnostics, Inc. Healthcare $3.42M 112
2546 IVF INVO Fertility, Inc. Healthcare $3.41M 30
2547 WCT Wellchange Holdings Company Limited Technology $3.40M 11
2548 AIDX 20/20 Biolabs Inc. Healthcare $3.33M 14
2549 BRTX BioRestorative Therapies, Inc. Healthcare $3.32M 11
2550 CENN Cenntro Electric Group Limited Consumer Cyclical $3.29M 260
2551 YYAI AiRWA Inc. Technology $3.28M 14
2552 VSA VisionSys AI Inc. Industrials $3.27M 5,385
2553 ITP IT Tech Packaging, Inc. Basic Materials $3.27M 383
2554 MTVA MetaVia Inc. Healthcare $3.26M 9
2555 DCOY Decoy Therapeutics Inc. Healthcare $3.15M 2
2556 GLMD Galmed Pharmaceuticals Ltd. Healthcare $3.14M 5
2557 AMIX Autonomix Medical, Inc. Healthcare $3.13M 10
2558 GDHG Golden Heaven Group Holdings Ltd. Consumer Cyclical $3.12M 620
2559 CDT CDT Equity Inc. Healthcare $3.12M 6
2560 ATPC Agape ATP Corporation Consumer Defensive $3.11M 16
2561 PTLE PTL Limited Energy $3.10M 10
2562 CELZ Creative Medical Technology Holdings, Inc. Healthcare $3.10M 4
2563 SRXH SRx Health Solutions Inc. Healthcare $3.09M 11
2564 IDAI T Stamp Inc. Technology $3.08M 72
2565 BKYI BIO-key International, Inc. Industrials $3.06M 41
2566 NCT Intercont (Cayman) Limited Ordinary shares Industrials $3.01M 19
2567 VIVK Vivakor, Inc. Industrials $2.99M 10
2568 OLOX Olenox Industries Inc Industrials $2.96M 31
2569 STFS Star Fashion Culture Holdings Limited Communication Services $2.95M 17
2570 ITOC iTonic Holdings Ltd. Healthcare $2.91M 10
2571 LIMN Liminatus Pharma, Inc. Class A Common Stock Healthcare $2.84M 3
2572 INM InMed Pharmaceuticals Inc. Healthcare $2.81M 13
2573 ABTS Abits Group Inc. Financial Services $2.80M 11
2574 GWAV Greenwave Technology Solutions, Inc. Industrials $2.80M 180
2575 SOWG Sow Good Inc. Consumer Defensive $2.74M 86
2576 CNET ZW Data Action Technologies Inc. Communication Services $2.72M 25
2577 AIOS AIOS Tech Inc. Financial Services $2.72M 196
2578 AMZE Amaze Holdings, Inc. Technology $2.71M 4
2579 RDHL RedHill Biopharma Ltd. Healthcare $2.70M 35
2580 DFSC DEFSEC Technologies Inc. Industrials $2.68M 29
2581 MGN Megan Holdings Limited Ordinary Shares Industrials $2.67M 4
2582 NTCL NetClass Technology Inc Technology $2.64M 37
2583 VVOS Vivos Therapeutics, Inc. Healthcare $2.64M 105
2584 ENSC Ensysce Biosciences, Inc. Healthcare $2.62M 7
2585 ARTL Artelo Biosciences, Inc. Healthcare $2.61M 6
2586 JXG JX Luxventure Limited Consumer Cyclical $2.60M 57
2587 NCPL Netcapital Inc. Financial Services $2.58M 21
2588 BQ Boqii Holding Limited Consumer Cyclical $2.57M 241
2589 TANH Tantech Holdings Ltd Consumer Defensive $2.52M 86
2590 XAIR Beyond Air, Inc. Healthcare $2.51M 107
2591 GLXG Galaxy Payroll Group Limited Industrials $2.49M 31
2592 XHLD TEN Holdings, Inc. Common Stock Communication Services $2.49M 38
2593 ADIL Adial Pharmaceuticals, Inc. Healthcare $2.48M 5
2594 EEIQ Elite Education Group International Limited Consumer Defensive $2.46M 43
2595 BNC CEA Industries Inc. Common Stock Industrials $2.44M 29
2596 MASK 3 E Network Technology Group Ltd Class A Ordinary Shares Technology $2.43M 22
2597 CMND Clearmind Medicine Inc. Healthcare $2.43M 4
2598 OFAL OFA Group Industrials $2.42M 6
2599 CHSN Chanson International Holding Consumer Defensive $2.41M 405
2600 JEM 707 Cayman Holdings Limited Ordinary Shares Consumer Cyclical $2.41M 14
2601 HCWB HCW Biologics Inc. Healthcare $2.36M 36
2602 SHPH Shuttle Pharmaceuticals Holdings, Inc. Healthcare $2.35M 9
2603 ORIS ORIENTAL RISE HOLDINGS Ltd Consumer Defensive $2.31M 69
2604 AGMH AGM Group Holdings Inc. Technology $2.27M 10
2605 LMFA LM Funding America, Inc. Financial Services $2.27M 9
2606 RVPH Reviva Pharmaceuticals Holdings, Inc. Healthcare $2.26M 14
2607 CNSP CNS Pharmaceuticals, Inc. Healthcare $2.25M 4
2608 ERNA Ernexa Therapeutics Inc. Healthcare $2.19M 6
2609 SNYR Synergy CHC Corp. Healthcare $2.17M 21
2610 CIIT Tianci International, Inc. Financial Services $2.12M 11
2611 RPGL Republic Power Group Ltd Technology $2.10M 8
2612 JYD Jayud Global Logistics Limited Industrials $2.08M 166
2613 GSUI Grayscale Sui Trust Financial Services $2.08M
2614 CPHI China Pharma Holdings, Inc. Healthcare $2.03M 224
2615 DAIC Cid Holdco Inc Technology $1.96M 68
2616 SXTC China SXT Pharmaceuticals, Inc. Healthcare $1.87M 75
2617 UPC Universe Pharmaceuticals Inc. Healthcare $1.87M 225
2618 BDRX Biodexa Pharmaceuticals Plc Healthcare $1.87M 13
2619 CMCM Cheetah Mobile Inc. Communication Services $1.86M 934
2620 EZRA Reliance Global Group Inc. Financial Services $1.85M 40
2621 MYND Mynd.ai, Inc. Consumer Defensive $1.84M 505
2622 VSEE VSee Health, Inc. Healthcare $1.80M 2
2623 QCMD Direxion Daily QCOM Bear 1X Shares Financial Services $1.77M 231
2624 NCEL NewcelX Ltd. Healthcare $1.71M 11
2625 AZTR Azitra, Inc. Healthcare $1.70M 12
2626 SELX Semilux International Ltd. Technology $1.69M 58
2627 LGCL Lucas GC Limited Ordinary Shares Technology $1.69M 319
2628 XXII 22nd Century Group, Inc. Consumer Defensive $1.67M 56
2629 GMM Global Mofy Metaverse Limited Technology $1.67M 47
2630 FAMI Farmmi, Inc. Consumer Defensive $1.64M 42
2631 CANF Can-Fite BioPharma Ltd. Healthcare $1.64M 5
2632 JZXN Jiuzi Holdings, Inc. Consumer Cyclical $1.62M 33
2633 LABT Lakewood-Amedex Biotherapeutics Inc. Common Stock Healthcare $1.57M 5
2634 CNEY CN Energy Group. Inc. Basic Materials $1.56M 24
2635 APURR Aperture AC Financial Services $1.56M 2
2636 BJDX Bluejay Diagnostics, Inc. Healthcare $1.50M 7
2637 FCHL Fitness Champs Holdings Limited Industrials $1.49M 49
2638 RDGT Ridgetech, Inc. Industrials $1.47M 61
2639 RIME Algorhythm Holdings, Inc. Technology $1.46M 25
2640 ONFO Onfolio Holdings, Inc. Communication Services $1.46M 29
2641 INBS Intelligent Bio Solutions Inc. Healthcare $1.45M 50
2642 FGL Founder Group Limited Industrials $1.45M 82
2643 TDIC Dreamland Limited Class A Ordinary Shares Communication Services $1.43M 15
2644 NCRA Nocera, Inc. Consumer Defensive $1.43M 19
2645 MYSZ My Size, Inc. Technology $1.43M 13
2646 MSS Maison Solutions Inc. Class A Common Stock Consumer Defensive $1.43M 376
2647 BGMS Bio Green Med Solution, Inc. Healthcare $1.39M 12
2648 CPOP Pop Culture Group Co., Ltd Communication Services $1.31M 26
2649 IPST IP Strategy Holdings, Inc. Consumer Defensive $1.30M 83
2650 DXST Decent Holding Inc. Industrials $1.29M 16
2651 VTAK Catheter Precision, Inc. Healthcare $1.29M 22
2652 PPCB Propanc Biopharma, Inc. Healthcare $1.29M 1
2653 VSTD Vestand Inc. Consumer Defensive $1.28M 259
2654 GOVX GeoVax Labs, Inc. Healthcare $1.27M 17
2655 CAPS Capstone Holding Corp. Basic Materials $1.25M 93
2656 WTO UTime Limited Technology $1.25M 99
2657 NUWE Nuwellis, Inc. Healthcare $1.21M 38
2658 KUST Kustom Entertainment, Inc. Communication Services $1.19M 31
2659 ALBT Avalon GloboCare Corp. Real Estate $1.19M 4
2660 SLXN Silexion Therapeutics Ltd. Healthcare $1.15M 11
2661 PAPL Pineapple Financial Inc. Financial Services $1.10M 55
2662 SBFM Sunshine Biopharma, Inc. Healthcare $1.09M 52
2663 IVDA Iveda Solutions, Inc. Industrials $1.08M 32
2664 APUS Apimeds Pharmaceuticals US, Inc Healthcare $1.07M 2
2665 AIM AIM ImmunoTech Inc. Healthcare $1.06M 21
2666 SMTK SmartKem, Inc. Technology $1.06M 27
2667 AIXI Xiao-I Corporation Technology $1.05M 281
2668 SOBR SOBR Safe, Inc. Technology $998K 14
2669 LICN Lichen International Limited Industrials $998K 452
2670 CLIK Click Holdings Limited Industrials $980K 14
2671 CDTG CDT Environmental Technology Investment Holdings Limited ordinary shares Industrials $965K 107
2672 BPACR Blueport Acquisition Ltd Financial Services $953K 2
2673 GIPR Generation Income Properties, Inc. Real Estate $948K 4
2674 CCTG CCSC Technology International Holdings Limited Ordinary Shares Industrials $902K 273
2675 ZNB Zeta Network Group Communication Services $884K 47
2676 WAI Top KingWin Ltd Financial Services $882K 85
2677 SMX SMX (Security Matters) Public Limited Company Industrials $880K 17
2678 FCUV Focus Universal Inc. Technology $880K 46
2679 RUBI Rubico Inc Energy $868K 4,534
2680 GDC GD Culture Group Limited Technology $863K 8
2681 GNPX Genprex, Inc. Healthcare $848K 15
2682 SOAR Volato Group, Inc. Industrials $845K 12
2683 GV Visionary Holdings Inc. Consumer Defensive $843K 67
2684 WHLR Wheeler Real Estate Investment Trust, Inc. Real Estate $834K 56
2685 BYAH Park Ha Biological Technology Co., Ltd. Ordinary Shares Consumer Cyclical $779K 31
2686 SHFS SHF Holdings, Inc. Financial Services $775K 41
2687 BOXL Boxlight Corporation Technology $774K 159
2688 ENVB Enveric Biosciences, Inc. Healthcare $764K 5
2689 DEVS DevvStream Corp. Common Stock Industrials $749K 5
2690 RENX RenX Enterprises Corp. Real Estate $741K 6
2691 GSUN Golden Sun Education Group Limited Consumer Defensive $737K 217
2692 ASBP Aspire Biopharma Holdings, Inc. Healthcare $733K 2
2693 CWD CaliberCos Inc. Financial Services $720K 81
2694 NEXR Nexera Technologies Ltd Healthcare $718K 11
2695 MI NFT Limited Consumer Cyclical $696K 8
2696 TNMG TNL Mediagene Communication Services $683K 500
2697 AEMD Aethlon Medical, Inc. Healthcare $665K 14
2698 PTIX Protagenic Therapeutics, Inc. Healthcare $652K 1
2699 KIDZ Classover Holdings, Inc. Class B Technology $649K 11
2700 CCM Concord Medical Services Holdings Limited Healthcare $642K 595
2701 PHGE BiomX Inc. Healthcare $630K 20
2702 AEHL Antelope Enterprise Holdings Limited Industrials $615K 66
2703 XRTX XORTX Therapeutics Inc. Healthcare $601K 2
2704 BNZI Banzai International, Inc. Technology $570K 28
2705 ATON AlphaTON Capital Corp. Healthcare $543K 3
2706 VRAX Virax Biolabs Group Limited Healthcare $540K 17
2707 HUIZ Huize Holding Limited Financial Services $535K 1,034
2708 BNBX BNB Plus Corp. Healthcare $502K 46
2709 VCIG VCI Global Limited Industrials $501K 102
2710 AKAN Akanda Corp. Healthcare $482K 46
2711 GNLN Greenlane Holdings, Inc. Consumer Defensive $460K 49
2712 SBEV Splash Beverage Group, Inc. Consumer Defensive $454K 32
2713 IMCC IM Cannabis Corp. Healthcare $438K 95
2714 PRPH ProPhase Labs, Inc. Healthcare $432K 96
2715 UK Ucommune International Ltd Real Estate $420K 127
2716 PMAX Powell Max Limited Class A Ordinary Shares Industrials $409K 53
2717 AUUD Auddia Inc. Technology $389K 12
2718 DRCT Direct Digital Holdings, Inc. Communication Services $382K 79
2719 FRGT Freight Technologies, Inc. Technology $364K 82
2720 NIVF NewGenIvf Group Limited Healthcare $361K 76
2721 ISPC iSpecimen Inc. Healthcare $360K 24
2722 RETO ReTo Eco-Solutions, Inc. Basic Materials $342K 46
2723 AMBO Ambow Education Holding Ltd. Consumer Defensive $336K 35
2724 NXTS N2OFF, Inc. Healthcare $336K 5
2725 SPRC SciSparc Ltd. Healthcare $330K 2
2726 YAAS Youxin Technology Ltd Technology $324K 32
2727 ONCO Onconetix, Inc. Healthcare $317K 12
2728 LRHC La Rosa Holdings Corp. Real Estate $317K 39
2729 EZGO EZGO Technologies Ltd. Consumer Cyclical $299K 60
2730 CISS C3is Inc. Industrials $289K
2731 VMAR Vision Marine Technologies Inc. Consumer Cyclical $271K 51
2732 VEEE Twin Vee Powercats Co. Consumer Cyclical $250K 65
2733 PPBT Purple Biotech Ltd. Healthcare $242K 9
2734 SLE Super League Enterprise, Inc. Communication Services $215K 72
2735 SPCF ProShares - Ultra SpaceX Financial Services $208K
2736 LBGJ Li Bang International Corporation Inc. Ordinary Shares Industrials $204K 141
2737 ZSPC zSpace, Inc. Technology $202K 78
2738 GCTK GlucoTrack, Inc. Healthcare $188K 11
2739 JAGX Jaguar Health, Inc. Healthcare $182K 49
2740 WLDS Wearable Devices Ltd. Technology $180K 25
2741 NVNO enVVeno Medical Corporation Healthcare $179K 37
2742 GRI GRI Bio, Inc. Healthcare $163K 4
2743 BIYA Baiya International Group Inc. Industrials $150K 39
2744 PRFX PRF Technologies Ltd. Healthcare $129K 2
2745 KXIN Kaixin Auto Holdings Consumer Cyclical $121K 19
2746 LNKS Linkers Industries Limited Industrials $110K 209
2747 LXEH Lixiang Education Holding Co., Ltd. Consumer Defensive $102K 192
2748 GMEX GMEX Robotics Corp. Consumer Cyclical $91.51K 16
2749 TRNR Interactive Strength Inc. Consumer Cyclical $76.94K 26
2750 MNDR Mobile-health Network Solutions Class A Ordinary Shares Healthcare $75.88K 73
2751 BRLL Barrel Energy, Inc. Financial Services $75.64K
2752 BNRG Brenmiller Energy Ltd Utilities $65.84K 52
2753 PFSA Profusa, Inc. Common Stock Healthcare $63.70K 2
2754 HAO Haoxi Health Technology Limited Communication Services $59.50K 30
2755 UCAR U Power Limited Consumer Cyclical $56.58K 77
2756 PBM Psyence Biomedical Ltd. Healthcare $56.30K 12
2757 STKH Steakholder Foods Ltd. Consumer Defensive $55.97K 24
2758 HKIT Hitek Global Technology $55.88K 30
2759 MTEN Mingteng International Corporation Inc. Industrials $51.30K 160
2760 EDBL Edible Garden AG Incorporated Consumer Defensive $46.61K 98
2761 AREB American Rebel Holdings, Inc. Consumer Cyclical $42.17K
2762 ZCMD Zhongchao Inc. Healthcare $37.92K 33
2763 MEHA Functional Brands, Inc. Common Stock Healthcare $36.50K 33
2764 CTNT Cheetah Net Supply Chain Service Inc. Consumer Cyclical $27.57K 13
2765 INLF INLIF Limited Industrials $24.22K 124
2766 LGHL Lion Group Holding Ltd. Financial Services $13.54K 25
2767 ADTX Aditxt, Inc. Healthcare $318 26

Do not service (409)

ETFs/funds, indices, non-common, delisted, and off-exchange listings — no analysis page is produced for these.

# Ticker ▲▼ Company ▲▼ Sector ▲▼ Market Cap ▲▼ Employees ▲▼ Reason ▲▼
1 VOO Vanguard S&P 500 ETF Financial Services $1.71T Do not service · ETF / fund
2 039200.KQ Oscotec Inc. Healthcare $1.51T 50 Do not service · Off-exchange (KOE)
3 SPY State Street SPDR S&P 500 ETF Trust Financial Services $732B Do not service · ETF / fund
4 QQQ Invesco QQQ Trust, Series 1 Financial Services $373B Do not service · ETF / fund
5 ARM Arm Holdings plc American Depositary Shares Technology $356B 8,330 Do not service · Not common stock
6 RHHBY Roche Holding AG Healthcare $330B 103,249 Do not service · Off-exchange (OTC)
7 LACG Leverage Shares 2x Long LAC Daily ETF Financial Services $167B Do not service · ETF / fund
8 SPCK SPAC and New Issue ETF Communication Services $166B Do not service · ETF / fund
9 BBVXF Banco Bilbao Vizcaya Argentaria, S.A. Financial Services $138B 124,741 Do not service · Off-exchange (OTC)
10 0VQD.L Chubb Limited Financial Services $128B 43,000 Do not service · Off-exchange (LSE)
11 BK The Bank of New York Mellon Corporation Financial Services $97.40B 49,867 Do not service · Delisted / inactive
12 SCHD Schwab U.S. Dividend Equity ETF Financial Services $95.79B Do not service · ETF / fund
13 BCLYF Barclays PLC Financial Services $87.93B 93,000 Do not service · Off-exchange (OTC)
14 SOXL Direxion Daily Semiconductor Bull 3X ETF Financial Services $63.43B Do not service · ETF / fund
15 SQ Block, Inc. Technology $51.73B 12,000 Do not service · Delisted / inactive
16 DFS Discover Financial Services Financial Services $50.34B 21,000 Do not service · Delisted / inactive
17 BASFY BASF Se Basic Materials $48.00B 111,408 Do not service · Off-exchange (OTC)
18 ERJ Embraer S.A. Industrials $47.38B 20,923 Do not service · Delisted / inactive
19 BAYRY Bayer AG Healthcare $44.21B 90,587 Do not service · Off-exchange (OTC)
20 LNVGY Lenovo Group Limited Technology $37.21B 69,500 Do not service · Off-exchange (OTC)
21 ADDYY adidas AG Consumer Cyclical $36.38B 46,045 Do not service · Off-exchange (OTC)
22 FI Fiserv, Inc. Technology $34.31B 38,000 Do not service · Delisted / inactive
23 ANSS ANSYS, Inc. Technology $32.91B 6,600 Do not service · Delisted / inactive
24 K Kellanova Consumer Defensive $29.03B 24,000 Do not service · Delisted / inactive
25 LQD iShares iBoxx $ Investment Grade Corporate Bond ETF Financial Services $28.80B Do not service · ETF / fund
26 PSTG Everpure, Inc Technology $28.49B 6,000 Do not service · Delisted / inactive
27 IMBBY Imperial Brands PLC Consumer Defensive $28.33B 25,600 Do not service · Off-exchange (OTC)
28 SPLK Splunk Inc. Technology $26.44B 8,000 Do not service · Delisted / inactive
29 TQQQ ProShares UltraPro QQQ Financial Services $25.80B Do not service · ETF / fund
30 VWDRY Vestas Wind Systems A/S Industrials $25.25B 35,927 Do not service · Off-exchange (OTC)
31 EBR-B Centrais Elétricas Brasileiras S.A. - Eletrobrás Utilities $24.82B 7,710 Do not service · Delisted / inactive
32 CTRA Coterra Energy Inc. Energy $24.72B 915 Do not service · Delisted / inactive
33 GELHY Geely Automobile Holdings Limited Consumer Cyclical $23.68B 68,000 Do not service · Off-exchange (OTC)
34 EXEEL Expand Energy Corporation Energy $23.56B 1,500 Do not service · Delisted / inactive
35 EXEEZ Expand Energy Corporation Energy $22.74B 1,500 Do not service · Delisted / inactive
36 TEF Telefónica, S.A. Communication Services $21.49B 100,870 Do not service · Delisted / inactive
37 EBR AXIA Energia S.A. Utilities $20.68B 7,710 Do not service · Delisted / inactive
38 CYBR CyberArk Software Ltd. Technology $20.64B 3,793 Do not service · Delisted / inactive
39 EXAS Exact Sciences Corporation Healthcare $20.03B 6,900 Do not service · Delisted / inactive
40 ASCCY ASICS Corporation Consumer Cyclical $19.47B 8,987 Do not service · Off-exchange (OTC)
41 HOLX Hologic, Inc. Healthcare $16.97B 7,063 Do not service · Delisted / inactive
42 HYG iShares iBoxx $ High Yield Corporate Bond ETF Financial Services $16.96B Do not service · ETF / fund
43 MRO Marathon Oil Corporation Energy $15.97B 1,681 Do not service · Delisted / inactive
44 JNPR Juniper Networks, Inc. Technology $13.36B 11,271 Do not service · Delisted / inactive
45 DAY Dayforce Inc Technology $11.18B 9,600 Do not service · Delisted / inactive
46 CFLT Confluent, Inc. Technology $11.08B 3,060 Do not service · Delisted / inactive
47 POAHY Porsche Automobil Holding SE Consumer Cyclical $9.95B 38 Do not service · Off-exchange (OTC)
48 SKX Skechers U.S.A., Inc. Consumer Cyclical $9.49B 10,100 Do not service · Delisted / inactive
49 SUM Summit Materials, Inc. Basic Materials $9.23B 5,300 Do not service · Delisted / inactive
50 GPS The Gap, Inc. Consumer Cyclical $9.21B 85,000 Do not service · Delisted / inactive
51 LNW Light & Wonder, Inc. Consumer Cyclical $8.43B 6,800 Do not service · Delisted / inactive
52 FBHS Fortune Brands Home & Security, Inc. Industrials $7.94B 28,000 Do not service · Delisted / inactive
53 CADE Cadence Bank Financial Services $7.85B 5,356 Do not service · Delisted / inactive
54 SWN Southwestern Energy Company Energy $7.84B 1,165 Do not service · Delisted / inactive
55 AZEK The AZEK Company Inc. Industrials $7.82B 2,000 Do not service · Delisted / inactive
56 BECN Beacon Roofing Supply, Inc. Industrials $7.72B 8,068 Do not service · Delisted / inactive
57 INFA Informatica Inc. Technology $7.54B 5,200 Do not service · Delisted / inactive
58 LSXMA The Liberty SiriusXM Group Communication Services $7.28B 6,400 Do not service · Delisted / inactive
59 NGD New Gold Inc. Basic Materials $7.19B 1,337 Do not service · Delisted / inactive
60 PARA Paramount Global Communication Services $6.99B 18,600 Do not service · Delisted / inactive
61 SNV Synovus Financial Corp. Financial Services $6.95B 4,720 Do not service · Delisted / inactive
62 ACLX Arcellx, Inc. Healthcare $6.73B 163 Do not service · Delisted / inactive
63 NSANY Nissan Motor Co., Ltd. Consumer Cyclical $6.59B 133,580 Do not service · Off-exchange (OTC)
64 GALNF Galenica AG Healthcare $5.73B 4,511 Do not service · Off-exchange (OTC)
65 CDTX Cidara Therapeutics, Inc. Healthcare $5.61B 38 Do not service · Delisted / inactive
66 CAKFY McKesson Europe AG Healthcare $5.37B 26,329 Do not service · Delisted / inactive
67 TSLL Direxion Daily TSLA Bull 2X ETF Financial Services $5.35B Do not service · ETF / fund
68 IAA IAA, Inc. Industrials $5.34B 4,816 Do not service · Delisted / inactive
69 RICOY Ricoh Company, Ltd. Industrials $5.10B 79,544 Do not service · Off-exchange (OTC)
70 CHX ChampionX Corporation Energy $4.94B 7,100 Do not service · Delisted / inactive
71 LANC Lancaster Colony Corporation Consumer Defensive $4.76B 3,400 Do not service · Delisted / inactive
72 DOOO BRP Inc. Consumer Cyclical $4.69B 16,500 Do not service · Delisted / inactive
73 OCTVV Octave Intelligence plc Technology $4.69B Do not service · Delisted / inactive
74 NARI Inari Medical, Inc. Healthcare $4.68B 1,300 Do not service · Delisted / inactive
75 AJRD Aerojet Rocketdyne Holdings, Inc. Industrials $4.68B 5,283 Do not service · Delisted / inactive
76 PUMSY PUMA Se Consumer Cyclical $4.67B 22,000 Do not service · Off-exchange (OTC)
77 SPR Spirit AeroSystems Holdings, Inc. Industrials $4.64B 20,370 Do not service · Delisted / inactive
78 FOLD Amicus Therapeutics, Inc. Healthcare $4.55B 499 Do not service · Delisted / inactive
79 AKRO Akero Therapeutics, Inc. Healthcare $4.50B 69 Do not service · Delisted / inactive
80 ATCO Atlas Corp. Financial Services $4.45B 6,200 Do not service · Delisted / inactive
81 PYCR Paycor HCM, Inc. Technology $4.09B 2,900 Do not service · Delisted / inactive
82 AIMC Altra Industrial Motion Corp. Industrials $4.05B 9,314 Do not service · Delisted / inactive
83 COMM CommScope Holding Company, Inc. Technology $3.95B 20,000 Do not service · Delisted / inactive
84 UMPQ Umpqua Holdings Corporation Financial Services $3.83B 4,000 Do not service · Delisted / inactive
85 ONEM 1Life Healthcare, Inc. Healthcare $3.40B 3,090 Do not service · Delisted / inactive
86 AMED Amedisys, Inc. Healthcare $3.32B 19,000 Do not service · Delisted / inactive
87 MPW Medical Properties Trust, Inc. Real Estate $3.22B 118 Do not service · Delisted / inactive
88 REVG REV Group, Inc. Industrials $3.12B 5,500 Do not service · Delisted / inactive
89 DISH DISH Network Corporation Communication Services $3.08B 14,200 Do not service · Delisted / inactive
90 AMDL GraniteShares 2x Long AMD Daily ETF Financial Services $2.94B Do not service · ETF / fund
91 KAR OPENLANE, Inc. Consumer Cyclical $2.92B 4,080 Do not service · Delisted / inactive
92 MUU Direxion Daily MU Bull 2X ETF Financial Services $2.85B Do not service · ETF / fund
93 PDCO Patterson Companies, Inc. Healthcare $2.77B 7,600 Do not service · Delisted / inactive
94 SLNO Soleno Therapeutics, Inc. Healthcare $2.76B 115 Do not service · Delisted / inactive
95 SQQQ ProShares - UltraPro Short QQQ Financial Services $2.54B Do not service · ETF / fund
96 CEIX CONSOL Energy Inc. Energy $2.47B 2,020 Do not service · Delisted / inactive
97 OS OneStream, Inc. Class A Common Stock Technology $2.40B 1,500 Do not service · Delisted / inactive
98 LBPH Longboard Pharmaceuticals, Inc. Healthcare $2.34B 50 Do not service · Delisted / inactive
99 MCW Mister Car Wash, Inc. Consumer Cyclical $2.34B 6,640 Do not service · Delisted / inactive
100 CSGS CSG Systems International, Inc. Technology $2.30B 5,800 Do not service · Delisted / inactive
101 HBI Hanesbrands Inc. Consumer Cyclical $2.29B 38,000 Do not service · Delisted / inactive
102 CHA Chagee Holdings Limited American Depositary Shares Consumer Defensive $2.24B 4,800 Do not service · Not common stock
103 LC LendingClub Corporation Financial Services $2.22B 1,002 Do not service · Delisted / inactive
104 ARHCF Alfresa Holdings Corporation Industrials $2.16B 12,452 Do not service · Delisted / inactive
105 TGI Triumph Group, Inc. Industrials $2.02B 4,530 Do not service · Delisted / inactive
106 HOUS Anywhere Real Estate Inc. Real Estate $1.98B 7,805 Do not service · Delisted / inactive
107 CLI Mack-Cali Realty Corporation Real Estate $1.83B 256 Do not service · Delisted / inactive
108 IAS Integral Ad Science Holding Corp. Communication Services $1.74B 902 Do not service · Delisted / inactive
109 SILV SilverCrest Metals Inc. Basic Materials $1.72B 340 Do not service · Delisted / inactive
110 BITO ProShares - Bitcoin ETF Financial Services $1.71B Do not service · ETF / fund
111 VBTX Veritex Holdings, Inc. Financial Services $1.66B 858 Do not service · Delisted / inactive
112 INFN Infinera Corporation Technology $1.57B 3,389 Do not service · Delisted / inactive
113 CBTX CBTX, Inc. Financial Services $1.55B 506 Do not service · Delisted / inactive
114 NVEE NV5 Global, Inc. Industrials $1.51B 4,714 Do not service · Delisted / inactive
115 SUMO Sumo Logic, Inc. Technology $1.49B 983 Do not service · Delisted / inactive
116 MLNK MeridianLink, Inc. Technology $1.48B 682 Do not service · Delisted / inactive
117 PGRE Paramount Group, Inc. Real Estate $1.46B 316 Do not service · Delisted / inactive
118 KALV KalVista Pharmaceuticals, Inc. Healthcare $1.44B 150 Do not service · Delisted / inactive
119 RDFN Redfin Corporation Real Estate $1.43B 4,000 Do not service · Delisted / inactive
120 HSKA Heska Corporation Healthcare $1.31B 808 Do not service · Delisted / inactive
121 BITF Bitfarms Ltd. Financial Services $1.30B 170 Do not service · Delisted / inactive
122 VRNT Verint Systems Inc. Technology $1.24B 3,800 Do not service · Delisted / inactive
123 TIXT TELUS International (Cda) Inc. Technology $1.19B 78,879 Do not service · Delisted / inactive
124 GLDD Great Lakes Dredge & Dock Corporation Industrials $1.14B 381 Do not service · Delisted / inactive
125 DUOG Leverage Shares 2x Long DUOL Daily ETF Financial Services $1.13B Do not service · ETF / fund
126 PRO PROS Holdings, Inc. Technology $1.12B 1,501 Do not service · Delisted / inactive
127 GATO Gatos Silver, Inc. Basic Materials $1.00B 19 Do not service · Delisted / inactive
128 NEP NextEra Energy Partners, LP Utilities $986M Do not service · Delisted / inactive
129 BSIG BrightSphere Investment Group Inc. Financial Services $983M 387 Do not service · Delisted / inactive
130 PETQ PetIQ, Inc. Healthcare $919M 1,121 Do not service · Delisted / inactive
131 SPTN SpartanNash Company Consumer Defensive $911M 11,000 Do not service · Delisted / inactive
132 PACW PacWest Bancorp Financial Services $905M 2,438 Do not service · Delisted / inactive
133 TMST TimkenSteel Corporation Basic Materials $895M 1,700 Do not service · Delisted / inactive
134 ASGN ASGN Incorporated Technology $895M 3,200 Do not service · Delisted / inactive
135 TELL Tellurian Inc. Energy $893M 168 Do not service · Delisted / inactive
136 GES Guess', Inc. Consumer Cyclical $877M 13,000 Do not service · Delisted / inactive
137 GCI Gannett Co., Inc. Communication Services $872M 11,700 Do not service · Delisted / inactive
138 MGIC Magic Software Enterprises Ltd. Technology $853M 3,628 Do not service · Delisted / inactive
139 MDRX Veradigm Inc. Healthcare $849M 2,450 Do not service · Off-exchange (OTC)
140 ATUS Altice USA, Inc. Communication Services $838M 10,900 Do not service · Delisted / inactive
141 GOU GraniteShares 2x Long GOOG Daily ETF Financial Services $821M Do not service · ETF / fund
142 HAYN Haynes International, Inc. Industrials $780M 1,248 Do not service · Delisted / inactive
143 CONI GraniteShares 2x Short COIN Daily ETF Financial Services $755M Do not service · ETF / fund
144 EXPI eXp World Holdings, Inc. Real Estate $753M 1,931 Do not service · Delisted / inactive
145 LOT Lotus Technology Inc. American Depositary Shares Consumer Cyclical $700M 1,996 Do not service · Not common stock
146 NAIL Direxion Daily Homebuilders & Supplies Bull 3X ETF Financial Services $686M Do not service · ETF / fund
147 KORU Direxion Daily MSCI South Korea Bull 3X ETF Financial Services $656M Do not service · ETF / fund
148 ACCD Accolade, Inc. Healthcare $576M 2,400 Do not service · Delisted / inactive
149 GNTY Guaranty Bancshares, Inc. Financial Services $553M 485 Do not service · Delisted / inactive
150 LLNW Limelight Networks, Inc. Technology $545M 556 Do not service · Delisted / inactive
151 CAEP Cantor Equity Partners III, Inc. Class A Ordinary Shares Financial Services $526M 2 Do not service · Delisted / inactive
152 CCXIU Churchill Capital Corp XI Units Financial Services $524M Do not service · Not common stock
153 EBTC Enterprise Bancorp, Inc. Financial Services $496M 576 Do not service · Delisted / inactive
154 VACHU Voyager Acquisition Corp. Financial Services $475M 3 Do not service · SPAC / blank-check
155 GDXU MicroSectors Gold Miners 3X Leveraged ETN Financial Services $431M Do not service · ETF / fund
156 SIMAU SIM Acquisition Corp. I Unit Financial Services $315M 2 Do not service · SPAC / blank-check
157 GDXD MicroSectors Gold Miners -3X Inverse Leveraged ETNs Financial Services $297M Do not service · ETF / fund
158 GPP Green Plains Partners LP Energy $286M Do not service · Delisted / inactive
159 GHL Greenhill & Co., Inc. Financial Services $282M 382 Do not service · Delisted / inactive
160 APADU A Paradise Acquisition Corp. Financial Services $268M Do not service · SPAC / blank-check
161 PLTU Direxion Daily PLTR Bull 2X Shares Financial Services $257M Do not service · ETF / fund
162 TZA Direxion Daily Small Cap Bear 3X ETF Financial Services $256M Do not service · ETF / fund
163 FTCH Farfetch Limited Consumer Cyclical $254M 6,728 Do not service · Delisted / inactive
164 LEGT Legato Merger Corp. III Financial Services $247M 3 Do not service · SPAC / blank-check
165 IRHOR Iron Horse Acquisitions Corp. II Rights Financial Services $246M Do not service · Not common stock
166 PTIR GraniteShares 2x Long PLTR Daily ETF Financial Services $242M Do not service · ETF / fund
167 IPEXR Inflection Point Acquisition Corp. V Financial Services $230M 3 Do not service · SPAC / blank-check
168 NBIL GraniteShares 2x Long NBIS Daily ETF Financial Services $217M Do not service · ETF / fund
169 MWC Micware Co., Ltd. American Depositary Shares Technology $214M 452 Do not service · Not common stock
170 AVL Direxion Daily AVGO Bull 2X Shares Financial Services $211M Do not service · ETF / fund
171 AMUU Direxion Daily AMD Bull 2X ETF Financial Services $190M Do not service · ETF / fund
172 UBFO United Security Bancshares Financial Services $185M 114 Do not service · Delisted / inactive
173 INHD Inno Holdings Inc. Technology $179M 5 Do not service · Delisted / inactive
174 GIG GigCapital7 Corp. Financial Services $172M 2 Do not service · Delisted / inactive
175 APAD A Paradise Acquisition Corp. Class A Ordinary Shares Financial Services $165M Do not service · SPAC / blank-check
176 MVLL GraniteShares 2x Long MRVL Daily ETF Financial Services $157M Do not service · ETF / fund
177 ASRT Assertio Holdings, Inc. Healthcare $152M 58 Do not service · Delisted / inactive
178 SKLZ Skillz Inc. Communication Services $138M 323 Do not service · Delisted / inactive
179 KOLD ProShares - UltraShort Bloomberg Natural Gas Financial Services $135M Do not service · ETF / fund
180 CPSI Computer Programs and Systems, Inc. Healthcare $134M 2,500 Do not service · Delisted / inactive
181 SPDN Direxion Daily S&P 500 Bear 1X ETF Financial Services $132M Do not service · ETF / fund
182 TPZ Tortoise Electrification Infrastructure ETF Financial Services $131M Do not service · ETF / fund
183 SOXS Direxion Daily Semiconductor Bear 3X ETF Financial Services $130M Do not service · ETF / fund
184 NRGU MicroSectors U.S. Big Oil 3 Leveraged ETN Financial Services $126M Do not service · ETF / fund
185 DUST Direxion Daily Gold Miners Index Bear 2X ETF Financial Services $120M Do not service · ETF / fund
186 NVD GraniteShares 2x Short NVDA Daily ETF Financial Services $116M Do not service · ETF / fund
187 AVGX Daily Target 2X Long AVGO ETF Financial Services $106M Do not service · ETF / fund
188 ETHD ProShares - UltraShort Ether ETF Financial Services $103M Do not service · ETF / fund
189 SLVRF Silver One Resources Inc. Basic Materials $101M 4 Do not service · Off-exchange (OTC)
190 MSFU Direxion Daily MSFT Bull 2X ETF Financial Services $98.89M Do not service · ETF / fund
191 XXRP Teucrium 2x Long Daily XRP ETF Financial Services $98.46M Do not service · ETF / fund
192 MKFG Markforged Holding Corporation Technology $98.34M 270 Do not service · Delisted / inactive
193 PLTZ Daily Target 2X Short PLTR ETF Financial Services $98.09M Do not service · ETF / fund
194 TECS Direxion Daily Technology Bear 3X ETF Financial Services $93.44M Do not service · ETF / fund
195 SKBL Skyline Builders Group Holding Limited Industrials $92.93M 127 Do not service · Delisted / inactive
196 LLYX Daily Target 2X Long LLY ETF Financial Services $83.84M Do not service · ETF / fund
197 SCO ProShares - UltraShort Bloomberg Crude Oil Financial Services $80.58M Do not service · ETF / fund
198 AMDG Leverage Shares 2x Long AMD Daily ETF Financial Services $75.33M Do not service · ETF / fund
199 VACH Voyager Acquisition Corp. Financial Services $74.64M 3 Do not service · SPAC / blank-check
200 HUSA Houston American Energy Corp. Energy $74.23M 2 Do not service · Delisted / inactive
201 RKLX Daily Target 2X Long RKLB ETF Financial Services $71.75M Do not service · ETF / fund
202 FBL GraniteShares 2x Long META Daily ETF Financial Services $69.95M Do not service · ETF / fund
203 SMCY YieldMax SMCI Option Income Strategy ETF Financial Services $69.18M Do not service · ETF / fund
204 LAFAR LaFayette Acquisition Corp. Rights Financial Services $67.31M Do not service · SPAC / blank-check
205 GURU Global X - Guru Index ETF Financial Services $61.73M Do not service · ETF / fund
206 IRE Defiance Daily Target 2X Long IREN ETF Financial Services $60.82M 11,180 Do not service · ETF / fund
207 AGH Aureus Greenway Holdings Inc. Consumer Cyclical $59.98M 47 Do not service · Delisted / inactive
208 LFS LEIFRAS Co., Ltd. American Depositary Shares Consumer Defensive $59.65M 999 Do not service · Not common stock
209 METU Direxion Daily META Bull 2X ETF Financial Services $58.58M Do not service · ETF / fund
210 ORCX Daily Target 2X Long ORCL ETF Financial Services $56.27M Do not service · ETF / fund
211 TXXS 21Shares 2x Long Sui ETF Financial Services $55.25M Do not service · ETF / fund
212 XCH XCHG Limited American Depositary Share Industrials $54.84M 184 Do not service · Not common stock
213 SNOY YieldMax SNOW Option Income Strategy ETF Financial Services $48.48M Do not service · ETF / fund
214 HSPTU Horizon Space Acquisition II Corp. Financial Services $47.59M 2 Do not service · Delisted / inactive
215 SMST Defiance Daily Target 2x Short MSTR ETF Financial Services $46.84M 780 Do not service · ETF / fund
216 WYHG Wing Yip Food Holdings Group Limited American Depositary Shares Consumer Defensive $45.42M 491 Do not service · Not common stock
217 DRIP Direxion Daily S&P Oil & Gas Exp. & Prod. Bear 2X ETF Financial Services $44.34M Do not service · ETF / fund
218 VRTL GraniteShares 2x Long VRT Daily ETF Financial Services $43.58M Do not service · ETF / fund
219 AMPGR Amplitech Group, Inc. Series A Right Technology $43.52M 47 Do not service · Not common stock
220 RDAC Rising Dragon Acquisition Corp. Financial Services $42.00M 2 Do not service · SPAC / blank-check
221 VVPR VivoPower PLC Utilities $37.87M 41 Do not service · Delisted / inactive
222 JDST Direxion Daily Junior Gold Miners Index Bear 2X ETF Financial Services $37.76M Do not service · ETF / fund
223 SMCX Daily Target 2X Long SMCI ETF Financial Services $37.22M Do not service · ETF / fund
224 ARMG Leverage Shares 2x Long ARM Daily ETF Financial Services $36.67M Do not service · ETF / fund
225 AIQD MicroSectors -3x Short Artificial Intelligence (AI) ETNs Financial Services $36.58M Do not service · ETF / fund
226 AMPGZ Amplitech Group, Inc. Series B Right Technology $32.97M 47 Do not service · Not common stock
227 NBIG Leverage Shares 2x Long NBIS Daily ETF Financial Services $32.86M Do not service · ETF / fund
228 APPX Tradr 2X Long APP Daily ETF Financial Services $32.75M Do not service · ETF / fund
229 MLAC Mountain Lake Acquisition Corp. Class A Financial Services $30.37M 2 Do not service · SPAC / blank-check
230 BEG Leverage Shares 2x Long BE Daily ETF Financial Services $28.45M Do not service · ETF / fund
231 NOVA Sunnova Energy International Inc. Energy $27.68M 1,796 Do not service · Delisted / inactive
232 LMNL Liminal BioSciences Inc. Healthcare $27.62M 251 Do not service · Delisted / inactive
233 UXRP ProShares - Ultra XRP ETF Financial Services $27.30M Do not service · ETF / fund
234 CQCQ MakingORG, Inc. Healthcare $26.66M 2 Do not service · Delisted / inactive
235 LL LL Flooring Holdings, Inc. Consumer Cyclical $25.87M 2,079 Do not service · Delisted / inactive
236 SPAX T-REX 2X Long SpaceX Daily Target ETF Financial Services $25.56M Do not service · ETF / fund
237 SUIS Canary Staked SUIS ETF Shares of Beneficial Interest Financial Services $23.73M Do not service · ETF / fund
238 MSTX Daily Target 2X Long MSTR ETF Financial Services $23.19M Do not service · ETF / fund
239 ELIL Direxion Daily LLY Bull 2X ETF Financial Services $22.87M Do not service · ETF / fund
240 IONZ Defiance Daily Target 2x Short IONQ ETF Financial Services $21.02M 7 Do not service · ETF / fund
241 MRAL GraniteShares 2x Long MARA Daily ETF Financial Services $20.99M Do not service · ETF / fund
242 IONX Defiance Daily Target 2X Long IONQ ETF Financial Services $20.86M 152 Do not service · ETF / fund
243 LINT Direxion Daily INTC Bull 2X ETF Financial Services $20.66M Do not service · ETF / fund
244 BWET Breakwave Tanker Shipping ETF Financial Services $20.27M Do not service · ETF / fund
245 OPEG Leverage Shares 2x Long OPEN Daily ETF Financial Services $19.64M Do not service · ETF / fund
246 MRVU Direxion Daily MRVL Bull 2X ETF Financial Services $18.75M Do not service · ETF / fund
247 SNSE Sensei Biotherapeutics, Inc. Healthcare $18.59M 14 Do not service · Delisted / inactive
248 HIMZ Daily Target 2X Long HIMS ETF Financial Services $18.57M Do not service · ETF / fund
249 HOOX Daily Target 2X Long HOOD ETF Financial Services $17.98M Do not service · ETF / fund
250 RIOX Daily Target 2X Long RIOT ETF Financial Services $17.78M Do not service · ETF / fund
251 HOOG Leverage Shares 2x Long HOOD Daily ETF Financial Services $17.10M Do not service · ETF / fund
252 MBSX Regan Fixed Rate MBS ETF Financial Services $16.57M Do not service · ETF / fund
253 AGAE Allied Gaming & Entertainment Inc. Technology $16.56M 72 Do not service · Delisted / inactive
254 CRWG Leverage Shares 2x Long CRWV Daily ETF Financial Services $15.65M Do not service · ETF / fund
255 RGTZ Daily Target 2X Short RGTZ ETF Financial Services $15.61M Do not service · ETF / fund
256 GGLS Direxion Daily GOOGL Bear 1X ETF Financial Services $15.08M Do not service · ETF / fund
257 BIG Big Lots, Inc. Consumer Defensive $14.75M 10,000 Do not service · Delisted / inactive
258 TSUI 21Shares Sui ETF Financial Services $14.62M Do not service · ETF / fund
259 MSFL GraniteShares 2x Long MSFT Daily ETF Financial Services $13.02M Do not service · ETF / fund
260 MAXN Maxeon Solar Technologies, Ltd. Energy $12.86M 1,591 Do not service · Delisted / inactive
261 RDTL GraniteShares 2x Long RDDT Daily ETF Financial Services $12.35M Do not service · ETF / fund
262 RGTX Daily Target 2X Long RGTI ETF Financial Services $12.31M Do not service · ETF / fund
263 HIBS Direxion Daily S&P 500 High Beta Bear 3X ETF Financial Services $12.24M Do not service · ETF / fund
264 SOLT 2x Solana ETF Financial Services $11.79M Do not service · ETF / fund
265 LKSPR Lake Superior Acquisition Corp. – Rights Financial Services $11.50M Do not service · SPAC / blank-check
266 CIRC JPMorgan Sustainable Consumption ETF Financial Services $11.45M Do not service · ETF / fund
267 GEVG Leverage Shares 2x Long GEV Daily ETF Financial Services $11.22M Do not service · ETF / fund
268 CUSD CrossingBridge Ultra-Short Duration ETF Financial Services $10.99M Do not service · ETF / fund
269 NAMI Jinxin Technology Holding Company American Depositary Shares Communication Services $10.68M 93 Do not service · Not common stock
270 AVGU GraniteShares 2x Long AVGO Daily ETF Financial Services $10.24M Do not service · ETF / fund
271 IONL GraniteShares 2x Long IONQ Daily ETF Financial Services $9.77M Do not service · ETF / fund
272 AVGG Leverage Shares 2X Long AVGO Daily ETF Financial Services $9.30M Do not service · ETF / fund
273 PYPG Leverage Shares 2x Long PYPL Daily ETF Financial Services $9.06M Do not service · ETF / fund
274 GOCO GoHealth Inc. Financial Services $8.94M 2,181 Do not service · Delisted / inactive
275 MULL GraniteShares 2x Long MU Daily ETF Financial Services $8.50M Do not service · ETF / fund
276 ODVWZ Osisko Development Corp. Warrant expiring 5/27/2027 Basic Materials $8.35M 100 Do not service · Not common stock
277 RBLY YieldMax RBLX Option Income Strategy ETF Financial Services $7.47M Do not service · ETF / fund
278 OKLL Daily Target 2X Long OKLO ETF Financial Services $7.20M Do not service · ETF / fund
279 DZZ DB Gold Double Short ETN Financial Services $6.57M Do not service · ETF / fund
280 UPSG Leverage Shares 2x Long UPS Daily ETF Financial Services $6.55M Do not service · ETF / fund
281 QCML GraniteShares 2x Long QCOM Daily ETF Financial Services $6.54M Do not service · ETF / fund
282 EGIO Edgio, Inc. Technology $6.50M 822 Do not service · Delisted / inactive
283 KEEX Defiance Daily Target 2X Long BITF ETF Financial Services $6.49M Do not service · ETF / fund
284 CSCL Direxion Daily CSCO Bull 2X ETF Financial Services $6.47M Do not service · ETF / fund
285 EDZ Direxion Daily MSCI Emerging Markets Bear 3X ETF Financial Services $6.44M Do not service · ETF / fund
286 CRMU Leverage Shares 2x Long CRML Daily ETF Financial Services $6.31M Do not service · ETF / fund
287 PMNT Perfect Moment Ltd. Common Stock Consumer Cyclical $6.20M 39 Do not service · Delisted / inactive
288 IREG Leverage Shares 2x Long IREN Daily ETF Financial Services $5.99M Do not service · ETF / fund
289 ABVE Above Food Ingredients Inc. Consumer Defensive $5.84M Do not service · Delisted / inactive
290 ZSL ProShares - UltraShort Silver Financial Services $5.68M Do not service · ETF / fund
291 KFIIR K&F Growth Acquisition Corp. II Financial Services $5.60M 2 Do not service · SPAC / blank-check
292 TXNU Direxion Daily TXN Bull 2X ETF Financial Services $5.50M Do not service · ETF / fund
293 NVTA Invitae Corporation Healthcare $5.44M 1,700 Do not service · Delisted / inactive
294 DLLL GraniteShares 2x Long DELL Daily ETF Financial Services $5.41M Do not service · ETF / fund
295 ANEL Defiance Daily Target 2X Long ANET ETF Financial Services $5.25M Do not service · ETF / fund
296 NSTG NanoString Technologies, Inc. Healthcare $5.07M 550 Do not service · Delisted / inactive
297 QSU Daily Target 2X Long QS ETF Financial Services $5.06M Do not service · ETF / fund
298 TVAIR Thayer Ventures Acquisition Corporation II Rights Financial Services $4.98M Do not service · SPAC / blank-check
299 TXXH 21Shares 2x Long HYPE ETF Financial Services $4.93M Do not service · ETF / fund
300 CRCG Leverage Shares 2x Long CRCL Daily ETF Financial Services $4.72M Do not service · ETF / fund
301 JDZG JIADE Limited Technology $4.67M 22 Do not service · Delisted / inactive
302 LAZR Luminar Technologies, Inc. Consumer Cyclical $4.54M 580 Do not service · Delisted / inactive
303 SLON ProShares - Ultra Solana ETF Financial Services $4.47M Do not service · ETF / fund
304 TWOU 2U, Inc. Consumer Defensive $4.43M 2,961 Do not service · Delisted / inactive
305 HCICR Hennessy Capital Investment Corp. VIII Share Rights Financial Services $4.10M 3 Do not service · Not common stock
306 GLWG Leverage Shares 2X Long GLW Daily ETF Financial Services $3.95M Do not service · ETF / fund
307 MKLYR McKinley Acquisition Corporation Rights Financial Services $3.92M Do not service · SPAC / blank-check
308 SMCZ Daily Target 2X Short SMCI ETF Financial Services $3.88M Do not service · ETF / fund
309 QCMU Direxion Daily QCOM Bull 2X ETF Financial Services $3.86M Do not service · ETF / fund
310 UUUG Leverage Shares 2x Long UUUU Daily ETF Financial Services $3.70M Do not service · ETF / fund
311 TRGSR TRG Latin America Acquisitions Corp. Rights Financial Services $3.68M Do not service · Not common stock
312 SATG Leverage Shares 2x Long SATS Daily ETF Financial Services $3.68M Do not service · ETF / fund
313 PLTA ProShares - Ultra PLTR Financial Services $3.50M Do not service · ETF / fund
314 TURB Turbo Energy, S.A. American Depositary Shares Energy $3.33M 43 Do not service · Not common stock
315 BERZ MicroSectors Solactive FANG & Innovation -3X Inverse Leveraged ETN Financial Services $3.32M Do not service · ETF / fund
316 EXPR Express, Inc. Consumer Cyclical $3.11M 3,300 Do not service · Delisted / inactive
317 KTWOR K2 Capital Acquisition Corporation Rights Financial Services $3.11M 2 Do not service · SPAC / blank-check
318 KPDD KraneShares 2X Long PDD Daily ETF Financial Services $2.95M Do not service · ETF / fund
319 ARCLR ARC Group Acquisition I Corp Right Financial Services $2.93M 3 Do not service · Not common stock
320 IGACR Invest Green Acquisition Corporation Financial Services $2.92M Do not service · SPAC / blank-check
321 CURO CURO Group Holdings Corp. Financial Services $2.89M 4,000 Do not service · Delisted / inactive
322 SNBR Sleep Number Corp Consumer Cyclical $2.88M 3,114 Do not service · Delisted / inactive
323 NOTV Inotiv, Inc. Healthcare $2.79M 2,027 Do not service · Delisted / inactive
324 CRACR Crown Reserve Acquisition Corp. I Rights Financial Services $2.71M Do not service · SPAC / blank-check
325 AMA Defiance Daily Target 2X Long AMAT ETF Financial Services $2.59M Do not service · ETF / fund
326 CIFG Leverage Shares 2x Long CIFR Daily ETF Financial Services $2.55M Do not service · ETF / fund
327 TDWDR Tailwind 2.0 Acquisition Corp. Rights Financial Services $2.49M Do not service · SPAC / blank-check
328 ZETX Daily Target 2X Long ZETA ETF Financial Services $2.41M Do not service · ETF / fund
329 EMISR Emmis Acquisition Corp. Financial Services $2.35M 2 Do not service · SPAC / blank-check
330 UGRO urban-gro, Inc. Industrials $2.33M 134 Do not service · Delisted / inactive
331 RVYL Ryvyl Inc. Technology $2.28M 95 Do not service · Delisted / inactive
332 PYPU Direxion Daily PYPL Bull 2X ETF Financial Services $2.18M Do not service · ETF / fund
333 SOUX Daily Target 2X Long SOUN ETF Financial Services $2.05M Do not service · ETF / fund
334 KBDU KraneShares 2x Long BIDU Daily ETF Financial Services $2.03M Do not service · ETF / fund
335 DGZ DB Gold Short ETN Financial Services $1.99M Do not service · ETF / fund
336 BAIG Leverage Shares 2x Long BBAI Daily ETF Financial Services $1.97M Do not service · ETF / fund
337 BTM Bitcoin Depot Inc. Financial Services $1.89M 126 Do not service · Delisted / inactive
338 MUZ Defiance Daily Target 2X Short MU ETF Financial Services $1.77M Do not service · ETF / fund
339 TERG Leverage Shares 2X Long TER Daily ETF Financial Services $1.77M 2,829 Do not service · ETF / fund
340 QGRD Horizon Nasdaq-100 Defined Risk ETF Financial Services $1.77M Do not service · ETF / fund
341 LOFF Direxion Daily SpaceX Bull 2X ETF Financial Services $1.76M Do not service · ETF / fund
342 EURKR Eureka Acquisition Corp Financial Services $1.75M Do not service · SPAC / blank-check
343 FIGG Leverage Shares 2x Long FIG Daily ETF Financial Services $1.70M Do not service · ETF / fund
344 NOWL GraniteShares 2x Long NOW Daily ETF Financial Services $1.67M Do not service · ETF / fund
345 NBRGR Newbridge Acquisition Limited Rights Financial Services $1.53M Do not service · Not common stock
346 ORCU Direxion Daily ORCL Bull 2X ETF Financial Services $1.48M Do not service · ETF / fund
347 OSCX Defiance Daily Target 2X Long OSCR ETF Financial Services $1.48M Do not service · ETF / fund
348 LMNX Daily Target 2X Long LMND ETF Financial Services $1.47M Do not service · ETF / fund
349 AMDD Direxion Daily AMD Bear 1X ETF Financial Services $1.40M Do not service · ETF / fund
350 RVNL GraniteShares 2x Long RIVN Daily ETF Financial Services $1.38M 1,326 Do not service · ETF / fund
351 MRNX Daily Target 2X Long MRNA ETF Financial Services $1.32M Do not service · ETF / fund
352 OSCG Leverage Shares 2X Long OSCR Daily ETF Financial Services $1.30M 2,800 Do not service · ETF / fund
353 MSDD GraniteShares 2x Short MSTR Daily ETF Financial Services $1.30M Do not service · ETF / fund
354 HODU Direxion Daily HOOD Bull 2X ETF Financial Services $1.28M Do not service · ETF / fund
355 RFAMR RF Acquisition Corp III Rights Financial Services $1.25M 2 Do not service · SPAC / blank-check
356 CHARR Charlton Aria Acquisition Corporation Financial Services $1.19M Do not service · SPAC / blank-check
357 CHPGR ChampionsGate Acquisition Corporation Financial Services $1.18M 2 Do not service · SPAC / blank-check
358 DTSQR DT Cloud Star Acquisition Corporation Financial Services $1.11M 3 Do not service · SPAC / blank-check
359 AALG Leverage Shares 2x Long AAL Daily ETF Financial Services $1.01M Do not service · ETF / fund
360 APACR StoneBridge Acquisition II Corporation Financial Services $981K 2 Do not service · Delisted / inactive
361 KMLI KraneShares 2x Long MELI Daily ETF Financial Services $965K Do not service · ETF / fund
362 RIBBR Ribbon Acquisition Corp. Financial Services $940K 2 Do not service · SPAC / blank-check
363 BMNG Leverage Shares 2x Long BMNR Daily ETF Financial Services $928K Do not service · ETF / fund
364 QBTZ Defiance Daily Target 2X Short QBTS ETF Financial Services $896K Do not service · ETF / fund
365 JETD MAX Airlines -3X Inverse Leveraged ETNs Financial Services $792K Do not service · ETF / fund
366 SCA Graniteshares Autocallable Smci ETF Financial Services $760K Do not service · ETF / fund
367 OKTG Leverage Shares 2x Long OKTA Daily ETF Financial Services $697K Do not service · ETF / fund
368 MST Leveraged Long + Income MSTR ETF Financial Services $676K Do not service · ETF / fund
369 PDDL GraniteShares 2x Long PDD Daily ETF Financial Services $618K Do not service · ETF / fund
370 FUTG Leverage Shares 2x Long FUTU Daily ETF Financial Services $587K Do not service · ETF / fund
371 TSXD Direxion Daily Semiconductors Top 5 Bear 2X ETF Financial Services $578K Do not service · ETF / fund
372 CJET Chijet Motor Company, Inc. Consumer Cyclical $556K 1,428 Do not service · Delisted / inactive
373 GLGG Leverage Shares 2x Long GLXY Daily ETF Financial Services $471K Do not service · ETF / fund
374 BULG Leverage Shares 2x Long BULL Daily ETF Financial Services $463K Do not service · ETF / fund
375 FSHPR Flag Ship Acquisition Corporation Financial Services $403K 16 Do not service · SPAC / blank-check
376 CRCO YieldMax CRCL Option Income Strategy ETF Financial Services $399K Do not service · ETF / fund
377 CLUB Billionaires Club ETF Financial Services $265K Do not service · ETF / fund
378 SOPA Society Pass Incorporated Technology $239K Do not service · Delisted / inactive
379 NETG Leverage Shares 2x Long NET Daily ETF Financial Services $232K Do not service · ETF / fund
380 USPS Ultimate Sports, Inc. Healthcare $215K 4 Do not service · Off-exchange (OTC)
381 RCAX Daily Target 2X Long RCAT ETF Financial Services $199K Do not service · ETF / fund
382 LCDL GraniteShares 2x Long LCID Daily ETF Financial Services $194K Do not service · ETF / fund
383 SPOG Leverage Shares 2x Long SPOT Daily ETF Financial Services $160K Do not service · ETF / fund
384 AVXX Defiance Daily Target 2X Long AVAV ETF Financial Services $128K Do not service · ETF / fund
385 BLSG Leverage Shares 2x Long BLSH Daily ETF Financial Services $116K Do not service · ETF / fund
386 BULX GraniteShares 2x Long BULL Daily ETF Financial Services $97.04K Do not service · ETF / fund
387 RKLZ Defiance Daily Target 2X Short RKLB ETF Financial Services $80.04K Do not service · ETF / fund
388 UECG Leverage Shares 2x Long UEC Daily ETF Financial Services $55.05K Do not service · ETF / fund
389 IDEX Ideanomics, Inc. Industrials $42.14K 295 Do not service · Delisted / inactive
390 MSTP GraniteShares 2x Long MSTR Daily ETF Financial Services $23.57K Do not service · ETF / fund
391 GEMG Leverage Shares 2x Long GEMI Daily ETF Financial Services $21.10K Do not service · ETF / fund
392 MLTO MEDirect Latino, Inc. Healthcare $1.70K 87 Do not service · Delisted / inactive
393 AVLR Avalara, Inc. Technology 4,465 Do not service · Delisted / inactive
394 AVYA Avaya Holdings Corp. Technology 7,851 Do not service · Delisted / inactive
395 CCMP CMC Materials, Inc. Technology 2,200 Do not service · Delisted / inactive
396 CVET Covetrus, Inc. Healthcare 4,035 Do not service · Delisted / inactive
397 ECHO Echo Global Logistics, Inc. Industrials 2,593 Do not service · Delisted / inactive
398 GPM Guggenheim Enhanced Equity Income Fund Financial Services Do not service · Delisted / inactive
399 HOME At Home Group Inc. Consumer Cyclical 7,692 Do not service · Delisted / inactive
400 NPTN NeoPhotonics Corporation Technology 1,157 Do not service · Delisted / inactive
401 PCP Precision Castparts Corp. Industrials Do not service · Delisted / inactive
402 PING Ping Identity Holding Corp. Technology 1,247 Do not service · Delisted / inactive
403 POSH Poshmark, Inc. Consumer Cyclical 750 Do not service · Delisted / inactive
404 SAFM Sanderson Farms, Inc. Consumer Defensive 17,662 Do not service · Delisted / inactive
405 TRQ Turquoise Hill Resources Ltd. Basic Materials 3,478 Do not service · Delisted / inactive
406 TYME Tyme Technologies, Inc. Healthcare 13 Do not service · Delisted / inactive
407 USCR U.S. Concrete, Inc. Basic Materials 2,967 Do not service · Delisted / inactive
408 VRS Verso Corporation Basic Materials 1,600 Do not service · Delisted / inactive
409 WISH ContextLogic Inc. Consumer Cyclical 452 Do not service · Delisted / inactive