Period over period
Norges Bank
2026 Q1 2025 Q4
1577 exits
Change periods
Norges Bank · 2026 Q1 vs 2025 Q4
moves
New / Exit first · then largest |Δ port| · meaningful only
| ticker | action | Δ port | Δ value | shares | issuer |
|---|---|---|---|---|---|
| NVDA | Exit | -6.66 pp 6.7% → —% | −$62.2T | 333,748,700 | Nvidia Corporation |
| AAPL | Exit | -5.59 pp 5.6% → —% | −$52.3T | 192,255,086 | Apple Inc. |
| MSFT | Exit | -5.42 pp 5.4% → —% | −$50.7T | 104,761,241 | Microsoft Corp. |
| AMZN | Exit | -3.52 pp 3.5% → —% | −$32.9T | 142,399,855 | Amazon Com Inc. |
| GOOGL | Exit | -3.27 pp 3.3% → —% | −$30.5T | 97,553,478 | Alphabet Inc. |
| AVGO | Exit | -2.59 pp 2.6% → —% | −$24.3T | 70,072,800 | Broadcom Inc. |
| META | Exit | -2.37 pp 2.4% → —% | −$22.2T | 33,559,173 | Meta Platforms Inc. |
| GOOG | Exit | -1.94 pp 1.9% → —% | −$18.1T | 57,659,864 | Alphabet Inc. |
| TSLA | Exit | -1.83 pp 1.8% → —% | −$17.1T | 38,086,143 | Tesla Inc. |
| LLY | Exit | -1.39 pp 1.4% → —% | −$13T | 12,074,882 | Eli Lilly & Co. |
| JPM | Exit | -1.22 pp 1.2% → —% | −$11.4T | 35,368,681 | Jpmorgan Chase & Co. |
| BRK.A | Exit | -0.83 pp 0.8% → —% | −$7.8T | 10,308 | Berkshire Hathaway Inc. Del |
| XOM | Exit | -0.82 pp 0.8% → —% | −$7.6T | 63,362,667 | Exxon Mobil Corp. |
| JNJ | Exit | -0.74 pp 0.7% → —% | −$6.9T | 33,459,884 | Johnson & Johnson |
| MA | Exit | -0.72 pp 0.7% → —% | −$6.7T | 11,746,265 | Mastercard Incorporated |
| WMT | Exit | -0.69 pp 0.7% → —% | −$6.5T | 57,970,822 | Walmart Inc. |
| MU | Exit | -0.69 pp 0.7% → —% | −$6.4T | 22,541,101 | Micron Technology Inc. |
| V | Exit | -0.63 pp 0.6% → —% | −$5.9T | 16,759,538 | Visa Inc. |
| ABBV | Exit | -0.63 pp 0.6% → —% | −$5.9T | 25,668,761 | Abbvie Inc. |
| NFLX | Exit | -0.62 pp 0.6% → —% | −$5.8T | 61,894,705 | Netflix Inc. |
| WELL | Exit | -0.58 pp 0.6% → —% | −$5.5T | 29,450,268 | Welltower Inc. |
| COST | Exit | -0.56 pp 0.6% → —% | −$5.2T | 6,024,787 | Costco Whsl Corp. New |
| PLTR | Exit | -0.55 pp 0.6% → —% | −$5.1T | 28,971,257 | Palantir Technologies Inc. |
| AMD | Exit | -0.53 pp 0.5% → —% | −$4.9T | 23,016,960 | Advanced Micro Devices Inc. |
| UBS | Exit | -0.52 pp 0.5% → —% | −$4.9T | 104,982,026 | Ubs Group AG |
| HD | Exit | -0.52 pp 0.5% → —% | −$4.9T | 14,095,697 | Home Depot Inc. |
| BAC | Exit | -0.51 pp 0.5% → —% | −$4.8T | 86,803,816 | Bank America Corp. |
| PG | Exit | -0.50 pp 0.5% → —% | −$4.7T | 32,550,300 | Procter And Gamble Co. |
| WFC | Exit | -0.48 pp 0.5% → —% | −$4.5T | 48,418,055 | Wells Fargo Co. New |
| CSCO | Exit | -0.48 pp 0.5% → —% | −$4.5T | 58,071,810 | Cisco Sys Inc. |
| GE | Exit | -0.48 pp 0.5% → —% | −$4.4T | 14,429,555 | Ge Aerospace |
| UNH | Exit | -0.47 pp 0.5% → —% | −$4.4T | 13,256,692 | Unitedhealth Group Inc. |
| ORCL | Exit | -0.46 pp 0.5% → —% | −$4.3T | 22,246,323 | Oracle Corp. |
| BRK.B | Exit | -0.46 pp 0.5% → —% | −$4.3T | 8,464,122 | Berkshire Hathaway Inc. Del |
| MRK | Exit | -0.43 pp 0.4% → —% | −$4T | 37,981,502 | Merck & Co. Inc. |
| KO | Exit | -0.41 pp 0.4% → —% | −$3.9T | 55,296,911 | Coca Cola Co. |
| CVX | Exit | -0.40 pp 0.4% → —% | −$3.7T | 24,457,623 | Chevron Corp. New |
| LRCX | Exit | -0.39 pp 0.4% → —% | −$3.6T | 21,295,871 | Lam Research Corp. |
| RY | Exit | -0.37 pp 0.4% → —% | −$3.5T | 20,368,046 | Royal Bk Cda |
| DLR | Exit | -0.36 pp 0.4% → —% | −$3.4T | 21,995,957 | Digital Rlty Tr Inc. |
| BKNG | Exit | -0.35 pp 0.4% → —% | −$3.3T | 610,801 | Booking Holdings Inc. |
| LIN | Exit | -0.35 pp 0.4% → —% | −$3.2T | 7,614,508 | Linde PLC |
| CRM | Exit | -0.34 pp 0.3% → —% | −$3.2T | 12,015,218 | Salesforce Inc. |
| RTX | Exit | -0.34 pp 0.3% → —% | −$3.2T | 17,271,681 | Rtx Corporation |
| TMO | Exit | -0.33 pp 0.3% → —% | −$3.1T | 5,302,863 | Thermo Fisher Scientific Inc. |
| INTU | Exit | -0.33 pp 0.3% → —% | −$3.1T | 4,617,021 | Intuit |
| APH | Exit | -0.33 pp 0.3% → —% | −$3.1T | 22,585,063 | Amphenol Corp. New |
| PEP | Exit | -0.32 pp 0.3% → —% | −$3T | 21,034,095 | Pepsico Inc. |
| KLAC | Exit | -0.32 pp 0.3% → —% | −$3T | 2,457,794 | Kla Corp. |
| ABT | Exit | -0.31 pp 0.3% → —% | −$2.9T | 23,456,714 | Abbott Labs |
| MCD | Exit | -0.31 pp 0.3% → —% | −$2.9T | 9,457,311 | Mcdonalds Corp. |
| AMAT | Exit | -0.31 pp 0.3% → —% | −$2.9T | 11,123,168 | Applied Matls Inc. |
| ISRG | Exit | -0.31 pp 0.3% → —% | −$2.9T | 5,044,472 | Intuitive Surgical Inc. |
| NEE | Exit | -0.30 pp 0.3% → —% | −$2.8T | 35,081,308 | Nextera Energy Inc. |
| C | Exit | -0.30 pp 0.3% → —% | −$2.8T | 24,003,291 | Citigroup Inc. |
| BLK | Exit | -0.29 pp 0.3% → —% | −$2.7T | 2,562,438 | Blackrock Inc. |
| MS | Exit | -0.29 pp 0.3% → —% | −$2.7T | 15,415,129 | Morgan Stanley |
| GILD | Exit | -0.28 pp 0.3% → —% | −$2.6T | 21,322,732 | Gilead Sciences Inc. |
| SHOP | Exit | -0.28 pp 0.3% → —% | −$2.6T | 16,224,694 | Shopify Inc. |
| QCOM | Exit | -0.28 pp 0.3% → —% | −$2.6T | 15,147,945 | Qualcomm Inc. |
| TXN | Exit | -0.27 pp 0.3% → —% | −$2.5T | 14,505,898 | Texas Instrs Inc. |
| GS | Exit | -0.27 pp 0.3% → —% | −$2.5T | 2,862,150 | Goldman Sachs Group Inc. |
| UBER | Exit | -0.27 pp 0.3% → —% | −$2.5T | 30,780,742 | Uber Technologies Inc. |
| CMCSA | Exit | -0.27 pp 0.3% → —% | −$2.5T | 83,594,032 | Comcast Corp. New |
| AXP | Exit | -0.26 pp 0.3% → —% | −$2.5T | 6,660,940 | American Express Co. |
| IBM | Exit | -0.26 pp 0.3% → —% | −$2.4T | 8,259,103 | International Business Machs |
| SPGI | Exit | -0.26 pp 0.3% → —% | −$2.4T | 4,590,579 | S&P Global Inc. |
| DIS | Exit | -0.26 pp 0.3% → —% | −$2.4T | 20,992,164 | Disney Walt Co. |
| VZ | Exit | -0.25 pp 0.3% → —% | −$2.4T | 57,872,767 | Verizon Communications Inc. |
| GEV | Exit | -0.24 pp 0.2% → —% | −$2.3T | 3,493,297 | Ge Vernova Inc. |
| ADBE | Exit | -0.24 pp 0.2% → —% | −$2.3T | 6,500,657 | Adobe Inc. |
| INTC | Exit | -0.24 pp 0.2% → —% | −$2.2T | 60,519,214 | Intel Corp. |
| ADI | Exit | -0.24 pp 0.2% → —% | −$2.2T | 8,169,308 | Analog Devices Inc. |
| TJX | Exit | -0.24 pp 0.2% → —% | −$2.2T | 14,399,942 | Tjx Cos Inc. New |
| EQR | Exit | -0.24 pp 0.2% → —% | −$2.2T | 34,925,031 | Equity Residential |
| BSX | Exit | -0.24 pp 0.2% → —% | −$2.2T | 23,066,546 | Boston Scientific Corp. |
| T | Exit | -0.23 pp 0.2% → —% | −$2.2T | 87,841,255 | AT&T Inc. |
| DHR | Exit | -0.23 pp 0.2% → —% | −$2.2T | 9,510,336 | Danaher Corporation |
| AMGN | Exit | -0.23 pp 0.2% → —% | −$2.2T | 6,611,965 | Amgen Inc. |
| ACN | Exit | -0.23 pp 0.2% → —% | −$2.1T | 8,002,218 | Accenture PLC Ireland |
| TD | Exit | -0.23 pp 0.2% → —% | −$2.1T | 22,556,669 | Toronto Dominion Bk Ont |
| COF | Exit | -0.22 pp 0.2% → —% | −$2.1T | 8,622,723 | Capital One Finl Corp. |
| APP | Exit | -0.22 pp 0.2% → —% | −$2T | 3,027,991 | Applovin Corp. |
| NOW | Exit | -0.22 pp 0.2% → —% | −$2T | 13,192,716 | Servicenow Inc. |
| SCHW | Exit | -0.21 pp 0.2% → —% | −$2T | 19,959,856 | Schwab Charles Corp. |
| LOW | Exit | -0.21 pp 0.2% → —% | −$2T | 8,267,112 | Lowes Cos Inc. |
| PNC | Exit | -0.21 pp 0.2% → —% | −$2T | 9,424,039 | Pnc Finl Svcs Group Inc. |
| BMY | Exit | -0.21 pp 0.2% → —% | −$1.9T | 36,100,698 | Bristol-Myers Squibb Co. |
| AJG | Exit | -0.21 pp 0.2% → —% | −$1.9T | 7,438,704 | Gallagher Arthur J & Co. |
| TTE | Exit | -0.21 pp 0.2% → —% | −$1.9T | 29,401,947 | Totalenergies Se |
| USB | Exit | -0.20 pp 0.2% → —% | −$1.9T | 35,372,885 | US Bancorp Del |
| PGR | Exit | -0.20 pp 0.2% → —% | −$1.8T | 8,062,944 | Progressive Corp. |
| PFE | Exit | -0.20 pp 0.2% → —% | −$1.8T | 73,533,577 | Pfizer Inc. |
| SYK | Exit | -0.19 pp 0.2% → —% | −$1.8T | 5,184,716 | Stryker Corporation |
| HWM | Exit | -0.19 pp 0.2% → —% | −$1.8T | 8,748,895 | Howmet Aerospace Inc. |
| UNP | Exit | -0.19 pp 0.2% → —% | −$1.8T | 7,694,566 | Union Pac Corp. |
| PH | Exit | -0.19 pp 0.2% → —% | −$1.8T | 1,998,077 | Parker-Hannifin Corp. |
| KKR | Exit | -0.18 pp 0.2% → —% | −$1.7T | 13,460,378 | Kkr & Co. Inc. |
| DE | Exit | -0.18 pp 0.2% → —% | −$1.7T | 3,685,016 | Deere & Co. |
| CRWD | Exit | -0.18 pp 0.2% → —% | −$1.7T | 3,625,619 | Crowdstrike Hldgs Inc. |
| CVS | Exit | -0.18 pp 0.2% → —% | −$1.7T | 20,996,288 | Cvs Health Corp. |
| MDT | Exit | -0.18 pp 0.2% → —% | −$1.7T | 17,213,042 | Medtronic PLC |
| MCK | Exit | -0.18 pp 0.2% → —% | −$1.7T | 2,012,870 | Mckesson Corp. |
| PLD | Exit | -0.17 pp 0.2% → —% | −$1.6T | 12,448,104 | Prologis Inc. |
| ANET | Exit | -0.17 pp 0.2% → —% | −$1.6T | 11,894,702 | Arista Networks Inc. |
| MMC | Exit | -0.17 pp 0.2% → —% | −$1.6T | 8,386,530 | Marsh & Mclennan Cos Inc. |
| CME | Exit | -0.16 pp 0.2% → —% | −$1.5T | 5,578,002 | Cme Group Inc. |
| ETN | Exit | -0.16 pp 0.2% → —% | −$1.5T | 4,781,410 | Eaton Corp. PLC |
| MMM | Exit | -0.16 pp 0.2% → —% | −$1.5T | 9,486,659 | 3M Co. |
| CRH | Exit | -0.16 pp 0.2% → —% | −$1.5T | 11,834,435 | Crh PLC |
| CEG | Exit | -0.16 pp 0.2% → —% | −$1.5T | 4,137,620 | Constellation Energy Corp. |
| NEM | Exit | -0.15 pp 0.2% → —% | −$1.4T | 14,452,956 | Newmont Corp. |
| VRTX | Exit | -0.15 pp 0.2% → —% | −$1.4T | 3,176,613 | Vertex Pharmaceuticals Inc. |
| INVH | Exit | -0.15 pp 0.2% → —% | −$1.4T | 51,779,482 | Invitation Homes Inc. |
| ICE | Exit | -0.15 pp 0.2% → —% | −$1.4T | 8,756,655 | Intercontinental Exchange In |
| PANW | Exit | -0.15 pp 0.2% → —% | −$1.4T | 7,683,841 | Palo Alto Networks Inc. |
| BNY | Exit | -0.15 pp 0.2% → —% | −$1.4T | 12,047,759 | Bank New York Mellon Corp. |
| AVB | Exit | -0.15 pp 0.2% → —% | −$1.4T | 7,691,993 | Avalonbay Cmntys Inc. |
| BNS | Exit | -0.15 pp 0.2% → —% | −$1.4T | 18,554,149 | Bank Nova Scotia Halifax |
| AEM | Exit | -0.15 pp 0.2% → —% | −$1.4T | 8,065,618 | Agnico Eagle Mines Ltd |
| CDNS | Exit | -0.14 pp 0.1% → —% | −$1.4T | 4,328,242 | Cadence Design System Inc. |
| TMUS | Exit | -0.14 pp 0.1% → —% | −$1.3T | 6,579,580 | T-Mobile US Inc. |
| BX | Exit | -0.14 pp 0.1% → —% | −$1.3T | 8,276,548 | Blackstone Inc. |
| HCA | Exit | -0.14 pp 0.1% → —% | −$1.3T | 2,704,265 | Hca Healthcare Inc. |
| APO | Exit | -0.13 pp 0.1% → —% | −$1.3T | 8,690,124 | Apollo Global Mgmt Inc. |
| SBUX | Exit | -0.13 pp 0.1% → —% | −$1.2T | 14,637,807 | Starbucks Corp. |
| BN | Exit | -0.13 pp 0.1% → —% | −$1.2T | 26,740,100 | Brookfield Corp. |
| EXR | Exit | -0.13 pp 0.1% → —% | −$1.2T | 9,365,735 | Extra Space Storage Inc. |
| HOOD | Exit | -0.13 pp 0.1% → —% | −$1.2T | 10,629,175 | Robinhood Mkts Inc. |
| ENB | Exit | -0.13 pp 0.1% → —% | −$1.2T | 24,983,734 | Enbridge Inc. |
| — | Exit | -0.13 pp 0.1% → —% | −$1.2T | 17,147,133 | Regency Ctrs Corp. |
| AMT | Exit | -0.13 pp 0.1% → —% | −$1.2T | 6,670,729 | American Tower Corp. New |
| PSA | Exit | -0.12 pp 0.1% → —% | −$1.2T | 4,484,589 | Public Storage Oper Co. |
| TT | Exit | -0.12 pp 0.1% → —% | −$1.2T | 2,988,500 | Trane Technologies PLC |
| AON | Exit | -0.12 pp 0.1% → —% | −$1.2T | 3,275,848 | Aon PLC |
| FTNT | Exit | -0.12 pp 0.1% → —% | −$1.2T | 14,518,531 | Fortinet Inc. |
| ORLY | Exit | -0.12 pp 0.1% → —% | −$1.1T | 12,436,262 | Oreilly Automotive Inc. |
| KMI | Exit | -0.12 pp 0.1% → —% | −$1.1T | 41,183,145 | Kinder Morgan Inc. Del |
| WBD | Exit | -0.12 pp 0.1% → —% | −$1.1T | 38,994,003 | Warner Bros Discovery Inc. |
| ROP | Exit | -0.12 pp 0.1% → —% | −$1.1T | 2,500,108 | Roper Technologies Inc. |
| SPG | Exit | -0.12 pp 0.1% → —% | −$1.1T | 6,007,839 | Simon Ppty Group Inc. New |
| VLO | Exit | -0.12 pp 0.1% → —% | −$1.1T | 6,828,073 | Valero Energy Corp. |
| SO | Exit | -0.12 pp 0.1% → —% | −$1.1T | 12,745,981 | Southern Co. |
| — | Exit | -0.12 pp 0.1% → —% | −$1.1T | 14,308,628 | Unum Group |
| — | Exit | -0.12 pp 0.1% → —% | −$1.1T | 35,182,949 | Teva Pharmaceutical Inds Ltd |
| MCO | Exit | -0.12 pp 0.1% → —% | −$1.1T | 2,147,599 | Moodys Corp. |
| DASH | Exit | -0.12 pp 0.1% → —% | −$1.1T | 4,828,902 | Doordash Inc. |
| SHW | Exit | -0.12 pp 0.1% → —% | −$1.1T | 3,362,189 | Sherwin Williams Co. |
| NSC | Exit | -0.12 pp 0.1% → —% | −$1.1T | 3,756,930 | Norfolk Southn Corp. |
| — | Exit | -0.12 pp 0.1% → —% | −$1.1T | 29,492,515 | Udr Inc. |
| CB | Exit | -0.12 pp 0.1% → —% | −$1.1T | 3,464,021 | Chubb Limited |
| PDD | Exit | -0.11 pp 0.1% → —% | −$1.1T | 9,396,292 | Pdd Holdings Inc. |
| APD | Exit | -0.11 pp 0.1% → —% | −$1.1T | 4,306,964 | Air Prods & Chems Inc. |
| BMO | Exit | -0.11 pp 0.1% → —% | −$1.1T | 8,156,958 | Bank Montreal Que |
| ELV | Exit | -0.11 pp 0.1% → —% | −$1.1T | 3,018,586 | Elevance Health Inc. Formerly |
| — | Exit | -0.11 pp 0.1% → —% | −$1.1T | 7,911,694 | Emerson Elec Co. |
| TDG | Exit | -0.11 pp 0.1% → —% | −$1T | 771,208 | Transdigm Group Inc. |
| WM | Exit | -0.11 pp 0.1% → —% | −$1T | 4,655,755 | Waste Mgmt Inc. Del |
| BKR | Exit | -0.11 pp 0.1% → —% | −$1T | 22,452,596 | Baker Hughes Company |
| CI | Exit | -0.11 pp 0.1% → —% | −$1T | 3,705,227 | The Cigna Group |
| REGN | Exit | -0.11 pp 0.1% → —% | −$1T | 1,311,485 | Regeneron Pharmaceuticals |
| MDLZ | Exit | -0.11 pp 0.1% → —% | −$1T | 18,763,142 | Mondelez Intl Inc. |
| EQIX | Exit | -0.11 pp 0.1% → —% | −$984.4B | 1,284,790 | Equinix Inc. |
| CP | Exit | -0.10 pp 0.1% → —% | −$978.6B | 13,290,852 | Canadian Pacific Kansas City |
| URI | Exit | -0.10 pp 0.1% → —% | −$978B | 1,208,443 | United Rentals Inc. |
| CSX | Exit | -0.10 pp 0.1% → —% | −$977.5B | 26,964,138 | Csx Corp. |
| SNOW | Exit | -0.10 pp 0.1% → —% | −$974.1B | 4,440,606 | Snowflake Inc. |
| — | Exit | -0.10 pp 0.1% → —% | −$961.1B | 12,052,593 | Alcon AG |
| CM | Exit | -0.10 pp 0.1% → —% | −$958.4B | 10,571,669 | Canadian Imperial Bank Of Co. |
| PYPL | Exit | -0.10 pp 0.1% → —% | −$949.8B | 16,268,558 | Paypal Hldgs Inc. |
| MSI | Exit | -0.10 pp 0.1% → —% | −$942.5B | 2,458,890 | Motorola Solutions Inc. |
| AZO | Exit | -0.10 pp 0.1% → —% | −$939.2B | 276,929 | Autozone Inc. |
| TEL | Exit | -0.10 pp 0.1% → —% | −$938.7B | 4,126,000 | Te Connectivity PLC |
| AMRZ | Exit | -0.10 pp 0.1% → —% | −$929.3B | 16,926,762 | Amrize Ltd |
| JCI | Exit | -0.10 pp 0.1% → —% | −$927.7B | 7,747,300 | Johnson Ctls Intl PLC |
| CTAS | Exit | -0.10 pp 0.1% → —% | −$923.7B | 4,911,318 | Cintas Corp. |
| GLW | Exit | -0.10 pp 0.1% → —% | −$921.4B | 10,523,469 | Corning Inc. |
| TYL | Exit | -0.10 pp 0.1% → —% | −$921B | 2,028,935 | Tyler Technologies Inc. |
| GM | Exit | -0.10 pp 0.1% → —% | −$918.7B | 11,297,642 | General Mtrs Co. |
| SRE | Exit | -0.10 pp 0.1% → —% | −$914.9B | 10,362,712 | Sempra |
| UPS | Exit | -0.10 pp 0.1% → —% | −$902.4B | 9,098,158 | United Parcel Service Inc. |
| ALNY | Exit | -0.10 pp 0.1% → —% | −$895.8B | 2,252,775 | Alnylam Pharmaceuticals Inc. |
| MRVL | Exit | -0.10 pp 0.1% → —% | −$895.5B | 10,537,246 | Marvell Technology Inc. |
| ECL | Exit | -0.09 pp 0.1% → —% | −$880.5B | 3,354,053 | Ecolab Inc. |
| ROST | Exit | -0.09 pp 0.1% → —% | −$868.4B | 4,820,473 | Ross Stores Inc. |
| ADSK | Exit | -0.09 pp 0.1% → —% | −$867.5B | 2,930,575 | Autodesk Inc. |
| WPM | Exit | -0.09 pp 0.1% → —% | −$865B | 7,357,574 | Wheaton Precious Metals Corp. |
| CMI | Exit | -0.09 pp 0.1% → —% | −$863.4B | 1,691,530 | Cummins Inc. |
| EXPE | Exit | -0.09 pp 0.1% → —% | −$862B | 3,042,531 | Expedia Group Inc. |
| CL | Exit | -0.09 pp 0.1% → —% | −$861.7B | 10,904,453 | Colgate Palmolive Co. |
| FDX | Exit | -0.09 pp 0.1% → —% | −$859.1B | 2,974,052 | Fedex Corp. |
| AME | Exit | -0.09 pp 0.1% → —% | −$831.4B | 4,049,351 | Ametek Inc. |
| NKE | Exit | -0.09 pp 0.1% → —% | −$830B | 13,027,095 | Nike Inc. |
| COR | Exit | -0.09 pp 0.1% → —% | −$822.5B | 2,435,250 | Cencora Inc. |
| PWR | Exit | -0.09 pp 0.1% → —% | −$817.3B | 1,936,420 | Quanta Svcs Inc. |
| MAR | Exit | -0.09 pp 0.1% → —% | −$812.6B | 2,619,166 | Marriott Intl Inc. New |
| SLB | Exit | -0.09 pp 0.1% → —% | −$809.6B | 21,093,188 | Slb Limited |
| VRT | Exit | -0.09 pp 0.1% → —% | −$808.7B | 4,991,672 | Vertiv Holdings Co. |
| ITW | Exit | -0.09 pp 0.1% → —% | −$808.4B | 3,281,978 | Illinois Tool Wks Inc. |
| ARE | Exit | -0.09 pp 0.1% → —% | −$805.4B | 16,457,471 | Alexandria Real Estate Eq In |
| EW | Exit | -0.09 pp 0.1% → —% | −$803.7B | 9,427,396 | Edwards Lifesciences Corp. |
| HLT | Exit | -0.09 pp 0.1% → —% | −$803B | 2,795,637 | Hilton Worldwide Hldgs Inc. |
| CAH | Exit | -0.08 pp 0.1% → —% | −$790.3B | 3,845,956 | Cardinal Health Inc. |
| WDC | Exit | -0.08 pp 0.1% → —% | −$788.7B | 4,578,446 | Western Digital Corp. |
| RACE | Exit | -0.08 pp 0.1% → —% | −$779.9B | 2,085,945 | Ferrari N V |
| MFC | Exit | -0.08 pp 0.1% → —% | −$777.2B | 21,403,764 | Manulife Finl Corp. |
| OTIS | Exit | -0.08 pp 0.1% → —% | −$770.1B | 8,816,541 | Otis Worldwide Corp. |
| NU | Exit | -0.08 pp 0.1% → —% | −$763.8B | 45,626,792 | Nu Hldgs Ltd |
| KVUE | Exit | -0.08 pp 0.1% → —% | −$756.9B | 43,876,034 | Kenvue Inc. |
| SUI | Exit | -0.08 pp 0.1% → —% | −$753.4B | 6,079,930 | Sun Cmntys Inc. |
| MAA | Exit | -0.08 pp 0.1% → —% | −$750.6B | 5,403,518 | Mid-Amer Apt Cmntys Inc. |
| WMB | Exit | -0.08 pp 0.1% → —% | −$747.7B | 12,439,677 | Williams Cos Inc. |
| VST | Exit | -0.08 pp 0.1% → —% | −$746.7B | 4,628,580 | Vistra Corp. |
| AMP | Exit | -0.08 pp 0.1% → —% | −$742.4B | 1,514,129 | Ameriprise Finl Inc. |
| TRGP | Exit | -0.08 pp 0.1% → —% | −$735.8B | 3,987,850 | Targa Res Corp. |
| TTWO | Exit | -0.08 pp 0.1% → —% | −$735.4B | 2,872,278 | Take-Two Interactive Softwar |
| ZTS | Exit | -0.08 pp 0.1% → —% | −$734.4B | 5,837,110 | Zoetis Inc. |
| BDX | Exit | -0.08 pp 0.1% → —% | −$734.3B | 3,783,792 | Becton Dickinson & Co. |
| — | Exit | -0.08 pp 0.1% → —% | −$734.3B | 7,284,627 | Federal Rlty Invt Tr New |
| LNG | Exit | -0.08 pp 0.1% → —% | −$731.8B | 3,764,462 | Cheniere Energy Inc. |
| CHKP | Exit | -0.08 pp 0.1% → —% | −$731.3B | 3,940,912 | Check Point Software Tech Lt |
| SNPS | Exit | -0.08 pp 0.1% → —% | −$730.2B | 1,554,536 | Synopsys Inc. |
| PCAR | Exit | -0.08 pp 0.1% → —% | −$727.7B | 6,645,465 | Paccar Inc. |
| TRV | Exit | -0.08 pp 0.1% → —% | −$723.3B | 2,493,756 | Travelers Companies Inc. |
| ADP | Exit | -0.08 pp 0.1% → —% | −$721.7B | 2,805,809 | Automatic Data Processing In |
| NET | Exit | -0.08 pp 0.1% → —% | −$718.3B | 3,643,501 | Cloudflare Inc. |
| CMG | Exit | -0.08 pp 0.1% → —% | −$711.8B | 19,238,829 | Chipotle Mexican Grill Inc. |
| SPOT | Exit | -0.08 pp 0.1% → —% | −$711.5B | 1,225,155 | Spotify Technology S A |
| AMH | Exit | -0.08 pp 0.1% → —% | −$710.7B | 22,139,313 | American Homes 4 Rent |
| YUM | Exit | -0.08 pp 0.1% → —% | −$706.8B | 4,672,125 | Yum Brands Inc. |
| WCN | Exit | -0.07 pp 0.1% → —% | −$697.5B | 3,977,490 | Waste Connections Inc. |
| FLUT | Exit | -0.07 pp 0.1% → —% | −$694B | 3,227,348 | Flutter Entmt PLC |
| MNST | Exit | -0.07 pp 0.1% → —% | −$691.1B | 9,014,004 | Monster Beverage Corp. New |
| CTSH | Exit | -0.07 pp 0.1% → —% | −$691B | 8,324,807 | Cognizant Technology Solutio |
| BXP | Exit | -0.07 pp 0.1% → —% | −$689.4B | 10,216,641 | Bxp Inc. |
| F | Exit | -0.07 pp 0.1% → —% | −$674.4B | 51,405,295 | Ford Mtr Co. |
| MDT | Exit | -0.07 pp 0.1% → —% | −$664.6B | 10,429,442 | Microchip Technology Inc. |
| MPWR | Exit | -0.07 pp 0.1% → —% | −$658.7B | 726,705 | Monolithic Pwr Sys Inc. |
| COIN | Exit | -0.07 pp 0.1% → —% | −$656.7B | 2,904,149 | Coinbase Global Inc. |
| D | Exit | -0.07 pp 0.1% → —% | −$655.1B | 11,181,800 | Dominion Energy Inc. |
| DHI | Exit | -0.07 pp 0.1% → —% | −$649.3B | 4,508,122 | D R Horton Inc. |
| FITB | Exit | -0.07 pp 0.1% → —% | −$649.3B | 13,870,195 | Fifth Third Bancorp |
| FAST | Exit | -0.07 pp 0.1% → —% | −$646B | 16,098,838 | Fastenal Co. |
| EA | Exit | -0.07 pp 0.1% → —% | −$643.7B | 3,150,170 | Electronic Arts Inc. |
| CBRE | Exit | -0.07 pp 0.1% → —% | −$643.4B | 4,001,521 | Cbre Group Inc. |
| PSX | Exit | -0.07 pp 0.1% → —% | −$640.2B | 4,961,297 | Phillips 66 |
| MET | Exit | -0.07 pp 0.1% → —% | −$640B | 8,107,247 | Metlife Inc. |
| AIG | Exit | -0.07 pp 0.1% → —% | −$636.8B | 7,443,394 | American Intl Group Inc. |
| — | Exit | -0.07 pp 0.1% → —% | −$635B | 8,344,872 | Aptiv PLC |
| EG | Exit | -0.07 pp 0.1% → —% | −$630.3B | 1,857,307 | Everest Group Ltd |
| — | Exit | -0.07 pp 0.1% → —% | −$628B | 35,420,993 | Host Hotels & Resorts Inc. |
| EXC | Exit | -0.07 pp 0.1% → —% | −$618B | 14,176,961 | Exelon Corp. |
| RSG | Exit | -0.07 pp 0.1% → —% | −$617.2B | 2,912,119 | Republic Svcs Inc. |
| ROK | Exit | -0.07 pp 0.1% → —% | −$615.6B | 1,582,224 | Rockwell Automation Inc. |
| NXPI | Exit | -0.07 pp 0.1% → —% | −$613B | 2,824,239 | Nxp Semiconductors N V |
| HIG | Exit | -0.07 pp 0.1% → —% | −$611.7B | 4,439,218 | Hartford Insurance Group Inc. |
| CRBG | Exit | -0.07 pp 0.1% → —% | −$611.6B | 20,270,137 | Corebridge Finl Inc. |
| NUE | Exit | -0.07 pp 0.1% → —% | −$609B | 3,733,688 | Nucor Corp. |
| DELL | Exit | -0.06 pp 0.1% → —% | −$607.3B | 4,824,824 | Dell Technologies Inc. |
| FER | Exit | -0.06 pp 0.1% → —% | −$605.2B | 9,321,199 | Ferrovial Se |
| MELI | Exit | -0.06 pp 0.1% → —% | −$597B | 296,409 | Mercadolibre Inc. |
| GEHC | Exit | -0.06 pp 0.1% → —% | −$596B | 7,266,808 | Ge Healthcare Technologies I |
| CCI | Exit | -0.06 pp 0.1% → —% | −$594.7B | 6,691,459 | Crown Castle Inc. |
| BABA | Exit | -0.06 pp 0.1% → —% | −$594.5B | 4,055,651 | Alibaba Group Hldg Ltd |
| TGT | Exit | -0.06 pp 0.1% → —% | −$587.9B | 6,014,348 | Target Corp. |
| TRP | Exit | -0.06 pp 0.1% → —% | −$583.7B | 10,600,494 | Tc Energy Corp. |
| — | Exit | -0.06 pp 0.1% → —% | −$579.7B | 17,419,128 | Vornado Rlty Tr |
| FNV | Exit | -0.06 pp 0.1% → —% | −$578.6B | 2,791,151 | Franco Nev Corp. |
| L | Exit | -0.06 pp 0.1% → —% | −$577.3B | 5,481,709 | Loews Corp. |
| SE | Exit | -0.06 pp 0.1% → —% | −$576.4B | 4,518,219 | Sea Ltd |
| MDB | Exit | -0.06 pp 0.1% → —% | −$574.8B | 1,369,632 | Mongodb Inc. |
| CNI | Exit | -0.06 pp 0.1% → —% | −$570.2B | 5,764,854 | Canadian Natl Ry Co. |
| CPRT | Exit | -0.06 pp 0.1% → —% | −$569.6B | 14,548,385 | Copart Inc. |
| KDP | Exit | -0.06 pp 0.1% → —% | −$568.4B | 20,291,351 | Keurig Dr Pepper Inc. |
| OKE | Exit | -0.06 pp 0.1% → —% | −$564.9B | 7,685,265 | Oneok Inc. New |
| STLD | Exit | -0.06 pp 0.1% → —% | −$564.6B | 3,331,896 | Steel Dynamics Inc. |
| O | Exit | -0.06 pp 0.1% → —% | −$558.8B | 9,912,635 | Realty Income Corp. |
| FISV | Exit | -0.06 pp 0.1% → —% | −$556B | 8,276,976 | Fiserv Inc. |
| CHTR | Exit | -0.06 pp 0.1% → —% | −$555.4B | 2,660,518 | Charter Communications Inc. N |
| STLA | Exit | -0.06 pp 0.1% → —% | −$553.7B | 49,885,233 | Stellantis N.v |
| PEG | Exit | -0.06 pp 0.1% → —% | −$552.3B | 6,877,714 | Public Svc Enterprise Grp In |
| EQH | Exit | -0.06 pp 0.1% → —% | −$551B | 11,563,370 | Equitable Hldgs Inc. |
| WY | Exit | -0.06 pp 0.1% → —% | −$549.5B | 23,196,766 | Weyerhaeuser Co. Mtn Be |
| A | Exit | -0.06 pp 0.1% → —% | −$549.2B | 4,035,849 | Agilent Technologies Inc. |
| SYY | Exit | -0.06 pp 0.1% → —% | −$542.8B | 7,365,716 | Sysco Corp. |
| VICI | Exit | -0.06 pp 0.1% → —% | −$537.7B | 19,120,754 | Vici Pptys Inc. |
| MSTR | Exit | -0.06 pp 0.1% → —% | −$536.1B | 3,528,397 | Strategy Inc. |
| DB | Exit | -0.06 pp 0.1% → —% | −$532.4B | 13,705,195 | Deutsche Bank A G |
| PCG | Exit | -0.06 pp 0.1% → —% | −$532.2B | 33,116,646 | PG&E Corp. |
| ALL | Exit | -0.06 pp 0.1% → —% | −$531.3B | 2,552,457 | Allstate Corp. |
| NDAQ | Exit | -0.06 pp 0.1% → —% | −$530.1B | 5,457,639 | Nasdaq Inc. |
| MSCI | Exit | -0.06 pp 0.1% → —% | −$528.6B | 921,269 | Msci Inc. |
| ETR | Exit | -0.06 pp 0.1% → —% | −$528.3B | 5,715,816 | Entergy Corp. New |
| KMB | Exit | -0.06 pp 0.1% → —% | −$521.2B | 5,165,862 | Kimberly-Clark Corp. |
| MTD | Exit | -0.06 pp 0.1% → —% | −$521B | 373,686 | Mettler Toledo International |
| GWW | Exit | -0.06 pp 0.1% → —% | −$519B | 514,304 | Ww Grainger Inc. |
| SNDK | Exit | -0.06 pp 0.1% → —% | −$518.9B | 2,185,899 | Sandisk Corp. |
| KGC | Exit | -0.06 pp 0.1% → —% | −$518.7B | 18,414,288 | Kinross Gold Corp. |
| BRO | Exit | -0.06 pp 0.1% → —% | −$516.8B | 6,484,778 | Brown & Brown Inc. |
| AXON | Exit | -0.06 pp 0.1% → —% | −$515.8B | 908,148 | Axon Enterprise Inc. |
| WTW | Exit | -0.05 pp 0.1% → —% | −$511.2B | 1,555,541 | Willis Towers Watson PLC Ltd |
| ZM | Exit | -0.05 pp 0.1% → —% | −$509.8B | 5,907,844 | Zoom Communications Inc. |
| INSM | Exit | -0.05 pp 0.1% → —% | −$506.6B | 2,910,971 | Insmed Inc. |
| CTVA | Exit | -0.05 pp 0.1% → —% | −$504B | 7,519,031 | Corteva Inc. |
| TFC | Exit | -0.05 pp 0.1% → —% | −$502.3B | 10,208,097 | Truist Finl Corp. |
| STX | Exit | -0.05 pp 0.1% → —% | −$498.4B | 1,809,661 | Seagate Technology Hldngs Pl |
| CPNG | Exit | -0.05 pp 0.1% → —% | −$498.3B | 21,124,736 | Coupang Inc. |
| FERG | Exit | -0.05 pp 0.1% → —% | −$498B | 2,236,918 | Ferguson Enterprises Inc. |
| IQV | Exit | -0.05 pp 0.1% → —% | −$497.4B | 2,206,846 | Iqvia Hldgs Inc. |
| FIS | Exit | -0.05 pp 0.1% → —% | −$496B | 7,462,468 | Fidelity Natl Information Sv |
| WRK | Exit | -0.05 pp 0.1% → —% | −$495.3B | 12,813,255 | Smurfit Westrock PLC |
| FTV | Exit | -0.05 pp 0.1% → —% | −$491.9B | 8,910,119 | Fortive Corp. |
| FICO | Exit | -0.05 pp 0.1% → —% | −$490.2B | 289,958 | Fair Isaac Corp. |
| ED | Exit | -0.05 pp 0.1% → —% | −$489.8B | 4,931,590 | Consolidated Edison Inc. |
| SQ | Exit | -0.05 pp 0.1% → —% | −$484.4B | 7,441,802 | Block Inc. |
| DXCM | Exit | -0.05 pp 0.1% → —% | −$483.4B | 7,282,743 | Dexcom Inc. |
| — | Exit | -0.05 pp 0.1% → —% | −$482.3B | 13,778,722 | Lineage Inc. |
| ABNB | Exit | -0.05 pp 0.1% → —% | −$480.3B | 3,539,136 | Airbnb Inc. |
| CSGP | Exit | -0.05 pp 0.1% → —% | −$476.8B | 7,090,495 | Costar Group Inc. |
| VTR | Exit | -0.05 pp 0.1% → —% | −$474.6B | 6,132,989 | Ventas Inc. |
| LITE | Exit | -0.05 pp 0.1% → —% | −$474.5B | 1,287,325 | Lumentum Hldgs Inc. |
| MPC | Exit | -0.05 pp 0.1% → —% | −$472.3B | 2,904,209 | Marathon Pete Corp. |
| KR | Exit | -0.05 pp 0.1% → —% | −$470.6B | 7,531,387 | Kroger Co. |
| FIX | Exit | -0.05 pp 0.1% → —% | −$469.6B | 503,173 | Comfort Sys USA Inc. |
| DDOG | Exit | -0.05 pp 0.1% → —% | −$469.5B | 3,452,172 | Datadog Inc. |
| PHM | Exit | -0.05 pp 0.1% → —% | −$466.7B | 3,979,641 | Pulte Group Inc. |
| BIIB | Exit | -0.05 pp 0.1% → —% | −$464.4B | 2,638,834 | Biogen Inc. |
| ACGL | Exit | -0.05 pp 0.1% → —% | −$463.2B | 4,829,107 | Arch Cap Group Ltd |
| NTAP | Exit | -0.05 pp 0.1% → —% | −$458.1B | 4,277,338 | Netapp Inc. |
| RCL | Exit | -0.05 pp 0.1% → —% | −$456.8B | 1,637,573 | Royal Caribbean Group |
| HUM | Exit | -0.05 pp 0.1% → —% | −$456.6B | 1,782,815 | Humana Inc. |
| CLS | Exit | -0.05 pp 0.1% → —% | −$456.5B | 1,543,679 | Celestica Inc. |
| IBKR | Exit | -0.05 pp 0.1% → —% | −$453.1B | 7,046,279 | Interactive Brokers Group In |
| WDAY | Exit | -0.05 pp 0.1% → —% | −$448.8B | 2,089,600 | Workday Inc. |
| BMRN | Exit | -0.05 pp 0.1% → —% | −$447.6B | 7,531,080 | Biomarin Pharmaceutical Inc. |
| ODFL | Exit | -0.05 pp 0.1% → —% | −$445B | 2,837,904 | Old Dominion Freight Line In |
| CCJ | Exit | -0.05 pp 0.1% → —% | −$443.3B | 4,841,376 | Cameco Corp. |
| WRB | Exit | -0.05 pp 0.1% → —% | −$435.8B | 6,214,380 | Berkley W R Corp. |
| KEYS | Exit | -0.05 pp 0.1% → —% | −$435.5B | 2,143,520 | Keysight Technologies Inc. |
| RBLX | Exit | -0.05 pp 0.1% → —% | −$435.4B | 5,373,613 | Roblox Corp. |
| HBAN | Exit | -0.05 pp 0.1% → —% | −$432.6B | 24,932,767 | Huntington Bancshares Inc. |
| ULTA | Exit | -0.05 pp 0.1% → —% | −$431B | 712,323 | Ulta Beauty Inc. |
| TDY | Exit | -0.05 pp 0.1% → —% | −$428.7B | 839,316 | Teledyne Technologies Inc. |
| AU | Exit | -0.05 pp 0.1% → —% | −$426.5B | 4,950,857 | Anglogold Ashanti PLC |
| AFL | Exit | -0.04 pp 0.0% → —% | −$420.1B | 3,809,539 | Aflac Inc. |
| — | Exit | -0.04 pp 0.0% → —% | −$415.2B | 1,732,412 | Lincoln Elec Hldgs Inc. |
| NTR | Exit | -0.04 pp 0.0% → —% | −$412.6B | 6,685,047 | Nutrien Ltd |
| CVNA | Exit | -0.04 pp 0.0% → —% | −$412.3B | 977,057 | Carvana Co. |
| WAB | Exit | -0.04 pp 0.0% → —% | −$409B | 1,916,324 | Wabtec |
| COHR | Exit | -0.04 pp 0.0% → —% | −$408.6B | 2,213,952 | Coherent Corp. |
| IR | Exit | -0.04 pp 0.0% → —% | −$407.9B | 5,149,142 | Ingersoll Rand Inc. |
| JBL | Exit | -0.04 pp 0.0% → —% | −$407.3B | 1,786,241 | Jabil Inc. |
| TECK | Exit | -0.04 pp 0.0% → —% | −$404.9B | 8,456,934 | Teck Resources Ltd |
| ADM | Exit | -0.04 pp 0.0% → —% | −$402.7B | 7,005,443 | Archer Daniels Midland Co. |
| MTB | Exit | -0.04 pp 0.0% → —% | −$402.7B | 1,998,500 | M & T Bk Corp. |
| TER | Exit | -0.04 pp 0.0% → —% | −$398.8B | 2,060,223 | Teradyne Inc. |
| — | Exit | -0.04 pp 0.0% → —% | −$398B | 6,376,216 | Sun Life Financial Inc. |
| ARES | Exit | -0.04 pp 0.0% → —% | −$396.2B | 2,451,063 | Ares Management Corporation |
| CUBE | Exit | -0.04 pp 0.0% → —% | −$396B | 10,983,859 | Cubesmart |
| GRMN | Exit | -0.04 pp 0.0% → —% | −$395.2B | 1,948,406 | Garmin Ltd |
| FSLR | Exit | -0.04 pp 0.0% → —% | −$392B | 1,500,746 | First Solar Inc. |
| EME | Exit | -0.04 pp 0.0% → —% | −$389.7B | 636,986 | Emcor Group Inc. |
| ACI | Exit | -0.04 pp 0.0% → —% | −$388.1B | 22,602,710 | Albertsons Cos Inc. |
| VMC | Exit | -0.04 pp 0.0% → —% | −$383.6B | 1,344,971 | Vulcan Matls Co. |
| SYF | Exit | -0.04 pp 0.0% → —% | −$383.2B | 4,593,447 | Synchrony Financial |
| CARR | Exit | -0.04 pp 0.0% → —% | −$380.3B | 7,197,188 | Carrier Global Corporation |
| NTRA | Exit | -0.04 pp 0.0% → —% | −$372.4B | 1,625,553 | Natera Inc. |
| — | Exit | -0.04 pp 0.0% → —% | −$372.3B | 5,213,516 | Viking Holdings Ltd |
| RDDT | Exit | -0.04 pp 0.0% → —% | −$372B | 1,618,511 | Reddit Inc. |
| LPLA | Exit | -0.04 pp 0.0% → —% | −$371.6B | 1,040,445 | Lpl Finl Hldgs Inc. |
| IRM | Exit | -0.04 pp 0.0% → —% | −$368.9B | 4,447,133 | Iron Mtn Inc. Del |
| LVS | Exit | -0.04 pp 0.0% → —% | −$364.9B | 5,605,957 | Las Vegas Sands Corp. |
| KO | Exit | -0.04 pp 0.0% → —% | −$363.3B | 4,000,477 | Coca-Cola Europacific Partne |
| LULU | Exit | -0.04 pp 0.0% → —% | −$362.6B | 1,744,852 | Lululemon Athletica Inc. |
| GIS | Exit | -0.04 pp 0.0% → —% | −$361.6B | 7,775,312 | General Mls Inc. |
| XYL | Exit | -0.04 pp 0.0% → —% | −$361B | 2,650,989 | Xylem Inc. |
| PINS | Exit | -0.04 pp 0.0% → —% | −$357.9B | 13,825,606 | Pinterest Inc. |
| CFG | Exit | -0.04 pp 0.0% → —% | −$355.9B | 6,093,287 | Citizens Finl Group Inc. |
| MLM | Exit | -0.04 pp 0.0% → —% | −$354.7B | 569,623 | Martin Marietta Matls Inc. |
| CBOE | Exit | -0.04 pp 0.0% → —% | −$354.6B | 1,412,661 | Cboe Global Mkts Inc. |
| — | Exit | -0.04 pp 0.0% → —% | −$352.2B | 2,449,721 | Aercap Holdings NV |
| — | Exit | -0.04 pp 0.0% → —% | −$348.4B | 3,430,733 | Exact Sciences Corp. |
| VRSK | Exit | -0.04 pp 0.0% → —% | −$346.5B | 1,548,826 | Verisk Analytics Inc. |
| BR | Exit | -0.04 pp 0.0% → —% | −$346.3B | 1,551,748 | Broadridge Finl Solutions In |
| — | Exit | -0.04 pp 0.0% → —% | −$345.9B | 4,522,846 | Rubrik Inc. |
| HEI | Exit | -0.04 pp 0.0% → —% | −$345.4B | 1,368,250 | Heico Corp. New |
| TPR | Exit | -0.04 pp 0.0% → —% | −$345.3B | 2,702,899 | Tapestry Inc. |
| CNP | Exit | -0.04 pp 0.0% → —% | −$343.9B | 8,970,387 | Centerpoint Energy Inc. |
| RKLB | Exit | -0.04 pp 0.0% → —% | −$341B | 4,888,706 | Rocket Lab Corp. |
| — | Exit | -0.04 pp 0.0% → —% | −$340.1B | 9,101,700 | Kilroy Rlty Corp. |
| EIX | Exit | -0.04 pp 0.0% → —% | −$339.3B | 5,653,304 | Edison Intl |
| AWK | Exit | -0.04 pp 0.0% → —% | −$337B | 2,582,403 | American Wtr Wks Co. Inc. New |
| NI | Exit | -0.04 pp 0.0% → —% | −$336.9B | 8,066,389 | Nisource Inc. |
| — | Exit | -0.04 pp 0.0% → —% | −$336B | 6,462,155 | Fortis Inc. |
| VEEV | Exit | -0.04 pp 0.0% → —% | −$332.4B | 1,489,103 | Veeva Sys Inc. |
| KHC | Exit | -0.04 pp 0.0% → —% | −$332.4B | 13,706,471 | Kraft Heinz Co. |
| IDXX | Exit | -0.04 pp 0.0% → —% | −$332.3B | 491,131 | Idexx Labs Inc. |
| CNC | Exit | -0.04 pp 0.0% → —% | −$332B | 8,069,121 | Centene Corp. Del |
| ATO | Exit | -0.04 pp 0.0% → —% | −$331.4B | 1,977,131 | Atmos Energy Corp. |
| ON | Exit | -0.04 pp 0.0% → —% | −$330.9B | 6,110,525 | On Semiconductor Corp. |
| RJF | Exit | -0.03 pp 0.0% → —% | −$324.3B | 2,019,197 | Raymond James Finl Inc. |
| ES | Exit | -0.03 pp 0.0% → —% | −$324B | 4,812,589 | Eversource Energy |
| TEAM | Exit | -0.03 pp 0.0% → —% | −$323.5B | 1,995,351 | Atlassian Corporation |
| SOFI | Exit | -0.03 pp 0.0% → —% | −$321.5B | 12,280,945 | Sofi Technologies Inc. |
| STE | Exit | -0.03 pp 0.0% → —% | −$320.3B | 1,263,402 | Steris PLC |
| — | Exit | -0.03 pp 0.0% → —% | −$320.1B | 5,588,883 | First Indl Rlty Tr Inc. |
| FLEX | Exit | -0.03 pp 0.0% → —% | −$319.8B | 5,292,218 | Flex Ltd |
| LDOS | Exit | -0.03 pp 0.0% → —% | −$318.8B | 1,767,400 | Leidos Holdings Inc. |
| MKL | Exit | -0.03 pp 0.0% → —% | −$317.6B | 147,737 | Markel Group Inc. |
| WSM | Exit | -0.03 pp 0.0% → —% | −$316.9B | 1,774,569 | Williams Sonoma Inc. |
| CMS | Exit | -0.03 pp 0.0% → —% | −$316.1B | 4,519,622 | Cms Energy Corp. |
| RYN | Exit | -0.03 pp 0.0% → —% | −$313.8B | 14,494,525 | Rayonier Inc. |
| VRSN | Exit | -0.03 pp 0.0% → —% | −$312.9B | 1,287,918 | Verisign Inc. |
| NVR | Exit | -0.03 pp 0.0% → —% | −$311.5B | 42,713 | Nvr Inc. |
| EL | Exit | -0.03 pp 0.0% → —% | −$308.9B | 2,949,886 | Lauder Estee Cos Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$308.7B | 37,017,226 | Amcor PLC |
| TSN | Exit | -0.03 pp 0.0% → —% | −$308.3B | 5,259,241 | Tyson Foods Inc. |
| TSCO | Exit | -0.03 pp 0.0% → —% | −$303.9B | 6,076,029 | Tractor Supply Co. |
| PAAS | Exit | -0.03 pp 0.0% → —% | −$303.6B | 5,858,647 | Pan Amern Silver Corp. |
| STT | Exit | -0.03 pp 0.0% → —% | −$303.5B | 2,352,399 | State Str Corp. |
| SBAC | Exit | -0.03 pp 0.0% → —% | −$302.8B | 1,565,288 | Sba Communications Corp. New |
| PODD | Exit | -0.03 pp 0.0% → —% | −$300.8B | 1,058,238 | Insulet Corp. |
| IT | Exit | -0.03 pp 0.0% → —% | −$299.6B | 1,187,473 | Gartner Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$295.6B | 8,042,542 | Stag Indl Inc. |
| PTC | Exit | -0.03 pp 0.0% → —% | −$295.4B | 1,695,651 | Ptc Inc. |
| GPC | Exit | -0.03 pp 0.0% → —% | −$293.5B | 2,386,716 | Genuine Parts Co. |
| UTHR | Exit | -0.03 pp 0.0% → —% | −$293.4B | 602,191 | United Therapeutics Corp. Del |
| CW | Exit | -0.03 pp 0.0% → —% | −$290.6B | 527,207 | Curtiss Wright Corp. |
| CG | Exit | -0.03 pp 0.0% → —% | −$288.3B | 4,876,621 | Carlyle Group Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$287.3B | 1,936,036 | Herc Hldgs Inc. |
| LYV | Exit | -0.03 pp 0.0% → —% | −$285.9B | 2,006,483 | Live Nation Entertainment In |
| DPZ | Exit | -0.03 pp 0.0% → —% | −$285.1B | 684,026 | Dominos Pizza Inc. |
| DKNG | Exit | -0.03 pp 0.0% → —% | −$284.5B | 8,254,956 | Draftkings Inc. New |
| HOLX | Exit | -0.03 pp 0.0% → —% | −$284.3B | 3,816,001 | Hologic Inc. |
| AFRM | Exit | -0.03 pp 0.0% → —% | −$282B | 3,788,266 | Affirm Hldgs Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$281.1B | 1,577,716 | Eastgroup Pptys Inc. |
| YUMC | Exit | -0.03 pp 0.0% → —% | −$280.7B | 5,882,425 | Yum China Hldgs Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$277.3B | 621,623 | Cyberark Software Ltd |
| GPN | Exit | -0.03 pp 0.0% → —% | −$276B | 3,566,068 | Global Pmts Inc. |
| DOV | Exit | -0.03 pp 0.0% → —% | −$275.9B | 1,413,170 | Dover Corp. |
| EFX | Exit | -0.03 pp 0.0% → —% | −$275.6B | 1,270,323 | Equifax Inc. |
| TWLO | Exit | -0.03 pp 0.0% → —% | −$273.9B | 1,925,354 | Twilio Inc. |
| PFG | Exit | -0.03 pp 0.0% → —% | −$273.3B | 3,098,015 | Principal Financial Group In |
| HSY | Exit | -0.03 pp 0.0% → —% | −$272.5B | 1,497,448 | Hershey Co. |
| WST | Exit | -0.03 pp 0.0% → —% | −$272B | 988,737 | West Pharmaceutical Svsc Inc. |
| CINF | Exit | -0.03 pp 0.0% → —% | −$270.9B | 1,658,658 | Cincinnati Finl Corp. |
| SGI | Exit | -0.03 pp 0.0% → —% | −$270.8B | 3,033,311 | Somnigroup International Inc. |
| CHD | Exit | -0.03 pp 0.0% → —% | −$269.8B | 3,217,524 | Church & Dwight Co. Inc. |
| LEN | Exit | -0.03 pp 0.0% → —% | −$269.7B | 2,623,469 | Lennar Corp. |
| STZ | Exit | -0.03 pp 0.0% → —% | −$267.8B | 1,941,126 | Constellation Brands Inc. |
| CPAY | Exit | -0.03 pp 0.0% → —% | −$266.2B | 884,558 | Corpay Inc. |
| WAT | Exit | -0.03 pp 0.0% → —% | −$265.8B | 699,659 | Waters Corp. |
| — | Exit | -0.03 pp 0.0% → —% | −$265.7B | 8,785,360 | Confluent Inc. |
| PSTG | Exit | -0.03 pp 0.0% → —% | −$265.3B | 3,959,514 | Pure Storage Inc. |
| CASY | Exit | -0.03 pp 0.0% → —% | −$265.2B | 479,750 | Caseys Gen Stores Inc. |
| BAM | Exit | -0.03 pp 0.0% → —% | −$263.4B | 5,028,864 | Brookfield Asset Managmt Ltd |
| KEY | Exit | -0.03 pp 0.0% → —% | −$262.7B | 12,727,117 | Keycorp |
| FTAI | Exit | -0.03 pp 0.0% → —% | −$262.4B | 1,332,960 | Ftai Aviation Ltd |
| VLTO | Exit | -0.03 pp 0.0% → —% | −$261.3B | 2,619,165 | Veralto Corp. |
| DLTR | Exit | -0.03 pp 0.0% → —% | −$260.9B | 2,120,628 | Dollar Tree Inc. |
| QSR | Exit | -0.03 pp 0.0% → —% | −$260.7B | 3,820,684 | Restaurant Brands Intl Inc. |
| PAYX | Exit | -0.03 pp 0.0% → —% | −$257.7B | 2,297,192 | Paychex Inc. |
| NTRS | Exit | -0.03 pp 0.0% → —% | −$257.4B | 1,884,542 | Northern Tr Corp. |
| RF | Exit | -0.03 pp 0.0% → —% | −$254.6B | 9,393,493 | Regions Financial Corp. New |
| DAY | Exit | -0.03 pp 0.0% → —% | −$252.9B | 3,656,390 | Dayforce Inc. |
| DECK | Exit | -0.03 pp 0.0% → —% | −$252.7B | 2,437,823 | Deckers Outdoor Corp. |
| — | Exit | -0.03 pp 0.0% → —% | −$251.4B | 831,455 | Woodward Inc. |
| IP | Exit | -0.03 pp 0.0% → —% | −$250.1B | 6,349,147 | International Paper Co. |
| GDDY | Exit | -0.03 pp 0.0% → —% | −$250B | 2,014,994 | Godaddy Inc. |
| RMD | Exit | -0.03 pp 0.0% → —% | −$249.1B | 1,034,037 | Resmed Inc. |
| THC | Exit | -0.03 pp 0.0% → —% | −$248.5B | 1,250,473 | Tenet Healthcare Corp. |
| LH | Exit | -0.03 pp 0.0% → —% | −$248B | 988,543 | Labcorp Holdings Inc. |
| NVT | Exit | -0.03 pp 0.0% → —% | −$246B | 2,412,033 | Nvent Electric PLC |
| ROL | Exit | -0.03 pp 0.0% → —% | −$244.7B | 4,076,457 | Rollins Inc. |
| GIB | Exit | -0.03 pp 0.0% → —% | −$242.9B | 2,629,343 | Cgi Inc. |
| SSNC | Exit | -0.03 pp 0.0% → —% | −$242.8B | 2,777,920 | SS&C Technologies Hldgs Inc. |
| BE | Exit | -0.03 pp 0.0% → —% | −$239.7B | 2,758,465 | Bloom Energy Corp. |
| I3N | Exit | -0.03 pp 0.0% → —% | −$237.8B | 1,153,211 | Chart Inds Inc. |
| PKG | Exit | -0.03 pp 0.0% → —% | −$237.6B | 1,152,348 | Packaging Corp. Amer |
| CHRW | Exit | -0.03 pp 0.0% → —% | −$236.7B | 1,472,165 | C H Robinson Worldwide Inc. |
| — | Exit | -0.03 pp 0.0% → —% | −$234.7B | 11,600,666 | Sailpoint Inc. |
| UAL | Exit | -0.03 pp 0.0% → —% | −$234.2B | 2,094,830 | United Airls Hldgs Inc. |
| RBA | Exit | -0.02 pp 0.0% → —% | −$231.8B | 2,252,312 | Rb Global Inc. |
| ESS | Exit | -0.02 pp 0.0% → —% | −$230.7B | 881,574 | Essex Ppty Tr Inc. |
| U | Exit | -0.02 pp 0.0% → —% | −$230.3B | 5,213,617 | Unity Software Inc. |
| DGX | Exit | -0.02 pp 0.0% → —% | −$229.5B | 1,322,663 | Quest Diagnostics Inc. |
| TLN | Exit | -0.02 pp 0.0% → —% | −$225.9B | 602,736 | Talen Energy Corp. |
| PCH | Exit | -0.02 pp 0.0% → —% | −$225.5B | 5,668,344 | Potlatchdeltic Corporation |
| BURL | Exit | -0.02 pp 0.0% → —% | −$225B | 778,850 | Burlington Stores Inc. |
| COKE | Exit | -0.02 pp 0.0% → —% | −$222.4B | 1,450,800 | Coca Cola Cons Inc. |
| ZBH | Exit | -0.02 pp 0.0% → —% | −$221.2B | 2,460,348 | Zimmer Biomet Holdings Inc. |
| RIVN | Exit | -0.02 pp 0.0% → —% | −$220.3B | 11,178,246 | Rivian Automotive Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$220B | 5,777,744 | Frontier Communications Pare |
| RNAGBP | Exit | -0.02 pp 0.0% → —% | −$219.7B | 3,046,388 | Avidity Biosciences Inc. |
| AGI | Exit | -0.02 pp 0.0% → —% | −$219.5B | 5,683,697 | Alamos Gold Inc. New |
| — | Exit | -0.02 pp 0.0% → —% | −$219.5B | 2,904,478 | Wyndham Hotels & Resorts Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$217.7B | 7,589,073 | Standardaero Inc. |
| DOW | Exit | -0.02 pp 0.0% → —% | −$216.7B | 9,266,933 | Dow Inc. |
| KIM | Exit | -0.02 pp 0.0% → —% | −$215.6B | 10,637,151 | Kimco Rlty Corp. |
| BP | Exit | -0.02 pp 0.0% → —% | −$215B | 6,189,755 | Bp PLC |
| — | Exit | -0.02 pp 0.0% → —% | −$213.7B | 5,609,272 | Pembina Pipeline Corp. |
| PPL | Exit | -0.02 pp 0.0% → —% | −$213.7B | 6,101,122 | Ppl Corp. |
| TRMB | Exit | -0.02 pp 0.0% → —% | −$213.1B | 2,720,271 | Trimble Inc. |
| SNA | Exit | -0.02 pp 0.0% → —% | −$210.8B | 611,764 | Snap On Inc. |
| MDLN | Exit | -0.02 pp 0.0% → —% | −$210B | 5,000,000 | Medline Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$209.4B | 2,043,285 | Ppg Inds Inc. |
| PFGC | Exit | -0.02 pp 0.0% → —% | −$208.2B | 2,315,060 | Performance Food Group Co. |
| — | Exit | -0.02 pp 0.0% → —% | −$207.7B | 718,976 | Reliance Inc. |
| FFIV | Exit | -0.02 pp 0.0% → —% | −$205.7B | 805,870 | F5 Inc. |
| ACM | Exit | -0.02 pp 0.0% → —% | −$205.5B | 2,155,657 | Aecom |
| — | Exit | -0.02 pp 0.0% → —% | −$205.5B | 4,611,043 | Technipfmc PLC |
| XPO | Exit | -0.02 pp 0.0% → —% | −$204.3B | 1,503,231 | Xpo Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$204.1B | 4,077,131 | Synovus Finl Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$202.8B | 5,711,282 | Toast Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$200.6B | 1,032,144 | Hunt J B Trans Svcs Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$199.8B | 4,451,819 | Ionq Inc. |
| WST | Exit | -0.02 pp 0.0% → —% | −$199.5B | 1,775,323 | East West Bancorp Inc. |
| UHS | Exit | -0.02 pp 0.0% → —% | −$199.3B | 914,294 | Universal Hlth Svcs Inc. |
| ATI | Exit | -0.02 pp 0.0% → —% | −$198.8B | 1,732,195 | Ati Inc. |
| CR | Exit | -0.02 pp 0.0% → —% | −$198.5B | 1,076,339 | Crane Company |
| ASTS | Exit | -0.02 pp 0.0% → —% | −$198.3B | 2,729,868 | Ast Spacemobile Inc. |
| MGA | Exit | -0.02 pp 0.0% → —% | −$197.6B | 3,707,113 | Magna Intl Inc. |
| TTD | Exit | -0.02 pp 0.0% → —% | −$197.6B | 5,204,166 | The Trade Desk Inc. |
| FWONK | Exit | -0.02 pp 0.0% → —% | −$195.8B | 1,987,228 | Liberty Media Corp. Del |
| RVMD | Exit | -0.02 pp 0.0% → —% | −$195.6B | 2,455,347 | Revolution Medicines Inc. |
| CRS | Exit | -0.02 pp 0.0% → —% | −$195.3B | 620,168 | Carpenter Technology Corp. |
| JLL | Exit | -0.02 pp 0.0% → —% | −$194.9B | 579,397 | Jones Lang Lasalle Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$194.9B | 1,123,184 | Itt Inc. |
| MAS | Exit | -0.02 pp 0.0% → —% | −$194.8B | 3,069,935 | Masco Corp. |
| FN | Exit | -0.02 pp 0.0% → —% | −$193.8B | 425,597 | Fabrinet |
| CF | Exit | -0.02 pp 0.0% → —% | −$193.7B | 2,503,965 | Cf Inds Hldgs Inc. |
| ADT | Exit | -0.02 pp 0.0% → —% | −$193B | 23,915,277 | Adt Inc. Del |
| AKAM | Exit | -0.02 pp 0.0% → —% | −$193B | 2,211,563 | Akamai Technologies Inc. |
| USFD | Exit | -0.02 pp 0.0% → —% | −$192.8B | 2,560,390 | US Foods Hldg Corp. |
| DKS | Exit | -0.02 pp 0.0% → —% | −$192.6B | 973,070 | Dicks Sporting Goods Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$191.7B | 797,129 | Nordson Corp. |
| CIEN | Exit | -0.02 pp 0.0% → —% | −$189.9B | 811,950 | Ciena Corp. |
| FOXA | Exit | -0.02 pp 0.0% → —% | −$189.4B | 2,592,685 | Fox Corp. |
| NWSA | Exit | -0.02 pp 0.0% → —% | −$188.8B | 7,227,719 | News Corp. New |
| AVY | Exit | -0.02 pp 0.0% → —% | −$188.4B | 1,036,055 | Avery Dennison Corp. |
| Q | Exit | -0.02 pp 0.0% → —% | −$187.7B | 2,298,838 | Qnity Electronics Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$187.2B | 3,620,987 | Nutanix Inc. |
| DOCU | Exit | -0.02 pp 0.0% → —% | −$186.8B | 2,730,922 | Docusign Inc. |
| HPE | Exit | -0.02 pp 0.0% → —% | −$186B | 7,742,269 | Hewlett Packard Enterprise C |
| CWAN | Exit | -0.02 pp 0.0% → —% | −$184.3B | 7,639,740 | Clearwater Analytics Hldgs I |
| — | Exit | -0.02 pp 0.0% → —% | −$184B | 2,859,460 | Wp Carey Inc. |
| FIVE | Exit | -0.02 pp 0.0% → —% | −$182.8B | 970,408 | Five Below Inc. |
| SATS | Exit | -0.02 pp 0.0% → —% | −$182.1B | 1,675,354 | Echostar Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$182.1B | 3,092,063 | Txnm Energy Inc. |
| APG | Exit | -0.02 pp 0.0% → —% | −$181.1B | 4,732,517 | Api Group Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$181B | 3,315,942 | Fidelity National Financial |
| — | Exit | -0.02 pp 0.0% → —% | −$180.9B | 3,721,829 | Liberty Broadband Corp. |
| POH3 | Exit | -0.02 pp 0.0% → —% | −$180.9B | 5,963,531 | Carnival PLC |
| EXPD | Exit | -0.02 pp 0.0% → —% | −$180.7B | 1,212,798 | Expeditors Intl Wash Inc. |
| BALL | Exit | -0.02 pp 0.0% → —% | −$178B | 3,360,864 | Ball Corp. |
| RBC | Exit | -0.02 pp 0.0% → —% | −$175.9B | 392,277 | Rbc Bearings Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$175.2B | 2,026,053 | Okta Inc. |
| BBY | Exit | -0.02 pp 0.0% → —% | −$174.7B | 2,609,965 | Best Buy Inc. |
| RGA | Exit | -0.02 pp 0.0% → —% | −$173.8B | 854,059 | Reinsurance Grp Of America I |
| MICC | Exit | -0.02 pp 0.0% → —% | −$173.6B | 10,906,091 | Magnum Ice Cream Co. NV |
| — | Exit | -0.02 pp 0.0% → —% | −$172.4B | 1,377,145 | Stifel Finl Corp. |
| LUV | Exit | -0.02 pp 0.0% → —% | −$172B | 4,162,540 | Southwest Airls Co. |
| — | Exit | -0.02 pp 0.0% → —% | −$171.3B | 1,491,999 | Mueller Inds Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$170.9B | 1,962,097 | Nextpower Inc. |
| HAL | Exit | -0.02 pp 0.0% → —% | −$169.3B | 5,990,925 | Halliburton Co. |
| FOXA | Exit | -0.02 pp 0.0% → —% | −$168.9B | 2,601,158 | Fox Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$168.6B | 599,596 | Renaissancere Hldgs Ltd |
| TOL | Exit | -0.02 pp 0.0% → —% | −$168.3B | 1,244,726 | Toll Brothers Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$168.2B | 2,865,291 | Terreno Rlty Corp. |
| GLPI | Exit | -0.02 pp 0.0% → —% | −$167.7B | 3,753,480 | Gaming & Leisure Pptys Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$166.5B | 3,652,721 | Qiagen NV |
| LII | Exit | -0.02 pp 0.0% → —% | −$165.7B | 341,265 | Lennox Intl Inc. |
| ALB | Exit | -0.02 pp 0.0% → —% | −$165.3B | 1,168,488 | Albemarle Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$164.2B | 482,617 | Evercore Inc. |
| TW | Exit | -0.02 pp 0.0% → —% | −$163.6B | 1,521,189 | Tradeweb Mkts Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$163.5B | 16,175,000 | Haleon PLC |
| IEX | Exit | -0.02 pp 0.0% → —% | −$162.8B | 914,850 | Idex Corp. |
| NBIX | Exit | -0.02 pp 0.0% → —% | −$162.7B | 1,146,896 | Neurocrine Biosciences Inc. |
| NLY | Exit | -0.02 pp 0.0% → —% | −$162.5B | 7,266,404 | Annaly Capital Management In |
| — | Exit | -0.02 pp 0.0% → —% | −$161.9B | 1,975,707 | Graco Inc. |
| AIZ | Exit | -0.02 pp 0.0% → —% | −$161.6B | 670,848 | Assurant Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$161.5B | 32,361,499 | Grab Holdings Limited |
| SFM | Exit | -0.02 pp 0.0% → —% | −$161.4B | 2,025,830 | Sprouts Fmrs Mkt Inc. |
| ICLR | Exit | -0.02 pp 0.0% → —% | −$160.1B | 878,462 | Icon PLC |
| KMX | Exit | -0.02 pp 0.0% → —% | −$159.2B | 4,120,921 | Carmax Inc. |
| ENTG | Exit | -0.02 pp 0.0% → —% | −$158.7B | 1,883,309 | Entegris Inc. |
| CCK | Exit | -0.02 pp 0.0% → —% | −$158.3B | 1,537,224 | Crown Hldgs Inc. |
| ALLY | Exit | -0.02 pp 0.0% → —% | −$157.6B | 3,480,024 | Ally Finl Inc. |
| BWA | Exit | -0.02 pp 0.0% → —% | −$156.8B | 3,479,679 | Borgwarner Inc. |
| HUBS | Exit | -0.02 pp 0.0% → —% | −$156.7B | 390,588 | Hubspot Inc. |
| WMS | Exit | -0.02 pp 0.0% → —% | −$156.6B | 1,081,179 | Advanced Drain Sys Inc. Del |
| — | Exit | -0.02 pp 0.0% → —% | −$156.4B | 1,701,551 | Rambus Inc. Del |
| OHI | Exit | -0.02 pp 0.0% → —% | −$156.2B | 3,522,012 | Omega Healthcare Invs Inc. |
| WCC | Exit | -0.02 pp 0.0% → —% | −$155.6B | 636,187 | Wesco Intl Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$155.6B | 1,112,665 | Globe Life Inc. |
| ALGN | Exit | -0.02 pp 0.0% → —% | −$155.6B | 996,197 | Align Technology Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$155.5B | 2,392,188 | Essent Group Ltd |
| CHWY | Exit | -0.02 pp 0.0% → —% | −$154.6B | 4,679,171 | Chewy Inc. |
| CPT | Exit | -0.02 pp 0.0% → —% | −$154.6B | 1,404,312 | Camden Ppty Tr |
| — | Exit | -0.02 pp 0.0% → —% | −$154.2B | 4,019,193 | Essential Utils Inc. |
| FHN | Exit | -0.02 pp 0.0% → —% | −$153.9B | 6,441,083 | First Horizon Corporation |
| DOC | Exit | -0.02 pp 0.0% → —% | −$153.6B | 9,549,137 | Healthpeak Properties Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$153.4B | 1,162,529 | Thomson Reuters Corp. |
| COLD | Exit | -0.02 pp 0.0% → —% | −$152.7B | 11,872,796 | Americold Realty Trust Inc. |
| BG | Exit | -0.02 pp 0.0% → —% | −$152.6B | 1,713,174 | Bunge Global SA |
| CLH | Exit | -0.02 pp 0.0% → —% | −$152.2B | 649,075 | Clean Harbors Inc. |
| Z | Exit | -0.02 pp 0.0% → —% | −$152.1B | 2,228,493 | Zillow Group Inc. |
| BJ | Exit | -0.02 pp 0.0% → —% | −$151.8B | 1,685,712 | Bjs Whsl Club Hldgs Inc. |
| FDS | Exit | -0.02 pp 0.0% → —% | −$151.5B | 522,045 | Factset Resh Sys Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$151B | 2,416,076 | Gildan Activewear Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$150.8B | 525,485 | Credicorp Ltd |
| TKO | Exit | -0.02 pp 0.0% → —% | −$150.6B | 720,584 | Tko Group Holdings Inc. |
| SE | Exit | -0.02 pp 0.0% → —% | −$149.9B | 3,619,312 | Sealed Air Corp. New |
| — | Exit | -0.02 pp 0.0% → —% | −$149.5B | 3,479,778 | Gfl Environmental Inc. |
| HPQ | Exit | -0.02 pp 0.0% → —% | −$149.3B | 6,701,459 | Hp Inc. |
| SNX | Exit | -0.02 pp 0.0% → —% | −$148.6B | 988,876 | Td Synnex Corporation |
| EPAM | Exit | -0.02 pp 0.0% → —% | −$147.9B | 721,738 | Epam Sys Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$147.7B | 1,801,806 | Hasbro Inc. |
| SOLV | Exit | -0.02 pp 0.0% → —% | −$147.5B | 1,861,020 | Solventum Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$147.5B | 922,737 | Mks Inc. |
| — | Exit | -0.02 pp 0.0% → —% | −$145.7B | 877,915 | Texas Roadhouse Inc. |
| CAG | Exit | -0.02 pp 0.0% → —% | −$145.7B | 8,414,552 | Conagra Brands Inc. |
| JEF | Exit | -0.02 pp 0.0% → —% | −$145.6B | 2,349,258 | Jefferies Finl Group Inc. |
| DRI | Exit | -0.02 pp 0.0% → —% | −$144.5B | 785,147 | Darden Restaurants Inc. |
| RKT | Exit | -0.02 pp 0.0% → —% | −$144.2B | 7,448,727 | Rocket Cos Inc. |
| BAH | Exit | -0.02 pp 0.0% → —% | −$143.7B | 1,703,989 | Booz Allen Hamilton Hldg Cor |
| — | Exit | -0.02 pp 0.0% → —% | −$142B | 2,256,666 | Webster Finl Corp. |
| AGNC | Exit | -0.02 pp 0.0% → —% | −$141.8B | 13,230,430 | Agnc Invt Corp. |
| — | Exit | -0.02 pp 0.0% → —% | −$141.4B | 10,060,510 | Equinox Gold Corp. |
| BCS | Exit | -0.02 pp 0.0% → —% | −$141.2B | 5,550,000 | Barclays PLC |
| CELH | Exit | -0.02 pp 0.0% → —% | −$140.8B | 3,078,342 | Celsius Hldgs Inc. |
| OWL | Exit | -0.02 pp 0.0% → —% | −$140.6B | 9,413,871 | Blue Owl Capital Inc. |
| PRU | Exit | -0.02 pp 0.0% → —% | −$140.5B | 1,244,948 | Prudential Finl Inc. |
| WST | Exit | -0.02 pp 0.0% → —% | −$140.5B | 1,583,634 | Pinnacle West Cap Corp. |
| QXO | Exit | -0.02 pp 0.0% → —% | −$140.4B | 7,279,467 | Qxo Inc. |
| OMC | Exit | -0.02 pp 0.0% → —% | −$140.3B | 1,737,069 | Omnicom Group Inc. |
| AYI | Exit | -0.01 pp 0.0% → —% | −$138.7B | 385,365 | Acuity Inc. |
| CMA | Exit | -0.01 pp 0.0% → —% | −$138.7B | 1,595,245 | Comerica Inc. |
| SMCI | Exit | -0.01 pp 0.0% → —% | −$136.6B | 4,665,832 | Super Micro Computer Inc. |
| CLX | Exit | -0.01 pp 0.0% → —% | −$135.7B | 1,346,173 | Clorox Co. Del |
| — | Exit | -0.01 pp 0.0% → —% | −$134.7B | 773,017 | Ensign Group Inc. |
| ORI | Exit | -0.01 pp 0.0% → —% | −$134.6B | 2,949,895 | Old Rep Intl Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$134.5B | 553,930 | Zebra Technologies Corporati |
| SWK | Exit | -0.01 pp 0.0% → —% | −$134B | 1,803,457 | Stanley Black & Decker Inc. |
| DG | Exit | -0.01 pp 0.0% → —% | −$133.4B | 1,004,980 | Dollar Gen Corp. New |
| — | Exit | -0.01 pp 0.0% → —% | −$133.2B | 1,255,148 | Encompass Health Corp. |
| UL | Exit | -0.01 pp 0.0% → —% | −$132B | 2,018,759 | Unilever PLC |
| RPRX | Exit | -0.01 pp 0.0% → —% | −$131.9B | 3,414,165 | Royalty Pharma PLC |
| — | Exit | -0.01 pp 0.0% → —% | −$131.5B | 826,043 | Allegion PLC |
| — | Exit | -0.01 pp 0.0% → —% | −$130.4B | 399,397 | Saia Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$129.9B | 1,217,796 | Jackson Financial Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$128.9B | 404,918 | Interdigital Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$128.8B | 2,771,645 | On Hldg AG |
| — | Exit | -0.01 pp 0.0% → —% | −$128.7B | 705,522 | Henry Jack & Assoc Inc. |
| ARMK | Exit | -0.01 pp 0.0% → —% | −$128.7B | 3,492,633 | Aramark |
| — | Exit | -0.01 pp 0.0% → —% | −$128.5B | 1,258,072 | Guardant Health Inc. |
| CDE | Exit | -0.01 pp 0.0% → —% | −$128.4B | 7,200,721 | Coeur Mng Inc. |
| SOLS | Exit | -0.01 pp 0.0% → —% | −$128.4B | 2,642,400 | Solstice Advanced Matls Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$128.3B | 1,253,007 | Price T Rowe Group Inc. |
| HALO | Exit | -0.01 pp 0.0% → —% | −$128.2B | 1,904,922 | Halozyme Therapeutics Inc. |
| OSK | Exit | -0.01 pp 0.0% → —% | −$127.9B | 1,018,125 | Oshkosh Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$127.4B | 3,594,216 | Samsara Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$125.9B | 1,338,219 | Southstate Bk Corp. |
| TAP | Exit | -0.01 pp 0.0% → —% | −$125.8B | 2,693,990 | Molson Coors Beverage Co. |
| LW | Exit | -0.01 pp 0.0% → —% | −$125.7B | 2,999,818 | Lamb Weston Hldgs Inc. |
| ALV | Exit | -0.01 pp 0.0% → —% | −$125.6B | 1,058,207 | Autoliv Inc. |
| WST | Exit | -0.01 pp 0.0% → —% | −$125.5B | 1,492,595 | Western Alliance Bancorp |
| — | Exit | -0.01 pp 0.0% → —% | −$125.4B | 2,068,181 | Equity Lifestyle Pptys Inc. |
| LAD | Exit | -0.01 pp 0.0% → —% | −$125.2B | 376,775 | Lithia Mtrs Inc. |
| AIT | Exit | -0.01 pp 0.0% → —% | −$125B | 486,990 | Applied Indl Technologies In |
| — | Exit | -0.01 pp 0.0% → —% | −$124.7B | 2,449,160 | Ralliant Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$124.3B | 717,003 | Manhattan Associates Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$124.2B | 1,316,324 | Stantec Inc. |
| CCL1EUR | Exit | -0.01 pp 0.0% → —% | −$124.2B | 4,066,828 | Carnival Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$123.7B | 618,418 | Spx Technologies Inc. |
| AEIS | Exit | -0.01 pp 0.0% → —% | −$123.4B | 589,400 | Advanced Energy Inds |
| INCY | Exit | -0.01 pp 0.0% → —% | −$122.9B | 1,244,233 | Incyte Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$122.7B | 1,019,660 | Wynn Resorts Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$122.3B | 21,297,802 | Icl Group Ltd |
| SWKS | Exit | -0.01 pp 0.0% → —% | −$121.3B | 1,913,016 | Skyworks Solutions Inc. |
| RRX | Exit | -0.01 pp 0.0% → —% | −$121.3B | 864,459 | Regal Rexnord Corporation |
| AIG | Exit | -0.01 pp 0.0% → —% | −$120.4B | 2,558,500 | American Healthcare Reit Inc. |
| DCI | Exit | -0.01 pp 0.0% → —% | −$120.2B | 1,355,580 | Donaldson Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$120.2B | 7,332,288 | Uipath Inc. |
| GLW | Exit | -0.01 pp 0.0% → —% | −$119.7B | 1,070,035 | Owens Corning New |
| — | Exit | -0.01 pp 0.0% → —% | −$119.2B | 1,301,270 | Rogers Corp. |
| OGE | Exit | -0.01 pp 0.0% → —% | −$119B | 2,787,552 | Oge Energy Corp. |
| BAX | Exit | -0.01 pp 0.0% → —% | −$118.3B | 6,191,263 | Baxter Intl Inc. |
| ENPH | Exit | -0.01 pp 0.0% → —% | −$118.2B | 3,687,686 | Enphase Energy Inc. |
| DWDPEUR | Exit | -0.01 pp 0.0% → —% | −$118B | 2,936,241 | Dupont De Nemours Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$118B | 10,104,378 | Uranium Energy Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$118B | 1,174,915 | Wayfair Inc. |
| FLS | Exit | -0.01 pp 0.0% → —% | −$118B | 1,700,253 | Flowserve Corp. |
| JHG | Exit | -0.01 pp 0.0% → —% | −$117.9B | 2,478,057 | Janus Henderson Group PLC |
| AZNN | Exit | -0.01 pp 0.0% → —% | −$117.3B | 1,276,181 | Astrazeneca PLC |
| BBIO | Exit | -0.01 pp 0.0% → —% | −$116.8B | 1,527,028 | Bridgebio Pharma Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$116.7B | 1,121,993 | Rpm Intl Inc. |
| FCNCA | Exit | -0.01 pp 0.0% → —% | −$116.6B | 54,313 | First Ctzns Bancshares Inc. D |
| — | Exit | -0.01 pp 0.0% → —% | −$116.3B | 1,219,465 | Pinnacle Finl Partners Inc. |
| ADC | Exit | -0.01 pp 0.0% → —% | −$116.1B | 1,612,027 | Agree Rlty Corp. |
| DTM | Exit | -0.01 pp 0.0% → —% | −$115.7B | 966,869 | Dt Midstream Inc. |
| ALSN | Exit | -0.01 pp 0.0% → —% | −$115.7B | 1,181,548 | Allison Transmission Hldgs I |
| — | Exit | -0.01 pp 0.0% → —% | −$115.5B | 662,940 | Houlihan Lokey Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$115.2B | 3,433,575 | Tetra Tech Inc. New |
| CTRE | Exit | -0.01 pp 0.0% → —% | −$114.8B | 3,175,053 | Caretrust Reit Inc. |
| AFG | Exit | -0.01 pp 0.0% → —% | −$114.7B | 838,902 | American Finl Group Inc. Ohio |
| — | Exit | -0.01 pp 0.0% → —% | −$114.4B | 196,393 | Madrigal Pharmaceuticals Inc. |
| AMG | Exit | -0.01 pp 0.0% → —% | −$113.7B | 394,559 | Affiliated Managers Group In |
| — | Exit | -0.01 pp 0.0% → —% | −$113.7B | 1,147,505 | Post Hldgs Inc. |
| IFF | Exit | -0.01 pp 0.0% → —% | −$113.3B | 1,681,024 | International FLAVORS&FRAGRA |
| ARWR | Exit | -0.01 pp 0.0% → —% | −$113.2B | 1,704,464 | Arrowhead Pharmaceuticals In |
| — | Exit | -0.01 pp 0.0% → —% | −$112.8B | 7,160,110 | Ke Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$112.8B | 1,446,420 | Service Corp. Intl |
| — | Exit | -0.01 pp 0.0% → —% | −$112.8B | 5,195,859 | Roivant Sciences Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$112.7B | 1,058,008 | Servicetitan Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$112.6B | 3,488,428 | Match Group Inc. New |
| BRX | Exit | -0.01 pp 0.0% → —% | −$112.3B | 4,283,257 | Brixmor Ppty Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$111.9B | 800,487 | Wintrust Finl Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$111.3B | 2,394,953 | Zurn Elkay Water Solns Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$111.2B | 580,846 | Ryder Sys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$110.9B | 328,989 | Watsco Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$110.1B | 2,942,537 | Ugi Corp. New |
| — | Exit | -0.01 pp 0.0% → —% | −$110B | 5,678,232 | Lyft Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$109.8B | 5,974,029 | Onestream Inc. |
| MOH | Exit | -0.01 pp 0.0% → —% | −$109.8B | 632,509 | Molina Healthcare Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$109.6B | 328,477 | Nova Ltd |
| BLDR | Exit | -0.01 pp 0.0% → —% | −$109.3B | 1,061,995 | Builders Firstsource Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$108.8B | 1,003,001 | Planet Fitness Inc. |
| CNM | Exit | -0.01 pp 0.0% → —% | −$108.3B | 2,083,218 | Core & Main Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$108.1B | 2,726,848 | Nnn Reit Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$107.9B | 275,916 | Kinsale Cap Group Inc. |
| AWI | Exit | -0.01 pp 0.0% → —% | −$107.7B | 563,661 | Armstrong World Inds Inc. New |
| — | Exit | -0.01 pp 0.0% → —% | −$106.8B | 1,672,223 | Tpg Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$106.7B | 3,276,237 | Open Text Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$106.6B | 13,713,912 | Lumen Technologies Inc. |
| EXEL | Exit | -0.01 pp 0.0% → —% | −$106.5B | 2,428,922 | Exelixis Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$106.1B | 1,026,741 | Tfi Intl Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$105.7B | 1,805,595 | Zions Bancorporation N A |
| — | Exit | -0.01 pp 0.0% → —% | −$105.3B | 5,304,538 | Hudbay Minerals Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$105.1B | 5,156,791 | Kanzhun Limited |
| — | Exit | -0.01 pp 0.0% → —% | −$105B | 842,875 | Popular Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$104.9B | 251,556 | Topbuild Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$104.9B | 664,755 | Onto Innovation Inc. |
| CDW | Exit | -0.01 pp 0.0% → —% | −$104.9B | 770,093 | Cdw Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$104.8B | 1,380,669 | Kratos Defense & Sec Solutio |
| LAMR | Exit | -0.01 pp 0.0% → —% | −$104.7B | 827,182 | Lamar Advertising Co. New |
| — | Exit | -0.01 pp 0.0% → —% | −$103.4B | 832,676 | Primoris Svcs Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$103.1B | 4,280,977 | Mosaic Co. New |
| COLB | Exit | -0.01 pp 0.0% → —% | −$103B | 3,685,594 | Columbia Bkg Sys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$103B | 961,816 | Axis Cap Hldgs Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$102.5B | 3,902,656 | Invesco Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$102.2B | 181,886 | Medpace Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$101.8B | 3,408,096 | Millrose Pptys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$101.8B | 678,024 | Sanmina Corporation |
| LNC | Exit | -0.01 pp 0.0% → —% | −$101.1B | 2,270,699 | Lincoln Natl Corp. Ind |
| — | Exit | -0.01 pp 0.0% → —% | −$100.6B | 364,565 | Watts Water Technologies Inc. |
| DSGX | Exit | -0.01 pp 0.0% → —% | −$100.4B | 1,144,488 | Descartes Sys Group Inc. |
| OMF | Exit | -0.01 pp 0.0% → —% | −$100.3B | 1,484,999 | Onemain Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$99.8B | 248,058 | Valmont Inds Inc. |
| TECH | Exit | -0.01 pp 0.0% → —% | −$99.5B | 1,691,780 | Bio-Techne Corp. |
| CADE | Exit | -0.01 pp 0.0% → —% | −$99B | 2,310,054 | Cadence Bank |
| ANF | Exit | -0.01 pp 0.0% → —% | −$99B | 786,217 | Abercrombie & Fitch Co. |
| EBAY | Exit | -0.01 pp 0.0% → —% | −$98.7B | 1,133,497 | Ebay Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$98.4B | 653,312 | Jbt Marel Corporation |
| CAE | Exit | -0.01 pp 0.0% → —% | −$98.4B | 3,234,907 | Cae Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$98.3B | 904,842 | Federal Signal Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$98.2B | 4,109,155 | Franklin Resources Inc. |
| GPI | Exit | -0.01 pp 0.0% → —% | −$98.1B | 249,491 | Group 1 Automotive Inc. |
| CMC | Exit | -0.01 pp 0.0% → —% | −$98B | 1,415,531 | Commercial Metals Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$97.6B | 680,592 | Southern Copper Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$97.6B | 426,717 | Pool Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$97.4B | 568,643 | Macom Tech Solutions Hldgs I |
| — | Exit | -0.01 pp 0.0% → —% | −$97.2B | 2,161,422 | Maplebear Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$97.1B | 1,451,866 | Smith A O Corp. |
| BROS | Exit | -0.01 pp 0.0% → —% | −$97B | 1,583,649 | Dutch Bros Inc. |
| CRL | Exit | -0.01 pp 0.0% → —% | −$96.8B | 485,087 | Charles Riv Labs Intl Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$96.2B | 3,293,922 | Mgic Invt Corp. Wis |
| EMN | Exit | -0.01 pp 0.0% → —% | −$95.6B | 1,498,065 | Eastman Chem Co. |
| AVAV | Exit | -0.01 pp 0.0% → —% | −$94.7B | 391,316 | Aerovironment Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$94.4B | 5,382,762 | Tencent Music Entmt Group |
| LKQ | Exit | -0.01 pp 0.0% → —% | −$94.2B | 3,119,932 | Lkq Corp. |
| DAR | Exit | -0.01 pp 0.0% → —% | −$94.2B | 2,616,968 | Darling Ingredients Inc. |
| SJM | Exit | -0.01 pp 0.0% → —% | −$93B | 950,416 | Smucker J M Co. |
| CFR | Exit | -0.01 pp 0.0% → —% | −$92.9B | 733,668 | Cullen Frost Bankers Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$92.8B | 855,449 | Roku Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$92.8B | 794,277 | Universal Display Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$92.5B | 8,622,839 | Full Truck Alliance Co. Ltd |
| QRVO | Exit | -0.01 pp 0.0% → —% | −$92.4B | 1,093,721 | Qorvo Inc. |
| NFG | Exit | -0.01 pp 0.0% → —% | −$92.4B | 1,154,321 | National Fuel Gas Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$92.1B | 1,761,097 | Knight-Swift Transn Hldgs In |
| — | Exit | -0.01 pp 0.0% → —% | −$92B | 1,274,000 | Ryanair Holdings PLC |
| BCE | Exit | -0.01 pp 0.0% → —% | −$91.8B | 3,848,869 | Bce Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$91.6B | 2,079,515 | Scholar Rock Hldg Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$91.3B | 503,855 | Marketaxess Hldgs Inc. |
| ATR | Exit | -0.01 pp 0.0% → —% | −$91.1B | 746,940 | Aptargroup Inc. |
| CHDN | Exit | -0.01 pp 0.0% → —% | −$90.5B | 795,647 | Churchill Downs Inc. |
| AXSM | Exit | -0.01 pp 0.0% → —% | −$90.5B | 495,456 | Axsome Therapeutics Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$90.4B | 1,011,778 | Liberty Media Corp. Del |
| — | Exit | -0.01 pp 0.0% → —% | −$90.3B | 1,099,415 | Makemytrip Limited Mauritius |
| — | Exit | -0.01 pp 0.0% → —% | −$90.1B | 436,166 | Eagle Matls Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$89.9B | 1,029,913 | Globus Med Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$89.2B | 868,596 | Logitech Intl S A |
| TRU | Exit | -0.01 pp 0.0% → —% | −$89.1B | 1,038,710 | Transunion |
| — | Exit | -0.01 pp 0.0% → —% | −$88.7B | 364,209 | Moog Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$88.6B | 2,501,068 | Or Royalties Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$88.4B | 579,853 | Paylocity Hldg Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$88.1B | 1,165,867 | Henry Schein Inc. |
| CSL | Exit | -0.01 pp 0.0% → —% | −$87.5B | 273,693 | Carlisle Cos Inc. |
| DAL | Exit | -0.01 pp 0.0% → —% | −$86.9B | 1,252,605 | Delta Air Lines Inc. Del |
| — | Exit | -0.01 pp 0.0% → —% | −$86.5B | 783,447 | Ormat Technologies Inc. |
| CSW | Exit | -0.01 pp 0.0% → —% | −$86.4B | 294,434 | Csw Industrials Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$86.2B | 508,497 | Gatx Corp. |
| DUOL | Exit | -0.01 pp 0.0% → —% | −$86.2B | 490,935 | Duolingo Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$85.9B | 746,569 | Umb Finl Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$85.8B | 783,190 | Ollies Bargain Outlet Hldgs |
| HRL | Exit | -0.01 pp 0.0% → —% | −$85.8B | 3,621,949 | Hormel Foods Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$85.7B | 767,028 | Esab Corporation |
| AL | Exit | -0.01 pp 0.0% → —% | −$85.6B | 1,333,070 | Air Lease Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$85.6B | 550,405 | Firstservice Corp. New |
| IGT | Exit | -0.01 pp 0.0% → —% | −$85.3B | 773,713 | Ingredion Inc. |
| CBSH | Exit | -0.01 pp 0.0% → —% | −$85.3B | 1,629,393 | Commerce Bancshares Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$85.1B | 527,280 | Simpson Mfg Inc. |
| M | Exit | -0.01 pp 0.0% → —% | −$85B | 3,855,764 | Macys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$85B | 1,443,755 | Taylor Morrison Home Corp. |
| CIGI | Exit | -0.01 pp 0.0% → —% | −$84.9B | 577,640 | Colliers Intl Group Inc. |
| DNLI | Exit | -0.01 pp 0.0% → —% | −$84.5B | 5,119,622 | Denali Therapeutics Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$84B | 237,767 | Sitime Corp. |
| BMI | Exit | -0.01 pp 0.0% → —% | −$83.8B | 480,588 | Badger Meter Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$83.8B | 458,591 | Hanover Ins Group Inc. |
| FBIN | Exit | -0.01 pp 0.0% → —% | −$83.8B | 1,675,245 | Fortune Brands Innovations I |
| — | Exit | -0.01 pp 0.0% → —% | −$83.7B | 6,351,036 | Telus Corporation |
| EAT | Exit | -0.01 pp 0.0% → —% | −$83.6B | 582,520 | Brinker Intl Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$83.1B | 1,115,667 | Voya Financial Inc. |
| EPR | Exit | -0.01 pp 0.0% → —% | −$82.8B | 1,659,770 | Epr Pptys |
| — | Exit | -0.01 pp 0.0% → —% | −$82.7B | 1,137,466 | Procore Technologies Inc. |
| MP | Exit | -0.01 pp 0.0% → —% | −$82.5B | 1,633,636 | Mp Materials Corp. |
| MGM | Exit | -0.01 pp 0.0% → —% | −$82.3B | 2,256,731 | Mgm Resorts International |
| LEA | Exit | -0.01 pp 0.0% → —% | −$82B | 715,670 | Lear Corp. |
| SAP | Exit | -0.01 pp 0.0% → —% | −$81.8B | 336,683 | Sap Se |
| — | Exit | -0.01 pp 0.0% → —% | −$81.7B | 3,191,024 | Gap Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$81.4B | 2,168,377 | Gitlab Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$81.4B | 738,379 | Kirby Corp. |
| BL | Exit | -0.01 pp 0.0% → —% | −$80.8B | 1,461,152 | Blackline Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$80.4B | 830,824 | Revvity Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$80.2B | 3,994,957 | Gamestop Corp. New |
| — | Exit | -0.01 pp 0.0% → —% | −$80.2B | 4,898,974 | Xp Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$80.2B | 1,650,918 | Lazard Inc. |
| VTRS | Exit | -0.01 pp 0.0% → —% | −$80.1B | 6,432,841 | Viatris Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$79.8B | 540,720 | Monday Com Ltd |
| ZS | Exit | -0.01 pp 0.0% → —% | −$79.8B | 354,626 | Zscaler Inc. |
| MRNA | Exit | -0.01 pp 0.0% → —% | −$79.7B | 2,702,832 | Moderna Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$79.2B | 233,255 | Piper Sandler Companies |
| — | Exit | -0.01 pp 0.0% → —% | −$78.6B | 535,600 | Enersys |
| — | Exit | -0.01 pp 0.0% → —% | −$78.3B | 2,882,647 | Upstream Bio Inc. |
| AGCO | Exit | -0.01 pp 0.0% → —% | −$78.2B | 749,637 | Agco Corp. |
| ABG | Exit | -0.01 pp 0.0% → —% | −$78B | 335,282 | Asbury Automotive Group Inc. |
| MHK | Exit | -0.01 pp 0.0% → —% | −$77.5B | 709,310 | Mohawk Inds Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$77.4B | 2,149,601 | Radian Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$77.3B | 324,251 | Wingstop Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$77.1B | 7,070,408 | Rithm Capital Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$76.4B | 1,223,615 | Jfrog Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$76.2B | 1,144,955 | Lantheus Hldgs Inc. |
| VFC | Exit | -0.01 pp 0.0% → —% | −$76.1B | 4,209,501 | V F Corp. |
| CHE | Exit | -0.01 pp 0.0% → —% | −$76.1B | 177,785 | Chemed Corp. New |
| CZR | Exit | -0.01 pp 0.0% → —% | −$76B | 3,251,369 | Caesars Entertainment Inc. Ne |
| — | Exit | -0.01 pp 0.0% → —% | −$76B | 861,781 | Merit Med Sys Inc. |
| RGEN | Exit | -0.01 pp 0.0% → —% | −$75.7B | 462,094 | Repligen Corp. |
| BTG | Exit | -0.01 pp 0.0% → —% | −$75.3B | 16,730,740 | B2gold Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$75.2B | 825,736 | Ufp Industries Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$75.2B | 4,174,202 | Starwood Ppty Tr Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$75B | 1,220,879 | First Amern Finl Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$74.8B | 3,485,923 | Gates Indl Corp. PLC |
| SUN | Exit | -0.01 pp 0.0% → —% | −$74.7B | 1,515,745 | Sunococorp LLC |
| BFAM | Exit | -0.01 pp 0.0% → —% | −$74.3B | 732,907 | Bright Horizons Fam Sol In D |
| — | Exit | -0.01 pp 0.0% → —% | −$74.1B | 4,531,257 | Primo Brands Corporation |
| — | Exit | -0.01 pp 0.0% → —% | −$73.8B | 1,003,344 | Lattice Semiconductor Corp. |
| OKLO | Exit | -0.01 pp 0.0% → —% | −$73.8B | 1,028,227 | Oklo Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$73.8B | 1,905,402 | Rexford Indl Rlty Inc. |
| LFUS | Exit | -0.01 pp 0.0% → —% | −$73.6B | 290,904 | Littelfuse Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$73.5B | 207,887 | Ralph Lauren Corp. |
| AVTR | Exit | -0.01 pp 0.0% → —% | −$73.3B | 6,398,087 | Avantor Inc. |
| CGNX | Exit | -0.01 pp 0.0% → —% | −$73.1B | 2,031,768 | Cognex Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$72.9B | 1,122,305 | Stride Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$72.7B | 922,133 | Ul Solutions Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$72.7B | 3,256,872 | Old Natl Bancorp Ind |
| — | Exit | -0.01 pp 0.0% → —% | −$72.3B | 7,857,282 | Nexgen Energy Ltd |
| KBR | Exit | -0.01 pp 0.0% → —% | −$71.8B | 1,785,688 | Kbr Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$71.6B | 6,126,225 | Valley Natl Bancorp |
| BIPC | Exit | -0.01 pp 0.0% → —% | −$71B | 1,564,212 | Brookfield Infrastructure Co. |
| EIX | Exit | -0.01 pp 0.0% → —% | −$70.8B | 1,991,837 | Phillips Edison & Co. Inc. |
| ILMN | Exit | -0.01 pp 0.0% → —% | −$70.8B | 540,134 | Illumina Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$70.8B | 916,079 | One Gas Inc. |
| KRYS | Exit | -0.01 pp 0.0% → —% | −$70.2B | 284,573 | Krystal Biotech Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$70.1B | 1,875,640 | Amer Sports Inc. |
| DBX | Exit | -0.01 pp 0.0% → —% | −$69.9B | 2,514,706 | Dropbox Inc. |
| CRUS | Exit | -0.01 pp 0.0% → —% | −$69.7B | 587,966 | Cirrus Logic Inc. |
| HRB | Exit | -0.01 pp 0.0% → —% | −$69.4B | 1,593,419 | Block H & R Inc. |
| AN | Exit | -0.01 pp 0.0% → —% | −$69.3B | 335,717 | Autonation Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$68.8B | 2,544,005 | Slm Corp. |
| BSY | Exit | -0.01 pp 0.0% → —% | −$68.8B | 1,801,802 | Bentley Sys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$68.7B | 511,184 | Hamilton Lane Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$68.6B | 3,061,477 | Verra Mobility Corp. |
| GNRC | Exit | -0.01 pp 0.0% → —% | −$68.6B | 502,969 | Generac Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$68.5B | 1,843,092 | Vontier Corporation |
| — | Exit | -0.01 pp 0.0% → —% | −$68.5B | 2,308,394 | Essential Pptys Rlty Tr Inc. |
| WST | Exit | -0.01 pp 0.0% → —% | −$68.4B | 1,780,352 | United Bankshares Inc. West V |
| WIX | Exit | -0.01 pp 0.0% → —% | −$68.3B | 657,363 | Wix Com Ltd |
| ACA | Exit | -0.01 pp 0.0% → —% | −$68.2B | 641,695 | Arcosa Inc. |
| BEPC | Exit | -0.01 pp 0.0% → —% | −$68.1B | 1,776,754 | Brookfield Renewable Corp. |
| AA | Exit | -0.01 pp 0.0% → —% | −$67.6B | 1,271,781 | Alcoa Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$67.6B | 1,534,204 | Glacier Bancorp Inc. New |
| CROX | Exit | -0.01 pp 0.0% → —% | −$67.5B | 789,817 | Crocs Inc. |
| AQN | Exit | -0.01 pp 0.0% → —% | −$67.1B | 10,906,124 | Algonquin Pwr Utils Corp. |
| AM | Exit | -0.01 pp 0.0% → —% | −$67B | 3,766,025 | Antero Midstream Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$67B | 1,047,153 | Rli Corp. |
| SWX | Exit | -0.01 pp 0.0% → —% | −$66.9B | 836,418 | Southwest Gas Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$66.9B | 730,567 | Healthequity Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$66.9B | 3,625,338 | Macerich Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$66.9B | 32,184 | White Mtns Ins Group Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$66.9B | 417,620 | Msa Safety Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$66.7B | 2,400,030 | Home Bancshares Inc. |
| AMTM | Exit | -0.01 pp 0.0% → —% | −$66.5B | 2,294,097 | Amentum Holdings Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$66.1B | 541,430 | Teleflex Incorporated |
| — | Exit | -0.01 pp 0.0% → —% | −$65.6B | 7,760,035 | Vnet Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$65.6B | 784,336 | Selective Ins Group Inc. |
| HUBB | Exit | -0.01 pp 0.0% → —% | −$64.8B | 145,898 | Hubbell Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$64.7B | 94,075 | Newmarket Corp. |
| BCPC | Exit | -0.01 pp 0.0% → —% | −$64.2B | 418,438 | Balchem Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$64B | 689,097 | Itron Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$64B | 3,741,268 | F N B Corp. |
| MTH | Exit | -0.01 pp 0.0% → —% | −$63.1B | 958,249 | Meritage Homes Corp. |
| ST | Exit | -0.01 pp 0.0% → —% | −$63B | 1,891,445 | Sensata Technologies Hldg Pl |
| TREX | Exit | -0.01 pp 0.0% → —% | −$62.9B | 1,793,154 | Trex Co. Inc. |
| MKC | Exit | -0.01 pp 0.0% → —% | −$62.7B | 920,735 | Mccormick & Co. Inc. |
| ABCB | Exit | -0.01 pp 0.0% → —% | −$62.7B | 843,858 | Ameris Bancorp |
| AVT | Exit | -0.01 pp 0.0% → —% | −$62.4B | 1,297,691 | Avnet Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$62.4B | 286,994 | Morningstar Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$62.2B | 3,378,770 | Sunrun Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$62.2B | 881,359 | Travel Plus Leisure Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$62.2B | 3,666,912 | Healthcare Rlty Tr |
| — | Exit | -0.01 pp 0.0% → —% | −$62.2B | 1,914,177 | Hims & Hers Health Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$61.9B | 372,308 | Grand Canyon Ed Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$61.9B | 2,580,852 | Kite Rlty Group Tr |
| — | Exit | -0.01 pp 0.0% → —% | −$61.8B | 1,939,322 | Option Care Health Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$61.5B | 740,086 | Liberty Live Holdings Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$61.4B | 784,551 | Weatherford Intl PLC |
| — | Exit | -0.01 pp 0.0% → —% | −$61.1B | 357,883 | Fti Consulting Inc. |
| BCO | Exit | -0.01 pp 0.0% → —% | −$61.1B | 523,476 | Brinks Co. |
| CRCL | Exit | -0.01 pp 0.0% → —% | −$60.7B | 765,502 | Circle Internet Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$60.5B | 1,172,693 | Ryan Specialty Holdings Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$60.5B | 536,143 | Glaukos Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$60.4B | 699,641 | Maximus Inc. |
| LPX | Exit | -0.01 pp 0.0% → —% | −$60.2B | 745,218 | Louisiana Pac Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$60.1B | 1,302,576 | New Jersey Res Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$60B | 1,209,227 | Lxp Industrial Trust |
| OZK | Exit | -0.01 pp 0.0% → —% | −$59.8B | 1,299,638 | Bank Ozk Little Rock Ark |
| — | Exit | -0.01 pp 0.0% → —% | −$59.6B | 3,054,154 | Mdu Res Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$59.6B | 1,895,047 | Ha Sustainable Infra Cap Inc. |
| MSCI | Exit | -0.01 pp 0.0% → —% | −$59.4B | 706,066 | Msc Indl Direct Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$59.4B | 2,708,336 | Ssr Mining In |
| BOX | Exit | -0.01 pp 0.0% → —% | −$58.8B | 1,966,352 | Box Inc. |
| BYD | Exit | -0.01 pp 0.0% → —% | −$58.8B | 689,379 | Boyd Gaming Corp. |
| ACHR | Exit | -0.01 pp 0.0% → —% | −$58.5B | 7,778,447 | Archer Aviation Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$58.3B | 436,739 | Modine Mfg Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$58.2B | 10,307,658 | Renew Energy Global PLC |
| ALAB | Exit | -0.01 pp 0.0% → —% | −$58.2B | 349,692 | Astera Labs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$58.1B | 407,115 | Icu Med Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$57.9B | 3,059,387 | Sabra Health Care Reit Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$57.8B | 574,242 | Nuvalent Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$57.6B | 1,094,178 | Gxo Logistics Incorporated |
| — | Exit | -0.01 pp 0.0% → —% | −$57.5B | 902,367 | Hancock Whitney Corporation |
| BDC | Exit | -0.01 pp 0.0% → —% | −$57.3B | 491,600 | Belden Inc. |
| SIRI | Exit | -0.01 pp 0.0% → —% | −$57.1B | 2,856,916 | Siriusxm Holdings Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$56.7B | 1,228,939 | Vaxcyte Inc. |
| BGSI | Exit | -0.01 pp 0.0% → —% | −$56.5B | 354,710 | Boyd Group Services Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$56.5B | 1,177,263 | Portland Gen Elec Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$56.1B | 1,596,217 | Resideo Technologies Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$56B | 428,524 | Silicon Laboratories Inc. |
| ALH | Exit | -0.01 pp 0.0% → —% | −$56B | 2,750,000 | Alliance Laundry Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$55.9B | 6,419,767 | New Gold Inc. Cda |
| CCC | Exit | -0.01 pp 0.0% → —% | −$55.7B | 7,000,986 | Ccc Intelligent Solutions Hl |
| BBWI | Exit | -0.01 pp 0.0% → —% | −$55.5B | 2,764,168 | Bath & Body Works Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$55.3B | 724,125 | National Health Invs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$55.2B | 317,313 | Impinj Inc. |
| DLB | Exit | -0.01 pp 0.0% → —% | −$55B | 855,898 | Dolby Laboratories Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$54.8B | 3,651,304 | Sentinelone Inc. |
| ACIW | Exit | -0.01 pp 0.0% → —% | −$54.7B | 1,144,849 | Aci Worldwide Inc. |
| ASB | Exit | -0.01 pp 0.0% → —% | −$54.7B | 2,121,893 | Associated Banc Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$54.6B | 1,251,407 | Sonoco Prods Co. |
| CRDO | Exit | -0.01 pp 0.0% → —% | −$54.5B | 378,675 | Credo Technology Group Holdi |
| — | Exit | -0.01 pp 0.0% → —% | −$54.4B | 1,945,734 | Alkermes PLC |
| BILL | Exit | -0.01 pp 0.0% → —% | −$54.3B | 995,150 | Bill Holdings Inc. |
| PKG | Exit | -0.01 pp 0.0% → —% | −$54B | 3,587,705 | Graphic Packaging Hldg Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$54B | 2,782,298 | Tegna Inc. |
| AMKR | Exit | -0.01 pp 0.0% → —% | −$53.7B | 1,360,226 | Amkor Technology Inc. |
| CACI | Exit | -0.01 pp 0.0% → —% | −$53.6B | 100,679 | Caci Intl Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$53.5B | 652,868 | Sei Invts Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$53.4B | 530,527 | Science Applications Intl Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$53.4B | 618,845 | Workiva Inc. |
| CUZ | Exit | -0.01 pp 0.0% → —% | −$53.1B | 2,058,302 | Cousins Pptys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$52.8B | 2,267,606 | Gentex Corp. |
| LYB | Exit | -0.01 pp 0.0% → —% | −$52.2B | 1,205,771 | Lyondellbasell Industries N |
| — | Exit | -0.01 pp 0.0% → —% | −$52.1B | 2,981,783 | Independence Rlty Tr Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$51.7B | 571,330 | Texas Cap Bancshares Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$51.6B | 820,000 | Shift4 Pmts Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$51.5B | 573,478 | Assured Guaranty Ltd |
| KLAC | Exit | -0.01 pp 0.0% → —% | −$51.4B | 1,777,365 | Klarna Group PLC |
| CYTK | Exit | -0.01 pp 0.0% → —% | −$51.3B | 807,070 | Cytokinetics Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$51.2B | 1,714,998 | First Finl Bankshares Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$51.2B | 736,619 | Exponent Inc. |
| SQ | Exit | -0.01 pp 0.0% → —% | −$51.1B | 197,592 | Madison Square Grdn Sprt Cor |
| — | Exit | -0.01 pp 0.0% → —% | −$51.1B | 1,300,016 | Global E Online Ltd |
| — | Exit | -0.01 pp 0.0% → —% | −$50.7B | 125,710 | Murphy USA Inc. |
| NOVT | Exit | -0.01 pp 0.0% → —% | −$50.7B | 426,244 | Novanta Inc. |
| CAVA | Exit | -0.01 pp 0.0% → —% | −$50.3B | 856,676 | Cava Group Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$50.3B | 778,958 | Northwestern Energy Group In |
| — | Exit | -0.01 pp 0.0% → —% | −$50.2B | 2,058,514 | Capri Holdings Limited |
| — | Exit | -0.01 pp 0.0% → —% | −$50.2B | 336,973 | Wex Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$50B | 523,505 | Franklin Elec Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.9B | 1,141,425 | Upstart Hldgs Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.9B | 559,669 | Sps Comm Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.9B | 530,780 | Sensient Technologies Corp. |
| CLF | Exit | -0.01 pp 0.0% → —% | −$49.8B | 3,749,785 | Cleveland-Cliffs Inc. New |
| CBT | Exit | -0.01 pp 0.0% → —% | −$49.7B | 749,269 | Cabot Corp. |
| TFPM | Exit | -0.01 pp 0.0% → —% | −$49.5B | 1,491,073 | Triple Flag Precious Metal |
| KLAC | Exit | -0.01 pp 0.0% → —% | −$49.3B | 1,518,330 | Klaviyo Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.3B | 171,986 | Erie Indty Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.2B | 1,852,057 | Life Time Group Holdings Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.2B | 2,478,955 | Mattel Inc. |
| DVA | Exit | -0.01 pp 0.0% → —% | −$49.2B | 432,748 | Davita Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$49.2B | 4,505,740 | Tal Education Group |
| — | Exit | -0.01 pp 0.0% → —% | −$49.1B | 377,421 | Masimo Corp. |
| — | Exit | -0.01 pp 0.0% → —% | −$48.5B | 1,551,895 | United Cmnty Bks Blairsvle G |
| — | Exit | -0.01 pp 0.0% → —% | −$48.4B | 858,316 | Kb Home |
| DK | Exit | -0.01 pp 0.0% → —% | −$48.4B | 1,630,950 | Delek US Hldgs Inc. New |
| — | Exit | -0.01 pp 0.0% → —% | −$48.2B | 816,840 | Tempus Ai Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$48B | 507,669 | Ryman Hospitality Pptys Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$47.9B | 667,332 | Servisfirst Bancshares Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$47.6B | 566,311 | Timken Co. |
| — | Exit | -0.01 pp 0.0% → —% | −$47.5B | 798,627 | Granite Real Estate Invt Tr |
| UHAL.B | Exit | -0.01 pp 0.0% → —% | −$47.2B | 1,010,271 | U Haul Holding Company |
| — | Exit | -0.01 pp 0.0% → —% | −$47.1B | 734,283 | Life360 Inc. |
| — | Exit | -0.01 pp 0.0% → —% | −$47B | 2,308,342 | Zeta Global Holdings Corp. |
| BC | Exit | 0.00 pp 0.0% → —% | −$46.7B | 628,576 | Brunswick Corp. |
| NCLH | Exit | 0.00 pp 0.0% → —% | −$46.7B | 2,090,644 | Norwegian Cruise Line Hldg L |
| — | Exit | 0.00 pp 0.0% → —% | −$46.2B | 558,956 | Spire Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$46.1B | 631,045 | Independent Bk Corp. Mass |
| LOAR | Exit | 0.00 pp 0.0% → —% | −$46.1B | 677,248 | Loar Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$45.9B | 5,084,432 | Genworth Finl Inc. |
| CAR | Exit | 0.00 pp 0.0% → —% | −$45.9B | 357,701 | Avis Budget Group |
| — | Exit | 0.00 pp 0.0% → —% | −$45.6B | 686,300 | International Bancshares Cor |
| APO | Exit | 0.00 pp 0.0% → —% | −$45.3B | 600,000 | Apollo Global Mgmt Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$45.3B | 3,581,371 | Transalta Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$45.3B | 2,566,807 | Sotera Health Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$45.2B | 3,059,311 | Stoneco Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$45.1B | 2,078,001 | Envista Holdings Corporation |
| — | Exit | 0.00 pp 0.0% → —% | −$45B | 623,057 | Q2 Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$44.6B | 1,362,650 | Waystar Hldg Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$44.5B | 1,893,007 | Tenable Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$44.3B | 335,911 | Pennymac Finl Svcs Inc. New |
| — | Exit | 0.00 pp 0.0% → —% | −$44.3B | 2,290,257 | Fulton Finl Corp. Pa |
| — | Exit | 0.00 pp 0.0% → —% | −$44.2B | 743,407 | Fuller H B Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$44.2B | 587,174 | Urban Outfitters Inc. |
| CDTX | Exit | 0.00 pp 0.0% → —% | −$44.2B | 200,000 | Cidara Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$44.1B | 961,272 | Sl Green Rlty Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$44B | 3,498,468 | Flagstar Bank National Assoc |
| BF.B | Exit | 0.00 pp 0.0% → —% | −$44B | 1,688,089 | Brown Forman Corp. |
| CON | Exit | 0.00 pp 0.0% → —% | −$43.4B | 2,205,467 | Concentra Group Holdings Par |
| — | Exit | 0.00 pp 0.0% → —% | −$43.3B | 3,119,597 | Fmc Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$43.2B | 290,843 | Middleby Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$43.2B | 368,669 | Tower Semiconductor Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$43.2B | 653,787 | Korn Ferry |
| — | Exit | 0.00 pp 0.0% → —% | −$43B | 150,814 | Kadant Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$42.9B | 624,365 | Moelis & Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$42.6B | 3,060,846 | Perrigo Co. PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$42.2B | 3,791,590 | Liberty Global Ltd |
| BCC | Exit | 0.00 pp 0.0% → —% | −$42.1B | 572,639 | Boise Cascade Co. Del |
| — | Exit | 0.00 pp 0.0% → —% | −$42.1B | 2,032,726 | First Bancorp P R |
| COTY | Exit | 0.00 pp 0.0% → —% | −$41.9B | 13,593,175 | Coty Inc. |
| AAON | Exit | 0.00 pp 0.0% → —% | −$41.6B | 545,368 | Aaon Inc. |
| DORM | Exit | 0.00 pp 0.0% → —% | −$41.5B | 336,784 | Dorman Prods Inc. |
| BETA | Exit | 0.00 pp 0.0% → —% | −$41.5B | 1,470,589 | Beta Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$41.5B | 204,256 | Nexstar Media Group Inc. |
| BNL | Exit | 0.00 pp 0.0% → —% | −$41.5B | 2,387,491 | Broadstone Net Lease Inc. |
| AVNT | Exit | 0.00 pp 0.0% → —% | −$41.5B | 1,327,044 | Avient Corporation |
| CATY | Exit | 0.00 pp 0.0% → —% | −$41.1B | 850,180 | Cathay Gen Bancorp |
| — | Exit | 0.00 pp 0.0% → —% | −$41.1B | 309,531 | Vail Resorts Inc. |
| APLE | Exit | 0.00 pp 0.0% → —% | −$40.9B | 3,455,684 | Apple Hospitality Reit Inc. |
| WSC | Exit | 0.00 pp 0.0% → —% | −$40.9B | 2,173,407 | Willscot Hldgs Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$40.6B | 104,307 | Ies Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$40.5B | 478,952 | Champion Homes Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$40.3B | 1,592,131 | First Hawaiian Inc. |
| ACAD | Exit | 0.00 pp 0.0% → —% | −$40.3B | 1,507,527 | Acadia Pharmaceuticals Inc. |
| CDP | Exit | 0.00 pp 0.0% → —% | −$39.7B | 1,427,511 | Copt Defense Properties |
| WST | Exit | 0.00 pp 0.0% → —% | −$39.7B | 648,266 | West Fraser Timber Co. Ltd |
| VVV | Exit | 0.00 pp 0.0% → —% | −$39.7B | 1,364,469 | Valvoline Inc. |
| AXTA | Exit | 0.00 pp 0.0% → —% | −$39.6B | 1,226,697 | Axalta Coating Sys Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$39.5B | 4,397,792 | Mara Holdings Inc. |
| CWST | Exit | 0.00 pp 0.0% → —% | −$39.3B | 401,703 | Casella Waste Sys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$39.2B | 498,357 | Toro Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$39.2B | 709,500 | Wsfs Finl Corp. |
| CBU | Exit | 0.00 pp 0.0% → —% | −$39B | 678,844 | Community Financial System I |
| ELF | Exit | 0.00 pp 0.0% → —% | −$38.9B | 511,501 | E L F Beauty Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$38.9B | 1,755,700 | Rigetti Computing Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$38.8B | 1,037,200 | Figma Inc. |
| ALGM | Exit | 0.00 pp 0.0% → —% | −$38.5B | 1,457,805 | Allegro Microsystems Inc. |
| BXMT | Exit | 0.00 pp 0.0% → —% | −$38.2B | 1,998,880 | Blackstone Mtg Tr Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$38B | 1,099,110 | First Intst Bancsystem Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$37.6B | 544,708 | Prosperity Bancshares Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$37.5B | 1,099,462 | Leonardo Drs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$37B | 607,990 | Freshpet Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$37B | 599,024 | Prestige Consmr Healthcare I |
| PNR | Exit | 0.00 pp 0.0% → —% | −$36.8B | 353,355 | Pentair PLC |
| DDS | Exit | 0.00 pp 0.0% → —% | −$36.6B | 60,359 | Dillards Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$36.4B | 315,601 | Granite Constr Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$36.2B | 444,446 | Insight Enterprises Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$36.2B | 1,250,000 | G Iii Apparel Group Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$36.2B | 592,317 | Kontoor Brands Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$35.9B | 1,508,884 | Sportradar Group AG |
| SN | Exit | 0.00 pp 0.0% → —% | −$35.7B | 319,088 | Sharkninja Inc. |
| WMG | Exit | 0.00 pp 0.0% → —% | −$35.4B | 1,155,828 | Warner Music Group Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$35.3B | 245,512 | Landstar Sys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$34.9B | 879,178 | Methanex Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$34.8B | 851,205 | Birkenstock Holding PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$34.8B | 2,584,183 | Orla Mng Ltd New |
| BIO | Exit | 0.00 pp 0.0% → —% | −$34.6B | 114,194 | Bio Rad Labs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$34.3B | 451,250 | Euronet Worldwide Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$34.2B | 1,262,651 | Pbf Energy Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$34.2B | 2,000,000 | Navan Inc. |
| ETSY | Exit | 0.00 pp 0.0% → —% | −$33.9B | 611,520 | Etsy Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$33.8B | 1,245,653 | Robert Half Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$33.8B | 633,722 | Terex Corp. New |
| — | Exit | 0.00 pp 0.0% → —% | −$33.7B | 3,655,662 | Cnh Indl N V |
| — | Exit | 0.00 pp 0.0% → —% | −$33.5B | 1,820,287 | Eastern Bankshares Inc. |
| COO | Exit | 0.00 pp 0.0% → —% | −$33.2B | 405,246 | Cooper Cos Inc. |
| AAL | Exit | 0.00 pp 0.0% → —% | −$33.2B | 2,165,580 | American Airls Group Inc. |
| PEN | Exit | 0.00 pp 0.0% → —% | −$33B | 106,271 | Penumbra Inc. |
| HLT | Exit | 0.00 pp 0.0% → —% | −$32.9B | 734,537 | Hilton Grand Vacations Inc. |
| ABM | Exit | 0.00 pp 0.0% → —% | −$32.9B | 776,604 | Abm Inds Inc. |
| BOKF | Exit | 0.00 pp 0.0% → —% | −$32.8B | 276,507 | Bok Finl Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.8B | 465,569 | Knife River Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.7B | 800,000 | Figure Technology Solutio |
| — | Exit | 0.00 pp 0.0% → —% | −$32.6B | 558,604 | Scotts Miracle-Gro Co. |
| ELAN | Exit | 0.00 pp 0.0% → —% | −$32.4B | 1,432,394 | Elanco Animal Health Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.4B | 124,752 | Installed Bldg Prods Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.3B | 704,977 | Intapp Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.3B | 2,444,645 | Joby Aviation Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.2B | 450,721 | Radnet Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32.1B | 203,026 | Penske Automotive Grp Inc. |
| AUR | Exit | 0.00 pp 0.0% → —% | −$32.1B | 8,347,714 | Aurora Innovation Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32B | 1,431,241 | Galaxy Digital Inc. |
| GEN | Exit | 0.00 pp 0.0% → —% | −$32B | 1,176,561 | Gen Digital Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$32B | 443,013 | Whirlpool Corp. |
| HHH | Exit | 0.00 pp 0.0% → —% | −$32B | 400,617 | Howard Hughes Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$31.9B | 534,244 | Pegasystems Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$31.9B | 2,601,917 | Freshworks Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$31.5B | 563,841 | Formfactor Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$31.4B | 3,090,263 | Zoominfo Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$31.3B | 1,401,313 | Smithfield Foods Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$30.8B | 763,275 | Silgan Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$30.4B | 1,579,428 | Qfin Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$30.3B | 705,000 | Legence Corp. |
| CNS | Exit | 0.00 pp 0.0% → —% | −$30.2B | 481,557 | Cohen & Steers Inc. |
| APLSUSD | Exit | 0.00 pp 0.0% → —% | −$30.1B | 1,198,444 | Apellis Pharmaceuticals Inc. |
| CXT | Exit | 0.00 pp 0.0% → —% | −$30.1B | 638,561 | Crane Nxt Co. |
| BLKB | Exit | 0.00 pp 0.0% → —% | −$29.8B | 471,351 | Blackbaud Inc. |
| RGLD | Exit | 0.00 pp 0.0% → —% | −$29.8B | 134,071 | Royal Gold Inc. |
| ATS | Exit | 0.00 pp 0.0% → —% | −$29.7B | 1,079,090 | Ats Corporation |
| YOU | Exit | 0.00 pp 0.0% → —% | −$29.5B | 840,944 | Clear Secure Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$29.3B | 2,813,895 | Quantumscape Corp. |
| ASO | Exit | 0.00 pp 0.0% → —% | −$29.3B | 586,485 | Academy Sports & Outdoors In |
| CRVL | Exit | 0.00 pp 0.0% → —% | −$29.3B | 432,251 | Corvel Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$29.2B | 1,677,371 | Garrett Motion Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$29.2B | 219,395 | Qualys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$29B | 1,261,026 | Ultragenyx Pharmaceutical In |
| CHH | Exit | 0.00 pp 0.0% → —% | −$28.9B | 303,488 | Choice Hotels Intl Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$28.8B | 878,383 | Varonis Sys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$28.5B | 51,554 | Ubiquiti Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$28.3B | 478,038 | Trinet Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$28.1B | 156,809 | Rh |
| BANF | Exit | 0.00 pp 0.0% → —% | −$27.7B | 261,493 | Bancfirst Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$27.6B | 1,561,966 | Vipshop Hldgs Ltd |
| UHAL | Exit | 0.00 pp 0.0% → —% | −$27.5B | 546,476 | U Haul Holding Company |
| — | Exit | 0.00 pp 0.0% → —% | −$27.5B | 136,991 | Guidewire Software Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$27.4B | 2,026,668 | Grindr Inc. |
| CPB | Exit | 0.00 pp 0.0% → —% | −$26.9B | 966,456 | The Campbells Company |
| — | Exit | 0.00 pp 0.0% → —% | −$26.6B | 360,551 | Hexcel Corp. New |
| — | Exit | 0.00 pp 0.0% → —% | −$26.4B | 1,600,000 | Niq Global Intelligence PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$26.3B | 1,016,699 | Highwoods Pptys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$26.2B | 600,000 | Gold Fields Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$26B | 2,250,000 | Pattern Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$25.8B | 1,257,507 | Harley Davidson Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$25.7B | 490,206 | Crispr Therapeutics AG |
| BHC | Exit | 0.00 pp 0.0% → —% | −$25.6B | 3,682,488 | Bausch Health Cos Inc. |
| BHP | Exit | 0.00 pp 0.0% → —% | −$25.4B | 421,334 | Bhp Group Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$25.3B | 320,160 | Ionis Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$24.8B | 1,245,660 | Torm PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$24.6B | 893,176 | South Bow Corp. |
| ATAT | Exit | 0.00 pp 0.0% → —% | −$24.4B | 618,344 | Atour Lifestyle Hldgs Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$24.3B | 1,083,028 | Hesai Group |
| CORT | Exit | 0.00 pp 0.0% → —% | −$24.2B | 695,766 | Corcept Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$24B | 1,373,943 | Summit Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$23.8B | 3,862,925 | Peloton Interactive Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$23.8B | 1,990,838 | Super Group Sghc Limited |
| — | Exit | 0.00 pp 0.0% → —% | −$23.7B | 1,750,000 | Stubhub Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$23.6B | 467,881 | Valaris Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$23.5B | 5,739,064 | Recursion Pharmaceuticals In |
| — | Exit | 0.00 pp 0.0% → —% | −$23.1B | 315,934 | Karman Hldgs Inc. |
| APPF | Exit | 0.00 pp 0.0% → —% | −$22.8B | 97,976 | Appfolio Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$22.2B | 541,663 | Telephone & Data Sys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$22.2B | 233,020 | Stonex Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$22B | 7,759,065 | Wipro Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$22B | 2,282,809 | Cmb.tech NV |
| — | Exit | 0.00 pp 0.0% → —% | −$21.7B | 211,637 | Thor Inds Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$21.7B | 1,992,629 | Flowers Foods Inc. |
| LEN.B | Exit | 0.00 pp 0.0% → —% | −$21.6B | 226,742 | Lennar Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$21.5B | 130,977 | Futu Hldgs Ltd |
| BRBR | Exit | 0.00 pp 0.0% → —% | −$21.5B | 803,887 | Bellring Brands Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$21.3B | 1,250,000 | Edgewell Pers Care Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$21.3B | 349,264 | Floor & Decor Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$20.8B | 263,175 | Mirum Pharmaceuticals Inc. |
| CE | Exit | 0.00 pp 0.0% → —% | −$20B | 474,139 | Celanese Corp. Del |
| — | Exit | 0.00 pp 0.0% → —% | −$19.7B | 243,100 | Shake Shack Inc. |
| BRSL | Exit | 0.00 pp 0.0% → —% | −$19.6B | 1,263,918 | Brightstar Lottery PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$19.5B | 735,671 | Kyndryl Hldgs Inc. |
| CHYM | Exit | 0.00 pp 0.0% → —% | −$19.4B | 770,423 | Chime Finl Inc. |
| DY | Exit | 0.00 pp 0.0% → —% | −$19.3B | 57,222 | Dycom Inds Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$19.3B | 227,666 | Interparfums Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$19.2B | 452,352 | Exlservice Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$19.1B | 62,298 | Sterling Infrastructure Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$18.9B | 151,935 | Siteone Landscape Supply Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$18.9B | 198,673 | Sphere Entertainment Co. |
| AROC | Exit | 0.00 pp 0.0% → —% | −$18.7B | 719,502 | Archrock Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$18.7B | 302,163 | Parsons Corp. Del |
| — | Exit | 0.00 pp 0.0% → —% | −$18.6B | 751,355 | Edgewise Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$18.5B | 1,120,319 | Mcgraw Hill Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$18.1B | 1,940,000 | Grifols S A |
| — | Exit | 0.00 pp 0.0% → —% | −$18B | 130,956 | Quaker Houghton |
| — | Exit | 0.00 pp 0.0% → —% | −$17.9B | 393,418 | Enlight Renewable Energy Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$17.5B | 887,127 | Planet Labs Pbc |
| — | Exit | 0.00 pp 0.0% → —% | −$17.3B | 139,829 | Matson Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$17B | 450,000 | Bullish |
| DINO | Exit | 0.00 pp 0.0% → —% | −$16.9B | 366,935 | Hf Sinclair Corp. |
| CNA | Exit | 0.00 pp 0.0% → —% | −$16.7B | 349,329 | Cna Finl Corp. |
| AM6 | Exit | 0.00 pp 0.0% → —% | −$16.6B | 1,165,028 | Amicus Therapeutics Inc. |
| NY4B | Exit | 0.00 pp 0.0% → —% | −$16.2B | 515,608 | Clearway Energy Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$16B | 395,205 | Terns Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$15.7B | 470,700 | Tanger Inc. |
| ARRY | Exit | 0.00 pp 0.0% → —% | −$15.5B | 1,682,119 | Array Technologies Inc. |
| NWSA | Exit | 0.00 pp 0.0% → —% | −$15.3B | 517,059 | News Corp. New |
| — | Exit | 0.00 pp 0.0% → —% | −$15.3B | 391,753 | Pilgrims Pride Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$15.2B | 637,801 | Mueller Wtr Prods Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$15.1B | 93,992 | Hyatt Hotels Corp. |
| Z | Exit | 0.00 pp 0.0% → —% | −$14.9B | 217,949 | Zillow Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$14.6B | 472,211 | F&G Annuities & Life Inc. |
| AVPT | Exit | 0.00 pp 0.0% → —% | −$14.6B | 1,047,900 | Avepoint Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$14.5B | 896,332 | Cushman And Wakefield Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$14.4B | 364,123 | Enact Hldgs Inc. |
| ATHM | Exit | 0.00 pp 0.0% → —% | −$14.2B | 636,443 | Autohome Inc. |
| CNXC | Exit | 0.00 pp 0.0% → —% | −$14.1B | 340,074 | Concentrix Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$13.9B | 1,005,128 | Remitly Global Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$13.9B | 503,335 | Perimeter Solutions Inc. |
| SONY | Exit | 0.00 pp 0.0% → —% | −$13.8B | 538,250 | Sony Group Corp. |
| LCID | Exit | 0.00 pp 0.0% → —% | −$13.7B | 1,294,178 | Lucid Group Inc. |
| ATEC | Exit | 0.00 pp 0.0% → —% | −$13.7B | 649,814 | Alphatec Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$13.6B | 1,000,000 | Wealthfront Corp. |
| AVA | Exit | 0.00 pp 0.0% → —% | −$13.5B | 351,132 | Avista Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$13.4B | 765,000 | Netskope Inc. |
| WST | Exit | 0.00 pp 0.0% → —% | −$13.4B | 181,328 | Westlake Corporation |
| MTZ | Exit | 0.00 pp 0.0% → —% | −$13.1B | 60,481 | Mastec Inc. |
| CWEN | Exit | 0.00 pp 0.0% → —% | −$13B | 391,491 | Clearway Energy Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12.8B | 558,722 | Reynolds Consumer Prods Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12.6B | 176,632 | Ipg Photonics Corp. |
| BHF | Exit | 0.00 pp 0.0% → —% | −$12.4B | 191,000 | Brighthouse Finl Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12.4B | 703,700 | Sonos Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12.3B | 425,000 | Via Transn Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12.3B | 277,200 | Miami Intl Hldgs Inc. |
| CTRI | Exit | 0.00 pp 0.0% → —% | −$12.1B | 480,005 | Centuri Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$12B | 129,570 | Inspire Med Sys Inc. |
| TCOM | Exit | 0.00 pp 0.0% → —% | −$11.9B | 164,868 | Trip Com Group Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$11.5B | 360,634 | Photronics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$11.5B | 1,481,200 | Sprinklr Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$11.3B | 5,900,154 | Iqiyi Inc. |
| AMRX | Exit | 0.00 pp 0.0% → —% | −$11.2B | 889,500 | Amneal Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$11B | 564,700 | Rush Street Interactive Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.9B | 665,076 | Accelerant Holdings |
| — | Exit | 0.00 pp 0.0% → —% | −$10.7B | 139,200 | Innospec Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.6B | 1,485,800 | Evolv Technologies Hldngs In |
| — | Exit | 0.00 pp 0.0% → —% | −$10.6B | 158,573 | Tutor Perini Corp. |
| COUR | Exit | 0.00 pp 0.0% → —% | −$10.6B | 1,439,469 | Coursera Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.5B | 133,300 | Inhibrx Biosciences Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.5B | 1,060,000 | Legalzoom Com Inc. |
| CVCO | Exit | 0.00 pp 0.0% → —% | −$10.4B | 17,622 | Cavco Inds Inc. Del |
| — | Exit | 0.00 pp 0.0% → —% | −$10.4B | 215,586 | Liberty Broadband Corp. |
| CCS | Exit | 0.00 pp 0.0% → —% | −$10.4B | 175,000 | Century Cmntys Inc. |
| BBNX | Exit | 0.00 pp 0.0% → —% | −$10.3B | 339,300 | Beta Bionics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.3B | 402,237 | Ncino Inc. |
| AMPX | Exit | 0.00 pp 0.0% → —% | −$10.3B | 1,304,838 | Amprius Technologies Inc. |
| NOV | Exit | 0.00 pp 0.0% → —% | −$10.3B | 656,828 | Nov Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.2B | 573,802 | Viavi Solutions Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.2B | 395,903 | Progyny Inc. |
| TCOM | Exit | 0.00 pp 0.0% → —% | −$10.1B | 321,254 | Tri Pointe Homes Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.1B | 1,837,800 | Taysha Gene Therapies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10.1B | 125,927 | Haemonetics Corp. Mass |
| — | Exit | 0.00 pp 0.0% → —% | −$10B | 122,880 | Liberty Live Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$10B | 132,715 | Elastic N V |
| — | Exit | 0.00 pp 0.0% → —% | −$10B | 56,237 | Irhythm Technologies Inc. |
| ARW | Exit | 0.00 pp 0.0% → —% | −$10B | 90,360 | Arrow Electrs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$9.9B | 153,373 | Joyy Inc. |
| HEI | Exit | 0.00 pp 0.0% → —% | −$9.9B | 30,539 | Heico Corp. New |
| BN | Exit | 0.00 pp 0.0% → —% | −$9.7B | 211,689 | Brookfield Wealth Sol Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$9.7B | 445,400 | Plymouth Indl Reit Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$9.6B | 117,592 | Tarsus Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$9.2B | 47,202 | Esco Technologies Inc. |
| DT | Exit | 0.00 pp 0.0% → —% | −$9.2B | 211,583 | Dynatrace Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$9.1B | 1,396,296 | Hello Group Inc. |
| ALK | Exit | 0.00 pp 0.0% → —% | −$9.1B | 181,416 | Alaska Air Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$8.8B | 68,000 | Genedx Holdings Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$8.8B | 119,216 | Semtech Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$8.8B | 400,000 | Grupo Aeromexico Sab De Cv |
| — | Exit | 0.00 pp 0.0% → —% | −$8.8B | 2,000,000 | Uwm Holdings Corporation |
| — | Exit | 0.00 pp 0.0% → —% | −$8.5B | 400,000 | Ingram Micro Hldg Corp. |
| ATRC | Exit | 0.00 pp 0.0% → —% | −$8.5B | 214,016 | Atricure Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$8.4B | 261,990 | National Beverage Corp. |
| AMR | Exit | 0.00 pp 0.0% → —% | −$8.3B | 41,298 | Alpha Metallurgical Resour I |
| — | Exit | 0.00 pp 0.0% → —% | −$8.2B | 406,803 | Stevanato Group S P A |
| — | Exit | 0.00 pp 0.0% → —% | −$8.2B | 76,128 | Camtek Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$8.1B | 3,151,227 | Lufax Holding Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$8.1B | 360,000 | Firefly Aerospace Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$8B | 449,627 | Infosys Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$8B | 370,701 | Sarepta Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$7.8B | 30,287 | Primerica Inc. |
| BBVA | Exit | 0.00 pp 0.0% → —% | −$7.7B | 330,000 | Banco Bilbao Vizcaya Argenta |
| OPTU | Exit | 0.00 pp 0.0% → —% | −$7.6B | 4,623,111 | Optimum Communications Inc. |
| BF.A | Exit | 0.00 pp 0.0% → —% | −$7.6B | 288,879 | Brown Forman Corp. |
| APLD | Exit | 0.00 pp 0.0% → —% | −$7.5B | 304,700 | Applied Digital Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$7.4B | 502,376 | Penn Entertainment Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$7.4B | 33,759 | Myr Group Inc. Del |
| — | Exit | 0.00 pp 0.0% → —% | −$7.3B | 806,300 | Sable Offshore Corp. |
| EH | Exit | 0.00 pp 0.0% → —% | −$7.1B | 541,048 | Ehang Hldgs Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$7.1B | 66,213 | Rhythm Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$7.1B | 837,417 | Relay Therapeutics Inc. |
| ACLS | Exit | 0.00 pp 0.0% → —% | −$7.1B | 88,147 | Axcelis Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$7.1B | 487,705 | Vishay Intertechnology Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$7B | 138,145 | Aura Minerals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.9B | 155,811 | Yeti Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.8B | 445,000 | Semler Scientific Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.7B | 1,011,644 | Vestis Corporation |
| — | Exit | 0.00 pp 0.0% → —% | −$6.7B | 1,800,000 | Newell Brands Inc. |
| GOLF | Exit | 0.00 pp 0.0% → —% | −$6.7B | 83,513 | Acushnet Hldgs Corp. |
| BFH | Exit | 0.00 pp 0.0% → —% | −$6.6B | 89,616 | Bread Financial Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.4B | 419,326 | Six Flags Entertainment Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.3B | 800,700 | Xeris Biopharma Holdings Inc. |
| HL | Exit | 0.00 pp 0.0% → —% | −$6.3B | 326,810 | Hecla Mng Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.2B | 564,289 | Liberty Global Ltd |
| ALX | Exit | 0.00 pp 0.0% → —% | −$6.2B | 28,500 | Alexanders Inc. |
| ALRM | Exit | 0.00 pp 0.0% → —% | −$6.1B | 118,819 | Alarm Com Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6.1B | 337,788 | Enviri Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$6B | 120,396 | Supernus Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.8B | 206,000 | National Storage Affiliates |
| — | Exit | 0.00 pp 0.0% → —% | −$5.8B | 347,104 | Extreme Networks |
| PAYC | Exit | 0.00 pp 0.0% → —% | −$5.7B | 36,078 | Paycom Software Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.7B | 1,097,600 | Organogenesis Hldgs Inc. |
| AAMI | Exit | 0.00 pp 0.0% → —% | −$5.7B | 120,700 | Acadian Asset Management Inc. |
| ATKR | Exit | 0.00 pp 0.0% → —% | −$5.7B | 89,623 | Atkore Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.7B | 314,700 | Ramaco Res Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.6B | 536,638 | Park Hotels & Resorts Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.6B | 85,693 | Globant S A |
| — | Exit | 0.00 pp 0.0% → —% | −$5.6B | 28,400 | Wd 40 Co. |
| VISN | Exit | 0.00 pp 0.0% → —% | −$5.6B | 308,026 | Commscope Hldg Co. Inc. |
| COLM | Exit | 0.00 pp 0.0% → —% | −$5.5B | 100,084 | Columbia Sportswear Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.5B | 42,717 | M/I Homes Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.4B | 67,500 | Strategic Ed Inc. |
| CRAI | Exit | 0.00 pp 0.0% → —% | −$5.4B | 26,900 | Cra Intl Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.4B | 115,027 | Genpact Limited |
| GRBK | Exit | 0.00 pp 0.0% → —% | −$5.4B | 85,408 | Green Brick Partners Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.2B | 500,000 | Two Hbrs Invt Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.2B | 392,257 | Tfs Finl Corp. |
| SQ | Exit | 0.00 pp 0.0% → —% | −$5.2B | 97,100 | Madison Square Garden Entmt |
| — | Exit | 0.00 pp 0.0% → —% | −$5.2B | 149,616 | Globalfoundries Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$5.2B | 112,226 | Hinge Health Inc. |
| COLL | Exit | 0.00 pp 0.0% → —% | −$5.2B | 112,500 | Collegium Pharmaceutical Inc. |
| ALHC | Exit | 0.00 pp 0.0% → —% | −$5.1B | 260,408 | Alignment Healthcare Inc. |
| NYT | Exit | 0.00 pp 0.0% → —% | −$5.1B | 74,071 | New York Times Co. |
| ARQT | Exit | 0.00 pp 0.0% → —% | −$5.1B | 174,820 | Arcutis Biotherapeutics Inc. |
| DOCS | Exit | 0.00 pp 0.0% → —% | −$5.1B | 114,272 | Doximity Inc. |
| AAT | Exit | 0.00 pp 0.0% → —% | −$4.9B | 257,700 | American Assets Tr Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.9B | 44,908 | Patrick Inds Inc. |
| AI | Exit | 0.00 pp 0.0% → —% | −$4.8B | 356,201 | C3 Ai Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.8B | 92,200 | Worthington Enterprises Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.7B | 65,022 | Root Inc. |
| WULF | Exit | 0.00 pp 0.0% → —% | −$4.6B | 399,600 | Terawulf Inc. |
| CHEF | Exit | 0.00 pp 0.0% → —% | −$4.6B | 73,556 | Chefs Whse Inc. |
| CNK | Exit | 0.00 pp 0.0% → —% | −$4.5B | 194,799 | Cinemark Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.5B | 94,400 | Innovative Indl Pptys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.3B | 85,719 | Tidewater Inc. New |
| CURB | Exit | 0.00 pp 0.0% → —% | −$4.3B | 185,400 | Curbline Pptys Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.3B | 24,899 | Vse Corp. |
| LAW | Exit | 0.00 pp 0.0% → —% | −$4.3B | 547,947 | Cs Disco Inc. |
| HP | Exit | 0.00 pp 0.0% → —% | −$4.2B | 145,256 | Helmerich & Payne Inc. |
| QBTS | Exit | 0.00 pp 0.0% → —% | −$4.2B | 159,005 | D-Wave Quantum Inc. |
| PTC | Exit | 0.00 pp 0.0% → —% | −$4.1B | 53,807 | Ptc Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4.1B | 110,024 | Aspen Insurance Holdings Ltd |
| CARG | Exit | 0.00 pp 0.0% → —% | −$4B | 104,619 | Cargurus Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4B | 200,000 | Waterbridge Infrastructure L |
| — | Exit | 0.00 pp 0.0% → —% | −$3.8B | 122,790 | Viridian Therapeutics Inc. |
| BRKR | Exit | 0.00 pp 0.0% → —% | −$3.8B | 80,091 | Bruker Corp. |
| DEI | Exit | 0.00 pp 0.0% → —% | −$3.8B | 342,621 | Douglas Emmett Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3.7B | 30,574 | Transmedics Group Inc. |
| CORZ | Exit | 0.00 pp 0.0% → —% | −$3.7B | 253,602 | Core Scientific Inc. New |
| — | Exit | 0.00 pp 0.0% → —% | −$3.7B | 106,577 | Viasat Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3.5B | 414,753 | Shoals Technologies Group In |
| — | Exit | 0.00 pp 0.0% → —% | −$3.5B | 175,399 | Simply Good Foods Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$3.5B | 331,000 | Pitney Bowes Inc. |
| SGRY | Exit | 0.00 pp 0.0% → —% | −$3.5B | 223,742 | Surgery Partners Inc. |
| XRAY | Exit | 0.00 pp 0.0% → —% | −$3.4B | 296,663 | Dentsply Sirona Inc. |
| CNO | Exit | 0.00 pp 0.0% → —% | −$3.4B | 79,703 | Cno Finl Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3.3B | 180,393 | Liberty Energy Inc. |
| CABO | Exit | 0.00 pp 0.0% → —% | −$3.3B | 29,204 | Cable One Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3.3B | 624,435 | Finvolution Group |
| — | Exit | 0.00 pp 0.0% → —% | −$3.2B | 43,018 | Synaptics Inc. |
| CVLT | Exit | 0.00 pp 0.0% → —% | −$3B | 24,195 | Commvault Sys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3B | 74,718 | Kemper Corp. |
| ANDE | Exit | 0.00 pp 0.0% → —% | −$3B | 56,500 | Andersons Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3B | 621,078 | Under Armour Inc. |
| CAI | Exit | 0.00 pp 0.0% → —% | −$3B | 110,294 | Caris Life Sciences Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3B | 99,100 | Werner Enterprises Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.9B | 90,000 | Galapagos NV |
| CVSA | Exit | 0.00 pp 0.0% → —% | −$2.9B | 28,012 | Adtalem Global Ed Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.9B | 201,311 | Oscar Health Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.9B | 19,582 | Plexus Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.9B | 144,211 | Fluence Energy Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.8B | 11,111 | Osi Systems Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.8B | 319,097 | Goodyear Tire & Rubr Co. |
| ATMU | Exit | 0.00 pp 0.0% → —% | −$2.8B | 53,214 | Atmus Filtration Technologie |
| — | Exit | 0.00 pp 0.0% → —% | −$2.7B | 86,158 | Procept Biorobotics Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.7B | 23,828 | Nice Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$2.6B | 41,600 | Red Rock Resorts Inc. |
| BTSG | Exit | 0.00 pp 0.0% → —% | −$2.5B | 66,413 | Brightspring Health Svcs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.5B | 167,058 | Select Med Hldgs Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.5B | 85,000 | Neptune Ins Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.4B | 23,516 | Skywest Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.3B | 2,116 | Graham Hldgs Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.3B | 16,712 | Netease Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.3B | 83,100 | Getty Rlty Corp. New |
| — | Exit | 0.00 pp 0.0% → —% | −$2.3B | 263,000 | Tpg Re Fin Tr Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.2B | 77,411 | Ringcentral Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.2B | 373,107 | Opendoor Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.2B | 51,508 | Hni Corp. |
| MIR | Exit | 0.00 pp 0.0% → —% | −$2.2B | 92,105 | Mirion Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2.1B | 50,000 | Nektar Therapeutics |
| WHD | Exit | 0.00 pp 0.0% → —% | −$2B | 44,413 | Cactus Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2B | 44,000 | Solaris Energy Infras Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2B | 76,238 | Trinity Inds Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$2B | 232,600 | Wabash Natl Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.9B | 264,857 | Organon & Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.9B | 16,469 | Kaiser Aluminum Corp. |
| BRCB | Exit | 0.00 pp 0.0% → —% | −$1.9B | 85,000 | Black Rock Coffee Bar Inc. |
| WU | Exit | 0.00 pp 0.0% → —% | −$1.8B | 197,774 | Western Un Co. |
| PARA | Exit | 0.00 pp 0.0% → —% | −$1.8B | 137,408 | Paramount Skydance Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.8B | 70,000 | Voyager Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.7B | 51,910 | Laureate Education Inc. |
| BKE | Exit | 0.00 pp 0.0% → —% | −$1.7B | 32,500 | Buckle Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.7B | 47,531 | United Parks & Resorts Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.7B | 36,000 | Northwest Nat Hldg Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.6B | 26,252 | Livanova PLC |
| DAWNGBX | Exit | 0.00 pp 0.0% → —% | −$1.6B | 169,000 | Day One Biopharmaceuticals I |
| UTE0 | Exit | 0.00 pp 0.0% → —% | −$1.6B | 146,808 | Cantaloupe Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.5B | 109,000 | Xenia Hotels & Resorts Inc. |
| PII | Exit | 0.00 pp 0.0% → —% | −$1.5B | 24,006 | Polaris Inc. |
| HUN | Exit | 0.00 pp 0.0% → —% | −$1.5B | 151,699 | Huntsman Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.5B | 106,162 | Flywire Corporation |
| — | Exit | 0.00 pp 0.0% → —% | −$1.4B | 150,115 | Pagseguro Digital Ltd |
| ARI | Exit | 0.00 pp 0.0% → —% | −$1.4B | 145,800 | Apollo Coml Real Est Fin Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.4B | 50,000 | Kodiak Sciences Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 44,000 | Wiley John & Sons Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 15,707 | Everus Constr Group |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 93,500 | Peakstone Realty Trust |
| QDEL | Exit | 0.00 pp 0.0% → —% | −$1.3B | 46,241 | Quidelortho Corp. |
| CELC | Exit | 0.00 pp 0.0% → —% | −$1.3B | 13,205 | Celcuity Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 15,500 | Nebius Group N.v. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 16,543 | Kymera Therapeutics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 4,354 | Praxis Precision Medicines I |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 79,508 | The Realreal Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.3B | 29,000 | Employers Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 98,377 | Nomad Foods Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 35,307 | Liquidia Corporation |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 198,800 | Patterson-Uti Energy Inc. |
| PKG | Exit | 0.00 pp 0.0% → —% | −$1.2B | 292,456 | Ardagh Metal Packaging S A |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 54,306 | Tandem Diabetes Care Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 58,500 | One Liberty Pptys Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 72,674 | 10X Genomics Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 31,208 | Kodiak Gas Svcs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 34,508 | United Nat Foods Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 88,480 | Webtoon Entmt Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.2B | 21,705 | Vita Coco Co. Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 32,900 | Ltc Pptys Inc. |
| ACMR | Exit | 0.00 pp 0.0% → —% | −$1.1B | 28,528 | Acm Resh Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 24,305 | Kulicke & Soffa Inds Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 19,133 | Frontdoor Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 34,900 | Saul Ctrs Inc. |
| ACLXGBX | Exit | 0.00 pp 0.0% → —% | −$1.1B | 16,707 | Arcellx Inc. |
| CSR | Exit | 0.00 pp 0.0% → —% | −$1.1B | 16,200 | Centerspace |
| ASAN | Exit | 0.00 pp 0.0% → —% | −$1.1B | 78,605 | Asana Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 36,010 | Openlane Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 30,589 | Ideaya Biosciences Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1.1B | 35,411 | Manpowergroup Inc. Wis |
| DXC | Exit | 0.00 pp 0.0% → —% | −$1.1B | 71,807 | Dxc Technology Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$1B | 32,705 | Vital Farms Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1B | 35,000 | Heartflow Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$1B | 144,502 | Neogen Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$992M | 100,000 | Gemini Space Sta Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$992M | 26,508 | Harmony Biosciences Hldgs In |
| — | Exit | 0.00 pp 0.0% → —% | −$986M | 24,164 | Nmi Hldgs Inc. |
| DIOD | Exit | 0.00 pp 0.0% → —% | −$982M | 19,908 | Diodes Inc. |
| AIV | Exit | 0.00 pp 0.0% → —% | −$980M | 165,000 | Apartment Invt & Mgmt Co. |
| DRH | Exit | 0.00 pp 0.0% → —% | −$977M | 109,008 | Diamondrock Hospitality Co. |
| DYN | Exit | 0.00 pp 0.0% → —% | −$965M | 49,319 | Dyne Therapeutics Inc. |
| CWT | Exit | 0.00 pp 0.0% → —% | −$958M | 22,114 | California Wtr Svc Group |
| — | Exit | 0.00 pp 0.0% → —% | −$956M | 22,935 | Napco Sec Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$943M | 12,807 | Griffon Corp. |
| BXC | Exit | 0.00 pp 0.0% → —% | −$921M | 15,000 | Bluelinx Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$903M | 13,711 | Kenon Hldgs Ltd |
| — | Exit | 0.00 pp 0.0% → —% | −$902M | 74,019 | Wisdomtree Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$899M | 56,962 | Omada Health Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$886M | 73,007 | Ocular Therapeutix Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$880M | 18,832 | Greenbrier Cos Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$872M | 289,747 | Gamestop Corp. New |
| ASIC | Exit | 0.00 pp 0.0% → —% | −$840M | 40,000 | Ategrity Specialty In Co. Ho |
| BLLN | Exit | 0.00 pp 0.0% → —% | −$818M | 10,000 | Billiontoone Inc. |
| CARL | Exit | 0.00 pp 0.0% → —% | −$803M | 65,000 | Carlsmed Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$802M | 244,633 | Zhihu Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$779M | 40,000 | Slide Ins Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$764M | 63,296 | Lightspeed Commerce Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$761M | 8,887 | Grail Inc. |
| ANIP | Exit | 0.00 pp 0.0% → —% | −$757M | 9,585 | Ani Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$751M | 31,665 | Privia Health Group Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$730M | 73,862 | Harmonic Inc. |
| BCAX | Exit | 0.00 pp 0.0% → —% | −$722M | 42,889 | Bicara Therapeutics Inc. |
| CWH | Exit | 0.00 pp 0.0% → —% | −$711M | 73,065 | Camping World Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$686M | 76,740 | Sunstone Hotel Invs Inc. New |
| — | Exit | 0.00 pp 0.0% → —% | −$670M | 30,000 | Jefferson Capital Inc. |
| CC | Exit | 0.00 pp 0.0% → —% | −$627M | 53,172 | Chemours Co. |
| ABCL | Exit | 0.00 pp 0.0% → —% | −$603M | 176,386 | Abcellera Biologics Inc. |
| KNTK | Exit | 0.00 pp 0.0% → —% | −$593M | 16,438 | Kinetik Holdings Inc. |
| RIO | Exit | 0.00 pp 0.0% → —% | −$588M | 7,353 | Rio Tinto PLC |
| OSG | Exit | 0.00 pp 0.0% → —% | −$584M | 75,000 | Octave Specialty Group Inc. |
| AMBQ | Exit | 0.00 pp 0.0% → —% | −$570M | 20,000 | Ambiq Micro Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$553M | 74,265 | Rlj Lodging Tr |
| — | Exit | 0.00 pp 0.0% → —% | −$540M | 72,369 | Liberty Latin America Ltd |
| ATEN | Exit | 0.00 pp 0.0% → —% | −$465M | 26,272 | A10 Networks Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$462M | 15,659 | Prog Holdings Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$459M | 193,638 | Xerox Holdings Corp. |
| — | Exit | 0.00 pp 0.0% → —% | −$445M | 20,000 | Lb Pharmaceuticals Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$409M | 20,468 | Innoviva Inc. |
| CAL | Exit | 0.00 pp 0.0% → —% | −$376M | 30,888 | Caleres Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$344M | 11,364 | Liquidity Svcs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$337M | 226,178 | Genenta Science S P A |
| — | Exit | 0.00 pp 0.0% → —% | −$296M | 105,328 | Petco Health & Wellness Co. I |
| BILI | Exit | 0.00 pp 0.0% → —% | −$280M | 11,397 | Bilibili Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$277M | 11,415 | Mgp Ingredients Inc. New |
| — | Exit | 0.00 pp 0.0% → —% | −$268M | 51,001 | Stitch Fix Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$254M | 63,454 | Evolent Health Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$248M | 4,577 | Victorias Secret And Co. |
| — | Exit | 0.00 pp 0.0% → —% | −$225M | 7,621 | Rentokil Initial PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$213M | 10,283 | James Hardie Inds PLC |
| — | Exit | 0.00 pp 0.0% → —% | −$185M | 15,527 | Semrush Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$175M | 11,457 | Xencor Inc. |
| SFM | Exit | 0.00 pp 0.0% → —% | −$173M | 15,365 | Sprout Social Inc. |
| AIRO | Exit | 0.00 pp 0.0% → —% | −$164M | 20,000 | Airo Group Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$160M | 19,431 | Star Hldgs |
| AMC | Exit | 0.00 pp 0.0% → —% | −$120M | 76,909 | Amc Entmt Hldgs Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$90M | 45,519 | Plug Power Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$52M | 10,447 | Medical Pptys Trust Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$6M | 7,213 | Opendoor Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$4M | 7,213 | Opendoor Technologies Inc. |
| — | Exit | 0.00 pp 0.0% → —% | −$3M | 7,213 | Opendoor Technologies Inc. |
No moves match this filter.
full holdings table
every line including unchanged · exportable DataTable
| Shares | Value | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Ticker | Issuer name | Class | Q1 2026 | Q4 2025 | Diff | Chg % | Q1 2026 | Q4 2025 | Diff | Chg % | ID |