Follow-The-Filings

Period over period

Norges Bank

2026 Q1 2025 Q4 · filed 11 May

1577 exits

Change periods

Norges Bank · 2026 Q1 vs 2025 Q4

later 2026 Q1 1 holdings · filed 11 May
earlier 2025 Q4 $934.8B 1,577 holdings · filed 10 Feb
activity manager legacy table URL

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.
Shares Value
Ticker Issuer name Class Q1 2026 Q4 2025 Diff Chg % Q1 2026 Q4 2025 Diff Chg % ID