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SEC FORM 13F LEDGER

Renaissance Technologies LLC reported 13F holdings, quarter ended September 30, 2025

RENAISSANCE TECHNOLOGIES LLC reported 3,457 13(f) positions held on September 30, 2025, as filed with the SEC on November 13, 2025 under accession 0001037389-25-000064.

The filing on record

Legal name as filedRENAISSANCE TECHNOLOGIES LLC
Quarter end, positions held onSeptember 30, 2025 (2025-09-30)
Filing date, reported to the SEC onNovember 13, 2025 (2025-11-13)
Form type13F-HR, 13F HOLDINGS REPORT
Snapshot revision1 of 1
Positions reported3,457
Total reported value (USD)$75,753,182,516
Completenesspositions omitted as confidential. This filing states that some positions were omitted under a confidential treatment request; the quarter is knowingly incomplete until an amendment discloses them.
Comparison basisThe immediately preceding quarter is not on record, so no comparison is published.

Reported positions

Where the two quarters cannot be compared honestly, the row says so and names the rule that withheld it. An absent security is not evidence of a sale: it may have left 13(f) scope, been granted confidential treatment, moved to a different reporting manager, or changed CUSIP in a corporate action.

Issuer as reportedTitle of classCUSIPAmount reportedReported value (USD)Reported change since the prior quarter on record
PALANTIR TECHNOLOGIES INCCL A69608A1088,565,875 shares$1,562,587,167not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NVIDIA CORPORATIONCOM67066G1045,628,605 shares$1,050,193,666not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROBLOX CORPCL A7710491036,883,545 shares$953,508,670not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED THERAPEUTICS CORP DELCOM91307C1022,173,392 shares$911,107,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERISIGN INCCOM92343E1023,170,271 shares$886,312,663not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLOVIN CORPCOM CL A03831W1081,001,432 shares$719,568,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MICROSOFT CORPCOM5949181041,318,907 shares$683,126,166not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KINROSS GOLD CORPCOM49690240426,080,330 shares$648,096,201not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXELIXIS INCCOM30161Q10415,459,266 shares$638,467,686not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANCO NEV CORPCOM3518581052,849,418 shares$635,163,766not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHABET INCCAP STK CL A02079K3052,606,747 shares$633,701,383not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GILEAD SCIENCES INCCOM3755581035,462,744 shares$606,364,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOORDASH INCCL A25809K1051,957,201 shares$532,339,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HIMS & HERS HEALTH INCCOM CL A4330001069,096,852 shares$515,973,445not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REDDIT INCCL A75734B1002,230,235 shares$512,931,748not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORCEPT THERAPEUTICS INCCOM2183521026,089,347 shares$506,085,629not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WAYFAIR INCCL A94419L1015,226,767 shares$466,907,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPOTIFY TECHNOLOGY S ASHSL8681T102657,585 shares$458,995,222not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPROUTS FMRS MKT INCCOM85208M1024,083,844 shares$444,322,227not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GE VERNOVA INCCOM36828A101716,282 shares$440,441,802not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORD MTR COCOM34537086035,105,709 shares$419,864,280not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHABET INCCAP STK CL C02079K1071,720,002 shares$418,906,551not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETSY INCCOM29786A1066,003,841 shares$398,595,004not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INCYTE CORPCOM45337C1024,528,132 shares$384,030,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARVANA COCL A1468691021,013,112 shares$382,186,371not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUTANIX INCCL A67059N1085,074,802 shares$377,514,521not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAIWAN SEMICONDUCTOR MFG LTDSPONSORED ADS8740391001,342,920 shares$375,064,127not comparableThe immediately preceding quarter is not on record, so no comparison is published.
META PLATFORMS INCCL A30303M102482,499 shares$354,337,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEUROCRINE BIOSCIENCES INCCOM64125C1092,418,297 shares$339,480,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADOBE INCCOM00724F101956,669 shares$337,464,861not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZOOM COMMUNICATIONS INCCL A98980L1014,005,148 shares$330,424,710not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CBOE GLOBAL MKTS INCCOM12503M1081,342,924 shares$329,352,111not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETFLIX INCCOM64110L106271,429 shares$325,422,732not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PURE STORAGE INCCL A74624M1023,832,712 shares$321,219,593not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IONQ INCCOM46222L1085,079,700 shares$312,401,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STERLING INFRASTRUCTURE INCCOM859241101913,354 shares$310,248,087not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AIRBNB INCCOM CL A0090661012,500,672 shares$303,631,622not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERTEX PHARMACEUTICALS INCCOM92532F100735,888 shares$288,203,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROBINHOOD MKTS INCCOM CL A7707001022,002,250 shares$286,682,155not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DROPBOX INCCL A26210C1049,384,298 shares$283,499,643not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMVAULT SYS INCCOM2041661021,428,785 shares$269,726,032not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITEDHEALTH GROUP INCCOM91324P102753,826 shares$260,296,118not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLISON TRANSMISSION HLDGS ICOM01973R1013,034,124 shares$257,536,445not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLGATE PALMOLIVE COCOM1941621033,221,249 shares$257,506,645not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COCA COLA COCOM1912161003,873,501 shares$256,893,173not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NU HLDGS LTDORD SHS CL AG6683N10316,040,371 shares$256,816,466not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEDPACE HLDGS INCCOM58506Q109493,588 shares$253,783,206not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOCUSIGN INCCOM2561631063,342,589 shares$240,967,241not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVARTIS AGSPONSORED ADR66987V1091,877,831 shares$240,813,047not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATLASSIAN CORPORATIONCL A0494681011,458,223 shares$232,878,213not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CME GROUP INCCOM12572Q105839,489 shares$226,821,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARSH & MCLENNAN COS INCCOM5717481021,120,300 shares$225,774,059not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENCENT MUSIC ENTMT GROUPSPON ADS88034P1099,596,990 shares$223,993,747not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNION PAC CORPCOM907818108945,700 shares$223,535,109not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAL MAINE FOODS INCCOM NEW1280302022,360,774 shares$222,148,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMCAST CORP NEWCL A20030N1016,964,376 shares$218,820,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL GRID PLCSPONSORED ADR NE6362744093,009,986 shares$218,735,683not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABBVIE INCCOM00287Y109928,071 shares$214,885,559not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOGITECH INTL S ASHSH504302321,958,008 shares$214,754,317not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALAMOS GOLD INC NEWCOM CL A0115321086,122,193 shares$213,419,648not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPENDOOR TECHNOLOGIES INCCOM68371210326,101,100 shares$208,025,767not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LI AUTO INCSPONSORED ADS50202M1028,131,639 shares$206,055,732not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONDAY COM LTDSHSM7S64H1061,054,290 shares$204,205,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCENTURE PLC IRELANDSHS CLASS AG1151C101819,367 shares$202,055,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVA LTDCOMM7516K103629,986 shares$201,381,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MICRON TECHNOLOGY INCCOM5951121031,199,536 shares$200,706,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERALTO CORPCOM SHS92338C1031,811,400 shares$193,113,354not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TESLA INCCOM88160R101424,490 shares$188,779,365not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALKERMES PLCSHSG017671056,292,528 shares$188,775,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LYFT INCCL A COM55087P1048,552,294 shares$188,235,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONSTER BEVERAGE CORP NEWCOM61174X1092,750,045 shares$185,105,529not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROPER TECHNOLOGIES INCCOM776696106367,700 shares$183,368,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRADEWEB MKTS INCCL A8926721061,644,820 shares$182,542,124not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERMIAN RESOURCES CORPCLASS A COM71424F10514,257,545 shares$182,496,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WYNN RESORTS LTDCOM9831341071,422,656 shares$182,484,085not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIVIAN AUTOMOTIVE INCCOM CL A76954A10312,385,110 shares$181,813,415not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRINKER INTL INCCOM1096411001,411,065 shares$178,753,714not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTUITCOM461202103257,148 shares$175,608,941not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW YORK TIMES COCL A6501111073,039,780 shares$174,483,372not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DUOLINGO INCCL A COM26603R106541,500 shares$174,276,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HONEYWELL INTL INCCOM438516106825,200 shares$173,704,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARGAN INCCOM04010E109642,079 shares$173,393,434not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW ORIENTAL ED & TECHNOLOGYSPON ADR6475812063,261,454 shares$173,085,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEABODY ENERGY CORPCOM7045511006,449,743 shares$171,047,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRISTOL-MYERS SQUIBB COCOM1101221083,667,689 shares$165,412,774not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTERA LABS INCCOM04626A103843,301 shares$165,118,336not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETEASE INCSPONSORED ADS64110W1021,083,088 shares$164,618,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROLLINS INCCOM7757111042,746,841 shares$161,349,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UBIQUITI INCCOM90353W103242,264 shares$160,034,753not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVO-NORDISK A SADR6701002052,881,996 shares$159,921,958not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOXIMITY INCCL A26622P1072,180,202 shares$159,481,776not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGENERON PHARMACEUTICALSCOM75886F107275,162 shares$154,715,338not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANALOG DEVICES INCCOM032654105613,695 shares$150,784,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOEING COCOM097023105695,600 shares$150,131,348not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARNIVAL CORPUNIT 99/99/99991436583005,185,078 shares$149,900,605not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW GOLD INC CDACOM64453510620,750,464 shares$148,988,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RYANAIR HOLDINGS PLCSPONSORED ADR7835132032,411,402 shares$145,214,628not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERDOCEO ED CORPCOM71363P1063,832,057 shares$144,315,267not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERCADOLIBRE INCCOM58733R10260,348 shares$141,038,191not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTERN DIGITAL CORPCOM9581021051,148,762 shares$137,920,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORVEL CORPCOM2210061091,774,730 shares$137,399,597not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEXAS INSTRS INCCOM882508104743,400 shares$136,584,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TKO GROUP HOLDINGS INCCL A87256C101675,854 shares$136,495,474not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOGEN INCCOM09062X103964,406 shares$135,093,992not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TARGET CORPCOM87612E1061,504,100 shares$134,917,770not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WILLIAMS SONOMA INCCOM969904101685,100 shares$133,902,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PETROLEO BRASILEIRO SA PETROSPONSORED ADR71654V40810,547,500 shares$133,531,350not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHENIERE ENERGY INCCOM NEW16411R208568,153 shares$133,504,592not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRONTDOOR INCCOM35905A1091,980,987 shares$133,300,615not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SNOWFLAKE INCCOM SHS833445109579,448 shares$130,694,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KE HLDGS INCSPONSORED ADS4824971046,844,394 shares$130,043,486not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIRTU FINL INCCL A9282541013,644,023 shares$129,362,817not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WALMART INCCOM9311421031,240,151 shares$127,809,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEAR SECURE INCCOM CL A18467V1093,813,059 shares$127,279,909not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CINEMARK HLDGS INCCOM17243V1024,506,449 shares$126,270,701not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FUTU HLDGS LTDSPON ADS CL A36118L106715,026 shares$124,350,172not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FISERV INCCOM337738108963,427 shares$124,214,643not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GALLAGHER ARTHUR J & COCOM363576109400,500 shares$124,050,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEA LTDSPONSORD ADS81141R100692,700 shares$123,806,271not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COUPANG INCCL A22266T1093,834,268 shares$123,463,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROCTER AND GAMBLE COCOM742718109802,150 shares$123,250,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MURPHY USA INCCOM626755102316,362 shares$122,830,710not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DR REDDYS LABS LTDADR2561352038,782,628 shares$122,781,139not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHUNGHWA TELECOM CO LTDSPON ADR NEW1117133Q5022,807,867 shares$122,479,159not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROKU INCCOM CL A77543R1021,222,700 shares$122,428,951not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JAZZ PHARMACEUTICALS PLCSHS USDG50871105924,874 shares$121,898,393not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTRIA GROUP INCCOM02209S1031,843,234 shares$121,764,038not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSULET CORPCOM45784P101390,893 shares$120,680,396not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENARIS S ASPONSORED ADS88031M1093,350,644 shares$119,852,536not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL BEVERAGE CORPCOM6350171063,224,666 shares$119,054,669not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SALESFORCE INCCOM79466L302500,895 shares$118,712,017not comparableThe immediately preceding quarter is not on record, so no comparison is published.
S&P GLOBAL INCCOM78409V104237,522 shares$115,604,333not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ILLUMINA INCCOM4523271091,204,942 shares$114,433,342not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAKE-TWO INTERACTIVE SOFTWARCOM874054109441,439 shares$114,050,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISTRA CORPCOM92840M102581,242 shares$113,876,933not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTEL CORPCOM4581401003,392,265 shares$113,810,565not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUMANA INCCOM444859102436,800 shares$113,642,256not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHA METALLURGICAL RESOUR ICOM020764106685,815 shares$112,535,383not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO AEROPUERTO DEL PACIFICSPON ADS B400506101469,700 shares$111,408,143not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANHATTAN ASSOCIATES INCCOM562750109542,460 shares$111,193,451not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FEDEX CORPCOM31428X106470,400 shares$110,925,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WIX COM LTDSHSM98068105616,149 shares$109,446,547not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELEFONAKTIEBOLAGET LM ERICSADR B SEK 1029482160813,148,900 shares$108,741,403not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARDINAL HEALTH INCCOM14149Y108692,300 shares$108,663,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOLLAR GEN CORP NEWCOM2566771051,050,700 shares$108,589,845not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOLLAR TREE INCCOM2567461081,142,303 shares$107,799,134not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JANUS DETROIT STR TRHENDRSON AAA CL47103U8452,122,200 shares$107,765,316not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KELLANOVACOM4878361081,309,400 shares$107,396,988not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WINMARK CORPCOM974250102214,895 shares$106,968,284not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MORNINGSTAR INCCOM617700109460,770 shares$106,903,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NIKE INCCL B6541061031,529,800 shares$106,672,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRSTSERVICE CORP NEWCOM33767E202556,040 shares$105,920,060not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CISCO SYS INCCOM17275R1021,541,505 shares$105,469,772not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COPA HOLDINGS SACL AP31076105887,428 shares$105,444,195not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TJX COS INC NEWCOM872540109723,300 shares$104,545,782not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAS VEGAS SANDS CORPCOM5178341071,941,508 shares$104,433,715not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ITAU UNIBANCO HLDG S ASPON ADR REP PFD46556210614,214,171 shares$104,332,015not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GODADDY INCCL A380237107760,900 shares$104,113,947not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VODAFONE GROUP PLC NEWSPONSORED ADR92857W3088,847,732 shares$102,633,691not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOMARIN PHARMACEUTICAL INCCOM09061G1011,893,571 shares$102,555,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DATADOG INCCL A COM23804L103711,052 shares$101,253,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROYAL CARIBBEAN GROUPCOMV7780T103309,101 shares$100,018,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARISTA NETWORKS INCCOM SHS040413205685,240 shares$99,846,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OCCIDENTAL PETE CORPCOM6745991052,082,138 shares$98,381,021not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAMESTOP CORP NEWCL A36467W1093,580,348 shares$97,671,893not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB CHARLES CORPCOM8085131051,021,841 shares$97,555,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABERCROMBIE & FITCH COCL A0028962071,136,310 shares$97,211,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTOZONE INCCOM05333210222,400 shares$96,101,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOWMET AEROSPACE INCCOM443201108489,188 shares$95,993,361not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMNICOM GROUP INCCOM6819191061,169,400 shares$95,341,182not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MCKESSON CORPCOM58155Q103122,426 shares$94,578,982not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTSEMICONDUCTR ETF92189F676289,367 shares$94,437,814not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENPHASE ENERGY INCCOM29355A1072,667,428 shares$94,400,277not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEWY INCCL A16679L1092,331,645 shares$94,315,040not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MP MATERIALS CORPCOM CL A5533681011,404,600 shares$94,206,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANDISK CORPCOM80004C200835,200 shares$93,709,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENOVUS ENERGY INCCOM15135U1095,497,187 shares$93,397,207not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMBEV SASPONSORED ADR02319V10341,653,800 shares$92,887,974not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROWN & BROWN INCCOM115236101987,000 shares$92,570,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIKING HOLDINGS LTDORD SHSG93A5A1011,476,105 shares$91,754,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTIVE CORPCOM34959J1081,834,000 shares$89,847,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOAST INCCL A8887871082,460,812 shares$89,844,246not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED STS LIME & MINERALS ICOM911922102682,662 shares$89,804,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOTOROLA SOLUTIONS INCCOM NEW620076307196,315 shares$89,772,886not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOSTON SCIENTIFIC CORPCOM101137107917,105 shares$89,536,961not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KLA CORPCOM NEW48248010082,809 shares$89,317,787not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTINET INCCOM34959E1091,060,952 shares$89,204,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DILLARDS INCCL A254067101144,100 shares$88,546,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN ELEC PWR CO INCCOM025537101786,900 shares$88,526,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERCURY GENL CORP NEWCOM5894001001,043,182 shares$88,440,970not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EOG RES INCCOM26875P101779,800 shares$87,431,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTUITIVE SURGICAL INCCOM NEW46120E602194,530 shares$86,999,652not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DEERE & COCOM244199105189,600 shares$86,696,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENMAB A/SSPONSORED ADS3723032062,821,543 shares$86,536,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PFIZER INCCOM7170811033,395,558 shares$86,518,688not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JFROG LTDORD SHSM6191J1001,817,300 shares$86,012,809not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENERAL MTRS COCOM37045V1001,407,600 shares$85,821,372not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GSK PLCSPONSORED ADR37733W2041,987,953 shares$85,800,051not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IAMGOLD CORPCOM4509131086,634,404 shares$85,782,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AFLAC INCCOM001055102765,000 shares$85,450,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONAGRA BRANDS INCCOM2058871024,623,681 shares$84,659,599not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MICROCHIP TECHNOLOGY INC.COM5950171041,309,556 shares$84,099,686not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENOVA INTL INCCOM29357K103727,537 shares$83,732,233not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNOVIVA INCCOM45781M1014,586,932 shares$83,711,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRADY CORPCL A1046741061,068,040 shares$83,339,161not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORTEVA INCCOM22052L1041,231,662 shares$83,297,301not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHUBB LIMITEDCOMH1467J104295,099 shares$83,291,693not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUPERNUS PHARMACEUTICALS INCCOM8684591081,740,622 shares$83,184,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADVANCED MICRO DEVICES INCCOM007903107523,447 shares$83,152,089not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLOROX CO DELCOM189054109670,300 shares$82,647,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DEVON ENERGY CORP NEWCOM25179M1032,347,630 shares$82,307,908not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAND CANYON ED INCCOM38526M106374,402 shares$82,188,727not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRONTIER COMMUNICATIONS PARECOM35909D1092,183,500 shares$81,553,725not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KANZHUN LIMITEDSPONSORED ADS48553T1063,479,700 shares$81,285,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAPESTRY INCCOM876030107715,900 shares$81,054,198not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIO TINTO PLCSPONSORED ADR7672041001,210,800 shares$79,924,908not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALE S ASPONSORED ADS91912E1057,357,533 shares$79,902,808not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITIGROUP INCCOM NEW172967424782,338 shares$79,407,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ON SEMICONDUCTOR CORPCOM6821891051,609,732 shares$79,375,885not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FERGUSON ENTERPRISES INCCOMMON STOCK NEW31488V107348,600 shares$78,288,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROGRESSIVE CORPCOM743315103315,500 shares$77,912,725not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMCOR PLCORDG0250X1079,475,717 shares$77,511,365not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENERAL MLS INCCOM3703341041,531,200 shares$77,203,104not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELDORADO GOLD CORP NEWCOM2849025092,667,537 shares$77,065,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAVE INCCLASS A COM NEW23834J201386,400 shares$77,028,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WINGSTOP INCCOM974155103305,746 shares$76,950,153not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TORONTO DOMINION BK ONTCOM NEW891160509960,380 shares$76,782,381not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RALPH LAUREN CORPCL A751212101242,800 shares$76,132,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QXO INCCOM NEW82846H4053,992,200 shares$76,091,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WABTECCOM929740108376,595 shares$75,496,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VENTAS INCCOM92276F1001,077,161 shares$75,390,498not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOBILEYE GLOBAL INCCOMMON CLASS A60741F1045,316,246 shares$75,065,394not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AT&T INCCOM00206R1022,619,651 shares$73,978,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EBAY INC.COM278642103808,840 shares$73,563,998not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHELL PLCSPON ADS7802593051,025,694 shares$73,367,892not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HALOZYME THERAPEUTICS INCCOM40637H1091,000,209 shares$73,355,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLIED DIGITAL CORPCOM NEW0381692073,178,300 shares$72,910,202not comparableThe immediately preceding quarter is not on record, so no comparison is published.
P T TELEKOMUNIKASI INDONESIASPONSORED ADR7156841063,870,114 shares$72,835,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLLIERS INTL GROUP INCSUB VTG SHS194693107463,300 shares$72,372,093not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATOUR LIFESTYLE HLDGS LTDSPONSORED ADS04965M1061,922,368 shares$72,261,813not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROYAL BK CDACOM780087102487,594 shares$71,832,348not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SCOTTSDALE FDSSHRT TRM CORP BD92206C409898,400 shares$71,809,112not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IISR LN ETF46138G5083,423,200 shares$71,647,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARQETA INCCLASS A COM57142B10413,529,088 shares$71,433,585not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXTRACKER INCCLASS A COM65290E101961,708 shares$71,156,775not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLOWERS FOODS INCCOM3434981015,451,164 shares$71,137,690not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLOUDFLARE INCCL A COM18915M107328,500 shares$70,492,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARM HOLDINGS PLCSPONSORED ADS042068205495,400 shares$70,094,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CATALYST PHARMACEUTICALS INCCOM14888U1013,544,830 shares$69,833,151not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUMEN TECHNOLOGIES INCCOM55024110311,302,206 shares$69,169,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NASDAQ INCCOM631103108778,300 shares$68,840,635not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUCKLE INCCOM1184401061,156,302 shares$67,828,675not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BATH & BODY WORKS INCCOM0708301042,602,233 shares$67,033,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTODESK INCCOM052769106210,568 shares$66,891,137not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROCKET COS INCCOM CL A77311W1013,431,394 shares$66,500,416not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RUBRIK INC.CL A781154109807,700 shares$66,433,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERACTIVE BROKERS GROUP INCOM CL A45841N107963,640 shares$66,308,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANHEUSER BUSCH INBEV SA/NVSPONSORED ADR03524A1081,110,174 shares$66,177,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARZETTI COMPANYCOM513847103382,980 shares$66,175,114not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UBS GROUP AGSHSH420971071,603,191 shares$65,730,831not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERONA PHARMA PLCSPONSORED ADS925050106615,900 shares$65,722,689not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY GLOBAL LTDCOM CL AG611881015,732,154 shares$65,690,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARNIVAL PLCADS14365C1032,478,100 shares$65,520,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEVRON CORP NEWCOM166764100418,548 shares$64,996,356not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERPUBLIC GROUP COS INCCOM4606901002,326,500 shares$64,932,615not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERIZON COMMUNICATIONS INCCOM92343V1041,474,089 shares$64,786,109not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WELLTOWER INCCOM95040Q104361,663 shares$64,426,647not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RELX PLCSPONSORED ADR7595301081,348,600 shares$64,409,136not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONDAS HLDGS INCCOM NEW68236H2048,338,100 shares$64,370,132not comparableThe immediately preceding quarter is not on record, so no comparison is published.
API GROUP CORPCOM STK00187Y1001,871,650 shares$64,328,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAINGER W W INCCOM38480210466,800 shares$63,657,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELADOC HEALTH INCCOM87918A1058,176,842 shares$63,206,989not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFOLIO SHORT78464A4742,072,017 shares$62,761,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOLOGIC INCCOM436440101923,690 shares$62,339,838not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROOKDALE SR LIVING INCCOM1124631047,289,320 shares$61,740,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANE TECHNOLOGIES PLCSHSG8994E103146,168 shares$61,677,049not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE CIGNA GROUPCOM125523100213,759 shares$61,616,032not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ITRON INCCOM465741106494,361 shares$61,577,606not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TUTOR PERINI CORPCOM901109108938,080 shares$61,528,667not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGNC INVT CORPCOM00123Q1046,269,129 shares$61,374,773not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOLINA HEALTHCARE INCCOM60855R100320,237 shares$61,280,552not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIGETTI COMPUTING INCCOMMON STOCK76655K1032,054,230 shares$61,195,379not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SSGA ACTIVE ETF TRBLACKSTONE SENR78467V6081,464,379 shares$60,888,879not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCORPIO TANKERS INCSHSY7542C1301,086,015 shares$60,871,141not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HELLO GROUP INCADS4234031048,173,090 shares$60,644,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAPLEBEAR INCCOM5653941031,648,453 shares$60,597,132not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BP PLCSPONSORED ADR0556221041,758,182 shares$60,586,952not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLSTATE CORPCOM020002101281,100 shares$60,338,115not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUALYS INCCOM74758T303455,700 shares$60,302,781not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PETROLEO BRASILEIRO SA PETROSP ADR NON VTG71654V1015,079,000 shares$60,033,780not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUDBAY MINERALS INCCOM4436281023,952,009 shares$59,912,456not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKYWORKS SOLUTIONS INCCOM83088M102775,883 shares$59,727,473not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMERCE BANCSHARES INCCOM200525103998,186 shares$59,651,595not comparableThe immediately preceding quarter is not on record, so no comparison is published.
T-MOBILE US INCCOM872590104246,607 shares$59,032,784not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMRIZE LTDSHSH2927K1031,215,300 shares$58,978,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DISNEY WALT COCOM254687106513,014 shares$58,740,614not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AECOMCOM00766T100449,977 shares$58,708,499not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK NOVA SCOTIA HALIFAXCOM064149107899,600 shares$58,159,140not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PILGRIMS PRIDE CORPCOM72147K1081,425,713 shares$58,055,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE CAMPBELLS COMPANYCOM1344291091,833,074 shares$57,888,477not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DNOW INCCOM67011P1003,788,914 shares$57,780,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PINTEREST INCCL A72352L1061,794,871 shares$57,741,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PTC THERAPEUTICS INCCOM69366J200927,300 shares$56,908,401not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOHNSON & JOHNSONCOM478160104306,747 shares$56,877,085not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DEXCOM INCCOM252131107841,564 shares$56,628,842not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EPR PPTYSCOM SH BEN INT26884U109975,823 shares$56,607,492not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAKEDA PHARMACEUTICAL CO LTDSPONSORED ADS8740602053,864,600 shares$56,577,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NIO INCSPON ADS62914V1067,413,440 shares$56,490,413not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERBALIFE LTDCOM SHSG4412G1016,688,468 shares$56,450,670not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WD 40 COCOM929236107285,561 shares$56,426,854not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VEEVA SYS INCCL A COM922475108188,000 shares$56,007,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLLEGIUM PHARMACEUTICAL INCCOM19459J1041,599,189 shares$55,955,623not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRSTENERGY CORPCOM3379321071,220,808 shares$55,937,423not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WATSCO INCCOM942622200138,200 shares$55,874,260not comparableThe immediately preceding quarter is not on record, so no comparison is published.
D-WAVE QUANTUM INCCOM26740W1092,253,542 shares$55,685,023not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERCONTINENTAL EXCHANGE INCOM45866F104328,839 shares$55,402,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MADRIGAL PHARMACEUTICALS INCCOM558868105120,682 shares$55,352,006not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE TRADE DESK INCCOM CL A88339J1051,127,600 shares$55,263,676not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TR0-5 YR TIPS ETF46429B747534,400 shares$55,235,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RHYTHM PHARMACEUTICALS INCCOM76243J105546,593 shares$55,200,427not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGALZOOM COM INCCOM52466B1035,309,955 shares$55,117,333not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PACIRA BIOSCIENCES INCCOM6951271002,138,201 shares$55,101,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IDT CORPCL B NEW4489475071,052,506 shares$55,056,589not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMSCOPE HLDG CO INCCOM20337X1093,550,900 shares$54,967,932not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEIDRICK & STRUGGLES INTL INCOM4228191021,096,340 shares$54,564,842not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERTIV HOLDINGS COCOM CL A92537N108358,212 shares$54,039,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PPL CORPCOM69351T1061,454,200 shares$54,038,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONOCOPHILLIPSCOM20825C104571,194 shares$54,029,240not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CELLEBRITE DI LTDORDINARY SHARESM2197Q1072,902,105 shares$53,776,006not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANNALY CAPITAL MANAGEMENT INCOM NEW0357108392,648,015 shares$53,516,383not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REX AMERICAN RES CORPCOM7616241051,741,430 shares$53,322,587not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENTERGY CORP NEWCOM29364G103572,000 shares$53,304,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIOT PLATFORMS INCCOM7672921052,799,749 shares$53,279,223not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARA HOLDINGS INCCOM5657881062,880,338 shares$52,594,972not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BJS WHSL CLUB HLDGS INCCOM05550J101560,754 shares$52,290,311not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SERVICETITAN INCSHS CL A81764X103517,500 shares$52,179,525not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALIGNMENT HEALTHCARE INCCOM01625V1042,972,500 shares$51,870,125not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZIM INTEGRATED SHIPPING SERVSHSM9T9511093,826,127 shares$51,844,021not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SSR MINING INCOM7847301032,120,543 shares$51,783,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROYAL GOLD INCCOM780287108258,042 shares$51,758,064not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTIS INCCOM3495531071,016,752 shares$51,589,996not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRA INTL INCCOM12618T105246,675 shares$51,439,138not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAREPTA THERAPEUTICS INCCOM8036071002,650,178 shares$51,068,930not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JACOBS SOLUTIONS INCCOM46982L108339,200 shares$50,832,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSMED INCCOM PAR $.01457669307352,887 shares$50,819,257not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAMACO RES INCCOM CL A75134P6001,516,304 shares$50,326,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLD FIELDS LTDSPONSORED ADR38059T1061,194,042 shares$50,102,002not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TORO COCOM891092108655,900 shares$49,979,580not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOMAD FOODS LTDUSD ORD SHSG6564A1053,797,427 shares$49,936,165not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WARRIOR MET COAL INCCOM93627C101778,981 shares$49,574,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEXAS ROADHOUSE INCCOM882681109297,572 shares$49,441,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLD DOMINION FREIGHT LINE INCOM679580100349,582 shares$49,214,154not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIMEO INCCOMMON STOCK92719V1006,342,800 shares$49,156,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OTIS WORLDWIDE CORPCOM68902V107536,900 shares$49,088,767not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ODDITY TECH LTDSHS CL AM7518J104782,000 shares$48,718,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKYWEST INCCOM830879102483,724 shares$48,672,309not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WILLIS TOWERS WATSON PLC LTDSHSG96629103140,820 shares$48,646,269not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMETEK INCCOM031100100255,950 shares$48,118,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATERA INCCOM632307104298,500 shares$48,049,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
F5 INCCOM315616102148,636 shares$48,037,669not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XYLEM INCCOM98419M100323,171 shares$47,667,723not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRSBI HEALTHCARE81369Y209341,900 shares$47,582,223not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVEREST GROUP LTDCOMG3223R108135,800 shares$47,561,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CINTAS CORPCOM172908105230,972 shares$47,409,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMGEN INCCOM031162100167,245 shares$47,196,539not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRSTCASH HOLDINGS INCCOM33768G107297,231 shares$47,087,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EZCORP INCCL A NON VTG3023011062,472,566 shares$47,077,657not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOFI TECHNOLOGIES INCCOM83406F1021,776,800 shares$46,943,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RADWARE LTDORDM818731071,765,730 shares$46,774,188not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CDW CORPCOM12514G108293,298 shares$46,716,505not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FUBOTV INCCOM35953D10411,248,700 shares$46,682,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KLAVIYO INCCOM SER A49845K1011,683,344 shares$46,611,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERFORMANCE FOOD GROUP COCOM71377A103448,007 shares$46,610,648not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DESCARTES SYS GROUP INCCOM249906108491,844 shares$46,346,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHART INDS INCCOM16115Q308231,400 shares$46,314,710not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPANHIA DE SANEAMENTO BASISPONSORED ADR20441A1021,853,695 shares$46,138,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK AMERICA CORPCOM060505104893,232 shares$46,081,589not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DTE ENERGY COCOM233331107324,600 shares$45,908,178not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CROWN HLDGS INCCOM228368106474,500 shares$45,831,955not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MELCO RESORTS AND ENTMNT LTDADR5854641004,980,700 shares$45,673,019not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TE CONNECTIVITY PLCORD SHSG87052109207,700 shares$45,596,381not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MUELLER INDS INCCOM624756102450,000 shares$45,499,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL HEALTHCARE CORPCOM635906100373,867 shares$45,428,579not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPFOLIO INCCOM CL A03783C100164,502 shares$45,346,621not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COCA COLA CONS INCCOM191098102386,770 shares$45,313,973not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TYLER TECHNOLOGIES INCCOM90225210586,600 shares$45,305,656not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PATTERSON-UTI ENERGY INCCOM7034811018,736,999 shares$45,257,655not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIQUIDITY SVCS INCCOM53635B1071,649,189 shares$45,237,254not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED PARCEL SERVICE INCCL B911312106539,726 shares$45,083,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATCH GROUP INC NEWCOM57667L1071,264,253 shares$44,653,416not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRSHT TM US TRES8085248621,821,084 shares$44,434,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRSHRT NAT MUN ETF464288158415,800 shares$44,399,124not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CF INDS HLDGS INCCOM125269100493,300 shares$44,249,010not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLDT INCSPONSORED ADR69344D4082,359,469 shares$44,122,070not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROOKFIELD RENEWABLE CORPCL A|EX SUB VTG11285B1081,279,795 shares$44,050,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGNIZANT TECHNOLOGY SOLUTIOCL A192446102656,352 shares$44,021,529not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RINGCENTRAL INCCL A76680R2061,547,600 shares$43,858,984not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HILTON WORLDWIDE HLDGS INCCOM43300A203168,700 shares$43,767,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QORVO INCCOM74736K101480,506 shares$43,764,486not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ON HLDG AGNAMEN AKT AH5919C1041,032,915 shares$43,743,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEYCORPCOM4932671082,326,151 shares$43,475,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRFLTG RATE NT ETF46429B655849,051 shares$43,373,770not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLAREDGE TECHNOLOGIES INCCOM83417M1041,171,700 shares$43,352,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
A10 NETWORKS INCCOM0021211012,386,787 shares$43,320,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMBRAER S.A.SPONSORED ADS29082A107711,900 shares$43,034,355not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRENERGY81369Y506479,569 shares$42,844,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARKETAXESS HLDGS INCCOM57060D108245,000 shares$42,691,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOMINOS PIZZA INCCOM25754A20198,628 shares$42,578,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WARNER BROS DISCOVERY INCCOM SER A9344231042,177,400 shares$42,524,622not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXELON CORPCOM30161N101944,252 shares$42,500,783not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UBER TECHNOLOGIES INCCOM90353T100433,500 shares$42,469,995not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NISOURCE INCCOM65473P105980,800 shares$42,468,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HF SINCLAIR CORPCOM403949100809,975 shares$42,394,092not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONSOLIDATED EDISON INCCOM209115104420,800 shares$42,298,816not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATEGY INCCL A NEW594972408225,730 shares$42,102,865not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IES HLDGS INCCOM44951W106105,732 shares$42,044,330not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPENG INCADS98422D1051,794,967 shares$42,038,127not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEXAS PACIFIC LAND CORPORATICOM88262P10245,004 shares$42,017,535not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEEKAY TANKERS LTDCL AG8726X106830,124 shares$41,962,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARCLAYS PLCADR06738E2042,027,986 shares$41,918,471not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRAVERE THERAPEUTICS INCCOM89422G1071,752,114 shares$41,875,525not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIAGEO PLCSPON ADR NEW25243Q205438,300 shares$41,826,969not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOX INCCL A10316T1041,293,531 shares$41,742,245not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARKEL GROUP INCCOM57053510421,781 shares$41,631,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMFORT SYS USA INCCOM19990810450,400 shares$41,589,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WAYSTAR HLDG CORPCOM9467841051,095,900 shares$41,556,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TFS FINL CORPCOM87240R1073,153,791 shares$41,551,202not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADMA BIOLOGICS INCCOM0008991042,770,442 shares$40,614,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVITATION HOMES INCCOM46187W1071,378,883 shares$40,442,638not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENWORTH FINL INCCOM SHS37247D1064,464,900 shares$39,737,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIM S ASPONSORED ADR88706T1081,765,686 shares$39,410,112not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OREILLY AUTOMOTIVE INCCOM67103H107365,210 shares$39,373,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WARBY PARKER INCCL A COM93403J1061,424,000 shares$39,273,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYMBOTIC INCCLASS A COM87151X101727,900 shares$39,233,810not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANCO DE CHILESPONSORED ADS0595201061,291,894 shares$39,144,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WARNER MUSIC GROUP CORPCOM CL A9345502031,143,600 shares$38,951,016not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RUSH STREET INTERACTIVE INCCOM7820111001,895,300 shares$38,815,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUBSPOT INCCOM44357310082,900 shares$38,780,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAYCHEX INCCOM704326107304,201 shares$38,560,519not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COINBASE GLOBAL INCCOM CL A19260Q107113,400 shares$38,271,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUMITOMO MITSUI FINL GROUP ISPONSORED ADR86562M2092,284,070 shares$38,235,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APA CORPORATIONCOM03743Q1081,573,257 shares$38,198,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRYKER CORPORATIONCOM863667101103,200 shares$38,149,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TARGA RES CORPCOM87612G101226,491 shares$37,946,302not comparableThe immediately preceding quarter is not on record, so no comparison is published.
F N B CORPCOM3025201012,349,927 shares$37,857,324not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICA MOVIL SAB DE CVSPON ADS RP CL B02390A1011,800,228 shares$37,804,788not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UFP TECHNOLOGIES INCCOM902673102189,259 shares$37,776,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIRUM PHARMACEUTICALS INCCOM604749101513,448 shares$37,640,873not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZOETIS INCCL A98978V103256,900 shares$37,589,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DYCOM INDS INCCOM267475101128,700 shares$37,549,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
US FOODS HLDG CORPCOM912008109489,200 shares$37,482,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD MALVERN FDSSTRM INFPROIDX922020805730,300 shares$36,975,089not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METLIFE INCCOM59156R108444,900 shares$36,646,413not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN PUB ED INCCOM02913V103928,220 shares$36,636,843not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TECHNIPFMC PLCCOMG87110105928,400 shares$36,625,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INMODE LTDSHSM5425M1032,454,518 shares$36,572,318not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGNA INTL INCCOM559222401770,484 shares$36,505,532not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MASTERCARD INCORPORATEDCL A57636Q10464,044 shares$36,427,389not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CREDO TECHNOLOGY GROUP HOLDIORDINARY SHARESG25457105249,138 shares$36,276,984not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAMING & LEISURE PPTYS INCCOM36467J108778,230 shares$36,273,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BALCHEM CORPCOM057665200241,600 shares$36,254,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DENISON MINES CORPCOM24835610713,169,013 shares$36,214,786not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADT INC DELCOM00090Q1034,155,206 shares$36,191,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTBLOOMBERG INVT78468R2001,171,600 shares$36,155,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUTRIEN LTDCOM67077M108614,485 shares$36,076,414not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRESHWORKS INCCLASS A COM3580541043,059,700 shares$36,012,669not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAR BULK CARRIERS CORP.SHS PARY8162K2041,932,105 shares$35,917,832not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEMPUS AI INCCL A88023B103444,300 shares$35,859,453not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SNAP INCCL A83304A1064,650,300 shares$35,853,813not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARTFORD INSURANCE GROUP INCCOM416515104267,400 shares$35,668,486not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEL FUSE INCCL B077347300252,851 shares$35,657,048not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KROGER COCOM501044101527,916 shares$35,586,818not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRANE COMPANYCOMMON STOCK224408104192,400 shares$35,428,536not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORKIVA INCCOM CL A98139A105410,511 shares$35,336,787not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BADGER METER INCCOM056525108197,200 shares$35,215,976not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARRAY TECHNOLOGIES INCCOM SHS04271T1004,313,200 shares$35,152,580not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CMS ENERGY CORPCOM125896100478,800 shares$35,076,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEEKAY CORPORATION LTDSHSG8726T1054,276,575 shares$34,982,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ITURAN LOCATION AND CONTROLSHSM6158M104976,700 shares$34,887,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HSBC HLDGS PLCSPON ADR NEW404280406490,922 shares$34,845,644not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BELDEN INCCOM077454106289,355 shares$34,800,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRISHS 1-5YR INVS464288646656,188 shares$34,797,650not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IRADIMED CORPCOM46266A109488,762 shares$34,780,304not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WHEATON PRECIOUS METALS CORPCOM962879102308,767 shares$34,532,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRIFFON CORPCOM398433102452,951 shares$34,492,219not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VICI PPTYS INCCOM9256521091,048,829 shares$34,202,314not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL BK HLDGS CORPCL A633707104882,300 shares$34,092,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MILLICOM INTL CELLULAR S ACOM STKL6388F110700,634 shares$34,008,774not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEPSICO INCCOM713448108240,570 shares$33,785,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD MUN BD FDSTAX EXEMPT BD922907746673,900 shares$33,742,173not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DHT HOLDINGS INCSHS NEWY2065G1212,823,496 shares$33,740,777not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GERDAU SASPON ADR REP PFD37373710510,857,148 shares$33,657,159not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOHNSON CTLS INTL PLCSHSG51502105305,044 shares$33,539,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UDR INCCOM902653104900,036 shares$33,535,341not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UPWORK INCCOM91688F1041,802,715 shares$33,476,418not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WASTE MGMT INC DELCOM94106L109151,500 shares$33,455,745not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOULIHAN LOKEY INCCL A441593100162,700 shares$33,405,564not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EPAM SYS INCCOM29414B104220,900 shares$33,309,511not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STURM RUGER & CO INCCOM864159108765,276 shares$33,266,548not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUARDANT HEALTH INCCOM40131M109531,847 shares$33,229,801not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENERGY FUELS INCCOM NEW2926717082,154,804 shares$33,076,241not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTONATION INCCOM05329W102150,859 shares$33,003,423not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELBIT SYS LTDORDM3760D10164,600 shares$32,933,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHORD ENERGY CORPORATIONCOM NEW674215207331,116 shares$32,902,997not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXACT SCIENCES CORPCOM30063P105601,376 shares$32,901,281not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUIDEWIRE SOFTWARE INCCOM40171V100143,100 shares$32,892,966not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FINCOME ETF46641Q159708,541 shares$32,883,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEI INVTS COCOM784117103386,926 shares$32,830,671not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROSS STORES INCCOM778296103214,633 shares$32,707,923not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK OZK LITTLE ROCK ARKCOM06417N103641,497 shares$32,703,517not comparableThe immediately preceding quarter is not on record, so no comparison is published.
H WORLD GROUP LTDSPONSORED ADS44332N106831,485 shares$32,519,378not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARPENTER TECHNOLOGY CORPCOM144285103132,400 shares$32,509,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNRUN INCCOM86771W1051,877,045 shares$32,454,108not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CVR ENERGY INCCOM12662P108886,884 shares$32,353,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPTION CARE HEALTH INCCOM NEW68404L2011,164,546 shares$32,327,797not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HESS MIDSTREAM LPCL A SHS428103105935,302 shares$32,314,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK MONTREAL QUECOM063671101247,795 shares$32,275,299not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TASEKO MINES LTDCOM8765111067,591,470 shares$32,111,918not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WILLIS LEASE FIN CORPCOM970646105233,397 shares$31,996,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STANDARDAERO INCCOM85423L1031,168,000 shares$31,874,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IONIS PHARMACEUTICALS INCCOM462222100486,714 shares$31,840,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MADISON SQUARE GRDN SPRT CORCL A55825T103140,100 shares$31,802,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FTI CONSULTING INCCOM302941109196,700 shares$31,796,555not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HORMEL FOODS CORPCOM4404521001,278,925 shares$31,640,605not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD BD INDEX FDSSHORT TRM BOND921937827400,800 shares$31,627,128not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZSCALER INCCOM98980G102105,500 shares$31,614,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAR PAC HOLDINGS INCCOM NEW69888T207891,764 shares$31,586,281not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAGAYA TECHNOLOGIES LTDCL A NEWM7S64L1231,063,685 shares$31,580,808not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RITHM CAPITAL CORPCOM NEW64828T2012,765,305 shares$31,496,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CROWN CASTLE INCCOM22822V101326,103 shares$31,465,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGIONS FINANCIAL CORP NEWCOM7591EP1001,191,721 shares$31,425,683not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MCDONALDS CORPCOM580135101103,328 shares$31,400,493not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARMONY BIOSCIENCES HLDGS INCOM4131971041,137,071 shares$31,337,677not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DYNAVAX TECHNOLOGIES CORPCOM NEW2681582013,138,547 shares$31,165,772not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARLO TECHNOLOGIES INCCOM04206A1011,835,759 shares$31,116,115not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PGIM ETF TRAAA CLO ETF69344A834604,143 shares$31,113,365not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMER SPORTS INCCOM SHSG0260P102893,600 shares$31,052,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
USANA HEALTH SCIENCES INCCOM90328M1071,125,530 shares$31,008,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OVINTIV INCCOM69047Q102766,194 shares$30,938,914not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACADIA PHARMACEUTICALS INCCOM0042251081,449,533 shares$30,933,034not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOEWS CORPCOM540424108307,300 shares$30,849,847not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPASS INCCL A20464U1003,828,200 shares$30,740,446not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXTREME NETWORKSCOM30226D1061,486,132 shares$30,688,626not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIVERSAL TECHNICAL INST INCCOM913915104941,191 shares$30,635,767not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMDEN PPTY TRSH BEN INT133131102286,800 shares$30,624,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HENRY JACK & ASSOC INCCOM426281101205,219 shares$30,563,266not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN HEALTHCARE REIT INCCOM SHS398182303726,931 shares$30,538,371not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKROCK ETF TRUST IIISHARES FLEXIBLE092528603572,653 shares$30,488,046not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN AIRLS GROUP INCCOM02376R1022,711,332 shares$30,475,372not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR GOLD TRGOLD SHS78463V10785,600 shares$30,428,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY MEDIA CORP DELCOM LBTY ONE S A531229771319,022 shares$30,377,275not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRNATIONAL MUN ETF464288414285,100 shares$30,360,299not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YELP INCCL A985817105972,400 shares$30,338,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN HOMES 4 RENTCL A02665T306908,029 shares$30,191,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUITY LIFESTYLE PPTYS INCCOM29472R108497,300 shares$30,186,110not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMITH A O CORPCOM831865209407,900 shares$29,943,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OKLO INCCOM CL A02156V109267,600 shares$29,872,188not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROOT INCCL A NEW77664L207333,616 shares$29,861,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEATHERFORD INTL PLCORD SHSG48833118435,353 shares$29,791,206not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOST HOTELS & RESORTS INCCOM44107P1041,750,178 shares$29,788,030not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEN DIGITAL INCCOM6687711081,037,338 shares$29,450,026not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVEPOINT INCCOM CL A0536041041,943,653 shares$29,174,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TREX CO INCCOM89531P105563,600 shares$29,121,212not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DELL TECHNOLOGIES INCCL C24703L202205,177 shares$29,087,943not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRIDE INCCOM86333M108194,700 shares$28,998,618not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TERADYNE INCCOM880770102210,500 shares$28,973,220not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONGODB INCCL A60937P10692,900 shares$28,834,302not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARRETT BUSINESS SVCS INCCOM068463108647,300 shares$28,688,336not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OIL DRI CORP AMERCOM677864100468,792 shares$28,615,064not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HECLA MNG COCOM4227041062,364,200 shares$28,606,820not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNCOR ENERGY INC NEWCOM867224107683,626 shares$28,582,403not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRACO INCCOM384109104336,000 shares$28,546,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECOLAB INCCOM278865100104,142 shares$28,520,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROBERT HALF INC.COM770323103836,600 shares$28,427,668not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITOL FED FINL INCCOM14057J1014,474,897 shares$28,415,596not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARWAY ENERGY INCCL A18539C1051,049,529 shares$28,263,816not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFOLIO SH TSR78468R101961,800 shares$28,199,976not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DUKE ENERGY CORP NEWCOM NEW26441C204227,850 shares$28,196,438not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FEDERATED HERMES INCCL B314211103538,351 shares$27,956,567not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DANAHER CORPORATIONCOM235851102140,736 shares$27,902,319not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORE SCIENTIFIC INC NEWCOM21874A1061,555,286 shares$27,901,831not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MASTERBRAND INCCOMMON STOCK57638P1042,113,363 shares$27,832,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IDEX CORPCOM45167R104170,425 shares$27,738,373not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERGY INCCOM30034W106364,802 shares$27,732,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAKER HUGHES COMPANYCL A05722G100564,540 shares$27,504,389not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGEND BIOTECH CORPSPONSORED ADS52490G102843,200 shares$27,496,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LPL FINL HLDGS INCCOM50212V10082,600 shares$27,480,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICOLD REALTY TRUST INCCOM03064D1082,231,800 shares$27,317,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAP INCCOM3647601081,275,407 shares$27,280,956not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUE OWL CAPITAL INCCOM CL A09581B1031,609,600 shares$27,250,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROTO LABS INCCOM743713109543,651 shares$27,198,860not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENTEX CORPCOM371901109959,296 shares$27,148,077not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXP WORLD HLDGS INCCOM30212W1002,539,816 shares$27,074,439not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGNEX CORPCOM192422103593,956 shares$26,906,207not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIZUHO FINANCIAL GROUP INCSPONSORED ADR60687Y1094,013,003 shares$26,887,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONESPAWORLD HOLDINGS LIMITEDCOMP736841131,271,640 shares$26,882,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRSBI CONS STPLS81369Y308341,600 shares$26,771,192not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENNIS INCCOM2933891021,461,946 shares$26,724,373not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGNOLIA OIL & GAS CORPCL A5596631091,116,311 shares$26,646,344not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIVE BELOW INCCOM33829M101171,600 shares$26,546,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WATTS WATER TECHNOLOGIES INCCL A94274910295,000 shares$26,531,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY GLOBAL LTDCOM CL CG611881272,255,100 shares$26,497,425not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DUTCH BROS INCCL A26701L100506,100 shares$26,489,274not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOELIS & COCL A60786M105369,444 shares$26,348,746not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANCO BRADESCO S ASP ADR PFD NEW0594603037,783,295 shares$26,307,537not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NAVITAS SEMICONDUCTOR CORPCOM63942X1063,623,900 shares$26,164,558not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BENTLEY SYS INCCOM CL B08265T208508,000 shares$26,151,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAGERDUTY INCCOM69553P1001,566,238 shares$25,874,252not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ILLINOIS TOOL WKS INCCOM45230810998,800 shares$25,763,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL SHIP LEASE INC NEWCOM CL AY27183600838,550 shares$25,743,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CURTISS WRIGHT CORPCOM23156110147,400 shares$25,735,356not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LENNOX INTL INCCOM52610710748,400 shares$25,621,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MID-AMER APT CMNTYS INCCOM59522J103183,349 shares$25,619,356not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELME COMMUNITIESSH BEN INT9396531011,514,571 shares$25,535,667not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEAR CORPCOM NEW521865204253,332 shares$25,487,733not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUNT J B TRANS SVCS INCCOM445658107189,544 shares$25,431,118not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STITCH FIX INCCOM CL A8608971075,822,958 shares$25,329,867not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YUM CHINA HLDGS INCCOM98850P109589,100 shares$25,284,172not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LENDINGTREE INC NEWCOM52603B107390,000 shares$25,244,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PUBLIC STORAGE OPER COCOM74460D10987,234 shares$25,197,541not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBANT S ACOML44385109437,900 shares$25,126,702not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANI PHARMACEUTICALS INCCOM00182C103272,902 shares$24,997,823not comparableThe immediately preceding quarter is not on record, so no comparison is published.
C H ROBINSON WORLDWIDE INCCOM NEW12541W209188,508 shares$24,958,459not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTBLOOMBERG SHT TE78468R408974,804 shares$24,954,982not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HACKETT GROUP INCCOM4046091091,312,146 shares$24,943,895not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MILLROSE PPTYS INCCOM CL A601137102742,000 shares$24,938,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGCO CORPCOM001084102232,800 shares$24,925,896not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REMITLY GLOBAL INCCOM75960P1041,529,147 shares$24,925,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTIG FLOATING RATE92189F486973,681 shares$24,897,023not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KARMAN HLDGS INCCOMMON STOCK485924104344,631 shares$24,882,358not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JBT MAREL CORPORATIONCOM477839104176,900 shares$24,845,605not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN WTR WKS CO INC NEWCOM030420103178,400 shares$24,831,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOSAIC CO NEWCOM61945C103714,980 shares$24,795,506not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DYNATRACE INCCOM NEW268150109511,658 shares$24,789,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OWENS CORNING NEWCOM690742101175,200 shares$24,783,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VITAL FARMS INCCOM92847W103601,454 shares$24,749,832not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLY FINL INCCOM02005N100630,700 shares$24,723,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLEGION PLCORD SHSG0176J109137,400 shares$24,367,890not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GARRETT MOTION INCCOM3665051051,783,400 shares$24,289,908not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JABIL INCCOM466313103111,500 shares$24,214,455not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOWNEBANK PORTSMOUTH VACOM89214P109697,494 shares$24,112,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGENCY CTRS CORPCOM758849103330,195 shares$24,071,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVIS BUDGET GROUPCOM053774105149,780 shares$24,050,924not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAPIENS INTL CORP N VSHSG7T16G103559,003 shares$24,037,129not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATLANTA BRAVES HLDGS INCCOM SER C047726302577,421 shares$24,014,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAMILTON LANE INCCL A407497106175,531 shares$23,659,823not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO AEROPORTUARIO DEL SURESPON ADR SER B40051E20273,083 shares$23,629,926not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANADIAN NATL RY COCOM136375102250,400 shares$23,612,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLOVER HEALTH INVESTMENTS COCOM CL A18914F1037,712,700 shares$23,600,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LLOYDS BANKING GROUP PLCSPONSORED ADR5394391095,170,000 shares$23,471,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRUDENTIAL FINL INCCOM744320102226,200 shares$23,465,988not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAUDER ESTEE COS INCCL A518439104264,800 shares$23,334,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOVNANIAN ENTERPRISES INCCL A NEW442487401181,415 shares$23,310,013not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRSBI INT-UTILS81369Y886266,900 shares$23,276,349not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OR ROYALTIES INC.COM SHS68390D106580,702 shares$23,274,536not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITIL CORPCOM913259107484,040 shares$23,166,154not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SNAP ON INCCOM83303410166,800 shares$23,148,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PUBLIC SVC ENTERPRISE GRP INCOM744573106277,000 shares$23,118,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMEGA HEALTHCARE INVS INCCOM681936100542,478 shares$22,903,421not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANADIAN IMPERIAL BANK OF COCOM136069101286,028 shares$22,850,777not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSATA TECHNOLOGIES HLDG PLSHSG8060N102745,300 shares$22,768,915not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMITH & WESSON BRANDS INCCOM8317541062,310,074 shares$22,708,027not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COURSERA INCCOM22266M1041,938,500 shares$22,699,835not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAL EDUCATION GROUPSPONSORED ADS8740801042,024,700 shares$22,676,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RELIANCE INCCOM75950910280,712 shares$22,666,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RUSH ENTERPRISES INCCL B781846308394,447 shares$22,649,147not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERDIGITAL INCCOM45867G10165,600 shares$22,647,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALIFORNIA RES CORPCOM STOCK13057Q305424,936 shares$22,598,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MASCO CORPCOM574599106320,500 shares$22,559,995not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLEX LNG LTDSHSG35947202894,204 shares$22,533,941not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYERS INDS INCCOM6284641091,328,997 shares$22,513,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PHIBRO ANIMAL HEALTH CORPCL A COM71742Q106555,200 shares$22,463,392not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENPACT LIMITEDSHSG3922B107532,000 shares$22,285,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOMETRUST BANCSHARES INCCOM437872104543,715 shares$22,259,692not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERCANTILE BK CORPCOM587376104490,413 shares$22,068,585not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXLSERVICE HOLDINGS INCCOM302081104501,100 shares$22,063,433not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NU SKIN ENTERPRISES INCCL A67018T1051,809,196 shares$22,054,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CUMMINS INCCOM23102110652,200 shares$22,047,714not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LATAM AIRLINES GROUP SASPONSORED ADR51817R205487,000 shares$22,036,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEMED CORP NEWCOM16359R10349,000 shares$21,939,260not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOWER SEMICONDUCTOR LTDSHS NEWM87915274303,049 shares$21,910,443not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEDIATRIX MEDICAL GROUP INCCOM58502B1061,306,000 shares$21,875,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHIPMOS TECHNOLOGIES INCSPONSORD ADS NEW16965P2021,141,590 shares$21,815,785not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PDD HOLDINGS INCSPONSORED ADS722304102164,400 shares$21,728,748not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QCR HOLDINGS INCCOM74727A104286,572 shares$21,676,306not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOOTSIE ROLL INDS INCCOM890516107515,988 shares$21,630,217not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAYONEER GLOBAL INCCOM70451X1043,566,100 shares$21,574,905not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROGYNY INCCOM74340E1031,002,509 shares$21,573,994not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARRIAGE SVCS INCCOM143905107483,900 shares$21,552,906not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THREDUP INCCL A88556E1022,280,726 shares$21,552,861not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAYTEX ENERGY CORPCOM07317Q1059,202,700 shares$21,534,318not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SLM CORPCOM78442P106775,100 shares$21,454,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELEFONICA BRASIL SASPONSORED ADS87936R2051,682,500 shares$21,451,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONEOK INC NEWCOM682680103292,507 shares$21,344,236not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMDOCS LTDSHSG02602103259,900 shares$21,324,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SILVERCORP METALS INCCOM82835P1033,372,196 shares$21,312,279not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OUSTER INCCOM NEW68989M202783,000 shares$21,180,150not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETAPP INCCOM64110D104178,680 shares$21,166,433not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TYSON FOODS INCCL A902494103389,800 shares$21,166,140not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATI INCCOM01741R102259,992 shares$21,147,749not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEACON FINANCIAL CORP.COM084680107890,798 shares$21,120,821not comparableThe immediately preceding quarter is not on record, so no comparison is published.
URBAN OUTFITTERS INCCOM917047102295,500 shares$21,107,565not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOOZ ALLEN HAMILTON HLDG CORCL A099502106208,994 shares$20,888,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MRC GLOBAL INCCOM55345K1031,448,059 shares$20,881,011not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IRHYTHM TECHNOLOGIES INCCOM450056106121,400 shares$20,879,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MR COOPER GROUP INCCOM62482R10798,699 shares$20,804,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRINKS COCOM109696104176,632 shares$20,641,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTUNE BRANDS INNOVATIONS ICOM34964C106386,500 shares$20,635,235not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCOTTS MIRACLE-GRO COCL A810186106362,200 shares$20,627,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVANTOR INCCOM05352A1001,651,100 shares$20,605,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SABRA HEALTH CARE REIT INCCOM78573L1061,103,720 shares$20,573,341not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL PRESTO INDS INCCOM637215104183,000 shares$20,523,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANDSTORM GOLD LTDCOM NEW80013R2061,625,700 shares$20,353,764not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVERY DENNISON CORPCOM053611109125,500 shares$20,352,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TANGER INCCOM875465106600,772 shares$20,330,124not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENIUS SPORTS LIMITEDSHARES CL AG3934V1091,640,700 shares$20,311,866not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RENAISSANCERE HLDGS LTDCOMG7496G10379,882 shares$20,284,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGITAL RLTY TR INCCOM253868103117,183 shares$20,258,597not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEVA PHARMACEUTICAL INDS LTDSPONSORED ADS8816242091,002,545 shares$20,251,409not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEST BUY INCCOM086516101267,800 shares$20,251,036not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPOK HLDGS INCCOM84863T1061,172,550 shares$20,226,488not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTERSPACECOM15202L107341,954 shares$20,141,091not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUE BIRD CORPCOM095306106349,840 shares$20,133,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEOPARK LTDUSD SHSG383271053,158,960 shares$20,122,575not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMBARELLA INCSHSG037AX101242,600 shares$20,019,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN RESOURCES INCCOM354613101863,600 shares$19,975,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTUNA MNG CORPCOM NEW3499421022,226,200 shares$19,946,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTOLIV INCCOM052800109161,000 shares$19,883,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEABOARD CORP DELCOM8115431075,445 shares$19,857,915not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMECO CORPCOM13321L108236,489 shares$19,831,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LSI INDS INC OHIOCOM50216C108838,492 shares$19,796,796not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STERIS PLCSHS USDG8473T10079,808 shares$19,747,692not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TITAN INTL INC ILLCOM88830M1022,602,987 shares$19,678,582not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNCOKE ENERGY INCCOM86722A1032,401,761 shares$19,598,370not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSAN S AADS22113B1034,234,182 shares$19,477,237not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICICI BANK LIMITEDADR45104G104642,550 shares$19,424,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAVA GROUP INCCOM148929102320,250 shares$19,346,302not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONARCH CASINO & RESORT INCCOM609027107182,500 shares$19,315,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIVEST FINANCIAL CORPORATIOCOM915271100643,289 shares$19,311,536not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMC ENTMT HLDGS INCCL A NEW00165C3026,640,819 shares$19,258,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEARNY FINL CORP MDCOM48716P1082,930,016 shares$19,250,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN SUPERCONDUCTOR CORPSHS NEW030111207323,989 shares$19,241,707not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UFP INDUSTRIES INCCOM90278Q108205,709 shares$19,231,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VILLAGE SUPER MKT INCCL A NEW927107409513,384 shares$19,180,026not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATURAL GROCERS BY VITAMIN CCOM63888U108478,909 shares$19,156,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST HORIZON CORPORATIONCOM320517105844,411 shares$19,092,133not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIMBACH HLDGS INCCOM53263P105195,971 shares$19,032,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HALLIBURTON COCOM406216101771,995 shares$18,991,077not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POTBELLY CORPCOM73754Y1001,112,954 shares$18,964,736not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RPM INTL INCCOM749685103160,600 shares$18,931,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLIMB GLOBAL SOLUTIONS INCCOM946760105139,696 shares$18,836,609not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRH PLCORDG25508105156,800 shares$18,800,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DANA INCCOM235825205938,000 shares$18,797,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECHOSTAR CORPCL A278768106245,587 shares$18,753,023not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INDEPENDENT BK CORP MICHCOM NEW453838609600,300 shares$18,594,295not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO AEROPORTUARIO DEL CENTSPON ADR400501102178,900 shares$18,582,343not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAL PAC FINL CORPCOM NEW154760409611,400 shares$18,549,876not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HP INCCOM40434L105681,100 shares$18,546,353not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PINNACLE WEST CAP CORPCOM723484101206,800 shares$18,541,688not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VONTIER CORPORATIONCOM928881101440,829 shares$18,501,593not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLADSTONE COMMERCIAL CORPCOM3765361081,500,954 shares$18,491,753not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PATRICK INDS INCCOM703343103178,703 shares$18,483,251not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOSTON BEER INCCL A10055710787,079 shares$18,410,242not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARGURUS INCCOM CL A141788109493,827 shares$18,385,179not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LXP INDUSTRIAL TRUSTCOM5290431012,048,382 shares$18,353,503not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTURI HOLDINGS INCCOM SHS155923105863,700 shares$18,284,529not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTHSTREAM INCCOM42222N103647,200 shares$18,276,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRIP COM GROUP LTDADS89677Q107242,912 shares$18,266,982not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AXSOME THERAPEUTICS INCCOM05464T104150,000 shares$18,217,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPOSECURE INCCOM CL A20459V105875,000 shares$18,217,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARK AEROSPACE CORPCOM70014A104893,692 shares$18,177,695not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIVERAMP HLDGS INCCOM53815P108668,100 shares$18,132,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY MEDIA CORP DELCOM LBTY ONE S C531229755173,579 shares$18,130,327not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DENTSPLY SIRONA INCCOM24906P1091,426,419 shares$18,101,257not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIMCO ETF TRMULTISECTOR BD72201R585671,209 shares$18,015,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALBERTSONS COS INCCOMMON STOCK0130911031,027,080 shares$17,984,171not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANDRIDGE ENERGY INCCOM NEW80007P8691,593,735 shares$17,977,331not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DLOCAL LTDCLASS A COMG290181011,258,900 shares$17,977,092not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WATERSTONE FINL INC MDCOM94188P1011,151,636 shares$17,965,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBE LIFE INCCOM37959E102125,200 shares$17,899,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOMURA HLDGS INCSPONSORED ADR65535H2082,457,837 shares$17,868,475not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARDMORE SHIPPING CORPCOMY0207T1001,503,657 shares$17,848,409not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUDSON TECHNOLOGIES INCCOM4441441091,796,850 shares$17,842,721not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHOALS TECHNOLOGIES GROUP INCL A82489W1072,402,500 shares$17,802,525not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KNIGHT-SWIFT TRANSN HLDGS INCL A499049104450,227 shares$17,788,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAPHIC PACKAGING HLDG COCOM388689101908,518 shares$17,779,697not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFE TIME GROUP HOLDINGS INCCOMMON STOCK53190C102641,400 shares$17,702,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOUISIANA PAC CORPCOM546347105198,700 shares$17,652,508not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADTALEM GLOBAL ED INCCOM00737L103113,900 shares$17,591,855not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFLI HIGH YLD78468R606734,100 shares$17,574,354not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCALIF MUN BD ETF464288356307,900 shares$17,562,616not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRONTLINE PLCCOMM46528101770,300 shares$17,555,137not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLIANT ENERGY CORPCOM018802108260,400 shares$17,553,564not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CULLEN FROST BANKERS INCCOM229899109138,400 shares$17,544,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADIENT PLCORD SHSG0084W101727,800 shares$17,525,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REPUBLIC SVCS INCCOM76075910076,361 shares$17,523,322not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WOODWARD INCCOM98074510369,284 shares$17,508,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIA ENERGETICA DE MINAS GERASP ADR N-V PFD2044096018,274,649 shares$17,459,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EASTMAN CHEM COCOM277432100276,440 shares$17,429,542not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRITISH AMERN TOB PLCSPONSORED ADR110448107327,099 shares$17,362,415not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANDA PHARMACEUTICALS INCCOM9216591083,476,925 shares$17,349,856not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEONARDO DRS INCCOM52661A108381,994 shares$17,342,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAREX GROUP PLCORDG5S37H101514,887 shares$17,310,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
C3 AI INCCL A12468P104980,600 shares$17,003,604not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST AMERN FINL CORPCOM31847R102264,500 shares$16,991,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATHANS FAMOUS INC NEWCOM632347100153,356 shares$16,982,643not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TERADATA CORP DELCOM88076W103788,595 shares$16,962,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TETRA TECH INC NEWCOM88162G103507,700 shares$16,947,026not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAHAM CORPCOM384556106308,668 shares$16,945,873not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IDACORP INCCOM451107106128,200 shares$16,941,630not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABCELLERA BIOLOGICS INCCOM00288U1063,360,729 shares$16,904,467not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACUITY INCCOM00508Y10249,000 shares$16,875,110not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEIS MKTS INCCOM948849104234,736 shares$16,870,476not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARHAUS INCCOM CL A04035M1021,584,800 shares$16,846,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATEGIC ED INCCOM86272C103195,518 shares$16,816,503not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAREDX INCCOM14167L1031,155,598 shares$16,802,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTHCARE RLTY TRCL A COM42226K105929,372 shares$16,756,577not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MACYS INCCOM55616P104934,064 shares$16,747,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIDGEBIO PHARMA INCCOM10806X102322,246 shares$16,737,457not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISTEON CORPCOM NEW92839U206139,600 shares$16,732,456not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLIED INDL TECHNOLOGIES INCOM03820C10563,950 shares$16,694,148not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASE TECHNOLOGY HLDG CO LTDSPONSORED ADS00215W1001,504,285 shares$16,682,521not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GARTNER INCCOM36665110762,909 shares$16,536,889not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZETA GLOBAL HOLDINGS CORPCL A98956A105829,298 shares$16,478,151not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERSOURCE ENERGYCOM30040W108231,580 shares$16,474,601not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKBERRY LTDCOM09228F1033,363,043 shares$16,411,650not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCH TRADED FD IIIPFD SECS INC ETF33739E108898,623 shares$16,390,884not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARETRUST REIT INCCOM14174T107472,500 shares$16,386,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSIENT TECHNOLOGIES CORPCOM81725T100174,400 shares$16,367,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APELLIS PHARMACEUTICALS INCCOM03753U106722,895 shares$16,359,114not comparableThe immediately preceding quarter is not on record, so no comparison is published.
USA RARE EARTH INCCOM91733P107951,400 shares$16,354,566not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECTIVE INS GROUP INCCOM816300107201,494 shares$16,335,119not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MACOM TECH SOLUTIONS HLDGS ICOM55405Y100131,215 shares$16,334,955not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSMEDICS GROUP INCCOM89377M109145,199 shares$16,291,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOISE CASCADE CO DELCOM09739D100210,249 shares$16,256,453not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOCRYST PHARMACEUTICALS INCCOM09058V1032,140,534 shares$16,246,653not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KT CORPSPONSORED ADR48268K101832,593 shares$16,235,564not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORLD GOLD TRSPDR GLD MINIS98149E303211,900 shares$16,199,755not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHWEST GAS HLDGS INCCOM844895102206,300 shares$16,161,542not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MSC INDL DIRECT INCCL A553530106175,200 shares$16,142,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AFFILIATED MANAGERS GROUP INCOM00825210867,300 shares$16,046,339not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AURINIA PHARMACEUTICALS INCCOM05156V1021,449,600 shares$16,018,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METALLUS INCCOM887399103968,833 shares$16,014,809not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALIX INCCOM13100M509260,818 shares$16,006,401not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CYTOKINETICS INCCOM NEW23282W605289,967 shares$15,936,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAVERTY FURNITURE COS INCCOM419596101724,206 shares$15,881,838not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RESMED INCCOM76115210758,000 shares$15,876,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COOPER STD HLDGS INCCOM21676P103429,500 shares$15,861,435not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEKTAR THERAPEUTICSCOM NEW640268306278,541 shares$15,848,983not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEMAITRE VASCULAR INCCOM525558201180,602 shares$15,804,481not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISHAY PRECISION GROUP INCCOM92835K103491,673 shares$15,758,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUMBLE INCCOM CL A12047B1052,584,286 shares$15,738,302not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIAMOND HILL INVT GROUP INCCOM NEW25264R207112,346 shares$15,729,563not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLOWSERVE CORPCOM34354P105295,800 shares$15,718,812not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPHASTAR PHARMACEUTICALS INCOM03209R103586,900 shares$15,640,885not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAFE BULKERS INCCOMY7388L1033,516,252 shares$15,612,159not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIMO BRANDS CORPORATIONCLASS A COM SHS741623102704,519 shares$15,569,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COUSINS PPTYS INCCOM NEW222795502536,931 shares$15,538,783not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUBLEVERIFY HLDGS INCCOM25862V1051,296,300 shares$15,529,674not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KIMBERLY-CLARK CORPCOM494368103124,800 shares$15,517,632not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REV GROUP INCCOM749527107273,500 shares$15,499,245not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PELOTON INTERACTIVE INCCL A COM70614W1001,718,900 shares$15,470,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POST HLDGS INCCOM737446104143,300 shares$15,401,884not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APTARGROUP INCCOM038336103115,100 shares$15,384,266not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POPULAR INCCOM NEW733174700121,025 shares$15,371,385not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMICUS THERAPEUTICS INCCOM03152W1091,943,171 shares$15,312,187not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANCO SANTANDER CHILE NEWSP ADR REP COM05965X109576,027 shares$15,264,716not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALBEMARLE CORPCOM012653101188,208 shares$15,259,905not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANFILIPPO JOHN B & SON INCCOM800422107236,745 shares$15,217,969not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AKAMAI TECHNOLOGIES INCCOM00971T101199,900 shares$15,144,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAL GARDEN & PET COCL A NON-VTG153527205512,175 shares$15,124,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GROUPON INCCOM NEW399473206642,413 shares$15,000,344not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PREFORMED LINE PRODS COCOM74044410476,288 shares$14,963,891not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERQUOTE INCCOM CL A30041R108653,987 shares$14,956,683not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETFS GOLD TRPHYSCL GOLD SHS00326A104405,800 shares$14,937,498not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIGBEAR AI HLDGS INCCOM08975B1092,290,451 shares$14,933,741not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HONDA MOTOR LTDADR ECH CNV IN 3438128308484,200 shares$14,913,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EOS ENERGY ENTERPRISES INCCOM CL A29415C1011,306,831 shares$14,884,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERIPRISE FINL INCCOM03076C10630,200 shares$14,835,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENUINE PARTS COCOM372460105106,500 shares$14,760,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDSENIOR LN FD33738D309321,430 shares$14,734,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PHILLIPS EDISON & CO INCCOMMON STOCK71844V201427,902 shares$14,689,876not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOODRX HLDGS INCCOM CL A38246G1083,469,338 shares$14,675,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KBR INCCOM48242W106310,100 shares$14,664,629not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALLEY NATL BANCORPCOM9197941071,381,409 shares$14,642,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REPLIGEN CORPCOM759916109109,404 shares$14,624,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMN HEALTHCARE SVCS INCCOM001744101754,900 shares$14,614,864not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAYONIER ADVANCED MATLS INCCOM75508B1042,022,244 shares$14,600,602not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STANTEC INCCOM85472N109134,100 shares$14,455,980not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHIME FINL INCCOM SHS CL A16935C109714,900 shares$14,419,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN TOWER CORP NEWCOM03027X10074,939 shares$14,412,268not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARMSTRONG WORLD INDS INC NEWCOM04247X10273,500 shares$14,406,735not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIVIA HEALTH GROUP INCCOM74276R102576,300 shares$14,349,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RLI CORPCOM749607107219,900 shares$14,341,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACK HILLS CORPCOM092113109232,500 shares$14,319,675not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHSIDE BANCSHARES INCCOM84470P109506,885 shares$14,319,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRESTIGE CONSMR HEALTHCARE ICOM74112D101229,202 shares$14,302,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHATEC HLDGS INCCOM NEW02081G201979,000 shares$14,234,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EURONET WORLDWIDE INCCOM298736109161,645 shares$14,194,047not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LSB INDS INCCOM5021601041,800,393 shares$14,187,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CTS CORPCOM126501105353,826 shares$14,131,810not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARTISAN PARTNERS ASSET MGMTCL A04316A108324,923 shares$14,101,658not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSALTA CORPCOM89346D1071,030,000 shares$14,080,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FERROGLOBE PLCSHSG338561083,087,138 shares$14,046,478not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DUCOMMUN INC DELCOM264147109146,082 shares$14,042,863not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIMEDX GROUP INCCOM6024961012,008,227 shares$14,017,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL FUEL GAS COCOM636180101151,400 shares$13,984,818not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBUS MED INCCL A379577208243,918 shares$13,969,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIGHT HORIZONS FAM SOL IN DCOM109194100128,600 shares$13,962,102not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PALO ALTO NETWORKS INCCOM69743510568,500 shares$13,947,970not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSTAMARE INCSHSY1771G1021,169,332 shares$13,926,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVOCURE LTDORD SHSG6674U1081,072,854 shares$13,861,274not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUALCOMM INCCOM74752510383,261 shares$13,851,358not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALIFORNIA WTR SVC GROUPCOM130788102301,116 shares$13,818,213not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEBRA TECHNOLOGIES CORPORATICL A98920710546,431 shares$13,797,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADEIA INCCOM00676P107820,343 shares$13,781,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGITALBRIDGE GROUP INCCL A NEW25401T6031,175,676 shares$13,755,409not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERNATIONAL SEAWAYS INCCOMY41053102296,900 shares$13,681,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HCI GROUP INCCOM40416E10371,019 shares$13,630,677not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DORMAN PRODS INCCOM25827810087,400 shares$13,623,912not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST BUSEY CORPCOM NEW319383204587,546 shares$13,601,690not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIVERR INTL LTDORD SHSM4R82T106556,299 shares$13,579,259not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK HAWAII CORPCOM062540109206,200 shares$13,534,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NAPCO SEC TECHNOLOGIES INCCOM630402105315,100 shares$13,533,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESBANCO INCCOM950810101423,147 shares$13,511,084not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEAGATE TECHNOLOGY HLDNGS PLORD SHSG7997R10357,064 shares$13,470,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHFIELD BANCORP INC DELCOM66611T1081,138,649 shares$13,436,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL INDUSTRIAL COMPANYCOM37892E102366,379 shares$13,435,118not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIGEL PHARMACEUTICALS INCCOM766559702474,209 shares$13,434,341not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASSURANT INCCOM04621X10861,900 shares$13,407,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENCO SHIPPING & TRADING LTDSHSY2685T131752,574 shares$13,395,817not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SONOS INCCOM83570H108847,400 shares$13,388,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERION NETWORK LTDSHS NEWM786731141,394,615 shares$13,388,304not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOHU COM LTDSPONSORED ADS83410S108855,673 shares$13,374,169not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE 1 5 YR USD46432F859273,100 shares$13,338,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CREDIT ACCEP CORP MICHCOM22531010128,488 shares$13,301,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STEALTHGAS INCSHSY816691062,029,276 shares$13,291,758not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAYLOCITY HLDG CORPCOM70438V10683,200 shares$13,251,264not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYNDAX PHARMACEUTICALS INCCOM87164F105860,500 shares$13,238,793not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIRRUS LOGIC INCCOM172755100105,520 shares$13,220,601not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XERIS BIOPHARMA HOLDINGS INCCOM98422E1031,622,840 shares$13,209,919not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREAT SOUTHN BANCORP INCCOM390905107215,500 shares$13,199,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRICESMART INCCOM741511109108,800 shares$13,185,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BK TECHNOLOGIES CORPORATIONCOM NEW05587G203155,722 shares$13,155,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EASTGROUP PPTYS INCCOM27727610177,700 shares$13,151,502not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPROTT INCCOM NEW852066208157,788 shares$13,126,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONE LIBERTY PPTYS INCCOM682406103591,851 shares$13,091,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOYOTA MOTOR CORPADS89233130768,500 shares$13,089,665not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMPLOYERS HLDGS INCCOM292218104308,100 shares$13,088,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CSW INDUSTRIALS INCCOM12640210653,800 shares$13,059,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYR GROUP INC DELCOM55405W10462,600 shares$13,022,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY MERRIMACK STR TRTOTAL BD ETF316188309280,700 shares$12,979,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATLANTA BRAVES HLDGS INCCOM SER A047726104285,400 shares$12,977,138not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH03938L203357,971 shares$12,940,652not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANGI INCCL A NEW00183L201794,143 shares$12,912,765not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUINOR ASASPONSORED ADR29446M102529,310 shares$12,904,578not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HALEON PLCSPON ADS4055521001,434,399 shares$12,866,559not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZILLOW GROUP INCCL A98954M101172,800 shares$12,863,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSPERITY INCCOM45778Q107261,400 shares$12,860,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UGI CORP NEWCOM902681105386,583 shares$12,857,751not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VENTURE GLOBAL INCCOM CL A92333F101904,600 shares$12,836,274not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHLUMBERGER LTDCOM STK806857108372,836 shares$12,814,373not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CASTLE BIOSCIENCES INCCOM14843C105562,600 shares$12,810,402not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UMB FINL CORPCOM902788108108,070 shares$12,790,085not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TD SYNNEX CORPORATIONCOM87162W10078,028 shares$12,777,085not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIVEO CORP CDACOM NEW17878Y207554,432 shares$12,751,936not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTERN NEW ENG BANCORP INCCOM9588921011,061,462 shares$12,748,159not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIRKENSTOCK HOLDING PLCCOM SHSM2029K104281,100 shares$12,719,775not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIAVI SOLUTIONS INCCOM9255501051,002,288 shares$12,719,035not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STATE STR CORPCOM857477103109,631 shares$12,718,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAYONIER INCCOM754907103476,950 shares$12,658,253not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UTAH MED PRODS INCCOM917488108200,914 shares$12,651,555not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHERN COPPER CORPCOM84265V105104,020 shares$12,623,867not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROADRIDGE FINL SOLUTIONS INCOM11133T10352,800 shares$12,575,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIEBOLD NIXDORF INCCOM SHS253651202220,180 shares$12,556,865not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WP CAREY INCCOM92936U109185,800 shares$12,554,506not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATMOS ENERGY CORPCOM04956010573,400 shares$12,533,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIGS INCCL A30260D1031,868,000 shares$12,496,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CUSTOMERS BANCORP INCCOM23204G100191,120 shares$12,493,514not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONSOLIDATED WATER CO INCORDG23773107353,367 shares$12,466,788not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARAVAI LIFESCIENCES HLDGS ICOM CL A56600D1074,318,089 shares$12,392,915not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANULIFE FINL CORPCOM56501R106397,624 shares$12,385,988not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCH CAP GROUP LTDORDG0450A105136,100 shares$12,348,353not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GALAPAGOS NVSPON ADR36315X101356,200 shares$12,338,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST CTZNS BANCSHARES INC DCL A31946M1036,886 shares$12,320,156not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINCOLN EDL SVCS CORPCOM533535100523,678 shares$12,306,433not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BGC GROUP INCCL A0889291041,298,348 shares$12,282,372not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEWMARKET CORPCOM65158710714,800 shares$12,257,508not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUNTSMAN CORPCOM4470111071,363,200 shares$12,241,536not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAFETY INS GROUP INCCOM78648T100173,000 shares$12,229,370not comparableThe immediately preceding quarter is not on record, so no comparison is published.
10X GENOMICS INCCL A COM88025U1091,044,921 shares$12,215,126not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESSENTIAL UTILS INCCOM29670G102305,317 shares$12,182,148not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCHINA LG-CAP ETF464287184295,000 shares$12,136,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CVS HEALTH CORPCOM126650100160,900 shares$12,130,251not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES U S ETF TRSHORT DURATION B46431W507236,100 shares$12,107,208not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADDUS HOMECARE CORPCOM006739106102,600 shares$12,105,774not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAXIMUS INCCOM577933104132,200 shares$12,079,114not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSTCO WHSL CORP NEWCOM22160K10513,024 shares$12,056,579not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTICE USA INCCL A02156K1034,995,400 shares$12,038,914not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED BANKSHARES INC WEST VCOM909907107323,033 shares$12,020,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOLE PLCORD SHSG27907107894,100 shares$12,016,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZIMMER BIOMET HOLDINGS INCCOM98956P102121,800 shares$11,997,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL VISION HLDGS INCCOM63845R107409,600 shares$11,956,224not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEXAS CAP BANCSHARES INCCOM88224Q107141,100 shares$11,927,183not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OKTA INCCL A679295105129,300 shares$11,856,810not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PHILLIPS 66COM71854610486,950 shares$11,826,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VARONIS SYS INCCOM922280102205,700 shares$11,821,579not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REVOLUTION MEDICINES INCCOM76155X100253,104 shares$11,819,957not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAKTRONICS INCCOM234264109564,413 shares$11,807,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WHITEHALL FDSEM MK GOV BD ETF921946885176,414 shares$11,802,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NRG ENERGY INCCOM NEW62937750872,800 shares$11,789,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINEAGE INCCOM53566V106304,800 shares$11,777,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSPERITY BANCSHARES INCCOM743606105177,472 shares$11,775,267not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACM RESH INCCOM CL A00108J109299,925 shares$11,736,065not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLUOR CORP NEWCOM343412102278,200 shares$11,703,874not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENVISTA HOLDINGS CORPORATIONCOM29415F104574,465 shares$11,701,852not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RCM TECHNOLOGIES INCCOM NEW749360400439,573 shares$11,670,663not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DARDEN RESTAURANTS INCCOM23719410561,300 shares$11,669,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIDDLESEX WTR COCOM596680108215,013 shares$11,636,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFEWAY FOODS INCCOM531914109417,771 shares$11,597,323not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INGREDION INCCOM45718710294,800 shares$11,576,028not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GILAT SATELLITE NETWORKS LTDSHS NEWM51474118886,584 shares$11,543,324not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO CIBEST SASPON ADS40090E106221,700 shares$11,515,098not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSPIRE MED SYS INCCOM457730109155,000 shares$11,501,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALGONQUIN PWR UTILS CORPCOM0158571052,135,192 shares$11,465,981not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMDEN NATL CORPCOM133034108296,100 shares$11,426,499not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PUMA BIOTECHNOLOGY INCCOM74587V1072,151,213 shares$11,422,941not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRISHS 5-10YR INVT464288638210,100 shares$11,364,309not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOGO INCCOM38046C1091,321,136 shares$11,348,558not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X LONG NVDA DAI38747R827121,100 shares$11,337,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALEXANDERS INCCOM01475210948,326 shares$11,331,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNOSPEC INCCOM45768S105146,500 shares$11,303,940not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGNICO EAGLE MINES LTDCOM00847410867,000 shares$11,293,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRD SLF IDX FDBULSHS 2027 CB46138J783572,900 shares$11,291,859not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENEL CHILE S.A.SPONSORED ADR29278D1052,902,388 shares$11,290,289not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANDERSONS INCCOM034164103283,376 shares$11,281,199not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTELLIA THERAPEUTICS INCCOM45826J105651,000 shares$11,242,770not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PUBMATIC INCCOM CL A74467Q1031,355,600 shares$11,224,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LANDSTAR SYS INCCOM51509810191,440 shares$11,206,886not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINCOLN ELEC HLDGS INCCOM53390010647,438 shares$11,187,304not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHINA YUCHAI INTL LTDCOMG21082105269,207 shares$11,137,094not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARLEY DAVIDSON INCCOM412822108397,900 shares$11,101,410not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFEMD INCCOM53216B1041,633,825 shares$11,093,672not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLVENTUM CORPCOM SHS83444M101151,800 shares$11,081,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOWARD HUGHES HOLDINGS INCCOM44267T102134,400 shares$11,043,648not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIQUIDIA CORPORATIONCOM NEW53635D202484,753 shares$11,023,283not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN ELEC INCCOM353514102115,600 shares$11,005,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAR GROUP L PUNIT LTD PARTNR85512C105928,445 shares$10,983,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHEAST BK PORTLAND MECOM66405S100109,645 shares$10,982,043not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRINDR INCCOM39854F101729,065 shares$10,950,556not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEDIFAST INCCOM58470H101800,910 shares$10,948,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUDSON PAC PPTYS INCCOM4440971093,966,209 shares$10,946,737not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JONES LANG LASALLE INCCOM48020Q10736,689 shares$10,943,595not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IRONWOOD PHARMACEUTICALS INCCOM CL A46333X1088,352,173 shares$10,941,347not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTREA HLDGS INCCOMMON STOCK34965K1071,295,000 shares$10,903,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIMCO ETF TRINTER MUN BD ACT72201R866208,200 shares$10,884,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUITY RESIDENTIALSH BEN INT29476L107167,200 shares$10,822,856not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANDWIDTH INCCOM CL A05988J103648,900 shares$10,817,163not comparableThe immediately preceding quarter is not on record, so no comparison is published.
1ST SOURCE CORPCOM336901103175,644 shares$10,812,645not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AKEBIA THERAPEUTICS INCCOM00972D1053,952,727 shares$10,790,945not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HELMERICH & PAYNE INCCOM423452101488,100 shares$10,782,129not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEDIAALPHA INCCL A58450V104945,100 shares$10,755,238not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TR0-5YR INVT GR CP46434V100211,300 shares$10,740,379not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETGEAR INCCOM64111Q104331,118 shares$10,724,912not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLOT LTDSHSM0854Q1051,013,199 shares$10,719,645not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTURY ALUM COCOM156431108365,099 shares$10,719,307not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUGLAS ELLIMAN INCCOM25961D1053,725,604 shares$10,655,227not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMBOTELLADORA ANDINA S ASPON ADR B29081P303447,381 shares$10,593,982not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ULTRAPAR PARTICIPACOES SASP ADR REP COM90400P1012,575,600 shares$10,559,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAMT CORPCOM693149106926,002 shares$10,556,423not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRUS TIPS ETF808524870391,000 shares$10,537,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KNOT OFFSHORE PARTNERS LPCOM UNITSY481251011,194,666 shares$10,536,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARAMOUNT GROUP INCCOM69924R1081,608,600 shares$10,520,244not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OUTFRONT MEDIA INCCOM NEW69007J304574,132 shares$10,518,098not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORE MOLDING TECHNOLOGIES INCOM218683100511,247 shares$10,506,126not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POWER SOLUTIONS INTL INCCOM NEW73933G202106,498 shares$10,460,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DRDGOLD LIMITEDSPON ADR REPSTG26152H301378,913 shares$10,457,999not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUANEX BLDG PRODS CORPCOM747619104733,891 shares$10,435,930not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENERAC HLDGS INCCOM36873610462,300 shares$10,429,020not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANGIODYNAMICS INCCOM03475V101933,383 shares$10,425,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OOMA INCCOM683416101868,803 shares$10,416,948not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVAVAX INCCOM NEW6700024011,196,750 shares$10,375,823not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORTHINGTON ENTERPRISES INCCOM981811102186,200 shares$10,332,238not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRIMAS CORPCOM NEW896215209265,900 shares$10,274,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPX TECHNOLOGIES INCCOM78473E10354,800 shares$10,235,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
O-I GLASS INCCOM67098H104786,000 shares$10,194,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIVANOVA PLCSHSG5509L101194,594 shares$10,192,834not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRINET GROUP INCCOM896288107151,800 shares$10,153,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DXP ENTERPRISES INCCOM NEW23337740785,109 shares$10,133,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NVE CORPCOM NEW629445206154,400 shares$10,077,688not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIMPLY GOOD FOODS COCOM82900L102405,800 shares$10,071,956not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASGN INCCOM00191U102212,494 shares$10,061,591not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIDARA THERAPEUTICS INCCOM NEW171757206104,260 shares$9,983,938not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICF INTL INCCOM44925C103107,500 shares$9,976,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IINATL AMT MUNI46138E537431,230 shares$9,957,101not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHNG TRADED FD VISMITH UNCONSTRAI33740F888395,200 shares$9,954,495not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXPONENT INCCOM30214U102142,800 shares$9,921,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE TOTAL USD46434V613211,800 shares$9,893,178not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FOX CORPCL A COM35137L105156,700 shares$9,881,502not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONNECTONE BANCORP INCCOM20786W107398,146 shares$9,878,002not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CBL & ASSOC PPTYS INCCOMMON STOCK124830878321,194 shares$9,822,113not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIVERSAL HEALTH RLTY INCOMESH BEN INT91359E105250,210 shares$9,800,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEALED AIR CORP NEWCOM81211K100277,100 shares$9,795,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AURORA INNOVATION INCCLASS A COM0517741071,816,800 shares$9,792,552not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTAPP INCCOM45827U109238,600 shares$9,758,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERFACE INCCOM458665304336,741 shares$9,745,285not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMKOR TECHNOLOGY INCCOM031652100343,000 shares$9,741,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CABLE ONE INCCOM12685J10554,800 shares$9,702,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLUMBIA FINL INCCOM197641103646,332 shares$9,701,443not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NAVIGATOR HLDGS LTDSHSY62132108625,920 shares$9,695,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTHPEAK PROPERTIES INCCOM42250P103505,968 shares$9,689,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAWKINS INCCOM42026110953,000 shares$9,684,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERISAFE INCCOM03071H100220,500 shares$9,666,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATMUS FILTRATION TECHNOLOGIECOM04956D107214,100 shares$9,653,769not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CELCUITY INCCOM15102K100194,800 shares$9,623,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEICO CORP NEWCOM42280610929,764 shares$9,608,414not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST INDL RLTY TR INCCOM32054K103186,100 shares$9,578,567not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVANTA INCCOM67000B10495,600 shares$9,574,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEMBINA PIPELINE CORPCOM706327103236,164 shares$9,555,195not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APARTMENT INVT & MGMT COCL A03748R7471,201,640 shares$9,529,005not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEWS CORP NEWCL A65249B109309,500 shares$9,504,745not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FEDERAL SIGNAL CORPCOM31385510879,500 shares$9,459,705not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRICO BANCSHARESCOM896095106212,443 shares$9,434,594not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREEN PLAINS INCCOM3932221041,072,929 shares$9,431,046not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMUNITY TR BANCORP INCCOM204149108168,282 shares$9,415,378not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERTEC INCCOM30040P103276,826 shares$9,351,182not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLEGIANT TRAVEL COCOM01748X102153,400 shares$9,322,118not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HILLTOP HOLDINGS INCCOM432748101278,684 shares$9,313,619not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARDELYX INCCOM0396971071,690,093 shares$9,312,412not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MITSUBISHI UFJ FINL GROUP INSPONSORED ADS606822104583,228 shares$9,296,654not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FOSTER L B COCOM350060109343,982 shares$9,270,315not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETORO GROUP LTDSHS CL AG32089107224,600 shares$9,269,242not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIDDLEBY CORPCOM59627810169,670 shares$9,261,233not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERCONTINENTAL HOTELS GROUSPONSORED ADS45857P80675,500 shares$9,155,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATRICURE INCCOM04963C209258,800 shares$9,122,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIMERICA INCCOM74164M10832,800 shares$9,104,952not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KRANESHARES TRUSTCSI CHI INTERNET500767306216,000 shares$9,074,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARTESIAN RES CORPCL A043113208278,056 shares$9,063,236not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TURNING PT BRANDS INCCOM90041L10591,552 shares$9,050,831not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK FIRST CORPCOM06211J10074,500 shares$9,037,595not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENCOMPASS HEALTH CORPCOM29261A10071,000 shares$9,018,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINDSAY CORPCOM53555510663,924 shares$8,985,157not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAUL CTRS INCCOM804395101281,654 shares$8,976,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERIDIANLINK INCCOMMON STOCK58985J105449,500 shares$8,958,535not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KRAFT HEINZ COCOM500754106343,900 shares$8,955,156not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THOR INDS INCCOM88516010186,300 shares$8,948,447not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORKDAY INCCL A98138H10137,100 shares$8,931,083not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WIPRO LTDSPON ADR 1 SH97651M1093,387,300 shares$8,908,599not comparableThe immediately preceding quarter is not on record, so no comparison is published.
U S PHYSICAL THERAPYCOM90337L108104,845 shares$8,906,583not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INFORMATION SVCS GROUP INCCOM45675Y1041,546,624 shares$8,893,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCEL ENTERTAINMENT INCCOM CL A100436Q106801,105 shares$8,868,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POWER INTEGRATIONS INCCOM739276103220,400 shares$8,862,284not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OTTER TAIL CORPCOM689648103107,910 shares$8,845,383not comparableThe immediately preceding quarter is not on record, so no comparison is published.
G WILLI FOOD INTL LTDORDM52523103430,252 shares$8,841,679not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPENLANE INCCOM48238T109307,000 shares$8,835,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STEWART INFORMATION SVCS CORCOM860372101120,200 shares$8,813,064not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TSAKOS ENERGY NAVIGATION LTDSHSG9108L173396,580 shares$8,812,008not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCHROCK INCCOM03957W106334,628 shares$8,804,063not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REALTY INCOME CORPCOM756109104144,744 shares$8,798,988not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TORM PLCSHS CL AG89479102426,425 shares$8,792,884not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAT TECHNOLOGIES LTDORD NEWM8740S227198,802 shares$8,753,252not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TABOOLA.COM LTDORD SHSM8744T1062,554,600 shares$8,711,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NVR INCCOM62944T1051,080 shares$8,677,433not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOWHEAD SPECIALTY HLDGS INCCOM SHS10240L102320,700 shares$8,671,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPRI HOLDINGS LIMITEDSHSG1890L107433,800 shares$8,641,296not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENCORA INCCOM03073E10527,600 shares$8,625,828not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMER STATES WTR COCOM029899101117,400 shares$8,607,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEAVE COMMUNICATIONS INCCOM94724R1081,286,800 shares$8,595,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FERRARI N VCOMN3167Y10317,726 shares$8,566,259not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMNICELL COMCOM68213N109280,600 shares$8,544,270not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI HONG KG ETF464286871395,700 shares$8,527,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVADEL PHARMACEUTICALS PLCCOM SHSG29687103556,100 shares$8,491,647not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATLANTICUS HOLDINGS CORPCOM04914Y102144,860 shares$8,485,899not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL NET LEASE INCCOM NEW3793782011,042,633 shares$8,476,606not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FINANCIAL INSTNS INCCOM317585404311,492 shares$8,472,582not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDFST LOW OPPT EFT33739Q200169,790 shares$8,453,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALMONT INDS INCCOM92025310121,800 shares$8,452,514not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTERRA GOLD INCCOM152006102787,000 shares$8,444,510not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENIE ENERGY LTDCL B372284208563,685 shares$8,427,091not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GALIANO GOLD INCCOM36352H1003,846,853 shares$8,424,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATURAL GAS SVCS GROUP INCCOM63886Q109300,942 shares$8,423,367not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BORGWARNER INCCOM099724106191,398 shares$8,413,856not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAIA INCCOM78709Y10528,098 shares$8,411,417not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORLD ACCEP CORPORATIONCOM98141910449,725 shares$8,410,487not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFE360 INCCOM53220610979,100 shares$8,408,330not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MORGAN STANLEY DIRECT LENDINCOM SHS61774A103522,788 shares$8,406,431not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEMPER CORPCOM488401100162,310 shares$8,367,081not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTS&P REGL BKG78464A698132,100 shares$8,361,930not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FUELCELL ENERGY INCCOM NEW35952H7001,069,000 shares$8,338,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICU MED INCCOM44930G10769,400 shares$8,325,224not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TARGET HOSPITALITY CORPCOM87615L107981,124 shares$8,319,932not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE REAL BROKERAGE INCCOM NEW75585H2061,985,800 shares$8,300,644not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFEVANTAGE CORPCOM NEW53222K205852,018 shares$8,290,135not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STARWOOD PPTY TR INCCOM85571B105426,484 shares$8,260,995not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORRSTOWN FINL SVCS INCCOM687380105242,446 shares$8,238,315not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGIONAL MGMT CORPCOM75902K106209,937 shares$8,179,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KODIAK GAS SVCS INCCOM50012A108221,122 shares$8,174,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GORMAN RUPP COCOM383082104175,815 shares$8,159,574not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CYTOMX THERAPEUTICS INCCOM23284F1052,545,260 shares$8,119,379not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALERO ENERGY CORPCOM91913Y10047,688 shares$8,119,359not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES GOLD TRISHARES NEW464285204111,400 shares$8,106,578not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN AXLE & MFG HLDGS INCOM0240611031,343,899 shares$8,076,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTSHORT DURATION F25434V864165,641 shares$7,982,240not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTOLUS THERAPEUTICS PLCSPON ADS05280R1004,881,372 shares$7,956,636not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IHS HOLDING LIMITEDORD SHSG4701H1091,161,200 shares$7,919,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES ETHEREUM TRSHS46438R105250,000 shares$7,877,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATURES SUNSHINE PRODS INCCOM639027101507,197 shares$7,871,697not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAOTU TECHEDU INCSPONSORED ADS36257Y1092,411,700 shares$7,862,142not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NERDWALLET INCCOM CL A64082B102729,100 shares$7,845,116not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOSSAMER BIO INCCOM38341P1022,980,188 shares$7,837,894not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HONEST CO INCCOM4383331062,125,100 shares$7,820,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARDAGH METAL PACKAGING S ASHSL022351061,956,332 shares$7,805,765not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORLA MNG LTD NEWCOM68634K106719,800 shares$7,773,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROASSURANCE CORPCOM74267C106323,700 shares$7,765,563not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COTY INCCOM CL A2220702031,921,630 shares$7,763,385not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALEXANDER & BALDWIN INC NEWCOM014491104426,131 shares$7,751,323not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AFYA LTDCL A COMG01125106495,070 shares$7,723,092not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KENNAMETAL INCCOM489170100368,300 shares$7,708,519not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY GOOGL 2X S25461A841122,003 shares$7,704,489not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P500 EQL WGT46137V35740,600 shares$7,701,820not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WHITEHALL FDSHIGH DIV YLD92194640654,600 shares$7,695,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WISDOMTREE INCCOM97717P104553,602 shares$7,695,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LCI INDSCOM50189K10382,600 shares$7,694,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTHIGH YLD MUNIETF92189H409150,700 shares$7,670,630not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WINNEBAGO INDS INCCOM974637100229,200 shares$7,664,448not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGIC SOFTWARE ENTERPRISES LORD559166103375,212 shares$7,658,077not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KURA ONCOLOGY INCCOM50127T109865,310 shares$7,657,994not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RMR GROUP INCCL A74967R106486,714 shares$7,656,011not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAUSCH HEALTH COS INCCOM0717341071,184,672 shares$7,641,134not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZIPRECRUITER INCCL A98980B1031,810,400 shares$7,639,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TERNIUM SASPONSORED ADS880890108219,700 shares$7,630,181not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHATHAM LODGING TRCOM16208T1021,136,175 shares$7,623,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLYWIRE CORPORATIONCOM VTG302492103562,200 shares$7,612,188not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LISTED FDS TRROUNDHILL MAGNIF53656G498117,000 shares$7,588,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYLVAMO CORPCOMMON STOCK871332102171,300 shares$7,574,886not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KODIAK SCIENCES INCCOM50015M109461,300 shares$7,551,481not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANKFINANCIAL CORPCOM06643P104626,187 shares$7,533,030not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLIENT INCCOM019330109168,222 shares$7,527,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TSS INC DELCOM87288V101415,100 shares$7,517,461not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTRONICS CORPCOM046433108164,600 shares$7,507,406not comparableThe immediately preceding quarter is not on record, so no comparison is published.
89BIO INCCOM282559103510,500 shares$7,504,350not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONOLITHIC PWR SYS INCCOM6098391058,086 shares$7,444,295not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENTHERM INCCOM37253A103218,564 shares$7,444,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLETE INCCOM NEW018522300111,999 shares$7,436,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIMBERLAND BANCORP INCCOM887098101222,989 shares$7,421,074not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WSFS FINL CORPCOM929328102137,548 shares$7,417,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RE MAX HLDGS INCCL A75524W108786,369 shares$7,415,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P 500 TOP 5046137V233128,900 shares$7,414,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GANNETT CO INCCOM36472T1091,794,324 shares$7,410,558not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RALLIANT CORPCOM750940108169,400 shares$7,407,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPPFI INCCOM CL A68386H103653,815 shares$7,407,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREEN BRICK PARTNERS INCCOM392709101100,209 shares$7,401,437not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAVERS VALUE VLG INCCOM80517M109556,622 shares$7,375,242not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZYMEWORKS INCCOM98985Y108431,700 shares$7,373,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SI-BONE INCCOM825704109499,700 shares$7,355,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YUM BRANDS INCCOM98849810148,300 shares$7,341,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAYWARD HLDGS INCCOM421298100485,447 shares$7,339,959not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VORNADO RLTY TRSH BEN INT929042109180,799 shares$7,327,783not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FREQUENCY ELECTRS INCCOM358010106216,061 shares$7,326,629not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICHOR HOLDINGSSHSG4740B105417,900 shares$7,321,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIVERSAL INS HLDGS INCCOM91359V107278,100 shares$7,314,030not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT WATER SOLUTIONS INCCL A COM81617J301682,076 shares$7,291,392not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIFIRST CORP MASSCOM90470810443,500 shares$7,272,765not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS ULTSH 20YRS74347B201214,900 shares$7,259,322not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORASURE TECHNOLOGIES INCCOM68554V1082,261,103 shares$7,258,141not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST BUSINESS FINL SVCS INCCOM319390100141,565 shares$7,256,622not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TALKSPACE INCCOM87427V1032,626,900 shares$7,250,244not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETHAN ALLEN INTERIORS INCCOM297602104246,100 shares$7,250,106not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FMC CORPCOM NEW302491303215,500 shares$7,247,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOPE BANCORP INCCOM43940T109672,028 shares$7,237,742not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRIEDMAN INDS INCCOM358435105329,882 shares$7,222,771not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGENT COMMUNICATIONS HLDGSCOM NEW19239V302187,987 shares$7,209,301not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVEANNA HEALTHCARE HLDGS INCCOM05356F105812,700 shares$7,208,649not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES BITCOIN TRUST ETFSHS BEN INT46438F101110,800 shares$7,202,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YEXT INCCOM98585N106843,100 shares$7,183,212not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SONIC AUTOMOTIVE INCCL A83545G10294,300 shares$7,175,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENABLE HLDGS INCCOM88025T102245,200 shares$7,150,032not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NACCO INDS INCCL A629579103169,518 shares$7,146,879not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICL GROUP LTDSHSM532131001,145,476 shares$7,124,861not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THOMSON REUTERS CORPCOM88490380845,795 shares$7,113,337not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVALONBAY CMNTYS INCCOM05348410136,814 shares$7,111,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRUS DIVIDEND EQ808524797260,474 shares$7,110,940not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DONEGAL GROUP INCCL A257701201365,411 shares$7,085,319not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAYSIGN INCCOM70451A1041,126,422 shares$7,085,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FUTUREFUEL CORPCOM36116M1061,824,500 shares$7,079,060not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANA BIOTECHNOLOGY INCCOM7995661041,992,500 shares$7,073,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FEDERAL AGRIC MTG CORPCL C31314830642,100 shares$7,071,958not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KINGSTONE COS INCCOM496719105480,889 shares$7,069,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENBRIER COS INCCOM393657101153,000 shares$7,064,010not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARROW FINL CORPCOM042744102249,288 shares$7,054,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETON PHARMACEUTICALS INCCOM29772L108324,621 shares$7,054,014not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALAVO GROWERS INCCOM128246105273,920 shares$7,050,701not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARS COM INCCOM14575E105573,100 shares$7,003,282not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL CITY BK GROUP INCCOM139674105166,671 shares$6,965,181not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AXALTA COATING SYS LTDCOMG0750C108243,100 shares$6,957,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SILICON LABORATORIES INCCOM82691910252,898 shares$6,936,515not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCIENCE APPLICATIONS INTL COCOM80862510769,750 shares$6,931,057not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CADRE HLDGS INCCOM12763L105189,700 shares$6,925,947not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERITAGE FINL CORP WASHCOM42722X106285,830 shares$6,914,228not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGGETT & PLATT INCCOM524660107778,300 shares$6,911,304not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JANUS DETROIT STR TRB-BBB CLO ETF47103U753143,200 shares$6,897,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SCOTTSDALE FDSVNG RUS1000GRW92206C68057,200 shares$6,892,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRS&P 100 ETF46428710120,700 shares$6,889,788not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY ENERGY INCCOM CL A53115L104556,700 shares$6,869,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERITAGE INSURANCE HLDGS INCCOM42727J102272,330 shares$6,857,269not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANGAMO THERAPEUTICS INCCOM80067710610,182,463 shares$6,856,871not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIDGEWATER BANCSHARES INCCOM108621103389,147 shares$6,848,987not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. REAL ES ETF46428773970,200 shares$6,815,016not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCONV BD ETF46435G10268,100 shares$6,813,405not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARIS LIFE SCIENCES INCCOM142152107225,100 shares$6,809,275not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTH BOW CORPCOM83671M105239,180 shares$6,766,402not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AST SPACEMOBILE INCCOM CL A00217D100137,700 shares$6,758,316not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HANESBRANDS INCCOM4103451021,025,400 shares$6,757,386not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PREFERRED BK LOS ANGELES CACOM NEW74036740474,555 shares$6,739,026not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATTEC SEC CORPCOM86311110098,906 shares$6,731,542not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONEMAIN HLDGS INCCOM68268W103118,300 shares$6,679,218not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHORE BANCSHARES INCCOM825107105406,415 shares$6,669,270not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIR BIOTECHNOLOGY INCCOM92764N1021,167,100 shares$6,664,141not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASSOCIATED BANC CORPCOM045487105259,031 shares$6,659,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WASTE CONNECTIONS INCCOM94106B10137,861 shares$6,655,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YORK WTR COCOM987184108218,736 shares$6,653,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NIAGEN BIOSCIENCE INCCOM NEW171077407713,000 shares$6,652,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J JILL INCCOM46620W201387,800 shares$6,650,770not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE DIV GRWTH46434V62197,600 shares$6,644,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPHERE ENTERTAINMENT COCL A55826T102106,735 shares$6,630,378not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONDUENT INCCOM2067871032,348,900 shares$6,576,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GIBRALTAR INDS INCCOM374689107104,600 shares$6,568,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IIVAR RATE PFD46138G870265,782 shares$6,564,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OSHKOSH CORPCOM68823920150,600 shares$6,562,820not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WISDOMTREE TRUS QTLY DIV GRT97717X66973,700 shares$6,556,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEEKR INTELLIGENT TECHNOLOGYSPON ADS98923K103214,700 shares$6,544,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VAALCO ENERGY INCCOM NEW91851C2011,622,144 shares$6,521,019not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CASELLA WASTE SYS INCCL A14744810468,642 shares$6,512,753not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARCUS CORP DELCOM566330106419,489 shares$6,506,274not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UMH PPTYS INCCOM903002103437,000 shares$6,489,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST FINANCIAL CORPORATIONCOM320218100114,973 shares$6,489,076not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVENTRUST PPTYS CORPCOM NEW46124J201225,500 shares$6,453,810not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLD REP INTL CORPCOM680223104151,385 shares$6,429,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NPK INTERNATIONAL INCCOM SHS651718504568,341 shares$6,427,937not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNODATA INCCOM NEW45764220583,354 shares$6,424,093not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEJON RANCH COCOM879080109401,648 shares$6,418,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOODYEAR TIRE & RUBR COCOM382550101857,654 shares$6,415,252not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLEXSTEEL INDS INCCOM339382103138,400 shares$6,414,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NNN REIT INCCOM637417106150,600 shares$6,411,042not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GETTY RLTY CORP NEWCOM374297109238,924 shares$6,410,331not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTWOOD HLDGS GROUP INCCOM961765104388,658 shares$6,408,970not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EUROSEAS LTDSHSY23592135107,378 shares$6,400,803not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RISKIFIED LTDSHS CL AM8216R1091,364,400 shares$6,385,392not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAY ONE BIOPHARMACEUTICALS ICOM23954D109905,476 shares$6,383,606not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HALLADOR ENERGY COMPANYCOM40609P105326,155 shares$6,382,853not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HINGE HEALTH INCCL A433313103129,700 shares$6,365,676not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARAMARKCOM03852U106165,700 shares$6,362,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DBX ETF TRXTRACK USD HIGH233051432170,900 shares$6,342,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLARITEV CORPORATIONCL A NEW62548M209119,063 shares$6,319,864not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFOLIO INTRMD78464A375186,100 shares$6,306,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NMI HLDGS INCCOM629209305164,253 shares$6,297,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOME BANCORP INCCOM43689E107115,873 shares$6,294,801not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIME MEDICINE INCCOM74168J1011,134,670 shares$6,286,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETSTREIT CORPCOM64119V303346,200 shares$6,252,372not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIZSLA SILVER CORPCOM NEW92859G6081,443,600 shares$6,236,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERIT MED SYS INCCOM58988910474,912 shares$6,234,926not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIGHT & WONDER INCCOM80874P10974,100 shares$6,219,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NLIGHT INCCOM65487K100209,900 shares$6,219,337not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HYCROFT MINING HOLDING CORPCL A NEW44862P2081,001,879 shares$6,211,650not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE S&P MCP ETF46428750795,100 shares$6,206,226not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMARTFINANCIAL INCCOM NEW83190L208172,874 shares$6,176,788not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY LATIN AMERICA LTDCOM CL CG9001E128731,600 shares$6,174,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METHANEX CORPCOM59151K108155,228 shares$6,171,865not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GCM GROSVENOR INCCOM CL A36831E108509,900 shares$6,154,493not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROVIDENT FINL SVCS INCCOM74386T105318,869 shares$6,147,794not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZTO EXPRESS CAYMAN INCSPONSORED ADS A98980A105320,000 shares$6,144,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES GOLD TRSHARES REPRESENT46436F103159,300 shares$6,133,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMERCE.COM INCCOM SER 108975P1081,228,900 shares$6,132,211not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRAWFORD & COCL B224633107625,510 shares$6,117,488not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRAVELZOOCOM NEW89421Q205621,201 shares$6,106,406not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS 1000 ETF46428762216,700 shares$6,103,516not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAIL INCCOM384747101103,100 shares$6,096,303not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLANET LABS PBCCOM CL A72703X106468,000 shares$6,074,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RENEW ENERGY GLOBAL PLCCL A SHSG7500M104788,100 shares$6,068,370not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CNB FINL CORP PACOM126128107250,145 shares$6,053,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KAMADA LTDSHSM6240T109871,979 shares$6,051,534not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLAYTIKA HLDG CORPCOM72815L1071,552,994 shares$6,041,147not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANADIAN NAT RES LTDCOM136385101188,700 shares$6,030,852not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PITNEY BOWES INCCOM724479100527,671 shares$6,020,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UP FINTECH HLDG LTDSPONSORED ADS91531W106561,400 shares$5,990,138not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHERN MO BANCORP INCCOM843380106113,734 shares$5,977,859not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INFUSYSTEM HLDGS INCCOM45685K102575,714 shares$5,964,397not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JD.COM INCSPON ADS CL A47215P106170,200 shares$5,953,596not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PENSKE AUTOMOTIVE GRP INCCOM70959W10334,200 shares$5,947,722not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENACT HLDGS INCCOM29249E109154,609 shares$5,927,709not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATWEST GROUP PLCSPONS ADR639057207417,700 shares$5,910,455not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUYA INCADS REP SHS A44852D1081,774,000 shares$5,907,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO SIMEC SAB DE C VADR400491106210,870 shares$5,904,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
C & F FINL CORPCOM12466Q10487,760 shares$5,897,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXCELERATE ENERGY INCCL A COM30069T101234,019 shares$5,894,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TR3 7 YR TREAS BD46428866149,200 shares$5,879,892not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STEELCASE INCCL A858155203341,100 shares$5,866,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPLR INFRASTRUCTURE LPCOM UNIT PART IN65341B106576,683 shares$5,864,866not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRTIPS BD ETF46428717652,700 shares$5,861,294not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FMUNICIPAL ETF46641Q647115,200 shares$5,814,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKYWARD SPECIALTY INS GROUPCOM830940102122,200 shares$5,811,832not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXPOINT RESIDENTIAL TR INCCOM65341D102179,213 shares$5,774,243not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED PARKS & RESORTS INCCOM81282V100111,600 shares$5,769,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRAWFORD & COCL A224633206539,224 shares$5,769,697not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERRIGO CO PLCSHSG97822103258,996 shares$5,767,841not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEGNA INCCOM87901J105283,600 shares$5,765,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTINTRMDT MUNI ETF92189H201123,534 shares$5,756,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DELEK US HLDGS INC NEWCOM24665A103178,069 shares$5,746,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENANTA PHARMACEUTICALS INCCOM29251M106479,600 shares$5,740,812not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POWELL INDS INCCOM73912810618,734 shares$5,710,311not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARVINAS INCCOM04335A105669,655 shares$5,705,461not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGITALOCEAN HLDGS INCCOM25402D102167,000 shares$5,704,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARROW INCCOM415858109118,117 shares$5,690,877not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SURGERY PARTNERS INCCOM86881A100262,000 shares$5,669,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALARIS LTDCL AG9460G101116,200 shares$5,667,074not comparableThe immediately preceding quarter is not on record, so no comparison is published.
H2O AMERICACOM784305104116,300 shares$5,663,810not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PALVELLA THERAPEUTICS INC NECOM69794710989,697 shares$5,623,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AKERO THERAPEUTICS INCCOM00973Y108118,100 shares$5,607,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APOGEE ENTERPRISES INCCOM037598109128,583 shares$5,602,361not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATASYS LTDSHSM85548101500,032 shares$5,600,358not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELUS INTL CDA INCSUB VTG SHS87975H1001,248,700 shares$5,594,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL BUSINESS TRAVEL GROUPCOM CL A37890B100691,620 shares$5,588,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIERRA BANCORPCOM82620P102193,212 shares$5,585,759not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRSBI MATERIALS81369Y10062,300 shares$5,583,326not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANNAE HLDGS INCCOM13765N107304,500 shares$5,575,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORECARD CORPORATIONCOM45816D100206,997 shares$5,572,359not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VILLAGE FARMS INTL INCCOM92707Y1081,776,310 shares$5,559,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEOS ETF TRUSTNEOS S&P 500 HI78433H303106,271 shares$5,557,973not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRT APARTMENTS CORPCOM055645303353,591 shares$5,537,235not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANYWHERE REAL ESTATE INCCOM75605Y106522,520 shares$5,533,487not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GROUP DIVIDEND VALUESHS CREATION UNI14020W106131,300 shares$5,518,539not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARTEN TRANS LTDCOM573075108516,897 shares$5,510,122not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CURIOSITYSTREAM INCCOM CL A23130Q1071,038,200 shares$5,502,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENTRAVISION COMMUNICATIONS CCL A29382R1072,361,250 shares$5,501,713not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UROGEN PHARMA LTDCOMM96088105275,100 shares$5,488,245not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUFAX HOLDING LTDSPONSORED ADR54975P2011,347,319 shares$5,470,115not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFLI INTRMDIT78464A672188,800 shares$5,456,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSOCEAN LTDREGISTERED SHSH8817H1001,748,245 shares$5,454,524not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPASS PATHWAYS PLCSPONSORED ADS20451W101951,200 shares$5,450,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIGLARI HLDGS INCCOM STK CL A08986R4083,518 shares$5,435,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UDEMY INCCOM902685106774,900 shares$5,432,049not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE ODP CORPCOM88337F105194,992 shares$5,430,527not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOVENTUS INCCOM CL A09075A108811,200 shares$5,426,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALAMO GROUP INCCOM01131110728,400 shares$5,421,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HANMI FINL CORPCOM NEW410495204219,552 shares$5,420,739not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY NVDA 2X SH25461A83341,100 shares$5,389,443not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDMEGA CAP VAL ETF92191084039,100 shares$5,385,634not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLOTEK INDS INC DELCOM NEW343389409368,800 shares$5,384,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXTDOOR HOLDINGS INCCOM CL A65345M1082,575,832 shares$5,383,489not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEACOAST BKG CORP FLACOM NEW811707801176,605 shares$5,374,090not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIODES INCCOM254543101100,651 shares$5,355,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DHI GROUP INCCOM23331S1001,924,929 shares$5,351,303not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RELAY THERAPEUTICS INCCOM75943R1021,023,110 shares$5,340,634not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PHOTRONICS INCCOM719405102232,293 shares$5,331,124not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNISYS CORPCOM NEW9092143061,365,580 shares$5,325,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELECTROMED INCCOM285409108216,904 shares$5,324,993not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASSURED GUARANTY LTDCOMG0585R10662,900 shares$5,324,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARBORONE BANCORP INC NEWCOM NEW41165Y100390,800 shares$5,314,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHRIM BANCORP INCCOM666762109245,150 shares$5,309,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPANHIA PARANAENSE DE ENERSPON ADS20441B605541,600 shares$5,307,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YETI HLDGS INCCOM98585X104159,200 shares$5,282,256not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IIKBW BK ETF46138E62867,300 shares$5,263,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WILLDAN GROUP INCCOM96924N10054,400 shares$5,259,936not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EGAIN CORPCOM NEW28225C806603,519 shares$5,256,650not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRICUT INCCOM CL A22658D100835,443 shares$5,254,936not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTBLOOMBERG HIGH Y78468R62253,600 shares$5,252,264not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANKWELL FINL GROUP INCCOM06654A103118,348 shares$5,236,899not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KULICKE & SOFFA INDS INCCOM501242101128,828 shares$5,235,570not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GRP FIXED INCM ETF TUS MULTI-SECTOR14020Y300188,655 shares$5,235,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVENTBRITE INCCOM CL A29975E1092,076,096 shares$5,231,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELOS CORP MDCOM87969B101761,800 shares$5,210,712not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAWAIIAN ELEC INDUSTRIESCOM419870100470,700 shares$5,196,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUNOCORE HLDGS PLCADS45258D105142,770 shares$5,186,834not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATN INTL INCCOM00215F107346,032 shares$5,180,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEFS WHSE INCCOM16308610188,771 shares$5,178,012not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENCOR INDS INCCOM368678108353,674 shares$5,174,251not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHERN FIRST BANCSHARESCOM842873101117,007 shares$5,162,349not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDMAN SACHS PHYSICAL GOLDUNIT38150K103135,400 shares$5,161,448not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO MORTGAGE CAPITAL INCCOM46131B704681,252 shares$5,150,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUAD / GRAPHICS INCCOM CL A747301109819,800 shares$5,131,948not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST BANCORP P RCOM NEW318672706232,589 shares$5,128,587not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVOLUTION PETE CORPCOM30049A1071,059,997 shares$5,109,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POSTAL REALTY TRUST INCCL A73757R102324,050 shares$5,084,344not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORTHINGTON STL INCCOM SHS982104101167,300 shares$5,084,247not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TERNS PHARMACEUTICALS INCCOM880881107676,834 shares$5,083,023not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANC OF CALIFORNIA INCCOM05990K106307,111 shares$5,082,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTHIGH DIVID ETF31609284090,800 shares$5,058,468not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TACTILE SYS TECHNOLOGY INCCOM87357P100365,200 shares$5,054,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CELLDEX THERAPEUTICS INC NEWCOM NEW15117B202194,588 shares$5,033,992not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLOCK H & R INCCOM09367110599,400 shares$5,026,658not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACME UTD CORPCOM004816104121,937 shares$5,021,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HIPPO HLDGS INCCOM NEW433539202138,804 shares$5,019,153not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TECHTARGET INCCOM NEW87874R308863,800 shares$5,018,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANIKA THERAPEUTICS INCCOM035255108533,017 shares$5,010,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BASSETT FURNITURE INDS INCCOM070203104319,361 shares$4,994,806not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANPOWERGROUP INC WISCOM56418H100131,452 shares$4,982,031not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIGLARI HLDGS INCCOM STK CL B08986R30915,376 shares$4,976,442not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEL FUSE INCCL A07734720142,753 shares$4,974,312not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BERRY CORPCOM08579X1011,315,800 shares$4,973,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAKELAND INDS INCCOM511795106335,102 shares$4,959,510not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACACIA RESH CORPACACIA TCH COM0038813071,526,000 shares$4,959,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROGERS CORPCOM77513310161,600 shares$4,956,336not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOV INCCOM62955J103372,510 shares$4,935,758not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRONOS GROUP INCCOM22717L1011,774,549 shares$4,933,246not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRESHPET INCCOM35803910589,396 shares$4,926,614not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORRESTER RESH INCCOM346563109464,606 shares$4,924,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSVALUE ETF92290874426,400 shares$4,923,336not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRIBONDS 27 ETF46435UAA9201,516 shares$4,904,899not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOLIFE SOLUTIONS INCCOM NEW09062W204192,200 shares$4,903,022not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YATSEN HLDG LTDSPONSORED ADS985194208540,707 shares$4,898,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUELINX HLDGS INCCOM NEW09624H20867,000 shares$4,896,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERITAGE COMM CORPCOM426927109488,400 shares$4,849,812not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIBANYE STILLWATER LTDSPONSORED ADR82575P107431,304 shares$4,847,857not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORUM ENERGY TECHNOLOGIES INCOM34984V209181,347 shares$4,843,778not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INOGEN INCCOM45780L104591,400 shares$4,831,738not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUPER GROUP SGHC LIMITEDORD SHSG8588X103365,601 shares$4,825,933not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARK HOTELS & RESORTS INCCOM700517105434,752 shares$4,817,052not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRFINANCIAL81369Y60589,410 shares$4,816,517not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTBBG CONV SEC ETF78464A35953,100 shares$4,805,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOYD GAMING CORPCOM10330410155,500 shares$4,797,975not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIGHTPATH TECHNOLOGIES INCCOM CL A532257805604,547 shares$4,794,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL RESH CORPCOM NEW637372202375,084 shares$4,793,574not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPS ETF TRALERIAN MLP00162Q452102,100 shares$4,791,553not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMPIRE ST RLTY TR INCCL A292104106624,400 shares$4,782,904not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLUSHING FINL CORPCOM343873105346,300 shares$4,782,403not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JANUS DETROIT STR TRHENDERSON MTG47103U852104,700 shares$4,781,649not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHINHAN FINANCIAL GROUP CO LSPN ADR RESTRD82459610094,900 shares$4,780,113not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVOLV TECHNOLOGIES HLDNGS INCOM CL A30049H102633,100 shares$4,779,905not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONSENSUS CLOUD SOLUTIONS INCOM20848V105162,400 shares$4,769,688not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRBITCOIN ETF74347G440242,300 shares$4,768,464not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERMA-PIPE INTL HLDGS INCCOM714167103203,093 shares$4,758,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI USA VALUE46432F38838,000 shares$4,751,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GRP FIXED INCM ETF TMUNICIPAL INCOME14020Y201173,200 shares$4,726,628not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASPEN INSURANCE HOLDINGS LTDORD SHS CL AG05384501128,700 shares$4,724,577not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLAUKOS CORPCOM37732210257,892 shares$4,721,093not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARWAY ENERGY INCCL C18539C204167,078 shares$4,719,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRAINSWAY LTDSPONSORED ADS10501L106313,160 shares$4,719,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SFL CORPORATION LTDSHSG7738W106626,297 shares$4,716,016not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAKEMYTRIP LIMITED MAURITIUSSHSV5633W10950,267 shares$4,704,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SERIES PORTFOLIOS TRELDRIDGE BBB B81752T528175,332 shares$4,702,404not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHURCHILL DOWNS INCCOM17148410848,450 shares$4,700,135not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLUMBIA SPORTSWEAR COCOM19851610689,602 shares$4,686,185not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AURORA CANNABIS INCCOM05156X850786,055 shares$4,684,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VTEXSHS CL AG9470A1021,069,600 shares$4,684,848not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK ETF TRNEXT GNRTN INTER00214Q40126,800 shares$4,679,548not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPERI INCCOMMON STOCK98423J101721,883 shares$4,677,802not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETF OPPORTUNITIES TRUSTT REX 2X LONG26923N819244,300 shares$4,666,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTFALLEN ANGEL HG92189F437156,700 shares$4,658,691not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FONAR CORPCOM NEW344437405308,616 shares$4,647,757not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PENNANT GROUP INCCOM70805E109183,700 shares$4,632,914not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SCOTTSDALE FDSVNG RUS1000VAL92206C71451,800 shares$4,629,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEANERGY MARITIME HLDGS CORPSHSY73760400559,700 shares$4,623,122not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RED ROCK RESORTS INCCL A75700L10875,700 shares$4,622,242not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEGG INCCOM1630921093,056,090 shares$4,614,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KELLY SVCS INCCL A488152208350,908 shares$4,603,913not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOK FINL CORPCOM NEW05561Q20141,277 shares$4,599,909not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEAR CHANNEL OUTDOOR HLDGSCOM18453H1062,907,204 shares$4,593,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BITCOIN DEPOT INCCOM09174P1051,365,731 shares$4,588,856not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMERGENT BIOSOLUTIONS INCCOM29089Q105518,247 shares$4,570,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANNKIND CORPCOM NEW56400P706850,797 shares$4,568,780not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAG INDL INCCOM85254J102129,300 shares$4,562,997not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WYNDHAM HOTELS & RESORTS INCCOM98311A10557,100 shares$4,562,290not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGG MASON ETF INVTFRANKLIN INTL LW52468L505131,221 shares$4,559,930not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRUKER CORPCOM116794108139,610 shares$4,535,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPO INCCOM98379310035,020 shares$4,527,035not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORION PROPERTIES INCCOM68629Y1031,671,600 shares$4,513,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FS BANCORP INCCOM30263Y104112,985 shares$4,510,361not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IQIYI INCSPONSORED ADS46267X1081,759,600 shares$4,504,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMAX CORPCOM45245E109137,400 shares$4,499,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTAMERICA BANCORPORATIONCOM95709010389,531 shares$4,475,655not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEWAUNEE SCIENTIFIC CORPCOM492854104104,911 shares$4,474,454not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JANUS INTERNATIONAL GROUP INCOMMON STOCK47103N106452,500 shares$4,466,175not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY LATIN AMERICA LTDCOM CL AG9001E102534,800 shares$4,433,492not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EDITAS MEDICINE INCCOM28106W1031,277,400 shares$4,432,578not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE HIGH DV ETF46429B66336,100 shares$4,420,445not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVIAT NETWORKS INCCOM NEW05366Y201192,580 shares$4,415,859not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIME CMNTY BANCSHARES INCCOM25432X102147,316 shares$4,394,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOURMALINE BIO INCCOM89157D10591,850 shares$4,393,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK MERK GOLD ETFGOLD SHS921078101117,600 shares$4,373,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DYNE THERAPEUTICS INCCOM26818M108345,500 shares$4,370,575not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FOSSIL GROUP INCCOM34988V1061,692,485 shares$4,349,686not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLAPLEX HLDGS INCCOM6793691083,319,500 shares$4,348,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRUS LCAP VA ETF808524409148,800 shares$4,331,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
3-D SYS CORP DELCOM NEW88554D2051,492,205 shares$4,327,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PC CONNECTION INCCOM69318J10069,800 shares$4,326,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST UTD CORPCOM33741H107117,595 shares$4,323,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRUCTURE THERAPEUTICS INCSPONSORED ADS86366E106153,900 shares$4,309,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STANDARD LITHIUM LTDCOM8536061011,275,711 shares$4,299,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CMB.TECH NVSHSB38564108457,200 shares$4,293,108not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPANIA CERVECERIAS UNIDASSPONSORED ADR204429104351,965 shares$4,265,816not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KRONOS WORLDWIDE INCCOM50105F105743,088 shares$4,265,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGNYTE SOFTWARE LTDORD SHSM25133105506,911 shares$4,258,052not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JELD-WEN HLDG INCCOM47580P103866,900 shares$4,256,479not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTEC INDS INCCOM04622410188,245 shares$4,247,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST HAWAIIAN INCCOM32051X108170,500 shares$4,233,515not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELIS INSURANCE HOLDINGS LCOMG3398L118233,040 shares$4,229,676not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CVB FINL CORPCOM126600105223,388 shares$4,224,267not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTH AMERN CONSTR GROUP LTDCOM656811106296,400 shares$4,208,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUZANO S ASPON ADS86959K105447,700 shares$4,208,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HORACE MANN EDUCATORS CORP NCOM44032710493,100 shares$4,205,327not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAKOTA GOLD CORPCOM46655E100922,987 shares$4,199,591not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROUNDHILL ETF TRUSTINNOVATION 100 O77926X304117,800 shares$4,193,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RF INDS LTDCOM PAR $0.01749552105508,608 shares$4,185,844not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADAPTIVE BIOTECHNOLOGIES CORCOM00650F109279,700 shares$4,184,312not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INDEPENDENT BK CORP MASSCOM45383610860,490 shares$4,184,093not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TR20YR TRES BEAR25460G849119,000 shares$4,169,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE S&P US GWT46428767125,300 shares$4,162,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIANT TECHNOLOGY INCCOM CL A92557A101481,117 shares$4,152,040not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCURAY INCCOM0043971052,484,284 shares$4,148,754not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X SHORT NVDA DA38747R629475,600 shares$4,137,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCOSA INCCOM03965310044,100 shares$4,132,611not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEARSON PLCSPONSORED ADR705015105291,000 shares$4,120,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IBOTTA INCCLASS A COM SHS451051106147,800 shares$4,116,230not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSREAL ESTATE ETF92290855345,000 shares$4,113,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRUSTMARK CORPCOM898402102103,462 shares$4,097,095not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNOVATIVE SOLUTIONS & SUPPOCOM45769N105326,959 shares$4,083,718not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY MEDIA CORP DELCOM LBTY LIV S C53122972242,000 shares$4,072,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONCENTRA GROUP HOLDINGS PARCOMMON STOCK20603L102194,036 shares$4,061,173not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTEST CORPCOM461147100519,937 shares$4,060,708not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GULF IS FABRICATION INCCOM402307102578,226 shares$4,059,147not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRADED FDRISNG DIVD ACHIV33738R50660,300 shares$4,055,778not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN COASTAL INS CORPCOM910710102355,057 shares$4,044,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEST BANCORPORATION INCCAP STK95123P106198,752 shares$4,038,641not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANCHESTER UTD PLC NEWORD CL AG5784H106266,627 shares$4,036,733not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERFORMANT HEALTHCARE INCCOM71377E105520,963 shares$4,027,044not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LADDER CAP CORPCL A505743104369,093 shares$4,026,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BICYCLE THERAPEUTICS PLCSPONSORED ADS088786108518,700 shares$4,014,738not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTMSCI ENERGY IDX316092402161,600 shares$3,994,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTESSA PHARMACEUTICALS PLCSPONSORED ADS152309100164,600 shares$3,991,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KINGSWAY FINL SVCS INCCOM NEW496904202271,415 shares$3,968,087not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRISHARES BIOTECH46428755627,482 shares$3,967,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSMID CAP ETF92290862913,500 shares$3,965,490not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESPEY MFG & ELECTRS CORPCOM296650104100,065 shares$3,963,575not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCO BRANDS CORPCOM00081T108992,047 shares$3,958,268not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPIRIT AEROSYSTEMS HLDGS INCCOM CL A848574109102,300 shares$3,948,780not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERPETUA RESOURCES CORPCOM714266103194,693 shares$3,938,639not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASSEMBLY BIOSCIENCES INCCOM NEW045396207153,611 shares$3,932,442not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORECIVIC INCCOM21871N101193,103 shares$3,929,646not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MISSION PRODUCE INCCOM60510V108326,000 shares$3,918,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMCOR GROUP INCCOM29084Q1006,000 shares$3,897,240not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS HIGH PROFITAB25434V831103,100 shares$3,894,087not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGI INTL INCCOM253798102106,184 shares$3,871,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BACKBLAZE INCCOM CL A05637B105416,816 shares$3,868,052not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRINT-TRM U.S TRES808524854153,900 shares$3,867,507not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDLY FIN BULL NEW25459Y69421,700 shares$3,860,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUARDIAN PHARMACY SVCS INCCL A40145W101146,600 shares$3,845,318not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIMORIS SVCS CORPCOM74164F10327,991 shares$3,844,004not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVOLUS INCCOM30052C107626,000 shares$3,843,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE S&P US VLU46428766338,300 shares$3,828,085not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PURSUIT ATTRACTIONS AND HOSPCOM92552R406105,500 shares$3,816,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRUECAR INCCOM89785L1072,072,201 shares$3,812,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTORS TITLE CO NCCOM46180410614,147 shares$3,788,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARMADA HOFFLER PPTYS INCCOM04208T108539,809 shares$3,784,061not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANAPTYSBIO INCCOM032724106123,300 shares$3,775,446not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTER & CO INCCLASS A COMG4R20B107406,450 shares$3,766,863not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAKELAND FINL CORPCOM51165610058,622 shares$3,763,532not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VICTORY PORTFOLIOS IISHARES FREE CASH92647X83099,900 shares$3,746,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDENERGY ETF92204A30629,700 shares$3,738,042not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI ACWI ETF46428825726,800 shares$3,704,832not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RICHARDSON ELECTRS LTDCOM763165107377,077 shares$3,691,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRYOPORT INCCOM PAR $0.001229050307389,210 shares$3,689,711not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MACERICH COCOM554382101202,587 shares$3,687,083not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RYERSON HLDG CORPCOM783754104160,556 shares$3,670,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INGEVITY CORPCOM45688C10766,300 shares$3,659,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENECA FOODS CORP NEWCL A81707050133,897 shares$3,658,842not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WAFD INCCOM938824109120,729 shares$3,656,881not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BURFORD CAP LTDORD SHSG17977110305,700 shares$3,656,172not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MGE ENERGY INCCOM55277P10443,400 shares$3,653,412not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRFUNDAMENTAL US L808524771138,800 shares$3,650,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN BSP RLTY TR INCCOMMON STOCK35243J101335,239 shares$3,640,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI EMRG CHN46434G76453,800 shares$3,632,038not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERIS RESIDENTIAL INCCOM554489104238,800 shares$3,629,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROTHENA CORP PLCSHSG72800108371,300 shares$3,623,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRIPLE FLAG PRECIOUS METALCOM89679M104123,500 shares$3,613,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JAKKS PAC INCCOM NEW47012E403192,514 shares$3,605,787not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IBEX LTDSHS NEWG4690M10188,900 shares$3,602,228not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERON THERAPEUTICS INCCOM4277461022,854,999 shares$3,597,299not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLOGENE THERAPEUTICS INCCOM0197701062,893,812 shares$3,588,327not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TR1000 INDEX ETF808524722111,600 shares$3,584,592not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROVIDENT FINL HLDGS INCCOM743868101227,147 shares$3,577,565not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEVELAND-CLIFFS INC NEWCOM185899101292,659 shares$3,570,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOHNSON OUTDOORS INCCL A47916710888,300 shares$3,566,437not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATEA PHARMACEUTICALS INCCOM04683R1061,227,900 shares$3,560,910not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIANA SHIPPING INCCOMY2066G1042,115,413 shares$3,553,894not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CSP INCCOM126389105306,526 shares$3,540,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTL GNRL INSURANCE HLDNGS LSHSG4809J106152,500 shares$3,538,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD BD INDEX FDSTOTAL BND MRKT92193783547,500 shares$3,532,575not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LATHAM GROUP INCCOM51819L107464,000 shares$3,531,040not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOCEBO INCCOM25609L105129,133 shares$3,529,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHEAST CMNTY BANCORP INCCOM664121100171,400 shares$3,525,698not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAR HBR BANKSHARESCOM066849100115,688 shares$3,523,856not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASCENT INDUSTRIES COCOM871565107273,300 shares$3,520,104not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZENTALIS PHARMACEUTICALS INCCOM98943L1072,325,355 shares$3,511,286not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KINDLY MD INCCOM49457M1063,268,900 shares$3,497,723not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAN TIERRA ENERGY INCCOM38500T200799,880 shares$3,479,478not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMPING WORLD HLDGS INCCL A13462K109220,300 shares$3,478,537not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DORIAN LPG LTDSHS USDY2106R110116,700 shares$3,477,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VICTORY CAP HLDGS INCCOM CL A92645B10353,600 shares$3,471,136not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX ULTRA O88636J527634,200 shares$3,469,074not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORGANOGENESIS HLDGS INCCOM68621F102821,500 shares$3,466,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOLBY LABORATORIES INCCOM CL A25659T10747,900 shares$3,466,523not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COREBRIDGE FINL INCCOM21871X109107,800 shares$3,454,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENTRADA THERAPEUTICS INCCOM29384C108594,300 shares$3,446,940not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EL POLLO LOCO HLDGS INCCOM268603107355,000 shares$3,443,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J & J SNACK FOODS CORPCOM46603210935,706 shares$3,430,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BJS RESTAURANTS INCCOM09180C106112,329 shares$3,429,404not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI BRAZIL ETF464286400110,500 shares$3,425,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
Q2 HLDGS INCCOM74736L10947,300 shares$3,424,047not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKILLZ INCCOM CL A83067L208427,025 shares$3,416,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COHEN & STEERS INCCOM19247A10052,012 shares$3,412,507not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARMONIC INCCOM413160102334,786 shares$3,408,121not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIMILARWEB LTDSHSM84137104363,973 shares$3,384,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EAST WEST BANCORP INCCOM27579R10431,733 shares$3,377,978not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KFORCE INCCOM493732101112,649 shares$3,377,217not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLEXIBLE SOLUTIONS INTL INCCOM33938T104350,245 shares$3,376,362not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAMAS CREATIONS INCCOM56146T103321,100 shares$3,374,761not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FOX FACTORY HLDG CORPCOM35138V102138,893 shares$3,373,711not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTEGER HLDGS CORPCOM45826H10932,500 shares$3,358,225not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUINSTREET INCCOM74874Q100216,700 shares$3,352,349not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRESG AWR MSCI USA46435G42523,000 shares$3,348,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGENT BIOSCIENCES INCCOM19240Q201232,968 shares$3,345,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DINGDONG CAYMAN LTDADS25445D1011,615,509 shares$3,344,104not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITY OFFICE REIT INCCOM178587101480,115 shares$3,341,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YALLA GROUP LTDADS98459U103444,200 shares$3,335,942not comparableThe immediately preceding quarter is not on record, so no comparison is published.
I-80 GOLD CORPCOM44955L1063,486,758 shares$3,331,249not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES GOLD TRSHS BEN INT38748G10187,500 shares$3,330,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. TECH ETF46428772117,000 shares$3,329,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PORTILLOS INCCOM CL A73642K106516,097 shares$3,328,826not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSCAT INCCOM89352910745,400 shares$3,323,280not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORDIC AMERICAN TANKERS LIMICOMG657731061,057,100 shares$3,319,294not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OWENS & MINOR INC NEWCOM690732102690,800 shares$3,315,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ON24 INCCOM68339B104576,534 shares$3,297,774not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOMO INCCOM CL B257554105208,080 shares$3,295,987not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARMAX INCCOM14313010273,300 shares$3,288,971not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VAREX IMAGING CORPCOM92214X106264,900 shares$3,284,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORION GROUP HLDGS INCCOM68628V308392,197 shares$3,263,079not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE REALREAL INCCOM88339P101305,500 shares$3,247,465not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KENNEDY-WILSON HOLDINGS INCCOM489398107390,200 shares$3,246,464not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GERON CORPCOM3741631032,364,280 shares$3,239,064not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SR BANCORP INCCOM85227J106214,500 shares$3,236,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAL GARDEN & PET COCOM15352710699,087 shares$3,235,191not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDMAN SACHS ETF TRNASDAQ-100 PREMI38149W63061,400 shares$3,221,044not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINEAGE CELL THERAPEUTICS INCOM53566P1091,905,633 shares$3,220,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUN LIFE FINANCIAL INC.COM86679610553,600 shares$3,217,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SASOL LTDSPONSORED ADR803866300517,000 shares$3,215,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PORTLAND GEN ELEC COCOM NEW73650884772,900 shares$3,207,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATRIX SVC COCOM576853105244,600 shares$3,199,368not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VNET GROUP INCSPONSORED ADS A90138A103308,769 shares$3,189,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NET LEASE OFFICE PROPERTIESCOM64110Y108107,500 shares$3,188,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PETMED EXPRESS INCCOM7163821061,268,969 shares$3,185,112not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACADIAN ASSET MANAGEMENT INCCOM10948W10366,100 shares$3,183,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOWNSQUARE MEDIA INCCL A892231101473,652 shares$3,182,941not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WIDEOPENWEST INCCOM96758W101613,500 shares$3,165,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MASTERCRAFT BOAT HLDGS INCCOM57637H103147,356 shares$3,162,260not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FASTLY INCCL A31188V100369,241 shares$3,157,011not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IICALIF AMT MUN46138E206131,800 shares$3,152,656not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PANGAEA LOGISTICS SOLUTION LSHSG6891L105619,735 shares$3,148,254not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RING ENERGY INCCOM76680V1082,881,004 shares$3,140,294not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CULLINAN THERAPEUTICS INCCOM230031106529,408 shares$3,139,389not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARK NATL CORPCOM70065810719,305 shares$3,137,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD ADMIRAL FDS INC500 GRTH IDX F9219325057,200 shares$3,135,312not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CABALETTA BIO INCCOM12674W1091,339,423 shares$3,134,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
N-ABLE INCCOMMON STOCK62878D100401,800 shares$3,134,040not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PINNACLE FINL PARTNERS INCCOM72346Q10433,396 shares$3,132,211not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RBC BEARINGS INCCOM75524B1048,000 shares$3,122,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GROUP CORE EQUITY ETSHS CREATION UNI14020V10878,800 shares$3,115,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIMIS FINANCIAL CORPCOM74167B109296,270 shares$3,113,798not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RANGER ENERGY SVCS INCCOM CL A75282U104221,340 shares$3,107,614not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR S&P MIDCAP 400 ETF TRUTSER1 S&PDCRP78467Y1075,200 shares$3,099,356not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WHITE MTNS INS GROUP LTDCOMG9618E1071,851 shares$3,093,984not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SURF AIR MOBILITY INCCOM NEW868927203720,211 shares$3,089,705not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITY HLDG COCOM17783510524,888 shares$3,082,877not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACLARIS THERAPEUTICS INCCOM00461U1051,619,731 shares$3,077,489not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WALKER & DUNLOP INCCOM93148P10236,800 shares$3,077,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMREP CORPCOM032159105128,400 shares$3,071,328not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST FNDTN INCCOM32026V104551,100 shares$3,069,627not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LANTHEUS HLDGS INCCOM51654410359,831 shares$3,068,732not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KNOWLES CORPCOM49926D109131,500 shares$3,065,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREAT LAKES DREDGE & DOCK COCOM390607109255,056 shares$3,058,121not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARCHEX INCCL B56624R1081,692,164 shares$3,056,387not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVIENT CORPORATIONCOM05368V10692,558 shares$3,049,786not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANADIAN PACIFIC KANSAS CITYCOM13646K10840,860 shares$3,043,661not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTREPID POTASH INCCOM46121Y20199,471 shares$3,041,823not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MITEK SYS INCCOM NEW606710200311,238 shares$3,040,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIEMED HEALTHCARE INCCOM92663R105447,000 shares$3,035,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAMBLING COM GROUP LIMITEDORDINARY SHARESG3R239101370,800 shares$3,033,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATA CRITICAL MEDICAL INCCL A COM092667104598,386 shares$3,027,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO CURRENCYSHARES EUROEURO SHS46138K10327,900 shares$3,023,523not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HESAI GROUPSPONSORED ADS428050108107,500 shares$3,020,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HIMAX TECHNOLOGIES INCSPONSORED ADR43289P106342,061 shares$3,020,399not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRUBRIDGE INCCOM205306103149,651 shares$3,018,461not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTS&P OILGAS EXP78468R55622,800 shares$3,014,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHWEST NAT HLDG COCOM66765N10566,900 shares$3,005,817not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLACIER BANCORP INC NEWCOM37637Q10561,600 shares$2,998,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPRTFLO S&P500 GW78464A40928,600 shares$2,988,986not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COHU INCCOM192576106146,907 shares$2,986,619not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGENXBIO INCCOM75901B107309,486 shares$2,986,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCUS BIOSCIENCES INCCOM03969F109219,300 shares$2,982,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INGLES MKTS INCCL A45703010442,858 shares$2,981,202not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFOLI S&P150078464A80536,900 shares$2,975,985not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTH PLAINS FINANCIAL INCCOM83946P10776,900 shares$2,972,185not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTEGRA RES CORPCOM45826T5091,007,080 shares$2,970,886not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BCB BANCORP INCCOM055298103342,094 shares$2,969,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAYSCALE BITCOIN MINI TR ETSHS NEW38993020758,460 shares$2,959,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERSONALIS INCCOM71535D106453,043 shares$2,953,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSTOTAL STK MKT9229087699,000 shares$2,953,530not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTHCARE SVCS GROUP INCCOM421906108175,364 shares$2,951,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOVER CORPCOM26000310817,600 shares$2,936,208not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONTE ROSA THERAPEUTICS INCCOM61225M102395,733 shares$2,932,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS ULT S&P 50074347R10726,100 shares$2,926,593not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FULLER H B COCOM35969410649,300 shares$2,922,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROTALIX BIOTHERAPEUTICS INCCOM74365A3091,315,400 shares$2,920,188not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK BITCOIN ETFSH BEN INT92189K10590,100 shares$2,916,537not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CION INVT CORPCOM17259U204307,500 shares$2,915,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRIBDS DEC28 ETF46435U515114,200 shares$2,914,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LG DISPLAY CO LTDSPONS ADR REP50186V102557,100 shares$2,908,062not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONSUMER PORTFOLIO SVCS INCCOM210502100385,158 shares$2,907,943not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REPOSITRAK INCCOM NEW700215304196,163 shares$2,907,136not comparableThe immediately preceding quarter is not on record, so no comparison is published.
M/I HOMES INCCOM55305B10120,100 shares$2,903,244not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LANTRONIX INCCOM NEW516548203634,494 shares$2,899,638not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VAXCYTE INCCOM92243G10880,477 shares$2,898,782not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NBT BANCORP INCCOM62877810269,373 shares$2,897,016not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST CMNTY CORP S CCOM319835104102,561 shares$2,894,271not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRUPO AVAL ACCIONES Y VALORESPONSORED ADS40053W101876,972 shares$2,894,008not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAYSCALE BITCOIN TRUST ETFSHS REP COM UT38963710932,200 shares$2,890,594not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CTO RLTY GROWTH INC NEWCOM22948Q101177,233 shares$2,888,898not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OCEANFIRST FINL CORPCOM675234108164,343 shares$2,887,507not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CROSS CTRY HEALTHCARE INCCOM227483104203,000 shares$2,882,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENNANT COCOM88034510335,558 shares$2,882,331not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SSGA ACTIVE ETF TRSPDR TR TACTIC78467V84871,030 shares$2,881,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROVIDENT BANCORP INCCOM NEW74383L105229,772 shares$2,879,043not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTRIA THERAPEUTICS INCCOM04635X102395,261 shares$2,877,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TALOS ENERGY INCCOM87484T108299,700 shares$2,874,123not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST BANCORP INC MECOM31866P102109,263 shares$2,869,246not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERCORE INCCLASS A29977A1058,500 shares$2,867,220not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDESG US STK ETF92191073324,200 shares$2,866,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMERCIAL VEH GROUP INCCOM2026081051,685,813 shares$2,865,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE INTL AGGR46435G67255,886 shares$2,863,040not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXXEN INTL LTDSHS NEWM8T80P204309,400 shares$2,861,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLID BIOSCIENCES INCCOM NEW83422E204463,700 shares$2,861,029not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MACROGENICS INCCOM5560991091,701,223 shares$2,858,055not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENHABIT INCCOM29332G102356,300 shares$2,853,963not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REPUBLIC BANCORP INC KYCL A76028120439,500 shares$2,853,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVGO INCCL A COM30052F100600,233 shares$2,839,102not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESSENTIAL PPTYS RLTY TR INCCOM29670E10795,200 shares$2,833,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIGA TECHNOLOGIES INCCOM826917106308,500 shares$2,822,775not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKSKY TECHNOLOGY INCCL A NEW09263B207140,063 shares$2,822,269not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SILVERCREST ASSET MGMT GROUPCL A828359109179,122 shares$2,821,172not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SCOTTSDALE FDSVNG RUS1000IDX92206C7309,300 shares$2,811,855not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPX INTL INCCL A20563P101120,149 shares$2,811,487not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALECTOR INCCOM014442107949,150 shares$2,809,484not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESCO INTL INCCOM95082P10513,274 shares$2,807,451not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HORIZON BANCORP INCCOM440407104174,581 shares$2,795,042not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHWEST BANCSHARES INC MDCOM667340103225,241 shares$2,790,736not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MILLERKNOLL INCCOM600544100157,083 shares$2,786,652not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OCEANEERING INTL INCCOM675232102112,300 shares$2,782,794not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOX ROYALTY CORPCOM92919F103646,600 shares$2,780,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABEONA THERAPEUTICS INCCOM NEW00289Y206526,437 shares$2,779,587not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LARIMAR THERAPEUTICS INCCOM517125100858,642 shares$2,773,414not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS CORE EQUITY 225434V70871,900 shares$2,773,183not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INFORMATICA INCCOM CL A45674M101111,500 shares$2,769,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDL FTSE BULL 3X25460G19551,000 shares$2,768,790not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CYTEK BIOSCIENCES INCCOM23285D109795,544 shares$2,760,538not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKROCK ETF TRUSTISHARES US EQUIT09290C10346,600 shares$2,758,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DELCATH SYS INCCOM NEW24661P807256,200 shares$2,754,150not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EASTERN COCOM276317104116,636 shares$2,736,281not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATURAL HEALTH TRENDS CORPCOM63888P406611,315 shares$2,734,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CULP INCCOM230215105612,917 shares$2,733,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHUTTERSTOCK INCCOM825690100131,001 shares$2,731,371not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPERO THERAPEUTICS INCCOM84833T1031,452,765 shares$2,731,198not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TURKCELL ILETISIM HIZMETLERISPON ADR NEW900111204453,185 shares$2,728,174not comparableThe immediately preceding quarter is not on record, so no comparison is published.
4D MOLECULAR THERAPEUTICS INCOM35104E100313,186 shares$2,721,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DEFINITIVE HEALTHCARE CORPCLASS A COM24477E103670,240 shares$2,721,174not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENAYA THERAPEUTICS INCCOM87990A1061,678,202 shares$2,718,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RUSH ENTERPRISES INCCL A78184620950,800 shares$2,716,276not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TUCOWS INCCOM NEW898697206146,351 shares$2,715,548not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPANHIA SIDERURGICA NACIONSPONSORED ADR20440W1051,806,700 shares$2,710,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FUEL TECH INCCOM359523107898,906 shares$2,696,718not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOWMAN CONSULTING GROUP LTDCOM10300210163,600 shares$2,694,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO GALAXY BITCOIN ETFCOM SHS BEN INT46091J10123,600 shares$2,690,636not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDMEGA CAP INDEX92191087311,000 shares$2,684,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RADCOM LTDSHS NEWM81865111185,222 shares$2,683,867not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TREVI THERAPEUTICS INCCOM89532M101293,300 shares$2,683,695not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FARMLAND PARTNERS INCCOM31154R109246,000 shares$2,676,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALCOA CORPCOM01387210681,296 shares$2,673,825not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSTAR TECHNOLOGIES CORPCOM81728N100535,169 shares$2,670,493not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MISTER CAR WASH INCCOM60646V105500,600 shares$2,668,198not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PONCE FINANCIAL GROUP INCCOMMON STOCK732344106180,835 shares$2,658,275not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMUNITY HEALTHCARE TR INCCOM20369C106173,500 shares$2,654,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABACUS GLOBAL MGMT INCCL A00258Y104461,900 shares$2,646,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CABOT CORPCOM12705510134,800 shares$2,646,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STELLANTIS N.VSHSN82405106286,181 shares$2,642,344not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RLJ LODGING TRCOM74965L101366,832 shares$2,641,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENERFLEX LTDCOM29269R105244,800 shares$2,638,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AIR T INCCOM009207101111,211 shares$2,637,925not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTENHANCED LARGE31609211370,700 shares$2,634,989not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFESTANCE HEALTH GROUP INCCOM53228F101477,200 shares$2,624,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEAN HARBORS INCCOM18449610711,302 shares$2,624,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVOLENT HEALTH INCCL A30050B101310,099 shares$2,623,438not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OVID THERAPEUTICS INCCOM6904691012,018,024 shares$2,623,431not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE ONCOLOGY INSTITUTE INCCOM68236X100750,500 shares$2,619,245not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI UK ETF NEW46435G33462,098 shares$2,606,253not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WM TECHNOLOGY INCCOM92971A1092,237,794 shares$2,595,841not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASSERTIO HOLDINGS INCCOM NEW04546C2052,942,276 shares$2,591,556not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HENRY SCHEIN INCCOM80640710239,012 shares$2,589,226not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI STH KOR ETF46428677232,152 shares$2,575,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS TP200 GR ETF4642894389,400 shares$2,572,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN COVEY COCOM353469109132,303 shares$2,568,001not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SONIDA SENIOR LIVING INCCOM14047520392,591 shares$2,566,623not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETF OPPORTUNITIES TRUSTT REX 2X LONG HO26923N38923,800 shares$2,564,926not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHA PRO TECH LTDCOM020772109535,775 shares$2,563,685not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONITY GROUP INCCOM NEW67574660664,063 shares$2,559,957not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR DOW JONES INDL AVERAGEUT SER 178467X1095,500 shares$2,550,570not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPLIFY ETF TRCWP ENHANCED DIV03210840957,200 shares$2,549,404not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADTRAN HOLDINGS INCCOM00486H105271,634 shares$2,547,927not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PENNYMAC MTG INVT TRCOM70931T103207,200 shares$2,540,272not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HIGH TIDE INCCOM NEW42981E401699,200 shares$2,538,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RACKSPACE TECHNOLOGY INCCOM7501021051,795,700 shares$2,531,937not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VESTIS CORPORATIONCOM SHS29430C102558,131 shares$2,528,333not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOSTON OMAHA CORPCL A COM STK101044105193,100 shares$2,525,748not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK MARIN BANCORPCOM063425102103,868 shares$2,521,915not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AG MTG INVT TR INCCOM NEW001228501346,341 shares$2,507,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIVE POINT HOLDINGS LLCCOM CL A33833Q106408,700 shares$2,505,331not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROGRESS SOFTWARE CORPCOM74331210056,965 shares$2,502,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
M-TRON INDS INCCOM55380K10945,105 shares$2,502,425not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUNITYBIO INCCOM45256X1031,016,199 shares$2,499,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPPENHEIMER HLDGS INCCL A NON VTG68379710433,800 shares$2,498,158not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSLARGE CAP ETF9229086378,100 shares$2,493,666not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERACYTE INCCOM92337F10772,584 shares$2,491,809not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TARSUS PHARMACEUTICALS INCCOM87650L10341,600 shares$2,472,288not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LITE STRATEGY INCCOM55279B3011,018,681 shares$2,465,208not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KRISPY KREME INCCOM50101L106636,100 shares$2,461,707not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUITY BANCSHARES INCCOM CL A29460X10960,400 shares$2,458,280not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRACKER BARREL OLD CTRY STORCOM22410J10655,632 shares$2,451,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TFI INTL INCCOM87241L10927,800 shares$2,448,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEROS THERAPEUTICS INCCOM492327101154,700 shares$2,447,354not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIGO ENERGY INCCOM88675P103975,900 shares$2,439,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ULTRA CLEAN HLDGS INCCOM90385V10789,500 shares$2,438,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARMONY GOLD MINING CO LTDSPONSORED ADR413216300134,320 shares$2,437,908not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEWELL BRANDS INCCOM651229106465,127 shares$2,437,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MADISON SQUARE GARDEN ENTMTCOM CL A55825610353,700 shares$2,429,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAIS ELETRICAS BRASILEIRSPONSORED ADR15234Q207244,700 shares$2,427,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEER INCCOM CL A81578P1061,110,300 shares$2,409,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FREIGHTCAR AMER INCCOM357023100246,200 shares$2,407,836not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOINT CORPCOM47973J102252,078 shares$2,404,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BYLINE BANCORP INCCOM12441110986,700 shares$2,404,191not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK ETF TRAUTNMUS TECHNLGY00214Q20321,500 shares$2,398,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RPC INCCOM749660106503,019 shares$2,394,370not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANAAN INCSPONSORED ADS1347481022,715,872 shares$2,394,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMSTOCK HLDG COS INCCL A NEW205684202170,679 shares$2,391,213not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUSSELL 3000 ETF4642876896,300 shares$2,387,322not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEMUNG FINL CORPCOM16402410145,422 shares$2,385,563not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SINCLAIR INCCL A829242106157,871 shares$2,383,852not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAVCO INDS INC DELCOM1495681074,100 shares$2,380,993not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TYRA BIOSCIENCES INCCOM90240B106170,100 shares$2,379,699not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITE REAL ESTATE INVT TRTR UNIT NEW38743720542,600 shares$2,374,524not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NKARTA INCCOM65487U1081,145,077 shares$2,370,309not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RXO INCCOMMON STOCK74982T103154,100 shares$2,370,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUNOME INCCOM45257U108202,300 shares$2,368,933not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PENNYMAC FINL SVCS INC NEWCOM70932M10719,100 shares$2,366,108not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STEPAN COCOM85858610049,600 shares$2,365,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX MSTR OP88634T493169,100 shares$2,360,636not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECARX HOLDINGS INCCLASS A ORDG292011031,174,300 shares$2,360,343not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTRANA HEALTH INCCOM NEW03763A20782,800 shares$2,347,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESCO TECHNOLOGIES INCCOM29631510411,100 shares$2,343,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLOWCO HLDGS INCCOM CL A342909108157,400 shares$2,337,390not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AURA MINERALS INCSHS NEWG0697311264,727 shares$2,336,607not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUN CTRY AIRLS HLDGS INCCOM866683105197,200 shares$2,328,932not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PDF SOLUTIONS INCCOM69328210590,100 shares$2,326,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
P10 INCCOM CL A69376K106213,750 shares$2,325,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERSPIN TECHNOLOGIES INCCOM30041T104249,767 shares$2,325,331not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FHEDGED EQUITY LA46654Q72435,720 shares$2,321,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERTICAL AEROSPACE LTDSHS NEWG9471C206447,200 shares$2,320,968not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK ETF TRGENOMIC REV ETF00214Q30283,300 shares$2,313,241not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL WTR RES INCCOM379463102224,147 shares$2,308,714not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINDBLAD EXPEDITIONS HLDGS ICOM535219109180,343 shares$2,308,390not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CATO CORP NEWCL A149205106547,702 shares$2,305,825not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANNEXON INCCOM03589W102753,579 shares$2,298,416not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESAB CORPORATIONCOM29605J10620,500 shares$2,290,670not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK ETF TRINNOVATION ETF00214Q10426,500 shares$2,286,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RLX TECHNOLOGY INCSPONSORED ADS74969N103869,300 shares$2,286,259not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RILEY EXPLORATION PERMIAN INCOM76665T10284,300 shares$2,285,373not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FULCRUM THERAPEUTICS INCCOM359616109248,200 shares$2,283,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECT SECTOR SPDR TRTECHNOLOGY81369Y8038,100 shares$2,283,066not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPERA LTDSPONSORED ADS68373M107110,500 shares$2,280,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACK DIAMOND THERAPEUTICS ICOM09203E105599,400 shares$2,271,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
F&G ANNUITIES & LIFE INCCOMMON STOCK30190A10472,600 shares$2,270,202not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETSOL TECHNOLOGIES INCCOM PAR $.00164115A402477,701 shares$2,269,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LITMAN GREGORY FDS TRIMGP DBI MANAGED53700T82782,900 shares$2,263,999not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMTEK LTDORDM2079110521,440 shares$2,252,272not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALHI INC NEWCOM918905209142,517 shares$2,248,918not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PETCO HEALTH & WELLNESS CO ICOM71601V105580,600 shares$2,246,922not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MNTN INCCL A55318A108121,000 shares$2,244,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XENCOR INCCOM98401F105190,389 shares$2,233,263not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAZE THERAPEUTICS INCCOM57878410086,100 shares$2,232,573not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AC IMMUNE SASHSH00263105770,419 shares$2,226,511not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TPG RE FIN TR INCCOM87266M107259,899 shares$2,224,735not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEAN ENERGY FUELS CORPCOM184499101862,100 shares$2,224,218not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIDEFIANCE DLY TRG88636J246627,800 shares$2,216,134not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDMAN SACHS ETF TRACTIVEBETA US LG38143050317,000 shares$2,214,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ERASCA INCCOM29479A1081,015,005 shares$2,212,711not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPTIMIZERX CORPCOM NEW68401U204107,900 shares$2,211,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SLIDE INS HLDGS INCCOM831349105139,900 shares$2,208,322not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LA Z BOY INCCOM50533610764,300 shares$2,206,776not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IIS&P 500 REVENUE46138G69819,900 shares$2,202,134not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SONOCO PRODS COCOM83549510251,100 shares$2,201,899not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PUTNAM ETF TRUSTFOCUSED LAR CAP74672930051,540 shares$2,201,789not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST NORTHWEST BANCORPCOM335834107279,505 shares$2,199,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED FIRE GROUP INCCOM91034010872,283 shares$2,198,849not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI USA MIN VOL46429B69723,100 shares$2,197,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSTAMARE BULKERS HLDGS LTDCOM SHSY2001C101152,846 shares$2,196,397not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WABASH NATL CORPCOM929566107222,500 shares$2,196,075not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SECURITY NATL FINL CORPCL A NEW814785309253,287 shares$2,195,998not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADAMAS TRUST INC.COM649604840315,010 shares$2,195,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSTEEL INDS INCCOM45774W10857,200 shares$2,193,048not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARFIELD INCCOM18482P10363,574 shares$2,185,674not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUILD HLDGS COCL A40172N107109,300 shares$2,179,442not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRESH DEL MONTE PRODUCE INCORDG3673810562,723 shares$2,177,743not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSEXTEND MKT ETF92290865210,400 shares$2,177,136not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SO YOUNG INTERNATIONAL INCSPONSORED ADS83356Q108562,528 shares$2,176,983not comparableThe immediately preceding quarter is not on record, so no comparison is published.
51TALK ONLINE EDUCATION GROUSPONSORED ADR16954L20449,175 shares$2,175,994not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARKE BANCORP INCCOM700885106100,947 shares$2,175,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SITIME CORPCOM82982T1067,200 shares$2,169,432not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMARTRENT INCCOM CL A83193G1071,538,012 shares$2,168,597not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CGI INCCL A SUB VTG12532H10424,300 shares$2,165,859not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSACT TECHNOLOGIES INCCOM892918103399,315 shares$2,164,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TWIN DISC INCCOM901476101154,993 shares$2,160,602not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARTERS INCCOM14622910976,500 shares$2,158,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSMCAP GR IDXVIP9229085387,300 shares$2,144,667not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS MID CAP ETF46428749922,200 shares$2,143,410not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOHO HOUSE & CO INCCOM CL A586001109241,600 shares$2,138,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAYVILLE ENGR CO INCCOM578605107155,000 shares$2,132,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAYLOR DEVICES INCCOM87716310543,462 shares$2,132,246not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHNEIDER NATIONAL INCCL B80689H102100,600 shares$2,128,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEUMORA THERAPEUTICS INC.COM6409791001,163,976 shares$2,118,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS EQUITY MARKET25434V40129,200 shares$2,115,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALENS SEMICONDUCTOR LTDORDINARY SHARESM9607U1151,180,515 shares$2,113,122not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KAYNE ANDERSON BDC INCCOM SHS48662X105158,559 shares$2,112,006not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECOVYST INCCOM27923Q109240,700 shares$2,108,532not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONE STOP SYS INCCOM68247W109393,160 shares$2,107,338not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENERATION BIO COCOM NEW37148K209344,263 shares$2,106,890not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST SVGS FINL GROUP INCCOM33621E10966,600 shares$2,093,238not comparableThe immediately preceding quarter is not on record, so no comparison is published.
C4 THERAPEUTICS INCCOM STK12529R107936,950 shares$2,080,029not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENPRO INCCOM29355X1079,200 shares$2,079,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW JERSEY RES CORPCOM64602510643,100 shares$2,075,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHINA AUTOMOTIVE SYS INCSHSG2125H101439,187 shares$2,068,571not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPUGEN LTDORDM257221051,405,335 shares$2,065,842not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TREXPND TEC SC ETF46428754916,400 shares$2,065,580not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DESIGN THERAPEUTICS INCCOM25056L103274,300 shares$2,065,479not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FBETABUILDRS US46641Q39917,100 shares$2,063,286not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUTCHMED CHINA LTDSPONSORED ADS44842L103131,000 shares$2,063,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROS HOLDINGS INCCOM74346Y10389,839 shares$2,058,211not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPEN LENDING CORPCOM68373J104972,177 shares$2,051,293not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESPERION THERAPEUTICS INC NECOM29664W105773,900 shares$2,050,835not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTO INGREDIENTS INCCOM0215131061,893,521 shares$2,045,003not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTELLICHECK INCCOM NEW45817G201392,800 shares$2,042,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRULTRPRO S&P50074347X86418,300 shares$2,040,267not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEOPLES BANCORP INCCOM70978910168,023 shares$2,040,010not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD ADMIRAL FDS INC500 VAL IDX FD92193270310,200 shares$2,034,594not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COVENANT LOGISTICS GROUP INCCL A22284P10593,800 shares$2,031,708not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUE RIDGE BANKSHARES INC VACOM095825105480,300 shares$2,031,669not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COFFEE HLDG CO INCCOM192176105443,764 shares$2,028,001not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUINOX GOLD CORPCOM29446Y502179,400 shares$2,012,868not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN WOODMARK CORPORATIOCOM03050610930,100 shares$2,009,476not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN OUTDOOR BRANDS INCCOM02875D109231,168 shares$2,006,538not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRADED FDRBA INDL ETF33738R70420,700 shares$2,001,276not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CB FINL SVCS INCCOM12479G10160,199 shares$1,999,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RCI HOSPITALITY HLDGS INCCOM74934Q10865,503 shares$1,998,497not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPLIFY ETF TRBLOCKCHAIN LDR03210860729,800 shares$1,997,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTLAKE CORPORATIONCOM96041310225,900 shares$1,995,854not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADAPTHEALTH CORPCOMMON STOCK00653Q102222,865 shares$1,994,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARIS WATER SOLUTIONS INCCLASS A COM04041L10680,800 shares$1,992,528not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORGANIGRAM GLOBAL INCCOM68617J100981,448 shares$1,992,339not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALEXANDRIA REAL ESTATE EQ INCOM01527110923,900 shares$1,991,826not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CREXENDO INCCOM226552107305,855 shares$1,988,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAYSAFE LIMITEDSHSG6964L206153,489 shares$1,983,078not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RED VIOLET INCCOM75704L10437,940 shares$1,982,365not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRAEMAR HOTELS & RESORTS INCCOM10482B101724,200 shares$1,977,066not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IIS&P 500 HB ETF46138E37018,000 shares$1,976,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALERUS FINL CORPCOM01446U10389,079 shares$1,972,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAUI LD & PINEAPPLE INCCOM577345101105,649 shares$1,969,297not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TR5 10YR CORP BD80852469885,296 shares$1,968,632not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRINTRM GOV CR ETF46428861218,300 shares$1,966,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EASTERN BANKSHARES INCCOM27627N105108,304 shares$1,965,718not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NCR ATLEOS CORPORATIONCOM SHS63001N10650,000 shares$1,965,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEAPACK-GLADSTONE FINL CORPCOM70469910771,094 shares$1,962,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRP HLDGS INCCOM30292L10780,500 shares$1,960,980not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TANDEM DIABETES CARE INCCOM NEW875372203161,500 shares$1,960,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NB BANCORP INCCOM63945M107110,900 shares$1,957,385not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL MED REIT INCCOM NEW37954A30357,997 shares$1,955,079not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHERRY HILL MTG INVT CORPCOM164651101815,832 shares$1,949,838not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FU S TECH LEADERS46654Q73221,200 shares$1,949,764not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLUMBUS MCKINNON CORP N YCOM199333105135,885 shares$1,948,591not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRADED FD TR IICHINA TECHNLGY46138E80032,900 shares$1,941,429not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZIMVIE INCCOM98888T107102,500 shares$1,941,350not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DRIVEN BRANDS HLDGS INCCOM26210V102120,300 shares$1,938,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY S&P BIOTCH25460G12020,700 shares$1,937,727not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CASS INFORMATION SYS INCCOM14808P10949,260 shares$1,937,396not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASP ISOTOPES INCCOM00218A105201,200 shares$1,935,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KORRO BIO INCCOM50094610840,400 shares$1,934,756not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERIS BANCORPCOM03076K10826,369 shares$1,933,111not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LCNB CORPCOM50181P100128,916 shares$1,932,451not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ERIE INDTY COCL A29530P1026,071 shares$1,931,549not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPORTRADAR GROUP AGCLASS A ORD SHSH8088L10371,700 shares$1,928,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOLATILITY SHS TR2X ETHER ETF NEW92864M79814,850 shares$1,928,421not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXA RES S ACOML67359106386,300 shares$1,927,637not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONCRETE PUMPING HLDGS INCCOM206704108273,400 shares$1,927,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DISTRIBUTION SOLUTIONS GRP ICOM52077610564,000 shares$1,925,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUARANTY BANCSHARES INC TEXCOM40076410639,469 shares$1,924,114not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL X FDSGLOBAL X COPPER37954Y83032,100 shares$1,919,901not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INOVIO PHARMACEUTICALS INCCOM SHS45773H409816,339 shares$1,910,233not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IHEARTMEDIA INCCOM CL A45174J509663,100 shares$1,903,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WASHINGTON TR BANCORP INCCOM94061010865,668 shares$1,897,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEST FRASER TIMBER CO LTDCOM95284510527,900 shares$1,896,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PALMER SQUARE CAPITAL BDC INCOM SHS69702V107154,100 shares$1,890,807not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GROUP CORE BALANCEDSHS14021D10754,400 shares$1,888,768not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN ASSETS TR INCCOM02401310492,700 shares$1,883,664not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORESTAR GROUP INCCOM34623210170,680 shares$1,879,381not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPLITUDE INCCOM CL A03213A104175,115 shares$1,877,233not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HELIOS TECHNOLOGIES INCCOM42328H10936,000 shares$1,876,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMUNITY WEST BANCSHARES NECOM20393710790,008 shares$1,875,767not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMEGA FLEX INCCOM68209510459,980 shares$1,870,476not comparableThe immediately preceding quarter is not on record, so no comparison is published.
T ROWE PRICE ETF INCCAP APPRECIATION87283Q86749,500 shares$1,866,150not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERCHANTS BANCORP INDCOM58844R10858,400 shares$1,857,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARTERIS INCCOM04302A104183,800 shares$1,856,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GERMAN AMERN BANCORP INCCOM37386510447,249 shares$1,855,468not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLONY BANKCORP INCCOM19623P101109,078 shares$1,855,417not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETSCOUT SYS INCCOM64115T10471,600 shares$1,849,428not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHWESTERN ENERGY GROUP INCOM NEW66807430531,426 shares$1,841,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROFRAC HLDG CORPCLASS A COM74319N100497,200 shares$1,839,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUVEEN CHURCHILL DIRECT LENDCOM SHS67090S108133,297 shares$1,839,499not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO ACTIVELY MANAGED EXCTOTAL RETURN46090A80438,695 shares$1,838,399not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTRARE EARTH AND S92189H80527,900 shares$1,836,378not comparableThe immediately preceding quarter is not on record, so no comparison is published.
908 DEVICES INCCOM65443P102209,300 shares$1,833,468not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW FOUND GOLD CORPCOM64440N103771,900 shares$1,829,403not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LANDMARK BANCORP INCCOM51504L10768,454 shares$1,827,037not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLIN CORPCOM PAR $168066520573,000 shares$1,824,270not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETHZILLA CORPORATIONCOM68236V302756,213 shares$1,822,473not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARIBOU BIOSCIENCES INCCOM142038108780,421 shares$1,818,381not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHAGEE HLDGS LTDSPONSORED ADS15743P104109,800 shares$1,817,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOLATILITY SHS TRSOLANA ETF92864M82281,700 shares$1,807,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MINERALYS THERAPEUTICS INCCOM60317010147,400 shares$1,797,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRID DYNAMICS HLDGS INCCL A39813G109232,926 shares$1,795,859not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X LONG COIN DAI38747R80147,900 shares$1,791,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTS&P BK ETF78464A79730,100 shares$1,788,542not comparableThe immediately preceding quarter is not on record, so no comparison is published.
USCB FINANCIAL HOLDINGS INCCLASS A COM90355N101102,366 shares$1,786,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MISTRAS GROUP INCCOM60649T107180,800 shares$1,779,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P500 PUR VAL46137V25817,900 shares$1,778,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEDGE INCCL B98923T104609,322 shares$1,773,127not comparableThe immediately preceding quarter is not on record, so no comparison is published.
A-MARK PRECIOUS METALS INCCOM00181T10768,500 shares$1,772,095not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK 21SHARES BITCOIN ETFSHS BEN INT04091910246,600 shares$1,771,732not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SPECIALIZED FUNDSDIV APP ETF9219088448,200 shares$1,769,478not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTNUVEEN ICE SHORT78468R73936,683 shares$1,768,854not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIMCO ETF TR0-5 HIGH YIELD72201R78318,464 shares$1,766,636not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRULTRPRO DOW3074347X82316,500 shares$1,766,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOURNEY MED CORPCOM48115J109247,900 shares$1,765,048not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUTOMATIC DATA PROCESSING INCOM0530151036,000 shares$1,761,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIRCO MFG COCOM927651109226,011 shares$1,751,585not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROWN FORMAN CORPCL A11563710065,076 shares$1,751,195not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI SAUDI ARBIA46434V42343,095 shares$1,748,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATERIALISE NVSPONSORED ADS57667T100313,800 shares$1,747,866not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIAMONDROCK HOSPITALITY COCOM252784301219,300 shares$1,745,628not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPLETE SOLARIA INCCOM20460L104989,900 shares$1,742,224not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GROCERY OUTLET HLDG CORPCOM39874R101108,046 shares$1,734,138not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GCI LIBERTY INCCOM SER C36164V80046,499 shares$1,733,018not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OGE ENERGY CORPCOM67083710337,400 shares$1,730,498not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST CMNTY BANKSHARES INC VCOM31983A10349,686 shares$1,729,073not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THERMON GROUP HLDGS INCCOM88362T10364,600 shares$1,726,112not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. FINLS ETF46428778813,600 shares$1,722,304not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASPEN AEROGELS INCCOM04523Y105246,900 shares$1,718,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRFALN ANGLS USD46435G47461,800 shares$1,716,804not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCOS DORADOS HOLDINGS INCSHS CLASS -A -G0457F107254,334 shares$1,716,755not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAGWELL INCCOM CL A85256A109304,800 shares$1,716,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NURIX THERAPEUTICS INCCOM67080M103184,800 shares$1,707,552not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERMILION ENERGY INCCOM923725105218,100 shares$1,705,542not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERISERV FINL INCCOM03074A102588,074 shares$1,705,415not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDLY TECH BULL 3X25459W10213,700 shares$1,703,869not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN CENTY ETF TRUS SML CP VALU02507287717,100 shares$1,701,963not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMBOTELLADORA ANDINA S ASPON ADR A29081P20483,700 shares$1,694,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRAD FD VIFST TR GLB FD33739H10165,400 shares$1,693,860not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAYCOM CORPCOM07272M10758,900 shares$1,693,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI TAIWAN ETF46434G77226,600 shares$1,692,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS 1000 GRW ETF4642876143,600 shares$1,686,276not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL X FDSRBTCS ARTFL INTE37954Y71547,594 shares$1,686,255not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEAZER HOMES USA INCCOM NEW07556Q88168,528 shares$1,682,362not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORION S.A.COML72967109221,696 shares$1,680,456not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUNDTHINKING INCCOM82536T107138,932 shares$1,675,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIGHTBRIDGE CORPCOM53224K30278,700 shares$1,669,227not comparableThe immediately preceding quarter is not on record, so no comparison is published.
B2GOLD CORPCOM11777Q209336,898 shares$1,667,645not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX COIN OP88634T824242,000 shares$1,664,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPROUT SOCIAL INCCOM CL A85209W109128,562 shares$1,661,021not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDSHS33691710938,200 shares$1,658,262not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HELIX ENERGY SOLUTIONS GRP ICOM42330P107252,227 shares$1,654,609not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AIRGAIN INCCOM00938A104380,536 shares$1,651,526not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOYAGER TECHNOLOGIES INCCOM CL A92892B10355,400 shares$1,649,812not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADVERUM BIOTECHNOLOGIES INCCOM NEW00773U207363,496 shares$1,646,637not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MALIBU BOATS INCCOM CL A56117J10050,700 shares$1,645,215not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPONENTIAL FITNESS INCCOM CL A98422X101211,100 shares$1,644,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIORITY TECHNOLOGY HLDGS INCOM74275G107239,120 shares$1,642,754not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELESAT CORPCL A & CL B SHS87951230961,646 shares$1,633,619not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIMINI STR INC DELCOM76674Q107349,004 shares$1,633,339not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREIF INCCL B39762420626,500 shares$1,632,665not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LENNAR CORPCL B52605730213,600 shares$1,631,864not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STONERIDGE INCCOM86183P102214,100 shares$1,631,442not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIVERVIEW BANCORP INCCOM769397100303,207 shares$1,628,222not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MINERALS TECHNOLOGIES INCCOM60315810626,200 shares$1,627,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LITTELFUSE INCCOM5370081046,263 shares$1,622,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLD RESOURCE CORPCOM38068T1051,939,670 shares$1,621,758not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NELNET INCCL A64031N10812,900 shares$1,617,402not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FULL HSE RESORTS INCCOM359678109503,698 shares$1,616,871not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD BD INDEX FDSINTERMED TERM92193781920,700 shares$1,616,463not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOLLEY INCCOM43538H103512,920 shares$1,610,569not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TILLYS INCCL A886885102781,812 shares$1,610,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN CENTY ETF TRUS EQT ETF02507288514,800 shares$1,608,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CUMBERLAND PHARMACEUTICALS ICOM230770109515,465 shares$1,608,251not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPRTFLO S&P500 VL78464A50828,800 shares$1,593,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DATA I O CORPCOM237690102476,834 shares$1,592,626not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FATE THERAPEUTICS INCCOM31189P1021,262,515 shares$1,590,769not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AWARE INC MASSCOM05453N100660,007 shares$1,590,617not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MFA FINL INCCOM55272X607172,725 shares$1,587,343not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL STORAGE AFFILIATESCOM SHS BEN IN63787010652,500 shares$1,586,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSDIGM GROUP INCCOM8936411001,200 shares$1,581,624not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAIRD SUPERFOOD INCCOM STK50736T102283,200 shares$1,580,256not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTAR HLDG CORPCOM46134L10567,975 shares$1,577,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTMSCI INFO TECH I3160928087,100 shares$1,577,407not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FINWARD BANCORPCOM31812F10949,076 shares$1,574,849not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS ULT SEMICDT74347R66915,900 shares$1,574,418not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KINDERCARE LEARNING COMPANIECOM49456W105236,800 shares$1,572,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FEQUITY PREMIUM46641Q33227,400 shares$1,564,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TRAFI US 1000 ETF46137V61334,500 shares$1,559,745not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HYSTER-YALE INCCL A44917210542,300 shares$1,559,178not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EPSILON ENERGY LTDCOM294375209309,300 shares$1,558,872not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WISDOMTREE TRUS LARGECAP DIVD97717W30717,900 shares$1,557,837not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DANAOS CORPORATIONSHSY1968P12117,300 shares$1,553,713not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRGLOBAL ENERG ETF46428734137,200 shares$1,553,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHENANDOAH TELECOMMUNICATIONCOM82312B106115,700 shares$1,552,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENVELA CORPCOM29402E102198,704 shares$1,551,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AZZ INCCOM00247410414,200 shares$1,549,646not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUGLAS EMMETT INCCOM25960P10999,509 shares$1,549,355not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CINEVERSE CORPCOM CL A172406308460,718 shares$1,548,012not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN CENTY ETF TRUS LARGE CAP VLU02507234921,400 shares$1,546,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BERKSHIRE HATHAWAY INC DELCL B NEW0846707023,055 shares$1,537,814not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW HORIZON AIRCRAFT LTDCOM64550A107604,600 shares$1,535,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORWARD INDS INC N YCOM NEW34986240960,020 shares$1,534,711not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IFUNDSTRAT GRANNY88636423161,400 shares$1,534,386not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CANADA GOOSE HLDGS INCSHS SUB VTG135086106111,000 shares$1,530,690not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLD MKT CAP CORPCOM65373A109296,951 shares$1,529,298not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMARTSTOP SELF STORAG REIT ICOMMON STOCK83192D40240,580 shares$1,527,431not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRADED FDNASDQ CLN EDGE33737A10810,100 shares$1,525,908not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HURCO COCOM44732410486,900 shares$1,512,060not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TSCAN THERAPEUTICS INCCOM89854M101829,919 shares$1,510,453not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR INDEX SHS FDSGLB NAT RESRCE78463X54125,400 shares$1,503,934not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGILON HEALTH INCCOM00857U1071,459,600 shares$1,503,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMMUNITY HEALTH SYS INC NEWCOM203668108467,793 shares$1,501,616not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGORA INCADS00851L103393,000 shares$1,501,260not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EUROPEAN WAX CTR INCCLASS A COM29882P106375,900 shares$1,499,841not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CERTARA INCCOM15687V109122,620 shares$1,498,416not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISTAGEN THERAPEUTICS INCCOM92840H400422,012 shares$1,498,143not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECB BANCORP INCCOM26828M10694,400 shares$1,498,128not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLIANT THERAPEUTICS INCCOM7291391051,011,802 shares$1,497,467not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THIRD COAST BANCSHARES INCCOM88422P10939,400 shares$1,496,018not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WERNER ENTERPRISES INCCOM95075510856,763 shares$1,494,002not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISTA ENERGY S.A.B. DE C.V.SPONSORED ADS92837L10943,400 shares$1,492,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEOS ETF TRUSTNASDAQ 100 HIGH78433H67527,500 shares$1,490,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCESG AWR MSCI EM46434G86334,300 shares$1,489,306not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KVH INDS INCCOM482738101264,915 shares$1,483,524not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADICET BIO INCCOM0070021081,828,949 shares$1,481,814not comparableThe immediately preceding quarter is not on record, so no comparison is published.
U HAUL HOLDING COMPANYCOM SER N02358650629,100 shares$1,481,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAMACO RES INCCOM CL B75134P50187,874 shares$1,480,677not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL X FDSSUPERDIVIDEND37960A66961,700 shares$1,479,566not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYPRIS SOLUTIONS INCCOM871655106692,652 shares$1,475,349not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABRDN SILVER ETF TRUSTPHYSCL SILVR SHS00326410833,100 shares$1,472,288not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTNUVEEN ICE HIGH78464A28459,000 shares$1,470,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARWATER ANALYTICS HLDGS ICL A18512310681,499 shares$1,468,612not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TECTONIC THERAPEUTIC INCCOM87897210893,400 shares$1,465,446not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ULTRALIFE CORPCOM903899102214,590 shares$1,463,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL HEALTH INVS INCCOM63633D10418,400 shares$1,462,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COMWLTH TRNASDAQ COMPSIT31591280816,399 shares$1,461,643not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TREEHOUSE FOODS INCCOM89469A10472,300 shares$1,461,183not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLUMBIA ETF TR IRESH ENHNC COR19761L70636,171 shares$1,459,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOPRO INCCL A38268T103687,300 shares$1,457,076not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN STR PPTYS CORPCOM35471R106908,483 shares$1,453,573not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED GUARDIAN INCCOM910571108184,763 shares$1,452,108not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KAROOOOO LTDORD SHSY4600W10825,387 shares$1,450,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRINCETON BANCORP INCCOM74179A10745,423 shares$1,446,268not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAGA COMMUNICATIONS INCCL A NEW786598300115,844 shares$1,441,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATERION CORPCOM57669010111,900 shares$1,437,639not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST WESTN FINL INCCOM33751L10562,300 shares$1,434,458not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOTORCAR PTS AMER INCCOM62007110086,600 shares$1,432,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DLH HLDGS CORPCOM23335Q100252,064 shares$1,424,162not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OWLET INCCL A NEW69120X206168,023 shares$1,423,155not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAGERTY INCCL A COM405166109117,968 shares$1,420,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTBLOOMBERG INTL T78464A51661,750 shares$1,420,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GSI TECHNOLOGY INCCOM36241U106385,909 shares$1,420,145not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREAT ELM GROUP INCCOM NEW39037G109577,876 shares$1,415,796not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS SMALL CAP VAL25434V81544,400 shares$1,413,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PCB BANCORPCOM69320M10967,301 shares$1,413,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMEROS CORPCOM682143102344,500 shares$1,412,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRADED FDNASD TECH DIV33738R11814,300 shares$1,409,837not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDMEGA GRWTH IND9219108163,500 shares$1,408,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIGHTSPIRE CAPITAL INCCOM CL A10949T109259,300 shares$1,407,999not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORTHOFIX MED INCCOM68752M10896,091 shares$1,406,772not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTMENT MANAGERS SER TR ITRADR 2X LONG TM46092D40045,100 shares$1,403,061not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRULTRASHORT BITCO74349Y56348,300 shares$1,402,632not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDHEALTH CAR ETF92204A5045,400 shares$1,401,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GROWGENERATION CORPCOM39986L109749,310 shares$1,401,210not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD SCOTTSDALE FDSVNG RUS2000IDX92206C66414,300 shares$1,398,826not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS LARGE CAP VAL25434V66642,500 shares$1,398,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OSISKO DEVELOPMENT CORPCOM NEW68828E809410,898 shares$1,392,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI PAC JP ETF46428666527,000 shares$1,392,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE 60/40 BALAN46428986721,600 shares$1,390,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KURA SUSHI USA INCCL A COM50127010223,299 shares$1,384,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERANT BANCORP INCCL A02357610171,535 shares$1,378,479not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLOOR & DECOR HLDGS INCCL A33975010118,700 shares$1,378,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. ENERGY ETF46428779629,000 shares$1,378,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NIU TECHNOLOGIESADS65481N100293,600 shares$1,376,984not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX NVDA88634T77481,500 shares$1,369,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS MDCP VAL ETF4642874739,800 shares$1,368,766not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DRAGANFLY INC.COM26142Q304168,051 shares$1,367,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROTARA THERAPEUTICS INCCOM STK74365U107314,300 shares$1,367,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROCKY BRANDS INCCOM77451510045,635 shares$1,359,467not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCH TRADED FD IIIMANAGD MUN ETF33739N10826,773 shares$1,357,434not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORBUS PHARMACEUTICALS HLDGSCOM NEW21833P301107,200 shares$1,356,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHNG TRADED FD VIFT VEST LADDERED33740F75540,500 shares$1,353,510not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPORTSMANS WHSE HLDGS INCCOM84920Y106488,070 shares$1,351,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONTANGO ORE INCCOM21077F10054,000 shares$1,346,220not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YIREN DIGITAL LTDSPONSORED ADS98585L100226,665 shares$1,344,123not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATOSSA THERAPEUTICS INCCOM04962H5061,548,663 shares$1,342,691not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KARAT PACKAGING INCCOM48563L10153,215 shares$1,341,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREIF INCCL A39762410722,400 shares$1,338,624not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TREDEGAR CORPCOM894650100166,600 shares$1,337,798not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CERUS CORPCOM157085101839,500 shares$1,334,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CF BANKSHARES INCCOM12520L10955,679 shares$1,333,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRONTVIEW REIT INCCOM35922N10097,200 shares$1,332,612not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEUROPACE INCCOM641288105129,100 shares$1,331,021not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OP BANCORPCOM67109R10995,200 shares$1,325,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PORCH GROUP INCCOM73324510478,909 shares$1,324,093not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SANARA MEDTECH INCCOM79957L10041,700 shares$1,323,141not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DUOS TECHNOLOGIES GROUP INCCOM266042407179,513 shares$1,321,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY PLTR BEAR25461A429195,000 shares$1,318,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK ETF TRFINTECH INNOVA00214Q70823,100 shares$1,312,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDEN ENTMT INCCOM38101310155,450 shares$1,307,511not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GRP FIXED INCM ETF TCORE PLUS INCM14020Y10257,400 shares$1,304,128not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXPENSIFY INCCOM CL A30219Q106703,850 shares$1,302,123not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ETF OPPORTUNITIES TRUSTT REX 2X LONG MS26923N462280,000 shares$1,302,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUE FOUNDRY BANCORPCOM09549B104142,900 shares$1,298,961not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EAGLE BANCORP MONT INCCOM26942G10074,910 shares$1,293,696not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEMRUSH HLDGS INCCL A COM81686C104182,700 shares$1,293,516not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIGHT SCIENCES INCCOM82657M105375,800 shares$1,292,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FARMER BROS COCOM307675108755,578 shares$1,292,038not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTURY THERAPEUTICS INCCOM15673T1002,586,900 shares$1,288,276not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOVADO GROUP INCCOM62458010667,798 shares$1,286,128not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPORTUN FINL CORPCOM68376D104208,179 shares$1,284,464not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRCORE S&P TTL STK4642871508,800 shares$1,281,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLINK CHARGING COCOM09354A100780,375 shares$1,279,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PYXIS ONCOLOGY INCCOMMON STOCK747324101576,336 shares$1,279,466not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALARM COM HLDGS INCCOM01164210524,100 shares$1,279,228not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REPARE THERAPEUTICS INCCOM760273102724,160 shares$1,274,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NI HLDGS INCCOM65342T10693,991 shares$1,274,518not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RENTOKIL INITIAL PLCSPONSORED ADR76012510450,400 shares$1,272,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRESG MSCI KLD 40046428857010,100 shares$1,272,095not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST ISP FDS S&P 50088636480125,700 shares$1,269,837not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATRENEW INCSPONSORED ADS00138L108276,000 shares$1,269,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDINF TECH ETF92204A7021,700 shares$1,269,271not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MURPHY OIL CORPCOM62671710244,600 shares$1,267,086not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X LONG PLTR38747R71039,000 shares$1,265,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OFFERPAD SOLUTIONS INCCOM CL A67623L307303,053 shares$1,263,731not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIOMI TECHNOLOGY CO LTDSPONSORED ADS92762J103377,756 shares$1,261,705not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HURON CONSULTING GROUP INCCOM4474621028,558 shares$1,256,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEOPLES FINL SVCS CORPCOM71104010525,827 shares$1,255,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVALO THERAPEUTICS INCCOM NEW05338F30698,700 shares$1,254,477not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FBETABUILDERS EUR46641Q19118,000 shares$1,252,980not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PURECYCLE TECHNOLOGIES INCCOM74623V10395,000 shares$1,249,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RXSIGHT INCCOM78349D107138,700 shares$1,246,913not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUTRO BIOPHARMA INCCOM8693671021,424,797 shares$1,237,294not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRACTYL HEALTH INCCOM35168W103776,700 shares$1,234,953not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN WELL CORPCOM CL A NEW03044L204200,523 shares$1,233,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KALTURA INCCOM483467106856,400 shares$1,233,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PACS GROUP INCCOM SHS69380Q10789,800 shares$1,232,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOYAGER THERAPEUTICS INCCOM92915B106262,450 shares$1,225,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WOLVERINE WORLD WIDE INCCOM97809710344,600 shares$1,223,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TR0-5YR HI YL CP46434V40728,202 shares$1,221,147not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI EMG MKT ETF46428723422,800 shares$1,217,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEREO BIOPHARMA GROUP PLCSPON ADS589492107590,871 shares$1,217,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORWOOD FINANCIAL CORPCOM66954910747,825 shares$1,215,712not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AFFINITY BANCSHARES INCCOM00832E10361,648 shares$1,215,699not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHICAGO ATLANTIC REAL ESTATECOM16723910295,000 shares$1,215,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAWTHORN BANCSHARES INCCOM42047610339,043 shares$1,211,895not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLYMPIC STEEL INCCOM68162K10639,798 shares$1,211,849not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOLATILITY SHS TR2X BITCOIN STRAT92864M30122,000 shares$1,211,760not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENLIVEN THERAPEUTICS INCCOM29337E10259,000 shares$1,207,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AEBI SCHMIDT HLDG AGCOMH0050110896,600 shares$1,204,602not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOMEA FUSION INCCOM09077A106595,900 shares$1,203,718not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUZZFEED INCCL A NEW12430A300701,104 shares$1,191,877not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIVISTA BANCSHARES INCCOM NO PAR17886710758,565 shares$1,189,455not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTCORE FIXED INCOM25434V87227,800 shares$1,188,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAXCYTE INCCOM57777K106750,776 shares$1,186,226not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDINDUSTRIAL ETF92204A6034,000 shares$1,185,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX UNIVERS88636J65992,400 shares$1,183,644not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STEREOTAXIS INCCOM NEW85916J409380,400 shares$1,183,044not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEVEN HILLS REALTY TRUSTCOM81784E101114,634 shares$1,181,877not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADVANTAGE SOLUTIONS INCCOM CL A00791N102770,800 shares$1,179,324not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORION ENERGY SYS INCCOM NEW686275207134,270 shares$1,176,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TVARDI THERAPEUTICS INCCOM14075530730,175 shares$1,175,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MCGRATH RENTCORPCOM5805891099,995 shares$1,172,414not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RESOURCES CONNECTION INCCOM76122Q105231,200 shares$1,167,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JAMF HLDG CORPCOM47074L105109,100 shares$1,167,370not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAMILTON INSURANCE GROUP LTDCL BG4270610446,900 shares$1,163,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIVE STAR BANCORPCOM33830T10336,000 shares$1,159,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEACOR MARINE HLDGS INCCOM78413P101178,500 shares$1,158,465not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENE CNTY BANCORP INCCOM39435710750,900 shares$1,150,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TREXPANDED TECH46428751510,000 shares$1,150,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIONEER BANCORP INC MDCOM72356110687,760 shares$1,146,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RED ROBIN GOURMET BURGERS INCOM75689M101166,743 shares$1,143,857not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTOIL SERVICES ETF92189H6074,390 shares$1,141,005not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS CORE EQT MKT25434V10424,900 shares$1,139,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL SELF STORAGE INCCOM37955N106225,874 shares$1,136,146not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK MONTREAL QUENT LKD 410636795594,400 shares$1,134,848not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACRIVON THERAPEUTICS INCCOMMON STOCK004890109623,400 shares$1,128,354not comparableThe immediately preceding quarter is not on record, so no comparison is published.
X FINLSPONSORED ADS98372W20281,875 shares$1,126,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENOVIX CORPORATIONCOM293594107112,849 shares$1,125,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERSABANK NEWCOM92512J10691,800 shares$1,120,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PAGSEGURO DIGITAL LTDCOM CL AG68707101111,823 shares$1,117,513not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RITHM PPTY TR INCCOM38983D300443,324 shares$1,117,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LGL GROUP INCCOM50186A108167,021 shares$1,114,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XOMA ROYALTY CORPORATIONCOM NEW98419J20628,900 shares$1,113,806not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CI&T INCCOM CL AG21307106215,500 shares$1,109,825not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAGIMET BIOSCIENCES INCCOM SER A786700104161,400 shares$1,107,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKROCK ETF TRUSTISHARES A I INNO09290C78032,400 shares$1,106,784not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZURA BIO LTDCLASS A ORD SHSG9TY5A101255,400 shares$1,105,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JEFFERSON CAPITAL INCCOM47248R10364,000 shares$1,104,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RED RIVER BANCSHARES INCCOM75686R20217,000 shares$1,101,940not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPCO-PITTSBURG CORPCOM032037103480,619 shares$1,100,618not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAS GOLD AND SILVER CORCOM NEW03062D803295,215 shares$1,098,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST US BANCSHARES INCCOM33744V10391,321 shares$1,097,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTGOLD MINERS ETF92189F10614,300 shares$1,092,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EAGLE BANCORP INC MDCOM26894810654,000 shares$1,091,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEPP HEALTH CORPORATIONSPONSORED ADR98945L20423,824 shares$1,090,663not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FACTIVE GROWTH46654Q60911,600 shares$1,087,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
1STDIBS COM INCCOM320551104419,799 shares$1,087,279not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACNB CORPCOM00086810924,656 shares$1,085,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTPHARMACEUTCL ETF92189F69212,000 shares$1,084,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIDDLEFIELD BANC CORPCOM NEW59630420436,112 shares$1,083,721not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHAMPIONS ONCOLOGY INCCOM NEW15870P307167,261 shares$1,083,015not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRECISION BIOSCIENCES INCCOM NEW74019P207196,177 shares$1,082,897not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIEDMONT REALTY TRUST INCCOM CL A720190206120,026 shares$1,080,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLIMB BIO INCCOM28658R106537,100 shares$1,079,571not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARAMOUNT GOLD NEV CORPCOM69924M109876,200 shares$1,077,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLANIGANS ENTERPRISES INCCOM33851710533,793 shares$1,077,321not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIDEFIANCE DAILY88636R2309,200 shares$1,076,676not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMPERIAL PETE INCCOM NEWY3894J187223,696 shares$1,069,267not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMCON DISTRG COCOM NEW02341Q2059,365 shares$1,065,362not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XPEL INCCOM98379L10032,014 shares$1,058,703not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RGC RES INCCOM74955L10347,033 shares$1,055,421not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRLATN AMER 40 ETF46428739036,500 shares$1,054,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEVIA PBCCL A98955K104386,826 shares$1,052,167not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOOG INCCL B6153943015,100 shares$1,050,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MODIV INDUSTRIAL INCCOM STK CL C60784B10171,749 shares$1,050,405not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASTRONOVA INCCOM04638F108102,542 shares$1,050,030not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAPPORT THERAPEUTICS INCCOM75383L10235,300 shares$1,048,410not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LYELL IMMUNOPHARMA INCCOM NEW55083R20363,990 shares$1,039,198not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST BK WILLIAMSTOWN NEW JECOM31931U10263,788 shares$1,039,107not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITIZENS INCCL A174740100197,594 shares$1,037,369not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HBT FINL INC.COM40411110641,100 shares$1,035,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNILEVER PLCSPON ADR NEW90476770417,440 shares$1,033,843not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHNG TRADED FD VISMITH OPPORT FXD33740F80523,200 shares$1,030,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALDEYRA THERAPEUTICS INCCOM01438T106197,300 shares$1,029,906not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAINSTREET BANCSHARES INCCOM56064Y10049,388 shares$1,028,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SABRE CORPCOM78573M104562,149 shares$1,028,733not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINCOLN NATL CORP INDCOM53418710925,474 shares$1,027,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD WORLD FDFINANCIALS ETF92204A4057,800 shares$1,023,672not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRIO TECH INTLCOM NEW896712205172,013 shares$1,020,037not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAFTECH INTL LTDCOM NEW38431360778,931 shares$1,011,895not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERNATIONAL FLAVORS&FRAGRACOM45950610116,400 shares$1,009,256not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUB GROUP INCCL A44332010629,172 shares$1,004,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAHAM HLDGS COCOM CL B384637104852 shares$1,003,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEOPLES BANCORP N C INCCOM71057710732,707 shares$1,002,797not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HENNESSY ADVISORS INCCOM42588510095,788 shares$1,000,995not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACUMEN PHARMACEUTICALS INCCOM00509G209584,292 shares$999,139not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTWATER RES INCCOM NEW9616842061,053,057 shares$999,035not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS MD CP GR ETF4642874817,000 shares$996,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TWFG INCCOM CL A87318A10136,300 shares$996,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HILLENBRAND INCCOM43157110836,820 shares$995,613not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOS BETTER ONLINE SOLUTIONSSHS NEW NIS 80M20115180208,367 shares$991,827not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEXEO THERAPEUTICS INCCOM52886X107149,300 shares$991,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUCOR CORPCOM6703461057,300 shares$988,639not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERIDIAN CORPORATIONCOM58958P10462,600 shares$988,454not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMES NATL CORPCOM03100110048,884 shares$988,434not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KYVERNA THERAPEUTICS INCCOM501976104164,614 shares$987,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORGE GLOBAL HOLDINGS INCCOM SHS34629L20258,379 shares$986,605not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUCELL CORPCOM PAR452525306157,289 shares$983,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS REGNL BKS ETF46428877818,700 shares$982,311not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACHIEVE LIFE SCIENCES INCCOM004468500310,764 shares$978,907not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITIZENS & NORTHN CORPCOM17292210649,341 shares$977,445not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NAVIENT CORPORATIONCOM63938C10873,800 shares$970,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TUYA INCSPONSERED ADS90114C107391,700 shares$967,499not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHOLASTIC CORPCOM80706610535,300 shares$966,514not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSSMALL CP ETF9229087513,800 shares$966,264not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROPETRO HLDG CORPCOM74347M108183,974 shares$964,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COGNITION THERAPEUTICS INCCOM19243B102713,500 shares$963,225not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMERALD HOLDING INCCOM29103W104187,757 shares$955,683not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WHITESTONE REITCOM96608420477,800 shares$955,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITE CONSTR INCCOM3873281078,700 shares$953,955not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANHATTAN BRDG CAP INCCOM562803106173,828 shares$953,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELTEK LTDSHSM4018420887,023 shares$952,902not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TITAN AMER SACOMMON SHARESB9151N10563,600 shares$950,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI EAFE MIN VL46429B68911,200 shares$950,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAR EQUITY HOLDINGS INCCOM NEW44378720585,026 shares$945,489not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORCHESTRA BIOMED HLDGS INCCOM68572M106380,508 shares$943,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MDXHEALTH SASHS NEWB5950S113202,800 shares$943,020not comparableThe immediately preceding quarter is not on record, so no comparison is published.
V2X INCCOM92242T10116,200 shares$941,058not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARRAY DIGITAL INFRASTRUCTURECOM91168410818,797 shares$940,038not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GROUP GROWTH ETFSHS CREATION UNI14020G10121,400 shares$939,888not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN CENTY ETF TRAVANTIS EMGMKT02507260412,500 shares$938,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TXNM ENERGY INCCOM69349H10716,600 shares$938,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARPARTS COM INCCOM14427M1071,316,800 shares$936,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TREAFE GRWTH ETF4642888858,200 shares$933,816not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTBLUE CHIP GRWTH31609235217,400 shares$933,684not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS ULDOW30 NEW74347G37442,400 shares$932,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAY MEDIA INCCOM389375106161,200 shares$931,736not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAVARA INCCOM805111101260,100 shares$928,557not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALT5 SIGMA CORPCOM47089W104344,300 shares$926,167not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUNA S ACLASS AL0415A103137,500 shares$924,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MILLER INDS INC TENNCOM NEW60055120422,800 shares$921,576not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INTL EQUITY INDEX FGLB EX US ETF92204267619,300 shares$921,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLAYBOY INCCOM72814P109626,605 shares$921,109not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NL INDS INCCOM NEW629156407149,514 shares$919,511not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMITHFIELD FOODS INCCOM83224820739,100 shares$918,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCRIPPS E W CO OHIOCL A NEW811054402372,212 shares$915,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUYU INTL HLDGS LTDSPONSORED ADS25985W204121,438 shares$913,214not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRP INCCOM SUN VTG05577W20015,000 shares$911,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BITWISE BITCOIN ETF TRSHS BEN INT09174C10414,600 shares$908,412not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVANOS MED INCCOM05350V10678,500 shares$907,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FVCBANKCORP INCCOM36120Q10169,875 shares$906,279not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONECONNECT FINL TECHNOLOGY CSPONSORED ADS68248T204119,360 shares$904,749not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELEDON PHARMACEUTICALS INCCOM28617K101349,200 shares$904,428not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTNUVEEN ICE MUNIC78468R72119,800 shares$902,286not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TECOGEN INC NEWCOM NEW87876P201102,200 shares$900,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMNEAL PHARMACEUTICALS INCCOM STK CL A03168L10589,900 shares$899,899not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MASTECH DIGITAL INCCOM57633B100118,027 shares$899,814not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THRYV HLDGS INCCOM NEW88602920674,600 shares$899,676not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEREWOLF THERAPEUTICS INCCOM95075A107456,000 shares$898,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WISDOMTREE TRJAPN HEDGE EQT97717W8517,000 shares$896,210not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMSCI USA QLT FCT46432F3394,600 shares$894,700not comparableThe immediately preceding quarter is not on record, so no comparison is published.
READING INTL INCCL A755408101607,990 shares$893,745not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EHEALTH INCCOM28238P109206,300 shares$889,153not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY PLTR BULL25461A4458,700 shares$886,095not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPINE INCOME PPTY TR INCCOM02083X10362,500 shares$885,625not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAPT THERAPEUTICS INCCOM NEW75382E20834,311 shares$884,881not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIVERSIFIED HEALTHCARE TRCOM SH BEN INT25525P107200,500 shares$884,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLEMA PHARMACEUTICALS INCCOM68062P10690,100 shares$882,079not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EQUILLIUM INCCOM29446K106614,923 shares$879,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INDUSTRIAL LOGISTICS PPTYS TCOM SHS BEN INT456237106150,500 shares$877,415not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXPEDIA GROUP INCCOM NEW30212P3034,100 shares$876,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FACTIVE VALUE ETF46641Q16712,700 shares$875,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARCUS & MILLICHAP INCCOM56632410929,800 shares$874,630not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EASTERLY GOVT PPTYS INCCOM SHS27616P30138,066 shares$872,853not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTMSCI HLTH CARE I31609260013,000 shares$869,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK MONTREAL MEDIUMMICROSECTORS FA06367V402169,769 shares$869,217not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WHITEHAWK THERAPEUTICS INCCOM00032Q104457,422 shares$869,102not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DENALI THERAPEUTICS INCCOM24823R10559,800 shares$868,296not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INFOSYS LTDSPONSORED ADR45678810853,200 shares$865,564not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSEEGO CORPCOM NEW45782B30257,746 shares$864,458not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPTICAL CABLE CORPCOM NEW683827208106,303 shares$863,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
8X8 INC NEWCOM282914100407,095 shares$863,041not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DBX ETF TRXTRACKRS S&P 50023305114314,300 shares$858,429not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENERGY RECOVERY INCCOM29270J10055,600 shares$857,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NAUTILUS BIOTECHNOLOGY INCCOM63909J1081,007,662 shares$851,374not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVINO SILVER & GOLD MINES LTCOM053906103161,800 shares$849,450not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OLD SECOND BANCORP INC ILLCOM68027710049,125 shares$849,126not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTHERN TECHNOLOGIES INTL CCOM665809109109,877 shares$847,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RESOLUTE HLDGS MGMT INCCOM76134H10111,691 shares$843,506not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTMENT MANAGERS SER TR ITRADR 2X LONG46092D1035,700 shares$841,890not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOAGE LABS INCCOM09077V100143,000 shares$840,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMNIAB INCCOM68218J103523,454 shares$837,526not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OUTDOOR HOLDING COCOM00175J107565,200 shares$836,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIRGINIA NATL BANKSHARES CORCOM92803110321,500 shares$834,415not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATURAL ALTERNATIVES INTL INCOM NEW638842302291,856 shares$832,986not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MDU RES GROUP INCCOM55269010946,750 shares$832,618not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTMENT MANAGERS SER TR ITRADR 1.5X SHORT46144X37074,400 shares$824,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSMCAP VL IDXVIP9229085124,700 shares$820,526not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSUS HEALTHCARE INCCOM81728J109261,134 shares$819,961not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FUS QUALTY FCTR46641Q76113,000 shares$817,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KENON HLDGS LTDSHSY4671710718,100 shares$817,577not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AEMETIS INCCOM NEW00770K202363,001 shares$816,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAIA INC NEWCL A36269P104137,700 shares$815,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUIPT HOME MEDICAL CORPCOM74880P104310,500 shares$810,405not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PASSAGE BIO INCCOM NEW702712209100,789 shares$809,336not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MECHANICS BANCORPCL A43785V10260,700 shares$807,917not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INFINITY NAT RES INCCOM CL A45694110361,400 shares$804,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FBETABUILDERS DEV46641Q23314,200 shares$800,028not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APPLE INCCOM0378331003,125 shares$797,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS 1000 VAL ETF4642875983,900 shares$794,001not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OIL STS INTL INCCOM678026105130,900 shares$793,254not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENERGY SVCS ACQUISITION CORPCOM29271Q10376,400 shares$790,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BAOZUN INCSPONSORED ADR06684L103195,016 shares$789,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIND TECHNOLOGY INCCOM NEW60256630997,540 shares$789,099not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRA GROUP INCCOM69354N10651,100 shares$788,984not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGI PWR X INCCOM SUB VTG25380B102342,700 shares$784,783not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRGLOBAL TECH ETF4642872917,600 shares$784,396not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRELUDE THERAPEUTICS INCCOM74065P101544,000 shares$783,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADVANCE AUTO PARTS INCCOM00751Y10612,750 shares$782,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLITARIO RESOURCES CORPCOM8342EP1071,117,671 shares$780,134not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKILLSOFT CORPCL A83066P30959,880 shares$779,638not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KORNIT DIGITAL LTDSHSM6372Q11357,700 shares$778,950not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNOVAGE HLDG CORPCOM45784A104150,900 shares$778,644not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VINCI COMPASS INVESTMENTS LTCOM CL AG9451V10972,132 shares$775,419not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CROWN CRAFTS INCCOM228309100266,442 shares$775,346not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRINTL TREA BD ETF46428811718,200 shares$775,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDNAT GAS ETF33733E80733,000 shares$775,170not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YATRA ONLINE INCORD SHSG98338109553,134 shares$774,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RESEARCH SOLUTIONS INCCOM761025105206,444 shares$770,036not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALGOMA STL GROUP INCCOM015658107216,333 shares$769,064not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IDENTIV INCCOM NEW45170X205222,160 shares$766,452not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI EMERG MRKT46428653312,000 shares$765,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALEDONIA MNG CORP PLCSHS NEWG1757E11321,127 shares$765,009not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KOPPERS HOLDINGS INCCOM50060P10627,300 shares$764,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUINCE THERAPEUTICS INCCOM22053A107468,598 shares$763,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOYA FINANCIAL INCCOM92908910010,200 shares$762,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARCBEST CORPCOM03937C10510,900 shares$761,583not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDMINING INCCOM38149E101618,700 shares$761,001not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMERSION CORPCOM452521107103,513 shares$759,785not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS SHORT DOW3074347B23531,200 shares$759,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CODEXIS INCCOM192005106310,486 shares$757,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUSD INV GRDE ETF46428862014,500 shares$757,190not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARNES & NOBLE ED INCCOM NEW06777U20075,900 shares$755,205not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KKR REAL ESTATE FIN TR INCCOM48251K10083,674 shares$753,066not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUSINESS FIRST BANCSHARES INCOM12326C10531,800 shares$750,798not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WEYCO GROUP INCCOM96214910024,826 shares$747,014not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED HOMES GROUP INCCL A91060H108180,800 shares$746,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMSTOCK INCCOM SHS205750409218,109 shares$745,933not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEELINE HOLDINGS INCCOM NEW277802500188,140 shares$745,034not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMBAC FINL GROUP INCCOM NEW02313988489,200 shares$743,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETWORK-1 TECHNOLOGIES INCCOM64121N109495,831 shares$743,747not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAKE SHORE BANCORP INCCOM51070410957,141 shares$742,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PURPLE INNOVATION INCCOM74640Y106794,043 shares$741,795not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSEONICS HLDGS INCCOM81727U1051,701,744 shares$741,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRINSEO PLCSHSG9059U107314,700 shares$739,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF92204285813,570 shares$735,223not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VENTYX BIOSCIENCES INCCOM92332V107235,000 shares$730,850not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MESA LABS INCCOM59064R10910,900 shares$730,409not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIVERSAL ELECTRS INCCOM913483103156,723 shares$730,329not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARECLOUD INCCOM14167R100227,500 shares$730,275not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED SEC BANCSHARES CALIFCOM91146010378,248 shares$730,054not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMC NETWORKS INCCL A00164V10387,800 shares$723,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUNGE GLOBAL SACOM SHSH113561048,900 shares$723,125not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NATIONAL BANKSHARES INC VACOM63486510924,470 shares$720,397not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIYIELDMAX TSLA OP88636J44476,100 shares$717,623not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLEXSHARES TRMORNSTAR UPSTR33939L40716,300 shares$713,614not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOR BIOPHARMA INCCOM NEW92903320714,600 shares$711,312not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS HLTHCARE ETF46428776212,100 shares$710,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KATAPULT HOLDINGS INCCOM NEW48585920159,400 shares$710,424not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAITRON COMPONENTS INCCL A874028103286,139 shares$709,625not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HYLIION HOLDINGS CORPCOMMON STOCK449109107359,300 shares$707,821not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROOKFIELD WEALTH SOL LTDCL A EXCHANGEABG1743410410,305 shares$705,789not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN FINL SVCS CORPCOM35352510815,300 shares$703,800not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OAK VY BANCORP OAKDALE CALIFCOM67180710524,973 shares$703,489not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEWMARK GROUP INCCL A65158N10237,500 shares$699,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BUILD-A-BEAR WORKSHOP INCCOM12007610410,709 shares$698,334not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PURE CYCLE CORPCOM NEW74622830362,900 shares$696,303not comparableThe immediately preceding quarter is not on record, so no comparison is published.
A2Z CUST2MATE SOLUTIONS CORPCOM00220510287,000 shares$695,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAESARSTONE LTDORD SHSM20598104434,162 shares$690,318not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERSANA THERAPEUTICS INCCOM59045L20588,465 shares$686,488not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SB FINL GROUP INCCOM78408D10535,525 shares$685,277not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JPMORGAN CHASE & CO.COM46625H1002,167 shares$683,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YOUDAO INCSPONSORED ADS98741T10468,700 shares$682,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIMONEIRA COCOM53274610445,800 shares$680,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDLY S&P500 BR 1X25460E86970,700 shares$679,427not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FINANCE OF AMERICA COMPANCL A NEW31738L20630,287 shares$679,337not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QVC GROUP INCCOM SER A NEW74915M60550,331 shares$678,965not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AEVA TECHNOLOGIES INCCOM NEW00835Q20246,800 shares$678,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTISOURCE PORTFOLIO SOLUTIOSHS NEWL0175J13858,148 shares$678,006not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X LONG BABA DAI38747R86811,900 shares$677,943not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXPEDITORS INTL WASH INCCOM3021301095,516 shares$676,206not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONTAUK RENEWABLES INCCOM61218C103336,400 shares$676,164not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROCKWELL MED INCCOM NEW774374300562,205 shares$674,646not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LESAKA TECHNOLOGIES INCCOM NEW64107N206162,000 shares$672,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NWPX INFRASTRUCTURE INCCOM66774610112,697 shares$672,052not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTS&P SEMICNDCTR78464A8622,100 shares$670,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITIZENS CMNTY BANCORP INC MCOM17490310441,700 shares$670,119not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JIAYIN GROUP INCSPONSORED ADS47737C10464,100 shares$661,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METALLA RTY & STREAMING LTDCOM NEW59124U605103,761 shares$658,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ULTRAGENYX PHARMACEUTICAL INCOM90400D10821,900 shares$658,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KALARIS THERAPEUTICS INCCOM482929106112,751 shares$651,701not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POWERFLEET INCCOM73931J109124,196 shares$650,787not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIMMONS 1ST NATL CORPCL A $1 PAR82873020033,857 shares$649,039not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NERDY INCCL A COM64081V109515,023 shares$648,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYNCHRONOSS TECHNOLOGIES INCCOM NEW87157B400106,174 shares$645,538not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOPGOLF CALLAWAY BRANDS CORPCOM13119310467,900 shares$645,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WPP PLC NEWADR92937A10225,700 shares$643,785not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONFLUENT INCCLASS A COM20717M10332,400 shares$641,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIBERTY MEDIA CORP DELCOM LBTY LIV S A5312297486,800 shares$641,240not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARTER BANKSHARES INCCOM NEW14610310633,000 shares$640,530not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITY BANCORP INCCOM91329010213,000 shares$635,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYOMO INCCOM NEW62857J201712,094 shares$635,188not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYSCO CORPCOM8718291077,700 shares$634,018not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WIDEPOINT CORPCOMMON967590209128,200 shares$633,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLACKROCK ETF TRUSTISHARES US THEMA09290C80616,700 shares$632,262not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTPREFERRED SECURT92189F42935,513 shares$631,066not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARINE PRODS CORPCOM56842710871,102 shares$630,675not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIMPRESS PLCSHS EUROG2143T10310,000 shares$630,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NCS MULTISTAGE HLDGS INCCOM NEW62887720112,344 shares$630,285not comparableThe immediately preceding quarter is not on record, so no comparison is published.
USIO INCCOM917313108441,241 shares$626,562not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HERITAGE GLOBAL INCCOM42727E103371,332 shares$616,411not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCH TRD SLF IDX FDBULSHS 2026 CB46138J79131,486 shares$615,866not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEUROONE MED TECHNOLOGIES COCOM NEW64130M209692,600 shares$615,444not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FURY GOLD MINES LIMITEDCOM36117T100940,500 shares$614,241not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRFUTURE AI & TECH46435U55613,400 shares$613,452not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRPSHS ULTRA DOW3074347R3055,700 shares$611,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UPLAND SOFTWARE INCCOM91544A109257,709 shares$610,770not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XEROX HOLDINGS CORPCOM NEW98421M106162,100 shares$609,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEAM INCCOM NEW87815530836,751 shares$609,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIGIMARC CORP NEWCOM25381B10162,200 shares$607,694not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDLY AAPL BEAR 1X25461A30443,400 shares$607,600not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALUMIS INCCOM022307102151,568 shares$604,756not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AURA BIOSCIENCES INCCOM05153U10797,608 shares$603,217not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS BR DEL SE ETF4642887943,400 shares$601,392not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIVE VENTURES INCCOM NEW53814230832,499 shares$597,007not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRULTRASHORT RUSSE74347G16817,600 shares$596,112not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TILE SHOP HLDGS INCCOM88677Q10998,225 shares$594,261not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDAILY TSM BULL25461A54412,600 shares$592,704not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHAIN BRIDGE BANCORP INCCL A15746L10018,000 shares$589,140not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU S EQUITY FACTR46434V2828,500 shares$587,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST MID ILL BANCSHARES INCCOM32086610615,500 shares$587,140not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOOKING HOLDINGS INCCOM09857L108108 shares$587,122not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES INCMSCI ITALY ETF46434G83011,300 shares$587,035not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSSM CP VAL ETF9229086112,800 shares$584,388not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FOGHORN THERAPEUTICS INCCOM344174107118,236 shares$578,174not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOTE CORPCLASS A COM090683103192,694 shares$578,082not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTPORTFOLIO S&P40078464A84710,100 shares$577,619not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRGLOB HLTHCRE ETF4642873256,500 shares$576,030not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERUS CONSTR GROUPCOM3004261036,700 shares$574,525not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VITESSE ENERGY INCCOMMON STOCK92852X10324,600 shares$571,458not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OUTSET MED INCCOM NEW69014520640,460 shares$571,295not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAUREATE EDUCATION INCCOMMON STOCK51861320318,100 shares$570,874not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHOICEONE FINL SVCS INCCOM17038610619,700 shares$570,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL X FDSRUSSELL 200037954Y45937,900 shares$570,395not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OHIO VY BANC CORPCOM67771910615,375 shares$568,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRGLOBAL 100 ETF4642875724,700 shares$564,047not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FARMERS NATIONAL BANC CORPCOM30962710739,084 shares$563,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CERAGON NETWORKS LTDORDM22013102241,500 shares$562,695not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PULMATRIX INCCOM74584P301114,390 shares$555,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NABORS INDUSTRIES LTDSHSG6359F13713,600 shares$555,832not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOATLA INCCOM09077B104800,631 shares$550,754not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPRINKLR INCCL A85208T10771,300 shares$550,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGACY HOUSING CORPCOM52472M10120,000 shares$550,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SWK HLDGS CORPCOM NEW78501P20337,800 shares$549,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JBS N.V.CL A SHSN4732M10336,710 shares$549,335not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CVD EQUIP CORPCOM126601103163,082 shares$547,956not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FACTIVE BOND ETF46654Q71610,088 shares$546,366not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERELLA WEINBERG PARTNERSCLASS A COM71367G10225,600 shares$545,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOAH HLDGS LTDSPON ADS65487X10246,800 shares$542,412not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BETTERWARE DE MEXC S A P I DSHSP1666E10540,300 shares$542,035not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPINNAKER ETF SERIESSELECT STOXX EUR84858T77211,500 shares$540,155not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONSTELLIUM SECL A SHSF2110710136,300 shares$540,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALIGOS THERAPEUTICS INCCOM NEW01626L20455,019 shares$539,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PULMONX CORPCOM745848101332,810 shares$539,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUBLEDOWN INTERACTIVE CO LTADS25862B10957,716 shares$539,067not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FRANKLIN WIRELESS CORPCOM355184102123,300 shares$537,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLAYSTUDIOS INCCLASS A COM72815G108555,970 shares$535,177not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. MED DVC ETF4642888108,900 shares$534,712not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELICIO THERAPEUTICS INCCOM28657F10348,671 shares$532,461not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TROIL GAS BL 2X SH25460G50021,600 shares$531,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IZEA WORLDWIDE INCCOM NEW46604H204142,399 shares$529,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COPT DEFENSE PROPERTIESSHS BEN INT22002T10818,200 shares$528,892not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADAPTIMMUNE THERAPEUTICS PLCSPONDS ADS00653A1074,054,089 shares$527,032not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WESTROCK COFFEE COCOM96145W103107,925 shares$524,516not comparableThe immediately preceding quarter is not on record, so no comparison is published.
U S GLOBAL INVS INCCL A902952100190,084 shares$522,731not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P 500 GARP ETF46137V4314,600 shares$522,652not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INOTIV INCCOM45783Q100359,764 shares$521,658not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THEMES ETF TRLEVERAGE SHS 2X8829274604,500 shares$520,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANK MONTREAL MEDIUMMICROSECTORS GOL06367V600599,319 shares$519,729not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FB BANCORP INCCOM31425A10943,200 shares$519,264not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SHATTUCK LABS INCCOM82024L103216,867 shares$518,312not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEGACY ED INCCOM52474R20754,100 shares$517,737not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERITEX HLDGS INCCOM92345110815,423 shares$517,133not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMTECH TELECOMMUNICATIONS CCOM NEW205826209200,176 shares$516,454not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEBBLEBROOK HOTEL TRCOM70509V10045,100 shares$513,689not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENFIRE RES LTD NEWCOM SHS39525U107110,700 shares$511,434not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRILOGY METALS INC NEWCOM89621C105243,500 shares$511,350not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITI TRENDS INCCOM17306X10216,457 shares$510,661not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOUGLAS DYNAMICS INCCOM25960R10516,300 shares$509,538not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUPERIOR GROUP OF CO INCCOM86835810247,500 shares$509,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IGC PHARMA INCCOM NEW45408X3081,218,965 shares$508,187not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVISTA CORPCOM05379B10713,400 shares$506,654not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JERASH HLDGS US INCCOM47632P101152,470 shares$506,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVI INDS INCCOM26929N10215,997 shares$505,665not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARQ INCCOM00770C10170,381 shares$503,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FINWISE BANCORPCOM31813A10925,917 shares$502,531not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EURODRY LTDCOMY2350810740,100 shares$501,246not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KOSMOS ENERGY LTDCOM500688106300,253 shares$498,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATEGRITY SPECIALTY IN CO HOCOM04681Y10325,148 shares$497,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELECTROCORE INCCOM NEW28531P202100,286 shares$496,416not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JASPER THERAPEUTICS INCCOM NEW471871202208,500 shares$496,230not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANGEL OAK MORTGAGE REIT INCCOM03464Y10852,878 shares$495,467not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAVE RESTAURANT GROUP INCCOM754198109149,258 shares$495,387not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIDEF DLY TGT AVGO88636J23810,325 shares$494,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KAISER ALUMINUM CORPCOM PAR $0.014830077046,400 shares$493,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMART SAND INCCOM83191H107230,500 shares$493,270not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS CONSUM DISCRE4642875804,700 shares$492,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TORO CORPCOMY8900D108156,600 shares$491,724not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAO SYNERGIES INCCOM87167T30075,045 shares$491,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIXELWORKS INCCOM72581M40444,762 shares$490,592not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY D & D BANCORP INCCOM31609R10011,191 shares$490,502not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AN2 THERAPEUTICS INCCOM037326105385,597 shares$489,708not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLUMAS BANCORPCOM72927310211,305 shares$487,698not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN VANGUARD CORPCOM03037110884,900 shares$487,326not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AQUESTIVE THERAPEUTICS INCCOM03843E10487,000 shares$486,330not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONTINEUM THERAPEUTICS INCCL A21217B10041,200 shares$484,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ONKURE THERAPEUTICS INCCOM CL A68277Q105175,750 shares$483,313not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIRTUS INVT PARTNERS INCCOM92828Q1092,529 shares$480,586not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRISTOW GROUP INCCOM11040G10313,273 shares$478,890not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BREAD FINANCIAL HOLDINGS INCCOM0185811088,542 shares$476,387not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APYX MEDICAL CORPORATIONCOM03837C106221,697 shares$474,432not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROCKY MTN CHOCOLATE FACTORYCOM77467X101298,218 shares$474,167not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTURY CASINOS INCCOM156492100181,649 shares$474,104not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OCUGEN INCCOM67577C105290,200 shares$473,026not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GROUP DIVIDEND GROWESHS ETF14021L10913,600 shares$471,240not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNION BANKSHARES INCCOM90540010719,013 shares$470,762not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEOSPACE TECHNOLOGIES CORPCOM37364X10924,800 shares$470,208not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOVA LIFESTYLE INCCOM66979P30085,300 shares$470,003not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELLAS LIFE SCIENCES GROUP ICOM NEW81642T209291,822 shares$469,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AUBURN NATL BANCORPCOM05047310716,509 shares$469,516not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STIFEL FINL CORPCOM8606301024,115 shares$466,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST COMWLTH FINL CORP PACOM31982910727,300 shares$465,465not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BANCFIRST CORPCOM05945F1033,679 shares$465,210not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VALUE LINE INCCOM92043710011,900 shares$465,052not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TANGO THERAPEUTICS INCCOM87583X10955,300 shares$464,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERRA MOBILITY CORPCL A COM STK92511U10218,800 shares$464,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENESTECH INCCOM NEW81720R604105,635 shares$463,738not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XTANT MED HLDGS INCCOM NEW98420P308713,915 shares$463,259not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LITHIUM ARGENTINA AGCOM SHSH5012F103138,600 shares$462,924not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIVEPERSON INCCOM538146101792,200 shares$462,090not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACTINIUM PHARMACEUTICALS INCCOM00507W206288,630 shares$461,808not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WOORI FINL GROUP INCSPONSORED ADS9810641088,200 shares$460,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENTREE HOSPITALITY GROUPSPONSORED ADS39579V100208,889 shares$459,556not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RENASANT CORPCOM75970E10712,428 shares$458,469not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS TELECOM ETF46428771314,200 shares$458,092not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESTMENT MANAGERS SER TR ITRADR 1X SHORT46144X13115,900 shares$456,171not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERLINK ELECTRS INCCOM NEW45875130235,796 shares$455,325not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAFE PRO GROUP INCCOM78642D10164,600 shares$453,492not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEZAR LIFE SCIENCES INCCOM NEW49372L209115,885 shares$451,952not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NETCAPITAL INCCOM NEW64113L202188,146 shares$451,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DISC MEDICINE INCCOM2546041016,800 shares$449,344not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SERITAGE GROWTH PPTYSCL A81752R100105,500 shares$448,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROCKET PHARMACEUTICALS INCCOM77313F106137,177 shares$447,197not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BETA BIONICS INCCOM08659B10222,500 shares$447,075not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MBIA INCCOM55262C10060,000 shares$447,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVERCOMMERCE INCCOM29977X10540,000 shares$445,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IRIDEX CORPCOM462684101389,060 shares$443,723not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRULTRA BITCOIN ET74349Y7048,300 shares$443,137not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZHIHU INCSPONSORED ADS98955N20786,288 shares$437,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOOD TIMES RESTAURANTS INCCOM NEW382140879268,283 shares$437,301not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAMBIUM NETWORKS CORPSHSG17766109487,992 shares$436,411not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LANTERN PHARMA INCCOM51654W101100,100 shares$435,435not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENTERO THERAPEUTICS INCCOM NEW33749P50786,400 shares$432,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TENAX THERAPEUTICS INCCOM NEW88032L60556,600 shares$430,726not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KESTREL GROUP LTDCOMG5260K10215,748 shares$430,078not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIONNA THERAPEUTICS INCCOM82940110814,600 shares$429,386not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NORTECH SYS INCCOM65655310447,299 shares$427,110not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE BEAUTY HEALTH COMPANYCOM CL A88331L108214,491 shares$426,837not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOCGO INCCOM256086109312,135 shares$424,504not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KARYOPHARM THERAPEUTICS INCCOM NEW48576U20564,714 shares$423,230not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NRX PHARMACEUTICALS INCCOM NEW629444209128,175 shares$422,978not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIREXION SHS ETF TRDLY ENRGY BULL2X25460G6097,500 shares$422,775not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CORE LABORATORIES INCCOM21867A10534,181 shares$422,477not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JOHN HANCOCK EXCHANGE TRADEDMULTIFACTOR MI47804J2066,500 shares$420,485not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLIPPER RLTY INCCOM18885T306110,457 shares$419,737not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IROBOT CORPCOM462726100116,676 shares$418,867not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATIV HOLDINGS INCCOM80854110636,900 shares$417,339not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DEUTSCHE BANK A GNAMEN AKTD1819089811,664 shares$409,814not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JINKOSOLAR HLDG CO LTDSPONSORED ADR47759T10017,000 shares$408,510not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERIMETER SOLUTIONS INCCOMMON STOCK71385M10718,200 shares$407,498not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIFCO INDS INCCOM82654610357,834 shares$407,232not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRILLIANT EARTH GROUP INCCL A COM109504100196,100 shares$405,927not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SELECTQUOTE INCCOM816307300205,700 shares$403,172not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROOKFIELD BUSINESS CORPCL A EXC SUB VTG11259V10612,000 shares$402,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUANTASING GROUP LTDADS74767N10744,600 shares$402,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAS CAR-MART INCCOM03062T10513,772 shares$402,280not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARNWELL INDS INCCOM068221100308,650 shares$401,245not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RENOVORX INCCOM NEW75989R107313,550 shares$398,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAXOR CORPCOM23946710328,921 shares$398,098not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P SMLCP MOMENT46137V4985,400 shares$397,278not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MID PENN BANCORP INCCOM59540G10713,867 shares$397,151not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELECTRO-SENSORS INCCOM28523310282,900 shares$396,262not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METAGENOMI INCCOM59102M104167,000 shares$395,790not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRMORTGE REL ETF46435G34218,000 shares$395,460not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGYAR BANCORP INCCOM55977T20822,886 shares$395,241not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOTH THERAPEUTICS INCCOM NEW44148G204243,921 shares$395,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEXICON PHARMACEUTICALS INCCOM NEW528872302292,400 shares$394,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORAMED PHARMACEUTICALS INCCOM NEW68403P203148,900 shares$393,096not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRANSCONTINENTAL RLTY INVSCOM NEW8936172098,500 shares$392,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFETIME BRANDS INCCOM53222Q103100,851 shares$390,293not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEPHROS INCCOM64067140082,500 shares$390,225not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAL PLAINS BANCSHARES INCOM15486W10023,900 shares$389,570not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPTIMUMBANK HLDGS INCCOM68401P40394,700 shares$388,270not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDSMID RISNG ETF33741X10210,200 shares$387,799not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENASYS INCCOM36872P103158,236 shares$387,678not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MINDWALK HOLDINGS CORPCOM602687105220,480 shares$385,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEO GROUP INC NEWCOM36162J10618,691 shares$382,979not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERFECT CORPCL A ORD SHSG7006A109203,695 shares$382,947not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENWICH LIFESCIENCES INCCOM39687910838,400 shares$382,080not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HANOVER INS GROUP INCCOM4108671052,100 shares$381,423not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARVARD BIOSCIENCE INCCOM416906105868,478 shares$380,828not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DATA STORAGE CORPCOM NEW23786R20187,900 shares$379,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMSCORE INCCOM NEW20564W20443,321 shares$378,192not comparableThe immediately preceding quarter is not on record, so no comparison is published.
US GOLDMINING INCCOM90291W10829,400 shares$377,937not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCILEX HOLDING COCOM NEW80880W20519,164 shares$377,148not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANECK ETF TRUSTMRNGSTR WDE MOAT92189F6433,800 shares$376,618not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACRES COMMERCIAL REALTY CORPCOM NEW00489Q10217,794 shares$376,521not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEUEHEALTH INCCOM NEW10920V40456,263 shares$375,274not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANITOWOC CO INCCOM NEW56357140537,400 shares$374,374not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DESTINATION XL GROUP INCCOM25065K104285,500 shares$374,005not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHECHE GROUP INCORD SHS CL AG20707108296,373 shares$373,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPRUCE POWER HOLDING CORPCOM NEW9837FR209152,320 shares$373,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RADIAN GROUP INCCOM75023610110,200 shares$369,444not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COPART INCCOM2172041068,200 shares$368,754not comparableThe immediately preceding quarter is not on record, so no comparison is published.
S & T BANCORP INCCOM7838591019,800 shares$368,382not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAPID MICRO BIOSYSTEMS INCCLASS A COM75340L104110,187 shares$368,025not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIXTE BIOTECHNOLOGY HLDGS INCOM53931930173,150 shares$367,945not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YUANBAO INCSPONSORED ADS98791010618,697 shares$367,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DRAGONFLY ENERGY HOLDINGS COCOM NEW26145B304615,504 shares$366,102not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CPS TECHNOLOGIES CORPCOM12619F104102,112 shares$364,540not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIMCO ETF TRACTIVE BD ETF72201R7753,900 shares$364,065not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KEY TRONIC CORPCOM493144109101,900 shares$363,783not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAMESQUARE HLDGS INCCOM36468G103534,100 shares$362,547not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METROPOLITAN BK HLDG CORPCOM5917741044,817 shares$360,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROSHARES TRSHORT BITCOIN ET74347G18419,600 shares$360,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RICHMOND MUT BANCORPORATIONCOM76525P10025,342 shares$360,110not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RETRACTABLE TECHNOLOGIES INCCOM76129W105427,564 shares$360,009not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENCORE CAP GROUP INCCOM2925541028,600 shares$358,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIBROGEN INCCOM NEW31572Q88129,281 shares$358,692not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HOOKER FURNISHINGS CORPORATICOM43903810035,300 shares$358,295not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TIDAL TRUST IIDEFIANCE DT 2X L88636R1239,200 shares$357,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RALLYBIO CORPCOM75120L100714,800 shares$356,685not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAMILTON BEACH BRANDS HLDG CCOM CL A40701T10424,700 shares$354,939not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOOP INDS INCCOM543518104239,300 shares$354,164not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRRUS 2000 GRW ETF4642876481,100 shares$352,044not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FINVOLUTION GROUPSPONSORED ADS31810T10147,700 shares$351,549not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CODA OCTOPUS GROUP INCCOM NEW19188U20643,714 shares$350,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY COVINGTON TRUSTMSCI UTILS INDEX3160928656,200 shares$350,114not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEPGEN INCCOM71331710575,700 shares$349,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRENETICS GLOBAL LTDSHS NEWG7224512226,222 shares$348,753not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VASTA PLATFORM LTDCL AG9440A10970,016 shares$347,980not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUNIC INCCOM4525EP101391,653 shares$345,281not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REGIS CORPORATIONCOM SHS75893220611,844 shares$345,253not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERA BRADLEY INCCOM92335C106171,740 shares$345,197not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE-TRADED FDNO AMER ENERGY33738D1019,000 shares$344,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MUELLER WTR PRODS INCCOM SER A62475810813,500 shares$344,520not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRU.S. UTILITS ETF4642876973,100 shares$343,790not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ACCESS NEWSWIRE INCCOM NEW46520M20431,938 shares$342,695not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TAEROSPACE DEFN46137V1002,200 shares$341,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN INTEGRITY INS GROUPCOM02694810915,300 shares$341,343not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RELMADA THERAPEUTICS INCCOM75955J402169,700 shares$341,097not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CAPITAL GRP FIXED INCM ETF TCORE BOND ETF14020Y50812,700 shares$337,566not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JEWETT CAMERON TRADING LTDCOM NEW47733C20798,128 shares$337,560not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABRDN PLATINUM ETF TRUSTPHYSCL PLATM SHS0032601062,353 shares$336,197not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABVC BIOPHARMA INCCOM NEW00091F304110,500 shares$335,920not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CEVA INCCOM15721010512,700 shares$335,407not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MANNATECH INCCOM NEW56377120333,378 shares$331,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APOLLO COML REAL EST FIN INCCOM03762U10532,540 shares$329,630not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIDELITY WISE ORIGIN BITCOINSHS3159481093,300 shares$329,373not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTAEROSPACE DEF78464A6311,400 shares$328,944not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS CONSM STAPLES4642878124,800 shares$328,272not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHICAGO RIVET & MACH COCOM16808810231,410 shares$328,235not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRUEBLUE INCCOM89785X10153,500 shares$327,955not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INTL EQUITY INDEX FFTSE SMCAP ETF9220427182,300 shares$327,865not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORIGIN BANCORP INCCOM68621T1029,400 shares$324,488not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASHFORD HOSPITALITY TR INCCOM NEW04410379454,903 shares$323,928not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COEPTIS THERAPEUTICS HLDGS ICOM NEW19207A20718,500 shares$323,010not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADVANCED FLOWER CAP INCCOM00109K10584,300 shares$322,869not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRAN & COMPANY INCCOMMON STOCK86260J102193,831 shares$321,759not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRESCENT BIOPHARMA INC.COMG2545C10426,900 shares$319,841not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROKIDNEY CORPSHS CL A74291D104132,000 shares$319,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPDR SERIES TRUSTS&P INS ETF78464A7895,380 shares$319,142not comparableThe immediately preceding quarter is not on record, so no comparison is published.
D MARKET ELECTR SVCS & TRADISPONSORED ADS23292B104118,188 shares$317,926not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARKETWISE INCCOM NEW CL A57064P20618,999 shares$314,053not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CISO GLOBAL INCCOM NEW15672X201297,500 shares$312,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENTRAIS ELETRICAS BRASILEIRSPON ADR PFD B15234Q10830,100 shares$311,836not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONTEXT THERAPEUTICS INCCOM21077P108320,127 shares$310,139not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUMMIT MIDSTREAM CORPORATIONCOM86614G10115,000 shares$308,100not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INUVO INCCOM46122W30387,541 shares$307,269not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAMMOTH ENERGY SVCS INCCOM56155L108133,972 shares$306,796not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGNACHIP SEMICONDUCTOR CORPCOM55933J20397,900 shares$306,427not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LISATA THERAPEUTICS INCCOM128058302116,622 shares$305,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPASS MINERALS INTL INCCOM20451N10115,900 shares$305,280not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMAGENEBIO INCCOM45175G20737,378 shares$304,631not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTO NEUROSCIENCE INCCOM SHS02157Q10975,772 shares$304,603not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROADWIND INCCOM NEW11161T207145,000 shares$304,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXPOINT DIVERSIFIED REL ETCOM NEW65340G20582,435 shares$304,185not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GUARDFORCE AI CO LTDSHS NEWG4236L138275,900 shares$303,490not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MURAL ONCOLOGY PUB LTD COORD SHSG63365103146,000 shares$302,220not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALX ONCOLOGY HLDGS INCCOM00166B105164,499 shares$301,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NANOVIRICIDES INCCOM630087302210,500 shares$301,015not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CATALYST BANCORP INCCOMMON STOCK14888L10122,800 shares$300,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROG HOLDINGS INCCOM NPV74319R1019,284 shares$300,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TRUS HOME CONS ETF4642887522,800 shares$300,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SILGAN HLDGS INCCOM8270481096,980 shares$300,210not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SERVICE PPTYS TRCOM SH BEN INT81761L102110,400 shares$299,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CO-DIAGNOSTICS INCCOM189763105867,522 shares$298,428not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLIMPSE GROUP INCCOM37892C106181,633 shares$297,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WORKHORSE GROUP INCCOM NEW98138J404270,500 shares$297,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUCID DIAGNOSTICS INCCOM54948X109293,633 shares$296,569not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CPI CARD GROUP INCCOM NEW12634H20019,587 shares$296,547not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BINGEX LTDSPONSORED ADS A09033710692,209 shares$295,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLAIZE HLDGS INCCOM09291510785,400 shares$294,630not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LAM RESEARCH CORPCOM NEW5128073062,200 shares$294,580not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMERSON RADIO CORPCOM NEW291087203675,088 shares$293,731not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNRISE RLTY TR INCCOM86798110228,100 shares$291,959not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CURIS INCCOM231269309175,513 shares$291,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZYNEX INCCOM98986M103199,562 shares$289,365not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MORGAN STANLEY ETF TRUSTEATON VANCE TOTA61774R8415,600 shares$288,120not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCULLY ROYALTY LTDCOM SHSG7T96K10747,814 shares$286,884not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPUS GENETICS INCCOM67577R102173,809 shares$286,785not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STAR HLDGSSHS BEN INT85512G10634,799 shares$286,396not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BETTER HOME & FINANCE HOLDINCOM NEW CL A08774B5085,100 shares$286,314not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANGUARD INDEX FDSGROWTH ETF922908736596 shares$285,848not comparableThe immediately preceding quarter is not on record, so no comparison is published.
W & T OFFSHORE INCCOM92922P106156,900 shares$285,558not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALSET INCCOM NEW02115D208112,266 shares$284,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NINE ENERGY SERVICE INCCOM65441V101449,336 shares$283,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CS DISCO INCCOM12632710543,800 shares$282,948not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INHIBRX BIOSCIENCES INCCOM45720N1038,400 shares$282,912not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONTROSE ENVIRONMENTAL GROUPCOM61511110110,300 shares$282,838not comparableThe immediately preceding quarter is not on record, so no comparison is published.
J P MORGAN EXCHANGE TRADED FCORE PLUS BD ETF46641Q6705,900 shares$280,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOMPKINS FINL CORPCOM8901101094,230 shares$280,068not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOUTHLAND HLDGS INCCOM84445C10065,250 shares$279,923not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALPHA TAU MEDICAL LTDORDINARY SHARESM0740A10861,900 shares$279,169not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BALLYS CORPORATIONCOMMON STOCK05875B30425,137 shares$279,021not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PDS BIOTECHNOLOGY CORPCOM70465T107275,861 shares$278,620not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEWS CORP NEWCL B65249B2088,063 shares$278,577not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HIGHWAY HLDGS LTDORDG4481U106169,315 shares$277,677not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIRIUSPOINT LTDCOMG8192H10615,300 shares$276,777not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COMPASS THERAPEUTICS INCCOM20454B10479,000 shares$276,500not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMADA HEALTH INCCOM68170A10812,500 shares$276,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOUNDLESS BIO INCCOM10170A100223,562 shares$274,981not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORANGE CNTY BANCORP INCCOM68417L10710,900 shares$274,789not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BURNING ROCK BIOTECH LTDSPONSORED ADS12233L20631,717 shares$274,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CODERE ONLINE LUXEMBOURG S AORDINARY SHARESL1826810939,700 shares$273,930not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS SMALL CAP ETF25434V5004,000 shares$273,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROADCOM INCCOM11135F101827 shares$272,404not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EDUCATIONAL DEV CORPCOM281479105204,545 shares$272,045not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATARA BIOTHERAPEUTICS INCCOM NEW04651320618,936 shares$271,353not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMYLYX PHARMACEUTICALS INCCOM03237H10119,900 shares$270,441not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VINCE HLDG CORPCOM NEW92719W20780,850 shares$270,039not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUXFER HLDGS PLCSHSG5698W11619,400 shares$269,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LM FDG AMER INCCOM NEW502074503235,200 shares$268,128not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INVESCO EXCHANGE TRADED FD TS&P500 EQL TEC46137V2826,000 shares$267,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIGHTINTHEBOX HLDG CO LTDSPONSORED ADR53225G201127,333 shares$267,399not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATOMERA INCCOM04965B10060,300 shares$266,526not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CPI AEROSTRUCTURES INCCOM NEW125919308105,646 shares$266,228not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN RLTY INVS INCCOM02917410915,899 shares$265,990not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEETAH MOBILE INCSPONSORED ADS16307520332,845 shares$264,731not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GENELUX CORPORATIONCOM36870H10362,900 shares$264,180not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALVOTECHORDINARY SHARESL0180010832,166 shares$263,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLD ROYALTY CORPCOMMON SHARES38071H10668,185 shares$263,194not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOGOTA FINL CORPCOM09723510528,851 shares$262,475not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SM ENERGY COCOM78454L10010,500 shares$262,185not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LARGO INCCOM517097101174,663 shares$261,995not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AIRJOULE TECHNOLOGIES CORPCL A61216010155,600 shares$260,764not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VISA INCCOM CL A92826C839764 shares$260,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTISOURCE PORTFOLIO SOLUTIO*W EXP 04/30/203L0175J112370,022 shares$259,015not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERFORMANCE SHIPPING INCCOMMON SHARESY67305154136,700 shares$258,363not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUVECTIS PHARMA INCCOM67080T10842,800 shares$257,656not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WILLAMETTE VY VINEYARD INCCOM96913610072,152 shares$257,583not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RHINEBECK BANCORP INCCOM76209310222,600 shares$256,736not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIVEONE INCCOM NEW53814X30062,108 shares$256,506not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AGENUS INCCOM NEW00847G80466,200 shares$254,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCHWAB STRATEGIC TRUS BRD MKT ETF8085241029,900 shares$254,529not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOANDEPOT INCCOM CL A53946R10682,100 shares$252,047not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST CAP INCCOM31942S1045,500 shares$251,900not comparableThe immediately preceding quarter is not on record, so no comparison is published.
URBAN EDGE PPTYSCOM91704F10412,300 shares$251,781not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRACE THERAPEUTICS INCCOM00439U10484,561 shares$251,738not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRAEGER INCCOMMON STOCK89269P103206,272 shares$251,652not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KLX ENERGY SERVICS HOLDNGS ICOM NEW48253L205129,900 shares$249,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X SHORT COIN38747R3636,000 shares$249,060not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WIMI HOLOGRAM CLOUD INCORD SHS CL B NEWG9687V20454,391 shares$248,023not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST TR EXCHANGE TRADED FDUTILITIES ALPH33734X1845,400 shares$245,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MINERVA NEUROSCIENCES INCCOM NEW603380205116,500 shares$245,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMUNEERING CORPCLASS A COM45254E10735,000 shares$245,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OCEAN PWR TECHNOLOGIES INCCOM NEW674870506485,617 shares$244,605not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEDICINOVA INCCOM NEW58468P206192,500 shares$244,475not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTE BIOSCIENCES INCCOM NEW34962G20816,200 shares$243,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HYDROFARM HLDGS GROUP INCCOM44888K40773,763 shares$242,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST SEACOAST BANCORP INCCOM33631F10420,932 shares$240,718not comparableThe immediately preceding quarter is not on record, so no comparison is published.
I MABSPONSORED ADS44975P10363,600 shares$240,408not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GCT SEMICONDUCTOR HLDG INCCOMMON STOCK36170N107157,580 shares$239,522not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CONNECT BIOPHARMA HLDGS LTDSHSG23549101158,200 shares$238,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GLOBAL X FDSUS INFR DEV ETF37954Y6735,000 shares$238,150not comparableThe immediately preceding quarter is not on record, so no comparison is published.
QUEST RESOURCE HLDG CORPCOM NEW74836W203152,192 shares$237,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSPIRED ENTMT INCCOM45782N10825,200 shares$236,376not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOHEALTH INCCL A NEW38046W20448,778 shares$235,110not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRECIPIO INCCOM74019L60213,100 shares$233,049not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LTC PPTYS INCCOM5021751026,300 shares$232,218not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELLINGTON CREDIT COMPANYCOM SHS BEN INT28857810742,500 shares$231,625not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AXT INCCOM00246W10351,400 shares$230,786not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UCLOUDLINK GROUP INCSPONSORED ADS90354D104106,305 shares$230,682not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIRTRA INCCOM PAR92827K30143,400 shares$228,284not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MERCER INTL INCCOM58805610179,111 shares$227,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIDGELINE DIGITAL INCCOM10807Q700172,229 shares$227,342not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARTIVA BIOTHERAPEUTICS INCCOM04317A10779,147 shares$227,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DIMENSIONAL ETF TRUSTUS TARGETED VLU25434V6093,900 shares$227,019not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRAZIL POTASH CORPCOMMON SHARES10586A10884,325 shares$226,834not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EBANG INTL HLDGS INCCL A ORD SH NEWG3R33A20550,113 shares$225,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METROCITY BANKSHARES INCCOM59165J1058,094 shares$224,123not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALTISOURCE PORTFOLIO SOLUTIO*W EXP 04/02/202L0175J120386,322 shares$224,067not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AKSO HEALTH GROUPADS98422P108129,198 shares$223,513not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GAIN THERAPEUTICS INCCOM36269B105126,100 shares$223,197not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ABRDN ETFSBBRG ALL COMD K100326110410,300 shares$221,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIFY TECHNOLOGIES LTDSPONSORED ADR82655M20616,200 shares$221,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PB BANKSHARES INCCOM69318V10311,500 shares$220,570not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MESA AIR GROUP INCCOM NEW590479135167,784 shares$218,119not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CALCIMEDICA INCCOM NEW38942Q20270,000 shares$215,306not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HINGHAM INSTN SVGS MASSCOM433323102816 shares$215,244not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATHIRA PHARMA INCCOM04746L20351,924 shares$214,965not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KANDAL M VENTURE LTDSHS CL AG5225N10014,600 shares$214,912not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BKV CORPCOM05603J1089,200 shares$212,796not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIGHT MINDS BIOSCIENCES INCCOM NEW10919W4053,500 shares$212,310not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FREIGHTOS LTDORD SHSG5140510163,900 shares$210,870not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARDIFF ONCOLOGY INCCOM14147L108101,800 shares$209,708not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EXXON MOBIL CORPCOM30231G1021,865 shares$209,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AVALON HLDGS CORPCL A05343P10980,210 shares$209,164not comparableThe immediately preceding quarter is not on record, so no comparison is published.
STRATA SKIN SCIENCES INCCOM86272A305101,530 shares$209,152not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XENON PHARMACEUTICALS INCCOM98420N1055,200 shares$208,780not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LINKBANCORP INCCOM53578P10529,200 shares$208,196not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BELITE BIO INCSPONSORED ADS07782B1042,812 shares$208,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERITONE INCCOM92347M10043,100 shares$207,742not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JETBLUE AWYS CORPCOM47714310142,000 shares$206,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MINK THERAPEUTICS INCCOM NEW60369320114,600 shares$204,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AINOS INCCOM NEW00902F40258,600 shares$203,049not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISHARES TREUROPE ETF4642878613,100 shares$202,988not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE BEACHBODY COMPANY INCCOM CL A NEW07346330934,264 shares$202,843not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PYXIS TANKERS INCCOM NEWY7172613071,701 shares$202,197not comparableThe immediately preceding quarter is not on record, so no comparison is published.
A K A BRANDS HLDG CORPCOM SHS00152K20020,769 shares$200,421not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IO BIOTECH INCCOM449778109547,315 shares$198,730not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COYA THERAPEUTICS INCCOMMON STOCK22407B10834,800 shares$198,360not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ISPECIMEN INCCOM NEW45032V207153,457 shares$197,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRIMECH HOLDINGS LTD.SHSY708VV108108,884 shares$195,991not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARK RESTAURANTS CORPCOM04071210127,511 shares$195,878not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESCALADE INCCOM29605610415,530 shares$195,212not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DYADIC INTL INC DELCOM26745T101165,100 shares$194,818not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALARUM TECHNOLOGIES LTDSPONSORD ADS NEW78643B50013,000 shares$194,740not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLUEROCK HOMES TRUST INCCOM CL A09631H10016,200 shares$194,076not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NN INCCOM62933710694,000 shares$193,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SURROZEN INCCOM NEW86889P20814,726 shares$189,747not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMTECH SYS INCCOM PAR $0.01N03233250420,300 shares$187,978not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLENE INCCOM NEW18563420130,440 shares$183,401not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INNSUITES HOSPITALITY TRSH BEN INT45791910899,603 shares$182,273not comparableThe immediately preceding quarter is not on record, so no comparison is published.
URBAN ONE INCCL D NON VTG91705J204258,805 shares$180,103not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HF FOODS GROUP INCCOM40417F10965,200 shares$179,952not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AYTU BIOPHARMA INCCOM05475485895,123 shares$178,831not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TRINITY BIOTECH PLCSPONS ADR NEW896438504171,362 shares$178,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UTSTARCOM HOLDINGS CORPORDINARY SHARESG9310A12270,088 shares$178,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COHEN & CO INC NEWCOM19249M10215,800 shares$177,077not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KARTOON STUDIOS INC.COM NEW37229T509237,549 shares$175,287not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORIC PHARMACEUTICALS INCCOM68622P10914,500 shares$174,000not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITESHARES ETF TR2X LONG SMCI DAI38747R66011,900 shares$173,978not comparableThe immediately preceding quarter is not on record, so no comparison is published.
17 ED & TECHNOLOGY GROUP INCSPONSORED ADR81807M30440,581 shares$173,687not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THE ARENA GROUP HOLDINGS INCCOM04004410931,700 shares$173,399not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XILIO THERAPEUTICS INCCOM98422T100204,700 shares$172,501not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SONO TEK CORPCOM83548310838,700 shares$171,445not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HARTE HANKS INCCOM41619620246,000 shares$170,660not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FATHOM HOLDINGS INCCOM31189V10994,800 shares$170,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GEE GROUP INCCOM36165A102824,741 shares$170,474not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENTERA BIO LTDSHSM4052710988,400 shares$169,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SPAR GROUP INCCOM784933103163,900 shares$168,817not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROMA GREEN FIN LTDSHSG7633Y10857,600 shares$167,616not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOTORSPORT GAMES INCCL A NEW62011B20159,600 shares$166,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NSTS BANCORP INCCOM6293JP10914,400 shares$166,176not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXTCURE INCCOM NEW65343E20728,334 shares$166,037not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIFTH DIST BANCORP INCCOM31692610412,000 shares$165,960not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARVER BANCORP INCCOM NEW14687560468,600 shares$164,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENLIVEX THERAPEUTICS LTDCOMM4130Y106157,292 shares$163,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TUNIU CORPSPONSORED ADS89977P106171,730 shares$163,538not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CUE BIOPHARMA INCCOM22978P106227,064 shares$163,191not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAB BIOTHERAPEUTICS INCCOM NEW78397T20280,840 shares$162,488not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BITFUFU INCCL A ORD SHSG1152A10443,300 shares$162,375not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOGORO INCORDINARY SHARESG9491K105539,348 shares$161,966not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CREATIVE REALITIES INCCOM22530J30970,602 shares$161,679not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KANDI TECHNOLOGIES GROUP INCUSD ORD SHSG5214E103133,100 shares$161,051not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COCRYSTAL PHARMA INCCOM NEW19188J409127,928 shares$159,910not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BROADWAY FINL CORP DELCL A NEW11144470921,949 shares$159,351not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARTS WAY MFG INCCOM04316810364,074 shares$158,904not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CCC INTELLIGENT SOLUTIONS HLCOM12510Q10017,300 shares$157,603not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYRIAD GENETICS INCCOM62855J10421,674 shares$156,703not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAFETY SHOT INCCOM NEW48208F105581,682 shares$155,891not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXGEL INCCOM65344E10763,452 shares$154,823not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METHODE ELECTRS INCCOM59152020020,300 shares$153,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OBLONG INCCOM67443430359,300 shares$152,994not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOLT BIOTHERAPEUTICS INCCOM NEW09770220328,625 shares$152,285not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JAMES RIV GROUP LTDCOMG5005R10727,400 shares$152,070not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLURI INCCOM NEW72942G20333,925 shares$151,959not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRASILAGRO COMPANHIA BRASILESPONSORED ADR10554B10438,860 shares$150,777not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORTRESS BIOTECH INCCOM NEW34960Q30740,800 shares$150,756not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASIA PACIFIC WIRE & CABLE COORDG0535E10672,400 shares$149,144not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VELO3D INCCOM NEW92259N30248,300 shares$148,281not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MONEYHERO LIMITEDORD SHSG6202B101103,111 shares$147,449not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RIBBON COMMUNICATIONS INCCOM76254410438,800 shares$147,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOPHIA GENETICS SAORDINARY SHARESH8202710530,800 shares$146,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
METALPHA TECHN HOLDING LTDSHSG2836510739,600 shares$145,332not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BABCOCK & WILCOX ENTERPRISESCOM05614L20949,700 shares$144,130not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZENVIA INCCLASS A COMG9889V101107,401 shares$143,917not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROFICIENT AUTO LOGISTICS INCOM74317M10420,796 shares$143,284not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIRST GTY BANCSHARES INCCOM32043P10617,706 shares$142,002not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARDENT HEALTH INCCOM03980N10710,700 shares$141,775not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANIXA BIOSCIENCES INCCOM03528H10942,764 shares$141,121not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OMS ENERGY TECHNOLOGIES INCORD SHSG6755S10533,135 shares$140,824not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RESEARCH FRONTIERS INCCOM76091110788,100 shares$140,079not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMERICAN SHARED HOSPITAL SVCCOM02959510549,800 shares$139,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CELLECTAR BIOSCIENCES INCCOM NEW15117F88024,900 shares$139,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOVIE INCCOM CL A NEW09074F50472,918 shares$138,544not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SURGEPAYS INCCOM NEW86882L20449,300 shares$138,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOYO CO LTDORD SHG8976D10724,000 shares$138,398not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FLEXSHOPPER INCCOM NEW33939J303213,980 shares$137,161not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRAGG GAMING GROUP INCCOM NEW10483330645,100 shares$137,104not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCYNEXIS INCCOM NEW811292200174,600 shares$134,442not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARTI TECHNOLOGIES INCSHS CL A57313410365,656 shares$133,938not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICZOOM GROUP INC.CL A ORD SHSG4760B10055,700 shares$132,566not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORIAN INCCOM34630N10658,797 shares$132,293not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCPHARMACEUTICALS INCCOM81064810523,216 shares$131,635not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTH CATALYST INCCOM42225T10745,869 shares$130,727not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VANTAGE CORPORD SHS CL AG7486J10917,900 shares$130,670not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMPRIUS TECHNOLOGIES INCCOMMON STOCK03214Q10812,400 shares$130,448not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SES AI CORPORATIONCL A COM78397Q10978,000 shares$130,260not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNIFI INCCOM NEW90467720027,300 shares$129,948not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CYTOSORBENTS CORPCOM NEW23283X206134,805 shares$125,921not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERRICA PHARMACEUTICALS INCCOM SHS92511W20729,191 shares$125,813not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SEMILEDS CORPCOM NEW81664520457,413 shares$125,734not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATLANTIC AMERN CORPCOM04820910043,100 shares$123,697not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DARE BIOSCIENCE INCCOM NEW23666P20058,895 shares$123,680not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARMATA PHARMACEUTICALS INCCOM04216R10241,296 shares$123,062not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIVOS THERAPEUTICS INCCOM NEW92859E20739,279 shares$121,765not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYSTEM1 INCCL A COM87200P20817,120 shares$120,525not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MICROVISION INC DELCOM NEW59496030496,261 shares$119,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRAY MEDIA INCCL A38937520512,200 shares$118,340not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FORAFRIC GLOBAL PLCORDINARY SHARESX3R81D10213,400 shares$116,446not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNDER ARMOUR INCCL C90431120623,800 shares$114,954not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CITIUS ONCOLOGY INCCOM17331Y10955,900 shares$113,477not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GULF RES INCCOM40251W408202,032 shares$113,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SINTX TECHNOLOGIES INCCOM NEW82939270327,552 shares$112,688not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PIONEER PWR SOLUTIONS INCCOM NEW72383630024,752 shares$106,929not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OXBRIDGE RE HLDGS LTDSHSG6856M10659,000 shares$105,610not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLARITY THERAPEUTICS INCCOM01674450066,186 shares$104,574not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTERCURE LTDCOM NEWM549GJ11163,700 shares$104,468not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RAFAEL HLDGS INCCOM CL B75062E10676,431 shares$103,946not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COSMOS HEALTH INCCOM22141330592,800 shares$103,008not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIPOCINE INC NEWCOM NEW53630X20336,097 shares$102,876not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WRAP TECHNOLOGIES INCCOM98212N10746,700 shares$101,339not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARSIDE BIOMEDICAL INCCOM NEW18506320325,247 shares$100,231not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GROVE COLLABORATIVE HOLD INCCOM CL A39957D20166,700 shares$100,050not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ARKO CORPCOM04124210821,800 shares$99,626not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FENNEC PHARMACEUTICALS INCCOM31447P10010,600 shares$99,216not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HEALTHY CHOICE WELLNESS CORPCL A42227T105130,161 shares$98,922not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SENSEI BIOTHERAPEUTICS INCCOM NEW81728A20710,416 shares$98,431not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PEDEVCO CORPCOM PAR70532Y303170,203 shares$98,411not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GRANITE RIDGE RESOURCES INCCOM38743210718,100 shares$97,921not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ECO WAVE POWER GLOBAL ABSPONSORED ADS27900N10311,402 shares$97,487not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOGO INCCOM60800C20853,783 shares$97,347not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEAM GLOBALCOM07373B10933,700 shares$97,056not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TELA BIO INCCOM87238110863,900 shares$95,211not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MARKER THERAPEUTICS INCCOM NEW57055L206106,250 shares$94,840not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIFEWARD LTDSHSM8216Q119131,706 shares$93,721not comparableThe immediately preceding quarter is not on record, so no comparison is published.
Q32 BIO INCCOM74696410547,300 shares$93,654not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKILLFUL CRAFTSMAN ED TECH LORD SHSG8211A10887,500 shares$93,625not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OPKO HEALTH INCCOM68375N10359,700 shares$92,535not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BGSF INCCOM05601C10513,000 shares$92,300not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XENETIC BIOSCIENCES INCCOM98401560228,950 shares$90,903not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TTEC HLDGS INCCOM89854H10226,900 shares$90,384not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIDGFORD FOODS CORPCOM10876310311,500 shares$90,160not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOVING IMAGE TECHNOLOGIES INCOMMON STOCK62464R10996,200 shares$89,341not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRASKEM S ASP ADR PFD A10553210536,900 shares$89,298not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CASTOR MARITIME INCSHSY1146L20842,669 shares$88,752not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATA CREATIVITY GLOBALSPONSORED ADS00211V10663,844 shares$88,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EMEREN GROUP LTDSPONSORED ADS75971T30146,489 shares$87,864not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CELULARITY INCCL A NEW15119020442,000 shares$86,940not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLIGENIX INCCOM NEW83422360472,900 shares$84,564not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNSHINE BIOPHARMA INCCOM86778170055,700 shares$82,993not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARINTHUS BIOTHERAPEUTICS PLADS91864C10766,300 shares$82,875not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OKYO PHARMA LTDSHS NEWG6724L11641,200 shares$82,400not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ASCENT SOLAR TECHNOLOGIES INCOM NEW04363580441,818 shares$81,963not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEAMR IMAGING LTDORDINARY SHSM1R79L10426,700 shares$81,702not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SUNLANDS TECHNOLOGY GROUPSPONSRD ADS NEW86740P20710,098 shares$80,784not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CARISMA THERAPEUTICS INCCOM14216R101293,686 shares$80,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUHUTECH INTL GROUP INCSHS NEWG4644011415,600 shares$80,184not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REVIVA PHARMACEUTCLS HLDGS ICOM76152G100216,597 shares$79,838not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORIENTAL CULTURE HOLDING LTDSHS NEWG6796W11521,240 shares$78,588not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SIEBERT FINL CORPCOM82617610926,900 shares$78,548not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DRILLING TOOLS INTL CORPCOM26205E10734,111 shares$78,455not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSIGHT MOLECULAR DIA INCCOM NEW68235C20623,600 shares$78,352not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PHARMACYTE BIOTECH INCCOM NEW71715X20380,000 shares$77,568not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LIGHTWAVE LOGIC INCCOM53227510420,607 shares$76,452not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEADS HLDG COCOM69002R10346,200 shares$76,230not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EVE HLDG INCCOM29970N10420,000 shares$76,200not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLAROS MTG TR INCCOMMON STOCK18270D10622,700 shares$75,364not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KORE GROUP HLDGS INCCOM NEW50066V30530,941 shares$74,877not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ORIGIN MATERIALS INCCOM68622D106141,900 shares$73,589not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTELLIGENT PROTECTION MANAGCOM69764K10636,700 shares$73,033not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CASI PHARMACEUTICALS INCORD SHSG1933S10143,900 shares$72,874not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GCL GLOBAL HLDGS LTDSHSG3777K10328,900 shares$72,539not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ANEBULO PHARMACEUTICALS INCCOM03456910328,500 shares$71,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WAH FU EDUCATION GROUP LIMITSHSG9418410138,700 shares$71,208not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHINA SXT PHARMACEUTICALS INSHS NEW JAN 2025G2161P15744,500 shares$69,865not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HYPERFINE INCCOM CL A44916K10647,098 shares$68,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
URBAN ONE INCCL A91705J10548,000 shares$66,720not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOTHERLY HOTELS INCCOM83600C10383,314 shares$66,651not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AQUABOUNTY TECHNOLOGIES INCCOM03842K30929,520 shares$66,125not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYNLOGIC INCCOM NEW87166L20939,510 shares$65,904not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMTD DIGITAL INCSPONSORED ADS00180N10136,600 shares$65,880not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LESLIES INCCOM52706420811,950 shares$65,725not comparableThe immediately preceding quarter is not on record, so no comparison is published.
X4 PHARMACEUTICALS INCCOM NEW98420X20219,177 shares$65,585not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EARLYWORKS CO LTDSPONSORED ADS27030F20225,363 shares$64,828not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MIRA PHARMACEUTICALS INCCOM60458C10446,700 shares$63,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VIVANI MEDICAL INCCOMMON STOCK92854B10944,858 shares$63,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WETOUCH TECHNOLOGY INCCOM NEW96188120850,100 shares$62,625not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ODYSSEY MARINE EXPL INCCOM NEW67611820131,957 shares$62,316not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TANDY LEATHER FACTORY INCCOM87538X10520,755 shares$62,265not comparableThe immediately preceding quarter is not on record, so no comparison is published.
EDESA BIOTECH INCCOM NEW27966L30625,000 shares$61,750not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ICON ENERGY CORPCOM NEWY4001C20628,358 shares$59,552not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CBAK ENERGY TECHNOLOGY INCCOM14986C10266,347 shares$59,367not comparableThe immediately preceding quarter is not on record, so no comparison is published.
111 INCSPONSORED ADS68247Q20113,014 shares$59,214not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COLLPLANT BIOTECHNOLOGIES LTSHS NEWM2R51X11621,900 shares$58,911not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SMITH MICRO SOFTWARE INCCOM SHS83215440578,141 shares$56,496not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOCERA INCCOM65518650035,300 shares$56,480not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GALECTO INCCOM NEW36322Q20615,044 shares$55,964not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SAGTEC GLOBAL LTDSHSG7779D10826,700 shares$55,499not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CENNTRO INCCOM15096410494,450 shares$55,206not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELUTIA INCCL A COM05479K10661,993 shares$55,186not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ITERUM THERAPEUTICS PLCSHS NEWG6333L20081,694 shares$54,735not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEGA MATRIX INCCL A ORD SHSG6005C10845,596 shares$54,715not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOMX INCCOM NEW09090D301102,426 shares$53,774not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUNAI BIOWORKS INCCOM SHS29350E20337,761 shares$53,621not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HUADI INTERNATIONAL GRP CO LSHSG4645E10539,400 shares$53,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERSUS SYSTEMS INCCOM92540Q10625,240 shares$53,509not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MATINAS BIOPHARMA HLDGS INCCOM NEW57681030328,270 shares$53,430not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOP FINANCIAL GROUP LTDSHS CL AG989A610241,100 shares$53,019not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOLITIONRX LTDCOM92866110778,000 shares$52,946not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DAWSON GEOPHYSICAL CO NEWCOM23936010029,788 shares$52,427not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ADAGIO MED HLDGS INCCOM00534B10027,000 shares$52,380not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MOGU INCSPON ADS60801230815,057 shares$51,646not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CIBUS INCCL A COM STK17166A10139,800 shares$51,342not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXALIN TECHNOLOGY INCCOM65345B20155,700 shares$51,088not comparableThe immediately preceding quarter is not on record, so no comparison is published.
374WATER INCCOM88583P104175,860 shares$50,454not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTCHAINS GROUP LTDADS REPSTG CL A45828E10429,400 shares$49,833not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BOXLIGHT CORPCOM CL A10319730720,666 shares$49,805not comparableThe immediately preceding quarter is not on record, so no comparison is published.
APIMEDS PHARMACEUTICALS US ICOM SHS03771D10227,893 shares$49,650not comparableThe immediately preceding quarter is not on record, so no comparison is published.
YUNHONG GREEN CTI LTDCOM98873Q100108,166 shares$48,815not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DOLPHIN ENTMT INCCOM25686H30837,900 shares$48,512not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZKH GROUP LTDSPONSORED ADS98877R10416,879 shares$48,105not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VOLATO GROUP INCCOM CL A74349W30226,800 shares$47,436not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SKYX PLATFORMS CORPCOM78471E10542,200 shares$47,264not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CRYO-CELL INTL INCCOM22889510810,184 shares$47,254not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AEYE INCCL A NEW00818320418,500 shares$46,065not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IMMIX BIOPHARMA INCCOM45258H10621,500 shares$44,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TALPHERA INCCOM NEW00444T20950,214 shares$44,851not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOODLES & COCOM CL A65540B10568,900 shares$43,793not comparableThe immediately preceding quarter is not on record, so no comparison is published.
X3 HOLDINGS CO LTDSHS NEWG7200713426,264 shares$43,598not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INSPIRATO INCORPORATEDCL A NEW45791E20614,535 shares$43,024not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BRIGHT SCHOLAR ED HLDGS LTDSPON ADS NEW10919920822,025 shares$42,949not comparableThe immediately preceding quarter is not on record, so no comparison is published.
URBAN-GRO INCCOM NEW91704K202103,500 shares$42,642not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LONGEVERON INCCL A NEW54303L20356,600 shares$42,456not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DSS INCCOM NEW26253C20131,448 shares$42,455not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOLARMAX TECHNOLOGY INCCOM SHS83419H10340,300 shares$42,315not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESS TECH INCCOM NEW26916J20527,560 shares$41,891not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BARK INCCOM68622E10450,200 shares$41,706not comparableThe immediately preceding quarter is not on record, so no comparison is published.
VERIFYME INCCOM NEW92346X20646,458 shares$41,236not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SYNTEC OPTICS HLDGS INCCL A87169M10526,282 shares$40,737not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XCHG LTDSPONSORED ADS98370X10331,400 shares$40,506not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTELLIGENT LIVING APPLICATIORD SHSG4804S10163,606 shares$40,390not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BLEND LABS INCCL A09352U10810,900 shares$39,785not comparableThe immediately preceding quarter is not on record, so no comparison is published.
COHERUS ONCOLOGY INCCOM19249H10324,100 shares$39,524not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOTUS TECHNOLOGY INCSPONSORED ADR54572F10118,900 shares$38,745not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLUTUS FINL GROUP LTDSHSG7144S10311,300 shares$38,533not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MAGIC EMPIRE GLOBAL LTDSHS NEW CL AG5865E12125,248 shares$38,377not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PERASO INCCOM NEW71360T20030,600 shares$38,250not comparableThe immediately preceding quarter is not on record, so no comparison is published.
THERAPEUTICSMD INCCOM NEW88338N20635,500 shares$38,163not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CXAPP INCCOM CL A23248B10951,689 shares$38,095not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AMTD IDEA GROUPSPON ADS00180G30433,665 shares$37,873not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEW CONCEPT ENERGY INCCOM64361110637,451 shares$37,545not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENIDGE GENERATION HLDGS ICLASS A COM39531G30820,600 shares$37,492not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENSYSCE BIOSCIENCES INCCOM NEW29360250415,574 shares$36,910not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INMED PHARMACEUTICALS INCCOM NEW45763770016,800 shares$36,792not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZW DATA ACTION TECHNOLOGS INCOM98880R30715,625 shares$36,563not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MILESTONE SCIENTIFIC INCCOM NEW59935P20980,297 shares$36,479not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PLANET IMAGE INTL LTDUSD CL A ORD SHSG7122D10226,600 shares$35,910not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GREENPRO CAP CORPCOM NEW39540F30925,700 shares$35,209not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HITEK GLOBAL INCUSD CL A SHSG4513910519,300 shares$34,933not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FAT BRANDS INCCLASS A COM30258N10517,800 shares$34,710not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PRESTIGE WEALTH INCUSD CL A ORD SHSG7244A11948,200 shares$34,690not comparableThe immediately preceding quarter is not on record, so no comparison is published.
KIORA PHARMACEUTICALS INCCOM49721T50712,400 shares$34,472not comparableThe immediately preceding quarter is not on record, so no comparison is published.
AETHLON MED INCCOM NEW00808Y50546,000 shares$34,440not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TOMI ENVIRONMENTAL SOLUTIONSCOM NEW89002320333,800 shares$34,138not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ATERIAN INCCOM NEW02156U20031,547 shares$33,124not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ROYALTY MGMT HLDG CORPCLASS A COM02369M10215,600 shares$33,072not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MODULAR MED INCCOM NEW60785L20746,900 shares$32,821not comparableThe immediately preceding quarter is not on record, so no comparison is published.
FIBROBIOLOGICS INCCOM SHS31573L10559,800 shares$32,663not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOCIETY PASS INCCOM NEW83370P20127,377 shares$32,305not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NOUVEAU MONDE GRAPHITE INCCOM NEW66979W84211,300 shares$32,092not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLEARSIGN TECHNOLOGIES CORPCOM18506410241,031 shares$31,643not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MING SHING GROUP HLDGS LTDORD SHSG6144010611,400 shares$31,578not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYSEUM INCCOM NEW23816M20613,700 shares$30,962not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZENTEK LTDCOM98942X10238,100 shares$29,185not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NUVVE HOLDING CORPCOM67079Y308123,501 shares$29,010not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TAOPING INCORD SHS NEWG8675V13510,038 shares$28,909not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ALLIED GAMING & ENTRTNMNT INCOM01917010931,400 shares$28,860not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LOGPROSTYLE INCCOMJ3921Q10226,300 shares$28,667not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SOCKET MOBILE INCCOM NEW83368E20027,800 shares$28,634not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ELONG POWER HOLDING LTD.SHS CL AG3016G10392,012 shares$27,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
POWER REITCOM73933H10127,516 shares$27,791not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REAL MESSENGER CORP.SHS CL AG7410G10611,300 shares$27,234not comparableThe immediately preceding quarter is not on record, so no comparison is published.
DECENT HLDG INCUSD CL A ORD SHSG2748R10620,594 shares$26,978not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SACHEM CAP CORPCOM78590A10924,000 shares$26,640not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEIWU TECHNOLOGY COMPANY LTDSHS NEWG9604C12313,500 shares$26,595not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENVVENO MEDICAL CORPORATIONCOM29415J10629,200 shares$26,458not comparableThe immediately preceding quarter is not on record, so no comparison is published.
JINXIN TECHNOLOGY HLDG COSPONSORED ADS47760D10225,700 shares$26,214not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REE AUTOMOTIVE LTDSHS CL A NEWM8287R20232,308 shares$23,550not comparableThe immediately preceding quarter is not on record, so no comparison is published.
HAIN CELESTIAL GROUP INCCOM40521710014,700 shares$23,226not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PASITHEA THERAPEUTICS CORPCOM NEW70261F20230,700 shares$22,466not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IM CANNABIS CORPCOM NEW44969Q40611,425 shares$21,936not comparableThe immediately preceding quarter is not on record, so no comparison is published.
U-BX TECHNOLOGY LTDSHS NEWG9161K11212,602 shares$21,927not comparableThe immediately preceding quarter is not on record, so no comparison is published.
XCHANGE TEC.INCSPONS ADS CL A74738J50817,499 shares$21,699not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BEYONDSPRING INCSHSG1083010011,600 shares$20,996not comparableThe immediately preceding quarter is not on record, so no comparison is published.
REIN THERAPEUTICS INCCOM NEW00887A20418,298 shares$20,951not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PICOCELA INCSPONSORED ADS71989C10947,092 shares$20,862not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PARANOVUS ENTERTNMNT TECH LTORD SHS CL A NEWG4289N20519,989 shares$20,789not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHINA PHARMA HLDGS INCCOM SHS16941T40110,618 shares$20,705not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CHEETAH NET SUPPLY CHAIN INCCOM NEW CL A16307X20211,500 shares$20,470not comparableThe immediately preceding quarter is not on record, so no comparison is published.
OHMYHOME LTDORD SHS CL AG6S38M12316,000 shares$20,320not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SCIENJOY HOLDING CORPCLASS A ORDG7864D11230,544 shares$19,826not comparableThe immediately preceding quarter is not on record, so no comparison is published.
WING YIP FOOD CHINA HLDGS GRSPONSORED ADS97392110915,200 shares$19,608not comparableThe immediately preceding quarter is not on record, so no comparison is published.
INTELLIGENT GROUP LIMITEDSHS CL AG4804710738,800 shares$19,175not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ZEO ENERGY CORPCL A98944F10913,766 shares$18,584not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIOFRONTERA INCCOM NEW09077D20918,700 shares$18,420not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SILYNXCOM LTDCOM SHSM8T14510012,300 shares$18,204not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MUSTANG BIO INCCOM62818Q30211,800 shares$17,936not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MKDWELL TECH INCORD SHSG6209W10878,165 shares$16,884not comparableThe immediately preceding quarter is not on record, so no comparison is published.
UNITED MARITIME CORPORATIONCOMY9233510110,200 shares$16,728not comparableThe immediately preceding quarter is not on record, so no comparison is published.
NEXTPLAT CORPCOM NEW68557F20919,600 shares$16,233not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MYND AI INCSPON ADS62898810715,744 shares$14,763not comparableThe immediately preceding quarter is not on record, so no comparison is published.
BIO-KEY INTL INCCOM NEW09060C50720,484 shares$14,744not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ENLIGHTIFY INCCOM NEW16943W20418,087 shares$14,571not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TMD ENERGY LTDORD SHSG8895310717,400 shares$14,355not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RYVYL INCCOM39366L30747,103 shares$13,942not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CLPS INCORPORATIONCOMG3164210413,032 shares$13,293not comparableThe immediately preceding quarter is not on record, so no comparison is published.
GOLDEN MATRIX GROUP INCCOM38109830011,400 shares$12,882not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TDH HLDGS INCSHS NEWG8708411011,800 shares$12,626not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RANI THERAPEUTICS HLDGS INCCOM CL A75301810024,908 shares$12,449not comparableThe immediately preceding quarter is not on record, so no comparison is published.
ESTRELLA IMMUNOPHARMA INCCOM29758410410,689 shares$12,292not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MEIHUA INTL MED TECHNOLOGIESORD SHSG5966G10830,600 shares$11,074not comparableThe immediately preceding quarter is not on record, so no comparison is published.
IT TECH PACKAGING INCCOM NEW46527C20934,024 shares$9,830not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LEXARIA BIOSCIENCE CORPCOM NEW52886N40610,100 shares$9,622not comparableThe immediately preceding quarter is not on record, so no comparison is published.
TEN-LEAGUE INTL HLDGS LTDUSD ORD SHSG8763W10211,207 shares$8,248not comparableThe immediately preceding quarter is not on record, so no comparison is published.
CDT ENVIRONMENTAL TECHNOLOGYSHSG2030P10711,727 shares$8,135not comparableThe immediately preceding quarter is not on record, so no comparison is published.
RYDE GROUP LTDCL A SHSG7733R10220,936 shares$7,935not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LUCAS GC LTDSHSG5703710635,800 shares$5,273not comparableThe immediately preceding quarter is not on record, so no comparison is published.
LGL GROUP INC*W EXP 11/16/20250186A13215,323 shares$4,903not comparableThe immediately preceding quarter is not on record, so no comparison is published.
MULTI WAYS HOLDINGS LIMITEDORDINARY SHARESG6362F10815,800 shares$4,705not comparableThe immediately preceding quarter is not on record, so no comparison is published.
PROPHASE LABS INCCOM74345W10810,100 shares$4,624not comparableThe immediately preceding quarter is not on record, so no comparison is published.
SINOVAC BIOTECH LTDSHSP8696W1041,312,520 shares$0not comparableThe immediately preceding quarter is not on record, so no comparison is published.

Revision history

RevisionBasisForm typeFiling dateAccessionPositions reported
1 currentoriginal13F-HR2025-11-130001037389-25-0000643,457

Form 13F reports long positions in 13(f) securities held on the last day of the quarter. It excludes short positions, cash, and assets outside 13(f) scope. An absent security is not evidence of a sale.

Ledger last ingested 2026-09-15T16:14:17+00:00 (32 filings ingested, 8 quarantined). Form 13F is filed within 45 days of quarter end, so every figure here is at least that old, and amendments can change a closed quarter months later.

How to read this

A Form 13F is filed within 45 days of the quarter end it describes, so every figure on these pages was already at least that old the day it published. The quarter end and the filing date are labelled separately on every row and neither of them is today.

Form 13F is two quarter-end snapshots. It states no transaction, no transaction date and no transaction price, so a difference between two quarters is a difference between two reports and nothing more.

The filer is the entity named on the cover page. Where a filing lists other managers, that is an attribution of reporting responsibility, not an attribution of a decision to any individual.

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Every quarter on record for Renaissance Technologies LLC