Skip to Main Content

JPMorgan BetaBuilders U.S. Mid Cap Equity ETF Holdings

BBMC was created on 2020-04-14 by JPMorgan. The fund's investment portfolio concentrates primarily on mid cap equity. The ETF currently has 1943.82m in AUM and 573 holdings. BBMC tracks an index of US mid-cap equities, selected and weighted by market cap.

Last Updated: 4 days, 22 hours ago

Last reported holdings - JPMorgan BetaBuilders U.S. Mid Cap Equity ETF

Ticker Name Est. Value
None
JPMORGAN US GOVT MMKT FUN $22.2 million
IBKR
INTERACTIVE BROKERS $10.7 million
EME
EMCOR GROUP INC COMMON $10.6 million
NTRA
NATERA INC COMMON STOCK $10.2 million
JBL
JABIL INC COMMON STOCK $10.1 million
DKNG
DRAFTKINGS INC COMMON $9.9 million
TOST
TOAST INC COMMON STOCK $9.8 million
GWRE
GUIDEWIRE SOFTWARE INC $9.3 million
WSM
WILLIAMS-SONOMA INC $9.3 million
INSM
INSMED INC COMMON STOCK $8.9 million
NTNX
NUTANIX INC COMMON STOCK $8.9 million
CASY
CASEY'S GENERAL STORES $8.7 million
CW
CURTISS-WRIGHT CORP $8.5 million
FIX
COMFORT SYSTEMS USA INC $8.5 million
TPR
TAPESTRY INC COMMON $8.4 million
AFRM
AFFIRM HOLDINGS INC $8.4 million
USFD
US FOODS HOLDING CORP $8.3 million
SOFI
SOFI TECHNOLOGIES INC $8.2 million
PSTG
PURE STORAGE INC COMMON $8.0 million
RDDT
REDDIT INC COMMON STOCK $8.0 million
TW
TRADEWEB MARKETS INC $7.9 million
RS
RELIANCE INC COMMON $7.7 million
SFM
SPROUTS FARMERS MARKET $7.7 million
CSL
CARLISLE COS INC COMMON $7.6 million
THC
TENET HEALTHCARE CORP $7.5 million
DUOL
DUOLINGO INC COMMON $7.3 million
XPO
XPO INC COMMON STOCK USD $6.9 million
GGG
GRACO INC COMMON STOCK $6.8 million
WWD
WOODWARD INC COMMON $6.8 million
ACM
AECOM COMMON STOCK USD $6.7 million
FTI
TECHNIPFMC PLC COMMON $6.7 million
RPM
RPM INTERNATIONAL INC $6.7 million
CRDO
CREDO TECHNOLOGY GROUP $6.4 million
PFGC
PERFORMANCE FOOD GROUP $6.3 million
BJ
BJ'S WHOLESALE CLUB $6.3 million
COHR
COHERENT CORP COMMON $6.2 million
BWXT
BWX TECHNOLOGIES INC $6.1 million
ITT
ITT INC COMMON STOCK USD $6.0 million
FTAI
FTAI AVIATION LTD COMMON $6.0 million
NBIX
NEUROCRINE BIOSCIENCES $6.0 million
CRS
CARPENTER TECHNOLOGY $5.9 million
UNM
UNUM GROUP COMMON STOCK $5.9 million
TXRH
TEXAS ROADHOUSE INC $5.8 million
SGI
SOMNIGROUP INTERNATIONAL $5.8 million
GLPI
GAMING AND LEISURE $5.8 million
TLN
TALEN ENERGY CORP COMMON $5.7 million
TKO
TKO GROUP HOLDINGS INC $5.7 million
NVT
NVENT ELECTRIC PLC $5.6 million
UTHR
UNITED THERAPEUTICS CORP $5.6 million
RBC
RBC BEARINGS INC COMMON $5.6 million
ALAB
ASTERA LABS INC COMMON $5.6 million
CLH
CLEAN HARBORS INC COMMON $5.5 million
SWKS
SKYWORKS SOLUTIONS INC $5.5 million
EHC
ENCOMPASS HEALTH CORP $5.5 million
RGLD
ROYAL GOLD INC $5.5 million
JLL
JONES LANG LASALLE INC $5.5 million
MANH
MANHATTAN ASSOCIATES INC $5.5 million
LECO
LINCOLN ELECTRIC $5.5 million
ATI
ATI INC COMMON STOCK USD $5.5 million
SCI
SERVICE CORP $5.4 million
6RJ0.DE
ROCKET LAB CORP COMMON $5.4 million
CIEN
CIENA CORP COMMON STOCK $5.3 million
TOL
TOLL BROTHERS INC COMMON $5.3 million
RNR
RENAISSANCERE HOLDINGS $5.2 million
NDSN
NORDSON CORP COMMON $5.2 million
AMH
AMERICAN HOMES 4 RENT $5.2 million
BG
BUNGE GLOBAL SA COMMON $5.2 million
OWL
BLUE OWL CAPITAL INC $5.2 million
EXEL
EXELIXIS INC COMMON $5.2 million
CHRW
CH ROBINSON WORLDWIDE $5.2 million
MOS
MOSAIC CO/THE COMMON $5.2 million
AR
ANTERO RESOURCES CORP $5.1 million
QXO
QXO INC COMMON STOCK USD $5.1 million
HST
HOST HOTELS & RESORTS $5.1 million
ARMK
ARAMARK COMMON STOCK USD $5.1 million
ROKU
ROKU INC COMMON STOCK $5.1 million
VTRS
VIATRIS INC COMMON STOCK $5.1 million
RL
RALPH LAUREN CORP COMMON $5.0 million
PNW
PINNACLE WEST CAPITAL $5.0 million
ALLY
ALLY FINANCIAL INC $5.0 million
OHI
OMEGA HEALTHCARE $5.0 million
RIVN
RIVIAN AUTOMOTIVE INC $5.0 million
DTM
DT MIDSTREAM INC COMMON $5.0 million
DKS
DICK'S SPORTING GOODS $4.9 million
FN
FABRINET COMMON STOCK $4.9 million
LAMR
LAMAR ADVERTISING CO $4.9 million
SOLV
SOLVENTUM CORP COMMON $4.9 million
SF
STIFEL FINANCIAL CORP $4.9 million
APG
API GROUP CORP COMMON $4.9 million
MTZ
MASTEC INC COMMON STOCK $4.9 million
ASTS
AST SPACEMOBILE INC $4.9 million
SNX
TD SYNNEX CORP COMMON $4.9 million
KNSL
KINSALE CAPITAL GROUP $4.9 million
KMX
CARMAX INC COMMON STOCK $4.9 million
IOT
SAMSARA INC COMMON STOCK $4.9 million
SWK
STANLEY BLACK & DECKER $4.8 million
CACI
CACI INTERNATIONAL INC $4.8 million
ATR
APTARGROUP INC COMMON $4.8 million
FHN
FIRST HORIZON CORP $4.7 million
EVR
EVERCORE INC COMMON $4.7 million
WING
WINGSTOP INC COMMON $4.7 million
LBRDK
LIBERTY BROADBAND CORP $4.7 million
CNM
CORE & MAIN INC COMMON $4.7 million
AIZ
ASSURANT INC COMMON $4.7 million
OVV
OVINTIV INC COMMON STOCK $4.7 million
RRC
RANGE RESOURCES CORP $4.7 million
UHS
UNIVERSAL HEALTH $4.7 million
HLI
HOULIHAN LOKEY INC $4.6 million
BXP
BXP INC REIT USD 0.01 $4.6 million
CUBE
CUBESMART REIT USD 0.01 $4.6 million
GME
GAMESTOP CORP COMMON $4.5 million
EPAM
EPAM SYSTEMS INC COMMON $4.5 million
EXAS
EXACT SCIENCES CORP $4.5 million
KD
KYNDRYL HOLDINGS INC $4.5 million
RRX
REGAL REXNORD CORP $4.5 million
LKQ
LKQ CORP COMMON STOCK $4.5 million
GL
GLOBE LIFE INC COMMON $4.5 million
PEN
PENUMBRA INC COMMON $4.5 million
HAS
HASBRO INC COMMON STOCK $4.5 million
WTRG
ESSENTIAL UTILITIES INC $4.4 million
RBRK
RUBRIK INC COMMON STOCK $4.4 million
HII
HUNTINGTON INGALLS $4.4 million
AVTR
AVANTOR INC COMMON STOCK $4.4 million
CR
CRANE CO COMMON STOCK $4.3 million
IONQ
IONQ INC COMMON STOCK $4.3 million
BLD
TOPBUILD CORP COMMON $4.3 million
TTEK
TETRA TECH INC COMMON $4.3 million
JEF
JEFFERIES FINANCIAL $4.2 million
IPG
THE INTERPUBLIC GROUP $4.2 million
HQY
HEALTHEQUITY INC COMMON $4.2 million
MTSI
MACOM TECHNOLOGY $4.2 million
EGP
EASTGROUP PROPERTIES INC $4.2 million
ENSG
ENSIGN GROUP INC/THE $4.2 million
AFG
AMERICAN FINANCIAL GROUP $4.2 million
OGE
OGE ENERGY CORP COMMON $4.2 million
EMN
EASTMAN CHEMICAL CO $4.1 million
WCC
WESCO INTERNATIONAL INC $4.1 million
PRI
PRIMERICA INC COMMON $4.1 million
AGNC
AGNC INVESTMENT CORP $4.1 million
PR
PERMIAN RESOURCES $4.1 million
COOP
MR COOPER GROUP INC $4.1 million
AIT
APPLIED INDUSTRIAL $4.1 million
SSB
SOUTHSTATE CORP COMMON $4.1 million
AYI
ACUITY INC COMMON STOCK $4.1 million
NYT
NEW YORK TIMES CO/THE $4.1 million
LAD
LITHIA MOTORS INC COMMON $4.1 million
WBS
WEBSTER FINANCIAL CORP $4.1 million
ERIE
ERIE INDEMNITY CO COMMON $4.1 million
ORI
OLD REPUBLIC $4.1 million
DAY
DAYFORCE INC COMMON $4.1 million
PLNT
PLANET FITNESS INC $4.1 million
MLI
MUELLER INDUSTRIES INC $4.0 million
REXR
REXFORD INDUSTRIAL $4.0 million
NCLH
NORWEGIAN CRUISE LINE $4.0 million
HIMS
HIMS & HERS HEALTH INC $4.0 million
SEIC
SEI INVESTMENTS CO $4.0 million
WAL
WESTERN ALLIANCE BANCORP $4.0 million
DCI
DONALDSON CO INC COMMON $3.9 million
GNRC
GENERAC HOLDINGS INC $3.9 million
MKTX
MARKETAXESS HOLDINGS INC $3.9 million
INGR
INGREDION INC COMMON $3.9 million
NXT
NEXTRACKER INC COMMON $3.9 million
SKX
SKECHERS USA INC COMMON $3.9 million
TECH
BIO-TECHNE CORP COMMON $3.9 million
CHWY
CHEWY INC COMMON STOCK $3.9 million
OLLI
OLLIE'S BARGAIN OUTLET $3.8 million
WBA
WALGREENS BOOTS ALLIANCE $3.8 million
CHE
CHEMED CORP COMMON STOCK $3.8 million
FRT
FEDERAL REALTY INVS $3.8 million
NNN
NNN REIT INC USD $3.8 million
ACI
ALBERTSONS COS INC $3.8 million
LNW
LIGHT & WONDER INC $3.8 million
WMS
ADVANCED DRAINAGE $3.8 million
FND
FLOOR & DECOR HOLDINGS $3.8 million
MASI
MASIMO CORP COMMON STOCK $3.8 million
CART
MAPLEBEAR INC COMMON $3.8 million
PNFP
PINNACLE FINANCIAL $3.8 million
CBSH
COMMERCE BANCSHARES $3.8 million
PCOR
PROCORE TECHNOLOGIES INC $3.8 million
FYBR
FRONTIER COMMUNICATIONS $3.8 million
ADC
AGREE REALTY CORP REIT $3.8 million
ALSN
ALLISON TRANSMISSION $3.8 million
MORN
MORNINGSTAR INC COMMON $3.7 million
FLR
FLUOR CORP COMMON STOCK $3.7 million
BROS
DUTCH BROS INC COMMON $3.7 million
DOCS
DOXIMITY INC COMMON $3.7 million
BRX
BRIXMOR PROPERTY GROUP $3.7 million
PCTY
PAYLOCITY HOLDING CORP $3.7 million
MUSA
MURPHY USA INC COMMON $3.7 million
U
UNITY SOFTWARE INC $3.7 million
MIDD
MIDDLEBY CORP/THE COMMON $3.7 million
UGI
UGI CORP COMMON STOCK $3.6 million
WYNN
WYNN RESORTS LTD COMMON $3.6 million
HSIC
HENRY SCHEIN INC COMMON $3.6 million
WTFC
WINTRUST FINANCIAL CORP $3.6 million
CFR
CULLEN/FROST BANKERS INC $3.6 million
PARA
PARAMOUNT GLOBAL COMMON $3.6 million
AXS
AXIS CAPITAL HOLDINGS $3.6 million
MTCH
MATCH GROUP INC COMMON $3.6 million
CVLT
COMMVAULT SYSTEMS INC $3.6 million
BPMC
BLUEPRINT MEDICINES CORP $3.6 million
NFG
NATIONAL FUEL GAS CO $3.6 million
SPXC
SPX TECHNOLOGIES INC $3.6 million
ALV
AUTOLIV INC COMMON STOCK $3.6 million
BRBR
BELLRING BRANDS INC $3.6 million
AES
AES CORP/THE COMMON $3.5 million
AZEK
AZEK CO INC/THE COMMON $3.5 million
CELH
CELSIUS HOLDINGS INC $3.5 million
AOS
A O SMITH CORP COMMON $3.5 million
OLED
UNIVERSAL DISPLAY CORP $3.5 million
UMBF
UMB FINANCIAL CORP $3.5 million
AA
ALCOA CORP COMMON STOCK $3.5 million
CMA
COMERICA INC COMMON $3.5 million
HRB
H&R BLOCK INC COMMON $3.5 million
CAVA
CAVA GROUP INC COMMON $3.4 million
SAIA
SAIA INC COMMON STOCK $3.4 million
CORT
CORCEPT THERAPEUTICS INC $3.4 million
AAL
AMERICAN AIRLINES GROUP $3.4 million
CWST
CASELLA WASTE SYSTEMS $3.4 million
MEDP
MEDPACE HOLDINGS INC $3.4 million
ESTC
ELASTIC NV COMMON STOCK $3.4 million
BMI
BADGER METER INC COMMON $3.4 million
ZION
ZIONS BANCORP NA COMMON $3.4 million
ALB
ALBEMARLE CORP COMMON $3.4 million
RYAN
RYAN SPECIALTY HOLDINGS $3.3 million
QRVO
QORVO INC COMMON STOCK $3.3 million
TTC
TORO CO/THE COMMON STOCK $3.3 million
EXLS
EXLSERVICE HOLDINGS INC $3.3 million
LSCC
LATTICE SEMICONDUCTOR $3.3 million
SNV
SYNOVUS FINANCIAL CORP $3.3 million
BPOP
POPULAR INC COMMON STOCK $3.3 million
FIVE
FIVE BELOW INC COMMON $3.3 million
AWI
ARMSTRONG WORLD $3.3 million
KNX
KNIGHT-SWIFT $3.3 million
BWA
BORGWARNER INC COMMON $3.3 million
CHDN
CHURCHILL DOWNS INC $3.3 million
LW
LAMB WESTON HOLDINGS INC $3.3 million
CRL
CHARLES RIVER $3.2 million
GTLS
CHART INDUSTRIES INC $3.2 million
CFLT
CONFLUENT INC COMMON $3.2 million
MGM
MGM RESORTS $3.2 million
ESAB
ESAB CORP $3.2 million
GMED
GLOBUS MEDICAL INC $3.2 million
BFAM
BRIGHT HORIZONS FAMILY $3.2 million
EXP
EAGLE MATERIALS INC $3.2 million
WTS
WATTS WATER TECHNOLOGIES $3.2 million
RMBS
RAMBUS INC COMMON STOCK $3.2 million
OMF
ONEMAIN HOLDINGS INC $3.2 million
BEN
FRANKLIN RESOURCES INC $3.1 million
STAG
STAG INDUSTRIAL INC REIT $3.1 million
OSK
OSHKOSH CORP COMMON $3.1 million
SSD
SIMPSON MANUFACTURING CO $3.1 million
VOYA
VOYA FINANCIAL INC $3.1 million
RGEN
REPLIGEN CORP COMMON $3.1 million
ELAN
ELANCO ANIMAL HEALTH INC $3.1 million
VMI
VALMONT INDUSTRIES INC $3.1 million
STWD
STARWOOD PROPERTY TRUST $3.1 million
HALO
HALOZYME THERAPEUTICS $3.1 million
APA
APA CORP COMMON STOCK $3.0 million
SLM
SLM CORP COMMON STOCK $3.0 million
JAZZ
JAZZ PHARMACEUTICALS PLC $3.0 million
FLS
FLOWSERVE CORP COMMON $3.0 million
FOUR
SHIFT4 PAYMENTS INC $3.0 million
KBR
KBR INC COMMON STOCK USD $3.0 million
R
RYDER SYSTEM INC COMMON $3.0 million
LITE
LUMENTUM HOLDINGS INC $3.0 million
ELF
ELF BEAUTY INC COMMON $3.0 million
EPRT
ESSENTIAL PROPERTIES $3.0 million
FSS
FEDERAL SIGNAL CORP $3.0 million
DINO
HF SINCLAIR CORP COMMON $3.0 million
PB
PROSPERITY BANCSHARES $3.0 million
MSA
MSA SAFETY INC COMMON $3.0 million
G
GENPACT LTD COMMON STOCK $3.0 million
MTG
MGIC INVESTMENT CORP $3.0 million
BBIO
BRIDGEBIO PHARMA INC $2.9 million
MAT
MATTEL INC COMMON STOCK $2.9 million
JXN
JACKSON FINANCIAL INC $2.9 million
KEX
KIRBY CORP COMMON STOCK $2.9 million
AXTA
AXALTA COATING SYSTEMS $2.9 million
ONB
OLD NATIONAL BANCORP/IN $2.9 million
LYFT
LYFT INC COMMON STOCK $2.9 million
JBTM
JBT MAREL CORP COMMON $2.9 million
TMHC
TAYLOR MORRISON HOME $2.9 million
UFPI
UFP INDUSTRIES INC $2.9 million
ARW
ARROW ELECTRONICS INC $2.9 million
CRWV
COREWEAVE INC COMMON $2.8 million
PRMB
PRIMO BRANDS CORP COMMON $2.8 million
AGCO
AGCO CORP COMMON STOCK $2.8 million
FBIN
FORTUNE BRANDS $2.8 million
RITM
RITHM CAPITAL CORP REIT $2.8 million
RLI
RLI CORP COMMON STOCK $2.8 million
IONS
IONIS PHARMACEUTICALS $2.8 million
ESNT
ESSENT GROUP LTD COMMON $2.8 million
TREX
TREX CO INC COMMON STOCK $2.8 million
FAF
FIRST AMERICAN FINANCIAL $2.8 million
BBWI
BATH & BODY WORKS INC $2.8 million
FR
FIRST INDUSTRIAL REALTY $2.8 million
CHRD
CHORD ENERGY CORP COMMON $2.8 million
VNO
VORNADO REALTY LP $2.8 million
IDA
IDACORP INC COMMON STOCK $2.8 million
AM
ANTERO MIDSTREAM CORP $2.8 million
CZR
CAESARS ENTERTAINMENT $2.8 million
GPK
GRAPHIC PACKAGING $2.8 million
WH
WYNDHAM HOTELS & RESORTS $2.8 million
RVMD
REVOLUTION MEDICINES INC $2.7 million
RHP
RYMAN HOSPITALITY $2.7 million
CE
CELANESE CORP COMMON $2.7 million
DBX
DROPBOX INC COMMON STOCK $2.7 million
CRUS
CIRRUS LOGIC INC COMMON $2.7 million
THG
HANOVER INSURANCE GROUP $2.7 million
ALK
ALASKA AIR GROUP INC $2.7 million
AUR
AURORA INNOVATION INC $2.7 million
TRNO
TERRENO REALTY CORP REIT $2.7 million
DVA
DAVITA INC COMMON STOCK $2.7 million
CADE
BANCORPSOUTH BANK COMMON $2.7 million
COKE
COCA-COLA CONSOLIDATED $2.7 million
LFUS
LITTELFUSE INC COMMON $2.7 million
GPI
GROUP 1 AUTOMOTIVE INC $2.7 million
GTLB
GITLAB INC COMMON STOCK $2.7 million
GXO
GXO LOGISTICS INC USD $2.6 million
LPX
LOUISIANA-PACIFIC CORP $2.6 million
LNC
LINCOLN NATIONAL CORP $2.6 million
S
SENTINELONE INC COMMON $2.6 million
AN
AUTONATION INC COMMON $2.6 million
FCN
FTI CONSULTING INC $2.6 million
H
HYATT HOTELS CORP COMMON $2.6 million
GTES
GATES INDUSTRIAL CORP $2.6 million
ETSY
ETSY INC COMMON STOCK $2.6 million
TFX
TELEFLEX INC COMMON $2.6 million
TEM
TEMPUS AI INC COMMON $2.6 million
SNDK
SANDISK CORP/DE COMMON $2.6 million
DAR
DARLING INGREDIENTS INC $2.6 million
MMSI
MERIT MEDICAL SYSTEMS $2.6 million
MTN
VAIL RESORTS INC COMMON $2.6 million
ZWS
ZURN ELKAY WATER $2.6 million
VNT
VONTIER CORP COMMON $2.6 million
LNTH
LANTHEUS HOLDINGS INC $2.6 million
HLNE
HAMILTON LANE INC COMMON $2.6 million
AMG
AFFILIATED MANAGERS $2.6 million
GATX
GATX CORP COMMON STOCK $2.6 million
TGTX
TG THERAPEUTICS INC $2.6 million
AL
AIR LEASE CORP COMMON $2.5 million
POST
POST HOLDINGS INC COMMON $2.5 million
FCFS
FIRSTCASH HOLDINGS INC $2.5 million
SITE
SITEONE LANDSCAPE SUPPLY $2.5 million
PATH
UIPATH INC COMMON STOCK $2.5 million
CROX
CROCS INC COMMON STOCK $2.5 million
HR
HEALTHCARE REALTY TRUST $2.5 million
MTDR
MATADOR RESOURCES CO $2.5 million
GKOS
GLAUKOS CORP COMMON $2.5 million
UHAL.B
U-HAUL HOLDING CO COMMON $2.5 million
WHR
WHIRLPOOL CORP COMMON $2.5 million
CMC
COMMERCIAL METALS CO $2.5 million
IVZ
INVESCO LTD COMMON STOCK $2.5 million
OPCH
OPTION CARE HEALTH INC $2.5 million
MKSI
MKS INC COMMON STOCK USD $2.5 million
HOMB
HOME BANCSHARES INC/AR $2.5 million
TPG
TPG INC COMMON STOCK USD $2.5 million
LOPE
GRAND CANYON EDUCATION $2.5 million
TXNM
TXNM ENERGY INC COMMON $2.4 million
BCPC
BALCHEM CORP COMMON $2.4 million
SIGI
SELECTIVE INSURANCE $2.4 million
MDGL
MADRIGAL PHARMACEUTICALS $2.4 million
GAP
GAP INC/THE COMMON STOCK $2.4 million
MHK
MOHAWK INDUSTRIES INC $2.4 million
UBSI
UNITED BANKSHARES INC/WV $2.4 million
SAIC
SCIENCE APPLICATIONS $2.4 million
SPSC
SPS COMMERCE INC COMMON $2.4 million
AEIS
ADVANCED ENERGY $2.4 million
RDN
RADIAN GROUP INC COMMON $2.4 million
WSC
WILLSCOT HOLDINGS CORP $2.4 million
ENPH
ENPHASE ENERGY INC $2.4 million
VNOM
VIPER ENERGY INC COMMON $2.4 million
LEA
LEAR CORP COMMON STOCK $2.4 million
CGNX
COGNEX CORP COMMON STOCK $2.3 million
ESI
ELEMENT SOLUTIONS INC $2.3 million
QLYS
QUALYS INC COMMON STOCK $2.3 million
AAON
AAON INC COMMON STOCK $2.3 million
KRG
KITE REALTY GROUP TRUST $2.3 million
ORA
ORMAT TECHNOLOGIES INC $2.3 million
BOX
BOX INC COMMON STOCK USD $2.3 million
GBCI
GLACIER BANCORP INC $2.3 million
NEU
NEWMARKET CORP COMMON $2.3 million
FMC
FMC CORP COMMON STOCK $2.3 million
SLGN
SILGAN HOLDINGS INC $2.3 million
LSTR
LANDSTAR SYSTEM INC $2.3 million
SLAB
SILICON LABORATORIES INC $2.3 million
ONTO
ONTO INNOVATION INC $2.3 million
SANM
SANMINA CORP COMMON $2.2 million
OZK
BANK OZK COMMON STOCK $2.2 million
MTH
MERITAGE HOMES CORP $2.2 million
BIO
BIO-RAD LABORATORIES INC $2.2 million
VVV
VALVOLINE INC COMMON $2.2 million
TKR
TIMKEN CO/THE COMMON $2.2 million
NXST
NEXSTAR MEDIA GROUP INC $2.2 million
CCCS
CCC INTELLIGENT $2.2 million
CUZ
COUSINS PROPERTIES INC $2.2 million
NOV
NOV INC COMMON STOCK USD $2.2 million
PEGA
PEGASYSTEMS INC COMMON $2.2 million
FNB
FNB CORP/PA COMMON STOCK $2.2 million
COLB
COLUMBIA BANKING SYSTEM $2.2 million
GNTX
GENTEX CORP COMMON STOCK $2.2 million
BYD
BOYD GAMING CORP COMMON $2.2 million
ALKS
ALKERMES PLC COMMON $2.2 million
WEX
WEX INC COMMON STOCK USD $2.2 million
HWC
HANCOCK WHITNEY CORP $2.2 million
DLB
DOLBY LABORATORIES INC $2.1 million
AVT
AVNET INC COMMON STOCK $2.1 million
NOVT
NOVANTA INC COMMON STOCK $2.1 million
HXL
HEXCEL CORP COMMON STOCK $2.1 million
JHG
JANUS HENDERSON GROUP $2.1 million
CHX
CHAMPIONX CORP $2.1 million
THO
THOR INDUSTRIES INC $2.1 million
ROIV
ROIVANT SCIENCES LTD $2.1 million
BDC
BELDEN INC COMMON STOCK $2.1 million
ACHR
ARCHER AVIATION INC $2.1 million
POR
PORTLAND GENERAL $2.1 million
ABG
ASBURY AUTOMOTIVE GROUP $2.1 million
SEE
SEALED AIR CORP COMMON $2.1 million
SWX
SOUTHWEST GAS HOLDINGS $2.1 million
EPR
EPR PROPERTIES REIT USD $2.1 million
FFIN
FIRST FINANCIAL $2.0 million
NJR
NEW JERSEY RESOURCES $2.0 million
SIRI
SIRIUS XM HOLDINGS INC $2.0 million
SON
SONOCO PRODUCTS CO $2.0 million
BRKR
BRUKER CORP $2.0 million
SR
SPIRE INC COMMON STOCK $2.0 million
WTM
WHITE MOUNTAINS $2.0 million
ST
SENSATA TECHNOLOGIES $2.0 million
SXT
SENSIENT TECHNOLOGIES $2.0 million
COLD
AMERICOLD REALTY TRUST $2.0 million
RHI
ROBERT HALF INC COMMON $2.0 million
LAZ
LAZARD INC COMMON STOCK $2.0 million
SPR
SPIRIT AEROSYSTEMS $2.0 million
PECO
PHILLIPS EDISON & CO INC $2.0 million
OGS
ONE GAS INC COMMON STOCK $1.9 million
CRSP
CRISPR THERAPEUTICS AG $1.9 million
EEFT
EURONET WORLDWIDE INC $1.9 million
AGO
ASSURED GUARANTY LTD $1.9 million
INFA
INFORMATICA INC COMMON $1.9 million
IBP
INSTALLED BUILDING $1.9 million
None
COLLATERAL USD $1.9 million
AXSM
AXSOME THERAPEUTICS INC $1.9 million
ALGM
ALLEGRO MICROSYSTEMS INC $1.9 million
TENB
TENABLE HOLDINGS INC $1.9 million
MGY
MAGNOLIA OIL & GAS CORP $1.9 million
BKH
BLACK HILLS CORP COMMON $1.9 million
MP
MP MATERIALS CORP COMMON $1.9 million
VLY
VALLEY NATIONAL BANCORP $1.9 million
ACA
ARCOSA INC COMMON STOCK $1.9 million
MMS
MAXIMUS INC COMMON STOCK $1.9 million
HRI
HERC HOLDINGS INC COMMON $1.9 million
LUMN
LUMEN TECHNOLOGIES INC $1.9 million
INSP
INSPIRE MEDICAL SYSTEMS $1.8 million
CYTK
CYTOKINETICS INC COMMON $1.8 million
IRT
INDEPENDENCE REALTY $1.8 million
PBH
PRESTIGE CONSUMER $1.8 million
CBT
CABOT CORP COMMON STOCK $1.8 million
PCVX
VAXCYTE INC COMMON STOCK $1.8 million
EXPO
EXPONENT INC COMMON $1.8 million
VFC
VF CORP COMMON STOCK USD $1.8 million
NSIT
INSIGHT ENTERPRISES INC $1.8 million
BILL
BILL HOLDINGS INC COMMON $1.8 million
ANF
ABERCROMBIE & FITCH CO $1.7 million
ESGR
ENSTAR GROUP LTD COMMON $1.7 million
KRC
KILROY REALTY CORP REIT $1.7 million
PSN
PARSONS CORP COMMON $1.7 million
ALE
ALLETE INC COMMON STOCK $1.7 million
WMG
WARNER MUSIC GROUP CORP $1.7 million
KMPR
KEMPER CORP COMMON STOCK $1.7 million
LTH
LIFE TIME GROUP HOLDINGS $1.7 million
FELE
FRANKLIN ELECTRIC CO INC $1.7 million
FHI
FEDERATED HERMES INC $1.7 million
WFRD
WEATHERFORD $1.7 million
HAE
HAEMONETICS CORP COMMON $1.7 million
MSGS
MADISON SQUARE GARDEN $1.6 million
PAG
PENSKE AUTOMOTIVE GROUP $1.6 million
LANC
LANCASTER COLONY CORP $1.6 million
BC
BRUNSWICK CORP/DE COMMON $1.6 million
PRGO
PERRIGO CO PLC COMMON $1.6 million
CHH
CHOICE HOTELS $1.6 million
WK
WORKIVA INC COMMON STOCK $1.6 million
SARO
STANDARDAERO INC COMMON $1.6 million
CLF
CLEVELAND-CLIFFS INC $1.6 million
RARE
ULTRAGENYX $1.6 million
HL
HECLA MINING CO COMMON $1.6 million
PVH
PVH CORP COMMON STOCK $1.6 million
SKY
CHAMPION HOMES INC $1.6 million
MSM
MSC INDUSTRIAL DIRECT CO $1.5 million
OTTR
OTTER TAIL CORP COMMON $1.5 million
TNL
TRAVEL + LEISURE CO $1.5 million
BXMT
BLACKSTONE MORTGAGE $1.5 million
ENS
ENERSYS COMMON STOCK USD $1.5 million
KBH
KB HOME COMMON STOCK USD $1.5 million
DRS
LEONARDO DRS INC COMMON $1.5 million
FLO
FLOWERS FOODS INC COMMON $1.5 million
RUSHA
RUSH ENTERPRISES INC $1.5 million
MDU
MDU RESOURCES GROUP INC $1.5 million
RYN
RAYONIER INC REIT USD 0 $1.5 million
WAY
WAYSTAR HOLDING CORP $1.5 million
FRPT
FRESHPET INC COMMON $1.5 million
BHF
BRIGHTHOUSE FINANCIAL $1.5 million
CAR
AVIS BUDGET GROUP INC $1.5 million
AMTM
AMENTUM HOLDINGS INC $1.4 million
RELY
REMITLY GLOBAL INC $1.4 million
CRVL
CORVEL CORP COMMON STOCK $1.4 million
AVA
AVISTA CORP COMMON STOCK $1.4 million
MUR
MURPHY OIL CORP COMMON $1.4 million
AWR
AMERICAN STATES WATER CO $1.4 million
NWE
NORTHWESTERN ENERGY $1.4 million
FUL
HB FULLER CO COMMON $1.4 million
GTM
ZOOMINFO TECHNOLOGIES $1.4 million
M
MACY'S INC COMMON STOCK $1.4 million
ADT
ADT INC COMMON STOCK USD $1.4 million
VKTX
VIKING THERAPEUTICS INC $1.4 million
AVNT
AVIENT CORP COMMON STOCK $1.4 million
CRC
CALIFORNIA RESOURCES $1.4 million
DNB
DUN & BRADSTREET $1.4 million
RH
RH COMMON STOCK USD $1.3 million
PCH
POTLATCHDELTIC CORP REIT $1.3 million
BL
BLACKLINE INC COMMON $1.3 million
WU
WESTERN UNION CO/THE $1.3 million
SMG
SCOTTS MIRACLE-GRO $1.3 million
PFSI
PENNYMAC FINANCIAL $1.3 million
SMPL
SIMPLY GOOD FOODS CO/THE $1.3 million
CWT
CALIFORNIA WATER SERVICE $1.3 million
CACC
CREDIT ACCEPTANCE CORP $1.3 million
LCID
LUCID GROUP INC COMMON $1.3 million
CWEN
CLEARWAY ENER-C RG $1.2 million
FRHC
FREEDOM HOLDING CORP/NV $1.2 million
OGN
ORGANON & CO COMMON $1.2 million
BLKB
BLACKBAUD INC COMMON $1.1 million
IPAR
INTERPARFUMS INC COMMON $1.1 million
HGV
HILTON GRAND VACATIONS $1.1 million
SMMT
SUMMIT THERAPEUTICS INC $1.1 million
AMKR
AMKOR TECHNOLOGY INC $1.1 million
DJT
TRUMP MEDIA & TECHNOLOGY $999453
CNS
COHEN & STEERS INC $990238
HHH
HOWARD HUGHES HOLDINGS $975036
GOLF
ACUSHNET HOLDINGS CORP $950397
CRK
COMSTOCK RESOURCES INC $942680
BOKF
BOK FINANCIAL CORP $916663
LOAR
LOAR HOLDINGS INC COMMON $915205
TNET
TRINET GROUP INC COMMON $903222
PPC
PILGRIM'S PRIDE CORP $883020
KRMN
KARMAN HOLDINGS INC $821743
SHC
SOTERA HEALTH CO COMMON $805210
SRPT
SAREPTA THERAPEUTICS INC $784722
DDS
DILLARD'S INC COMMON $769773
LBTYA
LIBERTY GLOBAL LTD $767765
COTY
COTY INC COMMON STOCK $756621
LBRDA
LIBERTY BROADBAND CORP $754350
COLM
COLUMBIA SPORTSWEAR CO $748651
LBTYK
LIBERTY GLOBAL LTD $673564
CLVT
CLARIVATE PLC COMMON $663128
SAIL
SAILPOINT INC COMMON $661425
TTAN
SERVICETITAN INC COMMON $549235
ACT
ENACT HOLDINGS INC $549081
REYN
REYNOLDS CONSUMER $547150
FIZZ
NATIONAL BEVERAGE CORP $546114
CWEN.A
CLEARWAY ENERGY INC $474869
TFSL
TFS FINANCIAL CORP $322077
None
S&P MID 400 09/19/2025 $288995
UHAL
U-HAUL HOLDING CO COMMON $219451
RUSHB
RUSH ENTERPRISES INC $191208
None
USD - FOR FUTURES $-226559
None
CASH $-6.0 million

Recent Changes - JPMorgan BetaBuilders U.S. Mid Cap Equity ETF

Date Ticker Name Change (Shares)
2025-06-23
YETI
YETI Holdings Inc -44,311
2025-06-23
DXC
DXC Technology Co Registered Shs When Issued -92,701
2025-06-23
TECH
BIO-TECHNE CORP COMMON 74,966
2025-06-23
PBF
PBF Energy Inc Class A -53,722
2025-06-23
VAL
Valaris Ltd -32,564
2025-06-23
CRDO
CREDO TECHNOLOGY GROUP 68,967
2025-06-23
HST
HOST HOTELS & RESORTS 331,710
2025-06-23
AES
AES CORP/THE COMMON 336,530
2025-06-23
APLS
Apellis Pharmaceuticals Inc -42,269
2025-06-23
CIVI
Civitas Resources Inc Ordinary Shares -37,824
2025-06-23
IAC
IAC Inc Ordinary Shares - New -39,651
2025-06-23
PII
Polaris Inc -27,780
2025-06-23
IONQ
IONQ INC COMMON STOCK 112,757
2025-06-23
BXP
BXP INC REIT USD 0.01 68,435
2025-06-23
BG
BUNGE GLOBAL SA COMMON 63,376
2025-06-23
ENPH
ENPHASE ENERGY INC 62,256
2025-06-23
NVST
Envista Holdings Corp Ordinary Shares -89,085
2025-06-23
LW
LAMB WESTON HOLDINGS INC 61,668
2025-06-23
BROS
DUTCH BROS INC COMMON 54,225
2025-06-23
PRKS
United Parks & Resorts Inc -14,342
2025-06-23
TDC
Teradata Corp -50,072
2025-06-23
PENN
PENN Entertainment Inc -70,432
2025-06-23
SWK
STANLEY BLACK & DECKER 72,526
2025-06-23
APLE
Apple Hospitality REIT Inc -117,629
2025-06-23
ATKR
Atkore Inc -17,876
2025-06-23
NWL
Newell Brands Inc -204,347
2025-06-23
SGRY
Surgery Partners Inc -39,554
2025-06-23
SEM
Select Medical Holdings Corp -53,019
2025-06-23
6RJ0.DE
ROCKET LAB CORP COMMON 165,921
2025-06-23
KMX
CARMAX INC COMMON STOCK 72,157
2025-06-23
ASO
Academy Sports and Outdoors Inc Ordinary Shares -36,045
2025-06-23
CHWY
CHEWY INC COMMON STOCK 91,102
2025-06-23
BEN
FRANKLIN RESOURCES INC 135,667
2025-06-23
VNOM
VIPER ENERGY INC COMMON 62,097
2025-06-23
SIG
Signet Jewelers Ltd -22,897
2025-06-23
SAIL
SAILPOINT INC COMMON 28,522
2025-06-23
CE
CELANESE CORP COMMON 48,835
2025-06-23
ALB
ALBEMARLE CORP COMMON 55,571
2025-06-23
IPG
THE INTERPUBLIC GROUP 175,260
2025-06-23
EPAM
EPAM SYSTEMS INC COMMON 26,212
2025-06-23
FTI
TECHNIPFMC PLC COMMON 196,165
2025-06-23
UAA
Under Armour Inc Class A -98,216
2025-06-23
JJSF
J&J Snack Foods Corp -7,806
2025-06-23
ACHC
Acadia Healthcare Co Inc -47,515
2025-06-23
ASGN
ASGN Inc -23,769
2025-06-23
ASH
Ashland Inc -24,323
2025-06-23
POWI
Power Integrations Inc -29,335
2025-06-23
DV
DoubleVerify Holdings Inc -75,460
2025-06-23
IRDM
Iridium Communications Inc -54,154
2025-06-23
HOG
Harley-Davidson Inc -58,861
2025-06-23
PTEN
Patterson-UTI Energy Inc -194,096
2025-06-23
OLN
Olin Corp -61,999
2025-06-23
ALIT
Alight Inc Class A -215,946
2025-06-23
NSP
Insperity Inc -18,705
2025-06-23
FOLD
Amicus Therapeutics Inc -137,183
2025-06-23
WEN
The Wendy's Co Class A -85,153
2025-06-23
BTU
Peabody Energy Corp -62,142
2025-06-23
GEF
Greif Inc Class A -13,317
2025-06-23
IMVT
Immunovant Inc -32,353
2025-06-23
NEOG
Neogen Corp -112,458
2025-06-23
SWKS
SKYWORKS SOLUTIONS INC 74,339
2025-06-23
NBIX
NEUROCRINE BIOSCIENCES 46,804
2025-06-23
ACHR
ARCHER AVIATION INC 208,999
2025-06-23
SM
SM Energy Co -59,485
2025-06-23
AFG
AMERICAN FINANCIAL GROUP 33,948
2025-06-23
HIMS
HIMS & HERS HEALTH INC 96,329
2025-06-23
CORT
CORCEPT THERAPEUTICS INC 45,889
2025-06-23
MGM
MGM RESORTS 94,266
2025-06-23
BBIO
BRIDGEBIO PHARMA INC 66,419
2025-06-23
TGTX
TG THERAPEUTICS INC 68,566
2025-06-23
XRAY
Dentsply Sirona Inc -107,718
2025-06-23
EXE
Expand Energy Corp Ordinary Shares - New -104,300
2025-06-23
HOOD
Robinhood Markets Inc Class A -266,637
2025-06-23
KRMN
KARMAN HOLDINGS INC 16,808
2025-06-23
TTAN
SERVICETITAN INC COMMON 5,273
2025-06-23
SNDK
SANDISK CORP/DE COMMON 55,102
2025-06-23
PRMB
PRIMO BRANDS CORP COMMON 97,441
2025-06-23
CRWV
COREWEAVE INC COMMON 17,798
2025-06-23
EMN
EASTMAN CHEMICAL CO 54,675
2025-06-23
DAY
DAYFORCE INC COMMON 73,873
2025-06-23
AVTR
AVANTOR INC COMMON STOCK 320,617
2025-06-23
EXAS
EXACT SCIENCES CORP 87,180
2025-06-23
RBRK
RUBRIK INC COMMON STOCK 48,414
2025-06-23
VTRS
VIATRIS INC COMMON STOCK 568,662
2025-06-23
PACS
PACS Group Inc -12,566
2025-06-23
PLTK
Playtika Holding Corp Ordinary Shares -36,709
2025-06-23
UA
Under Armour Inc Class C -78,920
2025-06-23
HP
Helmerich & Payne Inc -51,207
2025-06-23
HUN
Huntsman Corp -86,253
2025-06-23
IPGP
IPG Photonics Corp -13,656
2025-06-23
MAN
ManpowerGroup Inc -24,959
2025-06-23
CCOI
Cogent Communications Holdings Inc -22,761
2025-06-23
NSA
National Storage Affiliates Trust -35,903
2025-06-23
RIG
Transocean Ltd -404,803
2025-06-23
TEX
Terex Corp -34,795
2025-06-23
UHS
UNIVERSAL HEALTH 26,480
2025-06-20
FTI
TECHNIPFMC PLC COMMON 196,165
2025-06-20
HIMS
HIMS & HERS HEALTH INC 96,329
2025-06-20
NBIX
NEUROCRINE BIOSCIENCES 46,804
2025-06-20
NVST
Envista Holdings Corp Ordinary Shares -89,085
2025-06-20
TDC
Teradata Corp -50,072
2025-06-20
CRDO
CREDO TECHNOLOGY GROUP 68,967
2025-06-20
GEF
Greif Inc Class A -13,317
2025-06-20
JJSF
J&J Snack Foods Corp -7,806
2025-06-20
SEM
Select Medical Holdings Corp -53,019
2025-06-20
ACHC
Acadia Healthcare Co Inc -47,515
2025-06-20
WEN
The Wendy's Co Class A -85,153
2025-06-20
FOLD
Amicus Therapeutics Inc -137,183
2025-06-20
APLS
Apellis Pharmaceuticals Inc -42,269
2025-06-20
TECH
BIO-TECHNE CORP COMMON 74,966
2025-06-20
ASGN
ASGN Inc -23,769
2025-06-20
NWL
Newell Brands Inc -204,347
2025-06-20
OLN
Olin Corp -61,999
2025-06-20
ATKR
Atkore Inc -17,876
2025-06-20
PLTK
Playtika Holding Corp Ordinary Shares -36,709
2025-06-20
SGRY
Surgery Partners Inc -39,554
2025-06-20
PRKS
United Parks & Resorts Inc -14,342
2025-06-20
DXC
DXC Technology Co Registered Shs When Issued -92,701
2025-06-20
VAL
Valaris Ltd -32,564
2025-06-20
APLE
Apple Hospitality REIT Inc -117,629
2025-06-20
RIG
Transocean Ltd -404,803
2025-06-20
IPG
THE INTERPUBLIC GROUP 175,260
2025-06-20
POWI
Power Integrations Inc -29,335
2025-06-20
YETI
YETI Holdings Inc -44,311
2025-06-20
SAIL
SAILPOINT INC COMMON 28,522
2025-06-20
ENPH
ENPHASE ENERGY INC 62,256
2025-06-20
TTAN
SERVICETITAN INC COMMON 5,273
2025-06-20
CE
CELANESE CORP COMMON 48,835
2025-06-20
SNDK
SANDISK CORP/DE COMMON 55,102
2025-06-20
HOOD
Robinhood Markets Inc Class A -266,637
2025-06-20
PTEN
Patterson-UTI Energy Inc -194,096
2025-06-20
UAA
Under Armour Inc Class A -98,216
2025-06-20
NEOG
Neogen Corp -112,458
2025-06-20
AES
AES CORP/THE COMMON 336,530
2025-06-20
PACS
PACS Group Inc -12,566
2025-06-20
LW
LAMB WESTON HOLDINGS INC 61,668
2025-06-20
AFG
AMERICAN FINANCIAL GROUP 33,948
2025-06-20
UHS
UNIVERSAL HEALTH 26,480
2025-06-20
DAY
DAYFORCE INC COMMON 73,873
2025-06-20
CORT
CORCEPT THERAPEUTICS INC 45,889
2025-06-20
EMN
EASTMAN CHEMICAL CO 54,675
2025-06-20
KMX
CARMAX INC COMMON STOCK 72,157
2025-06-20
VTRS
VIATRIS INC COMMON STOCK 568,662
2025-06-20
SWKS
SKYWORKS SOLUTIONS INC 74,339
2025-06-20
SWK
STANLEY BLACK & DECKER 72,526
2025-06-20
HST
HOST HOTELS & RESORTS 331,710
2025-06-20
CRWV
COREWEAVE INC COMMON 17,798
2025-06-20
UA
Under Armour Inc Class C -78,920
2025-06-20
MGM
MGM RESORTS 94,266
2025-06-20
6RJ0.DE
ROCKET LAB CORP COMMON 165,921
2025-06-20
EXAS
EXACT SCIENCES CORP 87,180
2025-06-20
IONQ
IONQ INC COMMON STOCK 112,757
2025-06-20
AVTR
AVANTOR INC COMMON STOCK 320,617
2025-06-20
EPAM
EPAM SYSTEMS INC COMMON 26,212
2025-06-20
RBRK
RUBRIK INC COMMON STOCK 48,414
2025-06-20
BXP
BXP INC REIT USD 0.01 68,435
2025-06-20
CHWY
CHEWY INC COMMON STOCK 91,102
2025-06-20
BROS
DUTCH BROS INC COMMON 54,225
2025-06-20
BEN
FRANKLIN RESOURCES INC 135,667
2025-06-20
ALB
ALBEMARLE CORP COMMON 55,571
2025-06-20
PRMB
PRIMO BRANDS CORP COMMON 97,441
2025-06-20
BBIO
BRIDGEBIO PHARMA INC 66,419
2025-06-20
VNOM
VIPER ENERGY INC COMMON 62,097
2025-06-20
TGTX
TG THERAPEUTICS INC 68,566
2025-06-20
ACHR
ARCHER AVIATION INC 208,999
2025-06-20
KRMN
KARMAN HOLDINGS INC 16,808
2025-06-20
EXE
Expand Energy Corp Ordinary Shares - New -104,300
2025-06-20
SIG
Signet Jewelers Ltd -22,897
2025-06-20
XRAY
Dentsply Sirona Inc -107,718
2025-06-20
SM
SM Energy Co -59,485
2025-06-20
TEX
Terex Corp -34,795
2025-06-20
IRDM
Iridium Communications Inc -54,154
2025-06-20
IAC
IAC Inc Ordinary Shares - New -39,651
2025-06-20
HOG
Harley-Davidson Inc -58,861
2025-06-20
PBF
PBF Energy Inc Class A -53,722
2025-06-20
NSP
Insperity Inc -18,705
2025-06-20
PENN
PENN Entertainment Inc -70,432
2025-06-20
CIVI
Civitas Resources Inc Ordinary Shares -37,824
2025-06-20
ASH
Ashland Inc -24,323
2025-06-20
NSA
National Storage Affiliates Trust -35,903
2025-06-20
ALIT
Alight Inc Class A -215,946
2025-06-20
PII
Polaris Inc -27,780
2025-06-20
ASO
Academy Sports and Outdoors Inc Ordinary Shares -36,045
2025-06-20
MAN
ManpowerGroup Inc -24,959
2025-06-20
CCOI
Cogent Communications Holdings Inc -22,761
2025-06-20
DV
DoubleVerify Holdings Inc -75,460
2025-06-20
IPGP
IPG Photonics Corp -13,656
2025-06-20
HUN
Huntsman Corp -86,253
2025-06-20
BTU
Peabody Energy Corp -62,142
2025-06-20
HP
Helmerich & Payne Inc -51,207
2025-06-20
BG
BUNGE GLOBAL SA COMMON 63,376
2025-06-20
IMVT
Immunovant Inc -32,353
2025-06-18
X
United States Steel Corp -109,489
2025-04-30
BERY
Berry Global Group Inc -56,009
2025-04-29
BECN
Beacon Roofing Supply Inc Class A -30,440
2025-04-29
BERY
Berry Global Group Inc -56,009
2025-04-04
ANGI
Angi Inc Class A -19,585
2025-04-03
ANGI
Angi Inc Class A -19,560
2025-04-03
ITCI
Intra-Cellular Therapies Inc -47,671
2025-04-02
ITCI
Intra-Cellular Therapies Inc -47,671