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Vanguard Small-Cap ETF Holdings

VB was created on 2004-01-26 by Vanguard. The fund's investment portfolio concentrates primarily on small cap equity. The ETF currently has 63507.76m in AUM and 1340 holdings. The fund seeks to track a market-cap-weighted portfolio that provides small-cap exposure to the US equity space.

Last Updated: 3 days, 1 hour ago

Last reported holdings - Vanguard Small-Cap ETF

Ticker Name Est. Value
None
Slcmt1142 $2.3 billion
NRG
NRG Energy Inc $767.1 million
EXE
Expand Energy Corp Ordinary Shares - New $646.0 million
ATO
Atmos Energy Corp $598.2 million
EME
EMCOR Group Inc $585.0 million
SW
Smurfit WestRock PLC $550.4 million
JBL
Jabil Inc $543.4 million
FWONK
Liberty Media Corp Registered Shs Series -C- Formula One $538.9 million
NTRA
Natera Inc $535.5 million
TOST
Toast Inc Class A $512.0 million
PTC
PTC Inc $505.1 million
DKNG
DraftKings Inc Ordinary Shares - Class A $494.1 million
WSM
Williams-Sonoma Inc $491.0 million
GWRE
Guidewire Software Inc $482.6 million
RBA.TO
RB Global Inc $480.5 million
NTNX
Nutanix Inc Class A $473.2 million
SOFI
SoFi Technologies Inc Ordinary Shares $467.3 million
CASY
Casey's General Stores Inc $462.8 million
FIX
Comfort Systems USA Inc $462.2 million
CW
Curtiss-Wright Corp $449.9 million
INSM
Insmed Inc $447.9 million
LII
Lennox International Inc $447.3 million
TPR
Tapestry Inc $445.6 million
FCNCA
First Citizens BancShares Inc Class A $440.4 million
PSTG
Pure Storage Inc Class A $437.3 million
USFD
US Foods Holding Corp $435.3 million
AFRM
Affirm Holdings Inc Ordinary Shares - Class A $428.5 million
RDDT
Reddit Inc Class A Shares $428.4 million
EQT
EQT Corp $426.5 million
TWLO
Twilio Inc Class A $417.5 million
EQH
Equitable Holdings Inc $416.6 million
FFIV
F5 Inc $413.0 million
PNR
Pentair PLC $412.7 million
DT
Dynatrace Inc Ordinary Shares $404.3 million
RS
Reliance Inc $403.4 million
THC
Tenet Healthcare Corp $399.5 million
CSL
Carlisle Companies Inc $394.6 million
SFM
Sprouts Farmers Market Inc $393.7 million
DOCU
Docusign Inc $385.4 million
6RJ0.DE
Rocket Lab USA Inc $383.1 million
WSO
Watsco Inc Ordinary Shares $376.5 million
DECK
Deckers Outdoor Corp $376.4 million
DUOL
Duolingo Inc $373.7 million
ACM
AECOM $364.8 million
APTV
Aptiv PLC $362.9 million
WWD
Woodward Inc $356.3 million
HOLX
Hologic Inc $354.8 million
TXT
Textron Inc $354.2 million
FTI
TechnipFMC PLC $352.9 million
GGG
Graco Inc $351.1 million
ILMN
Illumina Inc $350.6 million
KIM
Kimco Realty Corp $349.0 million
BJ
BJ's Wholesale Club Holdings Inc $347.9 million
XPO
XPO Inc $345.4 million
RPM
RPM International Inc $344.7 million
EWBC
East West Bancorp Inc $340.1 million
COHR
Coherent Corp $338.8 million
WPC
W.P. Carey Inc $333.8 million
PFGC
Performance Food Group Co $333.6 million
UDR
UDR Inc $330.5 million
SGI
Somnigroup International Inc $329.5 million
UNM
Unum Group $326.8 million
CRDO
Credo Technology Group Holding Ltd $326.5 million
JNPR
Juniper Networks Inc $326.2 million
IEX
IDEX Corp $324.1 million
TLN
Talen Energy Corp Ordinary Shares New $323.3 million
BWXT
BWX Technologies Inc $321.6 million
JKHY
Jack Henry & Associates Inc $320.6 million
RGA
Reinsurance Group of America Inc $320.3 million
CRS
Carpenter Technology Corp $319.4 million
ALGN
Align Technology Inc $318.6 million
CG
The Carlyle Group Inc $317.5 million
UTHR
United Therapeutics Corp $316.7 million
BAH
Booz Allen Hamilton Holding Corp Class A $316.0 million
REG
Regency Centers Corp $315.9 million
APG
APi Group Corp $310.8 million
NBIX
Neurocrine Biosciences Inc $304.0 million
TXRH
Texas Roadhouse Inc $303.8 million
ALLE
Allegion PLC $303.0 million
EHC
Encompass Health Corp $302.5 million
ITT
ITT Inc $301.6 million
BLDR
Builders FirstSource Inc $299.4 million
ENTG
Entegris Inc $298.4 million
GLPI
Gaming and Leisure Properties Inc $297.8 million
ATI
ATI Inc $297.6 million
DOC
Healthpeak Properties Inc $297.3 million
JLL
Jones Lang LaSalle Inc $296.7 million
RBC
RBC Bearings Inc $296.0 million
NVT
nVent Electric PLC $294.7 million
CPT
Camden Property Trust $294.2 million
MANH
Manhattan Associates Inc $293.0 million
CCK
Crown Holdings Inc $292.9 million
ALAB
Astera Labs Inc $291.5 million
TKO
TKO Group Holdings Inc $290.8 million
AR
Antero Resources Corp $290.4 million
RNR
RenaissanceRe Holdings Ltd $288.8 million
FTAI
FTAI Aviation Ltd $288.3 million
RIVN
Rivian Automotive Inc Class A $286.7 million
RGLD
Royal Gold Inc $286.0 million
OC
Owens-Corning Inc $285.8 million
AKAM
Akamai Technologies Inc $285.0 million
PAYC
Paycom Software Inc $283.6 million
LECO
Lincoln Electric Holdings Inc $282.8 million
MOS
The Mosaic Co $282.8 million
CIEN
Ciena Corp $282.5 million
LBRDK
Liberty Broadband Corp Registered Shs Series -C- $281.1 million
CNM
Core & Main Inc Class A $279.3 million
EXEL
Exelixis Inc $279.0 million
RVTY
Revvity Inc $278.6 million
NLY
Annaly Capital Management Inc $278.3 million
QXO
QXO Inc $278.3 million
ROKU
Roku Inc Class A $278.2 million
TOL
Toll Brothers Inc $277.3 million
AMH
American Homes 4 Rent Class A $276.8 million
INCY
Incyte Corp $273.8 million
SWKS
Skyworks Solutions Inc $273.4 million
DTM
DT Midstream Inc Ordinary Shares $272.8 million
CLH
Clean Harbors Inc $272.4 million
PODD
Insulet Corp $270.1 million
SCI
Service Corp International $269.0 million
NDSN
Nordson Corp $268.3 million
ARMK
Aramark $268.1 million
HUBB
Hubbell Inc $266.3 million
CHRW
C.H. Robinson Worldwide Inc $264.4 million
BG
Bunge Global SA $263.7 million
ALLY
Ally Financial Inc $263.2 million
MTZ
MasTec Inc $262.9 million
Z
Zillow Group Inc Class C $262.8 million
FHN
First Horizon Corp $262.7 million
IOT
Samsara Inc Ordinary Shares - Class A $262.2 million
KNSL
Kinsale Capital Group Inc $261.9 million
BXP
BXP Inc $261.0 million
PNW
Pinnacle West Capital Corp $261.0 million
LAMR
Lamar Advertising Co Class A $260.9 million
HST
Host Hotels & Resorts Inc $260.4 million
DKS
Dick's Sporting Goods Inc $259.4 million
ELS
Equity Lifestyle Properties Inc $259.3 million
OHI
Omega Healthcare Investors Inc $259.2 million
FN
Fabrinet $258.0 million
BMRN
BioMarin Pharmaceutical Inc $257.6 million
CNH
CNH Industrial NV $257.2 million
RBRK
Rubrik Inc Class A Shares $256.7 million
SOLV
Solventum Corp $256.5 million
VTRS
Viatris Inc $256.2 million
CACI
CACI International Inc Class A $256.2 million
SWK
Stanley Black & Decker Inc $256.1 million
WTRG
Essential Utilities Inc $254.4 million
POOL
Pool Corp $254.4 million
ATR
AptarGroup Inc $252.4 million
SNX
TD Synnex Corp $250.4 million
KMX
CarMax Inc $250.2 million
LDOS
Leidos Holdings Inc $248.1 million
SF
Stifel Financial Corp $247.5 million
SEIC
SEI Investments Co $245.9 million
EXAS
Exact Sciences Corp $245.0 million
RL
Ralph Lauren Corp Class A $244.8 million
AIZ
Assurant Inc $244.7 million
SJM
JM Smucker Co $242.6 million
EVR
Evercore Inc Class A $242.3 million
OVV
Ovintiv Inc $241.6 million
UHS
Universal Health Services Inc Class B $240.5 million
HAS
Hasbro Inc $240.1 million
GME
GameStop Corp Class A $239.9 million
CAG
Conagra Brands Inc $238.8 million
KD
Kyndryl Holdings Inc Ordinary Shares $238.6 million
AVAV
AeroVironment Inc $238.4 million
GL
Globe Life Inc $238.1 million
TPL
Texas Pacific Land Corp $237.4 million
CUBE
CubeSmart $236.8 million
HLI
Houlihan Lokey Inc Class A $236.5 million
RRX
Regal Rexnord Corp $235.0 million
MRNA
Moderna Inc $234.7 million
LKQ
LKQ Corp $233.5 million
COOP
Mr. Cooper Group Inc $233.3 million
EPAM
EPAM Systems Inc $232.6 million
NI
NiSource Inc $231.9 million
TTEK
Tetra Tech Inc $231.5 million
HII
Huntington Ingalls Industries Inc $231.5 million
PEN
Penumbra Inc $230.7 million
WING
Wingstop Inc $229.6 million
AGNC
AGNC Investment Corp $229.1 million
SSB
SouthState Corp $228.2 million
CR
Crane Co $226.8 million
BLD
TopBuild Corp $226.2 million
RRC
Range Resources Corp $225.6 million
AYI
Acuity Inc $225.3 million
WBS
Webster Financial Corp $224.4 million
PLNT
Planet Fitness Inc Class A $223.4 million
FYBR
Frontier Communications Parent Inc $222.5 million
NCLH
Norwegian Cruise Line Holdings Ltd $221.4 million
MTSI
MACOM Technology Solutions Holdings Inc $221.4 million
PRI
Primerica Inc $221.3 million
IPG
The Interpublic Group of Companies Inc $221.2 million
IONQ
IonQ Inc Class A $221.1 million
STLD
Steel Dynamics Inc $220.6 million
AFG
American Financial Group Inc $218.9 million
OGE
OGE Energy Corp $218.3 million
WMS
Advanced Drainage Systems Inc $217.8 million
ENSG
Ensign Group Inc $216.7 million
AIT
Applied Industrial Technologies Inc $216.3 million
CART
Maplebear Inc $216.2 million
ERIE
Erie Indemnity Co Class A $215.3 million
LAD
Lithia Motors Inc Class A $214.9 million
MLI
Mueller Industries Inc $214.9 million
EGP
EastGroup Properties Inc $214.5 million
INGR
Ingredion Inc $213.1 million
AVTR
Avantor Inc $212.9 million
NYT
New York Times Co Class A $210.9 million
HQY
HealthEquity Inc $210.7 million
EMN
Eastman Chemical Co $210.7 million
HIMS
Hims & Hers Health Inc Ordinary Shares - Class A $210.0 million
PR
Permian Resources Corp Class A $209.9 million
WCC
WESCO International Inc $209.8 million
PNFP
Pinnacle Financial Partners Inc $209.2 million
ORI
Old Republic International Corp $208.9 million
GNRC
Generac Holdings Inc $206.7 million
FLR
Fluor Corp $206.3 million
FSLR
First Solar Inc $206.1 million
REXR
Rexford Industrial Realty Inc $205.8 million
CHWY
Chewy Inc $205.7 million
DAY
Dayforce Inc $205.6 million
CELH
Celsius Holdings Inc $204.5 million
ASTS
AST SpaceMobile Inc Ordinary Shares - Class A $204.5 million
WTFC
Wintrust Financial Corp $202.8 million
DCI
Donaldson Co Inc $202.5 million
CAVA
Cava Group Inc $202.4 million
BPMC
Blueprint Medicines Corp $202.3 million
BROS
Dutch Bros Inc Class A $201.4 million
SKX
Skechers USA Inc Class A $200.9 million
TAP
Molson Coors Beverage Co Shs -B- Non-Voting $200.8 million
MASI
Masimo Corp $200.6 million
FRT
Federal Realty Investment Trust $200.3 million
WAL
Western Alliance Bancorp $199.9 million
FND
Floor & Decor Holdings Inc Class A $199.7 million
LNW
Light & Wonder Inc Ordinary Shares $198.5 million
NNN
NNN REIT Inc $198.3 million
OLLI
Ollie's Bargain Outlet Holdings Inc $197.8 million
TECH
Bio-Techne Corp $197.1 million
ADC
Agree Realty Corp $196.4 million
PCTY
Paylocity Holding Corp $195.6 million
ALSN
Allison Transmission Holdings Inc $195.6 million
BRX
Brixmor Property Group Inc $194.8 million
MKTX
MarketAxess Holdings Inc $194.4 million
MORN
Morningstar Inc $194.4 million
WBA
Walgreens Boots Alliance Inc $194.1 million
EVRG
Evergy Inc $193.4 million
QRVO
Qorvo Inc $193.0 million
JEF
Jefferies Financial Group Inc $192.9 million
CBSH
Commerce Bancshares Inc $192.5 million
CFR
Cullen/Frost Bankers Inc $191.8 million
ZBRA
Zebra Technologies Corp Ordinary Shares - Class A $191.6 million
CMA
Comerica Inc $191.5 million
UGI
UGI Corp $190.8 million
BALL
Ball Corp $190.1 million
AXS
Axis Capital Holdings Ltd $189.5 million
KTOS
Kratos Defense & Security Solutions Inc $188.9 million
G
Genpact Ltd $188.1 million
CVLT
CommVault Systems Inc $188.0 million
ZION
Zions Bancorp NA $187.3 million
PCOR
Procore Technologies Inc $187.1 million
NFG
National Fuel Gas Co $187.0 million
AA
Alcoa Corp $186.7 million
AOS
A.O. Smith Corp $186.2 million
EAT
Brinker International Inc $186.1 million
MTCH
Match Group Inc Ordinary Shares - New $185.1 million
DOCS
Doximity Inc Class A $184.7 million
HSIC
Henry Schein Inc $184.7 million
BPOP
Popular Inc $184.5 million
U
Unity Software Inc Ordinary Shares $184.4 million
GTLS
Chart Industries Inc $183.9 million
BEN
Franklin Resources Inc $183.8 million
AES
The AES Corp $183.0 million
ESTC
Elastic NV $182.9 million
CRL
Charles River Laboratories International Inc $182.1 million
CF
CF Industries Holdings Inc $182.1 million
SPXC
SPX Technologies Inc $181.8 million
AUR
Aurora Innovation Inc Class A $181.7 million
ACI
Albertsons Companies Inc Class A $181.6 million
NXT
Nextracker Inc Ordinary Shares - Class A $181.4 million
AAL
American Airlines Group Inc $180.8 million
BBIO
BridgeBio Pharma Inc $180.3 million
ALB
Albemarle Corp $180.2 million
BWA
BorgWarner Inc $179.8 million
BRBR
BellRing Brands Inc Class A $179.8 million
HRB
H&R Block Inc $179.6 million
WYNN
Wynn Resorts Ltd $179.5 million
RYAN
Ryan Specialty Holdings Inc Class A $178.8 million
LW
Lamb Weston Holdings Inc $178.8 million
FNF
Fidelity National Financial Inc $178.7 million
OSK
Oshkosh Corp $178.6 million
SAIA
Saia Inc $178.3 million
MUSA
Murphy USA Inc $176.8 million
EG
Everest Group Ltd $176.6 million
FIVE
Five Below Inc $176.5 million
MEDP
Medpace Holdings Inc $176.3 million
BMI
Badger Meter Inc $176.3 million
TER
Teradyne Inc $176.2 million
CWST
Casella Waste Systems Inc Class A $176.1 million
PRMB
Primo Brands Corp Ordinary Shares - Class A $175.7 million
UMBF
UMB Financial Corp $175.6 million
CHE
Chemed Corp $174.1 million
COO
The Cooper Companies Inc $173.9 million
ELAN
Elanco Animal Health Inc $173.3 million
BFAM
Bright Horizons Family Solutions Inc $172.9 million
TTC
The Toro Co $172.4 million
AWI
Armstrong World Industries Inc $172.3 million
OMC
Omnicom Group Inc $171.5 million
PSKY
Paramount Global Class B $169.8 million
ESAB
ESAB Corp $169.6 million
MIDD
The Middleby Corp $169.4 million
IVZ
Invesco Ltd $168.3 million
RMBS
Rambus Inc $168.0 million
AVY
Avery Dennison Corp $167.6 million
FLS
Flowserve Corp $167.2 million
VOYA
Voya Financial Inc $167.0 million
SNV
Synovus Financial Corp $167.0 million
KNX
Knight-Swift Transportation Holdings Inc Class A $166.4 million
OMF
OneMain Holdings Inc $165.8 million
MAS
Masco Corp $165.8 million
STAG
Stag Industrial Inc $165.4 million
EXLS
ExlService Holdings Inc $165.4 million
WTS
Watts Water Technologies Inc Class A $164.8 million
AN
AutoNation Inc $164.7 million
LSCC
Lattice Semiconductor Corp $164.6 million
DY
Dycom Industries Inc $164.1 million
ONB
Old National Bancorp $163.9 million
FOUR
Shift4 Payments Inc Class A $163.4 million
STRL
Sterling Infrastructure Inc $162.9 million
GMED
Globus Medical Inc Class A $162.8 million
MKSI
MKS Inc $162.8 million
ELF
e.l.f. Beauty Inc $162.7 million
RGEN
Repligen Corp $162.2 million
CORT
Corcept Therapeutics Inc $161.7 million
EXP
Eagle Materials Inc $161.5 million
ARW
Arrow Electronics Inc $161.5 million
MTG
MGIC Investment Corp $161.5 million
OLED
Universal Display Corp $161.4 million
VNO
Vornado Realty Trust $161.4 million
APA
APA Corp $161.3 million
DINO
HF Sinclair Corp $160.8 million
CHDN
Churchill Downs Inc $160.4 million
VMI
Valmont Industries Inc $160.2 million
MGM
MGM Resorts International $160.1 million
AGCO
AGCO Corp $159.8 million
SLM
SLM Corp $159.7 million
TPG
TPG Inc Ordinary Shares - Class A $159.2 million
SSD
Simpson Manufacturing Co Inc $158.7 million
AXTA
Axalta Coating Systems Ltd $158.5 million
STWD
Starwood Property Trust Inc $158.1 million
CFLT
Confluent Inc Class A $157.0 million
HALO
Halozyme Therapeutics Inc $156.6 million
TEM
Tempus AI Inc Class A common stock $156.6 million
BBWI
Bath & Body Works Inc $155.9 million
FR
First Industrial Realty Trust Inc $155.7 million
MAT
Mattel Inc $155.6 million
KEX
Kirby Corp $155.4 million
GPK
Graphic Packaging Holding Co $155.3 million
PB
Prosperity Bancshares Inc $155.3 million
AM
Antero Midstream Corp $155.3 million
JXN
Jackson Financial Inc $155.0 million
EPRT
Essential Properties Realty Trust Inc $154.0 million
RLI
RLI Corp $153.8 million
ARE
Alexandria Real Estate Equities Inc $153.4 million
LITE
Lumentum Holdings Inc $153.1 million
MSA
MSA Safety Inc $152.8 million
WH
Wyndham Hotels & Resorts Inc Ordinary Shares $152.8 million
JBTM
JBT Marel Corp $152.7 million
R
Ryder System Inc $152.5 million
IDA
Idacorp Inc $152.4 million
KBR
KBR Inc $151.9 million
JAZZ
Jazz Pharmaceuticals PLC $151.9 million
FBIN
Fortune Brands Innovations Inc $151.3 million
RVMD
Revolution Medicines Inc Ordinary Shares $150.6 million
FSS
Federal Signal Corp $150.6 million
GH
Guardant Health Inc $149.6 million
CE
Celanese Corp Class A $148.0 million
OWL
Blue Owl Capital Inc Ordinary Shares - Class A $146.8 million
ALK
Alaska Air Group Inc $146.8 million
LRN
Stride Inc $146.6 million
FAF
First American Financial Corp $146.6 million
ITRI
Itron Inc $146.6 million
RITM
Rithm Capital Corp $146.2 million
IONS
Ionis Pharmaceuticals Inc $146.0 million
CPB
The Campbell's Co $145.1 million
SNDK
SanDisk Corp Ordinary Shares $144.9 million
GTLB
GitLab Inc Class A $144.6 million
LNC
Lincoln National Corp $144.4 million
AL
Air Lease Corp Class A $143.8 million
RHP
Ryman Hospitality Properties Inc $143.4 million
MTN
Vail Resorts Inc $143.4 million
CADE
Cadence Bank $143.4 million
CTRE
CareTrust REIT Inc $143.3 million
AHR
American Healthcare REIT Inc Ordinary Shares $143.2 million
TMHC
Taylor Morrison Home Corp $143.1 million
ESNT
Essent Group Ltd $142.9 million
LYFT
Lyft Inc Class A $142.8 million
ZWS
Zurn Elkay Water Solutions Corp $142.8 million
TREX
Trex Co Inc $142.5 million
S
SentinelOne Inc Class A $142.1 million
DBX
Dropbox Inc Class A $142.1 million
IDCC
InterDigital Inc $142.1 million
TRNO
Terreno Realty Corp $141.5 million
MDGL
Madrigal Pharmaceuticals Inc $139.5 million
DAR
Darling Ingredients Inc $139.3 million
UFPI
UFP Industries Inc $139.3 million
JBHT
JB Hunt Transport Services Inc $139.2 million
GPI
Group 1 Automotive Inc $138.0 million
GTES
Gates Industrial Corp PLC $137.8 million
WHR
Whirlpool Corp $137.8 million
CZR
Caesars Entertainment Inc $137.0 million
GKOS
Glaukos Corp $136.9 million
LFUS
Littelfuse Inc $136.9 million
CHRD
Chord Energy Corp Ordinary Shares - New $136.7 million
COKE
Coca-Cola Consolidated Inc $136.7 million
HR
Healthcare Realty Trust Inc $136.3 million
GXO
GXO Logistics Inc $136.2 million
MHK
Mohawk Industries Inc $136.1 million
H
Hyatt Hotels Corp Class A $135.9 million
HLNE
Hamilton Lane Inc Class A $135.4 million
NEU
NewMarket Corp $135.4 million
FCN
FTI Consulting Inc $135.3 million
QTWO
Q2 Holdings Inc $135.3 million
CMC
Commercial Metals Co $135.0 million
MMSI
Merit Medical Systems Inc $135.0 million
CRCL
Circle Internet Group Inc Ordinary Shares - Class A $134.6 million
THG
The Hanover Insurance Group Inc $134.1 million
GATX
GATX Corp $133.9 million
POST
Post Holdings Inc $133.5 million
VNT
Vontier Corp Ordinary Shares $133.3 million
SITE
SiteOne Landscape Supply Inc $132.4 million
LAZ
Lazard Inc $132.2 million
CROX
Crocs Inc $131.9 million
VRNS
Varonis Systems Inc $131.8 million
CDE
Coeur Mining Inc $131.6 million
LPX
Louisiana-Pacific Corp $131.5 million
MTDR
Matador Resources Co $131.4 million
LNTH
Lantheus Holdings Inc $131.4 million
DVA
DaVita Inc $131.4 million
SHAK
Shake Shack Inc Class A $131.3 million
CRUS
Cirrus Logic Inc $131.3 million
LOPE
Grand Canyon Education Inc $131.0 million
GAP
Gap Inc $130.5 million
CGNX
Cognex Corp $130.1 million
OPCH
Option Care Health Inc $130.0 million
AMG
Affiliated Managers Group Inc $129.9 million
SAIC
Science Applications International Corp $129.8 million
CWAN
Clearwater Analytics Holdings Inc Class A $129.5 million
CCCS
CCC Intelligent Solutions Holdings Inc $128.7 million
SIGI
Selective Insurance Group Inc $128.6 million
UHAL.B
U-Haul Holding Co Ordinary Shares - Series N $128.6 million
FNB
F N B Corp $128.3 million
MARA
MARA Holdings Inc $128.1 million
UPST
Upstart Holdings Inc Ordinary Shares $127.8 million
TFX
Teleflex Inc $127.8 million
ESI
Element Solutions Inc $127.5 million
BCPC
Balchem Corp $127.0 million
QLYS
Qualys Inc $126.8 million
UBSI
United Bankshares Inc $126.4 million
SPSC
SPS Commerce Inc $126.3 million
TGTX
TG Therapeutics Inc $125.7 million
MOG.A
Moog Inc Class A $125.1 million
AAON
AAON Inc $124.6 million
PEGA
Pegasystems Inc $124.5 million
FCFS
FirstCash Holdings Inc $124.5 million
LEA
Lear Corp $124.1 million
OZK
Bank OZK $124.0 million
HOMB
Home BancShares Inc $123.7 million
CUZ
Cousins Properties Inc $123.1 million
W
Wayfair Inc Class A $123.1 million
WEX
WEX Inc $122.9 million
ROAD
Construction Partners Inc Class A $122.5 million
VNOM
Viper Energy Inc Ordinary Shares - Class A $122.2 million
AEIS
Advanced Energy Industries Inc $122.0 million
PATH
UiPath Inc Class A $121.6 million
KRG
Kite Realty Group Trust $121.6 million
SANM
Sanmina Corp $121.5 million
ETSY
Etsy Inc $121.4 million
ESE
ESCO Technologies Inc $121.1 million
FMC
FMC Corp $121.1 million
NXST
Nexstar Media Group Inc $121.0 million
GNTX
Gentex Corp $120.8 million
ENPH
Enphase Energy Inc $120.8 million
ONTO
Onto Innovation Inc $120.6 million
LIF
Life360 Inc Common Stock $120.4 million
IRTC
iRhythm Technologies Inc $120.2 million
COLB
Columbia Banking System Inc $120.1 million
MOD
Modine Manufacturing Co $119.8 million
JHG
Janus Henderson Group PLC $119.7 million
GBCI
Glacier Bancorp Inc $119.6 million
LSTR
Landstar System Inc $118.8 million
RDN
Radian Group Inc $118.3 million
ZG
Zillow Group Inc Class A $118.0 million
ORA
Ormat Technologies Inc $117.9 million
CSW
CSW Industrials Inc $117.8 million
ACIW
ACI Worldwide Inc $117.7 million
VVV
Valvoline Inc $117.7 million
SWX
Southwest Gas Holdings Inc $117.1 million
APPF
AppFolio Inc Class A $116.8 million
CHX
ChampionX Corp $116.1 million
SMR
NuScale Power Corp Class A $116.0 million
WSC
WillScot Holdings Corp Ordinary Shares - Class A $116.0 million
COLD
Americold Realty Trust Inc $115.7 million
BE
Bloom Energy Corp Class A $115.4 million
ALKS
Alkermes PLC $115.3 million
URBN
Urban Outfitters Inc $115.0 million
BOX
Box Inc Class A $114.9 million
TXNM
TXNM Energy Inc $114.8 million
ABG
Asbury Automotive Group Inc $114.6 million
PIPR
Piper Sandler Cos $114.6 million
NOV
NOV Inc $114.2 million
HWC
Hancock Whitney Corp $114.2 million
BOOT
Boot Barn Holdings Inc $113.7 million
NOVT
Novanta Inc $113.4 million
SLGN
Silgan Holdings Inc $113.3 million
CNX
CNX Resources Corp $113.2 million
KNF
Knife River Holding Co $113.0 million
MC
Moelis & Co Class A $113.0 million
SNAP
Snap Inc Class A $112.8 million
ROIV
Roivant Sciences Ltd Ordinary Shares $112.4 million
JOBY
Joby Aviation Inc $112.3 million
VFC
VF Corp $111.9 million
BDC
Belden Inc $111.8 million
MTH
Meritage Homes Corp $111.7 million
TKR
The Timken Co $111.7 million
SEE
Sealed Air Corp $111.5 million
SLAB
Silicon Laboratories Inc $111.5 million
DLB
Dolby Laboratories Inc Class A $111.1 million
ULS
UL Solutions Inc Class A common stock $111.0 million
BIO
Bio-Rad Laboratories Inc Class A $111.0 million
HXL
Hexcel Corp $111.0 million
NJR
New Jersey Resources Corp $110.0 million
THO
Thor Industries Inc $109.7 million
SPR
Spirit AeroSystems Holdings Inc Class A $109.4 million
OSCR
Oscar Health Inc Class A $109.1 million
AUB
Atlantic Union Bankshares Corp $108.9 million
BYD
Boyd Gaming Corp $108.9 million
AVT
Avnet Inc $108.8 million
POR
Portland General Electric Co $108.8 million
EPR
EPR Properties $108.3 million
NSIT
Insight Enterprises Inc $107.8 million
ST
Sensata Technologies Holding PLC $107.7 million
SLG
SL Green Realty Corp $107.5 million
PECO
Phillips Edison & Co Inc Ordinary Shares - New $107.4 million
WTM
White Mountains Insurance Group Ltd $107.3 million
SBRA
Sabra Health Care REIT Inc $107.3 million
FFIN
First Financial Bankshares Inc $107.0 million
BRKR
Bruker Corp $106.8 million
MP
MP Materials Corp Ordinary Shares - Class A $106.3 million
ATGE
Adtalem Global Education Inc $106.1 million
SITM
SiTime Corp Ordinary Shares $106.1 million
FTDR
Frontdoor Inc $106.0 million
OGS
ONE Gas Inc $105.3 million
TMDX
TransMedics Group Inc $105.3 million
SON
Sonoco Products Co $105.0 million
ITGR
Integer Holdings Corp $104.9 million
BILL
BILL Holdings Inc Ordinary Shares $104.8 million
SIRI
Sirius XM Holdings Inc $104.3 million
VLY
Valley National Bancorp $104.0 million
ABCB
Ameris Bancorp $103.5 million
IBP
Installed Building Products Inc $103.5 million
ACA
Arcosa Inc $103.5 million
SXT
Sensient Technologies Corp $102.2 million
GMS
GMS Inc $102.1 million
AROC
Archrock Inc $102.0 million
EEFT
Euronet Worldwide Inc $101.8 million
HRI
Herc Holdings Inc $101.6 million
IRT
Independence Realty Trust Inc $101.1 million
MIR
Mirion Technologies Inc Ordinary Shares Class A $100.9 million
TENB
Tenable Holdings Inc $100.9 million
AXSM
Axsome Therapeutics Inc $100.5 million
ALGM
Allegro Microsystems Inc Ordinary Shares $100.4 million
CALM
Cal-Maine Foods Inc $100.4 million
SR
Spire Inc $100.0 million
GVA
Granite Construction Inc $100.0 million
MAC
Macerich Co $99.9 million
AX
Axos Financial Inc $99.5 million
BKH
Black Hills Corp $99.4 million
AGO
Assured Guaranty Ltd $99.3 million
KRC
Kilroy Realty Corp $99.2 million
LUMN
Lumen Technologies Inc Ordinary Shares $98.8 million
NPO
Enpro Inc $98.5 million
LOAR
Loar Holdings Inc $98.5 million
CBT
Cabot Corp $98.5 million
FROG
JFrog Ltd Ordinary Shares $98.3 million
PRIM
Primoris Services Corp $97.7 million
MGY
Magnolia Oil & Gas Corp Class A $97.6 million
LTH
Life Time Group Holdings Inc $97.6 million
PCVX
Vaxcyte Inc Ordinary Shares $97.4 million
RHI
Robert Half Inc $97.4 million
SKYW
SkyWest Inc $96.8 million
MMS
Maximus Inc $96.7 million
CYTK
Cytokinetics Inc $96.4 million
PBH
Prestige Consumer Healthcare Inc $96.4 million
TTMI
TTM Technologies Inc $96.3 million
BSY
Bentley Systems Inc Ordinary Shares - Class B $96.2 million
KMPR
Kemper Corp $95.9 million
SMTC
Semtech Corp $95.6 million
WAY
Waystar Holding Corp $95.0 million
BF.B
Brown-Forman Corp Registered Shs -B- Non Vtg $94.8 million
LLYVK
Liberty Live Group Ordinary Shares Series C $94.8 million
BGC
BGC Group Inc Ordinary Shares Class A $94.7 million
PTCT
PTC Therapeutics Inc $94.6 million
VRRM
Verra Mobility Corp Class A $94.0 million
RDNT
RadNet Inc $93.9 million
ASB
Associated Banc-Corp $93.9 million
RIOT
Riot Platforms Inc $93.7 million
PSN
Parsons Corp $93.7 million
PJT
PJT Partners Inc Class A $93.6 million
INSP
Inspire Medical Systems Inc $93.5 million
SFBS
Servisfirst Bancshares Inc $93.1 million
EXPO
Exponent Inc $92.7 million
MSM
MSC Industrial Direct Co Inc Class A $92.6 million
KFY
Korn Ferry $92.6 million
MWA
Mueller Water Products Inc Class A shares $92.0 million
ESGR
Enstar Group Ltd $91.9 million
CLF
Cleveland-Cliffs Inc $91.9 million
ANF
Abercrombie & Fitch Co Class A $91.6 million
KAI
Kadant Inc $91.3 million
AMTM
Amentum Holdings Inc $91.3 million
IBOC
International Bancshares Corp $91.0 million
ALE
ALLETE Inc $90.8 million
DRS
Leonardo DRS Inc $90.7 million
CBZ
CBIZ Inc $90.6 million
SARO
StandardAero Inc $90.5 million
SATS
EchoStar Corp Class A $89.8 million
PRGO
Perrigo Co PLC $89.8 million
PLXS
Plexus Corp $89.6 million
KTB
Kontoor Brands Inc $89.6 million
CRC
California Resources Corp Ordinary Shares - New $89.6 million
MSGS
Madison Square Garden Sports Corp Class A $89.6 million
VIRT
Virtu Financial Inc Class A $89.3 million
WFRD
Weatherford International PLC Ordinary Shares - New $89.2 million
TCBI
Texas Capital Bancshares Inc $89.1 million
MATX
Matson Inc $88.8 million
CNO
CNO Financial Group Inc $88.8 million
BC
Brunswick Corp $88.7 million
STEP
StepStone Group Inc Ordinary Shares - Class A $88.5 million
UCB
United Community Banks Inc $88.5 million
HL
Hecla Mining Co $88.0 million
SKY
Champion Homes Inc $87.7 million
OSIS
OSI Systems Inc $87.6 million
HAE
Haemonetics Corp $87.6 million
KRYS
Krystal Biotech Inc $87.4 million
BCO
The Brink's Co $87.1 million
NUVL
Nuvalent Inc Class A $86.6 million
FLG
Flagstar Financial Inc $86.0 million
MRP
Millrose Properties Inc Class A $85.9 million
GLXY.TO
Galaxy Digital Inc Ordinary Shares - Class A $85.7 million
CNR
Core Natural Resources Inc Ordinary Shares $85.3 million
FELE
Franklin Electric Co Inc $85.0 million
RYN
Rayonier Inc $84.4 million
FRSH
Freshworks Inc Ordinary Shares Class A $83.6 million
RNST
Renasant Corp $83.4 million
MDU
MDU Resources Group Inc $83.2 million
WK
Workiva Inc Class A $82.5 million
NE
Noble Corp PLC Class A $82.4 million
SWTX
SpringWorks Therapeutics Inc Ordinary Shares $82.4 million
FBP
First BanCorp $82.2 million
ENS
EnerSys $82.2 million
HIW
Highwoods Properties Inc $81.9 million
MZTI
The Marzetti Co $81.5 million
FHI
Federated Hermes Inc Class B $81.4 million
CNK
Cinemark Holdings Inc $81.2 million
FRPT
Freshpet Inc $81.0 million
NVST
Envista Holdings Corp Ordinary Shares $80.9 million
ADT
ADT Inc $80.9 million
PVH
PVH Corp $80.4 million
SKT
Tanger Inc $80.4 million
ZETA
Zeta Global Holdings Corp Class A $80.2 million
FULT
Fulton Financial Corp $80.1 million
REZI
Resideo Technologies Inc $80.1 million
COMP
Compass Inc Class A $80.0 million
BCC
Boise Cascade Co $79.8 million
OKLO
Oklo Inc Class A Shares $79.8 million
RARE
Ultragenyx Pharmaceutical Inc $79.8 million
HASI
HA Sustainable Infrastructure Capital Inc $79.7 million
FUL
H.B. Fuller Co $79.7 million
TNL
Travel+Leisure Co $79.6 million
ECG
Everus Construction Group Inc $79.2 million
CHH
Choice Hotels International Inc $79.1 million
MGNI
Magnite Inc $79.0 million
MGEE
MGE Energy Inc $79.0 million
OTTR
Otter Tail Corp $78.9 million
KBH
KB Home $78.9 million
GNW
Genworth Financial Inc $78.8 million
GEO
The GEO Group Inc $78.6 million
DORM
Dorman Products Inc $77.8 million
RUSHA
Rush Enterprises Inc Class A $77.7 million
BL
BlackLine Inc $77.6 million
KVYO
Klaviyo Inc Class A common stock $77.6 million
XRAY
Dentsply Sirona Inc $77.3 million
NWE
NorthWestern Energy Group Inc $76.9 million
POWI
Power Integrations Inc $76.9 million
BXMT
Blackstone Mortgage Trust Inc A $76.7 million
FHB
First Hawaiian Inc $76.7 million
SIG
Signet Jewelers Ltd $76.4 million
WSFS
WSFS Financial Corp $76.3 million
CDP
COPT Defense Properties $76.1 million
NHI
National Health Investors Inc $76.0 million
CALX
Calix Inc $75.9 million
ICUI
ICU Medical Inc $75.5 million
WDFC
WD-40 Co $75.5 million
BHF
Brighthouse Financial Inc Registered Shs When Issued $75.4 million
M
Macy's Inc $75.4 million
AMED
Amedisys Inc $74.9 million
GFF
Griffon Corp $74.9 million
RELY
Remitly Global Inc $74.8 million
AVA
Avista Corp $74.7 million
MUR
Murphy Oil Corp $74.5 million
TDS
Telephone and Data Systems Inc $74.4 million
DNB
Dun & Bradstreet Holdings Inc Ordinary Shares $74.4 million
FLO
Flowers Foods Inc $74.2 million
CATY
Cathay General Bancorp $74.1 million
PRCT
PROCEPT BioRobotics Corp $74.0 million
ATMU
Atmus Filtration Technologies Inc $73.6 million
CBU
Community Financial System Inc $73.4 million
WHD
Cactus Inc Class A $73.1 million
LINE
Lineage Inc REIT $72.9 million
ASO
Academy Sports and Outdoors Inc Ordinary Shares $72.9 million
APAM
Artisan Partners Asset Management Inc Class A $72.5 million
LAUR
Laureate Education Inc Shs $72.2 million
AVNT
Avient Corp $72.2 million
AWR
American States Water Co $72.1 million
AVPT
AvePoint Inc Ordinary Shares - Class A $71.9 million
ABM
ABM Industries Inc $71.8 million
INTA
Intapp Inc $71.5 million
NCNO
Ncino Inc Ordinary Shares $71.3 million
TEX
Terex Corp $71.1 million
CRVL
CorVel Corp $70.9 million
EBC
Eastern Bankshares Inc Ordinary Shares $70.9 million
PI
Impinj Inc $70.8 million
GHC
Graham Holdings Co $70.7 million
LMND
Lemonade Inc Ordinary Shares $70.6 million
BNL
Broadstone Net Lease Inc Ordinary Shares $70.4 million
WSBC
Wesbanco Inc $70.2 million
BWIN
The Baldwin Insurance Group Inc Class A $70.2 million
SMPL
The Simply Good Foods Co $70.2 million
CNXC
Concentrix Corp Ordinary Shares $70.1 million
PCH
PotlatchDeltic Corp $70.0 million
AI
C3.ai Inc Ordinary Shares - Class A $69.8 million
SMG
The Scotts Miracle Gro Co Class A $69.8 million
MGRC
McGrath RentCorp $69.8 million
None
Us Dollar $69.6 million
PAG
Penske Automotive Group Inc $69.4 million
HAYW
Hayward Holdings Inc $69.3 million
RH
RH Class A $69.2 million
PFSI
PennyMac Financial Services Inc Class A $69.2 million
GTM
ZoomInfo Technologies Inc $69.2 million
SM
SM Energy Co $69.1 million
BRC
Brady Corp Class A $69.1 million
VKTX
Viking Therapeutics Inc $69.1 million
UNF
UniFirst Corp $69.0 million
CAKE
Cheesecake Factory Inc $68.2 million
AAP
Advance Auto Parts Inc $68.1 million
WU
The Western Union Co $68.0 million
IRDM
Iridium Communications Inc $67.8 million
FUN
Six Flags Entertainment Corp $67.6 million
TPH
Tri Pointe Homes Inc $67.3 million
PRGS
Progress Software Corp $67.1 million
PSMT
Pricesmart Inc $67.1 million
MRCY
Mercury Systems Inc $66.9 million
CWT
California Water Service Group $66.2 million
ACAD
ACADIA Pharmaceuticals Inc $66.2 million
PENN
PENN Entertainment Inc $65.9 million
TGNA
Tegna Inc $65.8 million
CRNX
Crinetics Pharmaceuticals Inc $65.8 million
CARG
CarGurus Inc Class A $65.8 million
AZZ
AZZ Inc $65.7 million
BOH
Bank of Hawaii Corp $65.6 million
INDB
Independent Bank Corp $65.5 million
CAR
Avis Budget Group Inc $65.4 million
BKU
BankUnited Inc $65.4 million
ALRM
Alarm.com Holdings Inc $65.3 million
GT
Goodyear Tire & Rubber Co $65.2 million
CWEN
Clearway Energy Inc Class C $65.1 million
HGV
Hilton Grand Vacations Inc $65.1 million
AMBA
Ambarella Inc $65.0 million
NOG
Northern Oil & Gas Inc $65.0 million
RRR
Red Rock Resorts Inc Class A $64.9 million
PTON
Peloton Interactive Inc $64.9 million
FORM
FormFactor Inc $64.8 million
IESC
IES Holdings Inc $64.6 million
ACVA
ACV Auctions Inc Ordinary Shares - Class A $64.4 million
DXC
DXC Technology Co Registered Shs When Issued $64.4 million
CXT
Crane NXT Co $64.2 million
KAR
Openlane Inc $64.1 million
YETI
YETI Holdings Inc $63.8 million
KYMR
Kymera Therapeutics Inc Ordinary Shares $63.7 million
QS
QuantumScape Corp Ordinary Shares - Class A $63.5 million
CVBF
CVB Financial Corp $63.3 million
HOG
Harley-Davidson Inc $63.1 million
RXO
RXO Inc $62.9 million
LCID
Lucid Group Inc Shs $62.9 million
YOU
Clear Secure Inc Ordinary Shares Class A $62.6 million
CWK
Cushman & Wakefield PLC $62.6 million
CIVI
Civitas Resources Inc Ordinary Shares $62.2 million
VC
Visteon Corp $62.1 million
RAL
Ralliant Corp $62.0 million
BFH
Bread Financial Holdings Inc $61.7 million
OGN
Organon & Co Ordinary Shares $61.5 million
INFA
Informatica Inc $61.3 million
GSHD
Goosehead Insurance Inc Class A $61.3 million
CON
Concentra Group Holdings Parent Inc $61.2 million
APLE
Apple Hospitality REIT Inc $61.0 million
BLKB
Blackbaud Inc $60.9 million
IAC
IAC Inc Ordinary Shares - New $60.8 million
PRK
Park National Corp $59.5 million
WLK
Westlake Corp $59.4 million
AKR
Acadia Realty Trust $59.4 million
FIBK
First Interstate BancSystem Inc $59.1 million
MQ
Marqeta Inc Class A $58.8 million
HCC
Warrior Met Coal Inc $58.8 million
VAL
Valaris Ltd $58.5 million
DEI
Douglas Emmett Inc $58.4 million
ALIT
Alight Inc Class A $58.4 million
SFNC
Simmons First National Corp Class A $58.3 million
PRVA
Privia Health Group Inc $58.2 million
ACHR
Archer Aviation Inc Class A $58.2 million
ATKR
Atkore Inc $58.0 million
SYNA
Synaptics Inc $58.0 million
HURN
Huron Consulting Group Inc $57.9 million
CACC
Credit Acceptance Corp $57.8 million
AIR
AAR Corp $57.6 million
WAFD
WaFd Inc $57.3 million
UE
Urban Edge Properties $57.3 million
REVG
REV Group Inc $57.1 million
DIOD
Diodes Inc $57.0 million
AMKR
Amkor Technology Inc $57.0 million
FL
Foot Locker Inc $56.8 million
LXP
LXP Industrial Trust $56.7 million
IPAR
Interparfums Inc $56.6 million
OUT
Outfront Media Inc $56.6 million
OLN
Olin Corp $56.5 million
EVTC
Evertec Inc $56.2 million
ASH
Ashland Inc $56.1 million
CORZ
Core Scientific Inc Ordinary Shares - New $55.9 million
VERX
Vertex Inc Class A $55.9 million
OI
O-I Glass Inc $55.7 million
WD
Walker & Dunlop Inc $55.6 million
BTSG
BrightSpring Health Services Inc $55.2 million
BANF
BancFirst Corp $55.2 million
NWL
Newell Brands Inc $55.1 million
VAC
Marriott Vacations Worldwide Corp $55.0 million
DAN
Dana Inc $54.9 million
VIAV
Viavi Solutions Inc $54.9 million
TOWN
Towne Bank $54.7 million
ACLS
Axcelis Technologies Inc $54.7 million
PCT
PureCycle Technologies Inc Ordinary Shares $54.1 million
FFBC
First Financial Bancorp $53.9 million
TRN
Trinity Industries Inc $53.8 million
NSA
National Storage Affiliates Trust $53.8 million
EPAC
Enerpac Tool Group Corp Class A $53.7 million
BOKF
BOK Financial Corp $53.7 million
BRZE
Braze Inc Class A $53.6 million
LCII
LCI Industries Inc $53.4 million
CXW
CoreCivic Inc $53.4 million
HNI
HNI Corp $53.2 million
PFS
Provident Financial Services Inc $53.2 million
PTEN
Patterson-UTI Energy Inc $53.1 million
PII
Polaris Inc $53.0 million
CURB
Curbline Properties Corp $52.8 million
RNG
RingCentral Inc Class A $52.8 million
FWONA
Liberty Media Corp A $52.6 million
CCOI
Cogent Communications Holdings Inc $52.3 million
IVT
InvenTrust Properties Corp $51.9 million
TNET
Trinet Group Inc $51.9 million
FRME
First Merchants Corp $51.8 million
SYM
Symbotic Inc Ordinary Shares - Class A $51.8 million
AIN
Albany International Corp $51.7 million
VCYT
Veracyte Inc $51.7 million
CNS
Cohen & Steers Inc $51.6 million
BANR
Banner Corp $51.5 million
IOSP
Innospec Inc $51.3 million
NATL
NCR Atleos Corp $51.2 million
TWST
Twist Bioscience Corp $51.1 million
OII
Oceaneering International Inc $50.9 million
LGND
Ligand Pharmaceuticals Inc $50.9 million
YELP
Yelp Inc Class A $50.8 million
ASGN
ASGN Inc $50.7 million
DV
DoubleVerify Holdings Inc $50.5 million
NBTB
NBT Bancorp Inc $50.4 million
ADMA
ADMA Biologics Inc $50.4 million
WRBY
Warby Parker Inc Ordinary Shares - Class A $50.4 million
RIG
Transocean Ltd $50.3 million
TDW
Tidewater Inc $50.2 million
RAMP
LiveRamp Holdings Inc $49.8 million
NSP
Insperity Inc $49.7 million
CRK
Comstock Resources Inc $49.5 million
TDC
Teradata Corp $49.5 million
SPNT
SiriusPoint Ltd $49.3 million
ALKT
Alkami Technology Inc $49.3 million
QBTS
D-Wave Quantum Inc $49.0 million
HHH
Howard Hughes Holdings Inc $48.9 million
ACHC
Acadia Healthcare Co Inc $48.5 million
TRMK
Trustmark Corp $48.5 million
CPRI
Capri Holdings Ltd $48.4 million
PAYO
Payoneer Global Inc $48.4 million
SOUN
SoundHound AI Inc Ordinary Shares - Class A $48.4 million
VSH
Vishay Intertechnology Inc $47.9 million
PLMR
Palomar Holdings Inc $47.8 million
None
Mktliq 12/31/2049 $47.6 million
QDEL
QuidelOrtho Corp $47.6 million
PPBI
Pacific Premier Bancorp Inc $47.5 million
MPW
Medical Properties Trust Inc $47.4 million
ALHC
Alignment Healthcare Inc $47.3 million
HUBG
Hub Group Inc Class A $47.1 million
AGIO
Agios Pharmaceuticals Inc $47.0 million
GOLF
Acushnet Holdings Corp $47.0 million
OFG
OFG Bancorp $47.0 million
RXRX
Recursion Pharmaceuticals Inc Class A $46.9 million
OS
OneStream Inc Class A common stock $46.9 million
FIVN
Five9 Inc $46.8 million
WOR
Worthington Enterprises Inc $46.5 million
SXI
Standex International Corp $46.1 million
WMG
Warner Music Group Corp Ordinary Shares - Class A $46.1 million
NVCR
NovoCure Ltd $46.0 million
KNTK
Kinetik Holdings Inc $45.9 million
MAN
ManpowerGroup Inc $45.7 million
MCY
Mercury General Corp $45.5 million
WEN
The Wendy's Co Class A $45.5 million
ARWR
Arrowhead Pharmaceuticals Inc $45.3 million
STRA
Strategic Education Inc $45.2 million
APLS
Apellis Pharmaceuticals Inc $45.2 million
PK
Park Hotels & Resorts Inc $44.9 million
HE
Hawaiian Electric Industries Inc $44.8 million
DBRG
DigitalBridge Group Inc Class A $44.5 million
DOCN
DigitalOcean Holdings Inc $44.4 million
EYE
National Vision Holdings Inc $44.4 million
ACLX
Arcellx Inc $44.3 million
VSAT
Viasat Inc $44.2 million
PINC
Premier Inc Class A $44.1 million
JOE
The St. Joe Co $44.1 million
CSGS
CSG Systems International Inc $43.9 million
ENOV
Enovis Corp $43.7 million
DJT
Trump Media & Technology Group Corp $43.7 million
NMRK
Newmark Group Inc Class A $43.6 million
PBI
Pitney Bowes Inc $43.5 million
TRUP
Trupanion Inc $43.4 million
RUN
Sunrun Inc $43.4 million
LBRT
Liberty Energy Inc Class A $43.1 million
JJSF
J&J Snack Foods Corp $43.1 million
FOLD
Amicus Therapeutics Inc $43.1 million
PBF
PBF Energy Inc Class A $42.8 million
HMN
Horace Mann Educators Corp $42.8 million
KMT
Kennametal Inc $42.7 million
MTX
Minerals Technologies Inc $42.7 million
CVCO
Cavco Industries Inc $42.5 million
LEVI
Levi Strauss & Co Class A $42.5 million
SHC
Sotera Health Co Ordinary Shares $42.4 million
ABR
Arbor Realty Trust Inc $42.4 million
SHO
Sunstone Hotel Investors Inc $42.2 million
HUN
Huntsman Corp $42.0 million
AVDX
AvidXchange Holdings Inc $41.9 million
CC
The Chemours Co $41.9 million
NNI
Nelnet Inc Class A $41.8 million
WLY
John Wiley & Sons Inc Class A $41.7 million
PGNY
Progyny Inc $41.4 million
ENVX
Enovix Corp $41.2 million
GNL
Global Net Lease Inc $41.2 million
CHCO
City Holding Co $41.1 million
PHIN
Phinia Inc $41.1 million
NTCT
NetScout Systems Inc $41.1 million
UPWK
Upwork Inc $41.0 million
ARCB
ArcBest Corp $40.9 million
SUPN
Supernus Pharmaceuticals Inc $40.9 million
SEM
Select Medical Holdings Corp $40.5 million
SHOO
Steven Madden Ltd $40.4 million
GEF
Greif Inc Class A $40.2 million
NWBI
Northwest Bancshares Inc $39.9 million
LLYVA
Liberty Live Group Ordinary Shares Series A $39.8 million
RNA
Avidity Biosciences Inc Ordinary Shares $39.7 million
DNLI
Denali Therapeutics Inc $39.7 million
BEAM
Beam Therapeutics Inc $39.7 million
COTY
Coty Inc Class A $39.6 million
FCF
First Commonwealth Financial Corp $39.5 million
CNMD
Conmed Corp $39.4 million
LBRDA
Liberty Broadband Corp Registered Shs Series -A- $39.3 million
PLUG
Plug Power Inc $39.2 million
IPGP
IPG Photonics Corp $39.2 million
VCTR
Victory Capital Holdings Inc Class A $39.2 million
WERN
Werner Enterprises Inc $39.2 million
NWN
Northwest Natural Holding Co $39.1 million
PPC
Pilgrims Pride Corp $39.1 million
SRPT
Sarepta Therapeutics Inc $39.0 million
CENTA
Central Garden & Pet Co Class A $38.9 million
LTC
LTC Properties Inc $38.8 million
CGON
CG Oncology Inc $38.8 million
KWR
Quaker Houghton $38.6 million
SMMT
Summit Therapeutics Inc Ordinary Shares $38.6 million
DRH
Diamondrock Hospitality Co $38.6 million
MTRN
Materion Corp $38.4 million
NGVT
Ingevity Corp $38.4 million
DNOW
Dnow Inc $38.3 million
LNN
Lindsay Corp $38.3 million
SGRY
Surgery Partners Inc $38.3 million
SAM
Boston Beer Co Inc Class A $38.1 million
BKD
Brookdale Senior Living Inc $37.9 million
BTU
Peabody Energy Corp $37.8 million
IIPR
Innovative Industrial Properties Inc $37.7 million
HRMY
Harmony Biosciences Holdings Inc Ordinary Shares $37.7 million
MSGE
Madison Square Garden Entertainment Corp $37.7 million
ATRC
AtriCure Inc $37.6 million
CRGY
Crescent Energy Co Class A $37.6 million
HBI
Hanesbrands Inc $37.6 million
VYX
NCR Voyix Corp $37.5 million
LZB
La-Z-Boy Inc $37.5 million
LZ
LegalZoom.com Inc $37.4 million
GTY
Getty Realty Corp $37.4 million
TDOC
Teladoc Health Inc $37.3 million
WKC
World Kinect Corp $37.2 million
WT
WisdomTree Inc $37.2 million
PZZA
Papa John's International Inc $37.2 million
COLM
Columbia Sportswear Co $36.7 million
AEO
American Eagle Outfitters Inc $36.6 million
VSCO
Victoria's Secret & Co $36.1 million
TRIP
Tripadvisor Inc $35.7 million
ADEA
Adeia Inc $35.6 million
KN
Knowles Corp $35.6 million
ENR
Energizer Holdings Inc $35.5 million
STBA
S&T Bancorp Inc $35.4 million
TNC
Tennant Co $35.3 million
NBHC
National Bank Holdings Corp Class A $35.0 million
MHO
M/I Homes Inc $34.8 million
CERT
Certara Inc Ordinary Shares $34.8 million
SG
Sweetgreen Inc Ordinary Shares - Class A $34.6 million
HI
Hillenbrand Inc $34.6 million
XMTR
Xometry Inc Ordinary Shares - Class A $34.5 million
LION
Lionsgate Studios Corp Ordinary Shares - New $34.5 million
RPD
Rapid7 Inc $34.5 million
HLMN
Hillman Solutions Corp Shs $34.4 million
ELME
Elme Communities $34.2 million
AMRX
Amneal Pharmaceuticals Inc Ordinary Shares - Class A $34.1 million
BKE
Buckle Inc $34.0 million
WWW
Wolverine World Wide Inc $34.0 million
ARR
ARMOUR Residential REIT Inc $33.6 million
GBX
Greenbrier Companies Inc $33.5 million
UVV
Universal Corp $33.4 million
HTH
Hilltop Holdings Inc $33.3 million
CBRL
Cracker Barrel Old Country Store Inc $33.2 million
HP
Helmerich & Payne Inc $33.1 million
STR
Sitio Royalties Corp Ordinary Shares - Class A $33.0 million
ARI
Apollo Commercial Real Estate Finance Inc $32.8 million
AMC
AMC Entertainment Holdings Inc Class A $32.8 million
UNFI
United Natural Foods Inc $32.7 million
PD
PagerDuty Inc $32.7 million
BHE
Benchmark Electronics Inc $32.5 million
FLYW
Flywire Corp $32.5 million
NHC
National Healthcare Corp $32.4 million
MLKN
MillerKnoll Inc $32.1 million
OMCL
Omnicell Inc $32.0 million
HOPE
Hope Bancorp Inc $31.9 million
LC
LendingClub Corp $31.8 million
FA
First Advantage Corp $31.7 million
ALEX
Alexander & Baldwin Inc $31.7 million
PRKS
United Parks & Resorts Inc $31.7 million
UAA
Under Armour Inc Class A $31.5 million
RSI
Rush Street Interactive Inc Ordinary Shares - Class A $31.3 million
ZD
Ziff Davis Inc $31.1 million
SAIL
SailPoint Inc $31.1 million
ROG
Rogers Corp $31.0 million
JBGS
JBG SMITH Properties $30.9 million
ASAN
Asana Inc Ordinary Shares - Class A $30.8 million
SPB
Spectrum Brands Holdings Inc $30.8 million
EVH
Evolent Health Inc Class A $30.7 million
FDP
Fresh Del Monte Produce Inc $30.3 million
TNDM
Tandem Diabetes Care Inc $30.3 million
XHR
Xenia Hotels & Resorts Inc $30.3 million
LADR
Ladder Capital Corp Class A $30.3 million
UPBD
Upbound Group Inc $30.1 million
SONO
Sonos Inc $30.1 million
MD
Pediatrix Medical Group Inc $30.1 million
SDGR
Schrodinger Inc Ordinary Shares $30.0 million
KALU
Kaiser Aluminum Corp $29.9 million
BHVN
Biohaven Ltd $29.9 million
APPN
Appian Corp A $29.9 million
DDS
Dillard's Inc Class A $29.9 million
TXG
10x Genomics Inc Ordinary Shares - Class A $29.8 million
DK
Delek US Holdings Inc Registered Shs Stock Settlement $29.8 million
WABC
Westamerica Bancorp $29.4 million
JBLU
JetBlue Airways Corp $29.3 million
INVA
Innoviva Inc $29.3 million
AZTA
Azenta Inc $29.3 million
VRTS
Virtus Investment Partners Inc $29.2 million
ANDE
Andersons Inc $29.1 million
GSAT
Globalstar Inc $29.1 million
BV
BrightView Holdings Inc $29.1 million
PEB
Pebblebrook Hotel Trust $29.0 million
VECO
Veeco Instruments Inc $28.9 million
VRNT
Verint Systems Inc $28.9 million
CNNE
Cannae Holdings Inc Ordinary Shares $28.8 million
AMR
Alpha Metallurgical Resources Inc $28.7 million
SCL
Stepan Co $28.6 million
WMK
Weis Markets Inc $28.6 million
PRA
ProAssurance Corp $28.5 million
AIV
Apartment Investment & Management Co Ordinary Shares - Class A $28.4 million
SABR
Sabre Corp $28.4 million
BHLB
Berkshire Hills Bancorp Inc $28.3 million
GO
Grocery Outlet Holding Corp $28.3 million
LEG
Leggett & Platt Inc $28.0 million
PGRE
Paramount Group Inc $27.8 million
EXTR
Extreme Networks Inc $27.7 million
WS
Worthington Steel Inc $27.7 million
EIG
Employers Holdings Inc $27.7 million
REYN
Reynolds Consumer Products Inc Ordinary Shares $27.5 million
PRG
PROG Holdings Inc Ordinary Shares $27.5 million
SAFT
Safety Insurance Group Inc $27.4 million
MRC
MRC Global Inc $27.4 million
TWO
Two Harbors Investment Corp $27.4 million
PMT
PennyMac Mortgage Investment Trust $27.3 million
ASTH
Astrana Health Inc $27.3 million
ACT
Enact Holdings Inc $27.2 million
HLIO
Helios Technologies Inc $27.2 million
MXL
MaxLinear Inc $27.0 million
EPC
Edgewell Personal Care Co $26.9 million
IMVT
Immunovant Inc $26.8 million
HCSG
Healthcare Services Group Inc $26.8 million
SPHR
Sphere Entertainment Co Ordinary Shares - Class A $26.8 million
ESRT
Empire State Realty Trust Inc Class A $26.5 million
JBI
Janus International Group Inc Ordinary Shares - Class A $26.4 million
CIM
Chimera Investment Corp $26.1 million
VICR
Vicor Corp $26.0 million
KNSA
Kiniksa Pharmaceuticals International PLC Class A $25.8 million
SAH
Sonic Automotive Inc Class A $25.7 million
PCRX
Pacira BioSciences Inc $25.7 million
RLJ
RLJ Lodging Trust Registered Shs of Benef Interest $25.6 million
CWEN.A
Clearway Energy Inc Class A $25.6 million
TRS
TriMas Corp $25.6 million
CRI
Carter's Inc $25.5 million
VRE
Veris Residential Inc $25.5 million
NEOG
Neogen Corp $25.4 million
SPT
Sprout Social Inc Class A $25.2 million
LGIH
LGI Homes Inc $25.0 million
KRMN
Karman Holdings Inc $24.8 million
FIZZ
National Beverage Corp $24.7 million
DRVN
Driven Brands Holdings Inc Ordinary Shares $24.7 million
UNIT
Uniti Group Inc $24.6 million
CSR
Centerspace $24.6 million
SNDR
Schneider National Inc $24.5 million
TGI
Triumph Group Inc $24.4 million
NAVI
Navient Corp $24.4 million
COUR
Coursera Inc $24.2 million
AMPL
Amplitude Inc Class A $24.0 million
PAY
Paymentus Holdings Inc Class A $23.9 million
FOXF
Fox Factory Holding Corp $23.8 million
NTLA
Intellia Therapeutics Inc $23.7 million
MFA
MFA Financial Inc $23.7 million
NVAX
Novavax Inc $23.7 million
CWH
Camping World Holdings Inc Class A $23.6 million
MODG
Topgolf Callaway Brands Corp $23.5 million
CXM
Sprinklr Inc Class A $23.4 million
AHCO
AdaptHealth Corp Ordinary Shares $23.3 million
ASTE
Astec Industries Inc $23.3 million
PRLB
Proto Labs Inc $23.2 million
OLO
Olo Inc Ordinary Shares - Class A $23.1 million
NEO
NeoGenomics Inc $23.0 million
BCRX
BioCryst Pharmaceuticals Inc $22.9 million
BJRI
BJ's Restaurants Inc $22.9 million
SBH
Sally Beauty Holdings Inc $22.8 million
CENX
Century Aluminum Co $22.6 million
FSLY
Fastly Inc Class A $22.5 million
AESI
Atlas Energy Solutions Inc Class A $22.2 million
PDM
Piedmont Realty Trust Inc Class A $22.2 million
AAT
American Assets Trust Inc $22.1 million
ARRY
Array Technologies Inc Ordinary Shares $22.0 million
KSS
Kohl's Corp $21.9 million
SCS
Steelcase Inc Class A $21.9 million
CTRI
Centuri Holdings Inc $21.9 million
BRKL
Brookline Bancorp Inc $21.8 million
NX
Quanex Building Products Corp $21.8 million
XPRO
Expro Group Holdings NV $21.8 million
THR
Thermon Group Holdings Inc $21.6 million
FBRT
Franklin BSP Realty Trust Inc Ordinary Shares $21.5 million
ROCK
Gibraltar Industries Inc $21.2 million
ECVT
Ecovyst Inc $21.2 million
UTZ
Utz Brands Inc Class A $21.1 million
ECPG
Encore Capital Group Inc $21.0 million
BASE
Couchbase Inc $21.0 million
INSW
International Seaways Inc $20.9 million
SCSC
ScanSource Inc $20.8 million
YEXT
Yext Inc $20.7 million
HTZ
Hertz Global Holdings Inc Ordinary Shares (New) $20.5 million
ADPT
Adaptive Biotechnologies Corp $20.5 million
SAFE
Safehold Inc $20.4 million
HLF
Herbalife Ltd $20.4 million
THS
Treehouse Foods Inc $20.4 million
APOG
Apogee Enterprises Inc $20.3 million
PLAY
Dave & Buster's Entertainment Inc $20.3 million
USM
United States Cellular Corp $20.3 million
THRM
Gentherm Inc Class A $20.3 million
IAS
Integral Ad Science Holding Corp Ordinary Shares $20.2 million
GIII
G-III Apparel Group Ltd $20.1 million
GRC
Gorman-Rupp Co $20.0 million
CMPR
Cimpress PLC $20.0 million
TMP
Tompkins Financial Corp $19.9 million
IART
Integra Lifesciences Holdings Corp $19.8 million
CVI
CVR Energy Inc $19.8 million
RVLV
Revolve Group Inc Class A $19.8 million
TTAN
ServiceTitan Inc Class A Ordinary Shares $19.7 million
PHR
Phreesia Inc $19.7 million
ETWO
E2open Parent Holdings Inc Class A $19.6 million
AMN
AMN Healthcare Services Inc $19.3 million
RWT
Redwood Trust Inc $19.2 million
RUM
Rumble Inc $18.9 million
GBTG
Global Business Travel Group Inc Ordinary Shares - Class A $18.4 million
UWMC
UWM Holdings Corp Ordinary Shares - Class A $18.4 million
JAMF
Jamf Holding Corp Ordinary Shares $18.4 million
ALGT
Allegiant Travel Co $18.4 million
UA
Under Armour Inc Class C $18.0 million
KFRC
Kforce Inc $17.8 million
TFSL
TFS Financial Corp $17.8 million
DFH
Dream Finders Homes Inc Ordinary Shares - Class A $17.7 million
MMI
Marcus & Millichap Inc $17.5 million
AGL
Agilon Health Inc $17.4 million
DLX
Deluxe Corp $17.4 million
PTLO
Portillos Inc Class A $17.4 million
EXPI
eXp World Holdings Inc $17.4 million
CARS
Cars.com Inc $17.3 million
KW
Kennedy-Wilson Holdings Inc $17.2 million
BDN
Brandywine Realty Trust $17.2 million
MATW
Matthews International Corp Class A $17.2 million
HNGE
Hinge Health Inc Ordinary Shares - Class A $17.2 million
INVX
Innovex International Inc $17.1 million
SEB
Seaboard Corp $17.0 million
CFFN
Capitol Federal Financial Inc $16.8 million
UDMY
Udemy Inc $16.7 million
HSTM
HealthStream Inc $16.5 million
PRO
Pros Holdings Inc $16.5 million
ANGI
Angi Inc Class A $16.1 million
BRSP
BrightSpire Capital Inc Class A $16.1 million
EE
Excelerate Energy Inc Class A $16.0 million
HELE
Helen Of Troy Ltd $15.9 million
FG
F&G Annuities & Life Inc $15.8 million
PL
Planet Labs PBC $15.7 million
VSTS
Vestis Corp $15.7 million
VTS
Vitesse Energy Inc $15.6 million
PX
P10 Inc Class A $15.5 million
TR
Tootsie Roll Industries Inc $15.4 million
BLMN
Bloomin Brands Inc $15.2 million
TFIN
Triumph Financial Inc $15.1 million
NABL
N-able Inc $15.0 million
CABO
Cable One Inc $14.9 million
TROX
Tronox Holdings PLC Shs Class A $14.8 million
NFE
New Fortress Energy Inc Class A $14.5 million
MCW
Mister Car Wash Inc $14.3 million
IBRX
ImmunityBio Inc Ordinary Shares $14.2 million
TILE
Interface Inc $14.2 million
STAA
Staar Surgical Co $14.2 million
BF.A
Brown-Forman Corp Class A $14.2 million
OXM
Oxford Industries Inc $13.9 million
VMEO
Vimeo Inc $13.8 million
SLDE
Slide Insurance Holdings Inc $13.7 million
XNCR
Xencor Inc $13.7 million
VIR
Vir Biotechnology Inc $13.6 million
IBTA
Ibotta Inc Class A common stock $13.6 million
GCMG
GCM Grosvenor Inc Ordinary Shares - Class A $13.4 million
UHAL
U-Haul Holding Co $13.4 million
ATUS
Altice USA Inc Class A $13.3 million
SBGI
Sinclair Inc Ordinary Shares - Class A $13.2 million
GOGO
Gogo Inc $13.0 million
CDNA
CareDx Inc $12.6 million
LOB
Live Oak Bancshares Inc $12.4 million
LFST
LifeStance Health Group Inc Ordinary Shares $12.3 million
PACS
PACS Group Inc $12.2 million
MLNK
MeridianLink Inc $12.2 million
VOYG
Voyager Technologies Inc Class A $12.2 million
FIGS
FIGS Inc Class A $11.7 million
OPK
OPKO Health Inc $11.5 million
RES
RPC Inc $11.5 million
EVGO
EVgo Inc Class A $11.4 million
SEMR
SEMrush Holdings Inc Ordinary Shares - Class A $11.2 million
ALX
Alexander's Inc $11.2 million
DYN
Dyne Therapeutics Inc Ordinary Shares $11.2 million
HLX
Helix Energy Solutions Group Inc $11.0 million
CRSR
Corsair Gaming Inc Ordinary Shares $11.0 million
NRDS
Nerdwallet Inc Class A $10.9 million
ARHS
Arhaus Inc Class A $10.8 million
MTSR
Metsera Inc $10.7 million
FLNC
Fluence Energy Inc Class A $10.7 million
WRLD
World Acceptance Corp $10.7 million
GDRX
GoodRx Holdings Inc Ordinary Shares - Class A $10.4 million
BFS
Saul Centers Inc $10.1 million
SVV
Savers Value Village Inc $9.8 million
HY
Hyster Yale Inc Class A $9.7 million
CLBK
Columbia Financial Inc $9.3 million
AMWD
American Woodmark Corp $9.2 million
HTLD
Heartland Express Inc $9.1 million
SHEN
Shenandoah Telecommunications Co $8.7 million
FOR
Forestar Group Inc $8.7 million
SHLS
Shoals Technologies Group Inc Ordinary Shares - Class A $8.7 million
BMBL
Bumble Inc Ordinary Shares Class A $8.3 million
BRDG
Bridge Investment Group Holdings Inc Ordinary Shares - Class A $8.2 million
OMI
Owens & Minor Inc $8.2 million
HGTY
Hagerty Inc Ordinary Shares - Class A $7.8 million
RUSHB
Rush Enterprises Inc Class B $7.8 million
FLOC
Flowco Holdings Inc $7.7 million
KOP
Koppers Holdings Inc $7.5 million
XRX
Xerox Holdings Corp $7.3 million
FWRD
Forward Air Corp $7.3 million
KLC
KinderCare Learning Companies Inc $7.3 million
CRCT
Cricut Inc Ordinary Shares - Class A $7.3 million
ULCC
Frontier Group Holdings Inc $7.1 million
EMBC
Embecta Corp $6.9 million
SITC
SITE Centers Corp $6.9 million
PRAA
PRA Group Inc $6.8 million
CLB
Core Laboratories Inc $6.6 million
AVNS
Avanos Medical Inc $6.6 million
RCUS
Arcus Biosciences Inc $6.3 million
IOVA
Iovance Biotherapeutics Inc $6.3 million
ARVN
Arvinas Inc $6.2 million
KREF
KKR Real Estate Finance Trust Inc $6.2 million
PUMP
ProPetro Holding Corp $6.1 million
HPK
HighPeak Energy Inc Ordinary Shares $6.0 million
DAWN
Day One Biopharmaceuticals Inc $6.0 million
AMRC
Ameresco Inc Class A $5.8 million
SSTK
Shutterstock Inc $5.7 million
MYGN
Myriad Genetics Inc $5.7 million
CENT
Central Garden & Pet Co $5.6 million
FTRE
Fortrea Holdings Inc $5.5 million
CODI
Compass Diversified Holdings $5.2 million
GETY
Getty Images Holdings Inc $5.0 million
RDFN
Redfin Corp $5.0 million
WOOF
Petco Health and Wellness Co Inc Ordinary Shares - Class A $5.0 million
TASK
TaskUs Inc Class A $4.6 million
PARAA
Paramount Global Class A $4.5 million
NXDR
Nextdoor Holdings Inc Class A $4.3 million
OPEN
Opendoor Technologies Inc Ordinary Shares - Class A $4.0 million
CCO
Clear Channel Outdoor Holdings Inc Ordinary Shares $3.9 million
JACK
Jack In The Box Inc $3.8 million
MAX
MediaAlpha Inc Ordinary Shares - Class A $3.7 million
KRO
Kronos Worldwide Inc $3.5 million
OLPX
Olaplex Holdings Inc $3.4 million
MRVI
Maravai LifeSciences Holdings Inc Ordinary Shares - Class A $3.4 million
DNUT
Krispy Kreme Inc $3.0 million
GEF.B
Greif Inc Class B $2.9 million
LUCK
Lucky Strike Entertainment Corp $2.7 million
CHYM
Chime Financial Inc Ordinary Shares - Class A $2.7 million
AC
Associated Capital Group Inc Class A $1.1 million
CAI
Caris Life Sciences Inc $1.0 million
NPWR
NET Power Inc Ordinary Shares - Class A $937881
WOLF
Wolfspeed Inc $500774
None
Spirit Mta Reit Rts $47647
None
Omniab Inc - 12.5 $2
None
Omniab Inc - 15 $2
None
Gci Liberty Inc Escrow Dummy $0

Recent Changes - Vanguard Small-Cap ETF

Date Ticker Name Change (Shares)
2022-06-30
CLR
Continental Resources Inc -458,470
2022-06-30
IRT
Independence Realty Trust Inc 2.8 million
2022-06-30
PL
Planet Labs PBC 913,382
2022-06-30
PGEN
Precigen Inc -1.1 million
2022-06-30
RCM
R1 RCM Inc 3.5 million
2022-06-30
HLTH
Cue Health Inc -34,129
2022-06-30
KNTK
Kinetik Holdings Inc 167,823
2022-06-30
CLF
Cleveland-Cliffs Inc 61,246
2022-06-30
CRK
Comstock Resources Inc 1.0 million
2022-06-30
TELL
Tellurian Inc 6.5 million
2022-06-30
DKNG
DraftKings Inc Ordinary Shares - Class A 5.1 million
2022-06-30
LYFT
Lyft Inc Class A 3.6 million
2022-06-30
MSP
Datto Holding Corp Ordinary Shares -1.0 million
2022-06-30
IHS
IHS Holding Ltd -49,439
2022-06-30
MVST
Microvast Holdings Inc 3.8 million
2022-06-30
BLI
Berkeley Lights Inc Ordinary Shares -638,018
2022-06-30
RMO
Romeo Power Inc Class A -1.2 million
2022-06-30
FANG
Diamondback Energy Inc -2.2 million
2022-06-30
CVNA
Carvana Co Class A 1.3 million
2022-06-30
DSP
Viant Technology Inc Ordinary Shares - Class A -159,492
2022-06-30
CMTG
Claros Mortgage Trust Inc 1.2 million
2022-06-30
MQ
Marqeta Inc Class A 8.9 million
2022-06-30
USER
UserTesting Inc -27,603
2022-06-30
GOCO
GoHealth Inc Ordinary Shares - Class A -864,144
2022-06-30
KNTE
Kinnate Biopharma Inc Ordinary Shares -270,659
2022-06-30
W
Wayfair Inc Class A 953,798
2022-06-30
ACT
Enact Holdings Inc 819,788
2022-06-30
LOCO
El Pollo Loco Holdings Inc -231,456
2022-06-30
TVTY
Tivity Health Inc -1.1 million
2022-06-30
PRLD
Prelude Therapeutics Inc Ordinary Shares -151,412
2022-06-30
PWR
Quanta Services Inc 52,503
2022-06-30
VRM
Vroom Inc Ordinary Shares -1.4 million
2022-06-30
RCMEUR
R1 RCM Inc -3.5 million
2022-06-30
CEG
Constellation Energy Corp -4.1 million
2022-06-30
MOS
The Mosaic Co -4.6 million
2022-06-30
STLD
Steel Dynamics Inc -205,243
2022-06-30
HTA
Healthcare Trust of America Inc Class A -5.5 million
2022-06-30
PLAN
Anaplan Inc -3.5 million
2022-06-30
REV
Revlon Inc A -55,256
2022-06-30
RNG
RingCentral Inc Class A 1.1 million
2022-06-30
AMC
AMC Entertainment Holdings Inc Class A 6.5 million
2022-06-30
ZY
Zymergen Inc -545,196
2022-06-30
ATN.DE
Adtran Inc -1.2 million
2022-06-30
SMR
NuScale Power Corp Class A 373,436
2022-06-30
CRGY
Crescent Energy Co Class A 395,434
2022-06-30
CNR
Cornerstone Building Brands Inc 803,286
2022-06-30
FMTX
Forma Therapeutics Holdings Inc Ordinary Shares -384,874
2022-06-30
ROOT
Root Inc Ordinary Shares - Class A -1.4 million
2022-06-30
RDUS
Radius Health Inc -567,668
2022-06-30
RIDE
Lordstown Motors Corp Ordinary Shares - Class A -1.7 million
2022-06-30
KRON
Kronos Bio Inc Ordinary Shares -459,174
2022-06-30
LE
Lands' End Inc -180,976
2022-06-30
COUP
Coupa Software Inc 952,898
2022-06-30
AFRM
Affirm Holdings Inc Ordinary Shares - Class A 2.3 million
2022-06-30
XL
XL Fleet Corp Ordinary Shares - Class A -1.4 million
2022-06-30
BRCC
BRC Inc 167,223
2022-06-30
ADTN
Adtran Inc 1.2 million
2022-06-30
ALLK
Allakos Inc -478,080
2022-06-30
DNMR
Danimer Scientific Inc Ordinary Shares - Class A -1.1 million
2022-06-30
GBIO
Generation Bio Co Ordinary Shares -569,072
2022-06-30
BCAB
BioAtla Inc Ordinary Shares -328,606
2022-06-30
VIEW
View Inc Ordinary Shares - Class A -519,884
2022-06-30
BLUE
bluebird bio Inc -873,308
2022-06-30
LNTH
Lantheus Holdings Inc 839,710
2022-06-30
AMR
Alpha Metallurgical Resources Inc 201,013
2022-06-30
WYNN
Wynn Resorts Ltd 1.3 million
2022-06-30
NLSN
Nielsen Holdings PLC -2.7 million
2022-06-30
EQT
EQT Corp -104,800
2022-06-30
SWN
Southwestern Energy Co 214,942
2022-06-30
TDOC
Teladoc Health Inc 1.8 million
2022-06-30
AGL
Agilon Health Inc 2.6 million
2022-06-30
REGI
Renewable Energy Group Inc -1.3 million
2022-06-30
MRO
Marathon Oil Corp -9.4 million
2022-06-30
ARES
Ares Management Corp Class A -1.9 million
2022-06-30
DBX
Dropbox Inc Class A 3.5 million
2022-06-30
APA
APA Corp -162,176
2022-06-30
CTRA
Coterra Energy Inc Ordinary Shares -9.7 million
2022-06-30
VICI
VICI Properties Inc Ordinary Shares -9.4 million
2022-06-30
KOD
Kodiak Sciences Inc -392,007
2022-06-30
CF
CF Industries Holdings Inc -2.6 million
2022-06-30
DBD
Diebold Nixdorf Inc -932,634
2022-06-30
WE
WeWork Inc 7.1 million
2022-05-31
CAR
Avis Budget Group Inc 724
2022-05-31
EQT
EQT Corp 5,804
2022-05-31
IVREUR
Invesco Mortgage Capital Inc -8.2 million
2022-05-31
EPAY
Bottomline Technologies Inc -1.1 million
2022-05-31
OCDX
Ortho Clinical Diagnostics Holdings PLC Ordinary Shares -3.0 million
2022-05-31
ZNGA
Zynga Inc Class A -26.7 million
2022-05-31
MRO
Marathon Oil Corp 15,583
2022-05-31
NRG
NRG Energy Inc 2,005
2022-05-31
DKNG
DraftKings Inc Ordinary Shares - Class A 4.3 million
2022-05-31
IVR
Invesco Mortgage Capital Inc 8.3 million
2022-05-31
BGXX
Bright Green Corp 993,333
2022-05-31
PFHC
ProFrac Holding Corp Ordinary Shares Class A 395,204
2022-04-30
EMBC
Embecta Corp 1.4 million
2022-04-30
EE
Excelerate Energy Inc Class A 397,528
2022-04-30
ESAB
ESAB Corp 1.2 million
2022-04-30
FOE
Ferro Corp -2.0 million
2022-04-30
PBCT
People's United Financial Inc -10.7 million
2022-04-30
FLOW
SPX FLOW Inc -1.1 million
2022-04-30
ISBC
Investors Bancorp Inc -5.6 million
2022-04-30
CEG
Constellation Energy Corp 11,286
2022-04-30
EQT
EQT Corp 11,790
2022-04-30
AA
Alcoa Corp 7,563
2022-03-31
EPZM
Epizyme Inc -1.7 million
2022-03-31
HFC
HollyFrontier Corp -3.7 million
2022-03-31
GDRX
GoodRx Holdings Inc Ordinary Shares - Class A 853,272
2022-03-31
NVCR
NovoCure Ltd 1.1 million
2022-03-31
DINO
HF Sinclair Corp 3.7 million
2022-03-31
MOS
The Mosaic Co -4.7 million
2022-03-31
WU
The Western Union Co 4.8 million
2022-03-31
HCP
HashiCorp Inc Ordinary Shares Class A 191,473
2022-03-31
EQT
EQT Corp -1.0 million
2022-03-31
CPRI
Capri Holdings Ltd -79,131
2022-03-31
ARNA
Arena Pharmaceuticals Inc -1.5 million
2022-03-31
TREX
Trex Co Inc -8,103
2022-03-31
SWN
Southwestern Energy Co 2.4 million
2022-03-31
CONE
CyrusOne Inc -3.2 million
2022-03-31
FANG
Diamondback Energy Inc -2.3 million
2022-03-31
PWR
Quanta Services Inc -8,299
2022-03-31
TXG
10x Genomics Inc Ordinary Shares - Class A 1.1 million
2022-03-31
IRT
Independence Realty Trust Inc 2.8 million
2022-03-31
PTON
Peloton Interactive Inc 3.6 million
2022-03-31
MQ
Marqeta Inc Class A 2.0 million
2022-03-31
ABR
Arbor Realty Trust Inc 1.2 million
2022-03-31
BLND
Blend Labs Inc Ordinary Shares - Class A 3.8 million
2022-03-31
HOOD
Robinhood Markets Inc Class A 13.9 million
2022-03-31
AUR
Aurora Innovation Inc Class A 1.2 million
2022-03-31
AMLX
Amylyx Pharmaceuticals Inc 281,651
2022-03-31
TOST
Toast Inc Class A 274,048
2022-03-31
NUAN
Nuance Communications Inc -8.0 million
2022-03-31
CLF
Cleveland-Cliffs Inc 546,693
2022-03-31
UWMC
UWM Holdings Corp Ordinary Shares - Class A 1.1 million
2022-03-31
GTLB
GitLab Inc Class A 135,196
2022-03-31
PECO
Phillips Edison & Co Inc 2.4 million
2022-03-31
QS
QuantumScape Corp Ordinary Shares - Class A 2.5 million
2022-03-31
EVA
Enviva Inc 744,976
2022-03-31
RKLB
Rocket Lab USA Inc 6.8 million
2022-03-31
CPE
Callon Petroleum Co 615,980
2022-03-31
BTU
Peabody Energy Corp 1.3 million
2022-03-31
BCRX
BioCryst Pharmaceuticals Inc 2.3 million
2022-03-31
VICI
VICI Properties Inc Ordinary Shares -6.4 million
2022-03-31
OPEN
Opendoor Technologies Inc Ordinary Shares - Class A 5.8 million
2022-03-31
INST
Instructure Holdings Inc -19,478
2022-03-31
EAR
Eargo Inc Ordinary Shares -281,401
2022-03-31
MILE
Metromile Inc Ordinary Shares -1.0 million
2022-03-31
DNA
Ginkgo Bioworks Holdings Inc 2.2 million
2022-03-31
CTRA
Coterra Energy Inc Ordinary Shares -10.8 million
2022-03-31
CEG
Constellation Energy Corp -22,672
2022-03-31
APPH
AppHarvest Inc Ordinary Shares -818,250
2022-03-31
RUBY
Rubius Therapeutics Inc -560,348
2022-03-31
DCPH
Deciphera Pharmaceuticals Inc -508,168
2022-03-31
GTHX
G1 Therapeutics Inc -422,424
2022-03-31
LNTH
Lantheus Holdings Inc 808,045
2022-03-31
TSVT
2seventy bio Inc Ordinary Shares -294,583
2022-03-31
BOWL
Bowlero Corp 702,827
2022-03-31
EHTH
eHealth Inc -264,097
2022-03-31
ZGNX
Zogenix Inc -701,948
2022-03-31
OLMA
Olema Pharmaceuticals inc Ordinary Shares -402,137
2022-03-31
AERI
Aerie Pharmaceuticals Inc -559,041
2022-03-31
BHG
Bright Health Group Inc -164,948
2022-03-31
VCTR
Victory Capital Holdings Inc Class A 296,819
2022-03-31
MCFE
McAfee Corp Ordinary Shares - Class A -2.3 million
2022-03-31
CURV
Torrid Holdings Inc -13,798
2022-03-31
NLSN
Nielsen Holdings PLC -23,276
2022-03-31
SBTX
Silverback Therapeutics Inc Ordinary Shares -233,842
2022-03-31
KRA
Kraton Corp -767,691
2022-03-31
HTZ
Hertz Global Holdings Inc Ordinary Shares (New) 7.0 million
2022-03-31
ARES
Ares Management Corp Class A -1.7 million
2022-03-31
S
SentinelOne Inc Class A 2.3 million
2022-03-31
ENOV
Enovis Corp 3.4 million
2022-03-31
NKTX
Nkarta Inc Ordinary Shares -161,762
2022-03-31
STFC
State Auto Financial Corp -445,382
2022-03-31
VOR
Vor Biopharma Inc Ordinary Shares -182,724
2022-02-28
GWB
Great Western Bancorp Inc -1.4 million
2022-02-28
STL
Sterling Bancorp -4.9 million
2022-02-28
MOS
The Mosaic Co -22,652
2022-02-28
CRDO
Credo Technology Group Holding Ltd 543,349
2022-02-28
AA
Alcoa Corp -10,536
2022-02-28
MASI
Masimo Corp -2,995
2022-02-28
UPST
Upstart Holdings Inc Ordinary Shares -2,597
2022-02-28
FHN
First Horizon Corp -22,714
2022-02-28
WBS
Webster Financial Corp 2.2 million
2022-02-28
STLD
Steel Dynamics Inc -9,327
2022-02-28
CEG
Constellation Energy Corp 8.2 million
2022-02-28
FMBI
First Midwest Bancorp Inc -2.9 million
2022-01-31
TREX
Trex Co Inc -5,920
2022-01-31
SC
Santander Consumer USA Holdings Inc -1.6 million
2022-01-31
DVN
Devon Energy Corp -9,924
2022-01-31
ON
ON Semiconductor Corp -6,320
2022-01-31
ANAT
American National Group Inc -393
2022-01-31
ZNGA
Zynga Inc Class A -39,210
2022-01-31
CDAY
Ceridian HCM Holding Inc -6,315
2022-01-31
BILL
Bill.com Holdings Inc Ordinary Shares -1,402
2022-01-31
APO
Apollo Global Management Inc Class A -3,117
2022-01-31
APA
APA Corp -17,035
2022-01-31
NVAX
Novavax Inc -4,545
2022-01-31
TPG
TPG Inc Ordinary Shares - Class A 876,246
2022-01-31
MRO
Marathon Oil Corp -44,982
2022-01-31
TECH
Bio-Techne Corp -2,000