13F.
Bridgewater Associates, LP
13F-HR

Q4 2023

Period Dec 31, 2023Filed Feb 14, 2024View on EDGAR ↗
Positions
742
Total value
$17.86B
Top 10 concentration
31.4%
New positions
88

Exited positionsvs. Q3 2023

  • NETFLIX INC ($35.85M)
  • THERMO FISHER SCIENTIFIC INC ($21.3M)
  • MICROCHIP TECHNOLOGY INC. ($12.14M)
  • KEYSIGHT TECHNOLOGIES INC ($9.47M)
  • AKAMAI TECHNOLOGIES INC ($9.38M)
  • HORIZON THERAPEUTICS PUB L ($8.94M)
  • CONSTELLATION ENERGY CORP ($8.53M)
  • HOSTESS BRANDS INC ($8.46M)

Holdings · 742

#Class
1
ISHARES TR
464287200
CORE S&P500 ETF$1.01B5.67%2,122,214+3.8%
2
ISHARES INC
46434G103
CORE MSCI EMKT$945.47M5.29%18,692,550-2.6%
3
PROCTER AND GAMBLE CO
742718109
COM$680.46M3.81%4,643,522-3.3%
4
COCA COLA CO
191216100
COM$471.64M2.64%8,003,344-11.0%
5
COSTCO WHSL CORP NEW
22160K105
COM$453.85M2.54%687,572-17.0%
6
JOHNSON & JOHNSON
478160104
COM$434.9M2.43%2,774,687+1.8%
7
PEPSICO INC
713448108
COM$414.72M2.32%2,441,850-8.9%
8
MCDONALDS CORP
580135101
COM$401.97M2.25%1,355,664-8.5%
9
WALMART INC
931142103
COM$401.03M2.24%2,543,789-5.5%
10
SPDR S&P 500 ETF TR
78462F103
TR UNIT$391.3M2.19%823,251-17.3%
11
PDD HOLDINGS INC
722304102
SPONSORED ADS$356.51M2.00%2,436,655-10.1%
12
ALPHABET INC
02079K305
CAP STK CL A$285.59M1.60%2,044,437+29.5%
13
VISA INC
92826C839
COM CL A$282.67M1.58%1,085,719+28.0%
14
CVS HEALTH CORP
126650100
COM$241.18M1.35%3,054,404+5.7%
15
META PLATFORMS INC
30303M102
CL A$235.76M1.32%666,059+7.1%
16
STARBUCKS CORP
855244109
COM$232.25M1.30%2,419,064-4.4%
17
VANGUARD INTL EQUITY INDEX F
922042858
FTSE EMR MKT ETF$220.79M1.24%5,372,037-10.0%
18
MERCK & CO INC
58933Y105
COM$213.36M1.19%1,957,062+20.6%
19
ABBOTT LABS
002824100
COM$208.83M1.17%1,897,219-8.5%
20
ELI LILLY & CO
532457108
COM$185.13M1.04%317,586+412.5%
21
MONDELEZ INTL INC
609207105
CL A$175.67M0.98%2,425,314-1.3%
22
COMCAST CORP NEW
20030N101
CL A$172.92M0.97%3,943,507+72.6%
23
MCKESSON CORP
58155Q103
COM$155.22M0.87%335,265+2.0%
24
INTUITIVE SURGICAL INC
46120E602
COM NEW$141.37M0.79%419,035-17.2%
25
ISHARES TR
464288588
MBS ETF$136.59M0.76%1,451,800-2.0%
26
NVIDIA CORPORATION
67066G104
COM$132.96M0.74%268,489+458.1%
27
BOOKING HOLDINGS INC
09857L108
COM$130.16M0.73%36,694-6.3%
28
CHIPOTLE MEXICAN GRILL INC
169656105
COM$123.94M0.69%54,194-27.4%
29
COLGATE PALMOLIVE CO
194162103
COM$123.3M0.69%1,546,886-9.0%
30
STRYKER CORPORATION
863667101
COM$121.3M0.68%405,048-2.0%
31
MASTERCARD INCORPORATED
57636Q104
CL A$117.8M0.66%276,189+74.2%
32
HCA HEALTHCARE INC
40412C101
COM$115.38M0.65%426,276+13.5%
33
THE CIGNA GROUP
125523100
COM$111.9M0.63%373,690+68.9%
34
TARGET CORP
87612E106
COM$110.52M0.62%776,047-4.5%
35
ISHARES TR
464287242
IBOXX INV CP ETF$106.23M0.59%960,000-2.9%
36
BOSTON SCIENTIFIC CORP
101137107
COM$101.6M0.57%1,757,512+1.3%
37
ISHARES TR
464287184
CHINA LG-CAP ETF$99.46M0.56%4,138,983+1.2%
38
CISCO SYS INC
17275R102
COM$97.09M0.54%1,921,718+14.6%
39
REGENERON PHARMACEUTICALS
75886F107
COM$96.73M0.54%110,132+81.3%
40
ISHARES INC
464286400
MSCI BRAZIL ETF$96.17M0.54%2,750,734New
41
ABBVIE INC
00287Y109
COM$94.05M0.53%606,893+5.4%
42
PHILIP MORRIS INTL INC
718172109
COM$92.5M0.52%983,247+11.1%
43
MONSTER BEVERAGE CORP NEW
61174X109
COM$90.73M0.51%1,574,845-31.0%
44
PAYPAL HLDGS INC
70450Y103
COM$88.61M0.50%1,442,844+2.9%
45
KROGER CO
501044101
COM$88.34M0.49%1,932,588-5.7%
46
VEEVA SYS INC
922475108
CL A COM$86.79M0.49%450,835-3.1%
47
FISERV INC
337738108
COM$85.59M0.48%644,315+66.0%
48
DOLLAR TREE INC
256746108
COM$82.93M0.46%583,782-4.4%
49
ISHARES TR
46429B671
MSCI CHINA ETF$80.38M0.45%1,972,950+1.6%
50
KIMBERLY-CLARK CORP
494368103
COM$79.33M0.44%652,830-6.6%
51
PROGRESSIVE CORP
743315103
COM$77.13M0.43%484,227+1043.1%
52
ALTRIA GROUP INC
02209S103
COM$76.08M0.43%1,885,964+34.2%
53
MICROSOFT CORP
594918104
COM$74.36M0.42%197,732-2.0%
54
BECTON DICKINSON & CO
075887109
COM$72.37M0.41%296,787-14.6%
55
D R HORTON INC
23331A109
COM$71.71M0.40%471,863+12.1%
56
CONSTELLATION BRANDS INC
21036P108
CL A$69.87M0.39%289,020+20.9%
57
EDWARDS LIFESCIENCES CORP
28176E108
COM$68.87M0.39%903,228-14.4%
58
GILEAD SCIENCES INC
375558103
COM$65.45M0.37%807,919+10.3%
59
GENERAL MLS INC
370334104
COM$62.77M0.35%963,644-4.7%
60
KRAFT HEINZ CO
500754106
COM$61.45M0.34%1,661,700+7.7%
61
ELEVANCE HEALTH INC
036752103
COM$60.48M0.34%128,245+34.6%
62
HUMANA INC
444859102
COM$56.99M0.32%124,478+220.5%
63
DOORDASH INC
25809K105
CL A$56.15M0.31%567,818+14.0%
64
SYSCO CORP
871829107
COM$54.63M0.31%747,034-6.7%
65
VERTEX PHARMACEUTICALS INC
92532F100
COM$53.85M0.30%132,354-16.4%
66
DEXCOM INC
252131107
COM$53.75M0.30%433,155-28.0%
67
LENNAR CORP
526057104
CL A$53.43M0.30%358,516-7.8%
68
SCHLUMBERGER LTD
806857108
COM STK$51.54M0.29%990,379-24.3%
69
GENERAL ELECTRIC CO
369604301
COM NEW$49.03M0.27%384,161+122.7%
70
RESTAURANT BRANDS INTL INC
76131D103
COM$48.23M0.27%614,264-9.5%
71
LAUDER ESTEE COS INC
518439104
CL A$47.33M0.26%323,596-38.6%
72
AT&T INC
00206R102
COM$46.21M0.26%2,753,821+71.0%
73
T-MOBILE US INC
872590104
COM$44.14M0.25%275,334-19.1%
74
CENCORA INC
03073E105
COM$43.24M0.24%210,515+40.3%
75
LAMB WESTON HLDGS INC
513272104
COM$43.2M0.24%399,698-19.0%
76
UBER TECHNOLOGIES INC
90353T100
COM$43.04M0.24%699,088-52.5%
77
CARDINAL HEALTH INC
14149Y108
COM$42.18M0.24%418,419-9.2%
78
HERSHEY CO
427866108
COM$41.93M0.23%224,882-12.6%
79
AMGEN INC
031162100
COM$41.61M0.23%144,483+421.1%
80
CHURCH & DWIGHT CO INC
171340102
COM$39.76M0.22%420,519-5.3%
81
TRIP COM GROUP LTD
89677Q107
ADS$39.29M0.22%1,091,022-15.3%
82
VISTRA CORP
92840M102
COM$38.86M0.22%1,008,838+62.9%
83
ZIMMER BIOMET HOLDINGS INC
98956P102
COM$38.84M0.22%319,167+8.0%
84
METLIFE INC
59156R108
COM$38.41M0.21%580,797+27.7%
85
DOLLAR GEN CORP NEW
256677105
COM$38.27M0.21%281,503-48.0%
86
BIOGEN INC
09062X103
COM$37.08M0.21%143,286-5.0%
87
PFIZER INC
717081103
COM$36.89M0.21%1,281,431-20.9%
88
FLEETCOR TECHNOLOGIES INC
339041105
COM$36.33M0.20%128,565+41.6%
89
ON SEMICONDUCTOR CORP
682189105
COM$36.28M0.20%434,348+27.9%
90
GLOBAL PMTS INC
37940X102
COM$36.2M0.20%285,030+49.1%
91
COSTAR GROUP INC
22160N109
COM$36.2M0.20%414,220-8.5%
92
BRISTOL-MYERS SQUIBB CO
110122108
COM$36.18M0.20%705,207-49.0%
93
KELLANOVA
487836108
COM$35.65M0.20%637,704+21.4%
94
SMUCKER J M CO
832696405
COM NEW$34.53M0.19%273,241+22.4%
95
MARATHON PETE CORP
56585A102
COM$33.36M0.19%224,872+37.9%
96
AUTOZONE INC
053332102
COM$33.01M0.18%12,767+5.9%
97
IDEXX LABS INC
45168D104
COM$32.67M0.18%58,862-49.6%
98
SPOTIFY TECHNOLOGY S A
L8681T102
SHS$32.15M0.18%171,068+71.8%
99
YUM CHINA HLDGS INC
98850P109
COM$32.03M0.18%754,969-10.5%
100
COTERRA ENERGY INC
127097103
COM$31.11M0.17%1,219,114New
101
EBAY INC.
278642103
COM$31.07M0.17%712,342+8.9%
102
HOLOGIC INC
436440101
COM$30.32M0.17%424,336-18.6%
103
OREILLY AUTOMOTIVE INC
67103H107
COM$28.71M0.16%30,218+30.0%
104
MOLSON COORS BEVERAGE CO
60871R209
CL B$28.48M0.16%465,219+26.7%
105
QUEST DIAGNOSTICS INC
74834L100
COM$27.8M0.16%201,600-18.1%
106
CITIGROUP INC
172967424
COM NEW$27.79M0.16%540,201-50.4%
107
RESMED INC
761152107
COM$27.27M0.15%158,526-31.2%
108
WELLS FARGO CO NEW
949746101
COM$26.18M0.15%531,798New
109
WARNER MUSIC GROUP CORP
934550203
COM CL A$25.67M0.14%717,329-4.8%
110
PG&E CORP
69331C108
COM$25.37M0.14%1,407,357+107.0%
111
SPROTT INC
852066208
COM NEW$25.35M0.14%744,859-0.1%
112
BROWN FORMAN CORP
115637209
CL B$25.13M0.14%440,186-23.6%
113
HALLIBURTON CO
406216101
COM$24.89M0.14%688,476+159.8%
114
CENTENE CORP DEL
15135B101
COM$24.77M0.14%333,778+59.8%
115
BUILDERS FIRSTSOURCE INC
12008R107
COM$24.44M0.14%146,372+1.8%
116
CLOROX CO DEL
189054109
COM$24.27M0.14%170,179+2.5%
117
BAXTER INTL INC
071813109
COM$24.22M0.14%626,423-10.3%
118
EQT CORP
26884L109
COM$24.11M0.13%623,751-7.8%
119
DARDEN RESTAURANTS INC
237194105
COM$24.09M0.13%146,627-17.8%
120
NIO INC
62914V106
SPON ADS$23.88M0.13%2,632,898-11.5%
121
DELTA AIR LINES INC DEL
247361702
COM NEW$23.82M0.13%592,061New
122
MARATHON OIL CORP
565849106
COM$23.45M0.13%970,795+60.4%
123
UNIVERSAL HLTH SVCS INC
913903100
CL B$23.44M0.13%153,771-6.8%
124
INCYTE CORP
45337C102
COM$23.11M0.13%368,034-0.6%
125
EXPEDIA GROUP INC
30212P303
COM NEW$22.64M0.13%149,127-11.2%
126
ALLISON TRANSMISSION HLDGS I
01973R101
COM$22.61M0.13%388,861+2.6%
127
STERIS PLC
G8473T100
SHS USD$22.42M0.13%101,984-18.2%
128
KE HLDGS INC
482497104
SPONSORED ADS$21.85M0.12%1,347,775-10.2%
129
SNAP ON INC
833034101
COM$21.77M0.12%75,354+66.1%
130
CSX CORP
126408103
COM$21.44M0.12%618,338-12.1%
131
LIBERTY BROADBAND CORP
530307305
COM SER C$21.43M0.12%265,860+23.4%
132
EXXON MOBIL CORP
30231G102
COM$21.41M0.12%214,126+5986.6%
133
AMERICAN HOMES 4 RENT
02665T306
CL A$21.4M0.12%595,129+31.6%
134
AMDOCS LTD
G02602103
SHS$21.36M0.12%243,046+19.9%
135
APA CORPORATION
03743Q108
COM$21.36M0.12%595,186-15.9%
136
APTIV PLC
G6095L109
SHS$21.13M0.12%235,502+2697.3%
137
CME GROUP INC
12572Q105
COM$20.74M0.12%98,463+49.6%
138
TRANSUNION
89400J107
COM$20.69M0.12%301,062+42.7%
139
PRUDENTIAL FINL INC
744320102
COM$20.12M0.11%194,015+21.5%
140
ALBERTSONS COS INC
013091103
COMMON STOCK$20.1M0.11%873,722-8.2%
141
COOPER COS INC
216648402
COM NEW$19.91M0.11%52,607+211.5%
142
BERRY GLOBAL GROUP INC
08579W103
COM$19.88M0.11%294,980+3.3%
143
LEGEND BIOTECH CORP
52490G102
SPONSORED ADS$19.86M0.11%330,091-6.2%
144
MARKETAXESS HLDGS INC
57060D108
COM$19.75M0.11%67,451-44.8%
145
HENRY SCHEIN INC
806407102
COM$19.6M0.11%258,902+15.9%
146
CHUBB LIMITED
H1467J104
COM$19.5M0.11%86,289New
147
AFFILIATED MANAGERS GROUP IN
008252108
COM$19.28M0.11%127,360+24.9%
148
AFLAC INC
001055102
COM$18.82M0.11%228,084+50.2%
149
HARTFORD FINL SVCS GROUP INC
416515104
COM$18.63M0.10%231,743+15.5%
150
NRG ENERGY INC
629377508
COM NEW$18.5M0.10%357,929+17.6%
151
BLOCK H & R INC
093671105
COM$18.43M0.10%381,030+15.4%
152
BIOMARIN PHARMACEUTICAL INC
09061G101
COM$18.41M0.10%190,970+18.3%
153
AMN HEALTHCARE SVCS INC
001744101
COM$18.05M0.10%241,047+12.2%
154
WILLIS TOWERS WATSON PLC LTD
G96629103
SHS$18.04M0.10%74,799+60.0%
155
ISHARES TR
464287234
MSCI EMG MKT ETF$18.01M0.10%447,961-14.8%
156
CASEYS GEN STORES INC
147528103
COM$18M0.10%65,500-9.7%
157
DISCOVER FINL SVCS
254709108
COM$17.84M0.10%158,744+18.8%
158
BANK NEW YORK MELLON CORP
064058100
COM$17.8M0.10%342,018+174.4%
159
APOLLO GLOBAL MGMT INC
03769M106
COM$17.66M0.10%189,552-7.5%
160
LABORATORY CORP AMER HLDGS
50540R409
COM NEW$17.64M0.10%77,617-44.6%
161
ZTO EXPRESS CAYMAN INC
98980A105
SPONSORED ADS A$17.57M0.10%825,633-11.0%
162
OLIN CORP
680665205
COM PAR $1$17.37M0.10%321,891+36.6%
163
WEATHERFORD INTL PLC
G48833118
ORD SHS$17.17M0.10%175,461+117.8%
164
OWENS CORNING NEW
690742101
COM$17.02M0.10%114,806+9.8%
165
BENTLEY SYS INC
08265T208
COM CL B$17M0.10%325,786+10.5%
166
GRAND CANYON ED INC
38526M106
COM$16.61M0.09%125,807-7.2%
167
MONOLITHIC PWR SYS INC
609839105
COM$16.58M0.09%26,280-24.4%
168
AON PLC
G0403H108
SHS CL A$16.29M0.09%55,979+3278.3%
169
ALBEMARLE CORP
012653101
COM$16.28M0.09%112,669+19.6%
170
AUTONATION INC
05329W102
COM$16.15M0.09%107,558+20.5%
171
SPROUTS FMRS MKT INC
85208M102
COM$16.12M0.09%335,093-10.4%
172
RANGE RES CORP
75281A109
COM$16.07M0.09%528,042+39.1%
173
NETAPP INC
64110D104
COM$15.7M0.09%178,079-15.8%
174
BJS WHSL CLUB HLDGS INC
05550J101
COM$15.49M0.09%232,417-3.3%
175
VIPSHOP HLDGS LTD
92763W103
SPONSORED ADS A$15.45M0.09%869,705-12.4%
176
INTERACTIVE BROKERS GROUP IN
45841N107
COM CL A$15.34M0.09%185,098+387.2%
177
BEST BUY INC
086516101
COM$15.28M0.09%195,156+34.9%
178
HARLEY DAVIDSON INC
412822108
COM$15.19M0.09%412,190-7.1%
179
TEXAS ROADHOUSE INC
882681109
COM$15.15M0.08%123,932-9.5%
180
ATKORE INC
047649108
COM$15.14M0.08%94,625+12.9%
181
OVINTIV INC
69047Q102
COM$14.94M0.08%340,152-29.4%
182
3M CO
88579Y101
COM$14.86M0.08%135,930+90.6%
183
FAIR ISAAC CORP
303250104
COM$14.83M0.08%12,743-53.4%
184
CAMPBELL SOUP CO
134429109
COM$14.82M0.08%342,728+3.0%
185
TENCENT MUSIC ENTMT GROUP
88034P109
SPON ADS$14.78M0.08%1,640,558-12.3%
186
KENVUE INC
49177J102
COM$14.66M0.08%680,923New
187
DUOLINGO INC
26603R106
CL A COM$14.65M0.08%64,599-6.7%
188
TARGA RES CORP
87612G101
COM$14.64M0.08%168,527-13.2%
189
BRUNSWICK CORP
117043109
COM$14.21M0.08%146,859-0.3%
190
E L F BEAUTY INC
26856L103
COM$14.17M0.08%98,158-10.7%
191
F5 INC
315616102
COM$14.15M0.08%79,071-33.7%
192
COGNIZANT TECHNOLOGY SOLUTIO
192446102
CL A$14.08M0.08%186,459+22.7%
193
LOUISIANA PAC CORP
546347105
COM$14.03M0.08%198,097-14.5%
194
ZOOM VIDEO COMMUNICATIONS IN
98980L101
CL A$13.82M0.08%192,205+4370.9%
195
EAGLE MATLS INC
26969P108
COM$13.8M0.08%68,027-5.2%
196
PINTEREST INC
72352L106
CL A$13.78M0.08%371,906-14.3%
197
EVERCORE INC
29977A105
CLASS A$13.75M0.08%80,412+35.5%
198
TELEFLEX INCORPORATED
879369106
COM$13.65M0.08%54,751-3.0%
199
BELLRING BRANDS INC
07831C103
COMMON STOCK$13.49M0.08%243,440+3.0%
200
BAKER HUGHES COMPANY
05722G100
CL A$13.42M0.08%392,517+8.7%
201
SCHWAB CHARLES CORP
808513105
COM$13.37M0.07%194,339+217.8%
202
ADTALEM GLOBAL ED INC
00737L103
COM$13.37M0.07%226,791+125.3%
203
DIAMONDBACK ENERGY INC
25278X109
COM$13.32M0.07%85,866-34.6%
204
TEMPUR SEALY INTL INC
88023U101
COM$13.18M0.07%258,648+20.2%
205
H WORLD GROUP LTD
44332N106
SPONSORED ADS$13.05M0.07%390,323-10.3%
206
EOG RES INC
26875P101
COM$12.98M0.07%107,299-6.5%
207
GEN DIGITAL INC
668771108
COM$12.95M0.07%567,355+52.2%
208
GLOBE LIFE INC
37959E102
COM$12.84M0.07%105,452-0.4%
209
WELLTOWER INC
95040Q104
COM$12.82M0.07%142,217+122.8%
210
TAPESTRY INC
876030107
COM$12.72M0.07%345,636-41.0%
211
ALIGN TECHNOLOGY INC
016255101
COM$12.46M0.07%45,486-74.8%
212
ACUITY BRANDS INC
00508Y102
COM$12.44M0.07%60,730-23.2%
213
PROCORE TECHNOLOGIES INC
74275K108
COM$12.42M0.07%179,356-2.2%
214
MASCO CORP
574599106
COM$12.3M0.07%183,661-25.8%
215
MAGNOLIA OIL & GAS CORP
559663109
CL A$12.26M0.07%575,895+300.4%
216
KLA CORP
482480100
COM NEW$12.01M0.07%20,659-23.1%
217
NUCOR CORP
670346105
COM$11.99M0.07%68,868-46.9%
218
PULTE GROUP INC
745867101
COM$11.7M0.07%113,315-14.4%
219
TAL EDUCATION GROUP
874080104
SPONSORED ADS$11.68M0.07%924,653-11.5%
220
DENTSPLY SIRONA INC
24906P109
COM$11.62M0.07%326,488-10.9%
221
DAVITA INC
23918K108
COM$11.61M0.07%110,855-2.0%
222
CHENIERE ENERGY INC
16411R208
COM NEW$11.58M0.06%67,839-28.7%
223
CELSIUS HLDGS INC
15118V207
COM NEW$11.47M0.06%210,292+148.7%
224
CHEVRON CORP NEW
166764100
COM$11.46M0.06%76,812+952.5%
225
INSULET CORP
45784P101
COM$11.38M0.06%52,469+49.1%
226
KANZHUN LIMITED
48553T106
SPONSORED ADS$11.38M0.06%685,290-11.6%
227
STEEL DYNAMICS INC
858119100
COM$11.27M0.06%95,441-40.2%
228
PVH CORPORATION
693656100
COM$11.24M0.06%92,027-26.6%
229
ARROW ELECTRS INC
042735100
COM$11.22M0.06%91,757+17.6%
230
JAZZ PHARMACEUTICALS PLC
G50871105
SHS USD$11.12M0.06%90,416+3.0%
231
CAMECO CORP
13321L108
COM$10.95M0.06%252,707-16.9%
232
QUALCOMM INC
747525103
COM$10.93M0.06%75,595-80.0%
233
CANADIAN NAT RES LTD
136385101
COM$10.89M0.06%165,444New
234
FOX CORP
35137L105
CL A COM$10.87M0.06%366,231+16.8%
235
REALTY INCOME CORP
756109104
COM$10.84M0.06%188,865New
236
HORMEL FOODS CORP
440452100
COM$10.81M0.06%336,765-19.8%
237
ASTRAZENECA PLC
046353108
SPONSORED ADR$10.78M0.06%160,050+40.6%
238
TECHNIPFMC PLC
G87110105
COM$10.68M0.06%530,475-2.9%
239
COHEN & STEERS INC
19247A100
COM$10.64M0.06%140,544+9.9%
240
CROCS INC
227046109
COM$10.56M0.06%113,083-10.2%
241
ELECTRONIC ARTS INC
285512109
COM$10.14M0.06%74,128-31.0%
242
DXC TECHNOLOGY CO
23355L106
COM$10.12M0.06%442,396-20.1%
243
GROUP 1 AUTOMOTIVE INC
398905109
COM$10M0.06%32,830-3.7%
244
TRAVELERS COMPANIES INC
89417E109
COM$9.95M0.06%52,248+616.4%
245
EXLSERVICE HOLDINGS INC
302081104
COM$9.94M0.06%322,113+107.1%
246
PENUMBRA INC
70975L107
COM$9.8M0.05%38,941+127.2%
247
LPL FINL HLDGS INC
50212V100
COM$9.74M0.05%42,799+30.9%
248
FLEX LTD
Y2573F102
ORD$9.64M0.05%316,460+155.8%
249
HEWLETT PACKARD ENTERPRISE C
42824C109
COM$9.55M0.05%562,336+27.8%
250
MARSH & MCLENNAN COS INC
571748102
COM$9.34M0.05%49,271+228.7%
251
SOUTHWESTERN ENERGY CO
845467109
COM$9.26M0.05%1,413,727New
252
JOHNSON CTLS INTL PLC
G51502105
SHS$9.18M0.05%159,305+64.5%
253
NEXSTAR MEDIA GROUP INC
65336K103
COMMON STOCK$9.18M0.05%58,567-3.0%
254
GRAPHIC PACKAGING HLDG CO
388689101
COM$9.09M0.05%368,781-16.1%
255
NEWMARKET CORP
651587107
COM$9.07M0.05%16,622+9.4%
256
CANADIAN NATL RY CO
136375102
COM$9.04M0.05%71,593+2.1%
257
TRINET GROUP INC
896288107
COM$8.96M0.05%75,341+541.7%
258
RELX PLC
759530108
SPONSORED ADR$8.94M0.05%225,428-2.8%
259
OMNICOM GROUP INC
681919106
COM$8.85M0.05%102,324-18.4%
260
HP INC
40434L105
COM$8.83M0.05%293,583+249.7%
261
SKYWORKS SOLUTIONS INC
83088M102
COM$8.73M0.05%77,682-43.9%
262
CF INDS HLDGS INC
125269100
COM$8.71M0.05%109,593-17.8%
263
IMPERIAL OIL LTD
453038408
COM NEW$8.7M0.05%152,030New
264
DYNATRACE INC
268150109
COM NEW$8.65M0.05%158,173New
265
MOHAWK INDS INC
608190104
COM$8.64M0.05%83,460+4.8%
266
MADDEN STEVEN LTD
556269108
COM$8.58M0.05%204,226-0.5%
267
EASTMAN CHEM CO
277432100
COM$8.55M0.05%95,226+139.5%
268
CHEMED CORP NEW
16359R103
COM$8.54M0.05%14,602-16.8%
269
ENCORE WIRE CORP
292562105
COM$8.51M0.05%39,845-11.8%
270
PBF ENERGY INC
69318G106
CL A$8.51M0.05%193,481+143.0%
271
ROSS STORES INC
778296103
COM$8.45M0.05%61,087-20.3%
272
JABIL INC
466313103
COM$8.45M0.05%66,300+314.8%
273
SEI INVTS CO
784117103
COM$8.44M0.05%132,836-33.3%
274
ELEMENT SOLUTIONS INC
28618M106
COM$8.36M0.05%361,189-2.5%
275
JUNIPER NETWORKS INC
48203R104
COM$8.33M0.05%282,598+240.8%
276
CUMMINS INC
231021106
COM$8.3M0.05%34,629+20.8%
277
CANADIAN PACIFIC KANSAS CITY
13646K108
COM$8.27M0.05%104,166+7.7%
278
SANMINA CORPORATION
801056102
COM$8.2M0.05%159,544+1.2%
279
GENTEX CORP
371901109
COM$8.18M0.05%250,599-0.2%
280
CNO FINL GROUP INC
12621E103
COM$8.18M0.05%293,339-8.7%
281
COCA COLA CONS INC
191098102
COM$8.15M0.05%8,775-9.6%
282
UNITED AIRLS HLDGS INC
910047109
COM$8.13M0.05%196,976New
283
BEACON ROOFING SUPPLY INC
073685109
COM$8.12M0.05%93,280+116.3%
284
WINGSTOP INC
974155103
COM$8.1M0.05%31,587-37.8%
285
NETSCOUT SYS INC
64115T104
COM$8.08M0.05%368,047+50.5%
286
WISDOMTREE INC
97717P104
COM$8.07M0.05%1,164,196-13.7%
287
PACCAR INC
693718108
COM$7.99M0.04%81,848-60.4%
288
KB HOME
48666K109
COM$7.95M0.04%127,241+16.8%
289
GSK PLC
37733W204
SPONSORED ADR$7.93M0.04%214,020+20.2%
290
MATSON INC
57686G105
COM$7.9M0.04%72,110+5.3%
291
THOMSON REUTERS CORP.
884903808
COM$7.8M0.04%53,356+1.8%
292
RALPH LAUREN CORP
751212101
CL A$7.8M0.04%54,079-3.6%
293
DOCUSIGN INC
256163106
COM$7.78M0.04%130,793+117.5%
294
TYSON FOODS INC
902494103
CL A$7.77M0.04%144,556-74.2%
295
THE ODP CORP
88337F105
COM$7.77M0.04%137,995+1.8%
296
HF SINCLAIR CORP
403949100
COM$7.7M0.04%138,639-21.2%
297
POST HLDGS INC
737446104
COM$7.68M0.04%87,195-7.6%
298
AMERICAN INTL GROUP INC
026874784
COM NEW$7.67M0.04%113,279+73.8%
299
PIONEER NAT RES CO
723787107
COM$7.64M0.04%33,962-68.4%
300
FLOWERS FOODS INC
343498101
COM$7.59M0.04%337,048+14.1%
301
CHESAPEAKE ENERGY CORP
165167735
COM$7.58M0.04%98,581-1.4%
302
ACADIA HEALTHCARE COMPANY IN
00404A109
COM$7.53M0.04%96,880+91.8%
303
SHOCKWAVE MED INC
82489T104
COM$7.52M0.04%39,465-9.3%
304
FEDERATED HERMES INC
314211103
CL B$7.52M0.04%221,998+33.0%
305
NORTHERN OIL & GAS INC
665531307
COM$7.5M0.04%202,451+44.9%
306
TJX COS INC NEW
872540109
COM$7.5M0.04%79,931+40.6%
307
KOSMOS ENERGY LTD
500688106
COM$7.49M0.04%1,116,939+49.4%
308
TOLL BROTHERS INC
889478103
COM$7.46M0.04%72,567-11.3%
309
ENSTAR GROUP LIMITED
G3075P101
SHS$7.34M0.04%24,940+1052.0%
310
YUM BRANDS INC
988498101
COM$7.31M0.04%55,923-40.8%
311
ASSURANT INC
04621X108
COM$7.26M0.04%43,084-12.5%
312
EVEREST GROUP LTD
G3223R108
COM$7.2M0.04%20,367+8.7%
313
ASSURED GUARANTY LTD
G0585R106
COM$7.18M0.04%95,997-2.7%
314
FRESHPET INC
358039105
COM$7.15M0.04%82,377-10.2%
315
LYONDELLBASELL INDUSTRIES N
N53745100
SHS - A -$7.04M0.04%74,023+61.0%
316
ENERPLUS CORP
292766102
COM$7.01M0.04%457,006+178.7%
317
SEAWORLD ENTMT INC
81282V100
COM$6.95M0.04%131,640-13.0%
318
OPTION CARE HEALTH INC
68404L201
COM NEW$6.93M0.04%205,831+93.4%
319
ENCOMPASS HEALTH CORP
29261A100
COM$6.93M0.04%103,886+49.4%
320
SLM CORP
78442P106
COM$6.79M0.04%355,361+28.0%
321
EVOLENT HEALTH INC
30050B101
CL A$6.75M0.04%204,377-8.3%
322
TELADOC HEALTH INC
87918A105
COM$6.72M0.04%311,849-10.3%
323
GMS INC
36251C103
COM$6.7M0.04%81,223+20.7%
324
SOUTHWEST AIRLS CO
844741108
COM$6.68M0.04%231,391New
325
RIO TINTO PLC
767204100
SPONSORED ADR$6.68M0.04%89,702+25.2%
326
TEGNA INC
87901J105
COM$6.6M0.04%431,543+14.3%
327
ENSIGN GROUP INC
29358P101
COM$6.6M0.04%58,835+70.7%
328
BOYD GAMING CORP
103304101
COM$6.6M0.04%105,341+12.6%
329
COPART INC
217204106
COM$6.54M0.04%133,446-38.2%
330
GENPACT LIMITED
G3922B107
SHS$6.49M0.04%186,992+2.8%
331
PRIMERICA INC
74164M108
COM$6.47M0.04%31,462+0.2%
332
SIMPLY GOOD FOODS CO
82900L102
COM$6.33M0.04%159,963-9.2%
333
VERISK ANALYTICS INC
92345Y106
COM$6.25M0.03%26,157+1186.6%
334
LENNOX INTL INC
526107107
COM$6.07M0.03%13,565+85.5%
335
SIMPSON MFG INC
829073105
COM$6.03M0.03%30,450-19.8%
336
SYNOPSYS INC
871607107
COM$6M0.03%11,657+614.3%
337
NVR INC
62944T105
COM$5.99M0.03%856-41.7%
338
WD 40 CO
929236107
COM$5.98M0.03%25,032-8.9%
339
ANTERO RESOURCES CORP
03674X106
COM$5.95M0.03%262,550+375.9%
340
EDISON INTL
281020107
COM$5.93M0.03%82,890+772.2%
341
LAM RESEARCH CORP
512807108
COM$5.92M0.03%7,558-89.6%
342
DOXIMITY INC
26622P107
CL A$5.92M0.03%211,112-17.0%
343
POLARIS INC
731068102
COM$5.9M0.03%62,275+20.1%
344
PAYCOM SOFTWARE INC
70432V102
COM$5.85M0.03%28,313-43.5%
345
GLOBUS MED INC
379577208
CL A$5.82M0.03%109,289-22.9%
346
WEYERHAEUSER CO MTN BE
962166104
COM NEW$5.78M0.03%166,220+249.9%
347
TENET HEALTHCARE CORP
88033G407
COM NEW$5.77M0.03%76,344-6.8%
348
TEREX CORP NEW
880779103
COM$5.72M0.03%99,579New
349
VENTAS INC
92276F100
COM$5.65M0.03%113,463-36.2%
350
CHEMOURS CO
163851108
COM$5.64M0.03%178,719-31.0%
351
BOSTON BEER INC
100557107
CL A$5.56M0.03%16,092+115.9%
352
EMCOR GROUP INC
29084Q100
COM$5.5M0.03%25,546+261.5%
353
TRADEWEB MKTS INC
892672106
CL A$5.4M0.03%59,429-57.4%
354
UNION PAC CORP
907818108
COM$5.39M0.03%21,933-13.5%
355
TEXTRON INC
883203101
COM$5.38M0.03%66,927+5.3%
356
MASIMO CORP
574795100
COM$5.36M0.03%45,726-14.0%
357
LANCASTER COLONY CORP
513847103
COM$5.33M0.03%32,052+6.9%
358
HELEN OF TROY LTD
G4388N106
COM$5.29M0.03%43,812-11.1%
359
ERIE INDTY CO
29530P102
CL A$5.29M0.03%15,790+47.0%
360
NNN REIT INC
637417106
COM$5.26M0.03%121,973-78.0%
361
MERIT MED SYS INC
589889104
COM$5.15M0.03%67,822+81.2%
362
MURPHY USA INC
626755102
COM$5.13M0.03%14,400-19.3%
363
COURSERA INC
22266M104
COM$5.12M0.03%264,421-6.1%
364
CRH PLC
G25508105
ORD$5.09M0.03%73,623New
365
WILLIAMS SONOMA INC
969904101
COM$4.99M0.03%24,724-61.1%
366
GULFPORT ENERGY CORP
402635502
COMMON SHARES$4.97M0.03%37,288New
367
ABERCROMBIE & FITCH CO
002896207
CL A$4.89M0.03%55,447New
368
UNUM GROUP
91529Y106
COM$4.85M0.03%107,355+6.3%
369
INTER PARFUMS INC
458334109
COM$4.85M0.03%33,673+42.4%
370
VALERO ENERGY CORP
91913Y100
COM$4.84M0.03%37,225+337.6%
371
HESS CORP
42809H107
COM$4.79M0.03%33,236+112.4%
372
IQIYI INC
46267X108
SPONSORED ADS$4.76M0.03%976,310-11.8%
373
AGREE RLTY CORP
008492100
COM$4.73M0.03%75,070-25.7%
374
HAEMONETICS CORP MASS
405024100
COM$4.68M0.03%54,739-9.0%
375
ATMOS ENERGY CORP
049560105
COM$4.66M0.03%40,244New
376
INTERCONTINENTAL EXCHANGE IN
45866F104
COM$4.63M0.03%36,084New
377
PERMIAN RESOURCES CORP
71424F105
CLASS A COM$4.61M0.03%339,157-46.1%
378
AVNET INC
053807103
COM$4.59M0.03%91,154+6.1%
379
STRIDE INC
86333M108
COM$4.59M0.03%77,319-7.2%
380
ARCH CAP GROUP LTD
G0450A105
ORD$4.59M0.03%61,780New
381
LANTHEUS HLDGS INC
516544103
COM$4.44M0.02%71,671-9.8%
382
J & J SNACK FOODS CORP
466032109
COM$4.4M0.02%26,341+146.4%
383
ENVISTA HOLDINGS CORPORATION
29415F104
COM$4.39M0.02%182,477-5.5%
384
MASONITE INTL CORP
575385109
COM$4.37M0.02%51,657New
385
SENSATA TECHNOLOGIES HLDG PL
G8060N102
SHS$4.35M0.02%115,865+24.2%
386
LIBERTY ENERGY INC
53115L104
COM CL A$4.3M0.02%237,064New
387
WORTHINGTON ENTERPRISES INC
981811102
COM$4.3M0.02%74,691+454.3%
388
SS&C TECHNOLOGIES HLDGS INC
78467J100
COM$4.29M0.02%70,272+195.8%
389
ERO COPPER CORP
296006109
COM$4.27M0.02%268,663New
390
CIVITAS RESOURCES INC
17888H103
COM NEW$4.24M0.02%62,000-11.7%
391
QIFU TECHNOLOGY INC
88557W101
AMERICAN DEP$4.18M0.02%264,354-10.9%
392
SEALED AIR CORP NEW
81211K100
COM$4.12M0.02%112,725-52.5%
393
CENTRAL GARDEN & PET CO
153527205
CL A NON-VTG$4.12M0.02%93,457-8.4%
394
STRATEGIC ED INC
86272C103
COM$4.09M0.02%44,330+117.2%
395
GRAHAM HLDGS CO
384637104
COM CL B$4.09M0.02%5,865-12.2%
396
SCHRODINGER INC
80810D103
COM$4.07M0.02%113,800-8.1%
397
AGILON HEALTH INC
00857U107
COM$4.07M0.02%324,060+6.4%
398
SIRIUS XM HOLDINGS INC
82968B103
COM$4.07M0.02%743,364New
399
ZOETIS INC
98978V103
CL A$4.04M0.02%20,455-75.7%
400
DICKS SPORTING GOODS INC
253393102
COM$4.03M0.02%27,445-45.9%
401
PAR PAC HOLDINGS INC
69888T207
COM NEW$4.03M0.02%110,834-23.3%
402
EMERSON ELEC CO
291011104
COM$4.01M0.02%41,228+681.4%
403
TREEHOUSE FOODS INC
89469A104
COM$3.98M0.02%95,933+159.4%
404
CAL MAINE FOODS INC
128030202
COM NEW$3.96M0.02%68,968-10.2%
405
FIRST SOLAR INC
336433107
COM$3.96M0.02%22,967+17.2%
406
QUIDELORTHO CORP
219798105
COM$3.93M0.02%53,340-9.6%
407
ROBERT HALF INC.
770323103
COM$3.85M0.02%43,845-75.5%
408
GODADDY INC
380237107
CL A$3.85M0.02%36,309+380.3%
409
CERTARA INC
15687V109
COM$3.85M0.02%218,624-10.2%
410
PENSKE AUTOMOTIVE GRP INC
70959W103
COM$3.84M0.02%23,948+52.2%
411
NXP SEMICONDUCTORS N V
N6596X109
COM$3.82M0.02%16,645-57.5%
412
WARNER BROS DISCOVERY INC
934423104
COM SER A$3.81M0.02%335,126New
413
BUNGE GLOBAL SA
H11356104
COM SHS$3.78M0.02%37,438New
414
AUTOHOME INC
05278C107
SP ADS RP CL A$3.78M0.02%134,563-11.5%
415
BORGWARNER INC
099724106
COM$3.73M0.02%103,949-37.6%
416
ADOBE INC
00724F101
COM$3.7M0.02%6,206-1.4%
417
PRICESMART INC
741511109
COM$3.7M0.02%48,825-8.7%
418
QORVO INC
74736K101
COM$3.66M0.02%32,509+225.6%
419
PUBLIC SVC ENTERPRISE GRP IN
744573106
COM$3.65M0.02%59,673+114.2%
420
INARI MED INC
45332Y109
COM$3.63M0.02%55,910-8.4%
421
PAPA JOHNS INTL INC
698813102
COM$3.61M0.02%47,294-4.2%
422
DAQO NEW ENERGY CORP
23703Q203
SPNSRD ADS NEW$3.57M0.02%134,055-10.3%
423
MARRIOTT VACATIONS WORLDWIDE
57164Y107
COM$3.51M0.02%41,361-26.7%
424
GLAUKOS CORP
377322102
COM$3.49M0.02%43,932+118.5%
425
JOYY INC
46591M109
ADS REPSTG COM A$3.49M0.02%87,960-17.6%
426
GALLAGHER ARTHUR J & CO
363576109
COM$3.49M0.02%15,505New
427
INTEGER HLDGS CORP
45826H109
COM$3.48M0.02%35,103+315.6%
428
SBA COMMUNICATIONS CORP NEW
78410G104
CL A$3.48M0.02%13,705+17.9%
429
MOLINA HEALTHCARE INC
60855R100
COM$3.43M0.02%9,507-5.4%
430
EVERTEC INC
30040P103
COM$3.42M0.02%83,511-14.7%
431
AXONICS INC
05465P101
COM$3.37M0.02%54,156-10.2%
432
INTEGRA LIFESCIENCES HLDGS C
457985208
COM NEW$3.33M0.02%76,374-13.4%
433
WORKDAY INC
98138H101
CL A$3.32M0.02%12,015-44.9%
434
AMEDISYS INC
023436108
COM$3.29M0.02%34,646-9.5%
435
LINDE PLC
G54950103
SHS$3.28M0.02%7,996+0.1%
436
AMERIPRISE FINL INC
03076C106
COM$3.27M0.02%8,603-86.2%
437
EURONET WORLDWIDE INC
298736109
COM$3.27M0.02%32,187New
438
INGEVITY CORP
45688C107
COM$3.26M0.02%68,998-34.3%
439
BLACKSTONE INC
09260D107
COM$3.22M0.02%24,610
440
SPLUNK INC
848637104
COM$3.2M0.02%20,985New
441
ASBURY AUTOMOTIVE GROUP INC
043436104
COM$3.18M0.02%14,118+728.0%
442
PLANET FITNESS INC
72703H101
CL A$3.15M0.02%43,095New
443
BP PLC
055622104
SPONSORED ADR$3.12M0.02%88,159New
444
DT MIDSTREAM INC
23345M107
COMMON STOCK$3.12M0.02%56,949-41.3%
445
NEUROCRINE BIOSCIENCES INC
64125C109
COM$3.1M0.02%23,505-57.3%
446
CRACKER BARREL OLD CTRY STOR
22410J106
COM$3.09M0.02%40,090+61.7%
447
TAYLOR MORRISON HOME CORP
87724P106
COM$3.08M0.02%57,793-36.4%
448
PALO ALTO NETWORKS INC
697435105
COM$3.05M0.02%10,350
449
QUALYS INC
74758T303
COM$3.04M0.02%15,485-38.7%
450
AMKOR TECHNOLOGY INC
031652100
COM$3.03M0.02%90,958-22.9%
451
DANAHER CORPORATION
235851102
COM$3.02M0.02%13,056-8.2%
452
MATADOR RES CO
576485205
COM$3.02M0.02%53,092New
453
VALARIS LTD
G9460G101
CL A$3.01M0.02%43,946-40.9%
454
ENPHASE ENERGY INC
29355A107
COM$2.97M0.02%22,473-75.8%
455
CIRRUS LOGIC INC
172755100
COM$2.96M0.02%35,536+1.9%
456
FEDEX CORP
31428X106
COM$2.93M0.02%11,601New
457
PINNACLE WEST CAP CORP
723484101
COM$2.89M0.02%40,287New
458
PREMIER INC
74051N102
CL A$2.88M0.02%128,632-10.1%
459
PALANTIR TECHNOLOGIES INC
69608A108
CL A$2.85M0.02%165,947-52.5%
460
MANPOWERGROUP INC WIS
56418H100
COM$2.84M0.02%35,770+6.8%
461
FIRSTCASH HOLDINGS INC
33768G107
COM$2.84M0.02%26,203+103.6%
462
TRAVEL PLUS LEISURE CO
894164102
COM$2.82M0.02%72,100-20.0%
463
MACYS INC
55616P104
COM$2.8M0.02%139,351New
464
SYNCHRONY FINANCIAL
87165B103
COM$2.79M0.02%73,018+162.3%
465
BRINKS CO
109696104
COM$2.78M0.02%31,628-19.4%
466
APPFOLIO INC
03783C100
COM CL A$2.77M0.02%15,967+10.1%
467
HERBALIFE LTD
G4412G101
COM SHS$2.75M0.02%179,887-63.4%
468
BROWN & BROWN INC
115236101
COM$2.74M0.02%38,500New
469
REYNOLDS CONSUMER PRODS INC
76171L106
COM$2.72M0.02%101,350-9.0%
470
TRI POINTE HOMES INC
87265H109
COM$2.71M0.02%76,605+8.8%
471
CAVCO INDS INC DEL
149568107
COM$2.7M0.02%7,778-53.0%
472
APPLIED MATLS INC
038222105
COM$2.69M0.02%16,605+152.5%
473
AMERICAN WTR WKS CO INC NEW
030420103
COM$2.69M0.02%20,355-13.1%
474
KINSALE CAP GROUP INC
49714P108
COM$2.66M0.01%7,953+66.6%
475
PRIVIA HEALTH GROUP INC
74276R102
COM$2.66M0.01%115,290-9.3%
476
BROOKFIELD ASSET MANAGMT LTD
113004105
CL A LMT VTG SHS$2.63M0.01%65,259+21.4%
477
CLARIVATE PLC
G21810109
ORD SHS$2.58M0.01%278,396-5.5%
478
CARTERS INC
146229109
COM$2.57M0.01%34,265+2.6%
479
PATTERSON COS INC
703395103
COM$2.55M0.01%89,459-12.6%
480
SAREPTA THERAPEUTICS INC
803607100
COM$2.54M0.01%26,388-47.7%
481
ALLEGION PLC
G0176J109
ORD SHS$2.53M0.01%19,960New
482
XYLEM INC
98419M100
COM$2.52M0.01%22,056-3.6%
483
SALESFORCE INC
79466L302
COM$2.51M0.01%9,523+7.9%
484
MERCADOLIBRE INC
58733R102
COM$2.47M0.01%1,570
485
WESTERN UN CO
959802109
COM$2.45M0.01%205,399+5.7%
486
IDACORP INC
451107106
COM$2.44M0.01%24,842New
487
CARLISLE COS INC
142339100
COM$2.44M0.01%7,797-72.6%
488
MGP INGREDIENTS INC NEW
55303J106
COM$2.42M0.01%24,537-8.9%
489
CORVEL CORP
221006109
COM$2.39M0.01%9,664-10.6%
490
INTERPUBLIC GROUP COS INC
460690100
COM$2.37M0.01%72,739-35.3%
491
CHEGG INC
163092109
COM$2.37M0.01%208,806+86.1%
492
DIAMOND OFFSHORE DRILLING IN
25271C201
COM$2.35M0.01%180,630New
493
BCE INC
05534B760
COM NEW$2.35M0.01%59,278+19.9%
494
WATSCO INC
942622200
COM$2.32M0.01%5,411+243.6%
495
LI AUTO INC
50202M102
SPONSORED ADS$2.31M0.01%61,722New
496
FRANCO NEV CORP
351858105
COM$2.3M0.01%20,653+106.9%
497
MGIC INVT CORP WIS
552848103
COM$2.29M0.01%118,864-42.5%
498
ICU MED INC
44930G107
COM$2.25M0.01%22,534+372.9%
499
INGLES MKTS INC
457030104
CL A$2.19M0.01%25,319-9.3%
500
ACCENTURE PLC IRELAND
G1151C101
SHS CLASS A$2.18M0.01%6,216New
501
NATIONAL BEVERAGE CORP
635017106
COM$2.18M0.01%43,861-9.7%
502
INSIGHT ENTERPRISES INC
45765U103
COM$2.14M0.01%12,055New
503
TOOTSIE ROLL INDS INC
890516107
COM$2.14M0.01%64,231-11.7%
504
PERDOCEO ED CORP
71363P106
COM$2.12M0.01%120,822-9.2%
505
WHEATON PRECIOUS METALS CORP
962879102
COM$2.1M0.01%42,634+2.3%
506
LULULEMON ATHLETICA INC
550021109
COM$2.08M0.01%4,070
507
URANIUM ENERGY CORP
916896103
COM$2.05M0.01%320,925New
508
CONSOLIDATED EDISON INC
209115104
COM$2.05M0.01%22,571-78.3%
509
TOPBUILD CORP
89055F103
COM$2.05M0.01%5,479+3.7%
510
AIRBNB INC
009066101
COM CL A$2.05M0.01%15,037-94.5%
511
HUDBAY MINERALS INC
443628102
COM$2.04M0.01%369,646-40.1%
512
TANDEM DIABETES CARE INC
875372203
COM NEW$2.02M0.01%68,384-11.8%
513
KKR & CO INC
48251W104
COM$2.02M0.01%24,410
514
GREEN PLAINS INC
393222104
COM$2.01M0.01%79,573-40.4%
515
BROADCOM INC
11135F101
COM$2M0.01%1,790-96.7%
516
CROWDSTRIKE HLDGS INC
22788C105
CL A$1.99M0.01%7,805-12.0%
517
ESSENT GROUP LTD
G3198U102
COM$1.99M0.01%37,723-28.3%
518
UNITED THERAPEUTICS CORP DEL
91307C102
COM$1.98M0.01%9,019-50.3%
519
PILGRIMS PRIDE CORP
72147K108
COM$1.96M0.01%70,900-10.2%
520
ADVANCED DRAIN SYS INC DEL
00790R104
COM$1.96M0.01%13,917+113.0%
521
NEXTERA ENERGY INC
65339F101
COM$1.94M0.01%31,937-78.2%
522
LAMAR ADVERTISING CO NEW
512816109
CL A$1.94M0.01%18,218-25.0%
523
SWEETGREEN INC
87043Q108
COM CL A$1.93M0.01%170,823-7.9%
524
KEURIG DR PEPPER INC
49271V100
COM$1.91M0.01%57,233New
525
LYFT INC
55087P104
CL A COM$1.87M0.01%124,440New
526
WEIS MKTS INC
948849104
COM$1.84M0.01%28,835-1.9%
527
TREX CO INC
89531P105
COM$1.83M0.01%22,143New
528
SNOWFLAKE INC
833445109
CL A$1.83M0.01%9,210-9.3%
529
PHREESIA INC
71944F106
COM$1.83M0.01%79,038-17.6%
530
AMERICAN EXPRESS CO
025816109
COM$1.82M0.01%9,727+16.4%
531
MARVELL TECHNOLOGY INC
573874104
COM$1.82M0.01%30,210
532
OMNICELL COM
68213N109
COM$1.82M0.01%48,272+322.2%
533
AVALONBAY CMNTYS INC
053484101
COM$1.81M0.01%9,644-2.1%
534
WEIBO CORP
948596101
SPONSORED ADR$1.78M0.01%162,739-11.5%
535
CATERPILLAR INC
149123101
COM$1.77M0.01%5,997New
536
NU SKIN ENTERPRISES INC
67018T105
CL A$1.77M0.01%90,936-24.2%
537
PAYLOCITY HLDG CORP
70438V106
COM$1.76M0.01%10,684New
538
ULTA BEAUTY INC
90384S303
COM$1.75M0.01%3,579-91.9%
539
APOLLO MED HLDGS INC
03763A207
COM NEW$1.74M0.01%45,550-4.1%
540
TRANSOCEAN LTD
H8817H100
REG SHS$1.74M0.01%274,194New
541
PPL CORP
69351T106
COM$1.74M0.01%64,177+23.7%
542
HOULIHAN LOKEY INC
441593100
CL A$1.72M0.01%14,377+11.2%
543
ARRAY TECHNOLOGIES INC
04271T100
COM SHS$1.72M0.01%102,585-16.7%
544
UFP INDUSTRIES INC
90278Q108
COM$1.72M0.01%13,667-73.2%
545
TECK RESOURCES LTD
878742204
CL B$1.71M0.01%40,298-71.3%
546
HAIN CELESTIAL GROUP INC
405217100
COM$1.71M0.01%156,238-8.0%
547
BILL HOLDINGS INC
090043100
COM$1.7M0.01%20,844+954.9%
548
VODAFONE GROUP PLC NEW
92857W308
SPONSORED ADR$1.69M0.01%194,205-2.2%
549
VIATRIS INC
92556V106
COM$1.69M0.01%155,987-28.0%
550
EXELON CORP
30161N101
COM$1.68M0.01%46,851-79.2%
551
EQUINIX INC
29444U700
COM$1.68M0.01%2,085New
552
AUTOLIV INC
052800109
COM$1.66M0.01%15,049+95.6%
553
SMITH & NEPHEW PLC
83175M205
SPDN ADR NEW$1.63M0.01%59,891-14.9%
554
SEABOARD CORP DEL
811543107
COM$1.63M0.01%457-29.5%
555
STAAR SURGICAL CO
852312305
COM PAR $0.01$1.63M0.01%52,173-10.0%
556
COMFORT SYS USA INC
199908104
COM$1.62M0.01%7,854+8.8%
557
TELUS CORPORATION
87971M103
COM$1.61M0.01%90,219+1.5%
558
ADDUS HOMECARE CORP
006739106
COM$1.6M0.01%17,242-9.5%
559
R1 RCM INC
77634L105
COM$1.6M0.01%151,363-26.2%
560
SANFILIPPO JOHN B & SON INC
800422107
COM$1.6M0.01%15,518-8.9%
561
WYNDHAM HOTELS & RESORTS INC
98311A105
COM$1.57M0.01%19,513New
562
KILROY RLTY CORP
49427F108
COM$1.56M0.01%39,219-11.7%
563
TC ENERGY CORP
87807B107
COM$1.56M0.01%39,797New
564
REDWOOD TRUST INC
758075402
COM$1.56M0.01%210,665New
565
ORMAT TECHNOLOGIES INC
686688102
COM$1.56M0.01%20,578+89.0%
566
NEWMONT CORP
651639106
COM$1.56M0.01%37,648New
567
BOSTON PROPERTIES INC
101121101
COM$1.55M0.01%22,148-11.3%
568
WEST PHARMACEUTICAL SVSC INC
955306105
COM$1.55M0.01%4,393-5.6%
569
UNITED RENTALS INC
911363109
COM$1.53M0.01%2,660-55.5%
570
LEIDOS HOLDINGS INC
525327102
COM$1.49M0.01%13,807+147.3%
571
U S PHYSICAL THERAPY
90337L108
COM$1.48M0.01%15,918-9.8%
572
INSTALLED BLDG PRODS INC
45780R101
COM$1.46M0.01%8,013-1.3%
573
BLUE OWL CAPITAL CORPORATION
69121K104
COM$1.46M0.01%99,058+13.0%
574
ALEXANDRIA REAL ESTATE EQ IN
015271109
COM$1.45M0.01%11,464+18.2%
575
WP CAREY INC
92936U109
COM$1.45M0.01%22,329+75.8%
576
M/I HOMES INC
55305B101
COM$1.44M0.01%10,484-6.0%
577
SKYLINE CHAMPION CORPORATION
830830105
COM$1.44M0.01%19,436+21.4%
578
PJT PARTNERS INC
69343T107
COM CL A$1.44M0.01%14,165New
579
CHOICE HOTELS INTL INC
169905106
COM$1.44M0.01%12,725+24.7%
580
FREEPORT-MCMORAN INC
35671D857
CL B$1.43M0.01%33,609-42.3%
581
HAMILTON LANE INC
407497106
CL A$1.43M0.01%12,594+7.8%
582
INSPIRE MED SYS INC
457730109
COM$1.43M0.01%7,005-80.1%
583
CLEAN HARBORS INC
184496107
COM$1.42M0.01%8,149New
584
AIR PRODS & CHEMS INC
009158106
COM$1.42M0.01%5,181-3.7%
585
NISOURCE INC
65473P105
COM$1.41M0.01%53,012New
586
ARMSTRONG WORLD INDS INC NEW
04247X102
COM$1.4M0.01%14,219-74.2%
587
BOISE CASCADE CO DEL
09739D100
COM$1.39M0.01%10,774New
588
LUFAX HOLDING LTD
54975P201
SPONSORED ADR$1.37M0.01%445,703New
589
RADIAN GROUP INC
750236101
COM$1.36M0.01%47,792+13.2%
590
BLOCK INC
852234103
CL A$1.36M0.01%17,540
591
PROLOGIS INC.
74340W103
COM$1.36M0.01%10,173+5.1%
592
CBOE GLOBAL MKTS INC
12503M108
COM$1.36M0.01%7,594-87.6%
593
AGILENT TECHNOLOGIES INC
00846U101
COM$1.34M0.01%9,657-6.9%
594
MEDIFAST INC
58470H101
COM$1.34M0.01%19,910-9.2%
595
EQUIFAX INC
294429105
COM$1.34M0.01%5,410New
596
HEALTHPEAK PROPERTIES INC
42250P103
COM$1.34M0.01%67,495+1.2%
597
ENVIRI CORP
415864107
COM$1.34M0.01%148,459New
598
CSW INDUSTRIALS INC
126402106
COM$1.32M0.01%6,374+9.9%
599
UFP TECHNOLOGIES INC
902673102
COM$1.32M0.01%7,680-8.0%
600
GRIFFON CORP
398433102
COM$1.29M0.01%21,231New
601
NOVOCURE LTD
G6674U108
ORD SHS$1.29M0.01%86,176+217.7%
602
JEFFERIES FINL GROUP INC
47233W109
COM$1.28M0.01%31,693+171.0%
603
FOUR CORNERS PPTY TR INC
35086T109
COM$1.28M0.01%50,559-11.8%
604
MSA SAFETY INC
553498106
COM$1.27M0.01%7,535-6.4%
605
HOST HOTELS & RESORTS INC
44107P104
COM$1.27M0.01%65,039-16.6%
606
ARTISAN PARTNERS ASSET MGMT
04316A108
CL A$1.23M0.01%27,890+4.0%
607
NATIONAL HEALTHCARE CORP
635906100
COM$1.23M0.01%13,306-9.9%
608
LEMAITRE VASCULAR INC
525558201
COM$1.21M0.01%21,401-9.5%
609
ROGERS COMMUNICATIONS INC
775109200
CL B$1.21M0.01%25,758+23.0%
610
NEXTRACKER INC
65290E101
CLASS A COM$1.2M0.01%25,532-64.3%
611
INSPERITY INC
45778Q107
COM$1.2M0.01%10,202-7.1%
612
LOWES COS INC
548661107
COM$1.19M0.01%5,369-97.2%
613
CENTURY ALUM CO
156431108
COM$1.19M0.01%98,250New
614
POTLATCHDELTIC CORPORATION
737630103
COM$1.18M0.01%24,027New
615
NMI HLDGS INC
629209305
CL A$1.17M0.01%39,579+12.1%
616
DIGITAL RLTY TR INC
253868103
COM$1.17M0.01%8,702+31.7%
617
ECOLAB INC
278865100
COM$1.16M0.01%5,824-0.1%
618
GREEN BRICK PARTNERS INC
392709101
COM$1.15M0.01%22,221+2.9%
619
ALKERMES PLC
G01767105
SHS$1.14M0.01%40,984+24.6%
620
MAIN STR CAP CORP
56035L104
COM$1.12M0.01%26,019New
621
SHAKE SHACK INC
819047101
CL A$1.12M0.01%15,096-7.5%
622
VORNADO RLTY TR
929042109
SH BEN INT$1.11M0.01%39,449-12.3%
623
ETSY INC
29786A106
COM$1.1M0.01%13,538-88.5%
624
AAON INC
000360206
COM PAR $0.004$1.1M0.01%14,840-25.2%
625
XEROX HOLDINGS CORP
98421M106
COM NEW$1.09M0.01%59,260-46.0%
626
CNX RES CORP
12653C108
COM$1.08M0.01%54,222-67.7%
627
SHERWIN WILLIAMS CO
824348106
COM$1.08M0.01%3,476+12.6%
628
EASTGROUP PPTYS INC
277276101
COM$1.08M0.01%5,895-26.5%
629
CROSS CTRY HEALTHCARE INC
227483104
COM$1.08M0.01%47,593-1.3%
630
TIMKEN CO
887389104
COM$1.05M0.01%13,118-65.0%
631
ALCOA CORP
013872106
COM$1.05M0.01%30,906-2.8%
632
NEW YORK TIMES CO
650111107
CL A$1.02M0.01%20,831New
633
US FOODS HLDG CORP
912008109
COM$1.02M0.01%22,463New
634
NEOGEN CORP
640491106
COM$1M0.01%49,826-3.8%
635
CELESTICA INC
15101Q108
SUB VTG SHS$984.64K0.01%33,593New
636
LKQ CORP
501889208
COM$978.84K0.01%20,482+18.2%
637
IQVIA HLDGS INC
46266C105
COM$958.84K0.01%4,144-3.2%
638
SUNRUN INC
86771W105
COM$956.85K0.01%48,744-7.0%
639
BARRICK GOLD CORP
067901108
COM$956.29K0.01%52,672-42.2%
640
GUARDANT HEALTH INC
40131M109
COM$949.92K0.01%35,117-5.2%
641
STANTEC INC
85472N109
COM$946.09K0.01%11,727+0.2%
642
ACCOLADE INC
00437E102
COM$942.34K0.01%78,463-11.5%
643
DTE ENERGY CO
233331107
COM$939.64K0.01%8,522New
644
TRANE TECHNOLOGIES PLC
G8994E103
SHS$937.06K0.01%3,842New
645
INTERNATIONAL FLAVORS&FRAGRA
459506101
COM$930.67K0.01%11,494-0.0%
646
WATERS CORP
941848103
COM$899.46K0.01%2,732-75.4%
647
STEM INC
85859N102
COM$890.67K0.00%229,555New
648
SI-BONE INC
825704109
COM$886.45K0.00%42,232-8.1%
649
CONCENTRIX CORP
20602D101
COM$886.25K0.00%9,024New
650
FLUENCE ENERGY INC
34379V103
COM CL A$883.57K0.00%37,047New
651
SEA LTD
81141R100
SPONSORD ADS$881.89K0.00%21,775-36.9%
652
AMERICAN TOWER CORP NEW
03027X100
COM$879.93K0.00%4,076New
653
STIFEL FINL CORP
860630102
COM$878.83K0.00%12,709-66.0%
654
MERITAGE HOMES CORP
59001A102
COM$869.43K0.00%4,991-12.4%
655
CARETRUST REIT INC
14174T107
COM$864.83K0.00%38,643-20.8%
656
L3HARRIS TECHNOLOGIES INC
502431109
COM$862.28K0.00%4,094-95.0%
657
MURPHY OIL CORP
626717102
COM$849.02K0.00%19,902+348.0%
658
CENTERPOINT ENERGY INC
15189T107
COM$837.82K0.00%29,325-7.7%
659
PEDIATRIX MEDICAL GROUP INC
58502B106
COM$822.75K0.00%88,468-21.4%
660
NEVRO CORP
64157F103
COM$814.17K0.00%37,833-10.5%
661
CALIFORNIA WTR SVC GROUP
130788102
COM$814.1K0.00%15,695-5.6%
662
CLEAN ENERGY FUELS CORP
184499101
COM$801.15K0.00%209,178New
663
DOMINOS PIZZA INC
25754A201
COM$792.31K0.00%1,922+14.0%
664
REVVITY INC
714046109
COM$786.92K0.00%7,199-86.3%
665
IRHYTHM TECHNOLOGIES INC
450056106
COM$777.54K0.00%7,264-4.8%
666
HUBSPOT INC
443573100
COM$764.57K0.00%1,317+11.0%
667
TEVA PHARMACEUTICAL INDS LTD
881624209
SPONSORED ADS$762.89K0.00%73,074-62.4%
668
SUN CMNTYS INC
866674104
COM$762.21K0.00%5,703New
669
ADAPTHEALTH CORP
00653Q102
COMMON STOCK$749.57K0.00%102,822-6.8%
670
ILLUMINA INC
452327109
COM$744.1K0.00%5,344-2.0%
671
TERRENO RLTY CORP
88146M101
COM$742.01K0.00%11,840-23.0%
672
AVANOS MED INC
05350V106
COM$735.48K0.00%32,790-39.7%
673
ATRICURE INC
04963C209
COM$729.15K0.00%20,430-6.9%
674
ISHARES TR
464288513
IBOXX HI YD ETF$683.04K0.00%8,826
675
THE BEAUTY HEALTH COMPANY
88331L108
COM CL A$680.99K0.00%218,967-13.2%
676
ITRON INC
465741106
COM$676.57K0.00%8,960-22.5%
677
ENTERGY CORP NEW
29364G103
COM$669.57K0.00%6,617New
678
ENOVIS CORPORATION
194014502
COM$666.19K0.00%11,892-21.1%
679
CHARLES RIV LABS INTL INC
159864107
COM$653.65K0.00%2,765-8.0%
680
OLAPLEX HLDGS INC
679369108
COM$653.53K0.00%257,296-0.1%
681
CUBESMART
229663109
COM$651.73K0.00%14,061-63.3%
682
AZENTA INC
114340102
COM$639.94K0.00%9,824-2.6%
683
BERKSHIRE HATHAWAY INC DEL
084670702
CL B NEW$635.21K0.00%1,781-95.6%
684
FULGENT GENETICS INC
359664109
COM$630.59K0.00%21,812-11.2%
685
MACERICH CO
554382101
COM$626.64K0.00%40,612-8.2%
686
VICI PPTYS INC
925652109
COM$625.96K0.00%19,635New
687
EXACT SCIENCES CORP
30063P105
COM$616.33K0.00%8,331+1.1%
688
AVANGRID INC
05351W103
COM$604.64K0.00%18,656-8.0%
689
BRIGHT HORIZONS FAM SOL IN D
109194100
COM$599.27K0.00%6,359-64.8%
690
ROYALTY PHARMA PLC
G7709Q104
SHS CLASS A$594.05K0.00%21,148-89.1%
691
TRANSMEDICS GROUP INC
89377M109
COM$586.13K0.00%7,426-28.2%
692
EVERSOURCE ENERGY
30040W108
COM$583.75K0.00%9,458-2.1%
693
MILLICOM INTL CELLULAR S A
L6388F110
COM STK$573.28K0.00%31,849-12.4%
694
CLEARWAY ENERGY INC
18539C204
CL C$570.98K0.00%20,816-3.8%
695
DARLING INGREDIENTS INC
237266101
COM$564.79K0.00%11,332-92.0%
696
BIO-TECHNE CORP
09073M104
COM$563.42K0.00%7,302-40.7%
697
HANNON ARMSTRONG SUST INFR C
41068X100
COM$559.21K0.00%20,276-3.1%
698
ATRION CORP
049904105
COM$554.17K0.00%1,463-10.6%
699
ORTHOPEDIATRICS CORP
68752L100
COM$548.74K0.00%16,879-9.1%
700
WEST FRASER TIMBER CO LTD
952845105
COM$518.66K0.00%6,033-13.1%
701
VERTIV HOLDINGS CO
92537N108
COM CL A$514.26K0.00%10,707-82.4%
702
SMITH A O CORP
831865209
COM$513.85K0.00%6,233-5.6%
703
ARISTA NETWORKS INC
040413106
COM$513.65K0.00%2,181-94.7%
704
ULTRAGENYX PHARMACEUTICAL IN
90400D108
COM$508.57K0.00%10,635-6.6%
705
HOME DEPOT INC
437076102
COM$507.35K0.00%1,464New
706
INTERNATIONAL PAPER CO
460146103
COM$492.18K0.00%13,615+1.3%
707
NEOGENOMICS INC
64049M209
COM NEW$482.7K0.00%29,833-79.9%
708
BAUSCH HEALTH COS INC
071734107
COM$444.83K0.00%55,223-38.8%
709
PRINCIPAL FINANCIAL GROUP IN
74251V102
COM$444.25K0.00%5,647-73.9%
710
BIONTECH SE
09075V102
SPONSORED ADS$430.92K0.00%4,083New
711
KORN FERRY
500643200
COM NEW$428.45K0.00%7,219-89.8%
712
HANOVER INS GROUP INC
410867105
COM$427.76K0.00%3,523-75.7%
713
TREACE MED CONCEPTS INC
89455T109
COM$427.38K0.00%33,520-32.9%
714
HUDSON PAC PPTYS INC
444097109
COM$427.37K0.00%45,904+5.5%
715
WEX INC
96208T104
COM$421.2K0.00%2,165New
716
CATALENT INC
148806102
COM$418.79K0.00%9,321-2.4%
717
MORGAN STANLEY
617446448
COM NEW$418.04K0.00%4,483+40.0%
718
NORFOLK SOUTHN CORP
655844108
COM$404.68K0.00%1,712-97.4%
719
ORACLE CORP
68389X105
COM$404.22K0.00%3,834New
720
UDR INC
902653104
COM$398.6K0.00%10,410+5.4%
721
PRICE T ROWE GROUP INC
74144T108
COM$384.67K0.00%3,572+10.8%
722
FORTINET INC
34959E109
COM$373.77K0.00%6,386-95.8%
723
ALNYLAM PHARMACEUTICALS INC
02043Q107
COM$373.44K0.00%1,951+3.4%
724
GOLDMAN SACHS GROUP INC
38141G104
COM$329.45K0.00%854-40.4%
725
CONOCOPHILLIPS
20825C104
COM$328.25K0.00%2,828-9.0%
726
CROWN CASTLE INC
22822V101
COM$326.1K0.00%2,831New
727
ALLY FINL INC
02005N100
COM$324.13K0.00%9,282+13.8%
728
MODIVCARE INC
60783X104
COM$323.81K0.00%7,361-48.9%
729
MATCH GROUP INC NEW
57667L107
COM$318.28K0.00%8,720New
730
CONSTELLIUM SE
F21107101
CL A SHS$306.93K0.00%15,377-4.8%
731
SPDR SER TR
78468R622
BLOOMBERG HIGH Y$296.13K0.00%3,126
732
WESCO INTL INC
95082P105
COM$294.21K0.00%1,692New
733
AVERY DENNISON CORP
053611109
COM$287.88K0.00%1,424-37.4%
734
HALOZYME THERAPEUTICS INC
40637H109
COM$261.01K0.00%7,062
735
FIDELITY NATIONAL FINANCIAL
31620R303
FNF GROUP COM$250.46K0.00%4,909-13.6%
736
BIO RAD LABS INC
090572207
CL A$248.95K0.00%771-95.4%
737
VAREX IMAGING CORP
92214X106
COM$242.62K0.00%11,835New
738
COMMERCIAL METALS CO
201723103
COM$232.69K0.00%4,650-71.0%
739
REGAL REXNORD CORPORATION
758750103
COM$216.11K0.00%1,460New
740
APPLE INC
037833100
COM$213.52K0.00%1,109New
741
BRANDYWINE RLTY TR
105368203
SH BEN INT NEW$207.12K0.00%38,355+1.9%
742
SUNPOWER CORP
867652406
COM$199.66K0.00%41,337+9.7%
Total filing value: $17.86B