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Citadel Advisors

CIK 0001423053 · ultimo deposito 13F: 2026-05-15 (confrontato con 2026-02-17)

Valore riportato
$618,473,172,395
Posizioni
6733

Portafoglio

TitoloValoreAzioniVariazione
STATE STR SPDR S&P 500 ETF T
78462F103
$41,989,836,181 64,565,975 +6%
INVESCO QQQ TR
46090E103
$31,844,154,182 55,171,964 -12%
NVIDIA CORPORATION
67066G104
$23,935,207,278 137,243,161 -17%
TESLA INC
88160R101
$23,763,192,721 63,922,509 -31%
SPDR GOLD TR
78463V107
$14,819,928,559 34,441,722 +18%
APPLE INC
037833100
$14,058,207,235 55,393,070 -14%
META PLATFORMS INC
30303M102
$13,712,260,878 23,967,037 -13%
MICROSOFT CORP
594918104
$11,910,746,872 32,176,424 +7%
AMAZON COM INC
023135106
$10,743,074,154 51,582,437 -19%
MICRON TECHNOLOGY INC
595112103
$10,685,802,173 31,629,772 +60%
ALPHABET INC
02079K305
$10,172,487,336 35,375,182 -12%
ISHARES TR
464287655
$9,159,465,344 36,933,328 -11%
NETFLIX INC.
64110L106
$6,676,518,987 69,438,575 -25%
BROADCOM INC
11135F101
$6,474,235,470 20,917,694 -28%
ALPHABET INC
02079K107
$5,658,935,986 19,727,170 -30%
ADVANCED MICRO DEVICES INC
007903107
$5,571,126,860 27,385,965 -27%
TAIWAN SEMICONDUCTOR MANUFAC
874039100
$5,382,753,373 15,927,662 +27%
ISHARES SILVER TR
46428Q109
$5,340,745,128 78,379,001 +23%
PALANTIR TECHNOLOGIES INC
69608A108
$5,197,694,100 35,532,500 -32%
GOLDMAN SACHS GROUP INC
38141G104
$5,034,437,423 5,950,942 +20%
UNITEDHEALTH GROUP INC
91324P102
$4,806,850,055 17,764,330 -34%
ISHARES TR
464288513
$4,388,830,814 55,163,786 -2%
ISHARES TR
464287432
$4,272,301,485 49,282,518 +12%
SANDISK CORP
80004C200
$4,194,331,067 6,601,711 +461%
JPMORGAN CHASE & CO
46625H100
$3,556,651,202 12,090,873 -9%
ASML HLDG NV
N07059210
$3,377,652,892 2,557,220 +44%
VANECK ETF TRUST
92189F676
$3,374,073,360 8,800,400 -10%
ELI LILLY & CO
532457108
$3,260,229,619 3,544,614 -40%
BOOKING HOLDINGS INC
09857L108
$2,966,317,801 704,535 -24%
COSTCO WHOLESALE CORPORATION
22160K105
$2,954,509,611 2,965,095 -8%
ORACLE CORP
68389X105
$2,946,692,445 20,030,538 -30%
STATE STR SPDR DOW JONES IND
78467X109
$2,944,169,502 6,356,289 -22%
ISHARES TR
464287200
$2,913,871,829 4,460,850 +626%
CATERPILLAR INC
149123101
$2,790,290,255 3,938,529 +66%
EXXON MOBIL CORP
30231G102
$2,729,092,397 16,085,656 +127%
STRATEGY INC
594972408
$2,633,439,619 21,101,279 -20%
INTEL CORP
458140100
$2,435,338,145 55,185,546 -19%
BERKSHIRE HATHAWAY INC DEL
084670702
$2,434,719,360 5,080,800 -4%
UNITED STS OIL FD LP
91232N207
$2,408,110,685 18,924,249 +743%
CITIGROUP INC
172967424
$2,364,454,923 20,848,734 -12%
SELECT SECTOR SPDR TR
81369Y605
$2,270,092,091 45,981,205 +171%
SALESFORCE INC
79466L302
$2,162,858,302 11,586,534 +5%
WALMART INC
931142103
$2,132,250,211 17,156,825 +9%
CARVANA CO
146869102
$2,090,428,312 6,649,368 -32%
ISHARES INC
464286400
$2,024,779,777 52,742,375 +50%
APPLOVIN CORP
03831W108
$2,015,257,478 5,063,461 -32%
GE VERNOVA INC
36828A101
$2,013,772,444 2,306,991 +31%
ISHARES TR
464287234
$2,010,286,494 35,398,600 +53%
JOHNSON & JOHNSON
478160104
$2,001,224,413 8,186,976 +50%
CROWDSTRIKE HLDGS INC
22788C105
$1,901,381,809 4,870,218 -16%
COINBASE GLOBAL INC
19260Q107
$1,881,153,501 10,773,458 -11%
BOEING CO
097023105
$1,861,746,125 9,354,098 -23%
CHEVRON CORPORATION
166764100
$1,707,246,729 8,251,555 +87%
LUMENTUM HLDGS INC
55024U109
$1,645,475,293 2,341,447 +312%
ALIBABA GROUP HLDG LTD
01609W102
$1,619,518,100 12,908,641 -39%
SELECT SECTOR SPDR TR
81369Y506
$1,614,519,552 26,355,200 +86%
VISA INC
92826C839
$1,605,318,745 5,311,404 -48%
VANECK ETF TRUST
92189F106
$1,591,175,160 17,338,729 +7%
WESTERN DIGITAL CORP
958102105
$1,581,816,864 5,847,968 -10%
MERCK & CO INC
58933Y105
$1,577,750,946 13,116,227 +6%
SPOTIFY TECHNOLOGY S A
L8681T102
$1,477,573,140 3,047,108 +6%
APPLIED MATLS INC
038222105
$1,444,046,345 4,224,952 -11%
MASTERCARD INCORPORATED
57636Q104
$1,428,763,280 2,859,471 +94%
NIKE INC
654106103
$1,426,807,117 27,012,630 -9%
DELL TECHNOLOGIES INC
24703L202
$1,418,110,117 8,640,164 +9%
ISHARES BITCOIN TRUST ETF
46438F101
$1,414,104,962 36,806,480 -47%
ROBINHOOD MKTS INC
770700102
$1,384,670,134 19,980,810 -57%
LAM RESEARCH CORP
512807306
$1,325,660,307 6,204,532 -39%
SEAGATE TECHNOLOGY HLDNGS PL
G7997R103
$1,305,636,181 3,332,745 +11%
LOCKHEED MARTIN CORP
539830109
$1,251,353,836 2,070,441 +47%
FIRST SOLAR INC
336433107
$1,245,409,690 6,313,544 -38%
HOME DEPOT INC
437076102
$1,233,536,808 3,750,606 -19%
PAYPAL HLDGS INC
70450Y103
$1,229,173,827 27,176,074 +9%
COCA COLA CO
191216100
$1,223,136,029 16,083,314 +65%
TARGET CORP
87612E106
$1,219,878,485 10,065,004 +12%
MERCADOLIBRE INC
58733R102
$1,203,954,665 696,322 +15%
MORGAN STANLEY
617446448
$1,198,253,919 7,281,120 -27%
GE AEROSPACE
369604301
$1,196,958,886 4,218,060 -13%
COREWEAVE INC
21873S108
$1,193,003,681 15,399,557 -2%
SERVICENOW INC
81762P102
$1,191,112,744 11,392,757 +11%
UNITED AIRLS HLDGS INC
910047109
$1,169,122,445 12,698,191 -4%
VANGUARD INDEX FDS
922908363
$1,167,015,150 1,953,000 +71%
ADOBE INC
00724F101
$1,159,483,821 4,769,968 -36%
VERTIV HOLDINGS CO
92537N108
$1,159,439,423 4,627,023 +4%
ISHARES TR
464287184
$1,125,962,108 31,363,847 +51%
PALO ALTO NETWORKS INC
697435105
$1,124,077,749 7,011,463 -25%
WARNER BROS DISCOVERY INC
934423104
$1,043,537,941 38,002,110 +34%
INTUITIVE SURGICAL INC
46120E602
$1,032,253,879 2,239,211 -11%
SNOWFLAKE INC
833445109
$1,011,247,949 6,704,999 -39%
BLOOM ENERGY CORP
093712107
$1,004,472,729 7,413,630 +28%
WELLS FARGO & CO
949746101
$990,844,688 12,446,234 -30%
ARM HOLDINGS PLC
042068205
$988,073,218 6,531,420 +15%
BANK AMERICA CORP
060505104
$967,487,236 19,845,892 -21%
INTUIT
461202103
$938,575,913 2,170,720 -8%
BLACKROCK INC
09290D101
$923,055,990 959,807 +7%
MARVELL TECHNOLOGY INC
573874104
$914,957,833 9,237,333 -24%
INTERNATIONAL BUSINESS MACHS
459200101
$910,189,963 3,755,064 -44%
QUALCOMM INC
747525103
$902,520,890 7,008,238 -10%
VERIZON COMMUNICATIONS INC
92343V104
$896,474,762 17,858,063 +55%
T-MOBILE US INC
872590104
$890,336,913 4,239,094 +47%
PDD HOLDINGS INC
722304102
$878,347,250 8,596,078 -7%
UBER TECHNOLOGIES INC
90353T100
$863,284,942 12,001,737 -19%
RTX CORPORATION
75513E101
$849,088,123 4,401,701 +29%
GILEAD SCIENCES INC
375558103
$845,095,779 6,063,685 +14%
AST SPACEMOBILE INC
00217D100
$844,016,365 10,184,824 +10%
CIRCLE INTERNET GROUP INC
172573107
$836,374,650 8,766,111 +22%
ABBVIE INC
00287Y109
$812,865,613 3,737,485 -15%
FEDEX CORP
31428X106
$807,852,214 2,268,101 +66%
PFIZER INC
717081103
$797,636,689 28,405,865 -7%
FREEPORT MCMORAN INC
35671D857
$780,678,811 13,281,368 Invariata
ISHARES TR
464287465
$779,012,613 8,020,309 +53%
REDDIT INC
75734B100
$774,102,850 5,749,000 -43%
NORFOLK SOUTHN CORP
655844108
$769,556,634 2,681,382 Invariata
CONSTELLATION ENERGY CORP
21037T109
$768,631,715 2,752,486 -11%
SOFI TECHNOLOGIES INC
83406F102
$759,135,159 47,804,481 -54%
SELECT SECTOR SPDR TR
81369Y100
$755,454,605 15,118,163 +309%
NEWMONT CORP
651639106
$753,559,426 6,961,288 -23%
NOVO-NORDISK A S
670100205
$740,131,219 20,139,625 -53%
KRANESHARES TRUST
500767306
$736,294,270 25,898,497 -21%
CVS HEALTH CORP
126650100
$725,327,632 10,099,243 -16%
MCDONALDS CORP
580135101
$711,535,679 2,289,442 -10%
CONSTELLATION BRANDS INC
21036P108
$706,893,450 4,712,623 +119%
WESTERN DIGITAL CORP
958102AT2
$696,712,587 97,265,000 +67%
CLOUDFLARE INC
18915M107
$694,404,668 3,365,342 +58%
SPDR SERIES TRUST
78464A698
$688,646,576 10,570,170 -8%
ISHARES TR
464287515
$681,274,971 8,510,618 +866%
BLOCK INC
852234103
$679,589,992 11,292,622 +117%
MARRIOTT INTL INC NEW
571903202
$668,844,740 2,044,959 -4%
THERMO FISHER SCIENTIFIC INC
883556102
$666,361,814 1,355,689 -14%
PROSHARES TR
74347X831
$665,378,145 15,963,967 -43%
CORNING INC
219350105
$654,411,780 4,812,913 +94%
ISHARES TR
464287242
$648,512,298 5,950,200 +24%
AMERICAN EXPRESS CO
025816109
$648,364,670 2,143,496 -12%
LULULEMON ATHLETICA INC
550021109
$648,313,892 4,234,578 -59%
ISHARES INC
464286772
$647,811,130 5,266,329 +450%
DELTA AIR LINES INC
247361702
$639,139,319 9,614,009 +1%
SHOPIFY INC
82509L107
$635,183,174 5,354,773 -31%
CISCO SYS INC
17275R102
$632,112,229 8,146,826 -58%
AIRBNB INC
009066101
$631,383,837 4,999,872 -22%
STARBUCKS CORP
855244109
$625,347,606 6,980,105 -15%
IREN LIMITED
Q4982L109
$625,181,980 18,237,514 -27%
DEERE & CO
244199105
$623,493,111 1,106,858 +66%
NEBIUS GROUP N.V.
N97284108
$620,927,648 5,984,268 -14%
DISNEY WALT CO
254687106
$619,913,462 6,431,972 -15%
ELECTRONIC ARTS INC
285512109
$619,378,262 3,038,104 +132%
COHERENT CORP
19247G107
$616,795,723 2,589,294 +13%
DIREXION SHARES ETF TRUST
25459W458
$614,824,239 12,832,900 -11%
SELECT SECTOR SPDR TR
81369Y803
$611,842,495 4,603,781 -38%
ECHOSTAR CORP
278768106
$605,688,104 5,173,726 +52%
MONGODB INC
60937P106
$599,994,176 2,451,257 -52%
ROCKET LAB CORP
773121108
$596,949,368 9,295,381 -30%
OCCIDENTAL PETE CORP
674599105
$591,904,885 9,106,229 +41%
SPDR SERIES TRUST
78468R556
$587,810,205 3,232,746 +75%
CARDINAL HEALTH INC
14149Y108
$578,891,775 2,739,538 +26%
SPDR SERIES TRUST
78464A870
$578,565,808 4,529,600 -24%
BRISTOL-MYERS SQUIBB CO
110122108
$578,002,627 9,530,134 +20%
ROSS STORES INC
778296103
$555,592,911 2,564,709 -9%
ELEVANCE HEALTH INC FORMERLY
036752103
$554,708,262 1,894,819 -33%
ACCENTURE PLC IRELAND
G1151C101
$553,503,732 2,791,385 -25%
UNITED PARCEL SVCS INC
911312106
$551,837,129 5,609,241 -34%
ANALOG DEVICES INC
032654105
$550,221,540 1,729,495 -15%
CONOCOPHILLIPS
20825C104
$546,432,348 4,139,639 +64%
AMGEN INC
031162100
$543,243,381 1,543,963 -3%
SHELL PLC
780259305
$542,957,343 5,838,251 +152%
DATADOG INC
23804L103
$540,160,795 4,575,695 -10%
NEXTERA ENERGY INC
65339F101
$540,155,807 5,815,631 +14%
PROCTER & GAMBLE CO
742718109
$532,844,215 3,689,035 -31%
PARKER-HANNIFIN CORP
701094104
$529,188,897 591,114 +14%
VISTRA CORP
92840M102
$527,828,173 3,511,130 -22%
ASTRAZENECA PLC
G0593M107
$519,229,574 2,632,743 Nuova
WASTE CONNECTIONS INC
94106B101
$514,439,358 3,166,950 +171%
SCHWAB CHARLES CORP
808513105
$513,050,729 5,459,148 -37%
CAPITAL ONE FINL CORP
14040H105
$506,755,695 2,777,809 -16%
SELECT SECTOR SPDR TR
81369Y407
$501,377,638 4,600,639 +22%
SEA LTD
81141R100
$499,001,135 6,025,856 +4%
KLA CORP
482480100
$497,207,826 337,683 -28%
SELECT SECTOR SPDR TR
81369Y308
$495,280,039 6,041,474 -30%
BLACKSTONE INC
09260D107
$493,121,046 4,288,382 -42%
OREILLY AUTOMOTIVE INC
67103H107
$491,551,858 5,325,012 -2%
SUPER MICRO COMPUTER INC
86800U302
$478,628,155 21,020,121 -41%
DUKE ENERGY CORP NEW
26441C204
$478,098,210 3,651,277 +41%
BITMINE IMMERSION TECNOLOGIE
09175A206
$474,476,884 23,987,709 +2%
BP PLC
055622104
$473,625,486 10,077,138 +90%
YUM BRANDS INC
988498101
$470,154,729 3,023,892 +190%
SELECT SECTOR SPDR TR
81369Y704
$464,463,330 2,871,844 +2%
VERISK ANALYTICS INC
92345Y106
$463,292,462 2,441,594 +229%
ISHARES TR
464287440
$462,256,482 4,843,425 +26%
GAMESTOP CORP
36467W109
$452,481,615 19,638,959 +26%
AT&T INC
00206R102
$450,745,449 15,548,308 +59%
CHIPOTLE MEXICAN GRILL INC
169656105
$447,237,607 13,971,809 -49%
EQUINIX INC
29444U700
$446,011,160 455,002 -23%
ALTRIA GROUP INC
02209S103
$443,061,809 6,714,075 +84%
TEXAS INSTRS INC
882508104
$437,963,338 2,255,915 -51%
ZOOM COMMUNICATIONS INC
98980L101
$434,287,199 5,402,254 +105%
MSCI INC
55354G100
$427,651,612 793,402 +39%
INSMED INC
457669307
$427,289,370 2,613,071 +36%
ARISTA NETWORKS INC
040413205
$425,450,871 3,465,148 -41%
HONEYWELL INTL INC
438516106
$423,378,149 1,873,106 -42%
AUTOZONE INC
053332102
$423,343,923 125,332 +2%
BOSTON SCIENTIFIC CORP
101137107
$422,910,779 6,739,614 -26%
ROYAL CARIBBEAN GROUP
V7780T103
$419,338,822 1,523,871 +44%
KKR & CO INC
48251W104
$418,018,138 4,519,115 +56%
PEPSICO INC
713448108
$415,465,661 2,675,418 -55%
COMFORT SYS USA INC
199908104
$414,931,196 300,895 +364%
UNITED THERAPEUTICS CORP DEL
91307C102
$413,806,942 697,843 +178%
ALBEMARLE CORP
012653101
$411,541,107 2,292,325 -57%
UNITY SOFTWARE INC
91332U101
$411,085,370 18,736,799 -1%
NU HLDGS LTD
G6683N103
$410,346,229 28,555,757 -5%
GENERAL MTRS CO
37045V100
$404,959,129 5,435,693 -40%
HALLIBURTON CO
406216101
$401,491,532 10,297,295 +114%
US BANCORP
902973304
$394,254,316 7,580,356 +359%
SYNOPSYS INC
871607107
$393,306,575 991,996 -53%
BARRICK MNG CORP
06849F108
$393,075,079 9,636,555 -52%
ABBOTT LABORATORIES
002824100
$392,224,657 3,820,246 -40%
AKAMAI TECHNOLOGIES INC
00971T101
$387,989,830 3,378,231 +97%
LOEWS CORP
540424108
$387,738,067 3,632,547 +4%
COLGATE PALMOLIVE CO
194162103
$384,957,915 4,516,695 -47%
SS&C TECH HLDGS
78467J100
$380,749,518 5,634,890 +478%
NUCOR CORP
670346105
$376,929,988 2,229,036 +5%
BAIDU INC
056752108
$376,897,315 3,382,672 -54%
GLOBAL PMTS INC
37940X102
$376,187,752 5,589,714 +125%
AMPHENOL CORP
032095101
$375,349,209 2,970,710 +82%
SLB LIMITED
806857108
$374,896,936 7,295,134 -15%
OVINTIV INC
69047Q102
$369,298,089 6,221,329 +83%
AIR PRODUCTS AND CHEMICALS I
009158106
$368,873,788 1,269,833 -27%
WELLTOWER INC
95040Q104
$367,941,671 1,861,017 +347%
PERMIAN RESOURCES CORP
71424F105
$365,360,947 17,137,005 +126%
JOHNSON CONTROLS INTERNATION
G51502105
$364,070,988 2,780,229 +31%
MODERNA INC
60770K107
$358,920,796 7,065,370 +2%
PHILIP MORRIS INTL INC
718172109
$356,077,382 2,153,607 +8%
EATON CORP PLC
G29183103
$354,872,663 992,179 -18%
PPL CORP
69351T106
$349,061,477 9,137,735 +381%
LINDE PLC
G54950103
$346,553,592 699,035 -46%
TAKE-TWO INTERACTIVE SOFTWAR
874054109
$346,218,488 1,753,005 +71%
ULTA BEAUTY INC
90384S303
$343,723,119 657,579 -4%
OKTA INC
679295105
$338,571,773 4,301,509 -4%
UNION PAC CORP
907818108
$336,782,763 1,388,108 -24%
REGENERON PHARMACEUTICALS
75886F107
$335,161,188 433,787 -36%
LOWES COS INC
548661107
$332,508,102 1,407,263 +3%
EQT CORP
26884L109
$330,011,138 5,185,593 -2%
CARNIVAL CORP
143658300
$329,852,453 12,745,458 -35%
COMCAST CORP NEW
20030N101
$328,753,703 11,450,843 -4%
DANAHER CORP DEL
235851102
$328,699,471 1,733,647 -47%
TJX COS INC NEW
872540109
$328,300,719 2,055,734 -25%
AFFIRM HLDGS INC
00827B106
$326,468,187 7,125,015 -10%
CAMECO CORP
13321L108
$325,467,895 2,996,666 -40%
CIENA CORP
171779309
$325,000,921 837,135 +6%
ARES MANAGEMENT CORPORATION
03990B101
$324,998,754 2,978,907 +136%
DOW HLDGS INC
260557103
$324,148,580 7,782,679 +42%
AMERICAN AIRLINES GROUP INC
02376R102
$322,722,426 30,048,643 -16%
PROSHARES TR
74350P675
$322,613,579 4,008,120 +58%
AMETEK INC
031100100
$321,271,836 1,498,749 -12%
AMPLIFY ETF TR
032108649
$316,910,988 10,663,223 +188%
MADRIGAL PHARMACEUTICALS INC
558868105
$315,413,184 602,543 +194%
ARK ETF TR
00214Q104
$315,355,677 4,665,715 -35%
CHENIERE ENERGY INC
16411R208
$313,369,505 1,104,347 +119%
HUMANA INC
444859102
$312,682,857 1,803,350 -28%
BEONE MEDICINES LTD
07725L102
$312,560,331 1,052,498 +84%
HOWMET AEROSPACE INC
443201108
$311,925,767 1,353,492 +131%
DOMINION ENERGY INC
25746U109
$311,425,731 5,037,621 +306%
FIRST MAJESTIC SILVER CORP
32076V103
$309,383,507 14,403,329 +78%
SELECT SECTOR SPDR TR
81369Y886
$308,784,907 6,728,806 -24%
KEYSIGHT TECHNOLOGIES INC
49338L103
$306,889,881 1,086,836 +7%
TALEN ENERGY CORP
87422Q109
$305,573,660 957,221 +32%
TERAWULF INC
88080T104
$305,248,382 21,153,734 -8%
S&P GLOBAL INC
78409V104
$305,186,980 717,513 +49%
LENNOX INTL INC
526107107
$304,763,538 656,634 Invariata
DEVON ENERGY CORP NEW
25179M103
$304,625,908 6,053,774 +23%
AUTODESK INC
052769106
$303,294,902 1,266,896 -6%
BANK NEW YORK MELLON CORP
064058100
$303,234,177 2,556,134 +148%
TWILIO INC
90138F102
$303,094,341 2,408,952 -26%
3M CO
88579Y101
$302,640,585 2,083,871 +11%
INTERCONTINENTAL EXCHANGE IN
45866F104
$300,499,483 1,910,602 +255%
STMICROELECTRONICS N V
861012102
$299,818,612 8,677,818 +367%
AGNICO EAGLE MINES LTD
008474108
$297,560,561 1,465,960 -2%
CENCORA INC
03073E105
$295,111,597 939,427 +84%
SELECT SECTOR SPDR TR
81369Y209
$295,052,625 2,012,500 -22%
EBAY INC.
278642103
$293,363,376 3,223,065 +15%
LPL FINL HLDGS INC
50212V100
$293,059,862 974,171 +94%
SOUTHWEST AIRLS CO
844741108
$292,566,381 7,787,234 +24%
CENTERPOINT ENERGY INC
15189T107
$291,268,022 6,748,564 +59%
PAN AMERN SILVER CORP
697900108
$290,889,563 5,324,722 +37%
MP MATERIALS CORP
553368101
$289,300,023 5,994,613 -18%
ISHARES GOLD TR
464285204
$288,408,123 3,271,417 -19%
LIVE NATION ENTERTAINMENT IN
538034109
$288,341,049 1,890,637 +7%
HCA HEALTHCARE INC
40412C101
$286,882,347 606,209 -36%
PINNACLE FINL PARTNERS INC
72348N109
$285,221,686 3,311,141 Nuova
EXPAND ENERGY CORPORATION
165167735
$284,813,122 2,594,399 -6%
ZSCALER INC
98980G102
$284,558,204 2,028,357 -22%
CINTAS CORP
172908105
$283,912,992 1,678,568 +58%
VERTEX PHARMACEUTICALS INC
92532F100
$281,989,117 631,498 -21%
CRH PLC
G25508105
$279,705,819 2,660,824 -6%
TERADYNE INC
880770102
$278,267,732 938,635 -46%
AMERICAN TOWER CORP
03027X100
$277,778,383 1,609,563 -22%
INVESCO EXCHANGE TRADED FD T
46137V357
$276,959,752 1,443,100 -66%
FRANKLIN RESOURCES INC
354613101
$275,317,767 11,656,129 +74%
SIMON PPTY GROUP INC NEW
828806109
$272,967,443 1,463,397 +2%
WILLIAMS COS INC
969457100
$271,886,284 3,735,728 +102%
CME GROUP INC
12572Q105
$270,822,954 916,956 -46%
THE TRADE DESK INC
88339J105
$270,639,649 11,927,706 -31%
OKLO INC
02156V109
$270,060,991 5,445,876 -47%
WORKDAY INC
98138H101
$269,952,843 2,077,839 +65%
DOORDASH INC
25809K105
$266,318,202 1,773,681 -51%
VALERO ENERGY CORP
91913Y100
$265,846,961 1,075,955 -12%
ROBLOX CORP
771049103
$265,709,774 4,697,839 -60%
BIOMARIN PHARMACEUTICAL INC
09061G101
$265,380,643 4,697,834 +166%
PNC FINL SVCS GROUP INC
693475105
$264,059,343 1,268,967 -46%
ENTERGY CORP NEW
29364G103
$263,695,324 2,346,879 +58%
XPO INC
983793100
$261,750,293 1,345,414 +136%
AXON ENTERPRISE INC
05464C101
$258,271,826 608,142 -30%
HUBBELL INC
443510607
$257,830,870 525,392 +1322%
AVALONBAY CMNTYS INC
053484101
$256,484,329 1,570,152 +468%
GAMING & LEISURE P
36467J108
$255,159,757 5,750,727 -21%
WW GRAINGER INC
384802104
$255,061,921 233,828 +25%
CARRIER GLOBAL CORPORATION
14448C104
$254,442,535 4,518,603 -14%
JAZZ PHARMACEUTICALS PLC
G50871105
$254,072,613 1,343,944 +270%
ASTERA LABS INC
04626A103
$252,905,398 2,307,531 -34%
BRIDGEBIO PHARMA INC
10806X102
$251,759,223 3,390,240 +162%
CITIZENS FINL GROUP INC
174610105
$248,842,816 4,149,455 +75%
CREDO TECHNOLOGY GROUP HOLDI
G25457105
$248,528,429 2,647,581 -29%
FORTINET INC
34959E109
$247,985,878 3,034,580 -10%
MEDTRONIC PLC
G5960L103
$246,739,428 2,847,541 -64%
LYONDELLBASELL INDUSTRIES NV
N53745100
$246,267,328 3,056,943 +239%
NVENT ELEC PLC
G6700G107
$244,908,912 2,070,586 -36%
HIMS & HERS HEALTH INC
433000106
$244,764,012 11,790,174 -42%
GENERAL DYNAMICS CORP
369550108
$244,631,085 712,753 +16%
COTERRA ENERGY INC
127097103
$243,136,646 6,919,085 -13%
DIGITALOCEAN HLDGS INC
25402D102
$241,987,181 2,821,021 +105%
UNITED RENTALS INC
911363109
$240,713,310 330,396 -30%
MCKESSON CORP
58155Q103
$240,057,786 277,408 -19%
METLIFE INC
59156R108
$239,743,204 3,390,034 -34%
CELESTICA INC
15101Q207
$239,609,402 850,644 -47%
CORE SCIENTIFIC INC NEW
21874A106
$238,295,671 15,928,855 -27%
ALCOA CORP
013872106
$238,068,452 3,589,152 -20%
MARATHON PETE CORP
56585A102
$237,968,061 974,560 +12%
MKS INC.
55306N104
$237,584,932 1,033,832 +172%
AGILENT TECHNOLOGIES INC
00846U101
$236,042,778 2,070,914 +114%
JABIL INC
466313103
$234,953,985 884,516 +140%
FAIR ISAAC CORP
303250104
$234,373,069 219,545 +2%
DIREXION SHARES ETF TRUST
25460G138
$233,274,520 6,469,066 +117%
PG&E CORP
69331C108
$233,105,688 13,267,256 -28%
PHILLIPS 66
718546104
$232,857,011 1,278,170 -20%
COGNIZANT TECHNOLOGY SOLUTIO
192446102
$231,915,393 3,780,202 -64%
TE CONNECTIVITY PLC
G87052109
$230,360,315 1,102,097 -20%
CORPAY INC
219948106
$230,359,033 791,639 -26%
APOLLO GLOBAL MGMT INC
03769M106
$228,904,813 2,054,432 -42%
QUANTA SVCS INC
74762E102
$227,792,241 414,907 +54%
BRITISH AMERN TOB PLC
110448107
$225,684,377 3,859,832 +26%
EMERSON ELEC CO
291011104
$223,480,421 1,705,697 +88%
CUMMINS INC
231021106
$223,254,627 414,956 -60%
KENVUE INC
49177J102
$223,235,260 12,948,681 +68%
CF INDUSTRIES HOLD
125269100
$223,204,958 1,719,077 +190%
ISHARES ETHEREUM TR
46438R105
$222,732,564 14,070,282 -53%
BXP INC
101121101
$222,112,538 4,279,625 +70%
ISHARES TR
464287523
$221,878,366 675,100 -42%
CLOROX CO DEL
189054109
$221,578,350 2,138,168 +16%
TRANE TECHNOLOGIES PLC
G8994E103
$221,548,986 531,624 -32%
RIVIAN AUTOMOTIVE INC
76954A103
$220,269,693 14,635,860 -48%
TRANSUNION
89400J107
$219,381,356 3,170,709 +482%
SOUTHERN COPPER CORP
84265V105
$218,871,160 1,272,063 +188%
AMERICAN INTL GROUP INC
026874784
$218,481,753 2,903,412 +13%
STATE STR SPDR S&P MIDCAP 40
78467Y107
$217,407,900 352,500 -8%
CAVA GROUP INC
148929102
$217,339,873 2,686,525 -17%
LIVE NATION ENTERTAINMENT IN
538034BA6
$217,297,152 142,850,000 +73%
VANGUARD WORLD FD
92204A702
$217,276,287 311,409 +16%
GE HEALTHCARE TECHNOLOGIES I
36266G107
$216,712,350 3,044,568 +120%
NORTHROP GRUMMAN CORP
666807102
$216,553,892 317,416 -34%
CHARLES RIV LABS INTL INC
159864107
$215,633,970 1,250,052 +142%
ALBERTSONS COS INC
013091103
$215,555,080 12,649,946 +14%
TOWER SEMICONDUCTOR LTD
M87915274
$213,975,399 1,219,372 +185%
DIREXION SHARES ETF TRUST
25459W862
$212,771,412 1,150,800 -35%
ARGENX SE
04016X101
$211,937,536 290,226 -37%
EOG RES INC
26875P101
$211,896,104 1,465,699 -45%
SUNCOR ENERGY INC NEW
867224107
$211,075,611 3,192,794 +56%
APPLIED OPTOELECTRONICS INC
03823U102
$210,739,321 2,491,303 +352%
SMUCKER J M CO
832696405
$210,529,677 2,183,012 -24%
VANECK ETF TRUST
92189F791
$210,126,899 1,750,474 +111%
CONSOLIDATED EDISON INC
209115104
$209,780,715 1,853,514 +60%
DARLING INGREDIENTS INC
237266101
$208,989,604 3,378,975 +116%
ELBIT SYS LTD
M3760D101
$205,388,927 241,893 +531%
CONAGRA BRANDS INC
205887102
$205,345,864 13,062,714 +474%
HEWLETT PACKARD ENTERPRISE C
42824C109
$205,304,035 8,622,597 -59%
NORWEGIAN CRUISE LINE HLDGS
G66721104
$204,944,427 10,959,595 -15%
CLEARWATER ANALYTICS HLDGS I
185123106
$204,880,329 8,663,016 +374%
CDW CORP
12514G108
$204,371,072 1,688,738 +39%
FIVE BELOW INC
33829M101
$204,150,764 893,517 -31%
CIPHER DIGITAL INC
17253J106
$203,780,646 15,833,772 -10%
AMEREN CORP
023608102
$203,701,216 1,853,177 +16%
GLOBAL X FDS
37954Y848
$203,547,651 2,259,632 +141%
TAPESTRY INC
876030107
$203,047,835 1,438,933 +77%
SHERWIN WILLIAMS CO
824348106
$201,084,220 627,310 -48%
PROSHARES TR II
74347W353
$200,089,498 1,674,249 -6%
DUOLINGO INC
26603R106
$199,926,377 2,028,268 -31%
CHARTER COMMUNICATIONS INC
16119P108
$199,133,757 922,428 -21%
ON HLDG AG
H5919C104
$198,549,463 5,836,257 -35%
GALLAGHER ARTHUR J & CO
363576109
$198,320,573 915,692 +3%
HERSHEY CO
427866108
$197,595,911 950,483 -25%
TERNS PHARMACEUTICALS INC
880881107
$197,558,183 3,747,310 +44%
ECHOSTAR CORP
278768AB2
$196,873,230 54,966,000 Nuova
APPLIED DIGITAL CORP
038169207
$195,901,269 8,251,949 -27%
JANUS HENDERSON GROUP PLC
G4474Y214
$195,402,183 3,803,819 +2481%
WYNDHAM HOTELS & RESORTS INC
98311A105
$194,586,303 2,395,498 +22%
CROWN CASTLE INC
22822V101
$193,833,608 2,383,884 +180%
SOUTHERN CO
842587107
$192,740,499 1,996,897 +48%
ONDAS INC
68236H204
$191,564,479 21,190,761 +15%
FIDELITY NATL INFORMATION SV
31620M106
$190,143,633 4,053,371 +182%
EXPEDIA GROUP INC
30212P303
$190,095,432 823,316 -44%
PAYLOCITY HLDG CORP
70438V106
$189,089,447 1,750,180 -30%
BJS WHSL CLUB HLDGS INC
05550J101
$189,069,151 1,921,044 +607%
KIMBERLY-CLARK CORP
494368103
$188,808,190 1,957,170 -55%
DT MIDSTREAM INC
23345M107
$188,419,087 1,399,117 +10%
TOLL BROTHERS INC
889478103
$187,978,691 1,377,436 -7%
FERRARI N V
N3167Y103
$187,788,983 554,850 -5%
AUTOMATIC DATA PROCESSING IN
053015103
$187,629,618 923,465 -53%
WYNN RESORTS LTD
983134107
$186,543,389 1,836,961 -23%
MOSAIC CO
61945C103
$186,212,883 7,302,466 +37%
ROKU INC
77543R102
$185,716,825 1,962,765 -40%
MICROCHIP TECHNOLOGY INC.
595017104
$185,537,242 2,871,649 -58%
INVITATION HOMES INC
46187W107
$184,641,563 7,430,244 +389%
EMCOR GROUP INC
29084Q100
$183,614,744 248,696 +8%
DIAMONDBACK ENERGY INC
25278X109
$183,448,840 927,493 -8%
THE CIGNA GROUP
125523100
$183,021,977 686,118 -25%
EXELON CORP
30161N101
$182,404,057 3,721,013 +375%
BRINKER INTL INC
109641100
$181,234,237 1,269,414 -2%
PROGRESSIVE CORP
743315103
$181,030,984 913,191 -42%
JD.COM INC
47215P106
$180,950,954 6,119,410 -52%
TRUIST FINL CORP
89832Q109
$177,804,605 3,867,840 +64%
FIRST HORIZON CORPORATION
320517105
$177,738,775 7,809,261 -7%
PERFORMANCE FOOD GROUP CO
71377A103
$177,285,277 2,069,639 -28%
ISHARES INC
464286509
$176,332,136 3,218,327 -58%
GLOBUS MED INC
379577208
$174,828,462 2,029,114 -24%
TYLER TECHNOLOGIES INC
902252105
$173,793,115 507,603 +364%
CADENCE DESIGN SYSTEM INC
127387108
$172,972,685 622,495 -20%
DUTCH BROS INC
26701L100
$171,917,395 3,393,553 +67%
WILLIS TOWERS WATSON PLC LTD
G96629103
$171,570,559 590,198 +931%
RESTAURANT BRANDS INTL INC
76131D103
$170,901,731 2,312,608 +65%
BUNGE GLOBAL SA
H11356104
$170,816,880 1,342,900 +178%
LATTICE SEMICONDUCTOR CORP
518415104
$169,959,232 1,832,247 +199%
TEMPUS AI INC
88023B103
$169,900,810 3,757,205 -9%
CANADIAN NATL RY CO
136375102
$169,706,670 1,651,325 +264%
PROTAGONIST THERAPEUTICS INC
74366E102
$169,103,760 1,604,400 +58%
DEXCOM INC
252131107
$168,735,562 2,686,872 +47%
TRANSDIGM GROUP INC
893641100
$168,134,963 145,074 -39%
XENON PHARMACEUTICALS INC
98420N105
$167,843,578 2,886,390 +162%
BEST BUY INC
086516101
$167,731,039 2,612,633 +28%
HECLA MINING COMPANY
422704106
$167,346,937 8,982,659 +80%
NIO INC
62914V106
$166,485,713 27,609,571 +10%
FISERV INC
337738108
$166,302,414 2,980,330 -34%
VULCAN MATLS CO
929160109
$164,854,505 605,415 +151%
V F CORP
918204108
$164,437,919 9,678,512 -2%
STRYKER CORPORATION
863667101
$164,344,945 500,152 -42%
ISHARES INC
46434G822
$163,823,142 1,940,113 -44%
ENPHASE ENERGY INC
29355A107
$163,674,159 4,328,859 -10%
HUT 8 CORP
44812J104
$163,551,996 3,486,506 -35%
ANGLOGOLD ASHANTI PLC
G0378L100
$163,065,635 1,674,873 -11%
TPG INC
872657101
$161,887,884 3,996,245 -20%
DRAFTKINGS INC NEW
26142V105
$161,367,702 7,463,816 -71%
ALIGN TECHNOLOGY INC
016255101
$161,062,771 939,525 +20%
RIO TINTO PLC
767204100
$159,203,863 1,706,548 -9%
GLAUKOS CORP
377322102
$158,306,063 1,470,426 +1554%
CHUBB LTD SWITZ
H1467J104
$157,841,706 484,281 -14%
IDEX CORP
45167R104
$157,715,267 832,051 +58%
SPDR SERIES TRUST
78464A888
$157,628,001 1,596,718 -57%
NUTRIEN LTD
67077M108
$156,379,304 2,072,347 +195%
FIGMA INC
316841105
$156,263,561 7,391,843 -15%
TORONTO DOMINION BK ONT
891160509
$155,628,856 1,667,869 -38%
WHEATON PRECIOUS METALS CORP
962879102
$155,596,647 1,187,670 +6%
AFLAC INC
001055102
$154,492,964 1,408,194 +50%
ILLINOIS TOOL WKS INC
452308109
$153,733,001 590,622 +14%
COEUR MNG INC
192108504
$153,105,013 8,156,900 +75%
EVERGY INC
30034W106
$153,053,266 1,868,326 +116%
DOLLAR TREE INC
256746108
$152,509,759 1,392,656 -50%
MARA HOLDINGS INC
565788106
$151,258,003 18,536,520 -7%
EXTRA SPACE STORAGE INC
30225T102
$150,622,081 1,148,647 +277%
LENNAR CORP
526057104
$149,466,923 1,721,176 -12%
LEMONADE INC
52567D107
$149,229,547 2,380,816 -8%
ANHEUSER BUSCH INBEV SA NV
03524A108
$149,160,623 2,150,218 -28%
ABIVAX SA
00370M103
$149,101,882 1,339,038 +2%
DIREXION SHARES ETF TRUST
25459W847
$148,937,691 3,374,976 +97%
HILTON WORLDWIDE HLDGS INC
43300A203
$148,140,174 487,175 +14%
BECTON DICKINSON & CO
075887109
$147,812,081 940,101 +6%
TEREX CORP NEW
880779103
$147,125,491 2,489,433 +62%
VANGUARD INDEX FDS
922908769
$147,059,304 458,400 -22%
RH
74967X103
$146,572,047 1,048,291 -38%
MACOM TECH SOLUTIONS HLDGS I
55405Y100
$145,204,911 653,870 +422%
CENTRUS ENERGY CORP
15643U104
$144,991,221 835,251 -34%
ZIMMER BIOMET HOLDINGS INC
98956P102
$144,867,759 1,602,165 +198%
ATMOS ENERGY CORP
049560105
$144,802,747 783,904 +54%
NOKIA CORP
654902204
$142,511,830 17,725,352 +16%
SPDR SERIES TRUST
78464A714
$142,447,994 1,770,200 -17%
FORGENT POWER SOLUTIONS INC
34631F102
$141,379,398 4,830,181 Nuova
TELEFLEX INCORPORATED
879369106
$141,091,478 1,179,596 +1534%
ROYALTY PHARMA PLC
G7709Q104
$141,006,328 2,939,469 -32%
PINTEREST INC
72352L106
$140,515,578 7,661,700 +46%
KNIGHT-SWIFT TRANSN HLDGS IN
499049104
$140,482,763 2,439,784 +189%
HUNT J B TRANS SVCS INC
445658107
$140,097,685 661,150 -54%
WAYFAIR INC
94419L101
$139,346,982 1,852,772 -59%
PETROLEO BRASILEIRO S A
71654V408
$139,229,720 6,709,866 +281%
DAVITA INC
23918K108
$138,660,347 902,208 +107%
DIANTHUS THERAPEUTICS INC
252828108
$138,382,653 1,648,983 +211%
C H ROBINSON WORLDWIDE IN
12541W209
$137,767,852 829,577 +22%
VALE S A
91912E105
$137,010,619 8,611,604 -9%
BIONTECH SE
09075V102
$136,935,816 1,540,682 +41%
REPLIGEN CORP
759916109
$136,845,691 1,161,481 -42%
CALIFORNIA RES CORP
13057Q305
$136,647,964 1,974,111 +146%
DICKS SPORTING GOODS INC
253393102
$136,573,626 688,757 +79%
SAP SE
803054204
$135,308,461 790,307 +32%
MASTEC INC
576323109
$135,220,244 420,278 +199%
VENTURE GLOBAL INC
92333F101
$135,027,976 8,567,765 +386%
CBRE GROUP INC
12504L109
$134,492,409 992,857 +258%
DBX ETF TR
233051879
$133,829,581 4,100,171 +166%
BRIGHTSPRING HEALTH SVCS INC
10950A106
$133,349,018 3,129,524 +1835%
CENTENE CORP DEL
15135B101
$133,252,258 4,070,014 -62%
ARMSTRONG WORLD INDS INC NEW
04247X102
$132,479,589 803,881 +25%
GLOBALFOUNDRIES INC
G39387108
$132,361,671 2,975,757 +87%
KINDER MORGAN INC DEL
49456B101
$131,170,165 3,912,024 -3%
THE CAMPBELLS COMPANY
134429109
$131,073,448 5,885,651 +68%
SEMPRA
816851109
$130,473,365 1,342,733 +57%
DIREXION SHARES ETF TRUST
25460G286
$130,280,185 10,722,649 -64%
ROCKWELL AUTOMATION INC
773903109
$130,123,069 362,581 -56%
ISHARES TR
464288877
$129,882,461 1,746,906 +24%
CHEWY INC
16679L109
$129,488,787 4,795,881 -53%
GLOBAL X FDS
37954Y830
$129,258,030 1,692,967 +166%
HASBRO INC
418056107
$128,973,780 1,377,925 Invariata
FORD MTR CO
345370860
$128,812,331 11,162,247 -27%
ISHARES TR
464288760
$128,743,563 588,542 +359%
GENERAL MILLS INC
370334104
$128,331,583 3,447,920 +13%
INTERACTIVE BROKERS GROUP IN
45841N107
$128,202,494 1,911,473 -31%
STATE STR CORP
857477103
$128,143,519 1,012,512 -6%
RIOT PLATFORMS INC
767292105
$127,931,772 10,350,467 -19%
TKO GROUP HOLDINGS INC
87256C101
$127,341,370 631,497 +127%
LAUDER ESTEE COS INC
518439104
$127,245,698 1,772,965 -60%
SHAKE SHACK INC
819047101
$126,610,744 1,431,115 -7%
KROGER CO
501044101
$126,582,532 1,749,344 -8%
RHYTHM PHARMACEUTICALS INC
76243J105
$126,369,063 1,453,019 +517%
NOVARTIS AG
66987V109
$126,064,575 825,300 +44%
PROSHARES TR
74347X864
$125,967,322 1,298,900 -49%
SEMTECH CORP
816850101
$125,734,757 1,635,255 -17%
TEXAS PACIFIC LAND CORPORATI
88262P102
$125,307,568 264,050 +163%
COPART INC
217204106
$124,850,526 3,760,558 -8%
MEDLINE INC
58507V107
$124,838,431 2,805,358 -54%
PRUDENTIAL FINL INC
744320102
$124,324,788 1,272,646 -31%
SPDR INDEX SHS FDS
78463X202
$124,023,424 1,997,800 -15%
APA CORPORATION
03743Q108
$123,935,283 2,920,247 +117%
ISHARES TR
464287739
$123,005,066 1,300,815 -32%
PARAMOUNT SKYDANCE CORP
69932A204
$122,909,686 13,626,351 +10%
TECHNIPFMC PLC
G87110105
$122,903,254 1,777,857 +455%
VANECK ETF TRUST
92189H607
$122,230,275 302,393 +125%
F5 INC
315616102
$121,803,590 420,985 -21%
UMB FINL CORP
902788108
$121,574,311 1,077,882 -15%
ISHARES TR
464287721
$121,525,638 669,858 +1305%
HP INC
40434L105
$121,491,109 6,324,368 +31%
PENNYMAC FINL SVCS INC NEW
70932M107
$120,581,235 1,379,648 +81%
AEROVIRONMENT INC
008073108
$120,435,917 657,940 -28%
STEEL DYNAMICS INC
858119100
$120,435,480 669,086 +67%
PROSHARES TR II
74347Y680
$120,052,297 2,295,455 +298%
OPTION CARE HEALTH INC
68404L201
$119,838,633 4,451,658 +117%
UDR INC
902653104
$119,125,339 3,526,505 +695%
ISHARES TR
46432F396
$119,118,557 496,348 +228%
ADVANCED ENERGY INDS
007973100
$119,112,261 369,100 +902%
TOTALENERGIES SE
F92124100
$119,004,751 1,308,032 +60%
EQUITABLE HLDGS INC
29452E101
$118,720,717 3,199,157 +130%
ISHARES TR
464287168
$118,488,318 782,566 +2672%
HUNTINGTON INGALLS INDS INC
446413106
$118,296,301 311,388 +278%
CHURCHILL DOWNS INC
171484108
$118,281,676 1,316,728 +7%
VERSANT MEDIA GROUP INC
925283103
$118,246,323 3,194,120 Nuova
ANTERO RESOURCES CORP
03674X106
$118,149,311 2,783,914 +34%
BHP BILLITON LIMITED
088606108
$118,066,476 1,623,130 -8%
GLOBAL E ONLINE LTD
M5216V106
$117,338,407 3,803,514 -13%
DOLLAR GEN CORP
256677105
$117,013,520 985,543 -67%
ZOETIS INC
98978V103
$116,816,422 988,211 -43%
ENERGY FUELS INC
292671708
$116,803,851 6,400,211 +8%
ISHARES TR
46429B663
$116,678,484 859,700 +109%
NASDAQ INC
631103108
$116,468,486 1,371,993 +36%
KODIAK GAS SVCS INC
50012A108
$116,313,816 1,994,407 +90%
ENVISTA HOLDINGS CORPORATION
29415F104
$116,310,592 4,584,572 +177%
PROLOGIS INC.
74340W103
$116,068,051 878,106 +1%
FRANCO NEV CORP
351858105
$115,846,933 468,921 +88%
SOLAREDGE TECHNOLOGIES INC
83417M104
$115,781,706 2,268,006 +34%
ARGAN INC
04010E109
$115,688,562 212,409 +167%
ENTERPRISE PRODS PARTNERS L
293792107
$115,512,919 3,052,667 +12%
TARGA RES CORP
87612G101
$115,490,751 460,618 +59%
TECK RESOURCES LTD
878742204
$115,369,588 2,229,364 +24%
INTUITIVE MACHINES INC
46125A100
$115,345,556 6,214,739 +175%
VERADERMICS INC
922967104
$115,291,187 1,825,672 Nuova
TENET HEALTHCARE CORP
88033G407
$115,282,184 610,896 +85%
SPDR SERIES TRUST
78464A755
$114,803,829 1,062,900 -26%
HORMEL FOODS CORP
440452100
$113,957,359 5,031,230 -29%
ETSY INC
29786A106
$113,752,631 2,275,963 -52%
SIRIUSXM HOLDINGS INC
829933100
$113,577,649 4,921,042 +63%
FERGUSON ENTERPRISES INC
31488V107
$113,053,891 484,669 +588%
PRICE T ROWE GROUP INC
74144T108
$113,035,109 1,253,995 +51%
INDIVIOR PHARMACEUTICALS INC
45579U109
$112,929,741 3,705,044 Nuova
BURLINGTON STORES INC
122017106
$111,651,218 343,141 -52%
VANGUARD INDEX FDS
922908736
$111,425,129 255,100 +12%
AMERICAN ELEC PWR CO INC
025537101
$111,231,604 848,578 -27%
POPULAR INC
733174700
$110,800,001 825,818 +18%
GRANITESHARES ETF TR
38747R827
$110,749,658 1,526,108 -62%
MOODYS CORP
615369105
$110,203,730 252,616 -36%
FASTLY INC
31188V100
$110,131,995 3,789,814 +327%
DIREXION SHARES ETF TRUST
25459Y694
$110,110,200 929,200 -34%
ELANCO ANIMAL HEALTH INC
28414H103
$109,647,906 4,582,027 +24%
COUPANG INC
22266T109
$109,524,428 5,801,082 +46%
ON SEMICONDUCTOR CORP
682189105
$109,511,960 1,768,604 -35%
MONOLITHIC PWR SYS INC
609839105
$109,129,450 99,812 Invariata
ABRDN PLATINUM ETF TRUST
003260106
$108,789,631 610,389 -8%
SAMSARA INC
79589L106
$108,523,419 3,424,532 +65%
OMNICOM GROUP INC
681919106
$108,521,861 1,441,002 -69%
SAIA INC
78709Y105
$108,341,777 308,420 +150%
SERVICETITAN INC
81764X103
$108,321,334 1,706,923 +133%
GENERAC HLDGS INC
368736104
$107,993,855 552,879 -3%
PATRICK INDS INC
703343AG8
$107,976,216 62,279,000 +48%
WP CAREY INC
92936U109
$107,422,741 1,580,676 +483%
UPSTART HLDGS INC
91680M107
$106,967,220 4,170,262 -42%
CAESARS ENTERTAINMENT INC NE
12769G100
$106,965,751 4,047,134 -31%
COCA-COLA EUROPACIFIC PARTNE
G25839104
$106,806,267 1,177,967 +25%
CANADIAN NAT RES LTD MED TER
136385101
$106,550,679 2,186,552 -7%
EVEREST GROUP LTD
G3223R108
$106,544,275 325,973 +79%
HYATT HOTELS CORP
448579102
$106,035,348 737,432 -38%
OPENDOOR TECHNOLOGIES INC
683712103
$106,005,262 22,650,697 -41%
LIBERTY MEDIA CORP DEL
531229755
$105,390,027 1,239,591 -18%
TAYLOR MORRISON HOME CORP
87724P106
$105,122,442 1,804,987 +258%
REALTY INCOME CORP
756109104
$105,111,033 1,718,062 +24%
CENOVUS ENERGY INC
15135U109
$105,077,610 3,960,709 +284%
CLEAR SECURE INC
18467V109
$105,069,935 2,170,418 +178%
VSE CORP
918284100
$105,029,999 569,577 +302%
COUSINS PPTYS INC
222795502
$104,861,823 4,646,071 +2%
BLOCK H & R INC
093671105
$104,341,283 3,287,375 +40%
DYNATRACE INC
268150109
$104,172,919 2,817,007 -2%
HELMERICH & PAYNE INC
423452101
$103,370,395 2,869,009 +64%
LAS VEGAS SANDS CORP
517834107
$103,155,900 1,914,549 -71%
MONDAY COM LTD
M7S64H106
$102,896,566 1,488,881 -11%
CYTOKINETICS INC
23282W605
$102,447,736 1,554,358 +2%
BAKER HUGHES COMPANY
05722G100
$102,150,630 1,673,229 +79%
VIRTU FINL INC
928254101
$101,408,293 2,305,782 +61%
METTLER TOLEDO INTERNATIONAL
592688105
$101,342,465 80,354 -38%
UGI CORP NEW
902681AB1
$101,194,053 72,000,000 Nuova
KRAFT HEINZ CO
500754106
$99,931,909 4,443,393 -21%
SYSCO CORP
871829107
$99,439,084 1,394,071 -8%
CENTURY ALUM CO
156431108
$99,213,508 1,690,467 +166%
WESTLAKE CORPORATION
960413102
$98,968,268 847,186 +265%
D R HORTON INC
23331A109
$98,955,517 721,145 -55%
MIRUM PHARMACEUTICALS INC
604749101
$98,250,564 1,063,548 +46%
ALIGNMENT HEALTHCARE INC
01625V104
$98,227,377 5,574,766 +4%
STEPSTONE GROUP INC
85914M107
$98,194,732 2,057,727 -5%
IONIS PHARMACEUTICALS INC
462222100
$98,077,602 1,306,134 -46%
FIGURE TECHNOLOGY SOLUTIO
349381103
$98,044,239 2,887,901 +618%
ONEOK INC NEW
682680103
$97,879,083 1,082,853 +4%
REVOLUTION MEDICINES INC
76155X100
$97,683,055 1,004,453 -15%
BIOGEN INC
09062X103
$97,291,948 530,693 -9%
INTERNATIONAL FLAVORS&FRAGRA
459506101
$97,152,648 1,339,113 +4%
BERKLEY W R CORP
084423102
$96,930,589 1,462,441 +787%
TEVA PHARMACEUTICAL INDS LTD
881624209
$96,621,948 3,207,900 -62%
GLOBAL X FDS
37954Y871
$96,561,768 1,993,842 +10%
MURPHY USA INC
626755102
$96,481,233 195,318 +297%
FTAI AVIATION LTD
G3730V105
$96,260,500 392,900 +20%
INVESCO EXCH TRADED FD TR II
46138G649
$96,188,576 404,800 +79%
QUEST DIAGNOSTICS INC
74834L100
$95,935,738 489,518 +10%
JAMES HARDIE INDS PLC
G4253H101
$95,785,186 5,057,296 -43%
NEW YORK TIMES CO MTN BE
650111107
$95,756,140 1,143,630 +48%
ROYAL GOLD INC
780287108
$95,624,872 375,751 -34%
IONQ INC
46222L108
$95,104,404 3,298,800 -45%
BOOT BARN HLDGS INC
099406100
$95,039,012 649,351 +756%
ATLASSIAN CORPORATION
049468101
$94,620,435 1,386,380 -72%
RESMED INC
761152107
$94,305,844 420,108 +143%
HDFC BANK LTD
40415F101
$94,138,157 3,783,688 +96%
ISHARES TR
464288752
$94,083,533 1,039,023 -19%
PUBLIC SVC ENTERPRISE GROUP
744573106
$93,740,181 1,158,001 -37%
TRAVELERS COMPANIES INC
89417E109
$93,725,826 321,331 -61%
BARCLAYS BANK PLC
06748M196
$93,719,604 2,625,199 +191%
ANNALY CAPITAL MANAGEMENT IN
035710839
$93,678,934 4,429,264 +215%
DECKERS OUTDOOR CORP
243537107
$93,306,300 932,224 -61%
DIREXION SHARES ETF TRUST
25460G781
$93,167,184 494,912 -23%
FIRST AMERN FINL CORP
31847R102
$92,233,149 1,529,825 +6%
ENERGY TRANSFER L P
29273V100
$92,203,820 4,777,400 +5%
GALAXY DIGITAL INC.
36317J209
$92,173,063 4,995,830 -18%
BOOZ ALLEN HAMILTON HLDG COR
099502106
$92,100,058 1,180,316 -34%
WEST PHARMACEUTICAL SVSC INC
955306105
$91,705,918 365,887 +24%
DOCUSIGN INC
256163106
$91,412,122 1,928,119 -8%
ARCHER DANIELS MIDLAND CO
039483102
$91,371,039 1,256,996 +29%
PACCAR INC
693718108
$91,364,889 791,038 +61%
TRADEWEB MKTS INC
892672106
$91,297,689 775,945 +362%
KRATOS DEFENSE & SEC SOLUTIO
50077B207
$91,128,041 1,292,413 -8%
BLACK HILLS CORP
092113109
$91,004,423 1,311,114 +483%
BLUE OWL CAPITAL INC
09581B103
$90,952,585 9,961,948 +34%
SANOFI SA
80105N105
$90,808,219 1,884,770 +10%
UNILEVER PLC
904767803
$90,574,324 1,589,860 +38%
WARNER MUSIC GROUP CORP
934550203
$90,357,174 3,537,869 +9%
CELSIUS HLDGS INC
15118V207
$89,762,697 2,529,952 -65%
DUPONT DE NEMOURS INC
26614N102
$89,485,872 1,953,840 -19%
OSCAR HEALTH INC
687793109
$89,378,392 7,792,362 -21%
KINETIK HOLDINGS INC
02215L209
$89,095,410 1,840,434 +52%
EOS ENERGY ENTERPRISES INC
29415C101
$89,056,661 17,954,972 -57%
AMERIPRISE FINL INC
03076C106
$89,031,985 200,342 +13%
AXT INC
00246W103
$88,938,430 1,560,871 +453%
PUBLIC STORAGE OPER CO
74460D109
$88,929,362 328,298 +30%
WOODWARD INC
980745103
$88,883,705 248,334 -42%
XCEL ENERGY INC
98389B100
$88,413,543 1,112,960 +18%
DIREXION SHARES ETF TRUST
25461A387
$88,376,662 311,054 +4491%
PTC INC
69370C100
$88,313,592 619,788 +678%
COLUMBIA BKG SYS INC
197236102
$87,736,391 3,198,556 +16%
IONIS PHARMACEUTICALS INC
462222AF7
$87,616,096 58,000,000 Nuova
PLAINS GP HLDGS L P
72651A207
$87,561,110 3,606,306 +61%
UBS GROUP AG
H42097107
$87,355,128 2,235,862 +24%
GOLAR LNG LTD
G9456A100
$87,094,049 1,609,574 +44%
MONDELEZ INTL INC
609207105
$87,004,468 1,509,446 -47%
POOL CORP
73278L105
$86,842,464 429,212 -49%
PORTLAND GEN ELEC CO
736508847
$86,681,902 1,642,636 +174%
GUARDANT HEALTH INC
40131M109
$86,665,321 938,241 +5%
ALLSTATE CORP
020002101
$86,610,479 417,722 +75%
ECOLAB INC
278865100
$86,609,728 325,576 +263%
RIGETTI COMPUTING INC
76655K103
$86,527,509 6,162,928 -62%
YPF SOCIEDAD ANONIMA
984245100
$86,315,480 1,867,492 +35%
CINEMARK HLDGS INC
17243V102
$85,742,129 3,006,386 +114%
FACTSET RESH SYS INC
303075105
$85,709,965 394,995 -70%
FASTENAL CO
311900104
$85,633,288 1,845,545 +28%
GRUPO FINANCIERO GALICIA S.A
399909100
$85,486,540 1,830,155 +41%
KIRBY CORP
497266106
$85,390,548 642,614 +50%
RPM INTL INC
749685103
$85,374,064 858,894 -6%
IQVIA HLDGS INC
46266C105
$85,277,163 500,042 -36%
CASEYS GEN STORES INC
147528103
$85,233,134 117,101 -68%
SOLSTICE ADVANCED MATLS INC
83443Q103
$85,179,781 1,118,432 +82%
VIKING THERAPEUTICS INC
92686J106
$85,096,038 2,615,121 -41%
LYFT INC
55087P104
$84,960,413 6,388,001 -68%
FRESHPET INC
358039105
$84,744,269 1,437,318 +133%
WASTE MGMT INC DEL
94106L109
$84,640,389 368,338 -58%
SITEONE LANDSCAPE SUPPLY INC
82982L103
$84,635,065 635,828 -16%
FIRST CTZNS BANCSHARES INC D
31946M103
$84,347,959 44,755 +96%
HOLOGIC INC
436440101
$84,340,298 1,115,760 +63%
COMPASS INC
20464U100
$84,015,790 11,493,268 +92%
PBF ENERGY INC
69318G106
$83,860,153 1,761,028 +31%
EVERPURE INC
74624M102
$83,700,831 1,417,697 +15%
SUN CMNTYS INC
866674104
$83,516,267 663,038 -47%
USA RARE EARTH INC
91733P107
$83,484,161 5,515,967 +108%
REINSURANCE GROUP AMER INC
759351604
$83,456,116 408,778 -42%
XPENG INC
98422D105
$83,349,825 4,871,410 -22%
ROCKET COS INC
77311W101
$83,277,955 5,844,067 -49%
HAWAIIAN ELEC INDS INC MTN B
419870100
$83,061,499 5,597,136 +496%
PENUMBRA INC
70975L107
$82,987,308 252,725 -74%
SPHERE ENTERTAINMENT CO
55826T102
$82,978,320 706,800 +23%
GRAB HOLDINGS LIMITED
G4124C109
$82,645,325 22,580,690 -44%
L3HARRIS TECHNOLOGIES INC
502431109
$82,584,731 239,272 +23%
NUSCALE PWR CORP
67079K100
$82,533,289 7,613,772 -41%
ALKERMES PLC
G01767105
$82,434,202 2,331,284 +126%
MODINE MFG CO
607828100
$82,360,636 380,050 +105%
NEXTPOWER INC
65290E101
$81,939,282 679,712 -24%
OLD DOMINION FREIGHT LINE IN
679580100
$81,888,232 419,080 -18%
MOTOROLA SOLUTIONS INC
620076307
$81,726,098 188,322 -18%
WEYERHAEUSER CO
962166104
$81,457,169 3,334,309 +143%
TG THERAPEUTICS INC
88322Q108
$81,185,993 2,443,889 +68%
2023 ETF SERIES TRUST
88339Y102
$81,182,797 2,668,731 Nuova
BRAZE INC
10576N102
$81,116,405 3,435,680 Invariata
ATI INC
01741R102
$81,078,822 557,396 +91%
HSBC HLDGS PLC
404280406
$80,936,384 981,166 -14%
DIREXION SHARES ETF TRUST
25459W102
$80,889,630 934,600 -15%
CROCS INC
227046109
$80,804,529 973,314 -48%
WIX COM LTD
M98068105
$80,638,050 895,282 -45%
ONTO INNOVATION INC
683344105
$80,442,809 392,270 +171%
ETF SER SOLUTIONS
26922A842
$80,363,651 3,262,836 +186%
TRAVEL PLUS LEISURE CO
894164102
$79,912,790 1,154,976 +50%
UIPATH INC
90364P105
$79,881,272 7,196,511 -43%
TYSON FOODS INC
902494103
$79,707,693 1,244,072 -54%
YUM CHINA HLDGS INC
98850P109
$79,657,106 1,632,987 +195%
HARTFORD INSURANCE GROUP INC
416515104
$79,574,876 588,441 +193%
TOPBUILD COR
89055F103
$79,525,537 226,375 +1401%
ASSOCIATED BANC-CORP
045487105
$79,464,470 3,072,872 +2%
ESSEX PPTY TR INC
297178105
$79,197,888 327,264 +442%
DIREXION SHARES ETF TRUST
25460G120
$79,092,058 476,200 +16%
ISHARES INC
46434G103
$79,055,487 1,133,412 +5665%
SUPERNUS PHARMACEUTICALS
868459108
$78,984,697 1,528,046 +232%
INGERSOLL RAND INC
45687V106
$78,865,721 984,345 +117%
NRG ENERGY INC
629377508
$78,777,352 539,054 -66%
ALCON AG
H01301128
$78,717,543 1,044,692 +40%
HUBSPOT INC
443573100
$78,652,193 322,213 -56%
DIREXION SHARES ETF TRUST
25461A841
$78,476,777 1,005,468 +67%
ALLY FINL INC
02005N100
$78,336,661 1,996,856 -65%
CBOE GLOBAL MKTS INC
12503M108
$77,666,386 276,324 -49%
ROPER TECHNOLOGIES INC
776696106
$77,393,428 218,712 -9%
FLEXTRONICS INTL LTD
Y2573F102
$77,383,735 1,182,153 +21%
AERCAP HOLDINGS NV
N00985106
$77,024,512 561,485 +26%
WATERS CORP
941848103
$76,938,417 258,356 +17%
SEADRILL LTD
G7997W102
$76,892,543 1,689,946 +73%
MOLSON COORS BEVERAGE CO
60871R209
$76,745,235 1,782,286 -5%
BILL HOLDINGS INC
090043100
$76,733,935 2,003,497 -52%
MCCORMICK & CO INC
579780206
$76,593,795 1,518,513 -54%
VEEVA SYS INC
922475108
$76,525,049 435,643 -52%
WEBSTER FINL CORP
947890109
$76,467,379 1,101,518 -10%
BROWN FORMAN CORP
115637209
$76,275,223 2,884,842 +486%
TRIPADVISOR INC
896945201
$76,180,518 7,146,390 +282%
FOX CORP
35137L105
$76,080,483 1,302,748 -69%
OR ROYALTIES INC.
68390D106
$75,990,232 1,998,691 +11%
WARRIOR MET COAL INC
93627C101
$75,984,598 815,723 -12%
NXP SEMICONDUCTORS N V
N6596X109
$75,829,291 385,194 -52%
SBA COMMUNICATIONS CORP
78410G104
$75,563,863 439,044 -6%
ARES CAPITAL CORP
04010L103
$75,528,343 4,191,362 -59%
ROIVANT SCIENCES LTD
G76279101
$75,432,585 2,723,198 +17%
PEABODY ENGR CORP
704551100
$75,342,680 2,286,576 -38%
FABRINET
G3323L100
$75,288,191 144,363 -36%
DIGITAL RLTY TR INC
253868103
$75,252,092 417,580 -37%
LATAM AIRLINES GROUP SA
51817R205
$74,895,568 1,514,878 +433%
SILICON LABORATORIES INC
826919102
$74,580,145 358,300 +1053%
KINROSS GOLD CORP
496902404
$74,223,114 2,431,950 +3%
BANK HAWAII CORP
062540109
$74,156,593 998,742 +15%
INDEPENDENT BK CORP MASS
453836108
$74,114,716 985,437 +11%
TC ENERGY CORP
87807B107
$74,032,638 1,182,630 +43%
QNITY ELECTRONICS INC
74743L100
$74,010,501 641,450 -23%
MOLINA HEALTHCARE INC
60855R100
$73,800,745 553,644 -21%
CHECK POINT SOFTWARE TECH LT
M22465104
$73,548,037 514,862 +18%
ENTEGRIS INC
29362U104
$73,454,143 626,528 +267%
COGENT BIOSCIENCES INC
19240Q201
$73,416,865 1,907,427 +30%
ENLIVEN THERAPEUTICS INC
29337E102
$73,363,388 1,871,515 +230%
FIREFLY AEROSPACE INC
31816X106
$73,235,801 2,572,385 +255%
AMRIZE LTD
H2927K103
$73,200,718 1,306,689 +72%
KEURIG DR PEPPER INC
49271V100
$72,971,805 2,771,432 -16%
LEIDOS HOLDINGS INC
525327102
$72,702,801 467,482 +62%
PACKAGING CORP AMER
695156109
$72,615,105 342,169 +188%
AFFILIATED MANAGERS GROUP
008252108
$72,556,274 262,220 -22%
YETI HLDGS INC
98585X104
$72,479,228 1,980,848 -24%
IDEXX LABS INC
45168D104
$72,408,517 128,866 +47%
FIDELITY WISE ORIGIN BITCOIN
315948109
$72,400,295 1,226,500 -24%
CSX CORP
126408103
$72,375,296 1,763,101 -44%
PVH CORPORATION
693656100
$72,275,057 1,036,053 +70%
LIQUIDIA CORPORATION
53635D202
$72,272,628 1,915,014 +30%
VIATRIS INC
92556V106
$72,172,514 5,342,155 -35%
LOUISIANA PAC CORP
546347105
$72,092,776 990,966 +4%
APPLE HOSPITALITY REIT INC
03784Y200
$72,045,349 6,259,370 +1022%
ISHARES TR
464288414
$71,990,930 678,200 +668%
HOULIHAN LOKEY INC
441593100
$71,515,867 497,952 +318%
GEN DIGITAL INC
668771108
$71,231,687 3,782,883 -34%
AXSOME THERAPEUTICS INC.
05464T104
$71,157,927 421,003 -1%
AMPRIUS TECHNOLOGIES INC
03214Q108
$71,094,574 4,216,760 +428%
SLM CORP
78442P106
$71,086,338 3,320,240 +87%
SNAP INC
83304A106
$70,678,604 15,364,914 -74%
GSK PLC
37733W204
$70,328,617 1,274,300 +1%
AVIS BUDGET GROUP INC
053774105
$70,206,210 481,359 -78%
NATIONAL GRID PLC
636274409
$70,161,318 829,330 +66%
RADIAN GROUP INC
750236101
$70,107,966 2,119,346 -35%
EQUINOR ASA
29446M102
$69,973,719 1,658,145 +269%
ALASKA AIR GROUP INC
011659109
$69,950,631 1,901,866 -58%
HYCROFT MINING HOLDING CORP
44862P208
$69,782,521 1,982,458 +361%
FIRSTENERGY CORP
337932107
$69,741,038 1,376,649 +7%
BUILDERS FIRSTSOURCE INC
12008R107
$69,681,560 846,369 -58%
IRON MTN INC DEL
46284V101
$69,409,646 679,554 -40%
UNITED STS BRENT OIL FD LP
91167Q100
$69,307,850 1,332,587 +2789%
DELEK US HLDGS INC NEW
24665A103
$69,136,929 1,533,990 +100%
INTERNATIONAL PAPER CO
460146103
$69,128,552 1,936,374 -28%
BROWN & BROWN INC
115236101
$69,013,895 1,058,333 +469%
IAMGOLD CORP
450913108
$68,972,647 3,664,859 -8%
COSTAR GROUP INC
22160N109
$68,949,289 1,709,204 +11%
H2O AMERICA
784305104
$68,808,822 1,172,811 +1530%
PROSHARES TR II
74347Y888
$68,645,624 1,746,708 +585%
SHIFT4 PMTS INC
82452J109
$68,621,116 1,569,200 +73%
VIASAT INC
92552V100
$68,571,394 1,497,192 +151%
PAYCHEX INC
704326107
$68,542,254 744,054 -17%
RUBRIK INC.
781154109
$68,534,348 1,399,517 -67%
POWELL INDS INC
739128106
$68,155,519 125,962 +97%
ACADIA HEALTHCARE COMPANY IN
00404A109
$67,962,569 2,905,625 +233%
CLEVELAND-CLIFFS INC NEW
185899101
$67,816,548 8,025,627 -47%
OTIS WORLDWIDE CORP
68902V107
$67,670,690 877,928 -20%
KB HOME
48666K109
$67,474,031 1,303,846 -8%
SAILPOINT INC
78781J109
$67,208,756 5,076,190 +92%
FERMI INC
314911108
$67,119,739 11,493,106 +382%
PLANET LABS PBC
72703X106
$67,064,376 2,399,441 -3%
QXO INC
82846H405
$66,982,280 3,449,139 +101%
EVERCORE INC
29977A105
$66,679,671 223,375 +73%
SKYWORKS SOLUTIONS INC
83088M102
$66,580,268 1,243,329 +24%
CLEANSPARK INC
18452B209
$66,530,218 7,817,887 -19%
SELECT SECTOR SPDR TR
81369Y852
$66,449,484 599,400 -27%
MERIT MED SYS INC
589889104
$66,364,701 962,784 -32%
CHIME FINL INC
16935C109
$66,316,075 3,540,634 -64%
D-WAVE QUANTUM INC
26740W109
$66,185,691 4,586,673 -71%
MIAMI INTL HLDGS INC
59356Q108
$65,910,241 1,693,480 +115%
SONY GROUP CORP
835699307
$65,894,704 3,183,319 -56%
ISHARES INC
464286103
$65,339,600 2,353,732 +4%
WEC ENERGY GROUP INC
92939U106
$65,247,740 563,598 -14%
KEYCORP
493267108
$64,828,708 3,233,352 -50%
AMBARELLA INC
G037AX101
$64,774,184 1,258,362 -25%
AECOM
00766T100
$64,646,157 762,157 +22%
JFROG LTD
M6191J100
$64,585,159 1,376,202 +280%
DHT HOLDINGS INC
Y2065G121
$64,545,662 3,532,877 +326%
OLIN CORP
680665205
$64,446,137 2,167,714 +157%
MILLROSE PPTYS INC
601137102
$64,266,300 2,295,225 -46%
XYLEM INC
98419M100
$64,151,305 536,831 +129%
CRISPR THERAPEUTICS AG
H17182108
$64,103,049 1,347,552 -24%
REGENCY CTRS CORP
758849103
$63,822,539 843,544 +915%
VISTANCE NETWORKS INC
20337X109
$63,813,841 3,506,255 +26%
CONCENTRIX CORP
20602D101
$63,570,385 2,323,479 +933%
MELCO RESORTS AND ENTMNT LTD
585464100
$63,377,650 11,158,037 -20%
SCHWAB STRATEGIC TR
808524797
$63,309,377 2,063,539 +68%
TWIST BIOSCIENCE CORP
90184D100
$63,196,848 1,329,900 +1652%
INTEGER HLDGS CORP
45826H109
$63,109,816 717,157 +131%
VENTAS INC
92276F100
$62,688,705 766,553 -41%
AGNC INVT CORP
00123Q104
$62,474,713 6,228,785 +42%
DIREXION SHARES ETF TRUST
25460G153
$62,281,260 644,400 -6%
CALUMET INC
131428104
$62,190,755 1,732,333 +124%
PLAINS ALL AMERN PIPELINE L
726503105
$62,130,992 2,782,400 +18%
TOAST INC
888787108
$61,924,047 2,335,875 -38%
WEATHERFORD INTL PLC
G48833118
$61,602,602 651,328 +530%
STONECO LTD
G85158106
$61,380,953 4,347,093 +697%
WHIRLPOOL CORP
963320106
$61,289,300 1,136,671 -8%
AGREE RLTY CORP
008492100
$61,174,714 811,551 -16%
SYMBOTIC INC
87151X101
$61,124,938 1,148,965 -34%
FLAGSTAR BANK NATIONAL ASSOC
649445400
$61,108,313 4,639,963 -34%
CUBESMART
229663109
$61,065,130 1,666,170 -68%
ABERCROMBIE & FITCH CO
002896207
$61,016,886 667,800 -76%
ING GROEP N.V.
456837103
$60,892,005 2,337,505 -10%
GRANITE CONSTR INC
387328AD9
$60,807,661 23,119,000 -32%
ZILLOW GROUP INC
98954M200
$60,691,177 1,466,679 -41%
PAR PAC HOLDINGS INC
69888T207
$60,689,202 968,857 +88%
VERISIGN INC
92343E102
$60,297,337 242,782 +126%
VAIL RESORTS INC
91879Q109
$60,249,320 469,524 -7%
VICTORIAS SECRET AND CO
926400102
$60,209,911 1,298,747 -45%
TRANSOCEAN LTD
H8817H100
$60,111,631 9,066,611 +16%
SYNCHRONY FINANCIAL
87165B103
$60,025,405 882,467 -4%
RENAISSANCERE HLDGS LTD
G7496G103
$60,013,709 201,910 -24%
GARMIN LTD
H2906T109
$59,999,178 258,606 +68%
WEBULL CORP
G9572D103
$59,977,968 12,495,410 -40%
ZIM INTEGRATED SHIPPING SERV
M9T951109
$59,809,177 2,269,798 -21%
GATES INDL CORP PLC
G39108108
$59,459,552 2,629,790 +235%
BOX INC
10316T104
$59,448,713 2,514,751 +228%
MASIMO CORP
574795100
$59,189,088 332,766 +788%
DOMINOS PIZZA INC
25754A201
$58,545,558 163,175 -70%
VIPER ENERGY INC
64361Q101
$58,413,974 1,243,115 +506%
EVERSOURCE ENERGY
30040W108
$58,167,765 839,604 -55%
BANK OZK LITTLE ROCK ARK
06417N103
$58,165,804 1,267,505 -18%
TRACTOR SUPPLY CO
892356106
$58,000,580 1,280,366 -28%
WILLIAMS SONOMA INC
969904101
$57,908,190 317,601 -50%
SOMNIGROUP INTERNATIONAL INC
88023U101
$57,782,081 781,684 +430%
BGC GROUP INC
088929104
$57,672,152 5,896,948 +164%
MACYS INC
55616P104
$57,625,857 3,185,509 -63%
GENUINE PARTS CO
372460105
$57,528,741 544,007 -50%
SPROUTS FMRS MKT INC
85208M102
$57,495,479 745,436 -74%
VANGUARD WORLD FD
921910816
$57,283,896 155,900 +680%
JEFFERIES FINANCIAL GROUP IN
47233W109
$56,909,473 1,378,955 -60%
WEC ENERGY GROUP INC
92939UAR7
$56,779,093 45,900,000 +19%
GRAPHIC PACKAGING HLDG CO
388689101
$56,745,839 5,708,837 +224%
ADMA BIOLOGICS INC
000899104
$56,287,651 6,247,242 +63%
SPS COMM INC
78463M107
$56,128,720 1,008,240 +137%
OUTFRONT MEDIA INC
69007J304
$56,113,194 2,117,479 -42%
FLUOR CORP
343412102
$55,934,749 1,199,030 -50%
FRONTLINE PLC
M46528101
$55,439,462 1,590,346 +4%
FUTU HLDGS LTD
36118L106
$55,336,241 404,623 -58%
ALAMOS GOLD INC
011532108
$55,124,301 1,240,700 +49%
APOGEE THERAPEUTICS INC
03770N101
$54,929,510 652,602 -9%
REXFORD INDL RLTY INC
76169C100
$54,773,033 1,673,481 +173%
INDEPENDENCE RLTY TR INC
45378A106
$54,553,580 3,663,773 -39%
LINCOLN NATL CORP IND
534187109
$54,475,780 1,534,529 +75%
NEWS CORP NEW
65249B109
$54,380,681 2,181,335 Invariata
INSULET CORP
45784P101
$54,230,840 258,439 -23%
CURTISS WRIGHT CORP
231561101
$54,218,515 79,602 +98%
BELLRING BRANDS INC
07831C103
$54,116,237 3,363,346 +121%
CARMAX INC
143130102
$53,999,447 1,298,688 -18%
EDWARDS LIFESCIENCES CORP
28176E108
$53,976,402 674,031 -75%
TETRA TECH INC NEW
88162G103
$53,872,963 1,788,611 +1772%
AXIS CAP HLDGS LTD
G0692U109
$53,816,766 530,685 +30%
ISHARES INC
46434G772
$53,289,146 751,398 +903%
BARCLAYS PLC
06738E204
$53,226,795 2,515,444 +146%
TREX INC
89531P105
$53,087,213 1,457,639 -25%
CANADIAN PACIFIC KANSAS CITY
13646K108
$52,957,688 673,248 -29%
BROOKFIELD ASSET MANAGMT LTD
113004105
$52,828,336 1,188,489 -70%
FLOOR & DECOR HLDGS INC
339750101
$52,403,248 1,031,560 -17%
CARETRUST REIT INC
14174T107
$52,328,724 1,427,796 -44%
ROYAL BK CDA
780087102
$51,956,779 321,157 -47%
KITE REALTY GROUP TRUST
49803T300
$51,941,441 2,115,741 +2%
FLUTTER ENTMT PLC
G3643J108
$51,914,062 509,211 +42%
DARDEN RESTAURANTS INC
237194105
$51,859,638 264,536 +54%
DIREXION SHARES ETF TRUST
25460G831
$51,699,340 259,600 -23%
JOBY AVIATION INC
G65163100
$51,546,993 6,240,556 Invariata
POLARIS INC
731068102
$51,515,308 945,235 +162%
SOLARIS ENERGY INFRAS INC
83418M103
$51,513,612 911,584 -20%
ISHARES TR
464287226
$51,421,959 518,001 -20%
SIGNET JEWELERS LIMITED
G81276100
$51,361,668 606,825 +78%
PULTE GROUP INC
745867101
$51,284,429 436,055 -39%
TERADATA CORP DEL
88076W103
$51,231,474 1,998,887 +508%
PROSHARES TR
74347R206
$51,125,076 838,116 -47%
MACERICH CO
554382101
$51,010,817 2,698,985 -39%
DAVE INC
23834J201
$50,908,443 292,426 -40%
BROOKDALE SR LIVING INC
112463AF1
$50,823,579 30,834,000 Nuova
RALLIANT CORP
750940108
$50,811,418 1,221,722 +208%
ENCOMPASS HEALTH CORP
29261A100
$50,752,974 524,687 +262%
E L F BEAUTY INC
26856L103
$50,688,628 836,308 -63%
ADVANCE AUTO PARTS INC
00751Y106
$50,639,368 959,988 +32%
SUMITOMO MITSUI FIN GRP INC
86562M209
$50,625,274 2,563,305 -24%
RANGE RES CORP
75281A109
$50,604,175 1,120,057 -59%
QUANTUMSCAPE CORP
74767V109
$50,269,570 7,879,243 -49%
NETSTREIT CORP
64119V303
$50,227,801 2,667,435 +19%
BATH & BODY WORKS INC
070830104
$50,133,225 2,685,229 -24%
CAPRI HOLDINGS LIMITED
G1890L107
$50,057,433 2,840,944 -38%
ORUKA THERAPEUTICS INC
687604108
$49,959,240 1,018,537 +127%
AMERICOLD REALTY TRUST INC
03064D108
$49,861,073 4,350,879 -21%
NUTANIX INC
67059N108
$49,855,893 1,311,652 -67%
ULTRAGENYX PHARMACEUTICAL IN
90400D108
$49,680,641 2,371,391 -19%
LIFE TIME GROUP HOLDINGS INC
53190C102
$49,660,927 1,843,390 -5%
GARTNER INC
366651107
$49,649,882 313,565 -20%
SAREPTA THERAPEUTICS INC
803607100
$49,644,765 2,281,469 +117%
ABRDN SILVER ETF TRUST
003264108
$49,568,442 692,200 +99%
HARLEY DAVIDSON INC
412822108
$49,551,718 2,450,629 -26%
GENEDX HOLDINGS CORP
81663L200
$49,321,025 768,001 +10%
OLLIES BARGAIN OUTLET HLDGS
681116109
$49,282,634 535,448 -72%
SPROTT FDS TR
85208P873
$49,154,908 830,600 +325%
AMER SPORTS INC
G0260P102
$48,944,929 1,486,784 +336%
CNH INDL N V
N20944109
$48,927,879 4,447,989 +215%
JAZZ INVESTMENTS I LTD
472145AH4
$48,895,311 34,500,000 +144%
ALEXANDRIA REAL ESTATE EQ IN
015271109
$48,764,349 1,050,503 -43%
SCHOLAR ROCK HLDG CORP
80706P103
$48,496,291 986,499 +92%
BROADRIDGE FINL SOLUTIONS IN
11133T103
$48,415,953 297,981 -56%
GFL ENVIRONMENTAL INC
36168Q104
$48,254,395 1,156,625 -19%
PAYCOM SOFTWARE INC
70432V102
$48,209,692 396,657 -13%
BABCOCK & WILCOX ENTERPRISES
05614L209
$48,053,884 3,271,197 +521%
WESTERN ALLIANCE BANCORP
957638109
$48,016,250 677,717 -3%
BRIXMOR PPTY GROUP INC
11120U105
$48,012,624 1,667,105 -20%
NEKTAR THERAPEUTICS
640268306
$47,877,760 665,431 +131%
MURPHY OIL CORP
626717102
$47,690,940 1,156,144 +49%
VALARIS LTD
G9460G101
$47,542,243 484,927 +8%
GLOBE LIFE INC
37959E102
$47,353,567 340,257 -53%
AMCOR PLC
G0250X149
$47,214,295 1,187,781 Nuova
NATERA INC
632307104
$47,094,045 235,482 +4%
NAVITAS SEMICONDUCTOR CORP
63942X106
$46,790,879 5,335,334 +10%
EAST WEST BANCORP INC
27579R104
$46,788,211 438,256 +201%
SIONNA THERAPEUTICS INC
829401108
$46,782,264 1,166,931 +5%
HERBALIFE LTD
G4412G101
$46,751,014 3,176,020 +9%
SEABRIDGE GOLD INC
811916105
$46,681,846 1,647,207 -28%
REDWIRE CORPORATION
75776W103
$46,624,897 5,485,282 +55%
VIRIDIAN THERAPEUTICS INC
92790C104
$46,610,189 2,382,934 +114%
CARPENTER TECHNOLOGY CORP
144285103
$46,457,672 117,868 -9%
JOBY AVIATION INC
47775AAA9
$46,419,340 54,000,000 Nuova
CACI INTL INC
127190304
$46,400,813 85,316 +250%
MGM RESORTS INTERNATIONAL
552953101
$46,345,884 1,252,253 -48%
KLARNA GROUP PLC
G5279N105
$46,307,773 3,537,645 +368%
GLACIER BANCORP INC NEW
37637Q105
$46,290,717 1,036,282 +690%
ABRDN PALLADIUM ETF TRUST
003262102
$46,051,961 341,860 -15%
SABLE OFFSHORE CORP
78574H104
$46,019,698 2,785,696 +3%
MID-AMER APT CMNTYS INC
59522J103
$45,984,896 376,555 -74%
LIBERTY ENERGY INC
53115L104
$45,971,683 1,596,239 +368%
VARONIS SYS INC
922280102
$45,932,080 2,139,361 +168%
ONESTREAM INC
68278B107
$45,917,232 1,913,218 +6%
PENN ENTERTAINMENT INC
707569109
$45,840,778 3,049,952 +70%
WEX INC
96208T104
$45,625,356 298,127 +6558%
VANGUARD INTL EQUITY INDEX F
922042858
$45,623,605 844,100 +918%
ZEBRA TECHNOLOGIES CORPORATI
989207105
$45,579,858 218,002 +1%
ISHARES TR
464287556
$45,573,459 269,905 -50%
ARCHROCK INC
03957W106
$45,521,393 1,308,086 -19%
MONSTER BEVERAGE CORP NEW
61174X109
$45,405,682 626,631 -82%
NATIONAL STORAGE AFFILIATES
637870106
$45,383,181 1,202,522 +8%
SPDR SERIES TRUST
78464A854
$45,380,566 592,900 +27%
NORTHERN TR CORP
665859104
$45,368,624 325,060 +34%
AMERICAN CENTY ETF TR
025072802
$45,282,116 453,456 +20851%
BANK MONTREAL MEDIUM
063671101
$45,185,290 333,865 -59%
HINGE HEALTH INC
433313103
$45,119,634 1,170,115 +66%
PRIMORIS SVCS CORP
74164F103
$45,117,391 315,418 +110%
J P MORGAN EXCHANGE TRADED F
46654Q203
$45,033,327 811,119 +81%
NEXGEN ENERGY LTD
65340P106
$44,981,645 3,877,728 -33%
CLARIVATE PLC
G21810109
$44,883,331 17,740,447 -20%
CHEMED CORP NEW
16359R103
$44,844,915 118,719 +358%
HUNTINGTON BANCSHARES INC
446150104
$44,737,841 2,858,648 -72%
REGAL REXNORD CORPORATION
758750103
$44,568,068 238,001 +307%
LXP INDUSTRIAL TRUST
529043408
$44,418,620 960,195 -14%
MARSH & MCLENNAN COS INC
571748102
$44,279,530 255,287 -75%
BIGBEAR AI HLDGS INC
08975B109
$44,247,160 12,570,216 -57%
ICU MED INC
44930G107
$44,173,949 342,036 +44%
DIREXION SHARES ETF TRUST
25461H572
$44,148,737 1,107,595 Nuova
CHEFS WHSE INC
163086AE1
$44,029,825 29,783,000 +64%
CAPRICOR THERAPEUTICS INC
14070B309
$43,770,892 1,439,832 -19%
GENWORTH FINL INC
37247D106
$43,721,506 5,384,422 +4%
TTM TECHNOLOGIES INC
87305R109
$43,717,030 448,748 -55%
VANECK ETF TRUST
92189F601
$43,702,036 328,118 +207%
SPORTRADAR GROUP AG
H8088L103
$43,667,478 2,608,571 +15%
TANDEM DIABETES CARE INC
875372203
$43,653,291 2,277,167 -8%
GITLAB INC
37637K108
$43,594,646 2,014,540 -55%
URBAN EDGE PPTYS
91704F104
$43,511,205 2,177,738 -7%
JACOBS SOLUTIONS INC
46982L108
$43,511,177 341,854 -43%
HF SINCLAIR CORP
403949100
$43,476,159 696,845 -63%
STERLING INFRASTRUCTURE INC
859241101
$43,394,211 106,549 -23%
SOLVENTUM CORP
83444M101
$43,246,753 662,278 +217%
EQUIFAX INC
294429105
$43,136,669 239,555 -5%
TENCENT MUSIC ENTMT GROUP
88034P109
$43,095,587 4,643,921 +223%
AON PLC
G0403H108
$42,897,462 132,900 -75%
MINIMED GROUP INC
60365F109
$42,709,082 2,862,539 Nuova
SOUNDHOUND AI INC
836100107
$42,689,623 6,213,919 -19%
UL SOLUTIONS INC
903731107
$42,554,586 496,495 -24%
UNITED STS COMMODITY INDEX F
911718104
$42,527,936 1,235,200 +73%
ALLEGIANT TRAVEL CO
01748X102
$42,505,561 524,501 +5%
TOYOTA MOTOR CORP
892331307
$42,448,976 205,973 -29%
SENTINELONE INC
81730H109
$42,409,718 3,292,680 +28%
CAL MAINE FOODS INC
128030202
$42,387,516 535,534 +177%
BROOKDALE SR LIVING INC
112463104
$42,360,175 3,096,504 +64%
LIBERTY MEDIA CORP DEL
531229AQ5
$42,121,214 36,434,000 Nuova
BITFARMS LTD
09173B107
$42,113,200 21,596,513 -42%
EXLSERVICE HLDGS INC
302081104
$42,037,656 1,380,547 +358%
GODADDY INC
380237107
$42,029,676 508,403 +42%
DIAGEO PLC
25243Q205
$42,025,982 564,486 +157%
TIDEWATER INC NEW
88642R109
$41,922,967 501,771 +17%
RED CAT HLDGS INC
75644T100
$41,898,459 3,200,799 +114%
BIO RAD LABS INC
090572207
$41,887,484 150,269 +1094%
WORKIVA INC
98139A105
$41,875,466 702,255 +19%
LUMEN TECHNOLOGIES INC
550241103
$41,854,380 6,022,213 +8%
AMERICAN HEALTHCARE REIT INC
398182303
$41,824,789 886,870 +333%
KANZHUN LIMITED
48553T106
$41,823,411 3,123,481 +753%
NISOURCE INC
65473P105
$41,601,123 891,580 -60%
ESTABLISHMENT LABS HLDGS INC
G31249108
$41,573,578 732,187 +32%
NEW ORIENTAL ED & TECHNOLOGY
647581206
$41,561,323 733,910 +32%
LITHIA MTRS INC
536797103
$41,440,784 165,949 +37%
BANCO BILBAO VIZCAYA ARGENTA
05946K101
$41,339,410 1,908,560 +3145%
ZETA GLOBAL HOLDINGS CORP
98956A105
$41,319,262 2,595,431 -42%
PENTAIR PLC
G7S00T104
$41,317,231 474,311 +158%
CHOICE HOTELS INTL INC
169905106
$41,288,841 398,926 +133%
ARK ETF TR
00214Q302
$41,274,830 1,562,257 -16%
STANLEY BLACK & DECKER INC
854502101
$41,265,964 580,720 -49%
SHARPLINK INC
820014405
$41,108,649 6,373,434 -36%
VANGUARD INDEX FDS
922908553
$41,098,524 463,343 -7%
EXELIXIS INC
30161Q104
$41,096,984 958,195 +44%
GDS HLDGS LTD
36165L108
$40,872,231 1,014,451 +204%
AMERICAN FINANCIAL GROUP INC
025932104
$40,824,673 319,667 +194%
EQUIPMENTSHARE COM INC
29445S100
$40,783,979 2,002,159 Nuova
ARCHER AVIATION INC
03945R102
$40,743,467 7,880,748 -45%
FLYWIRE CORPORATION
302492103
$40,645,518 3,491,883 -31%
PPG INDS INC
693506107
$40,502,176 378,950 -36%
AVERY DENNISON CORP
053611109
$40,285,553 233,296 +538%
WORLD KINECT CORPORATION
98149GAB6
$40,258,146 38,281,000 -25%
JANUS LIVING INC
471024109
$40,252,728 1,707,795 Nuova
IMPERIAL OIL LTD
453038408
$40,174,037 307,094 +21%
TAKEDA PHARMACEUTICAL CO LTD
874060205
$40,122,839 2,166,460 +31%
AES CORP
00130H105
$40,019,643 2,840,287 -66%
NEXTDECADE CORP
65342K105
$39,994,147 5,221,168 +144%
TRUMP MEDIA & TECHNOLOGY GRO
25400Q105
$39,960,376 4,306,075 -57%
BLACKLINE INC
09239BAF6
$39,914,616 42,450,000 -4%
COGNEX CORP
192422103
$39,790,119 812,209 +9%
REPUBLIC SVCS INC
760759100
$39,778,193 181,619 -10%
PELOTON INTERACTIVE INC
70614W100
$39,777,245 9,272,085 -10%
KODIAK SCIENCES INC
50015M109
$39,735,831 1,042,388 +300%
GEO GROUP INC
36162J106
$39,696,142 2,361,460 +3%
AMKOR TECHNOLOGY INC
031652100
$39,655,264 880,641 -37%
FIRST INDL RLTY TR INC
32054K103
$39,632,341 685,088 Invariata
LOAR HOLDINGS INC
53947R105
$39,610,364 691,401 +99%
TEXAS CAP BANCSHARES INC
88224Q107
$39,564,771 416,998 -3%
ISHARES TR
464287614
$39,442,000 92,500 -61%
HOME BANCSHARES INC
436893200
$39,427,055 1,464,057 +106%
BROOKFIELD CORP
11271J107
$39,414,421 973,917 +113%
IMMUNITYBIO INC
45256X103
$39,392,185 5,135,878 +1090%
MARKEL GROUP INC
570535104
$39,376,248 20,572 -22%
CROWN HLDGS INC
228368106
$39,334,692 392,366 -59%
INTERDIGITAL INC
45867G101
$39,320,400 130,200 +30%
VOLATILITY SHS TR
92864M301
$39,273,256 2,664,400 -32%
ETORO GROUP LTD
G32089107
$39,231,012 1,306,394 +18%
DYCOM INDS INC
267475101
$39,191,648 115,671 +308%
RALPH LAUREN CORP
751212101
$39,137,462 113,775 -47%
LEVI STRAUSS & CO NEW
52736R102
$39,126,098 2,116,068 -12%
KARMAN HLDGS INC
485924104
$39,042,626 487,728 +118%
SIX FLAGS ENTERTAINMENT CORP
83001C108
$38,976,835 2,195,878 +234%
MOONLAKE IMMUNOTHERAPEUTICS
61559X104
$38,803,410 2,081,728 +28%
J P MORGAN EXCHANGE TRADED F
46641Q332
$38,677,185 682,378 -7%
MSC INDL DIRECT INC
553530106
$38,657,808 418,964 +62%
BRIGHTSTAR LOTTERY PLC
G4863A108
$38,613,131 3,030,858 -26%
BITDEER TECHNOLOGIES GROUP
G11448100
$38,600,037 4,462,432 -12%
TRIUMPH FINANCIAL INC
89679E300
$38,570,488 646,505 -3%
GXO LOGISTICS INCORPORATED
36262G101
$38,473,011 742,006 -54%
ISHARES TR
464288661
$38,449,171 324,192 +775%
SIBANYE STILLWATER LTD
82575P107
$38,370,246 3,114,468 -6%
PALOMAR HLDGS INC
69753M105
$38,351,374 320,932 +117%
SCORPIO TANKERS INC
Y7542C130
$38,313,198 513,169 -5%
FIFTH THIRD BANCORP
316773100
$38,309,243 824,564 +106%
COPA HOLDINGS SA
P31076105
$38,307,020 337,180 +116%
ALLISON TRANSMISSION HLDGS I
01973R101
$38,295,711 327,146 +367%
STRIDE INC
86333M108
$38,100,197 432,122 +2%
MIRION TECHNOLOGIES INC
60471A101
$38,088,159 2,048,852 -18%
BAXTER INTL INC
071813109
$38,050,925 2,264,936 -4%
CORE NATURAL RESOURCES INC
218937100
$38,016,990 363,000 -18%
SOUTHWEST GAS HLDGS INC
844895102
$37,865,719 435,739 +100%
DEUTSCHE BK AG
D18190898
$37,856,038 1,271,190 -19%
DIREXION SHARES ETF TRUST
25460G195
$37,813,525 1,152,500 -55%
FRESHWORKS INC
358054104
$37,809,431 4,708,522 -55%
SHARKNINJA INC
G8068L108
$37,508,404 354,187 -37%
AAON INC
000360206
$37,491,294 453,067 +2%
UNITED STS NAT GAS FD LP
912318409
$37,428,084 3,190,800 -12%
COMMERCE BANCSHARES INC
200525103
$37,381,963 759,796 -31%
PINNACLE WEST CAP CORP
723484AK7
$37,253,528 32,500,000 +16%
ARCELORMITTAL SA LUXEMBOURG
03938L203
$37,231,039 716,257 -25%
EQUITY LIFESTYLE PROPERTIES
29472R108
$37,134,594 594,915 +147%
AMDOCS LTD
G02602103
$37,010,055 567,117 +330%
MATSON INC
57686G105
$36,936,502 225,305 +15%
ALNYLAM PHARMACEUTICALS INC
02043Q107
$36,797,707 111,215 -50%
EQUITY RESIDENTIAL
29476L107
$36,720,557 620,804 +2%
EQUINOX GOLD CORP
29446Y502
$36,619,618 2,532,477 -62%
VANGUARD MUN BD FDS
922907746
$36,595,862 733,531 +416%
SUNRUN INC
86771W105
$36,543,034 2,694,914 -74%
ASHLAND INC
044186104
$36,387,625 654,336 +166%
INVESCO EXCH TRADED FD TR II
46138E339
$36,334,851 324,100 +265%
NLIGHT INC
65487K100
$36,266,488 636,031 +190%
CELANESE CORP DEL
150870103
$35,923,179 546,194 -65%
NOVANTA INC
67000B203
$35,908,094 670,000 +6%
BWX TECHNOLOGIES INC
05605H100
$35,601,096 174,097 -15%
NEWMARKET CORP
651587107
$35,524,654 55,425 +1336%
LUCID GROUP INC
549498202
$35,236,975 3,697,479 -30%
BILIBILI INC
090040106
$34,934,521 1,548,516 -31%
JONES LANG LASALLE INC
48020Q107
$34,929,241 114,778 -58%
CHEESECAKE FACTORY INC
163072AC5
$34,705,577 34,073,000 Nuova
DEXCOM INC
252131AM9
$34,644,664 37,500,000 Nuova
FORTIS INC
349553107
$34,644,530 620,981 +93%
NOV INC
62955J103
$34,611,623 1,840,065 +193%
CMB.TECH NV
B38564108
$34,580,660 2,733,649 +177%
NOBLE CORP PLC
G65431127
$34,412,791 701,300 +12%
ISHARES TR
46429B598
$34,366,508 733,700 -21%
BICARA THERAPEUTICS INC
055477103
$34,334,954 1,726,242 +156%
SANMINA CORP
801056102
$34,007,294 262,321 +174%
JD.COM INC
47215PAJ5
$33,980,536 34,000,000 Nuova
FORTUNE BRANDS INNOVATIONS I
34964C106
$33,931,140 870,699 -11%
WINGSTOP INC
974155103
$33,674,981 217,300 -78%
MGIC INVT CORP WIS
552848103
$33,614,936 1,280,569 +17%
BALL CORP
058498106
$33,523,468 567,137 -67%
UNIVERSAL DISPLAY CORP
91347P105
$33,484,406 365,311 +6%
ENDEAVOUR SILVER CORP
29258Y103
$33,276,500 3,574,275 +22%
PROSHARES TR II
74347W601
$33,114,648 538,800 +72%
VANGUARD SCOTTSDALE FDS
92206C870
$33,061,273 399,532 -38%
M & T BK CORP
55261F104
$33,059,903 159,926 +61%
SPROTT FDS TR
85208P303
$33,040,775 523,211 +115%
SYNAPTICS INC
87157D109
$32,947,726 470,413 -60%
GERON CORP
374163103
$32,944,897 22,110,669 +132%
WHIRLPOOL CORP
963320205
$32,934,458 800,000 Nuova
NICE LTD
653656108
$32,800,034 297,479 -80%
BANK NOVA SCOTIA B C
064149107
$32,711,755 471,963 +46%
LI AUTO INC
50202M102
$32,702,503 1,834,128 -24%
EASTMAN CHEM CO
277432100
$32,653,893 427,855 -69%
ISHARES INC
464286640
$32,596,361 819,828 +361%
ITRON INC
465741106
$32,546,177 363,117 +49%
ZAI LAB LTD
98887Q104
$32,387,659 1,721,832 +5%
API GROUP CORP
00187Y100
$32,347,197 798,302 +89%
HALOZYME THERAPEUTICS INC
40637HAF6
$32,255,106 25,092,000 +2%
AMERICAN EAGLE OUTFITTERS IN
02553E106
$32,179,230 1,926,900 -81%
MERITAGE HOMES CORP
59001A102
$32,168,797 520,194 -42%
HENRY JACK & ASSOC INC
426281101
$32,149,445 203,426 -89%
NUTANIX INC
67059NAK4
$32,062,505 35,440,000 Nuova
CELCUITY INC
15102K100
$32,051,197 280,806 +149%
INFLEQTION INC
45676K103
$31,990,655 3,261,025 Nuova
ELDORADO GOLD CORP NEW
284902509
$31,897,995 929,158 +39%
OGE ENERGY CORP
670837103
$31,882,273 664,768 -40%
VALVOLINE INC
92047W101
$31,865,255 946,118 -58%
ICON PLC
G4705A100
$31,760,195 287,007 +124%
METROPOLITAN BK HLDG CORP
591774104
$31,688,097 380,455 +353%
DXC TECHNOLOGY CO
23355L106
$31,682,786 2,520,508 +138%
LANTHEUS HLDGS INC
516544103
$31,670,712 417,544 -37%
BIRKENSTOCK HOLDING PLC
M2029K104
$31,658,492 883,575 +94%
DENISON MINES CORP
248356107
$31,600,147 8,951,883 +55%
MAPLEBEAR INC
565394103
$31,581,814 843,081 -83%
AMERICAN WTR WKS CO INC NEW
030420103
$31,487,551 231,373 -42%
KEMPER CORP
488401100
$31,477,503 1,030,023 -3%
EDISON INTL
281020107
$31,359,972 428,532 -67%
KLAVIYO INC
49845K101
$31,334,083 1,610,179 +30%
ZYMEWORKS INC
98985Y108
$31,312,971 1,250,518 +296%
ERO COPPER CORP
296006109
$31,279,963 1,172,852 +52%
DILLARDS INC
254067101
$31,233,202 54,593 +119%
HIGHWOODS PPTYS INC
431284108
$31,170,348 1,455,878 -45%
MARTIN MARIETTA MATLS INC
573284106
$31,099,964 52,830 -56%
OWENS CORNING NEW
690742101
$31,040,526 286,828 -48%
ANI PHARMACEUTICALS INC
00182CAC7
$30,986,352 25,000,000 +64%
ISHARES TR
464288257
$30,964,715 223,782 +74%
ONEMAIN HLDGS INC
68268W103
$30,916,471 577,986 -68%
C3 AI INC
12468P104
$30,911,664 3,671,219 -54%
TEXAS ROADHOUSE INC
882681109
$30,903,804 187,137 +60%
DIREXION SHARES ETF TRUST
25460G609
$30,845,726 299,444 +324%
FLUENCE ENERGY INC
34379VAB9
$30,830,411 30,498,000 Nuova
ORIC PHARMACEUTICALS INC
68622P109
$30,822,828 2,432,741 +54%
STANDARDAERO INC
85423L103
$30,815,707 1,193,020 +466%
JBT MAREL CORPORATION
477839104
$30,806,568 240,921 +12%
B2GOLD CORP
11777Q209
$30,755,394 6,789,270 Invariata
MUELLER INDS INC
624756102
$30,747,000 277,500 +442%
ARCUS BIOSCIENCES INC
03969F109
$30,681,396 1,420,435 +444%
VANGUARD WHITEHALL FDS
921946794
$30,635,068 325,075 +164%
NIOCORP DEVS LTD
654484609
$30,626,807 6,866,997 +600%
ENERSYS
29275Y102
$30,593,308 176,107 +95%
PROSHARES TR
74349Y753
$30,515,671 804,526 -38%
CHORD ENERGY CORPORATION
674215207
$30,339,932 213,391 +115%
MATADOR RES CO
576485205
$30,231,630 478,500 +18%
WEC ENERGY GROUP INC
92939UAP1
$30,152,103 25,000,000 Nuova
BANKUNITED INC
06652K103
$30,142,900 667,469 -36%
INVESCO CURRENCYSHARES
46138W107
$30,103,388 520,100 -11%
BANCO BRADESCO S A
059460303
$30,065,054 8,237,001 +86%
UNIQURE NV
N90064101
$29,937,913 1,831,065 -29%
CORTEVA INC
22052L104
$29,931,683 357,564 -87%
ALPHA METALLURGICAL RESOUR I
020764106
$29,924,671 145,782 -33%
QIAGEN NV
N72482156
$29,889,700 746,496 Nuova
STEWART INFORMATION SVCS COR
860372101
$29,856,509 484,841 +31%
SUPER GROUP SGHC LIMITED
G8588X103
$29,802,568 2,759,497 +17%
HUDBAY MINERALS INC
443628102
$29,790,463 1,425,381 +116%
CVR ENERGY INC
12662P108
$29,511,420 877,011 +54%
MADISON SQUARE GRDN SPRT COR
55825T103
$29,376,603 91,402 -27%
KE HLDGS INC
482497104
$29,297,337 1,957,070 +31%
GLOBALSTAR INC
378973507
$29,252,962 440,424 -27%
NOVA LTD
M7516K103
$29,192,302 67,220 -41%
BULLISH
G16910120
$29,180,691 816,700 +10%
PROSHARES TR
74347X823
$29,127,633 580,463 -37%
KYNDRYL HLDGS INC
50155Q100
$29,060,327 2,214,964 +120%
HEALTHEQUITY INC
42226A107
$29,009,821 347,132 +33%
CENTESSA PHARMACEUTICALS PLC
152309100
$28,995,481 729,997 +100%
PACS GROUP INC
69380Q107
$28,959,842 901,614 +4%
LISTED FDS TR
53656G498
$28,958,412 499,800 -30%
TUTOR PERINI CORP
901109108
$28,933,051 374,829 +6%
MBX BIOSCIENCES INC
55287L101
$28,895,785 968,033 +10%
LABCORP HOLDINGS INC
504922105
$28,852,567 108,139 -39%
QUANTUM COMPUTING INC
74766W108
$28,797,263 4,203,980 -55%
STUBHUB HLDGS INC
86384P109
$28,793,525 4,614,347 +71%
INVESCO EXCH TRADED FD TR II
46138E628
$28,762,968 363,536 +1%
ISHARES TR
464287804
$28,752,903 231,300 -50%
POET TECHNOLOGIES INC
73044W302
$28,704,064 4,832,334 +64%
PRIMO BRANDS CORPORATION
741623102
$28,693,757 1,523,832 +38%
CONSTELLIUM SE
F21107101
$28,655,561 1,165,808 +416%
INGREDION INC
457187102
$28,575,307 253,642 +670%
SPDR SERIES TRUST
78464A797
$28,538,742 479,240 -56%
SOCIEDAD QUIMICA Y MINERA DE
833635105
$28,532,483 352,514 -60%
DOVER CORP
260003108
$28,526,383 136,850 -59%
KOHLS CORP
500255104
$28,505,465 2,209,726 -50%
RELX PLC
759530108
$28,388,765 856,373 -3%
NNN REIT INC
637417106
$28,283,500 672,936 +27%
CARLYLE GROUP INC
14316J108
$28,250,082 583,800 -33%
PTC THERAPEUTICS INC
69366J200
$28,171,687 413,499 -68%
MANPOWERGROUP INC WIS
56418H100
$28,162,405 955,954 -32%
DEFINIUM THERAPEUTICS INC
24477V105
$28,146,674 1,489,242 Nuova
INTERNATIONAL SEAWAYS INC
Y41053102
$28,129,566 385,971 +182%
UNITED BANKSHARES INC WEST V
909907107
$28,118,133 678,854 +707%
INVESTMENT MANAGERS SER TR I
46152A668
$28,117,405 772,032 Nuova
IDACORP INC
451107106
$28,097,036 196,524 +232%
STAG INDUSTRIAL INC
85254J102
$28,089,946 778,978 -44%
ZTO EXPRESS CAYMAN INC
98980A105
$28,032,559 1,113,729 +29%
SPROTT INC
852066208
$27,981,392 195,811 +215%
GLOBAL X FDS
37954Y319
$27,934,375 437,363 +5265%
FORMFACTOR INC
346375108
$27,872,404 287,374 +85%
MPLX LP
55336V100
$27,852,785 488,046 -50%
CYTOMX THERAPEUTICS INC.
23284F105
$27,726,207 5,899,193 +1277%
SM ENERGY COMPANY
78454L100
$27,624,514 885,969 +76%
CRANE NXT CO
224441105
$27,567,388 679,167 +392%
PIPER SANDLER COMPANIES
724078209
$27,457,566 358,688 Nuova
GENTEX CORP
371901109
$27,365,443 1,252,423 -27%
CALLAWAY GOLF CO
131193104
$27,345,960 1,970,170 +670%
TELUS CORPORATION
87971M103
$27,167,320 2,117,484 -37%
PROSHARES TR II
74347Y748
$27,117,177 1,682,207 -34%
COMSTOCK RES INC
205768302
$26,942,242 1,278,095 -13%
SURGERY PARTNERS INC
86881A100
$26,831,336 2,250,951 +147%
CRACKER BARREL OLD CTRY STOR
22410J106
$26,816,069 953,969 -8%
DROPBOX INC
26210CAD6
$26,783,145 28,179,000 Nuova
UNUSUAL MACHS INC
91532F102
$26,752,975 2,157,498 +163%
BANC OF CALIFORNIA INC
05990K106
$26,729,072 1,520,425 -73%
STERIS PLC
G8473T100
$26,705,207 120,767 -68%
DIVERSIFIED ENERGY CO
25520W107
$26,701,250 1,531,035 +46%
ESCO TECHNOLOGIES INC
296315104
$26,678,378 94,816 Nuova
NETAPP INC
64110D104
$26,601,639 259,807 -55%
ILLUMINA INC
452327109
$26,562,530 215,500 -81%
APPIAN CORP
03782L101
$26,535,683 1,100,609 -62%
STANTEC INC
85472N109
$26,529,466 307,054 +94%
TRIMBLE INC
896239100
$26,458,070 405,612 Invariata
STIFEL FINL CORP
860630102
$26,413,833 357,330 +258%
CONCENTRA GROUP HOLDINGS PAR
20603L102
$26,397,979 1,230,675 -40%
PLANET FITNESS MASTER ISSUER
72703H101
$26,368,528 354,511 -86%
VIKING HOLDINGS LTD
G93A5A101
$26,334,938 358,396 -31%
KORN FERRY
500643200
$26,265,007 417,236 +452%
PARK HOTELS & RESORTS INC
700517105
$26,217,974 2,489,836 +48%
HEICO CORP NEW
422806109
$26,177,874 95,470 +88%
MAGNITE INC
55955D100
$26,106,395 2,197,508 -8%
RAYMOND JAMES FINL INC
754730109
$26,075,810 180,094 -42%
CHURCH & DWIGHT CO INC
171340102
$26,071,182 279,374 -23%
RINGCENTRAL INC
76680R206
$26,062,529 700,794 +143%
AGIOS PHARMACEUTICALS INC
00847X104
$26,029,242 769,413 -41%
TRIP COM GROUP LTD
89677Q107
$25,989,783 521,988 -70%
CERTARA INC
15687V109
$25,976,313 4,557,248 -8%
SSR MINING IN
784730103
$25,906,633 881,178 -34%
VANECK ETF TRUST
92189H805
$25,873,408 294,016 +139%
LINEAGE INC
53566V106
$25,869,098 789,655 +187%
J P MORGAN EXCHANGE TRADED F
46641Q654
$25,851,958 507,100 Nuova
EYEPOINT INC
30233G209
$25,847,995 2,005,275 +1308%
PEMBINA PIPELINE CORP
706327103
$25,820,343 576,862 +314%
WATERBRIDGE INFRASTRUCTURE L
940923105
$25,797,457 962,951 +1812%
FIRST TR EXCH TRD ALPHDX FD
33737J174
$25,759,821 296,329 Nuova
IDEAYA BIOSCIENCES INC
45166A102
$25,759,692 773,100 -27%
TMC THE METALS COMPANY INC
87261Y106
$25,742,913 5,512,401 +24%
MERCURY SYS INC
589378108
$25,734,751 352,966 +103%
J P MORGAN EXCHANGE TRADED F
46641Q134
$25,674,497 338,982 +1537%
VISTA ENERGY S.A.B. DE C.V.
92837L109
$25,623,348 339,517 -27%
THOMSON REUTERS CORP
884903808
$25,614,517 284,669 +26%
SPDR SERIES TRUST
78464A789
$25,551,350 464,570 +48%
GRANITESHARES ETF TR
38747R678
$25,535,760 240,088 +379%
ALKAMI TECHNOLOGY INC
01644J108
$25,522,983 1,628,780 +368%
PROSHARES TR II
74347Y813
$25,508,751 1,174,977 -36%
MANHATTAN ASSOCIATES INC
562750109
$25,467,054 191,309 +85%
WERIDE INC
950915108
$25,450,072 3,145,868 Invariata
SMURFIT WESTROCK PLC
G8267P108
$25,384,131 636,992 -77%
ASE TECHNOLOGY HLDG CO LTD
00215W100
$25,369,351 1,170,173 +1219%
DIREXION SHARES ETF TRUST
25461A858
$25,332,042 943,114 +21%
CELLEBRITE DI LTD
M2197Q107
$25,329,032 1,838,101 +57%
AEHR TEST SYS
00760J108
$25,288,226 681,991 +18%
CRANE COMPANY
224408104
$25,281,324 147,844 +285%
PROSHARES TR
74347G135
$25,240,289 716,850 -2%
MOBILEYE GLOBAL INC
60741F104
$25,140,978 3,659,531 -35%
UNUM GROUP
91529Y106
$25,048,633 342,991 +22%
WINTRUST FINL CORP
97650W108
$25,041,990 180,236 +10417%
AURA MINERALS INC
G06973112
$25,030,800 306,750 +29%
ISHARES TR
464287630
$25,020,003 131,969 +29%
XP INC
G98239109
$24,998,473 1,312,945 +176%
FIRST TR EXCHANGE-TRADED FD
33738D788
$24,987,736 1,192,163 +1038%
RB GLOBAL INC
74935Q107
$24,920,234 259,992 +319%
INSPIRE MED SYS INC
457730109
$24,917,061 483,076 -52%
GRAYSCALE BITCOIN TRUST ETF
389637109
$24,907,996 472,100 -17%
BENTLEY SYS INC
08265T208
$24,843,361 707,385 +142%
GUARDANT HEALTH INC
40131MAD1
$24,746,506 14,700,000 -38%
ETF SER SOLUTIONS
26922A420
$24,711,512 230,303 +85%
CMS ENERGY CORP
125896100
$24,705,894 318,457 -86%
KBR INC
48242W106
$24,673,383 669,381 +50%
PRAXIS PRECISION MEDICINES I
74006W207
$24,647,535 76,500 -40%
IPG PHOTONICS CORP
44980X109
$24,633,756 214,973 +96%
LIFESTANCE HEALTH GROUP INC
53228F101
$24,606,839 3,862,926 +3121%
NEWAMSTERDAM PHARMA COMPANY
N62509109
$24,553,718 767,064 -7%
EAGLE MATLS INC
26969P108
$24,475,804 129,194 +36%
GRINDR INC
39854F101
$24,470,463 2,024,025 +452%
ROBERT HALF INC.
770323103
$24,405,412 960,843 +14%
INVESCO CURRENCYSHARES EURO
46138K103
$24,250,637 227,300 -38%
MAZE THERAPEUTICS INC
578784100
$24,155,038 809,214 +30%
PROSHARES TR
74347R107
$24,144,952 465,400 -56%
DIREXION SHARES ETF TRUST
25490K596
$24,060,300 634,000 -23%
KINIKSA PHARMACEUTICALS INTL
G52694109
$24,058,148 499,650 -23%
LENDINGCLUB ISSUANCE TR SER
52603A208
$24,052,660 1,679,655 -57%
RLI CORP
749607107
$24,048,121 421,601 -24%
ALLIANT ENERGY CORP
018802108
$24,042,901 335,046 -44%
SIMMONS FIRST NATL CORP
828730200
$24,010,617 1,234,479 +92%
NORDSON CORP
655663102
$23,993,823 90,182 -3%
PONY AI INC
732908108
$23,988,947 2,541,202 -52%
SEZZLE INC
78435P105
$23,890,456 377,476 +8%
IES HOLDINGS INC
44951W106
$23,871,147 50,100 +6%
STAAR SURGICAL CO
852312305
$23,790,663 1,272,228 +402%
BITWISE SOLANA STAKING ETF
091948109
$23,645,199 2,139,837 +331%
TRANSALTA CORP
89346D107
$23,640,129 1,804,590 -22%
PERPETUA RESOURCES CORP
714266103
$23,612,336 839,699 +8%
AIR LEASE CORP
00912X302
$23,603,222 363,462 -11%
PAPA JOHNS INTL INC
698813102
$23,574,159 727,373 -12%
INVESTMENT MANAGERS SER TR I
46143U542
$23,529,870 646,425 +229%
GAP INC
364760108
$23,520,440 971,919 -68%
RYAN SPECIALTY HOLDINGS INC
78351F107
$23,443,868 694,839 -68%
SITIME CORP
82982T106
$23,380,195 67,700 -30%
TEEKAY TANKERS LTD
G8726X106
$23,372,143 318,769 +77%
PIMCO ETF TR
72201R585
$23,357,117 891,493 +117%
YORK SPACE SYSTEMS INC
987084100
$23,327,119 1,052,193 Nuova
BRINKS CO
109696104
$23,323,901 225,069 +57%
UNDER ARMOUR INC
904311107
$23,309,785 3,944,126 +34%
GILDAN ACTIVEWEAR INC
375916103
$23,285,185 418,422 -61%
INTERCONTINENTAL HOTELS GROU
45857P806
$23,282,631 174,454 +75%
CCC INTELLIGENT SOLUTIONS HL
12510Q100
$23,260,098 3,876,683 -39%
DOXIMITY INC
26622P107
$23,188,998 995,236 -82%
BORGWARNER INC
099724106
$23,076,127 425,288 +112%
HOST HOTELS & RESORTS INC
44107P104
$23,060,477 1,203,574 -71%
PERRIGO CO PLC
G97822103
$23,049,597 2,146,145 -8%
DONALDSON INC
257651109
$22,897,926 269,800 +162%
COMMVAULT SYS INC
204166102
$22,881,667 293,769 -80%
POST HLDGS INC
737446104
$22,857,025 231,206 -17%
GARRETT MOTION INC
366505105
$22,849,538 1,257,542 +42%
CNX RES CORP
12653C108
$22,795,039 591,311 +43%
GLOBANT S A
L44385109
$22,773,222 493,889 -40%
CHAMPION HOMES INC
830830105
$22,772,242 306,202 -37%
TRANSMEDICS GROUP INC
89377M109
$22,725,225 228,601 -47%
EPAM SYS INC
29414B104
$22,714,434 167,758 -29%
CALIX INC
13100M509
$22,701,868 463,398 +519%
JETBLUE AIRWAYS CORP
477143101
$22,697,336 5,135,144 +25%
US FOODS HLDG CORP
912008109
$22,690,852 246,078 +200%
MDU RES GROUP INC
552690109
$22,684,442 1,094,809 -32%
BRIDGEBIO ONCOLOGY THERAPEUT
107924102
$22,632,420 2,528,762 -29%
GUIDEWIRE SOFTWARE INC
40171V100
$22,629,624 151,308 -69%
THOR INDS INC
885160101
$22,627,884 283,238 -78%
EVERGY INC
30034WAD8
$22,617,419 16,750,000 -46%
ISHARES TR
464288273
$22,554,401 287,647 Nuova
ARDELYX INC
039697107
$22,545,007 3,763,774 +117%
SUN CTRY AIRLS HLDGS INC
866683105
$22,521,386 1,363,280 -43%
CINCINNATI FINL CORP
172062101
$22,500,106 142,994 -2%
THE REALREAL INC
88339P101
$22,382,318 2,465,013 -45%
NEXTNAV INC
65345N106
$22,365,859 1,396,121 -45%
LEMAITRE VASCULAR INC
525558AB8
$22,292,045 19,750,000 +12%
MADDEN STEVEN LTD
556269108
$22,228,488 655,321 +379%
VICOR CORP
925815102
$22,223,635 138,035 +72%
ADECOAGRO S A
L00849106
$22,212,342 1,478,851 +1485%
LIONSGATE STUDIOS CORP
53626N102
$22,207,199 2,315,662 -44%
SUNSTONE HOTEL INVS INC NEW
867892101
$22,187,548 2,462,547 -18%
PROSHARES TR II
74347Y797
$22,075,681 2,653,327 +576%
LEXEO THERAPEUTICS INC
52886X107
$22,074,313 3,845,699 -41%
PROPETRO HLDG CORP
74347M108
$22,064,318 1,531,181 +37%
GRAND CANYON ED INC
38526M106
$22,060,032 129,742 +108%
SMITH A O CORP
831865209
$22,034,181 334,155 +43%
ARROWHEAD PHARMACEUTICALS IN
04280A100
$21,975,974 350,494 -57%
CORCEPT THERAPEUTICS INC
218352102
$21,953,632 544,620 -44%
ARTISAN PARTNERS ASSET MGMT
04316A108
$21,907,289 602,014 +106%
GLOBAL X FDS
37954Y384
$21,878,142 871,292 +1258%
ACM RESH INC
00108J109
$21,877,734 555,978 -12%
SERVE ROBOTICS INC
81758H106
$21,874,674 2,591,786 +11%
MDA SPACE LTD
55293N109
$21,872,024 863,824 Nuova
UNIVERSAL HLTH SVCS INC
913903100
$21,851,164 122,094 -21%
PROSHARES TR
74350P659
$21,839,227 384,900 -36%
GRANITESHARES ETF TR
38747R751
$21,837,585 1,788,500 -8%
BLUE OWL CAPITAL CORPORATION
69121K104
$21,823,703 1,973,210 +3784%
GUARDIAN PHARMACY SVCS INC
40145W101
$21,809,697 579,121 Nuova
VERA THERAPEUTICS INC
92337R101
$21,803,091 541,961 -49%
VIAVI SOLUTIONS INC
925550105
$21,751,043 653,577 +62%
ASSURANT INC
04621X108
$21,750,289 99,859 +230%
UNITED STATES ANTIMONY CORP
911549103
$21,748,568 2,491,245 -19%
SKEENA RES LTD NEW
83056P715
$21,696,997 730,047 +31%
SPROTT ASSET MANAGEMENT LP
85207K107
$21,625,759 886,665 Nuova
ISHARES INC
464286806
$21,604,837 544,614 +128%
NATIONAL ENERGY SERVICES REU
G6375R107
$21,558,886 1,004,140 -45%
DIREXION SHARES ETF TRUST
25460E216
$21,557,802 424,868 +113%
TEUCRIUM COMMODITY TR
88166A870
$21,453,555 910,206 +2221%
KADANT INC
48282T104
$21,430,425 73,304 +671%
FULTON FINL CORP PA
360271100
$21,413,057 1,052,756 +246%
NURIX THERAPEUTICS INC
67080M103
$21,394,650 1,380,300 -5%
ISHARES TR
46432F339
$21,323,518 111,170 +102%
BOYD GAMING CORP
103304101
$21,275,662 258,891 +46%
FORTUNA MNG CORP
349942102
$21,216,219 2,136,578 +159%
ORMAT TECHNOLOGIES INC
686688102
$21,208,616 189,498 -13%
FMC CORP
302491303
$21,164,241 1,229,050 -39%
ENBRIDGE INC
29250N105
$21,109,294 389,902 +44%
TENARIS S A
88031M109
$21,103,224 362,723 -46%
RELIANCE INC
759509102
$21,058,313 69,289 -50%
PIMCO ETF TR
72201R551
$20,845,047 442,917 Nuova
FLEX LNG LTD
G35947202
$20,836,603 701,333 +293%
H WORLD GROUP LTD
44332N106
$20,812,918 413,858 -30%
FLUENCE ENERGY INC
34379V103
$20,733,554 1,506,799 -63%
WOLFSPEED INC
97785W106
$20,706,310 1,268,769 +111%
INVESCO DB US DLR INDEX TR
46141D203
$20,704,573 745,305 +7%
CARTERS INC
146229109
$20,697,316 578,784 -1%
MINERALYS THERAPEUTICS INC
603170101
$20,673,490 763,141 +15%
SELLAS LIFE SCIENCES GROUP I
81642T209
$20,653,571 4,882,641 +175%
FIGS INC
30260D103
$20,643,188 1,397,643 +363%
FLOWERS FOODS INC
343498101
$20,637,447 2,532,202 -7%
HANOVER INS GROUP INC
410867105
$20,634,543 119,034 +134%
ABM INDS INC
000957100
$20,605,850 534,939 +117%
CORECIVIC INC
21871N101
$20,550,972 1,086,778 +89%
DESCARTES SYS GROUP INC
249906108
$20,533,712 286,944 -31%
VANGUARD INDEX FDS
922908744
$20,496,229 104,466 +132%
WARBY PARKER INC
93403J106
$20,466,281 971,347 -2%
WAVE LIFE SCIENCES LTD
Y95308105
$20,431,631 2,818,156 -49%
WESTERN MIDSTREAM PARTNERS L
958669103
$20,335,345 493,936 -32%
COGENT COMM HOLDINGS INC
19239V302
$20,316,679 1,078,380 +100%
SSGA ACTIVE ETF TR
78467V608
$20,294,342 505,589 +8%
ZOOMINFO TECHNOLOGIES INC
98980F104
$20,284,154 3,391,999 -34%
HALOZYME THERAPEUTICS INC
40637HAD1
$20,274,985 19,455,000 -56%
ISHARES INC
464286327
$20,244,114 570,900 +342%
MARKETAXESS HLDGS INC
57060D108
$20,236,282 122,659 -84%
PARSONS CORP DEL
70202L102
$20,205,952 373,010 -17%
VNET GROUP INC
90138A103
$20,186,121 2,405,974 +134%
HARROW INC
415858109
$20,146,083 571,358 -40%
BOK FINL CORP
05561Q201
$20,131,288 157,202 +362%
SUMMIT THERAPEUTICS INC
86627T108
$20,115,479 1,060,943 -64%
HERCULES CAPITAL INC
427096508
$20,097,317 1,360,685 -7%
ALMONTY INDS INC
020398707
$20,093,172 1,387,650 -32%
INNOVIVA INC
45781MAD3
$20,071,583 18,500,000 Nuova
PROSHARES TR
74350P667
$20,054,125 266,500 -38%
MANULIFE FINL CORP
56501R106
$20,032,232 581,656 +83%
ISHARES TR
46432F859
$20,026,483 413,258 +955%
LITHIUM AMERS CORP NEW
53681J103
$19,966,444 5,054,796 -9%
VALMONT INDS INC
920253101
$19,960,120 49,954 +120%
QUALYS INC
74758T303
$19,909,445 226,630 +182%
BOSTON BEER INC
100557107
$19,840,665 86,114 -42%
10X GENOMICS INC
88025U109
$19,780,713 931,734 +388%
TD SYNNEX CORPORATION
87162W100
$19,760,497 117,127 -81%
UWM HOLDINGS CORPORATION
91823B109
$19,747,549 5,455,124 -44%
VIR BIOTECHNOLOGY INC
92764N102
$19,746,729 2,203,876 +502%
COCA COLA CONS INC
191098102
$19,683,453 102,657 +108%
DIREXION SHARES ETF TRUST
25460E190
$19,652,631 485,370 -2%
EXPEDITORS INTL WASH INC
302130109
$19,609,476 136,909 -21%
VICI PPTYS INC
925652109
$19,588,331 716,996 -80%
CHEMOURS CO
163851108
$19,538,562 886,907 +123%
ARMOUR RESIDENTIAL REIT INC
042315705
$19,516,968 1,170,082 +25%
PROSHARES TR
74348A467
$19,516,441 184,100 +718%
VERMILION ENERGY INC
923725105
$19,444,530 1,411,069 +33%
VANGUARD SPECIALIZED FUNDS
921908844
$19,441,424 90,400 -17%
AMBEV SA
02319V103
$19,441,027 6,657,886 +111%
GRUPO AEROMEXICO SAB DE CV
40054J109
$19,418,112 1,386,018 -35%
CANADIAN SOLAR INC
136635109
$19,417,700 1,402,000 -49%
DIREXION SHARES ETF TRUST
25460E232
$19,389,479 2,762,034 +46%
RAMACO RES INC
75134P600
$19,368,288 1,252,800 -2%
CAPITAL GROUP CONSERVATIVE E
14020U100
$19,302,154 647,506 +490%
DIREXION SHARES ETF TRUST
25461A833
$19,259,563 199,788 -41%
COLUMBIA SPORTSWEAR CO
198516106
$19,256,287 351,328 -59%
BEAM THERAPEUTICS INC
07373V105
$19,208,648 806,070 +36%
TELEDYNE TECHNOLOGIES INC
879360105
$19,181,842 31,705 +55%
REVVITY INC
714046109
$19,156,189 218,653 +42%
ARAMARK
03852U106
$19,155,312 472,504 +79%
VOLATILITY SHS TR
92864M798
$19,132,048 856,020 -70%
CAMTEK LTD
M20791105
$19,114,231 126,075 Invariata
RBC BEARINGS INC
75524B104
$19,096,642 35,161 +992%
EMBRAER S.A.
29082A107
$19,085,287 321,626 -49%
MOOG INC
615394202
$19,079,542 65,198 +206%
ZIONS BANCORPORATION NATL AS
989701107
$19,073,545 331,023 -56%
SOLID BIOSCIENCES INC
83422E204
$19,067,040 2,648,200 +26%
NANO NUCLEAR ENERGY INC
63010H108
$19,041,874 929,779 -69%
INSPERITY INC
45778Q107
$19,034,565 703,941 -6%
REVOLVE GROUP INC
76156B107
$19,026,632 841,514 -34%
HARMONY BIOSCIENCES HLDGS IN
413197104
$18,980,220 677,623 Invariata
CGI INC
12532H104
$18,933,485 259,008 +57%
WOLVERINE WORLD WIDE INC
978097103
$18,900,388 1,158,112 +795%
NUVALENT INC
670703107
$18,899,259 184,473 -11%
KOSMOS ENERGY LTD
500688106
$18,881,418 6,791,877 +216%
WABTEC
929740108
$18,873,953 75,523 -72%
PJT PARTNERS INC
69343T107
$18,862,480 135,002 +57%
DENTSPLY SIRONA INC
24906P109
$18,827,531 1,623,063 -13%
VANGUARD WORLD FD
92204A306
$18,774,840 108,500 +291%
APPFOLIO INC
03783C100
$18,761,484 118,879 -81%
SUZANO S A
86959K105
$18,741,302 1,872,258 +10644%
HEARTFLOW INC
42238D107
$18,702,593 768,705 -49%
WD 40 CO
929236107
$18,621,150 91,307 +221%
WEALTHFRONT CORP
947002101
$18,562,808 2,006,790 +56%
LANDBRIDGE COMPANY LLC
514952100
$18,556,013 268,733 +26%
STAR BULK CARRIERS CORP.
Y8162K204
$18,542,510 807,249 +47%
VORNADO RLTY TR
929042109
$18,510,416 712,213 -63%
FORTIVE CORP
34959J108
$18,505,864 334,766 -67%
IMMATICS N.V
N44445109
$18,445,700 1,874,563 +2%
BCE INC
05534B760
$18,407,027 729,280 -37%
SFL CORPORATION LTD
G7738W106
$18,379,395 1,703,373 +161%
SUNBELT RENTALS HOLDINGS INC
866966104
$18,346,528 281,864 Nuova
SPROTT ASSET MANAGEMENT LP
85208R101
$18,342,423 384,376 +891%
DAKTRONICS INC
234264109
$18,340,598 938,138 +416%
MATCH GROUP INC NEW
57667L107
$18,304,941 596,058 -40%
NEOGEN CORP
640491106
$18,262,319 1,965,804 -15%
WENDYS CO
95058W100
$18,237,112 2,624,045 -7%
HALOZYME THERAPEUTICS INC
40637H109
$18,216,030 281,851 +654%
HEICO CORP NEW
422806208
$18,208,202 86,258 +275%
SELECT WATER SOLUTIONS INC
81617J301
$18,140,552 1,185,657 +754%
ISHARES TR
464287549
$18,134,519 153,021 +76%
ENOVIS CORPORATION
194014502
$18,128,588 796,861 +189%
CG ONCOLOGY INC
156944100
$18,125,719 267,815 -44%
AMERICAN CENTY ETF TR
025072604
$18,074,658 224,307 -17%
PACIRA BIOSCIENCES INC
695127100
$18,018,550 797,281 -18%
SYNDAX PHARMACEUTICALS INC
87164F105
$17,929,781 767,542 +132%
FULLER H B CO
359694106
$17,915,820 290,464 +288%
SCIENCE APPLICATIONS INTL CO
808625107
$17,869,924 188,263 -64%
WILLSCOT HLDGS CORP
971378104
$17,865,471 1,029,117 -17%
ALLIANCE LAUNDRY HLDGS INC
01862Q107
$17,742,075 855,452 -55%
GREEN PLAINS INC
393222104
$17,666,823 1,073,971 Invariata
SPDR SERIES TRUST
78464A409
$17,574,845 179,500 +30%
ORGANON & CO
68622V106
$17,551,239 2,930,090 -12%
OLD REP INTL CORP
680223104
$17,515,821 438,993 +87%
CARLISLE COS INC
142339100
$17,510,379 52,486 -34%
TALOS ENERGY INC
87484T108
$17,447,550 1,107,078 +832%
DANAOS CORPORATION
Y1968P121
$17,395,108 154,431 +353%
WESCO INTL INC
95082P105
$17,390,193 63,556 -16%
NATIONAL VISION HLDGS INC
63845R107
$17,380,661 671,068 -6%
SIGMA LITHIUM CORPORATION
826599102
$17,367,859 1,407,444 -49%
VANGUARD WORLD FD
92204A504
$17,339,523 63,671 +131%
LAZARD INC
52110M109
$17,321,263 407,751 -50%
VANGUARD CHARLOTTE FDS
92203J407
$17,317,124 360,398 +1575%
ISHARES TR
46429B671
$17,285,912 307,688 -35%
CAE INC
124765108
$17,268,519 662,899 +123%
SOLENO THERAPEUTICS INC
834203309
$17,267,143 515,745 -39%
URANIUM ENERGY CORP
916896103
$17,216,550 1,275,300 -64%
BANCO MACRO S A
05961W105
$17,207,861 222,410 -5%
GRAYSCALE ETHEREUM STAKING E
389638107
$17,198,537 1,007,530 -27%
CLEAN HARBORS INC
184496107
$17,181,435 59,922 +230%
TXNM ENERGY INC
69349H107
$17,128,254 292,991 -80%
DIREXION SHARES ETF TRUST
25460G849
$17,123,807 458,346 -8%
NCINO INC
63947X101
$17,099,610 1,141,496 +32%
PILGRIMS PRIDE CORP
72147K108
$17,090,138 452,599 +187%
CARNIVAL PLC
14365C103
$17,049,587 661,606 +110%
SUNOCOCORP LLC
86765Q106
$17,028,346 276,210 -15%
MEDICAL PROPERTIES TRUST INC
58463J304
$17,005,221 3,672,834 -2%
VERALTO CORP
92338C103
$16,976,021 191,993 -66%
LOGITECH INTL S A
H50430232
$16,974,562 186,288 -36%
AUTOLIV INC
052800109
$16,939,803 161,086 +17%
ISHARES TR
46434V621
$16,934,434 241,300 -84%
TELEPHONE & DATA SYS INC
879433829
$16,911,486 401,698 -22%
HEXCEL CORP NEW
428291108
$16,904,820 208,882 -59%
ENVIRI CORP
415864107
$16,839,473 858,281 +16%
ALBANY INTL CORP
012348108
$16,836,315 322,473 +72%
ELASTIC N V
N14506104
$16,821,135 336,490 -16%
ALLOGENE THERAPEUTICS INC
019770106
$16,804,572 6,887,120 Invariata
LINCOLN ELEC HLDGS INC
533900106
$16,755,362 67,269 +7%
COOPER COS INC
216648501
$16,747,088 234,225 +71%
ROGERS COMMUNICATIONS INC
775109200
$16,746,244 435,533 -62%
CANADIAN IMPERIAL BANK OF CO
136069101
$16,724,417 176,511 -80%
PURECYCLE TECHNOLOGIES INC
74623V103
$16,710,108 3,219,674 -66%
OUSTER INC
68989M202
$16,701,508 909,173 -44%
MCEWEN INC.
58039P305
$16,691,798 817,424 +5%
VANGUARD WHITEHALL FDS
921946406
$16,660,806 112,497 -20%
GIGACLOUD TECHNOLOGY INC
G38644103
$16,627,731 366,411 -53%
AMERICAS GOLD AND SILVER COR
03062D803
$16,552,359 3,170,950 +584%
BIOHAVEN LTD
G1110E107
$16,534,283 1,954,407 -32%
OLEMA PHARMACEUTICALS INC
68062P106
$16,495,410 1,106,332 -52%
PROCORE TECHNOLOGIES INC
74275K108
$16,467,300 288,900 -85%
CNO FINL GROUP INC
12621E103
$16,466,250 401,029 +126%
LIGHTWAVE LOGIC INC
532275104
$16,431,212 2,337,299 +132%
CONSTRUCTION PARTNERS INC
21044C107
$16,420,313 147,771 +51%
TEXTRON INC
883203101
$16,411,721 187,434 +56%
SOUTHSTATE BK CORP
84472E102
$16,397,597 177,233 +50%
BOISE CASCADE CO DEL
09739D100
$16,392,475 216,117 +77%
NABORS INDUSTRIES LTD
G6359F137
$16,361,813 190,121 +128%
STRIVE INC
862945300
$16,351,298 1,631,866 Nuova
BIT DIGITAL INC
G1144A105
$16,314,440 12,453,771 +3%
GLOBAL X FDS
37960A529
$16,287,320 229,917 +175%
RAYONIER INC
754907103
$16,283,624 789,701 +42%
REGIONS FINANCIAL CORP NEW
7591EP100
$16,269,025 622,857 -8%
DOUBLEVERIFY HLDGS INC
25862V105
$16,267,629 1,712,382 -14%
GOLDMAN SACHS ETF TR
38149W630
$16,235,392 328,054 +654%
CAPITAL GROUP DIVIDEND GROWE
14021L109
$16,202,316 451,318 Nuova
ICHOR HOLDINGS
G4740B105
$16,185,322 347,250 +367%
TREVI THERAPEUTICS INC
89532M101
$16,145,931 1,353,389 +336%
MARQETA INC
57142B104
$16,138,379 3,955,485 +103%
INNOSPEC INC
45768S105
$16,128,877 220,883 +190%
DIREXION SHARES ETF TRUST
25460G500
$16,113,768 364,400 +133%
NEOS ETF TRUST
78433H675
$16,064,777 323,300 +27%
ADVISORSHARES TR
00768Y453
$15,999,513 4,506,905 -50%
TRIMAS CORP
896215209
$15,989,095 444,883 +339%
AMERICAN SUPERCONDUCTOR CORP
030111207
$15,964,100 471,613 -41%
INVESCO EXCH TRADED FD TR II
46138G706
$15,921,918 285,800 -48%
VANGUARD BD INDEX FDS
92203C303
$15,911,684 319,608 Nuova
FOX CORP
35137L204
$15,909,185 299,608 -66%
LIGHTPATH TECHNOLOGIES INC
532257805
$15,868,944 1,582,148 +74%
LAMAR ADVERTISING CO
512816109
$15,857,199 125,195 +18%
BANCO DE CHILE
059520106
$15,834,044 427,485 +110%
HAEMONETICS CORP MASS
405024100
$15,828,875 280,853 -85%
PAYMENTUS HOLDINGS INC
70439P108
$15,819,146 622,801 -40%
REMITLY GLOBAL INC
75960P104
$15,780,928 1,007,079 -82%
AKAMAI TECHNOLOGIES INC
00971TAN1
$15,772,329 13,807,000 Nuova
ACCELERANT HOLDINGS
G00894108
$15,738,160 1,178,006 +27%
LAMB WESTON HLDGS INC
513272104
$15,729,172 372,200 -60%
BLACKROCK ETF TRUST II
092528603
$15,722,690 302,767 Nuova
CATALYST PHARMACEUTICALS INC
14888U101
$15,633,291 631,393 +81%
ACADEMY SPORTS & OUTDOORS IN
00402L107
$15,632,925 276,934 -58%
NOVAVAX INC
670002401
$15,632,431 1,920,446 -3%
SHOALS TECHNOLOGIES GROUP IN
82489W107
$15,577,525 2,367,405 -56%
HEALTHCARE RLTY TR
42226K105
$15,549,571 915,219 -46%
NEWELL BRANDS INC
651229106
$15,545,058 4,532,087 +5%
NVR INC
62944T105
$15,499,280 2,352 -93%
BENCHMARK ELECTRS INC
08160H101
$15,492,293 276,352 +214%
FIDELITY NATL FINL INC
31620R303
$15,464,623 333,433 -38%
ASCENDIS PHARMA A/S
04351P101
$15,462,148 67,600 -88%
SOLV ENERGY INC
78475V103
$15,456,051 514,687 Nuova
DTE ENERGY CO
233331107
$15,413,489 105,413 -48%
PENSKE AUTOMOTIVE GRP INC
70959W103
$15,388,150 102,917 +57%
HILLMAN SOLUTIONS CORP
431636109
$15,349,069 1,844,840 -37%
GRAIL INC
384747101
$15,348,650 296,994 -39%
SOUTH BOW CORP
83671M105
$15,321,369 459,825 -20%
IRHYTHM HOLDINGS INC
450056106
$15,318,996 129,800 -5%
BROADSTONE NET LEASE INC
11135E203
$15,239,519 834,128 -16%
EDGEWISE THERAPEUTICS INC
28036F105
$15,237,559 483,732 +175%
ISHARES TR
464288448
$15,230,649 357,863 +670%
VERTICAL AEROSPACE LTD
G9471C206
$15,220,860 6,887,267 +983%
BETA TECHNOLOGIES INC
086921103
$15,194,317 1,033,627 -52%
PERSPECTIVE THERAPEUTICS INC
46489V302
$15,179,651 3,640,204 +1596%
LSB INDS INC
502160104
$15,127,419 1,015,263 +1542%
MASCO CORP
574599106
$15,126,850 250,569 -28%
STELLANTIS N.V
N82405106
$15,113,427 2,131,654 -76%
SL GREEN RLTY CORP
78440X887
$15,089,473 408,486 -58%
METHANEX CORP
59151K108
$15,065,168 253,026 +483%
HEALTHPEAK PROPERTIES INC
42250P103
$15,053,856 916,242 -81%
DIMENSIONAL ETF TRUST
25434V203
$14,987,172 384,681 +3666%
GLOBAL X FDS
37954Y855
$14,981,897 201,505 +30%
PROSHARES TR
74347B201
$14,971,713 426,059 +115%
ENOVIX CORPORATION
293594107
$14,956,365 2,887,329 -52%
DIREXION SHARES ETF TRUST
25461A866
$14,931,557 648,916 +191%
FOMENTO ECONOMICO MEXICANO S
344419106
$14,926,797 134,403 +153%
JANUS DETROIT STR TR
47103U845
$14,870,030 295,216 +365%
BLACKSTONE MORTGAGE TRUST IN
09257W100
$14,841,058 774,990 -33%
UNIFIRST CORP MASS
904708104
$14,828,463 58,939 +92%
ADVANCED DRAIN SYS INC DEL
00790R104
$14,813,194 108,023 -88%
SWEETGREEN INC
87043Q108
$14,811,274 2,853,810 -47%
VERTEX INC
92538J106
$14,800,779 1,244,809 -30%
CECO ENVIRONMENTAL CORP
125141101
$14,798,838 248,386 +250%
ARS PHARMACEUTICALS INC
82835W108
$14,774,300 1,839,888 -38%
INSTALLED BLDG PRODS INC
45780R101
$14,746,317 55,615 +76%
ISHARES TR
46436E718
$14,741,657 146,450 +1094%
ALLEGRO MICROSYSTEMS INC
01749D105
$14,722,744 466,944 -79%
IMPINJ INC
453204109
$14,709,824 143,231 -13%
RYMAN HOSPITALITY PPTYS INC
78377T107
$14,707,561 159,397 -90%
SEALSQ CORP
G79483106
$14,695,318 5,608,900 -33%
J P MORGAN EXCHANGE TRADED F
46654Q757
$14,690,274 171,536 -11%
ACADIA PHARMACEUTICALS INC
004225108
$14,661,771 658,660 -61%
VOYAGER TECHNOLOGIES INC
92892B103
$14,604,108 624,374 -41%
AMERICAN HOMES 4 RENT
02665T306
$14,557,460 521,399 -30%
GLOBAL X FDS
37954Y715
$14,548,201 437,935 +197%
BRUNSWICK CORP
117043109
$14,533,519 199,746 -52%
VANGUARD SCOTTSDALE FDS
92206C102
$14,501,529 247,720 +96%
CVB FINL CORP
126600105
$14,493,540 747,475 -2%
BKV CORP
05603J108
$14,492,809 508,163 +961%
VANGUARD MALVERN FDS
922020805
$14,478,607 289,862 +2118%
HUNTSMAN CORP
447011107
$14,477,034 1,087,681 -15%
AVNET INC
053807103
$14,437,135 234,293 +3%
INNODATA INC
457642205
$14,397,536 372,800 -60%
ATMUS FILTRATION TECHNOLOGIE
04956D107
$14,389,208 253,465 +26%
APTIV PLC
G3265R107
$14,342,901 206,551 -71%
INTELLIA THERAPEUTICS INC
45826J105
$14,328,158 1,117,641 -26%
ISHARES INC
464286665
$14,321,708 269,509 +40%
T1 ENERGY INC
35834F104
$14,314,398 3,260,683 -73%
ARBOR REALTY TRUST INC
038923108
$14,304,764 1,855,352 +38%
TRAVERE THERAPEUTICS INC
89422G107
$14,280,528 480,664 +24%
BOBS DISC FURNITURE INC
09681N106
$14,273,818 1,214,793 Nuova
ULTRA CLEAN HLDGS INC
90385V107
$14,221,996 228,723 +631%
NETEASE COM INC
64110W102
$14,216,380 127,000 +41%
ISHARES TR
464287598
$14,209,055 66,500 -55%
HESS MIDSTREAM LP
428103105
$14,202,748 365,391 +132%
CAVCO INDS INC DEL
149568107
$14,182,433 29,285 -48%
PENNYMAC MTG INVT TR
70931T103
$14,091,518 1,208,535 +93%
RENASANT CORP
75970E107
$14,061,832 389,201 -67%
BRIGHTHOUSE FINL INC
10922N103
$13,976,471 233,408 -20%
TRIPLE FLAG PRECIOUS METAL
89679M104
$13,945,645 401,776 +58%
BANCORP INC DEL
05969A105
$13,944,063 259,521 +50%
TASEKO MINES LTD
876511106
$13,908,651 2,156,380 -7%
ISHARES TR
464288612
$13,803,219 129,389 +240%
GROUP 1 AUTOMOTIVE INC
398905109
$13,774,376 41,661 +76%
CAMPING WORLD HLDGS INC
13462K109
$13,710,207 2,007,351 -13%
UNITED NAT FOODS INC
911163103
$13,707,883 304,214 -41%
UPSTART HLDGS INC
91680MAD9
$13,705,761 14,000,000 Nuova
DROPBOX INC
26210C104
$13,643,042 600,486 -16%
FIDELITY COVINGTON TRUST
316092808
$13,599,812 65,368 +396%
ISHARES TR
46434V613
$13,571,407 293,817 Nuova
WORLD GOLD TR
98149E303
$13,561,010 146,305 -2%
IOVANCE BIOTHERAPEUTICS INC
462260100
$13,557,533 3,862,545 +13%
ETF OPPORTUNITIES TRUST
26923N819
$13,553,890 973,000 -47%
SABRA HEALTH CARE REIT INC
78573L106
$13,539,343 704,074 +277%
AXALTA COATING SYS LTD
G0750C108
$13,533,832 488,586 -84%
J P MORGAN EXCHANGE TRADED F
46641Q837
$13,518,690 267,115 Nuova
ROOT INC
77664L207
$13,509,350 305,849 -47%
BANNER CORP
06652V208
$13,502,028 222,512 -8%
ISHARES TR
464288588
$13,496,668 142,145 +602%
TECNOGLASS INC
G87264100
$13,462,030 302,178 +4434%
INVESCO EXCH TRADED FD TR II
46138E370
$13,444,982 115,955 +39%
VANGUARD SCOTTSDALE FDS
92206C813
$13,434,432 179,797 -27%
COVISTA INC
00737L103
$13,419,249 116,436 +44%
HERC HLDGS INC
42704L104
$13,376,234 134,367 -78%
ANAPTYSBIO INC
032724106
$13,374,179 241,150 +67%
CORVUS PHARMACEUTICALS INC
221015100
$13,353,123 912,722 +264%
ACADIA RLTY TR
004239109
$13,315,933 696,440 Nuova
BROOKFIELD INFRASTRUCTURE CO
11276H106
$13,306,779 336,710 +13%
RESIDEO TECHNOLOGIES INC
76118Y104
$13,286,662 394,146 +14%
ISHARES TR
464288729
$13,270,386 73,313 Nuova
NAVIOS MARITIME PARTNERS LP
Y62267409
$13,262,924 196,546 -31%
OLD NATL BANCORP IND
680033107
$13,242,011 599,186 +350%
TELEFONAKTIEBOLAGET LM ERICS
294821608
$13,238,869 1,174,700 +72%
SK TELECOM CO LTD
78440P306
$13,233,632 451,814 +1380%
ISHARES TR
464287341
$13,221,841 229,506 +21%
AMENTUM HOLDINGS INC
023939101
$13,218,335 506,838 -17%
PAGAYA TECHNOLOGIES LTD
M7S64L123
$13,162,077 1,129,792 -70%
CRITICAL METALS CORP
G2662B103
$13,147,314 1,655,833 +120%
BETTER HOME & FINANCE HOLDIN
08774B508
$13,139,007 368,866 +19%
INVESCO LTD
G491BT108
$13,138,752 540,912 -70%
PROSHARES TR
74347G440
$13,129,930 1,410,304 -67%
ECOPETROL S A
279158109
$13,121,781 875,369 +37%
RUSH STREET INTERACTIVE INC
782011100
$13,113,619 602,925 -52%
SILICON MOTION TECHNOLOGY CO
82706C108
$13,103,120 116,690 -27%
PICS NV
N69958101
$13,070,526 1,250,768 Nuova
INVESCO DB COMMDY INDX TRCK
46138B103
$13,063,456 451,242 +575%
PITNEY BOWES INC
724479100
$13,045,873 1,180,622 -30%
DAUCH CORP
024061103
$13,043,035 2,199,500 +190%
DIREXION SHARES ETF TRUST
25461A189
$13,023,605 255,465 Nuova
ARVINAS INC
04335A105
$13,011,372 1,227,488 +107%
GOLD FIELDS LTD
38059T106
$13,009,642 286,556 -68%
SNAP ON INC
833034101
$12,985,478 35,751 -19%
KYMERA THERAPEUTICS INC
501575104
$12,968,003 155,697 -10%
ICICI BANK LIMITED
45104G104
$12,943,939 499,766 -86%
SUNOCO LP/SUNOCO FIN CORP
86765K109
$12,942,024 199,200 +28%
ARDMORE SHIPPING CORP
Y0207T100
$12,932,626 848,041 +140%
CRESCENT ENERGY COMPANY
44952J104
$12,888,005 954,667 -57%
TARSUS PHARMACEUTICALS INC
87650L103
$12,844,254 183,097 Nuova
NAVAN INC
639193101
$12,839,093 969,720 -33%
FIVE9 INC
338307101
$12,829,936 845,744 -43%
MAGNOLIA OIL & GAS CORP
559663109
$12,826,007 406,272 +62%
NAVIENT CORPORATION
63938C108
$12,787,140 1,563,220 -26%
GENIUS SPORTS LIMITED
G3934V109
$12,781,821 2,885,287 -74%
INCYTE CORP
45337C102
$12,770,578 135,684 -30%
IVANHOE ELECTRIC INC
46578C108
$12,769,264 1,080,310 +86%
PRECISION DRILLING CORP
74022D407
$12,744,965 129,522 +88%
TENABLE HLDGS INC
88025T102
$12,718,710 751,919 -18%
EVOLV TECHNOLOGIES HLDNGS IN
30049H102
$12,705,745 2,100,123 +11%
AMERICAN CENTY ETF TR
025072372
$12,692,188 211,607 +292%
HALLADOR ENERGY COMPANY
40609P105
$12,643,374 776,620 +50%
DIREXION SHARES ETF TRUST
25461A809
$12,621,176 563,697 -41%
INVESTMENT MANAGERS SER TR I
46092D673
$12,605,688 391,481 +87%
MADISON SQUARE GARDEN ENTMT
558256103
$12,595,665 213,812 -10%
VERASTEM INC
92337C203
$12,594,225 2,376,269 -33%
CRINETICS PHARMACEUTICALS IN
22663K107
$12,571,587 346,134 -5%
RYANAIR HOLDINGS PLC
783513203
$12,557,512 217,258 +406%
TEUCRIUM COMMODITY TR
88166A102
$12,551,910 682,169 +1167%
ALUMIS INC
022307102
$12,550,646 569,707 +588%
Q2 HLDGS INC
74736L109
$12,547,886 265,283 +47%
BEL FUSE INC
077347300
$12,537,479 63,327 +301%
GLOBAL SHIP LEASE INC
Y27183600
$12,535,080 336,693 +24%
CANTALOUPE INC
138103106
$12,530,314 1,159,141 Nuova
SCOTTS MIRACLE-GRO CO
810186106
$12,521,326 205,909 Invariata
VANGUARD STAR FDS
921909768
$12,499,531 162,100 +155%
VONTIER CORPORATION
928881101
$12,488,136 352,076 +149%
BREAD FINANCIAL HOLDINGS INC
018581108
$12,487,757 166,748 +396%
WESTERN UN CO
959802109
$12,466,780 1,428,039 -58%
FIDELITY MERRIMACK STR TR
316188309
$12,443,402 272,762 Nuova
CULLEN FROST BANKERS INC
229899109
$12,420,819 90,610 -38%
ISHARES TR
464288182
$12,404,078 128,820 Nuova
CREDIT ACCEP CORP MICH
225310101
$12,391,710 29,263 -66%
VANGUARD TAX-MANAGED FDS
921943858
$12,391,662 193,378 +435%
DIREXION SHARES ETF TRUST
25460G187
$12,373,094 462,200 -61%
SPDR SERIES TRUST
78464A631
$12,369,842 48,704 +55%
UNITED STS GASOLINE FD LP
91201T102
$12,352,644 119,534 +596%
GREEN PLAINS INC
393222AM6
$12,338,922 8,776,000 +33%
ERASCA INC
29479A108
$12,332,088 762,181 +193%
DIMENSIONAL ETF TRUST
25434V872
$12,311,859 291,612 +221%
ETFS GOLD TR
00326A104
$12,309,543 275,875 +2%
MAGNA INTL INC
559222401
$12,297,342 220,343 -10%
HA SUSTAINABLE INFRA CAP INC
41068X100
$12,296,734 334,605 +124%
LEGEND BIOTECH CORP
52490G102
$12,273,703 678,480 +80%
GRAYSCALE BITCOIN MINI TR ET
389930207
$12,266,270 409,012 +7%
APPLIED INDL TECHNOLOGIES IN
03820C105
$12,206,578 46,007 -80%
VANGUARD ADMIRAL FDS INC
921932505
$12,189,931 29,900 -12%
ITRON INC
465741AQ9
$12,183,002 12,099,000 -59%
TEEKAY CORPORATION LTD
G8726T105
$12,136,374 993,970 +164%
PROSHARES TR II
74347Y672
$12,119,384 538,400 Nuova
TORO CO
891092108
$12,031,895 128,766 -70%
VISHAY INTERTECHNOLOGY INC
928298108
$12,017,916 667,662 +19%
BELDEN INC
077454106
$12,009,151 104,582 +16%
AZENTA INC
114340102
$11,971,498 566,564 +16%
PAYPAY CORP
70450C101
$11,950,400 560,000 Nuova
PAGSEGURO DIGITAL LTD
G68707101
$11,908,018 1,188,425 +6%
ALPHATEC HLDGS INC
02081G201
$11,906,409 1,094,339 -64%
GRAYSCALE ETHEREUM STAKING
38964R203
$11,900,767 599,233 -63%
A10 NETWORKS INC
002121101
$11,884,142 514,020 +342%
BAUSCH PLUS LOMB CORP
071705107
$11,872,864 746,721 -28%
DORIAN LPG LTD
Y2106R110
$11,806,798 345,228 +91%
TERRESTRIAL ENERGY INC
881454102
$11,800,774 1,965,158 -20%
HERTZ GLOBAL HLDGS INC
42806J700
$11,769,505 2,553,038 -70%
MEDPACE HLDGS INC
58506Q109
$11,768,497 24,508 -74%
PLUG PWR INC
72919P202
$11,751,060 5,199,584 -33%
STARWOOD PPTY TR INC
85571B105
$11,729,524 681,157 -37%
ISHARES TR
46434V449
$11,695,367 243,552 +742%
PAR TECHNOLOGY CORP
698884103
$11,688,450 876,853 +164%
ASSURED GUARANTY LTD
G0585R106
$11,681,461 143,366 -20%
AGCO CORP
001084102
$11,678,074 100,786 +40%
ASP ISOTOPES INC
00218A105
$11,677,666 2,642,006 -52%
UNIVERSAL CORP VA MTNS BK EN
913456109
$11,642,484 220,920 +84%
GULFPORT ENERGY CORP
402635502
$11,636,773 55,002 +39%
SPECTRUM BRANDS HOLDINGS INC
84790A105
$11,622,712 157,703 +671%
PRECIGEN INC
74017N105
$11,618,835 3,002,283 -25%
NEUROCRINE BIOSCIENCES INC
64125C109
$11,615,252 88,168 -30%
BANCO BBVA ARGENTINA S A
058934100
$11,603,945 722,537 +107%
ABRDN ETFS
003261104
$11,600,904 477,600 Nuova
FLOWSERVE CORP
34354P105
$11,597,158 157,763 -59%
WATSCO INC
942622200
$11,596,534 31,877 -57%
BIOCRYST PHARMACEUTICALS INC
09058V103
$11,566,285 1,214,946 -2%
PLEXUS CORP
729132100
$11,549,438 57,023 +186%
REYNOLDS CONSUMER PRODS INC
76171L106
$11,540,898 544,896 +70%
STRATEGY INC
594972AJ0
$11,518,280 10,000,000 Nuova
AMERICAN CENTY ETF TR
025072315
$11,514,238 172,968 +162%
PAMPA ENERGIA SA
697660207
$11,497,301 129,913 +141%
ISHARES INC
464286822
$11,490,104 152,733 -85%
FUELCELL ENERGY INC
35952H700
$11,483,841 1,758,628 +36%
VAXCYTE INC
92243G108
$11,482,536 197,600 -38%
VANECK ETF TRUST
92189F700
$11,479,663 135,854 +4406%
NATIONAL HEALTH INVS INC
63633D104
$11,435,545 141,424 +171%
FORWARD AIR CORP
34986A104
$11,428,671 683,942 -29%
WILEY JOHN & SONS INC
968223206
$11,423,599 299,832 +65%
DIMENSIONAL ETF TRUST
25434V799
$11,423,535 321,518 Nuova
MERCURY GENL CORP NEW
589400100
$11,400,087 129,326 +98%
RXO INC
74982T103
$11,387,474 778,897 +28%
COMMERCIAL METALS CO
201723103
$11,374,993 185,170 +81%
AMN HEALTHCARE SVCS INC
001744101
$11,348,132 618,764 +13%
TIDAL TRUST II
88636J600
$11,311,994 182,894 +7%
JEFFERSON CAPITAL INC
47248R103
$11,297,587 587,498 +95%
LEMAITRE VASCULAR INC
525558201
$11,286,322 103,383 +685%
ANTERO MIDSTREAM CORP
03676B102
$11,285,042 494,958 +26%
GOLDMAN SACHS PHYSICAL GOLD
38150K103
$11,232,022 243,170 +50%
VITA COCO CO INC
92846Q107
$11,217,456 234,136 -13%
FIRST TR EXCHANGE-TRADED FD
33737A108
$11,204,249 68,494 +1282%
ARCH CAP GROUP LTD
G0450A105
$11,198,673 116,665 -70%
OXFORD LANE CAP CORP
691543847
$11,188,124 1,143,980 +311%
FIRST COMWLTH FINL CORP PA
319829107
$11,149,377 634,208 +19%
ISHARES TR
46429B267
$11,140,927 486,291 Nuova
SKYWATER TECHNOLOGY INC
83089J108
$11,104,476 405,125 -53%
AMERICAN CENTY ETF TR
025072406
$11,071,924 169,192 +45%
STRATEGIC ED INC
86272C103
$11,052,844 133,231 +141%
HELIX ENERGY SOLUTIONS GRP I
42330P107
$11,013,267 1,113,576 +155%
ADVISORS INNER CIRCLE FD
0075W0155
$11,012,003 375,903 Nuova
DOUBLELINE ETF TRUST
25861R402
$10,999,543 222,753 Nuova
LAKELAND FINL CORP
511656100
$10,895,027 189,875 +132%
PRIVIA HEALTH GROUP INC
74276R102
$10,894,139 529,613 -40%
DLOCAL LTD
G29018101
$10,890,572 839,674 -44%
PROSHARES TR
74349Y100
$10,888,585 419,437 +438%
NBT BANCORP INC
628778102
$10,876,976 255,448 +135%
PRESTIGE CONSMR HEALTHCARE I
74112D101
$10,872,489 183,440 -28%
COMPANIA DE MINAS BUENAVENTU
204448104
$10,867,646 301,544 -54%
SKYWEST INC
830879102
$10,867,621 118,345 +3%
COTY INC
222070203
$10,860,406 5,403,187 -8%
CRA INTL INC
12618T105
$10,850,331 67,027 +117%
DRAGANFLY INC.
26142Q304
$10,819,303 2,203,524 +69%
ROGERS CORP
775133101
$10,812,317 100,739 +28%
GETTY RLTY CORP NEW
374297109
$10,798,994 339,591 +139%
CANTOR EQUITY PARTNERS IV IN
G1828E100
$10,784,974 1,058,388 -20%
ARK ETF TR
00214Q401
$10,766,493 89,267 -4%
PERIMETER SOLUTIONS INC
71385M107
$10,765,557 440,850 +5%
FIDELITY MERRIMACK STR TR
316188408
$10,718,057 214,147 Nuova
TIDAL TRUST III
45259A845
$10,712,950 255,618 Invariata
TURNING PT BRANDS INC
90041L105
$10,677,774 123,030 -64%
ISHARES TR
464288869
$10,672,961 66,869 +853%
LITHIUM ARGENTINA AG
H5012F103
$10,661,140 1,595,979 +450%
HCI GROUP INC
40416E103
$10,657,113 68,929 +43%
AMPLIFY COMMODITY TRUST
03210A206
$10,647,850 108,100 Nuova
INGRAM MICRO HLDG CORP
457152106
$10,622,017 455,685 +2316%
SELECT SECTOR SPDR TR
81369Y860
$10,615,800 260,000 -31%
URBAN OUTFITTERS INC
917047102
$10,611,379 167,504 -70%
PINNACLE WEST CAP CORP
723484101
$10,605,751 105,268 -77%
APELLIS PHARMACEUTICALS INC
03753U106
$10,592,036 263,287 -54%
ACLARIS THERAPEUTICS INC
00461U105
$10,567,571 2,818,019 +50%
VICTORY CAP HLDGS INC DEL
92645B103
$10,548,108 161,089 +553%
PATTERSON-UTI ENERGY INC
703481101
$10,531,417 972,430 -38%
DIREXION SHARES ETF TRUST
25460E869
$10,519,956 1,057,282 -10%
TELADOC HEALTH INC
87918A105
$10,506,417 1,927,783 -49%
G III APPAREL GROUP LTD
36237H101
$10,496,805 378,946 +11%
TILRAY BRANDS INC
88688T209
$10,494,263 1,621,988 -62%
KINSALE CAP GROUP INC
49714P108
$10,488,962 30,700 -51%
STRATEGY INC
594972AQ4
$10,473,328 9,500,000 Nuova
MOHAWK INDS INC
608190104
$10,460,883 106,245 +25%
SEABOARD CORP DEL
811543107
$10,448,629 1,848 +112%
LATTICE STRATEGIES TR
518416102
$10,433,804 264,683 +904%
COLUMBIA ETF TR I
19761L508
$10,405,058 575,501 Nuova
ALLIANCE RESOURCE PARTNERS L
01877R108
$10,395,847 375,980 +30%
ISHARES INC
464286715
$10,382,936 268,640 +647%
TIDAL TRUST II
88636J238
$10,364,038 296,200 +8%
FULCRUM THERAPEUTICS INC
359616109
$10,359,762 1,350,686 -30%
FIRST TR EXCHANGE-TRADED FD
33738D606
$10,345,792 479,638 +1284%
ANDERSEN GROUP INC
033853102
$10,336,925 380,034 +7%
LB PHARMACEUTICALS INC
50180M108
$10,280,902 416,906 +13%
RYDER SYS INC
783549108
$10,279,922 50,217 +7%
F N B CORP
302520101
$10,252,938 613,214 -50%
JBS N.V.
N4732M103
$10,243,108 570,329 -78%
HOWARD HUGHES HOLDINGS INC
44267T102
$10,241,794 161,900 +2%
VS TRUST
92891H606
$10,231,964 1,181,520 +89%
ORLA MNG LTD NEW
68634K106
$10,221,484 633,694 -27%
ISHARES TR
464287689
$10,218,906 27,568 +292%
HALEON PLC
405552100
$10,201,842 1,019,165 -87%
PHATHOM PHARMACEUTICALS INC
71722W107
$10,200,736 918,158 +50%
MARTEN TRANS LTD
573075108
$10,171,062 774,643 +28%
TORTOISE CAPITAL SERIES TRUS
890930308
$10,153,989 239,707 Nuova
UNITED PARKS & RESORTS INC
81282V100
$10,147,266 310,694 +3947%
GCI LIBERTY INC
36164V800
$10,140,916 272,532 -23%
DORMAN PRODS INC
258278100
$10,126,573 97,035 +609%
RAMBUS INC DEL
750917106
$10,116,698 117,595 -75%
XPLR INFRASTRUCTURE LP
65341B106
$10,106,746 951,671 -32%
FIRST TR EXCHNG TRADED FD VI
33740F888
$10,096,599 407,614 Nuova
JACKSON FINANCIAL INC
46817M107
$10,068,138 95,234 -78%
DANA INC
235825205
$10,065,960 299,137 -58%
DYNEX CAP INC
26817Q886
$10,051,983 787,773 -20%
FIRSTCASH HOLDINGS INC
33768G107
$10,011,000 53,250 -40%
BLACKBERRY LTD
09228F103
$10,007,650 3,088,781 -44%
ISHARES TR
464287507
$9,974,181 147,700 +7%
LIGHTSPEED COMMERCE INC
53229C107
$9,970,652 1,112,796 +39%
AURORA INNOVATION INC
051774107
$9,966,033 2,418,940 -16%
GRANITESHARES ETF TR
38747R710
$9,959,688 608,411 -69%
FRONTDOOR INC
35905A109
$9,954,384 188,316 +131%
NMI HLDGS INC
629209305
$9,932,460 264,795 -35%
MICROCHIP TECHNOLOGY INC.
595017BG8
$9,924,486 10,000,000 Nuova
SOTERA HEALTH CO
83601L102
$9,914,490 691,387 -12%
ERIE INDTY CO
29530P102
$9,913,928 39,449 +26%
SERVICE CORP INTL
817565104
$9,893,692 119,909 -65%
PROCURE ETF TRUST II
74280R205
$9,891,315 220,739 +351%
NUVATION BIO INC
67080N101
$9,891,072 2,305,611 +80%
VANGUARD INTL EQUITY INDEX F
922042866
$9,881,089 101,106 +949%
NEWMARK GROUP INC
65158N102
$9,875,442 658,802 -7%
FLOWCO HLDGS INC
342909108
$9,855,329 478,414 +4199%
AMERICAN CENTY ETF TR
02507A101
$9,788,181 144,729 +231%
MOZAYYX ACQUISITION CORP
G63113123
$9,787,045 983,593 Nuova
ZILLOW GROUP INC
98954M101
$9,744,613 235,434 -50%
GMO ETF TRUST
90139K407
$9,742,972 268,920 Nuova
LAUREATE ED INC
518613203
$9,709,699 278,694 -79%
CHEESECAKE FACTORY INC
163072101
$9,707,175 177,300 -60%
ALGONQUIN POWER & UTILITIES
015857105
$9,702,545 1,580,219 -32%
ITT INC
45073V108
$9,700,454 50,913 -91%
PIMCO ETF TR
72201R577
$9,677,571 95,846 +1355%
SPRINKLR INC
85208T107
$9,677,286 1,612,881 +162%
LKQ CORP
501889208
$9,671,864 329,311 -74%
GENESCO INC
371532102
$9,662,367 333,300 +1758%
NORTHERN OIL & GAS INC
665531307
$9,657,592 330,400 +3%
VALKYRIE ETF TRUST II
91917A207
$9,651,408 277,180 -12%
OCEANFIRST FINL CORP
675234108
$9,637,131 534,209 +660%
AMERISAFE INC
03071H100
$9,635,103 289,082 +88%
STURM RUGER & CO INC
864159108
$9,634,789 240,329 +59%
NAVIGATOR HLDGS LTD
Y62132108
$9,627,713 498,071 +381%
VANGUARD INTL EQUITY INDEX F
922042742
$9,627,072 69,600 +14%
CAPITAL GRP FIXED INCM ETF T
14020Y102
$9,606,848 430,029 +26%
DIREXION SHARES ETF TRUST
25460E661
$9,591,200 152,000 +152%
WINMARK CORP
974250102
$9,575,409 22,396 +244%
OCULAR THERAPEUTIX INC
67576A100
$9,560,275 1,128,722 -73%
CACTUS INC
127203107
$9,537,097 201,332 +206%
PIMCO ETF TR
72201R882
$9,524,688 148,800 -28%
FIDELITY COVINGTON TRUST
316092543
$9,515,907 301,327 +69%
UNITED MICROELECTRONICS CORP
910873405
$9,512,712 1,059,322 -4%
SLIDE INS HLDGS INC
831349105
$9,510,426 528,357 -78%
BLACKROCK ETF TRUST
09290C822
$9,504,419 95,541 +63%
GRAHAM HLDGS CO
384637104
$9,499,481 8,985 +157%
PROSHARES TR
74347X799
$9,495,510 184,200 -27%
ODDITY TECH LTD
M7518J104
$9,442,146 705,691 -36%
BRUKER CORP
116794108
$9,411,897 260,573 -87%
PEGASYSTEMS INC
705573103
$9,382,990 220,465 -46%
CIRRUS LOGIC INC
172755100
$9,381,789 64,872 -48%
ANI PHARMACEUTICALS INC
00182C103
$9,365,036 121,782 +258%
QORVO INC
74736K101
$9,343,031 120,711 -83%
ISHARES TR
464287192
$9,337,682 125,170 +567%
LA Z BOY INC
505336107
$9,327,510 290,215 -39%
OFG BANCORP
67103X102
$9,310,291 230,111 +159%
COGNYTE SOFTWARE LTD
M25133105
$9,303,077 1,148,528 +179%
DIREXION SHARES ETF TRUST
25461A874
$9,299,505 331,415 +45%
QFIN HOLDINGS INC
88557W101
$9,287,673 719,417 -6%
VANGUARD WORLD FD
92204A884
$9,277,226 51,586 +1309%
FIRST TR EXCHANGE TRADED FD
33738R811
$9,269,964 62,860 +106%
CENTURI HOLDINGS INC
155923105
$9,242,950 316,431 -29%
ATLANTA BRAVES HLDGS INC
047726302
$9,237,804 216,342 +73%
SUNCOKE ENERGY INC
86722A103
$9,217,822 1,415,948 +111%
UNITI GROUP LLC
912932100
$9,213,233 982,221 +24%
HIMAX TECHNOLOGIES INC
43289P106
$9,207,931 1,170,004 +12%
ARK ETF TR
00214Q807
$9,205,892 313,659 +156%
BEAZER HOMES USA INC
07556Q881
$9,196,105 477,968 +72%
DIEBOLD NIXDORF INC
253651202
$9,178,860 121,671 +62%
LIBERTY BROADBAND CORP
530307305
$9,158,977 182,087 -58%
EASTERN BANKSHARES INC
27627N105
$9,157,894 468,195 -80%
KIMCO REALTY CORP
49446R109
$9,145,267 406,999 -42%
SELECTIVE INS GROUP INC
816300107
$9,118,119 120,946 +121%
COOPER-STANDARD HOLDINGS INC
21676P103
$9,117,308 327,137 +188%
INTERNATIONAL BANCSHARES COR
459044103
$9,114,095 135,445 +334%
BIO-TECHNE CORP
09073M104
$9,103,796 174,202 -84%
FIRST TR EXCHANGE-TRADED FD
33734X200
$9,101,710 285,052 +587%
SPDR SERIES TRUST
78468R432
$9,100,236 362,776 -4%
COURSERA INC
22266M104
$9,096,998 1,563,058 +126%
ISHARES TR
464287754
$9,093,923 61,637 Nuova
AMERICAN PUB ED INC
02913V103
$9,091,131 159,830 +2983%
ROLLINS INC
775711104
$9,087,551 170,147 -72%
ISHARES TR
464287648
$9,071,306 28,907 -20%
EURONET WORLDWIDE INC
298736109
$9,060,036 136,508 -62%
FULL TRUCK ALLIANCE CO LTD
35969L108
$9,058,039 1,091,330 +70%
KENNAMETAL INC
489170100
$9,050,674 250,503 -21%
VANECK ETF TRUST
92189F643
$9,046,285 93,550 +2912%
EVERUS CONSTR GROUP
300426103
$9,023,326 76,430 -64%
SILVERCORP METALS INC
82835P103
$8,992,828 837,321 -43%
ALPS ETF TR
00162Q452
$8,980,331 170,599 -44%
DAY ONE BIOPHARMACEUTICALS I
23954D109
$8,976,928 418,700 -44%
GLOBAL X FDS
37954Y632
$8,971,467 192,232 +53%
ISHARES STAKED ETHEREUM TR E
46438M106
$8,941,094 331,520 Nuova
ISHARES INC
464286350
$8,934,855 197,499 Nuova
KINGSOFT CLOUD HLDGS LTD
49639K101
$8,929,223 668,355 +150%
PHINIA INC
71880K101
$8,917,253 130,293 +10%
FS KKR CAP CORP
302635206
$8,913,517 875,591 -36%
GRANITESHARES ETF TR
38747R553
$8,913,040 172,000 +84%
VANGUARD WORLD FD
921910709
$8,898,150 137,000 +14%
PGIM ETF TR
69344A735
$8,882,712 179,448 -2%
LIMBACH HLDGS INC
53263P105
$8,859,221 113,507 +16%
DNOW INC
67011P100
$8,857,575 743,709 Invariata
CREDICORP LTD
G2519Y108
$8,838,692 26,059 -47%
DIME CMNTY BANCSHARES INC
25432X102
$8,832,194 261,153 +103%
ISHARES TR
46436E205
$8,829,589 379,604 +740%
INSTEEL INDS INC
45774W108
$8,824,877 262,567 +11%
VANECK ETF TRUST
92189H409
$8,809,748 175,703 +215%
BANCO SANTANDER CHILE NEW
05965X109
$8,780,392 262,886 +183%
EMERA INC
290876101
$8,773,603 169,146 +142%
ASTRONICS CORP
046433108
$8,756,578 131,224 -54%
VIA TRANSN INC
92556W104
$8,737,230 582,482 +20%
CONMED CORP
207410101
$8,731,444 246,930 -66%
MATTEL INC
577081102
$8,721,225 600,222 -44%
BLACKSTONE SECD LENDING FD
09261X102
$8,713,182 367,800 -56%
WATTS WATER TECHNOLOGIES INC
942749102
$8,701,443 29,975 -59%
TORM PLC
G89479102
$8,689,455 311,450 +276%
ISHARES INC
464286426
$8,684,026 90,709 +14%
KONINKLIJKE PHILIPS N V
500472303
$8,681,444 316,841 +16%
ISHARES TR
46435U556
$8,631,641 185,507 +4066%
DIREXION SHARES ETF TRUST
25461A460
$8,623,692 295,940 -17%
BADGER METER INC
056525108
$8,613,565 56,538 +82%
FIVERR INTL LTD
M4R82T106
$8,609,976 859,279 -37%
NATURAL GAS SVCS GROUP INC
63886Q109
$8,609,966 228,139 +81%
PRINCIPAL FINANCIAL GROUP IN
74251V102
$8,603,793 95,481 -84%
OBSIDIAN ENERGY LTD
674482203
$8,593,617 907,457 +217%
BAUSCH HEALTH COS INC
071734107
$8,588,003 1,590,371 -44%
ANTERIX INC
03676C100
$8,579,880 224,663 +226%
MIDDLEBY CORP
596278101
$8,564,138 64,596 +143%
GLOBAL X FDS
37950E259
$8,560,804 91,736 -37%
VOYA FINANCIAL INC
929089100
$8,548,608 125,126 -32%
PORTILLOS INC
73642K106
$8,537,002 1,613,800 -26%
FRANKLIN ELEC INC
353514102
$8,522,591 92,466 +29%
MARRIOTT VACATIONS WORLDWIDE
57164Y107
$8,519,975 130,835 -83%
VANGUARD INTL EQUITY INDEX F
922042676
$8,518,487 191,642 +3279%
AXOS FINANCIAL INC
05465C100
$8,516,658 100,090 -5%
VANGUARD BD INDEX FDS
921937819
$8,514,961 110,326 +3805%
ONCE UPON A FARM PBC
68237F108
$8,506,725 520,289 Nuova
INVESCO EXCH TRADED FD TR II
46138E222
$8,505,903 155,104 +332%
ZEVRA THERAPEUTICS INC
488445206
$8,500,762 912,099 -10%
GREIF INC
397624107
$8,486,636 126,534 +104%
EXTREME NETWORKS INC
30226D106
$8,472,563 561,841 +148%
ACUITY INC
00508Y102
$8,471,891 30,233 -56%
AXOGEN INC
05463X106
$8,446,626 254,954 +64%
BUCKLE INC
118440106
$8,442,200 167,637 +34%
ADDUS HOMECARE CORP
006739106
$8,432,059 90,038 +73%
GENTHERM INC
37253A103
$8,422,146 303,173 +96%
GATX CORP
361448103
$8,412,872 49,273 +1050%
ANDERSONS INC
034164103
$8,407,807 117,133 -3%
NEOS ETF TRUST
78433H485
$8,396,473 148,269 +1591%
SEALED AIR CORP NEW
81211K100
$8,396,250 199,673 -7%
MESOBLAST LTD
590717401
$8,387,621 545,359 -26%
DISC MEDICINE INC
254604101
$8,384,452 131,130 +5%
SASOL LTD
803866300
$8,381,556 646,725 +144%
ISHARES TR
464289446
$8,377,785 52,205 +734%
RILEY EXPLORATION PERMIAN IN
76665T102
$8,375,554 229,782 +601%
NATURAL RESOURCE PARTNERS LP
63900P608
$8,361,826 69,106 +2%
SUN LIFE FINANCIAL INC.
866796105
$8,360,206 133,635 +14%
AVISTA CORP
05379B107
$8,359,436 208,257 -23%
MAKEMYTRIP LIMITED MAURITIUS
V5633W109
$8,358,106 224,138 +93%
ECOVYST INC
27923Q109
$8,356,145 649,778 +2883%
GRANITESHARES ETF TR
38747R801
$8,335,600 1,190,800 -53%
NEUROGENE INC
64135M105
$8,330,737 413,231 +11%
WISDOMTREE INC
97717P104
$8,326,864 571,900 -45%
DIREXION SHARES ETF TRUST
25490K281
$8,313,030 148,500 +2%
AAR CORP
000361105
$8,311,408 75,931 -47%
CLEARFIELD INC
18482P103
$8,304,592 313,736 +140%
KRYSTAL BIOTECH INC
501147102
$8,298,788 32,126 -92%
COINBASE GLOBAL INC
19260QAF4
$8,297,775 8,910,000 -56%
OSHKOSH CORP
688239201
$8,297,344 56,364 -68%
ZENAS BIOPHARMA INC
98937LAA3
$8,294,917 8,000,000 Nuova
GLOBAL X FDS
37954Y327
$8,282,242 209,359 Nuova
SERVISFIRST BANCSHARES INC
81768T108
$8,277,566 113,656 -37%
LIFE360 INC
532206109
$8,264,540 202,463 -52%
TETRA TECHNOLOGIES INC DEL
88162F105
$8,240,042 967,141 +24%
PIMCO ETF TR
72201R775
$8,237,374 89,265 +2058%
FEDERAL SIGNAL CORP
313855108
$8,213,233 75,950 +118%
BORR DRILLING LTD
G1466R173
$8,203,486 1,421,748 +8%
POWER SOLUTIONS INTL INC
73933G202
$8,191,951 134,559 +14%
HORACE MANN EDUCATORS CORP N
440327104
$8,188,755 191,864 +283%
CHIMERA INVT CORP
16934Q802
$8,188,323 652,456 -44%
CEMEX SA EURO MTN BE 144A
151290889
$8,174,017 714,512 -66%
INFOSYS LTD
456788108
$8,169,497 604,700 -49%
ARRIVENT BIOPHARMA INC
04272N102
$8,149,639 353,257 -12%
PROSHARES TR
74349Y563
$8,142,950 142,934 -61%
ACUSHNET HLDGS CORP
005098108
$8,130,423 86,975 -36%
PROSHARES TR
74347R305
$8,119,071 155,986 +22%
LINCOLN EDL SVCS CORP
533535100
$8,103,741 199,207 +962%
BLEND LABS INC
09352U108
$8,099,849 4,764,617 -2%
AMERESCO INC
02361E108
$8,097,168 317,536 +103%
ICL GROUP LTD
M53213100
$8,096,785 1,563,086 +1746%
ISHARES TR
46435U374
$8,089,037 189,572 Nuova
RUSH ENTERPRISES INC
781846209
$8,088,228 122,345 +15%
TAL ED GROUP
874080104
$8,074,769 710,182 +101%
MAREX GROUP PLC
G5S37H101
$8,067,821 180,974 +77%
AUTONATION INC
05329W102
$8,061,700 41,287 -41%
MONARCH CASINO & RESORT INC
609027107
$8,056,403 84,272 -24%
ETHAN ALLEN INTERIORS INC
297602104
$8,030,606 360,764 +208%
TERNIUM SA
880890108
$8,012,816 199,572 +76%
FOX FACTORY HLDG CORP
35138V102
$7,995,182 485,734 +32%
GRANITE CONSTR INC
387328107
$7,990,961 66,658 -63%
VANGUARD INTL EQUITY INDEX F
922042874
$7,985,818 96,880 +329%
SILGAN HLDGS INC
827048109
$7,977,164 205,597 -39%
VESTIS CORPORATION
29430C102
$7,973,986 1,014,502 +329%
ATOUR LIFESTYLE HLDGS LTD
04965M106
$7,966,200 216,414 -4%
FTI CONSULTING INC
302941109
$7,945,988 44,951 -49%
BLACKLINE INC
09239B109
$7,921,663 214,099 +66%
COMPANHIA DE SANEAMENTO BASI
20441A102
$7,912,738 259,349 +3436%
LIBERTY GLOBAL LTD
G61188101
$7,898,639 653,320 +33%
NEXA RES S A
L67359106
$7,895,862 745,596 +48%
LYELL IMMUNOPHARMA INC
55083R203
$7,892,848 393,462 -25%
HELIOS TECHNOLOGIES INC
42328H109
$7,889,184 121,916 +5%
PREFERRED BK LOS ANGELES CA
740367404
$7,874,432 86,828 +24%
UNIVERSAL TECHNICAL INST INC
913915104
$7,865,865 217,891 +37%
KILROY REALTY CORP
49427F108
$7,855,780 278,475 +110%
POWER INTEGRATIONS INC
739276103
$7,835,699 153,041 +71%
TIMKEN CO
887389104
$7,818,312 77,740 +160%
EHANG HLDGS LTD
26853E102
$7,804,684 803,778 -45%
TIDAL TRUST II
88636W221
$7,786,961 398,310 Nuova
AMERICAN CENTY ETF TR
025072877
$7,782,170 70,446 +65%
KIMBELL RTY PARTNERS LP
49435R102
$7,758,742 536,195 -40%
OPERA LTD
68373M107
$7,734,510 542,392 -16%
DIREXION SHARES ETF TRUST
25490K869
$7,708,547 380,669 +69%
INVESCO EXCH TRADED FD TR II
46138E735
$7,706,892 177,701 +363%
CELLDEX THERAPEUTICS INC NEW
15117B202
$7,705,169 242,912 +230%
DAQO NEW ENERGY CORP
23703Q203
$7,704,122 362,206 -73%
COHU INC
192576106
$7,702,522 251,552 -9%
AMNEAL PHARMACEUTICALS INC
03168L105
$7,699,378 619,419 -90%
FEDERAL AGRIC MTG CORP
313148306
$7,697,882 51,890 +30%
NETSKOPE INC
64119N608
$7,677,286 904,274 -22%
UPWORK INC
91688F104
$7,671,825 699,984 -9%
CAPITAL GROUP CORE BALANCED
14021D107
$7,656,569 222,510 +29%
RLJ LODGING TR
74965L101
$7,648,751 1,030,829 +26%
ENI SPA
26874R108
$7,648,747 135,113 +259%
DOLE PLC
G27907107
$7,644,864 534,980 +147%
LCI INDS
50189K103
$7,636,320 62,094 -30%
ISHARES TR
464287101
$7,633,680 24,000 -13%
FREEDOM HOLDING CORP
356390104
$7,632,568 52,682 -11%
TIDAL TR IV
88635A303
$7,623,852 215,069 +669%
AUTOHOME INC
05278C107
$7,621,487 438,773 +306%
SENECA FOODS CORP NEW
817070501
$7,604,056 50,318 +140%
MEDIFAST INC
58470H101
$7,576,265 743,500 +26%
CORBUS PHARMACEUTICALS HLDGS
21833P301
$7,573,599 806,560 +3%
BLACKSKY TECHNOLOGY INC
09263B207
$7,563,096 300,600 -27%
HILLTOP HLDGS INC
432748101
$7,553,435 210,872 +17%
IAC INC
44891N208
$7,552,620 188,674 +22%
OMEROS CORP
682143102
$7,541,403 714,148 -58%
PENGUIN SOLUTIONS INC
706915105
$7,531,374 427,919 -38%
COHEN & STEERS ETF TRUST
19249U104
$7,525,751 286,368 Nuova
ISHARES TR
464287622
$7,523,416 21,100 -69%
SNOWFLAKE INC
833445AB5
$7,512,672 6,364,000 Nuova
ISHARES TR
464287150
$7,506,061 52,700 +197%
KODIAK AI INC.
500081104
$7,502,834 1,081,100 -32%
COPT DEFENSE PROPERTIES
22002T108
$7,502,233 245,171 +18%
RECURSION PHARMACEUTICALS IN
75629V104
$7,470,412 2,433,359 -78%
ADIENT PLC
G0084W101
$7,460,259 369,137 -15%
NEW ERA ENERGY & DIGITAL INC
64428N109
$7,458,139 1,836,980 +357%
ZURN ELKAY WATER SOLNS CORP
98983L108
$7,448,956 166,123 -16%
CAPITAL GRP FIXED INCM ETF T
14020Y508
$7,428,586 282,886 +125%
M/I HOMES INC
55305B101
$7,426,225 60,647 +41%
ISHARES TR
464288679
$7,418,760 67,205 Nuova
DIGITALBRIDGE GROUP INC
25401T603
$7,417,113 481,006 -80%
CURBLINE PPTYS CORP
23128Q101
$7,402,271 287,021 -33%
PROSHARES TR
74349Y837
$7,355,415 228,500 -78%
WEIS MKTS INC
948849104
$7,337,016 107,282 Nuova
GOLD ROYALTY CORP
38071H106
$7,336,176 2,049,211 -4%
TAMBORAN RES CORP
87507T101
$7,334,133 146,712 -43%
ENSIGN GROUP INC
29358P101
$7,326,742 36,361 +118%
RITHM CAPITAL CORP
64828T201
$7,319,982 772,150 -68%
HARMONY GOLD MNG LTD
413216300
$7,291,528 474,400 -70%
TANGER INC
875465106
$7,282,662 214,322 +121%
AVINO SILVER & GOLD MINES LT
053906103
$7,274,270 1,150,992 Nuova
MGP INGREDIENTS INC NEW
55303J106
$7,272,841 395,478 +88%
NOMURA ETF TR
555927508
$7,271,022 161,220 +3141%
UGI CORP NEW
902681105
$7,268,849 199,584 -62%
ISHARES TR
464287382
$7,263,414 79,452 Nuova
SCHOLASTIC CORP
807066105
$7,256,567 185,780 +149%
SOHU COM LTD
83410S108
$7,249,511 469,224 -23%
IMMUNOCORE HLDGS PLC
45258D105
$7,245,015 240,299 -14%
MILLICOM INTL CELLULAR S A
L6388F110
$7,231,710 96,500 +16%
THE ONCOLOGY INSTITUTE INC
68236X100
$7,228,828 2,354,667 +326%
INVESTMENT MANAGERS SER TR I
46152A742
$7,215,866 375,240 +181%
MATERION CORP
576690101
$7,214,129 49,873 +158%
RXSIGHT INC
78349D107
$7,212,861 1,170,919 -36%
VS TRUST
92891H101
$7,193,609 457,900 -41%
HARMONIC INC
413160102
$7,191,345 800,818 +135%
GOLDMAN SACHS ETF TR
381430123
$7,179,115 80,133 +614%
ESSENT GROUP LTD
G3198U102
$7,174,504 122,767 +84%
WSFS FINL CORP
929328102
$7,156,480 109,326 +128%
FRANKLIN TEMPLETON ETF TR
35473P371
$7,146,038 196,949 +331%
EMPLOYERS HLDGS INC
292218104
$7,142,521 173,615 +68%
HURON CONSULTING GROUP INC
447462102
$7,141,990 56,020 +18%
LTC PPTYS INC
502175102
$7,135,834 192,030 -10%
UP FINTECH HLDG LTD
91531W106
$7,129,357 1,131,644 -74%
SATELLOGIC INC
80401C100
$7,126,634 1,310,043 +2678%
CITY HLDG CO
177835105
$7,125,663 59,619 +36%
RLX TECHNOLOGY INC
74969N103
$7,119,002 3,235,910 +108%
PHREESIA INC
71944F106
$7,118,433 849,455 +207%
FIRST TR EXCHANGE-TRADED FD
33734X846
$7,109,980 113,433 +98%
LIBERTY GLOBAL LTD
G61188127
$7,091,406 604,553 +131%
PROSPERITY BANCSHARES INC
743606105
$7,091,118 105,554 -62%
VITAL FARMS INC
92847W103
$7,090,965 502,193 -70%
SCHWAB STRATEGIC TR
808524698
$7,076,818 312,029 Nuova
DOUGLAS EMMETT INC
25960P109
$7,072,602 750,807 +784%
BURFORD CAPITAL LIMITED
G17977110
$7,068,538 1,563,836 -27%
BALLARD PWR SYS INC NEW
058586108
$7,054,138 2,914,933 -27%
MYR GROUP INC
55405W104
$7,043,602 24,949 +105%
PALVELLA THERAPEUTICS INC NE
697947109
$7,039,235 56,472 +2451%
TONIX PHARMACEUTICALS HLDG C
890260839
$7,037,415 511,812 +1032%
MNTN INC
55318A108
$7,034,007 799,319 -23%
INVESTMENT MANAGERS SER TR I
46152A650
$7,031,178 240,300 Nuova
RANGER ENERGY SVCS INC
75282U104
$7,029,714 410,135 +260%
KULICKE & SOFFA INDS INC
501242101
$7,026,454 106,915 -28%
ISHARES TR
46429B291
$7,015,813 147,422 +151%
MAXIMUS INC
577933104
$6,993,439 109,102 +112%
VODAFONE GROUP PLC
92857W308
$6,990,308 465,400 -76%
CTO RLTY GROWTH INC NEW
22948Q101
$6,982,730 377,649 +387%
AMERICAN RES CORP
02927U208
$6,973,387 2,881,565 -18%
VANECK ETF TRUST
92189F692
$6,968,894 67,086 +668%
J P MORGAN EXCHANGE TRADED F
46641Q647
$6,966,506 139,358 -50%
DRIVEN BRANDS HLDGS INC
26210V102
$6,963,419 552,214 +190%
VEON LTD
91822M502
$6,962,456 150,377 +33%
VERRA MOBILITY CORP
92511U102
$6,955,158 486,715 +104%
ISHARES TR
46435U515
$6,941,129 274,028 Nuova
WORTHINGTON ENTERPRISES INC
981811102
$6,934,516 132,998 +40%
ENERGIZER HLDGS INC
29272W109
$6,928,107 421,931 +90%
OPEN TEXT CORP
683715106
$6,909,434 310,676 +500%
ISHARES TR
46435G334
$6,908,810 151,642 +1864%
HIVE DIGITAL TECHNOLOGIES LT
433921103
$6,907,901 3,635,737 -58%
INVENTRUST PPTYS CORP
46124J201
$6,889,321 226,176 +9%
BRISTOW GROUP INC
11040G103
$6,881,388 146,756 +465%
VANGUARD SCOTTSDALE FDS
92206C664
$6,873,665 68,620 -29%
LEGENCE CORP
52476L109
$6,860,737 121,515 -74%
AVANOS MED INC
05350V106
$6,860,641 489,696 +28%
IRIDIUM COMMUNICATIONS INC
46269C102
$6,828,839 246,173 -72%
EPR PPTYS
26884U109
$6,826,335 136,636 -85%
ARROW ELECTRS INC
042735100
$6,816,277 47,530 -24%
PROSHARES TR
74347G804
$6,811,190 125,900 Nuova
UNITED CMNTY BKS BLAIRSVLE G
90984P303
$6,808,894 216,224 -50%
C4 THERAPEUTICS INC
12529R107
$6,808,057 2,588,615 +615%
ALLIANCEBERNSTEIN HLDG L P
01881G106
$6,806,292 181,792 -37%
NORTHWEST BANCSHARES INC
667340103
$6,784,125 534,604 +53%
SPDR SERIES TRUST
78464A763
$6,772,638 46,407 +8%
SMITH & WESSON BRANDS INC
831754106
$6,765,479 472,120 +9%
MSA SAFETY INC
553498106
$6,765,069 41,263 +161%
COHEN & STEERS INC
19247A100
$6,758,465 108,049 -35%
WALKER & DUNLOP INC
93148P102
$6,750,909 152,116 +10%
COCA-COLA FEMSA SAB DE CV
191241108
$6,750,558 69,201 +113%
UNITIL CORP
913259107
$6,742,460 129,067 +148%
DENALI THERAPEUTICS INC
24823R105
$6,739,527 351,017 -49%
HAMILTON INSURANCE GROUP LTD
G42706104
$6,691,138 224,309 +609%
TRINITY INDS INC
896522109
$6,688,806 207,856 -33%
KONTOOR BRANDS INC
50050N103
$6,679,869 95,033 +13%
OSI SYSTEMS INC
671044105
$6,677,045 25,148 +193%
SENSATA TECHNOLOGIES HLDG PL
G8060N102
$6,674,754 189,516 -84%
INVESCO EXCHANGE TRADED FD T
46137V100
$6,670,916 40,259 +363%
ADVANSIX INC
00773T101
$6,662,762 273,064 +199%
SCHWAB STRATEGIC TR
808524300
$6,656,205 228,500 +54%
COMSTOCK INC
205750409
$6,652,785 2,181,241 +79%
ASBURY AUTOMOTIVE GROUP INC
043436104
$6,612,284 33,838 +63%
WAYSTAR HLDG CORP
946784105
$6,593,482 273,475 -3%
CNA FINL CORP
126117100
$6,580,612 143,306 -64%
SILENCE THERAPEUTICS PLC
82686Q101
$6,566,984 1,246,107 +317%
INTREPID POTASH INC
46121Y201
$6,561,944 153,424 +16%
ALTSHARES TRUST
02210T108
$6,555,893 223,598 Nuova
PROSHARES TR
74347R669
$6,554,765 136,700 -53%
ABCELLERA BIOLOGICS INC
00288U106
$6,553,539 1,877,805 -14%
FIDELITY ETHEREUM FD
31613E103
$6,550,056 313,700 -52%
IDT CORP
448947507
$6,537,174 133,140 -5%
AMYLYX PHARMACEUTICALS INC
03237H101
$6,527,885 469,632 +18%
FIRST FINL BANKSHARES INC
32020R109
$6,523,116 221,498 -13%
LENDINGTREE INC
52603B107
$6,522,434 152,109 +26%
GRANITESHARES ETF TR
38747R629
$6,516,518 863,115 +320%
WESTAMERICA BANCORPORATION
957090103
$6,496,951 124,582 -35%
NEUBERGER BERMAN ETF TRUST
64135A887
$6,487,026 127,924 +321%
CAPITAL GROUP GBL GROWTH EQT
14020X104
$6,483,724 194,298 Nuova
URANIUM RTY CORP
91702V101
$6,480,980 1,775,611 +154%
ARLO TECHNOLOGIES INC
04206A101
$6,468,218 454,548 -22%
WOODSIDE ENERGY GROUP LTD
980228308
$6,462,978 270,644 +82%
INVESCO CURRENCYSHARES CDN D
46138T104
$6,448,050 91,800 +22%
VANGUARD INDEX FDS
922908629
$6,446,617 22,448 +78%
ARRAY TECHNOLOGIES INC
04271T100
$6,430,290 889,390 +9%
PROTARA THERAPEUTICS INC
74365U107
$6,421,107 1,232,458 +29%
OMEGA HEALTHCARE INVS INC
681936100
$6,415,248 146,400 -62%
DIREXION SHARES ETF TRUST
25459Y876
$6,382,429 69,700 +4%
USA COMPRESSION PARTNERS LP
90290N109
$6,374,231 235,038 -36%
TELESAT CORP
879512309
$6,363,308 175,782 +121%
CLEAN ENERGY FUELS CORP
184499101
$6,352,736 2,561,587 +148%
CVR PARTNERS LP/CVR NITROGEN
126633205
$6,347,434 50,110 +40%
VANGUARD INDEX FDS
922908611
$6,343,700 29,200 +21%
KT CORP
48268K101
$6,337,488 295,454 +199%
PIMCO ETF TR
72201R817
$6,331,398 65,407 +96%
GEVO INC
374396406
$6,329,068 2,318,340 +176%
WILLDAN GROUP INC
96924N100
$6,322,248 82,579 -57%
REPLIMUNE GROUP INC
76029N106
$6,302,292 823,829 +27%
ARIS MINING CORPORATION
04040Y109
$6,293,373 338,900 -60%
PROSHARES TR
74347R842
$6,289,529 134,766 -5%
OCEANEERING INTL INC
675232102
$6,280,921 177,077 +316%
FIRST TR EXCHANGE-TRADED FD
33734H106
$6,270,463 133,329 -19%
SPYRE THERAPEUTICS INC
00773J202
$6,226,061 123,435 +114%
MCGRATH RENTCORP
580589109
$6,225,416 56,451 -12%
INNOVATIVE INDL PPTYS INC
45781V101
$6,210,008 123,804 +11%
PROSHARES TR
74347G374
$6,207,058 282,139 +97%
ESSENTIAL PPTYS RLTY TR INC
29670E107
$6,204,066 204,350 +675%
ENERFLEX LTD
29269R105
$6,196,817 296,215 +1157%
BITWISE BITCOIN ETF TR
09174C104
$6,187,761 168,100 -72%
DR REDDYS LABS LTD
256135203
$6,185,493 446,606 +36%
JANUX THERAPEUTICS INC
47103J105
$6,179,621 444,577 -64%
VIPSHOP HLDGS LTD
92763W103
$6,157,775 391,716 +3%
ENERPAC TOOL GROUP CORP
292765104
$6,121,636 167,854 +118%
SPDR SERIES TRUST
78464A508
$6,121,277 108,188 +286%
VANGUARD ADMIRAL FDS INC
921932703
$6,121,036 30,036 +232%
IMAX CORP
45245E109
$6,119,610 161,000 +26%
WINNEBAGO INDS INC
974637100
$6,118,914 197,448 -32%
KEROS THERAPEUTICS INC
492327101
$6,113,576 553,766 -57%
GOODYEAR TIRE & RUBR CO
382550101
$6,094,296 919,200 -77%
AEVA TECHNOLOGIES INC
00835Q202
$6,083,999 462,310 -28%
TRANSFORCE INC
87241L109
$6,083,823 56,005 -68%
CANADA GOOSE HLDGS INC
135086106
$6,080,178 554,255 -57%
INVESCO EXCH TRD SLF IDX FD
46138J460
$6,065,873 362,811 Nuova
BLACKBAUD INC
09227Q100
$6,065,438 157,095 -59%
SPDR SERIES TRUST
78468R788
$6,060,806 133,146 +60%
MORNINGSTAR INC
617700109
$6,060,443 35,850 +149%
CABOT CORP
127055101
$6,052,589 80,369 +6%
ARCELLX INC
03940C100
$6,051,703 52,706 -94%
FORTE BIOSCIENCES INC
34962G208
$6,044,257 233,369 Nuova
TARGET HOSPITALITY CORP
87615L107
$6,036,872 650,525 +17%
AURINIA PHARMACEUTICALS INC
05156V102
$6,026,909 406,674 -61%
AXCELIS TECHNOLOGIES INC
054540208
$6,022,741 64,705 -70%
HYPERLIQUID STRATEGIES INC
44916Y106
$6,017,388 1,182,198 +606%
FIRST MERCHANTS CORP
320817109
$6,011,399 155,213 +281%
TRANSCAT INC
893529107
$6,000,645 81,697 +4%
CITI TRENDS INC
17306X102
$5,996,571 138,425 +20%
ATKORE INC
047649108
$5,981,899 101,543 -56%
TXO PARTNERS LP
87313P103
$5,976,318 475,065 +56%
CHUNGHWA TELECOM CO LTD
17133Q502
$5,970,371 141,344 +46%
AMERICAN CENTY ETF TR
025072141
$5,969,968 94,119 Nuova
SIMPSON MFG INC
829073105
$5,959,161 34,723 -11%
ATLAS LITHIUM CORP
105861306
$5,958,887 1,369,859 -11%
FIRST WATCH RESTAURANT GROUP
33748L101
$5,953,845 568,115 -60%
VERACYTE INC
92337F107
$5,953,728 184,841 -14%
INTERFACE INC
458665304
$5,952,341 238,858 +262%
CENTRAL PUERTO S A
155038201
$5,948,967 353,474 +79%
SONOCO PRODS CO
835495102
$5,948,819 109,980 -61%
ISHARES TR
46435G342
$5,947,748 277,026 +13%
ISHARES GOLD TR
46436F103
$5,943,743 127,275 +30%
STEVANATO GROUP S P A
T9224W109
$5,936,742 431,763 +343%
ISHARES INC
464286319
$5,929,209 172,461 -33%
BLUE BIRD CORP
095306106
$5,919,221 104,230 +159%
KKR REAL ESTATE FIN TR INC
48251K100
$5,911,528 965,936 +38%
CLOVER HEALTH INVESTMENTS CO
18914F103
$5,906,996 3,356,248 -17%
BOWMAN CONSULTING GROUP LTD
103002101
$5,906,135 207,670 +2055%
CORE & MAIN INC
21874C102
$5,905,721 119,549 -74%
ISHARES TR
46435G219
$5,903,401 131,012 Nuova
ISHARES TR
46435GAA0
$5,896,477 243,254 Nuova
NORDIC AMERICAN TANKERS LIMI
G65773106
$5,892,377 1,005,525 +437%
MONTROSE ENVIRONMENTAL GROUP
615111101
$5,883,747 268,787 +8%
FIRSTSUN CAP BANCORP
33767U107
$5,859,560 160,712 +9%
MAIN STR CAP CORP
56035L104
$5,854,304 110,542 -21%
SPDR SERIES TRUST
78464A540
$5,848,290 31,098 +572%
STOKE THERAPEUTICS INC
86150R107
$5,841,980 179,422 +207%
ISHARES TR
46435G102
$5,841,219 57,385 Nuova
NEOS ETF TRUST
78433H303
$5,835,534 118,200 +4%
REX AMERICAN RES CORP
761624105
$5,822,069 127,761 +103%
SUMMIT HOTEL PPTYS
866082100
$5,806,603 1,313,711 +790%
LIBERTY LATIN AMERICA LTD
G9001E128
$5,804,980 658,161 +365%
ENOVA INTL INC
29357K103
$5,803,880 42,729 -57%
VANGUARD MALVERN FDS
922020755
$5,798,606 74,735 Nuova
J & J SNACK FOODS CORP
466032109
$5,787,503 73,010 -39%
KNIFE RIVER CORP
498894104
$5,787,434 70,881 -77%
GROUPON INC
399473206
$5,786,875 486,292 -76%
HONEST CO INC
438333106
$5,775,227 1,964,363 +111%
CUSHMAN AND WAKEFIELD LTD
G2717C106
$5,774,338 470,990 +43%
GLOBAL X FDS
37954Y483
$5,773,736 336,661 +64%
OCUGEN INC
67577C105
$5,755,722 3,179,957 +158%
ENCORE CAP GROUP INC
292554102
$5,744,230 81,920 -23%
DIMENSIONAL ETF TRUST
25434V534
$5,741,796 88,526 +5%
BRC GROUP HOLDINGS INC
05580M108
$5,739,275 784,054 +124%
TRI POINTE HOMES INC
87265H109
$5,734,285 122,711 -22%
NOVAGOLD RESOURCES INC
66987E206
$5,734,161 638,548 +145%
GOLD COM INC
00181T107
$5,726,470 142,876 -50%
UFP INDUSTRIES INC
90278Q108
$5,719,547 62,088 -7%
WHITE MTNS INS GROUP LTD
G9618E107
$5,718,687 2,603 +131%
DIREXION SHARES ETF TRUST
25461A569
$5,714,440 173,800 +9%
SOLID POWER INC
83422N105
$5,702,625 1,900,875 +107%
VANDA PHARMACEUTICALS INC
921659108
$5,702,505 825,254 +266%
LEAR CORP
521865204
$5,700,689 47,082 -61%
SCHWAB STRATEGIC TR
808524607
$5,698,400 195,956 +410%
ST JOE CO
790148100
$5,687,984 90,573 -18%
UROGEN PHARMA LTD
M96088105
$5,685,204 316,196 -70%
VENU HLDG CORP
92333E104
$5,679,146 1,715,754 +14%
VANGUARD INDEX FDS
922908751
$5,657,472 21,600 -49%
TRANSPORTADORA DE GAS DEL SU
893870204
$5,655,966 163,420 -40%
LUMEXA IMAGING HOLDINGS INC
550249106
$5,646,631 656,585 -64%
PURSUIT ATTRACTIONS AND HOSP
92552R406
$5,646,588 154,152 +90%
ONE STOP SYS INC
68247W109
$5,639,468 744,976 +102%
WASHINGTON TR BANCORP INC
940610108
$5,638,612 168,518 +24%
VIRTUS INVT PARTNERS INC
92828Q109
$5,637,058 41,958 Nuova
PEBBLEBROOK HOTEL TR
70509V100
$5,618,317 444,839 +60%
COMMUNITY FINANCIAL SYSTEM I
203607106
$5,618,025 95,789 +19%
ISHARES TR
464287713
$5,611,475 142,713 +499%
ISHARES TR
46436E619
$5,611,370 128,997 +67%
TSAKOS ENERGY NAVIGATION LTD
G9108L173
$5,591,482 141,700 +41%
CAPITAL GRP FIXED INCM ETF T
14020Y300
$5,587,732 205,205 +58%
SPDR SERIES TRUST
78468R663
$5,582,251 60,915 Nuova
ACV AUCTIONS INC
00091G104
$5,581,435 1,316,376 -42%
PROTHENA CORP PLC
G72800108
$5,567,363 572,774 -46%
MATRIX SVC CO
576853105
$5,544,231 482,947 +90%
TIDAL TRUST II
88636W197
$5,538,148 207,499 Nuova
TITAN INTL INC ILL
88830M102
$5,531,392 800,491 +610%
OPPFI INC
68386H103
$5,528,656 717,076 -42%
VICTORY PORTFOLIOS II
92647N535
$5,528,546 109,303 Nuova
TIDAL TRUST II
88636R222
$5,528,234 216,200 +43%
BROOKFIELD RENEWABLE CORP
11285B108
$5,520,677 138,606 -65%
ISHARES S&P GSCI COMMODITY-
46428R107
$5,517,040 171,071 +401%
NATIONAL BEVERAGE CORP
635017106
$5,516,581 163,940 -56%
VANECK ETF TRUST
92189F411
$5,515,520 430,900 +24%
STRUCTURE THERAPEUTICS INC
86366E106
$5,514,080 114,400 -91%
MORGAN STANLEY ETF TRUST
61774R106
$5,508,957 75,787 +660%
JBG SMITH PPTYS
46590V100
$5,508,466 377,034 -47%
NOVANTA INC
67000B104
$5,503,217 46,594 -21%
TELEFONICA BRASIL SA
87936R205
$5,496,157 345,453 +117%
COASTAL FINL CORP WA
19046P209
$5,470,372 71,884 +95%
SCHNEIDER NATIONAL INC
80689H102
$5,464,639 207,308 -3%
NORTHERN LTS FD TR IV
66538H633
$5,457,623 228,764 +358%
SPDR INDEX SHS FDS
78470E106
$5,451,616 109,545 +50%
CENTRAIS ELET BRAS SA
15234Q207
$5,447,947 482,974 -31%
LOVESAC COMPANY
54738L109
$5,430,176 367,649 -8%
INNOVEX INTERNATIONAL INC
457651107
$5,421,751 222,294 +494%
KORNIT DIGITAL LTD
M6372Q113
$5,410,170 369,043 +131%
VANECK ETF TRUST
92189H201
$5,404,823 116,408 +738%
GRANITESHARES ETF TR
38747R843
$5,402,488 235,300 +4%
SCHWAB STRATEGIC TR
808524748
$5,398,437 116,446 -62%
IMMUNOVANT INC
45258J102
$5,397,682 217,298 -32%
HERITAGE INSURANCE HLDGS INC
42727J102
$5,382,090 205,032 -40%
EA SERIES TRUST
02072Q820
$5,336,462 146,405 Nuova
FARMERS NATIONAL BANC CORP
309627107
$5,334,814 405,381 +86%
ISHARES TR
464289842
$5,331,622 66,059 Nuova
VANECK ETF TRUST
92189F114
$5,323,922 58,828 +554%
SCANSOURCE INC
806037107
$5,318,712 146,521 +76%
TRONOX HOLDINGS PLC
G9087Q102
$5,317,723 544,291 +16%
ARK 21SHARES BITCOIN ETF
040919102
$5,312,138 236,200 -56%
CERIBELL INC
15678C102
$5,281,130 288,114 +25%
ISHARES TR
464287325
$5,266,957 56,307 +11%
LITTELFUSE INC
537008104
$5,260,264 15,501 +11%
ADAPTIVE BIOTECHNOLOGIES COR
00650F109
$5,245,710 377,933 +310%
WPP PLC NEW
92937A102
$5,238,811 336,901 +78%
NORTHERN DYNASTY MINERALS LT
66510M204
$5,238,643 3,741,888 -50%
ONITY GROUP INC
675746606
$5,235,201 133,313 +63%
MONTE ROSA THERAPEUTICS INC
61225M102
$5,233,041 318,118 +295%
DIREXION SHARES ETF TRUST
25490K331
$5,233,002 125,975 +38%
TANGO THERAPEUTICS INC
87583X109
$5,228,389 249,923 +261%
TRINET GROUP INC
896288107
$5,217,978 143,233 -30%
ADTRAN HOLDINGS INC
00486H105
$5,211,064 414,234 +318%
FRANKLIN BSP RLTY TR INC
35243J101
$5,208,284 613,461 +78%
CALERES INC
129500104
$5,201,838 493,533 +265%
AVANTOR INC
05352A100
$5,198,790 663,111 -72%
AMER STATES WTR CO
029899101
$5,187,532 68,600 -22%
ETF OPPORTUNITIES TRUST
26923N447
$5,182,512 161,600 +39%
GRUPO CIBEST SA
40090E106
$5,180,723 71,154 -49%
VIRGIN GALACTIC HOLDINGS INC
92766K403
$5,180,204 2,131,771 +6%
RICHTECH ROBOTICS INC
765504105
$5,176,429 2,476,760 -62%
VANGUARD WORLD FD
92204A108
$5,170,032 14,400 -47%
HUB GROUP INC
443320106
$5,167,127 143,372 -74%
GEMINI SPACE STA INC
36866J105
$5,165,345 1,168,630 -56%
RAYONIER ADVANCED MATLS INC
75508B104
$5,161,432 466,254 +55%
FLEXSHARES TR
33939L688
$5,152,888 25,778 -8%
THERMON GROUP HLDGS INC
88362T103
$5,138,532 101,955 +340%
TIC SOLUTIONS INC
00510N102
$5,126,366 779,083 +54%
GENPACT LIMITED
G3922B107
$5,125,563 137,599 -95%
BANCFIRST CORP
05945F103
$5,123,588 47,222 -32%
IRADIMED CORP
46266A109
$5,102,165 53,004 -6%
V2X INC
92242T101
$5,096,127 74,396 -85%
GLOBAL NET LEASE INC
379378201
$5,095,575 544,399 -14%
FORTREA HLDGS INC
34965K107
$5,091,058 540,452 +302%
FLEXSHARES TR
33939L308
$5,090,894 75,748 +218%
MOELIS & CO
60786M105
$5,084,856 89,208 -67%
FIDELITY COVINGTON TRUST
316092535
$5,081,974 142,432 +603%
INVESCO DB MULTI-SECTOR COMM
46140H106
$5,081,520 186,000 +937%
LIVERAMP HLDGS INC
53815P108
$5,071,499 191,233 +51%
KB FINL GROUP INC
48241A105
$5,066,384 50,801 -8%
ULTRAPAR PARTICIPACOES SA
90400P101
$5,058,345 918,030 +1216%
CUSTOMERS BANCORP INC
23204G100
$5,048,537 72,735 -34%
DIODES INC
254543101
$5,044,755 73,905 +157%
ISHARES TR
464287333
$5,041,080 44,220 +189%
AMERICAN BATTERY TECHNOLOGY
02451V309
$5,018,041 1,798,581 +13%
FORUM ENERGY TECHNOLOGIES IN
34984V209
$5,002,583 85,281 +198%
NETGEAR INC
64111Q104
$5,000,727 228,971 +78%
CIVEO CORP CDA
17878Y207
$4,991,759 188,653 +317%
TIDAL TRUST I
886364231
$4,986,443 208,900 +2%
TENNANT CO
880345103
$4,983,519 75,053 +16%
JINKOSOLAR HLDG CO LTD
47759T100
$4,981,757 196,055 +13%
DIMENSIONAL ETF TRUST
25434V542
$4,970,969 73,602 +756%
SPROTT FDS TR
85208P808
$4,968,053 169,616 +56%
VANECK ETF TRUST
92189Y402
$4,965,863 93,413 +79%
SIRIUSPOINT LTD
G8192H106
$4,965,207 230,511 +221%
OTTER TAIL CORP
689648103
$4,959,180 56,502 -47%
INVESCO EXCH TRADED FD TR II
46138E511
$4,957,265 455,631 Nuova
NATIONAL FUEL GAS CO
636180101
$4,950,189 52,684 +120%
WERNER ENTERPRISES INC
950755108
$4,938,968 167,935 +148%
TSS INC DEL
87288V101
$4,937,295 379,500 +2%
ANNEXON INC
03589W102
$4,915,835 887,335 +157%
AARDVARK THERAPEUTICS INC
002942100
$4,884,702 1,295,677 -71%
ELEMENT SOLUTIONS INC
28618M106
$4,884,273 143,066 +1879%
ISHARES TR
464288281
$4,881,260 51,967 +312%
ISHARES TR
464287457
$4,879,887 59,100 -72%
LANDSTAR SYS INC
515098101
$4,867,653 30,364 -22%
SCHWAB STRATEGIC TR
808524599
$4,866,636 189,216 +346%
ENERGY RECOVERY INC
29270J100
$4,861,151 482,736 -23%
MARZETTI COMPANY
513847103
$4,859,533 35,130 +40%
HESAI GROUP
428050108
$4,858,048 254,082 -77%
CORMEDIX INC
21900C308
$4,854,932 715,012 -32%
MATTHEWS INTL CORP
577128101
$4,850,984 187,877 +12%
HONDA MOTOR CO LTD
438128308
$4,828,161 198,608 -57%
FIRST TR EXCHANGE-TRADED FD
33733E302
$4,819,614 20,594 -60%
DIREXION SHARES ETF TRUST
25461H853
$4,817,155 295,531 -16%
ENACT HLDGS INC
29249E109
$4,811,785 117,907 -12%
ARCOSA INC
039653100
$4,807,187 45,291 -71%
GLOBAL INDUSTRIAL COMPANY
37892E102
$4,802,702 152,370 +10%
FREQUENCY ELECTRS INC
358010106
$4,793,933 108,313 Nuova
PACER FDS TR
69374H881
$4,789,719 76,562 -20%
INHIBRX BIOSCIENCES INC
45720N103
$4,783,885 71,157 -71%
GRIFFON CORP
398433102
$4,782,126 65,797 +73%
BEACON FINANCIAL CORP.
084680107
$4,777,020 159,234 -46%
PHARVARIS N V
N69605108
$4,763,798 168,630 +27%
UMH PPTYS INC
903002103
$4,759,014 329,800 +88%
ZIFF DAVIS INC
48123V102
$4,753,229 113,280 -18%
IBOTTA INC
451051106
$4,748,776 158,451 +18%
SKYWARD SPECIALTY INS GROUP
830940102
$4,741,071 108,541 -72%
MANCHESTER UTD PLC NEW
G5784H106
$4,731,887 281,325 -56%
TIDAL TRUST I
886364173
$4,729,679 37,892 +66%
GIBRALTAR INDS INC
374689107
$4,722,562 118,449 +2%
YELP INC
985817105
$4,720,392 190,800 -45%
ISHARES TR
46432F842
$4,716,613 52,100 Nuova
PROFRAC HLDG CORP
74319N100
$4,715,466 760,559 +111%
CAMDEN PPTY TR
133131102
$4,715,416 48,284 -34%
FIRST TR EXCHANGE-TRADED FD
33734X747
$4,715,125 126,245 Nuova
COMPASS THERAPEUTICS INC
20454B104
$4,713,972 891,110 +731%
BALCHEM CORP
057665200
$4,709,510 27,788 +31%
DELEK LOGISTICS PARTNERS LP
24664T103
$4,706,749 94,589 -5%
DIREXION SHARES ETF TRUST
25461A197
$4,699,106 116,777 +2%
KASPI KZ JSC
48581R205
$4,688,631 63,300 -7%
SCHEIN HENRY INC
806407102
$4,678,697 63,483 -81%
PHILLIPS EDISON & CO INC
71844V201
$4,677,238 124,993 Nuova
VANGUARD WORLD FD
92204A876
$4,676,104 23,600 +9%
PRA GROUP INC
69354N106
$4,668,108 266,749 -2%
BIOLIFE SOLUTIONS INC
09062W204
$4,658,802 244,172 +98%
ISHARES TR
464288224
$4,656,634 254,600 -22%
ISHARES TR
464288653
$4,653,264 46,200 +87%
BLOOMIN BRANDS INC
094235108
$4,653,051 861,676 +266%
SPINNAKER ETF SERIES
84858T772
$4,652,671 114,204 +41%
BRIGHT HORIZONS FAM SOL IN D
109194100
$4,639,195 56,486 -58%
PHOENIX ED PARTNERS INC
718968100
$4,629,874 147,167 -14%
GENMAB A/S
372303206
$4,628,175 172,500 +154%
VANGUARD WHITEHALL FDS
921946810
$4,613,366 52,152 Nuova
ACADIAN ASSET MANAGEMENT INC
10948W103
$4,610,626 84,723 -4%
COMPASS MINERALS INTL INC
20451N101
$4,606,255 197,270 +417%
BROOKFIELD RENEWABLE ENERGY
G16258108
$4,597,246 140,847 -68%
AZZ INC
002474104
$4,594,773 36,720 +64%
NEOS ETF TRUST
78433H550
$4,593,219 80,767 +125%
MARA HOLDINGS INC
565788AH9
$4,588,701 5,000,000 Nuova
BANK OF MARIN BANCORP
063425102
$4,581,439 178,753 +180%
BOWHEAD SPECIALTY HLDGS INC
10240L102
$4,576,079 204,016 +13%
INVESCO EXCHANGE TRADED FD T
46137V431
$4,575,680 42,517 +364%
METALLUS INC
887399103
$4,575,543 280,021 +449%
SPRUCE BIOSCIENCES INC
85209E208
$4,574,435 69,999 -25%
CONTINEUM THERAPEUTICS INC
21217B100
$4,573,612 350,200 Nuova
RIGEL PHARMACEUTICALS INC
766559702
$4,572,437 169,099 -56%
GOLDMAN SACHS ETF TR
38149W101
$4,559,538 110,347 Nuova
XENCOR INC
98401F105
$4,555,050 377,699 -8%
BAKKT INC
05759B305
$4,552,800 618,587 +12%
MARAVAI LIFESCIENCES HLDGS I
56600D107
$4,551,260 1,608,219 +79%
INNOVIVA INC
45781M101
$4,531,314 194,477 +8%
VANGUARD CALIF TAX FREE FDS
922021605
$4,521,417 45,634 +1000%
GREENBRIER COS INC
393657101
$4,508,051 85,623 -34%
NEOS ETF TRUST
78433H642
$4,506,463 137,476 -37%
APTARGROUP INC
038336103
$4,496,016 35,677 -70%
PHOTRONICS INC
719405102
$4,491,814 111,156 -75%
INTEGRA LIFESCIENCES HLDGS C
457985208
$4,490,523 476,701 +41%
VANGUARD WORLD FD
92204A405
$4,485,434 37,128 +28%
U HAUL HOLDING COMPANY
023586100
$4,474,406 93,646 +250%
ARKO PETE CORP
04124A100
$4,472,500 250,000 Nuova
INVESCO EXCHANGE TRADED FD T
46137V233
$4,471,736 81,975 +238%
ASA GOLD AND PRECIOUS MTLS L
G3156P103
$4,470,068 72,063 +329%
CENTRAL PAC FINL CORP
154760409
$4,465,707 139,728 +364%
3D SYS CORP DEL
88554D205
$4,460,971 2,372,857 +54%
BROOKFIELD INFRASTRUCTURE PA
G16252101
$4,456,919 123,392 -33%
DIMENSIONAL ETF TRUST
25434V591
$4,451,983 87,793 -22%
SPDR SERIES TRUST
78468R721
$4,451,300 98,176 +11%
LATHAM GROUP INC
51819L107
$4,449,287 828,545 -80%
MITEK SYS INC
606710200
$4,447,521 329,446 +108%
TIDAL TRUST II
88636X732
$4,446,075 208,834 -26%
PROSHARES TR II
74347W569
$4,445,075 83,901 +135%
SPROTT ETF TRUST
85210B102
$4,439,718 58,812 +137%
SAVARA INC
805111101
$4,438,625 812,935 -8%
CHENIERE ENERGY PARTNERS L P
16411Q101
$4,438,336 68,673 +53%
OXFORD INDS INC
691497309
$4,431,423 115,072 -40%
GREENLIGHT CAP RE LTD
G4095J109
$4,430,372 256,239 +75%
PAGERDUTY INC
69553P100
$4,424,719 712,515 +15%
ISHARES TR
46436E296
$4,422,793 192,879 +94%
EASTMAN KODAK CO
277461406
$4,421,133 488,523 -64%
SPIRE GLOBAL INC
848560306
$4,414,750 350,934 +111%
TFS FINL CORP
87240R107
$4,408,426 313,767 -36%
GALAPAGOS NV
36315X101
$4,404,840 146,828 +24%
PIMCO ETF TR
72201R866
$4,400,922 84,325 -31%
SYLVAMO CORP
871332102
$4,400,816 104,186 +41%
BANDWIDTH INC
05988J103
$4,395,285 246,649 +368%
CYBIN INC
23256X407
$4,395,105 915,647 -39%
ISHARES TR
464288430
$4,392,593 41,381 +2045%
CARS COM INC
14575E105
$4,386,830 540,250 +18%
ATOMERA INC
04965B100
$4,375,324 1,148,379 +1592%
PERDOCEO ED CORP
71363P106
$4,374,147 117,553 -41%
PACER FDS TR
69374H857
$4,363,877 97,256 +65%
DYNE THERAPEUTICS INC
26818M108
$4,361,063 240,544 -82%
INSIGHT ENTERPRISES INC
45765U103
$4,357,794 65,032 -38%
STRATASYS LTD
M85548101
$4,357,425 557,929 +61%
ENERGY VAULT HOLDINGS INC
29280W109
$4,357,403 1,320,425 -12%
ETHOS TECHNOLOGIES INC
29765A101
$4,356,300 390,000 Nuova
AMERIS BANCORP
03076K108
$4,355,352 55,845 -69%
ISHARES TR
46435G417
$4,355,270 99,390 +129%
DIMENSIONAL ETF TRUST
25434V732
$4,351,953 125,961 Nuova
FIRSTSERVICE CORP NEW
33767E202
$4,344,237 31,267 +87%
OAKTREE SPECIALTY LENDING
67401P405
$4,343,901 384,416 +543%
SANFILIPPO JOHN B & SON INC
800422107
$4,342,049 54,734 +79%
GLOBAL X FDS
37960A651
$4,336,990 204,575 +584%
INVESTMENT MANAGERS SER TR I
46092D756
$4,334,599 29,889 +68%
XERIS BIOPHARMA HOLDINGS INC
98422E103
$4,333,957 747,234 +25%
APOLLO COML REAL ESTATE FIN
03762U105
$4,332,303 410,256 +3%
AGI INC
G0118C105
$4,332,230 595,905 Nuova
ISHARES TR
46434V860
$4,329,776 85,518 Nuova
GLOBAL X FDS
37954Y491
$4,328,904 102,678 +546%
COREBRIDGE FINL INC
21871X109
$4,321,046 181,100 -72%
OMADA HEALTH INC
68170A108
$4,314,451 343,234 -79%
SCHWAB STRATEGIC TR
808524409
$4,309,467 141,294 +970%
FIRST TR EXCH TRD ALPHDX FD
33737J224
$4,304,448 85,471 -37%
OPTIMUM COMMUNICATIONS INC
02156K103
$4,298,801 3,306,770 -25%
EASTERLY GOVT PPTYS INC
27616P301
$4,292,301 200,294 +82%
BEYOND MEAT INC
08862E109
$4,291,407 6,116,600 -17%
AMERICAN ASSETS TR INC
024013104
$4,288,720 232,956 -18%
OCULIS HOLDING AG
H5870P102
$4,288,542 161,284 +30%
ONE GAS INC
68235P108
$4,281,092 49,705 -68%
INMODE LTD
M5425M103
$4,277,805 312,705 -48%
ETF OPPORTUNITIES TRUST
26923N173
$4,276,690 1,006,280 -3%
AMERICAN CENTY ETF TR
025072166
$4,276,160 54,522 Nuova
HNI CORP
404251100
$4,267,709 127,814 -69%
HAYWARD HLDGS INC
421298100
$4,261,570 318,503 -16%
INTAPP INC
45827U109
$4,252,029 165,513 -82%
INVESTMENT MANAGERS SER TR I
46092D384
$4,249,176 172,801 -21%
ALLEGION PLC
G0176J109
$4,242,323 29,199 -64%
SENSIENT TECHNOLOGIES CORP
81725T100
$4,241,265 49,066 -41%
AQUESTIVE THERAPEUTICS INC
03843E104
$4,230,937 1,019,503 -31%
T ROWE PRICE ETF INC
87283Q792
$4,221,866 139,534 +4%
ADVISORS SER TR
00770X220
$4,212,192 78,593 +23%
DIREXION SHARES ETF TRUST
25460G179
$4,204,849 409,032 +579%
TCW ETF TRUST
29287L700
$4,197,806 106,896 Nuova
CAPITAL GROUP NEW GEOGRAPHY
14021N105
$4,196,916 132,940 Nuova
GRAN TIERRA ENERGY INC
38500T200
$4,196,444 467,831 +315%
CLEARWAY ENERGY INC
18539C204
$4,188,589 106,607 -66%
INVESCO CURRENCYSHARES SWISS
46138R108
$4,187,851 37,930 -43%
GORILLA TECHNOLOGY GROUP INC
G4000K175
$4,185,412 397,475 -54%
MFS ACTIVE EXCHANGE TRADED F
55286W801
$4,174,760 154,392 Nuova
ORCHID IS CAP INC
68571X301
$4,169,985 593,170 -34%
DIREXION SHARES ETF TRUST
25461H861
$4,164,276 140,685 +187%
ENPRO INC
29355X107
$4,162,545 16,607 +188%
CULLINAN THERAPEUTICS INC
230031106
$4,154,691 292,378 +108%
ETF OPPORTUNITIES TRUST
26923Q564
$4,154,036 2,353,561 -31%
DIREXION SHARES ETF TRUST
25460G161
$4,141,063 27,029 +62%
INNOVATIVE SOLUTIONS & SUPPO
45769N105
$4,138,417 201,579 +28%
SIMPLIFY EXCHANGE TRADED FUN
82889N525
$4,134,510 83,593 +88%
UPBOUND GROUP INC
76009N100
$4,129,569 228,785 -35%
TIDAL TRUST II
88634T774
$4,125,044 317,800 -18%
DOUBLELINE ETF TRUST
25861R204
$4,113,415 133,323 +357%
PLIANT THERAPEUTICS INC
729139105
$4,111,882 3,263,399 +24%
ZENTALIS PHARMACEUTICALS INC
98943L107
$4,109,702 1,756,283 +55%
KIMBALL ELECTRONICS INC
49428J109
$4,099,294 173,039 +301%
SONIDA SENIOR LIVING INC
140475203
$4,097,879 127,066 +261%
CARGURUS INC
141788109
$4,092,946 120,204 +113%
CASTLE BIOSCIENCES INC
14843C105
$4,074,736 165,977 -74%
DIMENSIONAL ETF TRUST
25434V807
$4,067,174 77,059 +17%
CORVEL CORP
221006109
$4,066,725 74,414 +4%
LINDSAY CORP
535555106
$4,043,856 33,962 +4%
KURA ONCOLOGY INC
50127T109
$4,041,626 497,125 -38%
EPLUS INC
294268107
$4,024,370 53,480 -52%
FLEXSHARES TR
33939L886
$4,019,220 53,300 Nuova
VILLAGE FARMS INTL INC
92707Y108
$4,017,291 1,414,539 +29%
SSGA ACTIVE TR
78470P630
$4,015,141 139,173 +742%
COLLEGIUM PHARMACEUTICAL INC
19459J104
$4,013,574 121,366 -34%
BUILD-A-BEAR WORKSHOP INC
120076104
$4,010,895 107,100 -47%
BANCO SANTANDER SA
05964H105
$4,002,144 354,800 -47%
SPX TECHNOLOGIES INC
78473E103
$3,999,800 20,005 +3%
ISHARES TR
464287580
$3,997,272 41,243 Invariata
ALPS ETF TR
00162Q361
$3,994,617 97,896 +154%
GOLDMAN SACHS ETF TR
38149W622
$3,993,192 79,800 +191%
LIGAND PHARMACEUTICALS INC
53220K504
$3,992,201 19,996 +63%
MANNKIND CORP
56400P706
$3,983,776 1,626,031 -82%
AVEPOINT INC
053604104
$3,982,597 418,780 -60%
NCR ATLEOS CORPORATION
63001N106
$3,981,339 91,357 +12%
UFP TECHNOLOGIES INC
902673102
$3,980,803 20,562 +1181%
PROSHARES TR
74347X633
$3,977,134 54,177 +33%
REZOLVE AI PLC
G75398100
$3,974,282 1,552,454 -17%
CANNAE HLDGS INC
13765N107
$3,956,430 347,971 -35%
PUBMATIC INC
74467Q103
$3,940,658 481,743 -25%
DIREXION SHARES ETF TRUST
25460E711
$3,931,407 80,810 +522%
PATHWARD FINANCIAL INC
59100U108
$3,925,585 43,994 -6%
THRIVENT ETF TRUST
88588G307
$3,924,175 78,041 +27%
TURKCELL ILETISIM
900111204
$3,922,105 650,432 -35%
TWO HARBORS INVENTMENT CORPO
90187B804
$3,917,448 343,034 +130%
S & T BANCORP INC
783859101
$3,917,045 93,642 +50%
MGE ENERGY INC
55277P104
$3,911,724 50,611 -2%
RAPID7 INC
753422104
$3,911,565 709,903 -56%
AVIAT NETWORKS INC
05366Y201
$3,907,619 172,827 +119%
ISHARES TR
464288810
$3,899,885 73,100 -57%
CAPITAL GRP FIXED INCM ETF T
14020Y805
$3,893,659 153,778 -12%
ISHARES TR
46429B366
$3,891,529 79,859 Nuova
AVALO THERAPEUTICS INC
05338F306
$3,889,787 260,535 -49%
PROCAP FINL INC
74277P105
$3,886,732 1,842,053 +80%
SPDR SERIES TRUST
78464A607
$3,882,902 38,456 Nuova
DIREXION SHARES ETF TRUST
25461A445
$3,879,528 87,200 +285%
PROSHARES TR
74347G184
$3,860,368 144,800 -7%
NEXTDOOR HOLDINGS INC
65345M108
$3,854,651 2,753,322 +85%
INVESCO EXCH TRD SLF IDX FD
46138J643
$3,853,350 188,677 Nuova
AMERICAN CENTY ETF TR
025072109
$3,852,922 82,663 Nuova
ISHARES TR
46436E429
$3,851,815 179,001 +29%
INVESTMENT MANAGERS SER TR I
46092D376
$3,847,880 231,800 +930%
ISHARES TR
464287705
$3,844,885 29,018 Nuova
INVESCO EXCH TRD SLF IDX FD
46138J577
$3,843,221 205,956 Nuova
IMMUNOME INC
45257U108
$3,842,494 175,697 -91%
BLACK ROCK COFFEE BAR INC
092244102
$3,833,054 296,676 +1623%
PAYONEER GLOBAL INC
70451X104
$3,829,190 792,793 -44%
VIZSLA SILVER CORP
92859G608
$3,825,063 1,159,110 -50%
AMERICAN INTEGRITY INS GROUP
026948109
$3,824,863 198,385 -44%
GERMAN AMERN BANCORP INC
373865104
$3,821,361 91,442 +326%
AMERICAN CENTY ETF TR
025072703
$3,817,291 44,994 +1094%
ISHARES INC
46434G848
$3,814,166 67,400 +184%
BLUELINX HLDGS INC
09624H208
$3,814,001 70,395 +40%
FERROVIAL SE
N3168P101
$3,809,263 58,559 -82%
NKARTA INC
65487U108
$3,808,748 1,805,094 +48%
INVESCO EXCH TRD SLF IDX FD
46138J783
$3,808,133 194,045 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X192
$3,791,511 34,670 -33%
NEW JERSEY RES CORP
646025106
$3,788,382 68,980 -81%
SNDL INC
83307B101
$3,778,648 2,862,612 -30%
SIGA TECHNOLOGIES INC
826917106
$3,772,483 705,137 -42%
MORGAN STANLEY ETF TRUST
61774R767
$3,772,289 74,966 Nuova
DAKOTA GOLD CORP
46655E100
$3,768,825 746,302 +134%
O-I GLASS INC
67098H104
$3,768,066 358,522 -82%
BLACKROCK ETF TRUST II
092528504
$3,763,636 72,608 Nuova
TELECOM ARGENTINA SA
879273209
$3,760,241 321,663 +137%
ATLAS ENERGY SOLUTIONS INC
642045108
$3,756,886 286,348 -8%
PROSHARES TR
74350P543
$3,755,201 90,947 Nuova
ORRSTOWN FINL SVCS INC
687380105
$3,751,093 103,966 +95%
ETON PHARMACEUTICALS INC
29772L108
$3,744,327 151,715 +160%
SPDR SERIES TRUST
78468R622
$3,742,652 39,100 +190%
ISHARES TR
464288851
$3,741,380 29,955 +70%
DIGITAL TURBINE INC
25400W102
$3,735,772 1,297,143 -56%
EMBECTA CORP
29082K105
$3,731,532 422,119 +22%
STONEX GROUP INC
861896108
$3,727,241 46,215 +35%
VOLATILITY SHS TR
92865J737
$3,721,238 82,065 Nuova
EXPRO GROUP HOLDINGS NV
N3144W105
$3,719,089 213,618 +49%
SPDR SERIES TRUST
78464A367
$3,714,095 167,151 +56%
NORTHWEST NAT HLDG CO
66765N105
$3,710,339 69,717 +50%
ENANTA PHARMACEUTICALS INC
29251M106
$3,703,532 293,233 +111%
TRINITY CAP INC
896442308
$3,703,257 251,751 +13%
COSTAMARE INC
Y1771G102
$3,703,145 219,121 -12%
NORTHERN LTS FD TR IV
66537J796
$3,696,688 14,754 +1385%
CHESAPEAKE UTILS CORP
165303108
$3,693,037 29,224 +60%
BAYTEX ENERGY CORP
07317Q105
$3,692,801 826,130 -53%
FIDELITY COVINGTON TRUST
316092113
$3,688,949 101,708 Nuova
FIRST TR EXCHANGE TRADED FD
33738R605
$3,684,995 60,972 +351%
AMERICAN CENTY ETF TR
025072299
$3,681,977 49,995 -51%
THEMES ETF TR
88340C701
$3,681,286 1,353,414 +475%
LAZARD ACTIVE ETF TR
52110K400
$3,677,380 115,823 Nuova
STELLAR BANCORP INC
858927106
$3,670,262 100,253 +24%
ICF INTL INC
44925C103
$3,664,271 56,123 -40%
VERICEL CORP
92346J108
$3,652,774 113,546 +32%
BUMBLE INC
12047B105
$3,642,816 1,117,428 -47%
ISHARES TR
464287309
$3,642,142 32,200 -56%
SUMMIT MIDSTREAM CORPORATION
86614G101
$3,641,894 120,433 +183%
ETFIS SER TR I
26923G806
$3,636,169 45,509 +1606%
AMC ENTMT HLDGS INC
00165C302
$3,629,348 3,703,416 -69%
COLLIERS INTL GROUP INC
194693107
$3,628,702 33,948 -3%
PULSE BIOSCIENCES INC
74587B101
$3,628,200 168,050 +338%
FIRST TR EXCH TRD ALPHDX FD
33737J505
$3,627,663 58,257 Nuova
NELNET INC
64031N108
$3,623,131 28,095 -12%
INTERCORP FINL SVCS INC
P5626F128
$3,622,332 72,158 +214%
JANUS DETROIT STR TR
47103U852
$3,621,132 80,149 Nuova
FEDERAL RLTY INVT TR NEW
313745101
$3,619,531 34,079 -89%
JUMIA TECHNOLOGIES AG
48138M105
$3,615,490 523,984 -73%
NATIONAL BK HLDGS CORP
633707104
$3,615,447 92,325 -43%
HARTFORD FDS EXCHANGE TRADED
41653L701
$3,615,127 103,142 +284%
TOOTSIE ROLL INDS INC
890516107
$3,613,599 84,588 -22%
GILAT SATELLITE NETWORKS LTD
M51474118
$3,601,645 239,790 -5%
CATHAY GEN BANCORP
149150104
$3,598,895 72,180 -67%
ANAVEX LIFE SCIENCES CORP
032797300
$3,598,148 1,172,035 -3%
SCHRODINGER INC
80810D103
$3,586,886 315,747 -44%
ISHARES TR
464288687
$3,580,792 118,100 +37%
ORION S.A.
L72967109
$3,579,602 550,708 +102%
STANDARD MTR PRODS INC
853666105
$3,572,697 102,841 +1360%
HAFNIA LTD
Y2990R101
$3,571,954 469,994 +13%
PROGRESS SOFTWARE CORP
743312100
$3,568,172 139,110 -77%
FIRST TR EXCHANGE-TRADED ALP
33735J101
$3,562,494 38,576 +995%
TIDAL TRUST II
88636X708
$3,555,052 115,913 +13%
NICOLET BANKSHARES INC
65406E102
$3,550,383 23,889 -87%
TERRENO RLTY CORP
88146M101
$3,549,953 57,798 +21%
SUTRO BIOPHARMA INC
869367201
$3,545,615 142,337 +855%
ISHARES TR
464287275
$3,545,613 30,869 -7%
ALTO INGREDIENTS INC
021513106
$3,544,748 732,386 +173%
INGLES MKTS INC
457030104
$3,543,914 39,425 +54%
GLOBAL X FDS
37954Y475
$3,541,265 90,500 -26%
PIMCO ETF TR
72201R304
$3,536,379 69,300 -40%
ARBUTUS BIOPHARMA CORP
03879J100
$3,533,571 785,238 +392%
APOGEE ENTERPRISES INC
037598109
$3,532,231 105,314 -17%
ISHARES TR
464287572
$3,531,235 29,191 -69%
DRDGOLD LIMITED
26152H301
$3,530,979 120,224 +41%
FIRST TR EXCHANGE-TRADED ALP
33734Y109
$3,530,032 29,576 +215%
INVESCO DB US DLR INDEX TR
46141D104
$3,529,800 196,100 -12%
CAPITAL GRP FIXED INCM ETF T
14020Y409
$3,525,674 136,707 Nuova
PACER FDS TR
69374H105
$3,518,964 67,079 +459%
DIREXION SHARES ETF TRUST
25461A528
$3,512,568 29,179 Nuova
DBX ETF TR
233051820
$3,506,757 82,142 Nuova
VIRTUS ETF TR II
92790A793
$3,502,699 146,176 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X135
$3,490,186 62,114 +99%
ALPHA PRO TECH LTD
020772109
$3,486,732 785,300 +234%
NB BANCORP INC
63945M107
$3,486,474 165,471 +14%
DISTRIBUTION SOLUTIONS GRP I
520776105
$3,477,954 132,544 Nuova
USA TODAY CO INC
36472T109
$3,477,483 493,260 +764%
AMPLIFY ETF TR
032108722
$3,473,297 85,824 Nuova
TELEKOMUNIKASI IND
715684106
$3,470,034 185,762 +614%
BRADY CORP
104674106
$3,469,273 42,704 +15%
DIREXION SHARES ETF TRUST
25459W730
$3,464,814 66,708 +658%
LADDER CAP CORP
505743104
$3,459,137 354,057 -19%
MILLER INDS INC TENN
600551204
$3,458,612 75,930 +14%
XOMA ROYALTY CORPORATION
98419J206
$3,458,166 110,238 Nuova
FIRST HAWAIIAN INC
32051X108
$3,456,130 140,265 -24%
INVESTMENT MANAGERS SER TR I
46152A536
$3,442,170 125,535 Nuova
THREDUP INC
88556E102
$3,441,425 1,049,215 -43%
ISHARES TR
464288778
$3,439,515 63,884 -12%
INVESTMENT MANAGERS SER TR I
46092D665
$3,428,249 313,655 +2%
VANGUARD MUN BD FDS
922907738
$3,427,842 34,299 +6%
CERENCE INC
156727109
$3,427,706 543,218 -80%
INFLECTION PT ACQUISIT CORP
G4790S123
$3,425,124 338,451 Nuova
PGIM ETF TR
69344A834
$3,415,804 66,741 Nuova
SPDR SERIES TRUST
78468R523
$3,414,571 34,338 Nuova
WISDOMTREE TR
97717W471
$3,413,553 129,645 +12%
FS SPECIALTY LENDING FD
644323107
$3,412,465 272,779 +674%
KALVISTA PHARMACEUTICALS INC
483497103
$3,410,545 169,426 +221%
LIVE OAK BANCSHARES INC
53803X105
$3,408,194 103,060 -55%
RED ROCK RESORTS INC
75700L108
$3,402,340 63,762 -58%
CROSS CTRY HEALTHCARE INC
227483104
$3,397,781 361,466 -9%
BAR HBR BANKSHARES
066849100
$3,397,709 104,706 +333%
TIM S A
88706T108
$3,386,031 127,823 +77%
HARTFORD FDS EXCHANGE TRADED
41653L305
$3,383,717 100,288 -30%
VALLEY NATL BANCORP
919794107
$3,378,228 275,100 -72%
PANGAEA LOGISTICS SOLUTION L
G6891L105
$3,369,195 475,875 +345%
INVESCO ACTVELY MNGD ETC FD
46090F100
$3,367,822 194,447 Nuova
ISHARES TR
464287499
$3,364,158 34,600 -6%
VANGUARD BD INDEX FDS
921937827
$3,360,731 42,861 -79%
ISHARES TR
46438G729
$3,356,669 53,346 -80%
U HAUL HOLDING COMPANY
023586506
$3,355,744 75,123 +66%
HARRIS OAKMARK ETF TRUST
41456U106
$3,349,010 121,495 +343%
PROSHARES TR
74349Y704
$3,343,008 287,200 -32%
LUXFER HLDGS PLC
G5698W116
$3,342,923 274,460 Nuova
FIRST TR EXCH TRD ALPHDX FD
33737J190
$3,332,614 55,527 Nuova
SCHWAB STRATEGIC TR
808524771
$3,331,417 119,620 Nuova
COMPASS PATHWAYS PLC
20451W101
$3,321,257 600,589 -3%
EXCHANGE TRADED CONCEPTS TRU
301505475
$3,307,508 50,289 -32%
WAFD INC
938824109
$3,307,205 105,325 -57%
NETSCOUT SYS INC
64115T104
$3,304,697 103,954 +54%
FERROGLOBE PLC
G33856108
$3,299,922 800,952 -28%
KAISER ALUMINIUM CORPORATION
483007704
$3,297,636 27,364 -33%
SEI INVTS CO
784117103
$3,293,307 41,969 -74%
WISDOMTREE TR
97717Y535
$3,287,575 105,371 -31%
FIRST TR EXCHANGE-TRADED FD
33733E807
$3,286,918 103,721 +83%
FRANKLIN TEMPLETON ETF TR
35473P413
$3,281,112 133,135 Nuova
NATIONAL HEALTHCARE CORP
635906100
$3,280,557 20,542 +306%
EIKON THERAPEUTICS INC
282564103
$3,279,800 310,000 Nuova
MARCUS CORP DEL
566330106
$3,274,027 190,683 -17%
RADNET INC
750491102
$3,273,980 58,579 -59%
FIDELITY COMWLTH TR
315912808
$3,272,092 38,536 +163%
NORTHWESTERN ENERGY GROUP IN
668074305
$3,269,899 49,589 -82%
TIPTREE INC
88822Q103
$3,267,312 193,104 -23%
UNIVERSAL HEALTH RLTY INCOME
91359E105
$3,265,564 80,691 +1%
GREEN BRICK PARTNERS INC
392709101
$3,265,553 50,668 -53%
FIDELITY COVINGTON TRUST
316092790
$3,261,918 44,930 Nuova
UNDER ARMOUR INC
904311206
$3,260,401 563,109 +70%
FIRST TR EXCHANGE-TRADED FD
33733E104
$3,259,123 35,135 -52%
CRESUD S A C I F Y A
226406106
$3,250,278 255,525 -6%
AMPLIFY ENERGY CORP NEW
03212B103
$3,249,068 520,684 +18%
PRECIDIAN ETFS TR
74016W205
$3,243,496 34,417 -15%
J P MORGAN EXCHANGE TRADED F
46654Q716
$3,238,298 60,225 +218%
EVOLUS INC
30052C107
$3,235,922 787,329 -66%
LLOYDS BANKING GROUP PLC
539439109
$3,233,445 642,832 -68%
CSW INDUSTRIALS INC
126402106
$3,225,459 12,378 +197%
FIRST TR EXCHANGE-TRADED FD
33734X309
$3,209,268 39,711 +20%
MIMEDX GROUP INC
602496101
$3,208,747 812,341 Invariata
THEMES ETF TR
882927122
$3,202,788 314,307 -16%
MONOPAR THERAPEUTICS INC
61023L207
$3,201,708 58,436 +866%
J P MORGAN EXCHANGE TRADED F
46641Q852
$3,201,166 66,942 -9%
QUAKER HOUGHTON
747316107
$3,196,190 25,728 +31%
ISHARES TR
46432F834
$3,188,352 36,800 Nuova
SUNRISE RLTY TR INC
867981102
$3,173,079 413,700 -20%
TALKSPACE INC
87427V103
$3,172,539 613,051 +287%
CBIZ INC
124805102
$3,172,193 118,145 -80%
DAVIS FUNDAMENTAL ETF TR
23908L108
$3,165,883 70,604 +289%
RBB FD INC
74933W510
$3,165,541 64,842 +74%
VANGUARD INSTL INDEX FD
922040845
$3,164,364 41,829 Nuova
CARTER BANKSHARES INC
146103106
$3,163,708 135,665 +271%
FARMLAND PARTNERS INC
31154R109
$3,157,393 281,157 -33%
NOMAD FOODS LTD
G6564A105
$3,155,876 328,395 -54%
INVESCO EXCH TRD SLF IDX FD
46139W759
$3,155,155 153,760 Nuova
GRACO INC
384109104
$3,151,435 37,229 -32%
SILA REALTY TRUST INC
146280508
$3,151,169 133,073 -74%
FRANKLIN TEMPLETON ETF TR
35473P108
$3,142,920 78,948 Nuova
WISDOMTREE TR
97717W851
$3,137,664 19,786 +172%
J P MORGAN EXCHANGE TRADED F
46641Q308
$3,136,896 50,492 Nuova
IDAHO STRATEGIC RESOURCES
645827205
$3,134,912 97,600 -46%
DIREXION SHARES ETF TRUST
25461H564
$3,134,658 51,993 Nuova
FIRST TR EXCHANGE-TRADED ALP
33733C108
$3,133,249 33,139 +312%
CLEAR CHANNEL OUTDOOR HLDGS
18453H106
$3,132,545 1,321,749 -45%
W & T OFFSHORE INC
92922P106
$3,131,484 918,324 +162%
FIFTH ERA ACQUISITION CORP I
G3415K101
$3,129,964 303,880 -39%
ORION GROUP HLDGS INC
68628V308
$3,126,425 286,828 +79%
VISTEON CORP
92839U206
$3,120,335 34,248 -79%
FIRST INTST BANCSYSTEM INC
32055Y201
$3,118,692 93,374 -55%
FORWARD INDUSTRIES INC
349932103
$3,118,649 703,984 Nuova
TWENTY ONE CAP INC
90138L109
$3,117,549 487,117 -40%
PROTO LABS INC
743713109
$3,114,318 54,618 +135%
FIRST TR EXCH TRADED FD III
33740J203
$3,111,665 150,322 Nuova
ISHARES TR
464288158
$3,107,457 29,178 -59%
FIRST TR EXCH TRADED FD III
33739N108
$3,106,471 61,320 +45%
JANUS INTERNATIONAL GROUP IN
47103N106
$3,100,743 602,086 +2%
GPGI INC
20459V105
$3,096,810 181,100 -34%
RBB FD INC
74933W536
$3,092,111 70,919 +138%
QUINSTREET INC
74874Q100
$3,089,152 257,215 +8%
RICHARDSON ELECTRS LTD
763165107
$3,088,470 282,052 +1004%
TEUCRIUM COMMODITY TR
88166A607
$3,087,600 126,541 +147%
ISHARES TR
46434V647
$3,084,471 122,643 Nuova
MUELLER WTR PRODS INC
624758108
$3,076,571 111,916 -74%
JOHN HANCOCK EXCHANGE TRADED
47804J859
$3,073,923 72,549 Nuova
FTAI INFRASTRUCTURE INC
35953C106
$3,073,752 622,217 +46%
CANOPY GROWTH CORPORATION
138035704
$3,072,872 3,237,328 -58%
MORGAN STANLEY ETF TRUST
61774R841
$3,072,456 60,541 +621%
CASELLA WASTE SYS INC
147448104
$3,066,412 38,649 -94%
PROSHARES TR II
74347W130
$3,064,020 66,900 -20%
LEONARDO DRS INC
52661A108
$3,058,524 68,700 -79%
ITURAN LOCATION AND CONTROL
M6158M104
$3,054,794 62,330 +59%
INVESCO EXCH TRADED FD TR II
46138E719
$3,053,747 170,220 Nuova
GRUPO SUPERVIELLE S.A.
40054A108
$3,052,359 323,686 -27%
INVESTMENT MANAGERS SER TR I
30254T577
$3,051,075 84,098 Nuova
PRIMERICA INC
74164M108
$3,049,344 12,174 -58%
KORRO BIO INC
500946108
$3,046,370 269,114 +8%
ASTRANA HEALTH INC
03763A207
$3,045,850 124,219 +146%
BRP INC
05577W200
$3,043,308 42,380 -84%
ELME COMMUNITIES
939653101
$3,041,990 1,513,428 -85%
ISHARES TR
46435U135
$3,040,572 69,658 Nuova
SANDRIDGE ENERGY INC
80007P869
$3,039,271 186,344 Invariata
ABRDN FDS
003022266
$3,038,982 91,529 +1%
BED BATH & BEYOND INC
690370101
$3,036,908 654,506 -22%
WISDOMTREE TR
97717X511
$3,035,982 69,873 +1203%
HANMI FINL CORP
410495204
$3,034,221 115,107 -21%
TENAYA THERAPEUTICS INC
87990A106
$3,029,942 4,376,000 -2%
ALTIMMUNE INC
02155H200
$3,025,708 982,373 -64%
HAMILTON LANE INC
407497106
$3,018,281 30,365 -97%
RIDGEPOST CAP INC
69376K106
$3,011,404 414,794 +16%
EMPIRE ST RLTY TR INC
292104106
$3,009,578 578,765 +77%
PROSHARES TR II
74347Y730
$3,008,202 87,575 +59%
SAFEHOLD INC
78646V107
$3,007,327 222,271 -58%
AMPLIFY ETF TR
032108557
$3,002,830 45,444 +40%
SONOS INC
83570H108
$3,002,364 224,057 -29%
ISHARES TR
464289131
$3,001,143 202,643 -41%
WISDOMTREE TR
97717X701
$2,999,980 57,361 -20%
FB FINL CORP
30257X104
$2,999,639 57,752 -64%
ISHARES TR
464288737
$2,999,636 44,764 +226%
FLOTEK INDUSTRIES INC
343389409
$2,994,373 176,451 -52%
MAGNERA CORP
55939A107
$2,993,929 314,819 -66%
NIAGEN BIOSCIENCE INC
171077407
$2,991,202 678,277 -14%
VANGUARD SCOTTSDALE FDS
92206C847
$2,990,112 54,017 +57%
MINISO GROUP HLDG LTD
66981J102
$2,987,069 184,387 -22%
BANK MONTREAL MEDIUM
06368B504
$2,983,659 50,053 -62%
DBX ETF TR
233051754
$2,978,588 73,500 +316%
ISHARES TR
464287408
$2,977,215 14,100 +34%
ISHARES TR
464287176
$2,968,684 26,900 +41%
INVESCO EXCH TRADED FD TR II
46138E537
$2,960,904 128,847 -81%
AMERICAN COASTAL INS CORP
910710102
$2,959,875 263,100 +137%
EZCORP INC
302301106
$2,955,806 116,462 -57%
SOUTHSIDE BANCSHARES INC
84470P109
$2,955,509 95,063 -16%
4D MOLECULAR THERAPEUTICS IN
35104E100
$2,952,163 317,096 +455%
ONE LIBERTY PPTYS INC
682406103
$2,952,016 137,559 -25%
LANDS END INC NEW
51509F105
$2,947,634 262,245 Nuova
ISHARES INC
464286608
$2,944,143 47,001 -80%
SOL-GEL TECHNOLOGIES LTD
M8694L137
$2,942,626 37,145 +1013%
ORTHOPEDIATRICS CORP
68752L100
$2,942,187 185,393 +9%
PC CONNECTION INC
69318J100
$2,937,206 50,243 -10%
MISTER CAR WASH INC
60646V105
$2,936,635 421,325 +32%
ARK ETF TR
00214Q203
$2,934,945 26,100 -56%
NORTHERN FDS
665162111
$2,933,341 29,226 +57%
DIREXION SHARES ETF TRUST
25459Y207
$2,926,341 29,700 -20%
ADEIA INC
00676P107
$2,923,946 121,679 +25%
DOUGLAS DYNAMICS INC
25960R105
$2,910,692 69,154 +41%
MFS ACTIVE EXCHANGE TRADED F
55286W405
$2,908,518 97,864 Nuova
BLACKROCK ETF TRUST II
092528819
$2,906,111 58,339 Nuova
EVERTEC INC
30040P103
$2,904,233 102,914 -48%
SPDR SERIES TRUST
78468R648
$2,895,816 49,520 +295%
DIREXION SHARES ETF TRUST
25461A304
$2,889,036 206,951 -29%
SPDR SERIES TRUST
78468R457
$2,885,889 95,354 +245%
F&G ANNUITIES & LIFE INC
30190A104
$2,885,265 113,952 -52%
FIDELITY MERRIMACK STR TR
316188101
$2,884,874 61,211 Nuova
TCW ETF TRUST
87191E105
$2,884,224 76,126 +108%
MCGRAW HILL INC
580907103
$2,883,562 210,479 +33%
ETF OPPORTUNITIES TRUST
26923N389
$2,882,880 168,000 -66%
INDEPENDENT BK CORP MICH
453838609
$2,875,688 86,357 +36%
SI BONE INC
825704109
$2,873,653 227,526 -57%
VANGUARD INDEX FDS
922908595
$2,871,375 9,500 -26%
J P MORGAN EXCHANGE TRADED F
46654Q559
$2,868,290 57,746 Nuova
GOLDMAN SACHS ETF TR
38149W820
$2,868,213 41,992 +256%
INFINITY NAT RES INC
456941103
$2,860,885 162,458 +84%
OSISKO DEVELOPMENT CORP
68828E809
$2,860,059 880,018 +10%
CORE LABORATORIES INC
21867A105
$2,855,979 170,100 +382%
PERION NETWORK LTD
M78673114
$2,851,795 285,465 -30%
FUBOTV INC
35953D401
$2,849,806 301,248 Nuova
NEXSTAR MEDIA GROUP INC
65336K103
$2,845,541 15,736 -92%
KFORCE INC
493732101
$2,842,976 97,229 -40%
ACI WORLDWIDE INC
004498101
$2,838,056 69,204 +31%
WORLD KINECT CORPORATION
981475106
$2,833,435 122,819 -60%
RADIANT LOGISTICS INC
75025X100
$2,827,874 401,117 +290%
KARYOPHARM THERAPEUTICS INC
48576U205
$2,826,775 507,500 +183%
GLOBAL X FDS
37954Y236
$2,816,282 117,541 +77%
CAPITAL BANCORP INC MD
139737100
$2,814,237 94,628 +199%
ISHARES TR
464288794
$2,802,060 17,067 +39%
ISHARES TR
46434V803
$2,799,273 65,873 Nuova
PROSHARES TR
74347G705
$2,797,244 41,900 +157%
FIRST TR EXCHANGE-TRADED FD
33738D101
$2,794,502 64,006 Nuova
STANDEX INTL CORP
854231107
$2,790,462 10,949 Nuova
IMMUNEERING CORP
45254E107
$2,788,241 529,078 +167%
GENESIS ENERGY L P
371927104
$2,785,296 156,214 -38%
VANECK ETF TRUST
92189F585
$2,779,985 56,275 +1076%
SERIES PORTFOLIOS TR
81752T528
$2,779,126 108,348 +2%
ISHARES INC
464286707
$2,776,320 64,000 -27%
ENHABIT INC
29332G102
$2,774,279 196,897 -33%
ASPEN AEROGELS INC
04523Y105
$2,770,840 810,187 -24%
RPC INC
749660106
$2,761,200 390,000 -34%
ISHARES TR
464288844
$2,759,919 95,334 +427%
ISHARES TR
464287390
$2,756,281 77,598 +121%
SPDR SERIES TRUST
78464A284
$2,751,734 110,957 -46%
CADELER A S
12738K109
$2,750,422 116,890 +501%
ASANA INC
04342Y104
$2,746,240 429,100 -88%
NAPCO SEC TECHNOLOGIES INC
630402105
$2,745,089 69,690 -56%
SMITHFIELD FOODS INC
832248207
$2,743,046 98,071 -67%
ADAPTHEALTH CORP
00653Q102
$2,741,831 230,406 -42%
UNIVERSAL INS HLDGS INC
91359V107
$2,728,872 79,885 +31%
VANGUARD INDEX FDS
922908538
$2,727,910 10,600 Nuova
ARK ETF TR
00214Q708
$2,727,294 71,752 -66%
VICTORY PORTFOLIOS II
92647N527
$2,727,174 58,004 +207%
PORCH GROUP INC
733245104
$2,726,894 380,320 -54%
ISHARES TR
46436E189
$2,726,185 57,300 +60%
INVESCO EXCH TRD SLF IDX FD
46138J791
$2,723,771 139,466 Nuova
MEDIAALPHA INC
58450V104
$2,723,254 292,823 +6%
J P MORGAN EXCHANGE TRADED F
46641Q233
$2,721,969 45,782 Nuova
JACK IN THE BOX INC
466367109
$2,719,774 281,259 -9%
FIRST TR EXCHANGE TRADED FD
33738R720
$2,716,389 58,847 -37%
TACTILE SYS TECHNOLOGY INC
87357P100
$2,716,240 103,951 -25%
ENTRADA THERAPEUTICS INC
29384C108
$2,713,527 215,018 -10%
NGL ENERGY PARTNERS LP
62913M107
$2,713,438 220,068 -47%
FIRST TR EXCHANGE-TRADED FD
336920103
$2,710,251 17,066 Nuova
BNY MELLON ETF TRUST
09661T826
$2,705,137 60,735 Nuova
VITESSE ENERGY INC
92852X103
$2,702,789 148,832 +70%
LARIMAR THERAPEUTICS INC
517125100
$2,700,594 600,132 -49%
SPDR SERIES TRUST
78468R739
$2,693,690 56,318 -18%
FIRST TR EXCHANGE-TRADED ALP
33734K109
$2,691,920 22,078 +390%
GALIANO GOLD INC
36352H100
$2,691,142 1,072,168 -48%
VANECK ETF TRUST
92189F205
$2,689,941 29,299 Nuova
HERITAGE COMM CORP
426927109
$2,689,527 215,507 -31%
ENLIGHT RENEWABLE ENERGY LTD
M4056D110
$2,689,375 39,399 +62%
KURA SUSHI USA INC
501270102
$2,675,399 38,335 Nuova
ISHARES TR
46434V100
$2,672,587 52,933 Nuova
SUBURBAN PROPANE PARTNERS L
864482104
$2,667,916 135,496 -7%
FIRST TR EXCHANGE-TRADED FD
33733E831
$2,665,878 59,626 +875%
ISHARES TR
464288620
$2,665,651 52,033 +930%
ISHARES TR
46436E593
$2,660,070 134,892 +134%
INVESCO EXCH TRADED FD TR II
46138G508
$2,657,382 130,200 -68%
EXPONENT INC
30214U102
$2,656,785 40,717 -84%
MFA FINL INC
55272X607
$2,654,934 277,133 -58%
VOR BIOPHARMA INC
929033207
$2,654,021 148,768 -56%
MONRO INC
610236101
$2,653,882 165,454 Nuova
HARRIS OAKMARK ETF TRUST
41456U304
$2,646,124 109,114 -36%
STOCK YDS BANCORP INC
861025104
$2,643,579 39,879 +18%
FIDELITY COVINGTON TRUST
31609A602
$2,643,178 105,939 -22%
STANDARD LITHIUM LTD
853606101
$2,642,985 775,069 -24%
KARAT PACKAGING INC
48563L101
$2,640,534 94,575 +175%
CHART INDS INC
16115Q308
$2,636,063 12,750 -96%
LEXICON PHARMACEUTICALS INC
528872302
$2,632,189 1,687,301 Invariata
DELUXE CORP MEDIUM TERM NTS
248019101
$2,629,437 95,477 +47%
BLACKROCK ETF TRUST
09290C681
$2,628,035 91,236 -80%
ISHARES INC
464286392
$2,626,852 14,592 +32%
ANGEL OAK FUNDS TRUST
03463K760
$2,626,567 126,442 Nuova
FIRST TR EXCHANGE TRADED FD
33738R860
$2,625,689 72,593 +176%
SABINE RTY TR
785688102
$2,621,455 34,795 -2%
FRONTIER GROUP HLDGS INC
35909R108
$2,619,821 742,159 -32%
MORGAN STANLEY ETF TRUST
61774R304
$2,614,378 33,694 Nuova
TEUCRIUM COMMODITY TR
88166A409
$2,614,312 250,413 +824%
METHODE ELECTRS INC
591520200
$2,609,006 472,646 +4%
SHOE CARNIVAL INC
824889109
$2,607,848 167,277 -38%
ARHAUS INC
04035M102
$2,606,591 384,453 +4%
VANGUARD SCOTTSDALE FDS
92206C573
$2,603,154 33,882 +398%
ADICET BIO INC
007002207
$2,600,215 381,823 +186%
AMPLIFY ETF TR
032108664
$2,597,363 34,590 +304%
ARTIVION INC
228903100
$2,595,223 70,869 +112%
ISHARES TR
464288828
$2,595,077 62,009 +34%
ARKO CORP
041242108
$2,594,808 466,692 +218%
ESPERION THERAPEUTICS INC NE
29664W105
$2,592,067 946,010 -54%
LGI HOMES INC
50187T106
$2,591,745 65,564 -72%
CIMPRESS PLC
G2143T103
$2,591,646 35,502 +59%
BANK FIRST CORP
06211J100
$2,587,074 19,155 +73%
FIDELITY COVINGTON TRUST
31609A800
$2,584,916 75,693 Nuova
SPDR INDEX SHS FDS
78463X475
$2,584,209 34,133 +142%
REPAY HLDGS CORP
76029L100
$2,580,206 992,387 -20%
RBB FD INC
74933W460
$2,578,696 51,543 +218%
VANECK ETF TRUST
92189F452
$2,576,112 251,083 +522%
ISHARES INC
464286764
$2,568,863 47,300 -84%
DIMENSIONAL ETF TRUST
25434V880
$2,566,977 75,566 -73%
HIMALAYA SHIPPING LTD
G4660A103
$2,563,868 192,772 +508%
SMITH & NEPHEW PLC
83175M205
$2,562,009 80,617 +69%
ALARM COM HLDGS INC
011642105
$2,561,512 59,308 +13%
SSGA ACTIVE TR
78470P200
$2,559,960 54,317 Nuova
EVERQUOTE INC
30041R108
$2,558,471 165,919 +8%
PRUDENTIAL PLC
74435K204
$2,555,459 89,886 -44%
KNOWLES CORP
49926D109
$2,550,512 99,319 -47%
WISDOMTREE TR
97717X578
$2,549,157 63,570 -46%
OPKO HEALTH INC
68375N103
$2,547,954 2,235,047 -33%
CRYOPORT INC
229050307
$2,547,574 307,678 -37%
TIDAL TRUST II
88636R800
$2,544,280 65,914 +32%
FLEXSHARES TR
33939L506
$2,543,503 104,930 +12%
WISDOMTREE TR
97717X552
$2,540,161 47,294 Nuova
1ST SOURCE CORP
336901103
$2,536,892 36,655 +284%
TEMA ETF TRUST
87975E701
$2,535,865 69,106 Nuova
FRANKLIN TEMPLETON ETF TR
35473P603
$2,535,742 118,382 +1048%
UBIQUITI INC
90353W103
$2,531,299 3,203 -75%
ISHARES TR
464288240
$2,530,035 36,951 +8%
FRANKLIN TEMPLETON ETF TR
35473P744
$2,529,018 69,901 +380%
HILTON GRAND VACATIONS INC
43283X105
$2,526,487 64,583 +45%
FIDELITY COVINGTON TRUST
31609A883
$2,524,165 85,089 +144%
LIGHTBRIDGE CORP
53224K302
$2,522,124 236,597 -31%
CAPITOL SER TR
14064D444
$2,521,670 100,525 Nuova
POSCO HOLDINGS INC
693483109
$2,515,070 43,000 +701%
PIMCO ETF TR
72201R643
$2,514,575 25,419 +337%
PRINCIPAL EXCHANGE TRADED FD
74255Y607
$2,514,363 43,862 +74%
ATLANTA BRAVES HLDGS INC
047726104
$2,513,991 53,319 -24%
OCTAVE SPECIALTY GROUP INC
023139884
$2,513,832 540,609 -81%
NEOGENOMICS INC
64049M209
$2,512,746 338,645 -87%
FIRST TR EXCHNG TRADED FD VI
33740F805
$2,511,089 57,607 -54%
U S GOLD CORP
90291C201
$2,510,633 165,282 -9%
SCHWAB STRATEGIC TR
808524102
$2,510,000 100,000 +74%
SPIRE INC
84857L101
$2,506,509 27,684 -37%
TPG RE FIN TR INC
87266M107
$2,505,995 320,870 -89%
CAPITAL GROUP INTERNATIONAL
14021T102
$2,501,891 75,563 +63%
AMPLIFY ETF TR
032108409
$2,501,733 55,780 +837%
ZENAS BIOPHARMA INC
98937L105
$2,495,949 127,670 +21%
HUDSON TECHNOLOGIES INC
444144109
$2,495,766 424,450 +355%
ADT INC DEL
00090Q103
$2,495,707 379,864 +15%
AVIENT CORPORATION
05368V106
$2,494,246 68,712 -59%
FIDELITY COVINGTON TRUST
316092832
$2,492,324 42,384 +157%
ATRICURE INC
04963C209
$2,492,010 87,347 -74%
SCHWAB STRATEGIC TR
808524839
$2,491,297 107,291 Nuova
ALEXANDERS INC
014752109
$2,490,965 10,546 Nuova
ISHARES TR
46434V639
$2,490,638 56,994 +25%
SPROTT FDS TR
85208P501
$2,483,324 63,724 +124%
GLOBAL PARTNERS LP
37946R109
$2,482,174 58,959 -4%
PROFESIONALLY MANAGED PORTFO
74316P587
$2,480,202 99,988 +90%
FRANKLIN TEMPLETON ETF TR
35473P488
$2,478,404 121,312 +236%
VANECK ETF TRUST
92189F627
$2,477,798 54,517 +23%
NOUVEAU MONDE GRAPHITE INC
66979W842
$2,474,896 1,104,864 -80%
FIRST TR EXCHANGE-TRADED FD
33734X127
$2,471,206 110,027 +181%
PROSHARES TR II
74347Y698
$2,470,032 122,400 +14%
MIDDLESEX WTR CO
596680108
$2,467,951 47,415 +47%
PARSONS CORP DEL
70202LAD4
$2,466,009 2,500,000 Nuova
DESIGN THERAPEUTICS INC
25056L103
$2,463,299 231,513 -43%
GREEN PLAINS INC
393222AL8
$2,463,285 1,752,000 +33%
JANUS DETROIT STR TR
47103U209
$2,459,612 30,997 +396%
SITE CTRS CORP
82981J851
$2,456,061 454,826 -37%
SPROTT FDS TR
85208P881
$2,454,607 68,718 Nuova
DIREXION SHARES ETF TRUST
25460G708
$2,451,957 21,967 +6%
HELEN OF TROY LTD
G4388N106
$2,449,771 169,887 -80%
GRANITESHARES ETF TR
38747R520
$2,444,116 94,331 +132%
REALLOYS INC
75606V101
$2,441,269 250,130 Nuova
TENAX THERAPEUTICS INC
88032L605
$2,438,731 152,516 +54%
ISHARES TR
464287846
$2,437,912 15,386 +513%
ALPS ETF TR
00162Q346
$2,435,058 94,547 -37%
ELLINGTON FINANCIAL INC
28852N109
$2,433,469 205,356 -49%
MACROGENICS INC
556099109
$2,428,808 840,418 +34%
GOGO INC
38046C109
$2,425,166 603,275 +101%
MECHANICS BANCORP
43785V102
$2,424,340 164,362 -63%
INNOVATOR ETFS TRUST
45783Y681
$2,423,907 72,790 Nuova
PRICESMART INC
741511109
$2,423,050 16,100 +59%
AMICUS THERAPEUTIC
03152W109
$2,419,071 167,294 -97%
INVESCO EXCH TRD SLF IDX FD
46139W783
$2,417,993 116,822 +244%
INTERPARFUMS INC
458334109
$2,414,891 26,584 -65%
METALLA RTY & STREAMING LTD
59124U605
$2,410,813 363,622 +56%
COMPASS DIVERSIFIED
20451Q104
$2,410,662 306,700 +88%
PACIFIC BIOSCIENCES CALIF IN
69404D108
$2,409,595 1,825,451 -65%
MOVADO GROUP INC
624580106
$2,401,536 98,343 +37%
AKEBIA THREAPEUTICS INC
00972D105
$2,399,651 1,726,367 -70%
POWERFLEET INC
73931J109
$2,395,270 777,685 -69%
DIMENSIONAL ETF TRUST
25434V781
$2,391,247 60,630 Nuova
TRILOGY METALS INC NEW
89621C105
$2,390,908 665,991 -32%
ETF OPPORTUNITIES TRUST
26923N231
$2,387,477 216,453 -37%
THEMES ETF TR
88340C677
$2,383,747 326,094 +1356%
CASS INFORMATION SYS INC
14808P109
$2,383,594 54,148 -15%
FIRST INTERNET BANCORP
320557101
$2,381,159 116,838 -10%
TIDAL TRUST II
88636X880
$2,375,658 79,215 -24%
EXCHANGE TRADED CONCEPTS TRU
301505707
$2,370,415 34,640 +362%
VANGUARD INTL EQUITY INDEX F
922042775
$2,368,429 31,537 +51%
CLIMB BIO INC
28658R106
$2,367,791 345,663 +148%
CIA ENERGETICA DE MINAS GERA
204409601
$2,367,142 990,436 +356%
ARCBEST CORP
03937C105
$2,361,328 24,007 -42%
ETF OPPORTUNITIES TRUST
26923N413
$2,361,216 189,200 -11%
ISHARES INC
464286475
$2,345,755 33,908 -67%
FIDELITY COVINGTON TRUST
316092402
$2,344,897 68,927 -7%
CRITEO S A
226718104
$2,343,971 130,729 -24%
DOLBY LABORATORIES INC
25659T107
$2,343,241 39,015 -72%
RUMBLE INC
78137L105
$2,335,290 457,900 -60%
ISHARES TR
464288786
$2,334,108 18,194 +645%
EXCELERATE ENERGY INC
30069T101
$2,327,870 69,655 -10%
SPDR INDEX SHS FDS
78463X152
$2,327,220 27,705 +48%
UNIVEST FINANCIAL CORPORATIO
915271100
$2,327,110 67,925 +439%
FREIGHTCAR AMER INC
357023100
$2,323,311 291,507 -31%
CARIS LIFE SCIENCES INC
142152107
$2,322,790 129,910 -97%
ISHARES TR
464287838
$2,322,144 13,200 Nuova
FRESENIUS MEDICAL CARE AG
358029106
$2,320,928 102,878 +146%
THORNBURG ETF TR
88521L306
$2,320,223 72,079 -4%
WESBANCO INC
950810101
$2,318,694 67,228 -32%
ISHARES TR
464288356
$2,317,670 40,761 +96%
FIDELIS INSURANCE HOLDINGS L
G3398L118
$2,317,164 121,254 -54%
VANECK ETF TRUST
92189F726
$2,315,327 12,314 Nuova
AB ACTIVE ETFS INC
00039J830
$2,314,270 65,154 +449%
ARCUTIS BIOTHERAPEUTICS INC
03969K108
$2,313,733 98,206 -74%
PARK AEROSPACE CORP
70014A104
$2,313,555 84,498 +144%
CAPITAL GROUP INTERNATIONAL
14021M107
$2,312,781 68,385 -39%
CENTERRA GOLD INC
152006102
$2,312,700 130,000 -75%
WEIBO CORP
948596101
$2,312,214 264,253 -15%
ISHARES TR
46436E130
$2,312,127 89,444 Nuova
MORGAN STANLEY ETF TRUST
61774R700
$2,311,276 45,537 +27%
IQIYI INC
46267X108
$2,307,983 1,709,617 -18%
ISHARES TR
464288745
$2,304,708 12,361 -35%
ISHARES TR
464287762
$2,301,391 37,336 -1%
SIMPLIFY EXCHANGE TRADED FUN
82889N830
$2,297,038 107,640 -17%
FIDELITY COVINGTON TRUST
316092386
$2,295,575 46,696 +54%
SINCLAIR INC
829242106
$2,294,598 177,326 Invariata
MISTRAS GROUP INC
60649T107
$2,292,880 155,134 -31%
TIDAL TRUST II
88636V678
$2,291,740 378,800 +41%
ISHARES TR
46435G847
$2,291,230 56,034 +17%
ATS CORPORATION
00217Y104
$2,290,940 81,239 -44%
INVESCO EXCH TRADED FD TR II
46138G615
$2,288,719 38,337 +209%
RBB FD INC
74933W528
$2,284,566 47,494 +428%
GRANITESHARES ETF TR
38747R744
$2,283,331 93,300 -21%
INVESCO ACTIVELY MANAGED EXC
46090A739
$2,281,559 91,457 -2%
MVB FINL CORP
553810102
$2,280,263 91,835 +18%
PIMCO ETF TR
72201R205
$2,278,754 42,116 +14%
MORGAN STANLEY DIRECT LENDIN
61774A103
$2,277,881 163,172 -59%
ISHARES TR
464287531
$2,268,630 23,199 -12%
UNICYCIVE THERAPEUTICS INC
90466Y202
$2,268,396 344,741 +46%
CTS CORP
126501105
$2,267,310 47,473 -48%
SERITAGE GROWTH PPTYS
81752R100
$2,265,762 806,321 Invariata
TAYSHA GENE THERAPIES INC
877619106
$2,265,552 506,835 -79%
SIMULATIONS PLUS INC
829214105
$2,262,360 191,401 -59%
AH RLTY TR INC
04208T108
$2,256,326 410,241 +552%
FRANKLIN TEMPLETON ETF TR
35473P405
$2,255,237 39,656 -30%
ISHARES INC
464286251
$2,252,499 49,746 +310%
GSI TECHNOLOGY INC
36241U106
$2,247,681 437,292 +2%
ISHARES INC
46434G814
$2,247,231 79,100 +353%
RUSSELL INVTS EXCHANGE TRADE
78249U407
$2,246,249 72,924 Nuova
ASCENT INDUSTRIES CO
871565107
$2,245,064 168,675 +54%
PIMCO EQUITY SER
72202L363
$2,244,832 38,437 +34%
ISHARES TR
46436E726
$2,241,755 102,410 Nuova
VANGUARD INDEX FDS
922908512
$2,240,845 12,160 +139%
SPDR SERIES TRUST
78464A656
$2,236,314 85,979 +170%
FIRST TR EXCH TRD ALPHDX FD
33737J182
$2,234,067 74,584 Nuova
VANECK ETF TRUST
92189H748
$2,234,006 42,391 Nuova
ESSENTIAL UTILS INC
29670G102
$2,231,481 55,413 -96%
GENCO SHIPPING & TRADING LTD
Y2685T131
$2,228,369 98,819 -69%
INGEVITY CORP
45688C107
$2,223,729 31,219 -34%
FIRST TR EXCH TRD ALPHDX FD
33737J232
$2,222,093 28,014 Nuova
SANA BIOTECHNOLOGY INC
799566104
$2,216,995 769,790 +79%
VANGUARD WORLD FD
92204A603
$2,215,825 7,097 -34%
FIRST TR EXCH TRD ALPHDX FD
33737J117
$2,210,995 40,487 +963%
SPDR SERIES TRUST
78464A722
$2,210,875 40,874 -48%
JOYY INC
46591M109
$2,210,120 37,851 -89%
MARINEMAX INC
567908108
$2,209,882 81,666 -68%
MYRIAD GENETICS INC
62855J104
$2,208,790 490,842 +24%
HORIZON QUANTUM HOLDINGS LTD
Y4000A102
$2,208,294 251,228 Nuova
FIDELITY COVINGTON TRUST
31609A867
$2,202,694 62,311 Nuova
INVESCO EXCHANGE TRADED FD T
46137V613
$2,201,780 46,324 Nuova
NATURAL GROCERS BY VITAMIN
63888U108
$2,201,567 85,167 -6%
LIMONEIRA CO
532746104
$2,200,464 163,969 +114%
ICAHN ENTERPRISES LP
451100101
$2,200,070 291,400 -59%
ARROW INVTS TR
042765719
$2,199,874 21,985 -9%
EVGO INC
30052F100
$2,199,775 1,278,939 -27%
SPDR SERIES TRUST
78468R549
$2,198,637 18,900 +67%
WEST FRASER TIMBER LTD
952845105
$2,196,813 33,647 -4%
NORTHERN LTS FD TR IV
66538H591
$2,191,855 36,295 -6%
AMPLIFY ETF TR
032108607
$2,191,640 44,000 Invariata
WISDOMTREE TR
97717W307
$2,185,994 24,471 -47%
INVIVYD INC
00534A102
$2,184,488 1,680,375 +67%
BITCOIN INFRASTRUCTURE ACQUI
G1143H127
$2,181,680 218,168 -48%
AMERICAN BITCOIN CORP.
02462A104
$2,179,717 2,357,980 -3%
SPROTT ETF TRUST
85210B201
$2,177,824 25,300 +241%
ACNB CORP
000868109
$2,177,032 45,478 +125%
INVESTMENT MANAGERS SER TR I
46144X115
$2,169,694 73,271 +982%
SCHWAB STRATEGIC TR
808524870
$2,167,677 81,461 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X762
$2,165,404 48,804 -8%
EDITAS MEDICINE INC
28106W103
$2,163,199 875,789 +12%
NOVOCURE LTD
G6674U108
$2,160,772 198,236 -82%
DIREXION SHARES ETF TRUST
25460G419
$2,160,710 86,463 -30%
GLADSTONE COMMERCIAL CORP
376536108
$2,156,944 188,709 +2%
SALLY BEAUTY HLDGS INC
79546E104
$2,155,808 155,654 +357%
DAVE & BUSTERS ENTMT INC
238337109
$2,151,921 198,700 -86%
CRONOS GROUP INC
22717L101
$2,147,699 855,657 -68%
COMMUNITY HEALTH SYS INC NEW
203668108
$2,145,724 729,838 -49%
PIMCO ETF TR
72201R635
$2,142,142 47,424 Nuova
BROOKFIELD BUSINESS CORP
113006100
$2,135,257 67,486 Nuova
HAWKINS INC
420261109
$2,135,194 13,901 +326%
FIRST TR EXCHANGE-TRADED FD
33735T109
$2,124,306 119,276 Nuova
SCHWAB STRATEGIC TR
808524763
$2,123,484 65,479 Nuova
ISHARES TR
46435G524
$2,115,779 25,257 +153%
BLACKROCK ETF TRUST II
092528876
$2,114,103 42,122 +31%
ISHARES TR
464287481
$2,113,980 16,500 -38%
CYTEK BIOSCIENCES INC
23285D109
$2,110,238 482,892 +151%
MANITOWOC CO INC
563571405
$2,109,128 181,041 +224%
INDIE SEMICONDUCTOR INC
45569U101
$2,108,456 654,800 -38%
AERSALE CORPORATION
00810F106
$2,107,398 338,810 -23%
FRANKLIN TEMPLETON ETF TR
35473P637
$2,104,200 52,500 +20%
YEXT INC
98585N106
$2,099,251 546,680 -39%
ENTERPRISE FINL SVCS CORP
293712105
$2,098,278 38,778 -20%
INVESCO EXCH TRADED FD TR II
46138E644
$2,097,631 37,283 Nuova
VERITONE INC
92347M100
$2,095,054 1,063,479 -75%
INNOVATOR ETFS TRUST
45782C102
$2,095,007 62,706 +186%
RBB FD INC
74933W486
$2,085,892 43,202 +336%
UTZ BRANDS INC
918090101
$2,082,501 262,942 -76%
PRIME MEDICINE INC
74168J101
$2,081,242 598,058 +18%
PROSHARES TR
74349Y571
$2,080,722 138,900 -58%
RBB FD INC
74933W411
$2,078,989 41,212 +760%
NORTHERN FDS
665162145
$2,076,438 20,580 +7%
LEGALZOOM COM INC
52466B103
$2,076,354 366,200 -27%
CENTURY COMMUNITIES INC
156504300
$2,076,008 36,180 -46%
FIRST TR EXCHANGE-TRADED FD
33733E823
$2,073,275 60,897 +139%
INVESTMENT MANAGERS SER TR I
46092D129
$2,071,742 76,167 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X150
$2,065,810 25,307 +8%
MICROVAST HOLDINGS INC
59516C106
$2,063,826 1,375,884 -74%
ISHARES TR
464288323
$2,054,310 38,673 +636%
IBEX LTD
G4690M101
$2,052,481 76,528 -24%
ROUNDHILL ETF TRUST
77926X585
$2,052,019 61,752 -62%
WISDOMTREE TR
97717W570
$2,049,538 30,490 Nuova
GRANITESHARES ETF TR
38747R645
$2,048,787 108,100 +23%
ARQIT QUANTUM INC
G0567U127
$2,047,125 154,500 +7%
TPG MTG INVTS TR INC
001228501
$2,045,937 279,882 +779%
HARBOR ETF TRUST
41151J885
$2,045,318 70,650 Nuova
ALLSPRING EXCHANGE TRADED FU
01989A308
$2,039,556 81,877 +107%
SAFE BULKERS INC
Y7388L103
$2,039,520 322,199 +28%
BLACKROCK ETF TRUST
09290C608
$2,038,258 36,868 -17%
BONDBLOXX ETF TRUST
09789C788
$2,034,490 40,423 Nuova
AGILYSYS INC
00847J105
$2,033,608 28,586 -78%
FLEXSHARES TR
33939L696
$2,033,468 13,401 +271%
TIDAL TRUST II
88636W239
$2,030,180 237,726 Nuova
ALPHA & OMEGA SEMICONDUCTOR
G6331P104
$2,026,177 91,434 -22%
PETROLEO BRASILEIRO S A
71654V101
$2,025,000 108,000 -62%
RAMACO RES INC
75134PAB1
$2,023,038 2,625,000 -87%
HANCOCK WHITNEY CORPORATION
410120109
$2,022,798 31,810 -91%
SAFE PRO GROUP INC
78642D101
$2,021,243 530,510 +8%
IMPERIAL PETE INC
Y3894J187
$2,020,759 472,140 +100%
ISHARES TR
464288505
$2,018,571 31,012 -8%
TWO RDS SHARED TR
90214Q675
$2,016,676 89,990 +16%
SCHWAB STRATEGIC TR
808524805
$2,016,581 81,478 -94%
ARDAGH METAL PACKAGING S A
L02235106
$2,015,227 497,587 -19%
TWFG INC
87318A101
$2,013,742 109,502 Nuova
RELAY THERAPEUTICS INC
75943R102
$2,013,532 202,365 +58%
TRUPANION INC
898202106
$2,013,458 78,620 -86%
PGIM ETF TR
69344A701
$2,012,350 47,539 +48%
ORIGIN BANCORP INC
68621T102
$2,010,354 48,489 -30%
GRUPO AEROPORTUARIO DEL CENT
400501102
$2,009,725 17,517 +6%
PENNANT GROUP INC
70805E109
$2,008,723 65,903 -45%
COMMUNITY TR BANCORP INC
204149108
$2,007,586 33,063 +257%
QDRO ACQUISITION CORP
G7310E128
$2,006,697 202,288 Nuova
TEUCRIUM COMMODITY TR
88166A706
$2,005,317 79,074 Nuova
GLOBAL X FDS
37960A735
$2,004,656 35,900 -60%
SCHWAB STRATEGIC TR
808524862
$1,998,635 82,350 +247%
WEDBUSH SER TR
947913109
$1,996,652 70,379 -64%
PACER FDS TR
69374H659
$1,994,528 43,601 Nuova
GRANITESHARES ETF TR
38747R652
$1,993,565 39,500 +4%
INVESCO EXCH TRADED FD TR II
46138E263
$1,992,243 31,158 Nuova
AURORA CANNABIS INC
05156X850
$1,991,469 609,012 -69%
BUTTERFLY NETWORK INC
124155102
$1,990,944 492,808 -38%
VAALCO ENERGY INC
91851C201
$1,990,760 314,000 +417%
CALEDONIA MNG CORP
G1757E113
$1,974,773 87,418 -16%
T ROWE PRICE ETF INC
87283Q834
$1,967,744 56,970 +319%
ISHARES TR
464289438
$1,965,836 7,900 +69%
ARTERIS INC
04302A104
$1,964,120 119,472 -56%
WISDOMTREE TR
97717Y311
$1,962,728 61,871 -7%
INVESCO ACTIVELY MANAGED EXC
46090A879
$1,961,192 78,338 Nuova
VANGUARD WORLD FD
921910691
$1,961,113 31,213 Nuova
ISHARES U S ETF TR
46431W705
$1,960,840 21,235 +93%
BANK OF N T BUTTERFIELD & SO
G0772R208
$1,960,443 37,356 -74%
JANUS DETROIT STR TR
47103U746
$1,960,034 38,022 +179%
DBX ETF TR
233051481
$1,958,223 32,697 +123%
GRANITESHARES ETF TR
38747R736
$1,957,715 128,459 +159%
NEW YORK LIFE INVESTMENTS ET
45409B800
$1,956,502 53,824 +114%
WISDOMTREE TR
97717W323
$1,953,848 58,988 Nuova
FIDELITY MERRIMACK STR TR
316188606
$1,951,218 45,335 Nuova
ARRAY DIGITAL INFRASTRUCTURE
911684108
$1,942,494 42,100 +35%
PEAKSTONE REALTY TRUST
39818P799
$1,939,783 92,857 +38%
WISDOMTREE TR
97717Y808
$1,939,456 40,762 -36%
TRUST FOR PROFESSIONAL MANAG
89834G737
$1,939,067 55,009 +118%
PROSHARES TR
74350P642
$1,929,377 48,550 +113%
T ROWE PRICE ETF INC
87283Q750
$1,928,360 66,660 +135%
JADE BIOSCIENCES INC
008064206
$1,927,969 137,222 +247%
HIPPO HLDGS INC
433539202
$1,925,078 73,871 +62%
PROSHARES TR
74349Y829
$1,923,834 84,900 -83%
LISTED FDS TR
53656F268
$1,922,987 62,732 -18%
MORGAN STANLEY ETF TRUST
61774R817
$1,922,835 38,720 Nuova
INTEST CORP
461147100
$1,918,412 140,543 +161%
THERAVANCE BIOPHARMA INC
G8807B106
$1,918,240 118,191 -56%
PACER FDS TR
69374H816
$1,915,260 36,967 +195%
DBX ETF TR
233051507
$1,914,045 18,947 Nuova
MALIBU BOATS INC
56117J100
$1,912,481 73,784 -22%
EA SERIES TRUST
02072L607
$1,911,930 34,985 Nuova
TIDAL TRUST II
88636W833
$1,911,919 61,865 Nuova
DOMO INC
257554105
$1,911,496 624,672 -59%
RCI HOSPITALITY HLDGS INC
74934Q108
$1,910,566 83,760 -46%
KOPIN CORP
500600101
$1,909,852 848,823 +179%
VICTORY PORTFOLIOS II
92647N873
$1,908,711 30,909 +184%
TOWNEBANK PORTSMOUTH VA
89214P109
$1,907,136 56,642 -67%
ATAIBECKLEY INC
04650F101
$1,906,956 538,688 Nuova
BICYCLE THERAPEUTICS PLC
088786108
$1,905,578 410,685 -14%
ISHARES TR
464289479
$1,905,567 38,905 Nuova
GRANITESHARES ETF TR
38747R512
$1,905,380 18,800 +76%
ATEGRITY SPECIALTY IN CO HO
04681Y103
$1,901,558 96,184 +468%
EXCHANGE LISTED FDS TR
30151E491
$1,900,758 36,047 +815%
ISHARES U S ETF TR
46431W838
$1,895,754 37,659 +53%
ISHARES U S ETF TR
46431W606
$1,890,183 22,079 +213%
VANECK ETF TRUST
92189F684
$1,889,216 7,530 +22%
HELLO GROUP INC
423403104
$1,885,432 327,332 +202%
ISHARES TR
46435G243
$1,884,086 75,168 +512%
RED VIOLET INC
75704L104
$1,882,863 54,418 -23%
VANGUARD INDEX FDS
922908637
$1,882,755 6,300 +22%
J P MORGAN EXCHANGE TRADED F
46654Q641
$1,880,304 37,477 -8%
LIBERTY LATIN AMERICA LTD
G9001E102
$1,876,789 217,221 +39%
ISHARES TR
464289511
$1,876,014 37,800 +49%
PROCEPT BIOROBOTICS CORP
74276L105
$1,875,750 75,000 -63%
GORMAN RUPP CO
383082104
$1,873,717 30,158 Nuova
WISDOMTREE TR
97717W521
$1,872,321 34,443 +34%
FG NEXUS INC.
30329Y403
$1,870,886 374,927 Nuova
ISHARES TR
464289529
$1,867,388 44,209 -72%
PACER FDS TR
69374H436
$1,866,254 46,495 Nuova
VANECK ETF TRUST
92189H664
$1,865,189 50,117 Nuova
STITCH FIX INC
860897107
$1,864,553 563,309 Invariata
FIDELITY COVINGTON TRUST
316092139
$1,864,546 50,503 -10%
GLOBAL X FDS
37960A370
$1,863,704 57,951 +324%
UNITED STS LIME & MINERALS I
911922102
$1,862,629 14,261 -64%
SPDR INDEX SHS FDS
78463X418
$1,858,941 12,987 -68%
PUTNAM ETF TRUST
746729854
$1,857,346 36,801 Nuova
ISHARES TR
46436E833
$1,854,458 83,223 Nuova
GEOPARK LTD
G38327105
$1,854,362 195,196 +87%
INHIBIKASE THERAPEUTICS INC
45719W205
$1,852,343 1,102,585 -27%
AEMETIS INC
00770K202
$1,851,843 580,515 +99%
WISDOMTREE TR
97717W505
$1,843,366 35,085 -29%
CUSTOM TRUCK ONE SOURCE INC
23204X103
$1,841,972 280,361 +401%
MISSION PRODUCE INC
60510V108
$1,841,487 133,829 +49%
FLEXSHARES TR
33939L837
$1,839,014 58,068 Nuova
TIDAL TRUST III
45259A886
$1,837,951 61,158 +261%
APARTMENT INVT & MGMT CO
03748R747
$1,833,340 450,452 -69%
ALT5 SIGMA CORP
47089W104
$1,831,776 1,650,249 -12%
TIDAL TRUST II
88636V744
$1,830,920 74,929 Nuova
TYRA BIOSCIENCES INC
90240B106
$1,830,587 47,796 +457%
SPDR SERIES TRUST
78464A359
$1,828,844 19,983 +93%
BENITEC BIOPHARMA INC
08205P209
$1,828,839 171,722 +672%
FIRST TR EXCHANGE-TRADED FD
33739Q309
$1,828,655 41,241 +14%
LIGHTWAVE ACQUISITION CORP
G5490M118
$1,828,111 179,051 -46%
REDWOOD TRUST INC
758075402
$1,821,993 324,776 -18%
CAPITAL CITY BANK
139674105
$1,818,496 41,843 Nuova
SHARONAI HOLDINGS INC
778920306
$1,818,400 80,000 Nuova
VOLATILITY SHS TR
92864M822
$1,817,225 217,387 -67%
IBIO INC
451033708
$1,817,215 956,429 Nuova
J P MORGAN EXCHANGE TRADED F
46654Q724
$1,814,852 28,397 Nuova
EVOLUTION PETE CORP
30049A107
$1,814,618 396,205 +54%
METROCITY BANKSHARES INC
59165J105
$1,814,409 63,286 +164%
ALTA EQUIPMENT GROUP INC
02128L106
$1,814,389 337,875 +147%
HOVNANIAN ENTERPRISES INC
442487401
$1,813,046 16,347 Nuova
EVOLENT HEALTH INC
30050B101
$1,812,194 794,822 -77%
NU SKIN ENTERPRISES INC
67018T105
$1,807,515 248,285 +916%
GOLDMAN SACHS ETF TR
381430545
$1,807,030 12,400 -5%
PRINCIPAL EXCHANGE TRADED FD
74255Y870
$1,804,212 28,054 +24%
CONCRETE PUMPING HLDGS INC
206704108
$1,803,079 252,532 +194%
FEDERATED HERMES INC
314211103
$1,802,357 31,782 +507%
A2Z CUST2MATE SOLUTIONS CORP
002205102
$1,800,740 269,976 -9%
T ROWE PRICE ETF INC
87283Q883
$1,800,521 35,753 -10%
PEOPLES BANCORP INC
709789101
$1,799,172 54,736 -21%
ABSCI CORPORATION
00091E109
$1,798,269 599,423 -77%
SCHWAB STRATEGIC TR
808524615
$1,794,044 70,217 +18%
SPDR SERIES TRUST
78464A862
$1,793,660 5,500 -79%
T ROWE PRICE ETF INC
87283Q701
$1,793,239 36,045 Nuova
GRANITESHARES GOLD TR
38748G101
$1,788,875 38,779 Nuova
VANECK MERK GOLD ETF
921078101
$1,786,863 39,664 +265%
JOHN HANCOCK EXCHANGE TRADED
47804J818
$1,786,684 84,397 Nuova
OPPENHEIMER HLDGS INC
683797104
$1,784,960 20,013 -5%
AVEANNA HEALTHCARE HLDGS INC
05356F105
$1,783,558 276,950 -86%
FIDUS INVT CORP
316500107
$1,782,624 102,332 +296%
NORTHEAST CMNTY BANCORP INC
664121100
$1,779,503 74,769 +56%
ETF OPPORTUNITIES TRUST
26923N595
$1,778,504 31,742 -28%
PROSHARES TR
74350P550
$1,776,296 28,240 +41%
FIRST TR EXCHANGE-TRADED FD
337344105
$1,773,185 13,965 +680%
CALAMOS ETF TR
12811T209
$1,772,417 54,207 -15%
INVESCO DB MULTI-SECTOR COMM
46140H403
$1,768,510 89,909 +262%
INTL GNRL INSURANCE HLDNGS L
G4809J106
$1,767,893 72,978 +136%
AMERICAN CENTY ETF TR
025072224
$1,764,265 35,025 +2%
INVESCO EXCHANGE TRADED FD T
46137V696
$1,761,131 34,515 Nuova
INVESCO EXCH TRADED FD TR II
46138G474
$1,759,083 28,851 Nuova
VELO3D INC
92259N302
$1,757,573 187,175 Nuova
NEOS ETF TRUST
78433H501
$1,753,998 35,235 +399%
FRANKLIN TEMPLETON ETF TR
35473P801
$1,753,838 25,929 -18%
CENTRAL GARDEN & PET CO
153527106
$1,752,643 47,665 -37%
ISHARES INC
464286178
$1,750,719 38,810 Nuova
FIRST TR EXCHANGE-TRADED FD
33718M105
$1,749,899 21,318 +137%
EUROPEAN WAX CTR INC
29882P106
$1,749,381 302,661 +88%
FINANCE OF AMERICA COMPAN
31738L206
$1,746,170 105,191 -68%
GLOBAL X FDS
37954Y293
$1,744,984 23,600 +24%
1RT ACQUISITION CORP.
G6757R121
$1,744,526 169,701 -5%
NOMURA HLDGS INC
65535H208
$1,741,568 220,731 -48%
ALLIENT INC
019330109
$1,738,664 29,424 +48%
BYLINE BANCORP INC
124411109
$1,737,044 55,022 -6%
COMPANIA CERVECERIAS UNIDAS
204429104
$1,736,732 153,016 +19%
INVESTMENT MANAGERS SER TR I
46152A494
$1,736,341 100,135 Nuova
XPERI INC
98423J101
$1,734,880 309,800 +38%
INVESTMENT MANAGERS SER TR I
46143U518
$1,732,124 33,400 +98%
PATRIA INVESTMENTS LIMITED
G69451105
$1,732,097 137,468 +30%
VTEX
G9470A102
$1,730,744 432,686 +176%
SPDR SERIES TRUST
78468R812
$1,729,101 10,074 Nuova
RADWARE LTD
M81873107
$1,728,698 65,680 -7%
CARRIAGE SVCS INC
143905107
$1,725,628 37,793 +106%
GOLDMAN SACHS ETF TR
381430206
$1,723,982 39,907 Nuova
BOSTON OMAHA CORP
101044105
$1,723,816 147,587 -38%
ISHARES INC
46434G855
$1,721,764 21,800 +78%
ISHARES TR
46429B523
$1,718,928 16,420 +579%
ISHARES INC
464286517
$1,717,802 42,103 +64%
TIDAL TRUST II
88636Y607
$1,714,995 74,371 Nuova
ISHARES INC
46434G889
$1,713,795 28,360 +82%
PROSHARES TR
74347G168
$1,712,641 55,300 +736%
PACER FDS TR
69374H428
$1,710,645 36,939 Nuova
GLOBAL X FDS
37960A669
$1,706,843 67,571 +726%
INNOVATOR ETFS TRUST
45782C656
$1,705,391 39,605 +64%
DYNAMIX CORP
G2949D104
$1,703,469 162,700 -30%
ISHARES TR
46435G193
$1,703,120 73,608 Nuova
TEMA ETF TRUST
87975E107
$1,702,505 50,473 Nuova
TEXAS CAPITAL FUNDS TRUST
88224A508
$1,699,685 16,957 Nuova
NEW FORTRESS ENERGY INC
644393100
$1,699,613 2,880,700 -10%
J P MORGAN EXCHANGE TRADED F
46641Q738
$1,699,072 17,756 Nuova
J P MORGAN EXCHANGE TRADED F
46641Q241
$1,697,949 36,784 -43%
DORCHESTER MINERALS L P
25820R105
$1,696,921 62,617 -56%
ETFIS SER TR I
26923G822
$1,695,988 83,300 -16%
ROUNDHILL ETF TRUST
77926X668
$1,694,623 38,150 +270%
INVESCO EXCHANGE TRADED FD T
46137V134
$1,693,888 53,638 +160%
INVESCO ACTIVELY MANAGED EXC
46090A853
$1,689,063 76,556 Nuova
JOHN HANCOCK EXCHANGE TRADED
47804J719
$1,688,884 66,635 Nuova
ISHARES TR
46438G372
$1,686,471 65,775 Nuova
QCR HLDGS INC
74727A104
$1,685,331 19,723 -74%
WORTHINGTON STL INC
982104101
$1,684,000 55,486 +214%
STATE STR INSTL INVT TR
85749T285
$1,682,481 16,777 Nuova
SIXTH STREET SPECIALTY LENDI
83012A109
$1,681,641 91,493 +72%
STRATA CRITICAL MEDICAL INC
092667104
$1,680,531 402,041 +30%
SHINHAN FINANCIAL GROUP CO L
824596100
$1,678,083 27,366 -41%
DELCATH SYS INC
24661P807
$1,677,490 180,764 -67%
WEST BANCORPORATION INC
95123P106
$1,674,103 70,370 +51%
AMPHASTAR PHARMACEUTICALS IN
03209R103
$1,673,770 85,440 -74%
SPDR SERIES TRUST
78468R101
$1,673,356 57,346 Nuova
MILLERKNOLL INC
600544100
$1,673,297 115,719 -80%
PACER FDS TR
69374H634
$1,670,260 35,545 +259%
FIRST BK WILLIAMSTOWN NEW JE
31931U102
$1,669,536 104,346 +76%
EXZEO GROUP INC
30234F101
$1,668,683 113,748 -84%
PEAPACK-GLADSTONE FINL CORP
704699107
$1,668,672 47,392 -55%
CAPITAL SOUTHWEST CORP
140501107
$1,667,848 75,400 -17%
AMERICAN EXCEPTIONALISM ACQU
G0273J101
$1,667,279 153,950 +83%
EUPRAXIA PHARMACEUTICALS INC
29842P105
$1,666,475 230,176 Nuova
KRISPY KREME INC
50101L106
$1,665,443 491,281 -80%
BLACKROCK ETF TRUST II
092528207
$1,664,949 69,634 Nuova
PUBLIC POL HLDG CO INC
744430208
$1,663,004 127,141 Nuova
PLDT INC
69344D408
$1,660,435 78,918 +119%
FIRST TR EXCHANGE-TRADED FD
33734X101
$1,660,103 25,931 +25%
PETCO HEALTH & WELLNESS CO I
71601V105
$1,659,459 596,928 -37%
FIRST TR EXCHANGE TRADED FD
33738R795
$1,657,823 43,501 +88%
FIDELITY COVINGTON TRUST
316092527
$1,653,388 36,972 -48%
FIDELITY COVINGTON TRUST
316092717
$1,652,640 47,476 Nuova
NORTHERN FDS
665162129
$1,651,436 16,419 -14%
SCHWAB STRATEGIC TR
808524623
$1,650,323 65,489 +14%
SAFETY INS GROUP INC
78648T100
$1,645,369 22,651 +391%
INVESCO EXCH TRD SLF IDX FD
46138J585
$1,644,320 73,522 +14%
BARON ETF TR
06829D503
$1,642,793 70,420 Nuova
NEW AMER ACQUISITION I CORP
023634207
$1,642,677 158,254 +5%
SPDR SERIES TRUST
78464A664
$1,641,120 62,400 Nuova
NORTH AMERN CONSTR GROUP LTD
656811106
$1,641,069 121,741 +9%
J P MORGAN EXCHANGE TRADED F
46654Q732
$1,640,035 20,619 Nuova
FUTUREFUEL CORP
36116M106
$1,639,130 425,748 +45%
SHENANDOAH TELECOMMUNICATION
82312B106
$1,638,930 106,286 +120%
FRANKLIN TEMPLETON ETF TR
35473P660
$1,637,980 53,599 -22%
ISHARES INC
464286285
$1,637,539 41,583 Nuova
GBANK FINL HLDGS INC
36166F100
$1,636,856 61,168 Nuova
RING ENERGY INC
76680V108
$1,633,555 1,067,683 +434%
HEALTHSTREAM INC
42222N103
$1,631,223 78,765 +174%
ABACUS GLOBAL MGMT INC
00258Y104
$1,630,104 206,866 -82%
FIRST TR EXCHANGE-TRADED FD
33736N101
$1,629,266 41,805 +31%
GRANITESHARES ETF TR
38747R868
$1,626,412 65,900 -44%
AMPLIFY COMMODITY TRUST
03210A107
$1,626,107 163,100 +610%
INVESCO INDIA EXCHANGE-TRADE
46137R109
$1,626,079 79,205 +46%
DOCGO INC
256086109
$1,625,280 2,583,500 -32%
VUZIX CORP
92921W300
$1,624,665 703,318 -56%
NORTHPOINTE BANCSHARES INC.
66661N886
$1,623,545 94,064 +86%
ISHARES INC
464286533
$1,623,234 25,077 -41%
WHITEFIBER INC
G96115103
$1,620,951 136,100 -73%
ADURO CLEAN TECHNOLOGIES INC
007408206
$1,620,705 154,500 +124%
SHARPS TECHNOLOGY INC
82003F309
$1,619,784 964,157 Nuova
TECTONIC THERAPEUTIC INC
878972108
$1,619,684 52,400 -80%
GRANITESHARES ETF TR
38747R496
$1,615,684 109,100 -54%
ATLANTICUS HOLDINGS CORP
04914Y102
$1,615,604 30,791 +58%
NEW YORK LIFE INVTS ACTIVE E
45409F769
$1,614,558 33,834 +216%
INVESCO EXCH TRADED FD TR II
46138E354
$1,614,346 22,072 -60%
FIRST CMNTY CORP S C
319835104
$1,610,076 55,083 +174%
COSAN S A
22113B103
$1,607,451 390,158 Nuova
SPDR INDEX SHS FDS
78463X194
$1,607,326 39,545 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U380
$1,604,915 68,077 Nuova
BANCO SANTANDER BRASIL S A
05967A107
$1,596,090 269,155 Nuova
DREAM FINDERS HOMES INC
26154D100
$1,592,838 114,428 +94%
HARTFORD FDS EXCHANGE TRADED
41653L842
$1,591,580 40,626 +63%
DIREXION SHARES ETF TRUST
25459Y801
$1,591,346 43,875 -27%
VANGUARD MALVERN FDS
922020722
$1,590,563 31,185 +276%
GREAT SOUTHN BANCORP INC
390905107
$1,589,865 25,184 +645%
ISHARES INC
464286301
$1,589,491 65,381 Nuova
PRECIDIAN ETFS TR
74016W403
$1,587,679 23,319 +80%
MBIA INC
55262C100
$1,587,468 268,607 -18%
CAPITAL GRP FIXED INCM ETF T
14020Y201
$1,581,922 58,266 Nuova
STEPAN CO
858586100
$1,581,367 31,640 -65%
GRANITESHARES ETF TR
38747R595
$1,576,826 151,037 +885%
CLEARWATER PAPER CORP
18538R103
$1,574,049 109,461 -38%
INVESCO EXCH TRD SLF IDX FD
46139W825
$1,573,370 74,391 +249%
CALIFORNIA WTR SVC GROUP
130788102
$1,573,207 34,698 -79%
SPDR INDEX SHS FDS
78470E205
$1,572,412 35,578 Nuova
YORK WTR CO
987184108
$1,569,363 51,539 +508%
INFUSYSTEM HLDGS INC
45685K102
$1,568,676 169,954 +21%
PROG HOLDINGS INC
74319R101
$1,567,650 54,641 -60%
SIMILARWEB LTD
M84137104
$1,566,274 600,105 -57%
FRANKLIN TEMPLETON ETF TR
35473P538
$1,561,948 48,516 +80%
PEDIATRIX MEDICAL GROUP INC
58502B106
$1,561,470 73,000 -6%
INVESTMENT MANAGERS SER TR I
46092D632
$1,561,400 74,000 +41%
SCHWAB STRATEGIC TR
808524854
$1,555,605 62,449 Nuova
ENNIS INC
293389102
$1,554,856 72,589 Nuova
VOYAGER THERAPEUTICS INC
92915B106
$1,554,669 402,764 -32%
TRICO BANCSHARES
896095106
$1,552,895 32,665 -44%
BLACK STONE MINERALS L P
09225M101
$1,552,824 102,700 -60%
FIRST BANCORP CORPORATION
318672706
$1,549,647 72,549 -80%
FRANKLIN TEMPLETON ETF TR
35473P595
$1,548,452 67,324 -70%
RISKIFIED LTD
M8216R109
$1,544,805 394,083 -6%
VICTORY PORTFOLIOS II
92647N550
$1,544,306 22,616 +2%
VANGUARD BD INDEX FDS
921937835
$1,539,076 20,900 +28%
HIGHPEAK ENERGY INC
43114Q105
$1,538,721 223,003 Nuova
INVESCO EXCH TRADED FD TR II
46138E727
$1,537,610 57,139 Nuova
VICTORY PORTFOLIOS II
92647N576
$1,533,981 16,065 +93%
INVESCO EXCH TRADED FD TR II
46138E362
$1,531,907 30,879 -49%
NUSHARES ETF TR
67092P755
$1,530,174 60,541 +428%
DIMENSIONAL ETF TRUST
25434V567
$1,530,063 28,264 +185%
FIDELITY COVINGTON TRUST
316092246
$1,529,562 56,379 -44%
FORUM MARKETS INC
68236V401
$1,527,698 528,615 -60%
LAZARD ACTIVE ETF TR
52110K301
$1,527,476 59,185 +6%
ACCEL ENTERTAINMENT INC
00436Q106
$1,525,415 139,818 -64%
M-TRON INDS INC
55380K109
$1,521,172 22,755 +128%
ISHARES TR
46434V456
$1,519,811 32,875 -85%
GOLDMAN SACHS ETF TR
381430503
$1,519,704 12,145 -23%
FIRST TR EXCH TRD ALPHDX FD
33737J406
$1,515,544 23,440 +57%
AMTECH SYS INC
032332504
$1,515,060 129,714 -3%
CONNECTONE BANCORP INC
20786W107
$1,514,861 56,588 +19%
NERDWALLET INC
64082B102
$1,512,013 145,666 -41%
EVERSPIN TECHNOLOGIES INC
30041T104
$1,509,524 171,732 +48%
ODYSSEY MARINE EXPL INC
676118201
$1,509,358 1,809,782 +104%
FIRST TR EXCH TRADED FD III
33739P889
$1,508,811 39,348 Nuova
CABALETTA BIO INC
12674W109
$1,508,552 560,800 +169%
SPDR SERIES TRUST
78464A706
$1,504,905 8,876 Nuova
PDF SOLUTIONS INC
693282105
$1,504,267 45,988 +32%
FIDELITY COVINGTON TRUST
316092501
$1,503,754 21,421 Nuova
SIMPLIFY EXCHANGE TRADED FUN
82889N863
$1,503,320 98,000 +1%
GLOBAL X FDS
37954Y459
$1,502,879 100,527 +464%
ADC THERAPEUTICS SA
H0036K147
$1,498,954 399,721 +37%
ISHARES INC
464286657
$1,498,767 36,852 -68%
FIRST TR EXCHANGE TRADED FD
33741X102
$1,497,118 37,969 Nuova
INNVENTURE INC
45784M108
$1,492,826 381,797 +20%
NEWSMAX INC
65250K105
$1,492,675 285,953 +13%
UBS AG
22542D233
$1,492,059 8,987 +519%
FIRST TR EXCHANGE TRADED FD
33741L207
$1,489,937 43,557 +47%
I-80 GOLD CORP
44955L106
$1,489,661 980,040 -54%
XPEL INC
98379L100
$1,488,552 33,632 -60%
GOLDMAN SACHS ETF TR
38149W416
$1,487,682 37,422 Nuova
IHS HOLDING LIMITED
G4701H109
$1,487,194 180,704 -75%
GOLDMAN SACHS ETF TR
38149W127
$1,487,177 29,854 +494%
THEMES ETF TR
882927668
$1,486,096 46,880 +106%
INVESCO DB MULTI-SECTOR COMM
46140H700
$1,485,012 63,192 +297%
ISHARES TR
46436E502
$1,484,978 26,766 -36%
FIRST TR EXCHANGE-TRADED FD
33738D796
$1,484,393 71,537 +10%
INVESCO EXCH TRD SLF IDX FD
46138J452
$1,479,221 68,214 +106%
MATTHEWS ASIA FDS
577125826
$1,477,102 38,829 Nuova
BOUNDLESS BIO INC
10170A100
$1,476,344 1,342,131 -9%
BONDBLOXX ETF TRUST
09789C812
$1,475,179 32,167 Nuova
GOLDMAN SACHS BDC INC
38147U107
$1,474,080 166,000 -73%
GLADSTONE LD CORP
376549101
$1,472,594 144,372 +241%
ALGOMA STL GROUP INC
015658107
$1,470,871 356,143 -63%
ATRIUM THERAPEUTICS INC
04965N104
$1,469,844 109,936 Nuova
NATIONAL PRESTO INDS INC
637215104
$1,468,461 10,714 -49%
MATTHEWS INTL FDS
577130628
$1,468,064 47,256 +254%
KENON HLDGS LTD
Y46717107
$1,463,208 17,766 +169%
LARGO INC
517097101
$1,462,732 1,306,010 +303%
CAREDX INC
14167L103
$1,461,243 84,173 -88%
MERCANTILE BK CORP
587376104
$1,461,117 28,933 -17%
ARCOS DORADOS HLDGS INC
G0457F107
$1,459,401 176,897 -80%
FIDELITY COVINGTON TRUST
316092188
$1,459,088 46,432 -43%
WILLOW LANE ACQUISITION CORP
G9675P102
$1,459,050 137,000 -67%
CERAGON NETWORKS LTD
M22013102
$1,457,356 674,702 +389%
HYSTER-YALE INC
449172105
$1,456,838 44,812 -15%
INFINITE EAGLE ACQUISITION C
G4802J129
$1,456,304 143,337 Nuova
FIRST TR EXCHANGE-TRADED ALP
33735K108
$1,455,877 9,445 +7%
SEANERGY MARITIME HLDGS CORP
Y73760400
$1,453,137 112,559 +117%
JOINT CORP
47973J102
$1,452,940 164,174 -48%
ROUNDHILL ETF TRUST
77926X635
$1,451,813 64,900 -70%
ORTHOFIX MED INC
68752M108
$1,449,842 126,403 +389%
FLEXSHARES TR
33939L860
$1,448,296 18,312 Nuova
NIQ GLOBAL INTELLIGENCE PLC
G63755105
$1,447,230 127,285 -79%
ARDENT HEALTH INC
03980N107
$1,445,964 168,921 -35%
ISHARES TR
464287812
$1,443,528 20,613 -92%
AMERICAN CENTY ETF TR
025072364
$1,442,423 19,276 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X119
$1,438,415 22,574 -22%
ISHARES TR
46436E155
$1,438,080 19,393 +85%
LANTRONIX INC
516548203
$1,437,715 274,373 -14%
TIDAL TRUST II
88636V769
$1,436,202 21,900 -65%
ETFIS SER TR I
26923G772
$1,435,335 31,142 +468%
FIDELITY COVINGTON TRUST
316092220
$1,434,853 87,249 -53%
PONCE FINANCIAL GROUP INC
732344106
$1,433,551 85,790 +58%
KENNEDY-WILSON HOLDINGS INC
489398107
$1,432,568 132,400 +21%
RENATUS TACTICAL ACQUIS
G7490F119
$1,429,063 136,231 -7%
DIREXION SHARES ETF TRUST
25460E737
$1,428,765 19,500 +103%
TIDAL TRUST II
88636X856
$1,428,682 54,240 -18%
THEMES ETF TR
882927502
$1,427,615 44,391 -14%
B & G FOODS INC
05508R106
$1,427,305 296,737 -46%
VICTORY PORTFOLIOS II
92647N824
$1,426,653 19,973 -56%
BLACKROCK ETF TRUST II
092528843
$1,425,198 29,704 -51%
ASSERTIO HOLDINGS INC
04546C304
$1,421,153 74,562 +178%
FLEXSHARES TR
33939L753
$1,419,991 34,063 -11%
SHUTTERSTOCK INC
825690100
$1,417,298 85,328 -35%
LIVANOVA PLC
G5509L101
$1,415,036 22,263 +246%
ISHARES TR
46435U796
$1,413,498 15,882 Nuova
SSGA ACTIVE TR
78470P580
$1,413,430 56,492 +22%
TIDAL TRUST II
88636Y888
$1,411,357 108,150 Nuova
ISHARES TR
46434V423
$1,410,887 35,494 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F516
$1,410,313 33,651 +488%
AMPLITUDE INC
03213A104
$1,408,214 206,483 -92%
ALPINE INCOME PPTY TR INC
02083X103
$1,406,610 78,145 +218%
LENZ THERAPEUTICS INC
52635N103
$1,406,355 153,700 -52%
MACH NATURAL RESOURCES LP
55445L100
$1,406,272 100,448 -2%
INNOVATOR ETFS TRUST
45783Y426
$1,406,006 43,182 Nuova
ISHARES TR
464288174
$1,404,519 19,796 +573%
ISHARES INC
464286582
$1,403,486 14,457 Nuova
ISHARES INC
464286202
$1,403,466 39,590 Nuova
RMR GROUP INC
74967R106
$1,402,897 90,685 +91%
ISHARES TR
46435G433
$1,401,766 32,138 +72%
DIGI PWR X INC
25380B102
$1,401,126 690,210 -44%
TRUSTCO BK CORP N Y
898349204
$1,397,939 31,931 -21%
DIREXION SHARES ETF TRUST
25459W755
$1,397,593 162,700 +38%
SPDR SERIES TRUST
78468R796
$1,397,234 26,348 Nuova
COLUMBIA FINL INC
197641103
$1,396,020 79,727 -27%
VANGUARD SCOTTSDALE FDS
92206C565
$1,394,340 20,400 -32%
NORTHERN LTS FD TR II
664925807
$1,393,487 55,840 Nuova
TRUST FOR PROFESSIONAL MANAG
89834G752
$1,393,103 47,304 +122%
LIFEWAY FOODS INC
531914109
$1,390,178 71,881 +163%
GLOBAL X FDS
37960A438
$1,388,380 13,834 Nuova
DRILLING TOOLS INTL CORP
26205E107
$1,383,517 319,519 +359%
BIOMEA FUSION INC
09077A106
$1,382,687 903,717 +283%
PACER FDS TR
69374H386
$1,382,039 22,205 Nuova
T ROWE PRICE ETF INC
87283Q800
$1,379,711 34,253 -28%
WISDOMTREE TR
97717W844
$1,377,101 34,112 +6%
J P MORGAN EXCHANGE TRADED F
46641Q340
$1,376,807 12,700 +23%
FLEXSHARES TR
33939L571
$1,373,946 33,570 -12%
VICTORY PORTFOLIOS II
92647N667
$1,373,096 25,194 +90%
IMPINJ INC
453204AD1
$1,371,831 1,143,000 Nuova
CANTOR EQUITY PARTNERS III I
G1828A108
$1,371,777 133,053 Invariata
GUARDIAN METAL RES PLC
401382106
$1,370,135 78,383 Nuova
SARATOGA INVT CORP
80349A208
$1,369,128 62,603 +47%
CAMBRIA ETF TR
132061862
$1,368,899 116,900 +73%
AMERICAN CENTY ETF TR
025072398
$1,363,813 31,180 Nuova
INVESCO EXCH TRD SLF IDX FD
46139W858
$1,363,804 66,243 Invariata
FRANKLIN TEMPLETON ETF TR
35473P876
$1,361,023 31,889 -27%
INVESTAR HOLDING CORP
46134L105
$1,356,465 49,742 Nuova
OUTSET MED INC
690145206
$1,356,288 353,200 +517%
INNOVATOR ETFS TRUST
45782C680
$1,355,506 31,730 +119%
DXP ENTERPRISES INC
233377407
$1,354,961 9,697 -76%
ROUNDHILL ETF TRUST
77926X726
$1,354,224 53,400 -52%
ADVISORSHARES TR
00768Y289
$1,351,769 628,730 -50%
VANGUARD SCOTTSDALE FDS
92206C623
$1,351,325 5,900 -32%
BRIGHTSPIRE CAPITAL INC
10949T109
$1,351,146 241,276 -30%
ETF SER SOLUTIONS
26922A503
$1,351,106 21,511 +506%
MIDCAP FINANCIAL INVSTMNT CO
03761U502
$1,349,902 120,098 +114%
ISHARES TR
46436E411
$1,349,474 20,368 +442%
GOLDMAN SACHS ETF TR
38149W598
$1,348,905 23,265 -40%
COVENANT LOGISTICS GROUP INC
22284P105
$1,345,907 49,573 +9%
HORIZON BANCORP IND
440407104
$1,345,600 81,207 +134%
DOUBLELINE ETF TRUST
25861R105
$1,344,294 29,345 Nuova
FIRST TR EXCH TRD ALPHDX FD
33737J158
$1,342,447 18,491 +149%
NOMURA ETF TR
555927607
$1,342,201 55,475 +102%
AKTIS ONCOLOGY INC
01021M104
$1,341,750 75,000 Nuova
GRANITESHARES ETF TR
38747R777
$1,340,739 64,864 -48%
XOMETRY INC
98423F109
$1,339,552 32,800 -91%
GLADSTONE INVT CORP
376546107
$1,336,220 94,100 +156%
ROUNDHILL ETF TRUST
77926X304
$1,332,612 48,600 -56%
FRANKLIN ETF TR
353506108
$1,331,570 14,669 -39%
PACER FDS TR
69374H865
$1,329,500 49,850 Nuova
ELECTROVAYA INC
28617B606
$1,329,298 169,987 -69%
SIMPLIFY EXCHANGE TRADED FUN
82889N699
$1,327,806 43,938 Nuova
FIRST TR EXCHANGE-TRADED FD
33736Q104
$1,325,987 22,766 +214%
AMARIN CORP PLC
023111404
$1,324,175 91,575 -47%
VISIONWAVE HOLDINGS INC
927950105
$1,321,986 278,900 -13%
TRUSTMARK CORP
898402102
$1,321,890 31,369 -33%
FIRST TR EXCHNG TRADED FD VI
33740F565
$1,321,875 44,388 -92%
SAN JUAN BASIN RTY TR
798241105
$1,321,519 274,744 -36%
J P MORGAN EXCHANGE TRADED F
46641Q753
$1,319,513 27,006 Nuova
INVESCO EXCH TRADED FD TR II
46138E586
$1,318,555 11,082 -27%
GROCERY OUTLET HLDG CORP
39874R101
$1,318,350 187,000 -62%
REPOSITRAK INC
700215304
$1,316,617 173,239 -12%
DIMENSIONAL ETF TRUST
25434V641
$1,313,576 17,680 -54%
AB ACTIVE ETFS INC
00039J863
$1,312,882 37,168 -2%
FRESH DEL MONTE PRODUCE INC
G36738105
$1,312,758 32,607 -51%
VISHAY PRECISION GROUP INC
92835K103
$1,311,284 30,200 +439%
ISHARES TR
464287861
$1,308,049 19,253 -43%
BRANDYWINE RLTY TR
105368203
$1,307,377 482,427 -51%
RESERVOIR MEDIA INC
76119X105
$1,306,965 133,500 -75%
INVESCO EXCH TRADED FD TR II
46138G540
$1,306,433 33,026 -11%
ADVISORSHARES TR
00768Y412
$1,303,170 72,600 +273%
NUSHARES ETF TR
67092P763
$1,300,871 52,018 Invariata
VANGUARD MUN BD FDS
922907688
$1,299,417 12,676 +257%
INVESCO EXCH TRADED FD TR II
46138E610
$1,298,667 103,562 Nuova
CONSENSUS CLOUD SOLUTIONS IN
20848V105
$1,296,204 54,600 -9%
FRANKLIN TEMPLETON ETF TR
35473P512
$1,294,820 14,639 -62%
ISHARES TR
46429B507
$1,294,783 18,804 Nuova
ISHARES TR
46436E544
$1,294,457 29,732 Nuova
DIREXION SHARES ETF TRUST
25461A494
$1,294,128 62,700 -44%
SCRIPPS E W CO OHIO
811054402
$1,293,313 347,665 -54%
VANGUARD BD INDEX FDS
921937793
$1,293,064 18,800 +16%
FIRST TR EXCH TRADED FD III
33739P871
$1,291,328 35,081 +15%
SEI EXCHANGE TRADED FUNDS
81589A700
$1,290,969 39,605 +131%
ABEONA THERAPEUTICS INC
00289Y206
$1,290,406 288,037 -9%
ORGANOGENESIS HLDGS INC
68621F102
$1,289,837 544,235 -56%
BLACK DIAMOND THERAPEUTICS I
09203E105
$1,287,696 604,552 +8%
TWO RDS SHARED TR
90214Q105
$1,287,332 34,615 +322%
PROASSURANCE CORP
74267C106
$1,287,195 52,071 +34%
J P MORGAN EXCHANGE TRADED F
46654Q104
$1,286,956 26,601 -35%
VICTORY PORTFOLIOS II
92647N543
$1,286,873 22,492 -36%
PROSHARES TR
74347R768
$1,286,414 69,800 Nuova
MID PENN BANCORP INC
59540G107
$1,284,020 39,926 +400%
AMPLIFY ETF TR
032108474
$1,282,836 55,727 -77%
FIRST TR EXCHANGE TRADED FD
33738R662
$1,282,349 32,851 Nuova
CARECLOUD INC
14167R100
$1,282,037 351,243 +78%
KOREA ELEC PWR CORP
500631106
$1,279,237 89,771 -68%
PAYSIGN INC
70451A104
$1,277,905 216,594 -14%
FIRST TR EXCHANGE-TRADED FD
33738D879
$1,277,500 50,000 +377%
CRICUT INC
22658D100
$1,276,428 341,291 -59%
SPROTT FDS TR
85208P857
$1,276,307 47,464 Nuova
BLACKROCK CAP ALLOCATION TER
09260U109
$1,273,622 90,136 +416%
SPDR INDEX SHS FDS
78463X889
$1,272,996 27,886 +39%
VICTORY PORTFOLIOS II
92647P126
$1,272,324 28,470 +293%
OLAPLEX HLDGS INC
679369108
$1,270,735 625,978 +2080%
PROSHARES TR
74347G150
$1,269,299 41,211 +74%
FIRST TR EXCHANGE TRADED FD
33738R308
$1,268,355 55,266 +79%
GOOSEHEAD INS INC
38267D109
$1,266,362 29,685 -31%
ISHARES U S ETF TR
46431W648
$1,265,248 14,316 -57%
DEFI DEVELOPMENT CORP
47100L301
$1,261,057 383,300 -61%
CENTRAL GARDEN & PET CO
153527205
$1,260,619 38,884 -54%
FRANKLIN TEMPLETON ETF TR
35473P884
$1,260,369 22,945 +9%
RIBBON COMMUNICATIONS INC
762544104
$1,256,713 592,789 +710%
GOLDMAN SACHS ETF TR
38149W580
$1,255,261 22,877 +20%
DIREXION SHARES ETF TRUST
25461A544
$1,255,041 21,972 -73%
WISDOMTREE TR
97717Y568
$1,253,597 19,930 -22%
J P MORGAN EXCHANGE TRADED F
46654Q849
$1,251,489 12,671 -10%
POSTAL REALTY TRUST INC
73757R102
$1,250,888 67,397 +14%
TIDAL TRUST II
88636V652
$1,250,232 46,100 +6%
PGIM ETF TR
69344A842
$1,247,949 24,484 +224%
NEOS ETF TRUST
78433H634
$1,246,620 26,300 +300%
GRAY MEDIA INC
389375106
$1,246,175 287,137 +406%
ALPS ETF TR
00162Q510
$1,244,802 18,762 -1%
FRANKLIN TEMPLETON ETF TR
35473P520
$1,241,769 37,568 Nuova
INSEEGO CORP
45782B302
$1,240,959 111,597 +111%
UNISYS CORP
909214306
$1,240,063 599,064 -11%
ISHARES TR
464287564
$1,237,676 19,998 Invariata
INVESCO EXCH TRD SLF IDX FD
46138J429
$1,237,101 75,158 +350%
HOMETRUST BANCSHARES INC
437872104
$1,234,803 28,952 +53%
CI&T INC
G21307106
$1,234,723 243,535 -34%
ACCENDRA HEALTH INC
690732102
$1,233,569 541,039 -74%
FIRST TR EXCHANGE-TRADED ALP
33737M300
$1,232,713 12,711 Nuova
STARZ ENTERTAINMENT CORP.
855919106
$1,232,456 107,170 +250%
THRYV HLDGS INC
886029206
$1,230,671 449,150 -47%
HUDSON PACIFIC PROPERTIES IN
444097406
$1,230,226 208,160 -76%
LAZARD ACTIVE ETF TR
52110K608
$1,228,810 45,847 Nuova
ISHARES TR
46429B606
$1,227,017 33,700 Nuova
ATLANTIC UN BANKSHARES CORP
04911A107
$1,225,882 34,300 -68%
SSGA ACTIVE TR
78470P770
$1,225,640 49,411 +302%
VINCI COMPASS INVESTMENTS LT
G9451V109
$1,223,726 115,993 +102%
AMPLIFY ETF TR
032108805
$1,223,199 82,149 +23%
ETF OPPORTUNITIES TRUST
26923N835
$1,223,019 71,900 -64%
GMO ETF TRUST
90139K308
$1,220,929 48,888 +69%
RENTOKIL INITIAL PLC
760125104
$1,220,920 38,784 Nuova
PROSHARES TR
74347R131
$1,213,940 78,344 +430%
GRANITESHARES ETF TR
38747R306
$1,213,170 105,000 +58%
KRONOS WORLDWIDE INC
50105F105
$1,212,973 184,623 -42%
OLD SECOND BANCORP INC DEL
680277100
$1,210,910 60,065 -8%
CARDIOL THERAPEUTICS INC
14161Y200
$1,210,281 896,504 +1329%
BCB BANCORP INC
055298103
$1,209,355 134,672 +288%
SSGA ACTIVE TR
78470P788
$1,207,747 48,547 Nuova
CALAMOS ETF TR
12811T571
$1,206,720 48,000 Nuova
TUYA INC
90114C107
$1,206,654 522,361 +59%
GOLDMAN SACHS ETF TR
38149W473
$1,206,231 23,851 Nuova
FRANKLIN TEMPLETON HOLDINGS
35473M105
$1,203,922 19,365 +29%
SSGA ACTIVE TR
78470P754
$1,202,574 48,531 Nuova
ABRDN ETFS
003261203
$1,202,208 33,600 Nuova
GUINNESS ATKINSON FDS
402031843
$1,200,190 68,212 Nuova
FIRST BANCORP N C
318910106
$1,199,184 21,281 -61%
THEMES ETF TR
88340C875
$1,198,272 505,600 +43%
FRANKLIN TEMPLETON ETF TR
35473P678
$1,198,038 34,466 Nuova
FULGENT GENETICS INC
359664109
$1,194,853 75,148 -83%
FIRST TR EXCHNG TRADED FD VI
33740F813
$1,193,617 33,618 Nuova
PALLADYNE AI CORP
80359A205
$1,193,556 196,632 +29%
RENAISSANCE CAP GREENWICH FD
759937204
$1,193,538 28,499 +124%
VANGUARD ADMIRAL FDS INC
921932869
$1,192,411 9,537 Nuova
TCW ETF TRUST
29287L205
$1,192,355 12,196 Nuova
COMMERCE.COM INC
08975P108
$1,191,608 446,295 -29%
PROSHARES TR II
74347W882
$1,190,690 40,226 +362%
VANGUARD WORLD FD
92204A207
$1,190,327 5,300 +182%
FRANKLIN TEMPLETON ETF TR
35473P389
$1,189,771 42,161 Nuova
CHERRY HILL MTG INVT CORP
164651101
$1,189,708 475,883 -24%
GAOTU TECHEDU INC
36257Y109
$1,189,575 606,926 -51%
EL POLLO LOCO HLDGS INC
268603107
$1,188,273 85,734 Nuova
WISDOMTREE TR
97717W604
$1,187,889 33,052 +6%
BARCLAYS BANK PLC
06738C778
$1,186,747 24,652 Nuova
GRANITESHARES ETF TR
38747R603
$1,186,718 21,681 -11%
PACER FDS TR
69374H568
$1,185,899 37,008 Nuova
FIRST TR EXCHANGE TRADED FD
33738R704
$1,185,346 10,700 +174%
CALIFORNIA BANCORP
84252A106
$1,184,033 66,819 +7%
SSGA ACTIVE TR
78470P739
$1,183,761 48,196 Nuova
FRP HLDGS INC
30292L107
$1,181,411 53,995 -22%
ALIGHT INC
01626W101
$1,181,299 2,027,284 -96%
NWPX INFRASTRUCTURE INC
667746101
$1,179,034 15,143 +52%
DIAMEDICA THERAPEUTICS INC
25253X207
$1,178,819 174,124 -2%
I3 VERTICALS INC
46571Y107
$1,178,462 52,704 -16%
BUSINESS FIRST BANCSHARES IN
12326C105
$1,177,240 43,537 +278%
ISHARES TR
46429B499
$1,175,860 31,823 Nuova
ARCTURUS THERAPEUTICS HLDGS
03969T109
$1,174,845 152,182 -7%
ISHARES TR
464288125
$1,173,817 15,823 +388%
VANGUARD WORLD FD
921910683
$1,173,237 14,415 Nuova
NEW YORK LIFE INVTS ACTIVE E
45409F827
$1,172,298 48,633 +110%
DUOS TECHNOLOGIES GROUP INC
266042407
$1,171,311 170,745 +59%
INVESCO EXCHANGE TRADED FD T
46137V639
$1,171,093 20,169 -50%
ISHARES TR
46438G679
$1,170,260 45,447 Nuova
VELOCITY FINL INC
92262D101
$1,169,898 64,671 -7%
ETFIS SER TR I
26923G301
$1,168,968 28,084 -26%
FIS TR
337959100
$1,168,649 36,316 Nuova
BONDBLOXX ETF TRUST
09789C671
$1,166,804 23,730 +216%
STANDARD BIOTOOLS INC
34385P108
$1,166,142 1,268,510 -17%
MOTORCAR PTS AMER INC
620071100
$1,164,485 105,288 +52%
FATE THERAPEUTICS INC
31189P102
$1,164,271 970,226 +51%
SSGA ACTIVE TR
78470P796
$1,164,226 46,653 Nuova
VANECK ETF TRUST
92189H821
$1,163,939 78,012 +27%
WISDOMTREE TR
97717W380
$1,163,874 51,619 +370%
GLOBAL X FDS
37954Y863
$1,161,646 13,726 +17%
POLESTAR AUTOMOTIVE HLDG UK
731105409
$1,161,529 63,058 -14%
CF BANKSHARES INC
12520L109
$1,161,084 41,601 +34%
DIGI INTL INC
253798102
$1,160,367 24,074 -28%
NEXXEN INTL LTD
M8T80P204
$1,157,352 177,508 +110%
BRAINSWAY LTD
10501L106
$1,156,934 87,053 +50%
MIDLAND STATES BANCORP INC
597742105
$1,156,060 51,818 -17%
LISTED FDS TR
53656F862
$1,155,571 56,242 Nuova
CATO CORP NEW
149205106
$1,154,204 407,846 -17%
DEFI TECHNOLOGIES INC
244916102
$1,152,259 2,085,536 -47%
GUINNESS ATKINSON FDS
402031835
$1,151,771 37,944 +22%
STAR GROUP LP
85512C105
$1,151,004 93,730 Nuova
DESIGNER BRANDS INC
250565108
$1,150,956 202,277 -51%
ISHARES TR
46438G802
$1,150,003 43,818 +41%
ANGEL OAK FUNDS TRUST
03463K729
$1,149,930 23,242 -1%
BOYD GROUP SERVICES INC
103310108
$1,149,333 8,989 -93%
NEOS ETF TRUST
78433H543
$1,148,444 23,553 Nuova
GREEN PLAINS INC
393222AK0
$1,147,942 1,149,000 +4%
NEUROPACE INC
641288105
$1,147,785 87,284 -44%
NORTHERN FDS
665162137
$1,147,119 11,392 -35%
WISDOMTREE TR
97717Y857
$1,145,764 23,203 Nuova
PACER FDS TR
69374H360
$1,144,660 33,927 Nuova
CRITICAL METALS CORP
G2662B111
$1,143,237 331,373 +147%
GLOBA TERRA ACQUISITION COR
G3933N108
$1,141,372 110,171 Invariata
BNY MELLON ETF TRUST
09661T834
$1,140,609 23,057 -36%
ISHARES TR
46436E247
$1,140,114 39,732 Nuova
PROQR THRAPEUTICS N V
N71542109
$1,139,383 703,323 -9%
DIMENSIONAL ETF TRUST
25434V773
$1,138,989 33,828 Nuova
RESOURCES CONNECTION INC
76122Q105
$1,138,191 305,145 Nuova
ISHARES TR
464288836
$1,137,762 13,126 -37%
SERVICE PPTYS TR
81761L102
$1,137,635 839,583 -16%
INVESTMENT MANAGERS SER TR I
46092D202
$1,136,520 143,500 -80%
FIRST BUSEY CORP
319383204
$1,136,518 44,975 -8%
PIMCO ETF TR
72201R874
$1,136,235 22,522 -65%
CHIRON REAL ESTATE INC
37954A303
$1,136,133 34,345 -3%
J P MORGAN EXCHANGE TRADED F
46654Q617
$1,135,206 19,280 Nuova
PRINCIPAL EXCHANGE TRADED FD
74255Y821
$1,134,732 54,980 Nuova
BACKBLAZE INC
05637B105
$1,134,722 328,905 +56%
J P MORGAN EXCHANGE TRADED F
46654Q765
$1,134,585 20,421 +129%
CORPORACION AMER ARPTS S A
L1995B107
$1,133,548 44,822 -37%
CADRE HLDGS INC
12763L105
$1,133,166 36,935 -62%
FLEXSHARES TR
33939L613
$1,132,666 16,223 Nuova
PRINCIPAL EXCHANGE TRADED FD
74255Y698
$1,132,430 33,346 Nuova
FIDELITY COVINGTON TRUST
316092725
$1,131,916 41,004 +116%
VANGUARD INDEX FDS
922908652
$1,131,900 5,500 Nuova
NEW PAC METALS CORP
64782A107
$1,130,903 273,165 +21%
BROOKFIELD WEALTH SOL LTD
G17434104
$1,129,765 27,289 +52%
DIMENSIONAL ETF TRUST
25434V666
$1,129,114 31,619 +65%
FIRST TR EXCHNG TRADED FD VI
33740U760
$1,124,637 45,330 Nuova
HARTFORD FDS EXCHANGE TRADED
41653L503
$1,123,925 29,012 +430%
ESPEY MFG & ELECTRS CORP
296650104
$1,123,918 20,280 Nuova
SPDR SERIES TRUST
78464A805
$1,122,652 14,200 +84%
FIDELITY COVINGTON TRUST
316092840
$1,121,372 20,300 -80%
ACACIA RESH CORP
003881307
$1,120,110 232,871 -16%
ABRDN FDS
003022274
$1,119,061 42,917 Nuova
PACER FDS TR
69374H303
$1,118,185 15,326 -62%
ETFIS SER TR I
26923G400
$1,117,637 64,753 Nuova
ISHARES TR
46435G326
$1,116,077 13,355 -23%
SPDR SERIES TRUST
78464A771
$1,114,698 8,101 +43%
SPROUT SOCIAL INC
85209W109
$1,112,406 195,159 -84%
INTER & CO INC
G4R20B107
$1,108,892 139,308 -23%
IRONWOOD PHARMACEUTICALS INC
46333X108
$1,107,672 315,576 -12%
PIMCO EQUITY SER
72201T342
$1,107,200 26,607 +232%
TREACE MED CONCEPTS INC
89455T109
$1,106,270 825,575 +48%
GLOBAL X FDS
37954Y772
$1,105,344 31,049 Nuova
RBB FD INC
74933W551
$1,101,769 26,949 Nuova
SAGIMET BIOSCIENCES INC
786700104
$1,101,290 210,773 -17%
PROSHARES TR
74347R214
$1,101,252 13,511 +182%
TECOGEN INC NEW
87876P201
$1,100,984 430,072 +45%
COHEN & STEERS TAX ADVAN PFD
19249X108
$1,097,714 58,576 +40%
SEMRUSH HLDGS INC
81686C104
$1,097,417 91,911 -85%
STAGWELL INC
85256A109
$1,095,869 174,224 Nuova
FIRST FINANCIAL CORPORATION
320218100
$1,095,130 17,328 -12%
BANK7 CORP
06652N107
$1,092,951 27,406 +39%
INOGEN INC
45780L104
$1,091,938 176,689 -33%
ISHARES TR
464288166
$1,091,615 9,950 -58%
FIRST TR EXCH TRD ALPHDX FD
33737J307
$1,091,426 23,960 +53%
XUNLEI LTD
98419E108
$1,091,178 196,255 -28%
BJS RESTAURANTS INC
09180C106
$1,088,276 31,005 -87%
MAMAS CREATIONS INC
56146T103
$1,086,072 70,800 -39%
SILVACO GROUP INC
82728C102
$1,084,628 153,196 +98%
GOLDMAN SACHS ETF TR
381430479
$1,081,933 23,623 +50%
NUSHARES ETF TR
67092P607
$1,081,800 24,008 Nuova
WISDOMTREE TR
97717W406
$1,081,072 9,343 +268%
AUDIOCODES LTD
M15342104
$1,080,980 128,535 +25%
CBL & ASSOC PPTYS INC
124830878
$1,079,537 28,091 -24%
AMC NETWORKS INC
00164V103
$1,079,229 158,944 -2%
ETF SER SOLUTIONS
26922A198
$1,078,700 55,718 +36%
BNY MELLON ETF TRUST
09661T503
$1,077,158 13,595 Nuova
PGIM ETF TR
69344A800
$1,076,271 25,928 +22%
DONEGAL GROUP INC
257701201
$1,075,950 62,628 Nuova
GRUPO AEROPORTUARIO DEL SURE
40051E202
$1,075,616 3,200 Nuova
CLIPPER RLTY INC
18885T306
$1,074,214 355,700 Nuova
INVESCO EXCHANGE TRADED FD T
46137V647
$1,070,364 11,341 +237%
ISHARES TR
46438G349
$1,069,151 35,638 Nuova
KAYNE ANDERSON BDC INC
48662X105
$1,066,716 77,749 +29%
ETF SER SOLUTIONS
26922B410
$1,066,686 44,612 -23%
T ROWE PRICE ETF INC
87283Q685
$1,066,338 44,350 Nuova
SIMPLIFY EXCHANGE TRADED FUN
82889N772
$1,066,080 31,672 Nuova
FB BANCORP INC
31425A109
$1,065,427 77,542 -12%
ISHARES TR
46438G885
$1,065,043 40,561 Nuova
ISHARES TR
46438G125
$1,064,131 42,421 Nuova
EMERGENT BIOSOLUTIONS INC
29089Q105
$1,064,060 128,200 -78%
PARK NATL CORP
700658107
$1,063,896 6,509 -68%
J P MORGAN EXCHANGE TRADED F
46641Q126
$1,059,126 22,033 Nuova
NUSHARES ETF TR
67092P870
$1,058,706 47,668 -50%
FIDELITY MERRIMACK STR TR
316188879
$1,058,367 21,532 Nuova
WILLIS LEASE FIN CORP
970646105
$1,057,485 6,211 +222%
LUXEXPERIENCE BV
55406W103
$1,056,336 132,042 +72%
USCF ETF TR
90290T882
$1,056,143 18,026 +32%
FRANKLIN FINL SVCS CORP
353525108
$1,054,240 20,639 -25%
SPROTT FDS TR
85208P865
$1,053,239 23,178 Nuova
SUNOPTA INC
8676EP108
$1,050,564 162,124 +60%
STELLUS CAP INVT CORP
858568108
$1,050,437 114,054 +46%
ATN INTL INC
00215F107
$1,050,066 38,577 +180%
WISDOMTREE TR
97717Y659
$1,049,470 42,071 +40%
BRIACELL THERAPEUTICS CORP
107930125
$1,048,759 1,048,759 Nuova
ENGENE HOLDINGS INC
29286M105
$1,048,345 153,942 +357%
BITWISE FUNDS TRUST
09175C103
$1,047,635 55,548 -5%
NATURES SUNSHINE PRODS INC
639027101
$1,047,523 43,665 Nuova
AB ACTIVE ETFS INC
00039J855
$1,044,763 29,620 +163%
HBT FINL INC.
404111106
$1,044,752 39,100 +84%
ISHARES TR
464289859
$1,044,270 11,801 Nuova
COMPANHIA SIDERURGICA NACION
20440W105
$1,044,149 842,056 -68%
AVIDBANK HLDGS INC
05368J103
$1,043,841 36,626 -34%
FIRST TR EXCHNG TRADED FD VI
33744U402
$1,043,678 34,185 Nuova
CHOICEONE FINANCIA
170386106
$1,043,084 37,094 -66%
MESABI TR
590672101
$1,042,650 33,100 +251%
ISHARES TR
46438G646
$1,042,039 40,657 +40%
CHARGEPOINT HOLDINGS INC
15961R303
$1,041,352 214,270 -52%
ENTREPRENEURSHARES SERIES TR
293828877
$1,040,762 61,620 +412%
MATERIALISE NV
57667T100
$1,038,002 210,122 +7%
OUTDOOR HOLDING CO
00175J107
$1,037,329 516,084 +205%
BLACKROCK ETF TRUST II
092528793
$1,036,531 20,825 Nuova
REPUBLIC DIGITAL ACQUISITION
G7515A111
$1,036,086 99,147 -67%
MAN ETF SER TR
56164V402
$1,036,018 38,331 Nuova
AB ACTIVE ETFS INC
00039J848
$1,035,835 29,072 Invariata
LSI INDS INC OHIO
50216C108
$1,035,258 55,659 +124%
PLUMAS BANCORP
729273102
$1,034,691 21,194 -21%
FIRST TR EXCHANGE TRADED FD
33741X300
$1,034,218 44,454 Nuova
SURROZEN INC
86889P208
$1,033,212 35,469 +210%
DAVIS FUNDAMENTAL ETF TR
23908L207
$1,032,762 20,354 Nuova
NORTHERN LTS FD TR IV
66538H534
$1,030,039 21,846 +251%
INVESTMENT MANAGERS SER TR I
46092D210
$1,027,363 34,143 Nuova
RBB FD INC
74933W601
$1,026,823 15,565 Nuova
WISDOMTREE TR
97717Y394
$1,025,104 20,289 +67%
ETF OPPORTUNITIES TRUST
26923N744
$1,023,486 25,800 +13%
TIDAL TRUST II
88636W288
$1,023,103 100,010 -61%
JELD-WEN HLDG INC
47580P103
$1,020,690 823,137 -28%
MAXLINEAR INC
57776J100
$1,020,097 58,660 -62%
SEACOAST BKG CORP FLA
811707801
$1,019,986 33,674 -33%
LIQUIDITY SVCS INC
53635B107
$1,019,448 33,348 +28%
MAYVILLE ENGR CO INC
578605107
$1,019,309 56,786 -47%
FRANKLIN TEMPLETON ETF TR
35473P736
$1,018,693 27,744 Nuova
INVESCO MORTGAGE CAPITAL INC
46131B704
$1,016,868 125,850 -61%
INVESTMENT MANAGERS SER TR I
46092D681
$1,016,051 32,702 +74%
TIDAL TRUST II
88634T881
$1,014,948 72,600 -6%
STEALTHGAS INC
Y81669106
$1,014,454 110,507 +357%
GALECTIN THERAPEUTICS INC
363225202
$1,013,774 363,360 +786%
RBB FD INC
74933W635
$1,013,546 35,870 +136%
FIRST TR EXCHANGE TRADED FD
33738R696
$1,013,433 25,058 Nuova
TRUTH SOCIAL FUNDS
89844T208
$1,012,911 42,721 Nuova
PACER FDS TR
69374H287
$1,012,691 28,908 +257%
M3BRIGADE ACQUISITION V CORP
G63212107
$1,010,280 94,067 +13%
NUSATRIP INC
67119K102
$1,007,573 149,270 -25%
AIRO GROUP HLDGS INC
009422106
$1,006,902 132,400 -53%
VANGUARD MALVERN FDS
922020730
$1,006,424 13,199 Nuova
MEIRAGTX HLDGS PLC
G59665102
$1,004,517 115,995 -12%
LATTICE STRATEGIES TR
518416201
$1,004,450 32,394 -53%
TIDAL TRUST II
88636R545
$1,004,050 107,500 -74%
ISHARES INC
464286624
$1,001,778 14,439 Nuova
FIRST TR EXCH TRADED FD III
33739E108
$999,183 56,292 -71%
HACKETT GROUP INC
404609109
$999,051 76,791 -69%
PGIM ETF TR
69344A743
$997,711 19,950 -72%
VANECK ETF TRUST
92189F148
$997,075 19,294 -9%
ISHARES TR
46436E536
$996,939 27,741 Nuova
ISHARES U S ETF TR
46431W580
$996,763 38,139 +9%
SPERO THERAPEUTICS INC
84833T103
$996,040 425,658 -9%
INVESCO EXCH TRD SLF IDX FD
46138J437
$995,426 31,461 Nuova
ALPHA TAU MEDICAL LTD
M0740A108
$992,593 140,395 +696%
INVESCO EXCHANGE TRADED FD T
46137V167
$992,119 7,975 +73%
ENDAVA PLC
29260V105
$988,754 223,700 -36%
SPDR SERIES TRUST
78464A334
$987,560 36,685 Nuova
ANIKA THERAPEUTICS INC
035255108
$986,899 68,062 +118%
THOR FINL TECHNOLOGIES TR
885155200
$986,538 31,812 Nuova
DIREXION SHARES ETF TRUST
25460G856
$986,518 16,508 +149%
INVESCO EXCHANGE TRADED FD T
46137V464
$986,136 6,800 +137%
UDEMY INC
902685106
$985,488 213,309 -59%
ALLOT LTD
M0854Q105
$984,335 147,798 -81%
ISHARES TR
46438G612
$984,178 34,950 +16%
VIRTUS ETF TR II
92790A504
$983,737 24,575 +127%
FIRST TR EXCHANGE-TRADED FD
33734X770
$981,570 36,054 +76%
WESTLAKE CHEM PARTNERS LP
960417103
$981,348 44,425 -31%
ISHARES TR
46438G505
$981,080 37,843 -45%
CLARITEV CORPORATION
62548M209
$980,400 60,000 -32%
BANK MONTREAL MEDIUM
063679583
$979,244 17,889 Nuova
TIDAL TRUST II
88636R735
$975,996 26,791 Nuova
ISHARES TR
464288109
$974,058 10,458 Nuova
ENCORE ENERGY CORP
29259W700
$971,721 539,845 -85%
WISDOMTREE TR
97717W109
$971,205 11,246 Nuova
ALPS ETF TR
00162Q460
$970,584 28,964 Nuova
NEOS ETF TRUST
78433H618
$969,445 20,500 Nuova
VICTORY PORTFOLIOS II
92647X863
$968,208 44,454 +180%
WISDOMTREE TR
97717Y477
$967,884 18,115 +212%
BLACKROCK ETF TRUST
09290C756
$967,413 9,626 Nuova
NEWS CORP NEW
65249B208
$966,460 33,899 -45%
INVESCO CURRENCYSHARES AUSTR
46090N103
$964,329 14,104 +8%
EQUITY BANCSHARES INC
29460X109
$962,009 21,662 +166%
DHI GROUP INC
23331S100
$961,236 342,077 +37%
SIMPLIFY EXCHANGE TRADED FUN
82889N848
$960,064 23,086 +112%
NEW FOUND GOLD CORP
64440N103
$959,580 494,629 -66%
SMARTRENT INC
83193G107
$959,183 639,455 -34%
WISDOMTREE TR
97717W588
$957,627 14,060 +127%
LOANDEPOT INC
53946R106
$957,402 674,227 -73%
ISHARES TR
464287127
$956,739 10,647 Nuova
FOGHORN THERAPEUTICS INC
344174107
$956,062 200,013 -3%
ALPS ETF TR
00162Q379
$954,842 30,364 -76%
OIL DRI CORP AMER
677864100
$954,610 14,666 -6%
KEARNY FINL CORP MD
48716P108
$954,592 126,436 +19%
MEDIWOUND LTD
M68830112
$954,356 59,240 -42%
FIDELITY COVINGTON TRUST
316092196
$954,095 29,106 -54%
GRANITESHARES ETF TR
38747R561
$953,053 27,168 +320%
RBB BANCORP
74930B105
$952,781 44,585 +112%
SHATTUCK LABS INC
82024L103
$951,775 148,021 +279%
FIRST TR EXCHNG TRADED FD VI
33740U513
$950,579 41,727 +6%
BONDBLOXX ETF TRUST
09789C721
$949,170 18,775 Nuova
INVESCO EXCH TRADED FD TR II
46138E107
$949,115 34,792 +164%
KRANESHARES TRUST
500767835
$946,702 55,460 +131%
INDUSTRIAL LOGISTICS PPTYS T
456237106
$945,555 166,471 -17%
FENNEC PHARMACEUTICALS INC
31447P100
$944,702 153,610 -39%
THEMES ETF TR
882927585
$943,465 34,200 +356%
NORTHERN LTS FD TR III
66538R722
$942,849 44,286 +59%
GREAT LAKES DREDGE & DOCK CO
390607109
$942,072 55,416 -81%
COMTECH TELECOMMUNICATIONS C
205826209
$940,174 283,185 +19%
PROSHARES TR
74347B607
$939,841 12,102 Nuova
FIRST TR EXCHANGE-TRADED FD
33738D408
$939,479 23,157 -57%
VANECK ETF TRUST
92189H300
$939,114 37,400 -45%
SIMPLIFY EXCHANGE TRADED FUN
82889N335
$938,189 38,231 Nuova
TOUCHSTONE ETF TRUST
89157W871
$938,020 38,044 -17%
LIFEMD INC
53216B104
$936,795 259,500 -75%
ELECTROMED INC
285409108
$935,487 39,961 -15%
BARRETT BUSINESS SVCS INC
068463108
$934,956 32,041 -67%
PROSHARES TR
74347G523
$931,238 27,895 +1%
T ROWE PRICE ETF INC
87283Q727
$931,144 37,275 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F185
$927,495 43,097 Nuova
CHAGEE HLDGS LTD
15743P104
$926,932 99,563 -71%
PERMA-PIPE INTL HLDGS INC
714167103
$926,734 31,088 -82%
FLEXSHARES TR
33939L761
$926,551 19,057 +290%
ALPS ETF TR
00162Q593
$925,371 17,680 +101%
THE REAL BROKERAGE INC
75585H206
$924,930 369,972 -85%
MORGAN STANLEY ETF TRUST
61774R858
$924,600 18,422 -22%
VILLAGE SUPER MKT INC
927107409
$923,739 21,874 Nuova
GLOBAL X FDS
37950E291
$923,567 48,866 Nuova
TOMPKINS FINL CORP
890110109
$923,453 11,713 -63%
DUCOMMUN INC DEL
264147109
$922,808 7,564 -23%
FIRST TR EXCHNG TRADED FD VI
33740U406
$922,397 20,831 +149%
DIANA SHIPPING INC
Y2066G104
$921,360 368,544 +10%
GH RESEARCH PLC
G3855L106
$920,424 65,464 +88%
T ROWE PRICE ETF INC
87283Q602
$920,032 21,597 Nuova
SIMPLIFY EXCHANGE TRADED FUN
82889N657
$919,960 43,600 +107%
CORSAIR GAMING INC
22041X102
$917,970 165,400 +130%
THEMES ETF TR
882927460
$917,632 53,600 -64%
COMMERCIAL VEH GROUP INC
202608105
$916,584 268,793 +81%
ISHARES TR
46434V761
$915,062 49,065 Nuova
SELECT MED HLDGS CORP
81619Q105
$914,732 56,153 -72%
CLEARPOINT NEURO INC
18507C103
$914,550 100,500 -72%
TEJON RANCH CO
879080109
$914,456 48,538 +257%
OVID THERAPEUTICS INC
690469101
$912,425 411,002 -39%
FIRST TR EXCHANGE-TRADED FD
33733E401
$911,912 9,341 +50%
GRANITESHARES ETF TR
38747R363
$910,882 14,800 -60%
SCHWAB STRATEGIC TR
808524706
$910,507 27,633 -97%
RBB FD INC
74933W544
$910,221 21,210 -7%
FIRST TR EXCHANGE TRADED FD
33738R613
$909,798 38,910 +52%
INVESCO EXCHANGE TRADED FD T
46137V472
$909,656 8,800 -25%
FIRST TR EXCH TRADED FD III
33738D820
$909,404 41,908 Nuova
SAUL CTRS INC
804395101
$908,917 27,898 Nuova
ISHARES TR
46438G380
$908,387 35,651 -14%
TIMOTHY PLAN
887432342
$908,287 21,399 -29%
ISHARES TR
46435U663
$908,144 19,314 Nuova
ISHARES U S ETF TR
46431W812
$907,524 37,532 Nuova
PERMA-FIX ENVIRONMENTAL SVCS
714157203
$906,651 84,813 -10%
J P MORGAN EXCHANGE TRADED F
46641Q266
$905,946 17,412 Nuova
JANUS DETROIT STR TR
47103U688
$904,968 18,152 Nuova
DIMENSIONAL ETF TRUST
25434V633
$904,478 18,144 +88%
GLOBAL X FDS
37954Y673
$904,418 17,800 +75%
PACER FDS TR
69374H485
$903,322 29,935 Nuova
TIDAL TRUST III
45259A209
$901,512 18,642 Nuova
BONDBLOXX ETF TRUST
09789C838
$901,152 18,331 -26%
OIL STS INTL INC
678026105
$900,726 77,382 +4%
AUDIOEYE INC
050734201
$899,928 141,276 -40%
COSTAMARE BULKERS HLDGS LTD
Y2001C101
$899,673 58,156 -2%
J P MORGAN EXCHANGE TRADED F
46641Q324
$899,640 12,118 -69%
FIDELITY COVINGTON TRUST
316092162
$899,337 20,893 +197%
WABASH NATL CORP
929566107
$898,014 104,178 -46%
BW LPG LTD
Y10230103
$896,848 51,632 Nuova
USANA HEALTH SCIENCES INC
90328M107
$895,302 51,248 -72%
GOLDMAN SACHS ETF TRUST II
38150W107
$892,400 15,857 Nuova
WOORI FINL GROUP INC
981064108
$891,574 13,387 +52%
AMERICAN CENTY ETF TR
025072208
$890,598 13,697 Nuova
LITE STRATEGY INC
55279B301
$890,299 767,499 -53%
COLONY BANKCORP INC
19623P101
$890,062 44,570 -4%
CHIPMOS TECHNOLOGIES INC
16965P202
$889,562 24,862 +84%
TOUCHSTONE ETF TRUST
89157W202
$889,540 34,707 -31%
CLAROS MTG TR INC
18270D106
$887,980 373,101 -58%
VICTORY PORTFOLIOS II
92647X749
$887,574 32,131 +135%
ISHARES TR
464288646
$887,528 16,886 -96%
PAYSAFE LIMITED
G6964L206
$885,743 130,065 -54%
908 DEVICES INC
65443P102
$884,627 144,547 -41%
WISDOMTREE TR
97717Y212
$883,972 22,604 Nuova
SPDR SERIES TRUST
78468R473
$882,636 26,814 Nuova
CADIZ INC
127537207
$882,528 179,741 -11%
FIDELITY COVINGTON TRUST
31609A875
$881,555 28,926 Nuova
KRANESHARES TRUST
500767876
$880,402 38,881 +104%
SCHWAB STRATEGIC TR
808524201
$879,452 34,300 +2%
T ROWE PRICE ETF INC
87283Q768
$878,260 34,991 -19%
VICTORY PORTFOLIOS II
92647N865
$878,018 11,783 +158%
INNOVATOR ETFS TRUST
45783Y673
$877,708 24,787 Nuova
FIRST TR EXCHNG TRADED FD VI
33744U204
$877,703 41,592 Nuova
MAGNUM ICE CREAM CO NV
N5505D105
$877,236 58,678 -88%
REGENCELL BIOSCIENCE HLDGS L
G7487R100
$872,249 34,300 +139%
FIRST TR EXCHNG TRADED FD VI
33740F573
$870,812 31,837 Nuova
BRERA HOLDINGS PLC
G13311116
$870,656 1,110,530 -10%
INVESCO EXCHANGE TRADED FD T
46137V399
$867,725 39,460 Nuova
LINDBLAD EXPEDITIONS HLDGS I
535219109
$867,422 50,140 Nuova
ETFIS SER TR I
26923G780
$867,292 31,968 Nuova
DIREXION SHARES ETF TRUST
25459W565
$866,036 35,334 -27%
NPK INTERNATIONAL INC
651718504
$864,894 59,689 -71%
FIDELITY COVINGTON TRUST
316092857
$863,811 32,100 Nuova
VANGUARD MALVERN FDS
922020698
$863,129 11,348 -39%
PROFICIENT AUTO LOGISTICS IN
74317M104
$863,094 127,300 +62%
CANARY XRP ETF
13723M100
$861,990 60,279 -22%
FIVE POINT HOLDINGS LLC
33833Q106
$861,579 178,012 +53%
INNOVIZ TECHNOLOGIES LTD
M5R635108
$860,015 1,359,707 +23%
BBB FOODS INC
G0896C103
$859,491 24,300 -83%
PROSHARES TR
74347B540
$858,565 16,745 -2%
FIRST TR EXCHANGE-TRADED FD
33733A201
$857,989 21,148 Nuova
ISHARES TR
464289883
$857,077 21,486 Nuova
OPENLANE INC
48238T109
$856,486 29,382 -80%
INNOVATOR ETFS TRUST
45782C565
$855,936 22,966 Nuova
SEACOR MARINE HLDGS INC
78413P101
$855,391 119,468 +213%
FIRST TR EXCHANGE TRADED FD
33738R563
$854,169 38,405 +1%
NEW YORK LIFE INVTS ACTIVE E
45409F843
$854,034 36,020 Nuova
GENIE ENERGY LTD
372284208
$853,716 60,376 +10%
UNITED STS 12 MONTH OIL FD L
91288V103
$853,381 17,705 Nuova
MARCUS & MILLICHAP INC
566324109
$852,795 32,072 -91%
INNOVATOR ETFS TRUST
45783Y251
$850,582 29,260 Nuova
TIDAL TRUST II
88636J642
$850,350 71,159 +230%
ISHARES TR
46436E221
$849,394 26,684 Nuova
PACER FDS TR
69374H402
$848,834 14,465 Nuova
FIRST UTD CORP
33741H107
$848,179 23,149 -31%
INVESCO EXCHANGE TRADED FD T
46137V480
$847,075 14,057 Nuova
ISHARES TR
464287879
$846,325 7,145 -37%
ELEVATION SERIES TRUST
210322566
$845,313 35,055 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U505
$844,892 16,993 Nuova
INVESCO EXCHANGE TRADED FD T
46137V720
$844,827 14,571 Nuova
MATIV HOLDINGS INC
808541106
$843,630 96,969 Invariata
1 800 FLOWERS COM INC
68243Q106
$843,132 277,346 +35%
RBB FD INC
74933W494
$842,733 17,032 Nuova
PUTNAM ETF TRUST
746729607
$842,498 18,036 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F425
$842,094 21,652 -8%
AMERICAN CENTY ETF TR
02507A606
$841,571 17,901 Nuova
SES AI CORPORATION
78397Q109
$840,319 873,512 -79%
JANUS DETROIT STR TR
47103U753
$838,890 18,000 -63%
SPDR SERIES TRUST
78468R887
$838,502 6,117 +27%
FIRST TR EXCHANGE TRADED FD
33738R738
$838,488 23,276 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F458
$837,891 20,704 Nuova
MAMMOTH ENERGY SVCS INC
56155L108
$837,819 341,967 +106%
VANGUARD ADMIRAL FDS INC
921932828
$837,340 7,292 Nuova
INVESCO EXCH TRADED FD TR II
46138G805
$837,270 31,056 Nuova
INVESTMENT MANAGERS SER TR I
46152A544
$837,221 56,114 Nuova
KOPPERS HOLDINGS INC
50060P106
$835,488 21,600 -19%
SENSEONICS HLDGS INC
81727U303
$835,344 125,427 +517%
ELICIO THERAPEUTICS INC
28657F103
$834,654 78,078 +96%
VAREX IMAGING CORP
92214X106
$834,010 78,606 +8%
INVESCO EXCH TRADED FD TR II
46138E461
$833,980 12,797 Nuova
DFA INVT DIMENSIONS GROUP IN
25239Y238
$833,166 16,381 Nuova
FIRST TR EXCH TRADED FD III
33740J104
$832,817 41,537 +144%
CONTANGO SILVER & GOLD INC
21077F100
$832,500 44,400 -49%
TIDAL TRUST II
88636J162
$832,196 59,021 +354%
FOSSIL GROUP INC
34988V106
$831,588 192,944 +14%
INNOVATOR ETFS TRUST
45783Y814
$831,570 16,830 Nuova
PROSHARES TR
74347R313
$829,049 36,863 +43%
AMPLIFY ETF TR
032108615
$828,658 11,037 +2%
PEARSON PLC
705015105
$827,794 63,046 +73%
FIRST TR EXCHNG TRADED FD VI
33740F714
$826,658 17,574 Nuova
VANECK ETF TRUST
92189F817
$825,652 47,698 -8%
ISHARES TR
46436E486
$824,307 39,384 -63%
GREIF INC
397624206
$824,102 9,414 +171%
FIRST TR EXCHNG TRADED FD VI
33740F433
$823,720 20,896 +212%
GOLDMAN SACHS ETF TR
381430362
$822,899 16,668 Nuova
SIMPLIFY EXCHANGE TRADED FUN
82889N723
$822,344 40,410 Nuova
ISHARES TR
46434V282
$822,096 12,456 Nuova
FRANKLIN TEMPLETON ETF TR
35473P611
$821,644 40,555 -38%
NEUMORA THERAPEUTICS INC.
640979100
$820,728 420,886 -17%
AC IMMUNE SA
H00263105
$820,141 298,233 +96%
STARFIGHTERS SPACE INC
85529M104
$819,920 138,500 Nuova
PROSHARES TR
74347B557
$819,801 8,092 -21%
TAT TECHNOLOGIES LTD
M8740S227
$819,710 20,175 -79%
DIAMONDROCK HOSPITALITY CO
252784301
$819,407 87,450 Nuova
OSPREY BITCOIN TR
68839C206
$818,670 37,517 +98%
ETF OPPORTUNITIES TRUST
26923N579
$818,552 53,746 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U109
$818,304 38,364 -8%
INVESCO EXCHANGE TRADED FD T
46137V373
$818,035 27,730 Nuova
ADS TEC ENERGY PLC
G0085J117
$817,650 71,100 Nuova
QUIDELORTHO CORP
219798105
$814,928 49,600 -47%
NUSHARES ETF TR
67092P706
$813,800 29,943 -31%
JOHN HANCOCK EXCHANGE TRADED
47804J750
$813,211 20,071 +39%
INNOVATOR ETFS TRUST
45782C292
$813,112 22,085 +78%
TIDAL TRUST II
88634T840
$812,846 73,761 +65%
AMERICAN CENTY ETF TR
025072174
$812,658 10,669 Nuova
SMARTSTOP SELF STORAG REIT I
83192D402
$812,291 26,826 Nuova
PERELLA WEINBERG PARTNERS
71367G102
$811,589 44,691 -73%
LEGACY HOUSING CORP
52472M101
$811,438 39,718 -65%
INNOVATOR ETFS TRUST
45782C763
$811,299 20,649 +23%
ISHARES TR
46438G208
$810,918 24,218 +195%
FIDELITY COVINGTON TRUST
316092345
$810,809 22,535 +91%
INVESCO EXCH TRADED FD TR II
46138G672
$810,218 6,317 Nuova
DIREXION SHARES ETF TRUST
25459Y165
$810,215 4,900 -89%
MORGAN STANLEY ETF TRUST
61774R833
$809,809 16,808 +64%
ADVISORS INNER CIRCLE FD II
00764Q629
$809,075 31,909 -3%
AUTOLUS THERAPEUTICS LTD
05280R100
$808,410 585,804 -67%
LEGGETT & PLATT INC
524660107
$807,542 81,735 -82%
INVESCO EXCHANGE TRADED FD T
46137V266
$806,873 17,263 -4%
FIRST TR EXCHANGE TRADED FD
33738R886
$806,669 31,922 -50%
BAIN CAP SPECIALTY FIN INC
05684B107
$803,929 64,833 -22%
TIDAL TRUST I
886364199
$803,741 19,046 +153%
DIREXION SHARES ETF TRUST
25461A882
$802,628 26,692 -3%
DIMENSIONAL ETF TRUST
25434V575
$800,185 15,256 -44%
PACER FDS TR
69374H469
$800,076 24,499 Nuova
ANGEL OAK FUNDS TRUST
03463K752
$799,259 15,661 +2%
FIRST TR EXCHNG TRADED FD VI
33740F474
$798,625 19,724 Nuova
ISHARES TR
46438G158
$798,465 31,890 Nuova
ISHARES TR
46429B697
$797,564 8,600 -71%
ISHARES TR
46438G869
$796,988 30,757 +246%
RBB FD INC
74933W395
$796,841 15,713 +220%
LISTED FDS TR
53656F789
$796,623 44,592 Nuova
FIRST TR EXCH TRD ALPHDX FD
33737J109
$796,567 18,323 -52%
GLADSTONE CAP CORP
376535878
$796,365 45,900 -46%
FIS TR
337959407
$796,242 31,818 Nuova
WESTERN ASSET HIGH YIELD OPP
95768B107
$796,087 74,540 +63%
TRX GOLD CORPORATION
87283P109
$795,680 530,453 +32%
FLEXSHARES TR
33939L605
$794,449 32,951 +124%
PARK-OHIO HLDGS CORP
700666100
$791,661 32,931 +6%
BLACKROCK ETF TRUST II
092528884
$791,247 15,690 +137%
CLIMB GLOBAL SOLUTIONS INC
946760105
$790,818 39,900 Nuova
TRUST FOR PROFESSIONAL MANAG
89834G729
$789,336 19,694 -47%
VANGUARD WORLD FD
92204A801
$788,690 3,500 +41%
CHINA YUCHAI INTL LTD
G21082105
$788,519 20,481 -83%
SIDUS SPACE INC
826165201
$787,872 339,600 +381%
ISHARES TR
46436E312
$787,413 31,160 Nuova
FIRST TR EXCHANGE TRADED FD
33738R779
$785,993 14,514 Nuova
ISHARES TR
46438G471
$785,619 29,567 +246%
NEW YORK LIFE INVTS ACTIVE E
45409F785
$785,093 37,421 Nuova
WORLD ACCEP CORPORATION
981419104
$783,907 5,805 Nuova
INNOVATOR ETFS TRUST
45784N874
$783,802 28,133 Nuova
PACER FDS TR
69374H204
$783,476 21,424 Nuova
SEAPORT ENTMT GROUP INC
812215200
$781,872 36,400 -50%
SSGA ACTIVE TR
78470P721
$778,789 31,189 Nuova
INVESTMENT MANAGERS SER TR I
46152A569
$778,744 31,100 Nuova
WESTROCK COFFEE CO
96145W103
$777,954 183,048 -18%
J P MORGAN EXCHANGE TRADED F
46641Q886
$777,430 6,788 -50%
ISHARES TR
464288521
$777,224 13,131 +64%
FIRST TR EXCHNG TRADED FD VI
33740F854
$777,151 17,844 Nuova
INNOVATOR ETFS TRUST
45782C532
$776,994 20,005 Nuova
ENERGY SERVICES OF AMER CORP
29271Q103
$776,863 59,167 -20%
TIDAL TRUST II
88636J261
$776,750 44,847 +22%
NEOS ETF TRUST
78433H584
$776,461 15,694 -26%
BETA BIONICS INC
08659B102
$775,969 77,442 -92%
TIDAL TRUST I
886364835
$775,589 21,920 +2%
FLEXSHARES TR
33939L803
$775,587 8,252 Nuova
ETF OPPORTUNITIES TRUST
26923Q465
$774,750 51,274 Nuova
AMPLIFY ETF TR
032108524
$773,996 29,043 -73%
AMPLIFY ETF TR
032108656
$773,824 18,080 Nuova
AELUMA INC
00776X109
$772,310 59,000 -49%
INVESCO EXCH TRADED FD TR II
46138E495
$771,896 29,518 +181%
VANECK ETF TRUST
92189H730
$770,485 21,895 +54%
FRANKLIN TEMPLETON ETF TR
35473P306
$769,872 14,915 -10%
ADVANCED FLOWER CAP INC
00109K105
$769,437 272,850 Invariata
INVESCO EXCHANGE TRADED FD T
46137V118
$768,672 13,600 Nuova
DIAMOND HILL INVT GROUP INC
25264R207
$767,566 4,460 Nuova
SEI EXCHANGE TRADED FUNDS
81589A205
$767,199 16,843 -5%
WESTERN NEW ENG BANCORP INC
958892101
$766,349 59,269 +476%
GOODRX HLDGS INC
38246G108
$765,935 390,783 +3%
U S PHYSICAL THERAPY
90337L108
$764,592 10,200 -62%
FIRST TR EXCHNG TRADED FD VI
33740F391
$764,260 20,589 -4%
TASKUS INC
87652V109
$764,068 113,870 -22%
FARMERS & MERCHANTS BANCORP
30779N105
$763,272 29,734 +50%
BIOVENTUS INC
09075A108
$763,131 83,585 -7%
OPORTUN FINL CORP
68376D104
$762,600 165,423 -47%
J P MORGAN EXCHANGE TRADED F
46654Q831
$762,322 9,293 +241%
TIDAL TRUST I
886364637
$762,286 21,046 -52%
COLUMBIA ETF TR II
19762B509
$760,863 26,474 Nuova
NEUBERGER BERMAN ETF TRUST
64135A853
$760,738 23,664 Nuova
ISHARES TR
46436E577
$759,790 82,856 Nuova
NATHANS FAMOUS INC
632347100
$759,605 7,541 -16%
ISHARES TR
46434V738
$759,197 10,804 +39%
FIRST TR EXCHNG TRADED FD VI
33740U810
$759,193 18,126 -15%
INVESCO ACTIVELY MANAGED EXC
46127B601
$759,185 30,205 -26%
MICROVISION INC DEL
594960304
$758,176 1,182,433 +83%
HEARTLAND EXPRESS INC
422347104
$756,840 72,773 -78%
INTELLICHECK MOBILISA INC
45817G201
$756,276 108,194 -49%
ISHARES TR
464289180
$756,245 21,700 -85%
KYVERNA THERAPEUTICS INC
501976104
$756,212 87,626 -77%
INVESCO EXCH TRADED FD TR II
46138G581
$755,544 19,745 +59%
GAMESTOP CORP NEW
36467W117
$754,356 195,424 +424%
DIREXION SHARES ETF TRUST
25460E364
$753,536 44,800 -49%
DONNELLEY FINL SOLUTIONS INC
25787G100
$751,930 15,951 -65%
N-ABLE INC
62878D100
$751,608 160,944 -72%
FIRST TR EXCHANGE TRADED FD
33738R100
$751,274 46,461 +148%
PACER FDS TR
69374H642
$750,166 39,524 -82%
FIRST TR EXCHNG TRADED FD VI
33740F680
$749,589 17,051 Nuova
INVESCO EXCH TRADED FD TR II
46138E875
$748,445 15,114 -88%
INVESTMENT MANAGERS SER TR I
46144X495
$747,594 11,406 -67%
AMERICAN BEACON SELECT FUNDS
02368W408
$747,188 14,486 Nuova
KAYNE ANDERSON ENERGY INFRST
486606106
$746,444 52,272 +58%
DBX ETF TR
233051218
$746,424 21,241 +88%
KINGSWAY FINL SVCS INC
496904202
$745,808 71,506 -47%
UNITED STS COMMODITY INDEX F
911717106
$745,762 7,824 +134%
DMC GLOBAL INC
23291C103
$744,947 142,984 -29%
GRANITE RIDGE RESOURCES INC
387432107
$744,774 126,878 +22%
MESA LABS INC
59064R109
$744,762 8,423 -84%
ETF OPPORTUNITIES TRUST
26923N249
$744,750 66,200 -42%
CS DISCO INC
126327105
$744,136 194,800 -58%
FIRST TR EXCHNG TRADED FD VI
33740F284
$744,115 31,011 +45%
NCR VOYIX CORPORATION
62886E108
$743,851 117,512 -60%
THEMES ETF TR
882927437
$741,680 36,500 +4%
NORTHRIM BANCORP INC
666762109
$740,832 32,379 Nuova
BLUE ACQUISITION CORP.
G1331A108
$740,348 72,512 +9%
SPDR SERIES TRUST
78464A599
$739,908 5,200 +8%
ANGIODYNAMICS INC
03475V101
$739,300 65,022 -11%
PROSHARES TR II
74347W338
$739,096 43,096 +71%
FIRST TR EXCHANGE-TRADED FD
33734X713
$738,559 22,058 -34%
ISHARES TR
46438G414
$737,361 30,096 Nuova
TIMOTHY PLAN
887432334
$735,288 20,402 Nuova
SPDR SERIES TRUST
78468R440
$735,036 20,858 Nuova
QUICKLOGIC CORP
74837P405
$734,660 78,322 +288%
INOVIO PHARMACEUTICALS INC
45773H409
$734,022 421,852 -2%
DIREXION SHARES ETF TRUST
25460E307
$732,565 21,822 Nuova
INVESTMENT MANAGERS SER TR I
46152A528
$732,382 48,470 Nuova
DBX ETF TR
233051150
$732,274 12,270 Nuova
FIRST TR EXCHANGE-TRADED FD
33738D747
$731,900 37,380 Nuova
ADAMAS TRUST INC.
649604840
$730,112 99,200 +25%
RBB FD INC
74933W213
$729,966 14,576 -50%
FIRST TR EXCH TRADED FD III
33739P822
$728,384 27,559 Nuova
ISHARES TR
464288265
$728,360 5,466 Nuova
INVESCO EXCHANGE TRADED FD T
46137V308
$728,171 5,548 +136%
BONDBLOXX ETF TRUST
09789C887
$727,527 19,987 Nuova
AFYA LTD
G01125106
$726,949 48,887 Nuova
ISHARES TR
46438G422
$724,746 28,642 +178%
BARNES & NOBLE ED INC
06777U200
$724,449 82,044 +9%
BLACKROCK ETF TRUST
09290C848
$724,141 25,471 -71%
ETF OPPORTUNITIES TRUST
26923Q747
$724,117 25,082 Nuova
DIMENSIONAL ETF TRUST
25434V815
$723,926 20,660 -6%
CAMBRIA ETF TR
132061409
$723,405 21,809 Nuova
NVE CORP
629445206
$723,317 11,043 +98%
TITAN MACHY INC
88830R101
$722,053 43,185 +307%
LOMA NEGRA C I A S A MTN 14
54150E104
$721,859 65,091 +37%
MANAGED PORTFOLIO SERIES
56167R705
$721,668 17,841 +63%
AMERICAN CENTY ETF TR
025072695
$721,386 15,752 Nuova
SPDR SERIES TRUST
78464A490
$721,116 18,210 -2%
BLACKROCK ETF TRUST II
092528868
$720,648 14,279 Nuova
PACER FDS TR
69374H535
$720,206 24,295 +92%
INVESCO EXCH TRADED FD TR II
46138E867
$719,469 27,640 Nuova
PIMCO ETF TR
72201R403
$718,240 13,516 -68%
PROSHARES TR
74347B235
$717,948 29,400 +63%
TIDAL TRUST II
88636X500
$717,425 14,296 Nuova
INTEGRA RES CORP
45826T509
$717,217 262,717 -57%
VINFAST AUTO LTD
Y9390M103
$714,984 185,710 +86%
EA SERIES TRUST
02072L441
$714,972 35,316 Nuova
TIDAL TRUST II
88636R560
$714,225 17,917 Nuova
KRANESHARES TRUST
500767736
$713,525 38,136 -44%
CAPITAL GRP FIXED INCM ETF T
14020Y706
$712,712 28,243 Nuova
WATERSTONE FINL INC MD
94188P101
$711,464 39,460 +293%
NOVA MINERALS LTD
66982D104
$711,444 121,200 -78%
ARTESIAN RES CORP
043113208
$711,401 22,336 +59%
DAVIS FUNDAMENTAL ETF TR
23908L306
$711,299 16,236 Nuova
FIRST TR EXCHANGE TRADED FD
33738R647
$710,453 23,384 +110%
GREENFIRE RES LTD NEW
39525U107
$710,210 112,375 +534%
GOLUB CAP BDC INC
38173M102
$710,150 56,094 -17%
CEVA INC
157210105
$709,634 37,989 -42%
UPSTREAM BIO INC
91678A107
$706,500 78,500 +11%
INNOVATOR ETFS TRUST
45784N528
$706,230 32,922 Nuova
ASSEMBLY BIOSCIENCES INC
045396207
$705,877 25,437 -37%
AIM ETF PRODUCTS TRUST
00888H851
$705,618 19,710 -10%
LEGACY ED INC
52474R207
$705,189 56,325 Nuova
THE ALGER ETF TRUST
015564206
$704,947 22,472 Nuova
ALDEYRA THERAPEUTICS INC
01438T106
$704,460 416,840 -62%
ISHARES TR
46436E387
$704,452 30,015 Nuova
ETFIS SER TR I
26923G707
$702,839 30,894 +121%
KYIVSTAR GROUP LTD
G5331N101
$701,943 69,362 -68%
TIDAL TRUST II
88636W247
$701,284 28,164 +143%
VOLATILITY SHS TR
92865J729
$701,013 17,415 Nuova
ISHARES TR
464289875
$700,934 14,797 +88%
INVESCO EXCHANGE TRADED FD T
46137V332
$699,465 23,166 Nuova
ALTO NEUROSCIENCE INC
02157Q109
$699,128 31,100 +32%
ISHARES INC
464286780
$698,340 10,300 -98%
CAPITOL FED FINL INC
14057J101
$697,892 97,881 -64%
SIMPLY GOOD FOODS CO
82900L102
$697,410 48,600 -92%
INVESCO EXCHANGE TRADED FD T
46137V282
$697,004 15,400 Nuova
T ROWE PRICE ETF INC
87283Q735
$696,877 24,491 -47%
NORTHERN LTS FD TR IV
66538H237
$695,803 24,526 Nuova
KRANESHARES TRUST
500767215
$695,391 29,307 -6%
GRAHAM CORP
384556106
$694,496 8,800 Nuova
ISHARES TR
46438G257
$693,723 13,685 Nuova
AMERICAN CENTY ETF TR
025072240
$693,678 9,506 +30%
EXAGEN INC
30068X103
$693,345 231,115 -45%
SSGA ACTIVE TR
78470P572
$693,005 27,706 Nuova
INNOVATOR ETFS TRUST
45782C813
$691,259 15,038 +7%
INVESCO EXCH TRADED FD TR II
46138E594
$690,457 45,187 Nuova
FIRST TR EXCHANGE TRAD FD VI
33739H101
$690,361 24,046 Nuova
KRANESHARES TRUST
500767751
$688,646 22,072 Nuova
ISHARES TR
46436E379
$687,291 29,519 Nuova
ALPS ETF TR
00162Q858
$686,585 10,557 +234%
SMART SAND INC
83191H107
$686,110 134,006 -13%
AMERICA MOVIL SAB DE CV
02390A101
$685,412 26,900 -91%
EDGEWELL PERSONAL CARE CO
28035Q102
$684,587 32,080 -82%
IRSA INVERSIONES Y REP S A
450047303
$684,483 42,226 -36%
BONE BIOLOGICS CORP
098070154
$684,296 29,752 +25%
INVESCO EXCH TRADED FD TR II
46138E842
$683,697 6,943 +61%
INVESCO EXCHANGE TRADED FD T
46137V191
$683,653 5,260 -9%
BONDBLOXX ETF TRUST
09789C879
$682,104 15,520 +86%
BITWISE XRP ETF
09174F107
$681,821 45,364 +55%
EA SERIES TRUST
02072L680
$681,593 16,240 +129%
AB ACTIVE ETFS INC
00039J822
$680,939 15,962 -6%
ANGI INC
00183L201
$680,205 99,300 -67%
INVESCO EXCHANGE TRADED FD T
46137V787
$678,652 8,571 Nuova
J P MORGAN EXCHANGE TRADED F
46654Q542
$678,487 6,772 Nuova
SERIES PORTFOLIOS TR
81752T486
$678,474 26,534 +46%
CARTESIAN THERAPEUTICS INC
816212302
$677,287 110,128 +18%
WISDOMTREE TR
97717Y436
$677,101 24,274 +8%
BNY MELLON ETF TRUST
09661T305
$676,634 5,940 -63%
NORTHERN LTS FD TR IV
66538H419
$676,572 18,095 Nuova
INVESCO EXCH TRADED FD TR II
46138E800
$676,494 14,700 -70%
BTCS INC
05581M404
$676,342 486,577 +102%
SMITH DOUGLAS HOMES CORP
83207R107
$675,827 52,799 Nuova
GOPRO INC
38268T103
$675,784 877,642 -65%
NEW MTN FIN CORP
647551100
$675,756 87,082 -8%
EAGLE BANCORP MONT INC
26942G100
$675,086 32,803 Nuova
GOLDMAN SACHS ETF TR
38149W770
$674,855 20,692 -4%
TIDAL TRUST II
88636R743
$673,575 30,318 Nuova
ORANGE CNTY BANCORP INC
68417L107
$673,179 21,050 Nuova
ISHARES TR
46438G497
$671,806 24,306 -37%
MATTHEWS ASIA FDS
577125792
$671,615 16,851 Nuova
THRIVENT ETF TRUST
88588G208
$671,290 13,230 +173%
JM GROUP LTD
G5146R107
$671,279 101,555 +9%
ISHARES TR
464287788
$670,662 5,700 -79%
AMPLIFY ETF TR
032108532
$669,709 27,241 Nuova
KELLY SVCS INC
488152208
$669,397 75,638 -56%
PRAIRIE OPER CO
739650109
$669,049 329,581 +10%
USCF ETF TR
90290T866
$669,030 18,110 -26%
INNOVATOR ETFS TRUST
45782C573
$668,510 16,361 Nuova
GENASYS INC
36872P103
$668,366 367,234 +22%
HARBOR ETF TRUST
41151J877
$668,181 16,846 +192%
INVESCO ACTIVELY MANAGED EXC
46090A721
$668,005 26,186 -7%
WHITESTONE REIT
966084204
$666,688 41,281 +79%
AB ACTIVE ETFS INC
00039J707
$664,955 9,047 Nuova
COHERUS ONCOLOGY INC
19249H103
$664,248 393,046 +206%
FUNKO INC
361008105
$663,012 210,480 -63%
INVESCO EXCHANGE TRADED FD T
46137V548
$662,800 29,794 Nuova
VOLATILITY SHS TR
92864M780
$660,870 87,186 -50%
PACER FDS TR
69374H451
$660,857 20,854 +166%
FIRST TR EXCHNG TRADED FD VI
33740U455
$660,503 20,133 Nuova
FRANKLIN TEMPLETON ETF TR
35473P769
$660,015 19,868 Nuova
PGIM ETF TR
69344A784
$659,663 13,301 Nuova
TIDAL TRUST III
45259A688
$659,627 26,523 Nuova
DIREXION SHARES ETF TRUST
25461A486
$656,924 22,482 +6%
PROFESIONALLY MANAGED PORTFO
74316P637
$656,775 18,669 +191%
SSGA ACTIVE TR
78470P747
$656,616 26,547 Nuova
GMO ETF TRUST
90139K209
$656,289 20,581 +3%
CAMBRIA ETF TR
132061839
$656,022 21,977 Nuova
NATWEST GROUP PLC
639057207
$655,600 44,000 -96%
ALPS ETF TR
00162Q338
$655,418 16,662 Nuova
DBX ETF TR
233051846
$653,092 28,903 +136%
GLOBAL X FDS
37960A867
$652,389 21,850 Nuova
HERON THERAPEUTICS INC
427746102
$651,976 814,869 -76%
NATIONAL CINEMEDIA INC
635309206
$651,501 213,607 -30%
MANAGED PORTFOLIO SERIES
56167R606
$651,161 17,473 Nuova
ROUNDHILL ETF TRUST
77926X825
$650,595 23,963 Nuova
ISHARES TR
46436E528
$648,338 28,250 +8%
CION INVT CORP
17259U204
$648,117 94,754 -57%
DIVERSIFIED HEALTHCARE TR
25525P107
$648,064 97,600 -25%
CANTOR EQUITY PARTNERS I INC
G1827K107
$647,861 61,701 -18%
GOLDMAN SACHS ETF TR
38149W507
$647,842 13,669 Invariata
2023 ETF SERIES TRUST
900934795
$647,798 24,317 Nuova
SIMPLIFY EXCHANGE TRADED FUN
82889N277
$646,786 25,449 Nuova
2023 ETF SERIES TRUST
900934209
$646,659 15,688 Nuova
IMMERSION CORP
452521107
$645,372 118,200 +34%
GOLDMAN SACHS ETF TR
38149W465
$645,260 12,841 -52%
PEPGEN INC
713317105
$643,788 363,722 -66%
HARBOR ETF TRUST
41151J109
$643,638 14,365 Nuova
ALPS ETF TR
00162Q718
$643,065 15,439 Nuova
AEBI SCHMIDT HLDG AG
H00501108
$641,870 66,104 Nuova
INNOVATOR ETFS TRUST
45782C276
$641,804 8,987 Nuova
INVESCO EXCH TRD SLF IDX FD
46138J635
$641,785 27,693 -51%
INVESCO EXCHANGE TRADED FD T
46137Y401
$641,729 5,826 -31%
TIDAL TRUST II
88636J659
$641,277 81,900 -9%
BNY MELLON ETF TRUST II
05613H209
$640,842 18,863 Invariata
PROSHARES TR
74347G515
$640,749 18,660 +18%
ARROW FINL CORP
042744102
$639,072 19,037 -26%
ORIX CORP
686330101
$638,787 21,300 +80%
RUSSELL INVTS EXCHANGE TRADE
78249U209
$638,488 21,927 -42%
PRECISION BIOSCIENCES INC
74019P207
$637,736 115,952 +874%
DIMENSIONAL ETF TRUST
25434V849
$635,408 13,257 +46%
ISHARES TR
46438G703
$635,087 24,203 -7%
UNIFIED SER TR
90470L519
$634,979 27,948 Nuova
INNOVATOR ETFS TRUST
45782C649
$634,291 16,403 +43%
SCHWAB STRATEGIC TR
808524656
$634,156 12,200 +49%
LATTICE STRATEGIES TR
518416870
$633,191 10,033 -21%
DUNE ACQUISITION CORP II
G2867S109
$632,547 61,234 +1%
BYRNA TECHNOLOGIES INC
12448X201
$631,786 68,822 -66%
BLUE FOUNDRY BANCORP
09549B104
$631,548 47,700 Nuova
WESTERN ASSET HIGH INCOM FD
95766J102
$631,280 158,613 +843%
FIRST TR EXCH TRADED FD III
33739P202
$631,177 21,964 Nuova
GOLDMINING INC
38149E101
$630,671 529,975 +53%
AMERICAN CENTY ETF TR
02507A507
$630,028 11,104 +108%
FIRST TR EXCHNG TRADED FD VI
33740U323
$629,907 20,271 -12%
BARCLAYS BANK PLC
06748M188
$629,304 10,400 Nuova
WISDOMTREE TR
97717Y774
$629,030 18,673 -7%
AGORA INC
00851L103
$628,407 177,516 -14%
RANPAK HOLDINGS CORP
75321W103
$627,514 175,774 +48%
MYERS INDS INC
628464109
$627,118 29,609 +7%
J P MORGAN EXCHANGE TRADED F
46654Q690
$627,089 9,461 Nuova
XFLH CAP CORP
G9834D123
$626,862 62,938 Nuova
FRANKLIN TEMPLETON ETF TR
35473P496
$624,375 24,975 Nuova
ETF OPPORTUNITIES TRUST
26923N199
$624,218 35,568 Nuova
ADVISORSHARES TR
00768Y818
$623,340 4,902 +30%
PACER FDS TR
69374H527
$623,147 21,558 -15%
IMAGENEBIO INC
45175G207
$621,725 124,345 +4%
CANDEL THERAPEUTICS INC
137404109
$621,153 126,766 -69%
BERTO ACQUISITION CORP
G1051H101
$620,986 60,584 +1%
WISDOMTREE TR
97717W422
$620,160 15,200 -91%
ISHARES TR
464289123
$619,440 14,525 Nuova
KRANESHARES TRUST
500767330
$619,016 69,928 Nuova
TWIN DISC INC
901476101
$618,759 41,059 +82%
SPDR SERIES TRUST
78468R630
$616,652 6,200 -42%
FIRST TR EXCHNG TRADED FD VI
33740U554
$616,326 19,468 Nuova
TIDAL TRUST II
88636V728
$613,571 47,380 +58%
INNOVATOR ETFS TRUST
45782C714
$612,695 20,501 Nuova
CPS TECHNOLOGIES CORP
12619F104
$612,335 163,726 +948%
1ST FINL BANCORP
320209109
$612,078 21,954 -67%
BLACKROCK ETF TRUST
09290C749
$611,966 6,088 -46%
MORGAN STANLEY ETF TRUST
61774R114
$611,094 12,408 Nuova
IPERIONX LTD
44916E100
$610,846 23,458 -22%
INNOVATOR ETFS TRUST
45782C698
$610,353 12,495 Nuova
HARBOR ETF TRUST
41151J786
$610,090 17,391 +80%
ETF SER SOLUTIONS
26922A404
$609,922 16,886 -34%
FRANKLIN TEMPLETON ETF TR
35473P363
$608,655 24,729 -15%
AIRSHIP AI HLDGS INC
008940108
$608,618 269,300 -30%
TRON INC
85237B101
$608,133 267,900 +32%
ESCALADE INC
296056104
$607,698 35,393 +174%
FIRST TR EXCHNG TRADED FD VI
33740U588
$607,348 17,707 -4%
ISHARES TR
46435U440
$607,257 12,792 -46%
INVESCO EXCH TRD SLF IDX FD
46138J742
$606,532 10,473 -20%
WISDOMTREE TR
97717W562
$606,377 10,446 Nuova
NUVECTIS PHARMA INC
67080T108
$606,225 78,425 -12%
GIGCAPITAL7 CORP
G38648104
$604,963 56,804 -92%
ISHARES TR
46435U366
$604,767 15,696 -94%
REZOLUTE INC
76200L309
$604,217 198,104 +7%
ETF OPPORTUNITIES TRUST
26923N181
$603,440 38,000 -13%
KRANESHARES TRUST
500767363
$603,034 18,402 +58%
INVESCO EXCH TRADED FD TR II
46138E156
$602,887 10,605 +28%
TIDAL TRUST II
88636Y508
$602,494 28,980 Nuova
FIRST TR EXCHANGE-TRADED FD
33737K205
$602,473 5,383 Nuova
ISHARES TR
46438G109
$602,127 18,915 -74%
PEOPLES BANCORP N C INC
710577107
$599,970 15,321 Nuova
COMMUNITY WEST BANCSHARES NE
203937107
$599,439 25,727 -64%
FIRST TR EXCHNG TRADED FD VI
33740F193
$597,798 25,820 +88%
THEMES ETF TR
882927676
$596,426 43,100 +107%
ACHIEVE LIFE SCIENCE INC
004468500
$596,232 202,800 +8%
FIRST TR EXCHNG TRADED FD VI
33740F672
$595,052 13,702 Nuova
ALPS ETF TR
00162Q106
$595,038 16,724 -24%
EAGLE BANCORPORATION INC
268948106
$594,393 23,900 -90%
NORTH EUROPEAN OIL RTY TR
659310106
$594,126 66,014 +65%
ZEPP HEALTH CORPORATION
98945L204
$593,915 49,700 -41%
INNOVATOR ETFS TRUST
45782C342
$593,848 16,382 Nuova
ALPS ETF TR
00162Q528
$593,786 9,475 Invariata
SPDR INDEX SHS FDS
78463X533
$593,187 15,025 -91%
INVESCO EXCH TRD SLF IDX FD
46139W502
$593,180 24,113 +128%
TIDAL TRUST II
88636X724
$592,565 18,956 -17%
VANECK FDS
92107P764
$592,471 26,942 Nuova
EXCHANGE TRADED CONCEPTS TRU
301505368
$592,246 23,446 +43%
FRANKLIN TEMPLETON ETF TR
35473P439
$591,963 20,590 -52%
INNOVATOR ETFS TRUST
45784N817
$591,433 21,696 Nuova
TURTLE BEACH CORP
900450206
$591,162 58,300 -52%
FIDELITY COVINGTON TRUST
316092378
$589,891 16,034 -52%
VANECK ETF TRUST
92189F387
$589,115 25,998 +164%
RYERSON HLDG CORP
783754104
$588,774 26,191 -6%
ADVISORS INNER CIRCLE FD II
00791R608
$588,465 14,757 -53%
INVESCO ACTIVELY MANAGED EXC
46090A101
$588,192 6,352 Nuova
J P MORGAN EXCHANGE TRADED F
46641Q746
$588,088 14,982 Nuova
PROSHARES TR II
74347W270
$588,051 32,000 Nuova
PACER FDS TR
69374H667
$586,659 10,852 Nuova
ISHARES TR
46435U325
$586,654 22,979 +53%
ISHARES TR
46436E668
$585,670 14,448 +60%
TIDAL TRUST I
886364645
$585,269 14,431 Nuova
DIREXION SHARES ETF TRUST
25460G328
$584,978 141,299 -83%
DBX ETF TR
23306X829
$584,639 14,658 Nuova
PACER FDS TR
69374H584
$584,551 19,197 Nuova
DBX ETF TR
23306X811
$584,322 19,376 +86%
FORTRESS BIOTECH INC
34960Q307
$584,195 209,389 +40%
QUANEX BLDG PRODS CORP
747619104
$583,881 32,492 +26%
ISHARES TR
46438G737
$583,520 17,107 Invariata
ITAU UNIBANCO HLDG S A
465562106
$582,946 69,564 -96%
NET POWER INC
64107A105
$582,786 373,581 +131%
SPDR INDEX SHS FDS
78463X541
$582,426 7,800 Nuova
PACER FDS TR
69374H246
$581,769 22,113 Nuova
T ROWE PRICE ETF INC
87283Q842
$581,749 14,799 -3%
WISDOMTREE TR
97717X131
$581,709 14,492 -95%
GREEN DOT CORP
39304D102
$581,488 51,826 -85%
SHORE BANCSHARES INC
825107105
$580,892 31,097 -4%
GEOSPACE TECHNOLOGIES CORP
37364X109
$579,720 47,518 -73%
GRANITESHARES ETF TR
38747R702
$578,270 39,771 +179%
CVRX INC
126638105
$578,261 61,127 -73%
BONDBLOXX ETF TRUST
09789C861
$577,700 11,666 +82%
FIRST TR EXCHNG TRADED FD VI
33740F219
$577,559 24,682 Nuova
THEMES ETF TR
882927627
$576,747 27,901 -40%
VERIS RESIDENTIAL INC
554489104
$575,969 30,523 -78%
KORE GROUP HLDGS INC
50066V305
$575,422 63,794 Nuova
ISHARES TR
46435G250
$574,801 12,356 Nuova
CARDIFF ONCOLOGY INC
14147L108
$574,397 354,566 -52%
ETF SER SOLUTIONS
26922B865
$574,351 33,905 Nuova
ISHARES U S ETF TR
46431W531
$574,170 21,982 -52%
ETF SER SOLUTIONS
26922A131
$573,726 6,092 +23%
INNOVATOR ETFS TRUST
45782C409
$573,671 10,757 Nuova
XEROX HOLDINGS CORP
98421M106
$573,018 444,200 -67%
INVESCO EXCH TRADED FD TR II
46138E545
$571,871 19,959 -86%
DIMENSIONAL ETF TRUST
25434V708
$571,242 14,700 -28%
FIRST TR EXCHNG TRADED FD VI
33740U711
$570,126 14,960 +34%
FVCBANKCORP INC
36120Q101
$568,683 37,438 +17%
ADVISORS INNER CIRCLE FD III
00774Q346
$568,255 14,135 -30%
NORTHERN LTS FD TR IV
66538H393
$568,177 19,804 Nuova
EIGHTCO HOLDINGS INC
22890A302
$567,201 608,454 -42%
BURKE HERBERT FINL SVCS CORP
12135Y108
$566,590 9,096 +81%
CARIBOU BIOSCIENCES INC
142038108
$566,073 297,933 -42%
OP BANCORP
67109R109
$565,809 42,542 +29%
AMERANT BANCORP INC
023576101
$565,040 25,637 +102%
CHICAGO ATLANTIC BDC INC
828174102
$564,715 60,462 +67%
INNOVATOR ETFS TRUST
45782C862
$563,289 8,182 -67%
FIRST TR EXCHANGE-TRADED FD
33733E203
$562,296 2,800 +172%
PACER FDS TR
69374H295
$561,339 23,937 -14%
SPDR SERIES TRUST
78468R200
$560,966 18,225 Nuova
REAL ASSET ACQUISITION CORP
G73944103
$560,743 53,455 Nuova
INNOVATOR ETFS TRUST
45783Y806
$558,290 14,557 Nuova
ETF OPPORTUNITIES TRUST
26923N439
$558,220 19,604 +3%
ALAMO GROUP INC
011311107
$558,094 3,383 -79%
NEW YORK LIFE INVTS ACTIVE E
45409F686
$558,014 21,754 +55%
KEZAR LIFE SCIENCES INC
49372L209
$558,006 75,203 Nuova
TCW ETF TRUST
29287L106
$557,677 7,309 Nuova
LAKELAND INDS INC
511795106
$556,920 68,000 -36%
INVESTMENT MANAGERS SER TR I
46092D459
$555,551 29,056 -27%
THIRD COAST BANCSHARES INC
88422P109
$555,193 14,676 -42%
INVESTMENT MANAGERS SER TR I
46141T117
$555,047 26,687 Nuova
FIRST TR EXCHANGE-TRADED FD
33739Q705
$554,953 11,393 -60%
ZENATECH INC
98936T208
$554,638 242,200 -46%
GENCOR INDS INC
368678108
$554,310 36,954 +16%
TIDAL TRUST II
88636V421
$552,662 28,111 -7%
AB ACTIVE ETFS INC
00039J301
$551,959 7,471 +31%
TOUCHSTONE ETF TRUST
89157W301
$551,292 21,773 Nuova
ADVISORS INNER CIRCLE FD II
00764Q611
$550,206 21,654 -37%
OPUS GENETICS INC
67577R102
$550,095 120,900 +51%
ETF OPPORTUNITIES TRUST
26923N538
$549,913 16,347 +18%
ARES COML REAL ESTATE CORP
04013V108
$549,120 114,400 +21%
ISHARES TR
46438G596
$548,614 16,465 Nuova
TITAN AMER SA
B9151N105
$547,279 36,534 Nuova
NET LEASE OFFICE PROPERTIES
64110Y108
$547,200 47,500 -30%
DOUBLEDOWN INTERACTIVE CO LT
25862B109
$545,650 64,574 -54%
ETF SER SOLUTIONS
26922A719
$545,628 12,300 -78%
GINKGO BIOWORKS HOLDINGS INC
37611X209
$543,731 88,700 -69%
GERDAU SA
373737105
$543,597 150,581 -98%
NEXPOINT DIVERSIFIED REL ET
65340G205
$543,425 116,365 +290%
UNIFIED SER TR
90470L444
$543,035 12,612 -40%
BHAV ACQUISITION CORP
G1R59W127
$541,850 54,348 Nuova
ISHARES TR
464288489
$540,978 24,194 +92%
PROSHARES TR
74347B698
$540,893 7,863 -38%
PACER FDS TR
69374H477
$540,406 16,661 Nuova
UBS AG LONDON BRANCH
90274D382
$539,485 18,583 +16%
NEW HORIZON AIRCRAFT LTD
64550A107
$539,172 382,391 Nuova
BANK MONTREAL MEDIUM
063679856
$538,676 6,174 Nuova
HYLIION HOLDINGS CORP
449109107
$538,520 305,977 -41%
TIDAL TRUST II
88634T428
$537,884 46,570 Nuova
FARADAY FUTURE INTLGT ELEC I
307359885
$537,643 1,956,490 -57%
FIDELITY COVINGTON TRUST
316092337
$536,677 19,298 Nuova
PROGYNY INC
74340E103
$536,568 31,600 -99%
AMERICAN WELL CORP
03044L204
$535,931 101,888 +27%
REPUBLIC BANCORP INC KY
760281204
$535,898 7,596 +76%
GLOBAL X FDS
37960A412
$535,503 10,705 Nuova
SERA PROGNOSTICS INC
81749D107
$535,329 263,709 -74%
TAYLOR DEVICES INC
877163105
$534,546 9,378 -5%
SANARA MEDTECH INC
79957L100
$534,521 31,113 +126%
SCHWAB STRATEGIC TR
808524649
$534,494 20,977 Nuova
FIRST TR EXCHANGE TRADED FD
33738R746
$533,663 18,271 -9%
GRAVITY CO LTD
38911N206
$533,290 8,607 +38%
BNY MELLON ETF TRUST
09661T206
$533,219 4,834 Nuova
DEFINITIVE HEALTHCARE CORP
24477E103
$533,092 433,408 -38%
FRANKLIN TEMPLETON ETF TR
35473P652
$532,456 14,644 Nuova
PROSHARES TR II
74347W874
$531,446 41,782 +296%
BITWISE ETHEREUM ETF
091955104
$530,940 35,396 -85%
AN2 THERAPEUTICS INC
037326105
$530,917 155,239 +303%
NUSHARES ETF TR
67092P680
$530,777 21,550 +107%
FIRST TR EXCHNG TRADED FD VI
33740F482
$530,672 12,729 +7%
J P MORGAN EXCHANGE TRADED F
46654Q658
$529,740 10,051 -50%
ISHARES TR
46438G851
$529,135 20,367 -34%
HARBOR ETF TRUST
41151J869
$528,846 18,040 +5%
TIDAL TRUST III
45259A282
$528,665 21,725 Nuova
BLACKROCK ETF TRUST
09290C863
$528,576 17,156 Nuova
XPONENTIAL FITNESS INC
98422X101
$528,364 87,768 -75%
AIM ETF PRODUCTS TRUST
00888H596
$527,913 17,667 Nuova
SERES THERAPEUTICS INC
81750R201
$527,765 59,500 -52%
ISHARES TR
464287671
$527,374 3,400 -33%
SPDR SERIES TRUST
78468R853
$526,688 10,900 -31%
AVAX ONE TECHNOLOGY LTD
05353F108
$526,684 880,595 +255%
ROCKY BRANDS INC
774515100
$526,592 13,600 Nuova
ISHARES TR
46436E684
$526,456 17,705 Nuova
INVESCO EXCHANGE TRADED FD T
46137V878
$526,436 8,840 Nuova
COLUMBUS MCKINNON CORP N Y
199333105
$525,986 36,200 -71%
INVESCO EXCHANGE TRADED FD T
46137V324
$525,936 9,134 Nuova
STRATEGY SHS
86280R803
$525,912 11,265 Nuova
FILANA THERAPEUTICS INC
14817C107
$525,759 311,100 -44%
BNY MELLON ETF TRUST
09661T859
$525,580 10,557 -64%
ROUNDHILL ETF TRUST
77926X676
$525,358 5,252 +92%
GLOBAL X FDS
37966B406
$524,593 10,478 Nuova
ISHARES TR
46435G441
$523,555 11,305 Nuova
ISHARES TR
46436E478
$522,954 23,631 Nuova
DIREXION SHARES ETF TRUST
25461A668
$522,857 35,472 -6%
TIDAL TRUST II
88636R206
$522,573 21,063 Nuova
FIRST TR EXCHNG TRADED FD VI
33744U303
$522,569 30,781 -26%
SPDR INDEX SHS FDS
78463X772
$522,415 11,456 Nuova
MAINSTREET BANCSHARES INC
56064Y100
$522,100 23,518 -35%
ISHARES TR
46436E320
$521,500 17,680 -5%
AIM ETF PRODUCTS TRUST
00888H570
$520,781 18,241 Nuova
FUNDX INVT TR
360876882
$520,093 6,368 Nuova
PLAYTIKA HLDG CORP
72815L107
$519,276 186,790 -95%
SEI EXCHANGE TRADED FUNDS
81589A502
$517,955 18,748 +151%
SPDR SERIES TRUST
78468R515
$516,931 20,844 Nuova
EA SERIES TRUST
02072L458
$516,915 25,957 -3%
BGSF INC
05601C105
$516,183 79,781 +326%
ALPS ETF TR
00162Q387
$516,117 9,271 Nuova
OMEGA FLEX INC
682095104
$515,978 16,623 +10%
ROUNDHILL ETF TRUST
77926X536
$515,641 15,100 Nuova
CODEXIS INC
192005106
$515,561 316,295 -39%
ETF OPPORTUNITIES TRUST
26923Q614
$515,527 111,105 +496%
INNOVATOR ETFS TRUST
45783Y160
$515,440 17,646 Nuova
VANECK ETF TRUST
92189H789
$515,300 16,460 -37%
NUVEEN VA QUALITY MUN INCOM
67064R102
$514,461 45,407 -15%
ISHARES INC
464286293
$513,963 10,649 -24%
INVESTMENT MANAGERS SER TR I
46144X131
$513,670 15,500 -82%
SPROTT FDS TR
85208P402
$513,501 15,523 Nuova
WISDOMTREE TR
97717W794
$512,889 7,544 -79%
INVESCO EXCHANGE TRADED FD T
46137V456
$512,690 7,873 Nuova
STRATEGY SHS
86280R878
$511,458 17,367 Nuova
PACER FDS TR
69374H378
$511,401 16,982 -51%
ISHARES TR
46436E403
$511,376 7,994 Nuova
READY CAPITAL CORP
75574U101
$511,229 315,573 -91%
SIGHT SCIENCES INC
82657M105
$510,093 135,303 -56%
GABELLI EQUITY TR INC
362397101
$509,992 91,070 +96%
COLUMBIA ETF TR I
19761L607
$509,858 24,859 Nuova
ETF OPPORTUNITIES TRUST
26923Q739
$509,594 18,265 Nuova
PACER FDS TR
69374H741
$509,542 16,321 -90%
PACER FDS TR
69374H279
$509,437 21,079 -6%
VOC ENERGY TR
91829B103
$509,416 147,230 Nuova
ARMADA ACQUISITION CORP II
G0R38G104
$509,242 49,393 -67%
WEN ACQUISITION CORP
G9R39C129
$508,387 49,358 -75%
FIRST TR EXCHNG TRADED FD VI
33740U851
$508,000 15,476 -14%
DYNAGAS LNG PARTNERS LP
Y2188B108
$507,950 118,680 +47%
AMPLIFY ETF TR
032108599
$507,180 8,813 Nuova
ONESPAN INC
68287N100
$506,503 48,101 +24%
CHILDRENS PL INC NEW
168905107
$506,352 150,700 -68%
PRIMEENERGY RESOURCES CORP
74158E104
$505,983 2,173 Nuova
ANGEL OAK FUNDS TRUST
03463K745
$504,857 46,190 Nuova
INVESTMENT MANAGERS SER TR I
46092D368
$503,880 38,000 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F540
$503,709 43,274 +10%
FRANKLIN TEMPLETON ETF TR
35473P421
$503,435 12,255 Nuova
FIDELITY COVINGTON TRUST
316092618
$503,360 10,370 Nuova
FIRST TR EXCHANGE-TRADED FD
33734X143
$502,966 4,582 Nuova
CITIZENS & NORTHN CORP
172922106
$502,047 22,473 -29%
GRANITESHARES ETF TR
38747R884
$502,014 18,600 -54%
TIDAL TRUST II
88634T352
$501,721 44,131 Nuova
NUSHARES ETF TR
67092P508
$501,684 12,940 Nuova
TOUCHSTONE ETF TRUST
89157W889
$501,580 16,944 Nuova
CREXENDO INC
226552107
$501,553 81,289 +40%
STAR HLDGS
85512G106
$501,376 66,232 -52%
SABRE CORP
78573M104
$500,975 345,500 -20%
VERA BRADLEY INC
92335C106
$500,336 158,334 +536%
WW INTL INC
98262P200
$500,136 36,400 -62%
CARLYLE SECURED LENDING INC
872280102
$499,958 45,700 -64%
TRUTH SOCIAL FUNDS
89844T109
$499,915 20,464 Nuova
GLOBAL X FDS
37950E408
$499,565 25,129 +57%
INNOVATOR ETFS TRUST
45782C433
$499,491 10,471 Nuova
WISDOMTREE TR
97717Y410
$499,384 9,968 Nuova
GLOBAL X FDS
37966B505
$499,275 9,981 Nuova
GLOBAL X FDS
37966B604
$498,397 9,948 Nuova
LCNB CORP
50181P100
$498,163 31,954 -9%
LIFEZONE METALS LIMITED
G5568L109
$498,056 148,231 Nuova
YOUDAO INC
98741T104
$497,781 50,639 Nuova
INVESCO EXCH TRADED FD TR II
46138G466
$497,747 15,800 Nuova
BLAIZE HLDGS INC
092915107
$497,739 273,483 -60%
GLOBAL X FDS
37966B307
$497,683 9,948 Nuova
ASTEC INDS INC
046224101
$496,997 9,231 +45%
WEN ACQUISITION CORP
G9R39C103
$495,949 48,718 -2%
GOLDMAN SACHS ETF TR
38149W457
$495,654 9,700 -90%
PRINCIPAL EXCHANGE TRADED FD
74255Y102
$495,425 26,130 -32%
USCB FINANCIAL HOLDINGS INC
90355N101
$494,962 26,697 -26%
TRI CONTL CORP
895436103
$494,857 15,665 -66%
ANGEL STUDIOS INC
034948109
$494,710 162,200 -49%
ASURE SOFTWARE INC
04649U102
$494,362 57,484 -59%
ENEL CHILE SA
29278D105
$494,084 125,402 +458%
PROSHARES TR
74347R693
$493,920 6,300 -41%
ENVELA CORP
29402E102
$493,819 29,641 Nuova
VANGUARD WELLINGTON FD
921935508
$493,736 2,505 Nuova
INNOVATOR ETFS TRUST
45784N809
$493,538 18,589 Nuova
RENEW ENERGY GLOBAL PLC
G7500M104
$493,019 107,646 Nuova
KULR TECHNOLOGY GROUP INC
50125G307
$492,258 207,704 -47%
EVE HLDG INC
29970N104
$492,032 198,400 -70%
ALPHA COGNITION INC
02074J501
$491,844 89,589 -36%
SIFY TECHNOLOGIES LTD
82655M206
$491,686 38,443 -11%
DIREXION SHARES ETF TRUST
25459Y280
$491,530 13,000 Nuova
AMERICAN CENTY ETF TR
025072380
$490,549 8,257 Nuova
BONDBLOXX ETF TRUST
09789C663
$489,983 9,767 Nuova
FRANKLIN TEMPLETON ETF TR
35473P397
$489,949 19,469 Nuova
PROSHARES TR
74347B169
$489,496 9,200 +66%
AMERICAN CENTY ETF TR
025072562
$488,261 11,754 Nuova
PROSHARES TR
74349Y399
$488,167 21,354 -12%
AMPLITECH GROUP INC
03211Q200
$488,034 256,860 -49%
FIRST TR EXCHNG TRADED FD VI
33740F243
$487,143 21,125 -49%
INNOVATOR ETFS TRUST
45783Y533
$486,210 14,828 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U307
$485,986 9,656 Nuova
CAMBRIA ETF TR
132061201
$485,640 6,440 -60%
TIDAL TRUST II
88636J147
$485,589 17,072 -15%
FLEXSHARES TR
33939L779
$485,560 23,451 -50%
AIM ETF PRODUCTS TRUST
00888H612
$485,323 16,915 Nuova
HORIZON FDS
44053A465
$484,332 18,167 -72%
REGIONAL MGMT CORP
75902K106
$483,944 15,006 Nuova
GMO ETF TRUST
90139K886
$483,242 9,660 -14%
ISHARES TR
46438G638
$483,095 19,678 +113%
ROUNDHILL ETF TRUST
77926X502
$483,011 22,935 +20%
OPAL FUELS INC
68347P103
$481,993 191,267 Nuova
TIDAL TRUST II
88636R347
$481,600 14,000 Nuova
NOMURA ETF TR
555927409
$481,450 18,794 -33%
FIRST TR EXCHANGE TRADED FD
33738R845
$481,226 12,467 -21%
SSGA ACTIVE TR
78470P663
$481,008 11,959 Nuova
ISHARES TR
464287473
$480,942 3,300 -88%
SIMPLIFY EXCHANGE TRADED FUN
82889N491
$479,217 20,273 Nuova
LAZARD ACTIVE ETF TR
52110K103
$478,792 14,543 -73%
ADVISORS INNER CIRCLE FD II
00791R830
$478,375 19,340 +26%
VOX ROYALTY CORP
92919F103
$478,334 91,285 +6%
INNOVATOR ETFS TRUST
45783Y228
$478,276 16,329 Nuova
PGIM ETF TR
69344A826
$477,971 8,552 -29%
DINE BRANDS GLOBAL INC
254423106
$477,568 18,200 -95%
VANECK ETF TRUST
92189F171
$477,407 19,926 Nuova
SPROTT FDS TR
85208P600
$476,794 29,781 Nuova
SECURITY NATL FINL CORP
814785309
$476,607 50,275 +53%
FIRST TR EXCHANGE TRADED FD
33738R878
$476,131 13,671 Nuova
MCCORMICK & CO INC
579780107
$475,789 9,444 -39%
ISHARES TR
46438G299
$475,720 19,221 -19%
COLLABORATIVE INVESTMNT SER
19423L441
$475,145 18,979 Nuova
GRANITESHARES ETF TR
38747R611
$474,002 136,600 +11%
PIMCO ETF TR
72201R783
$473,998 5,082 Nuova
LUFAX HOLDING LTD
54975P201
$473,671 253,300 -71%
ROCKET PHARMACEUTICALS INC
77313F106
$473,276 132,200 -90%
GLOBAL X FDS
37966B208
$472,730 9,474 Nuova
FRANKLIN TEMPLETON ETF TR
35473P462
$471,423 31,960 -15%
FLEXSHARES TR
33939L597
$471,327 8,061 Nuova
ROUNDHILL ETF TRUST
77926X684
$470,949 15,400 Nuova
BANK MONTREAL MEDIUM
063679427
$470,868 10,027 Nuova
VANGUARD SCOTTSDALE FDS
92206C706
$470,445 7,900 -84%
PACER FDS TR
69374H550
$470,090 14,741 Nuova
WISDOMTREE BITCOIN FD
97720F101
$470,059 6,555 -25%
SOUTH PLAINS FINANCIAL INC
83946P107
$469,909 11,215 -10%
INVESCO EXCHANGE TRADED FD T
46137V563
$469,072 21,900 +47%
BROWN FORMAN CORP
115637100
$468,825 17,500 -74%
TIDAL TRUST II
88636R586
$468,786 22,585 Nuova
CINEVERSE CORP
172406308
$468,518 195,216 +430%
BANK MONTREAL MEDIUM
063679567
$467,983 22,456 +10%
STRATEGY SHS
86280R761
$467,091 18,517 Nuova
IDENTIV INC
45170X205
$466,929 126,197 +378%
STARBOARD INVT TR
85521B742
$466,915 17,540 Nuova
DAVIS FUNDAMENTAL ETF TR
23908L405
$466,222 17,322 Nuova
MANAGED PORTFOLIO SERIES
56167R820
$466,209 18,891 Nuova
GLOBAL X FDS
37954Y418
$465,758 20,853 Nuova
FIDELITY COVINGTON TRUST
316092303
$465,737 8,900 Nuova
CARPARTS COM INC
14427M107
$465,662 592,596 +1500%
SONIC AUTOMOTIVE INC
83545G102
$465,247 6,785 -50%
LISTED FDS TR
53656G191
$464,640 121,000 -69%
BTQ TECHNOLOGIES CORP
055869101
$464,313 173,900 -75%
AMERICAN CENTY ETF TR
025072752
$464,289 6,298 +107%
FIRST TR EXCHNG TRADED FD VI
33740F797
$464,148 14,125 Nuova
CORE MOLDING TECHNOLOGIES IN
218683100
$463,725 20,702 Nuova
BRAEMAR HOTELS & RESORTS INC
10482B101
$462,402 195,933 +154%
INVESCO EXCH TRADED FD TR II
46138E578
$461,556 6,741 Nuova
PARK DENTAL PARTNERS INC
700402100
$460,510 27,444 -17%
GUGGENHEIM ACTIVE ALLOC FD
40170T106
$459,355 30,181 Nuova
EA SERIES TRUST
02072L573
$459,234 13,766 Nuova
TEMA ETF TRUST
87975E883
$459,089 13,629 Nuova
MANAGER DIRECTED PORTFOLIOS
56170L562
$457,973 19,990 Nuova
JOHN HANCOCK EXCHANGE TRADED
47804J685
$457,377 18,189 Nuova
GRACE THERAPEUTICS INC
00439U104
$457,176 98,742 +210%
RBB FD INC
74933W643
$456,702 16,772 +108%
HUTCHMED CHINA LTD
44842L103
$456,489 30,514 +33%
AIRSCULPT TECHNOLOGIES INC
009496100
$456,479 161,300 -6%
PUTNAM ETF TRUST
746729102
$456,061 13,496 -37%
OOMA INC
683416101
$455,910 31,334 +92%
INNOVATOR ETFS TRUST
45782C540
$455,898 10,727 Nuova
INVESTMENT MANAGERS SER TR I
46152A718
$455,886 32,680 -83%
KRANESHARES TRUST
500767181
$455,613 4,651 +21%
ISHARES TR
46436E858
$455,115 19,861 Nuova
FRIEDMAN INDS INC
358435105
$454,483 25,648 Nuova
NCS MULTISTAGE HLDGS INC
628877201
$454,277 7,346 -4%
FRANKLIN XRP TRUST
355233107
$454,158 31,128 Nuova
HAWTHORN BANCSHARES INC
420476103
$453,703 13,467 +13%
INVESCO EXCH TRADED FD TR II
46138E172
$453,427 14,391 Nuova
CALAMOS DYNAMIC CONV & INCOM
12811V105
$453,071 21,241 -30%
FIRST TR EXCHANGE-TRADED FD
33733E674
$452,560 26,298 +3%
ISHARES TR
464288695
$451,541 4,251 -73%
SUI GROUP HOLDINGS LIMITED
59982U200
$450,975 372,707 -37%
INNOVATOR ETFS TRUST
45782C672
$450,609 11,453 Nuova
VANGUARD SCOTTSDALE FDS
92206C649
$450,491 2,694 -51%
ISHARES INC
464286871
$450,255 19,500 -90%
J P MORGAN EXCHANGE TRADED F
46654Q591
$449,414 8,544 Nuova
ADVISORS INNER CIRCLE FD III
00775Y728
$448,946 14,089 Nuova
HIGH TIDE INC
42981E401
$448,153 195,700 -40%
GLOBAL X FDS
37960A222
$447,956 7,681 -17%
TWO RDS SHARED TR
90214Q725
$447,924 52,759 Nuova
EXCHANGE TRADED CONCEPTS TRU
301505723
$447,790 13,561 Nuova
LIVEONE INC
53814X300
$447,668 87,778 +101%
ISHARES TR
464287770
$447,336 5,400 -10%
INVESCO EXCHANGE TRADED FD T
46137V837
$447,237 3,704 Nuova
CLARUS CORP NEW
18270P109
$445,664 163,847 +19%
FIDELITY COVINGTON TRUST
316092154
$445,573 14,249 -2%
FIRST TR EXCHNG TRADED FD VI
33740F615
$445,242 10,501 -25%
INNOVATOR ETFS TRUST
45782C821
$445,228 11,643 Nuova
INVESCO EXCHANGE TRADED FD T
46137V506
$444,755 8,705 +99%
FIRST TR EXCHANGE-TRADED FD
33719L106
$444,132 27,377 -7%
FRANKLIN TEMPLETON ETF TR
35473P843
$443,237 13,467 +57%
KRANESHARES TRUST
500767850
$442,417 15,461 Nuova
AMERICAN CENTY ETF TR
025072307
$442,386 4,212 Nuova
YALLA GROUP LTD
98459U103
$442,099 70,963 -44%
PRO-DEX INC COLO
74265M205
$441,392 8,986 Nuova
FIRST TR EXCHANGE TRADED FD
33738R712
$441,166 15,856 -43%
ZIPRECRUITER INC
98980B103
$440,864 239,600 -56%
ETF SER SOLUTIONS
26922A222
$440,580 10,500 Nuova
JENA ACQUISITION CORP II
G5093B121
$440,466 41,165 +2%
TIDAL TRUST II
88636X484
$439,698 22,444 Nuova
NANO DIMENSION LTD
63008G203
$439,664 258,626 -78%
LISTED FDS TR
53656H835
$439,657 19,411 -30%
FIRST TR EXCHNG TRADED FD VI
33740U687
$439,065 11,276 Nuova
FIRST TR EXCHANGE-TRADED FD
33733E799
$437,061 17,223 -9%
INNOVATOR ETFS TRUST
45782C789
$436,737 8,790 Nuova
TIMOTHY PLAN
887432359
$435,561 9,379 Nuova
WISDOMTREE TR
97717Y543
$434,742 15,400 Nuova
MAN ETF SER TR
56164V105
$434,721 17,274 +12%
OXFORD SQUARE CAP CORP
69181V107
$434,535 245,500 Nuova
VANECK ETF TRUST
92189H839
$434,513 15,103 -51%
ISHARES TR
46435U473
$434,170 9,339 Nuova
LISTED FDS TR
53656F151
$434,161 11,679 Nuova
SCULLY ROYALTY LTD
G7T96K107
$433,447 55,428 +307%
ADVISOR MANAGED PORTFOLIOS
00777X520
$433,142 15,376 -12%
THEMES ETF TR
882927577
$433,066 44,600 Nuova
AGENUS INC
00847G804
$432,543 129,504 -74%
DIREXION SHARES ETF TRUST
25460E281
$432,249 14,900 -8%
INVESCO EXCHANGE TRADED FD T
46137V175
$431,874 7,582 Nuova
PACER FDS TR
69374H543
$431,532 15,184 Nuova
SPDR SERIES TRUST
78468R804
$430,468 2,417 -70%
IMMIX BIOPHARMA INC
45258H106
$429,746 47,173 +9%
HAGERTY INC
405166109
$429,708 40,808 -47%
ISHARES INC
464286756
$428,736 8,800 +18%
ETF OPPORTUNITIES TRUST
26923N702
$428,628 18,468 Nuova
TIDAL TRUST I
886364462
$428,521 10,237 Nuova
INNOVATOR ETFS TRUST
45784N858
$428,450 16,720 Nuova
INVESCO EXCH TRADED FD TR II
46138G300
$428,219 10,157 Nuova
RIVERNORTH FLEXIBLE MUNI INC
76883Y107
$427,659 33,807 -20%
NN INC
629337106
$427,070 294,531 +7%
ROUNDHILL ETF TRUST
77926X817
$427,038 69,100 -82%
ISHARES TR
46436E288
$426,704 17,647 -19%
PROSHARES TR
74348A814
$426,459 13,426 +15%
BILLIONTOONE INC
090168105
$426,276 5,400 -96%
AIM ETF PRODUCTS TRUST
00888H588
$425,980 14,699 Nuova
ISHARES TR
464289420
$425,448 4,591 -73%
PRELUDE THERAPEUTICS INC
74065P101
$425,373 124,378 Nuova
LAKESHORE ACQUISITION III CO
G5353S129
$424,935 40,586 -55%
TCW ETF TRUST
29287L841
$424,529 9,250 -54%
SPROTT FDS TR
85208P709
$423,698 31,929 Nuova
YATSEN HLDG LTD
985194208
$423,669 137,555 -43%
INNOVATOR ETFS TRUST
45783Y343
$423,658 14,594 Nuova
ALPS ETF TR
00162Q726
$423,326 5,100 Invariata
J P MORGAN EXCHANGE TRADED F
46654Q708
$423,271 7,197 Nuova
PARKE BANCORP INC
700885106
$422,478 14,876 -18%
TIDAL TRUST II
88636W262
$422,463 9,210 Nuova
WISDOMTREE TR
97717W786
$422,138 7,800 Nuova
VANECK ETF TRUST
92189F833
$421,978 30,667 Nuova
INSPIRED ENTMT INC
45782N108
$421,875 59,169 -32%
FRANKLIN TEMPLETON ETF TR
35473P819
$421,738 18,836 +29%
LEGG MASON ETF INVT
52468L877
$420,648 9,545 +8%
ADVISORSHARES TR
00768Y560
$420,562 6,494 Nuova
ISHARES TR
46436E676
$419,912 12,064 +86%
ISHARES TR
464287887
$419,659 2,900 -10%
BANKWELL FINL GROUP INC
06654A103
$419,407 8,644 -74%
GLOBUS MARITIME LIMITED NEW
Y27265126
$418,588 181,207 +52%
GRANITESHARES ETF TR
38747R389
$418,439 6,134 -18%
GLOBAL X FDS
37954Y657
$416,521 22,637 +82%
TIDAL TRUST II
88636W171
$415,949 17,149 Nuova
JOHN MARSHALL BANCORP INC
47805L101
$413,408 20,385 -34%
UPEXI INC
39959A205
$412,769 418,800 -70%
MILESTONE PHARMACEUTICALS IN
59935V107
$412,568 346,696 -68%
INVESCO EXCH TRADED FD TR II
46138E115
$412,172 6,861 +48%
AMES NATL CORP
031001100
$412,012 14,600 -14%
CROSS TIMBERS RTY TR
22757R109
$411,149 38,861 Nuova
AIM ETF PRODUCTS TRUST
00888H422
$409,916 16,748 Nuova
NOVABRIDGE BIOSCIENCES
44975P103
$409,875 166,616 +108%
ARBE ROBOTICS LTD
M1R95N100
$409,161 670,756 -34%
ROUNDHILL ETF TRUST
77926X486
$408,842 7,600 -38%
TEXAS CAPITAL FUNDS TRUST
88224A300
$408,823 12,352 +38%
BLACKROCK ETF TRUST
09290C780
$408,580 12,400 Nuova
UNITY BANCORP INC
913290102
$408,420 7,880 -65%
INVESCO EXCHANGE TRADED FD T
46137V852
$408,363 8,334 Nuova
VANGUARD MALVERN FDS
922020680
$408,314 5,391 Nuova
DIREXION SHARES ETF TRUST
25461A601
$408,276 56,005 Nuova
KNOT OFFSHORE PARTNERS LP
Y48125101
$408,240 40,500 -68%
REX ETF TR
761562842
$407,527 16,301 Nuova
COLUMBIA ETF TR I
19761L888
$407,409 21,688 Nuova
SILVERCREST ASSET MGMT GROUP
828359109
$407,339 30,308 Nuova
SOUND GROUP INC
53933L203
$406,808 24,100 -65%
TIDAL TRUST II
88634T816
$405,416 40,180 +89%
SSGA ACTIVE TR
78470P820
$405,415 16,181 -13%
THEMES ETF TR
882927395
$405,248 25,600 -18%
HUYA INC
44852D108
$404,577 122,599 -29%
PERMIAN BASIN RTY TR
714236106
$404,576 18,800 -95%
FIRST TR EXCHNG TRADED FD VI
33740U489
$404,473 18,452 Nuova
CARLSMED INC
14280C105
$403,585 44,595 Nuova
ALIGOS THERAPEUTICS INC
01626L204
$403,531 54,311 -16%
INNOVATOR ETFS TRUST
45783Y129
$403,244 13,930 Nuova
INVESCO EXCH TRADED FD TR II
46138E230
$402,729 11,689 -74%
GLOBAL X FDS
37960A560
$402,433 12,578 Nuova
GAMBLING COM GROUP LIMITED
G3R239101
$401,750 103,544 -81%
VANECK ETF TRUST
92189F353
$401,703 20,360 Nuova
KRANESHARES TRUST
500767827
$400,520 12,400 Nuova
BAOZUN INC
06684L103
$400,431 167,544 +15%
SPDR SERIES TRUST
78468R770
$399,406 3,327 Nuova
ISHARES TR
46438G521
$399,382 15,818 Nuova
ISHARES TR
46436E510
$398,319 8,279 Nuova
AUNA S A
L0415A103
$397,971 72,227 -36%
FIRST TR EXCHNG TRADED FD VI
33740U802
$397,803 10,004 +37%
APYX MEDICAL CORPORATION
03837C106
$397,775 107,798 Nuova
SPDR SERIES TRUST
78468R671
$397,158 4,643 Nuova
TUCOWS INC
898697206
$396,225 23,090 -63%
FIRST TR EXCHNG TRADED FD VI
33740U208
$395,899 7,235 -8%
FIRST TR EXCHNG TRADED FD VI
33740U661
$395,735 9,705 -46%
NOVONIX LIMITED
67010L100
$395,578 573,301 +30%
GRIFOLS S A
398438408
$395,554 49,321 +67%
KINDERCARE LEARNING COMPANIE
49456W105
$395,487 179,767 -72%
SOLARIS RES INC
83419D201
$395,487 46,094 -36%
RBB FUND TRUST
75526L662
$394,544 3,995 Nuova
KRANESHARES TRUST
500767397
$394,530 12,412 Nuova
FINVOLUTION GROUP
31810T101
$394,428 82,344 -90%
INTERGROUP CORP
458685104
$393,998 10,501 Nuova
FIRST TR EXCHANGE-TRADED FD
33733E740
$393,518 23,435 Nuova
NUSHARES ETF TR
67092P409
$393,053 9,568 +9%
STRATEGY INC
594972887
$392,951 5,558 Nuova
EA SERIES TRUST
02072Q622
$392,597 12,332 -10%
SMARTFINANCIAL INC
83190L208
$391,972 10,030 -81%
AIM ETF PRODUCTS TRUST
00888H448
$391,898 15,246 Nuova
MINERALS TECHNOLOGIES INC
603158106
$391,266 5,517 -80%
XENIA HOTELS & RESORTS INC
984017103
$390,845 26,355 -98%
GRAYSCALE CHAINLINK TR ETF
38963V106
$390,792 50,295 -27%
MATTHEWS ASIA FDS
577125834
$390,477 14,833 Nuova
GRAYSCALE XRP TR ETF
38965L106
$390,300 15,000 Nuova
TIDAL TRUST II
88636R727
$389,805 19,326 -80%
OATLY GROUP AB
67421J207
$389,680 38,430 -36%
HYPERION DEFI INC
30234E203
$389,526 112,906 +543%
RACKSPACE TECHNOLOGY INC
750102105
$389,477 397,506 +340%
COMPUGEN LTD
M25722105
$388,924 182,593 +46%
LEXINFINTECH HLDGS LTD
528877103
$388,879 178,385 -40%
COMMUNITY HEALTHCARE TR INC
20369C106
$387,716 24,400 -19%
FIRST TR EXCHANGE-TRADED FD
33733B100
$387,150 3,754 -86%
ETF SER SOLUTIONS
26922A321
$387,101 6,688 Nuova
INNOVATOR ETFS TRUST
45783Y699
$386,621 8,756 +57%
HOYNE BANCORP INC
44326H107
$384,746 26,580 -80%
FRONTVIEW REIT INC
35922N100
$384,244 24,838 -95%
REGIS CORPORATION
758932206
$384,053 15,555 Nuova
HOLLEY INC
43538H103
$383,943 125,063 -71%
AMERICAN CENTY ETF TR
025072794
$383,809 5,005 Nuova
SKILLSOFT CORP
83066P309
$383,758 89,454 Nuova
SURO CAPITAL CORP
86887Q109
$383,193 35,779 -44%
INVESCO EXCHANGE TRADED FD T
46137V522
$383,128 5,258 Nuova
PROSHARES TR
74348A707
$382,604 4,999 -4%
AMERICAN CENTY ETF TR
025072158
$381,624 4,921 -6%
ISHARES TR
46438G745
$381,454 10,304 Nuova
PROSPECT CAP CORP
74348T102
$381,070 146,004 -60%
TORO CORP
Y8900D108
$380,263 104,900 -17%
ISHARES TR
464288711
$379,896 4,400 -76%
EQUILLIUM INC
29446K106
$379,866 189,933 +128%
OMNIAB INC
68218J103
$378,816 241,284 -34%
TEMA ETF TRUST
87975E784
$378,521 14,950 +69%
PRECIPIO INC
74019L602
$378,051 15,116 Nuova
CSG SYS INTL INC
126349109
$377,477 4,722 -91%
PROSHARES TR
74347R735
$377,391 8,231 -6%
KLX ENERGY SERVICES HOLDINGS
48253L205
$376,818 144,930 +24%
TORRID HLDGS INC
89142B107
$376,639 211,595 +1080%
BLACKROCK ETF TRUST
09290C400
$376,611 13,018 Invariata
FIRST TR EXCHANGE-TRADED ALP
33737M201
$376,522 6,597 Nuova
INVESCO EXCHANGE TRADED FD T
46137V886
$376,242 3,466 -42%
LESAKA TECHNOLOGIES INC
64107N206
$375,729 73,817 +246%
ETF SER SOLUTIONS
26922A248
$375,626 15,214 Nuova
ATEA PHARMACEUTICALS INC
04683R106
$375,529 69,801 +146%
WISEKEY INTERNATIONAL HLDS L
97727L408
$375,258 61,117 Nuova
TIDAL TRUST II
88636J378
$375,254 40,700 +128%
EA SERIES TRUST
02072L599
$375,103 10,676 Nuova
PROSHARES TR
74347G788
$374,945 15,000 Nuova
INNOVATOR ETFS TRUST
45783Y442
$374,718 11,544 Nuova
AIM ETF PRODUCTS TRUST
00888H562
$374,407 13,188 Nuova
AIM ETF PRODUCTS TRUST
00888H836
$374,270 10,528 +14%
GOLDMAN SACHS ETF TR
38149W424
$374,020 9,574 +15%
GRANITESHARES ETF TR
38747R371
$373,477 87,261 -37%
WESTPORT FUEL SYSTEMS INC
960908507
$373,473 205,205 +58%
INNOVATOR ETFS TRUST
45784N437
$373,461 19,726 Nuova
TELOS CORP MD
87969B101
$372,889 88,995 -81%
AMPLIFY ETF TR
032108730
$372,605 10,386 -5%
BAYCOM CORP
07272M107
$372,454 12,530 +16%
AMERICAN CENTY ETF TR
025072281
$372,065 5,033 -82%
VANGUARD INSTL INDEX FD
922040852
$371,642 4,912 -71%
ORION PROPERTIES INC
68629Y103
$371,589 172,832 +48%
BONDBLOXX ETF TRUST
09789C820
$370,784 7,770 -60%
GRAFTECH INTL LTD SR NT
384313607
$370,066 54,582 -41%
EXCHANGE TRADED CONCEPTS TRU
301505350
$369,924 14,738 +4%
STRATUS PPTYS INC
863167201
$369,384 12,103 Nuova
SPDR SERIES TRUST
78468R697
$369,348 8,779 Nuova
TERRA INNOVATUM GLOBAL NV
N85083108
$369,344 79,600 -84%
BRIDGEWATER BANCSHARES INC
108621103
$368,850 20,839 -13%
NORTHERN LTS FD TR III
66538R748
$368,074 5,271 -64%
PACER FDS TR
69374H311
$367,650 12,939 Nuova
AGOMAB THERAPEUTICS NV
00860C102
$367,150 35,000 Nuova
AIM ETF PRODUCTS TRUST
00888H802
$366,989 10,060 Nuova
TIDAL TRUST II
88634T519
$366,932 10,207 Nuova
CONTEXT THERAPEUTICS INC
21077P108
$366,845 140,017 +626%
SMJ INTL HOLDINGS INC
G82454102
$365,964 118,053 -58%
FIRST TR EXCHNG TRADED FD VI
33740U315
$365,733 11,883 Nuova
VEECO INSTRS INC DEL
922417100
$365,688 10,800 -67%
MERIDIAN CORP
58958P104
$363,672 19,181 +20%
WESTWATER RES INC
961684206
$363,541 555,959 -51%
FINANCIAL INSTITUTIONS INC
317585404
$363,365 11,459 -50%
UNITED HOMES GROUP INC
91060H108
$363,273 313,166 +1563%
INVESCO EXCHANGE TRADED FD T
46137V407
$363,265 7,662 Nuova
BONDBLOXX ETF TRUST
09789C697
$363,216 7,289 -47%
J P MORGAN EXCHANGE TRADED F
46641Q217
$362,467 5,260 -2%
NANO X IMAGING LTD
M70700105
$362,292 159,600 -56%
COMSTOCK HLDG COS INC
205684202
$362,171 19,122 +77%
ISHARES TR
46429B408
$360,681 14,526 Nuova
GOLDMAN SACHS ETF TR
38149W812
$360,534 8,815 -64%
INVENTIVA SA
46124U107
$360,473 64,950 +427%
TIDAL TRUST II
88636W163
$360,098 10,178 Nuova
GOLDMAN SACHS ETF TR
38149W432
$359,909 9,940 Nuova
MORGAN STANLEY PATHWAY FDS
61769L841
$359,533 6,965 -64%
ETF OPPORTUNITIES TRUST
26923Q424
$358,518 15,185 Nuova
HIREQUEST INC
433535101
$358,432 35,915 +104%
PACER FDS TR
69374H220
$358,250 18,822 Nuova
1STDIBS COM INC
320551104
$357,979 65,087 -18%
ETF OPPORTUNITIES TRUST
26923N629
$357,867 14,045 -36%
STREAMEX CORP
09073N300
$357,640 316,496 +19%
INNOVATOR ETFS TRUST
45782C797
$357,253 8,287 -82%
INVESTMENT MANAGERS SER TR I
46092D590
$357,012 42,200 -32%
FIRST NATL CORP VA
32106V107
$356,959 13,260 -33%
VICTORY PORTFOLIOS II
92647X822
$355,465 11,837 Nuova
FOUR CORNERS PPTY TR INC
35086T109
$353,591 14,951 -68%
FIRST TR EXCHNG TRADED FD VI
33740F839
$353,494 7,379 Nuova
INVESCO EXCH TRD SLF IDX FD
46139W841
$353,372 13,809 Nuova
ISHARES TR
46436E445
$353,156 12,528 -2%
FIRST TR EXCHANGE TRADED FD
33738R837
$352,645 10,264 Nuova
ISHARES INC
46434G830
$352,572 6,600 -85%
NORTHFIELD BANCORP INC DEL
66611T108
$352,541 26,037 -88%
CLEARWAY ENERGY INC
18539C105
$352,530 9,000 -57%
J P MORGAN EXCHANGE TRADED F
46654Q799
$351,999 7,064 Nuova
INNOVATOR ETFS TRUST
45784N791
$351,866 12,846 Nuova
APTERA MOTORS CORP
03835W104
$351,769 132,743 +531%
ETF SER SOLUTIONS
26922A263
$351,602 9,041 -4%
CAMBRIA ETF TR
132061508
$349,838 9,780 +59%
JOHN HANCOCK EXCHANGE TRADED
47804J842
$348,696 8,130 Nuova
TIDAL TRUST III
45259A449
$348,238 18,346 Nuova
SSGA ACTIVE TR
78470P812
$348,019 13,921 -66%
GREYSTONE HOUSING IMPACT INV
02364V206
$347,947 70,721 -73%
AIM ETF PRODUCTS TRUST
00888H497
$346,859 12,861 Nuova
ETF SER SOLUTIONS
26922B394
$346,558 13,548 Nuova
PUTNAM ETF TRUST
746729300
$345,958 7,456 Nuova
FIRST TR EXCHANGE-TRADED FD
33739Q804
$345,913 10,756 Nuova
PHARMACYTE BIOTECH INC
71715X203
$345,840 519,747 +15%
ISHARES U S ETF TR
46431W663
$345,832 6,394 +45%
BITGO HOLDINGS INC
091947101
$345,660 42,000 Nuova
FRANKLIN TEMPLETON ETF TR
35473P470
$344,731 16,363 Nuova
CONDUENT INC
206787103
$344,134 268,855 -80%
TON STRATEGY CO
92337U302
$343,330 139,000 -41%
CERUS CORP
157085101
$343,252 188,600 -84%
FIDELITY COVINGTON TRUST
316092212
$343,251 7,166 Nuova
FEDERATED HERMES ETF TRUST
31423L305
$342,896 11,133 Nuova
LISTED FDS TR
53656F706
$342,809 16,400 Invariata
CIVISTA BANCSHARES INC
178867107
$342,443 15,026 -35%
FLUSHING FINL CORP
343873105
$342,374 22,290 -58%
BLACKROCK ETF TRUST
09290C673
$341,562 11,909 Nuova
MICROBOT MED INC
59503A204
$341,497 141,700 -25%
NUVEEN SELECT MAT MUN FD
67061T101
$341,192 36,105 +60%
VANECK BITCOIN ETF
92189K105
$341,048 17,800 -58%
EDAP TMS S A
268311107
$340,380 91,500 -3%
ABRDN FDS
00384X301
$340,252 8,388 Nuova
WISDOMTREE TR
97717Y295
$340,198 13,776 Nuova
DIMENSIONAL ETF TRUST
25434V864
$340,092 7,103 Nuova
EKSO BIONICS HLDGS INC
282644400
$338,808 31,813 Nuova
PROSHARES TR
74349Y712
$338,030 15,000 Nuova
RUSSELL INVTS EXCHANGE TRADE
78249U308
$337,599 11,654 Nuova
PRINCETON BANCORP INC
74179A107
$337,025 9,980 Nuova
ORCHESTRA BIOMED HLDGS INC
68572M106
$336,536 79,185 +14%
BONDBLOXX ETF TRUST
09789C754
$336,534 6,580 -94%
J P MORGAN EXCHANGE TRADED F
46654Q740
$336,467 5,155 -95%
ORAMED PHARMACEUTICALS INC
68403P203
$335,338 98,629 -40%
TRUST FOR PROFESSIONAL MANAG
89834G562
$335,155 13,784 Nuova
INNOVATOR ETFS TRUST
45783Y608
$335,026 9,056 Nuova
CURIOSITYSTREAM INC
23130Q107
$334,427 112,982 -60%
NETSOL TECHNOLOGIES INC
64115A402
$333,800 98,466 +676%
WISDOMTREE TR
97717Y527
$333,704 6,629 Nuova
HOPE BANCORP INC
43940T109
$333,335 29,842 -75%
ISHARES TR
46438G687
$333,155 12,898 Nuova
PATTERN GROUP INC
70339W104
$333,124 26,800 +87%
PROSHARES TR
74347X625
$332,779 5,582 +29%
BUDA JUICE INC
11882T106
$332,777 31,693 Nuova
ALPS ETF TR
00162Q395
$332,249 7,596 Nuova
EXCHANGE LISTED FDS TR
30151E566
$331,684 8,678 +10%
OXLEY BRIDGE ACQ LTD
G6858G123
$331,598 32,351 -82%
CITIZENS FINL SVCS INC
174615104
$331,555 5,422 -37%
TIDAL TRUST II
88636R404
$331,534 11,900 -77%
LITMAN GREGORY FDS TR
53700T744
$331,521 33,020 Nuova
STEM INC
85859N300
$331,500 37,500 -60%
LANDMARK BANCORP INC
51504L107
$330,931 13,344 -8%
NEW YORK LIFE INVTS ACTIVE E
45409F736
$330,708 12,885 Nuova
PIMCO ETF TR
72201R569
$330,534 6,664 Nuova
LIFEVANTAGE CORP
53222K205
$330,523 76,510 -30%
GMO ETF TRUST
90139K506
$330,315 13,065 Nuova
AMERICAN CENTY ETF TR
025072257
$330,045 6,435 -81%
CHEGG INC
163092109
$329,231 444,127 -56%
AIM ETF PRODUCTS TRUST
00888H869
$328,932 9,778 Nuova
STERLING CAP FDS
85917K470
$328,176 13,201 Nuova
VICTORY PORTFOLIOS II
92647N782
$327,604 4,418 +44%
TIDAL TRUST II
88636X807
$327,538 10,748 -47%
SR BANCORP INC
85227J106
$327,523 19,403 +63%
BK TECHNOLOGIES CORPORATION
05587G203
$327,253 4,385 +16%
GMO ETF TRUST
90139K605
$327,242 11,647 Nuova
PACER FDS TR
69374H493
$327,218 10,279 -14%
THORNBURG ETF TR
88521L207
$326,203 12,787 -51%
AIM ETF PRODUCTS TRUST
00888H489
$326,162 12,152 Nuova
ISHARES TR
46436E841
$326,155 14,541 -55%
AMPLIFY ETF TR
032108482
$325,928 14,788 Nuova
WISDOMTREE TR
97717Y444
$325,854 12,030 Nuova
INNOVATOR ETFS TRUST
45784N676
$325,483 11,606 Nuova
CAMBRIA ETF TR
132061821
$324,485 63,500 +240%
GRAYSCALE DOGECOIN TR ETF
389923103
$323,219 29,900 Nuova
TIDAL TRUST II
88636R834
$322,966 11,800 -70%
CONTROLADORA VUELA COMP DE A
21240E105
$322,926 44,603 -49%
TSCAN THERAPEUTICS INC
89854M101
$321,596 318,411 +97%
PROSHARES TR
74347R172
$321,452 19,721 -59%
TIDAL TRUST III
45259A258
$321,153 12,841 -19%
FIRST TR EXCH TRADED FD III
33739P707
$320,981 3,907 Nuova
SYPRIS SOLUTIONS INC
871655106
$320,830 112,572 +322%
BELITE BIO INC
07782B104
$320,156 2,008 -60%
TREDEGAR CORP
894650100
$319,892 40,238 -49%
ENTRAVISION COMMUNICATIONS C
29382R107
$319,492 107,573 -2%
INVESCO EXCH TRD SLF IDX FD
46138J395
$318,470 15,140 Nuova
RAMACO RES INC
75134P501
$318,464 31,222 -75%
AXIOM INTELLIGENCE AC CORP 1
G0750N120
$317,796 30,914 -13%
INSTIL BIO INC
45783C200
$317,751 38,562 -39%
SCHWAB STRATEGIC TR
808524730
$317,558 8,300 Nuova
EA SERIES TRUST
02072Q796
$317,512 6,928 Nuova
WISDOMTREE TR
97717Y386
$317,199 12,393 Nuova
ISHARES TR
46434V290
$317,058 4,200 +32%
NUSHARES ETF TR
67092P821
$317,045 9,164 +8%
WHITEHAWK THERAPEUTICS INC
00032Q104
$316,889 91,852 +32%
GRANITESHARES ETF TR
38747R694
$315,747 20,100 -77%
VANGUARD WELLESLEY INCOME FD
921938502
$315,630 5,738 -46%
CARDLYTICS INC
14161W105
$315,525 300,500 -41%
TIDAL TRUST II
88636W254
$315,412 10,787 Nuova
TIDAL TRUST III
45259A837
$315,347 13,009 Nuova
INNOVATOR ETFS TRUST
45782C870
$315,256 7,921 -58%
COMMUNITY BANCORP INC VT
20343A101
$314,950 10,127 Nuova
KOLIBRI GLOBAL ENERGY INC
50043K406
$314,605 57,305 +303%
BNY MELLON ETF TRUST II
05613H506
$314,025 13,080 Nuova
BBH TR
05528C667
$313,983 28,518 Nuova
SANUWAVE HEALTH INC
80303D305
$312,914 18,098 Nuova
INVESCO EXCH TRADED FD TR II
46138G441
$312,883 11,446 +1%
ACCO BRANDS CORP
00081T108
$312,600 104,200 +96%
REGENXBIO INC
75901B107
$312,574 37,300 -73%
CPI AEROSTRUCTURES INC
125919308
$312,389 79,691 +22%
ACME UTD CORP
004816104
$312,214 6,952 Nuova
INVESTMENT MANAGERS SER TR I
46152A478
$311,985 14,786 Nuova
SPDR INDEX SHS FDS
78463X863
$311,773 11,712 Nuova
INVESCO EXCH TRD SLF IDX FD
46138J510
$311,661 13,192 Nuova
DIREXION SHARES ETF TRUST
25461A171
$311,175 8,965 Nuova
BITWISE FUNDS TRUST
091748509
$310,932 18,986 +9%
TIDAL TRUST II
88636V884
$310,684 7,997 Nuova
GRAYSCALE SOLANA STAKING ETF
38965D104
$310,503 50,653 Nuova
TIDAL TRUST II
88636Y102
$310,381 21,100 Nuova
C & F FINL CORP
12466Q104
$309,995 4,250 -55%
VIANT TECHNOLOGY INC
92557A101
$309,120 27,600 -73%
JOHN HANCOCK EXCHANGE TRADED
47804J792
$309,065 14,040 Nuova
INNOVATOR ETFS TRUST
45784N775
$308,996 12,170 Nuova
CAPITAL GRP FIXED INCM ETF T
14020Y888
$308,896 12,219 -72%
QUANTERIX CORP
74766Q101
$308,356 87,601 -51%
ROUNDHILL ETF TRUST
77926X619
$308,210 8,500 -21%
SB FINL GROUP INC
78408D105
$308,175 14,675 -8%
TIDAL TRUST I
886364793
$308,082 11,207 Nuova
TRIPLEPOINT VENTURE GROWTH B
89677Y100
$307,384 61,600 -83%
VYNE THERAPEUTICS INC
92941V308
$307,380 514,443 +1636%
ARROWMARK FINANCIAL CORP
861780104
$306,866 16,100 +15%
MOUNT LOGAN CAP INC
62188E103
$306,727 85,678 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F144
$306,067 9,091 Nuova
FIDELITY D & D BANCORP INC
31609R100
$305,990 7,070 -54%
INFORMATION SVCS GROUP INC
45675Y104
$305,595 79,582 -63%
UNIFIED SER TR
90470L469
$305,109 7,568 -55%
VISTA GOLD CORP
927926303
$304,780 155,500 -54%
KORU MEDICAL SYSTEMS INC
759910102
$304,240 70,426 +5%
FIRST TR EXCHNG TRADED FD VI
33740F771
$304,115 6,420 Nuova
CAPITAL GROUP EQUITY ETF TR
14022A102
$303,729 10,345 Nuova
NOAH HLDGS LTD
65487X102
$303,544 30,661 -50%
RBB FD INC
74933W254
$303,512 11,831 +47%
RF INDS LTD
749552105
$303,114 29,400 -43%
VANECK FDS
92107P772
$303,005 6,047 Nuova
SPDR SERIES TRUST
78464A300
$302,656 3,200 -92%
AVIDIA BANCORP INC
05369T100
$302,525 15,380 Nuova
FIRST TR EXCHANGE-TRADED FD
337345102
$302,372 1,400 -27%
RUNWAY GROWTH FINANCE CORP
78163D100
$301,593 43,900 -4%
TABOOLA.COM LTD
M8744T106
$301,583 97,285 -96%
DIREXION SHARES ETF TRUST
25461H887
$300,917 6,693 Nuova
BIOAGE LABS INC
09077V100
$300,828 17,200 -90%
YORKVILLE ACQUISITION CORP.
G98659116
$300,773 29,750 Invariata
WISDOMTREE TR
97717Y691
$300,110 10,985 Nuova
AMERICAN CENTY ETF TR
02507A705
$299,730 7,564 Nuova
UBS AG
22539U602
$299,613 5,198 Nuova
EMBOTELLADORA ANDINA S A
29081P303
$299,588 11,879 Nuova
PROSHARES TR
74347B680
$299,324 3,464 -66%
EXP WORLD HLDGS INC
30212W100
$298,901 49,900 -88%
THOR FINL TECHNOLOGIES TR
885155101
$298,614 9,358 Nuova
DIREXION SHARES ETF TRUST
25461H796
$298,384 31,310 -31%
GRABAGUN DIGITAL HLDGS INC
38387Q105
$297,990 99,000 -42%
ISHARES TR
46438G828
$296,778 9,068 +11%
CAMBRIA ETF TR
132061789
$296,451 11,792 Nuova
FLEXSHARES TR
33939L787
$296,410 4,961 -78%
DIREXION SHARES ETF TRUST
25461H556
$296,400 6,293 Nuova
RBB FD INC
74933W650
$295,857 14,813 -6%
LIBERTY ALL STAR EQUITY FD
530158104
$295,632 53,267 -86%
ROUNDHILL ETF TRUST
77926X767
$295,240 24,200 Nuova
CONNECT BIOPHARMA HLDGS LTD
G23549101
$295,206 112,674 +5%
FIDELITY COVINGTON TRUST
316092121
$294,368 8,977 Nuova
ROUNDHILL ETF TRUST
77926X874
$293,988 14,083 Nuova
COLLABORATIVE INVESTMNT SER
19423L615
$293,680 13,581 +5%
STONERIDGE INC
86183P102
$293,635 60,794 -73%
FIRST TR EXCHANGE TRADED FD
33738R506
$293,604 4,300 -9%
HARBOR ETF TRUST
41151J703
$293,525 17,608 +67%
PROSHARES TR
74347X500
$293,514 4,615 Nuova
VANGUARD SCOTTSDALE FDS
92206C409
$293,299 3,700 Nuova
TIDAL TRUST II
88634T410
$293,288 21,330 Nuova
OPTIMIZERX CORP
68401U204
$293,276 46,700 -42%
THEMES ETF TR
88340W681
$292,466 18,371 Nuova
SEQUANS COMMUNICATIONS S A
817323405
$292,089 115,450 -70%
WM TECHNOLOGY INC
92971A109
$291,684 443,018 -59%
INNOVATOR ETFS TRUST
45783Y269
$291,066 9,306 Nuova
FRANKLIN COVEY CO
353469109
$290,978 18,428 Nuova
INVESCO ACTIVELY MANAGED EXC
46127B502
$290,262 5,662 +10%
HAVERTY FURNITURE COS INC
419596101
$290,166 13,700 -65%
IMMUNIC INC
4525EP101
$290,140 261,387 +36%
INVESCO EXCHANGE TRADED FD T
46137V746
$289,639 2,300 -43%
CROSSAMERICA PARTNERS LP
22758A105
$289,341 13,924 -40%
VANGUARD QUANTITATIVE FDS
921913869
$289,284 3,888 Nuova
NORWOOD FINANCIAL CORP
669549107
$288,993 9,823 -52%
EA SERIES TRUST
02072L672
$288,811 4,010 Nuova
TECHPRECISION CORP
878739200
$288,680 95,907 +213%
ISHARES TR
46435U259
$288,543 11,258 Nuova
PROSHARES TR
74349Y647
$288,187 57,180 -66%
LAZARD ACTIVE ETF TR
52110K707
$288,084 11,038 -4%
GOLDMAN SACHS ETF TR
381430164
$287,712 4,919 -98%
ISHARES TR
464287663
$286,300 2,800 -22%
PROSHARES TR
74347G796
$285,995 6,302 -2%
DLH HLDGS CORP
23335Q100
$285,995 49,140 +6%
J P MORGAN EXCHANGE TRADED F
46641Q209
$285,815 4,012 -82%
BANK MONTREAL MEDIUM
06368M302
$285,767 6,926 Nuova
ISHARES TR
46438G877
$285,693 10,896 Nuova
THEMES ETF TR
88340F100
$285,343 29,705 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F367
$285,175 7,652 -14%
BURNING ROCK BIOTECH LTD
12233L206
$284,648 17,669 Nuova
INNOVATOR ETFS TRUST
45784N395
$284,645 15,039 Nuova
KINGSTONE COS INC
496719105
$284,144 19,502 -83%
PACER FDS TR
69374H519
$283,901 9,345 Nuova
UNIFIED SER TR
90470L568
$283,842 7,519 -53%
FIRST TR EXCH TRADED FD III
33739P301
$283,338 5,960 -62%
AMPLIFY ETF TR
032108672
$283,110 2,827 -53%
TIDAL TRUST II
88636W718
$282,330 20,608 Nuova
LISTED FDS TR
53656F383
$281,218 7,900 -72%
SCHWAB STRATEGIC TR
808524508
$281,055 9,078 -9%
UNION BANKSHARES INC
905400107
$280,799 11,546 -9%
BLUE RIDGE BANKSHARES INC VA
095825105
$280,665 66,825 +183%
TIDAL TRUST II
88636R693
$280,582 5,041 Nuova
SSGA ACTIVE TR
78470P655
$280,464 6,423 Nuova
ALLSPRING EXCHANGE TRADED FU
01989A605
$280,456 10,084 Nuova
INVESTMENT MANAGERS SER TR I
46092D145
$280,308 32,900 Nuova
ETF OPPORTUNITIES TRUST
26923N553
$280,115 12,100 Nuova
THEMES ETF TR
882927866
$280,026 8,036 +11%
EXCHANGE TRADED CONCEPTS TRU
301505467
$279,998 10,204 -85%
ISHARES TR
464287291
$279,916 2,800 -96%
THEMES ETF TR
88340C685
$279,874 231,301 +447%
MAGNACHIP SEMICONDUCTOR CORP
55933J203
$279,647 99,874 +276%
GLOBAL X FDS
37950E341
$279,365 4,747 +36%
ISHARES TR
46438G539
$278,907 11,046 Nuova
SCHWAB STRATEGIC TR
808524755
$278,901 5,700 -99%
ISHARES TR
46438G513
$278,776 10,950 Nuova
DIREXION SHARES ETF TRUST
25461A270
$278,539 19,147 -46%
WISDOMTREE TR
97717W836
$278,420 2,728 -85%
CRESCENT CAP BDC INC
225655109
$278,235 22,900 -42%
EPSILON ENERGY LTD
294375209
$278,210 45,164 -50%
KESTRA MED TECHNOLOGIES LTD
G52441105
$277,884 13,943 -76%
FIRST TR EXCHANGE-TRADED FD
33734X853
$277,297 4,491 Nuova
TWO RDS SHARED TR
90214Q576
$277,165 8,327 Nuova
KRANESHARES TRUST
500767694
$275,973 15,097 Nuova
J P MORGAN EXCHANGE TRADED F
46641Q167
$275,807 3,844 -63%
ENERGYS GROUP LTD
G3040B104
$275,732 235,668 Nuova
ABERDEEN INDIA FD INC
454089103
$275,031 24,296 Nuova
INNOVATOR ETFS TRUST
45783Y731
$274,961 7,636 Nuova
CANAAN INC
134748102
$274,711 636,200 -77%
ISHARES TR
46436E569
$274,598 5,579 -85%
EA SERIES TRUST
02072L375
$273,337 7,841 Nuova
INVESCO EXCH TRADED FD TR II
46138E651
$272,808 6,283 -94%
TEMA ETF TRUST
87975E602
$272,645 5,477 Nuova
ENTERA BIO LTD
M40527109
$272,590 245,577 +249%
VANECK ETF TRUST
92189F635
$272,328 4,504 -84%
HIGH TEMPLAR TECHNOLOGY LTD
747798106
$272,027 140,220 -60%
INNOVATOR ETFS TRUST
45782C730
$271,775 7,298 Nuova
WISDOMTREE TR
97717Y469
$271,738 5,610 -58%
DATA I O CORP
237690102
$271,722 107,400 -80%
SAVERS VALUE VLG INC
80517M109
$271,255 36,459 -32%
ISHARES TR
46436E825
$271,072 12,410 Nuova
CALAVO GROWERS INC
128246105
$270,692 10,496 -69%
MATTHEWS INTL FDS
577130610
$270,640 10,467 Nuova
GLOBAL X FDS
37960A214
$270,386 6,181 Nuova
FUEL TECH INC
359523107
$270,107 221,399 -68%
EXCHANGE TRADED CONCEPTS TRU
301505418
$269,830 10,110 Nuova
NUSHARES ETF TR
67092P847
$269,642 8,064 -10%
IMPAX FUNDS SERIES TRUST I
704223387
$269,534 10,510 Nuova
ULTRALIFE CORP
903899102
$269,283 41,301 -49%
ISHARES TR
46435U283
$269,282 10,585 Nuova
BONDBLOXX ETF TRUST
09789C853
$268,946 5,456 -57%
EA SERIES TRUST
02072L839
$268,916 8,366 Nuova
CONSOLIDATED WATER CO INC
G23773107
$268,272 8,100 -84%
INVESCO EXCHANGE TRADED FD T
46137V381
$267,803 5,003 Nuova
DOUBLELINE ETF TRUST
25861R709
$267,728 5,346 Nuova
AIM ETF PRODUCTS TRUST
00888H679
$267,100 8,505 Nuova
PROSHARES TR
74347G143
$267,064 5,600 -51%
INVESCO EXCH TRD SLF IDX FD
46138J775
$266,886 3,098 Nuova
TRIVAGO N V
89686D303
$266,786 98,445 +116%
SAB BIOTHERAPEUTICS INC
78397T202
$266,568 69,600 +304%
PROSHARES TR
74348A145
$266,512 5,191 +20%
PROSHARES TR
74347B581
$266,461 3,834 Nuova
NUVEEN REAL ASSET INCOME & G
67074Y105
$266,393 21,658 +86%
OPTEX SYS HLDGS INC
68384X209
$266,008 20,114 Nuova
TCW ETF TRUST
29287L502
$265,921 6,896 -37%
LISTED FDS TR
53656F623
$265,506 5,100 Nuova
WESTERN ASSET DIVERSIFIED IN
95790K109
$265,158 19,729 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F375
$264,300 8,819 Nuova
RBB FD INC
74933W874
$264,288 8,259 Nuova
DIMENSIONAL ETF TRUST
25434V765
$264,043 8,195 -88%
NATIONAL BANKSHARES INC VA
634865109
$263,681 7,242 Nuova
PACER FDS TR
69374H261
$263,039 8,126 Nuova
BINGEX LTD
090337106
$262,920 99,215 +241%
LINEAGE CELL THERAPEUTICS IN
53566P109
$262,672 166,248 -70%
KURV ETF TR
500948302
$262,474 10,864 Nuova
OKEANIS ECO TANKERS COR
Y64177101
$261,247 5,164 -96%
BONDBLOXX ETF TRUST
097890107
$261,166 6,688 -16%
THE BALDWIN INSURANCE GRP IN
05589G102
$261,086 11,900 -96%
VESTA REAL ESTATE CORP
92540K109
$260,719 7,820 Nuova
FLUX PWR HLDGS INC
344057302
$260,652 243,600 +287%
MIZUHO FINANCIAL GROUP INC
60687Y109
$260,432 32,800 +252%
JOHN HANCOCK EXCHANGE TRADED
47804J834
$260,190 7,595 -78%
AMERICAN CENTY ETF TR
02507A804
$260,141 6,073 Nuova
BEST SPAC I ACQUISITION CORP
G1069P137
$260,000 25,000 +1%
VANGUARD WORLD FD
921910873
$259,985 1,100 -6%
SLEEP NUMBER CORP
83125X103
$259,890 144,785 -83%
EAGLE FINL SVCS INC
26951R104
$259,482 7,418 +29%
ISHARES TR
464287796
$259,080 4,000 Nuova
TIDAL TRUST I
886364157
$259,046 13,966 Nuova
AMPCO-PITTSBURG CORP
032037103
$258,982 38,539 +95%
ISHARES TR
46434V886
$258,888 4,600 -90%
TIDAL TRUST II
88636R669
$258,543 14,136 +16%
NORTHERN FDS
665162194
$258,095 5,037 Invariata
VANGUARD ADMIRAL FDS INC
921932844
$257,730 2,528 Nuova
EMERALD HOLDING INC
29103W104
$257,724 57,145 +84%
LIBERTY MEDIA CORP DEL
531229771
$257,664 3,300 -69%
GRUPO TELEVISA S A B
40049J206
$257,518 88,494 -94%
ONEWATER MARINE INC
68280L101
$257,040 27,200 -36%
INNOVATOR ETFS TRUST
45783Y756
$256,864 7,153 Nuova
AIM ETF PRODUCTS TRUST
00888H687
$256,341 8,115 Nuova
GREENE CNTY BANCORP INC
394357107
$256,236 11,434 -53%
EVI INDS INC
26929N102
$256,036 12,441 Nuova
NEOS ETF TRUST
78433H402
$255,865 5,421 Nuova
WISDOMTREE TR
97717Y337
$255,255 8,250 Nuova
KVH INDS INC
482738101
$255,136 28,475 +110%
JANUS DETROIT STR TR
47103U670
$255,130 9,952 Nuova
FRANKLIN TEMPLETON ETF TR
35473P850
$254,531 10,777 Nuova
CREATIVE REALITIES INC
22530J309
$254,144 73,879 Nuova
STRATEGY SHS
86280R886
$254,092 8,069 Nuova
TOUCHSTONE ETF TRUST
89157W707
$254,032 9,850 -71%
ETF OPPORTUNITIES TRUST
26923Q275
$253,804 21,400 -35%
PACER FDS TR
69374H345
$253,732 10,924 -1%
WRAP TECHNOLOGIES INC
98212N107
$253,652 164,709 +181%
EA SERIES TRUST
02072L169
$253,620 8,996 Nuova
AB ACTIVE ETFS INC
00039J772
$253,526 10,154 Nuova
PERSONALIS INC
71535D106
$253,526 39,800 -76%
FIRST TR EXCHANGE-TRADED FD
33734X788
$253,432 8,114 -5%
POLYPID LTD
M8001Q126
$253,028 57,769 +444%
STRATEGY SHS
86280R829
$253,014 7,362 Nuova
CANTOR EQUITY PARTNERS VI IN
G1828R101
$253,000 25,000 Nuova
ROUNDHILL ETF TRUST
77926X494
$252,930 4,725 Nuova
NACCO INDS INC
629579103
$252,626 4,861 -17%
SEVEN HILLS REALTY TRUST
81784E101
$252,354 30,700 -77%
AB ACTIVE ETFS INC
00039J764
$251,945 10,098 Nuova
THEMES ETF TR
882927767
$251,274 6,519 -54%
BETTERWARE DE MEXC S A P I D
P1666E105
$251,130 14,895 -52%
DIREXION SHARES ETF TRUST
25460G823
$250,833 12,100 +15%
TIDAL TRUST III
45259A241
$250,793 13,165 -59%
BROADWIND INC
11161T207
$250,432 120,400 -27%
INVESCO EXCHANGE TRADED FD T
46137V811
$250,343 2,900 Nuova
ISHARES TR
464287697
$250,217 2,155 -95%
NORTHERN LTS FD TR IV
66538H260
$249,910 10,368 Nuova
AIM ETF PRODUCTS TRUST
00888H877
$249,904 7,398 Nuova
BERTO ACQUISITION CORP
G1051H127
$248,987 24,080 -10%
INNOVATOR ETFS TRUST
45783Y541
$248,517 8,464 -65%
MFS ACTIVE EXCHANGE TRADED F
55286W884
$247,995 11,022 Nuova
GLOBAL X FDS
37960A271
$247,848 9,423 Nuova
EXCHANGE TRADED CONCEPTS TRU
301505392
$247,590 8,852 Nuova
KURV ETF TR
500948872
$247,239 7,591 Nuova
OAK VY BANCORP OAKDALE CALIF
671807105
$246,760 7,609 -61%
PGIM ETF TR
69344A792
$246,749 4,018 -13%
GLOBAL INDEMNITY GROUP LLC
37959R103
$246,731 9,061 Nuova
VANGUARD WORLD FD
921910840
$246,415 1,700 Nuova
BNY MELLON ETF TRUST II
05613H704
$246,259 9,435 Nuova
TIDAL TRUST II
88636W684
$245,953 17,236 Nuova
COLUMBIA ETF TR I
19761L706
$245,457 6,297 Nuova
TIDAL TRUST III
45259A878
$245,367 9,866 Nuova
ETF SER SOLUTIONS
26922B832
$245,366 8,360 Nuova
SSGA ACTIVE TR
78470P762
$245,282 9,849 Nuova
RBB FD INC
74933W627
$244,846 12,145 -54%
J P MORGAN EXCHANGE TRADED F
46641Q274
$244,730 5,174 -97%
GLOBAL X FDS
37954Y368
$243,933 6,613 Nuova
THEMES ETF TR
882927601
$243,792 4,790 Nuova
ISHARES TR
46436E361
$243,722 6,670 -88%
TUNIU CORP
89977P106
$243,605 316,370 +5%
DBX ETF TR
233051853
$243,600 5,000 -76%
ATLAS CRITICAL MINERALS CORP
G5211G200
$243,250 43,750 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F128
$243,026 10,957 Nuova
ISABELLA BK CORP
464214105
$241,549 5,289 -16%
ISHARES TR
464287606
$241,488 2,400 Nuova
SPDR SERIES TRUST
78464A516
$241,450 11,000 -81%
EA SERIES TRUST
02072Q846
$241,179 8,823 Nuova
JIAYIN GROUP INC
47737C104
$240,393 57,373 -73%
FIRST BUSINESS FINL SVCS INC
319390100
$240,312 4,456 Nuova
HUMACYTE INC
44486Q103
$240,253 396,000 -87%
ETF SER SOLUTIONS
26922B527
$240,204 7,222 Nuova
THEMES ETF TR
88340C693
$239,763 6,329 Nuova
FORESTAR GROUP INC
346232101
$239,512 9,800 -47%
ISHARES TR
464288638
$239,490 4,500 Nuova
SATELLOS BIOSCIENCE INC
80401L803
$239,230 42,492 Nuova
G WILLI FOOD INTL LTD
M52523103
$239,162 9,468 -3%
ISHARES INC
464286210
$239,080 4,557 Nuova
FUNDVANTAGE TR
36087T395
$238,803 11,672 Nuova
ZACKS TRUST
98888G105
$238,772 7,058 -62%
HURCO CO
447324104
$238,523 16,215 -56%
VALKYRIE ETF TRUST II
91917A702
$238,447 12,451 Nuova
FS CREDIT OPPORTUNITIES CORP
30290Y101
$238,236 46,713 Nuova
T ROWE PRICE ETF INC
87283Q669
$238,207 10,573 Nuova
THEMES ETF TR
882927833
$237,643 5,167 -18%
SSGA ACTIVE TR
78470P846
$237,364 8,526 Nuova
PLATINUM GROUP METALS LTD
72765Q882
$237,180 134,000 -76%
RENOVORX INC
75989R107
$235,011 232,684 +424%
ALECTOR INC
014442107
$234,877 109,245 -16%
MERCER INTL INC
588056101
$234,782 165,339 -55%
FIDELITY GREENWOOD STREET TR
31624J745
$234,683 7,977 Nuova
TRANSACT TECHNOLOGIES INC
892918103
$234,557 71,294 +33%
MEDALLION FINANCIAL CORP
583928106
$234,544 27,400 -65%
MAXCYTE INC
57777K106
$233,994 333,088 -90%
TIDAL TRUST I
886364272
$233,934 9,592 +5%
ANNOVIS BIO INC
03615A108
$233,927 104,900 -67%
TIDAL TRUST II
88636W379
$233,892 12,605 Nuova
INVESCO EXCH TRADED FD TR II
46138E214
$233,690 6,607 Nuova
JANUS DETROIT STR TR
47103U696
$233,091 9,412 -42%
ALPS ETF TR
00162Q676
$233,081 6,100 -85%
GRAYSCALE FUNDS TRUST
38963H206
$232,794 9,142 -70%
INVESTMENT MANAGERS SER TR I
46152A429
$232,503 12,924 Nuova
SPDR SERIES TRUST
78464A532
$232,500 2,500 -46%
LIPOCINE INC NEW
53630X203
$232,413 29,088 Nuova
TRUEBLUE INC
89785X101
$232,321 59,417 +236%
INVESCO EXCHANGE TRADED FD T
46137Y500
$231,862 8,565 -6%
MERCHANTS BANCORP IND
58844R108
$231,714 5,400 -78%
AIM ETF PRODUCTS TRUST
00888H646
$231,302 8,179 Nuova
FEDERATED HERMES ETF TRUST
31423L875
$231,269 8,909 -52%
AMPLIFY ETF TR
032108847
$230,527 20,900 Nuova
VANGUARD SCOTTSDALE FDS
92206C730
$230,489 781 -92%
DIREXION SHARES ETF TRUST
25460E679
$230,338 8,200 Nuova
TIDAL TRUST III
45259A266
$230,326 11,934 -3%
LEE ENTERPRISES INC
523768406
$230,223 26,739 Nuova
PACER FDS TR
69374H808
$230,116 7,722 -42%
VICTORY PORTFOLIOS II
92647X798
$229,821 7,615 Nuova
INNOVATOR ETFS TRUST
45784N452
$229,104 12,058 Nuova
ALPS ETF TR
00162Q205
$228,859 4,812 -25%
ALLSPRING EXCHANGE TRADED FU
01989A704
$228,583 8,190 Nuova
PROVIDENT FINL SVCS INC
74386T105
$228,528 10,800 -33%
SPRUCE POWER HOLDING CORP
9837FR209
$228,337 55,692 -60%
SPDR SERIES TRUST
78464A573
$228,096 2,278 -74%
FIRST US BANCSHARES INC
33744V103
$228,077 14,907 +15%
J P MORGAN EXCHANGE TRADED F
46654Q773
$228,018 4,369 -95%
ACRES COMMERCIAL REALTY CORP
00489Q102
$227,802 11,791 -48%
SIMPLIFY EXCHANGE TRADED FUN
82889N475
$227,540 7,663 -60%
INNOVATOR ETFS TRUST
45782C599
$227,276 6,699 Nuova
CAPITAL GRP FIXED INCM ETF T
14020Y870
$226,773 9,051 Nuova
DBX ETF TR
23306X860
$226,720 6,395 Nuova
GOLD RESOURCE CORP
38068T105
$226,440 188,700 -81%
IMMUCELL CORP
452525306
$225,956 35,696 -7%
INVESCO EXCH TRADED FD TR II
46138E669
$225,874 11,637 Nuova
WISDOMTREE TR
97717W760
$225,755 2,770 Nuova
VANGUARD WELLINGTON FD
921935805
$225,741 1,677 Nuova
TIMOTHY PLAN
887432326
$225,040 5,441 Nuova
M3BRIGADE ACQUISITION V CORP
G63212115
$224,850 750,000 -66%
TCW ETF TRUST
29287L601
$224,800 8,173 Nuova
FURY GOLD MINES LIMITED
36117T100
$224,710 368,921 -56%
PROFOUND MED CORP
74319B502
$224,208 34,600 Nuova
LITMAN GREGORY FDS TR
53700T736
$223,557 28,085 -5%
HERE GROUP LTD
74767N107
$223,480 63,130 -20%
JANUS DETROIT STR TR
47103U720
$223,246 7,932 Nuova
DIREXION SHARES ETF TRUST
25461A585
$222,990 11,500 -30%
T ROWE PRICE ETF INC
87283Q867
$222,900 6,263 Nuova
TRIO TECH INTL
896712205
$222,802 38,547 Nuova
TIDAL TRUST II
88636W353
$222,700 12,195 Nuova
ROUNDHILL ETF TRUST
77926X700
$222,196 5,200 -45%
GRANITE PT MTG TR INC
38741L107
$222,095 153,169 -77%
WHITEHORSE FIN INC
96524V106
$222,000 30,000 -59%
TIMBERLAND BANCORP INC
887098101
$221,873 5,627 -10%
ETF OPPORTUNITIES TRUST
26923Q713
$221,782 12,666 -72%
FIRST TR EXCHANGE-TRADED FD
33734X812
$221,642 7,500 Nuova
ISHARES TR
46435G839
$221,625 5,586 -68%
INVESCO EXCHANGE TRADED FD T
46137V795
$221,611 4,714 Nuova
TITAN MNG CORP
88831L202
$220,944 74,392 Nuova
ORION DIGITAL CORP
68627G104
$220,734 234,300 Nuova
ABRDN FDS
00384X202
$220,554 7,189 Invariata
HOMEBANCORP INC
43689E107
$220,451 3,639 Nuova
MAN ETF SER TR
56164V204
$220,114 8,864 Nuova
FIRST TR EXCHNG TRADED FD VI
33740F698
$219,912 4,705 Nuova
INVESCO EXCH TRADED FD TR II
46138E289
$219,907 13,010 -38%
INVESCO EXCHANGE TRADED FD T
46137V159
$219,697 1,950 Nuova
SPDR SERIES TRUST
78468R754
$219,502 1,636 -36%
FIRST TR EXCHNG TRADED FD VI
33740F292
$219,213 9,230 Nuova
SUPERIOR GROUP OF CO INC
868358102
$218,958 21,551 -59%
SPDR SERIES TRUST
78468R481
$218,678 6,891 -9%
ETF SER SOLUTIONS
268961885
$218,621 8,711 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U562
$218,483 6,450 Nuova
HOOKER FURNISHINGS CORPORATI
439038100
$218,406 16,957 Nuova
ISHARES TR
464287374
$218,213 3,467 Nuova
EVOTEC AG
30050E105
$217,950 87,180 +2%
PROSHARES TR
74349Y498
$217,710 59,000 -50%
TCW ETF TRUST
29287L874
$217,177 7,321 Nuova
TRUBRIDGE INC
205306103
$216,584 14,794 Nuova
FINGERMOTION INC
31788K108
$216,461 217,548 -38%
FOLD HLDGS INC
29103K100
$216,348 163,900 -25%
PROSHARES TR
74350P592
$216,172 4,400 +1%
FIRST TR EXCH TRD ALPHDX FD
33737J141
$216,058 6,894 -10%
SPDR SERIES TRUST
78464A292
$216,034 7,005 -87%
HARBOR ETF TRUST
41151J208
$215,564 4,976 Invariata
BLACKROCK SCIENCE & TECHNOLO
09260K101
$215,453 9,727 -49%
CATALYST BANCORP INC
14888L101
$215,297 13,001 Nuova
INVESTMENT MANAGERS SER TR I
46152A452
$215,271 15,622 Nuova
REX ETF TR
761562404
$215,214 11,339 Nuova
ORGANIGRAM GLOBAL INC
68617J100
$214,651 160,187 -80%
QUOIN PHARMACEUTICALS LTD
74907L409
$214,625 32,519 Nuova
PACER FDS TR
69374H394
$214,282 9,146 -3%
ROUNDHILL ETF TRUST
77926X775
$214,220 6,308 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U612
$214,105 6,395 Nuova
WISDOMTREE TR
97717Y428
$214,078 5,630 -4%
UNITED STS 12 MONTH NAT GAS
91288X109
$213,900 31,000 +81%
BONDBLOXX ETF TRUST
09789C747
$213,537 4,152 +2%
PACER FDS TR
69374H683
$213,364 6,561 -11%
ISHARES TR
46432F388
$213,285 1,500 -91%
INNOVATOR ETFS TRUST
45783Y350
$213,265 7,154 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U521
$211,792 6,474 Nuova
LATTICE STRATEGIES TR
518416409
$211,717 3,586 -82%
BLUEMONT HLDGS LTD
G1194L118
$211,662 65,530 -14%
ETF OPPORTUNITIES TRUST
26923Q721
$210,933 20,700 -69%
KRANESHARES TRUST
500767769
$210,845 5,200 Nuova
GLOBAL X FDS
37960A578
$210,310 5,904 Invariata
PHIBRO ANIMAL HEALTH CORP
71742Q106
$210,178 3,800 -90%
DUFF & PHELPS UTLITY AND INF
26433C105
$209,467 14,506 Nuova
CB FINL SVCS INC
12479G101
$209,387 6,126 -25%
ASGN INC
00191U102
$209,034 5,400 -98%
FIRST TR EXCHANGE-TRADED FD
33733E500
$208,743 4,492 -63%
RGC RES INC
74955L103
$207,976 9,432 -55%
INNOVATOR ETFS TRUST
45782C615
$207,254 3,677 Nuova
FINWARD BANCORP
31812F109
$207,237 5,709 -52%
SMITH MIDLAND CORP
832156103
$207,184 6,369 Nuova
VIVID SEATS INC
92854T209
$206,980 35,022 +62%
SPORTSMANS WHSE HLDGS INC
84920Y106
$206,094 146,166 -47%
PACER FDS TR
69374H691
$205,850 5,775 Nuova
DULUTH HLDGS INC
26443V101
$205,842 65,140 Nuova
BLACKROCK ETF TRUST II
092528850
$205,800 4,200 Nuova
TOYO CO LTD
G8976D107
$205,783 28,074 Nuova
USIO INC
917313108
$205,290 180,079 -29%
INNOVATE CORP
45784J303
$205,213 36,129 Invariata
OFFERPAD SOLUTIONS INC
67623L307
$204,723 312,459 -84%
FIRST TR EXCHNG TRADED FD VI
33740U737
$204,587 4,979 -55%
TIDAL TRUST II
88636R867
$204,404 37,300 -39%
NUSHARES ETF TR
67092P748
$204,380 7,107 Nuova
AFFINITY BANCSHARES INC
00832E103
$204,213 9,174 Nuova
GMO ETF TRUST
90139K878
$204,123 7,863 Nuova
FRANKLIN UNVL TR
355145103
$203,911 25,457 +145%
FIRST CMNTY BANKSHARES INC V
31983A103
$203,905 4,911 -24%
INVESCO CURRENCYSHARES BRIT
46138M109
$203,760 1,600 -87%
TIDAL TRUST I
88634W207
$203,628 8,439 Nuova
THEMES ETF TR
882927247
$203,609 13,659 Nuova
THE BEACHBODY COMPANY INC
073463309
$203,321 18,342 Nuova
RANI THERAPEUTICS HLDGS INC
753018100
$203,246 276,600 -34%
CPI CARD GROUP INC
12634H200
$202,748 13,973 Nuova
FIRST TR EXCHNG TRADED FD VI
33740U620
$201,936 6,533 Nuova
VANECK ETF TRUST
92189F767
$201,250 4,963 Nuova
FLEXIBLE SOLUTIONS INTL INC
33938T104
$201,098 37,237 -14%
INNOVATOR ETFS TRUST
45782C367
$201,073 6,349 Nuova
FIDELITY COVINGTON TRUST
316092865
$200,838 3,400 Nuova
EA SERIES TRUST
02072L185
$200,727 6,974 Nuova
PETMED EXPRESS INC
716382106
$200,398 87,894 -79%
CYPHERPUNK TECHNOLOGIES INC
52187K200
$200,319 252,100 -31%
BNY MELLON ETF TRUST
09661T404
$200,127 2,142 Nuova
GRANITESHARES ETF TR
38747R397
$199,793 138,303 Nuova
DOUGLAS ELLIMAN INC
25961D105
$199,752 121,800 +109%
RIMINI STR INC DEL
76674Q107
$199,660 60,872 -90%
THEMES ETF TR
882927338
$199,080 31,600 -70%
PRENETICS GLOBAL LTD
G72245122
$198,996 10,300 +25%
LIFECORE BIOMEDICAL INC
514766104
$197,160 53,000 -72%
NEWTEKONE INC
652526203
$197,100 18,000 -74%
CENTURY CASINOS INC
156492100
$196,617 141,451 +25%
SHOULDER INNOVATIONS INC
82537J108
$196,504 13,524 -27%
ZKH GROUP LTD
98877R104
$196,346 66,333 +91%
PIXELWORKS INC
72581M404
$196,279 36,348 -41%
VINCE HLDG CORP
92719W207
$195,629 81,174 +374%
SOL STRATEGIES INC
83411A205
$193,968 196,921 -52%
SPOK HLDGS INC
84863T106
$193,748 17,775 -82%
POLIBELI GROUP LTD
G71604105
$193,230 21,958 Nuova
PALATIN TECHNOLOGIES INC
696077601
$193,205 11,091 Nuova
LASER PHOTONICS CORP
51807Q100
$192,700 192,700 -42%
THERAPEUTICSMD INC
88338N206
$192,130 95,114 +141%
SIFCO INDS INC
826546103
$191,917 14,419 Nuova
TIDAL TRUST II
88634T790
$191,770 15,100 -66%
PUMA BIOTECHNOLOGY INC
74587V107
$191,438 29,959 -82%
KARTOON STUDIOS INC.
37229T509
$191,371 306,684 -8%
EAGLE POINT CREDIT COMPANY I
269808101
$191,301 50,878 Nuova
ZURA BIO LTD
G9TY5A101
$190,983 32,098 -91%
PALMER SQUARE CAPITAL BDC IN
69702V107
$190,662 19,515 -87%
RAFAEL HLDGS INC
75062E106
$189,476 151,581 +288%
NUVEEN MUN CR OPPORTUNITIES
670663103
$189,160 17,879 Nuova
ETFIS SER TR I
26923G798
$187,854 12,416 Nuova
GRID DYNAMICS HLDGS INC
39813G109
$187,530 32,900 -74%
PYXIS ONCOLOGY INC
747324101
$187,390 128,349 -57%
KEY TRONIC CORP
493144109
$186,221 68,213 -65%
GP-ACT III ACQUISITION CORP
G4035N103
$186,144 17,172 +17%
ADVISORSHARES TR
00768Y297
$185,900 11,000 Nuova
UNIFI INC
904677200
$185,872 52,065 -62%
D MARKET ELECTR SVCS & TRADI
23292B104
$185,758 70,900 +455%
OPEN LENDING CORP
68373J104
$185,077 148,061 -28%
STRAN & COMPANY INC
86260J102
$184,917 112,071 +30%
BOS BETTER ONLINE SOLUTIONS
M20115180
$184,903 41,181 -29%
ETF SER SOLUTIONS
26922B378
$184,510 10,076 Nuova
STARBOARD INVT TR
85521B783
$184,259 23,992 Nuova
CODA OCTOPUS GROUP INC
19188U206
$183,998 16,283 -48%
JERASH HLDGS US INC
47632P101
$183,966 63,656 Nuova
RIVERNORTH OPPORTUNISTIC MUN
76883F108
$182,663 12,129 Nuova
NIU TECHNOLOGIES
65481N100
$182,561 63,170 Nuova
BCP INVESTMENT CORPORATION
73688F201
$181,984 24,200 -82%
MITSUBISHI UFJ FINANCIAL GRO
606822104
$181,579 10,700 -99%
SO YOUNG INTERNATIONAL INC
83356Q108
$181,272 66,400 -78%
RED ROBIN GOURMET BURGERS IN
75689M101
$181,262 61,864 -38%
VERU INC
92536C202
$180,959 81,882 -36%
PAMT CORP
693149106
$180,686 21,383 -17%
GAMESQUARE HLDGS INC
36468G103
$180,090 667,001 -42%
EUROPEAN EQUITY FD INC
298768102
$179,355 18,135 -28%
LITMAN GREGORY FDS TR
53700T751
$178,713 13,684 -29%
RALLYBIO CORP
75120L209
$178,377 19,886 Nuova
INVESTMENT MANAGERS SER TR I
46143U534
$178,314 11,300 -26%
WEAVE COMMUNICATIONS INC
94724R108
$176,918 38,294 -71%
DESTINATION XL GROUP INC
25065K104
$176,562 346,200 -77%
FIRST NORTHWEST BANCORP
335834107
$175,718 20,244 +29%
ALPHA TEKNOVA INC
02080L102
$174,501 60,381 -33%
LIXTE BIOTECHNOLOGY HLDGS IN
539319301
$173,630 56,557 +214%
SRH TOTAL RETURN FUND INC
101507101
$173,120 10,124 -34%
WIDEPOINT CORP
967590209
$172,978 34,665 -73%
NOODLES & CO
65540B303
$172,471 20,172 Nuova
SUMMIT ST BK SANTA ROSA CALI
866264203
$172,272 12,885 +27%
QUANTUM SI INC
74765K105
$169,929 219,546 -96%
PHARMING GROUP NV
71716E105
$169,545 10,189 -46%
VERSABANK NEW
92512J106
$169,502 11,962 Nuova
RELMADA THERAPEUTICS INC
75955J402
$169,128 24,300 -53%
INTERNATIONAL MONEY EXPRESS
46005L101
$168,712 10,678 Nuova
WHEELS UP EXPERIENCE INC
96328L205
$168,103 325,464 -60%
MINDWALK HOLDINGS CORP
602687105
$167,135 147,907 -68%
OFF THE HOOK YS INC
676206105
$166,754 83,796 -63%
SKY HARBOUR GROUP CORPORATIO
83085C107
$166,599 17,300 -75%
ORASURE TECHNOLOGIES INC
68554V108
$165,918 55,306 -83%
REKOR SYSTEMS INC
759419104
$164,812 200,990 -82%
DARIOHEALTH CORP
23725P308
$164,089 20,460 Nuova
FRANKLIN ETHEREUM TR
35351J109
$163,770 10,300 -27%
HORIZON TECHNOLOGY FIN CORP
44045A102
$163,769 38,900 -49%
UNITED BANCORP INC OHIO
909911109
$162,428 10,679 +11%
PIONEER BANCORP INC MD
723561106
$162,224 11,654 -24%
TALPHERA INC
00444T209
$161,667 216,451 -28%
CUMBERLAND PHARMACEUTICALS I
230770109
$161,665 49,743 -37%
NEXTCURE INC
65343E207
$160,872 15,292 Nuova
PMV PHARMACEUTICALS INC
69353Y103
$160,144 129,148 -6%
ANTERIS TECHNOLOGIES GLOBAL
03675P102
$159,957 28,821 Nuova
SOLITARIO RESOURCES CORP
8342EP107
$159,835 194,921 -43%
KALTURA INC
483467106
$159,332 130,600 +49%
ATYR PHARMA INC
002120202
$158,630 203,372 -47%
FALCONS BEYOND GLOBAL INC
306121104
$158,188 11,219 Nuova
VISTAGEN THERAPEUTICS INC
92840H400
$157,106 274,900 -72%
PERMIANVILLE RTY TR
71425H100
$157,065 84,900 +21%
ALTI GLOBAL INC
02157E106
$156,670 43,279 -38%
TIDAL TRUST II
88636W130
$156,594 10,398 Nuova
PANTAGES CAPITAL ACQUISITION
G8089R100
$156,110 14,896 Nuova
ONKURE THERAPEUTICS INC
68277Q105
$155,610 37,587 -76%
ZHIHU INC
98955N207
$155,587 54,784 +179%
INVESTMENT MANAGERS SER TR I
46092D269
$155,562 11,884 Nuova
COFFEE HLDG CO INC
192176105
$155,457 36,578 +11%
PRIORITY TECHNOLOGY HLDGS IN
74275G107
$154,344 32,700 Nuova
SOLANA CO
42328V876
$154,143 89,100 -89%
CURRENC GROUP INC
G47862100
$152,864 58,345 Nuova
NERDY INC
64081V109
$151,697 185,857 -62%
HAIN CELESTIAL GROUP INC
405217100
$151,283 216,800 -37%
PROTALIX BIOTHERAPEUTICS INC
74365A309
$151,032 69,600 -77%
21SHARES ETHEREUM ETF
04071F102
$150,988 14,421 -37%
U S GLOBAL INVS INC
902952100
$150,645 60,744 Invariata
NUVEEN PFD & INCOME OPPORTUN
67073B106
$150,415 19,949 -65%
MEREO BIOPHARMA GROUP PLC
589492107
$150,084 454,800 -52%
YD BIO LTD
G98301107
$149,765 19,450 +6%
NUVEEN REAL ESTATE INCOME FD
67071B108
$149,170 19,996 -27%
BLACKSTONE STRATEGIC CRED 20
09257R101
$147,882 13,263 Nuova
NAKAMOTO INC
49457M106
$147,433 667,420 -70%
AMERICAS CAR-MART INC
03062T105
$146,637 11,519 -94%
MANHATTAN BRDG CAP INC
562803106
$146,405 32,900 -53%
PS INTL GROUP LTD
G7308J113
$146,195 23,888 Nuova
COHEN & STEERS QUALITY INCOM
19247L106
$146,185 12,132 Nuova
VIRTRA INC
92827K301
$145,432 39,200 -66%
SOPHIA GENETICS SA
H82027105
$144,540 29,200 Nuova
NUVEEN MUN HIGH INCOME OPPOR
670682103
$144,189 13,891 +14%
GRABAGUN DIGITAL HLDGS INC
38387Q113
$143,967 304,758 +26%
VALHI INC NEW
918905209
$143,443 10,031 -36%
SKILLZ INC
83067L208
$142,709 55,100 -50%
NUVEEN MASS QUALITY MUN INC
67061E104
$141,651 11,507 Nuova
WESTERN COPPER & GOLD CORP
95805V108
$141,602 55,969 Nuova
GRANITESHARES ETF TR
38747R546
$141,480 13,100 -85%
FOXX DEV HLDGS INC
351665104
$141,134 29,650 Nuova
LGL GROUP INC
50186A108
$140,786 20,257 Nuova
CELLECTIS S A
15117K103
$140,479 44,315 -70%
KRANESHARES TRUST
500767579
$139,093 10,138 -72%
ELEDON PHARMACEUTICALS INC
28617K101
$138,600 45,000 +15%
DINGDONG CAYMAN LTD
25445D101
$138,523 53,900 +66%
TTEC HLDGS INC
89854H102
$138,250 55,300 -31%
FUTURECREST ACQUISITION CORP
G3730U107
$137,872 13,705 +35%
GULF RES INC
40251W507
$137,794 22,047 +227%
JAGUAR URANIUM CORP
47010E108
$137,500 50,000 Nuova
GAIN THERAPEUTICS INC
36269B105
$137,352 70,800 -45%
MDXHEALTH SA
B5950S113
$137,158 59,634 -60%
HELIX ACQUISITION CORP III
G4444S107
$137,011 13,302 Nuova
RIDENOW GROUP INC
781386305
$136,893 19,390 -66%
OYSTER ENTERPRISES II ACQUIS
G6861F120
$136,731 13,262 Invariata
ETF OPPORTUNITIES TRUST
26923N280
$136,459 11,535 Nuova
HIGHLANDER SILVER CORP
43087N204
$136,193 23,162 Nuova
ABRDN INCOME CREDIT STRATEGI
003057106
$133,997 26,274 Nuova
NEONODE INC
64051M709
$133,909 95,649 -56%
CSP INC
126389105
$133,556 15,440 Nuova
NEURONETICS INC
64131A105
$133,396 91,997 -27%
WORLD FDS TR
98148L738
$131,868 22,200 Nuova
CHICAGO ATLANTIC REAL ESTATE
167239102
$131,312 11,600 -87%
RADCOM LTD
M81865111
$131,109 10,782 -82%
DOUBLELINE INCOME SOLUTIONS
258622109
$131,043 12,100 Nuova
VANECK SOLANA TR
92200B100
$129,794 11,900 Nuova
MORGAN STANLEY EMKT DBT FD I
61744H105
$129,512 18,449 Nuova
CVD EQUIP CORP
126601103
$128,750 31,099 +161%
GOSSAMER BIO INC
38341P102
$128,542 391,300 -97%
EATON VANCE TAX-MANAGED GLOB
27829F108
$127,389 14,710 Nuova
ETF OPPORTUNITIES TRUST
26923Q655
$127,141 28,700 -14%
FIRST GTY BANCSHARES INC
32043P106
$126,810 15,617 Nuova
INVESTMENT MANAGERS SER TR I
46152A510
$126,659 10,151 Nuova
EATON VANCE FLOATING RATE IN
278279104
$126,174 11,759 +8%
LAKESHORE ACQUISITION III CO
G5353S103
$125,856 12,219 -16%
SABA CAPITAL INCOME & OPPORT
880198205
$125,632 15,100 Nuova
TEXAS VENTURES ACQUISITION I
G8772L105
$124,555 11,988 Nuova
VINE HILL CAP INVTS CORP II
G9709D125
$124,434 12,431 -23%
DIREXION SHARES ETF TRUST
25461H838
$124,409 14,680 Nuova
SILICON VY ACQUISITION CORP
G81306105
$123,176 12,293 -41%
NATURAL HEALTH TRENDS CORP
63888P406
$122,799 44,014 -35%
EGAIN CORP
28225C806
$121,506 15,400 -86%
LIVEPERSON INC
538146309
$121,482 47,640 -46%
SCYNEXIS INC
811292200
$119,959 130,831 +82%
SOUNDTHINKING INC
82536T107
$118,015 17,827 -93%
KAIXIN HLDGS
G5223X175
$117,988 21,689 Nuova
EVERCOMMERCE INC
29977X105
$117,729 10,300 -43%
ELUTIA INC
05479K106
$117,710 112,105 +10%
REE AUTOMOTIVE LTD
M8287R202
$117,700 196,297 -13%
MASTERBRAND INC
57638P104
$117,595 14,151 -94%
SILVERBOX CORP IV
G81354105
$117,315 10,964 +4%
POLYRIZON LTD
M79549206
$117,119 10,149 Nuova
RENATUS TACTICAL ACQUIS
G7490F101
$116,822 11,364 Nuova
PROCAP ACQUISITION CORP
G7257A105
$116,696 11,452 +7%
LIMINATUS PHARMA INC.
53271X108
$116,465 677,518 +169%
RE/MAX HLDGS INC
75524W108
$115,776 20,100 -88%
GROWGENERATION CORP
39986L109
$115,641 105,128 -78%
NATURAL ALTERNATIVES INTL IN
638842302
$114,952 43,708 +120%
GROVE COLLABORATIVE HOLD INC
39957D201
$114,844 89,722 +615%
ROUNDHILL ETF TRUST
77926X593
$114,558 18,300 -41%
MIND C T I LTD
M70240102
$113,973 99,107 -2%
LISATA THERAPEUTICS INC
128058302
$113,557 22,666 Nuova
CENTRAIS ELET BRAS SA
15236F100
$112,531 10,305 -89%
PERIMETER ACQUISITION CORP I
G7010A129
$112,135 10,940 Nuova
TH INTERNATIONAL LIMITED
G8656L130
$111,306 55,653 +6%
CBRE GBL REAL ESTATE INC FD
12504G100
$111,159 25,321 Nuova
NEW PROVIDENCE ACQUISITION C
G6476A102
$111,003 10,819 Invariata
GSR IV ACQUISITION CORP
G4R12K107
$110,887 11,050 Nuova
GIGCAPITAL7 CORP
G38648120
$110,559 335,027 -20%
EMPIRE ST RLTY OP L P
292102100
$110,043 21,834 Nuova
DRUGS MADE IN AMER ACQUTN CO
G2847J104
$109,998 10,476 Nuova
TRAILBLAZER ACQUISITION CORP
G9009S103
$109,706 10,916 Nuova
GIGCAPITAL8 CORP
G3864J100
$109,590 10,992 Nuova
CRANE HBR ACQUISITION CORP I
G25014120
$109,577 10,860 Nuova
OTG ACQUISITION CORP. I
G6791A100
$109,493 10,884 +3%
BLACKROCK MUNIYIELD QUALITY
09254E103
$109,251 10,395 -45%
TITAN ACQUISITION CORP
G8901A103
$109,188 10,570 Nuova
OAKTREE ACQUISITION CORP III
G6717R104
$108,887 10,253 Nuova
YIREN DIGITAL LTD
98585L100
$108,704 63,200 -82%
BLACKROCK TCP CAPITAL CORP
09259E108
$108,661 30,100 +68%
ARCHIMEDES TECH SPAC PARTNER
G04537109
$108,440 10,377 Nuova
LUCKY STRIKE ENTERTAINMENT C
10258P102
$108,160 13,000 -68%
TWO RDS SHARED TR
90214Q766
$108,133 11,608 Nuova
LAUNCH ONE ACQUISITION CORP
G5S86M100
$108,094 10,074 +1%
1RT ACQUISITION CORP.
G6757R105
$108,062 10,657 Nuova
VIEMED HEALTHCARE INC
92663R105
$108,034 11,730 -76%
LIVE OAK ACQUISITION CORP V
G5509P102
$107,890 10,374 Nuova
ANDRETTI ACQUISITION CORP II
G26745102
$107,850 10,122 Nuova
ACTIVATE ENERGY ACQUISIT COR
G0081J129
$107,777 10,671 +1%
TILLYS INC
886885102
$107,730 26,600 -40%
MFS CHARTER INCOME TR
552727109
$107,704 17,773 Nuova
SCIENJOY HOLDING CORP
G7864D112
$107,604 85,400 +570%
8X8 INC NEW
282914100
$107,533 64,779 -83%
PLUM ACQUISITION CORP IV
G7134A104
$107,448 10,175 Nuova
NUTRIBAND INC
67092M125
$107,194 95,709 -44%
INSPIREMD INC
45779A846
$107,173 65,750 -69%
M EVO GBL ACQUISITION CORP I
G6071J128
$106,986 10,656 Nuova
COSMOS HEALTH INC
221413305
$106,771 336,606 +54%
HENNESSY ADVISORS INC
425885100
$106,587 10,932 -34%
UR-ENERGY INC
91688R108
$106,489 71,469 -96%
THEMES ETF TR
882927387
$106,488 23,200 -75%
LAFAYETTE DIGITAL ACQUISITIO
G5345D123
$106,469 10,722 Nuova
C1 FD INC
12673Q103
$106,064 27,549 +4%
ART TECHNOLOGY ACQUISITION C
G0579E103
$106,041 10,815 Nuova
LEGATO MERGER CORP IV
G7318R121
$105,958 10,617 Nuova
CAESARSTONE LTD
M20598104
$105,930 99,000 -44%
TCW STRATEGIC INCOME FD INC
872340104
$105,897 23,585 Nuova
CAN FITE BIOFARMA LTD
13471N409
$105,865 34,150 Nuova
CHENGHE ACQUISITION III CO
G2086N113
$105,811 10,466 Invariata
D. BORAL ARC ACQ I CORP.
G2616F101
$104,459 10,322 Nuova
ILLUMINATION ACQUISITIO CORP
G470AU126
$104,348 10,519 Nuova
COHEN CIRCLE ACQUISIT CORP I
G2254C105
$104,269 10,084 -90%
RANK ONE COMPUTING CORP
753040104
$103,990 14,877 Nuova
ROYALTY MGMT HLDG CORP
02369M102
$103,802 34,950 Nuova
BLINK CHARGING CO
09354A100
$103,800 183,100 -60%
FATHOM HOLDINGS INC
31189V109
$103,781 195,777 -10%
ETF OPPORTUNITIES TRUST
26923Q499
$103,456 21,200 -62%
NETWORK-1 TECHNOLOGIES INC
64121N109
$103,435 71,830 +145%
FIDELITY SOLANA FD
31641G104
$103,350 10,600 -69%
APEX TECH ACQUISITION INC
G0R21F121
$103,183 10,308 Nuova
COHEN CIRCLE ACQUISIT CORP I
G2254C121
$102,783 10,057 Nuova
WESTERN ASSET HIGH INCOME OP
95766K109
$102,253 28,169 Nuova
ARTIVA BIOTHERAPEUTICS INC
04317A107
$102,203 15,870 Nuova
MFS INTER INCOME TR
55273C107
$102,026 40,648 -66%
PRECISION OPTICS CORP INC MA
740294400
$102,002 23,235 +10%
CULP INC
230215105
$101,662 37,103 +7%
BTC DEV CORP
G0701G125
$101,637 10,073 Invariata
SPACSPHERE ACQUISITION CORP
G8T088125
$101,264 10,056 Nuova
IZEA WORLDWIDE INC
46604H204
$101,088 28,800 -73%
CHEMOMAB THERAPEUTICS LTD
16385C203
$100,766 64,182 -41%
ACTINIUM PHARMACEUTICALS INC
00507W206
$100,625 101,100 -36%
AYTU BIOPHARMA INC
054754858
$100,576 36,841 +149%
INTERCURE LTD
M549GJ111
$100,560 133,919 +67%
SABA CAPITAL INCOME & OPRNT
78518H202
$100,231 14,871 -40%
INVESCO QUALITY MUN INCOME T
46133G107
$99,654 10,359 -88%
HALL CHADWICK ACQUISITION CO
G42386105
$99,528 10,023 Nuova
INNOVAGE HLDG CORP
45784A104
$99,448 12,400 -75%
GREENPRO CAP CORP
39540F309
$99,413 36,150 +181%
Q32 BIO INC
746964105
$99,388 15,481 -34%
SYNTEC OPTICS HLDGS INC
87169M105
$99,214 14,113 Nuova
SENSTAR TECHNOLOGIES CORP
81728N100
$99,205 32,741 +98%
KANDI TECHNOLOGIES GROUP INC
G5214E103
$98,205 117,526 -26%
MFS HIGH YIELD MUN TR
59318E102
$97,977 27,368 +52%
LOOP INDS INC
543518104
$97,919 68,475 +25%
BIRCHTECH CORP
59833H200
$96,889 50,994 Nuova
ACCESS NEWSWIRE INC
46520M204
$96,884 10,935 Nuova
OCEAN PWR TECHNOLOGIES INC
674870506
$96,880 276,800 +31%
TIDAL TRUST II
88636J774
$96,668 12,403 -58%
PUTNAM PREMIER INCOME TR
746853100
$96,624 27,218 +55%
SONO TEK CORP
835483108
$96,072 23,663 +16%
KIORA PHARMACEUTICALS INC
49721T507
$95,599 49,533 +117%
VALENS SEMICONDUCTOR LTD
M9607U115
$95,146 84,200 -64%
AVITA MEDICAL INC
05380C102
$94,809 25,624 -65%
INVESTMENT MANAGERS SER TR I
46152A734
$94,650 12,620 -84%
FLUENT INC
34380C201
$94,576 29,929 Nuova
AWARE INC MASS
05453N100
$94,450 75,560 -14%
POMDOCTOR LTD
73181R108
$93,630 364,603 Nuova
PENNANTPARK FLOATING RATE CA
70806A106
$93,264 11,600 -55%
WORKSPORT LTD
98139Q308
$92,814 88,394 Nuova
HOTEL101 GLOBAL HOLDINGS COR
G46127109
$92,639 12,031 Nuova
SOLIDION TECHNOLOGY INC
834212201
$92,498 14,659 Nuova
ETF OPPORTUNITIES TRUST
26923Q457
$92,475 13,700 -78%
HIGH INCOME SECS FD
42968F108
$92,405 16,740 -10%
RIVERNORTH DOUBLELINE STRATE
76882G107
$92,186 12,019 Nuova
CREDIT SUISSE ASSET MGMT
224916106
$92,140 35,992 +76%
GRANITESHARES ETF TR
38747R538
$92,127 32,100 -64%
CARLYLE CREDIT INCOME FUND
92535C104
$91,585 28,531 -43%
CODERE ONLINE LUXEMBOURG S A
L18268109
$91,426 10,756 -57%
QVC GROUP INC
74915M605
$90,923 41,900 -77%
VIVOPOWER PLC
G9376R209
$89,930 39,100 -45%
XTANT MED HLDGS INC
98420P308
$89,844 161,011 -60%
SHIMMICK CORPORATION
82455M109
$89,812 24,472 -40%
FORIAN INC
34630N106
$89,327 43,153 -37%
ALTISOURCE PORTFOLIO SOLUTIO
L0175J138
$89,033 13,977 Nuova
MIND TECHNOLOGY INC
602566309
$88,953 10,653 Nuova
HIGHLAND OPPS & INCOME FD
43010E404
$88,870 15,564 -26%
DATA STORAGE CORP
23786R201
$88,847 22,958 -66%
ALARUM TECHNOLOGIES LTD
78643B500
$88,679 14,879 Nuova
DOGNESS INTERNATIONAL CORP
G2788T111
$88,115 61,619 -74%
INVESCO ADVANTAGE MUN INCOME
46132E103
$87,960 10,157 Nuova
WESTERN AST INFL LKD OPP & I
95766R104
$87,163 10,303 -43%
BRASILAGRO COMPANHIA BRASILE
10554B104
$86,664 20,488 -9%
PULMONX CORP
745848101
$86,571 67,109 -39%
CROWN CRAFTS INC
228309100
$85,176 33,078 -52%
FRANKLIN STR PPTYS CORP
35471R106
$84,913 127,784 -83%
HEALTH CATALYST INC
42225T107
$84,836 66,800 Nuova
ALLSPRING INCOME OPPORTUNIT
94987B105
$84,428 13,029 Nuova
TEADS HLDG CO
69002R103
$84,038 127,600 +192%
GRANITESHARES ETF TR
38747R355
$84,032 10,550 -36%
AURA BIOSCIENCES INC
05153U107
$83,645 12,503 -78%
SUNPOWER INC
20460L104
$83,632 65,852 -82%
AGILON HEALTH INC
00857U206
$83,498 10,556 Nuova
ABRDN GLOBAL INCOME FUND INC
003013109
$82,971 26,340 Nuova
BAYFIRST FINANCIAL CORP
07279B104
$81,985 12,911 Nuova
DOMINARI HOLDINGS INC
008875304
$81,900 25,200 -71%
GETTY IMAGES HOLDINGS INC
374275105
$81,072 102,183 -87%
FARMER BROS CO
307675108
$80,987 63,769 +391%
AMERISERV FINL INC
03074A102
$80,936 22,358 Nuova
RESEARCH SOLUTIONS INC
761025105
$80,772 35,740 -4%
METALPHA TECHN HOLDING LTD
G28365107
$80,501 70,001 Nuova
PROSHARES TR
74349Y423
$80,342 14,796 Nuova
ODYSIGHT AI INC
81063V204
$80,092 11,524 Nuova
PSQ HOLDINGS INC
693691107
$79,235 149,500 -86%
READING INTL INC
755408101
$79,062 69,966 -43%
MMTEC INC
G6181K122
$79,008 16,739 Nuova
ROBOT CONSULTING CO LTD
77106A108
$78,826 28,027 -25%
NEUROONE MED TECHNOLOGIES CO
64130M209
$78,815 101,500 -30%
AERIES TECHNOLOGY INC
G0136H102
$78,805 251,772 +93%
NEUPHORIA THERAPEUTICS INC
64136E102
$78,677 19,331 Nuova
XCHG LTD
98370X103
$78,667 67,237 +64%
QUETTA ACQUISITION CORP
74841A113
$78,431 52,994 -31%
ECO WAVE POWER GLOBAL AB
27900N103
$78,347 12,596 Nuova
TRISALUS LIFE SCIENCES INC
89680M119
$78,228 65,190 -39%
INTERNATIONAL TOWER HILL MIN
46050R102
$78,179 33,991 Nuova
ETF OPPORTUNITIES TRUST
26923W348
$78,170 85,152 Nuova
SACHEM CAP CORP
78590A109
$78,106 77,333 -59%
TIDAL TRUST II
88636R602
$77,430 14,500 Nuova
INVESCO MUNI INCOME OPP TRST
46132X101
$77,247 12,581 Nuova
LIGHTINTHEBOX HLDG CO LTD
53225G201
$76,776 33,381 +96%
BIOCARDIA INC
09060U606
$76,695 63,384 -35%
QUANTUM BIOPHARMA LTD
74764Y205
$76,618 15,863 -34%
THE BEAUTY HEALTH COMPANY
88331L108
$76,522 85,980 -65%
MAASE INC.
G4453R115
$76,510 13,146 Nuova
BRC INC
05601U105
$76,434 98,473 -66%
BIOATLA INC
09077B104
$76,246 473,575 +1089%
THEMES ETF TR
88340F837
$75,444 15,200 Nuova
THEMES ETF TR
882927452
$75,220 12,700 Nuova
BLUE ACQUISITION CORP.
G1331A116
$75,000 250,000 Invariata
GRANITESHARES ETF TR
38747R348
$74,213 31,446 -68%
ALX ONCOLOGY HLDGS INC
00166B105
$74,185 37,000 -62%
CLEAN ENERGY TECHNOLOGIES IN
18452H305
$74,175 77,266 Nuova
LOCAFY LIMITED
Q56120142
$74,132 42,361 -3%
INFLARX NV
N44821101
$73,731 82,437 -54%
APTORUM GROUP LIMITED
G6096M122
$73,557 92,420 -40%
THE ARENA GROUP HOLDINGS INC
040044109
$73,346 33,800 -72%
LENSAR INC
52634L108
$72,712 12,200 Nuova
LQR HSE INC
50215C307
$72,161 73,951 Nuova
CEA INDUSTRIES INC
86887P309
$72,124 24,700 -84%
CORNERSTONE TOTAL RETURN FD
21924U300
$72,002 10,360 Nuova
GLIMPSE GROUP INC
37892C106
$71,776 139,100 +75%
ALTERITY THERAPEUTICS LTD
02155X205
$71,474 20,077 +38%
BLUE MOON METALS INC
09570Q509
$71,338 10,908 Nuova
REEDS INC
758338404
$71,166 19,605 Nuova
CIBUS INC
17166A101
$71,082 35,900 -44%
INDAPTUS THERAPEUTICS INC
45339J204
$71,013 39,018 Nuova
ADVISORSHARES TR
00768Y495
$70,710 26,886 Nuova
MFS MULTIMARKET INCOME TR
552737108
$70,644 15,291 -17%
INVESTMENT MANAGERS SER TR I
46092D327
$69,987 12,300 Nuova
YUEDA DIGITAL HOLDING
G0137L110
$69,547 72,152 Nuova
JAMES RIV GROUP HOLDINGS INC
46990A102
$69,300 11,000 -50%
CREDIT SUISSE HIGH YIELD CRE
22544F103
$68,795 36,208 +72%
CASTOR MARITIME INC
Y1146L208
$68,635 37,100 -83%
BARINTHUS BIOTHERAPEUTICS PL
91864C107
$68,125 118,996 -18%
XCEL BRANDS INC
98400M200
$67,445 43,513 Nuova
QUAD / GRAPHICS INC
747301109
$67,422 10,200 -45%
GREEN CIRCLE DECARBONIZE TEC
G4092C107
$67,407 66,740 Nuova
AIR INDS GROUP
00912N403
$67,404 20,868 Nuova
ATLANTIC INTL CORP
048592109
$67,399 22,244 Nuova
ZEVIA PBC
98955K104
$67,128 57,374 -92%
IP STRATEGY HOLDINGS INC
42727R203
$66,720 252,728 Nuova
MAKO MNG CORP
56089A400
$66,590 10,421 Nuova
MACKENZIE RLTY CAP INC
55453W501
$66,444 18,664 Nuova
COYA THERAPEUTICS INC
22407B108
$66,424 16,859 -43%
TIGO ENERGY INC
88675P103
$66,387 17,656 -85%
EVAXION AS
29970R303
$66,116 17,773 Nuova
PATRIOT NATL BANCORP INC
70336F203
$65,978 51,146 Nuova
JASPER THERAPEUTICS INC
471871202
$64,927 74,100 -52%
BIORESTORATIVE THERAPIES INC
090655606
$64,925 238,606 +90%
NEXMETALS MINING CORP.
65346E204
$64,923 26,499 -64%
THEMES ETF TR
882927270
$64,825 22,500 -83%
DIGINEX LTD
G28687104
$64,622 134,600 -71%
THEMES ETF TR
88340F738
$64,200 20,157 Nuova
FULL HSE RESORTS INC
359678109
$64,125 28,500 -90%
BIOHARVEST SCIENCES INC
09076J207
$64,028 14,753 -20%
IHEARTMEDIA INC
45174J509
$63,656 21,800 -79%
BIOVIE INC
09074F504
$63,409 45,292 +201%
MASTECH HLDGS INC
57633B100
$62,357 10,959 Nuova
NEPHROS INC
640671400
$62,246 20,888 -38%
ETF OPPORTUNITIES TRUST
26923Q622
$61,886 148,800 -48%
UNIVERSAL ELECTRS INC
913483103
$61,800 15,000 -81%
HANG FENG TECHNOLOGY INNOVAT
G4290G108
$61,684 14,617 Nuova
IRIDEX CORP
462684101
$61,460 60,851 +57%
PHOENIX NEW MEDIA LTD
71910C202
$61,313 35,036 +82%
PUTNAM MASTER INTER INCOME T
746909100
$61,182 18,710 Nuova
NOMADAR CORP.
65531Y106
$61,082 14,971 Nuova
SKYE BIOSCIENCE INC
83086J200
$60,784 98,900 -2%
ZENTEK LTD
98942X102
$60,000 113,679 +303%
ARMADA ACQUISITION CORP II
G0R38G112
$59,965 99,942 -27%
DYADIC INTL INC DEL
26745T101
$59,778 72,900 Nuova
MESA RTY TR
590660106
$59,536 12,175 Nuova
EDUCATIONAL DEV CORP
281479105
$59,122 46,922 +142%
M-TRON INDS INC
55380K133
$58,951 28,072 Nuova
LIFETIME BRANDS INC
53222Q103
$58,760 10,237 +4%
DUNE ACQUISITION CORP II
G2867S117
$58,543 216,825 +5%
SENSUS HEALTHCARE INC
81728J109
$58,108 14,600 -79%
GREAT ELM GROUP INC
39037G109
$57,794 30,906 -26%
X FINL
98372W202
$57,775 14,023 -93%
GREENTREE HOSPITALITY GROUP
39579V100
$57,756 45,838 +6%
BARK INC
68622E104
$57,347 113,200 -44%
EMPERY DIGITAL INC
92864V608
$55,836 13,200 -78%
PYXIS TANKERS INC
Y71726130
$55,803 13,161 -64%
PERFORMANCE SHIPPING INC
Y67305154
$55,447 30,134 +128%
J & FRIENDS HOLDINGS LTD
72352G206
$55,425 60,245 Nuova
SINGULARITY FUTURE TECH LTD
82935V307
$54,595 131,237 Nuova
ANIXA BIOSCIENCES INC
03528H109
$54,180 21,000 -42%
BELIVE HLDGS
G09675102
$53,782 22,224 -33%
HUIZE HLDG LTD
44473E204
$53,475 43,476 Nuova
PIONEER PWR SOLUTIONS INC
723836300
$53,300 16,400 -68%
HEALTH IN TECH INC
42217D102
$53,116 36,632 +122%
BEAM GLOBAL
07373B109
$52,920 36,000 -12%
UNITED MARITIME CORPORATION
Y92335101
$52,807 26,142 -62%
NRX PHARMACEUTICALS INC
629444209
$52,611 24,700 -46%
SIEBERT FINL CORP
826176109
$52,502 27,345 Nuova
ATA CREATIVITY GLOBAL
00211V106
$52,170 59,965 -9%
NIP GROUP INC
654503101
$52,055 79,863 -44%
INVESTCORP CR MGMT BDC INC
46090R104
$51,840 32,000 -76%
THEMES ETF TR
88340C834
$51,786 10,600 Nuova
PURPLE INNOVATION INC
74640Y106
$50,530 76,422 -45%
AMAZE HOLDINGS INC
35804X200
$50,329 269,860 Nuova
PLANET GREEN HLDGS CORP
72703U201
$50,321 34,704 -21%
WATERDROP INC
94132V105
$49,357 30,467 -71%
LOTUS TECHNOLOGY INC
54572F101
$49,320 42,887 -46%
KALA BIO INC
483119202
$48,754 281,650 +56%
PENNANTPARK INVT CORP
708062104
$48,492 10,800 -95%
ENLIVEX LTD
M4130Y106
$48,425 52,065 +13%
SANGAMO THERAPEUTICS INC
800677106
$48,417 196,100 -74%
BRANCHOUT FOOD INC
105230106
$48,180 14,600 Nuova
BRAGG GAMING GROUP INC
104833306
$48,139 27,988 -68%
MILESTONE SCIENTIFIC INC
59935P209
$48,135 167,135 +15%
SUNSHINE BIOPHARMA INC
867781700
$48,098 46,248 -28%
EHEALTH INC
28238P109
$47,859 37,100 -93%
INTEGRATED MEDIA TECHNLOGY L
Q49376124
$47,642 80,886 +67%
GREENPOWER MTR CO INC
39540E401
$47,639 47,167 +475%
SANGOMA TECHNOLOGIES CORP
80100R408
$47,599 12,559 -27%
POWERBANK CORP
73933V100
$47,476 88,674 Nuova
PLAYBOY INC
72814P109
$47,120 31,000 -93%
EASTERN INTL LTD
G2907P107
$46,649 50,160 Nuova
SUNLANDS TECHNOLOGY GROUP
86740P207
$46,199 13,162 Nuova
AMBER INTL HLDG LTD
45113Y203
$45,996 19,490 -48%
MV OIL TR
553859109
$44,827 19,835 -69%
LOCAFY LIMITED
Q56120134
$44,742 10,262 Nuova
BRIDGELINE DIGITAL INC
10807Q700
$44,700 56,085 -54%
THEMES ETF TR
88340C867
$44,652 42,935 -87%
OSTIN TECHNOLOGY GROUP CO LT
G67927122
$44,051 34,652 Invariata
LAIRD SUPERFOOD INC
50736T102
$43,802 20,373 Nuova
WAH FU EDUCATION GROUP LIMIT
G94184101
$43,331 27,082 +26%
STEREOTAXIS INC
85916J409
$43,240 23,500 -37%
ELITE EXPRESS HOLDING INC.
28661C104
$43,159 62,459 Nuova
THE MARYGOLD COMPANIES INC
57403M104
$43,086 37,795 +54%
GRANITESHARES ETF TR
38747R660
$43,000 25,000 Nuova
IHUMAN INC
45175B109
$42,673 25,028 -2%
BUZZFEED INC
12430A300
$42,663 70,100 -63%
CHINA AUTOMOTIVE SYS INC
G2125H101
$42,000 10,000 -76%
GRANITESHARES ETF TR
38747R488
$41,830 18,674 Nuova
SPHERE 3D CORP NEW
84841L506
$41,811 28,835 Nuova
INVESCO SR INCOME TR
46131H107
$41,731 12,960 -60%
AMERICAN SHARED HOSPITAL SVC
029595105
$41,409 28,558 Nuova
EMPIRE PETE CORP
292034303
$41,103 13,886 -69%
TIZIANA LIFE SCIENCES LTD
G88912103
$41,060 35,094 Nuova
BOLT BIOTHERAPEUTICS INC
097702203
$40,840 10,109 Nuova
THE ONE GROUP HOSPITALITY IN
88338K103
$40,659 22,842 Nuova
FTC SOLAR INC
30320C301
$40,446 10,700 -93%
IVEDA SOLUTIONS INC
46583A303
$40,390 157,161 +26%
OUTLOOK THERAPEUTICS INC
69012T305
$40,028 194,500 -98%
PROKIDNEY CORP
74291D104
$39,917 22,300 -96%
GSR IV ACQUISITION CORP
G4R12K115
$39,721 16,279 Nuova
BNB PLUS CORP
03815U607
$39,578 61,840 Nuova
ETF OPPORTUNITIES TRUST
26923N314
$39,109 23,993 -96%
MUSTANG BIO INC
62818Q302
$38,730 53,200 -53%
T STAMP INC
873048508
$38,718 16,200 Nuova
BTC DIGITAL LTD
G6055H155
$38,595 34,460 -64%
CISO GLOBAL INC
15672X201
$38,528 111,481 Nuova
JUPITER NEUROSCIENCES INC
48208B203
$38,245 101,661 Nuova
MOBILE INFRASTRUCTURE CORP
60739N101
$38,212 17,059 -72%
FREIGHT TECHNOLOGIES INC
G51413154
$37,712 45,436 Nuova
SPAR GROUP INC
784933103
$37,559 60,046 +34%
ZEDGE INC
98923T104
$37,504 12,800 -57%
MIXED MARTIAL ARTS GROUP LTD
Q0266F107
$37,354 82,459 Nuova
ETF OPPORTUNITIES TRUST
26923Q218
$36,837 11,769 Nuova
CURIS INC
231269309
$36,679 67,018 -21%
ZK INTL GROUP CO LTD
G9892K209
$35,673 23,164 -44%
WIPRO LTD
97651M109
$35,192 16,600 -26%
NAAS TECHNOLOGY INC
62955X409
$35,067 14,431 -23%
SOCKET MOBILE INC
83368E200
$34,265 39,439 -36%
IMMUTEP LTD
45257L108
$33,055 94,174 Nuova
NANOVIRICIDES INC
630087302
$32,744 35,900 -72%
ROCKY MTN CHOCOLATE FACTORY
77467X101
$32,695 14,531 Nuova
GAMEHAUS HOLDINGS INC
G3731B108
$32,517 36,536 +131%
CHEETAH NET SUPPLY CHAIN INC
16307X202
$32,175 21,594 -41%
SMART SH GLOBAL LTD
83193E102
$32,055 28,367 -85%
SELECTQUOTE INC
816307300
$31,980 50,802 -93%
MFS GOVT MKTS INCOME TR
552939100
$31,599 10,748 Nuova
ASIA PACIFIC WIRE & CABLE CO
G0535E106
$31,479 23,146 -8%
SUNCAR TECHNOLOGY GROUP INC
G85727108
$31,379 18,458 Nuova
ENSYSCE BIOSCIENCES INC
293602504
$30,890 57,363 Nuova
MYOMO INC
62857J201
$30,537 45,200 -6%
20/20 BIOLABS INC
90138K101
$30,507 16,227 Nuova
INMED PHARMACEUTICALS INC
457637700
$30,293 46,973 Nuova
ALAUNOS THERAPEUTICS INC
98973P309
$30,084 10,519 Nuova
AVALON GLOBOCARE CORP
05344R302
$29,845 56,184 Nuova
ORIGIN MATERIALS INC
68622D205
$29,765 13,055 Nuova
CENTURY THERAPEUTICS INC
15673T100
$29,606 13,100 -91%
AQUABOUNTY TECHNOLOGIES INC
03842K309
$29,444 34,028 -8%
LESLIES INC
527064208
$29,344 26,200 -11%
ROCKWELL MED INC
774374300
$29,119 32,600 -72%
REDCLOUD HLDGS PLC
G71115102
$29,054 41,199 -64%
ARQ INC
00770C101
$28,416 11,100 -86%
ACUMEN PHARMACEUTICALS INC
00509G209
$28,320 12,000 -96%
CYCLERION THERAPEUTICS INC
23255M204
$28,031 18,261 Nuova
SEMILEDS CORP
816645204
$27,461 21,969 Nuova
ISPIRE TECHNOLOGY INC
46501C100
$27,232 14,800 -73%
GT BIOPHARMA INC
36254L308
$27,002 66,165 -57%
PRF TECHNOLOGIES LTD
M77798201
$26,837 13,220 Nuova
SILEXION THERAPEUTICS CORP
G1281K130
$26,785 20,926 +14%
UCLOUDLINK GROUP INC
90354D104
$26,447 18,757 -55%
VEEA INC
693489122
$26,379 49,566 Nuova
ARTS WAY MFG INC
043168103
$26,219 12,545 -67%
GOOD TIMES RESTAURANTS INC
382140879
$26,208 22,400 -86%
CITIUS PHARMACEUTICALS INC
17322U306
$26,190 29,100 -50%
CURANEX PHARMACEUTICALS INC
23126K106
$25,851 50,559 -25%
MATINAS BIOPHARMA HLDGS INC
576810303
$25,849 51,698 -33%
MARCHEX INC
56624R108
$25,775 16,629 +52%
PALISADE BIO INC
696389402
$24,976 14,272 -99%
CALIBERCOS INC
13000T604
$24,442 21,254 Nuova
METAGENOMI THERAPEUTICS INC
59102M104
$22,771 16,993 -92%
MARTI TECHNOLOGIES INC
573134103
$22,576 11,288 -45%
SOLARMAX TECHNOLOGY INC
83419H103
$22,449 32,015 Nuova
ECARX HOLDINGS INC
G29201103
$22,428 22,937 -100%
SMART DIGITAL GROUP LTD
G5006S104
$22,115 15,939 Invariata
FRACTYL HEALTH INC
35168W103
$22,064 48,196 -96%
BIO GREEN MED SOLUTION INC
23254L876
$22,051 22,051 Nuova
HEARTSCIENCES INC
42254E112
$21,955 192,587 +149%
LOGPROSTYLE INC
J3921Q102
$21,704 32,154 -58%
CORE AI HOLDINGS INC
83013Q871
$21,343 21,132 -72%
MFS INTER HIGH INCOME FD
59318T109
$21,128 13,043 -11%
HF FOODS GROUP INC
40417F109
$21,090 11,400 -6%
LOCAL BOUNTI CORP
53960E205
$20,893 18,011 Nuova
LIVEWIRE GROUP INC
53838J105
$20,584 12,400 -91%
BOREALIS FOODS INC
09973D105
$20,513 14,446 Nuova
GREENLANE HLDGS INC
395330509
$20,434 55,226 Nuova
PRESURANCE HOLDINGS INC
20731J102
$20,101 39,444 -44%
COGNITION THERAPEUTICS INC
19243B102
$19,675 25,905 -91%
SOCIETY PASS INC
83370P201
$19,549 45,231 Nuova
NUCANA PLC
67022C304
$19,536 13,855 Nuova
IT TECH PACKAGING INC
46527C209
$19,216 105,583 -72%
OPENDOOR TECHNOLOGIES INC
683712129
$19,211 31,650 -85%
17 ED & TECHNOLOGY GROUP INC
81807M304
$18,785 10,436 Nuova
TOPPOINT HLDGS INC
89078D101
$18,566 26,368 Nuova
SENESTECH INC
81720R604
$18,563 11,319 -89%
LAKESIDE HLDG LTD
51216F109
$18,156 26,049 -10%
AIFU INC
G3314G110
$17,809 12,812 -78%
MOVING IMAGE TECHNOLOGIES IN
62464R109
$17,434 33,657 Nuova
DOLPHIN ENTMT INC
25686H308
$17,346 11,800 -50%
COLLPLANT BIOTECHNOLOGIES LT
M2R51X116
$17,211 32,165 Nuova
QUINCE THERAPEUTICS INC
22053A107
$17,085 168,500 -97%
DSS INC
26253C201
$16,138 19,443 Nuova
HYPERFINE INC
44916K106
$15,660 14,500 -61%
FST CORP.
G3R23E100
$15,658 11,685 Nuova
PROFUSA INC
74319X207
$15,638 30,844 Nuova
CXAPP INC
23248B109
$15,613 86,500 +264%
HELPORT AI LTD
G4R52R103
$15,539 10,359 Nuova
REDHILL BIOPHARMA LTD
757468301
$15,406 20,673 -3%
BED BATH & BEYOND INC
075896159
$15,266 27,187 -30%
ONCOLYTICS BIOTECH INC
682310875
$15,225 17,938 Nuova
ACCO GROUP HLDGS LTD
G0069D110
$14,287 10,662 -79%
ABOVE FOOD INGREDIENTS INC
00373V100
$14,241 14,100 Nuova
INMUNE BIO INC
45782T105
$14,125 12,500 -80%
VIVANI MEDICAL INC
92854B109
$14,100 14,100 -88%
TDH HLDGS INC
G87084110
$14,078 11,732 -69%
CENNTRO INC
150964104
$13,547 112,895 Nuova
LM FDG AMER INC
502074503
$12,537 50,146 Nuova
NETCAPITAL INC
64113L202
$12,439 38,560 Nuova
TJGC GROUP LTD
G2588N108
$12,197 17,179 -74%
ONFOLIO HOLDINGS INC
68277K207
$11,971 17,188 Nuova
YATRA ONLINE INC
G98338109
$11,948 10,764 -84%
MARWYNN HLDGS INC
573863107
$11,746 15,766 -89%
SMITH MICRO SOFTWARE INC
832154405
$11,658 16,200 -89%
WING YIP FOOD CHINA HLDGS GR
973921109
$11,280 26,233 -61%
ICZOOM GROUP INC.
G4760B100
$11,259 15,489 Nuova
MY SIZE INC
62844N406
$11,217 19,423 Nuova
ACCURAY INC DEL
004397105
$11,100 28,600 -99%
CUPRINA HLDGS (CAYMAN) LTD
G2592E102
$10,912 37,281 Nuova
ERAYAK PWR SOLUTION GROUP IN
G3109F111
$10,784 29,161 Nuova
BLOCKCHAIN DIGITAL INFRSTR I
093919108
$10,735 10,322 Nuova
IMMURON LTD
45254U101
$10,695 13,804 -69%
LEXARIA BIOSCIENCE CORP
52886N406
$10,540 13,513 Nuova
ITONIC HOLDINGS LTD
G71399102
$10,344 29,553 +88%
INLIF LTD
G4808M100
$10,212 31,763 -42%
CCSC TECHNOLOGY INTL HLDGS L
G1993R118
$10,149 23,309 Nuova
YOUXIN TECHNOLOGY LTD
G9876W112
$10,048 10,360 Nuova
INTRUSION INC
46121E304
$9,950 12,125 -83%
HAOXIN HLDGS LTD
G4290D105
$9,900 25,255 +19%
SKK HOLDINGS LIMITED
G8292E102
$9,865 43,266 -71%
CALCIMEDICA INC
38942Q202
$9,828 18,200 Nuova
INNEOVA HOLDINGS LTD.
G7776G104
$9,813 19,994 Nuova
CN ENERGY GROUP INC
G2181K204
$9,786 23,922 -52%
AIOS TECHNOLOGY INC
G6593L122
$9,703 16,493 -65%
NUVVE HOLDING CORP
67079Y407
$9,693 14,582 Nuova
MINT INCORPORATION LTD
G6146G109
$9,549 35,368 Nuova
DIGITAL ASSET ACQUISITION CO
G2868C111
$9,438 25,100 -21%
HCW BIOLOGICS INC
40423R204
$9,390 26,083 -56%
OLB GROUP INC
67086U406
$9,198 18,545 -88%
RETRACTABLE TECHNOLOGIES INC
76129W105
$9,195 13,900 -86%
WF HLDG LTD
G9627R107
$9,132 32,497 +38%
GELTEQ LIMITED
Q3978B109
$8,991 13,830 Nuova
DELIXY HLDGS LTD
G2703G103
$8,985 17,276 Nuova
WEREWOLF THERAPEUTICS INC
95075A107
$8,644 10,382 Nuova
WETOUR ROBOTICS LTD
G9513A101
$8,543 20,836 -13%
VANTAGE CORP
G7486J109
$8,540 10,676 Nuova
ATERIAN INC
02156U200
$8,251 14,400 Nuova
MEDICUS PHARMA LTD
58471K202
$8,181 17,824 Nuova
ISPECIMEN INC
45032V207
$7,924 50,471 Nuova
CHINA PHARMA HLDGS INC
16941T401
$7,884 12,924 Nuova
OPENDOOR TECHNOLOGIES INC
683712137
$7,786 31,650 -89%
SILO PHARMA INC
82711P201
$7,715 21,448 Nuova
TRINITY BIOTECH INVT LTD
896438504
$7,699 14,200 -74%
NEXTNRG INC
652941105
$7,504 18,761 Nuova
OPENDOOR TECHNOLOGIES INC
683712145
$7,450 31,650 -87%
CDT ENVIRONMENTAL TECHNOLOGY
G2030P107
$7,439 24,797 Nuova
T3 DEFENSE INC
67054R203
$7,226 10,074 Nuova
ZSPACE INC
98980W107
$7,009 61,756 Nuova
PDS BIOTECHNOLOGY CORP
70465T107
$6,837 11,300 Nuova
FUNCTIONAL BRANDS INC
360948103
$6,772 42,459 Invariata
JBDI HOLDINGS LTD
G50883100
$6,713 11,218 -59%
ERNEXA THERAPEUTICS INC
114082308
$6,582 33,076 Nuova
BIOAFFINITY TECHNOLOGIES INC
09076W117
$6,551 19,850 -16%
MYND AI INC
628988107
$6,528 18,611 Nuova
ROCKET PHARMACEUTICALS INC
77313F114
$6,510 309,997 +6%
REITAR LOGTECH HLDGS LTD
G7486B106
$6,500 12,796 -92%
J-STAR HLDG CO LTD
G81237128
$6,229 22,160 Nuova
CYTOSORBENTS CORP
23283X206
$6,115 10,799 -94%
CHOWCHOW CLOUD INTL HLDGS LT
G2124J108
$6,022 17,074 Nuova
NFT LIMITED
G6363T115
$6,017 18,323 Nuova
SPLASH BEVERAGE GROUP INC
84862C302
$5,958 16,585 -68%
PROCAP FINL INC
74277P113
$5,620 20,816 Nuova
GABELLI EQUITY TR INC
362397226
$5,602 800,272 Nuova
DARKIRIS INC.
G2657S103
$5,544 19,109 -61%
GALMED PHARMACEUTICALS LTD
M47238148
$5,500 11,382 -81%
BIOCERES CROP SOLUTIONS CORP
G1117K114
$5,294 11,900 -68%
YIMUTIAN INC
985915107
$5,224 30,462 -98%
SMARTKEM INC
83193D203
$5,085 22,353 Nuova
EON RESOURCES INC
40472A128
$5,073 44,672 +121%
YXT COM GROUP HLDG LTD
988740106
$5,023 14,346 -83%
FIFTH ERA ACQUISITION CORP I
G3415K135
$4,499 16,000 -28%
CLEANCORE SOLUTIONS INC
184492106
$4,491 12,605 -99%
INTERCONT CAYMAN LTD
G48049103
$4,402 59,889 -65%
CANGO INC
G1820C102
$4,339 10,556 -98%
DIANA SHIPPING INC
Y2066G138
$3,653 16,603 Nuova
ABLE VIEW GLOBAL INC
G1149B116
$3,571 216,418 -46%
ESHALLGO INC
G3121H103
$3,560 20,796 -89%
LIONHEART HOLDINGS
G5501C117
$3,140 26,166 Nuova
XEROX HOLDINGS CORP
98421M114
$3,014 33,307 Nuova
CUE BIOPHARMA INC
22978P106
$2,920 12,700 Nuova
INOTIV INC
45783Q100
$2,916 10,700 -53%
HUACHEN AI PKG MGMT TECHNOLO
G4645R114
$2,860 19,725 -82%
707 CAYMAN HLDGS LTD
G8071C103
$2,539 26,228 -42%
BANZAI INTERNATIONAL INC
06682J118
$2,099 174,955 -21%
INNOVATIVE EYEWEAR INC
45791D117
$1,835 28,103 +79%
CAPTIVISION INC
G18932114
$1,363 22,759 +353%
GIBO HOLDINGS LTD.
G38617117
$1,155 41,707 Nuova
APOLLOMICS INC
G0411D115
$1,141 57,051 +77%
GENERATION INCOME PPTYS INC
37149D113
$956 25,779 -28%
VSEE HEALTH INC
92919Y110
$944 25,500 -48%
KWESST MICRO SYSTEMS INC
501506133
$818 25,575 +6%
U POWER LTD
G9520U116
$754 19,845 Nuova
SAVERONE 2014 LTD
80516T113
$626 62,581 -52%
60 DEGREES PHARMACEUTICALS I
83006G112
$621 12,400 -36%
CHECHE GROUP INC
G20707116
$604 23,667 +27%
TENON MEDICAL INC
88066N113
$582 72,721 -23%
NEWGENIVF GROUP LIMITED
G0544E113
$581 29,346 +16%
CEA INDUSTRIES INC
86887P119
$508 16,861 -45%
CLASSOVER HLDGS INC
182744110
$488 29,580 +32%
BENEFICIENT
08178Q119
$404 32,320 Nuova
NEXERA TECHNOLOGIES LTD
M61472110
$398 25,198 +27%
MKDWELL TECH INC
G6209W116
$363 34,604 -11%
SHF HOLDINGS INC
824430110
$356 11,871 -29%
CINGULATE INC
17248W113
$348 11,486 Nuova
CID HOLDCO INC
171756117
$304 14,739 -73%
NEXTPLAT CORP
68557F118
$300 12,346 -72%
REVELATION BIOSCIENCES INC
76135L119
$285 32,400 +11%
XOS INC
98423B116
$50 15,119 -15%

Uscite dal portafoglio

Titoli presenti nel deposito precedente (2026-02-17) e non piu' in quello attuale.

Titolo
BRASKEM S A
SPDR SERIES TRUST
ISHARES INC
JOHN HANCOCK EXCHANGE TRADED
MERSANA THERAPEUTICS INC
BANKFINANCIAL CORP
NORTHERN TECHNOLOGIES INTL C
FLEXSHARES TR
SYNCHRONOSS TECHNOLOGIES INC
SCHMID GROUP N.V.
PROSHARES TR
J P MORGAN EXCHANGE TRADED F
MIDDLEFIELD BANC CORP
ISHARES TR
EUROSEAS LTD
INVESTMENT MANAGERS SER TR I
SPDR INDEX SHS FDS
TIDAL TRUST II
NUSHARES ETF TR
SILYNXCOM LTD
ECD AUTOMOTIVE DESIGN INC
ELEVATION SERIES TRUST
FALCONS BEYOND GLOBAL INC
BLACKROCK ETF TRUST
TIDAL TRUST II
VISIONARY HOLDINGS INC
SIERRA BANCORP
CLASSOVER HLDGS INC
INNOVATOR ETFS TRUST
ALLIED GOLD CORP
TECHTARGET INC
ISHARES TR
ENVVENO MEDICAL CORPORATION
LINKBANCORP INC
VOLITIONRX LTD
XENETIC BIOSCIENCES INC
COASTALSOUTH BANCSHARES INC
ESAB CORPORATION
INVESTMENT MANAGERS SER TR I
AVIDITY BIOSCIENCES INC
MURANO GLOBAL INVTS PLC
INVESCO EXCH TRADED FD TR II
AUDDIA INC
ROUNDHILL ETF TRUST
SIREN ETF TR
MONTAUK RENEWABLES INC
WELLCHANGE HLDGS CO LTD
DIREXION SHS ETF TR
SYNLOGIC INC
FIRST TR EXCHANGE-TRADED FD
DBX ETF TR
MADISON ETFS TRUST
ISHARES U S ETF TR
DATASEA INC
PHAOS TECHNOLOGY HLDGS (CAYM
FORWARD INDS INC N Y
EPSIUM ENTERPRISE LTD
ALLIANCE ENTERTAINMENT HOLDI
BLACKROCK CALIF MUN INCOME T
GLOBAL SELF STORAGE INC
ETF SER SOLUTIONS
SEMLER SCIENTIFIC INC
EATON VANCE SR FLTNG RTE TR
GLOBAL X FDS
J P MORGAN EXCHANGE TRADED F
FBS GLOBAL LTD
LG DISPLAY CO LTD
FIDELITY COVINGTON TRUST
HEIDMAR MARITIME HLDGS CORP
DBV TECHNOLOGIES S A
N2OFF INC
STRATTEC SEC CORP
2023 ETF SERIES TRUST
E-HOME HOUSEHOLD SVC HLDGS L
QUHUO LTD
CENTERSPACE
BIGLARI HLDGS INC
EA SERIES TRUST
CHEFS WHSE INC
INTELLIGENT PROTECTION MANAG
PROSHARES TR
INVESCO EXCH TRD SLF IDX FD
BRAZIL POTASH CORP
USBC INC.
J P MORGAN EXCHANGE TRADED F
EASTERN CO
CIVITAS RESOURCES INC
ETF SER SOLUTIONS
CRYO-CELL INTL INC
ELEVATION SERIES TRUST
UNIVERSAL LOGISTICS HLDGS IN
DIMENSIONAL ETF TRUST
POP CULTURE GROUP CO LTD
SEAGATE HDD CAYMAN
ATOSSA THERAPEUTICS INC
GLOBAL X FDS
STAR FASHION CULTURE HLDGS L
INVESCO EXCHANGE TRADED FD T
FIRST TR EXCHNG TRADED FD VI
XBP GLOBAL HOLDINGS INC
FRANKLIN TEMPLETON ETF TR
ADDENTAX GROUP CORP
YOULIFE GROUP INC
CAMBIUM NETWORKS CORP
ENVUE MEDICAL INC.
VIVOSIM LABS INC
TIDAL TRUST II
AIM ETF PRODUCTS TRUST
SOUTHLAND HLDGS INC
GULF IS FABRICATION INC
NORTHERN LTS FD TR III
PROSHARES TR
FIVE STAR BANCORP
SSGA ACTIVE TR
GLOBAL ENGINE GROUP HOLDING
DIMENSIONAL ETF TRUST
LUDA TECHNOLOGY GROUP LTD
SPHERE 3D CORP NEW
ZUMIEZ INC
BLACKROCK MUN INCOME QUALITY
PROSHARES TR
CONFLUENT INC
EVERBRIGHT DIGITAL HLDG LTD
BGIN BLOCKCHAIN LTD
AB ACTIVE ETFS INC
TIDAL TRUST III
DYNAVAX TECHNOLOGIES CORP
BANK MONTREAL QUE
NINE ENERGY SERVICE INC
SENTAGE HOLDINGS INC
PURE CYCLE CORP
DAWSON GEOPHYSICAL CO NEW
INTCHAINS GROUP LTD
TIDAL TRUST II
HEWLETT PACKARD ENTERPRISE C
TIDAL TR IV
ETF SER SOLUTIONS
J P MORGAN EXCHANGE TRADED F
AMERICAN CENTY ETF TR
ADVISORS INNER CIRCLE FD III
TIDAL TRUST I
MARKER THERAPEUTICS INC
FIRST FNDTN INC
VERDE CLEAN FUELS INC
ZACKS TRUST
VANGUARD WELLESLEY INCOME FD
J P MORGAN EXCHANGE TRADED F
MOGO INC
HILLENBRAND INC
YORKVILLE ACQUISITION CORP.
GRAYSCALE COINDESK CRYPTO
INUVO INC
SEI EXCHANGE TRADED FUNDS
INVESTMENT MANAGERS SER TR I
EA SERIES TRUST
ONEMEDNET CORP
URBAN ONE INC
SERIES PORTFOLIOS TR
STRIDE INC
ADVISOR MANAGED PORTFOLIOS
AMERICAN CENTY ETF TR
BINAH CAP GROUP INC
ASPEN INSURANCE HOLDINGS LTD
INVESCO EXCHANGE TRADED FD T
ABVC BIOPHARMA INC
FLEXSTEEL INDS INC
BIG TREE CLOUD HLDGS LTD
INSPIRATO INCORPORATED
BEELINE HOLDINGS INC
PARK HA BIOLOGICAL TECH CO L
DBX ETF TR
ALLIANCEBERNSTEIN GLOBAL HIG
REAL MESSENGER CORP.
MAXEON SOLAR TECHNOLOGIES LT
BEAMR IMAGING LTD
REPUBLIC AWYS HLDGS INC
PHUNWARE INC
GLOBAL X FDS
NANO LABS LTD
FEDERATED HERMES ETF TRUST
TIDAL TRUST II
2023 ETF SERIES TRUST
ISHARES TR
GOLDEN SUN HEALTH TECH GRP L
ISHARES TR
REGENTIS BIOMATERIALS LTD
TIDAL TRUST II
VANECK ETF TRUST
BATTALION OIL CORP
PERFECT CORP
IRHYTHM TECHNOLOGIES INC
OWLET INC
ISHARES TR
NEUBERGER ENGY INFRSTR & INC
WISDOMTREE TR
SCINAI IMMUNOTHERAPEUTICS LT
ELEVATION SERIES TRUST
CEMENTOS PACASMAYO S A A
ALLSPRING EXCHANGE TRADED FU
ROMA GREEN FIN LTD
HORIZON FDS
BLACKROCK MUNIHLDGS NY QLTY
ZW DATA ACTION TECHNOLOGS IN
LIANHE SOWELL INTL GROUP LTD
XTL BIOPHARMACEUTICALS LTD
AMERICAN VANGUARD CORP
NEO-CONCEPT INTL GRP HLD
MONEYHERO LIMITED
CBL INTL LTD
DOCEBO INC
VALNEVA SE
NYXOAH S A
THE ALGER ETF TRUST
ATRENEW INC
FEDERATED HERMES ETF TRUST
CABLE ONE INC
DATACENTREX INC
SIMPLIFY EXCHANGE TRADED FUN
TOP SHIPS INC
FIRST TR EXCHNG TRADED FD VI
T ROWE PRICE ETF INC
TOWNSQUARE MEDIA INC
MING SHING GROUP HLDGS LTD
NUSHARES ETF TR
TIDAL TRUST II
PEDEVCO CORP
ISHARES TR
COHEN & STEERS ETF TRUST
ARMATA PHARMACEUTICALS INC
EATON VANCE LIMITED DURATION
PODCASTONE INC
BELPOINTE PREP LLC
IGC PHARMA INC
INVESCO EXCH TRADED FD TR II
CIDARA THERAPEUTICS INC
PPL CAP FDG INC
ATIF HOLDINGS LIMITED
FRANKLIN TEMPLETON ETF TR
COLUMBIA ETF TR I
APPLIED THERAPEUTICS INC
INNOVATOR ETFS TRUST
BLACKROCK MUNI INCOME TR II
J P MORGAN EXCHANGE TRADED F
AA MISSION ACQUISITION CORP
PROSHARES TR
SPDR SERIES TRUST
HANCOCK JOHN PFD INCOME FD
VANECK ETF TRUST
GUARDFORCE AI CO LTD
BLACKROCK MUNIVEST FD II INC
CAPITAL GROUP GLOBAL EQUITY
HEARTCORE ENTERPRISES INC
EVOGENE LTD
FG NEXUS INC.
MICROCHIP TECHNOLOGY INC.
ASTRIA THERAPEUTICS INC
BROOKFIELD REAL ASSETS INCOM
HORIZON FDS
CAPITAL GROUP EQUITY ETF TR
ISHARES TR
NORTHERN LTS FD TR IV
ISHARES TR
JEWETT CAMERON TRADING LTD
HAMILTON BEACH BRANDS HLDG C
BULLFROG AI HLDGS INC
AMALGAMATED FINANCIAL CORP
FIRST TR EXCHANGE-TRADED FD
INVESTMENT MANAGERS SER TR
INNSUITES HOSPITALITY TR
WORLD FDS TR
TREEHOUSE FOODS INC
BIODESIX INC
EVOMMUNE INC
INVESCO DB MULTI-SECTOR COMM
TIDAL TRUST II
IONEER LTD
WISDOMTREE TR
AETHER HLDGS INC NEW
SIMPLIFY EXCHANGE TRADED FUN
FUBOTV INC
AMPLIFY ETF TR
SPDR INDEX SHS FDS
HERITAGE FINL CORP WASH
INVESCO EXCHANGE TRADED FD T
CNB FINL CORP PA
NUVEEN FLOATING RATE INCOME
GLOBAL X FDS
FIRST TR EXCH TRD ALPHDX FD
WATON FINL LTD
MFS ACTIVE EXCHANGE TRADED F
AMBITIONS ENTERPRISE MGMT CO
GCM GROSVENOR INC
CO-DIAGNOSTICS INC
EA SERIES TRUST
ISHARES INC
TIDAL TRUST II
ISHARES TR
AIRGAIN INC
JOURNEY MED CORP
ALLSPRING EXCHANGE TRADED FU
XILIO THERAPEUTICS INC
INVESCO EXCH TRADED FD TR II
J P MORGAN EXCHANGE TRADED F
CERVOMED INC
REPARE THERAPEUTICS INC
DIMENSIONAL ETF TRUST
AEGON LTD
FIDELITY COVINGTON TRUST
FIDELITY COVINGTON TRUST
OMNICELL COM
PB BANKSHARES INC
YY GROUP HLDG LTD
STRAWBERRY FIELDS REIT INC
TEN-LEAGUE INTL HLDGS LTD
GENELUX CORPORATION
FORRESTER RESH INC
TAO SYNERGIES INC
INVESTMENT MANAGERS SER TR I
SPDR SERIES TRUST
FLYEXCLUSIVE INC
DYNAMIX CORP III
RAYTECH HLDG LTD
INVESCO EXCH TRADED FD TR II
JIANZHI ED TECHNOLOGY GROUP
SPDR SERIES TRUST
GLOBAL BUSINESS TRAVEL GROUP
DBX ETF TR
GREENLAND TECHNOLOGIES HLDG
EA SERIES TRUST
BRIDGEBIO PHARMA INC
EATON VANCE MUN BD FD
BEYONDSPRING INC
MFS ACTIVE EXCHANGE TRADED F
BLACKROCK ETF TRUST
APREA THERAPEUTICS INC
MIRUM PHARMACEUTICALS INC
TRANSCONTINENTAL RLTY INVS
FLEXSHARES TR
TAOWEAVE INC
HENNESSY CAP INVT CORP VII
SSGA ACTIVE TR
SUNRISE NEW ENERGY CO LTD
SIMPLIFY EXCHANGE TRADED FUN
FIDELITY COVINGTON TRUST
SOUND POINT MERIDIAN CAP INC
FIRST TR EXCHANGE-TRADED ALP
CREATIVE MED TECHNOLOGY HLDG
FIRST TR EXCHNG TRADED FD VI
TEMA ETF TRUST
JOHNSON OUTDOORS INC
MORGAN STANLEY ETF TRUST
AMERICAN CENTY ETF TR
JIN MED INTL LTD.
GOLDMAN SACHS ETF TR
TRIO PETROLEUM CORP
THEMES ETF TR
EXACT SCIENCES CORP
VANECK ETF TRUST
NEUBERGER BERMAN ETF TRUST
SNAIL INC
GIBO HOLDINGS LTD.
WINCHESTER BANCORP INC
T ROWE PRICE ETF INC
STRATEGY SHS
BERKSHIRE HATHAWAY INC DEL
ZENVIA INC
RENX ENTERPRISES CORP
TWO RDS SHARED TR
PLYMOUTH INDL REIT INC
WESTERN ASSET GBL HIGH INC F
TOP WEALTH GROUP HLDG LTD
AURELION INC
ISHARES TR
BAIRD MED INVT HLDGS LTD
PROFESIONALLY MANAGED PORTFO
WISDOMTREE TR
RCM TECHNOLOGIES INC
SPDR SERIES TRUST
ANEBULO PHARMACEUTICALS INC
NEW YORK LIFE INVESTMENTS ET
M3-BRIGADE ACQUISITION VI CO
HARRIS OAKMARK ETF TRUST
VIRTUS TOTAL RETURN FD INC
VOLATILITY SHS TR
ADVISOR MANAGED PORTFOLIOS
ERMENEGILDO ZEGNA N V
THRIVENT ETF TRUST
TURN THERAPEUTICS INC
PGIM ROCK ETF TR
PUTNAM MANAGED MUN INCOME TR
DIMENSIONAL ETF TRUST
NUVEEN SELECT TAX-FREE INCOM
ETF OPPORTUNITIES TRUST
SEI EXCHANGE TRADED FUNDS
X4 PHARMACEUTICALS INC
INVESCO EXCHANGE TRADED FD T
VANECK ETF TRUST
BEL FUSE INC
GRANITE CONSTR INC
PREFORMED LINE PRODS CO
INVESCO EXCH TRADED FD TR II
VALUED ADVISERS TR
WISDOMTREE TR
2023 ETF SERIES TRUST
NOODLES & CO
NEXGEL INC
CELULARITY INC
CYBERARK SOFTWARE LTD
ETF SER SOLUTIONS
SPDR SERIES TRUST
WISDOMTREE TR
ISHARES INC
ADVISORS INNER CIRCLE FD II
TRAEGER INC
INVESCO MUN OPPORTUNITY TR
BLACKROCK INVT QUALITY MUN T
ETF SER SOLUTIONS
DOUBLELINE ETF TRUST
NATIONAL RESH CORP
PUTNAM ETF TRUST
TIDAL TRUST II
HARBOR ETF TRUST
TIDAL TRUST II
BRAG HSE HLDGS INC
J P MORGAN EXCHANGE TRADED F
ABRDN PRECIOUS METALS BASKET
GABELLI HLTHCARE & WELLNESS
BRISTOL-MYERS SQUIBB CO
PEOPLES FINL SVCS CORP
FIDELITY COVINGTON TRUST
BLACKROCK N Y MUN INCOME TRU
LUCID DIAGNOSTICS INC
SKY QUARRY INC
LINKERS INDS LTD
LUNAI BIOWORKS INC
MORGAN STANLEY ETF TRUST
ON24 INC
FITLIFE BRANDS INC
INVESTMENT MANAGERS SER TR I
EQUUS TOTAL RETURN INC
PG&E CORP
GOLDMAN SACHS ETF TR
MOOLEC SCIENCE SA
TIDAL TR IV
INVESCO EXCH TRADED FD TR II
RAPT THERAPEUTICS INC
FIRST TR EXCHANGE-TRADED ALP
SUPER LEAGUE ENTERPRISE INC
RIVERVIEW BANCORP INC
NMP ACQUISITION CORP
NORTHERN LTS FD TR II
ARK RESTAURANTS CORP
INVESCO EXCHANGE TRADED FD T
RELIANCE GLOBAL GROUP INC
WISDOMTREE TR
INNOVATOR ETFS TRUST
CLPS INCORPORATION
BIOTE CORP
SIMPLIFY EXCHANGE TRADED FUN
BITCOIN DEPOT INC
PIPER SANDLER COMPANIES
BLACKROCK ETF TRUST
GCI LIBERTY INC
NEW CONCEPT ENERGY INC
BLACK HAWK ACQUISITION CORP
AGILON HEALTH INC
SSGA ACTIVE ETF TR
NEXTTRIP INC
MIND MEDICINE MINDMED INC
BANCO BRADESCO S A
RESEARCH FRONTIERS INC
LI BANG INTL CORP INC
TRANSMEDICS GROUP INC
ALIGNMENT HEALTHCARE INC
SAMFINE CREATION HLDG
EATON VANCE NATL MUN OPPORT
CADENCE BANK
DIREXION SHS ETF TR
SOTHERLY HOTELS INC
INVESCO EXCHANGE TRADED FD T
TIDAL TRUST II
DIREXION SHS ETF TR
NORTHERN LTS FD TR IV
INVESCO EXCH TRADED FD TR II
JETBLUE AIRWAYS CORP
VENTYX BIOSCIENCES INC
NUVEEN NEW YORK AMT QLT MUNI
FRANKLIN LTD DURATION INCOME
ISHARES TR
QUEST RESOURCE HLDG CORP
RALLYBIO CORP
ISHARES TR
SCHWAB STRATEGIC TR
COLUMBIA ETF TR I
PLUS THERAPEUTICS INC
MASTERCRAFT BOAT HLDGS INC
SSGA ACTIVE TR
VANECK ETF TRUST
ISHARES TR
INVESCO EXCH TRADED FD TR II
FIRST TR EXCHNG TRADED FD VI
ETF SER SOLUTIONS
OXBRIDGE RE HLDGS LTD
TAOPING INC
DAILY JOURNAL CORP
GOLDMAN SACHS ETF TR
ADIAL PHARMACEUTICALS INC
DBX ETF TR
CARTESIAN GROWTH CORP III
ISHARES TR
FEDERATED HERMES ETF TRUST
NEXTPLAT CORP
FOUNDER GROUP LTD
RAPPORT THERAPEUTICS INC
TEGNA INC
SPROTT ASSET MANAGEMENT LP
ISHARES TR
INVESCO EXCHANGE TRADED FD T
PACER FDS TR
AEON BIOPHARMA INC
ROUNDHILL ETF TRUST
NEW PROVIDENCE ACQUISITION C
BLACKROCK LONG-TERM MUN ADVA
EXCHANGE TRADED CONCEPTS TRU
VANGUARD FIXED INCOME SECS F
CLOUGH GLOBAL OPPORTUNITIES
SPDR INDEX SHS FDS
PIEDMONT REALTY TRUST INC
DBX ETF TR
FIRST TR EXCH TRADED FD III
AIRJOULE TECHNOLOGIES CORP
ORIGIN AGRITECH LIMITED
CAPITAL GROUP EQUITY ETF TR
SKYX PLATFORMS CORP
ADVISORS INNER CIRCLE FD II
ISHARES TR
RYOJBABA CO LTD
DIREXION SHS ETF TR
BLACKROCK CR ALLOCATION INCO
ASTRAZENECA PLC
LUCAS GC LTD
CHURCHILL CAP CORP X
EPICQUEST EDUCATN GRP INTL L
ISHARES TR
NUVEEN N Y MUN VALUE FD
FUSEMACHINES INC
NUSHARES ETF TR
EXCHANGE TRADED CONCEPTS TRU
NUVEEN CHURCHILL DIRECT LEND
WIMI HOLOGRAM CLOUD INC
FIDELITY GREENWOOD STREET TR
SKYCORP SOLAR GROUP LTD
GENERATION BIO CO
NATIXIS ETF TR
TIDAL TRUST II
NEUBERGER MUN FD INC
EXCHANGE TRADED CONCEPTS TRU
PTL LTD
GLOBAL X FDS
ELEVATION SERIES TRUST
WF INTL LTD
GLOBAL X FDS
ELAUWIT CONNECTION INC
DBX ETF TR
TELA BIO INC
LANTERN PHARMA INC
MAUI LD & PINEAPPLE INC
FRANKLIN TEMPLETON ETF TR
MOLECULIN BIOTECH INC
VICTORY PORTFOLIOS II
ALLARITY THERAPEUTICS INC
DOLLY VARDEN SILVER CORP
CATHETER PRECISION INC
INVESTMENT MANAGERS SER TR I
TIDAL TRUST II
THE BRAND HOUSE COLLECTIVE I
NIXXY INC
FIRST TR EXCHNG TRADED FD VI
POLAR PWR INC
INVESCO EXCH TRADED FD TR II
ROUNDHILL ETF TRUST
GREAT ELM CAP CORP
OHMYHOME LTD
FIRST TR EXCHNG TRADED FD VI
INVESCO CALIF VALUE MUN INCO
SUNATION ENERGY INC
QIAGEN NV
GRANITESHARES ETF TR
LITMAN GREGORY FDS TR
FIRST TR EXCHANGE-TRADED FD
VICTORY PORTFOLIOS II
MOTORSPORT GAMES INC
SEPTERNA INC
ISHARES INC
GREENWICH LIFESCIENCES INC
PRINCIPAL EXCHANGE TRADED FD
ETF OPPORTUNITIES TRUST
STABILIS SOLUTIONS INC
EATON VANCE SR INCOME TR
NORTHERN LTS FD TR IV
ASCENTAGE PHARMA GROUP INTL
COMPANHIA PARANAENSE DE ENER
TRAWS PHARMA INC
EXCHANGE LISTED FDS TR
PASSAGE BIO INC
WISDOMTREE TR
ISHARES TR
VIOMI TECHNOLOGY CO LTD
THEMES ETF TR
RBB FUND TRUST
HARBOR ETF TRUST
EA SERIES TRUST
JAMF HLDG CORP
BIGLARI HLDGS INC
NEXALIN TECHNOLOGY INC
AMCOR PLC
ETF OPPORTUNITIES TRUST
MORGAN STANLEY ETF TRUST
SYNOVUS FINL CORP
JPMORGAN CHASE FINL CO LLC
DIREXION SHS ETF TR
BRIDGEBIO PHARMA INC
ROUNDHILL ETF TRUST
EXCHANGE TRADED CONCEPTS TRU
DIRECTBOOKING TECHNOLOGY CO
ISHARES TR
BANK MONTREAL QUE
PIMCO ETF TR
ELEMENTAL RTY CORP
FIFTH DIST BANCORP INC
J P MORGAN EXCHANGE TRADED F
FIRST TR EXCHANGE TRADED FD
DIREXION SHS ETF TR
SIMPLIFY EXCHANGE TRADED FUN
SMART POWERR CORP
EASTGROUP PPTYS INC
FUTURECREST ACQUISITION CORP
GOLDEN MATRIX GROUP INC
KANDAL M VENTURE LTD
GRAYSCALE FUNDS TRUST
T ROWE PRICE ETF INC
FIRST SVGS FINL GROUP INC
PINNACLE FINL PARTNERS INC
BIO-KEY INTL INC
PRINCIPAL EXCHANGE TRADED FD
BRILLIANT EARTH GROUP INC
AB ACTIVE ETFS INC
URBAN ONE INC
GRANITESHARES ETF TR
CHATHAM LODGING TR
CRE8 ENTERPRISE LTD
DBX ETF TR
BOLT PROJS HLDGS INC
BARON ETF TR
K WAVE MEDIA LTD
ONESPAWORLD HOLDINGS LIMITED
INVESCO EXCHANGE TRADED FD T
BANK MONTREAL MEDIUM
BARNWELL INDS INC
PGIM ETF TR
CAPITAL GROUP GROWTH ETF
ENVOY MEDICAL INC
FIDELITY COVINGTON TRUST
ICON ENERGY CORP
TOUCHSTONE ETF TRUST
BLUE OWL TECHNOLOGY FIN CORP
NEW GOLD INC CDA
WEBTOON ENTMT INC
KAIROS PHARMA LTD
FRANKLIN WIRELESS CORP
EVENTBRITE INC
SOHO HOUSE & CO INC
FIRST TR EXCHANGE-TRADED FD
CSLM DIGITA ASSET ACQ CORP I
LISTED FDS TR
SPDR SERIES TRUST
FIRST TR EXCHNG TRADED FD VI
THEMES ETF TR
J P MORGAN EXCHANGE TRADED F
STONEBRIDGE ACQUISITION II C
BLACKROCK MUNIYILD QULT FD I
FIDELITY COVINGTON TRUST
SWVL HOLDINGS CORP
FISCALNOTE HOLDINGS INC
ZHONGCHAO INC
INNOVATOR ETFS TRUST
TIDAL TRUST II
INVESCO EXCH TRADED FD TR II
MAGIC SOFTWARE ENTERPRISES L
THE GROWHUB LTD
BLUEJAY DIAGNOSTICS INC
RECON TECHNOLOGY LTD
PACER FDS TR
J P MORGAN EXCHANGE TRADED F
AB ACTIVE ETFS INC
SOUTHERN MO BANCORP INC
UTAH MED PRODS INC
WISDOMTREE TR
LAKE SHORE BANCORP INC
BLACKROCK TECH AND PRIVATE E
FIRST ADVANTAGE CORP NEW
RENT THE RUNWAY INC
GORES HLDGS X INC
INVESTMENT MANAGERS SER TR I
XIAO-I CORP
GRANITESHARES ETF TR
BONDBLOXX ETF TRUST
SIMPLIFY EXCHANGE TRADED FUN
PIMCO DYNAMIC INCOME FD
SPDR SERIES TRUST
BRIDGER AEROSPACE GRP HLDGS
DAYFORCE INC
NEXTERA ENERGY INC
GAIA INC NEW
AMPLITECH GROUP INC
URBAN-GRO INC
SYNERGY CHC CORP
CUREVAC N V
BNY MELLON ETF TRUST II
CHINA SXT PHARMACEUTICALS IN
JULONG HOLDING LTD
PROSHARES TR
CASI PHARMACEUTICALS INC
ISHARES TR
TANDY LEATHER FACTORY INC
INVESCO EXCH TRADED FD TR II
NUVEEN CALIFORNIA MUNI VLU F
GOLDMAN SACHS ETF TR
BROOKFIELD BUSINESS PARTNERS
SPDR INDEX SHS FDS
GOLDEN HEAVEN GROUP HLDGS LT
TIDAL TRUST II
BIOLINE RX LIMITED
REIN THERAPEUTICS INC
RUSH ENTERPRISES INC
INNOVATOR ETFS TRUST
SENMIAO TECHNOLOGY LTD
NUVEEN DYNAMIC MUN OPPORTUNI
LENNAR CORP
LAVORO LTD
CLOUGH GLOBAL EQUITY FD
ZHENGYE BIOTECHNOLOGY HLDG L
ETF SER SOLUTIONS
SSGA ACTIVE TR
LIXIANG ED HLDG CO LTD
SKYLINE BLDRS GROUP HLDG LTD
PCB BANCORP
SPDR SERIES TRUST
VANGUARD SCOTTSDALE FDS
MSC INCOME FUND INC
YUANBAO INC
ISHARES INC
VERSUS SYSTEMS INC
CEL-SCI CORP
AGENCIA COML SPIRITS LTD
ORIGIN MATERIALS INC
MFS MUN INCOME TR
XCF GLOBAL INC
INVESCO EXCHANGE TRADED FD T
OLYMPIC STEEL INC
MOGU INC
METAVIA INC
SPDR SERIES TRUST
DAVIS COMMODITIES LTD
RBB FUND TRUST
NUVEEN AMT FREE QLTY MUN INC
MAISON SOLUTIONS INC
POWELL MAX LIMITED
FIRST TR EXCHANGE TRADED FD
OPTIMUMBANK HLDGS INC
ASTROTECH CORP
COLUMBIA ETF TR II
FITNESS CHAMPS HLDGS LTD
FS BANCORP INC
RED RIVER BANCSHARES INC
BNY MELLON HIGH YIELD STRATE
ISHARES TR
INVESTMENT MANAGERS SER TR I
ADVISORS INNER CIRCLE FD III
DIGIMARC CORP NEW
ISHARES TR
WALDENCAST PLC
RITHM PPTY TR INC
BONDBLOXX ETF TRUST
TRAILBLAZER ACQUISITION CORP
TECHCREATE GROUP LTD
VISION MARINE TECHNOLOGIES I
BIRKS GROUP INC
VANECK ETF TRUST
PROTAGENIC THERAPEUTICS INC
BLUEROCK PVT REAL ESTATE FD
VICTORY PORTFOLIOS II
GLOBAL PMTS INC
SSGA ACTIVE TR
ATAI BECKLEY NV
HARTFORD FDS EXCHANGE TRADED
ETF SER SOLUTIONS
PLAYSTUDIOS INC
PROSHARES TR
COLLECTIVE MINING LTD
ISOENERGY LTD
CANTOR EQUITY PARTNERS II IN
EXCHANGE TRADED CONCEPTS TRU
HANOVER BANCORP INC
ISHARES TR
BRT APARTMENTS CORP
TIDAL TRUST II
ONE AND ONE GREEN TECHNOLOGI
KAMADA LTD
HIGH ROLLER TECHNOLOGIES INC
ISHARES TR
BIOAFFINITY TECHNOLOGIES INC
FONAR CORP
T ROWE PRICE ETF INC
ALEXANDER & BALDWIN INC NEW
FIRST TR EXCHANGE TRADED FD
TIDAL TRUST II
NEXTERA ENERGY INC
NETCLASS TECHNOLOGY INC
INVESCO ACTIVELY MANAGED EXC
ATARA BIOTHERAPEUTICS INC
VANGUARD WELLINGTON FD
MEDICINOVA INC
LATTICE STRATEGIES TR
ISHARES TR
DIMENSIONAL ETF TRUST
FIDELITY COVINGTON TRUST
ISHARES TR
PING AN BIOMEDICAL CO LTD
ADVISORS SER TR
BIT ORIGIN LTD
GUESS INC
LEGG MASON ETF INVT
FIRST TR EXCHNG TRADED FD VI
MAINZ BIOMED N V
FIRST TR EXCHNG TRADED FD VI
ABSOLUTE SHS TR
ISHARES TR
PERMROCK ROYALTY TRUST
TELIX PHARMACEUTICAL LTD
ADAGENE INC
TWIN VEE POWERCATS CO
THEMES ETF TR
CAPITAL GROUP DIVIDEND VALUE
SOUTHERN FIRST BANCSHARES
OHIO VY BANC CORP
SOLAI LIMITED
TENON MEDICAL INC
INVESCO EXCH TRADED FD TR II
FIRST WESTN FINL INC
STAK INC
DIMENSIONAL ETF TRUST
DBX ETF TR
BLACKROCK ETF TRUST II
EXCHANGE LISTED FDS TR
GLOBAL X FDS
DENNYS CORP
KKR INCOME OPPORTUNITIES FD
J JILL INC
BLACKROCK MUNIYIELD MICH QU
GRUPO AVAL ACCIONES Y VALORE
PARAMOUNT GOLD NEV CORP
BLACKROCK ETF TRUST
DIREXION SHS ETF TR
NEW YORK LIFE INVTS ACTIVE E
TEVOGEN BIO HLDGS INC
WILLAMETTE VY VINEYARD INC
EA SERIES TRUST
NATIXIS ETF TRUST II
LATTICE STRATEGIES TR
GENENTA SCIENCE S P A
SOLESENCE INC
RECTITUDE HLDGS LTD
THE9 LTD
EA SERIES TRUST
SPDR INDEX SHS FDS
NEWEGG COMMERCE INC
GEOVAX LABS INC
VANECK ETF TRUST
EXPION360 INC
XBIOTECH INC
MORGAN STANLEY ETF TRUST
ARMLOGI HOLDING CORP
FORGE GLOBAL HOLDINGS INC
FATPIPE INC UT
BLACKSTONE LONG SHORT CR INC
DIREXION SHS ETF TR
WISDOMTREE TR
HONGLI GROUP INC.
BOEING CO
VICTORY PORTFOLIOS II
TIDAL TRUST II
FRANKLIN TEMPLETON ETF TR
PURPLE BIOTECH LTD
COMERICA INC
WISDOMTREE TR
ALPS GROUP INC
LIBERTY BROADBAND CORP
BNY MELLON STRATEGIC MUNS IN
DDC ENTERPRISE LTD
INNOVATOR ETFS TRUST
VANGUARD ADMIRAL FDS INC
HERITAGE GLOBAL INC
TIDAL TRUST II
DIREXION SHS ETF TR
INDIVIOR PLC
NORTHEAST BK PORTLAND ME
MORGAN STANLEY ETF TRUST
PIMCO ETF TR
CALISA ACQUISITION CORP
ETF SER SOLUTIONS
C3IS INC
LIVE NATION ENTERTAINMENT IN
INVESTMENT MANAGERS SER TR I
SYSTEM1 INC
CITIZENS CMNTY BANCORP INC M
ALLBIRDS INC
HARVARD BIOSCIENCE INC
NEW YORK LIFE INVESTMENTS ET
NUVATION BIO INC
NUVEEN CR STRATEGIES INCOME
ISHARES INC
ETF OPPORTUNITIES TRUST
PGIM ROCK ETF TR
LANVIN GROUP HOLDINGS LIMITE
VERSUS SYSTEMS INC
FRANKLIN TEMPLETON ETF TR
FIRST TR EXCHNG TRADED FD VI
NUTANIX INC
UPLAND SOFTWARE INC
XBP GLOBAL HOLDINGS INC
ADVISOR MANAGED PORTFOLIOS
MKDWELL TECH INC
NEXPOINT RESIDENTIAL TR INC
SCWORX CORP
CAPTIVISION INC
BLACKROCK MUNIHLDGS NJ QLTY
AINOS INC
RAPID MICRO BIOSYSTEMS INC
PASITHEA THERAPEUTICS CORP
FIRST TR EXCHANGE-TRADED FD
ALERUS FINL CORP
AMPLIFY ETF TR
BIOMX INC
CHURCHILL CAP CORP X
FIRST TR EXCHNG TRADED FD VI
FACT II ACQUISITION CORP
TIDAL TRUST II
INVESTMENT MANAGERS SER TR I
BASEL MED GROUP LTD
GOLDMAN SACHS ETF TR
OFS CREDIT COMPANY INC
PERFECT MOMENT LTD
DYNAVAX TECHNOLOGIES CORP
PLUTUS FINL GROUP LTD
AVADEL PHARMACEUTICALS PLC
COHEN & STEERS ETF TRUST
BROOKFIELD BUSINESS CORP
SPDR SERIES TRUST
REV GROUP INC
FRANKLIN TEMPLETON ETF TR
ALICO INC
PROSHARES TR
BITWISE 10 CRYPTO INDEX ETF
DIREXION SHS ETF TR
CHEMUNG FINL CORP
JAKKS PAC INC
EXCHANGE TRADED CONCEPTS TRU
FUTURE FINTECH GROUP INC
ESGL HLDGS LTD
CAMDEN NATL CORP
SYNAPTICS INC
BLACKROCK ETF TRUST
FIDELITY COVINGTON TRUST
ACRIVON THERAPEUTICS INC
MDB CAP HLDGS LLC
DEUTSCHE BK AG LONDON BRH
ISHARES INC
ADVANTAGE SOLUTIONS INC
VANGUARD MUN BD FDS
TIDAL TRUST II
INVESTMENT MANAGERS SER TR I
CLASS WORKSHOP GROUP LTD
EXCHANGE TRADED CONCEPTS TRU
XWELL INC
SCHWAB STRATEGIC TR
FLEXSHARES TR
FRONTIER COMMUNICATIONS PARE
MYSEUM INC
JOHN HANCOCK EXCHANGE TRADED
GOGORO INC
NL INDS INC
POTLATCHDELTIC CORPORATION
UBS AG
TELEFONICA S A
PROFESIONALLY MANAGED PORTFO
INVESTMENT MANAGERS SER TR I
PROSHARES TR II
DIREXION SHS ETF TR
OFS CAP CORP
ELECTROCORE INC
M3-BRIGADE ACQUISITION VI CO
VALKYRIE ETF TRUST II
CARDIO DIAGNOSTICS HOLDGS IN
GRANITESHARES ETF TR
DIREXION SHS ETF TR
ABUNDIA GLOBAL IMPACT GROUP
FIRST TR EXCHNG TRADED FD VI
FIBROGEN INC
LUMENTUM HLDGS INC
CALLAN JMB INC
BARINGS BDC INC
INSIGHT MOLECULAR DIA INC
ANFIELD ENERGY INC
AUSTRALIAN OILSEEDS HLDGS LT
FIRST TR EXCHNG TRADED FD VI
CARDINAL INFRASTRUCTURE GROU
INVESTMENT MANAGERS SER TR I
NI HLDGS INC
TVARDI THERAPEUTICS INC
INVESCO EXCHANGE TRADED FD T
FRESHPET INC
TMD ENERGY LTD
WISDOMTREE TR
THE ALGER ETF TRUST
INVESTMENT MANAGERS SER TR I
MFS ACTIVE EXCHANGE TRADED F
VANECK ETF TRUST
TRIDENT DIGITAL TECH HOLDING
MOBIX LABS INC
TIDAL TRUST II
EVOLUTION GLOBAL ACQUISITION
FIDELITY MERRIMACK STR TR
FARMMI INC
PROSHARES TR
KLOTHO NEUROSCIENCES INC
CENTRAL BANCOMPANY
AMERICAN CENTY ETF TR
BLACKROCK INCOME TR INC
DIREXION SHS ETF TR
INVESTMENT MANAGERS SER TR I
FRANKLIN TEMPLETON ETF TR
REVIVA PHARMACEUTCLS HLDGS I
T ROWE PRICE ETF INC
STRATEGIC TRUST
INVO FERTILITY INC.
AIM ETF PRODUCTS TRUST
FLEXSHARES TR
VOLATILITY SHS TR
TOKYO LIFESTYLE CO LTD
ANTALPHA PLATFORM HLDG CO
SEER INC
INFLECTION PT ACQUISITION CO
LONGEVERON INC
EXPENSIFY INC
INVESCO ACTIVELY MANAGED EXC
COMMERCIAL BANCGROUP INC
MONROE CAP CORP
ISHARES TR
ON SEMICONDUCTOR CORP
ISHARES TR
EDESA BIOTECH INC
GOLDEN ENTMT INC
REVELATION BIOSCIENCES INC
GLOBAL X FDS
NEPTUNE INS HLDGS INC
BONE BIOLOGICS CORP
VIRCO MFG CO
FIDELITY COVINGTON TRUST
COEPTIS THERAPEUTICS HLDGS I
ACTELIS NETWORKS INC
ISHARES TR
VIRTUS STONE HBR EMRG MKTS I
NEW YORK LIFE INVESTMENTS ET
QUIPT HOME MEDICAL CORP
ESTRELLA IMMUNOPHARMA INC
MFS ACTIVE EXCHANGE TRADED F
ARES MANAGEMENT CORPORATION
INVESCO EXCHANGE TRADED FD T
ISHARES TR
ELEVRA LITHIUM LTD
MAPLIGHT THERAPEUTICS INC
INVESCO EXCHANGE TRADED FD T
INVESCO EXCHANGE TRADED FD T
RAVE RESTAURANT GROUP INC
ISHARES TR
U S ENERGY CORP DEL
TIAN RUIXIANG HLDGS LTD
PRECIDIAN ETFS TR
BONDBLOXX ETF TRUST
ANYWHERE REAL ESTATE INC
VIRGINIA NATL BANKSHARES COR
STRIVE INC
SLR INVESTMENT CORP
TEMA ETF TRUST
MIDWESTONE FINL GROUP INC NE
BNY MELLON ETF TRUST II
SPDR INDEX SHS FDS
FEMASYS INC
NUSHARES ETF TR
CAMBRIA ETF TR
Dati pubblici SEC (Schedule 13F-HR), depositati trimestralmente con fino a 45 giorni di ritardo. Identificati per CUSIP: non tutti i titoli sono collegabili a una pagina di dettaglio in questa app. Non e' un consiglio di investimento.