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Holdings (Monthly) Guide ↗

BlackRock Managed Volatility V.I. Fund

· BlackRock Variable Series Funds, Inc.
Monthly Holdings $143M AUM 1055 positions Period Mar 2026 Filed May 28, 2026 EDGAR ↗ ← All Funds
All 690 New 87 Added 134 Reduced 132 Exited · Mar 2026 vs Sep 2025
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 NVIDIA Corp. 67066G104 Mar 2026 31,767 -1,065 $5.5M -9.6% 3.93% EC
2 Apple, Inc. 037833100 Mar 2026 19,266 -504 $4.9M -2.9% 3.47% EC
3 BlackRock Liquidity Funds 09248U718 Mar 2026 4,144,894 -11,062,704 $4.1M -72.7% 2.94% STIV
4 Microsoft Corp. 594918104 Mar 2026 9,532 -226 $3.5M -30.2% 2.50% EC
5 N/A N/A Mar 2026 52,178,909 +42,178,909 $2.9M -2089.2% 2.04% DE
6 Amazon.com, Inc. 023135106 Mar 2026 13,381 -257 $2.8M -6.9% 1.98% EC
7 Alphabet, Inc. 02079K305 Mar 2026 8,794 +2,417 $2.5M +63.1% 1.79% EC
8 Alphabet, Inc. 02079K107 Mar 2026 7,468 +2,464 $2.1M +75.8% 1.52% EC
9 Yen N/A Mar 2026 321,747,309 NEW $2.0M 1.44% STIV
10 Broadcom, Inc. 11135F101 Mar 2026 6,385 +121 $2.0M -4.4% 1.40% EC
11 Rand N/A Mar 2026 32,223,892 NEW $1.9M 1.35% STIV
12 Meta Platforms, Inc. 30303M102 Mar 2026 2,973 +345 $1.7M -11.9% 1.21% EC
13 Australian Dollar N/A Mar 2026 2,411,188 NEW $1.7M 1.18% STIV
14 United States of America 912797UQ8 1,467,100 NEW $1.5M 1.03% STIV
15 JPMorgan Chase & Co. 46625H100 Mar 2026 4,533 -365 $1.3M -13.7% 0.95% EC
16 Tesla, Inc. 88160R101 Mar 2026 3,000 -961 $1.1M -36.7% 0.79% EC
17 Berkshire Hathaway, Inc. 084670702 Mar 2026 2,182 -169 $1.0M -11.5% 0.74% EC
18 Eli Lilly & Co. 532457108 Mar 2026 1,116 +867 $1.0M +440.3% 0.73% EC
19 Bank of America Corp. 060505104 Mar 2026 20,162 +6,484 $983K +39.3% 0.70% EC
20 Walmart, Inc. 931142103 Mar 2026 6,612 -6,681 $822K -40.0% 0.58% EC
21 ASML Holding NV N/A Mar 2026 593 NEW $789K 0.56% EC
22 Exxon Mobil Corp. 30231G102 Mar 2026 4,458 -643 $756K +31.5% 0.54% EC
23 Costco Wholesale Corp. 22160K105 Mar 2026 755 -526 $752K -36.6% 0.53% EC
24 Johnson & Johnson 478160104 Mar 2026 3,029 +2,391 $740K +525.9% 0.53% EC
25 Canadian Dollar N/A Mar 2026 1,015,961 NEW $730K 0.52% STIV
26 Linde plc N/A Mar 2026 1,388 NEW $688K 0.49% EC
27 N/A N/A Mar 2026 48,000,000 NEW $645K 0.46% DIR
28 Netflix, Inc. 64110L106 Mar 2026 6,658 +5,972 $640K -22.2% 0.45% EC
29 GE Aerospace 369604301 Sep 2025 2,161 +913 $613K +63.3% 0.44% EC
30 Micron Technology, Inc. 595112103 Mar 2026 1,806 +328 $610K +146.7% 0.43% EC
31 N/A N/A Mar 2026 -157 NEW $609K 0.43% DIR
32 Swedish Krona N/A Mar 2026 5,753,080 NEW $608K 0.43% STIV
33 BlackRock Funds III 066922519 Mar 2026 606,091 -1,001,647 $606K -62.3% 0.43% STIV
34 Wells Fargo & Co. 949746101 Mar 2026 7,539 +2,455 $600K +40.8% 0.43% EC
35 Honeywell International, Inc. 438516106 Sep 2025 2,607 -781 $589K -17.4% 0.42% EC
36 N/A N/A Mar 2026 -134 NEW $578K 0.41% DIR
37 3M Co. 88579Y101 3,910 NEW $568K 0.40% EC
38 Shell plc N/A Mar 2026 12,113 NEW $561K 0.40% EC
39 Chevron Corp. 166764100 Mar 2026 2,695 +521 $558K +65.2% 0.40% EC
40 Hong Kong Dollar N/A Mar 2026 4,258,147 NEW $543K 0.39% STIV
41 EURO N/A Mar 2026 466,814 NEW $540K 0.38% STIV
42 GE Vernova, Inc. 36828A101 Sep 2025 618 +470 $539K +492.8% 0.38% EC
43 HSBC Holdings plc N/A Mar 2026 32,423 NEW $532K 0.38% EC
44 AbbVie, Inc. 00287Y109 Mar 2026 2,423 +93 $527K -2.3% 0.37% EC
45 Goldman Sachs Group, Inc. (The) 38141G104 Mar 2026 621 +361 $525K +153.7% 0.37% EC
46 Mastercard, Inc. 57636Q104 Mar 2026 1,050 -224 $525K -27.6% 0.37% EC
47 RTX Corp. 75513E101 Sep 2025 2,684 +1,454 $518K +151.6% 0.37% EC
48 Advanced Micro Devices, Inc. 007903107 Mar 2026 2,512 +168 $511K +34.7% 0.36% EC
49 Cisco Systems, Inc. 17275R102 Mar 2026 6,524 -1,856 $506K -11.7% 0.36% EC
50 Louisiana-Pacific Corp. 546347105 Sep 2025 6,782 +5,687 $493K +407.2% 0.35% EC
51 AstraZeneca plc N/A Mar 2026 2,474 NEW $484K 0.34% EC
52 Pound Sterling N/A Mar 2026 364,611 NEW $483K 0.34% STIV
53 Citigroup, Inc. 172967424 Mar 2026 4,115 +1,086 $467K +51.8% 0.33% EC
54 Procter & Gamble Co. (The) 742718109 Sep 2025 3,174 +2,478 $458K +328.7% 0.33% EC
55 Swiss Franc N/A Mar 2026 347,426 NEW $434K 0.31% STIV
56 Intesa Sanpaolo SpA N/A Mar 2026 71,593 NEW $433K 0.31% EC
57 Lam Research Corp. 512807306 Mar 2026 1,927 -89 $412K +52.5% 0.29% EC
58 AIA Group Ltd. N/A Mar 2026 36,800 NEW $409K 0.29% EC
59 ABB Ltd. N/A Mar 2026 5,011 NEW $407K 0.29% EC
60 Corteva, Inc. 22052L104 Sep 2025 4,863 -1,335 $407K -2.9% 0.29% EC
61 Palantir Technologies, Inc. 69608A108 Mar 2026 2,763 -240 $404K -26.2% 0.29% EC
62 Coca-Cola Co. (The) 191216100 Sep 2025 5,294 +1,664 $403K +67.2% 0.29% EC
63 Union Pacific Corp. 907818108 Sep 2025 1,659 +1,409 $403K +581.1% 0.29% EC
64 UnitedHealth Group, Inc. 91324P102 Mar 2026 1,441 -165 $390K -29.7% 0.28% EC
65 Mexican Peso N/A Mar 2026 6,904,401 NEW $385K 0.27% STIV
66 Sony Group Corp. N/A Mar 2026 18,400 NEW $384K 0.27% EC
67 Visa, Inc. 92826C839 Mar 2026 1,268 -1,769 $383K -63.0% 0.27% EC
68 Booking Holdings, Inc. 09857L108 Mar 2026 91 +27 $383K +10.9% 0.27% EC
69 Applied Materials, Inc. 038222105 Mar 2026 1,119 +223 $382K +108.5% 0.27% EC
70 Philip Morris International, Inc. 718172109 Mar 2026 2,170 -1,968 $359K -46.5% 0.25% EC
71 Allianz SE N/A Mar 2026 847 NEW $358K 0.25% EC
72 International Business Machines Corp. 459200101 Mar 2026 1,445 +150 $350K -4.1% 0.25% EC
73 Caterpillar, Inc. 149123101 490 NEW $347K 0.25% EC
74 Morgan Stanley 617446448 Mar 2026 2,066 -1,130 $340K -33.1% 0.24% EC
75 Eaton Corp. plc N/A Mar 2026 945 NEW $338K 0.24% EC
76 Siemens Energy AG N/A Mar 2026 1,945 NEW $335K 0.24% EC
77 Banco Santander SA N/A Mar 2026 29,863 NEW $335K 0.24% EC
78 Singapore Dollar N/A Mar 2026 430,251 NEW $335K 0.24% STIV
79 Motorola Solutions, Inc. 620076307 Mar 2026 766 -111 $332K -17.1% 0.24% EC
80 Iberdrola SA N/A Mar 2026 14,260 NEW $326K 0.23% EC
81 Intel Corp. 458140100 Mar 2026 7,374 -2,376 $325K -0.5% 0.23% EC
82 Charles Schwab Corp. (The) 808513105 Mar 2026 3,449 -1,448 $324K -30.7% 0.23% EC
83 Analog Devices, Inc. 032654105 Mar 2026 1,015 -365 $323K -4.8% 0.23% EC
84 Parker-Hannifin Corp. 701094104 Sep 2025 360 +331 $322K +1365.8% 0.23% EC
85 Amphenol Corp. 032095101 Sep 2025 2,517 +2,376 $318K +1722.6% 0.23% EC
86 Walt Disney Co. (The) 254687106 Mar 2026 3,297 +680 $318K +6.0% 0.23% EC
87 N/A N/A Mar 2026 -133 NEW $315K 0.22% DIR
88 Mitsubishi UFJ Financial Group, Inc. N/A Mar 2026 18,500 NEW $313K 0.22% EC
89 Altria Group, Inc. 02209S103 Sep 2025 4,695 -4,088 $310K -46.6% 0.22% EC
90 QUALCOMM, Inc. 747525103 Mar 2026 2,404 +316 $310K -10.9% 0.22% EC
91 N/A N/A Mar 2026 -18 NEW $308K 0.22% DE
92 Japan Tobacco, Inc. N/A Mar 2026 7,900 NEW $303K 0.22% EC
93 Waste Management, Inc. 94106L109 Mar 2026 1,288 +853 $296K +208.1% 0.21% EC
94 BP plc N/A Mar 2026 36,406 NEW $285K 0.20% EC
95 N/A N/A Mar 2026 -130 NEW $284K 0.20% DE
96 McDonald's Corp. 580135101 Mar 2026 911 +296 $283K +51.5% 0.20% EC
97 N/A N/A Mar 2026 -431 NEW $283K 0.20% DIR
98 Siemens AG N/A Mar 2026 1,150 NEW $280K 0.20% EC
99 Vertiv Holdings Co. 92537N108 1,105 NEW $277K 0.20% EC
100 FedEx Corp. 31428X106 Mar 2026 769 +359 $274K +183.3% 0.19% EC
101 Oracle Corp. 68389X105 Mar 2026 1,858 +298 $273K -37.7% 0.19% EC
102 TJX Cos., Inc. (The) 872540109 1,710 NEW $273K 0.19% EC
103 Duke Energy Corp. 26441C204 2,052 NEW $269K 0.19% EC
104 Safran SA N/A Mar 2026 813 NEW $266K 0.19% EC
105 Pfizer, Inc. 717081103 Mar 2026 9,384 -5,584 $264K -30.9% 0.19% EC
106 General Dynamics Corp. 369550108 Sep 2025 766 +656 $263K +600.9% 0.19% EC
107 TotalEnergies SE N/A Mar 2026 2,862 NEW $263K 0.19% EC
108 N/A N/A Mar 2026 -28 NEW $262K 0.19% DIR
109 Texas Instruments, Inc. 882508104 Mar 2026 1,329 -508 $258K -23.6% 0.18% EC
110 Nestle SA N/A Mar 2026 2,622 NEW $257K 0.18% EC
111 AT&T, Inc. 00206R102 8,729 NEW $253K 0.18% EC
112 Merck & Co., Inc. 58933Y105 2,090 NEW $251K 0.18% EC
113 KLA Corp. 482480100 Mar 2026 170 -61 $250K +0.5% 0.18% EC
114 PepsiCo, Inc. 713448108 1,611 NEW $250K 0.18% EC
115 Salesforce, Inc. 79466L302 Mar 2026 1,321 +49 $247K -18.2% 0.18% EC
116 Commonwealth Bank of Australia N/A Mar 2026 2,038 NEW $239K 0.17% EC
117 Home Depot, Inc. (The) 437076102 Mar 2026 723 +603 $238K +389.0% 0.17% EC
118 Amgen, Inc. 031162100 Mar 2026 675 -91 $237K +9.9% 0.17% EC
119 Deutsche Telekom AG N/A Mar 2026 6,324 NEW $236K 0.17% EC
120 Sanofi SA N/A Mar 2026 2,419 NEW $234K 0.17% EC
121 Spotify Technology SA N/A Mar 2026 474 NEW $230K 0.16% EC
122 Adobe, Inc. 00724F101 Mar 2026 944 -347 $229K -49.6% 0.16% EC
123 Arista Networks, Inc. 040413205 Mar 2026 1,866 -2,180 $229K -61.1% 0.16% EC
124 BNP Paribas SA N/A Mar 2026 2,400 NEW $229K 0.16% EC
125 Sumitomo Mitsui Financial Group, Inc. N/A Mar 2026 6,900 NEW $227K 0.16% EC
126 NextEra Energy, Inc. 65339F101 Sep 2025 2,415 +1,739 $224K +339.5% 0.16% EC
127 Thermo Fisher Scientific, Inc. 883556102 454 NEW $223K 0.16% EC
128 SAP SE N/A Mar 2026 1,291 NEW $220K 0.16% EC
129 American Express Co. 025816109 Mar 2026 724 +29 $219K -5.1% 0.16% EC
130 Bristol-Myers Squibb Co. 110122108 Mar 2026 3,550 +776 $215K +72.1% 0.15% EC
131 Banco Bilbao Vizcaya Argentaria SA N/A Mar 2026 9,907 NEW $214K 0.15% EC
132 N/A N/A Mar 2026 43,735,499 NEW $212K 0.15% DE
133 TE Connectivity plc N/A Mar 2026 994 NEW $208K 0.15% EC
134 UBS Group AG N/A Mar 2026 5,273 NEW $206K 0.15% EC
135 Boston Scientific Corp. 101137107 Mar 2026 3,269 -9 $205K -35.9% 0.15% EC
136 Comcast Corp. 20030N101 Sep 2025 6,930 -4,877 $199K -46.4% 0.14% EC
137 Tokyo Electron Ltd. N/A Mar 2026 800 NEW $199K 0.14% EC
138 Murata Manufacturing Co. Ltd. N/A Mar 2026 8,800 NEW $197K 0.14% EC
139 SLB Ltd. 806857108 3,828 NEW $197K 0.14% EC
140 Gilead Sciences, Inc. 375558103 Mar 2026 1,399 +324 $195K +63.4% 0.14% EC
141 Howmet Aerospace, Inc. 443201108 836 NEW $193K 0.14% EC
142 Newmont Corp. 651639106 1,779 NEW $193K 0.14% EC
143 Singapore Telecommunications Ltd. N/A Mar 2026 49,700 NEW $191K 0.14% EC
144 Boeing Co. (The) 097023105 Sep 2025 958 +345 $191K +44.1% 0.14% EC
145 Nomura Real Estate Holdings, Inc. N/A Mar 2026 29,400 NEW $191K 0.14% EC
146 Aristocrat Leisure Ltd. N/A Mar 2026 5,950 NEW $189K 0.13% EC
147 Deutsche Bank AG N/A Mar 2026 6,341 NEW $189K 0.13% EC
148 Verizon Communications, Inc. 92343V104 3,749 NEW $188K 0.13% EC
149 LVMH Moet Hennessy Louis Vuitton SE N/A Mar 2026 343 NEW $188K 0.13% EC
150 Novartis AG N/A Mar 2026 1,217 NEW $187K 0.13% EC
151 Albemarle Corp. 012653101 1,037 NEW $186K 0.13% EC
152 Exelon Corp. 30161N101 3,793 NEW $186K 0.13% EC
153 ServiceNow, Inc. 81762P102 Mar 2026 1,778 +1,439 $186K -40.4% 0.13% EC
154 Uber Technologies, Inc. 90353T100 Mar 2026 2,583 +2,348 $186K +707.0% 0.13% EC
155 Air Liquide SA N/A Mar 2026 898 NEW $186K 0.13% EC
156 Hitachi Ltd. N/A Mar 2026 6,300 NEW $185K 0.13% EC
157 National Grid plc N/A Mar 2026 10,931 NEW $185K 0.13% EC
158 KDDI Corp. N/A Mar 2026 10,800 NEW $184K 0.13% EC
159 Chubb Ltd. N/A Mar 2026 559 NEW $182K 0.13% EC
160 Roche Holding AG N/A Mar 2026 455 NEW $182K 0.13% EC
161 Illinois Tool Works, Inc. 452308109 695 NEW $181K 0.13% EC
162 Leidos Holdings, Inc. 525327102 Mar 2026 1,138 +912 $177K +314.4% 0.13% EC
163 Mitsubishi Heavy Industries Ltd. N/A Mar 2026 6,400 NEW $176K 0.12% EC
164 N/A N/A Mar 2026 48 NEW $175K 0.12% DE
165 Panasonic Holdings Corp. N/A Mar 2026 10,400 NEW $174K 0.12% EC
166 McKesson Corp. 58155Q103 Mar 2026 201 -306 $174K -55.6% 0.12% EC
167 ENEOS Holdings, Inc. N/A Mar 2026 19,300 NEW $174K 0.12% EC
168 Macquarie Group Ltd. N/A Mar 2026 1,219 NEW $173K 0.12% EC
169 Santos Ltd. N/A Mar 2026 31,493 NEW $172K 0.12% EC
170 Allstate Corp. (The) 020002101 Mar 2026 831 +563 $172K +199.5% 0.12% EC
171 Sherwin-Williams Co. (The) 824348106 537 NEW $172K 0.12% EC
172 GSK plc N/A Mar 2026 6,197 NEW $171K 0.12% EC
173 AXA SA N/A Mar 2026 3,623 NEW $166K 0.12% EC
174 Baker Hughes Co. 05722G100 2,726 NEW $166K 0.12% EC
175 Lockheed Martin Corp. 539830109 Mar 2026 275 -150 $166K -21.7% 0.12% EC
176 Barclays plc N/A Mar 2026 31,637 NEW $166K 0.12% EC
177 Progressive Corp. (The) 743315103 Mar 2026 831 -181 $165K -34.1% 0.12% EC
178 Regeneron Pharmaceuticals, Inc. 75886F107 Mar 2026 212 +5 $164K +40.7% 0.12% EC
179 Fujitsu Ltd. N/A Mar 2026 8,000 NEW $164K 0.12% EC
180 Recruit Holdings Co. Ltd. N/A Mar 2026 3,700 NEW $161K 0.11% EC
181 Viking Holdings Ltd. N/A Mar 2026 2,177 NEW $160K 0.11% EC
182 Comfort Systems USA, Inc. 199908104 Sep 2025 116 -68 $160K +5.4% 0.11% EC
183 Dow, Inc. 260557103 Sep 2025 3,832 +3,032 $160K +770.1% 0.11% EC
184 N/A N/A Mar 2026 -555 NEW $159K 0.11% DE
185 Sempra 816851109 1,634 NEW $159K 0.11% EC
186 Travelers Cos., Inc. (The) 89417E109 Mar 2026 542 -587 $158K -49.9% 0.11% EC
187 AMETEK, Inc. 031100100 736 NEW $158K 0.11% EC
188 AECOM 00766T100 Sep 2025 1,830 +709 $155K +6.1% 0.11% EC
189 Marvell Technology, Inc. 573874104 Mar 2026 1,558 -916 $154K -25.8% 0.11% EC
190 Jacobs Solutions, Inc. 46982L108 1,211 NEW $154K 0.11% EC
191 Mitsui OSK Lines Ltd. N/A Mar 2026 3,700 NEW $154K 0.11% EC
192 AerCap Holdings NV N/A Mar 2026 1,119 NEW $154K 0.11% EC
193 HCA Healthcare, Inc. 40412C101 Mar 2026 320 -49 $151K -3.7% 0.11% EC
194 TechnipFMC plc N/A Mar 2026 2,188 NEW $151K 0.11% EC
195 API Group Corp. 00187Y100 Sep 2025 3,716 $151K +17.9% 0.11% EC
196 Experian plc N/A Mar 2026 4,304 NEW $149K 0.11% EC
197 Capital One Financial Corp. 14040H105 Mar 2026 816 +600 $149K +224.2% 0.11% EC
198 CRH plc N/A Mar 2026 1,410 NEW $148K 0.11% EC
199 Ameriprise Financial, Inc. 03076C106 Mar 2026 333 -143 $148K -36.7% 0.11% EC
200 SoftBank Group Corp. N/A Mar 2026 6,000 NEW $146K 0.10% EC
201 EssilorLuxottica SA N/A Mar 2026 620 NEW $144K 0.10% EC
202 Chocoladefabriken Lindt & Spruengli AG N/A Mar 2026 1 NEW $143K 0.10% EC
203 Aegon Ltd. N/A Mar 2026 19,487 NEW $143K 0.10% EC
204 Rockwell Automation, Inc. 773903109 Sep 2025 396 +194 $142K +101.3% 0.10% EC
205 N/A N/A Mar 2026 7,000,000 NEW $141K 0.10% DIR
206 Domino's Pizza, Inc. 25754A201 393 NEW $141K 0.10% EC
207 Unilever plc N/A Mar 2026 2,561 NEW $141K 0.10% EC
208 EOG Resources, Inc. 26875P101 971 NEW $140K 0.10% EC
209 Expedia Group, Inc. 30212P303 604 NEW $139K 0.10% EC
210 Intuit, Inc. 461202103 Mar 2026 322 -186 $139K -59.9% 0.10% EC
211 Accenture plc N/A Mar 2026 696 NEW $138K 0.10% EC
212 Advantest Corp. N/A Mar 2026 1,000 NEW $138K 0.10% EC
213 Abbott Laboratories 002824100 1,344 NEW $138K 0.10% EC
214 Zurich Insurance Group AG N/A Mar 2026 194 NEW $137K 0.10% EC
215 Deutsche Post AG N/A Mar 2026 2,598 NEW $137K 0.10% EC
216 BAE Systems plc N/A Mar 2026 4,626 NEW $136K 0.10% EC
217 Quanta Services, Inc. 74762E102 245 NEW $135K 0.10% EC
218 Sekisui House Ltd. N/A Mar 2026 6,000 NEW $134K 0.10% EC
219 United Parcel Service, Inc. 911312106 Mar 2026 1,348 +42 $133K +21.6% 0.09% EC
220 Sandisk Corp. 80004C200 Sep 2025 208 -134 $132K +244.4% 0.09% EC
221 Airbnb, Inc. 009066101 Mar 2026 1,045 -367 $132K -23.0% 0.09% EC
222 NEC Corp. N/A Mar 2026 5,300 NEW $132K 0.09% EC
223 NN Group NV N/A Mar 2026 1,687 NEW $132K 0.09% EC
224 Vinci SA N/A Mar 2026 868 NEW $130K 0.09% EC
225 Svenska Handelsbanken AB N/A Mar 2026 9,718 NEW $128K 0.09% EC
226 T-Mobile US, Inc. 872590104 609 NEW $128K 0.09% EC
227 Kraft Heinz Co. (The) 500754106 5,662 NEW $127K 0.09% EC
228 Zloty N/A Mar 2026 471,209 NEW $127K 0.09% STIV
229 Computershare Ltd. N/A Mar 2026 6,402 NEW $126K 0.09% EC
230 London Stock Exchange Group plc N/A Mar 2026 1,067 NEW $126K 0.09% EC
231 Cardinal Health, Inc. 14149Y108 Mar 2026 596 -1,733 $126K -65.5% 0.09% EC
232 S&P Global, Inc. 78409V104 Mar 2026 293 -77 $125K -30.8% 0.09% EC
233 Standard Chartered plc N/A Mar 2026 5,978 NEW $125K 0.09% EC
234 Chord Energy Corp. 674215207 Mar 2026 876 +660 $125K +480.3% 0.09% EC
235 Conagra Brands, Inc. 205887102 7,807 NEW $123K 0.09% EC
236 Intuitive Surgical, Inc. 46120E602 Mar 2026 265 -38 $122K -9.9% 0.09% EC
237 Airbus SE N/A Mar 2026 645 NEW $122K 0.09% EC
238 Veralto Corp. 92338C103 1,379 NEW $122K 0.09% EC
239 Lumentum Holdings, Inc. 55024U109 173 NEW $122K 0.09% EC
240 SoftBank Corp. N/A Mar 2026 90,100 NEW $121K 0.09% EC
241 DBS Group Holdings Ltd. N/A Mar 2026 2,700 NEW $120K 0.09% EC
242 CME Group, Inc. 12572Q105 Mar 2026 406 -1,317 $120K -74.2% 0.09% EC
243 RWE AG N/A Mar 2026 1,767 NEW $119K 0.08% EC
244 Monster Beverage Corp. 61174X109 Mar 2026 1,640 -176 $119K -2.8% 0.08% EC
245 Carnival Corp. 143658300 Mar 2026 4,585 +3,706 $119K +366.9% 0.08% EC
246 N/A N/A Mar 2026 12,048,705 NEW $118K 0.08% DCR
247 Nomura Holdings, Inc. N/A Mar 2026 14,900 NEW $117K 0.08% EC
248 Ecolab, Inc. 278865100 441 NEW $117K 0.08% EC
249 PG&E Corp. 69331C108 Mar 2026 6,605 $116K +16.5% 0.08% EC
250 MetLife, Inc. 59156R108 Mar 2026 1,618 -2,387 $114K -65.3% 0.08% EC
251 United Airlines Holdings, Inc. 910047109 Mar 2026 1,210 +769 $111K +161.8% 0.08% EC
252 Republic Services, Inc. 760759100 Sep 2025 507 -1,073 $111K -69.4% 0.08% EC
253 Danaher Corp. 235851102 Mar 2026 581 +16 $110K -1.7% 0.08% EC
254 VeriSign, Inc. 92343E102 Mar 2026 434 -723 $108K -66.7% 0.08% EC
255 Obayashi Corp. N/A Mar 2026 4,400 NEW $107K 0.08% EC
256 Flex Ltd. N/A Mar 2026 1,626 NEW $106K 0.08% EC
257 N/A N/A Mar 2026 16,000,000 NEW $106K 0.07% DIR
258 Japan Post Holdings Co. Ltd. N/A Mar 2026 9,100 NEW $105K 0.07% EC
259 Delta Air Lines, Inc. 247361702 Mar 2026 1,570 +557 $104K +81.6% 0.07% EC
260 Rolls-Royce Holdings plc N/A Mar 2026 6,848 NEW $104K 0.07% EC
261 Kinder Morgan, Inc. 49456B101 Mar 2026 3,067 -9,945 $103K -72.1% 0.07% EC
262 Blackstone, Inc. 09260D107 Mar 2026 890 -79 $102K -38.2% 0.07% EC
263 Garmin Ltd. N/A Mar 2026 441 NEW $102K 0.07% EC
264 Automatic Data Processing, Inc. 053015103 Sep 2025 497 -648 $101K -70.0% 0.07% EC
265 HEICO Corp. 422806208 Mar 2026 474 +101 $100K +5.6% 0.07% EC
266 Ally Financial, Inc. 02005N100 Mar 2026 2,542 -3,671 $100K -59.1% 0.07% EC
267 Zoetis, Inc. 98978V103 834 NEW $99K 0.07% EC
268 Chocoladefabriken Lindt & Spruengli AG N/A Mar 2026 7 NEW $98K 0.07% EC
269 N/A N/A Mar 2026 9,000,000 NEW $98K 0.07% DIR
270 Western Digital Corp. 958102105 362 NEW $98K 0.07% EC
271 Fox Corp. 35137L105 1,674 NEW $98K 0.07% EC
272 AP Moller - Maersk A/S N/A Mar 2026 39 NEW $97K 0.07% EC
273 Qantas Airways Ltd. N/A Mar 2026 16,522 NEW $97K 0.07% EC
274 Halliburton Co. 406216101 2,469 NEW $96K 0.07% EC
275 Thomson Reuters Corp. 884903808 Mar 2026 1,065 +942 $96K +403.3% 0.07% EC
276 Vertex Pharmaceuticals, Inc. 92532F100 215 NEW $96K 0.07% EC
277 Vestas Wind Systems A/S N/A Mar 2026 3,154 NEW $95K 0.07% EC
278 Singapore Technologies Engineering Ltd. N/A Mar 2026 11,200 NEW $95K 0.07% EC
279 Banca Monte dei Paschi di Siena SpA N/A Mar 2026 10,836 NEW $95K 0.07% EC
280 Encompass Health Corp. 29261A100 Mar 2026 975 -1,170 $94K -65.4% 0.07% EC
281 Daiwa House Industry Co. Ltd. N/A Mar 2026 3,000 NEW $94K 0.07% EC
282 SGS SA N/A Mar 2026 887 NEW $93K 0.07% EC
283 Skyworks Solutions, Inc. 83088M102 Sep 2025 1,741 +1,419 $93K +276.1% 0.07% EC
284 PNC Financial Services Group, Inc. (The) 693475105 Sep 2025 445 -11 $93K +1.1% 0.07% EC
285 3i Group plc N/A Mar 2026 2,831 NEW $92K 0.07% EC
286 Novo Nordisk A/S N/A Mar 2026 2,516 NEW $92K 0.07% EC
287 Reckitt Benckiser Group plc N/A Mar 2026 1,351 NEW $91K 0.06% EC
288 Dell Technologies, Inc. 24703L202 Sep 2025 553 -469 $91K -37.4% 0.06% EC
289 nVent Electric plc N/A Mar 2026 767 NEW $91K 0.06% EC
290 Keysight Technologies, Inc. 49338L103 Sep 2025 321 -242 $91K -8.0% 0.06% EC
291 Daiwa Securities Group, Inc. N/A Mar 2026 9,500 NEW $90K 0.06% EC
292 Nippon Steel Corp. N/A Mar 2026 24,400 NEW $90K 0.06% EC
293 NatWest Group plc N/A Mar 2026 12,079 NEW $89K 0.06% EC
294 Edison International 281020107 Mar 2026 1,217 -1,383 $89K -38.0% 0.06% EC
295 Czech Koruna N/A Mar 2026 1,883,907 NEW $89K 0.06% STIV
296 SS&C Technologies Holdings, Inc. 78467J100 Mar 2026 1,302 +314 $88K +0.3% 0.06% EC
297 Veolia Environnement SA N/A Mar 2026 2,285 NEW $87K 0.06% EC
298 Teledyne Technologies, Inc. 879360105 Mar 2026 143 -84 $87K -35.0% 0.06% EC
299 Engie SA N/A Mar 2026 2,677 NEW $86K 0.06% EC
300 Sunbelt Rentals Holdings, Inc. 866966104 1,345 NEW $86K 0.06% EC
301 Hong Kong Exchanges & Clearing Ltd. N/A Mar 2026 1,700 NEW $86K 0.06% EC
302 Rheinmetall AG N/A Mar 2026 50 NEW $84K 0.06% EC
303 ASR Nederland NV N/A Mar 2026 1,221 NEW $84K 0.06% EC
304 RELX plc N/A Mar 2026 2,555 NEW $84K 0.06% EC
305 Credit Saison Co. Ltd. N/A Mar 2026 3,200 NEW $84K 0.06% EC
306 Vistra Corp. 92840M102 554 NEW $83K 0.06% EC
307 Curtiss-Wright Corp. 231561101 Sep 2025 122 +29 $83K +64.6% 0.06% EC
308 Sumitomo Mitsui Trust Group, Inc. N/A Mar 2026 2,600 NEW $83K 0.06% EC
309 Schneider Electric SE N/A Mar 2026 301 NEW $82K 0.06% EC
310 Crane Co. 224408104 476 NEW $81K 0.06% EC
311 Elevance Health, Inc. 036752103 Mar 2026 277 -431 $81K -64.6% 0.06% EC
312 CVS Health Corp. 126650100 Mar 2026 1,118 -670 $80K -40.4% 0.06% EC
313 Corning, Inc. 219350105 587 NEW $80K 0.06% EC
314 Toyota Motor Corp. N/A Mar 2026 3,800 NEW $79K 0.06% EC
315 STMicroelectronics NV N/A Mar 2026 2,321 NEW $79K 0.06% EC
316 Northrop Grumman Corp. 666807102 115 NEW $78K 0.06% EC
317 ROBLOX Corp. 771049103 Mar 2026 1,381 +658 $78K -22.0% 0.06% EC
318 Koninklijke Ahold Delhaize NV N/A Mar 2026 1,665 NEW $78K 0.06% EC
319 ConocoPhillips 20825C104 585 NEW $77K 0.05% EC
320 Roku, Inc. 77543R102 812 NEW $77K 0.05% EC
321 General Motors Co. 37045V100 Sep 2025 1,031 -944 $77K -36.2% 0.05% EC
322 US Bancorp 902973304 Mar 2026 1,458 -7,957 $76K -83.3% 0.05% EC
323 Mitsubishi Electric Corp. N/A Mar 2026 2,300 NEW $75K 0.05% EC
324 Norfolk Southern Corp. 655844108 260 NEW $75K 0.05% EC
325 KBR, Inc. 48242W106 Sep 2025 2,023 +372 $75K -4.5% 0.05% EC
326 Devon Energy Corp. 25179M103 Mar 2026 1,481 -2,328 $75K -44.2% 0.05% EC
327 Vulcan Materials Co. 929160109 273 NEW $74K 0.05% EC
328 Nintendo Co. Ltd. N/A Mar 2026 1,300 NEW $74K 0.05% EC
329 Xylem, Inc. 98419M100 618 NEW $74K 0.05% EC
330 Booz Allen Hamilton Holding Corp. 099502106 Mar 2026 943 -456 $74K -47.4% 0.05% EC
331 Smurfit WestRock plc N/A Mar 2026 1,843 NEW $73K 0.05% EC
332 Warner Bros Discovery, Inc. 934423104 2,662 NEW $73K 0.05% EC
333 ITT, Inc. 45073V108 382 NEW $73K 0.05% EC
334 Kajima Corp. N/A Mar 2026 1,900 NEW $72K 0.05% EC
335 Las Vegas Sands Corp. 517834107 1,339 NEW $72K 0.05% EC
336 Dollar General Corp. 256677105 Mar 2026 606 -1,292 $72K -63.3% 0.05% EC
337 Truist Financial Corp. 89832Q109 Mar 2026 1,538 +705 $71K +85.6% 0.05% EC
338 Constellation Energy Corp. 21037T109 Sep 2025 252 +37 $70K -0.5% 0.05% EC
339 N/A N/A Mar 2026 1 NEW $70K 0.05% DFE
340 Citizens Financial Group, Inc. 174610105 1,166 NEW $70K 0.05% EC
341 Continental AG N/A Mar 2026 1,000 NEW $70K 0.05% EC
342 AppLovin Corp. 03831W108 Mar 2026 172 -49 $68K -56.9% 0.05% EC
343 DuPont de Nemours, Inc. 26614N102 Sep 2025 1,483 -101 $68K -45.0% 0.05% EC
344 Societe Generale SA N/A Mar 2026 925 NEW $68K 0.05% EC
345 NRG Energy, Inc. 629377508 Sep 2025 461 +29 $67K -3.7% 0.05% EC
346 Fox Corp. 35137L204 Mar 2026 1,249 +15 $66K -6.2% 0.05% EC
347 Julius Baer Group Ltd. N/A Mar 2026 899 NEW $66K 0.05% EC
348 MercadoLibre, Inc. 58733R102 Mar 2026 38 +12 $66K +8.1% 0.05% EC
349 Fidelity National Information Services, Inc. 31620M106 Mar 2026 1,385 -860 $65K -56.1% 0.05% EC
350 N/A N/A Mar 2026 59,281,300 NEW $64K 0.05% DIR
351 Targa Resources Corp. 87612G101 Mar 2026 257 -27 $64K +35.4% 0.05% EC
352 Meritage Homes Corp. 59001A102 Mar 2026 1,029 -41 $64K -17.9% 0.05% EC
353 Equifax, Inc. 294429105 Mar 2026 352 +40 $63K -20.8% 0.04% EC
354 Heidelberg Materials AG N/A Mar 2026 295 NEW $62K 0.04% EC
355 Bloom Energy Corp. 093712107 456 NEW $62K 0.04% EC
356 UniCredit SpA N/A Mar 2026 861 NEW $62K 0.04% EC
357 Anglogold Ashanti plc N/A Mar 2026 619 NEW $60K 0.04% EC
358 Tower Semiconductor Ltd. N/A Mar 2026 343 NEW $60K 0.04% EC
359 N/A N/A Mar 2026 -26 NEW $60K 0.04% DE
360 Universal Health Services, Inc. 913903100 Mar 2026 333 +81 $60K +15.7% 0.04% EC
361 Euronext NV N/A Mar 2026 371 NEW $60K 0.04% EC
362 Sea Ltd. 81141R100 Mar 2026 719 -514 $60K -73.0% 0.04% EC
363 Skanska AB N/A Mar 2026 2,197 NEW $59K 0.04% EC
364 Crown Holdings, Inc. 228368106 586 NEW $59K 0.04% EC
365 Thales SA N/A Mar 2026 200 NEW $59K 0.04% EC
366 Ageas SA N/A Mar 2026 795 NEW $59K 0.04% EC
367 Waste Connections, Inc. 94106B101 Mar 2026 360 +276 $58K +296.0% 0.04% EC
368 Saab AB N/A Mar 2026 893 NEW $58K 0.04% EC
369 Crowdstrike Holdings, Inc. 22788C105 Sep 2025 149 +93 $58K +111.8% 0.04% EC
370 Daiichi Life Group, Inc. N/A Mar 2026 6,300 NEW $58K 0.04% EC
371 N/A N/A Mar 2026 1 NEW $58K 0.04% DFE
372 NU Holdings Ltd. N/A Mar 2026 4,011 NEW $58K 0.04% EC
373 Jabil, Inc. 466313103 Sep 2025 216 -76 $57K -9.5% 0.04% EC
374 Take-Two Interactive Software, Inc. 874054109 290 NEW $57K 0.04% EC
375 Genpact Ltd. N/A Mar 2026 1,535 NEW $57K 0.04% EC
376 Centene Corp. 15135B101 Mar 2026 1,743 -2,286 $57K -60.3% 0.04% EC
377 Verisk Analytics, Inc. 92345Y106 Mar 2026 300 -259 $57K -59.5% 0.04% EC
378 Electronic Arts, Inc. 285512109 279 NEW $57K 0.04% EC
379 Coca-Cola HBC AG N/A Mar 2026 1,000 NEW $56K 0.04% EC
380 Nextpower, Inc. 65290E101 464 NEW $56K 0.04% EC
381 N/A N/A Mar 2026 51,306,785 NEW $56K 0.04% DIR
382 Royal Caribbean Cruises Ltd. N/A Mar 2026 202 NEW $56K 0.04% EC
383 Informa plc N/A Mar 2026 5,500 NEW $55K 0.04% EC
384 International Paper Co. 460146103 1,544 NEW $55K 0.04% EC
385 N/A N/A Mar 2026 5,000,000 NEW $55K 0.04% DIR
386 Arch Capital Group Ltd. N/A Mar 2026 568 NEW $55K 0.04% EC
387 Galaxy Entertainment Group Ltd. N/A Mar 2026 12,000 NEW $54K 0.04% EC
388 Holcim AG N/A Mar 2026 654 NEW $54K 0.04% EC
389 AP Moller - Maersk A/S N/A Mar 2026 22 NEW $54K 0.04% EC
390 Wolters Kluwer NV N/A Mar 2026 721 NEW $54K 0.04% EC
391 BWX Technologies, Inc. 05605H100 263 NEW $54K 0.04% EC
392 LY Corp. N/A Mar 2026 22,300 NEW $54K 0.04% EC
393 Alnylam Pharmaceuticals, Inc. 02043Q107 Mar 2026 162 +110 $54K +126.0% 0.04% EC
394 First Solar, Inc. 336433107 269 NEW $53K 0.04% EC
395 NTT, Inc. N/A Mar 2026 52,900 NEW $53K 0.04% EC
396 Constellation Brands, Inc. 21036P108 Sep 2025 351 -28 $53K +3.2% 0.04% EC
397 Kioxia Holdings Corp. N/A Mar 2026 400 NEW $52K 0.04% EC
398 LyondellBasell Industries NV N/A Mar 2026 647 NEW $52K 0.04% EC
399 Expeditors International of Washington, Inc. 302130109 360 NEW $52K 0.04% EC
400 XPO, Inc. 983793100 265 NEW $52K 0.04% EC
401 Western Alliance Bancorp 957638109 724 NEW $51K 0.04% EC
402 MEIJI Holdings Co. Ltd. N/A Mar 2026 2,100 NEW $51K 0.04% EC
403 PayPal Holdings, Inc. 70450Y103 Sep 2025 1,117 +847 $51K +179.0% 0.04% EC
404 Hasbro, Inc. 418056107 Sep 2025 539 -1,890 $50K -72.6% 0.04% EC
405 Southern Co. (The) 842587107 520 NEW $50K 0.04% EC
406 Fujikura Ltd. N/A Mar 2026 1,800 NEW $50K 0.04% EC
407 Coca-Cola Consolidated, Inc. 191098102 258 NEW $49K 0.04% EC
408 Essent Group Ltd. N/A Mar 2026 846 NEW $49K 0.04% EC
409 N/A N/A Mar 2026 1 NEW $49K 0.03% DFE
410 BayCurrent, Inc. N/A Mar 2026 1,700 NEW $49K 0.03% EC
411 Hexagon AB N/A Mar 2026 5,047 NEW $49K 0.03% EC
412 Air Products & Chemicals, Inc. 009158106 169 NEW $49K 0.03% EC
413 N/A N/A Mar 2026 -100 NEW $49K 0.03% DIR
414 Amundi SA N/A Mar 2026 567 NEW $49K 0.03% EC
415 N/A N/A Mar 2026 6,000,000 NEW $49K 0.03% DIR
416 Trade Desk, Inc. (The) 88339J105 Sep 2025 2,126 +88 $48K -51.7% 0.03% EC
417 Insmed, Inc. 457669307 295 NEW $48K 0.03% EC
418 Humana, Inc. 444859102 Mar 2026 278 +182 $48K +93.0% 0.03% EC
419 Nippon Yusen KK N/A Mar 2026 1,300 NEW $48K 0.03% EC
420 Ciena Corp. 171779309 122 NEW $47K 0.03% EC
421 CACI International, Inc. 127190304 Mar 2026 87 -102 $47K -49.8% 0.03% EC
422 Joby Aviation, Inc. N/A Mar 2026 5,728 NEW $47K 0.03% EC
423 Tryg A/S N/A Mar 2026 1,971 NEW $47K 0.03% EC
424 Ferrovial SE N/A Mar 2026 721 NEW $47K 0.03% EC
425 Check Point Software Technologies Ltd. N/A Mar 2026 326 NEW $47K 0.03% EC
426 N/A N/A Mar 2026 137,500,000 NEW $46K 0.03% DIR
427 N/A N/A Mar 2026 1 NEW $46K 0.03% DFE
428 Haleon plc N/A Mar 2026 9,317 NEW $46K 0.03% EC
429 Block, Inc. 852234103 Mar 2026 763 -53 $46K -22.1% 0.03% EC
430 CSL Ltd. N/A Mar 2026 464 NEW $46K 0.03% EC
431 N/A N/A Mar 2026 1 NEW $45K 0.03% DFE
432 MasTec, Inc. 576323109 Sep 2025 140 -453 $45K -64.3% 0.03% EC
433 Taylor Morrison Home Corp. 87724P106 Mar 2026 770 -991 $45K -61.4% 0.03% EC
434 N/A N/A Mar 2026 137,500,000 NEW $45K 0.03% DIR
435 BioMarin Pharmaceutical, Inc. 09061G101 Mar 2026 786 +522 $44K +210.5% 0.03% EC
436 N/A N/A Mar 2026 7,000,000 NEW $44K 0.03% DIR
437 Credit Agricole SA N/A Mar 2026 2,332 NEW $44K 0.03% EC
438 Portland General Electric Co. 736508847 821 NEW $43K 0.03% EC
439 MGIC Investment Corp. 552848103 Sep 2025 1,645 $43K -7.5% 0.03% EC
440 Muenchener Rueckversicherungs-Gesellschaft AG N/A Mar 2026 68 NEW $43K 0.03% EC
441 BASF SE N/A Mar 2026 697 NEW $43K 0.03% EC
442 Vontier Corp. 928881101 1,203 NEW $43K 0.03% EC
443 British American Tobacco plc N/A Mar 2026 727 NEW $42K 0.03% EC
444 ITOCHU Corp. N/A Mar 2026 3,300 NEW $42K 0.03% EC
445 Bank Leumi Le-Israel BM N/A Mar 2026 1,860 NEW $42K 0.03% EC
446 CCL Industries, Inc. 124900309 663 NEW $42K 0.03% EC
447 Service Corp. International 817565104 502 NEW $41K 0.03% EC
448 eBay, Inc. 278642103 453 NEW $41K 0.03% EC
449 Alkermes plc N/A Mar 2026 1,165 NEW $41K 0.03% EC
450 CF Industries Holdings, Inc. 125269100 317 NEW $41K 0.03% EC
451 United Utilities Group plc N/A Mar 2026 2,354 NEW $41K 0.03% EC
452 CSX Corp. 126408103 999 NEW $41K 0.03% EC
453 Astera Labs, Inc. 04626A103 Mar 2026 374 +104 $41K -22.5% 0.03% EC
454 United Therapeutics Corp. 91307C102 Mar 2026 69 $41K +41.5% 0.03% EC
455 N/A N/A Mar 2026 1 NEW $41K 0.03% DFE
456 HF Sinclair Corp. 403949100 Sep 2025 652 -551 $41K -35.4% 0.03% EC
457 UL Solutions, Inc. 903731107 Mar 2026 473 -16 $41K +17.0% 0.03% EC
458 Solstice Advanced Materials, Inc. 83443Q103 530 NEW $40K 0.03% EC
459 Cie Generale des Etablissements Michelin SCA N/A Mar 2026 1,165 NEW $40K 0.03% EC
460 Hermes International SCA N/A Mar 2026 21 NEW $40K 0.03% EC
461 Dassault Systemes SE N/A Mar 2026 1,961 NEW $40K 0.03% EC
462 Loblaw Cos. Ltd. 539481101 Sep 2025 868 -1,301 $40K -52.8% 0.03% EC
463 Hanover Insurance Group, Inc. (The) 410867105 227 NEW $39K 0.03% EC
464 Coherent Corp. 19247G107 165 NEW $39K 0.03% EC
465 Tenet Healthcare Corp. 88033G407 Mar 2026 207 -552 $39K -74.7% 0.03% EC
466 Industria de Diseno Textil SA N/A Mar 2026 670 NEW $39K 0.03% EC
467 N/A N/A Mar 2026 304 NEW $39K 0.03% DE
468 Rubrik, Inc. 781154109 Sep 2025 787 +622 $39K +184.0% 0.03% EC
469 DraftKings, Inc. 26142V105 Sep 2025 1,768 +1,377 $38K +161.4% 0.03% EC
470 Schindler Holding AG N/A Mar 2026 116 NEW $38K 0.03% EC
471 Ipsen SA N/A Mar 2026 204 NEW $38K 0.03% EC
472 Daiichi Sankyo Co. Ltd. N/A Mar 2026 2,100 NEW $38K 0.03% EC
473 Hershey Co. (The) 427866108 Mar 2026 180 -13 $37K +3.7% 0.03% EC
474 Reddit, Inc. 75734B100 Sep 2025 276 +151 $37K +29.3% 0.03% EC
475 Bank Hapoalim BM N/A Mar 2026 1,582 NEW $37K 0.03% EC
476 Snam SpA N/A Mar 2026 4,894 NEW $37K 0.03% EC
477 Lamb Weston Holdings, Inc. 513272104 875 NEW $37K 0.03% EC
478 Tokyo Tatemono Co. Ltd. N/A Mar 2026 1,600 NEW $37K 0.03% EC
479 Valero Energy Corp. 91913Y100 Mar 2026 149 -129 $37K -22.2% 0.03% EC
480 Publicis Groupe SA N/A Mar 2026 443 NEW $37K 0.03% EC
481 Quebecor, Inc. 748193208 862 NEW $37K 0.03% EC
482 Berkeley Group Holdings plc N/A Mar 2026 799 NEW $37K 0.03% EC
483 Brookfield Infrastructure Corp. 11276H106 Mar 2026 923 $36K -3.8% 0.03% EC
484 Severn Trent plc N/A Mar 2026 885 NEW $36K 0.03% EC
485 Swissquote Group Holding SA N/A Mar 2026 73 NEW $36K 0.03% EC
486 FUJIFILM Holdings Corp. N/A Mar 2026 1,900 NEW $36K 0.03% EC
487 Fortescue Ltd. N/A Mar 2026 2,532 NEW $36K 0.03% EC
488 Mobileye Global, Inc. 60741F104 Sep 2025 5,245 $36K -51.3% 0.03% EC
489 M&G plc N/A Mar 2026 9,749 NEW $35K 0.03% EC
490 N/A N/A Mar 2026 1 NEW $35K 0.03% DFE
491 Ono Pharmaceutical Co. Ltd. N/A Mar 2026 2,200 NEW $35K 0.03% EC
492 American Airlines Group, Inc. 02376R102 Sep 2025 3,275 $35K -4.4% 0.02% EC
493 Broadridge Financial Solutions, Inc. 11133T103 Mar 2026 215 -10 $35K -34.8% 0.02% EC
494 Kansai Electric Power Co., Inc. (The) N/A Mar 2026 2,100 NEW $35K 0.02% EC
495 Expand Energy Corp. 165167735 Mar 2026 318 -993 $35K -74.9% 0.02% EC
496 Mitsui & Co. Ltd. N/A Mar 2026 900 NEW $35K 0.02% EC
497 Autodesk, Inc. 052769106 Sep 2025 145 +37 $35K +1.2% 0.02% EC
498 Leonardo SpA N/A Mar 2026 505 NEW $34K 0.02% EC
499 Marsh & McLennan Cos., Inc. 571748102 198 NEW $34K 0.02% EC
500 Jefferies Financial Group, Inc. 47233W109 Mar 2026 829 -1,544 $34K -78.0% 0.02% EC
501 Tosoh Corp. N/A Mar 2026 2,300 NEW $34K 0.02% EC
502 N/A N/A Mar 2026 1 NEW $34K 0.02% DFE
503 Bouygues SA N/A Mar 2026 588 NEW $34K 0.02% EC
504 St. James's Place plc N/A Mar 2026 2,147 NEW $34K 0.02% EC
505 Eiffage SA N/A Mar 2026 220 NEW $34K 0.02% EC
506 Deutsche Lufthansa AG N/A Mar 2026 3,950 NEW $34K 0.02% EC
507 Cloudflare, Inc. 18915M107 163 NEW $34K 0.02% EC
508 CMS Energy Corp. 125896100 432 NEW $34K 0.02% EC
509 Evolution AB N/A Mar 2026 532 NEW $33K 0.02% EC
510 Barry Callebaut AG N/A Mar 2026 19 NEW $33K 0.02% EC
511 Tyson Foods, Inc. 902494103 520 NEW $33K 0.02% EC
512 N/A N/A Mar 2026 93,500,000 NEW $33K 0.02% DIR
513 Segro plc N/A Mar 2026 3,824 NEW $33K 0.02% EC
514 Kenvue, Inc. 49177J102 1,892 NEW $33K 0.02% EC
515 Barrick Mining Corp. 06849F108 797 NEW $33K 0.02% EC
516 Commerzbank AG N/A Mar 2026 892 NEW $33K 0.02% EC
517 EDP SA N/A Mar 2026 6,139 NEW $32K 0.02% EC
518 Rocket Lab Corp. 773121108 503 NEW $32K 0.02% EC
519 N/A N/A Mar 2026 93,500,000 NEW $32K 0.02% DIR
520 Shimizu Corp. N/A Mar 2026 1,800 NEW $32K 0.02% EC
521 Seven & i Holdings Co. Ltd. N/A Mar 2026 2,400 NEW $32K 0.02% EC
522 Keurig Dr Pepper, Inc. 49271V100 Sep 2025 1,225 -919 $32K -41.0% 0.02% EC
523 Stifel Financial Corp. 860630102 436 NEW $32K 0.02% EC
524 N/A N/A Mar 2026 1 NEW $32K 0.02% DFE
525 Marathon Petroleum Corp. 56585A102 Sep 2025 131 -543 $32K -75.4% 0.02% EC
526 Emerson Electric Co. 291011104 244 NEW $32K 0.02% EC
527 Asahi Group Holdings Ltd. N/A Mar 2026 3,200 NEW $32K 0.02% EC
528 Zscaler, Inc. 98980G102 Sep 2025 227 +44 $32K -41.9% 0.02% EC
529 RenaissanceRe Holdings Ltd. N/A Mar 2026 107 NEW $32K 0.02% EC
530 Brinker International, Inc. 109641100 Mar 2026 217 +1 $31K +13.2% 0.02% EC
531 Dollar Tree, Inc. 256746108 Sep 2025 275 -800 $30K -70.3% 0.02% EC
532 Nomura Research Institute Ltd. N/A Mar 2026 1,100 NEW $30K 0.02% EC
533 Red Rock Resorts, Inc. 75700L108 559 NEW $30K 0.02% EC
534 EMCOR Group, Inc. 29084Q100 40 NEW $30K 0.02% EC
535 Coupang, Inc. 22266T109 Mar 2026 1,557 -36 $29K -42.7% 0.02% EC
536 Hilton Worldwide Holdings, Inc. 43300A203 96 NEW $29K 0.02% EC
537 Resona Holdings, Inc. N/A Mar 2026 2,500 NEW $29K 0.02% EC
538 Centrica plc N/A Mar 2026 10,071 NEW $29K 0.02% EC
539 Biogen, Inc. 09062X103 155 NEW $28K 0.02% EC
540 Celanese Corp. 150870103 Sep 2025 432 -305 $28K -8.4% 0.02% EC
541 Palo Alto Networks, Inc. 697435105 Sep 2025 177 -519 $28K -80.0% 0.02% EC
542 Trane Technologies plc N/A Mar 2026 68 NEW $28K 0.02% EC
543 Tokio Marine Holdings, Inc. N/A Mar 2026 600 NEW $28K 0.02% EC
544 Tele2 AB N/A Mar 2026 1,341 NEW $28K 0.02% EC
545 Japan Post Bank Co. Ltd. N/A Mar 2026 1,700 NEW $28K 0.02% EC
546 Kyocera Corp. N/A Mar 2026 1,800 NEW $28K 0.02% EC
547 AT&T, Inc. 00206RGT3 Mar 2026 25,000 $28K -1.7% 0.02% DBT
548 New Israeli Sheqel N/A Mar 2026 85,622 NEW $27K 0.02% STIV
549 Mosaic Co. (The) 61945C103 1,067 NEW $27K 0.02% EC
550 Prudential Financial, Inc. 744320102 Mar 2026 278 -203 $27K -45.6% 0.02% EC
551 Aena SME SA N/A Mar 2026 920 NEW $27K 0.02% EC
552 Repsol SA N/A Mar 2026 940 NEW $26K 0.02% EC
553 Prosus NV N/A Mar 2026 571 NEW $26K 0.02% EC
554 Sunrise Communications AG N/A Mar 2026 442 NEW $26K 0.02% EC
555 Lonza Group AG N/A Mar 2026 41 NEW $26K 0.02% EC
556 Cleveland-Cliffs, Inc. 185899101 3,105 NEW $26K 0.02% EC
557 Capgemini SE N/A Mar 2026 222 NEW $26K 0.02% EC
558 Pentair plc N/A Mar 2026 297 NEW $26K 0.02% EC
559 Toyota Industries Corp. N/A Mar 2026 200 NEW $26K 0.02% EC
560 Nordea Bank Abp N/A Mar 2026 1,494 NEW $26K 0.02% EC
561 Dassault Aviation SA N/A Mar 2026 69 NEW $26K 0.02% EC
562 Affirm Holdings, Inc. 00827B106 Sep 2025 559 +251 $26K +13.8% 0.02% EC
563 Bank of Ireland Group plc N/A Mar 2026 1,406 NEW $26K 0.02% EC
564 Hewlett Packard Enterprise Co. 42824C109 1,069 NEW $25K 0.02% EC
565 Frontline plc N/A Mar 2026 729 NEW $25K 0.02% EC
566 General Mills, Inc. 370334104 681 NEW $25K 0.02% EC
567 Persimmon plc N/A Mar 2026 1,755 NEW $25K 0.02% EC
568 Ares Management Corp. 03990B101 Mar 2026 228 -21 $25K -37.5% 0.02% EC
569 Coterra Energy, Inc. 127097103 Sep 2025 693 -2,615 $24K -68.9% 0.02% EC
570 Mizuho Financial Group, Inc. N/A Mar 2026 600 NEW $24K 0.02% EC
571 N/A N/A Mar 2026 4,000,000 NEW $24K 0.02% DIR
572 Planet Labs PBC 72703X106 864 NEW $24K 0.02% EC
573 Mettler-Toledo International, Inc. 592688105 Mar 2026 19 -18 $24K -47.2% 0.02% EC
574 Royalty Pharma plc N/A Mar 2026 499 NEW $24K 0.02% EC
575 Aeon Co. Ltd. N/A Mar 2026 2,000 NEW $24K 0.02% EC
576 Moderna, Inc. 60770K107 Sep 2025 464 -961 $24K -36.0% 0.02% EC
577 Virtu Financial, Inc. 928254101 535 NEW $24K 0.02% EC
578 Planet Fitness, Inc. 72703H101 Mar 2026 309 -700 $23K -78.1% 0.02% EC
579 Nidec Corp. N/A Mar 2026 1,800 NEW $23K 0.02% EC
580 Singapore Airlines Ltd. N/A Mar 2026 4,400 NEW $23K 0.02% EC
581 Wesfarmers Ltd. N/A Mar 2026 441 NEW $23K 0.02% EC
582 Tetra Tech, Inc. 88162G103 746 NEW $22K 0.02% EC
583 Restaurant Brands International, Inc. 76131D103 Sep 2025 304 $22K +15.2% 0.02% EC
584 NH Foods Ltd. N/A Mar 2026 500 NEW $22K 0.02% EC
585 Digital Realty Trust, Inc. 253868103 Mar 2026 123 -463 $22K -78.1% 0.02% EC
586 N/A N/A Mar 2026 3,000,000 NEW $22K 0.02% DIR
587 Carvana Co. 146869102 Mar 2026 70 -378 $22K -87.0% 0.02% EC
588 Hologic, Inc. 436440101 291 NEW $22K 0.02% EC
589 N/A N/A Mar 2026 32 NEW $22K 0.02% DIR
590 O'Reilly Automotive, Inc. 67103H107 236 NEW $22K 0.02% EC
591 Banco de Sabadell SA N/A Mar 2026 5,984 NEW $21K 0.02% EC
592 Tokyo Electric Power Co. Holdings, Inc. N/A Mar 2026 5,200 NEW $21K 0.02% EC
593 SiTime Corp. 82982T106 Sep 2025 62 $21K +14.6% 0.02% EC
594 RB Global, Inc. 74935Q107 Mar 2026 223 -22 $21K -19.5% 0.02% EC
595 Kerry Group plc N/A Mar 2026 268 NEW $21K 0.02% EC
596 N/A N/A Mar 2026 42,701,732 NEW $21K 0.02% DCR
597 Mitsubishi Gas Chemical Co., Inc. N/A Mar 2026 900 NEW $21K 0.01% EC
598 BAWAG Group AG N/A Mar 2026 138 NEW $21K 0.01% EC
599 Churchill Downs, Inc. 171484108 233 NEW $21K 0.01% EC
600 QIAGEN NV N/A Mar 2026 519 NEW $21K 0.01% EC
601 N/A N/A Mar 2026 5,000,000 NEW $21K 0.01% DIR
602 Eurofins Scientific SE N/A Mar 2026 282 NEW $21K 0.01% EC
603 Danske Bank A/S N/A Mar 2026 417 NEW $21K 0.01% EC
604 Sino Land Co. Ltd. N/A Mar 2026 14,000 NEW $21K 0.01% EC
605 Brookfield Asset Management Ltd. 113004105 Sep 2025 459 -47 $20K -29.2% 0.01% EC
606 Elbit Systems Ltd. N/A Mar 2026 24 NEW $20K 0.01% EC
607 Revolution Medicines, Inc. 76155X100 208 NEW $20K 0.01% EC
608 Stantec, Inc. 85472N109 233 NEW $20K 0.01% EC
609 Danish Krone N/A Mar 2026 129,528 NEW $20K 0.01% STIV
610 Techtronic Industries Co. Ltd. N/A Mar 2026 1,500 NEW $20K 0.01% EC
611 BRP, Inc. 05577W200 275 NEW $20K 0.01% EC
612 Wayfair, Inc. 94419L101 262 NEW $20K 0.01% EC
613 Global-e Online Ltd. N/A Mar 2026 631 NEW $19K 0.01% EC
614 Sumitomo Chemical Co. Ltd. N/A Mar 2026 6,000 NEW $19K 0.01% EC
615 N/A N/A Mar 2026 1 NEW $19K 0.01% DFE
616 Furukawa Electric Co. Ltd. N/A Mar 2026 100 NEW $19K 0.01% EC
617 Fukuoka Financial Group, Inc. N/A Mar 2026 500 NEW $19K 0.01% EC
618 thyssenkrupp AG N/A Mar 2026 2,143 NEW $19K 0.01% EC
619 AGL Energy Ltd. N/A Mar 2026 2,739 NEW $19K 0.01% EC
620 Wynn Resorts Ltd. 983134107 184 NEW $19K 0.01% EC
621 Yaskawa Electric Corp. N/A Mar 2026 700 NEW $18K 0.01% EC
622 Nordex SE N/A Mar 2026 341 NEW $18K 0.01% EC
623 Credo Technology Group Holding Ltd. N/A Mar 2026 195 NEW $18K 0.01% EC
624 Ovintiv, Inc. 69047Q102 Mar 2026 308 -36 $18K +31.6% 0.01% EC
625 Lithia Motors, Inc. 536797103 Mar 2026 73 -208 $18K -79.5% 0.01% EC
626 TDK Corp. N/A Mar 2026 1,400 NEW $18K 0.01% EC
627 N/A N/A Mar 2026 4,000,000 NEW $18K 0.01% DIR
628 Medtronic plc N/A Mar 2026 205 NEW $18K 0.01% EC
629 SUMCO Corp. N/A Mar 2026 1,600 NEW $18K 0.01% EC
630 N/A N/A Mar 2026 2,000,000 NEW $18K 0.01% DIR
631 Southern Copper Corp. 84265V105 Mar 2026 102 -7 $18K +32.7% 0.01% EC
632 Genmab A/S N/A Mar 2026 65 NEW $18K 0.01% EC
633 Kymera Therapeutics, Inc. 501575104 210 NEW $17K 0.01% EC
634 N/A N/A Mar 2026 1 NEW $17K 0.01% DFE
635 Doximity, Inc. 26622P107 Mar 2026 746 -696 $17K -83.5% 0.01% EC
636 New York Times Co. (The) 650111107 207 NEW $17K 0.01% EC
637 Mitsubishi Corp. N/A Mar 2026 500 NEW $17K 0.01% EC
638 TIS, Inc. N/A Mar 2026 800 NEW $17K 0.01% EC
639 FirstEnergy Corp. 337932107 336 NEW $17K 0.01% EC
640 N/A N/A Mar 2026 1 NEW $17K 0.01% DFE
641 N/A N/A Mar 2026 4 NEW $17K 0.01% DE
642 Takasago Thermal Engineering Co. Ltd. N/A Mar 2026 600 NEW $17K 0.01% EC
643 Flutter Entertainment plc N/A Mar 2026 163 NEW $17K 0.01% EC
644 DR Horton, Inc. 23331A109 Mar 2026 121 -549 $17K -85.4% 0.01% EC
645 Bureau Veritas SA N/A Mar 2026 552 NEW $17K 0.01% EC
646 IHI Corp. N/A Mar 2026 800 NEW $17K 0.01% EC
647 Nasdaq, Inc. 631103108 Sep 2025 194 -532 $16K -74.4% 0.01% EC
648 Gecina SA N/A Mar 2026 208 NEW $16K 0.01% EC
649 Chipotle Mexican Grill, Inc. 169656105 Mar 2026 511 -2,639 $16K -86.7% 0.01% EC
650 CGI, Inc. 12532H104 223 NEW $16K 0.01% EC
651 West Pharmaceutical Services, Inc. 955306105 65 NEW $16K 0.01% EC
652 Banco BPM SpA N/A Mar 2026 1,170 NEW $16K 0.01% EC
653 Penta-Ocean Construction Co. Ltd. N/A Mar 2026 1,500 NEW $16K 0.01% EC
654 BKW AG N/A Mar 2026 80 NEW $16K 0.01% EC
655 N/A N/A Mar 2026 2,722,716 NEW $16K 0.01% DE
656 Generac Holdings, Inc. 368736104 80 NEW $16K 0.01% EC
657 NGK Corp. N/A Mar 2026 600 NEW $15K 0.01% EC
658 Israel Discount Bank Ltd. 465074201 Sep 2025 1,529 -157 $15K -7.3% 0.01% EC
659 Carlyle Group, Inc. (The) 14316J108 Mar 2026 317 -2 $15K -23.3% 0.01% EC
660 Moody's Corp. 615369105 Mar 2026 35 -52 $15K -63.2% 0.01% EC
661 INFRONEER Holdings, Inc. N/A Mar 2026 1,100 NEW $15K 0.01% EC
662 STERIS plc N/A Mar 2026 69 NEW $15K 0.01% EC
663 Celestica, Inc. 15101Q207 54 NEW $15K 0.01% EC
664 Kandenko Co. Ltd. N/A Mar 2026 400 NEW $15K 0.01% EC
665 N/A N/A Mar 2026 1 NEW $15K 0.01% DFE
666 HubSpot, Inc. 443573100 Sep 2025 62 -58 $15K -73.0% 0.01% EC
667 Kingspan Group plc N/A Mar 2026 176 NEW $15K 0.01% EC
668 Securitas AB N/A Mar 2026 887 NEW $15K 0.01% EC
669 Essential Utilities, Inc. 29670G102 364 NEW $15K 0.01% EC
670 TUI AG N/A Mar 2026 1,850 NEW $15K 0.01% EC
671 Nokia OYJ N/A Mar 2026 1,805 NEW $14K 0.01% EC
672 Land Securities Group plc N/A Mar 2026 1,949 NEW $14K 0.01% EC
673 Sandvik AB N/A Mar 2026 373 NEW $14K 0.01% EC
674 N/A N/A Mar 2026 -4 NEW $14K 0.01% DE
675 N/A N/A Mar 2026 31 NEW $14K 0.01% DE
676 Orica Ltd. N/A Mar 2026 979 NEW $14K 0.01% EC
677 Sumitomo Forestry Co. Ltd. N/A Mar 2026 1,500 NEW $14K 0.01% EC
678 Molina Healthcare, Inc. 60855R100 Mar 2026 101 -117 $13K -67.7% 0.01% EC
679 Taylor Wimpey plc N/A Mar 2026 11,228 NEW $13K 0.01% EC
680 N/A N/A Mar 2026 6,000,000 NEW $13K 0.01% DIR
681 Hartford Insurance Group, Inc. (The) 416515104 Mar 2026 98 -276 $13K -73.4% 0.01% EC
682 Japan Petroleum Exploration Co. Ltd. N/A Mar 2026 800 NEW $13K 0.01% EC
683 N/A N/A Mar 2026 3,000,000 NEW $13K 0.01% DIR
684 Colgate-Palmolive Co. 194162103 152 NEW $13K 0.01% EC
685 Omnicom Group, Inc. 681919106 172 NEW $13K 0.01% EC
686 N/A N/A Mar 2026 1,000,000 NEW $13K 0.01% DIR
687 N/A N/A Mar 2026 13,000,000 NEW $13K 0.01% DIR
688 Dai Nippon Printing Co. Ltd. N/A Mar 2026 700 NEW $13K 0.01% EC
689 Barratt Redrow plc N/A Mar 2026 3,654 NEW $13K 0.01% EC
690 Ricoh Co. Ltd. N/A Mar 2026 1,500 NEW $13K 0.01% EC
691 KION Group AG N/A Mar 2026 235 NEW $13K 0.01% EC
692 Maplebear, Inc. 565394103 334 NEW $13K 0.01% EC
693 Accelleron Industries AG N/A Mar 2026 133 NEW $12K 0.01% EC
694 Veeva Systems, Inc. 922475108 68 NEW $12K 0.01% EC
695 Alaska Air Group, Inc. 011659109 324 NEW $12K 0.01% EC
696 Unity Software, Inc. 91332U101 535 NEW $12K 0.01% EC
697 N/A N/A Mar 2026 1 NEW $12K 0.01% DFE
698 N/A N/A Mar 2026 1 NEW $11K 0.01% DFE
699 Ascendis Pharma A/S 04351P101 50 NEW $11K 0.01% EC
700 Edenred SE N/A Mar 2026 573 NEW $11K 0.01% EC
701 Westgold Resources Ltd. N/A Mar 2026 2,631 NEW $11K 0.01% EC
702 Neurocrine Biosciences, Inc. 64125C109 83 NEW $11K 0.01% EC
703 Rocket Cos., Inc. 77311W101 757 NEW $11K 0.01% EC
704 N/A N/A Mar 2026 19 NEW $11K 0.01% DE
705 Sportradar Group AG N/A Mar 2026 618 NEW $10K 0.01% EC
706 Zions Bancorp NA 989701107 178 NEW $10K 0.01% EC
707 Microchip Technology, Inc. 595017104 Sep 2025 158 -1,248 $10K -88.7% 0.01% EC
708 CNX Resources Corp. 12653C108 264 NEW $10K 0.01% EC
709 N/A N/A Mar 2026 1 NEW $10K 0.01% DFE
710 N/A N/A Mar 2026 40,000,000 NEW $10K 0.01% DIR
711 ASM International NV N/A Mar 2026 13 NEW $10K 0.01% EC
712 Fluor Corp. 343412102 Sep 2025 211 -869 $10K -78.3% 0.01% EC
713 N/A N/A Mar 2026 33 NEW $10K 0.01% DIR
714 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
715 N/A N/A Mar 2026 74,000,000 NEW $9K 0.01% DIR
716 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
717 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
718 Copart, Inc. 217204106 Sep 2025 265 -779 $9K -81.3% 0.01% EC
719 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
720 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
721 N/A N/A Mar 2026 1 NEW $9K 0.01% DFE
722 N/A N/A Mar 2026 1 NEW $8K 0.01% DFE
723 Regis Resources Ltd. N/A Mar 2026 1,724 NEW $8K 0.01% EC
724 Air Lease Corp. 00912X302 Sep 2025 125 -658 $8K -83.7% 0.01% EC
725 N/A N/A Mar 2026 1 NEW $8K 0.01% DFE
726 N/A N/A Mar 2026 1 NEW $8K 0.01% DFE
727 N/A N/A Mar 2026 1,000,000 NEW $8K 0.01% DIR
728 Janus Henderson Group plc N/A Mar 2026 149 NEW $8K 0.01% EC
729 N/A N/A Mar 2026 1,000,000 NEW $8K 0.01% DIR
730 N/A N/A Mar 2026 57,000,000 NEW $7K 0.01% DIR
731 N/A N/A Mar 2026 6,000,000 NEW $7K 0.01% DIR
732 N/A N/A Mar 2026 2,000,000 NEW $7K 0.01% DIR
733 N/A N/A Mar 2026 1 NEW $7K 0.00% DFE
734 N/A N/A Mar 2026 67,000,000 NEW $7K 0.00% DIR
735 N/A N/A Mar 2026 6,000,000 NEW $7K 0.00% DIR
736 N/A N/A Mar 2026 1 NEW $7K 0.00% DFE
737 N/A N/A Mar 2026 1 NEW $7K 0.00% DFE
738 N/A N/A Mar 2026 1 NEW $7K 0.00% DFE
739 Versant Media Group, Inc. 925283103 174 NEW $6K 0.00% EC
740 Schroders plc N/A Mar 2026 835 NEW $6K 0.00% EC
741 Bright Horizons Family Solutions, Inc. 109194100 Sep 2025 73 -215 $6K -80.8% 0.00% EC
742 N/A N/A Mar 2026 -135 NEW $6K 0.00% DE
743 Penumbra, Inc. 70975L107 18 NEW $6K 0.00% EC
744 N/A N/A Mar 2026 2,000,000 NEW $6K 0.00% DIR
745 N/A N/A Mar 2026 1 NEW $6K 0.00% DFE
746 N/A N/A Mar 2026 1 NEW $5K 0.00% DFE
747 N/A N/A Mar 2026 2,080,000 NEW $5K 0.00% DIR
748 N/A N/A Mar 2026 1 NEW $5K 0.00% DFE
749 N/A N/A Mar 2026 1 NEW $5K 0.00% DFE
750 N/A N/A Mar 2026 1 NEW $5K 0.00% DFE
751 N/A N/A Mar 2026 1 NEW $5K 0.00% DFE
752 N/A N/A Mar 2026 4,000,000 NEW $5K 0.00% DIR
753 Millrose Properties, Inc. 601137102 Mar 2026 184 +24 $5K -4.2% 0.00% EC
754 N/A N/A Mar 2026 7 NEW $5K 0.00% DE
755 H&R Block, Inc. 093671105 156 NEW $5K 0.00% EC
756 N/A N/A Mar 2026 1,000,000 NEW $5K 0.00% DIR
757 WPP plc N/A Mar 2026 1,452 NEW $5K 0.00% EC
758 Webster Financial Corp. 947890109 62 NEW $4K 0.00% EC
759 Brighthouse Financial, Inc. 10922N103 Mar 2026 70 -8 $4K +1.2% 0.00% EC
760 N/A N/A Mar 2026 1 NEW $4K 0.00% DFE
761 XP, Inc. N/A Mar 2026 217 NEW $4K 0.00% EC
762 N/A N/A Mar 2026 1 NEW $4K 0.00% DFE
763 N/A N/A Mar 2026 41,506,643 NEW $4K 0.00% DIR
764 N/A N/A Mar 2026 73,000,000 NEW $4K 0.00% DIR
765 N/A N/A Mar 2026 -36 NEW $4K 0.00% DIR
766 Helvetia Baloise Holding AG N/A Mar 2026 14 NEW $4K 0.00% EC
767 N/A N/A Mar 2026 2 NEW $4K 0.00% DE
768 QuantumScape Corp. 74767V109 553 NEW $4K 0.00% EC
769 N/A N/A Mar 2026 3,000,000 NEW $3K 0.00% DIR
770 N/A N/A Mar 2026 1 NEW $3K 0.00% DFE
771 James Hardie Industries plc N/A Mar 2026 180 NEW $3K 0.00% EC
772 N/A N/A Mar 2026 1 NEW $3K 0.00% DFE
773 N/A N/A Mar 2026 22,000,000 NEW $3K 0.00% DIR
774 Robert Half, Inc. 770323103 Mar 2026 121 -10 $3K -31.0% 0.00% EC
775 N/A N/A Mar 2026 4,000,000 NEW $3K 0.00% DIR
776 N/A N/A Mar 2026 36,951 NEW $3K 0.00% DE
777 Teradata Corp. 88076W103 Mar 2026 113 -13 $3K +6.9% 0.00% EC
778 N/A N/A Mar 2026 2,000,000 NEW $3K 0.00% DIR
779 AES Corp. (The) 00130H105 190 NEW $3K 0.00% EC
780 BellRing Brands, Inc. 07831C103 Sep 2025 153 -444 $2K -88.7% 0.00% EC
781 Sarepta Therapeutics, Inc. 803607100 Mar 2026 112 -11 $2K +2.8% 0.00% EC
782 Forint N/A Mar 2026 709,986 NEW $2K 0.00% STIV
783 CyberArk Software, Inc. N/A Mar 2026 45 NEW $2K 0.00% EC
784 Norwegian Krone N/A Mar 2026 18,090 NEW $2K 0.00% STIV
785 New Zealand Dollar N/A Mar 2026 3,239 NEW $2K 0.00% STIV
786 N/A N/A Mar 2026 1 NEW $2K 0.00% DFE
787 N/A N/A Mar 2026 12,000,000 NEW $1K 0.00% DIR
788 N/A N/A Mar 2026 4,337,000,000 NEW $1K 0.00% DIR
789 N/A N/A Mar 2026 20,746,678 NEW $1K 0.00% DIR
790 N/A N/A Mar 2026 1 NEW $1K 0.00% DFE
791 N/A N/A Mar 2026 1 NEW $964 0.00% DFE
792 N/A N/A Mar 2026 1 NEW $847 0.00% DIR
793 N/A N/A Mar 2026 1 NEW $791 0.00% DFE
794 N/A N/A Mar 2026 2,000,000 NEW $616 0.00% DIR
795 N/A N/A Mar 2026 3,000,000 NEW $539 0.00% DIR
796 Walgreens Boots Alliance, Inc. 931CVR013 Sep 2025 986 $523 +0.0% 0.00%
797 N/A N/A Mar 2026 450,000 NEW $459 0.00% DIR
798 N/A N/A Mar 2026 10,000,000 NEW $440 0.00% DIR
799 ABIOMED, Inc. 003CVR016 Mar 2026 105 $244 +3.1% 0.00%
800 N/A N/A Mar 2026 1 NEW $190 0.00% DFE
801 N/A N/A Mar 2026 1 NEW $171 0.00% DFE
802 N/A N/A Mar 2026 275,000 NEW $142 0.00% DIR
803 N/A N/A Mar 2026 1,000,000 NEW $98 0.00% DIR
804 N/A N/A Mar 2026 2,500,000 NEW $70 0.00% DIR
805 N/A N/A Mar 2026 2,368,000 NEW $56 0.00% DIR
806 Capri Holdings Ltd. N/A Mar 2026 1 NEW $18 0.00% EC
807 Yuan Renminbi N/A Mar 2026 1 NEW $0 0.00% STIV
808 Lehman Brothers Holdings, Inc. 524ESC7M6 25,000 NEW $0 0.00% DBT
809 Brazilian Real N/A Mar 2026 -0 NEW $0 0.00% STIV
810 New Taiwan Dollar N/A Mar 2026 0 NEW $0 0.00% STIV
811 Won N/A Mar 2026 -41 NEW $-0 0.00% STIV
812 N/A N/A Mar 2026 275,000 NEW $-8 -0.00% DIR
813 N/A N/A Mar 2026 1 NEW $-207 -0.00% DFE
814 N/A N/A Mar 2026 3,000,000 NEW $-262 -0.00% DIR
815 N/A N/A Mar 2026 20,746,679 NEW $-340 -0.00% DIR
816 N/A N/A Mar 2026 2,500,000 NEW $-362 -0.00% DIR
817 N/A N/A Mar 2026 2,529,000,000 NEW $-428 -0.00% DIR
818 N/A N/A Mar 2026 1 NEW $-540 -0.00% DFE
819 N/A N/A Mar 2026 1 NEW $-656 -0.00% DFE
820 N/A N/A Mar 2026 25,000,000 NEW $-692 -0.00% DIR
821 N/A N/A Mar 2026 3,552,000 NEW $-714 -0.00% DIR
822 N/A N/A Mar 2026 26,000,000 NEW $-851 -0.00% DIR
823 N/A N/A Mar 2026 83,000,000 NEW $-989 -0.00% DIR
824 N/A N/A Mar 2026 2,000,000 NEW $-990 -0.00% DIR
825 N/A N/A Mar 2026 1 NEW $-1020 -0.00% DFE
826 N/A N/A Mar 2026 1,000,000 NEW $-1067 -0.00% DIR
827 N/A N/A Mar 2026 1 NEW $-1085 -0.00% DFE
828 N/A N/A Mar 2026 1 NEW $-1282 -0.00% DFE
829 N/A N/A Mar 2026 1,000,000 NEW $-1287 -0.00% DIR
830 N/A N/A Mar 2026 31,000,000 NEW $-1346 -0.00% DIR
831 N/A N/A Mar 2026 3,000,000 NEW $-1434 -0.00% DIR
832 N/A N/A Mar 2026 1 NEW $-1616 -0.00% DFE
833 N/A N/A Mar 2026 9,000,000 NEW $-1728 -0.00% DIR
834 N/A N/A Mar 2026 378,513 NEW $-2060 -0.00% DE
835 N/A N/A Mar 2026 28,000,000 NEW $-2377 -0.00% DIR
836 N/A N/A Mar 2026 15,000,000 NEW $-2621 -0.00% DIR
837 N/A N/A Mar 2026 2,249,051 NEW $-2859 -0.00% DE
838 N/A N/A Mar 2026 504,413 NEW $-3085 -0.00% DE
839 N/A N/A Mar 2026 43,000,000 NEW $-3353 -0.00% DIR
840 N/A N/A Mar 2026 3,000,000 NEW $-3415 -0.00% DIR
841 N/A N/A Mar 2026 1 NEW $-3440 -0.00% DFE
842 N/A N/A Mar 2026 1 NEW $-3498 -0.00% DFE
843 N/A N/A Mar 2026 1 NEW $-3517 -0.00% DFE
844 N/A N/A Mar 2026 1 NEW $-3549 -0.00% DFE
845 N/A N/A Mar 2026 -16 NEW $-3576 -0.00% DE
846 N/A N/A Mar 2026 1 NEW $-3752 -0.00% DFE
847 N/A N/A Mar 2026 10,000,000 NEW $-3901 -0.00% DIR
848 N/A N/A Mar 2026 28,000,000 NEW $-4282 -0.00% DIR
849 N/A N/A Mar 2026 1,130,435 NEW $-4290 -0.00% DIR
850 N/A N/A Mar 2026 1,000,000 NEW $-4395 -0.00% DIR
851 N/A N/A Mar 2026 869,565 NEW $-4512 -0.00% DIR
852 N/A N/A Mar 2026 1 NEW $-4606 -0.00% DFE
853 N/A N/A Mar 2026 10,000,000 NEW $-4701 -0.00% DIR
854 N/A N/A Mar 2026 883,120 NEW $-4902 -0.00% DE
855 N/A N/A Mar 2026 7,000,000 NEW $-5185 -0.00% DIR
856 N/A N/A Mar 2026 1 NEW $-5879 -0.00% DFE
857 N/A N/A Mar 2026 1 NEW $-6119 -0.00% DFE
858 N/A N/A Mar 2026 1 NEW $-6139 -0.00% DFE
859 N/A N/A Mar 2026 1,000,000 NEW $-6158 -0.00% DIR
860 N/A N/A Mar 2026 1,000,000 NEW $-6180 -0.00% DIR
861 N/A N/A Mar 2026 1 NEW $-6645 -0.00% DFE
862 N/A N/A Mar 2026 1 NEW $-6975 -0.00% DFE
863 N/A N/A Mar 2026 12,000,000 NEW $-7040 -0.00% DIR
864 N/A N/A Mar 2026 360,205 NEW $-8203 -0.01% DE
865 N/A N/A Mar 2026 1 NEW $-8724 -0.01% DFE
866 N/A N/A Mar 2026 1 NEW $-9355 -0.01% DFE
867 N/A N/A Mar 2026 3,000,000 NEW $-10882 -0.01% DIR
868 N/A N/A Mar 2026 -25 NEW $-10997 -0.01% DE
869 N/A N/A Mar 2026 1 NEW $-11402 -0.01% DFE
870 N/A N/A Mar 2026 1 NEW $-11497 -0.01% DFE
871 N/A N/A Mar 2026 37,000,000 NEW $-12186 -0.01% DIR
872 N/A N/A Mar 2026 1 NEW $-12766 -0.01% DFE
873 N/A N/A Mar 2026 578,009 NEW $-14853 -0.01% DE
874 N/A N/A Mar 2026 621,560 NEW $-15057 -0.01% DE
875 N/A N/A Mar 2026 1 NEW $-16828 -0.01% DFE
876 N/A N/A Mar 2026 14 NEW $-18202 -0.01% DE
877 N/A N/A Mar 2026 2,000,000 NEW $-18230 -0.01% DIR
878 N/A N/A Mar 2026 7,000,000 NEW $-19153 -0.01% DIR
879 N/A N/A Mar 2026 5,790,580 NEW $-21468 -0.02% DE
880 N/A N/A Mar 2026 1 NEW $-21516 -0.02% DFE
881 N/A N/A Mar 2026 48,000,000 NEW $-21823 -0.02% DIR
882 N/A N/A Mar 2026 -109 NEW $-22097 -0.02% DE
883 N/A N/A Mar 2026 11,000,000 NEW $-22446 -0.02% DIR
884 N/A N/A Mar 2026 10 NEW $-23086 -0.02% DE
885 N/A N/A Mar 2026 1 NEW $-23273 -0.02% DFE
886 N/A N/A Mar 2026 1 NEW $-23355 -0.02% DFE
887 N/A N/A Mar 2026 1 NEW $-23453 -0.02% DFE
888 N/A N/A Mar 2026 52,000,000 NEW $-25241 -0.02% DIR
889 N/A N/A Mar 2026 3,636,774 NEW $-26319 -0.02% DE
890 N/A N/A Mar 2026 136,030,495 NEW $-26863 -0.02% DIR
891 N/A N/A Mar 2026 136,030,496 NEW $-27070 -0.02% DIR
892 N/A N/A Mar 2026 15,940,413 NEW $-29414 -0.02% DE
893 N/A N/A Mar 2026 9,750,177 NEW $-30245 -0.02% DE
894 N/A N/A Mar 2026 989,507 NEW $-30332 -0.02% DE
895 N/A N/A Mar 2026 3,538,585,842 NEW $-30468 -0.02% DIR
896 N/A N/A Mar 2026 10,000,000 NEW $-36446 -0.03% DIR
897 N/A N/A Mar 2026 20,364,550 NEW $-37290 -0.03% DE
898 N/A N/A Mar 2026 6,595,485 NEW $-37857 -0.03% DE
899 N/A N/A Mar 2026 45,954,279 NEW $-38119 -0.03% DE
900 N/A N/A Mar 2026 4,308,414,158 NEW $-41435 -0.03% DIR
901 N/A N/A Mar 2026 93,500,000 NEW $-42673 -0.03% DIR
902 N/A N/A Mar 2026 93,500,000 NEW $-42861 -0.03% DIR
903 N/A N/A Mar 2026 76 NEW $-44134 -0.03% DE
904 N/A N/A Mar 2026 26,979,022 NEW $-44286 -0.03% DE
905 N/A N/A Mar 2026 23,000,000 NEW $-46430 -0.03% DIR
906 N/A N/A Mar 2026 122 NEW $-52513 -0.04% DIR
907 N/A N/A Mar 2026 13,000,000 NEW $-53849 -0.04% DIR
908 N/A N/A Mar 2026 107,011,476 NEW $-57898 -0.04% DIR
909 N/A N/A Mar 2026 137,500,000 NEW $-62052 -0.04% DIR
910 N/A N/A Mar 2026 137,500,000 NEW $-62446 -0.04% DIR
911 N/A N/A Mar 2026 447,000,000 NEW $-75963 -0.05% DIR
912 N/A N/A Mar 2026 14,000,000 NEW $-87709 -0.06% DIR
913 N/A N/A Mar 2026 73,397,406 NEW $-96922 -0.07% DE
914 N/A N/A Mar 2026 1 NEW $-113796 -0.08% DFE
915 N/A N/A Mar 2026 -183 NEW $-123479 -0.09% DE
916 N/A N/A Mar 2026 18 NEW $-135585 -0.10% DE
917 N/A N/A Mar 2026 82 NEW $-154877 -0.11% DE
918 N/A N/A Mar 2026 1 NEW $-219941 -0.16% DFE
919 N/A N/A Mar 2026 1,455,955,348 NEW $-220756 -0.16% DIR
920 N/A N/A Mar 2026 705 NEW $-255045 -0.18% DIR
921 N/A N/A Mar 2026 1 NEW $-319730 -0.23% DFE
922 N/A N/A Mar 2026 5,380,933,350 NEW $-333502 -0.24% DE
923 N/A N/A Mar 2026 43,422,350,000 NEW $-424033 -0.30% DIR
United States of America 912797RE9 4,616,200 SOLD $4.6M
United States of America 912797RB5 3,702,200 SOLD $3.7M
Cigna Group (The) 125523100 1,276 SOLD $0.4M
Sysco Corp. 871829107 4,095 SOLD $0.3M
ExlService Holdings, Inc. 302081104 6,303 SOLD $0.3M
Williams Cos., Inc. (The) 969457100 3,976 SOLD $0.3M
Intercontinental Exchange, Inc. 45866F104 1,473 SOLD $0.2M
Equinix, Inc. 29444U700 306 SOLD $0.2M
Kroger Co. (The) 501044101 3,427 SOLD $0.2M
Invitation Homes, Inc. 46187W107 7,651 SOLD $0.2M
Carpenter Technology Corp. 144285103 867 SOLD $0.2M
Cintas Corp. 172908105 994 SOLD $0.2M
Sprouts Farmers Market, Inc. 85208M102 1,845 SOLD $0.2M
Fiserv, Inc. 337738108 1,495 SOLD $0.2M
Iron Mountain, Inc. 46284V101 1,885 SOLD $0.2M
OneMain Holdings, Inc. 68268W103 3,343 SOLD $0.2M
Target Corp. 87612E106 2,042 SOLD $0.2M
Gartner, Inc. 366651107 690 SOLD $0.2M
Workday, Inc. 98138H101 736 SOLD $0.2M
Phillips 66 718546104 1,270 SOLD $0.2M
Global Payments, Inc. 37940X102 2,068 SOLD $0.2M
Tapestry, Inc. 876030107 1,445 SOLD $0.2M
Canadian Natural Resources Ltd. 136385101 5,086 SOLD $0.2M
Nucor Corp. 670346105 1,105 SOLD $0.1M
Otis Worldwide Corp. 68902V107 1,535 SOLD $0.1M
Robinhood Markets, Inc. 770700102 971 SOLD $0.1M
Lululemon Athletica, Inc. 550021109 745 SOLD $0.1M
GoDaddy, Inc. 380237107 942 SOLD $0.1M
Interactive Brokers Group, Inc. 45841N107 1,842 SOLD $0.1M
Coinbase Global, Inc. 19260Q107 375 SOLD $0.1M
Aflac, Inc. 001055102 1,110 SOLD $0.1M
Stryker Corp. 863667101 332 SOLD $0.1M
BorgWarner, Inc. 099724106 2,691 SOLD $0.1M
Simon Property Group, Inc. 828806109 619 SOLD $0.1M
CubeSmart 229663109 2,826 SOLD $0.1M
Reinsurance Group of America, Inc. 759351604 587 SOLD $0.1M
Ferguson Enterprises, Inc. 31488V107 484 SOLD $0.1M
Axon Enterprise, Inc. 05464C101 151 SOLD $0.1M
Casey's General Stores, Inc. 147528103 185 SOLD $0.1M
CarMax, Inc. 143130102 2,262 SOLD $0.1M
Charter Communications, Inc. 16119P108 364 SOLD $0.1M
Paylocity Holding Corp. 70438V106 605 SOLD $0.1M
Natera, Inc. 632307104 587 SOLD $0.1M
Strategy, Inc. 594972408 292 SOLD $0.1M
DoorDash, Inc. 25809K105 344 SOLD $0.1M
Snowflake, Inc. 833445109 403 SOLD $0.1M
GFL Environmental, Inc. 36168Q104 1,755 SOLD $0.1M
Lowe's Cos., Inc. 548661107 324 SOLD $0.1M
Principal Financial Group, Inc. 74251V102 914 SOLD $0.1M
BJ's Wholesale Club Holdings, Inc. 05550J101 810 SOLD $0.1M
AutoNation, Inc. 05329W102 340 SOLD $0.1M
American Tower Corp. 03027X100 385 SOLD $0.1M
Fair Isaac Corp. 303250104 49 SOLD $0.1M
Duolingo, Inc. 26603R106 218 SOLD $0.1M
Apollo Global Management, Inc. 03769M106 519 SOLD $0.1M
PPG Industries, Inc. 693506107 647 SOLD $0.1M
NIKE, Inc. 654106103 955 SOLD $0.1M
Group 1 Automotive, Inc. 398905109 140 SOLD $0.1M
Arrow Electronics, Inc. 042735100 474 SOLD $0.1M
MACOM Technology Solutions Holdings, Inc. 55405Y100 458 SOLD $0.1M
Insulet Corp. 45784P101 184 SOLD $0.1M
Guardant Health, Inc. 40131M109 852 SOLD $0.1M
Exelixis, Inc. 30161Q104 1,265 SOLD $0.1M
Tradeweb Markets, Inc. 892672106 461 SOLD $0.1M
Blue Owl Capital, Inc. 09581B103 2,955 SOLD $0.1M
FirstService Corp. 33767E202 258 SOLD $0.0M
Lennar Corp. 526057104 385 SOLD $0.0M
Cencora, Inc. 03073E105 155 SOLD $0.0M
Ralph Lauren Corp. 751212101 151 SOLD $0.0M
Guidewire Software, Inc. 40171V100 205 SOLD $0.0M
Waystar Holding Corp. 946784105 1,225 SOLD $0.0M
Dexcom, Inc. 252131107 644 SOLD $0.0M
AutoZone, Inc. 053332102 10 SOLD $0.0M
Etsy, Inc. 29786A106 645 SOLD $0.0M
F5, Inc. 315616102 128 SOLD $0.0M
American International Group, Inc. 026874784 468 SOLD $0.0M
MarketAxess Holdings, Inc. 57060D108 210 SOLD $0.0M
Performance Food Group Co. 71377A103 346 SOLD $0.0M
Voya Financial, Inc. 929089100 461 SOLD $0.0M
Ubiquiti, Inc. 90353W103 52 SOLD $0.0M
Dutch Bros, Inc. 26701L100 654 SOLD $0.0M
Kirby Corp. 497266106 409 SOLD $0.0M
Badger Meter, Inc. 056525108 191 SOLD $0.0M
Futu Holdings Ltd. 36118L106 194 SOLD $0.0M
Assurant, Inc. 04621X108 153 SOLD $0.0M
Asbury Automotive Group, Inc. 043436104 135 SOLD $0.0M
Antero Resources Corp. 03674X106 930 SOLD $0.0M
Onto Innovation, Inc. 683344105 241 SOLD $0.0M
Kellanova 487836108 370 SOLD $0.0M
Pure Storage, Inc. 74624M102 358 SOLD $0.0M
Paycom Software, Inc. 70432V102 144 SOLD $0.0M
TFI International, Inc. 87241L109 320 SOLD $0.0M
Fortinet, Inc. 34959E109 323 SOLD $0.0M
Deckers Outdoor Corp. 243537107 263 SOLD $0.0M
ONEOK, Inc. 682680103 363 SOLD $0.0M
Rambus, Inc. 750917106 247 SOLD $0.0M
Vaxcyte, Inc. 92243G108 713 SOLD $0.0M
Align Technology, Inc. 016255101 197 SOLD $0.0M
Southwest Airlines Co. 844741108 742 SOLD $0.0M
Super Micro Computer, Inc. 86800U302 490 SOLD $0.0M
Installed Building Products, Inc. 45780R101 94 SOLD $0.0M
Confluent, Inc. 20717M103 1,164 SOLD $0.0M
Toast, Inc. 888787108 625 SOLD $0.0M
Kyndryl Holdings, Inc. 50155Q100 743 SOLD $0.0M
PulteGroup, Inc. 745867101 166 SOLD $0.0M
Primoris Services Corp. 74164F103 159 SOLD $0.0M
Light & Wonder, Inc. 80874P109 258 SOLD $0.0M
Lear Corp. 521865204 212 SOLD $0.0M
Dycom Industries, Inc. 267475101 73 SOLD $0.0M
Zebra Technologies Corp. 989207105 68 SOLD $0.0M
Datadog, Inc. 23804L103 136 SOLD $0.0M
Unum Group 91529Y106 242 SOLD $0.0M
Dover Corp. 260003108 106 SOLD $0.0M
Edwards Lifesciences Corp. 28176E108 222 SOLD $0.0M
Flowserve Corp. 34354P105 322 SOLD $0.0M
VF Corp. 918204108 1,093 SOLD $0.0M
Nutanix, Inc. 67059N108 212 SOLD $0.0M
Option Care Health, Inc. 68404L201 556 SOLD $0.0M
Exact Sciences Corp. 30063P105 275 SOLD $0.0M
US Foods Holding Corp. 912008109 174 SOLD $0.0M
Rivian Automotive, Inc. 76954A103 884 SOLD $0.0M
Bath & Body Works, Inc. 070830104 483 SOLD $0.0M
Steel Dynamics, Inc. 858119100 88 SOLD $0.0M
Primo Brands Corp. 741623102 540 SOLD $0.0M
HealthEquity, Inc. 42226A107 125 SOLD $0.0M
KKR & Co., Inc. 48251W104 90 SOLD $0.0M
Frontier Communications Parent, Inc. 35909D109 310 SOLD $0.0M
Crocs, Inc. 227046109 138 SOLD $0.0M
SentinelOne, Inc. 81730H109 525 SOLD $0.0M
Mr Cooper Group, Inc. 62482R107 35 SOLD $0.0M
Interpublic Group of Cos., Inc. (The) 460690100 191 SOLD $0.0M
MSA Safety, Inc. 553498106 9 SOLD $0.0M