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Holdings (Monthly) Guide ↗

Naa Opportunity Fund

· New Age Alpha Funds Trust
Monthly Holdings $121M AUM 474 positions Period Jun 2026 Filed Aug 19, 2026 EDGAR ↗ ← All Funds
All 385 New 19 Added 10 Reduced 24 Exited · Jun 2026 vs Mar 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 N/A N/A Mar 2026 9,178,492 +9,178,268 $9.2M +609920.6% 22.67% STIV
2 UNITED STATES OF AMERICA - BUREAU OF THE PUBLIC DEBT 912797SA6 Mar 2026 9,000,000 $8.9M +0.9% 22.02% DBT
3 N/A N/A Mar 2026 2,962,610 NEW $3.0M 7.32% STIV
4 OGE ENERGY CORP 670837103 Mar 2026 13,688 +8,146 $666K +150.6% 1.65% EC
5 EXELON CORP 30161N101 Mar 2026 14,082 +3,351 $657K +24.8% 1.62% EC
6 EXXON MOBIL CORP 30231G102 Mar 2026 4,275 +382 $584K -11.5% 1.44% EC
7 AMEREN CORP 023608102 Mar 2026 4,699 +837 $531K +25.1% 1.31% EC
8 PFIZER INC 717081103 Mar 2026 21,399 $515K -14.2% 1.27% EC
9 CHENIERE ENERGY INC 16411R208 Mar 2026 2,061 -70 $493K -18.5% 1.22% EC
10 COMCAST CORP 20030N101 Mar 2026 19,494 +6,654 $479K +29.8% 1.18% EC
11 BRISTOL-MYERS SQUIBB COMPANY 110122108 Mar 2026 7,709 -1,371 $444K -19.3% 1.10% EC
12 RELIANCE INC 759509102 Mar 2026 1,106 +21 $413K +25.3% 1.02% EC
13 AERCAP HOLDINGS NV N00985106 Mar 2026 2,538 +57 $370K +8.7% 0.91% EC
14 AT&T INC 00206R102 Mar 2026 17,808 +4,203 $369K -6.5% 0.91% EC
15 ADOBE INC 00724F101 Mar 2026 1,781 +635 $365K +31.1% 0.90% EC
16 PENGUIN SOLUTIONS IN N/A Mar 2026 6,062 NEW $350K 0.86% DE
17 GILEAD SCIENCES INC 375558103 Mar 2026 2,758 $348K -9.3% 0.86% EC
18 ALBERTSONS COMPANIES INC 013091103 Mar 2026 25,047 +13,708 $339K +75.4% 0.84% EC
19 T-MOBILE US INC 872590104 Mar 2026 1,947 +162 $327K -12.9% 0.81% EC
20 MERCK & COMPANY INC 58933Y105 Mar 2026 2,470 -1,702 $317K -36.8% 0.78% EC
21 TRUIST FINANCIAL CORP 89832Q109 Mar 2026 6,292 +4,039 $313K +202.7% 0.77% EC
22 CARDINAL HEALTH INC 14149Y108 Jun 2026 1,292 NEW $307K 0.76% EC
23 KRAFT HEINZ COMPANY (THE) 500754106 Mar 2026 12,976 +3,103 $306K +38.0% 0.76% EC
24 KEYCORP 493267108 Jun 2026 13,282 NEW $306K 0.76% EC
25 MARATHON PETROLEUM CORP 56585A102 Jun 2026 1,193 NEW $305K 0.75% EC
26 PG&E CORP 69331C108 Mar 2026 17,597 $296K -4.3% 0.73% EC
27 CONSOLIDATED EDISON INC 209115104 Mar 2026 2,664 $295K -2.3% 0.73% EC
28 JOHNSON & JOHNSON 478160104 Mar 2026 1,099 -335 $279K -20.4% 0.69% EC
29 AMERICAN ELECTRIC POWER COMPANY INC 025537101 Mar 2026 2,004 +769 $274K +69.4% 0.68% EC
30 AGNC INVESTMENT CORP 00123Q104 Jun 2026 23,906 NEW $261K 0.64% EC
31 DUKE ENERGY CORP 26441C204 Mar 2026 2,054 $260K -3.3% 0.64% EC
32 VERIZON COMMUNICATIONS INC 92343V104 Mar 2026 5,871 +302 $249K -11.1% 0.61% EC
33 BECTON DICKINSON & COMPANY 075887109 Mar 2026 1,612 $244K -3.8% 0.60% EC
34 ZOOM COMMUNICATIONS INC 98980L101 Mar 2026 2,826 $244K +7.4% 0.60% EC
35 BIOGEN INC 09062X103 Mar 2026 1,119 $242K +17.9% 0.60% EC
36 AMGEN INC 031162100 Mar 2026 663 $240K +2.9% 0.59% EC
37 ANNALY CAPITAL MANAGEMENT INC 035710839 Jun 2026 10,599 NEW $237K 0.59% EC
38 GEN DIGITAL INC 668771108 Mar 2026 9,366 $233K +32.2% 0.58% EC
39 QUALCOMM INC 747525103 Mar 2026 1,240 -593 $229K -2.9% 0.57% EC
40 CITIGROUP INC 172967424 Jun 2026 1,586 NEW $222K 0.55% EC
41 ALLSTATE CORP (THE) 020002101 Mar 2026 914 $217K +14.8% 0.54% EC
42 KINDER MORGAN INC 49456B101 Mar 2026 6,414 -2,496 $205K -31.4% 0.51% EC
43 MILLICOM INTL CELLUL N/A Mar 2026 4,773 NEW $205K 0.51% DE
44 MCKESSON CORP 58155Q103 Jun 2026 270 NEW $204K 0.50% EC
45 AVISTA CORP 05379B107 Jun 2026 4,900 NEW $200K 0.50% EC
46 SALESFORCE INC 79466L302 Mar 2026 1,229 $193K -16.1% 0.48% EC
47 ANTERO MIDSTREAM CORP 03676B102 Mar 2026 8,437 -2,210 $192K -20.9% 0.47% EC
48 PACCAR INC 693718108 Mar 2026 1,594 $191K +4.0% 0.47% EC
49 CHEVRON CORP 166764100 Mar 2026 1,151 -2,461 $191K -74.5% 0.47% EC
50 MICRON TECHNOLOGY IN N/A Mar 2026 198 NEW $191K 0.47% DE
51 HOST HOTELS & RESORTS INC 44107P104 Jun 2026 7,880 NEW $187K 0.46% EC
52 IRIDIUM COMMUNICATIO N/A Mar 2026 7,358 NEW $185K 0.46% DE
53 ACUREN CORPORATION N/A Mar 2026 -39,391 NEW $184K 0.45% DE
54 ABBOTT LABORATORIES 002824100 Mar 2026 1,998 $181K -11.6% 0.45% EC
55 HEWLETT PACKARD ENTE N/A Mar 2026 7,851 NEW $179K 0.44% DE
56 ROPER TECHNOLOGIES INC 776696106 Mar 2026 517 $175K -4.4% 0.43% EC
57 VIATRIS INC 92556V106 Jun 2026 10,785 NEW $171K 0.42% EC
58 UGI CORP 902681105 Mar 2026 4,953 $171K -5.2% 0.42% EC
59 MILLROSE PROPERTIES INC 601137102 Jun 2026 5,323 NEW $160K 0.40% EC
60 EVERGY INC 30034W106 Mar 2026 1,843 $159K +5.5% 0.39% EC
61 CISCO SYSTEMS INC 17275R102 Mar 2026 1,338 -405 $157K +16.2% 0.39% EC
62 FORTIVE CORP 34959J108 Mar 2026 2,488 $152K +10.5% 0.38% EC
63 BANDWIDTH INC-CLASS N/A Mar 2026 3,108 NEW $148K 0.37% DE
64 NETSCOUT SYSTEMS INC N/A Mar 2026 13,324 NEW $148K 0.37% DE
65 GENERAL MILLS INC 370334104 Mar 2026 4,205 $146K -6.5% 0.36% EC
66 MEDTRONIC PLC G5960L103 Mar 2026 1,745 -2,466 $137K -62.6% 0.34% EC
67 RITHM CAPITAL CORP 64828T201 Jun 2026 14,474 NEW $136K 0.34% EC
68 DOLBY LABORATORIES INC 25659T107 Mar 2026 2,553 $134K -12.5% 0.33% EC
69 ARCHER DANIELS MIDLAND COMPANY 039483102 Mar 2026 1,716 $131K +5.1% 0.32% EC
70 NISOURCE INC 65473P105 Mar 2026 2,637 $125K +1.9% 0.31% EC
71 INTEGRA LIFESCIENCES N/A Mar 2026 15,191 NEW $124K 0.31% DE
72 ELEVANCE HEALTH INC 036752103 Jun 2026 319 NEW $123K 0.30% EC
73 UNITED AIRLINES HOLD N/A Mar 2026 5,007 NEW $119K 0.29% DE
74 EDISON INTERNATIONAL 281020107 Mar 2026 1,589 $118K +1.7% 0.29% EC
75 STATE STREET CORP 857477103 Jun 2026 694 NEW $118K 0.29% EC
76 CONSTELLIUM SE N/A Mar 2026 9,354 NEW $115K 0.28% DE
77 HF SINCLAIR CORP N/A Mar 2026 7,117 NEW $114K 0.28% DE
78 LIBERTY LATIN AMER P N/A Mar 2026 4,893 NEW $106K 0.26% DE
79 EDISON INTERNATIONAL N/A Mar 2026 5,468 NEW $106K 0.26% DE
80 MOLSON COORS BEVERAGE COMPANY 60871R209 Mar 2026 2,694 $105K -9.5% 0.26% EC
81 CONAGRA BRANDS INC 205887102 Mar 2026 7,793 $105K -14.4% 0.26% EC
82 TD SYNNEX CORP N/A Mar 2026 994 NEW $103K 0.26% DE
83 INCYTE CORP N/A Mar 2026 5,866 NEW $102K 0.25% DE
84 PORTLAND GENERAL ELECTRIC COMPANY 736508847 Jun 2026 1,964 NEW $102K 0.25% EC
85 ACCENTURE PLC G1151C101 Mar 2026 810 +796 $101K +3530.9% 0.25% EC
86 DELTA AIR LINES INC N/A Mar 2026 5,281 NEW $100K 0.25% DE
87 DELL TECHNOLOGIES -C N/A Mar 2026 320 NEW $98K 0.24% DE
88 VIASAT INC N/A Mar 2026 2,398 NEW $96K 0.24% DE
89 FIRSTENERGY CORP 337932107 Mar 2026 1,963 $93K -6.2% 0.23% EC
90 VALERO ENERGY CORP N/A Mar 2026 2,261 NEW $90K 0.22% DE
91 FREEPORT-MCMORAN INC N/A Mar 2026 4,181 NEW $89K 0.22% DE
92 BREAD FINANCIAL HOLD N/A Mar 2026 2,635 NEW $89K 0.22% DE
93 HUMANA INC N/A Mar 2026 581 NEW $88K 0.22% DE
94 NORTHROP GRUMMAN CORP 666807102 Jun 2026 170 NEW $87K 0.21% EC
95 ONEOK INC N/A Mar 2026 4,306 NEW $84K 0.21% DE
96 WORKDAY INC 98138H101 Mar 2026 681 $83K -5.8% 0.21% EC
97 A.O. SMITH CORP 831865209 Jun 2026 1,304 NEW $82K 0.20% EC
98 ARCHER-DANIELS-MIDLA N/A Mar 2026 6,854 NEW $80K 0.20% DE
99 HURON CONSULTING GRO N/A Mar 2026 -1,560 NEW $74K 0.18% DE
100 STANLEY BLACK & DECK N/A Mar 2026 3,454 NEW $74K 0.18% DE
101 STEEL DYNAMICS INC N/A Mar 2026 1,334 NEW $74K 0.18% DE
102 MSC INDUSTRIAL DIREC N/A Mar 2026 4,573 NEW $74K 0.18% DE
103 EXPONENT INC N/A Mar 2026 -6,217 NEW $74K 0.18% DE
104 APPLE HOSPITALITY RE N/A Mar 2026 23,057 NEW $73K 0.18% DE
105 MUELLER INDUSTRIES I N/A Mar 2026 2,024 NEW $72K 0.18% DE
106 TARGET CORP N/A Mar 2026 2,348 NEW $72K 0.18% DE
107 ON SEMICONDUCTOR N/A Mar 2026 1,632 NEW $69K 0.17% DE
108 WORLD KINECT CORP N/A Mar 2026 7,759 NEW $69K 0.17% DE
109 TD SYNNEX CORP 87162W100 Jun 2026 256 NEW $68K 0.17% EC
110 GODADDY INC 380237107 Mar 2026 802 $68K +2.7% 0.17% EC
111 CENTENE CORP N/A Mar 2026 5,538 NEW $67K 0.17% DE
112 NATIONAL BEVERAGE CO N/A Mar 2026 -11,221 NEW $64K 0.16% DE
113 PAR PACIFIC HOLDINGS N/A Mar 2026 3,840 NEW $64K 0.16% DE
114 MOLINA HEALTHCARE IN N/A Mar 2026 1,557 NEW $64K 0.16% DE
115 SOUTHWEST AIRLINES C N/A Mar 2026 6,881 NEW $63K 0.16% DE
116 VORNADO REALTY TRUST N/A Mar 2026 11,182 NEW $63K 0.15% DE
117 SHAKE SHACK INC - CL N/A Mar 2026 -1,694 NEW $63K 0.15% DE
118 FLUOR CORP 343412102 Mar 2026 1,161 $61K +12.3% 0.15% EC
119 CVS HEALTH CORP N/A Mar 2026 2,702 NEW $61K 0.15% DE
120 TELADOC HEALTH INC N/A Mar 2026 37,819 NEW $60K 0.15% DE
121 SPOK HOLDINGS INC 84863T106 Mar 2026 5,855 $60K -6.1% 0.15% EC
122 OWENS CORNING N/A Mar 2026 1,811 NEW $59K 0.15% DE
123 STONEX GROUP INC N/A Mar 2026 1,443 NEW $59K 0.15% DE
124 FULTON FINANCIAL COR N/A Mar 2026 20,725 NEW $59K 0.14% DE
125 OCCIDENTAL PETROLEUM CORP 674599105 Mar 2026 1,205 +976 $59K +293.2% 0.14% EC
126 MCGRAW HILL INC N/A Mar 2026 -12,709 NEW $57K 0.14% DE
127 DTE ENERGY COMPANY N/A Mar 2026 2,700 NEW $56K 0.14% DE
128 KROGER COMPANY (THE) 501044101 Mar 2026 1,012 +388 $56K +24.5% 0.14% EC
129 UNITED STATES LIME & N/A Mar 2026 -3,864 NEW $56K 0.14% DE
130 TIMKEN CO N/A Mar 2026 1,654 NEW $56K 0.14% DE
131 FORTUNE BRANDS INNOV N/A Mar 2026 6,377 NEW $54K 0.13% DE
132 EXELIXIS INC N/A Mar 2026 5,245 NEW $52K 0.13% DE
133 ALLEGIANT TRAVEL N/A Mar 2026 1,277 NEW $52K 0.13% DE
134 OKTA INC N/A Mar 2026 1,094 NEW $51K 0.13% DE
135 REGAL REXNORD CORP N/A Mar 2026 555 NEW $51K 0.13% DE
136 COMPASS MINERALS INT N/A Mar 2026 5,368 NEW $51K 0.13% DE
137 VERISK ANALYTICS INC N/A Mar 2026 -1,386 NEW $48K 0.12% DE
138 FLUOR CORP N/A Mar 2026 4,168 NEW $48K 0.12% DE
139 PLANET FITNESS INC - N/A Mar 2026 -2,640 NEW $47K 0.12% DE
140 PORTLAND GENERAL ELE N/A Mar 2026 10,955 NEW $46K 0.11% DE
141 WILLDAN GROUP INC N/A Mar 2026 -1,956 NEW $46K 0.11% DE
142 EVERGY INC N/A Mar 2026 2,590 NEW $45K 0.11% DE
143 CUMMINS INC N/A Mar 2026 248 NEW $43K 0.11% DE
144 OSHKOSH CORP N/A Mar 2026 2,326 NEW $43K 0.11% DE
145 ATN INTERNATIONAL IN N/A Mar 2026 13,013 NEW $43K 0.11% DE
146 MARTEN TRANSPORT LTD N/A Mar 2026 11,542 NEW $42K 0.10% DE
147 OCCIDENTAL PETROLEUM N/A Mar 2026 9,489 NEW $41K 0.10% DE
148 MITEK SYSTEMS INC N/A Mar 2026 7,533 NEW $41K 0.10% DE
149 TORO CO N/A Mar 2026 4,036 NEW $41K 0.10% DE
150 BUILDERS FIRSTSOURCE N/A Mar 2026 2,844 NEW $39K 0.10% DE
151 ACCELERANT HOLDINGS- N/A Mar 2026 -15,127 NEW $39K 0.10% DE
152 CINTAS CORP N/A Mar 2026 -1,127 NEW $38K 0.09% DE
153 AVANTOR INC N/A Mar 2026 19,400 NEW $36K 0.09% DE
154 FRESHWORKS INC-CL A N/A Mar 2026 20,134 NEW $36K 0.09% DE
155 ADT INC 00090Q103 Mar 2026 5,465 $36K -1.1% 0.09% EC
156 NEWMONT CORP N/A Mar 2026 5,931 NEW $35K 0.09% DE
157 AERCAP HOLDINGS NV N/A Mar 2026 862 NEW $35K 0.09% DE
158 RTX CORP 75513E101 Jun 2026 183 NEW $35K 0.09% EC
159 WERIDE INC-ADR N/A Mar 2026 -21,334 NEW $34K 0.08% DE
160 GATES INDUSTRIAL COR N/A Mar 2026 7,371 NEW $34K 0.08% DE
161 SABLE OFFSHORE CORP N/A Mar 2026 -6,172 NEW $33K 0.08% DE
162 3M CO N/A Mar 2026 1,935 NEW $32K 0.08% DE
163 PINNACLE WEST CAPITA N/A Mar 2026 1,732 NEW $31K 0.08% DE
164 JOHNSON CONTROLS INT N/A Mar 2026 3,091 NEW $31K 0.08% DE
165 SCORPIO TANKERS INC N/A Mar 2026 5,470 NEW $31K 0.08% DE
166 MARATHON PETROLEUM C N/A Mar 2026 405 NEW $31K 0.08% DE
167 COGNIZANT TECHNOLOGY SOLUTIONS CORP 192446102 Jun 2026 778 NEW $30K 0.07% EC
168 AUTOZONE INC N/A Mar 2026 -118 NEW $30K 0.07% DE
169 EXLSERVICE HOLDINGS N/A Mar 2026 -5,352 NEW $30K 0.07% DE
170 CONSOLIDATED EDISON N/A Mar 2026 2,577 NEW $29K 0.07% DE
171 CACI INTERNATIONAL I N/A Mar 2026 -287 NEW $28K 0.07% DE
172 PEDIATRIX MEDICAL GR N/A Mar 2026 11,773 NEW $28K 0.07% DE
173 AUTONATION INC N/A Mar 2026 -1,876 NEW $28K 0.07% DE
174 GROUP 1 AUTOMOTIVE I N/A Mar 2026 -629 NEW $27K 0.07% DE
175 GRAND CANYON EDUCATI N/A Mar 2026 -990 NEW $26K 0.06% DE
176 WESTLAKE CORP N/A Mar 2026 -2,185 NEW $25K 0.06% DE
177 AMKOR TECHNOLOGY INC N/A Mar 2026 1,824 NEW $25K 0.06% DE
178 AMERICAN AIRLINES GR N/A Mar 2026 6,739 NEW $25K 0.06% DE
179 GENEDX HOLDINGS CORP N/A Mar 2026 -1,005 NEW $24K 0.06% DE
180 DROPBOX INC 26210C104 Mar 2026 880 $24K +20.9% 0.06% EC
181 SYLVAMO CORP N/A Mar 2026 -4,712 NEW $24K 0.06% DE
182 RYDER SYSTEM INC N/A Mar 2026 595 NEW $23K 0.06% DE
183 MONSTER BEVERAGE COR N/A Mar 2026 1,826 NEW $23K 0.06% DE
184 FTI CONSULTING INC N/A Mar 2026 -1,321 NEW $23K 0.06% DE
185 HILLMAN SOLUTIONS CO N/A Mar 2026 35,025 NEW $22K 0.05% DE
186 TEEKAY TANKERS LTD-C N/A Mar 2026 2,780 NEW $22K 0.05% DE
187 CORVEL CORP N/A Mar 2026 -2,548 NEW $22K 0.05% DE
188 ELEVANCE HEALTH INC N/A Mar 2026 431 NEW $21K 0.05% DE
189 CASELLA WASTE SYSTEM N/A Mar 2026 -2,969 NEW $21K 0.05% DE
190 PILGRIM'S PRIDE CORP 72147K108 Jun 2026 735 NEW $21K 0.05% EC
191 SPOTIFY TECHNOLOGY S N/A Mar 2026 -425 NEW $20K 0.05% DE
192 URANIUM ENERGY CORP N/A Mar 2026 -6,451 NEW $20K 0.05% DE
193 MIAMI INTERNATIONAL N/A Mar 2026 -3,193 NEW $20K 0.05% DE
194 COMSTOCK RESOURCES I N/A Mar 2026 -4,061 NEW $20K 0.05% DE
195 ANTERO MIDSTREAM COR N/A Mar 2026 3,338 NEW $19K 0.05% DE
196 CIRRUS LOGIC INC N/A Mar 2026 2,421 NEW $19K 0.05% DE
197 SENSATA TECHNOLOGIES N/A Mar 2026 2,982 NEW $19K 0.05% DE
198 RADNET INC N/A Mar 2026 -1,874 NEW $18K 0.04% DE
199 IDT CORP-CLASS B N/A Mar 2026 6,965 NEW $18K 0.04% DE
200 DOLLAR TREE INC N/A Mar 2026 1,032 NEW $18K 0.04% DE
201 FMC CORP N/A Mar 2026 -10,080 NEW $18K 0.04% DE
202 WYNN RESORTS LTD N/A Mar 2026 -1,817 NEW $17K 0.04% DE
203 EVERSOURCE ENERGY N/A Mar 2026 6,363 NEW $17K 0.04% DE
204 HERBALIFE LTD N/A Mar 2026 12,258 NEW $17K 0.04% DE
205 NEXSTAR MEDIA GROUP N/A Mar 2026 -1,167 NEW $17K 0.04% DE
206 IDT CORP 448947507 Mar 2026 298 $17K +18.5% 0.04% EC
207 UNITED PARCEL SERVIC N/A Mar 2026 2,125 NEW $17K 0.04% DE
208 AUTOHOME INC-ADR N/A Mar 2026 -11,494 NEW $17K 0.04% DE
209 CALIFORNIA RESOURCES N/A Mar 2026 -1,936 NEW $17K 0.04% DE
210 AMN HEALTHCARE SERVI N/A Mar 2026 5,247 NEW $17K 0.04% DE
211 LANTHEUS HOLDINGS IN N/A Mar 2026 1,217 NEW $16K 0.04% DE
212 DELEK US HOLDINGS IN N/A Mar 2026 3,416 NEW $16K 0.04% DE
213 LYFT INC-A N/A Mar 2026 21,087 NEW $15K 0.04% DE
214 CARVANA CO N/A Mar 2026 -1,340 NEW $15K 0.04% DE
215 TRANSUNION N/A Mar 2026 -2,054 NEW $14K 0.03% DE
216 INTL FLAVORS & FRAGR N/A Mar 2026 -2,112 NEW $13K 0.03% DE
217 QUALCOMM INC N/A Mar 2026 501 NEW $12K 0.03% DE
218 UNITEDHEALTH GROUP I N/A Mar 2026 329 NEW $12K 0.03% DE
219 WIX.COM LTD M98068105 Mar 2026 256 $12K -49.6% 0.03% EC
220 BIOGEN INC N/A Mar 2026 324 NEW $11K 0.03% DE
221 MACY'S INC N/A Mar 2026 6,376 NEW $11K 0.03% DE
222 INMODE LTD N/A Mar 2026 14,986 NEW $11K 0.03% DE
223 TARGET CORP 87612E106 Mar 2026 82 $11K +7.8% 0.03% EC
224 REPUBLIC SERVICES IN N/A Mar 2026 -1,173 NEW $11K 0.03% DE
225 CIA DE MINAS BUENAVE N/A Mar 2026 2,814 NEW $10K 0.03% DE
226 UNITED COMMUNITY BAN N/A Mar 2026 6,149 NEW $9K 0.02% DE
227 STEALTHGAS INC N/A Mar 2026 31,665 NEW $9K 0.02% DE
228 HUNT (JB) TRANSPRT S N/A Mar 2026 662 NEW $8K 0.02% DE
229 STEPSTONE GROUP INC- N/A Mar 2026 -2,049 NEW $8K 0.02% DE
230 DUKE ENERGY CORP N/A Mar 2026 2,166 NEW $7K 0.02% DE
231 AMRIZE LTD N/A Mar 2026 -4,188 NEW $7K 0.02% DE
232 MAKEMYTRIP LTD N/A Mar 2026 -2,990 NEW $6K 0.02% DE
233 WARNER MUSIC GROUP C N/A Mar 2026 -5,392 NEW $6K 0.02% DE
234 EDWARDS LIFESCIENCES N/A Mar 2026 2,209 NEW $6K 0.01% DE
235 NUCOR CORP N/A Mar 2026 1,848 NEW $6K 0.01% DE
236 DENTSPLY SIRONA INC N/A Mar 2026 13,307 NEW $5K 0.01% DE
237 TRUIST FINANCIAL COR N/A Mar 2026 1,456 NEW $5K 0.01% DE
238 FIRSTENERGY CORP N/A Mar 2026 6,559 NEW $5K 0.01% DE
239 CENTERSPACE N/A Mar 2026 -3,241 NEW $5K 0.01% DE
240 DONALDSON CO INC N/A Mar 2026 1,748 NEW $5K 0.01% DE
241 CNH INDUSTRIAL NV N/A Mar 2026 14,106 NEW $4K 0.01% DE
242 PAYLOCITY HOLDING CO N/A Mar 2026 -1,019 NEW $4K 0.01% DE
243 STEVEN MADDEN LTD N/A Mar 2026 -3,534 NEW $4K 0.01% DE
244 FIRST SOLAR INC N/A Mar 2026 463 NEW $4K 0.01% DE
245 JAZZ PHARMACEUTICALS N/A Mar 2026 391 NEW $3K 0.01% DE
246 DANAOS CORP N/A Mar 2026 1,315 NEW $3K 0.01% DE
247 MASCO CORP N/A Mar 2026 1,579 NEW $3K 0.01% DE
248 INGLES MARKETS INC-C N/A Mar 2026 2,318 NEW $2K 0.00% DE
249 SCHNEIDER NATIONAL I N/A Mar 2026 3,288 NEW $2K 0.00% DE
250 VULCAN MATERIALS CO N/A Mar 2026 -673 NEW $1K 0.00% DE
251 TRONOX HOLDINGS PLC N/A Mar 2026 -18,572 NEW $988 0.00% DE
252 CROSS COUNTRY HEALTH N/A Mar 2026 9,832 NEW $725 0.00% DE
253 REALREAL INC/THE N/A Mar 2026 -460 NEW $94 0.00% DE
254 APTARGROUP INC N/A Mar 2026 -3,675 NEW $-85 -0.00% DE
255 ATKORE INC N/A Mar 2026 2,106 NEW $-373 -0.00% DE
256 METTLER-TOLEDO INTER N/A Mar 2026 -159 NEW $-471 -0.00% DE
257 IMPINJ INC N/A Mar 2026 -1,191 NEW $-766 -0.00% DE
258 ZOOM COMMUNICATIONS N/A Mar 2026 777 NEW $-1334 -0.00% DE
259 CONAGRA BRANDS INC N/A Mar 2026 1,715 NEW $-1441 -0.00% DE
260 HEARTFLOW INC N/A Mar 2026 -4,323 NEW $-1768 -0.00% DE
261 DROPBOX INC-CLASS A N/A Mar 2026 2,842 NEW $-2725 -0.01% DE
262 DOLBY LABORATORIES I N/A Mar 2026 530 NEW $-2954 -0.01% DE
263 SMARTSTOP SELF STORA N/A Mar 2026 -4,315 NEW $-3193 -0.01% DE
264 SERVICE CORP INTERNA N/A Mar 2026 -2,148 NEW $-3770 -0.01% DE
265 INNOSPEC INC N/A Mar 2026 -2,426 NEW $-3898 -0.01% DE
266 MAPLEBEAR INC N/A Mar 2026 3,962 NEW $-4014 -0.01% DE
267 UFP INDUSTRIES INC N/A Mar 2026 2,012 NEW $-4076 -0.01% DE
268 WINMARK CORP N/A Mar 2026 -576 NEW $-4223 -0.01% DE
269 GEN DIGITAL INC N/A Mar 2026 1,020 NEW $-4246 -0.01% DE
270 IMAX CORP N/A Mar 2026 -2,111 NEW $-4922 -0.01% DE
271 IHS HOLDING LTD N/A Mar 2026 76,708 NEW $-5168 -0.01% DE
272 CHOICE HOTELS INTL I N/A Mar 2026 -1,163 NEW $-5255 -0.01% DE
273 NATIONAL BANK HOLD-C N/A Mar 2026 -4,692 NEW $-5285 -0.01% DE
274 CDW CORP/DE N/A Mar 2026 867 NEW $-5582 -0.01% DE
275 MSA SAFETY INC N/A Mar 2026 -911 NEW $-5720 -0.01% DE
276 ANALOG DEVICES INC N/A Mar 2026 574 NEW $-5819 -0.01% DE
277 SFL CORP LTD N/A Mar 2026 10,442 NEW $-5954 -0.01% DE
278 ECOLAB INC N/A Mar 2026 -537 NEW $-6223 -0.02% DE
279 WYNDHAM HOTELS & RES N/A Mar 2026 -2,773 NEW $-6569 -0.02% DE
280 KIRBY CORP N/A Mar 2026 1,016 NEW $-6830 -0.02% DE
281 EASTMAN KODAK CO N/A Mar 2026 12,128 NEW $-6928 -0.02% DE
282 LAKELAND FINANCIAL C N/A Mar 2026 -3,589 NEW $-7063 -0.02% DE
283 TELEDYNE TECHNOLOGIE N/A Mar 2026 -281 NEW $-7101 -0.02% DE
284 DARDEN RESTAURANTS I N/A Mar 2026 -785 NEW $-7702 -0.02% DE
285 CBIZ INC N/A Mar 2026 -3,193 NEW $-7811 -0.02% DE
286 WESTAMERICA BANCORPO N/A Mar 2026 -2,493 NEW $-7885 -0.02% DE
287 INTERNATIONAL BANCSH N/A Mar 2026 -2,246 NEW $-8041 -0.02% DE
288 MATCH GROUP INC N/A Mar 2026 -5,766 NEW $-8204 -0.02% DE
289 CASEY'S GENERAL STOR N/A Mar 2026 -168 NEW $-8535 -0.02% DE
290 MUELLER WATER PRODUC N/A Mar 2026 4,702 NEW $-8823 -0.02% DE
291 INTERNATIONAL SEAWAY N/A Mar 2026 2,716 NEW $-9365 -0.02% DE
292 FIRST FINL BANKSHARE N/A Mar 2026 -3,492 NEW $-9383 -0.02% DE
293 VOYAGER TECHNOLOGIES N/A Mar 2026 -3,048 NEW $-9790 -0.02% DE
294 GRAHAM HOLDINGS CO-C N/A Mar 2026 -140 NEW $-9849 -0.02% DE
295 LINDE PLC N/A Mar 2026 -470 NEW $-10359 -0.03% DE
296 ASSURANT INC N/A Mar 2026 -531 NEW $-10361 -0.03% DE
297 GENIE ENERGY LTD-B N/A Mar 2026 8,563 NEW $-10628 -0.03% DE
298 ALCOA CORP N/A Mar 2026 2,336 NEW $-11196 -0.03% DE
299 DOCUSIGN INC N/A Mar 2026 2,768 NEW $-11584 -0.03% DE
300 COSTAMARE INC N/A Mar 2026 7,029 NEW $-11725 -0.03% DE
301 ABM INDUSTRIES INC N/A Mar 2026 -3,815 NEW $-12150 -0.03% DE
302 BIONTECH SE-ADR N/A Mar 2026 2,805 NEW $-12168 -0.03% DE
303 AGILYSYS INC N/A Mar 2026 -1,089 NEW $-12169 -0.03% DE
304 VIPER ENERGY INC-CL N/A Mar 2026 -6,204 NEW $-12464 -0.03% DE
305 MERCHANTS BANCORP/IN N/A Mar 2026 -3,242 NEW $-12820 -0.03% DE
306 P G & E CORP N/A Mar 2026 6,969 NEW $-13036 -0.03% DE
307 PENSKE AUTOMOTIVE GR N/A Mar 2026 -1,250 NEW $-13592 -0.03% DE
308 BANK FIRST CORP N/A Mar 2026 -1,465 NEW $-14117 -0.03% DE
309 ACADIAN ASSET MANAGE N/A Mar 2026 -2,031 NEW $-14140 -0.03% DE
310 STEPAN CO N/A Mar 2026 -2,929 NEW $-14191 -0.04% DE
311 EMCOR GROUP INC N/A Mar 2026 -242 NEW $-14224 -0.04% DE
312 FAIR ISAAC CORP N/A Mar 2026 -86 NEW $-14308 -0.04% DE
313 LOUISIANA-PACIFIC CO N/A Mar 2026 -2,667 NEW $-14405 -0.04% DE
314 MYR GROUP INC/DELAWA N/A Mar 2026 -296 NEW $-14745 -0.04% DE
315 UNITED NATURAL FOODS N/A Mar 2026 2,568 NEW $-14981 -0.04% DE
316 NERDWALLET INC-CL A N/A Mar 2026 14,418 NEW $-15200 -0.04% DE
317 TE CONNECTIVITY PLC N/A Mar 2026 767 NEW $-15244 -0.04% DE
318 SL GREEN REALTY CORP N/A Mar 2026 -3,161 NEW $-16015 -0.04% DE
319 MECHANICS BANCORP-A N/A Mar 2026 -14,559 NEW $-16041 -0.04% DE
320 HAWKINS INC N/A Mar 2026 -2,706 NEW $-16151 -0.04% DE
321 ERIE INDEMNITY COMPA N/A Mar 2026 -671 NEW $-16176 -0.04% DE
322 KINSALE CAPITAL GROU N/A Mar 2026 -739 NEW $-16241 -0.04% DE
323 MARTIN MARIETTA MATE N/A Mar 2026 -534 NEW $-16386 -0.04% DE
324 PAYCHEX INC N/A Mar 2026 -4,212 NEW $-16427 -0.04% DE
325 GREEN PLAINS INC N/A Mar 2026 17,487 NEW $-16586 -0.04% DE
326 CITY HOLDING CO N/A Mar 2026 -1,644 NEW $-16790 -0.04% DE
327 KENNAMETAL INC N/A Mar 2026 7,574 NEW $-16826 -0.04% DE
328 RTX CORP N/A Mar 2026 710 NEW $-17061 -0.04% DE
329 COHEN & STEERS INC N/A Mar 2026 -2,307 NEW $-17068 -0.04% DE
330 XPEL INC N/A Mar 2026 -3,029 NEW $-17210 -0.04% DE
331 PRICESMART INC N/A Mar 2026 -660 NEW $-17221 -0.04% DE
332 WALKER & DUNLOP INC N/A Mar 2026 -3,571 NEW $-17447 -0.04% DE
333 BKV CORPORATION N/A Mar 2026 -4,683 NEW $-17750 -0.04% DE
334 WORKDAY INC-CLASS A N/A Mar 2026 2,380 NEW $-17976 -0.04% DE
335 VALMONT INDUSTRIES N/A Mar 2026 -333 NEW $-18154 -0.04% DE
336 EXZEO GROUP INC N/A Mar 2026 -7,964 NEW $-18536 -0.05% DE
337 GENERAL MOTORS CO N/A Mar 2026 2,288 NEW $-19483 -0.05% DE
338 CACTUS INC - A N/A Mar 2026 -2,116 NEW $-19742 -0.05% DE
339 HP INC N/A Mar 2026 6,955 NEW $-20033 -0.05% DE
340 COMCAST CORP-CLASS A N/A Mar 2026 6,272 NEW $-20407 -0.05% DE
341 SAVERS VALUE VILLAGE N/A Mar 2026 -12,144 NEW $-20700 -0.05% DE
342 WD-40 CO N/A Mar 2026 -460 NEW $-21075 -0.05% DE
343 SM ENERGY CO N/A Mar 2026 4,892 NEW $-21322 -0.05% DE
344 CINEMARK HOLDINGS IN N/A Mar 2026 -13,063 NEW $-21467 -0.05% DE
345 BBB FOODS INC-CLASS N/A Mar 2026 -4,286 NEW $-21612 -0.05% DE
346 LIBERTY GLOBAL LTD-A N/A Mar 2026 31,758 NEW $-21959 -0.05% DE
347 SMITH (A.O.) CORP N/A Mar 2026 6,726 NEW $-22019 -0.05% DE
348 LIBERTY LATIN AMERIC N/A Mar 2026 48,936 NEW $-22103 -0.05% DE
349 SIMMONS FIRST NATL C N/A Mar 2026 -10,704 NEW $-22902 -0.06% DE
350 HYATT HOTELS CORP - N/A Mar 2026 -853 NEW $-23160 -0.06% DE
351 SOLSTICE ADV MATERIA N/A Mar 2026 -2,752 NEW $-23172 -0.06% DE
352 AMALGAMATED FINANCIA N/A Mar 2026 -3,614 NEW $-23194 -0.06% DE
353 UGI CORP N/A Mar 2026 7,684 NEW $-23210 -0.06% DE
354 LIBERTY MEDIA CORP-L N/A Mar 2026 -4,710 NEW $-23337 -0.06% DE
355 LINCOLN EDUCATIONAL N/A Mar 2026 -2,661 NEW $-23461 -0.06% DE
356 VALVOLINE INC N/A Mar 2026 -8,231 NEW $-23522 -0.06% DE
357 FIRSTSUN CAPITAL BAN N/A Mar 2026 -6,129 NEW $-23741 -0.06% DE
358 EAGLE MATERIALS INC N/A Mar 2026 -2,101 NEW $-23989 -0.06% DE
359 UFP TECHNOLOGIES INC N/A Mar 2026 -1,028 NEW $-23995 -0.06% DE
360 AIR PRODUCTS & CHEMI N/A Mar 2026 -865 NEW $-24104 -0.06% DE
361 AMERICAN FINANCIAL G N/A Mar 2026 -2,132 NEW $-24525 -0.06% DE
362 BANK OF HAWAII CORP N/A Mar 2026 -5,056 NEW $-24651 -0.06% DE
363 GRINDR INC N/A Mar 2026 -12,709 NEW $-24725 -0.06% DE
364 DXC TECHNOLOGY CO N/A Mar 2026 14,984 NEW $-24860 -0.06% DE
365 VERIZON COMMUNICATIO N/A Mar 2026 7,420 NEW $-25192 -0.06% DE
366 LIQUIDITY SERVICES I N/A Mar 2026 -3,814 NEW $-25580 -0.06% DE
367 INNODATA INC N/A Mar 2026 -792 NEW $-25668 -0.06% DE
368 SCOTTS MIRACLE-GRO C N/A Mar 2026 -4,844 NEW $-25670 -0.06% DE
369 CALIX INC N/A Mar 2026 2,661 NEW $-26041 -0.06% DE
370 TEXAS ROADHOUSE INC N/A Mar 2026 -1,584 NEW $-26795 -0.07% DE
371 NEWMARKET CORP N/A Mar 2026 -399 NEW $-26947 -0.07% DE
372 GREIF INC-CL A N/A Mar 2026 -6,790 NEW $-27479 -0.07% DE
373 ELEMENT SOLUTIONS IN N/A Mar 2026 -4,556 NEW $-27496 -0.07% DE
374 AGCO CORP N/A Mar 2026 1,508 NEW $-27871 -0.07% DE
375 HAWAIIAN ELECTRIC IN N/A Mar 2026 15,393 NEW $-27875 -0.07% DE
376 ZILLOW GROUP INC - C N/A Mar 2026 5,914 NEW $-28747 -0.07% DE
377 REPUBLIC BANCORP INC N/A Mar 2026 -1,598 NEW $-28815 -0.07% DE
378 RB GLOBAL INC N/A Mar 2026 -2,089 NEW $-29183 -0.07% DE
379 HBT FINANCIAL INC/DE N/A Mar 2026 -6,467 NEW $-29568 -0.07% DE
380 COMMERCIAL METALS CO N/A Mar 2026 1,920 NEW $-30200 -0.07% DE
381 TITAN AMERICA SA N/A Mar 2026 -9,301 NEW $-30374 -0.08% DE
382 PATTERSON-UTI ENERGY N/A Mar 2026 25,266 NEW $-30805 -0.08% DE
383 NOVANTA INC N/A Mar 2026 -939 NEW $-31393 -0.08% DE
384 GREEN BRICK PARTNERS N/A Mar 2026 -2,822 NEW $-33141 -0.08% DE
385 AT&T INC N/A Mar 2026 7,880 NEW $-33830 -0.08% DE
386 TRIMAS CORP N/A Mar 2026 -5,326 NEW $-33837 -0.08% DE
387 ASANA INC - CL A N/A Mar 2026 16,014 NEW $-36300 -0.09% DE
388 GRACO INC N/A Mar 2026 3,330 NEW $-36753 -0.09% DE
389 KNIFE RIVER CORP N/A Mar 2026 -3,366 NEW $-36899 -0.09% DE
390 TRANSDIGM GROUP INC N/A Mar 2026 -219 NEW $-37893 -0.09% DE
391 BALCHEM CORP N/A Mar 2026 -2,758 NEW $-39527 -0.10% DE
392 NORTHROP GRUMMAN COR N/A Mar 2026 159 NEW $-40569 -0.10% DE
393 M/I HOMES INC N/A Mar 2026 -1,680 NEW $-40669 -0.10% DE
394 PENNANT GROUP INC/TH N/A Mar 2026 -4,907 NEW $-41652 -0.10% DE
395 PARK NATIONAL CORP N/A Mar 2026 -2,368 NEW $-41983 -0.10% DE
396 QUAKER CHEMICAL CORP N/A Mar 2026 -2,539 NEW $-42298 -0.10% DE
397 TEXAS PACIFIC LAND C N/A Mar 2026 -713 NEW $-43030 -0.11% DE
398 LITHIA MOTORS INC N/A Mar 2026 -1,313 NEW $-43090 -0.11% DE
399 ALEXANDER'S INC N/A Mar 2026 -843 NEW $-43897 -0.11% DE
400 TELEPHONE AND DATA S N/A Mar 2026 16,385 NEW $-44222 -0.11% DE
401 CAVCO INDUSTRIES INC N/A Mar 2026 -375 NEW $-44239 -0.11% DE
402 LIBERTY MEDIA CORP-L N/A Mar 2026 -4,310 NEW $-45759 -0.11% DE
403 STOCK YARDS BANCORP N/A Mar 2026 -4,433 NEW $-45770 -0.11% DE
404 OIL STATES INTERNATI N/A Mar 2026 14,131 NEW $-46005 -0.11% DE
405 TAKE-TWO INTERACTIVE N/A Mar 2026 -1,722 NEW $-46920 -0.12% DE
406 GRAHAM CORP N/A Mar 2026 -1,820 NEW $-47226 -0.12% DE
407 TRIUMPH FINANCIAL IN N/A Mar 2026 -3,061 NEW $-49927 -0.12% DE
408 WILEY (JOHN) & SONS- N/A Mar 2026 -9,839 NEW $-51140 -0.13% DE
409 ARRAY DIGITAL INFRAS N/A Mar 2026 3,713 NEW $-51577 -0.13% DE
410 SPRINKLR INC-A N/A Mar 2026 99,901 NEW $-52195 -0.13% DE
411 INTERPARFUMS INC N/A Mar 2026 -2,748 NEW $-54712 -0.14% DE
412 BIOLIFE SOLUTIONS IN N/A Mar 2026 -7,980 NEW $-54925 -0.14% DE
413 KROGER CO N/A Mar 2026 4,972 NEW $-55874 -0.14% DE
414 CIMPRESS PLC N/A Mar 2026 -2,071 NEW $-56153 -0.14% DE
415 SERVISFIRST BANCSHAR N/A Mar 2026 -5,589 NEW $-57135 -0.14% DE
416 DUCOMMUN INC N/A Mar 2026 -1,584 NEW $-57223 -0.14% DE
417 INTUIT INC N/A Mar 2026 575 NEW $-57844 -0.14% DE
418 ACUSHNET HOLDINGS CO N/A Mar 2026 -1,809 NEW $-58016 -0.14% DE
419 FIRST ADVANTAGE CORP N/A Mar 2026 -17,483 NEW $-59297 -0.15% DE
420 LGI HOMES INC N/A Mar 2026 -4,348 NEW $-61390 -0.15% DE
421 MINERALS TECHNOLOGIE N/A Mar 2026 -5,545 NEW $-61823 -0.15% DE
422 PERIMETER SOLUTIONS N/A Mar 2026 -8,465 NEW $-61872 -0.15% DE
423 NEPTUNE INSURANCE HO N/A Mar 2026 -9,473 NEW $-62990 -0.16% DE
424 CAL-MAINE FOODS INC N/A Mar 2026 3,316 NEW $-63812 -0.16% DE
425 INGEVITY CORP N/A Mar 2026 -2,844 NEW $-65426 -0.16% DE
426 SIX FLAGS ENTERTAINM N/A Mar 2026 -11,875 NEW $-65626 -0.16% DE
427 SOLARIS ENERGY INFRA N/A Mar 2026 -1,665 NEW $-66965 -0.17% DE
428 GODADDY INC - CLASS N/A Mar 2026 1,001 NEW $-68898 -0.17% DE
429 LUMEN TECHNOLOGIES I N/A Mar 2026 42,020 NEW $-71192 -0.18% DE
430 MAGNITE INC N/A Mar 2026 -20,944 NEW $-74782 -0.18% DE
431 DUTCH BROS INC-CLASS N/A Mar 2026 -4,110 NEW $-76478 -0.19% DE
432 GCI LIBERTY INC-CL C N/A Mar 2026 7,632 NEW $-81882 -0.20% DE
433 PLEXUS CORP N/A Mar 2026 -948 NEW $-85234 -0.21% DE
434 STANDEX INTERNATIONA N/A Mar 2026 -908 NEW $-85733 -0.21% DE
435 ATLANTA BRAVES HOLDI N/A Mar 2026 -8,956 NEW $-88226 -0.22% DE
436 PILGRIM'S PRIDE CORP N/A Mar 2026 4,560 NEW $-93898 -0.23% DE
437 MADISON SQUARE GARDE N/A Mar 2026 -2,755 NEW $-94016 -0.23% DE
438 NAVAN INC-CL A N/A Mar 2026 -9,627 NEW $-95283 -0.24% DE
439 DORMAN PRODUCTS INC N/A Mar 2026 -3,535 NEW $-99268 -0.25% DE
440 SENSIENT TECHNOLOGIE N/A Mar 2026 -3,805 NEW $-102082 -0.25% DE
441 T-MOBILE US INC N/A Mar 2026 1,006 NEW $-103237 -0.26% DE
442 WIX.COM LTD N/A Mar 2026 884 NEW $-109482 -0.27% DE
443 APA CORP N/A Mar 2026 14,097 NEW $-116083 -0.29% DE
444 ENPRO INC N/A Mar 2026 -1,138 NEW $-119739 -0.30% DE
445 SELECT WATER SOLUTIO N/A Mar 2026 -14,876 NEW $-122129 -0.30% DE
446 SPOK HOLDINGS INC N/A Mar 2026 18,856 NEW $-129939 -0.32% DE
447 MANCHESTER UNITED PL N/A Mar 2026 -21,948 NEW $-136303 -0.34% DE
448 ACCENTURE PLC-CL A N/A Mar 2026 1,153 NEW $-150149 -0.37% DE
449 COGNIZANT TECH SOLUT N/A Mar 2026 4,695 NEW $-179815 -0.44% DE
450 PURSUIT ATTRACTIONS N/A Mar 2026 -10,700 NEW $-214369 -0.53% DE
Williams Companies Inc. (The) 969457100 3,828 SOLD $0.3M
Ingredion Incorporated 457187102 2,333 SOLD $0.3M
NetApp Inc. 64110D104 2,273 SOLD $0.2M
General Dynamics Corporation 369550108 597 SOLD $0.2M
Otter Tail Corporation 689648103 2,065 SOLD $0.2M
Snap-On Incorporated 833034101 492 SOLD $0.2M
Southwest Gas Holdings Inc 844895102 2,035 SOLD $0.2M
Stryker Corporation 863667101 513 SOLD $0.2M
Vertex Pharmaceuticals Incorporated 92532F100 336 SOLD $0.2M
DT Midstream Inc 23345M107 1,101 SOLD $0.1M
L3 Harris Technologies Inc 502431109 369 SOLD $0.1M
PDD Holdings Inc. 722304102 1,210 SOLD $0.1M
Sysco Corporation 871829107 1,642 SOLD $0.1M
Allegion PLC G0176J109 762 SOLD $0.1M
Bandwidth Inc 05988J103 6,115 SOLD $0.1M
Boston Scientific Corporation 101137107 1,576 SOLD $0.1M
Acuity Inc. 00508Y102 288 SOLD $0.1M
PTC Inc 69370C100 548 SOLD $0.1M
Southern Copper Corporation 84265V105 386 SOLD $0.1M
F5 Inc 315616102 188 SOLD $0.1M
Targa Resources Corp. 87612G101 193 SOLD $0.0M
Tyson Foods, Inc. 902494103 541 SOLD $0.0M
Genie Energy Ltd 372284208 1,811 SOLD $0.0M
United Rentals, Inc. 911363109 18 SOLD $0.0M