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Perigon Wealth Management, LLC

· CIK 0001575239
13F Portfolio $5.5B AUM 1,294 positions Filed Apr 10, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
118 New 552 Added 461 Reduced 131 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 NVDA NVIDIA CORPORATION Technology 1,720,393 $300.0M 5.44% -20K -1.1%
2 AAPL APPLE INC Technology 1,133,645 $287.7M 5.22%
3 VOO VANGUARD INDEX FDS 234,336 $140.0M 2.54% +29K +13.9%
4 GSG ISHARES TR Financial Services 169,969 $111.0M 2.01% -2K -1.3%
5 IVR INVESCO QQQ TR Real Estate 178,441 $103.0M 1.87%
6 VGIT VANGUARD SCOTTSDALE FDS 1,645,471 $98.0M 1.78% +169K +11.4%
7 AMZN AMAZON COM INC Consumer Cyclical 444,368 $92.5M 1.68% -4K -0.8%
8 GOOGL ALPHABET INC Communication Services 275,537 $79.0M 1.43% -5K -1.8%
9 MSFT MICROSOFT CORP Technology 187,930 $69.6M 1.26% +5K +3.0%
10 BIL SPDR SERIES TRUST 696,077 $63.8M 1.16% +38K +5.8%
11 GOOGL ALPHABET INC Communication Services 220,888 $63.5M 1.15% +5K +2.3%
12 QLTY GMO ETF TRUST 1,738,328 $62.9M 1.14% +85K +5.2%
13 DFAC DIMENSIONAL ETF TRUST 1,536,303 $59.7M 1.08%
14 STT STATE STR SPDR S&P 500 ETF T Financial Services 90,430 $58.8M 1.07% +3K +2.9%
15 J P MORGAN EXCHANGE TRADED F 449,861 $52.7M 0.96% +17K +3.9%
16 OXY OCCIDENTAL PETE CORP Energy 803,983 $52.3M 0.95%
17 GLD SPDR GOLD TR Financial Services 121,093 $52.1M 0.94% -18K -12.9%
18 AVGO BROADCOM INC Technology 150,671 $46.6M 0.85% -3K -1.6%
19 VUG VANGUARD INDEX FDS 104,014 $45.4M 0.82% +7K +7.0%
20 META META PLATFORMS INC Communication Services 74,279 $42.5M 0.77% -597 -0.8%
21 GSG ISHARES TR Financial Services 200,292 $42.3M 0.77% -9K -4.3%
22 GSG ISHARES TR Financial Services 405,710 $40.8M 0.74% +61K +17.8%
23 TSLA TESLA INC Consumer Cyclical 105,912 $39.4M 0.71% +890 +0.8%
24 JPM JPMORGAN CHASE & CO Financial Services 132,493 $39.0M 0.71%
25 DFAI DIMENSIONAL ETF TRUST 999,431 $38.9M 0.71% +44K +4.6%
26 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 228,834 $37.4M 0.68% -17K -7.0%
27 V VISA INC Financial Services 123,062 $37.2M 0.68% -4K -3.2%
28 VTI VANGUARD INDEX FDS 110,148 $35.3M 0.64% -25K -18.3%
29 SCHF SCHWAB STRATEGIC TR 1,414,506 $35.0M 0.64% +51K +3.7%
30 LLY ELI LILLY & CO Healthcare 37,781 $34.8M 0.63% +835 +2.3%
31 HD HOME DEPOT INC Consumer Cyclical 103,380 $34.0M 0.62%
32 BLK BLACKROCK ETF TRUST Financial Services 577,845 $33.6M 0.61% -81K -12.3%
33 GSG ISHARES TR Financial Services 337,233 $33.5M 0.61% +51K +17.6%
34 GSG ISHARES TR Financial Services 679,198 $31.4M 0.57% +46K +7.2%
35 SCHX SCHWAB STRATEGIC TR 1,205,151 $30.9M 0.56% +47K +4.1%
36 GSG ISHARES GOLD TR Financial Services 342,473 $30.2M 0.55% -68K -16.5%
37 BRK.A BERKSHIRE HATHAWAY INC DEL Financial Services 62,458 $29.9M 0.54%
38 IVR INVESCO EXCHANGE TRADED FD T Real Estate 427,217 $28.6M 0.52% +43K +11.2%
39 DFAE DIMENSIONAL ETF TRUST 817,064 $27.7M 0.50% +34K +4.4%
40 GSG ISHARES TR Financial Services 134,275 $25.8M 0.47% +2K +1.6%
41 J P MORGAN EXCHANGE TRADED F 340,401 $24.9M 0.45% -125K -26.8%
42 SCHG SCHWAB STRATEGIC TR 850,062 $24.8M 0.45%
43 GSG ISHARES TR Financial Services 332,334 $24.7M 0.45% -16K -4.5%
44 ABBV ABBVIE INC Healthcare 110,052 $23.9M 0.43% -2K -1.6%
45 FDBC FIDELITY MERRIMACK STR TR Financial Services 521,481 $23.8M 0.43% +32K +6.6%
46 XOM EXXON MOBIL CORP Energy 139,474 $23.7M 0.43% +928 +0.7%
47 GSG ISHARES TR Financial Services 188,732 $23.5M 0.43% -7K -3.8%
48 VEA VANGUARD TAX-MANAGED FDS 349,879 $22.4M 0.41% +12K +3.6%
49 MA MASTERCARD INCORPORATED Financial Services 44,138 $22.1M 0.40%
50 GSG ISHARES TR Financial Services 204,335 $21.7M 0.39% +10K +5.1%
51 COST COSTCO WHOLESALE CORPORATION Consumer Defensive 21,737 $21.7M 0.39% -465 -2.1%
52 GSG ISHARES TR Financial Services 238,357 $21.6M 0.39% +15K +6.7%
53 GSG ISHARES TR Financial Services 117,791 $21.4M 0.39% -914 -0.8%
54 JNJ JOHNSON & JOHNSON Healthcare 87,088 $21.3M 0.39% -633 -0.7%
55 GSG ISHARES TR Financial Services 59,203 $21.1M 0.38%
56 IVR INVESCO EXCH TRADED FD TR II Real Estate 187,566 $21.0M 0.38% +14K +8.0%
57 VGT VANGUARD WORLD FD 29,475 $20.6M 0.37% +454 +1.6%
58 MCO MOODYS CORP Financial Services 46,271 $20.2M 0.37% -9K -16.3%
59 AAL AMERICAN EXPRESS CO Industrials 66,349 $20.1M 0.36% +6K +9.2%
60 IEMG ISHARES INC 283,869 $19.8M 0.36% +13K +4.7%
61 BLK BLACKROCK ETF TRUST Financial Services 613,500 $19.7M 0.36% NEW
62 VTIP VANGUARD MALVERN FDS 387,222 $19.3M 0.35% +60K +18.2%
63 SCHV SCHWAB STRATEGIC TR 628,987 $19.2M 0.35% +15K +2.5%
64 MCD MCDONALDS CORP Consumer Cyclical 60,430 $18.8M 0.34% +462 +0.8%
65 DFAU DIMENSIONAL ETF TRUST 409,434 $18.5M 0.34%
66 AAL AMERICAN CENTY ETF TR Industrials 181,821 $18.2M 0.33% +2K +1.2%
67 WMT WALMART INC Consumer Defensive 144,154 $17.9M 0.33% -5K -3.3%
68 DFSV DIMENSIONAL ETF TRUST 487,996 $17.1M 0.31% +30K +6.6%
69 NFLX NETFLIX INC. Communication Services 174,819 $16.8M 0.30% +7K +4.3%
70 GSG ISHARES TR Financial Services 241,522 $16.3M 0.30% -37K -13.3%
71 AAL AMERICAN CENTY ETF TR Industrials 190,363 $15.3M 0.28% +20K +11.6%
72 SHLD GLOBAL X FDS 213,813 $15.1M 0.28% +106K +98.0%
73 CVX CHEVRON CORPORATION Energy 72,115 $14.9M 0.27% -846 -1.2%
74 BNDX VANGUARD CHARLOTTE FDS 310,454 $14.9M 0.27% +29K +10.3%
75 SCHWAB STRATEGIC TR 592,917 $14.8M 0.27% +509K +602.6%
76 BLK BLACKROCK ETF TRUST Financial Services 400,709 $14.5M 0.26% +30K +8.1%
77 VTV VANGUARD INDEX FDS 73,921 $14.5M 0.26% -629 -0.8%
78 SPEM SPDR INDEX SHS FDS 307,267 $14.4M 0.26% -102K -24.9%
79 XLV SELECT SECTOR SPDR TR 98,181 $14.4M 0.26% -15K -13.1%
80 VMBS VANGUARD SCOTTSDALE FDS 303,323 $14.2M 0.26% +19K +6.7%
81 GSG ISHARES TR Financial Services 146,203 $14.2M 0.26% +2K +1.2%
82 GSG ISHARES TR Financial Services 619,790 $14.2M 0.26% -40K -6.1%
83 PLTR PALANTIR TECHNOLOGIES INC Technology 95,102 $13.9M 0.25% +22K +30.5%
84 RTX RTX CORPORATION Industrials 69,294 $13.4M 0.24% -6K -7.7%
85 TMO THERMO FISHER SCIENTIFIC INC Healthcare 26,803 $13.2M 0.24% -246 -0.9%
86 VIGI VANGUARD SPECIALIZED FUNDS 60,841 $13.1M 0.24% -4K -5.9%
87 SPTL SPDR SERIES TRUST 494,725 $13.0M 0.24% -24K -4.6%
88 GSG ISHARES TR Financial Services 133,154 $12.9M 0.23% -2K -1.3%
89 CME CME GROUP INC Financial Services 43,224 $12.8M 0.23% -3K -6.6%
90 GSG ISHARES TR Financial Services 110,975 $12.6M 0.23% +8K +7.9%
91 IVR INVESCO EXCHANGE TRADED FD T Real Estate 75,488 $12.5M 0.23%
92 TRV TRAVELERS COMPANIES INC Financial Services 42,093 $12.3M 0.22% +3K +6.7%
93 IVR INVESCO ACTIVELY MANAGED EXC Real Estate 246,089 $12.3M 0.22% +8K +3.4%
94 J P MORGAN EXCHANGE TRADED F 259,155 $11.9M 0.22% +16K +6.5%
95 VONE VANGUARD SCOTTSDALE FDS 126,880 $11.9M 0.22% +75K +143.5%
96 LMT LOCKHEED MARTIN CORP Industrials 19,654 $11.9M 0.21% +614 +3.2%
97 WFC WELLS FARGO & CO Financial Services 143,712 $11.4M 0.21% -4K -2.8%
98 EQIX EQUINIX INC Real Estate 11,527 $11.3M 0.20% +8K +262.7%
99 GSG ISHARES TR Financial Services 118,052 $11.2M 0.20% -2K -1.7%
100 BND VANGUARD BD INDEX FDS 152,212 $11.2M 0.20% -21K -12.1%
101 AMD ADVANCED MICRO DEVICES INC Technology 54,566 $11.1M 0.20% +1K +2.5%
102 DE DEERE & CO Industrials 19,612 $11.0M 0.20% +1K +6.1%
103 VTEB VANGUARD MUN BD FDS 220,528 $11.0M 0.20%
104 NEE NEXTERA ENERGY INC Utilities 117,628 $10.9M 0.20% +2K +1.6%
105 GSG ISHARES TR Financial Services 435,167 $10.9M 0.20% -46K -9.5%
106 VB VANGUARD INDEX FDS 41,627 $10.9M 0.20%
107 MU MICRON TECHNOLOGY INC Technology 31,855 $10.8M 0.20% -212 -0.7%
108 TROW T ROWE PRICE ETF INC Financial Services 262,700 $10.7M 0.20% +15K +6.0%
109 SCHWAB CHARLES CORP 112,719 $10.6M 0.19% -40K -26.4%
110 PG PROCTER & GAMBLE CO Consumer Defensive 72,743 $10.5M 0.19% +6K +8.6%
111 CSCO CISCO SYS INC Technology 132,620 $10.3M 0.19% -20K -13.0%
112 GSG ISHARES TR Financial Services 177,870 $10.1M 0.18% +29K +19.9%
113 J P MORGAN EXCHANGE TRADED F 214,297 $10.1M 0.18% +10K +4.8%
114 BANK AMERICA CORP 206,458 $10.1M 0.18% +6K +2.8%
115 IVR INVESCO EXCHANGE TRADED FD T Real Estate 52,437 $10.1M 0.18% +2K +3.9%
116 C CITIGROUP INC Financial Services 86,905 $9.9M 0.18% +7K +8.6%
117 GSG ISHARES TR Financial Services 39,457 $9.8M 0.18% -17K -30.2%
118 CCEP COCA COLA CO Consumer Defensive 127,399 $9.7M 0.18% -12K -8.4%
119 JPST J P MORGAN EXCHANGE TRADED F 191,079 $9.7M 0.17% +16K +8.8%
120 BLK BLACKROCK ETF TRUST II Financial Services 186,048 $9.7M 0.17% -22K -10.6%
121 AAL AMERICAN CENTY ETF TR Industrials 113,830 $9.7M 0.17%
122 MRK MERCK & CO INC Healthcare 80,209 $9.6M 0.17% +1K +1.4%
123 JQUA J P MORGAN EXCHANGE TRADED F 156,302 $9.6M 0.17% +1K +0.9%
124 GSG ISHARES TR Financial Services 22,315 $9.5M 0.17% -419 -1.8%
125 AAL AMERICAN CENTY ETF TR Industrials 157,760 $9.5M 0.17% +4K +2.7%
126 IVR INVESCO EXCHANGE TRADED FD T Real Estate 196,759 $9.4M 0.17% +6K +3.2%
127 J P MORGAN EXCHANGE TRADED F 121,017 $9.2M 0.17% NEW
128 LRCX LAM RESEARCH CORP Technology 42,887 $9.2M 0.17% -1K -3.3%
129 SCHC SCHWAB STRATEGIC TR 195,442 $9.1M 0.17% +23K +13.2%
130 GSG ISHARES TR Financial Services 103,931 $9.0M 0.16% -8K -6.9%
131 XLU SELECT SECTOR SPDR TR 195,974 $9.0M 0.16% +143K +273.4%
132 SPDR SERIES TRUST 362,279 $9.0M 0.16% -43K -10.6%
133 VEU VANGUARD INTL EQUITY INDEX F 116,912 $8.8M 0.16% +1K +1.0%
134 VZ VERIZON COMMUNICATIONS INC Communication Services 173,822 $8.7M 0.16% +7K +3.9%
135 AAL AMERICAN CENTY ETF TR Industrials 77,113 $8.6M 0.16% -1K -1.4%
136 VRT VERTIV HOLDINGS CO Industrials 34,204 $8.6M 0.15% +221 +0.7%
137 XLE SELECT SECTOR SPDR TR 135,579 $8.3M 0.15% +62K +85.1%
138 GSG ISHARES TR Financial Services 75,645 $8.2M 0.15% +6K +8.0%
139 AAL AMERICAN CENTY ETF TR Industrials 73,917 $8.2M 0.15% +10K +16.3%
140 AAOI APPLIED MATLS INC Technology 23,467 $8.0M 0.15%
141 GS GOLDMAN SACHS GROUP INC Financial Services 9,462 $8.0M 0.14%
142 EMXC ISHARES INC 100,736 $7.9M 0.14% +10K +10.6%
143 AKRE PROFESIONALLY MANAGED PORTFO 147,752 $7.8M 0.14% -11K -7.0%
144 DISNEY WALT CO 80,890 $7.8M 0.14% -5K -5.7%
145 SPAB SPDR SERIES TRUST 302,774 $7.8M 0.14% -7K -2.1%
146 J P MORGAN EXCHANGE TRADED F 153,858 $7.7M 0.14% -2K -1.5%
147 GS GOLDMAN SACHS ETF TR Financial Services 89,962 $7.6M 0.14% +3K +3.6%
148 VWO VANGUARD INTL EQUITY INDEX F 140,875 $7.6M 0.14% +6K +4.7%
149 GSG ISHARES TR Financial Services 90,558 $7.6M 0.14% -6K -6.7%
150 J P MORGAN EXCHANGE TRADED F 152,350 $7.6M 0.14% +6K +4.4%
151 GSG ISHARES TR Financial Services 48,663 $7.5M 0.14% -891 -1.8%
152 PULS PGIM ETF TR 148,925 $7.4M 0.13% +60K +67.5%
153 DFIV DIMENSIONAL ETF TRUST 139,250 $7.3M 0.13% +987 +0.7%
154 GSG ISHARES TR Financial Services 144,795 $7.3M 0.13% +2K +1.4%
155 CAT CATERPILLAR INC Industrials 10,318 $7.3M 0.13% -699 -6.3%
156 GEV GE VERNOVA INC Utilities 8,354 $7.3M 0.13% +1K +15.9%
157 GS GOLDMAN SACHS ETF TR Financial Services 72,702 $7.3M 0.13% +11K +17.8%
158 PEP PEPSICO INC Consumer Defensive 46,682 $7.2M 0.13% -5K -9.8%
159 KLAC KLA CORP Technology 4,871 $7.2M 0.13% +243 +5.2%
160 MS MORGAN STANLEY Financial Services 43,544 $7.2M 0.13% +934 +2.2%
161 GSG ISHARES TR Financial Services 68,258 $7.1M 0.13% -516 -0.8%
162 CRM SALESFORCE INC Technology 37,804 $7.1M 0.13% -9K -20.1%
163 ETHV VANECK ETF TRUST Financial Services 71,898 $7.0M 0.13% -13K -15.0%
164 BX BLACKSTONE INC Financial Services 59,473 $6.8M 0.12% -1K -1.8%
165 VT VANGUARD INTL EQUITY INDEX F 48,862 $6.8M 0.12% +2K +4.5%
166 ESSEX PPTY TR INC 27,781 $6.7M 0.12% +141 +0.5%
167 GSG ISHARES TR Financial Services 81,353 $6.7M 0.12% +2K +3.1%
168 VCSH VANGUARD SCOTTSDALE FDS 84,493 $6.7M 0.12% +3K +3.8%
169 XLK SELECT SECTOR SPDR TR 50,221 $6.7M 0.12% -845 -1.6%
170 GSG ISHARES TR Financial Services 54,922 $6.7M 0.12% +1K +2.1%
171 VONG VANGUARD SCOTTSDALE FDS 59,374 $6.5M 0.12% +46K +333.8%
172 VBIL VANGUARD INSTL INDEX FD 83,696 $6.3M 0.12% +4K +5.6%
173 ABT ABBOTT LABORATORIES Healthcare 60,947 $6.3M 0.11% -13K -17.0%
174 VO VANGUARD INDEX FDS 21,420 $6.2M 0.11%
175 BFST INTERNATIONAL BUSINESS MACHS Financial Services 25,227 $6.1M 0.11%
176 APP APPLOVIN CORP Technology 15,002 $6.0M 0.11%
177 REGN REGENERON PHARMACEUTICALS Healthcare 7,680 $5.9M 0.11% -156 -2.0%
178 GSG ISHARES TR Financial Services 23,749 $5.9M 0.11% +642 +2.8%
179 VOE VANGUARD INDEX FDS 32,023 $5.9M 0.11% +3K +9.6%
180 J P MORGAN EXCHANGE TRADED F 124,446 $5.9M 0.11% +4K +3.5%
181 GSG ISHARES TR Financial Services 252,770 $5.8M 0.11% +2K +0.7%
182 VCIT VANGUARD SCOTTSDALE FDS 70,673 $5.8M 0.11% +1K +1.9%
183 WM WASTE MGMT INC DEL Industrials 25,412 $5.8M 0.11% +1K +5.9%
184 GSG ISHARES TR Financial Services 60,820 $5.8M 0.10% +5K +9.6%
185 J P MORGAN EXCHANGE TRADED F 68,523 $5.8M 0.10% -585 -0.8%
186 IVR INVESCO EXCH TRADED FD TR II Real Estate 251,804 $5.8M 0.10% NEW
187 HON HONEYWELL INTL INC Industrials 25,448 $5.8M 0.10% +3K +15.6%
188 J P MORGAN EXCHANGE TRADED F 79,635 $5.7M 0.10% -2K -1.9%
189 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 35,998 $5.7M 0.10% +3K +9.1%
190 MO ALTRIA GROUP INC Consumer Defensive 85,350 $5.6M 0.10% +26K +43.5%
191 NOW SERVICENOW INC Technology 53,730 $5.6M 0.10% +17K +46.8%
192 MMM 3M CO Industrials 38,600 $5.6M 0.10% +5K +15.2%
193 IVR INVESCO EXCHANGE TRADED FD T Real Estate 121,307 $5.6M 0.10% -2K -1.3%
194 GSG ISHARES TR Financial Services 59,940 $5.6M 0.10% -4K -5.8%
195 ORCL ORACLE CORP Technology 37,744 $5.6M 0.10% +5K +14.0%
196 AMGN AMGEN INC Healthcare 15,776 $5.6M 0.10% +499 +3.3%
197 SCHD SCHWAB STRATEGIC TR 180,424 $5.5M 0.10% +11K +6.3%
198 GSG ISHARES TR Financial Services 39,037 $5.5M 0.10% -368 -0.9%
199 SCHE SCHWAB STRATEGIC TR 166,988 $5.5M 0.10% +14K +8.9%
200 NET CLOUDFLARE INC Technology 26,650 $5.5M 0.10% +3K +11.6%
201 RMD RESMED INC Healthcare 24,409 $5.5M 0.10%
202 ANET ARISTA NETWORKS INC Technology 44,576 $5.5M 0.10% +385 +0.9%
203 SCMB SCHWAB STRATEGIC TR 211,797 $5.4M 0.10% +16K +8.2%
204 VOT VANGUARD INDEX FDS 20,967 $5.4M 0.10% +2K +9.9%
205 GILD GILEAD SCIENCES INC Healthcare 38,551 $5.4M 0.10% +487 +1.3%
206 GLW CORNING INC Technology 38,595 $5.2M 0.10% +18K +84.7%
207 BLK BLACKROCK ETF TRUST Financial Services 127,476 $5.2M 0.10% NEW
208 J P MORGAN EXCHANGE TRADED F 100,439 $5.2M 0.10% +12K +13.9%
209 QCOM QUALCOMM INC Technology 40,363 $5.2M 0.09% -2K -5.5%
210 SPYM SPDR SERIES TRUST 67,610 $5.2M 0.09% +3K +5.2%
211 GSG ISHARES TR Financial Services 50,360 $5.1M 0.09% -759 -1.5%
212 VBK VANGUARD INDEX FDS 16,917 $5.1M 0.09% +1K +7.2%
213 GE GE AEROSPACE Industrials 17,809 $5.1M 0.09% -1K -5.7%
214 BLK BLACKROCK ETF TRUST II Financial Services 100,986 $5.0M 0.09% NEW
215 GSG ISHARES TR Financial Services 46,946 $5.0M 0.09% +1K +2.8%
216 IBIT ISHARES BITCOIN TRUST ETF Financial Services 129,810 $5.0M 0.09% +6K +4.8%
217 VBR VANGUARD INDEX FDS 22,782 $4.9M 0.09%
218 J P MORGAN EXCHANGE TRADED F 87,135 $4.9M 0.09% -4K -4.6%
219 VGSH VANGUARD SCOTTSDALE FDS 84,219 $4.9M 0.09% -6K -6.7%
220 AAL AMERICAN CENTY ETF TR Industrials 61,158 $4.9M 0.09% +3K +5.9%
221 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 72,021 $4.9M 0.09%
222 BSV VANGUARD BD INDEX FDS 62,517 $4.9M 0.09% +4K +7.4%
223 CRWD CROWDSTRIKE HLDGS INC Technology 12,554 $4.9M 0.09% +950 +8.2%
224 ISRG INTUITIVE SURGICAL INC Healthcare 10,512 $4.8M 0.09% +290 +2.8%
225 STT STATE STR SPDR S&P MIDCAP 40 Financial Services 7,794 $4.8M 0.09% +150 +2.0%
226 DFSI DIMENSIONAL ETF TRUST 111,418 $4.7M 0.09% +1K +1.3%
227 SPIB SPDR SERIES TRUST 137,533 $4.6M 0.08%
228 GD GENERAL DYNAMICS CORP Industrials 13,281 $4.6M 0.08% +5K +55.4%
229 NUBD NUSHARES ETF TR 204,065 $4.5M 0.08% +21K +11.6%
230 GSG ISHARES TR Financial Services 37,051 $4.5M 0.08% +2K +5.0%
231 GSG ISHARES TR Financial Services 20,939 $4.5M 0.08% +744 +3.7%
232 XLF SELECT SECTOR SPDR TR 90,487 $4.5M 0.08%
233 ETN EATON CORP PLC Industrials 12,423 $4.4M 0.08% +1K +12.8%
234 T AT&T INC Communication Services 151,763 $4.4M 0.08% -2K -1.4%
235 BMY BRISTOL-MYERS SQUIBB CO Healthcare 72,004 $4.4M 0.08% -666 -0.9%
236 VSS VANGUARD INTL EQUITY INDEX F 29,708 $4.3M 0.08% +795 +2.8%
237 VXUS VANGUARD STAR FDS 56,147 $4.3M 0.08% +858 +1.6%
238 HOLA J P MORGAN EXCHANGE TRADED F 67,405 $4.3M 0.08% +3K +5.0%
239 SCHZ SCHWAB STRATEGIC TR 184,399 $4.3M 0.08% +11K +6.2%
240 ACM AECOM Industrials 50,344 $4.3M 0.08% -3K -5.6%
241 UBER UBER TECHNOLOGIES INC Technology 58,981 $4.2M 0.08% -28K -31.9%
242 PFE PFIZER INC Healthcare 149,364 $4.2M 0.08% +6K +4.4%
243 GSG ISHARES SILVER TR Financial Services 61,438 $4.2M 0.08% -2K -3.2%
244 BIV VANGUARD BD INDEX FDS 53,947 $4.2M 0.08% +8K +16.4%
245 MLM MARTIN MARIETTA MATLS INC Basic Materials 7,069 $4.2M 0.07% +2K +42.5%
246 SCHM SCHWAB STRATEGIC TR 133,843 $4.1M 0.07%
247 CHUBB LTD SWITZ 12,677 $4.1M 0.07% -320 -2.5%
248 ETHV VANECK ETF TRUST Financial Services 10,764 $4.1M 0.07%
249 COWZ PACER FDS TR 65,113 $4.1M 0.07% -3K -4.7%
250 NEM NEWMONT CORP Basic Materials 37,412 $4.0M 0.07% -1K -3.8%
251 XAR SPDR SERIES TRUST 15,930 $4.0M 0.07% -1K -6.1%
252 KOLD PROSHARES TR Financial Services 106,349 $4.0M 0.07% NEW
253 MQ MARQETA INC Technology 972,959 $4.0M 0.07%
254 WT WISDOMTREE TR Financial Services 44,644 $3.9M 0.07% -271 -0.6%
255 GSG ISHARES TR Financial Services 51,582 $3.9M 0.07% +11K +27.5%
256 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 11,513 $3.9M 0.07% +531 +4.8%
257 IVR INVESCO EXCHANGE TRADED FD T Real Estate 35,872 $3.9M 0.07% +4K +11.3%
258 ADP AUTOMATIC DATA PROCESSING IN Industrials 18,820 $3.8M 0.07% +185 +1.0%
259 SCHA SCHWAB STRATEGIC TR 129,990 $3.8M 0.07% -1K -0.8%
260 GSG ISHARES TR Financial Services 11,846 $3.8M 0.07% -69K -85.3%
261 BLK BLACKROCK ETF TRUST Financial Services 53,501 $3.8M 0.07% -374 -0.7%
262 GSG ISHARES TR Financial Services 85,460 $3.7M 0.07% +5K +5.8%
263 VYMI VANGUARD WHITEHALL FDS 24,680 $3.7M 0.07% +2K +6.6%
264 GWW WW GRAINGER INC Industrials 3,349 $3.7M 0.07% +561 +20.1%
265 SCHH SCHWAB STRATEGIC TR 168,788 $3.6M 0.07% +19K +12.7%
266 EFSC ENTERPRISE PRODS PARTNERS L Financial Services 95,125 $3.6M 0.07%
267 CMI CUMMINS INC Industrials 6,663 $3.6M 0.07% +346 +5.5%
268 DFSU DIMENSIONAL ETF TRUST 86,786 $3.6M 0.07% +21K +32.0%
269 GSG ISHARES TR Financial Services 31,949 $3.6M 0.07% +4K +13.0%
270 IVR INVESCO EXCH TRADED FD TR II Real Estate 64,580 $3.5M 0.06% +30K +85.6%
271 PRKS UNITED PARCEL SVCS INC Consumer Cyclical 35,752 $3.5M 0.06% +3K +7.5%
272 FCX FREEPORT MCMORAN INC Basic Materials 59,735 $3.5M 0.06% -376 -0.6%
273 AMP AMERIPRISE FINL INC Financial Services 7,788 $3.5M 0.06% -458 -5.5%
274 SDY SPDR SERIES TRUST 23,339 $3.4M 0.06% -118 -0.5%
275 NSC NORFOLK SOUTHN CORP Industrials 11,833 $3.4M 0.06% -3K -21.9%
276 BHM BLUEROCK PVT REAL ESTATE FD Real Estate 199,068 $3.3M 0.06% +2K +1.2%
277 LIN LINDE PLC Basic Materials 6,650 $3.3M 0.06% +734 +12.4%
278 SCHP SCHWAB STRATEGIC TR 123,521 $3.3M 0.06% +9K +7.8%
279 VGLT VANGUARD SCOTTSDALE FDS 59,296 $3.3M 0.06% +3K +5.5%
280 JANUS DETROIT STR TR 64,274 $3.2M 0.06% +7K +11.7%
281 NOC NORTHROP GRUMMAN CORP Industrials 4,734 $3.2M 0.06% +28 +0.6%
282 SPDR SERIES TRUST 138,168 $3.2M 0.06% -6K -4.5%
283 J P MORGAN EXCHANGE TRADED F 63,199 $3.2M 0.06% +19K +41.4%
284 EME EMCOR GROUP INC Industrials 4,322 $3.2M 0.06% +4K +527.3%
285 PANW PALO ALTO NETWORKS INC Technology 19,898 $3.2M 0.06% -9K -31.7%
286 AMLP ALPS ETF TR 60,530 $3.2M 0.06% +18K +43.5%
287 AME AMETEK INC Industrials 14,844 $3.2M 0.06% -302 -2.0%
288 IVR INVESCO EXCH TRADED FD TR II Real Estate 24,690 $3.2M 0.06% +1K +4.9%
289 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 43,616 $3.2M 0.06% +10K +29.1%
290 SOJF SOUTHERN CO Utilities 32,726 $3.2M 0.06% +5K +17.3%
291 NVS NOVARTIS AG Healthcare 20,665 $3.2M 0.06% +165 +0.8%
292 VTC VANGUARD SCOTTSDALE FDS 40,841 $3.1M 0.06% +4K +11.1%
293 SPYV SPDR SERIES TRUST 54,311 $3.1M 0.06% -7K -11.9%
294 DAR DARLING INGREDIENTS INC Consumer Defensive 49,575 $3.1M 0.06% -23K -31.3%
295 GSG ISHARES TR Financial Services 25,838 $3.1M 0.06% +272 +1.1%
296 GSG ISHARES TR Financial Services 34,169 $3.0M 0.06% +2K +6.4%
297 INTC INTEL CORP Technology 67,798 $3.0M 0.05% -2K -3.5%
298 FNDX SCHWAB STRATEGIC TR 105,539 $2.9M 0.05% +1K +1.1%
299 JLL JONES LANG LASALLE INC Real Estate 9,596 $2.9M 0.05% -2K -17.2%
300 AAL AMERICAN ELEC PWR CO INC Industrials 22,183 $2.9M 0.05% +155 +0.7%
301 LHX L3HARRIS TECHNOLOGIES INC Industrials 8,388 $2.9M 0.05% +527 +6.7%
302 CI THE CIGNA GROUP Healthcare 10,807 $2.9M 0.05% +106 +1.0%
303 VERX VERTEX PHARMACEUTICALS INC Technology 6,454 $2.9M 0.05% +410 +6.8%
304 ISHARES INC 63,153 $2.9M 0.05% +2K +3.9%
305 EMR EMERSON ELEC CO Industrials 21,905 $2.9M 0.05% +237 +1.1%
306 SHEL SHELL PLC Energy 30,652 $2.9M 0.05% +604 +2.0%
307 MOD MODINE MFG CO Consumer Cyclical 13,119 $2.8M 0.05% -2K -13.5%
308 ZTS ZOETIS INC Healthcare 24,016 $2.8M 0.05% +309 +1.3%
309 GSG ISHARES TR Financial Services 42,266 $2.8M 0.05% -3K -6.0%
310 VNQ VANGUARD INDEX FDS 31,801 $2.8M 0.05% -640 -2.0%
311 TJX COS INC NEW 17,491 $2.8M 0.05% +116 +0.7%
312 BEN FRANKLIN TEMPLETON ETF TR Financial Services 50,402 $2.8M 0.05% +5K +12.2%
313 RF REGIONS FINANCIAL CORP NEW Financial Services 105,449 $2.8M 0.05% +1K +1.1%
314 DBMF LITMAN GREGORY FDS TR 89,621 $2.7M 0.05% +81K +958.1%
315 GSG ISHARES TR Financial Services 18,958 $2.7M 0.05% +892 +4.9%
316 GSG ISHARES TR Financial Services 30,493 $2.7M 0.05% +2K +7.1%
317 ASML ASML HLDG NV Technology 2,037 $2.7M 0.05% +82 +4.2%
318 CBNK CAPITAL GROUP DIVIDEND VALUE Financial Services 61,947 $2.6M 0.05% +1K +1.9%
319 GS GOLDMAN SACHS ETF TR Financial Services 51,899 $2.6M 0.05% +21K +70.0%
320 PM PHILIP MORRIS INTL INC Consumer Defensive 15,788 $2.6M 0.05% +568 +3.7%
321 GSG ISHARES TR Financial Services 21,894 $2.6M 0.05% -689 -3.0%
322 MCK MCKESSON CORP Healthcare 2,974 $2.6M 0.05% +2K +131.6%
323 FNDF SCHWAB STRATEGIC TR 52,235 $2.6M 0.05% +844 +1.6%
324 BLK BLACKROCK INC Financial Services 2,644 $2.5M 0.05% +26 +1.0%
325 SBUX STARBUCKS CORP Consumer Cyclical 28,194 $2.5M 0.05% -9K -24.9%
326 DFSE DIMENSIONAL ETF TRUST 59,535 $2.5M 0.05% +7K +12.8%
327 JCI JOHNSON CONTROLS INTERNATION Industrials 19,223 $2.5M 0.05% +1K +7.1%
328 UNH UNITEDHEALTH GROUP INC Healthcare 9,282 $2.5M 0.05% -2K -15.3%
329 GSG ISHARES TR Financial Services 52,608 $2.5M 0.04% +6K +12.2%
330 GSG ISHARES TR Financial Services 93,430 $2.5M 0.04% +1K +1.1%
331 FITBI FIFTH THIRD BANCORP Financial Services 53,701 $2.5M 0.04% +5K +10.4%
332 GS GOLDMAN SACHS ETF TR Financial Services 49,814 $2.5M 0.04% +2K +4.9%
333 GSG ISHARES TR Financial Services 16,761 $2.5M 0.04%
334 APH AMPHENOL CORP Technology 19,533 $2.5M 0.04% +1K +7.6%
335 BOXX EA SERIES TRUST 21,161 $2.5M 0.04% +18K +502.7%
336 ISHARES INC 20,565 $2.5M 0.04% -1K -4.8%
337 DUK DUKE ENERGY CORP NEW Utilities 18,612 $2.4M 0.04% +3K +21.4%
338 BWG LEGG MASON ETF INVT Financial Services 59,740 $2.4M 0.04% -598 -1.0%
339 PAVE GLOBAL X FDS 46,950 $2.4M 0.04% +22K +88.0%
340 CVS CVS HEALTH CORP Healthcare 32,994 $2.4M 0.04% -894 -2.6%
341 FEGE RBB FUND TRUST 50,406 $2.4M 0.04% +2K +3.8%
342 WT WISDOMTREE TR Financial Services 83,475 $2.4M 0.04%
343 SHW SHERWIN WILLIAMS CO Basic Materials 7,342 $2.4M 0.04% +408 +5.9%
344 SEI EXCHANGE TRADED FUNDS 72,058 $2.3M 0.04% -4K -4.8%
345 ESGV VANGUARD WORLD FD 20,821 $2.3M 0.04%
346 CBNK CAPITAL ONE FINL CORP Financial Services 12,792 $2.3M 0.04% -630 -4.7%
347 AZN ASTRAZENECA PLC Healthcare 11,771 $2.3M 0.04% NEW
348 ISHARES INC 18,714 $2.3M 0.04%
349 AZO AUTOZONE INC Consumer Cyclical 679 $2.3M 0.04% +296 +77.3%
350 CIFR CIPHER DIGITAL INC Financial Services 176,022 $2.3M 0.04% NEW
351 SREA SEMPRA Utilities 23,220 $2.3M 0.04% -152 -0.7%
352 VGSR MANAGER DIRECTED PORTFOLIOS 216,880 $2.2M 0.04% +4K +2.0%
353 SPSM SPDR SERIES TRUST 46,356 $2.2M 0.04% +4K +10.3%
354 SCHB SCHWAB STRATEGIC TR 88,794 $2.2M 0.04% +2K +2.4%
355 VGK VANGUARD INTL EQUITY INDEX F 26,750 $2.2M 0.04% +3K +10.4%
356 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 19,503 $2.2M 0.04%
357 GSG ISHARES TR Financial Services 51,571 $2.2M 0.04% -6K -9.7%
358 SPTM SPDR SERIES TRUST 27,584 $2.2M 0.04% +508 +1.9%
359 TRAX FIRST TR EXCHANGE-TRADED ALP Healthcare 16,913 $2.2M 0.04%
360 CMCSA COMCAST CORP NEW Communication Services 75,496 $2.2M 0.04% -18K -19.4%
361 ECL ECOLAB INC Basic Materials 8,093 $2.2M 0.04% +556 +7.4%
362 FDX FEDEX CORP Industrials 6,021 $2.1M 0.04% -291 -4.6%
363 SRLN SSGA ACTIVE ETF TR 53,245 $2.1M 0.04% -68K -56.0%
364 TRAX FIRST TR EXCHNG TRADED FD VI Healthcare 63,256 $2.1M 0.04% -753 -1.2%
365 XLI SELECT SECTOR SPDR TR 13,066 $2.1M 0.04% -5K -29.4%
366 IVR INVESCO ACTVELY MNGD ETC FD Real Estate 121,791 $2.1M 0.04% -4K -3.2%
367 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 42,149 $2.1M 0.04% +3K +6.3%
368 WT WISDOMTREE TR Financial Services 13,238 $2.1M 0.04% +135 +1.0%
369 SAP SAP SE Technology 12,190 $2.1M 0.04% -4K -23.3%
370 TMDX TRANSMEDICS GROUP INC Healthcare 20,954 $2.1M 0.04% -371 -1.7%
371 UNP UNION PAC CORP Industrials 8,566 $2.1M 0.04% +190 +2.3%
372 PNC FINL SVCS GROUP INC 9,966 $2.1M 0.04% -940 -8.6%
373 SLB SLB LIMITED Energy 40,068 $2.1M 0.04% -247 -0.6%
374 FAST FASTENAL CO Industrials 44,326 $2.1M 0.04% +10K +28.1%
375 SYM SYMBOTIC INC Industrials 38,580 $2.1M 0.04% +9K +28.5%
376 SPGI S&P GLOBAL INC Financial Services 4,773 $2.0M 0.04% +143 +3.1%
377 CARR CARRIER GLOBAL CORPORATION Industrials 35,463 $2.0M 0.04% +1K +4.0%
378 SPHR SPHERE ENTERTAINMENT CO Communication Services 16,950 $2.0M 0.04% -869 -4.9%
379 BUZZ BOEING CO 9,926 $2.0M 0.04% +416 +4.4%
380 GSG ISHARES TR Financial Services 35,689 $2.0M 0.04% +3K +9.6%
381 TXN TEXAS INSTRS INC Technology 10,144 $2.0M 0.04% +102 +1.0%
382 GSG ISHARES TR Financial Services 12,999 $2.0M 0.04% +1K +11.0%
383 GSG ISHARES TR Financial Services 17,781 $2.0M 0.04% -1K -6.5%
384 GSG ISHARES TR Financial Services 38,705 $2.0M 0.04% +18K +86.3%
385 AB ACTIVE ETFS INC 77,234 $1.9M 0.04% +20K +34.8%
386 DFEM DIMENSIONAL ETF TRUST 56,202 $1.9M 0.04% +2K +3.5%
387 VALE VALE S A Basic Materials 118,633 $1.9M 0.03% +23K +23.5%
388 D DOMINION ENERGY INC Utilities 30,494 $1.9M 0.03% +4K +16.9%
389 INTU INTUIT Technology 4,349 $1.9M 0.03% -3K -42.1%
390 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 89,507 $1.9M 0.03% +10K +12.6%
391 GNR SPDR INDEX SHS FDS 25,010 $1.9M 0.03%
392 SYK STRYKER CORPORATION Healthcare 5,658 $1.9M 0.03% +271 +5.0%
393 AEM AGNICO EAGLE MINES LTD Basic Materials 9,144 $1.9M 0.03% -249 -2.6%
394 HYLB DBX ETF TR 50,896 $1.8M 0.03% +3K +5.5%
395 PL PLANET LABS PBC Industrials 65,837 $1.8M 0.03% -75K -53.3%
396 GSG ISHARES TR Financial Services 38,329 $1.8M 0.03% NEW
397 VSGX VANGUARD WORLD FD 25,485 $1.8M 0.03% +385 +1.5%
398 IVR INVESCO ACTIVELY MANAGED EXC Real Estate 36,540 $1.8M 0.03% +13K +53.8%
399 GLOBAL X FDS 38,894 $1.8M 0.03% +5K +13.3%
400 GSG ISHARES U S ETF TR Financial Services 35,641 $1.8M 0.03% -4K -9.1%
401 J P MORGAN EXCHANGE TRADED F 25,990 $1.8M 0.03%
402 WMB WILLIAMS COS INC Energy 24,534 $1.8M 0.03% -3K -9.6%
403 GSG ISHARES TR Financial Services 7,414 $1.8M 0.03% -1K -13.6%
404 BAVA BITWISE BITCOIN ETF TR 48,112 $1.8M 0.03% +4K +8.3%
405 ETHV VANECK ETF TRUST Financial Services 45,134 $1.7M 0.03%
406 EBND SPDR SERIES TRUST 84,568 $1.7M 0.03% +5K +6.2%
407 GD GENERAL MTRS CO Industrials 23,047 $1.7M 0.03% -1K -4.3%
408 DFAX DIMENSIONAL ETF TRUST 50,469 $1.7M 0.03%
409 MELI MERCADOLIBRE INC Consumer Cyclical 981 $1.7M 0.03% +6 +0.6%
410 CL COLGATE PALMOLIVE CO Consumer Defensive 19,740 $1.7M 0.03% +1K +5.5%
411 GSG ISHARES TR Financial Services 77,344 $1.7M 0.03% +488 +0.6%
412 WAL WESTERN DIGITAL CORP Financial Services 6,210 $1.7M 0.03% -203 -3.2%
413 NKE NIKE INC Consumer Cyclical 31,785 $1.7M 0.03% +215 +0.7%
414 B BARRICK MNG CORP Basic Materials 40,987 $1.7M 0.03% +4K +11.4%
415 SLYV SPDR SERIES TRUST 17,363 $1.6M 0.03% -4K -19.4%
416 RIO RIO TINTO PLC Basic Materials 17,468 $1.6M 0.03% +1K +6.4%
417 MRVL MARVELL TECHNOLOGY INC Technology 16,427 $1.6M 0.03% -1K -6.0%
418 SLYG SPDR SERIES TRUST 16,825 $1.6M 0.03% NEW
419 J P MORGAN EXCHANGE TRADED F 22,376 $1.6M 0.03% -656 -2.9%
420 ADI ANALOG DEVICES INC Technology 4,969 $1.6M 0.03% +172 +3.6%
421 TT TRANE TECHNOLOGIES PLC Industrials 3,775 $1.6M 0.03% +967 +34.4%
422 SEIV SEI EXCHANGE TRADED FUNDS 37,851 $1.6M 0.03% +1K +2.8%
423 BMRC BANK OF MARIN BANCORP Financial Services 61,081 $1.6M 0.03%
424 GSG ISHARES TR Financial Services 19,896 $1.6M 0.03% +1K +5.6%
425 AI C3 AI INC Technology 183,800 $1.5M 0.03%
426 VALMONT INDS INC 3,872 $1.5M 0.03% -425 -9.9%
427 DFEV DIMENSIONAL ETF TRUST 43,098 $1.5M 0.03% -700 -1.6%
428 GSG ISHARES TR Financial Services 23,950 $1.5M 0.03%
429 SEIM SEI EXCHANGE TRADED FUNDS 33,682 $1.5M 0.03% +2K +4.7%
430 GSG ISHARES TR Financial Services 14,989 $1.5M 0.03% -2K -9.8%
431 FNDE SCHWAB STRATEGIC TR 39,649 $1.5M 0.03% +2K +5.1%
432 VTWO VANGUARD SCOTTSDALE FDS 15,008 $1.5M 0.03% +2K +18.7%
433 AA ALCOA CORP Basic Materials 22,528 $1.5M 0.03% +1K +6.0%
434 DISV DIMENSIONAL ETF TRUST 37,657 $1.5M 0.03% +6K +20.2%
435 SIMON PPTY GROUP INC NEW 7,957 $1.5M 0.03%
436 SCYB SCHWAB STRATEGIC TR 56,712 $1.5M 0.03% NEW
437 VCTR VICTORY PORTFOLIOS II Financial Services 29,105 $1.5M 0.03% +2K +9.3%
438 GSG ISHARES TR Financial Services 45,988 $1.5M 0.03% -5K -9.3%
439 TSCO TRACTOR SUPPLY CO Consumer Cyclical 32,081 $1.5M 0.03% +699 +2.2%
440 SPYG SPDR SERIES TRUST 14,810 $1.5M 0.03% -5K -24.6%
441 GSG ISHARES TR Financial Services 18,176 $1.4M 0.03% +9K +100.8%
442 ED CONSOLIDATED EDISON INC Utilities 12,744 $1.4M 0.03% +449 +3.6%
443 BRK.A BERKSHIRE HATHAWAY INC DEL Financial Services 2 $1.4M 0.03%
444 YUM YUM BRANDS INC Consumer Cyclical 9,233 $1.4M 0.03% +157 +1.7%
445 ZION ZIONS BANCORPORATION NATL AS Financial Services 24,431 $1.4M 0.03% NEW
446 VHT VANGUARD WORLD FD 5,161 $1.4M 0.03% -205 -3.8%
447 DAR CALL DARLING INGREDIENTS INC Consumer Defensive 48,900 $1.4M 0.03% -32K -39.2%
448 MATX MATSON INC Industrials 8,534 $1.4M 0.03% +118 +1.4%
449 MDT MEDTRONIC PLC Healthcare 16,088 $1.4M 0.03% -2K -9.8%
450 VV VANGUARD INDEX FDS 4,639 $1.4M 0.03% -485 -9.5%
451 FDMT 4D MOLECULAR THERAPEUTICS IN Healthcare 146,197 $1.4M 0.03%
452 FDBC FIDELITY COVINGTON TRUST Financial Services 24,546 $1.4M 0.03% -4K -14.0%
453 SHM SPDR SERIES TRUST 28,233 $1.4M 0.02% +8K +38.5%
454 STT STATE STR SPDR DOW JONES IND Financial Services 2,905 $1.3M 0.02% +16 +0.6%
455 VWOB VANGUARD WHITEHALL FDS 20,101 $1.3M 0.02% -56K -73.6%
456 EXC EXELON CORP Utilities 26,917 $1.3M 0.02% +4K +18.6%
457 GS GOLDMAN SACHS ETF TR Financial Services 14,557 $1.3M 0.02% -3K -16.2%
458 HOOD ROBINHOOD MKTS INC Financial Services 18,780 $1.3M 0.02% +9K +95.2%
459 HCA HCA HEALTHCARE INC Healthcare 2,716 $1.3M 0.02% -79 -2.8%
460 IVR INVESCO EXCHANGE TRADED FD T Real Estate 23,561 $1.3M 0.02% +687 +3.0%
461 BKNG BOOKING HOLDINGS INC Consumer Cyclical 304 $1.3M 0.02% -339 -52.7%
462 XYL XYLEM INC Industrials 10,642 $1.3M 0.02% +1K +10.9%
463 TTE TOTALENERGIES SE Energy 13,962 $1.3M 0.02% -1K -7.2%
464 ACN ACCENTURE PLC IRELAND Technology 6,370 $1.3M 0.02% -1K -16.3%
465 CORZ CORE SCIENTIFIC INC NEW Technology 84,236 $1.3M 0.02% +1K +1.6%
466 TGT TARGET CORP Consumer Defensive 10,394 $1.3M 0.02% +340 +3.4%
467 NUSHARES ETF TR 59,780 $1.3M 0.02% -2K -2.5%
468 SNOW SNOWFLAKE INC Technology 8,304 $1.3M 0.02% -1K -13.3%
469 GSG ISHARES TR Financial Services 11,307 $1.2M 0.02% -105 -0.9%
470 O REALTY INCOME CORP Real Estate 20,309 $1.2M 0.02% +638 +3.2%
471 CTVA CORTEVA INC Basic Materials 14,824 $1.2M 0.02% +440 +3.1%
472 HEICO CORP NEW 4,495 $1.2M 0.02% +226 +5.3%
473 BLK BLACKROCK ETF TRUST II Financial Services 24,300 $1.2M 0.02%
474 SEI EXCHANGE TRADED FUNDS 37,405 $1.2M 0.02% +7K +22.9%
475 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 4,445 $1.2M 0.02% +28 +0.6%
476 AAL AMERICAN WTR WKS CO INC NEW Industrials 8,949 $1.2M 0.02% +2K +24.0%
477 FUND SPROTT FDS TR Financial Services 19,273 $1.2M 0.02% +2K +11.6%
478 MRSH MARSH & MCLENNAN COS INC Financial Services 7,012 $1.2M 0.02% -884 -11.2%
479 COIN COINBASE GLOBAL INC Financial Services 6,941 $1.2M 0.02% +251 +3.8%
480 IVR INVESCO EXCH TRADED FD TR II Real Estate 24,424 $1.2M 0.02% -679 -2.7%
481 BRX BRIXMOR PPTY GROUP INC Real Estate 42,017 $1.2M 0.02% +2K +4.1%
482 WT WISDOMTREE TR Financial Services 20,126 $1.2M 0.02% +243 +1.2%
483 USB US BANCORP Financial Services 23,080 $1.2M 0.02% +806 +3.6%
484 BANK HAWAII CORP 16,114 $1.2M 0.02% -206 -1.3%
485 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 26,792 $1.2M 0.02% -780 -2.8%
486 CEG CONSTELLATION ENERGY CORP Utilities 4,251 $1.2M 0.02% +97 +2.3%
487 FIX COMFORT SYS USA INC Industrials 860 $1.2M 0.02% -318 -27.0%
488 SNDK SANDISK CORP Technology 1,830 $1.2M 0.02% -1K -36.5%
489 VLO VALERO ENERGY CORP Energy 4,701 $1.2M 0.02% -495 -9.5%
490 GSG ISHARES TR Financial Services 12,094 $1.2M 0.02% +533 +4.6%
491 IVR INVESCO EXCH TRADED FD TR II Real Estate 59,562 $1.2M 0.02% NEW
492 ONEOK INC NEW 12,688 $1.1M 0.02% -420 -3.2%
493 ADBE ADOBE INC Technology 4,708 $1.1M 0.02% -901 -16.1%
494 GSG ISHARES TR Financial Services 12,513 $1.1M 0.02% -537 -4.1%
495 JHS JOHN HANCOCK EXCHANGE TRADED Financial Services 17,009 $1.1M 0.02% -7K -28.1%
496 CSX CSX CORP Industrials 27,766 $1.1M 0.02% +975 +3.6%
497 GSG ISHARES TR Financial Services 15,072 $1.1M 0.02% +4K +37.3%
498 NRG NRG ENERGY INC Utilities 7,713 $1.1M 0.02% +71 +0.9%
499 GS GOLDMAN SACHS ETF TR Financial Services 22,264 $1.1M 0.02% +154 +0.7%
500 PH PARKER-HANNIFIN CORP Industrials 1,256 $1.1M 0.02% +77 +6.5%
501 BEN FRANKLIN TEMPLETON ETF TR Financial Services 45,000 $1.1M 0.02% -500 -1.1%
502 DFIC DIMENSIONAL ETF TRUST 31,392 $1.1M 0.02%
503 WT WISDOMTREE TR Financial Services 27,127 $1.1M 0.02%
504 GS GOLDMAN SACHS ETF TR Financial Services 26,727 $1.1M 0.02% -2K -5.4%
505 AAL AMERICAN TOWER CORP Industrials 6,383 $1.1M 0.02% -666 -9.4%
506 PIMCO ETF TR 11,863 $1.1M 0.02% +8K +185.7%
507 ETFS GOLD TR 24,464 $1.1M 0.02%
508 BNL BROADSTONE NET LEASE INC Real Estate 59,570 $1.1M 0.02% -333 -0.6%
509 BLK BLACKROCK ETF TRUST Financial Services 10,923 $1.1M 0.02% NEW
510 NVO NOVO-NORDISK A S Healthcare 29,481 $1.1M 0.02% -38K -56.1%
511 LYB LYONDELLBASELL INDUSTRIES NV Basic Materials 13,441 $1.1M 0.02% -10K -43.1%
512 FTNT FORTINET INC Technology 13,250 $1.1M 0.02% -6K -30.6%
513 HASI HA SUSTAINABLE INFRA CAP INC Financial Services 29,300 $1.1M 0.02% -1K -4.4%
514 COP CONOCOPHILLIPS Energy 8,116 $1.1M 0.02% +934 +13.0%
515 ARW ARROW ELECTRS INC Technology 7,421 $1.1M 0.02% -697 -8.6%
516 NLY ANNALY CAPITAL MANAGEMENT IN Real Estate 50,146 $1.1M 0.02% -17K -25.1%
517 ROK ROCKWELL AUTOMATION INC Industrials 2,928 $1.1M 0.02% -85 -2.8%
518 RKT ROCKET COS INC Financial Services 73,552 $1.0M 0.02% -8K -9.9%
519 XLY SELECT SECTOR SPDR TR 9,575 $1.0M 0.02% -7K -42.8%
520 CF INDUSTRIES HOLD 8,014 $1.0M 0.02% +605 +8.2%
521 EPRT ESSENTIAL UTILS INC Real Estate 25,755 $1.0M 0.02% +768 +3.1%
522 LOWES COS INC 4,385 $1.0M 0.02% +39 +0.9%
523 SHOP SHOPIFY INC Technology 8,718 $1.0M 0.02% +71 +0.8%
524 ETHV VANECK ETF TRUST Financial Services 41,168 $1.0M 0.02% +712 +1.8%
525 EXP EAGLE MATLS INC Basic Materials 5,455 $1.0M 0.02% +82 +1.5%
526 PSX PHILLIPS 66 Energy 5,666 $1.0M 0.02% -2K -22.7%
527 WT WISDOMTREE TR Financial Services 25,734 $1.0M 0.02% +1K +5.3%
528 PLD PROLOGIS INC. Real Estate 7,802 $1.0M 0.02% +278 +3.7%
529 BANK NEW YORK MELLON CORP 8,664 $1.0M 0.02% -182 -2.1%
530 HWM HOWMET AEROSPACE INC Industrials 4,454 $1.0M 0.02% +264 +6.3%
531 SPFF GLOBAL X FDS 115,186 $1.0M 0.02% -1K -1.0%
532 GRAL GRAIL INC Healthcare 19,803 $1.0M 0.02% +353 +1.8%
533 SEI EXCHANGE TRADED FUNDS 36,966 $1.0M 0.02% -195 -0.5%
534 CHYM CHIME FINL INC Financial Services 54,502 $1.0M 0.02%
535 GSG ISHARES TR Financial Services 33,467 $1.0M 0.02% -2K -4.6%
536 WELL WELLTOWER INC Real Estate 5,120 $1.0M 0.02% -1K -22.4%
537 ET ENERGY TRANSFER L P Energy 52,420 $1.0M 0.02% +8K +17.4%
538 DHR DANAHER CORP DEL Healthcare 5,313 $1.0M 0.02% -2K -28.6%
539 FTI TECHNIPFMC PLC Energy 14,382 $994K 0.02% +682 +5.0%
540 PEG PUBLIC SVC ENTERPRISE GROUP Utilities 12,217 $989K 0.02% +504 +4.3%
541 OTIS OTIS WORLDWIDE CORP Industrials 12,816 $988K 0.02% -1K -9.8%
542 AES AES CORP Utilities 69,800 $983K 0.02% -11K -13.2%
543 PAAA PGIM ETF TR 19,106 $978K 0.02% NEW
544 ARKG ARK ETF TR 36,954 $976K 0.02% +2K +6.2%
545 PWR QUANTA SVCS INC Industrials 1,776 $975K 0.02% +86 +5.1%
546 ARE ALEXANDRIA REAL ESTATE EQ IN Real Estate 20,997 $975K 0.02% NEW
547 PYPL PAYPAL HLDGS INC Financial Services 21,431 $969K 0.02% +4K +22.9%
548 BSX BOSTON SCIENTIFIC CORP Healthcare 15,434 $968K 0.02% -608 -3.8%
549 AON AON PLC Financial Services 3,000 $968K 0.02% +63 +2.1%
550 TER TERADYNE INC Technology 3,253 $964K 0.02% -667 -17.0%
551 CALF PACER FDS TR 21,388 $960K 0.02% +688 +3.3%
552 GSG ISHARES TR Financial Services 22,583 $960K 0.02% -2K -7.6%
553 CRSP CRISPR THERAPEUTICS AG Healthcare 20,066 $955K 0.02% +1K +5.3%
554 JNK SPDR SERIES TRUST 9,961 $953K 0.02% -85 -0.8%
555 AHR AMERICAN HEALTHCARE REIT INC Real Estate 20,026 $944K 0.02% -1K -5.2%
556 ABNB AIRBNB INC Consumer Cyclical 7,453 $941K 0.02% -2K -23.5%
557 GS GOLDMAN SACHS ETF TR Financial Services 18,409 $938K 0.02% NEW
558 CHTR CHARTER COMMUNICATIONS INC Communication Services 4,322 $933K 0.02% +583 +15.6%
559 UAMY UNITED STS COMMODITY INDEX F Basic Materials 26,986 $929K 0.02% -375 -1.4%
560 PGR PROGRESSIVE CORP Financial Services 4,642 $920K 0.02% -184 -3.8%
561 AFL AFLAC INC Financial Services 8,375 $919K 0.02% +138 +1.7%
562 CIEN CIENA CORP Technology 2,361 $917K 0.02% +75 +3.3%
563 MAR MARRIOTT INTL INC NEW Consumer Cyclical 2,801 $916K 0.02% -90 -3.1%
564 AMPY AMPLIFY ETF TR Energy 12,107 $909K 0.02% -380 -3.0%
565 DFUS DIMENSIONAL ETF TRUST 12,819 $909K 0.02% -660 -4.9%
566 EIX EDISON INTL Utilities 12,387 $906K 0.02% -1K -10.3%
567 JBHT HUNT J B TRANS SVCS INC Industrials 4,259 $902K 0.02% +229 +5.7%
568 ADVISORS INNER CIRCLE FD III 22,635 $889K 0.02% NEW
569 IDXX IDEXX LABS INC Healthcare 1,579 $887K 0.02% -17 -1.1%
570 DVN DEVON ENERGY CORP NEW Energy 17,602 $886K 0.02% +6K +49.3%
571 DASH DOORDASH INC Communication Services 5,868 $881K 0.02% -163 -2.7%
572 IVR INVESCO EXCHANGE TRADED FD T Real Estate 11,713 $881K 0.02% -1K -8.1%
573 CIG COMPANHIA DE SANEAMENTO BASI Utilities 28,843 $880K 0.02% -14K -32.3%
574 MPWR MONOLITHIC PWR SYS INC Technology 805 $880K 0.02% +130 +19.3%
575 J JACOBS SOLUTIONS INC Industrials 6,903 $879K 0.02% -3K -28.3%
576 ULTA ULTA BEAUTY INC Consumer Cyclical 1,675 $875K 0.02% +750 +81.1%
577 MINT PIMCO ETF TR 8,669 $872K 0.02% -551 -6.0%
578 GBTC GRAYSCALE BITCOIN TRUST ETF Financial Services 16,522 $872K 0.02% -4K -21.1%
579 ARM HOLDINGS PLC 5,741 $868K 0.02% +2K +37.6%
580 TMFC RBB FD INC 13,157 $868K 0.02% -144 -1.1%
581 GSG ISHARES TR Financial Services 16,388 $861K 0.02% -3K -13.8%
582 WP CAREY INC 12,619 $858K 0.02% -104 -0.8%
583 ALL ALLSTATE CORP Financial Services 4,137 $858K 0.02% +580 +16.3%
584 ISHARES INC 30,835 $856K 0.02% -5K -14.7%
585 WABTEC 3,422 $855K 0.02% +310 +10.0%
586 TROW T ROWE PRICE ETF INC Financial Services 19,138 $854K 0.01%
587 GS GOLDMAN SACHS ETF TR Financial Services 19,784 $853K 0.01% +2K +9.0%
588 BLND BLEND LABS INC Technology 500,568 $851K 0.01%
589 HSBC HLDGS PLC 10,249 $845K 0.01% +108 +1.1%
590 GSG ISHARES TR Financial Services 7,438 $845K 0.01% +1K +20.0%
591 TDG TRANSDIGM GROUP INC Industrials 728 $844K 0.01% -26 -3.5%
592 CTAS CINTAS CORP Industrials 4,982 $843K 0.01% +416 +9.1%
593 BLK BLACKROCK ETF TRUST II Financial Services 16,090 $834K 0.01% NEW
594 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 13,169 $825K 0.01% -2K -14.1%
595 KWEB KRANESHARES TRUST 28,818 $819K 0.01% +11K +64.1%
596 ILMN ILLUMINA INC Healthcare 6,645 $819K 0.01% +2K +30.1%
597 BCI ABRDN ETFS 33,478 $813K 0.01% +9K +37.5%
598 BLK BLACKROCK ETF TRUST Financial Services 24,662 $813K 0.01% +3K +16.4%
599 GSG ISHARES TR Financial Services 2,565 $805K 0.01% -16 -0.6%
600 ZM ZOOM COMMUNICATIONS INC Technology 9,987 $803K 0.01% -6K -37.0%
601 XYZ BLOCK INC Technology 13,330 $802K 0.01% +6K +73.2%
602 GS GOLDMAN SACHS PHYSICAL GOLD Financial Services 17,344 $801K 0.01% NEW
603 GSG ISHARES TR Financial Services 7,921 $798K 0.01% -443 -5.3%
604 ETHV VANECK ETF TRUST Financial Services 31,268 $797K 0.01%
605 GS GOLDMAN SACHS ETF TR Financial Services 6,338 $793K 0.01% -266 -4.0%
606 MU CALL MICRON TECHNOLOGY INC Technology 7,500 $791K 0.01% -700 -8.5%
607 IVR INVESCO EXCHANGE TRADED FD T Real Estate 16,855 $788K 0.01% +4K +31.7%
608 COR CENCORA INC Healthcare 2,504 $787K 0.01% +13 +0.5%
609 ISHARES INC 9,875 $780K 0.01%
610 MDB MONGODB INC Technology 3,186 $780K 0.01% +389 +13.9%
611 TTAN SERVICETITAN INC Technology 12,286 $780K 0.01% +280 +2.3%
612 JEPQ J P MORGAN EXCHANGE TRADED F 14,035 $779K 0.01% +696 +5.2%
613 ISHARES INC 11,227 $777K 0.01%
614 MKL MARKEL GROUP INC Financial Services 402 $769K 0.01% -14 -3.4%
615 DCOR DIMENSIONAL ETF TRUST 10,650 $768K 0.01% -300 -2.7%
616 NN NEXTNAV INC Communication Services 47,835 $766K 0.01%
617 GSG ISHARES TR Financial Services 7,584 $763K 0.01%
618 ISHARES INC 11,768 $762K 0.01% -8K -41.2%
619 IDA IDACORP INC Utilities 5,303 $758K 0.01% +185 +3.6%
620 MDLZ MONDELEZ INTL INC Consumer Defensive 13,117 $756K 0.01% -737 -5.3%
621 SEIQ SEI EXCHANGE TRADED FUNDS 20,722 $754K 0.01% +2K +11.2%
622 AAON AAON INC Industrials 9,111 $754K 0.01% -670 -6.8%
623 ONC BEONE MEDICINES LTD Healthcare 2,537 $753K 0.01% +39 +1.6%
624 DFAT DIMENSIONAL ETF TRUST 12,062 $753K 0.01%
625 VLTO VERALTO CORP Industrials 8,516 $753K 0.01% -5K -39.1%
626 DFUV DIMENSIONAL ETF TRUST 15,525 $752K 0.01%
627 STX SEAGATE TECHNOLOGY HLDNGS PL Technology 1,902 $745K 0.01% -101 -5.0%
628 IVR INVESCO EXCH TRADED FD TR II Real Estate 10,134 $741K 0.01%
629 DBEF DBX ETF TR 14,952 $739K 0.01% -399 -2.6%
630 GEHC GE HEALTHCARE TECHNOLOGIES I Healthcare 10,375 $739K 0.01% +168 +1.6%
631 TFC TRUIST FINL CORP Financial Services 16,065 $739K 0.01% -332 -2.0%
632 DFLV DIMENSIONAL ETF TRUST 20,513 $733K 0.01% -165 -0.8%
633 ETHV VANECK ETF TRUST Financial Services 15,710 $729K 0.01% -411 -2.5%
634 IVR INVESCO EXCHANGE TRADED FD T Real Estate 15,383 $729K 0.01% -3K -17.4%
635 FDBC FIDELITY WISE ORIGIN BITCOIN Financial Services 12,338 $728K 0.01% +439 +3.7%
636 KR KROGER CO Consumer Defensive 10,063 $728K 0.01% -275 -2.7%
637 WCC WESCO INTL INC Industrials 2,657 $727K 0.01% +700 +35.8%
638 GSG ISHARES TR Financial Services 14,246 $726K 0.01% -158 -1.1%
639 GSG ISHARES TR Financial Services 3,795 $719K 0.01%
640 TTEK TETRA TECH INC NEW Industrials 23,838 $718K 0.01% -6K -18.9%
641 BEN FRANKLIN TEMPLETON ETF TR Financial Services 31,062 $714K 0.01% -77K -71.2%
642 PIMCO ETF TR 15,812 $714K 0.01% +9K +125.7%
643 PTBD PACER FDS TR 37,413 $710K 0.01% -2K -6.2%
644 KDP KEURIG DR PEPPER INC Consumer Defensive 26,842 $707K 0.01% -10K -26.8%
645 OREILLY AUTOMOTIVE INC 7,655 $707K 0.01% +53 +0.7%
646 VCTR VICTORY PORTFOLIOS II Financial Services 10,344 $706K 0.01% NEW
647 EA SERIES TRUST 14,316 $701K 0.01% NEW
648 GSG ISHARES TR Financial Services 6,590 $700K 0.01% +400 +6.5%
649 TRAX FIRST TR EXCHNG TRADED FD VI Healthcare 16,027 $699K 0.01% -1K -7.3%
650 MARA MARATHON PETE CORP Financial Services 2,860 $698K 0.01% +57 +2.0%
651 IVR INVESCO DB MULTI-SECTOR COMM Real Estate 25,307 $691K 0.01% +560 +2.3%
652 BX BLACKSTONE SECD LENDING FD Financial Services 29,142 $690K 0.01% -9K -24.3%
653 OSCR OSCAR HEALTH INC Healthcare 60,125 $690K 0.01% +875 +1.5%
654 J P MORGAN EXCHANGE TRADED F 13,814 $687K 0.01% NEW
655 GSG ISHARES TR Financial Services 1,853 $687K 0.01% -10 -0.5%
656 SNPS SYNOPSYS INC Technology 1,731 $686K 0.01% +162 +10.3%
657 TMUS T-MOBILE US INC Communication Services 3,263 $685K 0.01% +68 +2.1%
658 MSTR STRATEGY INC Technology 5,464 $682K 0.01% +2K +58.7%
659 DG DOLLAR GEN CORP Consumer Defensive 5,706 $677K 0.01% -2K -28.2%
660 WPM WHEATON PRECIOUS METALS CORP Basic Materials 5,135 $673K 0.01% +165 +3.3%
661 PRU PRUDENTIAL FINL INC Financial Services 6,875 $672K 0.01% -40 -0.6%
662 DOW HLDGS INC 16,049 $668K 0.01% +2K +11.2%
663 IVR INVESCO ACTIVELY MANAGED EXC Real Estate 26,700 $668K 0.01%
664 DELL DELL TECHNOLOGIES INC Technology 4,069 $668K 0.01% -537 -11.7%
665 NTAP NETAPP INC Technology 6,519 $667K 0.01% -679 -9.4%
666 CDNS CADENCE DESIGN SYSTEM INC Technology 2,385 $663K 0.01% +75 +3.2%
667 DFAS DIMENSIONAL ETF TRUST 9,313 $662K 0.01%
668 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 31,788 $660K 0.01% +2K +5.8%
669 SHYL DBX ETF TR 14,788 $656K 0.01% +4K +33.1%
670 PNR PENTAIR PLC Industrials 7,521 $655K 0.01% -2K -21.5%
671 ARCC ARES CAPITAL CORP Financial Services 36,327 $655K 0.01% +2K +4.7%
672 CBNK CAPITAL GROUP CORE EQUITY ET Financial Services 16,925 $650K 0.01% +2K +16.4%
673 MET METLIFE INC Financial Services 9,179 $649K 0.01% -709 -7.2%
674 WULF TERAWULF INC Financial Services 44,962 $649K 0.01% +35K +344.8%
675 SMCI SUPER MICRO COMPUTER INC Technology 28,487 $649K 0.01% +15K +110.9%
676 DD DUPONT DE NEMOURS INC Basic Materials 14,157 $648K 0.01% +1K +10.6%
677 ITW ILLINOIS TOOL WKS INC Industrials 2,482 $646K 0.01% -6K -69.6%
678 AOMR ANGEL OAK FUNDS TRUST Real Estate 12,639 $645K 0.01% NEW
679 WT WISDOMTREE TR Financial Services 5,538 $641K 0.01%
680 CORZ CORE SCIENTIFIC INC NEW Technology 42,689 $640K 0.01%
681 GSG ISHARES TR Financial Services 8,385 $640K 0.01% +902 +12.1%
682 GSG ISHARES TR Financial Services 6,756 $639K 0.01% +1K +19.4%
683 PIMCO ETF TR 12,231 $638K 0.01% -1K -8.9%
684 STT STATE STR CORP Financial Services 5,030 $637K 0.01% +643 +14.7%
685 PCG PG&E CORP Utilities 36,222 $636K 0.01% -16K -31.0%
686 TKO TKO GROUP HOLDINGS INC Communication Services 3,128 $631K 0.01% +17 +0.6%
687 VOD VODAFONE GROUP PLC Communication Services 41,788 $628K 0.01% +495 +1.2%
688 OLD REP INTL CORP 15,719 $627K 0.01% -1K -7.2%
689 XLRE SELECT SECTOR SPDR TR 15,359 $627K 0.01% +2K +17.6%
690 KMI KINDER MORGAN INC DEL Energy 18,697 $627K 0.01% -5K -21.9%
691 XLC SELECT SECTOR SPDR TR 5,637 $625K 0.01% -1K -18.2%
692 LISTED FDS TR 12,000 $625K 0.01%
693 BAVA BITWISE 10 CRYPTO INDEX ETF 13,959 $623K 0.01% -3K -17.5%
694 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 15,790 $623K 0.01% +195 +1.2%
695 HNNA HENNESSY ADVISORS INC Financial Services 63,798 $622K 0.01%
696 TSN TYSON FOODS INC Consumer Defensive 9,687 $621K 0.01% -3K -25.3%
697 RIVN RIVIAN AUTOMOTIVE INC Consumer Cyclical 41,205 $620K 0.01% +6K +17.2%
698 DT DYNATRACE INC Technology 16,701 $618K 0.01% +4K +36.5%
699 EWJ ISHARES INC 7,308 $617K 0.01% +470 +6.9%
700 BLK BLACKROCK ETF TRUST Financial Services 11,155 $617K 0.01% +138 +1.2%
701 MGA MAGNA INTL INC Consumer Cyclical 11,023 $615K 0.01% +691 +6.7%
702 IT GARTNER INC Technology 3,885 $615K 0.01% -580 -13.0%
703 TEX TEREX CORP NEW Industrials 10,384 $614K 0.01% +1K +12.3%
704 ASTS AST SPACEMOBILE INC Technology 7,376 $611K 0.01% +3K +82.1%
705 IVR INVESCO EXCHANGE TRADED FD T Real Estate 7,530 $611K 0.01% +314 +4.3%
706 VXF VANGUARD INDEX FDS 2,960 $609K 0.01%
707 CBNK CAPITAL GROUP INTL FOCUS EQT Financial Services 20,614 $608K 0.01% +3K +15.4%
708 ROST ROSS STORES INC Consumer Cyclical 2,805 $608K 0.01% +81 +3.0%
709 GSG ISHARES TR Financial Services 9,318 $606K 0.01% +2K +22.8%
710 GBUG SPROTT ASSET MANAGEMENT LP Financial Services 17,103 $606K 0.01% -450 -2.6%
711 MOS MOSAIC CO Basic Materials 23,741 $605K 0.01% NEW
712 CNA FINL CORP 13,181 $605K 0.01% +2K +19.2%
713 CBNK CAPITAL GRP FIXED INCM ETF T Financial Services 23,032 $605K 0.01% +8K +51.1%
714 GSG ISHARES TR Financial Services 8,601 $604K 0.01% +217 +2.6%
715 TEN TSAKOS ENERGY NAVIGATION LTD Energy 15,290 $603K 0.01% NEW
716 VERA VERA THERAPEUTICS INC Healthcare 14,976 $602K 0.01% +580 +4.0%
717 OUNZ VANECK MERK GOLD ETF Financial Services 13,370 $602K 0.01%
718 EDIV SPDR INDEX SHS FDS 15,202 $600K 0.01% +5K +47.3%
719 ORA ORMAT TECHNOLOGIES INC Utilities 5,354 $599K 0.01% -252 -4.5%
720 GSK GSK PLC Healthcare 10,836 $598K 0.01% -1K -10.1%
721 ACIO ETF SER SOLUTIONS 14,244 $598K 0.01% -608 -4.1%
722 IVR INVESCO EXCH TRADED FD TR II Real Estate 9,334 $597K 0.01% -9K -49.1%
723 GSG ISHARES TR Financial Services 2,725 $596K 0.01% -1K -31.6%
724 XEL XCEL ENERGY INC Utilities 7,503 $596K 0.01%
725 DAL DELTA AIR LINES INC Industrials 8,953 $595K 0.01% -4K -32.8%
726 VIOO VANGUARD ADMIRAL FDS INC 5,153 $592K 0.01%
727 KVUE KENVUE INC Consumer Defensive 34,287 $591K 0.01% +4K +11.5%
728 NYT NEW YORK TIMES CO MTN BE Communication Services 7,037 $589K 0.01% -2K -24.8%
729 EWX SPDR INDEX SHS FDS 8,902 $589K 0.01%
730 ADVB ADVANCED DRAIN SYS INC DEL Healthcare 4,287 $588K 0.01% -618 -12.6%
731 IVR INVESCO ACTIVELY MANAGED EXC Real Estate 12,539 $587K 0.01% +115 +0.9%
732 GIS GENERAL MILLS INC Consumer Defensive 15,765 $587K 0.01% -2K -12.4%
733 DTE DTE ENERGY CO Utilities 4,005 $586K 0.01%
734 CNM CORE & MAIN INC Industrials 11,764 $581K 0.01% -3K -18.6%
735 CAH CARDINAL HEALTH INC Healthcare 2,734 $578K 0.01% +181 +7.1%
736 LEN.B LENNAR CORP Industrials 6,630 $576K 0.01% +1K +19.2%
737 UL UNILEVER PLC Consumer Defensive 10,089 $575K 0.01%
738 WBS WEBSTER FINL CORP Financial Services 8,276 $575K 0.01%
739 WT WISDOMTREE TR Financial Services 6,388 $571K 0.01%
740 SATS ECHOSTAR CORP Technology 4,865 $570K 0.01%
741 AMER STATES WTR CO 7,526 $569K 0.01% +463 +6.6%
742 GFS GLOBALFOUNDRIES INC Technology 12,792 $569K 0.01% -516 -3.9%
743 VRSK VERISK ANALYTICS INC Industrials 2,976 $565K 0.01% +260 +9.6%
744 ADSK AUTODESK INC Technology 2,357 $564K 0.01% -294 -11.1%
745 GH GUARDANT HEALTH INC Healthcare 6,097 $563K 0.01% NEW
746 CBNK CAPITAL GROUP GBL GROWTH EQT Financial Services 16,820 $561K 0.01% +2K +11.6%
747 STN STANTEC INC Industrials 6,482 $560K 0.01% +142 +2.2%
748 QWLD SPDR INDEX SHS FDS 3,902 $559K 0.01%
749 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 13,760 $558K 0.01% -10K -42.6%
750 CLX CLOROX CO DEL Consumer Defensive 5,372 $557K 0.01% NEW
751 ENB ENBRIDGE INC Energy 10,241 $554K 0.01% -293 -2.8%
752 PFFD GLOBAL X FDS 30,085 $554K 0.01% -1K -4.3%
753 BSOL BITWISE SOLANA STAKING ETF Financial Services 50,081 $553K 0.01% +28K +130.3%
754 EWBC EAST WEST BANCORP INC Financial Services 5,179 $553K 0.01% +310 +6.4%
755 ABRDN PALLADIUM ETF TRUST 4,071 $548K 0.01%
756 WABC WESTAMERICA BANCORPORATION Financial Services 10,500 $548K 0.01% -256 -2.4%
757 GSG ISHARES TR Financial Services 7,816 $547K 0.01%
758 LITE LUMENTUM HLDGS INC Technology 777 $546K 0.01% +61 +8.5%
759 AKAM AKAMAI TECHNOLOGIES INC Technology 4,754 $546K 0.01% -748 -13.6%
760 GSG ISHARES TR Financial Services 6,815 $546K 0.01% +4K +140.5%
761 ETHV VANECK ETF TRUST Financial Services 5,932 $544K 0.01% -2K -27.2%
762 SOFI SOFI TECHNOLOGIES INC Financial Services 34,255 $544K 0.01% -3K -7.8%
763 SPOT SPOTIFY TECHNOLOGY S A Communication Services 1,119 $543K 0.01% -107 -8.7%
764 WBD WARNER BROS DISCOVERY INC Communication Services 19,721 $542K 0.01% -218 -1.1%
765 BEN FRANKLIN TEMPLETON ETF TR Financial Services 18,825 $541K 0.01% -340 -1.8%
766 WTTR SELECT WATER SOLUTIONS INC Utilities 35,280 $540K 0.01% -7K -16.1%
767 AXON AXON ENTERPRISE INC Industrials 1,266 $538K 0.01% -65 -4.9%
768 KEYS KEYSIGHT TECHNOLOGIES INC Technology 1,897 $536K 0.01% +168 +9.7%
769 USSG DBX ETF TR 8,973 $536K 0.01% -3K -25.8%
770 ARKK ARK ETF TR 7,923 $536K 0.01%
771 TTWO TAKE-TWO INTERACTIVE SOFTWAR Communication Services 2,706 $535K 0.01% +1K +78.5%
772 XLP SELECT SECTOR SPDR TR 6,515 $534K 0.01%
773 HSY HERSHEY CO Consumer Defensive 2,568 $534K 0.01% +81 +3.3%
774 IOT SAMSARA INC Technology 16,825 $533K 0.01% -1K -6.6%
775 NVT NVENT ELEC PLC Industrials 4,506 $533K 0.01% +1K +32.4%
776 MTZ MASTEC INC Industrials 1,651 $531K 0.01% -239 -12.7%
777 CNC CENTENE CORP DEL Healthcare 16,224 $531K 0.01% -9K -35.4%
778 GSG ISHARES U S ETF TR Financial Services 6,200 $531K 0.01% -800 -11.4%
779 FRO FRONTLINE PLC Energy 15,225 $531K 0.01% NEW
780 NGG NATIONAL GRID PLC Utilities 6,273 $531K 0.01% +277 +4.6%
781 AGX ARGAN INC Industrials 973 $530K 0.01% -5 -0.5%
782 GSG ISHARES TR Financial Services 10,312 $528K 0.01% +967 +10.3%
783 VMC VULCAN MATLS CO Basic Materials 1,930 $526K 0.01% -16 -0.8%
784 Q QNITY ELECTRONICS INC Technology 4,554 $525K 0.01% +119 +2.7%
785 PCAR PACCAR INC Industrials 4,546 $525K 0.01% +215 +5.0%
786 ETHV VANECK ETF TRUST Financial Services 10,442 $524K 0.01% -2K -14.1%
787 NBIS NEBIUS GROUP N.V. Communication Services 5,039 $523K 0.01% +1K +37.5%
788 GSG ISHARES U S ETF TR Financial Services 15,441 $522K 0.01% -7K -32.0%
789 WEC WEC ENERGY GROUP INC Utilities 4,504 $521K 0.01% +881 +24.3%
790 BLK BLACKROCK ETF TRUST Financial Services 15,914 $521K 0.01% NEW
791 GS GOLDMAN SACHS ETF TR Financial Services 10,507 $520K 0.01% +982 +10.3%
792 NVDA CALL NVIDIA CORPORATION Technology 27,200 $520K 0.01% NEW
793 BNTX BIONTECH SE Healthcare 5,837 $519K 0.01%
794 BEN FRANKLIN TEMPLETON HOLDINGS Financial Services 8,343 $519K 0.01% -9K -51.2%
795 GSG ISHARES TR Financial Services 9,740 $518K 0.01% -1K -9.3%
796 MSI MOTOROLA SOLUTIONS INC Technology 1,193 $518K 0.01% +196 +19.7%
797 HAL HALLIBURTON CO Energy 13,250 $517K 0.01% -716 -5.1%
798 NTRA NATERA INC Healthcare 2,571 $514K 0.01% -291 -10.2%
799 GSG ISHARES TR Financial Services 4,007 $513K 0.01% -243 -5.7%
800 GSG ISHARES TR Financial Services 7,491 $513K 0.01% +790 +11.8%
801 VTR VENTAS INC Real Estate 6,250 $511K 0.01% -3K -30.5%
802 IVR INVESCO DB COMMDY INDX TRCK Real Estate 17,554 $508K 0.01% NEW
803 SFYF TIDAL TRUST I 9,949 $507K 0.01% -877 -8.1%
804 VIGI VANGUARD WHITEHALL FDS 5,712 $505K 0.01%
805 AAL AMERICAN INTL GROUP INC Industrials 6,692 $504K 0.01% +404 +6.4%
806 VEEV VEEVA SYS INC Healthcare 2,860 $502K 0.01% +190 +7.1%
807 HBAN HUNTINGTON INGALLS INDS INC Financial Services 1,319 $501K 0.01%
808 CPNG COUPANG INC Consumer Cyclical 26,523 $501K 0.01% NEW
809 GSG ISHARES TR Financial Services 11,943 $499K 0.01%
810 MSIF MSC INCOME FUND INC Financial Services 40,460 $493K 0.01% +10K +34.0%
811 GSG ISHARES TR Financial Services 5,840 $490K 0.01% -91 -1.5%
812 GSG ISHARES S&P GSCI COMMODITY- Financial Services 15,199 $490K 0.01%
813 WT WISDOMTREE TR Financial Services 11,068 $488K 0.01% -717 -6.1%
814 IVR INVESCO EXCH TRD SLF IDX FD Real Estate 8,106 $487K 0.01%
815 CRC CALIFORNIA WTR SVC GROUP Energy 10,692 $485K 0.01% +486 +4.8%
816 TEL TE CONNECTIVITY PLC Technology 2,315 $484K 0.01% +76 +3.4%
817 KKRT KKR & CO INC Financial Services 5,229 $484K 0.01% +52 +1.0%
818 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 1,581 $481K 0.01% +391 +32.9%
819 FLRT PACER FDS TR 10,325 $478K 0.01% -19K -64.9%
820 EQNR EQUINOR ASA Energy 11,329 $478K 0.01% -5K -31.0%
821 BLK BLACKROCK ETF TRUST II Financial Services 9,962 $478K 0.01% -25K -71.2%
822 MPLX MPLX LP Energy 8,331 $475K 0.01% -390 -4.5%
823 IR INGERSOLL RAND INC Industrials 5,932 $475K 0.01% +891 +17.7%
824 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 4,311 $473K 0.01%
825 CMG CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 14,757 $472K 0.01% -9K -36.8%
826 NUHY NUSHARES ETF TR 22,219 $471K 0.01% -20K -47.5%
827 LSTR LANDSTAR SYS INC Industrials 2,928 $469K 0.01% +184 +6.7%
828 CBOE CBOE GLOBAL MKTS INC Financial Services 1,670 $469K 0.01% +163 +10.8%
829 CLS CELESTICA INC Technology 1,662 $468K 0.01% +91 +5.8%
830 URI UNITED RENTALS INC Industrials 641 $467K 0.01% -28 -4.2%
831 RDDT REDDIT INC Communication Services 3,467 $467K 0.01% +1K +49.6%
832 DHI D R HORTON INC Consumer Cyclical 3,397 $466K 0.01% -722 -17.5%
833 POOL POOL CORP Industrials 2,301 $466K 0.01% -317 -12.1%
834 SCHO SCHWAB STRATEGIC TR 19,167 $465K 0.01% -8K -28.7%
835 EMP ENTERGY CORP NEW Utilities 4,122 $463K 0.01%
836 ISHARES INC 2,563 $461K 0.01%
837 ROYAL BK CDA 2,852 $461K 0.01% -21 -0.7%
838 TEAM ATLASSIAN CORPORATION Technology 6,755 $461K 0.01% -6K -45.5%
839 ADM ARCHER DANIELS MIDLAND CO Consumer Defensive 6,333 $460K 0.01% +2K +39.5%
840 FNDA SCHWAB STRATEGIC TR 14,131 $458K 0.01% +235 +1.7%
841 HTO H2O AMERICA Utilities 7,789 $457K 0.01% +46 +0.6%
842 J P MORGAN EXCHANGE TRADED F 6,086 $457K 0.01% -209 -3.3%
843 DECK DECKERS OUTDOOR CORP Consumer Cyclical 4,560 $456K 0.01% -396 -8.0%
844 CW CURTISS WRIGHT CORP Industrials 668 $455K 0.01% -8 -1.2%
845 GSG ISHARES TR Financial Services 7,370 $454K 0.01%
846 NJR NEW JERSEY RES CORP Utilities 8,267 $454K 0.01% -637 -7.2%
847 SF STIFEL FINL CORP Financial Services 6,136 $454K 0.01% +1K +24.1%
848 MAIN MAIN STR CAP CORP Financial Services 8,545 $453K 0.01%
849 CFG CITIZENS FINL GROUP INC Financial Services 7,525 $451K 0.01% -197 -2.5%
850 CLH CLEAN HARBORS INC Industrials 1,573 $451K 0.01% NEW
851 RBCAA REPUBLIC SVCS INC Financial Services 2,056 $450K 0.01% +780 +61.1%
852 BWA BORGWARNER INC Consumer Cyclical 8,293 $450K 0.01% -2K -18.3%
853 BBVA BANCO BILBAO VIZCAYA ARGENTA Financial Services 20,750 $449K 0.01% +381 +1.9%
854 SKM SK TELECOM CO LTD Communication Services 15,323 $449K 0.01% +3K +25.7%
855 GSG ISHARES TR Financial Services 8,944 $448K 0.01% +789 +9.7%
856 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 9,970 $447K 0.01% NEW
857 DICKS SPORTING GOODS INC 2,246 $445K 0.01%
858 UAMY UNITED STATES ANTIMONY CORP Basic Materials 50,981 $445K 0.01% +3K +5.2%
859 MGK VANGUARD WORLD FD 1,211 $445K 0.01%
860 FSLR FIRST SOLAR INC Energy 2,249 $444K 0.01% -125 -5.3%
861 DOV DOVER CORP Industrials 2,127 $443K 0.01% -268 -11.2%
862 RBRK RUBRIK INC. Technology 9,033 $442K 0.01% +4K +68.8%
863 JANUS DETROIT STR TR 9,048 $442K 0.01% -1K -13.8%
864 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 20,494 $442K 0.01% +7K +48.6%
865 EW EDWARDS LIFESCIENCES CORP Healthcare 5,498 $440K 0.01% -1K -18.9%
866 EXCHANGE TRADED CONCEPTS TRU 8,450 $440K 0.01%
867 LUMN LUMEN TECHNOLOGIES INC Communication Services 62,855 $437K 0.01% NEW
868 GOOGL CALL ALPHABET INC Communication Services 39,200 $431K 0.01% NEW
869 GRMN GARMIN LTD Technology 1,855 $430K 0.01% +144 +8.4%
870 XLB SELECT SECTOR SPDR TR 8,551 $427K 0.01%
871 SYY SYSCO CORP Consumer Defensive 5,985 $427K 0.01% +279 +4.9%
872 ICE INTERCONTINENTAL HOTELS GROU Financial Services 3,199 $427K 0.01% +307 +10.6%
873 ES EVERSOURCE ENERGY Utilities 6,161 $427K 0.01% -759 -11.0%
874 EBAY EBAY INC. Consumer Cyclical 4,689 $427K 0.01% -65 -1.4%
875 NIE VIRTUS ETF TR II Financial Services 18,500 $427K 0.01% -30K -61.5%
876 BLDR BUILDERS FIRSTSOURCE INC Industrials 5,161 $425K 0.01% +100 +2.0%
877 NUE NUCOR CORP Basic Materials 2,513 $425K 0.01% +67 +2.7%
878 ZETA ZETA GLOBAL HOLDINGS CORP Technology 26,562 $423K 0.01% +14K +114.2%
879 GSG ISHARES TR Financial Services 9,534 $423K 0.01% +1K +11.9%
880 GL GLOBE LIFE INC Financial Services 3,036 $423K 0.01% -190 -5.9%
881 PVAL PUTNAM ETF TRUST 9,076 $421K 0.01% +3K +38.5%
882 UAC UNITED AIRLS HLDGS INC Financial Services 4,573 $421K 0.01% -902 -16.5%
883 A AGILENT TECHNOLOGIES INC Healthcare 3,688 $420K 0.01% -601 -14.0%
884 IVR INVESCO EXCH TRADED FD TR II Real Estate 20,517 $419K 0.01% -109K -84.2%
885 VFC V F CORP Consumer Cyclical 24,612 $418K 0.01% +685 +2.9%
886 CBNK CAPITAL GROUP GROWTH ETF Financial Services 10,404 $418K 0.01% +1K +11.8%
887 JVAL J P MORGAN EXCHANGE TRADED F 8,532 $417K 0.01% +534 +6.7%
888 IVR INVESCO EXCHANGE TRADED FD T Real Estate 4,405 $416K 0.01%
889 FDBC FIDELITY COVINGTON TRUST Financial Services 8,084 $415K 0.01%
890 EOG RES INC 2,858 $413K 0.01% -184 -6.0%
891 FERG FERGUSON ENTERPRISES INC Industrials 1,763 $411K 0.01% +252 +16.7%
892 CASEYS GEN STORES INC 562 $409K 0.01% +9 +1.6%
893 QDEF FLEXSHARES TR 5,124 $409K 0.01% +2K +71.8%
894 GSG ISHARES TR Financial Services 9,584 $408K 0.01% +439 +4.8%
895 KOLD PROSHARES TR Financial Services 7,794 $404K 0.01% -2K -17.4%
896 IQVIA HLDGS INC 2,370 $404K 0.01% -437 -15.6%
897 WWD WOODWARD INC Industrials 1,129 $404K 0.01% +47 +4.3%
898 GSG ISHARES TR Financial Services 2,759 $402K 0.01% -512 -15.7%
899 KB FINL GROUP INC 4,026 $402K 0.01% +45 +1.1%
900 CBNK CAPITAL GROUP DIVIDEND GROWE Financial Services 11,154 $400K 0.01% +2K +23.3%
901 MAS MASCO CORP Industrials 6,626 $400K 0.01% -2K -19.2%
902 WT WISDOMTREE TR Financial Services 8,032 $399K 0.01% -100 -1.2%
903 DUHP DIMENSIONAL ETF TRUST 10,852 $399K 0.01%
904 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 1,704 $399K 0.01% -1K -43.1%
905 KMB KIMBERLY-CLARK CORP Consumer Defensive 4,132 $399K 0.01% -1K -26.1%
906 IONQ IONQ INC Technology 13,803 $398K 0.01% +2K +14.7%
907 WEST PHARMACEUTICAL SVSC INC 1,582 $397K 0.01% -449 -22.1%
908 HARROW INC 11,233 $396K 0.01% +518 +4.8%
909 THO THOR INDS INC Consumer Cyclical 4,952 $396K 0.01% +382 +8.4%
910 MCHP MICROCHIP TECHNOLOGY INC. Technology 6,117 $395K 0.01% +2K +37.0%
911 SNA SNAP ON INC Industrials 1,075 $391K 0.01% +81 +8.2%
912 CTRA COTERRA ENERGY INC Energy 11,098 $390K 0.01% -6K -35.6%
913 GSG ISHARES TR Financial Services 2,941 $390K 0.01%
914 GSG ISHARES TR Financial Services 7,796 $389K 0.01% NEW
915 ROL ROLLINS INC Consumer Cyclical 7,279 $389K 0.01% -998 -12.1%
916 TWLO TWILIO INC Communication Services 3,083 $388K 0.01% +292 +10.5%
917 MSCI MSCI INC Financial Services 715 $385K 0.01% -98 -12.1%
918 ICHR ICHOR HOLDINGS Technology 8,259 $385K 0.01% NEW
919 PFG PRINCIPAL FINANCIAL GROUP IN Financial Services 4,264 $384K 0.01% -180 -4.0%
920 GPC GENUINE PARTS CO Consumer Cyclical 3,626 $383K 0.01% +64 +1.8%
921 BP BP PLC Energy 8,155 $383K 0.01% -806 -9.0%
922 IRM IRON MTN INC DEL Real Estate 3,748 $383K 0.01% +451 +13.7%
923 J P MORGAN EXCHANGE TRADED F 8,286 $382K 0.01%
924 NN NEXTNAV INC Communication Services 60,400 $382K 0.01%
925 JBL JABIL INC Technology 1,435 $381K 0.01%
926 PAYX PAYCHEX INC Industrials 4,124 $380K 0.01% +482 +13.2%
927 SPDW SPDR INDEX SHS FDS 8,322 $380K 0.01% -963 -10.4%
928 UCTT ULTRA CLEAN HLDGS INC Technology 6,087 $378K 0.01% NEW
929 SBAC SBA COMMUNICATIONS CORP Real Estate 2,191 $377K 0.01% +269 +14.0%
930 OBDC BLUE OWL CAPITAL CORPORATION Financial Services 34,060 $377K 0.01% +3K +9.4%
931 SCHEIN HENRY INC 5,105 $376K 0.01% +82 +1.6%
932 HIG HARTFORD INSURANCE GROUP INC Financial Services 2,779 $376K 0.01% +20 +0.7%
933 RBB FD INC 7,536 $376K 0.01% -17K -69.7%
934 CBRE CBRE GROUP INC Real Estate 2,771 $375K 0.01%
935 NUSC NUSHARES ETF TR 8,329 $375K 0.01% -123 -1.5%
936 LNG CHENIERE ENERGY INC Energy 1,322 $375K 0.01% +215 +19.4%
937 CIA ENERGETICA DE MINAS GERA 156,933 $375K 0.01% -2K -1.4%
938 GSG ISHARES TR Financial Services 4,173 $375K 0.01%
939 SWIM LATHAM GROUP INC Industrials 69,733 $374K 0.01% +17K +31.1%
940 ABRDN PRECIOUS METALS BASKET 1,706 $373K 0.01% -91 -5.1%
941 BDX BECTON DICKINSON & CO Healthcare 2,359 $371K 0.01% -133 -5.3%
942 WDAY WORKDAY INC Technology 2,830 $368K 0.01% +797 +39.2%
943 ARKB ARK 21SHARES BITCOIN ETF Financial Services 16,227 $365K 0.01%
944 INCY INCYTE CORP Healthcare 3,875 $365K 0.01% -2K -28.8%
945 TRAX FIRST TR EXCHANGE-TRADED ALP Healthcare 2,990 $365K 0.01% -135 -4.3%
946 BG BUNGE GLOBAL SA Consumer Defensive 2,848 $362K 0.01% -50 -1.7%
947 CAM AB ACTIVE ETFS INC 14,487 $362K 0.01%
948 WGS GENEDX HOLDINGS CORP Healthcare 5,626 $361K 0.01% +501 +9.8%
949 ROP ROPER TECHNOLOGIES INC Industrials 1,011 $358K 0.01% -209 -17.1%
950 CHKP CHECK POINT SOFTWARE TECH LT Technology 2,505 $358K 0.01% -131 -5.0%
951 TROW T ROWE PRICE ETF INC Financial Services 7,158 $356K 0.01% NEW
952 ETHW BITWISE ETHEREUM ETF Financial Services 23,656 $355K 0.01%
953 NULV NUSHARES ETF TR 7,768 $353K 0.01% +1K +17.6%
954 USAR USA RARE EARTH INC Basic Materials 23,255 $352K 0.01% +1K +4.6%
955 TYL TYLER TECHNOLOGIES INC Technology 1,026 $351K 0.01% +465 +82.9%
956 YUMC YUM CHINA HLDGS INC Consumer Cyclical 7,190 $351K 0.01%
957 GS GOLDMAN SACHS ETF TR Financial Services 7,646 $350K 0.01%
958 MWA MUELLER INDS INC Industrials 3,161 $350K 0.01% -1K -29.0%
959 GSG ISHARES TR Financial Services 2,529 $350K 0.01% -1K -31.5%
960 FORD MTR CO 30,271 $349K 0.01% -6K -16.2%
961 VCTR VICTORY PORTFOLIOS II Financial Services 7,428 $349K 0.01% -804 -9.8%
962 EA ELECTRONIC ARTS INC Communication Services 1,713 $349K 0.01% -88 -4.9%
963 RACE FERRARI N V Consumer Cyclical 1,027 $348K 0.01% -48 -4.5%
964 GAP GAP INC Consumer Cyclical 14,346 $347K 0.01% -899 -5.9%
965 VRT CALL VERTIV HOLDINGS CO Industrials 3,100 $346K 0.01% NEW
966 OMC OMNICOM GROUP INC Communication Services 4,597 $346K 0.01% -4K -45.7%
967 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 3,157 $345K 0.01% -106 -3.2%
968 PPG INDS INC 3,201 $342K 0.01% +178 +5.9%
969 GALLAGHER ARTHUR J & CO 1,579 $342K 0.01% +214 +15.7%
970 BNDW VANGUARD SCOTTSDALE FDS 4,985 $341K 0.01% +1K +29.9%
971 TPR TAPESTRY INC Consumer Cyclical 2,399 $339K 0.01% +224 +10.3%
972 CRUS CIRRUS LOGIC INC Technology 2,338 $338K 0.01% NEW
973 SONY SONY GROUP CORP Technology 16,260 $337K 0.01% +552 +3.5%
974 SMG SCOTTS MIRACLE-GRO CO Basic Materials 5,532 $336K 0.01% +730 +15.2%
975 ELV ELEVANCE HEALTH INC FORMERLY Healthcare 1,142 $334K 0.01% -229 -16.7%
976 GSG ISHARES TR Financial Services 3,830 $332K 0.01% +126 +3.4%
977 SOLS SOLSTICE ADVANCED MATLS INC Basic Materials 4,352 $331K 0.01% +221 +5.3%
978 FLRN SPDR SERIES TRUST 10,755 $331K 0.01% NEW
979 IVR INVESCO EXCHANGE TRADED FD T Real Estate 7,398 $331K 0.01%
980 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 17,462 $331K 0.01% +2K +10.4%
981 HUBB HUBBELL INC Industrials 673 $330K 0.01% -16K -96.0%
982 NAK NORTHERN TR CORP Basic Materials 2,360 $329K 0.01% -444 -15.8%
983 ISHARES INC 5,252 $329K 0.01% +949 +22.1%
984 GSG ISHARES TR Financial Services 1,944 $328K 0.01% -790 -28.9%
985 LPL FINL HLDGS INC 1,084 $326K 0.01% -30 -2.7%
986 ENTG ENTEGRIS INC Technology 2,779 $326K 0.01% +41 +1.5%
987 ETHV VANECK ETF TRUST Financial Services 18,481 $324K 0.01% -1K -6.5%
988 SPTI SPDR SERIES TRUST 11,309 $324K 0.01% -442 -3.8%
989 FHN FIRST HORIZON CORPORATION Financial Services 14,233 $324K 0.01% +860 +6.4%
990 UTHR UNITED THERAPEUTICS CORP DEL Healthcare 546 $324K 0.01% -342 -38.5%
991 IREN IREN LIMITED Financial Services 9,419 $323K 0.01% NEW
992 UBS UBS GROUP AG Financial Services 8,250 $322K 0.01% +699 +9.3%
993 GSG ISHARES U S ETF TR Financial Services 3,488 $322K 0.01% -7K -66.4%
994 TRGP TARGA RES CORP Energy 1,284 $322K 0.01% +108 +9.2%
995 VCEB VANGUARD WORLD FD 5,083 $319K 0.01%
996 VYMI VANGUARD WHITEHALL FDS 3,387 $319K 0.01% +192 +6.0%
997 GSG ISHARES TR Financial Services 6,884 $318K 0.01% +35 +0.5%
998 IVT INVENTRUST PPTYS CORP Real Estate 10,443 $318K 0.01% -533 -4.9%
999 GSG ISHARES TR Financial Services 6,803 $316K 0.01% +76 +1.1%
1000 AGM FEDERAL AGRIC MTG CORP Financial Services 2,132 $316K 0.01%
1001 NU HLDGS LTD 21,958 $316K 0.01% +299 +1.4%
1002 BKR BAKER HUGHES COMPANY Energy 5,153 $315K 0.01% +476 +10.2%
1003 BWXT BWX TECHNOLOGIES INC Industrials 1,527 $312K 0.01% +158 +11.5%
1004 JHG JANUS HENDERSON GROUP PLC Financial Services 6,043 $310K 0.01% -980 -13.9%
1005 RCKT ROCKET LAB CORP Healthcare 4,822 $310K 0.01% +1K +31.2%
1006 CRCL CIRCLE INTERNET GROUP INC Financial Services 3,240 $309K 0.01% NEW
1007 ATO ATMOS ENERGY CORP Utilities 1,670 $308K 0.01% +470 +39.2%
1008 HPE HEWLETT PACKARD ENTERPRISE C Technology 12,946 $308K 0.01% -507 -3.8%
1009 APPS DIGITAL RLTY TR INC Technology 1,705 $307K 0.01% +283 +19.9%
1010 NULG NUSHARES ETF TR 3,372 $307K 0.01% +1K +54.3%
1011 ZS ZSCALER INC Technology 2,185 $307K 0.01% +879 +67.3%
1012 TM TOYOTA MOTOR CORP Consumer Cyclical 1,487 $306K 0.01% +199 +15.4%
1013 FDS FACTSET RESH SYS INC Financial Services 1,412 $306K 0.01% -362 -20.4%
1014 PFS PROVIDENT FINL SVCS INC Financial Services 14,462 $306K 0.01%
1015 RGLD ROYAL GOLD INC Basic Materials 1,200 $305K 0.01% +158 +15.2%
1016 DCI DONALDSON INC Industrials 3,582 $304K 0.01% +142 +4.1%
1017 GSG ISHARES TR Financial Services 1,900 $301K 0.01%
1018 GDLC GRAYSCALE ETHEREUM STAKING E Financial Services 17,555 $300K 0.01% -380 -2.1%
1019 ATI ATI INC Industrials 2,059 $300K 0.01% -231 -10.1%
1020 OBDC BLUE OWL TECHNOLOGY FIN CORP Financial Services 24,100 $299K 0.01% NEW
1021 GAMING & LEISURE P 6,711 $298K 0.01% -2K -26.5%
1022 SON SONOCO PRODS CO Consumer Cyclical 5,483 $297K 0.01% NEW
1023 PFAI PINNACLE FINL PARTNERS INC Consumer Cyclical 3,440 $296K 0.01% NEW
1024 NBXG NEUBERGER BERMAN ETF TRUST Financial Services 5,768 $296K 0.01% +470 +8.9%
1025 GSG ISHARES ETHEREUM TR Financial Services 18,707 $296K 0.01% +5K +38.5%
1026 ACI ALBERTSONS COS INC Consumer Defensive 17,354 $296K 0.01% -1K -5.6%
1027 SHG SHINHAN FINANCIAL GROUP CO L Financial Services 4,813 $295K 0.01%
1028 CRS CARPENTER TECHNOLOGY CORP Industrials 746 $294K 0.01% +50 +7.2%
1029 BIIB BIOGEN INC Healthcare 1,600 $293K 0.01% +98 +6.5%
1030 NUVB NUVATION BIO INC Healthcare 68,324 $293K 0.01%
1031 DRI DARDEN RESTAURANTS INC Consumer Cyclical 1,493 $293K 0.01% -174 -10.4%
1032 L LOEWS CORP Financial Services 2,739 $292K 0.01% +113 +4.3%
1033 FDBC FIDELITY NATL FINL INC Financial Services 6,303 $292K 0.01% -348 -5.2%
1034 GBUG SPROTT ASSET MANAGEMENT LP Financial Services 6,123 $292K 0.01%
1035 SOLV SOLVENTUM CORP Healthcare 4,452 $291K 0.01% +1K +30.6%
1036 GSG ISHARES TR Financial Services 1,989 $288K 0.01% +187 +10.4%
1037 GSG ISHARES TR Financial Services 2,118 $287K 0.01% -267 -11.2%
1038 TRAX FIRST TR EXCH TRADED FD III Healthcare 9,989 $287K 0.01% +932 +10.3%
1039 EZRA RELIANCE INC Financial Services 941 $286K 0.01% -30 -3.1%
1040 CLBK COLUMBIA ETF TR I Financial Services 7,303 $285K 0.01%
1041 HAS HASBRO INC Consumer Cyclical 3,024 $283K 0.01% -667 -18.1%
1042 SNY SANOFI SA Healthcare 5,860 $282K 0.01% -312 -5.1%
1043 FNDB SCHWAB STRATEGIC TR 10,373 $282K 0.01% -18K -63.0%
1044 DGX QUEST DIAGNOSTICS INC Healthcare 1,435 $281K 0.01% +89 +6.6%
1045 ALC ALCON AG Healthcare 3,724 $281K 0.01% +136 +3.8%
1046 ODFL OLD DOMINION FREIGHT LINE IN Industrials 1,428 $279K 0.01% +62 +4.5%
1047 SPDR SERIES TRUST 6,137 $278K 0.01% +255 +4.3%
1048 CHD CHURCH & DWIGHT CO INC Consumer Defensive 2,977 $278K 0.01% +345 +13.1%
1049 RPRX ROYALTY PHARMA PLC Healthcare 5,790 $278K 0.01% NEW
1050 J P MORGAN EXCHANGE TRADED F 5,317 $278K 0.01% NEW
1051 NTES NETEASE COM INC Technology 2,474 $277K 0.01% NEW
1052 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 13,415 $277K 0.01% NEW
1053 TRAX FIRST TR EXCH TRADED FD III Healthcare 15,596 $277K 0.01% -5K -25.7%
1054 DDOG DATADOG INC Technology 2,337 $276K 0.01% -197 -7.8%
1055 FDBC FIDELITY COVINGTON TRUST Financial Services 6,158 $275K 0.01%
1056 ZBH ZIMMER BIOMET HOLDINGS INC Healthcare 3,044 $275K 0.01% +739 +32.1%
1057 OXY OCCIDENTAL PETE CORP Energy 6,411 $275K 0.01% NEW
1058 MTB M & T BK CORP Financial Services 1,316 $272K 0.01% +297 +29.1%
1059 UNM UNUM GROUP Financial Services 3,717 $271K 0.01% -1K -23.5%
1060 MUFG MITSUBISHI UFJ FINANCIAL GRO Financial Services 15,951 $271K 0.01% +2K +11.9%
1061 GSG ISHARES TR Financial Services 2,043 $270K 0.01% +471 +30.0%
1062 ASGI ABRDN GLOBAL INFRA INCOME FU Financial Services 12,069 $270K 0.01% -925 -7.1%
1063 CGNX COGNEX CORP Technology 5,504 $270K 0.01% NEW
1064 RGA REINSURANCE GROUP AMER INC Financial Services 1,318 $269K 0.01% -212 -13.9%
1065 FRDM EA SERIES TRUST 4,856 $265K 0.01%
1066 SGDM SPROTT ETF TRUST 3,500 $264K 0.01% -25 -0.7%
1067 MYRG MYR GROUP INC Industrials 933 $263K 0.01% NEW
1068 SMITH A O CORP 3,994 $263K 0.01% -1K -23.2%
1069 MUSA MURPHY USA INC Consumer Cyclical 532 $263K 0.01% -271 -33.8%
1070 MFC MANULIFE FINL CORP Financial Services 7,607 $262K 0.01% +52 +0.7%
1071 HNVR HANOVER INS GROUP INC Financial Services 1,511 $262K 0.01% -1K -43.7%
1072 MKC MCCORMICK & CO INC Consumer Defensive 5,182 $261K 0.01% NEW
1073 VST VISTRA CORP Utilities 1,730 $260K 0.01% +232 +15.5%
1074 EXEL EXELIXIS INC Healthcare 6,051 $260K 0.01% -6K -48.7%
1075 WTFC WINTRUST FINL CORP Financial Services 1,865 $259K 0.01% +240 +14.8%
1076 FER FERROVIAL SE Industrials 3,972 $258K 0.01% +173 +4.5%
1077 IONS IONIS PHARMACEUTICALS INC Healthcare 3,430 $258K 0.01% NEW
1078 LFUS LITTELFUSE INC Technology 758 $257K 0.01% -103 -12.0%
1079 YORK WTR CO 8,447 $257K 0.01% +147 +1.8%
1080 RDY DR REDDYS LABS LTD Healthcare 18,560 $257K 0.01% +849 +4.8%
1081 POWELL INDS INC 475 $257K 0.01% NEW
1082 BEN FRANKLIN TEMPLETON ETF TR Financial Services 6,444 $257K 0.01%
1083 FCFS FIRSTCASH HOLDINGS INC Financial Services 1,360 $256K 0.01% -65 -4.6%
1084 HRL HORMEL FOODS CORP Consumer Defensive 11,275 $255K 0.01% +99 +0.9%
1085 EXPE EXPEDIA GROUP INC Consumer Cyclical 1,101 $254K 0.01% -3K -70.3%
1086 PULTE GROUP INC 2,157 $254K 0.01% -515 -19.3%
1087 UGI UGI CORP NEW Utilities 6,948 $253K 0.01% +425 +6.5%
1088 WT WISDOMTREE TR Financial Services 2,930 $253K 0.01%
1089 APD AIR PRODUCTS AND CHEMICALS I Basic Materials 868 $252K 0.01% -131 -13.1%
1090 NDAQ NASDAQ INC Financial Services 2,959 $251K 0.01% -2K -44.0%
1091 BMNR BITMINE IMMERSION TECNOLOGIE Financial Services 12,692 $251K 0.01% +5K +64.5%
1092 CCL CARNIVAL CORP Consumer Cyclical 9,682 $251K 0.01% -379 -3.8%
1093 BLD TOPBUILD COR Industrials 711 $250K 0.01% NEW
1094 NTR NUTRIEN LTD Basic Materials 3,302 $249K 0.01%
1095 CLIP GLOBAL X FDS 2,482 $249K 0.01% NEW
1096 CCEP COCA COLA CONS INC Consumer Defensive 1,298 $249K 0.01% -64 -4.7%
1097 NXT NEXTPOWER INC Technology 2,064 $249K 0.01% NEW
1098 GSG ISHARES TR Financial Services 1,938 $249K 0.01%
1099 FISV FISERV INC Technology 4,450 $248K 0.01% +690 +18.4%
1100 GSG ISHARES TR Financial Services 2,631 $247K 0.00% -1K -33.1%
1101 ETX EATON VANCE ENHANCED EQUITY Financial Services 12,067 $247K 0.00% -105 -0.9%
1102 LPX LOUISIANA PAC CORP Basic Materials 3,388 $246K 0.00% +272 +8.7%
1103 FIVE FIVE BELOW INC Consumer Cyclical 1,078 $246K 0.00% -7 -0.7%
1104 QDF FLEXSHARES TR 3,114 $246K 0.00%
1105 CSGP COSTAR GROUP INC Real Estate 6,097 $246K 0.00% +697 +12.9%
1106 MTD METTLER TOLEDO INTERNATIONAL Healthcare 195 $246K 0.00% +31 +18.9%
1107 BE BLOOM ENERGY CORP Industrials 1,814 $246K 0.00% NEW
1108 TLN TALEN ENERGY CORP Utilities 768 $245K 0.00% +102 +15.3%
1109 MP MP MATERIALS CORP Basic Materials 5,075 $245K 0.00% +514 +11.3%
1110 MAIR MADISON SQUARE GARDEN ENTMT Industrials 4,152 $245K 0.00% -700 -14.4%
1111 GSG ISHARES TR Financial Services 4,240 $243K 0.00% -146 -3.3%
1112 GSG ISHARES TR Financial Services 4,925 $242K 0.00% NEW
1113 FDBC FIDELITY NATL INFORMATION SV Financial Services 5,165 $242K 0.00% +1K +36.0%
1114 STRL STERLING INFRASTRUCTURE INC Industrials 594 $242K 0.00% NEW
1115 ISHARES INC 4,410 $242K 0.00% +410 +10.2%
1116 OHI OMEGA HEALTHCARE INVS INC Real Estate 5,513 $242K 0.00% -740 -11.8%
1117 CAI CARIS LIFE SCIENCES INC Healthcare 13,500 $241K 0.00% NEW
1118 LNTH LANTHEUS HLDGS INC Healthcare 3,181 $241K 0.00% NEW
1119 ESE ESCO TECHNOLOGIES INC Technology 854 $240K 0.00% NEW
1120 CMS CMS ENERGY CORP Utilities 3,096 $240K 0.00% NEW
1121 SPTS SPDR SERIES TRUST 8,225 $240K 0.00% -29K -77.7%
1122 LIT GLOBAL X FDS 3,219 $239K 0.00% -351 -9.8%
1123 NYT NEW YORK LIFE INVESTMENTS ET Communication Services 7,006 $239K 0.00% -1K -14.3%
1124 GLP GLOBAL PMTS INC Energy 3,544 $238K 0.00% -116 -3.2%
1125 GSG ISHARES TR Financial Services 6,010 $238K 0.00% -133K -95.7%
1126 HYFI AB ACTIVE ETFS INC 6,388 $238K 0.00% -200 -3.0%
1127 GSG ISHARES TR Financial Services 2,005 $238K 0.00% -19 -0.9%
1128 BSAC BANCO SANTANDER SA Financial Services 21,023 $237K 0.00% +2K +13.2%
1129 VCR VANGUARD WORLD FD 660 $237K 0.00%
1130 CAVA CAVA GROUP INC Consumer Cyclical 2,907 $235K 0.00% NEW
1131 SPDR SERIES TRUST 1,597 $234K 0.00%
1132 INGR INGREDION INC Consumer Defensive 2,077 $234K 0.00% -1K -40.3%
1133 MDLN MEDLINE INC Healthcare 5,230 $233K 0.00% +205 +4.1%
1134 NNN NNN REIT INC Real Estate 5,537 $233K 0.00% -2K -21.7%
1135 ETHV VANECK ETF TRUST Financial Services 9,701 $232K 0.00% +978 +11.2%
1136 NWG NATWEST GROUP PLC Financial Services 15,586 $232K 0.00% +244 +1.6%
1137 LYG LLOYDS BANKING GROUP PLC Financial Services 46,144 $232K 0.00% -831 -1.8%
1138 TAPR INNOVATOR ETFS TRUST Financial Services 5,199 $232K 0.00%
1139 NXPI NXP SEMICONDUCTORS N V Technology 1,176 $232K 0.00% +123 +11.7%
1140 GSG ISHARES TR Financial Services 2,484 $231K 0.00% NEW
1141 PSO PEARSON PLC Communication Services 17,596 $231K 0.00% -3K -13.9%
1142 VNQI VANGUARD INTL EQUITY INDEX F 5,177 $230K 0.00% -281 -5.2%
1143 GSG ISHARES TR Financial Services 6,241 $230K 0.00% +544 +9.6%
1144 BBDO CAMECO CORP Financial Services 2,116 $230K 0.00% NEW
1145 VTRS VIATRIS INC Healthcare 16,990 $230K 0.00% +349 +2.1%
1146 CRH CRH PLC Basic Materials 2,179 $229K 0.00% -600 -21.6%
1147 IVR INVESCO EXCHANGE TRADED FD T Real Estate 2,215 $229K 0.00%
1148 VFMO VANGUARD WELLINGTON FD 1,161 $229K 0.00%
1149 GRNY TIDAL TRUST I 9,559 $228K 0.00% +198 +2.1%
1150 COHR COHERENT CORP Technology 956 $228K 0.00% NEW
1151 NYT NEW YORK LIFE INVESTMENTS ET Communication Services 6,256 $227K 0.00% -109 -1.7%
1152 CBNK CAPITAL GROUP NEW GEOGRAPHY Financial Services 7,194 $227K 0.00% NEW
1153 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 1,807 $227K 0.00% -117 -6.1%
1154 ACUITY INC 807 $226K 0.00% +204 +33.8%
1155 DOC HEALTHPEAK PROPERTIES INC Real Estate 13,737 $226K 0.00% +2K +14.5%
1156 ARTNA ARTESIAN RES CORP Utilities 7,058 $225K 0.00% NEW
1157 HIMS HIMS & HERS HEALTH INC Healthcare 10,803 $224K 0.00% -4K -26.1%
1158 WHITE MTNS INS GROUP LTD 102 $224K 0.00%
1159 STLD STEEL DYNAMICS INC Basic Materials 1,244 $224K 0.00% NEW
1160 ITT ITT INC Industrials 1,175 $224K 0.00% NEW
1161 CROWN HLDGS INC 2,224 $223K 0.00% -953 -30.0%
1162 ALB ALBEMARLE CORP Basic Materials 1,241 $223K 0.00% NEW
1163 IVOG VANGUARD ADMIRAL FDS INC 1,779 $222K 0.00% -128 -6.7%
1164 NB NIOCORP DEVS LTD Basic Materials 49,650 $221K 0.00% +7K +17.0%
1165 GSG ISHARES TR Financial Services 3,892 $221K 0.00%
1166 GLOBAL X FDS 9,235 $221K 0.00% NEW
1167 GLOBAL X FDS 4,567 $221K 0.00%
1168 AMKR AMKOR TECHNOLOGY INC Technology 4,901 $221K 0.00% NEW
1169 GLDM WORLD GOLD TR Financial Services 2,379 $221K 0.00% -2K -48.0%
1170 ON ON SEMICONDUCTOR CORP Technology 3,560 $220K 0.00% -586 -14.1%
1171 FSSL FS SPECIALTY LENDING FD 17,616 $220K 0.00% -2K -11.3%
1172 FDBC FIDELITY COVINGTON TRUST Financial Services 5,912 $220K 0.00%
1173 CRC CALIFORNIA BANCORP Energy 12,399 $220K 0.00%
1174 IBKR INTERACTIVE BROKERS GROUP IN Financial Services 3,276 $220K 0.00% NEW
1175 STE STERIS PLC Healthcare 990 $219K 0.00% -850 -46.2%
1176 WT WISDOMTREE TR Financial Services 4,189 $218K 0.00% -276 -6.2%
1177 WCN WASTE CONNECTIONS INC Industrials 1,343 $218K 0.00% -414 -23.6%
1178 SYF SYNCHRONY FINANCIAL Financial Services 3,203 $218K 0.00% -41 -1.3%
1179 MGV VANGUARD WORLD FD 1,500 $217K 0.00%
1180 LBTYK LIBERTY GLOBAL LTD Communication Services 18,533 $217K 0.00% -3K -12.2%
1181 SLAB SILICON LABORATORIES INC Technology 1,044 $217K 0.00% NEW
1182 TORO TORO CO Industrials 2,310 $216K 0.00% NEW
1183 EYE NATIONAL FUEL GAS CO Consumer Cyclical 2,296 $216K 0.00% -1K -35.9%
1184 BLK BLACKROCK ETF TRUST II Financial Services 4,250 $216K 0.00%
1185 BLK BLACKROCK ETF TRUST II Financial Services 9,782 $215K 0.00%
1186 DTM DT MIDSTREAM INC Energy 1,598 $215K 0.00% NEW
1187 GS GOLDMAN SACHS ETF TR Financial Services 3,700 $215K 0.00% -141 -3.7%
1188 CHRW C H ROBINSON WORLDWIDE IN Industrials 1,291 $214K 0.00% +35 +2.8%
1189 WT WISDOMTREE TR Financial Services 7,817 $214K 0.00% -4K -32.6%
1190 MSEX MIDDLESEX WTR CO Utilities 4,093 $213K 0.00% NEW
1191 JSTC TIDAL TRUST I 10,907 $213K 0.00% NEW
1192 GSG ISHARES TR Financial Services 3,025 $213K 0.00%
1193 EGO ELDORADO GOLD CORP NEW Basic Materials 6,199 $212K 0.00%
1194 PJT PJT PARTNERS INC Financial Services 1,517 $212K 0.00% +107 +7.6%
1195 CWEN CLEARWAY ENERGY INC Utilities 5,390 $211K 0.00% NEW
1196 BANK AMERICA CORP 177 $211K 0.00%
1197 MEDPACE HLDGS INC 439 $211K 0.00% -584 -57.1%
1198 OSK OSHKOSH CORP Industrials 1,426 $210K 0.00% NEW
1199 GLOBAL X FDS 6,302 $209K 0.00%
1200 ARKF ARK ETF TR 5,496 $209K 0.00% +252 +4.8%
1201 GSG ISHARES TR Financial Services 1,308 $209K 0.00%
1202 CHWY CHEWY INC Consumer Cyclical 7,732 $209K 0.00% NEW
1203 CWEN CLEARWAY ENERGY INC Utilities 5,302 $208K 0.00% NEW
1204 FNDC SCHWAB STRATEGIC TR 4,484 $208K 0.00% NEW
1205 AMDOCS LTD 3,184 $208K 0.00% NEW
1206 EFX EQUIFAX INC Industrials 1,153 $208K 0.00% +190 +19.7%
1207 EVEREST GROUP LTD 635 $208K 0.00% -404 -38.9%
1208 DEO DIAGEO PLC Consumer Defensive 2,774 $207K 0.00% -95 -3.3%
1209 LULU LULULEMON ATHLETICA INC Consumer Cyclical 1,348 $206K 0.00% -83 -5.8%
1210 GSG ISHARES TR Financial Services 2,050 $205K 0.00%
1211 RJF RAYMOND JAMES FINL INC Financial Services 1,414 $205K 0.00% +10 +0.7%
1212 PRA PROASSURANCE CORP Financial Services 8,258 $204K 0.00% NEW
1213 IEX IDEX CORP Industrials 1,074 $204K 0.00% -158 -12.8%
1214 RL RALPH LAUREN CORP Consumer Cyclical 591 $203K 0.00% -124 -17.3%
1215 GS GOLDMAN SACHS ETF TR Financial Services 2,907 $203K 0.00% NEW
1216 GSG ISHARES TR Financial Services 4,337 $203K 0.00%
1217 ALSN ALLISON TRANSMISSION HLDGS I Consumer Cyclical 1,730 $203K 0.00% NEW
1218 QTUM ETF SER SOLUTIONS 1,887 $202K 0.00% NEW
1219 BCS BARCLAYS PLC Financial Services 9,563 $202K 0.00% +700 +7.9%
1220 HXL HEXCEL CORP NEW Industrials 2,496 $202K 0.00% NEW
1221 BAX BAXTER INTL INC Healthcare 12,017 $202K 0.00% NEW
1222 NCDL NUVEEN CALIF AMT FREE MUNI I Financial Services 16,950 $202K 0.00%
1223 BMI BADGER METER INC Technology 1,322 $201K 0.00% NEW
1224 FDBC FIDELITY COVINGTON TRUST Financial Services 968 $201K 0.00% -173 -15.2%
1225 IBCP INDEPENDENCE RLTY TR INC Financial Services 13,505 $201K 0.00% +1K +8.3%
1226 XSD SPDR SERIES TRUST 616 $201K 0.00% NEW
1227 GSG ISHARES TR Financial Services 4,221 $200K 0.00%
1228 GWRS GLOBAL WTR RES INC Utilities 25,600 $194K 0.00% +6K +33.5%
1229 TFS FINL CORP 13,715 $193K 0.00% +2K +14.1%
1230 PTON PELOTON INTERACTIVE INC Consumer Cyclical 44,291 $190K 0.00% +19K +78.1%
1231 UEC URANIUM ENERGY CORP Energy 13,400 $181K 0.00% -6K -30.9%
1232 PDO PIMCO DYNAMIC INCOME OPRNTS Financial Services 13,677 $177K 0.00% -3K -15.7%
1233 NCDL NUVEEN CA DIVI ADV MUN Financial Services 15,168 $177K 0.00%
1234 VSTS VESTIS CORPORATION Industrials 22,142 $174K 0.00% +7K +45.5%
1235 NOMURA HLDGS INC 21,512 $170K 0.00% +613 +2.9%
1236 ADUR ADURO CLEAN TECHNOLOGIES INC Basic Materials 15,495 $163K 0.00% +3K +28.9%
1237 INFOSYS LTD 11,888 $161K 0.00% -1K -8.3%
1238 SYM CALL SYMBOTIC INC Industrials 10,500 $160K 0.00% NEW
1239 TRAX FIRST TR HIGH YIELD OPPRT 20 Healthcare 11,124 $151K 0.00%
1240 BBDO BANCO BRADESCO S A Financial Services 40,773 $149K 0.00% NEW
1241 VLY VALLEY NATL BANCORP Financial Services 12,097 $149K 0.00%
1242 ADT ADT INC DEL Industrials 22,597 $148K 0.00% -21K -48.1%
1243 SERA SERA PROGNOSTICS INC Healthcare 72,685 $148K 0.00%
1244 MPT MEDICAL PROPERTIES TRUST INC Financial Services 31,399 $145K 0.00% +3K +9.4%
1245 WIPRO LTD 65,473 $139K 0.00% +1K +1.9%
1246 AGNC AGNC INVT CORP Real Estate 13,224 $133K 0.00%
1247 FLO FLOWERS FOODS INC Consumer Defensive 16,116 $131K 0.00% -4K -18.6%
1248 MGTX MEIRAGTX HLDGS PLC Healthcare 15,140 $131K 0.00% +140 +0.9%
1249 GBDC GOLUB CAP BDC INC Financial Services 10,319 $131K 0.00% -68 -0.7%
1250 NOKIA CORP 15,518 $125K 0.00% +733 +5.0%
1251 FSK FS KKR CAP CORP Financial Services 11,876 $121K 0.00% -2K -14.6%
1252 PSKY PARAMOUNT SKYDANCE CORP Communication Services 13,366 $121K 0.00% -11K -46.2%
1253 JPC NUVEEN PFD & INCOME OPPORTUN Financial Services 15,312 $115K 0.00%
1254 HLN HALEON PLC Healthcare 11,514 $115K 0.00% +862 +8.1%
1255 JOBY JOBY AVIATION INC Industrials 13,856 $114K 0.00% -2K -14.8%
1256 DMA DESTRA MULTI-ALTERNATIVE FD Financial Services 13,794 $112K 0.00%
1257 MFG MIZUHO FINANCIAL GROUP INC Financial Services 14,016 $111K 0.00% +3K +24.9%
1258 BLK BLACKROCK MUNIHLDNGS CALI Financial Services 10,613 $110K 0.00%
1259 ERC ALLSPRING MULTI SECTOR INCOM Financial Services 12,071 $109K 0.00%
1260 RITM RITHM CAPITAL CORP Real Estate 10,857 $103K 0.00%
1261 BLK BLACKROCK ENHANCED EQUITY DI Financial Services 11,642 $100K 0.00% -125 -1.1%
1262 FRSH FRESHWORKS INC Technology 12,049 $97K 0.00% NEW
1263 DMAC DIAMEDICA THERAPEUTICS INC Healthcare 13,957 $94K 0.00% NEW
1264 WAL WESTERN UN CO Financial Services 10,759 $94K 0.00% NEW
1265 AAPL CALL APPLE INC Technology 13,500 $86K 0.00% NEW
1266 AEG AEGON LTD Financial Services 11,787 $86K 0.00% NEW
1267 CFFN CAPITOL FED FINL INC Financial Services 11,628 $83K 0.00% -798 -6.4%
1268 LAC LITHIUM AMERS CORP NEW Basic Materials 20,952 $83K 0.00% +5K +31.8%
1269 BLK BLACKROCK ENHANCED INTL DIV Financial Services 15,000 $81K 0.00% -396 -2.6%
1270 BCIC BCP INVESTMENT CORPORATION Financial Services 10,500 $79K 0.00%
1271 ARRY ARRAY TECHNOLOGIES INC Energy 10,914 $79K 0.00% NEW
1272 CCC CCC INTELLIGENT SOLUTIONS HL Technology 12,693 $76K 0.00% NEW
1273 MSOS ADVISORSHARES TR 21,113 $75K 0.00% -185 -0.9%
1274 SHOALS TECHNOLOGIES GROUP IN 11,334 $75K 0.00% NEW
1275 FSCO FS CREDIT OPPORTUNITIES CORP Financial Services 13,705 $70K 0.00% -5K -26.1%
1276 RWAY RUNWAY GROWTH FINANCE CORP Financial Services 10,000 $69K 0.00%
1277 NXDR NEXTDOOR HOLDINGS INC Communication Services 46,890 $66K 0.00% -45K -48.7%
1278 NIO NIO INC Consumer Cyclical 10,569 $64K 0.00% -1K -11.6%
1279 ACHR ARCHER AVIATION INC Industrials 11,912 $62K 0.00% NEW
1280 DIBS 1STDIBS COM INC Consumer Cyclical 11,000 $60K 0.00%
1281 ZETA CALL ZETA GLOBAL HOLDINGS CORP Technology 12,400 $56K 0.00% +800 +6.9%
1282 SG SWEETGREEN INC Consumer Cyclical 10,450 $54K 0.00% NEW
1283 NBXG NEUBERGER R/EST SECS INC FD Financial Services 18,001 $51K 0.00% NEW
1284 HCAT HEALTH CATALYST INC Healthcare 38,653 $49K 0.00%
1285 GRAB GRAB HOLDINGS LIMITED Technology 10,801 $40K 0.00% -139 -1.3%
1286 ABEV AMBEV SA Consumer Defensive 10,214 $30K 0.00% -5K -33.7%
1287 BYND BEYOND MEAT INC Consumer Defensive 29,766 $21K +20K +195.1%
1288 CLOV CLOVER HEALTH INVESTMENTS CO Healthcare 10,667 $19K +572 +5.7%
1289 AMC ENTMT HLDGS INC 17,654 $17K NEW
1290 SABR SABRE CORP Consumer Cyclical 10,434 $15K -157 -1.5%
1291 ALIT ALIGHT INC Technology 23,423 $14K NEW
1292 FFAI FARADAY FUTURE INTLGT ELEC I Consumer Cyclical 10,010 $3K NEW
1293 QUHUO LTD 11,306 $1K NEW
1294 AI CALL C3 AI INC Technology 21,000 $2 NEW
Sector Allocation
Financial Services 36.9%
Technology 23.3%
Industrials 7.0%
Real Estate 6.9%
Healthcare 6.6%
Communication Services 6.0%
Consumer Cyclical 5.7%
Energy 2.9%
Consumer Defensive 2.4%
Utilities 1.2%