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Composition Wealth, LLC

· CIK 0001585859
13F Portfolio $7.3B AUM 891 positions Filed Apr 8, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
88 New 343 Added 342 Reduced 62 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 SCHF SCHWAB STRATEGIC TR 15,506,947 $383.8M 5.27% +1.6M +11.3%
2 BND VANGUARD BD INDEX FDS 4,241,740 $312.4M 4.29% +1.2M +39.9%
3 SPYM SPDR SERIES TRUST 3,985,848 $305.1M 4.19% +787K +24.6%
4 AAPL APPLE INC Technology 763,357 $193.7M 2.66% +12K +1.6%
5 GSG ISHARES TR Financial Services 2,023,823 $192.2M 2.64% +228K +12.7%
6 BIL SPDR SERIES TRUST 1,995,891 $182.9M 2.51% +426K +27.1%
7 MSFT MICROSOFT CORP Technology 434,515 $160.8M 2.21% +14K +3.2%
8 GSG ISHARES TR Financial Services 2,067,115 $153.7M 2.11% +168K +8.8%
9 GSG ISHARES TR Financial Services 215,468 $140.7M 1.93% +106K +96.7%
10 IVR INVESCO QQQ TR Real Estate 224,787 $129.7M 1.78% -27K -10.6%
11 GS GOLDMAN SACHS ETF TR Financial Services 1,144,439 $114.7M 1.57% -136K -10.6%
12 GSG ISHARES TR Financial Services 2,079,525 $109.3M 1.50% +144K +7.4%
13 GSG ISHARES TR Financial Services 2,270,586 $108.1M 1.48% +239K +11.8%
14 IVR INVESCO EXCH TRADED FD TR II Real Estate 438,348 $104.2M 1.43% +54K +14.1%
15 NVDA NVIDIA CORPORATION Technology 567,381 $99.0M 1.36% +19K +3.5%
16 VTI VANGUARD INDEX FDS 305,028 $97.9M 1.34% +8K +2.6%
17 GSG ISHARES TR Financial Services 1,072,589 $97.1M 1.33% +438K +69.0%
18 AMZN AMAZON COM INC Consumer Cyclical 458,063 $95.4M 1.31% +29K +6.8%
19 GS GOLDMAN SACHS ETF TR Financial Services 1,866,239 $94.5M 1.30% +236K +14.5%
20 VCTR VICTORY PORTFOLIOS II Financial Services 2,166,552 $85.5M 1.17% -20K -0.9%
21 GOOGL ALPHABET INC Communication Services 287,762 $82.5M 1.13% -11K -3.8%
22 VOO VANGUARD INDEX FDS 130,673 $78.1M 1.07% -19K -12.5%
23 EMXC ISHARES INC 956,076 $75.2M 1.03% -74K -7.2%
24 VWO VANGUARD INTL EQUITY INDEX F 1,369,577 $74.0M 1.02% +387K +39.3%
25 VTEB VANGUARD MUN BD FDS 1,365,610 $68.1M 0.94% +1.2M +796.3%
26 IVR INVESCO EXCHANGE TRADED FD T Real Estate 399,687 $66.2M 0.91% +49K +14.1%
27 VTEC VANGUARD CALIF TAX FREE FDS 636,348 $63.0M 0.86% +69K +12.2%
28 VCTR VICTORY PORTFOLIOS II Financial Services 2,300,864 $60.5M 0.83% +606K +35.8%
29 GSG ISHARES TR Financial Services 277,079 $58.5M 0.80% -53K -16.1%
30 GSG ISHARES TR Financial Services 300,753 $57.7M 0.79% -109K -26.6%
31 GSG ISHARES TR Financial Services 563,677 $56.7M 0.78% -374K -39.9%
32 SPYG SPDR SERIES TRUST 573,057 $56.1M 0.77% -101K -15.0%
33 BSV VANGUARD BD INDEX FDS 684,544 $53.7M 0.74% +6K +0.9%
34 VEA VANGUARD TAX-MANAGED FDS 836,440 $53.6M 0.74% +15K +1.9%
35 GOOGL ALPHABET INC Communication Services 170,970 $49.2M 0.68% +22K +15.0%
36 GSG ISHARES TR Financial Services 344,533 $48.7M 0.67% +31K +10.1%
37 J P MORGAN EXCHANGE TRADED F 918,297 $47.9M 0.66% +27K +3.0%
38 GSG ISHARES TR Financial Services 482,175 $47.9M 0.66% +34K +7.6%
39 GSG ISHARES TR Financial Services 532,827 $46.2M 0.63% -61K -10.2%
40 STT STATE STR SPDR S&P 500 ETF T Financial Services 70,737 $46.0M 0.63% -6K -7.9%
41 SPMD SPDR SERIES TRUST 743,651 $44.0M 0.60% +113K +17.8%
42 DFIS DIMENSIONAL ETF TRUST 1,296,966 $43.7M 0.60% +79K +6.5%
43 GSG ISHARES TR Financial Services 441,120 $42.9M 0.59% -47K -9.6%
44 JPM JPMORGAN CHASE & CO Financial Services 133,569 $39.3M 0.54% -1K -0.8%
45 GSG ISHARES TR Financial Services 815,121 $37.7M 0.52% +34K +4.4%
46 META META PLATFORMS INC Communication Services 63,958 $36.6M 0.50% +4K +7.4%
47 GS GOLDMAN SACHS ETF TR Financial Services 717,558 $36.6M 0.50% NEW
48 CBNK CAPITAL GRP FIXED INCM ETF T Financial Services 1,447,179 $36.5M 0.50% +49K +3.5%
49 2023 ETF SERIES TRUST 1,000,871 $34.9M 0.48% +397K +65.7%
50 IVR INVESCO EXCH TRADED FD TR II Real Estate 326,254 $34.4M 0.47% -49K -13.1%
51 GSG ISHARES TR Financial Services 353,753 $34.4M 0.47% -36K -9.2%
52 BLK BLACKROCK ETF TRUST II Financial Services 645,623 $33.5M 0.46% +48K +8.0%
53 GSG ISHARES TR Financial Services 488,068 $33.0M 0.45% +291K +147.9%
54 BRK.A BERKSHIRE HATHAWAY INC DEL Financial Services 68,032 $32.6M 0.45% -3K -3.7%
55 XLF SELECT SECTOR SPDR TR 641,375 $31.7M 0.43% +41K +6.9%
56 GSG ISHARES TR Financial Services 221,090 $31.5M 0.43% -4K -1.6%
57 VB VANGUARD INDEX FDS 114,000 $29.9M 0.41% -5K -4.6%
58 IVR INVESCO EXCH TRADED FD TR II Real Estate 1,238,514 $29.6M 0.41% +43K +3.6%
59 J P MORGAN EXCHANGE TRADED F 366,799 $29.2M 0.40% +5K +1.5%
60 GSG ISHARES TR Financial Services 303,573 $29.0M 0.40% +7K +2.5%
61 WMT WALMART INC Consumer Defensive 231,083 $28.7M 0.39% -3K -1.4%
62 AVGO BROADCOM INC Technology 92,365 $28.6M 0.39% -3K -2.7%
63 JNJ JOHNSON & JOHNSON Healthcare 115,900 $28.3M 0.39% -2K -2.0%
64 BEN FRANKLIN TEMPLETON ETF TR Financial Services 1,032,109 $25.6M 0.35% NEW
65 COST COSTCO WHOLESALE CORPORATION Consumer Defensive 25,253 $25.2M 0.34%
66 WT WISDOMTREE TR Financial Services 594,399 $24.3M 0.33% -92K -13.4%
67 GSG ISHARES TR Financial Services 502,181 $23.9M 0.33% +27K +5.7%
68 BLK BLACKROCK ETF TRUST Financial Services 405,830 $23.6M 0.32% NEW
69 GLDM WORLD GOLD TR Financial Services 250,995 $23.3M 0.32%
70 SPSM SPDR SERIES TRUST 457,735 $22.1M 0.30% +76K +20.0%
71 PG PROCTER & GAMBLE CO Consumer Defensive 149,167 $21.5M 0.30% +6K +4.1%
72 AAL AMERICAN CENTY ETF TR Industrials 411,846 $20.5M 0.28% +35K +9.4%
73 STT STATE STR SPDR S&P MIDCAP 40 Financial Services 33,113 $20.4M 0.28% -1K -3.7%
74 LLY ELI LILLY & CO Healthcare 22,144 $20.4M 0.28% +1K +5.2%
75 GS GOLDMAN SACHS GROUP INC Financial Services 22,755 $19.3M 0.26% +295 +1.3%
76 VOOG VANGUARD ADMIRAL FDS INC 46,039 $18.8M 0.26% +317 +0.7%
77 SCHG SCHWAB STRATEGIC TR 641,756 $18.7M 0.26% +493K +330.3%
78 AKRE PROFESIONALLY MANAGED PORTFO 344,645 $18.2M 0.25% -237K -40.8%
79 GSG ISHARES TR Financial Services 145,288 $18.1M 0.25% +84K +135.5%
80 TSLA TESLA INC Consumer Cyclical 47,763 $17.8M 0.24% +2K +3.4%
81 CAT CATERPILLAR INC Industrials 24,974 $17.7M 0.24% +917 +3.8%
82 HD HOME DEPOT INC Consumer Cyclical 53,725 $17.7M 0.24% +587 +1.1%
83 GSG ISHARES TR Financial Services 40,637 $17.3M 0.24% -1K -2.6%
84 V VISA INC Financial Services 56,918 $17.2M 0.24% -707 -1.2%
85 XLK SELECT SECTOR SPDR TR 128,992 $17.1M 0.23% -4K -3.2%
86 TAPR INNOVATOR ETFS TRUST Financial Services 415,761 $16.5M 0.23% -58K -12.2%
87 MCHB MECHANICS BANCORP Financial Services 1,115,781 $16.5M 0.23%
88 IVR INVESCO EXCH TRADED FD TR II Real Estate 690,679 $15.9M 0.22% -704K -50.5%
89 TAPR INNOVATOR ETFS TRUST Financial Services 499,732 $15.8M 0.22% -80K -13.9%
90 GSG ISHARES TR Financial Services 147,785 $15.8M 0.22% +9K +6.4%
91 SPTS SPDR SERIES TRUST 536,598 $15.7M 0.21% +16K +3.2%
92 IEMG ISHARES INC 219,323 $15.3M 0.21% +20K +10.2%
93 JPST J P MORGAN EXCHANGE TRADED F 295,716 $15.0M 0.20% -14K -4.5%
94 VTV VANGUARD INDEX FDS 74,365 $14.6M 0.20% -7K -8.7%
95 GLD SPDR GOLD TR Financial Services 33,224 $14.3M 0.20% +3K +8.7%
96 ABBV ABBVIE INC Healthcare 65,314 $14.2M 0.20% +3K +4.5%
97 XOM EXXON MOBIL CORP Energy 83,461 $14.2M 0.19% +5K +7.0%
98 TROW T ROWE PRICE ETF INC Financial Services 396,884 $14.1M 0.19% +5K +1.4%
99 CVX CHEVRON CORPORATION Energy 67,632 $14.0M 0.19% -23K -25.7%
100 ESGV VANGUARD WORLD FD 120,791 $13.6M 0.19% -2K -1.7%
101 GSG ISHARES TR Financial Services 117,270 $13.3M 0.18% +2K +1.5%
102 VIGI VANGUARD SPECIALIZED FUNDS 61,594 $13.2M 0.18% -13K -17.9%
103 TRAX FIRST TR EXCH TRADED FD III Healthcare 253,946 $12.9M 0.18% -909K -78.2%
104 BANK AMERICA CORP 261,230 $12.7M 0.17% -14K -5.0%
105 DFSB DIMENSIONAL ETF TRUST 245,066 $12.7M 0.17% -83K -25.2%
106 UNP UNION PAC CORP Industrials 52,248 $12.7M 0.17%
107 DISNEY WALT CO 127,597 $12.3M 0.17% +39K +44.8%
108 EQIX EQUINIX INC Real Estate 12,531 $12.3M 0.17% +106 +0.8%
109 MRK MERCK & CO INC Healthcare 99,531 $12.0M 0.16% -4K -4.0%
110 NFLX NETFLIX INC. Communication Services 124,141 $11.9M 0.16% +33K +35.7%
111 GSG ISHARES TR Financial Services 223,119 $11.9M 0.16% -49K -18.0%
112 MCD MCDONALDS CORP Consumer Cyclical 37,932 $11.8M 0.16% -1K -3.7%
113 BRK.A BERKSHIRE HATHAWAY INC DEL Financial Services 16 $11.5M 0.16%
114 GS GOLDMAN SACHS ETF TR Financial Services 228,210 $11.3M 0.16% -63K -21.7%
115 TPL TEXAS PACIFIC LAND CORPORATI Energy 23,420 $11.1M 0.15% +614 +2.7%
116 GSG ISHARES TR Financial Services 66,330 $10.7M 0.15% -16K -19.1%
117 JCI JOHNSON CONTROLS INTERNATION Industrials 78,825 $10.3M 0.14% +1K +1.9%
118 SBUX STARBUCKS CORP Consumer Cyclical 111,200 $10.0M 0.14% +3K +3.2%
119 AAOI APPLIED MATLS INC Technology 28,841 $9.9M 0.14% +3K +12.5%
120 PEP PEPSICO INC Consumer Defensive 61,965 $9.6M 0.13% +5K +7.8%
121 VOOV VANGUARD ADMIRAL FDS INC 46,958 $9.6M 0.13% +815 +1.8%
122 AAL AMERICAN EXPRESS CO Industrials 31,434 $9.5M 0.13% -490 -1.5%
123 WAL WESTERN DIGITAL CORP Financial Services 34,732 $9.4M 0.13% +306 +0.9%
124 SPGI S&P GLOBAL INC Financial Services 22,075 $9.4M 0.13% -1K -5.0%
125 GSG ISHARES TR Financial Services 385,152 $9.3M 0.13% +243K +170.1%
126 WM WASTE MGMT INC DEL Industrials 40,377 $9.3M 0.13% +1K +2.6%
127 FDX FEDEX CORP Industrials 25,947 $9.2M 0.13% -140 -0.5%
128 DE DEERE & CO Industrials 16,259 $9.2M 0.13% +922 +6.0%
129 ISHARES INC 198,455 $9.0M 0.12% +4K +2.2%
130 NUBD NUSHARES ETF TR 401,307 $8.9M 0.12% +108K +36.8%
131 IVR INVESCO EXCHANGE TRADED FD T Real Estate 46,022 $8.8M 0.12% +30K +187.8%
132 ORCL ORACLE CORP Technology 59,395 $8.7M 0.12% -7K -10.8%
133 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 118,557 $8.6M 0.12% -2K -1.6%
134 GSG ISHARES TR Financial Services 70,771 $8.6M 0.12% -7K -9.5%
135 DUHP DIMENSIONAL ETF TRUST 229,565 $8.4M 0.12% +23K +11.2%
136 CCEP COCA COLA CO Consumer Defensive 110,818 $8.4M 0.12% -70K -38.8%
137 VO VANGUARD INDEX FDS 28,656 $8.2M 0.11% +5K +19.3%
138 J P MORGAN EXCHANGE TRADED F 172,951 $8.1M 0.11%
139 HON HONEYWELL INTL INC Industrials 95,166 $8.1M 0.11% +2K +2.4%
140 GSG ISHARES TR Financial Services 330,998 $8.0M 0.11% +120K +57.0%
141 BATRA ATLANTA BRAVES HLDGS INC Communication Services 185,159 $7.9M 0.11% +2K +1.1%
142 GSG ISHARES TR Financial Services 31,659 $7.9M 0.11% +3K +8.8%
143 AMRZ AMRIZE LTD Basic Materials 138,494 $7.8M 0.11% +4K +3.2%
144 ACN ACCENTURE PLC IRELAND Technology 38,091 $7.6M 0.10% -1K -3.1%
145 GSG ISHARES TR Financial Services 165,268 $7.5M 0.10% +10K +6.3%
146 VSGX VANGUARD WORLD FD 104,182 $7.5M 0.10% -7K -6.1%
147 PH PARKER-HANNIFIN CORP Industrials 8,304 $7.4M 0.10% +542 +7.0%
148 ADI ANALOG DEVICES INC Technology 23,286 $7.4M 0.10% +3K +17.1%
149 SDY SPDR SERIES TRUST 50,452 $7.4M 0.10% -6K -10.4%
150 C CITIGROUP INC Financial Services 63,325 $7.2M 0.10% -1K -1.9%
151 TAPR INNOVATOR ETFS TRUST Financial Services 164,790 $7.0M 0.10% -13K -7.5%
152 IVOG VANGUARD ADMIRAL FDS INC 56,181 $7.0M 0.10%
153 TRAX FIRST TR EXCH TRADED FD III Healthcare 143,476 $7.0M 0.10% -6K -4.0%
154 GSG ISHARES TR Financial Services 150,550 $7.0M 0.10% +70K +87.0%
155 MA MASTERCARD INCORPORATED Financial Services 13,929 $7.0M 0.10% -272 -1.9%
156 BMY BRISTOL-MYERS SQUIBB CO Healthcare 111,818 $6.8M 0.09%
157 GSG ISHARES TR Financial Services 265,068 $6.7M 0.09% +45K +20.6%
158 SNDK SANDISK CORP Technology 10,443 $6.6M 0.09% +144 +1.4%
159 SCHD SCHWAB STRATEGIC TR 215,108 $6.6M 0.09% -5K -2.3%
160 VXUS VANGUARD STAR FDS 84,930 $6.5M 0.09% +2K +2.7%
161 KEYS KEYSIGHT TECHNOLOGIES INC Technology 22,813 $6.4M 0.09% +1K +6.5%
162 PFE PFIZER INC Healthcare 228,295 $6.4M 0.09% -7K -2.8%
163 CSCO CISCO SYS INC Technology 82,581 $6.4M 0.09% +2K +1.9%
164 DFIV DIMENSIONAL ETF TRUST 120,530 $6.4M 0.09% +5K +4.7%
165 TJX COS INC NEW 39,724 $6.3M 0.09% +3K +9.1%
166 GEV GE VERNOVA INC Utilities 7,191 $6.3M 0.09% -192 -2.6%
167 GSG ISHARES TR Financial Services 29,130 $6.2M 0.09%
168 CHUBB LTD SWITZ 18,990 $6.2M 0.09% +2K +14.2%
169 RTX RTX CORPORATION Industrials 31,521 $6.1M 0.08% -4K -12.0%
170 GSG ISHARES TR Financial Services 57,214 $6.1M 0.08% -99K -63.4%
171 VXF VANGUARD INDEX FDS 29,005 $6.0M 0.08% -3K -8.8%
172 PRKS UNITED PARCEL SVCS INC Consumer Cyclical 60,579 $6.0M 0.08% -2K -4.0%
173 PSX PHILLIPS 66 Energy 32,117 $5.9M 0.08% -696 -2.1%
174 GSG ISHARES TR Financial Services 54,617 $5.8M 0.08% -143K -72.3%
175 STT STATE STR SPDR DOW JONES IND Financial Services 12,476 $5.8M 0.08% -15K -54.4%
176 GILD GILEAD SCIENCES INC Healthcare 41,440 $5.8M 0.08% +4K +11.0%
177 VYMI VANGUARD WHITEHALL FDS 38,590 $5.7M 0.08% +1K +3.9%
178 FDBC FIDELITY COVINGTON TRUST Financial Services 167,558 $5.7M 0.08% +3K +2.0%
179 R RYDER SYS INC Industrials 27,597 $5.6M 0.08%
180 FDBC FIDELITY MERRIMACK STR TR Financial Services 122,098 $5.6M 0.08% +78K +175.7%
181 DETX LIBERTY MEDIA CORP DEL Technology 65,050 $5.5M 0.08%
182 LIN LINDE PLC Basic Materials 11,024 $5.5M 0.07% +1K +15.6%
183 DFSU DIMENSIONAL ETF TRUST 132,540 $5.4M 0.07% -10K -7.2%
184 TRV TRAVELERS COMPANIES INC Financial Services 18,199 $5.3M 0.07%
185 DIHP DIMENSIONAL ETF TRUST 164,456 $5.3M 0.07% +27K +19.5%
186 GSG ISHARES TR Financial Services 74,310 $5.2M 0.07% -2K -3.2%
187 J P MORGAN EXCHANGE TRADED F 70,998 $5.1M 0.07% -1K -1.9%
188 TOST TOAST INC Technology 192,043 $5.1M 0.07%
189 BUZZ BOEING CO 25,506 $5.1M 0.07% +361 +1.4%
190 CSX CSX CORP Industrials 123,124 $5.1M 0.07% -4K -3.4%
191 GSG ISHARES TR Financial Services 64,194 $5.0M 0.07% +2K +3.4%
192 ITW ILLINOIS TOOL WKS INC Industrials 18,864 $4.9M 0.07% -900 -4.5%
193 VUG VANGUARD INDEX FDS 11,130 $4.9M 0.07% -2K -15.1%
194 SCHE SCHWAB STRATEGIC TR 144,803 $4.8M 0.07% +20K +16.2%
195 GE GE AEROSPACE Industrials 16,782 $4.8M 0.07% +195 +1.2%
196 VMBS VANGUARD SCOTTSDALE FDS 101,382 $4.8M 0.07%
197 COP CONOCOPHILLIPS Energy 35,722 $4.7M 0.07% -4K -9.2%
198 AMD ADVANCED MICRO DEVICES INC Technology 23,083 $4.7M 0.06% +809 +3.6%
199 LOWES COS INC 19,651 $4.6M 0.06% -616 -3.0%
200 SPDR INDEX SHS FDS 92,969 $4.6M 0.06% -10K -9.3%
201 CI THE CIGNA GROUP Healthcare 17,268 $4.6M 0.06%
202 UBER UBER TECHNOLOGIES INC Technology 60,698 $4.4M 0.06% -724 -1.2%
203 GSG ISHARES TR Financial Services 28,729 $4.3M 0.06% -778 -2.6%
204 SYY SYSCO CORP Consumer Defensive 60,259 $4.3M 0.06% -6K -8.5%
205 GSG ISHARES TR Financial Services 184,364 $4.3M 0.06% +6K +3.3%
206 TAPR INNOVATOR ETFS TRUST Financial Services 92,709 $4.3M 0.06% -16K -14.8%
207 NOW SERVICENOW INC Technology 40,663 $4.3M 0.06% +14K +49.9%
208 VERX VERTEX PHARMACEUTICALS INC Technology 9,518 $4.3M 0.06% -316 -3.2%
209 PLD PROLOGIS INC. Real Estate 31,792 $4.2M 0.06% +9K +37.7%
210 DFLV DIMENSIONAL ETF TRUST 117,677 $4.2M 0.06% -93K -44.1%
211 GSG ISHARES TR Financial Services 48,256 $4.2M 0.06% NEW
212 COHR COHERENT CORP Technology 17,487 $4.2M 0.06% +1K +6.2%
213 SCHWAB CHARLES CORP 44,206 $4.2M 0.06% -2K -4.2%
214 GSG ISHARES TR Financial Services 28,724 $4.1M 0.06% +27K +1833.0%
215 BLK BLACKROCK ETF TRUST II Financial Services 80,746 $4.1M 0.06% +54K +198.1%
216 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 84,866 $4.0M 0.06% -3K -3.0%
217 APO APOLLO GLOBAL MGMT INC Financial Services 35,439 $3.9M 0.05% +14K +68.9%
218 YUM YUM BRANDS INC Consumer Cyclical 25,209 $3.9M 0.05% +862 +3.5%
219 TTWO TAKE-TWO INTERACTIVE SOFTWAR Communication Services 19,668 $3.9M 0.05% -2K -9.7%
220 PANW PALO ALTO NETWORKS INC Technology 24,210 $3.9M 0.05% +1K +6.1%
221 WABTEC 15,482 $3.9M 0.05%
222 GSG ISHARES TR Financial Services 67,683 $3.8M 0.05% -8K -11.1%
223 BWXT BWX TECHNOLOGIES INC Industrials 18,686 $3.8M 0.05%
224 REGN REGENERON PHARMACEUTICALS Healthcare 4,897 $3.8M 0.05% +1K +30.9%
225 AMGN AMGEN INC Healthcare 10,615 $3.7M 0.05% +154 +1.5%
226 VCIT VANGUARD SCOTTSDALE FDS 44,908 $3.7M 0.05% -6K -11.9%
227 DFSD DIMENSIONAL ETF TRUST 77,365 $3.7M 0.05% -37K -32.2%
228 DFEV DIMENSIONAL ETF TRUST 102,680 $3.7M 0.05% +4K +4.0%
229 PIMCO ETF TR 39,599 $3.7M 0.05% -4K -9.6%
230 GSG ISHARES TR Financial Services 11,116 $3.7M 0.05% -1K -11.3%
231 SCHM SCHWAB STRATEGIC TR 117,208 $3.6M 0.05% +4K +3.6%
232 GLW CORNING INC Technology 26,647 $3.6M 0.05% +248 +0.9%
233 WT WISDOMTREE TR Financial Services 72,508 $3.6M 0.05% -78K -51.9%
234 PIMCO ETF TR 136,746 $3.6M 0.05% -105K -43.3%
235 J P MORGAN EXCHANGE TRADED F 30,556 $3.6M 0.05% -3K -9.3%
236 EMR EMERSON ELEC CO Industrials 26,824 $3.5M 0.05% +412 +1.6%
237 MU MICRON TECHNOLOGY INC Technology 10,316 $3.5M 0.05% +4K +55.6%
238 MS MORGAN STANLEY Financial Services 21,177 $3.5M 0.05% +2K +7.7%
239 GSG ISHARES TR Financial Services 41,754 $3.4M 0.05% +10K +30.8%
240 ESSEX PPTY TR INC 14,242 $3.4M 0.05% -125 -0.9%
241 OREILLY AUTOMOTIVE INC 37,004 $3.4M 0.05% +5K +13.9%
242 ETN EATON CORP PLC Industrials 9,472 $3.4M 0.05% -510 -5.1%
243 GSG ISHARES TR Financial Services 9,342 $3.3M 0.05% +7K +277.4%
244 GSG ISHARES TR Financial Services 142,265 $3.3M 0.04% +47K +49.4%
245 BX BLACKSTONE INC Financial Services 28,148 $3.2M 0.04% -4K -13.5%
246 GSG ISHARES GOLD TR Financial Services 36,140 $3.2M 0.04% +7K +22.5%
247 PLTR PALANTIR TECHNOLOGIES INC Technology 21,732 $3.2M 0.04% -292 -1.3%
248 MCO MOODYS CORP Financial Services 7,130 $3.1M 0.04% +202 +2.9%
249 WFC WELLS FARGO & CO Financial Services 39,067 $3.1M 0.04% -2K -4.8%
250 KOLD PROSHARES TR Financial Services 50,829 $3.1M 0.04% -4K -6.9%
251 TEL TE CONNECTIVITY PLC Technology 14,819 $3.1M 0.04%
252 VOE VANGUARD INDEX FDS 16,765 $3.1M 0.04% +95 +0.6%
253 CRM SALESFORCE INC Technology 16,453 $3.1M 0.04% +2K +10.3%
254 LPX LOUISIANA PAC CORP Basic Materials 41,795 $3.0M 0.04%
255 GSG ISHARES TR Financial Services 64,267 $3.0M 0.04% -6K -8.1%
256 VGT VANGUARD WORLD FD 4,144 $2.9M 0.04% -143 -3.3%
257 GSG ISHARES TR Financial Services 67,727 $2.9M 0.04% -10K -13.0%
258 MAR MARRIOTT INTL INC NEW Consumer Cyclical 8,735 $2.9M 0.04% +1K +16.4%
259 GSG ISHARES TR Financial Services 124,309 $2.8M 0.04% +17K +16.2%
260 TMO THERMO FISHER SCIENTIFIC INC Healthcare 5,794 $2.8M 0.04% -109 -1.9%
261 CEG CONSTELLATION ENERGY CORP Utilities 10,170 $2.8M 0.04% -490 -4.6%
262 ECL ECOLAB INC Basic Materials 10,574 $2.8M 0.04% +1K +14.2%
263 TT TRANE TECHNOLOGIES PLC Industrials 6,692 $2.8M 0.04% -145 -2.1%
264 VBR VANGUARD INDEX FDS 12,771 $2.8M 0.04% -532 -4.0%
265 VNQ VANGUARD INDEX FDS 31,178 $2.8M 0.04% +13K +75.8%
266 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 8,174 $2.8M 0.04% +2K +42.2%
267 EBAY EBAY INC. Consumer Cyclical 30,030 $2.7M 0.04% +607 +2.1%
268 GSG ISHARES TR Financial Services 26,562 $2.7M 0.04% -347 -1.3%
269 GSG ISHARES TR Financial Services 20,243 $2.7M 0.04% +502 +2.5%
270 SIMON PPTY GROUP INC NEW 14,283 $2.7M 0.04% -115 -0.8%
271 IVR PUT INVESCO QQQ TR Real Estate 4,600 $2.7M 0.04% +4K +475.0%
272 MAIR MADISON SQUARE GRDN SPRT COR Industrials 8,252 $2.7M 0.04% -204 -2.4%
273 NEE NEXTERA ENERGY INC Utilities 28,530 $2.6M 0.04% -510 -1.8%
274 VEU VANGUARD INTL EQUITY INDEX F 35,193 $2.6M 0.04% +3K +10.6%
275 INTU INTUIT Technology 6,106 $2.6M 0.04% -2K -26.8%
276 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 43,074 $2.6M 0.04% -887 -2.0%
277 GSG ISHARES TR Financial Services 23,233 $2.6M 0.04% -2K -8.4%
278 ETHV VANECK ETF TRUST Financial Services 62,546 $2.5M 0.04% -18K -22.0%
279 IVOV VANGUARD ADMIRAL FDS INC 24,933 $2.5M 0.04%
280 LNG CHENIERE ENERGY INC Energy 8,779 $2.5M 0.03% -139 -1.6%
281 VLO CALL VALERO ENERGY CORP Energy 10,000 $2.5M 0.03% NEW
282 VZ VERIZON COMMUNICATIONS INC Communication Services 49,123 $2.5M 0.03% -120K -70.9%
283 INTC INTEL CORP Technology 54,698 $2.4M 0.03% +2K +3.7%
284 SMTC SEMTECH CORP Technology 30,888 $2.4M 0.03%
285 CDNS CADENCE DESIGN SYSTEM INC Technology 8,446 $2.3M 0.03% +848 +11.2%
286 ABT ABBOTT LABORATORIES Healthcare 22,837 $2.3M 0.03% -3K -11.9%
287 DELL DELL TECHNOLOGIES INC Technology 14,212 $2.3M 0.03%
288 MRSH MARSH & MCLENNAN COS INC Financial Services 13,398 $2.3M 0.03% -491 -3.5%
289 IVR INVESCO EXCH TRADED FD TR II Real Estate 104,884 $2.3M 0.03% -30K -22.0%
290 RDNT RADNET INC Healthcare 40,706 $2.3M 0.03% +36K +713.6%
291 UNH UNITEDHEALTH GROUP INC Healthcare 8,377 $2.3M 0.03% -276 -3.2%
292 SPTM SPDR SERIES TRUST 27,719 $2.2M 0.03% +5K +22.2%
293 CME CME GROUP INC Financial Services 7,416 $2.2M 0.03% +210 +2.9%
294 ROST ROSS STORES INC Consumer Cyclical 9,917 $2.1M 0.03% +85 +0.9%
295 SOJF SOUTHERN CO Utilities 21,884 $2.1M 0.03% +2K +11.5%
296 BKNG BOOKING HOLDINGS INC Consumer Cyclical 500 $2.1M 0.03%
297 BSX BOSTON SCIENTIFIC CORP Healthcare 33,377 $2.1M 0.03% +4K +12.3%
298 VCSH VANGUARD SCOTTSDALE FDS 26,344 $2.1M 0.03% -26K -49.9%
299 GSG ISHARES TR Financial Services 18,273 $2.1M 0.03% NEW
300 FNDF SCHWAB STRATEGIC TR 42,268 $2.1M 0.03% -4K -8.7%
301 SHW SHERWIN WILLIAMS CO Basic Materials 6,428 $2.1M 0.03% -849 -11.7%
302 ETHV VANECK ETF TRUST Financial Services 5,351 $2.1M 0.03% +52 +1.0%
303 GSG ISHARES TR Financial Services 18,288 $2.0M 0.03% +11K +165.7%
304 GSG ISHARES TR Financial Services 91,379 $2.0M 0.03% +32K +55.1%
305 VIGI VANGUARD WHITEHALL FDS 22,383 $2.0M 0.03% +1K +6.1%
306 GSG ISHARES TR Financial Services 19,555 $2.0M 0.03% -43K -68.8%
307 COIN COINBASE GLOBAL INC Financial Services 11,147 $1.9M 0.03% +9K +467.0%
308 J P MORGAN EXCHANGE TRADED F 41,923 $1.9M 0.03% -2K -5.2%
309 SPDR SERIES TRUST 13,471 $1.9M 0.03% +12K +853.4%
310 SCHV SCHWAB STRATEGIC TR 62,423 $1.9M 0.03% -943 -1.5%
311 GSG ISHARES TR Financial Services 11,161 $1.9M 0.03% -2K -14.3%
312 TAPR INNOVATOR ETFS TRUST Financial Services 72,416 $1.9M 0.03% -10K -12.3%
313 SPDR INDEX SHS FDS 41,832 $1.8M 0.03% -4K -8.2%
314 DHR DANAHER CORP DEL Healthcare 9,589 $1.8M 0.03% -113 -1.2%
315 WPM WHEATON PRECIOUS METALS CORP Basic Materials 13,618 $1.8M 0.02% +513 +3.9%
316 TEX TEREX CORP NEW Industrials 29,810 $1.8M 0.02%
317 CBNK CAPITAL ONE FINL CORP Financial Services 9,642 $1.8M 0.02% +554 +6.1%
318 DBEF DBX ETF TR 35,243 $1.7M 0.02%
319 TAPR INNOVATOR ETFS TRUST Financial Services 63,059 $1.7M 0.02% -17K -20.9%
320 SPDW SPDR INDEX SHS FDS 38,061 $1.7M 0.02% +1K +3.9%
321 GSG ISHARES TR Financial Services 33,300 $1.7M 0.02% -290 -0.9%
322 FORD MTR CO 150,196 $1.7M 0.02%
323 GSG ISHARES TR Financial Services 32,384 $1.7M 0.02% -2K -6.9%
324 GSG ISHARES TR Financial Services 24,442 $1.7M 0.02% +311 +1.3%
325 GSG ISHARES TR Financial Services 33,738 $1.7M 0.02% -5K -12.7%
326 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 81,354 $1.7M 0.02% +15K +22.0%
327 XLC SELECT SECTOR SPDR TR 15,332 $1.7M 0.02% -501 -3.2%
328 XOM PUT EXXON MOBIL CORP Energy 10,000 $1.7M 0.02% NEW
329 PYPL PAYPAL HLDGS INC Financial Services 37,356 $1.7M 0.02% -2K -3.9%
330 SPIB SPDR SERIES TRUST 50,203 $1.7M 0.02% +23K +85.7%
331 LMT LOCKHEED MARTIN CORP Industrials 2,774 $1.7M 0.02% -15 -0.5%
332 RACE FERRARI N V Consumer Cyclical 4,935 $1.7M 0.02% +49 +1.0%
333 SHEL SHELL PLC Energy 17,925 $1.7M 0.02% -2K -10.8%
334 VIOV VANGUARD ADMIRAL FDS INC 16,225 $1.7M 0.02%
335 IVR INVESCO EXCH TRADED FD TR II Real Estate 33,228 $1.6M 0.02% +15K +79.8%
336 ASML ASML HLDG NV Technology 1,245 $1.6M 0.02% +437 +54.1%
337 TAPR INNOVATOR ETFS TRUST Financial Services 85,461 $1.6M 0.02%
338 ABNB AIRBNB INC Consumer Cyclical 12,806 $1.6M 0.02%
339 VV VANGUARD INDEX FDS 5,357 $1.6M 0.02%
340 GSG ISHARES TR Financial Services 12,454 $1.6M 0.02% -637 -4.9%
341 VLO VALERO ENERGY CORP Energy 6,456 $1.6M 0.02% +3K +115.2%
342 GSG ISHARES TR Financial Services 17,178 $1.6M 0.02% -8K -31.9%
343 NVT NVENT ELEC PLC Industrials 13,433 $1.6M 0.02% +1K +11.9%
344 MARA MARATHON PETE CORP Financial Services 6,395 $1.6M 0.02%
345 AVBH AVIDBANK HLDGS INC Financial Services 54,200 $1.5M 0.02% -11K -16.9%
346 BFST INTERNATIONAL BUSINESS MACHS Financial Services 6,372 $1.5M 0.02% -1K -15.3%
347 SCHX SCHWAB STRATEGIC TR 59,881 $1.5M 0.02% +25K +70.9%
348 J P MORGAN EXCHANGE TRADED F 22,542 $1.5M 0.02% -196 -0.9%
349 GSG ISHARES TR Financial Services 35,850 $1.5M 0.02% -554 -1.5%
350 HOOD ROBINHOOD MKTS INC Financial Services 21,831 $1.5M 0.02% NEW
351 SOFI SOFI TECHNOLOGIES INC Financial Services 95,082 $1.5M 0.02% +4K +4.7%
352 PM PHILIP MORRIS INTL INC Consumer Defensive 9,116 $1.5M 0.02% -127 -1.4%
353 JQUA J P MORGAN EXCHANGE TRADED F 24,569 $1.5M 0.02% -677 -2.7%
354 FNV FRANCO NEV CORP Basic Materials 6,091 $1.5M 0.02%
355 TWLO TWILIO INC Communication Services 11,955 $1.5M 0.02% +87 +0.7%
356 WT WISDOMTREE TR Financial Services 28,591 $1.5M 0.02% +2K +7.8%
357 GSG ISHARES TR Financial Services 31,951 $1.5M 0.02% -7K -17.0%
358 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 11,767 $1.5M 0.02% +1K +12.8%
359 NKE NIKE INC Consumer Cyclical 27,919 $1.5M 0.02% -1K -4.8%
360 MCK MCKESSON CORP Healthcare 1,701 $1.5M 0.02% +47 +2.8%
361 SCHB SCHWAB STRATEGIC TR 58,228 $1.5M 0.02% -8K -12.4%
362 AME AMETEK INC Industrials 6,708 $1.4M 0.02% +103 +1.6%
363 QCOM QUALCOMM INC Technology 11,092 $1.4M 0.02% -6K -34.0%
364 VIOO VANGUARD ADMIRAL FDS INC 12,186 $1.4M 0.02%
365 GSG ISHARES TR Financial Services 9,961 $1.4M 0.02% +3K +52.2%
366 VBIL VANGUARD INSTL INDEX FD 18,166 $1.4M 0.02% -7K -26.7%
367 ISRG INTUITIVE SURGICAL INC Healthcare 2,949 $1.4M 0.02% +147 +5.2%
368 TXN TEXAS INSTRS INC Technology 6,957 $1.4M 0.02% +78 +1.1%
369 AAL AMERICAN WTR WKS CO INC NEW Industrials 9,921 $1.4M 0.02% -2K -14.7%
370 NVR NVR INC Consumer Cyclical 204 $1.3M 0.02% -6 -2.9%
371 TAPR INNOVATOR ETFS TRUST Financial Services 39,646 $1.3M 0.02% -207 -0.5%
372 GSG ISHARES TR Financial Services 7,490 $1.3M 0.02% -4K -36.5%
373 BIV VANGUARD BD INDEX FDS 17,052 $1.3M 0.02% NEW
374 CARR CARRIER GLOBAL CORPORATION Industrials 23,317 $1.3M 0.02% -2K -7.0%
375 MDLZ MONDELEZ INTL INC Consumer Defensive 22,734 $1.3M 0.02% -5K -16.7%
376 GSG ISHARES TR Financial Services 10,898 $1.3M 0.02% +6K +105.1%
377 TRAX FIRST TR EXCHANGE TRAD FD VI Healthcare 44,658 $1.3M 0.02% -8K -14.4%
378 CBC CENTRAL BANCOMPANY Financial Services 53,401 $1.3M 0.02% NEW
379 VOT VANGUARD INDEX FDS 4,903 $1.3M 0.02%
380 TMUS T-MOBILE US INC Communication Services 5,910 $1.2M 0.02% +288 +5.1%
381 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 20,631 $1.2M 0.02%
382 T AT&T INC Communication Services 42,333 $1.2M 0.02% -7K -14.3%
383 GSG ISHARES TR Financial Services 10,345 $1.2M 0.02% +556 +5.7%
384 ETHV VANECK ETF TRUST Financial Services 13,271 $1.2M 0.02% -1K -7.8%
385 PNR PENTAIR PLC Industrials 13,963 $1.2M 0.02% +483 +3.6%
386 LRCX LAM RESEARCH CORP Technology 5,681 $1.2M 0.02% +1K +27.9%
387 NSC NORFOLK SOUTHN CORP Industrials 4,217 $1.2M 0.02% -570 -11.9%
388 SPEM SPDR INDEX SHS FDS 25,756 $1.2M 0.02% -6K -18.0%
389 IVR INVESCO EXCHANGE TRADED FD T Real Estate 18,004 $1.2M 0.02%
390 GSG ISHARES TR Financial Services 23,568 $1.2M 0.02% -22K -48.4%
391 PAYX PAYCHEX INC Industrials 12,818 $1.2M 0.02% -1K -9.7%
392 EXE EXPAND ENERGY CORPORATION Energy 10,680 $1.2M 0.02% -208 -1.9%
393 SLYV SPDR SERIES TRUST 12,217 $1.2M 0.02%
394 BBDO CAMECO CORP Financial Services 10,637 $1.2M 0.02%
395 HCA HCA HEALTHCARE INC Healthcare 2,437 $1.2M 0.02% -42 -1.7%
396 ADP AUTOMATIC DATA PROCESSING IN Industrials 5,670 $1.2M 0.02% -2K -21.6%
397 IVR INVESCO EXCHANGE TRADED FD T Real Estate 22,456 $1.1M 0.02% -278 -1.2%
398 MDT MEDTRONIC PLC Healthcare 13,156 $1.1M 0.02% -16K -55.1%
399 GSG ISHARES TR Financial Services 29,187 $1.1M 0.02% NEW
400 XYL XYLEM INC Industrials 9,504 $1.1M 0.02% -247 -2.5%
401 TTAN SERVICETITAN INC Technology 17,895 $1.1M 0.02% +5K +38.8%
402 VOYA VOYA FINANCIAL INC Financial Services 16,613 $1.1M 0.02% -891 -5.1%
403 FNDC SCHWAB STRATEGIC TR 24,478 $1.1M 0.02% +260 +1.1%
404 NET CLOUDFLARE INC Technology 5,489 $1.1M 0.02% +80 +1.5%
405 CTVA CORTEVA INC Basic Materials 13,510 $1.1M 0.02% -500 -3.6%
406 ISHARES INC 20,624 $1.1M 0.02% -2K -9.3%
407 TDG TRANSDIGM GROUP INC Industrials 965 $1.1M 0.01% +49 +5.3%
408 TAPR INNOVATOR ETFS TRUST Financial Services 27,832 $1.1M 0.01% -175 -0.6%
409 LITE LUMENTUM HLDGS INC Technology 1,584 $1.1M 0.01% -145 -8.4%
410 GD GENERAL DYNAMICS CORP Industrials 3,213 $1.1M 0.01% +214 +7.1%
411 ALL ALLSTATE CORP Financial Services 5,199 $1.1M 0.01% +263 +5.3%
412 KLAC KLA CORP Technology 732 $1.1M 0.01% +164 +28.9%
413 TAPR INNOVATOR ETFS TRUST Financial Services 50,781 $1.1M 0.01%
414 GBUG SPROTT ASSET MANAGEMENT LP Financial Services 30,069 $1.1M 0.01%
415 HSBC HLDGS PLC 12,874 $1.1M 0.01% -2K -16.1%
416 VGK VANGUARD INTL EQUITY INDEX F 12,798 $1.1M 0.01% -2K -11.2%
417 VYMI VANGUARD WHITEHALL FDS 11,129 $1.0M 0.01% +582 +5.5%
418 XLV SELECT SECTOR SPDR TR 7,127 $1.0M 0.01% -581 -7.5%
419 DFSV DIMENSIONAL ETF TRUST 29,681 $1.0M 0.01% NEW
420 AER AERCAP HOLDINGS NV Industrials 7,570 $1.0M 0.01% +112 +1.5%
421 CTAS CINTAS CORP Industrials 6,053 $1.0M 0.01% +165 +2.8%
422 GSG ISHARES TR Financial Services 3,215 $1.0M 0.01% -370 -10.3%
423 XLI SELECT SECTOR SPDR TR 6,268 $1.0M 0.01% -3K -28.9%
424 ASTS AST SPACEMOBILE INC Technology 12,232 $1.0M 0.01% +629 +5.4%
425 DFIC DIMENSIONAL ETF TRUST 27,926 $992K 0.01% NEW
426 GS GOLDMAN SACHS ETF TR Financial Services 24,255 $992K 0.01% NEW
427 MMM 3M CO Industrials 6,830 $992K 0.01% -536 -7.3%
428 CLBK COLUMBIA ETF TR II Financial Services 24,279 $991K 0.01% -241 -1.0%
429 JBL JABIL INC Technology 3,717 $987K 0.01% +56 +1.5%
430 PBF PBF ENERGY INC Energy 20,681 $985K 0.01% NEW
431 QXO QXO INC Industrials 50,525 $981K 0.01% +34K +205.6%
432 EA ELECTRONIC ARTS INC Communication Services 4,813 $981K 0.01% -73 -1.5%
433 UPSTART HLDGS INC 38,218 $980K 0.01% -2K -5.6%
434 CRWD CROWDSTRIKE HLDGS INC Technology 2,488 $971K 0.01% +115 +4.8%
435 ADSK AUTODESK INC Technology 4,023 $963K 0.01% +53 +1.3%
436 KMB KIMBERLY-CLARK CORP Consumer Defensive 9,957 $961K 0.01% -1K -9.8%
437 DFAC DIMENSIONAL ETF TRUST 24,669 $959K 0.01% NEW
438 FCX FREEPORT MCMORAN INC Basic Materials 16,308 $959K 0.01% +884 +5.7%
439 GSG ISHARES TR Financial Services 9,455 $945K 0.01% +695 +7.9%
440 SONY SONY GROUP CORP Technology 45,636 $945K 0.01% +6K +14.5%
441 VSS VANGUARD INTL EQUITY INDEX F 6,479 $945K 0.01% +2K +50.8%
442 GSG ISHARES TR Financial Services 10,330 $944K 0.01% -239 -2.3%
443 GSG ISHARES TR Financial Services 19,392 $940K 0.01% -3K -11.6%
444 USB US BANCORP Financial Services 18,055 $939K 0.01%
445 TRAX FIRST TR EXCH TRADED FD III Healthcare 49,159 $934K 0.01% -40K -45.1%
446 BOXX EA SERIES TRUST 8,009 $931K 0.01%
447 SPTL SPDR SERIES TRUST 35,069 $922K 0.01% -4K -9.3%
448 URBN URBAN OUTFITTERS INC Consumer Cyclical 14,355 $909K 0.01%
449 J P MORGAN EXCHANGE TRADED F 10,707 $905K 0.01% -193 -1.8%
450 FICO FAIR ISAAC CORP Technology 836 $892K 0.01% +14 +1.7%
451 MP MP MATERIALS CORP Basic Materials 18,355 $886K 0.01%
452 CL COLGATE PALMOLIVE CO Consumer Defensive 10,390 $886K 0.01% -610 -5.5%
453 FAST FASTENAL CO Industrials 18,887 $876K 0.01% +3K +18.6%
454 GSG ISHARES TR Financial Services 16,421 $876K 0.01% -5K -22.6%
455 CMG CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 26,917 $862K 0.01% +147 +0.6%
456 AEM AGNICO EAGLE MINES LTD Basic Materials 4,235 $860K 0.01% +500 +13.4%
457 STX SEAGATE TECHNOLOGY HLDNGS PL Technology 2,194 $859K 0.01% +125 +6.0%
458 WF WOORI FINL GROUP INC Financial Services 12,897 $859K 0.01% +1K +13.2%
459 Q QNITY ELECTRONICS INC Technology 7,311 $844K 0.01% +53 +0.7%
460 PMBS PIMCO ETF TR 17,003 $843K 0.01% +3K +18.0%
461 RBCAA REPUBLIC SVCS INC Financial Services 3,837 $840K 0.01% +44 +1.2%
462 SMUCKER J M CO 8,677 $837K 0.01% -1K -12.4%
463 MDYG SPDR SERIES TRUST 8,696 $834K 0.01% -3K -25.2%
464 CAVA CAVA GROUP INC Consumer Cyclical 10,129 $819K 0.01% +154 +1.5%
465 AFL AFLAC INC Financial Services 7,437 $816K 0.01% -354 -4.5%
466 AAL AMERICAN ELEC PWR CO INC Industrials 6,224 $816K 0.01% +170 +2.8%
467 VONE VANGUARD SCOTTSDALE FDS 2,758 $814K 0.01%
468 VONE VANGUARD SCOTTSDALE FDS 8,651 $811K 0.01%
469 MSI MOTOROLA SOLUTIONS INC Technology 1,865 $809K 0.01%
470 DOW HLDGS INC 19,359 $806K 0.01% -181 -0.9%
471 MAIR MADISON SQUARE GARDEN ENTMT Industrials 13,673 $805K 0.01% -703 -4.9%
472 ISHARES INC 12,333 $798K 0.01% -242 -1.9%
473 TRAX FIRST TR EXCHANGE TRADED FD Healthcare 8,350 $782K 0.01%
474 GSG ISHARES TR Financial Services 6,082 $780K 0.01% -819 -11.9%
475 RYN RAYONIER INC Real Estate 37,700 $777K 0.01% NEW
476 GSG ISHARES TR Financial Services 4,087 $775K 0.01% -489 -10.7%
477 TSCO TRACTOR SUPPLY CO Consumer Cyclical 17,050 $772K 0.01% -2K -11.5%
478 SCHC SCHWAB STRATEGIC TR 16,503 $771K 0.01%
479 CP CANADIAN PACIFIC KANSAS CITY Industrials 9,800 $771K 0.01% -1K -10.8%
480 WT WISDOMTREE TR Financial Services 21,299 $765K 0.01% +2K +8.5%
481 BLK BLACKROCK INC Financial Services 794 $764K 0.01% +43 +5.7%
482 GSG ISHARES TR Financial Services 11,833 $761K 0.01% +738 +6.7%
483 CMI CUMMINS INC Industrials 1,412 $760K 0.01% -14 -1.0%
484 NOC NORTHROP GRUMMAN CORP Industrials 1,111 $758K 0.01% -220 -16.5%
485 EW EDWARDS LIFESCIENCES CORP Healthcare 9,321 $746K 0.01%
486 DD DUPONT DE NEMOURS INC Basic Materials 16,146 $740K 0.01% +583 +3.8%
487 ROP ROPER TECHNOLOGIES INC Industrials 2,088 $739K 0.01% -56 -2.6%
488 ROKU ROKU INC Communication Services 7,766 $735K 0.01% +81 +1.1%
489 GSG ISHARES TR Financial Services 8,783 $733K 0.01% -950 -9.8%
490 SW SMURFIT WESTROCK PLC Consumer Cyclical 18,354 $731K 0.01% +123 +0.7%
491 ADBE ADOBE INC Technology 2,975 $723K 0.01% +40 +1.4%
492 DHI D R HORTON INC Consumer Cyclical 5,259 $722K 0.01% -146 -2.7%
493 SHOP SHOPIFY INC Technology 6,050 $718K 0.01% +2K +35.2%
494 TGT TARGET CORP Consumer Defensive 5,900 $715K 0.01% +269 +4.8%
495 CMCSA COMCAST CORP NEW Communication Services 24,705 $709K 0.01% +2K +6.7%
496 GSG ISHARES TR Financial Services 6,831 $707K 0.01% -295K -97.7%
497 EOG RES INC 4,879 $705K 0.01% -976 -16.7%
498 APD AIR PRODUCTS AND CHEMICALS I Basic Materials 2,428 $705K 0.01% -59 -2.4%
499 MSFT PUT MICROSOFT CORP Technology 1,900 $702K 0.01% +200 +11.8%
500 GSG ISHARES TR Financial Services 9,449 $701K 0.01% NEW
501 DAL DELTA AIR LINES INC Industrials 10,456 $695K 0.01% +936 +9.8%
502 EWJ ISHARES INC 8,216 $694K 0.01% +507 +6.6%
503 CW CURTISS WRIGHT CORP Industrials 1,016 $692K 0.01% +11 +1.1%
504 PNC FINL SVCS GROUP INC 3,311 $689K 0.01% +126 +4.0%
505 GSG ISHARES TR Financial Services 2,766 $688K 0.01%
506 SOLS SOLSTICE ADVANCED MATLS INC Basic Materials 9,014 $686K 0.01% +5K +107.9%
507 VTWV VANGUARD SCOTTSDALE FDS 4,080 $682K 0.01% -512 -11.2%
508 J P MORGAN EXCHANGE TRADED F 9,575 $682K 0.01% -687 -6.7%
509 GSG ISHARES TR Financial Services 3,051 $680K 0.01% -335 -9.9%
510 POST HLDGS INC 6,835 $676K 0.01% -545 -7.4%
511 CAG CONAGRA BRANDS INC Consumer Defensive 42,603 $670K 0.01% -5K -10.8%
512 DFSI DIMENSIONAL ETF TRUST 15,792 $670K 0.01% -4K -21.9%
513 ETHV VANECK ETF TRUST Financial Services 38,551 $667K 0.01% -240K -86.2%
514 GSG ISHARES TR Financial Services 5,029 $666K 0.01% -779 -13.4%
515 PWR QUANTA SVCS INC Industrials 1,213 $666K 0.01% +51 +4.4%
516 APH AMPHENOL CORP Technology 5,205 $658K 0.01% +232 +4.7%
517 XLE SELECT SECTOR SPDR TR 10,727 $657K 0.01% -543 -4.8%
518 TAPR INNOVATOR ETFS TRUST Financial Services 31,720 $652K 0.01%
519 LW LAMB WESTON HLDGS INC Consumer Defensive 15,342 $648K 0.01% -419 -2.7%
520 GSG ISHARES TR Financial Services 30,784 $644K 0.01%
521 HSY HERSHEY CO Consumer Defensive 3,061 $636K 0.01% -370 -10.8%
522 GSG ISHARES SILVER TR Financial Services 9,327 $636K 0.01% +2K +19.8%
523 GSG ISHARES TR Financial Services 5,340 $633K 0.01% -211 -3.8%
524 GSG ISHARES TR Financial Services 7,894 $632K 0.01% -5K -39.5%
525 DFUS DIMENSIONAL ETF TRUST 8,832 $626K 0.01%
526 TRAX FIRST TR EXCH TRADED FD III Healthcare 35,261 $626K 0.01% -15K -29.6%
527 EXPE EXPEDIA GROUP INC Consumer Cyclical 2,707 $625K 0.01% +112 +4.3%
528 NVS NOVARTIS AG Healthcare 4,089 $625K 0.01% +438 +12.0%
529 IVR INVESCO EXCH TRADED FD TR II Real Estate 7,875 $623K 0.01%
530 WBD WARNER BROS DISCOVERY INC Communication Services 22,683 $623K 0.01% -2K -6.4%
531 RIO RIO TINTO PLC Basic Materials 6,669 $622K 0.01% +772 +13.1%
532 VHT VANGUARD WORLD FD 2,271 $618K 0.01% -318 -12.3%
533 GSG ISHARES TR Financial Services 24,087 $617K 0.01% NEW
534 WELL WELLTOWER INC Real Estate 3,120 $617K 0.01% +610 +24.3%
535 MGM MGM RESORTS INTERNATIONAL Consumer Cyclical 16,651 $616K 0.01% -5K -23.1%
536 LULU LULULEMON ATHLETICA INC Consumer Cyclical 3,998 $612K 0.01% +301 +8.1%
537 HAL HALLIBURTON CO Energy 15,520 $605K 0.01% +5K +52.2%
538 EXLS EXLSERVICE HLDGS INC Technology 19,808 $603K 0.01% -422 -2.1%
539 HIG HARTFORD INSURANCE GROUP INC Financial Services 4,441 $601K 0.01% -248 -5.3%
540 SCHA SCHWAB STRATEGIC TR 20,616 $600K 0.01% +3K +20.2%
541 BP BP PLC Energy 12,684 $596K 0.01% +1K +11.3%
542 NEM NEWMONT CORP Basic Materials 5,493 $595K 0.01% +375 +7.3%
543 GSG ISHARES TR Financial Services 6,245 $591K 0.01% -368 -5.6%
544 EFSC ENTERPRISE PRODS PARTNERS L Financial Services 15,572 $589K 0.01% +713 +4.8%
545 SYK STRYKER CORPORATION Healthcare 1,781 $585K 0.01% -589 -24.9%
546 DVN DEVON ENERGY CORP NEW Energy 11,417 $575K 0.01% +157 +1.4%
547 WMB WILLIAMS COS INC Energy 7,767 $565K 0.01% -335 -4.1%
548 PNBK PATRIOT NATL BANCORP INC Financial Services 434,748 $561K 0.01%
549 SDY SPDR INDEX SHS FDS 12,289 $560K 0.01% NEW
550 ANET ARISTA NETWORKS INC Technology 4,556 $559K 0.01% +92 +2.1%
551 AAL AMERICAN INTL GROUP INC Industrials 7,430 $559K 0.01% -664 -8.2%
552 JVAL J P MORGAN EXCHANGE TRADED F 11,313 $553K 0.01% -4K -27.7%
553 CLX CLOROX CO DEL Consumer Defensive 5,331 $552K 0.01% -904 -14.5%
554 MO ALTRIA GROUP INC Consumer Defensive 8,366 $552K 0.01% -185 -2.2%
555 AAL AMERICAN TOWER CORP Industrials 3,199 $552K 0.01% -760 -19.2%
556 SPDR SERIES TRUST 3,091 $550K 0.01% -3K -50.9%
557 AMP AMERIPRISE FINL INC Financial Services 1,233 $548K 0.01% -68 -5.2%
558 BAM BROOKFIELD CORP Financial Services 13,523 $547K 0.01% +2K +17.7%
559 SLB SLB LIMITED Energy 10,560 $543K 0.01% +770 +7.9%
560 BLD TOPBUILD COR Industrials 1,530 $537K 0.01% -30 -1.9%
561 DGX QUEST DIAGNOSTICS INC Healthcare 2,739 $537K 0.01%
562 XLRE SELECT SECTOR SPDR TR 13,134 $536K 0.01% -14K -51.5%
563 BNDX VANGUARD CHARLOTTE FDS 11,131 $535K 0.01% NEW
564 CAH CARDINAL HEALTH INC Healthcare 2,530 $535K 0.01% +147 +6.2%
565 FDBC FIDELITY COVINGTON TRUST Financial Services 2,548 $530K 0.01% -49 -1.9%
566 GD GENERAL MTRS CO Industrials 7,113 $530K 0.01%
567 GSG ISHARES TR Financial Services 6,659 $530K 0.01% +1K +19.8%
568 GSG ISHARES TR Financial Services 4,978 $528K 0.01%
569 EME EMCOR GROUP INC Industrials 711 $525K 0.01% NEW
570 IBIT ISHARES BITCOIN TRUST ETF Financial Services 13,644 $524K 0.01% +2K +15.4%
571 CVS CVS HEALTH CORP Healthcare 7,177 $515K 0.01% -227 -3.1%
572 KR KROGER CO Consumer Defensive 7,060 $511K 0.01% -186 -2.6%
573 GSG ISHARES TR Financial Services 11,327 $510K 0.01% -11K -50.3%
574 GS GOLDMAN SACHS ETF TR Financial Services 4,053 $507K 0.01% NEW
575 GSG ISHARES TR Financial Services 8,869 $504K 0.01% -3K -26.4%
576 TROW T ROWE PRICE ETF INC Financial Services 13,701 $502K 0.01% +865 +6.7%
577 RPM RPM INTL INC Basic Materials 5,014 $498K 0.01% -1K -17.9%
578 CTA SIMPLIFY EXCHANGE TRADED FUN 16,436 $497K 0.01% -32K -65.8%
579 FISV FISERV INC Technology 8,885 $496K 0.01% +1K +15.1%
580 GSG ISHARES TR Financial Services 3,372 $491K 0.01% -28 -0.8%
581 STZ CONSTELLATION BRANDS INC Consumer Defensive 3,271 $491K 0.01% -377 -10.3%
582 GSG ISHARES TR Financial Services 5,139 $490K 0.01% -11K -68.5%
583 IVR INVESCO EXCH TRADED FD TR II Real Estate 23,976 $489K 0.01% -28K -54.1%
584 A AGILENT TECHNOLOGIES INC Healthcare 4,289 $489K 0.01% +68 +1.6%
585 D DOMINION ENERGY INC Utilities 7,907 $489K 0.01% +190 +2.5%
586 DUSB DIMENSIONAL ETF TRUST 9,599 $487K 0.01% -10K -51.2%
587 L LOEWS CORP Financial Services 4,557 $486K 0.01% +45 +1.0%
588 CPA COPA HOLDINGS SA Industrials 4,279 $486K 0.01% -61 -1.4%
589 IVR INVESCO EXCH TRADED FD TR II Real Estate 9,539 $482K 0.01% +4K +80.5%
590 SNPS SYNOPSYS INC Technology 1,211 $480K 0.01% +41 +3.5%
591 IVR INVESCO EXCH TRADED FD TR II Real Estate 7,500 $480K 0.01% -1K -13.9%
592 DECK DECKERS OUTDOOR CORP Consumer Cyclical 4,788 $479K 0.01% +311 +7.0%
593 J P MORGAN EXCHANGE TRADED F 6,540 $478K 0.01% -423 -6.1%
594 VICI PPTYS INC 17,498 $478K 0.01% +6K +53.8%
595 DFAT DIMENSIONAL ETF TRUST 7,647 $478K 0.01% -67 -0.9%
596 TXRH TEXAS ROADHOUSE INC Consumer Cyclical 2,872 $474K 0.01% +28 +1.0%
597 RVLV REVOLVE GROUP INC Consumer Cyclical 20,884 $472K 0.01%
598 MKC MCCORMICK & CO INC Consumer Defensive 9,343 $471K 0.01% -2K -20.3%
599 GSG ISHARES TR Financial Services 11,696 $464K 0.01% NEW
600 CSGP COSTAR GROUP INC Real Estate 11,483 $463K 0.01% -627 -5.2%
601 DUK DUKE ENERGY CORP NEW Utilities 3,507 $459K 0.01% +604 +20.8%
602 MFA FINL INC 47,817 $458K 0.01%
603 NATL NCR ATLEOS CORPORATION Technology 10,443 $455K 0.01%
604 CHKP CHECK POINT SOFTWARE TECH LT Technology 3,164 $452K 0.01% +539 +20.5%
605 DOMINOS PIZZA INC 1,245 $447K 0.01% -86 -6.5%
606 GSG ISHARES TR Financial Services 4,025 $444K 0.01% -3K -41.8%
607 XLY SELECT SECTOR SPDR TR 4,074 $444K 0.01% NEW
608 TRAX FIRST TR EXCHNG TRADED FD VI Healthcare 10,152 $443K 0.01% +63 +0.6%
609 UEC URANIUM ENERGY CORP Energy 32,533 $439K 0.01%
610 HUBS HUBSPOT INC Technology 1,799 $439K 0.01% NEW
611 CRVS CORVUS PHARMACEUTICALS INC Healthcare 30,000 $439K 0.01% NEW
612 LHX L3HARRIS TECHNOLOGIES INC Industrials 1,270 $438K 0.01% +341 +36.7%
613 GSG ISHARES TR Financial Services 7,385 $437K 0.01% -2K -18.2%
614 SPYV SPDR SERIES TRUST 7,713 $436K 0.01% -3K -30.0%
615 J P MORGAN EXCHANGE TRADED F 8,370 $435K 0.01%
616 KMI KINDER MORGAN INC DEL Energy 12,960 $435K 0.01% -2K -12.4%
617 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 6,920 $434K 0.01% -322 -4.5%
618 TTE TOTALENERGIES SE Energy 4,752 $432K 0.01% +202 +4.4%
619 ATO ATMOS ENERGY CORP Utilities 2,336 $432K 0.01% -12 -0.5%
620 WT WISDOMTREE TR Financial Services 6,393 $430K 0.01%
621 IDXX IDEXX LABS INC Healthcare 764 $430K 0.01% -10 -1.3%
622 ELV ELEVANCE HEALTH INC FORMERLY Healthcare 1,466 $429K 0.01% +237 +19.3%
623 APP APPLOVIN CORP Technology 1,075 $428K 0.01% -11 -1.0%
624 NBIS NEBIUS GROUP N.V. Communication Services 4,103 $426K 0.01% +677 +19.8%
625 BKR BAKER HUGHES COMPANY Energy 6,968 $425K 0.01% -2K -18.6%
626 EVRG EVERGY INC Utilities 5,189 $425K 0.01% +1K +32.4%
627 TAPR INNOVATOR ETFS TRUST Financial Services 12,454 $420K 0.01% -660 -5.0%
628 CCEP COCA-COLA EUROPACIFIC PARTNE Consumer Defensive 4,626 $419K 0.01% -377 -7.5%
629 MLM MARTIN MARIETTA MATLS INC Basic Materials 710 $418K 0.01% +6 +0.8%
630 GSK GSK PLC Healthcare 7,555 $417K 0.01% +302 +4.2%
631 URI UNITED RENTALS INC Industrials 572 $417K 0.01% -70 -10.9%
632 BANK NEW YORK MELLON CORP 3,501 $415K 0.01% +178 +5.4%
633 SSGA ACTIVE ETF TR 11,441 $414K 0.01% -505 -4.2%
634 VGSH VANGUARD SCOTTSDALE FDS 7,046 $412K 0.01% -4K -34.2%
635 VONG VANGUARD SCOTTSDALE FDS 3,757 $412K 0.01% -339 -8.3%
636 SAP SAP SE Technology 2,405 $412K 0.01% +485 +25.3%
637 EHC ENCOMPASS HEALTH CORP Healthcare 4,244 $411K 0.01% +125 +3.0%
638 FIX COMFORT SYS USA INC Industrials 296 $408K 0.01% +17 +6.1%
639 GSG ISHARES TR Financial Services 2,625 $407K 0.01% -89 -3.3%
640 HWM HOWMET AEROSPACE INC Industrials 1,763 $406K 0.01% +155 +9.6%
641 MET METLIFE INC Financial Services 5,734 $405K 0.01% -899 -13.6%
642 BOX BOX INC Technology 17,012 $402K 0.01% -191 -1.1%
643 OWL BLUE OWL CAPITAL INC Financial Services 43,738 $399K 0.01% +19K +73.9%
644 VTWO VANGUARD SCOTTSDALE FDS 3,982 $399K 0.01% -831 -17.3%
645 PPG INDS INC 3,726 $398K 0.01% -690 -15.6%
646 BIDU BAIDU INC Communication Services 3,549 $395K 0.01% +393 +12.4%
647 ROIV ROIVANT SCIENCES LTD Healthcare 14,244 $395K 0.01%
648 GSG ISHARES TR Financial Services 5,734 $393K 0.01% NEW
649 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 3,806 $393K 0.01%
650 BR BROADRIDGE FINL SOLUTIONS IN Technology 2,413 $392K 0.01% +199 +9.0%
651 IR INGERSOLL RAND INC Industrials 4,858 $389K 0.01% -429 -8.1%
652 SPOT SPOTIFY TECHNOLOGY S A Communication Services 796 $386K 0.01% +127 +19.0%
653 ED CONSOLIDATED EDISON INC Utilities 3,391 $384K 0.01% +883 +35.2%
654 GHM GRAHAM HLDGS CO Industrials 361 $382K 0.01% -59 -14.1%
655 USFD US FOODS HLDG CORP Consumer Defensive 4,141 $382K 0.01% -68 -1.6%
656 PRK PARK NATL CORP Financial Services 2,308 $377K 0.01%
657 TAPR INNOVATOR ETFS TRUST Financial Services 8,738 $376K 0.01% -3K -27.1%
658 AMZN PUT AMAZON COM INC Consumer Cyclical 1,800 $375K 0.01%
659 PGR PROGRESSIVE CORP Financial Services 1,888 $374K 0.01% -639 -25.3%
660 PAAS PAN AMERN SILVER CORP Basic Materials 6,836 $373K 0.01% +540 +8.6%
661 TAPR INNOVATOR ETFS TRUST Financial Services 19,680 $373K 0.01%
662 SKM SK TELECOM CO LTD Communication Services 12,615 $369K 0.01% NEW
663 FNDB SCHWAB STRATEGIC TR 13,574 $369K 0.01% +5K +58.9%
664 NUE NUCOR CORP Basic Materials 2,180 $369K 0.01%
665 DRI DARDEN RESTAURANTS INC Consumer Cyclical 1,879 $368K 0.01% +80 +4.5%
666 MDGL MADRIGAL PHARMACEUTICALS INC Healthcare 703 $368K 0.01%
667 PIMCO ETF TR 3,795 $367K 0.01% NEW
668 GRMN GARMIN LTD Technology 1,578 $366K 0.01% +105 +7.1%
669 IRM IRON MTN INC DEL Real Estate 3,579 $366K 0.01% +233 +7.0%
670 CRH CRH PLC Basic Materials 3,451 $363K 0.01% -193 -5.3%
671 GSG ISHARES TR Financial Services 3,763 $362K 0.01%
672 COEUR MNG INC 19,283 $362K 0.01%
673 RKT ROCKET COS INC Financial Services 25,289 $360K 0.01%
674 PIMCO ETF TR 11,066 $357K 0.01% NEW
675 OXY OCCIDENTAL PETE CORP Energy 5,467 $355K 0.01% NEW
676 MELI MERCADOLIBRE INC Consumer Cyclical 204 $353K 0.01% +58 +39.7%
677 J P MORGAN EXCHANGE TRADED F 7,598 $351K 0.01%
678 GIS GENERAL MILLS INC Consumer Defensive 9,411 $350K 0.01% -916 -8.9%
679 VRT VERTIV HOLDINGS CO Industrials 1,396 $350K 0.01% NEW
680 FLRN SPDR SERIES TRUST 11,335 $349K 0.01% +2K +16.8%
681 BDX BECTON DICKINSON & CO Healthcare 2,219 $349K 0.01% +180 +8.8%
682 IBND SPDR SERIES TRUST 11,226 $349K 0.01% NEW
683 TAPR INNOVATOR ETFS TRUST Financial Services 9,015 $349K 0.01%
684 CNS COHEN & STEERS SELECT PFD & Financial Services 17,848 $346K 0.01% +4K +27.3%
685 WT WISDOMTREE TR Financial Services 7,582 $345K 0.01% -561 -6.9%
686 UFO PROCURE ETF TRUST II 7,700 $345K 0.01% -100 -1.3%
687 IVOO VANGUARD ADMIRAL FDS INC 3,013 $344K 0.01%
688 ZTS ZOETIS INC Healthcare 2,894 $342K 0.01% -837 -22.4%
689 SNY SANOFI SA Healthcare 7,099 $342K 0.01% NEW
690 OKTA OKTA INC Technology 4,309 $339K 0.01% +35 +0.8%
691 PKG PACKAGING CORP AMER Consumer Cyclical 1,581 $336K 0.01% +23 +1.5%
692 KRE SPDR SERIES TRUST 5,148 $335K 0.01% +238 +4.8%
693 PCAR PACCAR INC Industrials 2,900 $335K 0.01% +436 +17.7%
694 WTS WATTS WATER TECHNOLOGIES INC Industrials 1,151 $334K 0.01% +13 +1.1%
695 FNDX SCHWAB STRATEGIC TR 11,940 $333K 0.01%
696 FNDE SCHWAB STRATEGIC TR 8,662 $331K 0.01% +81 +0.9%
697 NEWS CORP NEW 13,291 $331K 0.01% -665 -4.8%
698 GSG ISHARES TR Financial Services 1,825 $331K 0.01% -42 -2.2%
699 TAPR INNOVATOR ETFS TRUST Financial Services 7,789 $331K 0.01% -563 -6.7%
700 J P MORGAN EXCHANGE TRADED F 7,222 $331K 0.01%
701 COR CENCORA INC Healthcare 1,045 $328K 0.01% -20 -1.9%
702 MGK VANGUARD WORLD FD 893 $328K 0.01%
703 GEHC GE HEALTHCARE TECHNOLOGIES I Healthcare 4,577 $326K 0.00% +55 +1.2%
704 WP CAREY INC 4,781 $325K 0.00% -34 -0.7%
705 SU SUNCOR ENERGY INC NEW Energy 4,915 $325K 0.00% NEW
706 NVO NOVO-NORDISK A S Healthcare 8,835 $325K 0.00% -223 -2.5%
707 TM TOYOTA MOTOR CORP Consumer Cyclical 1,574 $324K 0.00% +366 +30.3%
708 GSG ISHARES TR Financial Services 3,219 $324K 0.00%
709 LOGI LOGITECH INTL S A Technology 3,514 $320K 0.00% +662 +23.2%
710 O REALTY INCOME CORP Real Estate 5,233 $320K 0.00% +1K +27.2%
711 NUGT DIREXION SHARES ETF TRUST 1,700 $320K 0.00%
712 PAA PLAINS ALL AMERN PIPELINE L Energy 14,294 $319K 0.00% +100 +0.7%
713 TRAX FIRST TR EXCHANGE-TRADED FD Healthcare 7,297 $319K 0.00% +42 +0.6%
714 GSG ISHARES TR Financial Services 3,595 $318K 0.00% +479 +15.4%
715 EDIV SPDR INDEX SHS FDS 8,022 $317K 0.00%
716 GSG ISHARES TR Financial Services 3,402 $315K 0.00% -23 -0.7%
717 AON AON PLC Financial Services 975 $315K 0.00% -973 -50.0%
718 MAT MATTEL INC Consumer Cyclical 21,629 $314K 0.00% -387 -1.8%
719 XLU SELECT SECTOR SPDR TR 6,832 $314K 0.00% +1K +18.8%
720 BOOT BOOT BARN HLDGS INC Consumer Cyclical 2,133 $312K 0.00% -200 -8.6%
721 GBTC GRAYSCALE BITCOIN TRUST ETF Financial Services 5,916 $312K 0.00% -726 -10.9%
722 ISHARES INC 3,200 $311K 0.00%
723 GSG ISHARES TR Financial Services 4,105 $310K 0.00%
724 VT VANGUARD INTL EQUITY INDEX F 2,232 $309K 0.00% -346 -13.4%
725 FDS FACTSET RESH SYS INC Financial Services 1,419 $308K 0.00% -91 -6.0%
726 VEGN ETF SER SOLUTIONS 5,448 $308K 0.00% +77 +1.4%
727 LC LENDINGCLUB ISSUANCE TR SER Financial Services 21,405 $307K 0.00% -753 -3.4%
728 STPZ PIMCO ETF TR 5,600 $303K 0.00% -14K -71.7%
729 J JACOBS SOLUTIONS INC Industrials 2,360 $300K 0.00% NEW
730 WT WISDOMTREE TR Financial Services 6,896 $300K 0.00%
731 HALO HALOZYME THERAPEUTICS INC Healthcare 4,634 $299K 0.00%
732 PIMCO ETF TR 5,732 $299K 0.00% -521 -8.3%
733 VG VENTURE GLOBAL INC Energy 18,900 $298K 0.00% +900 +5.0%
734 MAS MASCO CORP Industrials 4,917 $297K 0.00% -987 -16.7%
735 CHD CHURCH & DWIGHT CO INC Consumer Defensive 3,160 $295K 0.00% +298 +10.4%
736 SCHZ SCHWAB STRATEGIC TR 12,668 $294K 0.00%
737 EMN EASTMAN CHEM CO Basic Materials 3,853 $294K 0.00% +265 +7.4%
738 OHI OMEGA HEALTHCARE INVS INC Real Estate 6,682 $293K 0.00% +176 +2.7%
739 WYNN WYNN RESORTS LTD Consumer Cyclical 2,875 $292K 0.00% +22 +0.8%
740 FEZ SPDR INDEX SHS FDS 4,680 $291K 0.00%
741 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 948 $288K 0.00% NEW
742 BRK.A PUT BERKSHIRE HATHAWAY INC DEL Financial Services 600 $287K 0.00%
743 HBAN HUNTINGTON INGALLS INDS INC Financial Services 754 $286K 0.00% +31 +4.3%
744 COWZ PACER FDS TR 4,557 $285K 0.00% +100 +2.2%
745 GSG ISHARES TR Financial Services 5,161 $285K 0.00%
746 VPU VANGUARD WORLD FD 1,436 $285K 0.00% NEW
747 ENB ENBRIDGE INC Energy 5,252 $284K 0.00% +27 +0.5%
748 TAPR INNOVATOR ETFS TRUST Financial Services 8,500 $284K 0.00%
749 FHI FEDERATED HERMES INC Financial Services 5,000 $284K 0.00% NEW
750 GGG GRACO INC Industrials 3,349 $283K 0.00% +182 +5.8%
751 MCHP MICROCHIP TECHNOLOGY INC. Technology 4,384 $283K 0.00% +216 +5.2%
752 VANGUARD WORLD FD 1,191 $281K 0.00%
753 GSG ISHARES TR Financial Services 1,941 $281K 0.00% +346 +21.7%
754 VMC VULCAN MATLS CO Basic Materials 1,027 $280K 0.00% +13 +1.3%
755 MPWR MONOLITHIC PWR SYS INC Technology 255 $279K 0.00% -30 -10.5%
756 SCHK SCHWAB STRATEGIC TR 8,876 $278K 0.00% +632 +7.7%
757 GAA CAMBRIA ETF TR 8,308 $278K 0.00% NEW
758 JHG JANUS HENDERSON GROUP PLC Financial Services 5,382 $276K 0.00% +656 +13.9%
759 FOXA FOX CORP Communication Services 4,724 $276K 0.00% +445 +10.4%
760 GWW WW GRAINGER INC Industrials 252 $275K 0.00% +16 +6.8%
761 GSG ISHARES TR Financial Services 6,032 $275K 0.00% +156 +2.6%
762 RNR RENAISSANCERE HLDGS LTD Financial Services 914 $272K 0.00% -39 -4.1%
763 ROYAL BK CDA 1,666 $270K 0.00% +67 +4.2%
764 AXS AXIS CAP HLDGS LTD Financial Services 2,651 $269K 0.00% -63 -2.3%
765 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 1,694 $266K 0.00% NEW
766 GSG ISHARES TR Financial Services 6,239 $266K 0.00% NEW
767 EXC EXELON CORP Utilities 5,424 $266K 0.00% -2K -29.5%
768 SPDR SERIES TRUST 10,691 $265K 0.00% -894 -7.7%
769 UHAL.B U HAUL HOLDING COMPANY Industrials 5,932 $265K 0.00% -1K -17.9%
770 GSG ISHARES TR Financial Services 1,211 $265K 0.00% -28 -2.3%
771 FLR FLUOR CORP Industrials 5,655 $264K 0.00% NEW
772 ISHARES INC 3,460 $260K 0.00% -100 -2.8%
773 TDC TERADATA CORP DEL Technology 10,117 $259K 0.00% -2K -14.5%
774 J P MORGAN EXCHANGE TRADED F 3,409 $258K 0.00% -249 -6.8%
775 VAW VANGUARD WORLD FD 1,145 $258K 0.00%
776 VTIP VANGUARD MALVERN FDS 5,142 $257K 0.00% -3K -32.8%
777 GSG ISHARES TR Financial Services 3,822 $256K 0.00%
778 ISHARES INC 6,262 $255K 0.00% NEW
779 AXSM AXSOME THERAPEUTICS INC. Healthcare 1,510 $255K 0.00% NEW
780 MANU MANCHESTER UTD PLC NEW Communication Services 15,100 $254K 0.00%
781 BIIB BIOGEN INC Healthcare 1,377 $252K 0.00% +109 +8.6%
782 DOV DOVER CORP Industrials 1,198 $250K 0.00% -31 -2.5%
783 HPE HEWLETT PACKARD ENTERPRISE C Technology 10,466 $249K 0.00% +802 +8.3%
784 RMD RESMED INC Healthcare 1,110 $249K 0.00% -32 -2.8%
785 MSTR STRATEGY INC Technology 1,988 $248K 0.00% NEW
786 PBR.A PETROLEO BRASILEIRO S A 11,925 $247K 0.00% NEW
787 VIS VANGUARD WORLD FD 790 $247K 0.00% +51 +6.9%
788 DASH DOORDASH INC Communication Services 1,632 $245K 0.00% +58 +3.7%
789 CSL CARLISLE COS INC Industrials 734 $245K 0.00%
790 EIX EDISON INTL Utilities 3,342 $245K 0.00% NEW
791 GBUG SPROTT ASSET MANAGEMENT LP Financial Services 10,000 $244K 0.00%
792 KOLD PROSHARES TR Financial Services 2,293 $243K 0.00% -140 -5.8%
793 TAPR INNOVATOR ETFS TRUST Financial Services 8,118 $242K 0.00%
794 UAMY UNITED SEC BANCSHARES CALIF Basic Materials 23,000 $242K 0.00%
795 TOL TOLL BROTHERS INC Consumer Cyclical 1,764 $241K 0.00%
796 DOCU DOCUSIGN INC Technology 5,075 $241K 0.00% +2K +52.6%
797 DFCF DIMENSIONAL ETF TRUST 5,660 $239K 0.00% -5K -47.7%
798 GBUG SPROTT ASSET MANAGEMENT LP Financial Services 5,000 $239K 0.00%
799 LION LIONSGATE STUDIOS CORP Communication Services 24,837 $238K 0.00% -3K -10.6%
800 GS GOLDMAN SACHS ETF TR Financial Services 3,193 $238K 0.00% -3K -45.6%
801 IVR INVESCO EXCHANGE TRADED FD T Real Estate 5,256 $238K 0.00%
802 CHTR CHARTER COMMUNICATIONS INC Communication Services 1,101 $238K 0.00% NEW
803 TROW T ROWE PRICE ETF INC Financial Services 5,307 $237K 0.00% NEW
804 GSG ISHARES TR Financial Services 4,733 $237K 0.00% -458 -8.8%
805 GSG ISHARES TR Financial Services 3,477 $236K 0.00%
806 HENRY JACK & ASSOC INC 1,485 $235K 0.00% -340 -18.6%
807 NYT NEW YORK TIMES CO MTN BE Communication Services 2,796 $234K 0.00% NEW
808 DFAU DIMENSIONAL ETF TRUST 5,180 $234K 0.00%
809 FDBC FIDELITY COVINGTON TRUST Financial Services 6,202 $231K 0.00% NEW
810 LYV LIVE NATION ENTERTAINMENT IN Communication Services 1,511 $230K 0.00% +56 +3.9%
811 RGLD ROYAL GOLD INC Basic Materials 901 $229K 0.00% -6 -0.7%
812 DFUV DIMENSIONAL ETF TRUST 4,710 $228K 0.00%
813 PEG PUBLIC STORAGE OPER CO Utilities 841 $228K 0.00% -709 -45.7%
814 DIREXION SHARES ETF TRUST 800 $227K 0.00% NEW
815 TXT TEXTRON INC Industrials 2,594 $227K 0.00% +178 +7.4%
816 POR PORTLAND GEN ELEC CO Utilities 4,287 $226K 0.00% -723 -14.4%
817 VIAV VIAVI SOLUTIONS INC Technology 6,795 $226K 0.00% NEW
818 ASX ASE TECHNOLOGY HLDG CO LTD Technology 10,340 $224K 0.00% NEW
819 KIM KIMCO REALTY CORP Real Estate 9,947 $224K 0.00% NEW
820 GSG ISHARES TR Financial Services 9,731 $223K 0.00% NEW
821 RF REGIONS FINANCIAL CORP NEW Financial Services 8,501 $222K 0.00% +444 +5.5%
822 VFH VANGUARD WORLD FD 1,836 $222K 0.00% NEW
823 VRSN VERISIGN INC Technology 892 $222K 0.00% -68 -7.1%
824 NNN NNN REIT INC Real Estate 5,270 $221K 0.00% NEW
825 VGIT VANGUARD SCOTTSDALE FDS 3,687 $220K 0.00% -135 -3.5%
826 VCR VANGUARD WORLD FD 611 $219K 0.00% +75 +14.0%
827 FANG DIAMONDBACK ENERGY INC Energy 1,105 $219K 0.00% -2K -58.4%
828 AEE AMEREN CORP Utilities 1,982 $218K 0.00% -531 -21.1%
829 VALE VALE S A Basic Materials 13,681 $218K 0.00% +158 +1.2%
830 CLH CLEAN HARBORS INC Industrials 759 $218K 0.00% NEW
831 FTNT FORTINET INC Technology 2,652 $217K 0.00% +104 +4.1%
832 FNB F N B CORP Financial Services 12,953 $217K 0.00% +141 +1.1%
833 IFN ABERDEEN INDIA FD INC Financial Services 19,119 $216K 0.00% +369 +2.0%
834 SNA SNAP ON INC Industrials 595 $216K 0.00% NEW
835 JNK SPDR SERIES TRUST 2,255 $216K 0.00% NEW
836 MSCI MSCI INC Financial Services 394 $213K 0.00% NEW
837 PFG PRINCIPAL FINANCIAL GROUP IN Financial Services 2,342 $211K 0.00% NEW
838 AHR AMERICAN HEALTHCARE REIT INC Real Estate 4,462 $210K 0.00%
839 PKX POSCO HOLDINGS INC Basic Materials 3,580 $209K 0.00% NEW
840 NGG NATIONAL GRID PLC Utilities 2,470 $209K 0.00% NEW
841 SPAB SPDR SERIES TRUST 8,143 $209K 0.00%
842 BEN FRANKLIN RESOURCES INC Financial Services 8,815 $208K 0.00% NEW
843 GSG ISHARES TR Financial Services 867 $208K 0.00% -509 -37.0%
844 GSG ISHARES TR Financial Services 9,262 $208K 0.00% NEW
845 TER TERADYNE INC Technology 700 $208K 0.00% NEW
846 ETHV VANECK ETF TRUST Financial Services 2,339 $206K 0.00% NEW
847 FLS FLOWSERVE CORP Industrials 2,783 $205K 0.00% NEW
848 IDA IDACORP INC Utilities 1,421 $203K 0.00% NEW
849 SRLN SSGA ACTIVE ETF TR 5,062 $203K 0.00% -5K -50.3%
850 SPDR SERIES TRUST 4,464 $202K 0.00% -6K -58.6%
851 FITBI FIFTH THIRD BANCORP Financial Services 4,355 $202K 0.00% NEW
852 PAYC PAYCOM SOFTWARE INC Technology 1,663 $202K 0.00% NEW
853 VST VISTRA CORP Utilities 1,344 $202K 0.00% NEW
854 IVR INVESCO EXCHANGE TRADED FD T Real Estate 2,684 $202K 0.00% -408 -13.2%
855 MRVL MARVELL TECHNOLOGY INC Technology 2,037 $202K 0.00% NEW
856 IQVIA HLDGS INC 1,177 $201K 0.00% -65 -5.2%
857 KKRT KKR & CO INC Financial Services 2,166 $200K 0.00% -119 -5.2%
858 VTRS VIATRIS INC Healthcare 14,189 $192K 0.00% +921 +6.9%
859 LYFT LYFT INC Technology 14,188 $189K 0.00%
860 VOD VODAFONE GROUP PLC Communication Services 12,206 $183K 0.00% NEW
861 ARDC ARES DYNAMIC CR ALLOCATION F Financial Services 15,000 $182K 0.00%
862 AGNC AGNC INVT CORP Real Estate 17,191 $172K 0.00% +326 +1.9%
863 IBRX IMMUNITYBIO INC Healthcare 21,650 $166K 0.00%
864 DNP DNP SELECT INCOME FD INC Financial Services 15,947 $164K 0.00% -40K -71.6%
865 AB ALLIANCEBERNSTEIN GLOBAL HIG Financial Services 15,958 $162K 0.00% +296 +1.9%
866 BSAC BANCO SANTANDER SA Financial Services 14,213 $160K 0.00% +2K +14.2%
867 GRAB GRAB HOLDINGS LIMITED Technology 43,643 $160K 0.00% +10K +31.3%
868 BV BRIGHTVIEW HLDGS INC Industrials 13,029 $154K 0.00% NEW
869 VGSR MANAGER DIRECTED PORTFOLIOS 14,360 $148K 0.00% NEW
870 HLN HALEON PLC Healthcare 12,982 $130K 0.00% +2K +15.2%
871 JOBY JOBY AVIATION INC Industrials 15,170 $125K 0.00% NEW
872 NAK NORTHERN DYNASTY MINERALS LT Basic Materials 85,955 $120K 0.00%
873 USEA UNITED MICROELECTRONICS CORP Industrials 12,496 $112K 0.00% NEW
874 SGMT SAGIMET BIOSCIENCES INC Healthcare 21,376 $112K 0.00% NEW
875 NOKIA CORP 12,855 $103K 0.00% NEW
876 WIPRO LTD 46,231 $98K 0.00% +19K +71.5%
877 FINV FINVOLUTION GROUP Financial Services 20,000 $96K 0.00% +5K +33.3%
878 OWL CALL BLUE OWL CAPITAL INC Financial Services 10,000 $91K 0.00% NEW
879 PGEN PRECIGEN INC Healthcare 22,717 $88K 0.00% +2K +7.1%
880 TKC TURKCELL ILETISIM Communication Services 13,352 $81K 0.00% NEW
881 AAUC ALLIED GAMING & ENTRTNMNT IN Basic Materials 290,500 $79K 0.00% -259K -47.1%
882 SNAP SNAP INC Communication Services 13,577 $62K 0.00% +169 +1.3%
883 ATAIBECKLEY INC 16,837 $60K 0.00% NEW
884 ABEV AMBEV SA Consumer Defensive 19,777 $58K 0.00% +4K +26.9%
885 BLK BLACKROCK ENHANCED INTL DIV Financial Services 10,200 $55K 0.00% +118 +1.2%
886 ALT ALTIMMUNE INC Healthcare 17,000 $52K 0.00%
887 TTRX TURN THERAPEUTICS INC Healthcare 16,000 $51K 0.00%
888 EDAP EDAP TMS S A Healthcare 13,500 $50K 0.00%
889 CLVT CLARIVATE PLC Technology 17,355 $44K 0.00% NEW
890 SGMO SANGAMO THERAPEUTICS INC Healthcare 41,400 $10K
891 BRAG HSE HLDGS INC 21,048 $6K
Sector Allocation
Financial Services 56.2%
Technology 13.6%
Real Estate 8.9%
Communication Services 4.4%
Industrials 4.2%
Consumer Cyclical 4.1%
Healthcare 3.6%
Consumer Defensive 2.5%
Energy 1.4%
Basic Materials 0.8%