NYSE Stocks Today (US Stock Market)
Below we list prices, price change, percentage price change, volume and dollar volume for all NYSE (New York Stock Exchange) stocks that have traded today. This includes stocks from the NYSE stock exchange only. Volume includes pre, regular and post market hours (4:00am to 8:00pm EST). Change and change % are calculated from previous market close to now.
Premarket:
Regular Trading Hours:
After Hours:
Timeframe:
A Agilent Technologies Inc. $115.00
2.185M
$248.89M
AAMI Acadian Asset Management Inc. $66.94
127.728K
$8.60M
AAP ADVANCE AUTO PARTS INC $58.16
770.6K
$45.13M
AAT AMERICAN ASSETS TRUST, INC. $20.70
146.391K
$3.02M
AAUC Allied Gold Corporation $31.83
213.008K
$6.78M
AB AllianceBernstein Holding, L.P. $38.80
197.459K
$7.69M
ABG Asbury Automotive Group, Inc. $202.10
296.341K
$59.43M
ABR Arbor Realty Trust, Inc. $7.82
2.519M
$19.68M
ACA Arcosa, Inc. Common Stock $120.19
137.492K
$16.57M
ACCO Acco Brands Corporation $3.35
315.775K
$1.03M
ACEL Accel Entertainment, Inc. $12.24
183.097K
$2.22M
ACI Albertsons Companies, Inc. $16.91
3.44M
$58.25M
ACR ACRES Commercial Realty Corp. $20.23
5.895K
$120.67K
ACRE Ares Commercial Real Estate Corporation $5.20
276.9K
$1.44M
ACVA ACV Auctions Inc. Class A Common Stock $5.24
2.768M
$13.91M
AD Array Digital Infrastructure, Inc. $48.80
57.018K
$2.77M
ADC Agree Realty Corporation $77.63
919.58K
$70.84M
ADM Archer Daniels Midland Company $70.35
1.335M
$93.38M
ADNT Adient plc Ordinary Shares $21.75
398.744K
$8.65M
AEM Agnico Eagle Mines Ltd. $200.00
2.424M
$482.22M
AEO American Eagle Outfitters $18.10
3.484M
$63.64M
AERO Grupo Aeromexico, S.A.B. de C.V. American Depositary Shares (each representing ten (10) Common Shares) $14.92
519.949K
$7.96M
AESI Atlas Energy Solutions Inc. $16.20
5.453M
$86.39M
AEXA American Exceptionalism Acquisition Corp. A $11.01
31.124K
$346.63K
AFG American Financial Group, Inc. $132.23
369.578K
$48.77M
AG FIRST MAJESTIC SILVER CORP $20.27
11.606M
$234.12M
AGI Alamos Gold Inc. Class A Common Shares $43.73
2.885M
$126.44M
AGM Federal Agricultural Mortgage Corporation $173.48
28.58K
$4.96M
AGM.A Federal Agricultural Mortgage Corporation Class A Voting $135.00
410
$55.24K
AHR American Healthcare REIT, Inc. $50.58
2.12M
$105.84M
AHRT AH Realty Trust, Inc. $5.88
403.138K
$2.41M
AHT Ashford Hospitality Trust, Inc. $2.90
5.757K
$17.27K
AIG American International Group, Inc. $76.33
3.11M
$237.02M
AII American Integrity Insurance Group, Inc. $19.42
48.981K
$943.06K
AIIA AI Infrastructure Acquisition Corp. $10.10
24.001K
$242.41K
AIN Albany International Corp Class A $56.49
101.622K
$5.74M
AIT Applied Industrial Technologies, Inc. $294.40
147.616K
$43.39M
AIV Apartment Investment and Management Company $4.18
1.238M
$5.25M
AJG Arthur J. Gallagher & Co. $220.70
769.153K
$168.47M
AKA a.k.a. Brands Holding Corp. $11.00
2.168K
$24.01K
AKO.B Embotelladora Andina S.A. Series B $30.00
14.922K
$449.17K
ALC Alcon Inc. Ordinary Shares $75.85
1.193M
$90.60M
ALH Alliance Laundry Holdings Inc. $24.51
620.289K
$15.22M
ALK Alaska Air Group, Inc. $41.23
4.753M
$199.12M
ALL The Allstate Corporation $216.56
663.102K
$143.50M
ALLE Allegion Public Limited Company $147.42
588.166K
$86.69M
ALSN ALLISON TRANSMISSION HOLDINGS, INC. $137.01
579.896K
$78.62M
ALTG Alta Equipment Group Inc. $7.19
234.538K
$1.66M
AM Antero Midstream Corporation Common Stock $21.49
2.133M
$45.49M
AMBP Ardagh Metal Packaging S.A. $4.09
1.569M
$6.26M
AMC AMC ENTERTAINMENT HOLDINGS, INC. $1.66
22.897M
$38.58M
AMCR Amcor plc Ordinary Shares $39.83
3.187M
$127.05M
AMG Affiliated Managers Group $284.39
619.818K
$173.94M
AMN AMN Healthcare Services $20.29
322.876K
$6.52M
AMP Ameriprise Financial, Inc. $459.63
637.788K
$293.95M
AMPX Amprius Technologies, Inc. $21.97
7.11M
$154.24M
AMR Alpha Metallurgical Resources, Inc. $198.91
158.719K
$32.13M
AMT American Tower Corporation $178.86
1.655M
$294.78M
AMTD AMTD IDEA Group American Depositary Shares, each representing six (6) Class A Ordinary Shares $1.02
11.805K
$12.09K
AMTM Amentum Holdings, Inc. $27.02
1.205M
$32.53M
AMWL American Well Corporation $6.14
27.458K
$166.11K
AMX America Movil S.A.B de C.V American Depositary Shares (each representing the right to receive twenty (20) Series B Shares) $26.05
1.828M
$47.70M
ANF Abercrombie & Fitch Co. $89.31
1.014M
$91.92M
ANRO Alto Neuroscience Inc. $25.59
195.585K
$5.20M
AOMR Angel Oak Mortgage REIT, Inc. $8.93
38.177K
$340.77K
AOS A.O. Smith Corporation $64.64
1.187M
$77.67M
APAM ARTISAN PARTNERS ASSET MANAGEMENT INC. $38.12
407.248K
$15.54M
APD Air Products & Chemicals, Inc. $302.23
653.515K
$197.50M
APLE Apple Hospitality REIT, Inc. $13.01
5.903M
$76.92M
APO Apollo Global Management, Inc. $124.77
3.754M
$468.79M
AQN Algonquin Power & Utilities Corp $6.31
1.523M
$9.59M
AR ANTERO RESOURCES CORPORATION $38.20
4.006M
$152.85M
ARCO ARCOS DORADOS HOLDINGS INC. $9.29
827.154K
$7.71M
ARDT Ardent Health Partners, Inc. $9.68
287.977K
$2.82M
ARE Alexandria Real Estate Equities, Inc. $46.31
2.005M
$92.38M
ARES Ares Management Corporation Class A Common Stock $114.56
2.645M
$304.46M
ARI APOLLO COMMERCIAL REAL ESTATE FINANCE, INC. $11.05
613.075K
$6.76M
ARIS Aris Water Solutions, Inc. $18.76
867.138K
$16.23M
ARL American Realty Investors, Inc. $14.57
441
$6.52K
ARLO Arlo Technologies, Inc. $14.17
525.19K
$7.46M
ARR ARMOUR Residential REIT, Inc. $17.55
1.623M
$28.46M
ARW Arrow Electronics, Inc. $187.50
820.848K
$153.65M
ASAN Asana, Inc. Class A Common Stock $6.10
6.68M
$39.54M
ASC ARDMORE SHIPPING CORPORATION $16.20
427.689K
$6.98M
ASIC Ategrity Specialty Insurance Company Holdings $20.39
22.718K
$463.73K
ASR Grupo Aeroportuario del Sureste, S.A. de C.V. American Depositary Shares $315.14
83.687K
$26.41M
ASX ASE Technology Holding Co., Ltd. $30.47
6.335M
$188.99M
ATHM Autohome Inc. American Depositary Shares, each representing four Class A Ordinary Shares $18.36
541.558K
$10.00M
ATMU Atmus Filtration Technologies Inc. $60.61
572.648K
$35.00M
ATO Atmos Energy Corporation $187.81
532.323K
$99.34M
AUB Atlantic Union Bankshares Corporation $37.91
1.25M
$47.13M
AVAL GRUPO AVAL ACCIONES Y VALORES S.A. $4.37
106.784K
$471.39K
AVB AvalonBay Communities, Inc. $173.35
432.31K
$74.71M
AVD American Vanguard Corporation $2.78
84.943K
$236.00K
AWI Armstrong World Industries, Inc. $179.38
255.385K
$45.80M
AWK American Water Works Company, Inc $134.97
1.363M
$183.06M
AWR American States Water Company $80.81
205.679K
$16.59M
AX Axos Financial, Inc. Common Stock $97.67
199.377K
$19.43M
AXIA AXIA Energia American Depositary Shares (Each representing one Common Share) $12.42
1.726M
$21.99M
AXIAp AXIA Energia American Depositary Shares (Each representing one Preferred Share) $13.90
6.973K
$96.62K
AXIApC AXIA Energia American Depositary Shares, each representing one Preferred Class C Share $12.03
602.421K
$7.28M
AXP American Express Company $319.76
4.194M
$1.35B
AXS Axis Capital Holders Limited $101.48
298.934K
$30.16M
AXTA Axalta Coating Systems Ltd. $29.34
1.096M
$32.30M
$3,570.00
174.627K
$626.71M
BABA Alibaba Group Holding Limited American Depositary Shares, each represents eight Ordinary Shares $131.90
10.147M
$1.34B
BAC Bank of America Corporation $52.43
24.492M
$1.29B
BAH Booz Allen Hamilton Holding Corporation $79.01
1.445M
$112.79M
BAK Braskem S.A. American Depositary Shares (Each representing Two Class A Preferred Shares) $3.30
2.202M
$7.35M
BAM Brookfield Asset Management Ltd. $47.70
2.571M
$122.70M
BANC Banc of California, Inc. $19.00
4.447M
$82.52M
BAX Baxter International Inc. $18.36
3.667M
$67.23M
BBAI BigBear.ai Holdings, Inc. $3.78
32.283M
$121.76M
BBAR Banco BBVA Argentina S.A. $14.45
739.93K
$10.83M
BBBY Bed Bath & Beyond, Inc. $5.60
1.387M
$7.76M
BBD Banco Bradesco S.A. American Depositary Shares (Each representing one Preferred Shares) $3.90
27.81M
$111.55M
BBDO Banco Bradesco S.A. American Depositary Shares (Each representing one Common Share, no par value) $3.52
54.626K
$193.40K
BBT Beacon Financial Corporation $31.72
247.547K
$7.80M
BBUC Brookfield Business Corporation Class A Exchangeable Subordinate Voting Shares $33.49
170.119K
$5.65M
BBVA Banco Bilbao Vizcaya Argentaria, S.A. $21.64
3.989M
$86.91M
BBW Build-A-Bear Workshop, Inc. $37.66
155.943K
$6.00M
BBWI Bath & Body Works, Inc. $20.50
3.689M
$74.91M
BBY Best Buy Company, Inc. $61.63
2.35M
$145.38M
BCH Banco de ChileAmerican Depositary Shares (Each representing 200 shares of Common Stock) $37.76
351.911K
$13.38M
BCSF Bain Capital Specialty Finance, Inc. $13.12
167.231K
$2.21M
BCSS Bain Capital GSS Investment Corp. $10.17
1.477K
$15.02K
BDN Brandywine Realty Trust $2.93
2.382M
$6.85M
BDX Becton, Dickinson and Co. $154.85
2.693M
$417.86M
BE Bloom Energy Corporation $239.58
7.435M
$1.76B
BEKE KE Holdings Inc. American Depositary Shares (each representing three Class A Ordinary Shares) $15.88
4.689M
$74.08M
BEN Franklin Resources, Inc. $26.54
3.029M
$81.38M
BEP Brookfield Renewable Partners L.P. $34.10
529.159K
$17.88M
BEPC Brookfield Renewable Corporation Class A Subordinate Voting Shares $40.94
657.181K
$26.85M
BETA Beta Technologies, Inc. $15.66
1.186M
$18.33M
BF.A Brown-Forman Corporation Class A $28.96
113.039K
$3.27M
BFAM BRIGHT HORIZONS FAMILY SOLUTIONS INC. $81.70
1.058M
$86.61M
BF.B Brown-Forman Corporation Class B $28.44
2M
$56.89M
BFH Bread Financial Holdings, Inc. $92.12
786.409K
$74.42M
BFLY Butterfly Network, Inc. $5.20
6.393M
$33.55M
BGSI Boyd Group Services Inc. $118.63
17.046K
$2.02M
BH Biglari Holdings Inc. Class B Common Stock $306.82
157.878K
$48.13M
BH.A Biglari Holdings Inc. Class A Common Stock $1,673.41
18.651K
$30.81M
BHC Bausch Health Companies Inc. $5.55
1.344M
$7.53M
BHP BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) $79.98
2.162M
$172.82M
BHR Braemar Hotels & Resorts Inc. Common Stock $2.37
322.449K
$766.20K
BIII Black Spade Acquisition III Co $9.88
200
$1.98K
BIO Bio-Rad Laboratories, Inc.Class A $281.42
370.581K
$103.93M
BIP Brookfield Infrastructure Partners L.P. Limited Partnership Units $35.88
454.007K
$16.32M
BIPC Brookfield Infrastructure Corporation Class A Subordinate Voting Shares $40.38
386.454K
$15.62M
BIRK Birkenstock Holding plc $41.24
1.671M
$68.22M
BJ BJs Wholesale Club Holdings, Inc. Common Stock $96.96
1.301M
$125.46M
BK Bank of New York Mellon Corporation $136.25
2.36M
$319.55M
BKD Brookdale Senior Living, Inc. $13.37
1.74M
$23.52M
BKH Black Hills Corporation $74.67
512.482K
$38.06M
BKSY BlackSky Technology Inc. $38.45
1.78M
$66.76M
BLCO Bausch + Lomb Corporation $15.78
503.604K
$8.00M
BLD TopBuild Corp. Common Stock $465.24
1.025M
$470.84M
BLDR Builders FirstSource, Inc. $89.28
1.852M
$167.45M
$1,052.90
452.595K
$478.07M
BLX Banco Latinoamericano de Comercio Exterior, S.A $56.89
145.225K
$8.25M
BMNR BitMine Immersion Technologies, Inc. $22.34
36.433M
$814.10M
BMY Bristol-Myers Squibb Co. $58.98
5.159M
$304.57M
BNED Barnes & Noble Education, Inc $10.83
140.866K
$1.54M
BNL Broadstone Net Lease, Inc. $20.06
1.765M
$35.34M
BNT Brookfield Wealth Solutions Ltd. $45.54
6.712K
$306.55K
BOBS Bobs Discount Furniture, Inc. $11.41
851.794K
$9.87M
BOC Boston Omaha Corporation $12.31
60.284K
$738.72K
BOOT Boot Barn Holdings, Inc. $163.19
252.976K
$41.15M
BORR Borr Drilling Limited $5.58
6.956M
$38.57M
BOW Bowhead Specialty Holdings Inc. $23.89
103.262K
$2.46M
BPRE Bluerock Private Real Estate Fund $15.96
428.86K
$6.86M
BR Broadridge Financial Solutions Inc $159.00
816.848K
$126.67M
BRBR BellRing Brands, Inc. $16.30
1.541M
$25.01M
BRK.A Berkshire Hathaway Inc. $706,165.00
144
$101.65M
BRK.B BERKSHIRE HATHAWAY Class B $470.75
3.71M
$1.75B
BRSP BrightSpire Capital, Inc. $6.04
558.267K
$3.36M
BRX BRIXMOR PROPERTY GROUP INC. $30.56
1.748M
$53.40M
BSAC Banco Santander-Chile $33.40
361.946K
$12.08M
BSBR BANCO SANTANDER (BRASIL) SA $5.95
827.74K
$4.99M
BSM Black Stone Minerals, L.P. $14.35
223.751K
$3.20M
BSX Boston Scientific Corp. $65.75
27.473M
$1.81B
BTI British American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share $57.29
4.241M
$242.12M
BTU Peabody Energy Corporation $27.55
1.865M
$50.99M
BUD Anheuser-Busch INBEV SA/NV $72.24
1.618M
$116.83M
BUR Burford Capital Limited $4.49
1.807M
$8.18M
BURL BURLINGTON STORES, INC. $329.62
400.694K
$132.63M
BV BrightView Holdings, Inc. Common Stock $12.50
152.783K
$1.90M
BVN Compania de Minas Buenaventura S.A. $31.34
1.285M
$40.47M
BW Babcock & Wilcox Enterprises, Inc. $15.60
2.945M
$45.80M
BWMX Betterware de Mexico, S.A.P.I. de C.V. Ordinary Shares $17.86
126.927K
$2.25M
BWXT BWX Technologies, Inc. $225.51
975.795K
$218.12M
BXC BlueLinx Holdings Inc. $57.46
41.709K
$2.38M
BXMT Blackstone Mortgage Trust, Inc. (NEW) $19.94
579.232K
$11.53M
BXP Boston Properties, Inc. $57.00
1.421M
$81.17M
BXSL Blackstone Secured Lending Fund $23.90
3.654M
$86.91M
BY Byline Bancorp, Inc. Common Stock $33.07
77.909K
$2.58M
BYD Boyd Gaming Corporation $83.75
1.292M
$114.13M
BZH Beazer Homes USA, Inc. New $22.25
193.713K
$4.39M
CAAP Corporacion America Airports S.A. $25.01
292.921K
$7.38M
CACI CACI INTERNATIONAL CLA $535.62
743.645K
$386.43M
CALY Callaway Golf Company $15.14
1.093M
$16.54M
CANG Cango Inc. American Depositary Shares, each representing two (2) Class A Ordinary Shares $0.4300
793.525K
$332.11K
CAPL CrossAmerica Partners LP Common units representing limited partner interests $20.94
35.534K
$744.07K
CARR Carrier Global Corporation $61.92
3.947M
$243.72M
CARS Cars.com Inc. Common Stock $11.04
466.863K
$5.03M
CBL CBL & Associates Properties, Inc. $45.03
105.762K
$4.77M
CBNA Chain Bridge Bancorp, Inc. $35.73
308
$10.83K
CBU Community Financial System, Inc. $63.08
99.681K
$6.27M
CCM Concord Medical Services Holding Limited $4.00
4.237K
$16.92K
CCO Clear Channel Outdoor Holdings, Inc. Common Stock $2.39
1.808M
$4.31M
CCS CENTURY COMMUNITIES, INC. $59.34
472.468K
$27.36M
CCU Compania Cervecerias Unidas S.A. $11.18
242.857K
$2.75M
CDLR Cadeler A/S American Depositary Share (each representing four (4) Ordinary Shares) $25.80
50.867K
$1.31M
CDP COPT Defense Properties $31.92
513.257K
$16.36M
CE Celanese Corporation Common Stock $64.01
2.932M
$189.00M
CEPU Central Puerto S.A. American Depositary Shares (each represents ten Common Shares) $14.55
256.743K
$3.77M
CF CF Industries Holding, Inc. $126.00
3.164M
$393.59M
CFG Citizens Financial Group, Inc. $65.19
4.026M
$261.91M
CFR Cullen/Frost Bankers Inc. $144.89
288.027K
$41.65M
CHCT Community Healthcare Trust Incorporated Common Stock, $0.01 par value per share $17.07
883.291K
$14.99M
CHD Church & Dwight Co., Inc. $94.19
1.196M
$112.74M
CHMI CHERRY HILL MORTGAGE INVESTMENT CORPORATION $2.56
144.852K
$372.59K
CHPT ChargePoint Holdings, Inc. $6.92
418.225K
$2.94M
CHT CHUNGHWA TELECOM CO., LTD $43.18
82.979K
$3.58M
CIG Companhia Energetica De Minas Gerais-CEMIG $2.61
4.645M
$12.28M
CIG.C Companhia Energetica De Minas Gerais-CEMIG $3.40
1.483K
$5.26K
CIM Chimera Investment Corp. $13.37
386.022K
$5.15M
CION CION Investment Corporation $7.47
432.066K
$3.23M
CL Colgate-Palmolive Company $83.00
4.068M
$340.54M
CLB Core Laboratories Inc. $16.80
192.493K
$3.31M
CLBR Colombier Acquisition Corp. II $10.05
27.237K
$273.61K
CLDT CHATHAM LODGING TRUST $8.50
106.557K
$904.05K
CLPR Clipper Realty Inc. Common Stock $3.27
63.648K
$210.27K
CLW Clearwater Paper Corporation $14.55
139.256K
$2.05M
CM Canadian Imperial Bank of Commerce $108.45
655.071K
$71.04M
CMC Commercial Metals Company $68.03
624.444K
$42.59M
CMCM Cheetah Mobile Inc. American Depositary Shares, each representing fifty (50) Class A Ordinary Shares $5.42
23.198K
$126.61K
CMDB Costamare Bulkers Holdings Limited $16.50
33.381K
$556.33K
CMG Chipotle Mexican Grill, Inc. $34.00
18.31M
$626.20M
CMP Compass Minerals International, Inc. $25.39
322.223K
$8.24M
CMS CMS Energy Corporation $76.62
2.343M
$178.72M
CMTG Claros Mortgage Trust, Inc. $2.55
176.716K
$451.94K
CNA CNA Financial Corporation $48.75
208.682K
$10.16M
CNI Canadian National Railway $114.05
1.379M
$155.91M
CNK Cinemark Holdings, Inc. $28.60
1.941M
$55.73M
CNNE Cannae Holdings, Inc. Common Stock $13.07
369.918K
$4.83M
CNO CNO Financial Group, Inc. $43.75
289.795K
$12.67M
CNP CenterPoint Energy, Inc. $43.01
5.046M
$217.04M
CNQ Canadian Natural Resources Limited $45.50
7.72M
$349.82M
CNR Core Natural Resources, Inc. $87.38
738.26K
$64.87M
CNX CNX Resources Corporation $38.52
1.336M
$51.27M
COLD Americold Realty Trust, Inc. $12.25
1.59M
$19.46M
CON Concentra Group Holdings Parent, Inc. $23.00
552.061K
$12.69M
COSO CoastalSouth Bancshares, Inc. $25.57
46.922K
$1.20M
CP Canadian Pacific Kansas City Limited $86.18
2.905M
$248.27M
CPAC CEMENTOS PACASMAYO S.A.A. $10.72
15.877K
$170.71K
CPF Central Pacific Financial Corporation $34.49
64.263K
$2.21M
CPRI Capri Holdings Limited $20.75
1.451M
$30.06M
CPS Cooper-Standard Automotive Inc. $30.75
126.111K
$3.89M
CQP Cheniere Energy Partners, LP $62.52
79.629K
$5.01M
CRBG Corebridge Financial, Inc. $26.54
3.285M
$86.71M
CRC California Resources Corporation $65.26
499.415K
$32.48M
CRCL Circle Internet Group, Inc. $100.60
6.677M
$673.34M
CRD.A Crawford & Company Class A $10.62
7.607K
$82.15K
CRD.B Crawford & Company Class B $9.89
3.057K
$30.64K
CRGY Crescent Energy Company $12.65
4.901M
$62.47M
CRH CRH Public Limited Company $116.55
3.218M
$375.51M
CRK Comstock Resources, Inc. $17.10
1.955M
$33.21M
CRL Charles River Laboratories International, Inc. $167.78
1.085M
$184.21M
CRS Carpenter Technology Corp $423.33
588.126K
$251.23M
CRT Cross Timbers Royalty Trust $10.65
32.704K
$351.36K
CSAN Cosan S.A. American Depositary Shares (each representing four Common Shares) $4.05
1.349M
$5.49M
CSL Carlisle Companies, Inc. $390.00
496.224K
$179.91M
CSTM Constellium SE Class A Ordinary shares $30.24
1.803M
$55.27M
CSV Carriage Services, Inc. $50.50
125.523K
$6.26M
CTO CTO Realty Growth, Inc. $19.58
75.288K
$1.47M
CTOS Custom Truck One Source, Inc. $8.76
981.861K
$8.59M
CTRI Centuri Holdings, Inc. $34.51
822.586K
$28.20M
CTVA Corteva, Inc. Common Stock $79.10
1.729M
$137.27M
CUBI CUSTOMERS BANCORP INC $78.50
199.378K
$15.41M
CURB Curbline Properties Corp. $28.34
1.029M
$28.97M
CUZ Cousins Properties Inc. $24.51
3.239M
$79.93M
CVLG Covenant Logistics Group, Inc. Class A Common Stock $31.74
187.459K
$5.86M
CVS CVS HEALTH CORPORATION $78.83
6.855M
$537.94M
CWAN Clearwater Analytics Holdings, Inc. $24.16
3.308M
$79.96M
CWEN Clearway Energy, Inc. Class C Common Stock $39.50
569.62K
$22.56M
CWEN.A Clearway Energy, Inc. Class A Common Stock $39.66
101.818K
$4.02M
CWH Camping World Holdings, Inc. $7.21
2.049M
$14.42M
CWK Cushman & Wakefield plc Ordinary Shares $14.28
966.736K
$13.83M
CWT California Water Service $47.52
382.835K
$18.23M
CYD China Yuchai International Ltd. $41.70
80.546K
$3.41M
CYH Community Health Systems, Inc. $2.55
4.514M
$11.65M
D Dominion Energy, Inc Common Stock $62.26
2.62M
$162.90M
DAO Youdao, Inc. American Depositary Shares, each representing one Class A Ordinary Share $10.50
63.912K
$662.04K
DAR DARLING INGREDIENTS INC. $60.90
1.773M
$107.91M
DAVA Endava plc American Depositary Shares (each representing one Class A Ordinary Share) $4.42
350.878K
$1.52M
DB Deutsche Bank Aktiengesellschaft $31.50
3.342M
$105.60M
DBD Diebold Nixdorf, Incorporated $84.50
146.422K
$12.42M
DBRG DigitalBridge Group, Inc. $15.61
3.545M
$55.34M
DCI Donaldson Company, Inc. $87.97
433.477K
$37.97M
DCOM Dime Community Bancshares, Inc. Common Stock $37.65
337.427K
$12.40M
DD DuPont de Nemours, Inc. Common Stock $45.26
2.214M
$102.22M
DDL Dingdong (Cayman) Limited American Depositary Shares (each two representing three Ordinary Shares) $2.61
346.308K
$910.09K
DEA Easterly Government Properties, Inc. $23.17
143.19K
$3.32M
DEC Diversified Energy Company plc $15.60
302.831K
$4.73M
DELL Dell Technologies Inc. $214.97
4.021M
$864.17M
DFH Dream Finders Homes, Inc. $15.39
341.988K
$5.24M
DFIN Donnelley Financial Solutions, Inc. $50.15
152.477K
$7.77M
DGX Quest Diagnostics Inc. $199.93
977.964K
$194.90M
DIN Dine Brands Global, Inc. $28.09
129.37K
$3.70M
DINO HF Sinclair Corporation $59.20
1.142M
$67.94M
DIS The Walt Disney Company $103.49
5.215M
$540.63M
DK Delek US Holdings, Inc. $40.77
706.141K
$28.02M
DKL DELEK LOGISTICS PARTNERS, LP $51.50
30.183K
$1.53M
DKS Dick's Sporting Goods, Inc. $224.46
721.874K
$162.32M
DLB Dolby Laboratories, Inc.Class A $62.96
302.96K
$19.06M
DLNG DYNAGAS LNG PARNERS LP $4.00
130.136K
$527.06K
DLR Digital Realty Trust, Inc. $200.69
2.328M
$466.43M
DNA Ginkgo Bioworks Holdings, Inc. $7.80
806.663K
$6.39M
DOC Healthpeak Properties, Inc. $16.31
8.805M
$143.54M
DOCN DigitalOcean Holdings, Inc. $96.05
2.716M
$261.13M
DQ Daqo New Energy Corp. American Depositary Shares (each representing 5 Ordinary Shares) $23.06
521.465K
$11.83M
DRI Darden Restaurants, Inc. $202.34
1.545M
$313.28M
DUK Duke Energy Corporation $128.46
2.222M
$283.50M
DV DoubleVerify Holdings, Inc. $10.43
957.611K
$9.88M
DVN Devon Energy Corporation $48.25
10.164M
$487.25M
DXC DXC Technology Company $11.71
3.557M
$42.32M
EAF GrafTech International Ltd. $9.56
196.372K
$1.86M
EARN Ellington Credit Company $4.60
399.132K
$1.83M
EAT Brinker International, Inc. $143.85
740.182K
$107.69M
EBS Emergent Biosolutions, Inc. $8.09
248.347K
$2.01M
ECG Everus Construction Group, Inc. $137.00
451.28K
$61.63M
ECO Okeanis Eco Tankers Corp. $50.75
258.843K
$13.12M
ED Consolidated Edison, Inc. $110.25
1.218M
$133.88M
EDN Empresa Distribuidora Y Comercializadora Norte S.A. (Edenor) $25.23
130.987K
$3.35M
EDU New Oriental Education and Technology Group, Inc. American Depositary Shares (each representing ten (10) Common Shares) $52.00
1.259M
$65.56M
EE Excelerate Energy, Inc. $33.32
172.581K
$5.80M
EFC Ellington Financial Inc. Common Stock $13.09
783.404K
$10.20M
EGO Eldorado Gold Corporation $31.66
5.133M
$162.13M
EGP EastGroup Properties Inc. $200.54
455.817K
$91.00M
EHC Encompass Health Corporation Common Stock $101.00
504.411K
$51.29M
EIG Employers Holdings, Inc. $42.22
141.62K
$5.98M
EL The Estee Lauder Companies Inc. Class A $76.03
2.183M
$166.66M
ELAN Elanco Animal Health Incorporated Common Stock $22.39
3.019M
$66.98M
ELPC Companhia Paranaense de Energia - COPEL American Depositary Shares (each representing four (4) Common Shares) $13.50
249.171K
$3.36M
ELS Equity Lifestyle Properties, Inc. $63.48
1.589M
$100.36M
EMBJ Embraer S.A. American Depositary Shares (Each representing Four Common Shares) $63.50
930.195K
$59.25M
EMN Eastman Chemical Company $71.25
672.721K
$48.19M
EMP Entergy Mississippi, LLC First Mortgage Bonds, 4.90% Series due October 1, 2066 $21.11
5.616K
$117.88K
ENIC Enel Chile S.A. American Depositary Shares Representing Common Stock (Each representing 50 shares of Common Stock) $4.59
6.049M
$26.78M
ENR Energizer Holdings, Inc $19.96
581.893K
$11.62M
ENVA Enova International, Inc. $171.50
287.438K
$48.26M
EPAC Enerpac Tool Group Corp. $35.19
355.489K
$12.56M
EPC Edgewell Personal Care Company $23.75
227.252K
$5.35M
EPD Enterprise Products Partners L.P. $37.75
4.76M
$179.37M
EPRT Essential Properties Realty Trust, Inc. $31.50
5.062M
$159.81M
EQBK Equity Bancshares, Inc. $45.04
44.191K
$1.99M
EQH Equitable Holdings, Inc. $41.60
2.834M
$117.76M
EQNR Equinor ASA American Depositary Shares (Each Representing One Ordinary Share, nominal value NOK 2.50 per share) $38.07
4.473M
$172.17M
EQS Equus Total Return, Inc. $1.30
2.852K
$3.74K
ESE ESCO Technologies, Inc. $318.90
277.898K
$88.85M
ESI Element Solutions Inc. $37.98
1.815M
$69.61M
ESRT EMPIRE STATE REALTY TRUST, INC. $5.48
561.511K
$3.07M
ESS Essex Property Trust, Inc $255.06
278.215K
$70.83M
ET Energy Transfer LP Common Units representing limited partner interests $19.15
6.491M
$123.76M
ETD Ethan Allen Interiors Inc $22.48
222.857K
$4.99M
ETN Eaton Corporation, plc Ordinary Shares $426.94
2.481M
$1.05B
EVAC EQV Ventures Acquisition Corp. II $10.12
40.069K
$405.50K
EVC Entravision Communication $3.64
126.754K
$457.92K
EVH Evolent Health, Inc Class A Common Stock $2.91
2.154M
$6.39M
EVTL Vertical Aerospace Ltd. $2.49
3.625M
$9.11M
EW Edwards Lifesciences Corp $83.49
5.315M
$425.26M
EXK Endeavour Silver Corp. $9.29
7.016M
$66.01M
EXPD Expeditors International of Washington, Inc. $149.75
582.154K
$86.86M
EXR Extra Space Storage, Inc. $142.66
1.031M
$146.59M
FAF First American Financial Corporation $68.84
1.29M
$87.62M
FBIN Fortune Brands Innovations, Inc. $41.40
1.946M
$80.25M
FBK FB Financial Corporation $54.26
137.843K
$7.43M
FBRT Franklin BSP Realty Trust, Inc. $9.07
558.619K
$5.05M
FCF First Commonwealth Financial Corporation $18.85
463.496K
$8.69M
FCPT Four Corners Property Trust, Inc. $25.15
382.743K
$9.61M
FCRS FutureCrest Acquisition Corp. $10.23
190.574K
$1.95M
FDP Fresh Del Monte Produce Inc. $42.30
121.236K
$5.13M
FDS Factset Research Systems $228.00
795.118K
$181.79M
FENG Phoenix New Media Limited American Depositary Shares (each representing forty-eight (48) Class A Ordinary Shares) $1.72
5.917K
$10.37K
FET Forum Energy Technologies, Inc. $60.68
99.695K
$6.08M
FF Future Fuel Corporation $4.09
188.542K
$781.28K
FG F&G Annuities & Life, Inc. $27.39
318.047K
$8.65M
FHI Federated Hermes, Inc. $56.30
716.291K
$40.50M
FHN First Horizon Corporation $24.75
2.579M
$63.61M
FICO Fair Isaac Corporation $977.07
494.201K
$477.15M
FIHL Fidelis Insurance Holdings Limited $21.29
270.349K
$5.74M
FINV FinVolution Group American depositary shares, each representing five Class A ordinary shares $4.77
1.059M
$5.02M
FIS Fidelity National Information Services, Inc. $45.67
3.557M
$163.22M
FIX Comfort Systems USA, Inc. $1,888.00
514.525K
$911.35M
FLG Flagstar Financial, Inc. $14.57
4.505M
$64.61M
FLNG FLEX LNG Ltd. Ordinary Shares $32.00
183.566K
$5.73M
FLUT Flutter Entertainment plc $106.81
1.519M
$160.47M
FMS Fresenius Medical Care AG $22.75
364.808K
$8.32M
FMX FOMENTO ECONOMICO MEXICANO, S.A.B. DE C.V. $113.62
347.395K
$39.64M
FND Floor & Decor Holdings, Inc. $50.95
2.385M
$122.00M
FNF Fidelity National Financial, Inc. $51.54
1.373M
$70.36M
FNV Franco-Nevada Corporation $243.10
503.613K
$122.99M
FOA Finance of America Companies Inc. $21.60
36.576K
$789.10K
FOUR Shift4 Payments, Inc. $46.99
2.221M
$104.25M
FPH Five Point Holdings, LLC Class A Common Shares $5.03
126.035K
$636.29K
FPI Farmland Partners Inc. $11.60
107.861K
$1.25M
FPS Forgent Power Solutions, Inc. $35.57
4.41M
$155.17M
FR First Industrial Realty Trust, Inc. $62.85
924.413K
$58.43M
FRT Federal Realty Investment Trust $111.50
292.92K
$32.65M
FSCO FS Credit Opportunities Corp. $5.05
963.721K
$4.88M
FSK FS KKR Capital Corp. Common Stock $10.58
3.343M
$35.65M
FSM FORTUNA Silver Mines Inc. $10.29
5.031M
$50.78M
FSSL FS Specialty Lending Fund $11.84
402.665K
$4.83M
FTI TechnipFMC plc Ordinary Share $73.21
3.948M
$288.86M
FTK Flotek Industries, Inc. $16.93
112.397K
$1.89M
FTS Fortis Inc. Common Shares $56.57
432.277K
$24.38M
FTW EQV Ventures Acquisition Corp. $10.51
37.614K
$399.68K
FVRR Fiverr International Ltd. $10.40
715.454K
$7.32M
GBTG Global Business Travel Group, Inc. $5.71
892.47K
$5.09M
GBX The Greenbrier Companies, Inc. $49.62
315.921K
$15.59M
GCTS GCT Semiconductor Holding, Inc. $1.34
1.633M
$2.22M
GD General Dynamics Corporation $315.90
1.388M
$442.48M
GDOT Green Dot Corporation $12.22
179.726K
$2.19M
GENI Genius Sports Limited $4.40
3.27M
$14.20M
GETY Getty Images Holdings, Inc. $0.9200
640.521K
$601.22K
GFL GFL Environmental Inc. Subordinate Voting Shares $40.36
3.306M
$133.43M
GFR Greenfire Resources Ltd. $6.00
71.408K
$428.57K
GHC GRAHAM HOLDINGS COMPANY $1,132.00
12.863K
$14.61M
GHG GreenTree Hospitality Group Ltd. American depositary shares, each representing one Class A ordinary share $1.23
18.85K
$23.74K
GIC Global Industrial Company $33.76
55.617K
$1.87M
GIL Gildan Activewear Inc. $59.84
803.489K
$48.23M
GLED GalaxyEdge Acquisition Corporation $9.89
98.915K
$977.30K
GME GameStop Corp. Class A $25.17
8.809M
$223.11M
GNK GENCO SHIPPING & TRADING LTD $23.84
174.797K
$4.12M
GNL Global Net Lease, Inc. $9.38
678.159K
$6.42M
GNW Genworth Financial, Inc. $8.88
1.089M
$9.65M
GOLF Acushnet Holdings Corp. $98.88
157.809K
$15.65M
GOOS Canada Goose Holdings Inc. $11.76
341.575K
$4.03M
GOTU Gaotu Techedu Inc. American Depositary Shares, three of which representing two Class A Ordinary Shares $1.94
351.331K
$673.33K
GPI Group 1 Automotive, Inc. $339.78
87.403K
$29.61M
GPK Graphic Packaging Holding Company $9.40
4.599M
$43.33M
GPMT Granite Point Mortgage Trust Inc. Common Stock $1.52
99.506K
$149.18K
GPOR Gulfport Energy Corporation $188.74
243.537K
$46.28M
GRBK Green Brick Partners, Inc $71.86
99.642K
$7.14M
GRC The Gorman-Rupp Company Common Shares $74.37
190.843K
$13.92M
GRDN Guardian Pharmacy Services, Inc. $36.98
213.359K
$7.82M
GRNT Granite Ridge Resources, Inc. $5.63
754.213K
$4.22M
GROV Grove Collaborative Holdings, Inc. $1.09
71.114K
$80.08K
GS Goldman Sachs Group Inc. $932.00
1.346M
$1.26B
GSBD Goldman Sachs BDC, Inc. $9.65
1.032M
$9.83M
GSK GSK plc American Depositary Shares (Each representing two Ordinary Shares) $55.69
3.224M
$179.99M
GSL Global Ship Lease, Inc. $37.62
122.518K
$4.66M
GTES Gates Industrial Corporation plc $25.50
1.157M
$29.65M
GTLS Chart Industries, Inc. $207.94
1.124M
$233.77M
GTN.A Gray Television, Inc. Class A $11.01
468
$5.27K
GVA Granite Construction Inc. $122.58
348.187K
$42.53M
GWRE GUIDEWIRE SOFTWARE, INC. $131.00
1.706M
$221.15M
$1,164.91
193.661K
$226.11M
H Hyatt Hotels Corporation $164.46
510.687K
$84.20M
HAE Haemonetics Corporation $59.62
1.408M
$83.19M
HASI HANNON ARMSTRONG SUSTAINABLE INFRASTRUCTURE CAPITAL INC $41.88
1.256M
$52.26M
HAYW Hayward Holdings, Inc. $15.33
1.592M
$24.46M
HBB Hamilton Beach Brands Holding Company Class A Common Stock $20.62
10.331K
$212.67K
HCC Warrior Met Coal, Inc. $88.62
639.787K
$56.56M
HE Hawaiian Electric Industries, Inc. $15.38
829.541K
$12.77M
HESM Hess Midstream LP Class A Share representing a limited partner Interest $37.90
2.166M
$81.82M
HG Hamilton Insurance Group, Ltd. Class B Common Shares $32.85
198.021K
$6.47M
HGV Hilton Grand Vacations Inc. Common Stock $46.07
430.705K
$19.87M
HHH Howard Hughes Holdings Inc. $64.07
270.451K
$17.34M
HIG The Hartford Financial Services Group, Inc. $132.59
936.165K
$130.53M
HII Huntington Ingalls Industries, Inc. $369.40
360.606K
$132.55M
HIMS Hims & Hers Health, Inc. $28.18
44.029M
$1.27B
HIW Highwoods Properties Inc. $23.66
1.023M
$24.29M
HKD AMTD Digital Inc. American Depositary Shares (every five of which represent two Class A Ordinary Shares) $1.66
267.849K
$452.28K
HLIO Helios Technologies, Inc. $67.51
208.543K
$14.27M
HLN Haleon plc American Depositary Shares (Each representing two Ordinary Shares) $9.60
6.819M
$64.86M
HLT Hilton Worldwide Holdings Inc. $334.28
949.572K
$317.32M
HLX Helix Energy Solutions Group, Inc. $9.88
5.471M
$53.66M
HMC Honda Motor Co., Ltd. American Depositary Share, each representing three (3) shares of Common Stock $24.60
1.65M
$40.42M
HMN Horace Mann Educators Corporation $46.26
202.306K
$9.33M
HMY Harmony Gold Mining Company Limited $16.66
5.686M
$94.39M
HOMB Home BancShares, Inc. $26.82
2.032M
$54.47M
HOV Hovnanian Enterprises, Inc. Class A $119.87
73.442K
$8.79M
HP Helmerich & Payne, Inc. $37.35
697.672K
$26.05M
HPE Hewlett Packard Enterprise Company $28.00
9.912M
$276.55M
HPP Hudson Pacific Properties, Inc. $8.29
945.609K
$7.71M
HR Healthcare Realty Trust Incorporated $18.61
2.586M
$47.74M
HRL Hormel Foods Corporation $21.76
3.123M
$67.64M
HRTG HERITAGE INSURANCE HOLDINGS INC $28.11
321.622K
$9.05M
HSHP Himalaya Shipping Ltd. $13.37
172.242K
$2.31M
HTB HomeTrust Bancshares, Inc. $46.20
29.419K
$1.35M
HTGC Hercules Capital, Inc. $15.37
1.776M
$27.35M
HTT High Templar Tech Limited $2.40
55.323K
$133.63K
HVT Haverty Furniture Companies, Inc. $22.78
29.621K
$673.13K
HY HYSTER-YALE MATERIALS HANDLING, INC $39.70
40.752K
$1.61M
IBM International Business Machines Corporation $231.09
22.579M
$5.19B
IBP INSTALLED BUILDING PRODUCTS, INC. $308.98
178.952K
$55.05M
ICE Intercontinental Exchange Inc. $157.48
2.042M
$320.46M
IDT IDT Corporation Class B $51.34
52.727K
$2.71M
IFF International Flavors & Fragrances Inc. $70.94
657.958K
$46.71M
IFS Intercorp Financial Services Inc. $45.60
345.954K
$15.87M
IH iHuman Inc. American depositary shares, each representing five Class A ordinary shares $1.76
4.87K
$8.50K
IHG InterContinental Hotels Group Plc $143.67
461.822K
$66.35M
IIIN Insteel Industries, Inc. $25.72
252.883K
$6.48M
IIPR Innovative Industrial Properties, Inc. Common stock $53.45
766.497K
$42.41M
INFY Infosys Limited American Depositary Shares $12.95
31.2M
$398.73M
ING ING Groep N.V. American Depositary Shares $27.72
3.106M
$86.37M
INGM Ingram Micro Holding Corporation $30.44
891.857K
$27.19M
INGR Ingredion Incorporated $112.89
501.355K
$56.95M
INN Summit Hotel Properties, Inc. $4.69
290.26K
$1.36M
INR Infinity Natural Resources, Inc. $16.75
170.539K
$2.70M
INSP Inspire Medical Systems, Inc. $56.50
983.206K
$54.86M
INSW International Seaways, Inc. Common Stock $76.81
217.733K
$16.74M
INVH Invitation Homes Inc. Common Stock $27.20
3.173M
$86.10M
INVX Innovex International, Inc. $27.28
215.658K
$5.92M
IP International Paper Co. $33.49
7.814M
$263.45M
IR Ingersoll Rand Inc. Common Stock $83.37
2.323M
$197.13M
IRS IRSA Inversiones y Representaciones S.A. Global Depositary Shares $14.73
138.969K
$2.07M
IRT Independence Realty Trust Inc. $16.07
2.705M
$42.46M
ITGR Integer Holdings Corporation $84.86
679.266K
$57.25M
ITUB Itau Unibanco Holding S.A. American Depositary Shares $8.80
20.183M
$179.85M
ITW Illinois Tool Works Inc. $269.98
964.75K
$263.24M
IVR Invesco Mortgage Capital Inc. $8.28
2.33M
$19.29M
IVT InvenTrust Properties Corp. $32.33
486.619K
$15.79M
JACS Jackson Acquisition Company II $10.61
10.571K
$112.16K
JAN JanOne Inc. Common Stock (NV) $25.26
551.888K
$13.57M
JBGS JBG SMITH Properties Common Shares $15.36
216.274K
$3.33M
JBI Janus International Group, Inc. $5.37
552.903K
$2.99M
JBTM JBT Marel Corporation $130.99
220.91K
$28.90M
JCI Johnson Controls International plc $141.36
2.323M
$328.64M
JEF Jefferies Financial Group Inc. $45.80
1.406M
$64.41M
JELD JELD-WEN Holding, Inc. $1.28
1.012M
$1.32M
JENA Jena Acquisition Corporation II $10.25
8.099K
$83.02K
JHG Janus Henderson Group plc Ordinary Shares $51.55
1.316M
$67.85M
JHX JAMES HARDIE INDUSTRIES plc. $21.90
5.331M
$117.12M
JILL J.Jill, Inc. Common Stock $13.01
24.863K
$325.60K
JKS JINKOSOLAR HOLDINGS CO $22.71
624.129K
$14.21M
JLL Jones Lang LaSalle, Inc. $337.63
674.477K
$228.76M
JMIA Jumia Technologies AG $7.30
1.528M
$11.02M
JXN Jackson Financial Inc. $113.40
365.971K
$41.23M
KBDC Kayne Anderson BDC, Inc. $14.14
240.372K
$3.41M
KEP Korea Electric Power Corp $15.30
574.393K
$8.88M
KEYS Keysight Technologies, Inc. $350.00
780.234K
$269.76M
KFS Kingsway Financial Services, Inc. $11.61
53.275K
$617.84K
KGC Kinross Gold Corporation $32.02
11.45M
$366.42M
KGS Kodiak Gas Services, Inc. $64.82
662.581K
$43.03M
KLC KinderCare Learning Companies, Inc. $3.33
639.15K
$2.13M
KNF Knife River Corporation $87.01
268.184K
$23.74M
KNOP KNOT OFFSHORE PARTNERS LP $10.45
142.387K
$1.48M
KNSL Kinsale Capital Group, Inc. $344.25
287.702K
$100.17M
KNTK Kinetik Holdings Inc. $48.12
737.409K
$35.50M
KNX Knight-Swift Transportation Holdings Inc. Class A Common Stock $65.77
3.926M
$261.24M
KODK EASTMAN KODAK COMPANY $12.71
772.556K
$10.03M
KOF Coca-Cola FEMSA, S.A.B DE C.V $101.93
238.277K
$24.21M
KOP Koppers Holdings, Inc. $38.65
91.716K
$3.53M
KORE KORE Group Holdings, Inc. $9.17
47.601K
$435.54K
KREF KKR Real Estate Finance Trust Inc. $6.09
6.039M
$35.75M
KRG Kite Realty Group Trust $26.10
1.52M
$39.41M
KRO Kronos Worldwide, Inc. $6.84
506.722K
$3.45M
KRP Kimbell Royalty Partners, LP Common Units representing Limited Partner Interests $14.59
559.996K
$8.17M
KRSP Rice Acquisition Corporation 3 $10.27
105.244K
$1.08M
KTB Kontoor Brands, Inc. Common Stock $75.78
439.765K
$33.30M
KW KENNEDY-WILSON HOLDINGS, INC. $10.90
1.039M
$11.32M
LAC Lithium Americas Corp. $4.78
10.861M
$51.60M
LANV Lanvin Group Holdings Limited $1.55
46.807K
$73.79K
LC LendingClub Corporation $17.32
1.451M
$25.19M
LDOS Leidos Holdings, Inc. $147.60
866.046K
$127.90M
LEN Lennar Corporation Class A $94.27
1.471M
$138.95M
LEN.B Lennar Corporation Class B $92.32
47.322K
$4.37M
LEVI Levi Strauss & Co. Class A Common Stock $22.50
2.367M
$53.02M
LFT Lument Finance Trust, Inc. $1.28
123.629K
$157.29K
LHX L3Harris Technologies, Inc. $328.06
1.665M
$548.96M
LII Lennox International Inc. $493.67
452.756K
$223.98M
LION Lionsgate Studios Corp. Common Shares $11.44
3.78M
$42.21M
LITB LIGHTINTHEBOX HOLDING CO., LTD. $2.13
7.957K
$17.01K
LNC Lincoln National Corp. $36.45
861.586K
$31.38M
LND BrasilAgro - Companhia Brasileira de Propriedades Agracolas $4.02
106.413K
$429.79K
LOB Live Oak Bancshares, Inc. $37.48
213.527K
$7.95M
LOCL Local Bounti Corporation $2.42
506.667K
$1.27M
LOMA Loma Negra Compañía Industrial Argentina Sociedad Anónima American Depositary Shares (ADSs), each representing five ordinary shares $11.13
357.993K
$4.02M
LPX Louisiana-Pacific Corp. $74.17
744.458K
$55.42M
LSPD Lightspeed Commerce Inc. $9.45
712.214K
$6.74M
LTH Life Time Group Holdings, Inc. $27.17
1.021M
$27.75M
LTM LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) $50.30
966.673K
$48.99M
LU Lufax Holding Ltd. American Depositary Shares, each representing two (2) Ordinary Shares $1.86
900.521K
$1.67M
LUCK Lucky Strike Entertainment Corporation $7.60
112.823K
$897.39K
LUMN Lumen Technologies, Inc. $9.04
15.108M
$137.73M
LUV Southwest Airlines Co. $37.86
15.759M
$598.88M
LUXE LuxExperience B.V. American Depositary Shares, each representing one Ordinary Share $9.03
96.446K
$868.22K
LW Lamb Weston Holdings, Inc. $43.97
1.239M
$54.45M
LXFR Luxfer Holdings PLC Ordinary Shares $12.90
66.674K
$859.59K
LYB LyondellBasell Industries N.V. Class A $71.00
5.092M
$358.65M
LYG Lloyds Banking Group PLC $5.33
17.027M
$91.18M
LYV Live Nation Entertainment Inc. $153.21
2.037M
$312.16M
LZM Lifezone Metals Limited $4.75
2.117M
$9.84M
MA Mastercard Incorporated $502.31
2.198M
$1.11B
MAA Mid-America Apartment Communities, Inc. $126.00
380.583K
$47.92M
MAIN Main Street Capital Corporation $54.03
453.07K
$24.52M
MAIR Madison Air Solutions Corporation $34.00
4.113M
$140.70M
MANE Veradermics, Incorporated $69.30
212.131K
$14.87M
MANU MANCHESTER UNITED PLC $16.95
258.441K
$4.41M
MCB Metropolitan Bank Holding Corp. Common Stock, $0.01 par value per share $89.17
95.475K
$8.49M
MCD McDonald's Corporation $302.20
2.384M
$722.82M
MCS The Marcus Corporation $18.61
138.013K
$2.57M
MD Pediatrix Medical Group, Inc. $22.76
257.562K
$5.90M
MDU MDU Resources Group, Inc. $21.72
851.973K
$18.59M
MDV Modiv Industrial, Inc. $15.98
17.386K
$277.23K
MEC Mayville Engineering Company, Inc. $21.37
63.784K
$1.37M
MEG Montrose Environmental Group, Inc. $20.90
192.839K
$4.01M
MFC Manulife Financial Corp. $38.65
1.551M
$59.74M
MFG Mizuho Financial Group, Inc. American Depositary Shares (Each representing one-fifth of an Ordinary Share) $8.20
3.487M
$28.43M
MGM MGM RESORTS INTERNATIONAL $38.42
2.692M
$104.63M
MGY Magnolia Oil & Gas Corporation Class A Common Stock $29.72
1.335M
$39.40M
MHK Mohawk Industries, Inc. $108.27
630.491K
$68.08M
MIAX Miami International Holdings, Inc. $45.49
526.362K
$23.74M
MICC The Magnum Ice Cream Company N.V. $13.20
1.605M
$21.19M
MIR Mirion Technologies, Inc. $19.55
1.563M
$30.27M
MITT AG MORTGAGE INVESTMENT TRUST, INC. $7.89
120.453K
$965.35K
MKC McCormick & Company, Incorporated Non-VTG CS $51.70
2.095M
$108.50M
MKC.V McCormick & Company, Incorporated Voting CS $51.08
2.133K
$110.29K
MLI Mueller Industries, Inc. $135.74
446.022K
$60.48M
MLM Martin Marietta Materials $618.89
288.336K
$177.29M
MLP Maui Land & Pineapple Co. $15.33
2.701K
$41.78K
MLR Miller Industries, Inc. $47.58
27.149K
$1.29M
MNSO MINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares $14.60
796.846K
$11.66M
MNTN Everest Consolidator Acquisition Corporation $9.82
269.063K
$2.65M
MOD Modine Manufacturing Co $250.57
536.027K
$135.93M
MOGU MOGU Inc. American Depositary Shares, each representing three-hundred (300) Class A Ordinary Shares $2.31
3.614K
$8.47K
MOH Molina Healthcare, Inc. $174.00
3.452M
$592.72M
MPC MARATHON PETROLEUM CORPORATION $221.10
1.853M
$410.56M
MPT Medical Properties Trust, Inc. $5.24
4.045M
$21.15M
MRP Millrose Properties, Inc. $31.08
686.841K
$20.99M
MSA Mine Safety Incorporated $172.31
95.342K
$16.38M
MSC Studio City International Holdings Limited American depositary shares, each representing four Class A ordinary shares $2.50
100
$250.00
MSDL Morgan Stanley Direct Lending Fund $14.97
696.866K
$10.52M
MSGE Madison Square Garden Entertainment Corp. $61.70
208.186K
$12.84M
MSGS Madison Square Garden Sports Corp. $331.57
249.659K
$81.79M
MSI Motorola Solutions, Inc. New $443.17
535.206K
$236.97M
MSIF MSC Income Fund, Inc. $12.31
216.503K
$2.70M
MSM MSC Industrial Direct Co., Inc. Class A $98.06
434.844K
$42.64M
MTD Mettler-Toledo International $1,264.36
122.983K
$153.91M
MTDR MATADOR RESOURCES COMPANY $61.49
1.491M
$91.22M
MTH Meritage Homes Corporation $69.90
1.576M
$108.11M
MTW The Manitowoc Company, Inc. $13.36
166.695K
$2.21M
MTX Minerals Technologies Inc $71.35
73.934K
$5.25M
MUFG Mitsubishi UFJ Financial Group, Inc. $17.23
2.504M
$43.26M
MWA Mueller Water Products, Inc. $28.09
631.47K
$17.68M
MX Magnachip Semiconductor Corp. $4.32
2.286M
$9.62M
MYE Myers Industries, Inc. $21.34
90.948K
$1.94M
NAT Nordic American Tanker $5.45
5.375M
$29.68M
NATL NCR Atleos Corporation $45.37
454.146K
$20.66M
NBHC NATIONAL BANK HOLDINGS CORP. $42.92
328.51K
$13.98M
NBR Nabors Industries Ltd. $88.54
304.659K
$26.79M
NCDL Nuveen Churchill Direct Lending Corp $14.01
100.859K
$1.42M
NCLH Norwegian Cruise Line Holdings Ltd. Ordinary Shares $18.52
15.899M
$296.75M
NEXA Nexa Resources S.A. Common Shares $14.83
2.001M
$29.38M
NGL NGL ENERGY PARTNERS LP $14.73
104.372K
$1.52M
NGS Natural Gas Services Group, Inc. $38.36
39.462K
$1.52M
NGVC NATURAL GROCERS BY VITAMIN COTTAGE, INC $27.19
52.702K
$1.45M
NHI National Health Investors $77.62
331.884K
$25.75M
NIC Nicolet Bankshares,Inc. $144.04
164.917K
$23.82M
NIO NIO Inc. American depositary shares, each representing one Class A ordinary share $6.31
30.85M
$194.10M
NIQ NIQ Global Intelligence plc $11.23
568.495K
$6.34M
NJR New Jersey Resources Corp $56.50
299.516K
$16.91M
NLOP Net Lease Office Properties $12.82
231.902K
$2.97M
NLY Annaly Capital Management. Inc. $22.50
3.79M
$85.28M
NMG Nouveau Monde Graphite Inc. $2.14
633.877K
$1.34M
NMM Navios Maritime Partners L.P. $69.58
69.168K
$4.85M
NOA North American Construction Group Ltd. $13.97
76.855K
$1.07M
NOAH Noah Holdings Limited American Depositary Shares (each representing five (5) Ordinary shares) $10.04
46.52K
$469.74K
NOC Northrop Grumman Corp. $587.00
1.079M
$635.84M
NOG Northern Oil and Gas, Inc. $26.68
1.35M
$36.11M
NP Neptune Insurance Holdings Inc. $27.16
542.656K
$14.52M
NPB Northpointe Bancshares, Inc. $17.32
175.229K
$3.04M
NPK National Presto Industries, Inc. $140.23
50.228K
$7.01M
NPKI NPK International Inc. $14.61
396.355K
$5.86M
NREF NexPoint Real Estate Finance, Inc. $13.98
25.401K
$354.93K
NRGV Energy Vault Holdings, Inc. $4.51
4.599M
$20.02M
NRP Natural Resource Partners L.P. $116.52
5.796K
$670.49K
NRT North European Oil Royalty Trust $8.38
18.497K
$153.80K
NSA National Storage Affiliates Trust $43.61
580.374K
$25.10M
NSC Norfolk Southern Corp. $319.75
1.076M
$340.45M
NTB The Bank of N.T. Butterfield & Son Limited $56.28
68.716K
$3.86M
NTR Nutrien Ltd. Common Shares $72.30
1.673M
$120.29M
NUS NuSkin Enterprises, Inc. $7.46
318.547K
$2.39M
NVGS NAVIGATOR HOLDINGS LTD. $20.87
337.37K
$7.06M
NVST Envista Holdings Corporation Common stock, $0.01 par value per share $26.86
1.668M
$44.98M
NVT nVent Electric plc Ordinary Shares $144.00
2.333M
$332.46M
NWAX New America Acquisition I Corp. $10.11
26.084K
$263.68K
NWG NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) $15.81
3.459M
$54.46M
NWN Northwest Natural Holding Company $53.51
62.092K
$3.30M
NX Quanex Building Products Corporation $20.47
186.763K
$3.83M
NXDR Nextdoor Holdings, Inc. $1.54
2.012M
$3.13M
NXRT NexPoint Residential Trust Inc $26.00
120.503K
$3.13M
NYC American Strategic Investment Co. $8.22
1.784K
$14.79K
O Realty Income Corporation $63.79
3.411M
$217.50M
OBDC Blue Owl Capital Corporation $11.40
2.479M
$28.23M
ODC Oil-Dri Corporation of America $71.47
24.312K
$1.74M
ODV Osisko Development Corp. $3.37
2.598M
$8.76M
OFRM Once Upon a Farm, PBC $14.67
412.203K
$6.10M
OGC OceanaGold Corporation $32.44
32.837K
$1.08M
OHI Omega Healthcare Investors Inc. $46.35
1.859M
$85.70M
OII Oceaneering International Inc. $38.28
1.985M
$75.47M
OIS OIL STATES INTERNATIONAL, INC. $10.90
372.778K
$4.06M
OLP One Liberty Properties, Inc. $22.51
24.325K
$558.89K
OMF OneMain Holdings, Inc. $59.00
541.582K
$31.96M
ONL Orion Office REIT Inc. $2.50
613.892K
$1.53M
OOMA Ooma, Inc. Common Stock $15.90
185.372K
$2.94M
OPAD Offerpad Solutions Inc. $0.8364
540.889K
$449.30K
OPTU Optimum Communications, Inc. $1.60
1.303M
$2.20M
OPY Oppenheimer Holdings, Inc. $112.52
39.047K
$4.44M
OR Osisko Gold Royalties Ltd $40.04
791.122K
$31.63M
ORA Ormat Technologies, Inc. $113.80
1.332M
$149.87M
ORC Orchid Island Capital, Inc. $6.90
5.989M
$41.06M
ORI Old Republic International Corporation $39.90
2.672M
$109.15M
ORN Orion Group Holdings, Inc $12.85
208.216K
$2.58M
OSG Overseas Shipholding Group Inc. $4.58
324.092K
$1.48M
OTF Blue Owl Technology Finance Corp. $11.29
2.274M
$25.50M
OTIS Otis Worldwide Corporation $79.65
4.57M
$363.80M
OXM Oxford Industries, Inc. $45.32
215.853K
$9.88M
OXY Occidental Petroleum Corporation $57.87
8.646M
$496.89M
PAAS Pan American Silver Corp. $55.28
4.355M
$240.25M
PAC Grupo Aeroportuario del Pacifico, S.A.B. de C.V. Amer. Dep. Shares (each rep. 10 Ser. B shares) $262.05
163.835K
$43.18M
PACK Ranpak Holdings Corp. $4.00
304.294K
$1.23M
PAG Penske Automotive Group, Inc. $160.00
144.12K
$23.09M
PAGS PagSeguro Digital Ltd. $10.37
3.711M
$38.28M
PARR Par Pacific Holdings, Inc. Common Stock $63.79
1.146M
$73.94M
PAY Paymentus Holdings, Inc. $27.00
309.604K
$8.43M
PAYC PAYCOM SOFTWARE, INC. $125.50
523.107K
$65.05M
PB Prosperity Bancshares Inc $69.63
715.032K
$49.74M
PBA PEMBINA PIPELINE CORPORATION $43.19
838.68K
$36.20M
PBH Prestige Consumer Healthcare Inc. $57.77
620.805K
$35.20M
PBR PETROLEO BRASILEIRO S.A.-PETROBRAS ADS (REP 1 COMMON SHARE) $21.25
11.338M
$241.21M
PBR.A Petroleo Brasileiro S.A.-Petrobras $19.25
7.69M
$148.27M
PBT Permian Basin Royalty Trust $22.08
57.183K
$1.27M
PCOR Procore Technologies, Inc. $54.28
1.8M
$95.75M
PDCC Pearl Diver Credit Company Inc. $10.10
27.955K
$289.12K
PDM Piedmont Office Realty Trust, Inc. $8.07
857.197K
$6.89M
PDS Precision Drilling Corporation $92.05
97.511K
$8.90M
PEB Pebblebrook Hotel Trust $13.74
858.771K
$11.72M
PEG Public Service Enterprise Group Incorporated $80.16
1.495M
$119.09M
PEW GrabAGun Digital Holdings Inc. $2.98
129.345K
$386.71K
PFGC Performance Food Group Company $90.22
942.885K
$85.79M
PFLT PennantPark Floating Rate Capital Ltd. $8.74
1.342M
$11.69M
PFS Provident Financial Services, Inc. $22.75
607.215K
$13.76M
PFSI PennyMac Financial Services, Inc. Common Stock $89.86
243.85K
$21.84M
PG Procter & Gamble Company $145.62
8.464M
$1.23B
PGR Progressive Corporation $203.80
1.475M
$302.94M
PH Parker-Hannifin Corporation $973.88
465.797K
$454.60M
PHG KONINKLIJKE PHILIPS N.V. $27.63
1.088M
$30.13M
PINE Alpine Income Property Trust, Inc $20.24
117.103K
$2.28M
PINS Pinterest, Inc. Class A Common Stock $19.98
7.964M
$157.64M
PIPR Piper Sandler Companies $87.78
487.959K
$42.75M
PK Park Hotels & Resorts Inc. Common Stock $10.98
3.99M
$44.12M
PKE Park Aerospace Corp. Common Stock $32.80
268.951K
$8.93M
PKG Packaging Corp of America $215.02
1.609M
$350.45M
PKST Peakstone Realty Trust $20.94
371.399K
$7.78M
PKX POSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock) $69.00
121.148K
$8.31M
PLOW DOUGLAS DYNAMICS, INC. $46.00
138.853K
$6.42M
PM Philip Morris International Inc. $168.80
5.86M
$986.50M
PMT PennyMac Mortgage Investment Trust $11.95
724.262K
$8.62M
PNC PNC Financial Services Group $225.09
976.987K
$220.15M
PNFP Pinnacle Financial Partners In $99.40
1.842M
$181.04M
PNNT Pennant Investment Corp $4.58
473.597K
$2.16M
PNW Pinnacle West Capital Corporation $103.50
818.449K
$84.40M
POR Portland General Electric Company $51.43
802.829K
$41.17M
PR Permian Resources Corporation $20.82
10.798M
$223.70M
PRA ProAssurance Corporation $24.64
781.362K
$19.25M
PRIM Primoris Services Corporation $172.53
780.243K
$135.39M
PRKS United Parks & Resorts Inc. $34.99
704.971K
$24.72M
PRM Perimeter Solutions, SA $30.91
1.282M
$40.02M
PRMB Primo Brands Corporation $20.12
2.748M
$55.87M
PRSU Pursuit Attractions and Hospitality, Inc. $40.78
98.355K
$4.03M
PRU Prudential Financial, Inc. $94.35
1.856M
$175.06M
PSBD Palmer Square Capital BDC Inc. $10.65
46.223K
$489.30K
PSTL Postal Realty Trust, Inc $21.75
144.011K
$3.11M
PUK PRUDENTIAL PLC ADS (REP 2 ORD SHARES) $30.39
889.317K
$27.12M
PUMP ProPetro Holding Corp. $17.08
2.564M
$42.37M
PVL Permianville Royalty Trust $1.79
54.875K
$99.91K
PXED Phoenix Education Partners, Inc. $26.76
87.274K
$2.38M
QSR Restaurant Brands International Inc. $81.72
3.633M
$293.56M
QXO QXO, Inc. Common Stock $22.13
18.511M
$397.74M
RAC Rithm Acquisition Corp. $10.42
2.233M
$23.24M
RAMP LiveRamp Holdings, Inc. Common Stock $28.10
345.476K
$9.69M
RBC RBC Bearings Incorporated $598.70
95.579K
$57.49M
RC Ready Capital Corporation $1.80
1.293M
$2.35M
RCI Rogers Communications, Inc. $38.09
1.498M
$55.90M
RCUS Arcus Biosciences, Inc. $25.30
1.359M
$34.33M
RDY Dr. Reddy's Laboratories Limited American Depositary Shares $13.50
7.504M
$102.00M
RERE ATRenew Inc. American Depositary Shares (every three of which representing two Class A ordinary shares) $4.67
996.822K
$4.59M
REX REX American Resources Corp. $46.55
100.634K
$4.67M
REXR REXFORD INDUSTRIAL REALTY, INC. $36.50
2.199M
$79.77M
REZI Resideo Technologies, Inc. Common Stock $40.63
1.22M
$49.48M
RF Regions Financial Corp. $28.39
6.891M
$195.17M
RFL Rafael Holdings, Inc. Class B Common Stock $1.29
63.476K
$85.34K
RGA Reinsurance Group of America, Incorporated $209.58
211.468K
$44.08M
RGR Sturm, Ruger & Company, Inc. $42.37
51.09K
$2.16M
RHLD Resolute Holdings Management Common Stock $142.93
36.604K
$5.21M
RHP Ryman Hospitality Properties, Inc $100.59
440.694K
$44.25M
RJF Raymond James Financial, Inc. $153.41
2.029M
$313.91M
RKT Rocket Companies, Inc. $15.36
20.518M
$312.73M
RL Ralph Lauren Corporation $371.14
425.898K
$159.76M
RLX RLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share $2.11
1.045M
$2.29M
RM REGIONAL MANAGEMENT CORP $38.62
46.997K
$1.83M
RMAX RE/MAX HOLDINGS, INC. $6.57
195.476K
$1.29M
RNGR Ranger Energy Services, Inc. $18.36
337.403K
$6.23M
RNR RenaissanceRe Holdings Ltd. $313.63
211.614K
$66.21M
ROK Rockwell Automation, Inc. $418.38
387.265K
$158.43M
RPC Ridgepost Capital, Inc. $7.73
429.382K
$3.32M
RPM RPM International, Inc. $105.70
1.034M
$109.13M
RPT Rithm Property Trust Inc. $14.39
7.495K
$108.31K
RRX Regal Rexnord Corporation $213.47
653.317K
$139.43M
RSG Republic Services Inc. $213.00
1.469M
$310.12M
RSI Rush Street Interactive, Inc. $23.40
668.331K
$15.59M
RTO Rentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) $33.59
871.263K
$29.27M
RVI Robinhood Ventures Fund I $29.00
784.356K
$23.11M
RYAM Rayonier Advanced Materials Inc. $9.75
1.161M
$11.23M
RYAN Ryan Specialty Holdings, Inc. $35.39
1.634M
$57.63M
RYZ Ryerson Holding Corporation $25.40
214.097K
$5.42M
SAC Safeguard Acquisition Corp. $10.02
53K
$531.06K
SAH Sonic Automotive, Inc. $71.22
137.219K
$9.73M
SAR SARATOGA INVESTMENT CORP. NEW $22.54
164.346K
$3.72M
SBH Sally Beauty Holdings, Inc. $14.59
767.403K
$11.18M
SBS COMPANHIA DE SANEAMENTO B SICO DO ESTADO DE SAO PAULO-SABESP ADS'S $34.54
1.433M
$50.15M
SBSI Southside Bancshares Inc $33.15
30.951K
$1.02M
SBSW Sibanye-Stillwater American Depositary Shares, each representing four ordinary shares $12.60
4.45M
$56.41M
SCCO Southern Copper Corporation $184.50
1.883M
$349.74M
SCHW The Charles Schwab Corporation $88.85
15.018M
$1.34B
SCI Service Corporation International $86.37
1.627M
$139.45M
SCM STELLUS CAPITAL INVESTMENT CORPORATION $9.60
97.551K
$940.75K
SDHC Smith Douglas Homes Corp. $14.51
78.377K
$1.13M
SDHY PGIM Short Duration High Yield Opportunities Fund $16.11
69.729K
$1.12M
SE Sea Limited American Depositary Shares, each representing one Class A Ordinary Share $83.50
2.888M
$240.99M
SEG Seaport Entertainment Group Inc. $22.36
16.002K
$356.29K
SEI Solaris Energy Infrastructure, Inc. $70.84
2.377M
$165.81M
SEM SELECT MEDICAL HOLDINGS CORP $16.43
440.951K
$7.24M
SEMR SEMrush Holdings, Inc. $12.00
2.287M
$27.42M
SFBS ServisFirst Bancshares Inc. $79.92
139.511K
$11.09M
SGHC Super Group (SGHC) Limited $12.25
2.507M
$30.48M
SGI Somnigroup International Inc. $79.44
1.851M
$147.15M
SGU Star Group, L.P. Common Units Representing Limited Partner Interest $12.74
7.139K
$90.64K
SHEL Shell plc American Depositary Shares (Each represents two Ordinary shares) $89.22
3.072M
$274.25M
SHG Shinhan Financial Group Co Ltd $66.73
384.632K
$25.68M
SHO Sunstone Hotel Investors, Inc. $9.56
422.471K
$4.03M
SHW The Sherwin-Williams Company $337.66
963.393K
$323.36M
SI Shoulder Innovations, Inc. $13.08
43.284K
$574.80K
SID Companhia Siderurgica Nacional S.A. (CSN) $1.30
4.929M
$6.50M
SIG Signet Jewelers Limited $90.02
491.197K
$44.64M
SILA Sila Realty Trust, Inc. $30.41
821.625K
$25.00M
SITC SITE Centers Corp. Common Shares $5.46
482.961K
$2.62M
SITE SiteOne Landscape Supply, Inc. $144.40
369.56K
$53.50M
SJM The J.M. Smucker Company $96.19
1.07M
$102.30M
SJT San Juan Basin Royalty Trust UBI $4.33
147.295K
$649.48K
SKE Skeena Resources Limited $31.78
580.707K
$18.52M
SKM SK Telecom Co., Ltd. American Depositary Shares (Each representing 5/9th of a Ordinary Share of SK Telecom Co., LTD.) $37.99
2.532M
$96.43M
SKY Skyline Champion Corporation Common Stock $81.25
291.669K
$23.68M
SKYH Sky Harbour Group Corporation $10.39
65.154K
$680.78K
SLAI SOLAI Limited American Depositary Shares (each representing one hundred (100) Class A Ordinary Shares) $0.7962
2.724M
$2.33M
SLF Sun Life Financial Inc. $70.74
404.648K
$28.60M
SMA SmartStop Self Storage REIT, Inc. $32.49
516.883K
$16.59M
SMC Summit Midstream Corporation $29.81
13.677K
$402.10K
SMFG Sumitomo Mitsui Financial Group, Inc $20.10
1.714M
$34.58M
SMG The Scotts Miracle-Gro Company $64.33
511.722K
$32.77M
SMHI SEACOR Marine Holdings Inc. Common Stock $6.91
38.539K
$268.80K
SMP Standard Motor Products $38.08
44.819K
$1.70M
SMR NuScale Power Corporation $13.06
66.928M
$889.42M
SNDA Sonida Senior Living, Inc. $35.15
505.426K
$17.53M
SNDR Schneider National, Inc. $30.13
903.714K
$27.41M
SOBO South Bow Corporation $31.86
874.006K
$27.82M
SOLV Solventum Corporation $68.96
636.853K
$43.77M
SON Sonoco Products Company $49.83
3.109M
$154.02M
SONY Sony Group Corporation American Depositary Shares (Each Representing One Share of Dollar Validated Common Stock) $20.53
4.714M
$96.64M
SOS SOS Limited American Depositary Shares, each representing ten (10) Class A Ordinary Shares $1.24
33.483K
$41.63K
SOUL Soulpower Acquisition Corporation $10.32
136.294K
$1.41M
SPB Spectrum Brands Holdings, Inc. $84.33
125.379K
$10.60M
SPCE Virgin Galactic Holdings, Inc. $2.75
7.04M
$19.53M
SPG Simon Property Group, Inc. $203.51
600.755K
$122.17M
SPH Suburban Propane Partners L P $19.56
66.238K
$1.28M
SPHR Sphere Entertainment Co. $129.50
792.556K
$101.50M
SPMC Sound Point Meridian Capital, Inc. $9.49
11.367K
$108.49K
SPOT Spotify Technology S.A. $516.00
1.401M
$713.97M
SPRU Spruce Power Holding Corporation $3.85
43.212K
$172.02K
SPXC SPX Technologies, Inc. $227.00
232.799K
$52.32M
SQM Sociedad Quimica y Minera de Chile SA $85.35
913.045K
$77.94M
SQNS Sequans Communications S.A. American Depositary Shares, each representing four Ordinary Shares $2.93
117.433K
$338.14K
SRFM Surf Air Mobility Inc. $1.13
8.036M
$9.06M
SRG Seritage Growth Properties Class A common shares of beneficial interest, par value $0.01 $2.59
882.609K
$2.29M
SRL Scully Royalty Ltd. Common Shares $6.91
917
$6.36K
SSB SouthState Corporation $98.09
814.368K
$79.71M
SSD Simpson Manufacturing Co., Inc. $185.30
257.439K
$48.04M
ST Sensata Technologies Holding plc $42.15
1.852M
$77.44M
STAG STAG INDUSTRIAL, INC. $39.28
580.44K
$22.79M
STC Stewart Information Services Corporation $70.94
250.382K
$17.41M
STEL Stellar Bancorp, Inc. $37.56
312.347K
$11.76M
STG Sunlands Technology Group, American Depositary Shares, American Depositary Shares, every two (2) ADSs representing one (1) Class A Ordinary Share $3.54
1.103K
$3.90K
STM STMicroelectronics N.V. $50.00
24.415M
$1.21B
STT State Street Corporation $151.25
1.826M
$276.11M
STUB StubHub Holdings, Inc. $6.95
2.02M
$14.05M
STVN Stevanato Group S.p.A. $16.24
754.314K
$12.47M
STWD STARWOOD PROPERTY TRUST, INC. $18.05
1.428M
$25.93M
STZ Constellation Brands, Inc. $157.69
1.357M
$216.48M
SUNB Sunbelt Rentals Holdings, Inc. $76.35
3.634M
$275.41M
SUPV Grupo Supervielle S.A. $8.96
894.463K
$8.16M
SUZ Suzano S.A. American Depositary Shares (each representing one Ordinary Share ) representing one Ordinary Share) $9.35
2.735M
$25.68M
SVV Savers Value Village, Inc. $8.64
1.058M
$9.08M
SWK Stanley Black & Decker, Inc. $76.01
1.941M
$147.45M
SWX Southwest Gas Holdings, Inc. $90.51
362.285K
$32.72M
SXI Standex International Corporation $274.79
167.322K
$46.27M
SXT Sensient Technology Corporation $99.50
575.015K
$55.54M
TAK Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) $16.65
1.734M
$28.86M
TALO Talos Energy, Inc. Common Stock $15.23
1.203M
$18.23M
TAP Molson Coors Beverage Company Class B $43.42
2.559M
$109.99M
TBN Tamboran Resources Corporation $35.99
72.663K
$2.58M
TCBX Third Coast Bancshares, Inc. Common Stock $38.65
195.76K
$7.50M
TCI Transcontinental Realty Investors, Inc. $35.43
1.308K
$46.23K
TDG TransDigm Group Incorporated $1,164.66
574.146K
$673.76M
TDS Telephone and Data Systems Inc. $45.36
370.795K
$16.77M
TDY Teledyne Technologies Incorporated $651.75
461.316K
$302.81M
TECK Teck Resources Limited $61.20
6.904M
$425.78M
TEN Tsakos Energy Navigation Ltd. $38.38
130.075K
$5.03M
TEO Telecom Argentina S.A. $11.55
237.297K
$2.81M
TEVA Teva Pharmaceutical Industries Limited American Depositary Shares $30.68
3.288M
$101.85M
TFC Truist Financial Corporation $51.39
6.8M
$348.54M
TFII TFI International Inc. $137.90
265.82K
$36.60M
TFIN Triumph Financial, Inc. Common Stock $67.23
662.467K
$44.54M
TFPM Triple Flag Precious Metals Corp. $33.88
587.687K
$19.99M
TGE The Generation Essentials Group $1.09
11.971K
$13.01K
TGS Transportadora de Gas del Sur S.A. ADS $30.78
104.591K
$3.24M
THC Tenet Healthcare Corporation New $188.39
888.112K
$168.23M
THG The Hanover Insurance Group, Inc. $181.87
190.769K
$34.53M
THR THERMON GROUP HOLDINGS, INC. $54.08
255.569K
$13.77M
TIMB TIM S.A. American Depositary Shares (Each representing 5 Common Shares) $26.02
247.262K
$6.44M
TJX TJX Companies, Inc. (The) $157.81
2.626M
$415.83M
TKC TURKCELL ILETISIM HIZMETLERI A.S. ADS $6.33
568.619K
$3.60M
TKO TKO Group Holdings, Inc. $186.26
888.741K
$165.01M
TLK PT Telekomunikasi Indonesia $17.22
1.339M
$23.03M
TM Toyota Motor Corporation American Depositary Shares (Each representing ten Ordinary Shares) $196.00
583.122K
$114.51M
TME Tencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares $9.28
6.428M
$59.82M
TMHC Taylor Morrison Home Corporation Common Stock $64.33
1.454M
$93.32M
TMO Thermo Fisher Scientific, Inc. $469.19
5.395M
$2.51B
TPB Turning Point Brands, Inc. $75.20
388.809K
$28.81M
TPC Tutor Perini Corporation $86.48
237.147K
$20.31M
TPH Tri Pointe Homes, Inc. $46.89
1.196M
$56.05M
TPL Texas Pacific Land Corporation $440.04
219.434K
$96.11M
TPR Tapestry, Inc. Common Stock $146.45
1.137M
$167.63M
TPVG TRIPLEPOINT VENTURE GROWTH BDC CORP. $5.16
175.56K
$921.34K
TR Tootsie Roll Industries, Inc. $42.61
72.325K
$3.09M
TRAD APEX Tech Acquisition Inc. $9.88
91.727K
$905.61K
TRGP Targa Resources Corp. $239.91
583.29K
$139.86M
TRN Trinity Industries, Inc. $31.61
463.613K
$14.73M
TRNO Terreno Realty Corporation $66.33
237.99K
$15.78M
TROX TRONOX LIMITED CL A ORDINARY SHARES $9.39
1.614M
$15.16M
TRTX TPG RE Finance Trust, Inc. Common Stock $8.33
528.928K
$4.43M
TRV The Travelers Companies, Inc. $306.00
933.418K
$285.71M
TSLX Sixth Street Specialty Lending, Inc. $18.55
447.553K
$8.38M
TSM Taiwan Semiconductor Manufacturing Company Ltd. $383.50
11.746M
$4.51B
TSQ TOWNSQUARE MEDIA, INC. $6.83
79.733K
$551.48K
TTI TETRA Technologies, Inc. $9.52
955.267K
$9.22M
TUYA Tuya Inc. American Depositary Shares, each representing one Class A Ordinary Share $2.29
772.787K
$1.79M
TWI Titan International, Inc.(Delaware) $8.19
396.088K
$3.23M
TWO Two Harbors Investment Corp. $10.99
1.311M
$14.40M
TX Ternium S.A. American Depositary Shares $42.41
202.809K
$8.62M
TY TRI-Continental Corporation $33.86
45.652K
$1.56M
TYL Tyler Technologies, Inc. $335.74
343.439K
$114.54M
UA Under Armour, Inc. Class C Common Stock, $0.0003 1/3 par value $6.23
1.962M
$12.13M
UAMY United States Antimony Corporation $10.18
11.093M
$112.76M
UBER Uber Technologies, Inc. $74.62
17.113M
$1.28B
UCB United Community Banks, Inc. $33.67
700.365K
$23.45M
UGP Ultrapar Participacoes S.A. $5.74
1.509M
$8.71M
UHAL U-Haul Holding Company $53.29
162.79K
$8.71M
UHS Universal Health Services, Inc. Class B $181.92
404.097K
$73.33M
UHT Universal Health Realty Income Trust $40.69
28.275K
$1.15M
UI Ubiquiti Inc. Common Stock $1,037.87
58.309K
$60.40M
UMC United Microelectronic Corp. $12.00
9.176M
$109.98M
UNFI United Natural Foods Inc $47.61
383.645K
$18.30M
UNH UNITEDHEALTH GROUP INCORPORATED (Delaware) $354.48
6.472M
$2.29B
UP Wheels Up Experience Inc. $0.3919
1.316M
$518.54K
UPS United Parcel Service, Inc. Class B $107.58
3.82M
$410.54M
USAC USA COMPRESSION PARTNERS LP $27.37
111.255K
$3.04M
USFD US Foods Holding Corp. $93.50
1.285M
$119.21M
USNA USANA Health Sciences Inc $19.20
54.763K
$1.06M
USPH US Physical Therapy Inc $74.84
117.987K
$8.91M
UTI Universal Technical Institute, Inc. $36.33
332.031K
$12.23M
UVE UNIVERSAL INSURANCE HLDG, INC. $36.41
124.764K
$4.36M
UWMC UWM Holdings Corporation $3.66
8.409M
$30.65M
VAC MARRIOTT VACATIONS WORLDWIDE CORPORATION $71.32
385.065K
$27.32M
VACI Viking Acquisition Corp. I $10.15
72.858K
$740.19K
VCX Fundrise Innovation Fund, LLC $89.18
164.665K
$14.69M
VEL Velocity Financial, Inc. $19.39
30.518K
$589.33K
VIA Via Renewables, Inc. Class A Common Stock $15.60
347.894K
$5.48M
VICI VICI Properties Inc. Common Stock $28.77
3.722M
$105.61M
VIPS Vipshop Holdings Limited $14.24
1.632M
$23.25M
VIRT Virtu Financial, Inc. Class A $48.20
745.643K
$35.77M
VIST Vista Energy S.A.B. de C.V. $70.75
1.125M
$78.67M
VIV Telefonica Brasil, S.A. American Depositary Shares (Each representing One Common Share) $15.98
813.079K
$13.02M
VLN Valens Semiconductor Ltd. $1.72
1.524M
$2.56M
VLO Valero Energy Corporation $232.15
1.779M
$414.26M
VLRS CONTROLADORA VUELA COMPAÑÍA DE AVIACIÓN, S.A.B. DE C.V. $7.39
586.424K
$4.42M
VMC Vulcan Materials Company(Holding Company) $292.71
481.703K
$140.52M
VMI Valmont Industries, Inc. $494.44
269.348K
$131.57M
VOYG Voyager Technologies, Inc. $30.00
1.13M
$34.14M
VPG Vishay Precision Group, Inc. $57.79
289.073K
$16.74M
VRE Veris Residential, Inc. $18.89
2.331M
$44.07M
VRT Vertiv Holdings Co Class A Common Stock $324.90
6.558M
$2.09B
VRTS Virtus Investment Partners, Inc. $142.58
83.529K
$11.87M
VSCO Victoria's Secret & Co. $52.18
925.226K
$48.20M
VSH Vishay Intertechnology, Inc. $28.24
2.538M
$70.12M
VTMX Corporacion Inmobiliaria Vesta, S.A.B de C.V., American Depositary Shares, each representing ten (10) Common Shares $35.47
18.758K
$668.71K
WAL Western Alliance Bancorporation $79.74
938.327K
$74.34M
WBI WaterBridge Infrastructure LLC $27.69
442.799K
$12.52M
WBS Webster Financial Corporation Waterbury $71.73
1.628M
$116.84M
WCC Wesco International Inc. $318.19
537.714K
$171.34M
WCN Waste Connections, Inc. $168.89
2.448M
$410.20M
WDH Waterdrop Inc. American Depositary Shares (each representing the right to receive 10 Class A Ordinary Shares) $1.69
202.742K
$341.92K
WDS Woodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share $23.05
1.06M
$24.42M
WEAV Weave Communications, Inc. $4.71
1.18M
$5.72M
WEC WEC Energy Group, Inc. $115.57
1.165M
$133.97M
WES Western Midstream Partners, LP $41.27
2.962M
$121.36M
WF Woori Financial Group Inc. American Depositary Shares (each representing three (3) shares of Common Stock) $70.65
81.403K
$5.79M
WFG West Fraser Timber Co. Ltd $65.69
110.669K
$7.23M
WGO Winnebago Industries, Inc. $32.65
387.61K
$12.60M
WH Wyndham Hotels & Resorts, Inc. Common Stock $86.44
988.245K
$85.13M
WHG WESTWOOD HOLDINGS GROUP, INC. $16.00
3.574K
$57.40K
WKC World Kinect Corporation $28.82
600.43K
$14.43M
WLKP WESTLAKE CHEMICAL PARTNERS LP $22.46
17.343K
$387.91K
WLY John Wiley & Sons, Inc. Class A $41.32
291.339K
$12.01M
WLYB John Wiley & Sons, Inc. Class B $41.20
281
$11.68K
WMB Williams Companies Inc. $71.30
4.389M
$314.40M
WMS ADVANCED DRAINAGE SYSTEMS, INC. $153.02
498.831K
$76.64M
WOR Worthington Enterprises, Inc. $54.84
133.196K
$7.28M
WPC W.P. Carey Inc. (REIT) $73.72
813.266K
$59.72M
WPM Wheaton Precious Metals Corp. Common Stock $144.33
1.811M
$257.44M
WRB W.R. Berkley Corporation $68.45
1.664M
$113.21M
WS Worthington Steel, Inc. $35.82
144.249K
$5.15M
WST West Pharmaceutical Services, Inc. $309.70
2.442M
$759.81M
WTM White Mountains Insurance Group Ltd. $2,284.00
4.485K
$10.26M
WTRG Essential Utilities, Inc. $40.33
1.728M
$69.32M
WTS Watts Water Technologies, Inc. Class A $303.39
229.932K
$69.79M
WTTR Select Water Solutions, Inc. $16.70
2.321M
$38.93M
WU The Western Union Company $9.39
6.791M
$63.79M
WWW Wolverine World Wide, Inc. $17.68
651.284K
$11.58M
XFLH XFLH Capital Corporation $9.92
90K
$892.80K
XHR Xenia Hotels & Resorts, Inc. $16.09
553.317K
$8.86M
XIFR XPLR Infrastructure, LP $9.93
718.58K
$7.18M
XOM Exxon Mobil Corporation $150.41
11.071M
$1.66B
XPEV XPeng Inc. American depositary shares, each representing two Class A ordinary shares $16.00
15.089M
$240.45M
XPOF Xponential Fitness, Inc. $6.75
190.559K
$1.29M
XPRO Expro Group Holdings N.V. $17.08
708.433K
$12.26M
XRN Chiron Real Estate Inc. $35.21
34.539K
$1.21M
XXI Twenty One Capital, Inc. $7.70
674.498K
$5.28M
XYF X Financial American Depositary Shares, each representing six Class A Ordinary Shares $4.95
160.177K
$782.45K
YALA Yalla Group Limited American Depositary Shares, each representing one Class A Ordinary Share $6.59
339.334K
$2.25M
YCY AA Mission Acquisition Corp. II $10.09
10K
$100.90K
YETI YETI Holdings, Inc. Common Stock $39.54
567.388K
$22.75M
YMM Full Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares) $8.50
4.494M
$38.69M
YSG Yatsen Holding Limited American Depositary Shares, each representing twenty (20) Class A Ordinary Shares $2.95
142.06K
$432.77K
YSS York Space Systems Inc. $36.40
4.531M
$165.23M
YUMC Yum China Holdings, Inc. Common Stock $48.04
780.147K
$37.48M
ZBH Zimmer Biomet Holdings, Inc. $92.44
1.531M
$141.53M
ZEPP Zepp Health Corporation $16.52
37.407K
$612.66K
ZETA Zeta Global Holdings Corp. $17.20
7.749M
$133.42M
ZGN Ermenegildo Zegna N.V. $11.96
486.018K
$5.85M
ZH Zhihu Inc. American Depositary Shares, each representing three (3) Class A Ordinary Shares $3.45
224.267K
$789.72K
ZIM ZIM Integrated Shipping Services Ltd. $26.06
936.399K
$24.49M
ZKH ZKH Group Limited American Depositary Shares, each representing thirty-five (35) Class A Ordinary Shares $3.00
316.648K
$963.08K
ZTO ZTO Express (Cayman) Inc. American Depositary Shares, each representing one Class A ordinary share $25.48
1.259M
$32.16M
ZWS Zurn Elkay Water Solutions Corporation $52.76
1.331M
$70.05M