Vanguard Small Cap Index Adm2024-08-31
Security Name % Net Assets Number Of Shares Market Value (USD)
Targa Resources Corp 0.54657 5,606,930 823,658,017
Axon Enterprise Inc 0.43932 1,813,951 662,037,696
Smurfit WestRock PLC 0.41345 13,138,999 623,051,333
Deckers Outdoor Corp 0.40975 643,682 617,477,706
First Citizens BancShares Inc Class A 0.36886 273,726 555,855,388
Builders FirstSource Inc 0.35660 3,088,395 537,380,730
Booz Allen Hamilton Holding Corp Class A 0.34469 3,271,409 519,434,321
PTC Inc 0.34207 2,878,387 515,490,328
Carlisle Companies Inc 0.33863 1,204,120 510,306,056
Atmos Energy Corp 0.33102 3,815,485 498,836,509
Lennox International Inc 0.31761 810,973 478,628,155
EMCOR Group Inc 0.31010 1,188,895 467,307,069
AppLovin Corp Ordinary Shares - Class A 0.29893 4,850,655 450,480,330
NRG Energy Inc 0.29754 5,274,475 448,383,120
Entegris Inc 0.29327 3,814,114 441,941,389
Williams-Sonoma Inc 0.29009 3,254,349 437,156,701
Watsco Inc Class A 0.27736 879,151 417,965,968
Reliance Inc 0.27636 1,452,837 416,455,726
Liberty Formula One Group Registered Shs Series -C- Formula One 0.27418 5,293,681 413,171,802
Manhattan Associates Inc 0.27337 1,557,894 411,953,910
Tenet Healthcare Corp 0.27189 2,470,645 409,731,767
United Therapeutics Corp 0.27064 1,121,849 407,848,204
Carvana Co Class A 0.26610 2,662,319 400,998,488
Pure Storage Inc Class A 0.26588 7,811,775 400,665,940
RB Global Inc 0.26566 4,648,110 400,341,714
Kimco Realty Corp 0.26325 17,055,112 396,701,905
IDEX Corp 0.26237 1,914,895 395,387,520
Nutanix Inc Class A 0.25914 6,179,938 390,510,282
DraftKings Inc Ordinary Shares - Class A 0.25213 11,013,027 379,949,432
Toll Brothers Inc 0.25201 2,635,965 379,763,478
RPM International Inc 0.25127 3,257,263 378,656,824
Pentair PLC 0.24725 4,201,026 372,588,996
Owens-Corning Inc 0.24551 2,192,667 369,968,703
US Foods Holding Corp 0.24445 6,221,568 368,379,041
Reinsurance Group of America Inc 0.24381 1,664,305 367,411,972
Bunge Global SA 0.24101 3,582,466 363,190,403
Dynatrace Inc Ordinary Shares 0.24000 7,144,793 361,669,422
Graco Inc 0.23666 4,278,725 356,631,729
Equitable Holdings Inc 0.23217 8,228,514 349,876,415
Natera Inc 0.23167 2,952,055 349,110,024
AECOM 0.22888 3,444,257 344,907,896
Universal Health Services Inc Class B 0.22644 1,433,936 341,233,750
RenaissanceRe Holdings Ltd 0.22621 1,337,895 340,882,267
Regency Centers Corp 0.22527 4,670,111 339,470,369
Gaming and Leisure Properties Inc 0.22526 6,525,551 339,459,163
Casey's General Stores Inc 0.22519 936,616 339,345,343
Camden Property Trust 0.22387 2,694,625 337,367,050
CarMax Inc 0.22330 3,979,926 336,502,743
Nordson Corp 0.22203 1,304,112 334,582,975
Dick's Sporting Goods Inc 0.22000 1,399,108 331,532,632
Erie Indemnity Co Class A 0.21671 642,581 326,578,942
Robinhood Markets Inc Class A 0.21671 16,231,120 326,570,134
Neurocrine Biosciences Inc 0.21462 2,545,458 323,425,893
Tetra Tech Inc 0.21346 1,353,085 321,682,428
XPO Inc 0.21261 2,795,329 320,400,610
Juniper Networks Inc 0.21205 8,218,740 319,544,611
Comfort Systems USA Inc 0.21199 903,663 319,462,944
Jack Henry & Associates Inc 0.21178 1,844,467 319,148,125
Jabil Inc 0.21016 2,898,066 316,700,652
TopBuild Corp 0.20999 805,182 316,452,630
Guidewire Software Inc 0.20803 2,107,230 313,492,607
Insmed Inc 0.20702 4,079,685 311,973,512
American Homes 4 Rent Class A 0.20669 7,831,720 311,467,504
The Interpublic Group of Companies Inc 0.20654 9,544,667 311,251,591
Equity Lifestyle Properties Inc 0.20492 4,247,175 308,812,094
Sarepta Therapeutics Inc 0.20467 2,271,557 308,432,009
FTAI Aviation Ltd 0.20429 2,408,705 307,856,586
DocuSign Inc 0.20416 5,196,054 307,658,357
Jones Lang LaSalle Inc 0.20386 1,203,648 307,207,079
Allegion PLC 0.20376 2,211,564 307,053,546
Advanced Drainage Systems Inc 0.20373 1,958,475 307,010,541
Curtiss-Wright Corp 0.20305 968,730 305,983,058
Eastman Chemical Co 0.20223 2,976,986 304,754,057
Brown & Brown Inc 0.20133 2,885,848 303,389,200
Clean Harbors Inc 0.20034 1,227,750 301,903,725
F5 Inc 0.19984 1,482,437 301,157,077
Coherent Corp 0.19957 3,858,246 300,750,276
Ally Financial Inc 0.19832 6,919,587 298,856,963
East West Bancorp Inc 0.19634 3,519,335 295,870,493
Bio-Techne Corp 0.19586 3,989,111 295,154,323
CubeSmart 0.19568 5,689,397 294,881,447
Performance Food Group Co 0.19495 3,936,014 293,784,085
Teleflex Inc 0.19395 1,192,104 292,268,138
C.H. Robinson Worldwide Inc 0.19328 2,813,856 291,262,235
ITT Inc 0.19231 2,081,565 289,795,479
Ovintiv Inc 0.19201 6,755,765 289,349,415
Floor & Decor Holdings Inc Class A 0.19184 2,571,112 289,095,833
Exact Sciences Corp 0.19108 4,667,622 287,945,601
Wingstop Inc 0.19033 742,853 286,822,972
nVent Electric PLC 0.18950 4,202,064 285,572,269
Texas Roadhouse Inc 0.18917 1,689,316 285,072,075
Regal Rexnord Corp 0.18747 1,683,549 282,516,358
Rivian Automotive Inc Class A 0.18733 19,979,002 282,303,298
Huntington Ingalls Industries Inc 0.18716 997,421 282,040,736
Qorvo Inc 0.18600 2,418,657 280,298,160
Lamar Advertising Co Class A 0.18534 2,220,506 279,295,245
Lincoln Electric Holdings Inc 0.18494 1,439,475 278,696,755
TechnipFMC PLC 0.18443 10,355,035 277,929,139
Crown Holdings Inc 0.18326 3,054,643 276,170,274
CACI International Inc Class A 0.18267 563,966 275,283,084
Kinsale Capital Group Inc 0.18230 559,411 274,721,148
Service Corp International 0.18173 3,498,902 273,859,060
Hubbell Inc 0.18024 679,167 271,612,467
Leidos Holdings Inc 0.17988 1,710,110 271,069,536
BXP Inc 0.17860 3,577,998 269,137,010
BJ's Wholesale Club Holdings Inc 0.17810 3,356,507 268,386,300
APA Corp 0.17753 9,390,054 267,522,638
Onto Innovation Inc 0.17638 1,246,569 265,793,442
Catalent Inc 0.17593 4,348,992 265,114,552
Sprouts Farmers Market Inc 0.17554 2,542,325 264,528,916
MicroStrategy Inc Class A 0.17536 1,995,581 264,254,836
Rexford Industrial Realty Inc 0.17158 5,077,771 258,560,099
Assurant Inc 0.17136 1,315,180 258,235,593
Charles River Laboratories International Inc 0.17100 1,303,144 257,696,726
Woodward Inc 0.17041 1,540,943 256,798,151
AptarGroup Inc 0.17040 1,676,251 256,784,891
Toast Inc Class A 0.17021 10,317,989 256,505,207
A.O. Smith Corp 0.16973 3,055,178 255,779,502
Annaly Capital Management Inc 0.16935 12,658,574 255,196,852
Saia Inc 0.16774 672,570 252,771,983
EQT Corp 0.16731 7,523,807 252,122,773
Pinnacle West Capital Corp 0.16683 2,872,599 251,409,864
Fortune Brands Innovations Inc 0.16674 3,164,149 251,265,072
Light & Wonder Inc Ordinary Shares 0.16617 2,280,240 250,415,957
Match Group Inc 0.16598 6,721,885 250,121,341
Affirm Holdings Inc Ordinary Shares - Class A 0.16565 5,672,058 249,627,273
Omega Healthcare Investors Inc 0.16402 6,251,270 247,175,216
Globe Life Inc 0.16283 2,335,781 245,373,794
Murphy USA Inc 0.16265 471,707 245,113,108
Twilio Inc Class A 0.16233 3,897,874 244,630,572
The Toro Co 0.16230 2,641,319 244,586,139
Aramark 0.16176 6,654,618 243,758,657
Molson Coors Beverage Co Shs -B- Non-Voting 0.16114 4,499,367 242,830,837
Essential Utilities Inc 0.16114 6,227,962 242,828,238
American Financial Group Inc 0.15991 1,803,479 240,980,864
Federal Realty Investment Trust 0.15980 2,093,992 240,809,080
Generac Holdings Inc 0.15934 1,534,046 240,124,220
BWX Technologies Inc 0.15806 2,312,528 238,190,384
Tapestry Inc 0.15803 5,812,751 238,148,408
The Carlyle Group Inc 0.15757 5,917,171 237,456,072
Encompass Health Corp 0.15729 2,547,406 237,036,128
KBR Inc 0.15635 3,397,061 235,620,151
Chesapeake Energy Corp Ordinary Shares - New 0.15567 3,149,238 234,586,739
Core & Main Inc Class A 0.15492 4,860,540 233,451,736
Royal Gold Inc 0.15468 1,662,936 233,093,739
Graphic Packaging Holding Co 0.15441 7,774,274 232,684,021
Churchill Downs Inc 0.15439 1,674,118 232,652,178
MarketAxess Holdings Inc 0.15427 959,078 232,470,916
The Mosaic Co 0.15416 8,131,185 232,307,955
First Horizon Corp 0.15231 13,835,280 229,527,295
Skechers USA Inc Class A 0.15220 3,349,248 229,356,503
Primerica Inc 0.15208 870,624 229,174,356
Henry Schein Inc 0.15167 3,239,605 228,554,133
Hasbro Inc 0.15142 3,347,664 228,176,778
EastGroup Properties Inc 0.15066 1,218,001 227,035,386
Unum Group 0.14997 4,072,764 225,997,674
Steel Dynamics Inc 0.14977 1,888,554 225,701,089
Jefferies Financial Group Inc 0.14941 3,755,725 225,155,714
Chemed Corp 0.14903 383,130 224,579,312
Solventum Corp 0.14875 3,496,380 224,152,922
H&R Block Inc 0.14831 3,530,240 223,499,494
Blue Owl Capital Inc Ordinary Shares - Class A 0.14829 12,668,202 223,467,083
Ingredion Inc 0.14804 1,661,002 223,089,179
Fabrinet 0.14794 914,976 222,933,902
Medpace Holdings Inc 0.14783 627,049 222,771,698
Chord Energy Corp Ordinary Shares - New 0.14762 1,498,753 222,459,908
Old Republic International Corp 0.14735 6,190,501 222,053,271
APi Group Corp 0.14730 6,244,016 221,974,769
Donaldson Co Inc 0.14697 3,045,218 221,478,705
Eagle Materials Inc 0.14669 857,618 221,051,040
Universal Display Corp 0.14655 1,140,048 220,850,099
Morningstar Inc 0.14633 702,781 220,511,594
RBC Bearings Inc 0.14610 739,162 220,159,402
Tempur Sealy International Inc 0.14521 4,173,713 218,827,773
Ensign Group Inc 0.14466 1,440,264 217,998,359
NNN REIT Inc 0.14465 4,638,931 217,983,368
Roku Inc Class A 0.14426 3,207,803 217,392,809
Stifel Financial Corp 0.14399 2,461,923 216,993,893
Fluor Corp 0.14392 4,331,595 216,882,962
Western Alliance Bancorp 0.14346 2,646,793 216,190,052
New York Times Co Class A 0.14327 3,930,549 215,905,057
Evercore Inc Class A 0.14300 876,950 215,501,693
Permian Resources Corp Class A 0.14255 15,085,617 214,819,186
Dayforce Inc 0.14195 3,741,702 213,913,103
Crocs Inc 0.14155 1,459,287 213,303,981
Mohawk Industries Inc 0.14146 1,374,040 213,168,566
WESCO International Inc 0.14120 1,286,611 212,779,727
Ciena Corp 0.14006 3,661,214 211,068,987
Lithia Motors Inc Class A 0.13861 693,755 208,875,755
Americold Realty Trust Inc 0.13830 7,186,802 208,417,258
Brixmor Property Group Inc 0.13825 7,606,485 208,341,624
Houlihan Lokey Inc Class A 0.13814 1,329,147 208,171,003
Globus Medical Inc Class A 0.13751 2,850,334 207,219,282
Bright Horizons Family Solutions Inc 0.13710 1,468,204 206,605,667
FTI Consulting Inc 0.13684 903,203 206,210,277
Webster Financial Corp 0.13651 4,337,076 205,707,515
Halozyme Therapeutics Inc 0.13647 3,220,918 205,655,614
Allison Transmission Holdings Inc 0.13625 2,213,752 205,325,498
TKO Group Holdings Inc 0.13616 1,735,528 205,191,475
FMC Corp 0.13529 3,156,945 203,875,508
Axalta Coating Systems Ltd 0.13525 5,584,042 203,817,533
Knight-Swift Transportation Holdings Inc Class A 0.13512 3,887,300 203,616,774
Paycom Software Inc 0.13501 1,249,826 203,446,676
HF Sinclair Corp 0.13476 4,132,524 203,072,229
Samsara Inc Ordinary Shares - Class A 0.13475 4,944,428 203,067,658
Repligen Corp 0.13447 1,342,637 202,644,202
MKS Instruments Inc 0.13444 1,699,178 202,592,993
WEX Inc 0.13444 1,060,586 202,593,138
SEI Investments Co 0.13428 2,992,048 202,352,206
Texas Pacific Land Corp 0.13416 232,682 202,175,063
TD Synnex Corp 0.13403 1,663,482 201,979,984
Antero Resources Corp 0.13383 7,472,398 201,680,022
e.l.f. Beauty Inc 0.13365 1,344,565 201,402,391
ATI Inc 0.13339 3,146,781 201,016,370
OGE Energy Corp 0.13305 5,068,139 200,495,579
Applied Industrial Technologies Inc 0.13296 976,796 200,360,396
Vaxcyte Inc Ordinary Shares 0.13274 2,476,867 200,031,779
Mueller Industries Inc 0.13178 2,731,176 198,583,807
Acuity Brands Inc 0.13171 779,289 198,484,908
Healthpeak Properties Inc 0.13166 8,904,924 198,401,707
Cirrus Logic Inc 0.13106 1,355,623 197,500,715
Cava Group Inc 0.13093 1,730,194 197,311,324
BorgWarner Inc 0.13025 5,761,140 196,282,040
Caesars Entertainment Inc 0.12987 5,199,615 195,713,509
Simpson Manufacturing Co Inc 0.12960 1,066,862 195,299,758
Crane Co 0.12921 1,229,387 194,710,313
Norwegian Cruise Line Holdings Ltd 0.12891 10,858,592 194,260,211
Weatherford International PLC Ordinary Shares - New 0.12890 1,851,094 194,253,804
United States Steel Corp 0.12882 5,120,610 194,122,325
Elanco Animal Health Inc 0.12831 12,498,608 193,353,466
DT Midstream Inc Ordinary Shares 0.12816 2,457,522 193,136,654
SoFi Technologies Inc Ordinary Shares 0.12764 24,073,057 192,343,725
Comerica Inc 0.12716 3,355,436 191,628,950
The Middleby Corp 0.12699 1,360,861 191,364,274
Abercrombie & Fitch Co Class A 0.12645 1,291,272 190,553,009
First Industrial Realty Trust Inc 0.12608 3,349,189 189,999,492
Berry Global Group Inc 0.12569 2,750,604 189,406,591
Duolingo Inc 0.12536 888,690 188,908,833
Commerce Bancshares Inc 0.12521 2,950,144 188,691,210
Penumbra Inc 0.12504 931,330 188,426,686
AGNC Investment Corp 0.12462 18,394,023 187,802,975
Popular Inc 0.12441 1,829,067 187,479,368
NiSource Inc 0.12435 5,668,095 187,387,221
GameStop Corp Class A 0.12431 7,998,441 187,323,488
SPS Commerce Inc 0.12429 937,749 187,305,985
SouthState Corp 0.12413 1,926,590 187,052,623
Lantheus Holdings Inc 0.12393 1,754,104 186,759,453
Stag Industrial Inc 0.12388 4,600,441 186,685,896
Agree Realty Corp 0.12338 2,546,717 185,935,808
Intra-Cellular Therapies Inc 0.12335 2,536,616 185,883,220
Wynn Resorts Ltd 0.12299 2,410,684 185,333,386
UDR Inc 0.12298 4,163,612 185,322,370
Zions Bancorp NA 0.12290 3,736,841 185,197,840
Pinnacle Financial Partners Inc 0.12258 1,855,152 184,717,485
Invesco Ltd 0.12256 10,807,094 184,693,236
BellRing Brands Inc Class A 0.12242 3,298,488 184,484,434
DaVita Inc 0.12216 1,219,795 184,091,461
Liberty Broadband Corp Registered Shs Series -C- 0.12166 2,939,071 183,339,249
Gentex Corp 0.12164 5,850,708 183,302,682
Wintrust Financial Corp 0.12137 1,681,107 182,904,442
Acadia Healthcare Co Inc 0.12119 2,229,010 182,622,789
Exelixis Inc 0.12089 6,998,914 182,181,731
MasTec Inc 0.12068 1,607,467 181,852,742
Arrow Electronics Inc 0.12067 1,346,144 181,837,132
SPX Technologies Inc 0.12025 1,110,780 181,212,649
Frontier Communications Parent Inc 0.12012 6,285,379 181,018,915
UFP Industries Inc 0.11987 1,484,701 180,643,571
Voya Financial Inc 0.11969 2,546,481 180,367,249
Bruker Corp 0.11944 2,678,922 179,996,769
Planet Fitness Inc Class A 0.11928 2,213,381 179,748,671
Insulet Corp 0.11917 885,623 179,577,776
Insight Enterprises Inc 0.11869 823,953 178,855,478
Oshkosh Corp 0.11853 1,655,280 178,621,265
Genpact Ltd 0.11849 4,551,734 178,564,525
Southwestern Energy Co 0.11808 27,890,025 177,938,360
NOV Inc 0.11803 10,009,668 177,871,800
Kirby Corp 0.11732 1,474,230 176,789,662
WillScot Holdings Corp Ordinary Shares - Class A 0.11694 4,572,573 176,226,963
Jazz Pharmaceuticals PLC 0.11655 1,514,409 175,641,156
American Airlines Group Inc 0.11648 16,528,396 175,531,566
Cognex Corp 0.11638 4,343,200 175,378,416
Trex Co Inc 0.11631 2,749,944 175,281,431
HealthEquity Inc 0.11616 2,200,272 175,053,640
Vail Resorts Inc 0.11577 960,142 174,457,801
Range Resources Corp 0.11566 5,833,168 174,295,060
Bath & Body Works Inc 0.11555 5,660,717 174,123,655
Jackson Financial Inc 0.11515 1,928,705 173,525,589
MSA Safety Inc 0.11476 946,908 172,933,808
Meritage Homes Corp 0.11469 872,560 172,827,959
Paylocity Holding Corp 0.11464 1,070,393 172,761,430
Carpenter Technology Corp 0.11451 1,191,971 172,561,642
Albertsons Companies Inc Class A 0.11413 8,766,122 171,991,314
MGIC Investment Corp 0.11377 6,741,985 171,448,679
Taylor Morrison Home Corp 0.11353 2,540,984 171,084,453
Littelfuse Inc 0.11322 626,809 170,617,410
CommVault Systems Inc 0.11321 1,097,812 170,599,985
Healthcare Realty Trust Inc 0.11318 9,581,733 170,554,847
Coca-Cola Consolidated Inc 0.11314 127,005 170,491,512
Bio-Rad Laboratories Inc Class A 0.11283 504,042 170,023,447
Viking Therapeutics Inc 0.11272 2,649,173 169,864,973
Prosperity Bancshares Inc 0.11264 2,306,859 169,738,685
Science Applications International Corp 0.11237 1,296,667 169,331,744
RLI Corp 0.11230 1,098,221 169,235,856
Terreno Realty Corp 0.11203 2,445,371 168,828,414
Darling Ingredients Inc 0.11190 4,040,925 168,627,800
U-Haul Holding Co Ordinary Shares - Series N 0.11184 2,465,859 168,541,463
Lear Corp 0.11116 1,435,988 167,508,000
Freshpet Inc 0.11054 1,224,897 166,585,992
Novanta Inc 0.11040 907,711 166,365,272
Flowserve Corp 0.11020 3,329,246 166,062,790
Zillow Group Inc Class C 0.10989 2,994,547 165,598,449
Cytokinetics Inc 0.10984 2,899,883 165,525,322
Landstar System Inc 0.10965 905,084 165,232,135
Mattel Inc 0.10961 8,702,622 165,175,766
Elastic NV 0.10959 2,167,567 165,146,930
Lattice Semiconductor Corp 0.10947 3,483,091 164,959,190
Hyatt Hotels Corp Class A 0.10942 1,085,357 164,887,435
Essent Group Ltd 0.10933 2,562,802 164,762,541
Cullen/Frost Bankers Inc 0.10901 1,463,708 164,271,949
Evergy Inc 0.10832 2,760,052 163,229,475
Etsy Inc 0.10810 2,957,060 162,904,435
Synovus Financial Corp 0.10767 3,518,185 162,258,692
SentinelOne Inc Class A 0.10767 6,886,600 162,248,296
SiteOne Landscape Supply Inc 0.10765 1,143,499 162,216,768
Glaukos Corp 0.10751 1,210,069 162,016,138
Pool Corp 0.10748 460,651 161,974,105
Smartsheet Inc Class A 0.10710 3,307,279 161,395,215
VF Corp 0.10698 8,852,738 161,208,359
Matador Resources Co 0.10697 2,842,117 161,204,876
Wyndham Hotels & Resorts Inc Ordinary Shares 0.10643 2,037,894 160,382,258
Revolution Medicines Inc Ordinary Shares 0.10625 3,755,973 160,117,129
Old National Bancorp 0.10624 8,065,796 160,106,051
MACOM Technology Solutions Holdings Inc 0.10574 1,458,853 159,350,513
First American Financial Corp 0.10551 2,492,213 159,003,189
AAON Inc 0.10542 1,663,329 158,864,553
Ionis Pharmaceuticals Inc 0.10514 3,323,035 158,442,309
Ralph Lauren Corp Class A 0.10508 924,635 158,352,990
Louisiana-Pacific Corp 0.10507 1,631,488 158,335,910
Starwood Property Trust Inc 0.10498 7,591,062 158,197,732
Robert Half Inc 0.10484 2,520,933 157,986,871
Host Hotels & Resorts Inc 0.10450 8,896,744 157,472,369
The AZEK Co Inc Class A 0.10432 3,687,696 157,206,480
Cleveland-Cliffs Inc 0.10421 12,024,117 157,034,968
Celsius Holdings Inc 0.10412 4,125,906 156,908,205
Commercial Metals Co 0.10406 2,926,099 156,809,645
Casella Waste Systems Inc Class A 0.10340 1,444,603 155,814,880
Ryan Specialty Holdings Inc Class A 0.10331 2,408,730 155,676,220
Civitas Resources Inc Ordinary Shares 0.10309 2,533,139 155,357,415
The AES Corp 0.10218 8,988,684 153,976,157
Axis Capital Holdings Ltd 0.10215 1,927,129 153,939,065
Badger Meter Inc 0.10209 743,427 153,844,783
Procore Technologies Inc 0.10193 2,591,716 153,611,007
Ryder System Inc 0.10149 1,053,070 152,947,887
Modine Manufacturing Co 0.10137 1,256,792 152,763,068
ESAB Corp 0.10113 1,451,875 152,403,319
Varonis Systems Inc 0.10064 2,679,384 151,653,134
Blueprint Medicines Corp 0.10040 1,583,690 151,305,743
Dropbox Inc Class A 0.10035 6,015,453 151,228,488
GXO Logistics Inc 0.10031 3,020,233 151,162,662
Aspen Technology Inc 0.09957 640,824 150,042,531
ChampionX Corp 0.09947 4,815,432 149,904,398
Masimo Corp 0.09946 1,275,437 149,889,356
OneMain Holdings Inc 0.09943 3,032,373 149,829,550
Ryman Hospitality Properties Inc 0.09926 1,438,892 149,587,212
Cadence Bank 0.09897 4,620,223 149,140,798
Vornado Realty Trust 0.09891 4,336,617 149,049,526
Hamilton Lane Inc Class A 0.09877 973,810 148,837,120
Element Solutions Inc 0.09775 5,508,867 147,307,104
Sensata Technologies Holding PLC 0.09752 3,812,323 146,965,052
Cabot Corp 0.09749 1,397,753 146,917,818
JM Smucker Co 0.09708 1,275,626 146,288,790
Rithm Capital Corp 0.09699 12,241,279 146,160,871
Federal Signal Corp 0.09690 1,545,398 146,024,657
AGCO Corp 0.09690 1,604,004 146,028,524
Valmont Industries Inc 0.09685 510,723 145,944,204
Mr. Cooper Group Inc 0.09681 1,555,193 145,892,655
Alcoa Corp 0.09676 4,542,506 145,814,443
Beacon Roofing Supply Inc Class A 0.09670 1,608,439 145,724,573
Organon & Co Ordinary Shares 0.09647 6,504,638 145,378,659
Balchem Corp 0.09634 820,065 145,176,107
AeroVironment Inc 0.09624 711,770 145,030,255
AutoNation Inc 0.09624 814,835 145,024,333
Kite Realty Group Trust 0.09606 5,550,737 144,763,221
Moog Inc A 0.09528 727,398 143,588,365
ExlService Holdings Inc 0.09465 3,903,464 142,632,575
Post Holdings Inc 0.09418 1,225,958 141,929,158
Maximus Inc 0.09414 1,537,722 141,870,232
Essential Properties Realty Trust Inc 0.09388 4,433,591 141,475,889
PVH Corp 0.09378 1,431,938 141,317,961
Paramount Global Class B 0.09352 13,459,888 140,925,027
Option Care Health Inc 0.09342 4,396,432 140,773,753
Sonoco Products Co 0.09330 2,485,271 140,591,780
Armstrong World Industries Inc 0.09310 1,106,757 140,292,517
LKQ Corp 0.09310 3,373,460 140,302,201
Affiliated Managers Group Inc 0.09297 805,958 140,099,679
Selective Insurance Group Inc 0.09284 1,537,724 139,902,130
EPAM Systems Inc 0.09275 696,202 139,769,514
BILL Holdings Inc Ordinary Shares 0.09234 2,550,319 139,145,405
Stericycle Inc 0.09229 2,346,813 139,072,138
Ollie's Bargain Outlet Holdings Inc 0.09224 1,551,992 138,996,404
National Fuel Gas Co 0.09220 2,324,967 138,940,028
Exponent Inc 0.09208 1,281,628 138,761,864
Whirlpool Corp 0.09196 1,381,794 138,580,120
Kyndryl Holdings Inc Ordinary Shares 0.09164 5,829,516 138,101,234
Lincoln National Corp 0.09160 4,300,317 138,040,176
NEXTracker Inc Ordinary Shares - Class A 0.09160 3,394,251 138,044,188
Gap Inc 0.09140 6,140,589 137,733,411
Radian Group Inc 0.09137 3,808,807 137,688,373
Valvoline Inc 0.09126 3,258,938 137,527,184
Thor Industries Inc 0.09121 1,281,443 137,447,576
Vontier Corp Ordinary Shares 0.09077 3,904,689 136,781,256
KB Home 0.09071 1,632,969 136,695,835
Murphy Oil Corp 0.09069 3,665,964 136,667,138
Watts Water Technologies Inc Class A 0.09050 693,351 136,382,142
F N B Corp 0.09046 9,099,699 136,313,491
Installed Building Products Inc 0.09021 611,495 135,941,453
Lazard Inc 0.09011 2,709,898 135,792,989
Glacier Bancorp Inc 0.09003 2,868,278 135,669,549
The Timken Co 0.08991 1,602,942 135,496,687
Boise Cascade Co 0.08987 998,629 135,434,065
UGI Corp 0.08977 5,430,535 135,274,627
Inspire Medical Systems Inc 0.08972 751,885 135,203,961
Brunswick Corp 0.08965 1,709,097 135,104,118
Merit Medical Systems Inc 0.08959 1,396,422 135,006,079
Nexstar Media Group Inc 0.08946 788,902 134,807,574
Lumen Technologies Inc Ordinary Shares 0.08942 25,667,431 134,754,013
UiPath Inc Class A 0.08941 10,461,028 134,738,041
ACI Worldwide Inc 0.08915 2,667,767 134,348,746
Columbia Banking System Inc 0.08857 5,300,877 133,476,083
GitLab Inc Class A 0.08833 2,808,373 133,116,880
Hexcel Corp 0.08830 2,102,354 133,057,985
United Bankshares Inc 0.08821 3,419,872 132,930,425
Dentsply Sirona Inc 0.08814 5,251,817 132,818,452
SM Energy Co 0.08811 2,909,730 132,770,980
CSW Industrials Inc 0.08803 392,925 132,663,268
Chart Industries Inc 0.08792 1,082,437 132,490,289
MDU Resources Group Inc 0.08792 5,157,068 132,485,077
Olin Corp 0.08753 3,020,361 131,899,165
Idacorp Inc 0.08658 1,280,327 130,478,125
Shift4 Payments Inc Class A 0.08653 1,569,246 130,404,343
Altair Engineering Inc Class A 0.08637 1,440,391 130,153,731
Sealed Air Corp 0.08542 3,683,146 128,725,953
Home BancShares Inc 0.08426 4,560,718 126,970,389
Krystal Biotech Inc 0.08419 650,202 126,867,414
GATX Corp 0.08417 898,951 126,841,986
Antero Midstream Corp 0.08408 8,521,079 126,708,445
Avnet Inc 0.08372 2,286,375 126,162,172
CCC Intelligent Solutions Holdings Inc 0.08340 11,658,141 125,674,760
Portland General Electric Co 0.08321 2,606,274 125,387,842
Asbury Automotive Group Inc 0.08318 510,314 125,353,531
Southwest Gas Holdings Inc 0.08306 1,721,316 125,174,100
Summit Materials Inc Class A 0.08295 3,086,359 124,997,540
Bank OZK 0.08254 2,869,247 124,381,857
HashiCorp Inc Ordinary Shares Class A 0.08247 3,661,849 124,283,155
Tenable Holdings Inc 0.08236 3,006,659 124,114,884
Air Lease Corp Class A 0.08217 2,676,176 123,826,664
Ultragenyx Pharmaceutical Inc 0.08214 2,180,110 123,786,646
Champion Homes Inc 0.08168 1,317,746 123,090,654
Dycom Industries Inc 0.08163 699,118 123,016,803
SLM Corp 0.08136 5,557,878 122,606,789
Group 1 Automotive Inc 0.08134 325,358 122,581,880
Janus Henderson Group PLC 0.08105 3,247,516 122,139,077
Rambus Inc 0.08089 2,725,725 121,894,422
Alkermes PLC 0.08083 4,281,471 121,807,850
The Hanover Insurance Group Inc 0.07983 818,380 120,293,676
Maplebear Inc 0.07975 3,348,665 120,183,587
Euronet Worldwide Inc 0.07894 1,102,449 118,965,272
Moelis & Co Class A 0.07888 1,779,689 118,865,428
Itron Inc 0.07871 1,160,310 118,606,888
The Brink's Co 0.07867 1,068,645 118,544,790
Independence Realty Trust Inc 0.07853 5,694,643 118,334,682
H.B. Fuller Co 0.07828 1,377,180 117,969,239
AppFolio Inc Class A 0.07824 508,253 117,909,613
Hancock Whitney Corp 0.07813 2,191,324 117,739,839
FirstCash Holdings Inc 0.07793 977,932 117,439,854
Piper Sandler Cos 0.07699 425,428 116,014,216
Alaska Air Group Inc 0.07692 3,209,876 115,908,622
Rayonier Inc 0.07689 3,760,752 115,868,769
Parsons Corp 0.07663 1,209,712 115,479,108
Credo Technology Group Holding Ltd 0.07660 3,306,548 115,431,591
New Jersey Resources Corp 0.07642 2,486,885 115,167,644
Polaris Inc 0.07630 1,358,270 114,977,556
Harley-Davidson Inc 0.07610 3,063,058 114,680,892
Phillips Edison & Co Inc 0.07583 3,091,693 114,268,973
Box Inc Class A 0.07571 3,499,904 114,096,870
White Mountains Insurance Group Ltd 0.07550 61,695 113,780,387
Matson Inc 0.07537 821,233 113,576,524
Zurn Elkay Water Solutions Corp 0.07522 3,495,477 113,358,319
Unity Software Inc Ordinary Shares 0.07522 6,924,721 113,357,683
Avient Corp 0.07521 2,307,030 113,344,384
Madrigal Pharmaceuticals Inc 0.07515 458,268 113,251,771
Lamb Weston Holdings Inc 0.07503 1,826,029 113,067,716
Knife River Holding Co 0.07496 1,432,197 112,957,377
Arcosa Inc 0.07462 1,229,157 112,455,574
First Financial Bankshares Inc 0.07459 3,073,661 112,403,783
Flowers Foods Inc 0.07413 4,806,696 111,707,615
Confluent Inc Class A 0.07406 5,259,542 111,607,481
Magnolia Oil & Gas Corp Class A 0.07390 4,348,531 111,365,879
Qualys Inc 0.07373 887,686 111,111,657
SL Green Realty Corp 0.07370 1,666,540 111,058,226
Verra Mobility Corp Class A 0.07332 4,001,953 110,493,922
Belden Inc 0.07328 1,029,338 110,427,381
Integer Holdings Corp 0.07316 847,666 110,255,917
Noble Corp PLC Class A 0.07316 2,889,982 110,252,813
Viper Energy Inc Ordinary Shares - Class A 0.07307 2,313,379 110,116,840
Cousins Properties Inc 0.07281 3,848,406 109,718,055
MARA Holdings Inc 0.07267 6,557,113 109,503,787
Sunrun Inc 0.07262 5,333,303 109,439,378
Blackbaud Inc 0.07247 1,306,376 109,213,034
Grand Canyon Education Inc 0.07239 752,313 109,092,908
Macy's Inc 0.07225 6,992,724 108,876,713
Ormat Technologies Inc 0.07184 1,452,511 108,255,645
Dolby Laboratories Inc Class A 0.07157 1,511,478 107,859,070
Ashland Inc 0.07154 1,204,579 107,809,820
Zeta Global Holdings Corp Class A 0.07152 4,080,848 107,775,196
Kilroy Realty Corp 0.07147 2,969,653 107,709,314
Aurora Innovation Inc Class A 0.07144 23,053,013 107,657,571
CareTrust REIT Inc 0.07127 3,594,368 107,399,716
Q2 Holdings Inc 0.07115 1,444,797 107,218,385
Concentrix Corp Ordinary Shares 0.07088 1,419,770 106,809,297
Tidewater Inc 0.07072 1,201,491 106,572,252
ASGN Inc 0.07040 1,103,235 106,087,078
Silgan Holdings Inc 0.07028 2,026,239 105,911,513
Kontoor Brands Inc 0.07017 1,412,742 105,743,739
Capri Holdings Ltd 0.06996 2,951,673 105,433,760
Gates Industrial Corp PLC 0.06970 5,784,079 105,038,875
Assured Guaranty Ltd 0.06954 1,308,692 104,800,055
NewMarket Corp 0.06932 182,053 104,456,550
The Western Union Co 0.06930 8,560,261 104,435,184
Spirit AeroSystems Holdings Inc Class A 0.06890 2,948,967 103,833,128
Academy Sports and Outdoors Inc Ordinary Shares 0.06874 1,867,177 103,590,980
Zillow Group Inc Class A 0.06850 1,932,108 103,232,530
Boot Barn Holdings Inc 0.06848 769,115 103,192,160
Black Hills Corp 0.06842 1,744,112 103,111,901
Franklin Electric Co Inc 0.06831 991,128 102,938,554
EnerSys 0.06830 1,015,807 102,931,723
Ameris Bancorp 0.06794 1,661,282 102,384,810
UMB Financial Corp 0.06784 986,922 102,235,250
CNX Resources Corp 0.06764 3,684,017 101,936,750
Apellis Pharmaceuticals Inc 0.06739 2,610,554 101,550,551
Tri Pointe Homes Inc 0.06725 2,280,598 101,349,775
Boyd Gaming Corp 0.06693 1,680,563 100,867,391
Dun & Bradstreet Holdings Inc Ordinary Shares 0.06690 8,401,667 100,820,004
Servisfirst Bancshares Inc 0.06678 1,241,509 100,636,720
Advanced Energy Industries Inc 0.06670 947,378 100,507,332
Enstar Group Ltd 0.06669 308,265 100,494,390
Perrigo Co PLC 0.06663 3,450,592 100,412,227
TPG Inc Ordinary Shares - Class A 0.06663 1,990,391 100,415,226
Five Below Inc 0.06642 1,326,857 100,084,824
Herc Holdings Inc 0.06624 681,985 99,822,144
Sabra Health Care REIT Inc 0.06624 5,857,902 99,818,650
Six Flags Entertainment Corp 0.06620 2,278,606 99,757,371
Clearwater Analytics Holdings Inc Class A 0.06586 4,004,973 99,243,231
Lyft Inc Class A 0.06579 8,495,819 99,146,208
Cactus Inc Class A 0.06568 1,662,859 98,973,368
BridgeBio Pharma Inc 0.06568 3,553,913 98,976,477
ONE Gas Inc 0.06549 1,431,461 98,684,921
Lumentum Holdings Inc 0.06540 1,710,690 98,552,851
Wayfair Inc Class A 0.06531 2,313,071 98,421,171
PROCEPT BioRobotics Corp 0.06480 1,236,163 97,656,877
Madison Square Garden Sports Corp Class A 0.06476 466,811 97,586,840
Doximity Inc Class A 0.06462 2,647,777 97,385,238
Haemonetics Corp 0.06451 1,286,176 97,209,182
ICU Medical Inc 0.06435 586,572 96,977,949
Kemper Corp 0.06419 1,547,438 96,730,349
IAC Inc Ordinary Shares - New 0.06409 1,829,851 96,579,536
Korn Ferry 0.06401 1,320,554 96,466,470
Power Integrations Inc 0.06395 1,436,211 96,369,758
Workiva Inc Class A 0.06358 1,225,705 95,813,360
FormFactor Inc 0.06319 1,952,412 95,219,133
Valley National Bancorp 0.06315 10,963,963 95,167,199
Valaris Ltd 0.06308 1,556,790 95,057,597
Select Medical Holdings Corp 0.06300 2,632,044 94,937,827
Shake Shack Inc Class A 0.06287 953,032 94,740,911
Frontdoor Inc 0.06285 1,970,028 94,718,946
Impinj Inc 0.06259 561,089 94,319,061
Prestige Consumer Healthcare Inc 0.06257 1,263,181 94,283,830
RH Class A 0.06244 370,893 94,095,554
Lucid Group Inc Shs 0.06236 23,374,839 93,966,853
MSC Industrial Direct Co Inc Class A 0.06220 1,139,739 93,732,135
Patterson-UTI Energy Inc 0.06216 10,171,177 93,676,540
DXC Technology Co Registered Shs When Issued 0.06211 4,527,919 93,592,086
TXNM Energy Inc 0.06207 2,282,489 93,536,399
HA Sustainable Infrastructure Capital Inc 0.06201 2,885,857 93,444,050
ALLETE Inc 0.06154 1,459,260 92,735,973
Sanmina Corp 0.06138 1,333,088 92,489,645
Amkor Technology Inc 0.06128 2,806,654 92,338,917
American Eagle Outfitters Inc 0.06109 4,473,396 92,062,490
United Community Banks Inc 0.06096 3,015,031 91,867,995
Huntsman Corp 0.06085 4,158,988 91,705,685
ABM Industries Inc 0.06075 1,601,899 91,548,528
Northern Oil & Gas Inc 0.06075 2,301,497 91,553,551
Terex Corp 0.06065 1,609,846 91,390,957
BGC Group Inc Ordinary Shares Class A 0.06052 9,231,278 91,205,027
Silicon Laboratories Inc 0.06034 768,144 90,925,205
EPR Properties 0.06033 1,915,290 90,918,816
CNO Financial Group Inc 0.06032 2,602,932 90,894,385
California Resources Corp Ordinary Shares - New 0.06016 1,727,779 90,656,564
Signet Jewelers Ltd 0.05991 1,073,594 90,289,255
WD-40 Co 0.05983 343,018 90,158,851
Atlantic Union Bankshares Corp 0.05982 2,271,818 90,145,738
Axcelis Technologies Inc 0.05974 823,378 90,019,917
International Bancshares Corp 0.05937 1,416,052 89,466,165
Otter Tail Corp 0.05936 1,058,031 89,456,521
Evolent Health Inc Class A 0.05935 2,796,572 89,434,373
Hecla Mining Co 0.05928 15,065,582 89,338,901
Axonics Inc 0.05926 1,291,226 89,307,646
ManpowerGroup Inc 0.05922 1,207,357 89,247,829
Innovative Industrial Properties Inc 0.05913 716,968 89,104,783
Fulton Financial Corp 0.05906 4,599,710 89,004,388
Plexus Corp 0.05894 693,257 88,813,154
CBIZ Inc 0.05877 1,203,400 88,570,240
Transocean Ltd 0.05875 18,677,355 88,530,663
InterDigital Inc 0.05871 638,504 88,471,114
GMS Inc 0.05806 1,008,066 87,490,048
PotlatchDeltic Corp 0.05804 2,012,401 87,458,947
Broadstone Net Lease Inc Ordinary Shares 0.05792 4,769,455 87,281,026
Macerich Co 0.05787 5,460,491 87,204,041
Amicus Therapeutics Inc 0.05785 7,508,632 87,175,218
YETI Holdings Inc 0.05773 2,157,475 86,989,392
PBF Energy Inc Class A 0.05763 2,549,983 86,852,421
Walker & Dunlop Inc 0.05760 810,824 86,806,817
Highwoods Properties Inc 0.05738 2,683,883 86,474,710
Penske Automotive Group Inc 0.05731 507,762 86,370,316
Atkore Inc 0.05711 922,195 86,068,459
Stride Inc 0.05684 1,040,247 85,653,938
First BanCorp 0.05678 4,002,107 85,565,048
Choice Hotels International Inc 0.05677 670,528 85,552,668
Axsome Therapeutics Inc 0.05675 962,431 85,521,619
Enpro Inc 0.05660 530,315 85,290,561
Neogen Corp 0.05649 4,935,177 85,131,803
Axos Financial Inc 0.05648 1,225,905 85,114,584
Insperity Inc 0.05646 905,264 85,085,763
National Health Investors Inc 0.05643 1,044,312 85,038,326
COPT Defense Properties 0.05636 2,850,906 84,928,490
RXO Inc 0.05618 2,974,829 84,663,633
Mueller Water Products Inc Class A shares 0.05616 3,941,776 84,629,931
Rush Enterprises Inc Class A 0.05609 1,603,912 84,526,162
Spire Inc 0.05603 1,279,907 84,435,465
NorthWestern Energy Group Inc 0.05599 1,551,274 84,373,793
Tanger Inc 0.05583 2,763,779 84,129,433
Oscar Health Inc Class A 0.05579 4,594,021 84,070,584
Granite Construction Inc 0.05574 1,117,676 84,004,528
Sensient Technologies Corp 0.05539 1,072,276 83,465,964
Eastern Bankshares Inc Ordinary Shares 0.05529 4,909,804 83,319,374
WSFS Financial Corp 0.05527 1,521,525 83,288,278
Lancaster Colony Corp 0.05525 487,622 83,266,333
Associated Banc-Corp 0.05504 3,625,254 82,945,812
Nuvalent Inc Class A 0.05496 972,809 82,815,230
Kratos Defense & Security Solutions Inc 0.05495 3,610,044 82,814,409
TG Therapeutics Inc 0.05490 3,521,715 82,725,085
Coty Inc Class A 0.05471 8,788,883 82,439,723
StepStone Group Inc Ordinary Shares - Class A 0.05426 1,494,770 81,763,919
Community Financial System Inc 0.05425 1,336,724 81,754,040
Synaptics Inc 0.05401 999,614 81,388,572
Archrock Inc 0.05393 4,017,652 81,277,100
Warrior Met Coal Inc 0.05385 1,323,692 81,155,557
Amedisys Inc 0.05379 826,981 81,052,408
California Water Service Group 0.05357 1,459,133 80,733,829
Brinker International Inc 0.05345 1,126,275 80,551,188
Upstart Holdings Inc Ordinary Shares 0.05339 1,893,240 80,462,700
National Storage Affiliates Trust 0.05301 1,709,034 79,880,249
Apple Hospitality REIT Inc 0.05290 5,520,591 79,717,334
Steven Madden Ltd 0.05281 1,764,643 79,585,399
ZoomInfo Technologies Inc 0.05281 8,046,011 79,575,049
Envista Holdings Corp Ordinary Shares 0.05275 4,353,392 79,492,938
MGE Energy Inc 0.05269 915,754 79,400,451
Texas Capital Bancshares Inc 0.05269 1,181,113 79,394,416
Chewy Inc 0.05261 2,776,662 79,273,700
Trinet Group Inc 0.05239 767,786 78,951,434
Envestnet Inc 0.05228 1,255,528 78,784,382
First Hawaiian Inc 0.05225 3,235,977 78,731,320
The Baldwin Insurance Group Inc Class A 0.05210 1,674,429 78,513,976
Brady Corp Class A 0.05192 1,056,788 78,244,584
ESCO Technologies Inc 0.05188 651,941 78,174,245
Cogent Communications Holdings Inc 0.05187 1,116,949 78,164,091
Liberty Energy Inc Class A 0.05186 3,795,839 78,156,325
Alight Inc Class A 0.05172 10,447,901 77,941,341
Park Hotels & Resorts Inc 0.05135 5,064,658 77,387,974
Genworth Financial Inc 0.05133 11,081,895 77,351,627
Diodes Inc 0.05128 1,108,887 77,278,335
Blackstone Mortgage Trust Inc A 0.05113 4,174,016 77,052,335
Cathay General Bancorp 0.05112 1,751,198 77,035,200
American States Water Co 0.05092 942,470 76,735,907
The Scotts Miracle Gro Co Class A 0.05080 1,078,476 76,550,226
Avista Corp 0.05075 1,979,241 76,477,872
CorVel Corp 0.05074 238,389 76,458,504
Cinemark Holdings Inc 0.05067 2,788,582 76,351,375
Pegasystems Inc 0.05062 1,076,242 76,284,033
Travel+Leisure Co 0.05033 1,713,545 75,841,502
Dorman Products Inc 0.05024 667,533 75,711,593
Atmus Filtration Technologies Inc 0.05022 2,110,987 75,678,884
WaFd Inc 0.05015 2,061,100 75,580,537
Guardant Health Inc 0.04995 2,942,465 75,268,255
SkyWest Inc 0.04984 968,666 75,110,362
Red Rock Resorts Inc Class A 0.04961 1,282,754 74,758,903
Griffon Corp 0.04958 1,128,879 74,720,501
The Wendy's Co Class A 0.04956 4,413,836 74,682,105
Albany International Corp 0.04945 791,350 74,513,516
Foot Locker Inc 0.04944 2,392,696 74,508,553
Corcept Therapeutics Inc 0.04939 2,108,475 74,429,168
Iovance Biotherapeutics Inc 0.04935 6,378,098 74,368,623
Arcadium Lithium PLC 0.04896 27,225,556 73,781,257
Helmerich & Payne Inc 0.04870 2,248,899 73,381,574
LXP Industrial Trust 0.04866 7,078,599 73,334,286
The Chemours Co 0.04864 3,770,111 73,290,958
Bread Financial Holdings Inc 0.04846 1,255,537 73,034,587
Primoris Services Corp 0.04832 1,290,232 72,820,694
BankUnited Inc 0.04830 1,893,882 72,781,885
Innospec Inc 0.04827 631,123 72,743,237
Cal-Maine Foods Inc 0.04819 1,007,971 72,614,231
Dutch Bros Inc Class A 0.04806 2,336,447 72,429,857
John Bean Technologies Corp 0.04804 805,761 72,389,568
UniFirst Corp 0.04802 381,516 72,369,770
Sweetgreen Inc Ordinary Shares - Class A 0.04801 2,288,575 72,341,856
Crane NXT Co 0.04793 1,229,354 72,224,548
Brighthouse Financial Inc Registered Shs When Issued 0.04793 1,573,624 72,229,342
LCI Industries Inc 0.04789 612,374 72,162,152
SITE Centers Corp 0.04780 1,193,540 72,030,139
The Simply Good Foods Co 0.04775 2,277,803 71,955,797
PENN Entertainment Inc 0.04769 3,859,308 71,860,315
Alarm.com Holdings Inc 0.04768 1,206,725 71,848,406
Cushman & Wakefield PLC 0.04753 5,510,127 71,631,651
Clear Secure Inc Ordinary Shares Class A 0.04753 2,356,829 71,624,033
Semtech Corp 0.04743 1,631,204 71,479,359
Iridium Communications Inc 0.04737 2,767,121 71,391,722
Arrowhead Pharmaceuticals Inc 0.04724 2,987,442 71,190,743
Tandem Diabetes Care Inc 0.04722 1,635,689 71,152,472
ADT Inc 0.04715 9,747,356 71,058,225
Westlake Corp 0.04711 488,099 70,989,119
Hilton Grand Vacations Inc 0.04705 1,837,673 70,897,424
Peabody Energy Corp 0.04701 3,026,350 70,846,854
Newell Brands Inc 0.04698 9,984,788 70,792,147
Resideo Technologies Inc 0.04698 3,511,754 70,796,961
Visteon Corp 0.04692 698,528 70,711,989
Biohaven Ltd 0.04676 1,788,444 70,464,694
SpringWorks Therapeutics Inc Ordinary Shares 0.04663 1,684,639 70,266,293
Hub Group Inc Class A 0.04645 1,485,191 69,997,052
Artisan Partners Asset Management Inc Class A 0.04640 1,681,273 69,924,144
First Interstate BancSystem Inc 0.04638 2,251,105 69,896,810
BlackLine Inc 0.04632 1,408,793 69,805,693
Federated Hermes Inc Class B 0.04623 2,031,156 69,668,651
PennyMac Financial Services Inc Class A 0.04621 644,749 69,632,892
Oceaneering International Inc 0.04599 2,567,891 69,307,378
Teradata Corp 0.04588 2,448,136 69,135,361
PTC Therapeutics Inc 0.04552 1,942,261 68,600,659
DoubleVerify Holdings Inc 0.04548 3,479,340 68,542,998
Adtalem Global Education Inc 0.04545 904,610 68,488,023
Trinity Industries Inc 0.04539 2,072,168 68,402,266
Advance Auto Parts Inc 0.04537 1,508,961 68,371,023
Medical Properties Trust Inc 0.04529 15,166,504 68,249,268
Douglas Emmett Inc 0.04501 4,238,807 67,820,912
New York Community Bancorp Inc 0.04484 6,234,009 67,576,658
PJT Partners Inc Class A 0.04479 546,502 67,492,997
McGrath RentCorp 0.04461 621,581 67,223,985
Squarespace Inc Class A 0.04452 1,475,140 67,089,367
Liberty SiriusXM Group Registered Shs Series -C- SiriusXM Group 0.04449 2,813,269 67,040,200
Perficient Inc 0.04441 890,247 66,919,867
Alpha Metallurgical Resources Inc 0.04441 279,859 66,928,280
Bank of Hawaii Corp 0.04427 1,005,072 66,706,629
TransMedics Group Inc 0.04414 395,811 66,519,997
Columbia Sportswear Co 0.04411 823,468 66,478,572
Denali Therapeutics Inc 0.04394 2,709,530 66,220,913
Spectrum Brands Holdings Inc 0.04393 701,851 66,198,586
Agios Pharmaceuticals Inc 0.04380 1,437,579 65,999,252
RingCentral Inc Class A 0.04376 1,978,477 65,942,638
Virtu Financial Inc Class A 0.04330 2,124,951 65,257,245
Enovis Corp 0.04295 1,388,768 64,716,589
Park National Corp 0.04293 368,030 64,695,994
Simmons First National Corp Class A 0.04293 3,020,200 64,692,684
Independent Bank Corp 0.04282 1,019,354 64,535,302
Compass Inc Class A 0.04265 12,527,776 64,267,491
Azenta Inc 0.04262 1,297,047 64,229,767
Vishay Intertechnology Inc 0.04238 3,169,742 63,870,301
Progress Software Corp 0.04227 1,095,538 63,705,535
Urban Edge Properties 0.04222 3,008,136 63,622,076
Goodyear Tire & Rubber Co 0.04217 7,205,777 63,554,953
ACV Auctions Inc Ordinary Shares - Class A 0.04189 3,374,126 63,129,897
C3.ai Inc Ordinary Shares - Class A 0.04184 2,701,484 63,052,637
Minerals Technologies Inc 0.04179 816,720 62,969,112
Cohen & Steers Inc 0.04174 703,958 62,905,687
Pacific Premier Bancorp Inc 0.04171 2,445,751 62,855,801
Graham Holdings Co 0.04167 78,974 62,799,335
SiTime Corp Ordinary Shares 0.04160 433,381 62,692,895
Braze Inc Class A 0.04148 1,395,880 62,507,506
CVB Financial Corp 0.04108 3,360,822 61,906,341
Myriad Genetics Inc 0.04097 2,179,213 61,737,104
Freshworks Inc Ordinary Shares Class A 0.04095 5,283,870 61,715,602
Surgery Partners Inc 0.04085 1,926,647 61,556,372
OSI Systems Inc 0.04079 410,191 61,475,325
CarGurus Inc Class A 0.04072 2,117,215 61,356,891
HNI Corp 0.04067 1,137,993 61,280,923
Veracyte Inc 0.04059 1,938,615 61,163,303
Ncino Inc Ordinary Shares 0.04055 2,039,437 61,101,533
Allegro Microsystems Inc Ordinary Shares 0.04051 2,488,627 61,046,020
JFrog Ltd Ordinary Shares 0.04044 2,195,539 60,948,163
Materion Corp 0.04043 525,090 60,931,444
Outfront Media Inc 0.04041 3,571,778 60,898,815
First Financial Bancorp 0.04035 2,297,050 60,802,914
Clearway Energy Inc Class C 0.04032 2,098,183 60,763,380
Twist Bioscience Corp 0.04018 1,400,224 60,545,686
Five9 Inc 0.04003 1,870,302 60,317,240
Urban Outfitters Inc 0.03985 1,653,217 60,044,841
BOK Financial Corp 0.03983 571,888 60,019,646
Kymera Therapeutics Inc Ordinary Shares 0.03980 1,240,224 59,977,233
ArcBest Corp 0.03976 563,637 59,914,613
Arch Resources Inc Class A 0.03965 437,948 59,749,246
Rapid7 Inc 0.03960 1,578,306 59,675,750
AZZ Inc 0.03955 716,612 59,600,620
Provident Financial Services Inc 0.03954 3,124,811 59,590,146
Tegna Inc 0.03948 4,286,895 59,502,103
Marqeta Inc Class A 0.03939 11,135,457 59,351,986
Marriott Vacations Worldwide Corp 0.03935 801,273 59,294,202
Energizer Holdings Inc 0.03899 1,813,687 58,763,459
Ambarella Inc 0.03895 983,219 58,698,174
Acadia Realty Trust 0.03894 2,606,846 58,680,103
Hillenbrand Inc 0.03887 1,777,082 58,572,623
Bloom Energy Corp Class A 0.03854 4,875,807 58,070,861
Carter's Inc 0.03842 878,537 57,895,588
First Merchants Corp 0.03831 1,480,257 57,730,023
Quaker Houghton 0.03829 340,871 57,699,234
Hims & Hers Health Inc Ordinary Shares - Class A 0.03829 3,917,682 57,707,456
Laureate Education Inc Shs 0.03820 3,733,576 57,571,742
Inter Parfums Inc 0.03814 446,062 57,470,628
Towne Bank 0.03808 1,656,346 57,392,389
Howard Hughes Holdings Inc 0.03802 761,653 57,291,539
Credit Acceptance Corp 0.03798 122,682 57,234,833
Ziff Davis Inc 0.03789 1,168,396 57,099,513
Leonardo DRS Inc 0.03789 2,000,817 57,103,317
Conmed Corp 0.03781 778,239 56,982,660
The St. Joe Co 0.03778 958,849 56,926,865
Enerpac Tool Group Corp Class A 0.03762 1,374,523 56,685,329
Yelp Inc Class A 0.03753 1,619,219 56,559,320
Werner Enterprises Inc 0.03733 1,522,172 56,259,477
AAR Corp 0.03727 853,877 56,168,029
10x Genomics Inc Ordinary Shares - Class A 0.03722 2,402,317 56,094,102
EchoStar Corp Class A 0.03704 3,010,343 55,811,759
Coeur Mining Inc 0.03699 9,079,469 55,747,940
Evertec Inc 0.03699 1,627,372 55,737,491
RadNet Inc 0.03699 840,853 55,740,145
Intapp Inc 0.03696 1,205,693 55,703,017
Pricesmart Inc 0.03683 619,593 55,503,141
Nordstrom Inc 0.03679 2,481,521 55,437,179
NBT Bancorp Inc 0.03677 1,131,650 55,405,584
Phinia Inc 0.03673 1,154,217 55,356,247
DigitalBridge Group Inc Class A 0.03644 4,396,313 54,909,949
Arbor Realty Trust Inc 0.03642 4,035,389 54,881,290
Privia Health Group Inc 0.03636 2,720,655 54,793,992
LGI Homes Inc 0.03634 507,571 54,756,759
OFG Bancorp 0.03634 1,190,859 54,767,605
Liberty SiriusXM Group Registered Shs Series -A- Sirius XM Group 0.03620 2,291,076 54,550,520
Strategic Education Inc 0.03591 560,792 54,116,428
Inari Medical Inc Ordinary Shares 0.03590 1,251,402 54,098,108
Premier Inc Class A 0.03581 2,649,020 53,960,537
Vertex Inc Class A 0.03581 1,394,912 53,969,145
Telephone and Data Systems Inc 0.03569 2,276,890 53,780,142
UL Solutions Inc Class A common stock 0.03564 984,720 53,706,629
Sunstone Hotel Investors Inc 0.03562 5,146,116 53,673,990
Standex International Corp 0.03560 300,323 53,652,704
QuidelOrtho Corp 0.03558 1,269,098 53,619,390
Hanesbrands Inc 0.03556 8,438,285 53,583,110
MillerKnoll Inc 0.03547 1,814,998 53,451,691
Flywire Corp 0.03539 2,944,647 53,327,557
NeoGenomics Inc 0.03537 3,226,661 53,304,440
iRhythm Technologies Inc 0.03519 748,252 53,036,102
NovoCure Ltd 0.03507 2,718,870 52,854,833
Renasant Corp 0.03491 1,502,971 52,603,985
R1 RCM Inc 0.03488 3,725,048 52,560,427
Hayward Holdings Inc 0.03487 3,540,530 52,541,465
Calix Inc 0.03486 1,410,835 52,539,495
Equity Commonwealth 0.03474 2,582,794 52,353,234
Fortrea Holdings Inc 0.03468 2,266,622 52,268,303
NCR Atleos Corp 0.03459 1,821,906 52,124,731
Intellia Therapeutics Inc 0.03448 2,315,651 51,963,208
ACADIA Pharmaceuticals Inc 0.03445 3,130,804 51,908,730
Banner Corp 0.03441 870,395 51,849,430
Independent Bank Group Inc 0.03435 889,037 51,759,734
DigitalOcean Holdings Inc 0.03430 1,380,880 51,686,338
Kohl's Corp 0.03426 2,662,257 51,621,163
Omnicell Inc 0.03425 1,160,257 51,608,231
Kennametal Inc 0.03412 1,987,592 51,419,005
Mirion Technologies Inc Ordinary Shares Class A 0.03411 4,741,541 51,398,304
Immunovant Inc 0.03405 1,660,556 51,311,180
AMN Healthcare Services Inc 0.03386 962,239 51,027,534
Rocket Lab USA Inc 0.03378 8,118,720 50,904,374
Vector Group Ltd 0.03376 3,396,303 50,876,619
Veeco Instruments Inc 0.03370 1,430,965 50,784,948
Astrana Health Inc 0.03368 1,061,879 50,747,197
Rogers Corp 0.03363 472,547 50,685,391
Klaviyo Inc Class A common stock 0.03348 1,603,617 50,449,791
John Wiley & Sons Inc Class A 0.03343 1,042,819 50,378,586
Edgewell Personal Care Co 0.03342 1,252,141 50,361,111
Global Net Lease Inc 0.03329 5,820,624 50,173,779
J&J Snack Foods Corp 0.03320 293,946 50,026,670
Remitly Global Inc 0.03317 3,662,144 49,988,266
Beam Therapeutics Inc 0.03314 1,871,610 49,934,555
O-I Glass Inc 0.03313 3,934,252 49,925,658
Sotera Health Co Ordinary Shares 0.03297 3,218,271 49,690,104
Riot Platforms Inc 0.03286 6,575,473 49,513,312
Joby Aviation Inc 0.03274 9,867,168 49,335,840
Hillman Solutions Corp Shs 0.03270 4,953,014 49,282,489
Payoneer Global Inc 0.03268 6,627,776 49,244,376
Treehouse Foods Inc 0.03262 1,196,149 49,149,762
QuantumScape Corp Ordinary Shares - Class A 0.03250 8,429,237 48,973,867
Barnes Group Inc 0.03247 1,221,892 48,924,556
Life Time Group Holdings Inc 0.03243 2,077,922 48,872,725
BancFirst Corp 0.03237 458,433 48,777,271
Viavi Solutions Inc 0.03223 5,640,161 48,561,786
PROG Holdings Inc Ordinary Shares 0.03216 1,036,472 48,465,431
Goosehead Insurance Inc Class A 0.03211 573,803 48,394,545
InvenTrust Properties Corp 0.03209 1,629,178 48,354,003
Mercury Systems Inc 0.03205 1,274,520 48,304,308
Liberty Live Group Ordinary Shares Series C 0.03201 1,195,065 48,244,774
Progyny Inc 0.03196 2,050,261 48,160,631
Acushnet Holdings Corp 0.03188 717,119 48,039,802
Huron Consulting Group Inc 0.03168 432,283 47,741,335
Kadant Inc 0.03162 148,371 47,646,379
Boston Beer Co Inc Class A 0.03153 174,858 47,512,416
TTM Technologies Inc 0.03153 2,442,856 47,513,549
Openlane Inc 0.03147 2,736,280 47,419,732
Endeavor Group Holdings Inc Class A 0.03135 1,719,424 47,249,772
IPG Photonics Corp 0.03134 690,785 47,228,970
Tennant Co 0.03123 481,790 47,056,429
NCR Voyix Corp 0.03116 3,480,451 46,951,284
Retail Opportunity Investments Corp 0.03104 3,059,123 46,773,991
Verint Systems Inc 0.03102 1,481,514 46,741,767
Vestis Corp 0.03101 3,321,138 46,728,412
Supernus Pharmaceuticals Inc 0.03079 1,319,520 46,394,323
Victoria's Secret & Co 0.03079 1,977,997 46,403,810
Trustmark Corp 0.03076 1,391,696 46,357,394
Magnite Inc 0.03075 3,360,844 46,346,039
Mercury General Corp 0.03074 699,440 46,323,911
Wesbanco Inc 0.03049 1,426,367 45,943,281
Patterson Companies Inc 0.03041 2,037,309 45,819,079
Ligand Pharmaceuticals Inc 0.03027 431,168 45,617,574
Cheesecake Factory Inc 0.03022 1,158,667 45,547,200
The GEO Group Inc 0.03011 3,271,162 45,371,017
National Healthcare Corp 0.03009 330,702 45,349,165
Levi Strauss & Co Class A 0.03005 2,349,989 45,284,288
Viasat Inc 0.02982 2,861,913 44,932,034
Newmark Group Inc Class A 0.02979 3,246,474 44,898,735
Northwest Bancshares Inc 0.02955 3,215,364 44,532,791
Diamondrock Hospitality Co 0.02941 5,042,567 44,324,164
La-Z-Boy Inc 0.02909 1,080,722 43,844,892
Kinetik Holdings Inc 0.02889 983,950 43,529,948
Central Garden & Pet Co Class A 0.02882 1,269,967 43,432,863
PagerDuty Inc 0.02874 2,189,202 43,302,416
Crescent Energy Co Class A 0.02866 3,619,991 43,186,493
Liberty Formula One Group A 0.02863 611,025 43,150,586
Fox Factory Holding Corp 0.02859 1,064,219 43,079,585
Sitio Royalties Corp Ordinary Shares - Class A 0.02854 1,935,038 43,015,895
Grocery Outlet Holding Corp 0.02854 2,270,725 43,007,532
United Parks & Resorts Inc 0.02836 868,393 42,742,303
First Commonwealth Financial Corp 0.02806 2,455,414 42,282,229
City Holding Co 0.02792 354,346 42,075,044
Stepan Co 0.02779 539,410 41,874,398
National Bank Holdings Corp Class A 0.02778 955,630 41,866,150
Pilgrims Pride Corp 0.02776 897,935 41,825,812
Reynolds Consumer Products Inc Ordinary Shares 0.02774 1,327,180 41,806,170
Andersons Inc 0.02773 819,985 41,794,635
Alkami Technology Inc 0.02770 1,251,844 41,736,479
Novavax Inc 0.02768 3,368,975 41,707,910
Tronox Holdings PLC Shs Class A 0.02765 2,990,817 41,662,081
JetBlue Airways Corp 0.02759 8,184,064 41,575,045
World Kinect Corp 0.02759 1,444,089 41,575,322
Upbound Group Inc 0.02754 1,246,127 41,496,029
LiveRamp Holdings Inc 0.02731 1,587,788 41,155,465
Cavco Industries Inc 0.02727 99,419 41,091,861
Staar Surgical Co 0.02726 1,241,331 41,075,643
Recursion Pharmaceuticals Inc Class A 0.02708 5,605,808 40,810,282
Arvinas Inc 0.02701 1,556,058 40,706,477
Leggett & Platt Inc 0.02698 3,217,082 40,663,916
AvePoint Inc Ordinary Shares - Class A 0.02691 3,511,114 40,553,367
Pebblebrook Hotel Trust 0.02687 3,044,539 40,492,369
MP Materials Corp Ordinary Shares - Class A 0.02682 3,133,516 40,422,356
Gentherm Inc Class A 0.02681 799,485 40,405,972
JBG SMITH Properties 0.02681 2,321,985 40,402,539
LTC Properties Inc 0.02677 1,098,367 40,343,020
Informatica Inc 0.02667 1,613,691 40,197,043
Cable One Inc 0.02658 113,556 40,053,472
Knowles Corp 0.02637 2,154,156 39,744,178
Greif Inc Class A 0.02631 634,235 39,652,372
REV Group Inc 0.02627 1,243,214 39,583,934
Reddit Inc Class A Shares 0.02627 659,522 39,591,106
Papa John's International Inc 0.02619 833,070 39,462,526
Peloton Interactive Inc 0.02618 8,467,694 39,459,454
S&T Bancorp Inc 0.02617 917,807 39,438,167
Elme Communities 0.02606 2,223,472 39,266,516
Plug Power Inc 0.02590 20,757,916 39,024,882
Getty Realty Corp 0.02588 1,227,132 38,998,255
Northwest Natural Holding Co 0.02564 960,755 38,641,566
Janus International Group Inc Ordinary Shares - Class A 0.02555 3,503,763 38,506,355
Bloomin Brands Inc 0.02537 2,184,869 38,235,208
Cimpress PLC 0.02532 385,830 38,150,870
Apollo Commercial Real Estate Finance Inc 0.02524 3,591,811 38,037,278
Sonos Inc 0.02520 3,105,186 37,976,425
Hilltop Holdings Inc 0.02516 1,154,258 37,917,375
H&E Equipment Services Inc 0.02507 784,519 37,774,590
Apogee Enterprises Inc 0.02478 559,082 37,335,496
Certara Inc Ordinary Shares 0.02478 3,047,810 37,335,672
Madison Square Garden Entertainment Corp 0.02476 883,884 37,317,582
Dana Inc 0.02469 3,296,210 37,214,211
Sprout Social Inc Class A 0.02468 1,195,706 37,186,457
Tripadvisor Inc 0.02461 2,556,411 37,093,524
Helios Technologies Inc 0.02460 838,746 37,064,186
Hope Bancorp Inc 0.02457 2,895,148 37,028,943
Two Harbors Investment Corp 0.02457 2,614,804 37,025,625
Under Armour Inc Class A 0.02453 4,807,148 36,966,968
Horace Mann Educators Corp 0.02446 1,035,003 36,856,457
NetScout Systems Inc 0.02443 1,714,112 36,819,126
CoreCivic Inc 0.02442 2,670,515 36,799,697
Benchmark Electronics Inc 0.02440 865,129 36,776,634
Xenia Hotels & Resorts Inc 0.02434 2,576,315 36,686,726
Trupanion Inc 0.02416 796,231 36,411,644
Alexander & Baldwin Inc 0.02409 1,834,096 36,296,760
Ingevity Corp 0.02407 917,711 36,277,116
Virtus Investment Partners Inc 0.02403 171,118 36,218,836
Greenbrier Companies Inc 0.02402 747,192 36,201,452
Under Armour Inc Class C 0.02394 4,835,222 36,070,756
Jamf Holding Corp Ordinary Shares 0.02390 1,947,160 36,022,460
AMC Entertainment Holdings Inc Class A 0.02388 7,465,756 35,984,944
Empire State Realty Trust Inc Class A 0.02374 3,315,456 35,773,770
Ladder Capital Corp Class A 0.02362 2,879,248 35,587,505
RLJ Lodging Trust Registered Shs of Benef Interest 0.02359 3,742,041 35,549,390
SiriusPoint Ltd 0.02356 2,368,961 35,510,725
Dnow Inc 0.02332 2,698,521 35,134,743
Topgolf Callaway Brands Corp 0.02328 3,487,631 35,085,568
WisdomTree Inc 0.02322 3,451,548 34,998,697
Worthington Enterprises Inc 0.02310 760,190 34,816,702
Veris Residential Inc 0.02305 1,980,744 34,742,250
Lindsay Corp 0.02296 278,890 34,596,304
CSG Systems International Inc 0.02294 712,529 34,571,907
Integra Lifesciences Holdings Corp 0.02284 1,692,218 34,419,714
Compass Diversified Holdings 0.02269 1,544,013 34,199,888
Sally Beauty Holdings Inc 0.02265 2,615,519 34,132,523
Safehold Inc 0.02251 1,353,645 33,922,344
Schrodinger Inc Ordinary Shares 0.02239 1,604,732 33,747,514
AvidXchange Holdings Inc 0.02236 4,175,733 33,698,165
Warby Parker Inc Ordinary Shares - Class A 0.02231 2,253,747 33,625,905
Infinera Corp 0.02223 5,326,587 33,504,232
Navient Corp 0.02222 1,977,873 33,485,390
PowerSchool Holdings Inc Class A 0.02211 1,467,114 33,318,159
Avis Budget Group Inc 0.02206 405,387 33,237,680
Westamerica Bancorp 0.02201 640,339 33,163,157
Brookdale Senior Living Inc 0.02186 4,632,424 32,936,535
Adeia Inc 0.02178 2,604,436 32,815,894
Enovix Corp 0.02171 3,436,001 32,710,730
Oxford Industries Inc 0.02167 375,445 32,656,206
LendingClub Corp 0.02151 2,667,253 32,407,124
MFA Financial Inc 0.02143 2,579,162 32,291,108
Buckle Inc 0.02140 769,822 32,255,542
Atlas Energy Solutions Inc Class A 0.02136 1,525,967 32,182,644
Helen Of Troy Ltd 0.02131 601,614 32,114,155
Universal Corp 0.02125 589,842 32,028,421
Appian Corp A 0.02121 985,252 31,961,575
Opendoor Technologies Inc Ordinary Shares - Class A 0.02119 14,852,175 31,932,176
Sphere Entertainment Co Ordinary Shares - Class A 0.02113 683,228 31,838,425
Agilon Health Inc 0.02110 7,792,814 31,794,681
IonQ Inc Class A 0.02104 4,273,767 31,711,351
Xerox Holdings Corp 0.02101 2,794,731 31,664,302
Worthington Steel Inc 0.02095 891,827 31,570,676
Safety Insurance Group Inc 0.02093 356,107 31,533,275
Chimera Investment Corp 0.02089 2,033,298 31,475,453
American Assets Trust Inc 0.02087 1,153,890 31,443,502
Delek US Holdings Inc Registered Shs Stock Settlement 0.02086 1,539,249 31,431,465
Palomar Holdings Inc 0.02073 314,899 31,244,279
Victory Capital Holdings Inc Class A 0.02072 572,133 31,221,298
PennyMac Mortgage Investment Trust 0.02069 2,194,119 31,178,431
Wolfspeed Inc 0.02057 3,179,823 31,003,274
JELD-WEN Holding Inc 0.02053 2,172,247 30,932,797
Teladoc Health Inc 0.02039 4,284,687 30,721,206
International Seaways Inc 0.02038 592,496 30,709,068
Employers Holdings Inc 0.02038 640,350 30,704,782
Zuora Inc Class A 0.02038 3,493,882 30,711,223
Kforce Inc 0.02036 467,814 30,683,920
Apartment Investment & Management Co Ordinary Shares - Class A 0.02032 3,293,272 30,627,430
Piedmont Office Realty Trust Inc Class A 0.02027 3,130,257 30,551,308
AtriCure Inc 0.02020 1,161,322 30,438,250
Amneal Pharmaceuticals Inc Ordinary Shares - Class A 0.02017 3,509,161 30,389,334
Asana Inc Ordinary Shares - Class A 0.02017 2,161,503 30,390,732
Pitney Bowes Inc 0.02014 4,293,202 30,352,938
Steelcase Inc Class A 0.02002 2,133,850 30,172,639
Berkshire Hills Bancorp Inc 0.01999 1,093,734 30,121,434
Hawaiian Electric Industries Inc 0.01984 2,786,788 29,902,235
Fluence Energy Inc 0.01969 1,615,606 29,678,682
Sunnova Energy International Inc 0.01963 2,662,474 29,580,086
Upwork Inc 0.01929 3,014,965 29,064,263
Kennedy-Wilson Holdings Inc 0.01923 2,605,396 28,972,004
Kaiser Aluminum Corp 0.01908 385,655 28,750,580
New Fortress Energy Inc Class A 0.01906 2,331,444 28,723,390
MaxLinear Inc 0.01904 1,890,161 28,692,644
Paycor HCM Inc 0.01904 2,026,181 28,690,723
Waystar Holding Corp 0.01901 1,052,668 28,653,623
ScanSource Inc 0.01900 561,970 28,626,752
Owens & Minor Inc 0.01893 1,836,123 28,533,351
CONSOL Energy Inc Ordinary Shares 0.01890 278,449 28,479,764
Encore Capital Group Inc 0.01889 568,529 28,471,932
Harmony Biosciences Holdings Inc Ordinary Shares 0.01884 789,172 28,394,409
Cars.com Inc 0.01879 1,586,942 28,311,045
Fresh Del Monte Produce Inc 0.01879 968,191 28,309,905
Integral Ad Science Holding Corp Ordinary Shares 0.01878 2,433,699 28,303,919
Enact Holdings Inc 0.01875 794,803 28,255,247
Centerspace 0.01870 376,781 28,183,219
Franklin BSP Realty Trust Inc Ordinary Shares 0.01870 2,068,535 28,173,447
Avanos Medical Inc 0.01864 1,159,805 28,090,477
Sabre Corp 0.01856 9,167,858 27,961,967
Utz Brands Inc Class A 0.01845 1,646,576 27,810,669
Weis Markets Inc 0.01829 407,756 27,556,150
Xencor Inc 0.01808 1,557,891 27,247,514
Cannae Holdings Inc Ordinary Shares 0.01791 1,348,223 26,991,424
MRC Global Inc 0.01783 2,042,080 26,873,773
Gibraltar Industries Inc 0.01779 384,892 26,815,426
Thermon Group Holdings Inc 0.01779 853,069 26,811,959
Redfin Corp 0.01777 2,866,905 26,776,893
National Beverage Corp 0.01771 590,834 26,682,063
Air Transport Services Group Inc 0.01765 1,577,509 26,596,802
The ODP Corp 0.01764 861,584 26,579,866
Vista Outdoor Inc 0.01762 663,236 26,555,969
Wolverine World Wide Inc 0.01745 1,918,435 26,301,744
TriMas Corp 0.01742 1,029,098 26,252,290
Dillard's Inc Class A 0.01739 77,331 26,212,889
Sprinklr Inc Class A 0.01733 2,910,706 26,109,033
Innoviva Inc 0.01725 1,341,219 25,992,824
Liberty Broadband Corp Registered Shs Series -A- 0.01713 421,462 25,814,548
Heartland Financial USA Inc 0.01700 459,450 25,618,932
G-III Apparel Group Ltd 0.01696 965,721 25,562,635
Dave & Buster's Entertainment Inc 0.01694 814,518 25,526,994
Schneider National Inc 0.01683 935,496 25,361,297
Astera Labs Inc 0.01683 589,151 25,368,842
Redwood Trust Inc 0.01677 3,338,872 25,275,261
ARMOUR Residential REIT Inc 0.01671 1,231,694 25,188,142
Loar Holdings Inc 0.01671 339,504 25,177,617
Uniti Group Inc 0.01669 5,767,089 25,144,508
Ameresco Inc Class A 0.01665 824,167 25,095,885
Lemonade Inc Ordinary Shares 0.01643 1,335,881 24,753,875
Mativ Holdings Inc 0.01640 1,303,841 24,720,825
First Advantage Corp 0.01632 1,283,939 24,587,432
Extreme Networks Inc 0.01630 1,559,490 24,561,968
Array Technologies Inc Ordinary Shares 0.01622 3,642,764 24,442,946
Kiniksa Pharmaceuticals International PLC Class A 0.01613 908,879 24,303,424
Maravai LifeSciences Holdings Inc Ordinary Shares - Class A 0.01612 2,684,790 24,297,350
E2open Parent Holdings Inc Class A 0.01612 5,421,163 24,286,810
Jack In The Box Inc 0.01605 489,896 24,181,267
Sirius XM Holdings Inc 0.01598 7,318,267 24,077,098
LegalZoom.com Inc 0.01595 3,566,131 24,035,723
Globalstar Inc 0.01593 19,202,024 24,002,530
Claros Mortgage Trust Inc 0.01582 2,979,711 23,837,688
Embecta Corp 0.01580 1,457,042 23,808,066
Rubrik Inc Class A Shares 0.01574 681,335 23,724,085
Paramount Group Inc 0.01564 4,667,380 23,570,269
Comstock Resources Inc 0.01562 2,214,663 23,541,868
Triumph Financial Inc 0.01561 280,030 23,516,919
Clearway Energy Inc Class A 0.01547 867,666 23,314,185
Marcus & Millichap Inc 0.01542 585,881 23,241,899
Shoals Technologies Group Inc Ordinary Shares - Class A 0.01540 4,305,671 23,207,567
Core Laboratories Inc 0.01538 1,184,918 23,176,996
Quanex Building Products Corp 0.01534 836,613 23,115,617
PACS Group Inc 0.01533 582,336 23,101,269
Pediatrix Medical Group Inc 0.01532 2,125,962 23,087,947
eXp World Holdings Inc 0.01526 1,955,850 23,000,796
Deluxe Corp 0.01520 1,112,430 22,904,934
BrightView Holdings Inc 0.01517 1,431,850 22,866,644
Shutterstock Inc 0.01509 633,927 22,745,301
Vir Biotechnology Inc 0.01507 2,750,042 22,715,347
BioCryst Pharmaceuticals Inc 0.01503 2,607,055 22,655,308
Lions Gate Entertainment Corp Registered Shs -B- Non Vtg 0.01501 3,268,165 22,615,702
CVR Energy Inc 0.01500 889,027 22,599,066
Nelnet Inc Class A 0.01496 195,074 22,546,653
Camping World Holdings Inc Class A 0.01492 1,024,879 22,485,845
Coursera Inc 0.01484 2,761,008 22,364,165
Vicor Corp 0.01482 580,243 22,339,356
Cracker Barrel Old Country Store Inc 0.01473 560,931 22,201,649
AdaptHealth Corp Ordinary Shares 0.01473 2,019,269 22,191,766
Revolve Group Inc Class A 0.01469 965,755 22,135,105
PRA Group Inc 0.01462 944,569 22,027,349
Brookline Bancorp Inc 0.01449 2,133,784 21,828,610
F&G Annuities & Life Inc 0.01449 478,075 21,843,247
Alignment Healthcare Inc 0.01444 2,415,271 21,761,592
Xometry Inc Ordinary Shares - Class A 0.01443 1,106,922 21,739,948
CG Oncology Inc 0.01439 587,882 21,681,088
Relay Therapeutics Inc Ordinary Shares 0.01436 3,186,098 21,633,605
Brandywine Realty Trust 0.01435 4,135,182 21,627,002
Krispy Kreme Inc 0.01435 1,918,416 21,620,548
UWM Holdings Corp Ordinary Shares - Class A 0.01434 2,298,215 21,603,221
United Natural Foods Inc 0.01432 1,426,662 21,585,396
PureCycle Technologies Inc Ordinary Shares 0.01431 3,535,170 21,564,537
Pros Holdings Inc 0.01428 1,068,822 21,515,387
Udemy Inc 0.01413 2,514,475 21,297,603
Liberty Live Group Ordinary Shares Series A 0.01397 531,707 21,055,597
Wabash National Corp 0.01395 1,080,617 21,028,807
N-able Inc 0.01394 1,633,889 21,011,813
National Vision Holdings Inc 0.01391 1,984,926 20,960,819
Driven Brands Holdings Inc Ordinary Shares 0.01381 1,450,950 20,806,623
VIZIO Holding Corp Ordinary Shares - Class A 0.01380 1,851,322 20,790,346
Sonic Automotive Inc Class A 0.01377 332,780 20,745,505
Gorman-Rupp Co 0.01370 529,817 20,652,267
Helix Energy Solutions Group Inc 0.01362 1,829,621 20,528,348
Sana Biotechnology Inc Ordinary Shares 0.01348 3,357,785 20,314,599
Healthcare Services Group Inc 0.01345 1,860,777 20,263,862
FIGS Inc Class A 0.01340 3,273,274 20,196,101
Koppers Holdings Inc 0.01336 508,584 20,129,755
AssetMark Financial Holdings Inc 0.01315 563,862 19,819,749
Shenandoah Telecommunications Co 0.01313 1,309,045 19,792,760
BrightSpire Capital Inc Class A 0.01303 3,300,628 19,638,737
Service Properties Trust 0.01303 4,187,868 19,641,101
Herbalife Ltd 0.01299 2,399,475 19,579,716
Proto Labs Inc 0.01298 639,680 19,561,414
Astec Industries Inc 0.01291 575,253 19,460,809
Monro Inc 0.01291 718,098 19,453,275
Vimeo Inc 0.01291 3,635,663 19,450,797
TFS Financial Corp 0.01278 1,418,375 19,261,532
CareDx Inc 0.01275 625,154 19,210,982
OneStream Inc Class A common stock 0.01274 619,139 19,193,309
ChargePoint Holdings Inc Ordinary Shares - Class A 0.01273 10,206,248 19,187,746
Ecovyst Inc 0.01268 2,660,609 19,103,173
Seaboard Corp 0.01268 6,144 19,110,113
Dream Finders Homes Inc Ordinary Shares - Class A 0.01258 566,575 18,951,934
Fastly Inc Class A 0.01241 3,106,153 18,699,041
Matthews International Corp Class A 0.01239 737,116 18,671,148
Couchbase Inc 0.01238 951,089 18,660,366
Sturm Ruger & Co Inc 0.01229 439,665 18,518,690
Century Aluminum Co 0.01227 1,288,151 18,497,848
Hudson Pacific Properties Inc 0.01219 3,566,103 18,365,430
Live Oak Bancshares Inc 0.01216 426,088 18,317,523
United States Cellular Corp 0.01212 328,463 18,269,112
ProPetro Holding Corp 0.01211 2,298,891 18,253,195
The Hain Celestial Group Inc 0.01205 2,269,950 18,159,600
American Axle & Mfg Holdings Inc 0.01204 2,821,527 18,142,419
American Woodmark Corp 0.01190 200,198 17,939,743
Tompkins Financial Corp 0.01185 291,139 17,858,466
HealthStream Inc 0.01184 614,465 17,844,064
Caleres Inc 0.01180 422,224 17,788,297
Phreesia Inc 0.01155 676,792 17,400,322
Pacira BioSciences Inc 0.01154 1,117,213 17,383,834
Rocket Pharmaceuticals Inc 0.01147 917,349 17,292,029
Ironwood Pharmaceuticals Inc Class A 0.01146 3,413,637 17,273,003
ProAssurance Corp 0.01146 1,288,900 17,271,260
Summit Therapeutics Inc Ordinary Shares 0.01144 1,327,592 17,232,144
Portillos Inc Class A 0.01144 1,399,983 17,233,791
BJ's Restaurants Inc 0.01141 561,226 17,190,352
Capitol Federal Financial Inc 0.01137 2,850,896 17,133,885
SEMrush Holdings Inc Ordinary Shares - Class A 0.01121 1,229,733 16,896,531
Allegiant Travel Co 0.01093 391,539 16,475,961
PubMatic Inc Ordinary Shares - Class A 0.01084 1,047,404 16,339,502
Kelly Services Inc Class A 0.01083 772,900 16,315,919
SolarWinds Corp Ordinary Shares 0.01082 1,274,853 16,305,370
BrightSpring Health Services Inc 0.01081 1,297,551 16,284,265
B&G Foods Inc 0.01066 1,897,484 16,071,689
Bumble Inc Ordinary Shares Class A 0.01065 2,391,790 16,048,911
Rush Street Interactive Inc Ordinary Shares - Class A 0.01064 1,710,771 16,029,924
Mister Car Wash Inc 0.01046 2,421,705 15,765,300
Amplitude Inc Class A 0.01046 1,789,412 15,764,720
Arhaus Inc Class A 0.01044 1,277,917 15,731,158
RPC Inc 0.01038 2,437,223 15,646,972
Concentra Group Holdings Parent Inc 0.01038 639,917 15,645,971
Hyster Yale Inc Class A 0.01037 248,208 15,627,176
Scholastic Corp 0.01025 484,317 15,440,026
Guess? Inc 0.01022 743,189 15,398,876
Matterport Inc Ordinary Shares - Class A 0.01016 3,380,488 15,313,611
LifeStance Health Group Inc Ordinary Shares 0.01011 2,414,596 15,236,101
Cytek Biosciences Inc 0.01011 2,653,540 15,231,320
U-Haul Holding Co 0.01003 212,757 15,110,002
GoodRx Holdings Inc Ordinary Shares - Class A 0.01001 1,909,372 15,084,039
Conduent Inc 0.00983 3,877,303 14,811,297
Open Lending Corp 0.00978 2,558,813 14,738,763
NuScale Power Corp Class A 0.00977 1,788,900 14,722,647
KKR Real Estate Finance Trust Inc 0.00971 1,225,949 14,625,572
Sun Country Airlines Holdings Inc 0.00968 1,328,776 14,589,960
Vitesse Energy Inc 0.00958 558,198 14,435,000
Innovex International Inc 0.00941 869,671 14,184,334
Sterling Check Corp 0.00929 864,282 13,992,726
Forestar Group Inc 0.00918 447,356 13,841,195
ImmunityBio Inc Ordinary Shares 0.00916 3,494,319 13,802,560
nLight Inc 0.00908 1,145,858 13,681,545
Regenxbio Inc 0.00908 1,120,027 13,686,730
Heartland Express Inc 0.00902 1,098,439 13,598,675
Triumph Group Inc 0.00898 971,034 13,526,504
Nerdwallet Inc Class A 0.00897 1,045,990 13,524,651
Trump Media & Technology Group Corp 0.00892 689,407 13,443,436
Olo Inc Ordinary Shares - Class A 0.00883 2,535,513 13,311,443
Interface Inc 0.00876 698,935 13,195,893
ZipRecruiter Inc Class A 0.00860 1,356,389 12,953,515
Instructure Holdings Inc 0.00860 553,107 12,959,297
Varex Imaging Corp 0.00856 1,033,459 12,897,568
Yext Inc 0.00853 2,523,936 12,846,834
MediaAlpha Inc Ordinary Shares - Class A 0.00847 716,812 12,759,254
Ambac Financial Group Inc 0.00843 1,085,535 12,700,760
Leslies Inc Ordinary Shares 0.00842 4,200,840 12,686,537
Sinclair Inc Ordinary Shares - Class A 0.00841 910,475 12,673,812
Saul Centers Inc 0.00821 302,936 12,365,848
Tootsie Roll Industries Inc 0.00821 416,395 12,375,259
Lions Gate Entertainment Corp Class A 0.00817 1,584,737 12,313,406
Silk Road Medical Inc 0.00807 448,553 12,160,272
Enviri Corp 0.00802 1,011,987 12,093,245
Rumble Inc 0.00789 2,067,106 11,885,860
P10 Inc Class A 0.00786 1,178,827 11,847,211
Alexander's Inc 0.00785 51,609 11,826,718
Usana Health Sciences Inc 0.00782 288,871 11,791,714
Getty Images Holdings Inc 0.00781 3,096,008 11,764,830
Columbia Financial Inc 0.00780 662,076 11,758,470
Dine Brands Global Inc 0.00776 369,771 11,692,159
GCM Grosvenor Inc Ordinary Shares - Class A 0.00770 1,066,168 11,610,570
Sage Therapeutics Inc 0.00765 1,368,378 11,535,427
EVgo Inc Class A 0.00764 2,540,891 11,510,236
Beyond Inc 0.00754 1,155,557 11,359,125
Clear Channel Outdoor Holdings Inc Ordinary Shares 0.00738 7,409,601 11,114,402
MeridianLink Inc 0.00734 484,785 11,067,642
Arcus Biosciences Inc 0.00718 631,972 10,819,361
Thoughtworks Holding Inc 0.00714 2,473,912 10,761,517
Day One Biopharmaceuticals Inc 0.00710 772,778 10,695,248
Pactiv Evergreen Inc Ordinary Shares 0.00709 905,168 10,680,982
Nu Skin Enterprises Inc Class A 0.00707 1,192,481 10,648,855
OPKO Health Inc 0.00687 6,164,935 10,357,091
Altice USA Inc Class A 0.00680 5,568,555 10,246,141
Ibotta Inc Class A common stock 0.00676 178,162 10,189,085
Nextdoor Holdings Inc Class A 0.00674 4,060,916 10,152,290
Paymentus Holdings Inc Class A 0.00668 442,636 10,061,116
BigCommerce Holdings Inc Ordinary Shares Series 1 0.00645 1,659,570 9,725,080
The RMR Group Inc Class A 0.00638 377,195 9,614,701
Forward Air Corp 0.00635 301,259 9,570,998
Compass Minerals International Inc 0.00612 1,044,359 9,221,690
AnaptysBio Inc 0.00610 241,505 9,198,925
Hagerty Inc Ordinary Shares - Class A 0.00600 757,439 9,043,822
Summit Hotel Properties Inc 0.00585 1,298,534 8,817,046
World Acceptance Corp 0.00578 73,857 8,704,047
Central Garden & Pet Co 0.00551 210,313 8,301,054
The Duckhorn Portfolio Inc 0.00546 1,299,464 8,225,607
Hertz Global Holdings Inc Ordinary Shares (New) 0.00545 2,700,464 8,209,411
Luminar Technologies Inc Ordinary Shares - Class A 0.00536 7,923,216 8,081,680
Smith & Wesson Brands Inc 0.00533 545,286 8,037,516
Eagle Bancorp Inc 0.00524 363,020 7,902,945
Adaptive Biotechnologies Corp 0.00524 1,678,671 7,889,754
Centuri Holdings Inc 0.00518 456,440 7,805,124
HighPeak Energy Inc Ordinary Shares 0.00517 484,566 7,791,821
Bridge Investment Group Holdings Inc Ordinary Shares - Class A 0.00515 946,075 7,767,276
AMC Networks Inc Class A 0.00511 781,104 7,693,874
Excelerate Energy Inc Class A 0.00499 412,419 7,518,398
Corsair Gaming Inc Ordinary Shares 0.00486 1,049,990 7,318,430
TPG RE Finance Trust Inc 0.00473 786,976 7,130,003
Universal Health Realty Income Trust 0.00469 157,489 7,071,256
Planet Labs PBC 0.00457 2,559,305 6,884,530
CEVA Inc 0.00451 283,590 6,789,145
Cricut Inc Ordinary Shares - Class A 0.00448 1,168,244 6,752,450
Kronos Worldwide Inc 0.00446 581,251 6,719,262
Ginkgo Bioworks Holdings Inc 0.00431 971,354 6,498,358
Prime Medicine Inc 0.00431 1,516,701 6,491,480
Bowlero Corp 0.00418 570,709 6,306,334
Rush Enterprises Inc Class B 0.00386 123,539 5,811,275
Anywhere Real Estate Inc 0.00385 1,186,442 5,801,701
Enfusion Inc Class A 0.00383 696,647 5,775,204
Gogo Inc 0.00382 722,699 5,759,911
Verve Therapeutics Inc 0.00378 850,109 5,695,730
BRC Inc 0.00375 1,275,375 5,649,911
Petco Health and Wellness Co Inc Ordinary Shares - Class A 0.00372 1,757,400 5,606,106
Definitive Healthcare Corp Class A 0.00369 1,184,397 5,554,822
TaskUs Inc Class A 0.00362 410,109 5,454,450
NET Power Inc Ordinary Shares - Class A 0.00361 641,898 5,436,876
Savers Value Village Inc 0.00360 613,158 5,426,448
National Presto Industries Inc 0.00350 67,419 5,278,234
Olaplex Holdings Inc 0.00344 2,480,352 5,183,936
Frontier Group Holdings Inc 0.00341 1,414,013 5,132,867
Angi Inc Class A 0.00325 1,812,974 4,895,030
Radius Recycling Inc Ordinary Shares - Class A 0.00318 316,450 4,791,053
Pacific Biosciences of California Inc 0.00313 3,446,977 4,722,358
Zentalis Pharmaceuticals Inc Ordinary Shares 0.00310 1,344,986 4,667,101
United Fire Group Inc 0.00305 224,264 4,590,684
Paramount Global Class A 0.00299 203,486 4,511,285
Acelyrin Inc 0.00298 940,100 4,493,678
Methode Electronics Inc 0.00294 425,600 4,434,752
loanDepot Inc Class A 0.00284 1,635,637 4,285,369
Editas Medicine Inc 0.00258 1,040,955 3,893,172
SmartRent Inc Ordinary Shares - Class A 0.00245 2,171,442 3,691,451
Treace Medical Concepts Inc 0.00241 588,498 3,631,033
Nikola Corp 0.00239 542,472 3,596,589
Spirit Airlines Inc 0.00237 1,385,937 3,575,717
Designer Brands Inc Class A 0.00237 538,267 3,574,093
3D Systems Corp 0.00228 1,606,649 3,438,229
InnovAge Holding Corp 0.00220 520,586 3,310,927
Lyell Immunopharma Inc Ordinary Shares 0.00215 2,235,072 3,240,854
Eventbrite Inc Class A 0.00207 979,722 3,115,516
ProFrac Holding Corp Ordinary Shares Class A 0.00184 404,508 2,770,880
Greif Inc Class B 0.00177 39,507 2,662,772
Chegg Inc 0.00176 1,229,291 2,655,269
FuelCell Energy Inc 0.00154 5,718,965 2,315,037
OPAL Fuels Inc Ordinary Shares - Class A 0.00117 492,784 1,769,095
SES AI Corp 0.00113 1,585,228 1,696,194
Cerence Inc Ordinary Shares 0.00110 502,458 1,658,111
Virgin Galactic Holdings Inc Shs A 0.00104 234,247 1,567,112
Tempus AI Inc Class A common stock 0.00104 26,471 1,571,848
Amylyx Pharmaceuticals Inc 0.00095 646,025 1,434,176
Seaport Entertainment Group Inc 0.00087 42,379 1,304,426
TTEC Holdings Inc 0.00082 240,763 1,230,299
Associated Capital Group Inc Class A 0.00068 30,970 1,032,230
MultiPlan Corp Ordinary Shares - Class A 0.00064 4,085,320 960,050
SecureWorks Corp Class A 0.00058 104,559 872,022
Ardent Health Partners Inc 0.00041 31,369 622,047
Spirit Mta Reit Rts 0.00003 529,410 47,647
Omniab Inc - 12.5 0.00000 156,690 2
Omniab Inc - 15 0.00000 156,690 2
Slcmt1142 1.09076 16,438,955 1,643,731,073
Mktliq 12/31/2049 0.12160 1,832,591 183,240,805
Us Dollar 0.00904 13,623,763 13,623,763
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