CITADEL ADVISORS LLC

CIK 1423053 · 65 filing(s) on record

Reported value $174.1B0.0 % vs prior
Positions 6351-3 vs prior
Top-10 concentration 16 % of latest filing
New / Exit 0 / 3 vs prior quarter
Last filed Sep 2, 2026 period Q2 2026

Reported value by quarter

Top holdings

Largest positions

#TickerWeightValue
1 IVV 7.6 % $13.2B
2 AMZN 1.5 % $2.6B
3 NVDA 1.4 % $2.4B
4 AAPL 1.2 % $2.1B
5 MSFT 0.8 % $1.4B
6 EA* 0.7 % $1.2B
7 WBD 0.7 % $1.2B
8 LLY 0.7 % $1.1B

Holdings — Q2 2026

Sorted by size. Change vs prior filing (Q2 2026) .

Change Ticker Issuer Weight Prev Δ Value Shares
HELD IVV ISHARES TR 7.6 % 7.6 % +0.0 pp $13.2B 17,676,489
HELD AMZN AMAZON COM INC 1.5 % 1.5 % +0.0 pp $2.6B 10,882,003
HELD NVDA NVIDIA CORPORATION 1.4 % 1.4 % +0.0 pp $2.4B 11,815,467
HELD AAPL APPLE INC 1.2 % 1.2 % +0.0 pp $2.1B 7,296,076
HELD MSFT MICROSOFT CORP 0.8 % 0.8 % +0.0 pp $1.4B 3,770,405
HELD EA* ELECTRONIC ARTS INC 0.7 % 0.7 % +0.0 pp $1.2B 5,906,884
HELD WBD WARNER BROS DISCOVERY INC 0.7 % 0.7 % +0.0 pp $1.2B 44,587,810
HELD LLY ELI LILLY & CO 0.7 % 0.7 % +0.0 pp $1.1B 945,456
HELD AVGO BROADCOM INC 0.6 % 0.6 % +0.0 pp $1.1B 2,901,715
HELD GOOGL ALPHABET INC 0.6 % 0.6 % +0.0 pp $1.1B 2,990,581
HELD BLK BLACKROCK INC 0.6 % 0.6 % +0.0 pp $1.1B 1,097,186
HELD AMD ADVANCED MICRO DEVICES INC 0.5 % 0.5 % +0.0 pp $929.1M 1,599,430
HELD GOOG ALPHABET INC 0.5 % 0.5 % +0.0 pp $899.4M 2,545,533
HELD SPCX SPACE EXPLORATION TECHN CORP 0.5 % 0.5 % +0.0 pp $876.5M 5,129,884
HELD ABBV ABBVIE INC 0.5 % 0.5 % +0.0 pp $797.6M 3,169,783
HELD AMAT APPLIED MATLS INC 0.4 % 0.4 % +0.0 pp $781.5M 1,080,951
HELD ABT ABBOTT LABORATORIES 0.4 % 0.4 % +0.0 pp $780.1M 8,597,227
HELD KLAC KLA CORP 0.4 % 0.4 % +0.0 pp $766.7M 2,541,076
HELD HWM HOWMET AEROSPACE INC 0.4 % 0.4 % +0.0 pp $758.2M 2,819,959
HELD MA MASTERCARD INCORPORATED 0.4 % 0.4 % +0.0 pp $753.8M 1,467,770
HELD ? SEAGATE TECHNOLOGY HLDNGS PL 0.4 % 0.4 % +0.0 pp $729.1M 755,495
HELD JPM JPMORGAN CHASE & CO 0.4 % 0.4 % +0.0 pp $724.9M 2,214,465
HELD ORCL ORACLE CORP 0.4 % 0.4 % +0.0 pp $697.0M 4,756,029
HELD MU MICRON TECHNOLOGY INC 0.4 % 0.4 % +0.0 pp $693.2M 600,523
HELD ORLY OREILLY AUTOMOTIVE INC 0.4 % 0.4 % +0.0 pp $646.4M 7,019,578
HELD KO COCA COLA CO 0.4 % 0.4 % +0.0 pp $638.3M 7,853,486
HELD NFLX NETFLIX INC. 0.4 % 0.4 % +0.0 pp $631.3M 8,842,099
HELD META META PLATFORMS INC 0.4 % 0.4 % +0.0 pp $631.1M 1,120,322
HELD WMT WALMART INC 0.4 % 0.4 % +0.0 pp $624.0M 5,509,526
HELD LRCX LAM RESEARCH CORP 0.4 % 0.4 % +0.0 pp $615.8M 1,420,975
HELD TXN TEXAS INSTRS INC 0.4 % 0.4 % +0.0 pp $612.7M 2,055,598
HELD UAL UNITED AIRLS HLDGS INC 0.3 % 0.3 % +0.0 pp $589.0M 4,331,239
HELD INTC INTEL CORP 0.3 % 0.3 % +0.0 pp $589.0M 4,218,311
HELD CVX CHEVRON CORPORATION 0.3 % 0.3 % +0.0 pp $579.5M 3,496,126
HELD EXMOC EXXON MOBIL CORP 0.3 % 0.3 % +0.0 pp $558.3M 4,083,577
HELD WFC WELLS FARGO & CO 0.3 % 0.3 % +0.0 pp $556.9M 6,738,530
HELD KDP KEURIG DR PEPPER INC 0.3 % 0.3 % +0.0 pp $545.4M 16,662,968
HELD MDLZ MONDELEZ INTL INC 0.3 % 0.3 % +0.0 pp $544.0M 9,404,510
HELD BRK-B BERKSHIRE HATHAWAY INC DEL 0.3 % 0.3 % +0.0 pp $543.3M 1,085,742
HELD HD HOME DEPOT INC 0.3 % 0.3 % +0.0 pp $535.4M 1,518,105
HELD PPL PPL CORP 0.3 % 0.3 % +0.0 pp $521.8M 14,356,145
HELD TSLA TESLA INC 0.3 % 0.3 % +0.0 pp $515.8M 1,226,238
HELD PANW PALO ALTO NETWORKS INC 0.3 % 0.3 % +0.0 pp $511.2M 1,499,125
HELD SNOW SNOWFLAKE INC 0.3 % 0.3 % +0.0 pp $510.8M 2,007,109
HELD NSC NORFOLK SOUTHN CORP 0.3 % 0.3 % +0.0 pp $498.8M 1,585,467
HELD CVS CVS HEALTH CORP 0.3 % 0.3 % +0.0 pp $497.9M 4,812,530
HELD WCN WASTE CONNECTIONS INC 0.3 % 0.3 % +0.0 pp $481.9M 2,890,779
HELD COST COSTCO WHOLESALE CORPORATION 0.3 % 0.3 % +0.0 pp $476.8M 509,661
HELD ANET ARISTA NETWORKS INC 0.3 % 0.3 % +0.0 pp $458.4M 2,698,477
HELD PWR QUANTA SVCS INC 0.3 % 0.3 % +0.0 pp $455.1M 632,022
HELD SPGI S&P GLOBAL INC 0.3 % 0.3 % +0.0 pp $454.5M 1,116,010
HELD TTWO TAKE-TWO INTERACTIVE SOFTWAR 0.3 % 0.3 % +0.0 pp $451.9M 1,807,649
HELD XYZ BLOCK INC 0.3 % 0.3 % +0.0 pp $448.5M 5,901,133
HELD UNH UNITEDHEALTH GROUP INC 0.3 % 0.3 % +0.0 pp $442.3M 1,064,151
HELD GILD GILEAD SCIENCES INC 0.3 % 0.3 % +0.0 pp $439.7M 3,480,444
HELD NOW SERVICENOW INC 0.2 % 0.2 % +0.0 pp $426.8M 4,298,939
HELD PG PROCTER & GAMBLE CO 0.2 % 0.2 % +0.0 pp $426.1M 2,905,793
HELD ? MEDTRONIC PLC 0.2 % 0.2 % +0.0 pp $420.4M 5,373,877
HELD CL COLGATE PALMOLIVE CO 0.2 % 0.2 % +0.0 pp $420.3M 4,583,987
HELD WDC WESTERN DIGITAL CORP 0.2 % 0.2 % +0.0 pp $420.2M 657,878
HELD COF CAPITAL ONE FINL CORP 0.2 % 0.2 % +0.0 pp $413.1M 2,059,363
HELD L LOEWS CORP 0.2 % 0.2 % +0.0 pp $409.4M 3,616,435
HELD ONC BEONE MEDICINES LTD 0.2 % 0.2 % +0.0 pp $406.2M 1,425,517
HELD SYY SYSCO CORP 0.2 % 0.2 % +0.0 pp $402.5M 4,815,455
HELD ABNB AIRBNB INC 0.2 % 0.2 % +0.0 pp $400.6M 2,799,703
HELD STZ CONSTELLATION BRANDS INC 0.2 % 0.2 % +0.0 pp $391.7M 2,816,205
HELD COR CENCORA INC 0.2 % 0.2 % +0.0 pp $386.7M 1,366,647
HELD JNJ JOHNSON & JOHNSON 0.2 % 0.2 % +0.0 pp $381.2M 1,500,832
HELD CAT CATERPILLAR INC 0.2 % 0.2 % +0.0 pp $379.0M 355,861
HELD ? ASML HLDG NV 0.2 % 0.2 % +0.0 pp $374.7M 188,358
HELD ICE INTERCONTINENTAL EXCHANGE IN 0.2 % 0.2 % +0.0 pp $372.7M 3,027,404
HELD DDOG DATADOG INC 0.2 % 0.2 % +0.0 pp $370.5M 1,422,883
HELD DVN DEVON ENERGY CORP NEW 0.2 % 0.2 % +0.0 pp $366.5M 8,870,747
HELD SSNC SS&C TECH HLDGS 0.2 % 0.2 % +0.0 pp $366.4M 5,905,599
HELD FTNT FORTINET INC 0.2 % 0.2 % +0.0 pp $365.5M 2,379,364
HELD RTX RTX CORPORATION 0.2 % 0.2 % +0.0 pp $361.9M 1,907,254
HELD EW EDWARDS LIFESCIENCES CORP 0.2 % 0.2 % +0.0 pp $361.7M 3,997,925
HELD PEG PUBLIC SVC ENTERPRISE GROUP 0.2 % 0.2 % +0.0 pp $359.4M 4,428,016
HELD SHW SHERWIN WILLIAMS CO 0.2 % 0.2 % +0.0 pp $354.4M 1,029,152
HELD FDX FEDEX CORP 0.2 % 0.2 % +0.0 pp $350.7M 1,119,824
HELD ELV ELEVANCE HEALTH INC FORMERLY 0.2 % 0.2 % +0.0 pp $350.5M 906,386
HELD MCK MCKESSON CORP 0.2 % 0.2 % +0.0 pp $347.9M 460,409
HELD ECHO ECHOSTAR CORP 0.2 % 0.2 % +0.0 pp $345.4M 3,403,098
HELD CBRE CBRE GROUP INC 0.2 % 0.2 % +0.0 pp $343.8M 2,552,772
HELD LMT LOCKHEED MARTIN CORP 0.2 % 0.2 % +0.0 pp $342.1M 671,430
HELD CSCO CISCO SYS INC 0.2 % 0.2 % +0.0 pp $340.9M 2,902,170
HELD HPE HEWLETT PACKARD ENTERPRISE C 0.2 % 0.2 % +0.0 pp $338.6M 7,506,355
HELD YUM YUM BRANDS INC 0.2 % 0.2 % +0.0 pp $334.7M 2,093,797
HELD CME CME GROUP INC 0.2 % 0.2 % +0.0 pp $332.4M 1,505,427
HELD THC TENET HEALTHCARE CORP 0.2 % 0.2 % +0.0 pp $330.3M 1,765,596
HELD SPY STATE STR SPDR S&P 500 ETF T 0.2 % 0.2 % +0.0 pp $326.3M 436,890
HELD TRU TRANSUNION 0.2 % 0.2 % +0.0 pp $314.9M 4,364,921
HELD SCHW SCHWAB CHARLES CORP 0.2 % 0.2 % +0.0 pp $314.3M 3,406,215
HELD MKSI MKS INC. 0.2 % 0.2 % +0.0 pp $310.3M 697,670
HELD ? TRANE TECHNOLOGIES PLC 0.2 % 0.2 % +0.0 pp $306.5M 623,960
HELD DLTR DOLLAR TREE INC 0.2 % 0.2 % +0.0 pp $303.9M 2,512,682
HELD SJM SMUCKER J M CO 0.2 % 0.2 % +0.0 pp $302.7M 2,690,881
HELD SHEL SHELL PLC 0.2 % 0.2 % +0.0 pp $301.6M 3,886,862
HELD ZBH ZIMMER BIOMET HOLDINGS INC 0.2 % 0.2 % +0.0 pp $299.4M 3,477,472
HELD ATO ATMOS ENERGY CORP 0.2 % 0.2 % +0.0 pp $299.1M 1,736,405
HELD DINO HF SINCLAIR CORP 0.2 % 0.2 % +0.0 pp $296.9M 4,263,228
HELD ECL ECOLAB INC 0.2 % 0.2 % +0.0 pp $294.4M 1,056,715
HELD NOC NORTHROP GRUMMAN CORP 0.2 % 0.2 % +0.0 pp $289.1M 567,594
HELD STM STMICROELECTRONICS N V 0.2 % 0.2 % +0.0 pp $288.5M 3,852,113
HELD TMO THERMO FISHER SCIENTIFIC INC 0.2 % 0.2 % +0.0 pp $288.3M 574,992
HELD OKTA OKTA INC 0.2 % 0.2 % +0.0 pp $287.4M 2,106,402
HELD MMM 3M CO 0.2 % 0.2 % +0.0 pp $281.1M 1,736,119
HELD BBIO BRIDGEBIO PHARMA INC 0.2 % 0.2 % +0.0 pp $280.0M 3,760,028
HELD PH PARKER-HANNIFIN CORP 0.2 % 0.2 % +0.0 pp $279.1M 285,363
HELD COO COOPER COS INC 0.2 % 0.2 % +0.0 pp $277.7M 3,872,397
HELD DOCN DIGITALOCEAN HLDGS INC 0.2 % 0.2 % +0.0 pp $277.2M 1,765,425
HELD CBRS CEREBRAS SYSTEMS INC 0.2 % 0.2 % +0.0 pp $275.8M 1,248,170
HELD ODFL OLD DOMINION FREIGHT LINE IN 0.2 % 0.2 % +0.0 pp $275.2M 1,270,635
HELD ? NVENT ELEC PLC 0.2 % 0.2 % +0.0 pp $273.6M 1,613,365
HELD INSM INSMED INC 0.2 % 0.2 % +0.0 pp $272.6M 2,556,973
HELD GLPI GAMING & LEISURE P 0.2 % 0.2 % +0.0 pp $272.4M 6,117,830
HELD MDGL MADRIGAL PHARMACEUTICALS INC 0.2 % 0.2 % +0.0 pp $272.4M 507,233
HELD CRL CHARLES RIV LABS INTL INC 0.2 % 0.2 % +0.0 pp $270.7M 1,193,601
HELD AME AMETEK INC 0.2 % 0.2 % +0.0 pp $270.5M 1,117,983
HELD NOK NOKIA CORP 0.2 % 0.2 % +0.0 pp $269.6M 20,302,103
HELD V VISA INC 0.2 % 0.2 % +0.0 pp $269.1M 784,375
HELD QCOM QUALCOMM INC 0.2 % 0.2 % +0.0 pp $265.8M 1,438,295
HELD PR PERMIAN RESOURCES CORP 0.2 % 0.2 % +0.0 pp $265.7M 14,433,052
HELD CSX CSX CORP 0.2 % 0.2 % +0.0 pp $262.1M 5,514,487
HELD ? SPOTIFY TECHNOLOGY S A 0.1 % 0.1 % +0.0 pp $260.6M 567,691
HELD VRSK VERISK ANALYTICS INC 0.1 % 0.1 % +0.0 pp $260.2M 1,449,296
HELD CMG CHIPOTLE MEXICAN GRILL INC 0.1 % 0.1 % +0.0 pp $259.3M 7,625,541
HELD EHC ENCOMPASS HEALTH CORP 0.1 % 0.1 % +0.0 pp $259.1M 2,563,104
HELD BPOP POPULAR INC 0.1 % 0.1 % +0.0 pp $258.7M 1,575,921
HELD PTC PTC INC 0.1 % 0.1 % +0.0 pp $258.4M 2,274,229
HELD MSCI MSCI INC 0.1 % 0.1 % +0.0 pp $257.9M 460,566
HELD TJX TJX COS INC NEW 0.1 % 0.1 % +0.0 pp $256.6M 1,693,580
HELD DUK DUKE ENERGY CORP NEW 0.1 % 0.1 % +0.0 pp $255.0M 2,014,703
HELD AMGN AMGEN INC 0.1 % 0.1 % +0.0 pp $254.9M 703,984
HELD VRTX VERTEX PHARMACEUTICALS INC 0.1 % 0.1 % +0.0 pp $253.5M 510,430
HELD ETR ENTERGY CORP NEW 0.1 % 0.1 % +0.0 pp $253.3M 2,205,517
HELD BBY BEST BUY INC 0.1 % 0.1 % +0.0 pp $253.1M 3,335,494
HELD ROKU ROKU INC 0.1 % 0.1 % +0.0 pp $251.7M 1,822,022
HELD ? ON HLDG AG 0.1 % 0.1 % +0.0 pp $251.5M 7,100,157
HELD MAIR MADISON AIR SOLUTIONS CORP 0.1 % 0.1 % +0.0 pp $251.5M 6,448,221
HELD TSM TAIWAN SEMICONDUCTOR MANUFAC 0.1 % 0.1 % +0.0 pp $251.2M 525,939
HELD MRK MERCK & CO INC 0.1 % 0.1 % +0.0 pp $248.5M 1,933,667
HELD USB US BANCORP 0.1 % 0.1 % +0.0 pp $245.1M 4,057,605
HELD HSIC SCHEIN HENRY INC 0.1 % 0.1 % +0.0 pp $244.0M 2,921,103
HELD ? JAZZ PHARMACEUTICALS PLC 0.1 % 0.1 % +0.0 pp $242.6M 1,006,676
HELD GS GOLDMAN SACHS GROUP INC 0.1 % 0.1 % +0.0 pp $241.4M 238,684
HELD ELAN ELANCO ANIMAL HEALTH INC 0.1 % 0.1 % +0.0 pp $237.9M 9,668,611
HELD PINS PINTEREST INC 0.1 % 0.1 % +0.0 pp $236.8M 11,260,049
HELD C CITIGROUP INC 0.1 % 0.1 % +0.0 pp $236.0M 1,686,502
HELD RSG REPUBLIC SVCS INC 0.1 % 0.1 % +0.0 pp $235.9M 1,107,012
HELD SHOP SHOPIFY INC 0.1 % 0.1 % +0.0 pp $235.8M 2,065,064
HELD KKR KKR & CO INC 0.1 % 0.1 % +0.0 pp $235.3M 2,563,798
HELD GWW WW GRAINGER INC 0.1 % 0.1 % +0.0 pp $232.0M 170,572
HELD CCI CROWN CASTLE INC 0.1 % 0.1 % +0.0 pp $231.0M 3,050,024
HELD MANE VERADERMICS INC 0.1 % 0.1 % +0.0 pp $230.9M 1,877,775
HELD PSX PHILLIPS 66 0.1 % 0.1 % +0.0 pp $230.5M 1,363,770
HELD EXR EXTRA SPACE STORAGE INC 0.1 % 0.1 % +0.0 pp $230.1M 1,583,903
HELD ZTS ZOETIS INC 0.1 % 0.1 % +0.0 pp $229.1M 3,188,263
HELD KVUE KENVUE INC 0.1 % 0.1 % +0.0 pp $228.6M 11,960,749
HELD XPO XPO INC 0.1 % 0.1 % +0.0 pp $228.5M 1,112,882
HELD SBAC SBA COMMUNICATIONS CORP 0.1 % 0.1 % +0.0 pp $228.1M 1,292,825
HELD EWY ISHARES INC 0.1 % 0.1 % +0.0 pp $226.9M 1,123,901
HELD ? FLEX LTD 0.1 % 0.1 % +0.0 pp $224.8M 1,386,824
HELD AMT AMERICAN TOWER CORP 0.1 % 0.1 % +0.0 pp $224.3M 1,371,292
HELD NEM NEWMONT CORP 0.1 % 0.1 % +0.0 pp $222.5M 2,382,733
HELD HIG HARTFORD INSURANCE GROUP INC 0.1 % 0.1 % +0.0 pp $222.1M 1,675,919
HELD CARR CARRIER GLOBAL CORPORATION 0.1 % 0.1 % +0.0 pp $222.0M 3,025,970
HELD PEP PEPSICO INC 0.1 % 0.1 % +0.0 pp $220.9M 1,631,488
HELD DAR DARLING INGREDIENTS INC 0.1 % 0.1 % +0.0 pp $220.5M 4,036,317
HELD HAL HALLIBURTON CO 0.1 % 0.1 % +0.0 pp $219.6M 6,468,842
HELD ED CONSOLIDATED EDISON INC 0.1 % 0.1 % +0.0 pp $218.9M 1,978,908
HELD GH GUARDANT HEALTH INC 0.1 % 0.1 % +0.0 pp $217.5M 1,449,534
HELD PLTR PALANTIR TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $216.5M 1,855,338
HELD T AT&T INC 0.1 % 0.1 % +0.0 pp $215.2M 10,394,757
HELD PCG PG&E CORP 0.1 % 0.1 % +0.0 pp $215.0M 12,782,192
HELD ? CREDO TECHNOLOGY GROUP HOLDI 0.1 % 0.1 % +0.0 pp $214.5M 788,807
HELD CRWD CROWDSTRIKE HLDGS INC 0.1 % 0.1 % +0.0 pp $213.8M 280,115
HELD IBM INTERNATIONAL BUSINESS MACHS 0.1 % 0.1 % +0.0 pp $212.9M 757,042
HELD BSX BOSTON SCIENTIFIC CORP 0.1 % 0.1 % +0.0 pp $212.9M 4,987,748
HELD INTU INTUIT 0.1 % 0.1 % +0.0 pp $212.4M 813,757
HELD QSR RESTAURANT BRANDS INTL INC 0.1 % 0.1 % +0.0 pp $212.3M 2,927,875
HELD MNST MONSTER BEVERAGE CORP NEW 0.1 % 0.1 % +0.0 pp $211.8M 2,203,788
HELD ? GLOBALFOUNDRIES INC 0.1 % 0.1 % +0.0 pp $210.0M 2,548,013
HELD FHN FIRST HORIZON CORPORATION 0.1 % 0.1 % +0.0 pp $207.2M 8,080,977
HELD CDNS CADENCE DESIGN SYSTEM INC 0.1 % 0.1 % +0.0 pp $206.6M 550,559
HELD GE GE AEROSPACE 0.1 % 0.1 % +0.0 pp $204.2M 546,373
HELD LII LENNOX INTL INC 0.1 % 0.1 % +0.0 pp $203.5M 355,166
HELD SNPS SYNOPSYS INC 0.1 % 0.1 % +0.0 pp $202.3M 453,593
HELD AES AES CORP 0.1 % 0.1 % +0.0 pp $200.9M 13,701,040
HELD AEE AMEREN CORP 0.1 % 0.1 % +0.0 pp $200.8M 1,776,083
HELD BAC BANK OF AMER CORP 0.1 % 0.1 % +0.0 pp $199.7M 3,504,146
HELD ? ROIVANT SCIENCES LTD 0.1 % 0.1 % +0.0 pp $197.3M 5,576,261
HELD ARGX ARGENX SE 0.1 % 0.1 % +0.0 pp $197.1M 212,416
HELD BE BLOOM ENERGY CORP 0.1 % 0.1 % +0.0 pp $196.9M 650,353
HELD WMB WILLIAMS COS INC 0.1 % 0.1 % +0.0 pp $194.9M 2,622,078
HELD KEYS KEYSIGHT TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $194.6M 555,953
HELD MCD MCDONALDS CORP 0.1 % 0.1 % +0.0 pp $194.6M 719,989
HELD SU SUNCOR ENERGY INC NEW 0.1 % 0.1 % +0.0 pp $194.6M 3,624,771
HELD GKOS GLAUKOS CORP 0.1 % 0.1 % +0.0 pp $194.3M 1,390,017
HELD ABVX ABIVAX SA 0.1 % 0.1 % +0.0 pp $191.7M 1,438,352
HELD BABA ALIBABA GROUP HLDG LTD 0.1 % 0.1 % +0.0 pp $191.2M 1,991,869
HELD TOST TOAST INC 0.1 % 0.1 % +0.0 pp $191.0M 6,866,389
HELD CFG CITIZENS FINL GROUP INC 0.1 % 0.1 % +0.0 pp $190.0M 2,712,001
HELD BTI BRITISH AMERN TOB PLC 0.1 % 0.1 % +0.0 pp $189.6M 3,069,691
HELD LSCC LATTICE SEMICONDUCTOR CORP 0.1 % 0.1 % +0.0 pp $188.9M 1,234,784
HELD QNT QUANTINUUM INC 0.1 % 0.1 % +0.0 pp $188.0M 2,299,997
HELD DELL DELL TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $187.7M 435,121
HELD ECHO 3.875 11/30/30 ECHOSTAR CORP 0.1 % 0.1 % +0.0 pp $187.6M 59,975,000
HELD CHTR CHARTER COMMUNICATIONS INC 0.1 % 0.1 % +0.0 pp $187.3M 1,317,247
HELD PYPL PAYPAL HLDGS INC 0.1 % 0.1 % +0.0 pp $187.0M 4,330,457
HELD ISRG INTUITIVE SURGICAL INC 0.1 % 0.1 % +0.0 pp $186.9M 470,076
HELD BA BOEING CO 0.1 % 0.1 % +0.0 pp $185.6M 857,294
HELD STLD STEEL DYNAMICS INC 0.1 % 0.1 % +0.0 pp $185.3M 807,597
HELD ? ASTRAZENECA PLC 0.1 % 0.1 % +0.0 pp $183.9M 970,043
HELD SFM SPROUTS FMRS MKT INC 0.1 % 0.1 % +0.0 pp $183.8M 2,172,858
HELD ON ON SEMICONDUCTOR CORP 0.1 % 0.1 % +0.0 pp $183.0M 1,936,182
HELD FCX FREEPORT MCMORAN INC 0.1 % 0.1 % +0.0 pp $183.0M 2,910,149
HELD EVRG EVERGY INC 0.1 % 0.1 % +0.0 pp $183.0M 2,117,472
HELD PNC PNC FINL SVCS GROUP INC 0.1 % 0.1 % +0.0 pp $182.7M 742,111
HELD ARMK ARAMARK 0.1 % 0.1 % +0.0 pp $182.2M 3,202,179
HELD LPLA LPL FINL HLDGS INC 0.1 % 0.1 % +0.0 pp $181.1M 642,765
HELD DHR DANAHER CORP DEL 0.1 % 0.1 % +0.0 pp $179.8M 943,694
HELD FWONK LIBERTY MEDIA CORP DEL 0.1 % 0.1 % +0.0 pp $178.7M 1,877,790
HELD HLT HILTON WORLDWIDE HLDGS INC 0.1 % 0.1 % +0.0 pp $178.6M 540,377
HELD HUM HUMANA INC 0.1 % 0.1 % +0.0 pp $178.4M 449,022
HELD ADBE ADOBE INC 0.1 % 0.1 % +0.0 pp $178.0M 868,358
HELD GOOGL 6.25 05/15/29 B ALPHABET INC 0.1 % 0.1 % +0.0 pp $177.9M 3,550,000
HELD WH WYNDHAM HOTELS & RESORTS INC 0.1 % 0.1 % +0.0 pp $177.2M 2,103,981
HELD NI NISOURCE INC 0.1 % 0.1 % +0.0 pp $176.7M 3,715,541
HELD SUI SUN CMNTYS INC 0.1 % 0.1 % +0.0 pp $175.8M 1,465,733
HELD WULF TERAWULF INC 0.1 % 0.1 % +0.0 pp $175.3M 7,095,725
HELD ? ACCENTURE PLC IRELAND 0.1 % 0.1 % +0.0 pp $173.8M 1,396,685
HELD RPM RPM INTL INC 0.1 % 0.1 % +0.0 pp $173.0M 1,556,711
HELD GEV GE VERNOVA INC 0.1 % 0.1 % +0.0 pp $170.9M 145,490
HELD EWBC EAST WEST BANCORP INC 0.1 % 0.1 % +0.0 pp $169.9M 1,316,230
HELD ? FLUTTER ENTMT PLC 0.1 % 0.1 % +0.0 pp $169.8M 1,661,488
HELD HOOD ROBINHOOD MKTS INC 0.1 % 0.1 % +0.0 pp $169.6M 1,691,076
HELD CLX CLOROX CO DEL 0.1 % 0.1 % +0.0 pp $168.5M 1,765,044
HELD WYNN WYNN RESORTS LTD 0.1 % 0.1 % +0.0 pp $168.0M 1,730,499
HELD HAS HASBRO INC 0.1 % 0.1 % +0.0 pp $165.9M 2,008,851
HELD DTM DT MIDSTREAM INC 0.1 % 0.1 % +0.0 pp $165.4M 1,127,342
HELD AWI ARMSTRONG WORLD INDS INC NEW 0.1 % 0.1 % +0.0 pp $165.3M 1,030,421
HELD UTHR UNITED THERAPEUTICS CORP DEL 0.1 % 0.1 % +0.0 pp $165.1M 304,692
HELD TGT TARGET CORP 0.1 % 0.1 % +0.0 pp $164.9M 1,262,470
HELD HLI HOULIHAN LOKEY INC 0.1 % 0.1 % +0.0 pp $164.7M 1,227,541
HELD KNX KNIGHT-SWIFT TRANSN HLDGS IN 0.1 % 0.1 % +0.0 pp $163.5M 2,099,359
HELD RVTY REVVITY INC 0.1 % 0.1 % +0.0 pp $162.1M 1,457,335
HELD ? CRH PLC 0.1 % 0.1 % +0.0 pp $161.3M 1,507,173
HELD GD GENERAL DYNAMICS CORP 0.1 % 0.1 % +0.0 pp $160.8M 453,829
HELD ? NEBIUS GROUP N.V. 0.1 % 0.1 % +0.0 pp $160.6M 581,703
HELD IEX IDEX CORP 0.1 % 0.1 % +0.0 pp $160.3M 706,368
HELD GPN GLOBAL PMTS INC 0.1 % 0.1 % +0.0 pp $159.6M 2,200,242
HELD HYG ISHARES TR 0.1 % 0.1 % +0.0 pp $158.9M 1,986,816
HELD BROS DUTCH BROS INC 0.1 % 0.1 % +0.0 pp $158.8M 2,210,958
HELD TPR TAPESTRY INC 0.1 % 0.1 % +0.0 pp $158.0M 1,079,051
HELD MO ALTRIA GROUP INC 0.1 % 0.1 % +0.0 pp $157.4M 2,187,157
HELD PGR PROGRESSIVE CORP 0.1 % 0.1 % +0.0 pp $157.1M 719,059
HELD PCTY PAYLOCITY HLDG CORP 0.1 % 0.1 % +0.0 pp $156.7M 1,498,936
HELD HONA HONEYWELL AEROSPACE INC 0.1 % 0.1 % +0.0 pp $155.8M 704,545
HELD FOXA FOX CORP 0.1 % 0.1 % +0.0 pp $155.7M 2,984,485
HELD CNP CENTERPOINT ENERGY INC 0.1 % 0.1 % +0.0 pp $155.3M 3,527,112
HELD CLS CELESTICA INC 0.1 % 0.1 % +0.0 pp $155.3M 425,699
HELD EQIX EQUINIX INC 0.1 % 0.1 % +0.0 pp $154.5M 148,225
HELD PCAR PACCAR INC 0.1 % 0.1 % +0.0 pp $154.1M 1,282,773
HELD CHDN CHURCHILL DOWNS INC 0.1 % 0.1 % +0.0 pp $153.7M 1,714,304
HELD SBUX STARBUCKS CORP 0.1 % 0.1 % +0.0 pp $153.6M 1,503,418
HELD CBOE CBOE GLOBAL MKTS INC 0.1 % 0.1 % +0.0 pp $153.3M 631,917
HELD SNDK SANDISK CORP 0.1 % 0.1 % +0.0 pp $153.3M 67,432
HELD LNTH LANTHEUS HLDGS INC 0.1 % 0.1 % +0.0 pp $152.7M 1,376,480
HELD HON HONEYWELL INTL INC 0.1 % 0.1 % +0.0 pp $152.1M 679,171
HELD BX BLACKSTONE INC 0.1 % 0.1 % +0.0 pp $152.0M 1,291,987
HELD GEHC GE HEALTHCARE TECHNOLOGIES I 0.1 % 0.1 % +0.0 pp $151.5M 2,367,032
HELD NLY ANNALY CAPITAL MANAGEMENT IN 0.1 % 0.1 % +0.0 pp $150.7M 6,741,186
HELD ? INNIO NV 0.1 % 0.1 % +0.0 pp $149.7M 3,784,191
HELD PFE PFIZER INC 0.1 % 0.1 % +0.0 pp $149.1M 6,191,186
HELD TSN TYSON FOODS INC 0.1 % 0.1 % +0.0 pp $148.8M 2,599,577
HELD JAZZ 3.125 09/15/30 JAZZ INVESTMENTS I LTD 0.1 % 0.1 % +0.0 pp $148.7M 87,125,000
HELD ADI ANALOG DEVICES INC 0.1 % 0.1 % +0.0 pp $148.2M 373,186
HELD EAT BRINKER INTL INC 0.1 % 0.1 % +0.0 pp $148.0M 880,721
HELD A AGILENT TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $146.3M 1,101,501
HELD ? CHECK POINT SOFTWARE TECH LT 0.1 % 0.1 % +0.0 pp $146.2M 1,112,401
HELD TEM TEMPUS AI INC 0.1 % 0.1 % +0.0 pp $145.5M 2,512,401
HELD UNP UNION PAC CORP 0.1 % 0.1 % +0.0 pp $144.8M 532,393
HELD TFX TELEFLEX INCORPORATED 0.1 % 0.1 % +0.0 pp $144.6M 1,140,950
HELD AEIS ADVANCED ENERGY INDS 0.1 % 0.1 % +0.0 pp $144.6M 387,850
HELD LNG CHENIERE ENERGY INC 0.1 % 0.1 % +0.0 pp $143.6M 600,754
HELD ZS ZSCALER INC 0.1 % 0.1 % +0.0 pp $142.4M 1,008,595
HELD TD TORONTO DOMINION BK ONT 0.1 % 0.1 % +0.0 pp $141.9M 1,168,490
HELD PEN PENUMBRA INC 0.1 % 0.1 % +0.0 pp $141.7M 448,763
HELD RYTM RHYTHM PHARMACEUTICALS INC 0.1 % 0.1 % +0.0 pp $140.3M 1,263,652
HELD ? NORWEGIAN CRUISE LINE HLDGS 0.1 % 0.1 % +0.0 pp $140.2M 6,642,302
HELD WCC WESCO INTL INC 0.1 % 0.1 % +0.0 pp $140.0M 405,381
HELD OTIS OTIS WORLDWIDE CORP 0.1 % 0.1 % +0.0 pp $139.8M 1,953,085
HELD ? CHUBB LIMITED 0.1 % 0.1 % +0.0 pp $139.6M 409,669
HELD TW TRADEWEB MKTS INC 0.1 % 0.1 % +0.0 pp $139.4M 1,398,377
HELD TTAN SERVICETITAN INC 0.1 % 0.1 % +0.0 pp $138.8M 1,962,797
HELD APH AMPHENOL CORP 0.1 % 0.1 % +0.0 pp $138.2M 783,629
HELD DIA STATE STR SPDR DOW JONES IND 0.1 % 0.1 % +0.0 pp $138.1M 264,408
HELD WM WASTE MGMT INC DEL 0.1 % 0.1 % +0.0 pp $137.9M 618,511
HELD LPX LOUISIANA PAC CORP 0.1 % 0.1 % +0.0 pp $137.8M 1,751,436
HELD FIG FIGMA INC 0.1 % 0.1 % +0.0 pp $137.1M 7,581,377
HELD IDA IDACORP INC 0.1 % 0.1 % +0.0 pp $136.2M 900,382
HELD APD AIR PRODUCTS AND CHEMICALS I 0.1 % 0.1 % +0.0 pp $135.8M 463,285
HELD INVH INVITATION HOMES INC 0.1 % 0.1 % +0.0 pp $134.9M 4,465,803
HELD AG FIRST MAJESTIC SILVER CORP 0.1 % 0.1 % +0.0 pp $134.9M 7,953,975
HELD IONS 1.75 06/15/28 IONIS PHARMACEUTICALS INC 0.1 % 0.1 % +0.0 pp $134.7M 86,467,000
HELD UMBF UMB FINL CORP 0.1 % 0.1 % +0.0 pp $134.7M 943,290
HELD SGI SOMNIGROUP INTERNATIONAL INC 0.1 % 0.1 % +0.0 pp $133.5M 1,702,232
HELD CROX CROCS INC 0.1 % 0.1 % +0.0 pp $132.6M 1,099,176
HELD LYV LIVE NATION ENTERTAINMENT IN 0.1 % 0.1 % +0.0 pp $130.5M 712,877
HELD TLT ISHARES TR 0.1 % 0.1 % +0.0 pp $130.1M 1,504,923
HELD IAU ISHARES GOLD TR 0.1 % 0.1 % +0.0 pp $129.9M 1,720,597
HELD ONTO ONTO INNOVATION INC 0.1 % 0.1 % +0.0 pp $129.5M 342,187
HELD AIG AMERICAN INTL GROUP INC 0.1 % 0.1 % +0.0 pp $128.9M 1,730,140
HELD CMCSA COMCAST CORP NEW 0.1 % 0.1 % +0.0 pp $128.8M 5,247,259
HELD UL UNILEVER PLC 0.1 % 0.1 % +0.0 pp $128.5M 2,138,036
HELD BXP BXP INC 0.1 % 0.1 % +0.0 pp $128.3M 1,934,641
HELD CPRT COPART INC 0.1 % 0.1 % +0.0 pp $128.0M 4,540,345
HELD ? LYONDELLBASELL INDUSTRIES NV 0.1 % 0.1 % +0.0 pp $128.0M 2,430,888
HELD ? LINDE PLC 0.1 % 0.1 % +0.0 pp $127.4M 245,593
HELD WELL WELLTOWER INC 0.1 % 0.1 % +0.0 pp $127.4M 561,228
HELD VTR VENTAS INC 0.1 % 0.1 % +0.0 pp $127.3M 1,434,026
HELD SMTC SEMTECH CORP 0.1 % 0.1 % +0.0 pp $126.8M 783,346
HELD TDG TRANSDIGM GROUP INC 0.1 % 0.1 % +0.0 pp $126.7M 95,123
HELD WST WEST PHARMACEUTICAL SVSC INC 0.1 % 0.1 % +0.0 pp $126.6M 352,769
HELD TPG TPG INC 0.1 % 0.1 % +0.0 pp $126.4M 3,117,610
HELD PM PHILIP MORRIS INTL INC 0.1 % 0.1 % +0.0 pp $125.7M 695,011
HELD EWT ISHARES INC 0.1 % 0.1 % +0.0 pp $125.0M 1,150,522
HELD EPAM EPAM SYS INC 0.1 % 0.1 % +0.0 pp $124.5M 1,568,576
HELD BR BROADRIDGE FINL SOLUTIONS IN 0.1 % 0.1 % +0.0 pp $124.1M 906,060
HELD APLE APPLE HOSPITALITY REIT INC 0.1 % 0.1 % +0.0 pp $123.8M 7,364,031
HELD VVV VALVOLINE INC 0.1 % 0.1 % +0.0 pp $123.4M 3,120,627
HELD BUD ANHEUSER BUSCH INBEV SA NV 0.1 % 0.1 % +0.0 pp $123.2M 1,495,353
HELD RGA REINSURANCE GROUP AMER INC 0.1 % 0.1 % +0.0 pp $122.7M 576,907
HELD LULU LULULEMON ATHLETICA INC 0.1 % 0.1 % +0.0 pp $122.7M 1,074,188
HELD DOC HEALTHPEAK PROPERTIES INC 0.1 % 0.1 % +0.0 pp $122.6M 5,730,593
HELD CNQ CANADIAN NAT RES LTD MED TER 0.1 % 0.1 % +0.0 pp $122.4M 3,099,237
HELD LOW LOWES COS INC 0.1 % 0.1 % +0.0 pp $121.9M 552,715
HELD PODD INSULET CORP 0.1 % 0.1 % +0.0 pp $121.3M 796,746
HELD OSCR OSCAR HEALTH INC 0.1 % 0.1 % +0.0 pp $120.6M 4,229,552
HELD NET CLOUDFLARE INC 0.1 % 0.1 % +0.0 pp $120.4M 491,046
HELD CBSH COMMERCE BANCSHARES INC 0.1 % 0.1 % +0.0 pp $119.9M 2,075,423
HELD UGI 5 06/01/28 UGI CORP NEW 0.1 % 0.1 % +0.0 pp $119.8M 89,500,000
HELD VLTO VERALTO CORP 0.1 % 0.1 % +0.0 pp $119.7M 1,350,356
HELD OMC OMNICOM GROUP INC 0.1 % 0.1 % +0.0 pp $119.7M 1,644,047
HELD FMDE FIDELITY COVINGTON TRUST 0.1 % 0.1 % +0.0 pp $118.7M 2,926,269
HELD TOL TOLL BROTHERS INC 0.1 % 0.1 % +0.0 pp $118.7M 720,696
HELD ALB ALBEMARLE CORP 0.1 % 0.1 % +0.0 pp $118.2M 875,071
HELD BBWI BATH & BODY WORKS INC 0.1 % 0.1 % +0.0 pp $118.1M 5,106,371
HELD MCHP MICROCHIP TECHNOLOGY INC. 0.1 % 0.1 % +0.0 pp $117.7M 1,290,382
HELD HUT HUT 8 CORP 0.1 % 0.1 % +0.0 pp $117.6M 1,018,724
HELD ? WEATHERFORD INTL PLC 0.1 % 0.1 % +0.0 pp $117.6M 1,442,765
HELD NTAP NETAPP INC 0.1 % 0.1 % +0.0 pp $116.8M 754,479
HELD NDAQ NASDAQ INC 0.1 % 0.1 % +0.0 pp $116.7M 1,480,671
HELD TNL TRAVEL PLUS LEISURE CO 0.1 % 0.1 % +0.0 pp $116.6M 1,525,786
HELD BB BLACKBERRY LTD 0.1 % 0.1 % +0.0 pp $115.5M 9,127,575
HELD DG DOLLAR GEN CORP 0.1 % 0.1 % +0.0 pp $114.7M 996,575
HELD TMUS T-MOBILE US INC 0.1 % 0.1 % +0.0 pp $114.4M 682,089
HELD AKAM AKAMAI TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $114.3M 966,903
HELD EBAY EBAY INC. 0.1 % 0.1 % +0.0 pp $114.2M 1,021,738
HELD MOD MODINE MFG CO 0.1 % 0.1 % +0.0 pp $114.0M 427,004
HELD MS MORGAN STANLEY 0.1 % 0.1 % +0.0 pp $113.9M 545,065
HELD HAE HAEMONETICS CORP MASS 0.1 % 0.1 % +0.0 pp $113.3M 1,510,120
HELD RBLX ROBLOX CORP 0.1 % 0.1 % +0.0 pp $112.9M 2,075,525
HELD MRVL MARVELL TECHNOLOGY INC 0.1 % 0.1 % +0.0 pp $112.7M 378,401
HELD IWM ISHARES TR 0.1 % 0.1 % +0.0 pp $112.7M 375,066
HELD SITE SITEONE LANDSCAPE SUPPLY INC 0.1 % 0.1 % +0.0 pp $112.5M 983,646
HELD BKNG BOOKING HOLDINGS INC 0.1 % 0.1 % +0.0 pp $112.5M 631,052
HELD SO SOUTHERN CO 0.1 % 0.1 % +0.0 pp $112.3M 1,173,137
HELD TREX TREX INC 0.1 % 0.1 % +0.0 pp $111.9M 2,236,735
HELD ? GRAB HOLDINGS LIMITED 0.1 % 0.1 % +0.0 pp $111.8M 29,647,531
HELD OXY OCCIDENTAL PETE CORP 0.1 % 0.1 % +0.0 pp $111.3M 2,291,616
HELD RVMD REVOLUTION MEDICINES INC 0.1 % 0.1 % +0.0 pp $110.5M 589,906
HELD FIGR FIGURE TECHNOLOGY SOLUTIO 0.1 % 0.1 % +0.0 pp $109.6M 3,568,388
HELD INDV INDIVIOR PHARMACEUTICALS INC 0.1 % 0.1 % +0.0 pp $109.5M 2,667,827
HELD CTAS CINTAS CORP 0.1 % 0.1 % +0.0 pp $108.5M 637,740
HELD AMP AMERIPRISE FINL INC 0.1 % 0.1 % +0.0 pp $108.3M 236,081
HELD XLE SELECT SECTOR SPDR TR 0.1 % 0.1 % +0.0 pp $107.9M 2,031,148
HELD AXTI AXT INC 0.1 % 0.1 % +0.0 pp $106.8M 1,481,332
HELD CMI CUMMINS INC 0.1 % 0.1 % +0.0 pp $106.8M 149,683
HELD AVBC AVALONBAY CMNTYS INC 0.1 % 0.0 % +0.1 pp $106.6M 564,721
HELD TXG 10X GENOMICS INC 0.1 % 0.1 % +0.0 pp $106.6M 2,779,213
HELD ORKA ORUKA THERAPEUTICS INC 0.1 % 0.1 % +0.0 pp $106.5M 1,119,011
HELD EXPD EXPEDITORS INTL WASH INC 0.1 % 0.1 % +0.0 pp $105.7M 648,840
HELD PNFP PINNACLE FINL PARTNERS INC 0.1 % 0.1 % +0.0 pp $105.7M 1,047,875
HELD AXP AMERICAN EXPRESS CO 0.1 % 0.1 % +0.0 pp $105.6M 312,334
HELD MPC MARATHON PETE CORP 0.1 % 0.1 % +0.0 pp $105.4M 412,252
HELD CIEN CIENA CORP 0.1 % 0.1 % +0.0 pp $105.0M 214,064
HELD ELVN ENLIVEN THERAPEUTICS INC 0.1 % 0.1 % +0.0 pp $105.0M 2,068,992
HELD ? PENTAIR PLC 0.1 % 0.1 % +0.0 pp $104.8M 1,367,489
HELD WRB BERKLEY W R CORP 0.1 % 0.1 % +0.0 pp $104.1M 1,475,954
HELD SMCI SUPER MICRO COMPUTER INC 0.1 % 0.1 % +0.0 pp $103.9M 3,542,512
HELD DE DEERE & CO 0.1 % 0.1 % +0.0 pp $103.7M 163,452
HELD CORZ CORE SCIENTIFIC INC NEW 0.1 % 0.1 % +0.0 pp $103.4M 4,041,333
HELD ? GLOBAL E ONLINE LTD 0.1 % 0.1 % +0.0 pp $103.4M 2,977,056
HELD RS RELIANCE INC 0.1 % 0.1 % +0.0 pp $103.0M 275,606
HELD AFRM AFFIRM HLDGS INC 0.1 % 0.1 % +0.0 pp $101.8M 1,248,374
HELD ? AXIS CAP HLDGS LTD 0.1 % 0.1 % +0.0 pp $101.4M 943,834
HELD SHAZ SHARONAI HOLDINGS INC 0.1 % 0.1 % +0.0 pp $100.2M 1,229,398
HELD Q QNITY ELECTRONICS INC 0.1 % 0.1 % +0.0 pp $100.1M 613,148
HELD ? WILLIS TOWERS WATSON PLC LTD 0.1 % 0.1 % +0.0 pp $100.1M 382,807
HELD SANM SANMINA CORP 0.1 % 0.1 % +0.0 pp $99.1M 391,486
HELD RMD RESMED INC 0.1 % 0.1 % +0.0 pp $99.1M 508,284
HELD TTMI TTM TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $98.9M 528,648
HELD BOX BOX INC 0.1 % 0.1 % +0.0 pp $98.8M 3,723,373
HELD CRC CALIFORNIA RES CORP 0.1 % 0.1 % +0.0 pp $98.8M 1,868,891
HELD EXPE EXPEDIA GROUP INC 0.1 % 0.1 % +0.0 pp $98.5M 384,992
HELD ATI ATI INC 0.1 % 0.1 % +0.0 pp $98.0M 497,418
HELD ? CHART INDS INC 0.1 % 0.1 % +0.0 pp $97.9M 468,793
HELD SIRI SIRIUSXM HOLDINGS INC 0.1 % 0.1 % +0.0 pp $97.8M 3,310,550
HELD HALO 1 08/15/28 HALOZYME THERAPEUTICS INC 0.1 % 0.1 % +0.0 pp $96.7M 66,016,000
HELD RCUS ARCUS BIOSCIENCES INC 0.1 % 0.1 % +0.0 pp $96.7M 3,135,057
HELD AR ANTERO RESOURCES CORP 0.1 % 0.1 % +0.0 pp $96.6M 2,747,597
HELD VIRT VIRTU FINL INC 0.1 % 0.1 % +0.0 pp $96.2M 1,614,787
HELD APP APPLOVIN CORP 0.1 % 0.1 % +0.0 pp $96.1M 186,604
HELD ? BITDEER TECHNOLOGIES GROUP 0.1 % 0.1 % +0.0 pp $96.1M 6,057,568
HELD DHI D R HORTON INC 0.1 % 0.1 % +0.0 pp $95.6M 586,864
HELD TYL TYLER TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $95.1M 325,093
HELD DNTH DIANTHUS THERAPEUTICS INC 0.1 % 0.1 % +0.0 pp $95.0M 974,911
HELD HLNE HAMILTON LANE INC 0.1 % 0.1 % +0.0 pp $94.8M 1,203,158
HELD FAST FASTENAL CO 0.1 % 0.1 % +0.0 pp $94.8M 1,973,383
HELD ETSY ETSY INC 0.1 % 0.1 % +0.0 pp $94.6M 1,256,274
HELD AAL AMERICAN AIRLINES GROUP INC 0.1 % 0.1 % +0.0 pp $94.2M 5,213,502
HELD IBKR INTERACTIVE BROKERS GROUP IN 0.1 % 0.1 % +0.0 pp $94.2M 1,081,743
HELD GLW CORNING INC 0.1 % 0.1 % +0.0 pp $94.1M 368,501
HELD CLH CLEAN HARBORS INC 0.1 % 0.1 % +0.0 pp $93.9M 314,347
HELD ? COCA-COLA EUROPACIFIC PARTNE 0.1 % 0.1 % +0.0 pp $93.8M 937,111
HELD BKH BLACK HILLS CORP 0.1 % 0.1 % +0.0 pp $93.7M 1,259,693
HELD TEX TEREX CORP NEW 0.1 % 0.1 % +0.0 pp $93.7M 1,294,226
HELD ? SMURFIT WESTROCK PLC 0.1 % 0.1 % +0.0 pp $93.3M 2,017,654
HELD LECO LINCOLN ELEC HLDGS INC 0.1 % 0.1 % +0.0 pp $93.2M 351,167
HELD FIX COMFORT SYS USA INC 0.1 % 0.1 % +0.0 pp $92.9M 46,859
HELD VRT VERTIV HOLDINGS CO 0.1 % 0.1 % +0.0 pp $92.4M 275,926
HELD CNX CNX RES CORP 0.1 % 0.1 % +0.0 pp $91.8M 2,704,738
HELD CHD CHURCH & DWIGHT CO INC 0.1 % 0.1 % +0.0 pp $91.1M 939,990
HELD PCOR PROCORE TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $90.9M 2,237,524
HELD WKC 3.25 07/01/28 WORLD KINECT CORPORATION 0.1 % 0.1 % +0.0 pp $90.7M 70,031,000
HELD BMY BRISTOL-MYERS SQUIBB CO 0.1 % 0.1 % +0.0 pp $90.6M 1,572,329
HELD LHX L3HARRIS TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $90.5M 311,315
HELD BIIB BIOGEN INC 0.1 % 0.1 % +0.0 pp $90.4M 418,356
HELD ITGR INTEGER HLDGS CORP 0.1 % 0.1 % +0.0 pp $90.2M 965,753
HELD ITW ILLINOIS TOOL WKS INC 0.1 % 0.1 % +0.0 pp $90.2M 333,561
HELD UBER UBER TECHNOLOGIES INC 0.1 % 0.1 % +0.0 pp $90.0M 1,247,224
HELD FIS FIDELITY NATL INFORMATION SV 0.1 % 0.1 % +0.0 pp $89.4M 2,298,957
HELD POST POST HLDGS INC 0.1 % 0.1 % +0.0 pp $89.4M 1,012,592
HELD FELC FIDELITY COVINGTON TRUST 0.1 % 0.1 % +0.0 pp $88.9M 2,121,806
HELD KNTK KINETIK HOLDINGS INC 0.1 % 0.1 % +0.0 pp $88.7M 1,835,829
HELD TWST TWIST BIOSCIENCE CORP 0.1 % 0.1 % +0.0 pp $88.7M 862,042
HELD ACI ALBERTSONS COMPANIES INC 0.1 % 0.1 % +0.0 pp $88.7M 6,554,442
HELD AMKR AMKOR TECHNOLOGY INC 0.1 % 0.1 % +0.0 pp $88.7M 1,028,138
HELD CI THE CIGNA GROUP 0.1 % 0.1 % +0.0 pp $88.6M 321,435
HELD KGS KODIAK GAS SVCS INC 0.1 % 0.1 % +0.0 pp $88.5M 1,177,330
HELD LITE LUMENTUM HLDGS INC 0.1 % 0.1 % +0.0 pp $88.0M 102,604
HELD MPWR MONOLITHIC PWR SYS INC 0.1 % 0.1 % +0.0 pp $87.8M 63,487
HELD DOW DOW HLDGS INC 0.0 % 0.0 % +0.0 pp $86.3M 3,155,699
HELD ? ALKERMES PLC 0.0 % 0.0 % +0.0 pp $86.2M 1,645,101
HELD OUT OUTFRONT MEDIA INC 0.0 % 0.0 % +0.0 pp $86.2M 2,631,021
HELD XLF SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $86.1M 1,605,930
HELD DIS DISNEY WALT CO 0.0 % 0.0 % +0.0 pp $86.0M 893,804
HELD KMB KIMBERLY-CLARK CORP 0.0 % 0.0 % +0.0 pp $85.7M 780,492
HELD TXRH TEXAS ROADHOUSE INC 0.0 % 0.0 % +0.0 pp $85.3M 441,465
HELD ? FABRINET 0.0 % 0.0 % +0.0 pp $85.3M 151,705
HELD ? STERIS PLC 0.0 % 0.0 % +0.0 pp $85.1M 404,266
HELD OVV OVINTIV INC 0.0 % 0.0 % +0.0 pp $85.1M 1,616,318
HELD XENE XENON PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $84.6M 1,401,242
HELD ? NXP SEMICONDUCTORS N V 0.0 % 0.0 % +0.0 pp $84.5M 300,637
HELD KMI KINDER MORGAN INC DEL 0.0 % 0.0 % +0.0 pp $84.3M 2,635,761
HELD STUB STUBHUB HLDGS INC 0.0 % 0.0 % +0.0 pp $84.2M 6,544,021
HELD DXCM 0.375 05/15/28 DEXCOM INC 0.0 % 0.0 % +0.0 pp $84.2M 90,144,000
HELD MSGS MADISON SQUARE GRDN SPRT COR 0.0 % 0.0 % +0.0 pp $83.6M 208,144
HELD STT STATE STR CORP 0.0 % 0.0 % +0.0 pp $83.6M 492,672
HELD GOOGL 6.25 05/15/29 A ALPHABET INC 0.0 % 0.0 % +0.0 pp $83.3M 1,650,004
HELD TDW TIDEWATER INC NEW 0.0 % 0.0 % +0.0 pp $83.2M 1,248,280
HELD EXLS EXLSERVICE HLDGS INC 0.0 % 0.0 % +0.0 pp $82.8M 3,202,977
HELD FIVE FIVE BELOW INC 0.0 % 0.0 % +0.0 pp $82.7M 459,854
HELD GM GENERAL MTRS CO 0.0 % 0.0 % +0.0 pp $82.7M 1,072,430
HELD WEX WEX INC 0.0 % 0.0 % +0.0 pp $82.2M 582,786
HELD CHH CHOICE HOTELS INTL INC 0.0 % 0.0 % +0.0 pp $81.8M 742,110
HELD XLV SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $81.8M 515,327
HELD NEE NEXTERA ENERGY INC 0.0 % 0.0 % +0.0 pp $81.7M 930,842
HELD DXCM DEXCOM INC 0.0 % 0.0 % +0.0 pp $81.6M 1,211,767
HELD ACMR ACM RESH INC 0.0 % 0.0 % +0.0 pp $80.8M 636,836
HELD NRG NRG ENERGY INC 0.0 % 0.0 % +0.0 pp $80.6M 552,159
HELD FWONK 2.25 08/15/27 LIBERTY MEDIA CORP DEL 0.0 % 0.0 % +0.0 pp $79.8M 64,318,000
HELD RIVN RIVIAN AUTOMOTIVE INC 0.0 % 0.0 % +0.0 pp $79.4M 4,578,186
HELD DFTX DEFINIUM THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $79.4M 1,688,587
HELD CTSH COGNIZANT TECHNOLOGY SOLUTIO 0.0 % 0.0 % +0.0 pp $79.1M 2,043,590
HELD PB PROSPERITY BANCSHARES INC 0.0 % 0.0 % +0.0 pp $79.1M 1,082,980
HELD ROL ROLLINS INC 0.0 % 0.0 % +0.0 pp $79.0M 1,893,415
HELD SNY SANOFI SA 0.0 % 0.0 % +0.0 pp $79.0M 1,852,207
HELD XBI SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $79.0M 499,184
HELD PLD PROLOGIS INC. 0.0 % 0.0 % +0.0 pp $78.8M 581,773
HELD ACHC ACADIA HEALTHCARE COMPANY IN 0.0 % 0.0 % +0.0 pp $78.7M 2,665,603
HELD FRMI FERMI INC 0.0 % 0.0 % +0.0 pp $78.7M 8,587,055
HELD ICUI ICU MED INC 0.0 % 0.0 % +0.0 pp $78.6M 536,225
HELD EME EMCOR GROUP INC 0.0 % 0.0 % +0.0 pp $78.5M 94,598
HELD AHR AMERICAN HEALTHCARE REIT INC 0.0 % 0.0 % +0.0 pp $78.5M 1,504,714
HELD BNY BANK OF NY MELLON CORP 0.0 % 0.0 % +0.0 pp $78.4M 542,327
HELD ELS EQUITY LIFESTYLE PROPERTIES 0.0 % 0.0 % +0.0 pp $78.2M 1,212,946
HELD DY DYCOM INDS INC 0.0 % 0.0 % +0.0 pp $77.9M 153,980
HELD RDN RADIAN GROUP INC 0.0 % 0.0 % +0.0 pp $77.8M 2,064,633
HELD REXR REXFORD INDL RLTY INC 0.0 % 0.0 % +0.0 pp $77.7M 2,318,740
HELD WLK WESTLAKE CORPORATION 0.0 % 0.0 % +0.0 pp $77.0M 1,054,868
HELD BP BP PLC 0.0 % 0.0 % +0.0 pp $76.8M 2,078,766
HELD XLP SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $76.7M 923,281
HELD IT GARTNER INC 0.0 % 0.0 % +0.0 pp $76.5M 590,275
HELD KHC KRAFT HEINZ CO 0.0 % 0.0 % +0.0 pp $76.4M 3,232,765
HELD VZ VERIZON COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $76.2M 1,800,875
HELD ALGT ALLEGIANT TRAVEL CO 0.0 % 0.0 % +0.0 pp $76.2M 647,751
HELD POOL POOL CORP 0.0 % 0.0 % +0.0 pp $76.1M 354,143
HELD ? ROYALTY PHARMA PLC 0.0 % 0.0 % +0.0 pp $76.0M 1,354,640
HELD IR INGERSOLL RAND INC 0.0 % 0.0 % +0.0 pp $75.4M 919,454
HELD FE 3.875 01/15/31 FIRSTENERGY CORP 0.0 % 0.0 % +0.0 pp $74.9M 67,370,000
HELD CRM SALESFORCE INC 0.0 % 0.0 % +0.0 pp $74.9M 477,800
HELD LTM LATAM AIRLINES GROUP SA 0.0 % 0.0 % +0.0 pp $74.6M 1,280,430
HELD TECK TECK RESOURCES LTD 0.0 % 0.0 % +0.0 pp $74.6M 1,254,462
HELD GBCI GLACIER BANCORP INC NEW 0.0 % 0.0 % +0.0 pp $74.5M 1,444,953
HELD COP CONOCOPHILLIPS 0.0 % 0.0 % +0.0 pp $74.5M 716,832
HELD ARXS ARXIS INC 0.0 % 0.0 % +0.0 pp $74.2M 1,608,151
HELD VSNT VERSANT MEDIA GROUP INC 0.0 % 0.0 % +0.0 pp $74.1M 2,057,431
HELD XYL XYLEM INC 0.0 % 0.0 % +0.0 pp $74.0M 625,702
HELD MET METLIFE INC 0.0 % 0.0 % +0.0 pp $73.8M 872,341
HELD MSM MSC INDL DIRECT INC 0.0 % 0.0 % +0.0 pp $73.7M 619,507
HELD CTVA CORTEVA INC 0.0 % 0.0 % +0.0 pp $73.3M 865,225
HELD EOG EOG RES INC 0.0 % 0.0 % +0.0 pp $73.1M 563,250
HELD IAG IAMGOLD CORP 0.0 % 0.0 % +0.0 pp $73.0M 4,610,346
HELD TRGP TARGA RES CORP 0.0 % 0.0 % +0.0 pp $73.0M 272,162
HELD TSCO TRACTOR SUPPLY CO 0.0 % 0.0 % +0.0 pp $72.4M 2,289,816
HELD NTRA NATERA INC 0.0 % 0.0 % +0.0 pp $72.1M 265,607
HELD HCA HCA HEALTHCARE INC 0.0 % 0.0 % +0.0 pp $71.9M 184,460
HELD ? SUPER GROUP SGHC LIMITED 0.0 % 0.0 % +0.0 pp $71.9M 5,306,543
HELD ELF E L F BEAUTY INC 0.0 % 0.0 % +0.0 pp $71.5M 966,649
HELD KLRA KAILERA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $71.4M 3,240,787
HELD ? EATON CORP PLC 0.0 % 0.0 % +0.0 pp $71.4M 167,470
HELD MAR MARRIOTT INTL INC NEW 0.0 % 0.0 % +0.0 pp $70.8M 190,950
HELD SIRI 3.75 03/15/28 LIBERTY MEDIA CORP DEL 0.0 % 0.0 % +0.0 pp $70.0M 61,000,000
HELD NTRS NORTHERN TR CORP 0.0 % 0.0 % +0.0 pp $69.8M 401,657
HELD SCCO SOUTHERN COPPER CORP 0.0 % 0.0 % +0.0 pp $69.2M 397,245
HELD FRSH FRESHWORKS INC 0.0 % 0.0 % +0.0 pp $69.2M 6,839,801
HELD CASY CASEYS GEN STORES INC 0.0 % 0.0 % +0.0 pp $68.6M 86,324
HELD PRMB PRIMO BRANDS CORPORATION 0.0 % 0.0 % +0.0 pp $68.3M 2,794,124
HELD TECH BIO-TECHNE CORP 0.0 % 0.0 % +0.0 pp $68.2M 965,918
HELD ? GENPACT LIMITED 0.0 % 0.0 % +0.0 pp $68.2M 2,478,939
HELD GMAB GENMAB A/S 0.0 % 0.0 % +0.0 pp $68.0M 2,475,991
HELD VMRK EQUITY RESIDENTIAL 0.0 % 0.0 % +0.0 pp $67.6M 994,638
HELD ROST ROSS STORES INC 0.0 % 0.0 % +0.0 pp $67.3M 316,244
HELD WSM WILLIAMS SONOMA INC 0.0 % 0.0 % +0.0 pp $67.3M 288,635
HELD AMG AFFILIATED MANAGERS GROUP 0.0 % 0.0 % +0.0 pp $67.2M 198,492
HELD GIS GENERAL MILLS INC 0.0 % 0.0 % +0.0 pp $67.1M 1,928,346
HELD AEO AMERICAN EAGLE OUTFITTERS IN 0.0 % 0.0 % +0.0 pp $67.0M 3,895,460
HELD ? GARMIN LTD 0.0 % 0.0 % +0.0 pp $67.0M 281,919
HELD FOX FOX CORP 0.0 % 0.0 % +0.0 pp $66.6M 1,422,514
HELD VOO VANGUARD INDEX FDS 0.0 % 0.0 % +0.0 pp $66.4M 96,708
HELD GIL GILDAN ACTIVEWEAR INC 0.0 % 0.0 % +0.0 pp $66.3M 1,284,707
HELD DK DELEK US HLDGS INC NEW 0.0 % 0.0 % +0.0 pp $66.2M 1,302,683
HELD WDAY WORKDAY INC 0.0 % 0.0 % +0.0 pp $66.0M 539,136
HELD P EVERPURE INC 0.0 % 0.0 % +0.0 pp $65.7M 833,423
HELD FE 3.625 01/15/29 FIRSTENERGY CORP 0.0 % 0.0 % +0.0 pp $65.5M 60,000,000
HELD NVO NOVO-NORDISK A S 0.0 % 0.0 % +0.0 pp $65.5M 1,366,275
HELD ULTA ULTA BEAUTY INC 0.0 % 0.0 % +0.0 pp $65.5M 145,146
HELD PLUG PLUG PWR INC 0.0 % 0.0 % +0.0 pp $65.4M 24,149,952
HELD RUN SUNRUN INC 0.0 % 0.0 % +0.0 pp $65.0M 4,858,172
HELD YETI YETI HLDGS INC 0.0 % 0.0 % +0.0 pp $64.9M 1,310,194
HELD EMR EMERSON ELEC CO 0.0 % 0.0 % +0.0 pp $64.9M 453,070
HELD CNC CENTENE CORP DEL 0.0 % 0.0 % +0.0 pp $64.7M 1,007,326
HELD CAG CONAGRA BRANDS INC 0.0 % 0.0 % +0.0 pp $64.5M 4,788,334
HELD BMRN BIOMARIN PHARMACEUTICAL INC 0.0 % 0.0 % +0.0 pp $64.2M 1,122,408
HELD ? AERCAP HOLDINGS NV 0.0 % 0.0 % +0.0 pp $64.1M 439,896
HELD GRND GRINDR INC 0.0 % 0.0 % +0.0 pp $64.0M 4,452,720
HELD HSY HERSHEY CO 0.0 % 0.0 % +0.0 pp $64.0M 364,672
HELD SUPN SUPERNUS PHARMACEUTICALS 0.0 % 0.0 % +0.0 pp $63.9M 1,373,982
HELD VCLT VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $63.7M 846,095
HELD ? ELBIT SYS LTD 0.0 % 0.0 % +0.0 pp $63.6M 83,816
HELD COHR COHERENT CORP 0.0 % 0.0 % +0.0 pp $63.5M 161,095
HELD AA ALCOA CORP 0.0 % 0.0 % +0.0 pp $63.4M 1,216,187
HELD PNW 4.75 06/15/27 PINNACLE WEST CAP CORP 0.0 % 0.0 % +0.0 pp $63.3M 53,050,000
HELD LDOS LEIDOS HOLDINGS INC 0.0 % 0.0 % +0.0 pp $63.2M 613,632
HELD MMSI MERIT MED SYS INC 0.0 % 0.0 % +0.0 pp $63.1M 909,863
HELD ? CARNIVAL CORP LTD 0.0 % 0.0 % +0.0 pp $63.0M 2,204,741
HELD HNGE HINGE HEALTH INC 0.0 % 0.0 % +0.0 pp $62.9M 758,110
HELD AXGN AXOGEN INC 0.0 % 0.0 % +0.0 pp $62.9M 1,360,831
HELD AXSM AXSOME THERAPEUTICS INC. 0.0 % 0.0 % +0.0 pp $62.6M 255,878
HELD TRP TC ENERGY CORP 0.0 % 0.0 % +0.0 pp $62.3M 939,204
HELD HP HELMERICH & PAYNE INC 0.0 % 0.0 % +0.0 pp $62.2M 1,900,404
HELD VST VISTRA CORP 0.0 % 0.0 % +0.0 pp $62.2M 391,939
HELD MELI MERCADOLIBRE INC 0.0 % 0.0 % +0.0 pp $62.1M 36,570
HELD TU TELUS CORPORATION 0.0 % 0.0 % +0.0 pp $62.0M 5,869,915
HELD CART MAPLEBEAR INC 0.0 % 0.0 % +0.0 pp $61.9M 1,307,810
HELD CDW CDW CORP 0.0 % 0.0 % +0.0 pp $61.9M 440,204
HELD HQY HEALTHEQUITY INC 0.0 % 0.0 % +0.0 pp $61.7M 682,961
HELD QQQM INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $61.6M 203,414
HELD VIAV VIAVI SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $61.5M 1,288,702
HELD XOP SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $61.5M 398,877
HELD INDB INDEPENDENT BK CORP MASS 0.0 % 0.0 % +0.0 pp $61.4M 733,718
HELD MAC MACERICH CO 0.0 % 0.0 % +0.0 pp $61.3M 2,433,694
HELD NKE NIKE INC 0.0 % 0.0 % +0.0 pp $61.2M 1,490,584
HELD MLCO MELCO RESORTS AND ENTMNT LTD 0.0 % 0.0 % +0.0 pp $61.2M 11,607,461
HELD BAH BOOZ ALLEN HAMILTON HLDG COR 0.0 % 0.0 % +0.0 pp $61.1M 1,007,320
HELD PTCT PTC THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $61.0M 747,822
HELD FOUR SHIFT4 PMTS INC 0.0 % 0.0 % +0.0 pp $60.7M 1,246,944
HELD PVH PVH CORPORATION 0.0 % 0.0 % +0.0 pp $60.6M 815,594
HELD EQH EQUITABLE HLDGS INC 0.0 % 0.0 % +0.0 pp $60.5M 1,379,294
HELD KRMN KARMAN HLDGS INC 0.0 % 0.0 % +0.0 pp $59.9M 1,200,681
HELD FERG FERGUSON ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $59.9M 252,495
HELD VSAT VIASAT INC 0.0 % 0.0 % +0.0 pp $59.8M 665,919
HELD MUSA MURPHY USA INC 0.0 % 0.0 % +0.0 pp $59.5M 110,425
HELD ARM ARM HOLDINGS PLC 0.0 % 0.0 % +0.0 pp $59.5M 167,727
HELD WGS GENEDX HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $59.4M 865,462
HELD TPL TEXAS PACIFIC LAND CORPORATI 0.0 % 0.0 % +0.0 pp $59.3M 135,593
HELD EFV ISHARES TR 0.0 % 0.0 % +0.0 pp $59.3M 774,251
HELD BKD 3.5 10/15/29 BROOKDALE SR LIVING INC 0.0 % 0.0 % +0.0 pp $59.0M 30,834,000
HELD FICO FAIR ISAAC CORP 0.0 % 0.0 % +0.0 pp $58.7M 49,125
HELD LEVI LEVI STRAUSS & CO NEW 0.0 % 0.0 % +0.0 pp $58.3M 2,348,038
HELD ADM ARCHER DANIELS MIDLAND CO 0.0 % 0.0 % +0.0 pp $58.3M 762,938
HELD ALOY REALLOYS INC 0.0 % 0.0 % +0.0 pp $58.2M 4,029,792
HELD ? DPC HOLDINGS PLC 0.0 % 0.0 % +0.0 pp $58.1M 1,183,794
HELD STRL STERLING INFRASTRUCTURE INC 0.0 % 0.0 % +0.0 pp $58.0M 69,151
HELD W WAYFAIR INC 0.0 % 0.0 % +0.0 pp $58.0M 627,846
HELD NVR NVR INC 0.0 % 0.0 % +0.0 pp $57.8M 8,485
HELD KEY KEYCORP 0.0 % 0.0 % +0.0 pp $57.5M 2,495,192
HELD ALNY ALNYLAM PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $57.5M 191,029
HELD XEL XCEL ENERGY INC 0.0 % 0.0 % +0.0 pp $57.1M 710,776
HELD BRBR BELLRING BRANDS INC 0.0 % 0.0 % +0.0 pp $56.9M 4,397,955
HELD GEN GEN DIGITAL INC 0.0 % 0.0 % +0.0 pp $56.9M 2,284,559
HELD CVE CENOVUS ENERGY INC 0.0 % 0.0 % +0.0 pp $56.8M 2,290,842
HELD EXE EXPAND ENERGY CORPORATION 0.0 % 0.0 % +0.0 pp $56.7M 622,041
HELD ZM ZOOM COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $56.7M 657,209
HELD DT DYNATRACE INC 0.0 % 0.0 % +0.0 pp $56.6M 1,289,836
HELD ALK ALASKA AIR GROUP INC 0.0 % 0.0 % +0.0 pp $56.6M 1,084,977
HELD OGE OGE ENERGY CORP 0.0 % 0.0 % +0.0 pp $56.4M 1,159,153
HELD TTD THE TRADE DESK INC 0.0 % 0.0 % +0.0 pp $56.3M 3,115,653
HELD KNSL KINSALE CAP GROUP INC 0.0 % 0.0 % +0.0 pp $56.3M 170,778
HELD CE CELANESE CORP DEL 0.0 % 0.0 % +0.0 pp $56.2M 1,221,610
HELD AEM AGNICO EAGLE MINES LTD 0.0 % 0.0 % +0.0 pp $56.2M 362,102
HELD F FORD MTR CO 0.0 % 0.0 % +0.0 pp $56.1M 4,035,882
HELD EQT EQT CORP 0.0 % 0.0 % +0.0 pp $56.0M 1,052,456
HELD WPM WHEATON PRECIOUS METALS CORP 0.0 % 0.0 % +0.0 pp $55.9M 497,590
HELD EXC EXELON CORP 0.0 % 0.0 % +0.0 pp $55.8M 1,196,816
HELD RCI ROGERS COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $55.8M 1,716,408
HELD BTU PEABODY ENGR CORP 0.0 % 0.0 % +0.0 pp $55.7M 2,410,239
HELD APO APOLLO GLOBAL MGMT INC 0.0 % 0.0 % +0.0 pp $55.5M 468,928
HELD WEC WEC ENERGY GROUP INC 0.0 % 0.0 % +0.0 pp $55.4M 474,543
HELD ACAD ACADIA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $55.2M 2,182,177
HELD EVRG 4.5 12/15/27 EVERGY INC 0.0 % 0.0 % +0.0 pp $55.1M 38,750,000
HELD ASB ASSOCIATED BANC-CORP 0.0 % 0.0 % +0.0 pp $55.0M 1,788,374
HELD HEI HEICO CORP NEW 0.0 % 0.0 % +0.0 pp $54.9M 154,106
HELD ADC AGREE RLTY CORP 0.0 % 0.0 % +0.0 pp $54.9M 724,630
HELD NUE NUCOR CORP 0.0 % 0.0 % +0.0 pp $54.9M 246,312
HELD NVTS NAVITAS SEMICONDUCTOR CORP 0.0 % 0.0 % +0.0 pp $54.8M 3,056,137
HELD MKTX MARKETAXESS HLDGS INC 0.0 % 0.0 % +0.0 pp $54.7M 481,689
HELD RIOT RIOT PLATFORMS INC 0.0 % 0.0 % +0.0 pp $54.6M 1,995,548
HELD CYTK CYTOKINETICS INC 0.0 % 0.0 % +0.0 pp $54.6M 640,945
HELD FHI FEDERATED HERMES INC 0.0 % 0.0 % +0.0 pp $54.3M 982,725
HELD ALSN ALLISON TRANSMISSION HLDGS I 0.0 % 0.0 % +0.0 pp $54.0M 478,893
EXIT ? CHURCHILL CAP CORP XI — 0.0 % -0.0 % — —
HELD LUV SOUTHWEST AIRLS CO 0.0 % 0.0 % +0.0 pp $53.8M 1,047,104
HELD ADP AUTOMATIC DATA PROCESSING IN 0.0 % 0.0 % +0.0 pp $53.8M 240,383
HELD S SENTINELONE INC 0.0 % 0.0 % +0.0 pp $53.8M 3,172,034
HELD TFII TFI INTERNATIONAL INC 0.0 % 0.0 % +0.0 pp $53.7M 373,916
HELD XPEV XPENG INC 0.0 % 0.0 % +0.0 pp $53.4M 4,036,718
HELD UNF UNIFIRST CORP MASS 0.0 % 0.0 % +0.0 pp $53.4M 202,054
HELD HII HUNTINGTON INGALLS INDS INC 0.0 % 0.0 % +0.0 pp $53.4M 190,853
HELD UDR UDR INC 0.0 % 0.0 % +0.0 pp $53.3M 1,334,910
HELD RMBS RAMBUS INC DEL 0.0 % 0.0 % +0.0 pp $53.1M 400,151
HELD KR KROGER CO 0.0 % 0.0 % +0.0 pp $53.0M 954,304
HELD GNW GENWORTH FINL INC 0.0 % 0.0 % +0.0 pp $52.9M 5,582,431
HELD FRPT FRESHPET INC 0.0 % 0.0 % +0.0 pp $52.6M 889,288
HELD SPSC SPS COMM INC 0.0 % 0.0 % +0.0 pp $52.2M 913,868
HELD PAAS PAN AMERN SILVER CORP 0.0 % 0.0 % +0.0 pp $52.1M 1,162,311
HELD QLYS QUALYS INC 0.0 % 0.0 % +0.0 pp $52.0M 378,139
HELD RGLD ROYAL GOLD INC 0.0 % 0.0 % +0.0 pp $51.8M 259,296
HELD BNS BANK NOVA SCOTIA B C 0.0 % 0.0 % +0.0 pp $51.7M 594,772
HELD OBDC BLUE OWL CAPITAL CORPORATION 0.0 % 0.0 % +0.0 pp $51.6M 4,747,449
HELD PGNY PROGYNY INC 0.0 % 0.0 % +0.0 pp $51.5M 1,785,717
HELD VSH VISHAY INTERTECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $51.4M 956,489
HELD RGEN REPLIGEN CORP 0.0 % 0.0 % +0.0 pp $51.3M 376,309
HELD BRUN BOOST RUN INC 0.0 % 0.0 % +0.0 pp $51.3M 1,320,722
HELD SONY SONY GROUP CORP 0.0 % 0.0 % +0.0 pp $51.2M 2,552,757
HELD APLD APPLIED DIGITAL CORP 0.0 % 0.0 % +0.0 pp $51.2M 1,372,681
HELD RL RALPH LAUREN CORP 0.0 % 0.0 % +0.0 pp $51.1M 127,216
HELD SILJ AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $51.0M 1,967,551
HELD WAT WATERS CORP 0.0 % 0.0 % +0.0 pp $50.9M 135,686
HELD PKG PACKAGING CORP AMER 0.0 % 0.0 % +0.0 pp $50.8M 213,281
HELD FAF FIRST AMERN FINL CORP 0.0 % 0.0 % +0.0 pp $50.7M 739,471
HELD NOVT NOVANTA INC 0.0 % 0.0 % +0.0 pp $50.6M 311,731
HELD SION SIONNA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $50.5M 1,147,636
HELD ALGN ALIGN TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $50.4M 299,082
HELD NVS NOVARTIS AG 0.0 % 0.0 % +0.0 pp $50.3M 320,808
HELD KTOS KRATOS DEFENSE & SEC SOLUTIO 0.0 % 0.0 % +0.0 pp $50.3M 1,008,013
HELD H HYATT HOTELS CORP 0.0 % 0.0 % +0.0 pp $50.3M 259,266
HELD LBRT LIBERTY ENERGY INC 0.0 % 0.0 % +0.0 pp $50.2M 1,915,536
HELD QXO QXO INC 0.0 % 0.0 % +0.0 pp $49.9M 2,890,072
HELD PLMR PALOMAR HLDGS INC 0.0 % 0.0 % +0.0 pp $49.5M 391,299
HELD GLXY GALAXY DIGITAL INC. 0.0 % 0.0 % +0.0 pp $49.4M 1,805,340
HELD SLB SLB LIMITED 0.0 % 0.0 % +0.0 pp $49.3M 1,060,965
HELD DECK DECKERS OUTDOOR CORP 0.0 % 0.0 % +0.0 pp $49.3M 496,624
HELD GMRS GMR SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $49.3M 3,187,840
HELD BKV BKV CORP 0.0 % 0.0 % +0.0 pp $49.3M 1,800,958
HELD ? INVESCO LTD 0.0 % 0.0 % +0.0 pp $49.1M 1,862,292
HELD DASH DOORDASH INC 0.0 % 0.0 % +0.0 pp $49.1M 266,037
HELD UPS UNITED PARCEL SVCS INC 0.0 % 0.0 % +0.0 pp $48.9M 455,269
HELD FR FIRST INDL RLTY TR INC 0.0 % 0.0 % +0.0 pp $48.9M 797,769
HELD GLDM WORLD GOLD TR 0.0 % 0.0 % +0.0 pp $48.8M 614,789
HELD BBIO 1.75 03/01/31 BRIDGEBIO PHARMA INC 0.0 % 0.0 % +0.0 pp $48.8M 29,000,000
HELD WWD WOODWARD INC 0.0 % 0.0 % +0.0 pp $48.4M 113,758
HELD TE 4 04/15/31 T1 ENERGY INC 0.0 % 0.0 % +0.0 pp $48.1M 28,000,000
HELD SYK STRYKER CORPORATION 0.0 % 0.0 % +0.0 pp $48.0M 152,464
HELD SNAP SNAP INC 0.0 % 0.0 % +0.0 pp $47.8M 10,769,775
HELD CEG CONSTELLATION ENERGY CORP 0.0 % 0.0 % +0.0 pp $47.6M 191,515
HELD CNM CORE & MAIN INC 0.0 % 0.0 % +0.0 pp $47.6M 985,716
HELD CHEF 2.375 12/15/28 CHEFS WHSE INC 0.0 % 0.0 % +0.0 pp $47.6M 21,283,000
HELD ATEN 2.75 04/01/30 A10 NETWORKS INC 0.0 % 0.0 % +0.0 pp $47.5M 27,905,000
HELD RNST RENASANT CORP 0.0 % 0.0 % +0.0 pp $47.4M 1,114,752
HELD TE T1 ENERGY INC 0.0 % 0.0 % +0.0 pp $47.4M 4,995,804
HELD ACM AECOM 0.0 % 0.0 % +0.0 pp $47.3M 677,771
HELD SHO SUNSTONE HOTEL INVS INC NEW 0.0 % 0.0 % +0.0 pp $47.2M 4,122,371
HELD FHB FIRST HAWAIIAN INC 0.0 % 0.0 % +0.0 pp $47.1M 1,606,236
HELD MC MOELIS & CO 0.0 % 0.0 % +0.0 pp $47.0M 718,444
HELD AFG AMERICAN FINANCIAL GROUP INC 0.0 % 0.0 % +0.0 pp $47.0M 335,603
HELD PLNT PLANET FITNESS MASTER ISSUER 0.0 % 0.0 % +0.0 pp $46.9M 899,468
HELD TFIN TRIUMPH FINANCIAL INC 0.0 % 0.0 % +0.0 pp $46.9M 614,081
HELD DFCF DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $46.9M 1,109,928
HELD FRVO FERVO ENERGY CO 0.0 % 0.0 % +0.0 pp $46.8M 1,599,768
HELD ? SIGNET JEWELERS LIMITED 0.0 % 0.0 % +0.0 pp $46.7M 541,819
HELD KMT KENNAMETAL INC 0.0 % 0.0 % +0.0 pp $46.7M 1,331,815
HELD CDE COEUR MNG INC 0.0 % 0.0 % +0.0 pp $46.6M 2,853,809
HELD ? ALLEGION PLC 0.0 % 0.0 % +0.0 pp $46.6M 331,401
HELD RBC RBC BEARINGS INC 0.0 % 0.0 % +0.0 pp $46.5M 72,138
HELD AGI ALAMOS GOLD INC 0.0 % 0.0 % +0.0 pp $46.5M 1,531,346
HELD HTGC HERCULES CAPITAL INC 0.0 % 0.0 % +0.0 pp $46.3M 2,937,122
HELD ? NATIONAL ENERGY SERVICES REU 0.0 % 0.0 % +0.0 pp $46.1M 1,540,888
HELD CUZ COUSINS PPTYS INC 0.0 % 0.0 % +0.0 pp $46.1M 1,538,309
HELD CAH CARDINAL HEALTH INC 0.0 % 0.0 % +0.0 pp $46.1M 193,920
HELD FXI ISHARES TR 0.0 % 0.0 % +0.0 pp $46.1M 1,458,206
HELD ? DHT HOLDINGS INC 0.0 % 0.0 % +0.0 pp $46.0M 2,783,844
HELD GDDY GODADDY INC 0.0 % 0.0 % +0.0 pp $46.0M 541,574
HELD KEX KIRBY CORP 0.0 % 0.0 % +0.0 pp $46.0M 337,989
HELD IMO IMPERIAL OIL LTD 0.0 % 0.0 % +0.0 pp $45.9M 409,538
HELD UHS UNIVERSAL HLTH SVCS INC 0.0 % 0.0 % +0.0 pp $45.8M 308,147
HELD WY WEYERHAEUSER CO 0.0 % 0.0 % +0.0 pp $45.7M 1,907,721
HELD FLYW FLYWIRE CORPORATION 0.0 % 0.0 % +0.0 pp $45.5M 2,591,997
HELD ANIP 2.25 09/01/29 ANI PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $45.4M 35,000,000
HELD SHOO MADDEN STEVEN LTD 0.0 % 0.0 % +0.0 pp $45.3M 1,075,562
HELD KTB KONTOOR BRANDS INC 0.0 % 0.0 % +0.0 pp $45.3M 543,267
HELD CALX CALIX INC 0.0 % 0.0 % +0.0 pp $45.1M 1,208,764
HELD HST HOST HOTELS & RESORTS INC 0.0 % 0.0 % +0.0 pp $45.1M 1,901,818
HELD MDB MONGODB INC 0.0 % 0.0 % +0.0 pp $45.1M 134,204
HELD KBH KB HOME 0.0 % 0.0 % +0.0 pp $45.0M 719,098
HELD SUNB SUNBELT RENTALS HOLDINGS INC 0.0 % 0.0 % +0.0 pp $44.9M 600,344
HELD FLJP FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $44.7M 1,125,309
HELD IRT INDEPENDENCE RLTY TR INC 0.0 % 0.0 % +0.0 pp $44.7M 2,679,582
HELD ? JOHNSON CONTROLS INTERNATION 0.0 % 0.0 % +0.0 pp $44.7M 305,635
HELD DVA DAVITA INC 0.0 % 0.0 % +0.0 pp $44.5M 199,862
HELD ITB ISHARES TR 0.0 % 0.0 % +0.0 pp $44.4M 425,103
HELD IPGP IPG PHOTONICS CORP 0.0 % 0.0 % +0.0 pp $44.3M 377,794
HELD NIO NIO INC 0.0 % 0.0 % +0.0 pp $44.3M 8,759,358
HELD IQV IQVIA HLDGS INC 0.0 % 0.0 % +0.0 pp $44.3M 229,366
HELD KGC KINROSS GOLD CORP 0.0 % 0.0 % +0.0 pp $44.3M 1,874,963
HELD SLM SLM CORP 0.0 % 0.0 % +0.0 pp $44.3M 1,706,852
HELD OLN OLIN CORP 0.0 % 0.0 % +0.0 pp $44.3M 2,233,816
HELD CWST CASELLA WASTE SYS INC 0.0 % 0.0 % +0.0 pp $44.2M 455,585
HELD XE X-ENERGY INC 0.0 % 0.0 % +0.0 pp $44.2M 2,406,075
HELD GSAT GLOBALSTAR INC 0.0 % 0.0 % +0.0 pp $44.1M 542,467
HELD TAC TRANSALTA CORP 0.0 % 0.0 % +0.0 pp $44.1M 3,188,021
HELD FFIV F5 INC 0.0 % 0.0 % +0.0 pp $44.0M 105,668
HELD BMNR BITMINE IMMERSION TECHS INC 0.0 % 0.0 % +0.0 pp $44.0M 3,302,118
HELD PUMP PROPETRO HLDG CORP 0.0 % 0.0 % +0.0 pp $43.9M 3,064,445
HELD CACI CACI INTL INC 0.0 % 0.0 % +0.0 pp $43.9M 94,783
HELD VSEC VSE CORP 0.0 % 0.0 % +0.0 pp $43.8M 191,729
HELD LNT 3.25 05/30/28 ALLIANT ENERGY CORP 0.0 % 0.0 % +0.0 pp $43.8M 40,000,000
HELD NXT NEXTPOWER INC 0.0 % 0.0 % +0.0 pp $43.7M 366,788
HELD WAL WESTERN ALLIANCE BANCORP 0.0 % 0.0 % +0.0 pp $43.7M 531,537
HELD FULT FULTON FINL CORP PA 0.0 % 0.0 % +0.0 pp $43.4M 1,792,756
HELD IRM IRON MTN INC DEL 0.0 % 0.0 % +0.0 pp $43.3M 343,168
HELD BRO BROWN & BROWN INC 0.0 % 0.0 % +0.0 pp $43.3M 675,291
HELD TMHC* TAYLOR MORRISON HOME CORP 0.0 % 0.0 % +0.0 pp $43.3M 603,551
HELD SNOW 0 10/01/27 SNOWFLAKE INC 0.0 % 0.0 % +0.0 pp $43.3M 26,000,000
HELD SNX TD SYNNEX CORPORATION 0.0 % 0.0 % +0.0 pp $43.2M 161,525
HELD ? EVEREST GROUP LTD 0.0 % 0.0 % +0.0 pp $43.0M 120,459
HELD MMED MINIMED GROUP INC 0.0 % 0.0 % +0.0 pp $42.8M 2,865,703
HELD BNO UNITED STS BRENT OIL FD LP 0.0 % 0.0 % +0.0 pp $42.8M 1,051,974
HELD KWEB KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $42.8M 1,748,700
HELD MAS MASCO CORP 0.0 % 0.0 % +0.0 pp $42.7M 524,422
HELD GGG GRACO INC 0.0 % 0.0 % +0.0 pp $42.6M 563,596
HELD DD DUPONT DE NEMOURS INC 0.0 % 0.0 % +0.0 pp $42.6M 314,084
HELD PAYX PAYCHEX INC 0.0 % 0.0 % +0.0 pp $42.5M 432,434
HELD LFUS LITTELFUSE INC 0.0 % 0.0 % +0.0 pp $42.5M 93,243
HELD OHI OMEGA HEALTHCARE INVS INC 0.0 % 0.0 % +0.0 pp $42.4M 890,194
HELD ? AMER SPORTS INC 0.0 % 0.0 % +0.0 pp $42.4M 1,254,097
HELD MSGE MADISON SQUARE GARDEN ENTMT 0.0 % 0.0 % +0.0 pp $42.1M 520,000
HELD ? UNIQURE NV 0.0 % 0.0 % +0.0 pp $41.9M 910,338
HELD XLI SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $41.7M 225,347
HELD BLDR BUILDERS FIRSTSOURCE INC 0.0 % 0.0 % +0.0 pp $41.7M 465,506
HELD KEEL KEEL INFRASTRUCTURE CORP 0.0 % 0.0 % +0.0 pp $41.5M 7,226,220
HELD BZ KANZHUN LIMITED 0.0 % 0.0 % +0.0 pp $41.4M 3,213,259
HELD SF STIFEL FINL CORP 0.0 % 0.0 % +0.0 pp $41.3M 591,404
HELD RAL RALLIANT CORP 0.0 % 0.0 % +0.0 pp $41.1M 558,308
HELD CRI CARTERS INC 0.0 % 0.0 % +0.0 pp $41.1M 997,426
HELD PDD PDD HOLDINGS INC 0.0 % 0.0 % +0.0 pp $40.9M 536,454
HELD ? KLARNA GROUP PLC 0.0 % 0.0 % +0.0 pp $40.9M 2,020,882
HELD LFTO LIFTOFF MOBILE INC 0.0 % 0.0 % +0.0 pp $40.8M 1,697,259
HELD INGR INGREDION INC 0.0 % 0.0 % +0.0 pp $40.6M 428,971
HELD MDU MDU RES GROUP INC 0.0 % 0.0 % +0.0 pp $40.5M 1,909,701
HELD DPST DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $40.5M 286,205
HELD MAN MANPOWERGROUP INC WIS 0.0 % 0.0 % +0.0 pp $40.3M 1,192,925
HELD ? WEBULL CORP 0.0 % 0.0 % +0.0 pp $40.0M 6,128,812
HELD FPS FORGENT POWER SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $39.8M 712,784
HELD CCJ CAMECO CORP 0.0 % 0.0 % +0.0 pp $39.7M 389,851
HELD TROW PRICE T ROWE GROUP INC 0.0 % 0.0 % +0.0 pp $39.3M 345,590
HELD QBTS D-WAVE QUANTUM INC 0.0 % 0.0 % +0.0 pp $39.2M 1,635,086
HELD NSA* NATIONAL STORAGE AFFILIATES 0.0 % 0.0 % +0.0 pp $39.0M 877,701
HELD NN NEXTNAV INC 0.0 % 0.0 % +0.0 pp $39.0M 2,188,090
HELD EFX EQUIFAX INC 0.0 % 0.0 % +0.0 pp $39.0M 245,518
HELD VMC VULCAN MATLS CO 0.0 % 0.0 % +0.0 pp $39.0M 132,061
HELD JAAA JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $38.9M 771,241
HELD AMC AMC ENTMT HLDGS INC 0.0 % 0.0 % +0.0 pp $38.9M 20,465,868
HELD STC STEWART INFORMATION SVCS COR 0.0 % 0.0 % +0.0 pp $38.9M 588,641
HELD KRC KILROY REALTY CORP 0.0 % 0.0 % +0.0 pp $38.7M 1,033,954
HELD INVA 2.125 03/15/28 INNOVIVA INC 0.0 % 0.0 % +0.0 pp $38.7M 36,000,000
HELD LTH LIFE TIME GROUP HOLDINGS INC 0.0 % 0.0 % +0.0 pp $38.7M 946,872
HELD AFL AFLAC INC 0.0 % 0.0 % +0.0 pp $38.6M 329,291
HELD THO THOR INDS INC 0.0 % 0.0 % +0.0 pp $38.6M 513,120
HELD ? VALARIS LTD 0.0 % 0.0 % +0.0 pp $38.6M 531,073
HELD ON 0.5 03/01/29 ON SEMICONDUCTOR CORP 0.0 % 0.0 % +0.0 pp $38.5M 31,900,000
HELD AEHR AEHR TEST SYS 0.0 % 0.0 % +0.0 pp $38.5M 400,732
HELD MRSH MARSH & MCLENNAN COS INC 0.0 % 0.0 % +0.0 pp $38.5M 230,808
HELD FORM FORMFACTOR INC 0.0 % 0.0 % +0.0 pp $38.4M 240,276
HELD BC BRUNSWICK CORP 0.0 % 0.0 % +0.0 pp $38.4M 456,010
HELD MLTX MOONLAKE IMMUNOTHERAPEUTICS 0.0 % 0.0 % +0.0 pp $38.4M 1,972,893
HELD FRT FEDERAL RLTY INVT TR NEW 0.0 % 0.0 % +0.0 pp $38.3M 310,169
HELD KSS KOHLS CORP 0.0 % 0.0 % +0.0 pp $38.0M 2,146,020
HELD USAR USA RARE EARTH INC 0.0 % 0.0 % +0.0 pp $37.9M 1,754,650
HELD BYD BOYD GAMING CORP 0.0 % 0.0 % +0.0 pp $37.7M 427,120
HELD SOLS SOLSTICE ADVANCED MATLS INC 0.0 % 0.0 % +0.0 pp $37.5M 423,529
HELD PURR HYPERLIQUID STRATEGIES INC 0.0 % 0.0 % +0.0 pp $37.2M 4,730,869
HELD TTEK TETRA TECH INC NEW 0.0 % 0.0 % +0.0 pp $37.2M 1,287,534
HELD GERN GERON CORP 0.0 % 0.0 % +0.0 pp $37.2M 29,038,928
HELD VKTX VIKING THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $37.1M 951,515
HELD TMDX TRANSMEDICS GROUP INC 0.0 % 0.0 % +0.0 pp $37.1M 558,824
HELD MIDD MIDDLEBY CORP 0.0 % 0.0 % +0.0 pp $37.0M 215,048
HELD LGIH LGI HOMES INC 0.0 % 0.0 % +0.0 pp $37.0M 580,630
HELD ? ASCENDIS PHARMA A/S 0.0 % 0.0 % +0.0 pp $36.8M 137,889
HELD RCAT RED CAT HLDGS INC 0.0 % 0.0 % +0.0 pp $36.7M 3,441,774
HELD HIVE HIVE DIGITAL TECHNOLOGIES LT 0.0 % 0.0 % +0.0 pp $36.6M 10,065,372
HELD AX AXOS FINANCIAL INC 0.0 % 0.0 % +0.0 pp $36.6M 375,753
HELD DCI DONALDSON INC 0.0 % 0.0 % +0.0 pp $36.2M 403,275
HELD EDU NEW ORIENTAL ED & TECHNOLOGY 0.0 % 0.0 % +0.0 pp $36.1M 786,424
HELD ? GATES INDL CORP PLC 0.0 % 0.0 % +0.0 pp $36.1M 1,290,832
HELD BTSG BRIGHTSPRING HEALTH SVCS INC 0.0 % 0.0 % +0.0 pp $36.1M 517,146
HELD BKR BAKER HUGHES COMPANY 0.0 % 0.0 % +0.0 pp $36.0M 648,912
HELD REGN REGENERON PHARMACEUTICALS 0.0 % 0.0 % +0.0 pp $35.9M 57,604
HELD NRIX NURIX THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $35.8M 1,477,019
HELD CF CF INDUSTRIES HOLD 0.0 % 0.0 % +0.0 pp $35.7M 329,863
HELD RH RH 0.0 % 0.0 % +0.0 pp $35.7M 216,524
HELD WPC WP CAREY INC 0.0 % 0.0 % +0.0 pp $35.6M 497,875
HELD SHC SOTERA HEALTH CO 0.0 % 0.0 % +0.0 pp $35.6M 2,005,163
HELD M MACYS INC 0.0 % 0.0 % +0.0 pp $35.5M 1,509,236
HELD OLED UNIVERSAL DISPLAY CORP 0.0 % 0.0 % +0.0 pp $35.4M 408,756
HELD BRX BRIXMOR PPTY GROUP INC 0.0 % 0.0 % +0.0 pp $35.3M 1,119,330
HELD EL LAUDER ESTEE COS INC 0.0 % 0.0 % +0.0 pp $35.3M 446,702
HELD OKEEUR ONEOK INC NEW 0.0 % 0.0 % +0.0 pp $35.2M 404,910
HELD CG CARLYLE GROUP INC 0.0 % 0.0 % +0.0 pp $35.2M 835,171
HELD NXST NEXSTAR MEDIA GROUP INC 0.0 % 0.0 % +0.0 pp $35.0M 196,187
HELD ? AON PLC 0.0 % 0.0 % +0.0 pp $35.0M 105,569
HELD IRTC 1.5 09/01/29 IRHYTHM HOLDINGS INC 0.0 % 0.0 % +0.0 pp $34.9M 31,580,000
HELD ? ROYAL CARIBBEAN GROUP 0.0 % 0.0 % +0.0 pp $34.9M 109,856
HELD APA APA CORPORATION 0.0 % 0.0 % +0.0 pp $34.9M 1,070,617
HELD ? JAMES HARDIE INDS PLC 0.0 % 0.0 % +0.0 pp $34.8M 1,328,668
HELD OWL BLUE OWL CAPITAL INC 0.0 % 0.0 % +0.0 pp $34.8M 3,974,026
HELD ENPH ENPHASE ENERGY INC 0.0 % 0.0 % +0.0 pp $34.7M 704,923
HELD ? AMRIZE LTD 0.0 % 0.0 % +0.0 pp $34.7M 650,788
HELD PBI PITNEY BOWES INC 0.0 % 0.0 % +0.0 pp $34.7M 1,977,885
HELD AEP AMERICAN ELEC PWR CO INC 0.0 % 0.0 % +0.0 pp $34.5M 252,250
HELD OPCH OPTION CARE HEALTH INC 0.0 % 0.0 % +0.0 pp $34.3M 1,633,556
HELD LNC LINCOLN NATL CORP IND 0.0 % 0.0 % +0.0 pp $34.2M 968,858
HELD QQQ INVESCO QQQ TR 0.0 % 0.0 % +0.0 pp $34.2M 46,426
HELD OLLI OLLIES BARGAIN OUTLET HLDGS 0.0 % 0.0 % +0.0 pp $34.1M 443,728
HELD GNTX GENTEX CORP 0.0 % 0.0 % +0.0 pp $34.1M 1,347,654
HELD BCE BCE INC 0.0 % 0.0 % +0.0 pp $34.0M 1,578,596
HELD BNTX BIONTECH SE 0.0 % 0.0 % +0.0 pp $33.9M 364,585
HELD ? CAMTEK LTD 0.0 % 0.0 % +0.0 pp $33.9M 207,765
HELD UPST UPSTART HLDGS INC 0.0 % 0.0 % +0.0 pp $33.9M 955,585
HELD WHR WHIRLPOOL CORP 0.0 % 0.0 % +0.0 pp $33.6M 853,203
HELD SFNC SIMMONS FIRST NATL CORP 0.0 % 0.0 % +0.0 pp $33.4M 1,476,347
HELD SPG SIMON PPTY GROUP INC NEW 0.0 % 0.0 % +0.0 pp $33.4M 149,374
HELD VLO VALERO ENERGY CORP 0.0 % 0.0 % +0.0 pp $33.4M 128,064
HELD MMS MAXIMUS INC 0.0 % 0.0 % +0.0 pp $33.2M 617,787
HELD LOPE GRAND CANYON ED INC 0.0 % 0.0 % +0.0 pp $33.2M 231,758
HELD ROG ROGERS CORP 0.0 % 0.0 % +0.0 pp $33.1M 202,004
HELD ? APTIV PLC 0.0 % 0.0 % +0.0 pp $33.0M 538,269
HELD JBTM JBT MAREL CORPORATION 0.0 % 0.0 % +0.0 pp $33.0M 227,500
HELD MUR MURPHY OIL CORP 0.0 % 0.0 % +0.0 pp $33.0M 1,012,557
HELD D DOMINION ENERGY INC 0.0 % 0.0 % +0.0 pp $32.9M 482,136
HELD COGT COGENT BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $32.9M 849,694
HELD TER TERADYNE INC 0.0 % 0.0 % +0.0 pp $32.7M 67,515
HELD ? CAPRI HOLDINGS LIMITED 0.0 % 0.0 % +0.0 pp $32.6M 1,758,099
HELD LIVN 2.5 03/15/29 LIVANOVA PLC 0.0 % 0.0 % +0.0 pp $32.6M 24,000,000
HELD ? QIAGEN NV 0.0 % 0.0 % +0.0 pp $32.5M 832,391
HELD LYFT 0.625 03/01/29 LYFT INC 0.0 % 0.0 % +0.0 pp $32.5M 31,000,000
HELD CALY CALLAWAY GOLF CO 0.0 % 0.0 % +0.0 pp $32.4M 1,726,458
HELD DOCS DOXIMITY INC 0.0 % 0.0 % +0.0 pp $32.4M 1,561,482
HELD ? CMB.TECH NV 0.0 % 0.0 % +0.0 pp $32.3M 2,311,168
HELD SPMB SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $32.1M 1,438,482
HELD VTC VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $32.0M 416,368
HELD VRDN 1.75 05/15/32 VIRIDIAN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $32.0M 29,750,000
HELD DLR DIGITAL RLTY TR INC 0.0 % 0.0 % +0.0 pp $31.8M 177,311
HELD NNN NNN REIT INC 0.0 % 0.0 % +0.0 pp $31.7M 680,700
HELD ? CLARIVATE PLC 0.0 % 0.0 % +0.0 pp $31.6M 14,625,532
HELD AVLN AVALYN PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $31.6M 959,098
HELD ABEV AMBEV SA 0.0 % 0.0 % +0.0 pp $31.5M 10,037,912
HELD CRGY CRESCENT ENERGY COMPANY 0.0 % 0.0 % +0.0 pp $31.3M 3,186,604
HELD ? AMCOR PLC 0.0 % 0.0 % +0.0 pp $31.1M 716,957
HELD FLR FLUOR CORP 0.0 % 0.0 % +0.0 pp $31.0M 592,625
HELD LEN LENNAR CORP 0.0 % 0.0 % +0.0 pp $30.9M 341,592
HELD INFQ INFLEQTION INC 0.0 % 0.0 % +0.0 pp $30.9M 2,319,687
HELD WED WEBSTER FINL CORP 0.0 % 0.0 % +0.0 pp $30.9M 404,073
HELD GNRC GENERAC HLDGS INC 0.0 % 0.0 % +0.0 pp $30.8M 105,282
HELD LMND LEMONADE INC 0.0 % 0.0 % +0.0 pp $30.8M 472,837
HELD MAT MATTEL INC 0.0 % 0.0 % +0.0 pp $30.8M 2,215,932
HELD ? CRITICAL METALS CORP 0.0 % 0.0 % +0.0 pp $30.7M 2,999,998
HELD MTB M & T BK CORP 0.0 % 0.0 % +0.0 pp $30.7M 129,162
HELD FCEL FUELCELL ENERGY INC 0.0 % 0.0 % +0.0 pp $30.7M 852,881
HELD HPQ HP INC 0.0 % 0.0 % +0.0 pp $30.7M 1,398,495
HELD AYI ACUITY INC 0.0 % 0.0 % +0.0 pp $30.7M 81,452
HELD BCS BARCLAYS PLC 0.0 % 0.0 % +0.0 pp $30.7M 1,141,147
HELD URI UNITED RENTALS INC 0.0 % 0.0 % +0.0 pp $30.6M 27,019
HELD DLB DOLBY LABORATORIES INC 0.0 % 0.0 % +0.0 pp $30.6M 582,031
HELD DAL DELTA AIR LINES INC 0.0 % 0.0 % +0.0 pp $30.6M 326,727
HELD ONDS ONDAS INC 0.0 % 0.0 % +0.0 pp $30.6M 3,713,296
HELD AWK AMERICAN WTR WKS CO INC NEW 0.0 % 0.0 % +0.0 pp $30.6M 232,322
HELD O REALTY INCOME CORP 0.0 % 0.0 % +0.0 pp $30.4M 490,959
HELD ARQT ARCUTIS BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $30.4M 1,160,014
HELD UNM UNUM GROUP 0.0 % 0.0 % +0.0 pp $30.4M 339,678
HELD BEN FRANKLIN RESOURCES INC 0.0 % 0.0 % +0.0 pp $30.3M 910,401
HELD TRV TRAVELERS COMPANIES INC 0.0 % 0.0 % +0.0 pp $30.3M 91,711
HELD WEC 4.375 06/01/27 WEC ENERGY GROUP INC 0.0 % 0.0 % +0.0 pp $30.3M 25,000,000
HELD AVEX AEVEX CORP 0.0 % 0.0 % +0.0 pp $30.2M 1,445,032
HELD FFIN FIRST FINL BANKSHARES INC 0.0 % 0.0 % +0.0 pp $30.2M 872,153
HELD ATR APTARGROUP INC 0.0 % 0.0 % +0.0 pp $30.2M 240,856
HELD SITM SITIME CORP 0.0 % 0.0 % +0.0 pp $30.1M 40,309
HELD PRU PRUDENTIAL FINL INC 0.0 % 0.0 % +0.0 pp $30.0M 277,903
HELD WLFC 2.5 05/15/31 WILLIS LEASE FIN CORP 0.0 % 0.0 % +0.0 pp $30.0M 27,500,000
HELD PRIM PRIMORIS SVCS CORP 0.0 % 0.0 % +0.0 pp $30.0M 302,368
HELD VFC V F CORP 0.0 % 0.0 % +0.0 pp $29.9M 1,791,995
HELD MCB METROPOLITAN BK HLDG CORP 0.0 % 0.0 % +0.0 pp $29.9M 302,632
HELD OUST OUSTER INC 0.0 % 0.0 % +0.0 pp $29.8M 476,586
HELD HEI/A HEICO CORP NEW 0.0 % 0.0 % +0.0 pp $29.8M 115,484
HELD BIDU BAIDU INC 0.0 % 0.0 % +0.0 pp $29.8M 260,472
HELD MSI MOTOROLA SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $29.7M 71,593
HELD PATK 1.75 12/01/28 PATRICK INDS INC 0.0 % 0.0 % +0.0 pp $29.6M 20,000,000
HELD ? ETORO GROUP LTD 0.0 % 0.0 % +0.0 pp $29.6M 749,047
HELD TGTX TG THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $29.5M 537,170
HELD HIMS HIMS & HERS HEALTH INC 0.0 % 0.0 % +0.0 pp $29.4M 846,936
HELD MCO MOODYS CORP 0.0 % 0.0 % +0.0 pp $29.3M 64,798
HELD PENN PENN ENTERTAINMENT INC 0.0 % 0.0 % +0.0 pp $29.3M 1,372,580
HELD DXC DXC TECHNOLOGY CO 0.0 % 0.0 % +0.0 pp $29.2M 3,304,262
HELD BRK-A BERKSHIRE HATHAWAY INC DEL 0.0 % 0.0 % +0.0 pp $29.2M 39
HELD AVY AVERY DENNISON CORP 0.0 % 0.0 % +0.0 pp $29.1M 179,023
HELD OPEN OPENDOOR TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $28.9M 6,255,419
HELD EPD ENTERPRISE PRODS PARTNERS L 0.0 % 0.0 % +0.0 pp $28.9M 785,731
HELD BLTE BELITE BIO INC 0.0 % 0.0 % +0.0 pp $28.7M 186,168
HELD SKY CHAMPION HOMES INC 0.0 % 0.0 % +0.0 pp $28.6M 324,957
HELD HMC HONDA MOTOR CO LTD 0.0 % 0.0 % +0.0 pp $28.6M 1,053,870
HELD NTNX 0.5 12/15/29 NUTANIX INC 0.0 % 0.0 % +0.0 pp $28.5M 28,940,000
HELD CURB CURBLINE PPTYS CORP 0.0 % 0.0 % +0.0 pp $28.5M 936,701
HELD GTX GARRETT MOTION INC 0.0 % 0.0 % +0.0 pp $28.5M 785,836
HELD PNW PINNACLE WEST CAP CORP 0.0 % 0.0 % +0.0 pp $28.4M 265,831
HELD JKHY HENRY JACK & ASSOC INC 0.0 % 0.0 % +0.0 pp $28.4M 206,360
HELD ALKT ALKAMI TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $28.4M 1,567,060
HELD ? BRIGHTSTAR LOTTERY PLC 0.0 % 0.0 % +0.0 pp $28.3M 2,644,295
HELD PBF PBF ENERGY INC 0.0 % 0.0 % +0.0 pp $28.3M 622,438
HELD EYPT EYEPOINT INC 0.0 % 0.0 % +0.0 pp $28.3M 1,977,610
HELD DGX QUEST DIAGNOSTICS INC 0.0 % 0.0 % +0.0 pp $28.2M 133,211
HELD CTRE CARETRUST REIT INC 0.0 % 0.0 % +0.0 pp $28.2M 699,350
HELD EDV VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $28.2M 433,355
HELD SPXC SPX TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $28.2M 115,033
HELD ? TOWER SEMICONDUCTOR LTD 0.0 % 0.0 % +0.0 pp $28.2M 108,141
HELD SLDB SOLID BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $28.1M 2,815,122
HELD ORIC ORIC PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $28.1M 2,595,299
HELD TFC TRUIST FINL CORP 0.0 % 0.0 % +0.0 pp $28.1M 564,160
HELD EXK ENDEAVOUR SILVER CORP 0.0 % 0.0 % +0.0 pp $28.0M 3,377,507
HELD COIN COINBASE GLOBAL INC 0.0 % 0.0 % +0.0 pp $27.9M 190,509
HELD LWAY LIFEWAY FOODS INC 0.0 % 0.0 % +0.0 pp $27.8M 930,109
HELD BRZE BRAZE INC 0.0 % 0.0 % +0.0 pp $27.7M 1,278,093
HELD JXN JACKSON FINANCIAL INC 0.0 % 0.0 % +0.0 pp $27.7M 270,582
HELD COLD AMERICOLD REALTY TRUST INC 0.0 % 0.0 % +0.0 pp $27.5M 1,752,466
HELD ADSK AUTODESK INC 0.0 % 0.0 % +0.0 pp $27.5M 141,682
HELD SRE SEMPRA 0.0 % 0.0 % +0.0 pp $27.5M 296,960
HELD ? SHARKNINJA INC 0.0 % 0.0 % +0.0 pp $27.5M 180,690
HELD CLMT CALUMET INC 0.0 % 0.0 % +0.0 pp $27.5M 762,084
HELD LYFT LYFT INC 0.0 % 0.0 % +0.0 pp $27.4M 1,873,272
HELD ? VERSIGENT PLC 0.0 % 0.0 % +0.0 pp $27.4M 651,264
HELD GEO GEO GROUP INC 0.0 % 0.0 % +0.0 pp $27.2M 920,251
HELD AGIO AGIOS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $27.2M 732,687
HELD DBX 0 03/01/28 DROPBOX INC 0.0 % 0.0 % +0.0 pp $27.0M 26,679,000
HELD ALM ALMONTY INDS INC 0.0 % 0.0 % +0.0 pp $26.8M 1,620,010
HELD RLI RLI CORP 0.0 % 0.0 % +0.0 pp $26.8M 453,929
HELD ? TE CONNECTIVITY PLC 0.0 % 0.0 % +0.0 pp $26.8M 132,834
HELD CPNG COUPANG INC 0.0 % 0.0 % +0.0 pp $26.8M 1,541,481
HELD GXO GXO LOGISTICS INCORPORATED 0.0 % 0.0 % +0.0 pp $26.8M 528,004
HELD BJ BJS WHSL CLUB HLDGS INC 0.0 % 0.0 % +0.0 pp $26.8M 306,705
HELD COLM COLUMBIA SPORTSWEAR CO 0.0 % 0.0 % +0.0 pp $26.7M 431,658
HELD IHG INTERCONTINENTAL HOTELS GROU 0.0 % 0.0 % +0.0 pp $26.7M 154,135
HELD PBH PRESTIGE CONSMR HEALTHCARE I 0.0 % 0.0 % +0.0 pp $26.7M 564,157
HELD ANAB ANAPTYSBIO INC 0.0 % 0.0 % +0.0 pp $26.6M 394,373
HELD WAB WABTEC 0.0 % 0.0 % +0.0 pp $26.6M 98,518
HELD AXON AXON ENTERPRISE INC 0.0 % 0.0 % +0.0 pp $26.5M 47,359
HELD ? ALCON AG 0.0 % 0.0 % +0.0 pp $26.5M 395,485
HELD FBK FB FINL CORP 0.0 % 0.0 % +0.0 pp $26.5M 479,239
HELD OIH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $26.5M 71,193
HELD PPLI PEOPLE INC 0.0 % 0.0 % +0.0 pp $26.5M 573,184
HELD ? ARCH CAP GROUP LTD 0.0 % 0.0 % +0.0 pp $26.4M 272,262
HELD ALL ALLSTATE CORP 0.0 % 0.0 % +0.0 pp $26.4M 111,023
HELD AAON AAON INC 0.0 % 0.0 % +0.0 pp $26.3M 207,646
HELD APAM ARTISAN PARTNERS ASSET MGMT 0.0 % 0.0 % +0.0 pp $26.3M 760,422
HELD TNDM TANDEM DIABETES CARE INC 0.0 % 0.0 % +0.0 pp $26.2M 1,735,879
HELD HDB HDFC BANK LTD 0.0 % 0.0 % +0.0 pp $26.2M 1,013,232
HELD ? JANUS HENDERSON GROUP PLC 0.0 % 0.0 % +0.0 pp $26.1M 503,019
HELD ITA ISHARES TR 0.0 % 0.0 % +0.0 pp $26.1M 107,690
HELD OTF BLUE OWL TECHNOLOGY FIN CORP 0.0 % 0.0 % +0.0 pp $26.1M 2,521,978
HELD ZBIO 2.5 04/01/32 ZENAS BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $26.0M 21,705,000
HELD CNK CINEMARK HLDGS INC 0.0 % 0.0 % +0.0 pp $25.9M 816,339
HELD RJF RAYMOND JAMES FINL INC 0.0 % 0.0 % +0.0 pp $25.8M 169,801
HELD ? ICON PUB LTD CO 0.0 % 0.0 % +0.0 pp $25.8M 148,573
HELD PCG 4.25 12/01/27 PG&E CORP 0.0 % 0.0 % +0.0 pp $25.6M 25,000,000
HELD MAZE MAZE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $25.4M 852,676
HELD HTHT H WORLD GROUP LTD 0.0 % 0.0 % +0.0 pp $25.4M 609,778
HELD GT GOODYEAR TIRE & RUBR CO 0.0 % 0.0 % +0.0 pp $25.4M 3,854,069
HELD AJG GALLAGHER ARTHUR J & CO 0.0 % 0.0 % +0.0 pp $25.4M 110,798
HELD DYN DYNE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $25.4M 1,143,958
HELD ? CRISPR THERAPEUTICS AG 0.0 % 0.0 % +0.0 pp $25.4M 465,796
HELD MKC MCCORMICK & CO INC 0.0 % 0.0 % +0.0 pp $25.4M 503,131
HELD VOYA VOYA FINANCIAL INC 0.0 % 0.0 % +0.0 pp $25.3M 279,724
HELD CWH CAMPING WORLD HLDGS INC 0.0 % 0.0 % +0.0 pp $25.2M 3,301,221
HELD WMG WARNER MUSIC GROUP CORP 0.0 % 0.0 % +0.0 pp $25.2M 930,130
HELD SMMT SUMMIT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $25.1M 1,725,716
HELD AZO AUTOZONE INC 0.0 % 0.0 % +0.0 pp $25.0M 7,834
HELD PSKY PARAMOUNT SKYDANCE CORP 0.0 % 0.0 % +0.0 pp $25.0M 2,537,468
HELD TE 5.25 12/01/30 T1 ENERGY INC 0.0 % 0.0 % +0.0 pp $24.9M 14,500,000
HELD GGAL GRUPO FINANCIERO GALICIA S.A 0.0 % 0.0 % +0.0 pp $24.9M 497,889
HELD ENSG ENSIGN GROUP INC 0.0 % 0.0 % +0.0 pp $24.9M 155,246
HELD SNXX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $24.8M 588,795
HELD CAVA CAVA GROUP INC 0.0 % 0.0 % +0.0 pp $24.7M 314,850
HELD ZTO ZTO EXPRESS CAYMAN INC 0.0 % 0.0 % +0.0 pp $24.5M 1,096,684
HELD MDY STATE STR SPDR S&P MIDCAP 40 0.0 % 0.0 % +0.0 pp $24.4M 34,729
HELD ZLAB ZAI LAB LTD 0.0 % 0.0 % +0.0 pp $24.4M 1,284,706
HELD NLR VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $24.4M 210,398
HELD BAND BANDWIDTH INC 0.0 % 0.0 % +0.0 pp $24.2M 382,961
HELD ? WIX COM LTD 0.0 % 0.0 % +0.0 pp $24.1M 531,688
HELD ? BIOHAVEN LTD 0.0 % 0.0 % +0.0 pp $24.1M 1,619,676
HELD PAGP PLAINS GP HLDGS L P 0.0 % 0.0 % +0.0 pp $24.0M 989,667
HELD QS QUANTUMSCAPE CORP 0.0 % 0.0 % +0.0 pp $23.9M 3,167,859
HELD ESS ESSEX PPTY TR INC 0.0 % 0.0 % +0.0 pp $23.9M 82,041
HELD HHH HOWARD HUGHES HOLDINGS INC 0.0 % 0.0 % +0.0 pp $23.9M 334,562
HELD ZYME ZYMEWORKS INC 0.0 % 0.0 % +0.0 pp $23.9M 914,136
HELD ROK ROCKWELL AUTOMATION INC 0.0 % 0.0 % +0.0 pp $23.8M 47,991
HELD JEF JEFFERIES FINANCIAL GROUP IN 0.0 % 0.0 % +0.0 pp $23.7M 474,843
HELD ? IREN LIMITED 0.0 % 0.0 % +0.0 pp $23.7M 518,526
HELD BEPC BROOKFIELD RENEWABLE CORP 0.0 % 0.0 % +0.0 pp $23.6M 634,999
HELD FNV FRANCO NEV CORP 0.0 % 0.0 % +0.0 pp $23.5M 112,927
HELD MFC MANULIFE FINL CORP 0.0 % 0.0 % +0.0 pp $23.5M 580,558
HELD RVLV REVOLVE GROUP INC 0.0 % 0.0 % +0.0 pp $23.5M 1,026,687
HELD PHM PULTE GROUP INC 0.0 % 0.0 % +0.0 pp $23.5M 171,178
HELD FTS FORTIS INC 0.0 % 0.0 % +0.0 pp $23.5M 410,117
HELD HTFL HEARTFLOW INC 0.0 % 0.0 % +0.0 pp $23.5M 799,883
HELD FUN SIX FLAGS ENTERTAINMENT CORP 0.0 % 0.0 % +0.0 pp $23.4M 1,099,697
HELD BEKE KE HLDGS INC 0.0 % 0.0 % +0.0 pp $23.4M 1,611,288
HELD PSUS PERSHING SQUARE USA LTD 0.0 % 0.0 % +0.0 pp $23.4M 625,920
HELD ITUB ITAU UNIBANCO HLDG S A 0.0 % 0.0 % +0.0 pp $23.3M 2,846,191
HELD AMPX AMPRIUS TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $23.2M 1,676,344
HELD ETSY 1 06/15/30 ETSY INC 0.0 % 0.0 % +0.0 pp $23.2M 20,000,000
HELD NUGO NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $23.2M 535,468
HELD NWSA NEWS CORP NEW 0.0 % 0.0 % +0.0 pp $23.2M 932,698
HELD AOS SMITH A O CORP 0.0 % 0.0 % +0.0 pp $23.0M 367,207
HELD REG REGENCY CTRS CORP 0.0 % 0.0 % +0.0 pp $23.0M 288,814
HELD GME 0 04/01/30 GAMESTOP CORP 0.0 % 0.0 % +0.0 pp $23.0M 22,500,000
HELD OZK BANK OZK LITTLE ROCK ARK 0.0 % 0.0 % +0.0 pp $23.0M 440,728
HELD GDX VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $22.9M 303,184
HELD SCHI SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $22.8M 1,008,679
HELD ? DEUTSCHE BK AG 0.0 % 0.0 % +0.0 pp $22.8M 675,474
HELD QUAL ISHARES TR 0.0 % 0.0 % +0.0 pp $22.8M 103,867
HELD CCC CCC INTELLIGENT SOLUTIONS HL 0.0 % 0.0 % +0.0 pp $22.8M 4,415,385
HELD GAP GAP INC 0.0 % 0.0 % +0.0 pp $22.7M 1,215,536
HELD HXL HEXCEL CORP NEW 0.0 % 0.0 % +0.0 pp $22.7M 226,800
HELD UGI UGI CORP NEW 0.0 % 0.0 % +0.0 pp $22.7M 655,895
HELD PTRN PATTERN GROUP INC 0.0 % 0.0 % +0.0 pp $22.6M 898,691
HELD VG VENTURE GLOBAL INC 0.0 % 0.0 % +0.0 pp $22.6M 2,033,759
HELD HRL HORMEL FOODS CORP 0.0 % 0.0 % +0.0 pp $22.6M 911,774
HELD HALO HALOZYME THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $22.6M 289,090
HELD IP INTERNATIONAL PAPER CO 0.0 % 0.0 % +0.0 pp $22.6M 593,259
HELD INSP INSPIRE MED SYS INC 0.0 % 0.0 % +0.0 pp $22.6M 506,334
HELD LGOV FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $22.5M 1,052,410
HELD GL GLOBE LIFE INC 0.0 % 0.0 % +0.0 pp $22.4M 125,122
HELD PFGC PERFORMANCE FOOD GROUP CO 0.0 % 0.0 % +0.0 pp $22.4M 199,947
HELD ORI OLD REP INTL CORP 0.0 % 0.0 % +0.0 pp $22.3M 544,708
HELD RXO RXO INC 0.0 % 0.0 % +0.0 pp $22.3M 807,076
HELD EWZ ISHARES INC 0.0 % 0.0 % +0.0 pp $22.2M 644,853
HELD ACIW ACI WORLDWIDE INC 0.0 % 0.0 % +0.0 pp $22.2M 441,204
HELD MTD METTLER TOLEDO INTERNATIONAL 0.0 % 0.0 % +0.0 pp $22.2M 17,357
HELD NMIH NMI HLDGS INC 0.0 % 0.0 % +0.0 pp $22.2M 539,325
HELD MEOH METHANEX CORP 0.0 % 0.0 % +0.0 pp $22.0M 477,670
HELD MTG MGIC INVT CORP WIS 0.0 % 0.0 % +0.0 pp $22.0M 781,710
HELD FITB FIFTH THIRD BANCORP 0.0 % 0.0 % +0.0 pp $22.0M 390,883
HELD LCLN LINCOLN INTL INC 0.0 % 0.0 % +0.0 pp $22.0M 922,880
HELD QFIN QFIN HOLDINGS INC 0.0 % 0.0 % +0.0 pp $22.0M 1,391,208
HELD PAA PLAINS ALL AMERN PIPELINE L 0.0 % 0.0 % +0.0 pp $22.0M 987,394
HELD SE SEA LTD 0.0 % 0.0 % +0.0 pp $21.9M 228,704
HELD UBSI UNITED BANKSHARES INC WEST V 0.0 % 0.0 % +0.0 pp $21.9M 477,973
HELD YSWY YESWAY INC 0.0 % 0.0 % +0.0 pp $21.9M 1,079,044
HELD ? NEWAMSTERDAM PHARMA COMPANY 0.0 % 0.0 % +0.0 pp $21.9M 645,805
HELD ? TEEKAY TANKERS LTD 0.0 % 0.0 % +0.0 pp $21.9M 337,335
HELD MGM MGM RESORTS INTERNATIONAL 0.0 % 0.0 % +0.0 pp $21.9M 457,615
HELD BXDC BLACKSTONE DIGITAL INFRASTRU 0.0 % 0.0 % +0.0 pp $21.8M 1,010,000
HELD EROC EROCK INC 0.0 % 0.0 % +0.0 pp $21.8M 1,505,997
HELD MMSI 3 02/01/29 MERIT MED SYS INC 0.0 % 0.0 % +0.0 pp $21.8M 20,182,000
HELD EUFN ISHARES TR 0.0 % 0.0 % +0.0 pp $21.7M 557,434
HELD PSA PUBLIC STORAGE 0.0 % 0.0 % +0.0 pp $21.7M 68,141
HELD CVBF CVB FINL CORP 0.0 % 0.0 % +0.0 pp $21.7M 961,835
HELD AROC ARCHROCK INC 0.0 % 0.0 % +0.0 pp $21.7M 532,662
HELD ARW ARROW ELECTRS INC 0.0 % 0.0 % +0.0 pp $21.7M 101,539
HELD HUBB HUBBELL INC 0.0 % 0.0 % +0.0 pp $21.7M 41,404
HELD MATX MATSON INC 0.0 % 0.0 % +0.0 pp $21.6M 112,313
HELD LVS LAS VEGAS SANDS CORP 0.0 % 0.0 % +0.0 pp $21.4M 462,249
HELD ATEC ALPHATEC HLDGS INC 0.0 % 0.0 % +0.0 pp $21.3M 2,461,400
HELD PK PARK HOTELS & RESORTS INC 0.0 % 0.0 % +0.0 pp $21.3M 1,493,020
HELD ? FERROVIAL NV 0.0 % 0.0 % +0.0 pp $21.2M 309,013
HELD FIXD FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $21.2M 485,591
HELD ORA ORMAT TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $21.2M 194,444
HELD PLXS PLEXUS CORP 0.0 % 0.0 % +0.0 pp $21.2M 70,417
HELD KBR KBR INC 0.0 % 0.0 % +0.0 pp $21.1M 611,971
HELD FSLR FIRST SOLAR INC 0.0 % 0.0 % +0.0 pp $21.1M 89,345
HELD SLAB SILICON LABORATORIES INC 0.0 % 0.0 % +0.0 pp $21.1M 96,442
HELD CELH CELSIUS HLDGS INC 0.0 % 0.0 % +0.0 pp $21.1M 719,636
HELD CSGP COSTAR GROUP INC 0.0 % 0.0 % +0.0 pp $21.0M 741,898
HELD ALLO ALLOGENE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $21.0M 10,087,770
HELD ELMT ELMET GROUP CO (THE) 0.0 % 0.0 % +0.0 pp $21.0M 1,062,072
HELD SWX SOUTHWEST GAS HLDGS INC 0.0 % 0.0 % +0.0 pp $21.0M 236,396
HELD FAS DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $21.0M 142,418
HELD AKR ACADIA RLTY TR 0.0 % 0.0 % +0.0 pp $21.0M 1,002,396
HELD WLTH WEALTHFRONT CORP 0.0 % 0.0 % +0.0 pp $20.9M 2,336,419
HELD DAN DANA INC 0.0 % 0.0 % +0.0 pp $20.9M 767,374
HELD STN STANTEC INC 0.0 % 0.0 % +0.0 pp $20.8M 301,457
HELD NVDL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $20.7M 695,545
HELD MOS MOSAIC CO 0.0 % 0.0 % +0.0 pp $20.7M 978,462
HELD BFAM BRIGHT HORIZONS FAM SOL IN D 0.0 % 0.0 % +0.0 pp $20.7M 291,904
HELD JBIO JADE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $20.7M 929,407
HELD EMN EASTMAN CHEM CO 0.0 % 0.0 % +0.0 pp $20.6M 308,256
HELD MRNA MODERNA INC 0.0 % 0.0 % +0.0 pp $20.6M 294,496
HELD GIB CGI INC 0.0 % 0.0 % +0.0 pp $20.6M 319,041
HELD TXNM TXNM ENERGY INC 0.0 % 0.0 % +0.0 pp $20.6M 362,001
HELD LYG LLOYDS BANKING GROUP PLC 0.0 % 0.0 % +0.0 pp $20.5M 3,524,847
HELD SOFI SOFI TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $20.5M 1,145,775
HELD CELC 0.25 08/01/32 CELCUITY INC 0.0 % 0.0 % +0.0 pp $20.5M 18,000,000
HELD NTNX NUTANIX INC 0.0 % 0.0 % +0.0 pp $20.5M 402,208
HELD ? ACCELERANT HOLDINGS 0.0 % 0.0 % +0.0 pp $20.5M 1,747,985
HELD PATH UIPATH INC 0.0 % 0.0 % +0.0 pp $20.5M 1,884,306
HELD IDXX IDEXX LABS INC 0.0 % 0.0 % +0.0 pp $20.5M 38,846
HELD EPRT ESSENTIAL PPTYS RLTY TR INC 0.0 % 0.0 % +0.0 pp $20.4M 684,510
HELD BALL BALL CORP 0.0 % 0.0 % +0.0 pp $20.4M 326,783
HELD REAL THE REALREAL INC 0.0 % 0.0 % +0.0 pp $20.4M 1,726,164
HELD HRB BLOCK H & R INC 0.0 % 0.0 % +0.0 pp $20.3M 534,124
HELD CVNA CARVANA CO 0.0 % 0.0 % +0.0 pp $20.3M 308,928
HELD ? XP INC 0.0 % 0.0 % +0.0 pp $20.3M 1,247,431
HELD AADX APPLIED AEROSPACE & DEFENSE 0.0 % 0.0 % +0.0 pp $20.3M 889,500
HELD TBBK BANCORP INC DEL 0.0 % 0.0 % +0.0 pp $20.3M 323,387
HELD AVPT AVEPOINT INC 0.0 % 0.0 % +0.0 pp $20.3M 1,807,042
HELD OR OR ROYALTIES INC. 0.0 % 0.0 % +0.0 pp $20.3M 640,299
HELD KRG KITE REALTY GROUP TRUST 0.0 % 0.0 % +0.0 pp $20.2M 711,996
HELD PEB PEBBLEBROOK HOTEL TR 0.0 % 0.0 % +0.0 pp $20.0M 1,032,301
HELD BBOT BRIDGEBIO ONCOLOGY THERAPEUT 0.0 % 0.0 % +0.0 pp $19.9M 2,617,827
HELD FDXF FEDEX FGHT HLDG CO INC 0.0 % 0.0 % +0.0 pp $19.9M 132,063
HELD GLNG 2.75 12/15/30 GOLAR LNG LTD 0.0 % 0.0 % +0.0 pp $19.9M 17,500,000
HELD SBET SHARPLINK INC 0.0 % 0.0 % +0.0 pp $19.9M 4,151,084
HELD MKL MARKEL GROUP INC 0.0 % 0.0 % +0.0 pp $19.9M 10,177
HELD MGA MAGNA INTL INC 0.0 % 0.0 % +0.0 pp $19.9M 302,663
HELD BBAI BIGBEAR AI HLDGS INC 0.0 % 0.0 % +0.0 pp $19.7M 5,379,946
HELD WING WINGSTOP INC 0.0 % 0.0 % +0.0 pp $19.7M 113,386
HELD GPI GROUP 1 AUTOMOTIVE INC 0.0 % 0.0 % +0.0 pp $19.6M 67,408
HELD CAPR CAPRICOR THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $19.6M 814,444
HELD GTLB GITLAB INC 0.0 % 0.0 % +0.0 pp $19.6M 641,846
HELD AVAH AVEANNA HEALTHCARE HLDGS INC 0.0 % 0.0 % +0.0 pp $19.6M 2,285,756
HELD VNT VONTIER CORPORATION 0.0 % 0.0 % +0.0 pp $19.6M 674,348
HELD CCCC C4 THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $19.6M 4,187,580
HELD TRS TRIMAS CORP 0.0 % 0.0 % +0.0 pp $19.5M 432,376
HELD EOSE EOS ENERGY ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $19.5M 3,310,130
HELD RSI RUSH STREET INTERACTIVE INC 0.0 % 0.0 % +0.0 pp $19.5M 654,126
HELD VRNS VARONIS SYS INC 0.0 % 0.0 % +0.0 pp $19.5M 463,597
HELD SLDE SLIDE INS HLDGS INC 0.0 % 0.0 % +0.0 pp $19.4M 1,003,348
HELD JEPQ J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $19.4M 315,184
HELD AMRX AMNEAL PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $19.4M 1,118,715
HELD TOWN TOWNEBANK PORTSMOUTH VA 0.0 % 0.0 % +0.0 pp $19.3M 533,206
HELD COLO GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $19.3M 462,652
HELD MTRN MATERION CORP 0.0 % 0.0 % +0.0 pp $19.3M 64,753
HELD DEC DIVERSIFIED ENERGY CO 0.0 % 0.0 % +0.0 pp $19.2M 1,388,337
HELD COAG HEMAB THERAPEUTICS HLDGS INC 0.0 % 0.0 % +0.0 pp $19.2M 523,450
HELD CM CANADIAN IMPERIAL BANK OF CO 0.0 % 0.0 % +0.0 pp $19.1M 166,107
HELD ? AMDOCS LTD 0.0 % 0.0 % +0.0 pp $19.1M 377,939
HELD EWTX EDGEWISE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $19.1M 469,707
HELD BSJQ INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $19.1M 830,303
HELD WMS ADVANCED DRAIN SYS INC DEL 0.0 % 0.0 % +0.0 pp $18.9M 120,446
HELD ? ESSENT GROUP LTD 0.0 % 0.0 % +0.0 pp $18.9M 293,653
HELD AVT AVNET INC 0.0 % 0.0 % +0.0 pp $18.9M 212,387
HELD PMT PENNYMAC MTG INVT TR 0.0 % 0.0 % +0.0 pp $18.9M 1,672,282
HELD Z ZILLOW GROUP INC 0.0 % 0.0 % +0.0 pp $18.8M 595,148
HELD IONS IONIS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $18.7M 236,284
HELD AORT ARTIVION INC 0.0 % 0.0 % +0.0 pp $18.6M 827,594
HELD BCO BRINKS CO 0.0 % 0.0 % +0.0 pp $18.6M 196,492
HELD ALLY ALLY FINL INC 0.0 % 0.0 % +0.0 pp $18.5M 401,936
HELD FIGS FIGS INC 0.0 % 0.0 % +0.0 pp $18.5M 1,805,105
HELD JANX JANUX THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $18.4M 1,200,737
HELD ? IMMATICS N.V 0.0 % 0.0 % +0.0 pp $18.4M 1,814,657
HELD CLSK CLEANSPARK INC 0.0 % 0.0 % +0.0 pp $18.4M 1,261,278
HELD BHP BHP BILLITON LIMITED 0.0 % 0.0 % +0.0 pp $18.3M 219,987
HELD SRRK SCHOLAR ROCK HLDG CORP 0.0 % 0.0 % +0.0 pp $18.3M 331,851
HELD CCB COASTAL FINL CORP WA 0.0 % 0.0 % +0.0 pp $18.2M 235,224
HELD COHU COHU INC 0.0 % 0.0 % +0.0 pp $18.1M 245,544
HELD LXEO LEXEO THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $18.1M 3,898,570
HELD CIFR CIPHER DIGITAL INC 0.0 % 0.0 % +0.0 pp $18.1M 740,224
HELD VIPS VIPSHOP HLDGS LTD 0.0 % 0.0 % +0.0 pp $18.1M 1,366,112
HELD BOOT BOOT BARN HLDGS INC 0.0 % 0.0 % +0.0 pp $18.1M 110,009
HELD CSL CARLISLE COS INC 0.0 % 0.0 % +0.0 pp $18.0M 49,659
HELD FANG DIAMONDBACK ENERGY INC 0.0 % 0.0 % +0.0 pp $18.0M 102,425
HELD ROAD CONSTRUCTION PARTNERS INC 0.0 % 0.0 % +0.0 pp $18.0M 151,556
HELD IMCR IMMUNOCORE HLDGS PLC 0.0 % 0.0 % +0.0 pp $18.0M 566,761
HELD BDX BECTON DICKINSON & CO 0.0 % 0.0 % +0.0 pp $18.0M 118,843
HELD RLJ RLJ LODGING TR 0.0 % 0.0 % +0.0 pp $18.0M 1,515,542
HELD PJT PJT PARTNERS INC 0.0 % 0.0 % +0.0 pp $18.0M 118,935
HELD PTEN PATTERSON-UTI ENERGY INC 0.0 % 0.0 % +0.0 pp $17.9M 1,949,857
HELD ACA ARCOSA INC 0.0 % 0.0 % +0.0 pp $17.9M 123,033
HELD BIO BIO RAD LABS INC 0.0 % 0.0 % +0.0 pp $17.9M 60,819
HELD FTRE FORTREA HLDGS INC 0.0 % 0.0 % +0.0 pp $17.8M 1,023,010
HELD DGRO ISHARES TR 0.0 % 0.0 % +0.0 pp $17.7M 234,139
HELD KVYO KLAVIYO INC 0.0 % 0.0 % +0.0 pp $17.7M 1,172,112
HELD SG SWEETGREEN INC 0.0 % 0.0 % +0.0 pp $17.7M 2,006,229
HELD HAPN HAPPEN INC 0.0 % 0.0 % +0.0 pp $17.7M 852,068
HELD PPTA PERPETUA RESOURCES CORP 0.0 % 0.0 % +0.0 pp $17.7M 850,595
HELD SNA SNAP ON INC 0.0 % 0.0 % +0.0 pp $17.7M 43,878
HELD PL PLANET LABS PBC 0.0 % 0.0 % +0.0 pp $17.6M 532,659
HELD EPAC ENERPAC TOOL GROUP CORP 0.0 % 0.0 % +0.0 pp $17.6M 491,740
HELD UCO PROSHARES TR II 0.0 % 0.0 % +0.0 pp $17.6M 534,702
HELD FCF FIRST COMWLTH FINL CORP PA 0.0 % 0.0 % +0.0 pp $17.6M 866,373
HELD U UNITY SOFTWARE INC 0.0 % 0.0 % +0.0 pp $17.6M 615,901
HELD EEMA ISHARES INC 0.0 % 0.0 % +0.0 pp $17.6M 150,499
HELD ADT ADT INC DEL 0.0 % 0.0 % +0.0 pp $17.6M 2,707,328
HELD BCRX BIOCRYST PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $17.6M 1,759,160
HELD JBL JABIL INC 0.0 % 0.0 % +0.0 pp $17.5M 45,503
HELD NUGT DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $17.5M 149,417
HELD XLB SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $17.4M 342,617
HELD FDN FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $17.4M 65,747
HELD PLSE PULSE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $17.4M 626,514
HELD EXTR EXTREME NETWORKS INC 0.0 % 0.0 % +0.0 pp $17.3M 534,750
HELD CXW CORECIVIC INC 0.0 % 0.0 % +0.0 pp $17.3M 568,196
HELD LPTH LIGHTPATH TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $17.3M 1,055,755
HELD ? TORM PLC 0.0 % 0.0 % +0.0 pp $17.2M 659,415
HELD NWG NATWEST GROUP PLC 0.0 % 0.0 % +0.0 pp $17.2M 974,542
HELD IBIT ISHARES BITCOIN TRUST ETF 0.0 % 0.0 % +0.0 pp $17.1M 514,614
HELD TLK TELEKOMUNIKASI IND 0.0 % 0.0 % +0.0 pp $17.1M 1,274,486
HELD BDC BELDEN INC 0.0 % 0.0 % +0.0 pp $17.1M 142,334
HELD ? NOVA LTD 0.0 % 0.0 % +0.0 pp $17.0M 31,377
HELD FUTU FUTU HLDGS LTD 0.0 % 0.0 % +0.0 pp $17.0M 181,688
HELD TENB TENABLE HLDGS INC 0.0 % 0.0 % +0.0 pp $17.0M 461,088
HELD WK WORKIVA INC 0.0 % 0.0 % +0.0 pp $17.0M 349,937
HELD FLRN SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $16.9M 549,371
HELD CLYM CLIMB BIO INC 0.0 % 0.0 % +0.0 pp $16.9M 1,297,972
HELD CRCL CIRCLE INTERNET GROUP INC 0.0 % 0.0 % +0.0 pp $16.9M 270,180
HELD JIRE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $16.9M 204,582
HELD QINT AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $16.9M 243,067
HELD LMB LIMBACH HLDGS INC 0.0 % 0.0 % +0.0 pp $16.9M 218,928
HELD BSOL BITWISE SOLANA STAKING ETF 0.0 % 0.0 % +0.0 pp $16.8M 1,682,561
HELD IWO ISHARES TR 0.0 % 0.0 % +0.0 pp $16.8M 42,676
HELD DPZ DOMINOS PIZZA INC 0.0 % 0.0 % +0.0 pp $16.8M 56,759
HELD CZR CAESARS ENTERTAINMENT INC NE 0.0 % 0.0 % +0.0 pp $16.8M 555,423
HELD NUVB 0.75 07/01/32 NUVATION BIO INC 0.0 % 0.0 % +0.0 pp $16.7M 16,000,000
HELD GPK GRAPHIC PACKAGING HLDG CO 0.0 % 0.0 % +0.0 pp $16.7M 1,583,537
HELD WWW WOLVERINE WORLD WIDE INC 0.0 % 0.0 % +0.0 pp $16.7M 1,012,410
HELD MAA MID-AMER APT CMNTYS INC 0.0 % 0.0 % +0.0 pp $16.7M 120,218
HELD ? UBS GROUP AG 0.0 % 0.0 % +0.0 pp $16.7M 336,523
HELD PBA PEMBINA PIPELINE CORP 0.0 % 0.0 % +0.0 pp $16.7M 360,062
HELD BKD BROOKDALE SR LIVING INC 0.0 % 0.0 % +0.0 pp $16.6M 1,034,020
HELD MTSI MACOM TECH SOLUTIONS HLDGS I 0.0 % 0.0 % +0.0 pp $16.6M 43,699
HELD LNT ALLIANT ENERGY CORP 0.0 % 0.0 % +0.0 pp $16.6M 217,500
HELD DNN DENISON MINES CORP 0.0 % 0.0 % +0.0 pp $16.5M 5,388,091
HELD ? COPA HOLDINGS SA 0.0 % 0.0 % +0.0 pp $16.5M 105,864
HELD PPC PILGRIMS PRIDE CORP 0.0 % 0.0 % +0.0 pp $16.4M 585,065
HELD AI C3 AI INC 0.0 % 0.0 % +0.0 pp $16.4M 1,809,037
HELD IWD ISHARES TR 0.0 % 0.0 % +0.0 pp $16.4M 67,594
HELD BTG B2GOLD CORP 0.0 % 0.0 % +0.0 pp $16.4M 4,374,047
HELD BLCO BAUSCH PLUS LOMB CORP 0.0 % 0.0 % +0.0 pp $16.4M 987,730
HELD GWRE GUIDEWIRE SOFTWARE INC 0.0 % 0.0 % +0.0 pp $16.3M 132,360
HELD CCOI COGENT COMM HOLDINGS INC 0.0 % 0.0 % +0.0 pp $16.3M 1,172,541
HELD INCY INCYTE CORP 0.0 % 0.0 % +0.0 pp $16.3M 143,509
HELD UE URBAN EDGE PPTYS 0.0 % 0.0 % +0.0 pp $16.2M 708,725
HELD LMAT 2.5 02/01/30 LEMAITRE VASCULAR INC 0.0 % 0.0 % +0.0 pp $16.2M 15,250,000
HELD CW CURTISS WRIGHT CORP 0.0 % 0.0 % +0.0 pp $16.1M 21,297
HELD SII SPROTT INC 0.0 % 0.0 % +0.0 pp $16.1M 143,541
HELD EIX EDISON INTL 0.0 % 0.0 % +0.0 pp $16.1M 216,330
HELD TAP MOLSON COORS BEVERAGE CO 0.0 % 0.0 % +0.0 pp $16.1M 413,204
HELD CNO CNO FINL GROUP INC 0.0 % 0.0 % +0.0 pp $16.1M 315,322
HELD BOH BANK HAWAII CORP 0.0 % 0.0 % +0.0 pp $16.1M 197,102
HELD UWMC UWM HOLDINGS CORPORATION 0.0 % 0.0 % +0.0 pp $16.1M 7,011,042
HELD AMH AMERICAN HOMES 4 RENT 0.0 % 0.0 % +0.0 pp $16.1M 478,920
HELD STOK STOKE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $16.0M 489,301
HELD VTIP VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $16.0M 318,383
HELD NVAX NOVAVAX INC 0.0 % 0.0 % +0.0 pp $16.0M 1,695,313
HELD SPHB INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $15.9M 102,271
HELD JMBS JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $15.9M 353,394
HELD FJET STARFIGHTERS SPACE INC 0.0 % 0.0 % +0.0 pp $15.9M 2,985,074
HELD SPXL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $15.8M 58,538
HELD HBAN HUNTINGTON BANCSHARES INC 0.0 % 0.0 % +0.0 pp $15.8M 891,340
HELD SEI SOLARIS ENERGY INFRAS INC 0.0 % 0.0 % +0.0 pp $15.8M 196,383
HELD VDE VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $15.8M 105,222
HELD FE FIRSTENERGY CORP 0.0 % 0.0 % +0.0 pp $15.7M 331,146
HELD HLN HALEON PLC 0.0 % 0.0 % +0.0 pp $15.5M 1,663,132
HELD SKYW SKYWEST INC 0.0 % 0.0 % +0.0 pp $15.5M 155,771
HELD CAKE CHEESECAKE FACTORY INC 0.0 % 0.0 % +0.0 pp $15.4M 194,066
HELD CHYM CHIME FINL INC 0.0 % 0.0 % +0.0 pp $15.4M 750,530
HELD VICI VICI PPTYS INC 0.0 % 0.0 % +0.0 pp $15.4M 578,543
HELD ERX DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $15.4M 201,503
HELD IRON DISC MEDICINE INC 0.0 % 0.0 % +0.0 pp $15.3M 209,308
HELD HROW HARROW INC 0.0 % 0.0 % +0.0 pp $15.3M 359,874
HELD NOV NOV INC 0.0 % 0.0 % +0.0 pp $15.3M 822,575
HELD TEAM ATLASSIAN CORPORATION 0.0 % 0.0 % +0.0 pp $15.2M 195,938
HELD FBTC FIDELITY WISE ORIGIN BITCOIN 0.0 % 0.0 % +0.0 pp $15.2M 298,386
HELD TARS TARSUS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $15.2M 241,737
HELD AZTA AZENTA INC 0.0 % 0.0 % +0.0 pp $15.2M 595,904
HELD B BARRICK MNG CORP 0.0 % 0.0 % +0.0 pp $15.2M 413,860
HELD ? BROOKFIELD INFRASTRUCTURE PA 0.0 % 0.0 % +0.0 pp $15.1M 414,387
HELD ? CONSTELLIUM SE 0.0 % 0.0 % +0.0 pp $15.1M 474,311
HELD HAYW HAYWARD HLDGS INC 0.0 % 0.0 % +0.0 pp $15.1M 871,057
HELD HLIO HELIOS TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $15.0M 168,281
HELD PENG PENGUIN SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $15.0M 197,430
HELD LEA LEAR CORP 0.0 % 0.0 % +0.0 pp $15.0M 111,577
HELD LKFN LAKELAND FINL CORP 0.0 % 0.0 % +0.0 pp $14.9M 242,114
HELD MLM MARTIN MARIETTA MATLS INC 0.0 % 0.0 % +0.0 pp $14.9M 25,897
HELD PTLO PORTILLOS INC 0.0 % 0.0 % +0.0 pp $14.9M 3,150,113
HELD OXLC OXFORD LANE CAP CORP 0.0 % 0.0 % +0.0 pp $14.9M 1,703,401
HELD EAGL 2023 ETF SERIES TRUST 0.0 % 0.0 % +0.0 pp $14.9M 462,995
HELD ANDG ANDERSEN GROUP INC 0.0 % 0.0 % +0.0 pp $14.9M 394,866
HELD DTE DTE ENERGY CO 0.0 % 0.0 % +0.0 pp $14.8M 97,399
HELD ? STAR BULK CARRIERS CORP. 0.0 % 0.0 % +0.0 pp $14.8M 594,246
HELD MTN VAIL RESORTS INC 0.0 % 0.0 % +0.0 pp $14.8M 108,877
HELD HR HEALTHCARE RLTY TR 0.0 % 0.0 % +0.0 pp $14.8M 734,884
HELD RIVN 4.625 03/15/29 RIVIAN AUTOMOTIVE INC 0.0 % 0.0 % +0.0 pp $14.8M 12,500,000
HELD ? WHITE MTNS INS GROUP LTD 0.0 % 0.0 % +0.0 pp $14.8M 7,136
HELD NAVN NAVAN INC 0.0 % 0.0 % +0.0 pp $14.8M 646,200
HELD LINE LINEAGE INC 0.0 % 0.0 % +0.0 pp $14.8M 341,681
HELD 8L8C LIBERTY BROADBAND CORP 0.0 % 0.0 % +0.0 pp $14.7M 443,216
HELD SLGN SILGAN HLDGS INC 0.0 % 0.0 % +0.0 pp $14.7M 317,660
HELD ROP ROPER TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $14.7M 43,525
HELD REYN REYNOLDS CONSUMER PRODS INC 0.0 % 0.0 % +0.0 pp $14.7M 548,336
HELD XRT SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $14.7M 167,438
HELD ? INTER & CO INC 0.0 % 0.0 % +0.0 pp $14.7M 2,702,682
EXIT OMEX ODYSSEY MARINE EXPL INC — 0.0 % -0.0 % — —
HELD AIN ALBANY INTL CORP 0.0 % 0.0 % +0.0 pp $14.7M 196,718
HELD NTR NUTRIEN LTD 0.0 % 0.0 % +0.0 pp $14.6M 232,671
HELD BETA BETA TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $14.6M 872,324
HELD SLN SILENCE THERAPEUTICS PLC 0.0 % 0.0 % +0.0 pp $14.6M 1,329,625
HELD CECO CECO ENVIRONMENTAL CORP 0.0 % 0.0 % +0.0 pp $14.6M 160,872
HELD WSFS WSFS FINL CORP 0.0 % 0.0 % +0.0 pp $14.6M 189,946
HELD ADUS ADDUS HOMECARE CORP 0.0 % 0.0 % +0.0 pp $14.6M 145,063
HELD BIV VANGUARD BD INDEX FDS 0.0 % 0.0 % +0.0 pp $14.6M 189,849
HELD SWK STANLEY BLACK & DECKER INC 0.0 % 0.0 % +0.0 pp $14.6M 154,696
HELD SDGR SCHRODINGER INC 0.0 % 0.0 % +0.0 pp $14.6M 895,780
HELD CARG CARGURUS INC 0.0 % 0.0 % +0.0 pp $14.5M 426,649
HELD CVI CVR ENERGY INC 0.0 % 0.0 % +0.0 pp $14.5M 527,310
HELD TMC TMC THE METALS COMPANY INC 0.0 % 0.0 % +0.0 pp $14.5M 3,275,718
HELD SNDR SCHNEIDER NATIONAL INC 0.0 % 0.0 % +0.0 pp $14.5M 395,887
HELD SQM SOCIEDAD QUIMICA Y MINERA DE 0.0 % 0.0 % +0.0 pp $14.5M 195,256
HELD GBTC GRAYSCALE BITCOIN TRUST ETF 0.0 % 0.0 % +0.0 pp $14.3M 314,985
HELD AN AUTONATION INC 0.0 % 0.0 % +0.0 pp $14.3M 76,965
HELD CCK CROWN HLDGS INC 0.0 % 0.0 % +0.0 pp $14.3M 127,519
HELD QQQI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $14.2M 250,496
HELD CMPS COMPASS PATHWAYS PLC 0.0 % 0.0 % +0.0 pp $14.2M 1,004,880
HELD ? BIT DIGITAL INC 0.0 % 0.0 % +0.0 pp $14.2M 7,886,233
HELD APPN APPIAN CORP 0.0 % 0.0 % +0.0 pp $14.2M 619,025
HELD SAP SAP SE 0.0 % 0.0 % +0.0 pp $14.2M 91,981
HELD BL BLACKLINE INC 0.0 % 0.0 % +0.0 pp $14.1M 502,789
HELD ETHA ISHARES ETHEREUM TR 0.0 % 0.0 % +0.0 pp $14.0M 1,177,840
HELD DDS DILLARDS INC 0.0 % 0.0 % +0.0 pp $13.9M 26,392
HELD ULCC FRONTIER GROUP HLDGS INC 0.0 % 0.0 % +0.0 pp $13.9M 1,757,871
HELD AMTM AMENTUM HOLDINGS INC 0.0 % 0.0 % +0.0 pp $13.9M 670,684
HELD UPWK UPWORK INC 0.0 % 0.0 % +0.0 pp $13.8M 1,655,618
HELD TVTX 0.5 05/15/32 TRAVERE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $13.8M 11,750,000
HELD KD KYNDRYL HLDGS INC 0.0 % 0.0 % +0.0 pp $13.8M 1,218,468
HELD ACVA ACV AUCTIONS INC 0.0 % 0.0 % +0.0 pp $13.8M 1,915,799
HELD ASHR DBX ETF TR 0.0 % 0.0 % +0.0 pp $13.7M 374,814
HELD ? OCULIS HOLDING AG 0.0 % 0.0 % +0.0 pp $13.7M 987,204
HELD ? DYNAMIX CORP 0.0 % 0.0 % +0.0 pp $13.7M 1,268,869
HELD SNDA SONIDA SENIOR LIVING INC 0.0 % 0.0 % +0.0 pp $13.7M 335,453
HELD ERIE ERIE INDTY CO 0.0 % 0.0 % +0.0 pp $13.7M 57,083
HELD IDV ISHARES TR 0.0 % 0.0 % +0.0 pp $13.7M 330,235
HELD JOBY 0.75 02/15/32 JOBY AVIATION INC 0.0 % 0.0 % +0.0 pp $13.7M 15,000,000
HELD SGOV ISHARES TR 0.0 % 0.0 % +0.0 pp $13.6M 135,473
HELD NHI NATIONAL HEALTH INVS INC 0.0 % 0.0 % +0.0 pp $13.6M 178,720
HELD WDFC WD 40 CO 0.0 % 0.0 % +0.0 pp $13.6M 55,775
HELD LOAR LOAR HOLDINGS INC 0.0 % 0.0 % +0.0 pp $13.6M 168,394
HELD ? ASSURED GUARANTY LTD 0.0 % 0.0 % +0.0 pp $13.5M 168,908
HELD DRS LEONARDO DRS INC 0.0 % 0.0 % +0.0 pp $13.5M 317,046
HELD CBRL CRACKER BARREL OLD CTRY STOR 0.0 % 0.0 % +0.0 pp $13.5M 253,662
HELD UI UBIQUITI INC 0.0 % 0.0 % +0.0 pp $13.5M 25,295
HELD SIMO SILICON MOTION TECHNOLOGY CO 0.0 % 0.0 % +0.0 pp $13.5M 40,490
HELD IYR ISHARES TR 0.0 % 0.0 % +0.0 pp $13.5M 131,632
HELD SAIA SAIA INC 0.0 % 0.0 % +0.0 pp $13.4M 31,926
HELD WRLD WORLD ACCEP CORPORATION 0.0 % 0.0 % +0.0 pp $13.4M 60,059
HELD ? ADIENT PLC 0.0 % 0.0 % +0.0 pp $13.4M 729,083
HELD RIVN 3.625 10/15/30 RIVIAN AUTOMOTIVE INC 0.0 % 0.0 % +0.0 pp $13.4M 12,500,000
HELD ? NU HLDGS LTD 0.0 % 0.0 % +0.0 pp $13.4M 1,001,721
HELD AQN ALGONQUIN POWER & UTILITIES 0.0 % 0.0 % +0.0 pp $13.4M 2,281,940
HELD DSGX DESCARTES SYS GROUP INC 0.0 % 0.0 % +0.0 pp $13.4M 192,970
HELD CENX CENTURY ALUM CO 0.0 % 0.0 % +0.0 pp $13.3M 290,031
HELD TDY TELEDYNE TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $13.3M 19,981
HELD HALO 0.25 03/01/27 HALOZYME THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $13.3M 11,942,000
HELD WES WESTERN MIDSTREAM PARTNERS L 0.0 % 0.0 % +0.0 pp $13.3M 304,274
HELD LAD LITHIA MTRS INC 0.0 % 0.0 % +0.0 pp $13.3M 45,803
HELD DSTL ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $13.2M 221,182
HELD MRVI MARAVAI LIFESCIENCES HLDGS I 0.0 % 0.0 % +0.0 pp $13.2M 2,122,598
HELD VTEB VANGUARD MUN BD FDS 0.0 % 0.0 % +0.0 pp $13.2M 260,766
HELD BKSY BLACKSKY TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $13.2M 471,756
HELD VFF VILLAGE FARMS INTL INC 0.0 % 0.0 % +0.0 pp $13.2M 6,583,786
HELD DEO DIAGEO PLC 0.0 % 0.0 % +0.0 pp $13.1M 163,210
HELD LAMR LAMAR ADVERTISING CO 0.0 % 0.0 % +0.0 pp $13.1M 84,081
HELD LUMN LUMEN TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $13.1M 1,705,319
HELD MHK MOHAWK INDS INC 0.0 % 0.0 % +0.0 pp $13.1M 107,767
HELD BCH BANCO DE CHILE 0.0 % 0.0 % +0.0 pp $13.1M 328,621
HELD DOV DOVER CORP 0.0 % 0.0 % +0.0 pp $13.0M 58,078
HELD QTUM ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $13.0M 78,533
HELD CATX PERSPECTIVE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $13.0M 3,805,739
HELD TKR TIMKEN CO 0.0 % 0.0 % +0.0 pp $13.0M 89,256
HELD HAWK HAWKEYE 360 INC 0.0 % 0.0 % +0.0 pp $13.0M 641,395
HELD ESGD ISHARES TR 0.0 % 0.0 % +0.0 pp $13.0M 126,104
HELD TBN TAMBORAN RES CORP 0.0 % 0.0 % +0.0 pp $12.9M 398,144
HELD NGG NATIONAL GRID PLC 0.0 % 0.0 % +0.0 pp $12.9M 156,179
HELD ? ZIM INTEGRATED SHIPPING SERV 0.0 % 0.0 % +0.0 pp $12.9M 497,225
HELD TS TENARIS S A 0.0 % 0.0 % +0.0 pp $12.9M 232,876
HELD NOG NORTHERN OIL & GAS INC 0.0 % 0.0 % +0.0 pp $12.9M 711,633
HELD FDVV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $12.9M 213,763
HELD RRR RED ROCK RESORTS INC 0.0 % 0.0 % +0.0 pp $12.9M 198,078
HELD DNOW DNOW INC 0.0 % 0.0 % +0.0 pp $12.9M 992,114
HELD SEDG SOLAREDGE TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $12.9M 220,115
HELD NGNE NEUROGENE INC 0.0 % 0.0 % +0.0 pp $12.9M 408,982
HELD AVDV AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $12.8M 124,463
HELD LRN STRIDE INC 0.0 % 0.0 % +0.0 pp $12.8M 148,716
HELD HCC WARRIOR MET COAL INC 0.0 % 0.0 % +0.0 pp $12.8M 157,628
HELD KYMR KYMERA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $12.8M 111,555
HELD WSO WATSCO INC 0.0 % 0.0 % +0.0 pp $12.8M 30,681
HELD SYF SYNCHRONY FINANCIAL 0.0 % 0.0 % +0.0 pp $12.8M 167,889
HELD AVGX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $12.7M 272,391
HELD AMSF AMERISAFE INC 0.0 % 0.0 % +0.0 pp $12.7M 376,251
HELD VLUE ISHARES TR 0.0 % 0.0 % +0.0 pp $12.7M 63,608
HELD SSD SIMPSON MFG INC 0.0 % 0.0 % +0.0 pp $12.7M 60,601
HELD HMH HMH HLDG INC 0.0 % 0.0 % +0.0 pp $12.6M 673,656
HELD MLYS MINERALYS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $12.6M 467,598
HELD JBLU JETBLUE AIRWAYS CORP 0.0 % 0.0 % +0.0 pp $12.6M 2,191,480
HELD MRTN MARTEN TRANS LTD 0.0 % 0.0 % +0.0 pp $12.5M 722,251
HELD HRI HERC HLDGS INC 0.0 % 0.0 % +0.0 pp $12.5M 87,228
HELD CPB THE CAMPBELLS COMPANY 0.0 % 0.0 % +0.0 pp $12.5M 560,914
HELD ABCL ABCELLERA BIOLOGICS INC 0.0 % 0.0 % +0.0 pp $12.5M 1,586,512
HELD IIIN INSTEEL INDS INC 0.0 % 0.0 % +0.0 pp $12.4M 411,992
HELD RNG RINGCENTRAL INC 0.0 % 0.0 % +0.0 pp $12.4M 319,013
HELD CMC COMMERCIAL METALS CO 0.0 % 0.0 % +0.0 pp $12.4M 197,966
HELD OCFC OCEANFIRST FINL CORP 0.0 % 0.0 % +0.0 pp $12.4M 635,527
HELD BANR BANNER CORP 0.0 % 0.0 % +0.0 pp $12.4M 186,646
HELD GFI GOLD FIELDS LTD 0.0 % 0.0 % +0.0 pp $12.4M 368,557
HELD CINF CINCINNATI FINL CORP 0.0 % 0.0 % +0.0 pp $12.4M 66,716
HELD CNA CNA FINL CORP 0.0 % 0.0 % +0.0 pp $12.3M 253,259
HELD DX DYNEX CAP INC 0.0 % 0.0 % +0.0 pp $12.2M 932,382
HELD CHWY CHEWY INC 0.0 % 0.0 % +0.0 pp $12.2M 621,527
HELD JCAP JEFFERSON CAPITAL INC 0.0 % 0.0 % +0.0 pp $12.2M 626,868
HELD COCO VITA COCO CO INC 0.0 % 0.0 % +0.0 pp $12.2M 184,437
HELD EMBJ EMBRAER S.A. 0.0 % 0.0 % +0.0 pp $12.2M 191,064
HELD ALG ALAMO GROUP INC 0.0 % 0.0 % +0.0 pp $12.2M 74,073
HELD CRBG COREBRIDGE FINL INC 0.0 % 0.0 % +0.0 pp $12.2M 425,266
HELD GOLF ACUSHNET HLDGS CORP 0.0 % 0.0 % +0.0 pp $12.2M 102,638
HELD PAAA PGIM ETF TR 0.0 % 0.0 % +0.0 pp $12.1M 236,460
HELD GTY GETTY RLTY CORP NEW 0.0 % 0.0 % +0.0 pp $12.1M 362,641
HELD HNI HNI CORP 0.0 % 0.0 % +0.0 pp $12.1M 298,958
HELD RPD RAPID7 INC 0.0 % 0.0 % +0.0 pp $12.1M 1,490,294
HELD MGEE MGE ENERGY INC 0.0 % 0.0 % +0.0 pp $12.0M 147,735
HELD WMK WEIS MKTS INC 0.0 % 0.0 % +0.0 pp $12.0M 153,568
HELD AKAM 0.375 09/01/27 AKAMAI TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $12.0M 10,000,000
HELD AKAM 1.125 02/15/29 AKAMAI TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $11.9M 10,000,000
HELD FCNCA FIRST CTZNS BANCSHARES INC D 0.0 % 0.0 % +0.0 pp $11.9M 5,716
HELD GPRE 5.25 11/01/30 UNRS GREEN PLAINS INC 0.0 % 0.0 % +0.0 pp $11.9M 8,776,000
HELD FLNC FLUENCE ENERGY INC 0.0 % 0.0 % +0.0 pp $11.9M 597,223
HELD UUP INVESCO DB US DLR INDEX TR 0.0 % 0.0 % +0.0 pp $11.8M 416,859
HELD WKC WORLD KINECT CORPORATION 0.0 % 0.0 % +0.0 pp $11.8M 358,948
HELD XME SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $11.8M 110,304
HELD JBGS JBG SMITH PPTYS 0.0 % 0.0 % +0.0 pp $11.8M 803,589
HELD MPLX MPLX LP 0.0 % 0.0 % +0.0 pp $11.8M 209,147
HELD BILL BILL HOLDINGS INC 0.0 % 0.0 % +0.0 pp $11.8M 325,658
HELD AVNT AVIENT CORPORATION 0.0 % 0.0 % +0.0 pp $11.8M 318,427
HELD UCTT ULTRA CLEAN HLDGS INC 0.0 % 0.0 % +0.0 pp $11.8M 82,499
HELD LXU LSB INDS INC 0.0 % 0.0 % +0.0 pp $11.8M 1,087,599
HELD SMR NUSCALE PWR CORP 0.0 % 0.0 % +0.0 pp $11.7M 1,169,399
HELD ES EVERSOURCE ENERGY 0.0 % 0.0 % +0.0 pp $11.7M 162,200
HELD RRX REGAL REXNORD CORPORATION 0.0 % 0.0 % +0.0 pp $11.7M 49,151
HELD EROK EAGLEROCK LD LLC 0.0 % 0.0 % +0.0 pp $11.7M 549,394
HELD HE HAWAIIAN ELEC INDS INC MTN B 0.0 % 0.0 % +0.0 pp $11.7M 862,812
HELD CTMX CYTOMX THERAPEUTICS INC. 0.0 % 0.0 % +0.0 pp $11.7M 3,110,509
HELD ORN ORION GROUP HLDGS INC 0.0 % 0.0 % +0.0 pp $11.7M 693,401
HELD PPG PPG INDS INC 0.0 % 0.0 % +0.0 pp $11.7M 96,134
HELD EYE NATIONAL VISION HLDGS INC 0.0 % 0.0 % +0.0 pp $11.7M 613,099
HELD ? FORTE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $11.6M 547,415
HELD LXP LXP INDUSTRIAL TRUST 0.0 % 0.0 % +0.0 pp $11.6M 215,852
HELD BPRE BLUEROCK PVT REAL ESTATE FD 0.0 % 0.0 % +0.0 pp $11.6M 893,749
HELD CACC CREDIT ACCEP CORP MICH 0.0 % 0.0 % +0.0 pp $11.6M 18,256
HELD NDSN NORDSON CORP 0.0 % 0.0 % +0.0 pp $11.6M 38,528
HELD NOVT 6.5 11/01/28 NOVANTA INC 0.0 % 0.0 % +0.0 pp $11.6M 170,090
HELD ABM ABM INDS INC 0.0 % 0.0 % +0.0 pp $11.6M 262,142
HELD UAMY UNITED STATES ANTIMONY CORP 0.0 % 0.0 % +0.0 pp $11.6M 1,597,364
HELD VMI VALMONT INDS INC 0.0 % 0.0 % +0.0 pp $11.6M 20,020
HELD CAE CAE INC 0.0 % 0.0 % +0.0 pp $11.6M 460,917
HELD IBHF ISHARES TR 0.0 % 0.0 % +0.0 pp $11.5M 508,904
HELD VEEV VEEVA SYS INC 0.0 % 0.0 % +0.0 pp $11.5M 64,755
HELD SYM SYMBOTIC INC 0.0 % 0.0 % +0.0 pp $11.5M 255,657
HELD ADMA ADMA BIOLOGICS INC 0.0 % 0.0 % +0.0 pp $11.5M 1,370,071
HELD QTEC FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $11.5M 34,213
HELD WERN WERNER ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $11.4M 261,724
HELD IRTC IRHYTHM HOLDINGS INC 0.0 % 0.0 % +0.0 pp $11.4M 95,931
HELD RIO RIO TINTO PLC 0.0 % 0.0 % +0.0 pp $11.4M 120,199
HELD PLTK PLAYTIKA HLDG CORP 0.0 % 0.0 % +0.0 pp $11.4M 3,065,975
HELD EQNR EQUINOR ASA 0.0 % 0.0 % +0.0 pp $11.4M 362,565
HELD SM SM ENERGY COMPANY 0.0 % 0.0 % +0.0 pp $11.4M 435,571
HELD SIL GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $11.4M 146,577
HELD VIG VANGUARD SPECIALIZED FUNDS 0.0 % 0.0 % +0.0 pp $11.3M 47,914
HELD CLOV CLOVER HEALTH INVESTMENTS CO 0.0 % 0.0 % +0.0 pp $11.3M 2,163,205
HELD CBL CBL & ASSOC PPTYS INC 0.0 % 0.0 % +0.0 pp $11.3M 213,034
HELD ? TOTALENERGIES SE 0.0 % 0.0 % +0.0 pp $11.3M 145,422
HELD ZG ZILLOW GROUP INC 0.0 % 0.0 % +0.0 pp $11.3M 360,353
HELD NUVB NUVATION BIO INC 0.0 % 0.0 % +0.0 pp $11.3M 1,988,330
HELD FISV FISERV INC 0.0 % 0.0 % +0.0 pp $11.3M 229,987
HELD ? MANCHESTER UTD PLC NEW 0.0 % 0.0 % +0.0 pp $11.3M 491,165
HELD HUBS HUBSPOT INC 0.0 % 0.0 % +0.0 pp $11.3M 61,705
HELD TDS TELEPHONE & DATA SYS INC 0.0 % 0.0 % +0.0 pp $11.3M 304,251
HELD ABG ASBURY AUTOMOTIVE GROUP INC 0.0 % 0.0 % +0.0 pp $11.2M 55,862
HELD PTON PELOTON INTERACTIVE INC 0.0 % 0.0 % +0.0 pp $11.2M 1,900,182
HELD SOBO SOUTH BOW CORP 0.0 % 0.0 % +0.0 pp $11.2M 318,459
HELD NTCT NETSCOUT SYS INC 0.0 % 0.0 % +0.0 pp $11.2M 257,561
HELD IDYA IDEAYA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $11.2M 300,438
HELD RDW REDWIRE CORPORATION 0.0 % 0.0 % +0.0 pp $11.2M 914,774
HELD RF REGIONS FINANCIAL CORP NEW 0.0 % 0.0 % +0.0 pp $11.2M 370,446
HELD MT ARCELORMITTAL SA LUXEMBOURG 0.0 % 0.0 % +0.0 pp $11.2M 185,497
HELD CP CANADIAN PACIFIC KANSAS CITY 0.0 % 0.0 % +0.0 pp $11.2M 128,711
HELD NKTR NEKTAR THERAPEUTICS 0.0 % 0.0 % +0.0 pp $11.2M 159,747
HELD ZNTL ZENTALIS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $11.1M 2,298,403
HELD ATAI* ATAIBECKLEY INC 0.0 % 0.0 % +0.0 pp $11.1M 2,114,908
HELD OMDA OMADA HEALTH INC 0.0 % 0.0 % +0.0 pp $11.1M 507,747
HELD EEFT EURONET WORLDWIDE INC 0.0 % 0.0 % +0.0 pp $11.1M 152,263
HELD ZBRA ZEBRA TECHNOLOGIES CORPORATI 0.0 % 0.0 % +0.0 pp $11.1M 42,221
HELD QRVO QORVO INC 0.0 % 0.0 % +0.0 pp $11.1M 119,134
HELD FIVN FIVE9 INC 0.0 % 0.0 % +0.0 pp $11.1M 520,586
HELD GATX GATX CORP 0.0 % 0.0 % +0.0 pp $11.1M 62,593
HELD FSEC FIDELITY MERRIMACK STR TR 0.0 % 0.0 % +0.0 pp $11.1M 252,534
HELD PRAA PRA GROUP INC 0.0 % 0.0 % +0.0 pp $11.0M 581,087
HELD BMA BANCO MACRO S A 0.0 % 0.0 % +0.0 pp $11.0M 118,764
HELD POET POET TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $11.0M 1,066,398
HELD CABA CABALETTA BIO INC 0.0 % 0.0 % +0.0 pp $11.0M 3,522,112
HELD FSLY FASTLY INC 0.0 % 0.0 % +0.0 pp $10.9M 596,285
HELD PARR PAR PAC HOLDINGS INC 0.0 % 0.0 % +0.0 pp $10.9M 194,757
HELD ? SFL CORPORATION LTD 0.0 % 0.0 % +0.0 pp $10.9M 1,068,091
HELD ? MAGNUM ICE CREAM CO NV 0.0 % 0.0 % +0.0 pp $10.9M 625,139
HELD JNK SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $10.9M 112,735
HELD GIII G III APPAREL GROUP LTD 0.0 % 0.0 % +0.0 pp $10.8M 321,801
HELD AGNC AGNC INVT CORP 0.0 % 0.0 % +0.0 pp $10.8M 994,234
HELD VET VERMILION ENERGY INC 0.0 % 0.0 % +0.0 pp $10.8M 1,155,712
HELD NBTB NBT BANCORP INC 0.0 % 0.0 % +0.0 pp $10.8M 219,085
HELD AMBQ AMBIQ MICRO INC 0.0 % 0.0 % +0.0 pp $10.8M 122,425
HELD ? NIQ GLOBAL INTELLIGENCE PLC 0.0 % 0.0 % +0.0 pp $10.8M 1,154,623
HELD AAOI APPLIED OPTOELECTRONICS INC 0.0 % 0.0 % +0.0 pp $10.8M 72,798
HELD BLDP BALLARD PWR SYS INC NEW 0.0 % 0.0 % +0.0 pp $10.7M 2,758,179
HELD NEBX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $10.7M 182,604
HELD BRKR BRUKER CORP 0.0 % 0.0 % +0.0 pp $10.7M 178,195
HELD RKT ROCKET COS INC 0.0 % 0.0 % +0.0 pp $10.7M 679,401
HELD ? PAGAYA TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $10.7M 585,956
HELD ESI ELEMENT SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $10.7M 223,804
HELD DRI DARDEN RESTAURANTS INC 0.0 % 0.0 % +0.0 pp $10.7M 51,830
HELD BKU BANKUNITED INC 0.0 % 0.0 % +0.0 pp $10.7M 220,253
HELD ERO ERO COPPER CORP 0.0 % 0.0 % +0.0 pp $10.7M 398,722
HELD MTH MERITAGE HOMES CORP 0.0 % 0.0 % +0.0 pp $10.7M 127,133
HELD UHAL U HAUL HOLDING COMPANY 0.0 % 0.0 % +0.0 pp $10.6M 162,159
HELD FSIG FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $10.6M 562,561
HELD TENX TENAX THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $10.6M 728,561
HELD OPFI OPPFI INC 0.0 % 0.0 % +0.0 pp $10.6M 1,066,428
HELD BIL SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $10.5M 115,091
HELD RYAAY RYANAIR HOLDINGS PLC 0.0 % 0.0 % +0.0 pp $10.5M 162,733
HELD SARO STANDARDAERO INC 0.0 % 0.0 % +0.0 pp $10.5M 352,110
HELD UMH UMH PPTYS INC 0.0 % 0.0 % +0.0 pp $10.5M 694,910
HELD KBWB INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $10.5M 113,089
HELD ? GLOBAL SHIP LEASE INC 0.0 % 0.0 % +0.0 pp $10.5M 279,612
HELD KNF KNIFE RIVER CORP 0.0 % 0.0 % +0.0 pp $10.5M 125,578
HELD LI LI AUTO INC 0.0 % 0.0 % +0.0 pp $10.5M 893,263
HELD ITRI ITRON INC 0.0 % 0.0 % +0.0 pp $10.5M 121,080
HELD NWBI NORTHWEST BANCSHARES INC 0.0 % 0.0 % +0.0 pp $10.5M 690,724
HELD MUB ISHARES TR 0.0 % 0.0 % +0.0 pp $10.5M 97,228
HELD ONEQ FIDELITY COMWLTH TR 0.0 % 0.0 % +0.0 pp $10.5M 101,314
HELD TSHA TAYSHA GENE THERAPIES INC 0.0 % 0.0 % +0.0 pp $10.5M 1,535,287
HELD ? BROOKFIELD RENEWABLE ENERGY 0.0 % 0.0 % +0.0 pp $10.4M 300,891
HELD BCPC BALCHEM CORP 0.0 % 0.0 % +0.0 pp $10.4M 61,620
HELD FND FLOOR & DECOR HLDGS INC 0.0 % 0.0 % +0.0 pp $10.4M 175,281
HELD EFXT ENERFLEX LTD 0.0 % 0.0 % +0.0 pp $10.4M 424,441
HELD FCN FTI CONSULTING INC 0.0 % 0.0 % +0.0 pp $10.4M 69,749
HELD SBRA SABRA HEALTH CARE REIT INC 0.0 % 0.0 % +0.0 pp $10.3M 530,392
HELD BUG GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $10.3M 270,846
HELD BBEU J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $10.3M 132,952
HELD SUNC SUNOCOCORP LLC 0.0 % 0.0 % +0.0 pp $10.3M 152,674
HELD QLTA ISHARES TR 0.0 % 0.0 % +0.0 pp $10.3M 216,791
HELD PRM PERIMETER SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $10.3M 287,728
HELD MSTR STRATEGY INC 0.0 % 0.0 % +0.0 pp $10.3M 117,928
HELD UTL UNITIL CORP 0.0 % 0.0 % +0.0 pp $10.3M 194,551
HELD PHIN PHINIA INC 0.0 % 0.0 % +0.0 pp $10.2M 124,334
HELD WHK WHITEHAWK MINERALS CORP 0.0 % 0.0 % +0.0 pp $10.2M 367,164
HELD USLM UNITED STS LIME & MINERALS I 0.0 % 0.0 % +0.0 pp $10.2M 97,562
HELD UTZ UTZ BRANDS INC 0.0 % 0.0 % +0.0 pp $10.2M 1,324,243
HELD BILI BILIBILI INC 0.0 % 0.0 % +0.0 pp $10.2M 598,518
HELD CMS CMS ENERGY CORP 0.0 % 0.0 % +0.0 pp $10.2M 133,234
HELD PBOG TIDAL TR IV 0.0 % 0.0 % +0.0 pp $10.1M 345,081
HELD WRBY WARBY PARKER INC 0.0 % 0.0 % +0.0 pp $10.1M 334,234
HELD LUNR INTUITIVE MACHINES INC 0.0 % 0.0 % +0.0 pp $10.1M 473,836
HELD ARES ARES MANAGEMENT CORPORATION 0.0 % 0.0 % +0.0 pp $10.1M 90,970
HELD VIR VIR BIOTECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $10.1M 991,337
HELD ATAT ATOUR LIFESTYLE HLDGS LTD 0.0 % 0.0 % +0.0 pp $10.1M 317,663
HELD ? GOLAR LNG LTD 0.0 % 0.0 % +0.0 pp $10.1M 201,866
HELD UDOW PROSHARES TR 0.0 % 0.0 % +0.0 pp $10.0M 143,065
HELD NBHC NATIONAL BK HLDGS CORP 0.0 % 0.0 % +0.0 pp $10.0M 224,917
HELD ? LIBERTY GLOBAL LTD 0.0 % 0.0 % +0.0 pp $10.0M 878,318
HELD IDCC INTERDIGITAL INC 0.0 % 0.0 % +0.0 pp $10.0M 35,252
HELD PIPR PIPER SANDLER COMPANIES 0.0 % 0.0 % +0.0 pp $10.0M 137,589
HELD TX TERNIUM SA 0.0 % 0.0 % +0.0 pp $9.9M 232,929
HELD TH TARGET HOSPITALITY CORP 0.0 % 0.0 % +0.0 pp $9.9M 487,692
HELD LH LABCORP HOLDINGS INC 0.0 % 0.0 % +0.0 pp $9.9M 35,367
HELD FULC FULCRUM THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $9.9M 2,704,505
HELD DEM WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $9.9M 183,814
HELD VCSH VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $9.9M 124,882
HELD URA GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $9.9M 225,674
HELD THRM GENTHERM INC 0.0 % 0.0 % +0.0 pp $9.8M 288,549
HELD CXM SPRINKLR INC 0.0 % 0.0 % +0.0 pp $9.8M 1,906,791
HELD SCHV SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $9.8M 281,513
HELD SOC SABLE OFFSHORE CORP 0.0 % 0.0 % +0.0 pp $9.8M 3,179,070
HELD MOH MOLINA HEALTHCARE INC 0.0 % 0.0 % +0.0 pp $9.8M 42,723
HELD ACWI ISHARES TR 0.0 % 0.0 % +0.0 pp $9.7M 62,080
HELD KMPR KEMPER CORP 0.0 % 0.0 % +0.0 pp $9.7M 360,444
HELD CHA CHAGEE HLDGS LTD 0.0 % 0.0 % +0.0 pp $9.7M 806,734
HELD FOXF FOX FACTORY HLDG CORP 0.0 % 0.0 % +0.0 pp $9.7M 571,944
HELD IMTB ISHARES TR 0.0 % 0.0 % +0.0 pp $9.7M 222,147
HELD CGGO CAPITAL GROUP GBL GROWTH EQT 0.0 % 0.0 % +0.0 pp $9.7M 228,727
HELD PII POLARIS INC 0.0 % 0.0 % +0.0 pp $9.7M 141,452
HELD ENVX ENOVIX CORPORATION 0.0 % 0.0 % +0.0 pp $9.7M 1,591,905
HELD YUMC YUM CHINA HLDGS INC 0.0 % 0.0 % +0.0 pp $9.7M 236,204
HELD OMF ONEMAIN HLDGS INC 0.0 % 0.0 % +0.0 pp $9.6M 158,256
HELD OSK OSHKOSH CORP 0.0 % 0.0 % +0.0 pp $9.6M 62,671
HELD KIE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $9.6M 157,627
HELD FLCB FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $9.6M 448,947
HELD FNGG DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $9.6M 43,370
HELD SLG SL GREEN RLTY CORP 0.0 % 0.0 % +0.0 pp $9.6M 185,558
HELD PAM PAMPA ENERGIA SA 0.0 % 0.0 % +0.0 pp $9.6M 116,953
HELD UFPI UFP INDUSTRIES INC 0.0 % 0.0 % +0.0 pp $9.6M 105,786
HELD FDEM FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $9.6M 263,929
HELD CHRW C H ROBINSON WORLDWIDE IN 0.0 % 0.0 % +0.0 pp $9.6M 50,838
HELD RGTI RIGETTI COMPUTING INC 0.0 % 0.0 % +0.0 pp $9.6M 494,720
HELD CWT CALIFORNIA WTR SVC GROUP 0.0 % 0.0 % +0.0 pp $9.6M 196,394
HELD YPF YPF SOCIEDAD ANONIMA 0.0 % 0.0 % +0.0 pp $9.6M 210,089
HELD CORT CORCEPT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $9.5M 109,105
HELD ARGT GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $9.5M 103,729
HELD WRD WERIDE INC 0.0 % 0.0 % +0.0 pp $9.5M 1,626,027
HELD BLD* TOPBUILD COR 0.0 % 0.0 % +0.0 pp $9.4M 26,598
HELD EXP EAGLE MATLS INC 0.0 % 0.0 % +0.0 pp $9.4M 41,835
HELD CPAY CORPAY INC 0.0 % 0.0 % +0.0 pp $9.4M 28,191
HELD OI O-I GLASS INC 0.0 % 0.0 % +0.0 pp $9.4M 972,116
HELD POR PORTLAND GEN ELEC CO 0.0 % 0.0 % +0.0 pp $9.3M 179,983
HELD ACRS ACLARIS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $9.3M 1,762,081
HELD HRMY HARMONY BIOSCIENCES HLDGS IN 0.0 % 0.0 % +0.0 pp $9.3M 255,810
HELD DRH DIAMONDROCK HOSPITALITY CO 0.0 % 0.0 % +0.0 pp $9.3M 763,783
HELD JBHT HUNT J B TRANS SVCS INC 0.0 % 0.0 % +0.0 pp $9.3M 32,129
HELD EMB ISHARES TR 0.0 % 0.0 % +0.0 pp $9.3M 96,226
HELD UPBD UPBOUND GROUP INC 0.0 % 0.0 % +0.0 pp $9.3M 437,058
HELD EQPT EQUIPMENTSHARE COM INC 0.0 % 0.0 % +0.0 pp $9.3M 471,728
HELD BETR BETTER HOME & FINANCE HOLDIN 0.0 % 0.0 % +0.0 pp $9.2M 335,989
HELD MBLY MOBILEYE GLOBAL INC 0.0 % 0.0 % +0.0 pp $9.2M 954,266
HELD ORRF ORRSTOWN FINL SVCS INC 0.0 % 0.0 % +0.0 pp $9.2M 225,513
HELD USAC USA COMPRESSION PARTNERS LP 0.0 % 0.0 % +0.0 pp $9.2M 348,839
HELD SFBS SERVISFIRST BANCSHARES INC 0.0 % 0.0 % +0.0 pp $9.2M 105,917
HELD FNF FIDELITY NATL FINL INC 0.0 % 0.0 % +0.0 pp $9.2M 194,381
HELD SYRE SPYRE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $9.2M 103,100
HELD FLO FLOWERS FOODS INC 0.0 % 0.0 % +0.0 pp $9.1M 1,158,186
HELD SLF SUN LIFE FINANCIAL INC. 0.0 % 0.0 % +0.0 pp $9.1M 116,630
HELD FDMT 4D MOLECULAR THERAPEUTICS IN 0.0 % 0.0 % +0.0 pp $9.1M 687,597
HELD QCRH QCR HLDGS INC 0.0 % 0.0 % +0.0 pp $9.1M 93,939
HELD PFG PRINCIPAL FINANCIAL GROUP IN 0.0 % 0.0 % +0.0 pp $9.1M 84,779
HELD NAVI NAVIENT CORPORATION 0.0 % 0.0 % +0.0 pp $9.1M 1,073,458
HELD LZB LA Z BOY INC 0.0 % 0.0 % +0.0 pp $9.1M 227,515
HELD BHF BRIGHTHOUSE FINL INC 0.0 % 0.0 % +0.0 pp $9.1M 144,008
HELD TME TENCENT MUSIC ENTMT GROUP 0.0 % 0.0 % +0.0 pp $9.1M 1,084,848
HELD ? FLEX LNG LTD 0.0 % 0.0 % +0.0 pp $9.0M 320,890
HELD OTEX OPEN TEXT CORP 0.0 % 0.0 % +0.0 pp $9.0M 406,124
HELD BHRB BURKE HERBERT FINL SVCS CORP 0.0 % 0.0 % +0.0 pp $9.0M 125,036
HELD HTZ HERTZ GLOBAL HLDGS INC 0.0 % 0.0 % +0.0 pp $9.0M 3,963,773
HELD MGNI MAGNITE INC 0.0 % 0.0 % +0.0 pp $9.0M 472,865
HELD XAR SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $9.0M 31,570
HELD VSXY VICTORIAS SECRET AND CO 0.0 % 0.0 % +0.0 pp $9.0M 107,310
HELD ARKF ARK ETF TR 0.0 % 0.0 % +0.0 pp $8.9M 226,022
HELD ? ARDMORE SHIPPING CORP 0.0 % 0.0 % +0.0 pp $8.9M 635,912
HELD PI IMPINJ INC 0.0 % 0.0 % +0.0 pp $8.9M 62,088
HELD HOPE HOPE BANCORP INC 0.0 % 0.0 % +0.0 pp $8.9M 650,059
HELD TYRA TYRA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $8.9M 278,307
HELD CRAI CRA INTL INC 0.0 % 0.0 % +0.0 pp $8.9M 62,456
HELD KE KIMBALL ELECTRONICS INC 0.0 % 0.0 % +0.0 pp $8.9M 347,136
HELD VRSN VERISIGN INC 0.0 % 0.0 % +0.0 pp $8.9M 35,324
HELD SOUN SOUNDHOUND AI INC 0.0 % 0.0 % +0.0 pp $8.9M 1,373,112
HELD DOO BRP INC 0.0 % 0.0 % +0.0 pp $8.9M 145,524
HELD WNC WABASH NATL CORP 0.0 % 0.0 % +0.0 pp $8.9M 657,734
HELD SCHZ SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $8.9M 383,817
HELD RLAY RELAY THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $8.9M 473,682
HELD JJSF J & J SNACK FOODS CORP 0.0 % 0.0 % +0.0 pp $8.8M 120,352
HELD LEU CENTRUS ENERGY CORP 0.0 % 0.0 % +0.0 pp $8.8M 52,524
HELD ZION ZIONS BANCORPORATION NATL AS 0.0 % 0.0 % +0.0 pp $8.8M 127,334
HELD UHT UNIVERSAL HEALTH RLTY INCOME 0.0 % 0.0 % +0.0 pp $8.8M 200,666
HELD ? MEIRAGTX HLDGS PLC 0.0 % 0.0 % +0.0 pp $8.8M 650,489
HELD FSM FORTUNA MNG CORP 0.0 % 0.0 % +0.0 pp $8.8M 1,039,845
HELD R RYDER SYS INC 0.0 % 0.0 % +0.0 pp $8.8M 33,304
HELD ARI APOLLO COML REAL ESTATE FIN 0.0 % 0.0 % +0.0 pp $8.8M 822,385
HELD ACLS AXCELIS TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $8.8M 46,239
HELD MYGN MYRIAD GENETICS INC 0.0 % 0.0 % +0.0 pp $8.8M 1,533,684
HELD IOVA IOVANCE BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $8.8M 2,104,990
HELD SA SEABRIDGE GOLD INC 0.0 % 0.0 % +0.0 pp $8.8M 340,107
HELD VSTS VESTIS CORPORATION 0.0 % 0.0 % +0.0 pp $8.7M 602,562
HELD IFF INTERNATIONAL FLAVORS&FRAGRA 0.0 % 0.0 % +0.0 pp $8.7M 110,109
HELD NB NIOCORP DEVS LTD 0.0 % 0.0 % +0.0 pp $8.7M 1,809,673
HELD BBT BEACON FINANCIAL CORP. 0.0 % 0.0 % +0.0 pp $8.7M 286,141
HELD REPL REPLIMUNE GROUP INC 0.0 % 0.0 % +0.0 pp $8.7M 784,233
HELD UUUU ENERGY FUELS INC 0.0 % 0.0 % +0.0 pp $8.7M 597,641
HELD BLND BLEND LABS INC 0.0 % 0.0 % +0.0 pp $8.7M 5,062,868
HELD ? ESTABLISHMENT LABS HLDGS INC 0.0 % 0.0 % +0.0 pp $8.7M 100,838
HELD SAM BOSTON BEER INC 0.0 % 0.0 % +0.0 pp $8.6M 48,829
HELD MTUS METALLUS INC 0.0 % 0.0 % +0.0 pp $8.6M 462,261
HELD RERE ATRENEW INC 0.0 % 0.0 % +0.0 pp $8.6M 2,230,500
HELD SAIL SAILPOINT INC 0.0 % 0.0 % +0.0 pp $8.6M 589,042
HELD ROCK GIBRALTAR INDS INC 0.0 % 0.0 % +0.0 pp $8.6M 191,107
HELD AGQ PROSHARES TR II 0.0 % 0.0 % +0.0 pp $8.6M 126,692
HELD ? THERAVANCE BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $8.6M 506,668
HELD NSIT INSIGHT ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $8.6M 70,691
HELD STWD STARWOOD PPTY TR INC 0.0 % 0.0 % +0.0 pp $8.6M 523,775
HELD CASH PATHWARD FINANCIAL INC 0.0 % 0.0 % +0.0 pp $8.6M 98,349
HELD SRFM SURF AIR MOBILITY INC 0.0 % 0.0 % +0.0 pp $8.6M 7,380,092
HELD AIA ISHARES TR 0.0 % 0.0 % +0.0 pp $8.5M 60,325
HELD PLPC PREFORMED LINE PRODS CO 0.0 % 0.0 % +0.0 pp $8.5M 20,801
HELD OMCL OMNICELL COM 0.0 % 0.0 % +0.0 pp $8.5M 205,406
HELD ARWR 0 01/15/32 ARROWHEAD PHARMACEUTICALS IN 0.0 % 0.0 % +0.0 pp $8.5M 7,100,000
HELD WLFC WILLIS LEASE FIN CORP 0.0 % 0.0 % +0.0 pp $8.5M 37,030
HELD PZA INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $8.5M 359,713
HELD PBR/A PETROLEO BRASILEIRO S A 0.0 % 0.0 % +0.0 pp $8.5M 577,585
HELD IWP ISHARES TR 0.0 % 0.0 % +0.0 pp $8.4M 57,659
HELD SWIM LATHAM GROUP INC 0.0 % 0.0 % +0.0 pp $8.4M 1,303,746
HELD ENTG ENTEGRIS INC 0.0 % 0.0 % +0.0 pp $8.4M 46,784
HELD EVMO MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $8.4M 168,275
HELD EIG EMPLOYERS HLDGS INC 0.0 % 0.0 % +0.0 pp $8.4M 166,560
HELD DBC INVESCO DB COMMDY INDX TRCK 0.0 % 0.0 % +0.0 pp $8.4M 315,201
HELD PBR PETROLEO BRASILEIRO S A 0.0 % 0.0 % +0.0 pp $8.4M 518,979
HELD FWRG FIRST WATCH RESTAURANT GROUP 0.0 % 0.0 % +0.0 pp $8.4M 650,156
HELD JOYY JOYY INC 0.0 % 0.0 % +0.0 pp $8.4M 126,825
HELD ? PHARVARIS N V 0.0 % 0.0 % +0.0 pp $8.4M 241,785
HELD GVI ISHARES TR 0.0 % 0.0 % +0.0 pp $8.3M 78,682
HELD ? SEADRILL LTD 0.0 % 0.0 % +0.0 pp $8.3M 220,719
HELD VNET VNET GROUP INC 0.0 % 0.0 % +0.0 pp $8.3M 1,038,189
HELD ASM AVINO SILVER & GOLD MINES LT 0.0 % 0.0 % +0.0 pp $8.3M 1,310,912
HELD FLOT ISHARES TR 0.0 % 0.0 % +0.0 pp $8.3M 162,640
HELD SUJA SUJA LIFE INC 0.0 % 0.0 % +0.0 pp $8.3M 816,348
HELD ARCB ARCBEST CORP 0.0 % 0.0 % +0.0 pp $8.3M 57,731
HELD ? JBS N.V. 0.0 % 0.0 % +0.0 pp $8.3M 697,429
HELD BATRK ATLANTA BRAVES HLDGS INC 0.0 % 0.0 % +0.0 pp $8.3M 159,035
HELD MZTI MARZETTI COMPANY 0.0 % 0.0 % +0.0 pp $8.3M 72,271
HELD BBD BANCO BRADESCO S A 0.0 % 0.0 % +0.0 pp $8.2M 2,364,843
HELD ARE ALEXANDRIA REAL ESTATE EQ IN 0.0 % 0.0 % +0.0 pp $8.2M 155,090
HELD ? LIBERTY GLOBAL LTD 0.0 % 0.0 % +0.0 pp $8.2M 745,049
HELD CPS COOPER-STANDARD HOLDINGS INC 0.0 % 0.0 % +0.0 pp $8.2M 302,671
HELD ? M3BRIGADE ACQUISITION V CORP 0.0 % 0.0 % +0.0 pp $8.2M 753,709
HELD PATK PATRICK INDS INC 0.0 % 0.0 % +0.0 pp $8.2M 90,880
HELD TCBI TEXAS CAP BANCSHARES INC 0.0 % 0.0 % +0.0 pp $8.1M 78,701
HELD CGMS CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $8.1M 297,020
HELD MYCH SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $8.1M 325,692
HELD SEIC SEI INVTS CO 0.0 % 0.0 % +0.0 pp $8.1M 92,433
HELD ADEA ADEIA INC 0.0 % 0.0 % +0.0 pp $8.1M 245,984
HELD IBDR ISHARES TR 0.0 % 0.0 % +0.0 pp $8.1M 334,081
HELD IBN ICICI BANK LIMITED 0.0 % 0.0 % +0.0 pp $8.1M 278,728
HELD XRAY DENTSPLY SIRONA INC 0.0 % 0.0 % +0.0 pp $8.1M 762,317
HELD IVT INVENTRUST PPTYS CORP 0.0 % 0.0 % +0.0 pp $8.1M 228,199
HELD HTH HILLTOP HLDGS INC 0.0 % 0.0 % +0.0 pp $8.0M 207,452
HELD GOGO GOGO INC 0.0 % 0.0 % +0.0 pp $8.0M 2,594,242
HELD FTV FORTIVE CORP 0.0 % 0.0 % +0.0 pp $8.0M 131,485
HELD OLMA OLEMA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $8.0M 641,828
HELD IOSP INNOSPEC INC 0.0 % 0.0 % +0.0 pp $8.0M 98,549
HELD RGNX REGENXBIO INC 0.0 % 0.0 % +0.0 pp $8.0M 669,023
HELD TFI SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $8.0M 174,969
HELD ISTR INVESTAR HOLDING CORP 0.0 % 0.0 % +0.0 pp $8.0M 267,398
HELD VTRS VIATRIS INC 0.0 % 0.0 % +0.0 pp $8.0M 502,259
HELD NGS NATURAL GAS SVCS GROUP INC 0.0 % 0.0 % +0.0 pp $8.0M 184,747
HELD TLN TALEN ENERGY CORP 0.0 % 0.0 % +0.0 pp $8.0M 20,710
HELD ANIP ANI PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $8.0M 96,082
HELD GSK GSK PLC 0.0 % 0.0 % +0.0 pp $7.9M 151,573
HELD ? RADWARE LTD 0.0 % 0.0 % +0.0 pp $7.9M 256,047
HELD LASR NLIGHT INC 0.0 % 0.0 % +0.0 pp $7.9M 113,418
HELD JMUB J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $7.9M 155,263
HELD ATRO ASTRONICS CORP 0.0 % 0.0 % +0.0 pp $7.8M 96,566
HELD TNET TRINET GROUP INC 0.0 % 0.0 % +0.0 pp $7.8M 158,359
HELD CMPX COMPASS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $7.8M 3,570,674
HELD CRWV COREWEAVE INC 0.0 % 0.0 % +0.0 pp $7.8M 78,546
HELD BANF BANCFIRST CORP 0.0 % 0.0 % +0.0 pp $7.8M 70,196
HELD ? TEEKAY CORPORATION LTD 0.0 % 0.0 % +0.0 pp $7.8M 779,519
HELD STAG STAG INDUSTRIAL INC 0.0 % 0.0 % +0.0 pp $7.8M 203,929
HELD GDS GDS HLDGS LTD 0.0 % 0.0 % +0.0 pp $7.7M 257,160
HELD ? MONDAY COM LTD 0.0 % 0.0 % +0.0 pp $7.7M 106,516
HELD SXT SENSIENT TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $7.7M 62,515
HELD VITL VITAL FARMS INC 0.0 % 0.0 % +0.0 pp $7.7M 662,630
HELD MBUU MALIBU BOATS INC 0.0 % 0.0 % +0.0 pp $7.7M 280,461
HELD DQ DAQO NEW ENERGY CORP 0.0 % 0.0 % +0.0 pp $7.7M 573,966
HELD CLF CLEVELAND-CLIFFS INC NEW 0.0 % 0.0 % +0.0 pp $7.7M 816,378
HELD SON SONOCO PRODS CO 0.0 % 0.0 % +0.0 pp $7.7M 136,032
HELD TM TOYOTA MOTOR CORP 0.0 % 0.0 % +0.0 pp $7.6M 45,421
HELD SKT TANGER INC 0.0 % 0.0 % +0.0 pp $7.6M 193,721
HELD MSOS ADVISORSHARES TR 0.0 % 0.0 % +0.0 pp $7.6M 1,502,265
HELD GEF GREIF INC 0.0 % 0.0 % +0.0 pp $7.6M 102,355
HELD IBCP INDEPENDENT BK CORP MICH 0.0 % 0.0 % +0.0 pp $7.6M 211,161
HELD NNI NELNET INC 0.0 % 0.0 % +0.0 pp $7.6M 57,086
HELD PRME PRIME MEDICINE INC 0.0 % 0.0 % +0.0 pp $7.6M 2,054,543
HELD SOLV SOLVENTUM CORP 0.0 % 0.0 % +0.0 pp $7.6M 98,232
HELD STEP STEPSTONE GROUP INC 0.0 % 0.0 % +0.0 pp $7.6M 182,893
HELD ? CELLEBRITE DI LTD 0.0 % 0.0 % +0.0 pp $7.6M 517,144
HELD ? DORIAN LPG LTD 0.0 % 0.0 % +0.0 pp $7.5M 216,577
HELD BSCY INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $7.5M 363,902
HELD TPC TUTOR PERINI CORP 0.0 % 0.0 % +0.0 pp $7.5M 90,572
HELD CUBI CUSTOMERS BANCORP INC 0.0 % 0.0 % +0.0 pp $7.5M 94,910
HELD QYLD GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $7.5M 405,857
HELD IBP INSTALLED BLDG PRODS INC 0.0 % 0.0 % +0.0 pp $7.5M 32,536
HELD MOO VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $7.5M 94,387
HELD KIM KIMCO REALTY CORP 0.0 % 0.0 % +0.0 pp $7.5M 294,431
HELD ? MOZAYYX ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $7.5M 741,776
HELD MEC MAYVILLE ENGR CO INC 0.0 % 0.0 % +0.0 pp $7.4M 198,712
HELD PDS PRECISION DRILLING CORP 0.0 % 0.0 % +0.0 pp $7.4M 96,960
HELD MAX MEDIAALPHA INC 0.0 % 0.0 % +0.0 pp $7.4M 589,696
HELD AARD AARDVARK THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $7.4M 1,283,166
HELD HTLD HEARTLAND EXPRESS INC 0.0 % 0.0 % +0.0 pp $7.4M 485,506
HELD TPYP TORTOISE CAPITAL SERIES TRUS 0.0 % 0.0 % +0.0 pp $7.4M 175,953
HELD PONY PONY AI INC 0.0 % 0.0 % +0.0 pp $7.4M 1,058,925
HELD RLMD RELMADA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $7.3M 1,061,665
HELD RELX RELX PLC 0.0 % 0.0 % +0.0 pp $7.3M 231,823
HELD GBX GREENBRIER COS INC 0.0 % 0.0 % +0.0 pp $7.3M 149,551
HELD AAT AMERICAN ASSETS TR INC 0.0 % 0.0 % +0.0 pp $7.3M 296,680
HELD NHP NATIONAL HEALTHCARE PPTYS IN 0.0 % 0.0 % +0.0 pp $7.3M 500,000
HELD EQX EQUINOX GOLD CORP 0.0 % 0.0 % +0.0 pp $7.3M 752,891
HELD BSY BENTLEY SYS INC 0.0 % 0.0 % +0.0 pp $7.3M 244,696
HELD UNFI UNITED NAT FOODS INC 0.0 % 0.0 % +0.0 pp $7.3M 159,845
HELD CVCO CAVCO INDS INC DEL 0.0 % 0.0 % +0.0 pp $7.3M 11,872
HELD UHAL/B U HAUL HOLDING COMPANY 0.0 % 0.0 % +0.0 pp $7.3M 125,969
HELD FXL FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $7.3M 33,414
HELD IBDZ ISHARES TR 0.0 % 0.0 % +0.0 pp $7.2M 278,288
HELD CGEM CULLINAN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $7.2M 397,484
HELD PRSU PURSUIT ATTRACTIONS AND HOSP 0.0 % 0.0 % +0.0 pp $7.2M 129,227
HELD PRLB PROTO LABS INC 0.0 % 0.0 % +0.0 pp $7.2M 88,625
HELD ? INMODE LTD 0.0 % 0.0 % +0.0 pp $7.2M 493,064
HELD SECU BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $7.2M 144,480
HELD J JACOBS SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $7.2M 57,022
HELD USMV ISHARES TR 0.0 % 0.0 % +0.0 pp $7.2M 74,265
HELD CERT CERTARA INC 0.0 % 0.0 % +0.0 pp $7.2M 1,093,243
HELD PALL ABRDN PALLADIUM ETF TRUST 0.0 % 0.0 % +0.0 pp $7.2M 324,215
HELD XMTR XOMETRY INC 0.0 % 0.0 % +0.0 pp $7.1M 74,052
HELD ? BUNGE GLOBAL SA 0.0 % 0.0 % +0.0 pp $7.1M 66,872
HELD AIQ GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $7.1M 108,618
HELD TTI TETRA TECHNOLOGIES INC DEL 0.0 % 0.0 % +0.0 pp $7.1M 627,772
HELD EVLV EVOLV TECHNOLOGIES HLDNGS IN 0.0 % 0.0 % +0.0 pp $7.1M 1,225,168
HELD SBCF SEACOAST BKG CORP FLA 0.0 % 0.0 % +0.0 pp $7.1M 213,331
HELD EVER EVERQUOTE INC 0.0 % 0.0 % +0.0 pp $7.1M 298,048
HELD OSBC OLD SECOND BANCORP INC DEL 0.0 % 0.0 % +0.0 pp $7.1M 304,021
HELD UCB UNITED CMNTY BKS BLAIRSVLE G 0.0 % 0.0 % +0.0 pp $7.1M 201,678
HELD URTH ISHARES INC 0.0 % 0.0 % +0.0 pp $7.1M 34,922
HELD BMRC BANK OF MARIN BANCORP 0.0 % 0.0 % +0.0 pp $7.1M 255,290
HELD HIW HIGHWOODS PPTYS INC 0.0 % 0.0 % +0.0 pp $7.1M 234,277
HELD RGR STURM RUGER & CO INC 0.0 % 0.0 % +0.0 pp $7.1M 186,404
HELD CBU COMMUNITY FINANCIAL SYSTEM I 0.0 % 0.0 % +0.0 pp $7.1M 105,104
HELD RARE ULTRAGENYX PHARMACEUTICAL IN 0.0 % 0.0 % +0.0 pp $7.0M 210,531
HELD EWJV ISHARES TR 0.0 % 0.0 % +0.0 pp $7.0M 159,447
HELD LBRX LB PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $7.0M 215,969
HELD GPC GENUINE PARTS CO 0.0 % 0.0 % +0.0 pp $7.0M 59,356
HELD ? PAGSEGURO DIGITAL LTD 0.0 % 0.0 % +0.0 pp $7.0M 771,961
HELD SPYV SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $7.0M 114,681
HELD MWH SOLV ENERGY INC 0.0 % 0.0 % +0.0 pp $7.0M 204,611
HELD APPS DIGITAL TURBINE INC 0.0 % 0.0 % +0.0 pp $7.0M 539,355
HELD GOOS CANADA GOOSE HLDGS INC 0.0 % 0.0 % +0.0 pp $6.9M 729,363
HELD LSTR LANDSTAR SYS INC 0.0 % 0.0 % +0.0 pp $6.9M 33,489
HELD TXT TEXTRON INC 0.0 % 0.0 % +0.0 pp $6.9M 75,358
HELD PFBC PREFERRED BK LOS ANGELES CA 0.0 % 0.0 % +0.0 pp $6.9M 64,837
HELD SCUS SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $6.9M 272,901
HELD MP MP MATERIALS CORP 0.0 % 0.0 % +0.0 pp $6.9M 122,342
HELD SEI 0.25 10/01/31 SOLARIS ENERGY INFRAS INC 0.0 % 0.0 % +0.0 pp $6.8M 4,199,000
HELD LMBS FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $6.8M 137,190
HELD CHCO CITY HLDG CO 0.0 % 0.0 % +0.0 pp $6.8M 51,458
HELD ? KYIVSTAR GROUP LTD 0.0 % 0.0 % +0.0 pp $6.8M 421,568
HELD VFH VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $6.8M 51,543
HELD TIC TIC SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $6.8M 838,083
HELD TRN TRINITY INDS INC 0.0 % 0.0 % +0.0 pp $6.8M 195,971
HELD ORC ORCHID IS CAP INC 0.0 % 0.0 % +0.0 pp $6.8M 972,010
HELD TKO TKO GROUP HOLDINGS INC 0.0 % 0.0 % +0.0 pp $6.8M 33,641
HELD SLDP SOLID POWER INC 0.0 % 0.0 % +0.0 pp $6.8M 2,611,214
HELD ? GILAT SATELLITE NETWORKS LTD 0.0 % 0.0 % +0.0 pp $6.8M 507,566
HELD FIBK FIRST INTST BANCSYSTEM INC 0.0 % 0.0 % +0.0 pp $6.8M 175,090
HELD IVA INVENTIVA SA 0.0 % 0.0 % +0.0 pp $6.7M 1,784,566
HELD MGPI MGP INGREDIENTS INC NEW 0.0 % 0.0 % +0.0 pp $6.7M 384,658
HELD STBA S & T BANCORP INC 0.0 % 0.0 % +0.0 pp $6.7M 137,198
HELD FET FORUM ENERGY TECHNOLOGIES IN 0.0 % 0.0 % +0.0 pp $6.7M 133,937
HELD JAN JANUS LIVING INC 0.0 % 0.0 % +0.0 pp $6.7M 234,003
HELD KSTR KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $6.7M 207,676
HELD HURN HURON CONSULTING GROUP INC 0.0 % 0.0 % +0.0 pp $6.7M 74,441
HELD STAA STAAR SURGICAL CO 0.0 % 0.0 % +0.0 pp $6.7M 233,384
HELD HESM HESS MIDSTREAM LP 0.0 % 0.0 % +0.0 pp $6.7M 177,924
HELD ? JOBY AVIATION INC 0.0 % 0.0 % +0.0 pp $6.7M 749,493
HELD AMPL AMPLITUDE INC 0.0 % 0.0 % +0.0 pp $6.7M 872,866
HELD ? STEVANATO GROUP S P A 0.0 % 0.0 % +0.0 pp $6.7M 369,225
HELD PD PAGERDUTY INC 0.0 % 0.0 % +0.0 pp $6.7M 690,785
HELD COMP COMPASS INC 0.0 % 0.0 % +0.0 pp $6.7M 539,475
HELD AUR AURORA INNOVATION INC 0.0 % 0.0 % +0.0 pp $6.6M 975,005
HELD OXM OXFORD INDS INC 0.0 % 0.0 % +0.0 pp $6.6M 190,546
HELD CARS CARS COM INC 0.0 % 0.0 % +0.0 pp $6.6M 606,921
HELD VERX VERTEX INC 0.0 % 0.0 % +0.0 pp $6.6M 576,895
HELD SPYI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $6.6M 124,338
HELD VNLA JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $6.6M 134,997
HELD GFF GRIFFON CORP 0.0 % 0.0 % +0.0 pp $6.6M 67,615
HELD VHT VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $6.6M 22,040
HELD INFY INFOSYS LTD 0.0 % 0.0 % +0.0 pp $6.6M 628,082
HELD INGM INGRAM MICRO HLDG CORP 0.0 % 0.0 % +0.0 pp $6.6M 239,360
HELD TDOC TELADOC HEALTH INC 0.0 % 0.0 % +0.0 pp $6.5M 770,294
HELD FLG FLAGSTAR BANK NATIONAL ASSOC 0.0 % 0.0 % +0.0 pp $6.5M 436,618
HELD FSSL FS SPECIALTY LENDING FD 0.0 % 0.0 % +0.0 pp $6.5M 585,015
HELD NWPX NWPX INFRASTRUCTURE INC 0.0 % 0.0 % +0.0 pp $6.5M 43,492
HELD BBSI BARRETT BUSINESS SVCS INC 0.0 % 0.0 % +0.0 pp $6.5M 183,214
HELD SRCE 1ST SOURCE CORP 0.0 % 0.0 % +0.0 pp $6.5M 79,643
HELD CTNM CONTINEUM THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $6.5M 396,354
HELD VTOL BRISTOW GROUP INC 0.0 % 0.0 % +0.0 pp $6.5M 156,616
HELD SHOE SHOE STA GROUP INC 0.0 % 0.0 % +0.0 pp $6.5M 435,377
HELD ZD ZIFF DAVIS INC 0.0 % 0.0 % +0.0 pp $6.4M 122,592
HELD HOMB HOME BANCSHARES INC 0.0 % 0.0 % +0.0 pp $6.4M 224,818
HELD BKE BUCKLE INC 0.0 % 0.0 % +0.0 pp $6.4M 152,090
HELD KIDS ORTHOPEDIATRICS CORP 0.0 % 0.0 % +0.0 pp $6.4M 334,651
HELD DNUT KRISPY KREME INC 0.0 % 0.0 % +0.0 pp $6.4M 1,808,353
HELD ? ALVOTECH 0.0 % 0.0 % +0.0 pp $6.4M 1,728,002
HELD GVA GRANITE CONSTR INC 0.0 % 0.0 % +0.0 pp $6.4M 40,299
HELD WABC WESTAMERICA BANCORPORATION 0.0 % 0.0 % +0.0 pp $6.4M 108,509
HELD CAKE 2 03/15/30 CHEESECAKE FACTORY INC 0.0 % 0.0 % +0.0 pp $6.4M 5,000,000
HELD YELP YELP INC 0.0 % 0.0 % +0.0 pp $6.4M 259,477
HELD BWMN BOWMAN CONSULTING GROUP LTD 0.0 % 0.0 % +0.0 pp $6.4M 217,863
HELD NET 0 06/15/30 CLOUDFLARE INC 0.0 % 0.0 % +0.0 pp $6.3M 5,000,000
HELD CSTL CASTLE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $6.3M 265,353
HELD GPOR GULFPORT ENERGY CORP 0.0 % 0.0 % +0.0 pp $6.3M 37,203
HELD ? NOBLE CORP PLC 0.0 % 0.0 % +0.0 pp $6.3M 169,084
HELD WFG WEST FRASER TIMBER CO LTD 0.0 % 0.0 % +0.0 pp $6.3M 93,044
HELD INN SUMMIT HOTEL PPTYS 0.0 % 0.0 % +0.0 pp $6.3M 897,514
HELD BMO BANK MONTREAL MEDIUM 0.0 % 0.0 % +0.0 pp $6.3M 35,484
HELD BCAX BICARA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $6.3M 211,142
HELD BAM BROOKFIELD ASSET MANAGMT LTD 0.0 % 0.0 % +0.0 pp $6.3M 139,421
HELD ? REZOLVE AI PLC 0.0 % 0.0 % +0.0 pp $6.2M 1,983,630
HELD BLMN BLOOMIN BRANDS INC 0.0 % 0.0 % +0.0 pp $6.2M 683,497
HELD GNL GLOBAL NET LEASE INC 0.0 % 0.0 % +0.0 pp $6.2M 698,682
HELD MCHB MECHANICS BANCORP 0.0 % 0.0 % +0.0 pp $6.2M 392,567
HELD MOAT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $6.2M 60,037
HELD TGS TRANSPORTADORA DE GAS DEL SU 0.0 % 0.0 % +0.0 pp $6.2M 209,412
HELD IBOC INTERNATIONAL BANCSHARES COR 0.0 % 0.0 % +0.0 pp $6.2M 81,735
HELD IAI ISHARES TR 0.0 % 0.0 % +0.0 pp $6.2M 35,389
HELD AESI ATLAS ENERGY SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $6.2M 373,417
HELD GLP GLOBAL PARTNERS LP 0.0 % 0.0 % +0.0 pp $6.2M 132,934
HELD FMNB FARMERS NATIONAL BANC CORP 0.0 % 0.0 % +0.0 pp $6.2M 423,186
HELD IMVT IMMUNOVANT INC 0.0 % 0.0 % +0.0 pp $6.2M 160,123
HELD PFIX SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $6.2M 142,237
HELD TFPM TRIPLE FLAG PRECIOUS METAL 0.0 % 0.0 % +0.0 pp $6.2M 205,704
HELD NKTX NKARTA INC 0.0 % 0.0 % +0.0 pp $6.2M 2,174,745
HELD PACS PACS GROUP INC 0.0 % 0.0 % +0.0 pp $6.2M 144,242
HELD EMA EMERA INC 0.0 % 0.0 % +0.0 pp $6.1M 115,953
HELD DISV DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $6.1M 153,020
HELD KOD KODIAK SCIENCES INC 0.0 % 0.0 % +0.0 pp $6.1M 157,524
HELD KRUS KURA SUSHI USA INC 0.0 % 0.0 % +0.0 pp $6.1M 106,524
HELD FRME FIRST MERCHANTS CORP 0.0 % 0.0 % +0.0 pp $6.1M 140,294
HELD NBBK NB BANCORP INC 0.0 % 0.0 % +0.0 pp $6.1M 289,814
HELD DUSB DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $6.1M 120,512
HELD MITK MITEK SYS INC 0.0 % 0.0 % +0.0 pp $6.1M 303,007
HELD EFSC ENTERPRISE FINL SVCS CORP 0.0 % 0.0 % +0.0 pp $6.1M 92,558
HELD LLYVA LIBERTY LIVE HOLDINGS INC 0.0 % 0.0 % +0.0 pp $6.1M 60,175
HELD VC VISTEON CORP 0.0 % 0.0 % +0.0 pp $6.1M 61,367
HELD WASH WASHINGTON TR BANCORP INC 0.0 % 0.0 % +0.0 pp $6.1M 166,298
HELD ESRT EMPIRE ST RLTY TR INC 0.0 % 0.0 % +0.0 pp $6.1M 1,120,921
HELD PRG PROG HOLDINGS INC 0.0 % 0.0 % +0.0 pp $6.1M 130,088
HELD IYE ISHARES TR 0.0 % 0.0 % +0.0 pp $6.1M 107,005
HELD TR TOOTSIE ROLL INDS INC 0.0 % 0.0 % +0.0 pp $6.0M 152,804
HELD WLY WILEY JOHN & SONS INC 0.0 % 0.0 % +0.0 pp $6.0M 124,434
HELD SUB ISHARES TR 0.0 % 0.0 % +0.0 pp $6.0M 56,606
HELD SLV ISHARES SILVER TR 0.0 % 0.0 % +0.0 pp $6.0M 112,395
HELD AVR ANTERIS TECHNOLOGIES GLOBAL 0.0 % 0.0 % +0.0 pp $6.0M 610,044
HELD AGL AGILON HEALTH INC 0.0 % 0.0 % +0.0 pp $6.0M 56,045
HELD SPB SPECTRUM BRANDS HOLDINGS INC 0.0 % 0.0 % +0.0 pp $6.0M 69,993
HELD FRBT FORBRIGHT INC 0.0 % 0.0 % +0.0 pp $6.0M 327,697
HELD AVTX AVALO THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $6.0M 323,833
HELD IE IVANHOE ELECTRIC INC 0.0 % 0.0 % +0.0 pp $6.0M 621,901
HELD PDFS PDF SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $6.0M 84,419
HELD HRTG HERITAGE INSURANCE HLDGS INC 0.0 % 0.0 % +0.0 pp $6.0M 228,953
HELD YMM FULL TRUCK ALLIANCE CO LTD 0.0 % 0.0 % +0.0 pp $6.0M 734,984
HELD SYBT STOCK YDS BANCORP INC 0.0 % 0.0 % +0.0 pp $6.0M 78,002
HELD CWBC COMMUNITY WEST BANCSHARES NE 0.0 % 0.0 % +0.0 pp $6.0M 221,531
HELD CGCB CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $5.9M 227,177
HELD CRVS CORVUS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $5.9M 397,951
HELD OPER ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $5.9M 59,397
HELD ? SENSATA TECHNOLOGIES HLDG PL 0.0 % 0.0 % +0.0 pp $5.9M 124,209
HELD ARR ARMOUR RESIDENTIAL REIT INC 0.0 % 0.0 % +0.0 pp $5.9M 339,735
HELD FMC FMC CORP 0.0 % 0.0 % +0.0 pp $5.9M 515,394
HELD JETS ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $5.9M 178,202
HELD ARTV ARTIVA BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $5.9M 609,376
HELD MCRI MONARCH CASINO & RESORT INC 0.0 % 0.0 % +0.0 pp $5.9M 44,884
HELD HSAI HESAI GROUP 0.0 % 0.0 % +0.0 pp $5.9M 323,663
HELD ? LUXFER HLDGS PLC 0.0 % 0.0 % +0.0 pp $5.9M 326,110
HELD AGX ARGAN INC 0.0 % 0.0 % +0.0 pp $5.9M 7,355
HELD HUBG HUB GROUP INC 0.0 % 0.0 % +0.0 pp $5.9M 133,760
HELD DFUV DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $5.9M 106,428
HELD XLC SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $5.9M 54,612
HELD DGXX DIGI PWR X INC 0.0 % 0.0 % +0.0 pp $5.8M 1,072,862
HELD HIMX HIMAX TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $5.8M 380,639
HELD MTRX MATRIX SVC CO 0.0 % 0.0 % +0.0 pp $5.8M 426,023
HELD ? ARDAGH METAL PACKAGING S A 0.0 % 0.0 % +0.0 pp $5.8M 1,230,286
HELD MPT MEDICAL PROPERTIES TRUST INC 0.0 % 0.0 % +0.0 pp $5.8M 1,261,093
HELD ? KORNIT DIGITAL LTD 0.0 % 0.0 % +0.0 pp $5.8M 358,278
HELD ? APOGEE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $5.8M 43,857
HELD NPKI NPK INTERNATIONAL INC 0.0 % 0.0 % +0.0 pp $5.8M 363,503
HELD CBAN COLONY BANKCORP INC 0.0 % 0.0 % +0.0 pp $5.8M 287,598
HELD CGGE CAPITAL GROUP GLOBAL EQUITY 0.0 % 0.0 % +0.0 pp $5.8M 163,775
HELD SIGI SELECTIVE INS GROUP INC 0.0 % 0.0 % +0.0 pp $5.8M 59,424
HELD VUSB VANGUARD BD INDEX FDS 0.0 % 0.0 % +0.0 pp $5.8M 115,752
HELD AIZ ASSURANT INC 0.0 % 0.0 % +0.0 pp $5.7M 21,371
HELD CNOB CONNECTONE BANCORP INC 0.0 % 0.0 % +0.0 pp $5.7M 171,400
HELD SCMB SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $5.7M 221,635
HELD UMC UNITED MICROELECTRONICS CORP 0.0 % 0.0 % +0.0 pp $5.7M 210,158
HELD USHY ISHARES TR 0.0 % 0.0 % +0.0 pp $5.7M 154,116
HELD ? ERMENEGILDO ZEGNA N V 0.0 % 0.0 % +0.0 pp $5.7M 438,012
HELD SYSB ISHARES TR 0.0 % 0.0 % +0.0 pp $5.7M 64,115
HELD RDDT REDDIT INC 0.0 % 0.0 % +0.0 pp $5.7M 32,674
HELD TNGX TANGO THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $5.7M 181,059
HELD SNDX SYNDAX PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $5.6M 258,278
HELD BOKF BOK FINL CORP 0.0 % 0.0 % +0.0 pp $5.6M 40,628
HELD YOU CLEAR SECURE INC 0.0 % 0.0 % +0.0 pp $5.6M 101,153
HELD USPH U S PHYSICAL THERAPY 0.0 % 0.0 % +0.0 pp $5.6M 82,053
HELD SOXL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $5.6M 21,096
HELD DXYZ DESTINY TECH100 INC 0.0 % 0.0 % +0.0 pp $5.6M 218,185
HELD IDT IDT CORP 0.0 % 0.0 % +0.0 pp $5.6M 96,634
HELD MGC VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $5.6M 20,539
HELD DVYE ISHARES INC 0.0 % 0.0 % +0.0 pp $5.6M 173,944
HELD ? VTEX 0.0 % 0.0 % +0.0 pp $5.6M 1,397,368
HELD IIIV I3 VERTICALS INC 0.0 % 0.0 % +0.0 pp $5.6M 261,523
HELD STRA STRATEGIC ED INC 0.0 % 0.0 % +0.0 pp $5.6M 72,844
HELD ? INTERNATIONAL SEAWAYS INC 0.0 % 0.0 % +0.0 pp $5.6M 72,838
HELD ? ANGLOGOLD ASHANTI PLC 0.0 % 0.0 % +0.0 pp $5.6M 68,727
HELD XHB SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $5.6M 48,103
HELD COWZ PACER FDS TR 0.0 % 0.0 % +0.0 pp $5.5M 89,145
HELD MOV MOVADO GROUP INC 0.0 % 0.0 % +0.0 pp $5.5M 140,276
HELD IDMO INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $5.5M 91,400
HELD MCS MARCUS CORP DEL 0.0 % 0.0 % +0.0 pp $5.5M 234,831
HELD LFST LIFESTANCE HEALTH GROUP INC 0.0 % 0.0 % +0.0 pp $5.5M 514,292
HELD KSPI KASPI KZ JSC 0.0 % 0.0 % +0.0 pp $5.5M 63,459
HELD HAFC HANMI FINL CORP 0.0 % 0.0 % +0.0 pp $5.5M 169,213
HELD TBUX T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $5.5M 110,063
HELD ECVT ECOVYST INC 0.0 % 0.0 % +0.0 pp $5.5M 439,630
HELD ARKO ARKO CORP 0.0 % 0.0 % +0.0 pp $5.5M 681,461
HELD GII SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $5.5M 72,256
HELD CPT CAMDEN PPTY TR 0.0 % 0.0 % +0.0 pp $5.5M 47,756
HELD SPMO INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $5.5M 33,772
HELD IWC ISHARES TR 0.0 % 0.0 % +0.0 pp $5.5M 27,251
HELD BHC BAUSCH HEALTH COS INC 0.0 % 0.0 % +0.0 pp $5.4M 1,105,055
HELD AVBP ARRIVENT BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $5.4M 156,742
HELD PUBM PUBMATIC INC 0.0 % 0.0 % +0.0 pp $5.4M 414,880
HELD ? NUVALENT INC 0.0 % 0.0 % +0.0 pp $5.4M 43,937
HELD OKUR ONKURE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $5.4M 1,187,047
HELD BURL BURLINGTON STORES INC 0.0 % 0.0 % +0.0 pp $5.4M 17,051
HELD SPT SPROUT SOCIAL INC 0.0 % 0.0 % +0.0 pp $5.4M 715,399
HELD CNNE CANNAE HLDGS INC 0.0 % 0.0 % +0.0 pp $5.4M 374,466
HELD ? CNH INDL N V 0.0 % 0.0 % +0.0 pp $5.4M 479,878
HELD IA INNOVATIVE SOLUTIONS & SUPPO 0.0 % 0.0 % +0.0 pp $5.4M 299,281
HELD ? XCHG LTD 0.0 % 0.0 % +0.0 pp $5.4M 6,816,411
HELD MSA MSA SAFETY INC 0.0 % 0.0 % +0.0 pp $5.4M 30,785
HELD BOTZ GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $5.4M 141,531
HELD REMX VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $5.3M 60,444
HELD ALV AUTOLIV INC 0.0 % 0.0 % +0.0 pp $5.3M 46,030
HELD MBWM MERCANTILE BK CORP 0.0 % 0.0 % +0.0 pp $5.3M 93,094
HELD HLIT HARMONIC INC 0.0 % 0.0 % +0.0 pp $5.3M 326,032
HELD INDA ISHARES TR 0.0 % 0.0 % +0.0 pp $5.3M 107,632
HELD CAI CARIS LIFE SCIENCES INC 0.0 % 0.0 % +0.0 pp $5.3M 297,855
HELD IVE ISHARES TR 0.0 % 0.0 % +0.0 pp $5.3M 23,297
HELD URNM SPROTT FDS TR 0.0 % 0.0 % +0.0 pp $5.3M 100,221
HELD OPTU OPTIMUM COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $5.3M 3,634,624
HELD XERS XERIS BIOPHARMA HOLDINGS INC 0.0 % 0.0 % +0.0 pp $5.3M 664,564
HELD KRT KARAT PACKAGING INC 0.0 % 0.0 % +0.0 pp $5.3M 157,069
HELD ARDX ARDELYX INC 0.0 % 0.0 % +0.0 pp $5.3M 1,030,174
HELD CLFD CLEARFIELD INC 0.0 % 0.0 % +0.0 pp $5.2M 131,916
HELD XTL SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $5.2M 23,058
HELD LODE COMSTOCK INC 0.0 % 0.0 % +0.0 pp $5.2M 1,260,185
HELD ARKQ ARK ETF TR 0.0 % 0.0 % +0.0 pp $5.2M 39,632
HELD NWS NEWS CORP NEW 0.0 % 0.0 % +0.0 pp $5.2M 186,046
HELD IMMX IMMIX BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $5.2M 506,157
HELD ANGI ANGI INC 0.0 % 0.0 % +0.0 pp $5.2M 874,945
HELD IAK ISHARES TR 0.0 % 0.0 % +0.0 pp $5.2M 37,023
HELD NXDR NEXTDOOR HOLDINGS INC 0.0 % 0.0 % +0.0 pp $5.2M 2,291,435
HELD CDNL CARDINAL INFRASTRUCTURE GROU 0.0 % 0.0 % +0.0 pp $5.2M 55,183
HELD METU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $5.2M 255,862
HELD CRNXGBP CRINETICS PHARMACEUTICALS IN 0.0 % 0.0 % +0.0 pp $5.2M 138,329
HELD TDI TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $5.2M 115,209
HELD GPIQ GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $5.2M 87,171
HELD TWFG TWFG INC 0.0 % 0.0 % +0.0 pp $5.2M 214,589
HELD ARVN ARVINAS INC 0.0 % 0.0 % +0.0 pp $5.2M 620,973
HELD MH MCGRAW HILL INC 0.0 % 0.0 % +0.0 pp $5.2M 544,595
HELD FBNC FIRST BANCORP N C 0.0 % 0.0 % +0.0 pp $5.2M 80,642
HELD BHB BAR HBR BANKSHARES 0.0 % 0.0 % +0.0 pp $5.2M 136,522
HELD TRMB TRIMBLE INC 0.0 % 0.0 % +0.0 pp $5.2M 100,692
HELD NUIF NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $5.2M 199,613
HELD ACHR ARCHER AVIATION INC 0.0 % 0.0 % +0.0 pp $5.1M 1,088,496
HELD BCC BOISE CASCADE CO DEL 0.0 % 0.0 % +0.0 pp $5.1M 66,146
HELD FCCO FIRST CMNTY CORP S C 0.0 % 0.0 % +0.0 pp $5.1M 157,021
HELD NPO ENPRO INC 0.0 % 0.0 % +0.0 pp $5.1M 13,567
HELD ? BANK OF N T BUTTERFIELD & SO 0.0 % 0.0 % +0.0 pp $5.1M 85,925
HELD AMTB AMERANT BANCORP INC 0.0 % 0.0 % +0.0 pp $5.1M 200,151
HELD DV DOUBLEVERIFY HLDGS INC 0.0 % 0.0 % +0.0 pp $5.1M 471,127
HELD ACT ENACT HLDGS INC 0.0 % 0.0 % +0.0 pp $5.1M 111,716
HELD CTO CTO RLTY GROWTH INC NEW 0.0 % 0.0 % +0.0 pp $5.1M 237,221
HELD MSTR 0.625 03/15/30 STRATEGY INC 0.0 % 0.0 % +0.0 pp $5.1M 5,000,000
HELD VICR VICOR CORP 0.0 % 0.0 % +0.0 pp $5.1M 13,434
HELD BBAG J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $5.1M 110,943
HELD ICVT ISHARES TR 0.0 % 0.0 % +0.0 pp $5.1M 41,747
HELD NCNO NCINO INC 0.0 % 0.0 % +0.0 pp $5.1M 310,823
HELD PLAY DAVE & BUSTERS ENTMT INC 0.0 % 0.0 % +0.0 pp $5.1M 444,640
HELD SMA SMARTSTOP SELF STORAG REIT I 0.0 % 0.0 % +0.0 pp $5.1M 155,868
HELD EPU ISHARES TR 0.0 % 0.0 % +0.0 pp $5.1M 60,601
HELD JD JD.COM INC 0.0 % 0.0 % +0.0 pp $5.1M 198,497
HELD EQBK EQUITY BANCSHARES INC 0.0 % 0.0 % +0.0 pp $5.1M 103,087
HELD AHCO ADAPTHEALTH CORP 0.0 % 0.0 % +0.0 pp $5.1M 484,652
HELD RNGR RANGER ENERGY SVCS INC 0.0 % 0.0 % +0.0 pp $5.0M 315,131
HELD XFLT XAI FLOATING RATE & ALTER IN 0.0 % 0.0 % +0.0 pp $5.0M 286,821
HELD NXE NEXGEN ENERGY LTD 0.0 % 0.0 % +0.0 pp $5.0M 534,975
HELD DTH WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $5.0M 92,808
HELD EMXC ISHARES INC 0.0 % 0.0 % +0.0 pp $5.0M 48,880
HELD MNTN MNTN INC 0.0 % 0.0 % +0.0 pp $5.0M 541,761
HELD LION LIONSGATE STUDIOS CORP 0.0 % 0.0 % +0.0 pp $5.0M 324,689
HELD ZBIO ZENAS BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $5.0M 195,780
HELD INDL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $5.0M 109,963
HELD ATRC ATRICURE INC 0.0 % 0.0 % +0.0 pp $5.0M 177,339
HELD SLX VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $5.0M 50,324
HELD ? NOMAD FOODS LTD 0.0 % 0.0 % +0.0 pp $4.9M 451,016
HELD BOND PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $4.9M 53,458
HELD SIDU SIDUS SPACE INC 0.0 % 0.0 % +0.0 pp $4.9M 1,752,690
HELD OC OWENS CORNING NEW 0.0 % 0.0 % +0.0 pp $4.9M 30,948
HELD ? STRATASYS LTD 0.0 % 0.0 % +0.0 pp $4.9M 573,999
HELD FVR FRONTVIEW REIT INC 0.0 % 0.0 % +0.0 pp $4.9M 242,360
HELD SWKS SKYWORKS SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $4.9M 72,297
HELD ROOT ROOT INC 0.0 % 0.0 % +0.0 pp $4.9M 87,598
HELD ? STONECO LTD 0.0 % 0.0 % +0.0 pp $4.9M 451,433
HELD SGRY SURGERY PARTNERS INC 0.0 % 0.0 % +0.0 pp $4.9M 291,280
HELD ENR ENERGIZER HLDGS INC 0.0 % 0.0 % +0.0 pp $4.9M 227,768
HELD ALMR ALAMAR BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $4.9M 180,000
HELD PAYC PAYCOM SOFTWARE INC 0.0 % 0.0 % +0.0 pp $4.9M 38,764
HELD LSPD LIGHTSPEED COMMERCE INC 0.0 % 0.0 % +0.0 pp $4.9M 463,900
HELD RUSHA RUSH ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $4.9M 66,607
HELD UVV UNIVERSAL CORP VA MTNS BK EN 0.0 % 0.0 % +0.0 pp $4.9M 93,164
HELD STLN THE ONCOLOGY INSTITUTE INC 0.0 % 0.0 % +0.0 pp $4.9M 894,101
HELD MARA 0 06/01/31 MARA HOLDINGS INC 0.0 % 0.0 % +0.0 pp $4.9M 5,000,000
HELD FTSM FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $4.8M 81,187
HELD SKM SK TELECOM CO LTD 0.0 % 0.0 % +0.0 pp $4.8M 150,468
HELD MPB MID PENN BANCORP INC 0.0 % 0.0 % +0.0 pp $4.8M 138,792
HELD IBDY ISHARES TR 0.0 % 0.0 % +0.0 pp $4.8M 187,684
HELD IEO ISHARES TR 0.0 % 0.0 % +0.0 pp $4.8M 43,903
HELD WOLF WOLFSPEED INC 0.0 % 0.0 % +0.0 pp $4.8M 99,819
HELD VO VANGUARD INDEX FDS 0.0 % 0.0 % +0.0 pp $4.8M 59,558
HELD TOTL SSGA ACTIVE ETF TR 0.0 % 0.0 % +0.0 pp $4.8M 121,534
HELD HYD VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $4.8M 93,112
HELD PACB PACIFIC BIOSCIENCES CALIF IN 0.0 % 0.0 % +0.0 pp $4.8M 2,845,903
HELD ? TECNOGLASS INC 0.0 % 0.0 % +0.0 pp $4.8M 102,118
HELD DOCU DOCUSIGN INC 0.0 % 0.0 % +0.0 pp $4.8M 107,430
HELD LNN LINDSAY CORP 0.0 % 0.0 % +0.0 pp $4.8M 38,482
HELD ? ODDITY TECH LTD 0.0 % 0.0 % +0.0 pp $4.8M 314,432
HELD BAX BAXTER INTL INC 0.0 % 0.0 % +0.0 pp $4.7M 222,747
HELD IMNM IMMUNOME INC 0.0 % 0.0 % +0.0 pp $4.7M 224,079
HELD XLU SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $4.7M 104,660
HELD DKNG DRAFTKINGS INC NEW 0.0 % 0.0 % +0.0 pp $4.7M 187,718
HELD FEIM FREQUENCY ELECTRS INC 0.0 % 0.0 % +0.0 pp $4.7M 71,464
HELD HLMN HILLMAN SOLUTIONS CORP 0.0 % 0.0 % +0.0 pp $4.7M 561,425
HELD ? SPORTRADAR GROUP AG 0.0 % 0.0 % +0.0 pp $4.7M 316,426
HELD PRK PARK NATL CORP 0.0 % 0.0 % +0.0 pp $4.7M 25,844
HELD WBI WATERBRIDGE INFRASTRUCTURE L 0.0 % 0.0 % +0.0 pp $4.7M 137,922
HELD EFC ELLINGTON FINANCIAL INC 0.0 % 0.0 % +0.0 pp $4.7M 346,508
HELD CPF CENTRAL PAC FINL CORP 0.0 % 0.0 % +0.0 pp $4.7M 123,258
HELD TARA PROTARA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.7M 1,232,365
HELD TRIP TRIPADVISOR INC 0.0 % 0.0 % +0.0 pp $4.7M 343,293
HELD ? ARCOS DORADOS HLDGS INC 0.0 % 0.0 % +0.0 pp $4.7M 583,473
HELD ETHB ISHARES STAKED ETHEREUM TR E 0.0 % 0.0 % +0.0 pp $4.7M 231,229
HELD DFSB DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $4.7M 90,070
HELD AVO MISSION PRODUCE INC 0.0 % 0.0 % +0.0 pp $4.7M 397,454
HELD IAUX I-80 GOLD CORP 0.0 % 0.0 % +0.0 pp $4.7M 3,254,131
HELD MUNI PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $4.7M 89,054
HELD PGEN PRECIGEN INC 0.0 % 0.0 % +0.0 pp $4.7M 820,389
HELD DRUG BRIGHT MINDS BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $4.7M 66,533
HELD PAR PAR TECHNOLOGY CORP 0.0 % 0.0 % +0.0 pp $4.7M 268,117
HELD IPI INTREPID POTASH INC 0.0 % 0.0 % +0.0 pp $4.7M 142,267
HELD SBSW SIBANYE STILLWATER LTD 0.0 % 0.0 % +0.0 pp $4.7M 549,270
HELD OGN ORGANON & CO 0.0 % 0.0 % +0.0 pp $4.7M 344,359
HELD CNMD CONMED CORP 0.0 % 0.0 % +0.0 pp $4.7M 142,263
HELD VRRM VERRA MOBILITY CORP 0.0 % 0.0 % +0.0 pp $4.6M 1,092,467
HELD VNDA VANDA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $4.6M 758,302
HELD ILF ISHARES TR 0.0 % 0.0 % +0.0 pp $4.6M 137,321
HELD LTRX LANTRONIX INC 0.0 % 0.0 % +0.0 pp $4.6M 786,904
HELD BW BABCOCK & WILCOX ENTERPRISES 0.0 % 0.0 % +0.0 pp $4.6M 327,505
HELD BFST BUSINESS FIRST BANCSHARES IN 0.0 % 0.0 % +0.0 pp $4.6M 150,215
HELD ? HAFNIA LTD 0.0 % 0.0 % +0.0 pp $4.6M 694,749
HELD ANTX AN2 THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.6M 951,997
HELD ? TRONOX HOLDINGS PLC 0.0 % 0.0 % +0.0 pp $4.6M 729,029
HELD APC ARKO PETE CORP 0.0 % 0.0 % +0.0 pp $4.6M 242,930
HELD NAK NORTHERN DYNASTY MINERALS LT 0.0 % 0.0 % +0.0 pp $4.6M 2,382,896
HELD SHLD GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $4.6M 76,567
HELD SLVM SYLVAMO CORP 0.0 % 0.0 % +0.0 pp $4.6M 120,687
HELD HMY HARMONY GOLD MNG LTD 0.0 % 0.0 % +0.0 pp $4.6M 299,298
HELD MFUS PIMCO EQUITY SER 0.0 % 0.0 % +0.0 pp $4.5M 67,694
HELD VCEB VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $4.5M 72,427
HELD UWM PROSHARES TR 0.0 % 0.0 % +0.0 pp $4.5M 67,454
HELD WHD CACTUS INC 0.0 % 0.0 % +0.0 pp $4.5M 88,288
HELD TIMB TIM S A 0.0 % 0.0 % +0.0 pp $4.5M 210,923
HELD EVTR MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $4.5M 89,094
HELD OPLN OPENLANE INC 0.0 % 0.0 % +0.0 pp $4.5M 109,325
HELD TTC TORO CO 0.0 % 0.0 % +0.0 pp $4.5M 46,267
HELD OBE OBSIDIAN ENERGY LTD 0.0 % 0.0 % +0.0 pp $4.5M 553,467
HELD ZETA ZETA GLOBAL HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $4.5M 228,550
HELD CON CONCENTRA GROUP HOLDINGS PAR 0.0 % 0.0 % +0.0 pp $4.5M 151,032
HELD IGRO ISHARES TR 0.0 % 0.0 % +0.0 pp $4.5M 51,006
HELD BLFS BIOLIFE SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $4.5M 157,944
HELD WGMI VALKYRIE ETF TRUST II 0.0 % 0.0 % +0.0 pp $4.5M 70,720
HELD ETD ETHAN ALLEN INTERIORS INC 0.0 % 0.0 % +0.0 pp $4.5M 199,597
HELD ATMU ATMUS FILTRATION TECHNOLOGIE 0.0 % 0.0 % +0.0 pp $4.5M 87,448
HELD SMP STANDARD MTR PRODS INC 0.0 % 0.0 % +0.0 pp $4.5M 114,301
HELD CHEF CHEFS WHSE INC 0.0 % 0.0 % +0.0 pp $4.5M 46,330
HELD AEVA AEVA TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $4.4M 154,892
HELD LRMR LARIMAR THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.4M 1,456,825
HELD EDIV SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $4.4M 108,274
HELD ICOP ISHARES TR 0.0 % 0.0 % +0.0 pp $4.4M 90,076
HELD DRAM ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $4.4M 60,000
HELD AAMI ACADIAN ASSET MANAGEMENT INC 0.0 % 0.0 % +0.0 pp $4.4M 61,940
HELD FCFS FIRSTCASH HOLDINGS INC 0.0 % 0.0 % +0.0 pp $4.4M 20,469
HELD CTRI CENTURI HOLDINGS INC 0.0 % 0.0 % +0.0 pp $4.4M 146,216
HELD PHR PHREESIA INC 0.0 % 0.0 % +0.0 pp $4.4M 429,488
HELD FTDR FRONTDOOR INC 0.0 % 0.0 % +0.0 pp $4.4M 56,934
HELD CENTA CENTRAL GARDEN & PET CO 0.0 % 0.0 % +0.0 pp $4.4M 113,784
HELD SHLS SHOALS TECHNOLOGIES GROUP IN 0.0 % 0.0 % +0.0 pp $4.4M 445,442
HELD ? FRONTLINE PLC 0.0 % 0.0 % +0.0 pp $4.4M 126,329
HELD ? ALLOT LTD 0.0 % 0.0 % +0.0 pp $4.4M 495,296
HELD CRK COMSTOCK RES INC 0.0 % 0.0 % +0.0 pp $4.4M 292,851
HELD PTL NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $4.4M 15,262
HELD ? BBB FOODS INC 0.0 % 0.0 % +0.0 pp $4.4M 104,741
HELD FIP FTAI INFRASTRUCTURE INC 0.0 % 0.0 % +0.0 pp $4.4M 940,471
HELD MORN MORNINGSTAR INC 0.0 % 0.0 % +0.0 pp $4.4M 27,906
HELD BIPC BROOKFIELD INFRASTRUCTURE CO 0.0 % 0.0 % +0.0 pp $4.4M 113,056
HELD AMZU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $4.3M 130,858
HELD CLB CORE LABORATORIES INC 0.0 % 0.0 % +0.0 pp $4.3M 371,615
HELD ? DAMORA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.3M 166,347
HELD DFAT DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $4.3M 61,671
EXIT PASG PASSAGE BIO INC — 0.0 % -0.0 % — —
HELD ? GORILLA TECHNOLOGY GROUP INC 0.0 % 0.0 % +0.0 pp $4.3M 216,493
HELD CTRN CITI TRENDS INC 0.0 % 0.0 % +0.0 pp $4.3M 74,303
HELD ERII ENERGY RECOVERY INC 0.0 % 0.0 % +0.0 pp $4.3M 476,236
HELD STPZ PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $4.3M 80,411
HELD JOE ST JOE CO 0.0 % 0.0 % +0.0 pp $4.3M 68,409
HELD NBSD NEUBERGER BERMAN ETF TRUST 0.0 % 0.0 % +0.0 pp $4.3M 84,807
HELD LAC LITHIUM AMERS CORP NEW 0.0 % 0.0 % +0.0 pp $4.3M 1,112,117
HELD RXT RACKSPACE TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $4.3M 655,066
HELD TXO TXO PARTNERS LP 0.0 % 0.0 % +0.0 pp $4.3M 342,134
HELD IWL ISHARES TR 0.0 % 0.0 % +0.0 pp $4.3M 23,110
HELD PFSI PENNYMAC FINL SVCS INC NEW 0.0 % 0.0 % +0.0 pp $4.3M 48,903
HELD SPRY ARS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $4.3M 531,063
HELD WS WORTHINGTON STL INC 0.0 % 0.0 % +0.0 pp $4.2M 126,462
HELD KROS KEROS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.2M 396,098
HELD SHBI SHORE BANCSHARES INC 0.0 % 0.0 % +0.0 pp $4.2M 184,514
HELD WT WISDOMTREE INC 0.0 % 0.0 % +0.0 pp $4.2M 249,893
HELD FELE FRANKLIN ELEC INC 0.0 % 0.0 % +0.0 pp $4.2M 39,404
HELD ? CIMPRESS PLC 0.0 % 0.0 % +0.0 pp $4.2M 41,517
HELD INVA INNOVIVA INC 0.0 % 0.0 % +0.0 pp $4.2M 185,750
HELD ASIX ADVANSIX INC 0.0 % 0.0 % +0.0 pp $4.2M 212,037
HELD ODC OIL DRI CORP AMER 0.0 % 0.0 % +0.0 pp $4.2M 41,238
HELD PHG KONINKLIJKE PHILIPS N V 0.0 % 0.0 % +0.0 pp $4.2M 154,777
HELD VEON VEON LTD 0.0 % 0.0 % +0.0 pp $4.2M 80,569
HELD FLV AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $4.2M 51,645
HELD TRIN TRINITY CAP INC 0.0 % 0.0 % +0.0 pp $4.2M 234,315
HELD CIFU ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $4.2M 125,574
HELD OSEA HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $4.2M 136,715
HELD HCSG HEALTHCARE SVCS GROUP INC 0.0 % 0.0 % +0.0 pp $4.2M 169,856
HELD ? FIVERR INTL LTD 0.0 % 0.0 % +0.0 pp $4.2M 404,113
HELD CRTOEUR CRITEO S A 0.0 % 0.0 % +0.0 pp $4.2M 227,856
HELD HNST HONEST CO INC 0.0 % 0.0 % +0.0 pp $4.2M 1,137,705
HELD ODTX ODYSSEY THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.2M 222,450
HELD ? GREENLIGHT CAP RE LTD 0.0 % 0.0 % +0.0 pp $4.2M 256,686
HELD IETC ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $4.2M 38,686
HELD SPTX SEAPORT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.2M 191,144
HELD GO GROCERY OUTLET HLDG CORP 0.0 % 0.0 % +0.0 pp $4.2M 415,993
HELD ? LIBERTY LATIN AMERICA LTD 0.0 % 0.0 % +0.0 pp $4.1M 530,016
HELD FDL FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $4.1M 84,600
HELD PCRX PACIRA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $4.1M 162,164
HELD LMAT LEMAITRE VASCULAR INC 0.0 % 0.0 % +0.0 pp $4.1M 42,833
HELD SPDN DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $4.1M 473,825
HELD ESAB ESAB CORPORATION 0.0 % 0.0 % +0.0 pp $4.1M 41,650
HELD CPK CHESAPEAKE UTILS CORP 0.0 % 0.0 % +0.0 pp $4.1M 33,518
HELD HELP CYBIN INC 0.0 % 0.0 % +0.0 pp $4.1M 620,959
HELD SMBS SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $4.1M 161,415
HELD ? TRANSOCEAN LTD 0.0 % 0.0 % +0.0 pp $4.1M 839,078
HELD VOX VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $4.1M 22,251
HELD EPI WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $4.1M 95,596
HELD NAIL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $4.1M 78,653
HELD LOB LIVE OAK BANCSHARES INC 0.0 % 0.0 % +0.0 pp $4.1M 100,071
HELD AUPH AURINIA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $4.1M 240,685
HELD MINT PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $4.1M 40,464
HELD PXH INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $4.1M 146,110
HELD AII AMERICAN INTEGRITY INS GROUP 0.0 % 0.0 % +0.0 pp $4.1M 216,145
HELD QGRO AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $4.1M 34,467
HELD GIEQ GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $4.1M 98,363
HELD MTUM ISHARES TR 0.0 % 0.0 % +0.0 pp $4.1M 11,853
HELD UITB VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $4.0M 86,454
HELD EFA ISHARES TR 0.0 % 0.0 % +0.0 pp $4.0M 38,895
HELD HCI HCI GROUP INC 0.0 % 0.0 % +0.0 pp $4.0M 23,044
HELD FNDC SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $4.0M 83,077
HELD WGO WINNEBAGO INDS INC 0.0 % 0.0 % +0.0 pp $4.0M 128,671
HELD ORR EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $4.0M 110,473
HELD ? BURFORD CAPITAL LIMITED 0.0 % 0.0 % +0.0 pp $4.0M 975,933
HELD ? COLUMBIA FINL INC 0.0 % 0.0 % +0.0 pp $4.0M 188,267
HELD HIPO HIPPO HLDGS INC 0.0 % 0.0 % +0.0 pp $4.0M 140,734
HELD TFSL TFS FINL CORP 0.0 % 0.0 % +0.0 pp $4.0M 224,114
HELD GLUE MONTE ROSA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $4.0M 163,571
HELD AVTR AVANTOR INC 0.0 % 0.0 % +0.0 pp $4.0M 399,147
HELD AOA ISHARES TR 0.0 % 0.0 % +0.0 pp $3.9M 40,400
HELD TREE LENDINGTREE INC 0.0 % 0.0 % +0.0 pp $3.9M 88,936
HELD ? HIMALAYA SHIPPING LTD 0.0 % 0.0 % +0.0 pp $3.9M 293,679
HELD FLGV FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $3.9M 193,448
HELD KRE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $3.9M 52,407
HELD BSAC BANCO SANTANDER CHILE NEW 0.0 % 0.0 % +0.0 pp $3.9M 119,061
HELD CDP COPT DEFENSE PROPERTIES 0.0 % 0.0 % +0.0 pp $3.9M 107,636
HELD RWL INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $3.9M 30,621
HELD GCOR GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $3.9M 94,865
HELD SPGP INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $3.9M 31,892
HELD TLRY TILRAY BRANDS INC 0.0 % 0.0 % +0.0 pp $3.9M 868,147
HELD ADPT ADAPTIVE BIOTECHNOLOGIES COR 0.0 % 0.0 % +0.0 pp $3.9M 181,356
HELD ? CHINA YUCHAI INTL LTD 0.0 % 0.0 % +0.0 pp $3.9M 82,035
HELD FNY FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $3.9M 34,999
HELD QNST QUINSTREET INC 0.0 % 0.0 % +0.0 pp $3.9M 263,435
HELD EXEL EXELIXIS INC 0.0 % 0.0 % +0.0 pp $3.9M 70,924
HELD MATV MATIV HOLDINGS INC 0.0 % 0.0 % +0.0 pp $3.8M 508,316
HELD KBE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $3.8M 56,400
HELD LXRX LEXICON PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $3.8M 1,601,182
HELD CHT CHUNGHWA TELECOM CO LTD 0.0 % 0.0 % +0.0 pp $3.8M 86,819
HELD DDWM WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $3.8M 83,161
HELD RELL RICHARDSON ELECTRS LTD 0.0 % 0.0 % +0.0 pp $3.8M 201,662
HELD CLNE CLEAN ENERGY FUELS CORP 0.0 % 0.0 % +0.0 pp $3.8M 1,867,413
HELD OPRA OPERA LTD 0.0 % 0.0 % +0.0 pp $3.8M 192,932
HELD THFF FIRST FINANCIAL CORPORATION 0.0 % 0.0 % +0.0 pp $3.8M 49,332
HELD MNKD MANNKIND CORP 0.0 % 0.0 % +0.0 pp $3.8M 896,260
HELD TIP ISHARES TR 0.0 % 0.0 % +0.0 pp $3.8M 34,866
HELD SCCR SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $3.8M 148,817
HELD IXG ISHARES TR 0.0 % 0.0 % +0.0 pp $3.8M 30,578
HELD FLCO FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $3.8M 176,968
HELD CBLL CERIBELL INC 0.0 % 0.0 % +0.0 pp $3.8M 194,724
HELD LAUR LAUREATE ED INC 0.0 % 0.0 % +0.0 pp $3.8M 104,256
HELD PLAB PHOTRONICS INC 0.0 % 0.0 % +0.0 pp $3.8M 116,379
HELD ZROZ PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $3.8M 58,897
HELD CRUX COLUMBIA ETF TR I 0.0 % 0.0 % +0.0 pp $3.8M 125,780
HELD FEMR FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $3.8M 88,456
HELD IGLB ISHARES TR 0.0 % 0.0 % +0.0 pp $3.8M 74,977
HELD ETHE GRAYSCALE ETHEREUM STAKING E 0.0 % 0.0 % +0.0 pp $3.7M 293,467
HELD IESC IES HOLDINGS INC 0.0 % 0.0 % +0.0 pp $3.7M 5,096
HELD ACET ADICET BIO INC 0.0 % 0.0 % +0.0 pp $3.7M 432,738
HELD ? NEXA RES S A 0.0 % 0.0 % +0.0 pp $3.7M 305,101
HELD XHR XENIA HOTELS & RESORTS INC 0.0 % 0.0 % +0.0 pp $3.7M 182,640
HELD ESGU ISHARES TR 0.0 % 0.0 % +0.0 pp $3.7M 22,696
HELD ? PELAGOS INS CAP LTD 0.0 % 0.0 % +0.0 pp $3.7M 152,491
HELD WAVE ECO WAVE POWER GLOBAL AB 0.0 % 0.0 % +0.0 pp $3.7M 408,818
HELD TWLO TWILIO INC 0.0 % 0.0 % +0.0 pp $3.7M 17,880
HELD VREX VAREX IMAGING CORP 0.0 % 0.0 % +0.0 pp $3.7M 353,542
HELD ONT ONTERRIS INC 0.0 % 0.0 % +0.0 pp $3.7M 182,185
HELD ARIS ARIS MINING CORPORATION 0.0 % 0.0 % +0.0 pp $3.7M 246,837
HELD GUSH DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $3.7M 119,686
HELD GRDN GUARDIAN PHARMACY SVCS INC 0.0 % 0.0 % +0.0 pp $3.7M 87,775
HELD ALNT ALLIENT INC 0.0 % 0.0 % +0.0 pp $3.7M 35,673
HELD FELG FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $3.7M 83,625
HELD AVES AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $3.7M 55,726
HELD CGCP CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $3.6M 163,537
HELD DKL DELEK LOGISTICS PARTNERS LP 0.0 % 0.0 % +0.0 pp $3.6M 70,654
HELD FFTY CAPITAL-FORCE ETF TR 0.0 % 0.0 % +0.0 pp $3.6M 83,579
HELD CRDU INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $3.6M 38,316
HELD DIN DINE BRANDS GLOBAL INC 0.0 % 0.0 % +0.0 pp $3.6M 101,269
HELD ? JATT II ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $3.6M 319,986
HELD PPH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $3.6M 33,171
HELD AVSF AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $3.6M 77,641
HELD FDS FACTSET RESH SYS INC 0.0 % 0.0 % +0.0 pp $3.6M 15,712
HELD HTB HOMETRUST BANCSHARES INC 0.0 % 0.0 % +0.0 pp $3.6M 72,459
HELD LEN/B LENNAR CORP 0.0 % 0.0 % +0.0 pp $3.6M 40,668
HELD PKBK PARKE BANCORP INC 0.0 % 0.0 % +0.0 pp $3.6M 108,562
HELD KURA KURA ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $3.6M 328,105
HELD REPX RILEY EXPLORATION PERMIAN IN 0.0 % 0.0 % +0.0 pp $3.6M 109,076
HELD MAMA MAMAS CREATIONS INC 0.0 % 0.0 % +0.0 pp $3.6M 201,375
HELD GSBC GREAT SOUTHN BANCORP INC 0.0 % 0.0 % +0.0 pp $3.6M 45,838
HELD CBNK CAPITAL BANCORP INC MD 0.0 % 0.0 % +0.0 pp $3.6M 102,326
HELD FSS FEDERAL SIGNAL CORP 0.0 % 0.0 % +0.0 pp $3.6M 27,936
HELD KRNY KEARNY FINL CORP MD 0.0 % 0.0 % +0.0 pp $3.6M 378,516
HELD MLR MILLER INDS INC TENN 0.0 % 0.0 % +0.0 pp $3.6M 69,971
HELD GROY GOLD ROYALTY CORP 0.0 % 0.0 % +0.0 pp $3.6M 1,296,689
HELD GTO INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $3.6M 76,353
HELD OGS ONE GAS INC 0.0 % 0.0 % +0.0 pp $3.6M 46,428
HELD POWI POWER INTEGRATIONS INC 0.0 % 0.0 % +0.0 pp $3.6M 42,674
HELD FLGT FULGENT GENETICS INC 0.0 % 0.0 % +0.0 pp $3.6M 174,180
HELD MLAB MESA LABS INC 0.0 % 0.0 % +0.0 pp $3.6M 35,890
HELD BMBL BUMBLE INC 0.0 % 0.0 % +0.0 pp $3.6M 1,114,766
HELD DBRG DIGITALBRIDGE GROUP INC 0.0 % 0.0 % +0.0 pp $3.6M 225,916
HELD BYRN BYRNA TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $3.6M 529,734
HELD TXUE THORNBURG ETF TR 0.0 % 0.0 % +0.0 pp $3.6M 102,967
HELD EPR EPR PPTYS 0.0 % 0.0 % +0.0 pp $3.5M 61,179
HELD NAUT NAUTILUS BIOTECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $3.5M 1,896,192
HELD YEXT YEXT INC 0.0 % 0.0 % +0.0 pp $3.5M 758,579
HELD HL HECLA MINING COMPANY 0.0 % 0.0 % +0.0 pp $3.5M 229,518
HELD CCBG CAPITAL CITY BANK 0.0 % 0.0 % +0.0 pp $3.5M 71,583
HELD PRDO PERDOCEO ED CORP 0.0 % 0.0 % +0.0 pp $3.5M 110,401
HELD SBMT SILVER BOW MNG CORP 0.0 % 0.0 % +0.0 pp $3.5M 522,174
HELD ATLC ATLANTICUS HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $3.5M 34,514
HELD LIF LIFE360 INC 0.0 % 0.0 % +0.0 pp $3.5M 63,686
HELD XOVR ENTREPRENEURSHARES SERIES TR 0.0 % 0.0 % +0.0 pp $3.5M 167,486
HELD ? NAVIGATOR HLDGS LTD 0.0 % 0.0 % +0.0 pp $3.5M 189,052
HELD VISN VISTANCE NETWORKS INC 0.0 % 0.0 % +0.0 pp $3.5M 275,484
HELD FYC FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $3.5M 27,644
HELD BF/B BROWN FORMAN CORP 0.0 % 0.0 % +0.0 pp $3.5M 131,865
HELD EOLS EVOLUS INC 0.0 % 0.0 % +0.0 pp $3.5M 506,354
HELD CNS COHEN & STEERS INC 0.0 % 0.0 % +0.0 pp $3.5M 46,120
HELD FSUN FIRSTSUN CAP BANCORP 0.0 % 0.0 % +0.0 pp $3.5M 90,508
HELD ENHA ENHANCED GROUP INC 0.0 % 0.0 % +0.0 pp $3.5M 1,285,346
HELD SPLS PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $3.5M 64,311
HELD ATEN A10 NETWORKS INC 0.0 % 0.0 % +0.0 pp $3.5M 93,240
HELD CYH COMMUNITY HEALTH SYS INC NEW 0.0 % 0.0 % +0.0 pp $3.5M 1,040,527
HELD NHYB NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $3.5M 140,054
HELD FNGS BANK MONTREAL MEDIUM 0.0 % 0.0 % +0.0 pp $3.5M 47,820
HELD FAB FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $3.5M 34,195
HELD ? COGNYTE SOFTWARE LTD 0.0 % 0.0 % +0.0 pp $3.5M 395,200
HELD CGSD CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $3.5M 134,685
HELD MYE MYERS INDS INC 0.0 % 0.0 % +0.0 pp $3.5M 98,115
HELD NUS NU SKIN ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $3.5M 654,577
HELD IYC ISHARES TR 0.0 % 0.0 % +0.0 pp $3.5M 34,158
HELD DXJ WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $3.4M 19,881
HELD VRTS VIRTUS INVT PARTNERS INC 0.0 % 0.0 % +0.0 pp $3.4M 24,024
HELD XC WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $3.4M 108,701
HELD RAPP RAPPORT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $3.4M 82,442
HELD MNPR MONOPAR THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $3.4M 37,004
HELD ASTL ALGOMA STL GROUP INC 0.0 % 0.0 % +0.0 pp $3.4M 845,935
HELD CFBK CF BANKSHARES INC 0.0 % 0.0 % +0.0 pp $3.4M 104,173
HELD VTWG VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $3.4M 11,843
HELD ANNX ANNEXON INC 0.0 % 0.0 % +0.0 pp $3.4M 596,582
HELD GBDC GOLUB CAP BDC INC 0.0 % 0.0 % +0.0 pp $3.4M 264,210
HELD TRAX FIRST TRACKS BIOTHERAPEUTICS 0.0 % 0.0 % +0.0 pp $3.4M 168,790
HELD CODI COMPASS DIVERSIFIED 0.0 % 0.0 % +0.0 pp $3.4M 317,939
HELD GCMG GCM GROSVENOR INC 0.0 % 0.0 % +0.0 pp $3.4M 275,248
HELD DFIC DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $3.4M 90,860
HELD STRO SUTRO BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $3.4M 101,965
HELD LADR LADDER CAP CORP 0.0 % 0.0 % +0.0 pp $3.4M 339,984
HELD JFLX J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $3.4M 67,049
HELD RXST RXSIGHT INC 0.0 % 0.0 % +0.0 pp $3.4M 700,736
HELD GSBD GOLDMAN SACHS BDC INC 0.0 % 0.0 % +0.0 pp $3.4M 356,070
HELD TNYA TENAYA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $3.4M 4,566,774
HELD COPX GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $3.4M 43,814
HELD ? GENIUS SPORTS LIMITED 0.0 % 0.0 % +0.0 pp $3.4M 555,944
HELD DDM PROSHARES TR 0.0 % 0.0 % +0.0 pp $3.4M 51,401
HELD AMN AMN HEALTHCARE SVCS INC 0.0 % 0.0 % +0.0 pp $3.4M 103,725
HELD NRIM NORTHRIM BANCORP INC 0.0 % 0.0 % +0.0 pp $3.4M 120,994
HELD FDTX FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $3.3M 57,780
HELD DBAW DBX ETF TR 0.0 % 0.0 % +0.0 pp $3.3M 68,985
HELD ? STELLANTIS N.V 0.0 % 0.0 % +0.0 pp $3.3M 581,572
HELD FISI FINANCIAL INSTITUTIONS INC 0.0 % 0.0 % +0.0 pp $3.3M 85,480
HELD AVSE AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $3.3M 40,679
HELD SYFI AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $3.3M 93,166
HELD OMAB GRUPO AEROPORTUARIO DEL CENT 0.0 % 0.0 % +0.0 pp $3.3M 29,393
HELD WPP WPP PLC NEW 0.0 % 0.0 % +0.0 pp $3.3M 214,317
HELD KOMP SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $3.3M 46,412
HELD EPRX EUPRAXIA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $3.3M 502,011
HELD SPIR SPIRE GLOBAL INC 0.0 % 0.0 % +0.0 pp $3.3M 178,346
HELD ? PROTHENA CORP PLC 0.0 % 0.0 % +0.0 pp $3.3M 338,810
HELD CMCO COLUMBUS MCKINNON CORP N Y 0.0 % 0.0 % +0.0 pp $3.3M 219,177
HELD FWDI FORWARD INDUSTRIES INC 0.0 % 0.0 % +0.0 pp $3.3M 785,784
HELD SXI STANDEX INTL CORP 0.0 % 0.0 % +0.0 pp $3.3M 9,267
HELD JBI JANUS INTERNATIONAL GROUP IN 0.0 % 0.0 % +0.0 pp $3.3M 596,982
HELD FXNC FIRST NATL CORP VA 0.0 % 0.0 % +0.0 pp $3.3M 110,354
HELD FBP FIRST BANCORP CORPORATION 0.0 % 0.0 % +0.0 pp $3.3M 126,655
HELD AIP ARTERIS INC 0.0 % 0.0 % +0.0 pp $3.3M 67,927
HELD HDSN HUDSON TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $3.3M 574,266
HELD ? INTL GNRL INSURANCE HLDNGS L 0.0 % 0.0 % +0.0 pp $3.3M 125,633
HELD GEL GENESIS ENERGY L P 0.0 % 0.0 % +0.0 pp $3.3M 231,463
HELD BRCB BLACK ROCK COFFEE BAR INC 0.0 % 0.0 % +0.0 pp $3.3M 395,284
HELD BSCT INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $3.3M 176,133
HELD GIC GLOBAL INDUSTRIAL COMPANY 0.0 % 0.0 % +0.0 pp $3.3M 97,685
HELD IDGT ISHARES TR 0.0 % 0.0 % +0.0 pp $3.3M 27,204
HELD GRPN GROUPON INC 0.0 % 0.0 % +0.0 pp $3.3M 135,381
HELD CHPY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $3.3M 36,902
HELD QEFA SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $3.2M 33,830
HELD RDVT RED VIOLET INC 0.0 % 0.0 % +0.0 pp $3.2M 50,914
HELD OTTR OTTER TAIL CORP 0.0 % 0.0 % +0.0 pp $3.2M 36,053
HELD DDD 3D SYS CORP DEL 0.0 % 0.0 % +0.0 pp $3.2M 1,073,981
HELD EMEQ NOMURA ETF TR 0.0 % 0.0 % +0.0 pp $3.2M 44,515
HELD PTNQ PACER FDS TR 0.0 % 0.0 % +0.0 pp $3.2M 36,578
HELD BILZ PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $3.2M 32,121
HELD GEME 2023 ETF SERIES TRUST 0.0 % 0.0 % +0.0 pp $3.2M 74,450
HELD ? ENLIGHT RENEWABLE ENERGY LTD 0.0 % 0.0 % +0.0 pp $3.2M 36,392
HELD DMLP DORCHESTER MINERALS L P 0.0 % 0.0 % +0.0 pp $3.2M 128,243
HELD VIV TELEFONICA BRASIL SA 0.0 % 0.0 % +0.0 pp $3.2M 246,017
HELD RILY BRC GROUP HOLDINGS INC 0.0 % 0.0 % +0.0 pp $3.2M 402,436
HELD IUSG ISHARES TR 0.0 % 0.0 % +0.0 pp $3.2M 17,198
HELD CGHM CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $3.2M 124,944
HELD BBCA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $3.2M 32,467
HELD TWI TITAN INTL INC ILL 0.0 % 0.0 % +0.0 pp $3.2M 418,494
HELD ? ARES ACQUISITION CORP III 0.0 % 0.0 % +0.0 pp $3.2M 320,652
HELD AVNW AVIAT NETWORKS INC 0.0 % 0.0 % +0.0 pp $3.2M 145,124
HELD SUSA ISHARES TR 0.0 % 0.0 % +0.0 pp $3.2M 20,851
HELD GLIBK LIBERTY CAP CORP 0.0 % 0.0 % +0.0 pp $3.2M 149,142
HELD SWBI SMITH & WESSON BRANDS INC 0.0 % 0.0 % +0.0 pp $3.2M 213,686
HELD UMMA LISTED FDS TR 0.0 % 0.0 % +0.0 pp $3.2M 81,313
HELD AMLX AMYLYX PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $3.2M 178,686
HELD TSAT TELESAT CORP 0.0 % 0.0 % +0.0 pp $3.2M 63,357
HELD RPC RIDGEPOST CAP INC 0.0 % 0.0 % +0.0 pp $3.2M 407,361
HELD ? PANGAEA LOGISTICS SOLUTION L 0.0 % 0.0 % +0.0 pp $3.2M 492,972
HELD IYM ISHARES TR 0.0 % 0.0 % +0.0 pp $3.2M 17,839
HELD ? SERVICE PPTYS TR 0.0 % 0.0 % +0.0 pp $3.2M 1,893,657
HELD CTKB CYTEK BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $3.2M 721,470
HELD NTSK NETSKOPE INC 0.0 % 0.0 % +0.0 pp $3.2M 291,924
HELD PRF INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $3.2M 59,040
HELD MDXG MIMEDX GROUP INC 0.0 % 0.0 % +0.0 pp $3.2M 825,838
HELD SAFT SAFETY INS GROUP INC 0.0 % 0.0 % +0.0 pp $3.2M 42,393
HELD GMAR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $3.2M 71,717
HELD ABAT AMERICAN BATTERY TECHNOLOGY 0.0 % 0.0 % +0.0 pp $3.2M 1,118,839
HELD AAAU GOLDMAN SACHS PHYSICAL GOLD 0.0 % 0.0 % +0.0 pp $3.2M 80,015
HELD SPTB SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $3.2M 105,239
HELD GHM GRAHAM CORP 0.0 % 0.0 % +0.0 pp $3.2M 25,491
HELD CALF PACER FDS TR 0.0 % 0.0 % +0.0 pp $3.2M 62,259
HELD SNN SMITH & NEPHEW PLC 0.0 % 0.0 % +0.0 pp $3.1M 109,333
HELD ? ELASTIC N V 0.0 % 0.0 % +0.0 pp $3.1M 55,123
HELD SYNA SYNAPTICS INC 0.0 % 0.0 % +0.0 pp $3.1M 25,265
HELD PSEP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $3.1M 68,136
HELD CNXT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $3.1M 50,159
HELD NUTX NUTEX HEALTH INC 0.0 % 0.0 % +0.0 pp $3.1M 18,315
HELD ENVA ENOVA INTL INC 0.0 % 0.0 % +0.0 pp $3.1M 12,993
HELD IVVD INVIVYD INC 0.0 % 0.0 % +0.0 pp $3.1M 3,580,941
HELD ? NORDIC AMERICAN TANKERS LIMI 0.0 % 0.0 % +0.0 pp $3.1M 563,273
HELD CGIE CAPITAL GROUP INTERNATIONAL 0.0 % 0.0 % +0.0 pp $3.1M 84,699
HELD ESQ ESQUIRE FINL HLDGS INC 0.0 % 0.0 % +0.0 pp $3.1M 26,114
HELD UAA UNDER ARMOUR INC 0.0 % 0.0 % +0.0 pp $3.1M 486,749
HELD CHAU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $3.1M 124,560
HELD TECX TECTONIC THERAPEUTIC INC 0.0 % 0.0 % +0.0 pp $3.1M 90,393
HELD CDEI MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $3.1M 34,056
HELD BITB BITWISE BITCOIN ETF TR 0.0 % 0.0 % +0.0 pp $3.1M 97,133
HELD ICOW PACER FDS TR 0.0 % 0.0 % +0.0 pp $3.1M 74,298
HELD NGL NGL ENERGY PARTNERS LP 0.0 % 0.0 % +0.0 pp $3.1M 193,545
HELD SIVR ABRDN SILVER ETF TRUST 0.0 % 0.0 % +0.0 pp $3.1M 54,667
HELD XNCR XENCOR INC 0.0 % 0.0 % +0.0 pp $3.1M 190,826
HELD UPRO PROSHARES TR 0.0 % 0.0 % +0.0 pp $3.1M 21,605
HELD QCLN FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $3.1M 49,794
HELD HEDJ WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $3.1M 53,518
HELD CDNA CAREDX INC 0.0 % 0.0 % +0.0 pp $3.0M 106,984
HELD OCUL OCULAR THERAPEUTIX INC 0.0 % 0.0 % +0.0 pp $3.0M 310,484
HELD PKE PARK AEROSPACE CORP 0.0 % 0.0 % +0.0 pp $3.0M 79,882
HELD NPK NATIONAL PRESTO INDS INC 0.0 % 0.0 % +0.0 pp $3.0M 24,363
HELD AMCX AMC GLOBAL MEDIA INC 0.0 % 0.0 % +0.0 pp $3.0M 303,684
HELD NMAX NEWSMAX INC 0.0 % 0.0 % +0.0 pp $3.0M 365,833
HELD ? CANTOR EQUITY PARTNERS IV IN 0.0 % 0.0 % +0.0 pp $3.0M 291,119
HELD FMBH FIRST MID BANCSHARES INC 0.0 % 0.0 % +0.0 pp $3.0M 62,757
HELD IBTA IBOTTA INC 0.0 % 0.0 % +0.0 pp $3.0M 88,301
HELD SFST SOUTHERN FIRST BANCSHARES 0.0 % 0.0 % +0.0 pp $3.0M 49,333
HELD FTEC FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $3.0M 10,550
HELD SBS COMPANHIA DE SANEAMENTO BASI 0.0 % 0.0 % +0.0 pp $3.0M 520,592
HELD WEAV WEAVE COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $3.0M 501,500
HELD ? TABOOLA.COM LTD 0.0 % 0.0 % +0.0 pp $3.0M 599,397
HELD IPKW INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $3.0M 53,158
HELD ALT ALTIMMUNE INC 0.0 % 0.0 % +0.0 pp $3.0M 983,559
HELD FSV FIRSTSERVICE CORP NEW 0.0 % 0.0 % +0.0 pp $3.0M 21,036
HELD SBSI SOUTHSIDE BANCSHARES INC 0.0 % 0.0 % +0.0 pp $3.0M 84,790
HELD IYY ISHARES TR 0.0 % 0.0 % +0.0 pp $3.0M 16,335
HELD AGYS AGILYSYS INC 0.0 % 0.0 % +0.0 pp $3.0M 28,472
HELD IXP ISHARES TR 0.0 % 0.0 % +0.0 pp $3.0M 26,359
HELD FMX FOMENTO ECONOMICO MEXICANO S 0.0 % 0.0 % +0.0 pp $3.0M 23,222
HELD BGSI BOYD GROUP SERVICES INC 0.0 % 0.0 % +0.0 pp $3.0M 31,387
HELD FRBA FIRST BK WILLIAMSTOWN NEW JE 0.0 % 0.0 % +0.0 pp $3.0M 167,487
HELD CLMB CLIMB GLOBAL SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $3.0M 127,919
HELD ZWS ZURN ELKAY WATER SOLNS CORP 0.0 % 0.0 % +0.0 pp $3.0M 58,711
HELD MCHP 0.75 06/01/30 MICROCHIP TECHNOLOGY INC. 0.0 % 0.0 % +0.0 pp $3.0M 2,691,000
HELD VOR VOR BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $3.0M 160,414
HELD SHAG WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $3.0M 62,385
HELD OPRT OPORTUN FINL CORP 0.0 % 0.0 % +0.0 pp $3.0M 516,723
HELD ARCM ARROW INVTS TR 0.0 % 0.0 % +0.0 pp $2.9M 29,461
HELD BOXX EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.9M 25,169
HELD ASTS AST SPACEMOBILE INC 0.0 % 0.0 % +0.0 pp $2.9M 33,109
HELD SFTX HORIZON FDS 0.0 % 0.0 % +0.0 pp $2.9M 94,569
HELD FDEV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.9M 82,534
HELD LSTB NATIXIS ETF TR 0.0 % 0.0 % +0.0 pp $2.9M 116,620
HELD FNKO FUNKO INC 0.0 % 0.0 % +0.0 pp $2.9M 497,233
HELD CIG CIA ENERGETICA DE MINAS GERA 0.0 % 0.0 % +0.0 pp $2.9M 1,392,161
HELD SNDL SNDL INC 0.0 % 0.0 % +0.0 pp $2.9M 2,165,081
HELD SPTM SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.9M 32,113
HELD CTS CTS CORP 0.0 % 0.0 % +0.0 pp $2.9M 44,714
HELD XZO EXZEO GROUP INC 0.0 % 0.0 % +0.0 pp $2.9M 172,700
HELD VGLT VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $2.9M 52,770
HELD RBBN RIBBON COMMUNICATIONS INC 0.0 % 0.0 % +0.0 pp $2.9M 1,241,200
HELD TRDA ENTRADA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.9M 394,323
HELD ? AMANAT ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $2.9M 284,637
HELD PACK RANPAK HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $2.9M 395,276
HELD TCBK TRICO BANCSHARES 0.0 % 0.0 % +0.0 pp $2.9M 53,647
HELD BITO PROSHARES TR 0.0 % 0.0 % +0.0 pp $2.9M 360,919
HELD KRP KIMBELL RTY PARTNERS LP 0.0 % 0.0 % +0.0 pp $2.9M 197,610
HELD WTBA WEST BANCORPORATION INC 0.0 % 0.0 % +0.0 pp $2.9M 108,223
HELD HOV HOVNANIAN ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $2.9M 20,099
HELD KARD KARDIGAN INC 0.0 % 0.0 % +0.0 pp $2.9M 120,000
HELD WTS WATTS WATER TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $2.9M 7,295
HELD TUA SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $2.9M 139,754
HELD GPRE GREEN PLAINS INC 0.0 % 0.0 % +0.0 pp $2.8M 184,836
HELD LKQ LKQ CORP 0.0 % 0.0 % +0.0 pp $2.8M 107,895
HELD ? ITURAN LOCATION AND CONTROL 0.0 % 0.0 % +0.0 pp $2.8M 46,538
HELD BXC BLUELINX HLDGS INC 0.0 % 0.0 % +0.0 pp $2.8M 45,767
HELD NPB NORTHPOINTE BANCSHARES INC. 0.0 % 0.0 % +0.0 pp $2.8M 147,239
HELD RYAM RAYONIER ADVANCED MATLS INC 0.0 % 0.0 % +0.0 pp $2.8M 358,314
HELD ? ICL GROUP LTD 0.0 % 0.0 % +0.0 pp $2.8M 565,455
HELD SPRB SPRUCE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $2.8M 51,905
HELD AVBH AVIDBANK HLDGS INC 0.0 % 0.0 % +0.0 pp $2.8M 84,833
HELD SBR SABINE RTY TR 0.0 % 0.0 % +0.0 pp $2.8M 38,259
HELD PLBC PLUMAS BANCORP 0.0 % 0.0 % +0.0 pp $2.8M 47,908
HELD CQP CHENIERE ENERGY PARTNERS L P 0.0 % 0.0 % +0.0 pp $2.8M 45,914
HELD TMQ TRILOGY METALS INC NEW 0.0 % 0.0 % +0.0 pp $2.8M 796,695
HELD MNRO MONRO INC 0.0 % 0.0 % +0.0 pp $2.8M 163,187
HELD AMX AMERICA MOVIL SAB DE CV 0.0 % 0.0 % +0.0 pp $2.8M 107,426
HELD ? WAVE LIFE SCIENCES LTD 0.0 % 0.0 % +0.0 pp $2.8M 480,154
HELD NTLA INTELLIA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.8M 164,712
HELD ALH ALLIANCE LAUNDRY HLDGS INC 0.0 % 0.0 % +0.0 pp $2.8M 105,019
HELD BY BYLINE BANCORP INC 0.0 % 0.0 % +0.0 pp $2.8M 73,908
HELD NRXP NRX PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $2.8M 680,043
HELD MYRG MYR GROUP INC 0.0 % 0.0 % +0.0 pp $2.8M 5,549
HELD ESGE ISHARES INC 0.0 % 0.0 % +0.0 pp $2.8M 50,519
HELD NICM NICOLA MNG INC 0.0 % 0.0 % +0.0 pp $2.8M 454,675
HELD FDRR FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.8M 42,450
HELD SLI STANDARD LITHIUM CORP 0.0 % 0.0 % +0.0 pp $2.7M 999,848
HELD VYGR VOYAGER THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.7M 784,067
HELD EFOR EVERFORTH INC 0.0 % 0.0 % +0.0 pp $2.7M 153,476
HELD TUSB THRIVENT ETF TRUST 0.0 % 0.0 % +0.0 pp $2.7M 54,449
HELD GBFH GBANK FINL HLDGS INC 0.0 % 0.0 % +0.0 pp $2.7M 90,439
HELD PSP INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $2.7M 49,188
HELD XRX XEROX HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $2.7M 874,699
HELD KFY KORN FERRY 0.0 % 0.0 % +0.0 pp $2.7M 41,102
HELD FWONA LIBERTY MEDIA CORP DEL 0.0 % 0.0 % +0.0 pp $2.7M 31,254
HELD IRD OPUS GENETICS INC 0.0 % 0.0 % +0.0 pp $2.7M 665,662
HELD SCI SERVICE CORP INTL 0.0 % 0.0 % +0.0 pp $2.7M 35,985
HELD CNXN PC CONNECTION INC 0.0 % 0.0 % +0.0 pp $2.7M 37,422
HELD BSCZ INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $2.7M 132,956
HELD GMMF BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $2.7M 27,109
HELD FTCS FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $2.7M 28,947
HELD FEP FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $2.7M 47,652
HELD PLOW DOUGLAS DYNAMICS INC 0.0 % 0.0 % +0.0 pp $2.7M 50,344
HELD ABR ARBOR REALTY TRUST INC 0.0 % 0.0 % +0.0 pp $2.7M 501,016
HELD NULG NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $2.7M 23,081
HELD ? CHURCHILL CAP CORP XII 0.0 % 0.0 % +0.0 pp $2.7M 250,000
HELD TPB TURNING PT BRANDS INC 0.0 % 0.0 % +0.0 pp $2.7M 31,834
HELD ? ARCHIMEDES TECH SPAC PARTNER 0.0 % 0.0 % +0.0 pp $2.7M 250,266
HELD PNTG PENNANT GROUP INC 0.0 % 0.0 % +0.0 pp $2.7M 72,958
HELD SGML SIGMA LITHIUM CORPORATION 0.0 % 0.0 % +0.0 pp $2.7M 213,061
HELD BZH BEAZER HOMES USA INC 0.0 % 0.0 % +0.0 pp $2.7M 96,085
HELD TAK TAKEDA PHARMACEUTICAL CO LTD 0.0 % 0.0 % +0.0 pp $2.7M 168,128
HELD ? WISE GROUP PLC 0.0 % 0.0 % +0.0 pp $2.7M 226,282
HELD BIDD BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $2.7M 89,661
HELD THRY THRYV HLDGS INC 0.0 % 0.0 % +0.0 pp $2.7M 681,618
HELD BUSE FIRST BUSEY CORP 0.0 % 0.0 % +0.0 pp $2.7M 90,998
HELD JPIE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.7M 58,270
HELD FATE FATE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.7M 993,308
HELD ACDC PROFRAC HLDG CORP 0.0 % 0.0 % +0.0 pp $2.7M 461,106
HELD ? CATALYST PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $2.7M 85,147
HELD VMD VIEMED HEALTHCARE INC 0.0 % 0.0 % +0.0 pp $2.7M 234,315
HELD HNRG HALLADOR ENERGY COMPANY 0.0 % 0.0 % +0.0 pp $2.7M 153,342
HELD ? KINIKSA PHARMACEUTICALS INTL 0.0 % 0.0 % +0.0 pp $2.7M 41,665
HELD ? CANTOR EQUITY PARTNERS VII I 0.0 % 0.0 % +0.0 pp $2.7M 264,056
HELD ALRM ALARM COM HLDGS INC 0.0 % 0.0 % +0.0 pp $2.7M 56,962
HELD SBIL SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $2.7M 26,583
HELD MFA MFA FINL INC 0.0 % 0.0 % +0.0 pp $2.7M 274,201
HELD FKU FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $2.7M 50,403
HELD EVH EVOLENT HEALTH INC 0.0 % 0.0 % +0.0 pp $2.6M 488,814
HELD LKFT LAKEFRONT BIOTHERAPEUTICS NV 0.0 % 0.0 % +0.0 pp $2.6M 88,343
HELD MG MISTRAS GROUP INC 0.0 % 0.0 % +0.0 pp $2.6M 151,487
HELD STRT STRATTEC SEC CORP 0.0 % 0.0 % +0.0 pp $2.6M 32,470
HELD CRON CRONOS GROUP INC 0.0 % 0.0 % +0.0 pp $2.6M 950,985
HELD NRDS NERDWALLET INC 0.0 % 0.0 % +0.0 pp $2.6M 285,636
HELD HIMZ TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $2.6M 54,100
HELD NECB NORTHEAST CMNTY BANCORP INC 0.0 % 0.0 % +0.0 pp $2.6M 95,125
HELD OSG OCTAVE SPECIALTY GROUP INC 0.0 % 0.0 % +0.0 pp $2.6M 422,777
HELD ASMB ASSEMBLY BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $2.6M 95,907
HELD ? SAFE BULKERS INC 0.0 % 0.0 % +0.0 pp $2.6M 417,229
HELD BCI ABRDN ETFS 0.0 % 0.0 % +0.0 pp $2.6M 117,743
HELD DCO DUCOMMUN INC DEL 0.0 % 0.0 % +0.0 pp $2.6M 14,187
HELD RYAN RYAN SPECIALTY HOLDINGS INC 0.0 % 0.0 % +0.0 pp $2.6M 69,576
HELD EDEN ISHARES TR 0.0 % 0.0 % +0.0 pp $2.6M 23,664
HELD FOSL FOSSIL GROUP INC 0.0 % 0.0 % +0.0 pp $2.6M 630,542
HELD CIB GRUPO CIBEST SA 0.0 % 0.0 % +0.0 pp $2.6M 32,858
HELD MSLC MORGAN STANLEY PATHWAY FDS 0.0 % 0.0 % +0.0 pp $2.6M 44,446
HELD ATNI ATN INTL INC 0.0 % 0.0 % +0.0 pp $2.6M 98,451
HELD TTEQ T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $2.6M 58,464
HELD FBRT FRANKLIN BSP RLTY TR INC 0.0 % 0.0 % +0.0 pp $2.6M 320,288
HELD QEW INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $2.6M 86,044
HELD EMNT PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $2.6M 26,269
HELD JPEM J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.6M 41,334
HELD CFR CULLEN FROST BANKERS INC 0.0 % 0.0 % +0.0 pp $2.6M 16,756
HELD PDN INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $2.6M 57,514
HELD FIIG FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $2.6M 124,844
HELD HECA ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $2.6M 94,666
HELD INTT INTEST CORP 0.0 % 0.0 % +0.0 pp $2.6M 142,135
HELD MLKN MILLERKNOLL INC 0.0 % 0.0 % +0.0 pp $2.6M 126,112
HELD IHE ISHARES TR 0.0 % 0.0 % +0.0 pp $2.6M 26,020
HELD ? BORR DRILLING LTD 0.0 % 0.0 % +0.0 pp $2.6M 623,366
HELD PSC PRINCIPAL EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $2.6M 36,690
HELD EVC ENTRAVISION COMMUNICATIONS C 0.0 % 0.0 % +0.0 pp $2.6M 197,283
HELD ? GENERAL CATALYST GBL RESIL M 0.0 % 0.0 % +0.0 pp $2.6M 250,000
HELD IWS ISHARES TR 0.0 % 0.0 % +0.0 pp $2.6M 15,618
HELD OPY OPPENHEIMER HLDGS INC 0.0 % 0.0 % +0.0 pp $2.6M 24,352
HELD MGV VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $2.6M 15,720
HELD PSMT PRICESMART INC 0.0 % 0.0 % +0.0 pp $2.6M 13,144
HELD ? RENEW ENERGY GLOBAL PLC 0.0 % 0.0 % +0.0 pp $2.6M 410,664
HELD SVIA PROCAP FINL INC 0.0 % 0.0 % +0.0 pp $2.6M 1,663,739
HELD MSTR 0.625 09/15/28 STRATEGY INC 0.0 % 0.0 % +0.0 pp $2.6M 2,500,000
HELD IIPR INNOVATIVE INDL PPTYS INC 0.0 % 0.0 % +0.0 pp $2.6M 41,272
HELD OFG OFG BANCORP 0.0 % 0.0 % +0.0 pp $2.6M 52,068
HELD ACNB ACNB CORP 0.0 % 0.0 % +0.0 pp $2.5M 42,927
HELD DFH DREAM FINDERS HOMES INC 0.0 % 0.0 % +0.0 pp $2.5M 147,493
HELD ? JFROG LTD 0.0 % 0.0 % +0.0 pp $2.5M 28,006
HELD BVN COMPANIA DE MINAS BUENAVENTU 0.0 % 0.0 % +0.0 pp $2.5M 86,896
HELD ? GLOBANT S A 0.0 % 0.0 % +0.0 pp $2.5M 87,751
HELD NTGR NETGEAR INC 0.0 % 0.0 % +0.0 pp $2.5M 108,722
HELD FDIG FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.5M 59,400
HELD IEP ICAHN ENTERPRISES LP 0.0 % 0.0 % +0.0 pp $2.5M 351,892
HELD RNTX REIN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.5M 2,438,711
HELD TBT PROSHARES TR 0.0 % 0.0 % +0.0 pp $2.5M 72,520
HELD GTE GRAN TIERRA ENERGY INC 0.0 % 0.0 % +0.0 pp $2.5M 404,578
HELD PRKS UNITED PARKS & RESORTS INC 0.0 % 0.0 % +0.0 pp $2.5M 52,845
HELD BBCP CONCRETE PUMPING HLDGS INC 0.0 % 0.0 % +0.0 pp $2.5M 209,255
HELD FWRD FORWARD AIR CORP 0.0 % 0.0 % +0.0 pp $2.5M 186,574
HELD FSK FS KKR CAP CORP 0.0 % 0.0 % +0.0 pp $2.5M 239,979
HELD UNTY UNITY BANCORP INC 0.0 % 0.0 % +0.0 pp $2.5M 42,879
HELD FMET FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.5M 68,382
HELD WTRG ESSENTIAL UTILS INC 0.0 % 0.0 % +0.0 pp $2.5M 65,412
HELD ORCX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $2.5M 107,622
HELD TNXP TONIX PHARMACEUTICALS HLDG C 0.0 % 0.0 % +0.0 pp $2.5M 195,859
HELD DES WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.5M 61,398
HELD AWR AMER STATES WTR CO 0.0 % 0.0 % +0.0 pp $2.5M 30,220
HELD GHC GRAHAM HLDGS CO 0.0 % 0.0 % +0.0 pp $2.5M 2,187
HELD FLQM FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $2.5M 43,014
HELD LOCO EL POLLO LOCO HLDGS INC 0.0 % 0.0 % +0.0 pp $2.5M 146,788
HELD USVM VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $2.5M 22,661
HELD SMTH ALPS ETF TR 0.0 % 0.0 % +0.0 pp $2.5M 96,686
HELD BULZ BANK MONTREAL MEDIUM 0.0 % 0.0 % +0.0 pp $2.5M 62,807
HELD NASA TEMA ETF TRUST 0.0 % 0.0 % +0.0 pp $2.5M 81,806
HELD TEVAN TEVA PHARMACEUTICAL INDS LTD 0.0 % 0.0 % +0.0 pp $2.5M 73,304
HELD EE EXCELERATE ENERGY INC 0.0 % 0.0 % +0.0 pp $2.5M 65,362
HELD COLL COLLEGIUM PHARMACEUTICAL INC 0.0 % 0.0 % +0.0 pp $2.5M 68,592
HELD NVRI ENVIRI CORP 0.0 % 0.0 % +0.0 pp $2.5M 113,080
HELD PPA INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $2.5M 14,047
HELD AIV APARTMENT INVT & MGMT CO 0.0 % 0.0 % +0.0 pp $2.5M 835,328
HELD GOVM ISHARES TR 0.0 % 0.0 % +0.0 pp $2.5M 98,785
HELD BSCU INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $2.5M 148,829
HELD DUOT DUOS TECHNOLOGIES GROUP INC 0.0 % 0.0 % +0.0 pp $2.5M 206,412
HELD MFIC MIDCAP FINANCIAL INVSTMNT CO 0.0 % 0.0 % +0.0 pp $2.5M 245,485
HELD DHC DIVERSIFIED HEALTHCARE TR 0.0 % 0.0 % +0.0 pp $2.5M 265,528
HELD BBMC J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.5M 19,405
HELD TNC TENNANT CO 0.0 % 0.0 % +0.0 pp $2.5M 28,121
HELD SPBO SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.5M 84,580
HELD PRAX PRAXIS PRECISION MEDICINES I 0.0 % 0.0 % +0.0 pp $2.5M 7,331
HELD ASYS AMTECH SYS INC 0.0 % 0.0 % +0.0 pp $2.5M 106,246
HELD CEF SPROTT ASSET MANAGEMENT LP 0.0 % 0.0 % +0.0 pp $2.4M 60,890
HELD TIPA NORTHERN FDS 0.0 % 0.0 % +0.0 pp $2.4M 24,421
HELD CYRX CRYOPORT INC 0.0 % 0.0 % +0.0 pp $2.4M 155,768
HELD FF FUTUREFUEL CORP 0.0 % 0.0 % +0.0 pp $2.4M 540,985
HELD MDYV SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.4M 25,770
HELD PLRX PLIANT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.4M 2,142,226
HELD ? DOLE PLC 0.0 % 0.0 % +0.0 pp $2.4M 177,748
HELD FCA FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $2.4M 89,362
HELD NVD GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $2.4M 467,345
HELD DTD WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.4M 26,111
HELD MSBI MIDLAND STATES BANCORP INC 0.0 % 0.0 % +0.0 pp $2.4M 78,164
HELD MNR MACH NATURAL RESOURCES LP 0.0 % 0.0 % +0.0 pp $2.4M 192,119
HELD AROW ARROW FINL CORP 0.0 % 0.0 % +0.0 pp $2.4M 59,188
HELD USTB VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $2.4M 47,903
HELD IBIO IBIO INC 0.0 % 0.0 % +0.0 pp $2.4M 1,384,029
HELD HPK HIGHPEAK ENERGY INC 0.0 % 0.0 % +0.0 pp $2.4M 345,695
HELD PBK POWERBANK CORP 0.0 % 0.0 % +0.0 pp $2.4M 3,500,000
HELD ? SOL-GEL TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $2.4M 32,556
HELD GUNR FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $2.4M 48,895
HELD TRFK PACER FDS TR 0.0 % 0.0 % +0.0 pp $2.4M 22,553
HELD DJCO DAILY JOURNAL CORP 0.0 % 0.0 % +0.0 pp $2.4M 3,998
HELD BXSL BLACKSTONE SECD LENDING FD 0.0 % 0.0 % +0.0 pp $2.4M 101,265
HELD AREC AMERICAN RES CORP 0.0 % 0.0 % +0.0 pp $2.4M 1,116,295
HELD JTEK J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.4M 21,495
HELD MIDU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $2.4M 31,984
HELD STRZ STARZ ENTERTAINMENT CORP. 0.0 % 0.0 % +0.0 pp $2.4M 82,904
HELD IBIF ISHARES TR 0.0 % 0.0 % +0.0 pp $2.4M 90,905
HELD COSO COASTALSOUTH BANCSHARES INC 0.0 % 0.0 % +0.0 pp $2.4M 88,947
HELD ? IBEX LTD 0.0 % 0.0 % +0.0 pp $2.4M 78,595
HELD CCS CENTURY COMMUNITIES INC 0.0 % 0.0 % +0.0 pp $2.4M 33,269
HELD ? NOVOCURE LTD 0.0 % 0.0 % +0.0 pp $2.4M 157,235
HELD TOUS T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $2.4M 62,060
HELD IDU ISHARES TR 0.0 % 0.0 % +0.0 pp $2.4M 20,771
HELD GJAN FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $2.4M 52,866
HELD IXUS ISHARES TR 0.0 % 0.0 % +0.0 pp $2.4M 24,922
HELD SPH SUBURBAN PROPANE PARTNERS L 0.0 % 0.0 % +0.0 pp $2.4M 138,979
HELD TAGG T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $2.4M 55,918
HELD GPRE 5.25 11/01/30 144A GREEN PLAINS INC 0.0 % 0.0 % +0.0 pp $2.4M 1,752,000
HELD EXPO EXPONENT INC 0.0 % 0.0 % +0.0 pp $2.4M 40,344
HELD ATS ATS CORPORATION 0.0 % 0.0 % +0.0 pp $2.4M 82,308
HELD DFEN DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $2.4M 29,633
HELD STXT EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.4M 120,465
HELD STXD EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.4M 59,362
HELD DGRW WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.4M 24,664
HELD SERV SERVE ROBOTICS INC 0.0 % 0.0 % +0.0 pp $2.4M 358,163
HELD USAS AMERICAS GOLD AND SILVER COR 0.0 % 0.0 % +0.0 pp $2.4M 499,047
HELD JPUS J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.4M 16,797
HELD ING ING GROEP N.V. 0.0 % 0.0 % +0.0 pp $2.4M 75,061
HELD IYH ISHARES TR 0.0 % 0.0 % +0.0 pp $2.4M 35,075
HELD BCYC BICYCLE THERAPEUTICS PLC 0.0 % 0.0 % +0.0 pp $2.3M 554,225
HELD GSEE GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $2.3M 33,292
HELD BCAL CALIFORNIA BANCORP 0.0 % 0.0 % +0.0 pp $2.3M 112,548
HELD CRSR CORSAIR GAMING INC 0.0 % 0.0 % +0.0 pp $2.3M 241,905
HELD CGAU CENTERRA GOLD INC 0.0 % 0.0 % +0.0 pp $2.3M 147,371
HELD QTOP ISHARES TR 0.0 % 0.0 % +0.0 pp $2.3M 60,500
HELD DFIP DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $2.3M 56,616
HELD BRZU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $2.3M 26,257
HELD CNI CANADIAN NATL RY CO 0.0 % 0.0 % +0.0 pp $2.3M 19,558
HELD IEFA ISHARES TR 0.0 % 0.0 % +0.0 pp $2.3M 24,137
HELD GLNDW GREENLAND ENERGY CO 0.0 % 0.0 % +0.0 pp $2.3M 2,659,781
HELD IBD NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $2.3M 97,889
HELD DBX DROPBOX INC 0.0 % 0.0 % +0.0 pp $2.3M 84,509
HELD BKF ISHARES INC 0.0 % 0.0 % +0.0 pp $2.3M 59,885
HELD KEP KOREA ELEC PWR CORP 0.0 % 0.0 % +0.0 pp $2.3M 191,290
HELD MEI METHODE ELECTRS INC 0.0 % 0.0 % +0.0 pp $2.3M 121,834
HELD BUFF INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $2.3M 43,868
HELD ? GH RESEARCH PLC 0.0 % 0.0 % +0.0 pp $2.3M 85,952
HELD HTRB HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $2.3M 68,459
HELD INDY ISHARES TR 0.0 % 0.0 % +0.0 pp $2.3M 53,107
HELD CORP PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $2.3M 23,733
HELD FTCB FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $2.3M 110,137
HELD OLP ONE LIBERTY PPTYS INC 0.0 % 0.0 % +0.0 pp $2.3M 93,911
HELD IVES WEDBUSH SER TR 0.0 % 0.0 % +0.0 pp $2.3M 60,187
HELD FMB FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $2.3M 44,542
HELD CSW CSW INDUSTRIALS INC 0.0 % 0.0 % +0.0 pp $2.3M 8,176
HELD CAFX PROFESIONALLY MANAGED PORTFO 0.0 % 0.0 % +0.0 pp $2.3M 92,192
HELD ? RISKIFIED LTD 0.0 % 0.0 % +0.0 pp $2.3M 450,101
HELD NOA NORTH AMERN CONSTR GROUP LTD 0.0 % 0.0 % +0.0 pp $2.3M 169,549
HELD MVBF MVB FINL CORP 0.0 % 0.0 % +0.0 pp $2.3M 77,679
HELD ILDR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $2.3M 57,413
HELD BBC ETFIS SER TR I 0.0 % 0.0 % +0.0 pp $2.3M 42,736
HELD CRAK VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 48,792
HELD FEGE RBB FUND TRUST 0.0 % 0.0 % +0.0 pp $2.2M 45,953
HELD LTC LTC PPTYS INC 0.0 % 0.0 % +0.0 pp $2.2M 58,427
HELD FRMM FORUM MARKETS INC 0.0 % 0.0 % +0.0 pp $2.2M 413,552
HELD DFEV DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 52,533
HELD SXC SUNCOKE ENERGY INC 0.0 % 0.0 % +0.0 pp $2.2M 278,433
HELD SPYG SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $2.2M 18,832
HELD JMTG J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.2M 44,138
HELD ? ADECOAGRO S A 0.0 % 0.0 % +0.0 pp $2.2M 233,760
HELD SKYY FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $2.2M 16,572
HELD EIC EAGLE POINT INCOME COMPANY I 0.0 % 0.0 % +0.0 pp $2.2M 221,218
HELD SUZ SUZANO S A 0.0 % 0.0 % +0.0 pp $2.2M 286,965
HELD ASPI ASP ISOTOPES INC 0.0 % 0.0 % +0.0 pp $2.2M 357,591
HELD MLPI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 40,373
HELD TPLC TIMOTHY PLAN 0.0 % 0.0 % +0.0 pp $2.2M 44,011
HELD SQMX FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $2.2M 64,720
HELD SMMV ISHARES TR 0.0 % 0.0 % +0.0 pp $2.2M 48,071
HELD ? OKEANIS ECO TANKERS COR 0.0 % 0.0 % +0.0 pp $2.2M 44,151
HELD EES WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.2M 32,589
HELD ICF ISHARES TR 0.0 % 0.0 % +0.0 pp $2.2M 32,630
HELD ? PROQR THRAPEUTICS N V 0.0 % 0.0 % +0.0 pp $2.2M 1,184,314
HELD ECPG ENCORE CAP GROUP INC 0.0 % 0.0 % +0.0 pp $2.2M 23,608
HELD JBSS SANFILIPPO JOHN B & SON INC 0.0 % 0.0 % +0.0 pp $2.2M 25,561
HELD ? ADC THERAPEUTICS SA 0.0 % 0.0 % +0.0 pp $2.2M 2,053,316
HELD KREF KKR REAL ESTATE FIN TR INC 0.0 % 0.0 % +0.0 pp $2.2M 321,125
HELD RICK RCI HOSPITALITY HLDGS INC 0.0 % 0.0 % +0.0 pp $2.2M 80,384
HELD EVSM MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 43,605
HELD CEMB ISHARES INC 0.0 % 0.0 % +0.0 pp $2.2M 47,982
HELD FJP FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $2.2M 28,635
HELD BITQ BITWISE FUNDS TRUST 0.0 % 0.0 % +0.0 pp $2.2M 89,183
HELD TVTX TRAVERE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.2M 38,460
HELD CFFN CAPITOL FED FINL INC 0.0 % 0.0 % +0.0 pp $2.2M 256,669
HELD VBND ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $2.2M 50,060
HELD FLQS FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $2.2M 44,696
HELD PESI PERMA-FIX ENVIRONMENTAL SVCS 0.0 % 0.0 % +0.0 pp $2.2M 152,626
HELD SOFR AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $2.2M 21,778
HELD GGB GERDAU SA 0.0 % 0.0 % +0.0 pp $2.2M 539,624
HELD BSBR BANCO SANTANDER BRASIL S A 0.0 % 0.0 % +0.0 pp $2.2M 415,178
HELD PS PERSHING SQUARE INC 0.0 % 0.0 % +0.0 pp $2.2M 66,195
HELD SMH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 3,315
HELD BOW BOWHEAD SPECIALTY HLDGS INC 0.0 % 0.0 % +0.0 pp $2.2M 72,629
HELD PCMM BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 43,545
HELD BDVL BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 83,456
HELD ASO ACADEMY SPORTS & OUTDOORS IN 0.0 % 0.0 % +0.0 pp $2.2M 45,874
HELD FNGU BANK MONTREAL MEDIUM 0.0 % 0.0 % +0.0 pp $2.2M 84,037
HELD BKAG BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $2.2M 51,467
HELD DEED FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $2.2M 100,748
HELD CGDG CAPITAL GROUP DIVIDEND GROWE 0.0 % 0.0 % +0.0 pp $2.2M 57,395
HELD CERS CERUS CORP 0.0 % 0.0 % +0.0 pp $2.2M 736,682
HELD OPPJ WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.2M 37,302
HELD JFLI J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.1M 39,432
HELD YEAR AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $2.1M 42,633
HELD JPME J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.1M 17,241
HELD DRV DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $2.1M 112,076
HELD GFR GREENFIRE RES LTD NEW 0.0 % 0.0 % +0.0 pp $2.1M 378,821
HELD ? NEXTNRG INC 0.0 % 0.0 % +0.0 pp $2.1M 6,100,841
HELD ? RENAISSANCERE HLDGS LTD 0.0 % 0.0 % +0.0 pp $2.1M 6,733
HELD OPK OPKO HEALTH INC 0.0 % 0.0 % +0.0 pp $2.1M 1,420,922
HELD PAG PENSKE AUTOMOTIVE GRP INC 0.0 % 0.0 % +0.0 pp $2.1M 11,906
HELD ADAG ADAGENE INC 0.0 % 0.0 % +0.0 pp $2.1M 506,934
HELD FG F&G ANNUITIES & LIFE INC 0.0 % 0.0 % +0.0 pp $2.1M 80,009
HELD BBEM J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.1M 26,967
HELD JEMA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.1M 33,277
HELD ? SIMILARWEB LTD 0.0 % 0.0 % +0.0 pp $2.1M 346,735
HELD PALI PALISADE BIO INC 0.0 % 0.0 % +0.0 pp $2.1M 1,016,850
HELD NVCT NUVECTIS PHARMA INC 0.0 % 0.0 % +0.0 pp $2.1M 115,532
HELD ? AMERICAN BITCOIN CORP. 0.0 % 0.0 % +0.0 pp $2.1M 3,119,343
HELD EDGF ADVISORS INNER CIRCLE FD II 0.0 % 0.0 % +0.0 pp $2.1M 86,111
HELD CX CEMEX SA EURO MTN BE 144A 0.0 % 0.0 % +0.0 pp $2.1M 176,697
HELD MNSO MINISO GROUP HLDG LTD 0.0 % 0.0 % +0.0 pp $2.1M 175,809
HELD IRWD IRONWOOD PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $2.1M 502,403
HELD NGVC NATURAL GROCERS BY VITAMIN 0.0 % 0.0 % +0.0 pp $2.1M 68,157
HELD MNA NEW YORK LIFE INVESTMENTS ET 0.0 % 0.0 % +0.0 pp $2.1M 57,949
HELD ORGO ORGANOGENESIS HLDGS INC 0.0 % 0.0 % +0.0 pp $2.1M 867,929
HELD BLES NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $2.1M 44,198
HELD FTXN FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $2.1M 63,049
HELD ZAP GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $2.1M 60,889
HELD URBN URBAN OUTFITTERS INC 0.0 % 0.0 % +0.0 pp $2.1M 29,727
HELD CSWC CAPITAL SOUTHWEST CORP 0.0 % 0.0 % +0.0 pp $2.1M 88,251
HELD DLN WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.1M 21,767
HELD ENS ENERSYS 0.0 % 0.0 % +0.0 pp $2.1M 8,943
HELD DGICA DONEGAL GROUP INC 0.0 % 0.0 % +0.0 pp $2.1M 110,704
HELD STIP ISHARES TR 0.0 % 0.0 % +0.0 pp $2.1M 20,373
HELD SQQQ PROSHARES TR 0.0 % 0.0 % +0.0 pp $2.1M 57,320
HELD EBF ENNIS INC 0.0 % 0.0 % +0.0 pp $2.1M 97,923
HELD ? PERRIGO CO PLC 0.0 % 0.0 % +0.0 pp $2.1M 199,776
HELD TDIV FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $2.1M 18,058
HELD NUAI NEW ERA ENERGY & DIGITAL INC 0.0 % 0.0 % +0.0 pp $2.1M 324,991
HELD WAY WAYSTAR HLDG CORP 0.0 % 0.0 % +0.0 pp $2.1M 100,825
HELD ? KAROOOOO LTD 0.0 % 0.0 % +0.0 pp $2.1M 41,932
HELD DIAL COLUMBIA ETF TR I 0.0 % 0.0 % +0.0 pp $2.1M 113,876
HELD ? ORLA MNG LTD NEW 0.0 % 0.0 % +0.0 pp $2.1M 211,279
HELD TIGR UP FINTECH HLDG LTD 0.0 % 0.0 % +0.0 pp $2.1M 469,705
HELD PKX POSCO HOLDINGS INC 0.0 % 0.0 % +0.0 pp $2.1M 40,196
HELD UFPT UFP TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $2.1M 7,786
HELD LENZ LENZ THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.1M 363,229
HELD ARKB ARK 21SHARES BITCOIN ETF 0.0 % 0.0 % +0.0 pp $2.1M 105,943
HELD NABL N-ABLE INC 0.0 % 0.0 % +0.0 pp $2.1M 560,693
HELD TMCI TREACE MED CONCEPTS INC 0.0 % 0.0 % +0.0 pp $2.1M 516,994
HELD WDS WOODSIDE ENERGY GROUP LTD 0.0 % 0.0 % +0.0 pp $2.1M 106,330
HELD MTRA INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $2.0M 74,368
HELD SMPL SIMPLY GOOD FOODS CO 0.0 % 0.0 % +0.0 pp $2.0M 154,221
HELD NPCE NEUROPACE INC 0.0 % 0.0 % +0.0 pp $2.0M 128,800
HELD PSDM PGIM ETF TR 0.0 % 0.0 % +0.0 pp $2.0M 40,192
HELD UGP ULTRAPAR PARTICIPACOES SA 0.0 % 0.0 % +0.0 pp $2.0M 407,514
HELD TFLR T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $2.0M 40,577
HELD EVTC EVERTEC INC 0.0 % 0.0 % +0.0 pp $2.0M 73,508
HELD BEX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $2.0M 34,134
HELD ? QTREX QUANTUM LTD 0.0 % 0.0 % +0.0 pp $2.0M 1,416,668
HELD USAI PACER FDS TR 0.0 % 0.0 % +0.0 pp $2.0M 44,741
HELD SDOW PROSHARES TR 0.0 % 0.0 % +0.0 pp $2.0M 83,982
HELD LWLG LIGHTWAVE LOGIC INC 0.0 % 0.0 % +0.0 pp $2.0M 214,545
HELD PSIX POWER SOLUTIONS INTL INC 0.0 % 0.0 % +0.0 pp $2.0M 52,017
HELD VPLS VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $2.0M 26,071
HELD VYMI VANGUARD WHITEHALL FDS 0.0 % 0.0 % +0.0 pp $2.0M 20,584
HELD SLP SIMULATIONS PLUS INC 0.0 % 0.0 % +0.0 pp $2.0M 110,368
HELD CDRE CADRE HLDGS INC 0.0 % 0.0 % +0.0 pp $2.0M 70,877
HELD TRNS TRANSCAT INC 0.0 % 0.0 % +0.0 pp $2.0M 21,728
HELD HEWJ ISHARES TR 0.0 % 0.0 % +0.0 pp $2.0M 31,212
HELD CCD CALAMOS DYNAMIC CONV & INCOM 0.0 % 0.0 % +0.0 pp $2.0M 78,136
HELD EGHT 8X8 INC NEW 0.0 % 0.0 % +0.0 pp $2.0M 1,176,821
HELD NAGE NIAGEN BIOSCIENCE INC 0.0 % 0.0 % +0.0 pp $2.0M 630,109
HELD LLYX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $2.0M 72,419
HELD DXPE DXP ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $2.0M 11,893
HELD SIGA SIGA TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $2.0M 551,246
HELD PHAT PHATHOM PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $2.0M 184,901
HELD FFLC FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.0M 34,032
HELD ASST STRIVE INC 0.0 % 0.0 % +0.0 pp $2.0M 183,711
HELD AGNG GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $2.0M 55,642
HELD ISCB ISHARES TR 0.0 % 0.0 % +0.0 pp $2.0M 26,509
HELD NBIX NEUROCRINE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $2.0M 11,863
HELD VAC MARRIOTT VACATIONS WORLDWIDE 0.0 % 0.0 % +0.0 pp $2.0M 19,614
HELD HIMU BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $2.0M 40,077
HELD CANE TEUCRIUM COMMODITY TR 0.0 % 0.0 % +0.0 pp $2.0M 203,723
HELD TLS TELOS CORP MD 0.0 % 0.0 % +0.0 pp $2.0M 433,567
HELD ? HELEN OF TROY LTD 0.0 % 0.0 % +0.0 pp $2.0M 68,583
HELD ALTG ALTA EQUIPMENT GROUP INC 0.0 % 0.0 % +0.0 pp $2.0M 307,721
HELD LSAK LESAKA TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $2.0M 400,414
HELD VTEI VANGUARD MUN BD FDS 0.0 % 0.0 % +0.0 pp $2.0M 19,682
HELD BELFB BEL FUSE INC 0.0 % 0.0 % +0.0 pp $2.0M 5,966
HELD DRD DRDGOLD LIMITED 0.0 % 0.0 % +0.0 pp $2.0M 93,113
HELD VTEL VANGUARD MUN BD FDS 0.0 % 0.0 % +0.0 pp $2.0M 18,909
HELD FDTS FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $2.0M 30,215
HELD MNTS MOMENTUS INC 0.0 % 0.0 % +0.0 pp $2.0M 294,365
HELD FFEM FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $2.0M 45,275
HELD EGBN EAGLE BANCORPORATION INC 0.0 % 0.0 % +0.0 pp $2.0M 69,520
HELD TLTD FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $2.0M 20,108
HELD LTPZ PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $2.0M 38,881
HELD XSOE WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $2.0M 39,991
HELD BWIN THE BALDWIN INSURANCE GRP IN 0.0 % 0.0 % +0.0 pp $2.0M 73,992
HELD JMST J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $2.0M 38,538
HELD HASI HA SUSTAINABLE INFRA CAP INC 0.0 % 0.0 % +0.0 pp $2.0M 50,255
HELD ? NAVIOS MARITIME PARTNERS LP 0.0 % 0.0 % +0.0 pp $2.0M 27,966
HELD FINX GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $2.0M 79,337
HELD GPRO GOPRO INC 0.0 % 0.0 % +0.0 pp $2.0M 2,517,153
HELD AKBA AKEBIA THREAPEUTICS INC 0.0 % 0.0 % +0.0 pp $2.0M 1,717,659
HELD JEMB JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $2.0M 36,310
HELD CVEO CIVEO CORP CDA 0.0 % 0.0 % +0.0 pp $1.9M 55,684
HELD AIOT POWERFLEET INC 0.0 % 0.0 % +0.0 pp $1.9M 508,501
HELD CORN TEUCRIUM COMMODITY TR 0.0 % 0.0 % +0.0 pp $1.9M 116,041
HELD PSNL PERSONALIS INC 0.0 % 0.0 % +0.0 pp $1.9M 144,998
HELD ABUS ARBUTUS BIOPHARMA CORP 0.0 % 0.0 % +0.0 pp $1.9M 404,696
HELD APUE TRUST FOR PROFESSIONAL MANAG 0.0 % 0.0 % +0.0 pp $1.9M 42,012
HELD SID COMPANHIA SIDERURGICA NACION 0.0 % 0.0 % +0.0 pp $1.9M 2,115,644
HELD ATOM ATOMERA INC 0.0 % 0.0 % +0.0 pp $1.9M 221,842
HELD LAB STANDARD BIOTOOLS INC 0.0 % 0.0 % +0.0 pp $1.9M 2,348,570
HELD DFEM DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $1.9M 47,480
HELD IMRX IMMUNEERING CORP 0.0 % 0.0 % +0.0 pp $1.9M 386,411
HELD DGS WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.9M 29,755
HELD LE LANDS END INC NEW 0.0 % 0.0 % +0.0 pp $1.9M 183,702
HELD BIOA BIOAGE LABS INC 0.0 % 0.0 % +0.0 pp $1.9M 78,365
HELD AFLG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.9M 44,186
HELD GIGL GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.9M 37,908
HELD BXMT BLACKSTONE MORTGAGE TRUST IN 0.0 % 0.0 % +0.0 pp $1.9M 113,071
HELD CHPX GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $1.9M 18,023
HELD OBK ORIGIN BANCORP INC 0.0 % 0.0 % +0.0 pp $1.9M 37,427
HELD RSP INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.9M 8,985
HELD PRFZ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.9M 34,231
HELD JPIB J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.9M 39,484
HELD QQXT FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.9M 19,550
HELD SHAK SHAKE SHACK INC 0.0 % 0.0 % +0.0 pp $1.9M 33,938
HELD ? ICHOR HOLDINGS 0.0 % 0.0 % +0.0 pp $1.9M 16,907
HELD PCT PURECYCLE TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $1.9M 233,963
HELD ? MAKEMYTRIP LIMITED MAURITIUS 0.0 % 0.0 % +0.0 pp $1.9M 35,571
HELD FLRG FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.9M 46,168
HELD MINO PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $1.9M 41,309
HELD WAFD WAFD INC 0.0 % 0.0 % +0.0 pp $1.9M 49,251
HELD ? TALKSPACE INC 0.0 % 0.0 % +0.0 pp $1.9M 363,297
HELD APCB TRUST FOR PROFESSIONAL MANAG 0.0 % 0.0 % +0.0 pp $1.9M 64,182
HELD HYLS FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.9M 46,407
HELD VDC VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $1.9M 8,361
HELD SCHL SCHOLASTIC CORP 0.0 % 0.0 % +0.0 pp $1.9M 40,970
HELD ACWX ISHARES TR 0.0 % 0.0 % +0.0 pp $1.9M 24,741
HELD IMMR IMMERSION CORP 0.0 % 0.0 % +0.0 pp $1.9M 278,036
HELD AQST AQUESTIVE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.9M 452,197
HELD RPG INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.9M 29,427
HELD SPOK SPOK HLDGS INC 0.0 % 0.0 % +0.0 pp $1.9M 183,447
HELD BGIG ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.9M 52,244
HELD IYK ISHARES TR 0.0 % 0.0 % +0.0 pp $1.9M 25,805
HELD ITRG INTEGRA RES CORP 0.0 % 0.0 % +0.0 pp $1.9M 825,554
HELD AMAL AMALGAMATED FINANCIAL CORP 0.0 % 0.0 % +0.0 pp $1.9M 40,789
HELD BBBL BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $1.9M 38,992
HELD VPG VISHAY PRECISION GROUP INC 0.0 % 0.0 % +0.0 pp $1.9M 12,478
HELD MINV MATTHEWS ASIA FDS 0.0 % 0.0 % +0.0 pp $1.9M 32,293
HELD FLKR FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.9M 28,251
HELD ? ALPHA & OMEGA SEMICONDUCTOR 0.0 % 0.0 % +0.0 pp $1.9M 39,368
HELD OCSL OAKTREE SPECIALTY LENDING 0.0 % 0.0 % +0.0 pp $1.9M 155,865
HELD ESPO VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.9M 20,720
HELD AAPD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.9M 153,323
HELD QLD PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.9M 19,182
HELD XRPR ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $1.9M 215,639
HELD DBA INVESCO DB MULTI-SECTOR COMM 0.0 % 0.0 % +0.0 pp $1.8M 69,334
HELD CMF ISHARES TR 0.0 % 0.0 % +0.0 pp $1.8M 32,001
HELD INOD INNODATA INC 0.0 % 0.0 % +0.0 pp $1.8M 24,398
HELD PRAY FIS TR 0.0 % 0.0 % +0.0 pp $1.8M 51,949
HELD MDA MDA SPACE LTD 0.0 % 0.0 % +0.0 pp $1.8M 44,570
HELD CMBS ISHARES TR 0.0 % 0.0 % +0.0 pp $1.8M 37,816
HELD ? LIGHTWAVE ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $1.8M 179,051
HELD TRX TRX GOLD CORPORATION 0.0 % 0.0 % +0.0 pp $1.8M 2,226,593
HELD SAH SONIC AUTOMOTIVE INC 0.0 % 0.0 % +0.0 pp $1.8M 21,656
HELD FLGB FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.8M 52,030
HELD NRP NATURAL RESOURCE PARTNERS LP 0.0 % 0.0 % +0.0 pp $1.8M 18,869
HELD MTLS MATERIALISE NV 0.0 % 0.0 % +0.0 pp $1.8M 246,117
HELD SPFI SOUTH PLAINS FINANCIAL INC 0.0 % 0.0 % +0.0 pp $1.8M 42,419
HELD FTSD FRANKLIN ETF TR 0.0 % 0.0 % +0.0 pp $1.8M 20,184
HELD RBB RBB BANCORP 0.0 % 0.0 % +0.0 pp $1.8M 66,633
HELD EFAA INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $1.8M 32,739
HELD ZTEN RBB FD INC 0.0 % 0.0 % +0.0 pp $1.8M 36,196
HELD BETZ LISTED FDS TR 0.0 % 0.0 % +0.0 pp $1.8M 97,631
HELD ? SCORPIO TANKERS INC 0.0 % 0.0 % +0.0 pp $1.8M 26,312
HELD QPUX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.8M 65,084
HELD SMC SUMMIT MIDSTREAM CORPORATION 0.0 % 0.0 % +0.0 pp $1.8M 63,910
HELD BLLN BILLIONTOONE INC 0.0 % 0.0 % +0.0 pp $1.8M 15,155
HELD GEVO GEVO INC 0.0 % 0.0 % +0.0 pp $1.8M 1,211,562
HELD PTRB PGIM ETF TR 0.0 % 0.0 % +0.0 pp $1.8M 43,823
HELD IPO RENAISSANCE CAP GREENWICH FD 0.0 % 0.0 % +0.0 pp $1.8M 30,506
HELD AMRC AMERESCO INC 0.0 % 0.0 % +0.0 pp $1.8M 65,648
HELD XRN CHIRON REAL ESTATE INC 0.0 % 0.0 % +0.0 pp $1.8M 48,233
HELD VBCI VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $1.8M 23,899
HELD HBDC TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.8M 73,152
HELD ? INFLECTION PT ACQUISIT CORP 0.0 % 0.0 % +0.0 pp $1.8M 174,276
HELD PEBK PEOPLES BANCORP N C INC 0.0 % 0.0 % +0.0 pp $1.8M 41,794
HELD NVTX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.8M 36,980
HELD NVDQ ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $1.8M 150,687
HELD EEMV ISHARES INC 0.0 % 0.0 % +0.0 pp $1.8M 23,880
HELD HDEF DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.8M 55,899
HELD CAL CALERES INC 0.0 % 0.0 % +0.0 pp $1.8M 145,235
HELD ? 1RT ACQUISITION CORP. 0.0 % 0.0 % +0.0 pp $1.8M 172,678
HELD BOC BOSTON OMAHA CORP 0.0 % 0.0 % +0.0 pp $1.8M 131,455
HELD ULVM VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $1.8M 16,871
HELD WDAF WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.8M 58,370
HELD UCON FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.8M 71,904
HELD TBX PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.8M 63,122
HELD XNDU XANADU QUANTUM TECHNOLO LTD 0.0 % 0.0 % +0.0 pp $1.8M 147,423
HELD DYLD TWO RDS SHARED TR 0.0 % 0.0 % +0.0 pp $1.8M 79,606
HELD EZM WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.8M 23,555
HELD CCO CLEAR CHANNEL OUTDOOR HLDGS 0.0 % 0.0 % +0.0 pp $1.8M 737,459
HELD RM REGIONAL MGMT CORP 0.0 % 0.0 % +0.0 pp $1.8M 43,288
HELD ? DEL MONTE CORP 0.0 % 0.0 % +0.0 pp $1.8M 63,885
HELD VBCG VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $1.8M 23,620
HELD IHDG WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.8M 34,026
HELD ? NEXXEN INTL LTD 0.0 % 0.0 % +0.0 pp $1.8M 197,149
HELD KODK EASTMAN KODAK CO 0.0 % 0.0 % +0.0 pp $1.8M 192,274
HELD ELMD ELECTROMED INC 0.0 % 0.0 % +0.0 pp $1.8M 42,045
HELD AVIG AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.8M 42,927
HELD WOR WORTHINGTON ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $1.8M 33,048
HELD ? ZURA BIO LTD 0.0 % 0.0 % +0.0 pp $1.8M 300,719
HELD ETON ETON PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $1.8M 48,969
HELD LB LANDBRIDGE COMPANY LLC 0.0 % 0.0 % +0.0 pp $1.8M 22,360
HELD WEST WESTROCK COFFEE CO 0.0 % 0.0 % +0.0 pp $1.8M 218,376
HELD FUL FULLER H B CO 0.0 % 0.0 % +0.0 pp $1.8M 30,212
HELD FRDM EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.8M 24,109
HELD INBK FIRST INTERNET BANCORP 0.0 % 0.0 % +0.0 pp $1.8M 63,201
HELD FICS FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.8M 42,040
HELD RWJ INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.8M 29,509
HELD KBDC KAYNE ANDERSON BDC INC 0.0 % 0.0 % +0.0 pp $1.8M 129,630
HELD ? GIGACLOUD TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $1.8M 55,480
HELD ASTE ASTEC INDS INC 0.0 % 0.0 % +0.0 pp $1.8M 28,640
HELD VIST VISTA ENERGY S.A.B. DE C.V. 0.0 % 0.0 % +0.0 pp $1.8M 27,431
HELD IGE ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 31,147
HELD IEV ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 23,990
HELD SCJ ISHARES INC 0.0 % 0.0 % +0.0 pp $1.7M 16,593
HELD IVR INVESCO MORTGAGE CAPITAL INC 0.0 % 0.0 % +0.0 pp $1.7M 221,066
HELD HZO MARINEMAX INC 0.0 % 0.0 % +0.0 pp $1.7M 47,668
HELD SVAL ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 41,747
HELD INFU INFUSYSTEM HLDGS INC 0.0 % 0.0 % +0.0 pp $1.7M 180,650
HELD FIGB FIDELITY MERRIMACK STR TR 0.0 % 0.0 % +0.0 pp $1.7M 40,652
HELD HBM HUDBAY MINERALS INC 0.0 % 0.0 % +0.0 pp $1.7M 73,732
HELD LQDT LIQUIDITY SVCS INC 0.0 % 0.0 % +0.0 pp $1.7M 44,392
HELD ERAS ERASCA INC 0.0 % 0.0 % +0.0 pp $1.7M 94,741
HELD ? FERRARI N V 0.0 % 0.0 % +0.0 pp $1.7M 4,661
HELD DGRE WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.7M 42,449
HELD TSSI TSS INC DEL 0.0 % 0.0 % +0.0 pp $1.7M 140,813
HELD CZNC CITIZENS & NORTHN CORP 0.0 % 0.0 % +0.0 pp $1.7M 74,107
HELD BTC GRAYSCALE BITCOIN MINI TR ET 0.0 % 0.0 % +0.0 pp $1.7M 66,567
HELD ? LIBERTY LATIN AMERICA LTD 0.0 % 0.0 % +0.0 pp $1.7M 220,052
HELD DUG PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 80,802
HELD LYTS LSI INDS INC OHIO 0.0 % 0.0 % +0.0 pp $1.7M 64,850
HELD DNLI DENALI THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.7M 66,971
HELD BNDW VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $1.7M 25,132
HELD AMLP ALPS ETF TR 0.0 % 0.0 % +0.0 pp $1.7M 33,211
HELD BZAI BLAIZE HLDGS INC 0.0 % 0.0 % +0.0 pp $1.7M 1,247,768
HELD VTEC VANGUARD CALIF TAX FREE FDS 0.0 % 0.0 % +0.0 pp $1.7M 17,116
HELD FEM FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $1.7M 53,756
HELD KCE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.7M 11,654
HELD GLOF ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 29,158
HELD PEBO PEOPLES BANCORP INC 0.0 % 0.0 % +0.0 pp $1.7M 44,628
HELD GTN GRAY MEDIA INC 0.0 % 0.0 % +0.0 pp $1.7M 431,699
HELD JHMD JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $1.7M 38,520
HELD SSRM SSR MINING IN 0.0 % 0.0 % +0.0 pp $1.7M 60,478
HELD EXI ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 8,503
HELD ORCU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.7M 205,169
HELD VSDA VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $1.7M 29,241
HELD KFRC KFORCE INC 0.0 % 0.0 % +0.0 pp $1.7M 36,226
HELD MUX MCEWEN INC. 0.0 % 0.0 % +0.0 pp $1.7M 93,740
HELD MISL FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.7M 37,101
HELD WYY WIDEPOINT CORP 0.0 % 0.0 % +0.0 pp $1.7M 96,924
HELD FXF INVESCO CURRENCYSHARES SWISS 0.0 % 0.0 % +0.0 pp $1.7M 15,511
HELD KORP AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.7M 35,999
HELD LQDH ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $1.7M 18,102
HELD CSV CARRIAGE SVCS INC 0.0 % 0.0 % +0.0 pp $1.7M 43,964
HELD FMAO FARMERS & MERCHANTS BANCORP 0.0 % 0.0 % +0.0 pp $1.7M 55,111
HELD IBTK ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 86,097
HELD SPUU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.7M 7,788
HELD PHI PLDT INC 0.0 % 0.0 % +0.0 pp $1.7M 95,753
HELD RRGB RED ROBIN GOURMET BURGERS IN 0.0 % 0.0 % +0.0 pp $1.7M 209,805
HELD JPXN ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 16,898
HELD CAPL CROSSAMERICA PARTNERS LP 0.0 % 0.0 % +0.0 pp $1.7M 74,684
HELD ? CANTOR EQUITY PARTNERS II IN 0.0 % 0.0 % +0.0 pp $1.7M 124,681
HELD ? WILCO 63 CORP 0.0 % 0.0 % +0.0 pp $1.7M 167,940
HELD TCMD TACTILE SYS TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $1.7M 56,066
HELD HERD PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.7M 35,467
HELD MSEX MIDDLESEX WTR CO 0.0 % 0.0 % +0.0 pp $1.7M 29,716
HELD REZI RESIDEO TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $1.7M 53,629
HELD ASCI ABRDN FDS 0.0 % 0.0 % +0.0 pp $1.7M 45,414
HELD DCH DAUCH CORP 0.0 % 0.0 % +0.0 pp $1.7M 306,901
HELD AHRT AH RLTY TR INC 0.0 % 0.0 % +0.0 pp $1.7M 234,526
HELD CTBI COMMUNITY TR BANCORP INC 0.0 % 0.0 % +0.0 pp $1.7M 22,935
HELD VIA VIA TRANSN INC 0.0 % 0.0 % +0.0 pp $1.7M 91,334
HELD BJRI BJS RESTAURANTS INC 0.0 % 0.0 % +0.0 pp $1.7M 27,274
HELD QUIK QUICKLOGIC CORP 0.0 % 0.0 % +0.0 pp $1.7M 82,816
HELD PABD ISHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 23,875
HELD LKOR FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.7M 39,352
HELD PBW INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.6M 42,246
HELD ISMD NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $1.6M 32,910
HELD MRP MILLROSE PPTYS INC 0.0 % 0.0 % +0.0 pp $1.6M 54,740
HELD AAOX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.6M 52,025
HELD SPTL SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.6M 62,676
HELD RAFE PIMCO EQUITY SER 0.0 % 0.0 % +0.0 pp $1.6M 34,331
HELD SUSL ISHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 12,373
HELD HYGV FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 40,680
HELD MAIN MAIN STR CAP CORP 0.0 % 0.0 % +0.0 pp $1.6M 31,531
HELD IGBH ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 66,467
HELD AEG AEGON LTD 0.0 % 0.0 % +0.0 pp $1.6M 193,088
HELD RHI ROBERT HALF INC. 0.0 % 0.0 % +0.0 pp $1.6M 53,048
HELD TRFM ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.6M 25,762
HELD GBTG GLOBAL BUSINESS TRAVEL GROUP 0.0 % 0.0 % +0.0 pp $1.6M 172,965
HELD ULST SSGA ACTIVE ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 40,166
HELD UIVM VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $1.6M 22,576
HELD ? STELLAR BANCORP INC 0.0 % 0.0 % +0.0 pp $1.6M 41,210
HELD FAZ DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.6M 40,955
HELD VCOB TIDAL TR IV 0.0 % 0.0 % +0.0 pp $1.6M 32,543
HELD PI 1.125 05/15/27 IMPINJ INC 0.0 % 0.0 % +0.0 pp $1.6M 1,143,000
HELD ? AFYA LTD 0.0 % 0.0 % +0.0 pp $1.6M 108,590
HELD OAKM HARRIS OAKMARK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.6M 57,204
HELD QNDX SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.6M 64,607
HELD DDDD TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.6M 50,674
HELD MGRC MCGRATH RENTCORP 0.0 % 0.0 % +0.0 pp $1.6M 13,295
HELD 87M THE REAL BROKERAGE INC 0.0 % 0.0 % +0.0 pp $1.6M 883,758
HELD LADM PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.6M 49,990
HELD SVRA SAVARA INC 0.0 % 0.0 % +0.0 pp $1.6M 261,047
HELD CIM CHIMERA INVT CORP 0.0 % 0.0 % +0.0 pp $1.6M 120,539
HELD EEMX SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $1.6M 29,629
HELD ABEO ABEONA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.6M 259,401
HELD CEVA CEVA INC 0.0 % 0.0 % +0.0 pp $1.6M 33,951
HELD DUSA DAVIS FUNDAMENTAL ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 28,495
HELD GEMI GEMINI SPACE STA INC 0.0 % 0.0 % +0.0 pp $1.6M 375,594
HELD ARB ALTSHARES TRUST 0.0 % 0.0 % +0.0 pp $1.6M 53,912
HELD RGLO RUSSELL INVTS EXCHANGE TRADE 0.0 % 0.0 % +0.0 pp $1.6M 49,081
HELD BBAR BANCO BBVA ARGENTINA S A 0.0 % 0.0 % +0.0 pp $1.6M 81,408
HELD RAVI FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 21,142
HELD HTO H2O AMERICA 0.0 % 0.0 % +0.0 pp $1.6M 26,234
HELD COPJ SPROTT FDS TR 0.0 % 0.0 % +0.0 pp $1.6M 40,195
HELD BLV VANGUARD BD INDEX FDS 0.0 % 0.0 % +0.0 pp $1.6M 23,082
HELD UAE ISHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 83,641
HELD MAGN MAGNERA CORP 0.0 % 0.0 % +0.0 pp $1.6M 135,285
HELD HEFA ISHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 33,846
HELD XPEL XPEL INC 0.0 % 0.0 % +0.0 pp $1.6M 31,914
HELD GSEP FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.6M 38,633
HELD DMXU DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 41,221
HELD SNPE DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 22,906
HELD VBCF VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $1.6M 20,831
HELD MMAY PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.6M 48,048
HELD DRVN DRIVEN BRANDS HLDGS INC 0.0 % 0.0 % +0.0 pp $1.6M 112,529
HELD NUKZ EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $1.6M 23,010
HELD DXD PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 91,195
HELD SMG SCOTTS MIRACLE-GRO CO 0.0 % 0.0 % +0.0 pp $1.6M 22,960
HELD NKSH NATIONAL BANKSHARES INC VA 0.0 % 0.0 % +0.0 pp $1.6M 43,038
HELD INMU BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $1.6M 64,428
HELD SMRT SMARTRENT INC 0.0 % 0.0 % +0.0 pp $1.6M 1,311,939
HELD EVLU ISHARES TR 0.0 % 0.0 % +0.0 pp $1.6M 38,040
HELD CVLG COVENANT LOGISTICS GROUP INC 0.0 % 0.0 % +0.0 pp $1.6M 35,163
HELD FXN FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.6M 76,750
HELD AVGG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $1.6M 56,774
HELD JUSA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.5M 23,049
HELD SPIB SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.5M 46,261
HELD VBCD VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $1.5M 20,476
HELD GSJY GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 29,500
HELD GMOI GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $1.5M 41,044
HELD QTTB Q32 BIO INC 0.0 % 0.0 % +0.0 pp $1.5M 120,663
HELD JHCB JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $1.5M 72,386
HELD PFEB INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.5M 35,645
HELD GTEK GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 24,397
HELD IQLT ISHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 30,936
HELD IBTR ISHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 61,473
HELD RLX RLX TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $1.5M 804,969
HELD AUB ATLANTIC UN BANKSHARES CORP 0.0 % 0.0 % +0.0 pp $1.5M 36,134
HELD CSEN COHEN & STEERS ETF TRUST 0.0 % 0.0 % +0.0 pp $1.5M 64,586
HELD FENI FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.5M 38,061
HELD TAFI AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $1.5M 60,551
HELD FEUS FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 18,939
HELD DIG PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 31,006
HELD FLY FIREFLY AEROSPACE INC 0.0 % 0.0 % +0.0 pp $1.5M 51,714
HELD AMRN AMARIN CORP PLC 0.0 % 0.0 % +0.0 pp $1.5M 95,364
HELD ? HERBALIFE LTD 0.0 % 0.0 % +0.0 pp $1.5M 115,532
HELD SECT NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $1.5M 21,050
HELD IBDV ISHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 69,577
HELD ASPN ASPEN AEROGELS INC 0.0 % 0.0 % +0.0 pp $1.5M 238,731
HELD SITC SITE CTRS CORP 0.0 % 0.0 % +0.0 pp $1.5M 381,126
HELD OEFA ALPS ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 43,851
HELD KC KINGSOFT CLOUD HLDGS LTD 0.0 % 0.0 % +0.0 pp $1.5M 167,025
HELD PFFD GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $1.5M 80,508
HELD CUT INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.5M 53,829
HELD CADL CANDEL THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.5M 146,016
HELD BBW BUILD-A-BEAR WORKSHOP INC 0.0 % 0.0 % +0.0 pp $1.5M 49,105
HELD USSG DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 21,636
HELD SBH SALLY BEAUTY HLDGS INC 0.0 % 0.0 % +0.0 pp $1.5M 106,262
HELD FUSI AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 29,639
HELD ? AURA MINERALS INC 0.0 % 0.0 % +0.0 pp $1.5M 23,809
HELD VCRM VANGUARD MUN BD FDS 0.0 % 0.0 % +0.0 pp $1.5M 19,604
HELD NVST ENVISTA HOLDINGS CORPORATION 0.0 % 0.0 % +0.0 pp $1.5M 56,836
HELD MFEB PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,833
HELD RXI ISHARES TR 0.0 % 0.0 % +0.0 pp $1.5M 7,743
HELD SDCI USCF ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 56,382
HELD RGP RESOURCES CONNECTION INC 0.0 % 0.0 % +0.0 pp $1.5M 350,553
HELD GSWO GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 23,426
HELD MAUG PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,622
HELD MNVR PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,435
HELD MMAR PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,876
HELD SMMU PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $1.5M 29,333
HELD MDCR PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,866
HELD OKLO OKLO INC 0.0 % 0.0 % +0.0 pp $1.5M 28,281
HELD MPAA MOTORCAR PTS AMER INC 0.0 % 0.0 % +0.0 pp $1.5M 96,532
HELD MSEP PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.5M 45,893
HELD UFOX ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.5M 15,547
HELD FEUZ FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $1.5M 22,189
HELD TUSK MAMMOTH ENERGY SVCS INC 0.0 % 0.0 % +0.0 pp $1.5M 452,163
HELD EWJ ISHARES INC 0.0 % 0.0 % +0.0 pp $1.5M 15,751
HELD IBOT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.5M 21,352
HELD AVL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.5M 33,200
HELD TSNF YORKVILLE AMER INVTS TR 0.0 % 0.0 % +0.0 pp $1.5M 44,493
HELD MSTY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.5M 119,787
HELD VIS VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $1.5M 4,065
HELD CUBE CUBESMART 0.0 % 0.0 % +0.0 pp $1.5M 36,833
HELD SUN SUNOCO LP/SUNOCO FIN CORP 0.0 % 0.0 % +0.0 pp $1.5M 21,633
HELD EWC ISHARES INC 0.0 % 0.0 % +0.0 pp $1.5M 25,329
HELD ? ESPERION THERAPEUTICS INC NE 0.0 % 0.0 % +0.0 pp $1.5M 461,649
HELD GSHD GOOSEHEAD INS INC 0.0 % 0.0 % +0.0 pp $1.5M 30,028
HELD EMBC EMBECTA CORP 0.0 % 0.0 % +0.0 pp $1.5M 446,091
HELD NBN NORTHEAST BK PORTLAND ME 0.0 % 0.0 % +0.0 pp $1.5M 10,968
HELD CRCT CRICUT INC 0.0 % 0.0 % +0.0 pp $1.4M 329,694
HELD LOMA LOMA NEGRA C I A S A MTN 14 0.0 % 0.0 % +0.0 pp $1.4M 126,132
HELD WMSB NORTHERN LTS FD TR II 0.0 % 0.0 % +0.0 pp $1.4M 57,503
HELD ? AUDIOCODES LTD 0.0 % 0.0 % +0.0 pp $1.4M 149,033
HELD FSTR FOSTER L B CO 0.0 % 0.0 % +0.0 pp $1.4M 31,932
HELD IBDS ISHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 59,523
HELD OWLT OWLET INC 0.0 % 0.0 % +0.0 pp $1.4M 251,137
HELD XYLD GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $1.4M 35,322
HELD MNSB MAINSTREET BANCSHARES INC 0.0 % 0.0 % +0.0 pp $1.4M 58,344
HELD SMLV SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.4M 9,152
HELD BRC BRADY CORP 0.0 % 0.0 % +0.0 pp $1.4M 15,722
HELD LSCP NATIXIS ETF TR 0.0 % 0.0 % +0.0 pp $1.4M 57,278
HELD OPPE WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.4M 25,705
HELD MLN VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.4M 80,680
HELD BSMS INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.4M 61,148
HELD ACIO ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.4M 30,977
HELD RYN RAYONIER INC 0.0 % 0.0 % +0.0 pp $1.4M 67,149
HELD HQGO LATTICE STRATEGIES TR 0.0 % 0.0 % +0.0 pp $1.4M 21,812
HELD DEXC DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $1.4M 17,279
HELD MVV PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 15,501
HELD ELME ELME COMMUNITIES 0.0 % 0.0 % +0.0 pp $1.4M 963,139
HELD FOTO ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $1.4M 60,634
HELD PWZ INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.4M 58,069
HELD SEA ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.4M 87,174
HELD MTW MANITOWOC CO INC 0.0 % 0.0 % +0.0 pp $1.4M 102,296
HELD IBTI ISHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 64,165
HELD FJUL FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.4M 23,824
HELD BCBP BCB BANCORP INC 0.0 % 0.0 % +0.0 pp $1.4M 132,113
HELD DCOM DIME COML BANCSHARES INC 0.0 % 0.0 % +0.0 pp $1.4M 34,839
HELD FRI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.4M 44,642
HELD GTM ZOOMINFO TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $1.4M 482,666
HELD BZUN BAOZUN INC 0.0 % 0.0 % +0.0 pp $1.4M 499,047
HELD IJT ISHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 7,898
HELD VTP VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $1.4M 18,394
HELD NMRA NEUMORA THERAPEUTICS INC. 0.0 % 0.0 % +0.0 pp $1.4M 828,933
HELD SVV SAVERS VALUE VLG INC 0.0 % 0.0 % +0.0 pp $1.4M 139,494
HELD BKUI BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $1.4M 28,274
HELD PNOV INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.4M 31,624
HELD DJT TRUMP MEDIA & TECHNOLOGY GRO 0.0 % 0.0 % +0.0 pp $1.4M 180,991
HELD BOOM DMC GLOBAL INC 0.0 % 0.0 % +0.0 pp $1.4M 240,965
HELD SRET GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $1.4M 61,707
HELD IIGD INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.4M 57,170
HELD WCLD WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.4M 43,607
HELD IQSU NEW YORK LIFE INVESTMENTS ET 0.0 % 0.0 % +0.0 pp $1.4M 22,282
HELD QAI NEW YORK LIFE INVESTMENTS ET 0.0 % 0.0 % +0.0 pp $1.4M 38,092
HELD ? TITAN AMER SA 0.0 % 0.0 % +0.0 pp $1.4M 74,690
HELD IBTP ISHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 54,886
HELD EFSI EAGLE FINL SVCS INC 0.0 % 0.0 % +0.0 pp $1.4M 33,602
HELD TDUP THREDUP INC 0.0 % 0.0 % +0.0 pp $1.4M 203,351
HELD NUDV NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.4M 42,736
HELD SEIE SEI EXCHANGE TRADED FUNDS 0.0 % 0.0 % +0.0 pp $1.4M 39,186
HELD TBIL RBB FD INC 0.0 % 0.0 % +0.0 pp $1.4M 27,878
HELD ANGX ANGEL STUDIOS INC. 0.0 % 0.0 % +0.0 pp $1.4M 378,068
HELD SRI STONERIDGE INC 0.0 % 0.0 % +0.0 pp $1.4M 189,499
HELD FFOG FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.4M 26,923
HELD IQ IQIYI INC 0.0 % 0.0 % +0.0 pp $1.4M 1,333,027
HELD CDC VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $1.4M 18,614
HELD NRC NRC HEALTH 0.0 % 0.0 % +0.0 pp $1.4M 64,095
HELD HPP HUDSON PACIFIC PROPERTIES IN 0.0 % 0.0 % +0.0 pp $1.4M 90,907
HELD RDVI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.4M 46,964
HELD DFVX DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $1.4M 16,773
HELD NTSI WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.4M 29,598
HELD NPDEUR OSISKO DEVELOPMENT CORP 0.0 % 0.0 % +0.0 pp $1.4M 560,514
HELD ? INFINITE EAGLE ACQUISITION C 0.0 % 0.0 % +0.0 pp $1.4M 134,469
HELD EWG ISHARES INC 0.0 % 0.0 % +0.0 pp $1.4M 33,310
HELD JADE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.4M 17,195
HELD BLKB BLACKBAUD INC 0.0 % 0.0 % +0.0 pp $1.4M 46,447
HELD XIFR XPLR INFRASTRUCTURE LP 0.0 % 0.0 % +0.0 pp $1.4M 116,335
HELD EQRR PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 16,810
HELD AXIAY AXIA ENERGIA SA 0.0 % 0.0 % +0.0 pp $1.4M 130,027
HELD ? LITHIUM ARGENTINA AG 0.0 % 0.0 % +0.0 pp $1.4M 166,012
HELD TRPA HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $1.4M 35,277
HELD HDMV FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $1.4M 36,932
HELD HMOP HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $1.4M 34,894
HELD MVST MICROVAST HOLDINGS INC 0.0 % 0.0 % +0.0 pp $1.4M 1,167,306
HELD GEQ EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.4M 26,698
HELD ECG EVERUS CONSTR GROUP 0.0 % 0.0 % +0.0 pp $1.4M 8,228
HELD PSLV SPROTT ASSET MANAGEMENT LP 0.0 % 0.0 % +0.0 pp $1.4M 72,308
HELD EDC DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.4M 15,340
HELD OSPN ONESPAN INC 0.0 % 0.0 % +0.0 pp $1.4M 94,937
HELD ? ORION S.A. 0.0 % 0.0 % +0.0 pp $1.4M 205,347
HELD JELD JELD-WEN HLDG INC 0.0 % 0.0 % +0.0 pp $1.4M 907,090
HELD BYLD ISHARES TR 0.0 % 0.0 % +0.0 pp $1.4M 60,022
HELD GOCT FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.4M 32,695
HELD FCBM FIRST CAROLINA FINL SVCS INC 0.0 % 0.0 % +0.0 pp $1.4M 102,183
HELD CMTG CLAROS MTG TR INC 0.0 % 0.0 % +0.0 pp $1.4M 575,249
HELD HELX FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.4M 33,800
HELD BDN BRANDYWINE RLTY TR 0.0 % 0.0 % +0.0 pp $1.4M 426,063
HELD SBIT PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 19,382
HELD JSMD JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $1.3M 13,327
HELD UDEC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.3M 32,310
HELD ABX ABACUS GLOBAL MGMT INC 0.0 % 0.0 % +0.0 pp $1.3M 125,643
HELD ? CORPORACION AMER ARPTS S A 0.0 % 0.0 % +0.0 pp $1.3M 53,404
HELD QUBT QUANTUM COMPUTING INC 0.0 % 0.0 % +0.0 pp $1.3M 138,628
HELD NWN NORTHWEST NAT HLDG CO 0.0 % 0.0 % +0.0 pp $1.3M 27,395
HELD DEI DOUGLAS EMMETT INC 0.0 % 0.0 % +0.0 pp $1.3M 113,864
HELD ? GREENLAND MINES LTD 0.0 % 0.0 % +0.0 pp $1.3M 5,165,648
HELD NYT NEW YORK TIMES CO MTN BE 0.0 % 0.0 % +0.0 pp $1.3M 19,179
HELD PIO INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.3M 29,825
HELD ? CONSOLIDATED WATER CO INC 0.0 % 0.0 % +0.0 pp $1.3M 45,265
HELD TCPB THRIVENT ETF TRUST 0.0 % 0.0 % +0.0 pp $1.3M 26,317
HELD RUM RUM GROUP INC 0.0 % 0.0 % +0.0 pp $1.3M 210,109
HELD DAVE DAVE INC 0.0 % 0.0 % +0.0 pp $1.3M 3,574
HELD WDCX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.3M 31,480
HELD FBT FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.3M 5,364
HELD YCS PROSHARES TR II 0.0 % 0.0 % +0.0 pp $1.3M 23,474
HELD USCB USCB FINANCIAL HOLDINGS INC 0.0 % 0.0 % +0.0 pp $1.3M 64,872
HELD EWP ISHARES INC 0.0 % 0.0 % +0.0 pp $1.3M 22,345
HELD TWIN TWIN DISC INC 0.0 % 0.0 % +0.0 pp $1.3M 57,188
HELD LNZA LANZATECH GLOBAL INC 0.0 % 0.0 % +0.0 pp $1.3M 194,460
HELD FTXR FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.3M 29,024
HELD ACH ACCENDRA HEALTH INC 0.0 % 0.0 % +0.0 pp $1.3M 386,526
HELD GARP ISHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 15,999
HELD FBIZ FIRST BUSINESS FINL SVCS INC 0.0 % 0.0 % +0.0 pp $1.3M 20,897
HELD KYTX KYVERNA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.3M 147,627
HELD FLS FLOWSERVE CORP 0.0 % 0.0 % +0.0 pp $1.3M 17,730
HELD ERY DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.3M 100,543
HELD XMVM INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.3M 18,493
HELD IBGK ISHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 56,125
HELD CGUI CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $1.3M 51,665
HELD IWY ISHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 4,490
HELD XUDV FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 41,645
HELD BSJR INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.3M 58,383
HELD CGMU CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $1.3M 47,424
HELD FDIQ INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.3M 20,344
HELD UEVM VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $1.3M 22,424
HELD JLL JONES LANG LASALLE INC 0.0 % 0.0 % +0.0 pp $1.3M 4,190
HELD NNE NANO NUCLEAR ENERGY INC 0.0 % 0.0 % +0.0 pp $1.3M 61,422
HELD BFC BANK FIRST CORP 0.0 % 0.0 % +0.0 pp $1.3M 8,752
HELD ? BRERA HOLDINGS PLC 0.0 % 0.0 % +0.0 pp $1.3M 256,571
HELD ? PGIM ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 18,230
HELD DNA GINKGO BIOWORKS HOLDINGS INC 0.0 % 0.0 % +0.0 pp $1.3M 130,935
HELD ILOW AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $1.3M 28,538
HELD TCAF T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $1.3M 31,565
HELD EYEG AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $1.3M 36,698
HELD AMPY AMPLIFY ENERGY CORP NEW 0.0 % 0.0 % +0.0 pp $1.3M 325,757
HELD GPRF GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 25,856
HELD OSS ONE STOP SYS INC 0.0 % 0.0 % +0.0 pp $1.3M 71,202
HELD CAOS EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.3M 14,325
HELD PFLT PENNANTPARK FLOATING RATE CA 0.0 % 0.0 % +0.0 pp $1.3M 173,041
HELD CSRE COHEN & STEERS ETF TRUST 0.0 % 0.0 % +0.0 pp $1.3M 45,607
HELD HAWX ISHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 27,798
HELD FTK FLOTEK INDUSTRIES INC 0.0 % 0.0 % +0.0 pp $1.3M 54,904
HELD FCOR FIDELITY MERRIMACK STR TR 0.0 % 0.0 % +0.0 pp $1.3M 27,313
HELD ? URANIUM RTY CORP 0.0 % 0.0 % +0.0 pp $1.3M 462,854
HELD MDLN MEDLINE INC 0.0 % 0.0 % +0.0 pp $1.3M 32,586
HELD HOS HELIX ENERGY SOLUTIONS GRP I 0.0 % 0.0 % +0.0 pp $1.3M 146,603
HELD IGV ISHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 14,138
HELD BREE MFS ACTIVE EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.3M 46,141
HELD WCBR WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $1.3M 35,301
HELD XAIX DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 22,165
HELD BTAL AGF INVTS TR 0.0 % 0.0 % +0.0 pp $1.3M 114,285
HELD ? KENON HLDGS LTD 0.0 % 0.0 % +0.0 pp $1.3M 19,045
HELD PAPR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.3M 30,174
HELD MFSB MFS ACTIVE EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.3M 51,068
HELD CDX SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $1.3M 60,280
HELD AEYE AUDIOEYE INC 0.0 % 0.0 % +0.0 pp $1.3M 218,984
HELD AB ALLIANCEBERNSTEIN HLDG L P 0.0 % 0.0 % +0.0 pp $1.3M 36,099
HELD COAL EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $1.3M 55,318
HELD BH BIGLARI HLDGS INC 0.0 % 0.0 % +0.0 pp $1.3M 2,980
HELD FLTB FIDELITY MERRIMACK STR TR 0.0 % 0.0 % +0.0 pp $1.3M 25,285
HELD TGEN TECOGEN INC NEW 0.0 % 0.0 % +0.0 pp $1.3M 242,276
HELD DRUP GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 20,348
HELD PTMC PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.3M 30,218
HELD NBIG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 31,730
HELD ESGG FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.3M 5,401
HELD IONX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.3M 24,736
HELD JHEM JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $1.3M 31,234
HELD GBND GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $1.3M 24,857
HELD TEO TELECOM ARGENTINA SA 0.0 % 0.0 % +0.0 pp $1.3M 96,656
HELD PRVA PRIVIA HEALTH GROUP INC 0.0 % 0.0 % +0.0 pp $1.3M 48,835
HELD STRS STRATUS PPTYS INC 0.0 % 0.0 % +0.0 pp $1.3M 43,689
HELD ALITEUR ALIGHT INC 0.0 % 0.0 % +0.0 pp $1.3M 2,240,752
HELD CGW INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.3M 19,086
HELD REA RARE EARTHS AMERICAS INC 0.0 % 0.0 % +0.0 pp $1.3M 82,031
HELD MYCF SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $1.3M 49,984
HELD ASLE AERSALE CORPORATION 0.0 % 0.0 % +0.0 pp $1.3M 198,163
HELD CLOX SERIES PORTFOLIOS TR 0.0 % 0.0 % +0.0 pp $1.3M 48,821
HELD NGVT INGEVITY CORP 0.0 % 0.0 % +0.0 pp $1.2M 16,735
HELD UX ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $1.2M 45,404
HELD FBL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 59,644
HELD BSM BLACK STONE MINERALS L P 0.0 % 0.0 % +0.0 pp $1.2M 89,225
HELD HUMN ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $1.2M 35,355
HELD NCPB NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 49,822
HELD FGNX FG NEXUS INC. 0.0 % 0.0 % +0.0 pp $1.2M 240,924
HELD BKEM BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $1.2M 13,044
HELD QQH NORTHERN LTS FD TR III 0.0 % 0.0 % +0.0 pp $1.2M 14,517
HELD ENGN ENGENE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.2M 717,686
HELD HSCZ ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 28,886
HELD PTY PIMCO CORPORATE & INCOME OPP 0.0 % 0.0 % +0.0 pp $1.2M 102,911
HELD HYMC HYCROFT MINING HOLDING CORP 0.0 % 0.0 % +0.0 pp $1.2M 52,900
HELD INCM FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 42,856
HELD LZ LEGALZOOM COM INC 0.0 % 0.0 % +0.0 pp $1.2M 201,584
HELD EGO ELDORADO GOLD CORP NEW 0.0 % 0.0 % +0.0 pp $1.2M 39,695
HELD VPL VANGUARD INTL EQUITY INDEX F 0.0 % 0.0 % +0.0 pp $1.2M 10,661
HELD UTRE RBB FD INC 0.0 % 0.0 % +0.0 pp $1.2M 25,094
HELD FTA FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $1.2M 12,699
HELD CLSX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.2M 59,775
HELD NFG NATIONAL FUEL GAS CO 0.0 % 0.0 % +0.0 pp $1.2M 15,861
HELD JYNT JOINT CORP 0.0 % 0.0 % +0.0 pp $1.2M 139,473
HELD IVRS* ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 38,873
HELD FQAL FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.2M 14,967
HELD FLMX FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 33,249
HELD DFMC DFA INVT DIMENSIONS GROUP IN 0.0 % 0.0 % +0.0 pp $1.2M 19,914
HELD DCGO DOCGO INC 0.0 % 0.0 % +0.0 pp $1.2M 2,353,610
HELD NBP NOVABRIDGE BIOSCIENCES 0.0 % 0.0 % +0.0 pp $1.2M 622,831
HELD FISN DEEP FISSION INC 0.0 % 0.0 % +0.0 pp $1.2M 110,000
HELD VSTM VERASTEM INC 0.0 % 0.0 % +0.0 pp $1.2M 317,327
HELD AGGM ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 11,673
HELD ? COSTAMARE INC 0.0 % 0.0 % +0.0 pp $1.2M 86,437
HELD VERI VERITONE INC 0.0 % 0.0 % +0.0 pp $1.2M 884,220
HELD IBTQ ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 48,272
HELD NFGC NEW FOUND GOLD CORP 0.0 % 0.0 % +0.0 pp $1.2M 786,292
HELD DTCR GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $1.2M 39,863
HELD NUMG NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 25,770
HELD SUSC ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 52,256
HELD ? XOMA ROYALTY CORPORATION 0.0 % 0.0 % +0.0 pp $1.2M 28,460
HELD QSIX PACER FDS TR 0.0 % 0.0 % +0.0 pp $1.2M 27,765
HELD IYF ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 9,483
HELD AAPB GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 35,557
HELD NDEC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.2M 40,122
HELD SMU INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.2M 142,598
HELD PXED PHOENIX ED PARTNERS INC 0.0 % 0.0 % +0.0 pp $1.2M 36,677
HELD SPYQ INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.2M 6,452
HELD SDOG ALPS ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 17,650
HELD TCAL T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $1.2M 54,184
HELD NANC TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $1.2M 23,722
HELD ? ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 21,908
HELD IBIM ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 47,234
HELD OCGN OCUGEN INC 0.0 % 0.0 % +0.0 pp $1.2M 783,322
HELD CCU COMPANIA CERVECERIAS UNIDAS 0.0 % 0.0 % +0.0 pp $1.2M 106,977
HELD ATHM AUTOHOME INC 0.0 % 0.0 % +0.0 pp $1.2M 62,887
HELD KWY KINGSWAY CORP 0.0 % 0.0 % +0.0 pp $1.2M 114,832
HELD FENY FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.2M 40,475
HELD FNGO BANK MONTREAL MEDIUM 0.0 % 0.0 % +0.0 pp $1.2M 9,452
HELD TCBX THIRD COAST BANCSHARES INC 0.0 % 0.0 % +0.0 pp $1.2M 29,555
HELD ABSI ABSCI CORPORATION 0.0 % 0.0 % +0.0 pp $1.2M 102,776
HELD IBRX IMMUNITYBIO INC 0.0 % 0.0 % +0.0 pp $1.2M 136,045
HELD UTSL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.2M 26,031
HELD DSGN DESIGN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.2M 81,971
HELD PEPG PEPGEN INC 0.0 % 0.0 % +0.0 pp $1.2M 658,381
HELD VTS VITESSE ENERGY INC 0.0 % 0.0 % +0.0 pp $1.2M 75,063
HELD LMNR LIMONEIRA CO 0.0 % 0.0 % +0.0 pp $1.2M 89,890
HELD NURE NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 36,490
HELD BINV 2023 ETF SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.2M 28,101
HELD ACSV AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 23,642
HELD FVD FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.2M 24,449
HELD NJAN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.2M 19,947
HELD EBMT EAGLE BANCORP MONT INC 0.0 % 0.0 % +0.0 pp $1.2M 49,185
HELD SRG SERITAGE GROWTH PPTYS 0.0 % 0.0 % +0.0 pp $1.2M 447,354
HELD AVUV AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.2M 9,398
HELD BTCI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $1.2M 43,651
HELD SGHT SIGHT SCIENCES INC 0.0 % 0.0 % +0.0 pp $1.2M 216,307
HELD FMTL FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.2M 35,956
HELD TIPT TIPTREE INC 0.0 % 0.0 % +0.0 pp $1.2M 65,281
HELD FDMO FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.2M 11,840
HELD FYT FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $1.2M 16,678
HELD ASTH ASTRANA HEALTH INC 0.0 % 0.0 % +0.0 pp $1.2M 25,069
HELD ACTG ACACIA RESH CORP 0.0 % 0.0 % +0.0 pp $1.2M 249,524
HELD WOOD ISHARES TR 0.0 % 0.0 % +0.0 pp $1.2M 17,552
HELD GNE GENIE ENERGY LTD 0.0 % 0.0 % +0.0 pp $1.2M 80,234
HELD SPYX SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.2M 18,975
HELD BFXU FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.2M 49,975
HELD AINP ALLSPRING EXCHANGE TRADED FU 0.0 % 0.0 % +0.0 pp $1.2M 46,241
HELD DC DAKOTA GOLD CORP 0.0 % 0.0 % +0.0 pp $1.2M 271,650
HELD PSCI INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.2M 6,215
HELD PFIG INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.2M 48,316
HELD RLYB RALLYBIO CORP 0.0 % 0.0 % 0.0 pp $1.2M 72,200
HELD JEPI J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.2M 20,447
HELD RSVR RESERVOIR MEDIA INC 0.0 % 0.0 % +0.0 pp $1.2M 116,627
HELD GPRE 2.25 03/15/27 GREEN PLAINS INC 0.0 % 0.0 % +0.0 pp $1.2M 1,149,000
HELD ATLO AMES NATL CORP 0.0 % 0.0 % +0.0 pp $1.2M 38,924
HELD PARK PARK DENTAL PARTNERS INC 0.0 % 0.0 % +0.0 pp $1.2M 53,449
HELD AAAD PGIM ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 22,890
HELD AZZ AZZ INC 0.0 % 0.0 % +0.0 pp $1.1M 7,408
HELD CWB SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.1M 10,652
HELD PDLB PONCE FINANCIAL GROUP INC 0.0 % 0.0 % +0.0 pp $1.1M 57,539
HELD OILK PROSHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 24,159
HELD LDUR PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 11,999
HELD RDY DR REDDYS LABS LTD 0.0 % 0.0 % +0.0 pp $1.1M 79,172
HELD WIP SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.1M 29,110
HELD TMFG RBB FD INC 0.0 % 0.0 % +0.0 pp $1.1M 37,280
HELD QQEW FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 7,182
HELD KMX CARMAX INC 0.0 % 0.0 % +0.0 pp $1.1M 21,669
HELD GTOS INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $1.1M 45,885
HELD PDM PIEDMONT REALTY TRUST INC 0.0 % 0.0 % +0.0 pp $1.1M 125,064
HELD FCG FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 42,999
HELD POWW OUTDOOR HOLDING CO 0.0 % 0.0 % +0.0 pp $1.1M 501,660
HELD NUBD NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 51,664
HELD GGME INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.1M 18,962
HELD UVE UNIVERSAL INS HLDGS INC 0.0 % 0.0 % +0.0 pp $1.1M 27,593
HELD BBUC BROOKFIELD BUSINESS CORP 0.0 % 0.0 % +0.0 pp $1.1M 38,196
HELD NRGV ENERGY VAULT HOLDINGS INC 0.0 % 0.0 % +0.0 pp $1.1M 242,062
HELD PYZ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.1M 9,053
HELD NTST NETSTREIT CORP 0.0 % 0.0 % +0.0 pp $1.1M 53,821
HELD SHEN SHENANDOAH TELECOMMUNICATION 0.0 % 0.0 % +0.0 pp $1.1M 75,276
HELD FEX FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $1.1M 8,111
HELD IMOS CHIPMOS TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $1.1M 17,647
HELD THG HANOVER INS GROUP INC 0.0 % 0.0 % +0.0 pp $1.1M 5,290
HELD PMAR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $1.1M 23,703
HELD PNQI INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.1M 24,787
HELD SAR SARATOGA INVT CORP 0.0 % 0.0 % +0.0 pp $1.1M 50,507
HELD HUMA HUMACYTE INC 0.0 % 0.0 % +0.0 pp $1.1M 1,443,376
HELD NUSB NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 44,519
HELD FTXL FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 3,946
HELD MYCL SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $1.1M 45,543
HELD AOK ISHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 27,083
HELD BSCV INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.1M 68,552
HELD UTHY RBB FD INC 0.0 % 0.0 % +0.0 pp $1.1M 27,610
HELD PTIR GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 119,463
HELD EVI EVI INDS INC 0.0 % 0.0 % +0.0 pp $1.1M 75,790
HELD QMAR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.1M 30,072
HELD ARDT ARDENT HEALTH INC 0.0 % 0.0 % +0.0 pp $1.1M 113,495
HELD LFEQ VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 18,755
HELD DVLU FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 28,118
HELD SCL STEPAN CO 0.0 % 0.0 % +0.0 pp $1.1M 20,008
HELD FLUD FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 44,527
HELD OEF ISHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 3,046
HELD AUTL AUTOLUS THERAPEUTICS LTD 0.0 % 0.0 % +0.0 pp $1.1M 695,890
HELD MSDL MORGAN STANLEY DIRECT LENDIN 0.0 % 0.0 % +0.0 pp $1.1M 73,595
HELD SSB SOUTHSTATE BK CORP 0.0 % 0.0 % +0.0 pp $1.1M 11,124
HELD EMOP AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $1.1M 21,274
HELD BBH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 5,463
HELD BRBS BLUE RIDGE BANKSHARES INC VA 0.0 % 0.0 % +0.0 pp $1.1M 314,432
HELD DIVO AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 24,280
HELD NWFL NORWOOD FINANCIAL CORP 0.0 % 0.0 % +0.0 pp $1.1M 34,389
HELD MYCN SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $1.1M 45,104
HELD IBIC ISHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 42,348
HELD TRUP TRUPANION INC 0.0 % 0.0 % +0.0 pp $1.1M 44,563
HELD BSMQ INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.1M 46,881
HELD BBSB J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.1M 11,225
HELD IFRA ISHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 17,486
HELD PFLD ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $1.1M 56,328
HELD JPRE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.1M 21,094
HELD CBZ CBIZ INC 0.0 % 0.0 % +0.0 pp $1.1M 34,235
HELD SKYA SKYAI INC 0.0 % 0.0 % +0.0 pp $1.1M 989,153
HELD RSPE INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.1M 32,327
HELD RES RPC INC 0.0 % 0.0 % +0.0 pp $1.1M 187,944
HELD PINE ALPINE INCOME PPTY TR INC 0.0 % 0.0 % +0.0 pp $1.1M 52,763
HELD RTH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 4,275
HELD GOOX ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $1.1M 13,584
HELD RFIL RF INDS LTD 0.0 % 0.0 % +0.0 pp $1.1M 51,397
HELD BNTC BENITEC BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $1.1M 81,466
HELD QLC FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.1M 12,115
HELD LFMD LIFEMD INC 0.0 % 0.0 % +0.0 pp $1.1M 263,471
HELD TRMK TRUSTMARK CORP 0.0 % 0.0 % +0.0 pp $1.1M 23,630
HELD BNGE FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 35,422
HELD FTRB FEDERATED HERMES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 43,303
HELD TEKX SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $1.1M 15,479
HELD SMBK SMARTFINANCIAL INC 0.0 % 0.0 % +0.0 pp $1.1M 23,139
HELD LEG1* LEGGETT & PLATT INC 0.0 % 0.0 % +0.0 pp $1.1M 92,694
HELD DIBS 1STDIBS COM INC 0.0 % 0.0 % +0.0 pp $1.1M 221,481
HELD ELPC COMPANHIA PARANAENSE DE ENER 0.0 % 0.0 % +0.0 pp $1.1M 92,993
HELD FOCT FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.1M 20,715
HELD TGLB T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $1.1M 37,260
HELD MFDX PIMCO EQUITY SER 0.0 % 0.0 % +0.0 pp $1.1M 25,981
HELD DHX DHI GROUP INC 0.0 % 0.0 % +0.0 pp $1.1M 291,372
HELD FDNI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 42,412
HELD FSEV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.1M 40,300
HELD ? BROOKFIELD WEALTH SOL LTD 0.0 % 0.0 % +0.0 pp $1.1M 25,220
HELD MSSM MORGAN STANLEY PATHWAY FDS 0.0 % 0.0 % +0.0 pp $1.1M 17,321
HELD FPXI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.1M 12,810
HELD PWP PERELLA WEINBERG PARTNERS 0.0 % 0.0 % +0.0 pp $1.1M 67,135
HELD AVNV AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 12,981
HELD LEGH LEGACY HOUSING CORP 0.0 % 0.0 % +0.0 pp $1.1M 40,685
HELD KOF COCA-COLA FEMSA SAB DE CV 0.0 % 0.0 % +0.0 pp $1.1M 10,052
HELD XMAX XMAX INC 0.0 % 0.0 % +0.0 pp $1.1M 117,424
HELD VRAI ETFIS SER TR I 0.0 % 0.0 % +0.0 pp $1.1M 38,603
HELD BSJS INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $1.1M 48,992
HELD DBEF DBX ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 19,466
HELD TSMX DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 10,146
HELD XLG INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.1M 17,357
HELD DLLL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 42,543
HELD SCHP SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $1.1M 40,003
HELD ? NABORS INDUSTRIES LTD 0.0 % 0.0 % +0.0 pp $1.1M 12,602
HELD NCMI NATIONAL CINEMEDIA INC 0.0 % 0.0 % +0.0 pp $1.1M 278,577
HELD WULX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $1.1M 22,913
HELD ANDE ANDERSONS INC 0.0 % 0.0 % +0.0 pp $1.1M 15,464
HELD CARL CARLSMED INC 0.0 % 0.0 % +0.0 pp $1.1M 101,726
HELD TMFC RBB FD INC 0.0 % 0.0 % +0.0 pp $1.1M 13,850
HELD OGIG ALPS ETF TR 0.0 % 0.0 % +0.0 pp $1.1M 23,684
HELD FDFF FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.1M 31,845
HELD MXCT MAXCYTE INC 0.0 % 0.0 % +0.0 pp $1.1M 856,318
HELD HY HYSTER-YALE INC 0.0 % 0.0 % +0.0 pp $1.1M 30,016
HELD KINS KINGSTONE COS INC 0.0 % 0.0 % +0.0 pp $1.1M 55,253
HELD CZWI CITIZENS CMNTY BANCORP INC M 0.0 % 0.0 % +0.0 pp $1.1M 44,925
HELD ACLO TCW ETF TRUST 0.0 % 0.0 % +0.0 pp $1.1M 20,806
HELD FTGS FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $1.0M 28,348
HELD HUSV FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $1.0M 26,679
HELD SNDU ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $1.0M 15,423
HELD SFY TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $1.0M 7,031
HELD BBIB J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.0M 10,695
HELD ARHS ARHAUS INC 0.0 % 0.0 % +0.0 pp $1.0M 124,170
HELD CBC CENTRAL BANCOMPANY 0.0 % 0.0 % +0.0 pp $1.0M 34,318
HELD GOLD GOLD COM INC 0.0 % 0.0 % +0.0 pp $1.0M 25,000
HELD FELV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $1.0M 25,914
HELD GNOV FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.0M 24,822
HELD RND FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.0M 32,440
HELD EMOT FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $1.0M 38,891
HELD RFV INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.0M 7,243
HELD ADAM ADAMAS TRUST INC. 0.0 % 0.0 % +0.0 pp $1.0M 110,265
HELD SHOC EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.0M 8,450
HELD BWB BRIDGEWATER BANCSHARES INC 0.0 % 0.0 % +0.0 pp $1.0M 48,945
HELD DMAC DIAMEDICA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $1.0M 145,870
HELD TAXX BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $1.0M 20,231
HELD RMNI RIMINI STR INC DEL 0.0 % 0.0 % +0.0 pp $1.0M 240,957
HELD IBGM ISHARES TR 0.0 % 0.0 % +0.0 pp $1.0M 41,077
HELD DBI DESIGNER BRANDS INC 0.0 % 0.0 % +0.0 pp $1.0M 175,576
HELD JKS JINKOSOLAR HLDG CO LTD 0.0 % 0.0 % +0.0 pp $1.0M 60,925
HELD HYLN HYLIION HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $1.0M 196,456
HELD QMAG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $1.0M 40,369
HELD DSP VIANT TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $1.0M 80,802
HELD OUSA ALPS ETF TR 0.0 % 0.0 % +0.0 pp $1.0M 17,534
HELD JDIV J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.0M 18,133
HELD AMDY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $1.0M 17,385
HELD ? OLAPLEX HLDGS INC 0.0 % 0.0 % +0.0 pp $1.0M 496,970
HELD CLOO NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $1.0M 40,498
HELD TLCI TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $1.0M 37,750
HELD CEGX INVESTMENT MANAGERS SER TR 0.0 % 0.0 % +0.0 pp $1.0M 87,243
HELD USVN RBB FD INC 0.0 % 0.0 % +0.0 pp $1.0M 21,324
HELD UFCS UNITED FIRE GROUP INC 0.0 % 0.0 % +0.0 pp $1.0M 19,337
HELD KRYS KRYSTAL BIOTECH INC 0.0 % 0.0 % +0.0 pp $1.0M 2,725
HELD VELO VELO3D INC 0.0 % 0.0 % +0.0 pp $1.0M 57,698
HELD JMSB JOHN MARSHALL BANCORP INC 0.0 % 0.0 % +0.0 pp $1.0M 46,416
HELD CASS CASS INFORMATION SYS INC 0.0 % 0.0 % +0.0 pp $1.0M 19,696
HELD JAVA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $1.0M 12,726
HELD KBWP INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $1.0M 7,971
HELD LABD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $1.0M 130,913
HELD NATL NCR ATLEOS CORPORATION 0.0 % 0.0 % +0.0 pp $1.0M 23,223
HELD XHE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $1.0M 11,965
HELD NUTR NUSATRIP INC 0.0 % 0.0 % +0.0 pp $1.0M 149,270
HELD RSPD INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $1.0M 17,980
HELD MAXJ ISHARES TR 0.0 % 0.0 % +0.0 pp $1.0M 34,501
HELD USIG ISHARES TR 0.0 % 0.0 % +0.0 pp $1.0M 19,571
HELD REMG RUSSELL INVTS EXCHANGE TRADE 0.0 % 0.0 % +0.0 pp $1.0M 26,942
HELD QLV FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $1.0M 13,285
HELD LQDI ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $1.0M 38,082
HELD EVUS ISHARES TR 0.0 % 0.0 % +0.0 pp $999.4K 28,465
HELD PTA COHEN & STEERS TAX ADVAN PFD 0.0 % 0.0 % +0.0 pp $998.2K 52,043
HELD VEL VELOCITY FINL INC 0.0 % 0.0 % +0.0 pp $997.3K 54,027
HELD IBIL ISHARES TR 0.0 % 0.0 % +0.0 pp $996.0K 38,837
HELD NMR NOMURA HLDGS INC 0.0 % 0.0 % +0.0 pp $995.9K 113,433
HELD CWEN CLEARWAY ENERGY INC 0.0 % 0.0 % +0.0 pp $994.6K 29,100
HELD FDEC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $993.5K 18,241
HELD QTRX QUANTERIX CORP 0.0 % 0.0 % +0.0 pp $992.5K 229,736
HELD RR RICHTECH ROBOTICS INC 0.0 % 0.0 % +0.0 pp $991.9K 470,100
HELD CENT CENTRAL GARDEN & PET CO 0.0 % 0.0 % +0.0 pp $991.5K 22,361
HELD VIXY PROSHARES TR II 0.0 % 0.0 % +0.0 pp $991.0K 46,549
HELD WEBL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $989.9K 43,077
HELD INTA INTAPP INC 0.0 % 0.0 % +0.0 pp $989.7K 39,258
HELD TCRX TSCAN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $989.0K 1,009,107
HELD RDIV INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $988.6K 17,044
HELD ACWV ISHARES INC 0.0 % 0.0 % +0.0 pp $987.1K 8,210
HELD LEGN LEGEND BIOTECH CORP 0.0 % 0.0 % +0.0 pp $986.0K 34,141
HELD HYTR NORTHERN LTS FD TR III 0.0 % 0.0 % +0.0 pp $985.9K 46,157
HELD ARMG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $982.7K 24,930
HELD REX REX AMERICAN RES CORP 0.0 % 0.0 % +0.0 pp $982.7K 21,765
HELD USD PROSHARES TR 0.0 % 0.0 % +0.0 pp $982.2K 9,421
HELD SPIP SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $981.7K 38,228
HELD DSGR DISTRIBUTION SOLUTIONS GRP I 0.0 % 0.0 % +0.0 pp $981.1K 35,873
HELD XPND FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $980.8K 23,441
HELD RYLD GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $979.5K 61,258
HELD FDUS FIDUS INVT CORP 0.0 % 0.0 % +0.0 pp $979.3K 51,353
HELD FTXG FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $979.2K 44,000
HELD OVLY OAK VY BANCORP OAKDALE CALIF 0.0 % 0.0 % +0.0 pp $977.4K 28,963
HELD GMOC GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $976.8K 19,518
HELD HDUS LATTICE STRATEGIES TR 0.0 % 0.0 % +0.0 pp $976.6K 13,734
HELD CRTC DBX ETF TR 0.0 % 0.0 % +0.0 pp $974.5K 24,993
HELD CDLR CADELER A S 0.0 % 0.0 % +0.0 pp $974.2K 44,463
HELD GRBK GREEN BRICK PARTNERS INC 0.0 % 0.0 % +0.0 pp $973.0K 12,157
HELD FTHF FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $972.4K 19,534
HELD NODE VANECK FDS 0.0 % 0.0 % +0.0 pp $972.4K 22,445
HELD HOVR NEW HORIZON AIRCRAFT LTD 0.0 % 0.0 % +0.0 pp $970.9K 492,865
HELD KDK KODIAK AI INC. 0.0 % 0.0 % +0.0 pp $969.7K 190,884
HELD ? ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $968.2K 597,682
HELD FRPH FRP HLDGS INC 0.0 % 0.0 % +0.0 pp $968.0K 38,737
HELD TSDD GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $967.9K 138,071
HELD VRA VERA BRADLEY INC 0.0 % 0.0 % +0.0 pp $967.8K 248,798
HELD CPER UNITED STS COMMODITY INDEX F 0.0 % 0.0 % +0.0 pp $965.6K 25,593
HELD WCMI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $965.4K 49,330
HELD LLYVK LIBERTY LIVE HOLDINGS INC 0.0 % 0.0 % +0.0 pp $965.2K 9,137
HELD SHM SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $964.7K 20,113
HELD CTEX PROSHARES TR 0.0 % 0.0 % +0.0 pp $964.6K 21,892
HELD IDEV ISHARES TR 0.0 % 0.0 % +0.0 pp $963.8K 10,828
HELD ? HAMILTON INSURANCE GROUP LTD 0.0 % 0.0 % +0.0 pp $962.1K 28,346
HELD OBT ORANGE CNTY BANCORP INC 0.0 % 0.0 % +0.0 pp $962.0K 26,156
HELD LDI LOANDEPOT INC 0.0 % 0.0 % +0.0 pp $957.2K 765,780
HELD TOK ISHARES TR 0.0 % 0.0 % +0.0 pp $956.9K 6,388
HELD NEU NEWMARKET CORP 0.0 % 0.0 % +0.0 pp $956.6K 1,209
HELD THM INTERNATIONAL TOWER HILL MIN 0.0 % 0.0 % +0.0 pp $956.1K 480,445
HELD GABC GERMAN AMERN BANCORP INC 0.0 % 0.0 % +0.0 pp $955.3K 20,128
HELD GAPR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $954.8K 22,912
HELD TMSL T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $953.4K 21,743
HELD PDEC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $951.6K 20,736
HELD CRNC CERENCE INC 0.0 % 0.0 % +0.0 pp $949.3K 83,862
HELD IDVY FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $949.0K 36,856
HELD XAUG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $946.6K 24,216
HELD VGHY VANGUARD FIXED INCOME SECS F 0.0 % 0.0 % +0.0 pp $944.7K 12,620
HELD ZTRE RBB FD INC 0.0 % 0.0 % +0.0 pp $944.3K 18,687
HELD SGU STAR GROUP LP 0.0 % 0.0 % +0.0 pp $943.5K 73,480
HELD BWFG BANKWELL FINL GROUP INC 0.0 % 0.0 % +0.0 pp $943.1K 16,052
HELD PIFI ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $942.0K 10,074
HELD MTCH MATCH GROUP INC NEW 0.0 % 0.0 % +0.0 pp $939.6K 24,693
HELD UBND VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $938.7K 43,210
HELD OND PROSHARES TR 0.0 % 0.0 % +0.0 pp $938.6K 27,008
HELD SPDW SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $938.4K 18,622
HELD ENFR ALPS ETF TR 0.0 % 0.0 % +0.0 pp $937.9K 24,617
HELD ONIT ONITY GROUP INC 0.0 % 0.0 % +0.0 pp $935.7K 23,539
HELD DWM WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $935.0K 12,771
HELD DGLO FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $934.1K 38,995
HELD TOPW ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $933.8K 27,661
HELD BCGD BARON ETF TR 0.0 % 0.0 % +0.0 pp $933.3K 35,296
HELD NDLS NOODLES & CO 0.0 % 0.0 % +0.0 pp $932.8K 62,397
HELD QLTI GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $932.7K 34,505
HELD MBBA BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $931.3K 18,713
HELD BUFZ FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $931.2K 33,340
HELD CCSI CONSENSUS CLOUD SOLUTIONS IN 0.0 % 0.0 % +0.0 pp $930.6K 24,394
HELD ? CRITICAL METALS CORP 0.0 % 0.0 % +0.0 pp $929.5K 258,910
HELD OPBK OP BANCORP 0.0 % 0.0 % +0.0 pp $928.7K 61,952
HELD TEMR T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $928.6K 31,864
HELD XBIL RBB FD INC 0.0 % 0.0 % +0.0 pp $928.0K 18,560
HELD ATEX ANTERIX INC 0.0 % 0.0 % +0.0 pp $927.9K 9,014
HELD BUFG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $922.9K 31,483
HELD MPLT MAPLIGHT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $922.9K 25,751
HELD GALT GALECTIN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $922.0K 198,701
HELD TRC TEJON RANCH CO 0.0 % 0.0 % +0.0 pp $921.5K 49,280
HELD EZU ISHARES INC 0.0 % 0.0 % +0.0 pp $921.5K 13,259
HELD BKMC BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $920.3K 7,428
HELD ? AMERICAN EXCEPTIONALISM ACQU 0.0 % 0.0 % +0.0 pp $918.6K 77,715
HELD MBS ANGEL OAK FUNDS TRUST 0.0 % 0.0 % +0.0 pp $918.0K 106,371
HELD ? BW LPG LTD 0.0 % 0.0 % +0.0 pp $917.0K 52,610
HELD RWT REDWOOD TRUST INC 0.0 % 0.0 % +0.0 pp $916.4K 193,343
HELD IBX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $913.9K 30,981
HELD TEMX TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $913.7K 23,727
HELD DIVB ISHARES TR 0.0 % 0.0 % +0.0 pp $912.7K 14,816
HELD GDEC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $912.6K 22,927
HELD MPTI M-TRON INDS INC 0.0 % 0.0 % +0.0 pp $912.1K 9,199
HELD CNYA ISHARES TR 0.0 % 0.0 % +0.0 pp $910.5K 23,772
HELD ALMU AELUMA INC 0.0 % 0.0 % +0.0 pp $910.1K 41,219
HELD ? VERTICAL AEROSPACE LTD 0.0 % 0.0 % +0.0 pp $909.8K 522,888
HELD RNA ATRIUM THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $909.7K 67,639
HELD ? SKYWATER TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $909.6K 26,124
HELD BNOV INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $909.6K 19,025
HELD PABU ISHARES TR 0.0 % 0.0 % +0.0 pp $908.6K 11,925
HELD SHE SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $908.4K 5,882
HELD FAPR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $908.2K 19,430
HELD VSDB VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $907.6K 11,889
HELD PRCH PORCH GROUP INC 0.0 % 0.0 % +0.0 pp $907.6K 60,343
HELD SR SPIRE INC 0.0 % 0.0 % +0.0 pp $905.6K 11,597
HELD PAYS PAYSIGN INC 0.0 % 0.0 % +0.0 pp $905.5K 110,561
HELD BRTR BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $904.4K 17,971
HELD RUNN STRATEGIC TRUST 0.0 % 0.0 % +0.0 pp $904.0K 27,905
HELD ? KESTRA MED TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $904.0K 35,534
HELD OPRX OPTIMIZERX CORP 0.0 % 0.0 % +0.0 pp $903.7K 157,992
HELD HCAT HEALTH CATALYST INC 0.0 % 0.0 % +0.0 pp $901.9K 453,214
HELD FXD FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $901.5K 13,034
HELD BOUT CAPITAL-FORCE ETF TR 0.0 % 0.0 % +0.0 pp $900.1K 18,396
HELD BCFN BARON ETF TR 0.0 % 0.0 % +0.0 pp $898.8K 42,347
HELD CVGI COMMERCIAL VEH GROUP INC 0.0 % 0.0 % +0.0 pp $897.1K 194,172
HELD FTXO FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $896.3K 21,686
HELD DPRE VIRTUS ETF TR II 0.0 % 0.0 % +0.0 pp $895.7K 34,504
HELD DEA EASTERLY GOVT PPTYS INC 0.0 % 0.0 % +0.0 pp $895.1K 35,905
HELD ? OPEN LENDING CORP 0.0 % 0.0 % +0.0 pp $894.9K 287,744
HELD HCRB HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $894.3K 25,561
HELD BBSC J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $893.8K 9,731
HELD USIN WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $893.3K 18,008
HELD TECB ISHARES TR 0.0 % 0.0 % +0.0 pp $892.5K 12,439
HELD ELA ENVELA CORP 0.0 % 0.0 % +0.0 pp $892.4K 30,899
HELD SPYD SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $891.7K 18,690
HELD RNEM FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $891.0K 16,254
HELD FDCF FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $890.0K 17,815
HELD GOEX GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $888.5K 12,853
HELD CGSM CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $888.4K 33,670
HELD BUFS FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $888.3K 35,406
HELD XQQI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $887.9K 16,691
HELD HOG HARLEY DAVIDSON INC 0.0 % 0.0 % +0.0 pp $887.4K 36,278
HELD KNOV INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $886.4K 27,954
HELD TSEC TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $886.1K 34,325
HELD GJUL FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $885.7K 20,366
HELD SONO SONOS INC 0.0 % 0.0 % +0.0 pp $884.9K 65,401
HELD MOMO HELLO GROUP INC 0.0 % 0.0 % +0.0 pp $884.6K 152,523
HELD NXH BED BATH & BEYOND INC 0.0 % 0.0 % +0.0 pp $884.1K 152,693
HELD EUDV PROSHARES TR 0.0 % 0.0 % +0.0 pp $883.6K 16,748
HELD GAUG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $882.7K 21,310
HELD HBT HBT FINL INC. 0.0 % 0.0 % +0.0 pp $881.7K 27,562
HELD HAPI HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $881.1K 19,850
HELD BBDC BARINGS BDC INC 0.0 % 0.0 % +0.0 pp $880.3K 103,326
HELD FUNC FIRST UTD CORP 0.0 % 0.0 % +0.0 pp $879.0K 19,928
HELD PKOH PARK-OHIO HLDGS CORP 0.0 % 0.0 % +0.0 pp $878.8K 22,856
HELD SLDR GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $878.7K 17,647
HELD SSTK SHUTTERSTOCK INC 0.0 % 0.0 % +0.0 pp $876.2K 62,812
HELD NOAH NOAH HLDGS LTD 0.0 % 0.0 % +0.0 pp $876.1K 87,700
HELD GSID GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $875.4K 11,650
HELD VEU VANGUARD INTL EQUITY INDEX F 0.0 % 0.0 % +0.0 pp $875.0K 10,448
HELD SNEX STONEX GROUP INC 0.0 % 0.0 % +0.0 pp $874.4K 7,379
HELD ? EUROSEAS LTD 0.0 % 0.0 % +0.0 pp $874.2K 13,172
HELD EAF GRAFTECH INTL LTD SR NT 0.0 % 0.0 % +0.0 pp $872.9K 147,705
HELD VNQI VANGUARD INTL EQUITY INDEX F 0.0 % 0.0 % +0.0 pp $871.3K 19,426
HELD TFLO ISHARES TR 0.0 % 0.0 % +0.0 pp $870.2K 17,188
HELD CLPT CLEARPOINT NEURO INC 0.0 % 0.0 % +0.0 pp $868.6K 48,688
HELD POWL POWELL INDS INC 0.0 % 0.0 % +0.0 pp $868.5K 3,033
HELD TAXI NORTHERN FDS 0.0 % 0.0 % +0.0 pp $868.5K 16,902
HELD SMTI SANARA MEDTECH INC 0.0 % 0.0 % +0.0 pp $868.4K 36,813
HELD MGOV FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $868.2K 43,005
HELD NVDG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $868.0K 50,940
HELD IBGB ISHARES TR 0.0 % 0.0 % +0.0 pp $866.8K 35,551
HELD JANM FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $866.7K 25,608
HELD CRBP CORBUS PHARMACEUTICALS HLDGS 0.0 % 0.0 % +0.0 pp $864.4K 92,154
HELD HTEC EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $863.8K 23,164
HELD BN BROOKFIELD CORP 0.0 % 0.0 % +0.0 pp $863.6K 20,277
HELD SEER SEER INC 0.0 % 0.0 % +0.0 pp $862.1K 519,310
HELD TFNS T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $861.7K 31,327
HELD TAL TAL ED GROUP 0.0 % 0.0 % +0.0 pp $861.6K 90,031
HELD LIEN CHICAGO ATLANTIC BDC INC 0.0 % 0.0 % +0.0 pp $861.2K 88,149
HELD AVGB AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $860.5K 16,814
HELD FMS FRESENIUS MEDICAL CARE AG 0.0 % 0.0 % +0.0 pp $860.3K 38,048
HELD WARP VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $860.3K 33,434
HELD DMBS DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $860.0K 17,518
HELD ? MEDIWOUND LTD 0.0 % 0.0 % +0.0 pp $859.9K 58,496
HELD SDSI AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $859.5K 16,739
HELD PNNT PENNANTPARK INVT CORP 0.0 % 0.0 % +0.0 pp $856.2K 246,746
HELD SEIM SEI EXCHANGE TRADED FUNDS 0.0 % 0.0 % +0.0 pp $855.8K 15,241
HELD FEMG FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $855.7K 31,986
HELD AAPU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $855.2K 24,526
HELD AFIX ALLSPRING EXCHANGE TRADED FU 0.0 % 0.0 % +0.0 pp $853.7K 34,430
HELD AVXL ANAVEX LIFE SCIENCES CORP 0.0 % 0.0 % +0.0 pp $852.4K 329,115
HELD AMSC AMERICAN SUPERCONDUCTOR CORP 0.0 % 0.0 % +0.0 pp $852.1K 20,528
HELD ELDN ELEDON PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $850.9K 215,973
HELD CBT CABOT CORP 0.0 % 0.0 % +0.0 pp $850.1K 9,360
HELD CEFZ ELEVATION SERIES TRUST 0.0 % 0.0 % +0.0 pp $850.0K 103,294
HELD FLMI FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $848.7K 33,717
HELD ASIC ATEGRITY SPECIALTY IN CO HO 0.0 % 0.0 % +0.0 pp $847.5K 35,255
HELD FIDI FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $846.6K 30,933
HELD DLS WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $845.8K 10,094
HELD DIOD DIODES INC 0.0 % 0.0 % +0.0 pp $845.6K 7,727
HELD NSEP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $845.5K 27,052
HELD DGIN VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $845.4K 23,992
HELD EVLN MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $845.1K 17,422
HELD FPI FARMLAND PARTNERS INC 0.0 % 0.0 % +0.0 pp $845.1K 87,299
HELD CRDL CARDIOL THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $844.3K 796,529
HELD PGF INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $844.0K 61,562
HELD SPCG INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $843.7K 48,998
HELD FPA FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $842.6K 15,743
HELD TXXI BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $840.1K 16,521
HELD RTRE COLLABORATIVE INVESTMNT SER 0.0 % 0.0 % +0.0 pp $837.4K 33,511
HELD CARE CARTER BANKSHARES INC 0.0 % 0.0 % +0.0 pp $836.8K 24,604
HELD MHD BLACKROCK MUNIHOLDINGS FD IN 0.0 % 0.0 % +0.0 pp $835.7K 70,229
HELD XNTK SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $835.6K 2,139
HELD IREX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $835.2K 35,663
HELD LGN LEGENCE CORP 0.0 % 0.0 % +0.0 pp $835.1K 9,798
HELD FFGX FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $834.2K 23,985
HELD SOXY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $833.9K 7,296
HELD LCR MANAGED PORTFOLIO SER 0.0 % 0.0 % +0.0 pp $833.9K 20,970
HELD MGNX MACROGENICS INC 0.0 % 0.0 % +0.0 pp $830.8K 179,833
HELD FV FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $830.0K 10,938
HELD BBLB J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $829.4K 10,139
HELD MYHB SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $826.2K 33,025
HELD MARS ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $825.5K 25,549
HELD ROBO EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $825.2K 9,633
HELD MYCK SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $825.1K 33,268
HELD AKTS AKTIS ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $823.1K 25,537
HELD SBGI SINCLAIR INC 0.0 % 0.0 % +0.0 pp $822.6K 57,723
HELD FFLV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $822.2K 29,749
HELD KRO KRONOS WORLDWIDE INC 0.0 % 0.0 % +0.0 pp $820.0K 129,542
HELD LFAI STONE RIDGE TR 0.0 % 0.0 % +0.0 pp $818.7K 5,438
HELD VGMS VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $818.1K 15,950
HELD PEJ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $816.2K 12,261
HELD IBAT ISHARES TR 0.0 % 0.0 % +0.0 pp $816.2K 18,112
HELD JIVE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $816.1K 8,875
HELD ENOR ISHARES TR 0.0 % 0.0 % +0.0 pp $816.0K 25,972
HELD EMQQ EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $815.7K 26,143
HELD AGZD WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $815.2K 36,054
HELD ALRS ALERUS FINL CORP 0.0 % 0.0 % +0.0 pp $815.2K 26,211
HELD MFSI MFS ACTIVE EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $814.2K 25,069
HELD OMER OMEROS CORP 0.0 % 0.0 % +0.0 pp $814.0K 85,594
HELD CGBD CARLYLE SECURED LENDING INC 0.0 % 0.0 % +0.0 pp $813.9K 77,293
HELD MJUN PACER FDS TR 0.0 % 0.0 % +0.0 pp $813.7K 25,171
HELD BNDS SERIES PORTFOLIOS TR 0.0 % 0.0 % +0.0 pp $813.3K 16,130
HELD EGP EASTGROUP PPTYS INC 0.0 % 0.0 % +0.0 pp $812.1K 4,010
HELD VEA VANGUARD TAX-MANAGED FDS 0.0 % 0.0 % +0.0 pp $811.9K 11,395
HELD CHIQ GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $810.8K 51,282
HELD DBND DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $809.7K 17,760
HELD CUE CUE BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $809.0K 25,633
HELD SGMT SAGIMET BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $808.8K 104,633
HELD ALDX ALDEYRA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $807.6K 379,144
HELD FNOV FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $807.2K 13,800
HELD TCOM TRIP COM GROUP LTD 0.0 % 0.0 % +0.0 pp $807.1K 20,259
HELD GRFS GRIFOLS S A 0.0 % 0.0 % +0.0 pp $806.7K 113,947
HELD SPXE PROSHARES TR 0.0 % 0.0 % +0.0 pp $806.6K 9,996
HELD DGII DIGI INTL INC 0.0 % 0.0 % +0.0 pp $806.6K 10,762
HELD FGDL FRANKLIN TEMPLETON HOLDINGS 0.0 % 0.0 % +0.0 pp $806.0K 15,102
HELD ACHV ACHIEVE LIFE SCIENCE INC 0.0 % 0.0 % +0.0 pp $804.0K 123,129
HELD SEZL SEZZLE INC 0.0 % 0.0 % +0.0 pp $803.6K 4,682
HELD KQQQ KURV ETF TR 0.0 % 0.0 % +0.0 pp $802.6K 26,429
HELD XSEP FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $801.5K 18,049
HELD DBB INVESCO DB MULTI-SECTOR COMM 0.0 % 0.0 % +0.0 pp $801.3K 33,249
HELD FLAU FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $801.3K 23,806
HELD BTE BAYTEX ENERGY CORP 0.0 % 0.0 % +0.0 pp $801.2K 200,296
HELD AVSD AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $800.8K 10,024
HELD UOCT INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $799.3K 19,444
HELD PMAY INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $799.0K 19,346
HELD XONE BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $796.0K 16,123
HELD BBBS BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $795.4K 15,582
HELD TGB TREKOR METALS LTD 0.0 % 0.0 % +0.0 pp $795.3K 115,598
HELD GLWG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $794.5K 17,577
HELD JHCP JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $794.0K 31,668
HELD GRCE GRACE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $793.9K 349,740
HELD SPLV INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $793.4K 10,593
HELD LRCU INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $792.2K 7,089
HELD NVBT AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $792.2K 20,005
HELD DMRC DIGIMARC CORP 0.0 % 0.0 % +0.0 pp $791.5K 96,287
HELD FSCO FS CREDIT OPPORTUNITIES CORP 0.0 % 0.0 % +0.0 pp $789.3K 158,167
HELD ENB ENBRIDGE INC 0.0 % 0.0 % +0.0 pp $789.2K 14,559
HELD PKW INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $789.2K 5,571
HELD BAFE ADVISORS INNER CIRCLE FD III 0.0 % 0.0 % +0.0 pp $788.3K 27,034
HELD DVYA ISHARES INC 0.0 % 0.0 % +0.0 pp $786.9K 16,640
HELD EMSF MATTHEWS INTL FDS 0.0 % 0.0 % +0.0 pp $786.5K 18,506
HELD PWV INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $786.5K 10,380
HELD LDSF FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $786.5K 41,613
HELD ALEC ALECTOR INC 0.0 % 0.0 % +0.0 pp $786.4K 391,232
HELD LARK LANDMARK BANCORP INC 0.0 % 0.0 % +0.0 pp $786.1K 25,599
HELD SEB SEABOARD CORP DEL 0.0 % 0.0 % +0.0 pp $785.7K 176
HELD HYBL SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $785.6K 28,108
HELD DWX SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $784.4K 17,068
HELD DFIN DONNELLEY FINL SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $783.9K 18,687
HELD VMSB TIDAL TR IV 0.0 % 0.0 % +0.0 pp $783.4K 15,833
HELD YORW YORK WTR CO 0.0 % 0.0 % +0.0 pp $780.5K 25,466
HELD OBND SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $780.4K 30,232
HELD DWMF WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $780.2K 22,982
HELD SJT SAN JUAN BASIN RTY TR 0.0 % 0.0 % +0.0 pp $779.8K 242,929
HELD IBIH ISHARES TR 0.0 % 0.0 % +0.0 pp $779.7K 29,659
HELD PLX PROTALIX BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $778.7K 334,227
HELD AMUN ABRDN FDS 0.0 % 0.0 % +0.0 pp $778.1K 29,836
HELD CSANY COSAN S A 0.0 % 0.0 % +0.0 pp $777.5K 269,968
HELD FHTX FOGHORN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $775.1K 158,822
HELD FRWD NOMURA ETF TR 0.0 % 0.0 % +0.0 pp $774.4K 22,952
HELD ? ALPHA TAU MEDICAL LTD 0.0 % 0.0 % +0.0 pp $774.4K 61,559
HELD MRAM EVERSPIN TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $772.9K 31,966
HELD GSPY TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $772.9K 19,036
HELD NEOG NEOGEN CORP 0.0 % 0.0 % +0.0 pp $771.6K 85,829
HELD NWE NORTHWESTERN ENERGY GROUP IN 0.0 % 0.0 % +0.0 pp $770.9K 10,764
HELD ONEO SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $770.3K 5,037
HELD SHYG ISHARES TR 0.0 % 0.0 % +0.0 pp $769.1K 18,136
HELD MYHA SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $767.0K 30,691
HELD EBIT HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $766.9K 19,153
HELD WTTR SELECT WATER SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $766.4K 38,360
HELD RTO RENTOKIL INITIAL PLC 0.0 % 0.0 % +0.0 pp $766.3K 26,784
HELD TBLL INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $766.0K 7,256
HELD DFSD DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $764.6K 16,012
HELD ? KNOT OFFSHORE PARTNERS LP 0.0 % 0.0 % +0.0 pp $764.2K 76,571
HELD EDGI ADVISORS INNER CIRCLE FD II 0.0 % 0.0 % +0.0 pp $764.1K 24,698
HELD FENC FENNEC PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $763.6K 71,032
HELD CAC CAMDEN NATL CORP 0.0 % 0.0 % +0.0 pp $763.5K 14,082
HELD GSC GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $762.6K 11,016
HELD NATH NATHANS FAMOUS INC 0.0 % 0.0 % +0.0 pp $762.0K 7,500
HELD TKC TURKCELL ILETISIM 0.0 % 0.0 % +0.0 pp $761.1K 129,446
HELD MDIV FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $759.5K 45,963
HELD VRDN VIRIDIAN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $758.7K 41,303
HELD APYX APYX MEDICAL CORPORATION 0.0 % 0.0 % +0.0 pp $755.9K 168,344
HELD IWLG NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $755.0K 13,342
HELD BBGI BEASLEY BROADCAST GROUP INC 0.0 % 0.0 % +0.0 pp $754.9K 28,759
HELD XCEM COLUMBIA ETF TR II 0.0 % 0.0 % +0.0 pp $752.3K 14,226
HELD NSCI NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $752.1K 29,774
HELD TGRT T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $751.3K 16,433
HELD APOG APOGEE ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $750.3K 16,404
HELD XSVM INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $750.3K 10,781
HELD ? ENERGYS GROUP LTD 0.0 % 0.0 % +0.0 pp $750.1K 308,678
HELD ? WHITESTONE REIT 0.0 % 0.0 % +0.0 pp $747.8K 39,442
HELD FPH FIVE POINT HOLDINGS LLC 0.0 % 0.0 % +0.0 pp $746.7K 141,680
HELD SI SHOULDER INNOVATIONS INC 0.0 % 0.0 % +0.0 pp $746.2K 36,795
HELD MYMF SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $746.1K 29,965
HELD DMAX ISHARES TR 0.0 % 0.0 % +0.0 pp $745.3K 27,261
HELD ? GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $743.3K 18,807
HELD TILE INTERFACE INC 0.0 % 0.0 % +0.0 pp $742.9K 20,729
HELD LINT DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $742.0K 2,895
HELD FCLD FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $741.8K 19,100
HELD GFEB FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $741.5K 16,841
HELD ENTA ENANTA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $741.3K 50,844
HELD ATYR ATYR PHARMA INC 0.0 % 0.0 % +0.0 pp $741.3K 1,242,067
HELD MJ AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $740.6K 28,763
HELD KPHO KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $740.5K 31,216
HELD AMAU THEMES ETF TR 0.0 % 0.0 % +0.0 pp $740.0K 20,568
HELD TLDR REX ETF TR 0.0 % 0.0 % +0.0 pp $739.7K 29,582
HELD PHO INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $739.4K 10,704
HELD NMFC NEW MTN FIN CORP 0.0 % 0.0 % +0.0 pp $737.4K 102,852
HELD BWAY BRAINSWAY LTD 0.0 % 0.0 % +0.0 pp $737.0K 47,519
HELD TACN T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $736.5K 25,939
HELD YMAG TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $735.5K 64,010
HELD HIS EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $735.1K 29,349
HELD IBII ISHARES TR 0.0 % 0.0 % +0.0 pp $734.6K 28,253
HELD CPLS AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $734.3K 20,888
HELD PST PROSHARES TR 0.0 % 0.0 % +0.0 pp $733.7K 32,236
HELD ? DISCIPLINED GROWTH 0.0 % 0.0 % +0.0 pp $733.7K 73,073
HELD TDTF FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $733.5K 30,859
HELD ITM VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $732.3K 15,585
HELD GAU GALIANO GOLD INC 0.0 % 0.0 % +0.0 pp $731.4K 391,114
HELD AVIR ATEA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $731.1K 157,224
HELD GBIL GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $731.1K 7,299
HELD BSTZ BLACKROCK SCIENCE & TECHNOLO 0.0 % 0.0 % +0.0 pp $730.7K 24,332
HELD TIPC NORTHERN FDS 0.0 % 0.0 % +0.0 pp $729.7K 7,346
HELD LGH NORTHERN LTS FD TR III 0.0 % 0.0 % +0.0 pp $729.6K 11,443
HELD HYGH ISHARES U S ETF TR 0.0 % 0.0 % +0.0 pp $729.3K 8,421
HELD AVTM AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $729.3K 13,395
HELD DAO YOUDAO INC 0.0 % 0.0 % +0.0 pp $728.7K 59,247
HELD CZA INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $728.5K 5,941
HELD CHGG CHEGG INC 0.0 % 0.0 % +0.0 pp $727.1K 719,936
HELD FGM FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $726.6K 11,448
HELD YOKE EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $726.5K 22,295
HELD TIPD NORTHERN FDS 0.0 % 0.0 % +0.0 pp $726.3K 7,325
HELD PPTY ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $725.5K 21,173
HELD CNRG SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $724.7K 6,408
HELD IDNA ISHARES TR 0.0 % 0.0 % +0.0 pp $724.4K 21,463
HELD IBIJ ISHARES TR 0.0 % 0.0 % +0.0 pp $723.2K 27,713
HELD JXX JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $722.2K 22,083
HELD PSCJ PACER FDS TR 0.0 % 0.0 % +0.0 pp $722.1K 22,810
HELD RACK VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $718.7K 13,800
HELD FLBR FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $718.5K 33,558
HELD KN KNOWLES CORP 0.0 % 0.0 % +0.0 pp $717.6K 17,300
HELD NPV NUVEEN VA QUALITY MUN INCOM 0.0 % 0.0 % +0.0 pp $717.6K 62,021
HELD LCII LCI INDS 0.0 % 0.0 % +0.0 pp $716.8K 6,770
HELD BCTXL BRIACELL THERAPEUTICS CORP 0.0 % 0.0 % +0.0 pp $716.8K 895,864
HELD GRNT GRANITE RIDGE RESOURCES INC 0.0 % 0.0 % +0.0 pp $716.7K 162,517
HELD PSTP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $715.7K 19,457
HELD VOYG VOYAGER TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $714.8K 22,165
HELD GNMA ISHARES TR 0.0 % 0.0 % +0.0 pp $713.7K 16,137
HELD RWK INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $713.5K 4,878
HELD AFGR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $713.1K 19,516
HELD VUG VANGUARD INDEX FDS 0.0 % 0.0 % +0.0 pp $712.6K 8,272
HELD XTRE BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $712.0K 14,522
HELD NLOP NET LEASE OFFICE PROPERTIES 0.0 % 0.0 % +0.0 pp $711.8K 63,949
HELD BBIN J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $711.1K 9,107
HELD DFSV DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $710.1K 18,307
HELD QCML GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $709.1K 35,743
HELD MEDI HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $708.8K 20,947
HELD NX QUANEX BLDG PRODS CORP 0.0 % 0.0 % +0.0 pp $707.5K 37,998
HELD XDEC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $706.9K 16,504
HELD THNR AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $706.3K 27,493
HELD HOFT HOOKER FURNISHINGS CORPORATI 0.0 % 0.0 % +0.0 pp $706.2K 39,605
HELD TUSI TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $705.1K 27,913
HELD TIER T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $705.0K 21,773
HELD ? ROADZEN INC 0.0 % 0.0 % +0.0 pp $705.0K 482,850
HELD DORM DORMAN PRODS INC 0.0 % 0.0 % +0.0 pp $704.4K 5,162
HELD ACOG ALPHA COGNITION INC 0.0 % 0.0 % +0.0 pp $704.3K 97,546
HELD VEGI ISHARES INC 0.0 % 0.0 % +0.0 pp $703.3K 15,944
HELD LRGG NOMURA ETF TR 0.0 % 0.0 % +0.0 pp $703.2K 25,582
HELD MYCG SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $702.5K 28,110
HELD DYNB HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $701.4K 17,851
HELD EWK ISHARES INC 0.0 % 0.0 % +0.0 pp $700.2K 25,867
HELD ITDI ISHARES TR 0.0 % 0.0 % +0.0 pp $700.1K 16,599
HELD VUSG VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $699.5K 10,851
HELD RMHY GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $698.5K 27,936
HELD ARTNA ARTESIAN RES CORP 0.0 % 0.0 % +0.0 pp $698.0K 20,536
HELD USEP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $697.8K 16,883
HELD SEPM FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $697.3K 21,242
HELD SDFI AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $697.3K 19,621
HELD SHYD VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $696.2K 30,403
HELD ? IMPERIAL PETE INC 0.0 % 0.0 % +0.0 pp $693.8K 150,495
HELD ROAM LATTICE STRATEGIES TR 0.0 % 0.0 % +0.0 pp $693.4K 19,385
HELD GOOD GLADSTONE COMMERCIAL CORP 0.0 % 0.0 % +0.0 pp $692.7K 56,315
HELD BDBT EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $691.8K 27,505
HELD AQLT ISHARES TR 0.0 % 0.0 % +0.0 pp $691.2K 21,925
HELD ISCV ISHARES TR 0.0 % 0.0 % +0.0 pp $690.0K 8,810
HELD BWET AMPLIFY COMMODITY TRUST 0.0 % 0.0 % +0.0 pp $690.0K 4,650
HELD EDIT EDITAS MEDICINE INC 0.0 % 0.0 % +0.0 pp $689.3K 212,761
HELD CRF CORNERSTONE TOTAL RETURN FD 0.0 % 0.0 % +0.0 pp $689.2K 95,992
HELD IMVP INVESCO INDIA EXCHANGE-TRADE 0.0 % 0.0 % +0.0 pp $688.8K 34,318
HELD DVAL FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $688.5K 43,893
HELD APEI AMERICAN PUB ED INC 0.0 % 0.0 % +0.0 pp $688.5K 12,821
HELD COWG PACER FDS TR 0.0 % 0.0 % +0.0 pp $687.4K 17,123
HELD JOET VIRTUS ETF TR II 0.0 % 0.0 % +0.0 pp $687.1K 14,844
HELD EVGO EVGO INC 0.0 % 0.0 % +0.0 pp $684.7K 358,503
HELD ? NAYAX LTD 0.0 % 0.0 % +0.0 pp $684.6K 10,451
HELD DDFF INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $684.6K 34,303
HELD MRBK MERIDIAN CORP 0.0 % 0.0 % +0.0 pp $684.5K 34,176
HELD TILT FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $683.8K 2,477
HELD TRVG TRIVAGO N V 0.0 % 0.0 % +0.0 pp $683.5K 124,951
HELD CSHP BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $683.2K 6,858
HELD AVUQ AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $682.2K 10,336
HELD BSVN BANK7 CORP 0.0 % 0.0 % +0.0 pp $680.7K 13,905
HELD SNAV COLLABORATIVE INVESTMNT SER 0.0 % 0.0 % +0.0 pp $680.3K 17,640
HELD CLAR CLARUS CORP NEW 0.0 % 0.0 % +0.0 pp $679.8K 215,805
HELD KBA KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $679.5K 19,748
HELD DUKR DUKE ROBOTICS CORP 0.0 % 0.0 % +0.0 pp $679.1K 117,901
HELD EQL ALPS ETF TR 0.0 % 0.0 % +0.0 pp $678.9K 13,457
HELD DECT AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $678.6K 17,284
HELD MYCJ SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $678.5K 27,473
HELD MGK VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $677.7K 7,709
HELD TLTE FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $677.2K 8,750
HELD DAPP VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $675.1K 34,837
HELD FBLA FB BANCORP INC 0.0 % 0.0 % +0.0 pp $675.0K 44,821
HELD IBMR ISHARES TR 0.0 % 0.0 % +0.0 pp $673.6K 26,531
HELD QABA FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $673.3K 10,006
HELD ? GOLD RESOURCE CORP 0.0 % 0.0 % +0.0 pp $673.2K 534,309
HELD RLGT RADIANT LOGISTICS INC 0.0 % 0.0 % +0.0 pp $672.9K 71,132
HELD YSS YORK SPACE SYSTEMS INC 0.0 % 0.0 % +0.0 pp $671.7K 27,283
HELD NMAY INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $670.8K 22,697
HELD DEMZ ADVISORS INNER CIRCLE FD III 0.0 % 0.0 % +0.0 pp $670.6K 14,046
HELD MOBI MOBIA MED INC 0.0 % 0.0 % +0.0 pp $670.0K 50,000
HELD SND SMART SAND INC 0.0 % 0.0 % +0.0 pp $667.9K 133,312
HELD MORT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $667.7K 64,447
HELD KLXE KLX ENERGY SERVICES HOLDINGS 0.0 % 0.0 % +0.0 pp $666.6K 258,384
HELD ? CAPITOL SER TR 0.0 % 0.0 % +0.0 pp $665.8K 26,594
HELD RDOG ALPS ETF TR 0.0 % 0.0 % +0.0 pp $665.7K 16,028
HELD TRTY CAMBRIA ETF TR 0.0 % 0.0 % +0.0 pp $665.0K 22,013
HELD ASTX INVESTMENT MANAGERS SER TR 0.0 % 0.0 % +0.0 pp $662.1K 23,983
HELD ? STEALTHGAS INC 0.0 % 0.0 % +0.0 pp $662.0K 83,792
HELD VCR VANGUARD WORLD FD 0.0 % 0.0 % +0.0 pp $661.9K 1,669
HELD AGGY WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $661.7K 15,219
HELD FEMS FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $661.1K 14,478
HELD RBUF INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $660.8K 21,261
HELD HUYA HUYA INC 0.0 % 0.0 % +0.0 pp $660.6K 287,224
HELD UNIY WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $659.7K 13,633
HELD CEPU CENTRAL PUERTO S A 0.0 % 0.0 % +0.0 pp $659.5K 44,379
HELD SMCL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $659.2K 53,941
HELD EM7 EMERALD HOLDING INC 0.0 % 0.0 % +0.0 pp $658.7K 130,699
HELD TCHI ISHARES TR 0.0 % 0.0 % +0.0 pp $656.7K 24,780
HELD GDOT GREEN DOT CORP 0.0 % 0.0 % +0.0 pp $656.2K 48,569
HELD AFMC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $656.1K 16,010
HELD KWR QUAKER HOUGHTON 0.0 % 0.0 % +0.0 pp $653.6K 4,114
HELD ROM PROSHARES TR 0.0 % 0.0 % +0.0 pp $653.2K 4,209
HELD EMKT LAZARD ACTIVE ETF TR 0.0 % 0.0 % +0.0 pp $652.7K 20,263
HELD LUXE LUXEXPERIENCE BV 0.0 % 0.0 % +0.0 pp $652.1K 87,765
HELD LX LEXINFINTECH HLDGS LTD 0.0 % 0.0 % +0.0 pp $652.1K 331,004
HELD HCOW AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $651.5K 27,546
HELD HYEM VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $651.3K 32,389
HELD SBFG SB FINL GROUP INC 0.0 % 0.0 % +0.0 pp $651.3K 25,775
HELD BANC BANC OF CALIFORNIA INC 0.0 % 0.0 % +0.0 pp $651.1K 31,868
HELD GMUB GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $650.6K 12,648
HELD CNVS CINEVERSE CORP 0.0 % 0.0 % +0.0 pp $650.4K 218,984
HELD ? RADCOM LTD 0.0 % 0.0 % +0.0 pp $650.0K 46,097
HELD JMMF J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $649.6K 6,486
HELD ARRY ARRAY TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $648.5K 87,511
HELD OWNB BITWISE FUNDS TRUST 0.0 % 0.0 % +0.0 pp $648.4K 36,854
HELD IDN INTELLICHECK MOBILISA INC 0.0 % 0.0 % +0.0 pp $647.6K 157,955
HELD FDLS NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $647.5K 15,318
HELD KNG FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $647.4K 12,819
HELD MEMX MATTHEWS ASIA FDS 0.0 % 0.0 % +0.0 pp $646.6K 12,942
HELD PLTG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $646.4K 71,827
HELD NFRX 2023 ETF SERIES TRUST 0.0 % 0.0 % +0.0 pp $646.0K 24,121
HELD BCHP PRINCIPAL EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $645.8K 17,854
HELD FAUG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $645.6K 11,425
HELD XNAV FUNDX INVT TR 0.0 % 0.0 % +0.0 pp $644.3K 6,605
HELD CIVB CIVISTA BANCSHARES INC 0.0 % 0.0 % +0.0 pp $642.3K 22,762
HELD GRIN VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $642.3K 19,029
HELD CNEQ THE ALGER ETF TRUST 0.0 % 0.0 % +0.0 pp $642.3K 15,563
HELD UMAY INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $642.2K 16,899
HELD HCKT HACKETT GROUP INC 0.0 % 0.0 % +0.0 pp $642.1K 59,621
HELD PSCE INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $641.8K 11,676
HELD HYFI AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $641.7K 17,184
HELD ? DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $640.7K 112,013
HELD SFIX STITCH FIX INC 0.0 % 0.0 % +0.0 pp $639.7K 155,650
HELD FINV FINVOLUTION GROUP 0.0 % 0.0 % +0.0 pp $638.9K 133,388
HELD CONI GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $638.5K 10,048
HELD CSIO COHEN & STEERS ETF TRUST 0.0 % 0.0 % +0.0 pp $638.2K 22,353
HELD CRVL CORVEL CORP 0.0 % 0.0 % +0.0 pp $637.6K 10,198
HELD AOUT AMERICAN OUTDOOR BRANDS INC 0.0 % 0.0 % +0.0 pp $636.4K 54,209
HELD FOXY SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $636.3K 21,361
HELD WAMA WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $636.0K 24,294
HELD MWC MICWARE CO LTD 0.0 % 0.0 % +0.0 pp $635.8K 167,313
HELD ? SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $635.7K 14,886
HELD SRBK SR BANCORP INC 0.0 % 0.0 % +0.0 pp $634.3K 32,231
HELD API AGORA INC 0.0 % 0.0 % +0.0 pp $633.2K 158,691
HELD SATL SATELLOGIC INC 0.0 % 0.0 % +0.0 pp $632.8K 110,621
HELD ? BULLISH 0.0 % 0.0 % +0.0 pp $631.4K 26,949
HELD SMZ INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $628.7K 27,599
HELD UYLD ANGEL OAK FUNDS TRUST 0.0 % 0.0 % +0.0 pp $628.0K 12,313
HELD FRST PRIMIS FINANCIAL CORP 0.0 % 0.0 % +0.0 pp $627.1K 38,307
HELD AVX AVAX ONE TECHNOLOGY LTD 0.0 % 0.0 % +0.0 pp $625.9K 120,601
HELD IUS INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $625.7K 9,541
HELD UFEB INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $625.4K 16,180
HELD HEFT ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $624.4K 23,546
HELD JABS JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $624.1K 12,500
HELD EMM GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $622.9K 13,766
HELD LFVN LIFEVANTAGE CORP 0.0 % 0.0 % +0.0 pp $622.7K 99,791
HELD WSGE EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $622.7K 22,160
HELD OACP UNIFIED SER TR 0.0 % 0.0 % +0.0 pp $622.7K 27,413
HELD LSGR NATIXIS ETF TRUST II 0.0 % 0.0 % +0.0 pp $622.4K 14,773
HELD NRXS NEURAXIS INC 0.0 % 0.0 % +0.0 pp $621.7K 85,053
HELD TCAI TORTOISE CAPITAL SERIES TRUS 0.0 % 0.0 % +0.0 pp $619.0K 11,070
HELD OOMA OOMA INC 0.0 % 0.0 % +0.0 pp $618.4K 32,173
HELD ULTY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $618.2K 20,907
HELD HYI WESTERN ASSET HIGH YIELD OPP 0.0 % 0.0 % +0.0 pp $617.7K 58,109
HELD AVA AVISTA CORP 0.0 % 0.0 % +0.0 pp $616.0K 15,057
HELD PINK SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $615.4K 15,718
HELD WEBS DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $614.1K 31,673
HELD LMRI LUMEXA IMAGING HOLDINGS INC 0.0 % 0.0 % +0.0 pp $613.4K 54,379
HELD FLIA FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $613.2K 29,925
HELD MGMT UNIFIED SER TR 0.0 % 0.0 % +0.0 pp $612.8K 12,026
HELD GLBL PACER FDS TR 0.0 % 0.0 % +0.0 pp $611.8K 21,931
HELD LDRT ISHARES TR 0.0 % 0.0 % +0.0 pp $611.3K 24,349
HELD QSPT FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $609.6K 17,498
HELD TDV PROSHARES TR 0.0 % 0.0 % +0.0 pp $609.2K 5,860
HELD FNLC FIRST BANCORP INC ME 0.0 % 0.0 % +0.0 pp $608.6K 17,479
HELD TSSD YORKVILLE AMER INVTS TR 0.0 % 0.0 % +0.0 pp $608.2K 21,795
HELD ? PERION NETWORK LTD 0.0 % 0.0 % +0.0 pp $607.9K 62,605
HELD EMC GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $606.8K 16,121
HELD RFMZ RIVERNORTH FLEXIBLE MUNI INC 0.0 % 0.0 % +0.0 pp $605.2K 44,404
HELD GRVY GRAVITY CO LTD 0.0 % 0.0 % +0.0 pp $605.2K 9,013
HELD FVC FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $605.1K 13,816
HELD UTEN RBB FD INC 0.0 % 0.0 % +0.0 pp $603.8K 13,978
HELD STXX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $603.6K 10,048
HELD IWMI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $603.4K 11,275
HELD NVOX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $603.1K 37,576
HELD BUFX FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $603.0K 27,201
HELD USSH WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $602.6K 11,997
HELD BSCX INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $600.6K 28,526
HELD OIS OIL STS INTL INC 0.0 % 0.0 % +0.0 pp $600.6K 74,976
HELD XIMR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $599.8K 19,052
HELD SUSB ISHARES TR 0.0 % 0.0 % +0.0 pp $598.6K 23,955
HELD DWAS INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $598.6K 4,702
HELD RZV INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $598.2K 4,013
HELD CURV TORRID HLDGS INC 0.0 % 0.0 % +0.0 pp $598.0K 319,793
HELD MED MEDIFAST INC 0.0 % 0.0 % +0.0 pp $597.9K 56,350
HELD EUO PROSHARES TR II 0.0 % 0.0 % +0.0 pp $597.6K 19,517
HELD BCML BAYCOM CORP 0.0 % 0.0 % +0.0 pp $597.4K 18,157
HELD FRGN HORIZON FDS 0.0 % 0.0 % +0.0 pp $597.2K 18,886
HELD TV GRUPO TELEVISA S A B 0.0 % 0.0 % +0.0 pp $596.8K 220,237
HELD IOPP SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $595.8K 22,991
HELD DBE INVESCO DB MULTI-SECTOR COMM 0.0 % 0.0 % +0.0 pp $595.0K 22,694
HELD SNWV SANUWAVE HEALTH INC 0.0 % 0.0 % +0.0 pp $594.7K 59,473
HELD SSL SASOL LTD 0.0 % 0.0 % +0.0 pp $594.2K 60,508
HELD DDIV FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $592.7K 13,146
HELD AYA AYA GOLD & SILVER INC 0.0 % 0.0 % +0.0 pp $592.6K 31,290
HELD FNWD FINWARD BANCORP 0.0 % 0.0 % +0.0 pp $592.5K 16,110
HELD PHYS SPROTT ASSET MANAGEMENT LP 0.0 % 0.0 % +0.0 pp $592.0K 19,621
HELD VDIG VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $591.9K 9,476
HELD SSUS STRATEGY SHS 0.0 % 0.0 % +0.0 pp $590.8K 10,682
HELD DDFN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $590.5K 29,416
HELD CGMM CAPITAL GROUP EQUITY ETF TR 0.0 % 0.0 % +0.0 pp $590.2K 17,902
HELD BHR BRAEMAR HOTELS & RESORTS INC 0.0 % 0.0 % +0.0 pp $589.2K 272,781
HELD TUR ISHARES INC 0.0 % 0.0 % +0.0 pp $588.4K 15,135
HELD NEWT NEWTEKONE INC 0.0 % 0.0 % +0.0 pp $588.4K 39,733
HELD MIR MIRION TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $588.0K 32,796
HELD ? COSTAMARE BULKERS HLDGS LTD 0.0 % 0.0 % +0.0 pp $587.5K 33,458
HELD AVXC AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $585.7K 6,839
HELD MBSF VALUED ADVISERS TR 0.0 % 0.0 % +0.0 pp $585.7K 22,812
HELD ? FERROGLOBE PLC 0.0 % 0.0 % +0.0 pp $585.0K 183,966
HELD PAUG INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $585.0K 12,817
HELD OPTZ ADVISOR MANAGED PORTFOLIOS 0.0 % 0.0 % +0.0 pp $584.7K 11,750
HELD TNA DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $584.1K 7,776
HELD RITM RITHM CAPITAL CORP 0.0 % 0.0 % +0.0 pp $583.7K 62,159
HELD JSCP J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $582.8K 12,362
HELD NUDG NUVEEN INVT TR II 0.0 % 0.0 % +0.0 pp $582.8K 9,420
HELD NBJP NEUBERGER BERMAN ETF TRUST 0.0 % 0.0 % +0.0 pp $582.5K 15,710
HELD NEWP NEW PAC METALS CORP 0.0 % 0.0 % +0.0 pp $582.3K 144,844
HELD DERM JOURNEY MED CORP 0.0 % 0.0 % +0.0 pp $581.6K 82,149
HELD GAIN GLADSTONE INVT CORP 0.0 % 0.0 % +0.0 pp $581.2K 37,593
HELD ACNT ASCENT INDUSTRIES CO 0.0 % 0.0 % +0.0 pp $580.4K 38,616
HELD SMBC SOUTHERN MO BANCORP INC 0.0 % 0.0 % +0.0 pp $580.3K 7,615
HELD FDD FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $579.6K 31,244
HELD SETM SPROTT FDS TR 0.0 % 0.0 % +0.0 pp $579.5K 18,598
HELD BWZ SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $579.4K 21,658
HELD FTHI FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $578.7K 24,265
HELD RRBI RED RIVER BANCSHARES INC 0.0 % 0.0 % +0.0 pp $577.9K 6,331
HELD VGK VANGUARD INTL EQUITY INDEX F 0.0 % 0.0 % +0.0 pp $577.6K 6,524
HELD RINF PROSHARES TR 0.0 % 0.0 % +0.0 pp $576.2K 17,909
HELD USNA USANA HEALTH SCIENCES INC 0.0 % 0.0 % +0.0 pp $575.6K 26,961
HELD FRD FRIEDMAN INDS INC 0.0 % 0.0 % +0.0 pp $575.3K 17,877
HELD TSBK TIMBERLAND BANCORP INC 0.0 % 0.0 % +0.0 pp $574.0K 12,810
HELD BPRN PRINCETON BANCORP INC 0.0 % 0.0 % +0.0 pp $573.4K 15,110
HELD IBTL ISHARES TR 0.0 % 0.0 % +0.0 pp $573.2K 28,388
HELD XOVL TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $573.0K 24,732
HELD VGZ VISTA GOLD CORP 0.0 % 0.0 % +0.0 pp $572.4K 299,695
HELD PMIO PGIM ETF TR 0.0 % 0.0 % +0.0 pp $571.8K 11,193
HELD SPWH SPORTSMANS WHSE HLDGS INC 0.0 % 0.0 % +0.0 pp $571.5K 429,713
HELD NOBL PROSHARES TR 0.0 % 0.0 % +0.0 pp $571.4K 10,174
HELD TALO TALOS ENERGY INC 0.0 % 0.0 % +0.0 pp $571.2K 44,241
HELD BGGG BAILLIE GIFFORD ETF TR 0.0 % 0.0 % +0.0 pp $570.6K 16,183
HELD FLEE FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $570.0K 14,672
HELD BTMD BIOTE CORP 0.0 % 0.0 % +0.0 pp $569.5K 301,310
HELD SHPP PACER FDS TR 0.0 % 0.0 % +0.0 pp $567.2K 16,980
HELD DRIV GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $565.9K 14,672
HELD DUSL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $565.9K 5,387
HELD AVIE AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $565.8K 7,610
HELD 0HW0 BRC INC 0.0 % 0.0 % +0.0 pp $565.2K 509,181
HELD ? CALEDONIA MNG CORP 0.0 % 0.0 % +0.0 pp $565.0K 29,582
HELD TMV DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $564.1K 15,220
HELD SANA SANA BIOTECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $562.5K 161,178
HELD PDYN PALLADYNE AI CORP 0.0 % 0.0 % +0.0 pp $562.3K 92,477
HELD WSBF WATERSTONE FINL INC MD 0.0 % 0.0 % +0.0 pp $561.6K 27,092
HELD ACR ACRES COMMERCIAL REALTY CORP 0.0 % 0.0 % +0.0 pp $561.6K 31,568
HELD DBEM DBX ETF TR 0.0 % 0.0 % +0.0 pp $560.9K 13,658
HELD GRO BRAZIL POTASH CORP 0.0 % 0.0 % +0.0 pp $560.2K 260,579
HELD SKF PROSHARES TR 0.0 % 0.0 % +0.0 pp $559.2K 21,465
HELD ISBA ISABELLA BK CORP 0.0 % 0.0 % +0.0 pp $558.8K 14,147
HELD LCTX LINEAGE CELL THERAPEUTICS IN 0.0 % 0.0 % +0.0 pp $558.3K 426,169
HELD ? GLOBUS MARITIME LIMITED NEW 0.0 % 0.0 % +0.0 pp $556.6K 186,151
HELD TAXF AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $556.4K 10,945
HELD DBO INVESCO DB MULTI-SECTOR COMM 0.0 % 0.0 % +0.0 pp $556.1K 31,509
HELD UNOV INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $554.7K 13,813
HELD XMLV INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $554.7K 8,363
HELD INRO BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $554.1K 15,101
HELD QWLD SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $553.6K 3,644
HELD JACK JACK IN THE BOX INC 0.0 % 0.0 % +0.0 pp $552.8K 34,966
HELD EDZ DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $550.8K 37,937
HELD SMHI SEACOR MARINE HLDGS INC 0.0 % 0.0 % +0.0 pp $550.6K 71,979
HELD FMAY FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $550.3K 9,792
HELD USDU WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $549.9K 20,557
HELD HERO GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $549.8K 22,203
HELD ? SRX GLOBAL INC 0.0 % 0.0 % +0.0 pp $549.6K 6,059,738
HELD STIM NEURONETICS INC 0.0 % 0.0 % +0.0 pp $548.5K 421,903
HELD FCFY FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $548.1K 20,304
HELD CNBS AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $547.7K 18,751
HELD PXJ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $547.1K 14,192
HELD MSFU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $546.9K 24,758
HELD TTGT TECHTARGET INC 0.0 % 0.0 % +0.0 pp $546.9K 151,909
HELD IDLV INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $546.8K 15,852
HELD VIDA VIDA GLOBAL INC 0.0 % 0.0 % +0.0 pp $546.2K 195,062
HELD AGEM ABRDN FDS 0.0 % 0.0 % +0.0 pp $546.0K 11,057
HELD MASS 908 DEVICES INC 0.0 % 0.0 % +0.0 pp $545.9K 62,747
HELD BATRA ATLANTA BRAVES HLDGS INC 0.0 % 0.0 % +0.0 pp $545.8K 9,693
HELD RING ISHARES INC 0.0 % 0.0 % +0.0 pp $545.4K 8,443
HELD IJR ISHARES TR 0.0 % 0.0 % +0.0 pp $545.3K 3,677
HELD ? WEN ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $544.7K 52,938
HELD ALTL PACER FDS TR 0.0 % 0.0 % +0.0 pp $544.7K 10,617
HELD GNSS GENASYS INC 0.0 % 0.0 % +0.0 pp $544.5K 320,312
HELD IVSS ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $544.4K 18,195
HELD INSE INSPIRED ENTMT INC 0.0 % 0.0 % +0.0 pp $544.0K 65,945
HELD MMIN NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $543.9K 22,464
HELD FAI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $543.8K 9,996
HELD HURA TUHURA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $543.6K 232,319
HELD AIFD TCW ETF TRUST 0.0 % 0.0 % +0.0 pp $543.5K 9,805
HELD FOPC ADVISORS INNER CIRCLE FD II 0.0 % 0.0 % +0.0 pp $542.5K 21,387
HELD VSMV VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $541.7K 9,058
HELD PSBD PALMER SQUARE CAPITAL BDC IN 0.0 % 0.0 % +0.0 pp $541.4K 51,962
HELD NFLT ETFIS SER TR I 0.0 % 0.0 % +0.0 pp $540.9K 23,570
HELD ICPI ISHARES TR 0.0 % 0.0 % +0.0 pp $540.3K 10,689
HELD BSJT INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $540.0K 25,557
HELD PCEB FUNDVANTAGE TR 0.0 % 0.0 % +0.0 pp $539.7K 22,011
HELD ? XFLH CAP CORP 0.0 % 0.0 % +0.0 pp $539.3K 53,685
HELD DTIL PRECISION BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $538.8K 68,552
HELD TSYY GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $538.2K 23,009
HELD PVLA PALVELLA THERAPEUTICS INC NE 0.0 % 0.0 % +0.0 pp $537.9K 3,520
HELD ? BHAV ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $537.6K 53,171
HELD MSTX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $535.9K 72,028
HELD CAPE DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $533.7K 16,453
HELD SIO TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $533.7K 20,782
HELD STXL TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $533.7K 10,981
HELD QQQA PROSHARES TR 0.0 % 0.0 % +0.0 pp $533.5K 6,257
HELD DDFD INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $532.4K 26,650
HELD KRRO KORRO BIO INC 0.0 % 0.0 % +0.0 pp $532.3K 40,390
HELD MLPB UBS AG LONDON BRANCH 0.0 % 0.0 % +0.0 pp $532.3K 18,482
HELD MSFO TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $531.5K 50,768
HELD TAXS NORTHERN FDS 0.0 % 0.0 % +0.0 pp $530.6K 10,529
HELD VNCE VINCE HLDG CORP 0.0 % 0.0 % +0.0 pp $530.3K 74,171
HELD WCPB NORTHERN LTS FD TR II 0.0 % 0.0 % +0.0 pp $530.0K 20,906
HELD PRSD SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $529.4K 21,143
HELD BAMU NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $528.3K 20,940
HELD RWLC ADVISORS INNER CIRCLE FD III 0.0 % 0.0 % +0.0 pp $528.1K 14,087
HELD FMAT FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $528.0K 9,024
HELD ESOA ENERGY SERVICES OF AMER CORP 0.0 % 0.0 % +0.0 pp $527.3K 27,267
HELD RAMP LIVERAMP HLDGS INC 0.0 % 0.0 % +0.0 pp $527.0K 14,000
HELD RPT RITHM PPTY TR INC 0.0 % 0.0 % +0.0 pp $526.8K 36,582
HELD MSLE SATELLOS BIOSCIENCE INC 0.0 % 0.0 % +0.0 pp $526.7K 67,738
HELD BROL BARON ETF TR 0.0 % 0.0 % +0.0 pp $525.7K 20,565
HELD CZFS CITIZENS FINL SVCS INC 0.0 % 0.0 % +0.0 pp $525.5K 7,254
HELD MX MAGNACHIP SEMICONDUCTOR CORP 0.0 % 0.0 % +0.0 pp $525.2K 111,043
HELD EVPF MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $523.9K 10,438
HELD CXSE WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $523.9K 13,474
HELD USCL ISHARES TR 0.0 % 0.0 % +0.0 pp $523.3K 6,285
HELD GCO GENESCO INC 0.0 % 0.0 % +0.0 pp $523.1K 15,491
HELD CDZI CADIZ INC 0.0 % 0.0 % +0.0 pp $522.9K 125,105
HELD FXA INVESCO CURRENCYSHARES AUSTR 0.0 % 0.0 % +0.0 pp $521.1K 7,599
HELD PICB INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $520.3K 22,465
HELD AVSU AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $519.3K 5,867
HELD LFCR LIFECORE BIOMEDICAL INC 0.0 % 0.0 % +0.0 pp $519.1K 98,870
HELD YINN DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $518.6K 24,153
HELD QSML WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $518.5K 15,589
HELD NISM NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $517.4K 21,188
HELD AVAL GRUPO AVAL ACCIONES Y VALORE 0.0 % 0.0 % +0.0 pp $517.0K 102,777
HELD UXJL FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $516.6K 14,182
HELD HEQT SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $516.3K 15,393
HELD ENIC ENEL CHILE SA 0.0 % 0.0 % +0.0 pp $515.9K 114,650
HELD SCHR SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $515.1K 20,887
HELD AXICY AXIA ENERGIA SA 0.0 % 0.0 % +0.0 pp $514.4K 48,761
HELD GUG GUGGENHEIM ACTIVE ALLOC FD 0.0 % 0.0 % +0.0 pp $514.3K 32,181
HELD ASMG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $514.1K 7,883
HELD GURU GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $513.1K 7,326
HELD ZDEK INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $513.1K 19,421
HELD ? LIFEZONE METALS LIMITED 0.0 % 0.0 % +0.0 pp $512.9K 132,202
HELD PFM INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $512.6K 9,243
HELD IBGL ISHARES TR 0.0 % 0.0 % +0.0 pp $512.4K 21,318
HELD RZLT REZOLUTE INC 0.0 % 0.0 % +0.0 pp $512.1K 98,490
HELD CYPH CYPHERPUNK TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $512.0K 836,153
HELD BKCI BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $511.9K 9,485
HELD ? QDRO ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $511.3K 51,023
HELD TDEC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $511.1K 19,452
HELD MCH MATTHEWS ASIA FDS 0.0 % 0.0 % +0.0 pp $511.0K 17,710
HELD IGCB TCW ETF TRUST 0.0 % 0.0 % +0.0 pp $510.9K 11,130
HELD KPTI KARYOPHARM THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $508.7K 52,069
HELD FYEE FIDELITY GREENWOOD STREET TR 0.0 % 0.0 % +0.0 pp $508.7K 17,608
HELD COHX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $508.7K 9,075
HELD OGC OCEANAGOLD CORP 0.0 % 0.0 % +0.0 pp $508.6K 20,280
HELD BST BLACKROCK SCIENCE & TECHNOLO 0.0 % 0.0 % +0.0 pp $508.2K 10,022
HELD EFNL ISHARES TR 0.0 % 0.0 % +0.0 pp $508.2K 9,500
HELD SOHU SOHU COM LTD 0.0 % 0.0 % +0.0 pp $507.8K 41,896
HELD NEXT NEXTDECADE CORP 0.0 % 0.0 % +0.0 pp $506.7K 67,204
HELD HYNE HOYNE BANCORP INC 0.0 % 0.0 % +0.0 pp $505.6K 30,203
HELD TSEL TOUCHSTONE ETF TRUST 0.0 % 0.0 % +0.0 pp $504.5K 17,075
HELD GLNK GRAYSCALE CHAINLINK TR ETF 0.0 % 0.0 % +0.0 pp $504.3K 78,793
HELD BOF BRANCHOUT FOOD INC 0.0 % 0.0 % +0.0 pp $504.0K 109,559
HELD BWX SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $503.8K 23,240
HELD CMRC COMMERCE.COM INC 0.0 % 0.0 % +0.0 pp $503.4K 170,078
HELD IVOG VANGUARD ADMIRAL FDS INC 0.0 % 0.0 % +0.0 pp $503.3K 3,440
HELD AIS TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $502.7K 5,893
HELD DLMY FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $502.5K 16,811
HELD BGSF BGSF INC 0.0 % 0.0 % +0.0 pp $502.3K 87,961
HELD SPHQ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $500.9K 5,559
HELD LCOW PACER FDS TR 0.0 % 0.0 % +0.0 pp $499.7K 19,505
HELD PIPE INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $499.5K 16,706
HELD NEOV NEOVOLTA INC 0.0 % 0.0 % +0.0 pp $499.2K 158,461
HELD OSCV ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $499.0K 11,827
HELD TMFX RBB FD INC 0.0 % 0.0 % +0.0 pp $498.7K 21,854
HELD GOLY STRATEGY SHS 0.0 % 0.0 % +0.0 pp $497.4K 19,777
HELD HIFS HINGHAM INSTN SVGS MASS 0.0 % 0.0 % +0.0 pp $497.3K 1,619
HELD USEW EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $497.0K 8,903
HELD JMSI J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $496.7K 9,848
HELD ? ASA GOLD AND PRECIOUS MTLS L 0.0 % 0.0 % +0.0 pp $496.6K 9,543
HELD TDVG T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $496.4K 10,125
HELD BRIB FIS TR 0.0 % 0.0 % +0.0 pp $495.3K 19,819
HELD KMID VIRTUS ETF TR II 0.0 % 0.0 % +0.0 pp $495.1K 19,736
HELD DSCO DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $495.1K 19,858
HELD GDXJ VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $494.2K 5,030
HELD ? AC IMMUNE SA 0.0 % 0.0 % +0.0 pp $494.1K 207,606
HELD GVUS GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $494.0K 7,933
HELD XPOF XPONENTIAL FITNESS INC 0.0 % 0.0 % +0.0 pp $493.6K 71,323
HELD SAWG ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $493.5K 20,385
HELD ? ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $493.2K 738,293
HELD QMID WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $492.7K 16,761
HELD AAUA EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $492.6K 8,654
HELD RXL PROSHARES TR 0.0 % 0.0 % +0.0 pp $492.1K 9,273
HELD NAUG INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $491.3K 15,509
HELD ESIM STRATEGY SHS 0.0 % 0.0 % +0.0 pp $489.8K 16,448
HELD ESG FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $489.0K 2,782
HELD RANI RANI THERAPEUTICS HLDGS INC 0.0 % 0.0 % +0.0 pp $488.2K 641,995
HELD EEMS ISHARES INC 0.0 % 0.0 % +0.0 pp $487.7K 6,426
HELD PLG PLATINUM GROUP METALS LTD 0.0 % 0.0 % +0.0 pp $486.6K 360,461
HELD OPXS OPTEX SYS HLDGS INC 0.0 % 0.0 % +0.0 pp $486.5K 34,675
HELD ASLV ALLSPRING EXCHANGE TRADED FU 0.0 % 0.0 % +0.0 pp $485.4K 16,173
HELD XITK SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $485.3K 2,478
HELD BRF VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $483.3K 29,411
HELD OFLX OMEGA FLEX INC 0.0 % 0.0 % +0.0 pp $482.7K 15,377
HELD EIRL ISHARES TR 0.0 % 0.0 % +0.0 pp $482.5K 6,158
HELD PAWZ PROSHARES TR 0.0 % 0.0 % +0.0 pp $482.1K 10,063
HELD LGCY LEGACY ED INC 0.0 % 0.0 % +0.0 pp $481.9K 40,981
HELD KTEC KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $481.8K 39,135
HELD SQLV LEGG MASON ETF INVT 0.0 % 0.0 % +0.0 pp $481.6K 9,242
HELD SLSR SOLARIS RES INC 0.0 % 0.0 % +0.0 pp $480.9K 57,389
HELD MTBA SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $480.1K 9,784
HELD ? UROGEN PHARMA LTD 0.0 % 0.0 % +0.0 pp $477.8K 12,985
HELD ZCBE GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $477.5K 9,665
HELD HNVR HANOVER BANCORP INC 0.0 % 0.0 % +0.0 pp $477.1K 20,458
HELD LITP SPROTT FDS TR 0.0 % 0.0 % +0.0 pp $477.1K 38,190
HELD LNOK TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $476.5K 7,344
HELD BSGT INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $476.4K 18,968
HELD CPIX CUMBERLAND PHARMACEUTICALS I 0.0 % 0.0 % +0.0 pp $475.6K 73,391
HELD DDFM INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $475.2K 24,061
HELD BGS B & G FOODS INC 0.0 % 0.0 % +0.0 pp $475.1K 119,362
HELD BSCR INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $475.1K 24,219
HELD EART GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $473.2K 16,308
HELD JBBB JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $473.1K 9,991
HELD UAUG INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $472.9K 11,238
HELD ECH ISHARES INC 0.0 % 0.0 % +0.0 pp $472.8K 11,909
HELD ? JENA ACQUISITION CORP II 0.0 % 0.0 % +0.0 pp $472.7K 43,853
HELD TOV EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $472.4K 14,991
HELD TMP TOMPKINS FINL CORP 0.0 % 0.0 % +0.0 pp $472.1K 4,995
HELD IEUR ISHARES TR 0.0 % 0.0 % +0.0 pp $472.0K 6,279
HELD SABR SABRE CORP 0.0 % 0.0 % +0.0 pp $471.8K 225,750
HELD DKS DICKS SPORTING GOODS INC 0.0 % 0.0 % +0.0 pp $471.5K 2,079
HELD RXRX RECURSION PHARMACEUTICALS IN 0.0 % 0.0 % +0.0 pp $471.5K 128,478
HELD SCHQ SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $471.5K 15,063
HELD FDV FEDERATED HERMES ETF TRUST 0.0 % 0.0 % +0.0 pp $470.6K 14,993
HELD BBRE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $470.6K 4,387
HELD DOMO DOMO INC 0.0 % 0.0 % +0.0 pp $470.3K 150,261
HELD HFGO HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $469.7K 16,005
HELD GRW TCW ETF TRUST 0.0 % 0.0 % +0.0 pp $468.5K 14,536
HELD BSTS INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $468.5K 18,679
HELD MBSX ADVISOR MANAGED PORTFOLIOS 0.0 % 0.0 % +0.0 pp $468.3K 17,152
HELD EURL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $468.0K 10,133
HELD PAHC PHIBRO ANIMAL HEALTH CORP 0.0 % 0.0 % +0.0 pp $467.5K 14,889
HELD BLDG CAMBRIA ETF TR 0.0 % 0.0 % +0.0 pp $467.5K 17,313
HELD MHO M/I HOMES INC 0.0 % 0.0 % +0.0 pp $467.4K 2,907
HELD SNFCA SECURITY NATL FINL CORP 0.0 % 0.0 % +0.0 pp $466.8K 48,173
HELD CHGX EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $466.7K 14,053
HELD MSFD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $466.4K 32,823
HELD BKMI BNY MELLON ETF TRUST II 0.0 % 0.0 % +0.0 pp $466.3K 17,634
HELD NVDD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $465.0K 13,675
HELD ZCBF GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $465.0K 9,409
HELD QTI QT IMAGING HLDGS INC 0.0 % 0.0 % +0.0 pp $464.4K 114,099
HELD AVAV AEROVIRONMENT INC 0.0 % 0.0 % +0.0 pp $463.5K 2,808
HELD BUYZ FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $463.1K 13,603
HELD MARA MARA HOLDINGS INC 0.0 % 0.0 % +0.0 pp $462.1K 33,269
HELD MRAL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $462.0K 6,497
HELD PSFD PACER FDS TR 0.0 % 0.0 % +0.0 pp $461.9K 11,595
HELD ZCBC GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $461.6K 9,354
HELD SCHO SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $461.5K 19,118
HELD ? DLOCAL LTD 0.0 % 0.0 % +0.0 pp $460.3K 35,419
HELD NXUS NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $460.3K 18,363
HELD ICFI ICF INTL INC 0.0 % 0.0 % +0.0 pp $459.8K 6,311
HELD USG USCF ETF TR 0.0 % 0.0 % +0.0 pp $459.3K 14,408
HELD XSVN BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $459.2K 9,715
HELD BBVA BANCO BILBAO VIZCAYA ARGENTA 0.0 % 0.0 % +0.0 pp $459.2K 18,323
HELD BCLO BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $459.2K 9,225
HELD EPC EDGEWELL PERSONAL CARE CO 0.0 % 0.0 % +0.0 pp $459.0K 17,087
HELD USMF WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $459.0K 8,461
HELD WCME FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $458.7K 23,379
HELD JOF JAPAN SMALLER CAPITALIZATION 0.0 % 0.0 % +0.0 pp $457.2K 38,815
HELD BEG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $456.0K 5,453
HELD ? SILICOM LTD 0.0 % 0.0 % +0.0 pp $455.7K 9,506
HELD IPAR INTERPARFUMS INC 0.0 % 0.0 % +0.0 pp $455.6K 4,073
HELD BITX VOLATILITY SHS TR 0.0 % 0.0 % +0.0 pp $455.3K 44,119
HELD PSFJ PACER FDS TR 0.0 % 0.0 % +0.0 pp $455.0K 12,937
HELD OSUR ORASURE TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $454.7K 101,958
HELD HRTS TEMA ETF TRUST 0.0 % 0.0 % +0.0 pp $453.4K 12,500
HELD KULR KULR TECHNOLOGY GROUP INC 0.0 % 0.0 % +0.0 pp $453.3K 118,979
HELD CLDT CHATHAM LODGING TR 0.0 % 0.0 % +0.0 pp $453.3K 34,262
HELD ANVS ANNOVIS BIO INC 0.0 % 0.0 % +0.0 pp $453.2K 243,682
HELD KSA ISHARES TR 0.0 % 0.0 % +0.0 pp $453.2K 12,146
HELD YMAR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $452.4K 15,787
HELD TSLY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $452.3K 15,848
HELD ? INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $452.2K 13,311
HELD TBJL INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $451.9K 22,782
HELD OFIX ORTHOFIX MED INC 0.0 % 0.0 % +0.0 pp $451.7K 49,418
HELD MANI MAN ETF SER TR 0.0 % 0.0 % +0.0 pp $451.4K 17,637
HELD GLRY NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $451.3K 10,330
HELD IVOL KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $451.2K 26,095
HELD RBLU ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $450.9K 50,551
HELD CPTL GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $450.6K 9,590
HELD CRPT FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $450.5K 39,659
HELD PSO PEARSON PLC 0.0 % 0.0 % +0.0 pp $450.5K 28,349
HELD BSTV INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $450.4K 17,887
HELD NNOV INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $450.3K 14,319
HELD MMIT NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $449.9K 18,476
HELD JDOC J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $449.3K 7,460
HELD NXTE INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $448.8K 8,245
HELD MPRO NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $448.8K 13,748
HELD ? CANTOR EQUITY PARTNERS I INC 0.0 % 0.0 % +0.0 pp $448.8K 50,826
HELD BDEC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $448.6K 8,431
HELD IFGL ISHARES TR 0.0 % 0.0 % +0.0 pp $448.5K 20,113
HELD PBE INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $448.2K 4,999
HELD MXI ISHARES TR 0.0 % 0.0 % +0.0 pp $447.4K 4,227
HELD SRVR PACER FDS TR 0.0 % 0.0 % +0.0 pp $447.3K 14,078
HELD LAW CS DISCO INC 0.0 % 0.0 % +0.0 pp $446.9K 118,226
HELD ZCBB GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $446.7K 9,069
HELD RVSB RIVERVIEW BANCORP INC 0.0 % 0.0 % +0.0 pp $446.0K 82,130
HELD WEEL TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $445.7K 22,444
HELD SBC SBC MED GROUP HLDGS INC 0.0 % 0.0 % +0.0 pp $445.7K 144,718
HELD JAPN LISTED FDS TR 0.0 % 0.0 % +0.0 pp $445.5K 19,810
HELD ASUR ASURE SOFTWARE INC 0.0 % 0.0 % +0.0 pp $445.3K 56,089
HELD AP AMPCO-PITTSBURG CORP 0.0 % 0.0 % +0.0 pp $444.7K 51,409
HELD CRMD CORMEDIX INC 0.0 % 0.0 % +0.0 pp $444.4K 56,614
HELD AIRG AIRGAIN INC 0.0 % 0.0 % +0.0 pp $444.1K 70,490
HELD SMAX ISHARES TR 0.0 % 0.0 % +0.0 pp $444.1K 15,936
HELD TNXT T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $443.9K 15,894
HELD ERTH INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $443.5K 9,377
HELD LOGO TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $443.1K 21,420
HELD SMCX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $442.7K 49,630
HELD MSBT MORGAN STANLEY BITCOIN TR 0.0 % 0.0 % +0.0 pp $442.7K 26,272
HELD ? SUPERCOM LTD NEW 0.0 % 0.0 % +0.0 pp $442.6K 38,693
HELD EXYN EXYN TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $442.0K 85,000
HELD ALX ALEXANDERS INC 0.0 % 0.0 % +0.0 pp $442.0K 1,604
HELD FNWB FIRST NORTHWEST BANCORP 0.0 % 0.0 % +0.0 pp $441.7K 40,858
HELD SLRC SLR INVESTMENT CORP 0.0 % 0.0 % +0.0 pp $441.5K 35,695
HELD BUXX EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $441.1K 21,793
HELD TASK TASKUS INC 0.0 % 0.0 % +0.0 pp $440.9K 94,217
HELD ? GEOPARK LTD 0.0 % 0.0 % +0.0 pp $440.3K 48,390
HELD FCPI FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $439.7K 8,050
HELD ? SCULLY ROYALTY LTD 0.0 % 0.0 % +0.0 pp $439.7K 71,786
HELD GOVI INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $439.4K 16,184
HELD XRLX FUNDX INVT TR 0.0 % 0.0 % +0.0 pp $439.1K 8,875
HELD TY TRI CONTL CORP 0.0 % 0.0 % +0.0 pp $438.8K 12,748
HELD AMTX AEMETIS INC 0.0 % 0.0 % +0.0 pp $438.4K 267,309
HELD TUG LISTED FDS TR 0.0 % 0.0 % +0.0 pp $438.3K 9,266
HELD XDAT FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $438.1K 17,544
HELD NUDM NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $437.5K 10,932
HELD ABLD ABACUS FCF ETF TR 0.0 % 0.0 % +0.0 pp $437.3K 14,531
HELD PZIV ADVISORS SER TR 0.0 % 0.0 % +0.0 pp $436.0K 15,485
HELD EVIM MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $435.9K 8,183
HELD GMAY FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $435.6K 10,121
HELD QVML INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $435.4K 9,863
HELD BNED BARNES & NOBLE ED INC 0.0 % 0.0 % +0.0 pp $435.1K 34,645
HELD ZCBG GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $434.8K 8,779
HELD PRN INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $434.3K 1,666
HELD CDXS CODEXIS INC 0.0 % 0.0 % +0.0 pp $433.0K 191,580
HELD TYD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $432.9K 18,235
HELD FLCA FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $432.9K 8,410
HELD TRUT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $432.4K 13,775
HELD HYDR GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $432.2K 8,146
HELD IBCB ISHARES TR 0.0 % 0.0 % +0.0 pp $431.6K 17,154
HELD GENC GENCOR INDS INC 0.0 % 0.0 % +0.0 pp $431.1K 28,895
HELD EGY VAALCO ENERGY INC 0.0 % 0.0 % +0.0 pp $430.8K 84,811
HELD LRGC AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $430.1K 5,144
HELD IWV ISHARES TR 0.0 % 0.0 % +0.0 pp $429.8K 1,008
HELD BTGO BITGO HOLDINGS INC 0.0 % 0.0 % +0.0 pp $429.6K 82,939
HELD LGLV SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $429.5K 2,367
HELD WDEF WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $428.7K 15,767
HELD FDIF FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $427.7K 10,568
HELD KDRN ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $427.4K 18,466
HELD EMGF ISHARES INC 0.0 % 0.0 % +0.0 pp $427.3K 5,832
HELD NUAG NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $427.1K 20,313
HELD ? INTERPRIVATE INVTS PARTNERS 0.0 % 0.0 % +0.0 pp $426.2K 42,967
HELD FLCV FEDERATED HERMES ETF TRUST 0.0 % 0.0 % +0.0 pp $426.1K 11,883
HELD PJIO PGIM ETF TR 0.0 % 0.0 % +0.0 pp $426.0K 6,116
HELD LST MANAGED PORTFOLIO SER 0.0 % 0.0 % +0.0 pp $425.8K 9,112
HELD ? INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $425.8K 29,223
HELD PTHS PELTHOS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $425.2K 15,046
HELD LCNB LCNB CORP 0.0 % 0.0 % +0.0 pp $425.1K 24,169
HELD XETYX EATON VANCE TAX-MANAGED DIVE 0.0 % 0.0 % +0.0 pp $425.1K 29,238
HELD JUNT AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $424.9K 11,244
HELD MRLN MERLIN INC 0.0 % 0.0 % +0.0 pp $424.3K 74,573
HELD STXK EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $423.5K 10,914
HELD ENZL ISHARES TR 0.0 % 0.0 % +0.0 pp $423.5K 9,456
HELD PJUS PGIM ETF TR 0.0 % 0.0 % +0.0 pp $423.4K 8,240
HELD GSIT GSI TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $423.2K 54,745
HELD CAR AVIS BUDGET GROUP INC 0.0 % 0.0 % +0.0 pp $422.8K 2,860
HELD SIMS SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $422.7K 8,979
HELD BUFD FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $422.3K 14,209
HELD ONEV SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $421.9K 2,949
HELD ZDGE ZEDGE INC 0.0 % 0.0 % +0.0 pp $421.9K 136,088
HELD SPHD INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $421.6K 8,293
HELD XJH ISHARES TR 0.0 % 0.0 % +0.0 pp $420.7K 8,068
HELD OVBC OHIO VY BANC CORP 0.0 % 0.0 % +0.0 pp $420.4K 9,680
HELD WD WALKER & DUNLOP INC 0.0 % 0.0 % +0.0 pp $420.3K 7,683
HELD DDTS INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $420.0K 18,659
HELD NVBW AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $418.9K 11,762
HELD XLEI SELECT SECTOR SPDR TR 0.0 % 0.0 % +0.0 pp $418.7K 16,595
HELD LQAI EXCHANGE LISTED FDS TR 0.0 % 0.0 % +0.0 pp $418.1K 8,686
HELD RMOP TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $417.4K 16,344
HELD VMO INVESCO MUN OPPORTUNIT TR 0.0 % 0.0 % +0.0 pp $416.7K 42,217
HELD MMKT TEXAS CAPITAL FUNDS TRUST 0.0 % 0.0 % +0.0 pp $416.5K 4,156
HELD ARQ ARQ INC 0.0 % 0.0 % +0.0 pp $416.2K 163,201
HELD CVV CVD EQUIP CORP 0.0 % 0.0 % +0.0 pp $415.6K 55,939
HELD UAPR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $414.8K 11,812
HELD CVLC MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $414.5K 4,388
HELD WKEY WISEKEY INTERNATIONAL HLDS L 0.0 % 0.0 % +0.0 pp $414.5K 56,630
HELD OAEM UNIFIED SER TR 0.0 % 0.0 % +0.0 pp $414.5K 8,309
HELD DABS DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $414.1K 8,172
HELD EUV CORGI ETF TR I 0.0 % 0.0 % +0.0 pp $413.6K 12,933
HELD EMO CLEARBRIDGE ENERGY MIDSTREAM 0.0 % 0.0 % +0.0 pp $413.5K 8,254
HELD SCOW PACER FDS TR 0.0 % 0.0 % +0.0 pp $412.6K 18,807
HELD CHAT TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $411.9K 4,174
HELD HIDV AB ACTIVE ETFS INC 0.0 % 0.0 % +0.0 pp $411.8K 4,649
HELD FLCC FEDERATED HERMES ETF TRUST 0.0 % 0.0 % +0.0 pp $411.8K 11,720
HELD ADTN ADTRAN HOLDINGS INC 0.0 % 0.0 % +0.0 pp $411.7K 29,619
HELD DECW AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $411.5K 11,544
HELD KOS KOSMOS ENERGY LTD 0.0 % 0.0 % +0.0 pp $411.3K 194,910
HELD ZAPR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $410.1K 15,396
HELD USO UNITED STS OIL FD LP 0.0 % 0.0 % +0.0 pp $410.0K 3,852
HELD GDIV HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $409.9K 22,226
HELD VLU SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $409.7K 1,720
HELD HCM HUTCHMED CHINA LTD 0.0 % 0.0 % +0.0 pp $409.5K 38,061
HELD EWA ISHARES INC 0.0 % 0.0 % +0.0 pp $409.4K 14,538
HELD RMT ROYCE MICRO-CAP TR INC 0.0 % 0.0 % +0.0 pp $408.8K 27,925
HELD PZLV ADVISORS SER TR 0.0 % 0.0 % +0.0 pp $408.7K 14,318
HELD ANL ADLAI NORTYE LTD 0.0 % 0.0 % +0.0 pp $408.3K 35,506
HELD GUMI GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $407.7K 8,087
HELD ODDS PACER FDS TR 0.0 % 0.0 % +0.0 pp $407.6K 16,911
HELD AIVI WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $407.5K 7,238
HELD IBMO ISHARES TR 0.0 % 0.0 % +0.0 pp $407.3K 15,887
HELD ICCC IMMUCELL CORP 0.0 % 0.0 % +0.0 pp $407.1K 40,503
HELD ? VINCI COMPASS INVESTMENTS LT 0.0 % 0.0 % +0.0 pp $407.0K 41,830
HELD OAKI HARRIS OAKMARK ETF TRUST 0.0 % 0.0 % +0.0 pp $406.6K 15,790
HELD VGVT VANGUARD MALVERN FDS 0.0 % 0.0 % +0.0 pp $406.6K 5,402
HELD IBHG ISHARES TR 0.0 % 0.0 % +0.0 pp $406.4K 18,408
HELD CVRX CVRX INC 0.0 % 0.0 % +0.0 pp $406.1K 79,013
HELD TSLX SIXTH STREET SPECIALTY LENDI 0.0 % 0.0 % +0.0 pp $405.9K 23,639
HELD XSLV INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $405.5K 7,737
HELD BUYW NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $405.5K 28,059
HELD STXG EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $404.8K 7,326
HELD SAUG FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $404.5K 14,564
HELD DFAI DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $404.0K 9,795
HELD SHYL DBX ETF TR 0.0 % 0.0 % +0.0 pp $404.0K 9,093
HELD GXPT GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $403.2K 12,316
HELD GJUN FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $402.9K 9,782
HELD ? YORKVILLE ACQUISITION CORP. 0.0 % 0.0 % +0.0 pp $402.0K 39,373
HELD EDN EMPRESA DIST Y COMERCIAL NOR 0.0 % 0.0 % +0.0 pp $401.7K 16,094
HELD KZIA KAZIA THERAPEUTICS LTD 0.0 % 0.0 % +0.0 pp $401.4K 28,509
HELD BCD ABRDN ETFS 0.0 % 0.0 % +0.0 pp $401.2K 11,747
HELD BRKU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $401.1K 17,453
HELD CLW CLEARWATER PAPER CORP 0.0 % 0.0 % +0.0 pp $400.4K 25,538
HELD GRDX GRIDAI TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $400.2K 85,325
HELD ? LOCAFY LIMITED 0.0 % 0.0 % +0.0 pp $399.5K 40,112
HELD FBCV FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $399.5K 10,032
HELD AGIQ TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $398.9K 16,540
HELD ? NCS MULTISTAGE HLDGS INC 0.0 % 0.0 % +0.0 pp $398.8K 9,040
HELD BLBD BLUE BIRD CORP 0.0 % 0.0 % +0.0 pp $398.7K 5,050
HELD QVMT INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $398.4K 5,700
HELD ITDJ ISHARES TR 0.0 % 0.0 % +0.0 pp $397.4K 12,116
HELD JHMU JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $396.8K 15,078
HELD EML EASTERN CO 0.0 % 0.0 % +0.0 pp $396.7K 14,244
HELD BCIL EXCHANGE LISTED FDS TR 0.0 % 0.0 % +0.0 pp $396.1K 13,210
HELD BBLGW BONE BIOLOGICS CORP 0.0 % 0.0 % +0.0 pp $396.0K 26,398
HELD FBDC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $395.9K 23,363
HELD FSZ FIRST TR EXCH TRD ALPHDX FD 0.0 % 0.0 % +0.0 pp $395.6K 4,823
HELD BVFL BV FINL INC 0.0 % 0.0 % +0.0 pp $395.6K 18,677
HELD SPTS SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $395.4K 13,629
HELD SDHC SMITH DOUGLAS HOMES CORP 0.0 % 0.0 % +0.0 pp $394.9K 25,414
HELD HQI HIREQUEST INC 0.0 % 0.0 % +0.0 pp $394.7K 31,427
HELD BARK BARK INC 0.0 % 0.0 % +0.0 pp $394.6K 39,540
HELD FAN FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $393.7K 15,761
HELD ? TWO RDS SHARED TR 0.0 % 0.0 % +0.0 pp $393.5K 46,346
HELD KCAI KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $393.3K 12,418
HELD FBIN FORTUNE BRANDS INNOVATIONS I 0.0 % 0.0 % +0.0 pp $392.8K 7,155
HELD GEOS GEOSPACE TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $392.8K 58,018
HELD VCEL VERICEL CORP 0.0 % 0.0 % +0.0 pp $392.8K 8,828
HELD OBIL RBB FD INC 0.0 % 0.0 % +0.0 pp $392.4K 7,851
HELD NWL NEWELL BRANDS INC 0.0 % 0.0 % +0.0 pp $391.4K 63,740
HELD ? ISHARES TR 0.0 % 0.0 % +0.0 pp $391.2K 12,434
HELD ? TRUBRIDGE INC 0.0 % 0.0 % +0.0 pp $391.1K 14,922
HELD FLGR FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $391.0K 12,145
HELD BNDC FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $390.2K 17,663
HELD VIDI ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $390.1K 9,999
HELD ZIG ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $390.0K 9,972
HELD KLRS KALARIS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $389.8K 95,772
HELD ITEQ AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $389.4K 5,866
HELD FID FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $389.3K 18,141
HELD PTEU PACER FDS TR 0.0 % 0.0 % +0.0 pp $388.9K 11,674
HELD SCM STELLUS CAP INVT CORP 0.0 % 0.0 % +0.0 pp $388.1K 46,090
HELD JMHI J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $388.0K 7,662
HELD PSMO PACER FDS TR 0.0 % 0.0 % +0.0 pp $387.9K 11,923
HELD SURE ADVISORSHARES TR 0.0 % 0.0 % +0.0 pp $387.3K 2,600
HELD XYLG GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $387.1K 13,426
HELD BSMC 2023 ETF SERIES TRUST 0.0 % 0.0 % +0.0 pp $386.7K 9,927
HELD RETL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $386.3K 42,548
HELD DGRS WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $385.9K 6,502
HELD HGTY HAGERTY INC 0.0 % 0.0 % +0.0 pp $385.5K 32,337
HELD GLDG GOLDMINING INC 0.0 % 0.0 % +0.0 pp $385.3K 424,759
HELD ESE ESCO TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $385.0K 1,100
HELD VETZ TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $384.9K 19,454
HELD TMFS RBB FD INC 0.0 % 0.0 % +0.0 pp $384.3K 10,634
HELD URE PROSHARES TR 0.0 % 0.0 % +0.0 pp $384.1K 5,587
HELD XYF X FINL 0.0 % 0.0 % +0.0 pp $384.0K 79,349
HELD BODI THE BEACHBODY COMPANY INC 0.0 % 0.0 % +0.0 pp $383.6K 37,531
HELD XBOX ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $382.7K 3,825
HELD ETB EATON VANCE TAX MNGED BUY WR 0.0 % 0.0 % +0.0 pp $382.7K 24,628
HELD AIVL WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $382.2K 2,915
HELD BRSP BRIGHTSPIRE CAPITAL INC 0.0 % 0.0 % +0.0 pp $381.1K 69,918
HELD ESMV ISHARES TR 0.0 % 0.0 % +0.0 pp $380.7K 12,515
HELD BFOC FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $380.4K 22,571
HELD USCI UNITED STS COMMODITY INDEX F 0.0 % 0.0 % +0.0 pp $380.4K 4,106
HELD LVDS J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $380.1K 6,646
HELD AGGA EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $379.5K 15,104
HELD USFI FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $379.4K 15,463
HELD CRS CARPENTER TECHNOLOGY CORP 0.0 % 0.0 % +0.0 pp $378.7K 614
HELD ECOR ELECTROCORE INC 0.0 % 0.0 % +0.0 pp $378.5K 43,803
HELD JQUA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $378.0K 5,229
HELD SPVM INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $377.3K 5,070
HELD SECR NEW YORK LIFE INVTS ACTIVE E 0.0 % 0.0 % +0.0 pp $377.2K 14,863
HELD CGGG CAPITAL GROUP EQUITY ETF TR 0.0 % 0.0 % +0.0 pp $376.7K 13,150
HELD AVBC AVIDIA BANCORP INC 0.0 % 0.0 % +0.0 pp $376.6K 17,940
HELD DHY CREDIT SUISSE HIGH YIELD CRE 0.0 % 0.0 % +0.0 pp $376.4K 211,455
HELD GTOC INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $375.6K 14,993
HELD BSJU INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $375.4K 14,543
HELD RGCO RGC RES INC 0.0 % 0.0 % +0.0 pp $375.1K 15,695
HELD DURA VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $375.0K 10,096
HELD EKG FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $374.9K 19,976
HELD SPDV ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $374.9K 9,729
HELD VLRS CONTROLADORA VUELA COMP DE A 0.0 % 0.0 % +0.0 pp $374.7K 39,989
HELD BOCT INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $374.7K 7,066
HELD EETH PROSHARES TR 0.0 % 0.0 % +0.0 pp $374.6K 19,470
HELD WTV WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $373.8K 3,675
HELD DBVT DBV TECHNOLOGIES S A 0.0 % 0.0 % +0.0 pp $373.6K 22,782
HELD ? VIKING ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $373.5K 36,543
HELD VIXM PROSHARES TR II 0.0 % 0.0 % +0.0 pp $373.0K 25,995
HELD HWBK HAWTHORN BANCSHARES INC 0.0 % 0.0 % +0.0 pp $372.8K 9,485
HELD MAMB NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $371.8K 15,460
HELD ICLO INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $371.5K 14,522
HELD ROC RANK ONE COMPUTING CORP 0.0 % 0.0 % +0.0 pp $371.0K 70,395
HELD VRTL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $370.7K 7,117
HELD VATE INNOVATE CORP 0.0 % 0.0 % +0.0 pp $370.0K 19,816
HELD CBNA CHAIN BRIDGE BANCORP INC 0.0 % 0.0 % +0.0 pp $369.7K 8,792
HELD TLYS TILLYS INC 0.0 % 0.0 % +0.0 pp $369.7K 88,019
HELD HURC HURCO CO 0.0 % 0.0 % +0.0 pp $369.6K 16,144
HELD BMAY INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $369.5K 7,804
HELD SEIQ SEI EXCHANGE TRADED FUNDS 0.0 % 0.0 % +0.0 pp $369.3K 9,370
HELD GLD SPDR GOLD TR 0.0 % 0.0 % +0.0 pp $369.1K 1,002
HELD FTNY PUTNAM ETF TRUST 0.0 % 0.0 % +0.0 pp $368.9K 46,280
HELD BNDP VANGUARD QUANTITATIVE FDS 0.0 % 0.0 % +0.0 pp $368.8K 4,961
HELD ACLC AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $368.6K 4,382
HELD FLTW FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $368.5K 3,492
HELD AURA AURA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $368.5K 51,902
HELD PMBS PIMCO ETF TR 0.0 % 0.0 % +0.0 pp $368.5K 7,462
HELD SGDM SPROTT ETF TRUST 0.0 % 0.0 % +0.0 pp $368.3K 5,858
HELD EZPW EZCORP INC 0.0 % 0.0 % +0.0 pp $367.6K 10,634
HELD NVG NUVEEN AMT FREE MUN CR INC F 0.0 % 0.0 % +0.0 pp $367.2K 28,690
HELD DADS TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $367.1K 18,056
HELD ? CODERE ONLINE LUXEMBOURG S A 0.0 % 0.0 % +0.0 pp $367.1K 38,355
HELD SEIS SEI EXCHANGE TRADED FUNDS 0.0 % 0.0 % +0.0 pp $366.9K 10,939
HELD ONOF GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $366.7K 9,180
HELD PALC PACER FDS TR 0.0 % 0.0 % +0.0 pp $366.5K 6,134
HELD ? SEANERGY MARITIME HLDGS CORP 0.0 % 0.0 % +0.0 pp $366.4K 27,285
HELD MSFX ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $366.2K 24,977
HELD COTY COTY INC 0.0 % 0.0 % +0.0 pp $366.0K 169,429
HELD EQIN COLUMBIA ETF TR I 0.0 % 0.0 % +0.0 pp $365.3K 7,120
HELD PSET PRINCIPAL EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $364.4K 4,808
HELD PRPO PRECIPIO INC 0.0 % 0.0 % +0.0 pp $364.3K 14,714
HELD PJFV PGIM ETF TR 0.0 % 0.0 % +0.0 pp $364.1K 3,698
HELD XSHQ INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $363.4K 7,516
HELD PDP INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $363.2K 2,394
HELD PAL PROFICIENT AUTO LOGISTICS IN 0.0 % 0.0 % +0.0 pp $362.8K 53,273
HELD BOLD BOUNDLESS BIO INC 0.0 % 0.0 % +0.0 pp $362.6K 145,049
HELD GUSA GOLDMAN SACHS ETF TRUST II 0.0 % 0.0 % +0.0 pp $362.1K 5,586
HELD XXI TWENTY ONE CAP INC 0.0 % 0.0 % +0.0 pp $361.3K 72,984
HELD DLX DELUXE CORP MEDIUM TERM NTS 0.0 % 0.0 % +0.0 pp $361.2K 15,124
HELD VOOG VANGUARD ADMIRAL FDS INC 0.0 % 0.0 % +0.0 pp $360.8K 4,367
HELD ? ISHARES TR 0.0 % 0.0 % +0.0 pp $360.0K 9,496
HELD VOXR VOX ROYALTY CORP 0.0 % 0.0 % +0.0 pp $358.4K 75,763
HELD IEZ ISHARES TR 0.0 % 0.0 % +0.0 pp $358.3K 13,319
HELD NETG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $358.1K 26,605
HELD UTF COHEN & STEERS INFRASTRUCTUR 0.0 % 0.0 % +0.0 pp $356.7K 12,927
HELD ECML EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $355.4K 9,186
HELD ? SELECT MED HLDGS CORP 0.0 % 0.0 % +0.0 pp $355.4K 21,524
HELD GRNI TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $355.2K 16,833
HELD AOM ISHARES TR 0.0 % 0.0 % +0.0 pp $354.9K 7,114
HELD XBMEX BLACKROCK HEALTH SCIENCES TR 0.0 % 0.0 % +0.0 pp $354.9K 8,262
HELD NBSM NEUBERGER BERMAN ETF TRUST 0.0 % 0.0 % +0.0 pp $354.8K 12,358
HELD LU LUFAX HOLDING LTD 0.0 % 0.0 % +0.0 pp $354.7K 268,734
HELD AFCG ADVANCED FLOWER CAP INC 0.0 % 0.0 % +0.0 pp $354.7K 114,407
HELD INVN THE ALGER ETF TRUST 0.0 % 0.0 % +0.0 pp $354.0K 16,521
HELD APLU ALLSPRING EXCHANGE TRADED FU 0.0 % 0.0 % +0.0 pp $353.4K 14,367
HELD GROW U S GLOBAL INVS INC 0.0 % 0.0 % +0.0 pp $352.8K 113,071
HELD KAT ADVISORS SER TR 0.0 % 0.0 % +0.0 pp $352.7K 6,525
HELD ADIV GUINNESS ATKINSON FDS 0.0 % 0.0 % +0.0 pp $351.9K 18,928
HELD ? LITMAN GREGORY FDS TR 0.0 % 0.0 % +0.0 pp $351.7K 32,087
HELD ARMY TEMA ETF TRUST 0.0 % 0.0 % +0.0 pp $351.5K 14,915
HELD GNOM GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $351.2K 6,179
HELD BKFI BNY MELLON ETF TRUST II 0.0 % 0.0 % +0.0 pp $351.1K 14,675
HELD DPRO DRAGANFLY INC. 0.0 % 0.0 % +0.0 pp $351.1K 64,777
HELD TDC TERADATA CORP DEL 0.0 % 0.0 % +0.0 pp $350.9K 10,126
HELD QDEC FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $350.3K 9,838
HELD BLOK AMPLIFY ETF TR 0.0 % 0.0 % +0.0 pp $350.2K 5,592
HELD NNBR NN INC 0.0 % 0.0 % +0.0 pp $350.1K 97,523
HELD RMBI RICHMOND MUT BANCORPORATION 0.0 % 0.0 % +0.0 pp $350.1K 22,047
HELD NFXL DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $350.1K 22,454
HELD ZH ZHIHU INC 0.0 % 0.0 % +0.0 pp $350.0K 111,816
HELD ROSC LATTICE STRATEGIES TR 0.0 % 0.0 % +0.0 pp $349.9K 6,255
HELD ? MOBILICOM LTD 0.0 % 0.0 % +0.0 pp $349.7K 68,176
HELD BTCW WISDOMTREE BITCOIN FD 0.0 % 0.0 % +0.0 pp $349.5K 5,637
HELD TAN INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $349.0K 5,900
HELD AFSC ABRDN FDS 0.0 % 0.0 % +0.0 pp $348.3K 8,864
HELD FDBC FIDELITY D & D BANCORP INC 0.0 % 0.0 % +0.0 pp $348.3K 6,774
HELD GTPE GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $348.3K 5,631
HELD ESUM STRATEGY SHS 0.0 % 0.0 % +0.0 pp $348.2K 11,367
HELD ? CREDICORP LTD 0.0 % 0.0 % +0.0 pp $347.9K 893
HELD DTI DRILLING TOOLS INTL CORP 0.0 % 0.0 % +0.0 pp $347.8K 180,212
HELD EAFG PACER FDS TR 0.0 % 0.0 % +0.0 pp $347.5K 13,171
HELD NERD LISTED FDS TR 0.0 % 0.0 % +0.0 pp $347.4K 17,341
HELD IQMM PROSHARES TR 0.0 % 0.0 % +0.0 pp $347.2K 3,470
HELD ? BEST SPAC I ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $347.0K 25,000
HELD PSCX PACER FDS TR 0.0 % 0.0 % +0.0 pp $346.8K 10,621
HELD ECNS ISHARES TR 0.0 % 0.0 % +0.0 pp $346.7K 12,310
HELD YLD PRINCIPAL EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $346.4K 18,153
HELD DDFO INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $345.8K 15,364
HELD BIBL NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $345.7K 5,973
HELD HVT HAVERTY FURNITURE COS INC 0.0 % 0.0 % +0.0 pp $345.3K 13,525
HELD KOPN KOPIN CORP 0.0 % 0.0 % +0.0 pp $345.2K 77,064
HELD TVAL T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $344.9K 8,274
HELD TILL LISTED FDS TR 0.0 % 0.0 % +0.0 pp $343.8K 19,870
HELD WISE THEMES ETF TR 0.0 % 0.0 % +0.0 pp $343.6K 8,890
HELD KSEP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $343.0K 11,121
HELD FOCL EDAP TMS S A 0.0 % 0.0 % +0.0 pp $342.8K 66,183
HELD RPAR TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $342.6K 15,391
HELD ASCE ALLSPRING EXCHANGE TRADED FU 0.0 % 0.0 % +0.0 pp $342.3K 9,754
HELD DAIO DATA I O CORP 0.0 % 0.0 % +0.0 pp $342.3K 86,869
HELD FIVA FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $342.2K 8,883
HELD RBIL RBB FD INC 0.0 % 0.0 % +0.0 pp $342.1K 6,857
HELD PUI INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $341.7K 7,186
HELD ? CI&T INC 0.0 % 0.0 % +0.0 pp $340.7K 102,020
HELD AVDE AMERICAN CENTY ETF TR 0.0 % 0.0 % +0.0 pp $340.7K 3,820
HELD XDQQ INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $339.9K 8,347
HELD KJAN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $339.9K 7,448
HELD LNGX GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $339.6K 8,446
HELD AMWL AMERICAN WELL CORP 0.0 % 0.0 % +0.0 pp $339.2K 37,198
HELD ZIP ZIPRECRUITER INC 0.0 % 0.0 % +0.0 pp $338.9K 90,378
HELD EJAN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $338.8K 9,413
HELD XPAY ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $337.8K 6,322
HELD QQQY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $337.8K 14,047
HELD PSCD INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $337.7K 2,853
HELD GDT WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $337.4K 10,059
HELD FSP FRANKLIN STR PPTYS CORP 0.0 % 0.0 % +0.0 pp $337.3K 654,954
HELD XNCMX NUVEEN CALIF AMT FREE MUNI I 0.0 % 0.0 % +0.0 pp $337.2K 26,909
HELD VDI VIRTUS ETF TR II 0.0 % 0.0 % +0.0 pp $337.1K 9,531
HELD GCBC GREENE CNTY BANCORP INC 0.0 % 0.0 % +0.0 pp $336.8K 10,027
HELD DDFL INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $336.7K 15,859
HELD ? SPRING VY ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $336.6K 32,810
HELD YCL PROSHARES TR II 0.0 % 0.0 % +0.0 pp $336.4K 19,362
HELD FYX FIRST TR EXCHANGE-TRADED ALP 0.0 % 0.0 % +0.0 pp $336.4K 2,331
HELD AIRO AIRO GROUP HLDGS INC 0.0 % 0.0 % +0.0 pp $336.3K 45,511
HELD FOR FORESTAR GROUP INC 0.0 % 0.0 % +0.0 pp $335.7K 10,607
HELD FDSB FIFTH DIST BANCORP INC 0.0 % 0.0 % +0.0 pp $335.6K 20,675
HELD PFL PIMCO INCOME STRATEGY FD 0.0 % 0.0 % +0.0 pp $335.4K 42,564
HELD AMR ALPHA METALLURGICAL RESOUR I 0.0 % 0.0 % +0.0 pp $335.3K 2,033
HELD SPWO SP FUNDS TRUST 0.0 % 0.0 % +0.0 pp $335.3K 9,697
HELD BTO HANCOCK JOHN FINL OPPTYS 0.0 % 0.0 % +0.0 pp $335.2K 8,503
HELD RKNG ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $335.1K 11,711
HELD SIF SIFCO INDS INC 0.0 % 0.0 % +0.0 pp $334.6K 14,300
HELD IJS ISHARES TR 0.0 % 0.0 % +0.0 pp $334.2K 2,445
HELD IPOS RENAISSANCE CAP GREENWICH FD 0.0 % 0.0 % +0.0 pp $334.2K 13,036
HELD ? OXLEY BRIDGE ACQ LTD 0.0 % 0.0 % +0.0 pp $332.6K 32,351
HELD IMUX IMMUNIC INC 0.0 % 0.0 % +0.0 pp $332.3K 21,620
HELD XPGPX PIMCO GLOBAL STOCKPLUS INCOM 0.0 % 0.0 % +0.0 pp $331.7K 38,483
HELD PXLW PIXELWORKS INC 0.0 % 0.0 % +0.0 pp $331.6K 53,179
HELD MQQQ INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $330.8K 1,347
HELD BAR GRANITESHARES GOLD TR 0.0 % 0.0 % +0.0 pp $330.7K 8,366
HELD RAAX VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $330.3K 8,325
HELD PLTY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $330.1K 11,638
HELD LITS LITE STRATEGY INC 0.0 % 0.0 % +0.0 pp $329.8K 357,529
HELD ANEW PROSHARES TR 0.0 % 0.0 % +0.0 pp $329.6K 6,399
HELD NRSH TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $329.6K 9,596
HELD VUS VIRTUS ETF TR II 0.0 % 0.0 % +0.0 pp $329.5K 11,051
HELD SGC SUPERIOR GROUP OF CO INC 0.0 % 0.0 % +0.0 pp $329.2K 25,089
HELD BBJP J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $328.7K 4,364
HELD SPSM SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $328.6K 5,698
HELD IMA IMAGENEBIO INC 0.0 % 0.0 % +0.0 pp $328.1K 55,610
HELD GRWG GROWGENERATION CORP 0.0 % 0.0 % +0.0 pp $327.7K 221,443
HELD KEMQ KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $327.6K 12,672
HELD AMPH AMPHASTAR PHARMACEUTICALS IN 0.0 % 0.0 % +0.0 pp $327.5K 16,231
HELD CFO VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $327.1K 4,085
HELD DFUS DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $327.1K 3,992
HELD ? STARLINK AI ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $326.9K 32,339
HELD FRNW FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $326.8K 13,404
HELD ? QUANTUM LEAP ACQUISITION COR 0.0 % 0.0 % +0.0 pp $326.7K 32,905
HELD EQTY VALUED ADVISERS TR 0.0 % 0.0 % +0.0 pp $326.4K 11,678
HELD BBDO BANCO BRADESCO S A 0.0 % 0.0 % +0.0 pp $325.8K 108,605
HELD EUSB ISHARES TR 0.0 % 0.0 % +0.0 pp $324.5K 7,469
HELD MFUL COLLABORATIVE INVESTMNT SER 0.0 % 0.0 % +0.0 pp $324.4K 14,473
HELD IDYN BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $323.7K 10,787
HELD TSMY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $323.5K 17,992
HELD MVISEUR MICROVISION INC DEL 0.0 % 0.0 % +0.0 pp $323.3K 988,779
HELD DLY DOUBLELINE YIELD OPPORTUNITI 0.0 % 0.0 % +0.0 pp $323.0K 22,958
HELD GRC GORMAN RUPP CO 0.0 % 0.0 % +0.0 pp $322.9K 3,520
HELD XPL SOLITARIO RESOURCES CORP 0.0 % 0.0 % +0.0 pp $322.8K 429,044
HELD AGZ ISHARES TR 0.0 % 0.0 % +0.0 pp $322.8K 2,954
HELD GDYN GRID DYNAMICS HLDGS INC 0.0 % 0.0 % +0.0 pp $322.7K 56,805
HELD PLU TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $322.2K 14,306
HELD USAU U S GOLD CORP 0.0 % 0.0 % +0.0 pp $320.9K 20,932
HELD JUST GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $320.7K 3,006
HELD NPFE ELEVATION SERIES TRUST 0.0 % 0.0 % +0.0 pp $320.6K 11,544
HELD INVE IDENTIV INC 0.0 % 0.0 % +0.0 pp $320.5K 127,172
HELD UST PROSHARES TR 0.0 % 0.0 % +0.0 pp $320.3K 7,573
HELD AFB ALLIANCEBERNSTEIN NATL MUN I 0.0 % 0.0 % +0.0 pp $320.3K 28,069
HELD XDTE ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $319.8K 8,182
HELD EQ EQUILLIUM INC 0.0 % 0.0 % +0.0 pp $318.9K 99,662
HELD MMK STATE STR INSTL INVT TR 0.0 % 0.0 % +0.0 pp $318.9K 3,180
HELD TOTR T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $317.9K 7,934
HELD DVY ISHARES TR 0.0 % 0.0 % +0.0 pp $317.8K 2,033
HELD ? FARADAY FUTURE INTLGT ELEC I 0.0 % 0.0 % +0.0 pp $317.4K 1,377,032
HELD NEUP NEUPHORIA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $317.1K 72,559
HELD IBMP ISHARES TR 0.0 % 0.0 % +0.0 pp $317.1K 12,473
HELD ? EURODRY LTD 0.0 % 0.0 % +0.0 pp $317.1K 14,484
HELD ZFEB INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $317.0K 12,198
HELD IBHH ISHARES TR 0.0 % 0.0 % +0.0 pp $316.7K 13,478
HELD JCAL J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $316.2K 6,283
HELD XGLQX CLOUGH GLOBAL EQUITY FD 0.0 % 0.0 % +0.0 pp $315.4K 36,594
HELD WAR ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $315.3K 9,145
HELD STXS STEREOTAXIS INC 0.0 % 0.0 % +0.0 pp $314.9K 183,087
HELD GANX GAIN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $313.7K 154,524
HELD NUEM NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $313.4K 7,386
HELD AAPR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $313.0K 10,613
HELD XRPI VOLATILITY SHS TR 0.0 % 0.0 % +0.0 pp $312.5K 54,438
HELD ? INFLARX NV 0.0 % 0.0 % +0.0 pp $312.0K 139,290
HELD BSTP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $311.8K 7,927
HELD AERO GRUPO AEROMEXICO SAB DE CV 0.0 % 0.0 % +0.0 pp $311.4K 17,302
HELD FXED TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $311.4K 17,766
HELD AAA INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $311.1K 12,495
HELD XNET XUNLEI LTD 0.0 % 0.0 % +0.0 pp $310.9K 55,565
HELD RCMT RCM TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $310.8K 11,009
HELD EXFY EXPENSIFY INC 0.0 % 0.0 % +0.0 pp $310.7K 173,558
HELD SOFX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $310.5K 30,187
HELD TAOX TAO SYNERGIES INC 0.0 % 0.0 % +0.0 pp $310.2K 83,172
HELD SPBC SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $309.9K 6,567
HELD IPSC CENTURY THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $309.9K 126,470
HELD RGS REGIS CORPORATION 0.0 % 0.0 % +0.0 pp $309.6K 11,058
HELD ? PRENETICS GLOBAL LTD 0.0 % 0.0 % +0.0 pp $309.5K 16,187
HELD LDDR STONE RIDGE TR 0.0 % 0.0 % +0.0 pp $309.4K 3,907
HELD BCAT BLACKROCK CAP ALLOCATION TER 0.0 % 0.0 % +0.0 pp $309.1K 19,405
HELD CBFV CB FINL SVCS INC 0.0 % 0.0 % +0.0 pp $309.1K 8,155
HELD HGRO ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $309.0K 9,858
HELD WCEO TWO RDS SHARED TR 0.0 % 0.0 % +0.0 pp $308.8K 8,057
HELD CSNR COHEN & STEERS ETF TRUST 0.0 % 0.0 % +0.0 pp $308.8K 9,247
HELD TAGS TEUCRIUM COMMODITY TR 0.0 % 0.0 % +0.0 pp $308.7K 12,949
HELD HPI HANCOCK JOHN PFD INCOME FD 0.0 % 0.0 % +0.0 pp $308.1K 19,004
HELD RSPR INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $307.9K 8,421
HELD SKYU PROSHARES TR 0.0 % 0.0 % +0.0 pp $307.8K 8,506
HELD AFDM FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $307.6K 3,532
HELD WRN WESTERN COPPER & GOLD CORP 0.0 % 0.0 % +0.0 pp $307.5K 137,284
HELD ? BLEICHROEDER ACQUISITI CORP 0.0 % 0.0 % +0.0 pp $307.4K 29,787
HELD FTH FAETH THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $307.4K 12,296
HELD ENDW EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $306.9K 9,177
HELD REGS COLUMBIA ETF TR I 0.0 % 0.0 % +0.0 pp $306.9K 27,206
HELD EFAX SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $306.2K 5,657
HELD ADX ADAMS DIVERSIFIED EQUITY FD 0.0 % 0.0 % +0.0 pp $306.1K 11,981
HELD EDOW FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $305.9K 6,938
HELD ACEL ACCEL ENTERTAINMENT INC 0.0 % 0.0 % +0.0 pp $305.6K 24,235
HELD EHTH EHEALTH INC 0.0 % 0.0 % +0.0 pp $305.5K 205,066
HELD CLOI VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $305.5K 5,770
HELD III INFORMATION SVCS GROUP INC 0.0 % 0.0 % +0.0 pp $305.4K 74,311
HELD AFK VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $305.1K 11,872
HELD KPRX KIORA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $305.1K 116,011
HELD IBMQ ISHARES TR 0.0 % 0.0 % +0.0 pp $304.9K 11,918
HELD MNLOUSD VYNE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $304.8K 468,457
HELD LAKE LAKELAND INDS INC 0.0 % 0.0 % +0.0 pp $304.6K 28,495
HELD SHG SHINHAN FINANCIAL GROUP CO L 0.0 % 0.0 % +0.0 pp $304.3K 4,811
HELD DMO WESTERN ASSET MTG DEFINED OP 0.0 % 0.0 % +0.0 pp $303.9K 28,371
HELD MVLL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $303.6K 5,290
HELD ISRA VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $303.2K 4,675
HELD WMTI REX ETF TR 0.0 % 0.0 % +0.0 pp $302.8K 13,691
HELD SCHM SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $302.8K 8,212
HELD DSPY TEMA ETF TRUST 0.0 % 0.0 % +0.0 pp $302.7K 4,598
HELD IDX VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $302.5K 30,555
HELD JRS NUVEEN REAL ESTATE INCOME FD 0.0 % 0.0 % +0.0 pp $302.2K 35,847
HELD FSML FRANKLIN TEMPLETON ETF TR 0.0 % 0.0 % +0.0 pp $302.1K 9,763
HELD EEA EUROPEAN EQUITY FD INC 0.0 % 0.0 % +0.0 pp $301.2K 27,395
HELD NDIA GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $301.1K 11,037
HELD WEA WESTERN ASSET PREMIER BD FD 0.0 % 0.0 % +0.0 pp $300.7K 28,238
HELD ZMAR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $300.6K 10,654
HELD GDRX GOODRX HLDGS INC 0.0 % 0.0 % +0.0 pp $300.1K 104,218
HELD DUOL DUOLINGO INC 0.0 % 0.0 % +0.0 pp $299.9K 2,607
HELD BLOX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $298.9K 19,208
HELD FCBC FIRST CMNTY BANKSHARES INC V 0.0 % 0.0 % +0.0 pp $298.8K 6,727
HELD ? THEMES ETF TR 0.0 % 0.0 % +0.0 pp $298.1K 7,590
HELD BLCV BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $297.5K 7,202
HELD DRES GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $297.4K 9,549
HELD AVOS EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $297.1K 11,030
HELD NXG NXG NEXTGEN INFRASTR INCM FD 0.0 % 0.0 % +0.0 pp $296.9K 4,588
HELD ION PROSHARES TR 0.0 % 0.0 % +0.0 pp $296.4K 5,830
HELD GVLE GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $296.2K 6,284
HELD BUCK SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $294.7K 12,582
HELD CBK COMMERCIAL BANCGROUP INC 0.0 % 0.0 % +0.0 pp $294.5K 9,120
HELD JSTC TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $294.3K 12,863
HELD EUAD SPINNAKER ETF SERIES 0.0 % 0.0 % +0.0 pp $293.7K 6,963
HELD TMAR FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $293.5K 11,272
HELD EFT EATON VANCE FLOATING RATE IN 0.0 % 0.0 % +0.0 pp $293.5K 27,178
HELD XBOC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $293.5K 8,262
HELD YB YUANBAO INC 0.0 % 0.0 % +0.0 pp $293.1K 19,235
HELD RCS PIMCO STRATEGIC INCOME FD 0.0 % 0.0 % +0.0 pp $292.4K 53,645
HELD IOO ISHARES TR 0.0 % 0.0 % +0.0 pp $291.9K 2,137
HELD NBH NEUBERGER MUN FD INC 0.0 % 0.0 % +0.0 pp $291.8K 27,655
HELD BKTI BK TECHNOLOGIES CORPORATION 0.0 % 0.0 % +0.0 pp $291.6K 3,391
HELD AFEM FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $290.2K 3,090
HELD IBDX ISHARES TR 0.0 % 0.0 % +0.0 pp $290.0K 11,514
HELD AFIF HORIZON FDS 0.0 % 0.0 % +0.0 pp $289.7K 30,801
HELD ? DIANA SHIPPING INC 0.0 % 0.0 % +0.0 pp $288.6K 137,413
HELD FLWS 1 800 FLOWERS COM INC 0.0 % 0.0 % +0.0 pp $288.6K 82,920
HELD EH EHANG HLDGS LTD 0.0 % 0.0 % +0.0 pp $288.5K 44,052
HELD CC CHEMOURS CO 0.0 % 0.0 % +0.0 pp $288.4K 14,056
HELD PPIH PERMA-PIPE INTL HLDGS INC 0.0 % 0.0 % +0.0 pp $288.0K 10,578
HELD JHCR JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $287.9K 11,401
HELD SCHE SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $287.7K 7,934
HELD QUBX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $287.5K 26,301
HELD VUSV VANGUARD WELLESLEY INCOME FD 0.0 % 0.0 % +0.0 pp $287.3K 4,205
HELD HQL ABRDN LIFE SCIENCES INVESTOR 0.0 % 0.0 % +0.0 pp $287.3K 14,356
HELD UNCY UNICYCIVE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $286.9K 61,168
HELD NBET NEUBERGER BERMAN ETF TRUST 0.0 % 0.0 % +0.0 pp $286.4K 7,322
HELD BTX BLACKROCK TECH AND PRIVATE E 0.0 % 0.0 % +0.0 pp $286.3K 31,701
HELD ALIL EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $285.7K 8,575
HELD SPYM SPDR SERIES TRUST 0.0 % 0.0 % +0.0 pp $285.4K 3,248
HELD PDSB PDS BIOTECHNOLOGY CORP 0.0 % 0.0 % +0.0 pp $285.3K 323,801
HELD NODK NI HLDGS INC 0.0 % 0.0 % +0.0 pp $285.3K 18,159
HELD ABIG EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $284.9K 8,236
HELD PRCT PROCEPT BIOROBOTICS CORP 0.0 % 0.0 % +0.0 pp $284.8K 12,612
HELD IXC ISHARES TR 0.0 % 0.0 % +0.0 pp $284.7K 5,794
HELD ESCA ESCALADE INC 0.0 % 0.0 % +0.0 pp $284.4K 15,142
HELD ? THEMES ETF TR 0.0 % 0.0 % +0.0 pp $283.6K 7,324
HELD CMT CORE MOLDING TECHNOLOGIES IN 0.0 % 0.0 % +0.0 pp $283.5K 12,012
HELD HSTM HEALTHSTREAM INC 0.0 % 0.0 % +0.0 pp $282.9K 10,383
HELD MVAL VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $282.9K 7,741
HELD HBCP HOMEBANCORP INC 0.0 % 0.0 % +0.0 pp $282.6K 4,124
HELD BCPL BNY MELLON ETF TRUST II 0.0 % 0.0 % +0.0 pp $282.5K 11,328
HELD RDTE ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $282.5K 9,552
HELD MFIN MEDALLION FINANCIAL CORP 0.0 % 0.0 % +0.0 pp $282.4K 27,659
HELD FMED FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $282.3K 9,896
HELD KOCT INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $281.5K 7,535
HELD XHLF BONDBLOXX ETF TRUST 0.0 % 0.0 % +0.0 pp $281.4K 5,594
HELD LESL LESLIES INC 0.0 % 0.0 % +0.0 pp $280.6K 27,645
HELD SDVY FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $280.5K 6,503
HELD HIO WESTERN ASSET HIGH INCOME OP 0.0 % 0.0 % +0.0 pp $280.4K 77,036
HELD GBUG SPROTT FDS TR 0.0 % 0.0 % +0.0 pp $280.3K 7,178
HELD HYBI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $280.3K 5,691
HELD DSL DOUBLELINE INCOME SOLUTIONS 0.0 % 0.0 % +0.0 pp $280.2K 25,335
HELD ? STARLINK AI ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $280.0K 28,286
HELD OAKG HARRIS OAKMARK ETF TRUST 0.0 % 0.0 % +0.0 pp $279.9K 11,136
HELD DUKRW DUKE ROBOTICS CORP 0.0 % 0.0 % +0.0 pp $279.6K 216,748
HELD NVYY GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $279.6K 22,016
HELD PPSI PIONEER PWR SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $278.9K 70,794
HELD LCUT LIFETIME BRANDS INC 0.0 % 0.0 % +0.0 pp $278.7K 32,675
HELD MBGL MOBILITY GLOBAL INC 0.0 % 0.0 % +0.0 pp $278.7K 12,639
HELD FPXE FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $278.6K 7,989
HELD GAL SSGA ACTIVE ETF TR 0.0 % 0.0 % +0.0 pp $278.6K 5,272
HELD IVOO VANGUARD ADMIRAL FDS INC 0.0 % 0.0 % +0.0 pp $278.0K 2,132
HELD GLOW VICTORY PORTFOLIOS II 0.0 % 0.0 % +0.0 pp $278.0K 8,025
HELD DCBO DOCEBO INC 0.0 % 0.0 % +0.0 pp $278.0K 15,529
HELD ACFN ACORN ENERGY INC 0.0 % 0.0 % +0.0 pp $277.9K 16,321
HELD TYLD CAMBRIA ETF TR 0.0 % 0.0 % +0.0 pp $277.9K 10,995
HELD BSTU INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $277.4K 11,030
HELD BOAT TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $277.4K 7,316
HELD ? NORTHFIELD BANCORP INC DEL 0.0 % 0.0 % +0.0 pp $277.1K 18,812
HELD FSI FLEXIBLE SOLUTIONS INTL INC 0.0 % 0.0 % +0.0 pp $276.5K 41,514
HELD CVU CPI AEROSTRUCTURES INC 0.0 % 0.0 % +0.0 pp $276.4K 53,250
HELD TAOZ THORNBURG INVT TR 0.0 % 0.0 % +0.0 pp $276.3K 3,217
HELD QAT ISHARES TR 0.0 % 0.0 % +0.0 pp $276.3K 15,348
HELD JTNY J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $276.1K 5,502
HELD CTOS CUSTOM TRUCK ONE SOURCE INC 0.0 % 0.0 % +0.0 pp $275.2K 23,304
HELD ARCT ARCTURUS THERAPEUTICS HLDGS 0.0 % 0.0 % +0.0 pp $275.2K 40,946
HELD CVSB MORGAN STANLEY ETF TRUST 0.0 % 0.0 % +0.0 pp $274.7K 5,424
HELD ? ASTRONOVA INC 0.0 % 0.0 % +0.0 pp $274.3K 9,634
HELD DJIA GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $273.4K 12,350
HELD TJUL INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $273.1K 9,035
HELD TPFC TIMOTHY PLAN 0.0 % 0.0 % +0.0 pp $273.0K 10,959
HELD EEMO INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $272.5K 11,194
HELD PBD INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $272.4K 13,896
HELD ASGI ABRDN GLOBAL INFRA INCOME FU 0.0 % 0.0 % +0.0 pp $271.9K 11,693
HELD MHY MAN ETF SER TR 0.0 % 0.0 % +0.0 pp $271.3K 10,687
HELD FUSB FIRST US BANCSHARES INC 0.0 % 0.0 % +0.0 pp $271.2K 16,388
HELD PBP INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $271.0K 11,832
HELD CGV TWO RDS SHARED TR 0.0 % 0.0 % +0.0 pp $270.7K 17,433
HELD BRAZ GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $270.2K 9,229
HELD BKSE BNY MELLON ETF TRUST 0.0 % 0.0 % +0.0 pp $269.8K 2,007
HELD XEVTX EATON VANCE TAX ADVT DIV INC 0.0 % 0.0 % +0.0 pp $269.6K 9,741
HELD MINN TRUST FOR PROFESSIONAL MANAG 0.0 % 0.0 % +0.0 pp $269.6K 12,039
HELD PID INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $269.2K 12,128
HELD PDX PIMCO DYNAMIC INCOME STRATEG 0.0 % 0.0 % +0.0 pp $268.9K 12,917
HELD SMDV PROSHARES TR 0.0 % 0.0 % +0.0 pp $268.6K 3,487
HELD TSLR GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $268.0K 11,009
HELD GPTY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $267.8K 5,835
HELD ZCBA GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $267.0K 5,421
HELD MBI MBIA INC 0.0 % 0.0 % +0.0 pp $267.0K 40,954
HELD VHC VIRNETX HLDG CORP 0.0 % 0.0 % +0.0 pp $267.0K 21,024
HELD DIVY TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $266.9K 9,203
HELD ? BLUEMONT HLDGS LTD 0.0 % 0.0 % +0.0 pp $266.7K 46,878
HELD OILT TEXAS CAPITAL FUNDS TRUST 0.0 % 0.0 % +0.0 pp $266.7K 9,860
HELD ? MKDWELL TECH INC 0.0 % 0.0 % +0.0 pp $266.6K 22,401
HELD PIEQ PRINCIPAL EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $266.0K 7,411
HELD INO INOVIO PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $266.0K 241,775
HELD XSHD INVESCO EXCH TRADED FD TR II 0.0 % 0.0 % +0.0 pp $265.4K 18,795
HELD OAIM UNIFIED SER TR 0.0 % 0.0 % +0.0 pp $265.2K 5,545
HELD PEY INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $265.0K 11,434
HELD AIB AIB DATA CENTERS INC 0.0 % 0.0 % +0.0 pp $265.0K 124,999
HELD ACVU HARTFORD FDS EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $264.2K 8,465
HELD CCLD CARECLOUD INC 0.0 % 0.0 % +0.0 pp $264.0K 124,523
HELD SEEM SEI EXCHANGE TRADED FUNDS 0.0 % 0.0 % +0.0 pp $263.7K 6,576
HELD TG TREDEGAR CORP 0.0 % 0.0 % +0.0 pp $263.2K 33,070
HELD XEVVX EATON VANCE LIMITED DURATION 0.0 % 0.0 % +0.0 pp $263.2K 28,089
HELD LQDW ISHARES TR 0.0 % 0.0 % +0.0 pp $263.1K 10,951
HELD TFGZ THORNBURG INVT TR 0.0 % 0.0 % +0.0 pp $263.0K 7,235
HELD LYEL LYELL IMMUNOPHARMA INC 0.0 % 0.0 % +0.0 pp $262.7K 18,695
HELD CIK CREDIT SUISSE ASSET MGMT 0.0 % 0.0 % +0.0 pp $262.5K 105,836
HELD AMDL GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $262.1K 3,167
HELD CET CENTRAL SECS CORP 0.0 % 0.0 % +0.0 pp $261.9K 4,993
HELD WDH WATERDROP INC 0.0 % 0.0 % +0.0 pp $261.9K 231,742
HELD HOLA J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $261.6K 4,725
HELD CTEC GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $261.4K 4,037
HELD MLCI MOUNT LOGAN CAP INC 0.0 % 0.0 % +0.0 pp $261.2K 75,927
HELD ? KORE GROUP HLDGS INC 0.0 % 0.0 % +0.0 pp $261.1K 28,284
HELD WUGI INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $261.0K 2,713
HELD JNEU AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $260.7K 7,870
HELD EOCT INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $260.7K 7,632
HELD FTXH FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $260.5K 6,822
HELD TAXT NORTHERN FDS 0.0 % 0.0 % +0.0 pp $260.2K 5,033
HELD CFFI C & F FINL CORP 0.0 % 0.0 % +0.0 pp $260.0K 3,250
HELD TEK BLACKROCK ETF TRUST 0.0 % 0.0 % +0.0 pp $259.6K 6,092
HELD COPA THEMES ETF TR 0.0 % 0.0 % +0.0 pp $259.3K 5,375
HELD IBHI ISHARES TR 0.0 % 0.0 % +0.0 pp $259.3K 11,086
HELD ? CANTOR EQUITY PARTNERS VI IN 0.0 % 0.0 % +0.0 pp $259.3K 25,000
HELD GKAT ADVISORS SER TR 0.0 % 0.0 % +0.0 pp $259.2K 6,004
HELD DUOG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $259.0K 6,688
HELD WANT DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $258.6K 6,029
HELD XBGYX BLACKROCK ENHANCED INTL DIV 0.0 % 0.0 % +0.0 pp $258.6K 45,048
HELD INDE MATTHEWS INTL FDS 0.0 % 0.0 % +0.0 pp $258.1K 8,724
HELD DMB BNY MELLON MUN BD INFRASTRUC 0.0 % 0.0 % +0.0 pp $257.9K 23,361
HELD TAXE T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $257.8K 5,028
HELD SRHR ELEVATION SERIES TRUST 0.0 % 0.0 % +0.0 pp $257.5K 4,332
HELD FSMD FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $257.3K 4,869
HELD GNLX GENELUX CORPORATION 0.0 % 0.0 % +0.0 pp $257.3K 85,481
HELD KELYA KELLY SVCS INC 0.0 % 0.0 % +0.0 pp $256.8K 20,909
HELD KAI KADANT INC 0.0 % 0.0 % +0.0 pp $256.7K 817
HELD BFRG BULLFROG AI HLDGS INC 0.0 % 0.0 % +0.0 pp $256.7K 361,546
HELD SHPU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $256.4K 22,994
HELD BSET BASSETT FURNITURE INDS INC 0.0 % 0.0 % +0.0 pp $256.0K 14,445
HELD BHK BLACKROCK CORE BD TR 0.0 % 0.0 % +0.0 pp $255.9K 27,902
HELD UTWY RBB FD INC 0.0 % 0.0 % +0.0 pp $255.8K 5,994
HELD INVG GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $255.7K 10,065
HELD PFN PIMCO INCOME STRATEGY FD II 0.0 % 0.0 % +0.0 pp $255.2K 35,795
HELD LEMB ISHARES INC 0.0 % 0.0 % +0.0 pp $255.1K 6,013
HELD JIG J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $255.0K 2,925
HELD XMPT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $254.8K 11,406
HELD DDFJ INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $254.5K 12,872
HELD CEFS EXCHANGE LISTED FDS TR 0.0 % 0.0 % +0.0 pp $254.2K 9,914
HELD VONG VANGUARD SCOTTSDALE FDS 0.0 % 0.0 % +0.0 pp $254.0K 1,987
HELD RWX SPDR INDEX SHS FDS 0.0 % 0.0 % +0.0 pp $253.8K 9,395
HELD BSMR INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $253.5K 10,722
HELD EU ENCORE ENERGY CORP 0.0 % 0.0 % +0.0 pp $253.3K 193,351
HELD NITE CAPITOL SER TR 0.0 % 0.0 % +0.0 pp $253.0K 6,844
HELD MSGM MOTORSPORT GAMES INC 0.0 % 0.0 % +0.0 pp $252.9K 63,235
HELD FMAG FIDELITY COVINGTON TRUST 0.0 % 0.0 % +0.0 pp $252.9K 6,878
HELD FNRN FIRST NORTHN CMNTY BANCORP 0.0 % 0.0 % +0.0 pp $252.8K 14,092
HELD CBIL CORGI ETF TR I 0.0 % 0.0 % +0.0 pp $251.8K 10,057
HELD WLKP WESTLAKE CHEM PARTNERS LP 0.0 % 0.0 % +0.0 pp $251.6K 11,303
HELD GDXY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $251.5K 24,901
HELD BWEN BROADWIND INC 0.0 % 0.0 % +0.0 pp $251.4K 52,045
HELD MKOR MATTHEWS ASIA FDS 0.0 % 0.0 % +0.0 pp $250.7K 3,779
HELD EPP ISHARES INC 0.0 % 0.0 % +0.0 pp $250.6K 4,706
HELD NVDX ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $250.6K 14,759
HELD SPAM THEMES ETF TR 0.0 % 0.0 % +0.0 pp $250.5K 5,951
HELD UJAN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $250.1K 5,518
HELD STHO STAR HLDGS 0.0 % 0.0 % +0.0 pp $249.6K 27,336
HELD TRBF ANGEL OAK FUNDS TRUST 0.0 % 0.0 % +0.0 pp $249.3K 5,052
HELD GRNB VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $249.2K 10,325
HELD ? AMPERCAP ACQUISITION CO 0.0 % 0.0 % +0.0 pp $249.1K 24,790
HELD SMB VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $248.9K 14,345
HELD OPHC OPTIMUMBANK HLDGS INC 0.0 % 0.0 % +0.0 pp $248.9K 42,613
HELD XLO XILIO THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $248.6K 25,950
HELD FISR SSGA ACTIVE TR 0.0 % 0.0 % +0.0 pp $248.3K 9,682
HELD GOTU GAOTU TECHEDU INC 0.0 % 0.0 % +0.0 pp $247.8K 149,285
HELD MQY BLACKROCK MUNIYILD QULT FD I 0.0 % 0.0 % +0.0 pp $247.2K 21,311
HELD DBEZ DBX ETF TR 0.0 % 0.0 % +0.0 pp $246.3K 3,929
HELD ? CBRE GBL REAL ESTATE INC FD 0.0 % 0.0 % +0.0 pp $245.8K 53,319
HELD RFDA ALPS ETF TR 0.0 % 0.0 % +0.0 pp $245.6K 3,488
HELD BAIG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $245.5K 9,458
HELD SABS SAB BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $244.9K 62,797
HELD BSGR INVESCO EXCH TRD SLF IDX FD 0.0 % 0.0 % +0.0 pp $244.8K 9,773
HELD GWRS GLOBAL WTR RES INC 0.0 % 0.0 % +0.0 pp $244.7K 33,802
HELD TRUD VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $244.6K 9,422
HELD TMFM RBB FD INC 0.0 % 0.0 % +0.0 pp $244.1K 11,287
HELD BCIC BCP INVESTMENT CORPORATION 0.0 % 0.0 % +0.0 pp $244.0K 33,515
HELD SIFI HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $243.8K 5,577
HELD SUIG SUI GROUP HOLDINGS LIMITED 0.0 % 0.0 % +0.0 pp $243.8K 210,142
HELD AGM/A FEDERAL AGRIC MTG CORP 0.0 % 0.0 % +0.0 pp $243.5K 1,693
HELD RCKT ROCKET PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $243.4K 71,170
HELD SEPW AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $243.0K 7,277
HELD RGEF TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $243.0K 6,944
HELD OBIO ORCHESTRA BIOMED HLDGS INC 0.0 % 0.0 % +0.0 pp $242.5K 56,191
HELD GOAU ETF SER SOLUTIONS 0.0 % 0.0 % +0.0 pp $242.4K 6,518
HELD TSEP FIRST TR EXCHNG TRADED FD VI 0.0 % 0.0 % +0.0 pp $242.1K 9,311
HELD SROI CALAMOS ETF TR 0.0 % 0.0 % +0.0 pp $242.0K 6,465
HELD MEGI NYLI CBRE GBL INFR MEGTRNDS 0.0 % 0.0 % +0.0 pp $241.9K 15,917
HELD CLPR CLIPPER RLTY INC 0.0 % 0.0 % +0.0 pp $241.8K 88,886
HELD CHCI COMSTOCK HLDG COS INC 0.0 % 0.0 % +0.0 pp $241.6K 15,111
HELD VKQ INVESCO MUNICIPAL TRUST 0.0 % 0.0 % +0.0 pp $241.6K 24,060
HELD CPXR TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $241.5K 8,305
HELD TPSC TIMOTHY PLAN 0.0 % 0.0 % +0.0 pp $241.1K 5,025
HELD JMID JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $241.0K 7,595
HELD CLST CATALYST BANCORP INC 0.0 % 0.0 % +0.0 pp $240.7K 14,582
HELD YALA YALLA GROUP LTD 0.0 % 0.0 % +0.0 pp $239.6K 43,652
HELD PQAP PGIM ROCK ETF TR 0.0 % 0.0 % +0.0 pp $239.1K 7,464
HELD FOWF PACER FDS TR 0.0 % 0.0 % +0.0 pp $238.8K 7,107
HELD DWSN DAWSON GEOPHYSICAL CO NEW 0.0 % 0.0 % +0.0 pp $238.7K 40,178
HELD DSM BNY MELLON STRATEGIC MUN BD 0.0 % 0.0 % +0.0 pp $238.6K 38,790
HELD XNDX INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $238.5K 18,694
HELD RAIL FREIGHTCAR AMER INC 0.0 % 0.0 % +0.0 pp $238.3K 24,471
HELD EDGH ADVISORS INNER CIRCLE FD II 0.0 % 0.0 % +0.0 pp $237.7K 7,473
HELD FEIG FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $237.2K 5,800
HELD GXPC GLOBAL X FDS 0.0 % 0.0 % +0.0 pp $237.1K 7,960
HELD BMEZ BLACKROCK HEALTH SCIENCES TE 0.0 % 0.0 % +0.0 pp $237.1K 15,445
HELD PXE INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $236.9K 6,993
HELD AINT TIDAL TRUST I 0.0 % 0.0 % +0.0 pp $236.7K 8,167
HELD LENS EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $236.6K 6,100
HELD BNR BURNING ROCK BIOTECH LTD 0.0 % 0.0 % +0.0 pp $236.6K 27,288
HELD BLDX IMPAX FUNDS SERIES TRUST I 0.0 % 0.0 % +0.0 pp $236.5K 9,076
HELD JRSH JERASH HLDGS US INC 0.0 % 0.0 % +0.0 pp $236.1K 49,093
HELD JSI JANUS DETROIT STR TR 0.0 % 0.0 % +0.0 pp $236.1K 4,611
HELD ULE PROSHARES TR II 0.0 % 0.0 % +0.0 pp $235.8K 19,083
HELD FBIO FORTRESS BIOTECH INC 0.0 % 0.0 % +0.0 pp $235.8K 77,065
HELD TIL INSTIL BIO INC 0.0 % 0.0 % +0.0 pp $235.6K 30,639
HELD APOC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $234.9K 8,937
HELD FTF FRANKLIN LTD DURATION INCOME 0.0 % 0.0 % +0.0 pp $234.8K 40,557
HELD GLXU ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $234.7K 25,992
HELD STBF TRUST FOR PROFESSIONAL MANAG 0.0 % 0.0 % +0.0 pp $234.6K 9,244
HELD ZSEP INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $234.6K 8,512
HELD CGIB CAPITAL GRP FIXED INCM ETF T 0.0 % 0.0 % +0.0 pp $234.3K 9,176
HELD NSI NORTHERN LTS FD TR IV 0.0 % 0.0 % +0.0 pp $234.2K 6,074
HELD NUSC NUSHARES ETF TR 0.0 % 0.0 % +0.0 pp $234.2K 4,494
HELD MAGC ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $234.0K 13,783
HELD SKE SKEENA RES LTD NEW 0.0 % 0.0 % +0.0 pp $233.9K 8,773
HELD GMOD GMO ETF TRUST 0.0 % 0.0 % +0.0 pp $233.8K 8,542
HELD WIW WESTERN AST INFL LKD OPP & I 0.0 % 0.0 % +0.0 pp $233.8K 27,829
HELD TSCV THRIVENT ETF TRUST 0.0 % 0.0 % +0.0 pp $233.7K 7,151
HELD EUDG WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $233.6K 6,011
HELD RSMC TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $233.5K 8,074
HELD NBXG NEUBERGER NEXT GENERATION 0.0 % 0.0 % +0.0 pp $233.3K 14,107
HELD AAEQ EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $233.2K 4,385
HELD YLDE LEGG MASON ETF INVT 0.0 % 0.0 % +0.0 pp $232.4K 4,178
HELD MFM ABERDEEN MUN INCOME FD 0.0 % 0.0 % +0.0 pp $232.4K 41,345
HELD PIT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $231.8K 3,512
HELD DBD DIEBOLD NIXDORF INC 0.0 % 0.0 % +0.0 pp $231.0K 2,717
HELD SMUP ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $230.8K 35,182
HELD IDOG ALPS ETF TR 0.0 % 0.0 % +0.0 pp $230.3K 5,593
HELD NTWK NETSOL TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $230.1K 49,802
HELD GCTS GCT SEMICONDUCTOR HLDG INC 0.0 % 0.0 % +0.0 pp $229.2K 77,168
HELD SWAG STRAN & COMPANY INC 0.0 % 0.0 % +0.0 pp $228.5K 102,465
HELD NIM NUVEEN SELECT MAT MUN FD 0.0 % 0.0 % +0.0 pp $228.5K 24,253
HELD AUGT AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $228.4K 6,002
HELD JRI NUVEEN REAL ASSET INCOME & G 0.0 % 0.0 % +0.0 pp $228.4K 17,623
HELD PAXS PIMCO ACCESS INCOME FUND 0.0 % 0.0 % +0.0 pp $228.2K 15,682
HELD CCNR FINANCIAL INVS TR 0.0 % 0.0 % +0.0 pp $228.1K 6,118
HELD FMUN FIDELITY MERRIMACK STR TR 0.0 % 0.0 % +0.0 pp $228.0K 4,523
HELD BDRY AMPLIFY COMMODITY TRUST 0.0 % 0.0 % +0.0 pp $228.0K 19,207
HELD NBTX NANOBIOTIX 0.0 % 0.0 % +0.0 pp $227.8K 6,042
HELD TARK INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $227.7K 4,744
HELD DFSU DIMENSIONAL ETF TRUST 0.0 % 0.0 % +0.0 pp $227.6K 4,882
HELD AM ANTERO MIDSTREAM CORP 0.0 % 0.0 % +0.0 pp $227.6K 10,006
HELD RBCAA REPUBLIC BANCORP INC KY 0.0 % 0.0 % +0.0 pp $227.6K 2,517
HELD UNB UNION BANKSHARES INC 0.0 % 0.0 % +0.0 pp $227.6K 9,381
HELD ? WALLBOX NV 0.0 % 0.0 % +0.0 pp $227.5K 59,563
HELD TRUH VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $226.9K 8,171
HELD ACKY TIDAL TRUST III 0.0 % 0.0 % +0.0 pp $226.8K 13,100
HELD BKCG BNY MELLON ETF TRUST II 0.0 % 0.0 % +0.0 pp $226.1K 6,062
HELD BGT BLACKROCK FLOATING RATE INC 0.0 % 0.0 % +0.0 pp $226.0K 21,200
HELD DMX DOUBLELINE ETF TRUST 0.0 % 0.0 % +0.0 pp $225.7K 4,492
HELD 09S0 SCHWAB STRATEGIC TR 0.0 % 0.0 % +0.0 pp $225.3K 7,032
HELD MYI BLACKROCK MUNIYIELD QUALITY 0.0 % 0.0 % +0.0 pp $225.3K 20,276
HELD FALN ISHARES TR 0.0 % 0.0 % +0.0 pp $225.2K 8,269
HELD TYG TORTOISE ENERGY INFRSTRCTR C 0.0 % 0.0 % +0.0 pp $225.0K 5,249
HELD QCMU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $224.5K 9,134
HELD PRGS PROGRESS SOFTWARE CORP 0.0 % 0.0 % +0.0 pp $224.5K 6,685
HELD SXQG EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $224.5K 7,137
HELD ? TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $223.9K 14,920
HELD ? APOLLOMICS INC 0.0 % 0.0 % +0.0 pp $223.5K 10,664
HELD FCAL FIRST TR EXCH TRADED FD III 0.0 % 0.0 % +0.0 pp $223.4K 4,500
HELD QLVD FLEXSHARES TR 0.0 % 0.0 % +0.0 pp $223.3K 6,864
HELD BSRR SIERRA BANCORP 0.0 % 0.0 % +0.0 pp $223.1K 5,474
HELD VTVT VTV THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $222.4K 5,906
HELD SIFY SIFY TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $222.3K 13,381
HELD SEPI SCM TRUST 0.0 % 0.0 % +0.0 pp $222.2K 7,980
HELD ? SOPHIA GENETICS SA 0.0 % 0.0 % +0.0 pp $222.1K 38,497
HELD SYZ LAZARD ACTIVE ETF TR 0.0 % 0.0 % +0.0 pp $221.8K 7,170
HELD NLSI NEOS ETF TRUST 0.0 % 0.0 % +0.0 pp $221.7K 4,343
HELD LTTI FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $221.6K 12,013
HELD ? COMPUGEN LTD 0.0 % 0.0 % +0.0 pp $221.5K 103,526
HELD XOEX DBX ETF TR 0.0 % 0.0 % +0.0 pp $221.2K 5,467
HELD LTBR LIGHTBRIDGE CORP 0.0 % 0.0 % +0.0 pp $221.1K 25,153
HELD SVOL SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $220.5K 13,745
HELD GMNY GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $220.4K 4,379
HELD VPC ETFIS SER TR I 0.0 % 0.0 % +0.0 pp $220.3K 14,742
HELD JDVL JOHN HANCOCK EXCHANGE TRADED 0.0 % 0.0 % +0.0 pp $220.1K 6,955
HELD ? DANAOS CORPORATION 0.0 % 0.0 % +0.0 pp $219.8K 1,796
HELD HLLY HOLLEY INC 0.0 % 0.0 % +0.0 pp $219.7K 86,141
HELD MUC BLACKROCK MUNIHLDNGS CALI 0.0 % 0.0 % +0.0 pp $219.4K 19,962
HELD HIGH SIMPLIFY EXCHANGE TRADED FUN 0.0 % 0.0 % +0.0 pp $219.4K 10,142
HELD BOLT BOLT BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $219.1K 56,903
HELD VPV INVESCO PA VALUE MUN INC TR 0.0 % 0.0 % +0.0 pp $219.1K 19,351
HELD BCX BLACKROCK RES & COMMODITIES 0.0 % 0.0 % +0.0 pp $219.0K 19,366
HELD KVHI KVH INDS INC 0.0 % 0.0 % +0.0 pp $218.5K 22,046
HELD TRAK REPOSITRAK INC 0.0 % 0.0 % +0.0 pp $218.4K 24,272
HELD ? GP-ACT III ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $218.2K 20,039
HELD PMCB PHARMACYTE BIOTECH INC 0.0 % 0.0 % +0.0 pp $218.2K 283,381
HELD MGF MFS GOVT MKTS INCOME TR 0.0 % 0.0 % +0.0 pp $218.0K 75,970
HELD TJAN INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $217.6K 7,731
HELD XBMNX BLACKROCK 2037 MUNICIPAL TAR 0.0 % 0.0 % +0.0 pp $217.6K 8,465
HELD CPAC CEMENTOS PACASMAYO S A A 0.0 % 0.0 % +0.0 pp $217.5K 18,182
HELD GLDW ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $217.4K 5,316
HELD ? VEEA INC 0.0 % 0.0 % +0.0 pp $217.2K 920,181
HELD OPI OFFICE PPTYS INCOME TR 0.0 % 0.0 % +0.0 pp $217.1K 12,768
HELD SQNS SEQUANS COMMUNICATIONS S A 0.0 % 0.0 % +0.0 pp $217.0K 63,823
HELD ? INTERCORP FINL SVCS INC 0.0 % 0.0 % +0.0 pp $216.8K 3,807
HELD EZRO LISTED FDS TR 0.0 % 0.0 % +0.0 pp $216.8K 8,470
HELD DDTF INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $216.3K 10,683
HELD GDOC GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $216.2K 5,995
HELD EHLS TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $215.7K 8,049
HELD AOCT INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $215.6K 7,882
HELD RGTX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $215.4K 11,644
HELD WAGN PROFESIONALLY MANAGED PORTFO 0.0 % 0.0 % +0.0 pp $215.4K 15,655
HELD IVVB BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $215.1K 6,211
HELD ? POLYPID LTD 0.0 % 0.0 % +0.0 pp $214.8K 42,282
HELD ? VALENS SEMICONDUCTOR LTD 0.0 % 0.0 % +0.0 pp $214.7K 95,007
HELD VOE VANGUARD INDEX FDS 0.0 % 0.0 % +0.0 pp $214.6K 1,086
HELD SCLX SCILEX HOLDING CO 0.0 % 0.0 % +0.0 pp $214.5K 27,497
HELD RYM RYTHM INC 0.0 % 0.0 % +0.0 pp $214.4K 8,416
HELD FSBW FS BANCORP INC 0.0 % 0.0 % +0.0 pp $214.0K 4,932
HELD EFZ PROSHARES TR 0.0 % 0.0 % +0.0 pp $213.9K 9,307
HELD IROC INVESCO ACTIVELY MANAGED EXC 0.0 % 0.0 % +0.0 pp $213.5K 4,164
HELD SMOT VANECK ETF TRUST 0.0 % 0.0 % +0.0 pp $213.1K 5,484
HELD EAGG ISHARES TR 0.0 % 0.0 % +0.0 pp $213.1K 4,494
HELD LSF LAIRD SUPERFOOD INC 0.0 % 0.0 % +0.0 pp $213.0K 45,316
HELD POCI PRECISION OPTICS CORP INC MA 0.0 % 0.0 % +0.0 pp $212.8K 41,735
HELD SEPN SEPTERNA INC 0.0 % 0.0 % +0.0 pp $212.7K 6,350
HELD SUPV GRUPO SUPERVIELLE S.A. 0.0 % 0.0 % +0.0 pp $211.8K 21,929
HELD KDEC INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $211.5K 7,451
HELD HEEM ISHARES INC 0.0 % 0.0 % +0.0 pp $211.1K 4,720
HELD ? TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $210.8K 82,015
HELD BTAIQ BIOXCEL THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $210.4K 149,220
HELD BKMS BNY MELLON ETF TRUST II 0.0 % 0.0 % +0.0 pp $210.4K 8,238
HELD WRAP WRAP TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $210.4K 163,077
HELD PAB PGIM ETF TR 0.0 % 0.0 % +0.0 pp $210.2K 4,989
HELD TSI TCW STRATEGIC INCOME FD INC 0.0 % 0.0 % +0.0 pp $210.1K 46,592
HELD SPCQ TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $210.1K 15,525
HELD ALAR ALARUM TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $209.9K 26,105
HELD DTEC ALPS ETF TR 0.0 % 0.0 % +0.0 pp $209.8K 4,357
HELD ? MDXHEALTH SA 0.0 % 0.0 % +0.0 pp $209.3K 509,674
HELD NC NACCO INDS INC 0.0 % 0.0 % +0.0 pp $208.9K 4,174
HELD MARW AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $208.7K 5,780
HELD ? FUTURE MONEY ACQUISITION COR 0.0 % 0.0 % +0.0 pp $208.5K 20,601
HELD CEPI ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $208.4K 6,150
HELD GGUS GOLDMAN SACHS ETF TR 0.0 % 0.0 % +0.0 pp $208.3K 3,052
HELD PEO ADAM NAT RES FD INC 0.0 % 0.0 % +0.0 pp $208.2K 8,422
HELD BRES EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $207.9K 7,726
HELD LPCN LIPOCINE INC NEW 0.0 % 0.0 % +0.0 pp $207.9K 81,221
HELD SEV APTERA MOTORS CORP 0.0 % 0.0 % +0.0 pp $207.3K 84,616
HELD IMOM EA SERIES TRUST 0.0 % 0.0 % +0.0 pp $207.1K 4,786
HELD JPSE J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $206.5K 3,432
HELD BDVG LITMAN GREGORY FDS TR 0.0 % 0.0 % +0.0 pp $206.5K 14,474
HELD CVM CEL-SCI CORP 0.0 % 0.0 % +0.0 pp $206.4K 198,500
HELD VHI VALHI INC NEW 0.0 % 0.0 % +0.0 pp $206.2K 14,055
HELD INDI INDIE SEMICONDUCTOR INC 0.0 % 0.0 % +0.0 pp $206.1K 45,905
HELD PGJ INVESCO EXCHANGE TRADED FD T 0.0 % 0.0 % +0.0 pp $206.0K 9,127
HELD MYPS PLAYSTUDIOS INC 0.0 % 0.0 % +0.0 pp $205.9K 412,684
HELD TYGO TIGO ENERGY INC 0.0 % 0.0 % +0.0 pp $205.7K 88,290
HELD CARZ FIRST TR EXCHANGE-TRADED FD 0.0 % 0.0 % +0.0 pp $205.5K 1,734
HELD SOXSGBP DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $205.5K 63,425
HELD TTEC TTEC HLDGS INC 0.0 % 0.0 % +0.0 pp $205.4K 105,898
HELD NVDU DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $205.4K 1,733
HELD PLTD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $205.4K 23,184
HELD ? MODIV INDUSTRIAL INC 0.0 % 0.0 % +0.0 pp $205.4K 11,803
HELD XFFCX FLAHERTY & CRUMRIN PFD & INM 0.0 % 0.0 % +0.0 pp $205.3K 12,613
HELD AGGS HARBOR ETF TRUST 0.0 % 0.0 % +0.0 pp $205.0K 5,012
HELD BRHY BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $204.9K 4,013
HELD PBDC PUTNAM ETF TRUST 0.0 % 0.0 % +0.0 pp $204.9K 7,529
HELD USOY TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $204.8K 30,790
HELD NXDT NEXPOINT DIVERSIFIED REL ET 0.0 % 0.0 % +0.0 pp $204.5K 39,402
HELD JANI AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $204.3K 7,955
HELD NAPR INNOVATOR ETFS TRUST 0.0 % 0.0 % +0.0 pp $204.3K 3,451
HELD INDH WISDOMTREE TR 0.0 % 0.0 % +0.0 pp $204.3K 5,228
HELD ? FACT II ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $204.1K 19,205
HELD LNSR LENSAR INC 0.0 % 0.0 % +0.0 pp $204.1K 35,747
HELD TMED T ROWE PRICE EXCHANGE-TRADED 0.0 % 0.0 % +0.0 pp $203.5K 5,958
HELD WPRT WESTPORT FUEL SYSTEMS INC 0.0 % 0.0 % +0.0 pp $203.3K 89,959
HELD HEPS D MARKET ELECTR SVCS & TRADI 0.0 % 0.0 % +0.0 pp $203.2K 69,840
HELD WWR WESTWATER RES INC 0.0 % 0.0 % +0.0 pp $203.0K 402,031
HELD RDVY FIRST TR EXCHANGE TRADED FD 0.0 % 0.0 % +0.0 pp $202.7K 2,501
HELD ? CYCLERION THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $202.7K 59,795
HELD ECBK ECB BANCORP INC 0.0 % 0.0 % +0.0 pp $202.5K 10,083
HELD ROCY J P MORGAN EXCHANGE TRADED F 0.0 % 0.0 % +0.0 pp $202.2K 3,733
HELD HNDL STRATEGY SHS 0.0 % 0.0 % +0.0 pp $202.1K 8,847
HELD ? EGH ACQUISITION CORP. 0.0 % 0.0 % +0.0 pp $202.0K 19,613
HELD ATHE ALTERITY THERAPEUTICS LTD 0.0 % 0.0 % +0.0 pp $201.9K 37,597
HELD TSQ TOWNSQUARE MEDIA INC 0.0 % 0.0 % +0.0 pp $201.8K 28,549
HELD CNDT CONDUENT INC 0.0 % 0.0 % +0.0 pp $201.7K 138,175
HELD CALI BLACKROCK ETF TRUST II 0.0 % 0.0 % +0.0 pp $201.5K 3,988
HELD IBMS ISHARES TR 0.0 % 0.0 % +0.0 pp $200.7K 7,757
HELD LRGE LEGG MASON ETF INVT 0.0 % 0.0 % +0.0 pp $200.4K 2,340
HELD BINT EXCHANGE TRADED CONCEPTS TRU 0.0 % 0.0 % +0.0 pp $200.2K 6,172
HELD SIXO AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $200.2K 5,581
HELD OCTW AIM ETF PRODUCTS TRUST 0.0 % 0.0 % +0.0 pp $200.1K 4,892
HELD ORMP ORAMED PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $199.9K 41,565
HELD LTRN LANTERN PHARMA INC 0.0 % 0.0 % +0.0 pp $199.7K 47,895
HELD WTI W & T OFFSHORE INC 0.0 % 0.0 % +0.0 pp $199.3K 63,273
HELD ? IHS HOLDING LIMITED 0.0 % 0.0 % +0.0 pp $196.4K 23,835
HELD BSBK BOGOTA FINL CORP 0.0 % 0.0 % +0.0 pp $196.2K 21,732
HELD VBF INVESCO BD FD 0.0 % 0.0 % +0.0 pp $195.9K 12,920
HELD ? JFB CONSTR HLDGS 0.0 % 0.0 % +0.0 pp $195.6K 40,664
HELD ? BLUE ACQUISITION CORP. 0.0 % 0.0 % +0.0 pp $195.0K 250,000
HELD NWAX/U NEW AMER ACQUISITION I CORP 0.0 % 0.0 % +0.0 pp $194.9K 18,702
HELD PML PIMCO MUN INCOME FD II 0.0 % 0.0 % +0.0 pp $194.3K 25,535
HELD PFD FLAHERTY & CRUMRINE PFD INCO 0.0 % 0.0 % +0.0 pp $194.3K 16,705
HELD SDHY PGIM SHORT DUR HIG YLD OPP F 0.0 % 0.0 % +0.0 pp $194.1K 11,844
HELD VERU VERU INC 0.0 % 0.0 % +0.0 pp $194.0K 61,977
HELD CHW CALAMOS GBL DYN INCOME FUND 0.0 % 0.0 % +0.0 pp $192.8K 21,642
HELD TZOO TRAVELZOO 0.0 % 0.0 % +0.0 pp $192.0K 16,435
HELD SENS SENSEONICS HLDGS INC 0.0 % 0.0 % +0.0 pp $191.9K 33,792
HELD FBYD FALCONS BEYOND GLOBAL INC 0.0 % 0.0 % +0.0 pp $191.5K 10,687
HELD BOBS BOBS DISC FURNITURE INC 0.0 % 0.0 % +0.0 pp $191.3K 12,095
HELD ? ARMADA ACQUISITION CORP II 0.0 % 0.0 % +0.0 pp $190.7K 18,303
HELD ? AERIES TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $190.3K 26,250
HELD TXMD THERAPEUTICSMD INC 0.0 % 0.0 % +0.0 pp $190.3K 86,095
HELD CGO CALAMOS GLOBAL TOTAL RETURN 0.0 % 0.0 % +0.0 pp $189.9K 13,902
HELD SSTI SOUNDTHINKING INC 0.0 % 0.0 % +0.0 pp $189.6K 20,954
HELD DLHC DLH HLDGS CORP 0.0 % 0.0 % +0.0 pp $189.4K 36,084
HELD DCTH DELCATH SYS INC 0.0 % 0.0 % +0.0 pp $189.4K 15,043
HELD TTRX TURN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $188.9K 25,874
HELD IHD VOYA EMERGING MKTS HIGH DIVI 0.0 % 0.0 % +0.0 pp $187.4K 24,030
HELD YBTC ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $186.5K 11,285
HELD FATN FATPIPE INC UT 0.0 % 0.0 % +0.0 pp $186.4K 29,595
HELD LUNG PULMONX CORP 0.0 % 0.0 % +0.0 pp $186.4K 143,404
HELD TISI TEAM INC 0.0 % 0.0 % +0.0 pp $186.3K 10,784
HELD BIVI BIOVIE INC 0.0 % 0.0 % +0.0 pp $186.1K 95,952
HELD ? INFLECTION PT ACQUISIT CORP 0.0 % 0.0 % +0.0 pp $186.0K 99,999
HELD ? GAMBLING COM GROUP LIMITED 0.0 % 0.0 % +0.0 pp $185.5K 97,634
HELD ECC EAGLE POINT CR CO 0.0 % 0.0 % +0.0 pp $185.4K 49,829
HELD STEM STEM INC 0.0 % 0.0 % +0.0 pp $185.3K 23,727
HELD DBL DOUBLELINE OPPORTUNISTIC CR 0.0 % 0.0 % +0.0 pp $182.7K 12,703
HELD ACCO ACCO BRANDS CORP 0.0 % 0.0 % +0.0 pp $182.3K 43,812
HELD KYN KAYNE ANDERSON ENERGY INFRST 0.0 % 0.0 % +0.0 pp $181.8K 13,144
HELD ? CAESARSTONE LTD 0.0 % 0.0 % +0.0 pp $181.5K 86,434
HELD NAII NATURAL ALTERNATIVES INTL IN 0.0 % 0.0 % +0.0 pp $181.0K 75,746
HELD INKT MINK THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $180.5K 15,440
HELD XRMMX RIVERNORTH MANAGED DUR MUN I 0.0 % 0.0 % +0.0 pp $180.4K 12,199
HELD ? BERTO ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $180.2K 16,728
HELD ETW EATON VANCE TAX-MANAGED GLOB 0.0 % 0.0 % +0.0 pp $179.8K 18,656
HELD LIDR AEYE INC 0.0 % 0.0 % +0.0 pp $179.6K 124,726
HELD EPM EVOLUTION PETE CORP 0.0 % 0.0 % +0.0 pp $179.1K 48,677
HELD ? PERCEPTIVE CAP SOLUTIONS COR 0.0 % 0.0 % +0.0 pp $179.0K 16,454
HELD TEI TEMPLETON EMERGING MKTS INCO 0.0 % 0.0 % +0.0 pp $178.9K 26,547
HELD CULP CULP INC 0.0 % 0.0 % +0.0 pp $178.7K 57,643
HELD HIT HEALTH IN TECH INC 0.0 % 0.0 % +0.0 pp $178.7K 176,911
HELD OTLY OATLY GROUP AB 0.0 % 0.0 % +0.0 pp $178.2K 19,055
HELD MUA BLACKROCK MUNIASSETS FD INC 0.0 % 0.0 % +0.0 pp $178.0K 16,168
HELD EP EMPIRE PETE CORP 0.0 % 0.0 % +0.0 pp $177.7K 66,304
HELD PNBK PATRIOT NATL BANCORP INC 0.0 % 0.0 % +0.0 pp $177.6K 185,461
HELD ZONE CLEANCORE SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $177.5K 216,509
HELD EVEX EVE HLDG INC 0.0 % 0.0 % +0.0 pp $177.3K 70,638
HELD HYPD HYPERION DEFI INC 0.0 % 0.0 % +0.0 pp $176.8K 56,299
HELD ETJ EATON VANCE RISK-MANAGED DIV 0.0 % 0.0 % +0.0 pp $176.7K 21,372
HELD USIO USIO INC 0.0 % 0.0 % +0.0 pp $176.1K 71,027
HELD GENT SPINNAKER ETF SERIES 0.0 % 0.0 % +0.0 pp $175.5K 17,150
HELD LGL LGL GROUP INC 0.0 % 0.0 % +0.0 pp $175.3K 25,367
HELD ZVRA ZEVRA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $174.5K 12,167
HELD INMB INMUNE BIO INC 0.0 % 0.0 % +0.0 pp $173.2K 106,231
HELD CREX CREATIVE REALITIES INC 0.0 % 0.0 % +0.0 pp $172.0K 41,642
HELD RAVE RAVE RESTAURANT GROUP INC 0.0 % 0.0 % +0.0 pp $171.5K 52,438
HELD SCOR COMSCORE INC 0.0 % 0.0 % +0.0 pp $171.4K 23,230
HELD GGN GAMCO GLOBAL GOLD NAT RES & 0.0 % 0.0 % +0.0 pp $171.1K 35,353
HELD SVCO SILVACO GROUP INC 0.0 % 0.0 % +0.0 pp $170.2K 12,344
HELD EIKN EIKON THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $170.0K 13,023
HELD IQI INVESCO QUALITY MUN INCOME T 0.0 % 0.0 % +0.0 pp $169.6K 16,762
HELD LCID LUCID GROUP INC 0.0 % 0.0 % +0.0 pp $169.2K 25,291
HELD CPZ CALAMOS LNG SHR EQT DYNAMIC 0.0 % 0.0 % +0.0 pp $167.9K 12,837
HELD SOLZ VOLATILITY SHS TR 0.0 % 0.0 % +0.0 pp $167.9K 22,746
HELD MBBC MARATHON BANCORP INC 0.0 % 0.0 % +0.0 pp $167.8K 10,984
HELD FGBI FIRST GTY BANCSHARES INC 0.0 % 0.0 % +0.0 pp $166.7K 16,553
HELD CRMG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $165.7K 40,617
HELD FUTG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $163.9K 50,705
HELD SOTK SONO TEK CORP 0.0 % 0.0 % +0.0 pp $163.8K 26,764
HELD YSG YATSEN HLDG LTD 0.0 % 0.0 % +0.0 pp $163.5K 51,581
HELD INR INFINITY NAT RES INC 0.0 % 0.0 % +0.0 pp $163.3K 12,857
HELD ANGO ANGIODYNAMICS INC 0.0 % 0.0 % +0.0 pp $162.4K 12,484
HELD PHAR PHARMING GROUP NV 0.0 % 0.0 % +0.0 pp $162.3K 11,972
HELD MWYN MARWYNN HLDGS INC 0.0 % 0.0 % +0.0 pp $162.1K 152,878
HELD RFL RAFAEL HLDGS INC 0.0 % 0.0 % +0.0 pp $161.1K 49,122
HELD DRIO DARIOHEALTH CORP 0.0 % 0.0 % +0.0 pp $160.3K 24,289
HELD CODA CODA OCTOPUS GROUP INC 0.0 % 0.0 % +0.0 pp $160.2K 16,401
HELD FT FRANKLIN UNVL TR 0.0 % 0.0 % +0.0 pp $160.0K 19,834
HELD ULBI ULTRALIFE CORP 0.0 % 0.0 % +0.0 pp $159.8K 25,283
HELD AHT ASHFORD HOSPITALITY TR INC 0.0 % 0.0 % +0.0 pp $159.7K 49,279
HELD NDRA ENDRA LIFE SCIENCES INC 0.0 % 0.0 % +0.0 pp $159.5K 29,924
HELD ? MOUNTAIN LAKE ACQUISIT CORP 0.0 % 0.0 % +0.0 pp $159.5K 16,059
HELD LITB LIGHTINTHEBOX HLDG CO LTD 0.0 % 0.0 % +0.0 pp $159.0K 53,890
HELD TNGY TORTOISE CAPITAL SERIES TRUS 0.0 % 0.0 % +0.0 pp $159.0K 16,371
HELD IMXI INTERNATIONAL MONEY EXPRESS 0.0 % 0.0 % +0.0 pp $158.8K 10,990
HELD NRK NUVEEN NY AMT FREE 0.0 % 0.0 % +0.0 pp $158.8K 14,809
HELD ? AIOS TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $158.5K 12,822
HELD SIJ PROSHARES TR 0.0 % 0.0 % +0.0 pp $158.4K 10,255
HELD FTHY FIRST TR HIGH YIELD OPPRT 20 0.0 % 0.0 % +0.0 pp $157.6K 11,503
HELD TCX TUCOWS INC 0.0 % 0.0 % +0.0 pp $156.5K 11,619
HELD WNEB WESTERN NEW ENG BANCORP INC 0.0 % 0.0 % +0.0 pp $156.5K 10,944
HELD HAIN HAIN CELESTIAL GROUP INC 0.0 % 0.0 % +0.0 pp $155.4K 277,455
HELD NUV NUVEEN MUN VALUE FD INC 0.0 % 0.0 % +0.0 pp $155.4K 16,856
HELD DTF DTF TAX-FREE INCOME 2028 TER 0.0 % 0.0 % +0.0 pp $154.8K 13,404
HELD CMMB CHEMOMAB THERAPEUTICS LTD 0.0 % 0.0 % +0.0 pp $154.4K 95,311
HELD COUR COURSERA INC 0.0 % 0.0 % +0.0 pp $153.3K 27,180
HELD AIRJ AIRJOULE TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $153.0K 27,620
HELD ? BITCOIN INFRASTRUCTURE ACQUI 0.0 % 0.0 % +0.0 pp $153.0K 15,115
HELD DHLX DIAMOND HILL FUNDS 0.0 % 0.0 % +0.0 pp $152.2K 11,763
HELD RIV RIVERNORTH OPPORTUNITIES FD 0.0 % 0.0 % +0.0 pp $151.3K 12,973
HELD IKT INHIBIKASE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $150.9K 74,349
HELD NCTY THE9 LTD 0.0 % 0.0 % +0.0 pp $150.7K 30,745
HELD SKYX SKYX PLATFORMS CORP 0.0 % 0.0 % +0.0 pp $150.6K 136,312
HELD KTCC KEY TRONIC CORP 0.0 % 0.0 % +0.0 pp $149.6K 36,215
HELD ZKH ZKH GROUP LTD 0.0 % 0.0 % +0.0 pp $149.2K 65,999
HELD CNTY CENTURY CASINOS INC 0.0 % 0.0 % +0.0 pp $148.8K 116,276
HELD ENRD EINRIDE AB 0.0 % 0.0 % +0.0 pp $148.3K 17,141
HELD PPT PUTNAM PREMIER INCOME TR 0.0 % 0.0 % +0.0 pp $147.8K 42,348
HELD CFND C1 FD INC 0.0 % 0.0 % +0.0 pp $147.8K 48,775
HELD MHF WESTERN ASSET MUN HIGH INCOM 0.0 % 0.0 % +0.0 pp $146.6K 20,945
HELD UEIC UNIVERSAL ELECTRS INC 0.0 % 0.0 % +0.0 pp $146.2K 30,658
HELD LND BRASILAGRO COMPANHIA BRASILE 0.0 % 0.0 % +0.0 pp $146.1K 40,931
HELD ? PLUM ACQUISITION CORP IV 0.0 % 0.0 % +0.0 pp $144.9K 13,596
HELD ASG LIBERTY ALL-STAR GROWTH FD I 0.0 % 0.0 % +0.0 pp $144.7K 26,459
HELD SELF GLOBAL SELF STORAGE INC 0.0 % 0.0 % +0.0 pp $144.7K 27,614
HELD DFLI DRAGONFLY ENERGY HOLDINGS CO 0.0 % 0.0 % +0.0 pp $144.6K 73,767
HELD ? CROSS CTRY HEALTHCARE INC 0.0 % 0.0 % +0.0 pp $144.5K 10,942
HELD ? COLUMBUS ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $144.3K 13,545
HELD ? PERIMETER ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $143.6K 13,792
HELD EHI WESTERN ASSET GBL HIGH INC F 0.0 % 0.0 % +0.0 pp $143.6K 24,086
HELD OABI OMNIAB INC 0.0 % 0.0 % +0.0 pp $143.1K 58,190
HELD ? TOP FINANCIAL GROUP LTD 0.0 % 0.0 % +0.0 pp $143.0K 78,115
HELD EVMN EVOMMUNE INC 0.0 % 0.0 % +0.0 pp $142.5K 10,724
HELD PYXS PYXIS ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $142.4K 47,317
HELD PETS PETMED EXPRESS INC 0.0 % 0.0 % +0.0 pp $142.3K 74,127
HELD ? LIFEWARD LTD 0.0 % 0.0 % +0.0 pp $141.8K 18,064
HELD HGLB HIGHLAND GLOBAL ALLOCATION F 0.0 % 0.0 % +0.0 pp $141.6K 18,836
HELD MREO MEREO BIOPHARMA GROUP PLC 0.0 % 0.0 % +0.0 pp $141.1K 444,158
HELD SSG PROSHARES TR 0.0 % 0.0 % +0.0 pp $139.8K 12,302
HELD COHN COHEN & CO INC NEW 0.0 % 0.0 % +0.0 pp $139.6K 10,278
HELD FINS ANGEL OAK FINL STRATEGIES IN 0.0 % 0.0 % +0.0 pp $139.0K 10,859
HELD PAI WESTERN ASSET INVESTMENT GRA 0.0 % 0.0 % +0.0 pp $138.8K 11,456
HELD DRIPUSD DIREXION SHARES ETF TRUST 0.0 % 0.0 % +0.0 pp $138.4K 25,875
HELD ? NEW PROVIDENCE ACQUISITION C 0.0 % 0.0 % +0.0 pp $138.4K 13,335
HELD DH DEFINITIVE HEALTHCARE CORP 0.0 % 0.0 % +0.0 pp $138.2K 166,291
HELD EXOD EXODUS MOVEMENT INC 0.0 % 0.0 % +0.0 pp $137.8K 26,661
HELD WHWK WHITEHAWK THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $137.8K 30,086
HELD CISO CISO GLOBAL INC 0.0 % 0.0 % +0.0 pp $137.7K 496,974
HELD STKS THE ONE GROUP HOSPITALITY IN 0.0 % 0.0 % +0.0 pp $137.6K 68,469
HELD TCPC BLACKROCK TCP CAPITAL CORP 0.0 % 0.0 % +0.0 pp $136.9K 40,743
HELD ? OYSTER ENTERPRISES II ACQUIS 0.0 % 0.0 % +0.0 pp $136.6K 13,259
HELD LVO LIVEONE INC 0.0 % 0.0 % +0.0 pp $136.5K 21,323
HELD ABOS ACUMEN PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $136.3K 51,049
HELD TOON KARTOON STUDIOS INC. 0.0 % 0.0 % +0.0 pp $136.1K 191,668
HELD YMAX TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $135.8K 16,813
HELD MARO TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $135.7K 22,175
HELD ? NYXOAH S A 0.0 % 0.0 % +0.0 pp $135.5K 80,195
HELD PDT HANCOCK JOHN PREM DIVID FD 0.0 % 0.0 % +0.0 pp $135.3K 10,444
HELD ? TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $134.1K 17,858
HELD XEADX ALLSPRING INCOME OPPORTUNIT 0.0 % 0.0 % +0.0 pp $134.0K 20,616
HELD TKNO ALPHA TEKNOVA INC 0.0 % 0.0 % +0.0 pp $133.9K 23,581
HELD ? MIND C T I LTD 0.0 % 0.0 % +0.0 pp $133.0K 129,143
HELD KPDD KRANESHARES TRUST 0.0 % 0.0 % +0.0 pp $133.0K 28,935
HELD YETH ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $132.6K 16,753
HELD IZEA IZEA WORLDWIDE INC 0.0 % 0.0 % +0.0 pp $132.6K 35,836
HELD KOSS KOSS CORP 0.0 % 0.0 % +0.0 pp $132.6K 33,058
HELD JVA COFFEE HLDG CO INC 0.0 % 0.0 % +0.0 pp $132.3K 39,604
HELD XIGDX VOYA GLBL EQTY DIV & PREM OP 0.0 % 0.0 % +0.0 pp $132.1K 21,520
HELD ? FG MERGER II CORP 0.0 % 0.0 % +0.0 pp $131.9K 13,062
HELD HNNA HENNESSY ADVISORS INC 0.0 % 0.0 % +0.0 pp $131.7K 12,980
HELD BNC CEA INDUSTRIES INC 0.0 % 0.0 % +0.0 pp $131.6K 48,379
HELD FTMH PUTNAM ETF TRUST 0.0 % 0.0 % +0.0 pp $131.5K 11,067
HELD GRX GABELLI HEALTHCARE & WELLNES 0.0 % 0.0 % +0.0 pp $131.3K 13,897
HELD ? SILICON VY ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $131.2K 12,129
HELD PRTH PRIORITY TECHNOLOGY HLDGS IN 0.0 % 0.0 % +0.0 pp $130.9K 19,631
HELD RNXT RENOVORX INC 0.0 % 0.0 % +0.0 pp $130.9K 133,597
HELD VOC VOC ENERGY TR 0.0 % 0.0 % +0.0 pp $130.7K 45,384
HELD XAGDX ABRDN GLOBAL DYNAMIC DIVIDEN 0.0 % 0.0 % +0.0 pp $130.6K 10,781
HELD ? CENTURION ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $130.5K 12,068
HELD MAKO MAKO MNG CORP 0.0 % 0.0 % +0.0 pp $129.5K 17,720
HELD MGRX MANGOCEUTICALS INC 0.0 % 0.0 % +0.0 pp $128.8K 338,964
HELD CDLX CARDLYTICS INC 0.0 % 0.0 % +0.0 pp $128.4K 28,597
HELD ? CANTOR EQUITY PARTNERS V INC 0.0 % 0.0 % +0.0 pp $128.1K 12,425
HELD PODC PODCASTONE INC 0.0 % 0.0 % +0.0 pp $127.9K 28,608
HELD ? TEXAS VENTURES ACQUISITION I 0.0 % 0.0 % +0.0 pp $127.6K 12,099
HELD SLQT SELECTQUOTE INC 0.0 % 0.0 % +0.0 pp $127.6K 151,693
HELD MIND MIND TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $127.4K 26,993
HELD CXDO CREXENDO INC 0.0 % 0.0 % +0.0 pp $126.9K 16,992
HELD ? FIFTH ERA ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $126.4K 12,135
HELD NXPL NEXTPLAT CORP 0.0 % 0.0 % +0.0 pp $125.4K 18,582
HELD ? TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $125.2K 49,679
HELD ? SINDA LTD 0.0 % 0.0 % +0.0 pp $124.6K 10,386
HELD ARTW ARTS WAY MFG INC 0.0 % 0.0 % +0.0 pp $124.6K 47,384
HELD ODYS ODYSIGHT AI INC 0.0 % 0.0 % +0.0 pp $123.7K 29,738
HELD ? ROMAN DBDR ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $123.5K 11,719
HELD LOT LOTUS TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $123.5K 105,517
HELD UFI UNIFI INC 0.0 % 0.0 % +0.0 pp $123.1K 25,911
HELD XPER XPERI INC 0.0 % 0.0 % +0.0 pp $122.9K 14,938
HELD ELVA ELECTROVAYA INC 0.0 % 0.0 % +0.0 pp $122.5K 11,671
HELD XWEL XWELL INC 0.0 % 0.0 % +0.0 pp $121.7K 117,022
HELD NMS NUVEEN MINN QUALITY MUN INM 0.0 % 0.0 % +0.0 pp $121.4K 10,025
HELD ELUT ELUTIA INC 0.0 % 0.0 % +0.0 pp $121.0K 123,505
HELD ? ANDRETTI ACQUISITION CORP II 0.0 % 0.0 % +0.0 pp $120.8K 11,238
HELD TETH 21SHARES ETHEREUM ETF 0.0 % 0.0 % +0.0 pp $120.8K 15,344
HELD FMST FOREMOST CLEAN ENERGY LTD 0.0 % 0.0 % +0.0 pp $120.7K 82,675
HELD AKA A K A BRANDS HLDG CORP 0.0 % 0.0 % +0.0 pp $120.5K 11,254
HELD PRLD PRELUDE THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $120.2K 22,554
HELD NCA NUVEEN CALIFORNIA MUNI VLU F 0.0 % 0.0 % +0.0 pp $120.0K 12,863
HELD KRMD KORU MEDICAL SYSTEMS INC 0.0 % 0.0 % +0.0 pp $119.8K 28,520
HELD EXYNW EXYN TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $119.7K 90,000
HELD NTIC NORTHERN TECHNOLOGIES INTL C 0.0 % 0.0 % +0.0 pp $119.0K 13,906
HELD IGC IGC PHARMA INC 0.0 % 0.0 % +0.0 pp $119.0K 437,317
HELD ? KAIROS PHARMA LTD 0.0 % 0.0 % +0.0 pp $118.9K 309,834
HELD GURE GULF RES INC 0.0 % 0.0 % +0.0 pp $118.8K 32,538
HELD ? INTERCURE LTD 0.0 % 0.0 % +0.0 pp $118.7K 107,913
HELD ALLR ALLARITY THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $118.4K 91,748
HELD AVD AMERICAN VANGUARD CORP 0.0 % 0.0 % +0.0 pp $118.3K 42,262
HELD ? PS INTL GROUP LTD 0.0 % 0.0 % +0.0 pp $118.1K 92,957
HELD SKIN SKINHEALTH SYSTEMS INC 0.0 % 0.0 % +0.0 pp $117.9K 170,300
HELD SNTI SENTI BIOSCIENCES HOLDINGS I 0.0 % 0.0 % +0.0 pp $117.8K 107,100
HELD ECHX THEMES ETF TR 0.0 % 0.0 % +0.0 pp $117.6K 10,816
HELD SLNG STABILIS SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $117.5K 29,008
HELD STG SUNLANDS TECHNOLOGY GROUP 0.0 % 0.0 % +0.0 pp $117.4K 29,937
HELD ? COLLECTIVE ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $117.2K 11,240
HELD PLBY PLAYBOY INC 0.0 % 0.0 % +0.0 pp $117.2K 96,059
HELD ? OTG ACQUISITION CORP. I 0.0 % 0.0 % +0.0 pp $117.1K 11,529
HELD ? AMPERCAP ACQUISITION CO 0.0 % 0.0 % +0.0 pp $116.7K 11,797
HELD ATRA ATARA BIOTHERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $116.6K 10,159
HELD PHUN PHUNWARE INC 0.0 % 0.0 % +0.0 pp $116.5K 56,850
HELD ? MAYWOOD ACQUISITION CORP 2 0.0 % 0.0 % +0.0 pp $116.4K 11,389
HELD AMBO AMBOW ED HLDG LTD 0.0 % 0.0 % +0.0 pp $116.4K 51,270
HELD MEME ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $116.2K 12,069
HELD LEE LEE ENTERPRISES INC 0.0 % 0.0 % +0.0 pp $115.9K 12,940
HELD KTUP ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $115.8K 17,930
HELD ? TH INTERNATIONAL LIMITED 0.0 % 0.0 % +0.0 pp $115.6K 60,526
HELD CSPI CSP INC 0.0 % 0.0 % +0.0 pp $115.5K 14,548
HELD MSTP GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $115.5K 10,312
HELD ? QUARTZSEA ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $115.2K 10,948
HELD ? GIGCAPITAL8 CORP 0.0 % 0.0 % +0.0 pp $115.1K 11,442
HELD FTCA PUTNAM ETF TRUST 0.0 % 0.0 % +0.0 pp $114.8K 15,473
HELD ? EQV VENTURES AC CORP. II 0.0 % 0.0 % +0.0 pp $114.6K 11,262
HELD ? LAKESHORE ACQUISITION III CO 0.0 % 0.0 % +0.0 pp $114.6K 10,980
HELD ? QUASAREDGE ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $114.3K 11,294
HELD ABVC ABVC BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $113.9K 72,091
HELD ? OIO GROUP 0.0 % 0.0 % +0.0 pp $113.5K 49,797
HELD EVAX EVAXION AS 0.0 % 0.0 % +0.0 pp $113.4K 36,584
HELD IRIX IRIDEX CORP 0.0 % 0.0 % +0.0 pp $113.3K 98,950
HELD FLL FULL HSE RESORTS INC 0.0 % 0.0 % +0.0 pp $113.0K 40,510
HELD HTT HIGH TEMPLAR TECHNOLOGY LTD 0.0 % 0.0 % +0.0 pp $113.0K 44,134
HELD CSBR CHAMPIONS ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $112.7K 18,295
HELD ? HELIX ACQUISITION CORP III 0.0 % 0.0 % +0.0 pp $112.3K 10,598
HELD CNSY PLUS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $111.9K 25,597
HELD SHIM SHIMMICK CORPORATION 0.0 % 0.0 % +0.0 pp $111.8K 24,457
HELD CHMI CHERRY HILL MTG INVT CORP 0.0 % 0.0 % +0.0 pp $111.6K 48,106
HELD IPWR IDEAL PWR INC 0.0 % 0.0 % +0.0 pp $111.4K 20,787
HELD ? SOULPOWER ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $111.2K 10,745
HELD ? HENNESSY CAP INVT CORP VII 0.0 % 0.0 % +0.0 pp $111.1K 10,635
HELD ? SCHMID GROUP N.V. 0.0 % 0.0 % +0.0 pp $110.7K 17,689
HELD EDUC EDUCATIONAL DEV CORP 0.0 % 0.0 % +0.0 pp $110.5K 73,187
HELD ? BURTECH ACQUISITION CORP II 0.0 % 0.0 % +0.0 pp $110.0K 10,974
HELD ? SILVERBOX CORP IV 0.0 % 0.0 % +0.0 pp $109.9K 10,170
HELD ? COLLECTIVE ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $109.8K 10,921
HELD MTA METALLA RTY & STREAMING LTD 0.0 % 0.0 % +0.0 pp $109.7K 14,413
HELD IVDA IVEDA SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $109.5K 334,345
HELD CMTL COMTECH TELECOMMUNICATIONS C 0.0 % 0.0 % +0.0 pp $108.9K 51,842
HELD ? ACTIVATE ENERGY ACQUISIT COR 0.0 % 0.0 % +0.0 pp $108.4K 10,669
HELD ? COHEN CIRCLE ACQUISIT CORP I 0.0 % 0.0 % +0.0 pp $108.1K 10,283
HELD GENK GEN RESTAURENT GROUP 0.0 % 0.0 % +0.0 pp $107.9K 54,763
HELD ? ALTISOURCE PORTFOLIO SOLUTIO 0.0 % 0.0 % +0.0 pp $107.4K 14,318
HELD ? PANTAGES CAPITAL ACQUISITION 0.0 % 0.0 % +0.0 pp $107.2K 10,059
HELD ? LAFAYETTE DIGITAL ACQUISITIO 0.0 % 0.0 % +0.0 pp $107.2K 10,722
HELD CEV EATON VANCE CALIF MUN INCOM 0.0 % 0.0 % +0.0 pp $107.1K 10,178
HELD ? VINE HILL CAP INVTS CORP II 0.0 % 0.0 % +0.0 pp $107.1K 10,601
HELD ? CHENGHE ACQUISITION III CO 0.0 % 0.0 % +0.0 pp $107.1K 10,466
HELD OCCI OFS CREDIT COMPANY INC 0.0 % 0.0 % +0.0 pp $107.0K 41,801
HELD DEFT DEFI TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $106.9K 207,936
HELD GROV GROVE COLLABORATIVE HOLD INC 0.0 % 0.0 % +0.0 pp $106.8K 85,403
HELD ? PROCAP ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $106.7K 10,359
HELD MYO MYOMO INC 0.0 % 0.0 % +0.0 pp $106.6K 102,518
HELD AYTU AYTU BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $106.2K 49,414
HELD EPSN EPSILON ENERGY LTD 0.0 % 0.0 % +0.0 pp $106.2K 19,629
HELD VALN VALNEVA SE 0.0 % 0.0 % +0.0 pp $106.1K 20,294
HELD ? KAMADA LTD 0.0 % 0.0 % +0.0 pp $106.1K 14,452
HELD VZLA VIZSLA SILVER CORP 0.0 % 0.0 % +0.0 pp $106.0K 32,131
HELD ? ILLUMINATION ACQUISITIO CORP 0.0 % 0.0 % +0.0 pp $105.5K 10,496
HELD ISBG TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $105.5K 10,087
HELD BSIN BIG SKY INDL INC 0.0 % 0.0 % +0.0 pp $105.2K 95,593
HELD KLTR KALTURA INC 0.0 % 0.0 % +0.0 pp $104.6K 80,485
HELD SILO SILO PHARMA INC 0.0 % 0.0 % +0.0 pp $104.3K 16,800
HELD PCM PCM FD INC 0.0 % 0.0 % +0.0 pp $104.3K 18,690
HELD ? TITAN ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $104.2K 10,008
HELD ? INTELLIGENT LIVING APPLICATI 0.0 % 0.0 % +0.0 pp $103.7K 30,330
HELD NEPH NEPHROS INC 0.0 % 0.0 % +0.0 pp $103.7K 29,044
HELD ? M EVO GBL ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $103.4K 10,238
HELD ? EUROHOLDINGS LTD 0.0 % 0.0 % +0.0 pp $102.9K 12,701
HELD AGPU AXE COMPUTE INC 0.0 % 0.0 % +0.0 pp $102.8K 13,561
HELD ? BIORESTORATIVE THERAPIES INC 0.0 % 0.0 % +0.0 pp $102.8K 273,304
HELD ? TIZIANA LIFE SCIENCES LTD 0.0 % 0.0 % +0.0 pp $102.7K 80,222
HELD DLTH DULUTH HLDGS INC 0.0 % 0.0 % +0.0 pp $102.4K 22,864
HELD PFO FLAHERTY & CRUMRINE PFD INCO 0.0 % 0.0 % +0.0 pp $102.2K 11,062
HELD BLNK BLINK CHARGING CO 0.0 % 0.0 % +0.0 pp $101.4K 158,463
HELD AISP AIRSHIP AI HLDGS INC 0.0 % 0.0 % +0.0 pp $101.3K 42,405
HELD ? ACP HOLDINGS ACQUISITION COR 0.0 % 0.0 % +0.0 pp $101.2K 10,053
HELD AENT ALLIANCE ENTERTAINMENT HOLDI 0.0 % 0.0 % +0.0 pp $100.9K 17,276
HELD DMA DESTRA MULTI-ALTERNATIVE FD 0.0 % 0.0 % +0.0 pp $100.8K 13,471
HELD ERNA ERNEXA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $100.4K 15,104
HELD ASRV AMERISERV FINL INC 0.0 % 0.0 % +0.0 pp $100.4K 25,875
HELD WB WEIBO CORP 0.0 % 0.0 % +0.0 pp $100.0K 13,775
HELD HCWB HCW BIOLOGICS INC 0.0 % 0.0 % +0.0 pp $99.5K 19,942
HELD BFRI BIOFRONTERA INC 0.0 % 0.0 % +0.0 pp $99.2K 104,941
HELD HSDT SOLANA CO 0.0 % 0.0 % +0.0 pp $98.6K 59,742
HELD SNT SENSTAR TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $98.4K 50,960
HELD HIX WESTERN ASSET HIGH INCOM FD 0.0 % 0.0 % +0.0 pp $98.3K 24,824
HELD KPLT KATAPULT HOLDINGS INC 0.0 % 0.0 % +0.0 pp $97.3K 14,726
HELD WEN WENDYS CO 0.0 % 0.0 % +0.0 pp $97.2K 11,723
HELD MSTW ROUNDHILL ETF TRUST 0.0 % 0.0 % +0.0 pp $96.7K 30,505
HELD CANF CAN FITE BIOFARMA LTD 0.0 % 0.0 % +0.0 pp $96.6K 32,533
HELD ESBA EMPIRE ST RLTY OP L P 0.0 % 0.0 % +0.0 pp $95.5K 17,211
HELD RPAY REPAY HLDGS CORP 0.0 % 0.0 % +0.0 pp $95.5K 22,731
HELD DAMDUSD TIDAL TRUST II 0.0 % 0.0 % +0.0 pp $95.0K 67,371
HELD ? GOGORO INC 0.0 % 0.0 % +0.0 pp $94.4K 23,695
HELD SKIL SKILLSOFT CORP 0.0 % 0.0 % +0.0 pp $93.3K 18,021
HELD GLND GREENLAND ENERGY CO 0.0 % 0.0 % +0.0 pp $92.2K 41,888
HELD LONA LEONABIO INC 0.0 % 0.0 % +0.0 pp $91.9K 10,001
HELD MNTK MONTAUK RENEWABLES INC 0.0 % 0.0 % +0.0 pp $91.8K 58,826
HELD LAND GLADSTONE LD CORP 0.0 % 0.0 % +0.0 pp $91.7K 10,753
HELD PEW/WS GRABAGUN DIGITAL HLDGS INC 0.0 % 0.0 % +0.0 pp $91.5K 304,799
HELD EDD MORGAN STANLEY EMERGING MKTS 0.0 % 0.0 % +0.0 pp $91.4K 15,544
HELD ? COLLECTIVE ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $91.1K 216,825
HELD ? GREENPRO CAP CORP 0.0 % 0.0 % +0.0 pp $90.6K 59,224
HELD EVF EATON VANCE SR INCOME TR 0.0 % 0.0 % +0.0 pp $90.4K 18,156
HELD GPMT GRANITE PT MTG TR INC 0.0 % 0.0 % +0.0 pp $90.4K 60,235
HELD QRHC QUEST RESOURCE HLDG CORP 0.0 % 0.0 % +0.0 pp $90.3K 71,666
HELD ? TOMI ENVIRONMENTAL SOLUTIONS 0.0 % 0.0 % +0.0 pp $89.5K 108,751
HELD BAK BRASKEM SA 0.0 % 0.0 % +0.0 pp $89.5K 36,678
HELD NNY NUVEEN N Y MUN VALUE FD 0.0 % 0.0 % +0.0 pp $89.5K 10,238
HELD ANIX ANIXA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $89.3K 31,887
HELD INAB IN8BIO INC 0.0 % 0.0 % +0.0 pp $88.9K 63,055
HELD LXRPUSD LEXARIA BIOSCIENCE CORP 0.0 % 0.0 % +0.0 pp $87.9K 156,945
HELD RCEL AVITA MEDICAL INC 0.0 % 0.0 % +0.0 pp $87.7K 21,246
HELD CATO CATO CORP NEW 0.0 % 0.0 % +0.0 pp $87.6K 27,047
HELD MTVA METAVIA INC 0.0 % 0.0 % +0.0 pp $87.5K 61,206
HELD AXIL AXIL BRANDS INC 0.0 % 0.0 % +0.0 pp $87.4K 13,039
HELD ? INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $87.0K 16,301
HELD XELB XCEL BRANDS INC 0.0 % 0.0 % +0.0 pp $86.9K 48,293
HELD ? SWVL HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $86.8K 64,772
HELD MMT ABERDEEN MULTI-MARKET INCOME 0.0 % 0.0 % +0.0 pp $86.3K 19,610
HELD FTCI FTC SOLAR INC 0.0 % 0.0 % +0.0 pp $86.2K 16,959
HELD HSLV HIGHLANDER SILVER CORP 0.0 % 0.0 % +0.0 pp $85.6K 18,379
HELD ? ARMADA ACQUISITION CORP II 0.0 % 0.0 % +0.0 pp $85.0K 100,000
HELD BCHT BIRCHTECH CORP 0.0 % 0.0 % +0.0 pp $84.8K 41,385
HELD GOAI EVA LIVE INC 0.0 % 0.0 % +0.0 pp $84.7K 32,204
HELD UIS UNISYS CORP 0.0 % 0.0 % +0.0 pp $84.3K 23,025
HELD LEDS SEMILEDS CORP 0.0 % 0.0 % +0.0 pp $84.2K 50,443
HELD CCIF CARLYLE CREDIT INCOME FUND 0.0 % 0.0 % +0.0 pp $84.1K 30,153
HELD JAGU JAGUAR URANIUM CORP 0.0 % 0.0 % +0.0 pp $83.5K 50,000
HELD NTRBW NUTRIBAND INC 0.0 % 0.0 % +0.0 pp $83.4K 83,353
HELD BEEM BEAM GLOBAL 0.0 % 0.0 % +0.0 pp $83.2K 63,966
HELD ACP ABRDN INCOME CREDIT STRATEGI 0.0 % 0.0 % +0.0 pp $83.0K 15,955
HELD SNGX SOLIGENIX INC 0.0 % 0.0 % +0.0 pp $83.0K 209,507
HELD FLX BINGEX LTD 0.0 % 0.0 % +0.0 pp $82.9K 38,927
HELD MCRB SERES THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $82.9K 10,504
HELD JF J & FRIENDS HOLDINGS LTD 0.0 % 0.0 % +0.0 pp $82.8K 78,144
HELD CPHI CHINA PHARMA HLDGS INC 0.0 % 0.0 % +0.0 pp $82.8K 125,445
HELD AMAX STARBOARD INVT TR 0.0 % 0.0 % +0.0 pp $82.2K 11,105
HELD YOLO ADVISORSHARES TR 0.0 % 0.0 % +0.0 pp $82.1K 28,404
HELD IHT INNSUITES HOSPITALITY TR 0.0 % 0.0 % +0.0 pp $82.1K 48,276
HELD DTST DATA STORAGE CORP 0.0 % 0.0 % +0.0 pp $81.5K 23,624
HELD HBIO HARVARD BIOSCIENCE INC 0.0 % 0.0 % +0.0 pp $81.5K 13,251
HELD SIEB SIEBERT FINL CORP 0.0 % 0.0 % +0.0 pp $80.7K 48,906
HELD XTNT XTANT MED HLDGS INC 0.0 % 0.0 % +0.0 pp $80.6K 191,369
HELD QHUSD QUHUO LTD 0.0 % 0.0 % +0.0 pp $79.9K 12,086
HELD GEG GREAT ELM GROUP INC 0.0 % 0.0 % +0.0 pp $79.9K 36,630
HELD ? PAYSAFE LIMITED 0.0 % 0.0 % +0.0 pp $79.3K 10,622
HELD SHPH SHUTTLE PHARMACTCLS HLDGS IN 0.0 % 0.0 % +0.0 pp $79.2K 24,354
HELD AZ A2Z CUST2MATE SOLUTIONS CORP 0.0 % 0.0 % +0.0 pp $79.0K 13,580
HELD LAWR ROBOT CONSULTING CO LTD 0.0 % 0.0 % +0.0 pp $78.8K 28,027
HELD UPXI UPEXI INC 0.0 % 0.0 % +0.0 pp $78.7K 100,402
HELD AIXC AIXCRYPTO HOLDINGS INC 0.0 % 0.0 % +0.0 pp $78.7K 66,690
HELD BNKK BONK INC 0.0 % 0.0 % +0.0 pp $77.9K 51,275
HELD SANG SANGOMA TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $77.4K 20,913
HELD XJQCX NUVEEN CR STRATEGIES INCOME 0.0 % 0.0 % +0.0 pp $77.1K 15,855
HELD ? NASUS PHARMA LTD 0.0 % 0.0 % +0.0 pp $77.0K 22,004
HELD COYA COYA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $76.7K 13,105
HELD VIRC VIRCO MFG CO 0.0 % 0.0 % +0.0 pp $76.0K 12,376
HELD ADIL ADIAL PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $75.6K 29,547
HELD ? VANTAGE CORP 0.0 % 0.0 % +0.0 pp $75.5K 121,805
HELD CTXR CITIUS PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $75.5K 124,910
HELD CLIR CLEARSIGN TECHNOLOGIES CORP 0.0 % 0.0 % +0.0 pp $75.5K 20,565
HELD SERA SERA PROGNOSTICS INC 0.0 % 0.0 % +0.0 pp $75.4K 41,411
HELD YI 111 INC 0.0 % 0.0 % +0.0 pp $75.3K 17,339
HELD OGI ORGANIGRAM GLOBAL INC 0.0 % 0.0 % +0.0 pp $75.0K 73,575
HELD ? YATRA ONLINE INC 0.0 % 0.0 % +0.0 pp $75.0K 79,593
HELD ? SCIENJOY HOLDING CORP 0.0 % 0.0 % +0.0 pp $74.0K 94,876
HELD ACRV ACRIVON THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $73.5K 41,276
HELD ? REAL MESSENGER CORP. 0.0 % 0.0 % +0.0 pp $73.0K 148,808
HELD VENU VENU HLDG CORP 0.0 % 0.0 % +0.0 pp $72.4K 31,905
HELD LPSN* LIVEPERSON INC 0.0 % 0.0 % +0.0 pp $71.6K 37,695
HELD KRKR 36KR HOLDINGS INC 0.0 % 0.0 % +0.0 pp $71.5K 28,051
HELD IMSR TERRESTRIAL ENERGY INC 0.0 % 0.0 % +0.0 pp $71.2K 10,061
HELD CRBU CARIBOU BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $71.1K 40,415
HELD CRWS CROWN CRAFTS INC 0.0 % 0.0 % +0.0 pp $70.9K 24,951
HELD ? GREENLAND TECHNOLOGIES HLDG 0.0 % 0.0 % +0.0 pp $70.7K 128,990
HELD FEMY FEMASYS INC 0.0 % 0.0 % +0.0 pp $70.7K 16,921
HELD KGEI KOLIBRI GLOBAL ENERGY INC 0.0 % 0.0 % +0.0 pp $70.6K 14,174
HELD NIU NIU TECHNOLOGIES 0.0 % 0.0 % +0.0 pp $70.6K 35,117
HELD BRAG BRAGG GAMING GROUP INC 0.0 % 0.0 % +0.0 pp $70.5K 41,002
HELD ACCS ACCESS NEWSWIRE INC 0.0 % 0.0 % +0.0 pp $70.3K 10,816
HELD XNROX NEUBERGER R/EST SECS INC FD 0.0 % 0.0 % +0.0 pp $70.3K 23,193
HELD AWRE AWARE INC MASS 0.0 % 0.0 % +0.0 pp $69.9K 51,804
HELD NL NLI HOLDINGS INC 0.0 % 0.0 % +0.0 pp $69.7K 11,717
HELD PLAG PLANET GREEN HLDGS CORP 0.0 % 0.0 % +0.0 pp $69.6K 31,370
HELD SNES SENESTECH INC 0.0 % 0.0 % +0.0 pp $69.5K 46,671
HELD ? BLACK TITAN CORP 0.0 % 0.0 % +0.0 pp $69.1K 93,327
HELD ? ENTERA BIO LTD 0.0 % 0.0 % +0.0 pp $68.7K 38,804
HELD AHG AKSO HEALTH GROUP 0.0 % 0.0 % +0.0 pp $68.6K 46,026
HELD ? HIGHWAY HLDGS LTD 0.0 % 0.0 % +0.0 pp $68.5K 86,583
HELD BGMS BIO GREEN MED SOLUTION INC 0.0 % 0.0 % +0.0 pp $68.5K 75,240
HELD EONR EON RESOURCES INC 0.0 % 0.0 % +0.0 pp $68.3K 154,636
HELD ? CURRENC GROUP INC 0.0 % 0.0 % +0.0 pp $68.0K 25,195
HELD OGCP EMPIRE ST RLTY OP L P 0.0 % 0.0 % +0.0 pp $67.9K 11,328
HELD SPRU SPRUCE POWER HOLDING CORP 0.0 % 0.0 % +0.0 pp $67.9K 26,319
HELD ? OXBRIDGE RE HLDGS LTD 0.0 % 0.0 % +0.0 pp $67.8K 65,855
HELD ? YD BIO LTD 0.0 % 0.0 % +0.0 pp $67.7K 30,106
HELD SYPR SYPRIS SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $67.4K 27,720
HELD XBIT XBIOTECH INC 0.0 % 0.0 % +0.0 pp $67.1K 29,192
HELD NHTC NATURAL HEALTH TRENDS CORP 0.0 % 0.0 % +0.0 pp $67.1K 37,888
HELD ? ABLE VIEW GLOBAL INC 0.0 % 0.0 % +0.0 pp $67.1K 60,955
HELD XGN EXAGEN INC 0.0 % 0.0 % +0.0 pp $66.9K 14,393
HELD XBTY GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $66.7K 12,069
HELD DYAI DYADIC INTL INC DEL 0.0 % 0.0 % +0.0 pp $66.6K 74,336
HELD SMSI SMITH MICRO SOFTWARE INC 0.0 % 0.0 % +0.0 pp $66.3K 24,733
HELD BMEA BIOMEA FUSION INC 0.0 % 0.0 % +0.0 pp $66.0K 44,916
HELD ATXG ADDENTAX GROUP CORP 0.0 % 0.0 % +0.0 pp $66.0K 21,777
HELD CREG SMART POWERR CORP 0.0 % 0.0 % +0.0 pp $66.0K 32,031
HELD ? SUNCAR TECHNOLOGY GROUP INC 0.0 % 0.0 % +0.0 pp $65.8K 81,468
HELD BAFN BAYFIRST FINANCIAL CORP 0.0 % 0.0 % +0.0 pp $65.5K 13,091
HELD MOLN MOLECULAR PARTNERS AG 0.0 % 0.0 % +0.0 pp $65.3K 17,179
HELD SONM DNA X INC 0.0 % 0.0 % +0.0 pp $65.1K 12,740
HELD RSSS RESEARCH SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $65.0K 28,003
HELD RMCO ROYALTY MGMT HLDG CORP 0.0 % 0.0 % +0.0 pp $64.6K 24,668
HELD ? DOGNESS INTL CORP 0.0 % 0.0 % +0.0 pp $64.6K 59,269
HELD ? DATASEA INTELLIGENT TECHNOLO 0.0 % 0.0 % +0.0 pp $64.1K 84,301
HELD PMVP PMV PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $63.4K 47,308
HELD SY SO YOUNG INTERNATIONAL INC 0.0 % 0.0 % +0.0 pp $63.3K 42,745
HELD ? BAIRD MED INVT HLDGS LTD 0.0 % 0.0 % +0.0 pp $63.1K 54,895
HELD ? CHECHE GROUP INC 0.0 % 0.0 % +0.0 pp $63.1K 117,080
HELD PYPG THEMES ETF TR 0.0 % 0.0 % +0.0 pp $63.0K 12,312
HELD RVP RETRACTABLE TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $62.9K 87,333
HELD DETX LIBERTY DEFENSE HLDGS LTD 0.0 % 0.0 % +0.0 pp $62.9K 15,523
HELD TOPP TOPPOINT HLDGS INC 0.0 % 0.0 % +0.0 pp $62.4K 58,885
HELD ? FANGDD NETWORK GROUP LTD 0.0 % 0.0 % +0.0 pp $61.7K 94,150
HELD ? CXAPP INC 0.0 % 0.0 % +0.0 pp $61.5K 330,350
HELD ? SCISPARC LTD 0.0 % 0.0 % +0.0 pp $61.1K 11,065
HELD GXAI GAXOS.AI INC 0.0 % 0.0 % +0.0 pp $61.0K 52,170
HELD KFFB KENTUCKY FIRST FED BANCORP 0.0 % 0.0 % +0.0 pp $60.7K 11,941
HELD NTRB NUTRIBAND INC 0.0 % 0.0 % +0.0 pp $60.6K 18,996
HELD ? YIMUTIAN INC 0.0 % 0.0 % +0.0 pp $60.5K 112,289
HELD ? AGM GROUP HOLDINGS INC 0.0 % 0.0 % +0.0 pp $60.2K 50,549
HELD VVR INVESCO SR INCOME TR 0.0 % 0.0 % +0.0 pp $59.9K 19,956
HELD ZVIA ZEVIA PBC 0.0 % 0.0 % +0.0 pp $59.8K 36,698
HELD SINT SINTX TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $59.7K 31,930
HELD GHI GREYSTONE HOUSING IMPACT INV 0.0 % 0.0 % +0.0 pp $59.3K 10,231
HELD CELU CELULARITY INC 0.0 % 0.0 % +0.0 pp $59.2K 99,054
HELD CHRS COHERUS ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $59.0K 42,111
HELD CTOR CITIUS ONCOLOGY INC 0.0 % 0.0 % +0.0 pp $58.9K 90,586
HELD BHST BIOHARVEST SCIENCES INC 0.0 % 0.0 % +0.0 pp $58.2K 20,652
HELD MRM MEDIROM HEALTHCARE TECH INC 0.0 % 0.0 % +0.0 pp $57.8K 56,102
HELD SCNX SCIENTURE HLDGS INC 0.0 % 0.0 % +0.0 pp $57.7K 164,854
HELD QNTM QUANTUM BIOPHARMA LTD 0.0 % 0.0 % +0.0 pp $57.4K 15,863
HELD ? LOGISTIC PROPERTIES OF THE A 0.0 % 0.0 % +0.0 pp $56.9K 16,927
HELD FENG PHOENIX NEW MEDIA LTD 0.0 % 0.0 % +0.0 pp $56.7K 36,617
HELD CENN CENNTRO INC 0.0 % 0.0 % +0.0 pp $56.5K 15,867
HELD ? BOS BETTER ONLINE SOLUTIONS 0.0 % 0.0 % +0.0 pp $56.5K 12,576
HELD ? INVESTMENT MANAGERS SER TR I 0.0 % 0.0 % +0.0 pp $56.4K 17,639
HELD ? ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $56.2K 58,929
HELD HIND VYOME HOLDINGS INC 0.0 % 0.0 % +0.0 pp $55.8K 25,972
HELD ? NOVONIX LIMITED 0.0 % 0.0 % +0.0 pp $55.4K 120,507
HELD BGICF BIRKS GROUP INC 0.0 % 0.0 % +0.0 pp $55.3K 98,032
HELD RDHL REDHILL BIOPHARMA LTD 0.0 % 0.0 % +0.0 pp $55.2K 65,321
HELD ? BEAMR IMAGING LTD 0.0 % 0.0 % +0.0 pp $54.8K 39,163
HELD ? CASTOR MARITIME INC 0.0 % 0.0 % +0.0 pp $54.5K 26,060
HELD HDRNW HADRON ENERGY INC 0.0 % 0.0 % +0.0 pp $54.3K 335,023
HELD TPCS TECHPRECISION CORP 0.0 % 0.0 % +0.0 pp $54.1K 10,318
HELD ? NIP GROUP INC 0.0 % 0.0 % +0.0 pp $53.4K 209,365
HELD ? WAH FU EDUCATION GROUP LIMIT 0.0 % 0.0 % +0.0 pp $53.4K 35,120
HELD LSTA LISATA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $52.8K 15,541
HELD XRTX XORTX THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $52.5K 23,116
HELD CYAB CYABRA INC 0.0 % 0.0 % +0.0 pp $52.0K 132,755
HELD ORIO ORION DIGITAL CORP 0.0 % 0.0 % +0.0 pp $51.7K 60,877
HELD TWAV TAOWEAVE INC 0.0 % 0.0 % +0.0 pp $51.4K 37,237
HELD BEEP MOBILE INFRASTRUCTURE CORP 0.0 % 0.0 % +0.0 pp $51.3K 37,170
HELD ? CBL INTL LTD 0.0 % 0.0 % +0.0 pp $51.2K 148,296
HELD FOXX FOXX DEV HLDGS INC 0.0 % 0.0 % +0.0 pp $51.1K 15,630
HELD ? SILYNXCOM LTD 0.0 % 0.0 % +0.0 pp $50.7K 49,205
HELD ? BARINTHUS BIOTHERAPEUTICS PL 0.0 % 0.0 % +0.0 pp $50.7K 76,754
HELD AACG ATA CREATIVITY GLOBAL 0.0 % 0.0 % +0.0 pp $50.5K 49,001
HELD BCG BINAH CAP GROUP INC 0.0 % 0.0 % +0.0 pp $49.9K 32,395
HELD CCM CONCORD MED SVCS HLDGS LTD 0.0 % 0.0 % +0.0 pp $49.8K 10,543
HELD PACEGBP NERDY INC 0.0 % 0.0 % +0.0 pp $49.2K 53,699
HELD ? GRANITESHARES ETF TR 0.0 % 0.0 % +0.0 pp $48.9K 54,766
HELD BTBD BT BRANDS INC 0.0 % 0.0 % +0.0 pp $48.8K 45,582
HELD PHIO PHIO PHARMACEUTICALS CORP 0.0 % 0.0 % +0.0 pp $48.3K 47,150
HELD ? GALMED PHARMACEUTICALS LTD 0.0 % 0.0 % +0.0 pp $48.3K 86,851
HELD OM OUTSET MED INC 0.0 % 0.0 % +0.0 pp $48.3K 11,179
HELD ? ICON ENERGY CORP 0.0 % 0.0 % +0.0 pp $48.0K 49,031
HELD MRKR MARKER THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $47.8K 32,517
HELD ? BELIVE HLDGS 0.0 % 0.0 % +0.0 pp $47.8K 22,113
HELD VSA VISIONSYS AI INC 0.0 % 0.0 % +0.0 pp $47.5K 11,602
HELD ? PRIMECH HOLDINGS LTD. 0.0 % 0.0 % +0.0 pp $47.4K 74,134
HELD COCP COCRYSTAL PHARMA INC 0.0 % 0.0 % +0.0 pp $47.4K 45,118
HELD ? CHECK CAP LTD 0.0 % 0.0 % +0.0 pp $47.2K 37,728
HELD HFFG HF FOODS GROUP INC 0.0 % 0.0 % +0.0 pp $47.0K 33,357
HELD APRE APREA THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $47.0K 58,600
HELD MGLD THE MARYGOLD COMPANIES INC 0.0 % 0.0 % +0.0 pp $46.9K 39,408
HELD ? FUSION FUEL GREEN PLC 0.0 % 0.0 % +0.0 pp $46.9K 17,682
HELD ? KANDI TECHNOLOGIES GROUP INC 0.0 % 0.0 % +0.0 pp $46.8K 65,577
HELD PAPL PINEAPPLE FINANCIAL INC 0.0 % 0.0 % +0.0 pp $46.6K 46,167
HELD HGBL HERITAGE GLOBAL INC 0.0 % 0.0 % +0.0 pp $46.4K 38,312
HELD GIFT GIFTIFY INC 0.0 % 0.0 % +0.0 pp $46.1K 48,669
HELD ? GAMEHAUS HOLDINGS INC 0.0 % 0.0 % +0.0 pp $46.1K 46,862
HELD BLRX BIOLINE RX LIMITED 0.0 % 0.0 % +0.0 pp $45.9K 14,796
HELD MTR MESA RTY TR 0.0 % 0.0 % +0.0 pp $45.8K 14,789
HELD CNTN CANTON STRATEGIC HOLDINGS IN 0.0 % 0.0 % +0.0 pp $45.8K 16,257
HELD GME/WS GAMESTOP CORP NEW 0.0 % 0.0 % +0.0 pp $45.8K 16,416
HELD IH IHUMAN INC 0.0 % 0.0 % +0.0 pp $45.8K 32,689
HELD IMRN IMMURON LTD 0.0 % 0.0 % +0.0 pp $45.7K 43,123
HELD NMTC NEUROONE MED TECHNOLOGIES CO 0.0 % 0.0 % +0.0 pp $45.7K 15,032
HELD HERE HERE GROUP LTD 0.0 % 0.0 % +0.0 pp $45.6K 23,363
HELD VAI SENMIAO TECHNOLOGY LTD 0.0 % 0.0 % +0.0 pp $45.5K 32,490
HELD INUV INUVO INC 0.0 % 0.0 % +0.0 pp $45.0K 35,690
HELD ? CHEER HLDG INC 0.0 % 0.0 % +0.0 pp $44.9K 24,814
HELD ESYN HWH INTL INC 0.0 % 0.0 % +0.0 pp $44.7K 31,455
HELD AWX AVALON HLDGS CORP 0.0 % 0.0 % +0.0 pp $44.5K 17,855
HELD BTCS BTCS INC 0.0 % 0.0 % +0.0 pp $44.3K 39,942
HELD MSOX ADVISORSHARES TR 0.0 % 0.0 % +0.0 pp $44.3K 13,214
HELD SINO1EUR SINGULARITY FUTURE TECH LTD 0.0 % 0.0 % +0.0 pp $44.1K 146,886
HELD VS VERSUS SYSTEMS INC 0.0 % 0.0 % +0.0 pp $44.1K 34,177
HELD MIST MILESTONE PHARMACEUTICALS IN 0.0 % 0.0 % +0.0 pp $44.1K 32,887
HELD ? FUTURE FINTECH GROUP INC 0.0 % 0.0 % +0.0 pp $43.9K 66,447
HELD FCUV FOCUS UNVL INC 0.0 % 0.0 % +0.0 pp $43.8K 11,539
HELD ? GCL GLOBAL HLDGS LTD 0.0 % 0.0 % +0.0 pp $43.1K 95,620
HELD CIG/C CIA ENERGETICA DE MINAS GERA 0.0 % 0.0 % +0.0 pp $43.0K 14,112
HELD AIRE REALPHA TECH CORP 0.0 % 0.0 % +0.0 pp $42.9K 22,210
HELD TGL TREASURE GLOBAL INC 0.0 % 0.0 % +0.0 pp $42.8K 10,968
HELD ? JIANZHI ED TECHNOLOGY GROUP 0.0 % 0.0 % +0.0 pp $42.5K 286,063
HELD ? SMARTKEM INC 0.0 % 0.0 % +0.0 pp $42.4K 173,063
HELD FTEK FUEL TECH INC 0.0 % 0.0 % +0.0 pp $42.1K 19,070
HELD ICMB INVESTCORP CR MGMT BDC INC 0.0 % 0.0 % +0.0 pp $42.0K 35,918
HELD EFOI ENERGY FOCUS INC 0.0 % 0.0 % +0.0 pp $41.9K 12,705
HELD CDIO CARDIO DIAGNOSTICS HOLDGS IN 0.0 % 0.0 % +0.0 pp $41.8K 19,071
HELD MBIO MUSTANG BIO INC 0.0 % 0.0 % +0.0 pp $41.7K 59,459
HELD PVL PERMIANVILLE RTY TR 0.0 % 0.0 % +0.0 pp $41.4K 24,489
HELD NCNA NUCANA PLC 0.0 % 0.0 % +0.0 pp $41.2K 27,099
HELD PCSA PROCESSA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $40.9K 21,306
HELD ? DIGITAL CURRENCY X TECHNOLOG 0.0 % 0.0 % +0.0 pp $40.7K 37,657
HELD INM INMED PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $40.4K 26,084
HELD OSRH OSR HEALTH INC 0.0 % 0.0 % +0.0 pp $40.4K 127,810
HELD ? WEARABLE DEVICES LTD 0.0 % 0.0 % +0.0 pp $40.4K 24,471
HELD AUST AUSTIN GOLD CORP 0.0 % 0.0 % +0.0 pp $40.2K 36,242
HELD LHAI LINKHOME HLDGS INC 0.0 % 0.0 % +0.0 pp $39.9K 60,401
HELD ? UTSTARCOM HOLDINGS CORP 0.0 % 0.0 % +0.0 pp $39.8K 15,980
HELD REVB REVELATION BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $39.7K 38,579
HELD ? CLPS INCORPORATION 0.0 % 0.0 % +0.0 pp $39.6K 46,893
HELD ? WALDENCAST PLC 0.0 % 0.0 % +0.0 pp $39.5K 22,425
HELD ? PRF TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $39.4K 28,575
HELD SXTP 60 DEGREES PHARMACEUTICALS I 0.0 % 0.0 % +0.0 pp $39.4K 22,362
HELD ? MY SIZE INC 0.0 % 0.0 % +0.0 pp $39.3K 87,316
HELD QSI QUANTUM SI INC 0.0 % 0.0 % +0.0 pp $39.2K 44,335
HELD ? RUANYUN EDAI TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $39.0K 37,503
HELD IXHL INCANNEX HEALTHCARE INC 0.0 % 0.0 % +0.0 pp $38.9K 10,349
HELD LUCD LUCID DIAGNOSTICS INC 0.0 % 0.0 % +0.0 pp $38.9K 36,362
HELD ? MAISON SOLUTIONS INC 0.0 % 0.0 % +0.0 pp $38.7K 56,118
HELD ? VALION BIO INC 0.0 % 0.0 % +0.0 pp $38.5K 74,145
HELD ? INNOVIZ TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $38.4K 50,410
HELD FURY FURY GOLD MINES LIMITED 0.0 % 0.0 % +0.0 pp $38.2K 70,744
HELD ? GREEN CIRCLE DECARBONIZE TEC 0.0 % 0.0 % +0.0 pp $38.2K 67,123
HELD TEAD TEADS HLDG CO 0.0 % 0.0 % +0.0 pp $37.9K 49,473
HELD JCTC JEWETT CAMERON TRADING LTD 0.0 % 0.0 % +0.0 pp $37.5K 15,489
HELD VIP GREENIDGE GENERATION HLDGS I 0.0 % 0.0 % +0.0 pp $37.3K 20,864
HELD BTOC ARMLOGI HOLDING CORP 0.0 % 0.0 % +0.0 pp $36.6K 121,940
HELD HSCS HEARTSCIENCES INC 0.0 % 0.0 % +0.0 pp $36.4K 14,488
HELD WVVI WILLAMETTE VALLEY VINEYARDS 0.0 % 0.0 % +0.0 pp $36.2K 14,417
HELD MAIA MAIA BIOTECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $35.8K 24,890
HELD PBM PSYENCE BIOMEDICAL LTD 0.0 % 0.0 % +0.0 pp $35.8K 11,693
HELD NAAS NAAS TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $35.7K 12,072
HELD VTSI VIRTRA INC 0.0 % 0.0 % +0.0 pp $35.5K 11,296
HELD ? AETHLON MED INC 0.0 % 0.0 % +0.0 pp $35.4K 42,977
HELD OLB OLB GROUP INC 0.0 % 0.0 % +0.0 pp $35.2K 92,502
HELD ? HEALTHY CHOICE WELLNESS CORP 0.0 % 0.0 % +0.0 pp $35.2K 181,577
HELD ? EBANG INTL HLDGS INC 0.0 % 0.0 % +0.0 pp $35.1K 16,081
HELD SSP SCRIPPS E W CO OHIO 0.0 % 0.0 % +0.0 pp $34.2K 12,352
HELD GHG GREENTREE HOSPITALITY GROUP 0.0 % 0.0 % +0.0 pp $34.1K 30,195
HELD AQB AQUABOUNTY TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $34.1K 31,880
HELD ORGN ORIGIN MATERIALS INC 0.0 % 0.0 % +0.0 pp $33.5K 33,828
HELD VUZI VUZIX CORP 0.0 % 0.0 % +0.0 pp $33.4K 11,518
HELD PRT PERMROCK ROYALTY TRUST 0.0 % 0.0 % +0.0 pp $32.9K 14,675
HELD ? MICROPOLIS AI ROBOTICS 0.0 % 0.0 % +0.0 pp $32.8K 17,910
HELD BBLG BONE BIOLOGICS CORP 0.0 % 0.0 % +0.0 pp $32.7K 23,879
HELD ? HUADI INTERNATIONAL GRP CO L 0.0 % 0.0 % +0.0 pp $32.7K 35,556
HELD CMCM CHEETAH MOBILE INC 0.0 % 0.0 % +0.0 pp $32.6K 10,781
HELD SQFT PRESIDIO PPTY TR INC 0.0 % 0.0 % +0.0 pp $32.5K 13,268
HELD YQ 17 ED & TECHNOLOGY GROUP INC 0.0 % 0.0 % +0.0 pp $32.5K 14,764
HELD ? MOBILE-HEALTH NETWORK SOLUTI 0.0 % 0.0 % +0.0 pp $32.5K 10,613
HELD IPM INTELLIGENT PROTECTION MANAG 0.0 % 0.0 % +0.0 pp $32.3K 18,548
HELD WETH WETOUCH TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $32.0K 26,476
HELD SGRP SPAR GROUP INC 0.0 % 0.0 % +0.0 pp $31.5K 38,154
HELD MKZR MACKENZIE RLTY CAP INC 0.0 % 0.0 % +0.0 pp $31.1K 18,172
HELD XCUR EXICURE INC 0.0 % 0.0 % +0.0 pp $31.0K 14,919
HELD FLYE FLY E GROUP INC 0.0 % 0.0 % +0.0 pp $31.0K 14,702
HELD POM POMDOCTOR LTD 0.0 % 0.0 % +0.0 pp $30.8K 21,273
HELD PSEC PROSPECT CAP CORP 0.0 % 0.0 % +0.0 pp $30.4K 13,139
HELD RDI READING INTL INC 0.0 % 0.0 % +0.0 pp $30.2K 23,556
HELD SURG SURGEPAYS INC 0.0 % 0.0 % +0.0 pp $30.0K 83,163
HELD IPST IP STRATEGY HOLDINGS INC 0.0 % 0.0 % +0.0 pp $29.5K 12,574
HELD ? OSTIN TECHNOLOGY GROUP CO LT 0.0 % 0.0 % +0.0 pp $29.4K 34,652
HELD ? METALPHA TECHN HOLDING LTD 0.0 % 0.0 % +0.0 pp $29.4K 30,428
HELD LASE LASER PHOTONICS CORP 0.0 % 0.0 % +0.0 pp $29.2K 17,716
HELD SACH SACHEM CAP CORP 0.0 % 0.0 % +0.0 pp $29.2K 30,996
HELD NCPL NETCAPITAL INC 0.0 % 0.0 % +0.0 pp $29.1K 54,283
HELD DVLT DATAVAULT AI INC 0.0 % 0.0 % +0.0 pp $28.6K 81,574
HELD ? CCSC TECHNOLOGY INTL HLDGS L 0.0 % 0.0 % +0.0 pp $28.5K 37,507
HELD BCDA BIOCARDIA INC 0.0 % 0.0 % +0.0 pp $28.5K 22,956
HELD ? ORIGIN AGRITECH LIMITED 0.0 % 0.0 % +0.0 pp $28.3K 27,435
HELD SCWO 374WATER INC 0.0 % 0.0 % +0.0 pp $28.0K 14,726
HELD MCHX MARCHEX INC 0.0 % 0.0 % +0.0 pp $28.0K 17,360
HELD RPID RAPID MICRO BIOSYSTEMS INC 0.0 % 0.0 % +0.0 pp $27.9K 16,142
HELD MDIA MEDIACO HLDG INC 0.0 % 0.0 % +0.0 pp $27.9K 28,302
HELD CGC CANOPY GROWTH CORPORATION 0.0 % 0.0 % +0.0 pp $27.3K 28,744
HELD ? ZK INTL GROUP CO LTD 0.0 % 0.0 % +0.0 pp $27.1K 19,254
HELD TCRT ALAUNOS THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $26.8K 11,870
HELD ? BGIN BLOCKCHAIN LTD 0.0 % 0.0 % +0.0 pp $26.6K 15,105
HELD ? AUSTRALIAN OILSEEDS HLDGS LT 0.0 % 0.0 % +0.0 pp $26.4K 45,422
HELD ? K WAVE MEDIA LTD 0.0 % 0.0 % +0.0 pp $26.3K 177,235
HELD ? YUEDA DIGITAL HOLDING 0.0 % 0.0 % +0.0 pp $25.8K 30,328
HELD CJMB CALLAN JMB INC 0.0 % 0.0 % +0.0 pp $25.8K 32,086
HELD CMND CLEARMIND MEDICINE INC 0.0 % 0.0 % +0.0 pp $25.8K 11,710
HELD NNDM NANO DIMENSION LTD 0.0 % 0.0 % +0.0 pp $25.7K 17,751
HELD RENX RENX ENTERPRISES CORP 0.0 % 0.0 % +0.0 pp $25.4K 13,512
HELD ? GLUCOTRACK INC 0.0 % 0.0 % +0.0 pp $25.4K 79,530
HELD MVOUSD MV OIL TR 0.0 % 0.0 % +0.0 pp $25.3K 14,286
HELD ? CURANEX PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $25.3K 95,258
HELD ? AVALON GLOBOCARE CORP 0.0 % 0.0 % +0.0 pp $25.3K 86,798
HELD EQS EQUUS TOTAL RETURN INC 0.0 % 0.0 % +0.0 pp $25.2K 20,330
HELD ? PMGC HLDGS INC 0.0 % 0.0 % +0.0 pp $25.0K 20,702
HELD ENSC ENSYSCE BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $25.0K 86,193
HELD ? NEXALIN TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $24.9K 75,398
HELD ITP IT TECH PACKAGING INC 0.0 % 0.0 % +0.0 pp $24.9K 134,388
HELD REKR REKOR SYSTEMS INC 0.0 % 0.0 % +0.0 pp $24.9K 35,775
HELD ? ALPS GROUP INC 0.0 % 0.0 % +0.0 pp $24.5K 42,160
HELD SOBR SOBR SAFE INC 0.0 % 0.0 % +0.0 pp $23.9K 32,508
HELD GRI GRI BIO INC 0.0 % 0.0 % +0.0 pp $23.7K 13,376
HELD ? FENBO HOLDINGS LTD 0.0 % 0.0 % +0.0 pp $23.3K 26,163
HELD ? TDH HLDGS INC 0.0 % 0.0 % +0.0 pp $23.3K 18,511
HELD REBN REBORN COFFEE INC 0.0 % 0.0 % +0.0 pp $23.1K 15,292
HELD LUCY INNOVATIVE EYEWEAR INC 0.0 % 0.0 % +0.0 pp $23.1K 29,596
HELD ? FST CORP. 0.0 % 0.0 % +0.0 pp $23.0K 24,167
HELD IPHA INNATE PHARMA S A 0.0 % 0.0 % +0.0 pp $22.9K 12,441
HELD ? IMPACT BIOMEDICAL INC 0.0 % 0.0 % +0.0 pp $22.8K 49,567
HELD ? AURELION INC 0.0 % 0.0 % +0.0 pp $22.5K 10,678
HELD ? ETF OPPORTUNITIES TRUST 0.0 % 0.0 % +0.0 pp $22.2K 14,614
HELD DXLG DESTINATION XL GROUP INC 0.0 % 0.0 % +0.0 pp $22.1K 33,022
HELD PPBT PURPLE BIOTECH LTD 0.0 % 0.0 % +0.0 pp $22.1K 13,166
HELD NEON NEONODE INC 0.0 % 0.0 % +0.0 pp $22.0K 23,425
HELD TPST TEMPEST THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $22.0K 19,820
HELD BRFH BARFRESH FOOD GROUP INC 0.0 % 0.0 % +0.0 pp $21.8K 10,903
HELD ORBS EIGHTCO HOLDINGS INC 0.0 % 0.0 % +0.0 pp $21.7K 31,130
HELD ? MAGIC EMPIRE GLOBAL LTD 0.0 % 0.0 % +0.0 pp $21.6K 16,996
HELD RC READY CAPITAL CORP 0.0 % 0.0 % +0.0 pp $21.4K 12,233
HELD ? EVOGENE LTD 0.0 % 0.0 % +0.0 pp $21.4K 50,526
HELD MGX METAGENOMI THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $21.2K 17,851
HELD FLZH FLASH SPORTS & MEDIA HOLDING 0.0 % 0.0 % +0.0 pp $21.1K 11,110
HELD ? NUVVE HOLDING CORP 0.0 % 0.0 % +0.0 pp $20.9K 52,584
HELD NXGL NEXGEL INC 0.0 % 0.0 % +0.0 pp $20.5K 40,976
HELD HYFM HYDROFARM HLDGS GROUP INC 0.0 % 0.0 % +0.0 pp $20.4K 23,985
HELD ? NOCERA INC 0.0 % 0.0 % +0.0 pp $20.3K 214,972
HELD ? ASIA PACIFIC WIRE & CABLE CO 0.0 % 0.0 % +0.0 pp $19.9K 12,153
HELD ? SNAIL INC 0.0 % 0.0 % +0.0 pp $19.9K 32,045
HELD ENVB ENVERIC BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $19.3K 13,965
HELD ? APTORUM GROUP LIMITED 0.0 % 0.0 % +0.0 pp $19.2K 24,492
HELD ? ZENTA GROUP CO LTD 0.0 % 0.0 % +0.0 pp $19.2K 11,199
HELD ? PING AN BIOMEDICAL CO LTD 0.0 % 0.0 % +0.0 pp $19.0K 114,177
HELD DWTX DOGWOOD THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $18.9K 11,742
HELD ? ORANGEKLOUD TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $18.9K 18,488
HELD ONCY ONCOLYTICS BIOTECH INC 0.0 % 0.0 % +0.0 pp $18.8K 19,813
HELD ? COLLPLANT BIOTECHNOLOGIES LT 0.0 % 0.0 % +0.0 pp $18.7K 53,700
HELD ? ACCO GROUP HLDGS LTD 0.0 % 0.0 % +0.0 pp $18.7K 11,139
HELD BNBX BNB PLUS CORP 0.0 % 0.0 % +0.0 pp $18.3K 52,243
HELD ? LM FDG AMER INC 0.0 % 0.0 % +0.0 pp $18.3K 122,292
HELD PPCB PROPANC BIOPHARMA INC 0.0 % 0.0 % +0.0 pp $18.1K 12,090
HELD ? CDT EQUITY INC 0.0 % 0.0 % +0.0 pp $18.1K 32,295
HELD ? MARIS TECH LTD 0.0 % 0.0 % +0.0 pp $18.0K 18,344
HELD ? E-POWER INC 0.0 % 0.0 % +0.0 pp $17.7K 28,963
HELD MIRA MIRA PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $17.7K 18,661
HELD ETS ELITE EXPRESS HOLDING INC. 0.0 % 0.0 % +0.0 pp $17.5K 20,568
HELD QETAR QUETTA ACQUISITION CORP 0.0 % 0.0 % +0.0 pp $17.4K 24,865
HELD ? REE AUTOMOTIVE LTD 0.0 % 0.0 % +0.0 pp $17.0K 86,891
HELD TELO TELOMIR PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $17.0K 13,266
HELD NWTG NEWTON GOLF COMPANY INC 0.0 % 0.0 % +0.0 pp $16.9K 20,133
HELD ? NANO X IMAGING LTD 0.0 % 0.0 % +0.0 pp $16.4K 14,119
HELD MSN EMERSON RADIO CORP 0.0 % 0.0 % +0.0 pp $16.3K 45,650
HELD RKDA ARCADIA BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $16.1K 23,738
HELD NCLX NORTHANN CORP 0.0 % 0.0 % +0.0 pp $16.0K 100,592
HELD OPENW OPENDOOR TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $15.9K 32,100
HELD CNET ZW DATA ACTION TECHNOLOGS IN 0.0 % 0.0 % +0.0 pp $15.8K 12,703
HELD ? SCINAI IMMUNOTHERAPEUTICS LT 0.0 % 0.0 % +0.0 pp $15.7K 62,257
HELD MERC MERCER INTL INC 0.0 % 0.0 % +0.0 pp $15.6K 23,705
HELD FEAM 5E ADVANCED MATERIALS INC 0.0 % 0.0 % +0.0 pp $15.6K 11,203
HELD VTGN VISTAGEN THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $15.6K 68,839
HELD ? BON NATURAL LIFE LIMITED 0.0 % 0.0 % +0.0 pp $15.0K 12,620
HELD ? EXPION360 INC 0.0 % 0.0 % +0.0 pp $14.9K 33,057
HELD ? EASTERN INTL LTD 0.0 % 0.0 % +0.0 pp $14.8K 17,481
HELD AZTR AZITRA INC 0.0 % 0.0 % +0.0 pp $14.5K 86,242
HELD VRME VERIFYME INC 0.0 % 0.0 % +0.0 pp $14.4K 23,405
HELD ? NETCLASS TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $14.2K 101,204
HELD ? ALPHA COMPUTE CORP 0.0 % 0.0 % +0.0 pp $14.0K 55,182
HELD ? FAST TRACK GROUP 0.0 % 0.0 % +0.0 pp $13.5K 30,418
HELD ? ITONIC HOLDINGS LTD 0.0 % 0.0 % +0.0 pp $13.1K 43,379
HELD AIDX 20/20 BIOLABS INC 0.0 % 0.0 % +0.0 pp $12.8K 23,205
HELD ? ABITS GROUP INC 0.0 % 0.0 % +0.0 pp $12.7K 10,980
HELD ? WHEELER REAL ESTATE INVT TR 0.0 % 0.0 % +0.0 pp $12.6K 10,091
HELD ? LA ROSA HLDGS CORP 0.0 % 0.0 % +0.0 pp $12.6K 10,832
HELD ? KNOREX LTD. 0.0 % 0.0 % +0.0 pp $12.4K 25,637
HELD AUID AUTHID INC 0.0 % 0.0 % +0.0 pp $12.1K 11,334
HELD VSTD VESTAND INC. 0.0 % 0.0 % +0.0 pp $12.0K 55,947
HELD ? BED BATH & BEYOND INC 0.0 % 0.0 % +0.0 pp $12.0K 28,501
HELD ? KANDAL M VENTURE LTD 0.0 % 0.0 % +0.0 pp $11.3K 39,567
HELD MDCX MEDICUS PHARMA LTD 0.0 % 0.0 % +0.0 pp $11.2K 25,102
HELD ? BRENMILLER ENERGY LTD 0.0 % 0.0 % +0.0 pp $11.0K 13,539
HELD ? INTEGRATED MEDIA TECHNLOGY L 0.0 % 0.0 % +0.0 pp $10.9K 23,029
HELD ADGM ADAGIO MED HLDGS INC 0.0 % 0.0 % +0.0 pp $10.5K 16,155
HELD GVHGF VISIONARY HOLDINGS INC 0.0 % 0.0 % +0.0 pp $10.4K 50,807
HELD ? REITAR LOGTECH HLDGS LTD 0.0 % 0.0 % +0.0 pp $10.1K 21,276
HELD ? DELIXY HLDGS LTD 0.0 % 0.0 % +0.0 pp $9.9K 22,177
HELD ? DIGITAL ASSET ACQUISITION CO 0.0 % 0.0 % +0.0 pp $9.8K 25,000
HELD ? K-TECH SOLUTIONS CO LTD 0.0 % 0.0 % +0.0 pp $9.7K 11,157
HELD CNTX CONTEXT THERAPEUTICS INC 0.0 % 0.0 % +0.0 pp $9.6K 17,338
HELD HSCSW HEARTSCIENCES INC 0.0 % 0.0 % +0.0 pp $9.6K 187,495
HELD ? ZHIBAO TECHNOLOGY INC 0.0 % 0.0 % +0.0 pp $9.5K 23,140
HELD MTNB MATINAS BIOPHARMA HLDGS INC 0.0 % 0.0 % +0.0 pp $9.5K 15,465
HELD ? CHOWCHOW CLOUD INTL HLDGS LT 0.0 % 0.0 % +0.0 pp $9.4K 24,440
HELD ? KIDZ AI INC 0.0 % 0.0 % +0.0 pp $9.1K 13,476
HELD OPENL OPENDOOR TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $9.1K 32,100
HELD ? CREATIVE GLOBAL TECHNOLOGY H 0.0 % 0.0 % +0.0 pp $8.8K 23,852
HELD SHFS SHF HOLDINGS INC 0.0 % 0.0 % +0.0 pp $8.7K 36,176
HELD ? IM CANNABIS CORP 0.0 % 0.0 % +0.0 pp $8.5K 50,655
HELD ? INNEOVA HOLDINGS LTD. 0.0 % 0.0 % +0.0 pp $8.3K 12,346
HELD ARAY ACCURAY INC DEL 0.0 % 0.0 % +0.0 pp $8.1K 31,551
HELD OPENZ OPENDOOR TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $7.7K 32,100
HELD ? GELTEQ LIMITED 0.0 % 0.0 % +0.0 pp $7.7K 11,457
HELD ? INLIF LTD 0.0 % 0.0 % +0.0 pp $7.6K 131,566
HELD ? LINKAGE GLOBAL INC 0.0 % 0.0 % +0.0 pp $7.4K 21,083
HELD ? GAUZY LTD 0.0 % 0.0 % +0.0 pp $7.3K 15,140
HELD ? ZETA NETWORK GROUP 0.0 % 0.0 % +0.0 pp $6.9K 11,016
HELD ? GOLDEN SUN TECHNOLOGY GROUP 0.0 % 0.0 % +0.0 pp $6.6K 19,684
HELD ? LIMINATUS PHARMA INC. 0.0 % 0.0 % +0.0 pp $6.2K 56,089
HELD ? GLOBAL ENGINE GROUP HOLDING 0.0 % 0.0 % +0.0 pp $6.1K 13,928
HELD ? RECON TECHNOLOGY LTD 0.0 % 0.0 % +0.0 pp $5.9K 14,777
HELD ? FIFTH ERA ACQUISITION CORP I 0.0 % 0.0 % +0.0 pp $5.6K 16,000
HELD ? GUARDFORCE AI CO LTD 0.0 % 0.0 % +0.0 pp $5.6K 13,964
HELD SVIAW PROCAP FINL INC 0.0 % 0.0 % +0.0 pp $5.3K 26,443
HELD ? ICZOOM GROUP INC. 0.0 % 0.0 % +0.0 pp $5.1K 17,221
HELD ? OHMYHOME LTD 0.0 % 0.0 % +0.0 pp $4.9K 10,512
HELD ? PHAOS TECHNOLOGY HLDGS (CAYM 0.0 % 0.0 % +0.0 pp $4.6K 16,400
HELD ? OFA GROUP 0.0 % 0.0 % +0.0 pp $4.4K 23,385
HELD ? VSEE HEALTH INC 0.0 % 0.0 % +0.0 pp $3.9K 33,557
HELD ? TRYHARD HLDGS LTD 0.0 % 0.0 % +0.0 pp $3.6K 12,481
HELD ? ABLE VIEW GLOBAL INC 0.0 % 0.0 % +0.0 pp $3.5K 212,757
HELD EONR/WS EON RESOURCES INC 0.0 % 0.0 % +0.0 pp $3.4K 44,599
HELD ? ONFOLIO HOLDINGS INC 0.0 % 0.0 % +0.0 pp $3.2K 11,070
HELD ? DIANA SHIPPING INC 0.0 % 0.0 % +0.0 pp $2.6K 17,098
HELD BIAFW BIOAFFINITY TECHNOLOGIES INC 0.0 % 0.0 % +0.0 pp $2.4K 17,162
HELD ? QUANTUM LEAP ACQUISITION COR 0.0 % 0.0 % +0.0 pp $2.2K 16,808
HELD SNYRQ SYNERGY CHC CORP 0.0 % 0.0 % +0.0 pp $2.2K 10,902
HELD RCKTW ROCKET PHARMACEUTICALS INC 0.0 % 0.0 % +0.0 pp $1.9K 310,370
HELD PARAW BANZAI INTERNATIONAL INC 0.0 % 0.0 % +0.0 pp $1.7K 173,863
HELD LUCYW INNOVATIVE EYEWEAR INC 0.0 % 0.0 % +0.0 pp $1.6K 28,205
HELD LTRYW SPORTS ENTMT GAMING GLOBAL 0.0 % 0.0 % +0.0 pp $955 94,591
HELD ? APOLLOMICS INC 0.0 % 0.0 % +0.0 pp $883 44,130
HELD TNONW TENON MEDICAL INC 0.0 % 0.0 % +0.0 pp $839 70,499
HELD VSEEW VSEE HEALTH INC 0.0 % 0.0 % +0.0 pp $716 22,385
HELD ? NEXERA TECHNOLOGIES LTD 0.0 % 0.0 % +0.0 pp $709 24,524
HELD ? NEWGENIVF GROUP LIMITED 0.0 % 0.0 % +0.0 pp $705 28,216
HELD SVREW SAVERONE 2014 LTD 0.0 % 0.0 % +0.0 pp $682 62,034
HELD ? GIBO HOLDINGS LTD. 0.0 % 0.0 % +0.0 pp $667 41,707
HELD GIPRW GENERATION INCOME PPTYS INC 0.0 % 0.0 % +0.0 pp $590 25,559
HELD DFSCW KWESST MICRO SYSTEMS INC 0.0 % 0.0 % +0.0 pp $520 15,677
HELD KIDZW KIDZ AI INC 0.0 % 0.0 % +0.0 pp $413 29,080
HELD ? MKDWELL TECH INC 0.0 % 0.0 % +0.0 pp $406 34,707
HELD ? CHECHE GROUP INC 0.0 % 0.0 % +0.0 pp $346 16,092
HELD BNCWW CEA INDUSTRIES INC 0.0 % 0.0 % +0.0 pp $303 16,361
HELD DAICW CID HOLDCO INC 0.0 % 0.0 % +0.0 pp $181 14,613
HELD RQI-R COHEN & STEERS QUALITY INCOM 0.0 % 0.0 % +0.0 pp $150 10,079
HELD REVBW REVELATION BIOSCIENCES INC 0.0 % 0.0 % +0.0 pp $116 18,716

Filing history

Quarter Reported value Positions Filed Form
Q2 2026 $174.1B 6351 2026-09-02 13F-HR/A
Q2 2026 $174.2B 6354 2026-08-14 13F-HR
Q1 2026 $141.1B 6006 2026-05-15 13F-HR
Q4 2025 $147.0B 5870 2026-02-17 13F-HR
Q3 2025 $124.8B 5878 2025-11-14 13F-HR
Q2 2025 $115.3B 5750 2025-08-14 13F-HR
Q1 2025 $102.2B 5860 2025-05-15 13F-HR
Q4 2024 $108.2B 5904 2025-02-14 13F-HR
Q3 2024 $95.8B 5708 2024-11-14 13F-HR
Q2 2024 $101.6B 5817 2024-08-14 13F-HR
Q1 2024 $103.8B 6043 2024-05-15 13F-HR
Q4 2023 $99.3B 5819 2024-02-14 13F-HR
Q3 2023 $92.5B 5815 2023-11-14 13F-HR
Q2 2023 $89.7B 5734 2023-08-14 13F-HR
Q1 2023 $91.5B 5856 2023-05-15 13F-HR
Q4 2022 $86.5B 6010 2023-02-14 13F-HR
Q3 2022 $80.3B 5800 2022-11-14 13F-HR
Q2 2022 $73.5B 5934 2022-08-15 13F-HR
Q1 2022 $86.9B 6259 2022-05-16 13F-HR
Q4 2021 $93.2B 6375 2022-02-14 13F-HR
Q3 2021 $97.5M 20 2022-03-11 13F-HR/A
Q3 2021 $90.2B 6300 2021-11-15 13F-HR
Q2 2021 $96.5B 6345 2021-08-16 13F-HR
Q1 2021 $7.0M 2 2021-05-21 13F-HR/A
Q1 2021 $95.1B 6212 2021-05-21 13F-HR/A
Q1 2021 $95.0B 6212 2021-05-17 13F-HR
Q4 2020 $89.3B 5022 2021-02-16 13F-HR
Q3 2020 $76.0B 4611 2020-11-16 13F-HR
Q2 2020 $73.1B 4577 2020-08-14 13F-HR
Q1 2020 $65.3B 4796 2020-05-15 13F-HR
Q4 2019 $82.5B 4568 2020-02-14 13F-HR
Q3 2019 $79.6B 4611 2019-11-14 13F-HR
Q2 2019 $26.3M 1 2020-02-14 13F-HR/A
Q2 2019 $10.3M 1 2019-11-14 13F-HR/A
Q2 2019 $81.1B 4592 2019-08-14 13F-HR
Q1 2019 $74.4B 4475 2019-05-15 13F-HR
Q4 2018 $45.3M 1 2019-11-14 13F-HR/A
Q4 2018 $17.4M 1 2019-08-14 13F-HR/A
Q4 2018 $130.0M 2 2019-05-15 13F-HR/A
Q4 2018 $65.2B 4446 2019-02-14 13F-HR
Q3 2018 $102.5M 1 2019-05-15 13F-HR/A
Q3 2018 $1.0B 3 2019-02-14 13F-HR/A
Q3 2018 $82.3B 4226 2018-11-13 13F-HR
Q2 2018 $79.5M 1 2019-08-14 13F-HR/A
Q2 2018 $65.7M 1 2019-05-15 13F-HR/A
Q2 2018 $577.3M 2 2019-02-14 13F-HR/A
Q2 2018 $247.4M 1 2018-11-13 13F-HR/A
Q2 2018 $75.2B 4121 2018-08-14 13F-HR/A
Q2 2018 $75.2B 4121 2018-08-10 13F-HR
Q1 2018 $344.5M 2 2019-02-14 13F-HR/A
Q1 2018 $1.1B 2 2018-11-13 13F-HR/A
Q1 2018 $419.5M 2 2018-08-10 13F-HR/A
Q1 2018 $64.5B 3926 2018-05-11 13F-HR
Q4 2017 $74.6B 3823 2018-02-09 13F-HR
Q3 2017 $62.5B 3602 2017-11-09 13F-HR
Q2 2017 $57.6B 3593 2017-08-11 13F-HR
Q1 2017 $56.4B 3606 2017-05-12 13F-HR
Q4 2016 $44.2B 3517 2017-02-10 13F-HR
Q3 2016 $46.6B 3515 2017-01-31 13F-HR/A
Q3 2016 $46.6B 3515 2016-11-10 13F-HR
Q2 2016 $41.9B 3309 2017-01-31 13F-HR/A
Q2 2016 $41.9B 3309 2016-08-12 13F-HR
Q1 2016 $38.8B 3275 2017-01-31 13F-HR/A
Q1 2016 $38.8B 3275 2016-05-13 13F-HR
Q4 2015 $55.7B 3873 2017-01-31 13F-HR/A

Reported as of quarter end, filed up to ~45 days later, not live positions. Values are as reported in the filing (not marked to today’s prices).