BUYO
KraneShares Man Buyout Beta Index ETF
Krane Shares Trust
ETFIndex fund

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
QIAGEN NV ORD SHARES 0 1,341 1,341 0.43% $53.69K
CCC INTELLIGENT SOLUTIONS HOLD CL A 0 7,642 7,642 0.37% $45.85K
BIGLARI HOLDIN-B 0 135 135 0.36% $44.49K
AMENTUM HOLDINGS INC COMMON STOCK 0 1,439 1,439 0.30% $37.53K
CHEMOURS CO/ THE 0 1,600 1,600 0.28% $35.25K
CLEAN HARBORS INC 0 91 91 0.21% $26.09K
EVERCORE INC A 0 86 86 0.21% $25.67K
PLANET FITNESS INC CL A 0 320 320 0.19% $23.80K
ZETA GLOBAL HOLDINGS CORP 0 1,229 1,229 0.16% $19.57K
PROCORE TECHNOLOGIES INC 0 294 294 0.13% $16.76K
CERTARA INC 0 2,868 2,868 0.13% $16.35K
ENVISTA HOLDINGS CORP 0 636 636 0.13% $16.14K
VARONIS SYSTEMS INC 0 624 624 0.11% $13.40K
KNOWLES CORP 0 482 482 0.10% $12.38K
INVESCO LTD 0 401 401 0.08% $9.74K
PROGRESS SOFTWARE CORP 0 374 374 0.08% $9.59K
METROPOLITAN BANK HOLDING CORP 0 105 105 0.07% $8.75K
CACI INTL-A 0 15 15 0.07% $8.16K
STERLING INFRASTRUCTURE INC 0 18 18 0.06% $7.33K
CALEDONIA MINING CORP PLC COMMON STOCK 0 312 312 0.06% $7.05K
DUCOMMUN INC 0 16 16 0.02% $1.95K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APTARGROUP INC COMMON STOCK 317 0 -317 0.00% -$38.66K
QIAGEN N.V. /EUR/ 0.00000000 841 0 -841 0.00% -$37.82K
VERRA MOBILITY CORP 1,665 0 -1,665 0.00% -$37.31K
MGM RESORTS INTERNATIONAL 958 0 -958 0.00% -$34.96K
CARPENTER TECHNOLOGY CORP 84 0 -84 0.00% -$26.45K
TECHNIPFMC PLC 506 0 -506 0.00% -$22.55K
ITT INC 123 0 -123 0.00% -$21.34K
TIDEWATER INC 397 0 -397 0.00% -$20.05K
MIRION TECHNOLOGIES INC-A 810 0 -810 0.00% -$18.97K
RYDER SYSTEM INC 99 0 -99 0.00% -$18.95K
VOYA FINANCIAL INC 242 0 -242 0.00% -$18.03K
N-ABLE INC 2,154 0 -2,154 0.00% -$16.11K
XOMETRY INC-A 228 0 -228 0.00% -$13.56K
MASIMO CORP 104 0 -104 0.00% -$13.53K
BRIGHT HORIZONS FAMILY SOLUTIONS INC 125 0 -125 0.00% -$12.68K
OPENLANE INC 405 0 -405 0.00% -$12.06K
BLEND LABS INC-A 3,879 0 -3,879 0.00% -$11.79K
RANGE RESOURCES CORP 324 0 -324 0.00% -$11.42K
GULFPORT ENERGY CORP 49 0 -49 0.00% -$10.19K
GCI LIBERTY INC. - CL C 267 0 -267 0.00% -$9.94K
DOMO INC- CL B 1,147 0 -1,147 0.00% -$9.67K
HOME BANCSHARES INC 318 0 -318 0.00% -$8.83K
DEFINITIVE HEALTHCARE CORP COMMON STOCK 2,846 0 -2,846 0.00% -$8.17K
FIRST FIN BANCRP 326 0 -326 0.00% -$8.16K
NATL FUEL GAS CO 98 0 -98 0.00% -$7.85K
NEWTEKONE INC 647 0 -647 0.00% -$7.34K
ANTERO RESOURCES 211 0 -211 0.00% -$7.27K
WYNN RESORTS LTD 54 0 -54 0.00% -$6.50K
CATHAY GENERAL BANCORP 95 0 -95 0.00% -$4.60K
OLD SECOND BNCRP 227 0 -227 0.00% -$4.43K
BANNER CORPORATI 38 0 -38 0.00% -$2.38K
ZUMIEZ INC 47 0 -47 0.00% -$1.22K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NEWS CORP NEW CL A 5,868 6,644 776 1.33% $12.36K
ONTO INNOVATION INC 717 756 39 1.25% $41.85K
TAPESTRY INC 844 1,040 196 1.18% $38.92K
TELADOC HEALTH INC 16,220 23,223 7,003 1.02% $13.03K
RALPH LAUREN CORP 325 344 19 0.95% $3.41K
MKS INSTRUMENTS INC 492 513 21 0.95% $39.27K
PENTAIR PLC 1,173 1,226 53 0.86% -$15.36K
STANDARDAERO INC 3,784 3,930 146 0.82% -$7.01K
MATERION CORP 542 679 137 0.79% $30.84K
ALCOA CORP COMMON STOCK 975 1,451 476 0.77% $44.43K
FLEX LTD 1,322 1,435 113 0.76% $14.06K
LEAR CORP NEW 690 716 26 0.70% $7.62K
API GROUP CORP 2,066 2,137 71 0.70% $7.55K
ELASTIC NV 1,575 1,722 147 0.69% -$32.74K
MATTEL INC 5,541 5,750 209 0.67% -$26.39K
ASANA INC- CL A 7,741 12,884 5,143 0.66% -$23.67K
BORGWARNER INC COMMON STOCK 1,464 1,512 48 0.66% $16.07K
SCOTTS MIRACLE GRO CO 1,287 1,339 52 0.66% $6.33K
OPTION CARE HEALTH INC 2,873 2,991 118 0.65% -$11.02K
MOOG INC-CLASS A 262 272 10 0.64% $15.79K
BRINK'S CO/THE 695 756 61 0.63% -$2.78K
UNITY SOFTWARE INC 2,207 3,552 1,345 0.63% -$19.55K
SKYWEST INC 804 815 11 0.60% -$5.89K
WYNDHAM HOTELS and RESORTS INC 866 892 26 0.58% $7.02K
PURE STORAGE INC CL A 1,161 1,216 55 0.58% -$6.01K
PHINIA INC 887 1,003 116 0.55% $13.04K
ALBEMARLE CORP COMMON STOCK 263 380 117 0.55% $31.02K
AXALTA COATING S 2,305 2,397 92 0.53% -$8.08K
CURTISS WRIGHT CORPORATION 95 97 2 0.53% $13.70K
WORKIVA INC 328 1,056 728 0.51% $34.68K
DYCOM INDUSTRIES INC 175 183 8 0.50% $2.87K
PORCH GROUP INC 6,363 8,543 2,180 0.49% $3.16K
ALLEGIANT TRAVEL CO 551 741 190 0.48% $13.07K
GUIDEWIRE SOFTWARE INC 220 401 181 0.48% $15.75K
PELOTON INTERACTIVE INC CL A 13,054 13,888 834 0.48% -$20.83K
ICU MEDICAL INC 341 458 117 0.48% $10.50K
WILLDAN GROUP IN 635 768 133 0.47% -$7.03K
EAGLE MATERIALS INC 108 306 198 0.47% $35.65K
AVIENT CORP 1,516 1,589 73 0.46% $10.32K
TEXAS CAPITAL BANCSHARES INC 568 584 16 0.45% $3.98K
StoneCompany Ltd. - 3,666 3,791 125 0.43% -$691
MATCH GROUP INC 895 1,738 843 0.43% $24.47K
TENABLE HOLDINGS INC 1,848 3,141 1,293 0.43% $9.65K
GATES INDUSTRIAL 2,170 2,253 83 0.41% $4.35K
BANDWIDTH INC-A 2,714 2,830 116 0.41% $8.50K
LINDBLAD EXPEDITIONS HOLDINGS 2,780 2,897 117 0.40% $10.03K
DARLING INGREDIENTS INC 754 795 41 0.40% $22.03K
ONEMAIN HOLDINGS INC 905 912 7 0.39% -$12.35K
ATMUS FILTRATION TECHNOLOGIES INC 834 850 16 0.39% $4.96K
COMPASS MINERALS INTL INC 1,832 2,008 176 0.38% $10.91K
WEBSTER FINL 653 663 10 0.37% $4.93K
WOODWARD INC 125 127 2 0.37% $7.67K
ETSY INC 380 903 523 0.36% $24.06K
ZOOMINFO TECHNOLOGIES INC 3,123 7,476 4,353 0.36% $12.95K
AMBARELLA INC 443 833 390 0.34% $11.50K
LIBERTY LATIN AMERIC CL C COMMON STOCK USD.01 4,465 4,592 127 0.33% $7.19K
PLEXUS CORP 194 199 5 0.32% $11.79K
WEAVE COMMUNICATIONS INC 2,239 8,685 6,446 0.32% $23.13K
COMMERCIAL METALS CO 362 646 284 0.32% $14.63K
SOTERA HEALTH CO 2,108 2,735 627 0.32% $2.03K
CHURCHILL DOWNS INC 402 426 24 0.31% -$7.47K
REINSURANCE GROUP OF AMERICA 182 187 5 0.31% $1.15K
VIAVI SOLUTIONS INC 881 1,109 228 0.30% $21.21K
INNOVIVA INC 1,559 1,563 4 0.29% $5.25K
GRINDR INC 1,260 2,841 1,581 0.28% $17.29K
KBR INC 817 916 99 0.27% $920
FIVE9 INC 713 2,221 1,508 0.27% $19.40K
CONTANGO SILVER 1,229 1,771 542 0.27% $748
MURPHY USA INC 61 63 2 0.25% $6.51K
BELDEN INC COMMON STOCK 256 258 2 0.24% -$211
IRIDIUM COMMUNICATIONS INC 989 1,050 61 0.23% $11.94K
BRUNSWICK CORP 139 394 255 0.23% $18.35K
MESA LABS 279 298 19 0.21% $4.45K
GOLD.COM INC 604 615 11 0.20% $4.08K
WERNER ENTERPRISES INC 403 830 427 0.20% $12.32K
TUTOR PERINI CORP 281 316 35 0.20% $5.56K
BJ'S RESTAURANTS INC 521 691 170 0.20% $3.73K
CENTRAL GARDEN and PET CO CL A 652 699 47 0.18% $3.63K
XPERI INC 3,617 3,839 222 0.17% $303
LIFE TIME GROUP HOLDINGS INC 679 727 48 0.16% $1.54K
XPONENTIAL FITNESS INC 1,637 3,196 1,559 0.15% $5.77K
INTERFACE INC 731 741 10 0.15% -$1.94K
ITRON INC 89 199 110 0.14% $9.57K
VF CORP 954 1,022 68 0.14% $115
BRIGHTSPHERE INVESTMENT GROUP INC 225 311 86 0.14% $6.35K
GENTHERM INC 560 586 26 0.13% -$4.09K
BENCHMARK ELECTRONICS INC 262 264 2 0.12% $3.60K
INSEEGO CORP 1,164 1,291 127 0.12% $2.40K
SAVERS VALUE VILLAGE INC 1,617 1,708 91 0.10% -$2.40K
ASPEN AEROGELS INC 3,005 3,532 527 0.10% $3.58K
REYNOLDS CONSUMER PRODUCTS INC 253 267 14 0.05% -$144
SPROUT SOCIAL INC 393 444 51 0.02% -$1.90K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DIGITALOCEAN HOLDINGS INC 2,883 2,660 -223 1.84% $89.44K
COHERENT CORP 732 718 -14 1.38% $35.93K
MILLICOM INTL CELLULAR S.A. COMMON STOCK USD1.5 2,009 1,952 -57 1.18% $34.90K
ENCOMPASS HEALTH CORP 1,422 1,358 -64 1.06% -$19.57K
AXIS CAPITAL 1,305 1,266 -39 1.03% -$11.37K
MASTEC INC 396 387 -9 1.00% $38.43K
TTM TECHNOLOGIES INC 1,433 1,226 -207 0.96% $20.56K
ENERSYS INC 911 657 -254 0.92% -$19.56K
ELANCO ANIMAL HEALTH INC 5,110 4,736 -374 0.91% -$2.31K
US FOODS HOLDING CORP 1,515 1,200 -315 0.89% -$3.46K
ATI INC 985 718 -267 0.84% -$8.60K
HECLA MINING CO 5,842 5,439 -403 0.82% -$10.78K
AMNEAL PHARM INC 7,717 7,563 -154 0.76% -$3.23K
AFFILIATED MANAGERS GROUP COMMON STOCK 330 325 -5 0.72% -$5.20K
CIENA CORP 418 229 -189 0.72% -$8.85K
FLOWSERVE CORP 1,223 1,170 -53 0.69% $1.15K
LivaNova PLC ORD GBP1.00 (DI) 1,301 1,276 -25 0.65% $1.05K
MUELLER WATER PRODUCTS INC A 2,904 2,893 -11 0.64% $10.36K
FRONTDOOR INC 1,767 1,457 -310 0.62% -$24.92K
TEXTRON INC 887 877 -10 0.62% -$530
BRIGHTSPRING HEALTH SERVICES INC 1,839 1,791 -48 0.61% $7.44K
GEN DIGITAL INC 4,103 3,993 -110 0.60% -$36.37K
INGREDION INC 654 647 -7 0.59% $781
Q2 HOLDINGS INC 1,589 1,539 -50 0.59% -$41.87K
RINGCENTRAL INC CL A 2,400 1,956 -444 0.59% $3.43K
COCA COLA CONSOLIDATED INC 372 356 -16 0.55% $11.23K
UIPATH INC -CL A 6,466 6,059 -407 0.54% -$38.72K
WAYSTAR HOLDING CORP 3,052 2,694 -358 0.52% -$35.00K
LIFESTANCE HEALTH GROUP INC 10,147 10,116 -31 0.52% -$7.00K
WAYFAIR INC- A 1,165 841 -324 0.51% -$53.73K
TURNING POINT BRANDS INC 837 712 -125 0.50% -$28.94K
SKYWATER TECHNOLOGY INC 3,477 2,118 -1,359 0.47% -$5.09K
GENPACT LTD 1,615 1,540 -75 0.46% -$18.18K
MAGNITE INC 4,844 4,735 -109 0.45% -$22.37K
IMAX CORP COMMON STOCK 1,844 1,476 -368 0.45% -$12.05K
MERCURY GENERAL CORP 628 606 -22 0.43% -$5.65K
NUTANIX INC CL A 1,393 1,368 -25 0.42% -$20.01K
AZZ INC COMMON STOCK 492 381 -111 0.38% -$5.06K
NATURAL GROCERS VIT GROC INC 1,899 1,808 -91 0.38% -$833
SELECTIVE INSURANCE GROUP INC 601 598 -3 0.36% -$5.20K
APPIAN CORP CL A 1,936 1,852 -84 0.36% -$23.92K
RAMBUS INC 757 518 -239 0.36% -$25.00K
MAREX GRP. PLC 1,072 988 -84 0.35% $2.92K
DYNATRACE INC 1,252 1,182 -70 0.35% -$10.55K
HEALTHEQUITY INC 603 502 -101 0.34% -$13.29K
MORNINGSTAR INC 272 246 -26 0.33% -$17.52K
FIRSTCASH HOLDINGS INC 226 219 -7 0.33% $5.15K
SENSIENT TECHNOLOGIES CORP 730 474 -256 0.33% -$27.61K
ENOVA INTL INC 310 300 -10 0.33% -$7.98K
ALLISON TRANSMISSION HLDGS INC 393 343 -50 0.32% $1.68K
FTI CONSULTING INC 232 218 -14 0.31% -$1.10K
XERIS BIOPHARMA HOLDINGS INC COMMON STOCK 6,813 6,548 -265 0.31% -$15.50K
CHEFS WAREHOUSE INC 690 638 -52 0.31% -$5.08K
AECOM 576 441 -135 0.30% -$17.50K
TRAVEL+LEISURE CO 670 535 -135 0.30% -$10.24K
TACTILE SYSTEMS TECHNOLOGY INC 1,817 1,400 -417 0.29% -$16.11K
NEWMARKET CORP 58 56 -2 0.29% -$3.97K
PRIMORIS SVCS CORP 434 245 -189 0.28% -$18.83K
BLACK HILLS CORP COMMON STOCK 559 485 -74 0.27% -$5.14K
ARLO TECHNOLOGIES INC 3,041 2,346 -695 0.27% -$9.16K
TETRA TECH INC 1,201 1,104 -97 0.27% -$7.03K
MANHATTAN ASSOCIATES INC 246 242 -4 0.26% -$10.42K
LITTELFUSE INC 102 94 -8 0.26% $6.10K
HANOVER INSURANCE GROUP INC 188 179 -9 0.25% -$3.33K
PITNEY-BOWES INC 2,892 2,807 -85 0.25% $449
KNIFE RIVER HOLDING CO W/I 567 378 -189 0.25% -$9.02K
SSR MINING INC 1,118 1,031 -87 0.24% $5.80K
GLOBE LIFE INC COMMON STOCK 216 204 -12 0.23% -$1.82K
Dole PLC ORD SHS 1,997 1,920 -77 0.22% -$2.50K
AMERIS BANCORP 398 335 -63 0.21% -$3.43K
IAC INC 687 643 -44 0.21% -$1.12K
DANA INC 1,442 730 -712 0.20% -$9.70K
NORTHWESTERN ENERGY GROUP INC 386 369 -17 0.20% -$581
UNIVERSAL DISPLAY CORP 483 260 -223 0.19% -$32.57K
UNIVERSAL HLTH-B 152 127 -25 0.18% -$10.41K
PEGASYSTEMS INC 505 489 -16 0.17% -$9.35K
SPRINKLR INC-A 3,621 3,426 -195 0.17% -$7.62K
AVERY DENNISON CORP COMMON STOCK 248 118 -130 0.16% -$24.73K
Liberty Global Ltd - C Shares 2,669 1,680 -989 0.16% -$9.76K
PALOMAR HOLDINGS 203 160 -43 0.15% -$8.24K
EVERUS CONSTRUCTION GROUP INC 185 159 -26 0.15% $2.94K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 207 84 -123 0.15% -$16.80K
SENECA FOODS CORP CL A 130 118 -12 0.14% $3.45K
HILLMAN SOLUTIONS CORP 2,584 2,011 -573 0.13% -$5.65K
MEDIAALPHA INC CL A 1,860 1,729 -131 0.13% -$8.01K
PAGERDUTY INC 3,512 2,509 -1,003 0.13% -$30.46K
CLEARWAY ENERGY INC CL C 510 369 -141 0.12% -$2.46K
DOUGLAS DYNAMICS INC 360 336 -24 0.11% $2.39K
KULICKE and SOFFA INDUSTRIES INC 290 206 -84 0.11% $326
NRG ENERGY INC 139 90 -49 0.11% -$8.98K
YEXT INC 3,442 3,350 -92 0.10% -$14.88K
NEOGENOMICS INC 1,790 1,703 -87 0.10% -$8.41K
PHOTRONICS INC 507 310 -197 0.10% -$3.70K
OCEANEERING INTL 632 335 -297 0.10% -$3.30K
MAXIMUS INC 354 172 -182 0.09% -$19.53K
FRESHWORKS INC CL A 1,482 1,320 -162 0.09% -$7.55K
Ibex Ltd. SHS NEW 391 369 -22 0.08% -$5.03K
UNIVERSAL INSURANCE HLDGS INC 308 283 -25 0.08% -$743
NIQ GLOBAL INTEL 952 848 -104 0.08% -$6.06K
WORLD KINECT CORP 437 412 -25 0.08% -$734
BOYD GAMING CORP 535 100 -435 0.07% -$37.39K
UNITED FIRE GROUP INC 233 219 -14 0.07% -$353
PENGUIN SOLUTIONS INC 1,065 406 -659 0.06% -$13.69K
SEADRILL LIMITED 277 157 -120 0.06% -$2.44K
ROCKY BRANDS INC 222 161 -61 0.05% -$277
WOLVERINE WORLD WIDE INC 970 371 -599 0.05% -$11.55K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JABIL INC 580 580 0 1.24% $21.81K
GENERAC HOLDINGS INC 549 549 0 0.86% $32.37K
HASBRO INC 1,060 1,060 0 0.80% $12.30K
BWX TECHNOLOGIES INC 429 429 0 0.71% $13.58K
ACI WORLDWIDE INC COMMON STOCK 1,936 1,936 0 0.64% -$13.16K
ARAMARK 1,941 1,941 0 0.63% $7.14K
OGE ENERGY CORP 1,489 1,489 0 0.57% $7.83K
KAISER ALUMINUM 522 522 0 0.51% $2.95K
AUTONATION INC 318 318 0 0.50% -$3.57K
ASSURANT INC 281 281 0 0.49% -$6.47K
GXO LOGISTICS INC 1,141 1,141 0 0.48% -$901
SOUTHWEST GAS HOLDINGS INC 539 539 0 0.38% $3.71K
MINERALS TECHNOLOGIES INC 641 641 0 0.37% $6.39K
VALMONT INDUSTRIES INC 100 100 0 0.32% -$275
NVENT ELECTRIC 305 305 0 0.29% $4.97K
DONNELLEY FINANCIAL SOLUTIONS INC 721 721 0 0.27% $324
Adient PLC ORD SHS 1,540 1,540 0 0.25% $1.60K
CRANE CO 182 182 0 0.25% -$2.44K
CONSTELLIUM SE COMMON STOCK EUR.02 1,246 1,246 0 0.25% $7.14K
NISOURCE INC 610 610 0 0.23% $2.99K
INGLES MARKETS INC-CL A 310 310 0 0.22% $6.62K
ATRICURE INC 963 963 0 0.22% -$10.62K
GARRETT MOTION INC 1,330 1,330 0 0.19% $984
TD SYNNEX CORP 141 141 0 0.19% $2.61K
LITHIA MOTORS INC CL A 86 86 0 0.17% -$7.10K
SMITHFIELD FOODS 752 752 0 0.17% $4.24K
AMERICAN PUBLIC EDUCATION INC 369 369 0 0.17% $7.04K
COMMERCE.COM INC 7,673 7,673 0 0.16% -$11.13K
INTL BANCSHARES 298 298 0 0.16% $253
UNIVERSAL CORP 324 324 0 0.14% -$16
SONIC AUTOMOTIVE INC CL A 225 225 0 0.12% $1.51K
PRIMERICA INC 58 58 0 0.12% -$457
BJS WHSL CLUB HLDGS INC 142 142 0 0.11% $1.19K
AVEANNA HEALTHCARE HOLDINGS INC 2,134 2,134 0 0.11% -$3.69K
MOHAWK INDUSTRIES INC 137 137 0 0.11% -$1.49K
CARRIAGE SERVICES INC 279 279 0 0.10% $937
HARMONIC INC 1,375 1,375 0 0.10% -$1.25K
APPLIED INDU TEC 46 46 0 0.10% $393
OOMA INC 784 784 0 0.09% $2.21K
SIRIUSPOINT LTD 519 519 0 0.09% -$182
GREAT LAKES DREDGE and DOCK CORP 639 639 0 0.09% $2.48K
AVISTA CORP 265 265 0 0.09% $424
ORIGIN BANCORP INC 248 248 0 0.08% $955
SPIRE INC 111 111 0 0.08% $870
FIRST MERCHANTS CORP 243 243 0 0.08% $304
QCR HOLDINGS INC 106 106 0 0.07% $228
LINCOLN ELECTRIC HLDGS INC 36 36 0 0.07% $340
ICF INTERNATIONAL INC 136 136 0 0.07% -$2.72K
SCIENCE APPLICATIONS INTERNATIONAL CORP 91 91 0 0.07% -$522
ENTERPRISE FINL SVCS CORP 159 159 0 0.07% $17
RED ROCK RESORTS INC 160 160 0 0.07% -$1.37K
OPTIMIZERX CORP 1,300 1,300 0 0.07% -$7.77K
RAPID7 INC 1,440 1,440 0 0.06% -$13.95K
PILGRIM'S PRIDE CORP NEW 209 209 0 0.06% -$257
CENTURI HOLDINGS INC 248 248 0 0.06% $982
FIRST FIN COR/IN 114 114 0 0.06% $317
ENHABIT INC 468 468 0 0.05% $2.28K
TAYLOR MORRISON HOME CORP 110 110 0 0.05% -$69
CONMED CORP 178 178 0 0.05% -$933
ORION GROUP HOLDINGS INC 561 561 0 0.05% $539
CRA INTERNATIONAL INC 33 33 0 0.04% -$1.28K
ADT INC 698 698 0 0.04% -$1.05K
EXTREME NETWORKS INC 271 271 0 0.03% -$425
LA-Z-BOY INC 126 126 0 0.03% -$646
ADTRAN HOLDINGS INC 296 296 0 0.03% $1.15K
UNIVEST FINANCIAL CORP 102 102 0 0.03% $155
UNITIL CORP 66 66 0 0.03% $251
REGIONAL MANAGEMENT CORP 75 75 0 0.02% -$488
COMMUNITY TRUST BANCORP INC 36 36 0 0.02% $152
RBC BEARINGS INC 2 2 0 0.01% $189

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.