IJR
iShares Core S&P Small-Cap ETF
iShares 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
ARGAN INC 0 833,204 833,204 0.47% $453.80M
MATCH GROUP INC 0 14,178,432 14,178,432 0.45% $435.42M
MOLINA HEALTHCARE INC 0 3,093,143 3,093,143 0.43% $412.32M
PAYCOM SOFTWARE INC 0 2,934,819 2,934,819 0.37% $356.70M
LAMB WESTON HOLDINGS INC 0 8,340,637 8,340,637 0.37% $352.48M
VERSANT MEDIA GROUP INC - A 0 8,730,649 8,730,649 0.34% $323.21M
VSE CORP 0 1,729,425 1,729,425 0.33% $318.91M
LYFT INC-A 0 23,908,316 23,908,316 0.33% $317.98M
RITHM CAPITAL CORP 0 33,382,632 33,382,632 0.33% $316.47M
PIPER SANDLER CO 0 4,060,527 4,060,527 0.32% $310.83M
LAUREATE EDUCATION INC CL A 0 8,053,254 8,053,254 0.29% $280.58M
APELLIS PHARMACEUTICALS INC 0 6,150,921 6,150,921 0.26% $247.45M
LIFE TIME GROUP HOLDINGS INC 0 9,136,532 9,136,532 0.26% $246.14M
INDIVIOR PHARMACEUTICALS INC 0 7,497,221 7,497,221 0.24% $228.52M
ADT INC 0 30,504,207 30,504,207 0.21% $200.41M
LIFE360 INC 0 4,705,045 4,705,045 0.20% $192.06M
SPHERE ENTERTAINMENT CO 0 1,598,832 1,598,832 0.20% $187.70M
RINGCENTRAL INC CL A 0 4,552,188 4,552,188 0.18% $169.30M
AMNEAL PHARM INC 0 10,189,643 10,189,643 0.13% $126.66M
VITA COCO CO INC/THE 0 2,633,862 2,633,862 0.13% $126.19M
KEMPER CORP 0 3,523,745 3,523,745 0.11% $107.69M
ASGN INC 0 2,562,283 2,562,283 0.10% $99.19M
ZOOMINFO TECHNOLOGIES INC 0 16,122,267 16,122,267 0.10% $96.41M
NAPCO SECURITY TECHNOLOGIES INC 0 2,140,011 2,140,011 0.09% $84.30M
WINMARK CORP 0 177,392 177,392 0.08% $75.84M
MERCHANTS BANCORP 0 1,761,961 1,761,961 0.08% $75.61M
ONESPAWORLD HOLDINGS LTD 0 2,276,895 2,276,895 0.06% $60.88M
LEGALZOOMCOM INC 0 6,911,007 6,911,007 0.04% $39.19M
CFD WARRIOR MET COAL INC 0 2 2 0.01% $9.06M
CFD PAR PACIFIC HOLDINGS INC 0 2 2 0.01% $6.33M
MOELIS CLASS A 0 2 2 0.00% $4.23M
Lumen Technologies, Inc. 0 3 3 0.00% $2.91M
Lincoln National Corp. 0 2 2 0.00% $2.35M
BREAD FINANCIAL HOLDINGS INC COMMON STOCK 0 2 2 0.00% $2.28M
PITNEY BOWES INC 0 2 2 0.00% $1.77M
NATIONAL BANK HOLDINGS CORP CLASS 0 1 1 0.00% $677.23K
CFD EXTREME NETWORKS INC 0 3 3 0.00% $527.54K
Perdoceo Education Corp. 0 1 1 0.00% $369.51K
EMPLOYERS HOLDINGS INC 0 1 1 0.00% $360.68K
PREFERRED BANK 0 2 2 0.00% $287.37K
PROVIDENT FINANCIAL SERVICES INC 0 2 2 0.00% $260.80K
BANKUNITED INC 0 1 1 0.00% $217.34K
PAYONEER GLOBAL INC 0 2 2 0.00% $146.63K
GENWORTH FINANCIAL INC 0 1 1 0.00% $135.45K
UNITED COMMUNITY BANKS INC 0 2 2 0.00% $134.43K
CFD ADEIA INC 0 1 1 0.00% $132.61K
BEACON FINANCIAL CORP COMMON STOCK 0 1 1 0.00% $115.32K
OFG Bancorp 0 1 1 0.00% $84.06K
BANK OF HAWAII CORP COMMON STOCK 0 1 1 0.00% $77.06K
CENTRAL PACIFIC FINANCIAL CORP 0 1 1 0.00% $55.87K
Fulton Financial Corp. 0 1 1 0.00% $32.78K
TRUSTCO BANK CORP 0 1 1 0.00% $15.35K
HANMI FINANCIAL CORP 0 1 1 0.00% $8.40K
BANCORP INC 0 1 1 0.00% -$3.59K
ARBOR REALTY TRUST INC REIT 0 1 1 0.00% -$3.74K
PATHWARD FINANCIAL INC 0 1 1 0.00% -$4.08K
CFD GLOBAL NET LEASE INC 0 1 1 0.00% -$175.48K
CFD_EQS FIN LEG RADIAN GR 0 2 2 0.00% -$671.17K
DOUGLAS EMMETT REIT INC 0 3 3 0.00% -$891.31K
MarketAxess Holdings, Inc. 0 1 1 0.00% -$1.42M
Jackson Financial Inc 0 3 3 0.00% -$2.69M
CFD RADNET INC 0 2 2 -0.01% -$4.80M
Western Union Co./The 0 3 3 -0.01% -$5.65M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ARROWHEAD PHARMACEUTICALS INC 8,242,908 0 -8,242,908 0.00% -$547.25M
INTERDIGITAL INC 1,534,913 0 -1,534,913 0.00% -$488.69M
CARETRUST REIT INC 13,325,597 0 -13,325,597 0.00% -$481.85M
ADV ENERGY INDS 2,250,332 0 -2,250,332 0.00% -$471.15M
SITIME CORP 1,307,155 0 -1,307,155 0.00% -$461.67M
SOLSTICE ADV MAT 9,463,139 0 -9,463,139 0.00% -$459.72M
TTM TECHNOLOGIES INC 6,160,441 0 -6,160,441 0.00% -$425.07M
MOOG INC-CLASS A 1,694,613 0 -1,694,613 0.00% -$412.72M
PIPER SANDLER COS 991,802 0 -991,802 0.00% -$336.93M
INDIVIOR PLC 7,443,278 0 -7,443,278 0.00% -$267.06M
TEGNA INC 9,601,055 0 -9,601,055 0.00% -$186.36M
VICOR CORPORATION 1,354,246 0 -1,354,246 0.00% -$148.43M
HILLENBRAND INC 4,201,736 0 -4,201,736 0.00% -$133.28M
DYNAVAX TECHNOLOGIES CORP 6,024,444 0 -6,024,444 0.00% -$92.66M
ELME COMMUNITIES 5,258,368 0 -5,258,368 0.00% -$91.50M
ALEXANDER & BALD 4,336,466 0 -4,336,466 0.00% -$89.50M
TREEHOUSE FOODS INC 2,648,263 0 -2,648,263 0.00% -$62.47M
CARS.COM INC 3,314,748 0 -3,314,748 0.00% -$40.44M
SUNCOKE ENERGY INC 5,045,202 0 -5,045,202 0.00% -$36.33M
MYRIAD GENETICS INC 5,632,026 0 -5,632,026 0.00% -$34.64M
ARMADA HOFFLER PROPERTIES INC 4,776,307 0 -4,776,307 0.00% -$31.62M
SUMMIT HOTEL PROPERTIES INC 6,454,985 0 -6,454,985 0.00% -$31.44M
GUESS? INC 1,828,803 0 -1,828,803 0.00% -$30.63M
BRANDYWINE RLTY 10,350,632 0 -10,350,632 0.00% -$30.22M
BLOOMIN BRANDS INC 4,644,697 0 -4,644,697 0.00% -$28.66M
ANGI INC 2,204,590 0 -2,204,590 0.00% -$28.51M
DAVE & BUSTER'S 1,659,004 0 -1,659,004 0.00% -$26.89M
KKR REAL ESTATE FINANCE TRUST INC 3,239,037 0 -3,239,037 0.00% -$26.62M
ZSCALER INC 1 0 -1 0.00% -$265.06K
ZSCALER INC 1 0 -1 0.00% $1.10M
ZSCALER INC CFD 1 0 -1 0.00% $5.83M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BLACKROCK CASH FUNDS 1,159,799,065 1,273,431,664 113,632,599 1.33% $113.63M
EASTMAN CHEMICAL CO 6,800,707 6,852,998 52,291 0.54% $88.93M
ELEMENT SOLUTIONS INC 13,561,782 13,662,481 100,699 0.49% $127.53M
PRIMORIS SVCS CORP 3,221,313 3,245,207 23,894 0.48% $64.30M
VIAVI SOLUTIONS INC 13,354,504 13,897,579 543,075 0.48% $224.53M
FORMFACTOR INC 4,621,230 4,655,732 34,502 0.47% $193.79M
LKQ CORP 15,260,434 15,373,374 112,940 0.47% -$9.35M
ESCO TECHNOLOGIES INC 1,539,608 1,555,317 15,709 0.46% $136.80M
CELANESE CORP 6,528,276 6,576,748 48,472 0.45% $156.54M
SEMTECH CORP 5,173,301 5,557,975 384,674 0.45% $46.13M
ARMSTRONG WORLD INDUSTRIES INC 2,571,261 2,590,289 19,028 0.44% -$64.49M
SANMINA CORP 3,253,073 3,279,585 26,512 0.44% -$63.02M
SM ENERGY CO 6,828,277 13,594,325 6,766,048 0.44% $296.18M
AIR LEASE CORP CL A 6,263,456 6,324,989 61,533 0.43% $8.44M
DIGITALOCEAN HOLDINGS INC 4,090,589 4,769,780 679,191 0.43% $212.31M
KRYSTAL BIOTECH INC 1,538,643 1,550,015 11,372 0.42% $21.06M
ZURN ELKAY WATER SOLUTIONS CORP 8,879,733 8,915,715 35,982 0.42% -$13.04M
JOHN BEAN TECHNOLOGIES CORP 3,098,475 3,121,370 22,895 0.42% -$67.72M
FED SIGNAL CORP 3,625,341 3,652,076 26,735 0.41% $1.26M
QORVO INC 5,012,820 5,066,713 53,893 0.41% -$31.47M
TERRENO REALTY CORP 6,164,196 6,256,771 92,575 0.40% $22.39M
ESSENTIAL PROPERTIES REALTY TRUST INC 11,812,946 12,605,216 792,270 0.40% $32.32M
VIASAT INC 8,063,899 8,157,956 94,057 0.39% $95.75M
PROTAGONIST THERAPEUTICS INC 3,503,387 3,529,260 25,873 0.39% $66.00M
SEALED AIR CORP 8,790,995 8,844,772 53,777 0.39% $7.71M
GLAUKOS CORP 3,424,179 3,449,415 25,236 0.39% -$15.26M
NOBLE CORP PLC 7,515,863 7,553,224 37,361 0.39% $158.39M
ARCHROCK INC 10,454,823 10,532,410 77,587 0.38% $94.49M
EVERUS CONSTRUCTION GROUP INC 3,040,840 3,063,391 22,551 0.38% $101.49M
INSTALLED BUILDING PRODUCTS INC 1,350,247 1,360,186 9,939 0.38% $10.41M
ALKERMES PLC 9,843,678 9,915,797 72,119 0.37% $75.20M
MARKETAXESS HLDGS INC 2,024,379 2,125,028 100,649 0.37% -$16.33M
RYMAN HOSPITALITY PPTYS INC 3,756,163 3,783,855 27,692 0.36% -$6.27M
MADISON SQUARE GARDEN SPORTS CORP 1,071,162 1,079,645 8,483 0.36% $69.94M
STONEX GROUP INC 2,768,254 4,205,999 1,437,745 0.35% $75.87M
BRIGHTSPRING HEALTH SERVICES INC 6,773,610 7,950,031 1,176,421 0.35% $85.08M
BALCHEM CORP 1,930,760 1,944,931 14,171 0.34% $33.53M
PTC THERAPEUTICS INC 4,786,593 4,821,738 35,145 0.34% -$35.08M
CALIFORNIA RESOU 4,682,173 4,718,387 36,214 0.34% $117.27M
CAESARS ENTERTAINMENT INC 12,168,191 12,257,942 89,751 0.34% $39.36M
CORE NATURAL RESOURCES INC 3,054,668 3,077,161 22,493 0.34% $51.90M
TELEFLEX INC 2,634,735 2,653,982 19,247 0.33% -$4.10M
ENPRO INDUSTRIES INC 1,255,878 1,265,129 9,251 0.33% $48.18M
GRANITE CONSTRUCTION INC 2,602,276 2,612,210 9,934 0.33% $12.98M
ARCOSA INC 2,923,936 2,945,391 21,455 0.33% $1.75M
POWELL INDUSTRIES INC 561,190 568,768 7,578 0.32% $128.85M
MOHAWK INDUSTRIES INC 3,095,920 3,118,582 22,662 0.32% -$31.33M
MATSON INC 1,858,802 1,872,490 13,688 0.32% $77.32M
AMERIS BANCORP 3,819,059 3,854,053 34,994 0.31% $16.94M
CASELLA WASTE SYS INC CL A 3,726,432 3,753,703 27,271 0.31% -$67.15M
ENPHASE ENERGY INC 7,801,300 7,859,064 57,764 0.31% $47.12M
ETSY INC 5,884,569 5,927,765 43,196 0.31% -$29.97M
KODIAK GAS SERVICES INC 4,954,578 4,991,222 36,644 0.30% $105.79M
MACERICH COMPANY 15,268,780 15,380,602 111,822 0.30% $8.83M
AXOS FINANCIAL INC 3,383,759 3,405,995 22,236 0.30% -$1.73M
PHILLIPS EDISON and CO INC 7,499,716 7,554,549 54,833 0.29% $15.93M
RALLIANT CORP 6,725,208 6,774,338 49,130 0.29% -$60.64M
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 7,516,246 7,665,291 149,045 0.29% $45.46M
LIBERTY ENERGY INC CL A 9,655,134 9,731,816 76,682 0.29% $102.04M
RESIDEO TECHNOLOGIES INC 8,211,437 8,271,542 60,105 0.29% -$9.55M
TG THERAPEUTICS INC 8,105,516 8,164,530 59,014 0.28% $29.60M
BADGER METER INC 1,756,930 1,769,704 12,774 0.28% -$36.81M
BOOT BARN HOLDINGS INC 1,817,392 1,826,835 9,443 0.28% -$53.34M
MYR GROUP INC/DELAWARE 925,398 932,159 6,761 0.27% $60.97M
MILLROSE PROPERTIES INC 9,191,847 9,258,909 67,062 0.27% -$15.31M
MUELLER WATER PRODUCTS INC A 9,339,809 9,390,993 51,184 0.27% $35.68M
CLEAR SECURE INC 5,298,239 5,324,329 26,090 0.27% $71.89M
AAR CORP 2,327,162 2,344,186 17,024 0.27% $63.93M
MDU RESOURCES GROUP INC 12,181,157 12,273,049 91,892 0.26% $16.52M
ACI WORLDWIDE INC 6,145,745 6,190,455 44,710 0.26% -$39.96M
TELEPHONE & DATA 5,887,189 5,901,736 14,547 0.26% $7.09M
ITRON INC 2,730,464 2,750,339 19,875 0.26% -$7.04M
MERIT MEDICAL SYSTEMS INC 3,534,689 3,560,294 25,605 0.26% -$66.14M
RUSH ENTERPRISES INC CL A 3,632,694 3,641,538 8,844 0.25% $44.79M
AMENTUM HOLDINGS INC 9,138,928 9,228,387 89,459 0.25% -$24.35M
PEABODY ENERGY CORP 7,284,121 7,302,188 18,067 0.25% $24.27M
LIGAND PHARMACEUTICALS 1,178,477 1,181,928 3,451 0.25% $13.16M
TANGER INC- REIT 6,862,276 6,912,293 50,017 0.24% $5.89M
TIDEWATER INC 2,753,506 2,771,987 18,481 0.24% $92.52M
OUTFRONT MEDIA INC 8,707,394 8,736,650 29,256 0.24% $21.67M
MERCURY SYSTEMS INC 3,166,020 3,171,415 5,395 0.24% $76.75K
FRONTDOOR INC 4,299,032 4,330,328 31,296 0.24% -$19.11M
PRICESMART INC 1,508,664 1,515,936 7,272 0.24% $43.08M
ASBURY AUTOMOTIVE GROUP INC 1,159,001 1,167,374 8,373 0.24% -$41.39M
CORCEPT THERAPEUTICS INC 5,581,363 5,621,049 39,686 0.24% $32.35M
ACADEMY SPORTS and OUTDOORS INC 3,979,468 4,003,842 24,374 0.24% $27.20M
CAVCO INDUSTRIES INC 465,326 466,051 725 0.24% -$49.18M
PATTERSON-UTI ENERGY INC 20,570,878 20,740,889 170,011 0.23% $98.94M
AZZ INC 1,791,800 1,792,773 973 0.23% $32.28M
INDEPENDENT BANK CORP MASS 2,959,642 2,979,269 19,627 0.23% $7.78M
VICTORIA'S SECRET and CO 4,779,038 4,819,978 40,940 0.23% -$35.43M
PATRICK INDUSTRIES INC 1,984,476 1,998,139 13,663 0.23% $6.76M
SKYWEST INC 2,390,806 2,408,103 17,297 0.23% -$18.92M
OTTER TAIL CORPORATION 2,509,797 2,516,278 6,481 0.23% $18.04M
SENSIENT TECHNOLOGIES CORP 2,532,580 2,550,914 18,334 0.23% -$17.43M
SERVISFIRST BANCSHARES INC 2,995,752 3,017,614 21,862 0.23% $4.71M
UNIFIRST CORP/MA 868,294 871,959 3,665 0.23% $51.88M
FULTON FINANCIAL CORP 10,600,422 10,780,386 179,964 0.23% $14.37M
HELMERICH & PAYN 5,927,732 5,995,538 67,806 0.23% $46.01M
KONTOOR BRANDS INC 3,048,993 3,071,072 22,079 0.22% $29.60M
SHAKE SHACK INC - CLASS A 2,399,681 2,417,076 17,395 0.22% $19.06M
BGC GROUP INC-A 21,418,699 21,806,759 388,060 0.22% $22.00M
BRADY CORPORATION CL A 2,608,795 2,620,277 11,482 0.22% $8.42M
OCEANEERING INTL 5,947,515 5,990,954 43,439 0.22% $69.58M
ASSURED GUARANTY LTD 2,582,635 2,601,255 18,620 0.22% -$20.15M
FRANKLIN ELECTRIC CO. INC. 2,287,092 2,298,466 11,374 0.22% -$6.64M
VIRTU FINANCIAL INC- CL A 4,757,694 4,791,791 34,097 0.22% $52.22M
STEPSTONE GROUP INC CLASS A 4,339,711 4,414,589 74,878 0.22% -$67.82M
SIGNET JEWELERS LTD 2,445,125 2,449,236 4,111 0.22% $4.65M
KADANT INC 703,834 707,244 3,410 0.22% $6.16M
KULICKE and SOFFA INDUSTRIES INC 3,108,413 3,141,971 33,558 0.22% $64.87M
RENASANT CORP 5,676,297 5,687,034 10,737 0.21% $5.55M
URBAN OUTFITTERS 3,208,434 3,230,811 22,377 0.21% -$36.79M
TRANSMEDICS GROUP INC 2,037,299 2,052,056 14,757 0.21% -$43.84M
PJT PARTNERS INC 1,449,073 1,459,342 10,269 0.21% -$38.39M
ENOVA INTL INC 1,478,580 1,484,081 5,501 0.21% -$30.85M
HB FULLER CO 3,224,418 3,260,738 36,320 0.21% $9.40M
CLEARWAY ENERGY INC CL C 5,078,157 5,094,482 16,325 0.21% $31.26M
FIRST BANCORP PUERTO RICO 9,339,279 9,349,569 10,290 0.21% $6.10M
CHEMOURS CO/ THE 8,934,282 9,034,207 99,925 0.21% $93.69M
AVISTA CORP 4,850,793 4,885,377 34,584 0.20% $9.15M
CACTUS INC CL A 4,103,757 4,133,004 29,247 0.20% $8.32M
HAWKINS INC 1,245,308 1,259,162 13,854 0.20% $16.50M
NCR ATLEOS CORP 4,405,559 4,437,034 31,475 0.20% $25.47M
M/I HOMES INC 1,566,310 1,569,344 3,034 0.20% -$8.24M
ICU MEDICAL INC 1,472,849 1,482,160 9,311 0.20% -$18.71M
PALOMAR HOLDINGS 1,584,388 1,591,126 6,738 0.20% -$23.37M
ADVANCE AUTO PARTS INC 3,577,884 3,603,365 25,481 0.20% $49.47M
WILLSCOT MOBILE MINI HOLDINGS CORP 10,898,518 10,923,684 25,166 0.20% -$15.58M
SUNRUN INC 13,833,319 13,931,153 97,834 0.20% -$65.63M
CENTURY ALUMINUM COMPANY 3,171,345 3,204,620 33,275 0.20% $63.83M
OPENLANE INC 6,334,646 6,379,751 45,105 0.19% -$2.68M
STANDEX INTL CORP 722,325 727,605 5,280 0.19% $28.49M
COMMUNITY FINANCIAL SYSTEM INC 3,139,272 3,160,740 21,468 0.19% $5.06M
MARATHON DIGITAL HOLDINGS INC 22,595,348 22,708,051 112,703 0.19% -$17.61M
INTEGER HOLDINGS CORP 2,088,658 2,103,586 14,928 0.19% $21.30M
JACKSON FINANCIAL INC 1,566,047 1,741,956 175,909 0.19% $17.14M
SOLAREDGE TECHNOLOGIES INC 3,564,332 3,590,186 25,854 0.19% $80.45M
NORTHERN OIL AND GAS INC 5,790,281 6,262,798 472,517 0.19% $58.74M
BLACKSTONE MORTGAGE TR CL A 9,398,583 9,522,812 124,229 0.19% $2.57M
MATERION CORP 1,235,908 1,249,677 13,769 0.19% $27.12M
CHESAPEAKE UTILITIES CORP 1,409,905 1,419,955 10,050 0.19% $3.54M
LCI INDUSTRIES 1,442,499 1,452,785 10,286 0.19% $3.63M
SUPERNUS PHARMACEUTICALS INC 3,418,069 3,442,502 24,433 0.19% $8.06M
CALIX NETWORKS INC 3,598,562 3,620,938 22,376 0.18% -$13.08M
INTERNATIONAL SEAWAYS INC 2,414,285 2,431,785 17,500 0.18% $60.01M
Q2 HOLDINGS INC 3,727,811 3,743,251 15,440 0.18% -$91.94M
CINEMARK HOLDINGS INC 6,151,156 6,195,323 44,167 0.18% $33.74M
SEACOAST BANKING CORP FLORIDA 5,774,729 5,814,893 40,164 0.18% -$5.31M
AMER STATES WATE 2,307,805 2,324,322 16,517 0.18% $8.50M
IRIDIUM COMMUNICATIONS INC 6,243,323 6,301,393 58,070 0.18% $66.29M
DORMAN PRODUCTS INC 1,659,314 1,669,833 10,519 0.18% -$30.15M
FIRST FIN BANCRP 5,877,422 6,248,806 371,384 0.18% $27.16M
FRESHPET INC 2,909,583 2,930,454 20,871 0.18% -$4.50M
NMI HOLDINGS INC A 4,582,338 4,582,741 403 0.18% -$15.01M
CATALYST PHARMACEUTICALS INC 6,887,317 6,936,183 48,866 0.18% $10.99M
GRIFFON CORP 2,331,407 2,348,999 17,592 0.18% -$982.88K
POWER INTEGRATIONS INC 3,298,389 3,332,173 33,784 0.18% $53.38M
SIMMONS FIRST -A 8,626,827 8,728,683 101,856 0.18% $7.16M
MGE ENERGY INC 2,178,355 2,193,858 15,503 0.18% -$1.26M
ULTRA CLEAN HOLDINGS INC 2,704,805 2,724,984 20,179 0.18% $100.93M
BOISE CASCADE CO 2,208,199 2,223,871 15,672 0.18% $6.16M
ACADIA PHARMACEUTICALS INC 7,463,291 7,516,085 52,794 0.17% -$32.04M
WAYSTAR HOLDING CORP 6,863,788 6,891,777 27,989 0.17% -$58.63M
CARGURUS INC CL A 4,842,771 4,877,303 34,532 0.17% -$19.65M
IMPINJ INC 1,597,535 1,615,362 17,827 0.17% -$112.09M
KENNAMETAL INC 4,535,748 4,574,664 38,916 0.17% $36.42M
WD-40 CO 806,425 809,654 3,229 0.17% $6.34M
UNITED NATURAL FOODS INC 3,615,274 3,657,831 42,557 0.17% $43.10M
LXP INDUSTRIAL TRUST REIT 3,526,586 3,558,791 32,205 0.17% -$10.22M
CALIF WATER SRVC 3,552,269 3,577,621 25,352 0.17% $8.29M
HAYWARD HOLDINGS INC 11,893,588 11,978,221 84,633 0.17% -$23.49M
AMERICAN EAGLE OUTFITTERS INC 9,388,558 9,464,552 75,994 0.16% -$89.52M
SL GREEN REALTY CORP REIT 4,234,091 4,272,244 38,153 0.16% -$36.40M
PARK NATL CORP 852,983 965,325 112,342 0.16% $27.98M
IAC INC 3,886,385 3,913,474 27,089 0.16% $4.70M
FOUR CORNERS PRO 6,331,068 6,588,710 257,642 0.16% $9.83M
RED ROCK RESORTS INC 2,893,623 2,914,342 20,719 0.16% -$23.75M
TRINITY INDUSTRIES INC 4,779,478 4,813,478 34,000 0.16% $28.53M
ACUSHNET HOLDINGS CORP 1,643,448 1,655,168 11,720 0.16% $23.55M
ARTISAN PARTNERS ASSET MANAGEMENT INC A 4,200,389 4,230,131 29,742 0.16% -$17.19M
INGEVITY CORP 2,143,723 2,158,981 15,258 0.16% $26.92M
HAWAIIAN ELECTRIC INDS INC 10,289,413 10,362,698 73,285 0.16% $27.22M
CONCENTRA GROUP HOLDINGS PARENT INC 7,105,339 7,156,038 50,699 0.16% $13.66M
VERACYTE INC 4,712,387 4,745,733 33,346 0.16% -$45.53M
APPLE HOSPITALITY REIT INC 13,115,288 13,208,753 93,465 0.16% -$3.38M
ROBERT HALF INTL 5,933,432 5,966,226 32,794 0.16% -$9.61M
URBAN EDGE PROPERTIES 7,502,098 7,561,807 59,709 0.16% $7.12M
CHEESECAKE FACTORY INC 2,733,354 2,752,890 19,536 0.16% $12.74M
ACADIA RLTY TR REIT 7,811,131 7,866,790 55,659 0.16% -$10.03M
ST JOE COMPANY 2,375,077 2,392,059 16,982 0.16% $9.21M
CURBLINE PROPERTIES CORP 5,778,383 5,819,538 41,155 0.16% $15.97M
STEVEN MADDEN LTD 4,331,334 4,361,787 30,453 0.15% -$32.40M
ANDERSONS INC 2,002,487 2,016,796 14,309 0.15% $38.29M
RXO INC 9,782,467 9,856,193 73,726 0.15% $20.45M
TERADATA CORP 5,555,798 5,595,053 39,255 0.15% -$25.72M
PHOTRONICS INC 3,517,075 3,545,627 28,552 0.15% $30.73M
PRIVIA HEALTH GROUP INC 6,892,343 6,941,204 48,861 0.15% -$20.64M
BANC OF CALIFORNIA INC 8,001,848 8,058,716 56,868 0.15% -$12.68M
HIGHWOODS PROPERTIES INC 6,550,924 6,599,351 48,427 0.15% -$27.85M
MERCURY GENERAL CORP 1,584,838 1,596,052 11,214 0.15% -$8.38M
FIRST BANCORP/NC 2,471,657 2,489,072 17,415 0.15% $14.72M
HNI CORP 4,104,904 4,163,402 58,498 0.14% -$33.55M
GEO GROUP INC/TH 8,149,865 8,207,355 57,490 0.14% $6.59M
MEDICAL PROPERTI 29,401,351 29,608,328 206,977 0.14% -$9.92M
VERRA MOBILITY CORP 9,557,579 9,578,593 21,014 0.14% -$77.31M
SAREPTA THERAPEUTICS INC 6,246,134 6,289,013 42,879 0.14% $2.43M
LEMAITRE VASCULAR INC 1,244,012 1,252,913 8,901 0.14% $35.89M
BANCFIRST CORP 1,231,938 1,248,266 16,328 0.14% $4.83M
NBT BANCORP INC 3,118,463 3,140,298 21,835 0.14% $4.24M
VISHAY INTERTECHNOLOGY INC 7,360,687 7,412,859 52,172 0.14% $26.78M
CUSTOMERS BANCORP INC 1,898,226 1,920,992 22,766 0.14% -$5.46M
ALPHA METALLURGICAL RESOURCES INC 643,835 648,396 4,561 0.14% $4.41M
NOW INC 11,067,341 11,144,661 77,320 0.14% -$13.91M
NORTHWEST NATURAL HOLDING CO 2,481,522 2,491,530 10,008 0.14% $16.61M
MINERALS TECHNOLOGIES INC 1,855,779 1,868,815 13,036 0.14% $19.43M
KINETIK HOLDINGS INC 2,709,452 2,728,732 19,280 0.14% $34.42M
SJW GROUP 1,998,778 2,242,471 243,693 0.14% $33.65M
HUB GROUP INC CL A 3,611,182 3,636,273 25,091 0.14% -$22.82M
NETSCOUT SYSTEMS INC 4,088,010 4,118,284 30,274 0.14% $20.30M
KNOWLES CORP 5,075,531 5,096,996 21,465 0.14% $22.12M
CSG SYSTEMS INTL INC 1,619,181 1,621,555 2,374 0.14% $5.45M
ALARM.COM HOLDINGS INC 2,973,373 2,994,273 20,900 0.13% -$22.38M
CHEFS WAREHOUSE INC 2,158,472 2,173,612 15,140 0.13% -$5.32M
FMC CORP NEW 7,445,685 7,497,176 51,491 0.13% $25.83M
ADMA BIOLOGICS INC 14,188,478 14,289,906 101,428 0.13% -$130.05M
SPS COMMERCE INC 2,253,534 2,263,540 10,006 0.13% -$74.85M
FB FINANCIAL CORP 2,405,881 2,422,968 17,087 0.13% -$8.40M
ACM RESEARCH INC-CLASS A 3,175,322 3,198,009 22,687 0.13% $575.20K
BANNER CORPORATI 2,036,205 2,060,626 24,421 0.13% -$2.55M
INSIGHT ENTERPRISES INC 1,846,720 1,860,762 14,042 0.13% -$25.76M
NATIONAL VISION HOLDINGS INC 4,727,535 4,760,923 33,388 0.13% $1.24M
VEECO INSTRUMENT 3,585,959 3,619,080 33,121 0.13% $20.06M
NEOGEN CORP 12,951,537 13,055,842 104,305 0.13% $30.76M
BENCHMARK ELECTRONICS INC 2,126,541 2,141,613 15,072 0.13% $29.13M
TALOS ENERGY INC 7,497,049 7,549,827 52,778 0.12% $36.37M
NATL HEALTHCARE 739,807 745,004 5,197 0.12% $17.56M
EPLUS INC 1,561,287 1,569,378 8,091 0.12% -$18.83M
GREEN BRICK PARTNERS INC 1,817,742 1,830,349 12,607 0.12% $4.07M
TOPGOLF CALLAWAY BRANDS CORP 8,329,669 8,388,073 58,404 0.12% $19.22M
KAISER ALUMINUM 956,964 963,624 6,660 0.12% $6.21M
STRATEGIC EDUCATION INC 1,385,360 1,395,018 9,658 0.12% $4.62M
ENERPAC TOOL GROUP CORP CL A 3,158,051 3,167,652 9,601 0.12% -$5.24M
PENN ENTERTAINMENT INC 7,614,365 7,644,259 29,894 0.12% $2.58M
DIAMONDROCK HOSPITALITY CO 12,141,839 12,226,550 84,711 0.12% $5.77M
ARMOUR RESIDENTIAL REIT INC 6,669,815 6,715,932 46,117 0.12% -$5.97M
SIRIUSPOINT LTD 4,936,263 5,139,666 203,403 0.12% $3.95M
STEWART INFO SVC 1,670,436 1,813,892 143,456 0.12% -$5.67M
NORTHWEST BANCSHARES INC 8,708,271 8,769,023 60,752 0.12% $6.78M
BLACKLINE INC 2,978,751 2,999,174 20,423 0.12% -$53.73M
AGILYSYS INC 1,512,750 1,531,005 18,255 0.11% -$70.86M
DIGI INTL INC 2,212,570 2,257,357 44,787 0.11% $13.02M
INNOSPEC INC 1,476,928 1,487,014 10,086 0.11% -$4.46M
EVERTEC INC 3,813,808 3,840,189 26,381 0.11% -$2.57M
MARRIOTT VACATIONS WORLD 1,650,454 1,662,080 11,626 0.11% $13.02M
SIX FLAGS ENTERTAINMENT CORP 6,085,399 6,090,196 4,797 0.11% $14.75M
PEDIATRIX MEDICAL GROUP INC 5,017,635 5,052,044 34,409 0.11% $736.01K
SELECT MEDICAL HLDGS CORP 6,568,112 6,613,638 45,526 0.11% $10.20M
ROGERS CORP 996,853 1,003,778 6,925 0.11% $16.45M
ALAMO GROUP INC 642,687 647,134 4,447 0.11% -$1.13M
DXP ENTERPRISES INC 756,935 762,173 5,238 0.11% $23.39M
LTC PROPERTIES INC REIT 2,837,943 2,857,699 19,756 0.11% $8.62M
WERNER ENTERPRISES INC 3,566,182 3,592,884 26,702 0.11% -$1.35M
GETTY REALTY CORP 3,173,457 3,309,211 135,754 0.11% $18.38M
HORACE MANN EDUCATORS CORP 2,430,412 2,459,560 29,148 0.11% -$7.26M
COHEN & STEERS 1,641,763 1,653,061 11,298 0.11% $329.08K
CITY HOLDING CO 858,851 864,402 5,551 0.11% $938.29K
SUNSTONE HOTEL INVS INC 11,318,927 11,397,131 78,204 0.11% $1.50M
ADDUS HOMECARE CORP 1,087,168 1,094,647 7,479 0.11% -$14.24M
CORVEL CORP 1,863,394 1,872,585 9,191 0.11% -$23.76M
QUAKER HOUGHTON 816,528 822,095 5,567 0.11% -$9.99M
UNITI GROUP INC 10,684,358 10,756,965 72,607 0.11% $26.00M
WISDOMTREE INVESTMENTS INC 6,847,550 6,894,540 46,990 0.10% $16.91M
COMSTOCK RESOURCES INC 4,716,148 4,748,442 32,294 0.10% -$9.22M
HCI GROUP INC 640,218 644,611 4,393 0.10% -$23.06M
INTERPARFUMS INC 1,089,337 1,096,869 7,532 0.10% $7.23M
ZIFF DAVIS INC 2,354,493 2,370,810 16,317 0.10% $16.72M
INNOVIVA INC 4,233,397 4,262,397 29,000 0.10% $14.69M
A10 NETWORKS INC 4,274,705 4,290,500 15,795 0.10% $23.58M
WORTHINGTON INDUSTRIES INC 1,864,920 1,873,034 8,114 0.10% $1.49M
VERICEL CORP 3,014,504 3,035,086 20,582 0.10% -$10.91M
GREENBRIER COS 1,845,337 1,853,415 8,078 0.10% $11.33M
SONOS INC 7,205,420 7,253,584 48,164 0.10% -$29.33M
HARSCO CORP 4,806,916 4,839,558 32,642 0.10% $8.81M
ENCORE CAPITAL G 1,329,224 1,338,459 9,235 0.10% $21.61M
ORGANON & CO 15,496,264 15,601,661 105,397 0.10% -$17.65M
ARTIVION INC 2,485,018 2,526,403 41,385 0.10% -$20.82M
VERIS RESIDENTIAL INC 4,840,470 4,873,833 33,363 0.10% $19.94M
THE BUCKLE INC 1,795,216 1,807,340 12,124 0.09% -$4.88M
EXTREME NETWORKS INC 5,819,584 6,028,560 208,976 0.09% -$5.99M
WALKER & DUNLOP 2,030,464 2,044,073 13,609 0.09% -$31.42M
ALBANY INTL CORP 1,710,526 1,722,103 11,577 0.09% $3.19M
OMNICELL INC 2,674,993 2,692,909 17,916 0.09% -$31.29M
UFP TECHNOLOGIES INC 459,686 462,794 3,108 0.09% -$12.47M
EZCORP INC CL A NON VTG 3,451,734 3,523,972 72,238 0.09% $22.41M
NATIONAL-CL A 2,259,264 2,271,499 12,235 0.09% $3.08M
PERRIGO CO PLC 8,203,097 8,256,950 53,853 0.09% -$25.51M
ELLINGTON FINANCIAL INC 6,396,116 7,479,220 1,083,104 0.09% $1.77M
INTERFACE INC 3,480,298 3,503,650 23,352 0.09% -$9.86M
KOHLS CORP 6,680,757 6,731,718 50,961 0.09% -$49.52M

Top 300 of 455, by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BLACKROCK GLOBAL 4,234,620,898 4,153,861,102 -80,759,796 4.33% -$82.05M
BRINKER INTL 2,648,898 2,615,553 -33,345 0.39% -$6.75M
CARMAX INC 8,754,535 8,515,996 -238,539 0.37% $15.82M
GATES INDUSTRIAL CORP PLC 15,398,004 15,245,600 -152,404 0.36% $14.11M
MAGNOLIA OIL and GAS CORPO CL A 10,918,680 10,862,936 -55,744 0.36% $103.93M
PLEXUS CORP 1,608,835 1,608,682 -153 0.34% $89.32M
ATLANTIC UNION B 8,513,640 8,506,572 -7,068 0.32% $3.49M
MIRION TECHNOLOGIES INC-A 14,774,557 14,692,765 -81,792 0.28% -$72.88M
CSW INDUSTRI INC 994,848 989,037 -5,811 0.27% -$34.29M
MERITAGE HOMES CORP 4,197,410 4,011,331 -186,079 0.26% -$28.13M
SKYLINE CHAMPION CORP 3,330,058 3,320,855 -9,203 0.26% -$34.42M
OSI SYSTEMS INC 954,437 929,937 -24,500 0.26% $3.47M
COVISTA INC 2,171,554 2,072,143 -99,411 0.25% $14.12M
TRI POINTE HOMES INC 5,123,788 5,072,851 -50,937 0.25% $75.81M
GROUP 1 AUTOMOTIVE INC 737,466 708,392 -29,074 0.24% -$55.83M
DANA INC 6,964,791 6,743,074 -221,717 0.24% $61.42M
STRIDE INC 2,580,120 2,523,344 -56,776 0.23% $54.96M
CAL-MAINE FOODS INC 2,717,842 2,689,732 -28,110 0.22% -$3.37M
WSFS FINANCIAL CORP 3,266,196 3,209,608 -56,588 0.22% $29.68M
BOX INC- CLASS A 8,637,474 8,600,100 -37,374 0.21% -$55.04M
CATHAY GENERAL BANCORP 4,066,011 4,038,301 -27,710 0.21% $4.60M
KORN FERRY 3,137,690 3,133,673 -4,017 0.21% -$9.89M
CRESCENT ENERGY INC A 14,674,884 14,589,965 -84,919 0.21% $73.84M
DIODES INC 2,764,957 2,754,365 -10,592 0.20% $51.59M
VICTORY CAPITAL HOLDINGS INC CL A 2,864,479 2,850,053 -14,426 0.19% $5.90M
GENWORTH FINANCIAL INC A 23,464,697 22,872,497 -592,200 0.19% -$26.16M
FIRST HAWAIIAN INC 7,375,312 7,359,261 -16,051 0.19% -$5.26M
FIRST INTST BANCSYST INC CL A 5,336,266 5,281,149 -55,117 0.18% -$8.24M
BANK OF HAWAII 2,367,269 2,361,026 -6,243 0.18% $13.46M
AXCELIS TECHNOLOGIES INC 1,847,858 1,843,104 -4,754 0.18% $23.10M
PRESTIGE CONSUMER HEALTHCARE INC 2,866,396 2,840,953 -25,443 0.18% -$8.44M
PHINIA INC 2,291,542 2,276,086 -15,456 0.16% $12.12M
TRUSTMARK CORP 3,574,071 3,558,138 -15,933 0.16% $10.73M
BERKSHIRE HILLS BANCORP INC 5,026,373 4,979,548 -46,825 0.16% $16.84M
CVB FINANCIAL CORP 7,665,891 7,649,275 -16,616 0.15% $5.73M
PAR PACIFIC HOLDINGS INC 2,475,782 2,352,162 -123,620 0.15% $60.34M
WASHINGTON FEDERAL INC 4,708,813 4,581,734 -127,079 0.15% -$6.96M
BANCORP INC/THE 2,593,054 2,544,448 -48,606 0.14% -$38.37M
ABM INDUSTRIES INC 3,650,207 3,517,551 -132,656 0.14% -$18.91M
ARCBEST CORP 1,341,769 1,341,547 -222 0.14% $32.41M
PERDOCEO EDUCATION CORP 3,611,877 3,516,935 -94,942 0.14% $24.93M
CLEANSPARK INC 16,756,041 15,353,811 -1,402,230 0.14% -$38.91M
ACADIA HEALTHCARE CO INC 5,549,206 5,537,921 -11,285 0.13% $50.79M
DXC TECHNOLOGY CO 10,380,306 10,189,625 -190,681 0.13% -$23.99M
BREAD FINANCIAL HOLDINGS 1,793,378 1,679,278 -114,100 0.13% -$7.00M
PATHWARD FINANCIAL INC 1,362,287 1,312,409 -49,878 0.12% $20.38M
CORECIVIC INC 6,234,011 6,005,402 -228,609 0.12% -$5.57M
ARCUS BIOSCIENCES INC 5,088,739 5,087,817 -922 0.11% -$11.37M
FIRST COMMONWEALTH FINL CORP 6,164,669 6,149,107 -15,562 0.11% $4.16M
OFG BANCORP 2,625,753 2,556,393 -69,360 0.11% -$4.17M
LIVERAMP HOLDINGS INC 3,793,863 3,788,442 -5,421 0.10% -$10.96M
STELLAR BANCORP INC 2,745,684 2,741,509 -4,175 0.10% $15.42M
CENTRAL GARDEN and PET CO CL A 3,076,516 3,061,464 -15,052 0.10% $9.45M
ICHOR HOLDINGS LTD 2,090,741 2,066,557 -24,184 0.10% $57.79M
O-I GLASS INC 9,155,642 9,143,085 -12,557 0.10% -$39.04M
ADIENT PLC 4,720,454 4,701,130 -19,324 0.10% $4.52M
S & T BANCORP 2,278,178 2,257,023 -21,155 0.10% $4.76M
WILEY JOHN&SON-A 2,436,336 2,417,463 -18,873 0.10% $17.48M
ARLO TECHNOLOGIES INC 6,366,259 6,360,494 -5,765 0.09% $1.45M
HILLTOP HOLDINGS 2,558,688 2,500,810 -57,878 0.09% $2.74M
CENTURY COMMUNITIES INC 1,523,660 1,516,536 -7,124 0.09% -$3.41M
LAKELAND FINL 1,521,561 1,513,247 -8,314 0.09% $9.84K
MAXLINEAR INC 4,894,977 4,875,788 -19,189 0.09% -$529.50K
CLEARWAY ENERGY INC 2,084,456 2,076,760 -7,696 0.08% $15.85M
INSPIRE MEDICAL SYSTEMS INC 1,576,151 1,560,426 -15,725 0.08% -$64.88M
WESTAMERICA BANCORPORATION 1,485,929 1,477,011 -8,918 0.08% $5.95M
LINDSAY CORP 643,898 627,221 -16,677 0.08% -$1.21M
SIMPLY GOOD FOODS CO 5,475,836 5,109,277 -366,559 0.08% -$36.64M
TRIPADVISOR INC 7,021,208 6,866,410 -154,798 0.08% -$29.03M
J & J SNACK FOOD 933,873 912,347 -21,526 0.08% -$12.07M
PITNEY-BOWES INC 7,008,612 6,535,512 -473,100 0.08% -$1.86M
MONARCH CASINO and RESORT INC 739,602 726,887 -12,715 0.07% -$1.29M
PROGRESS SOFTWARE CORP 2,557,576 2,526,631 -30,945 0.07% -$45.07M
PDF SOLUTIONS INC 1,936,576 1,919,747 -16,829 0.07% $7.54M
SONIC AUTOMOTIVE INC CL A 895,605 889,866 -5,739 0.06% $5.62M
CVR ENERGY INC 1,822,627 1,809,023 -13,604 0.06% $14.51M
WORTHINGTON STEEL INC 1,960,627 1,950,370 -10,257 0.06% -$8.68M
PACIRA BIOSCIENCES INC 2,563,780 2,465,120 -98,660 0.06% -$10.64M
SOUTHSIDE BAN IN 1,706,575 1,684,153 -22,422 0.05% $497.50K
CAPITOL FED FINL (2ND STEP CV) 7,247,732 7,164,877 -82,855 0.05% $1.73M
PENGUIN SOLUTIONS INC 2,881,640 2,868,753 -12,887 0.05% -$5.87M
CENTRAL PACIFIC FINANCIAL CORP 1,579,999 1,553,699 -26,300 0.05% $423.45K
TRUSTCO BANK NY 1,100,600 1,075,676 -24,924 0.05% $1.61M
HANMI FINL CORP 1,787,827 1,781,510 -6,317 0.05% -$1.36M
EMPLOYERS HOLDINGS INC 1,343,385 1,126,139 -217,246 0.05% -$11.66M
KOPPERS HOLDINGS 1,196,335 1,186,296 -10,039 0.05% $13.49M
STANDARD MOTOR PRODUCTS INC 1,264,366 1,253,505 -10,861 0.05% -$3.05M
LIQUIDITY SERVICES INC 1,439,102 1,413,756 -25,346 0.05% -$400.66K
SCANSOURCE INC 1,202,982 1,185,283 -17,699 0.04% -$3.96M
SHENANDOAH TELECOM CO 2,781,865 2,732,951 -48,914 0.04% $9.98M
REDWOOD TRUST INC REIT 7,548,936 7,464,931 -84,005 0.04% $132.65K
MISTER CAR WASH INC 6,010,111 5,894,116 -115,995 0.04% $7.67M
AVANOS MEDICAL INC 2,834,882 2,784,192 -50,690 0.04% $7.17M
NEW YORK MTGE 5,120,664 5,037,364 -83,300 0.04% -$305.85K
SABRE CORP 23,958,289 23,684,549 -273,740 0.04% $1.76M
ALPHA and OMEGA SEMICNDTR LTD 1,504,957 1,481,581 -23,376 0.03% $3.02M
NEXPOINT RESIDENTIAL TRUST INC 1,327,543 1,308,323 -19,220 0.03% -$7.25M
NAVIENT CORP 4,009,147 3,972,996 -36,151 0.03% -$19.62M
OXFORD INDUSTRIES 851,811 838,738 -13,073 0.03% $3.17M
ETHAN ALLEN INTERIORS INC 1,412,887 1,388,856 -24,031 0.03% -$1.35M
HEALTHSTREAM INC 1,438,585 1,423,639 -14,946 0.03% -$3.70M
CYTEK BIOSCIENCES INC 6,633,539 6,595,582 -37,957 0.03% -$4.68M
HEARTLAND EXPRESS INC 2,793,674 2,740,634 -53,040 0.03% $3.28M
CABLE ONE INC 281,442 277,170 -4,272 0.03% -$6.48M
SAUL CENTERS INC 750,976 746,722 -4,254 0.03% $649.93K
WORLD ACCEPTANCE CORP 171,337 171,121 -216 0.02% -$945.82K
GRID DYNAMICS HOLDINGS INC 4,029,889 3,970,670 -59,219 0.02% -$13.76M
FORWARD AIR CORP 1,339,564 1,331,751 -7,813 0.02% -$11.24M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
LUMEN TECHNOLOGIES INC 47,061,267 47,061,267 0 0.34% -$38.59M
LINCOLN NATL CRP 8,547,054 8,547,054 0 0.32% -$77.18M
WARRIOR MET COAL INC 2,470,246 2,470,246 0 0.24% $12.30M
UNITED COMMUNITY BANKS GA 7,195,573 7,195,573 0 0.24% $1.94M
RADIAN GROUP INC 6,618,430 6,618,430 0 0.23% -$19.26M
MOELIS & CO-CL A 3,545,796 3,545,796 0 0.21% -$41.63M
BANKUNITED INC 4,368,801 4,368,801 0 0.21% $2.58M
RADNET INC 3,513,849 3,513,849 0 0.20% -$54.32M
PROVIDENT FINANCIAL SVCS INC 7,508,046 7,508,046 0 0.17% $10.59M
ADEIA INC 6,437,726 6,437,726 0 0.16% $43.65M
CUSHMAN and WAKEFIELD LTD 9,793,164 9,793,164 0 0.13% -$38.49M
WESTERN UNION CO 11,577,510 11,577,510 0 0.11% -$6.71M
PAYONEER GLOBAL INC 16,779,043 16,779,043 0 0.08% -$13.26M
ARBOR REALTY TRUST INC 10,493,101 10,493,101 0 0.08% -$524.66K
DOUGLAS EMMETT INC REIT 8,150,864 8,150,864 0 0.08% -$12.80M
PREFERRED BANK LOS ANGELES 546,812 546,812 0 0.05% -$2.05M
ZIMMER BIOMET HOLDINGS INC 1 1 0 0.00% -$9.40M
OMNIAB INC - 15.00 EARNOUT 450,637 450,637 0 0.00% $0
OMNIAB INC - 12.5 EARNOUT 450,637 450,637 0 0.00% $0

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