IWO
iShares Russell 2000 Growth 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
PIPER SANDLER CO 0 577,876 577,876 0.32% $44.24M
INDIVIOR PHARMACEUTICALS INC 0 843,726 843,726 0.19% $25.72M
TEREX CORP 0 389,209 389,209 0.17% $23.00M
DEFINIUM THERAPEUTICS INC 0 251,295 251,295 0.03% $4.75M
BETA TECHNOLOGIES INC 0 168,974 168,974 0.02% $2.48M
FUBOTV INC -A 0 238,992 238,992 0.02% $2.26M
Brookfield Business Corp. 0 65,488 65,488 0.01% $2.07M
YORK SPACE SYSTE 0 89,782 89,782 0.01% $1.99M
CARDINAL INFRA-A 0 47,676 47,676 0.01% $1.89M
WEALTHFRONT CORP 0 195,540 195,540 0.01% $1.81M
AKTIS ONCOLOGY I 0 85,457 85,457 0.01% $1.53M
ATRIUM THERAPEUTICS INC 0 87,545 87,545 0.01% $1.17M
EVOMMUNE INC 0 44,265 44,265 0.01% $1.02M
AGILON HEALTH IN 0 103,693 103,693 0.01% $820.21K
STRIVE INC-A 0 71,293 71,293 0.01% $714.36K
TypTap Insurance Group Inc 0 21,408 21,408 0.00% $314.06K
LUMEXA IMAGING H 0 35,207 35,207 0.00% $302.78K
PUBLIC POLICY HO 0 15,600 15,600 0.00% $204.05K
NORWOOD FINL 0 4,366 4,366 0.00% $128.45K
COASTALSOUTH BANCSHARES INC 0 5,210 5,210 0.00% $128.11K
Meridian Holdings, Inc. 0 13,099 13,099 0.00% $94.57K
M-TRON INDUSTRIE (RIGHTS MAR 2026) 0 21,579 21,579 0.00% $45.32K
TEVOGEN BIO HOLD 0 2,673 2,673 0.00% $12.08K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AVIDITY BIOSCIENCES 926,597 0 -926,597 0.00% -$66.84M
PIPER SANDLER COS 154,065 0 -154,065 0.00% -$52.34M
INDIVIOR PLC 899,823 0 -899,823 0.00% -$32.29M
REV GROUP INC 423,264 0 -423,264 0.00% -$25.74M
AVADEL PHARMACEUTICALS PLC 777,886 0 -777,886 0.00% -$16.76M
DYNAVAX TECHNOLOGIES CORP 874,618 0 -874,618 0.00% -$13.45M
JAMF HOLDING CORP 680,317 0 -680,317 0.00% -$8.85M
FUBOTV INC CLASS A 2,902,022 0 -2,902,022 0.00% -$7.31M
APARTMENT INVEST 645,895 0 -645,895 0.00% -$3.84M
MIND MEDICINE MINDMED INC 255,661 0 -255,661 0.00% -$3.42M
Aspen Insurance Holdings Ltd., Class A 82,856 0 -82,856 0.00% -$3.07M
BROOKFIELD- CL A 73,416 0 -73,416 0.00% -$2.63M
AGILON HEALTH INC 2,739,510 0 -2,739,510 0.00% -$1.89M
POTLATCHDELTIC CORP REIT 37,892 0 -37,892 0.00% -$1.51M
SYNCHRONOSS TECHNOLOGIES INC 86,461 0 -86,461 0.00% -$740.11K
SEMLER SCIENTIFIC INC 18,848 0 -18,848 0.00% -$288.19K
DENNYS CORP 43,343 0 -43,343 0.00% -$269.59K
GOLDEN MATRIX GROUP INC 165,926 0 -165,926 0.00% -$132.87K
TEVOGEN BIO HOLDINGS INC 141,083 0 -141,083 0.00% -$46.71K
PULSE BIOSCIENCES INC WT 6/26/30 3,797 0 -3,797 0.00% -$5.18K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
KRATOS DEFENSE and SEC SOLTN INC 1,453,841 1,475,718 21,877 0.75% -$6.31M
COEUR MINING INC 2,792,947 4,161,721 1,368,774 0.57% $28.32M
PLANET LABS PBC A 2,076,412 2,210,192 133,780 0.45% $20.83M
DIGITALOCEAN HOLDINGS INC 596,381 621,331 24,950 0.39% $24.60M
STONEX GROUP INC 427,881 601,809 173,928 0.35% $7.83M
BRIGHTSPRING HEALTH SERVICES INC 969,692 1,051,155 81,463 0.32% $8.47M
D-WAVE QUANTUM INC 2,918,831 2,982,695 63,864 0.31% -$33.29M
XENON PHARMACEUTICALS INC 662,334 704,118 41,784 0.30% $11.26M
JOBY AVIATION INC 4,240,598 4,776,232 535,634 0.29% -$16.52M
APPLIED OPTOELECTRONICS INC 418,438 428,093 9,655 0.26% $21.63M
ARCELLX INC 298,097 312,604 14,507 0.26% $16.46M
VSE CORP 172,634 189,604 16,970 0.25% $5.14M
CELCUITY INC 266,102 272,241 6,139 0.22% $4.53M
APOGEE THERAPEUTICS INC 335,663 359,030 23,367 0.22% $4.88M
CRINETICS PHARMACEUTICALS INC 788,334 796,107 7,773 0.21% -$7.78M
ALIGNMENT HEALTHCARE INC 1,476,698 1,595,423 118,725 0.20% -$1.05M
ZETA GLOBAL HOLDINGS CORP 1,643,427 1,720,137 76,710 0.20% -$6.06M
CENTURY ALUMINUM COMPANY 461,036 464,915 3,879 0.20% $9.22M
GPGI INC 446,370 1,301,227 854,857 0.16% $13.64M
SOLARIS OIL IN-A 368,508 378,468 9,960 0.15% $4.45M
CENTURI HOLDINGS INC 682,154 719,587 37,433 0.15% $3.79M
VERA THERAPEUTICS INC 484,481 505,367 20,886 0.15% -$4.20M
IMMUNOME INC 815,743 834,227 18,484 0.13% $722.38K
BRP GROUP INC-A 621,890 781,905 160,015 0.12% $2.21M
SABLE OFFSHORE CORP 658,242 1,017,219 358,977 0.12% $10.87M
IMMUNOVANT INC 610,358 665,755 55,397 0.12% $1.02M
DISC MEDICINE INC 217,181 224,443 7,262 0.10% -$2.90M
NUSCALE POWER CORP 1,105,400 1,301,134 195,734 0.10% -$1.56M
SKYWARD SPECIALTY INSURANCE GROUP INC 311,621 319,191 7,570 0.10% -$1.98M
SOLENO THERAPEUTICS INC 406,676 411,833 5,157 0.10% -$5.04M
AXOGEN INC 387,657 394,435 6,778 0.09% $379.62K
STOKE THERAPEUTICS INC 391,389 400,270 8,881 0.09% $610.10K
INNOVIVA INC 478,529 535,769 57,240 0.09% $2.92M
OKLO INC 221,920 233,585 11,665 0.08% -$4.34M
RECURSION PHARMACEUTICALS INC 3,314,783 3,744,214 429,431 0.08% -$2.06M
USA RARE EARTH INC A 378,973 746,309 367,336 0.08% $6.79M
NEXTDECADE CORP 1,195,406 1,430,100 234,694 0.08% $4.65M
ARCUS BIOSCIENCES INC 504,213 504,219 6 0.08% -$1.12M
CAPRICOR THERAPEUTICS INC 336,080 356,045 19,965 0.08% $1.12M
Bitdeer Technologies Group, Class A 858,800 1,000,785 141,985 0.06% -$970.36K
ENOVIX CORP 1,468,317 1,573,386 105,069 0.06% -$2.58M
BIOHAVEN LTD 820,002 959,577 139,575 0.06% -$1.14M
SKYWATER TECHNOLOGY INC 263,481 290,340 26,859 0.06% $3.17M
HNI CORP 228,310 236,225 7,915 0.06% -$1.71M
CORVUS PHARMACEUTICALS INC 498,790 525,679 26,889 0.06% $3.85M
PALVELLA THERAPEUTICS INC 58,815 59,134 319 0.05% $1.21M
REDWIRE CORP 636,235 866,278 230,043 0.05% $2.53M
WAVE LIFE SCIENCES LTD 893,701 1,010,836 117,135 0.05% -$7.86M
VOYAGER TECHNOLOGIES INC 85,375 279,407 194,032 0.05% $4.30M
DYNE THERAPEUTICS INC 344,993 348,206 3,213 0.05% -$435.09K
ARRIVENT BIOPHARMA INC 255,824 262,552 6,728 0.04% $909.90K
SELLAS LIFE SCIENCES GROUP INC 1,078,707 1,402,237 323,530 0.04% $1.86M
Pagaya Technologies Ltd., Class A 444,275 492,921 48,646 0.04% -$3.54M
PRAXIS PRECISION MEDICINES INC 15,844 16,972 1,128 0.04% $798.35K
FIRST WATCH RESTAURANT GROUP INC 475,150 486,742 11,592 0.04% -$2.06M
UROGEN PHARMA LTD 263,427 270,225 6,798 0.04% -$1.31M
REZOLVE AI PLC 1,558,111 1,812,823 254,712 0.03% $636.48K
GCM GROSVENOR INC - CLASS A 418,436 452,517 34,081 0.03% -$302.03K
NIOCORP DEVELOPM 930,370 959,270 28,900 0.03% -$652.62K
HALLADOR PETROLEUM CO 255,770 257,288 1,518 0.03% -$681.21K
Bright Minds Biosciences Inc COM NEW 43,978 56,831 12,853 0.03% $714.91K
ASP ISOTOPES INC 801,843 927,201 125,358 0.03% -$191.63K
NUTEX HEALTH INC 30,315 41,825 11,510 0.03% -$1.02M
SLIDE INSURANCE HOLDINGS INC 86,410 218,557 132,147 0.03% $2.25M
KESTRA MEDICAL TECHNOLOGIES INC 149,254 191,465 42,211 0.03% -$142.32K
ANTERIS TECHNOLOGIES GLOBAL CORP 290,315 642,956 352,641 0.03% $2.12M
CEVA INC 181,973 189,125 7,152 0.03% -$383.20K
FIREFLY AEROSPACE INC 115,571 120,392 4,821 0.02% $842.24K
ALTIMMUNE INC 772,772 1,063,011 290,239 0.02% $484.37K
ADC THERAPEUTICS SA 746,040 830,092 84,052 0.02% $479.32K
METROCITY BANKSHARES INC 98,888 104,016 5,128 0.02% $357.65K
CONTANGO SILVER 95,961 155,208 59,247 0.02% $375.82K
RICHTECH ROBOTICS INC 1,332,622 1,380,275 47,653 0.02% -$1.42M
THE REAL BROKERAGE INC CO 1,138,790 1,139,625 835 0.02% -$1.31M
CLIMB GLOBAL SOLUTIONS INC 33,937 128,516 94,579 0.02% -$941.20K
LIGHTBRIDGE CORP 231,447 238,339 6,892 0.02% -$384.80K
WEAVE COMMUNICATIONS INC 534,255 534,889 634 0.02% -$1.58M
NAVITAS SEMICONDUCTOR CORP 232,523 278,367 45,844 0.02% $781.06K
AMBIQ MICRO INC 25,947 94,516 68,569 0.02% $1.66M
CADIZ INC 468,485 469,962 1,477 0.02% -$320.69K
DIANTHUS THERAPEUTICS INC 18,231 25,363 7,132 0.02% $1.38M
OMADA HEALTH INC 50,025 168,886 118,861 0.02% $1.33M
HEARTFLOW INC 86,719 86,908 189 0.02% -$413.39K
FLOWCO HOLDINGS INC 96,318 99,764 3,446 0.01% $250.14K
LB PHARMACEUTICALS INC 79,805 82,146 2,341 0.01% $249.26K
REALREAL INC/THE 221,525 222,573 1,048 0.01% -$1.47M
ONCOLOGY INSTITUTE INC/THE 595,067 644,029 48,962 0.01% -$141.27K
RXSIGHT INC 308,950 317,412 8,462 0.01% -$1.26M
LATHAM GROUP INC 349,993 352,402 2,409 0.01% -$330.06K
EVOLUS INC 452,596 455,115 2,519 0.01% -$1.14M
BANK FIRST CORP 12,540 13,164 624 0.01% $250.31K
ALLIANCE LAUNDRY HOLDINGS INC 82,232 85,371 3,139 0.01% $97.17K
MAPLIGHT THERAPEUTICS INC 76,597 82,717 6,120 0.01% $336.21K
BENITEC BIOPHARMA INC 134,507 155,958 21,451 0.01% -$150.86K
US GOLD CORP 106,808 109,173 2,365 0.01% -$414.81K
VERASTEM INC 258,729 305,523 46,794 0.01% -$378.12K
ULTRA CLEAN HOLDINGS INC 24,146 25,835 1,689 0.01% $994.80K
SHOALS TECHNOLOGIES GROUP INC 227,985 228,654 669 0.01% -$433.33K
FALCON'S BEYOND GLOBAL INC CL A 93,077 106,350 13,273 0.01% $102.45K
AMERICAN BATTERY TECHNOLOGY CO 518,655 535,186 16,531 0.01% -$239.14K
LENZ THERAPEUTICS INC 142,957 162,378 19,421 0.01% -$801.55K
CRITICAL METALS CORP 144,890 177,088 32,198 0.01% $400.54K
PROTALIX BIOTHERAPEUTICS INC COMMON STOCK USD.0001 597,391 614,345 16,954 0.01% $257.82K
WESTROCK COFFEE HOLDINGS LLC 303,776 313,469 9,693 0.01% $95.87K
DENALI THERAPEUTICS INC 64,459 67,492 3,033 0.01% $231.63K
National Energy Services Reunited Corporation 57,193 60,062 2,869 0.01% $393.89K
GREENWICH LIFESCIENCES INC 48,981 51,855 2,874 0.01% $216.47K
MULTIPLAN CORP CL A 65,152 74,029 8,877 0.01% -$1.58M
V2X INC 16,028 16,937 909 0.01% $285.86K
JEFFERSON CAPITAL INC 26,874 59,786 32,912 0.01% $549.32K
PHATHOM PHARMACEUTICALS INC 92,849 100,979 8,130 0.01% -$418.49K
CAPSOVISION INC 27,857 149,094 121,237 0.01% $789.10K
BLACK ROCK COFFEE BAR INC 70,743 79,864 9,121 0.01% -$542.19K
PHOENIX EDUCATION PARTNERS INC 28,127 31,211 3,084 0.01% $129.65K
BLAIZE HOLDINGS INC 409,282 507,025 97,743 0.01% $124.69K
CPI CARD GROUP INC 53,106 62,957 9,851 0.01% $133.91K
AIRO GROUP HOLDINGS INC 44,293 117,532 73,239 0.01% $531.51K
LIFEZONE METALS LTD 246,891 265,039 18,148 0.01% -$163.69K
GLOBAL WATER RESOURCES INC 100,630 111,480 10,850 0.01% -$4.19K
KULR TECHNOLOGY GROUP INC 320,422 349,670 29,248 0.01% -$119.73K
PATRIOT NATL BNC 576,094 637,680 61,586 0.01% -$225.88K
SHOULDER INNOVATIONS INC 28,722 55,651 26,929 0.01% $397.88K
SKYX PLATFORMS CORP 582,679 720,706 138,027 0.01% -$457.22K
JOURNEY MEDICAL CORP 128,430 160,896 32,466 0.01% -$235.59K
AMERICAN INTEGRITY INSURANCE GROUP INC 29,183 36,508 7,325 0.01% $95.99K
GAMBLING.COM GROUP LTD 149,052 169,577 20,525 0.00% -$155.87K
TUHURA BIOSCIENCES INC 187,469 356,511 169,042 0.00% $496.30K
ATEGRITY SPECIALTY HOLDINGS LLC 23,329 28,175 4,846 0.00% $66.88K
F&G ANNUITIES 18,960 19,007 47 0.00% -$103.66K
MAZE THERAPEUTICS INC 12,859 14,744 1,885 0.00% -$92.64K
SOLID POWER INC 116,095 144,061 27,966 0.00% -$61.22K
LUCID DIAGNOSTICS INC 261,975 357,322 95,347 0.00% $125.37K
FULCRUM THERAPEUTICS INC 29,666 45,729 16,063 0.00% $15.22K
US GOLDMINING INC 13,660 24,475 10,815 0.00% $164.16K
INNVENTURE INC 34,732 65,453 30,721 0.00% $110.74K
NEXTNRG INC 37,641 182,713 145,072 0.00% $18.51K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BlackRock Cash Funds: Institutional, SL Agency Shares 1,813,922,927 1,663,923,265 -149,999,663 12.05% -$150.57M
BLOOM ENERGY CORP CL A 1,905,887 1,783,681 -122,206 1.75% $76.07M
FABRINET 315,108 294,750 -20,358 1.11% $10.26M
CREDO TECHNOLOGY GROUP HOLDING LTD 1,337,465 1,317,181 -20,284 0.89% -$68.80M
NEXTRACKER INC CL A 1,017,752 952,242 -65,510 0.83% $26.14M
ADV ENERGY INDS 328,858 307,564 -21,294 0.72% $30.40M
STERLING INFRASTRUCTURE INC 260,109 243,399 -16,710 0.72% $19.48M
BRIDGEBIO PHARMA INC 1,383,307 1,294,072 -89,235 0.70% -$9.71M
GUARDANT HEALTH INC 1,058,926 1,012,897 -46,029 0.68% -$14.60M
MODINE MFG CO 457,060 427,572 -29,488 0.67% $31.64M
ENSIGN GROUP INC 489,786 458,252 -31,534 0.67% $7.02M
IONQ INC 2,950,408 2,815,117 -135,291 0.59% -$51.22M
DYCOM INDUSTRIES INC 244,500 238,148 -6,352 0.58% -$1.93M
SPX TECHNOLOGIES INC 420,495 393,427 -27,068 0.57% -$5.46M
CHART INDUSTRIES INC 394,313 369,042 -25,271 0.55% -$5.02M
RAMBUS INC 941,725 880,350 -61,375 0.55% -$10.80M
MADRIGAL PHARMACEUTICALS INC 162,095 139,492 -22,603 0.53% -$21.37M
ARROWHEAD PHARMACEUTICALS INC 1,156,430 1,103,260 -53,170 0.50% -$7.60M
MOOG INC-CLASS A 245,648 229,524 -16,124 0.49% $7.34M
WATTS WATER TECH INC CL A 239,887 224,089 -15,798 0.47% -$1.16M
INTERDIGITAL INC 225,995 211,347 -14,648 0.46% -$8.13M
SITIME CORP 187,908 183,650 -4,258 0.46% -$2.94M
VIAVI SOLUTIONS INC 1,930,506 1,881,226 -49,280 0.45% $28.21M
FIRSTCASH HOLDINGS INC 346,858 323,229 -23,629 0.44% $5.48M
ESCO TECHNOLOGIES INC 226,695 212,098 -14,597 0.43% $15.38M
ARGAN INC 117,012 109,533 -7,479 0.43% $22.99M
PRIMORIS SVCS CORP 441,697 413,154 -28,543 0.43% $4.27M
SEMTECH CORP 760,209 759,825 -384 0.42% $2.40M
HEALTHEQUITY INC 744,211 687,545 -56,666 0.42% -$10.72M
AXSOME THERAPEUTICS INC 357,606 337,986 -19,620 0.41% -$8.19M
AEROVIRONMENT INC 329,661 308,566 -21,095 0.41% -$23.26M
SILICON LABS 284,547 265,981 -18,566 0.40% $18.17M
ZURN ELKAY WATER SOLUTIONS CORP 1,311,389 1,226,254 -85,135 0.40% -$5.98M
CLEARWATER ANALYTICS HOLDINGS INC 2,433,191 2,276,381 -156,810 0.39% -$4.85M
FED SIGNAL CORP 523,881 490,068 -33,813 0.38% -$3.89M
URANIUM ENERGY CORP 4,160,320 3,893,103 -267,217 0.38% $3.96M
KRYSTAL BIOTECH INC 216,223 202,167 -14,056 0.38% -$1.08M
BRINKER INTL 386,105 353,834 -32,271 0.37% -$4.90M
INSTALLED BUILDING PRODUCTS INC 202,297 189,233 -13,064 0.36% -$2.30M
PROTAGONIST THERAPEUTICS INC 507,387 474,592 -32,795 0.36% $5.71M
GLAUKOS CORP 487,602 455,736 -31,866 0.36% -$5.99M
ARCHROCK INC 1,505,588 1,409,447 -96,141 0.36% $9.87M
LUMEN TECHNOLOGIES INC 7,348,669 6,874,965 -473,704 0.35% -$9.32M
RYMAN HOSPITALITY PPTYS INC 539,729 503,954 -35,775 0.34% -$4.57M
FORMFACTOR INC 507,934 474,968 -32,966 0.33% $17.73M
BALCHEM CORP 286,284 268,266 -18,018 0.33% $1.56M
CONSTRUCTION PARTNERS INC CL A 409,239 389,318 -19,921 0.31% -$1.16M
COGENT BIOSCIENCES INC 1,141,118 1,098,100 -43,018 0.31% $1.73M
POWELL INDUSTRIES INC 83,252 77,870 -5,382 0.30% $15.59M
NUVALENT INC-A 436,130 408,164 -27,966 0.30% -$2.05M
PLEXUS CORP 217,942 201,621 -16,321 0.30% $8.80M
CASELLA WASTE SYS INC CL A 549,003 513,872 -35,131 0.30% -$13.00M
LANTHEUS HOLDING 584,241 532,734 -51,507 0.29% $1.53M
KODIAK GAS SERVICES INC 737,225 681,018 -56,207 0.29% $12.14M
TG THERAPEUTICS INC 1,265,679 1,183,324 -82,355 0.28% $1.58M
KYMERA THERAPEUTICS INC 491,815 468,547 -23,268 0.28% $757.15K
KNIFE RIVER HOLDING CO W/I 498,692 467,527 -31,165 0.28% $3.09M
RHYTHM PHARMACEUTICALS INC 461,338 431,261 -30,077 0.27% -$11.87M
RIGETTI COMPUTING INC A 2,785,214 2,663,364 -121,850 0.27% -$24.30M
GRANITE CONSTRUCTION INC 328,817 308,111 -20,706 0.27% -$992.69K
BADGER METER INC 258,955 242,005 -16,950 0.27% -$8.29M
BOOT BARN HOLDINGS INC 268,392 250,834 -17,558 0.27% -$10.65M
BELDEN INC 341,795 319,338 -22,457 0.27% -$3.17M
MIRION TECHNOLOGIES INC-A 2,089,341 1,954,518 -134,823 0.26% -$12.60M
PTC THERAPEUTICS INC 550,115 522,503 -27,612 0.26% -$6.19M
MYR GROUP INC/DELAWARE 134,368 125,685 -8,683 0.26% $6.12M
BRINK'S CO/THE 367,132 340,588 -26,544 0.26% -$7.56M
OPTION CARE HEALTH INC 1,392,421 1,305,031 -87,390 0.25% -$9.23M
IES HOLDINGS INC 78,891 73,651 -5,240 0.25% $4.40M
AMICUS THERAPEUTICS INC 2,593,675 2,426,604 -167,071 0.25% -$1.85M
MUELLER WATER PRODUCTS INC A 1,359,310 1,275,104 -84,206 0.25% $2.67M
ALKERMES PLC 1,059,672 990,301 -69,371 0.25% $5.37M
CLEAR SECURE INC 753,236 721,671 -31,565 0.25% $8.51M
APPLIED DIGITAL CORP 1,573,637 1,471,533 -102,104 0.25% -$3.65M
NOVANTA INC 315,016 294,252 -20,764 0.25% -$2.73M
HIMS & HERS HEAL 1,787,455 1,671,140 -116,315 0.25% -$23.35M
ACI WORLDWIDE INC 902,726 843,715 -59,011 0.25% -$8.56M
ATMUS FILTRATION TECHNOLOGIES INC 658,817 606,577 -52,240 0.25% $236.19K
TERAWULF INC 2,498,712 2,384,045 -114,667 0.25% $5.69M
OSI SYSTEMS INC 141,313 128,233 -13,080 0.25% -$2.00M
SKYLINE CHAMPION CORP 493,286 457,103 -36,183 0.25% -$7.69M
CSW INDUSTRI INC 142,250 130,331 -11,919 0.25% -$7.79M
ABERCROMBIE & FI 406,129 371,017 -35,112 0.25% -$17.22M
LIFE TIME GROUP HOLDINGS INC 1,316,264 1,235,078 -81,186 0.24% -$1.71M
CG ONCOLOGY INC 486,793 483,212 -3,581 0.24% $12.49M
SELECTIVE INSURANCE GROUP INC 469,029 432,693 -36,336 0.24% -$6.62M
FIRST FINL BANKSHARES INC 1,174,400 1,097,525 -76,875 0.23% -$2.76M
SCHOLAR ROCK HOLDING CORP 658,890 655,394 -3,496 0.23% $3.20M
COVISTA INC 312,797 278,859 -33,938 0.23% -$226.61K
OUTFRONT MEDIA INC 1,289,901 1,205,404 -84,497 0.23% $856.59K
MIRUM PHARMACEUTICALS INC 356,448 344,657 -11,791 0.23% $3.68M
TIDEWATER INC 405,681 380,912 -24,769 0.23% $11.33M
LEMONADE INC 528,030 505,023 -23,007 0.23% -$5.93M
PRICESMART INC 223,749 209,859 -13,890 0.23% $4.14M
FRONTDOOR INC 639,572 591,798 -47,774 0.23% -$5.61M
CAVCO INDUSTRIES INC 67,907 63,658 -4,249 0.22% -$9.29M
IRHYTHM TECHNOLOGIES INC 277,909 260,640 -17,269 0.22% -$18.55M
SERVISFIRST BANCSHARES INC 450,630 420,637 -29,993 0.22% -$1.72M
MERIT MEDICAL SYSTEMS INC 473,603 443,835 -29,768 0.22% -$11.15M
AZZ INC 258,190 242,743 -15,447 0.22% $2.70M
VICOR CORPORATION 200,508 188,016 -12,492 0.22% $8.29M
STRIDE INC 372,320 342,107 -30,213 0.22% $5.99M
CABOT CORP 434,303 398,139 -36,164 0.22% $1.20M
SENSIENT TECHNOLOGIES CORP 368,605 344,299 -24,306 0.22% -$4.87M
CORE SCIENTIFIC INC 2,102,295 1,973,999 -128,296 0.21% -$1.08M
PATRICK INDUSTRIES INC 283,324 264,699 -18,625 0.21% -$1.32M
COMPASS INC - A 4,277,461 4,012,041 -265,420 0.21% -$15.88M
FRANKLIN ELECTRIC CO. INC. 338,510 317,290 -21,220 0.21% -$3.09M
StoneCo Ltd., Class A 2,188,706 2,054,343 -134,363 0.21% -$3.36M
BGC GROUP INC-A 3,178,408 2,957,517 -220,891 0.21% $541.33K
MAXIMUS INC 493,841 446,252 -47,589 0.21% -$14.02M
TANGER INC- REIT 882,527 839,247 -43,280 0.21% -$932.31K
KADANT INC 102,820 96,339 -6,481 0.20% -$1.14M
SHAKE SHACK INC - CLASS A 338,693 317,765 -20,928 0.20% $620.96K
COMMVAULT SYSTEMS INC 390,022 360,401 -29,621 0.20% -$20.82M
CAL-MAINE FOODS INC 386,303 354,540 -31,763 0.20% -$2.68M
GULFPORT ENERGY CORP 138,565 130,140 -8,425 0.20% -$1.29M
STEPSTONE GROUP INC CLASS A 614,365 574,971 -39,394 0.20% -$11.99M
TRANSMEDICS GROUP INC 292,715 274,580 -18,135 0.20% -$8.31M
GLOBALSTAR INC 448,806 410,028 -38,778 0.20% -$161.06K
CHEMOURS CO/ THE 1,315,557 1,225,269 -90,288 0.20% $11.48M
HERC HOLDINGS INC 284,947 267,276 -17,671 0.19% -$15.67M
EXPONENT INC 444,369 407,516 -36,853 0.19% -$4.28M
CACTUS INC CL A 598,747 558,437 -40,310 0.19% -$897.60K
ENOVA INTL INC 210,774 194,436 -16,338 0.19% -$6.72M
JOHN BEAN TECHNOLOGIES CORP 219,625 205,810 -13,815 0.19% -$6.77M
PJT PARTNERS INC 202,894 187,463 -15,431 0.19% -$7.73M
NCR ATLEOS CORP 638,486 598,868 -39,618 0.19% $1.77M
QUALYS INC 318,935 293,759 -25,176 0.19% -$16.58M
ARCHER AVIATION INC A 5,500,895 4,975,911 -524,984 0.19% -$15.64M
PALOMAR HOLDINGS 230,073 214,815 -15,258 0.19% -$5.33M
KONTOOR BRANDS INC 388,544 362,828 -25,716 0.18% $1.77M
SANMINA CORP 204,114 195,482 -8,632 0.18% -$5.29M
OCEANEERING INTL 756,445 711,729 -44,716 0.18% $7.07M
RADNET INC 481,433 449,668 -31,765 0.18% -$9.22M
INTEGER HOLDINGS CORP 300,391 281,738 -18,653 0.18% $1.23M
CINEMARK HOLDINGS INC 905,016 867,898 -37,118 0.18% $3.72M
WORKIVA INC 438,389 413,416 -24,973 0.18% -$13.16M
HAWKINS INC 170,221 159,649 -10,572 0.18% $340.49K
AMERICAN HEALTHCARE REIT INC 522,951 517,407 -5,544 0.18% -$209.16K
CALIX NETWORKS INC 526,334 490,940 -35,394 0.17% -$3.81M
VICTORY CAPITAL HOLDINGS INC CL A 391,197 367,197 -24,000 0.17% -$636.56K
Q2 HOLDINGS INC 542,735 506,705 -36,030 0.17% -$15.20M
IMPINJ INC 235,138 229,631 -5,507 0.17% -$17.33M
DORMAN PRODUCTS INC 240,685 225,721 -14,964 0.17% -$6.09M
TWIST BIOSCIENCE CORP 522,090 494,164 -27,926 0.17% $6.92M
CATALYST PHARMACEUTICALS INC 1,008,410 943,063 -65,347 0.17% -$186.05K
BROOKDALE SR 1,791,941 1,682,903 -109,038 0.17% $3.69M
POWER INTEGRATIONS INC 488,715 449,196 -39,519 0.17% $5.63M
HECLA MINING CO 1,315,110 1,224,898 -90,212 0.17% -$2.42M
GRIFFON CORP 334,518 313,600 -20,918 0.16% -$1.84M
ACADIA PHARMACEUTICALS INC 1,085,106 1,022,931 -62,175 0.16% -$6.21M
MARZETTI COMPANY/THE 175,532 164,318 -11,214 0.16% -$6.13M
WD-40 CO 119,028 111,223 -7,805 0.16% -$753.79K
TARSUS PHARMACEUTICALS INC 341,292 323,167 -18,125 0.16% -$5.27M
REMITLY GLOBAL INC 1,473,213 1,401,887 -71,326 0.16% $1.64M
CARGURUS INC CL A 718,293 642,962 -75,331 0.16% -$5.65M
SOUNDHOUND AI INC 3,270,506 3,167,774 -102,732 0.16% -$10.84M
DELEK US HOLDINGS INC 520,185 482,795 -37,390 0.16% $6.33M
HAEMONETICS CORP MASS 420,086 383,908 -36,178 0.16% -$12.03M
ARCUTIS BIOTHERAPEUTICS INC 957,074 894,581 -62,493 0.15% -$6.72M
ACUSHNET HOLDINGS CORP 240,859 225,382 -15,477 0.15% $1.84M
BOX INC- CLASS A 952,825 889,513 -63,312 0.15% -$7.47M
INGEVITY CORP 317,833 293,987 -23,846 0.15% $2.13M
CHEESECAKE FACTORY INC 403,212 377,927 -25,285 0.15% $337.36K
VERACYTE INC 683,240 637,363 -45,877 0.15% -$8.23M
STANDEX INTL CORP 85,292 80,126 -5,166 0.15% $1.89M
VARONIS SYSTEMS INC 1,013,428 946,609 -66,819 0.15% -$12.92M
LIQUIDIA TECHNOLOGIES INC 559,851 533,577 -26,274 0.15% $827.93K
PERPETUA RESOURC 740,776 709,738 -31,038 0.14% $2.02M
VISTANCE NETWORKS INC 1,171,500 1,093,567 -77,933 0.14% -$1.34M
ST JOE COMPANY 332,048 311,323 -20,725 0.14% -$162.61K
PRIVIA HEALTH GROUP INC 1,011,693 949,978 -61,715 0.14% -$4.45M
HILTON GRAND VACATIONS INC 527,596 495,995 -31,601 0.14% -$4.21M
CONCENTRA GROUP HOLDINGS PARENT INC 953,533 896,732 -56,801 0.14% $469.37K
ICU MEDICAL INC 158,103 148,273 -9,830 0.14% -$3.41M
MADISON SQUARE GARDEN ENTERTAINMENT CORP 346,066 324,365 -21,701 0.14% $458.85K
NOVAGOLD RESOURCES INC 2,459,472 2,125,235 -334,237 0.14% -$3.84M
SPYRE THERAPEUTICS INC 402,418 377,778 -24,640 0.14% $5.87M
OSCAR HEALTH INC - CLASS A 1,723,808 1,659,776 -64,032 0.14% -$5.73M
ONESPAWORLD HOLDINGS LTD 866,785 825,876 -40,909 0.14% $976.73K
TRAVERE THERAPEUTICS INC 673,337 631,730 -41,607 0.14% -$6.96M
ADEIA INC 830,908 778,941 -51,967 0.14% $4.38M
BANK OF HAWAII 265,864 251,993 -13,871 0.14% $533.36K
VITA COCO CO INC/THE 415,184 389,653 -25,531 0.14% -$3.34M
VERRA MOBILITY CORP 1,390,114 1,305,728 -84,386 0.14% -$12.49M
LEMAITRE VASCULAR INC 181,644 170,527 -11,117 0.13% $3.89M
BANCORP INC/THE 369,267 345,313 -23,954 0.13% -$6.38M
CENTRUS ENERGY CORP CL A 113,876 106,864 -7,012 0.13% -$9.09M
BEAM THERAPEUTICS INC 833,661 776,898 -56,763 0.13% -$4.60M
GEO GROUP INC/TH 1,179,528 1,089,611 -89,917 0.13% -$697.63K
WAYSTAR HOLDING CORP 813,973 758,588 -55,385 0.13% -$8.37M
UPSTART HOLDINGS INC 743,621 705,507 -38,114 0.13% -$14.42M
RUSH ENTERPRISES INC CL A 287,125 269,838 -17,287 0.13% $2.35M
HURON CONSULTING GROUP INC 148,635 139,335 -9,300 0.13% -$7.94M
CHEFS WAREHOUSE INC 317,664 297,829 -19,835 0.13% -$2.09M
EDGEWISE THERAPEUTICS INC 588,143 551,740 -36,403 0.13% $2.79M
AMBARELLA INC 354,798 336,579 -18,219 0.13% -$7.81M
SPS COMMERCE INC 332,539 309,690 -22,849 0.12% -$12.40M
WARBY PARKER INC 856,737 810,954 -45,783 0.12% -$1.58M
ADMA BIOLOGICS INC 2,021,100 1,887,512 -133,588 0.12% -$19.86M
BRAZE INC-A 744,115 720,158 -23,957 0.12% -$8.51M
ADAPTIVE BIOTECHNOLOGIES CORP 1,302,767 1,221,787 -80,980 0.12% -$4.20M
BANCFIRST CORP 167,236 155,942 -11,294 0.12% -$810.65K
MCGRATH RENTCORP 162,236 152,469 -9,767 0.12% -$209.14K
ALARM.COM HOLDINGS INC 416,170 387,660 -28,510 0.12% -$4.49M
EXTREME NETWORKS INC 1,150,501 1,091,672 -58,829 0.12% -$2.69M
TENABLE HOLDINGS INC 1,059,035 965,698 -93,337 0.12% -$8.58M
PATHWARD FINANCIAL INC 197,158 182,759 -14,399 0.12% $2.31M
CSG SYSTEMS INTL INC 216,212 202,927 -13,285 0.12% -$359.31K
RUSH STREET INTERACTIVE INC 799,586 743,727 -55,859 0.12% $640.11K
ITRON INC 191,999 180,225 -11,774 0.12% -$1.68M
ATLANTA BRAVES HOLDINGS INC 403,387 377,975 -25,412 0.12% $225.92K
AMPRIUS TECHNOLOGIES INC 959,087 940,982 -18,105 0.11% $8.30M
KULICKE and SOFFA INDUSTRIES INC 260,393 240,995 -19,398 0.11% $3.97M
ENERPAC TOOL GROUP CORP CL A 462,039 433,568 -28,471 0.11% -$1.86M
BIOCRYST PHARMACEUTICALS INC 1,824,013 1,645,746 -178,267 0.11% $1.44M
AMER STATES WATE 221,055 206,672 -14,383 0.11% -$393.53K
ASTRONICS CORP 244,171 233,148 -11,023 0.11% $2.31M
SYNDAX PHARMACEUTICALS INC 693,187 656,341 -36,846 0.11% $768.27K
IMMUNITYBIO INC 2,113,422 1,989,217 -124,205 0.11% $11.07M
FIRST BANCORP PUERTO RICO 754,560 707,142 -47,418 0.11% -$537.48K
CORE NATURAL RESOURCES INC 153,741 144,084 -9,657 0.11% $1.48M
AGILYSYS INC 225,759 211,849 -13,910 0.11% -$11.76M
BLACKLINE INC 454,476 406,783 -47,693 0.11% -$10.08M
DXP ENTERPRISES INC 113,325 106,344 -6,981 0.11% $2.42M
EVERTEC INC 560,086 525,734 -34,352 0.11% -$1.46M
DAVE INC 90,335 84,800 -5,535 0.11% -$5.24M
BLUE BIRD CORP 275,973 259,074 -16,899 0.11% $1.74M
WISDOMTREE INVESTMENTS INC 1,079,540 1,006,897 -72,643 0.11% $1.50M
XOMETRY INC-A 379,002 358,457 -20,545 0.11% -$7.90M
CECO ENVIRONMNTL 257,062 241,076 -15,986 0.10% -$1.02M
AURINIA PHARMS. INC 1,040,668 968,125 -72,543 0.10% -$2.25M
DIEBOLD NIXDORF INC 203,956 185,575 -18,381 0.10% $153.21K
SUPER GROUP SGHC LTD 1,389,993 1,292,886 -97,107 0.10% -$2.65M
UNIVERSAL TECHNI 405,863 384,249 -21,614 0.10% $3.27M
MAREX GROUP PLC 332,322 311,075 -21,247 0.10% $1.12M
GROUP 1 AUTOMOTIVE INC 46,811 41,937 -4,874 0.10% -$4.55M
MAGNITE INC 1,221,341 1,155,925 -65,416 0.10% -$6.09M
FRESHWORKS INC CL A 1,752,889 1,705,798 -47,091 0.10% -$7.78M
HCI GROUP INC 94,079 88,373 -5,706 0.10% -$4.37M
IMAX Corporation COM NPV 381,741 357,736 -24,005 0.10% -$511.60K
LIVERAMP HOLDINGS INC 563,948 512,248 -51,700 0.10% -$2.98M
INTERPARFUMS INC 160,359 148,951 -11,408 0.10% -$72.55K
STOCK YARDS BANCORP INC 215,809 202,241 -13,568 0.10% -$610.24K
AMNEAL PHARM INC 1,144,898 1,073,531 -71,367 0.10% -$1.08M
KINETIK HOLDINGS INC 280,240 274,161 -6,079 0.10% $3.17M
VERICEL CORP 438,864 408,619 -30,245 0.10% -$2.66M
CORVEL CORP 253,341 237,905 -15,436 0.09% -$4.14M
OCULAR THERAPEUTIX INC 1,620,815 1,531,041 -89,774 0.09% -$6.71M
COHEN & STEERS 225,475 206,194 -19,281 0.09% -$1.26M
AMER SUPERCONDTR 380,549 376,506 -4,043 0.09% $1.79M
LAUREATE EDUCATION INC CL A 386,576 361,373 -25,203 0.09% -$425.78K
ENLIVEN THERAPEUTICS INC 342,559 319,687 -22,872 0.09% $7.26M
EOS ENERGY ENTERPRISES INC 2,689,794 2,524,782 -165,012 0.09% -$18.30M
NEXTNAV INC 825,870 774,708 -51,162 0.09% -$1.33M
KORN FERRY 209,105 194,912 -14,193 0.09% -$1.54M
MGE ENERGY INC 168,561 157,272 -11,289 0.09% -$1.06M
THE BUCKLE INC 257,664 239,667 -17,997 0.09% -$1.69M
SONOS INC 955,437 896,379 -59,058 0.09% -$4.77M
INTAPP INC 498,393 466,844 -31,549 0.09% -$10.84M
YELP INC 527,725 482,825 -44,900 0.09% -$4.09M
VALLEY NATL BANCORP 1,057,000 971,162 -85,838 0.09% -$419.89K
BRIGHTSPHERE INVESTMENT GROUP INC 236,688 218,889 -17,799 0.09% $787.60K
UFP TECHNOLOGIES INC 65,538 61,502 -4,036 0.09% -$2.64M
ANI PHARMACEUTICALS INC 158,290 154,442 -3,848 0.09% -$618.82K
URBAN OUTFITTERS 186,807 186,269 -538 0.09% -$2.26M
WILEY JOHN&SON-A 334,657 309,571 -25,086 0.09% $1.54M
ARLO TECHNOLOGIES INC 866,259 828,290 -37,969 0.09% -$332.40K
ARCOSA INC 118,757 111,038 -7,719 0.09% -$840.67K
ARDELYX INC 2,083,342 1,959,561 -123,781 0.08% -$408.11K
RED ROCK RESORTS INC 236,186 218,869 -17,317 0.08% -$2.95M
A10 NETWORKS INC 535,103 500,268 -34,835 0.08% $2.10M
AVEPOINT INC 1,280,723 1,215,642 -65,081 0.08% -$6.23M
US LIME & MINERA 94,613 88,489 -6,124 0.08% $228.59K
TURNING POINT BRANDS INC 134,700 133,034 -1,666 0.08% -$3.06M
QUANTUM COMPUTING INC 1,755,906 1,649,629 -106,277 0.08% -$6.72M
ATRICURE INC 422,032 395,128 -26,904 0.08% -$5.42M
PAYONEER GLOBAL INC 2,433,012 2,313,096 -119,916 0.08% -$2.50M
NAPCO SECURITY TECHNOLOGIES INC 301,625 282,556 -19,069 0.08% -$1.45M
SIX FLAGS ENTERTAINMENT CORP 667,921 625,074 -42,847 0.08% $849.16K
RED CAT HOLDINGS INC 890,686 844,392 -46,294 0.08% $3.99M
UPWORK INC 1,073,502 1,006,186 -67,316 0.08% -$10.25M
PROCEPT BIOROBOTICS CORP 464,257 434,642 -29,615 0.08% -$3.74M
WOLVERINE WORLD WIDE INC 702,969 665,217 -37,752 0.08% -$1.90M
CBIZ INC 430,147 403,705 -26,442 0.08% -$10.86M
FIGS INC-CLASS A 771,922 730,437 -41,485 0.08% $2.02M
PACS GROUP INC 357,840 335,107 -22,733 0.08% -$2.97M
GORMAN-RUPP CO 181,514 171,459 -10,055 0.08% $1.99M
TANDEM DIABETES CARE INC 591,322 554,092 -37,230 0.08% -$2.38M
ARTIVION INC 297,896 289,826 -8,070 0.08% -$2.97M
MINERALYS THERAPEUTICS INC 407,136 389,753 -17,383 0.08% -$4.22M
ALPHATEC HOLDINGS INC 1,023,394 959,955 -63,439 0.08% -$11.09M
PROGYNY INC 653,859 613,313 -40,546 0.08% -$6.38M
VIRIDIAN THERAPEUTICS INC 551,522 526,755 -24,767 0.07% -$6.86M
FEDERAL AGRI MTG NON VTG CL C 74,846 69,123 -5,723 0.07% -$2.89M
ARTISAN PARTNERS ASSET MANAGEMENT INC A 311,723 280,759 -30,964 0.07% -$2.48M
LINDSAY CORP 94,957 85,716 -9,241 0.07% -$986.38K
ZYMEWORKS INC 434,600 406,031 -28,569 0.07% -$1.28M
Constellium SE, Class A 441,156 412,493 -28,663 0.07% $1.82M

Top 300 of 935, by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MOELIS & CO-CL A 529,559 529,559 0 0.22% -$6.22M
PROVIDENT FINANCIAL SVCS INC 143,482 143,482 0 0.02% $202.31K
CUSTOMERS BANCORP INC 20,744 20,744 0 0.01% -$76.96K
SIRIUSPOINT LTD 49,737 49,737 0 0.01% -$17.41K
NOVO NORDISK CVR 620,049 620,049 0 0.00% $6.20K
Sanofi Aatd, Inc., CVR 193,298 193,298 0 0.00% $3.87K
Contra Aduro Biotech I, CVR 105,692 105,692 0 0.00% $0
Contra Chinook Therape, CVR 137,855 137,855 0 0.00% $0
OMNIAB INC - 12.5 EARNOUT 5,861 5,861 0 0.00% $0
Oncternal Therapeutics, Inc., CVR 6,020 6,020 0 0.00% $0
OMNIAB INC - 15.00 EARNOUT 5,861 5,861 0 0.00% $0

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