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.
▶
Opened
· 28 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIXED INC CLEARING CORP.REPO
0
78,712,652
78,712,652
4.32%
$78.71M
DIGITALOCEAN HOLDINGS INC
0
100,459
100,459
0.47%
$8.62M
KONTOOR BRANDS INC
0
72,074
72,074
0.28%
$5.07M
STRIDE INC
0
51,304
51,304
0.25%
$4.52M
GENTEX CORP
0
199,977
199,977
0.24%
$4.37M
ALUMIS INC
0
188,696
188,696
0.23%
$4.16M
CORMEDIX INC
0
603,518
603,518
0.23%
$4.10M
ZYMEWORKS INC
0
124,861
124,861
0.17%
$3.13M
TELEPHONE & DATA
0
65,594
65,594
0.15%
$2.76M
AVANTOR INC
0
330,942
330,942
0.14%
$2.59M
ALAMO GROUP INC
0
14,528
14,528
0.13%
$2.40M
MOELIS & CO-CL A
0
40,085
40,085
0.13%
$2.28M
SECURE WASTE INF
0
138,751
138,751
0.12%
$2.18M
CSW INDUSTRI INC
0
7,085
7,085
0.10%
$1.85M
OPPENHEIMER HO-A
0
19,727
19,727
0.10%
$1.76M
BRIDGEBIO ONCOLOGY THERAPEUTIC
0
180,726
180,726
0.09%
$1.62M
UFP TECHNOLOGIES INC
0
8,285
8,285
0.09%
$1.60M
FACTSET RESEARCH SYSTEMS INC
0
7,200
7,200
0.09%
$1.56M
H&R BLOCK INC
0
43,525
43,525
0.08%
$1.38M
LINCOLN EDUCATIONAL SERVICES
0
32,630
32,630
0.07%
$1.33M
PEDIATRIX MEDICAL GROUP INC
0
61,813
61,813
0.07%
$1.32M
WIX.COM LTD
0
12,993
12,993
0.06%
$1.17M
MYERS INDUSTRIES
0
51,665
51,665
0.06%
$1.09M
CENTRAL GARDEN and PET CO CL A
0
33,085
33,085
0.06%
$1.07M
ANI PHARMACEUTICALS INC
0
10,661
10,661
0.05%
$819.83K
CHEMRING GROUP
0
90,213
90,213
0.03%
$610.99K
INDIVIOR PHARMACEUTICALS INC
0
3,950
3,950
0.01%
$120.40K
SOPHIA GENETICS SA
0
19,346
19,346
0.01%
$95.76K
▶
Exited
· 33 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIXED INC CLEARING CORP.REPO
51,198,690
0
-51,198,690
0.00%
-$51.20M
PAR TECHNOLOGY CORP
303,758
0
-303,758
0.00%
-$11.02M
HUB GROUP INC CL A
209,048
0
-209,048
0.00%
-$8.91M
WR BERKLEY CORP
124,251
0
-124,251
0.00%
-$8.71M
INDIVIOR PLC
141,096
0
-141,096
0.00%
-$5.06M
WESCO INTL
19,525
0
-19,525
0.00%
-$4.78M
INSMED INC
27,317
0
-27,317
0.00%
-$4.75M
MOLINA HEALTHCARE INC
26,970
0
-26,970
0.00%
-$4.68M
KENNEDY-WILSON HOLDINGS INC
472,406
0
-472,406
0.00%
-$4.57M
WORTHINGTON STEEL INC
131,068
0
-131,068
0.00%
-$4.54M
OCEANFIRST FINL
244,612
0
-244,612
0.00%
-$4.39M
TIPTREE INC
211,633
0
-211,633
0.00%
-$3.87M
COHERENT CORP
20,138
0
-20,138
0.00%
-$3.72M
GRAPHIC PACKAGING HOLDING CO
244,595
0
-244,595
0.00%
-$3.68M
INSTALLED BUILDING PRODUCTS INC
14,059
0
-14,059
0.00%
-$3.65M
SOLENO THERAPEUTICS INC
57,236
0
-57,236
0.00%
-$2.65M
EVERUS CONSTRUCTION GROUP INC
29,043
0
-29,043
0.00%
-$2.48M
WEATHERFORD INTERNATIONAL PLC
30,772
0
-30,772
0.00%
-$2.41M
KARMAN HOLDINGS INC
30,726
0
-30,726
0.00%
-$2.25M
ARCBEST CORP
29,700
0
-29,700
0.00%
-$2.20M
RYDER SYSTEM INC
10,961
0
-10,961
0.00%
-$2.10M
STERLING INFRASTRUCTURE INC
6,847
0
-6,847
0.00%
-$2.10M
ARROW ELECTRONICS INC
18,425
0
-18,425
0.00%
-$2.03M
COASTAL FINANCIAL CORP/WA
15,773
0
-15,773
0.00%
-$1.81M
NCINO INC
61,470
0
-61,470
0.00%
-$1.58M
CENTRUS ENERGY CORP CL A
5,792
0
-5,792
0.00%
-$1.41M
HALOZYME THERAPEUTICS INC
18,469
0
-18,469
0.00%
-$1.24M
ADEIA INC
67,923
0
-67,923
0.00%
-$1.17M
MUELLER INDUSTRIES INC
4,508
0
-4,508
0.00%
-$517.52K
POOL CORP
1,888
0
-1,888
0.00%
-$431.88K
WILLIAMS-SONOMA INC
1,193
0
-1,193
0.00%
-$213.06K
NVE CORP
2,512
0
-2,512
0.00%
-$149.04K
VSE CORP
666
0
-666
0.00%
-$115.06K
▶
Increased
· 95 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ARCOSA INC
382,456
388,457
6,001
2.26%
$568.10K
JOHN BEAN TECHNOLOGIES CORP
121,721
150,262
28,541
1.06%
$874.30K
QUAKER HOUGHTON
133,324
148,396
15,072
1.01%
$128.52K
INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD BERMUDA
694,138
712,155
18,017
0.95%
-$163.97K
ATMUS FILTRATION TECHNOLOGIES INC
273,412
303,418
30,006
0.95%
$3.03M
KADANT INC
49,167
58,210
9,043
0.93%
$3.00M
ESCO TECHNOLOGIES INC
50,635
57,704
7,069
0.89%
$6.34M
VONTIER CORP W/I
437,035
453,073
16,038
0.88%
-$178.46K
DORMAN PRODUCTS INC
124,212
148,063
23,851
0.85%
$150.18K
INTERPARFUMS INC
144,473
159,645
15,172
0.80%
$2.25M
CATALYST PHARMACEUTICALS INC
517,192
581,227
64,035
0.79%
$2.32M
ARTISAN PARTNERS ASSET MANAGEMENT INC A
355,313
383,134
27,821
0.77%
-$533.21K
M/I HOMES INC
96,542
111,659
15,117
0.75%
$1.32M
EXPONENT INC
118,682
207,263
88,581
0.74%
$5.28M
KORN FERRY
157,667
212,881
55,214
0.74%
$2.99M
LCI INDUSTRIES
103,658
104,229
571
0.70%
$240.22K
MAREX GROUP PLC
246,281
278,421
32,140
0.68%
$2.96M
NLIGHT INC
168,392
213,564
45,172
0.67%
$5.86M
VALVOLINE INC
332,436
338,719
6,283
0.63%
$1.75M
VISTEON CORP
101,599
120,899
19,300
0.60%
$1.35M
UFP INDUSTRIES INC
111,632
116,932
5,300
0.59%
$607.68K
TTM TECHNOLOGIES INC
105,750
106,990
1,240
0.57%
$3.13M
CAMTEK LTD
59,528
67,319
7,791
0.56%
$3.88M
TRANSCAT INC
119,185
137,700
18,515
0.56%
$3.35M
RLI CORP
112,921
163,871
50,950
0.51%
$2.12M
BARRETT BUS SVCS
61,799
315,567
253,768
0.51%
$6.97M
LEGENCE CORP-A
137,421
152,106
14,685
0.47%
$2.67M
COHU INC
262,000
279,994
17,994
0.47%
$2.48M
ANDERSEN GROUP-A
69,854
311,937
242,083
0.47%
$6.67M
MAXIMUS INC
23,378
131,899
108,521
0.46%
$6.44M
MATSON INC
44,141
49,725
5,584
0.45%
$2.70M
BRUNSWICK CORP
87,072
108,461
21,389
0.43%
$1.43M
JFROG LTD
84,926
166,443
81,517
0.43%
$2.51M
EVI INDUSTRIES INC
350,293
357,028
6,735
0.40%
-$1.28M
ULTRA CLEAN HOLDINGS INC
83,762
118,149
34,387
0.40%
$5.22M
CECO ENVIRONMNTL
110,425
123,303
12,878
0.40%
$737.46K
J & J SNACK FOOD
49,798
88,374
38,576
0.38%
$2.51M
HACKETT GROUP INC
477,681
514,151
36,470
0.37%
-$2.69M
HINGHAM INST SVG
18,269
22,880
4,611
0.36%
$1.35M
STONEX GROUP INC
45,881
79,306
33,425
0.35%
$2.03M
MORNINGSTAR INC
33,306
36,206
2,900
0.34%
-$1.12M
LAZARD INC CL A
114,302
139,049
24,747
0.32%
$356.30K
ESTABLISHMENT LABS HOLDINGS INC
75,043
102,794
27,751
0.32%
$367.51K
CRANE NXT CO
108,549
143,291
34,742
0.32%
$706.78K
PACS GROUP INC
120,479
177,030
56,551
0.31%
$1.06M
MIAMI INTERNATIONAL HOLDINGS INC
80,257
137,381
57,124
0.29%
$1.79M
International Game Technology PLC
248,767
418,435
169,668
0.29%
$1.48M
YETI HOLDINGS INC
124,092
143,970
19,878
0.29%
-$213.28K
FIRSTSERVICE-WI
24,533
37,478
12,945
0.29%
$1.39M
HOME BANCSHARES INC
174,614
191,671
17,057
0.28%
$310.92K
SEMTECH CORP
40,609
66,595
25,986
0.28%
$2.13M
STEVANATO GROUP SPA
220,166
371,242
151,076
0.28%
$674.84K
ENOVIS CORP
199,041
216,677
17,636
0.27%
-$373.05K
INNOVIVA INC
199,190
211,121
11,931
0.27%
$937.31K
Federated Government Obligations Fund
691,596
4,840,099
4,148,503
0.27%
$4.15M
NOMAD FOODS LTD
383,891
498,310
114,419
0.26%
-$13.72K
BOYD GAMING CORP
48,859
54,285
5,426
0.25%
$296.40K
SIGNET JEWELERS LTD
52,347
52,571
224
0.24%
$111.09K
FIRST BANK/HAMILTON NJ
250,887
276,822
25,935
0.24%
$299.55K
5N PLUS INC COMMON STOCK
98,509
193,281
94,772
0.24%
$3.13M
AMPHASTAR PHARMACEUTICALS INC
176,524
221,942
45,418
0.24%
-$379.47K
SANMINA CORP
22,691
33,521
10,830
0.24%
$940.42K
SUPERNUS PHARMACEUTICALS INC
68,315
83,995
15,680
0.24%
$946.45K
IBEX LTD
143,289
160,627
17,338
0.24%
-$1.16M
CBIZ INC
126,964
159,176
32,212
0.23%
-$2.13M
TAYLOR MORRISON HOME CORP
65,253
73,318
8,065
0.23%
$428.60K
ETHAN ALLEN INTERIORS INC
142,448
190,619
48,171
0.23%
$989.67K
EPLUS INC
35,362
56,246
20,884
0.23%
$1.13M
HARMONY BIOSCIENCES HOLDINGS INC
111,432
150,360
38,928
0.23%
$41.80K
FRONTDOOR INC
57,275
78,362
21,087
0.23%
$838.02K
WALKER & DUNLOP
67,983
92,526
24,543
0.23%
$17.13K
COLLEGIUM PHARMACEUTICAL INC
110,395
121,782
11,387
0.22%
-$1.08M
SHOE CARNIVAL
241,548
256,930
15,382
0.22%
-$71.79K
AMERESCO INC-CL A
141,359
155,529
14,170
0.22%
-$174.42K
COLLIERS-SUBORD
31,615
36,555
4,940
0.21%
-$740.36K
SKYLINE CHAMPION CORP
34,270
51,398
17,128
0.21%
$926.65K
MIRION TECHNOLOGIES INC-A
107,527
193,823
86,296
0.20%
$1.08M
LIVE OAK BANCSHARES INC
37,493
107,380
69,887
0.20%
$2.26M
J. JILL INC
289,304
293,042
3,738
0.18%
-$610.99K
PRESTIGE CONSUMER HEALTHCARE INC
28,010
55,383
27,373
0.18%
$1.55M
GERMAN AMERICAN BANCORP INC
57,339
75,808
18,469
0.17%
$921.47K
ESQUIRE FINL HLDGS INC
18,448
29,440
10,992
0.17%
$1.28M
GENEDX HOLDINGS CORP-A
20,127
47,287
27,160
0.17%
$419.05K
FRANKLIN COVEY CO
70,532
190,198
119,666
0.16%
$1.82M
TREX CO INC
43,037
81,757
38,720
0.16%
$1.47M
SKYWARD SPECIALTY INSURANCE GROUP INC
56,065
66,121
10,056
0.16%
$22.68K
Bath & Body Works Inc
119,134
153,683
34,549
0.16%
$477.05K
US LIME & MINERA
13,392
21,912
8,520
0.16%
$1.26M
LIMBACH HOLDINGS INC
31,534
36,431
4,897
0.16%
$388.52K
PTC THERAPEUTICS INC
36,848
40,282
3,434
0.15%
-$54.56K
COMPASS THERAPEUTICS INC
111,054
490,597
379,543
0.14%
$2.00M
ZEVRA THERAPEUTICS INC
234,606
271,008
36,402
0.14%
$423.72K
MSA SAFETY INC
13,470
14,030
560
0.13%
$143.13K
SIGA TECHNOLOGIES INC
357,096
373,244
16,148
0.11%
-$185.00K
MOVADO GROUP INC
26,610
41,000
14,390
0.05%
$452.52K
▶
Decreased
· 81 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ELEMENT SOLUTIONS INC
1,015,248
961,548
-53,700
1.80%
$7.46M
ENPRO INDUSTRIES INC
81,200
77,069
-4,131
1.06%
$1.93M
ESAB CORP
193,099
180,384
-12,715
0.96%
-$4.14M
CIRRUS LOGIC INC
193,562
119,454
-74,108
0.95%
-$5.66M
ONTO INNOVATION INC
94,227
83,779
-10,448
0.94%
$2.31M
ALAMOS GOLD INC A
424,328
354,328
-70,000
0.87%
-$621.07K
SPROTT INC
169,337
104,337
-65,000
0.82%
-$1.70M
NOVA LTD
40,750
30,750
-10,000
0.73%
-$27.78K
ACADEMY SPORTS and OUTDOORS INC
253,645
229,698
-23,947
0.71%
$294.35K
COGNEX CORP
277,320
261,995
-15,325
0.70%
$2.86M
STELLA-JONES INC
244,990
190,714
-54,276
0.70%
-$2.40M
VALMONT INDUSTRIES INC
33,812
31,872
-1,940
0.70%
-$868.15K
E-L FINANCIAL CORP LTD COMMON STOCK
1,868,104
1,072,700
-795,404
0.67%
-$9.94M
LITTELFUSE INC
42,410
35,608
-6,802
0.66%
$1.36M
GRAHAM CORPORATION
160,345
151,141
-9,204
0.66%
$1.63M
INGEVITY CORP
199,694
166,447
-33,247
0.65%
$38.13K
ONEX CORP
164,237
155,417
-8,820
0.62%
-$2.17M
MKS INSTRUMENTS INC
82,853
46,194
-36,659
0.58%
-$2.62M
PASON SYSTEMS INC COMMON STOCK
1,199,015
1,019,206
-179,809
0.53%
-$773.63K
PREFORMED LINE PRODUCTS CO
65,721
35,721
-30,000
0.53%
-$3.91M
FORMFACTOR INC
195,759
94,860
-100,899
0.51%
-$1.72M
AAON INC
115,526
109,388
-6,138
0.50%
$243.00K
ADVANCE AUTO PARTS INC
197,793
167,500
-30,293
0.49%
$1.06M
ASBURY AUTOMOTIVE GROUP INC
44,759
42,109
-2,650
0.45%
-$2.18M
BRADY CORPORATION CL A
125,779
98,069
-27,710
0.44%
-$1.89M
ORIGIN BANCORP INC
201,631
191,051
-10,580
0.44%
$337.63K
FIRSTCASH HOLDINGS INC
45,595
41,532
-4,063
0.43%
$541.08K
WD-40 CO
36,730
36,531
-199
0.41%
$218.00K
CENTURY ALUMINUM COMPANY
144,052
120,097
-23,955
0.39%
$1.40M
MODINE MFG CO
56,720
31,620
-25,100
0.38%
-$720.32K
ENVISTA HOLDINGS CORP
267,497
262,403
-5,094
0.37%
$849.80K
HEALTHCARE SERVS
367,254
351,617
-15,637
0.36%
-$499.40K
SAIA INC
25,725
18,515
-7,210
0.36%
-$1.90M
DIEBOLD NIXDORF INC
86,944
86,200
-744
0.36%
$600.30K
REPLIGEN CORP
63,968
50,950
-13,018
0.33%
-$4.48M
SM ENERGY CO
217,179
190,513
-26,666
0.33%
$1.88M
CENTESSA PHARMACEUTICALS LTD ADR
166,309
143,468
-22,841
0.31%
$1.54M
LANDSTAR SYSTEM INC
56,121
35,404
-20,717
0.31%
-$2.39M
MATADOR RESOURCES COMPANY
97,780
89,758
-8,022
0.31%
$1.52M
BANKUNITED INC
142,238
125,327
-16,911
0.31%
-$679.78K
SITIME CORP
20,361
16,321
-4,040
0.31%
-$1.55M
Teekay Tankers Ltd., Class A
87,803
76,660
-11,143
0.31%
$930.27K
ICHOR HOLDINGS LTD
204,275
108,594
-95,681
0.28%
$1.30M
ELANCO ANIMAL HEALTH INC
226,471
211,148
-15,323
0.28%
-$72.27K
KNOWLES CORP
189,242
179,226
-10,016
0.25%
$547.07K
DONNELLEY FINANCIAL SOLUTIONS INC
108,280
97,186
-11,094
0.25%
-$474.25K
SILGAN HOLDINGS INC
117,607
117,330
-277
0.25%
-$195.39K
GENCO SHIPPING and TRADING LTD
220,786
197,626
-23,160
0.24%
$387.38K
MSC INDUSTRIAL DIRECT CO CL A
50,937
47,669
-3,268
0.24%
$114.62K
ALLISON TRANSMISSION HLDGS INC
46,411
37,385
-9,026
0.24%
-$167.35K
INSPERITY INC
172,989
161,609
-11,380
0.24%
-$2.33M
ARGAN INC
16,685
7,992
-8,693
0.24%
-$874.90K
TIMKEN CO
54,332
43,265
-11,067
0.24%
-$219.79K
COMPUTER MODELLING GROUP LTD COMMON STOCK
1,589,433
1,389,433
-200,000
0.23%
-$1.77M
INTERFACE INC
186,093
169,970
-16,123
0.23%
-$960.06K
ENACT HOLDINGS INC
111,669
102,892
-8,777
0.23%
-$227.54K
KULICKE and SOFFA INDUSTRIES INC
108,212
63,858
-44,354
0.23%
-$733.39K
ORIC PHARMACEUTICALS INC
378,058
324,780
-53,278
0.23%
$1.02M
MERCHANTS BANCORP
149,847
88,768
-61,079
0.21%
-$1.29M
CYTOKINETICS INC
66,183
55,892
-10,291
0.20%
-$521.43K
HELIOS TECHNOLOGIES INC
59,852
54,852
-5,000
0.19%
$347.99K
CNB FINL CORP/PA
139,548
122,380
-17,168
0.19%
-$107.85K
EVERCORE INC A
11,813
10,122
-1,691
0.17%
-$997.86K
COMMERCIAL METALS CO
39,806
38,391
-1,415
0.13%
-$397.01K
KYNDRYL HOLDINGS INC
385,738
160,235
-225,503
0.12%
-$8.14M
MARCUS & MILLICH
85,831
70,203
-15,628
0.10%
-$475.63K
NORTHEAST BANK
20,379
14,915
-5,464
0.09%
-$441.99K
FTAI AVIATION LTD
15,268
6,708
-8,560
0.09%
-$1.36M
FLEX LTD
48,191
19,781
-28,410
0.07%
-$1.62M
UNIFIRST CORP/MA
11,072
4,750
-6,322
0.07%
-$940.74K
RUSH ENTERPRISES INC CL A
31,674
16,774
-14,900
0.06%
-$599.57K
ESPERION THERAPEUTICS INC NEW
795,830
354,287
-441,543
0.05%
-$1.97M
CHORD ENERGY CORP
44,165
6,820
-37,345
0.05%
-$3.12M
HOULIHAN LOKEY I
13,170
6,500
-6,670
0.05%
-$1.36M
JABIL INC
11,111
3,350
-7,761
0.05%
-$1.64M
NWPX INFRASTRUCTURE INC
34,513
11,256
-23,257
0.05%
-$1.28M
SYLVAMO CORP
26,213
18,228
-7,985
0.04%
-$492.21K
ENNIS INC
57,300
23,750
-33,550
0.03%
-$523.25K
I3 VERTICALS INC CL A
25,580
20,580
-5,000
0.03%
-$184.19K
ONEWATER MARINE CL A
47,102
16,436
-30,666
0.01%
-$354.32K
ADMA BIOLOGICS INC
561,984
9,209
-552,775
0.00%
-$10.17M
▶
Unchanged
· 57 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ASSURED GUARANTY LTD
291,135
291,135
0
1.30%
-$2.44M
SEI INVESTMENTS
274,408
274,408
0
1.18%
-$974.15K
RBC BEARINGS INC
37,789
37,789
0
1.13%
$3.58M
TMX GROUP LTD
444,202
444,202
0
0.87%
-$1.15M
IMAX Corporation COM NPV
406,039
406,039
0
0.85%
$426.34K
POPULAR INC
107,297
107,297
0
0.79%
$1.04M
LINCOLN ELECTRIC HLDGS INC
54,999
54,999
0
0.75%
$519.19K
KBR INC
343,396
343,396
0
0.70%
-$1.15M
DIGI INTL INC
258,206
258,206
0
0.68%
$1.27M
CONSTRUCTION PARTNERS INC CL A
106,429
106,429
0
0.65%
$273.52K
IES HOLDINGS INC
24,754
24,754
0
0.65%
$2.16M
APPLIED INDU TEC
43,882
43,882
0
0.64%
$375.19K
MINERALS TECHNOLOGIES INC
154,907
154,907
0
0.60%
$1.54M
TRANSMEDICS GROUP INC
109,460
109,460
0
0.60%
-$2.43M
KIRBY CORP
75,196
75,196
0
0.55%
$1.71M
BANK OF NT BUTTERFIELD & SON LTD/THE
188,155
188,155
0
0.54%
$500.49K
SIMPSON MFG
55,863
55,863
0
0.53%
$567.01K
AIR LEASE CORP CL A
142,808
142,808
0
0.51%
$101.39K
TOWER SEMICONDCT
49,172
49,172
0
0.47%
$2.85M
GCM GROSVENOR INC - CLASS A
854,408
854,408
0
0.46%
-$1.30M
BRIDGEBIO PHARMA INC
104,260
104,260
0
0.43%
-$232.50K
INNOSPEC INC
93,086
93,086
0
0.37%
-$327.66K
AGILYSYS INC
94,589
94,589
0
0.37%
-$4.51M
LINDSAY CORP
52,639
52,639
0
0.34%
$63.17K
BUILDERS FIRSTSOURCE
72,073
72,073
0
0.33%
-$1.48M
RENAISSANCERE HLDGS LTD
19,655
19,655
0
0.32%
$315.86K
BIO-TECHNE CORP
107,101
107,101
0
0.31%
-$701.51K
PHOTRONICS INC
130,787
130,787
0
0.29%
$1.10M
BLUE BIRD CORP
91,204
91,204
0
0.28%
$892.89K
BOK FINL CORP
40,236
40,236
0
0.28%
$386.27K
IMPINJ INC
49,151
49,151
0
0.28%
-$3.50M
TD SYNNEX CORP
29,839
29,839
0
0.28%
$551.42K
LEAR CORP NEW
40,696
40,696
0
0.27%
$263.71K
TIMBERLAND BANCP
122,859
122,859
0
0.27%
$445.98K
UNITED FIRE GROUP INC
126,324
126,324
0
0.26%
$89.69K
BERKSHIRE HILLS BANCORP INC
152,706
152,706
0
0.25%
$554.32K
MILLER INDUSTRIES INC TENN
100,457
100,457
0
0.25%
$821.74K
RELIANCE STEEL and ALUMINUM CO
14,973
14,973
0
0.25%
$225.34K
CIVISTA BANCSHARES INC
199,297
199,297
0
0.25%
$113.60K
BUSINESS FIRST BANCSHARES INC
166,007
166,007
0
0.25%
$149.41K
AXSOME THERAPEUTICS INC
24,639
24,639
0
0.23%
-$335.58K
FIDELIS INSURANCE HOLDINGS LTD
209,283
209,283
0
0.22%
-$96.27K
TELEDYNE TECHNOLOGIES INC
6,340
6,340
0
0.21%
$597.74K
FRP HOLDINGS INC
170,323
170,323
0
0.20%
-$154.99K
PULTEGROUP INC
30,743
30,743
0
0.20%
$10.76K
AMERISAFE INC
107,991
107,991
0
0.20%
-$548.59K
MAJOR DRILLING GROUP INTL INC
281,491
281,491
0
0.18%
$596.06K
VICTORY CAPITAL HOLDINGS INC CL A
47,900
47,900
0
0.17%
$114.48K
AMER SUPERCONDTR
92,177
92,177
0
0.17%
$467.34K
DISTRIBUTION SOLUTIONS GROUP INC
106,672
106,672
0
0.15%
-$122.67K
RB GLOBAL INC
25,600
25,600
0
0.13%
-$179.71K
BRIGHTVIEW HOLDINGS INC
197,651
197,651
0
0.13%
-$173.93K
POWERFLEET INC
751,408
751,408
0
0.13%
-$1.68M
CHAIN BRIDGE BANCORP INC
37,865
37,865
0
0.07%
$9.84K
TIMKENSTEEL CORP
69,000
69,000
0
0.06%
-$56.58K
QUINSTREET INC
76,292
76,292
0
0.05%
-$180.05K
IDT CORP CL B NEW
11,478
11,478
0
0.03%
-$24.22K
Machine-readable:
JSON ·
Markdown .
Programmatic access via the agent surface .