QISCX
Federated Hermes MDT Small Cap Core Fund
Federated Hermes MDT Series

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.

Jan 31, 2026 → Apr 30, 2026

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

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
LEGENCE CORP-A 0 168,989 168,989 0.78% $14.70M
KODIAK GAS SERVICES INC 0 181,180 181,180 0.65% $12.28M
Q2 HOLDINGS INC 0 187,201 187,201 0.50% $9.50M
HECLA MINING CO 0 475,591 475,591 0.45% $8.57M
ADMA BIOLOGICS INC 0 824,121 824,121 0.45% $8.45M
TERAWULF INC 0 380,297 380,297 0.44% $8.26M
Constellium SE, Class A 0 253,220 253,220 0.42% $7.92M
FLUENCE ENERGY INC 0 618,158 618,158 0.40% $7.53M
CG ONCOLOGY INC 0 104,264 104,264 0.37% $6.96M
ASSOCIATED BANC CORP 0 245,093 245,093 0.36% $6.90M
PHINIA INC 0 87,497 87,497 0.33% $6.31M
VIAVI SOLUTIONS INC 0 117,055 117,055 0.32% $6.13M
WAVE LIFE SCIENCES LTD 0 746,848 746,848 0.28% $5.27M
MAREX GROUP PLC 0 95,571 95,571 0.27% $5.10M
APPLIED OPTOELECTRONICS INC 0 28,959 28,959 0.25% $4.76M
IMMUNITYBIO INC 0 639,458 639,458 0.24% $4.54M
SEMTECH CORP 0 43,037 43,037 0.24% $4.52M
INSPERITY INC 0 124,354 124,354 0.23% $4.42M
GRID DYNAMICS HOLDINGS INC 0 772,863 772,863 0.23% $4.40M
JANUX THERAPEUTICS INC 0 298,188 298,188 0.23% $4.28M
PAR TECHNOLOGY CORP 0 316,444 316,444 0.22% $4.25M
CRESCENT ENERGY INC A 0 307,156 307,156 0.22% $4.13M
AZENTA INC 0 167,498 167,498 0.22% $4.12M
CALUMET INC 0 119,472 119,472 0.21% $3.91M
VALLEY NATL BANCORP 0 259,410 259,410 0.19% $3.52M
SIMPLY GOOD FOODS CO 0 253,625 253,625 0.18% $3.39M
HANCOCK WHITNEY CORP 0 46,305 46,305 0.17% $3.13M
ITRON INC 0 37,085 37,085 0.16% $3.11M
KULICKE and SOFFA INDUSTRIES INC 0 36,124 36,124 0.16% $3.09M
VITAL FARMS INC 0 222,030 222,030 0.16% $3.03M
KENNAMETAL INC 0 75,722 75,722 0.15% $2.93M
FIGS INC-CLASS A 0 182,479 182,479 0.14% $2.73M
PROCEPT BIOROBOTICS CORP 0 110,448 110,448 0.14% $2.66M
INDIE SEMICONDUCTOR INC 0 583,350 583,350 0.14% $2.63M
AMERICAN EAGLE OUTFITTERS INC 0 146,379 146,379 0.13% $2.55M
HUT 8 CORP 0 32,949 32,949 0.13% $2.50M
UNITED BANKSHS 0 55,361 55,361 0.13% $2.43M
ANAPTYSBIO INC 0 36,079 36,079 0.13% $2.37M
MERIT MEDICAL SYSTEMS INC 0 32,976 32,976 0.12% $2.25M
UNITED COMMUNITY BANKS GA 0 65,588 65,588 0.12% $2.19M
INTAPP INC 0 89,996 89,996 0.11% $2.02M
WARRIOR MET COAL INC 0 20,923 20,923 0.10% $1.88M
HACKETT GROUP INC 0 142,949 142,949 0.10% $1.85M
DORIAN LPG LTD 0 44,997 44,997 0.09% $1.73M
BROOKDALE SR 0 109,509 109,509 0.08% $1.57M
INSIGHT ENTERPRISES INC 0 17,058 17,058 0.07% $1.24M
TANDEM DIABETES CARE INC 0 49,696 49,696 0.05% $970.31K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
SKYWATER TECHNOLOGY INC 285,417 0 -285,417 0.00% -$9.04M
SUNCOKE ENERGY INC 1,037,179 0 -1,037,179 0.00% -$8.15M
Pagaya Technologies Ltd., Class A 389,983 0 -389,983 0.00% -$7.56M
OMNICELL INC 149,909 0 -149,909 0.00% -$7.27M
YEXT INC 686,320 0 -686,320 0.00% -$4.91M
JELD-WEN HOLDING INC 1,530,485 0 -1,530,485 0.00% -$4.16M
RLI CORP 68,895 0 -68,895 0.00% -$4.03M
SL GREEN REALTY CORP REIT 83,057 0 -83,057 0.00% -$3.72M
SPROUT SOCIAL INC 406,127 0 -406,127 0.00% -$3.68M
ARRAY TECHNOLOGIES INC 318,306 0 -318,306 0.00% -$3.60M
WAYSTAR HOLDING CORP 128,818 0 -128,818 0.00% -$3.42M
COMMVAULT SYSTEMS INC 35,985 0 -35,985 0.00% -$3.08M
LIVANOVA PLC 43,996 0 -43,996 0.00% -$2.89M
ROGERS CORP 29,562 0 -29,562 0.00% -$2.87M
EOS ENERGY ENTERPRISES INC 190,887 0 -190,887 0.00% -$2.79M
THREDUP INC A 503,969 0 -503,969 0.00% -$2.56M
EUROPEAN WAX CENTER INC 496,355 0 -496,355 0.00% -$1.95M
LIFE360 INC 29,702 0 -29,702 0.00% -$1.70M
RIGETTI COMPUTING INC A 88,393 0 -88,393 0.00% -$1.61M
VALARIS LTD 26,901 0 -26,901 0.00% -$1.55M
StoneCo Ltd., Class A 96,179 0 -96,179 0.00% -$1.55M
AMER VANGUARD 292,743 0 -292,743 0.00% -$1.49M
FORRESTER RESEARCH INC 179,510 0 -179,510 0.00% -$1.46M
SHOALS TECHNOLOGIES GROUP INC 142,595 0 -142,595 0.00% -$1.35M
TURNING POINT BRANDS INC 10,466 0 -10,466 0.00% -$1.27M
VISTANCE NETWORKS INC 65,288 0 -65,288 0.00% -$1.18M
CLEARWATER PAPER CORP 67,194 0 -67,194 0.00% -$1.13M
LARIMAR THERAPEUTICS INC 305,802 0 -305,802 0.00% -$1.08M
MCGRAW HILL INC 67,923 0 -67,923 0.00% -$1.00M
SCRIPPS (EW) CO CL A 292,427 0 -292,427 0.00% -$979.63K
WORLD KINECT CORP 33,056 0 -33,056 0.00% -$889.54K
NOW INC 58,200 0 -58,200 0.00% -$884.06K
EXCELERATE ENERGY INC 23,155 0 -23,155 0.00% -$864.84K
HB FULLER CO 14,221 0 -14,221 0.00% -$854.68K
TRAVERE THERAPEUTICS INC 26,379 0 -26,379 0.00% -$820.12K
HAIN CELESTIAL GROUP INC 657,748 0 -657,748 0.00% -$795.88K
ALBANY INTL CORP 13,039 0 -13,039 0.00% -$723.53K
THE REAL BROKERAGE INC CO 195,339 0 -195,339 0.00% -$691.50K
ON24 INC 84,340 0 -84,340 0.00% -$672.19K
SIGA TECHNOLOGIES INC 100,242 0 -100,242 0.00% -$671.62K
OKLO INC 8,190 0 -8,190 0.00% -$652.09K
CONSTRUCTION PARTNERS INC CL A 5,880 0 -5,880 0.00% -$646.09K
TENNANT CO 7,942 0 -7,942 0.00% -$604.31K
PAGERDUTY INC 55,911 0 -55,911 0.00% -$592.66K
AVEANNA HEALTHCARE HOLDINGS INC 66,163 0 -66,163 0.00% -$555.77K
RACKSPACE TECHNOLOGY INC 630,141 0 -630,141 0.00% -$385.39K
ZENAS BIOPHARMA INC 17,013 0 -17,013 0.00% -$312.53K
BIOMEA FUSION INC 96,423 0 -96,423 0.00% -$107.99K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
AMERICAN HEALTHCARE REIT INC 802,203 863,055 60,852 2.32% $6.19M
BLOOM ENERGY CORP CL A 104,796 130,745 25,949 1.96% $21.18M
Federated Hermes Government Obligations Tax-Managed Fund, Institutional Class 35,829,587 36,856,937 1,027,350 1.95% $1.03M
POWELL INDUSTRIES INC 50,251 108,260 58,009 1.59% $7.73M
BRIGHTSPRING HEALTH SERVICES INC 464,929 564,687 99,758 1.43% $8.83M
FLUOR CORP 351,778 399,715 47,937 1.13% $5.08M
SPS COMMERCE INC 136,521 354,913 218,392 1.05% $7.73M
INDIVIOR PHARMACEUTICALS INC 251,535 494,281 242,746 0.96% $9.28M
Hamilton Insurance Group Ltd., Class B 490,426 546,067 55,641 0.95% $4.29M
MUELLER WATER PRODUCTS INC A 553,870 584,713 30,843 0.86% $1.31M
BANKUNITED INC 250,199 321,841 71,642 0.79% $3.08M
BYLINE BANCORP INC 439,444 457,955 18,511 0.78% $691.81K
ARTERIS INC 144,057 475,428 331,371 0.73% $11.61M
COMMERCIAL METALS CO 141,877 192,370 50,493 0.70% $2.36M
FORMFACTOR INC 16,884 93,986 77,102 0.67% $11.59M
V2X INC 98,753 180,991 82,238 0.65% $5.48M
SWEETGREEN INC CL A 1,147,152 1,765,285 618,133 0.64% $5.10M
BANK OF NT BUTTERFIELD & SON LTD/THE 160,092 217,125 57,033 0.64% $3.75M
POSTAL REALTY TRUST INC 228,503 534,580 306,077 0.62% $7.53M
NY COMM BANCORP 712,426 753,160 40,734 0.56% $1.10M
ZURN ELKAY WATER SOLUTIONS CORP 158,424 202,165 43,741 0.55% $3.20M
TALOS ENERGY INC 601,770 635,648 33,878 0.53% $2.95M
ADV ENERGY INDS 22,942 25,507 2,565 0.52% $3.93M
ARCUTIS BIOTHERAPEUTICS INC 375,649 417,222 41,573 0.51% $157.68K
PLANET LABS PBC A 181,534 262,022 80,488 0.51% $5.15M
COEUR MINING INC 327,103 522,579 195,476 0.50% $2.70M
AXSOME THERAPEUTICS INC 36,223 44,704 8,481 0.49% $2.61M
EXTREME NETWORKS INC 330,871 414,300 83,429 0.48% $4.33M
TENABLE HOLDINGS INC 413,255 437,828 24,573 0.48% $29.82K
AMALGAMATED FINANCIAL CORP 206,922 220,056 13,134 0.48% $959.04K
GARRETT MOTION INC 293,894 348,343 54,449 0.47% $3.62M
TEXAS CAPITAL BANCSHARES INC 74,365 85,387 11,022 0.45% $1.07M
METHODE ELECTRONICS INC 1,037,416 1,060,516 23,100 0.45% $216.38K
WATTS WATER TECH INC CL A 20,880 28,142 7,262 0.45% $2.20M
SIRIUSPOINT LTD 323,674 348,356 24,682 0.43% $1.55M
ULTRA CLEAN HOLDINGS INC 37,001 99,070 62,069 0.41% $6.13M
BADGER METER INC 7,166 62,220 55,054 0.40% $6.47M
DELEK US HOLDINGS INC 135,248 160,532 25,284 0.40% $3.49M
NETSTREIT CORP 246,790 351,789 104,999 0.38% $2.59M
NLIGHT INC 89,872 100,386 10,514 0.37% $2.91M
CATALYST PHARMACEUTICALS INC 190,402 245,070 54,668 0.36% $2.27M
INTELLIA THERAPEUTICS INC 123,792 494,640 370,848 0.35% $5.04M
ATMUS FILTRATION TECHNOLOGIES INC 76,540 103,913 27,373 0.35% $2.15M
RUSH STREET INTERACTIVE INC 154,694 225,723 71,029 0.34% $3.61M
CELCUITY INC 4,438 46,918 42,480 0.30% $5.21M
MYRIAD GENETICS INC 1,004,639 1,181,362 176,723 0.30% -$34.60K
POLARIS INC 47,681 82,015 34,334 0.29% $2.39M
SUPER GROUP SGHC LTD 265,197 411,671 146,474 0.28% $2.82M
UMB FINANCIAL CORP 33,509 42,264 8,755 0.28% $1.07M
PTC THERAPEUTICS INC 69,462 79,820 10,358 0.27% -$53.38K
MOOG INC-CLASS A 11,437 16,324 4,887 0.26% $1.43M
BOX INC- CLASS A 150,579 194,693 44,114 0.25% $894.39K
VIRIDIAN THERAPEUTICS INC 153,115 334,924 181,809 0.24% -$538.02K
KRATOS DEFENSE and SEC SOLTN INC 59,326 70,527 11,201 0.23% -$1.66M
KOHLS CORP 267,761 312,742 44,981 0.23% -$246.23K
TRINET GROUP INC 82,651 96,785 14,134 0.23% -$630.73K
COURSERA INC 632,820 727,173 94,353 0.23% $491.79K
ZYMEWORKS INC 135,340 156,803 21,463 0.23% $1.27M
KEROS THERAPEUTICS 364,437 382,340 17,903 0.22% -$2.28M
CEVA INC 52,446 137,894 85,448 0.22% $3.11M
OVERSTOCK.COM INC DEL 661,983 856,560 194,577 0.22% $284.82K
ENERSYS INC 8,901 17,451 8,550 0.20% $2.12M
FULTON FINANCIAL CORP 120,421 172,285 51,864 0.20% $1.23M
RXSIGHT INC 193,646 493,931 300,285 0.18% $1.81M
CERENCE INC 352,671 381,749 29,078 0.18% -$521.85K
ALARM.COM HOLDINGS INC 64,229 77,562 13,333 0.18% $311.44K
FRESHWORKS INC CL A 351,188 413,903 62,715 0.18% -$408.36K
FRANKLIN COVEY CO 149,737 154,013 4,276 0.17% $214.93K
NABORS INDUSTRIES LTD 24,664 31,660 6,996 0.17% $1.60M
CONTANGO SILVER 20,318 139,347 119,029 0.17% $2.62M
SLIDE INSURANCE HOLDINGS INC 55,356 169,840 114,484 0.17% $2.21M
ALERUS FINANCIAL CORP 57,250 114,660 57,410 0.16% $1.68M
WOLVERINE WORLD WIDE INC 116,515 178,534 62,019 0.16% $974.00K
HERTZ GLOBAL HOLDINGS INC 270,349 453,891 183,542 0.15% $1.56M
WORKIVA INC 33,957 49,742 15,785 0.14% $44.83K
ROCKET PHARMACEUTICALS INC 261,724 694,683 432,959 0.13% $1.51M
WEAVE COMMUNICATIONS INC 181,573 488,603 307,030 0.13% $1.22M
INTERFACE INC 58,920 82,314 23,394 0.12% $440.70K
HAWAIIAN ELECTRIC INDS INC 114,285 150,674 36,389 0.12% $519.81K
LIFEMD INC 409,651 466,670 57,019 0.12% $856.75K
PEAPACK GLADSTONE FINL CORP 39,120 48,114 8,994 0.11% $767.87K
CORPORATE OFFICE PROPERTIES TR 46,144 61,872 15,728 0.10% $511.80K
TELADOC HEALTH INC 87,610 310,646 223,036 0.10% $1.41M
ANAVEX LIFE SCIENCES CORP 377,153 526,280 149,127 0.09% -$14.84K
VIANT TECHNOLOGY INC 87,504 103,283 15,779 0.06% $87.36K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
PRIMORIS SVCS CORP 165,829 156,541 -9,288 1.50% $3.77M
JACKSON FINANCIAL INC 215,530 196,380 -19,150 1.20% -$2.90M
VIASAT INC 348,575 330,002 -18,573 1.15% $6.01M
MAXLINEAR INC 313,742 304,984 -8,758 1.14% $16.13M
MGP INGREDIENTS INC 793,438 616,259 -177,179 0.65% -$7.48M
SKYWARD SPECIALTY INSURANCE GROUP INC 284,851 261,888 -22,963 0.63% -$807.24K
TIDEWATER INC 213,542 130,259 -83,283 0.61% -$1.71M
CREDO TECHNOLOGY GROUP HOLDING LTD 121,736 60,614 -61,122 0.56% -$4.70M
LUMEN TECHNOLOGIES INC 1,275,092 1,084,837 -190,255 0.51% -$1.66M
NATIONAL VISION HOLDINGS INC 490,705 406,664 -84,041 0.50% -$3.49M
OTTER TAIL CORPORATION 109,983 98,912 -11,071 0.47% -$979.18K
SSR MINING INC 522,214 293,416 -228,798 0.45% -$3.47M
KODIAK SCIENCES INC 244,231 186,413 -57,818 0.43% $2.54M
ESSENTIAL PROPERTIES REALTY TRUST INC 263,431 246,651 -16,780 0.41% -$245.52K
TACTILE SYSTEMS TECHNOLOGY INC 340,679 329,945 -10,734 0.40% -$2.24M
AXCELIS TECHNOLOGIES INC 115,107 54,434 -60,673 0.40% -$2.57M
GUARDANT HEALTH INC 144,591 85,995 -58,596 0.40% -$9.00M
PORTLAND GENERAL ELECTRIC CO 153,077 144,071 -9,006 0.40% -$210.51K
LIQUIDIA TECHNOLOGIES INC 189,053 173,800 -15,253 0.36% -$1.20M
PALOMAR HOLDINGS 59,021 47,536 -11,485 0.30% -$1.57M
HURON CONSULTING GROUP INC 53,181 42,145 -11,036 0.29% -$3.48M
IRHYTHM TECHNOLOGIES INC 44,211 40,934 -3,277 0.28% -$1.54M
EYEPOINT PHARMACEUTICALS INC 459,832 399,795 -60,037 0.28% -$939.63K
VICTORIA'S SECRET and CO 128,785 97,239 -31,546 0.27% -$1.98M
RMR GROUP INC W/I CL A 283,021 271,514 -11,507 0.26% $547.90K
HELEN OF TROY LTD 207,146 203,106 -4,040 0.25% $1.27M
LENDINGCLUB CORP 360,820 263,929 -96,891 0.24% -$1.60M
TTEC HOLDINGS INC 1,579,235 1,460,829 -118,406 0.22% -$786.75K
4D MOLECULAR THERAPEUTICS INC 751,892 471,428 -280,464 0.22% -$2.48M
TRUBRIDGE INC 227,799 159,137 -68,662 0.22% -$318.09K
CIPHER MINING INC 284,828 225,933 -58,895 0.21% -$537.80K
LEMONADE INC 81,884 66,070 -15,814 0.20% -$3.36M
RHYTHM PHARMACEUTICALS INC 77,839 45,787 -32,052 0.20% -$4.25M
APPLIED DIGITAL CORP 151,884 107,096 -44,788 0.19% -$1.48M
KRISPY KREME INC 1,622,579 887,381 -735,198 0.18% -$1.61M
HALOZYME THERAPEUTICS INC 124,355 48,313 -76,042 0.16% -$5.84M
INTERDIGITAL INC 29,412 10,348 -19,064 0.16% -$6.53M
COMSTOCK RESOURCES INC 240,629 167,263 -73,366 0.15% -$2.95M
FUELCELL ENERGY INC 315,004 204,889 -110,115 0.14% $83.67K
CLEAR SECURE INC 77,925 48,679 -29,246 0.14% $57.06K
BROOKFIELD INFRA 376,331 67,096 -309,235 0.13% -$15.52M
ICF INTERNATIONAL INC 52,814 34,518 -18,296 0.13% -$2.45M
ABERCROMBIE & FI 41,652 26,347 -15,305 0.12% -$1.82M
CAL-MAINE FOODS INC 33,136 27,140 -5,996 0.11% -$671.01K
AVEPOINT INC 285,725 214,943 -70,782 0.11% -$1.23M
WABASH NATIONAL CORP 418,600 228,100 -190,500 0.10% -$2.26M
CALERES INC 384,665 126,770 -257,895 0.09% -$3.04M
ASPEN AEROGELS INC 564,966 442,391 -122,575 0.09% -$262.66K
ASGN INC 118,016 75,054 -42,962 0.08% -$4.56M
RAMACO RESOURCES INC 134,942 103,467 -31,475 0.08% -$1.10M
BRANDYWINE RLTY 1,187,938 416,106 -771,832 0.07% -$2.10M
VICTORY CAPITAL HOLDINGS INC CL A 26,014 15,755 -10,259 0.07% -$597.84K
DMC GLOBAL INC 338,477 188,199 -150,278 0.06% -$1.75M
PAYONEER GLOBAL INC 336,776 208,226 -128,550 0.05% -$1.12M
LANDS' END INC 90,809 71,233 -19,576 0.04% -$808.55K
NEOGEN CORP 1,021,377 67,251 -954,126 0.03% -$9.81M
ROOT INC/OH-A 31,853 10,116 -21,737 0.03% -$1.43M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
MIRUM PHARMACEUTICALS INC 229,141 229,141 0 1.18% -$1.35M
SPHERE ENTERTAINMENT CO 150,706 150,706 0 1.13% $7.07M
CNO FINANCIAL GROUP INC 355,839 355,839 0 0.84% $854.01K
FB FINANCIAL CORP 286,072 286,072 0 0.82% -$989.81K
TRUSTMARK CORP 308,986 308,986 0 0.72% $571.62K
ARTISAN PARTNERS ASSET MANAGEMENT INC A 361,085 361,085 0 0.71% -$2.56M
ALLEGIANT TRAVEL CO 177,222 177,222 0 0.71% -$2.30M
NEXTRACKER INC CL A 107,538 107,538 0 0.68% $219.38K
GRANITE CONSTRUCTION INC 90,970 90,970 0 0.66% $1.49M
BRIGHTSPHERE INVESTMENT GROUP INC 184,470 184,470 0 0.66% $2.20M
OUTFRONT MEDIA INC 399,242 399,242 0 0.65% $2.61M
CNX RESOURCES CORP 305,562 305,562 0 0.63% $33.61K
BRIDGEBIO PHARMA INC 163,560 163,560 0 0.61% -$1.01M
ADTRAN HOLDINGS INC 594,117 594,117 0 0.56% $5.03M
STERLING INFRASTRUCTURE INC 18,374 18,374 0 0.50% $2.90M
MISTRAS GROUP INC 499,192 499,192 0 0.50% $2.37M
NEWMARK GROUP INC CL A 547,504 547,504 0 0.47% -$936.23K
QCR HOLDINGS INC 95,810 95,810 0 0.46% $15.33K
EMCOR GROUP INC 9,700 9,700 0 0.46% $1.66M
CUSHMAN and WAKEFIELD LTD 609,000 609,000 0 0.45% -$1.46M
ADVANCE AUTO PARTS INC 134,940 134,940 0 0.42% $1.55M
OFG BANCORP 168,875 168,875 0 0.41% $955.83K
ADIENT PLC 358,404 358,404 0 0.40% $89.60K
PERIMETER SOLUTIONS SA 242,019 242,019 0 0.39% $1.00M
SKYWEST INC 86,406 86,406 0 0.37% -$1.24M
POWER INTEGRATIONS INC 96,672 96,672 0 0.37% $2.59M
LEONARDO DRS INC 167,657 167,657 0 0.36% -$72.09K
TANGER INC- REIT 180,246 180,246 0 0.35% $785.87K
STONERIDGE INC 936,565 936,565 0 0.35% $393.36K
GREEN PLAINS INC 363,573 363,573 0 0.33% $2.15M
CAPRI HOLDINGS LTD 313,526 313,526 0 0.32% -$959.39K
BLUE BIRD CORP 95,146 95,146 0 0.32% $1.31M
QUALYS INC 69,814 69,814 0 0.32% -$3.14M
APOGEE THERAPEUTICS INC 73,107 73,107 0 0.32% $1.27M
CALIX NETWORKS INC 138,624 138,624 0 0.32% -$153.87K
ONE GAS INC 67,570 67,570 0 0.32% $652.73K
NAPCO SECURITY TECHNOLOGIES INC 128,692 128,692 0 0.32% $1.27M
BRIGHTSPIRE CAPITAL INC 1,006,066 1,006,066 0 0.31% -$181.09K
COGENT BIOSCIENCES INC 159,790 159,790 0 0.30% -$19.17K
AQUESTIVE THERAPEUTICS INC 1,389,112 1,389,112 0 0.30% $1.60M
ATKORE INC 72,618 72,618 0 0.30% $631.78K
PEABODY ENERGY CORP 211,054 211,054 0 0.30% -$1.82M
CUSTOMERS BANCORP INC 73,723 73,723 0 0.30% -$202.74K
IRONWOOD PHARMA CL A (PEND) 1,286,341 1,286,341 0 0.28% -$984.05K
BLOOMIN BRANDS INC 860,647 860,647 0 0.28% $86.06K
GRIFFON CORP 55,195 55,195 0 0.27% $536.50K
SPRINKLR INC-A 978,891 978,891 0 0.25% -$1.43M
COMPASS MINERALS INTL INC 179,049 179,049 0 0.25% $309.75K
APOGEE ENTERPRISES INC 129,761 129,761 0 0.25% -$94.73K
ALIGNMENT HEALTHCARE INC 206,391 206,391 0 0.25% $2.06K
MERCURY GENERAL CORP 47,003 47,003 0 0.24% $456.87K
ROCKET LAB CORP 53,644 53,644 0 0.23% $130.89K
LENDINGTREE INC 89,116 89,116 0 0.23% -$630.05K
PROTHENA CORP PLC 394,352 394,352 0 0.23% $887.29K
Ardmore Shipping Services (Ireland) Limited 245,160 245,160 0 0.23% $1.18M
ARVINAS INC 429,216 429,216 0 0.22% -$1.49M
AMN HEALTHCARE SERVICES INC 198,740 198,740 0 0.21% -$164.95K
COSTAMARE INC 240,969 240,969 0 0.21% -$38.56K
BRIGHTVIEW HOLDINGS INC 329,259 329,259 0 0.21% -$480.72K
Banco Latinoamericano de Comercio Exterior SA, Class E 70,789 70,789 0 0.20% $351.11K
INDEPENDENT BANK CORP 113,779 113,779 0 0.20% -$220.73K
HCI GROUP INC 24,586 24,586 0 0.20% -$125.39K
FABRINET 5,489 5,489 0 0.20% $1.07M
OIL STATES INTL 309,021 309,021 0 0.19% $930.15K
BLACKLINE INC 106,941 106,941 0 0.18% -$1.63M
HARMONY BIOSCIENCES HOLDINGS INC 105,851 105,851 0 0.17% -$556.78K
CORECIVIC INC 161,576 161,576 0 0.17% $311.84K
KRYSTAL BIOTECH INC 12,146 12,146 0 0.17% -$206.24K
PITNEY-BOWES INC 198,396 198,396 0 0.16% $997.93K
VANDA PHARMACEUTICALS INC 430,408 430,408 0 0.16% -$189.38K
DIGI INTL INC 53,550 53,550 0 0.16% $694.54K
NCR ATLEOS CORP 65,508 65,508 0 0.15% $463.80K
BUMBLE INC CL A 691,974 691,974 0 0.15% $553.58K
HYSTER-YALE MATERIALS HANDLING 69,088 69,088 0 0.14% $415.91K
CALIF WATER SRVC 63,712 63,712 0 0.14% -$156.73K
FIRST FIN BANCRP 88,768 88,768 0 0.14% $136.70K
INOGEN INC 371,379 371,379 0 0.14% $449.37K
PREFERRED BANK LOS ANGELES 27,694 27,694 0 0.14% $248.14K
EMERGENT BIOSOLU 316,030 316,030 0 0.14% -$982.85K
LEMAITRE VASCULAR INC 22,982 22,982 0 0.13% $569.49K
OCEANEERING INTL 63,067 63,067 0 0.13% $469.22K
NETSCOUT SYSTEMS INC 68,075 68,075 0 0.12% $400.96K
AVISTA CORP 54,072 54,072 0 0.12% -$10.27K
UNITED NATURAL FOODS INC 43,064 43,064 0 0.11% $550.79K
C3.AI INC-A 240,188 240,188 0 0.11% -$523.61K
VAREX IMAGING CORP 180,110 180,110 0 0.11% -$412.45K
HAEMONETICS CORP MASS 33,398 33,398 0 0.11% -$219.42K
FIRST BUSINESS FIN SVCS INC 35,085 35,085 0 0.10% -$39.30K
WESTERN NEW ENGLAND BANCORP INC 138,739 138,739 0 0.10% $72.14K
FLOTEK INDUSTRIES INC 110,959 110,959 0 0.10% -$52.15K
BRINKER INTL 11,597 11,597 0 0.09% -$63.55K
REVOLVE GROUP INC 68,521 68,521 0 0.09% -$150.75K
EVGO INC CL A 826,108 826,108 0 0.09% -$751.76K
MADRIGAL PHARMACEUTICALS INC 3,308 3,308 0 0.09% $92.89K
UNIVERSAL INSURANCE HLDGS INC 42,612 42,612 0 0.09% $391.18K
UNISYS CORP NEW 642,050 642,050 0 0.09% -$12.84K
VAXCYTE INC 28,503 28,503 0 0.09% $104.61K
SEADRILL LTD 31,658 31,658 0 0.08% $354.89K
ASANA INC- CL A 236,481 236,481 0 0.08% -$929.37K
MATIV INC 158,381 158,381 0 0.08% -$438.72K
NEWHOLD INVESTMENT CORP 199,976 199,976 0 0.08% $201.98K
HOMETRUST BANCSHARES INC 31,294 31,294 0 0.08% $79.80K
XERIS BIOPHARMA HOLDINGS INC 232,668 232,668 0 0.08% -$287.34K
MANITOWOC CO INC 99,739 99,739 0 0.07% $66.83K
SEPTERNA INC 55,289 55,289 0 0.07% $23.22K
INSMED INC 9,511 9,511 0 0.07% -$195.36K
HURCO INC 67,890 67,890 0 0.06% $14.94K
SJW GROUP 19,823 19,823 0 0.06% $82.27K
FLYWIRE CORP-VOT 81,071 81,071 0 0.06% $73.77K
BIOCRYST PHARMACEUTICALS INC 110,647 110,647 0 0.05% $285.47K
8X8 INC 489,718 489,718 0 0.05% $127.33K
PETMED EXPRESS INC 415,281 415,281 0 0.05% -$394.52K

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