ROSC
Hartford Multifactor Small Cap ETF
Lattice Strategies 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.

Oct 31, 2025 → Jan 31, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
INDIVIOR PHARMACEUTICALS INC 0 12,146 12,146 1.15% $429.73K
LXP INDUSTRIAL TRUST REIT 0 342 342 0.05% $16.95K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PREMIER INC-CL A 12,929 0 -12,929 0.00% -$363.56K
INDIVIOR PLC 11,956 0 -11,956 0.00% -$351.15K
STEELCASE INC CLASS A 19,947 0 -19,947 0.00% -$318.35K
HEIDRICK & STRUG 1,218 0 -1,218 0.00% -$71.09K
EURONET WORLDWIDE INC 857 0 -857 0.00% -$65.01K
MRC GLOBAL INC 3,108 0 -3,108 0.00% -$43.36K
ALLETE INC 607 0 -607 0.00% -$40.87K
LXP INDUSTRIAL TRUST REIT 1,711 0 -1,711 0.00% -$16.24K
RAMACO RESOURCES INC-B 0 0 -0 0.00% -$4
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
HNI CORP 6,157 10,740 4,583 1.37% $261.32K
PTC THERAPEUTICS INC 6,430 6,551 121 1.32% $55.56K
MACYS INC 23,202 23,734 532 1.27% $22.95K
AMKOR TECHNOLOGY INC 8,892 9,066 174 1.17% $151.13K
GARRETT MOTION INC 22,568 23,012 444 1.11% $32.83K
FREQUENCY ELECTRONICS INC 7,556 7,718 162 1.09% $128.36K
ARGAN INC 1,098 1,123 25 1.04% $53.59K
DILLARDS INC CL A 629 639 10 1.04% $10.78K
REV GROUP INC 5,696 5,836 140 1.00% $80.89K
NATL HEALTHCARE 2,530 2,579 49 0.99% $66.90K
SUPERNUS PHARMACEUTICALS INC 7,421 7,564 143 0.97% -$44.84K
RUSH ENTERPRISES INC CL A 5,504 5,608 104 0.96% $88.02K
TACTILE SYSTEMS TECHNOLOGY INC 12,108 12,303 195 0.95% $172.60K
BRIGHTSPRING HEALTH SERVICES INC 8,517 8,658 141 0.91% $58.51K
HARMONY BIOSCIENCES HOLDINGS INC 9,079 9,260 181 0.90% $78.79K
PERDOCEO EDUCATION CORP 10,227 10,431 204 0.89% $9.30K
CATALYST PHARMACEUTICALS INC 13,488 13,711 223 0.89% $46.29K
TEGNA INC 15,794 16,123 329 0.83% -$1.75K
IBEX LTD 7,854 8,001 147 0.80% $4.13K
BEL FUSE INC NV CL B 1,405 1,423 18 0.77% $69.94K
THE BUCKLE INC 5,926 6,037 111 0.76% -$39.19K
PHIBRO ANIMAL HEALTH CORP CL A 6,943 7,088 145 0.76% -$7.44K
IES HOLDINGS INC 714 725 11 0.74% -$4.09K
COLLEGIUM PHARMACEUTICAL INC 5,739 5,856 117 0.72% $62.30K
PHINIA INC 3,682 3,760 78 0.72% $76.47K
ATMUS FILTRATION TECHNOLOGIES INC 4,535 4,611 76 0.71% $61.05K
IDT CORP CL B NEW 5,226 5,341 115 0.69% -$5.02K
HERITAGE COMMERCE CORP 20,091 20,394 303 0.69% $50.67K
ACADIA PHARMACEUTICALS INC 10,009 10,200 191 0.69% $29.12K
WEIS MARKETS INC 3,533 3,602 69 0.69% $32.50K
BRADY CORPORATION CL A 2,891 2,952 61 0.68% $35.80K
GREIF INC-CL A 3,502 3,574 72 0.67% $53.17K
PRICESMART INC 1,711 1,747 36 0.66% $51.78K
ENNIS INC 12,361 12,650 289 0.66% $43.83K
BUILD A BEAR WORKSHOP INC 3,955 4,015 60 0.64% $25.18K
UNITED FIRE GROUP INC 6,506 6,665 159 0.64% $42.86K
HOPE BANCORP INC 19,624 19,919 295 0.64% $32.77K
HAEMONETICS CORP MASS 3,416 3,471 55 0.62% $60.54K
BENCHMARK ELECTRONICS INC 4,317 4,387 70 0.61% $39.57K
PREFERRED BANK LOS ANGELES 2,607 2,626 19 0.60% -$10.05K
MDU RESOURCES GROUP INC 10,609 10,911 302 0.60% $20.30K
UNIVERSAL CORP 3,874 3,954 80 0.60% $27.42K
STANDARD MOTOR PRODUCTS INC 5,325 5,405 80 0.58% $18.10K
CALIFORNIA RESOU 3,890 3,944 54 0.56% $27.51K
MERCURY GENERAL CORP 2,337 2,379 42 0.56% $27.73K
INGLES MARKETS INC-CL A 2,711 2,772 61 0.55% $20.18K
EPLUS INC 2,309 2,371 62 0.54% $34.53K
A10 NETWORKS INC 11,447 11,666 219 0.54% -$759
DELUXE CORP 7,577 7,691 114 0.54% $65.82K
ORGANON & CO 23,201 23,644 443 0.54% $45.31K
OUTFRONT MEDIA INC 8,192 8,254 62 0.54% $55.82K
EMPLOYERS HOLDINGS INC 4,488 4,600 112 0.54% $29.52K
M-TRON INDUSTRIES INC 2,983 3,043 60 0.53% $34.10K
UNIVERSAL INSURANCE HLDGS INC 6,343 6,498 155 0.53% $2.37K
LAUREATE EDUCATION INC CL A 5,632 5,717 85 0.52% $32.60K
LIBERTY ENERGY INC CL A 7,834 7,953 119 0.52% $54.17K
OSI SYSTEMS INC 771 783 12 0.52% -$18.83K
PREFORMED LINE PRODUCTS CO 760 777 17 0.52% $33.78K
TRUSTCO BANK NY 4,288 4,397 109 0.51% $29.13K
VAALCO ENERGY INC 36,113 37,062 949 0.51% $48.57K
BREAD FINANCIAL HOLDINGS 2,521 2,550 29 0.49% $27.04K
LA-Z-BOY INC 4,991 5,066 75 0.49% $26.24K
CNO FINANCIAL GROUP INC 4,308 4,365 57 0.49% $11.14K
DIEBOLD NIXDORF INC 2,594 2,631 37 0.49% $28.13K
EMBECTA CORP 16,792 17,041 249 0.48% -$43.20K
APPLE HOSPITALITY REIT INC 14,995 15,221 226 0.47% $9.38K
OFG BANCORP 4,298 4,388 90 0.47% $10.68K
INTERNATIONAL SEAWAYS INC 2,901 2,961 60 0.47% $28.01K
INNOVIVA INC 8,677 8,818 141 0.47% $18.44K
SYLVAMO CORP 3,500 3,577 77 0.47% $32.96K
MSC INDUSTRIAL DIRECT CO CL A 1,997 2,041 44 0.46% $2.57K
PEABODY ENERGY CORP 4,734 4,845 111 0.46% $41.03K
ETHAN ALLEN INTERIORS INC 7,210 7,393 183 0.45% -$4.74K
SIRIUSPOINT LTD 8,041 8,237 196 0.45% $21.77K
DONEGAL GRP-CL A 8,826 8,997 171 0.45% $2.49K
IMMERSION CORP 24,629 24,988 359 0.45% $3.15K
TERADATA CORP 5,734 5,846 112 0.45% $47.17K
FEDERATED HERMES INC 3,064 3,117 53 0.44% $17.53K
LTC PROPERTIES INC REIT 4,419 4,521 102 0.44% $9.86K
CLEAR SECURE INC 4,935 5,009 74 0.44% $13.02K
IRADIMED CORP 1,618 1,640 22 0.43% $36.24K
SCHOLASTIC CORP 4,489 4,584 95 0.43% $31.60K
HANMI FINL CORP 5,916 6,005 89 0.43% $3.37K
PRIMEENERGY RESOURCES CORP 839 862 23 0.42% $44.36K
FRESH DEL MONTE PRODUCE INC 3,797 3,890 93 0.41% $20.05K
PC CONNECTION INC 2,560 2,613 53 0.41% -$2.41K
ACUSHNET HOLDINGS CORP 1,553 1,585 32 0.41% $33.56K
INNOVATIVE SOLUT and SUPP INC 8,097 8,286 189 0.41% $77.10K
DXP ENTERPRISES INC 1,145 1,160 15 0.40% $13.86K
HYSTER-YALE MATERIALS HANDLING 4,407 4,489 82 0.40% -$8.23K
SIGA TECHNOLOGIES INC 21,521 22,006 485 0.39% -$30.75K
BK TECHNOLOGIES CORP 1,901 1,929 28 0.39% $5.12K
CSG SYSTEMS INTL INC 1,785 1,815 30 0.39% $5.03K
YELP INC 5,085 5,228 143 0.38% -$24.56K
PARK H&R INC 12,718 12,981 263 0.38% $11.01K
ADDUS HOMECARE CORP 1,337 1,357 20 0.38% -$15.86K
CARTERS INC 3,958 4,036 78 0.37% $15.40K
TOWNE BANK 3,826 3,977 151 0.37% $14.81K
SUNCOKE ENERGY INC 17,156 17,426 270 0.37% -$451
STRATTEC SEC CORP 1,637 1,693 56 0.36% $33.50K
KENNAMETAL INC 3,797 3,860 63 0.35% $49.40K
BARRETT BUS SVCS 3,439 3,491 52 0.35% -$6.52K
UPBOUND GROUP INC 6,875 7,002 127 0.35% -$900
EZCORP INC CL A NON VTG 5,999 6,144 145 0.35% $22.31K
SELECT MEDICAL HLDGS CORP 8,451 8,673 222 0.35% $13.65K
MATSON INC 782 808 26 0.35% $50.58K
PILGRIM'S PRIDE CORP NEW 2,912 2,962 50 0.34% $17.51K
PRO-DEX INC COLORADO 3,167 3,247 80 0.34% $12.61K
AVISTA CORP 3,036 3,082 46 0.34% $11.74K
OIL-DRI CORP OF AMERICA 2,040 2,097 57 0.34% $13.98K
CRANE NXT CO 2,440 2,481 41 0.34% -$28.99K
NATL RESEARCH CO 5,929 6,080 151 0.33% $44.46K
NORTHWESTERN ENERGY GROUP INC 1,775 1,817 42 0.33% $17.39K
MILLER INDUSTRIES INC TENN 2,953 3,005 52 0.33% $4.58K
FLOWERS FOODS INC 10,590 10,591 1 0.32% -$5.28K
ENACT HOLDINGS INC 2,996 3,043 47 0.32% $14.00K
S & T BANCORP 2,752 2,816 64 0.32% $19.24K
CONCENTRIX CORP 3,128 3,213 85 0.32% -$6.08K
ELECTROMED INC 3,931 3,996 65 0.32% $24.78K
SCHNEIDER NATL-B 4,354 4,433 79 0.32% $25.94K
Hamilton Insurance Group Ltd., Class B 4,157 4,269 112 0.32% $20.07K
SHORE BANCSHARES INC 6,153 6,234 81 0.32% $22.21K
VILLAGE SUPER MKT INC CL A NEW 3,202 3,296 94 0.31% $17.09K
FIRST FIN COR/IN 1,719 1,772 53 0.31% $23.81K
PLEXUS CORP 557 570 13 0.30% $35.69K
Civeo Corporation 4,301 4,463 162 0.30% $23.63K
NOW INC 4,245 7,339 3,094 0.30% $49.08K
HEALTHSTREAM INC 4,855 4,909 54 0.29% -$10.01K
CONCENTRA GROUP HOLDINGS PARENT INC 4,782 4,855 73 0.29% $12.43K
RAYONIER INC REIT 4,562 4,704 142 0.29% $6.29K
INTERFACE INC 3,320 3,384 64 0.28% $23.83K
SPOK HOLDINGS INC 7,566 7,715 149 0.28% -$1.88K
FIRST BANCORP PUERTO RICO 4,682 4,768 86 0.28% $14.22K
RMR GROUP INC W/I CL A 6,798 6,905 107 0.28% -$554
LEMAITRE VASCULAR INC 1,194 1,228 34 0.28% $931
RENASANT CORP 2,638 2,750 112 0.28% $14.99K
KARAT PACKAGING INC 4,155 4,236 81 0.28% $3.85K
GLOBAL INDUSTRIAL CO 3,318 3,386 68 0.28% $9.18K
CATHAY GENERAL BANCORP 1,950 2,003 53 0.27% $13.89K
AMERICAN EAGLE OUTFITTERS INC 4,325 4,384 59 0.27% $29.92K
OTTER TAIL CORPORATION 1,105 1,140 35 0.27% $16.31K
FULTON FINANCIAL CORP 4,762 4,868 106 0.27% $17.81K
PUMA BIOTECHNOLOGY INC 15,098 15,439 341 0.27% $23.04K
HACKETT GROUP INC 5,358 5,450 92 0.27% $2.43K
APOGEE ENTERPRISES INC 2,552 2,664 112 0.26% $5.49K
BROADSTONE NET LEASE INC 5,200 5,292 92 0.26% $4.77K
GENWORTH FINANCIAL INC A 11,384 11,706 322 0.26% $1.55K
J. JILL INC 6,005 6,118 113 0.26% $5.01K
UNIVEST FINANCIAL CORP 2,775 2,860 85 0.25% $13.31K
LEVI STRAUSS and COMPANY CL A 4,581 4,711 130 0.25% $752
GETTY REALTY CORP 3,059 3,131 72 0.25% $9.58K
ADEIA INC 5,009 5,167 158 0.25% $8.12K
CONSOLIDATED WATER CO LTD 2,460 2,462 2 0.25% $9.60K
WILEY JOHN&SON-A 2,857 2,912 55 0.24% -$14.40K
PHOTRONICS INC 2,541 2,577 36 0.24% $28.36K
HORACE MANN EDUCATORS CORP 1,932 1,972 40 0.24% $1.99K
PROTAGONIST THERAPEUTICS INC 1,045 1,065 20 0.23% $4.96K
SANFILIPPO (JOHN B) and SON INC. 1,033 1,038 5 0.22% $19.12K
SENSIENT TECHNOLOGIES CORP 848 879 31 0.22% $3.13K
BANNER CORPORATI 1,266 1,316 50 0.22% $4.93K
ACADEMY SPORTS and OUTDOORS INC 1,416 1,449 33 0.21% $11.90K
TRAVEL+LEISURE CO 1,103 1,133 30 0.21% $9.54K
VIEMED HEALTHCARE INC 9,771 10,018 247 0.21% $13.72K
AMPHASTAR PHARMACEUTICALS INC 2,625 2,707 82 0.19% $4.77K
UNIFIRST CORP/MA 321 332 11 0.19% $21.83K
RANGER ENERGY SERVICES INC CL A 4,330 4,460 130 0.18% $9.28K
SIGNET JEWELERS LTD 720 742 22 0.18% -$2.71K
CAPITAL CITY BANK GROUP INC 1,598 1,632 34 0.18% $5.99K
CHICAGO ATLANTIC 5,339 5,476 137 0.18% -$757
FARMLAND PARTNERS INC 5,677 5,823 146 0.18% $10.66K
GENCO SHIPPING and TRADING LTD 3,157 3,234 77 0.18% $13.80K
NORTHERN OIL AND GAS INC 2,617 2,689 72 0.18% $9.31K
FIRST MERCHANTS CORP 1,621 1,683 62 0.18% $9.40K
RIMINI STREET INC 18,826 19,183 357 0.18% -$8.75K
STELLAR BANCORP INC 1,683 1,769 86 0.18% $16.17K
FIRST HAWAIIAN INC 2,408 2,463 55 0.17% $6.32K
ENTERPRISE FINL SVCS CORP 1,102 1,128 26 0.17% $6.98K
CONMED CORP 1,638 1,678 40 0.17% -$7.65K
PRESTIGE CONSUMER HEALTHCARE INC 929 985 56 0.17% $7.21K
NETSTREIT CORP 3,266 3,346 80 0.17% $2.23K
ICF INTERNATIONAL INC 657 674 17 0.17% $10.11K
OXFORD INDUSTRIES 1,661 1,680 19 0.17% $700
CRICUT INC- A 13,410 13,754 344 0.16% -$9.73K
KFORCE INC 1,725 1,735 10 0.16% $17.66K
HUB GROUP INC CL A 1,197 1,243 46 0.16% $15.06K
HAWKINS INC 449 453 4 0.16% -$4.69K
PEDIATRIX MEDICAL GROUP INC 2,644 2,721 77 0.16% $13.31K
MCGRATH RENTCORP 506 520 14 0.16% $3.71K
OLYMPIC STEEL INC 1,131 1,204 73 0.15% $16.05K
GRANITE RIDGE RESOURCES INC 10,684 11,021 337 0.15% -$1.09K
INNOVATIVE INDUS 1,094 1,138 44 0.15% $124
NATIONAL-CL A 1,302 1,356 54 0.15% $8.05K
HIGHWOODS PROPERTIES INC 1,938 2,001 63 0.14% -$3.76K
SOUTH PLAINS FINANCIAL INC 1,178 1,223 45 0.14% $7.95K
PROGRESS SOFTWARE CORP 1,206 1,241 35 0.14% -$642
CTO REALTY GROWTH INC 2,734 2,811 77 0.13% $4.35K
STURM RUGER & CO 1,228 1,329 101 0.13% -$3.32K
TRUBRIDGE INC 2,492 2,504 12 0.13% $556
MOVADO GROUP INC 1,878 2,002 124 0.12% $11.45K
ASSURED GUARANTY LTD 511 530 19 0.12% $3.79K
RLJ LODGING TRUST 5,379 6,010 631 0.12% $8.08K
ONESPAN INC 3,544 3,628 84 0.11% $2.34K
TRICO BANCSHARES 768 823 55 0.11% $7.03K
ENERGY SERVICES ACQ 4,330 4,455 125 0.11% -$7.32K
EXAGEN INC 9,928 10,161 233 0.10% -$78.47K
PITNEY-BOWES INC 2,961 3,073 112 0.09% $2.80K
KOHLS CORP 1,769 1,834 65 0.09% $3.26K
NORTHWEST NATURAL HOLDING CO 594 618 24 0.08% $1.73K
WHITESTONE REIT 1,784 1,867 83 0.07% $4.21K
SMITH & WESSON B 2,043 2,167 124 0.06% $4.08K
SITE CENTERS CORP 3,553 3,569 16 0.06% -$4.20K
GREENLIGHT CAPITAL RE LTD A 1,359 1,435 76 0.05% $3.43K
AMERICAN ASSETS TRUST INC 888 984 96 0.05% $801
NAPCO SECURITY TECHNOLOGIES INC 447 473 26 0.05% -$2.29K
CUSTOMERS BANCORP INC 189 210 21 0.04% $3.91K
GENIE ENERGY LTD B 1,063 1,140 77 0.04% -$300
G-III APPAREL GROUP LTD 322 360 38 0.03% $1.92K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
State Street Navigator Securities Lending Government Money Market Portfolio 1,758,114 759,797 -998,317 2.03% -$998.32K
PATRICK INDUSTRIES INC 1,263 1,250 -13 0.42% $25.89K
HAVERTY FURNITURE COS INC 5,135 5,075 -60 0.34% $16.50K
COMMUNITY TRUST BANCORP INC 1,268 1,244 -24 0.21% $11.84K
OPPENHEIMER HO-A 883 864 -19 0.19% $11.00K
SHUTTERSTOCK INC 3,167 3,149 -18 0.17% -$16.76K
ENERSYS INC 282 272 -10 0.13% $13.43K
UNITIL CORP 878 848 -30 0.12% $369
GRAHAM HOLDINGS CO 37 36 -1 0.11% $4.55K
HCI GROUP INC 248 247 -1 0.10% -$11.40K
LSI INDUSTRIES INC 1,786 1,680 -106 0.10% -$3.74K
INDEPENDENT BANK CORP 1,067 1,025 -42 0.10% $3.78K
RAMACO RESOURCES INC 1,503 1,479 -24 0.08% -$16.78K
PENSKE AUTOMOTIVE GROUP INC 168 159 -9 0.07% -$1.96K
ALAMO GROUP INC 91 83 -8 0.04% -$53
PACIRA BIOSCIENCES INC 707 694 -13 0.04% -$861
MANPOWERGROUP INC 470 349 -121 0.03% -$1.73K
HOMETRUST BANCSHARES INC 233 201 -32 0.02% -$492
FIRST COMMONWEALTH FINL CORP 547 464 -83 0.02% $2
SHOE CARNIVAL 438 360 -78 0.02% -$1.17K
THIRD COAST BANCSHARES INC 189 153 -36 0.02% -$740
BANK7 CORP 146 112 -34 0.01% -$1.08K
LIFEVANTAGE CORP 504 265 -239 0.00% -$2.72K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
CENTRAL PACIFIC FINANCIAL CORP 3,310 3,310 0 0.29% $13.44K
PEOPLES BANCORP INC 3,288 3,288 0 0.29% $12.89K
INTL BANCSHARES 1,414 1,414 0 0.26% $4.61K
ADT INC 12,090 12,090 0 0.26% -$10.16K
FIRST FIN BANCRP 3,311 3,311 0 0.25% $17.65K
CNB FINL CORP/PA 3,225 3,225 0 0.24% $10.00K
STEVEN MADDEN LTD 1,954 1,954 0 0.23% $19.48K
URBAN EDGE PROPERTIES 4,326 4,326 0 0.22% $865
SAFETY INSURANCE GROUP INC 1,047 1,047 0 0.22% $10.44K
TENNANT CO 1,044 1,044 0 0.21% -$4.08K
SINCLAIR INC CL A 5,324 5,324 0 0.21% $4.53K
ALEXANDER & BALD 3,584 3,584 0 0.20% $17.10K
NATL HEALTH INV 904 904 0 0.20% $6.88K
AXCELIS TECHNOLOGIES INC 833 833 0 0.20% $7.09K
GPGI INC 2,999 2,999 0 0.19% $11.13K
ROBERT HALF INTL 2,029 2,029 0 0.19% $17.08K
SUNSTONE HOTEL INVS INC 7,143 7,143 0 0.17% -$571
KORN FERRY 857 857 0 0.16% $4.09K
NORTHWEST BANCSHARES INC 4,512 4,512 0 0.16% $5.28K
ARROW FINL CORP 1,669 1,669 0 0.15% $9.88K
WORLD KINECT CORP 1,970 1,970 0 0.14% $2.09K
COVENANT LOGISTICS GROUP INC 2,044 2,044 0 0.13% $9.05K
VISTEON CORP 536 536 0 0.13% -$8.74K
CORVEL CORP 617 617 0 0.11% -$2.67K
IDAHO STRATEGIC RESOURCES 1,165 1,165 0 0.11% $3.50K
BLUE BIRD CORP 808 808 0 0.11% $283
LUXFER HOLDINGS PLC 2,411 2,411 0 0.10% $7.09K
HILLTOP HOLDINGS 972 972 0 0.10% $5.01K
GREENBRIER COS 707 707 0 0.10% $6.12K
JBG SMITH PROPERTIES 2,096 2,096 0 0.09% -$5.55K
STRATEGIC EDUCATION INC 410 410 0 0.09% $3.71K
COLUMBIA SPORTSWEAR CO 601 601 0 0.09% $3.40K
NOBLE CORP PLC 908 908 0 0.09% $5.69K
CABOT CORP 411 411 0 0.08% $1.94K
NBT BANCORP INC 649 649 0 0.08% $2.57K
KEMPER CORP 709 709 0 0.07% -$3.96K
SCANSOURCE INC 647 647 0 0.07% $55
WARRIOR MET COAL INC 301 301 0 0.07% $6.46K
SONIC AUTOMOTIVE INC CL A 444 444 0 0.07% -$1.59K
ATKORE INC 358 358 0 0.07% $72
VISHAY PRECISION GROUP INC 479 479 0 0.06% $6.04K
RILEY EXPLORATION PERMIAN INC 850 850 0 0.06% $1.73K
FIVE POINT HOLDINGS LLC COMMON STOCK 4,424 4,424 0 0.06% -$2.39K
CORPORATE OFFICE PROPERTIES TR 710 710 0 0.06% $1.87K
PERRIGO CO PLC 1,460 1,460 0 0.06% -$9.53K
NATHANS FAMOUS INC 204 204 0 0.06% -$961
JAKKS PACIFIC INC 1,126 1,126 0 0.06% $1.43K
ONE LIBERTY PROPERTIES INC 800 800 0 0.05% $1.17K
SIMMONS FIRST -A 774 774 0 0.04% $2.28K
DOUGLAS DYNAMICS INC 392 392 0 0.04% $2.92K
MYERS INDUSTRIES 695 695 0 0.04% $2.32K
ACADIA HEALTHCARE CO INC 1,007 1,007 0 0.04% -$8.12K
TRAVELZOO INC 1,756 1,756 0 0.03% -$4.51K
BUSINESS FIRST BANCSHARES INC 306 306 0 0.02% $1.12K
AURINIA PHARMS. INC 580 580 0 0.02% $789
WASHINGTON FEDERAL INC 257 257 0 0.02% $923
FOUR CORNERS PRO 326 326 0 0.02% $329
WERNER ENTERPRISES INC 221 221 0 0.02% $1.78K
CITY HOLDING CO 61 61 0 0.02% $318
PROASSURANCE CORPORATION 303 303 0 0.02% $82
FORESTAR GROUP INC 282 282 0 0.02% $3
FIRST BANCORP/NC 125 125 0 0.02% $1.17K
FIRST COMTY CORP 236 236 0 0.02% $592
STEWART INFO SVC 50 50 0 0.01% -$42
ZCS BRL 14.0087 05/12/25-01/04/27 CME 1 1 0 0.01% $1.90K
DOCGO INC 3,228 3,228 0 0.01% -$1.04K

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