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.
Sep 30, 2020 → Dec 31, 2020
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 21 positions
Security
Shares Sep 2020
Shares Dec 2020
Δ shares
End %
Δ value
JEFFERIES FINANCIAL GROUP INC
0
161,240
161,240
0.37%
$3.97M
HERBALIFE NUTRIT
0
67,184
67,184
0.30%
$3.23M
RPM INTL INC
0
32,131
32,131
0.27%
$2.92M
PROG HOLDINGS INC
0
35,982
35,982
0.18%
$1.94M
LENNOX INTL INC
0
5,496
5,496
0.14%
$1.51M
DARDEN RESTAURANTS INC
0
11,651
11,651
0.13%
$1.39M
WORTHINGTON INDUSTRIES INC
0
25,212
25,212
0.12%
$1.29M
SIMON PROPERTY
0
11,957
11,957
0.10%
$1.02M
MANHATTAN ASSOCIATES INC
0
9,444
9,444
0.09%
$993.32K
DEL TACO RESTAURANTS INC
0
105,338
105,338
0.09%
$954.36K
TERADATA CORP
0
40,957
40,957
0.09%
$920.30K
DOW INC
0
16,390
16,390
0.09%
$909.64K
ALASKA AIR GROUP INC
0
14,922
14,922
0.07%
$775.94K
ZILLOW GROUP INC CL A
0
5,707
5,707
0.07%
$775.81K
MANPOWERGROUP INC
0
7,066
7,066
0.06%
$637.21K
ALBERTSONS COS INC CL A
0
34,052
34,052
0.06%
$598.63K
OWENS & MINOR
0
19,889
19,889
0.05%
$538.00K
ENCORE CAPITAL G
0
13,344
13,344
0.05%
$519.75K
NEWMONT CORP
0
8,355
8,355
0.05%
$500.38K
U S TREASURY BILL 3/30/2021
0
500,000
500,000
0.05%
$499.90K
AARON'S CO INC/THE
0
17,991
17,991
0.03%
$341.11K
▶
Exited
· 42 positions
Security
Shares Sep 2020
Shares Dec 2020
Δ shares
End %
Δ value
INTERCONTINENTAL EXCHANGE INC
71,643
0
-71,643
0.00%
-$7.17M
KRAFT HEINZ CO/T
199,620
0
-199,620
0.00%
-$5.98M
DUPONT DE NEMOURS INC
67,910
0
-67,910
0.00%
-$3.77M
CONSOLIDATED EDISON INC
42,895
0
-42,895
0.00%
-$3.34M
EDGEWELL PERSONAL CARE CO
92,920
0
-92,920
0.00%
-$2.59M
EQUITABLE HOLDINGS INC
133,242
0
-133,242
0.00%
-$2.43M
AMEREN CORP
29,056
0
-29,056
0.00%
-$2.30M
CSX CORP
28,063
0
-28,063
0.00%
-$2.18M
KIMBERLY CLARK CORP
13,904
0
-13,904
0.00%
-$2.05M
AARONS INC A
35,982
0
-35,982
0.00%
-$2.04M
NORDSON CORP
9,759
0
-9,759
0.00%
-$1.87M
FOUNDATION BUILDING MATERIALS INC
112,651
0
-112,651
0.00%
-$1.77M
CONOCOPHILLIPS
48,616
0
-48,616
0.00%
-$1.60M
LUMENTUM HOLDINGS INC
20,324
0
-20,324
0.00%
-$1.53M
LIBERTY BROADBAND CORP A
10,306
0
-10,306
0.00%
-$1.46M
YUM CHINA HOLDINGS INC - XHKG LISTING
27,358
0
-27,358
0.00%
-$1.45M
AMAG PHARMACEUTICALS INC
152,361
0
-152,361
0.00%
-$1.43M
JOHNSON CONTROLS
33,913
0
-33,913
0.00%
-$1.39M
BRIGHTHOUSE FINANCIAL INC
46,144
0
-46,144
0.00%
-$1.24M
TXNM ENERGY INC
29,761
0
-29,761
0.00%
-$1.23M
ZYNGA INC
127,679
0
-127,679
0.00%
-$1.16M
CAESARS ENTERTAINMENT INC
20,658
0
-20,658
0.00%
-$1.16M
ROCKWELL AUTOMATION INC
5,060
0
-5,060
0.00%
-$1.12M
FTI CONSULTING INC
10,531
0
-10,531
0.00%
-$1.12M
MURPHY USA INC
7,713
0
-7,713
0.00%
-$989.35K
Cardtronics plc ORD USD0.01 CL A
48,121
0
-48,121
0.00%
-$952.80K
DEVON ENERGY CORP
99,936
0
-99,936
0.00%
-$945.39K
GAMESTOP CORP CL A
85,501
0
-85,501
0.00%
-$872.11K
CASEY'S GENERAL
4,733
0
-4,733
0.00%
-$840.82K
REGENCY CENTERS CORP REIT
20,257
0
-20,257
0.00%
-$770.17K
SPIRIT RLTY CAP INC
19,507
0
-19,507
0.00%
-$658.36K
CARPARTS.COM INC
58,436
0
-58,436
0.00%
-$631.69K
MICROCHIP TECHNOLOGY
5,748
0
-5,748
0.00%
-$590.66K
SMART GLOBAL HOL
19,447
0
-19,447
0.00%
-$531.68K
RTX CORP
9,156
0
-9,156
0.00%
-$526.84K
MSG NETWORKS INC CL A
53,922
0
-53,922
0.00%
-$516.03K
U.S. Treasury Bills
500,000
0
-500,000
0.00%
-$499.90K
Cyrusone Inc COM USD0.01
7,105
0
-7,105
0.00%
-$497.56K
CULLEN FROST BANKERS INC
7,145
0
-7,145
0.00%
-$456.92K
CIENA CORP
9,147
0
-9,147
0.00%
-$363.04K
PRECIGEN INC
97,922
0
-97,922
0.00%
-$342.73K
Mallinckrodt Plc COM USD0.20
264,465
0
-264,465
0.00%
-$257.40K
▶
Increased
· 36 positions
Security
Shares Sep 2020
Shares Dec 2020
Δ shares
End %
Δ value
US ULTRA BOND CBT Sep25
34
45
11
0.80%
$2.74M
GAMING AND LEISURE PROPRTI INC
143,614
145,203
1,589
0.58%
$852.94K
PROGRESSIVE CORP OHIO
43,671
59,841
16,170
0.56%
$1.78M
ILLINOIS TOOL WORKS INC
13,460
28,634
15,174
0.55%
$3.24M
GENERAL MILLS INC
79,593
97,749
18,156
0.54%
$838.34K
NEXTERA ENERGY INC
14,593
56,855
42,262
0.41%
$335.93K
Vanguard Market Liquidity Fund
26,196
41,579
15,382
0.39%
$1.54M
AMKOR TECHNOLOGY INC
253,378
272,617
19,239
0.39%
$1.27M
FLAGSTAR BANCORP INC
90,710
100,372
9,662
0.39%
$1.40M
CENTERPOINT ENERGY INC
109,846
170,809
60,963
0.35%
$1.57M
OWENS CORNING INC
44,119
47,109
2,990
0.34%
$533.15K
HAWAIIAN ELECTRIC INDS INC
78,680
99,263
20,583
0.33%
$897.59K
UFP INDUSTRIES INC
55,726
62,710
6,984
0.33%
$334.46K
HALLIBURTON CO
81,944
183,586
101,642
0.33%
$2.48M
NATIONAL OILWELL VARCO INC
128,979
251,748
122,769
0.33%
$2.29M
BEST BUY CO INC
28,463
29,633
1,170
0.28%
-$210.57K
THERMO FISHER SCIENTIFIC INC
3,582
6,206
2,624
0.27%
$1.31M
HAIN CELESTIAL GROUP INC
53,842
71,018
17,176
0.27%
$1.00M
COWEN INC CL A
68,280
103,030
34,750
0.25%
$1.57M
ENOVA INTL INC
71,986
101,708
29,722
0.24%
$1.34M
CANNAE HOLDINGS INC
30,209
54,560
24,351
0.23%
$1.29M
DHT Holdings Inc. COM USD0.01
374,934
423,104
48,170
0.21%
$278.17K
CONAGRA BRANDS INC
21,962
60,983
39,021
0.21%
$1.43M
FIRST HORIZON CORP
84,675
159,008
74,333
0.19%
$1.23M
MAGNOLIA OIL and GAS CORPO CL A
160,872
286,442
125,570
0.19%
$1.19M
GREEN PLAINS INC
130,559
153,303
22,744
0.19%
-$2.05K
VICI PROPERTIES
56,851
78,917
22,066
0.19%
$683.78K
LIONS GATE ENTERMENT CORP A
105,557
146,214
40,657
0.16%
$661.77K
FORD MOTOR CO
141,005
186,233
45,228
0.15%
$697.89K
WORLD KINECT CORP
36,145
45,500
9,355
0.13%
$651.87K
THOR INDUSTRIES INC
13,268
15,170
1,902
0.13%
$146.75K
NETGEAR INC
21,037
31,907
10,870
0.12%
$648.02K
NEOPHOTONICS CO
123,853
139,351
15,498
0.12%
$512.44K
STEELCASE INC CLASS A
67,382
78,993
11,611
0.10%
$389.12K
BIG LOTS INC
11,047
17,319
6,272
0.07%
$250.81K
RUSH ENTERPRISES INC CL A
10,480
15,720
5,240
0.06%
$121.46K
▶
Decreased
· 83 positions
Security
Shares Sep 2020
Shares Dec 2020
Δ shares
End %
Δ value
JOHNSON&JOHNSON
194,880
178,358
-16,522
2.65%
-$943.75K
WALMART INC
135,016
133,285
-1,731
1.81%
$322.94K
VERIZON COMMUNICATIONS INC
346,342
325,372
-20,970
1.80%
-$1.49M
PROCTER & GAMBLE
129,202
107,827
-21,375
1.41%
-$2.95M
CITIGROUP INC
272,501
238,805
-33,696
1.39%
$2.98M
BANK OF AMERICA CORPORATION
506,324
481,324
-25,000
1.38%
$2.39M
WALT DISNEY CO/T
88,761
75,906
-12,855
1.30%
$2.74M
General Electric Co.
1,508,971
1,198,420
-310,551
1.22%
$3.54M
ABBOTT LABS
112,721
108,062
-4,659
1.12%
-$435.72K
EXXON MOBIL CORP
340,073
272,320
-67,753
1.06%
-$449.68K
CHEVRON CORP
161,410
128,849
-32,561
1.03%
-$740.22K
MORGAN STANLEY
208,739
151,155
-57,584
0.98%
$266.12K
ALLSTATE CORPORATION
92,289
87,580
-4,709
0.91%
$939.58K
EXELON CORP
253,783
217,982
-35,801
0.87%
$127.92K
SOUTHERN CO
193,660
148,899
-44,761
0.86%
-$1.35M
AT&T INC
399,279
317,574
-81,705
0.86%
-$2.25M
DEERE & CO
37,779
33,893
-3,886
0.86%
$745.95K
ELEVANCE HEALTH INC
37,625
26,425
-11,200
0.80%
-$1.62M
HONEYWELL INTL INC
43,207
38,508
-4,699
0.77%
$1.08M
Discovery INC COM USD0.01 SERIES A
287,571
267,358
-20,213
0.76%
$1.78M
IQVIA HOLDINGS INC
50,600
44,899
-5,701
0.76%
$68.48K
LINDE PLC
34,375
29,395
-4,980
0.73%
-$439.84K
WW GRAINGER INC
20,120
18,874
-1,246
0.73%
$528.80K
SYNAPTICS INC
81,818
76,366
-5,452
0.69%
$781.88K
SABRA HEALTHCARE REIT INC
439,845
418,311
-21,534
0.68%
$1.20M
THE CIGNA GROUP
35,813
34,832
-981
0.68%
$1.18M
EXPEDITORS INTL OF WASH INC
76,939
73,510
-3,429
0.66%
$27.02K
THE CAMPBELL'S COMPANY
144,149
141,175
-2,974
0.64%
-$146.68K
METLIFE INC
185,963
140,161
-45,802
0.62%
-$331.69K
HP INC
378,484
265,896
-112,588
0.62%
-$649.03K
WEYERHAEUSER CO
192,805
178,939
-13,866
0.57%
$501.03K
ELEMENT SOLUTIONS INC
545,942
333,478
-212,464
0.56%
$174.71K
CISCO SYSTEMS INC
156,542
128,561
-27,981
0.54%
-$413.08K
SYNCHRONY FINANCIAL
182,059
162,511
-19,548
0.53%
$876.27K
CORTEVA INC
195,308
140,018
-55,290
0.51%
-$205.33K
Colfax Corp COM STK USD0.001
173,252
128,521
-44,731
0.46%
-$518.54K
MEDTRONIC PLC
58,978
40,167
-18,811
0.44%
-$1.42M
DANAHER CORP
34,801
21,176
-13,625
0.44%
-$2.79M
SBA COMMUNICATIONS CORP
20,106
16,338
-3,768
0.43%
-$1.79M
WHIRLPOOL CORP
27,555
25,281
-2,274
0.43%
-$504.12K
DAVITA INC
62,808
38,452
-24,356
0.43%
-$865.24K
Kansas City Southern COM USD0.01
27,113
21,690
-5,423
0.42%
-$475.26K
SERVICE CORP INTERNATIONAL INC
101,195
89,350
-11,845
0.41%
$118.68K
ECOLAB INC
23,939
19,410
-4,529
0.40%
-$584.42K
POTLATCHDELTIC CORP REIT
80,907
79,210
-1,697
0.37%
$555.90K
BUILDERS FIRSTSOURCE
142,824
95,720
-47,104
0.37%
-$752.59K
CNO FINANCIAL GROUP INC
217,680
166,811
-50,869
0.35%
$216.62K
SYNOPSYS INC
16,895
14,000
-2,895
0.34%
$14.17K
SL GREEN REALTY CORP REIT
89,919
60,684
-29,235
0.34%
-$553.99K
OFG BANCORP
238,710
187,391
-51,319
0.33%
$499.90K
REGIONS FINANCIAL CORP
353,642
213,928
-139,714
0.33%
-$628.97K
TREEHOUSE FOODS INC
80,686
78,463
-2,223
0.31%
$63.69K
SYNEOS HEALTH INC
56,081
44,693
-11,388
0.29%
$63.67K
GENTEX CORP
93,822
88,313
-5,509
0.28%
$580.54K
LUMEN TECHNOLOGIES INC
379,332
298,478
-80,854
0.27%
-$917.30K
ASSOCIATED BANC CORP
304,678
157,556
-147,122
0.25%
-$1.16M
FIFTH THIRD BANCORP
130,605
95,950
-34,655
0.25%
-$139.16K
DOMINION ENERGY INC
43,536
34,760
-8,776
0.25%
-$822.34K
TENET HEALTHCARE CORP
71,736
62,249
-9,487
0.23%
$727.35K
MERITAGE HOMES CORP
31,680
28,945
-2,735
0.23%
-$1.10M
BIOGEN INC
10,803
9,111
-1,692
0.21%
-$833.68K
AUTODESK INC
9,649
7,239
-2,410
0.21%
-$18.66K
ROYAL GOLD INC
29,749
19,582
-10,167
0.20%
-$1.49M
BOEING CO/THE
12,072
9,315
-2,757
0.19%
-$1.05K
AVNET INC
74,531
54,843
-19,688
0.18%
-$343
CLEARWAY ENERGY INC
65,522
61,599
-3,923
0.17%
$201.86K
CME GROUP INC CL A
29,376
9,527
-19,849
0.16%
-$3.18M
SOUTHWEST AIRLINES CO
43,185
34,495
-8,690
0.15%
-$11.63K
ANYWHERE REAL ESTATE INC
123,463
117,185
-6,278
0.14%
$371.98K
LILLY ELI and CO
18,858
8,475
-10,383
0.13%
-$1.36M
UPBOUND GROUP INC
65,593
33,204
-32,389
0.12%
-$689.19K
BRANDYWINE RLTY
177,670
105,198
-72,472
0.12%
-$584.20K
GEN DIGITAL INC
162,605
55,517
-107,088
0.11%
-$2.24M
UNIVERSAL INSURANCE HLDGS INC
95,517
65,696
-29,821
0.09%
-$329.29K
KONTOOR BRANDS INC
37,930
24,406
-13,524
0.09%
$72.00K
PACIFIC BIOSCIENES OF CALI INC
81,602
36,127
-45,475
0.09%
$131.72K
LAUREATE EDUCATION INC CL A
107,173
60,502
-46,671
0.08%
-$542.35K
RELIANCE STEEL and ALUMINUM CO
18,400
7,203
-11,197
0.08%
-$1.01M
EGAIN CORP
81,487
71,904
-9,583
0.08%
-$305.48K
NAUTILUS INC
52,172
43,682
-8,490
0.07%
-$102.88K
NMI HOLDINGS INC A
51,355
32,249
-19,106
0.07%
-$183.68K
ERIE INDEMNITY CO CL A
10,722
2,457
-8,265
0.06%
-$1.65M
M/I HOMES INC
12,968
10,906
-2,062
0.05%
-$114.15K
▶
Unchanged
· 118 positions
Security
Shares Sep 2020
Shares Dec 2020
Δ shares
End %
Δ value
BERKSHIRE HATH-B
134,782
134,782
0
2.95%
$2.55M
JPMORGAN CHASE and CO
234,426
234,426
0
2.81%
$7.22M
INTEL CORP
361,897
361,897
0
1.70%
-$709.32K
ALPHABET INC CL C
8,111
8,111
0
1.34%
$2.29M
HOME DEPOT INC
45,075
45,075
0
1.13%
-$544.96K
PFIZER INC
310,178
310,178
0
1.08%
$34.12K
COMCAST CORP CL A
215,158
215,158
0
1.06%
$1.32M
ALTRIA GROUP INC
199,533
199,533
0
0.77%
$470.90K
MERCK & CO
99,186
99,186
0
0.76%
-$114.06K
HCA HEALTHCARE INC
48,550
48,550
0
0.75%
$1.93M
SEMPRA ENERGY
58,507
58,507
0
0.70%
$529.49K
MASCO CORPORATION
135,395
135,395
0
0.70%
-$27.08K
ACTIVISION BLIZZARD INC
79,914
79,914
0
0.70%
$950.98K
CACI INTL-A
28,803
28,803
0
0.68%
$1.04M
YUM! BRANDS INC
64,705
64,705
0
0.66%
$1.12M
BOOZ ALLEN HAMILTON HLDG CL A
77,148
77,148
0
0.63%
$324.02K
CARDINAL HEALTH INC
123,980
123,980
0
0.63%
$819.51K
ORACLE CORP
102,080
102,080
0
0.62%
$509.38K
PHILIP MORRIS INTL INC
78,180
78,180
0
0.61%
$609.80K
HANOVER INSURANCE GROUP INC
55,312
55,312
0
0.61%
$1.31M
MCDONALDS CORP
29,749
29,749
0
0.60%
-$146.07K
LOCKHEED MARTIN CORP
17,409
17,409
0
0.58%
-$492.67K
LANDSTAR SYSTEM INC
45,810
45,810
0
0.58%
$420.08K
TARGET CORP
34,821
34,821
0
0.58%
$665.43K
GMS INC
201,515
201,515
0
0.58%
$1.29M
IRON MOUNTAIN INC
203,879
203,879
0
0.57%
$548.43K
INTL PAPER CO
115,361
115,361
0
0.54%
$1.06M
NAVIENT CORP
554,780
554,780
0
0.51%
$760.05K
DELL TECHNOLOGIES INC CL C
73,066
73,066
0
0.50%
$409.17K
FNB CORP PA
545,487
545,487
0
0.49%
$1.48M
WELLS FARGO & CO
166,921
166,921
0
0.47%
$1.11M
FRONTDOOR INC
92,288
92,288
0
0.44%
$1.04M
UNITED RENTALS INC
19,048
19,048
0
0.42%
$1.09M
UNITED PARCEL SERVICE INC CL B
26,180
26,180
0
0.42%
$46.34K
WESTERN DIGITAL CORP
77,846
77,846
0
0.41%
$1.47M
CVS HEALTH CORP
61,761
61,761
0
0.40%
$611.43K
VISTRA CORP
214,450
214,450
0
0.40%
$171.56K
BECTON DICKINSON and CO
16,755
16,755
0
0.40%
$293.88K
MCKESSON CORP
23,557
23,557
0
0.39%
$588.69K
COCA-COLA CO/THE
68,343
68,343
0
0.35%
$373.84K
NORTHROP GRUMMAN CORP
12,028
12,028
0
0.35%
-$129.54K
BANK OF NEW YORK MELLON CORP
83,275
83,275
0
0.33%
$674.53K
INTL BUS MACH CORP
27,748
27,748
0
0.33%
$116.82K
PAPA JOHNS INTL INC
35,971
35,971
0
0.29%
$92.45K
NEWS CORP NEW CL A
167,162
167,162
0
0.28%
$660.29K
FIRSTENERGY CORP
97,516
97,516
0
0.28%
$185.28K
BOISE CASCADE CO
62,143
62,143
0
0.28%
$489.69K
UNION PACIFIC CORP
14,012
14,012
0
0.28%
$159.04K
EVERGY INC
51,431
51,431
0
0.27%
$241.21K
BRUNSWICK CORP
37,094
37,094
0
0.27%
$642.84K
S&P GLOBAL INC
8,382
8,382
0
0.26%
-$267.13K
MEDPACE HOLDINGS INC
19,372
19,372
0
0.25%
$531.76K
CROWN HOLDINGS INC
26,414
26,414
0
0.25%
$616.50K
SENSIENT TECHNOLOGIES CORP
35,618
35,618
0
0.25%
$570.96K
Plantronics, Inc. COM USD0.01
97,122
97,122
0
0.25%
$1.48M
CoreLogic, Inc. COM USD0.00001
30,213
30,213
0
0.22%
$291.56K
ALPHABET INC CL A
1,310
1,310
0
0.22%
$376.02K
COEUR MINING INC
216,550
216,550
0
0.21%
$643.15K
PRIMERICA INC
15,416
15,416
0
0.19%
$320.50K
TAKE-TWO INTERACTV SOFTWR INC
9,935
9,935
0
0.19%
$422.93K
STATE STREET CORP
28,362
28,362
0
0.19%
$381.47K
ENTERGY CORP
20,307
20,307
0
0.19%
$26.60K
OMEGA HEALTHCARE INVESTORS INC
55,596
55,596
0
0.19%
$354.70K
BLACKROCK INC
2,779
2,779
0
0.19%
$439.05K
DELUXE CORP
68,483
68,483
0
0.19%
$237.64K
EMERSON ELECTRIC CO
24,857
24,857
0
0.19%
$367.88K
JABIL INC
46,868
46,868
0
0.19%
$387.60K
EBAY INC
37,984
37,984
0
0.18%
-$70.27K
INTERACTIVE BROKERS GROUP INC
30,999
30,999
0
0.18%
$390.28K
SLB LTD
81,380
81,380
0
0.17%
$510.25K
Nielsen Holdings PLC COM EUR0.07
84,125
84,125
0
0.17%
$562.80K
MILLERKNOLL INC
51,222
51,222
0
0.16%
$186.45K
TEXAS INSTRUMENTS INC
10,365
10,365
0
0.16%
$221.19K
PENTAIR PLC
31,818
31,818
0
0.16%
$232.91K
HILLTOP HOLDINGS
60,281
60,281
0
0.16%
$417.75K
COMMERCIAL METALS CO
78,854
78,854
0
0.15%
$44.16K
AES CORP
66,465
66,465
0
0.15%
$358.25K
CORECIVIC INC
219,513
219,513
0
0.14%
-$318.29K
STANLEY BLACK and DECKER INC
7,923
7,923
0
0.13%
$129.62K
WERNER ENTERPRISES INC
35,515
35,515
0
0.13%
-$98.38K
TRANE TECHNOLOGI
9,547
9,547
0
0.13%
$228.27K
GENERAL DYNAMICS CORPORATION
9,286
9,286
0
0.13%
$96.48K
GILEAD SCIENCES INC
21,156
21,156
0
0.12%
-$104.30K
NRG ENERGY INC
31,914
31,914
0
0.11%
$217.33K
CARS.COM INC
104,591
104,591
0
0.11%
$336.78K
CBOE GLOBAL MARKETS INC
12,393
12,393
0
0.11%
$66.67K
ARTISAN PARTNERS ASSET MANAGEMENT INC A
22,143
22,143
0
0.11%
$251.32K
APACHE CORP
77,177
77,177
0
0.10%
$364.28K
PINTEREST INC CL A
16,519
16,519
0
0.10%
$402.90K
OCEANEERING INTL
129,680
129,680
0
0.10%
$574.48K
ODP CORP/THE
35,126
35,126
0
0.10%
$345.99K
CROWDSTRIKE HOLDINGS INC
4,835
4,835
0
0.10%
$360.21K
POPULAR INC
18,122
18,122
0
0.10%
$363.35K
GENERAC HOLDINGS INC
4,287
4,287
0
0.09%
$144.77K
AFLAC INC
21,462
21,462
0
0.09%
$174.27K
DAUCH CORPORATION
113,404
113,404
0
0.09%
$291.45K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
16,800
16,800
0
0.09%
$353.30K
3M CO
5,152
5,152
0
0.08%
$75.27K
GEO GROUP INC/TH
101,057
101,057
0
0.08%
-$250.62K
TARGA RESOURCES CORP
33,540
33,540
0
0.08%
$414.22K
DIEBOLD NIXDORF INC
80,698
80,698
0
0.08%
$243.71K
NEWS CORP NEW CL B
47,604
47,604
0
0.08%
$180.42K
Teekay Tankers Ltd.
75,174
75,174
0
0.08%
$12.78K
TUPPERWARE BRANDS CORP
25,067
25,067
0
0.08%
$306.57K
SCHNEIDER NATL-B
37,076
37,076
0
0.07%
-$149.42K
UNUM GROUP
32,072
32,072
0
0.07%
$195.96K
VIRTU FINANCIAL INC- CL A
28,969
28,969
0
0.07%
$62.57K
LAKELAND INDUSTRIES INC
26,615
26,615
0
0.07%
$198.28K
HIBBETT INC
15,542
15,542
0
0.07%
$108.17K
VISTANCE NETWORKS INC
52,976
52,976
0
0.07%
$233.09K
FRANKLIN ELECTRIC CO. INC.
8,963
8,963
0
0.06%
$93.04K
STANDARD MOTOR PRODUCTS INC
15,310
15,310
0
0.06%
-$64.15K
TURTLE BEACH CORP
27,228
27,228
0
0.06%
$91.21K
H&R BLOCK INC
35,850
35,850
0
0.05%
-$15.42K
Echo Global Logistics, Inc. USD0.0001
20,170
20,170
0
0.05%
$21.18K
KINDER MORGAN INC
39,251
39,251
0
0.05%
$52.60K
RANGE RESOURCES CORP
77,639
77,639
0
0.05%
$6.21K
WILLIAMS COS INC
25,068
25,068
0
0.05%
$10.03K
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