VANGUARD U.S. VALUE FUND
VANGUARD MALVERN FUNDS

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.

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
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
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
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
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

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