MM S&P Mid Cap Index Fund
MASSMUTUAL SELECT 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.

Dec 31, 2021 → Mar 31, 2022

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

Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
RANGE RESOURCES CORP 0 40,585 40,585 0.32% $1.23M
PDC ENERGY INC 0 15,822 15,822 0.30% $1.15M
EURONET WORLDWIDE INC 0 8,588 8,588 0.29% $1.12M
CHART INDUSTRIES INC 0 5,773 5,773 0.26% $991.63K
HF SINCLAIR CORP 0 24,289 24,289 0.25% $967.92K
U.S. Treasury Bills 0 930,000 930,000 0.24% $928.80K
SL GREEN REALTY CORP REIT 0 10,415 10,415 0.22% $845.49K
OLD NATL BANCORP 0 47,967 47,967 0.20% $785.70K
WATTS WATER TECH INC CL A 0 4,477 4,477 0.16% $624.94K
GAP INC/THE 0 34,581 34,581 0.13% $486.90K
BELLRING BRANDS INC 0 18,142 18,142 0.11% $418.72K
CALIX NETWORKS INC 0 8,909 8,909 0.10% $382.29K
XCME 20220617 0 18 18 0.00% $0
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
MOLINA HEALTHCARE INC 10,970 0 -10,970 0.00% -$3.49M
NORDSON CORP 10,149 0 -10,149 0.00% -$2.59M
Cyrusone Inc COM USD0.01 23,827 0 -23,827 0.00% -$2.14M
CIT Group, Inc. COM USD0.01 18,688 0 -18,688 0.00% -$959.44K
Sterling Bancorp Del COM USD0.01 36,307 0 -36,307 0.00% -$936.36K
United States Treasury Bill 930,000 0 -930,000 0.00% -$929.98K
HollyFrontier Corporation COM USD0.01 28,165 0 -28,165 0.00% -$923.25K
SL GREEN REALTY CORP REIT 12,531 0 -12,531 0.00% -$898.47K
CERENCE INC 7,162 0 -7,162 0.00% -$548.90K
URBAN EDGE PROPERTIES 20,758 0 -20,758 0.00% -$394.40K
JACK IN THE BOX INC 4,085 0 -4,085 0.00% -$357.36K
COMPASS MINERALS INTL INC 6,358 0 -6,358 0.00% -$324.77K
XCME 20220318 9 0 -9 0.00% $0
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
Fixed Income Clearing Corporation 1,449,151 3,735,348 2,286,198 0.97% $2.29M
Prime Portfolio 1,458,188 3,004,853 1,546,665 0.78% $1.55M
WEBSTER FINL 17,070 29,215 12,145 0.43% $686.36K
Security Shares Dec 2021 Shares Mar 2022 Δ shares End % Δ value
TARGA RESOURCES CORP 42,989 37,202 -5,787 0.73% $561.89K
CAMDEN PROP TR 19,197 16,604 -2,593 0.72% -$670.54K
ALCOA CORP 35,126 29,912 -5,214 0.70% $600.17K
STEEL DYNAMICS INC 35,396 30,631 -4,765 0.66% $358.51K
CLEVELAND-CLIFFS INC 85,408 77,683 -7,725 0.65% $642.84K
WOLFSPEED INC 21,761 20,078 -1,683 0.59% -$146.15K
COGNEX CORP 33,201 28,725 -4,476 0.58% -$365.58K
DARLING INGREDIENTS INC 30,374 26,290 -4,084 0.55% $8.58K
CARLISLE COS INC 9,817 8,495 -1,322 0.54% -$346.70K
MEDICAL PROPERTI 111,978 96,967 -15,011 0.53% -$596.16K
FIRST HORIZON CORP 101,472 86,761 -14,711 0.53% $380.98K
BUILDERS FIRSTSOURCE 35,967 31,114 -4,853 0.52% -$1.07M
FAIR ISAAC CORP 5,137 4,270 -867 0.52% -$235.98K
JONES LANG LASALLE INC 9,477 8,200 -1,277 0.51% -$588.96K
REXFORD INDUSTRIAL REALTY INC 28,442 26,038 -2,404 0.50% -$364.76K
GRACO INC 31,916 27,615 -4,301 0.50% -$647.75K
ESSENTIAL UTILITIES INC 43,184 37,369 -5,815 0.50% -$407.87K
ALLEGHANY CORP DEL 2,571 2,226 -345 0.49% $169.05K
LIFE STORAGE INC 15,400 13,326 -2,074 0.49% -$487.60K
RELIANCE STEEL and ALUMINUM CO 11,760 10,180 -1,580 0.48% -$41.20K
EAST WEST BNCRP 26,640 23,056 -3,584 0.47% -$274.15K
Aspen Technology, Inc. COM USD0.10 12,561 10,831 -1,730 0.47% -$120.66K
AECOM 27,044 22,965 -4,079 0.46% -$327.91K
SERVICE CORP INTERNATIONAL INC 30,961 26,794 -4,167 0.46% -$434.34K
WILLIAMS-SONOMA INC 13,964 11,853 -2,111 0.45% -$643.05K
RPM INTL INC 24,357 21,069 -3,288 0.45% -$744.20K
AVIS BUDGET GROUP 7,521 6,512 -1,009 0.45% $154.98K
EQT CORPORATION 56,976 48,875 -8,101 0.44% $439.14K
GAMESTOP CORP CL A 11,637 10,048 -1,589 0.43% -$53.02K
LAMAR ADVERTISING CO CL A 16,297 14,106 -2,191 0.43% -$337.99K
REGAL REXNORD CORP 12,721 11,009 -1,712 0.43% -$526.94K
WATSCO INC 6,199 5,366 -833 0.42% -$304.84K
HUBBELL INC 10,215 8,840 -1,375 0.42% -$502.95K
US STEEL CORP 50,924 42,395 -8,529 0.42% $387.49K
REPLIGEN CORP 9,656 8,354 -1,302 0.41% -$985.99K
AMERICAN FINL GROUP INC OHIO 12,414 10,759 -1,655 0.41% -$137.96K
JAZZ PHARMACEUTI 11,533 9,987 -1,546 0.40% $85.37K
AXON ENTERPRISE INC 12,329 11,124 -1,205 0.40% -$403.54K
CIENA CORP 29,088 25,165 -3,923 0.40% -$713.15K
ROYAL GOLD INC 12,310 10,664 -1,646 0.39% $211.47K
TENET HEALTHCARE CORP 20,101 17,405 -2,696 0.39% -$145.92K
OWENS CORNING INC 18,857 16,327 -2,530 0.39% -$212.64K
BJS WHSL CLUB HLDGS INC 25,624 22,091 -3,533 0.39% -$222.47K
MIDDLEBY CORP 10,442 9,038 -1,404 0.38% -$572.88K
LITHIA MOTORS INC CL A 5,682 4,920 -762 0.38% -$210.68K
TORO CO 19,982 17,045 -2,937 0.38% -$539.22K
AGCO CORP 11,510 9,970 -1,540 0.38% $120.53K
TETRA TECH INC 10,147 8,773 -1,374 0.38% -$275.94K
NEUROCRINE BIOSCIENCES INC 17,800 15,413 -2,387 0.38% -$71.06K
FIVE BELOW INC 10,517 9,103 -1,414 0.37% -$734.22K
JABIL INC 26,904 23,313 -3,591 0.37% -$453.58K
MANHATTAN ASSOCIATES INC 11,878 10,261 -1,617 0.37% -$423.61K
LENNOX INTL INC 6,319 5,470 -849 0.37% -$639.14K
LEAR CORP NEW 11,191 9,700 -1,491 0.36% -$664.27K
KOHLS CORP 28,239 22,610 -5,629 0.36% -$27.72K
SYNEOS HEALTH INC 19,465 16,847 -2,618 0.35% -$634.90K
APARTMENT INCOME REIT CORP CL A 29,458 25,506 -3,952 0.35% -$246.92K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 31,149 26,964 -4,185 0.35% -$537.62K
LATTICE SEMICONDUCTOR CORP 25,705 22,249 -3,456 0.35% -$624.75K
MKS INSTRUMENTS INC 10,408 9,011 -1,397 0.35% -$461.11K
FIRST SOLAR INC 18,556 16,066 -2,490 0.35% -$271.97K
EASTGROUP PROP 7,635 6,610 -1,025 0.35% -$395.95K
PAYLOCITY HOLDING CORP 7,436 6,447 -989 0.34% -$429.49K
OGE ENERGY CORP 37,552 32,523 -5,029 0.34% -$114.96K
LINCOLN ELECTRIC HLDGS INC 11,079 9,594 -1,485 0.34% -$223.04K
UNITED THERAPEUTICS CORP DEL 8,453 7,317 -1,136 0.34% -$513.78K
ARROW ELECTRONICS INC 13,067 11,059 -2,008 0.34% -$442.58K
FIRST INDUSTRIAL REALTY TRUST 24,448 21,169 -3,279 0.34% -$307.88K
KILROY REALTY CORP 19,660 17,067 -2,593 0.34% -$2.34K
WEX INC 8,445 7,282 -1,163 0.34% $113.88K
COMMERCE BCSHS 20,910 17,955 -2,955 0.33% -$151.95K
NNN REIT INC 32,951 28,536 -4,415 0.33% -$301.55K
WYNDHAM HOTELS and RESORTS INC 17,483 15,139 -2,344 0.33% -$285.23K
CULLEN FROST BANKERS INC 10,637 9,258 -1,379 0.33% -$59.61K
SYNAPTICS INC 7,383 6,422 -961 0.33% -$856.26K
PERFORMANCE FOOD GROUP CO 29,077 25,151 -3,926 0.33% -$53.91K
WOODWARD INC 11,824 10,248 -1,576 0.33% -$14.18K
ENVISTA HOLDINGS CORP 30,270 26,218 -4,052 0.33% -$86.89K
PENUMBRA INC 6,591 5,706 -885 0.33% -$626.25K
CHEMED CORP 2,888 2,501 -387 0.33% -$260.99K
American Campus Communities, Inc. COM USD0.01 26,108 22,609 -3,499 0.33% -$230.30K
MATTEL INC 66,014 56,922 -9,092 0.33% -$159.02K
APTARGROUP INC 12,349 10,695 -1,654 0.33% -$255.84K
II-VI Incorporated COM NPV 19,910 17,277 -2,633 0.33% -$108.04K
NOV INC 73,631 63,798 -9,833 0.33% $253.38K
BRIXMOR PROPERTY 55,710 48,392 -7,318 0.32% -$166.59K
KBR INC 26,438 22,793 -3,645 0.32% -$11.52K
NEW YORK TIMES CO CL A 31,349 27,149 -4,200 0.32% -$269.65K
CHURCHILL DOWNS INC 6,476 5,593 -883 0.32% -$319.65K
UGI CORP NEW 39,245 34,088 -5,157 0.32% -$567.07K
CAPRI HOLDINGS L 28,238 23,984 -4,254 0.32% -$600.39K
TREX CO INC 21,620 18,704 -2,916 0.32% -$1.70M
DECKERS OUTDOOR CORP 5,152 4,426 -726 0.31% -$675.52K
OMEGA HEALTHCARE INVESTORS INC 45,032 38,827 -6,205 0.31% -$122.65K
GENPACT LTD 32,470 27,703 -4,767 0.31% -$518.15K
MASIMO CORP 9,541 8,254 -1,287 0.31% -$1.59M
TANDEM DIABETES CARE INC 11,925 10,323 -1,602 0.31% -$594.49K
OLD REPUBLIC INTL CORP 53,551 46,390 -7,161 0.31% -$116.17K
WESTERN UNION CO 75,408 63,983 -11,425 0.31% -$146.24K
OLIN CORP 26,977 22,928 -4,049 0.31% -$353.04K
CASEY'S GENERAL 6,990 6,029 -961 0.31% -$184.71K
REINSURANCE GROUP OF AMERICA 12,681 10,914 -1,767 0.31% -$193.80K
MACYS INC 58,104 48,624 -9,480 0.31% -$336.68K
CABLE ONE INC 930 805 -125 0.31% -$461.30K
UNIVERSAL DISPLAY CORP 8,168 7,044 -1,124 0.31% -$171.97K
XPO LOGISTICS INC 18,506 16,028 -2,478 0.30% -$266.08K
STORE CAPITAL CORP 46,048 39,872 -6,176 0.30% -$418.59K
EXELIXIS INC 59,611 51,407 -8,204 0.30% $75.71K
VOYA FINANCIAL INC 20,869 17,547 -3,322 0.30% -$219.58K
CONCENTRIX CORP 8,049 6,970 -1,079 0.30% -$276.79K
FIRST AMERICAN FINANCIAL CORP 20,597 17,834 -2,763 0.30% -$455.30K
SYNOVUS FINL 27,291 23,560 -3,731 0.30% -$151.98K
STIFEL FINANCIAL CORP 19,616 16,978 -2,638 0.30% -$228.55K
ENCOMPASS HEALTH CORP 18,753 16,165 -2,588 0.30% -$74.33K
LUMENTUM HOLDINGS INC 13,564 11,731 -1,833 0.30% -$289.72K
GXO LOGISTICS INC 18,502 16,019 -2,483 0.30% -$537.74K
CACI INTL-A 4,374 3,790 -584 0.30% -$35.75K
PINNACLE FINL PARTNERS INC 14,281 12,370 -1,911 0.30% -$224.81K
RENAISSANCERE 8,634 7,146 -1,488 0.29% -$329.28K
GENTEX CORP 44,376 38,429 -5,947 0.29% -$425.53K
Coherent, Inc. 4,623 4,025 -598 0.29% -$131.94K
MARRIOTT VACATIONS WORLD 7,989 6,921 -1,068 0.28% -$258.54K
OSHKOSH CORP 12,876 10,821 -2,055 0.28% -$362.12K
ACUITY INC 6,551 5,690 -861 0.28% -$309.86K
BRUKER CORP 19,064 16,509 -2,555 0.28% -$538.13K
UNUM GROUP 38,537 33,218 -5,319 0.27% $99.85K
ITT INC 16,063 13,908 -2,155 0.27% -$595.46K
SAIA INC 4,942 4,279 -663 0.27% -$622.30K
DONALDSON CO INC 23,183 20,071 -3,112 0.27% -$331.54K
PROSPERITY BNCSH 17,345 14,975 -2,370 0.27% -$215.08K
JEFFERIES FINANCIAL GROUP INC 36,853 31,436 -5,417 0.27% -$397.22K
SEI INVESTMENTS 19,960 17,096 -2,864 0.27% -$187.01K
DICKS SPORTING GOODS INC 12,171 10,221 -1,950 0.27% -$377.24K
SUNRUN INC 38,830 33,633 -5,197 0.27% -$310.43K
NATL FUEL GAS CO 17,183 14,857 -2,326 0.27% -$78.01K
BRUNSWICK CORP 14,462 12,526 -1,936 0.26% -$443.53K
AZENTA INC 13,947 12,172 -1,775 0.26% -$429.26K
SONOCO PRODUCTS CO 18,540 15,975 -2,565 0.26% -$73.88K
LITTELFUSE INC 4,621 4,002 -619 0.26% -$456.00K
ASGN INC 9,819 8,465 -1,354 0.26% -$223.71K
HARLEY-DAVIDSON INC 28,997 25,001 -3,996 0.26% -$107.86K
EMCOR GROUP INC 10,033 8,672 -1,361 0.25% -$301.38K
POLARIS INC 10,748 9,268 -1,480 0.25% -$205.21K
COUSINS PROPERTIES INC 28,020 24,158 -3,862 0.25% -$155.32K
RAYONIER INC REIT 26,976 23,619 -3,357 0.25% -$117.54K
TOPBUILD CORP 6,179 5,349 -830 0.25% -$734.59K
JANUS HENDERSON 31,996 27,466 -4,530 0.25% -$380.05K
ACADIA HEALTHCARE CO INC 16,952 14,612 -2,340 0.25% -$71.46K
CURTISS WRIGHT CORPORATION 7,394 6,376 -1,018 0.25% -$67.91K
SPIRIT RLTY CAP INC 23,241 20,748 -2,493 0.25% -$165.16K
DOUGLAS EMMETT INC REIT 33,069 28,512 -4,557 0.25% -$154.94K
MURPHY OIL CORP 27,363 23,591 -3,772 0.25% $238.39K
NVENT ELECTRIC 31,704 27,334 -4,370 0.25% -$254.08K
TEXAS ROADHOUSE INC 13,125 11,316 -1,809 0.25% -$224.31K
GLOBUS MEDICAL INC 14,893 12,840 -2,053 0.25% -$127.94K
IDACORP INC 9,518 8,208 -1,310 0.25% -$131.61K
INGREDION INC 12,538 10,810 -1,728 0.24% -$269.58K
INTERACTIVE BROKERS GROUP INC 16,464 14,196 -2,268 0.24% -$371.91K
SILICON LABS 7,540 6,206 -1,334 0.24% -$624.27K
AFFIL MANAGERS 7,660 6,605 -1,055 0.24% -$329.17K
LANDSTAR SYSTEM INC 7,180 6,124 -1,056 0.24% -$361.68K
CDK Global Inc COM USD0.01 22,294 18,974 -3,320 0.24% -$6.90K
LIGHT & WONDER I 18,186 15,681 -2,505 0.24% -$294.11K
RH 3,255 2,825 -430 0.24% -$823.28K
VALVOLINE INC 33,898 29,141 -4,757 0.24% -$344.37K
FIRST FINL BANKSHARES INC 24,160 20,842 -3,318 0.24% -$308.75K
HEALTHEQUITY INC 15,735 13,583 -2,152 0.24% $219.92K
AMEDISYS INC 6,144 5,297 -847 0.24% -$81.97K
HALOZYME THERAPEUTICS INC 26,391 22,874 -3,517 0.24% -$148.97K
CLEAN HARBORS INC 9,433 8,133 -1,300 0.24% -$33.16K
CADENCE BANK 36,919 30,600 -6,319 0.23% -$204.46K
SKECHERS USA INC CL A 25,417 21,918 -3,499 0.23% -$209.72K
UNIVAR SOLUTIONS 32,217 27,776 -4,441 0.23% -$20.63K
VALLEY NATL BANCORP 76,693 68,473 -8,220 0.23% -$163.01K
POWER INTEGRATIONS INC 11,366 9,612 -1,754 0.23% -$164.95K
LOUISIANA PACIFIC CORP 16,502 14,296 -2,206 0.23% -$404.86K
GLACIER BANCORP INC 20,439 17,624 -2,815 0.23% -$272.76K
MDU RESOURCES GROUP INC 38,318 33,039 -5,279 0.23% -$301.24K
STERICYCLE INC 17,309 14,925 -2,384 0.23% -$152.93K
Colfax Corp COM STK USD0.001 25,377 22,086 -3,291 0.23% -$287.78K
Crane Co. COM USD1 9,409 8,110 -1,299 0.23% -$79.03K
PRIMERICA INC 7,442 6,416 -1,026 0.23% -$262.80K
BOYD GAMING CORP 15,371 13,325 -2,046 0.23% -$131.36K
FTI CONSULTING INC 6,461 5,571 -890 0.23% -$115.37K
SELECTIVE INSURANCE GROUP INC 11,332 9,781 -1,551 0.23% -$54.51K
TEMPUR SEALY INTERNATIONAL INC 36,128 31,278 -4,850 0.23% -$825.82K
NATL INSTRUMENTS 24,723 21,427 -3,296 0.23% -$209.93K
TERADATA CORP 20,380 17,629 -2,751 0.23% $3.39K
LHC GROUP INC 5,968 5,146 -822 0.23% $48.63K
IRIDIUM COMMUNICATIONS INC 24,911 21,479 -3,432 0.23% -$162.54K
HANOVER INSURANCE GROUP INC 6,707 5,781 -926 0.22% -$14.64K
NCR VOYIX CORP 24,874 21,447 -3,427 0.22% -$137.98K
CMC MATLS INC 5,354 4,643 -711 0.22% -$165.50K
WINTRUST FINL 10,741 9,262 -1,479 0.22% -$114.78K
TOLL BROTHERS INC 21,468 18,257 -3,211 0.22% -$695.62K
YETI HOLDINGS INC 16,440 14,240 -2,200 0.22% -$507.61K
DT MIDSTREAM INC 18,229 15,717 -2,512 0.22% -$21.82K
SCIENCE APPLICATIONS INTERNATIONAL CORP 10,848 9,251 -1,597 0.22% -$54.12K
ASHLAND INC 10,645 8,601 -2,044 0.22% -$299.62K
HANESBRANDS INC 65,804 56,737 -9,067 0.22% -$255.43K
BANK OZK 22,781 19,658 -3,123 0.22% -$220.60K
IAA INC 25,409 21,909 -3,500 0.22% -$448.18K
PACWEST BANCORP 22,097 19,430 -2,667 0.22% -$160.11K
SOUTHWEST GAS HOLDINGS INC 11,379 10,703 -676 0.22% $40.84K
NATIONAL STORAGE AFFILIATES TRUST 15,445 13,314 -2,131 0.22% -$233.21K
PERRIGO CO PLC 25,207 21,735 -3,472 0.22% -$145.28K
MASTEC INC 10,783 9,562 -1,221 0.22% -$162.21K
SLM CORP 55,246 45,314 -9,932 0.22% -$254.72K
FLOWERS FOODS INC 37,446 32,286 -5,160 0.22% -$198.57K
MANPOWERGROUP INC 10,221 8,813 -1,408 0.22% -$167.09K
EAGLE MATERIALS INC 7,666 6,419 -1,247 0.21% -$452.14K
VALMONT INDUSTRIES INC 4,000 3,448 -552 0.21% -$179.31K
COMMERCIAL METALS CO 22,728 19,738 -2,990 0.21% -$3.30K
CHEMOURS CO/ THE 30,713 25,999 -4,714 0.21% -$212.28K
TRAVEL+LEISURE CO 16,265 14,021 -2,244 0.21% -$86.59K
SCOTTS MIRACLE GRO CO 7,676 6,593 -1,083 0.21% -$425.16K
HEXCEL CORPORATION 15,808 13,631 -2,177 0.21% -$8.22K
KITE REALTY GROUP TRUST 41,277 35,584 -5,693 0.21% -$88.77K
NY COMM BANCORP 87,635 75,553 -12,082 0.21% -$260.10K
TEGNA INC 41,702 35,953 -5,749 0.21% $31.36K
Mimecast Ltd COM USD0.012 11,636 10,116 -1,520 0.21% -$121.05K
CHAMPIONX CORP 38,080 32,831 -5,249 0.21% $34.11K
BLACK HILLS CORP 12,026 10,369 -1,657 0.21% -$50.05K
KINSALE CAPITAL GROUP INC 4,042 3,485 -557 0.21% -$166.90K
CIRRUS LOGIC INC 10,771 9,307 -1,464 0.21% -$202.01K
ARROWHEAD PHARMACEUTICALS INC 19,558 17,135 -2,423 0.20% -$508.66K
MSA SAFETY INC 6,870 5,924 -946 0.20% -$250.98K
HIGHWOODS PROPERTIES INC 19,671 17,042 -2,629 0.20% -$97.63K
Sailpoint Technologies Holdings Inc COM USD0.0001 17,574 15,153 -2,421 0.20% -$74.00K
UNITED BANKSHS 25,690 22,160 -3,530 0.20% -$159.09K
QUALYS INC 6,291 5,425 -866 0.20% -$90.68K
JETBLUE AIRWAYS CORP 59,957 51,672 -8,285 0.20% -$81.29K
SIMPSON MFG 8,186 7,058 -1,128 0.20% -$368.82K
ONE GAS INC 10,097 8,707 -1,390 0.20% -$15.12K
HELEN OF TROY 4,546 3,922 -624 0.20% -$343.28K
MEDPACE HOLDINGS INC 5,417 4,671 -746 0.20% -$414.83K
INTEGRA LIFESCIENCES HLDS CORP 13,726 11,835 -1,891 0.20% -$158.99K
FLOWSERVE CORP 24,551 21,165 -3,386 0.20% $8.56K
ZIFF DAVIS INC 9,086 7,835 -1,251 0.20% -$249.00K
CHOICE HOTELS INTL INC 6,185 5,333 -852 0.20% -$208.79K
LEGGETT & PLATT 25,130 21,670 -3,460 0.20% -$280.23K
MAXIMUS INC 11,582 10,061 -1,521 0.20% -$168.67K
HAWAIIAN ELECTRIC INDS INC 20,598 17,760 -2,838 0.20% -$103.39K
PARK H&R INC 44,563 38,422 -6,141 0.19% -$90.97K
MURPHY USA INC 4,437 3,727 -710 0.19% -$138.78K
ESSENT GROUP LTD 20,807 17,942 -2,865 0.19% -$207.95K
HANCOCK WHITNEY CORP 16,362 14,107 -2,255 0.19% -$82.75K
CROCS INC 11,042 9,561 -1,481 0.19% -$685.34K
SEMTECH CORP 12,140 10,469 -1,671 0.19% -$353.69K
ICU MEDICAL INC 3,762 3,240 -522 0.19% -$171.52K
RLI CORP 7,503 6,475 -1,028 0.19% -$124.76K
NEW JERSEY RESOURCES CORP 18,173 15,607 -2,566 0.19% -$30.45K
AVIENT CORP 17,245 14,865 -2,380 0.19% -$251.34K
GATX CORP 6,692 5,768 -924 0.18% $14.13K
THOR INDUSTRIES INC 10,464 9,037 -1,427 0.18% -$374.64K
LivaNova PLC ORD GBP1.00 (DI) 10,030 8,648 -1,382 0.18% -$169.26K
EVERCORE INC A 7,352 6,340 -1,012 0.18% -$293.00K
MGIC INVT CORP 61,350 52,046 -9,304 0.18% -$179.44K
KIRBY CORP 11,327 9,767 -1,560 0.18% $32.03K
VONTIER CORP W/I 31,853 27,468 -4,385 0.18% -$281.43K
H&R BLOCK INC 33,098 26,733 -6,365 0.18% -$83.66K
TD SYNNEX CORP 7,780 6,734 -1,046 0.18% -$194.70K
QuidelOrtho Corporation 7,146 6,162 -984 0.18% -$271.66K
RYDER SYSTEM INC 10,120 8,724 -1,396 0.18% -$142.12K
HUDSON PACIFIC PROPERTIES INC 28,737 24,774 -3,963 0.18% -$22.61K
FNB CORP PA 60,120 55,205 -4,915 0.18% -$41.95K
CNX RESOURCES CORP 39,801 32,899 -6,902 0.18% $134.40K
TIMKEN CO 12,963 11,216 -1,747 0.18% -$217.40K
UMB FINANCIAL CORP 8,110 7,003 -1,107 0.18% -$180.14K
FOX FACTORY HOLDING CORP 7,897 6,841 -1,056 0.17% -$673.20K
EPR PROPERTIES 14,097 12,154 -1,943 0.17% -$4.52K
TXNM ENERGY INC 16,173 13,946 -2,227 0.17% -$72.84K
UMPQUA HOLDINGS CORP 40,818 35,196 -5,622 0.17% -$121.54K
ENVESTNET INC 10,295 8,878 -1,417 0.17% -$155.93K
FLUOR CORP 26,650 22,976 -3,674 0.17% -$939
Healthcare Realty Trust Incorporated COM USD0.01 27,804 23,972 -3,832 0.17% -$220.97K
BRIGHTHOUSE FINANCIAL INC 15,044 12,652 -2,392 0.17% -$125.68K
AVNET INC 18,696 16,079 -2,617 0.17% -$118.19K
MSC INDUSTRIAL DIRECT CO CL A 8,822 7,659 -1,163 0.17% -$88.95K
GOODYEAR TIRE and RUBBER CO 52,950 45,652 -7,298 0.17% -$476.53K
AUTONATION INC 7,533 6,495 -1,038 0.17% -$233.46K
SANDERSON FARMS INC 3,997 3,447 -550 0.17% -$117.47K
OPTION CARE HEALTH INC 26,104 22,503 -3,601 0.17% -$99.71K
POST HOLDINGS INC 11,031 9,247 -1,784 0.17% -$603.08K
CARTERS INC 7,963 6,867 -1,096 0.16% -$174.32K
SILGAN HOLDINGS INC 15,826 13,634 -2,192 0.16% -$47.69K
WENDY'S CO/THE 33,049 28,678 -4,371 0.16% -$158.16K
CABOT CORP 10,698 9,194 -1,504 0.16% $27.73K
DIGITAL TURBINE INC 16,569 14,336 -2,233 0.16% -$382.48K
PHYSICIANS REALTY TRUST 41,515 35,791 -5,724 0.16% -$153.95K
Adient PLC ORD SHS 17,755 15,397 -2,358 0.16% -$222.37K
GRAND CANYON EDUCATION INC 7,549 6,438 -1,111 0.16% -$21.83K
STAAR SURGICAL CO NEW 8,969 7,734 -1,235 0.16% -$200.85K
VICTORIA'S SECRET and CO 13,652 11,803 -1,849 0.16% -$152.03K
SITIME CORP 2,824 2,435 -389 0.16% -$222.69K
SPIRE INC 9,740 8,408 -1,332 0.16% -$31.88K
ACI WORLDWIDE INC 22,154 19,101 -3,053 0.16% -$167.25K
SABRE CORP 60,947 52,550 -8,397 0.16% $77.11K
MERCURY SYSTEMS INC 10,673 9,221 -1,452 0.15% $6.64K
BOSTON BEER COMPANY CL A 1,769 1,525 -244 0.15% -$301.11K

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