SLPSX
SMALL-CAP PROFUND
ProFunds
Index 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.

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
PIPER SANDLER CO 0 128 128 0.14% $11.16K
STRIVE INC-A 0 95 95 0.02% $1.46K
Brookfield Business Corp. 0 42 42 0.02% $1.43K
CARDINAL INFRA-A 0 23 23 0.02% $1.22K
YORK SPACE SYSTE 0 32 32 0.01% $1.06K
BETA TECHNOLOGIES INC 0 61 61 0.01% $972
First Tracks Biotherapeutics, Inc. 0 33 33 0.01% $768
AKTIS ONCOLOGY I 0 38 38 0.01% $712
WEALTHFRONT CORP 0 64 64 0.01% $674
AGILON HEALTH IN 0 23 23 0.01% $643
FUBOTV INC -A 0 52 52 0.01% $641
EVOMMUNE INC 0 19 19 0.01% $452
LUMEXA IMAGING H 0 46 46 0.01% $440
ATRIUM THERAPEUTICS INC 0 22 22 0.00% $281
ADVANTAGE SOLUTI 0 7 7 0.00% $240
TypTap Insurance Group Inc 0 14 14 0.00% $227
PUBLIC POLICY HO 0 8 8 0.00% $112
BARK, Inc 0 9 9 0.00% $85
TRAEGER INC 0 1 1 0.00% $42
Meridian Holdings, Inc. 0 3 3 0.00% $30
TEVOGEN BIO HOLD 0 2 2 0.00% $13
Zspace, Inc. 0 1 1 0.00% $0
Ferroglobe PLC 0 290 290 0.00% $0
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
AVIDITY BIOSCIENCES 122 0 -122 0.00% -$8.85K
PIPER SANDLER COS 19 0 -19 0.00% -$6.58K
AMICUS THERAPEUTICS INC 314 0 -314 0.00% -$4.49K
REV GROUP INC 51 0 -51 0.00% -$3.26K
TEGNA INC 170 0 -170 0.00% -$3.26K
ARCELLX INC 36 0 -36 0.00% -$2.46K
HILLENBRAND INC 74 0 -74 0.00% -$2.36K
AVADEL PHARMACEU 94 0 -94 0.00% -$2.03K
DYNAVAX TECHNOLOGIES CORP 106 0 -106 0.00% -$1.64K
ALEXANDER & BALD 77 0 -77 0.00% -$1.60K
TREEHOUSE FOODS INC 53 0 -53 0.00% -$1.31K
JAMF HOLDING CORP 82 0 -82 0.00% -$1.07K
GREAT LAKES DREDGE and DOCK CORP 70 0 -70 0.00% -$1.05K
DAY ONE BIOPHARMACEUTICALS INC 83 0 -83 0.00% -$926
BROOKFIELD- CL A 25 0 -25 0.00% -$892
APARTMENT INVEST 139 0 -139 0.00% -$817
HERITAGE COMMERCE CORP 63 0 -63 0.00% -$802
MIDWESTONE FINANCIAL GRP INC 17 0 -17 0.00% -$787
FUBOTV INC CLASS A 351 0 -351 0.00% -$783
SEMRUSH HOLDINGS INC 54 0 -54 0.00% -$642
Aspen Insurance Holdings Ltd. ORD SHS CL A 17 0 -17 0.00% -$635
GOLDEN ENTERTAINMENT INC 21 0 -21 0.00% -$565
FORGE GLOBAL HOLDINGS INC A 12 0 -12 0.00% -$536
OLYMPIC STEEL INC 11 0 -11 0.00% -$529
DIAMOND HILL INVEST GRP INC 3 0 -3 0.00% -$514
FIRST FOUNDATION INC/OLD 66 0 -66 0.00% -$414
EVENTBRITE INC-A 79 0 -79 0.00% -$349
ON24 INC 39 0 -39 0.00% -$311
AGILON HEALTH INC 324 0 -324 0.00% -$270
MIDDLEFIELD BANC CORP 8 0 -8 0.00% -$268
BLUE FOUNDRY BANCORP 19 0 -19 0.00% -$250
STRIVE INC-A 295 0 -295 0.00% -$242
LINKBANCORP INC 22 0 -22 0.00% -$192
UNITED SECURITY BANCSHARES CA 14 0 -14 0.00% -$150
ADVANTAGE SOLUTIONS INC A 98 0 -98 0.00% -$106
SYNCHRONOSS TECHNOLOGIES INC 10 0 -10 0.00% -$88
BARK INC 96 0 -96 0.00% -$85
WM TECHNOLOGY IN 94 0 -94 0.00% -$73
SWK HOLDINGS CORP 3 0 -3 0.00% -$52
TRAEGER INC 33 0 -33 0.00% -$36
GOLDEN MATRIX GROUP INC 22 0 -22 0.00% -$16
Trinseo PLC SHS 35 0 -35 0.00% -$16
TEVOGEN BIO HOLDINGS INC 42 0 -42 0.00% -$13
ZSPACE INC 0.00000000 6 0 -6 0.00% -$2
CARTESIAN THERAPEUTICS INC RTS 98 0 -98 0.00% $0
Contra Chinook Therape, CVR 56 0 -56 0.00% $0
FERROGLOBE PLC 290 0 -290 0.00% $0
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
BLOOM ENERGY CORP CL A 231 399 168 1.42% $78.09K
Invesco Government & Agency Portfolio, Institutional Class 46,765 86,036 39,272 1.08% $39.27K
CREDO TECHNOLOGY 162 295 133 0.65% $31.04K
FABRINET 38 66 28 0.57% $26.51K
COEUR MINING INC 676 1,865 1,189 0.42% $19.70K
NEXTRACKER INC CL A 154 266 112 0.40% $13.66K
ECHOSTAR CORP CL A 143 248 105 0.38% $14.35K
TTM TECHNOLOGIES INC 108 187 79 0.37% $18.98K
IONQ INC 357 630 273 0.36% $14.15K
STERLING INFRASTRUCTURE INC 32 54 22 0.35% $16.39K
ADV ENERGY INDS 40 69 29 0.33% $16.28K
MODINE MFG CO 55 96 41 0.31% $14.29K
SITIME CORP 23 41 18 0.29% $14.70K
RAMBUS INC 114 197 83 0.28% $9.70K
VIAVI SOLUTIONS INC 234 421 187 0.28% $16.34K
DYCOM INDUSTRIES INC 30 53 23 0.28% $11.02K
SANMINA CORP 55 97 42 0.27% $13.34K
HECLA MINING CO 671 1,160 489 0.26% $5.79K
KRATOS DEFENSE and SEC SOLTN INC 176 330 154 0.26% $2.68K
BRIDGEBIO PHARMA INC 168 290 122 0.26% $7.64K
APPLIED OPTOELECTRONICS INC 64 121 57 0.25% $17.10K
GUARDANT HEALTH INC 128 227 99 0.25% $5.17K
FORMFACTOR INC 82 142 60 0.24% $13.52K
SPX TECHNOLOGIES INC 51 88 37 0.24% $8.64K
ENSIGN GROUP INC 59 103 44 0.24% $9.10K
PLANET LABS PBC A 251 495 244 0.23% $12.03K
ARROWHEAD PHARMACEUTICALS INC 140 247 107 0.23% $8.44K
PRIMORIS SVCS CORP 57 99 42 0.23% $9.48K
SEMTECH CORP 92 170 78 0.22% $10.52K
CHART INDUSTRIES INC 48 83 35 0.22% $7.30K
UMB FINANCIAL CORP 77 133 56 0.21% $6.99K
ARGAN INC 14 25 11 0.21% $11.89K
AMERICAN HEALTHCARE REIT INC 178 326 148 0.21% $8.20K
CARETRUST REIT INC 237 410 173 0.20% $7.32K
OKLO INC 115 223 108 0.20% $7.01K
MADRIGAL PHARMACEUTICALS INC 20 31 11 0.20% $6.25K
AXSOME THERAPEUTICS INC 43 76 33 0.20% $7.87K
FIRSTCASH HOLDINGS INC 42 72 30 0.20% $8.55K
FLUOR CORP 170 294 124 0.20% $7.83K
LUMEN TECHNOLOGIES INC 1,007 1,741 734 0.19% $6.51K
MOOG INC-CLASS A 30 51 21 0.19% $6.21K
OLD NATL BANCORP 370 639 269 0.19% $6.28K
ESCO TECHNOLOGIES INC 27 47 20 0.19% $9.07K
WATTS WATER TECH INC CL A 29 50 21 0.19% $6.33K
PRAXIS PRECISION MEDICINES INC 26 47 21 0.19% $6.82K
VIASAT INC 131 226 95 0.19% $8.98K
APPLIED DIGITAL CORP 251 434 183 0.19% $6.36K
GLAUKOS CORP 59 102 43 0.18% $7.61K
POWELL INDUSTRIES INC 10 52 42 0.18% $9.98K
ENERSYS INC 39 67 28 0.18% $7.26K
JACKSON FINANCIAL INC 73 123 50 0.18% $5.56K
ZURN ELKAY WATER SOLUTIONS CORP 158 274 116 0.18% $6.95K
STONEX GROUP INC 52 134 82 0.18% $8.37K
SM ENERGY CO 262 455 193 0.18% $9.02K
CYTOKINETICS INC 126 219 93 0.18% $6.05K
COMMERCIAL METALS CO 117 203 86 0.18% $5.01K
INTERDIGITAL INC 27 47 20 0.18% $5.12K
TERAWULF INC 320 629 309 0.17% $9.39K
HUT 8 CORP 101 179 78 0.17% $7.93K
FED SIGNAL CORP 64 110 46 0.17% $6.63K
D-WAVE QUANTUM INC 353 667 314 0.17% $6.04K
AEROVIRONMENT INC 40 69 29 0.17% $2.32K
DIGITALOCEAN HOLDINGS INC 72 139 67 0.17% $9.43K
SILICON LABS 34 60 26 0.16% $8.22K
VAXCYTE INC 121 227 106 0.16% $6.51K
URANIUM ENERGY CORP 504 871 367 0.16% $4.28K
GATX CORP 38 66 28 0.16% $6.02K
ORMAT TECHNOLOGIES INC 64 111 47 0.16% $4.76K
TEREX CORP 68 205 137 0.16% $8.88K
HEALTHEQUITY INC 90 154 64 0.16% $4.92K
CLEARWATER ANALYTICS HOLDINGS INC 294 509 215 0.15% $5.24K
PLEXUS CORP 28 49 21 0.15% $6.70K
ARCHROCK INC 182 315 133 0.15% $6.82K
TERRENO REALTY CORP 108 187 79 0.15% $5.55K
INSTALLED BUILDING PRODUCTS INC 25 42 17 0.15% $4.92K
BRINKER INTL 47 79 32 0.15% $4.61K
VALLEY NATL BANCORP 512 885 373 0.15% $5.63K
RYMAN HOSPITALITY PPTYS INC 65 113 48 0.15% $5.72K
KRYSTAL BIOTECH INC 26 45 19 0.15% $4.54K
NOBLE CORP PLC 133 231 98 0.15% $7.05K
SOUTHWEST GAS HOLDINGS INC 68 125 57 0.15% $6.12K
VALARIS LTD 66 114 48 0.15% $7.82K
TRANSOCEAN LTD 980 1,696 716 0.15% $6.70K
GLACIER BANCORP INC 135 234 99 0.14% $4.64K
ESSENTIAL PROPERTIES REALTY TRUST INC 210 363 153 0.14% $5.03K
ENPRO INDUSTRIES INC 23 39 16 0.14% $5.88K
MYR GROUP INC/DELAWARE 17 28 11 0.14% $7.08K
VICOR CORPORATION 25 42 17 0.14% $7.37K
BRIGHTSPRING HEALTH SERVICES INC 117 235 118 0.14% $6.68K
ARCOSA INC 51 89 38 0.14% $5.42K
JOHN BEAN TECHNOLOGIES CORP 55 95 40 0.14% $2.57K
UNITED BANKSHS 148 255 107 0.14% $4.91K
GRANITE CONSTRUCTION INC 46 80 34 0.14% $5.41K
RIOT PLATFORMS INC 368 636 268 0.14% $5.27K
TXNM ENERGY INC 106 184 78 0.14% $4.62K
CONSTRUCTION PARTNERS INC CL A 50 87 37 0.14% $5.26K
PORTLAND GENERAL ELECTRIC CO 119 207 88 0.14% $4.77K
SSR MINING INC 215 372 157 0.13% $5.81K
TAYLOR MORRISON HOME CORP 101 175 74 0.13% $4.47K
CORE SCIENTIFIC INC 306 530 224 0.13% $5.10K
MAXLINEAR INC 87 149 62 0.13% $9.03K
CIPHER MINING INC 343 592 249 0.13% $5.03K
PROTAGONIST THERAPEUTICS INC 62 106 44 0.13% $5.42K
BLACK HILLS CORP 78 139 61 0.13% $4.77K
RIGETTI COMPUTING INC A 337 596 259 0.13% $4.28K
KITE REALTY GROUP TRUST 230 397 167 0.13% $4.98K
NEW JERSEY RESOURCES CORP 107 184 77 0.13% $5.07K
HANCOCK WHITNEY CORP 89 153 64 0.13% $4.21K
MURPHY OIL CORP 142 247 105 0.13% $6.04K
KODIAK GAS SERVICES INC 89 152 63 0.13% $6.57K
IES HOLDINGS INC 9 16 7 0.13% $6.88K
ESSENT GROUP LTD 100 170 70 0.13% $4.00K
MACERICH COMPANY 268 470 202 0.13% $5.14K
HIMS & HERS HEAL 217 374 157 0.13% $4.28K
AMERIS BANCORP 70 119 49 0.13% $4.50K
SPYRE THERAPEUTICS INC 73 136 63 0.13% $7.79K
LANTHEUS HOLDING 71 119 48 0.13% $5.32K
MAGNOLIA OIL and GAS CORPO CL A 191 330 139 0.13% $5.11K
ALKERMES PLC 171 296 125 0.13% $4.18K
JOBY AVIATION IN 513 1,069 556 0.12% $4.40K
ATLANTIC UNION B 150 260 110 0.12% $3.96K
GOLAR LNG LTD COMMON STOCK USD1.0 103 178 75 0.12% $5.61K
MATSON INC 33 56 23 0.12% $4.48K
CNX RESOURCES CORP 138 251 113 0.12% $4.41K
RESIDEO TECHNOLOGIES INC 136 236 100 0.12% $5.10K
SPIRE INC 62 107 45 0.12% $4.52K
LIBERTY ENERGY INC CL A 167 288 121 0.12% $5.61K
ONE GAS INC 63 109 46 0.12% $4.71K
BALCHEM CORP 34 60 26 0.12% $3.91K
KNIFE RIVER HOLDING CO W/I 60 104 44 0.12% $5.60K
BOOT BARN HOLDINGS INC 32 56 24 0.12% $3.89K
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 129 228 99 0.12% $5.13K
AXOS FINANCIAL INC 58 99 41 0.12% $3.81K
ATMUS FILTRATION TECHNOLOGIES INC 88 150 62 0.12% $4.41K
UFP INDUSTRIES INC 62 106 44 0.12% $3.08K
SABRA HEALTHCARE REIT INC 251 455 204 0.12% $4.70K
PTC THERAPEUTICS INC 82 144 62 0.12% $3.18K
COGENT BIOSCIENCES INC 146 261 115 0.12% $4.10K
ENERGY FUELS INC 241 429 188 0.12% $3.88K
PHILLIPS EDISON and CO INC 133 231 98 0.12% $4.46K
TERNS PHARMACEUTICALS INC 91 175 84 0.12% $6.11K
HOME BANCSHARES INC 199 344 145 0.12% $3.49K
SELECTIVE INSURANCE GROUP INC 64 110 46 0.12% $3.85K
CALIFORNIA RESOU 78 134 56 0.11% $4.97K
FRONTDOOR INC 78 133 55 0.11% $4.52K
NUVALENT INC-A 53 91 38 0.11% $3.67K
CASELLA WASTE SYS INC CL A 66 115 49 0.11% $2.46K
DIODES INC 48 84 36 0.11% $6.16K
TG THERAPEUTICS INC 153 265 112 0.11% $4.45K
COMPASS INC - A 677 1,172 495 0.11% $396
MOELIS & CO-CL A 78 136 58 0.11% $3.27K
XENON PHARMACEUTICALS INC 80 158 78 0.11% $5.57K
RADIAN GROUP INC 143 247 104 0.11% $4.15K
SENSIENT TECHNOLOGIES CORP 44 77 33 0.11% $4.59K
CRISPR Therapeutics A.G. Series A 92 167 75 0.11% $4.14K
USA RARE EARTH INC A 93 336 243 0.11% $6.64K
MIRION TECHNOLOGIES INC-A 253 438 185 0.11% $2.37K
CLEAR SECURE INC 91 161 70 0.11% $5.63K
ASSOCIATED BANC CORP 176 304 128 0.11% $3.76K
NOVANTA INC 38 66 28 0.11% $3.44K
WARRIOR MET COAL INC 55 95 40 0.11% $3.62K
KYMERA THERAPEUTICS INC 60 105 45 0.11% $4.15K
CSW INDUSTRI INC 17 29 12 0.11% $3.86K
VSE CORP 25 49 24 0.11% $2.95K
URBAN OUTFITTERS 64 119 55 0.11% $3.84K
CORE NATURAL RESOURCES INC 54 93 39 0.10% $3.20K
OUTFRONT MEDIA INC 156 270 114 0.10% $4.54K
OSI SYSTEMS INC 17 29 12 0.10% $4.07K
MARATHON DIGITAL HOLDINGS INC 392 693 301 0.10% $4.59K
GARRETT MOTION INC 168 324 156 0.10% $5.27K
RUSH ENTERPRISES INC CL A 64 112 48 0.10% $4.18K
MERITAGE HOMES CORP 74 123 49 0.10% $3.14K
TELEPHONE & DATA 105 182 77 0.10% $3.46K
NORTHWESTERN ENERGY GROUP INC 65 113 48 0.10% $3.76K
ACI WORLDWIDE INC 109 189 80 0.10% $3.44K
BROOKFIELD INFRA 127 220 93 0.10% $2.06K
INDIVIOR PHARMACEUTICALS INC 128 221 93 0.10% $3.60K
BRINK'S CO/THE 44 76 32 0.10% $2.52K
LEGENCE CORP-A 39 93 54 0.10% $6.26K
TEXAS CAPITAL BANCSHARES INC 48 80 32 0.10% $3.20K
ALIGNMENT HEALTHCARE INC 179 357 178 0.10% $4.01K
TIDEWATER INC 52 90 38 0.10% $4.79K
EASTERN BANKSHARES INC 234 397 163 0.10% $3.24K
LIGAND PHARMACEUTICALS 21 35 14 0.10% $4.00K
COMMVAULT SYSTEMS INC 47 81 34 0.10% $3.98K
BELDEN INC 41 71 30 0.10% $3.17K
KULICKE and SOFFA INDUSTRIES INC 54 93 39 0.10% $4.86K
MUELLER WATER PRODUCTS INC A 164 285 121 0.10% $3.51K
FIRST FINL BANKSHARES INC 142 246 104 0.10% $3.42K
AXCELIS TECHNOLOGIES INC 32 57 25 0.10% $5.11K
RHYTHM PHARMACEUTICALS INC 56 97 41 0.10% $2.15K
AAR CORP 41 71 30 0.10% $3.49K
CONSTELLIUM SE COMMON STOCK EUR.02 145 250 105 0.10% $4.56K
MERCURY SYSTEMS INC 55 99 44 0.10% $2.65K
SKYLINE CHAMPION CORP 60 102 42 0.10% $3.07K
CELCUITY INC 34 64 30 0.10% $4.05K
NY COMM BANCORP 321 555 234 0.10% $3.51K
PATTERSON-UTI ENERGY INC 366 633 267 0.10% $4.98K
AZZ INC 31 54 23 0.10% $3.87K
PERIMETER SOLUTIONS SA 147 254 107 0.10% $3.85K
TANGER INC- REIT 118 207 89 0.10% $3.81K
CNO FINANCIAL GROUP INC 101 172 71 0.10% $3.40K
HERC HOLDINGS INC 34 60 26 0.10% $2.74K
GLOBALSTAR INC 53 92 39 0.10% $4.31K
PLUG POWER INC 1,187 2,417 1,230 0.10% $5.05K
FULTON FINANCIAL CORP 193 350 157 0.09% $3.57K
DANA INC 125 207 82 0.09% $3.93K
TUTOR PERINI CORP 47 81 34 0.09% $3.82K
GROUP 1 AUTOMOTIVE INC 13 21 8 0.09% $2.89K
MIRUM PHARMACEUTICALS INC 43 77 34 0.09% $3.05K
IRHYTHM TECHNOLOGIES INC 34 58 24 0.09% $2.24K
SERVISFIRST BANCSHARES INC 54 94 40 0.09% $3.06K
UNITED COMMUNITY BANKS GA 129 224 95 0.09% $3.02K
ENOVA INTL INC 25 44 19 0.09% $3.32K
BGC GROUP INC-A 382 662 280 0.09% $3.95K
CHEMOURS CO/ THE 159 275 116 0.09% $5.03K
SCHOLAR ROCK HOLDING CORP 87 159 72 0.09% $3.55K
KONTOOR BRANDS INC 58 101 43 0.09% $3.95K
LIFE TIME GROUP HOLDINGS INC 160 276 116 0.09% $2.73K
IMPINJ INC 28 51 23 0.09% $3.52K
STRIDE INC 45 76 31 0.09% $3.58K
PRICESMART INC 27 47 20 0.09% $3.54K
POWER INTEGRATIONS INC 59 101 42 0.09% $4.63K
CABOT CORP 56 95 39 0.09% $3.27K
MERIT MEDICAL SYSTEMS INC 62 107 45 0.09% $2.27K
SHAKE SHACK INC - CLASS A 41 71 30 0.09% $3.64K
HELMERICH & PAYN 102 180 78 0.09% $3.81K
TRI POINTE HOMES INC 89 155 66 0.09% $4.30K
CG ONCOLOGY INC 59 108 49 0.09% $4.14K
INTL BANCSHARES 58 100 42 0.09% $3.13K
INDEPENDENCE REALTY TR INC 254 439 185 0.09% $2.92K
COVISTA INC 38 62 24 0.09% $3.21K
ASBURY AUTOMOTIVE GROUP INC 21 35 14 0.09% $2.20K
SPHERE ENTERTAINMENT CO 29 50 21 0.09% $4.35K
BREAD FINANCIAL HOLDINGS 48 84 36 0.09% $3.64K
FRANKLIN ELECTRIC CO. INC. 41 71 30 0.09% $3.03K
CAVCO INDUSTRIES INC 8 14 6 0.09% $3.16K
INDEPENDENT BANK CORP MASS 53 91 38 0.09% $2.82K
ABERCROMBIE & FI 49 83 34 0.09% $2.30K
ZETA GLOBAL HOLDINGS CORP 199 384 185 0.09% $3.38K
RADNET INC 72 125 53 0.09% $2.02K
MATERION CORP 22 38 16 0.09% $3.94K
LAUREATE EDUCATION INC CL A 134 232 98 0.09% $2.39K
WSFS FINANCIAL CORP 59 97 38 0.09% $3.16K
CACTUS INC CL A 72 125 53 0.09% $2.92K
ITRON INC 48 83 35 0.09% $2.20K
FIRST BANCORP PUERTO RICO 168 286 118 0.09% $3.23K
CRINETICS PHARMACEUTICALS INC 103 178 75 0.09% $1.76K
UNIFIRST CORP/MA 15 27 12 0.09% $3.67K
RENASANT CORP 99 172 73 0.09% $3.13K
REMITLY GLOBAL INC 178 313 135 0.09% $4.50K
BROADSTONE NET LEASE INC 200 346 146 0.09% $3.15K
OSCAR HEALTH INC - CLASS A 209 370 161 0.09% $3.83K
OCEANEERING INTL 104 180 76 0.08% $3.63K
GRAHAM HOLDINGS CO 3 6 3 0.08% $3.24K
STEPSTONE GROUP INC CLASS A 74 127 53 0.08% $1.49K
APOGEE THERAPEUTICS INC 40 81 41 0.08% $4.09K
SCORPIO TANKERS INC SHS 48 82 34 0.08% $3.62K
SYNAPTICS INC 41 71 30 0.08% $3.26K
ACADEMY SPORTS and OUTDOORS INC 70 121 51 0.08% $2.78K
PBF ENERGY INC CL A 89 153 64 0.08% $3.66K
NATL HEALTH INV 50 86 36 0.08% $2.51K
CATHAY GENERAL BANCORP 70 118 48 0.08% $3.03K
MAXIMUS INC 60 100 40 0.08% $896
ADVANCE AUTO PARTS INC 64 110 46 0.08% $3.47K
CENTRUS ENERGY CORP CL A 18 31 13 0.08% $1.53K
VICTORIA'S SECRET and CO 73 126 53 0.08% $2.55K
BADGER METER INC 31 54 23 0.08% $1.99K
FASTLY INC CL A 147 258 111 0.08% $5.16K
CORPORATE OFFICE PROPERTIES TR 121 208 87 0.08% $2.77K
TWIST BIOSCIENCE CORP 63 111 48 0.08% $3.90K
KADANT INC 13 22 9 0.08% $2.28K
VICTORY CAPITAL HOLDINGS INC CL A 47 82 35 0.08% $3.12K
POLARIS INC 56 97 41 0.08% $2.85K
PJT PARTNERS INC 25 42 17 0.08% $2.09K
SIGNET JEWELERS 42 72 30 0.08% $2.53K
VISHAY INTERTECHNOLOGY INC 128 221 93 0.08% $3.82K
LEMONADE INC 64 113 49 0.08% $850
GRIFFON CORP 40 70 30 0.08% $3.12K
KORN FERRY 56 96 40 0.08% $2.49K
ARCHER AVIATION INC A 666 1,111 445 0.08% $1.59K
TRAVERE THERAPEUTICS INC 87 151 64 0.08% $3.66K
GENWORTH FINANCIAL INC A 428 722 294 0.08% $2.78K
ULTRA CLEAN HOLDINGS INC 47 81 34 0.08% $4.28K
CRESCENT ENERGY INC A 248 470 222 0.08% $3.90K
BANKUNITED INC 80 136 56 0.08% $2.52K
M/I HOMES INC 28 48 20 0.08% $2.57K
ADEIA INC 115 198 83 0.08% $4.23K
OTTER TAIL CORPORATION 40 70 30 0.08% $2.68K
CVB FINANCIAL CORP 138 306 168 0.08% $3.51K
AVIENT CORP 97 168 71 0.08% $2.72K
SOLARIS OIL IN-A 44 84 40 0.08% $3.77K
BOX INC- CLASS A 148 256 108 0.08% $2.44K
CENTURY ALUMINUM COMPANY 56 104 48 0.08% $3.64K
TRANSMEDICS GROUP INC 35 61 26 0.08% $1.46K
COMMUNITY FINANCIAL SYSTEM INC 56 97 41 0.08% $2.65K
NAVITAS SEMICONDUCTOR CORP 169 371 202 0.08% $4.67K
CAL-MAINE FOODS INC 46 79 33 0.08% $2.26K
BROOKDALE SR 245 424 179 0.08% $2.41K
EXPONENT INC 54 91 37 0.08% $2.21K

Top 300 of 1893, by weight.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
US ULTRA BOND CBT Sep25 4,200,979 1,832,585 -2,368,394 22.99% -$2.30M
ZCS BRL 14.0087 05/12/25-01/04/27 CME 8 4 -4 0.76% $29.49K
LIVEWIRE GROUP INC 38 21 -17 0.00% -$51
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
BIGLARI HOLDIN-B 1 1 0 0.00% -$66
PRIMEENERGY RESOURCES CORP 1 1 0 0.00% $38
TRANSCONTL REALT 2 2 0 0.00% -$36
VALUE LINE INC 1 1 0 0.00% -$2
SCILEX HOLDING CO 1 1 0 0.00% $3
BLUEROCK HOMES TRUST INC 0 0 0 0.00% $0

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