USCRX
Victory Cornerstone Moderately Aggressive Fund
Victory Portfolios III

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.

Nov 30, 2025 → Feb 28, 2026

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

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
iShares Core Universal USD Bond ETF 0 1,494,335 1,494,335 2.28% $70.53M
SALESFORCE INC 0 27,822 27,822 0.18% $5.42M
DOLLAR GENERAL CORP 0 32,251 32,251 0.16% $5.04M
SCHWAB CHARLES CORP 0 50,023 50,023 0.15% $4.76M
TRAVELERS COS IN 0 15,399 15,399 0.15% $4.75M
TJX COS INC 0 28,127 28,127 0.15% $4.55M
EDISON INTL 0 58,098 58,098 0.14% $4.34M
MONSTER BEVERAGE CORP 0 49,295 49,295 0.14% $4.20M
LAS VEGAS SANDS CORP 0 72,768 72,768 0.13% $4.13M
HALLIBURTON CO 0 107,737 107,737 0.13% $3.88M
FERGUSON ENTERPRISES INC 0 14,508 14,508 0.12% $3.78M
NUCOR CORP 0 20,155 20,155 0.12% $3.57M
NEW YORK TIMES CO CL A 0 42,646 42,646 0.11% $3.40M
NU Holdings Ltd/Cayman Islands 0 220,934 220,934 0.11% $3.31M
AFFIL MANAGERS 0 7,493 7,493 0.07% $2.29M
MILLICOM INTL CELLULAR S.A. COMMON STOCK USD1.5 0 23,936 23,936 0.06% $1.74M
RYERSON HOLDING CORP 0 10,401 10,401 0.01% $272.09K
RANGE RESOURCES CORP 0 4,201 4,201 0.01% $173.42K
F&G ANNUITIES 0 3,339 3,339 0.00% $75.63K
VERSANT MEDIA GROUP INC - A 0 912 912 0.00% $30.40K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
VICTORYSHARES WESTEND ECONOMIC CYCLE BOND ETF 2,729,841 0 -2,729,841 0.00% -$69.68M
iShares 1-3 Yr Treas 307,256 0 -307,256 0.00% -$25.53M
ISHARES 7-10 YEAR TSY. BD 249,610 0 -249,610 0.00% -$24.34M
NETFLIX INC 72,560 0 -72,560 0.00% -$7.81M
OPTION 78,731 0 -78,731 0.00% -$7.10M
PFIZER INC 223,132 0 -223,132 0.00% -$5.74M
DECKERS OUTDOOR CORP 39,545 0 -39,545 0.00% -$3.48M
VALERO ENERGY CORP 19,532 0 -19,532 0.00% -$3.45M
DTE ENERGY CO 24,316 0 -24,316 0.00% -$3.33M
F5 INC 13,139 0 -13,139 0.00% -$3.14M
EVEREST RE GROUP 8,920 0 -8,920 0.00% -$2.80M
ZOETIS INC CL A 18,057 0 -18,057 0.00% -$2.31M
MOTOROLA SOLUTIONS INC 5,782 0 -5,782 0.00% -$2.14M
GENERAL ELECTRIC CO 7,016 0 -7,016 0.00% -$2.09M
VISA INC-CLASS A 5,866 0 -5,866 0.00% -$1.96M
OVINTIV INC 47,456 0 -47,456 0.00% -$1.94M
EVERGY INC 23,996 0 -23,996 0.00% -$1.86M
ACUITY INC 4,056 0 -4,056 0.00% -$1.49M
ABBOTT LABS 11,245 0 -11,245 0.00% -$1.45M
HEWLETT PACKARD ENTERPRISE CO 64,390 0 -64,390 0.00% -$1.41M
OGE ENERGY CORP 21,465 0 -21,465 0.00% -$982.67K
BEST BUY CO INC 3,792 0 -3,792 0.00% -$300.63K
RAYMOND JAMES FINANCIAL INC. 1,700 0 -1,700 0.00% -$266.12K
OLYMPIC STEEL INC 6,081 0 -6,081 0.00% -$236.49K
REV GROUP INC 4,094 0 -4,094 0.00% -$218.09K
ALLY FINANCIAL INC 3,623 0 -3,623 0.00% -$149.63K
FX Spot Contract: EUR/USD SETTLE 2026-01-05 112,128 0 -112,128 0.00% -$130.09K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
VICTORYSHARES CORE PLUS INTERMEDIATE BOND ETF 10,771,497 13,948,716 3,177,219 10.03% $71.72M
Vanguard Tax Managed Funds FTSE DEVELOPED MKTS ETF 1,724,454 1,793,020 68,566 4.07% $19.77M
VICTORYSHARES INTERNATIONAL FREE CASH FLOW GROWTH 2,955,132 3,046,976 91,844 3.03% $12.80M
iShares Trust CORE US AGGREGATE BD ETF 664,395 878,402 214,007 2.88% $22.09M
VANGUARD US TOTAL STOCK MARKET SHARES INDEX ETF 205,143 262,548 57,405 2.87% $19.95M
VICTORYSHARES INTERNATIONAL FREE CASH FLOW ETF 2,243,385 2,332,814 89,429 2.40% $11.48M
ISHARES CORE S+P SMALL CAP ETF ISHARES CORE S+P SMALL CAP E 241,478 501,878 260,400 2.10% $35.91M
VANGUARD TOTAL BOND MARKET ETF VANGUARD TOTAL BOND MARKET 470,120 864,686 394,566 2.10% $29.84M
NVIDIA CORP 330,362 338,557 8,195 1.94% $1.51M
APPLE INC 196,136 207,970 11,834 1.77% $248.99K
VANGUARD FTSE ALL WORLD EX US ETF 471,575 545,511 73,936 1.44% $10.22M
MICROSOFT CORP 103,777 112,689 8,912 1.43% -$6.80M
ALPHABET INC CL A 132,521 137,052 4,531 1.38% $296.76K
MSILF-GOVT-INS 17,998,885 38,825,054 20,826,169 1.25% $20.83M
ISHARES MSCI EUROPE FINANCIALS ETF 690,913 809,580 118,667 0.99% $6.35M
VICTORYSHARES EMERGING MARKETS 383,044 427,433 44,389 0.84% $4.43M
MONEYMKT 18,172,273 24,728,208 6,555,935 0.80% $6.56M
Invesco Government & Agency Portfolio, Institutional Class 18,345,660 24,728,208 6,382,547 0.80% $6.38M
STATE STREET REAL ESTATE SELECT SECTOR SPDR ETF MUTUAL FUND 323,839 337,989 14,150 0.48% $1.32M
JPMORGAN CHASE and CO 43,852 46,337 2,485 0.45% $185.82K
JOHNSON&JOHNSON 42,248 47,989 5,741 0.39% $3.18M
PALANTIR TECHNOLOGIES INC 49,846 57,208 7,362 0.25% -$548.19K
INTL BUS MACH CORP 26,865 28,969 2,104 0.22% -$1.33M
iShares Trust RUSSELL 1000 VALUE ETF 1,852 29,316 27,464 0.21% $6.22M
ALTRIA GROUP INC 78,703 94,820 16,117 0.21% $1.90M
AMPHENOL CORPORATION CL A 31,978 42,843 10,865 0.20% $1.75M
BRISTOL-MYERS SQUIBB CO 96,333 99,364 3,031 0.20% $1.46M
QUALCOMM INC 42,416 42,790 374 0.20% -$1.04M
UBER TECHNOLOGIES INC 62,512 80,765 18,253 0.20% $619.00K
KLA CORP 3,645 3,983 338 0.20% $1.79M
LOCKHEED MARTIN CORP 6,678 8,673 1,995 0.18% $2.65M
ADOBE INC 10,688 20,761 10,073 0.18% $2.03M
PAYPAL HOLDINGS 56,500 117,550 61,050 0.18% $1.89M
SYNCHRONY FINANCIAL 4,710 77,542 72,832 0.17% $4.99M
ARISTA NETWORKS INC 36,250 39,882 3,632 0.17% $587.10K
CENCORA INC 9,964 14,198 4,234 0.17% $1.61M
THE BOOKING HOLDINGS INC 972 1,235 263 0.17% $458.52K
SYSCO CORP 44,870 56,594 11,724 0.17% $1.74M
NRG ENERGY INC 21,444 28,434 6,990 0.16% $1.45M
LEIDOS HOLDINGS INC 24,951 28,532 3,581 0.16% $227.82K
PROGRESSIVE CORP OHIO 18,664 22,867 4,203 0.16% $615.63K
DROPBOX INC CL A 136,196 190,351 54,155 0.15% $687.34K
EXPEDIA INC 21,227 22,013 786 0.15% -$679.55K
CVS HEALTH CORP 46,671 59,397 12,726 0.15% $995.34K
HARTFORD INSURANCE GROUP INC/THE 27,338 33,299 5,961 0.15% $943.37K
EOG RESOURCES INC 30,764 36,410 5,646 0.15% $1.20M
EXELIXIS INC 83,194 95,261 12,067 0.14% $522.52K
US FOODS HOLDING CORP 36,053 43,408 7,355 0.14% $1.36M
PULTEGROUP INC 21,301 30,134 8,833 0.13% $1.43M
MUELLER INDUSTRIES INC 16,391 33,873 17,482 0.13% $2.19M
NETAPP INC 32,567 39,973 7,406 0.13% $325.35K
GODADDY INC CL A 8,649 44,095 35,446 0.12% $2.74M
FLEX LTD 53,689 60,792 7,103 0.12% $657.56K
TALEN ENERGY CORP 6,867 10,303 3,436 0.12% $1.11M
COGNIZANT TECH SOLUTIONS CL A 26,089 56,319 30,230 0.12% $1.60M
COCA COLA CONSOLIDATED INC 7,937 16,059 8,122 0.11% $1.96M
POPULAR INC 11,703 23,542 11,839 0.10% $1.84M
CINCINNATI FINANCIAL CORP 10,039 19,283 9,244 0.10% $1.48M
APTIV PLC 32,854 41,676 8,822 0.10% $517.03K
BORGWARNER INC 42,309 50,142 7,833 0.09% $1.06M
CONOCOPHILLIPS 7,414 7,999 585 0.03% $250.02K
FORD MOTOR CO 43,444 54,658 11,214 0.02% $193.19K
TEREX CORP 5,794 9,809 4,015 0.02% $407.02K
ZIMMER BIOMET HO 5,488 6,549 1,061 0.02% $109.49K
DUKE ENERGY CORP NEW 3,532 4,579 1,047 0.02% $161.41K
SANOFI SPON ADR 8,264 12,069 3,805 0.02% $175.07K
LYONDELLBASELL-A 8,545 9,818 1,273 0.02% $146.11K
KRAFT HEINZ CO/T 10,663 17,615 6,952 0.01% $161.49K
SPROUTS FMRS MKT INC 1,201 3,507 2,306 0.01% $158.41K
BAXTER INTL INC 5,846 8,761 2,915 0.01% $68.91K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
iShares Core S&P 500 ETF 207,807 93,034 -114,773 2.07% -$78.60M
VANGUARD FTSE EM 755,097 697,650 -57,447 1.31% -$468.30K
Vanguard International Equity Index Funds FTSE EUROPE ETF 439,483 418,330 -21,153 1.22% $1.89M
SPDR GOLD SHARES ETF 83,058 63,646 -19,412 0.99% -$1.43M
ISHARES MSCI CANADA ETF 810,696 458,159 -352,537 0.86% -$16.16M
JPMORGAN BETABUILDERS CANADA ETF 419,485 214,272 -205,213 0.69% -$16.56M
ISHARES MSCI JPN 217,429 213,639 -3,790 0.64% $1.69M
INVESCO RAFI DEVELOPED MARKETS EX US ETF 268,341 202,866 -65,475 0.50% -$1.67M
Vanguard Mortgage-Backed Securities ETF - Class USD INC 488,845 304,687 -184,158 0.47% -$8.54M
HSBC US GOVT MMKT-I 18,172,273 10,631,361 -7,540,912 0.34% -$7.54M
CISCO SYSTEMS INC 152,255 106,557 -45,698 0.27% -$3.25M
VERIZON COMMUNICATIONS INC 215,806 167,548 -48,258 0.27% -$470.93K
GOLDMAN SACHS GROUP INC 11,268 9,260 -2,008 0.26% -$1.35M
LAM RESEARCH CORP 34,255 33,320 -935 0.25% $2.45M
GE VERNOVA LLC 10,302 8,171 -2,131 0.23% $959.36K
NEWMONT CORP 68,852 54,296 -14,556 0.23% $811.54K
MCKESSON CORP 9,187 7,140 -2,047 0.23% -$1.05M
iShares Russell 1000 Growth ETF 56,138 14,348 -41,790 0.21% -$20.29M
GILEAD SCIENCES INC 57,754 43,014 -14,740 0.21% -$860.83K
COMFORT SYSTEMS USA INC 5,618 4,330 -1,288 0.20% $700.72K
CARDINAL HEALTH INC 28,391 26,420 -1,971 0.20% $29.98K
CATERPILLAR INC 8,165 7,926 -239 0.19% $1.19M
GENERAL MOTORS CO 92,027 74,073 -17,954 0.19% -$935.54K
AMERIPRISE FINANCIAL INC 13,882 12,208 -1,674 0.19% -$587.36K
DELTA AIR LI 85,959 81,819 -4,140 0.17% -$134.46K
CUMMINS INC 12,830 9,160 -3,670 0.17% -$1.04M
AMAZON.COM INC 36,832 24,935 -11,897 0.17% -$3.35M
TECHNIPFMC PLC 80,245 75,266 -4,979 0.16% $1.36M
EMCOR GROUP INC 9,149 6,731 -2,418 0.16% -$749.86K
UNITED AIRLINES HOLDINGS INC 55,566 45,166 -10,400 0.16% -$864.36K
ISHARES 0 5 YEAR TIPS BOND ETF 167,355 45,160 -122,195 0.15% -$12.59M
INTERACTIVE BROKERS GROUP INC 71,049 63,519 -7,530 0.15% -$97.69K
TAPESTRY INC 34,451 29,025 -5,426 0.15% $747.71K
EBAY INC 48,297 47,777 -520 0.14% $342.51K
AUTOMATIC DATA PROCESSING INC 23,980 20,203 -3,777 0.14% -$1.79M
STEEL DYNAMICS INC 25,632 21,443 -4,189 0.13% -$160.53K
ALPHABET INC CL C 12,637 12,109 -528 0.12% -$274.25K
COMCAST CORP CL A 125,190 110,756 -14,434 0.11% $87.68K
META PLATFORMS INC CL A 6,030 2,560 -3,470 0.05% -$2.25M
INGREDION INC 21,358 13,056 -8,302 0.05% -$763.28K
ALLISON TRANSMISSION HLDGS INC 28,393 11,359 -17,034 0.05% -$1.09M
TOLL BROTHERS INC 17,911 9,010 -8,901 0.05% -$1.09M
FIDELITY NATIONAL FINL INC 55,662 25,757 -29,905 0.04% -$1.95M
UNIVERSAL HLTH-B 7,270 6,159 -1,111 0.04% -$501.82K
BANK OF NEW YORK MELLON CORP 22,580 10,205 -12,375 0.04% -$1.32M
COTERRA ENERGY INC 98,289 35,310 -62,979 0.03% -$1.56M
THE CIGNA GROUP 17,386 3,289 -14,097 0.03% -$3.87M
KROGER CO 65,253 12,960 -52,293 0.03% -$3.51M
RELIANCE STEEL and ALUMINUM CO 8,382 2,058 -6,324 0.02% -$1.69M
TARGET CORP 6,646 5,032 -1,614 0.02% -$29.67K
AXIS CAPITAL 8,192 5,356 -2,836 0.02% -$271.31K
VERISIGN INC 14,358 2,483 -11,875 0.02% -$3.05M
MARATHON PETROLEUM CORP 20,257 2,607 -17,650 0.02% -$3.41M
LOWES COS INC 13,069 1,655 -11,414 0.01% -$2.73M
ZOOM VIDEO COMMUNICATIONS INC CL A 16,555 4,025 -12,530 0.01% -$1.11M
PRUDENTL FINL 3,902 2,588 -1,314 0.01% -$167.78K
LULULEMON ATHLETICA INC 5,493 1,043 -4,450 0.01% -$818.57K
T ROWE PRICE GRP 2,460 1,770 -690 0.01% -$84.36K
GEN DIGITAL INC 65,371 7,402 -57,969 0.01% -$1.56M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
VICTORYSHARES CORE INTERMEDIATE BOND ETF 8,400,445 8,400,445 0 13.03% $1.85M
SCHWAB FUNDAMENTAL INTERNATIONAL EQUITY ETF 1,968,469 1,968,469 0 3.36% $15.39M
VICTORYSHARES FREE CASH FLOW GROWTH ETF 3,667,525 3,667,525 0 3.28% -$2.63M
VICTORYSHARES SHORT TERM BOND ETF 991,350 991,350 0 1.64% $104.09K
Schwab Strategic Trust FUNDAMENTAL EMERGING MKTS L 1,247,141 1,247,141 0 1.62% $4.07M
ISHARES CORE MSCI EMERGING MUTUAL FUND 430,714 430,714 0 1.07% $4.16M
INVESCO RAFI EMERGING MARKETS ETF 999,229 999,229 0 0.92% $2.59M
SCHWAB FUNDAMENTAL INTERNATIONAL SMALL EQUITY ETF 289,866 289,866 0 0.47% $1.54M
WALMART INC 77,691 77,691 0 0.32% $1.35M
ABBVIE INC 40,858 40,858 0 0.31% $178.96K
MERCK & CO 70,190 70,190 0 0.28% $1.33M
ALLSTATE CORPORATION 39,293 39,293 0 0.27% $60.51K
WELLS FARGO & CO 99,724 99,724 0 0.26% -$438.79K
State Street SPDR S&P Emerging Markets Small Cap ETF 107,983 107,983 0 0.24% $397.32K
PHILIP MORRIS INTL INC 38,625 38,625 0 0.23% $1.13M
INVESCO DB COMMODITY INDEX TRACKING FUND 256,100 256,100 0 0.21% $522.44K
PNC FINANCIAL SERVICES GRP INC 29,113 29,113 0 0.20% $629.71K
Vanguard Real Estate Index Fund ETF Shares 53,025 53,025 0 0.16% $230.66K
ULTA BEAUTY INC 7,020 7,020 0 0.16% $1.02M
ROYALTY PHARMA-A 98,966 98,966 0 0.15% $612.60K
CF INDUSTRIES HOLDINGS INC 45,148 45,148 0 0.15% $940.88K
TENET HEALTHCARE CORP 18,662 18,662 0 0.14% $420.83K
CRH PLC 36,233 36,233 0 0.14% $725
JABIL INC 15,943 15,943 0 0.14% $865.39K
RALPH LAUREN CORP 11,551 11,551 0 0.14% -$54.64K
AMERICAN EXPRESS CO 13,545 13,545 0 0.14% -$763.53K
CAPITAL ONE FINANCIAL CORP 20,415 20,415 0 0.13% -$478.32K
ST STR SPDR S P BIOTECH E 19,315 19,315 0 0.08% $81.32K
NATL FUEL GAS CO 13,231 13,231 0 0.04% $113.52K
EXXON MOBIL CORP 7,654 7,654 0 0.04% $279.98K
UNITED PARCEL SERVICE INC CL B 8,003 8,003 0 0.03% $161.42K
BANK OF AMERICA CORPORATION 18,192 18,192 0 0.03% -$69.49K
MORGAN STANLEY 5,301 5,301 0 0.03% -$16.70K
STATE STREET CORP 6,835 6,835 0 0.03% $65.62K
3M CO 4,511 4,511 0 0.02% -$30.36K
NORTHERN TRUST CORP 5,106 5,106 0 0.02% $60.00K
TRUIST FINL CORP 14,703 14,703 0 0.02% $41.32K
MEDTRONIC PLC 6,114 6,114 0 0.02% -$46.89K
AMERICAN INTERNATIONAL GROUP 7,257 7,257 0 0.02% $31.42K
ARGAN INC 1,252 1,252 0 0.02% $70.17K
DR HORTON INC 3,230 3,230 0 0.02% $4.46K
BIOGEN INC 2,663 2,663 0 0.02% $25.91K
SIGNET JEWELERS 5,154 5,154 0 0.02% -$20.46K
The Bank of N.T. Butterfield & Son Limited COM BMD0.01(POST REV SPLIT) 9,670 9,670 0 0.02% $41.68K
JACKSON FINANCIAL INC 4,435 4,435 0 0.02% $50.87K
MATSON INC 2,855 2,855 0 0.02% $163.16K
STERLING INFRASTRUCTURE INC 1,090 1,090 0 0.02% $91.36K
BREAD FINANCIAL HOLDINGS 6,430 6,430 0 0.01% $20.13K
CLEAR SECURE INC 9,246 9,246 0 0.01% $121.49K
FIRST BANCORP PUERTO RICO 21,237 21,237 0 0.01% $28.88K
TAYLOR MORRISON HOME CORP 6,675 6,675 0 0.01% $21.36K
TRI POINTE HOMES INC 9,298 9,298 0 0.01% $113.25K
HOST HOTELS & RE 21,781 21,781 0 0.01% $42.69K
BLACK HILLS CORP 5,732 5,732 0 0.01% -$745
PPG INDUSTRIES INC 3,423 3,423 0 0.01% $79.52K
INTL BANCSHARES 6,249 6,249 0 0.01% $3.94K
DEERE & CO 649 649 0 0.01% $107.23K
SUN COUNTRY HOLD 20,341 20,341 0 0.01% $121.64K
SYLVAMO CORP 8,338 8,338 0 0.01% -$8.92K
FIRST FIN BANCRP 13,737 13,737 0 0.01% $43.82K
TEEKAY TANKERS LTD COMMON STOCK USD.01 4,884 4,884 0 0.01% $100.61K
ACADEMY SPORTS and OUTDOORS INC 6,323 6,323 0 0.01% $75.12K
FIRST SOURCE CORP 5,620 5,620 0 0.01% $25.68K
CATHAY GENERAL BANCORP 7,575 7,575 0 0.01% $9.62K
OFG BANCORP 9,207 9,207 0 0.01% $3.22K
CARETRUST REIT INC 8,942 8,942 0 0.01% $27.63K
RILEY EXPLORATION PERMIAN INC 12,585 12,585 0 0.01% $18.25K
HAWKINS INC 2,413 2,413 0 0.01% $46.04K
HAWAIIAN ELECTRIC INDS INC 22,948 22,948 0 0.01% $85.60K
CITIZENS FINANCIAL GROUP INC 5,881 5,881 0 0.01% $35.82K
CACTUS INC CL A 6,446 6,446 0 0.01% $71.42K
US BANCORP DEL 6,169 6,169 0 0.01% $34.61K
DIODES INC 4,937 4,937 0 0.01% $108.71K
CAL-MAINE FOODS INC 3,814 3,814 0 0.01% $14.46K
DEUTSCHE POST AG ADR 5,468 5,468 0 0.01% $37.24K
SELECT MEDICAL HLDGS CORP 21,287 21,287 0 0.01% -$11.07K
FORTUNE BRANDS INNOVATIONS INC 5,811 5,811 0 0.01% $15.75K
DELUXE CORP 11,371 11,371 0 0.01% $84.49K
UNIVERSAL INSURANCE HLDGS INC 8,903 8,903 0 0.01% $18.16K
HARMONY BIOSCIENCES HOLDINGS INC 10,956 10,956 0 0.01% -$73.95K
NORTHERN OIL AND GAS INC 11,305 11,305 0 0.01% $58.79K
ADEIA INC 14,887 14,887 0 0.01% $123.86K
NOW INC 25,989 25,989 0 0.01% -$56.66K
BEL FUSE INC NV CL B 1,327 1,327 0 0.01% $100.43K
ANDERSONS INC 4,587 4,587 0 0.01% $63.25K
NORTHEAST COMMUNITY BANCORP INC 12,352 12,352 0 0.01% $37.55K
GRIFFON CORP 3,497 3,497 0 0.01% $35.81K
PHINIA INC 4,030 4,030 0 0.01% $74.72K
PHOTRONICS INC 7,783 7,783 0 0.01% $113.01K
AMERICAN HEALTHCARE REIT INC 5,496 5,496 0 0.01% $8.02K
TYSON FOODS INC CL A 4,362 4,362 0 0.01% $30.27K
INNOVIVA INC 12,169 12,169 0 0.01% $14.97K
MOSAIC CO/THE 9,931 9,931 0 0.01% $33.27K
KULICKE and SOFFA INDUSTRIES INC 3,954 3,954 0 0.01% $97.31K
SABRA HEALTHCARE REIT INC 13,276 13,276 0 0.01% $13.81K
THE BUCKLE INC 5,081 5,081 0 0.01% -$14.89K
G-III APPAREL GROUP LTD 8,820 8,820 0 0.01% $12.70K
WR BERKLEY CORP 3,708 3,708 0 0.01% -$22.21K
SKYWARD SPECIALTY INSURANCE GROUP INC 5,711 5,711 0 0.01% -$14.22K
FEDEX CORP 679 679 0 0.01% $75.59K
AGCO CORP 1,919 1,919 0 0.01% $58.61K
LIQUIDITY SERVICES INC 8,217 8,217 0 0.01% $12.90K
HAMILTON INSUR-B 8,159 8,159 0 0.01% $35.17K
WINMARK CORP 562 562 0 0.01% $25.42K
QCR HOLDINGS INC 2,930 2,930 0 0.01% $14.27K
BRIGHTSPHERE INVESTMENT GROUP INC 4,635 4,635 0 0.01% $41.81K
GENCO SHIPPING + TRADING LTD COMMON STOCK USD.01 10,338 10,338 0 0.01% $53.03K
CRESCENT ENERGY INC A 21,077 21,077 0 0.01% $47.00K
DIME COMMUNITY BANCSHARES INC 7,585 7,585 0 0.01% $30.34K
CNB FINL CORP/PA 8,737 8,737 0 0.01% $18.26K
ENOVA INTL INC 1,749 1,749 0 0.01% $13.92K
PATHWARD FINANCIAL INC 2,677 2,677 0 0.01% $50.57K
FRONTDOOR INC 3,544 3,544 0 0.01% $51.88K
RANGER ENERGY SERVICES INC CL A 13,749 13,749 0 0.01% $53.76K
VISHAY INTERTECHNOLOGY INC 12,767 12,767 0 0.01% $64.47K
IES HOLDINGS INC 482 482 0 0.01% $37.01K
UNITY BANCORP INC 4,459 4,459 0 0.01% $14.09K
SANMINA CORP 1,526 1,526 0 0.01% -$1.38K
HUB GROUP INC CL A 5,488 5,488 0 0.01% $24.70K
GREIF INC-CL A 3,244 3,244 0 0.01% $22.84K
OLD SECOND BNCRP 11,902 11,902 0 0.01% $9.28K
ARTISAN PARTNERS ASSET MANAGEMENT INC A 5,799 5,799 0 0.01% -$6.96K
Dole PLC ORD SHS 14,562 14,562 0 0.01% $22.72K
A10 NETWORKS INC 11,921 11,921 0 0.01% $24.32K
EVERSOURCE ENERGY 3,008 3,008 0 0.01% $27.16K
VITA COCO CO INC/THE 3,937 3,937 0 0.01% $18.31K
KB HOME 3,589 3,589 0 0.01% -$2.69K
BROADSTONE NET LEASE INC 11,704 11,704 0 0.01% $21.30K
HOPE BANCORP INC 20,098 20,098 0 0.01% $12.86K
SIMMONS FIRST -A 11,118 11,118 0 0.01% $15.12K
MURPHY OIL CORP 6,614 6,614 0 0.01% $7.14K
WESTAMERICA BANCORPORATION 4,321 4,321 0 0.01% $11.54K
POWER SOLUTIONS INTL INC 2,615 2,615 0 0.01% $76.93K
BANCORP INC/THE 4,158 4,158 0 0.01% -$48.15K
BOISE CASCADE CO 2,611 2,611 0 0.01% $16.97K
ESSENT GROUP LTD 3,547 3,547 0 0.01% -$6.81K
IRADIMED CORP 2,083 2,083 0 0.01% $21.48K
LANTHEUS HOLDING 2,877 2,877 0 0.01% $46.15K
JAKKS PACIFIC INC 9,762 9,762 0 0.01% $53.01K
M/I HOMES INC 1,498 1,498 0 0.01% $6.85K
NATL HEALTH INV 2,523 2,523 0 0.01% $11.58K
NETSCOUT SYSTEMS INC 7,260 7,260 0 0.01% $16.92K
STEVEN MADDEN LTD 5,818 5,818 0 0.01% -$33.05K
CURBLINE PROPERTIES CORP 7,549 7,549 0 0.01% $29.21K
WORLD ACCEPTANCE CORP 1,546 1,546 0 0.01% -$30.58K
HANMI FINL CORP 7,979 7,979 0 0.01% -$12.05K
DIVERSIFIED HEALTHCARE TR 30,753 30,753 0 0.01% $59.35K
BLACKSTONE MORTGAGE TR CL A 10,741 10,741 0 0.01% -$2.79K
PJT PARTNERS INC 1,392 1,392 0 0.01% -$28.30K
EXTREME NETWORKS INC 14,670 14,670 0 0.01% -$51.64K
CVB FINANCIAL CORP 10,660 10,660 0 0.01% -$4.80K
FOX CORP CL A 3,623 3,623 0 0.01% -$33.19K
HP INC 10,700 10,700 0 0.01% -$58.10K
AMKOR TECHNOLOGY INC 4,245 4,245 0 0.01% $48.52K
APOGEE ENTERPRISES INC 5,084 5,084 0 0.01% $17.34K
URBAN EDGE PROPERTIES 9,501 9,501 0 0.01% $19.29K
PEDIATRIX MEDICAL GROUP INC 10,163 10,163 0 0.01% -$43.09K
GENIE ENERGY LTD B 13,774 13,774 0 0.01% $689
RPC INC 34,131 34,131 0 0.01% $16.72K
MILLERKNOLL INC 9,786 9,786 0 0.01% $42.18K
BLUELINX HOLDINGS INC 2,956 2,956 0 0.01% $10.43K
ENNIS INC 9,224 9,224 0 0.01% $33.85K
OSHKOSH CORP 1,142 1,142 0 0.01% $47.78K
RESIDEO TECHNOLOGIES INC 5,009 5,009 0 0.01% $28.60K
THE CAMPBELL'S COMPANY 7,167 7,167 0 0.01% -$25.30K
KORN FERRY 3,078 3,078 0 0.01% -$9.54K
SM ENERGY CO 8,306 8,306 0 0.01% $33.89K
COREBRIDGE FINANCIAL INC 7,391 7,391 0 0.01% -$30.89K
WINNEBAGO INDUSTRIES INC 4,775 4,775 0 0.01% $17.67K
KONTOOR BRANDS INC 2,916 2,916 0 0.01% -$26.65K
PEAKSTONE REALTY 9,114 9,114 0 0.01% $65.53K
ADAPTHEALTH CORP 20,739 20,739 0 0.01% -$10.58K
GLOBAL NET LEASE INC 20,057 20,057 0 0.01% $24.27K
HURON CONSULTING GROUP INC 1,335 1,335 0 0.01% -$30.99K
CONSENSUS CLOUD SOLUTION 6,241 6,241 0 0.01% $51.43K
CARGURUS INC CL A 6,105 6,105 0 0.01% -$27.96K
CUSHMAN & WAKEFI 13,959 13,959 0 0.01% -$46.62K
SELECTIVE INSURANCE GROUP INC 2,226 2,226 0 0.01% $12.20K
O-I GLASS INC 13,897 13,897 0 0.01% -$1.11K
INTEGRA LIFESCIENCES HLDS CORP 16,310 16,310 0 0.01% -$28.38K
ALEXANDER & BALD 8,905 8,905 0 0.01% $45.95K
LIVE OAK BANCSHARES INC 5,070 5,070 0 0.01% $22.05K
MASTERBRAND INC 18,154 18,154 0 0.01% -$17.61K
CLIMB GLOBAL SOLUTIONS INC 1,910 1,910 0 0.01% -$12.19K
UFP INDUSTRIES INC 1,752 1,752 0 0.01% $17.38K
IDT CORP CL B NEW 3,525 3,525 0 0.01% $4.16K
ADVANSIX INC 10,015 10,015 0 0.01% $24.44K
MONARCH CASINO and RESORT INC 1,839 1,839 0 0.01% -$883
LTC PROPERTIES INC REIT 4,400 4,400 0 0.01% $14.04K
PROGYNY INC 9,865 9,865 0 0.01% -$85.63K
ZIFF DAVIS INC 6,346 6,346 0 0.01% -$36.43K
QUALYS INC 1,843 1,843 0 0.01% -$89.16K
LEGALZOOMCOM INC 24,233 24,233 0 0.01% -$55.74K
YELP INC 7,595 7,595 0 0.01% -$50.28K
XENIA HOTELS & R 11,015 11,015 0 0.01% $14.32K
SCANSOURCE INC 4,576 4,576 0 0.01% -$19.86K
MGE ENERGY INC 2,027 2,027 0 0.01% -$1.62K
SCORPIO TANKERS INC SHS 2,091 2,091 0 0.01% $45.48K
ENERGY SERVICES ACQ 10,459 10,459 0 0.01% $69.76K
NEWMARK GROUP INC CL A 11,206 11,206 0 0.01% -$32.05K
POSTAL REALTY TRUST INC 7,843 7,843 0 0.01% $40.71K
AMN HEALTHCARE SERVICES INC 8,306 8,306 0 0.01% $23.51K
OWENS CORNING INC 1,301 1,301 0 0.01% $11.49K
CABOT CORP 2,073 2,073 0 0.01% $28.13K
REX AMERICAN RESOURCES CORP 4,436 4,436 0 0.01% $11.40K
CHIMERA INVESTMENT CORP 11,500 11,500 0 0.01% $9.43K
EDGEWELL PERSONAL CARE CO 6,876 6,876 0 0.01% $33.55K
PC CONNECTION INC 2,513 2,513 0 0.00% $7.31K
SIGA TECHNOLOGIES INC 23,660 23,660 0 0.00% $9.70K
DAKTRONICS INC 5,928 5,928 0 0.00% $40.61K
NEW YORK MTGE 18,440 18,440 0 0.00% $11.43K
EVOLUTION PETROLEUM CORP 33,896 33,896 0 0.00% $18.30K
PERDOCEO EDUCATION CORP 4,520 4,520 0 0.00% $24.36K
LADDER CAPITAL CORP CL A 14,508 14,508 0 0.00% -$9.87K
COMMERCIAL METALS CO 2,040 2,040 0 0.00% $19.42K
WHITESTONE REIT 9,828 9,828 0 0.00% $18.67K
CRICUT INC- A 34,500 34,500 0 0.00% -$15.18K
ACCO BRANDS CORP 36,408 36,408 0 0.00% $22.94K
APOLLO COMMERCIA 13,621 13,621 0 0.00% $6.40K
CORVEL CORP 2,775 2,775 0 0.00% -$59.94K
INSIGHT ENTERPRISES INC 1,712 1,712 0 0.00% -$5.15K
ONESPAN INC 12,842 12,842 0 0.00% -$14.90K
US LIME & MINERA 1,226 1,226 0 0.00% -$9.08K
INTERPARFUMS INC 1,385 1,385 0 0.00% $27.02K
SUNCOKE ENERGY INC 24,126 24,126 0 0.00% -$19.78K
COMPASS INC - A 13,955 13,955 0 0.00% -$9.35K
FORESTAR GROUP INC 4,730 4,730 0 0.00% $15.14K
MATADOR RESOURCES COMPANY 2,642 2,642 0 0.00% $23.78K
MOHAWK INDUSTRIES INC 1,065 1,065 0 0.00% $9.98K
COMMVAULT SYSTEMS INC 1,562 1,562 0 0.00% -$60.01K
UNIVERSAL HEALTH REALTY TRUST 3,040 3,040 0 0.00% $9.03K
CNO FINANCIAL GROUP INC 3,152 3,152 0 0.00% $2.77K
GRAY TELEVISION INC 25,229 25,229 0 0.00% $6.81K
HAMILTON BEACH BRANDS HOLDING CO CLASS A 6,837 6,837 0 0.00% $21.13K
ST JOE COMPANY 1,803 1,803 0 0.00% $21.35K
PACIRA BIOSCIENCES INC 5,842 5,842 0 0.00% -$9.70K
M-TRON INDUSTRIES INC 2,002 2,002 0 0.00% $23.26K
REGIONAL MANAGEMENT CORP 3,980 3,980 0 0.00% -$24.76K
NIAGEN BIOSCIENCE INC 24,823 24,823 0 0.00% -$42.70K
COHEN & STEERS 1,874 1,874 0 0.00% $6.78K
GARRETT MOTION INC 6,121 6,121 0 0.00% $23.44K
TPG RE FINANCE TRUST INC 14,190 14,190 0 0.00% -$8.94K
NU SKIN ENTERPRISES INC CL A 14,111 14,111 0 0.00% -$19.90K
PROG HOLDINGS INC 3,226 3,226 0 0.00% $20.74K
AMPHASTAR PHARMACEUTICALS INC 5,430 5,430 0 0.00% -$40.56K
ATLANTICUS HOLDINGS CORP 2,081 2,081 0 0.00% -$13.82K
NATHANS FAMOUS INC 981 981 0 0.00% $8.16K
APARTMENT INVEST 21,819 21,819 0 0.00% -$28.36K
BUILDERS FIRSTSOURCE 920 920 0 0.00% -$7.30K
GRAPHIC PACKAGING HOLDING CO 7,676 7,676 0 0.00% -$30.32K
TRINET GROUP INC 2,159 2,159 0 0.00% -$44.30K
BOX INC- CLASS A 3,461 3,461 0 0.00% -$20.73K
HACKETT GROUP INC 5,557 5,557 0 0.00% -$26.73K
EXLSERVICE HOLDINGS INC 2,394 2,394 0 0.00% -$20.30K
CONSTELLATION BRANDS INC CL A 403 403 0 0.00% $8.66K
NET LEASE OFFICE PROPERTIES REIT 4,022 4,022 0 0.00% -$63.75K
ELME COMMUNITIES 9,180 9,180 0 0.00% -$139.63K

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