VSMAX
VANGUARD SMALL-CAP INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex 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.

Dec 31, 2025 → Mar 31, 2026

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

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PINNACLE FINANCIAL PARTNERS INC 0 3,486,262 3,486,262 0.18% $300.31M
CDW CORPORATION 0 1,487,220 1,487,220 0.11% $179.98M
TRIMBLE INC 0 2,696,988 2,696,988 0.11% $175.92M
TYLER TECHNOLOGIES INC 0 495,573 495,573 0.10% $169.67M
GENUINE PARTS CO 0 1,586,717 1,586,717 0.10% $167.80M
INVITATION HOMES INC 0 6,674,355 6,674,355 0.10% $165.86M
HUBSPOT INC 0 577,621 577,621 0.08% $141.00M
FIGMA INC-CL A 0 6,102,791 6,102,791 0.08% $129.01M
GODADDY INC CL A 0 1,537,538 1,537,538 0.08% $127.11M
VERSANT MEDIA GROUP INC - A 0 3,323,786 3,323,786 0.07% $123.05M
CHIME FINANCIAL INC 0 6,414,339 6,414,339 0.07% $120.14M
PIPER SANDLER CO 0 1,560,792 1,560,792 0.07% $119.48M
PINTEREST INC CL A 0 6,412,407 6,412,407 0.07% $117.60M
TRADE DESK INC-A 0 5,076,274 5,076,274 0.07% $115.18M
BITMINE IMMERSION TECHNOLOGIES INC 0 5,244,054 5,244,054 0.06% $103.73M
PRAXIS PRECISION MEDICINES INC 0 321,085 321,085 0.06% $103.45M
INDIVIOR PHARMACEUTICALS INC 0 2,883,505 2,883,505 0.05% $87.89M
ARGAN INC 0 152,108 152,108 0.05% $82.85M
MIRUM PHARMACEUTICALS INC 0 661,539 661,539 0.04% $61.11M
POWELL INDUSTRIES INC 0 112,104 112,104 0.04% $60.66M
FORGENT POWER SOLUTIONS INC 0 1,957,543 1,957,543 0.03% $57.30M
VSE CORP 0 300,217 300,217 0.03% $55.36M
HUT 8 CORP 0 1,151,748 1,151,748 0.03% $54.03M
ENERGY FUELS INC 0 2,739,415 2,739,415 0.03% $49.99M
CARIS LIFE SCIENCES INC 0 2,274,539 2,274,539 0.02% $40.67M
GPGI INC 0 2,001,212 2,001,212 0.02% $34.22M
JANUS LIVING A-1 0 1,045,301 1,045,301 0.01% $24.64M
INGRAM MICRO HOL 0 816,085 816,085 0.01% $19.02M
SOLV ENERGY IN-A 0 515,858 515,858 0.01% $15.49M
EQUIPMENTSHARE-A 0 742,436 742,436 0.01% $15.12M
YORK SPACE SYSTE 0 439,017 439,017 0.01% $9.73M
BOB'S DISCOUNT F 0 448,828 448,828 0.00% $5.27M
ATRIUM THERAPEUTICS INC 0 169,155 169,155 0.00% $2.26M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SANDISK CORPORATION 3,159,208 0 -3,159,208 0.00% -$749.93M
EXACT SCIENCES CORP 4,299,432 0 -4,299,432 0.00% -$436.65M
TERADYNE INC 1,776,970 0 -1,776,970 0.00% -$343.95M
COMERICA INC 2,900,302 0 -2,900,302 0.00% -$252.12M
DAYFORCE INC 3,631,499 0 -3,631,499 0.00% -$251.15M
AVIDITY BIOSCIENCES 3,248,242 0 -3,248,242 0.00% -$234.30M
FRONTIER COMMUNICATIONS PARENT INC 5,679,974 0 -5,679,974 0.00% -$216.24M
CONFLUENT INC-A 6,101,313 0 -6,101,313 0.00% -$184.50M
CADENCE BANK 4,165,446 0 -4,165,446 0.00% -$178.45M
PINNACLE FINL PARTNERS INC 1,671,786 0 -1,671,786 0.00% -$159.51M
SYNOVUS FINL 2,994,072 0 -2,994,072 0.00% -$149.85M
PIPER SANDLER COS 381,345 0 -381,345 0.00% -$129.55M
TEGNA INC 3,652,381 0 -3,652,381 0.00% -$70.89M
CIDARA THERAPEUTICS INC 320,899 0 -320,899 0.00% -$70.88M
REV GROUP INC 1,106,537 0 -1,106,537 0.00% -$67.29M
POTLATCHDELTIC CORP REIT 1,664,948 0 -1,664,948 0.00% -$66.23M
CIVITAS RESOURCES INC 1,933,012 0 -1,933,012 0.00% -$52.37M
HILLENBRAND INC 1,597,607 0 -1,597,607 0.00% -$50.68M
ALEXANDER & BALD 1,653,533 0 -1,653,533 0.00% -$34.13M
JAMF HOLDING CORP 1,816,523 0 -1,816,523 0.00% -$23.63M
TREEHOUSE FOODS INC 975,492 0 -975,492 0.00% -$23.01M
PHREESIA INC 646,776 0 -646,776 0.00% -$10.94M
AMER WOODMARK CO 157,289 0 -157,289 0.00% -$8.48M
REDWOOD TRUST INC REIT 1,439,014 0 -1,439,014 0.00% -$7.96M
CARS.COM INC 645,523 0 -645,523 0.00% -$7.88M
AMN HEALTHCARE SERVICES INC 436,423 0 -436,423 0.00% -$6.88M
SPROUT SOCIAL INC 573,991 0 -573,991 0.00% -$6.47M
CRACKER BARREL OLD CTRY ST INC 253,001 0 -253,001 0.00% -$6.43M
HEALTHSTREAM INC 269,661 0 -269,661 0.00% -$6.22M
CABLE ONE INC 51,211 0 -51,211 0.00% -$5.78M
BRANDYWINE RLTY 1,874,600 0 -1,874,600 0.00% -$5.47M
EVOLENT HEALTH INC A 1,267,877 0 -1,267,877 0.00% -$5.07M
ANGI INC 392,174 0 -392,174 0.00% -$5.07M
DAVE & BUSTER'S 295,368 0 -295,368 0.00% -$4.79M
MEDIAALPHA INC CL A 355,409 0 -355,409 0.00% -$4.60M
GOGO INC 912,601 0 -912,601 0.00% -$4.25M
IBOTTA INC-CL A 173,117 0 -173,117 0.00% -$3.93M
CORSAIR GAMING INC 544,878 0 -544,878 0.00% -$3.24M
BUMBLE INC CL A 768,425 0 -768,425 0.00% -$2.74M
KINDERCARE LEARNING COS INC 336,044 0 -336,044 0.00% -$1.45M
HIGHPEAK ENERGY INC 285,375 0 -285,375 0.00% -$1.35M
STUBHUB HOLDINGS INC A 88,043 0 -88,043 0.00% -$1.19M
KRONOS WORLDWIDE INC 261,413 0 -261,413 0.00% -$1.16M
OPENDOOR TECHNOLOGIES INC WT 11/20/2026 97,812 0 -97,812 0.00% -$88.03K
GCI Liberty Inc ESCROW DUMMY 10,406 0 -10,406 0.00% -$0
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Vanguard Market Liquidity Fund 17,618,082 23,518,905 5,900,823 1.41% $589.85M
EMCOR GROUP INC 1,015,826 1,026,843 11,017 0.46% $136.66M
NRG ENERGY INC 4,348,670 4,896,915 548,245 0.43% $23.15M
ATMOS ENERGY CORP 3,669,567 3,814,741 145,174 0.42% $89.53M
TAPESTRY INC 4,643,880 4,668,443 24,563 0.40% $65.42M
TECHNIPFMC PLC 9,180,300 9,224,757 44,457 0.38% $228.63M
CASEY'S GENERAL 843,676 854,684 11,008 0.37% $155.78M
JABIL INC 2,303,201 2,313,084 9,883 0.37% $89.25M
NATERA INC 2,975,258 3,054,624 79,366 0.37% -$70.71M
EXPAND ENERGY CORP 5,134,167 5,543,054 408,887 0.37% $41.91M
UNITED THERAPEUTICS CORP DEL 977,062 1,010,571 33,509 0.36% $123.17M
FTAI AVIATION LT 2,327,499 2,365,138 37,639 0.35% $121.29M
CURTISS WRIGHT CORPORATION 836,761 850,116 13,355 0.35% $117.75M
FLEX LTD 8,391,515 8,477,837 86,322 0.33% $47.94M
WILLIAMS-SONOMA INC 2,709,228 2,752,686 43,458 0.30% $18.06M
XPO LOGISTICS INC 2,530,514 2,566,168 35,654 0.30% $155.33M
ROYAL GOLD INC 1,915,108 1,955,483 40,375 0.30% $71.94M
AST SPACEMOBILE INC 5,077,003 5,985,909 908,906 0.30% $127.31M
WOODWARD INC 1,358,524 1,374,617 16,093 0.30% $81.29M
ALBEMARLE CORP 2,670,784 2,717,329 46,545 0.29% $110.09M
SMURFIT WESTROCK 11,841,346 12,043,565 202,219 0.29% $22.03M
US FOODS HOLDING CORP 5,058,824 5,085,254 26,430 0.28% $87.88M
MASTEC INC 1,432,325 1,455,364 23,039 0.28% $156.90M
SOFI TECHNOLOGIES INC A 27,171,730 29,404,426 2,232,696 0.28% -$244.41M
CF INDUSTRIES HOLDINGS INC 3,539,515 3,543,362 3,847 0.28% $186.32M
ATI INC 3,082,954 3,157,448 74,494 0.28% $105.48M
EQT CORPORATION 7,080,341 7,197,024 116,683 0.28% $78.51M
CH ROBINSON WORLDWIDE INC 2,680,702 2,735,230 54,528 0.27% $23.29M
BUNGE GLOBAL SA 3,510,276 3,569,616 59,340 0.27% $141.36M
NVENT ELECTRIC 3,661,333 3,729,116 67,783 0.26% $67.73M
TWILIO INC CLASS A 3,268,334 3,493,651 225,317 0.26% -$25.32M
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 5,073,883 5,157,793 83,910 0.26% -$61.31M
BWX TECHNOLOGIES INC 2,074,665 2,108,502 33,837 0.26% $72.58M
FABRINET 812,974 826,076 13,102 0.26% $60.68M
CARPENTER TECHNOLOGY CORP 1,073,950 1,091,072 17,122 0.26% $91.92M
PURE STORAGE INC CL A 7,084,691 7,232,336 147,645 0.26% -$47.75M
REVOLUTION MEDICINES INC 4,167,727 4,341,039 173,312 0.25% $90.21M
MODERNA INC 7,979,239 8,195,823 216,584 0.25% $181.04M
ILLUMINA INC 3,294,131 3,349,302 55,171 0.25% -$19.22M
ENTEGRIS INC 3,440,324 3,504,734 64,410 0.25% $121.05M
RB GLOBAL INC 4,213,652 4,286,579 72,927 0.25% -$22.59M
INSMED INC 2,419,794 2,485,062 65,268 0.24% -$14.78M
ALCOA CORP 5,876,593 6,083,465 206,872 0.24% $91.23M
RBC BEARINGS INC 717,296 729,085 11,789 0.24% $74.32M
NEXTRACKER INC CL A 3,198,703 3,252,359 53,656 0.24% $113.43M
PTC INC 2,721,423 2,743,826 22,403 0.23% -$83.13M
HOLOGIC INC 5,057,952 5,148,009 90,057 0.23% $12.37M
OVINTIV INC 5,747,375 6,533,089 785,714 0.23% $162.56M
AKAMAI TECHNOLOGIES INC 3,264,712 3,340,840 76,128 0.23% $98.85M
PERMIAN RESOURCES CORP CL A 16,904,782 17,786,769 881,987 0.23% $142.04M
TENET HEALTHCARE CORP 1,994,281 2,005,184 10,903 0.23% -$17.91M
ITT INC 1,928,870 1,983,006 54,136 0.23% $43.14M
HUNT J B TRANSPORT SERVICES IN 1,728,685 1,745,236 16,551 0.22% $33.86M
INCYTE CORP 3,786,844 3,900,485 113,641 0.22% -$6.91M
ASTERA LABS INC 3,066,139 3,336,071 269,932 0.22% -$144.45M
BALL CORP 6,082,072 6,135,581 53,509 0.22% $40.51M
RELIANCE STEEL and ALUMINUM CO 1,186,493 1,192,892 6,399 0.22% $19.80M
ECHOSTAR CORP CL A 3,019,047 3,067,837 48,790 0.22% $30.98M
VIATRIS INC 26,139,160 26,548,768 409,608 0.22% $33.24M
SUN COMMUNITIES INC - REIT 2,806,138 2,840,545 34,407 0.21% $10.09M
MKS INSTRUMENTS INC 1,524,311 1,550,559 26,248 0.21% $112.75M
WP CAREY INC 4,972,516 5,192,286 219,770 0.21% $32.84M
KIMCO REALTY CORPORATION 15,420,202 15,668,351 248,149 0.21% $39.50M
CREDO TECHNOLOGY 3,532,980 3,748,463 215,483 0.21% -$156.49M
TEXTRON INC 3,999,084 4,015,827 16,743 0.21% $3.03M
ANNALY CAPITAL MGMT INC REIT 15,498,470 16,564,342 1,065,872 0.21% $3.79M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 1,530,361 1,556,649 26,288 0.21% $83.56M
APA CORP 8,048,101 8,145,125 97,024 0.21% $148.82M
JACOBS SOLUTIONS INC 1,347,488 2,708,159 1,360,671 0.21% $166.21M
HUNTINGTON INGALLS INDUSTRIES INC 890,474 904,833 14,359 0.21% $40.92M
APTIV PLC 4,903,636 4,905,484 1,848 0.20% -$32.48M
TEMPUR SEALY INTERNATIONAL INC 4,524,983 4,598,282 73,299 0.20% -$64.09M
DOW INC 8,010,201 8,136,984 126,783 0.20% $151.63M
EAST WEST BNCRP 3,122,296 3,172,483 50,187 0.20% -$12.22M
TALEN ENERGY CORP 1,036,756 1,053,608 16,852 0.20% -$52.27M
LENNOX INTL INC 716,311 722,257 5,946 0.20% -$12.61M
MID AMERICA APT CMNTY INC 1,328,404 2,695,610 1,367,206 0.20% $144.66M
JONES LANG LASALLE INC 1,070,915 1,080,190 9,275 0.20% -$31.61M
PENTAIR PLC 3,713,596 3,763,952 50,356 0.20% -$58.86M
NORDSON CORP 1,211,325 1,221,981 10,656 0.20% $33.88M
IDEX CORPORATION 1,698,698 1,714,363 15,665 0.20% $22.69M
GRACO INC 3,762,545 3,812,672 50,127 0.19% $14.33M
RIVIAN AUTOMOTIVE INC 20,796,833 21,393,186 596,353 0.19% -$87.94M
TEXAS PACIFIC LAND CORP 664,305 675,599 11,294 0.19% $129.81M
REGENCY CENTERS CORP REIT 4,150,104 4,217,793 67,689 0.19% $32.64M
DT MIDSTREAM INC 2,307,246 2,345,486 38,240 0.19% $39.74M
CLEAN HARBORS INC 1,091,291 1,098,073 6,782 0.19% $58.96M
LINCOLN ELECTRIC HLDGS INC 1,248,681 1,263,718 15,037 0.19% $15.53M
REINSURANCE GROUP OF AMERICA 1,491,170 1,511,809 20,639 0.19% $5.26M
OKTA INC CL A 3,822,706 3,907,367 84,661 0.18% -$23.00M
WESCO INTL 1,103,941 1,122,034 18,093 0.18% $36.94M
TRANSUNION 2,203,595 4,436,376 2,232,781 0.18% $117.99M
AVERY DENNISON CORP 1,754,242 1,772,759 18,517 0.18% -$12.94M
NEUROCRINE BIOSCIENCES INC 2,262,609 2,314,127 51,518 0.18% -$16.04M
TOAST INC-A 11,102,062 11,477,764 375,702 0.18% -$89.96M
HOST HOTELS & RE 15,604,933 15,858,917 253,984 0.18% $27.18M
HASBRO INC 3,184,665 3,243,913 59,248 0.18% $42.49M
HUBBELL INC 603,004 612,864 9,860 0.18% $32.96M
QXO INC 14,537,862 15,469,009 931,147 0.18% $19.97M
KRATOS DEFENSE and SEC SOLTN INC 3,831,259 4,256,790 425,531 0.18% $9.32M
BRIDGEBIO PHARMA INC 3,935,615 4,022,939 87,324 0.18% -$2.29M
OMEGA HEALTHCARE INVESTORS INC 6,705,709 6,815,382 109,673 0.18% $1.32M
ROIVANT SCIENCES 10,259,565 10,726,708 467,143 0.18% $74.50M
BJS WHSL CLUB HLDGS INC 2,969,232 3,016,983 47,751 0.18% $29.61M
NEW YORK TIMES CO CL A 3,482,995 3,539,145 56,150 0.18% $54.54M
PERFORMANCE FOOD GROUP CO 3,380,360 3,441,210 60,850 0.18% -$9.19M
BEST BUY CO INC 4,529,836 4,589,978 60,142 0.18% -$8.51M
RPM INTL INC 2,909,781 2,953,398 43,617 0.18% -$9.05M
GUIDEWIRE SOFTWARE INC 1,929,179 1,960,336 31,157 0.18% -$94.60M
WATSCO INC 792,581 805,267 12,686 0.18% $25.89M
LATTICE SEMICONDUCTOR CORP 3,104,025 3,153,964 49,939 0.18% $64.17M
RALPH LAUREN CORP 835,532 846,740 11,208 0.17% -$4.18M
FIVE BELOW INC 1,251,428 1,271,817 20,389 0.17% $54.87M
CLOROX CO 2,768,146 2,787,629 19,483 0.17% $9.77M
ALLEGION PLC 1,952,225 1,986,467 34,242 0.17% -$22.22M
DICKS SPORTING GOODS INC 1,425,204 1,454,474 29,270 0.17% $6.26M
STEEL DYNAMICS INC 1,574,123 1,599,429 25,306 0.17% $21.16M
REGAL REXNORD CORP 1,506,520 1,533,326 26,806 0.17% $75.74M
ANTERO RESOURCES 6,650,141 6,758,098 107,957 0.17% $57.65M
ROKU INC CLASS A 2,968,103 3,013,993 45,890 0.17% -$36.83M
MUELLER INDUSTRIES INC 2,519,216 2,558,636 39,420 0.17% -$5.71M
TD SYNNEX CORP 1,663,240 1,673,251 10,011 0.17% $32.43M
PENUMBRA INC 844,196 859,628 15,432 0.17% $19.81M
ADV ENERGY INDS 856,366 870,459 14,093 0.17% $101.61M
PINNACLE WEST CAPITAL CORP 2,716,655 2,787,755 71,100 0.17% $39.90M
QNITY ELECTRONICS INC 2,376,585 2,417,099 40,514 0.17% $84.84M
SOLSTICE ADV MAT 3,601,141 3,660,414 59,273 0.17% $103.83M
AFFIRM HOLDINGS INC 5,909,577 6,067,957 158,380 0.17% -$161.82M
CACI INTL-A 501,034 509,253 8,219 0.17% $10.01M
FIDELITY NATIONAL FINL INC 5,844,691 5,939,262 94,571 0.17% -$43.60M
GAMING AND LEISURE PROPRTI INC 6,100,977 6,204,079 103,102 0.17% $2.62M
ELANCO ANIMAL HEALTH INC 11,275,348 11,463,494 188,146 0.16% $19.16M
HECLA MINING CO 14,445,149 14,683,710 238,561 0.16% -$3.64M
STERLING INFRASTRUCTURE INC 662,217 671,259 9,042 0.16% $70.59M
ENSIGN GROUP INC 1,314,459 1,339,959 25,500 0.16% $41.02M
ALIGN TECHNOLOGY INC 1,546,804 1,571,720 24,916 0.16% $27.91M
GUARDANT HEALTH INC 2,766,571 2,873,276 106,705 0.16% -$17.17M
EQUITY LIFESTYLE PPTYS INC 4,177,985 4,248,104 70,119 0.16% $11.94M
GENERAC HOLDINGS INC 1,331,667 1,352,928 21,261 0.16% $82.67M
MODINE MFG CO 1,194,256 1,215,870 21,614 0.16% $104.05M
HEALTHPEAK PROPERTIES INC 15,771,224 16,026,347 255,123 0.16% $9.71M
JACK HENRY 1,642,399 1,663,941 21,542 0.16% -$36.74M
ESSENTIAL UTILITIES INC 6,422,852 6,527,308 104,456 0.16% $16.47M
CIRCLE INTERNET GROUP INC A 1,200,312 2,745,466 1,545,154 0.16% $166.76M
EVERCORE INC A 833,775 867,563 33,788 0.16% -$24.72M
WEBSTER FINL 3,660,837 3,719,015 58,178 0.16% $27.76M
NISOURCE INC 5,414,937 5,517,049 102,112 0.15% $31.30M
AGNC INVESTMENT CORP 24,339,139 25,562,818 1,223,679 0.15% -$4.52M
UDR INC 7,499,083 7,576,349 77,266 0.15% -$19.14M
JAZZ PHARMACEUTI 1,310,029 1,348,461 38,432 0.15% $32.22M
DYNATRACE INC 6,841,511 6,876,786 35,275 0.15% -$42.21M
STANLEY BLACK and DECKER INC 3,515,271 3,575,750 60,479 0.15% -$7.02M
LAMAR ADVERTISING CO CL A 1,970,968 2,004,003 33,035 0.15% $4.34M
GLOBE LIFE INC 1,806,445 1,813,275 6,830 0.15% -$295.92K
TEXAS ROADHOUSE INC 1,501,004 1,525,248 24,244 0.15% $2.71M
SERVICE CORP INTERNATIONAL INC 3,023,384 3,050,018 26,634 0.15% $15.92M
ALLY FINANCIAL INC 6,292,259 6,414,722 122,463 0.15% -$33.33M
MEDPACE HOLDINGS INC 511,386 523,537 12,151 0.15% -$35.82M
STIFEL FINANCIAL CORP 2,195,019 3,390,851 1,195,832 0.15% -$24.21M
BIOMARIN PHARMACEUTICAL INC 4,356,624 4,434,414 77,790 0.15% -$8.41M
DOMINOS PIZZA INC 689,978 697,890 7,912 0.15% -$37.20M
COEUR MINING INC 13,115,503 13,324,508 209,005 0.15% $16.25M
COCA COLA CONSOLIDATED INC 1,283,623 1,303,152 19,529 0.15% $53.09M
ASSURANT INC 1,136,454 1,145,990 9,536 0.15% -$24.11M
ADVANCED DRAINAGE SYSTEMS INC 1,764,748 1,796,128 31,380 0.15% -$9.29M
ARAMARK 5,966,427 6,060,769 94,342 0.15% $25.78M
RANGE RESOURCES CORP 5,375,985 5,427,170 51,185 0.15% $55.64M
GARTNER INC 776,952 1,543,241 766,289 0.15% $48.35M
LYONDELLBASELL-A 2,922,918 2,971,539 48,621 0.14% $112.82M
NUTANIX INC CL A 6,099,485 6,234,823 135,338 0.14% -$78.30M
GEN DIGITAL INC 6,297,713 12,568,671 6,270,958 0.14% $65.43M
BURLINGTON STORES INC 714,014 725,502 11,488 0.14% $29.82M
SAMSARA INC-CL A 7,122,565 7,433,095 310,530 0.14% -$16.94M
ONTO INNOVATION INC 1,127,932 1,145,997 18,065 0.14% $56.95M
FIRST SOLAR INC 1,156,632 1,175,309 18,677 0.14% -$70.31M
AES CORP 16,147,666 16,419,863 272,197 0.14% -$201.66K
SPX TECHNOLOGIES INC 1,130,870 1,150,043 19,173 0.14% $3.70M
APPLIED INDU TEC 855,979 860,146 4,167 0.14% $8.42M
TOPBUILD CORP 637,032 648,860 11,828 0.14% -$37.82M
EASTGROUP PROP 1,210,477 1,229,745 19,268 0.14% $11.98M
DONALDSON CO INC 2,628,581 2,670,498 41,917 0.14% -$6.40M
LEIDOS HOLDINGS INC 1,450,790 1,457,174 6,384 0.14% -$35.10M
REVVITY INC 2,569,977 2,577,862 7,885 0.14% -$22.80M
DARLING INGREDIENTS INC 3,590,591 3,647,501 56,910 0.14% $96.34M
JM SMUCKER CO/THE 2,300,343 2,336,195 35,852 0.14% $306.10K
HF SINCLAIR CORP 3,546,914 3,605,228 58,314 0.14% $61.49M
GLOBUS MEDICAL INC 2,545,427 2,596,964 51,537 0.13% $1.51M
ALLISON TRANSMISSION HLDGS INC 1,888,910 1,909,337 20,427 0.13% $38.58M
DYCOM INDUSTRIES INC 624,222 656,456 32,234 0.13% $11.50M
SOLVENTUM CORP 3,345,369 3,399,655 54,286 0.13% -$43.09M
ENCOMPASS HEALTH CORP 2,283,296 2,292,268 8,972 0.13% -$20.62M
MADRIGAL PHARMACEUTICALS INC 412,294 423,146 10,852 0.13% -$18.59M
AMERICAN FINL GROUP INC OHIO 1,608,643 1,728,662 120,019 0.13% $898.10K
TTM TECHNOLOGIES INC 2,226,514 2,265,060 38,546 0.13% $67.03M
DOCUSIGN INC 4,563,510 4,617,734 54,224 0.13% -$93.22M
BOOZ ALLEN HAMILTON HLDG CL A 2,752,696 2,780,613 27,917 0.13% -$15.25M
SAIA INC 604,623 614,959 10,336 0.13% $18.60M
FLOWSERVE CORP 2,884,715 2,934,338 49,623 0.13% $15.56M
WINTRUST FINL 1,520,009 1,551,138 31,129 0.13% $2.99M
CORE & MAIN IN-A 4,327,419 4,353,216 25,797 0.13% -$9.85M
CHART INDUSTRIES INC 1,020,128 1,036,601 16,473 0.13% $3.94M
GAMESTOP CORP CL A 9,147,838 9,297,164 149,326 0.13% $30.52M
RAMBUS INC 2,442,870 2,485,359 42,489 0.13% -$10.66M
NEWS CORP NEW CL A 4,244,177 8,532,839 4,288,662 0.13% $101.87M
OSHKOSH CORP 1,435,512 1,442,221 6,709 0.13% $31.97M
FED REALTY INVS 1,957,600 1,989,408 31,808 0.13% $13.97M
AMERICAN HOMES-A 7,145,494 7,536,175 390,681 0.13% -$18.96M
VIPER ENERGY INC A 3,823,747 4,475,678 651,931 0.13% $62.60M
TORO CO 2,220,125 2,247,811 27,686 0.13% $35.27M
AGREE REALTY CORP 2,607,736 2,767,710 159,974 0.13% $20.79M
KARMAN HOLDINGS INC 2,552,176 2,593,374 41,198 0.12% $20.86M
NATL FUEL GAS CO 2,050,404 2,191,098 140,694 0.12% $41.72M
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 3,500,258 3,558,209 57,951 0.12% $21.89M
CNH INDUSTRIAL N 18,387,372 18,599,125 211,753 0.12% $35.06M
POPULAR INC 1,513,307 1,521,765 8,458 0.12% $15.74M
BRIXMOR PROPERTY 6,945,869 7,069,572 123,703 0.12% $21.48M
OLD REPUBLIC INTL CORP 5,053,974 5,099,569 45,595 0.12% -$27.19M
WEYERHAEUSER CO 8,180,471 8,308,755 128,284 0.12% $9.19M
AMERICAN HEALTHCARE REIT INC 4,198,252 4,293,706 95,454 0.12% $4.92M
EASTMAN CHEMICAL CO 2,587,603 2,630,899 43,296 0.12% $35.62M
BUILDERS FIRSTSOURCE 2,384,091 2,422,826 38,735 0.12% -$45.83M
BAXTER INTL INC 11,665,524 11,863,107 197,583 0.12% -$23.63M
SEI INVESTMENTS 2,500,660 2,537,093 36,433 0.12% -$6.02M
ACUITY INC 694,630 707,001 12,371 0.12% -$51.98M
ZIONS BANCORP NA 3,351,379 3,409,997 58,618 0.12% $294.30K
LITTELFUSE INC 565,294 578,949 13,655 0.12% $53.49M
NORWEGIAN CRUISE 10,330,702 10,497,141 166,439 0.12% -$34.28M
CHARLES RIVER LABS INTL INC 1,116,962 1,135,096 18,134 0.12% -$27.01M
CRANE CO 1,111,029 1,130,408 19,379 0.12% -$11.61M
VAXCYTE INC 2,967,660 3,318,448 350,788 0.12% $55.91M
CUBESMART 5,173,257 5,257,692 84,435 0.12% $6.20M
ARROWHEAD PHARMACEUTICALS INC 2,927,754 3,067,312 139,558 0.12% -$2.05M
MOOG INC-CLASS A 644,878 655,507 10,629 0.12% $34.77M
ELEMENT SOLUTIONS INC 5,218,671 5,616,461 397,790 0.12% $61.33M
MURPHY USA INC 382,422 384,651 2,229 0.11% $35.69M
CULLEN FROST BANKERS INC 1,378,704 1,384,548 5,844 0.11% $15.21M
BXP INC 3,596,123 3,655,746 59,623 0.11% -$52.93M
CARETRUST REIT INC 5,066,447 5,150,883 84,436 0.11% $5.58M
BIO-TECHNE CORP 3,536,919 3,607,369 70,450 0.11% -$19.49M
MASIMO CORP 1,036,233 1,052,799 16,566 0.11% $52.49M
COGNEX CORP 3,803,890 3,820,941 17,051 0.11% $50.32M
CYTOKINETICS INC 2,774,615 2,839,773 65,158 0.11% $10.87M
COLUMBIA BANKING SYSTEMS INC 6,781,578 6,814,472 32,894 0.11% -$2.62M
MOSAIC CO/THE 7,200,752 7,318,917 118,165 0.11% $13.17M
CHORD ENERGY CORP 1,290,383 1,310,627 20,244 0.11% $66.73M
SKYWORKS SOLUTIONS INC 3,371,519 3,467,188 95,669 0.11% -$28.12M
CENTENE CORP 5,577,174 5,669,653 92,479 0.11% -$43.88M
FACTSET RESEARCH SYSTEMS INC 849,130 855,425 6,295 0.11% -$60.79M
ALEXANDRIA REAL ES EQ INC REIT 3,917,826 3,996,004 78,178 0.11% -$6.24M
CAVA GROUP INC 2,235,103 2,280,885 45,782 0.11% $53.35M
PRIMERICA INC 724,199 735,930 11,731 0.11% -$2.77M
NNN REIT INC 4,308,489 4,379,758 71,269 0.11% $13.34M
MANHATTAN ASSOCIATES INC 1,367,429 1,379,899 12,470 0.11% -$53.30M
WATTS WATER TECH INC CL A 621,939 632,345 10,406 0.11% $11.90M
WYNN RESORTS LTD 1,769,482 1,798,051 28,569 0.11% -$30.33M
TETRA TECH INC 5,919,064 6,013,680 94,616 0.11% -$17.39M
IDACORP INC 1,226,585 1,265,756 39,171 0.11% $25.73M
UGI CORP NEW 4,868,513 4,949,174 80,661 0.11% -$1.98M
HOULIHAN LOKEY I 1,237,055 1,253,375 16,320 0.11% -$35.47M
ESSEX PROPERTY TRUST INC 730,724 743,395 12,671 0.11% -$11.31M
WAYFAIR INC- A 2,304,031 2,382,580 78,549 0.11% -$52.15M
INTERDIGITAL INC 584,183 592,280 8,097 0.11% -$7.12M
OLD NATL BANCORP 7,982,879 8,086,151 103,272 0.11% $605.91K
UMB FINANCIAL CORP 1,551,518 1,579,906 28,388 0.11% -$289.03K
SITIME CORP 503,321 515,449 12,128 0.11% $242.37K
MP MATERIALS CORP 3,619,476 3,686,936 67,460 0.11% -$4.92M
VIAVI SOLUTIONS INC 5,064,041 5,335,441 271,400 0.11% $87.32M
FIRST INDUSTRIAL REALTY TRUST 3,004,242 3,055,684 51,442 0.11% $4.72M
HALOZYME THERAPEUTICS INC 2,667,923 2,721,070 53,147 0.11% -$3.69M
UNITY SOFTWARE INC 7,767,992 7,986,867 218,875 0.11% -$167.88M
REXFORD INDUSTRIAL REALTY INC 5,278,628 5,345,598 66,970 0.11% -$29.43M
FORMFACTOR INC 1,758,904 1,796,571 37,667 0.10% $76.14M
ANTERO MIDSTREAM CORP 7,565,460 7,635,657 70,197 0.10% $39.50M
PLANET LABS PBC A 2,606,226 6,224,631 3,618,405 0.10% $122.58M
CONAGRA BRANDS INC 10,852,027 11,030,256 178,229 0.10% -$14.45M
KINSALE CAPITAL GROUP INC 501,486 507,139 5,653 0.10% -$22.87M
LKQ CORP 5,806,956 5,882,995 76,039 0.10% -$2.59M
SMITH (AO) CORP 2,572,077 2,614,224 42,147 0.10% $361.42K
JACKSON FINANCIAL INC 1,541,863 1,629,804 87,941 0.10% $7.86M
SM ENERGY CO 2,603,182 5,495,783 2,892,601 0.10% $122.68M
AXIS CAPITAL 1,660,716 1,687,542 26,826 0.10% -$6.71M
WESTERN ALLIANCE BANCORP 2,372,845 2,406,725 33,880 0.10% -$28.97M
INSULET CORP 798,142 811,608 13,466 0.10% -$56.56M
FRANKLIN RESOURCES INC 7,097,206 7,205,334 108,128 0.10% $637.74K
CIRRUS LOGIC INC 1,158,140 1,176,070 17,930 0.10% $32.84M
AXSOME THERAPEUTICS INC 972,781 1,002,481 29,700 0.10% -$8.23M
PRIMORIS SVCS CORP 1,164,814 1,184,129 19,315 0.10% $24.78M
ARROW ELECTRONICS INC 1,169,300 1,177,981 8,681 0.10% $40.10M
ESCO TECHNOLOGIES INC 586,039 597,095 11,056 0.10% $53.50M
CELANESE CORP 2,485,371 2,526,495 41,124 0.10% $61.09M
MATCH GROUP INC 5,355,708 5,364,441 8,733 0.10% -$8.19M
HEALTHEQUITY INC 1,954,774 1,969,945 15,171 0.10% -$14.45M
KIRBY CORP 1,230,060 1,236,981 6,921 0.10% $28.84M
SIMPSON MFG 940,402 956,041 15,639 0.10% $12.23M
SEMTECH CORP 2,100,873 2,133,702 32,829 0.10% $9.25M
ZURN ELKAY WATER SOLUTIONS CORP 3,606,697 3,654,229 47,532 0.10% -$3.82M
INGREDION INC 1,442,422 1,451,488 9,066 0.10% $4.48M
AMERICAN AIRLINES GROUP INC 14,983,153 15,223,962 240,809 0.10% -$66.19M
RUBRIK INC-A 3,062,993 3,327,153 264,160 0.10% -$71.33M
MATADOR RESOURCES COMPANY 2,538,089 2,578,341 40,252 0.10% $55.18M

Top 300 of 1062, by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CIENA CORP 3,200,757 1,630,946 -1,569,811 0.38% -$115.38M
LUMENTUM HOLDINGS INC 1,608,815 823,177 -785,638 0.35% -$14.50M
COMFORT SYSTEMS USA INC 800,370 405,530 -394,840 0.34% -$187.76M
OMNICOM GROUP INC 7,215,541 7,155,648 -59,893 0.32% -$43.76M
COHERENT CORP 3,566,066 2,161,473 -1,404,593 0.31% -$143.30M
DUPONT DE NEMOURS INC 9,508,577 9,429,399 -79,178 0.26% $49.62M
ROCKET LAB CORP 12,120,765 6,542,025 -5,578,740 0.25% -$425.42M
BLOOM ENERGY CORP CL A 4,830,075 3,072,698 -1,757,377 0.25% -$3.37M
F5 INC 1,318,149 1,303,270 -14,879 0.23% $40.60M
FIRST CITIZENS BANCSHARES INC CL A 194,566 189,060 -5,506 0.21% -$61.26M
API GROUP CORP 8,493,293 8,456,820 -36,473 0.21% $17.72M
DECKERS OUTDOOR CORP 3,307,307 3,273,026 -34,281 0.20% -$15.27M
COOPER COS INC 4,511,415 4,499,163 -12,252 0.19% -$48.07M
CARLISLE COS INC 948,263 942,733 -5,530 0.19% $11.20M
EVEREST RE GROUP 952,611 931,318 -21,293 0.18% -$18.87M
TOLL BROTHERS INC 2,187,639 2,184,934 -2,705 0.18% $2.37M
RENAISSANCERE 1,046,281 1,002,742 -43,539 0.18% $3.87M
MASCO CORPORATION 4,713,434 4,694,970 -18,464 0.17% -$15.68M
CARLYLE GROUP INC (THE) 6,133,981 5,817,412 -316,569 0.17% -$81.08M
IONIS PHARMACEUTICALS INC 3,675,622 3,618,441 -57,181 0.16% -$19.07M
CROWN HOLDINGS INC 2,617,773 2,615,324 -2,449 0.16% -$7.37M
UNUM GROUP 3,607,321 3,587,174 -20,147 0.16% -$17.60M
BORGWARNER INC 4,855,548 4,774,080 -81,468 0.16% $40.25M
FIRST HORIZON CORP 11,175,438 11,141,992 -33,446 0.15% -$13.50M
AECOM 2,991,422 2,981,224 -10,198 0.15% -$32.30M
EXELIXIS INC 5,780,039 5,688,770 -91,269 0.15% -$9.35M
EQUITABLE HOLDINGS INC 6,502,275 6,463,779 -38,496 0.14% -$69.96M
ZEBRA TECHNOLOGIES CORP CL A 1,148,697 1,134,271 -14,426 0.14% -$41.77M
INVESCO LTD 10,100,343 9,719,398 -380,945 0.14% -$29.25M
DRAFTKINGS INC 11,295,259 10,798,838 -496,421 0.14% -$155.76M
CAMDEN PROP TR 2,414,350 2,384,449 -29,901 0.14% -$32.91M
OGE ENERGY CORP 4,756,295 4,755,921 -374 0.14% $25.00M
UNIVERSAL HLTH-B 1,190,774 1,179,298 -11,476 0.13% -$48.55M
SOUTHSTATE BANK CORP 2,281,423 2,261,256 -20,167 0.13% -$5.49M
EVERGY INC 2,607,341 2,516,248 -91,093 0.12% $17.12M
OWENS CORNING INC 1,865,416 1,853,548 -11,868 0.12% -$8.17M
IONQ INC 7,235,264 6,558,520 -676,744 0.11% -$135.56M
APTARGROUP INC 1,489,389 1,484,501 -4,888 0.11% $5.43M
VALMONT INDUSTRIES INC 446,991 427,965 -19,026 0.10% -$8.83M
BROWN FORMAN CORP NON VTG CL B 6,543,307 6,452,893 -90,414 0.10% $95.91K
SPROUTS FMRS MKT INC 2,209,664 2,180,636 -29,028 0.10% -$7.85M
RYDER SYSTEM INC 870,118 818,287 -51,831 0.10% $979.65K
HENRY SCHEIN INC 2,270,160 2,248,081 -22,079 0.10% -$5.90M
AFFIL MANAGERS 606,187 584,526 -21,661 0.10% -$13.01M
EPAM SYSTEMS INC 1,190,938 1,185,931 -5,007 0.10% -$83.42M
PROCORE TECHNOLOGIES INC 2,822,436 2,768,627 -53,809 0.09% -$47.49M
FLUOR CORP 3,659,362 3,379,494 -279,868 0.09% $12.63M
MOLSON COORS BEVERAGE CO B 3,783,434 3,643,902 -139,532 0.09% -$19.70M
AGCO CORP 1,438,671 1,335,548 -103,123 0.09% $4.67M
MGM RESORTS INTERNATIONAL 4,342,840 4,129,340 -213,500 0.09% -$5.64M
QORVO INC 2,096,290 1,923,783 -172,507 0.09% -$28.26M
AUTONATION INC 785,951 760,358 -25,593 0.09% -$13.82M
VOYA FINANCIAL INC 2,158,652 2,138,684 -19,968 0.09% -$14.68M
MAPLEBEAR INC 4,468,094 3,883,439 -584,655 0.09% -$55.50M
TKO GROUP HOLDINGS INC 1,432,737 719,064 -713,673 0.09% -$154.44M
BRINKER INTL 1,008,699 1,004,184 -4,515 0.09% -$1.40M
LEAR CORP NEW 1,177,574 1,169,660 -7,914 0.09% $6.67M
HEXCEL CORPORATION 1,806,837 1,749,305 -57,532 0.09% $8.05M
ALBERTSONS COS INC CL A 8,721,563 8,294,298 -427,265 0.08% -$8.41M
EAGLE MATERIALS INC 727,305 724,802 -2,503 0.08% -$13.01M
PLANET FITNESS INC CL A 1,882,990 1,837,650 -45,340 0.08% -$67.56M
CARMAX INC 3,329,020 3,269,584 -59,436 0.08% $7.32M
LITHIA MOTORS INC CL A 550,397 538,985 -11,412 0.08% -$48.32M
GATES INDUSTRIAL 5,862,632 5,853,243 -9,389 0.08% $6.47M
MGIC INVT CORP 5,074,556 4,956,035 -118,521 0.08% -$18.18M
PAYCOM SOFTWARE INC 1,149,280 1,063,718 -85,562 0.08% -$53.86M
KYMERA THERAPEUTICS INC 1,523,014 1,505,906 -17,108 0.08% $6.92M
ESSENT GROUP LTD 2,084,659 2,070,833 -13,826 0.07% -$14.50M
UFP INDUSTRIES INC 1,322,480 1,305,183 -17,297 0.07% -$178.35K
DAVITA INC 800,707 770,111 -30,596 0.07% $27.39M
KITE REALTY GROUP TRUST 4,914,387 4,767,222 -147,165 0.07% -$762.56K
VONTIER CORP W/I 3,292,517 3,265,276 -27,241 0.07% -$6.60M
SNAP INC - A 24,936,943 24,811,519 -125,424 0.07% -$87.11M
LANTHEUS HOLDING 1,504,676 1,489,597 -15,079 0.07% $12.85M
MATSON INC 707,395 682,964 -24,431 0.07% $24.57M
GENTEX CORP 4,970,257 4,966,330 -3,927 0.07% -$7.14M
GRAND CANYON EDUCATION INC 634,788 625,874 -8,914 0.06% $845.76K
ETSY INC 2,128,216 2,108,303 -19,913 0.06% -$12.62M
BRIGHT HORIZONS FAMILY SOLUTIONS INC 1,283,431 1,270,767 -12,664 0.06% -$25.77M
PRIMO BRANDS CORP A 5,460,454 5,454,240 -6,214 0.06% $13.42M
MATTEL INC 7,055,703 6,967,483 -88,220 0.06% -$38.75M
BOYD GAMING CORP 1,241,205 1,218,502 -22,703 0.06% -$5.66M
RESIDEO TECHNOLOGIES INC 3,057,364 2,964,420 -92,944 0.06% -$7.44M
SCIENCE APPLICATIONS INTERNATIONAL CORP 1,044,403 1,040,448 -3,955 0.06% -$6.37M
MDU RESOURCES GROUP INC 4,866,494 4,712,679 -153,815 0.06% $2.65M
LAUREATE EDUCATION INC CL A 2,842,257 2,797,581 -44,676 0.06% $1.77M
TEXAS CAPITAL BANCSHARES INC 1,035,695 1,018,415 -17,280 0.06% $2.86M
ABERCROMBIE & FI 1,068,206 1,057,353 -10,853 0.06% -$37.84M
OSI SYSTEMS INC 365,972 360,806 -5,166 0.06% $2.45M
RIOT PLATFORMS INC 8,014,544 7,715,540 -299,004 0.06% -$6.18M
TRAVEL+LEISURE CO 1,386,598 1,366,668 -19,930 0.06% -$3.24M
ASSOCIATED BANC CORP 3,765,087 3,634,500 -130,587 0.06% -$3.00M
RUSH ENTERPRISES INC CL A 1,415,342 1,412,851 -2,491 0.06% $17.06M
SLM CORP 4,375,792 4,340,379 -35,413 0.06% -$25.48M
POST HOLDINGS INC 1,005,678 939,848 -65,830 0.06% -$6.70M
ITRON INC 1,039,201 1,036,146 -3,055 0.06% -$3.63M
CROCS INC 1,119,108 1,100,268 -18,840 0.05% -$4.36M
MERITAGE HOMES CORP 1,517,823 1,462,495 -55,328 0.05% -$9.43M
COVISTA INC 782,809 755,506 -27,303 0.05% $6.07M
UNITED COMMUNITY BANKS GA 2,757,793 2,757,426 -367 0.05% $733.05K
TRI POINTE HOMES INC 1,850,072 1,849,522 -550 0.05% $28.21M
GROUP 1 AUTOMOTIVE INC 286,569 261,205 -25,364 0.05% -$26.35M
WESTLAKE CORP 872,488 737,369 -135,119 0.05% $21.63M
FRONTDOOR INC 1,636,191 1,628,276 -7,915 0.05% -$8.32M
MORNINGSTAR INC 513,222 501,995 -11,227 0.05% -$26.67M
EPR PROPERTIES 1,727,325 1,675,836 -51,489 0.05% -$2.47M
STRIDE INC 944,659 932,684 -11,975 0.05% $20.90M
WSFS FINANCIAL CORP 1,239,908 1,231,129 -8,779 0.05% $12.10M
CCC INTELLIGENT SOLUTIONS HOLD CL A 13,842,071 13,297,718 -544,353 0.05% -$30.26M
DROPBOX INC CL A 3,938,563 3,438,315 -500,248 0.05% -$31.37M
BANKUNITED INC 1,704,353 1,697,635 -6,718 0.05% $702.18K
PVH CORP 1,091,443 1,055,972 -35,471 0.04% $516.10K
BREAD FINANCIAL HOLDINGS 983,877 943,580 -40,297 0.04% -$2.17M
INTEGER HOLDINGS CORP 794,375 792,465 -1,910 0.04% $7.43M
DIODES INC 1,051,191 1,004,759 -46,432 0.04% $16.72M
DOXIMITY INC-A 2,961,426 2,929,881 -31,545 0.04% -$62.87M
MARATHON DIGITAL HOLDINGS INC 8,579,929 8,283,359 -296,570 0.04% -$9.46M
FIRST INTST BANCSYST INC CL A 1,984,423 1,981,186 -3,237 0.04% -$2.49M
KB HOME 1,248,675 1,239,664 -9,011 0.04% -$6.29M
BOISE CASCADE CO 839,967 824,431 -15,536 0.04% $711.52K
ARCHER AVIATION INC A 12,562,035 12,027,908 -534,127 0.04% -$32.28M
INGEVITY CORP 814,744 814,626 -118 0.03% $9.81M
EURONET WORLDWIDE INC 905,827 862,448 -43,379 0.03% -$11.70M
HAWAIIAN ELECTRIC INDS INC 3,909,728 3,785,437 -124,291 0.03% $8.09M
HILTON GRAND VACATIONS INC 1,454,700 1,409,451 -45,249 0.03% -$9.96M
BOK FINL CORP 501,826 419,953 -81,873 0.03% -$5.67M
HARLEY-DAVIDSON INC 2,677,836 2,576,965 -100,871 0.03% -$2.76M
ABM INDUSTRIES INC 1,388,014 1,349,215 -38,799 0.03% -$6.74M
HURON CONSULTING GROUP INC 390,993 390,830 -163 0.03% -$17.78M
GEO GROUP INC/TH 2,995,847 2,939,776 -56,071 0.03% $1.12M
DXC TECHNOLOGY CO 3,947,605 3,909,746 -37,859 0.03% -$8.69M
VERRA MOBILITY CORP 3,438,102 3,310,887 -127,215 0.03% -$29.74M
GLOBAL NET LEASE INC 4,982,224 4,934,184 -48,040 0.03% $3.34M
HUB GROUP INC CL A 1,304,467 1,256,946 -47,521 0.03% -$10.28M
SHIFT4 PAYMENTS INC 1,456,259 1,016,408 -439,851 0.03% -$47.25M
ZILLOW GROUP INC CL A 1,066,386 1,061,826 -4,560 0.03% -$28.81M
BELLRING BRANDS INC 2,714,449 2,708,597 -5,852 0.03% -$28.98M
LEVI STRAUSS and COMPANY CL A 2,335,931 2,270,342 -65,589 0.03% -$6.47M
PEDIATRIX MEDICAL GROUP INC 1,951,562 1,913,219 -38,343 0.02% -$820.16K
BLACKBAUD INC 1,084,717 1,057,397 -27,320 0.02% -$27.86M
KAISER ALUMINUM 349,888 336,254 -13,634 0.02% $333.83K
CORECIVIC INC 2,250,111 2,138,131 -111,980 0.02% -$2.57M
OFG BANCORP 995,385 992,406 -2,979 0.02% -$638.13K
BOSTON BEER COMPANY CL A 175,713 173,779 -1,934 0.02% $5.75M
VICTORY CAPITAL HOLDINGS INC CL A 627,183 590,337 -36,846 0.02% -$913.71K
MAGNITE INC 3,255,365 3,159,623 -95,742 0.02% -$15.30M
GREIF INC-CL A 596,501 547,488 -49,013 0.02% -$3.66M
ZIFF DAVIS INC 897,763 868,068 -29,695 0.02% $4.87M
S & T BANCORP 868,623 862,352 -6,271 0.02% $1.89M
FLOWERS FOODS INC 4,560,970 4,388,420 -172,550 0.02% -$13.86M
MARQETA INC CL A 8,762,396 8,635,672 -126,724 0.02% -$6.39M
ASGN INC 918,815 904,858 -13,957 0.02% -$9.23M
M/I HOMES INC 282,253 282,173 -80 0.02% -$1.56M
PITNEY-BOWES INC 3,291,250 3,113,259 -177,991 0.02% -$387.00K
INSPIRE MEDICAL SYSTEMS INC 658,797 658,756 -41 0.02% -$26.78M
INTAPP INC 1,300,050 1,297,701 -2,349 0.02% -$26.23M
ECOVYST INC 2,591,240 2,579,326 -11,914 0.02% $7.96M
ENCORE CAPITAL G 481,509 469,093 -12,416 0.02% $6.72M
HILLTOP HOLDINGS 975,600 891,383 -84,217 0.02% -$1.18M
ZOOMINFO TECHNOLOGIES INC 5,650,304 5,286,475 -363,829 0.02% -$25.85M
XENIA HOTELS & R 2,154,524 2,125,699 -28,825 0.02% $1.06M
PAYONEER GLOBAL INC 6,867,036 6,363,875 -503,161 0.02% -$7.86M
GORMAN-RUPP CO 508,278 485,686 -22,592 0.02% $5.91M
COLUMBIA SPORTSWEAR CO 551,078 543,499 -7,579 0.02% -$569.71K
CBIZ INC 1,171,647 1,097,670 -73,977 0.02% -$29.64M
PACS GROUP INC 1,067,763 903,114 -164,649 0.02% -$11.98M
CIMPRESS PLC 392,480 392,377 -103 0.02% $2.51M
TRIPADVISOR INC 2,656,904 2,650,379 -6,525 0.02% -$10.43M
ADAPTHEALTH CORP 2,462,171 2,354,821 -107,350 0.02% $3.50M
J & J SNACK FOOD 351,716 351,165 -551 0.02% -$3.95M
SIMPLY GOOD FOODS CO 2,034,798 1,923,274 -111,524 0.02% -$13.26M
ARBOR REALTY TRUST INC 3,725,251 3,562,785 -162,466 0.02% -$1.44M
DELUXE CORP 1,022,863 988,819 -34,044 0.02% $4.39M
WORLD KINECT CORP 1,199,471 1,124,907 -74,564 0.02% -$2.15M
FIVE9 INC 1,688,685 1,677,830 -10,855 0.02% -$8.41M
PROGRESS SOFTWARE CORP 974,780 971,409 -3,371 0.01% -$16.96M
LADDER CAPITAL CORP CL A 2,604,153 2,497,877 -106,276 0.01% -$4.22M
RLJ LODGING TRUST 3,261,892 3,141,046 -120,846 0.01% -$994.53K
LEGALZOOMCOM INC 3,827,199 3,795,349 -31,850 0.01% -$16.48M
COGENT COMMUNICATIONS HOLDINGS INC 1,116,326 1,099,230 -17,096 0.01% -$3.36M
SONIC AUTOMOTIVE INC CL A 327,111 296,953 -30,158 0.01% $126.98K
APPIAN CORP CL A 922,611 842,318 -80,293 0.01% -$12.37M
PACIRA BIOSCIENCES INC 928,800 889,628 -39,172 0.01% -$3.93M
EMPLOYERS HOLDINGS INC 510,861 470,830 -40,031 0.01% -$2.68M
UNITED PARKS & R 619,896 568,141 -51,755 0.01% -$3.95M
JBG SMITH PROPERTIES 1,344,932 1,228,073 -116,859 0.01% -$4.94M
SCANSOURCE INC 473,736 468,622 -5,114 0.01% -$1.49M
SPRINKLR INC-A 2,751,149 2,670,623 -80,526 0.01% -$5.38M
APOGEE ENTERPRISES INC 488,881 469,083 -19,798 0.01% -$2.07M
MARCUS & MILLICH 530,709 527,700 -3,009 0.01% -$451.51K
NAVIENT CORP 1,440,324 1,419,142 -21,182 0.01% -$7.12M
DREAM FINDERS HOMES INC 676,661 626,180 -50,481 0.01% -$2.85M
BRIGHTSPIRE CAPITAL INC 2,800,811 1,476,347 -1,324,464 0.00% -$7.42M
OPKO HEALTH INC 6,978,399 6,969,226 -9,173 0.00% -$847.87K
FRANKLIN BSP REALTY TRUST INC 1,854,612 929,373 -925,239 0.00% -$10.71M
APARTMENT INVEST 3,110,492 1,571,119 -1,539,373 0.00% -$12.08M
PAGERDUTY INC 1,981,437 1,000,796 -980,641 0.00% -$19.76M
AMC ENTERTAINMENT HLDS CL A 11,656,993 6,078,718 -5,578,275 0.00% -$12.23M
SWEETGREEN INC CL A 2,177,845 1,100,014 -1,077,831 0.00% -$9.01M
CANNAE HOLDINGS INC 951,993 480,872 -471,121 0.00% -$9.51M
FORWARD AIR CORP 337,299 286,903 -50,396 0.00% -$3.64M
RAPID7 INC 1,413,700 718,688 -695,012 0.00% -$17.53M
OPTIMUM COMMUNICATIONS INC A 5,837,050 2,969,086 -2,867,964 0.00% -$5.77M
WORLD ACCEPTANCE CORP 57,292 28,339 -28,953 0.00% -$4.22M
NERDWALLET INC-A 885,766 362,621 -523,145 0.00% -$8.24M
CRICUT INC- A 1,028,771 977,945 -50,826 0.00% -$1.43M
YEXT INC 2,240,528 916,277 -1,324,251 0.00% -$14.54M
ALIGHT INC-CL A 9,504,317 4,812,931 -4,691,386 0.00% -$15.73M
PETCO HEALTH AND WELLNESS CO INC 1,653,149 977,968 -675,181 0.00% -$1.93M
LUCKY STRIKE ENTERTAINMENT CORPORATION A 276,519 272,649 -3,870 0.00% -$73.68K
GOODRX HOLDINGS INC 2,157,280 1,121,974 -1,035,306 0.00% -$3.65M
ELME COMMUNITIES 2,003,502 1,012,572 -990,930 0.00% -$32.83M
GEMINI SPACE STATION INC 333,434 168,423 -165,011 0.00% -$2.56M
FERMI INC 136,866 27,373 -109,493 0.00% -$935.07K
GETTY IMAGES HOLDINGS INC 1,417,243 91,889 -1,325,354 0.00% -$1.83M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PFIZER INC - CVR (NOV 25) 59 59 0 0.00% $0
PIVOTAL SOFTWARE INC - TempLine 2,049,947 2,049,947 0 0.00% $0
OMNIAB INC - 12.5 EARNOUT 156,690 156,690 0 0.00% $0
OMNIAB INC - 15.00 EARNOUT 156,690 156,690 0 0.00% $0

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