VTMSX
VANGUARD TAX-MANAGED SMALL-CAP FUND
VANGUARD TAX-MANAGED FUNDS
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.

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
ARGAN INC 0 80,714 80,714 0.46% $43.96M
MOLINA HEALTHCARE INC 0 307,782 307,782 0.43% $41.03M
MATCH GROUP INC 0 1,333,249 1,333,249 0.42% $40.94M
PAYCOM SOFTWARE INC 0 288,128 288,128 0.36% $35.02M
PIPER SANDLER CO 0 438,364 438,364 0.35% $33.56M
VERSANT MEDIA GROUP INC - A 0 905,115 905,115 0.35% $33.51M
LAMB WESTON HOLDINGS INC 0 757,068 757,068 0.33% $31.99M
RITHM CAPITAL CORP 0 3,209,920 3,209,920 0.32% $30.43M
LYFT INC-A 0 2,284,329 2,284,329 0.32% $30.38M
VSE CORP 0 157,710 157,710 0.30% $29.08M
LAUREATE EDUCATION INC CL A 0 737,163 737,163 0.27% $25.68M
INDIVIOR PHARMACEUTICALS INC 0 751,723 751,723 0.24% $22.91M
APELLIS PHARMACEUTICALS INC 0 566,113 566,113 0.24% $22.77M
LIFE TIME GROUP HOLDINGS INC 0 777,948 777,948 0.22% $20.96M
LIFE360 INC 0 480,052 480,052 0.20% $19.60M
ADT INC 0 2,604,001 2,604,001 0.18% $17.11M
SPHERE ENTERTAINMENT CO 0 142,510 142,510 0.17% $16.73M
RINGCENTRAL INC CL A 0 447,005 447,005 0.17% $16.62M
OneSpaWorld Holdings Ltd. COM USD0.0001 0 498,775 498,775 0.12% $11.45M
VITA COCO CO INC/THE 0 188,730 188,730 0.09% $9.04M
AMNEAL PHARM INC 0 722,603 722,603 0.09% $8.98M
SIX FLAGS ENTERTAINMENT CORP 0 493,998 493,998 0.09% $8.77M
ASGN INC 0 218,256 218,256 0.09% $8.45M
KEMPER CORP 0 275,321 275,321 0.09% $8.41M
FMC CORP NEW 0 441,109 441,109 0.08% $7.60M
ZOOMINFO TECHNOLOGIES INC 0 1,229,620 1,229,620 0.08% $7.35M
MERCHANTS BANCORP 0 117,459 117,459 0.05% $5.04M
NAPCO SECURITY TECHNOLOGIES INC 0 116,600 116,600 0.05% $4.59M
WINMARK CORP 0 10,231 10,231 0.05% $4.37M
CLEARWAY ENERGY INC 0 96,986 96,986 0.04% $3.80M
LEGALZOOMCOM INC 0 555,789 555,789 0.03% $3.15M
EDGEWELL PERSONAL CARE CO 0 59,563 59,563 0.01% $1.27M
UNITED PARKS & R 0 23,759 23,759 0.01% $775.97K
UNDER ARMOUR INC CL C 0 54,491 54,491 0.00% $315.50K
GOGO INC 0 64,172 64,172 0.00% $257.97K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ARROWHEAD PHARMACEUTICALS INC 900,529 0 -900,529 0.00% -$59.79M
INTERDIGITAL INC 168,351 0 -168,351 0.00% -$53.60M
ADV ENERGY INDS 251,942 0 -251,942 0.00% -$52.75M
SITIME CORP 136,011 0 -136,011 0.00% -$48.04M
SOLSTICE ADV MAT 972,365 0 -972,365 0.00% -$47.24M
CARETRUST REIT INC 1,305,891 0 -1,305,891 0.00% -$47.22M
MOOG INC-CLASS A 189,931 0 -189,931 0.00% -$46.26M
TTM TECHNOLOGIES INC 668,063 0 -668,063 0.00% -$46.10M
PIPER SANDLER COS 109,591 0 -109,591 0.00% -$37.23M
INDIVIOR PLC 751,723 0 -751,723 0.00% -$26.97M
TEGNA INC 1,073,656 0 -1,073,656 0.00% -$20.84M
VICOR CORPORATION 148,113 0 -148,113 0.00% -$16.23M
HILLENBRAND INC 446,695 0 -446,695 0.00% -$14.17M
DYNAVAX TECHNOLOGIES CORP 831,766 0 -831,766 0.00% -$12.79M
ALEXANDER & BALD 466,507 0 -466,507 0.00% -$9.63M
ELME COMMUNITIES 484,413 0 -484,413 0.00% -$8.43M
TREEHOUSE FOODS INC 230,972 0 -230,972 0.00% -$5.45M
CARS.COM INC 364,735 0 -364,735 0.00% -$4.45M
ARMADA HOFFLER PROPERTIES INC 638,064 0 -638,064 0.00% -$4.22M
MYRIAD GENETICS INC 665,149 0 -665,149 0.00% -$4.09M
SUNCOKE ENERGY INC 528,621 0 -528,621 0.00% -$3.81M
BLOOMIN BRANDS INC 596,744 0 -596,744 0.00% -$3.68M
ANGI INC 282,151 0 -282,151 0.00% -$3.65M
GUESS? INC 217,586 0 -217,586 0.00% -$3.64M
DAVE & BUSTER'S 209,896 0 -209,896 0.00% -$3.40M
SUMMIT HOTEL PROPERTIES INC 641,617 0 -641,617 0.00% -$3.12M
KKR REAL ESTATE FINANCE TRUST INC 266,888 0 -266,888 0.00% -$2.19M
DREAM FINDERS HOMES INC 115,157 0 -115,157 0.00% -$1.97M
CORSAIR GAMING INC 19,268 0 -19,268 0.00% -$114.45K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
EASTMAN CHEMICAL CO 745,857 783,601 37,744 0.62% $12.20M
CELANESE CORP 732,775 751,531 18,756 0.51% $18.45M
LKQ CORP 1,418,867 1,606,680 187,813 0.49% $4.34M
DIGITALOCEAN HOLDINGS INC 435,143 483,666 48,523 0.43% $20.55M
NOBLE CORP PLC 794,099 819,044 24,945 0.42% $17.77M
SM ENERGY CO 778,033 1,250,799 472,766 0.40% $24.45M
QORVO INC 473,634 479,014 5,380 0.38% -$2.95M
STONEX GROUP INC 288,126 432,189 144,063 0.36% $7.45M
ENPHASE ENERGY INC 835,527 855,401 19,874 0.34% $5.56M
BRIGHTSPRING HEALTH SERVICES INC 667,980 745,708 77,728 0.33% $6.76M
KODIAK GAS SERVICES INC 456,470 528,902 72,432 0.32% $13.77M
LIBERTY ENERGY INC CL A 993,586 1,035,073 41,487 0.31% $11.47M
MOHAWK INDUSTRIES INC 251,027 302,280 51,253 0.31% $2.33M
PATTERSON-UTI ENERGY INC 2,439,784 2,586,310 146,526 0.29% $13.10M
CHEMOURS CO/ THE 1,110,834 1,255,099 144,265 0.29% $14.55M
CAL-MAINE FOODS INC 294,283 300,748 6,465 0.25% $388.11K
CRESCENT ENERGY INC A 1,181,778 1,638,985 457,207 0.23% $12.21M
NORTHERN OIL AND GAS INC 657,474 702,273 44,799 0.21% $6.41M
IRIDIUM COMMUNICATIONS INC 587,219 716,657 129,438 0.21% $9.67M
WESTERN UNION CO 2,074,964 2,249,433 174,469 0.20% $319.64K
KADANT INC 54,639 66,443 11,804 0.20% $3.85M
POWER INTEGRATIONS INC 282,889 373,054 90,165 0.20% $9.05M
FRESHPET INC 296,168 315,167 18,999 0.19% $536.73K
SL GREEN REALTY CORP REIT 475,065 476,365 1,300 0.18% -$4.19M
WAYSTAR HOLDING CORP 704,514 726,105 21,591 0.18% -$5.57M
IMPINJ INC 165,002 165,102 100 0.18% -$11.76M
ACADIA HEALTHCARE CO INC 638,692 715,290 76,598 0.17% $7.67M
RXO INC 1,051,178 1,110,066 58,888 0.17% $2.94M
SAREPTA THERAPEUTICS INC 660,628 699,514 38,886 0.16% $1.00M
HAWAIIAN ELECTRIC INDS INC 882,821 972,886 90,065 0.15% $3.58M
VISHAY INTERTECHNOLOGY INC 728,709 800,455 71,746 0.15% $3.85M
Vanguard Market Liquidity Fund 25,983 136,506 110,522 0.14% $11.05M
KINETIK HOLDINGS INC 201,259 273,123 71,864 0.14% $5.97M
ARMOUR RESIDENTIAL REIT INC 614,263 786,866 172,603 0.14% $2.26M
INSIGHT ENTERPRISES INC 187,829 192,333 4,504 0.13% -$2.41M
NOW INC 1,008,292 1,061,439 53,147 0.13% -$718.13K
ICHOR HOLDINGS L 230,738 267,831 37,093 0.13% $8.23M
MANPOWERGROUP INC 329,508 422,714 93,206 0.13% $2.66M
ACM RESEARCH INC-CLASS A 298,572 312,715 14,143 0.13% $526.67K
MARRIOTT VACATIONS WORLD 104,122 187,017 82,895 0.13% $6.17M
HNI CORP 326,199 348,549 22,350 0.12% -$2.08M
UNITI GROUP INC 1,114,282 1,203,217 88,935 0.12% $3.48M
PERRIGO CO PLC 764,737 1,042,191 277,454 0.12% $547.99K
UNDER ARMOUR INC CL A 1,268,612 1,854,266 585,654 0.11% $4.65M
WALKER & DUNLOP 225,131 236,824 11,693 0.11% -$3.03M
SJW GROUP 133,024 170,225 37,201 0.10% $3.47M
CARTERS INC 157,016 278,407 121,391 0.10% $4.86M
LGI HOMES INC 152,763 240,152 87,389 0.10% $2.93M
WENDY'S CO/THE 1,193,175 1,283,312 90,137 0.09% -$1.02M
TWO HBRS INVT CORP 432,917 780,943 348,026 0.09% $4.37M
OMNICELL INC 235,201 259,982 24,781 0.09% -$1.98M
SONOS INC 588,866 618,588 29,722 0.09% -$2.05M
CONMED CORP 213,181 229,664 16,483 0.08% -$534.23K
DOUBLEVERIFY HOLDINGS INC 546,196 848,122 301,926 0.08% $1.81M
UPBOUND GROUP INC 362,632 424,047 61,415 0.08% $1.29M
ASTRANA HEALTH INC 255,754 303,692 47,938 0.08% $1.10M
INSPERITY INC 183,520 272,355 88,835 0.08% $258.58K
PENNYMAC MORTGAGE INV TRUST 592,804 618,231 25,427 0.07% -$231.12K
REDWOOD TRUST INC REIT 1,039,786 1,274,197 234,411 0.07% $1.40M
ADAPTHEALTH CORP 532,202 596,140 63,938 0.07% $1.79M
ARBOR REALTY TRUST INC 426,883 866,564 439,681 0.07% $3.37M
SEZZLE INC 91,785 104,350 12,565 0.07% $778.26K
VESTIS CORP 501,512 809,024 307,512 0.07% $3.01M
QUANEX BUILDING PRODUCTS 241,310 350,322 109,012 0.07% $2.58M
ATLAS ENERGY SOLUTIONS INC 235,919 465,947 230,028 0.06% $3.89M
VIR BIOTECHNOLOGY INC 320,354 677,373 357,019 0.06% $4.14M
KENNEDY-WILSON HOLDINGS INC 312,938 560,776 247,838 0.06% $3.04M
OXFORD INDUSTRIES 111,330 153,903 42,573 0.06% $2.12M
CRACKER BARREL OLD CTRY ST INC 77,108 208,620 131,512 0.06% $3.91M
PACIRA BIOSCIENCES INC 186,779 253,547 66,768 0.06% $896.32K
ORGANON & CO 880,749 913,473 32,724 0.06% -$843.27K
TOOTSIE ROLL INDUSTRIES INC 116,136 119,620 3,484 0.05% $856.11K
FOX FACTORY HOLDING CORP 115,817 306,381 190,564 0.05% $3.06M
PROASSURANCE CORPORATION 185,544 203,451 17,907 0.05% $546.57K
EASTERLY GOVERNMENT PROPERTIES INC 206,922 220,645 13,723 0.05% $343.75K
CORE LABORATORIES INC 266,099 271,152 5,053 0.05% $287.08K
MARCUS & MILLICH 159,946 168,410 8,464 0.05% $113.10K
SUN COUNTRY HOLD 57,614 260,822 203,208 0.04% $3.48M
SAFEHOLD INC 260,093 308,851 48,758 0.04% $618.08K
EAGLE BANCRP INC 96,801 148,404 51,603 0.04% $1.62M
VITAL FARMS INC 208,357 245,829 37,472 0.04% -$3.18M
CYTEK BIOSCIENCES INC 504,213 770,470 266,257 0.03% $820.68K
AVANOS MEDICAL INC 169,844 230,982 61,138 0.03% $1.33M
MIDDLESEX WATER CO 50,677 60,713 10,036 0.03% $604.98K
ETHAN ALLEN INTERIORS INC 136,504 140,595 4,091 0.03% $11.89K
MONRO INC 169,721 194,499 24,778 0.03% -$281.44K
SPRINKLR INC-A 77,530 497,856 420,326 0.03% $2.38M
SABRE CORP 1,499,550 2,039,907 540,357 0.03% $918.48K
SHUTTERSTOCK INC 151,333 167,887 16,554 0.03% -$101.86K
CERTARA INC 399,921 478,098 78,177 0.03% -$798.15K
GRID DYNAMICS HOLDINGS INC 201,614 276,073 74,459 0.02% -$246.96K
MISTER CAR WASH INC 53,317 210,906 157,589 0.02% $1.17M
AMERISAFE INC 26,235 33,573 7,338 0.01% $111.30K
US ULTRA BOND CBT Sep25 112 184 72 0.00% $516.14K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ESCO TECHNOLOGIES INC 170,775 163,778 -6,997 0.48% $12.71M
SANMINA CORP 358,805 345,347 -13,458 0.46% -$9.08M
BRINKER INTL 290,150 275,432 -14,718 0.41% -$2.32M
PLEXUS CORP 182,805 169,407 -13,398 0.36% $7.44M
POWELL INDUSTRIES INC 63,749 59,898 -3,851 0.34% $12.09M
AMERIS BANCORP 468,400 406,130 -62,270 0.33% -$3.11M
BOOT BARN HOLDINGS INC 202,412 192,393 -10,019 0.29% -$7.56M
MDU RESOURCES GROUP INC 1,411,858 1,292,589 -119,269 0.28% -$777.02K
MERITAGE HOMES CORP 510,092 422,476 -87,616 0.27% -$7.44M
OSI SYSTEMS INC 104,015 97,932 -6,083 0.27% -$528.14K
COVISTA INC 238,947 218,254 -20,693 0.26% $429.93K
TRI POINTE HOMES INC 583,646 534,294 -49,352 0.26% $6.60M
GROUP 1 AUTOMOTIVE INC 82,942 74,613 -8,329 0.26% -$7.95M
DANA INC 840,632 710,236 -130,396 0.25% $3.93M
CAVCO INDUSTRIES INC 52,881 49,084 -3,797 0.25% -$7.47M
SERVISFIRST BANCSHARES INC 357,464 317,835 -39,629 0.24% -$2.51M
UNIFIRST CORP/MA 97,695 91,838 -5,857 0.24% $4.26M
BRADY CORPORATION CL A 298,729 275,985 -22,744 0.23% -$990.37K
SIGNET JEWELERS 287,222 257,309 -29,913 0.23% -$2.03M
KULICKE and SOFFA INDUSTRIES INC 368,898 330,930 -37,968 0.23% $4.94M
URBAN OUTFITTERS 371,610 340,309 -31,301 0.22% -$6.41M
ENOVA INTL INC 177,819 156,316 -21,503 0.22% -$6.72M
BANKUNITED INC 536,840 468,882 -67,958 0.22% -$2.75M
FIRST BANCORP PUERTO RICO 1,182,601 983,975 -198,626 0.22% -$3.50M
BREAD FINANCIAL HOLDINGS 317,591 278,906 -38,685 0.22% -$2.62M
KORN FERRY 355,974 330,094 -25,880 0.22% -$2.72M
STANDEX INTL CORP 83,396 76,646 -6,750 0.20% $1.41M
MATERION CORP 140,568 131,144 -9,424 0.20% $1.49M
TIDEWATER INC 241,068 226,877 -14,191 0.20% $6.78M
MARATHON DIGITAL HOLDINGS INC 2,418,796 2,252,756 -166,040 0.19% -$3.34M
AXCELIS TECHNOLOGIES INC 222,207 194,154 -28,053 0.19% $219.74K
NMI HOLDINGS INC A 534,341 480,866 -53,475 0.19% -$3.76M
GRIFFON CORP 268,856 247,445 -21,411 0.19% -$1.82M
PRESTIGE CONSUMER HEALTHCARE INC 335,088 299,256 -35,832 0.18% -$2.93M
WD-40 CO 93,241 85,295 -7,946 0.18% -$964.09K
SOLAREDGE TECHNOLOGIES INC 367,287 337,801 -29,486 0.18% $6.65M
Q2 HOLDINGS INC 379,725 359,217 -20,508 0.18% -$10.41M
ADVANCE AUTO PARTS INC 387,441 316,014 -71,427 0.17% $1.44M
AMERICAN EAGLE OUTFITTERS INC 1,123,433 997,044 -126,389 0.17% -$12.97M
PHINIA INC 268,773 239,790 -28,983 0.17% -$438.15K
WILLSCOT MOBILE MINI HOLDINGS CORP 1,059,025 880,872 -178,153 0.16% -$4.65M
PHOTRONICS INC 432,337 373,549 -58,788 0.16% $1.26M
BANCORP INC/THE 322,056 267,873 -54,183 0.15% -$7.35M
ARCBEST CORP 156,119 141,352 -14,767 0.14% $2.32M
SIMMONS FIRST -A 874,266 659,637 -214,629 0.13% -$3.65M
EPLUS INC 180,496 165,358 -15,138 0.13% -$3.39M
PATHWARD FINANCIAL INC 175,236 137,648 -37,588 0.13% -$159.42K
CORECIVIC INC 722,294 632,771 -89,523 0.12% -$1.84M
ROBERT HALF INTL 514,143 449,669 -64,474 0.12% -$2.54M
OFG BANCORP 341,834 273,571 -68,263 0.11% -$2.94M
AGILYSYS INC 161,026 149,813 -11,213 0.11% -$8.48M
WISDOMTREE INVESTMENTS INC 799,496 726,654 -72,842 0.11% $834.23K
DXC TECHNOLOGY CO 1,164,311 809,197 -355,114 0.11% -$6.89M
QUAKER HOUGHTON 87,856 77,856 -10,000 0.10% -$2.39M
CENTURY COMMUNITIES INC 202,697 159,839 -42,858 0.10% -$2.86M
ALPHA METALLURGICAL RESOURCES INC 70,023 42,874 -27,149 0.09% -$5.20M
UPWORK INC 866,805 752,676 -114,129 0.09% -$8.93M
ZIFF DAVIS INC 249,335 189,913 -59,422 0.08% -$795.38K
QUIDELORTHO CORP 459,180 436,998 -22,182 0.07% -$5.93M
LAKELAND FINL 154,671 109,327 -45,344 0.07% -$2.55M
COGENT COMMUNICATIONS HOLDINGS INC 358,258 320,723 -37,535 0.06% -$1.68M
STEPAN CO 133,959 112,072 -21,887 0.06% -$742.94K
PAYONEER GLOBAL INC 1,809,583 1,147,560 -662,023 0.06% -$4.63M
O-I GLASS INC 1,013,773 508,843 -504,930 0.06% -$9.62M
SIMPLY GOOD FOODS CO 573,318 352,212 -221,106 0.05% -$6.46M
INNOVATIVE INDUS 198,083 97,012 -101,071 0.05% -$4.52M
NEWELL BRANDS INC 2,197,787 1,417,433 -780,354 0.05% -$3.31M
XENCOR INC 479,022 391,755 -87,267 0.05% -$2.61M
PAPA JOHNS INTL INC 211,405 136,586 -74,819 0.05% -$3.71M
FORTREA HOLDINGS INC 611,849 437,335 -174,514 0.04% -$6.43M
INSPIRE MEDICAL SYSTEMS INC 161,804 68,801 -93,003 0.04% -$11.37M
TRUPANION INC 142,056 138,568 -3,488 0.04% -$1.76M
ENERGIZER HOLDIN 434,118 215,263 -218,855 0.04% -$5.10M
PRA GROUP INC 269,653 193,547 -76,106 0.04% -$1.38M
NCR VOYIX CORP 959,811 516,227 -443,584 0.03% -$6.52M
CAPITOL FED FINL (2ND STEP CV) 358,334 353,634 -4,700 0.03% $81.16K
SCHRODINGER INC 352,205 196,829 -155,376 0.02% -$4.06M
GROCERY OUTLET HOLDING CORP 662,074 280,281 -381,793 0.02% -$4.71M
FRANKLIN BSP REALTY TRUST INC 471,631 197,254 -274,377 0.02% -$3.06M
CABLE ONE INC 22,497 14,010 -8,487 0.01% -$1.26M
EXP WORLD HOLDINGS INC 628,593 184,940 -443,653 0.01% -$4.58M
EMBECTA CORP 284,727 118,676 -166,051 0.01% -$2.33M
ALPHA & OMEGA SE 51,446 41,047 -10,399 0.01% -$109.54K
INTEGRA LIFESCIENCES HLDS CORP 238,625 91,874 -146,751 0.01% -$2.10M
N-ABLE INC 341,110 137,164 -203,946 0.01% -$1.91M
NAVIENT CORP 374,090 37,752 -336,338 0.00% -$4.55M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
FORMFACTOR INC 526,276 526,276 0 0.53% $21.69M
ELEMENT SOLUTIONS INC 1,425,504 1,425,504 0 0.51% $13.04M
VIAVI SOLUTIONS INC 1,427,207 1,427,207 0 0.49% $22.06M
ARMSTRONG WORLD INDUSTRIES INC 277,977 277,977 0 0.48% -$7.31M
AIR LEASE CORP CL A 681,765 681,765 0 0.46% $484.05K
PRIMORIS SVCS CORP 308,734 308,734 0 0.46% $5.84M
LUMEN TECHNOLOGIES INC 6,350,139 6,350,139 0 0.46% -$5.21M
FED SIGNAL CORP 406,322 406,322 0 0.46% -$182.84K
JACKSON FINANCIAL INC 412,293 412,293 0 0.45% -$383.43K
SEMTECH CORP 561,810 561,810 0 0.45% $1.80M
KRYSTAL BIOTECH INC 164,144 164,144 0 0.44% $1.93M
PROTAGONIST THERAPEUTICS INC 400,021 400,021 0 0.44% $7.22M
JOHN BEAN TECHNOLOGIES CORP 319,596 319,596 0 0.42% -$7.29M
TERRENO REALTY CORP 660,048 660,048 0 0.42% $1.79M
INSTALLED BUILDING PRODUCTS INC 152,850 152,850 0 0.42% $880.42K
ZURN ELKAY WATER SOLUTIONS CORP 900,775 900,775 0 0.42% -$1.49M
ARCHROCK INC 1,160,381 1,160,381 0 0.42% $10.19M
SEALED AIR CORP 960,054 960,054 0 0.42% $595.23K
GLAUKOS CORP 373,062 373,062 0 0.42% -$1.96M
LINCOLN NATL CRP 1,123,728 1,123,728 0 0.41% -$10.15M
CARMAX INC 957,809 957,809 0 0.41% $2.82M
EVERUS CONSTRUCTION GROUP INC 332,471 332,471 0 0.41% $10.81M
MAGNOLIA OIL and GAS CORPO CL A 1,236,456 1,236,456 0 0.41% $11.97M
MARKETAXESS HLDGS INC 236,057 236,057 0 0.40% -$3.84M
VIASAT INC 839,203 839,203 0 0.40% $9.52M
ALKERMES PLC 1,075,769 1,075,769 0 0.39% $7.94M
ESSENTIAL PROPERTIES REALTY TRUST INC 1,244,816 1,244,816 0 0.39% $871.37K
RYMAN HOSPITALITY PPTYS INC 398,926 398,926 0 0.38% -$937.48K
CAESARS ENTERTAINMENT INC 1,353,271 1,353,271 0 0.37% $4.11M
BALCHEM CORP 211,028 211,028 0 0.37% $3.40M
ENPRO INDUSTRIES INC 142,255 142,255 0 0.37% $5.20M
MADISON SQUARE GARDEN SPORTS CORP 110,192 110,192 0 0.37% $6.91M
MATSON INC 215,299 215,299 0 0.37% $8.70M
TELEFLEX INC 292,869 292,869 0 0.36% -$711.67K
PTC THERAPEUTICS INC 511,087 511,087 0 0.36% -$4.00M
CORE NATURAL RESOURCES INC 328,885 328,885 0 0.36% $5.33M
ARCOSA INC 324,312 324,312 0 0.36% -$58.38K
ETSY INC 687,199 687,199 0 0.36% -$3.75M
GATES INDUSTRIAL 1,515,943 1,515,943 0 0.36% $1.73M
WARRIOR MET COAL INC 354,068 354,068 0 0.34% $1.76M
RESIDEO TECHNOLOGIES INC 974,019 974,019 0 0.34% -$1.37M
CALIFORNIA RESOU 463,747 463,747 0 0.33% $11.37M
ATLANTIC UNION B 890,813 890,813 0 0.33% $391.96K
GRANITE CONSTRUCTION INC 264,868 264,868 0 0.33% $1.20M
PHILLIPS EDISON and CO INC 841,838 841,838 0 0.33% $1.56M
AXOS FINANCIAL INC 369,440 369,440 0 0.33% -$395.30K
RADIAN GROUP INC 949,916 949,916 0 0.33% -$2.76M
MACERICH COMPANY 1,629,000 1,629,000 0 0.32% $716.76K
RALLIANT CORP 728,313 728,313 0 0.31% -$6.79M
BADGER METER INC 195,183 195,183 0 0.31% -$4.31M
CLEAR SECURE INC 606,651 606,651 0 0.30% $8.09M
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 796,113 796,113 0 0.30% $4.24M
TG THERAPEUTICS INC 879,130 879,130 0 0.30% $3.00M
MYR GROUP INC/DELAWARE 103,352 103,352 0 0.30% $6.60M
CASELLA WASTE SYS INC CL A 357,767 357,767 0 0.29% -$6.65M
CSW INDUSTRI INC 108,364 108,364 0 0.29% -$3.57M
ACI WORLDWIDE INC 688,532 688,532 0 0.29% -$4.68M
MIRION TECHNOLOGIES INC-A 1,498,059 1,498,059 0 0.29% -$7.24M
MUELLER WATER PRODUCTS INC A 1,005,971 1,005,971 0 0.29% $3.69M
AAR CORP 251,827 251,827 0 0.29% $6.72M
TELEPHONE & DATA 654,674 654,674 0 0.29% $720.14K
MERIT MEDICAL SYSTEMS INC 397,984 397,984 0 0.28% -$7.65M
MILLROSE PROPERTIES INC 976,176 976,176 0 0.28% -$1.83M
SKYLINE CHAMPION CORP 364,777 364,777 0 0.28% -$3.70M
TANGER INC- REIT 790,287 790,287 0 0.28% $482.08K
CLEARWAY ENERGY INC CL C 683,004 683,004 0 0.28% $4.12M
ASSURED GUARANTY 329,115 329,115 0 0.28% -$2.76M
ITRON INC 298,362 298,362 0 0.28% -$963.71K
MOELIS & CO-CL A 464,092 464,092 0 0.27% -$5.45M
AMENTUM HOLDINGS INC 996,603 996,603 0 0.27% -$2.91M
RUSH ENTERPRISES INC CL A 391,879 391,879 0 0.27% $4.77M
PEABODY ENERGY CORP 779,466 779,466 0 0.27% $2.53M
FRONTDOOR INC 485,789 485,789 0 0.27% -$2.35M
ASBURY AUTOMOTIVE GROUP INC 131,203 131,203 0 0.27% -$4.87M
FRANKLIN ELECTRIC CO. INC. 277,905 277,905 0 0.27% -$933.76K
PATRICK INDUSTRIES INC 230,181 230,181 0 0.27% $607.68K
STRIDE INC 283,496 283,496 0 0.26% $6.59M
LIGAND PHARMACEUTICALS 125,112 125,112 0 0.26% $1.32M
OCEANEERING INTL 702,934 702,934 0 0.26% $8.04M
ACADEMY SPORTS and OUTDOORS INC 441,071 441,071 0 0.26% $2.86M
SKYWEST INC 270,691 270,691 0 0.26% -$2.32M
CORCEPT THERAPEUTICS INC 615,785 615,785 0 0.26% $3.39M
OTTER TAIL CORPORATION 281,486 281,486 0 0.26% $1.96M
RADNET INC 441,035 441,035 0 0.26% -$6.82M
WSFS FINANCIAL CORP 372,600 372,600 0 0.25% $3.81M
AZZ INC 194,532 194,532 0 0.25% $3.49M
FULTON FINANCIAL CORP 1,196,367 1,196,367 0 0.25% $1.21M
CATHAY GENERAL BANCORP 487,382 487,382 0 0.25% $716.45K
PRICESMART INC 161,063 161,063 0 0.25% $4.48M
MERCURY SYSTEMS INC 330,758 330,758 0 0.25% -$33.08K
SENSIENT TECHNOLOGIES CORP 278,033 278,033 0 0.25% -$2.09M
OUTFRONT MEDIA INC 906,363 906,363 0 0.25% $2.18M
VICTORIA'S SECRET and CO 516,616 516,616 0 0.25% -$4.03M
HELMERICH & PAYN 663,466 663,466 0 0.25% $4.88M
VIRTU FINANCIAL INC- CL A 542,562 542,562 0 0.25% $5.78M
BGC GROUP INC-A 2,431,199 2,431,199 0 0.25% $2.07M
UNITED COMMUNITY BANKS GA 753,035 753,035 0 0.25% $203.32K
SHAKE SHACK INC - CLASS A 266,313 266,313 0 0.24% $1.94M
GENWORTH FINANCIAL INC A 2,859,784 2,859,784 0 0.24% -$2.60M
KONTOOR BRANDS INC 329,797 329,797 0 0.24% $3.03M
M/I HOMES INC 183,326 183,326 0 0.23% -$1.01M
HB FULLER CO 363,290 363,290 0 0.23% $806.50K
BOX INC- CLASS A 933,226 933,226 0 0.23% -$5.85M
PAR PACIFIC HOLDINGS INC 346,626 346,626 0 0.23% $9.53M
NCR ATLEOS CORP 495,752 495,752 0 0.22% $2.71M
INDEPENDENT BANK CORP MASS 286,871 286,871 0 0.22% $611.04K
TRANSMEDICS GROUP INC 215,800 215,800 0 0.22% -$4.80M
BLACKSTONE MORTGAGE TR CL A 1,114,667 1,114,667 0 0.22% $22.29K
RENASANT CORP 590,229 590,229 0 0.22% $537.11K
FIRST HAWAIIAN INC 862,891 862,891 0 0.22% -$569.51K
STEPSTONE GROUP INC CLASS A 443,206 443,206 0 0.22% -$7.29M
DIODES INC 309,016 309,016 0 0.22% $5.85M
PJT PARTNERS INC 150,465 150,465 0 0.22% -$4.13M
CACTUS INC CL A 441,292 441,292 0 0.22% $745.78K
ICU MEDICAL INC 161,143 161,143 0 0.22% -$2.18M
INTEGER HOLDINGS CORP 235,014 235,014 0 0.21% $2.25M
CENTURY ALUMINUM COMPANY 351,684 351,684 0 0.21% $6.86M
PALOMAR HOLDINGS 171,305 171,305 0 0.21% -$2.61M
SUNRUN INC 1,509,271 1,509,271 0 0.21% -$7.30M
CALIF WATER SRVC 447,840 447,840 0 0.21% $900.16K
OPENLANE INC 692,264 692,264 0 0.21% -$436.13K
LCI INDUSTRIES 163,944 163,944 0 0.21% $268.87K
AVISTA CORP 498,195 498,195 0 0.21% $797.11K
HAWKINS INC 130,140 130,140 0 0.21% $1.50M
FIRST INTST BANCSYST INC CL A 587,612 587,612 0 0.20% -$705.13K
CINEMARK HOLDINGS INC 682,213 682,213 0 0.20% $3.60M
SUPERNUS PHARMACEUTICALS INC 375,471 375,471 0 0.20% $747.19K
CARGURUS INC CL A 565,241 565,241 0 0.20% -$2.43M
COMMUNITY FINANCIAL SYSTEM INC 328,057 328,057 0 0.20% $396.95K
CUSHMAN & WAKEFI 1,569,053 1,569,053 0 0.20% -$6.17M
ULTRA CLEAN HOLDINGS INC 308,303 308,303 0 0.20% $11.36M
CHESAPEAKE UTILITIES CORP 151,565 151,565 0 0.20% $244.02K
INTERNATIONAL SE 262,202 262,202 0 0.20% $6.38M
BOISE CASCADE CO 248,430 248,430 0 0.20% $558.97K
AMER STATES WATE 247,989 247,989 0 0.19% $778.69K
DORMAN PRODUCTS INC 179,597 179,597 0 0.19% -$3.38M
CATALYST PHARMACEUTICALS INC 746,249 746,249 0 0.19% $1.06M
CALIX NETWORKS INC 375,581 375,581 0 0.19% -$1.48M
MGE ENERGY INC 237,478 237,478 0 0.19% -$268.35K
MEDICAL PROPERTI 3,931,087 3,931,087 0 0.19% -$1.45M
BANK OF HAWAII 244,440 244,440 0 0.19% $1.44M
UNITED NATURAL FOODS INC 401,172 401,172 0 0.19% $4.57M
ACADIA PHARMACEUTICALS INC 812,021 812,021 0 0.19% -$3.61M
IAC INC 444,929 444,929 0 0.18% $413.78K
LXP INDUSTRIAL TRUST REIT 379,213 379,213 0 0.18% -$1.26M
TRUSTMARK CORP 410,870 410,870 0 0.18% $1.31M
URBAN EDGE PROPERTIES 857,583 857,583 0 0.18% $677.49K
ADEIA INC 710,677 710,677 0 0.18% $4.82M
CHEESECAKE FACTORY INC 311,672 311,672 0 0.18% $1.33M
WASHINGTON FEDERAL INC 538,891 538,891 0 0.18% -$339.50K
VICTORY CAPITAL HOLDINGS INC CL A 258,374 258,374 0 0.18% $617.51K
APPLE HOSPITALITY REIT INC 1,469,432 1,469,432 0 0.18% -$499.61K
TRINITY INDUSTRIES INC 524,842 524,842 0 0.18% $3.01M
PROVIDENT FINANCIAL SVCS INC 796,036 796,036 0 0.17% $1.12M
ST JOE COMPANY 268,170 268,170 0 0.17% $919.82K
INGEVITY CORP 235,996 235,996 0 0.17% $2.84M
KENNAMETAL INC 459,342 459,342 0 0.17% $3.55M
ACUSHNET HOLDINGS CORP 176,034 176,034 0 0.17% $2.40M
VERACYTE INC 508,317 508,317 0 0.17% -$5.03M
PARK NATL CORP 99,956 99,956 0 0.17% $1.13M
FIRST BANCORP/NC 287,867 287,867 0 0.17% $1.60M
STEVEN MADDEN LTD 474,680 474,680 0 0.17% -$3.66M
TERADATA CORP 624,072 624,072 0 0.17% -$3.00M
SEACOAST BANKING CORP FLORIDA 524,962 524,962 0 0.17% -$593.21K
CURBLINE PROPERTIES CORP 614,178 614,178 0 0.16% $1.58M
FIRST FIN BANCRP 566,421 566,421 0 0.16% $1.62M
MERCURY GENERAL CORP 179,041 179,041 0 0.16% -$1.06M
ABM INDUSTRIES INC 409,591 409,591 0 0.16% -$1.55M
CLEANSPARK INC 1,852,114 1,852,114 0 0.16% -$2.98M
CONCENTRA GROUP HOLDINGS PARENT INC 726,934 726,934 0 0.16% $1.29M
PERDOCEO EDUCATION CORP 418,436 418,436 0 0.16% $3.30M
ARTISAN PARTNERS ASSET MANAGEMENT INC A 427,839 427,839 0 0.16% -$1.86M
CVB FINANCIAL CORP 802,485 802,485 0 0.16% $633.96K
ACADIA RLTY TR REIT 812,706 812,706 0 0.16% -$1.15M
ANDERSONS INC 216,199 216,199 0 0.16% $4.02M
GEO GROUP INC/TH 916,550 916,550 0 0.16% $632.42K
HIGHWOODS PROPERTIES INC 719,523 719,523 0 0.16% -$3.17M
BANC OF CALIFORNIA INC 872,895 872,895 0 0.16% -$1.49M
VERRA MOBILITY CORP 1,068,849 1,068,849 0 0.16% -$8.68M
LEMAITRE VASCULAR INC 139,597 139,597 0 0.16% $3.92M
MINERALS TECHNOLOGIES INC 213,260 213,260 0 0.16% $2.13M
HUB GROUP INC CL A 417,575 417,575 0 0.16% -$2.74M
PENN ENTERTAINMENT INC 997,614 997,614 0 0.16% $279.33K
BERKSHIRE HILLS BANCORP INC 498,512 498,512 0 0.16% $1.81M
CUSTOMERS BANCORP INC 213,887 213,887 0 0.15% -$793.52K
FOUR CORNERS PRO 625,086 625,086 0 0.15% $368.80K
CSG SYSTEMS INTL INC 184,304 184,304 0 0.15% $598.99K
KNOWLES CORP 573,530 573,530 0 0.15% $2.44M
PRIVIA HEALTH GROUP INC 699,681 699,681 0 0.15% -$2.20M
SPS COMMERCE INC 257,583 257,583 0 0.15% -$8.62M
NBT BANCORP INC 332,798 332,798 0 0.15% $352.77K
HAYWARD HOLDINGS INC 1,058,216 1,058,216 0 0.15% -$2.19M
CHEFS WAREHOUSE INC 238,062 238,062 0 0.15% -$685.62K
NEOGEN CORP 1,520,568 1,520,568 0 0.15% $3.50M
ADMA BIOLOGICS INC 1,565,647 1,565,647 0 0.15% -$14.45M
BANNER CORPORATI 231,628 231,628 0 0.15% -$458.62K
RED ROCK RESORTS INC 262,977 262,977 0 0.15% -$2.26M
BANCFIRST CORP 129,051 129,051 0 0.15% $320.05K
ALARM.COM HOLDINGS INC 319,762 319,762 0 0.14% -$2.50M
EXTREME NETWORKS INC 910,232 910,232 0 0.14% -$1.43M
ENERPAC TOOL GROUP CORP CL A 368,205 368,205 0 0.14% -$651.72K
FB FINANCIAL CORP 256,788 256,788 0 0.14% -$991.20K
BENCHMARK ELECTRONICS INC 237,736 237,736 0 0.14% $3.16M
GLOBAL NET LEASE INC 1,420,350 1,420,350 0 0.14% $1.08M
TOPGOLF CALLAWAY BRANDS CORP 955,909 955,909 0 0.14% $2.11M
SIRIUSPOINT LTD 614,359 614,359 0 0.14% -$215.03K
STRATEGIC EDUCATION INC 159,307 159,307 0 0.14% $439.69K
VEECO INSTRUMENT 382,054 382,054 0 0.13% $2.02M
CITY HOLDING CO 107,567 107,567 0 0.13% $34.42K
FIRST COMMONWEALTH FINL CORP 717,767 717,767 0 0.13% $516.79K
GREEN BRICK PARTNERS INC 194,980 194,980 0 0.13% $349.01K
DIAMONDROCK HOSPITALITY CO 1,335,812 1,335,812 0 0.13% $547.68K
NATIONAL VISION HOLDINGS INC 483,261 483,261 0 0.13% $38.66K
NATL HEALTHCARE 78,191 78,191 0 0.13% $1.77M
EVERTEC INC 442,134 442,134 0 0.13% -$384.66K
COMSTOCK RESOURCES INC 590,975 590,975 0 0.13% -$1.24M
BLACKLINE INC 333,428 333,428 0 0.13% -$6.10M
INNOSPEC INC 166,911 166,911 0 0.13% -$587.53K
TALOS ENERGY INC 770,662 770,662 0 0.13% $3.65M
DIGI INTL INC 250,836 250,836 0 0.13% $1.23M
SELECT MEDICAL HLDGS CORP 739,065 739,065 0 0.12% $1.06M
STEWART INFO SVC 194,263 194,263 0 0.12% -$1.69M
CENTRAL GARDEN and PET CO CL A 368,480 368,480 0 0.12% $1.19M
WERNER ENTERPRISES INC 403,102 403,102 0 0.12% -$241.86K
ROGERS CORP 110,104 110,104 0 0.12% $1.74M
ALAMO GROUP INC 71,597 71,597 0 0.12% -$207.63K
SUNSTONE HOTEL INVS INC 1,307,201 1,307,201 0 0.12% $91.50K
KAISER ALUMINUM 97,286 97,286 0 0.12% $549.67K
PEDIATRIX MEDICAL GROUP INC 542,433 542,433 0 0.12% $0
Adient PLC ORD SHS 565,784 565,784 0 0.12% $588.42K
ENCORE CAPITAL G 162,945 162,945 0 0.12% $2.57M
LIVERAMP HOLDINGS INC 429,298 429,298 0 0.12% -$1.22M
PITNEY-BOWES INC 1,026,368 1,026,368 0 0.12% $492.66K
GREENBRIER COS 214,811 214,811 0 0.12% $1.27M
STELLAR BANCORP INC 307,763 307,763 0 0.12% $1.75M
INTERPARFUMS INC 123,871 123,871 0 0.12% $744.46K
NORTHWEST NATURAL HOLDING CO 210,613 210,613 0 0.12% $1.36M
HORACE MANN EDUCATORS CORP 262,452 262,452 0 0.12% -$918.58K
VERIS RESIDENTIAL INC 593,082 593,082 0 0.12% $2.37M
DXP ENTERPRISES INC 80,042 80,042 0 0.12% $2.40M
ADDUS HOMECARE CORP 118,535 118,535 0 0.12% -$1.63M
DOUGLAS EMMETT INC REIT 1,149,214 1,149,214 0 0.11% -$1.80M
YELP INC 436,545 436,545 0 0.11% -$2.47M
HARSCO CORP 549,849 549,849 0 0.11% $934.74K
S & T BANCORP 257,608 257,608 0 0.11% $638.87K
LTC PROPERTIES INC REIT 289,165 289,165 0 0.11% $803.88K
ALBANY INTL CORP 204,509 204,509 0 0.11% $308.81K
WILEY JOHN&SON-A 277,872 277,872 0 0.11% $2.08M
COHEN & STEERS 169,012 169,012 0 0.11% -$38.87K
A10 NETWORKS INC 456,820 456,820 0 0.11% $2.48M
BRIGHTSPHERE INVESTMENT GROUP INC 192,766 192,766 0 0.11% $1.43M
ARCUS BIOSCIENCES INC 483,501 483,501 0 0.11% -$1.08M
WORTHINGTON INDUSTRIES INC 199,913 199,913 0 0.11% $113.95K
PEBBLEBROOK HOTEL TRUST 816,022 816,022 0 0.11% $1.07M
XENIA HOTELS & R 694,775 694,775 0 0.11% $479.39K
NATIONAL-CL A 262,693 262,693 0 0.11% $302.10K
CORVEL CORP 184,886 184,886 0 0.10% -$2.41M
VERICEL CORP 312,865 312,865 0 0.10% -$1.20M
GETTY REALTY CORP 314,029 314,029 0 0.10% $1.39M
CTS CORP 207,114 207,114 0 0.10% $1.01M
NORTHWEST BANCSHARES INC 776,352 776,352 0 0.10% $535.68K
SYLVAMO CORP 230,748 230,748 0 0.10% -$1.36M
TRIUMPH FINANCIAL INC 163,065 163,065 0 0.10% -$484.30K
UFP TECHNOLOGIES INC 50,228 50,228 0 0.10% -$1.43M
HILLTOP HOLDINGS 269,508 269,508 0 0.10% $506.68K
APOLLO COMMERCIA 900,658 900,658 0 0.10% $792.58K
ARLO TECHNOLOGIES INC 666,914 666,914 0 0.10% $160.06K
NETSCOUT SYSTEMS INC 298,330 298,330 0 0.10% $1.41M
INTERFACE INC 377,005 377,005 0 0.10% -$1.13M
INNOVIVA INC 403,080 403,080 0 0.10% $1.33M
ARTIVION INC 256,182 256,182 0 0.10% -$2.30M
KOHLS CORP 723,319 723,319 0 0.10% -$5.43M
HELIX ENERGY SOL GRP INC 943,032 943,032 0 0.10% $3.41M
J & J SNACK FOOD 117,408 117,408 0 0.10% -$1.30M
COHU INC 301,910 301,910 0 0.10% $2.22M
JETBLUE AIRWAYS CORP 2,085,937 2,085,937 0 0.10% -$271.17K
EZCORP INC CL A NON VTG 357,957 357,957 0 0.09% $2.13M
REX AMERICAN RESOURCES CORP 198,312 198,312 0 0.09% $2.63M
HCI GROUP INC 58,423 58,423 0 0.09% -$2.17M
MAXLINEAR INC 513,051 513,051 0 0.09% -$20.52K
PROTO LABS INC 155,606 155,606 0 0.09% $1.00M
LINDSAY CORP 74,254 74,254 0 0.09% $89.10K
JBG SMITH PROPERTIES 601,996 601,996 0 0.09% -$1.44M
HEALTHCARE SERVS 472,243 472,243 0 0.09% -$269.18K
LA-Z-BOY INC 272,482 272,482 0 0.09% -$1.40M
ANI PHARMACEUTICALS INC 113,708 113,708 0 0.09% -$231.96K
TANDEM DIABETES CARE INC 454,971 454,971 0 0.09% -$1.28M
FRESH DEL MONTE 215,228 215,228 0 0.09% $996.51K
SALLY BEAUTY HOL 621,945 621,945 0 0.09% -$255.00K
PROGYNY INC 505,624 505,624 0 0.09% -$4.40M
WOLVERINE WORLD WIDE INC 522,871 522,871 0 0.09% -$956.85K
UNIVERSAL CORP 161,699 161,699 0 0.09% -$8.08K
WESTAMERICA BANCORPORATION 162,776 162,776 0 0.09% $703.19K
LEGGETT & PLATT 857,424 857,424 0 0.09% -$960.31K
TENNANT CO 126,911 126,911 0 0.09% -$926.45K
Dorian LPG Ltd. COM USD0.01 244,190 244,190 0 0.09% $2.41M
DONNELLEY FINANCIAL SOLUTIONS INC 174,770 174,770 0 0.09% $78.65K
DIME COMMUNITY BANCSHARES INC 242,164 242,164 0 0.08% $903.27K
CVR ENERGY INC 242,548 242,548 0 0.08% $1.99M
GIBRALTAR INDUSTRIES INC 203,668 203,668 0 0.08% -$1.95M

Top 300 of 390, by weight.

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