VTWO
VANGUARD RUSSELL 2000 INDEX FUND
VANGUARD SCOTTSDALE 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.

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
INDIVIOR PHARMACEUTICALS INC 0 600,981 600,981 0.13% $19.66M
CUSHMAN & WAKEFI 0 1,147,379 1,147,379 0.10% $15.39M
USA RARE EARTH INC A 0 436,233 436,233 0.05% $8.24M
DEFINIUM THERAPEUTICS INC 0 466,300 466,300 0.05% $8.14M
WEBULL CORP 0 1,353,027 1,353,027 0.05% $7.86M
LB PHARMACEUTICALS INC 0 95,518 95,518 0.01% $2.29M
HUDSON PACIFIC PROPERTIES INC 0 264,025 264,025 0.01% $1.91M
NEXXEN INTERNATIONAL LTD 0 169,757 169,757 0.01% $1.09M
COMMERCIAL BANCGROUP INC 0 34,083 34,083 0.01% $886.50K
ATRIUM THERAPEUTICS INC 0 57,344 57,344 0.01% $845.82K
FORGENT POWER SOLUTIONS INC 0 17,265 17,265 0.00% $593.74K
STRIVE INC-A 0 68,606 68,606 0.00% $544.73K
RITHM PROPERTY TRUST INC 0 34,626 34,626 0.00% $504.15K
FALCON'S BEYOND GLOBAL INC CL A 0 71,919 71,919 0.00% $466.04K
INNVENTURE INC 0 134,483 134,483 0.00% $381.93K
LUMEXA IMAGING H 0 19,490 19,490 0.00% $275.59K
ANDERSEN GROUP-A 0 11,697 11,697 0.00% $270.79K
EQUIPMENTSHARE-A 0 7,991 7,991 0.00% $231.90K
ONCE UPON A FARM 0 7,898 7,898 0.00% $183.31K
VERADERMICS INC 0 3,959 3,959 0.00% $181.52K
EIKON THERAPEUTICS INC 0 11,872 11,872 0.00% $163.60K
SOLV ENERGY IN-A 0 4,627 4,627 0.00% $145.84K
ETHOS TECHNOLOGI 0 7,922 7,922 0.00% $97.84K
BOB'S DISCOUNT F 0 4,604 4,604 0.00% $97.79K
SPYGLASS PHARMA 0 3,259 3,259 0.00% $91.25K
YORK SPACE SYSTE 0 3,445 3,445 0.00% $88.19K
AKTIS ONCOLOGY I 0 3,954 3,954 0.00% $79.59K
ARKO PETROLEUM C 0 3,954 3,954 0.00% $75.17K
BITGO HOLDINGS-A 0 5,930 5,930 0.00% $58.35K
FOLD HOLDINGS INC 0 30,397 30,397 0.00% $45.29K
PICARD MEDICAL INC 0 24,299 24,299 0.00% $26.24K
Empire Petroleum Corp. 0 69,211 69,211 0.00% $2.04K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CADENCE BANK 917,055 0 -917,055 0.00% -$36.54M
AVIDITY BIOSCIENCES 500,657 0 -500,657 0.00% -$35.90M
INDIVIOR PLC 595,572 0 -595,572 0.00% -$20.01M
ALLETE INC 287,219 0 -287,219 0.00% -$19.42M
CUSHMAN & WAKEFI 1,137,389 0 -1,137,389 0.00% -$19.05M
AKERO THERAPEUTICS INC 343,165 0 -343,165 0.00% -$18.65M
CIDARA THERAPEUTICS INC 75,939 0 -75,939 0.00% -$16.70M
POTLATCHDELTIC CORP REIT 384,937 0 -384,937 0.00% -$15.49M
REV GROUP INC 238,365 0 -238,365 0.00% -$12.70M
HANESBRANDS INC 1,726,619 0 -1,726,619 0.00% -$11.17M
HILLENBRAND INC 346,915 0 -346,915 0.00% -$11.05M
AVADEL PHARMACEU 438,660 0 -438,660 0.00% -$9.43M
ANYWHERE REAL ESTATE INC 517,845 0 -517,845 0.00% -$7.38M
STEELCASE INC CLASS A 411,940 0 -411,940 0.00% -$6.71M
PARAMOUNT GROUP INC 916,876 0 -916,876 0.00% -$6.04M
HEIDRICK & STRUG 100,535 0 -100,535 0.00% -$5.92M
TREEHOUSE FOODS INC 247,088 0 -247,088 0.00% -$5.90M
DYNAVAX TECHNOLOGIES CORP 506,456 0 -506,456 0.00% -$5.76M
PROS HOLDINGS IN 214,694 0 -214,694 0.00% -$4.99M
MIND MEDICINE MINDMED INC 369,538 0 -369,538 0.00% -$4.67M
JAMF HOLDING CORP 354,006 0 -354,006 0.00% -$4.58M
PLYMOUTH INDUSTR 201,460 0 -201,460 0.00% -$4.42M
INTEGRAL AD SCIENCE HOLDING CORP 373,755 0 -373,755 0.00% -$3.84M
ODP CORP/THE 135,412 0 -135,412 0.00% -$3.79M
HUDSON PACIFIC PROPERTIES INC 1,826,187 0 -1,826,187 0.00% -$3.62M
MIDWESTONE FINANCIAL GRP INC 80,585 0 -80,585 0.00% -$3.19M
Aspen Insurance Holdings Ltd., Class A 75,762 0 -75,762 0.00% -$2.81M
VITAL ENERGY INC 146,287 0 -146,287 0.00% -$2.62M
ASTRIA THERAPEUTICS INC 180,345 0 -180,345 0.00% -$2.28M
OLYMPIC STEEL INC 48,683 0 -48,683 0.00% -$1.89M
DENNYS CORP 248,144 0 -248,144 0.00% -$1.53M
CITY OFFICE REIT INC 191,555 0 -191,555 0.00% -$1.30M
WIDEOPENWEST INC 247,417 0 -247,417 0.00% -$1.28M
SEMLER SCIENTIFIC INC 58,833 0 -58,833 0.00% -$1.28M
BERRY PETROLEUM CORP 376,804 0 -376,804 0.00% -$1.28M
NEXXEN INTERNATIONAL LTD COMMON STOCK 184,867 0 -184,867 0.00% -$1.20M
TILE SHOP HLDGS INC 142,212 0 -142,212 0.00% -$922.96K
FIRST SAVINGS FINANCIAL GRP 27,239 0 -27,239 0.00% -$848.77K
TRUECAR INC 388,765 0 -388,765 0.00% -$828.07K
BILLIONTOONE INC 5,472 0 -5,472 0.00% -$712.34K
BANKFINANCIAL CORP 54,832 0 -54,832 0.00% -$644.82K
RITHM PROPERTY TRUST INC 191,954 0 -191,954 0.00% -$514.44K
NETSKOPE INC-A 25,452 0 -25,452 0.00% -$467.81K
FERMI INC 26,350 0 -26,350 0.00% -$434.51K
FIGURE TECHNOLOGY SOLUTIONS INC A 10,228 0 -10,228 0.00% -$370.66K
AFC GAMMA INC 89,636 0 -89,636 0.00% -$261.74K
SYNCHRONOSS TECHNOLOGIES INC 50,714 0 -50,714 0.00% -$245.96K
WATERBRIDGE IN-A 10,202 0 -10,202 0.00% -$232.61K
STUBHUB HOLDINGS INC A 17,861 0 -17,861 0.00% -$209.51K
TRILLER GROUP INC 502,533 0 -502,533 0.00% -$204.03K
LUMINAR TECHNOLOGIES INC 217,550 0 -217,550 0.00% -$197.17K
PATTERN GROUP INC 10,175 0 -10,175 0.00% -$147.94K
NEPTUNE INSURANCE HOLDINGS INC 4,533 0 -4,533 0.00% -$105.71K
GEMINI SPACE STATION INC 5,097 0 -5,097 0.00% -$56.07K
SEVEN HILLS REALTY TRUST RT 12/04/25 70,593 0 -70,593 0.00% -$1.98K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
BLOOM ENERGY CORP CL A 1,054,527 1,083,763 29,236 1.10% $53.51M
FABRINET 177,467 179,082 1,615 0.63% $16.18M
COEUR MINING INC 3,145,485 3,174,112 28,627 0.56% $31.85M
CREDO TECHNOLOGY 727,633 760,471 32,838 0.55% -$43.85M
HECLA MINING CO 2,947,190 3,151,175 203,985 0.51% $28.92M
ECHOSTAR CORP CL A 666,134 672,184 6,050 0.50% $28.84M
NEXTRACKER INC CL A 716,770 723,292 6,522 0.49% $10.35M
KRATOS DEFENSE and SEC SOLTN INC 819,049 826,511 7,462 0.46% $8.90M
IONQ INC 1,358,196 1,677,365 319,169 0.42% -$2.60M
STERLING INFRASTRUCTURE INC 146,556 147,889 1,333 0.41% $12.86M
ADV ENERGY INDS 185,188 186,883 1,695 0.41% $23.60M
ENSIGN GROUP INC 275,897 278,437 2,540 0.39% $8.44M
MODINE MFG CO 257,451 259,786 2,335 0.38% $17.30M
DYCOM INDUSTRIES INC 137,697 138,951 1,254 0.38% $8.58M
GUARDANT HEALTH INC 586,443 602,065 15,622 0.37% -$7.05M
SPX TECHNOLOGIES INC 236,880 239,049 2,169 0.35% $3.31M
RAMBUS INC 530,068 534,888 4,820 0.35% $2.65M
TTM TECHNOLOGIES INC 494,638 507,434 12,796 0.34% $18.18M
BRIDGEBIO PHARMA INC 767,709 786,269 18,560 0.34% -$3.01M
AEROVIRONMENT INC 156,795 187,489 30,694 0.31% $3.48M
INTERDIGITAL INC 127,247 128,407 1,160 0.31% $1.54M
MOOG INC-CLASS A 138,181 139,452 1,271 0.31% $15.32M
CHART INDUSTRIES INC 222,174 224,218 2,044 0.30% $1.17M
CARETRUST REIT INC 1,046,836 1,114,331 67,495 0.29% $5.98M
WATTS WATER TECH INC CL A 134,892 136,152 1,260 0.29% $7.54M
AMERICAN HEALTHCARE REIT INC 781,972 838,287 56,315 0.28% $4.08M
SITIME CORP 104,740 106,804 2,064 0.28% $11.31M
UMB FINANCIAL CORP 356,933 360,231 3,298 0.27% $2.10M
ARROWHEAD PHARMACEUTICALS INC 592,299 657,446 65,147 0.27% $10.38M
PRAXIS PRECISION MEDICINES INC 101,468 121,782 20,314 0.27% $21.08M
PRIMORIS SVCS CORP 265,815 268,237 2,422 0.26% $6.79M
SANMINA CORP 256,712 259,047 2,335 0.26% $130.21K
OLD NATL BANCORP 1,720,420 1,736,196 15,776 0.26% $2.72M
JOHN BEAN TECHNOLOGIES CORP 256,613 258,950 2,337 0.26% $3.82M
MADRIGAL PHARMACEUTICALS INC 91,327 92,156 829 0.26% -$14.71M
SEMTECH CORP 428,248 432,134 3,886 0.25% $7.23M
TEREX CORP 316,793 555,538 238,745 0.25% $23.58M
FORMFACTOR INC 382,657 386,110 3,453 0.25% $17.12M
VAXCYTE INC 562,147 615,571 53,424 0.25% $10.12M
ZURN ELKAY WATER SOLUTIONS CORP 738,275 745,131 6,856 0.25% $2.77M
FIRSTCASH HOLDINGS INC 194,607 196,385 1,778 0.25% $7.03M
URANIUM ENERGY CORP 2,090,547 2,365,797 275,250 0.24% $10.62M
CYTOKINETICS INC 573,552 578,745 5,193 0.23% -$3.07M
ESCO TECHNOLOGIES INC 127,700 128,862 1,162 0.23% $8.54M
FED SIGNAL CORP 295,062 297,762 2,700 0.23% $1.03M
OKLO INC 533,928 538,791 4,863 0.22% -$14.87M
KRYSTAL BIOTECH INC 121,737 122,827 1,090 0.22% $7.32M
LUMEN TECHNOLOGIES INC 4,685,722 4,728,209 42,487 0.22% -$4.38M
TERRENO REALTY CORP 502,419 506,979 4,560 0.22% $1.94M
ESSENTIAL PROPERTIES REALTY TRUST INC 975,906 984,893 8,987 0.22% $2.53M
GLAUKOS CORP 274,549 277,025 2,476 0.22% $4.17M
AXSOME THERAPEUTICS INC 198,696 203,265 4,569 0.22% $3.21M
SILICON LABS 158,485 161,600 3,115 0.21% $12.83M
GATX CORP 176,341 177,978 1,637 0.21% $4.58M
VIAVI SOLUTIONS INC 1,087,157 1,097,230 10,073 0.21% $13.10M
BRINKER INTL 217,488 219,473 1,985 0.21% -$921.58K
SSR MINING INC 1,000,264 1,009,337 9,073 0.21% $9.20M
HEALTHEQUITY INC 419,110 422,937 3,827 0.21% -$11.73M
CLEARWATER ANALYTICS HOLDINGS INC 1,211,842 1,383,072 171,230 0.21% $5.62M
APPLIED DIGITAL CORP 1,052,307 1,178,283 125,976 0.21% $3.61M
ORMAT TECHNOLOGIES INC 300,020 302,731 2,711 0.20% -$2.48M
CONSTRUCTION PARTNERS INC CL A 230,541 232,634 2,093 0.20% $6.13M
D-WAVE QUANTUM INC 1,517,514 1,659,385 141,871 0.20% -$3.24M
COMPASS INC - A 2,294,840 3,182,460 887,620 0.20% $7.12M
STONEX GROUP INC 225,619 242,839 17,220 0.20% $10.52M
VALLEY NATL BANCORP 2,382,204 2,403,960 21,756 0.20% $3.35M
PORTLAND GENERAL ELECTRIC CO 541,617 561,360 19,743 0.20% $2.77M
VSE CORP 111,100 133,330 22,230 0.20% $10.26M
ARCHROCK INC 812,167 856,425 44,258 0.20% $10.33M
RYMAN HOSPITALITY PPTYS INC 303,421 306,187 2,766 0.20% $1.28M
ARGAN INC 65,136 66,556 1,420 0.19% $4.29M
TRANSOCEAN LTD 4,178,331 4,604,833 426,502 0.19% $11.41M
BROOKFIELD INFRA 591,878 597,217 5,339 0.19% $2.77M
BALCHEM CORP 161,267 162,741 1,474 0.19% $4.33M
TXNM ENERGY INC 478,450 499,377 20,927 0.19% $1.51M
GRANITE CONSTRUCTION INC 214,993 216,986 1,993 0.19% $6.06M
CASELLA WASTE SYS INC CL A 308,841 311,640 2,799 0.19% -$736.80K
GLACIER BANCORP INC 630,637 636,294 5,657 0.19% $2.27M
BOOT BARN HOLDINGS INC 151,128 152,511 1,383 0.19% -$433.50K
SM ENERGY CO 560,515 1,235,635 675,120 0.19% $17.90M
PLANET LABS PBC A 1,146,870 1,180,521 33,651 0.18% $14.85M
NOBLE CORP PLC 620,352 625,950 5,598 0.18% $9.44M
SOUTHWEST GAS HOLDINGS INC 318,041 320,960 2,919 0.18% $1.89M
RIOT PLATFORMS INC 1,712,949 1,728,467 15,518 0.18% $526.86K
VIASAT INC 578,878 612,573 33,695 0.18% $8.17M
RIGETTI COMPUTING INC A 1,569,321 1,583,609 14,288 0.18% -$12.54M
NEW JERSEY RESOURCES CORP 496,273 500,856 4,583 0.18% $3.31M
ENPRO INDUSTRIES INC 103,836 104,772 936 0.18% $3.96M
BLACK HILLS CORP 357,080 364,166 7,086 0.17% $475.53K
COGENT BIOSCIENCES INC 682,492 688,664 6,172 0.17% -$695.23K
ATMUS FILTRATION TECHNOLOGIES INC 410,079 413,849 3,770 0.17% $5.95M
PROTAGONIST THERAPEUTICS INC 285,804 288,382 2,578 0.17% $831.85K
SPIRE INC 286,594 289,237 2,643 0.17% $1.09M
PTC THERAPEUTICS INC 381,565 385,041 3,476 0.17% -$6.55M
ATLANTIC UNION B 700,425 706,739 6,314 0.17% $2.50M
CRISPR Therapeutics A.G. Series A 406,428 431,846 25,418 0.17% $4.24M
ONE GAS INC 294,199 296,903 2,704 0.17% $1.32M
ARCOSA INC 238,554 240,723 2,169 0.17% $457.36K
PLEXUS CORP 132,022 133,205 1,183 0.17% $6.99M
MACERICH COMPANY 1,247,944 1,258,990 11,046 0.17% $4.11M
JOBY AVIATION IN 2,266,728 2,555,157 288,429 0.17% -$7.00M
MIRION TECHNOLOGIES INC-A 1,154,161 1,188,413 34,252 0.17% -$4.35M
HOME BANCSHARES INC 925,137 933,747 8,610 0.17% -$318.65K
PIPER SANDLER COS 85,901 86,693 792 0.17% -$3.23M
KYMERA THERAPEUTICS INC 247,606 279,497 31,891 0.17% $8.72M
AMERIS BANCORP 324,918 327,961 3,043 0.17% $853.66K
SELECTIVE INSURANCE GROUP INC 298,732 301,453 2,721 0.16% $1.87M
NUVALENT INC-A 226,761 248,007 21,246 0.16% $488.00K
HUT 8 CORP 462,832 474,542 11,710 0.16% $4.43M
KNIFE RIVER HOLDING CO W/I 280,957 283,476 2,519 0.16% $4.20M
APPLIED OPTOELECTRONICS INC 266,685 299,158 32,473 0.16% $18.06M
CIPHER MINING INC 1,302,118 1,608,310 306,192 0.16% -$1.41M
POWELL INDUSTRIES INC 46,909 47,323 414 0.16% $9.62M
PHILLIPS EDISON and CO INC 620,150 625,891 5,741 0.16% $2.57M
CORE SCIENTIFIC INC 1,396,384 1,438,615 42,231 0.16% $828.37K
TERAWULF INC 1,393,657 1,503,544 109,887 0.16% $2.77M
BRINK'S CO/THE 206,787 208,669 1,882 0.16% $1.14M
RHYTHM PHARMACEUTICALS INC 256,498 262,242 5,744 0.16% -$3.66M
SABRA HEALTHCARE REIT INC 1,167,932 1,178,445 10,513 0.16% $1.43M
ALKERMES PLC 796,569 803,803 7,234 0.16% $631.96K
TRANSMEDICS GROUP INC 163,229 166,411 3,182 0.16% $290.83K
ENERGY FUELS INC 1,053,904 1,132,152 78,248 0.16% $8.96M
NOVANTA INC 177,339 178,933 1,594 0.16% $3.90M
CSW INDUSTRI INC 80,042 80,764 722 0.15% $2.01M
RADNET INC 335,331 338,379 3,048 0.15% -$4.14M
AXOS FINANCIAL INC 267,228 269,656 2,428 0.15% $1.45M
RADIAN GROUP INC 665,882 671,976 6,094 0.15% -$475.49K
MUELLER WATER PRODUCTS INC A 766,177 773,171 6,994 0.15% $4.57M
MERCURY SYSTEMS INC 255,675 257,981 2,306 0.15% $5.10M
OSI SYSTEMS INC 78,772 80,335 1,563 0.15% $1.58M
KODIAK GAS SERVICES INC 371,303 418,850 47,547 0.15% $9.79M
BRIGHTSPRING HEALTH SERVICES INC 525,958 551,457 25,499 0.15% $3.83M
AAR CORP 175,397 193,959 18,562 0.15% $8.13M
HERC HOLDINGS INC 160,529 161,967 1,438 0.15% $1.09M
BADGER METER INC 145,750 147,090 1,340 0.15% -$3.60M
MERIT MEDICAL SYSTEMS INC 287,185 289,787 2,602 0.15% -$2.50M
CAVCO INDUSTRIES INC 37,486 38,591 1,105 0.14% -$51.50K
ARCHER AVIATION INC A 3,051,409 3,127,044 75,635 0.14% -$1.51M
MURPHY OIL CORP 664,049 669,977 5,928 0.14% $913.69K
IES HOLDINGS INC 44,386 44,788 402 0.14% $3.61M
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 589,076 606,418 17,342 0.14% $1.91M
TELEPHONE & DATA 488,841 493,252 4,411 0.14% $2.39M
LIBERTY ENERGY INC CL A 775,939 782,917 6,978 0.14% $8.20M
MOELIS & CO-CL A 365,051 368,377 3,326 0.14% -$1.56M
ASSOCIATED BANC CORP 817,206 824,523 7,317 0.14% $291.31K
TG THERAPEUTICS INC 713,074 719,531 6,457 0.14% -$2.07M
VICTORIA'S SECRET and CO 340,298 343,364 3,066 0.14% $7.46M
WARRIOR MET COAL INC 256,031 258,332 2,301 0.14% $1.46M
TEXAS CAPITAL BANCSHARES INC 223,499 225,512 2,013 0.14% $1.34M
EASTERN BANKSHARES INC 1,088,076 1,097,908 9,832 0.14% $986.61K
RUSH ENTERPRISES INC CL A 299,496 301,792 2,296 0.14% $5.83M
NORTHWESTERN ENERGY GROUP INC 303,090 305,801 2,711 0.14% $453.35K
CALIFORNIA RESOU 332,680 363,134 30,454 0.14% $5.47M
SENSIENT TECHNOLOGIES CORP 207,656 209,547 1,891 0.14% $1.03M
MAXIMUS INC 278,019 280,543 2,524 0.14% -$2.72M
AMICUS THERAPEUTICS INC 1,367,336 1,475,812 108,476 0.14% $7.63M
ITRON INC 223,153 225,192 2,039 0.14% -$944.28K
IRHYTHM TECHNOLOGIES INC 156,578 158,010 1,432 0.14% -$8.30M
OUTFRONT MEDIA INC 684,390 732,975 48,585 0.14% $5.01M
StoneCompany Ltd. - 1,233,851 1,244,921 11,070 0.14% $124.28K
SKYWEST INC 198,760 200,553 1,793 0.14% $695.44K
CLEAR SECURE INC 410,998 427,971 16,973 0.14% $6.23M
SERVISFIRST BANCSHARES INC 253,481 255,761 2,280 0.13% $2.69M
MYR GROUP INC/DELAWARE 75,747 76,426 679 0.13% $3.64M
FIRST FINL BANKSHARES INC 660,927 666,836 5,909 0.13% -$22.12K
TANGER INC- REIT 549,038 554,025 4,987 0.13% $2.10M
LIFE TIME GROUP HOLDINGS INC 666,747 749,041 82,294 0.13% $1.61M
URBAN OUTFITTERS 300,630 303,379 2,749 0.13% -$2.18M
AZZ INC 145,813 147,175 1,362 0.13% $4.64M
NOVAGOLD RESOURCES INC 1,488,308 1,501,632 13,324 0.13% $4.84M
CNO FINANCIAL GROUP INC 472,572 476,968 4,396 0.13% $599.66K
PATRICK INDUSTRIES INC 159,595 161,053 1,458 0.13% $2.67M
CRINETICS PHARMACEUTICALS INC 444,035 484,441 40,406 0.13% -$319.71K
KADANT INC 57,880 58,393 513 0.13% $3.71M
ACADEMY SPORTS and OUTDOORS INC 325,867 328,802 2,935 0.13% $4.05M
INDEPENDENCE REALTY TR INC 1,155,523 1,192,520 36,997 0.13% -$57.16K
PRICESMART INC 126,074 127,217 1,143 0.13% $4.15M
NATL HEALTH INV 227,068 232,959 5,891 0.13% $1.54M
UNITED COMMUNITY BANKS GA 601,455 606,928 5,473 0.13% $1.14M
INDEPENDENT BANK CORP MASS 239,481 249,482 10,001 0.13% $2.22M
TIDEWATER INC 241,680 243,835 2,155 0.13% $6.31M
ARCELLX INC 168,157 169,654 1,497 0.13% $7.08M
PEABODY ENERGY CORP 601,061 606,461 5,400 0.12% $2.75M
NY COMM BANCORP 1,492,701 1,505,897 13,196 0.12% $839.17K
SIGNET JEWELERS 196,805 198,585 1,780 0.12% -$610.10K
LivaNova PLC ORD GBP1.00 (DI) 267,757 270,147 2,390 0.12% $1.99M
LIGAND PHARMACEUTICALS 93,666 96,062 2,396 0.12% $19.00K
VISTANCE NETWORKS INC 1,047,818 1,081,695 33,877 0.12% -$1.68M
DIGITALOCEAN HOLDINGS INC 335,901 338,937 3,036 0.12% $4.05M
COMMVAULT SYSTEMS INC 219,642 221,647 2,005 0.12% -$8.27M
MIRUM PHARMACEUTICALS INC 198,179 203,127 4,948 0.12% $4.27M
AVIENT CORP 451,656 455,646 3,990 0.12% $4.90M
SHAKE SHACK INC - CLASS A 190,974 192,707 1,733 0.12% $1.80M
FULTON FINANCIAL CORP 896,516 904,656 8,140 0.12% $2.23M
M/I HOMES INC 128,172 129,312 1,140 0.12% $747.81K
CACTUS INC CL A 336,709 339,743 3,034 0.12% $3.89M
EXPONENT INC 249,740 251,959 2,219 0.12% $281.37K
BROADSTONE NET LEASE INC 931,736 940,127 8,391 0.12% $1.86M
INTL BANCSHARES 267,848 270,308 2,460 0.12% $333.83K
SCHOLAR ROCK HOLDING CORP 398,618 407,574 8,956 0.12% $480.19K
ICU MEDICAL INC 118,735 119,799 1,064 0.12% $414.31K
CORPORATE OFFICE PROPERTIES TR 559,609 564,775 5,166 0.12% $751.76K
TERNS PHARMACEUTICALS INC 355,060 424,846 69,786 0.12% $7.91M
ADMA BIOLOGICS INC 1,138,270 1,148,559 10,289 0.12% -$3.95M
STRIDE INC 209,856 211,756 1,900 0.12% $4.54M
HB FULLER CO 268,732 271,075 2,343 0.12% $2.15M
KONTOOR BRANDS INC 270,638 273,082 2,444 0.12% -$2.31M
CELCUITY INC 144,891 159,390 14,499 0.12% $3.15M
SCORPIO TANKERS INC SHS 218,560 223,755 5,195 0.11% $5.16M
BROOKDALE SR 1,127,345 1,152,607 25,262 0.11% $5.09M
WSFS FINANCIAL CORP 274,942 277,405 2,463 0.11% $2.27M
RENASANT CORP 463,206 467,363 4,157 0.11% $1.18M
BANKUNITED INC 370,728 374,061 3,333 0.11% $1.45M
COVISTA INC 174,331 177,878 3,547 0.11% $1.30M
OCEANEERING INTL 461,714 489,854 28,140 0.11% $6.12M
BGC GROUP INC-A 1,780,659 1,797,033 16,374 0.11% $1.62M
PRESTIGE CONSUMER HEALTHCARE INC 242,939 245,173 2,234 0.11% $2.52M
CENTRUS ENERGY CORP CL A 77,252 83,553 6,301 0.11% -$3.10M
HELMERICH & PAYN 474,898 479,085 4,187 0.11% $3.62M
PJT PARTNERS INC 112,859 113,903 1,044 0.11% -$2.14M
GRAHAM HOLDINGS CO 15,775 15,922 147 0.11% -$685.83K
QUALYS INC 179,482 181,130 1,648 0.11% -$8.53M
MATERION CORP 101,639 102,557 918 0.11% $4.30M
TEGNA INC 789,657 797,162 7,505 0.11% $1.29M
TUTOR PERINI CORP 218,706 220,683 1,977 0.11% $1.64M
ENOVA INTL INC 118,480 119,558 1,078 0.11% $1.09M
MARATHON DIGITAL HOLDINGS INC 1,825,765 1,842,260 16,495 0.11% -$5.09M
GULFPORT ENERGY CORP 78,200 78,913 713 0.11% -$932.73K
BOX INC- CLASS A 689,869 696,336 6,467 0.11% -$3.98M
SPHERE ENTERTAINMENT CO 136,546 137,769 1,223 0.11% $4.85M
IMPINJ INC 127,515 133,664 6,149 0.11% -$5.52M
AVISTA CORP 395,523 403,190 7,667 0.11% $10.84K
MARZETTI COMPANY/THE 98,666 99,577 911 0.11% -$106.82K
WESBANCO INC 465,117 469,262 4,145 0.11% $1.35M
KORN FERRY 253,917 259,885 5,968 0.11% -$413.13K
CG ONCOLOGY INC 274,381 276,818 2,437 0.11% $3.97M
XENON PHARMACEUTICALS INC 373,195 376,461 3,266 0.11% -$414.87K
OTTER TAIL CORPORATION 189,316 191,025 1,709 0.11% $694.45K
GRIFFON CORP 188,472 190,188 1,716 0.11% $2.08M
PERIMETER SOLUTIONS SA 683,616 689,772 6,156 0.11% -$2.86M
PALOMAR HOLDINGS 129,518 130,688 1,170 0.10% $79.98K
ALIGNMENT HEALTHCARE INC 717,779 840,540 122,761 0.10% $2.37M
DORMAN PRODUCTS INC 135,578 136,816 1,238 0.10% -$1.81M
NCR ATLEOS CORP 359,827 363,026 3,199 0.10% $2.74M
WD-40 CO 66,835 67,448 613 0.10% $2.98M
POLARIS INC 261,935 264,251 2,316 0.10% -$1.33M
GARRETT MOTION INC 660,831 787,474 126,643 0.10% $5.11M
SOUNDHOUND AI INC 1,798,925 1,858,482 59,557 0.10% -$5.69M
COMMUNITY FINANCIAL SYSTEM INC 260,124 262,440 2,316 0.10% $1.13M
ZETA GLOBAL HOLDINGS CORP 914,890 934,056 19,166 0.10% -$864.49K
ADVANCE AUTO PARTS INC 294,838 297,481 2,643 0.10% $520.87K
CHESAPEAKE UTILITIES CORP 112,344 115,980 3,636 0.10% $147.24K
SYNAPTICS INC 188,485 192,682 4,197 0.10% $2.78M
STANDEX INTL CORP 59,064 59,583 519 0.10% $1.13M
LEMONADE INC 273,271 300,093 26,822 0.10% -$5.82M
PERPETUA RESOURC 369,172 421,213 52,041 0.10% $6.02M
DIODES INC 225,428 227,449 2,021 0.10% $5.10M
GLOBALSTAR INC 246,330 248,536 2,206 0.10% $511.79K
BOISE CASCADE CO 185,375 186,997 1,622 0.10% $1.34M
CALIX NETWORKS INC 289,550 298,795 9,245 0.10% -$534.81K
WORKIVA INC 246,897 249,129 2,232 0.10% -$7.51M
FIRST INTST BANCSYST INC CL A 439,463 443,243 3,780 0.10% $908.68K
NMI HOLDINGS INC A 383,855 387,350 3,495 0.10% $582.66K
KENNAMETAL INC 374,157 377,397 3,240 0.10% $4.84M
VICTORY CAPITAL HOLDINGS INC CL A 217,388 219,384 1,996 0.10% $1.51M
ACADIA PHARMACEUTICALS INC 611,025 616,555 5,530 0.10% -$157.48K
HAEMONETICS CORP MASS 236,725 238,854 2,129 0.10% -$4.13M
INTERNATIONAL SE 197,522 199,299 1,777 0.10% $4.59M
MGE ENERGY INC 181,357 182,994 1,637 0.10% -$10.82K
STEPSTONE GROUP INC CLASS A 342,746 345,791 3,045 0.10% -$6.73M
CHEESECAKE FACTORY INC 227,121 229,194 2,073 0.10% $4.02M
Q2 HOLDINGS INC 305,638 308,410 2,772 0.10% -$7.20M
INTEGER HOLDINGS CORP 169,322 170,829 1,507 0.10% $2.59M
PBF ENERGY INC CL A 411,756 415,423 3,667 0.10% $591.71K
BANK OF HAWAII 193,432 195,164 1,732 0.10% $2.11M
HIMS & HERS HEAL 936,007 1,016,242 80,235 0.10% -$22.46M
ARCUTIS BIOTHERAPEUTICS INC 525,872 545,268 19,396 0.10% -$1.41M
SUNRUN INC 1,029,450 1,108,573 79,123 0.10% -$6.16M
SPYRE THERAPEUTICS INC 244,679 341,319 96,640 0.10% $7.34M
RED ROCK RESORTS INC 239,881 242,097 2,216 0.10% $609.14K
TARSUS PHARMACEUTICALS INC 192,319 194,040 1,721 0.10% -$723.93K
SUPERNUS PHARMACEUTICALS INC 264,871 267,265 2,394 0.09% $2.55M
CINEMARK HOLDINGS INC 510,596 515,199 4,603 0.09% $569.10K
HAWKINS INC 95,907 96,762 855 0.09% $1.96M
LXP INDUSTRIAL TRUST REIT 286,411 288,947 2,536 0.09% $429.28K
IMMUNITYBIO INC 1,130,158 1,462,079 331,921 0.09% $11.63M
AMER STATES WATE 190,033 191,743 1,710 0.09% $271.87K
SIMMONS FIRST -A 696,609 715,108 18,499 0.09% $1.32M
VERACYTE INC 384,856 388,328 3,472 0.09% -$4.01M
HNI CORP 222,590 315,611 93,021 0.09% $4.95M
FIRST FIN BANCRP 468,348 499,037 30,689 0.09% $2.36M
WAYSTAR HOLDING CORP 537,215 545,921 8,706 0.09% -$5.83M
ACUSHNET HOLDINGS CORP 135,559 136,794 1,235 0.09% $2.60M
REMITLY GLOBAL INC 820,331 837,135 16,804 0.09% $2.87M
NICOLET BANKSHARES INC 66,368 91,502 25,134 0.09% $5.62M
ACM RESEARCH INC-CLASS A 248,229 250,393 2,164 0.09% $5.65M
TWIST BIOSCIENCE CORP 290,441 296,455 6,014 0.09% $4.61M
DENALI THERAPEUTICS INC 650,488 656,108 5,620 0.09% $1.23M
CONCENTRA GROUP HOLDINGS PARENT INC 573,790 578,984 5,194 0.09% $2.08M
VITA COCO CO INC/THE 216,180 236,154 19,974 0.09% $2.16M

Top 300 of 1634, by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
Vanguard Market Liquidity Fund 15,569,964 2,767,401 -12,802,564 1.80% -$20.00M
FLUOR CORP 805,726 798,276 -7,450 0.27% $7.17M
COMMERCIAL METALS CO 556,993 551,971 -5,022 0.26% $4.93M
INSTALLED BUILDING PRODUCTS INC 115,129 114,973 -156 0.24% $6.83M
JACKSON FINANCIAL INC 352,135 343,328 -8,807 0.24% $3.07M
TAYLOR MORRISON HOME CORP 477,014 475,931 -1,083 0.20% $1.46M
ENERSYS INC 188,897 185,044 -3,853 0.20% $3.71M
UFP INDUSTRIES INC 296,668 288,256 -8,412 0.19% $2.08M
VALARIS LTD 312,992 309,329 -3,663 0.19% $11.99M
UNITED BANKSHS 695,267 693,197 -2,070 0.19% $2.74M
ESSENT GROUP LTD 478,922 469,699 -9,223 0.19% -$1.48M
KITE REALTY GROUP TRUST 1,084,733 1,078,237 -6,496 0.18% $2.99M
BELDEN INC 194,572 194,097 -475 0.18% $5.75M
HANCOCK WHITNEY CORP 422,947 420,048 -2,899 0.18% $2.02M
CNX RESOURCES CORP 672,095 646,611 -25,484 0.18% $911.24K
SKYLINE CHAMPION CORP 281,565 280,352 -1,213 0.17% $2.04M
MERITAGE HOMES CORP 349,159 345,248 -3,911 0.17% $522.06K
MATSON INC 159,679 155,834 -3,845 0.17% $8.49M
OPTION CARE HEALTH INC 809,224 791,558 -17,666 0.17% $527.11K
MAGNOLIA OIL and GAS CORPO CL A 914,862 896,959 -17,903 0.16% $3.78M
FRONTDOOR INC 365,482 363,579 -1,903 0.16% $5.22M
LANTHEUS HOLDING 334,893 332,083 -2,810 0.16% $5.16M
RESIDEO TECHNOLOGIES INC 677,800 640,133 -37,667 0.16% $2.41M
VICOR CORPORATION 114,736 113,971 -765 0.15% $12.70M
ABERCROMBIE & FI 231,509 230,823 -686 0.15% -$83.30K
GOLAR LNG LTD COMMON STOCK USD1.0 490,813 484,196 -6,617 0.14% $3.39M
CORE NATURAL RESOURCES INC 256,065 252,545 -3,520 0.13% $243.69K
ASBURY AUTOMOTIVE GROUP INC 96,486 96,284 -202 0.13% -$1.86M
LAUREATE EDUCATION INC CL A 632,083 630,223 -1,860 0.13% $850.05K
ACI WORLDWIDE INC 518,023 512,940 -5,083 0.13% -$3.92M
CABOT CORP 266,414 263,773 -2,641 0.13% $3.41M
DANA INC 650,299 583,560 -66,739 0.13% $5.41M
KB HOME 326,066 313,068 -12,998 0.13% -$1.07M
GROUP 1 AUTOMOTIVE INC 61,908 61,008 -900 0.13% -$4.95M
TRI POINTE HOMES INC 424,009 420,117 -3,892 0.13% $4.98M
AMERICAN EAGLE OUTFITTERS INC 798,207 790,555 -7,652 0.13% $3.14M
FRANKLIN ELECTRIC CO. INC. 196,130 192,327 -3,803 0.12% $497.85K
CAL-MAINE FOODS INC 225,559 219,315 -6,244 0.12% $310.95K
KULICKE and SOFFA INDUSTRIES INC 253,288 252,528 -760 0.11% $6.18M
UNIFIRST CORP/MA 74,098 72,571 -1,527 0.11% $4.26M
GENWORTH FINANCIAL INC A 2,022,910 2,014,606 -8,304 0.11% -$555.58K
CONSTELLIUM SE COMMON STOCK EUR.02 699,087 680,024 -19,063 0.11% $5.17M
FIRST BANCORP PUERTO RICO 794,019 788,290 -5,729 0.11% $958.81K
CATHAY GENERAL BANCORP 330,924 329,557 -1,367 0.11% $352.32K
BREAD FINANCIAL HOLDINGS 229,249 226,908 -2,341 0.10% $551.67K
LCI INDUSTRIES 121,017 117,305 -3,712 0.10% $1.87M
BLACKSTONE MORTGAGE TR CL A 798,665 788,028 -10,637 0.10% -$411.99K
OPENLANE INC 522,279 521,762 -517 0.10% $1.59M
PATTERSON-UTI ENERGY INC 1,733,668 1,719,924 -13,744 0.10% $4.56M
PHINIA INC 189,196 188,687 -509 0.09% $3.47M
TRINITY INDUSTRIES INC 401,877 398,503 -3,374 0.09% $2.96M
ABM INDUSTRIES INC 304,109 301,921 -2,188 0.09% $358.80K
POWER INTEGRATIONS INC 278,560 277,305 -1,255 0.09% $3.93M
NORTHERN OIL AND GAS INC 476,294 475,120 -1,174 0.09% $2.44M
NLIGHT INC 235,996 229,604 -6,392 0.08% $4.59M
AXCELIS TECHNOLOGIES INC 158,309 153,856 -4,453 0.08% -$393.19K
CVB FINANCIAL CORP 649,529 647,720 -1,809 0.08% -$327.08K
TRAVERE THERAPEUTICS INC 432,865 408,708 -24,157 0.08% -$3.15M
WASHINGTON FEDERAL INC 387,215 386,022 -1,193 0.08% -$230.78K
TRUSTMARK CORP 278,930 278,386 -544 0.08% $1.01M
BANCORP INC/THE 223,922 209,808 -14,114 0.07% -$3.33M
ENERPAC TOOL GROUP CORP CL A 266,407 263,269 -3,138 0.07% $652.54K
NEWMARK GROUP INC CL A 764,053 733,614 -30,439 0.07% -$2.63M
FIRST BUSEY CORP 420,653 418,801 -1,852 0.07% $718.62K
PHOTRONICS INC 285,805 282,771 -3,034 0.07% $4.04M
PAR PACIFIC HOLDINGS INC 248,838 247,350 -1,488 0.07% -$805.03K
PATHWARD FINANCIAL INC 116,761 112,591 -4,170 0.07% $1.83M
QUAKER HOUGHTON 68,615 68,200 -415 0.07% $568.87K
Adient PLC ORD SHS 413,584 403,849 -9,735 0.06% $1.77M
DIEBOLD NIXDORF INC 124,724 122,536 -2,188 0.06% $1.76M
ROGERS CORP 91,346 89,455 -1,891 0.06% $1.99M
INNOSPEC INC 123,402 123,055 -347 0.06% $198.02K
OMNICELL INC 228,864 226,361 -2,503 0.06% $947.61K
CORECIVIC INC 529,967 523,622 -6,345 0.06% -$308.27K
GLOBAL NET LEASE INC 984,092 982,274 -1,818 0.06% $1.17M
SPECTRUM BRANDS HOLDINGS INC 117,116 116,550 -566 0.06% $2.18M
ASGN INC 210,297 206,498 -3,799 0.06% -$606.70K
OFG BANCORP 219,167 218,729 -438 0.06% $59.15K
NETSTREIT CORP 466,056 416,680 -49,376 0.06% $111.64K
PITNEY-BOWES INC 848,038 799,538 -48,500 0.06% $217.39K
ALBANY INTL CORP 148,343 146,288 -2,055 0.05% $1.36M
SUNSTONE HOTEL INVS INC 934,766 901,658 -33,108 0.05% -$382.02K
JETBLUE AIRWAYS CORP 1,620,319 1,471,954 -148,365 0.05% $749.77K
HILLTOP HOLDINGS 219,412 215,434 -3,978 0.05% $533.47K
SELECT MEDICAL HLDGS CORP 549,209 532,667 -16,542 0.05% -$533.22K
SALLY BEAUTY HOL 497,038 491,583 -5,455 0.05% $16.72K
EXPRO GROUP HOLD 506,690 441,750 -64,940 0.05% $821.33K
SIMPLY GOOD FOODS CO 460,753 459,474 -1,279 0.05% -$1.23M
ENCORE CAPITAL G 112,001 111,405 -596 0.05% $1.80M
HEALTHCARE SERVS 358,329 349,095 -9,234 0.05% $870.38K
CTS CORP 143,339 142,723 -616 0.05% $1.45M
XENIA HOTELS & R 485,731 470,983 -14,748 0.05% $406.10K
NELNET INC-CL A 63,328 55,463 -7,865 0.05% -$1.00M
NUVATION BIO INC 1,225,557 1,194,964 -30,593 0.05% -$2.78M
VERIS RESIDENTIAL INC 387,573 374,060 -13,513 0.05% $1.21M
International Game Technology plc 549,343 519,911 -29,432 0.05% -$1.54M
HAMILTON INSUR-B 225,145 222,581 -2,564 0.05% $889.38K
Banco Latinoamericano de Exportaciones S.A. (Class E) 140,023 139,627 -396 0.05% $698.51K
MARQETA INC CL A 1,889,719 1,810,219 -79,500 0.05% -$2.10M
ENERGIZER HOLDIN 325,570 310,460 -15,110 0.04% $767.69K
WORLD KINECT CORP 271,333 268,534 -2,799 0.04% $410.42K
YELP INC 303,550 299,997 -3,553 0.04% -$2.09M
COLLEGIUM PHARMACEUTICAL INC 157,395 155,626 -1,769 0.04% -$862.26K
ECOVYST INC 575,086 565,800 -9,286 0.04% $1.09M
GOOSEHEAD INSURANCE 118,431 117,479 -952 0.04% -$2.11M
DONNELLEY FINANCIAL SOLUTIONS INC 130,639 126,639 -4,000 0.04% -$107.59K
WILEY JOHN&SON-A 202,199 201,890 -309 0.04% -$1.09M
TRIMAS CORP 162,997 158,263 -4,734 0.04% $631.61K
WESTAMERICA BANCORPORATION 121,259 119,992 -1,267 0.04% $259.59K
ENACT HOLDINGS INC 142,201 139,800 -2,401 0.04% $344.63K
ENLIVEN THERAPEUTICS INC 206,194 195,031 -11,163 0.04% $1.34M
TRIPADVISOR INC 571,439 567,078 -4,361 0.04% -$2.76M
TENNANT CO 92,233 91,464 -769 0.04% -$1.16M
G-III APPAREL GROUP LTD 189,659 180,148 -9,511 0.04% -$17.83K
NABORS INDS LTD 74,975 70,174 -4,801 0.04% $1.74M
CRA INTERNATIONAL INC 32,462 31,687 -775 0.04% -$253.27K
RLJ LODGING TRUST 728,712 680,618 -48,094 0.04% -$35.93K
ZIFF DAVIS INC 204,972 201,482 -3,490 0.04% -$1.27M
GIGACLOUD TECHNOLOGY INC COMMON STOCK USD.05 121,895 121,481 -414 0.03% $864.16K
FIDELIS INSURANCE HOLDINGS LTD COMMON STOCK USD.01 285,699 277,250 -8,449 0.03% -$155.32K
LGI HOMES INC 102,076 101,560 -516 0.03% -$39.03K
CORVUS PHARMACEUTICALS INC 290,873 283,618 -7,255 0.03% $2.51M
REX AMERICAN RESOURCES CORP 145,381 142,760 -2,621 0.03% $280.43K
EDGEWELL PERSONAL CARE CO 223,619 223,195 -424 0.03% $1.08M
ANAPTYSBIO INC 95,708 91,431 -4,277 0.03% $1.05M
OCEANFIRST FINL 280,435 278,512 -1,923 0.03% -$256.27K
FLUENCE ENERGY INC 372,524 316,245 -56,279 0.03% -$2.40M
DAKTRONICS INC 189,513 189,154 -359 0.03% $1.29M
PACIRA BIOSCIENCES INC 225,777 221,430 -4,347 0.03% -$470.03K
CAREDX INC 267,434 258,254 -9,180 0.03% $65.80K
UNIVEST FINANCIAL CORP 141,492 140,840 -652 0.03% $225.74K
WEIS MARKETS INC 81,134 68,009 -13,125 0.03% -$662.99K
EMPLOYERS HOLDINGS INC 118,506 110,869 -7,637 0.03% -$138.03K
JBG SMITH PROPERTIES 306,368 296,583 -9,785 0.03% -$1.07M
VIRTUS INVESTMENT PARTNERS 32,290 31,840 -450 0.03% -$747.78K
AMALGAMATED FINANCIAL CORP 114,974 113,888 -1,086 0.03% $1.01M
NB BANCORP INC 199,007 197,815 -1,192 0.03% $322.82K
CENTRAL PACIFIC FINANCIAL CORP 130,509 130,322 -187 0.03% $269.42K
NORTHEAST BANK 38,508 36,868 -1,640 0.03% $665.33K
AMERANT BANCORP INC 182,498 181,265 -1,233 0.03% $437.22K
REDWOOD TRUST INC REIT 652,893 629,072 -23,821 0.02% $208.45K
GENCO SHIPPING + TRADING LTD COMMON STOCK USD.01 166,831 156,891 -9,940 0.02% $616.79K
OIL STATES INTL 288,331 279,705 -8,626 0.02% $1.84M
AMPHASTAR PHARMACEUTICALS INC 182,400 180,006 -2,394 0.02% -$1.41M
NWPX INFRASTRUCTURE INC 47,639 46,909 -730 0.02% $847.54K
KOPPERS HOLDINGS 94,932 93,740 -1,192 0.02% $726.74K
BEAZER HOMES USA INC 138,289 137,022 -1,267 0.02% $342.35K
NAVIGATOR HOLDINGS LTD 160,750 156,517 -4,233 0.02% $414.17K
TACTILE SYSTEMS TECHNOLOGY INC 113,100 109,497 -3,603 0.02% $299.37K
SANFILIPPO (JOHN B) and SON INC. 38,618 38,542 -76 0.02% $379.13K
WASH TRUST BANC 94,649 94,358 -291 0.02% $490.89K
PRA GROUP INC 193,908 192,987 -921 0.02% -$101.76K
NAVIENT CORP 340,508 337,412 -3,096 0.02% -$1.26M
FORUM ENERGY TECHNOLOGIES INC 54,801 50,768 -4,033 0.02% $1.23M
ACCEL ENTMT INC 265,720 253,521 -12,199 0.02% $159.03K
CANTALOUPE INC 289,631 275,821 -13,810 0.02% -$210.79K
CANNAE HOLDINGS INC 282,928 234,786 -48,142 0.02% -$1.69M
WILLIS LEASE FINANCE CORP 13,988 13,927 -61 0.02% $1.12M
CONSENSUS CLOUD SOLUTION 95,366 93,582 -1,784 0.02% $732.15K
NETGEAR INC 136,070 135,752 -318 0.02% -$799.85K
ARROW FINL CORP 81,012 80,859 -153 0.02% $250.90K
ENERGY RECOVERY INC 261,522 256,611 -4,911 0.02% -$1.10M
STAGWELL INC 567,456 554,643 -12,813 0.02% -$368.18K
DREAM FINDERS HOMES INC 148,139 146,271 -1,868 0.02% -$285.59K
STURM RUGER & CO 78,896 70,089 -8,807 0.02% $247.78K
BICARA THERAPEUTICS INC 167,934 156,105 -11,829 0.02% -$497.41K
CASS INFORMATION SYSTEMS INC 59,531 58,924 -607 0.02% $114.75K
ENNIS INC 121,600 121,163 -437 0.02% $437.05K
GREAT SOUTHN BAN 41,493 41,429 -64 0.02% $52.91K
FARMLAND PARTNERS INC 203,711 192,248 -11,463 0.02% $502.40K
HEALTHSTREAM INC 120,447 118,023 -2,424 0.02% -$523.61K
PHATHOM PHARMACEUTICALS INC 207,323 196,864 -10,459 0.02% -$765.77K
ARKO CORP 378,020 374,826 -3,194 0.02% $610.76K
HEARTLAND EXPRESS INC 218,684 217,588 -1,096 0.02% $681.14K
SUMMIT HOTEL PROPERTIES INC 539,306 528,448 -10,858 0.02% -$507.38K
UDEMY INC 476,977 473,035 -3,942 0.02% -$43.68K
CARTER BANKSHARES INC 112,957 111,424 -1,533 0.02% $247.06K
DINE BRANDS GLOBAL INC 75,050 74,491 -559 0.01% -$39.07K
CARS.COM INC 282,970 266,952 -16,018 0.01% -$1.00M
NATURE'S SUNSHNE 85,560 82,109 -3,451 0.01% $511.95K
COVENANT LOGISTICS GROUP INC 80,552 75,418 -5,134 0.01% $614.10K
COMMUNITY HEALTH SYS INC NEW 638,711 634,486 -4,225 0.01% -$14.62K
SIERRA BANCORP 60,880 60,862 -18 0.01% $298.88K
EMERGENT BIOSOLU 264,838 258,621 -6,217 0.01% -$850.48K
KEROS THERAPEUTICS 149,149 144,854 -4,295 0.01% -$551.65K
MAGNERA CORP 163,870 158,145 -5,725 0.01% -$272.42K
HIMALAYA SHIPPING LTD COMMON STOCK USD1.0 146,715 138,586 -8,129 0.01% $719.63K
WABASH NATIONAL CORP 202,657 195,102 -7,555 0.01% $269.86K
MARCUS CORP 114,998 113,290 -1,708 0.01% $101.20K
KKR REAL ESTATE FINANCE TRUST INC 280,357 273,767 -6,590 0.01% -$477.55K
GRINDR INC 163,736 162,488 -1,248 0.01% -$251.62K
GREENLIGHT CAP-A 130,204 129,383 -821 0.01% $115.95K
EASTMAN KODAK CO 311,869 239,562 -72,307 0.01% -$629.09K
RBB BANCORP 83,269 80,632 -2,637 0.01% $84.03K
ZUMIEZ INC 70,471 65,290 -5,181 0.01% -$120.34K
BEL FUSE INC VTG CL A 8,403 8,060 -343 0.01% $602.99K
MASTERCRAFT BOAT HOLDINGS INC 80,283 78,372 -1,911 0.01% $217.43K
ATLANTA BRAVES HOLDINGS IN-A 38,078 34,703 -3,375 0.01% $20.91K
SAFE BULKERS INC COMMON STOCK USD.001 275,041 255,005 -20,036 0.01% $217.87K
ATEA PHARMACEUTICALS INC 377,184 352,467 -24,717 0.01% $480.28K
BLEND LABS INC-A 1,029,772 980,420 -49,352 0.01% -$1.61M
GENIE ENERGY LTD B 104,520 104,357 -163 0.01% $2.86K
PUBMATIC INC CL A 205,097 187,155 -17,942 0.01% -$331.97K
MVB FINANCIAL CORP 56,411 55,277 -1,134 0.01% -$34.00K
VIEMED HEALTHCARE INC 171,496 169,988 -1,508 0.01% $293.86K
JACK IN THE BOX INC 92,271 87,399 -4,872 0.01% -$339.87K
Ibex Ltd. SHS NEW 53,028 49,567 -3,461 0.01% -$433.57K
REGIONAL MANAGEMENT CORP 44,961 44,754 -207 0.01% -$286.24K
ANGI INC 199,523 178,259 -21,264 0.01% -$891.70K
PRIMIS FINANCIAL CORP 109,800 104,311 -5,489 0.01% $144.89K
ONITY GROUP INC 32,814 32,806 -8 0.01% -$86.96K
NEWTEKONE INC 121,738 111,306 -10,432 0.01% $66.68K
MAYVILLE ENGINEERING CO INC 69,667 65,087 -4,580 0.01% $183.18K
READY CAPITAL CORP 818,202 733,244 -84,958 0.01% -$713.55K
WATERSTONE FINANCIAL INC 75,997 75,471 -526 0.01% $154.03K
W&T OFFSHORE INC 489,987 489,903 -84 0.01% $430.97K
JAMES RIVER GROUP HOLDINGS INC 182,000 181,954 -46 0.01% $201.70K
US GOLD CORP 60,460 58,631 -1,829 0.01% $228.75K
FS BANCORP INC 32,173 31,996 -177 0.01% -$53.32K
AMC NETWORKS INC CL A 157,992 152,473 -5,519 0.01% -$163.58K
BK TECHNOLOGIES CORP 14,717 14,095 -622 0.01% $285.79K
3D SYSTEMS CORP DEL 648,735 616,406 -32,329 0.01% -$159.71K
BLUE FOUNDRY BANCORP 93,103 88,714 -4,389 0.01% $111.60K
FB BANCORP INC 88,043 87,963 -80 0.01% $44.73K
USANA HEALTH SCIENCES INC 53,914 53,239 -675 0.01% $75.51K
ASURE SOFTWARE INC 127,301 124,591 -2,710 0.01% $120.35K
ORASURE TECHNOLOGIES INC 367,834 350,167 -17,667 0.01% $227.58K
EVOLUS INC 287,952 256,275 -31,677 0.01% -$959.75K
OCTAVE SPECIALTY GROUP INC 212,282 203,898 -8,384 0.01% -$817.56K
TELOS CORP 264,814 262,934 -1,880 0.01% -$473.63K
CONDUENT INC 734,140 719,993 -14,147 0.01% -$373.04K
KARAT PACKAGING INC 42,348 42,314 -34 0.01% $109.69K
FENNEC PHARMACEU 115,837 115,659 -178 0.01% $33.24K
VTEX -CLASS A 282,439 277,734 -4,705 0.01% -$219.49K
MISTRAS GROUP INC 80,570 61,585 -18,985 0.01% -$25.02K
REPAY HOLDINGS CORP 383,597 332,705 -50,892 0.01% -$348.62K
FLEXSTEEL INDS 18,053 17,486 -567 0.01% $186.37K
SEAPORT ENTERTAINMENT GROUP INC 36,861 36,800 -61 0.01% $68.61K
CITIZENS COMMUNI 47,478 46,760 -718 0.01% -$4.90K
JEFFERSON CAPITAL INC 57,199 39,024 -18,175 0.01% -$394.40K
OHIO VALLEY BANC CORP 18,776 18,729 -47 0.01% $70.28K
BRAEMAR HOTELS and RESORTS INC 288,703 272,029 -16,674 0.01% $20.77K
NATL RESEARCH CO 61,818 58,617 -3,201 0.01% -$264.23K
PIONEER BANCORP INC/NY 55,193 54,977 -216 0.01% $41.66K
NANO-X IMAGING LTD COMMON STOCK ILS.01 316,399 316,198 -201 0.00% -$668.08K
BV FINANCIAL INC 41,473 40,099 -1,374 0.00% -$11.57K
EGAIN CORP 87,295 79,799 -7,496 0.00% -$164.29K
LANDS' END INC 57,521 45,841 -11,680 0.00% -$171.59K
CORE MOLDING TECH INC 41,938 40,019 -1,919 0.00% -$62.28K
AMERICAS CAR MART INC 36,595 35,041 -1,554 0.00% -$92.86K
ALTA EQUIPMENT GROUP INC 99,686 96,854 -2,832 0.00% $181.82K
OPEN LENDING CORP 501,695 499,145 -2,550 0.00% -$294.37K
HAMILTON BEACH BRANDS HOLDING CO CLASS A 35,207 34,743 -464 0.00% $99.96K
STEREOTAXIS INC 300,334 298,839 -1,495 0.00% -$93.33K
ECB BANCORP INC/MD 37,206 37,018 -188 0.00% -$11.04K
SR BANCORP INC 37,462 36,478 -984 0.00% $27.17K
SB FINANCIAL GRO 29,059 28,284 -775 0.00% -$34.54K
RESOURCES CONNECTION INC 159,441 153,988 -5,453 0.00% -$191.90K
MEDIFAST INC 53,250 53,230 -20 0.00% -$23.64K
SLEEP NUMBER CORP 93,294 90,690 -2,604 0.00% $83.76K
ZIPRECRUITER INC 334,724 309,133 -25,591 0.00% -$1.03M
RICHMOND MUTUAL BANCORPORATION INC 43,755 40,838 -2,917 0.00% -$51.19K
HEALTH CATALYST INC 333,750 333,632 -118 0.00% -$457.43K
SUPERIOR GROUP OF COS INC 55,236 54,169 -1,067 0.00% $1.00K
EASTERN CO 28,549 28,403 -146 0.00% -$29.26K
SILVERCREST ASSET MGMT GRP INC CL A 38,393 34,057 -4,336 0.00% -$11.99K
LAKELAND INDUSTRIES INC 44,695 42,537 -2,158 0.00% -$288.41K
RHINEBECK BANCORP INC 22,242 22,184 -58 0.00% $112.73K
FRANKLIN STREET PPTYS CORP 395,072 392,922 -2,150 0.00% -$87.62K
NET POWER INC WT A 165,661 155,909 -9,752 0.00% -$179.51K
BRC INC CL A 472,205 458,938 -13,267 0.00% -$310.80K
ACCURAY INC 496,127 490,676 -5,451 0.00% -$252.45K
GAIA INC CL A 85,410 81,715 -3,695 0.00% -$51.81K
EMPIRE PETROLEUM CORP 72,914 71,863 -1,051 0.00% $18.41K
PAM TRANSPORTAION 29,334 23,164 -6,170 0.00% -$30.85K
TRAVELZOO INC 30,414 30,368 -46 0.00% -$20.37K
MOBILE INFRASTRUCTURE CORP 69,967 63,266 -6,701 0.00% -$25.97K
DEFINITIVE HEALTHCARE CORP 172,786 149,086 -23,700 0.00% -$299.88K
CAPSOVISION INC 28,012 27,820 -192 0.00% -$3.86K
INMUNE BIO INC 103,186 100,022 -3,164 0.00% -$50.52K
ATLANTIC INTERNATIONAL CORP 52,148 26,320 -25,828 0.00% -$23.73K
ARRIVE AI INC 18,167 14,432 -3,735 0.00% -$56.79K
ELME COMMUNITIES 432,464 2,325 -430,139 0.00% -$7.50M
APARTMENT INVEST 649,007 342 -648,665 0.00% -$3.70M
US ULTRA BOND CBT Sep25 223 130 -93 0.00% -$1.43M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
EVOMMUNE INC 9,757 9,757 0 0.00% $51.61K
BETA TECHNOLOGIES INC 7,800 7,800 0 0.00% -$66.07K
INHIBRX INC - CVR (MAY 2024) 129,632 129,632 0 0.00% $0
PULSE BIOSCIENCES INC WT 6/26/30 6,520 6,520 0 0.00% $32.86K
TOBIRA THERAPEUTICS INC - CVR 2018 6,227 6,227 0 0.00% $0
THIRD HARMONICS BIO INC 120,158 120,158 0 0.00% $0
PFIZER INC - CVR (NOV 25) 690 690 0 0.00% $0
CHINOOK THERAPEUTICS INC CVR RT 18,135 18,135 0 0.00% $0
ONCTERNAL THERAPEUTICS INC(CVR) RT 846 846 0 0.00% $0
BED BATH & BEYOND INC Warrants (OCT 2025) 240 240 0 0.00% $7
GEN DIGITAL INC RIGHT 105 105 0 0.00% -$304
FLEXION THERAPEUTICS INC CVR 111 111 0 0.00% $0
CARTESIAN THERAPEUTICS INC CVR RT 372 372 0 0.00% $0
ITEOS THERAPEUTICS INC - CVR (SEPT 2025) 286 286 0 0.00% $0
STERLING BANCORP INC/MI 99,637 99,637 0 0.00% $0
OMNIAB INC - 15.00 EARNOUT 14,203 14,203 0 0.00% $0
OMNIAB INC - 12.5 EARNOUT 14,203 14,203 0 0.00% $0

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