XTR
Global X S&P 500 Tail Risk ETF
GLOBAL X 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.

Jan 31, 2026 → Apr 30, 2026

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

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
VERTIV HOLDINGS CO 0 22 22 0.20% $7.23K
CIENA CORP 0 9 9 0.13% $4.75K
SPX US 06/18/26 P5900 LONG 0 4 4 0.11% $4.02K
LUMENTUM HOLDINGS INC 0 4 4 0.10% $3.61K
COHERENT CORP 0 10 10 0.09% $3.20K
CASEY'S GENERAL 0 2 2 0.05% $1.64K
ECHOSTAR CORP CL A 0 6 6 0.02% $739
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
XSP US 03/20/26 P615 LONG 8 0 -8 0.00% -$1.96K
HOLOGIC INC 11 0 -11 0.00% -$824
DAYFORCE INC 7 0 -7 0.00% -$485
LAMB WESTON HOLDINGS INC 9 0 -9 0.00% -$413
MOLINA HEALTHCARE INC 2 0 -2 0.00% -$359
MATCH GROUP INC 11 0 -11 0.00% -$343
PAYCOM SOFTWARE INC 2 0 -2 0.00% -$270
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
NVIDIA CORP 1,093 1,400 307 7.84% $70.49K
APPLE INC COMMON STOCK 666 845 179 6.43% $56.48K
MICROSOFT CORP 334 428 94 4.90% $30.81K
PUT Amazon.com, Inc. 01/02/2026 P205 438 562 124 4.18% $44.15K
ALPHABET INC CL A 262 335 73 3.62% $40.35K
BROADCOM INC 212 273 61 3.20% $43.72K
ALPHABET INC CL C 209 269 60 2.88% $31.99K
META PLATFORMS INC CL A 98 126 28 2.16% $6.88K
TESLA INC 127 161 34 1.72% $6.78K
BERKSHIRE HATHAWAY INC-CL B COMMON STOCK 82 106 24 1.41% $10.80K
JPMORGAN CHASE and CO 122 155 33 1.36% $11.23K
LILLY ELI and CO 37 46 9 1.21% $4.62K
EXXON MOBIL CORP 190 240 50 1.04% $10.17K
MICRON TECHNOLOGY INC 50 65 15 0.94% $12.87K
Common Stock 73 94 21 0.93% $16.04K
WALMART INC 198 251 53 0.93% $9.52K
JOHNSON&JOHNSON 109 138 29 0.89% $6.95K
VISA INC-CLASS A 77 96 19 0.89% $6.88K
COSTCO WHOLESALE CORP 20 26 6 0.74% $7.57K
INTEL CORP 201 262 61 0.69% $15.41K
CATERPILLAR INC 21 27 6 0.67% $10.23K
MASTERCARD INC CL A 38 47 9 0.66% $3.16K
NETFLIX INC 190 247 57 0.65% $7.26K
ABBVIE INC 80 104 24 0.62% $4.14K
CISCO SYSTEMS INC 178 232 54 0.60% $7.29K
BANK OF AMERICA CORP COMMON STOCK 302 391 89 0.59% $4.84K
CHEVRON CORP 86 107 21 0.58% $5.47K
UNITEDHEALTH GRP 41 53 12 0.55% $7.87K
PROCTER & GAMBLE 106 132 26 0.54% $3.33K
LAM RESEARCH CORP 57 72 15 0.52% $5.26K
HOME DEPOT INC 44 56 12 0.52% $1.93K
PALANTIR TECHNOLOGIES INC 102 132 30 0.52% $3.41K
APPLIED MATERIALS INC COMMON STOCK 37 46 9 0.51% $6.22K
COCA-COLA CO/THE 173 224 51 0.49% $4.70K
GENERAL ELECTRIC CO 48 60 12 0.49% $2.67K
GE VERNOVA LLC 12 15 3 0.46% $7.54K
ORACLE CORP 76 100 24 0.45% $3.63K
MERCK & CO 111 144 33 0.44% $3.48K
GOLDMAN SACHS GROUP INC 13 17 4 0.44% $3.54K
WELLS FARGO & CO 141 183 42 0.42% $2.29K
PHILIP MORRIS INTL INC 70 91 21 0.42% $2.46K
TEXAS INSTRUMENTS INC 41 53 12 0.42% $6.06K
KLA CORP 7 8 1 0.39% $4.01K
RTX CORPORATION COMMON STOCK 60 78 18 0.39% $1.68K
LINDE PLC 21 27 6 0.38% $3.93K
CITIGROUP INC 80 104 24 0.37% $4.05K
MORGAN STANLEY 53 68 15 0.36% $3.27K
PEPSICO INC 61 79 18 0.35% $3.15K
INTL BUS MACH CORP 42 54 12 0.35% -$408
MCDONALDS CORP 32 41 9 0.34% $1.96K
VERIZON COMMUNICATIONS INC 189 246 57 0.33% $3.40K
NEXTERA ENERGY INC 93 120 27 0.33% $3.57K
QUALCOMM INC 48 63 15 0.32% $4.04K
Common Stock 22 28 6 0.32% $4.42K
AT&T INC 319 414 95 0.30% $2.46K
WALT DISNEY CO/T 80 104 24 0.30% $1.77K
BOEING CO/THE COMMON STOCK 36 47 11 0.30% $2.35K
Common Stock 56 73 17 0.30% $2.68K
ARISTA NETWORKS INC COMMON STOCK 47 62 15 0.30% $4.05K
THERMO FISHER SCIENTIFIC INC 17 22 5 0.30% $701
TJX COS INC 50 65 15 0.29% $2.70K
Common Stock 23 29 6 0.28% $2.18K
SANDISK CORPORATION 7 9 2 0.28% $5.83K
GILEAD SCIENCES INC 57 75 18 0.28% $1.72K
UNION PACIFIC CORP 27 36 9 0.27% $3.35K
BLACKROCK INC 7 9 2 0.27% $1.76K
SALESFORCE INC 42 54 12 0.27% $616
EATON CORP PLC 18 22 4 0.27% $3.20K
AMERICAN EXPRESS CO COMMON STOCK 23 29 6 0.26% $1.27K
ABBOTT LABORATORIES COMMON STOCK 78 102 24 0.26% $735
CONOCOPHILLIPS 56 73 17 0.26% $3.35K
INTUITIVE SURGICAL INC 17 20 3 0.26% $580
SCHWAB CHARLES CORP 76 99 23 0.25% $1.17K
UBER TECHNOLOGIES INC 93 120 27 0.25% $1.51K
PFIZER INC 256 333 77 0.25% $2.12K
SEAGATE TECHNOLO 10 13 3 0.25% $4.68K
WELLTOWER INC 31 40 9 0.24% $2.85K
DEERE & CO 11 14 3 0.23% $2.45K
WESTERN DIGITAL CORP 16 19 3 0.23% $4.25K
PALO ALTO NETWORKS INC 31 46 15 0.23% $2.76K
HONEYWELL INTL INC 29 38 9 0.23% $1.55K
THE BOOKING HOLDINGS INC 1 47 46 0.22% $2.91K
CORNING INC 36 47 11 0.22% $4.00K
PROLOGIS INC REIT 41 53 12 0.21% $2.17K
LOWES COS INC 26 31 5 0.21% $459
S&P GLOBAL INC 13 17 4 0.21% $470
PARKER HANNIFIN CORP 7 8 1 0.20% $724
CAPITAL ONE FINANCIAL CORP 29 38 9 0.20% $920
PROGRESSIVE CORP OHIO 27 36 9 0.20% $1.63K
ALTRIA GROUP INC 76 99 23 0.20% $2.48K
BRISTOL-MYERS SQUIBB CO 91 118 27 0.20% $2.14K
NEWMONT CORP 49 64 15 0.20% $1.60K
STARBUCKS CORP 51 66 15 0.20% $2.26K
CHUBB LTD 17 21 4 0.19% $1.60K
DANAHER CORP 29 38 9 0.19% $452
APPLOVIN CORP 12 15 3 0.19% $1.02K
ACCENTURE PLC-A 28 37 9 0.19% -$770
QUANTA SERVICES INC COMMON STOCK 7 9 2 0.18% $3.23K
TRANE TECHNOLOGI 10 13 3 0.18% $2.20K
STRYKER CORP 16 20 4 0.18% $390
CVS HEALTH CORP 57 75 18 0.18% $2.00K
CROWDSTRIKE HOLDINGS INC 11 14 3 0.18% $1.39K
LOCKHEED MARTIN CORP 9 12 3 0.17% $508
SOUTHERN CO 49 64 15 0.17% $1.81K
MEDTRONIC PLC 58 76 18 0.17% $182
ADOBE INC 19 25 6 0.17% $581
DUKE ENERGY CORP NEW 36 47 11 0.17% $1.72K
CME GROUP INC CL A 17 21 4 0.17% $1.13K
VERTEX PHARMACEUTICALS INC 11 14 3 0.17% $814
HOWMET AEROSPACE INC 18 24 6 0.16% $2.09K
INTUIT INC 12 15 3 0.16% -$160
SYNOPSYS INC 9 12 3 0.16% $1.61K
MCKESSON CORP 6 7 1 0.16% $719
COMCAST CORP CL A 162 210 48 0.16% $859
INTERCONTINENTAL EXCHANGE INC 26 35 9 0.16% $1.01K
SERVICENOW INC 47 62 15 0.15% -$24
EQUINIX INC 4 5 1 0.15% $2.13K
JOHNSON CONTROLS 28 37 9 0.15% $2.06K
BANK OF NEW YORK MELLON CORP COMMON STOCK 31 40 9 0.15% $1.66K
CUMMINS INC 7 8 1 0.15% $1.32K
PNC FINANCIAL SERVICES GRP INC 18 24 6 0.15% $1.33K
WASTE MANAGEMENT INC 17 23 6 0.15% $1.57K
T-MOBILE US INC 21 27 6 0.15% $1.14K
WILLIAMS COS INC 54 69 15 0.15% $1.63K
FEDEX CORP 10 13 3 0.15% $2.02K
US BANCORP DEL 70 91 21 0.14% $1.23K
BLACKSTONE INC 32 41 9 0.14% $591
AUTOMATIC DATA PROCESSING COMMON STOCK 18 24 6 0.14% $644
BOSTON SCIENTIFIC CORP 67 88 21 0.14% -$1.20K
CONSTELLATION ENERGY CORP 13 16 3 0.14% $1.36K
SLB LTD 67 88 21 0.14% $1.76K
O'REILLY AUTOMOTIVE INC 38 50 12 0.14% $1.23K
CADENCE DESIGN SYSTEMS INC 12 15 3 0.14% $1.39K
AMERICAN TOWER CORP 21 27 6 0.14% $1.17K
ELEVANCE HEALTH INC COMMON STOCK 10 13 3 0.14% $1.44K
CSX CORP 83 107 24 0.14% $1.73K
US ULTRA BOND CBT Sep25 3 9 6 0.14% -$2.06K
GENERAL DYNAMICS CORPORATION 11 14 3 0.14% $958
EMERSON ELECTRIC CO 26 34 8 0.13% $954
MARRIOTT INTL-A 10 13 3 0.13% $1.55K
MARSH & MCLENNAN 22 28 6 0.13% $556
FREEPORT MCMORAN INC 63 81 18 0.13% $886
MONDELEZ INTL INC 58 76 18 0.13% $1.28K
NORTHROP GRUMMAN CORP 7 8 1 0.13% -$210
MOODYS CORP 7 10 3 0.13% $1.01K
CRH PLC 30 39 9 0.13% $946
UNITED PARCEL SERVICE INC CL B 32 41 9 0.13% $1.06K
THE CIGNA GROUP 12 15 3 0.12% $1.07K
PHILLIPS 66 18 24 6 0.12% $1.72K
3M CO 23 29 6 0.12% $726
HILTON WORLDWIDE HOLDINGS INC 10 13 3 0.12% $1.23K
COLGATE-PALMOLIVE CO 37 49 12 0.12% $842
SHERWIN WILLIAMS CO 10 13 3 0.12% $635
KKR & CO INC 31 40 9 0.12% $632
NXP SEMICONDUCTO 11 14 3 0.12% $1.62K
NORFOLK SOUTHERN CORP 10 13 3 0.12% $1.19K
EOG RESOURCES INC 23 29 6 0.11% $1.50K
GENERAL MOTORS CO 41 53 12 0.11% $631
AON PLC-CLASS A 10 13 3 0.11% $555
VALERO ENERGY CORP 13 16 3 0.11% $1.68K
AMERICAN ELECTRIC POWER COMMON STOCK 23 29 6 0.11% $1.22K
MARATHON PETROLEUM CORP 13 16 3 0.11% $1.68K
TRAVELERS COS INC/THE COMMON STOCK 10 13 3 0.11% $1.12K
CARVANA CO CL A 7 10 3 0.11% $1.15K
MOTOROLA SOLUTIONS INC 8 9 1 0.11% $731
TRUIST FINL CORP 58 76 18 0.11% $932
HCA HEALTHCARE INC 8 9 1 0.11% $4
AIR PRODUCTS & CHEMICALS INC COMMON STOCK 10 13 3 0.11% $1.18K
WARNER BROS DISCOVERY INC 111 144 33 0.11% $838
DOORDASH INC-A 17 23 6 0.11% $400
ROSS STORES INC 14 17 3 0.11% $1.23K
KEYSIGHT TECHNOLOGIES INC 8 11 3 0.11% $2.12K
L3HARRIS TECHNOLOGIES INC 9 12 3 0.11% $761
CINTAS CORP 16 22 6 0.11% $781
BAKER HUGHES CO 43 55 12 0.11% $1.42K
KINDER MORGAN INC 88 115 27 0.11% $1.10K
CENCORA INC COMMON STOCK 9 12 3 0.10% $463
ROYAL CARIBBEAN 11 14 3 0.10% $121
COMFORT SYSTEMS USA INC 1 2 1 0.10% $2.54K
ECOLAB INC 11 14 3 0.10% $547
SEMPRA ENERGY 29 38 9 0.10% $1.09K
ILLINOIS TOOL WORKS INC 11 14 3 0.10% $738
REGENERON PHARMACEUTICALS INC 4 5 1 0.10% $570
AIRBNB INC-CLASS A COMMON STOCK 19 25 6 0.10% $1.05K
ROBINHOOD MARKETS INC 36 48 12 0.10% -$83
TRANSDIGM GROUP INC 2 3 1 0.10% $625
APOLLO GLOBAL MANAGEMENT INC 21 27 6 0.10% $650
SIMON PROPERTY 14 17 3 0.10% $785
PACCAR INC 23 29 6 0.10% $618
ONEOK INC 28 37 9 0.10% $1.20K
REALTY INCOME CORP REIT 41 53 12 0.10% $897
TE CONNECTIVITY 13 16 3 0.10% $490
TARGA RESOURCES CORP 10 13 3 0.09% $1.37K
TARGET CORP COMMON STOCK 20 26 6 0.09% $1.26K
DELL TECHNOLOGIES INC CL C 13 16 3 0.09% $1.86K
PUBLIC STORAGE 8 11 3 0.09% $1.12K
DOMINION ENERGY INC 38 50 12 0.09% $939
DIGITAL REALTY TRUST INC 13 16 3 0.09% $1.06K
FORTINET INC COMMON STOCK 29 38 9 0.09% $847
CORTEVA INC 30 39 9 0.09% $975
CARRIER GLOBAL CORP 36 47 11 0.09% $1.01K
TERADYNE INC 8 9 1 0.09% $1.16K
MONSTER BEVERAGE CORP 31 40 9 0.09% $579
AUTODESK INC COMMON STOCK 10 13 3 0.09% $552
AFLAC INC COMMON STOCK 21 27 6 0.09% $739
ENTERGY CORP 20 26 6 0.09% $1.15K
AMETEK INC COMMON STOCK 10 13 3 0.09% $822
ALLSTATE CORP COMMON STOCK 11 14 3 0.09% $853
EDWARDS LIFESCIENCES CORP COMMON STOCK 27 36 9 0.08% $809
ZOETIS INC CL A 20 26 6 0.08% $493
XCEL ENERGY INC 27 36 9 0.08% $933
NIKE INC CL B 52 67 15 0.08% -$242
WESTINGHOUSE AIR BRAKE TECH CORP 8 11 3 0.08% $1.13K
FASTENAL CO 51 66 15 0.08% $754
NUCOR CORP 10 13 3 0.08% $1.15K
ARTHUR J GALLAGHAR AND CO 11 14 3 0.08% $147
UNITED RENTALS INC 2 3 1 0.08% $1.32K
EXELON CORP 46 61 15 0.08% $746
GARMIN LTD 8 11 3 0.08% $1.15K
FORD MOTOR CO 175 228 53 0.08% $325
MICROCHIP TECHNOLOGY 23 29 6 0.08% $948
EBAY INC 20 26 6 0.08% $866
FIFTH THIRD BANCORP 29 53 24 0.08% $1.23K
PAYPAL HOLDINGS 41 53 12 0.07% $497
ELECTRONIC ARTS INC 10 13 3 0.07% $592
CHIPOTLE MEXICAN GRILL INC 59 77 18 0.07% $324
DELTA AIR LI 29 38 9 0.07% $673
CONSOLIDATED EDISON INC 17 23 6 0.07% $752
VISTRA CORP 13 16 3 0.07% $467
KROGER CO 28 37 9 0.07% $759
REPUBLIC SVCS 9 12 3 0.07% $575
CARDINAL HEALTH INC 10 13 3 0.07% $359
NASDAQ INC 21 27 6 0.07% $447
DIAMONDBACK ENERGY INC 9 12 3 0.07% $992
VENTAS INC REIT 22 28 6 0.07% $751
COINBASE GLOBAL INC 10 13 3 0.07% $494
OCCIDENTAL PETROLEUM CORP 31 40 9 0.07% $1.02K
ON SEMICONDUCTOR CORP 18 24 6 0.07% $1.34K
METLIFE INC 24 30 6 0.07% $510
YUM! BRANDS INC 12 15 3 0.07% $529
TAKE-TWO INTERACTV SOFTWR INC 8 11 3 0.07% $589
OLD DOMINION FRT 8 11 3 0.07% $951
KEURIG DR PEPPER INC 61 79 18 0.07% $649
DR HORTON INC 12 15 3 0.06% $522
STATE STREET CORP 12 15 3 0.06% $722
STEEL DYNAMICS INC 7 10 3 0.06% $1.03K
PUB SERV ENTERP 22 28 6 0.06% $475
DOVER CORP 7 10 3 0.06% $854
DATADOG INC CL A 14 17 3 0.06% $437
IDEXX LABS INC 3 4 1 0.06% $232
BECTON DICKINSON AND CO COMMON STOCK 12 15 3 0.06% -$206
EXPEDIA INC 6 9 3 0.06% $646
EQT CORPORATION 28 37 9 0.06% $607
CROWN CASTLE INC 19 25 6 0.06% $570
HEWLETT PACKARD ENTERPRISE CO 59 77 18 0.06% $946
M&T BANK CORP 7 10 3 0.06% $635
ARCH CAPITAL GRP 17 23 6 0.06% $540
AMERICAN INTERNATIONAL GROUP COMMON STOCK 23 29 6 0.06% $447
PRUDENTL FINL 16 22 6 0.06% $381
CBRE GROUP INC - CL A 12 15 3 0.06% $97
RESMED INC 7 10 3 0.06% $330
HUMANA INC 6 9 3 0.06% $957
PG&E CORP 98 128 30 0.06% $616
HALLIBURTON CO 38 50 12 0.06% $841
ATMOS ENERGY CORP COMMON STOCK 8 11 3 0.06% $759
INTERACTIVE BROKERS GROUP INC 20 26 6 0.06% $569
HARTFORD INSURANCE GROUP INC/THE 12 15 3 0.06% $431
BLOCK INC CL A 23 29 6 0.06% $655
SYSCO CORP 21 27 6 0.06% $256
ARCHER-DANIELS-MIDLAND CO COMMON STOCK 21 27 6 0.06% $599
WEC ENERGY GROUP INC 14 17 3 0.06% $456
NORTHERN TRUST CORP 9 12 3 0.06% $651
KENVUE INC 86 113 27 0.06% $484
DEVON ENERGY CORP 28 37 9 0.05% $775
AMERIPRISE FINANCIAL INC 3 4 1 0.05% $318
BIOGEN INC 7 10 3 0.05% $634
IRON MOUNTAIN INC 12 15 3 0.05% $784
TAPESTRY INC 10 13 3 0.05% $616
OTIS WORLDWIDE CORP 18 24 6 0.05% $332
NRG ENERGY INC 9 12 3 0.05% $493
HERSHEY CO/THE 7 10 3 0.05% $494
MARTIN MAR MTLS 2 3 1 0.05% $553
VERISK ANALYTICS INC 7 10 3 0.05% $323
VICI PROPERTIES 48 63 15 0.05% $492
INGERSOLL RAND INC 17 23 6 0.05% $373
AVALONBAY COMMUNITIES INC REIT 7 10 3 0.05% $586
DTE ENERGY CO 9 12 3 0.05% $611
FISERV INC 23 29 6 0.05% $351
DARDEN RESTAURANTS INC 6 9 3 0.05% $609
DOW INC 35 44 9 0.05% $817
ALBEMARLE CORP COMMON STOCK 6 9 3 0.05% $747
EVERSOURCE ENERGY 19 25 6 0.05% $454
SYNCHRONY FINANCIAL 17 23 6 0.05% $518
IQVIA HOLDINGS INC 8 11 3 0.05% -$99
RAYMOND JAMES FINANCIAL INC. 8 11 3 0.05% $415
LIVE NATION ENTERTAINMENT INC 8 11 3 0.05% $574
EDISON INTL 19 25 6 0.05% $554
AGILENT TECHNOLOGIES INC 12 15 3 0.05% $127
COPART INC 40 52 12 0.05% $99
EXTRA SPACE STORAGE INC 9 12 3 0.05% $478

Top 300 of 433, by weight.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
ROCKWELL AUTOMATION INC 6 5 -1 0.06% -$485
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
AUTOZONE INC COMMON STOCK 1 1 0 0.10% -$0
MONOLITHIC POWER SYS INC 2 2 0 0.09% $981
WW GRAINGER INC 2 2 0 0.07% $163
VULCAN MATERIALS CO 7 7 0 0.06% $8
EMCOR GROUP INC 2 2 0 0.05% $342
MSCI INC 3 3 0 0.05% -$53
ROPER TECHNOLOGIES INC 4 4 0 0.04% -$66
JABIL INC 4 4 0 0.04% $401
TELEDYNE TECHNOLOGIES INC 2 2 0 0.04% $51
METTLER-TOLEDO INTL INC 1 1 0 0.04% -$97
AXON ENTERPRISE INC 3 3 0 0.03% -$245
CBOE GLOBAL MARKETS INC 4 4 0 0.03% $140
ULTA BEAUTY INC 2 2 0 0.03% -$220
FAIR ISAAC CORP 1 1 0 0.03% -$438
HUBBELL INC 2 2 0 0.03% $40
WEST PHARMACEUTICAL SVCS INC 3 3 0 0.03% $199
TEXAS PACIFIC LAND CORP 2 2 0 0.02% $191
SBA COMMUNICATIONS CORP 4 4 0 0.02% $148
FIRST SOLAR INC 4 4 0 0.02% -$95
VERISIGN INC COMMON STOCK 3 3 0 0.02% $73
LABCORP HOLDINGS INC 3 3 0 0.02% -$44
WILLIS TOWERS WA 3 3 0 0.02% -$184
SNAP-ON INCORPORATED 2 2 0 0.02% $35
HUNT J B TRANSPORT SERVICES IN 3 3 0 0.02% $146
TYLER TECHNOLOGIES INC 2 2 0 0.02% -$57
IDEX CORPORATION 3 3 0 0.02% $58
STERIS PLC 3 3 0 0.02% -$137
F5 INC 2 2 0 0.02% $97
PACKAGING CORP OF AMERICA 3 3 0 0.02% -$27
CORPAY INC 2 2 0 0.02% -$16
NORDSON CORP 2 2 0 0.02% $28
LULULEMON ATHLETICA INC 4 4 0 0.02% -$147
LENNOX INTL INC 1 1 0 0.02% $40
ALIGN TECHNOLOGY INC COMMON STOCK 3 3 0 0.01% $39
ESSEX PROPERTY TRUST INC 2 2 0 0.01% $23
GENERAC HOLDINGS INC 2 2 0 0.01% $182
CHARTER COMMUNICATIONS INC A 3 3 0 0.01% -$123
AVERY DENNISON CORP COMMON STOCK 3 3 0 0.01% -$65
ASSURANT INC 2 2 0 0.01% -$4
GLOBE LIFE INC COMMON STOCK 3 3 0 0.01% $42
JACK HENRY 3 3 0 0.01% -$76
ZEBRA TECHNOLOGIES CORP CL A 2 2 0 0.01% -$17
GARTNER INC 3 3 0 0.01% -$183
CAMDEN PROP TR 4 4 0 0.01% -$16
ALLEGION PLC 3 3 0 0.01% -$84
BUILDERS FIRSTSOURCE 5 5 0 0.01% -$177
JM SMUCKER CO/THE 4 4 0 0.01% -$27
TKO GROUP HOLDINGS INC 2 2 0 0.01% -$33
HUNTINGTON INGALLS INDUSTRIES INC 1 1 0 0.01% -$56
RALPH LAUREN CORP 1 1 0 0.01% $5
EVEREST RE GROUP 1 1 0 0.01% $25
INSULET CORP 2 2 0 0.01% -$167
DOMINOS PIZZA INC 1 1 0 0.01% -$71
UNIVERSAL HLTH-B 2 2 0 0.01% -$66
CHARLES RIVER LABS INTL INC 2 2 0 0.01% -$87
FED REALTY INVS 3 3 0 0.01% $29
WYNN RESORTS LTD 3 3 0 0.01% -$1
DAVITA INC 2 2 0 0.01% $92
HENRY SCHEIN INC 4 4 0 0.01% -$4
FACTSET RESEARCH SYSTEMS INC 1 1 0 0.01% -$27
EPAM SYSTEMS INC 2 2 0 0.01% -$190
ERIE INDEMNITY CO CL A 1 1 0 0.01% -$64
POOL CORP 1 1 0 0.01% -$41

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