| 1,401 | Goldman Sachs ActiveBeta Emerging Markets Equity ETF | 6,157 | 266K $ | |
| 1,402 | Rexford Industrial Realty Inc | 8,064 | 263.9K $ | |
| 1,403 | Sociedad Quimica y Minera de Chile SA | 3,256 | 263.5K $ | |
| 1,404 | Trimble Inc | 4,032 | 263K $ | |
| 1,405 | Molson Coors Beverage Co | 6,108 | 263K $ | |
| 1,406 | Invesco Exchange-Traded Fund Trust | 2,370 | 259.5K $ | |
| 1,407 | Ryder System Inc | 1,267 | 259.4K $ | |
| 1,408 | First Trust Exchange Traded Fund VI | 12,994 | 258.8K $ | |
| 1,409 | Pool Corp | 1,275 | 258.1K $ | |
| 1,410 | FS Credit Opportunities Corp | 50,563 | 257.9K $ | |
| 1,411 | Stifel Financial Corp | 3,466 | 256.2K $ | |
| 1,412 | RELX PLC | 7,691 | 255K $ | |
| 1,413 | Rivian Automotive Inc | 16,912 | 254.5K $ | |
| 1,414 | Penn Entertainment Inc | 16,922 | 254.3K $ | |
| 1,415 | Hexcel Corp | 3,136 | 253.8K $ | |
| 1,416 | Lumen Technologies Inc | 36,371 | 252.8K $ | |
| 1,417 | Cambria Foreign Shareholder Yi | 6,747 | 251.9K $ | |
| 1,418 | Vanguard 0-3 Month Treasury Bi | 3,311 | 250.5K $ | |
| 1,419 | Graco Inc | 2,950 | 249.7K $ | |
| 1,420 | VF Corp | 14,628 | 248.5K $ | |
| 1,421 | STMicroelectronics NV | 7,172 | 247.8K $ | |
| 1,422 | Vanguard World Fund | 3,810 | 247.5K $ | |
| 1,423 | State Street SPDR ICE Preferre | 8,010 | 247K $ | |
| 1,424 | Best Buy Co Inc | 3,843 | 246.7K $ | |
| 1,425 | Extra Space Storage Inc | 1,881 | 246.7K $ | |
| 1,426 | Ares Capital Corp | 13,675 | 246.4K $ | |
| 1,427 | FT Vest Laddered Buffer ETF | 7,216 | 243.7K $ | |
| 1,428 | iShares Trust | 8,409 | 243.4K $ | |
| 1,429 | Somnigroup International Inc | 3,293 | 243.4K $ | |
| 1,430 | Nuveen New Jersey Quality Muni | 19,754 | 243K $ | |
| 1,431 | Cheniere Energy Partners LP | 3,744 | 242K $ | |
| 1,432 | INVESCO VAN KAMPEN TR INVT GRADE MUNS | 24,439 | 241.2K $ | |
| 1,433 | iShares U.S. Broker-Dealers & Securities Exchanges ETF | 1,469 | 241.2K $ | |
| 1,434 | RingCentral Inc | 6,477 | 240.9K $ | |
| 1,435 | Kimco Realty Corp | 10,680 | 240K $ | |
| 1,436 | PIMCO (US) | 51,593 | 238.9K $ | |
| 1,437 | Lamb Weston Holdings Inc | 5,612 | 237.2K $ | |
| 1,438 | MFS MUN INCOME TR | 43,863 | 236.4K $ | |
| 1,439 | NNN REIT Inc | 5,620 | 236.2K $ | |
| 1,440 | First Trust Exchange-Traded AlphaDEX Fund II | 4,323 | 236.1K $ | |
| 1,441 | Plains All American Pipeline L | 10,545 | 235.5K $ | |
| 1,442 | Invesco Municipal Income Opportunities Trust | 37,979 | 233.2K $ | |
| 1,443 | iShares Trust | 5,339 | 232.9K $ | |
| 1,444 | Federated Hermes Inc | 4,088 | 231.8K $ | |
| 1,445 | ASE Technology Holding Co Ltd | 10,693 | 231.8K $ | |
| 1,446 | Universal Health Services Inc | 1,294 | 231.5K $ | |
| 1,447 | FNB Corp/PA | 13,840 | 231.4K $ | |
| 1,448 | Voya Financial Inc | 3,377 | 230.7K $ | |
| 1,449 | Charter Communications, Inc. | 1,065 | 229.9K $ | |
| 1,450 | Entegris Inc | 1,958 | 229.5K $ | |
| 1,451 | Vail Resorts Inc | 1,784 | 229K $ | |
| 1,452 | Elanco Animal Health Inc | 9,548 | 228.5K $ | |
| 1,453 | J P Morgan Exchange Traded Fund Trust | 4,244 | 228.2K $ | |
| 1,454 | Veralto Corp | 2,580 | 228.1K $ | |
| 1,455 | Invesco China Technology ETF | 4,955 | 228K $ | |
| 1,456 | J.P. MORGAN EXCHANGE-TRADED FUND TRUST | 3,068 | 227.8K $ | |
| 1,457 | Medpace Holdings Inc | 472 | 226.7K $ | |
| 1,458 | Fox Corp | 3,876 | 226.4K $ | |
| 1,459 | Timothy Plan | 5,324 | 226K $ | |
| 1,460 | RBC Bearings Inc | 416 | 225.9K $ | |
| 1,461 | iShares iBonds Dec 2033 Term C | 8,737 | 225.9K $ | |
| 1,462 | United Therapeutics Corp | 379 | 224.7K $ | |
| 1,463 | Western Asset Municipal High Income Fund Inc | 32,335 | 224.4K $ | |
| 1,464 | German American Bancorp Inc | 5,350 | 223.6K $ | |
| 1,465 | Regency Centers Corp | 2,937 | 222.2K $ | |
| 1,466 | Sonoco Products Co | 4,108 | 222.2K $ | |
| 1,467 | ClearBridge Energy Midstream O | 4,193 | 221.5K $ | |
| 1,468 | Eaton Vance Tax Mn | 15,325 | 221K $ | |
| 1,469 | Melco Resorts & Entertainment Ltd | 38,762 | 220.2K $ | |
| 1,470 | New Jersey Resources Corp | 3,993 | 219.3K $ | |
| 1,471 | Travel + Leisure Co | 3,162 | 218.8K $ | |
| 1,472 | Tanger Inc | 6,425 | 218.3K $ | |
| 1,473 | Blue Owl Capital Corp | 19,625 | 217.1K $ | |
| 1,474 | Flexshares Trust | 6,839 | 216.6K $ | |
| 1,475 | SRH Total Return Fund Inc | 12,550 | 214.6K $ | |
| 1,476 | Lithia Motors Inc | 858 | 214.3K $ | |
| 1,477 | iShares MSCI USA Size Factor ETF | 1,344 | 214.3K $ | |
| 1,478 | nCino Inc | 14,286 | 214K $ | |
| 1,479 | NewMarket Corp | 333 | 213.4K $ | |
| 1,480 | Kontoor Brands Inc | 3,026 | 212.7K $ | |
| 1,481 | H&R Block Inc | 6,668 | 211.6K $ | |
| 1,482 | Equity Residential | 3,565 | 210.9K $ | |
| 1,483 | Franklin Financial Services Corp | 4,115 | 210.2K $ | |
| 1,484 | NIO Inc | 34,842 | 210.1K $ | |
| 1,485 | Qorvo Inc | 2,708 | 209.6K $ | |
| 1,486 | Dimensional Emerging Markets V | 5,823 | 208.4K $ | |
| 1,487 | Highwoods Properties Inc | 9,683 | 207.3K $ | |
| 1,488 | Universal Display Corp | 2,256 | 206.8K $ | |
| 1,489 | SL Green Realty Corp | 5,584 | 206.3K $ | |
| 1,490 | Invesco Variable Rate Investment Grade ETF | 8,228 | 206K $ | |
| 1,491 | Annaly Capital Management Inc | 9,687 | 204.9K $ | |
| 1,492 | Putnam Municipal Opportunities Trust | 19,778 | 203.7K $ | |
| 1,493 | DT Midstream Inc | 1,506 | 202.8K $ | |
| 1,494 | InvenTrust Properties Corp | 6,658 | 202.8K $ | |
| 1,495 | FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND | 9,018 | 202.5K $ | |
| 1,496 | Coca-Cola Consolidated Inc | 1,055 | 202.3K $ | |
| 1,497 | Estee Lauder Cos Inc/The | 2,808 | 201.5K $ | |
| 1,498 | TG Therapeutics Inc | 6,066 | 201.5K $ | |
| 1,499 | Brown-Forman Corp | 7,585 | 200.5K $ | |
| 1,500 | Bentley Systems Inc | 5,695 | 200K $ | |