| 2,901 | Amneal Pharmaceuticals Inc | 52,543 | 653.1K $ | |
| 2,902 | N-able Inc/US | 139,773 | 652.7K $ | |
| 2,903 | Smartstop Self Storage REIT Inc | 21,518 | 651.6K $ | |
| 2,904 | Timothy Plan | 15,753 | 651.5K $ | |
| 2,905 | Yieldmax CRCL Option Income Strategy ETF | 28,875 | 651.1K $ | |
| 2,906 | Sagimet Biosciences Inc | 124,604 | 651.1K $ | |
| 2,907 | Central Garden & Pet Co | 20,061 | 650.4K $ | |
| 2,908 | Aeluma Inc | 49,677 | 650.3K $ | |
| 2,909 | Arlo Technologies Inc | 45,676 | 650K $ | |
| 2,910 | Enact Holdings Inc | 15,925 | 649.9K $ | |
| 2,911 | Solid Power Inc | 216,580 | 649.7K $ | |
| 2,912 | Pampa Energia SA | 7,340 | 649.6K $ | |
| 2,913 | Driven Brands Holdings Inc | 51,501 | 649.4K $ | |
| 2,914 | UMH Properties Inc | 44,969 | 648.9K $ | |
| 2,915 | Douglas Emmett Inc | 68,634 | 646.5K $ | |
| 2,916 | Clearshares Ultra-Short Maturi | 6,459 | 646.4K $ | |
| 2,917 | ALLIANZIM US BF15 UNCAP JAN | 23,646 | 646.3K $ | |
| 2,918 | ProShares Ultra Financials | 8,785 | 644.9K $ | |
| 2,919 | Coca-Cola Consolidated Inc | 3,361 | 644.4K $ | |
| 2,920 | Humacyte Inc | 1,058,048 | 641.9K $ | |
| 2,921 | First Trust Exchange Traded Fund VI | 27,941 | 641.2K $ | |
| 2,922 | Mercantile Bank Corp | 12,693 | 641K $ | |
| 2,923 | ProShares Ultra Bloomberg Natu | 39,737 | 640.6K $ | |
| 2,924 | Edgewell Personal Care Co | 29,969 | 639.5K $ | |
| 2,925 | NEONC TECHNOLOGIES HOLDINGS INC | 91,036 | 638.2K $ | |
| 2,926 | Sprinklr Inc | 106,327 | 638K $ | |
| 2,927 | Greif Inc | 9,507 | 637.6K $ | |
| 2,928 | Nuveen Municipal Value Fund Inc | 70,902 | 637.4K $ | |
| 2,929 | Capital Group Ultra Short Inco | 25,166 | 636.2K $ | |
| 2,930 | First Trust Exchange-Traded Fund IV | 30,323 | 635.6K $ | |
| 2,931 | Kennedy-Wilson Holdings Inc | 58,621 | 634.3K $ | |
| 2,932 | Albany International Corp | 12,143 | 634K $ | |
| 2,933 | McEwen Inc | 31,010 | 633.2K $ | |
| 2,934 | Diversified Healthcare Trust | 95,322 | 632.9K $ | |
| 2,935 | Progyny Inc | 37,274 | 632.9K $ | |
| 2,936 | OS THERAPIES INC | 448,737 | 632.7K $ | |
| 2,937 | Larimar Therapeutics Inc | 140,060 | 630.3K $ | |
| 2,938 | Innovative Industrial Properties Inc | 12,532 | 628.6K $ | |
| 2,939 | Reckoner Yield Enhanced AAA CL | 25,121 | 627.8K $ | |
| 2,940 | First Trust Exchange-Traded AlphaDEX Fund II | 10,459 | 627.7K $ | |
| 2,941 | Transportadora de Gas del Sur SA | 18,123 | 627.2K $ | |
| 2,942 | Alpha Pro Tech Ltd | 141,226 | 627K $ | |
| 2,943 | BlackRock Taxable Municipal Bond Trust | 38,778 | 627K $ | |
| 2,944 | Fresenius Medical Care AG | 27,792 | 627K $ | |
| 2,945 | Kforce Inc | 21,438 | 626.8K $ | |
| 2,946 | Innovex International Inc | 25,676 | 626.2K $ | |
| 2,947 | FIDELITY COVINGTON TRUST | 18,407 | 626.2K $ | |
| 2,948 | Enovis Corp | 27,525 | 626.2K $ | |
| 2,949 | T. Rowe Price Capital Appreciation Equity ETF | 17,525 | 623.7K $ | |
| 2,950 | TIC Solutions Inc | 94,703 | 623.1K $ | |
| 2,951 | Virtus Convertible & Income Fund II | 46,403 | 622.3K $ | |
| 2,952 | VanEck Ethereum ETF | 20,217 | 619.7K $ | |
| 2,953 | Invesco RAFI US 1000 ETF | 13,037 | 619.6K $ | |
| 2,954 | ALLIANZIM US 6M BF10 MAR-SEP | 19,805 | 619.1K $ | |
| 2,955 | Universal Corp/VA | 11,738 | 618.6K $ | |
| 2,956 | CHILDRENS PLACE INC | 184,089 | 618.5K $ | |
| 2,957 | Nuveen NASDAQ 100 Dynamic Overwrite Fund | 23,169 | 617.9K $ | |
| 2,958 | Inseego Corp | 55,555 | 617.8K $ | |
| 2,959 | Gibraltar Industries Inc | 15,472 | 616.9K $ | |
| 2,960 | NEOVOLTA INC | 200,167 | 616.5K $ | |
| 2,961 | Morgan Stanley Direct Lending Fund | 44,144 | 616.3K $ | |
| 2,962 | Nuvation Bio Inc | 143,613 | 616.1K $ | |
| 2,963 | CBL & Associates Properties Inc | 16,019 | 615.6K $ | |
| 2,964 | Intapp Inc | 23,937 | 614.9K $ | |
| 2,965 | iShares Convertible Bond ETF | 6,028 | 613.6K $ | |
| 2,966 | Zymeworks Inc | 24,421 | 611.5K $ | |
| 2,967 | OptimumBank Holdings Inc | 119,758 | 610.8K $ | |
| 2,968 | iShares Trust | 13,129 | 610.8K $ | |
| 2,969 | Chimera Investment Corp | 48,660 | 610.7K $ | |
| 2,970 | State Street SPDR Portfolio Long Term Corporate Bond ETF | 27,470 | 610.4K $ | |
| 2,971 | Travel + Leisure Co | 8,813 | 609.8K $ | |
| 2,972 | State Street SPDR S&P Kensho F | 7,119 | 609K $ | |
| 2,973 | Digi International Inc | 12,630 | 608.8K $ | |
| 2,974 | Helix Energy Solutions Group Inc | 61,510 | 608.3K $ | |
| 2,975 | Protara Therapeutics Inc | 116,626 | 607.6K $ | |
| 2,976 | Silence Therapeutics PLC | 115,281 | 607.5K $ | |
| 2,977 | State Street SPDR S&P Kensho N | 10,379 | 606.9K $ | |
| 2,978 | British American Tobacco PLC | 10,375 | 606.6K $ | |
| 2,979 | iShares Expanded Tech Sector ETF | 5,116 | 606.3K $ | |
| 2,980 | Fulgent Genetics Inc | 38,078 | 605.4K $ | |
| 2,981 | Invesco S&P 500 Low Volatility | 8,274 | 605.2K $ | |
| 2,982 | Deluxe Corp | 21,936 | 604.1K $ | |
| 2,983 | Resolute Holdings Management Inc | 3,720 | 603.8K $ | |
| 2,984 | Graniteshares Yieldboost Tsla Etf | 173,987 | 603.7K $ | |
| 2,985 | BlackRock Corporate High Yield Fund Inc. | 70,824 | 603.4K $ | |
| 2,986 | Redwood Trust Inc | 107,542 | 603.3K $ | |
| 2,987 | First Trust Exchange-Traded Fund VIII | 18,501 | 601.8K $ | |
| 2,988 | Central Pacific Financial Corp | 18,820 | 601.5K $ | |
| 2,989 | Daktronics Inc | 30,732 | 600.8K $ | |
| 2,990 | SPDR Series Trust | 19,969 | 600.5K $ | |
| 2,991 | Aeva Technologies Inc | 45,448 | 598.1K $ | |
| 2,992 | Worthington Enterprises Inc | 11,464 | 597.7K $ | |
| 2,993 | MillerKnoll Inc | 41,276 | 596.9K $ | |
| 2,994 | First Trust Exchange-Traded Fund VIII | 14,637 | 596.8K $ | |
| 2,995 | First Trust Exchange Traded Fund VI | 23,610 | 596.6K $ | |
| 2,996 | Tyra Biosciences Inc | 15,543 | 595.3K $ | |
| 2,997 | Embraer SA | 10,030 | 595.2K $ | |
| 2,998 | Amerant Bancorp Inc | 26,988 | 594.8K $ | |
| 2,999 | Univest Financial Corp | 17,319 | 593.3K $ | |
| 3,000 | Invesco S&P 500 Equal Weight C | 20,108 | 593.2K $ | |