| 601 | Cloudflare Inc | 4,034 | 832.4K $ | |
| 602 | Vanguard World Fund | 2,662 | 831.3K $ | |
| 603 | Kratos Defense & Security Solutions, Inc. | 11,695 | 824.6K $ | |
| 604 | T-Mobile US Inc | 3,895 | 818K $ | |
| 605 | First Financial Bankshares Inc | 27,492 | 809.6K $ | |
| 606 | Invesco Exchange-Traded Fund Trust | 13,557 | 807.3K $ | |
| 607 | Ross Stores Inc | 3,711 | 803.8K $ | |
| 608 | Xcel Energy Inc | 10,092 | 801.7K $ | |
| 609 | PIMCO 0-5 Year High Yield Corp | 8,577 | 800K $ | |
| 610 | VanEck Uranium and Nuclear ETF | 5,995 | 798.5K $ | |
| 611 | Archer-Daniels-Midland Co | 10,908 | 792.9K $ | |
| 612 | iShares S&P Small-Cap 600 Growth ETF | 5,462 | 790.4K $ | |
| 613 | Dimensional ETF Trust | 21,329 | 784K $ | |
| 614 | Global X 1-3 Month T-Bill ETF | 7,797 | 782.5K $ | |
| 615 | Ameren Corp | 7,034 | 773.2K $ | |
| 616 | Apyx Medical Corp | 208,788 | 770.4K $ | |
| 617 | Vanguard World Fund | 3,884 | 769.6K $ | |
| 618 | ISHARES TRUST | 28,738 | 767.9K $ | |
| 619 | Vanguard Scottsdale Funds | 12,853 | 765.4K $ | |
| 620 | Sysco Corp | 10,658 | 760.3K $ | |
| 621 | Global Partners LP/MA | 18,000 | 757.8K $ | |
| 622 | VF Corp | 44,597 | 757.7K $ | |
| 623 | Cencora Inc | 2,408 | 756.5K $ | |
| 624 | Innovator U.S. Equity Power Bu | 18,820 | 754.7K $ | |
| 625 | Qnity Electronics Inc | 6,501 | 750.1K $ | |
| 626 | EQT Corp | 11,779 | 749.6K $ | |
| 627 | Intuit Inc | 1,732 | 748.7K $ | |
| 628 | Carter Bankshares Inc | 32,097 | 748.5K $ | |
| 629 | British American Tobacco PLC | 12,721 | 743.8K $ | |
| 630 | Ecolab Inc | 2,779 | 739.3K $ | |
| 631 | iShares ESG Aware MSCI USA ETF | 5,191 | 734.2K $ | |
| 632 | Hycroft Mining Holding Corp | 20,610 | 725.5K $ | |
| 633 | Vistra Corp | 4,809 | 723K $ | |
| 634 | Berkshire Hathaway Inc | 1 | 718.1K $ | |
| 635 | Freeport-McMoRan Inc | 12,213 | 717.9K $ | |
| 636 | Vanguard S&P 500 Growth ETF | 1,754 | 715.3K $ | |
| 637 | Viking Therapeutics Inc | 21,975 | 715.1K $ | |
| 638 | Kontoor Brands Inc | 10,152 | 713.6K $ | |
| 639 | Consolidated Edison Inc | 6,300 | 713.1K $ | |
| 640 | Starwood Property Trust Inc | 41,236 | 710.1K $ | |
| 641 | Chipotle Mexican Grill Inc | 22,047 | 705.7K $ | |
| 642 | Jacobs Solutions Inc | 5,499 | 699.9K $ | |
| 643 | Rockwell Automation Inc | 1,949 | 699.6K $ | |
| 644 | Entergy Corp | 6,204 | 697.1K $ | |
| 645 | GE HealthCare Technologies Inc | 9,762 | 694.9K $ | |
| 646 | GSK PLC | 12,559 | 693.1K $ | |
| 647 | Invesco Exchange-Traded Fund Trust | 6,434 | 692.4K $ | |
| 648 | Schwab U.S. REIT ETF | 32,196 | 691.9K $ | |
| 649 | Devon Energy Corp | 13,707 | 689.8K $ | |
| 650 | Prudential Financial, Inc. | 7,052 | 689K $ | |
| 651 | Dimensional International Smal | 20,227 | 681K $ | |
| 652 | iShares Select Dividend ETF | 4,481 | 678.5K $ | |
| 653 | Eaton Vance Ultra-Short Income ETF | 13,221 | 671K $ | |
| 654 | Roundhill Magnificent Seven ET | 11,550 | 669.2K $ | |
| 655 | iShares Trust | 14,364 | 668.2K $ | |
| 656 | Fortinet Inc | 8,174 | 668K $ | |
| 657 | iShares Core 80/20 Aggressive | 7,528 | 666.1K $ | |
| 658 | MP Materials Corp | 13,763 | 664.2K $ | |
| 659 | Lincoln National Corp | 18,591 | 660K $ | |
| 660 | abrdn Healthcare Opportunities | 39,130 | 657.4K $ | |
| 661 | Iron Mountain Inc | 6,426 | 656.3K $ | |
| 662 | iShares MSCI Global Min Vol Factor ETF | 5,462 | 652.8K $ | |
| 663 | CAPITAL GROUP CONSERVATIVE EQUITY ETF | 21,881 | 652.3K $ | |
| 664 | First Trust Exchange-Traded Fund | 25,446 | 649.6K $ | |
| 665 | WisdomTree Trust | 9,228 | 645K $ | |
| 666 | Immuneering Corp | 122,200 | 644K $ | |
| 667 | Digital Realty Trust Inc | 3,553 | 640.3K $ | |
| 668 | PayPal Holdings Inc | 14,052 | 635.6K $ | |
| 669 | ABRDN SILVER ETF TRUST | 8,812 | 631K $ | |
| 670 | Charles Schwab Corp/The | 6,661 | 626K $ | |
| 671 | Datadog Inc | 5,299 | 625.5K $ | |
| 672 | Becton Dickinson & Co | 3,967 | 623.7K $ | |
| 673 | Huntington Bancshares Inc/OH | 39,787 | 622.7K $ | |
| 674 | Darden Restaurants Inc | 3,157 | 618.9K $ | |
| 675 | AGNC Investment Corp | 61,658 | 618.4K $ | |
| 676 | Avery Dennison Corp | 3,577 | 617.7K $ | |
| 677 | iShares Biotechnology ETF | 3,641 | 614.7K $ | |
| 678 | iShares Trust | 6,557 | 613.4K $ | |
| 679 | First Trust Exchange Traded Fund VI | 30,784 | 613.2K $ | |
| 680 | Goldman Sachs Access Investment Grade Corporate Bond Etf | 13,360 | 611.9K $ | |
| 681 | Moody's Corp | 1,400 | 611K $ | |
| 682 | SPDR INDEX SHARES FUNDS | 9,819 | 609.5K $ | |
| 683 | ISHARES TRUST | 6,681 | 605K $ | |
| 684 | Coinbase Global Inc | 3,462 | 604.5K $ | |
| 685 | Dick's Sporting Goods Inc | 3,045 | 603.8K $ | |
| 686 | Five Below Inc | 2,637 | 602.5K $ | |
| 687 | Cardinal Health, Inc. | 2,840 | 600.2K $ | |
| 688 | Diamondback Energy Inc | 2,994 | 592.2K $ | |
| 689 | MFS Intermediate Income Trust | 234,782 | 589.3K $ | |
| 690 | abrdn Life Sciences Investors | 35,716 | 581.1K $ | |
| 691 | Astera Labs Inc | 5,291 | 579.9K $ | |
| 692 | EOG Resources Inc | 3,993 | 577.3K $ | |
| 693 | Nexstar Media Group Inc | 3,178 | 574.7K $ | |
| 694 | Rio Tinto PLC | 6,157 | 574.4K $ | |
| 695 | iShares Core 60/40 Balanced Al | 8,903 | 572.9K $ | |
| 696 | Packaging Corp of America | 2,699 | 572.9K $ | |
| 697 | Calvert Ultra-Short Investment Grade Etf | 11,290 | 571.3K $ | |
| 698 | Regeneron Pharmaceuticals, Inc. | 739 | 571K $ | |
| 699 | Unilever PLC | 9,981 | 568.6K $ | |
| 700 | Albemarle Corp | 3,152 | 565.8K $ | |