| 2,001 | Invesco Exchange Traded Fund Trust II | 4,548 | 273.2K $ | |
| 2,002 | iShares iBonds Dec 2034 Term C | 10,480 | 273.1K $ | |
| 2,003 | Columbia Banking System Inc | 9,952 | 273K $ | |
| 2,004 | Wisdomtree Trust | 4,008 | 273K $ | |
| 2,005 | Alerian Energy Infra | 7,127 | 272.3K $ | |
| 2,006 | iShares MSCI USA Size Factor ETF | 1,708 | 272.3K $ | |
| 2,007 | iShares U.S. Pharmaceuticals E | 3,140 | 272.2K $ | |
| 2,008 | Masimo Corp | 1,524 | 271.1K $ | |
| 2,009 | Alexandria Real Estate Equities, Inc. | 5,815 | 269.9K $ | |
| 2,010 | Monarch Casino & Resort Inc | 2,820 | 269.6K $ | |
| 2,011 | Alliancebernstein Global High Income Fund Inc. | 26,420 | 268.7K $ | |
| 2,012 | Circle Internet Group Inc | 2,808 | 267.9K $ | |
| 2,013 | Shake Shack Inc | 3,028 | 267.9K $ | |
| 2,014 | Vericel Corp | 8,322 | 267.7K $ | |
| 2,015 | Global X Funds | 6,349 | 267.7K $ | |
| 2,016 | VanEck Steel ETF | 2,913 | 267.5K $ | |
| 2,017 | Simpson Manufacturing Co Inc | 1,548 | 265.7K $ | |
| 2,018 | ZTO Express Cayman Inc | 10,530 | 265K $ | |
| 2,019 | Commerce Bancshares Inc/MO | 5,375 | 264.5K $ | |
| 2,020 | Smartstop Self Storage REIT Inc | 8,719 | 264K $ | |
| 2,021 | Global X SuperDividend REIT ETF | 12,369 | 262.2K $ | |
| 2,022 | BLACKROCK MUN TARGET TERM TR | 11,527 | 261.7K $ | |
| 2,023 | PriceSmart Inc | 1,734 | 260.9K $ | |
| 2,024 | Advanced Drainage Systems Inc | 1,901 | 260.7K $ | |
| 2,025 | Rubrik Inc | 5,318 | 260.4K $ | |
| 2,026 | Alphatec Holdings Inc | 23,876 | 259.8K $ | |
| 2,027 | Gabelli Dividend & Income Trust | 9,605 | 258.7K $ | |
| 2,028 | Bentley Systems Inc | 7,339 | 257.8K $ | |
| 2,029 | Archer Aviation Inc | 49,488 | 255.9K $ | |
| 2,030 | Lear Corp | 2,112 | 255.8K $ | |
| 2,031 | Power Integrations Inc | 4,970 | 254.5K $ | |
| 2,032 | iShares iBonds Dec 2032 Term C | 10,058 | 254.2K $ | |
| 2,033 | Digi International Inc | 5,269 | 254K $ | |
| 2,034 | Kadant Inc | 866 | 253.3K $ | |
| 2,035 | YieldMax NVDA Option Income Strategy ETF | 19,512 | 253.3K $ | |
| 2,036 | Terreno Realty Corp | 4,108 | 252.3K $ | |
| 2,037 | Frontdoor Inc | 4,769 | 252.1K $ | |
| 2,038 | Columbia EM Core ex-China ETF | 6,177 | 252.1K $ | |
| 2,039 | Korn Ferry | 4,001 | 251.9K $ | |
| 2,040 | CNX Resources Corp | 6,520 | 251.3K $ | |
| 2,041 | United Bankshares Inc/WV | 6,058 | 250.9K $ | |
| 2,042 | First Trust Exchange-Traded Fund VIII | 7,399 | 250.6K $ | |
| 2,043 | Simplify Exchange Traded Funds | 5,669 | 250.5K $ | |
| 2,044 | Valvoline Inc | 7,411 | 249.6K $ | |
| 2,045 | ARMOUR Residential REIT Inc | 14,943 | 249.2K $ | |
| 2,046 | Floor & Decor Holdings Inc | 4,882 | 248K $ | |
| 2,047 | RLI Corp | 4,340 | 247.5K $ | |
| 2,048 | Grayscale Ethereum Staking Min | 12,460 | 247.5K $ | |
| 2,049 | Choice Hotels International Inc | 2,378 | 246.1K $ | |
| 2,050 | Nexstar Media Group Inc | 1,360 | 245.9K $ | |
| 2,051 | Viatris Inc | 18,193 | 245.8K $ | |
| 2,052 | Essential Utilities Inc | 6,094 | 245.4K $ | |
| 2,053 | UiPath Inc | 22,089 | 245.2K $ | |
| 2,054 | Ubiquiti Inc | 310 | 245K $ | |
| 2,055 | Fortune Brands Innovations Inc | 6,280 | 244.7K $ | |
| 2,056 | Invitation Homes Inc | 9,838 | 244.5K $ | |
| 2,057 | WisdomTree Trust | 6,158 | 244.4K $ | |
| 2,058 | Newmark Group Inc | 16,258 | 243.7K $ | |
| 2,059 | SLM Corp | 11,371 | 243.4K $ | |
| 2,060 | Universal Technical Institute Inc | 6,732 | 243K $ | |
| 2,061 | Blackrock Credit Allocation Income Trust | 24,002 | 242.4K $ | |
| 2,062 | Amphastar Pharmaceuticals Inc | 12,367 | 242.3K $ | |
| 2,063 | Rumble Inc | 47,280 | 241.1K $ | |
| 2,064 | Innovator U.S. Small Cap Power Buffer ETF - October | 7,103 | 241K $ | |
| 2,065 | First Trust Exchange-Traded Fund V | 4,749 | 240.4K $ | |
| 2,066 | Cytokinetics Inc | 3,647 | 240.3K $ | |
| 2,067 | Principal Active High Yield ETF | 12,654 | 239.9K $ | |
| 2,068 | Skyward Specialty Insurance Group Inc | 5,489 | 239.8K $ | |
| 2,069 | Direxion NASDAQ-100 Equal Weighted Index ETF | 2,432 | 239.6K $ | |
| 2,070 | Dolby Laboratories Inc | 3,976 | 238.8K $ | |
| 2,071 | Calamos Strategic Total Return | 13,948 | 238.8K $ | |
| 2,072 | Ionis Pharmaceuticals Inc | 3,173 | 238.3K $ | |
| 2,073 | Avnet Inc | 3,848 | 237.1K $ | |
| 2,074 | Las Vegas Sands Corp | 4,400 | 237.1K $ | |
| 2,075 | Employers Holdings Inc | 5,752 | 236.6K $ | |
| 2,076 | Cipher Digital Inc | 18,366 | 236.4K $ | |
| 2,077 | Paylocity Holding Corp | 2,187 | 236.2K $ | |
| 2,078 | PIMCO Dynamic Income Opportunities Fund | 18,251 | 236K $ | |
| 2,079 | Ameris Bancorp | 2,998 | 233.8K $ | |
| 2,080 | Flowers Foods Inc | 28,668 | 233.6K $ | |
| 2,081 | NEOS ETF Trust | 4,557 | 233.5K $ | |
| 2,082 | BankUnited Inc | 5,162 | 233.1K $ | |
| 2,083 | Amplify Samsung SOFR ETF | 2,327 | 233K $ | |
| 2,084 | VanEck ETF Trust | 3,211 | 232.7K $ | |
| 2,085 | Prestige Consumer Healthcare Inc | 3,920 | 232.3K $ | |
| 2,086 | Crinetics Pharmaceuticals Inc | 6,396 | 232.3K $ | |
| 2,087 | BLACKROCK MUNIHOLDINGS N J QUALITY FD INC | 20,037 | 231.8K $ | |
| 2,088 | Voyager Technologies Inc | 9,832 | 230K $ | |
| 2,089 | Kulicke & Soffa Industries Inc | 3,496 | 229.8K $ | |
| 2,090 | Default | 24,309 | 229.7K $ | |
| 2,091 | iShares Trust | 4,072 | 229.2K $ | |
| 2,092 | HealthEquity Inc | 2,741 | 229.1K $ | |
| 2,093 | Riot Platforms Inc | 18,400 | 227.4K $ | |
| 2,094 | PIMCO Municipal Income Fund II | 30,019 | 227.2K $ | |
| 2,095 | Freshpet Inc | 3,848 | 226.9K $ | |
| 2,096 | Cohen & Steers Inc | 3,617 | 226.3K $ | |
| 2,097 | Nuveen Preferred And Income ET | 8,776 | 226.1K $ | |
| 2,098 | Hess Midstream LP | 5,811 | 225.9K $ | |
| 2,099 | PVH Corp | 3,237 | 225.8K $ | |
| 2,100 | Primerica Inc | 899 | 225.3K $ | |