| 2,901 | Capital City Bank Group Inc | 13,978 | 607.5K $ | |
| 2,902 | Two Harbors Investment Corp | 53,098 | 606.4K $ | |
| 2,903 | Tandem Diabetes Care Inc | 31,530 | 604.4K $ | |
| 2,904 | Great Lakes Dredge & Dock Corp | 35,282 | 599.8K $ | |
| 2,905 | Tompkins Financial Corp | 7,607 | 599.7K $ | |
| 2,906 | Veris Residential Inc | 31,673 | 597.7K $ | |
| 2,907 | Serve Robotics Inc | 70,589 | 595.8K $ | |
| 2,908 | NeoGenomics Inc | 80,285 | 595.7K $ | |
| 2,909 | AvePoint Inc | 62,634 | 595.6K $ | |
| 2,910 | I3 Verticals Inc | 26,626 | 595.4K $ | |
| 2,911 | GoodRx Holdings Inc | 303,307 | 594.5K $ | |
| 2,912 | Hilltop Holdings Inc | 16,584 | 594K $ | |
| 2,913 | Fortrea Holdings Inc | 62,888 | 592.4K $ | |
| 2,914 | WisdomTree Trust | 8,907 | 590.8K $ | |
| 2,915 | Aberdeen India Fund Inc | 52,125 | 590.1K $ | |
| 2,916 | MaxLinear Inc | 33,847 | 588.6K $ | |
| 2,917 | National Bank Holdings Corp | 14,995 | 587.2K $ | |
| 2,918 | ANI Pharmaceuticals Inc | 7,634 | 587.1K $ | |
| 2,919 | J P Morgan Exchange Traded Fund Trust | 8,452 | 582.4K $ | |
| 2,920 | Granite Ridge Resources Inc | 98,863 | 580.3K $ | |
| 2,921 | Acadian Asset Management Inc | 10,645 | 579.3K $ | |
| 2,922 | Star Group LP | 47,128 | 578.7K $ | |
| 2,923 | SkyWater Technology Inc | 21,096 | 578.2K $ | |
| 2,924 | Dropbox Inc | 25,444 | 578.1K $ | |
| 2,925 | Sezzle Inc | 9,119 | 577.1K $ | |
| 2,926 | Caribou Biosciences Inc | 303,655 | 576.9K $ | |
| 2,927 | John Hancock Preferred Income Fund III | 40,475 | 576.4K $ | |
| 2,928 | Invesco Russell 2000 Dynamic Multifactor ETF | 12,723 | 575.9K $ | |
| 2,929 | Enviri Corp | 29,199 | 572.9K $ | |
| 2,930 | NexPoint Residential Trust Inc | 22,911 | 572.8K $ | |
| 2,931 | Arlo Technologies Inc | 40,241 | 572.6K $ | |
| 2,932 | Safehold Inc | 42,268 | 571.9K $ | |
| 2,933 | Arvinas Inc | 53,663 | 568.8K $ | |
| 2,934 | Lincoln Educational Services Corp | 13,961 | 567.9K $ | |
| 2,935 | Mesabi Trust | 17,992 | 566.8K $ | |
| 2,936 | iShares MSCI Japan Small-Cap ETF | 5,831 | 566.1K $ | |
| 2,937 | Sila Realty Trust Inc | 23,887 | 565.6K $ | |
| 2,938 | Enliven Therapeutics Inc | 14,291 | 560.2K $ | |
| 2,939 | TRIPLEPOINT VENTURE GROWTH BDC CORP | 112,196 | 559.9K $ | |
| 2,940 | Quanex Building Products Corp | 31,077 | 558.4K $ | |
| 2,941 | SandRidge Energy Inc | 34,177 | 557.4K $ | |
| 2,942 | Grand Canyon Education Inc | 3,263 | 554.8K $ | |
| 2,943 | Bank First Corp | 4,098 | 553.5K $ | |
| 2,944 | Novavax Inc | 67,885 | 552.6K $ | |
| 2,945 | Bar Harbor Bankshares | 16,959 | 550.3K $ | |
| 2,946 | Marqeta Inc | 134,507 | 548.8K $ | |
| 2,947 | H World Group Ltd | 10,908 | 548.6K $ | |
| 2,948 | Eaton Vance Short Duration Diversified Income Fund | 51,305 | 548.5K $ | |
| 2,949 | Intapp Inc | 21,256 | 546.1K $ | |
| 2,950 | Helix Energy Solutions Group Inc | 55,193 | 545.9K $ | |
| 2,951 | Healthcare Services Group Inc | 29,407 | 545.5K $ | |
| 2,952 | Chiron Real Estate Inc | 16,444 | 544K $ | |
| 2,953 | Upbound Group Inc | 30,120 | 543.7K $ | |
| 2,954 | Middlesex Water Co | 10,442 | 543.5K $ | |
| 2,955 | MFS MUN INCOME TR | 100,346 | 540.9K $ | |
| 2,956 | Dimensional ETF Trust | 14,682 | 539.7K $ | |
| 2,957 | Harrow Inc | 15,251 | 537.8K $ | |
| 2,958 | Willis Lease Finance Corp | 3,158 | 537.7K $ | |
| 2,959 | Oramed Pharmaceuticals Inc | 157,586 | 535.8K $ | |
| 2,960 | COHEN & STEERS CAPITAL MANAGEMENT INC | 28,563 | 535.3K $ | |
| 2,961 | United States Lime & Minerals Inc | 4,095 | 534.9K $ | |
| 2,962 | Hudson Pacific Properties Inc | 90,320 | 533.8K $ | |
| 2,963 | LendingTree Inc | 12,445 | 533.6K $ | |
| 2,964 | Axia Energia | 48,864 | 533.6K $ | |
| 2,965 | Carter's Inc | 14,773 | 528.3K $ | |
| 2,966 | Kennedy-Wilson Holdings Inc | 48,809 | 528.1K $ | |
| 2,967 | Innovative Industrial Properties Inc | 10,503 | 526.8K $ | |
| 2,968 | Alpine Income Property Trust Inc | 29,111 | 524K $ | |
| 2,969 | Ryerson Holding Corp | 23,292 | 523.6K $ | |
| 2,970 | Easterly Government Properties Inc | 24,298 | 520.7K $ | |
| 2,971 | J.P. MORGAN EXCHANGE-TRADED FUND TRUST | 7,928 | 517.5K $ | |
| 2,972 | REX American Resources Corp | 11,343 | 516.9K $ | |
| 2,973 | SailPoint Inc | 39,037 | 516.9K $ | |
| 2,974 | JPMorgan Realty Income ETF | 10,749 | 516.7K $ | |
| 2,975 | EquipmentShare.com Inc | 25,281 | 515K $ | |
| 2,976 | TIC Solutions Inc | 78,102 | 513.9K $ | |
| 2,977 | CVR Energy Inc | 15,241 | 512.8K $ | |
| 2,978 | Phathom Pharmaceuticals Inc | 46,113 | 512.3K $ | |
| 2,979 | iShares Convertible Bond ETF | 5,022 | 511.2K $ | |
| 2,980 | Vanguard 0-3 Month Treasury Bi | 6,756 | 511.1K $ | |
| 2,981 | Bristow Group Inc | 10,889 | 510.6K $ | |
| 2,982 | PROG Holdings Inc | 17,782 | 510.2K $ | |
| 2,983 | Flywire Corp | 43,723 | 508.9K $ | |
| 2,984 | OCCIDENTAL PETROLEUM CORP | 11,811 | 506.7K $ | |
| 2,985 | Universal Health Realty Income Trust | 12,505 | 506.1K $ | |
| 2,986 | Harmony Biosciences Holdings Inc | 18,034 | 505.1K $ | |
| 2,987 | Karat Packaging Inc | 18,055 | 504.1K $ | |
| 2,988 | iShares Trust | 9,308 | 502.2K $ | |
| 2,989 | CNB Financial Corp/PA | 17,307 | 501.2K $ | |
| 2,990 | Pursuit Attractions and Hospitality Inc | 13,656 | 500.2K $ | |
| 2,991 | Dimensional ETF Trust | 7,040 | 499.2K $ | |
| 2,992 | Progyny Inc | 29,275 | 497.1K $ | |
| 2,993 | PubMatic Inc | 60,747 | 496.9K $ | |
| 2,994 | Harley-Davidson Inc | 24,563 | 496.7K $ | |
| 2,995 | ORIC Pharmaceuticals Inc | 39,108 | 495.5K $ | |
| 2,996 | Five9 Inc | 32,317 | 490.2K $ | |
| 2,997 | Ivanhoe Electric Inc / US | 41,316 | 488.4K $ | |
| 2,998 | Lindsay Corp | 4,100 | 488.1K $ | |
| 2,999 | VALNEVA SE | 78,029 | 487.7K $ | |
| 3,000 | Compass Diversified Holdings | 61,620 | 484.3K $ | |