| 1,601 | Victoria's Secret & Co | 12,902 | 598.2K $ | |
| 1,602 | Blue Bird Corp | 10,518 | 597.3K $ | |
| 1,603 | Praxis Precision Medicines Inc | 1,850 | 596.1K $ | |
| 1,604 | Woori Financial Group Inc | 8,913 | 593.6K $ | |
| 1,605 | Flexshares Trust | 18,734 | 593.3K $ | |
| 1,606 | Capitol Federal Financial Inc | 83,176 | 593K $ | |
| 1,607 | QuinStreet Inc | 49,353 | 592.7K $ | |
| 1,608 | American Assets Trust Inc | 32,117 | 591.3K $ | |
| 1,609 | nCino Inc | 39,466 | 591.2K $ | |
| 1,610 | FB Financial Corp | 11,346 | 589.3K $ | |
| 1,611 | BOK Financial Corp | 4,597 | 588.6K $ | |
| 1,612 | BlackRock Enhanced Equity Dividend Trust | 67,752 | 584K $ | |
| 1,613 | National Storage Affiliates Trust | 15,445 | 582.9K $ | |
| 1,614 | Clearwater Analytics Holdings Inc | 24,618 | 582.2K $ | |
| 1,615 | Royce Small Cap Trust Inc | 34,992 | 580.9K $ | |
| 1,616 | Ziff Davis Inc | 13,837 | 580.6K $ | |
| 1,617 | Westamerica BanCorp | 11,073 | 577.5K $ | |
| 1,618 | California Water Service Group | 12,667 | 574.3K $ | |
| 1,619 | Xenia Hotels & Resorts Inc | 38,710 | 574.1K $ | |
| 1,620 | JD.COM INC | 19,367 | 572.7K $ | |
| 1,621 | Universal Display Corp | 6,243 | 572.2K $ | |
| 1,622 | Thor Industries Inc | 7,144 | 570.7K $ | |
| 1,623 | Vanguard Ultra Short Bond ETF | 11,449 | 570K $ | |
| 1,624 | Freshpet Inc | 9,661 | 569.6K $ | |
| 1,625 | Greif Inc | 8,474 | 568.3K $ | |
| 1,626 | Innovator U.S. Equity Power Bu | 13,368 | 568.1K $ | |
| 1,627 | Tompkins Financial Corp | 7,201 | 567.7K $ | |
| 1,628 | Kosmos Energy Ltd | 203,499 | 565.7K $ | |
| 1,629 | RLI Corp | 9,912 | 565.4K $ | |
| 1,630 | UniFirst Corp/MA | 2,245 | 564.8K $ | |
| 1,631 | Fortrea Holdings Inc | 59,867 | 563.9K $ | |
| 1,632 | Vanguard Admiral Funds Inc. | 4,502 | 562.9K $ | |
| 1,633 | NuScale Power Corp | 51,835 | 561.9K $ | |
| 1,634 | American Eagle Outfitters Inc | 33,566 | 560.6K $ | |
| 1,635 | Vanguard Scottsdale Funds | 2,444 | 559.8K $ | |
| 1,636 | Semtech Corp | 7,248 | 557.3K $ | |
| 1,637 | Four Corners Property Trust Inc | 23,488 | 555.5K $ | |
| 1,638 | ASGN Inc | 14,267 | 552.3K $ | |
| 1,639 | Syndax Pharmaceuticals Inc | 23,637 | 552.2K $ | |
| 1,640 | Utah Medical Products Inc | 8,878 | 550.4K $ | |
| 1,641 | ICU Medical Inc | 4,260 | 550.2K $ | |
| 1,642 | iShares MSCI All Country Asia | 5,705 | 549.3K $ | |
| 1,643 | Enovis Corp | 24,115 | 548.6K $ | |
| 1,644 | Wendy's Co/The | 78,851 | 548K $ | |
| 1,645 | Campbell's Company/The | 24,600 | 547.9K $ | |
| 1,646 | LiveRamp Holdings Inc | 20,585 | 545.9K $ | |
| 1,647 | Atlanta Braves Holdings Inc | 11,574 | 545.7K $ | |
| 1,648 | Baxter International Inc | 32,459 | 545.3K $ | |
| 1,649 | Avantis International Small Cap Value ETF | 5,454 | 544.6K $ | |
| 1,650 | Warby Parker Inc | 25,815 | 543.9K $ | |
| 1,651 | ABM Industries Inc | 14,104 | 543.3K $ | |
| 1,652 | J P Morgan Exchange Traded Fund Trust | 11,844 | 542.8K $ | |
| 1,653 | Gulfport Energy Corp | 2,558 | 541.2K $ | |
| 1,654 | CSG Systems International Inc | 6,764 | 540.7K $ | |
| 1,655 | Zeta Global Holdings Corp | 33,966 | 540.7K $ | |
| 1,656 | Associated Banc-Corp | 20,882 | 540K $ | |
| 1,657 | Shinhan Financial Group Co Ltd | 8,800 | 539.6K $ | |
| 1,658 | iShares Core MSCI Pacific ETF | 7,036 | 538.3K $ | |
| 1,659 | ASE Technology Holding Co Ltd | 24,773 | 537.1K $ | |
| 1,660 | iShares Core 60/40 Balanced Al | 8,340 | 536.7K $ | |
| 1,661 | iShares Core 80/20 Aggressive | 6,064 | 536.6K $ | |
| 1,662 | Vitesse Energy Inc | 29,319 | 532.4K $ | |
| 1,663 | TFS Financial Corp | 37,855 | 531.9K $ | |
| 1,664 | State Street SPDR S&P Emerging Markets Small Cap ETF | 8,025 | 530.6K $ | |
| 1,665 | Global X Lithium & Battery Tec | 7,116 | 529.1K $ | |
| 1,666 | California Resources Corp | 7,638 | 528.7K $ | |
| 1,667 | Rush Street Interactive Inc | 24,242 | 527.3K $ | |
| 1,668 | Enterprise Financial Services Corp | 9,715 | 525.7K $ | |
| 1,669 | Silicon Laboratories Inc | 2,524 | 525.4K $ | |
| 1,670 | Cheniere Energy Partners LP | 8,127 | 525.3K $ | |
| 1,671 | Banc of California Inc | 29,660 | 521.4K $ | |
| 1,672 | Aegon Ltd | 71,787 | 521.2K $ | |
| 1,673 | Amneal Pharmaceuticals Inc | 41,647 | 517.7K $ | |
| 1,674 | Graham Holdings Co | 488 | 516.1K $ | |
| 1,675 | Varonis Systems Inc | 24,000 | 515.3K $ | |
| 1,676 | Regal Rexnord Corp | 2,750 | 514.9K $ | |
| 1,677 | Diodes Inc | 7,541 | 514.7K $ | |
| 1,678 | Diageo PLC | 6,893 | 513.2K $ | |
| 1,679 | Pacer Funds Trust | 11,096 | 513.1K $ | |
| 1,680 | Grupo Cibest SA | 7,019 | 511K $ | |
| 1,681 | Franklin Electric Co Inc | 5,536 | 510.2K $ | |
| 1,682 | WisdomTree International SmallCap Dividend Fund | 6,256 | 509.8K $ | |
| 1,683 | Guardant Health Inc | 5,518 | 509.7K $ | |
| 1,684 | World Acceptance Corp | 3,772 | 509.4K $ | |
| 1,685 | Kennametal Inc | 14,067 | 508.3K $ | |
| 1,686 | Bread Financial Holdings Inc | 6,759 | 506.2K $ | |
| 1,687 | JBG SMITH Properties | 34,560 | 504.9K $ | |
| 1,688 | Coca-Cola Femsa SAB de CV | 5,169 | 504.2K $ | |
| 1,689 | Byline Bancorp Inc | 15,950 | 503.5K $ | |
| 1,690 | WesBanco Inc | 14,553 | 501.9K $ | |
| 1,691 | Marriott Vacations Worldwide Corp | 7,707 | 501.9K $ | |
| 1,692 | Ultra Clean Holdings Inc | 8,068 | 501.7K $ | |
| 1,693 | Ethereum Investment Trust | 29,347 | 501K $ | |
| 1,694 | Beacon Financial Corp | 16,683 | 500.5K $ | |
| 1,695 | Mueller Water Products Inc | 18,203 | 500.4K $ | |
| 1,696 | Klaviyo Inc | 25,703 | 500.2K $ | |
| 1,697 | National Bank Holdings Corp | 12,737 | 498.8K $ | |
| 1,698 | Omnicell Inc | 14,920 | 497.9K $ | |
| 1,699 | TKO Group Holdings Inc | 2,464 | 496.8K $ | |
| 1,700 | Trustmark Corp | 11,701 | 493.1K $ | |