| 3,901 | Brand Engagement Network Inc | 6,008 | 227.7K $ | |
| 3,902 | Wisdom Tree Trust - WisdomTree Emerging Markets SmallCap Dividend Fund | 3,760 | 226K $ | |
| 3,903 | Hartford Strategic Income ETF | 6,502 | 225.7K $ | |
| 3,904 | Nuveen NASDAQ 100 Dynamic Overwrite Fund | 8,421 | 224.6K $ | |
| 3,905 | SKYX Platforms Corp | 199,766 | 223.7K $ | |
| 3,906 | PGIM Rock ETF Trust | 7,767 | 223.5K $ | |
| 3,907 | Capital Group Core Bond ETF | 8,433 | 221.5K $ | |
| 3,908 | KATAPULT HOLDINGS INC | 31,356 | 221.4K $ | |
| 3,909 | aTyr Pharma Inc | 283,236 | 220.9K $ | |
| 3,910 | Fidelity Covington Trust | 7,031 | 219.9K $ | |
| 3,911 | Cardiff Oncology Inc | 135,598 | 219.7K $ | |
| 3,912 | Ramaco Resources Inc | 21,484 | 219.1K $ | |
| 3,913 | Strawberry Fields REIT Inc | 18,379 | 218.7K $ | |
| 3,914 | Precision BioSciences Inc | 39,752 | 218.6K $ | |
| 3,915 | Optex Systems Holdings Inc | 16,454 | 217.6K $ | |
| 3,916 | Dimensional ETF Trust | 5,910 | 217.3K $ | |
| 3,917 | Schwab International Small-Cap Equity ETF | 4,549 | 212.6K $ | |
| 3,918 | Airgain Inc | 38,639 | 212.5K $ | |
| 3,919 | Universal Logistics Holdings Inc | 10,028 | 212K $ | |
| 3,920 | Nano Dimension Ltd | 124,588 | 211.8K $ | |
| 3,921 | Elevra Lithium Ltd | 3,593 | 211.6K $ | |
| 3,922 | Innovator U.S. Equity Power Bu | 4,908 | 211.6K $ | |
| 3,923 | State Street SPDR S&P Global Infrastructure ETF | 2,745 | 208.7K $ | |
| 3,924 | Maui Land & Pineapple Co Inc | 13,399 | 206.2K $ | |
| 3,925 | Provident Financial Holdings Inc | 12,727 | 205.2K $ | |
| 3,926 | Carlsmed Inc | 22,638 | 204.9K $ | |
| 3,927 | JOHN HANCOCK GLOBAL SENIOR LOA JH GLOBAL SENIOR LOAN ETF | 8,407 | 204.8K $ | |
| 3,928 | PGIM Rock ETF Trust | 6,400 | 204.2K $ | |
| 3,929 | Shoulder Innovations Inc | 14,016 | 203.7K $ | |
| 3,930 | HF Foods Group Inc | 109,529 | 202.6K $ | |
| 3,931 | Westwood Holdings Group Inc | 12,270 | 202.1K $ | |
| 3,932 | BARK Inc | 392,503 | 198.8K $ | |
| 3,933 | BlackRock ESG Capital Allocation Term Trust | 14,582 | 198K $ | |
| 3,934 | Public Policy Holding Co Inc | 15,134 | 198K $ | |
| 3,935 | Orion Properties Inc | 91,971 | 197.7K $ | |
| 3,936 | Tuya Inc | 85,393 | 197.3K $ | |
| 3,937 | Rent the Runway Inc | 41,249 | 197.2K $ | |
| 3,938 | Aadi Bioscience Inc | 56,912 | 196.3K $ | |
| 3,939 | NEOVOLTA INC | 63,643 | 196K $ | |
| 3,940 | Minerva Neurosciences Inc | 32,012 | 192.9K $ | |
| 3,941 | AirJoule Technologies Corp | 76,500 | 192K $ | |
| 3,942 | inTEST Corp | 13,969 | 190.7K $ | |
| 3,943 | Cartesian Therapeutics Inc | 30,927 | 190.2K $ | |
| 3,944 | GoPro Inc | 246,809 | 190K $ | |
| 3,945 | Eightco Holdings Inc | 198,767 | 185.3K $ | |
| 3,946 | Gaia Inc | 66,699 | 184.8K $ | |
| 3,947 | Commercial Vehicle Group Inc | 53,953 | 184K $ | |
| 3,948 | BlackRock Capital Allocation T | 12,800 | 180.9K $ | |
| 3,949 | Unicycive Therapeutics Inc | 27,093 | 178.3K $ | |
| 3,950 | BLACKROCK MUNIHOLDINGS CALIF QUALITY FD INC | 17,112 | 178K $ | |
| 3,951 | Patriot National Bancorp Inc | 137,330 | 177.2K $ | |
| 3,952 | Lument Finance Trust Inc | 139,816 | 176.2K $ | |
| 3,953 | VanEck ETF Trust | 10,000 | 173.1K $ | |
| 3,954 | Amarin Corp PLC | 11,918 | 172.3K $ | |
| 3,955 | Playstudios Inc | 366,211 | 171.8K $ | |
| 3,956 | Noah Holdings Ltd | 17,335 | 171.6K $ | |
| 3,957 | GENASYS INC | 93,569 | 170.3K $ | |
| 3,958 | Five Point Holdings LLC | 35,114 | 170K $ | |
| 3,959 | BingEx Ltd | 62,983 | 166.9K $ | |
| 3,960 | IMMUNIC INC | 149,770 | 166.2K $ | |
| 3,961 | Broadwind Inc | 79,735 | 165.8K $ | |
| 3,962 | Paramount Gold Nevada Corp | 98,753 | 163.9K $ | |
| 3,963 | Rapid Micro Biosystems Inc | 71,912 | 163.2K $ | |
| 3,964 | IONEER LTD | 38,228 | 162.7K $ | |
| 3,965 | Creative Realities Inc | 46,979 | 161.6K $ | |
| 3,966 | Granite Point Mortgage Trust Inc | 111,071 | 161.1K $ | |
| 3,967 | Franklin Universal Trust | 20,061 | 160.7K $ | |
| 3,968 | Autolus Therapeutics PLC | 116,413 | 160.7K $ | |
| 3,969 | WidePoint Corp | 32,009 | 159.7K $ | |
| 3,970 | BlackRock Enhanced Equity Dividend Trust | 18,517 | 159.6K $ | |
| 3,971 | XEROX HOLDINGS CORP | 1,748,412 | 158.2K $ | |
| 3,972 | Arena Group Holdings Inc/The | 71,946 | 156.1K $ | |
| 3,973 | Red Robin Gourmet Burgers Inc | 53,122 | 155.6K $ | |
| 3,974 | Surf Air Mobility Inc | 134,672 | 154.9K $ | |
| 3,975 | Empery Digital Inc | 36,578 | 154.7K $ | |
| 3,976 | Full House Resorts Inc | 66,817 | 150.3K $ | |
| 3,977 | QuickLogic Corp | 15,909 | 149.2K $ | |
| 3,978 | TRON INC | 64,082 | 145.5K $ | |
| 3,979 | Livewire Group Inc | 86,334 | 143.3K $ | |
| 3,980 | Saga Communications Inc | 12,238 | 143.2K $ | |
| 3,981 | PMV Pharmaceuticals Inc | 114,864 | 142.4K $ | |
| 3,982 | IZEA Worldwide Inc | 40,483 | 142.1K $ | |
| 3,983 | BLACKROCK MUNIYIELD QUALITY FD III INC | 12,949 | 136.1K $ | |
| 3,984 | Biote Corp | 100,609 | 135.8K $ | |
| 3,985 | GLOBAL SELF STORAGE INC | 26,541 | 135.6K $ | |
| 3,986 | Teads Holding Co. | 202,321 | 133.2K $ | |
| 3,987 | VirTra Inc | 35,002 | 129.9K $ | |
| 3,988 | Jerash Holdings US Inc | 44,828 | 129.6K $ | |
| 3,989 | Empire Petroleum Corp | 43,721 | 129.4K $ | |
| 3,990 | Chicago Atlantic Real Estate Finance Inc | 11,341 | 128.4K $ | |
| 3,991 | XCF Global Inc | 348,647 | 127.4K $ | |
| 3,992 | Nuveen Preferred & Income Opportunities Fund | 16,828 | 126.9K $ | |
| 3,993 | Eagle Nuclear Energy Corp | 16,463 | 126.4K $ | |
| 3,994 | FTC Solar Inc | 33,363 | 126.1K $ | |
| 3,995 | TuHURA Biosciences Inc | 70,246 | 125.7K $ | |
| 3,996 | Ispire Technology Inc | 67,317 | 123.9K $ | |
| 3,997 | Zedge Inc | 42,180 | 123.6K $ | |
| 3,998 | BEELINE HOLDINGS INC | 51,637 | 121.3K $ | |
| 3,999 | CARPARTS COM INC | 148,210 | 116.5K $ | |
| 4,000 | BIOMEA FUSION INC | 75,739 | 115.9K $ | |