Titelia

Portefeuille de Federated Hermes Mid-Cap Index Fund

Federated Hermes Index Trust · 399 positions déclarées · au 30 avr. 2026

Document d’origine · Actif net 281,7 M $ · Dix premières lignes : 7.6 % de la poche actions

Répartition par pays

Parts calculées sur la poche actions, seule partie couverte par ce site.

PaysLignesValeur (USD)Part
US 384255,6 M $93,98 %
BM 53,4 M $1,26 %
IE 22,8 M $1,03 %
SG 12,7 M $0,98 %
GB 12,6 M $0,95 %
KY 11,8 M $0,67 %
CA 21,6 M $0,60 %
NL 1753,4 k $0,28 %
JE 1505,7 k $0,19 %
VG 1184,8 k $0,07 %

La répartition sectorielle n’est publiée dans aucun document réglementaire : ni les formulaires N-PORT ni le référentiel LEI ne portent de code d’activité. Elle est absente plutôt qu’estimée.

Positions

SociétéTitresValeur (USD)Poids
Flex Ltd 29 2262,7 M $0,95 %
TechnipFMC PLC 34 0682,6 M $0,91 %
XPO Inc 9 9882,2 M $0,78 %
Curtiss-Wright Corp 2 9312,1 M $0,75 %
United Therapeutics Corp 3 4232 M $0,69 %
Everpure Inc 26 8681,9 M $0,68 %
nVent Electric PLC 12 8271,8 M $0,65 %
Fabrinet 2 6561,8 M $0,64 %
ATI Inc 11 6581,8 M $0,64 %
Twilio Inc 12 0521,8 M $0,63 %
MasTec Inc 4 4711,8 M $0,63 %
Woodward Inc 4 7391,7 M $0,61 %
Entegris Inc 12 0821,7 M $0,61 %
US Foods Holding Corp 17 5311,6 M $0,58 %
Burlington Stores Inc 4 9431,6 M $0,56 %
BWX Technologies Inc 7 2681,6 M $0,56 %
Carpenter Technology Corp 3 6251,6 M $0,55 %
Illumina Inc 12 1541,5 M $0,55 %
API Group Corp 33 5751,5 M $0,54 %
MKS Inc 5 3391,5 M $0,54 %
Reliance Inc 4 1561,5 M $0,53 %
RBC Bearings Inc 2 5131,5 M $0,53 %
TALEN ENERGY CORP 4 0041,5 M $0,53 %
ITT Inc 6 8361,5 M $0,52 %
Nextpower Inc 11 8021,4 M $0,50 %
WP Carey Inc 19 2451,4 M $0,50 %
RB Global Inc 13 4391,4 M $0,50 %
Clean Harbors Inc 4 4301,4 M $0,49 %
East West Bancorp Inc 10 9371,4 M $0,49 %
Royal Gold Inc 5 8781,4 M $0,49 %
TD SYNNEX Corp 5 9601,4 M $0,48 %
Ovintiv Inc 22 0721,4 M $0,48 %
Tenet Healthcare Corp 7 6031,3 M $0,48 %
Pinnacle Financial Partners Inc 13 4931,3 M $0,47 %
Lattice Semiconductor Corp 10 8731,3 M $0,47 %
Alcoa Corp 20 5851,3 M $0,47 %
Onto Innovation Inc 4 4471,3 M $0,47 %
TTM Technologies Inc 8 2141,3 M $0,46 %
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 4 5641,3 M $0,46 %
Regal Rexnord Corp 5 9611,3 M $0,46 %
Permian Resources Corp 58 8511,3 M $0,45 %
Somnigroup International Inc 16 6861,3 M $0,45 %
Sterling Infrastructure Inc 2 4421,3 M $0,45 %
DT Midstream Inc 8 0821,2 M $0,42 %
Mueller Industries Inc 8 8251,2 M $0,42 %
Jones Lang LaSalle Inc 3 7521,2 M $0,42 %
WESCO International Inc 3 3761,2 M $0,42 %
Graco Inc 14 6811,2 M $0,42 %
Annaly Capital Management Inc 51 3311,2 M $0,42 %
Five Below Inc 4 9231,2 M $0,41 %
Lincoln Electric Holdings Inc 4 3741,2 M $0,41 %
Carlisle Cos Inc 3 2421,2 M $0,41 %
Advanced Energy Industries Inc 3 0001,2 M $0,41 %
Dycom Industries Inc 2 7381,1 M $0,40 %
Performance Food Group Co 12 4881,1 M $0,40 %
TopBuild Corp 2 4991,1 M $0,39 %
Reinsurance Group of America Inc 5 2241,1 M $0,39 %
Omega Healthcare Investors Inc 23 4951,1 M $0,39 %
Equitable Holdings Inc 25 9201,1 M $0,39 %
Gaming and Leisure Properties Inc 22 4961,1 M $0,39 %
Hecla Mining Co 60 4571,1 M $0,39 %
TransUnion 15 2941,1 M $0,39 %
BorgWarner Inc 18 8731,1 M $0,38 %
Watsco Inc 2 4461,1 M $0,38 %
Toll Brothers Inc 7 5321,1 M $0,38 %
RenaissanceRe Holdings Ltd 3 4571,1 M $0,38 %
Fidelity National Financial Inc 20 2741,1 M $0,38 %
Neurocrine Biosciences Inc 7 9781,1 M $0,37 %
Dick's Sporting Goods Inc 4 6221 M $0,37 %
RPM International Inc 10 1811 M $0,37 %
Solstice Advanced Materials Inc 12 6191 M $0,37 %
New York Times Co/The 12 8431 M $0,36 %
Nutanix Inc 24 5801 M $0,36 %
Crown Holdings Inc 10 164999,2 k $0,35 %
Elanco Animal Health Inc 44 537996,3 k $0,35 %
Okta Inc 13 470992,1 k $0,35 %
Advanced Drainage Systems Inc 6 637990,6 k $0,35 %
Ally Financial Inc 22 315990,6 k $0,35 %
Evercore Inc 3 075988 k $0,35 %
EastGroup Properties Inc 4 909987,7 k $0,35 %
SiTime Corp 1 756987,1 k $0,35 %
Rambus Inc 8 557985 k $0,35 %
Jazz Pharmaceuticals PLC 4 830980,6 k $0,35 %
BJ's Wholesale Club Holdings Inc 10 401976,5 k $0,35 %
Equity LifeStyle Properties Inc 15 408975,2 k $0,35 %
Unum Group 12 118974 k $0,35 %
First Horizon Corp 38 553962,3 k $0,34 %
Owens Corning 7 759957 k $0,34 %
Stifel Financial Corp 12 122955,3 k $0,34 %
Aramark 20 893954,6 k $0,34 %
Littelfuse Inc 2 360953,8 k $0,34 %
Lamar Advertising Co 6 905951,8 k $0,34 %
Darling Ingredients Inc 14 804950,9 k $0,34 %
Saia Inc 2 118950,6 k $0,34 %
Arrowhead Pharmaceuticals Inc 12 928949,9 k $0,34 %
Ryder System Inc 3 673932,1 k $0,33 %
Coca-Cola Consolidated Inc 4 497922,2 k $0,33 %
Exelixis Inc 20 644917,8 k $0,33 %
Pinterest Inc 46 538914,9 k $0,32 %
Antero Resources Corp 23 298914,7 k $0,32 %
CACI International Inc 1 756912,3 k $0,32 %
Applied Industrial Technologies Inc 2 965906,5 k $0,32 %
Carlyle Group Inc/The 17 974900 k $0,32 %
Service Corp International/US 11 067896,8 k $0,32 %
Penumbra Inc 2 743895,5 k $0,32 %
Roivant Sciences Ltd 31 287892,6 k $0,32 %
Zions Bancorp NA 14 070892,3 k $0,32 %
American Financial Group Inc/OH 6 520868,9 k $0,31 %
Toro Co/The 9 099866 k $0,31 %
AECOM 10 277864,3 k $0,31 %
Medpace Holdings Inc 2 057861,2 k $0,31 %
Dynatrace Inc 23 708858,5 k $0,30 %
Primerica Inc 3 050857,9 k $0,30 %
Ensign Group Inc/The 4 585856 k $0,30 %
Docusign Inc 18 572854,1 k $0,30 %
Texas Roadhouse Inc 5 258846,5 k $0,30 %
Kratos Defense & Security Solutions, Inc. 13 310839,2 k $0,30 %
Knight-Swift Transportation Holdings Inc 12 904837,5 k $0,30 %
Guidewire Software Inc 6 040835,9 k $0,30 %
HF Sinclair Corp 12 429835,4 k $0,30 %
American Homes 4 Rent 25 915825,1 k $0,29 %
BioMarin Pharmaceutical Inc 15 271823,3 k $0,29 %
Range Resources Corp 18 834819,3 k $0,29 %
Western Alliance Bancorp 10 043818,9 k $0,29 %
GameStop Corp 32 763817,4 k $0,29 %
SEI Investments Co 9 010817 k $0,29 %
Cirrus Logic Inc 4 981812,3 k $0,29 %
Donaldson Co Inc 9 168808,3 k $0,29 %
Wintrust Financial Corp 5 324801,6 k $0,28 %
Encompass Health Corp 7 998799,8 k $0,28 %
Globus Medical Inc 8 856798,6 k $0,28 %
OGE Energy Corp 16 333797,1 k $0,28 %
Valmont Industries Inc 1 566795,6 k $0,28 %
Webster Financial Corp 10 975794,2 k $0,28 %
Murphy USA Inc 1 343789,7 k $0,28 %
Weatherford International PLC 7 148788,8 k $0,28 %
First Industrial Realty Trust Inc 12 687786,7 k $0,28 %
Oshkosh Corp 5 028785,9 k $0,28 %
EnerSys 3 680784,8 k $0,28 %
SOUTHSTATE BANK CORP 7 880769,6 k $0,27 %
Maplebear Inc 18 078765,6 k $0,27 %
Arrow Electronics Inc 4 061762,8 k $0,27 %
Core & Main Inc 15 008756 k $0,27 %
CNH Industrial NV 70 345753,4 k $0,27 %
National Fuel Gas Co 8 908751,7 k $0,27 %
Commercial Metals Co 10 887750,8 k $0,27 %
Flowserve Corp 10 098743,6 k $0,26 %
Chart Industries Inc 3 573742,8 k $0,26 %
Essential Utilities Inc 19 365739,7 k $0,26 %
CubeSmart 18 127733,8 k $0,26 %
Brixmor Property Group Inc 24 371733,3 k $0,26 %
Cognex Corp 13 172731,2 k $0,26 %
SPX Technologies Inc 3 336730,3 k $0,26 %
Cullen/Frost Bankers Inc 5 024728,1 k $0,26 %
NOV Inc 35 460725,5 k $0,26 %
Old Republic International Corp 18 096722,9 k $0,26 %
AGCO Corp 5 918716,2 k $0,25 %
Acuity Inc 2 422701,8 k $0,25 %
Columbia Banking System Inc 23 483695,1 k $0,25 %
Crane Co 3 892691,7 k $0,25 %
HealthEquity Inc 8 352685,1 k $0,24 %
Moog Inc 2 260681 k $0,24 %
Churchill Downs Inc 6 707677,3 k $0,24 %
FirstCash Holdings Inc 3 077671,5 k $0,24 %
Tetra Tech Inc 20 732670,1 k $0,24 %
Houlihan Lokey Inc 4 321668,7 k $0,24 %
Valley National Bancorp 48 755661,6 k $0,23 %
NNN REIT Inc 15 098661,1 k $0,23 %
Old National Bancorp/IN 27 567660,8 k $0,23 %
Affiliated Managers Group Inc 2 236658,9 k $0,23 %
Chord Energy Corp 4 520658,1 k $0,23 %
Rexford Industrial Realty Inc 18 300656,8 k $0,23 %
Manhattan Associates Inc 4 757655,9 k $0,23 %
Watts Water Technologies Inc 2 180654,3 k $0,23 %
Kirby Corp 4 308648,5 k $0,23 %
Sensata Technologies Holding PLC 15 308637,4 k $0,23 %
Jefferies Financial Group Inc 13 144633,8 k $0,23 %
Autoliv Inc 5 463633,3 k $0,22 %
AptarGroup Inc 5 118633 k $0,22 %
Cava Group Inc 6 763631,7 k $0,22 %
Amkor Technology Inc 9 043630,7 k $0,22 %
Simpson Manufacturing Co Inc 3 296628,6 k $0,22 %
United Bankshares Inc/WV 14 304626,7 k $0,22 %
Booz Allen Hamilton Holding Corp 8 019623,6 k $0,22 %
Axalta Coating Systems Ltd 21 815620,4 k $0,22 %
MP Materials Corp 9 331616,2 k $0,22 %
UGI Corp 17 061615,7 k $0,22 %
Voya Financial Inc 7 472612,4 k $0,22 %
Agree Realty Corp 7 916610,4 k $0,22 %
DigitalOcean Holdings Inc 6 318609,2 k $0,22 %
InterDigital Inc 2 042605,6 k $0,22 %
Cytokinetics Inc 9 465605,5 k $0,21 %
Viper Energy Inc 12 095597,3 k $0,21 %
Halozyme Therapeutics Inc 9 348595,1 k $0,21 %
MGIC Investment Corp 22 310590,8 k $0,21 %
American Healthcare REIT Inc 11 625590,3 k $0,21 %
Portland General Electric Co 11 365590,2 k $0,21 %
Matador Resources Co 9 286589,1 k $0,21 %
STAG Industrial Inc 15 185585,8 k $0,21 %
Dutch Bros Inc 10 098580,7 k $0,21 %
Antero Midstream Corp 26 324575,4 k $0,20 %
CareTrust REIT Inc 14 532573,3 k $0,20 %
Silicon Laboratories Inc 2 620570,4 k $0,20 %
UMB Financial Corp 4 517569,9 k $0,20 %
First American Financial Corp 8 100568,1 k $0,20 %
Commerce Bancshares Inc/MO 10 893566,8 k $0,20 %
Hexcel Corp 6 031566,1 k $0,20 %
Terex Corp 9 038562,2 k $0,20 %
Prosperity Bancshares Inc 8 032559,4 k $0,20 %
Corebridge Financial Inc 20 293558,9 k $0,20 %
Timken Co/The 5 039558,8 k $0,20 %
UL Solutions Inc 6 141555,7 k $0,20 %
Ormat Technologies Inc 4 832555,2 k $0,20 %
Sprouts Farmers Market Inc 6 730550,9 k $0,20 %
Macy's Inc 28 150550,3 k $0,20 %
Crocs Inc 5 351545,7 k $0,19 %
Fluor Corp 10 167542,4 k $0,19 %
Avnet Inc 6 507536,9 k $0,19 %
WEX Inc 3 560535,2 k $0,19 %
Vontier Corp 14 840532,5 k $0,19 %
Hanover Insurance Group Inc/The 2 814528,2 k $0,19 %
Eagle Materials Inc 2 499525,1 k $0,19 %
Vornado Realty Trust 17 513523,5 k $0,19 %
Masimo Corp 2 921521,2 k $0,19 %
GXO Logistics Inc 9 103520,1 k $0,18 %
Healthcare Realty Trust Inc 27 730518,6 k $0,18 %
Middleby Corp/The 3 684517,1 k $0,18 %
Lear Corp 4 032512,6 k $0,18 %
Starwood Property Trust Inc 27 671508 k $0,18 %
FNB Corp/PA 28 402507 k $0,18 %
Janus Henderson Group PLC 9 798505,7 k $0,18 %
Grand Canyon Education Inc 2 967501,6 k $0,18 %
IDACORP Inc 3 390500,8 k $0,18 %
Landstar System Inc 2 707498,3 k $0,18 %
Repligen Corp 4 206497,6 k $0,18 %
Albertsons Cos Inc 29 413495,6 k $0,18 %
VF Corp 26 125494,5 k $0,18 %
Wyndham Hotels & Resorts Inc 6 006488,8 k $0,17 %
Brink's Co/The 4 562487 k $0,17 %
Paylocity Holding Corp 4 611486,4 k $0,17 %
Vicor Corp 1 806486,3 k $0,17 %
MSA Safety Inc 2 897482 k $0,17 %
Chewy Inc 18 960482 k $0,17 %
Southwest Gas Holdings Inc 5 107480,3 k $0,17 %
Allegro MicroSystems Inc 9 868478,6 k $0,17 %
Chemed Corp 1 126478,5 k $0,17 %
American Airlines Group Inc 40 763477,3 k $0,17 %
CNO Financial Group Inc 10 685474,9 k $0,17 %
Taylor Morrison Home Corp 7 768471,8 k $0,17 %
Nexstar Media Group Inc 2 266471,6 k $0,17 %
TXNM Energy Inc 7 792460,2 k $0,16 %
Essent Group Ltd 7 588459,2 k $0,16 %
New Jersey Resources Corp 8 016451,4 k $0,16 %
Kite Realty Group Trust 17 210450,2 k $0,16 %
Hims & Hers Health Inc 16 558449,9 k $0,16 %
Travel + Leisure Co 6 913447 k $0,16 %
Lantheus Holdings Inc 5 271446 k $0,16 %
Esab Corp 4 536445,8 k $0,16 %
Murphy Oil Corp 10 666445,4 k $0,16 %
Gap Inc/The 18 034443,5 k $0,16 %
Kinsale Capital Group Inc 1 369443 k $0,16 %
Polaris Inc 6 663441,6 k $0,16 %
Hancock Whitney Corp 6 539441,4 k $0,16 %
CNX Resources Corp 11 317440,3 k $0,16 %
Planet Fitness Inc 6 596439,8 k $0,16 %
Avantor Inc 54 217439,2 k $0,16 %
Genpact Ltd 12 593437,6 k $0,16 %
Bath & Body Works Inc 22 502437,4 k $0,16 %
Ingredion Inc 3 859431,2 k $0,15 %
Spire Inc 4 698428,4 k $0,15 %
Celsius Holdings Inc 12 705426,5 k $0,15 %
ONE Gas Inc 4 769425,5 k $0,15 %
AeroVironment Inc 2 166422,4 k $0,15 %
Ollie's Bargain Outlet Holdings Inc 4 875421,7 k $0,15 %
NewMarket Corp 620418,9 k $0,15 %
Knife River Corp 4 504416,8 k $0,15 %
Floor & Decor Holdings Inc 8 566414,6 k $0,15 %
UFP Industries Inc 4 631414,4 k $0,15 %
Lithia Motors Inc 1 418411,4 k $0,15 %
Brunswick Corp/DE 5 170410,8 k $0,15 %
GATX Corp 2 072405,9 k $0,14 %
COPT Defense Properties 12 982405,7 k $0,14 %
Bio-Rad Laboratories Inc 1 445404,8 k $0,14 %
Hyatt Hotels Corp 2 409403,7 k $0,14 %
Gentex Corp 17 404402,2 k $0,14 %
Selective Insurance Group Inc 4 776400,9 k $0,14 %
Boyd Gaming Corp 4 595399,5 k $0,14 %
ExlService Holdings Inc 12 492398,2 k $0,14 %
Bank OZK 8 248397,2 k $0,14 %
Sonoco Products Co 7 840391,7 k $0,14 %
Home BancShares Inc/AR 14 542390,7 k $0,14 %
Fortune Brands Innovations Inc 9 550387,2 k $0,14 %
Valaris Ltd 3 795387 k $0,14 %
Bentley Systems Inc 11 838386,2 k $0,14 %
LivaNova PLC 6 334380,7 k $0,14 %
KBR Inc 10 094378,4 k $0,13 %
RLI Corp 7 300377,9 k $0,13 %
StandardAero Inc 15 076374,8 k $0,13 %
Mattel Inc 24 706372,6 k $0,13 %
Associated Banc-Corp 13 005366,2 k $0,13 %
Louisiana-Pacific Corp 5 038363,7 k $0,13 %
Wingstop Inc 2 209362,4 k $0,13 %
Qualys Inc 4 161361,7 k $0,13 %
Glacier Bancorp Inc 7 277356,9 k $0,13 %
Alaska Air Group Inc 9 113356,4 k $0,13 %
AAON Inc 3 797354,3 k $0,13 %
Northwestern Energy Group Inc 4 884353,3 k $0,13 %
Post Holdings Inc 3 355351,4 k $0,12 %
Belden Inc 3 124351,4 k $0,12 %
Duolingo Inc 3 181350,2 k $0,12 %
Science Applications International Corp 3 587347,1 k $0,12 %
Commvault Systems Inc 3 495345,6 k $0,12 %
Federated Hermes Inc 5 943345,2 k $0,12 %
Cousins Properties Inc 13 353342 k $0,12 %
Envista Holdings Corp 13 026337,9 k $0,12 %
EPR Properties 6 052337,8 k $0,12 %
Dropbox Inc 13 865336,8 k $0,12 %
Valvoline Inc 10 120336,3 k $0,12 %
First Financial Bankshares Inc 10 359334,3 k $0,12 %
Trex Co Inc 8 526334,2 k $0,12 %
Rayonier Inc 15 746334 k $0,12 %
PVH Corp 3 641332,9 k $0,12 %
Cleveland-Cliffs Inc 32 420330,7 k $0,12 %
Ashland Inc 6 161328,1 k $0,12 %
Appfolio Inc 1 934323,2 k $0,11 %
UiPath Inc 31 277322,2 k $0,11 %
H&R Block Inc 10 076319,7 k $0,11 %
Cabot Corp 4 151319,5 k $0,11 %
Black Hills Corp 4 214317,3 k $0,11 %
Abercrombie & Fitch Co 3 645311,1 k $0,11 %
International Bancshares Corp 4 299308,4 k $0,11 %
Independence Realty Trust Inc 18 827307,1 k $0,11 %
Westlake Corp 2 651305,6 k $0,11 %
Graham Holdings Co 270303,1 k $0,11 %
elf Beauty Inc 4 694300,3 k $0,11 %
Hamilton Lane Inc 3 248298,8 k $0,11 %
FTI Consulting Inc 1 658297,3 k $0,11 %
AutoNation Inc 1 384293,9 k $0,10 %
Kilroy Realty Corp 8 666288,2 k $0,10 %
Synaptics Inc 3 079288,2 k $0,10 %
Sotera Health Co 18 518288,1 k $0,10 %
Sabra Health Care REIT Inc 13 787284,8 k $0,10 %
Maximus Inc 4 336284,5 k $0,10 %
Silgan Holdings Inc 6 972282,7 k $0,10 %
Avient Corp 7 278269,9 k $0,10 %
Pegasystems Inc 7 256265,2 k $0,09 %
Doximity Inc 10 637260 k $0,09 %
Option Care Health Inc 12 618256,5 k $0,09 %
Penske Automotive Group Inc 1 466251,4 k $0,09 %
Kyndryl Holdings Inc 18 169251,1 k $0,09 %
YETI Holdings Inc 6 185244,1 k $0,09 %
Vail Resorts Inc 1 911243 k $0,09 %
Visteon Corp 2 169242,3 k $0,09 %
National Storage Affiliates Trust 5 626239,4 k $0,09 %
Novanta Inc 1 776230 k $0,08 %
Euronet Worldwide Inc 3 108225 k $0,08 %
Harley-Davidson Inc 9 391224,4 k $0,08 %
Hilton Grand Vacations Inc 4 760223,6 k $0,08 %
MSC Industrial Direct Co Inc 2 180222,9 k $0,08 %
Scotts Miracle-Gro Co/The 3 552222,7 k $0,08 %
Haemonetics Corp 3 694222 k $0,08 %
SLM Corp 9 371216,3 k $0,08 %
Texas Capital Bancshares Inc 2 133214,8 k $0,08 %
PBF Energy Inc 4 905212,7 k $0,08 %
Parsons Corp 4 206212 k $0,08 %
Marzetti Company/The 1 613210,1 k $0,07 %
Thor Industries Inc 2 542200,9 k $0,07 %
Morningstar Inc 1 140192,3 k $0,07 %
Flagstar Bank NA 13 686191,2 k $0,07 %
Universal Display Corp 2 187190,5 k $0,07 %
Ryan Specialty Holdings Inc 5 422188,5 k $0,07 %
DENTSPLY SIRONA Inc 15 862186,4 k $0,07 %
Bruker Corp 5 052185,5 k $0,07 %
Capri Holdings Ltd 9 472184,8 k $0,07 %
Whirlpool Corp 3 255182,5 k $0,06 %
Park Hotels & Resorts Inc 15 890182,3 k $0,06 %
Warner Music Group Corp 6 384180,5 k $0,06 %
Dolby Laboratories Inc 2 781178,4 k $0,06 %
Crane NXT Co 3 925175,4 k $0,06 %
BILL Holdings Inc 4 524171,9 k $0,06 %
BellRing Brands Inc 9 322165,9 k $0,06 %
Shift4 Payments Inc 3 660162,1 k $0,06 %
RH INC 1 224161,5 k $0,06 %
Goodyear Tire & Rubber Co/The 22 754161,1 k $0,06 %
Flowers Foods Inc 16 787152,1 k $0,05 %
Brighthouse Financial Inc 2 420150,7 k $0,05 %
Boston Beer Co Inc/The 611144,8 k $0,05 %
KB Home 2 610138,3 k $0,05 %
Exponent Inc 2 022135,3 k $0,05 %
Avis Budget Group Inc 715129,2 k $0,05 %
Greif Inc 1 968128,4 k $0,05 %
Olin Corp 4 084116,3 k $0,04 %
IPG Photonics Corp 978116,3 k $0,04 %
Blackbaud Inc 2 845105,7 k $0,04 %
Graphic Packaging Holding Co 9 93194,6 k $0,03 %
Concentrix Corp 3 47682,8 k $0,03 %
Coty Inc 29 38072,3 k $0,03 %
Choice Hotels International Inc 37136,8 k $0,01 %
HMH HOLDING INC 58312,4 k $0,00 %