Stock radar

Stock pages

Only top-20 significant common-stock holdings from current firms' latest 13F filings are shown.

639 stocks

Stock pool

Click column headers to switch ascending/descending sort
Ticker Company / Sector HoldersSort Holding valueSort Last 3 periods Net buyersSort Net accumulation valueSort
AMZN AMAZON COM INC Consumer Discretionary 34 $28.4B Net increased +3 Increased19 Reduced16 Net reduced -$4.6B Increased$7.0B Reduced$11.6B
META META PLATFORMS INC Communication Services 34 $19.5B Net reduced -11 Increased13 Reduced24 Net reduced -$7.7B Increased$5.9B Reduced$13.6B
GOOGL ALPHABET INC Communication Services 32 $35.4B Net reduced -4 Increased14 Reduced18 Net increased +$12.8B Increased$21.2B Reduced$8.5B
MSFT Microsoft Technology 32 $16.4B Net reduced -16 Increased11 Reduced27 Net reduced -$14.9B Increased$6.1B Reduced$21.0B
TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 30 $18.4B Net flat +0 Increased15 Reduced15 Net reduced -$2.7B Increased$3.3B Reduced$6.0B
GOOG Alphabet Inc Class C Technology 28 $15.8B Net reduced -7 Increased11 Reduced18 Net reduced -$3.5B Increased$3.1B Reduced$6.6B
V VISA INC Financials 25 $18.7B Net reduced -3 Increased12 Reduced15 Net reduced -$839.6M Increased$6.9B Reduced$7.8B
NVDA Nvidia Corp Com Technology 22 $23.3B Net increased +4 Increased13 Reduced9 Net reduced -$2.3B Increased$5.9B Reduced$8.2B
MA MASTERCARD INCORPORATED Financials 18 $6.7B Net reduced -1 Increased9 Reduced10 Net reduced -$2.7B Increased$1.5B Reduced$4.2B
AAPL Apple Inc Com Technology 17 $67.8B Net increased +2 Increased8 Reduced6 Net reduced -$11.2B Increased$1.7B Reduced$12.9B
ASML ASML HOLDING NV-NY REG SHS Technology 16 $5.3B Net increased +7 Increased12 Reduced5 Net reduced -$1.0B Increased$2.4B Reduced$3.5B
BRK.B BERKSHIRE HATHAWAY INC-CL B Financials 15 $8.3B Net reduced -1 Increased6 Reduced7 Net increased +$3.9B Increased$4.0B Reduced$184.6M
AVGO BROADCOM INC Technology 14 $6.4B Net increased +2 Increased8 Reduced6 Net increased +$303.9M Increased$3.3B Reduced$3.0B
DIS Walt Disney Communication Services 13 $3.0B Net increased +2 Increased8 Reduced6 Net increased +$707.1M Increased$1.5B Reduced$783.6M
MELI MERCADOLIBRE INC Consumer Discretionary 12 $9.1B Net reduced -3 Increased6 Reduced9 Net reduced -$164.2M Increased$3.0B Reduced$3.2B
COF CAPITAL ONE FINL Financials 12 $7.6B Net reduced -8 Increased2 Reduced10 Net reduced -$1.8B Increased$917.2M Reduced$2.7B
CPNG COUPANG INC Consumer Discretionary 12 $4.8B Net reduced -2 Increased6 Reduced8 Net reduced -$978.6M Increased$1.5B Reduced$2.4B
SPGI S&P GLOBAL INC Financials 11 $8.6B Net flat +0 Increased6 Reduced6 Net increased +$1.5B Increased$2.8B Reduced$1.4B
NFLX NETFLIX INC Communication Services 11 $7.3B Net increased +8 Increased11 Reduced3 Net increased +$3.0B Increased$9.2B Reduced$6.2B
UBER Uber Technologies, Inc. Industrials 11 $4.8B Net increased +4 Increased8 Reduced4 Net increased +$539.9M Increased$1.3B Reduced$786.0M
TDG TRANSDIGM GROUP INC Industrials 11 $3.0B Net reduced -2 Increased5 Reduced7 Net increased +$822.4M Increased$1.3B Reduced$501.4M
UNH UNITEDHEALTH GROUP INC Health Care 11 $2.8B Net reduced -5 Increased6 Reduced11 Net reduced -$3.3B Increased$873.0M Reduced$4.2B
SPOT SPOTIFY TECHNOLOGY S A Consumer Discretionary 10 $7.8B Net increased +3 Increased7 Reduced4 Net reduced -$579.4M Increased$1.6B Reduced$2.2B
LRCX LAM RESEARCH CORP Technology 10 $4.9B Net reduced -1 Increased5 Reduced6 Net reduced -$352.8M Increased$945.2M Reduced$1.3B
ELV ELEVANCE HEALTH INC Health Care 10 $4.3B Net increased +1 Increased7 Reduced6 Net increased +$410.0M Increased$1.9B Reduced$1.5B
BAC Bank Of America Corp Financials 9 $26.5B Net reduced -6 Increased3 Reduced9 Net reduced -$7.1B Increased$92.2M Reduced$7.2B
SE SEA LTD Consumer Discretionary 9 $6.0B Net reduced -1 Increased6 Reduced7 Net reduced -$372.3M Increased$1.4B Reduced$1.7B
SCHW SCHWAB CHARLES CORP Finance 9 $5.3B Net reduced -2 Increased4 Reduced6 Net reduced -$412.2M Increased$333.8M Reduced$746.0M
APP APPLOVIN CORP Technology 9 $5.1B Net flat +0 Increased6 Reduced6 Net reduced -$1.3B Increased$1.4B Reduced$2.7B
JNJ JOHNSON & JOHNSON Health Care 9 $2.6B Net reduced -1 Increased3 Reduced4 Net increased +$1.1B Increased$1.5B Reduced$411.2M
SUNB Sunbelt Rentals Holdings Inc Industrials 9 $2.0B Net increased +9 Increased9 Reduced0 Net increased +$2.0B Increased$2.0B Reduced$0
JPM JPMorgan Chase Financials 9 $1.3B Net flat +0 Increased4 Reduced4 Net reduced -$628.6M Increased$599.3M Reduced$1.2B
MCO MOODYS CORP Financials 8 $18.7B Net increased +1 Increased4 Reduced3 Net reduced -$14.8M Increased$566.2M Reduced$581.0M
NU NU HLDGS LTD Finance 8 $5.3B Net reduced -5 Increased2 Reduced7 Net reduced -$636.2M Increased$797.7M Reduced$1.4B
CRM SALESFORCE INC Technology 8 $4.7B Net reduced -4 Increased5 Reduced9 Net increased +$1.3B Increased$3.7B Reduced$2.4B
CVNA CARVANA CO Consumer Discretionary 8 $3.5B Net increased +3 Increased6 Reduced3 Net increased +$1.5B Increased$2.7B Reduced$1.2B
BRK.A BERKSHIRE HATHAWAY INC DEL Financials 8 $3.2B Net reduced -6 Increased0 Reduced6 Net reduced -$310.1M Increased$8.6M Reduced$318.7M
APH AMPHENOL CORP-CL A Technology 8 $1.7B Net increased +2 Increased5 Reduced3 Net increased +$935.5M Increased$1.4B Reduced$489.9M
FERG FERGUSON ENTERPRISES INC Miscellaneous 8 $1.5B Net increased +4 Increased6 Reduced2 Net increased +$279.7M Increased$648.4M Reduced$368.7M
AXP American Express Co Com Financials 7 $46.8B Net reduced -5 Increased1 Reduced6 Net reduced -$214.4M Increased$9.1M Reduced$223.4M
PM PHILIP MORRIS INTL INC Consumer Staples 7 $11.2B Net reduced -6 Increased3 Reduced9 Net reduced -$2.3B Increased$1.3B Reduced$3.6B
SHOP SHOPIFY INC Technology 7 $6.7B Net reduced -2 Increased2 Reduced4 Net reduced -$2.9B Increased$907.7M Reduced$3.8B
COP CONOCOPHILLIPS Energy 7 $5.5B Net reduced -1 Increased3 Reduced4 Net reduced -$455.0M Increased$552.3M Reduced$1.0B
MSCI MSCI INC Consumer Discretionary 7 $3.3B Net reduced -1 Increased3 Reduced4 Net reduced -$359.1M Increased$625.2M Reduced$984.3M
ABNB AIRBNB INC Consumer Discretionary 7 $3.3B Net increased +1 Increased5 Reduced4 Net reduced -$1.4B Increased$899.1M Reduced$2.3B
AMAT APPLIED MATLS INC Technology 7 $3.1B Net increased +2 Increased5 Reduced3 Net increased +$675.4M Increased$1.9B Reduced$1.3B
CMCSA Comcast Corp New CL A Telecommunications 7 $3.1B Net reduced -3 Increased3 Reduced6 Net reduced -$211.0M Increased$243.9M Reduced$455.0M
DASH DOORDASH INC Technology 7 $2.8B Net flat +0 Increased4 Reduced4 Net reduced -$144.9M Increased$2.2B Reduced$2.4B
ORCL ORACLE CORP Technology 7 $2.4B Net reduced -8 Increased3 Reduced11 Net reduced -$3.5B Increased$972.8M Reduced$4.5B
CSGP COSTAR GROUP INC Finance 7 $2.2B Net reduced -3 Increased4 Reduced7 Net reduced -$572.1M Increased$817.2M Reduced$1.4B
WFC WELLS FARGO & CO Financials 7 $1.8B Net reduced -4 Increased1 Reduced5 Net reduced -$679.6M Increased$239.8M Reduced$919.4M
TMO THERMO FISHER SCIENTIFIC INC Health Care 7 $1.7B Net flat +0 Increased5 Reduced5 Net reduced -$201.9M Increased$1.2B Reduced$1.4B
DHR DANAHER CORP Health Care 7 $1.7B Net reduced -1 Increased5 Reduced6 Net reduced -$140.2M Increased$1.1B Reduced$1.2B
ADI ANALOG DEVICES INC Technology 7 $1.3B Net reduced -7 Increased1 Reduced8 Net reduced -$869.4M Increased$35.0M Reduced$904.4M
UNP UNION PAC CORP Industrials 7 $1.2B Net increased +5 Increased6 Reduced1 Net increased +$1.5B Increased$2.4B Reduced$818.9M
FWONK LIBERTY MEDIA CORP DEL Industrials 7 $1.1B Net flat +0 Increased3 Reduced3 Net increased +$13.5M Increased$448.3M Reduced$434.8M
AON AON PLC Finance 7 $1.1B Net increased +3 Increased6 Reduced3 Net reduced -$1.9B Increased$931.7M Reduced$2.8B
BABA ALIBABA GROUP HLDG LTD Consumer Discretionary 7 $1.1B Net reduced -4 Increased2 Reduced6 Net reduced -$1.1B Increased$1.4B Reduced$2.5B
LIN LINDE PLC Basic Materials 7 $333.7M Net increased +3 Increased5 Reduced2 Net increased +$140.8M Increased$182.0M Reduced$41.1M
KO COCA COLA CO Consumer Staples 6 $32.2B Net reduced -1 Increased2 Reduced3 Net reduced -$230.8M Increased$277.8M Reduced$508.6M
OXY OCCIDENTAL PETE CORP Energy 6 $19.4B Net reduced -1 Increased2 Reduced3 Net increased +$770.0M Increased$1.2B Reduced$437.1M
CB CHUBB LTD SWITZ Finance 6 $16.1B Net increased +6 Increased6 Reduced0 Net increased +$3.4B Increased$3.4B Reduced$20.7M
GE GE AEROSPACE Industrials 6 $13.8B Net flat +0 Increased1 Reduced1 Net reduced -$2.7M Increased$27.3M Reduced$30.0M
TSLA TESLA INC Consumer Discretionary 6 $7.2B Net increased +1 Increased4 Reduced3 Net increased +$522.0M Increased$1.9B Reduced$1.4B
PDD PDD HOLDINGS INC Consumer Discretionary 6 $6.4B Net reduced -2 Increased2 Reduced4 Net reduced -$103.3M Increased$2.0B Reduced$2.1B
BN Brookfield Corp VTG SHS CL A Real Estate 6 $4.5B Net increased +2 Increased6 Reduced4 Net increased +$784.1M Increased$2.4B Reduced$1.6B
ISRG INTUITIVE SURGICAL INC Health Care 6 $3.2B Net flat +0 Increased3 Reduced3 Net reduced -$42.2M Increased$899.6M Reduced$941.8M
CI CIGNA GROUP Health Care 6 $2.6B Net increased +3 Increased5 Reduced2 Net increased +$414.1M Increased$1.1B Reduced$677.9M
PGR PROGRESSIVE CORP Finance 6 $2.4B Net increased +5 Increased5 Reduced0 Net increased +$556.0M Increased$902.6M Reduced$346.6M
TXN TEXAS INSTRS INC Technology 6 $2.3B Net reduced -3 Increased1 Reduced4 Net reduced -$35.5M Increased$118.4M Reduced$154.0M
SNPS SYNOPSYS INC Technology 6 $2.3B Net increased +4 Increased5 Reduced1 Net increased +$1.1B Increased$2.7B Reduced$1.6B
XOM ExxonMobil Energy 6 $2.3B Net reduced -1 Increased3 Reduced4 Net reduced -$871.1M Increased$21.7M Reduced$892.9M
MDLN MEDLINE INC Health Care 6 $2.0B Net increased +6 Increased6 Reduced0 Net increased +$1.9B Increased$1.9B Reduced$52.6M
MRK Merck & Co. Inc. Health Care 6 $1.9B Net flat +0 Increased3 Reduced3 Net increased +$130.5M Increased$523.7M Reduced$393.2M
CVS CVS HEALTH CORP Health Care 6 $1.8B Net reduced -1 Increased2 Reduced3 Net reduced -$236.1M Increased$144.9M Reduced$380.9M
LLY ELI LILLY & CO Health Care 6 $1.7B Net reduced -5 Increased3 Reduced8 Net reduced -$3.7B Increased$272.7M Reduced$3.9B
NOW SERVICENOW INC Technology 6 $1.5B Net increased +3 Increased7 Reduced4 Net increased +$1.3B Increased$2.8B Reduced$1.5B
CG CARLYLE GROUP INC Finance 6 $1.4B Net reduced -1 Increased2 Reduced3 Net increased +$201.2M Increased$332.8M Reduced$131.6M
VRT VERTIV HOLDINGS CO Technology 6 $1.3B Net increased +1 Increased4 Reduced3 Net increased +$275.8M Increased$674.8M Reduced$399.0M
BNY BANK NEW YORK MELLON CORP Finance 6 $1.3B Net reduced -5 Increased1 Reduced6 Net reduced -$939.2M Increased$15.3M Reduced$954.5M
DG DOLLAR GEN CORP Consumer Staples 6 $1.2B Net reduced -2 Increased2 Reduced4 Net reduced -$516.5M Increased$51.9M Reduced$568.4M
KKR KKR & CO INC Finance 6 $1.1B Net reduced -3 Increased2 Reduced5 Net reduced -$1.1B Increased$812.7M Reduced$1.9B
ACN ACCENTURE PLC CL A Consumer Discretionary 6 $1.1B Net increased +4 Increased5 Reduced1 Net increased +$425.0M Increased$1.1B Reduced$709.1M
CRH CRH PLC Materials 6 $660.4M Net reduced -1 Increased3 Reduced4 Net reduced -$137.5M Increased$514.4M Reduced$651.9M
ICE INTERCONTINENTAL EXCHANGE IN Finance 5 $4.7B Net reduced -1 Increased2 Reduced3 Net increased +$1.4B Increased$1.9B Reduced$531.5M
GEV GE VERNOVA INC Industrials 5 $3.5B Net reduced -3 Increased1 Reduced4 Net reduced -$1.0B Increased$111.3M Reduced$1.1B
AXON AXON ENTERPRISE INC Industrials 5 $2.7B Net increased +2 Increased4 Reduced2 Net increased +$2.3B Increased$2.6B Reduced$258.5M
ALLY ALLY FINL INC Finance 5 $2.5B Net increased +2 Increased3 Reduced1 Net increased +$142.8M Increased$215.1M Reduced$72.4M
HCA HCA Healthcare Inc Health Care 5 $2.5B Net reduced -4 Increased1 Reduced5 Net reduced -$876.5M Increased$61.2M Reduced$937.6M
IDXX IDEXX LABS INC Health Care 5 $2.2B Net reduced -3 Increased1 Reduced4 Net reduced -$1.3B Increased$28.1M Reduced$1.3B
FICO FAIR ISAAC CORP Consumer Discretionary 5 $2.1B Net increased +3 Increased4 Reduced1 Net increased +$786.2M Increased$1.2B Reduced$383.0M
QSR RESTAURANT BRANDS INTL INC Consumer Discretionary 5 $2.1B Net flat +0 Increased3 Reduced3 Net increased +$258.2M Increased$438.3M Reduced$180.1M
RBLX ROBLOX CORP Technology 5 $1.9B Net reduced -2 Increased2 Reduced4 Net reduced -$1.1B Increased$208.2M Reduced$1.3B
INTU INTUIT INC Technology 5 $1.9B Net reduced -6 Increased3 Reduced9 Net reduced -$2.3B Increased$1.7B Reduced$4.0B
CHTR CHARTER COMMUNICATIONS INC N Telecommunications 5 $1.7B Net reduced -4 Increased2 Reduced6 Net increased +$306.7M Increased$813.6M Reduced$507.0M
VST VISTRA CORP Utilities 5 $1.7B Net reduced -3 Increased3 Reduced6 Net reduced -$430.8M Increased$699.4M Reduced$1.1B
DE DEERE & CO Industrials 5 $1.7B Net reduced -2 Increased1 Reduced3 Net reduced -$917.3M Increased$466.6M Reduced$1.4B
FISV FISERV INC Consumer Discretionary 5 $1.6B Net increased +3 Increased6 Reduced3 Net increased +$1.3B Increased$1.9B Reduced$579.4M
MLM MARTIN MARIETTA MATLS INC Industrials 5 $1.5B Net reduced -2 Increased2 Reduced4 Net reduced -$302.6M Increased$43.3M Reduced$345.9M
CBRE CBRE GROUP INC Finance 5 $1.4B Net reduced -4 Increased1 Reduced5 Net reduced -$775.4M Increased$203.9M Reduced$979.3M
TLN Talen Energy Corp Utilities 5 $1.4B Net increased +3 Increased5 Reduced2 Net increased +$207.2M Increased$749.8M Reduced$542.6M
KLAC KLA CORP Technology 5 $1.3B Net increased +3 Increased4 Reduced1 Net reduced -$120.9M Increased$509.4M Reduced$630.3M
LAD Lithia Motors, Inc. Consumer Discretionary 5 $1.3B Net increased +1 Increased3 Reduced2 Net increased +$41.9M Increased$67.3M Reduced$25.5M
HUM HUMANA INC Health Care 5 $1.2B Net increased +2 Increased4 Reduced2 Net reduced -$271.6M Increased$422.1M Reduced$693.7M
MU MICRON TECHNOLOGY INC Technology 5 $1.2B Net increased +3 Increased4 Reduced1 Net increased +$814.6M Increased$866.1M Reduced$51.5M
ICLR ICON Plc Health Care 5 $1.1B Net reduced -1 Increased3 Reduced4 Net increased +$668.2M Increased$930.6M Reduced$262.4M
ILMN ILLUMINA INC Health Care 5 $1.1B Net reduced -1 Increased2 Reduced3 Net reduced -$147.0M Increased$66.7M Reduced$213.8M
TSN Tyson Foods, Inc. Class A Consumer Staples 5 $1.1B Net increased +3 Increased4 Reduced1 Net increased +$258.0M Increased$264.8M Reduced$6.8M
FDS FACTSET RESH SYS INC Technology 5 $1.0B Net increased +5 Increased5 Reduced0 Net increased +$489.9M Increased$674.5M Reduced$184.7M
XYZ BLOCK INC Technology 5 $990.6M Net reduced -4 Increased2 Reduced6 Net reduced -$1.8B Increased$419.2M Reduced$2.2B
FDX FEDEX CORP Industrials 5 $871.8M Net flat +0 Increased3 Reduced3 Net increased +$622.0M Increased$721.7M Reduced$99.8M
VMC VULCAN MATLS CO Industrials 5 $853.0M Net reduced -1 Increased2 Reduced3 Net reduced -$215.1M Increased$518.4M Reduced$733.5M
EBAY eBay Inc. Consumer Discretionary 5 $826.7M Net reduced -4 Increased1 Reduced5 Net reduced -$391.4M Increased$30.2M Reduced$421.6M
YMM FULL TRUCK ALLIANCE CO LTD Technology 5 $728.5M Net reduced -3 Increased2 Reduced5 Net reduced -$52.2M Increased$344.7M Reduced$396.9M
AMD ADVANCED MICRO DEVICES INC Technology 5 $693.9M Net reduced -1 Increased3 Reduced4 Net reduced -$754.6M Increased$733.1M Reduced$1.5B
DDOG DATADOG INC Technology 5 $643.3M Net reduced -5 Increased1 Reduced6 Net reduced -$1.9B Increased$25.5M Reduced$1.9B
Z Zillow Group Consumer Discretionary 5 $533.4M Net flat +0 Increased3 Reduced3 Net reduced -$175.4M Increased$332.8M Reduced$508.2M
INTC INTEL CORP Technology 5 $459.7M Net increased +4 Increased5 Reduced1 Net increased +$150.7M Increased$345.5M Reduced$194.8M
BLDR BUILDERS FIRSTSOURCE INC Consumer Discretionary 5 $439.0M Net increased +3 Increased5 Reduced2 Net increased +$73.1M Increased$284.9M Reduced$211.9M
HEI.A HEICO CORP NEW Industrials 5 $402.1M Net reduced -1 Increased2 Reduced3 Net reduced -$338.1M Increased$19.8M Reduced$357.9M
LYV LIVE NATION ENTERTAINMENT IN Consumer Discretionary 5 $339.9M Net flat +0 Increased3 Reduced3 Net reduced -$135.7M Increased$380.6M Reduced$516.3M
BMY Bristol-Myers Squibb Health Care 5 $112.2M Net reduced -1 Increased3 Reduced4 Net reduced -$211.5M Increased$53.5M Reduced$265.1M
SPY SPDR S&P 500 ETF TRUST ETF 4 $8.7B Net increased +2 Increased4 Reduced2 Net increased +$4.3B Increased$4.7B Reduced$437.8M
PBR Petrobras Common ADR Energy 4 $4.7B Net increased +2 Increased3 Reduced1 Net increased +$20.9M Increased$1.2B Reduced$1.2B
NET CLOUDFLARE INC Technology 4 $4.1B Net reduced -2 Increased1 Reduced3 Net reduced -$2.2B Increased$20.7M Reduced$2.2B
WTW WILLIS TOWERS WATSON PLC LTD Finance 4 $3.2B Net increased +1 Increased3 Reduced2 Net increased +$517.9M Increased$853.2M Reduced$335.3M
AIG AMERICAN INTL GROUP INC COM NEW Financials 4 $2.7B Net increased +1 Increased3 Reduced2 Net reduced -$321.8M Increased$754.2M Reduced$1.1B
AER AerCap Holdings NV Consumer Discretionary 4 $2.3B Net reduced -3 Increased1 Reduced4 Net reduced -$32.8M Increased$867.9M Reduced$900.7M
LEN LENNAR CORP Consumer Discretionary 4 $2.2B Net reduced -2 Increased3 Reduced5 Net reduced -$62.2M Increased$540.7M Reduced$602.9M
EFX EQUIFAX INC Finance 4 $2.2B Net reduced -1 Increased2 Reduced3 Net increased +$1.3B Increased$1.4B Reduced$76.6M
RDDT REDDIT INC Technology 4 $2.0B Net increased +2 Increased4 Reduced2 Net reduced -$1.0B Increased$732.2M Reduced$1.8B
WAT WATERS CORP Industrials 4 $1.9B Net increased +2 Increased3 Reduced1 Net increased +$782.7M Increased$1.0B Reduced$250.6M
GM GENERAL MOTORS Consumer Discretionary 4 $1.8B Net reduced -2 Increased1 Reduced3 Net reduced -$917.6M Increased$217.9M Reduced$1.1B
MO Altria Group, Inc. Health Care 4 $1.7B Net reduced -2 Increased1 Reduced3 Net reduced -$392.9M Increased$28.6M Reduced$421.5M
NEM NEWMONT CORP Basic Materials 4 $1.7B Net flat +0 Increased2 Reduced2 Net reduced -$260.3M Increased$199.3M Reduced$459.5M
USB US BANCORP DEL Financials 4 $1.6B Net increased +1 Increased3 Reduced2 Net reduced -$914.7M Increased$189.7M Reduced$1.1B
SLB SLB LIMITED Energy 4 $1.6B Net increased +2 Increased3 Reduced1 Net increased +$74.3M Increased$83.1M Reduced$8.8M
EQIX EQUINIX INC Real Estate 4 $1.6B Net increased +1 Increased2 Reduced1 Net increased +$1.1B Increased$1.2B Reduced$67.5M
RBC RBC BEARINGS INC Industrials 4 $1.6B Net flat +0 Increased2 Reduced2 Net increased +$20.4M Increased$184.7M Reduced$164.3M
TER TERADYNE INC Industrials 4 $1.5B Net increased +2 Increased3 Reduced1 Net increased +$796.4M Increased$860.8M Reduced$64.3M
ADP AUTOMATIC DATA PROCESSING IN Industrials 4 $1.5B Net increased +2 Increased3 Reduced1 Net increased +$537.5M Increased$686.0M Reduced$148.6M
LLYVK LIBERTY LIVE HOLDINGS INC Consumer Discretionary 4 $1.5B Net increased +3 Increased3 Reduced0 Net increased +$1.3B Increased$1.3B Reduced$38.4M
GPN Global Payments Inc. Consumer Discretionary 4 $1.4B Net increased +2 Increased4 Reduced2 Net increased +$447.1M Increased$582.3M Reduced$135.2M
ZTS ZOETIS INC Health Care 4 $1.3B Net flat +0 Increased2 Reduced2 Net reduced -$170.6M Increased$449.8M Reduced$620.4M
VTRS VIATRIS INC Health Care 4 $1.3B Net increased +4 Increased4 Reduced0 Net increased +$173.5M Increased$198.4M Reduced$24.9M
SHW SHERWIN WILLIAMS CO Consumer Discretionary 4 $1.2B Net flat +0 Increased1 Reduced1 Net increased +$69.4M Increased$414.1M Reduced$344.7M
CRS CARPENTER TECHNOLOGY CORP Industrials 4 $1.2B Net increased +2 Increased4 Reduced2 Net increased +$739.1M Increased$1.0B Reduced$273.6M
MGM MGM RESORTS INTERNATIONAL Consumer Discretionary 4 $1.2B Net flat +0 Increased2 Reduced2 Net increased +$40.2M Increased$156.5M Reduced$116.3M
ROP ROPER TECHNOLOGIES INC Technology 4 $1.2B Net reduced -4 Increased2 Reduced6 Net increased +$118.3M Increased$718.9M Reduced$600.6M
MKL Markel Corp Financials 4 $1.2B Net reduced -2 Increased1 Reduced3 Net reduced -$36.6M Increased$94.7M Reduced$131.2M
JCI Johnson Controls International plc Industrials 4 $1.1B Net reduced -2 Increased2 Reduced4 Net increased +$179.1M Increased$630.4M Reduced$451.3M
CLS CELESTICA INC Technology 4 $1.0B Net flat +0 Increased2 Reduced2 Net reduced -$190.8M Increased$539.6M Reduced$730.4M
PG Procter & Gamble Consumer Staples 4 $1.0B Net reduced -5 Increased0 Reduced5 Net reduced -$801.1M Increased$169.2M Reduced$970.3M
BIO BIO RAD LABS INC Industrials 4 $1.0B Net flat +0 Increased2 Reduced2 Net reduced -$6.9M Increased$51.1M Reduced$58.1M
PFGC PERFORMANCE FOOD GROUP CO Consumer Discretionary 4 $970.4M Net increased +4 Increased4 Reduced0 Net increased +$847.8M Increased$927.8M Reduced$80.0M
WWD WOODWARD INC Industrials 4 $940.4M Net reduced -2 Increased1 Reduced3 Net reduced -$902.1M Increased$54.8M Reduced$956.9M
SNOW SNOWFLAKE INC Technology 4 $903.8M Net reduced -1 Increased2 Reduced3 Net reduced -$177.5M Increased$657.1M Reduced$834.6M
CSX CSX Corp Com Industrials 4 $887.5M Net reduced -3 Increased2 Reduced5 Net reduced -$244.4M Increased$296.1M Reduced$540.5M
MTN VAIL RESORTS INC Consumer Discretionary 4 $848.9M Net reduced -2 Increased1 Reduced3 Net reduced -$28.5M Increased$159.5M Reduced$188.0M
MTZ MASTEC INC Industrials 4 $838.3M Net increased +2 Increased3 Reduced1 Net increased +$672.9M Increased$837.7M Reduced$164.8M
RKT ROCKET COS INC Finance 4 $786.2M Net increased +3 Increased4 Reduced1 Net increased +$575.1M Increased$1.1B Reduced$541.6M
NRG NRG Energy, Inc. Utilities 4 $753.5M Net reduced -3 Increased1 Reduced4 Net reduced -$151.6M Increased$67.4M Reduced$219.0M
SNDK SANDISK CORP Technology 4 $750.5M Net increased +3 Increased4 Reduced1 Net increased +$364.6M Increased$491.8M Reduced$127.2M
SGI Somnigroup International Inc Consumer Discretionary 4 $721.6M Net reduced -1 Increased2 Reduced3 Net increased +$28.4M Increased$608.0M Reduced$579.6M
KVUE KENVUE INC Consumer Discretionary 4 $700.5M Net reduced -1 Increased3 Reduced4 Net reduced -$248.0M Increased$525.1M Reduced$773.1M
PEP Pepsico Inc Com Consumer Staples 4 $693.0M Net reduced -1 Increased1 Reduced2 Net reduced -$7.2M Increased$164.8M Reduced$172.0M
LBRDK LIBERTY BROADBAND CORP Telecommunications 4 $627.1M Net reduced -2 Increased2 Reduced4 Net reduced -$387.5M Increased$30.9M Reduced$418.4M
SOLS SOLSTICE ADVANCED MATLS INC Industrials 4 $619.3M Net increased +4 Increased4 Reduced0 Net increased +$460.9M Increased$703.7M Reduced$242.7M
WDC WESTERN DIGITAL CORP Technology 4 $588.3M Net reduced -2 Increased2 Reduced4 Net reduced -$34.1M Increased$162.4M Reduced$196.5M
TWLO Twilio Inc Technology 4 $577.0M Net reduced -1 Increased2 Reduced3 Net increased +$130.4M Increased$447.7M Reduced$317.4M
VRSK Verisk Analytics, Inc. Industrials 4 $559.0M Net increased +2 Increased3 Reduced1 Net increased +$239.4M Increased$294.3M Reduced$54.9M
STX SEAGATE TECHNOLOGY HLDNGS PL Technology 4 $546.7M Net reduced -1 Increased2 Reduced3 Net reduced -$71.5M Increased$321.3M Reduced$392.8M
WIX WIX COM LTD Technology 4 $545.4M Net flat +0 Increased3 Reduced3 Net reduced -$100.5M Increased$507.1M Reduced$607.6M
UHAL.B U-Haul Holding Company Consumer Discretionary 4 $532.0M Net reduced -1 Increased1 Reduced2 Net reduced -$34.6M Increased$11.7M Reduced$46.3M
CHYM CHIME FINL INC Finance 4 $524.5M Net reduced -4 Increased1 Reduced5 Net reduced -$149.5M Increased$94.8M Reduced$244.3M
CRWV COREWEAVE INC Technology 4 $519.0M Net increased +3 Increased4 Reduced1 Net reduced -$2.3B Increased$558.7M Reduced$2.9B
LYB LYONDELLBASELL INDUSTRIES NV Industrials 4 $504.8M Net increased +1 Increased2 Reduced1 Net increased +$467.1M Increased$481.5M Reduced$14.5M
COHR Coherent Corp Technology 4 $501.1M Net reduced -2 Increased1 Reduced3 Net reduced -$206.2M Increased$154.1M Reduced$360.4M
MEDP MEDPACE HLDGS INC Health Care 4 $492.2M Net reduced -4 Increased0 Reduced4 Net reduced -$82.9M Increased$107.8M Reduced$190.7M
TECH BIO-TECHNE CORP Health Care 4 $454.0M Net increased +1 Increased3 Reduced2 Net increased +$291.8M Increased$451.6M Reduced$159.8M
NVST ENVISTA HOLDINGS CORPORATION Health Care 4 $452.9M Net reduced -2 Increased1 Reduced3 Net reduced -$98.9M Increased$29.7M Reduced$128.6M
USFD US FOODS HLDG CORP Consumer Discretionary 4 $438.9M Net reduced -1 Increased2 Reduced3 Net increased +$153.1M Increased$399.7M Reduced$246.6M
ARM ARM HOLDINGS PLC Technology 4 $417.7M Net increased +3 Increased4 Reduced1 Net reduced -$419.4M Increased$471.6M Reduced$891.1M
KMX CARMAX INC Consumer Discretionary 4 $413.8M Net increased +2 Increased4 Reduced2 Net increased +$233.4M Increased$365.9M Reduced$132.5M
PRMB Primo Brands Corporation Consumer Staples 4 $408.9M Net increased +1 Increased4 Reduced3 Net reduced -$193.0M Increased$467.3M Reduced$660.3M
PYPL PAYPAL HLDGS INC Financials 4 $408.6M Net reduced -4 Increased2 Reduced6 Net reduced -$582.8M Increased$202.4M Reduced$785.2M
SSNC SS&C Technologies Holdings, Inc. Technology 4 $348.7M Net reduced -1 Increased2 Reduced3 Net increased +$158.9M Increased$236.7M Reduced$77.8M
WCC WESCO International, Inc. Consumer Discretionary 4 $304.0M Net flat +0 Increased2 Reduced2 Net reduced -$119.4M Increased$45.3M Reduced$164.8M
ROL ROLLINS INC Consumer Discretionary 4 $282.7M Net flat +0 Increased2 Reduced2 Net increased +$44.0M Increased$118.0M Reduced$74.0M
BKNG BOOKING HOLDINGS INC Consumer Discretionary 4 $235.9M Net reduced -6 Increased1 Reduced7 Net reduced -$930.4M Increased$148.9M Reduced$1.1B
TAP MOLSON COORS BEVERAGE CO Consumer Staples 4 $135.7M Net increased +4 Increased4 Reduced0 Net increased +$42.2M Increased$42.6M Reduced$436,850
CVX Chevron Corp. Energy 3 $19.6B Net reduced -2 Increased1 Reduced3 Net reduced -$3.7B Increased$3.3B Reduced$7.0B
KHC KRAFT HEINZ CO Consumer Staples 3 $7.5B Net increased +1 Increased2 Reduced1 Net reduced -$86.5M Increased$30.1M Reduced$116.6M
DAL DELTA AIR LINES INC DEL Consumer Discretionary 3 $3.9B Net increased +1 Increased3 Reduced2 Net increased +$2.9B Increased$3.2B Reduced$268.3M
IOT SAMSARA INC Technology 3 $2.5B Net flat +0 Increased2 Reduced2 Net increased +$270.1M Increased$661.0M Reduced$390.9M
T AT&T INC Telecommunications 3 $2.4B Net flat +0 Increased2 Reduced2 Net reduced -$1.0B Increased$47.4M Reduced$1.1B
VZ Verizon Telecommunications 3 $2.3B Net reduced -2 Increased1 Reduced3 Net reduced -$358.7M Increased$106.6M Reduced$465.3M
BDX BECTON DICKINSON & CO Health Care 3 $2.3B Net flat +0 Increased2 Reduced2 Net increased +$120.0M Increased$643.6M Reduced$523.6M
WDAY WORKDAY INC Technology 3 $2.3B Net reduced -3 Increased2 Reduced5 Net increased +$722.6M Increased$2.2B Reduced$1.4B
VRSN VERISIGN INC Technology 3 $2.3B Net reduced -2 Increased1 Reduced3 Net reduced -$1.3B Increased$47.2M Reduced$1.4B
AEP AMERICAN ELEC PWR CO INC Utilities 3 $2.3B Net reduced -2 Increased0 Reduced2 Net reduced -$882.1M Increased$0 Reduced$882.1M
FMX Fomento Economico Mex Sponsore Consumer Staples 3 $2.0B Net flat +0 Increased2 Reduced2 Net reduced -$247.3M Increased$310.8M Reduced$558.1M
WBD WARNER BROS DISCOVERY INC Communication Services 3 $1.8B Net reduced -4 Increased1 Reduced5 Net reduced -$2.7B Increased$220.4M Reduced$2.9B
ACGL ARCH CAP GROUP LTD Finance 3 $1.8B Net increased +1 Increased2 Reduced1 Net reduced -$201.4M Increased$97.0M Reduced$298.4M
FNV FRANCO NEV CORP Basic Materials 3 $1.8B Net increased +2 Increased3 Reduced1 Net increased +$743.3M Increased$867.2M Reduced$124.0M
BTI BRITISH AMERN TOB PLC Health Care 3 $1.8B Net increased +1 Increased2 Reduced1 Net increased +$93.7M Increased$307.1M Reduced$213.4M
CEG CONSTELLATION ENERGY CORP Utilities 3 $1.7B Net flat +0 Increased2 Reduced2 Net reduced -$369.8M Increased$405.8M Reduced$775.6M
PSX PHILLIPS 66 Energy 3 $1.7B Net reduced -1 Increased1 Reduced2 Net reduced -$538.0M Increased$87.1M Reduced$625.1M
APD AIR PRODUCTS AND CHEMICALS I Basic Materials 3 $1.6B Net increased +3 Increased3 Reduced0 Net increased +$659.4M Increased$827.0M Reduced$167.6M
NYT New York Times Co Consumer Discretionary 3 $1.5B Net increased +1 Increased2 Reduced1 Net increased +$1.2B Increased$1.2B Reduced$19.3M
SAP SAP SE-SPONSORED ADR Technology 3 $1.5B Net flat +0 Increased3 Reduced3 Net increased +$870.1M Increased$1.1B Reduced$258.1M
IT GARTNER INC Consumer Discretionary 3 $1.5B Net increased +1 Increased3 Reduced2 Net increased +$721.2M Increased$1.1B Reduced$367.9M
ALL ALLSTATE CORP Finance 3 $1.3B Net reduced -2 Increased1 Reduced3 Net increased +$224.9M Increased$367.7M Reduced$142.8M
INSM Insmed Incorporated Health Care 3 $1.3B Net reduced -2 Increased1 Reduced3 Net reduced -$173.9M Increased$208.3M Reduced$382.2M
C Citigroup Inc Financials 3 $1.2B Net reduced -4 Increased0 Reduced4 Net reduced -$819.6M Increased$8.7M Reduced$828.3M
EOG EOG Resources, Inc. Energy 3 $1.2B Net reduced -2 Increased1 Reduced3 Net increased +$311.5M Increased$672.2M Reduced$360.8M
SYK STRYKER CORP Health Care 3 $1.1B Net increased +1 Increased2 Reduced1 Net reduced -$560.0M Increased$28.8M Reduced$588.8M
B BARRICK MNG CORP Basic Materials 3 $1.1B Net reduced -2 Increased1 Reduced3 Net reduced -$673.6M Increased$110.5M Reduced$784.2M
AA ALCOA CORP Industrials 3 $977.7M Net increased +1 Increased2 Reduced1 Net reduced -$22.4M Increased$92.2M Reduced$114.6M
EXPE Expedia Group, Inc. Consumer Discretionary 3 $977.4M Net reduced -3 Increased1 Reduced4 Net reduced -$391.5M Increased$50.3M Reduced$441.8M
GLW CORNING INC Industrials 3 $971.5M Net flat +0 Increased2 Reduced2 Net increased +$456.0M Increased$571.0M Reduced$115.0M
APG API GROUP CORP Consumer Discretionary 3 $917.5M Net increased +1 Increased2 Reduced1 Net increased +$1.8M Increased$292.7M Reduced$290.9M
MTD METTLER-TOLEDO INTERNATIONAL Industrials 3 $907.0M Net reduced -3 Increased0 Reduced3 Net reduced -$168.3M Increased$1.2M Reduced$169.5M
THC TENET HEALTHCARE CORP Health Care 3 $863.1M Net increased +1 Increased2 Reduced1 Net increased +$335.1M Increased$702.7M Reduced$367.5M
CLH CLEAN HARBORS INC Industrials 3 $843.1M Net increased +3 Increased3 Reduced0 Net increased +$694.0M Increased$694.0M Reduced$0
LPLA LPL FINL HLDGS INC Finance 3 $821.8M Net reduced -2 Increased2 Reduced4 Net reduced -$454.7M Increased$150.2M Reduced$604.9M
SNX TD SYNNEX Corporation Technology 3 $766.6M Net reduced -1 Increased1 Reduced2 Net reduced -$70.9M Increased$48.9M Reduced$119.8M
RYAAY RYANAIR HOLDINGS PLC Consumer Discretionary 3 $732.1M Net reduced -4 Increased0 Reduced4 Net reduced -$762.6M Increased$30.7M Reduced$793.3M
LLYVA LIBERTY LIVE HOLDINGS INC Uncategorized sector 3 $712.0M Net increased +3 Increased3 Reduced0 Net increased +$633.2M Increased$635.0M Reduced$1.8M
CRL CHARLES RIV LABS INTL INC Health Care 3 $682.4M Net increased +3 Increased3 Reduced0 Net increased +$191.2M Increased$205.1M Reduced$13.9M
CDW CDW CORP Technology 3 $673.4M Net increased +1 Increased3 Reduced2 Net increased +$423.0M Increased$696.2M Reduced$273.3M
FN FABRINET Utilities 3 $671.8M Net reduced -1 Increased1 Reduced2 Net increased +$59.3M Increased$130.3M Reduced$71.0M
CNC Centene Corporation Health Care 3 $649.6M Net increased +1 Increased3 Reduced2 Net reduced -$338.4M Increased$328.8M Reduced$667.1M
EWY iShares Trust ETF 3 $633.1M Net increased +3 Increased3 Reduced0 Net increased +$348.7M Increased$394.4M Reduced$45.7M
DKS Dicks Sporting Goods Inc Consumer Discretionary 3 $628.2M Net increased +3 Increased3 Reduced0 Net increased +$449.1M Increased$752.6M Reduced$303.6M
ABG ASBURY AUTOMOTIVE GROUP INC Consumer Discretionary 3 $609.4M Net increased +1 Increased2 Reduced1 Net increased +$350,227 Increased$18.7M Reduced$18.3M
HD HOME DEPOT INC Consumer Discretionary 3 $569.5M Net reduced -1 Increased1 Reduced2 Net increased +$110.6M Increased$166.5M Reduced$55.8M
PRI Primerica, Inc. Finance 3 $562.4M Net reduced -1 Increased1 Reduced2 Net reduced -$187.0M Increased$44.6M Reduced$231.5M
BSX BOSTON SCIENTIFIC CORP Health Care 3 $561.3M Net increased +3 Increased4 Reduced1 Net reduced -$84.4M Increased$872.0M Reduced$956.4M
GDS GDS Hldgs Ltd Technology 3 $535.3M Net increased +1 Increased2 Reduced1 Net increased +$114.2M Increased$176.2M Reduced$61.9M
SBUX STARBUCKS CORP Consumer Discretionary 3 $531.3M Net reduced -2 Increased1 Reduced3 Net reduced -$933.3M Increased$1.1M Reduced$934.4M
AU ANGLOGOLD ASHANTI PLC Basic Materials 3 $517.1M Net reduced -1 Increased1 Reduced2 Net reduced -$120.3M Increased$50.5M Reduced$170.8M
SATS Echostar Corp Consumer Discretionary 3 $516.2M Net increased +3 Increased3 Reduced0 Net increased +$375.5M Increased$951.2M Reduced$575.7M
CMS CMS ENERGY CORP Utilities 3 $504.7M Net reduced -1 Increased1 Reduced2 Net reduced -$31.1M Increased$91.1M Reduced$122.2M
APO APOLLO GLOBAL MGMT INC Financials 3 $494.4M Net flat +0 Increased2 Reduced2 Net reduced -$560.9M Increased$36.8M Reduced$597.7M
CMI CUMMINS INC Industrials 3 $473.6M Net reduced -1 Increased1 Reduced2 Net reduced -$302.2M Increased$110.0M Reduced$412.2M
BE BLOOM ENERGY CORP Energy 3 $465.1M Net increased +1 Increased2 Reduced1 Net increased +$237.0M Increased$594.8M Reduced$357.7M
APA APA CORPORATION Energy 3 $458.8M Net reduced -2 Increased1 Reduced3 Net reduced -$669.4M Increased$31.3M Reduced$700.8M
BX Blackstone Inc Com Financials 3 $450.3M Net reduced -1 Increased1 Reduced2 Net reduced -$1.0B Increased$27.2M Reduced$1.1B
ON On Semiconductor Corp Technology 3 $437.6M Net flat +0 Increased2 Reduced2 Net increased +$83.3M Increased$176.1M Reduced$92.8M
AN AutoNation, Inc. Consumer Discretionary 3 $421.9M Net increased +1 Increased3 Reduced2 Net increased +$159.8M Increased$174.3M Reduced$14.5M
JLL JONES LANG LASALLE INC Finance 3 $418.5M Net reduced -1 Increased1 Reduced2 Net reduced -$191.0M Increased$53.6M Reduced$244.6M
PPLI IAC INC Technology 3 $391.9M Net increased +3 Increased3 Reduced0 Net increased +$97.2M Increased$108.7M Reduced$11.4M
FBIN FORTUNE BRANDS INNOVATIONS I Basic Materials 3 $384.9M Net increased +2 Increased3 Reduced1 Net increased +$39.1M Increased$106.6M Reduced$67.5M
CAT CATERPILLAR INC Industrials 3 $374.2M Net increased +2 Increased2 Reduced0 Net increased +$59.2M Increased$62.3M Reduced$3.1M
GNRC GENERAC HLDGS INC Consumer Discretionary 3 $367.4M Net reduced -1 Increased1 Reduced2 Net reduced -$25.1M Increased$55.1M Reduced$80.2M
ROIV Roivant Sciences Ltd. Health Care 3 $358.3M Net increased +1 Increased2 Reduced1 Net reduced -$336.2M Increased$58.2M Reduced$394.4M
RTX RTX CORPORATION Industrials 3 $350.3M Net flat +0 Increased2 Reduced2 Net increased +$182.8M Increased$234.9M Reduced$52.1M
MDB MONGODB INC Technology 3 $348.9M Net increased +1 Increased2 Reduced1 Net reduced -$80.0M Increased$567.2M Reduced$647.2M
FCX FREEPORT MCMORAN INC Basic Materials 3 $348.3M Net flat +0 Increased2 Reduced2 Net increased +$201.2M Increased$250.9M Reduced$49.7M
MSGS MADISON SQUARE GRDN SPRT COR Consumer Discretionary 3 $324.3M Net reduced -1 Increased1 Reduced2 Net reduced -$16.4M Increased$7.1M Reduced$23.5M
TRU TRANSUNION COM Finance 3 $322.9M Net increased +1 Increased2 Reduced1 Net increased +$284.4M Increased$304.3M Reduced$19.9M
NVR NVR INC Consumer Discretionary 3 $311.5M Net reduced -2 Increased1 Reduced3 Net reduced -$70.7M Increased$3.7M Reduced$74.4M
KGC KINROSS GOLD CORP Basic Materials 3 $299.4M Net reduced -1 Increased1 Reduced2 Net reduced -$124.6M Increased$19.6M Reduced$144.2M
FITB FIFTH THIRD BANCORP Finance 3 $288.6M Net increased +3 Increased3 Reduced0 Net increased +$91.4M Increased$116.1M Reduced$24.7M
MRP MILLROSE PPTYS INC Finance 3 $287.3M Net increased +3 Increased3 Reduced0 Net increased +$50.5M Increased$123.9M Reduced$73.4M
CCC CCC INTELLIGENT SOLUTIONS HL Technology 3 $276.7M Net flat +0 Increased2 Reduced2 Net increased +$102.6M Increased$139.2M Reduced$36.6M
GTX GARRETT MOTION Consumer Discretionary 3 $273.2M Net reduced -2 Increased1 Reduced3 Net reduced -$345.1M Increased$193,492 Reduced$345.3M
TEVA TEVA PHARMACEUTICAL INDS LTD Health Care 3 $234.7M Net reduced -2 Increased1 Reduced3 Net reduced -$801.8M Increased$42.3M Reduced$844.1M
CWAN CLEARWATER ANALYTICS HLDGS I Technology 3 $231.0M Net increased +1 Increased2 Reduced1 Net increased +$49.7M Increased$343.0M Reduced$293.3M
CRDO CREDO TECHNOLOGY GROUP HOLDI Technology 3 $217.6M Net increased +3 Increased3 Reduced0 Net increased +$241.3M Increased$245.9M Reduced$4.6M
REZI RESIDEO TECHNOLOGIES INC Industrials 3 $209.8M Net increased +1 Increased2 Reduced1 Net reduced -$71.8M Increased$61.5M Reduced$133.3M
EDU NEW ORIENTAL ED & TECHNOLOGY Real Estate 3 $202.6M Net flat +0 Increased1 Reduced1 Net increased +$4.6M Increased$44.8M Reduced$40.2M
AME AMETEK INC Industrials 3 $192.9M Net reduced -1 Increased1 Reduced2 Net reduced -$57.0M Increased$24.0M Reduced$81.1M
ALSN ALLISON TRANSMISSION HLDGS I Consumer Discretionary 3 $168.7M Net increased +2 Increased3 Reduced1 Net increased +$136.3M Increased$145.5M Reduced$9.2M
ONTO ONTO INNOVATION INC Industrials 3 $167.4M Net increased +3 Increased3 Reduced0 Net increased +$106.8M Increased$130.1M Reduced$23.4M
CX CEMEX SAB DE CV Industrials 3 $164.2M Net increased +1 Increased2 Reduced1 Net increased +$4.6M Increased$111.5M Reduced$107.0M
DECK DECKERS OUTDOOR CORP Consumer Discretionary 3 $152.5M Net increased +3 Increased3 Reduced0 Net increased +$103.0M Increased$300.0M Reduced$197.1M
BLCO BAUSCH PLUS LOMB CORP Healthcare 3 $139.8M Net increased +2 Increased2 Reduced0 Net increased +$19.0M Increased$19.0M Reduced$0
BF.A Brown-Forman Corp Cl A Consumer Staples 3 $136.0M Net reduced -2 Increased0 Reduced2 Net reduced -$8.8M Increased$252,927 Reduced$9.0M
ODFL OLD DOMINION FREIGHT LINE IN Industrials 3 $131.9M Net increased +1 Increased2 Reduced1 Net increased +$6.1M Increased$19.1M Reduced$13.0M
CROX CROCS INC Consumer Discretionary 3 $119.8M Net increased +4 Increased4 Reduced0 Net increased +$136.5M Increased$156.5M Reduced$20.1M
CIGI COLLIERS INTL GROUP INC Finance 3 $118.5M Net reduced -1 Increased1 Reduced2 Net reduced -$415.1M Increased$19.4M Reduced$434.5M
VLO VALERO ENERGY CORP Energy 3 $97.3M Net increased +1 Increased2 Reduced1 Net increased +$11.4M Increased$36.8M Reduced$25.3M
BF.B Brown-Forman Corp Cl B Consumer Staples 3 $71.7M Net reduced -2 Increased0 Reduced2 Net reduced -$5.1M Increased$0 Reduced$5.1M
DINO HF SINCLAIR CORP Energy 3 $67.5M Net increased +2 Increased3 Reduced1 Net reduced -$55.5M Increased$18.5M Reduced$74.0M
GSK GSK PLC ADR Health Care 3 $52.0M Net reduced -3 Increased0 Reduced3 Net reduced -$51.9M Increased$3.2M Reduced$55.1M
FIGR Figure Technology Solutio Finance 3 $37.1M Net increased +3 Increased3 Reduced0 Net increased +$74.7M Increased$194.4M Reduced$119.8M
KR KROGER CO Consumer Staples 2 $4.5B Net increased +1 Increased2 Reduced1 Net reduced -$33.0M Increased$89.5M Reduced$122.5M
CP CANADIAN PACIFIC KANSAS CITY Industrials 2 $3.8B Net reduced -2 Increased1 Reduced3 Net reduced -$512.7M Increased$5.3M Reduced$518.0M
INCY Incyte Corporation Health Care 2 $3.0B Net increased +1 Increased2 Reduced1 Net increased +$24.3M Increased$61.8M Reduced$37.5M
ONC BeOne Medicines Ltd. Health Care 2 $2.9B Net reduced -1 Increased0 Reduced1 Net reduced -$3.8M Increased$0 Reduced$3.8M
SIRI SIRIUSXM HOLDINGS INC Consumer Discretionary 2 $2.9B Net reduced -1 Increased1 Reduced2 Net increased +$113.6M Increased$117.1M Reduced$3.5M
IBN ICICI Bank ADR Finance 2 $2.1B Net flat +0 Increased1 Reduced1 Net increased +$1.1M Increased$76.0M Reduced$75.0M
IQV IQVIA HLDGS INC Health Care 2 $2.1B Net reduced -2 Increased1 Reduced3 Net reduced -$97.7M Increased$309.0M Reduced$406.7M
FCNCA FIRST CTZNS BANCSHARES INC N Finance 2 $2.0B Net flat +0 Increased2 Reduced2 Net increased +$328.9M Increased$488.0M Reduced$159.0M
IVV ISHARES TR ETF 2 $2.0B Net increased +2 Increased2 Reduced0 Net increased +$334.9M Increased$1.4B Reduced$1.0B
LOAR LOAR HOLDINGS INC Industrials 2 $2.0B Net flat +0 Increased1 Reduced1 Net increased +$110.5M Increased$125.4M Reduced$14.9M
ETN Eaton Technology 2 $1.9B Net increased +1 Increased2 Reduced1 Net reduced -$12.7M Increased$51.6M Reduced$64.3M
CNQ Canadian Natural Resources Limited Energy 2 $1.7B Net flat +0 Increased1 Reduced1 Net increased +$671.6M Increased$853.7M Reduced$182.0M
CTVA CORTEVA INC Consumer Staples 2 $1.4B Net increased +2 Increased2 Reduced0 Net increased +$668.6M Increased$734.9M Reduced$66.3M
RACE FERRARI N V Industrials 2 $1.4B Net reduced -1 Increased1 Reduced2 Net reduced -$520.3M Increased$25.4M Reduced$545.7M
MCD McDonalds Corp Consumer Discretionary 2 $1.2B Net increased +2 Increased2 Reduced0 Net increased +$190.7M Increased$190.7M Reduced$0
SU Suncor Energy Inc. Energy 2 $1.2B Net reduced -1 Increased1 Reduced2 Net increased +$896.6M Increased$1.1B Reduced$238.7M
MAR MARRIOTT INTL INC NEW Consumer Discretionary 2 $1.1B Net flat +0 Increased1 Reduced1 Net reduced -$246.1M Increased$9.8M Reduced$255.9M
CVE CENOVUS ENERGY INC Energy 2 $1.1B Net flat +0 Increased1 Reduced1 Net increased +$666.8M Increased$714.7M Reduced$47.9M
GLD SPDR GOLD TR ETF 2 $1.1B Net reduced -1 Increased1 Reduced2 Net reduced -$300.4M Increased$64.5M Reduced$364.9M
CNI CANADIAN NATL RY CO Industrials 2 $1.0B Net flat +0 Increased1 Reduced1 Net reduced -$1.3B Increased$510,623 Reduced$1.3B
GWRE GUIDEWIRE SOFTWARE INC Technology 2 $1.0B Net flat +0 Increased1 Reduced1 Net reduced -$117.7M Increased$298.4M Reduced$416.2M
IFF INTERNATIONAL FLAVORS&FRAGRA Industrials 2 $985.9M Net increased +1 Increased2 Reduced1 Net increased +$283.2M Increased$324.4M Reduced$41.2M
RVMD Revolution Medicines, Inc. Health Care 2 $929.3M Net increased +2 Increased2 Reduced0 Net increased +$44.7M Increased$44.7M Reduced$0
RPRX Royalty Pharma Health Care 2 $884.2M Net reduced -1 Increased1 Reduced2 Net reduced -$82.2M Increased$83.7M Reduced$165.9M
QQQ INVESCO QQQ TR ETF 2 $850.7M Net increased +2 Increased2 Reduced0 Net increased +$350.7M Increased$409.8M Reduced$59.1M
ITUB Itau Unibanco Holding SA-ADR Finance 2 $786.3M Net flat +0 Increased1 Reduced1 Net reduced -$62.3M Increased$264.9M Reduced$327.2M
KNSL KINSALE CAP GROUP INC Finance 2 $767.6M Net increased +2 Increased2 Reduced0 Net increased +$107.4M Increased$110.5M Reduced$3.1M
RRR RED ROCK RESORTS INC Consumer Discretionary 2 $737.8M Net flat +0 Increased1 Reduced1 Net reduced -$93.4M Increased$63.2M Reduced$156.6M
BLK BLACKROCK INC Finance 2 $737.0M Net flat +0 Increased2 Reduced2 Net increased +$151.2M Increased$1.3B Reduced$1.1B
AJG GALLAGHER ARTHUR J & CO Finance 2 $734.9M Net flat +0 Increased2 Reduced2 Net reduced -$14.9M Increased$846.7M Reduced$861.6M
CPAY Corpay, Inc. Consumer Discretionary 2 $689.9M Net reduced -3 Increased1 Reduced4 Net reduced -$187.5M Increased$104.7M Reduced$292.2M
TRMD TORM PLC-A Consumer Discretionary 2 $677.7M Net flat +0 Increased1 Reduced1 Net reduced -$341.5M Increased$1.2M Reduced$342.7M
WSO Watsco Inc Consumer Discretionary 2 $625.5M Net increased +2 Increased2 Reduced0 Net increased +$60.8M Increased$85.8M Reduced$25.0M
EXE EXPAND ENERGY CORPORATION Energy 2 $620.0M Net increased +2 Increased2 Reduced0 Net increased +$42.1M Increased$201.6M Reduced$159.6M
TKO TKO GROUP HOLDINGS INC Consumer Discretionary 2 $615.8M Net flat +0 Increased1 Reduced1 Net reduced -$90.3M Increased$60.7M Reduced$151.0M
QRVO QORVO INC Uncategorized sector 2 $602.1M Net reduced -2 Increased0 Reduced2 Net reduced -$121.1M Increased$0 Reduced$121.1M
LPX LOUISIANA PAC CORP Basic Materials 2 $596.4M Net reduced -3 Increased0 Reduced3 Net reduced -$86.7M Increased$132.9M Reduced$219.6M
Q QNITY ELECTRONICS INC Technology 2 $587.1M Net increased +2 Increased2 Reduced0 Net increased +$507.1M Increased$549.4M Reduced$42.3M
ORLA ORLA MNG LTD NEW Materials 2 $578.3M Net reduced -2 Increased0 Reduced2 Net reduced -$291.0M Increased$0 Reduced$291.0M
FNF FIDELITY NATL FINL INC Finance 2 $574.3M Net increased +2 Increased2 Reduced0 Net increased +$133.0M Increased$133.9M Reduced$921,261
ETR ENTERGY CORP NEW Utilities 2 $567.3M Net reduced -1 Increased1 Reduced2 Net reduced -$153.3M Increased$117.3M Reduced$270.6M
MDLZ MONDELEZ INTL INC Consumer Staples 2 $529.9M Net reduced -1 Increased1 Reduced2 Net increased +$104.0M Increased$234.2M Reduced$130.1M
NTRA NATERA INC Health Care 2 $509.0M Net reduced -1 Increased1 Reduced2 Net increased +$556.3M Increased$695.5M Reduced$139.2M
AFRM AFFIRM HLDGS INC Finance 2 $501.8M Net reduced -3 Increased0 Reduced3 Net reduced -$421.3M Increased$374.3M Reduced$795.6M
WCN WASTE CONNECTIONS INC Uncategorized sector 2 $501.3M Net reduced -1 Increased1 Reduced2 Net reduced -$35.9M Increased$65.0M Reduced$100.9M
SHC SOTERA HEALTH CO Uncategorized sector 2 $497.5M Net increased +2 Increased2 Reduced0 Net increased +$346.2M Increased$346.2M Reduced$0
EG EVEREST GROUP LTD Finance 2 $491.2M Net increased +1 Increased2 Reduced1 Net increased +$60.1M Increased$125.9M Reduced$65.8M
TJX TJX COS INC NEW Consumer Discretionary 2 $490.3M Net flat +0 Increased1 Reduced1 Net reduced -$82.8M Increased$11.2M Reduced$94.0M
CDNS CADENCE DESIGN SYSTEM INC Technology 2 $485.2M Net reduced -1 Increased1 Reduced2 Net reduced -$336.9M Increased$11.8M Reduced$348.7M
ENTG ENTEGRIS INC Industrials 2 $479.1M Net reduced -3 Increased1 Reduced4 Net reduced -$236.8M Increased$515.1M Reduced$751.8M
AQN ALGONQUIN POWER & UTILITIES Uncategorized sector 2 $471.7M Net reduced -1 Increased1 Reduced2 Net reduced -$38.9M Increased$40.2M Reduced$79.1M
KMB KIMBERLY-CLARK CORP Consumer Discretionary 2 $465.6M Net increased +2 Increased2 Reduced0 Net increased +$448.0M Increased$453.5M Reduced$5.5M
TDS TELEPHONE AND DATA SYSTEMS INC Telecommunications 2 $458.6M Net flat +0 Increased1 Reduced1 Net increased +$165.2M Increased$170.2M Reduced$5.0M
TCOM Trip.com Group Ltd., ADR Consumer Discretionary 2 $456.0M Net increased +2 Increased2 Reduced0 Net increased +$189.9M Increased$212.5M Reduced$22.6M
SOLV SOLVENTUM CORP Health Care 2 $454.0M Net increased +2 Increased2 Reduced0 Net increased +$86.3M Increased$86.3M Reduced$0
TTMI TTM TECHNOLOGIES INC Uncategorized sector 2 $444.7M Net increased +2 Increased2 Reduced0 Net increased +$189.0M Increased$258.2M Reduced$69.2M
PNW PINNACLE WEST CAP CORP Utilities 2 $438.7M Net increased +2 Increased2 Reduced0 Net increased +$377.1M Increased$377.5M Reduced$440,218
AMG Affiliated Managers Group, Inc. Uncategorized sector 2 $433.4M Net reduced -2 Increased0 Reduced2 Net reduced -$82.8M Increased$9.7M Reduced$92.5M
VRTX VERTEX PHARMACEUTICALS INC Uncategorized sector 2 $422.2M Net flat +0 Increased1 Reduced1 Net reduced -$667.0M Increased$1.3M Reduced$668.3M
AEIS ADVANCED ENERGY INDS Technology 2 $416.6M Net flat +0 Increased1 Reduced1 Net increased +$310.9M Increased$333.0M Reduced$22.2M
OMF ONEMAIN HLDGS INC Uncategorized sector 2 $416.5M Net reduced -2 Increased0 Reduced2 Net reduced -$13.6M Increased$0 Reduced$13.6M
GPC GENUINE PARTS CO Consumer Discretionary 2 $416.2M Net increased +1 Increased2 Reduced1 Net increased +$300.4M Increased$401.8M Reduced$101.4M
FANG Diamondback Energy, Inc. Uncategorized sector 2 $410.1M Net flat +0 Increased1 Reduced1 Net reduced -$5.0M Increased$38.5M Reduced$43.5M
NTES NetEase Inc. - ADR Communication Services 2 $404.4M Net reduced -3 Increased0 Reduced3 Net reduced -$303.5M Increased$211,722 Reduced$303.7M
MAT MATTEL INC Consumer Discretionary 2 $383.3M Net flat +0 Increased1 Reduced1 Net increased +$70.9M Increased$100.6M Reduced$29.8M
NVS Novartis AG Sponsored ADR Health Care 2 $375.9M Net flat +0 Increased1 Reduced1 Net increased +$307.0M Increased$405.6M Reduced$98.6M
ORLY OREILLY AUTOMOTIVE INC Consumer Discretionary 2 $375.2M Net reduced -2 Increased0 Reduced2 Net reduced -$535.0M Increased$696,237 Reduced$535.7M
NI NISOURCE INC Uncategorized sector 2 $366.7M Net increased +2 Increased2 Reduced0 Net increased +$37.6M Increased$76.4M Reduced$38.7M
MKSI MKS INC. Industrials 2 $345.2M Net increased +1 Increased2 Reduced1 Net increased +$271.1M Increased$305.9M Reduced$34.7M
FUTU FUTU HLDGS LTD Finance 2 $330.4M Net reduced -2 Increased0 Reduced2 Net reduced -$513.1M Increased$22.9M Reduced$536.0M
HUT HUT 8 CORP Finance 2 $326.0M Net increased +2 Increased2 Reduced0 Net increased +$326.0M Increased$455.7M Reduced$129.8M
IONS Ionis Pharmaceuticals, Inc. Uncategorized sector 2 $324.6M Net flat +0 Increased1 Reduced1 Net increased +$110.3M Increased$153.8M Reduced$43.5M
NWSA NEWS CORP NEW Uncategorized sector 2 $323.9M Net reduced -2 Increased0 Reduced2 Net reduced -$57.0M Increased$1.5M Reduced$58.5M
NTAP NetApp, Inc. Technology 2 $321.6M Net flat +0 Increased2 Reduced2 Net increased +$279.7M Increased$360.0M Reduced$80.3M
FFIV F5, Inc. Telecommunications 2 $321.0M Net flat +0 Increased1 Reduced1 Net increased +$7.1M Increased$34.4M Reduced$27.3M
ULS UL SOLUTIONS INC Health Care 2 $316.0M Net flat +0 Increased1 Reduced1 Net increased +$237.7M Increased$272.5M Reduced$34.8M
MAC MACERICH CO Real Estate 2 $306.9M Net flat +0 Increased1 Reduced1 Net reduced -$39.0M Increased$30.5M Reduced$69.5M
VSEC VSE CORP Consumer Discretionary 2 $304.6M Net increased +2 Increased2 Reduced0 Net increased +$144.3M Increased$144.3M Reduced$0
DHI D R HORTON INC Uncategorized sector 2 $300.7M Net reduced -6 Increased0 Reduced6 Net reduced -$570.5M Increased$21.6M Reduced$592.1M
GRAL GRAIL, Inc. Uncategorized sector 2 $297.1M Net increased +2 Increased2 Reduced0 Net increased +$184.5M Increased$209.4M Reduced$24.9M
GEN Gen Digital Inc. Technology 2 $297.0M Net flat +0 Increased2 Reduced2 Net reduced -$160.7M Increased$39.2M Reduced$199.9M
AZO AUTOZONE, INC. Consumer Discretionary 2 $289.9M Net reduced -3 Increased0 Reduced3 Net reduced -$412.4M Increased$0 Reduced$412.4M
BP BP PLC Energy 2 $286.0M Net flat +0 Increased1 Reduced1 Net increased +$239.4M Increased$256.7M Reduced$17.4M
CPRT COPART INC Consumer Discretionary 2 $280.9M Net flat +0 Increased2 Reduced2 Net reduced -$626.7M Increased$312.7M Reduced$939.4M
DT DYNATRACE INC Technology 2 $276.0M Net increased +1 Increased2 Reduced1 Net increased +$122.0M Increased$170.2M Reduced$48.3M
NCLH NORWEGIAN CRUISE LINE HLDGS Consumer Discretionary 2 $274.2M Net increased +2 Increased2 Reduced0 Net increased +$118.5M Increased$151.3M Reduced$32.8M
FOUR SHIFT4 PMTS INC Consumer Discretionary 2 $270.9M Net flat +0 Increased1 Reduced1 Net reduced -$67.7M Increased$63.1M Reduced$130.8M
VOO VANGUARD INDEX FDS ETF 2 $260.2M Net increased +1 Increased2 Reduced1 Net increased +$117.8M Increased$162.7M Reduced$44.8M
BYD BOYD GAMING CORP Consumer Discretionary 2 $257.4M Net flat +0 Increased1 Reduced1 Net reduced -$9.3M Increased$37.1M Reduced$46.5M
SSD SIMPSON MFG INC Uncategorized sector 2 $255.7M Net reduced -2 Increased0 Reduced2 Net reduced -$2.7M Increased$42.7M Reduced$45.4M
OPCH OPTION CARE HEALTH INC Health Care 2 $242.1M Net increased +2 Increased2 Reduced0 Net increased +$60.8M Increased$86.9M Reduced$26.2M
LOW LOWES COS INC Consumer Discretionary 2 $223.3M Net flat +0 Increased2 Reduced2 Net reduced -$102.7M Increased$245.6M Reduced$348.3M
ANET ARISTA NETWORKS INC Telecommunications 2 $215.3M Net increased +1 Increased2 Reduced1 Net increased +$74.6M Increased$104.3M Reduced$29.7M
MPLX MPLX LP Energy 2 $214.4M Net reduced -2 Increased0 Reduced2 Net reduced -$59.2M Increased$14.9M Reduced$74.1M
FIS Fidelity National Information Services, Inc. Technology 2 $210.7M Net reduced -3 Increased0 Reduced3 Net reduced -$272.7M Increased$76.3M Reduced$348.9M
MRVL MARVELL TECHNOLOGY INC Technology 2 $210.0M Net flat +0 Increased2 Reduced2 Net increased +$75.5M Increased$312.5M Reduced$236.9M
LHX L3Harris Technologies Inc Industrials 2 $209.1M Net reduced -2 Increased0 Reduced2 Net reduced -$71.1M Increased$0 Reduced$71.1M
ARES ARES MANAGEMENT CORPORATION Finance 2 $205.9M Net increased +2 Increased2 Reduced0 Net increased +$97.2M Increased$98.1M Reduced$918,330
MANU MANCHESTER UTD PLC NEW Consumer Discretionary 2 $205.1M Net flat +0 Increased1 Reduced1 Net reduced -$26.5M Increased$2.0M Reduced$28.5M
INGR Ingredion Incorporated Consumer Staples 2 $204.0M Net flat +0 Increased1 Reduced1 Net reduced -$1.9M Increased$18.7M Reduced$20.6M
FIVE FIVE BELOW INC Consumer Discretionary 2 $185.0M Net reduced -2 Increased0 Reduced2 Net reduced -$24.2M Increased$1.9M Reduced$26.1M
ARW Arrow Electronics, Inc. Uncategorized sector 2 $183.8M Net flat +0 Increased1 Reduced1 Net reduced -$6.4M Increased$10.1M Reduced$16.5M
TFX TELEFLEX INCORPORATED Health Care 2 $182.7M Net increased +2 Increased2 Reduced0 Net increased +$373.3M Increased$373.3M Reduced$0
OLN Olin Corporation Uncategorized sector 2 $182.0M Net increased +2 Increased2 Reduced0 Net increased +$33.1M Increased$36.2M Reduced$3.0M
CAI CARIS LIFE SCIENCES INC Health Care 2 $175.6M Net flat +0 Increased1 Reduced1 Net increased +$24.1M Increased$33.9M Reduced$9.7M
REGN REGENERON PHARMACEUTICALS Health Care 2 $165.0M Net reduced -1 Increased1 Reduced2 Net reduced -$35.0M Increased$132.8M Reduced$167.8M
TRIP TRIPADVISOR INC Technology 2 $163.9M Net increased +2 Increased2 Reduced0 Net increased +$53.2M Increased$56.4M Reduced$3.2M
HR HEALTHCARE RLTY TR Real Estate 2 $162.8M Net flat +0 Increased1 Reduced1 Net reduced -$181.0M Increased$27.1M Reduced$208.2M
IBP INSTALLED BLDG PRODS INC Consumer Discretionary 2 $159.6M Net reduced -3 Increased0 Reduced3 Net reduced -$270.3M Increased$1.2M Reduced$271.5M
AXTA AXALTA COATING SYS LTD Uncategorized sector 2 $157.6M Net flat +0 Increased1 Reduced1 Net increased +$53.4M Increased$98.5M Reduced$45.2M
BFAM BRIGHT HORIZONS FAM SOL IN D Consumer Discretionary 2 $151.5M Net flat +0 Increased1 Reduced1 Net increased +$46.4M Increased$83.7M Reduced$37.4M
KEYS KEYSIGHT TECHNOLOGIES INC Industrials 2 $149.0M Net reduced -3 Increased0 Reduced3 Net reduced -$26.4M Increased$84,002 Reduced$26.4M
WLTH WEALTHFRONT CORP Uncategorized sector 2 $146.3M Net increased +2 Increased2 Reduced0 Net increased +$214.9M Increased$236.6M Reduced$21.7M
NAMS Newamsterdam Pharma Company Health Care 2 $134.7M Net flat +0 Increased1 Reduced1 Net reduced -$2.5M Increased$71.3M Reduced$73.7M
TTAN SERVICETITAN INC Technology 2 $134.2M Net reduced -1 Increased1 Reduced2 Net reduced -$14.6M Increased$18.2M Reduced$32.7M
SDA SEALED AIR CORPORATION Consumer Discretionary 2 $133.7M Net reduced -2 Increased1 Reduced3 Net reduced -$67.0M Increased$115.4M Reduced$182.3M
MOH MOLINA HEALTHCARE INC Health Care 2 $130.5M Net reduced -2 Increased1 Reduced3 Net reduced -$213.1M Increased$327.9M Reduced$541.0M
FUN Six Flags Entertainment Corp Uncategorized sector 2 $128.7M Net increased +2 Increased2 Reduced0 Net increased +$40.2M Increased$40.2M Reduced$0
SEG Seaport Entmt Group Consumer Discretionary 2 $127.1M Net increased +1 Increased1 Reduced0 Net increased +$20.0M Increased$20.0M Reduced$0
CLF CLEVELAND-CLIFFS INC Basic Materials 2 $125.8M Net increased +1 Increased1 Reduced0 Net increased +$26.1M Increased$37.9M Reduced$11.8M
SGOV ISHARES TR ETF 2 $125.7M Net increased +2 Increased2 Reduced0 Net increased +$49.8M Increased$105.2M Reduced$55.4M
XP XP INC Finance 2 $111.3M Net increased +2 Increased2 Reduced0 Net increased +$83.9M Increased$87.4M Reduced$3.5M
NSC NORFOLK SOUTHN CORP Industrials 2 $109.8M Net increased +1 Increased2 Reduced1 Net reduced -$22.4M Increased$509.2M Reduced$531.5M
CZR CAESARS ENTERTAINMENT INC NE Consumer Discretionary 2 $107.9M Net reduced -1 Increased1 Reduced2 Net reduced -$53.0M Increased$43.4M Reduced$96.4M
LBTYA LIBERTY GLOBAL LTD Communication Services 2 $103.5M Net flat +0 Increased1 Reduced1 Net reduced -$176.7M Increased$3.9M Reduced$180.6M
EW EDWARDS LIFESCIENCES CORP Health Care 2 $101.6M Net reduced -1 Increased1 Reduced2 Net increased +$66.6M Increased$327.1M Reduced$260.5M
WAL WESTERN ALLIANCE BANCORP Finance 2 $100.0M Net reduced -3 Increased0 Reduced3 Net reduced -$30.8M Increased$35.8M Reduced$66.6M
DLTR DOLLAR TREE INC Consumer Discretionary 2 $99.7M Net increased +1 Increased2 Reduced1 Net reduced -$74.2M Increased$24.8M Reduced$99.0M
GTM ZOOMINFO TECHNOLOGIES INC Uncategorized sector 2 $99.1M Net reduced -2 Increased0 Reduced2 Net reduced -$157.1M Increased$41.6M Reduced$198.7M
RSP Invesco S&P 500 Equal Weight ETF ETF 2 $97.9M Net increased +2 Increased2 Reduced0 Net increased +$68.4M Increased$450.8M Reduced$382.4M
AM Antero Midstream Utilities 2 $91.4M Net flat +0 Increased1 Reduced1 Net increased +$16.7M Increased$17.8M Reduced$1.1M
BEKE KE HLDGS INC Finance 2 $91.1M Net reduced -5 Increased0 Reduced5 Net reduced -$191.9M Increased$0 Reduced$191.9M
FTRE FORTREA HLDGS INC Uncategorized sector 2 $87.0M Net increased +1 Increased2 Reduced1 Net reduced -$5.4M Increased$6.9M Reduced$12.3M
GSHD GOOSEHEAD INS INC Finance 2 $85.6M Net increased +2 Increased2 Reduced0 Net increased +$69.1M Increased$69.1M Reduced$0
FLG Flagstar Financial, Inc. Finance 2 $76.4M Net flat +0 Increased1 Reduced1 Net reduced -$2.7M Increased$138,048 Reduced$2.8M
GLIBK GCI LIBERTY INC Telecommunications 2 $68.0M Net increased +2 Increased2 Reduced0 Net increased +$68.1M Increased$73.0M Reduced$4.9M
HTHT H WORLD GROUP LTD Consumer Discretionary 2 $65.1M Net flat +0 Increased1 Reduced1 Net increased +$15.0M Increased$41.0M Reduced$25.9M
TFC Truist Financial Corp Finance 2 $59.3M Net flat +0 Increased1 Reduced1 Net increased +$22.5M Increased$94.8M Reduced$72.3M
AERO GRUPO AEROMEXICO SAB DE CV Industrials 2 $55.7M Net increased +2 Increased2 Reduced0 Net increased +$192.6M Increased$192.6M Reduced$0
BLMN BLOOMIN BRANDS INC Consumer Discretionary 2 $54.1M Net increased +1 Increased1 Reduced0 Net increased +$11.0M Increased$11.0M Reduced$0
AKAM Akamai Technologies Inc Uncategorized sector 2 $45.0M Net increased +2 Increased2 Reduced0 Net increased +$45.0M Increased$45.0M Reduced$0
HP HELMERICH & PAYNE Energy 2 $44.0M Net increased +2 Increased2 Reduced0 Net increased +$5.1M Increased$5.1M Reduced$0
LION LIONSGATE STUDIOS CORP Uncategorized sector 2 $42.2M Net increased +2 Increased2 Reduced0 Net increased +$29.8M Increased$72.9M Reduced$43.2M
PFE Pfizer Health Care 2 $41.4M Net reduced -2 Increased1 Reduced3 Net reduced -$205.1M Increased$23.4M Reduced$228.5M
YPF YPF SA Energy 2 $41.1M Net increased +2 Increased2 Reduced0 Net increased +$151.6M Increased$180.3M Reduced$28.7M
URI UNITED RENTALS INC Uncategorized sector 2 $41.0M Net reduced -2 Increased0 Reduced2 Net reduced -$392.1M Increased$822,926 Reduced$392.9M
BULL WEBULL CORP Finance 2 $39.5M Net reduced -3 Increased0 Reduced3 Net reduced -$677.8M Increased$1.1M Reduced$678.9M
ITRN ITURAN LOCATION AND CONTROL Technology 2 $34.2M Net flat +0 Increased1 Reduced1 Net increased +$1.1M Increased$7.7M Reduced$6.6M
ROKU ROKU INC Telecommunications 2 $33.2M Net reduced -1 Increased0 Reduced1 Net reduced -$32.6M Increased$15.8M Reduced$48.4M
PSKY PARAMOUNT SKYDANCE CORP Uncategorized sector 2 $28.9M Net increased +2 Increased2 Reduced0 Net increased +$60.8M Increased$69.2M Reduced$8.5M
CTNM Contineum Therapeutics, Inc. Health Care 2 $27.3M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
AMT AMERICAN TOWER CORP Real Estate 2 $24.2M Net reduced -5 Increased1 Reduced6 Net reduced -$977.7M Increased$6.1M Reduced$983.9M
BFH BREAD FINANCIAL HOLDINGS, INC. Consumer Discretionary 2 $16.8M Net flat +0 Increased1 Reduced1 Net reduced -$6.6M Increased$1.1M Reduced$7.7M
UPS UNITED PARCEL SERVICE Industrials 2 $13.2M Net increased +3 Increased3 Reduced0 Net increased +$14.1M Increased$15.1M Reduced$1.0M
OSCR OSCAR HEALTH INC Uncategorized sector 2 $9.9M Net reduced -2 Increased0 Reduced2 Net reduced -$36.1M Increased$7.7M Reduced$43.9M
NUVB NUVATION BIO INC Health Care 2 $5.5M Net flat +0 Increased1 Reduced1 Net reduced -$3.3M Increased$19.5M Reduced$22.8M
DVA DAVITA INC Health Care 1 $4.6B Net reduced -1 Increased0 Reduced1 Net reduced -$474.8M Increased$0 Reduced$474.8M
IEP Icahn Enterprises LP Industrials 1 $4.1B Net increased +1 Increased1 Reduced0 Net increased +$433.4M Increased$433.4M Reduced$0
ENB ENBRIDGE INC Energy 1 $4.1B Net increased +1 Increased1 Reduced0 Net increased +$48.2M Increased$398.2M Reduced$350.0M
KDP KEURIG DR PEPPER INC Consumer Staples 1 $2.5B Net increased +2 Increased2 Reduced0 Net increased +$1.2B Increased$1.3B Reduced$77.4M
CVI CVR ENERGY INC Energy 1 $2.4B Net increased +1 Increased1 Reduced0 Net increased +$26.4M Increased$26.4M Reduced$0
TRGP TARGA RES CORP Utilities 1 $2.2B Net increased +1 Increased1 Reduced0 Net increased +$1.5B Increased$1.7B Reduced$185.7M
WPM WHEATON PRECIOUS METALS CORP Basic Materials 1 $1.9B Net reduced -1 Increased0 Reduced1 Net reduced -$427.0M Increased$0 Reduced$427.0M
IMO IMPERIAL OIL LTD Energy 1 $1.8B Net reduced -1 Increased0 Reduced1 Net reduced -$567.4M Increased$0 Reduced$567.4M
FER FERROVIAL SE Industrials 1 $1.3B Net increased +1 Increased1 Reduced0 Net increased +$82.5M Increased$82.5M Reduced$0
CTRA Coterra Energy, Inc. Energy 1 $1.3B Net flat +0 Increased1 Reduced1 Net increased +$703.6M Increased$743.5M Reduced$39.9M
FTV FORTIVE CORP Industrials 1 $1.2B Net reduced -1 Increased1 Reduced2 Net increased +$280.4M Increased$403.7M Reduced$123.3M
HHH HOWARD HUGHES HOLDINGS INC Real Estate 1 $1.2B Net increased +1 Increased1 Reduced0 Net increased +$7.0M Increased$7.0M Reduced$0
RKLB ROCKET LAB USA INC Industrials 1 $1.2B Net increased +1 Increased1 Reduced0 Net increased +$807.0M Increased$807.0M Reduced$0
ZBH ZIMMER BIOMET HOLDINGS INC Health Care 1 $1.2B Net flat +0 Increased1 Reduced1 Net increased +$814.2M Increased$852.8M Reduced$38.6M
WY WEYERHAEUSER CO MTN BE Real Estate 1 $1.1B Net increased +1 Increased1 Reduced0 Net increased +$768.0M Increased$768.2M Reduced$243,310
MDGL Madrigal Pharmaceuticals, Inc. Uncategorized sector 1 $1.1B Net flat +0 Increased1 Reduced1 Net increased +$52.7M Increased$145.9M Reduced$93.2M
EXC Exelon Corporation Utilities 1 $1.1B Net reduced -1 Increased1 Reduced2 Net reduced -$231.7M Increased$28.3M Reduced$260.0M
ACAD ACADIA Pharmaceuticals Inc. Uncategorized sector 1 $954.9M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
H Hyatt Hotels Corp Cl A Consumer Discretionary 1 $911.9M Net flat +0 Increased1 Reduced1 Net increased +$13.8M Increased$56.7M Reduced$42.9M
CELC Celcuity Inc. Uncategorized sector 1 $903.5M Net increased +1 Increased1 Reduced0 Net increased +$121.8M Increased$121.8M Reduced$0
DPZ DOMINOS PIZZA INC Consumer Discretionary 1 $895.3M Net flat +0 Increased1 Reduced1 Net reduced -$197.4M Increased$1.2B Reduced$1.4B
FIGS FIGS INC Consumer Discretionary 1 $885.6M Net reduced -1 Increased0 Reduced1 Net increased +$58,643 Increased$284,011 Reduced$225,369
BBIO BRIDGEBIO PHARMA INC Health Care 1 $879.4M Net reduced -1 Increased0 Reduced1 Net reduced -$388.7M Increased$0 Reduced$388.7M
CHH CHOICE HOTELS INTL INC Consumer Discretionary 1 $796.0M Net flat +0 Increased1 Reduced1 Net increased +$170.9M Increased$264.0M Reduced$93.1M
KOD Kodiak Sciences Inc. Uncategorized sector 1 $759.3M Net increased +1 Increased1 Reduced0 Net increased +$72.9M Increased$72.9M Reduced$0
LII LENNOX INTL INC Industrials 1 $729.8M Net increased +1 Increased1 Reduced0 Net increased +$743.1M Increased$743.1M Reduced$0
KYMR Kymera Therapeutics, Inc. Uncategorized sector 1 $721.1M Net increased +1 Increased1 Reduced0 Net increased +$156.1M Increased$156.1M Reduced$0
SMMT Summit Therapeutics Inc. Uncategorized sector 1 $690.0M Net increased +1 Increased1 Reduced0 Net increased +$46.7M Increased$46.7M Reduced$0
CHD CHURCH & DWIGHT CO INC Consumer Discretionary 1 $619.8M Net reduced -1 Increased0 Reduced1 Net reduced -$15.9M Increased$0 Reduced$15.9M
GSPY TIDAL ETF TR ETF 1 $600.7M Net increased +1 Increased1 Reduced0 Net increased +$40.3M Increased$40.3M Reduced$0
XPO XPO INC Uncategorized sector 1 $571.2M Net reduced -3 Increased0 Reduced3 Net reduced -$112.9M Increased$95.2M Reduced$208.1M
PRAX Praxis Precision Medicines, Inc. Uncategorized sector 1 $564.9M Net increased +1 Increased1 Reduced0 Net increased +$330.7M Increased$330.7M Reduced$0
TECK Teck Resources Ltd., Class B Industrials 1 $547.8M Net reduced -1 Increased0 Reduced1 Net reduced -$21.5M Increased$47.7M Reduced$69.2M
UAN CVR Partners, LP Industrials 1 $527.5M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
FTNT FORTINET INC Technology 1 $503.1M Net reduced -3 Increased0 Reduced3 Net reduced -$484.3M Increased$145,458 Reduced$484.4M
RYTM Rhythm Pharmaceuticals, Inc. Uncategorized sector 1 $487.4M Net reduced -1 Increased0 Reduced1 Net reduced -$102.8M Increased$0 Reduced$102.8M
FLEX Flex Ltd Uncategorized sector 1 $455.7M Net reduced -1 Increased0 Reduced1 Net reduced -$60.0M Increased$10.3M Reduced$70.4M
PCG PG&E CORP Utilities 1 $431.8M Net reduced -1 Increased0 Reduced1 Net reduced -$807.0M Increased$24.9M Reduced$831.9M
CTRI Centuri Holdings, Inc. Utilities 1 $418.8M Net flat +0 Increased1 Reduced1 Net increased +$173.2M Increased$182.2M Reduced$9.0M
TTWO TAKE-TWO INTERACTIVE SOFTWAR Consumer Discretionary 1 $395.0M Net reduced -1 Increased0 Reduced1 Net reduced -$983.0M Increased$0 Reduced$983.0M
IJH ISHARES TR Uncategorized sector 1 $393.7M Net increased +1 Increased1 Reduced0 Net increased +$39.2M Increased$39.2M Reduced$0
SWX SOUTHWEST GAS HLDGS INC Utilities 1 $375.2M Net reduced -2 Increased0 Reduced2 Net reduced -$651.3M Increased$0 Reduced$651.3M
MSGE MADISON SQUARE GARDEN ENTMT Uncategorized sector 1 $359.7M Net reduced -1 Increased0 Reduced1 Net reduced -$86.9M Increased$0 Reduced$86.9M
ALKS Alkermes plc Uncategorized sector 1 $354.0M Net increased +1 Increased1 Reduced0 Net increased +$104.2M Increased$104.2M Reduced$0
MTCH MATCH GROUP INC NEW Technology 1 $350.0M Net reduced -2 Increased0 Reduced2 Net reduced -$177.5M Increased$22.7M Reduced$200.2M
GLBE GLOBAL E ONLINE LTD Uncategorized sector 1 $342.9M Net increased +1 Increased1 Reduced0 Net increased +$37.0M Increased$65.5M Reduced$28.5M
TOST TOAST INC Technology 1 $341.9M Net reduced -1 Increased1 Reduced2 Net increased +$49,555 Increased$443.6M Reduced$443.5M
BIRK BIRKENSTOCK HOLDING PLC Consumer Discretionary 1 $335.6M Net increased +1 Increased1 Reduced0 Net increased +$201.0M Increased$241.1M Reduced$40.1M
GS GOLDMAN SACHS GROUP INC Finance 1 $304.0M Net reduced -3 Increased0 Reduced3 Net reduced -$69.0M Increased$24.2M Reduced$93.2M
DTE DTE ENERGY CO Utilities 1 $298.1M Net increased +1 Increased2 Reduced1 Net reduced -$562.0M Increased$192.4M Reduced$754.4M
AMP Ameriprise Financial, Inc. Finance 1 $297.0M Net reduced -2 Increased0 Reduced2 Net reduced -$40.9M Increased$36.4M Reduced$77.3M
EWBC EAST WEST BANCORP INC Finance 1 $296.4M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
MSA MSA Safety Health Care 1 $291.2M Net increased +1 Increased1 Reduced0 Net increased +$141.5M Increased$147.2M Reduced$5.7M
SPG SIMON PPTY GROUP INC NEW Real Estate 1 $291.0M Net reduced -2 Increased0 Reduced2 Net reduced -$103.5M Increased$2.4M Reduced$106.0M
SLM SLM CORP Finance 1 $290.8M Net increased +1 Increased1 Reduced0 Net increased +$78.8M Increased$78.8M Reduced$0
SPHR SPHERE ENTERTAINMENT CO Uncategorized sector 1 $289.1M Net reduced -1 Increased0 Reduced1 Net reduced -$288.9M Increased$0 Reduced$288.9M
FROG JFROG LTD Technology 1 $282.5M Net flat +0 Increased1 Reduced1 Net increased +$205.1M Increased$259.7M Reduced$54.5M
BILL BILL HOLDINGS INC Uncategorized sector 1 $269.1M Net increased +1 Increased1 Reduced0 Net increased +$372.1M Increased$372.1M Reduced$0
MTSI MACOM TECH SOLUTIONS HLDGS I Uncategorized sector 1 $260.9M Net increased +1 Increased1 Reduced0 Net increased +$221.1M Increased$221.1M Reduced$0
LW LAMB WESTON HLDGS INC Uncategorized sector 1 $258.4M Net increased +1 Increased1 Reduced0 Net increased +$258.4M Increased$258.4M Reduced$0
IWM ISHARES TR ETF 1 $254.8M Net reduced -2 Increased0 Reduced2 Net reduced -$383.2M Increased$254.7M Reduced$637.9M
UAA UNDER ARMOUR INC Consumer Discretionary 1 $253.7M Net increased +1 Increased1 Reduced0 Net increased +$183.3M Increased$183.3M Reduced$0
PBH PRESTIGE CONSMR HEALTHCARE I Uncategorized sector 1 $253.3M Net increased +1 Increased1 Reduced0 Net increased +$128.4M Increased$128.4M Reduced$0
PRVA PRIVIA HEALTH GROUP INC Uncategorized sector 1 $248.6M Net increased +1 Increased1 Reduced0 Net increased +$14.5M Increased$14.5M Reduced$0
LAZ LAZARD INC Uncategorized sector 1 $247.5M Net increased +1 Increased1 Reduced0 Net increased +$586,043 Increased$25.0M Reduced$24.4M
AMGN AMGEN INC Uncategorized sector 1 $245.6M Net reduced -1 Increased0 Reduced1 Net reduced -$68.0M Increased$0 Reduced$68.0M
FAF FIRST AMERN FINL CORP Uncategorized sector 1 $231.5M Net increased +1 Increased1 Reduced0 Net increased +$21.2M Increased$26.0M Reduced$4.8M
GIL Gildan Activewear Inc Uncategorized sector 1 $230.4M Net increased +1 Increased1 Reduced0 Net increased +$230.4M Increased$230.4M Reduced$0
SO SOUTHERN CO Uncategorized sector 1 $229.3M Net reduced -1 Increased0 Reduced1 Net reduced -$163.2M Increased$189.2M Reduced$352.4M
CVSA COVISTA INC Uncategorized sector 1 $222.6M Net increased +1 Increased1 Reduced0 Net increased +$56.0M Increased$66.2M Reduced$10.3M
RYAN RYAN SPECIALTY HOLDINGS INC Uncategorized sector 1 $222.5M Net flat +0 Increased1 Reduced1 Net increased +$228.5M Increased$337.6M Reduced$109.1M
RYN RAYONIER INC Real Estate 1 $221.9M Net increased +2 Increased2 Reduced0 Net increased +$262.7M Increased$267.9M Reduced$5.2M
BOKF BOK FINL CORP Uncategorized sector 1 $211.3M Net reduced -1 Increased0 Reduced1 Net reduced -$14.9M Increased$0 Reduced$14.9M
RS Reliance, Inc. Uncategorized sector 1 $210.7M Net reduced -1 Increased0 Reduced1 Net reduced -$17.0M Increased$455,880 Reduced$17.5M
OTIS OTIS WORLDWIDE CORP Technology 1 $210.6M Net reduced -1 Increased0 Reduced1 Net reduced -$280.7M Increased$0 Reduced$280.7M
MIDD MIDDLEBY CORP Uncategorized sector 1 $208.8M Net flat +0 Increased1 Reduced1 Net increased +$84.6M Increased$95.1M Reduced$10.5M
WGS GENEDX HOLDINGS CORP Uncategorized sector 1 $207.3M Net increased +1 Increased1 Reduced0 Net increased +$10.9M Increased$10.9M Reduced$0
ALGN ALIGN TECHNOLOGY INC Health Care 1 $206.8M Net flat +0 Increased1 Reduced1 Net increased +$182.6M Increased$190.9M Reduced$8.3M
EA ELECTRONIC ARTS INC Consumer Discretionary 1 $196.9M Net increased +1 Increased1 Reduced0 Net increased +$196.8M Increased$196.8M Reduced$0
RIOT RIOT PLATFORMS INC Finance 1 $192.1M Net increased +1 Increased1 Reduced0 Net increased +$163.2M Increased$320.6M Reduced$157.5M
CTSH Cognizant Technology Solutions Corporation Class A Technology 1 $184.5M Net reduced -2 Increased0 Reduced2 Net reduced -$40.3M Increased$677.5M Reduced$717.8M
TGT TARGET CORP Consumer Discretionary 1 $180.9M Net reduced -2 Increased0 Reduced2 Net reduced -$59.2M Increased$0 Reduced$59.2M
VNOM VIPER ENERGY INC Energy 1 $178.2M Net increased +1 Increased1 Reduced0 Net increased +$143.9M Increased$240.2M Reduced$96.3M
HCC WARRIOR MET COAL INC Energy 1 $168.7M Net increased +1 Increased1 Reduced0 Net increased +$1.0M Increased$1.0M Reduced$0
VTV VANGUARD INDEX FDS ETF 1 $168.4M Net increased +1 Increased1 Reduced0 Net increased +$139.8M Increased$139.8M Reduced$0
VSTS VESTIS CORPORATION Uncategorized sector 1 $155.7M Net increased +1 Increased1 Reduced0 Net increased +$6.7M Increased$6.7M Reduced$0
CNX CNX RES CORP Energy 1 $154.7M Net reduced -1 Increased0 Reduced1 Net reduced -$17.8M Increased$9.3M Reduced$27.1M
WK WORKIVA INC Uncategorized sector 1 $150.3M Net reduced -1 Increased0 Reduced1 Net reduced -$11.1M Increased$92.7M Reduced$103.8M
VVV VALVOLINE INC Uncategorized sector 1 $149.0M Net increased +1 Increased1 Reduced0 Net increased +$129.6M Increased$129.6M Reduced$0
JBLU JetBlue Airways Corp. Consumer Discretionary 1 $148.6M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
KW KENNEDY-WILSON HOLDINGS INC Finance 1 $144.3M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
CORZ CORE SCIENTIFIC INC Finance 1 $139.9M Net increased +1 Increased1 Reduced0 Net increased +$158.8M Increased$212.7M Reduced$53.8M
FG F&G ANNUITIES & LIFE INC Uncategorized sector 1 $135.5M Net increased +1 Increased1 Reduced0 Net increased +$4.0M Increased$4.9M Reduced$858,085
RIG TRANSOCEAN LTD Energy 1 $135.2M Net increased +1 Increased1 Reduced0 Net increased +$59.5M Increased$87.0M Reduced$27.5M
FLR FLUOR CORP Uncategorized sector 1 $134.6M Net increased +1 Increased1 Reduced0 Net increased +$114.4M Increased$222.8M Reduced$108.4M
STKL SUNOPTA INC Consumer Staples 1 $134.2M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
UA UNDER ARMOUR INC Consumer Discretionary 1 $126.9M Net increased +1 Increased1 Reduced0 Net increased +$117.8M Increased$117.8M Reduced$0
ACI ALBERTSONS COS INC Consumer Staples 1 $126.4M Net increased +2 Increased2 Reduced0 Net increased +$74.9M Increased$79.1M Reduced$4.1M
ARWR Arrowhead Pharmaceuticals, Inc. Uncategorized sector 1 $124.9M Net increased +1 Increased1 Reduced0 Net increased +$46.6M Increased$58.8M Reduced$12.1M
IEFA ISHARES TR ETF 1 $119.0M Net increased +1 Increased1 Reduced0 Net increased +$40.9M Increased$40.9M Reduced$0
AMR ALPHA METALLURGICAL RESOUR I Energy 1 $119.0M Net increased +1 Increased1 Reduced0 Net increased +$21.5M Increased$21.5M Reduced$0
KOF COCA-COLA FEMSA SAB DE CV Uncategorized sector 1 $114.1M Net reduced -1 Increased0 Reduced1 Net reduced -$4.4M Increased$0 Reduced$4.4M
BB BLACKBERRY LTD Technology 1 $113.3M Net reduced -1 Increased0 Reduced1 Net reduced -$26.7M Increased$0 Reduced$26.7M
DXC DXC TECHNOLOGY CO Uncategorized sector 1 $111.8M Net increased +1 Increased1 Reduced0 Net increased +$40.7M Increased$41.0M Reduced$320,986
STOK Stoke Therapeutics, Inc. Uncategorized sector 1 $108.6M Net reduced -1 Increased0 Reduced1 Net reduced -$30.5M Increased$0 Reduced$30.5M
LEGN LEGEND BIOTECH CORP Health Care 1 $108.3M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
IWV iShares Russell 3000 ETF ETF 1 $107.0M Net increased +1 Increased1 Reduced0 Net increased +$107.0M Increased$107.0M Reduced$0
SAIL SAILPOINT INC Uncategorized sector 1 $105.9M Net reduced -1 Increased0 Reduced1 Net reduced -$20.5M Increased$0 Reduced$20.5M
GVLU TIDAL ETF TR ETF 1 $105.7M Net increased +1 Increased1 Reduced0 Net increased +$17.8M Increased$17.8M Reduced$0
ABCL AbCellera Biologics Inc. Uncategorized sector 1 $105.7M Net increased +1 Increased1 Reduced0 Net increased +$9.6M Increased$9.6M Reduced$0
WHR WHIRLPOOL CORP Consumer Discretionary 1 $105.1M Net increased +1 Increased1 Reduced0 Net increased +$145.0M Increased$411.4M Reduced$266.4M
SW SMURFIT WESTROCK PLC Consumer Discretionary 1 $100.4M Net reduced -1 Increased0 Reduced1 Net reduced -$211.5M Increased$16.1M Reduced$227.5M
FTAI FTAI AVIATION LTD Industrials 1 $98.0M Net reduced -1 Increased0 Reduced1 Net reduced -$505.5M Increased$97.6M Reduced$603.1M
ABVX Abivax S.A. Uncategorized sector 1 $97.5M Net increased +1 Increased1 Reduced0 Net increased +$74.4M Increased$74.4M Reduced$0
GTLS CHART INDS INC Industrials 1 $97.2M Net reduced -1 Increased1 Reduced2 Net reduced -$84.6M Increased$96.6M Reduced$181.2M
ATAT ATOUR LIFESTYLE HLDGS LTD Consumer Discretionary 1 $95.4M Net increased +1 Increased1 Reduced0 Net increased +$89.2M Increased$89.2M Reduced$0
IRDM IRIDIUM COMMUNICATIONS INC Telecommunications 1 $93.0M Net flat +0 Increased1 Reduced1 Net reduced -$187.8M Increased$63.8M Reduced$251.6M
FTI TECHNIPFMC PLC Energy 1 $91.4M Net reduced -1 Increased1 Reduced2 Net increased +$6.8M Increased$38.8M Reduced$32.0M
TNDM TANDEM DIABETES CARE INC Uncategorized sector 1 $90.7M Net reduced -1 Increased0 Reduced1 Net reduced -$5.9M Increased$0 Reduced$5.9M
AVBP ARRIVENT BIOPHARMA INC Health Care 1 $90.6M Net reduced -1 Increased0 Reduced1 Net reduced -$10.2M Increased$0 Reduced$10.2M
NOK NOKIA CORP Technology 1 $90.1M Net reduced -1 Increased0 Reduced1 Net reduced -$48.9M Increased$0 Reduced$48.9M
GPGI GPGI INC Uncategorized sector 1 $86.0M Net increased +1 Increased1 Reduced0 Net increased +$86.0M Increased$86.0M Reduced$0
TAC TRANSALTA CORP Utilities 1 $84.1M Net increased +1 Increased1 Reduced0 Net increased +$4.5M Increased$4.5M Reduced$0
FOLD AMICUS THERAPEUTICS INC Healthcare 1 $83.2M Net increased +1 Increased1 Reduced0 Net increased +$82.1M Increased$82.1M Reduced$0
CBL CBL & ASSOCIATES PROPERTIES INC Real Estate 1 $82.8M Net reduced -1 Increased0 Reduced1 Net reduced -$28.4M Increased$0 Reduced$28.4M
IDA IDACORP INC Utilities 1 $82.5M Net increased +1 Increased1 Reduced0 Net increased +$21.7M Increased$22.9M Reduced$1.3M
MNRO MONRO INC Consumer Discretionary 1 $81.5M Net increased +1 Increased1 Reduced0 Net increased +$98.7M Increased$98.7M Reduced$0
HON HONEYWELL INTL INC Industrials 1 $80.9M Net increased +1 Increased1 Reduced0 Net increased +$79.8M Increased$85.9M Reduced$6.1M
SD SandRidge Energy, Inc. Energy 1 $80.7M Net increased +1 Increased1 Reduced0 Net increased +$1.8M Increased$1.8M Reduced$0
TPG TPG INC Uncategorized sector 1 $80.5M Net flat +0 Increased1 Reduced1 Net reduced -$23.4M Increased$10.7M Reduced$34.1M
BIDU BAIDU INC Communication Services 1 $77.1M Net increased +1 Increased1 Reduced0 Net increased +$6.5M Increased$284.6M Reduced$278.2M
HOLX HOLOGIC Healthcare 1 $76.6M Net flat +0 Increased1 Reduced1 Net increased +$50.9M Increased$94.0M Reduced$43.2M
KLAR KLARNA GROUP PLC Uncategorized sector 1 $76.0M Net increased +1 Increased1 Reduced0 Net increased +$231.9M Increased$303.6M Reduced$71.7M
HTO H2O AMERICA Utilities 1 $72.1M Net increased +1 Increased1 Reduced0 Net increased +$72.1M Increased$72.1M Reduced$0
HTZ HERTZ GLOBAL HLDGS INC Consumer Discretionary 1 $70.3M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
ITRI ITRON INC Industrials 1 $69.7M Net increased +1 Increased1 Reduced0 Net increased +$70.9M Increased$70.9M Reduced$0
ATS ATS CORP Industrials 1 $69.4M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
ROG ROGERS CORP Uncategorized sector 1 $62.7M Net reduced -1 Increased0 Reduced1 Net reduced -$32.2M Increased$62.5M Reduced$94.8M
HOOD ROBINHOOD MKTS INC Uncategorized sector 1 $62.3M Net flat +0 Increased1 Reduced1 Net reduced -$272.1M Increased$115.6M Reduced$387.7M
ALK ALASKA AIR GROUP INC Consumer Discretionary 1 $62.3M Net flat +0 Increased1 Reduced1 Net increased +$29.9M Increased$68.0M Reduced$38.1M
TME TENCENT MUSIC ENTMT GROUP Consumer Discretionary 1 $61.2M Net reduced -1 Increased1 Reduced2 Net reduced -$72.8M Increased$65.8M Reduced$138.6M
BFLY BUTTERFLY NETWORK INC Uncategorized sector 1 $57.9M Net increased +1 Increased1 Reduced0 Net increased +$16.6M Increased$16.6M Reduced$0
OZK BANK OZK LITTLE ROCK ARK Finance 1 $56.5M Net reduced -1 Increased0 Reduced1 Net reduced -$1.3M Increased$246,918 Reduced$1.5M
HRB BLOCK H & R INC Consumer Discretionary 1 $51.6M Net flat +0 Increased1 Reduced1 Net increased +$42.6M Increased$51.6M Reduced$9.1M
PVH PVH CORPORATION Industrials 1 $51.4M Net reduced -1 Increased0 Reduced1 Net reduced -$46.4M Increased$0 Reduced$46.4M
IEX IDEX CORP Uncategorized sector 1 $50.1M Net reduced -3 Increased0 Reduced3 Net reduced -$45.0M Increased$40,690 Reduced$45.0M
SHEN SHENANDOAH TELECOMMUNICATION Telecommunications 1 $45.3M Net increased +1 Increased1 Reduced0 Net increased +$7.8M Increased$7.8M Reduced$0
QFIN QIFU TECHNOLOGY INC Finance 1 $42.5M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
ALV AUTOLIV INC. Uncategorized sector 1 $40.3M Net reduced -1 Increased0 Reduced1 Net reduced -$6.0M Increased$0 Reduced$6.0M
GHC GRAHAM HLDGS CO Real Estate 1 $39.9M Net reduced -1 Increased0 Reduced1 Net reduced -$4.6M Increased$2.6M Reduced$7.1M
NBR NABORS INDUSTRIES LTD Energy 1 $38.2M Net reduced -1 Increased0 Reduced1 Net reduced -$9.5M Increased$32.1M Reduced$41.6M
CXM Sprinklr Inc Uncategorized sector 1 $34.5M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
ESRT EMPIRE ST RLTY TR INC Real Estate 1 $33.7M Net increased +1 Increased1 Reduced0 Net increased +$21.4M Increased$21.4M Reduced$0
OGN Organon & Co Uncategorized sector 1 $33.2M Net flat +0 Increased1 Reduced1 Net increased +$12.3M Increased$23.6M Reduced$11.3M
ACMR ACM RESH INC Technology 1 $30.8M Net reduced -1 Increased0 Reduced1 Net reduced -$16.0M Increased$19.4M Reduced$35.4M
MSI MOTOROLA SOLUTIONS INC Uncategorized sector 1 $29.5M Net increased +1 Increased1 Reduced0 Net increased +$4.9M Increased$6.3M Reduced$1.5M
CTKB CYTEK BIOSCIENCES INC Industrials 1 $29.1M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
TAL TAL EDUCATION GROUP Real Estate 1 $27.8M Net reduced -1 Increased0 Reduced1 Net reduced -$2.4M Increased$0 Reduced$2.4M
CRGY CRESCENT ENERGY COMPANY Energy 1 $27.0M Net increased +1 Increased1 Reduced0 Net increased +$27.0M Increased$27.0M Reduced$0
UNF UNIFIRST CORP Uncategorized sector 1 $25.6M Net increased +1 Increased1 Reduced0 Net increased +$19.6M Increased$19.7M Reduced$74,845
BNS BANK OF NOVA SCOTIA Finance 1 $24.8M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
GTN GRAY MEDIA INC Industrials 1 $23.3M Net increased +1 Increased1 Reduced0 Net increased +$7.7M Increased$8.1M Reduced$405,843
WEN WENDYS CO Consumer Discretionary 1 $22.8M Net flat +0 Increased1 Reduced1 Net reduced -$22.1M Increased$22.8M Reduced$44.9M
SRTA BLADE AIR MOBILITY INC Consumer Discretionary 1 $20.9M Net increased +1 Increased1 Reduced0 Net increased +$25.3M Increased$25.3M Reduced$0
TSCO TRACTOR SUPPLY CO Uncategorized sector 1 $20.7M Net reduced -1 Increased0 Reduced1 Net reduced -$777,123 Increased$974,979 Reduced$1.8M
LNC LINCOLN NATL CORP IND Finance 1 $20.3M Net increased +1 Increased1 Reduced0 Net increased +$10,009 Increased$2.3M Reduced$2.3M
SOPH SOPHIA GENETICS SA Health Care 1 $18.4M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
PTEN Patterson Uti Energy Uncategorized sector 1 $18.3M Net reduced -1 Increased0 Reduced1 Net reduced -$1.3M Increased$0 Reduced$1.3M
IDT IDT Corp Uncategorized sector 1 $18.3M Net reduced -1 Increased0 Reduced1 Net reduced -$1.3M Increased$0 Reduced$1.3M
QUAD QUAD / GRAPHICS INC Consumer Discretionary 1 $17.5M Net reduced -1 Increased0 Reduced1 Net reduced -$318,187 Increased$717,382 Reduced$1.0M
YSG YATSEN HLDG LTD Consumer Discretionary 1 $15.0M Net reduced -1 Increased0 Reduced1 Net reduced -$11.8M Increased$0 Reduced$11.8M
NBP I MAB Health Care 1 $14.7M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
TDAY GANNETT CO INC Consumer Discretionary 1 $13.9M Net reduced -1 Increased0 Reduced1 Net reduced -$6.9M Increased$490,870 Reduced$7.4M
CNDT CONDUENT INC Consumer Discretionary 1 $12.8M Net increased +1 Increased1 Reduced0 Net increased +$12.2M Increased$12.2M Reduced$0
JAZZ JAZZ PHARMACEUTICALS PLC Uncategorized sector 1 $11.4M Net increased +1 Increased1 Reduced0 Net increased +$11.4M Increased$11.4M Reduced$0
MAZE MAZE THERAPEUTICS INC Health Care 1 $10.9M Net reduced -1 Increased0 Reduced1 Net reduced -$3.8M Increased$0 Reduced$3.8M
FOSL FOSSIL GROUP INC Consumer Discretionary 1 $10.5M Net reduced -1 Increased0 Reduced1 Net reduced -$3.4M Increased$0 Reduced$3.4M
CTO CTO RLTY GROWTH INC NEW Real Estate 1 $10.3M Net increased +1 Increased1 Reduced0 Net increased +$2.8M Increased$2.8M Reduced$0
CHRD CHORD ENERGY CORPORATION Energy 1 $9.9M Net increased +1 Increased1 Reduced0 Net increased +$2.1M Increased$2.1M Reduced$0
JXN JACKSON FINANCIAL INC Finance 1 $8.5M Net reduced -1 Increased0 Reduced1 Net reduced -$4.1M Increased$0 Reduced$4.1M
DCH AMERICAN AXLE & MFG HLDGS IN Consumer Discretionary 1 $8.3M Net reduced -1 Increased0 Reduced1 Net reduced -$393,006 Increased$1.8M Reduced$2.2M
JELD JELD-WEN HLDG INC Basic Materials 1 $8.2M Net increased +1 Increased1 Reduced0 Net increased +$9.1M Increased$9.1M Reduced$0
API AGORA INC Technology 1 $7.4M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
EQNR EQUINOR ASA Uncategorized sector 1 $7.4M Net reduced -1 Increased0 Reduced1 Net reduced -$7.9M Increased$2.1M Reduced$10.0M
ROOT ROOT INC Uncategorized sector 1 $6.8M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
TRV TRAVELERS COMPANIES INC Uncategorized sector 1 $5.6M Net reduced -1 Increased0 Reduced1 Net reduced -$41,469 Increased$0 Reduced$41,469
SGMT Sagimet Biosciences Inc. Health Care 1 $3.8M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
TUYA TUYA INC Technology 1 $3.6M Net flat +0 Increased0 Reduced0 Net flat $0 Increased$0 Reduced$0
EXP EAGLE MATLS INC Industrials 1 $169,134 Net increased +1 Increased1 Reduced0 Net increased +$51.7M Increased$112.1M Reduced$60.5M
HLF HERBALIFE LTD Health Care 1 $136,305 Net increased +1 Increased1 Reduced0 Net increased +$19.3M Increased$19.3M Reduced$0
EWZ Ishares Inc ETF 1 $131,915 Net increased +1 Increased1 Reduced0 Net increased +$87.9M Increased$112.9M Reduced$25.0M
TBBB Bbb Foods Inc Consumer Staples 1 $109,972 Net increased +1 Increased1 Reduced0 Net increased +$87.3M Increased$87.3M Reduced$0
STM Stmicroelectronics N V Technology 1 $90,275 Net increased +1 Increased1 Reduced0 Net increased +$83.6M Increased$83.6M Reduced$0
COLD AMERICOLD REALTY TRUST INC Real Estate 1 $89,168 Net increased +1 Increased1 Reduced0 Net increased +$91.9M Increased$93.4M Reduced$1.5M
ARGT Global X Fds ETF 1 $36,152 Net increased +1 Increased1 Reduced0 Net increased +$17.3M Increased$36.2M Reduced$18.9M