Pinnacle Financial Partners, Inc.

Holdings as of Jun 30, 2026 · filed Aug 14, 2026

$14664688733
Portfolio value
1128
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Ishares Tr $789610340 5.38% +11240 +0.35%
2 Ishares Tr $694802375 4.74% +4210931 +304.12%
3 Coca Cola Co $584576274 3.99% -400623 -5.28%
4 Global Pmts Inc $503442404 3.43% -143842 -2.03%
5 State Str Spdr S&P 500 Etf T $419154393 2.86% -77612 -12.15%
6 Apple Inc $419002971 2.86% -1017 -0.07%
7 Pinnacle Finl Partners Inc $344659282 2.35% -80203 -2.29%
8 Ishares Tr $324658585 2.21% +11129 +1.04%
9 Vanguard Tax-Managed Fds $290849937 1.98% +124468 +3.15%
10 Nvidia Corporation $271699080 1.85% +78 +0.01%
11 Microsoft Corp $267960860 1.83% -1543 -0.21%
12 Ishares Tr $256080128 1.75% +15644 +2.57%
13 Vanguard Index Fds $240255277 1.64% +8378 +2.45%
14 Alphabet Inc $227635232 1.55% +3403 +0.54%
15 Jpmorgan Chase & Co $199787197 1.36% -6513 -1.06%
16 Eli Lilly & Co $185932160 1.27% +12999 +9.15%
17 Southern Co $184944257 1.26% +8447 +0.44%
18 Amazon Com Inc $178831937 1.22% +11193 +1.51%
19 Micron Technology Inc $155670873 1.06% -17902 -11.72%
20 Aflac Inc $148536431 1.01% +116311 +10.11%
21 Ishares Tr $137407388 0.94% -7987 -0.64%
22 Alphabet Inc $120355843 0.82% -10502 -2.99%
23 Vanguard Index Fds $116149325 0.79% +1127408 +510.21%
24 Johnson & Johnson $113647085 0.77% +4027 +0.91%
25 Broadcom Inc $109953639 0.75% +6955 +2.45%
26 Exxon Mobil Corp $108669982 0.74% +4373 +0.55%
27 Visa Inc $105281253 0.72% +1694 +0.56%
28 Invesco Exchange Traded Fd T $99230814 0.68% +91728 +24.48%
29 Spdr Gold Tr $92103362 0.63% +8780 +3.64%
30 Vanguard Index Fds $91038783 0.62% -34727 -12.37%
31 Home Depot Inc $89772123 0.61% +4837 +1.94%
32 Ishares Tr $87527653 0.60% +8492 +1.02%
33 Blackrock Etf Trust Ii $84968876 0.58% +89345 +5.82%
34 Ishares Tr $77951881 0.53% +37 +0.04%
35 Abbvie Inc $77832978 0.53% -2073 -0.67%
36 Ishares Tr $74557838 0.51% +90658 +14.81%
37 Costco Wholesale Corporation $73549443 0.50% +769 +0.99%
38 Invesco Exchange Traded Fd T $69337773 0.47% +17685 +1.40%
39 Chevron Corporation $66487633 0.45% +3136 +0.79%
40 American Express Co $65803241 0.45% +6650 +3.54%
41 Cisco Sys Inc $64647335 0.44% +4371 +0.80%
42 Ishares Tr $64005038 0.44% +53818 +9.08%
43 Caterpillar Inc $60940076 0.42% -531 -0.92%
44 Ishares Tr $60348458 0.41% +7943 +1.99%
45 Palo Alto Networks Inc $57080953 0.39% +5784 +3.58%
46 Invesco Qqq Tr $54470001 0.37% -607 -0.81%
47 Tjx Cos Inc New $53917367 0.37% +5914 +1.69%
48 Lockheed Martin Corp $53492972 0.36% +681 +0.65%
49 Walmart Inc $52979787 0.36% +2178 +0.47%
50 International Business Machs $52004802 0.35% +2835 +1.56%
51 Eaton Corp Plc $51722665 0.35% +1330 +1.11%
52 Berkshire Hathaway Inc Del $51175761 0.35% +3424 +3.46%
53 Ishares Tr $50370283 0.34% +73992 +12.77%
54 Ishares Tr $48032150 0.33% +7305 +2.43%
55 Ishares Tr $47885448 0.33% +8081 +1.41%
56 Union Pac Corp $47629242 0.32% +3001 +1.74%
57 Quanta Svcs Inc $46390927 0.32% -4322 -6.29%
58 Marvell Technology Inc $45419399 0.31% -13051 -7.88%
59 Procter & Gamble Co $45000401 0.31% -5389 -1.73%
60 J P Morgan Exchange Traded F $44476339 0.30% -138082 -14.92%
61 J P Morgan Exchange Traded F $43468635 0.30% +51489 +6.35%
62 Monolithic Pwr Sys Inc $41904877 0.29% -1307 -4.13%
63 Merck & Co Inc $41753696 0.28% +4610 +1.44%
64 Meta Platforms Inc $40640685 0.28% -2501 -3.35%
65 Harbor Etf Trust $40154861 0.27% +32015 +2.40%
66 Vanguard Index Fds $39424837 0.27% +365004 +293.60%
67 Mcdonalds Corp $39118936 0.27% +3081 +2.18%
68 Valero Energy Corp $39039213 0.27% -777 -0.52%
69 Amgen Inc $38985756 0.27% +965 +0.90%
70 Federated Hermes Etf Trust $38579323 0.26% +108102 +11.68%
71 Hca Healthcare Inc $38359760 0.26% +842 +0.86%
72 Ishares Tr $37784135 0.26% +13888 +3.68%
73 Applied Matls Inc $37039042 0.25% +3074 +6.38%
74 Unitedhealth Group Inc $36879135 0.25% -2278 -2.50%
75 Ishares Tr $36700677 0.25% -2993 -1.18%
76 American Centy Etf Tr $36619284 0.25% +20000 +6.89%
77 Philip Morris Intl Inc $36114974 0.25% -296 -0.15%
78 Select Sector Spdr Tr $35869814 0.24% -4138 -2.15%
79 Morgan Stanley $35444723 0.24% +14021 +9.01%
80 Bank Of Amer Corp $34249241 0.23% -597 -0.10%
81 Berkshire Hathaway Inc Del $33698250 0.23% -2 -4.26%
82 Vanguard Intl Equity Index F $33558458 0.23% +29192 +5.48%
83 Victory Portfolios Ii $33341824 0.23% +1385 +0.24%
84 Rtx Corporation $33236815 0.23% +3342 +1.94%
85 Vanguard Specialized Funds $32768695 0.22% -8081 -5.51%
86 State Str Spdr S&P Midcap 40 $32761859 0.22% -967 -2.03%
87 Advanced Micro Devices Inc $32721499 0.22% -1071 -1.87%
88 Corning Inc $32213696 0.22% +1426 +1.14%
89 Ishares Inc $32134369 0.22% +49240 +14.54%
90 Ishares Tr $31941272 0.22% +197951 +3576.35%
91 Ishares Tr $31715719 0.22% -3346 -2.26%
92 Oracle Corp $31553484 0.22% -5942 -2.69%
93 Automatic Data Processing In $31195035 0.21% -4688 -3.26%
94 Waste Mgmt Inc Del $30799965 0.21% +356 +0.26%
95 Duke Energy Corp New $30351170 0.21% -5609 -2.29%
96 Blackrock Etf Trust Ii $29954699 0.20% +28475 +5.02%
97 Linde Plc $29353403 0.20% +1815 +3.32%
98 Vanguard Whitehall Fds $29243006 0.20% +3916 +2.16%
99 Asml Hldg Nv $28684781 0.20% -515 -3.45%
100 Verizon Communications Inc $28241425 0.19% +17951 +2.77%
101 Vanguard World Fd $27907946 0.19% -53 -0.02%
102 Citigroup Inc $27660535 0.19% +10125 +5.40%
103 Pacer Fds Tr $27421672 0.19% -47909 -9.80%
104 Chubb Limited $26777715 0.18% +14970 +23.53%
105 Legg Mason Etf Invt $26544380 0.18% +69959 +11.98%
106 Goldman Sachs Group Inc $26339250 0.18% +602 +2.37%
107 Vanguard Star Fds $26124368 0.18% -88710 -22.50%
108 Altria Group Inc $25895504 0.18% +13672 +3.95%
109 Truist Finl Corp $25758596 0.18% -15911 -2.99%
110 S&P Global Inc $25339895 0.17% +452 +0.73%
111 Ishares Tr $25087207 0.17% -371 -0.24%
112 Sherwin Williams Co $24875755 0.17% +1829 +2.60%
113 Mastercard Incorporated $24575772 0.17% -3166 -6.21%
114 Blackrock Inc $24358019 0.17% +437 +1.76%
115 Genuine Parts Co $23591251 0.16% -17336 -7.98%
116 Spdr Series Trust $23381758 0.16% +110428 +16.51%
117 Ishares Tr $22913683 0.16% +1463 +1.15%
118 Abbott Laboratories $22656147 0.15% -2054 -0.82%
119 Ishares Tr $22297991 0.15% +21706 +10.83%
120 Cme Group Inc $22259066 0.15% -11870 -10.54%
121 Snap On Inc $20681756 0.14% -2345 -4.36%
122 Ishares Tr $20432376 0.14% -128 -0.14%
123 John Hancock Exchange Traded $20425133 0.14% -4320 -1.02%
124 American Elec Pwr Co Inc $20256996 0.14% +4779 +3.34%
125 Kla Corp $20032891 0.14% +58851 +779.90%
126 Taiwan Semiconductor Manufac $19998824 0.14% -2455 -5.54%
127 Shell Plc $19895695 0.14% -2394 -0.92%
128 At&T Inc $19769471 0.13% +29389 +3.17%
129 Nextera Energy Inc $19640907 0.13% +892 +0.40%
130 Vanguard Index Fds $19499710 0.13% +432 +0.68%
131 Vanguard Intl Equity Index F $19256663 0.13% +24634 +12.00%
132 Canadian Imperial Bank Of Co $19018067 0.13% -2996 -1.78%
133 Thermo Fisher Scientific Inc $19004991 0.13% -14708 -27.95%
134 Bank Montreal Medium $18890320 0.13% +1308 +1.24%
135 Deere & Co $18582619 0.13% -368 -1.24%
136 J P Morgan Exchange Traded F $18392106 0.13% +9391 +2.65%
137 Intel Corp $18383721 0.13% +20974 +18.95%
138 Travelers Companies Inc $18190553 0.12% -1187 -2.11%
139 John Hancock Exchange Traded $18056441 0.12% -270 -0.11%
140 Cummins Inc $17882769 0.12% +159 +0.64%
141 Generac Hldgs Inc $17852914 0.12% +3650 +6.37%
142 Vanguard Scottsdale Fds $17815963 0.12% +41015 +23.50%
143 Bristol-Myers Squibb Co $17208411 0.12% +2424 +0.82%
144 Amphenol Corp $16837791 0.11% +5694 +6.34%
145 Pfizer Inc $16806315 0.11% +107409 +18.19%
146 Analog Devices Inc $16699509 0.11% +889 +2.16%
147 Bank Of Ny Mellon Corp $16685035 0.11% +3968 +3.56%
148 Schwab Charles Corp $16661438 0.11% -4831 -2.61%
149 Enbridge Inc $16581104 0.11% -1664 -0.54%
150 Emerson Elec Co $16422748 0.11% +2327 +2.07%
151 Texas Instrs Inc $16421332 0.11% +2547 +4.85%
152 Ishares Tr $16224642 0.11% +59137 +33.22%
153 Vanguard Bd Index Fds $16194951 0.11% +5512 +2.56%
154 Transdigm Group Inc $15856604 0.11% +42 +0.35%
155 Ishares Silver Tr $15855673 0.11% +2178 +0.74%
156 Pepsico Inc $15730119 0.11% -4710 -3.90%
157 Ishares Tr $15689128 0.11% +17372 +68.10%
158 Ishares Tr $15569287 0.11% +2466 +2.01%
159 American Centy Etf Tr $15564954 0.11% -4893 -2.14%
160 Servicenow Inc $15563246 0.11% -3319 -2.07%
161 Ishares Tr $15536971 0.11% +214 +0.55%
162 Ishares Tr $15500181 0.11% +8097 +7.74%
163 Salesforce Inc $15393218 0.10% -2333 -2.32%
164 Intercontinental Exchange In $15196735 0.10% +6760 +5.79%
165 Tesla Inc $15159266 0.10% +360 +1.01%
166 Danaher Corp Del $15116557 0.10% -9612 -10.80%
167 Spdr Series Trust $14887183 0.10% +71050 +16.07%
168 Darden Restaurants Inc $14863055 0.10% -148 -0.20%
169 Vanguard World Fd $14744192 0.10% +107600 +682.70%
170 Ishares Tr $14654471 0.10% +2899 +2.78%
171 Ge Aerospace $14486072 0.10% +457 +1.19%
172 Netflix Inc. $14363529 0.10% -5884 -2.84%
173 Vanguard Bd Index Fds $14264494 0.10% +1163 +0.63%
174 Vanguard Index Fds $14225023 0.10% +7439 +12.86%
175 Harbor Etf Trust $14148958 0.10% +13453 +3.19%
176 Ishares Tr $14101115 0.10% +1177 +1.93%
177 General Dynamics Corp $14091414 0.10% -1194 -2.91%
178 Mondelez Intl Inc $13873390 0.09% -3787 -1.55%
179 Fastenal Co $13856575 0.09% +5255 +1.86%
180 American Tower Corp $13853112 0.09% -1768 -2.04%
181 Bloom Energy Corp $13763165 0.09% -13278 -22.60%
182 Ishares Tr $13729340 0.09% +90906 +209.06%
183 Ishares Tr $13300846 0.09% +3639 +3.08%
184 Cintas Corp $13131273 0.09% +1969 +2.62%
185 Vanguard Admiral Fds Inc $13118366 0.09% +400 +0.42%
186 Honeywell Intl Inc $12802536 0.09% NEW BUY
187 Honeywell Aerospace Inc $12613720 0.09% NEW BUY
188 Rbc Bearings Inc $12590729 0.09% -811 -3.98%
189 Cardinal Health Inc $12404745 0.08% +3953 +8.19%
190 Booking Holdings Inc $12385579 0.08% +66715 +2405.88%
191 State Str Spdr Dow Jones Ind $12338423 0.08% +85 +0.36%
192 Ishares Tr $12096746 0.08% +24050 +11.63%
193 Apollo Global Mgmt Inc $12081545 0.08% +4130 +4.21%
194 Kimberly-Clark Corp $12059667 0.08% -3774 -3.32%
195 Eog Res Inc $11968147 0.08% -1153 -1.23%
196 Vanguard Scottsdale Fds $11849768 0.08% -4752 -3.07%
197 Caseys Gen Stores Inc $11817745 0.08% +268 +1.84%
198 Lowes Cos Inc $11722860 0.08% -1760 -3.20%
199 Labcorp Holdings Inc $11561632 0.08% -1769 -4.11%
200 Lam Research Corp $11086038 0.08% +198 +0.78%
201 T-Mobile Us Inc $11013509 0.08% +778 +1.20%
202 Rbb Fd Inc $10925234 0.07% -58780 -21.15%
203 Vanguard Index Fds $10822616 0.07% -1608 -3.48%
204 American Centy Etf Tr $10705764 0.07% +8075 +7.39%
205 L3harris Technologies Inc $10665267 0.07% +354 +0.97%
206 Omnicom Group Inc $10567825 0.07% +1301 +0.90%
207 American Centy Etf Tr $10518224 0.07% +2413 +2.09%
208 Blackstone Inc $10387504 0.07% +129 +0.15%
209 Spdr Series Trust $10298174 0.07% +10893 +10.73%
210 Vanguard Scottsdale Fds $10247569 0.07% -1939 -2.36%
211 Select Sector Spdr Tr $10227335 0.07% -18799 -8.89%
212 Ishares Tr $10091366 0.07% +1027 +0.52%
213 Freeport Mcmoran Inc $9934574 0.07% +75859 +92.39%
214 3m Co $9912594 0.07% -588 -0.95%
215 Vertex Pharmaceuticals Inc $9859077 0.07% +622 +3.24%
216 Schwab Strategic Tr $9826476 0.07% +549 +0.18%
217 Astrazeneca Plc $9683031 0.07% +4802 +10.38%
218 Ssga Active Etf Tr $9657969 0.07% NEW BUY
219 Vanguard Index Fds $9639742 0.07% -397 -1.48%
220 Qualcomm Inc $9578739 0.07% +1949 +3.91%
221 Howmet Aerospace Inc $9461873 0.06% +1315 +3.88%
222 Regions Financial Corp New $9452197 0.06% -1950 -0.62%
223 Ishares Tr $9441691 0.06% -19868 -19.82%
224 Vanguard Mun Bd Fds $9090926 0.06% +84948 +89.62%
225 Vaneck Etf Trust $8817213 0.06% -922 -0.78%
226 Advisors Inner Circle Fd Iii $8765483 0.06% NEW BUY
227 Ishares Tr $8762398 0.06% +2330 +4.09%
228 Verisign Inc $8751270 0.06% -906 -2.54%
229 Ge Vernova Inc $8723610 0.06% +57 +0.77%
230 First Tr Exchng Traded Fd Vi $8693738 0.06% -3928 -1.62%
231 Wisdomtree Tr $8672447 0.06% +6379 +3.75%
232 Vanguard Index Fds $8652172 0.06% -1245 -1.37%
233 First Tr Exchng Traded Fd Vi $8589110 0.06% +11905 +4.30%
234 Norfolk Southn Corp $8559022 0.06% -521 -1.88%
235 Wells Fargo & Co $8523018 0.06% -17744 -14.68%
236 Ishares Tr $8484182 0.06% -22945 -7.62%
237 Lsi Inds Inc Ohio $8457676 0.06% Held
238 Copart Inc $8432727 0.06% -4939 -1.62%
239 Target Corp $8401646 0.06% +5241 +8.87%
240 Disney Walt Co $8292536 0.06% -27103 -23.93%
241 Chipotle Mexican Grill Inc $8281788 0.06% +13821 +6.02%
242 Vanguard Scottsdale Fds $8280783 0.06% +2300 +1.67%
243 Boston Scientific Corp $8246860 0.06% +36936 +23.63%
244 Intuitive Surgical Inc $8237298 0.06% +48 +0.23%
245 Cvs Health Corp $8135379 0.06% +954 +1.23%
246 First Tr Exchange Traded Fd $8101735 0.06% +4183 +2.28%
247 Spdr Series Trust $8026130 0.05% +83 +0.16%
248 Dimensional Etf Trust $8003356 0.05% +3402 +3.63%
249 World Gold Tr $7959552 0.05% +1082 +1.09%
250 First Tr Exchng Traded Fd Vi $7889801 0.05% +10678 +4.13%
251 Us Bancorp $7873216 0.05% +10439 +8.71%
252 State Str Corp $7640354 0.05% +1008 +2.29%
253 Select Sector Spdr Tr $7569131 0.05% +810 +0.49%
254 Ishares Tr $7563160 0.05% -3925 -4.68%
255 Krystal Biotech Inc $7523716 0.05% +63 +0.31%
256 Ishares Tr $7463772 0.05% -2648 -2.64%
257 Flexshares Tr $7443754 0.05% +16777 +9.98%
258 Vanguard Index Fds $7437465 0.05% -130 -0.53%
259 Flexshares Tr $7424970 0.05% +11620 +8.22%
260 Harbor Etf Trust $7332354 0.05% +97279 +81.47%
261 Gsk Plc $7322530 0.05% -941 -0.67%
262 Tradeweb Mkts Inc $7231230 0.05% +12614 +21.04%
263 Air Products And Chemicals I $7177915 0.05% +344 +1.43%
264 Marathon Pete Corp $7104002 0.05% -371 -1.32%
265 Boeing Co $7084960 0.05% +91 +0.28%
266 Halozyme Therapeutics Inc $7034987 0.05% +4000 +4.66%
267 Rockwell Automation Inc $6997852 0.05% -185 -1.29%
268 Select Sector Spdr Tr $6936791 0.05% +6908 +18.77%
269 Sony Group Corp $6882205 0.05% +1938 +0.57%
270 General Mills Inc $6869512 0.05% -12011 -5.74%
271 Spdr Series Trust $6830403 0.05% +24842 +11.51%
272 Csx Corp $6769370 0.05% +2146 +1.53%
273 Fortinet Inc $6763429 0.05% +27 +0.06%
274 First Tr Exchange-Traded Fd $6727700 0.05% +64652 +39.38%
275 Comcast Corp New $6715276 0.05% -7884 -2.80%
276 Accenture Plc Ireland $6708501 0.05% +774 +1.46%
277 Intuit $6691067 0.05% +526 +2.09%
278 Southstate Bk Corp $6667995 0.05% -862 -1.27%
279 Wisdomtree Tr $6627023 0.05% NEW BUY
280 Schwab Strategic Tr $6394131 0.04% +2730 +1.35%
281 Wisdomtree Tr $6391210 0.04% -2541 -2.92%
282 Otis Worldwide Corp $6362779 0.04% -674 -0.75%
283 Ww Grainger Inc $6350346 0.04% +226 +5.09%
284 Vanguard Intl Equity Index F $6331473 0.04% +293 +0.73%
285 Trane Technologies Plc $6246025 0.04% -733 -5.45%
286 Kkr & Co Inc $6136415 0.04% -837 -1.24%
287 Entergy Corp New $6093446 0.04% +1093 +2.10%
288 Schwab Strategic Tr $6073687 0.04% -6358 -3.42%
289 Phillips 66 $6023027 0.04% -919 -2.51%
290 Ishares Tr $6010883 0.04% -38372 -12.70%
291 Apa Corporation $5988919 0.04% +12240 +7.13%
292 United Rentals Inc $5968116 0.04% +4413 +516.14%
293 First Tr Exchange-Traded Fd $5956290 0.04% -11911 -10.67%
294 Blackrock Etf Trust $5861517 0.04% +12421 +16.84%
295 Vanguard Malvern Fds $5836525 0.04% +15686 +15.61%
296 Nucor Corp $5814854 0.04% +1910 +7.89%
297 Global X Fds $5781758 0.04% +26643 +9.28%
298 Parker-Hannifin Corp $5764881 0.04% +44 +0.75%
299 Zoetis Inc $5664568 0.04% -1719 -2.13%
300 Medtronic Plc $5641078 0.04% -41616 -36.59%
301 Vulcan Matls Co $5598983 0.04% +85 +0.45%
302 Axsome Therapeutics Inc. $5591036 0.04% -23 -0.10%
303 Suncor Energy Inc New $5565722 0.04% -3194 -2.99%
304 Huntington Bancshares Inc $5515377 0.04% +56905 +22.39%
305 Ishares Tr $5506454 0.04% -1183 -2.26%
306 Stryker Corporation $5499978 0.04% -1881 -9.72%
307 Ishares Tr $5334960 0.04% +4043 +9.78%
308 Natera Inc $5290561 0.04% +214 +1.11%
309 Globe Life Inc $5289579 0.04% +11 +0.04%
310 Dominion Energy Inc $5258955 0.04% +1021 +1.34%
311 Fabrinet $5239710 0.04% -185 -1.95%
312 Ishares Tr $5204338 0.04% -154913 -72.01%
313 Ecolab Inc $5177626 0.04% -2550 -12.07%
314 Ishares Tr $5151014 0.04% +32801 +42.41%
315 Dynatrace Inc $5131893 0.03% +2332 +2.04%
316 Ryan Specialty Holdings Inc $5112753 0.03% +26926 +24.82%
317 Ishares Gold Tr $5109254 0.03% -3949 -5.51%
318 Cencora Inc $5100665 0.03% -406 -2.20%
319 Capital One Finl Corp $5079109 0.03% -1295 -4.87%
320 Allstate Corp $5033754 0.03% +34 +0.16%
321 Entegris Inc $5029965 0.03% -637 -2.23%
322 Colgate Palmolive Co $5020766 0.03% -217 -0.39%
323 Brookfield Corp $4988305 0.03% -220 -0.19%
324 Kinder Morgan Inc Del $4984352 0.03% -1216 -0.77%
325 Invesco Exch Traded Fd Tr Ii $4980236 0.03% -515 -0.95%
326 Ing Groep N.V. $4977563 0.03% -226 -0.14%
327 Slb Limited $4961391 0.03% +5350 +5.28%
328 Schwab Strategic Tr $4955083 0.03% +22862 +32.18%
329 Conocophillips $4942991 0.03% +1013 +2.18%
330 Credicorp Ltd $4897021 0.03% -24 -0.19%
331 Starbucks Corp $4850594 0.03% +726 +1.55%
332 Royalty Pharma Plc $4835360 0.03% -377 -0.44%
333 First Tr Exchange-Traded Fd $4784653 0.03% +6363 +7.20%
334 Syndax Pharmaceuticals Inc $4747402 0.03% +14891 +7.36%
335 Spdr Series Trust $4676869 0.03% +16477 +10.18%
336 Enterprise Prods Partners L $4609310 0.03% +16 +0.01%
337 Constellation Energy Corp $4606863 0.03% +756 +4.25%
338 Carrier Global Corporation $4582063 0.03% -6561 -9.50%
339 Ishares Tr $4527152 0.03% -35 -0.10%
340 United Parcel Svcs Inc $4523907 0.03% -2331 -5.25%
341 Cameco Corp $4441813 0.03% -6126 -12.32%
342 Pnc Finl Svcs Group Inc $4419001 0.03% +495 +2.84%
343 National Health Invs Inc $4394637 0.03% Held
344 Manulife Finl Corp $4274290 0.03% +940 +0.90%
345 Vaneck Etf Trust $4258469 0.03% -42753 -20.45%
346 Bwx Technologies Inc $4247458 0.03% +370 +1.72%
347 Yum Brands Inc $4167920 0.03% -291 -1.10%
348 Ishares Tr $4165212 0.03% -124063 -55.24%
349 Republic Svcs Inc $4164137 0.03% -229 -1.16%
350 Dimensional Etf Trust $4155758 0.03% +286 +0.48%
351 Verastem Inc $4150200 0.03% +591174 +119.36%
352 Williams Cos Inc $4148276 0.03% +105 +0.19%
353 Select Sector Spdr Tr $4148110 0.03% +615 +1.25%
354 Haleon Plc $4138041 0.03% +9626 +2.22%
355 Etfs Gold Tr $4126432 0.03% Held
356 Henry Jack & Assoc Inc $4105530 0.03% +519 +1.77%
357 First Tr Exchange-Traded Fd $4092014 0.03% +3572 +8.51%
358 Janus Detroit Str Tr $4071907 0.03% +11387 +16.44%
359 National Healthcare Corp $4068679 0.03% Held
360 Schwab Strategic Tr $4040872 0.03% +3389 +3.44%
361 Ishares Tr $4034073 0.03% -44 -0.18%
362 Elevance Health Inc Formerly $3963934 0.03% +136 +1.34%
363 Autozone Inc $3962964 0.03% -5 -0.40%
364 Vanguard Bd Index Fds $3951132 0.03% -1476 -2.83%
365 Ishares Tr $3937247 0.03% +4870 +10.39%
366 Ishares Tr $3895156 0.03% NEW BUY
367 Ishares Inc $3868377 0.03% +7 +0.01%
368 Jabil Inc $3841627 0.03% +2295 +29.92%
369 Seagate Technology Hldngs Pl $3832476 0.03% +301 +8.20%
370 Weyerhaeuser Co $3805657 0.03% -36931 -18.85%
371 Oreilly Automotive Inc $3799193 0.03% +1708 +4.32%
372 Cooper Cos Inc $3797474 0.03% +4012 +8.20%
373 First Tr Exchng Traded Fd Vi $3766371 0.03% +1872 +1.30%
374 Evolv Technologies Hldngs In $3756689 0.03% +82358 +14.57%
375 Alps Etf Tr $3738462 0.03% -16166 -18.31%
376 Ishares Tr $3730263 0.03% +770 +1.59%
377 Enpro Inc $3696929 0.03% -327 -3.23%
378 Gallagher Arthur J & Co $3665991 0.02% +243 +1.55%
379 Royal Bk Cda $3665023 0.02% -9 -0.05%
380 Vaneck Etf Trust $3658001 0.02% +208 +3.87%
381 Janus Detroit Str Tr $3634872 0.02% -501 -0.67%
382 Spdr Index Shs Fds $3615382 0.02% +5002 +5.96%
383 Zoom Communications Inc $3572026 0.02% +36246 +705.18%
384 Dimensional Etf Trust $3558183 0.02% +24731 +38.79%
385 Cohen & Steers Ltd Duration $3557740 0.02% +708 +0.42%
386 J P Morgan Exchange Traded F $3551861 0.02% +440 +0.98%
387 Banco Bilbao Vizcaya Argenta $3526052 0.02% +1776 +1.28%
388 Fidelity Covington Trust $3525462 0.02% +7930 +10.04%
389 Totalenergies Se $3495311 0.02% -752 -1.65%
390 Halliburton Co $3477286 0.02% +74181 +262.66%
391 Adobe Inc $3429161 0.02% -1762 -9.53%
392 Dow Hldgs Inc $3428726 0.02% +85659 +215.99%
393 Mettler Toledo International $3341966 0.02% +81 +3.20%
394 Ishares Tr $3328873 0.02% +14429 +28.42%
395 J P Morgan Exchange Traded F $3317364 0.02% -2021 -4.61%
396 Canadian Natl Ry Co $3312726 0.02% +8759 +46.04%
397 First Tr Exchange-Traded Fd $3310510 0.02% -1081 -2.98%
398 Fti Consulting Inc $3267938 0.02% +4619 +26.68%
399 Vanguard Index Fds $3257355 0.02% +618 +3.90%
400 Ross Stores Inc $3237022 0.02% +859 +5.99%
401 Occidental Pete Corp $3225255 0.02% +56050 +541.34%
402 Select Sector Spdr Tr $3207853 0.02% +2140 +3.71%
403 Invesco Exchange Traded Fd T $3193990 0.02% +512 +2.91%
404 Materion Corp $3184750 0.02% -1729 -13.90%
405 Vanguard World Fd $3175480 0.02% +28996 +406.96%
406 Ishares Tr $3127234 0.02% +65 +0.89%
407 Pimco Etf Tr $3099011 0.02% -2221 -6.74%
408 Novartis Ag $3094124 0.02% -1012 -4.88%
409 Palantir Technologies Inc $3093272 0.02% +632 +2.44%
410 Coca-Cola Europacific Partne $3076752 0.02% -91 -0.30%
411 Paychex Inc $3039645 0.02% +252 +0.82%
412 Sunbelt Rentals Holdings Inc $3024467 0.02% -370 -0.91%
413 Kraft Heinz Co $2993862 0.02% +114308 +918.65%
414 Garmin Ltd $2975895 0.02% +3137 +33.40%
415 Vanguard World Fd $2926296 0.02% +178 +0.92%
416 American Intl Group Inc $2908921 0.02% -5581 -12.51%
417 Edwards Lifesciences Corp $2905468 0.02% -533 -1.63%
418 Select Sector Spdr Tr $2894429 0.02% -887 -1.33%
419 Best Buy Inc $2868105 0.02% +712 +1.92%
420 Delta Air Lines Inc $2855334 0.02% +17 +0.06%
421 Novanta Inc $2840822 0.02% NEW BUY
422 Msc Indl Direct Inc $2838742 0.02% +387 +1.65%
423 Mckesson Corp $2792735 0.02% -43 -1.15%
424 Wisdomtree Tr $2750201 0.02% +459 +1.63%
425 Rio Tinto Plc $2742820 0.02% +358 +1.25%
426 Moog Inc $2736735 0.02% +19 +0.30%
427 Quest Diagnostics Inc $2689044 0.02% +5943 +88.12%
428 Invesco Exchange Traded Fd T $2625974 0.02% -1540 -5.02%
429 American Centy Etf Tr $2623866 0.02% NEW BUY
430 Spdr Series Trust $2607425 0.02% +408 +1.19%
431 Marsh & Mclennan Cos Inc $2588826 0.02% -6387 -29.14%
432 Digital Rlty Tr Inc $2587970 0.02% +2077 +16.84%
433 Arista Networks Inc $2573878 0.02% +5819 +62.36%
434 Cohen & Steers Etf Trust $2565320 0.02% NEW BUY
435 Rpm Intl Inc $2561786 0.02% -94 -0.41%
436 Dimensional Etf Trust $2560379 0.02% -441 -1.39%
437 Ishares Tr $2548248 0.02% -185 -0.41%
438 Tapestry Inc $2534219 0.02% +1642 +10.48%
439 Ishares Tr $2526403 0.02% +5638 +5.25%
440 Northrop Grumman Corp $2522824 0.02% -475 -8.75%
441 Ishares Tr $2517746 0.02% -5246 -14.28%
442 Spdr Series Trust $2515701 0.02% +611 +2.98%
443 Tidal Trust I $2515056 0.02% -24681 -26.21%
444 Ishares Tr $2503291 0.02% +202 +2.40%
445 Proshares Tr $2482290 0.02% +21004 +90.55%
446 Fidelity Covington Trust $2475581 0.02% -7836 -16.03%
447 Sabra Health Care Reit Inc $2444604 0.02% -771 -0.61%
448 Element Solutions Inc $2444270 0.02% -10077 -16.45%
449 American Centy Etf Tr $2438021 0.02% +705 +2.05%
450 First Tr Exchange Traded Fd $2428669 0.02% +740 +2.53%
451 Macom Tech Solutions Hldgs I $2412307 0.02% -3953 -38.40%
452 Itt Inc $2412079 0.02% -38 -0.31%
453 Emcor Group Inc $2409972 0.02% +63 +2.22%
454 Applied Indl Technologies In $2347775 0.02% +288 +4.33%
455 Lattice Semiconductor Corp $2343806 0.02% +63 +0.41%
456 Alcon Ag $2310553 0.02% -773 -2.20%
457 Littelfuse Inc $2303970 0.02% -594 -10.51%
458 Ishares Tr $2299657 0.02% -538 -2.18%
459 Metlife Inc $2293893 0.02% +2315 +9.34%
460 Veeva Sys Inc $2289829 0.02% +426 +3.41%
461 J P Morgan Exchange Traded F $2285513 0.02% +5018 +27.63%
462 Sandisk Corp $2285099 0.02% -6 -0.59%
463 Healthstream Inc $2278018 0.02% +600 +0.72%
464 Corteva Inc $2266146 0.02% -254 -0.94%
465 Motorola Solutions Inc $2262916 0.02% -1543 -22.07%
466 Ishares Tr $2250458 0.02% +3216 +15.62%
467 Ensign Group Inc $2240514 0.02% +728 +5.49%
468 J P Morgan Exchange Traded F $2234973 0.02% +3102 +7.62%
469 Select Sector Spdr Tr $2232971 0.02% +27 +0.22%
470 Exelon Corp $2224999 0.02% +13299 +38.63%
471 Texas Roadhouse Inc $2214803 0.02% +1385 +13.74%
472 Vanguard Admiral Fds Inc $2211844 0.02% +4284 +33.79%
473 J P Morgan Exchange Traded F $2197637 0.01% +5096 +16.62%
474 Sap Se $2185742 0.01% -627 -4.23%
475 Invesco Exch Traded Fd Tr Ii $2181436 0.01% +1041 +16.90%
476 Verisk Analytics Inc $2173303 0.01% +216 +1.82%
477 Gilead Sciences Inc $2148342 0.01% -6969 -29.07%
478 Valmont Inds Inc $2139430 0.01% -808 -17.91%
479 Dexcom Inc $2138857 0.01% -169 -0.53%
480 Biogen Inc $2137285 0.01% -33 -0.33%
481 Welltower Inc $2132972 0.01% +1370 +17.07%
482 Ishares Tr $2119671 0.01% +59790 +340.84%
483 Cullen Frost Bankers Inc $2086175 0.01% +2034 +17.74%
484 Nike Inc $2074756 0.01% -11188 -18.12%
485 Diageo Plc $2055863 0.01% +608 +2.44%
486 Ishares Tr $2052584 0.01% -36 -1.11%
487 Western Digital Corp $2047234 0.01% -41 -1.26%
488 Ishares Tr $2033886 0.01% -66 -0.61%
489 Ameris Bancorp $2031933 0.01% +52 +0.23%
490 Benchmark Electrs Inc $2018887 0.01% +2302 +12.68%
491 Devon Energy Corp New $2010724 0.01% +18504 +61.36%
492 Biomarin Pharmaceutical Inc $2007335 0.01% +172 +0.49%
493 Ameriprise Finl Inc $1989880 0.01% +18 +0.42%
494 Ishares Inc $1973717 0.01% +313 +1.65%
495 Cbre Group Inc $1960413 0.01% +3 +0.02%
496 Agilysys Inc $1944536 0.01% +89 +0.48%
497 Fedex Corp $1936714 0.01% -1065 -14.69%
498 Crowdstrike Hldgs Inc $1933645 0.01% +212 +9.13%
499 Veracyte Inc $1920353 0.01% -106 -0.32%
500 The Cigna Group $1919353 0.01% -326 -4.47%
501 Mid-Amer Apt Cmntys Inc $1914210 0.01% -670 -4.64%
502 Vanguard Scottsdale Fds $1903306 0.01% +2965 +19.85%
503 Vanguard Index Fds $1898091 0.01% +894 +13.12%
504 Casella Waste Sys Inc $1896054 0.01% +4370 +28.78%
505 Illinois Tool Wks Inc $1888365 0.01% -403 -5.46%
506 Abrdn Silver Etf Trust $1870777 0.01% +7600 +29.60%
507 Standex Intl Corp $1855950 0.01% +21 +0.41%
508 Glacier Bancorp Inc New $1841767 0.01% +2986 +9.13%
509 Crane Company $1839212 0.01% +53 +0.65%
510 First Tr Exchng Traded Fd Vi $1835113 0.01% -839 -1.26%
511 T Rowe Price Exchange-Traded $1830275 0.01% +90 +0.24%
512 Markel Group Inc $1829971 0.01% Held
513 Clorox Co Del $1816227 0.01% +831 +4.57%
514 Energy Transfer L P $1807051 0.01% -1159 -1.21%
515 Flowserve Corp $1804090 0.01% -468 -1.89%
516 Amplify Etf Tr $1775800 0.01% -94 -0.55%
517 Ishares Tr $1774436 0.01% -712 -9.19%
518 Dell Technologies Inc $1767703 0.01% +860 +26.57%
519 Carpenter Technology Corp $1760461 0.01% -537 -15.84%
520 Qnity Electronics Inc $1755628 0.01% -260 -2.36%
521 Sysco Corp $1750357 0.01% +831 +4.13%
522 Select Sector Spdr Tr $1727304 0.01% -3851 -20.73%
523 Ishares Tr $1718021 0.01% +7339 +63.14%
524 Williams Sonoma Inc $1709424 0.01% -32 -0.43%
525 Pimco Etf Tr $1691985 0.01% +3966 +6.63%
526 Ishares Tr $1690416 0.01% +28 +0.29%
527 Vanguard World Fd $1684163 0.01% +151 +2.52%
528 Ishares Tr $1683841 0.01% +6098 +9.58%
529 Avnet Inc $1679586 0.01% NEW BUY
530 Novo-Nordisk A S $1674674 0.01% -141 -0.40%
531 Progressive Corp $1654145 0.01% +68 +0.91%
532 Pulte Group Inc $1646655 0.01% +553 +4.83%
533 Spdr Series Trust $1636934 0.01% -4467 -7.58%
534 Tidal Trust Ii $1624419 0.01% -2964 -4.54%
535 United Bankshares Inc West V $1618944 0.01% +871 +2.53%
536 Becton Dickinson & Co $1590595 0.01% +52 +0.50%
537 First Tr Exchng Traded Fd Vi $1589815 0.01% -1779 -4.21%
538 Rentokil Initial Plc $1585455 0.01% -1617 -2.84%
539 General Mtrs Co $1584456 0.01% +177 +0.87%
540 Ingevity Corp $1577927 0.01% -3803 -15.25%
541 Ishares Tr $1572381 0.01% +4019 +36.76%
542 Baxter Intl Inc $1553978 0.01% +62008 +569.93%
543 Encompass Health Corp $1548113 0.01% +3018 +24.54%
544 Vanguard Index Fds $1536143 0.01% -524 -10.50%
545 Cohu Inc $1517224 0.01% -7970 -27.97%
546 Seacoast Bkg Corp Fla $1500739 0.01% -247 -0.54%
547 Ishares Tr $1493639 0.01% -27 -0.62%
548 Vanguard Whitehall Fds $1492493 0.01% Held
549 Newmont Corp $1492291 0.01% -14 -0.09%
550 Pdf Solutions Inc $1479086 0.01% NEW BUY
551 Hartford Insurance Group Inc $1476800 0.01% -25 -0.22%
552 West Pharmaceutical Svsc Inc $1473336 0.01% +3075 +298.83%
553 Invesco Exchange Traded Fd T $1468809 0.01% +2348 +10.85%
554 Spdr Index Shs Fds $1436151 0.01% +1520 +5.63%
555 Fiserv Inc $1430889 0.01% -4801 -14.13%
556 Uber Technologies Inc $1414025 0.01% +802 +4.27%
557 Advanced Energy Inds $1412432 0.01% -1968 -34.19%
558 Spdr Series Trust $1411831 0.01% -89 -0.55%
559 Churchill Downs Inc $1404570 0.01% -310 -1.94%
560 Capri Holdings Limited $1400754 0.01% +15731 +26.35%
561 Robert Half Inc. $1396267 0.01% -1257 -2.69%
562 Globus Med Inc $1391129 0.01% +1555 +9.69%
563 Dupont De Nemours Inc $1374987 0.01% NEW BUY
564 Paypal Hldgs Inc $1352272 0.01% -16340 -34.29%
565 Descartes Sys Group Inc $1351911 0.01% -823 -4.04%
566 Nice Ltd $1351484 0.01% -2355 -13.67%
567 Invesco Exch Traded Fd Tr Ii $1344877 0.01% -20364 -23.57%
568 Pacer Fds Tr $1343163 0.01% +5975 +23.86%
569 Aci Worldwide Inc $1335451 0.01% -276 -1.03%
570 Modine Mfg Co $1331095 0.01% -846 -14.51%
571 Matador Res Co $1329026 0.01% -5354 -16.70%
572 Northern Tr Corp $1328209 0.01% -113 -1.46%
573 Archer Daniels Midland Co $1326428 0.01% -93 -0.53%
574 Xcel Energy Inc $1324436 0.01% +2655 +19.19%
575 Vaneck Etf Trust $1323784 0.01% -30 -0.26%
576 Eagle Matls Inc $1323225 0.01% -30 -0.51%
577 Wingstop Inc $1320864 0.01% Held
578 Spdr Series Trust $1319627 0.01% +10457 +24.74%
579 Silgan Hldgs Inc $1318821 0.01% +874 +3.17%
580 Genmab A/S $1306830 0.01% +132 +0.28%
581 Roper Technologies Inc $1298402 0.01% +221 +6.11%
582 United Cmnty Bks Blairsvle G $1294365 0.01% +122 +0.33%
583 Timken Co $1294220 0.01% NEW BUY
584 Cohen & Steers Etf Trust $1286530 0.01% +5718 +17.43%
585 Proshares Tr $1283550 0.01% Held
586 First Bancorp N C $1283011 0.01% +1315 +7.01%
587 Bio-Techne Corp $1279754 0.01% -4115 -18.51%
588 Hewlett Packard Enterprise C $1278487 0.01% -1074 -3.65%
589 Martin Marietta Matls Inc $1270011 0.01% -30 -1.34%
590 Synopsys Inc $1261700 0.01% -118 -4.01%
591 Spdr Series Trust $1260779 0.01% +1326 +6.46%
592 Ishares Bitcoin Trust Etf $1248707 0.01% +3082 +8.95%
593 First Tr Exchng Traded Fd Vi $1247311 0.01% -2840 -5.36%
594 Kroger Co $1245143 0.01% +5102 +29.46%
595 Atmos Energy Corp $1236209 0.01% +65 +0.91%
596 Paramount Skydance Corp $1236099 0.01% NEW BUY
597 Pursuit Attractions And Hosp $1235930 0.01% +2621 +13.47%
598 Simpson Mfg Inc $1231815 0.01% -5 -0.08%
599 Global X Fds $1229163 0.01% +5089 +37.30%
600 Ovintiv Inc $1226491 0.01% +2867 +14.03%
601 First Indl Rlty Tr Inc $1220866 0.01% +81 +0.41%
602 Hp Inc $1218189 0.01% -1180 -2.08%
603 Price T Rowe Group Inc $1208141 0.01% +46 +0.43%
604 Global X Fds $1191215 0.01% +1696 +6.63%
605 Stag Industrial Inc $1182829 0.01% +81 +0.26%
606 Keysight Technologies Inc $1178630 0.01% +621 +22.62%
607 Ishares Tr $1176131 0.01% +1160 +5.33%
608 First Tr Exchange-Traded Fd $1172852 0.01% +472 +8.36%
609 First Ctzns Bancshares Inc D $1167324 0.01% -16 -2.77%
610 Spdr Series Trust $1160921 0.01% Held
611 Ryanair Holdings Plc $1156111 0.01% +161 +0.91%
612 Fifth Third Bancorp $1154339 0.01% +1696 +9.03%
613 Wabtec $1151973 0.01% -34 -0.79%
614 Terex Corp New $1130949 0.01% -60 -0.38%
615 Kimco Realty Corp $1130787 0.01% +69 +0.15%
616 Repligen Corp $1130678 0.01% -31 -0.37%
617 Ford Mtr Co $1126971 0.01% +14241 +21.31%
618 Rush Enterprises Inc $1122291 0.01% -4747 -23.59%
619 Invesco Exch Traded Fd Tr Ii $1116510 0.01% -2256 -17.58%
620 Vericel Corp $1112828 0.01% +957 +3.98%
621 Ishares Tr $1112220 0.01% +303 +3.07%
622 Pimco Income Strategy Fd $1105573 0.01% -655 -0.46%
623 Dimensional Etf Trust $1101820 0.01% +18 +0.07%
624 Marriott Intl Inc New $1085075 0.01% +199 +7.29%
625 Dimensional Etf Trust $1075941 0.01% -837 -4.10%
626 Vanguard Scottsdale Fds $1074421 0.01% Held
627 Microchip Technology Inc. $1067082 0.01% +559 +5.02%
628 Sterling Infrastructure Inc $1063469 0.01% -156 -10.96%
629 Spdr Series Trust $1063213 0.01% Held
630 Ishares Inc $1061178 0.01% +2 +0.02%
631 Crane Nxt Co $1060598 0.01% -278 -1.32%
632 Madden Steven Ltd $1058941 0.01% +178 +0.71%
633 Consolidated Edison Inc $1056143 0.01% -13 -0.14%
634 Gildan Activewear Inc $1053672 0.01% -5728 -21.91%
635 Vanguard World Fd $1049498 0.01% +28 +0.80%
636 Northern Lts Fd Tr Iv $1042226 0.01% +2238 +159.29%
637 Vanguard Scottsdale Fds $1041127 0.01% +25 +0.14%
638 Spx Technologies Inc $1026036 0.01% -411 -8.94%
639 Rb Global Inc $1021856 0.01% +2125 +31.95%
640 Smartfinancial Inc $1021120 0.01% Held
641 Onto Innovation Inc $1021058 0.01% -3115 -53.59%
642 Aar Corp $1012802 0.01% +120 +1.72%
643 Bp Plc $1011967 0.01% -1106 -3.88%
644 Zimmer Biomet Holdings Inc $1011299 0.01% -1245 -9.58%
645 Constellation Brands Inc $1010563 0.01% -126 -1.70%
646 United Therapeutics Corp Del $1008887 0.01% +1342 +258.08%
647 Vanguard Admiral Fds Inc $999891 0.01% +10096 +503.29%
648 Bath & Body Works Inc $999887 0.01% -1655 -3.69%
649 Aon Plc $997773 0.01% -58 -1.89%
650 Ishares Tr $997048 0.01% -135 -1.37%
651 Insulet Corp $996933 0.01% +1990 +43.66%
652 Caci Intl Inc $993693 0.01% +24 +1.13%
653 Griffon Corp $993371 0.01% -3541 -25.80%
654 First Tr Exchange Traded Fd $990529 0.01% +4895 +13.36%
655 Vertiv Holdings Co $986861 0.01% +603 +25.73%
656 Aptargroup Inc $985324 0.01% +1964 +33.25%
657 Comfort Sys Usa Inc $981066 0.01% -15 -2.94%
658 Autodesk Inc $979747 0.01% +62 +1.25%
659 Dimensional Etf Trust $974533 0.01% -3011 -14.30%
660 Monster Beverage Corp New $972981 0.01% +389 +4.00%
661 American Centy Etf Tr $970933 0.01% +8 +0.10%
662 Schwab Strategic Tr $965265 0.01% NEW BUY
663 Teradyne Inc $962728 0.01% +205 +11.49%
664 First Tr Exchange-Traded Fd $961921 0.01% +244 +1.24%
665 Paccar Inc $949068 0.01% +452 +6.07%
666 Cambria Etf Tr $945361 0.01% +42 +0.20%
667 First Tr Exchange-Traded Fd $942933 0.01% +67 +1.92%
668 Royal Caribbean Group $940876 0.01% Held
669 Targa Res Corp $940776 0.01% -129 -3.55%
670 Ishares Tr $940144 0.01% -458 -10.56%
671 Ishares U S Etf Tr $937647 0.01% -5887 -24.13%
672 Newell Brands Inc $929731 0.01% +100 +0.07%
673 Columbia Sportswear Co $926496 0.01% NEW BUY
674 Regal Rexnord Corporation $920843 0.01% -292 -7.02%
675 First Horizon Corporation $920528 0.01% -370 -1.02%
676 Pinnacle West Cap Corp $919986 0.01% -11 -0.13%
677 Chord Energy Corporation $917829 0.01% -87 -1.07%
678 First Tr Exchng Traded Fd Vi $916144 0.01% -959 -4.50%
679 First Tr Exchange-Traded Fd $915675 0.01% +759 +4.20%
680 Spdr Series Trust $915253 0.01% +375 +6.93%
681 Ishares Inc $912386 0.01% +220 +5.12%
682 Ishares Tr $911228 0.01% +2425 +16.48%
683 First Tr Exchange-Traded Fd $910457 0.01% NEW BUY
684 Solstice Advanced Matls Inc $910335 0.01% -1901 -15.61%
685 Everest Group Ltd $907364 0.01% -29 -1.13%
686 D R Horton Inc $906650 0.01% +5 +0.09%
687 Ishares Tr $904270 0.01% -178 -3.12%
688 Gentherm Inc $901732 0.01% -139 -0.52%
689 Healthequity Inc $899948 0.01% NEW BUY
690 Ralliant Corp $897034 0.01% -849 -6.51%
691 Unilever Plc $895507 0.01% -22862 -60.55%
692 Global X Fds $895424 0.01% +5853 +62.64%
693 Grayscale Bitcoin Trust Etf $892147 0.01% -400 -2.00%
694 Rayonier Inc $891019 0.01% +1668 +4.15%
695 Northern Lts Fd Tr Iv $890926 0.01% +11205 +121.97%
696 Wisdomtree Tr $890480 0.01% Held
697 Invesco Exch Traded Fd Tr Ii $888945 0.01% -385 -3.14%
698 Humana Inc $887812 0.01% +1 +0.04%
699 Charles Riv Labs Intl Inc $877451 0.01% NEW BUY
700 Evergy Inc $868876 0.01% +204 +2.07%
701 Vistra Corp $867781 0.01% -111 -1.99%
702 Old Dominion Freight Line In $864343 0.01% +2103 +111.45%
703 First Tr Exchng Traded Fd Vi $863236 0.01% Held
704 Irhythm Holdings Inc $850374 0.01% +20 +0.28%
705 Fidelity Covington Trust $850105 0.01% +4755 +28.94%
706 Lemaitre Vascular Inc $840993 0.01% +26 +0.30%
707 Allegiant Travel Co $824846 0.01% -26 -0.37%
708 Northern Lts Fd Tr Iv $817755 0.01% +12177 +169.86%
709 Hub Group Inc $813355 0.01% -3157 -14.53%
710 Warner Bros Discovery Inc $808200 0.01% -754 -2.43%
711 Ishares Tr $806786 0.01% +5634 +47.56%
712 Spdr Series Trust $805787 0.01% -155 -2.13%
713 Equifax Inc $802587 0.01% +11 +0.22%
714 Spdr Series Trust $798574 0.01% +9329 +64.17%
715 Schwab Strategic Tr $797110 0.01% -4342 -16.44%
716 Ishares Tr $795263 0.01% +12 +0.30%
717 Ishares Tr $793881 0.01% -410 -8.60%
718 Spdr Index Shs Fds $792687 0.01% +1121 +7.90%
719 Applovin Corp $783088 0.01% -613 -28.75%
720 Azenta Inc $781856 0.01% -383 -1.23%
721 Capital Grp Fixed Incm Etf T $779345 0.01% NEW BUY
722 International Paper Co $779224 0.01% -8324 -28.93%
723 Tcw Etf Trust $774604 0.01% +2495 +14.46%
724 Prologis Inc. $774387 0.01% -180 -3.05%
725 Mitsubishi Ufj Financial Gro $774237 0.01% -1412 -3.50%
726 Capital Group Growth Etf $767898 0.01% +474 +3.00%
727 Ishares Tr $767174 0.01% +2624 +20.25%
728 Mongodb Inc $765734 0.01% NEW BUY
729 Crown Crafts Inc $765405 0.01% -33187 -10.96%
730 Legence Corp $760933 0.01% Held
731 Vanguard Charlotte Fds $758515 0.01% +10265 +190.20%
732 Lincoln Natl Corp Ind $757329 0.01% -7988 -27.16%
733 Proshares Tr $756590 0.01% NEW BUY
734 Ishares Tr $755354 0.01% NEW BUY
735 American Centy Etf Tr $752765 0.01% +175 +2.29%
736 First Tr Exchng Traded Fd Vi $752330 0.01% -1860 -5.46%
737 Prudential Finl Inc $745662 0.01% +293 +4.43%
738 Global X Fds $743473 0.01% Held
739 Textron Inc $741331 0.01% -92 -1.13%
740 Ishares Tr $735162 0.01% +1 +0.02%
741 Universal Display Corp $733244 0.01% -1543 -15.41%
742 Trustmark Corp $726166 0.00% +1 +0.01%
743 Anheuser Busch Inbev Sa Nv $724535 0.00% +114 +1.31%
744 Firstcash Holdings Inc $724023 0.00% -125 -3.60%
745 Schwab Strategic Tr $723863 0.00% +15784 +111.14%
746 Goldman Sachs Etf Tr $714483 0.00% -2642 -15.76%
747 Vanguard Scottsdale Fds $713351 0.00% -129 -1.34%
748 Select Sector Spdr Tr $710256 0.00% +9 +0.06%
749 Pacer Fds Tr $705484 0.00% -1238 -8.16%
750 Dimensional Etf Trust $701044 0.00% -5042 -22.88%
751 Vanguard Scottsdale Fds $700679 0.00% -944 -14.06%
752 Franklin Templeton Etf Tr $690664 0.00% +3818 +13.42%
753 Public Storage $689757 0.00% -66 -2.96%
754 Gentex Corp $688304 0.00% -948 -3.36%
755 Canadian Nat Res Ltd Med Ter $688210 0.00% +977 +5.94%
756 Mercadolibre Inc $687443 0.00% -28 -6.47%
757 Vaneck Etf Trust $687128 0.00% -282 -4.09%
758 Bausch Plus Lomb Corp $685981 0.00% Held
759 Heico Corp New $685676 0.00% Held
760 Northern Lts Fd Tr Iv $685059 0.00% +8134 +146.08%
761 Wp Carey Inc $684327 0.00% -501 -4.97%
762 Spdr Series Trust $675827 0.00% Held
763 James Hardie Inds Plc $668271 0.00% -181 -0.70%
764 Ulta Beauty Inc $662039 0.00% -197 -11.83%
765 Ishares Tr $661780 0.00% Held
766 Old Rep Intl Corp $661754 0.00% -83 -0.51%
767 Invesco Exch Traded Fd Tr Ii $657928 0.00% Held
768 J P Morgan Exchange Traded F $655624 0.00% -140 -1.52%
769 Victory Portfolios Ii $655015 0.00% NEW BUY
770 Atlanticus Holdings Corp $652355 0.00% -1000 -13.55%
771 Cadence Design System Inc $652006 0.00% +403 +30.21%
772 Robinhood Mkts Inc $650215 0.00% +301 +4.87%
773 Roku Inc $649119 0.00% NEW BUY
774 Badger Meter Inc $646937 0.00% -1062 -19.59%
775 Sharkninja Inc $640753 0.00% -15 -0.36%
776 Ingersoll Rand Inc $639188 0.00% +20 +0.26%
777 Synchrony Financial $638414 0.00% -71 -0.84%
778 Franklin Templeton Etf Tr $637704 0.00% +6361 +33.52%
779 Fidelity Covington Trust $637213 0.00% NEW BUY
780 Dollar Gen Corp $634926 0.00% +300 +5.75%
781 Schwab Strategic Tr $632782 0.00% -4077 -19.20%
782 Alibaba Group Hldg Ltd $624061 0.00% -56 -0.85%
783 Voya Financial Inc $623299 0.00% -87 -1.25%
784 Pimco Etf Tr $620123 0.00% -1273 -9.75%
785 Simon Ppty Group Inc New $619718 0.00% -65 -2.29%
786 Virtus Etf Tr Ii $618148 0.00% -13483 -33.53%
787 Ufp Industries Inc $614219 0.00% -68 -0.99%
788 Ishares Tr $611926 0.00% +4412 +83.34%
789 Alliant Energy Corp $607118 0.00% -247 -3.01%
790 Yeti Hldgs Inc $606813 0.00% -696 -5.38%
791 Antero Resources Corp $603248 0.00% -37 -0.22%
792 The Alger Etf Trust $596655 0.00% NEW BUY
793 Sea Ltd $595775 0.00% +194 +3.22%
794 Goldman Sachs Etf Tr $590263 0.00% -617 -12.92%
795 Te Connectivity Plc $590256 0.00% +199 +7.29%
796 Ishares Tr $588878 0.00% Held
797 Capital Group Dividend Value $588807 0.00% +5861 +96.29%
798 Mgm Resorts International $587205 0.00% Held
799 Nvr Inc $585952 0.00% -100 -53.76%
800 Hilton Worldwide Hldgs Inc $584257 0.00% +114 +6.89%
801 First Tr Exchange-Traded Fd $583451 0.00% +2462 +10.80%
802 Nxp Semiconductors N V $582085 0.00% +1009 +95.01%
803 Invesco Exchange Traded Fd T $581504 0.00% +1 +0.01%
804 Pacer Fds Tr $580408 0.00% -2837 -22.17%
805 Airbnb Inc $578411 0.00% +137 +3.51%
806 American Airlines Group Inc $577662 0.00% -31326 -49.49%
807 Principal Exchange Traded Fd $577232 0.00% -10778 -26.25%
808 Vaneck Etf Trust $576614 0.00% +1871 +17.99%
809 Shopify Inc $571358 0.00% -509 -9.23%
810 Incyte Corp $570541 0.00% -94 -1.83%
811 Hubbell Inc $569938 0.00% +182 +20.07%
812 Acuity Inc $565743 0.00% -143 -8.69%
813 Black Hills Corp $559414 0.00% -1 -0.01%
814 Pg&E Corp $558408 0.00% -1991 -5.66%
815 Curtiss Wright Corp $556953 0.00% +2 +0.27%
816 Leggett & Platt Inc $556942 0.00% +41 +0.09%
817 First Tr Exchng Traded Fd Vi $554139 0.00% +7156 +102.89%
818 Onterris Inc $552400 0.00% Held
819 Nvent Elec Plc $551255 0.00% -162 -4.75%
820 Allegro Microsystems Inc $547422 0.00% -20253 -72.03%
821 Veralto Corp $546660 0.00% -83 -1.33%
822 Nasdaq Inc $542319 0.00% -20 -0.29%
823 Mplx Lp $537785 0.00% -630 -6.19%
824 Dolby Laboratories Inc $532846 0.00% -257 -2.47%
825 A10 Networks Inc $531998 0.00% +30 +0.21%
826 Select Sector Spdr Tr $531482 0.00% +2 +0.04%
827 Blackstone Secd Lending Fd $531342 0.00% Held
828 Vanguard Admiral Fds Inc $531115 0.00% NEW BUY
829 Invesco Exchange Traded Fd T $529388 0.00% -76 -1.39%
830 Celestica Inc $528959 0.00% -346 -19.27%
831 Copa Holdings Sa $521045 0.00% +7 +0.21%
832 Waters Corp $517003 0.00% +319 +30.09%
833 Arlo Technologies Inc $516109 0.00% Held
834 Sonoco Prods Co $513535 0.00% +13 +0.14%
835 Hershey Co $508904 0.00% +140 +5.07%
836 Proshares Tr $508680 0.00% Held
837 Etf Opportunities Trust $508074 0.00% +29800 +20.55%
838 Harbor Etf Trust $508059 0.00% +409 +2.52%
839 First Tr Exchng Traded Fd Vi $506833 0.00% Held
840 First Tr Exchange-Traded Fd $506739 0.00% +400 +3.01%
841 Coinbase Global Inc $505807 0.00% -248 -6.69%
842 First Tr Exchange-Traded Fd $504952 0.00% -7 -0.34%
843 Regeneron Pharmaceuticals $504598 0.00% +8 +1.00%
844 First Tr Exchange-Traded Fd $502597 0.00% -97 -2.53%
845 Par Technology Corp $502375 0.00% +5486 +23.49%
846 Celanese Corp Del $499514 0.00% -32 -0.29%
847 Grayscale Ethereum Staking E $498864 0.00% +23 +0.06%
848 First Majestic Silver Corp $497903 0.00% +2 +0.01%
849 Teva Pharmaceutical Inds Ltd $497765 0.00% Held
850 Westlake Corporation $497349 0.00% NEW BUY
851 Proshares Tr $494309 0.00% NEW BUY
852 Ishares Inc $491656 0.00% -49 -0.74%
853 Toronto Dominion Bk Ont $488846 0.00% -50 -1.23%
854 Energy Fuels Inc $487867 0.00% Held
855 Proshares Tr $481904 0.00% NEW BUY
856 Expeditors Intl Wash Inc $478586 0.00% -630 -17.67%
857 Source Capital $475062 0.00% +5302 +105.37%
858 Dillards Inc $473464 0.00% -14 -1.54%
859 Ishares Tr $473161 0.00% +114 +2.38%
860 Putnam Etf Trust $472103 0.00% NEW BUY
861 Ishares Tr $471591 0.00% -194 -2.04%
862 Oklo Inc $471337 0.00% Held
863 Capital Grp Fixed Incm Etf T $471297 0.00% +3723 +27.72%
864 Ishares Tr $471255 0.00% -1129 -19.43%
865 Pacer Fds Tr $471163 0.00% NEW BUY
866 Ishares Tr $471080 0.00% Held
867 Tractor Supply Co $470807 0.00% -56592 -79.17%
868 Ishares Tr $469311 0.00% -392 -4.94%
869 Ishares Tr $469284 0.00% -96 -1.97%
870 Arch Cap Group Ltd $467254 0.00% -503 -9.46%
871 Aercap Holdings Nv $466933 0.00% -38 -1.17%
872 First Tr Exchange-Traded Fd $464562 0.00% -18803 -46.02%
873 Invesco Exchange Traded Fd T $464207 0.00% NEW BUY
874 Rivian Automotive Inc $461180 0.00% Held
875 Northern Lts Fd Tr Iv $460649 0.00% +6438 +114.09%
876 Vanguard Instl Index Fd $459680 0.00% Held
877 Steris Plc $459364 0.00% -138 -5.95%
878 Renasant Corp $455305 0.00% -857 -7.41%
879 First Tr Exchange Traded Fd $455081 0.00% -2049 -37.50%
880 Chemed Corp New $452234 0.00% -19 -1.92%
881 Ishares Tr $452009 0.00% NEW BUY
882 Wisdomtree Tr $451975 0.00% -161 -1.97%
883 Ark Etf Tr $451125 0.00% NEW BUY
884 Rexford Indl Rlty Inc $449570 0.00% -145 -1.07%
885 Ishares Tr $449515 0.00% -106 -2.63%
886 First Tr Exchange-Traded Fd $444435 0.00% -332 -2.33%
887 Vanguard Admiral Fds Inc $444151 0.00% NEW BUY
888 Jacobs Solutions Inc $442638 0.00% -1435 -29.00%
889 Centrus Energy Corp $440994 0.00% +147 +5.93%
890 Ishares Tr $439999 0.00% -14719 -58.66%
891 First Tr Exchange-Traded Alp $439030 0.00% -1424 -26.45%
892 Solventum Corp $436514 0.00% -1 -0.02%
893 Fortive Corp $435327 0.00% -24 -0.34%
894 J P Morgan Exchange Traded F $433526 0.00% -15 -0.23%
895 Invesco Exchange Traded Fd T $432608 0.00% +1068 +15.97%
896 Cboe Global Mkts Inc $431236 0.00% -16 -0.89%
897 Ishares Tr $427792 0.00% Held
898 Cracker Barrel Old Ctry Stor $426400 0.00% -7420 -48.12%
899 Spdr Series Trust $424897 0.00% Held
900 American Centy Etf Tr $423329 0.00% +17 +0.20%
901 Molson Coors Beverage Co $420433 0.00% -177 -1.61%
902 Iron Mtn Inc Del $413995 0.00% +73 +2.28%
903 First Tr Exchange-Traded Fd $413531 0.00% -1334 -11.59%
904 First Tr Exchange-Traded Fd $411535 0.00% Held
905 Legg Mason Etf Invt $410896 0.00% Held
906 Invesco Exch Traded Fd Tr Ii $410791 0.00% +18 +0.28%
907 Yum China Hldgs Inc $410668 0.00% Held
908 Putnam Etf Trust $410098 0.00% +2866 +9.05%
909 Ishares Tr $410003 0.00% Held
910 Ishares Tr $408299 0.00% NEW BUY
911 Moodys Corp $408123 0.00% Held
912 Snowflake Inc $405050 0.00% -47 -2.87%
913 First Tr Exchng Traded Fd Vi $403926 0.00% +9017 +63.33%
914 Ubs Group Ag $403461 0.00% -1986 -19.61%
915 Spdr Series Trust $402366 0.00% -93 -12.60%
916 Gen Digital Inc $401543 0.00% -340 -2.06%
917 Nuveen Quality Muncp Income $401465 0.00% +1113 +3.48%
918 Spdr Series Trust $401070 0.00% +11 +0.13%
919 Blue Owl Capital Corporation $400353 0.00% -21945 -37.34%
920 Nova Ltd $398518 0.00% Held
921 Sempra $397470 0.00% -509 -10.61%
922 M & T Bk Corp $389135 0.00% NEW BUY
923 Vanguard Malvern Fds $384850 0.00% NEW BUY
924 Alcoa Corp $382043 0.00% +44 +0.60%
925 Pgim Etf Tr $380049 0.00% +1790 +30.44%
926 Wisdomtree Tr $379420 0.00% -191 -4.59%
927 Toll Brothers Inc $379090 0.00% -10 -0.43%
928 Albemarle Corp $378084 0.00% NEW BUY
929 Technipfmc Plc $376518 0.00% +197 +3.59%
930 Hunt J B Trans Svcs Inc $374233 0.00% Held
931 Public Svc Enterprise Group $373823 0.00% +864 +23.10%
932 Cheniere Energy Inc $373076 0.00% -2266 -59.23%
933 Cdw Corp $369317 0.00% -3638 -58.09%
934 Invesco Exchange Traded Fd T $366401 0.00% -300 -10.04%
935 First Tr Exchange-Traded Fd $366343 0.00% -1434 -32.39%
936 American Healthcare Reit Inc $365560 0.00% -203 -2.81%
937 Pgim Rock Etf Tr $364670 0.00% Held
938 Grand Canyon Ed Inc $363786 0.00% +27 +1.07%
939 Southwest Airls Co $363079 0.00% NEW BUY
940 Park Natl Corp $360491 0.00% Held
941 Viatris Inc $360439 0.00% -45 -0.20%
942 First Tr Exchange Traded Fd $358376 0.00% +596 +10.32%
943 Nexstar Media Group Inc $357180 0.00% Held
944 Moelis & Co $354708 0.00% +123 +2.32%
945 Carnival Corp Ltd $354212 0.00% NEW BUY
946 Vici Pptys Inc $351173 0.00% -3781 -22.23%
947 American Wtr Wks Co Inc New $349881 0.00% -130 -4.66%
948 Goldman Sachs Etf Tr $348860 0.00% +35 +1.02%
949 Versant Media Group Inc $348740 0.00% -431 -4.26%
950 Fidelity Comwlth Tr $348225 0.00% -299 -8.14%
951 Esco Technologies Inc $347590 0.00% Held
952 Space Exploration Techn Corp $344454 0.00% NEW BUY
953 Pimco Etf Tr $343724 0.00% +911 +32.35%
954 First Tr Exchng Traded Fd Vi $342197 0.00% -793 -9.14%
955 Bhp Billiton Limited $342195 0.00% -33 -0.80%
956 Global X Fds $340344 0.00% +212 +3.86%
957 Mp Materials Corp $338580 0.00% +1845 +43.93%
958 Vishay Precision Group Inc $335948 0.00% NEW BUY
959 Vanguard World Fd $333826 0.00% +32 +1.59%
960 Eversource Energy $333620 0.00% Held
961 T Rowe Price Exchange-Traded $332907 0.00% +831 +11.43%
962 Agilent Technologies Inc $332606 0.00% Held
963 Eqt Corp $332394 0.00% +2012 +47.46%
964 Lennar Corp $331532 0.00% -312 -7.85%
965 Mueller Wtr Prods Inc $331375 0.00% Held
966 First Tr Exchange-Traded Alp $330012 0.00% Held
967 Hdfc Bank Ltd $329255 0.00% -3474 -21.42%
968 Archer Aviation Inc $329227 0.00% +238 +0.34%
969 Realty Income Corp $329125 0.00% +265 +5.25%
970 Ishares Tr $327852 0.00% +13 +0.40%
971 Coeur Mng Inc $324768 0.00% Held
972 Loews Corp $322535 0.00% +200 +7.55%
973 Ameren Corp $322263 0.00% -46 -1.59%
974 New Pac Metals Corp $321600 0.00% Held
975 Canadian Pacific Kansas City $320865 0.00% -139 -3.62%
976 Flex Ltd $318954 0.00% NEW BUY
977 Us Foods Hldg Corp $318611 0.00% -230 -6.87%
978 Ligand Pharmaceuticals Inc $318302 0.00% NEW BUY
979 Pimco Income Strategy Fd Ii $318147 0.00% -1567 -3.39%
980 Alamos Gold Inc $317812 0.00% Held
981 Barrick Mng Corp $313449 0.00% +501 +6.24%
982 Albertsons Companies Inc $312340 0.00% -111 -0.48%
983 Alexandria Real Estate Eq In $311233 0.00% -76 -1.27%
984 Spdr Series Trust $310477 0.00% Held
985 Texas Pacific Land Corporati $309539 0.00% Held
986 Spdr Series Trust $306670 0.00% -89763 -86.77%
987 Ishares Tr $305330 0.00% -23 -1.40%
988 Fedex Fght Hldg Co Inc $304869 0.00% NEW BUY
989 Sphere Entertainment Co $304533 0.00% Held
990 Ge Healthcare Technologies I $303285 0.00% -97 -2.01%
991 First Tr Exchange-Traded Fd $302796 0.00% -1961 -11.25%
992 Schwab Strategic Tr $301913 0.00% NEW BUY
993 Johnson Controls Internation $301601 0.00% -177 -7.90%
994 Vanguard Scottsdale Fds $300924 0.00% +4 +0.44%
995 Precigen Inc $300903 0.00% Held
996 First Tr Exch Traded Fd Iii $299690 0.00% -25547 -60.38%
997 Ishares Tr $298999 0.00% +25 +0.56%
998 Spdr Series Trust $296919 0.00% +14 +0.88%
999 Northern Lts Fd Tr Iv $296721 0.00% NEW BUY
1000 D-Wave Quantum Inc $294213 0.00% NEW BUY
1001 Rocket Lab Corp $292041 0.00% NEW BUY
1002 Avantor Inc $290179 0.00% NEW BUY
1003 Cal Maine Foods Inc $289892 0.00% +496 +15.99%
1004 Flowers Foods Inc $289207 0.00% +6420 +21.27%
1005 Pimco Etf Tr $288686 0.00% +31 +1.04%
1006 Raymond James Finl Inc $287731 0.00% -37 -1.92%
1007 Ishares Inc $287445 0.00% NEW BUY
1008 Spotify Technology S A $286497 0.00% +14 +2.30%
1009 Lloyds Banking Group Plc $283565 0.00% -4930 -9.20%
1010 Oneok Inc New $283482 0.00% +4 +0.12%
1011 Stifel Finl Corp $283127 0.00% -7775 -65.71%
1012 Solaris Energy Infras Inc $282978 0.00% NEW BUY
1013 Vanguard World Fd $282664 0.00% +2 +0.14%
1014 Global X Fds $282020 0.00% -5679 -59.73%
1015 Construction Partners Inc $281842 0.00% -135 -5.38%
1016 Dimensional Etf Trust $280377 0.00% NEW BUY
1017 Spdr Series Trust $278959 0.00% +2 +0.05%
1018 Ventas Inc $277938 0.00% -11 -0.35%
1019 Green Dot Corp $277752 0.00% Held
1020 Proshares Tr $276129 0.00% -16127 -73.78%
1021 Pimco Etf Tr $274700 0.00% Held
1022 Agnico Eagle Mines Ltd $270980 0.00% +185 +11.85%
1023 Ishares Tr $270422 0.00% -188 -2.98%
1024 Church & Dwight Co Inc $269959 0.00% -76 -2.66%
1025 Bel Fuse Inc $269762 0.00% NEW BUY
1026 Gatx Corp $269683 0.00% Held
1027 Stanley Black & Decker Inc $268940 0.00% -391 -12.04%
1028 Wd 40 Co $268248 0.00% Held
1029 Fidelity Covington Trust $267402 0.00% NEW BUY
1030 Invesco Exch Traded Fd Tr Ii $266811 0.00% +272 +2.46%
1031 First Tr Exchange-Traded Fd $266638 0.00% Held
1032 Rocket Cos Inc $266349 0.00% -2762 -14.04%
1033 Choice Hotels Intl Inc $264758 0.00% -63 -2.56%
1034 Vanguard Bd Index Fds $263951 0.00% -8 -0.21%
1035 Ishares Tr $263796 0.00% -487 -10.95%
1036 Ishares Tr $262519 0.00% +3 +0.21%
1037 Ishares Tr $262237 0.00% NEW BUY
1038 Cognizant Technology Solutio $262125 0.00% -3062 -31.15%
1039 Pacer Fds Tr $260882 0.00% NEW BUY
1040 Invesco Exch Trd Slf Idx Fd $260561 0.00% -166 -1.23%
1041 Ishares Tr $260459 0.00% +3 +0.10%
1042 Ppg Inds Inc $260455 0.00% -2 -0.09%
1043 Global X Fds $260082 0.00% NEW BUY
1044 Dte Energy Co $259645 0.00% +140 +8.95%
1045 Mastec Inc $259205 0.00% Held
1046 Ciena Corp $259015 0.00% NEW BUY
1047 Archrock Inc $257735 0.00% Held
1048 Sabine Rty Tr $256639 0.00% Held
1049 Clean Harbors Inc $256030 0.00% +2 +0.23%
1050 Oshkosh Corp $255391 0.00% -112 -6.31%
1051 Masco Corp $254932 0.00% -280 -8.20%
1052 Skyward Specialty Ins Group $254231 0.00% NEW BUY
1053 New York Life Invts Active E $253856 0.00% +66 +0.64%
1054 Fidelity Wise Origin Bitcoin $253259 0.00% +256 +5.44%
1055 J P Morgan Exchange Traded F $252414 0.00% +198 +4.14%
1056 Restaurant Brands Intl Inc $252189 0.00% Held
1057 Ishares Tr $251008 0.00% Held
1058 Talen Energy Corp $250538 0.00% Held
1059 Ishares Tr $249881 0.00% -46 -0.90%
1060 Vaneck Etf Trust $248066 0.00% Held
1061 Americold Realty Trust Inc $247740 0.00% +4845 +44.39%
1062 Carvana Co $246035 0.00% +2991 +400.40%
1063 Iren Limited $246028 0.00% NEW BUY
1064 Invesco Exchange Traded Fd T $242257 0.00% -122 -5.38%
1065 Firstenergy Corp $240980 0.00% Held
1066 Spdr Index Shs Fds $240727 0.00% -34 -0.65%
1067 Chart Inds Inc $237565 0.00% Held
1068 Healthpeak Properties Inc $237117 0.00% NEW BUY
1069 Ishares Tr $236077 0.00% -561 -8.09%
1070 Twilio Inc $236042 0.00% NEW BUY
1071 Ishares Ethereum Tr $235469 0.00% +2703 +15.81%
1072 Manitowoc Co Inc $234394 0.00% Held
1073 Vanguard Admiral Fds Inc $233860 0.00% +1 +0.05%
1074 Louisiana Pac Corp $233778 0.00% Held
1075 Vanguard Scottsdale Fds $233676 0.00% -339 -6.36%
1076 Spdr Series Trust $233214 0.00% +248 +11.42%
1077 Global X Fds $229052 0.00% NEW BUY
1078 Ishares Tr $228390 0.00% Held
1079 Columbus Mckinnon Corp N Y $228387 0.00% -8045 -34.77%
1080 Fortuna Mng Corp $228150 0.00% Held
1081 National Fuel Gas Co $227769 0.00% +699 +31.05%
1082 Ishares Tr $227754 0.00% Held
1083 Vanguard World Fd $227257 0.00% Held
1084 Schwab Strategic Tr $225246 0.00% NEW BUY
1085 Smurfit Westrock Plc $225055 0.00% NEW BUY
1086 Live Oak Bancshares Inc $224620 0.00% NEW BUY
1087 Wisdomtree Tr $224526 0.00% +37 +0.89%
1088 Gabelli Equity Tr Inc $223389 0.00% -300 -0.75%
1089 Wec Energy Group Inc $220404 0.00% -385 -16.95%
1090 Spdr Series Trust $219625 0.00% NEW BUY
1091 Invesco Exchange Traded Fd T $219488 0.00% -252 -2.59%
1092 Pgim Rock Etf Tr $217675 0.00% NEW BUY
1093 Watsco Inc $217533 0.00% NEW BUY
1094 Ppl Corp $217477 0.00% -232 -3.73%
1095 Ferguson Enterprises Inc $215021 0.00% NEW BUY
1096 Ishares Tr $214785 0.00% NEW BUY
1097 Tetra Tech Inc New $209741 0.00% -45 -0.62%
1098 Pacer Fds Tr $206200 0.00% NEW BUY
1099 Ast Spacemobile Inc $205267 0.00% NEW BUY
1100 Tyson Foods Inc $204604 0.00% NEW BUY
1101 Global X Fds $203710 0.00% NEW BUY
1102 Ishares Tr $203117 0.00% NEW BUY
1103 First Tr Exchange-Traded Fd $202906 0.00% NEW BUY
1104 Pan Amern Silver Corp $202047 0.00% Held
1105 Live Nation Entertainment In $201787 0.00% NEW BUY
1106 Nisource Inc $201279 0.00% -404 -8.71%
1107 Wesbanco Inc $201005 0.00% NEW BUY
1108 Schwab Strategic Tr $200953 0.00% NEW BUY
1109 Ebay Inc. $200175 0.00% NEW BUY
1110 Galectin Therapeutics Inc $193256 0.00% Held
1111 Invesco Exchange Traded Fd T $186867 0.00% Held
1112 Stoneco Ltd $176282 0.00% +2128 +15.06%
1113 Pimco High Income Fd $164941 0.00% Held
1114 Nuscale Pwr Corp $150711 0.00% -964 -6.03%
1115 Infosys Ltd $129289 0.00% -1428 -10.38%
1116 Rpc Inc $116600 0.00% Held
1117 Eaton Vance Sr Fltng Rte Tr $113441 0.00% Held
1118 Gabelli Util Tr $99351 0.00% Held
1119 Equinox Gold Corp $97200 0.00% Held
1120 Allot Ltd $88500 0.00% -2500 -20.00%
1121 Alpha Pro Tech Ltd $69688 0.00% -12600 -50.40%
1122 Upexi Inc $55459 0.00% Held
1123 Medical Properties Trust Inc $46200 0.00% Held
1124 Aquestive Therapeutics Inc $41600 0.00% NEW BUY
1125 Ocean Pwr Technologies Inc $34191 0.00% +30000 +29.85%
1126 Xbiotech Inc $27131 0.00% Held
1127 Flyexclusive Inc $26000 0.00% +2500 +23.81%
1128 Beeline Holdings Inc $13005 0.00% NEW BUY

Closed last quarter

Honeywell Intl Inc The Campbells Company Huron Consulting Group Inc Qualys Inc Dupont De Nemours Inc Procore Technologies Inc First Tr Exchange Traded Fd Cirrus Logic Inc Coterra Energy Inc Teledyne Technologies Inc Packaging Corp Amer First Solar Inc Dutch Bros Inc First Tr Exchange-Traded Fd Xp Inc Cubesmart Ishares Tr Carnival Corp Wendys Co Teradata Corp Del Six Flags Entertainment Corp Lululemon Athletica Inc Pgim Rock Etf Tr Goldman Sachs Etf Tr Avery Dennison Corp Globalstar Inc Siteone Landscape Supply Inc Ishares Inc Vail Resorts Inc Marine Prods Corp Reaves Util Income Fd Check Point Software Tech Lt Vanguard Intl Equity Index F Conagra Brands Inc Bgc Group Inc

Holdings disclosed quarterly to the SEC on Form 13-F and may be up to 45 days old. Values as reported. For research only — not investment advice.