Hancock Whitney Corp

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

$6001334668
Portfolio value
752
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Ishares Tr $290338663 4.84% +7409 +1.95%
2 Apple Inc $246193275 4.10% +4550 +0.54%
3 Nvidia Corporation $171124972 2.85% -591 -0.07%
4 Microsoft Corp $170034453 2.83% +270 +0.06%
5 Alphabet Inc $157914656 2.63% +525 +0.12%
6 Amazon Com Inc $112835400 1.88% -5451 -1.14%
7 Jpmorgan Chase & Co $108249340 1.80% -7536 -2.23%
8 Ishares Tr $106943330 1.78% -11022 -0.96%
9 Broadcom Inc $100683219 1.68% +36503 +15.87%
10 Exxon Mobil Corp $75139125 1.25% -16726 -2.95%
11 Ishares Tr $72730229 1.21% +32086 +3.52%
12 Applied Matls Inc $72259512 1.20% -5361 -5.09%
13 Ishares Inc $71710459 1.19% +59423 +9.26%
14 Hancock Whitney Corporation $68860906 1.15% -6053 -0.65%
15 Ishares Tr $68193480 1.14% -41719 -5.98%
16 Cummins Inc $62726820 1.05% -2502 -2.77%
17 Spdr Gold Tr $62574500 1.04% +1091 +0.65%
18 Meta Platforms Inc $61453249 1.02% -1110 -1.01%
19 Micron Technology Inc $59317808 0.99% +1010 +2.00%
20 Vanguard Whitehall Fds $57074114 0.95% -12333 -3.30%
21 Texas Instrs Inc $55492586 0.92% -12370 -6.23%
22 Johnson & Johnson $55392635 0.92% -4786 -2.15%
23 Amgen Inc $51839288 0.86% -2868 -1.96%
24 Lam Research Corp $48439361 0.81% -3759 -3.25%
25 Goldman Sachs Group Inc $47205695 0.79% -781 -1.65%
26 Palo Alto Networks Inc $46430555 0.77% -7725 -5.37%
27 Ishares Tr $45757673 0.76% -61426 -11.48%
28 Chevron Corporation $45154350 0.75% -5290 -1.90%
29 Pnc Finl Svcs Group Inc $43890931 0.73% -3770 -2.07%
30 Bank New York Mellon Corp $41595910 0.69% -20766 -6.73%
31 Waste Mgmt Inc Del $41319723 0.69% -4125 -2.18%
32 Flextronics Intl Ltd $39993852 0.67% -75740 -23.48%
33 Putnam Etf Trust $39829806 0.66% +21275 +2.80%
34 Ge Aerospace $38216508 0.64% +857 +0.85%
35 Merck & Co Inc $37397099 0.62% -8202 -2.74%
36 Prologis Inc. $37353414 0.62% -7790 -2.75%
37 Ishares Tr $36441695 0.61% -3659 -1.47%
38 General Dynamics Corp $35834209 0.60% -2197 -2.13%
39 Bank America Corp $35369994 0.59% -14962 -2.35%
40 Coca Cola Co $35042162 0.58% -11309 -2.56%
41 Verizon Communications Inc $34513577 0.58% -8965 -1.09%
42 Emcor Group Inc $34491472 0.57% -1224 -2.86%
43 Seagate Technology Hldngs Pl $34021075 0.57% -16797 -32.27%
44 Aflac Inc $33783830 0.56% -9361 -3.15%
45 Eli Lilly & Co $33407724 0.56% +8161 +41.44%
46 Allstate Corp $32797888 0.55% +36000 +35.35%
47 Union Pac Corp $31399136 0.52% -3093 -2.61%
48 L3harris Technologies Inc $31255569 0.52% -2791 -2.53%
49 Abbvie Inc $30689510 0.51% -3464 -2.76%
50 State Str Spdr S&P 500 Etf T $30204606 0.50% +626 +1.57%
51 Nextera Energy Inc $30151102 0.50% -4931 -1.42%
52 Medtronic Plc $29937213 0.50% -3869 -1.00%
53 International Business Machs $28887298 0.48% +5177 +5.31%
54 Ishares Tr $28610960 0.48% +16868 +6.20%
55 Franklin Resources Inc $28453269 0.47% -8746 -1.01%
56 Virtu Finl Inc $27825325 0.46% +41715 +9.81%
57 Procter & Gamble Co $27722733 0.46% -17176 -8.33%
58 Caseys Gen Stores Inc $27551395 0.46% -1449 -4.01%
59 Bristol-Myers Squibb Co $27409257 0.46% +1497 +0.32%
60 Fastenal Co $27308609 0.46% -10102 -1.75%
61 Dell Technologies Inc $27257485 0.45% -11209 -15.07%
62 Duke Energy Corp New $26332690 0.44% -3347 -1.58%
63 Mcdonalds Corp $25568623 0.43% -1672 -1.74%
64 American Express Co $25196920 0.42% +5197 +7.50%
65 Cf Industries Hold $24967571 0.42% +69596 +43.22%
66 Costco Wholesale Corporation $24516797 0.41% -88 -0.33%
67 Blackrock Inc $24383239 0.41% -803 -3.07%
68 Pepsico Inc $23554319 0.39% -1972 -1.12%
69 State Str Spdr S&P Midcap 40 $22638405 0.38% -66 -0.20%
70 Visa Inc $22605171 0.38% -52813 -44.49%
71 Ishares Tr $22492771 0.37% -11861 -2.73%
72 Tesla Inc $22185388 0.37% -615 -1.15%
73 Paychex Inc $22006254 0.37% -931 -0.41%
74 Wells Fargo & Co $21754154 0.36% -223 -0.08%
75 Snap On Inc $21412911 0.36% -520 -0.97%
76 Abbott Laboratories $20159434 0.34% -49 -0.02%
77 Walmart Inc $20073749 0.33% -572 -0.32%
78 Amphenol Corp $20054813 0.33% +34743 +43.98%
79 Kohls Corp $19725975 0.33% -43500 -3.76%
80 Tjx Cos Inc New $19339431 0.32% -1863 -1.44%
81 Capital One Finl Corp $18245787 0.30% +2805 +3.18%
82 Vistra Corp $18210407 0.30% -3471 -2.93%
83 Home Depot Inc $18116819 0.30% -1395 -2.64%
84 Exelixis Inc $17996434 0.30% +15134 +4.79%
85 Cabot Corp $17995347 0.30% -114811 -36.69%
86 Expedia Group Inc $17730948 0.30% +23 +0.03%
87 Ugi Corp New $17580101 0.29% +450078 +764.14%
88 Kla Corp $17249365 0.29% +51056 +834.79%
89 Alphabet Inc $16829107 0.28% -165 -0.35%
90 Tenet Healthcare Corp $16695768 0.28% +378 +0.43%
91 Netflix Inc. $16577796 0.28% -16098 -6.48%
92 Intuitive Surgical Inc $16241252 0.27% -91 -0.22%
93 Halozyme Therapeutics Inc $16096382 0.27% -27890 -11.94%
94 Cencora Inc $15973372 0.27% -765 -1.34%
95 Berkshire Hathaway Inc Del $15672214 0.26% -117 -0.37%
96 Associated Banc-Corp $15625559 0.26% +5842 +1.16%
97 Ishares Tr $15513436 0.26% +4292 +9.07%
98 Cvs Health Corp $15300565 0.25% -1197 -0.80%
99 Ryder Sys Inc $15280988 0.25% -2219 -3.69%
100 Uber Technologies Inc $15195670 0.25% -7787 -3.57%
101 Caci Intl Inc $15072164 0.25% +27104 +499.06%
102 T-Mobile Us Inc $14943736 0.25% -476 -0.53%
103 Toll Brothers Inc $14844140 0.25% +42638 +89.83%
104 Applovin Corp $14786071 0.25% +8688 +43.42%
105 First Horizon Corporation $14714898 0.25% +525359 +1082.21%
106 Jabil Inc $14500986 0.24% -397 -1.04%
107 Ishares Tr $14425660 0.24% -470 -0.45%
108 Quest Diagnostics Inc $14279708 0.24% -665 -0.98%
109 Corebridge Finl Inc $13856518 0.23% +420917 +667.39%
110 Nexstar Media Group Inc $13787149 0.23% -340 -0.44%
111 Ebay Inc. $13703010 0.23% -2432 -1.94%
112 Ishares Tr $13648953 0.23% -7169 -2.49%
113 Matador Res Co $13430495 0.22% +209000 +343.77%
114 Schwab Charles Corp $13206974 0.22% +1812 +1.28%
115 Post Hldgs Inc $13202725 0.22% +238 +0.16%
116 Lockheed Martin Corp $12921943 0.22% +810 +3.30%
117 Invesco Exchange Traded Fd T $12750455 0.21% -1643 -2.67%
118 Taiwan Semiconductor Manufac $12410612 0.21% -424 -1.61%
119 Msc Indl Direct Inc $12251969 0.20% -108 -0.10%
120 Ishares Tr $12100688 0.20% -399 -0.22%
121 Hanover Ins Group Inc $11961386 0.20% -952 -1.68%
122 Altria Group Inc $11945571 0.20% +63227 +61.51%
123 Schwab Strategic Tr $11914560 0.20% +10666 +4.50%
124 Valero Energy Corp $11834654 0.20% -545 -1.19%
125 Unum Group $11737773 0.20% +89101 +211.17%
126 Conocophillips $11586342 0.19% -1879 -1.66%
127 Prudential Finl Inc $11381434 0.19% +528 +0.50%
128 Mastercard Incorporated $11057808 0.18% -1470 -6.39%
129 Old Rep Intl Corp $10976790 0.18% +1011 +0.38%
130 Ishares Tr $10968261 0.18% -3 -0.01%
131 Dimensional Etf Trust $10941850 0.18% NEW BUY
132 Pimco Etf Tr $9847088 0.16% -21723 -5.53%
133 Polaris Inc $9826409 0.16% +784 +0.55%
134 Blackrock Etf Trust Ii $9817622 0.16% +2939 +1.51%
135 Schein Henry Inc $9726488 0.16% NEW BUY
136 Vanguard World Fd $9544748 0.16% +68825 +623.75%
137 Qualcomm Inc $9514097 0.16% +615 +1.21%
138 Equinix Inc $9415909 0.16% +6739 +293.77%
139 Vanguard World Fd $8837466 0.15% +8336 +14.17%
140 Crown Hldgs Inc $8830313 0.15% -9314 -10.55%
141 Ishares Tr $8664846 0.14% -9 -0.02%
142 Td Synnex Corporation $8433240 0.14% +24362 +339.16%
143 Arista Networks Inc $8316305 0.14% -1021 -2.04%
144 Ford Mtr Co $8294894 0.14% +1095 +0.18%
145 Spdr Series Trust $8155098 0.14% -337 -0.49%
146 Ishares Tr $7905461 0.13% +1886 +1.66%
147 Ishares Inc $7893575 0.13% +5540 +6.17%
148 Vanguard Index Fds $7885922 0.13% +707 +3.43%
149 Eversource Energy $7567970 0.13% NEW BUY
150 Select Sector Spdr Tr $7564608 0.13% -4597 -10.12%
151 Penske Automotive Grp Inc $7333908 0.12% +35352 +627.81%
152 Vanguard Index Fds $7297357 0.12% +2509 +30.91%
153 Digital Rlty Tr Inc $7013498 0.12% -149 -0.38%
154 Cincinnati Finl Corp $6903500 0.12% +633 +1.73%
155 Vanguard Bd Index Fds $6820523 0.11% +2219 +2.45%
156 United Parcel Svcs Inc $6759601 0.11% +7723 +14.00%
157 Select Sector Spdr Tr $6689899 0.11% -8261 -16.38%
158 Deere & Co $6673786 0.11% -145 -1.36%
159 Invesco Qqq Tr $6305057 0.11% -69 -0.80%
160 Vanguard Index Fds $6269783 0.10% +15346 +30.89%
161 Wintrust Finl Corp $6226936 0.10% +1114 +2.96%
162 Alcoa Corp $6214253 0.10% +1098 +0.93%
163 Ishares Tr $6202661 0.10% -5586 -6.41%
164 Ishares Tr $6195052 0.10% +6273 +2.62%
165 Ishares Tr $6164681 0.10% -531 -0.94%
166 Dillards Inc $6154508 0.10% +277 +2.44%
167 Ishares Tr $6151238 0.10% +3992 +1.37%
168 Carpenter Technology Corp $6100548 0.10% -47 -0.47%
169 Ishares Tr $6018307 0.10% +7470 +3.30%
170 Ishares Tr $5991406 0.10% -9228 -7.47%
171 Cisco Sys Inc $5913993 0.10% -14008 -21.77%
172 Advanced Micro Devices Inc $5887522 0.10% -891 -8.08%
173 Vanguard Intl Equity Index F $5830101 0.10% +649 +0.67%
174 Fedex Corp $5764724 0.10% -286 -1.53%
175 United Rentals Inc $5733556 0.10% -53 -1.04%
176 Franklin Templeton Etf Tr $5729498 0.10% +16633 +7.88%
177 Select Sector Spdr Tr $5599769 0.09% -2290 -4.58%
178 Ishares Tr $5505641 0.09% +20004 +10.45%
179 Smithfield Foods Inc $5422135 0.09% NEW BUY
180 Unitedhealth Group Inc $5414828 0.09% -337 -2.52%
181 Newmont Corp $5274671 0.09% NEW BUY
182 Ishares Tr $5245902 0.09% +1574 +0.70%
183 Ishares Tr $5241592 0.09% +2186 +0.92%
184 Ishares Tr $5171183 0.09% +23412 +128.40%
185 Quanta Svcs Inc $5166288 0.09% -50 -0.69%
186 Ishares Tr $5124892 0.09% +17 +0.01%
187 Fabrinet $5124483 0.09% -227 -2.43%
188 Interdigital Inc $5107099 0.09% +828 +4.81%
189 Ishares Tr $5071249 0.08% -128 -1.02%
190 Vanguard Scottsdale Fds $4937339 0.08% -2825 -3.22%
191 Ishares Inc $4928871 0.08% Held
192 Medpace Hldgs Inc $4798086 0.08% +126 +1.41%
193 Rtx Corporation $4796374 0.08% +72 +0.29%
194 Ishares Tr $4667969 0.08% +5 +0.00%
195 Travel Plus Leisure Co $4625392 0.08% -560 -0.92%
196 Gilead Sciences Inc $4608126 0.08% -963 -2.57%
197 Csx Corp $4601474 0.08% -1575 -1.60%
198 Ishares Tr $4576743 0.08% -103 -0.26%
199 Marathon Pete Corp $4562942 0.08% -477 -2.60%
200 Ishares Tr $4541456 0.08% +371 +0.89%
201 Sabra Health Care Reit Inc $4540152 0.08% -1611 -0.69%
202 Lowes Cos Inc $4536802 0.08% -737 -3.46%
203 Ishares Tr $4513392 0.08% -3418 -6.81%
204 Fortinet Inc $4476487 0.07% -1294 -4.25%
205 Oracle Corp $4467576 0.07% -226 -0.74%
206 Knight-Swift Transn Hldgs In $4444975 0.07% -258 -0.45%
207 Ishares Tr $4427216 0.07% +96 +0.49%
208 Ishares Tr $4402663 0.07% -4924 -2.64%
209 Rambus Inc Del $4340598 0.07% -682 -2.04%
210 Sherwin Williams Co $4298835 0.07% -869 -6.51%
211 Veeva Sys Inc $4287320 0.07% -53233 -68.78%
212 Travelers Companies Inc $4281656 0.07% -20 -0.15%
213 Phinia Inc $4256634 0.07% -836 -1.59%
214 Commercial Metals Co $4214227 0.07% -269 -0.40%
215 Alps Etf Tr $4204673 0.07% +8258 +11.34%
216 United Therapeutics Corp Del $4155836 0.07% -222 -2.81%
217 Carlisle Cos Inc $4125920 0.07% -108 -0.94%
218 Synchrony Financial $4014147 0.07% -1060 -1.97%
219 Comfort Sys Usa Inc $4005521 0.07% -849 -29.58%
220 Citigroup Inc $3990259 0.07% -2462 -7.95%
221 Select Sector Spdr Tr $3904871 0.07% -3666 -7.23%
222 Owens Corning New $3892454 0.06% +594 +2.49%
223 Wisdomtree Tr $3846355 0.06% -9 -0.01%
224 Ishares Tr $3844061 0.06% +45214 +43.11%
225 Northrop Grumman Corp $3833068 0.06% -184 -2.39%
226 Kkr & Co Inc $3819425 0.06% -626 -1.48%
227 Barclays Bank Plc $3788652 0.06% -100 -0.12%
228 Ishares Tr $3785139 0.06% -6 -0.02%
229 Invesco Ltd $3659766 0.06% -950 -0.68%
230 Progressive Corp $3650518 0.06% -5338 -24.21%
231 Us Foods Hldg Corp $3615458 0.06% +1232 +3.61%
232 Cloudflare Inc $3563183 0.06% -16 -0.11%
233 Boeing Co $3554870 0.06% -1603 -8.89%
234 Terex Corp New $3552249 0.06% -445 -0.90%
235 Elevance Health Inc Formerly $3482116 0.06% -49 -0.54%
236 Booking Holdings Inc $3464629 0.06% +13888 +250.23%
237 Ishares Tr $3462662 0.06% -6578 -13.52%
238 Analog Devices Inc $3395804 0.06% -917 -9.69%
239 Pfizer Inc $3380230 0.06% -4912 -3.38%
240 Cheniere Energy Inc $3310050 0.06% -39 -0.28%
241 Disney Walt Co $3304455 0.06% -219447 -86.47%
242 Lamar Advertising Co $3299445 0.05% -92 -0.43%
243 Cadence Design System Inc $3285927 0.05% +3611 +70.20%
244 Viatris Inc $3274298 0.05% -4437 -2.11%
245 Vanguard Mun Bd Fds $3271717 0.05% +1771 +2.81%
246 Vanguard Tax-Managed Fds $3264889 0.05% -289 -0.63%
247 Itt Inc $3234760 0.05% -250 -1.51%
248 Ishares U S Etf Tr $3220769 0.05% -7352 -6.48%
249 Ge Vernova Inc $3181520 0.05% +203 +8.10%
250 Corpay Inc $3117407 0.05% -18 -0.19%
251 Nxp Semiconductors N V $3080650 0.05% +1618 +17.32%
252 Caterpillar Inc $3062653 0.05% -63 -2.14%
253 Edwards Lifesciences Corp $3057367 0.05% -547 -1.59%
254 Select Sector Spdr Tr $3002959 0.05% -22192 -25.10%
255 Vanguard Index Fds $2963044 0.05% +22473 +188.45%
256 M & T Bk Corp $2960844 0.05% -41 -0.33%
257 Invesco Actvely Mngd Etc Fd $2957936 0.05% +2195 +1.19%
258 National Fuel Gas Co $2941238 0.05% -383 -1.00%
259 Pool Corp $2934674 0.05% -464 -3.29%
260 Vanguard World Fd $2926093 0.05% +3254 +25.72%
261 Hartford Insurance Group Inc $2923524 0.05% -44 -0.20%
262 Select Sector Spdr Tr $2920200 0.05% +3604 +7.01%
263 Ishares Tr $2917184 0.05% -12617 -40.33%
264 Ishares Tr $2899644 0.05% -8170 -10.45%
265 Cirrus Logic Inc $2844498 0.05% +72 +0.38%
266 Antero Midstream Corp $2838746 0.05% -2121 -1.67%
267 Emerson Elec Co $2813756 0.05% +11033 +127.95%
268 Pinnacle Finl Partners Inc $2753620 0.05% -29394 -51.85%
269 Northern Tr Corp $2748237 0.05% +7866 +99.03%
270 Iac Inc $2740381 0.05% +253 +0.43%
271 3m Co $2737574 0.05% -64 -0.38%
272 Amkor Technology Inc $2721505 0.05% +2 +0.01%
273 Raymond James Finl Inc $2697469 0.04% -398 -2.19%
274 Mckesson Corp $2688425 0.04% +12 +0.34%
275 Norfolk Southn Corp $2670240 0.04% -34 -0.40%
276 Atmos Energy Corp $2666912 0.04% -237 -1.51%
277 At&T Inc $2659474 0.04% +994 +0.78%
278 Monolithic Pwr Sys Inc $2655513 0.04% +514 +36.53%
279 Southern Co $2644562 0.04% -229656 -89.26%
280 Suncor Energy Inc New $2621034 0.04% -344 -0.70%
281 Delta Air Lines Inc $2599346 0.04% -3203 -10.35%
282 Carrier Global Corporation $2597910 0.04% -16045 -31.18%
283 Mueller Inds Inc $2591733 0.04% -2574 -10.88%
284 Ssga Active Etf Tr $2527020 0.04% -635 -1.31%
285 Tanger Inc $2521067 0.04% -20509 -24.30%
286 Sitime Corp $2511792 0.04% +2144 +175.02%
287 Sap Se $2507062 0.04% +5285 +48.12%
288 Enersys $2492053 0.04% -37 -0.35%
289 Mks Inc. $2477536 0.04% -29 -0.52%
290 Thermo Fisher Scientific Inc $2473209 0.04% -161 -3.16%
291 Marvell Technology Inc $2455209 0.04% -5507 -40.05%
292 J P Morgan Exchange Traded F $2442986 0.04% +2397 +5.87%
293 Clearway Energy Inc $2393933 0.04% -249488 -78.08%
294 Mondelez Intl Inc $2390123 0.04% -5244 -11.26%
295 Vanguard Intl Equity Index F $2354799 0.04% Held
296 Spx Technologies Inc $2338432 0.04% NEW BUY
297 Marsh & Mclennan Cos Inc $2337047 0.04% -2938 -17.32%
298 Diamondback Energy Inc $2328382 0.04% -509 -3.70%
299 Archer Daniels Midland Co $2317670 0.04% -1763 -5.49%
300 Invesco Exchange Traded Fd T $2313056 0.04% Held
301 Murphy Usa Inc $2306364 0.04% +3387 +379.28%
302 Tapestry Inc $2291433 0.04% +4666 +42.46%
303 Nrg Energy Inc $2284817 0.04% -9318 -37.33%
304 Reliance Inc $2281949 0.04% +2342 +62.19%
305 Ishares Tr $2268029 0.04% +11337 +66.59%
306 Renaissancere Hldgs Ltd $2257279 0.04% -44 -0.61%
307 Kenvue Inc $2215594 0.04% +45841 +65.40%
308 Eaton Corp Plc $2184290 0.04% -39 -0.76%
309 Lantheus Hldgs Inc $2181857 0.04% +98 +0.50%
310 Schwab Strategic Tr $2176072 0.04% -9218 -13.31%
311 Boyd Gaming Corp $2153309 0.04% -18 -0.07%
312 Ingersoll Rand Inc $2152237 0.04% -574 -2.14%
313 Coinbase Global Inc $2130281 0.04% +119 +0.82%
314 Amer Sports Inc $2112462 0.04% -417 -0.66%
315 Cardinal Health Inc $2079125 0.03% -252 -2.80%
316 Enova Intl Inc $2073890 0.03% -20 -0.23%
317 Phillips 66 $2073399 0.03% Held
318 Spotify Technology S A $2069299 0.03% +1027 +29.51%
319 Danaher Corp Del $2060232 0.03% +3083 +39.87%
320 Fidelity Covington Trust $2059435 0.03% Held
321 Ishares Tr $2036410 0.03% Held
322 Wesco Intl Inc $2021111 0.03% -26 -0.44%
323 Assured Guaranty Ltd $2019792 0.03% Held
324 Agco Corp $2014432 0.03% +10 +0.06%
325 Everpure Inc $1937761 0.03% -154 -0.62%
326 Morgan Stanley $1916897 0.03% -116 -1.25%
327 Applied Indl Technologies In $1905813 0.03% -64 -1.12%
328 Sysco Corp $1904705 0.03% -995 -4.18%
329 Vanguard Index Fds $1874300 0.03% +2919 +14.35%
330 Select Sector Spdr Tr $1858091 0.03% -3685 -9.16%
331 Ecolab Inc $1854986 0.03% -725 -9.82%
332 First Tr Exchange-Traded Fd $1849577 0.03% -5685 -11.79%
333 Colgate Palmolive Co $1845152 0.03% -87098 -81.23%
334 Automatic Data Processing In $1834150 0.03% +55 +0.68%
335 Webster Finl Corp $1827737 0.03% +32 +0.13%
336 Ishares Tr $1826182 0.03% +7039 +111.34%
337 Texas Cap Bancshares Inc $1812213 0.03% -6 -0.03%
338 Illumina Inc $1809994 0.03% -68 -0.66%
339 Timken Co $1796155 0.03% NEW BUY
340 Esab Corporation $1794474 0.03% -65 -0.36%
341 Sterling Infrastructure Inc $1786158 0.03% -836 -28.21%
342 Firstcash Holdings Inc $1781396 0.03% NEW BUY
343 Murphy Oil Corp $1767194 0.03% -581 -1.06%
344 Becton Dickinson & Co $1767080 0.03% -1030 -8.11%
345 Public Svc Enterprise Group $1764661 0.03% -245 -1.11%
346 Intel Corp $1756545 0.03% +17 +0.14%
347 Vanguard Scottsdale Fds $1754360 0.03% -5950 -16.67%
348 Astrazeneca Plc $1735971 0.03% +1285 +16.33%
349 Metlife Inc $1721221 0.03% -462 -2.22%
350 Philip Morris Intl Inc $1720816 0.03% -784 -7.61%
351 Truist Finl Corp $1716349 0.03% -1869 -5.15%
352 Vanguard Scottsdale Fds $1706084 0.03% Held
353 Autozone Inc $1700240 0.03% -302 -36.21%
354 Marriott Intl Inc New $1691744 0.03% +43 +0.95%
355 Fidelity Natl Finl Inc $1683047 0.03% -900 -2.46%
356 Epr Pptys $1664017 0.03% -49 -0.17%
357 Mitsubishi Ufj Financial Gro $1659264 0.03% -951 -1.13%
358 Ww Grainger Inc $1637921 0.03% -56 -4.44%
359 Wd 40 Co $1637748 0.03% -72 -1.06%
360 Spdr Series Trust $1626733 0.03% -1519 -4.29%
361 Jazz Pharmaceuticals Plc $1602209 0.03% +2228 +50.40%
362 International Bancshares Cor $1587659 0.03% -43 -0.21%
363 Schwab Strategic Tr $1585032 0.03% -4100 -8.05%
364 Ing Groep N.V. $1578100 0.03% -45 -0.09%
365 Voya Financial Inc $1566803 0.03% NEW BUY
366 Reynolds Consumer Prods Inc $1565409 0.03% +163 +0.28%
367 Texas Roadhouse Inc $1560139 0.03% -4061 -33.47%
368 Sensata Technologies Hldg Pl $1548256 0.03% NEW BUY
369 Oreilly Automotive Inc $1544810 0.03% -13972 -45.44%
370 Berkshire Hathaway Inc Del $1497700 0.02% Held
371 Brown & Brown Inc $1466725 0.02% Held
372 Leidos Holdings Inc $1465984 0.02% -105242 -88.08%
373 Ishares Tr $1459684 0.02% -3506 -20.76%
374 Umb Finl Corp $1457866 0.02% -51 -0.50%
375 Onemain Hldgs Inc $1442489 0.02% Held
376 Linde Plc $1437465 0.02% -81 -2.84%
377 American Elec Pwr Co Inc $1435547 0.02% -117 -1.10%
378 Jones Lang Lasalle Inc $1421431 0.02% -76 -1.63%
379 Kb Home $1417350 0.02% -150 -0.66%
380 Exelon Corp $1417155 0.02% +211 +0.70%
381 Public Storage Oper Co $1413933 0.02% -34 -0.76%
382 Jpmorgan Chase Finl Co Llc $1411503 0.02% -6080 -12.93%
383 State Str Spdr Dow Jones Ind $1410976 0.02% Held
384 Penguin Solutions Inc $1394251 0.02% +1591 +9.50%
385 Wp Carey Inc $1359501 0.02% Held
386 Intuit $1359288 0.02% -3618 -40.99%
387 Hci Group Inc $1359239 0.02% -23 -0.30%
388 Iridium Communications Inc $1356385 0.02% -100 -0.40%
389 Totalenergies Se $1341827 0.02% +410 +2.43%
390 Cme Group Inc $1330059 0.02% -56 -0.92%
391 Salesforce Inc $1324874 0.02% -25 -0.29%
392 Black Hills Corp $1324766 0.02% +32 +0.18%
393 Janus Henderson Group Plc $1317193 0.02% -158625 -86.22%
394 Ferguson Enterprises Inc $1311723 0.02% -90 -1.60%
395 Best Buy Inc $1308323 0.02% NEW BUY
396 The Cigna Group $1307551 0.02% -224 -4.51%
397 Dimensional Etf Trust $1298772 0.02% -206 -0.70%
398 Ciena Corp $1297041 0.02% -565 -17.61%
399 Renasant Corp $1287260 0.02% +9560 +46.18%
400 Myr Group Inc $1287030 0.02% -578 -18.35%
401 Spdr Index Shs Fds $1278394 0.02% +671 +2.72%
402 Healthequity Inc $1263035 0.02% -52 -0.37%
403 Ishares Tr $1253831 0.02% -312 -2.57%
404 J P Morgan Exchange Traded F $1248683 0.02% +4803 +30.96%
405 Genpact Limited $1243880 0.02% -387 -0.85%
406 Align Technology Inc $1230880 0.02% -35 -0.48%
407 Edison Intl $1228798 0.02% +124 +0.76%
408 Incyte Corp $1228369 0.02% NEW BUY
409 Mattel Inc $1219233 0.02% -434095 -83.17%
410 Five Below Inc $1188052 0.02% +9 +0.14%
411 Canadian Pacific Kansas City $1178440 0.02% +311 +2.34%
412 Autodesk Inc $1177602 0.02% -4212 -41.02%
413 Ezcorp Inc $1168777 0.02% -9178 -21.35%
414 C H Robinson Worldwide In $1168461 0.02% -1130 -15.41%
415 Fifth Third Bancorp $1164886 0.02% -526 -2.48%
416 American Intl Group Inc $1155140 0.02% -927 -5.64%
417 Freeport Mcmoran Inc $1154220 0.02% +198 +1.09%
418 Watsco Inc $1143924 0.02% +822 +42.75%
419 First Solar Inc $1131900 0.02% NEW BUY
420 Axos Financial Inc $1116090 0.02% +252 +2.25%
421 Gaming & Leisure P $1115432 0.02% -32 -0.13%
422 Semtech Corp $1113852 0.02% -4 -0.06%
423 Maplebear Inc $1109363 0.02% -100 -0.43%
424 Silgan Hldgs Inc $1108118 0.02% +1751 +7.91%
425 Aramark $1097658 0.02% NEW BUY
426 Koppers Holdings Inc $1096368 0.02% +6751 +38.21%
427 Interface Inc $1091902 0.02% NEW BUY
428 Kaiser Aluminium Corporation $1089268 0.02% +52 +0.94%
429 Permian Resources Corp $1082195 0.02% -489 -0.83%
430 Shell Plc $1069276 0.02% -919 -6.25%
431 Central Pac Finl Corp $1065245 0.02% +50 +0.18%
432 Avery Dennison Corp $1065016 0.02% NEW BUY
433 Nov Inc $1060004 0.02% -220 -0.38%
434 Tractor Supply Co $1044490 0.02% -250 -0.75%
435 Encompass Health Corp $1035969 0.02% -40 -0.39%
436 Clean Harbors Inc $1032182 0.02% -68 -1.93%
437 Bp Plc $1029501 0.02% -208 -0.74%
438 East West Bancorp Inc $1026265 0.02% +2855 +56.04%
439 Hca Healthcare Inc $1021902 0.02% -1728 -39.73%
440 Ishares Tr $1015517 0.02% +537 +9.51%
441 Corning Inc $994134 0.02% +10 +0.26%
442 Slb Limited $983356 0.02% -278 -1.30%
443 New York Life Investments Et $978720 0.02% -547 -2.00%
444 Enterprise Prods Partners L $952231 0.02% Held
445 Fair Isaac Corp $948656 0.02% -1013 -56.06%
446 Stifel Finl Corp $944826 0.02% +346 +2.62%
447 Allegiant Travel Co $942917 0.02% NEW BUY
448 Ishares Inc $938925 0.02% -9996 -25.55%
449 Old Dominion Freight Line In $938311 0.02% -2080 -32.44%
450 Monster Beverage Corp New $936401 0.02% -88 -0.90%
451 Keysight Technologies Inc $934337 0.02% -273 -9.28%
452 Ferrovial Se $930558 0.02% -1009 -6.92%
453 Hubbell Inc $926587 0.02% -73 -3.96%
454 National Storage Affiliates $920040 0.02% -685 -3.20%
455 American Wtr Wks Co Inc New $915929 0.02% -162894 -95.90%
456 Blackrock Etf Trust Ii $915008 0.02% +2474 +16.48%
457 Park Hotels & Resorts Inc $912157 0.02% NEW BUY
458 Sony Group Corp $901256 0.02% -2453 -5.18%
459 Spdr Index Shs Fds $900356 0.02% -5453 -31.04%
460 Cno Finl Group Inc $899338 0.01% -135 -0.76%
461 Accenture Plc Ireland $898084 0.01% -572 -7.34%
462 Ishares Gold Tr $890036 0.01% Held
463 Vanguard World Fd $877653 0.01% +52 +1.17%
464 Perdoceo Ed Corp $874016 0.01% +9281 +51.47%
465 Synopsys Inc $865375 0.01% -191 -8.96%
466 Servicenow Inc $859765 0.01% -12341 -58.76%
467 First Tr Exchange-Traded Fd $856800 0.01% Held
468 Sprouts Fmrs Mkt Inc $853158 0.01% -2373 -19.04%
469 Asml Hldg Nv $849490 0.01% -169 -28.36%
470 Ameris Bancorp $848534 0.01% -78 -0.82%
471 Pediatrix Medical Group Inc $837942 0.01% +9 +0.03%
472 Matson Inc $834855 0.01% -51 -1.16%
473 Federated Hermes Etf Trust $829883 0.01% +90 +0.41%
474 Coca Cola Cons Inc $824393 0.01% -424 -8.94%
475 Gap Inc $823508 0.01% -2183 -4.72%
476 Catalyst Pharmaceuticals Inc $818154 0.01% +102 +0.39%
477 Brady Corp $815614 0.01% -48 -0.54%
478 Schwab Strategic Tr $815111 0.01% -861 -3.55%
479 Taylor Morrison Home Corp $811738 0.01% -24 -0.21%
480 Boston Scientific Corp $805628 0.01% -1651 -8.04%
481 Powell Inds Inc $796653 0.01% -1167 -29.55%
482 Alibaba Group Hldg Ltd $777630 0.01% +301 +3.86%
483 Provident Finl Svcs Inc $777118 0.01% -77 -0.23%
484 Leggett & Platt Inc $776677 0.01% +9536 +16.79%
485 Lincoln Elec Hldgs Inc $767058 0.01% -4 -0.14%
486 Alcon Ag $762190 0.01% +154 +1.37%
487 Ingredion Inc $760427 0.01% +4 +0.05%
488 Simmons First Natl Corp $754449 0.01% +16 +0.05%
489 Motorola Solutions Inc $751675 0.01% -185 -9.27%
490 Johnson Controls Internation $739609 0.01% -105 -2.03%
491 Vanguard Specialized Funds $730919 0.01% +1009 +48.51%
492 Hilton Worldwide Hldgs Inc $728664 0.01% -299 -11.94%
493 Ishares Tr $725169 0.01% +200 +4.21%
494 Vaneck Etf Trust $724089 0.01% -3080 -9.81%
495 Horizon Bancorp Ind $723496 0.01% Held
496 Banner Corp $721406 0.01% -42 -0.39%
497 United Fire Group Inc $720579 0.01% +160 +1.18%
498 Essent Group Ltd $719294 0.01% -12 -0.11%
499 Oneok Inc New $714474 0.01% -100 -1.20%
500 Allient Inc $711864 0.01% +279 +4.20%
501 Dimensional Etf Trust $711407 0.01% Held
502 Regions Financial Corp New $708945 0.01% -642 -2.66%
503 Universal Corp Va Mtns Bk En $706852 0.01% +1558 +12.99%
504 Silicon Laboratories Inc $701140 0.01% NEW BUY
505 Dorian Lpg Ltd $699843 0.01% -341 -1.67%
506 Digi Intl Inc $697559 0.01% -196 -2.06%
507 Xenia Hotels & Resorts Inc $696170 0.01% +210 +0.62%
508 Mueller Wtr Prods Inc $693949 0.01% NEW BUY
509 Rayonier Inc $685344 0.01% +80 +0.25%
510 Ameriprise Finl Inc $682634 0.01% Held
511 Chubb Ltd Switz $677731 0.01% -196 -8.97%
512 Starbucks Corp $676294 0.01% -295 -4.27%
513 Hewlett Packard Enterprise C $669207 0.01% -5849 -28.28%
514 Qnity Electronics Inc $667123 0.01% -120 -2.85%
515 Vanguard Index Fds $666561 0.01% Held
516 Urban Outfitters Inc $665021 0.01% -102 -1.08%
517 Global Pmts Inc $660005 0.01% -15 -0.16%
518 Nomad Foods Ltd $655861 0.01% -384 -0.64%
519 Bread Financial Holdings Inc $650750 0.01% -1083 -15.28%
520 Evercore Inc $643273 0.01% -5400 -74.14%
521 Schwab Strategic Tr $640764 0.01% +5538 +37.75%
522 Vertex Pharmaceuticals Inc $633828 0.01% -65 -4.85%
523 Unilever Plc $633724 0.01% -1562 -12.91%
524 Omnicom Group Inc $624736 0.01% -379 -4.23%
525 S&P Global Inc $623515 0.01% -61 -3.83%
526 Prog Holdings Inc $622617 0.01% NEW BUY
527 Corteva Inc $619676 0.01% -166 -2.22%
528 Vanguard Star Fds $616041 0.01% Held
529 Vertiv Holdings Co $614730 0.01% -68 -3.57%
530 Digitalocean Hldgs Inc $612731 0.01% -1594 -29.00%
531 Mccormick & Co Inc $611040 0.01% -99 -0.81%
532 Carlyle Credit Income Fund $606398 0.01% Held
533 Minerals Technologies Inc $605518 0.01% -119 -1.43%
534 Pegasystems Inc $601288 0.01% +119 +0.60%
535 Cargurus Inc $601008 0.01% -167 -0.94%
536 Crescent Energy Company $599433 0.01% -2082 -3.30%
537 Weyerhaeuser Co $598357 0.01% -68 -0.27%
538 Sandisk Corp $595718 0.01% Held
539 First Tr Exchange Traded Fd $594975 0.01% Held
540 Lumen Technologies Inc $594072 0.01% +18388 +31.18%
541 Entergy Corp New $591644 0.01% Held
542 Western Digital Corp $583790 0.01% Held
543 Energy Transfer L P $583447 0.01% +315 +1.04%
544 Aon Plc $582779 0.01% -195 -9.99%
545 Cushman And Wakefield Ltd $582666 0.01% +3277 +8.14%
546 Curbline Pptys Corp $575289 0.01% NEW BUY
547 Ofg Bancorp $573089 0.01% -15560 -57.12%
548 Comcast Corp New $562636 0.01% -2300 -9.12%
549 Williams Cos Inc $561267 0.01% +21 +0.28%
550 Green Brick Partners Inc $556998 0.01% -54 -0.77%
551 Belden Inc $548828 0.01% +12 +0.26%
552 Ishares Tr $546412 0.01% Held
553 Royal Gold Inc $546333 0.01% Held
554 Stellar Bancorp Inc $546037 0.01% -15689 -53.05%
555 Seacoast Bkg Corp Fla $545300 0.01% -23 -0.14%
556 Sally Beauty Hldgs Inc $543909 0.01% +9500 +32.80%
557 Deckers Outdoor Corp $542917 0.01% -263 -4.59%
558 Acushnet Hldgs Corp $539430 0.01% -252 -5.25%
559 Iron Mtn Inc Del $530755 0.01% Held
560 Ufp Technologies Inc $522041 0.01% -11 -0.56%
561 Reinsurance Group Amer Inc $518441 0.01% -635 -20.66%
562 Millrose Pptys Inc $518062 0.01% NEW BUY
563 Wisdomtree Tr $517878 0.01% Held
564 Mercury Genl Corp New $517320 0.01% -114 -2.30%
565 Hunt J B Trans Svcs Inc $508528 0.01% Held
566 Invesco Exchange Traded Fd T $508524 0.01% Held
567 Quanex Bldg Prods Corp $506036 0.01% -370 -1.34%
568 Nucor Corp $504529 0.01% -4 -0.18%
569 Ishares Tr $503676 0.01% Held
570 Cognizant Technology Solutio $499347 0.01% -362808 -96.57%
571 Bwx Technologies Inc $499278 0.01% Held
572 Zoetis Inc $496913 0.01% -323 -4.46%
573 Docusign Inc $495771 0.01% +66 +0.59%
574 Viavi Solutions Inc $494833 0.01% -6158 -37.27%
575 Regeneron Pharmaceuticals $493844 0.01% Held
576 Academy Sports & Outdoors In $492226 0.01% +17 +0.16%
577 Oshkosh Corp $492211 0.01% -42 -1.29%
578 Ltc Pptys Inc $488276 0.01% -182 -1.41%
579 Kimberly-Clark Corp $484416 0.01% -71 -1.58%
580 Adeia Inc $483084 0.01% +608 +4.32%
581 Chord Energy Corporation $482918 0.01% +2069 +95.96%
582 Principal Financial Group In $482423 0.01% -54 -1.19%
583 Borgwarner Inc $482330 0.01% NEW BUY
584 Suncoke Energy Inc $480593 0.01% -1352 -2.21%
585 Landstar Sys Inc $478145 0.01% Held
586 Helix Energy Solutions Grp I $477055 0.01% NEW BUY
587 Hilltop Hldgs Inc $476761 0.01% NEW BUY
588 Dover Corp $475025 0.01% -12 -0.56%
589 Ishares Tr $470932 0.01% Held
590 Genworth Finl Inc $470423 0.01% -845 -1.67%
591 Schwab Strategic Tr $465305 0.01% Held
592 Hancock John Prem Divid Fd $465164 0.01% Held
593 Dimensional Etf Trust $464437 0.01% NEW BUY
594 Kanzhun Limited $462458 0.01% +1253 +3.61%
595 Select Sector Spdr Tr $455534 0.01% -390 -14.02%
596 Home Bancshares Inc $455458 0.01% Held
597 Ultra Clean Hldgs Inc $453009 0.01% -3158 -49.85%
598 Illinois Tool Wks Inc $452767 0.01% -59 -3.40%
599 Standard Mtr Prods Inc $451078 0.01% -173 -1.47%
600 Wisdomtree Tr $445568 0.01% -646 -5.57%
601 Brinker Intl Inc $442008 0.01% +1093 +71.07%
602 Cboe Global Mkts Inc $439232 0.01% -145 -7.42%
603 Keycorp $438780 0.01% Held
604 Covista Inc $434689 0.01% Held
605 Talos Energy Inc $427192 0.01% +7316 +28.39%
606 Ulta Beauty Inc $426176 0.01% -3 -0.32%
607 Elastic N V $422575 0.01% +98 +1.34%
608 Ishares Tr $421806 0.01% +94 +0.83%
609 Vanguard Scottsdale Fds $421467 0.01% Held
610 Varex Imaging Corp $420569 0.01% +13070 +47.96%
611 Spdr Series Trust $416897 0.01% +139 +3.32%
612 Ishares Tr $411016 0.01% Held
613 Archrock Inc $410723 0.01% -306 -2.94%
614 Builders Firstsource Inc $410445 0.01% -10212 -69.00%
615 Customers Bancorp Inc $410133 0.01% NEW BUY
616 Stepan Co $405920 0.01% -39 -0.53%
617 Pricesmart Inc $403181 0.01% -41 -1.95%
618 Regional Mgmt Corp $401041 0.01% +215 +2.26%
619 Peoples Finl Svcs Corp $398817 0.01% Held
620 Mplx Lp $396451 0.01% Held
621 Neogen Corp $394310 0.01% NEW BUY
622 Unitil Corp $393489 0.01% NEW BUY
623 Electronic Arts Inc $391011 0.01% -400 -17.34%
624 Transmedics Group Inc $387959 0.01% NEW BUY
625 Nasdaq Inc $387322 0.01% +88 +1.82%
626 Alaska Air Group Inc $376988 0.01% +88 +1.23%
627 Amentum Holdings Inc $376938 0.01% NEW BUY
628 Life Time Group Holdings Inc $376790 0.01% NEW BUY
629 Whitestone Reit $373057 0.01% -315 -1.58%
630 Biogen Inc $372919 0.01% -9 -0.52%
631 Hawkins Inc $371876 0.01% -746 -22.18%
632 Realty Income Corp $371140 0.01% +35 +0.59%
633 Everest Group Ltd $369733 0.01% -68 -6.17%
634 Healthcare Svcs Group Inc $366361 0.01% NEW BUY
635 Ishares Tr $365643 0.01% -9553 -69.30%
636 Helen Of Troy Ltd $361311 0.01% -215 -1.70%
637 Xpo Inc $361106 0.01% -268 -13.22%
638 Parker-Hannifin Corp $354080 0.01% +6 +1.69%
639 Stryker Corporation $350417 0.01% -383 -25.60%
640 Wisdomtree Tr $346946 0.01% Held
641 Flexshares Tr $345601 0.01% Held
642 Corsair Gaming Inc $345113 0.01% NEW BUY
643 Lattice Semiconductor Corp $344160 0.01% Held
644 Trane Technologies Plc $341357 0.01% -10 -1.42%
645 Diageo Plc $336873 0.01% +117 +2.87%
646 Stride Inc $336336 0.01% +123 +3.26%
647 Astec Inds Inc $333608 0.01% +118 +2.21%
648 Crocs Inc $331398 0.01% -1858 -40.35%
649 Azz Inc $330722 0.01% +52 +2.50%
650 Dimensional Etf Trust $330258 0.01% -180 -2.07%
651 State Str Corp $323596 0.01% -287 -13.08%
652 Interparfums Inc $321150 0.01% -36 -1.24%
653 Schwab Strategic Tr $318091 0.01% Held
654 Quinstreet Inc $317422 0.01% -282 -1.28%
655 J P Morgan Exchange Traded F $316514 0.01% -2 -0.05%
656 Harmony Biosciences Hldgs In $315929 0.01% -8146 -48.42%
657 Devon Energy Corp New $315271 0.01% +2192 +40.31%
658 Ishares Tr $315168 0.01% Held
659 Warner Bros Discovery Inc $313229 0.01% Held
660 Encore Cap Group Inc $312428 0.01% NEW BUY
661 Dimensional Etf Trust $312099 0.01% Held
662 Northwest Bancshares Inc $310977 0.01% +485 +2.42%
663 Onto Innovation Inc $308815 0.01% -1869 -69.61%
664 Curtiss Wright Corp $306892 0.01% Held
665 Consolidated Edison Inc $305892 0.01% Held
666 Spdr Series Trust $305774 0.01% -165 -3.18%
667 Scansource Inc $305508 0.01% +708 +13.73%
668 Ishares Tr $304043 0.01% NEW BUY
669 Photronics Inc $300674 0.01% +313 +3.51%
670 Pebblebrook Hotel Tr $300428 0.01% NEW BUY
671 Dimensional Etf Trust $296329 0.00% Held
672 Eplus Inc $296049 0.00% NEW BUY
673 Eaton Vance Tax Advt Div Inc $295152 0.00% Held
674 Targa Res Corp $294686 0.00% -4 -0.36%
675 Solstice Advanced Matls Inc $293000 0.00% -275 -7.68%
676 Target Corp $292044 0.00% -394 -14.98%
677 Ani Pharmaceuticals Inc $291634 0.00% NEW BUY
678 Blackstone Inc $288410 0.00% +526 +27.32%
679 Air Products And Chemicals I $287609 0.00% -90 -8.40%
680 Caretrust Reit Inc $283822 0.00% +168 +2.45%
681 Us Bancorp $282008 0.00% -818 -14.91%
682 Arlo Technologies Inc $280371 0.00% NEW BUY
683 Otis Worldwide Corp $279240 0.00% -38 -0.96%
684 Ametek Inc $278957 0.00% -169 -12.78%
685 Loews Corp $276572 0.00% -60 -2.40%
686 Nike Inc $275815 0.00% -1091 -13.97%
687 Netscout Sys Inc $274235 0.00% -186 -2.87%
688 Plains All Amern Pipeline L $274021 0.00% Held
689 Diodes Inc $273272 0.00% +60 +2.46%
690 Innoviva Inc $271771 0.00% NEW BUY
691 Yum Brands Inc $271602 0.00% Held
692 Kinder Morgan Inc Del $270530 0.00% +140 +1.68%
693 Adobe Inc $265911 0.00% -272 -17.34%
694 General Mtrs Co $264769 0.00% -724 -17.41%
695 Welltower Inc $261470 0.00% +89 +8.37%
696 Village Super Mkt Inc $260377 0.00% +133 +2.20%
697 Technipfmc Plc $259697 0.00% Held
698 Beacon Financial Corp. $259647 0.00% NEW BUY
699 Pulte Group Inc $259326 0.00% -85 -4.30%
700 Commerce Bancshares Inc $259298 0.00% Held
701 Equifax Inc $258396 0.00% -19 -1.15%
702 Greenbrier Cos Inc $257596 0.00% +134 +2.62%
703 Pathward Financial Inc $257089 0.00% NEW BUY
704 Spdr Series Trust $256719 0.00% -925 -27.98%
705 Patrick Inds Inc $256412 0.00% +62 +2.22%
706 California Res Corp $253670 0.00% +109 +2.32%
707 Ishares Tr $252229 0.00% NEW BUY
708 Spdr Series Trust $250225 0.00% -15274 -60.44%
709 Ishares Tr $249683 0.00% -3081 -68.79%
710 Range Res Corp $249247 0.00% Held
711 Artivion Inc $249148 0.00% NEW BUY
712 Eog Res Inc $248433 0.00% -254 -11.71%
713 Waters Corp $248276 0.00% -8 -1.19%
714 Affiliated Managers Group $247032 0.00% -33 -4.33%
715 Adapthealth Corp $245224 0.00% +473 +2.05%
716 Etsy Inc $245199 0.00% NEW BUY
717 Mid-Amer Apt Cmntys Inc $240227 0.00% -2307 -57.16%
718 Vanguard Index Fds $239534 0.00% Held
719 Capital Group Intl Focus Eqt $237562 0.00% Held
720 Vanguard Bd Index Fds $237469 0.00% NEW BUY
721 Royal Caribbean Group $237195 0.00% NEW BUY
722 Banco Santander Sa $236145 0.00% -7312 -29.94%
723 Donaldson Inc $235826 0.00% -17888 -87.19%
724 Dimensional Etf Trust $235389 0.00% Held
725 Brookfield Infrastructure Pa $233864 0.00% Held
726 Agilent Technologies Inc $231257 0.00% -284 -14.02%
727 Osi Systems Inc $230073 0.00% -5 -0.47%
728 Matthews Intl Corp $228309 0.00% NEW BUY
729 Crowdstrike Hldgs Inc $228179 0.00% NEW BUY
730 Vaneck Etf Trust $226283 0.00% Held
731 First Tr Exchange-Traded Fd $223440 0.00% NEW BUY
732 Firstenergy Corp $222725 0.00% -522 -10.02%
733 Worthington Stl Inc $218135 0.00% +121 +1.90%
734 Sonoco Prods Co $216384 0.00% NEW BUY
735 Ally Finl Inc $214541 0.00% Held
736 Ss&C Tech Hldgs $213452 0.00% +5 +0.15%
737 Microchip Technology Inc. $213043 0.00% -214 -8.39%
738 Spdr Series Trust $211936 0.00% NEW BUY
739 Sonos Inc $209972 0.00% -149 -0.95%
740 Getty Rlty Corp New $209601 0.00% NEW BUY
741 Enbridge Inc $209088 0.00% -100 -2.53%
742 Paccar Inc $205405 0.00% -509 -22.94%
743 Chipotle Mexican Grill Inc $205326 0.00% -1373 -18.52%
744 Spdr Series Trust $203580 0.00% NEW BUY
745 Vanguard Index Fds $203329 0.00% NEW BUY
746 American Tower Corp $201355 0.00% -49 -3.83%
747 Dauch Corp $148665 0.00% +273 +1.01%
748 Haleon Plc $114376 0.00% -1146 -8.55%
749 Blackstone Mortgage Trust In $49750 0.00% Held
750 Standard Lithium Ltd $38308 0.00% Held
751 Tuhura Biosciences Inc $24867 0.00% Held
752 Dyadic Intl Inc Del $9955 0.00% Held

Closed last quarter

Honeywell Intl Inc Dupont De Nemours Inc First Ctzns Bancshares Inc D Spdr Series Trust Csg Sys Intl Inc Patterson-Uti Energy Inc Xcel Energy Inc Spdr Series Trust Adt Inc Del Allegion Plc Qualys Inc Boot Barn Hldgs Inc Sun Ctry Airls Hldgs Inc Nmi Hldgs Inc Mdu Res Group Inc Fox Corp Corcept Therapeutics Inc Canadian Natl Ry Co Hni Corp Gen Digital Inc Molson Coors Beverage Co Thor Inds Inc Masterbrand Inc Enerpac Tool Group Corp Louisiana Pac Corp Merit Med Sys Inc Ufp Industries Inc Tri Pointe Homes Inc Invesco Exch Traded Fd Tr Ii Shake Shack Inc Ishares Tr Dow Hldgs Inc Ishares Tr The Campbells Company Eqt Corp Servisfirst Bancshares Inc Agnico Eagle Mines Ltd First Tr Exchange Trad Fd Vi Palantir Technologies Inc Itron Inc Ferrari N V Relx Plc Moodys Corp Aercap Holdings Nv Halliburton Co Baker Hughes Company Shopify Inc Crh Plc Eastgroup Pptys Inc Intercontinental Exchange In Te Connectivity Plc Calix Inc Dte Energy Co Clorox Co Del

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.