Atlantic Union Bankshares Corp

Holdings as of Dec 31, 2025 · filed Feb 4, 2026

$5332485886
Portfolio value
1688
Positions
Source: SEC 13-F ↗
Original filing
# Holding Value % Port. Δ Shares Change (QoQ)
1 Apple Inc $234760706 4.40% -12199 -1.39%
2 Nvidia Corp $232872699 4.37% -15157 -1.20%
3 Microsoft Corp $220380893 4.13% -2446 -0.53%
4 Ishares S&P 500 Index Fund $173972325 3.26% -5678 -2.19%
5 Ishares S&P Midcap 400 Index $161576839 3.03% -32334 -1.30%
6 Ishares Top 200 Growth Etf $139857747 2.62% +3895 +0.78%
7 Alphabet Inc $110056205 2.06% -3808 -1.07%
8 Ishares S&P Smallcap 600 Index Fund $106603185 2.00% -6621 -0.74%
9 Amazon Com Inc $103478588 1.94% +4187 +0.94%
10 J P Morgan Chase & Co $95934687 1.80% -4742 -1.57%
11 Ishares Russell Midcap Index Fund $85797174 1.61% +13680 +1.56%
12 Alphabet Inc $84613945 1.59% -7642 -2.75%
13 Spdr S&P 500 Etf Tr $80312145 1.51% -2740 -2.27%
14 Berkshire Hathaway Inc B $74245474 1.39% -547 -0.37%
15 Broadcom Inc $66062141 1.24% +135 +0.07%
16 Meta Platforms Inc $61244748 1.15% +2232 +2.46%
17 Ishares Tr $58756552 1.10% +24318 +1.92%
18 J P Morgan Exchange Traded F $58229802 1.09% +57509 +5.99%
19 Midcap 400 Spdr Trust Series 1 $52220779 0.98% -3437 -3.82%
20 Mastercard Incorporated $42598961 0.80% -426 -0.57%
21 Raytheon Technologies Corp $42320946 0.79% -4195 -1.79%
22 Goldman Sachs Group Inc $41553148 0.78% +212 +0.45%
23 Eli Lilly & Co $41383105 0.78% -50 -0.13%
24 Invesco Bulletshares 2030 Corporate Bond Etf $40489881 0.76% +188987 +8.57%
25 Visa Inc $40098732 0.75% -878 -0.76%
26 Invesco Bulletshares 2032 Corporate Bond Etf $39986525 0.75% +161493 +9.21%
27 Home Depot Inc $37036048 0.69% +194 +0.18%
28 Ishares Core S&P Value Etf $37009063 0.69% -2499 -0.69%
29 Invesco Bulletshares 2031 Corporate Bond Etf $36780206 0.69% +245251 +12.53%
30 Johnson & Johnson $35048170 0.66% -4291 -2.47%
31 Ishares Core S&P Us Growth $34371730 0.64% -8089 -3.80%
32 Palo Alto Networks Inc $33257311 0.62% +539 +0.30%
33 Ishares Ibonds Dec 2034 Term Treasury Etf $32855313 0.62% +313063 +32.61%
34 Lowe's Companies, Inc $32711568 0.61% -1036 -0.76%
35 Walmart Inc $32538388 0.61% -441 -0.15%
36 Ishares Ibonds Dec 2033 Term Treasury Etf $32484205 0.61% +259627 +24.42%
37 Vanguard Msci Eafe Etf $32460209 0.61% +6702 +1.31%
38 Tjx Companies, Inc. $32105259 0.60% -1543 -0.73%
39 Vanguard Scottsdale Fds $31276342 0.59% +28747 +12.60%
40 Costco Wholesale Corporation $30666997 0.58% +237 +0.67%
41 Abbvie Inc $29878417 0.56% -2663 -2.00%
42 Ishares Ibonds Dec 2044 Term Treasury Etf $29221832 0.55% +333931 +39.35%
43 Atlantic Un Bankshares Corp $29206983 0.55% -8838 -1.06%
44 Exxon Mobil Corp $28893577 0.54% +1007 +0.42%
45 American Express Co $28152186 0.53% -1182 -1.53%
46 Qualcomm Inc $26106772 0.49% +265 +0.17%
47 Invesco Exchange Traded Fd T $25709423 0.48% +25317 +11.22%
48 Mc Donalds Corp $25693772 0.48% -853 -1.00%
49 Booking Holdings Inc $25409281 0.48% -25 -0.52%
50 Thermo Fisher Scientific Inc $24155886 0.45% -991 -2.32%
51 Kla Corp $23636951 0.44% -781 -3.86%
52 Capital One Financial Corp $23540922 0.44% -305 -0.31%
53 Cisco Sys Inc $23341059 0.44% -2597 -0.85%
54 Oracle Corp $23243671 0.44% -7646 -6.03%
55 Vanguard Growth Etf $22993701 0.43% +3187 +7.25%
56 Abbott Laboratories $22721634 0.43% -4252 -2.29%
57 Invesco Bulletshares 2027 Corporate Bond Etf $21946024 0.41% +76872 +7.43%
58 Eaton Corp Plc $21815388 0.41% -301 -0.44%
59 Gilead Sciences Inc $21702151 0.41% +169 +0.10%
60 Nextera Energy Inc $21284910 0.40% -7289 -2.68%
61 Ishares S&P Midcap 400 Growth Index Fund $20388211 0.38% -17771 -7.79%
62 Merck & Co Inc $20371770 0.38% -1358 -0.70%
63 Philip Morris International Inc $18579918 0.35% +1264 +1.10%
64 Blackrock Inc $18072252 0.34% -154 -0.90%
65 Chevron Corp New $17937019 0.34% -3015 -2.50%
66 Invesco Bulletshares 2029 Corporate Bond Etf $17798306 0.33% +89832 +10.51%
67 Lockheed Martin Corp $17515915 0.33% -799 -2.16%
68 Dimensional Etf Trust $17456262 0.33% -10255 -3.38%
69 Citigroup Inc $17283890 0.32% +1481 +1.01%
70 Wells Fargo Co New $17148306 0.32% -268 -0.15%
71 Danaher Corp $16358234 0.31% -2557 -3.45%
72 Pepsico Inc $16261420 0.30% -2328 -2.01%
73 Taiwan Semiconductor Manufacturing Co Ltd $16173938 0.30% -776 -1.44%
74 Blackstone Inc $16107634 0.30% +1493 +1.45%
75 Accenture Plc Cl A $15631964 0.29% -2970 -4.85%
76 Tesla Inc $15559035 0.29% +1428 +4.31%
77 J P Morgan Exchange Traded F $15504716 0.29% +9612 +3.24%
78 Wisdomtree Tr $15074528 0.28% -48431 -14.22%
79 Dimensional Etf Trust $14239795 0.27% -5099 -1.64%
80 Schwab Charles Corp $14234709 0.27% -8792 -5.81%
81 Ishares Msci Acwi Ex Us Etf $13939948 0.26% +9583 +4.84%
82 Norfolk Southern Corporation $13656620 0.26% +2170 +4.81%
83 Adobe Inc $13587663 0.25% -2920 -7.00%
84 Netflix Inc $13478376 0.25% +130681 +999.63%
85 Caterpillar Inc $13426411 0.25% -471 -1.97%
86 Intuitive Surgical Inc $13353071 0.25% +818 +3.59%
87 Bristol-Myers Squibb Co $13252411 0.25% -3230 -1.30%
88 Invesco Bulletshares 2026 Corporate Bond Etf $12901788 0.24% +44739 +7.28%
89 Ishares Dow Jones Us Technology Sector Index $12797620 0.24% -326 -0.51%
90 Procter & Gamble Co $12553405 0.24% -2519 -2.80%
91 D R Horton Inc $12543337 0.24% -2008 -2.25%
92 Verizon Communications $12475409 0.23% -1943 -0.63%
93 S&P Global Inc $12146286 0.23% +310 +1.35%
94 Automatic Data Processing In $11988729 0.22% -1367 -2.85%
95 First Tr Exchange Traded Fd $11988388 0.22% +28517 +19.80%
96 Boeing Co $11907149 0.22% -159 -0.29%
97 Marriott International, Inc Cl A $11803927 0.22% -2000 -4.99%
98 Altria Group Inc $11801383 0.22% -4157 -1.99%
99 Waste Management Inc $11486887 0.22% +1917 +3.81%
100 Honeywell International, Inc $11485560 0.22% -1113 -1.86%
101 Spdr Gold Tr $11362208 0.21% -771 -2.62%
102 Asml Holding N V $11258138 0.21% -410 -3.75%
103 Vanguard Intl Equity Index F $11106818 0.21% +1679 +0.82%
104 Ishares Tr $11064954 0.21% +136 +0.46%
105 Union Pac Corp $11045604 0.21% +220 +0.46%
106 Disney Walt Co $10936182 0.21% -5533 -5.44%
107 Salesforce Inc $10835922 0.20% -3648 -8.19%
108 Microchip Technology Inc. $10826538 0.20% +7765 +4.79%
109 Invesco Bulletshares 2028 Corporate Bond Etf $10749410 0.20% +106453 +25.63%
110 Parker-Hannifin Corp $10470172 0.20% -459 -3.71%
111 Arista Networks Inc $10432347 0.20% +174 +0.22%
112 American Centy Etf Tr $10353453 0.19% -1932 -1.08%
113 Dimensional Etf Trust $10163082 0.19% +11269 +8.96%
114 Materials Select Sector Spdr Trust $9929293 0.19% +108696 +98.59%
115 Select Sector Spdr Tr $9904274 0.19% +34008 +97.76%
116 Spdr Index Shs Fds $9836410 0.18% +31498 +25.97%
117 Brookfield Corp $9775443 0.18% +58853 +38.18%
118 Virginia Natl Bankshares Cor $9653344 0.18% -67 -0.03%
119 Bank America Corp $9589620 0.18% -3922 -2.20%
120 Servicenow Inc $9567944 0.18% +50151 +407.50%
121 Stryker Corp $9481256 0.18% -279 -1.02%
122 Shore Bancshares Inc $9321621 0.17% Held
123 Northrop Grumman Corp $9260854 0.17% -30 -0.18%
124 Unitedhealth Group Inc $9114786 0.17% -1687 -5.76%
125 Truist Finl Corp $9040517 0.17% -6801 -3.57%
126 Astrazeneca Plc $9021786 0.17% +811 +0.83%
127 Ishares Msci Eafe Etf $8973137 0.17% -1684 -1.77%
128 Deere & Co $8850232 0.17% -477 -2.45%
129 Schwab Strategic Tr $8840459 0.17% -145570 -31.11%
130 Garmin Ltd $8776914 0.16% -558 -1.27%
131 Vanguard Int Term Corp $8662812 0.16% +21686 +26.53%
132 Vanguard Index Fds $8484992 0.16% +841 +6.63%
133 Invesco Qqq Tr $8427877 0.16% -167 -1.20%
134 Conocophillips $8426422 0.16% -4789 -5.05%
135 Ishares Ibonds Dec 2031 Corp Etf $8194800 0.15% +100078 +34.82%
136 Ishares Ibonds Dec 2032 Corp Etf $8066408 0.15% +85012 +36.81%
137 Ishares Ibonds Dec 2030 Corp Etf $8007614 0.15% +98125 +37.07%
138 Fiserv Inc $7687742 0.14% +4149 +3.76%
139 Cvs Health Corp $7673558 0.14% -3973 -3.95%
140 Coca Cola Co $7600434 0.14% -12149 -10.05%
141 Shell Plc $7510632 0.14% -6237 -5.75%
142 L3harris Technologies Inc $7401455 0.14% -308 -1.21%
143 Select Sector Spdr Tr $7376225 0.14% +89925 +108.53%
144 Quanta Services, Inc $7308814 0.14% +473 +2.81%
145 Trane Technologies Plc $7301983 0.14% +498 +2.73%
146 Illinois Tool Wks Inc $7022812 0.13% -218 -0.76%
147 Pimco Etf Tr $7022520 0.13% +49604 +58.78%
148 Corning Inc $6978269 0.13% -203 -0.25%
149 Dimensional Etf Trust $6947051 0.13% +35619 +21.27%
150 Monolithic Pwr Sys Inc $6651777 0.12% Held
151 Ishares Core Msci Emerging Markets Etf $6644153 0.12% +9878 +11.10%
152 Vanguard Index Fds $6595707 0.12% -104 -0.53%
153 Air Prods & Chems Inc $6592090 0.12% -4227 -13.67%
154 Vertex Pharmaceuticals Inc $6452675 0.12% -455 -3.10%
155 Heico Corp New $6449149 0.12% Held
156 Financial Select Sector Spdr Fund $6445938 0.12% -116 -0.10%
157 Ishares Ibonds Dec 2027 Corp Etf $6416791 0.12% +17864 +7.25%
158 Vanguard Index Fds $6296116 0.12% +1633 +7.17%
159 Labcorp Holdings Inc $6295584 0.12% -2 -0.01%
160 Valero Energy Corp $6225252 0.12% +229 +0.60%
161 Cheniere Energy Inc $6208660 0.12% -331 -1.03%
162 American Tower Corp $6144992 0.12% -8859 -20.20%
163 Starbucks Corp $6067865 0.11% -9121 -11.24%
164 Berkshire Hathaway Inc Del $6038400 0.11% Held
165 International Business Machines Corp $6016797 0.11% +632 +3.21%
166 Aflac Inc $5869412 0.11% -246 -0.46%
167 Zoetis Inc $5760637 0.11% -10496 -18.65%
168 Amgen Inc $5723307 0.11% -212 -1.20%
169 Phillips 66 $5713740 0.11% -767 -1.70%
170 Consumer Discretionary Select Sector Spdr $5702664 0.11% +23757 +98.99%
171 Dominion Energy Inc $5641992 0.11% +912 +0.96%
172 Ishares Core Msci Eafe Etf $5618225 0.11% +28952 +85.53%
173 Ishares Ibonds Dec 2026 Corp Etf $5607694 0.11% -4193 -1.78%
174 Rockwell Automation Inc $5599885 0.11% -252 -1.72%
175 Ishares Ibonds Dec 2029 Corp Etf $5598173 0.10% -5259 -2.15%
176 Ishares Ibonds Dec 2028 Corp Etf $5585337 0.10% -8911 -3.90%
177 Texas Instrs Inc $5583256 0.10% -260 -0.80%
178 Analog Devices Inc $5557973 0.10% -499 -2.38%
179 Autodesk Inc $5472653 0.10% +210 +1.15%
180 Nike Inc $5436371 0.10% -6553 -7.13%
181 Vanguard Info Tech Etf $5401125 0.10% +275 +3.99%
182 Regeneron Pharmaceuticals $5299660 0.10% -249 -3.50%
183 Fortinet Inc $5247419 0.10% -619 -0.93%
184 Ametek Inc $5243208 0.10% -915 -3.46%
185 Invesco Bulletshares 2032 Muni Bond Etf $5128039 0.10% -91443 -30.93%
186 Linde Plc $5112418 0.10% -312 -2.54%
187 At&T Inc $5112399 0.10% -1319 -0.64%
188 Autozone Inc $5077076 0.10% +182 +13.84%
189 Gallagher Arthur J & Co $5056240 0.09% -421 -2.11%
190 Marathon Pete Corp $5036872 0.09% -545 -1.73%
191 Ameriprise Finl Inc $4869077 0.09% +10 +0.10%
192 Ebay Inc. $4858617 0.09% +641 +1.16%
193 Invesco Bulletshares 2027 Muni Bond Etf $4805147 0.09% -134093 -39.77%
194 Ishares Russell 1000 Value Index $4783792 0.09% -2309 -9.22%
195 Cbre Group Inc $4767907 0.09% +6034 +25.55%
196 Dimensional Etf Trust $4738587 0.09% +5489 +8.78%
197 Vertiv Holdings Co $4717733 0.09% +1026 +3.65%
198 Welltower Inc $4661967 0.09% +25 +0.10%
199 Duke Energy Corp $4622628 0.09% -134 -0.34%
200 Sherwin Williams Co $4619920 0.09% Held
201 Mondelez Intl Inc $4595620 0.09% -6976 -7.55%
202 Uber Technologies Inc $4543861 0.09% +2357 +4.43%
203 T-Mobile Us Inc $4505635 0.08% +1048 +4.96%
204 Ishares Russell Midcap Growth Index $4489649 0.08% +13236 +67.70%
205 Invesco Bulletshares 2033 Muni Bond Etf $4319517 0.08% +8726 +5.51%
206 Unilever Plc $4269835 0.08% NEW BUY
207 Steel Dynamics Inc $4236250 0.08% -3000 -10.71%
208 Ishares Ibonds Dec 2033 Corp Etf $4189641 0.08% -41956 -20.75%
209 Invesco Bulletshares 2030 Muni Bond Etf $4127529 0.08% -1054 -0.56%
210 Pnc Financial Services Group $4126802 0.08% -882 -4.27%
211 Invesco Bulletshares 2029 Muni Bond Etf $4097805 0.08% -705 -0.40%
212 Take-Two Interactive Softwar $4061406 0.08% +712 +4.70%
213 Invesco Bulletshares 2026 Muni Bond Etf $3973306 0.07% -6294 -3.61%
214 Oreilly Automotive Inc $3936898 0.07% +220 +0.51%
215 Nxp Semiconductors N V $3895142 0.07% -491 -2.66%
216 Novartis Ag $3893864 0.07% -870 -2.99%
217 Amphenol Corp New $3885816 0.07% -1019 -3.42%
218 Newmarket Corp $3884394 0.07% -34 -0.60%
219 Otis Worldwide Corp $3799672 0.07% -2641 -5.72%
220 Paypal Hldgs Inc $3735333 0.07% -1885 -2.86%
221 Vanguard Index Fds $3734552 0.07% +197 +1.55%
222 First Tr Exchange-Traded Fd $3720585 0.07% -6378 -6.10%
223 Dbx Etf Tr $3713147 0.07% -6671 -7.96%
224 Intercontinental Exchange In $3683801 0.07% +1514 +7.13%
225 White Mtns Ins Group Ltd $3667723 0.07% Held
226 Invesco Bulletshares 2031 Muni Bond Etf $3598424 0.07% -7521 -4.23%
227 Ishares Ibonds Dec 2034 Corp Etf $3591647 0.07% -31575 -18.82%
228 Health Care Select Sector Spdr $3568759 0.07% -131 -0.57%
229 Elevance Health Inc Formerly $3568600 0.07% -834 -7.57%
230 Chubb Limited $3566596 0.07% +2160 +23.31%
231 First Commonwealth Financial Corporation $3516052 0.07% Held
232 Applied Materials, Inc $3500462 0.07% -609 -4.28%
233 State Str Corp $3409734 0.06% Held
234 Invesco Bulletshares 2034 Muni Bond Etf $3359685 0.06% NEW BUY
235 Markel Group Inc $3331958 0.06% +449 +40.78%
236 Invesco Bulletshares 2035 Muni Bond Etf $3301997 0.06% NEW BUY
237 Real Estate Select Sector Spdr $3280052 0.06% +5619 +7.43%
238 Datadog Inc $3265121 0.06% -559 -2.28%
239 Invesco Bulletshares 2028 Muni Bond Etf $3225682 0.06% NEW BUY
240 Ishares Russell 1000 Growth Index $3204716 0.06% -339 -4.77%
241 Eog Res Inc $3160172 0.06% -4831 -13.83%
242 The Travelers Companies, Inc. $3081387 0.06% -44 -0.41%
243 Lennar Corp $3070533 0.06% -4953 -14.22%
244 Vanguard Index Fds $3039445 0.06% +451 +2.92%
245 Veeva Sys Inc $3037045 0.06% +243 +1.82%
246 Pfizer Inc $3028463 0.06% -12365 -9.23%
247 Vanguard Scottsdale Fds $3017462 0.06% -9046 -19.29%
248 Dimensional Etf Trust $3008509 0.06% +9475 +11.56%
249 Emerson Elec Co $3004254 0.06% -285 -1.24%
250 Spdr S&P Biotech Etf $2986432 0.06% -1834 -6.97%
251 Crowdstrike Hldgs Inc $2973815 0.06% +2613 +70.03%
252 Sap Se $2922465 0.05% +2232 +22.78%
253 Mercadolibre Inc $2888470 0.05% +539 +60.22%
254 Spdr S&P Regional Banking Etf $2878229 0.05% -742 -1.64%
255 Prologis Inc. $2875925 0.05% -773 -3.32%
256 Mettler Toledo International $2870637 0.05% +29 +1.43%
257 Spdr S&P Bank Etf $2821235 0.05% -746 -1.58%
258 General Dynamics Corp $2815718 0.05% -211 -2.46%
259 Hartford Insurance Group Inc $2801750 0.05% -500 -2.40%
260 Vanguard Index Fds $2795848 0.05% Held
261 Martin Marietta Matls Inc $2795126 0.05% +672 +17.61%
262 Ishares Nasdaq Biotechnology Index Fund $2746395 0.05% -431 -2.58%
263 Ishares Russell 2000 Index Fund $2697585 0.05% -260 -2.32%
264 Verisign Inc $2696502 0.05% -81 -0.72%
265 Ishares S&P Global Technology Sector Index Fd $2682960 0.05% -1396 -5.18%
266 J P Morgan Exchange Traded F $2637500 0.05% +25580 +129.19%
267 Old Rep Intl Corp $2586510 0.05% -1828 -3.12%
268 Eqt Corp $2548734 0.05% -353 -0.74%
269 Rbc Bearings Inc $2529145 0.05% Held
270 Bluerock Pvt Real Estate Fd $2483480 0.05% NEW BUY
271 First Ctzns Bancshares Inc D $2474546 0.05% -45 -3.76%
272 Ge Vernova Inc $2463960 0.05% +1530 +68.30%
273 Vanguard Mun Bd Fds $2461559 0.05% +1131 +2.37%
274 Ge Aerospace $2451015 0.05% -117 -1.45%
275 Vanguard Dividend Appreciation Etf $2412704 0.05% -366 -3.23%
276 Roper Industries, Inc $2385008 0.04% -788 -12.82%
277 Te Connectivity Plc $2320902 0.04% -169 -1.63%
278 Fedex Corp $2303371 0.04% -38 -0.47%
279 Intel Corp $2285649 0.04% -1408 -2.22%
280 Intuit $2233019 0.04% +1041 +44.68%
281 Cigna Corp New $2229088 0.04% -4083 -33.52%
282 Southern Co $2217086 0.04% +1100 +4.52%
283 Snowflake Inc $2166409 0.04% +1147 +13.14%
284 Verisk Analytics Inc $2158385 0.04% -616 -6.00%
285 First Tr Exchange-Traded Fd $2156225 0.04% +24132 +41.58%
286 Trimble Inc $2131120 0.04% Held
287 Vanguard Ftse All-World Ex Us Index Fund $2072480 0.04% -5981 -17.51%
288 Cummins Inc $2024955 0.04% -440 -9.98%
289 Idexx Labs Inc $2024855 0.04% +63 +2.15%
290 Dimensional Etf Trust $2003418 0.04% +13709 +51.85%
291 Enbridge Inc $1997495 0.04% -866 -2.03%
292 Workday Inc $1993373 0.04% -87 -0.93%
293 First Solar Inc $1926311 0.04% -383 -4.94%
294 Digital Rlty Tr Inc $1902332 0.04% -394 -3.10%
295 Zscaler Inc $1898335 0.04% -8 -0.09%
296 Epam Sys Inc $1882438 0.04% +8 +0.09%
297 Agnico Eagle Mines Ltd $1880767 0.04% -696 -5.90%
298 Price T Rowe Group Inc $1870177 0.04% Held
299 Ares Capital Corp $1853764 0.03% -3573 -3.75%
300 Cyberark Software Ltd $1846243 0.03% -618 -12.99%
301 Energy Select Sector Spdr Fund $1836687 0.03% +20081 +95.63%
302 Ishares Ibonds Dec 2028 Muni Etf $1831989 0.03% +9046 +14.45%
303 Universal Display Corp $1822819 0.03% Held
304 Ishares Russell 2000 Value Index Fund $1821152 0.03% +23 +0.23%
305 Csx Corp $1810447 0.03% -8437 -14.45%
306 Vanguard Index Fds $1778667 0.03% +1 +0.01%
307 Advanced Micro Devices Inc $1750238 0.03% +686 +9.16%
308 Invesco Exchange Traded Fd T $1739031 0.03% +261 +2.96%
309 Cadence Design System Inc $1738259 0.03% +1718 +44.70%
310 Xylem Inc $1736024 0.03% -166 -1.29%
311 Mckesson Corp $1721790 0.03% -24 -1.13%
312 Ishares Ibonds Dec 2029 Muni Etf $1705870 0.03% +9994 +17.51%
313 Cintas Corp $1698460 0.03% +2623 +40.93%
314 Cognizant Technology Solutio $1683074 0.03% Held
315 Schwab Strategic Tr $1664590 0.03% -1791 -2.81%
316 Ishares Ibonds Dec 2035 Corp Etf $1646697 0.03% +42707 +205.58%
317 Vanguard Intermediate Term Treasury Etf $1635729 0.03% -1329 -4.64%
318 Ishares Ibonds Dec 2030 Muni Etf $1626457 0.03% +11494 +22.57%
319 Dnp Select Income Fd Inc $1623025 0.03% -21477 -11.68%
320 Broadridge Financial Solutions Inc. $1604593 0.03% Held
321 Ecolab Inc $1583522 0.03% +3425 +131.38%
322 Axon Enterprise Inc $1558968 0.03% +15 +0.55%
323 Sempra $1544281 0.03% +107 +0.62%
324 Ishares S&P 500 Growth Index Fund $1531211 0.03% -448 -3.48%
325 Royce Small Cap Trust Inc $1527778 0.03% -3025 -3.09%
326 Tyler Technologies Inc $1517555 0.03% Held
327 Medtronic Hldg $1469815 0.03% -641 -4.02%
328 Industrial Select Sector Spdr Fund $1468986 0.03% -68 -0.71%
329 Ishares Lehman Aggregate Bond Fund $1457150 0.03% -1284 -8.09%
330 Copart Inc $1439154 0.03% -532 -1.43%
331 Kimberly Clark Corp $1435846 0.03% +163 +1.16%
332 Comcast Corp New $1427579 0.03% -1899 -3.82%
333 American Elec Pwr Co Inc $1388448 0.03% +904 +8.12%
334 Ishares Ibonds Dec 2027 Muni Etf $1383780 0.03% +3506 +6.88%
335 Brookfield Asset Managmt Ltd $1372252 0.03% -3948 -13.10%
336 Raymond James Finl Inc $1360894 0.03% -139 -1.61%
337 Jacobs Solutions Inc $1358113 0.03% -1549 -13.12%
338 Gladstone Invt Corp $1357381 0.03% -2625 -2.63%
339 Tortoise North American Pipeline Fd $1352603 0.03% -3241 -7.80%
340 Atmos Energy Corporation $1344560 0.03% +55 +0.69%
341 Consumer Staples Select Sector Spdr Fund $1319162 0.02% +40 +0.24%
342 Colgate Palmolive Co $1319080 0.02% -238 -1.41%
343 Leidos Holdings Inc $1315123 0.02% -953 -11.56%
344 Vanguard World Fd $1290763 0.02% -717 -12.24%
345 United Parcel Service Inc $1262095 0.02% -5880 -31.61%
346 Aercap Holdings Nv $1247549 0.02% -755 -8.00%
347 Bio Rad Labs Inc $1241956 0.02% Held
348 General Motors Co $1215246 0.02% -882 -5.57%
349 Corteva Inc $1203525 0.02% -461 -2.50%
350 Tractor Supply Co $1197580 0.02% +2870 +13.62%
351 Becton Dickinson & Co $1185381 0.02% +57 +0.94%
352 Constellation Energy Corp $1173917 0.02% +1786 +116.20%
353 Huntington Ingalls Inds Inc $1168821 0.02% Held
354 Zebra Technologies Corporati $1168694 0.02% Held
355 Carmax Inc $1165229 0.02% +3000 +11.05%
356 Watsco Inc $1165184 0.02% +16 +0.46%
357 Baker Hughes Company $1162228 0.02% +1709 +7.18%
358 Ishares Tr $1153242 0.02% -209 -0.71%
359 The Williams Companies, Inc. $1117144 0.02% +1120 +6.41%
360 Morgan Stanley $1108524 0.02% -84 -1.33%
361 Estee Lauder Companies Cl A $1105426 0.02% -354 -3.24%
362 3m Co $1102735 0.02% -149 -2.12%
363 Msci Inc $1090087 0.02% -52 -2.66%
364 United Bankshares Inc West V $1084723 0.02% -58 -0.20%
365 Ishares Ibonds Dec 2026 Muni Etf $1080753 0.02% -745 -1.74%
366 Woodward Inc $1049957 0.02% Held
367 Dimensional Etf Trust $1042104 0.02% +4575 +17.83%
368 Elbit Sys Ltd $1040456 0.02% Held
369 Ishares Barclays Tips Bond Fund $1039431 0.02% -118 -1.23%
370 Anheuser Busch Inbev Sa/Nv $1034374 0.02% +841 +5.49%
371 Hershey Co $1031486 0.02% -9 -0.16%
372 Edwards Lifesciences Corp $1013793 0.02% Held
373 Monster Beverage Corp New $1013731 0.02% -3600 -21.40%
374 Independence Rlty Tr Inc $1012651 0.02% -1031 -1.75%
375 Arcosa Inc $979207 0.02% -233 -2.47%
376 Mccormick & Co Inc $976085 0.02% -398 -2.70%
377 Hp Inc $974394 0.02% -3672 -7.75%
378 Allstate Corp $971020 0.02% -27 -0.58%
379 Vaneck Etf Trust $956902 0.02% +283 +2.60%
380 Vanguard Index Fds $947462 0.02% Held
381 M & T Bk Corp $947159 0.02% Held
382 Oneok Inc New $940139 0.02% -4042 -24.01%
383 Shopify Inc $936846 0.02% +135 +2.37%
384 Fulton Financial Corporation $933214 0.02% Held
385 British American Tobacco Plc Spon Adr $918376 0.02% Held
386 Illumina Inc $917727 0.02% Held
387 Progressive Corp $915689 0.02% -28 -0.69%
388 Kinder Morgan Inc $901728 0.02% +836 +2.62%
389 Cohen & Steers Reit & Pfd & $901326 0.02% -2550 -5.32%
390 Align Technology Inc $894740 0.02% Held
391 Global Pmts Inc $893196 0.02% +642 +5.89%
392 Marsh & Mclennan Cos Inc $876768 0.02% +54 +1.16%
393 Choice Hotels International, Inc $873916 0.02% +112 +1.24%
394 Bank New York Mellon Corp $865134 0.02% +106 +1.44%
395 Ishares Preferred And Income Securities Etf $864805 0.02% +4500 +19.20%
396 Vaneck Etf Trust $860063 0.02% -10 -0.13%
397 Airbnb Inc $859787 0.02% -383 -5.70%
398 Lkq Corp $858888 0.02% -63 -0.22%
399 Fortive Corp $853326 0.02% -1324 -7.89%
400 Schlumberger Limited $853264 0.02% +110 +0.50%
401 Spdr Series Trust $852050 0.02% -136 -0.92%
402 Nucor Corp $831147 0.02% -667 -11.57%
403 Paychex Inc $829011 0.02% +313 +4.42%
404 Spdr Series Trust $823058 0.02% +3 +0.03%
405 Ishares Tr $811105 0.02% Held
406 Ishares Ibonds Dec 2031 Muni Etf $810704 0.02% +10782 +52.70%
407 On Semiconductor Corp $809543 0.02% Held
408 Paycom Software Inc $799191 0.01% -328 -6.14%
409 Micron Technology Inc $796667 0.01% -591 -17.47%
410 Iron Mtn Inc Del $768857 0.01% -193 -2.04%
411 Sysco Corp $764019 0.01% -346 -3.23%
412 Vanguard World Fd $762775 0.01% -320 -5.02%
413 Ishares S&P 500 Value Index $762742 0.01% -75 -2.04%
414 Novo-Nordisk A S $752618 0.01% +93 +0.63%
415 Coherent Corp $743529 0.01% Held
416 Warner Bros Discovery Inc $740444 0.01% -19461 -43.10%
417 Vanguard Index Fds $728419 0.01% -108 -1.29%
418 Kraft Heinz Co $725677 0.01% -2422 -7.49%
419 Hf Sinclair Corp $718341 0.01% -638 -3.93%
420 Ishares Bitcoin Trust Etf $718337 0.01% +6032 +71.50%
421 Evergy Inc $718086 0.01% +328 +3.42%
422 Caci Intl Inc $708638 0.01% +30 +2.31%
423 Lumentum Hldgs Inc $704007 0.01% Held
424 Ishares Gold Tr $703664 0.01% +921 +11.89%
425 Gartner Inc $703609 0.01% Held
426 Pimco Etf Tr $699518 0.01% +10 +0.14%
427 Metlife Inc $696243 0.01% -467 -5.03%
428 Ishares Tr $695923 0.01% -88 -0.87%
429 Vanguard Index Fds $695686 0.01% +7 +0.32%
430 Udr Inc $690281 0.01% -3195 -14.51%
431 Clorox Co Del $686969 0.01% -80 -1.16%
432 Wesbanco Inc $661542 0.01% -288 -1.43%
433 Vanguard Index Fds $660455 0.01% +2 +0.06%
434 Ishares Russell Midcap Value Index $660194 0.01% -692 -12.88%
435 Vanguard Malvern Fds $659450 0.01% -417 -3.03%
436 Veralto Corp $658049 0.01% -208 -3.06%
437 First Tr Exchange-Traded Fd $641995 0.01% +287 +13.68%
438 Gitlab Inc $627014 0.01% Held
439 Canadian Pacific Kansas City $625561 0.01% -1076 -11.24%
440 Dimensional Etf Trust $611538 0.01% +244 +0.92%
441 Ishares Russell 2000 Growth $608229 0.01% Held
442 Oshkosh Corp $606165 0.01% -175 -3.50%
443 Crown Castle Inc $602183 0.01% -909 -11.83%
444 Palantir Technologies Inc $587133 0.01% +940 +39.78%
445 F N B Corp $586530 0.01% Held
446 Invesco Exch Trd Slf Idx Fd $578074 0.01% +2200 +9.42%
447 Schwab Strategic Tr $577581 0.01% +60 +0.31%
448 Invesco Exch Trd Slf Idx Fd $575004 0.01% +2150 +9.56%
449 Aon Plc $573078 0.01% Held
450 Science Applications Intl Co $573051 0.01% +2 +0.04%
451 Vanguard Star Fds $571986 0.01% Held
452 Fidelity Covington Trust $563697 0.01% -159 -5.96%
453 Willis Towers Watson Plc Ltd $551719 0.01% +7 +0.42%
454 Enterprise Prods Partners L $551304 0.01% -10681 -38.31%
455 Vanguard Telecommunication Services Etf $547396 0.01% +1 +0.04%
456 Equifax Inc $542677 0.01% Held
457 Huntington Bancshares Inc $534519 0.01% -1075 -3.37%
458 Alcoa Corp $523996 0.01% +2 +0.02%
459 Burke Herbert Finl Svcs Corp $516550 0.01% -1100 -11.71%
460 Dimensional Etf Trust $513153 0.01% +8634 +177.29%
461 Omnicell Com $493770 0.01% Held
462 Vanguard High Dividend Yield Index Fund Etf $493729 0.01% -35 -1.01%
463 Generac Hldgs Inc $492848 0.01% -5290 -59.41%
464 Masco Corp $486611 0.01% -2730 -26.26%
465 Chipotle Mexican Grill Inc $483146 0.01% +104 +0.80%
466 Cme Group Inc $471337 0.01% -48 -2.71%
467 Us Bancorp Del $469301 0.01% -931 -9.57%
468 Humana Inc $459498 0.01% -365 -16.91%
469 Realty Income Corp $457837 0.01% -1071 -11.65%
470 Ishares Dow Jones Select Dividend $456024 0.01% -573 -15.06%
471 General Mills Inc $455772 0.01% -427 -4.17%
472 Ishares Exponential Technology Etf $451543 0.01% -8 -0.12%
473 Xcel Energy Inc $451285 0.01% Held
474 Electronic Arts Inc $448619 0.01% -25 -1.13%
475 Vaneck Etf Trust $448485 0.01% +100 +8.73%
476 Ishares S&P Midcap 400/Barra Value Index $443722 0.01% -221 -6.15%
477 Genuine Parts Co $440443 0.01% Held
478 Liberty Broadband Corp $439295 0.01% Held
479 Agree Rlty Corp $435061 0.01% -97 -1.58%
480 Target Corp $424118 0.01% -165 -3.66%
481 Invesco Exchange Traded Fd T $424077 0.01% -250 -3.99%
482 Ishares Tr $419347 0.01% Held
483 Kinsale Cap Group Inc $418499 0.01% +10 +0.94%
484 Chemed Corp New $410746 0.01% -223 -18.85%
485 Wisdomtree Tr $408012 0.01% Held
486 Listed Fds Tr $406984 0.01% +591 +3.07%
487 Hilton Worldwide Hldgs Inc $396697 0.01% -39 -2.75%
488 Schwab Strategic Tr $393777 0.01% +1918 +14.65%
489 Cognex Corp $389161 0.01% -3 -0.03%
490 Ishares Dow Jones Us Healthcare Sector Index $387997 0.01% Held
491 Block Inc $385930 0.01% +38 +0.65%
492 First Tr Exch Trd Alphdx Fd $383480 0.01% -75 -1.13%
493 Schwab Intl Equity Etf $381292 0.01% -2805 -15.03%
494 Trinity Inds Inc $374285 0.01% -3500 -19.82%
495 Eplus Inc $373690 0.01% Held
496 Diageo Plc $367511 0.01% -253 -5.61%
497 Yum Brands Inc $364585 0.01% Held
498 Devon Energy Corp New $363956 0.01% -984 -9.01%
499 Ss&C Technologies Hldgs Inc $362618 0.01% +22 +0.53%
500 Ishares S&P Smallcap 600 Value Index $354806 0.01% Held
501 Enova Intl Inc $353700 0.01% Held
502 Vanguard Health Care Etf $352447 0.01% +3 +0.25%
503 Proshares Tr $346609 0.01% -16760 -37.03%
504 Consolidated Edison Inc $346230 0.01% Held
505 Spdr Dow Jones Indl Average $344700 0.01% +35 +5.13%
506 Gatx Corp $342592 0.01% Held
507 Dexcom Inc $335235 0.01% +103 +2.08%
508 Lam Research Corp $330036 0.01% +80 +4.33%
509 Ishares Msci Emerging Markets Index $327549 0.01% Held
510 Schwab Strategic Tr $324736 0.01% +53 +0.74%
511 Graham Corp $321150 0.01% -350 -6.54%
512 Carrier Global Corporation $319206 0.01% -715 -10.58%
513 Johnson Ctls Intl Plc $319015 0.01% Held
514 Franklin Resources Inc $315348 0.01% -1800 -12.00%
515 Corpay Inc $310861 0.01% +33 +3.30%
516 Bp Plc $308610 0.01% -1330 -13.02%
517 Dupont De Nemours Inc $306485 0.01% -5667 -42.64%
518 Cloudflare Inc $302823 0.01% +52 +3.50%
519 Spdr Series Trust $300561 0.01% -70 -1.29%
520 Schwab Strategic Tr $299440 0.01% -673 -6.02%
521 Abrdn Life Sciences Investor $298818 0.01% Held
522 Applovin Corp $297829 0.01% +33 +8.07%
523 Rio Tinto Plc Adr $296911 0.01% -1542 -29.36%
524 Resmed Inc $289044 0.01% Held
525 Tcw Etf Trust $288467 0.01% Held
526 Ishares Tr $285981 0.01% +1 +0.11%
527 Freeport-Mcmoran Copper & Gold Inc $277137 0.01% Held
528 Firstcash Holdings Inc $277002 0.01% Held
529 Armstrong World Inds Inc New $276522 0.01% -579 -28.58%
530 Ishares Cohen & Steers Realty Majors Index $275758 0.01% +21 +0.46%
531 Aaon Inc $274500 0.01% Held
532 Federal Realty Investment Trust $274176 0.01% Held
533 Bruker Corp $273238 0.01% Held
534 Gsk Plc $271192 0.01% +1396 +33.77%
535 Sei Invts Co $270666 0.01% Held
536 Synopsys Inc $268211 0.01% +23 +4.20%
537 Wheaton Precious Metals Corp $267358 0.01% -275 -10.78%
538 Carlisle Cos Inc $266940 0.01% -10 -1.18%
539 Dow Inc $264942 0.00% -1851 -14.04%
540 Arch Cap Group Ltd $258504 0.00% Held
541 Spdr Series Trust $258147 0.00% +14 +0.50%
542 Mainstreet Bancshares Inc $256536 0.00% Held
543 Ishares Tr $256199 0.00% Held
544 Eversource Energy $255058 0.00% -175 -4.42%
545 Fastenal Co $254585 0.00% +410 +6.91%
546 Solstice Advanced Materials Inc $253831 0.00% NEW BUY
547 Iperionx Ltd $253295 0.00% Held
548 Revvity Inc $250292 0.00% -164 -5.96%
549 Darden Restaurants Inc $250269 0.00% -67 -4.70%
550 Nushares Etf Tr $249781 0.00% Held
551 Qnity Electronics Inc $249686 0.00% NEW BUY
552 Qualys Inc $247991 0.00% Held
553 Siriusxm Holdings Inc $247678 0.00% -1929 -13.47%
554 Waters Corp $246890 0.00% Held
555 Wec Energy Group Inc $244457 0.00% -40 -1.70%
556 Ptc Inc $242500 0.00% Held
557 Mastec Inc $242368 0.00% Held
558 Eastman Chem Co $239938 0.00% -332 -8.12%
559 Booz Allen Hamilton Hldg Cor $239472 0.00% -37614 -92.98%
560 Blackrock Etf Trust Ii $238555 0.00% -218 -4.60%
561 Dimensional Etf Trust $233646 0.00% +14 +0.24%
562 Landstar Sys Inc $232219 0.00% Held
563 Fidelity Wise Origin Bitcoin $231969 0.00% +908 +42.53%
564 Teleflex Incorporated $231266 0.00% -25 -1.30%
565 Ares Management Corporation $229678 0.00% +544 +62.03%
566 Aci Worldwide Inc $228102 0.00% Held
567 Fidelity Covington Trust $224970 0.00% Held
568 Public Service Enterprise Group $224915 0.00% -438 -13.52%
569 Hca Healthcare Inc $224093 0.00% Held
570 Moodys Corp $223583 0.00% +40 +10.05%
571 Vanguard Admiral Fds Inc $221413 0.00% +3 +0.61%
572 Invesco Exch Traded Fd Tr Ii $220604 0.00% +28 +3.32%
573 Elme Communities $220224 0.00% +202 +1.62%
574 Acuity Inc $219985 0.00% Held
575 Carlyle Group Inc $217836 0.00% -10 -0.27%
576 Spotify Technology S A $214863 0.00% -78 -17.41%
577 Extra Space Storage Inc $213561 0.00% Held
578 Veracyte Inc $210500 0.00% Held
579 Vanguard Bd Index Fds $207492 0.00% +5 +0.18%
580 Magnum Ice Cream Co Nv $206922 0.00% NEW BUY
581 Invesco Buyback Achievers Etf $206047 0.00% Held
582 Spdr Index Shs Fds $205590 0.00% Held
583 Esquire Finl Hldgs Inc $205250 0.00% +4 +0.20%
584 Spdr S& P North American Natural Res Etf $205051 0.00% Held
585 Duff & Phelps Utlity And Inf $204860 0.00% +1618 +11.16%
586 Robinhood Mkts Inc $202047 0.00% +388 +27.75%
587 Ww Grainger Inc $201811 0.00% -20 -9.09%
588 Vontier Corporation $200214 0.00% Held
589 Exelon Corp $197943 0.00% -75 -1.62%
590 Ishares 5-10 Year Inv Grade Corp Bond Etf $196958 0.00% Held
591 Listed Fds Tr $196058 0.00% -131 -3.43%
592 Ishares U S Etf Tr $195304 0.00% Held
593 Ies Hldgs Inc $194510 0.00% NEW BUY
594 Brixmor Ppty Group Inc $194316 0.00% Held
595 Schwab Strategic Tr $194143 0.00% +69 +0.87%
596 Ishares S&P Small Cap 600 Growth $193389 0.00% Held
597 Proshares Tr $189928 0.00% -125 -6.41%
598 Fidelity Covington Trust $188300 0.00% Held
599 Spdr Index Shs Fds $187682 0.00% Held
600 Schwab Strategic Tr $183044 0.00% +3 +0.04%
601 Synchrony Financial $181244 0.00% Held
602 Cooper Cos Inc $180312 0.00% Held
603 Northern Tr Corp $180026 0.00% Held
604 Ccc Intelligent Solutions Hl $179789 0.00% NEW BUY
605 Archer Daniels Midland Co $179775 0.00% +153 +5.14%
606 Listed Fds Tr $179369 0.00% +186 +2.33%
607 Nushares Etf Tr $179029 0.00% Held
608 Insulet Corp $178787 0.00% Held
609 Revolve Group Inc $177698 0.00% Held
610 Acushnet Hldgs Corp $177520 0.00% Held
611 Fidelity Covington Trust $176626 0.00% Held
612 Marriott Vacations Worldwide $174167 0.00% Held
613 Ea Series Trust $173805 0.00% Held
614 Dimensional Emerging Mkts Core Equity 2 Etf $173042 0.00% +2207 +72.98%
615 Entergy Corp New $171920 0.00% Held
616 Ishares Tr $171196 0.00% Held
617 Tegna Inc $169255 0.00% -881 -9.18%
618 Vanguard Scottsdale Fds $168877 0.00% Held
619 Lyondellbasell Industries N $168654 0.00% -517 -11.72%
620 Energy Transfer Equity Lp $168430 0.00% -9872 -49.15%
621 Hooker Furnishings Corporati $167532 0.00% -1021 -6.44%
622 Zimmer Biomet Holdings Inc $167342 0.00% -302 -13.96%
623 Matson Inc $166051 0.00% Held
624 Ishares Silver Tr $165431 0.00% -75 -2.84%
625 Ishares Tr $165388 0.00% Held
626 Rb Global Inc $164901 0.00% +200 +14.26%
627 Invesco Exch Traded Fd Tr Ii $164717 0.00% +26 +0.68%
628 Quest Diagnostics $162184 0.00% -15 -1.58%
629 Vulcan Materials Company $161720 0.00% Held
630 Royal Gold Inc $161606 0.00% -210 -22.41%
631 Ross Stores Inc $161226 0.00% -55 -5.79%
632 Wp Carey Inc $158970 0.00% -1194 -32.59%
633 Ralliant Corp $158076 0.00% -395 -11.29%
634 Gates Indl Corp Plc $157633 0.00% Held
635 Marvell Technology Inc $155768 0.00% +267 +17.05%
636 Ishares Tr $155682 0.00% Held
637 Ishares Tr $155272 0.00% Held
638 Atkore Inc $153698 0.00% Held
639 Goldman Sachs Etf Tr $153550 0.00% +318 +37.77%
640 Ishares Tr $151222 0.00% Held
641 Ford Motor Company $150950 0.00% +2375 +26.01%
642 Hanover Ins Group Inc $149871 0.00% Held
643 Albemarle Corp $149361 0.00% -170 -13.87%
644 First Tr Exchange Traded Fd $149225 0.00% +82 +1.69%
645 Koninklijke Philips N V $149211 0.00% Held
646 First Indl Rlty Tr Inc $148902 0.00% Held
647 Church & Dwight Co $147995 0.00% Held
648 Ishares Tr $147961 0.00% +1118 +255.25%
649 Unum Group $147250 0.00% Held
650 Fidelity Covington Trust $147213 0.00% Held
651 Vanguard Charlotte Fds $147183 0.00% +6 +0.20%
652 Howmet Aerospace Inc $146590 0.00% +394 +122.74%
653 Somnigroup International Inc $144901 0.00% Held
654 United Airls Hldgs Inc $144579 0.00% +6 +0.47%
655 Hewlett Packard Enterprise $142903 0.00% Held
656 Lincoln Natl Corp Ind $142229 0.00% Held
657 Bloom Energy Corp $142153 0.00% +131 +8.70%
658 Ishares Tr $141306 0.00% +1 +0.09%
659 Murphy Usa Inc $140828 0.00% Held
660 Proshares Tr $140545 0.00% +1002 +100.80%
661 Abrdn Healthcare Investors $140080 0.00% -2238 -23.23%
662 Amplify Etf Tr $139774 0.00% +17 +0.70%
663 Crispr Therapeutics Ag $139071 0.00% -233 -8.08%
664 Graham Hldgs Co $138424 0.00% Held
665 Ishares Tr $138182 0.00% Held
666 Constellation Brands Inc $137823 0.00% -403 -28.74%
667 Ge Healthcare Technologies I $137146 0.00% -88 -5.00%
668 Marzetti Company $136797 0.00% Held
669 Essential Pptys Rlty Tr Inc $136169 0.00% Held
670 Ishares Tr $135301 0.00% Held
671 Telos Corporation $134915 0.00% Held
672 Fidelity Covington Trust $134525 0.00% Held
673 Cleveland Cliffs Inc $133862 0.00% Held
674 Gabelli Divid & Income Tr $133296 0.00% Held
675 Globus Med Inc $133148 0.00% +63 +4.31%
676 Pricesmart Inc $132974 0.00% Held
677 Cullen Frost Bankers Inc $132962 0.00% Held
678 National Fuel Gas Co $131539 0.00% Held
679 Nnn Reit Inc $130779 0.00% -150 -4.35%
680 The Trade Desk Inc $130355 0.00% -7561 -68.77%
681 Permian Basin Royalty Trust $128876 0.00% +9 +0.12%
682 Cts Corp $128610 0.00% Held
683 Blackrock Tax Municpal Bd Tr $128520 0.00% -1050 -11.76%
684 Isabella Bank Corporation $128150 0.00% Held
685 F5 Inc $127635 0.00% Held
686 Fidelity Covington Trust $127227 0.00% Held
687 Calamos Strategic Total Retu $127220 0.00% NEW BUY
688 Spdr Series Trust S&P Software Etf $125945 0.00% Held
689 Nuveen Virginia Qlty Muncpl $125091 0.00% -1821 -13.88%
690 Healthpeak Properties Inc $123064 0.00% -1033 -11.89%
691 Ishares Tr $123008 0.00% +31 +1.99%
692 Oklo Inc $122941 0.00% -1128 -39.70%
693 Equity Residential $122928 0.00% Held
694 Vanguard Index Fds $122658 0.00% -40 -8.97%
695 Pimco Etf Tr $122541 0.00% +62 +2.62%
696 One Liberty Pptys Inc $121801 0.00% -624 -9.42%
697 Ishares Tr $121614 0.00% +25 +1.69%
698 Haemonetics Corp Mass $121588 0.00% Held
699 Vanguard Scottsdale Fds $120917 0.00% +965 +386.00%
700 Midcap Financial Invstmnt Co $120120 0.00% Held
701 Horace Mann Educators Corp N $120068 0.00% Held
702 Blackbaud Inc $118979 0.00% NEW BUY
703 Ishares Edge Msci Usa Quality $118775 0.00% -78 -11.54%
704 Ubs Group Ag $118739 0.00% Held
705 Ingevity Corp $118005 0.00% Held
706 Main Str Cap Corp $117579 0.00% Held
707 Alerian Mlp Etf $117362 0.00% +116 +4.87%
708 Imperial Oil Ltd $117209 0.00% Held
709 Aptiv Plc $116113 0.00% -930 -37.87%
710 Ishares Tr $115936 0.00% Held
711 Fifth Third Bancorp $115810 0.00% +252 +11.34%
712 Moelis & Co $115689 0.00% Held
713 Mccormick & Co Inc $115617 0.00% Held
714 Cencora Inc $114836 0.00% Held
715 Primoris Services Corporation $114209 0.00% Held
716 Direxion Shs Etf Tr $113445 0.00% +10 +0.33%
717 Regions Financial Corp New $113251 0.00% +100 +2.45%
718 Prudential Financial, Inc $113220 0.00% -322 -24.30%
719 Agilent Technologies Inc $113211 0.00% Held
720 Ishares Tr $113121 0.00% Held
721 Coreweave Inc $112715 0.00% +774 +96.75%
722 Ishares Tr $112336 0.00% Held
723 Brookfield Renewable Corp $111838 0.00% -2427 -45.42%
724 Coinbase Global Inc $111539 0.00% +230 +87.45%
725 Bank Of The James Finl Gp In $111480 0.00% Held
726 Alibaba Group Hldg Ltd $110999 0.00% -20 -2.57%
727 First Bancorp N C $110214 0.00% Held
728 Vaneck Etf Trust $110181 0.00% Held
729 Ppg Inds Inc $110145 0.00% -48 -4.27%
730 Liberty Broadband Corp $109596 0.00% Held
731 Itt Inc $109312 0.00% -18 -2.78%
732 Ark Etf Tr $108245 0.00% Held
733 Ppl Corp $107687 0.00% -200 -6.11%
734 Unifirst Corp Mass $107445 0.00% Held
735 Spdr Series Trust $107154 0.00% Held
736 Netapp Inc $107095 0.00% Held
737 Dell Technologies Inc $106657 0.00% +175 +26.04%
738 World Gold Tr $105775 0.00% +287 +30.15%
739 Invesco Exchange Traded Fd T $105657 0.00% +24 +0.64%
740 Vanguard Financials Etf $105457 0.00% Held
741 New York Times Co $105172 0.00% +114 +8.14%
742 Hologic Inc $104286 0.00% Held
743 Firstenergy Corp $103419 0.00% Held
744 Rivian Automotive Inc $102650 0.00% +204 +4.08%
745 Vanguard Bd Index Fds $102101 0.00% Held
746 Iqvia Hldgs Inc $101900 0.00% +729 +387.77%
747 Tanger Inc $101779 0.00% -846 -21.71%
748 Ameren Corp $100959 0.00% +238 +30.79%
749 Draftkings Inc New $100900 0.00% +572 +24.28%
750 Monday Com Ltd $98865 0.00% -10 -1.47%
751 Casella Waste Sys Inc $98234 0.00% Held
752 Ionq Inc $98131 0.00% +273 +14.26%
753 Cardinal Health Inc $96996 0.00% Held
754 Spdr Series Trust S&P Health Care Svcs $96708 0.00% Held
755 Ishares Tr $96608 0.00% Held
756 Ab Active Etfs Inc $96538 0.00% Held
757 Hecla Mng Co $96046 0.00% +5 +0.10%
758 American Centy Etf Tr $95622 0.00% +927 +276.72%
759 Ishares Tr $95506 0.00% Held
760 Ishares Tr $95342 0.00% Held
761 Equinix Inc $95014 0.00% +7 +5.98%
762 Teledyne Technologies Inc $94486 0.00% +6 +3.35%
763 First Tr Exchange-Traded Fd $94344 0.00% +1500 +155.93%
764 Principal Financial Group In $94032 0.00% +261 +32.42%
765 Flaherty & Crumrine Dynamic $93555 0.00% Held
766 Liberty All-Star Growth Fd I $93418 0.00% Held
767 Stanley Black & Decker $93361 0.00% -784 -38.41%
768 Ishares Tr $93284 0.00% Held
769 Ipg Photonics Corp $93080 0.00% Held
770 Henry Jack & Assoc Inc $93065 0.00% Held
771 Grail Inc $92951 0.00% Held
772 Republic Svcs Inc $92614 0.00% Held
773 Alnylam Pharmaceuticals Inc $91858 0.00% +40 +20.94%
774 Cameco Corp $91490 0.00% Held
775 Bny Mellon Etf Trust $91299 0.00% Held
776 Ishares Tr $91244 0.00% Held
777 Frp Hldgs Inc $91160 0.00% Held
778 Ishares Tr $90532 0.00% Held
779 Bgc Group Inc $90442 0.00% +23 +0.23%
780 Templeton Emerging Mkts Inco $90300 0.00% +500 +3.70%
781 Ishares Tr $90181 0.00% Held
782 Ferrari N V $90174 0.00% -24 -8.96%
783 Sofi Technologies Inc $90086 0.00% Held
784 Avalonbay Cmntys Inc $89205 0.00% -69 -12.30%
785 Ishares Tr $88823 0.00% Held
786 Post Hldgs Inc $88650 0.00% -405 -31.15%
787 Hubspot Inc $88286 0.00% +39 +21.55%
788 Fortune Brands Innovations I $88026 0.00% -264 -13.04%
789 Weyerhaeuser Co $87819 0.00% Held
790 Sba Communications Corp $87044 0.00% -36 -7.41%
791 Blackstone Secd Lending Fd $86889 0.00% Held
792 Strategy Inc $86033 0.00% -60 -9.58%
793 Bce Inc. $85752 0.00% Held
794 Skyworks Solutions Inc $85477 0.00% -190 -12.35%
795 Ab Active Etfs Inc $85437 0.00% Held
796 Public Storage Oper Co $84857 0.00% -26 -7.37%
797 Toronto Dominion Bk Ont $84780 0.00% Held
798 Proshares Tr $84642 0.00% Held
799 Ishares Tr $84274 0.00% -25 -2.72%
800 Chemung Finl Corp $83700 0.00% Held
801 Alexander & Baldwin Inc New $83654 0.00% Held
802 Dollar Gen Corp New $82982 0.00% -121 -16.22%
803 Eagle Matls Inc $82672 0.00% Held
804 Baxter International Inc $82346 0.00% -1186 -21.58%
805 Pimco Dynamic Income Fd $81944 0.00% Held
806 Ishares Tr $81566 0.00% Held
807 Applied Digital Corp $81064 0.00% +791 +31.45%
808 Invesco Exchange Traded Fd T $80921 0.00% Held
809 Invesco Exchange Traded Fd T $79490 0.00% Held
810 Ishares Tr $79301 0.00% -185 -13.50%
811 Cable One Inc $78995 0.00% Held
812 Fox Corp $78550 0.00% Held
813 Eaton Vance Tax-Managed Dive $78249 0.00% Held
814 Fti Consulting Inc $76874 0.00% Held
815 Keysight Technologies Inc $76806 0.00% +92 +32.17%
816 Arm Holdings Plc $75971 0.00% Held
817 Grayscale Bitcoin Mini Tr Et $75719 0.00% -11 -0.56%
818 Ishares 1-3 Yr Treasury Bond Etf $75201 0.00% Held
819 Pacer Fds Tr $74609 0.00% Held
820 Certara Inc $74145 0.00% Held
821 Mks Inc. $73886 0.00% Held
822 Harbor Commodity All Weather Strategy Etf $73840 0.00% Held
823 Red Rock Resorts Inc $73411 0.00% Held
824 Nvr Inc $72928 0.00% Held
825 Nasdaq Inc $71779 0.00% -165 -18.25%
826 Borgwarner Inc $71735 0.00% Held
827 Costar Group Inc $70400 0.00% -852 -44.87%
828 Rocket Lab Corp $69900 0.00% Held
829 Toyota Motor Corp $69356 0.00% Held
830 Pg&E Corp $69037 0.00% Held
831 Suncor Energy Inc New $68980 0.00% Held
832 Vanguard Bd Index Fds $68565 0.00% Held
833 Fidelity Covington Trust $68030 0.00% Held
834 John Marshall Bancorp Inc $67467 0.00% Held
835 Ast Spacemobile Inc $67038 0.00% +142 +18.18%
836 Bny Mellon Etf Trust $66887 0.00% Held
837 Vanguard World Fd $66051 0.00% -47 -11.63%
838 First Tr Exchange Traded Fd $65912 0.00% -31 -2.71%
839 Autoliv Inc $65879 0.00% Held
840 Fidelity Covington Trust $65814 0.00% Held
841 Fidelity Covington Trust $65692 0.00% +9 +0.78%
842 Linkbancorp Inc $65674 0.00% +23 +0.29%
843 Ishares Tr $65457 0.00% -141 -9.40%
844 First Trust Us Equity Opportunities Etf $65436 0.00% Held
845 Occidental Pete Corp $65388 0.00% -3 -0.19%
846 Charter Communications Inc N $64922 0.00% Held
847 Bio-Techne Corp $64691 0.00% Held
848 Coupang Inc $64684 0.00% +97 +3.67%
849 Sprott Asset Management Lp $64120 0.00% Held
850 Vaneck Etf Trust $63853 0.00% +164 +46.86%
851 Saul Centers, Inc. $63628 0.00% -1339172 -99.85%
852 Haleon Plc $63329 0.00% +2567 +69.43%
853 Spdr Barclays Capital Conv Securities Etf $62440 0.00% Held
854 Sprott Asset Management Lp $62176 0.00% Held
855 Rpm Intl Inc $61984 0.00% Held
856 Exact Sciences Corp $61952 0.00% -2019 -76.80%
857 Eaton Vance Tax Mgd Global Div Equity Income $61945 0.00% Held
858 Newmont Corp $61608 0.00% -183 -22.88%
859 Dover Corp $61501 0.00% Held
860 Ishares Tr $61351 0.00% +17 +1.49%
861 Motorola Solutions Inc $61331 0.00% Held
862 Proshares Tr $61251 0.00% +575 +51.11%
863 Vanguard Inter High Dividend Yield Fd Etf $60750 0.00% Held
864 Reddit Inc $60686 0.00% +194 +277.14%
865 Ishares Tr $59610 0.00% Held
866 Global X Fds $59361 0.00% +540 +49.18%
867 Advent Conv & Income Fd $58938 0.00% Held
868 Dominos Pizza Inc $58776 0.00% Held
869 Check Point Software Tech Lt $58637 0.00% -75 -19.18%
870 Tko Group Holdings Inc $58102 0.00% +100 +56.18%
871 Proshares Tr $57856 0.00% +523 +91.11%
872 Alliant Energy Corp $57729 0.00% NEW BUY
873 Ishares Tr $57332 0.00% Held
874 Lpl Finl Hldgs Inc $57148 0.00% Held
875 Boston Scientific Corp $57021 0.00% +569 +1962.07%
876 Hasbro Inc $56826 0.00% +38 +5.80%
877 Procore Technologies Inc $56592 0.00% Held
878 Molina Healthcare Inc $56401 0.00% -35 -9.72%
879 Schwab Strategic Tr $56286 0.00% +300 +32.05%
880 Ishares Short Treasury Bond Etf $56177 0.00% Held
881 Sony Group Corp $55860 0.00% Held
882 Enovis Corporation $55837 0.00% Held
883 Tc Energy Corp $55010 0.00% +500 +100.00%
884 Pimco Corporate & Incm Strg $54868 0.00% Held
885 Sarepta Therapeutics Inc $53800 0.00% Held
886 Wisdomtree Tr $53658 0.00% Held
887 Planet Fitness Inc $53584 0.00% +68 +15.96%
888 Uscf Etf Tr $53546 0.00% +23 +2.15%
889 Ishares Ethereum Tr $53069 0.00% +1531 +183.35%
890 Dollar Tree Inc $53017 0.00% Held
891 Alcon Ag $52487 0.00% -360 -35.09%
892 Blackrock Muniyield Fd Inc $52450 0.00% Held
893 Vanguard Mega Cap Growth Index Fund $52422 0.00% +45 +54.88%
894 Totalenergies Se $52386 0.00% NEW BUY
895 D-Wave Quantum Inc $52300 0.00% -25 -1.23%
896 Artisan Partners Asset Management Inc. $51944 0.00% Held
897 Mueller Inds Inc $51660 0.00% Held
898 Ishares Tr $51287 0.00% Held
899 Halliburton Co $51264 0.00% -703 -27.93%
900 Valley Natl Bancorp $51171 0.00% Held
901 Leonardo Drs Inc $51135 0.00% Held
902 Alarm Com Hldgs Inc $51020 0.00% Held
903 Unity Software Inc $50929 0.00% -97 -7.76%
904 Schwab Strategic Tr $50864 0.00% -1298 -45.56%
905 Bny Mellon Etf Trust Ii $50785 0.00% -1281 -42.26%
906 Avery Dennison Corp $50199 0.00% -79 -22.25%
907 Putnam Etf Trust $50157 0.00% NEW BUY
908 V.F. Corporation $50118 0.00% -173 -5.87%
909 Ishares Tr $50025 0.00% Held
910 Incyte Corp $49385 0.00% Held
911 Invesco Value Mun Income Tr $49286 0.00% -332 -7.66%
912 Ishares Tr $49135 0.00% +4 +0.99%
913 Spdr Series Trust $48936 0.00% +3 +0.29%
914 Fidelity Covington Trust $48859 0.00% Held
915 First Tr Exchange-Traded Alp $48753 0.00% Held
916 Astera Labs Inc $48744 0.00% -9 -2.98%
917 Mid-Amer Apt Cmntys Inc $48619 0.00% -90 -20.45%
918 Brinker Intl Inc $48207 0.00% -100 -22.94%
919 Yum China Hldgs Inc $47740 0.00% Held
920 Ishares Tr $47560 0.00% +115 +20.87%
921 Centene Corp Del $47323 0.00% Held
922 Invesco Exchange Traded Fd T $46989 0.00% Held
923 Nu Hldgs Ltd $46872 0.00% -100 -3.45%
924 Nushares Etf Tr $46722 0.00% Held
925 Fidelity Covington Trust $46567 0.00% Held
926 Kenvue Inc $46041 0.00% +50 +1.91%
927 Cornerstone Strategic Invest $45980 0.00% Held
928 Marten Trans Ltd $45816 0.00% Held
929 Canadian Imperial Bank Of Co $45305 0.00% Held
930 Nuvation Bio Inc $44800 0.00% Held
931 Expeditors Intl Wash Inc $44703 0.00% Held
932 Kyndryl Hldgs Inc $44330 0.00% +7 +0.42%
933 Ishares Tr $43830 0.00% Held
934 Commerce Bancshares Inc $43691 0.00% +40 +5.03%
935 Dolby Laboratories Inc $43670 0.00% Held
936 Morningstar Inc $43462 0.00% Held
937 Banco Santander Cen-Spon Adr $42815 0.00% -400 -9.88%
938 Vanguard World Fd $42581 0.00% Held
939 Twilio Inc $42530 0.00% -245 -45.04%
940 Dicks Sporting Goods Inc $42168 0.00% Held
941 International Paper Co $41950 0.00% Held
942 Wisdomtree Tr $41785 0.00% Held
943 Safe Pro Group Inc $41600 0.00% NEW BUY
944 Lululemon Athletica Inc $41563 0.00% -192 -48.98%
945 Ishares Tr $41298 0.00% Held
946 Vistra Corp $40978 0.00% Held
947 Ishares Tr $40893 0.00% +1 +0.06%
948 Fs Specialty Lending Fd $40823 0.00% NEW BUY
949 United Rentals Inc $40466 0.00% Held
950 Sealed Air Corp New $40395 0.00% -48 -4.69%
951 Nice Ltd. $40129 0.00% Held
952 Wisdomtree Tr $40100 0.00% Held
953 Ark Etf Tr $39979 0.00% Held
954 Amentum Holdings Inc $39933 0.00% -98 -6.64%
955 Charles Riv Labs Intl Inc $39896 0.00% Held
956 Stellantis Nv $39857 0.00% Held
957 Nuveen Multi Asset Income Fu $39785 0.00% Held
958 Amdocs Ltd $39450 0.00% +41 +9.13%
959 Spdr Series Trust $39181 0.00% +3 +0.44%
960 Spdr Portfolio Mortgage Backed $39092 0.00% Held
961 Ishares Inc $38463 0.00% +25 +2.84%
962 Fidelity Covington Trust $38212 0.00% Held
963 Flutter Entmt Plc $38062 0.00% +45 +34.09%
964 Bank Ozk $37967 0.00% Held
965 Hercules Capital Inc $37960 0.00% Held
966 Global X Fds $37726 0.00% -5 -1.09%
967 Annaly Capital Management In $37663 0.00% -183 -9.80%
968 Gap Inc $37632 0.00% +1 +0.07%
969 Schwab Strategic Tr $37619 0.00% Held
970 Teva Pharmaceutical Inds Ltd $37608 0.00% Held
971 Cgi Inc $37567 0.00% Held
972 Factset Resh Sys Inc $37435 0.00% -33 -20.37%
973 Paramount Skydance Corp $37374 0.00% Held
974 Vaneck Etf Trust $37282 0.00% Held
975 Global X Fds $36961 0.00% Held
976 Invesco Actvely Mngd Etc Fd $36747 0.00% +14 +0.51%
977 Nuveen Quality Muncp Income $36481 0.00% Held
978 First American Financial Corp. $36250 0.00% Held
979 Schwab Strategic Tr $36088 0.00% +1 +0.09%
980 Kkr & Co Inc $36077 0.00% +31 +12.30%
981 Fresenius Medical Care Ag $35730 0.00% Held
982 Onemain Hldgs Inc $35667 0.00% NEW BUY
983 Invesco Exchange Traded Fd T $35605 0.00% Held
984 Delta Air Lines Inc Del $35599 0.00% -817 -61.43%
985 Talen Energy Corp $35235 0.00% Held
986 Resideo Technologies Inc $35120 0.00% Held
987 Hancock John Finl Opptys $35080 0.00% Held
988 Simon Ppty Group Inc New $34986 0.00% -20 -9.57%
989 Akamai Technologies Inc $34464 0.00% Held
990 Apa Corporation $33999 0.00% Held
991 Grayscale Bitcoin Trust $33907 0.00% -100 -16.78%
992 American Wtr Wks Co Inc New $33539 0.00% -32 -11.07%
993 Advance Auto Parts Inc $33405 0.00% Held
994 Townebank Portsmouth Va $33370 0.00% Held
995 Blackrock Enhanced Equity Di $33180 0.00% Held
996 Cenovus Energy Inc $33163 0.00% Held
997 Vanguard Intl Equity Index F $32959 0.00% +545 +313.22%
998 Meritage Homes Corporation $32571 0.00% Held
999 Centrus Energy Corp $32287 0.00% Held
1000 Credo Technology Group Holdi $32088 0.00% +48 +27.43%
1001 Caseys Gen Stores Inc $32057 0.00% Held
1002 Ishares Tr $31781 0.00% +100 +20.49%
1003 Accendra Health Inc $31525 0.00% Held
1004 East West Bancorp Inc $31357 0.00% NEW BUY
1005 Blackrock Enhanced Intl Div $31329 0.00% Held
1006 Digitalbridge Group Inc $31294 0.00% NEW BUY
1007 J P Morgan Exchange Traded F $31155 0.00% NEW BUY
1008 Ishares 3-7 Year Treasury Bond Etf $31031 0.00% Held
1009 Dte Energy Co $30956 0.00% -213 -47.02%
1010 Nu Skin Enterprises Inc $30931 0.00% +18 +0.56%
1011 Entrepreneurshares Series Tr $30835 0.00% -100 -6.13%
1012 American Intl Group Inc $30798 0.00% Held
1013 Ishares Tr $30741 0.00% +144 +153.19%
1014 Rubrik Inc. $30592 0.00% +200 +100.00%
1015 Healthcare Rlty Tr $30510 0.00% Held
1016 Nio Inc $30345 0.00% +2950 +98.33%
1017 Wisdomtree Tr $29940 0.00% Held
1018 Spdr S&P Kensho New Economies Composite Etf $29865 0.00% -340 -40.48%
1019 Ishares Iboxx $ Investment Grade Corp Bonds $29861 0.00% -16 -5.57%
1020 Centerpoint Energy Inc $29598 0.00% Held
1021 Vanguard Consumer Staple Etf $29574 0.00% Held
1022 J P Morgan Exchange Traded F $29546 0.00% Held
1023 Blackline Inc $29526 0.00% +49 +10.10%
1024 Rithm Capital Corp $29430 0.00% Held
1025 Apollo Global Mgmt Inc $29387 0.00% +4 +2.01%
1026 Kratos Defense & Sec Solutio $29226 0.00% +380 +7600.00%
1027 Fidus Invt Corp $28950 0.00% Held
1028 Textron Inc $28941 0.00% Held
1029 Gladstone Cap Corp $28924 0.00% Held
1030 Comstock Resources, Inc. $28859 0.00% Held
1031 Southwest Airls Co $28783 0.00% -1470 -67.87%
1032 American Finl Group Inc Ohio $28703 0.00% Held
1033 Tidewater Inc New $28690 0.00% Held
1034 Bny Mellon Etf Trust $28355 0.00% Held
1035 Essential Utils Inc $28118 0.00% Held
1036 Amplify Etf Tr $28092 0.00% Held
1037 Clearbridge Energy Midstream $28085 0.00% Held
1038 Etf Ser Solutions $27908 0.00% NEW BUY
1039 Kkr Income Opportunities Fd $27897 0.00% -4903 -67.07%
1040 J P Morgan Exchange Traded F $27880 0.00% NEW BUY
1041 Ideaya Biosciences Inc $27656 0.00% Held
1042 Cnx Res Corp $27578 0.00% Held
1043 Fidelity Covington Trust $27564 0.00% Held
1044 Royce Global Trust Inc $27531 0.00% Held
1045 Adams Diversified Equity Fd $27401 0.00% Held
1046 Blue Owl Capital Corporation $27383 0.00% +3 +0.14%
1047 Global X Fds $27354 0.00% Held
1048 Taylor Morrison Home Corporation $27316 0.00% Held
1049 Doximity Inc $27276 0.00% Held
1050 Invesco High Income Tr Ii $27254 0.00% +39 +1.62%
1051 Cms Energy Corp $27064 0.00% -97 -20.04%
1052 Roku Inc $27014 0.00% +4 +1.63%
1053 Dorchester Minerals Lp $26832 0.00% Held
1054 Fortrea Hldgs Inc $26755 0.00% -188 -10.81%
1055 First Horizon Corporation $26744 0.00% Held
1056 Targa Res Corp $26568 0.00% NEW BUY
1057 Southern Copper Corp $26545 0.00% +2 +1.09%
1058 Duolingo Inc $26501 0.00% +51 +51.00%
1059 Curtiss Wright Corp $26461 0.00% Held
1060 Allegion Plc $26431 0.00% Held
1061 Williams Sonoma Inc $26239 0.00% +50 +51.55%
1062 Xpo Inc $26095 0.00% Held
1063 Expand Energy Corporation $25825 0.00% +100 +74.63%
1064 Atlassian Corporation $25618 0.00% -42 -21.00%
1065 Capital Group Growth Etf $25259 0.00% Held
1066 Fidelity National Financial $25221 0.00% -10 -2.12%
1067 Tcw Etf Trust $25183 0.00% +1 +0.32%
1068 Spdr Index Shs Fds $25170 0.00% +3 +0.75%
1069 Alamos Gold Inc New $25116 0.00% NEW BUY
1070 First Natl Corp $25114 0.00% Held
1071 Select Sector Spdr Tr $25075 0.00% +103 +93.64%
1072 First Tr Exchange-Traded Fd $24972 0.00% Held
1073 Nuscale Pwr Corp $24897 0.00% +307 +21.17%
1074 Proshares Tr $24875 0.00% Held
1075 Spdr Series Trust $24856 0.00% Held
1076 Blackrock Enhanced Large Cap $24702 0.00% Held
1077 Bny Mellon Etf Trust $24632 0.00% Held
1078 Ishares Tr $24490 0.00% Held
1079 Abrdn Total Dynamic Dividend $24375 0.00% Held
1080 Kroger Co $24368 0.00% Held
1081 Nokia Corp $24231 0.00% -10 -0.27%
1082 Kontoor Brands Inc $24192 0.00% Held
1083 Bassett Furniture Inds Inc $24134 0.00% -400 -21.74%
1084 Sanofi Sa $23988 0.00% Held
1085 Schwab Strategic Tr $23914 0.00% Held
1086 Blackrock Floating Rate Inc $23793 0.00% Held
1087 Argenx Se $23547 0.00% +8 +40.00%
1088 Dbx Etf Tr $23445 0.00% +4 +0.63%
1089 City Office Reit Inc $23290 0.00% Held
1090 Cohen & Steers Quality Incom $23035 0.00% Held
1091 Lamar Advertising Co $22911 0.00% Held
1092 Pdd Holdings Inc $22678 0.00% Held
1093 Ingersoll Rand Inc $22657 0.00% Held
1094 Kb Home $22564 0.00% Held
1095 Diamondback Energy Inc $22550 0.00% Held
1096 Quantumscape Corp $22549 0.00% -840 -27.96%
1097 Oscar Health Inc $22403 0.00% Held
1098 Ishares Tr $22393 0.00% Held
1099 Toll Brothers Inc $22176 0.00% Held
1100 Omega Healthcare Invs Inc $22170 0.00% Held
1101 Rigetti Computing Inc $22150 0.00% NEW BUY
1102 Nrg Energy Inc $22136 0.00% -40 -22.35%
1103 J P Morgan Exchange Traded F $22064 0.00% NEW BUY
1104 Royce Micro-Cap Tr Inc $21862 0.00% Held
1105 Spdr Series Trust $21550 0.00% Held
1106 Vodafone Group Plc $21467 0.00% +1222 +303.23%
1107 Destiny Tech100 Inc $21441 0.00% NEW BUY
1108 Celsius Hldgs Inc $21407 0.00% Held
1109 Amplify Etf Tr $21249 0.00% Held
1110 Teradata Corp Del $20974 0.00% Held
1111 Iren Limited $20908 0.00% +262 +89.73%
1112 Alliance Resource Partners L $20907 0.00% Held
1113 Cars Com Inc $20862 0.00% Held
1114 Cava Group Inc $20777 0.00% -74 -17.29%
1115 Exchange Traded Concepts Tru $20735 0.00% Held
1116 Brookfield Infrastructure Co $20612 0.00% Held
1117 Blackrock Munihldngs Cali Ql $20554 0.00% Held
1118 First Tr Exchange-Traded Fd $20489 0.00% Held
1119 Viatris Inc $20484 0.00% -71 -4.14%
1120 Blackstone Mtg Tr Inc $20431 0.00% Held
1121 Sana Biotechnology Inc $20399 0.00% NEW BUY
1122 Agco Corporation $20342 0.00% -131 -40.18%
1123 American Airlines Group Inc $20276 0.00% +1022 +339.53%
1124 Biogen Inc $20239 0.00% Held
1125 Eaton Vance Tax Advt Div Inc $20144 0.00% Held
1126 Cincinnati Finl Corp $20088 0.00% +22 +21.78%
1127 Transmedics Group Inc $19951 0.00% NEW BUY
1128 Starwood Ppty Tr Inc $19937 0.00% Held
1129 Vaneck Etf Trust $19852 0.00% Held
1130 Edison International $19807 0.00% NEW BUY
1131 Ishares Tr $19761 0.00% Held
1132 One Gas Inc $19622 0.00% Held
1133 Fidelity Covington Trust $19425 0.00% Held
1134 Eaton Vance Tx Adv Glbl Div $19242 0.00% Held
1135 Trustmark Corporation $19241 0.00% Held
1136 Aecom $19066 0.00% Held
1137 Vaneck Etf Trust $19015 0.00% Held
1138 Epr Pptys $18962 0.00% -93 -19.66%
1139 Schwab Strategic Tr $18762 0.00% +3 +0.34%
1140 Fs Kkr Cap Corp $18601 0.00% Held
1141 Natwest Group Plc $18585 0.00% Held
1142 Nuveen Amt Free Mun Cr Inc F $18585 0.00% Held
1143 Manchester Utd Plc New $18564 0.00% +1150 +7187.50%
1144 Banco Bilbao Vizcaya Argenta $18555 0.00% Held
1145 Liberty Media Corp Del $18520 0.00% Held
1146 Sabra Health Care Reit Inc $18485 0.00% -250 -20.39%
1147 Nuveen Amt Free Qlty Mun Inc $18027 0.00% Held
1148 Civitas Resources Inc $17794 0.00% +102 +18.38%
1149 First Tr Exchange-Traded Alp $17793 0.00% Held
1150 Cogent Communications Hldgs $17766 0.00% Held
1151 Steris Plc $17747 0.00% NEW BUY
1152 Relx Plc $17745 0.00% Held
1153 Yeti Hldgs Inc $17668 0.00% Held
1154 Central Secs Corp $17495 0.00% Held
1155 Invesco Exchng Traded Fd Tr Ii $17438 0.00% Held
1156 Grayscale Ethereum Mini Tr E $17370 0.00% +3 +0.49%
1157 Dynatrace Inc $17336 0.00% NEW BUY
1158 Transdigm Group Inc $17288 0.00% Held
1159 Ark Etf Tr $17026 0.00% +100 +208.33%
1160 Docusign Inc $16964 0.00% -57 -18.69%
1161 Abm Inds Inc $16920 0.00% Held
1162 Pure Storage Inc $16760 0.00% +60 +31.58%
1163 Tredegar Corp $16744 0.00% -76 -3.16%
1164 Ishares Tr $16561 0.00% +2 +1.18%
1165 Sentinelone Inc $16545 0.00% -60 -5.16%
1166 Keycorp $16534 0.00% Held
1167 Seagate Technology Hldngs Pl $16524 0.00% -20 -25.00%
1168 Cleanspark Inc $16415 0.00% +906 +126.54%
1169 Ishares Tr $16289 0.00% Held
1170 Ishares Tr $16161 0.00% Held
1171 Oceanfirst Finl Corp $16155 0.00% Held
1172 Blackrock Tech And Private E $16126 0.00% Held
1173 Amplify Etf Tr $16114 0.00% Held
1174 Ishares Tr $16111 0.00% Held
1175 Blackrock Core Bd Tr $16063 0.00% -6000 -78.18%
1176 Provident Finl Svcs Inc $15998 0.00% Held
1177 Ionis Pharmaceuticals Inc $15822 0.00% Held
1178 Atlanta Braves Hldgs Inc $15780 0.00% Held
1179 Citizens & Northn Corp $15773 0.00% Held
1180 Triplepoint Venture Growth B $15696 0.00% Held
1181 Pentair Plc $15621 0.00% Held
1182 Penumbra Inc $15546 0.00% Held
1183 National Grid Plc $15470 0.00% Held
1184 Crocs Inc $15394 0.00% +125 +227.27%
1185 Sea Ltd $15309 0.00% +6 +5.26%
1186 Canadian Natl Ry Co $15224 0.00% -103 -40.08%
1187 Alliancebernstein Global Hig $14966 0.00% Held
1188 Molson Coors Beverage Co $14873 0.00% +3 +0.95%
1189 Etf Ser Solutions $14607 0.00% Held
1190 Under Armour Inc $14586 0.00% -233 -7.31%
1191 Hunt J B Trans Svcs Inc $14576 0.00% Held
1192 Mgm Resorts International $14414 0.00% Held
1193 Rocket Cos Inc $14366 0.00% +51 +7.38%
1194 Old Dominion Freight Line In $14269 0.00% -14106 -99.36%
1195 Boston Beer Inc $14246 0.00% +10 +15.87%
1196 Proshares Tr $14199 0.00% Held
1197 Hsbc Holdings Plc Spon Adr $14161 0.00% Held
1198 Ralph Lauren Corp $14145 0.00% NEW BUY
1199 Ishares Tr $13974 0.00% Held
1200 Gentex Corp $13962 0.00% Held
1201 Bny Mellon Etf Trust $13918 0.00% Held
1202 Solaris Energy Infras Inc $13791 0.00% Held
1203 Ishares Tr $13762 0.00% NEW BUY
1204 Simpson Mfg Inc $13725 0.00% Held
1205 Ishares Tr $13723 0.00% Held
1206 Ishares Tr $13720 0.00% Held
1207 Schwab Strategic Tr $13686 0.00% +14 +3.83%
1208 Vanguard Intl Equity Index F $13629 0.00% +102 +167.21%
1209 Clean Harbors Inc $13600 0.00% Held
1210 Arbor Realty Trust Inc $13580 0.00% -2055 -54.01%
1211 Better Home & Finance Holdin $13554 0.00% NEW BUY
1212 Netskope Inc $13085 0.00% NEW BUY
1213 Energy Vault Holdings Inc $12908 0.00% Held
1214 Abrdn World Healthcare Fund $12780 0.00% Held
1215 Alaska Air Group Inc $12777 0.00% Held
1216 Ishares Inc $12744 0.00% Held
1217 Nuveen New York Amt Qlt Muni $12673 0.00% Held
1218 Lazard Global Total Return & $12644 0.00% Held
1219 Mongodb Inc $12591 0.00% Held
1220 Western Digital Corp $12576 0.00% NEW BUY
1221 Banner Corp $12532 0.00% Held
1222 Newtekone Inc $12485 0.00% -100 -8.33%
1223 Spdr Series Trust $12438 0.00% +17 +17.00%
1224 America Movil Sab De Cv $12402 0.00% Held
1225 Toast Inc $12287 0.00% -176 -33.72%
1226 Neuberger Berman Energy Infra & Income Fund $12155 0.00% Held
1227 Global X Fds $12150 0.00% Held
1228 Blackrock Muniholdings Quali $12036 0.00% Held
1229 Gladstone Ld Corp $11895 0.00% Held
1230 Txnm Energy Inc $11718 0.00% Held
1231 Mitsubishi Ufj Finl Group In $11514 0.00% Held
1232 Ptc Therapeutics Inc $11394 0.00% Held
1233 Energy Fuels Inc $11342 0.00% NEW BUY
1234 Pimco Dynamic Income Strateg $11268 0.00% Held
1235 Invesco Exch Traded Fd Tr Ii $11240 0.00% Held
1236 Goldman Sachs Etf Tr $11209 0.00% NEW BUY
1237 Neos Etf Trust $11203 0.00% NEW BUY
1238 Shake Shack Inc $11202 0.00% NEW BUY
1239 Pennantpark Floating Rate Ca $11124 0.00% -1500 -55.56%
1240 Vanguard Admiral Fds Inc $11096 0.00% Held
1241 Under Armour Inc $11033 0.00% -900 -28.85%
1242 Ssga Active Etf Tr $11029 0.00% +240 +705.88%
1243 Ishares Inc $10981 0.00% Held
1244 Blackrock Res & Commodities $10980 0.00% Held
1245 Henry Schein Inc $10959 0.00% -105 -42.00%
1246 Fidelity Natl Information Sv $10900 0.00% Held
1247 Astronics Corp $10848 0.00% NEW BUY
1248 Plains All Amern Pipeline L $10776 0.00% Held
1249 Medical Pptys Trust Inc $10475 0.00% -2526 -54.66%
1250 Mplx Lp $10354 0.00% Held
1251 Pagaya Technologies Ltd $10346 0.00% Held
1252 Quantum Computing Inc $10260 0.00% +975 +3900.00%
1253 Collegium Pharmaceutical Inc $10232 0.00% NEW BUY
1254 Litman Gregory Fds Tr $10230 0.00% NEW BUY
1255 Diversified Healthcare Tr $10214 0.00% -584 -21.71%
1256 Sailpoint Inc $10196 0.00% Held
1257 Aurora Innovation Inc $9973 0.00% -1103 -29.81%
1258 Tortoise Energy Infrstrctr C $9939 0.00% Held
1259 Ishares Barclays 20 Plus Year Treasury Bond Fund $9936 0.00% +50 +78.12%
1260 Stmicroelectronics N V $9936 0.00% NEW BUY
1261 Antero Midstream Corp $9892 0.00% Held
1262 Hdfc Bank Ltd $9866 0.00% -120 -30.77%
1263 Prospect Cap Corp $9842 0.00% Held
1264 Permrock Royalty Trust $9765 0.00% Held
1265 Ondas Hldgs Inc $9760 0.00% NEW BUY
1266 Spdr Series Trust $9725 0.00% Held
1267 Lazard Inc $9712 0.00% Held
1268 Goldman Sachs Etf Tr $9705 0.00% Held
1269 First Tr Exchange Traded Fd $9684 0.00% Held
1270 Invesco Exchange Traded Fd T $9682 0.00% Held
1271 Blackrock Muniholdings Fd In $9663 0.00% Held
1272 Qfin Holdings Inc $9635 0.00% Held
1273 Vitesse Energy Inc $9630 0.00% NEW BUY
1274 Pembina Pipeline Corp $9515 0.00% Held
1275 Blackrock Energy & Res Tr $9478 0.00% Held
1276 Celestica Inc $9460 0.00% NEW BUY
1277 J P Morgan Exchange Traded F $9459 0.00% NEW BUY
1278 Vaneck Etf Trust $9432 0.00% +6 +1.90%
1279 Listed Fds Tr $9390 0.00% Held
1280 Northwest Nat Hldg Co $9348 0.00% Held
1281 Mp Materials Corp $9347 0.00% +176 +1955.56%
1282 Nxg Cushing Midstream Energy $9294 0.00% Held
1283 Natera Inc $9165 0.00% +9 +29.03%
1284 Carnival Corp $9162 0.00% -119 -28.40%
1285 Ncr Atleos Corporation $9147 0.00% Held
1286 Millerknoll Inc $9140 0.00% Held
1287 Ishares Tr $9092 0.00% Held
1288 Dt Midstream Inc $8976 0.00% Held
1289 Westlake Chem Partners Lp $8835 0.00% Held
1290 Barclays Plc Spons Adr $8806 0.00% NEW BUY
1291 Sixth Street Specialty Lendi $8688 0.00% Held
1292 Calamos Etf Tr $8646 0.00% NEW BUY
1293 Tetra Tech Inc New $8602 0.00% Held
1294 Schwab Strategic Tr $8587 0.00% Held
1295 Everus Constr Group $8556 0.00% NEW BUY
1296 Invesco Exch Traded Fd Tr Ii $8499 0.00% NEW BUY
1297 Ishares Inc $8462 0.00% Held
1298 Hyatt Hotels Corp $8337 0.00% Held
1299 Circle Internet Group Inc $8327 0.00% +70 +200.00%
1300 Alexandria Real Estate Eq In $8320 0.00% -1794 -91.34%
1301 Onestream Inc $8271 0.00% Held
1302 Shenandoah Telecommunication $8268 0.00% Held
1303 Blackrock Health Sciences Tr $8226 0.00% -200 -50.00%
1304 Thor Industries $8214 0.00% Held
1305 Invesco Exch Traded Fd Tr Ii $8053 0.00% Held
1306 Moderna Inc $8052 0.00% -67 -19.71%
1307 Emcor Group Inc $7954 0.00% +2 +18.18%
1308 Crown Hldgs Inc $7929 0.00% NEW BUY
1309 Brookfield Infrast Partners $7817 0.00% -2611 -92.07%
1310 Mdu Res Group Inc $7808 0.00% NEW BUY
1311 Reliance Inc $7800 0.00% -5 -15.62%
1312 Invesco Exch Traded Fd Tr Ii $7704 0.00% NEW BUY
1313 Alliancebernstein Hldg L P $7696 0.00% Held
1314 Ellington Financial Inc $7673 0.00% Held
1315 Acv Auctions Inc $7619 0.00% Held
1316 Carvana Co $7597 0.00% -2 -10.00%
1317 Olin Corporation $7582 0.00% Held
1318 Nuveen Global High Income Fd $7566 0.00% Held
1319 Comfort Sys Usa Inc $7467 0.00% Held
1320 Schwab Strategic Tr $7418 0.00% -201 -41.79%
1321 Xerox Holdings Corp $7417 0.00% -749 -19.31%
1322 Invesco Exch Traded Fd Tr Ii $7407 0.00% Held
1323 Genco Shipping & Trading Ltd $7372 0.00% -1284 -76.25%
1324 Smurfit Westrock Plc $7348 0.00% -312 -62.15%
1325 U S Physical Therapy $7340 0.00% +47 +100.00%
1326 Quantum Biopharma Ltd $7300 0.00% NEW BUY
1327 Cellectis S A $7260 0.00% Held
1328 Amplify Etf Tr $7209 0.00% Held
1329 Celanese Corp Del $7188 0.00% Held
1330 Ishares Tr $7152 0.00% NEW BUY
1331 Expedia Group Inc $7083 0.00% Held
1332 Knife River Corp $7035 0.00% NEW BUY
1333 Crescent Cap Bdc Inc $7025 0.00% Held
1334 Ishares Tr $6991 0.00% NEW BUY
1335 Nebius Group N.V. $6948 0.00% NEW BUY
1336 Usa Rare Earth Inc $6831 0.00% NEW BUY
1337 Nuveen Mun Value Fd Inc $6795 0.00% Held
1338 Roblox Corp $6726 0.00% +25 +43.10%
1339 National Bankshares Inc Va $6706 0.00% Held
1340 Definium Therapeutics Inc $6695 0.00% NEW BUY
1341 Schwab Strategic Tr $6601 0.00% +101 +100.00%
1342 Sigma Lithium Corporation $6595 0.00% Held
1343 Profesionally Managed Portfo $6551 0.00% NEW BUY
1344 Adam Nat Res Fd Inc $6522 0.00% Held
1345 Postal Realty Trust Inc $6456 0.00% Held
1346 M/I Homes Inc $6398 0.00% Held
1347 Meiragtx Hldgs Plc $6360 0.00% Held
1348 Doordash Inc $6342 0.00% -61 -68.54%
1349 Thomson Reuters Corp $6331 0.00% Held
1350 Cdw Corp $6265 0.00% Held
1351 Vanguard World Fd $6169 0.00% NEW BUY
1352 Ati Inc $6083 0.00% NEW BUY
1353 Nuveen Pfd & Income Opportun $6066 0.00% -2 -0.27%
1354 Fidelity Ethereum Fd $6041 0.00% +4 +2.00%
1355 Masterbrand Inc $6006 0.00% Held
1356 Driven Brands Hldgs Inc $5928 0.00% Held
1357 Invesco Currencyshares Japan $5867 0.00% NEW BUY
1358 Donnelley Finl Solutions Inc $5836 0.00% Held
1359 Oaktree Specialty Lending $5809 0.00% Held
1360 Ferguson Enterprises Inc $5788 0.00% -74 -74.00%
1361 Beta Technologies Inc $5642 0.00% NEW BUY
1362 Oge Energy Corp $5637 0.00% Held
1363 Capital Bancorp Inc Md $5634 0.00% -150 -42.86%
1364 Sunrun Inc $5520 0.00% Held
1365 Barings Bdc Inc $5508 0.00% Held
1366 Venture Global Inc $5436 0.00% NEW BUY
1367 Topbuild Corp $5424 0.00% Held
1368 Ishares Inc $5412 0.00% Held
1369 Agnc Invt Corp $5360 0.00% -2455 -83.08%
1370 Eagle Bancorp Inc Md $5355 0.00% -2800 -91.80%
1371 Conduent Inc $5325 0.00% +3 +0.11%
1372 Schwab Strategic Tr $5302 0.00% Held
1373 Carter Bankshares Inc $5269 0.00% Held
1374 Vaneck Etf Trust $5265 0.00% +50 +100.00%
1375 Box Inc $5239 0.00% Held
1376 Algonquin Pwr Utils Corp $5228 0.00% NEW BUY
1377 Conagra Brands Inc $5193 0.00% -240 -44.44%
1378 Manulife Finl Corp $5189 0.00% -448 -75.80%
1379 Ishares Inc $5128 0.00% Held
1380 Idaho Strategic Resources $5119 0.00% NEW BUY
1381 Harrow Inc $5096 0.00% NEW BUY
1382 Caribou Biosciences Inc $5088 0.00% Held
1383 First Tr Exch Trd Alphdx Fd $5062 0.00% Held
1384 Wendys Co $4998 0.00% Held
1385 Vornado Rlty Tr $4992 0.00% Held
1386 Vaneck Etf Trust $4984 0.00% Held
1387 Tidal Trust I $4952 0.00% Held
1388 J P Morgan Exchange Traded F $4927 0.00% Held
1389 Ncr Voyix Corporation $4896 0.00% Held
1390 Hackett Group Inc $4816 0.00% Held
1391 Compass Diversified $4800 0.00% -139 -12.20%
1392 Bellring Brands Inc $4731 0.00% Held
1393 Editas Medicine Inc $4720 0.00% Held
1394 Bitmine Immersion Tecnologie $4643 0.00% NEW BUY
1395 Eaton Vance Tax-Managed Glob $4610 0.00% NEW BUY
1396 Reaves Util Income Fd $4609 0.00% Held
1397 Repligen Corp $4589 0.00% NEW BUY
1398 Americold Realty Trust Inc $4501 0.00% NEW BUY
1399 Pimco Income Strategy Fd Ii $4500 0.00% -400 -40.00%
1400 Etsy Inc $4491 0.00% +29 +55.77%
1401 Keurig Dr Pepper Inc $4482 0.00% Held
1402 Spdr Series Trust $4474 0.00% Held
1403 Icici Bank Limited $4470 0.00% +25 +20.00%
1404 Usa Today Co Inc $4465 0.00% Held
1405 Spdr Series Trust $4428 0.00% NEW BUY
1406 Lemonade Inc $4414 0.00% -1 -1.59%
1407 Penn Entertainment Inc $4396 0.00% Held
1408 Solaredge Technologies Inc $4386 0.00% +2 +1.33%
1409 Crescent Energy Company $4367 0.00% +6 +1.17%
1410 Fluor Corp New $4360 0.00% Held
1411 Chicago Atlantic Real Estate $4316 0.00% Held
1412 Mach Natural Resources Lp $4241 0.00% +8 +2.13%
1413 Bigbear Ai Hldgs Inc $4239 0.00% Held
1414 Direxion Shs Etf Tr $4123 0.00% +4 +22.22%
1415 Spdr Series Trust $4101 0.00% Held
1416 Wabtec $4097 0.00% -1 -5.00%
1417 Palomar Hldgs Inc $4043 0.00% NEW BUY
1418 Corcept Therapeutics Inc $4037 0.00% Held
1419 Affirm Hldgs Inc $3871 0.00% NEW BUY
1420 American Battery Technology $3865 0.00% Held
1421 Lyft Inc $3855 0.00% +198 +19800.00%
1422 Opendoor Technologies Inc $3837 0.00% +641 +3770.59%
1423 Ishares Tr $3809 0.00% Held
1424 Morgan Stanley Emerging Mkts $3801 0.00% Held
1425 Pimco Mun Income Fd Ii $3801 0.00% Held
1426 Gamestop Corp New $3796 0.00% Held
1427 Ishares Tr $3773 0.00% NEW BUY
1428 Constellium Se $3770 0.00% Held
1429 Tidal Trust Ii $3763 0.00% NEW BUY
1430 Ovid Therapeutics Inc $3749 0.00% Held
1431 Fidelity Covington Trust $3730 0.00% Held
1432 Ishares Tr $3700 0.00% Held
1433 Toro Co $3700 0.00% NEW BUY
1434 Invesco Db Multi-Sector Comm $3660 0.00% Held
1435 Occidental Pete Corp $3639 0.00% Held
1436 Roundhill Etf Trust $3548 0.00% NEW BUY
1437 Alps Etf Tr $3520 0.00% Held
1438 Viking Therapeutics Inc $3518 0.00% -35 -25.93%
1439 Evgo Inc $3467 0.00% +44 +3.84%
1440 Zillow Group Inc $3412 0.00% Held
1441 Solventum Corp $3408 0.00% -146 -77.25%
1442 Liberty Media Corp Del $3396 0.00% Held
1443 Abivax Sa $3372 0.00% NEW BUY
1444 Chimera Invt Corp $3329 0.00% +2 +0.75%
1445 Vanguard World Fd $3291 0.00% -74 -59.20%
1446 Nisource Inc $3258 0.00% Held
1447 Abrdn Income Credit Strategi $3246 0.00% Held
1448 Intuitive Machines Inc $3246 0.00% Held
1449 Enphase Energy Inc $3205 0.00% -25 -20.00%
1450 Lamb Weston Hldgs Inc $3142 0.00% -333 -81.62%
1451 Elemental Rty Corp $3140 0.00% NEW BUY
1452 Organon & Co $3120 0.00% -50 -10.31%
1453 Microvast Holdings Inc $3108 0.00% Held
1454 Shoals Technologies Group In $3103 0.00% Held
1455 Nvent Electric Plc $3060 0.00% Held
1456 Ishares Tr $3034 0.00% Held
1457 Brown & Brown Inc $3029 0.00% Held
1458 Gabelli Global Small & Mid C $3000 0.00% Held
1459 Rmr Group Inc $2980 0.00% Held
1460 Mosaic Co New $2961 0.00% +101 +459.09%
1461 Vaneck Etf Trust $2961 0.00% Held
1462 Nushares Etf Tr $2897 0.00% NEW BUY
1463 Highwoods Pptys Inc $2892 0.00% Held
1464 Klarna Group Plc $2891 0.00% NEW BUY
1465 Humacyte Inc $2882 0.00% +2000 +200.00%
1466 Aes Corp $2868 0.00% Held
1467 Helmerich & Payne Inc $2868 0.00% Held
1468 Fidelity Covington Trust $2854 0.00% Held
1469 Smucker J M Co $2852 0.00% Held
1470 Vanguard World Fd $2808 0.00% Held
1471 South Bow Corp $2747 0.00% NEW BUY
1472 Clearpoint Neuro Inc $2736 0.00% NEW BUY
1473 Grindr Inc $2708 0.00% NEW BUY
1474 Pinterest Inc $2667 0.00% -803 -88.63%
1475 Qorvo Inc $2535 0.00% Held
1476 Chewy Inc $2512 0.00% -24 -24.00%
1477 Navitas Semiconductor Corp $2499 0.00% +250 +250.00%
1478 Saba Capital Income & Opport $2475 0.00% Held
1479 Tidal Trust Ii $2447 0.00% NEW BUY
1480 Ishares Inc $2431 0.00% NEW BUY
1481 Best Buy Inc $2430 0.00% +36 +%
1482 Growgeneration Corp $2400 0.00% +300 +23.08%
1483 Spdr Series Trust $2377 0.00% Held
1484 Global X Fds $2371 0.00% Held
1485 Ishares Inc $2342 0.00% NEW BUY
1486 Madrigal Pharmaceuticals Inc $2330 0.00% NEW BUY
1487 Ventas Inc $2321 0.00% Held
1488 Chemours Co $2311 0.00% Held
1489 Digitalocean Hldgs Inc $2310 0.00% NEW BUY
1490 Cipher Mining Inc $2260 0.00% +150 +5000.00%
1491 Trump Media & Technology Gro $2251 0.00% Held
1492 Norwegian Cruise Line Hldg L $2232 0.00% Held
1493 Ishares Gold Tr $2150 0.00% Held
1494 Txo Partners Lp $2134 0.00% Held
1495 Northwestern Energy Group In $2130 0.00% +12 +57.14%
1496 Cronos Group Inc $2104 0.00% Held
1497 Advansix Inc $2093 0.00% Held
1498 Liberty Live Holdings Inc $2079 0.00% NEW BUY
1499 Serve Robotics Inc $2076 0.00% Held
1500 Abrdn Palladium Etf Trust $2036 0.00% Held
1501 Telefonica S A $2025 0.00% Held
1502 Direxion Shs Etf Tr $2021 0.00% -19 -38.00%
1503 Hagerty Inc $2016 0.00% Held
1504 Etf Opportunities Trust $2003 0.00% NEW BUY
1505 Boyd Gaming Corp $1991 0.00% Held
1506 Okta Inc $1989 0.00% -50 -68.49%
1507 Western Un Co $1984 0.00% Held
1508 Confluent Inc $1966 0.00% NEW BUY
1509 Brighthouse Finl Inc $1945 0.00% Held
1510 Inspire Med Sys Inc $1937 0.00% NEW BUY
1511 Grab Holdings Limited $1872 0.00% +150 +66.67%
1512 Joby Aviation Inc $1870 0.00% Held
1513 Uipath Inc $1869 0.00% +94 +470.00%
1514 Ark Etf Tr $1851 0.00% +1 +8.33%
1515 Cmb.Tech Nv $1834 0.00% Held
1516 Tempus Ai Inc $1831 0.00% +16 +106.67%
1517 Two Hbrs Invt Corp $1828 0.00% +81 +87.10%
1518 Invesco Exchange Traded Fd T $1816 0.00% Held
1519 B2gold Corp $1804 0.00% Held
1520 Direxion Shs Etf Tr $1789 0.00% -12 -30.00%
1521 Globant S A $1766 0.00% +17 +170.00%
1522 Albertsons Cos Inc $1751 0.00% Held
1523 Abrdn Global Dynamic Dividen $1749 0.00% -50 -25.00%
1524 Stratasys Ltd $1736 0.00% NEW BUY
1525 Western Ast Infl Lkd Opp & I $1718 0.00% Held
1526 Appian Corp $1701 0.00% NEW BUY
1527 Wisdomtree Tr $1621 0.00% NEW BUY
1528 Proshares Tr $1616 0.00% -52 -65.00%
1529 Wayfair Inc $1607 0.00% NEW BUY
1530 Insmed Inc $1567 0.00% NEW BUY
1531 Fulgent Genetics Inc $1550 0.00% NEW BUY
1532 Boston Omaha Corp $1485 0.00% NEW BUY
1533 Spdr Series Trust $1480 0.00% NEW BUY
1534 Service Pptys Tr $1472 0.00% Held
1535 Aptargroup Inc $1464 0.00% Held
1536 Terns Pharmaceuticals Inc $1455 0.00% NEW BUY
1537 Docebo Inc $1421 0.00% NEW BUY
1538 Spire Global Inc $1403 0.00% Held
1539 Inventiva Sa $1395 0.00% Held
1540 Ishares Tr $1393 0.00% NEW BUY
1541 Zoom Communications Inc $1381 0.00% +14 +700.00%
1542 Tidal Trust Ii $1366 0.00% NEW BUY
1543 Capitol Fed Finl Inc $1362 0.00% Held
1544 Curiositystream Inc $1357 0.00% NEW BUY
1545 Unusual Machs Inc $1351 0.00% Held
1546 Quidelortho Corp $1343 0.00% NEW BUY
1547 Blend Labs Inc $1262 0.00% Held
1548 Taskus Inc $1238 0.00% NEW BUY
1549 Etfs Gold Tr $1233 0.00% Held
1550 U Haul Holding Company $1216 0.00% NEW BUY
1551 Millicom Intl Cellular S A $1189 0.00% NEW BUY
1552 Upstart Hldgs Inc $1181 0.00% NEW BUY
1553 Pubmatic Inc $1162 0.00% +8 +6.50%
1554 International Flavors&Fragra $1146 0.00% Held
1555 Bilibili Inc $1132 0.00% NEW BUY
1556 C H Robinson Worldwide Inc $1126 0.00% NEW BUY
1557 Trilogy Metals Inc New $1078 0.00% NEW BUY
1558 Archer Aviation Inc $1061 0.00% +100 +243.90%
1559 Nextdoor Holdings Inc $1050 0.00% Held
1560 Tidal Trust Ii $1046 0.00% NEW BUY
1561 Perrigo Co Plc $1044 0.00% Held
1562 Bill Holdings Inc $1037 0.00% NEW BUY
1563 Match Group Inc New $1034 0.00% +31 +3100.00%
1564 Lear Corp $1032 0.00% Held
1565 Amrize Ltd $1028 0.00% Held
1566 Soundhound Ai Inc $997 0.00% Held
1567 Riskified Ltd $994 0.00% NEW BUY
1568 Penguin Solutions Inc $978 0.00% NEW BUY
1569 Siren Etf Tr $958 0.00% +1 +2.56%
1570 Carpenter Technology Corp $946 0.00% Held
1571 Infosys Ltd $891 0.00% -25 -33.33%
1572 Lithium Amers Corp New $872 0.00% NEW BUY
1573 F&G Annuities & Life Inc $855 0.00% NEW BUY
1574 Pursuit Attractions And Hospitality, Inc. $842 0.00% Held
1575 Woodside Energy Group Ltd $842 0.00% -500 -90.25%
1576 Dxc Technology Co $835 0.00% Held
1577 Nuveen Cr Strategies Income $834 0.00% NEW BUY
1578 Rogers Communications Inc $831 0.00% Held
1579 Ishares Tr $823 0.00% -119 -84.40%
1580 Peloton Interactive Inc $814 0.00% +57 +76.00%
1581 Gildan Activewear Inc $812 0.00% NEW BUY
1582 Invesco Preferred Etf $809 0.00% Held
1583 Cerence Inc $802 0.00% Held
1584 Pacer Fds Tr $798 0.00% Held
1585 Angel Studios Inc $794 0.00% Held
1586 Floor & Decor Hldgs Inc $792 0.00% Held
1587 Agenus Inc $785 0.00% Held
1588 Surf Air Mobility Inc $776 0.00% +300 +300.00%
1589 Immunitybio Inc $757 0.00% Held
1590 Weride Inc $738 0.00% Held
1591 Cf Inds Hldgs Inc $705 0.00% Held
1592 Fiscalnote Holdings Inc $679 0.00% Held
1593 Asana Inc $617 0.00% NEW BUY
1594 Tilray Brands Inc $579 0.00% NEW BUY
1595 Eos Energy Enterprises Inc $573 0.00% NEW BUY
1596 Net Lease Office Properties $568 0.00% -78 -78.00%
1597 Gci Liberty Inc $558 0.00% NEW BUY
1598 Suro Capital Corp $555 0.00% Held
1599 Caesars Entertainment Inc Ne $538 0.00% Held
1600 Fidelity Covington Trust $530 0.00% Held
1601 Red Cat Hldgs Inc $524 0.00% Held
1602 Fiverr Intl Ltd $514 0.00% -26 -50.00%
1603 Brown Forman Corp $496 0.00% -4631 -99.59%
1604 Proshares Tr Ii $491 0.00% NEW BUY
1605 Aerovironment Inc $484 0.00% Held
1606 Sprouts Fmrs Mkt Inc $479 0.00% Held
1607 Fubotv Inc $467 0.00% -65 -26.00%
1608 Hubbell Inc $445 0.00% NEW BUY
1609 Ready Capital Corp $436 0.00% Held
1610 Direxion Shs Etf Tr $421 0.00% Held
1611 Strategy Inc $394 0.00% -110 -95.65%
1612 Sleep Number Corp $381 0.00% NEW BUY
1613 Perimeter Solutions Inc $358 0.00% +1 +8.33%
1614 Goodrx Hldgs Inc $347 0.00% NEW BUY
1615 Ea Series Trust $345 0.00% Held
1616 Ttm Technologies Inc $345 0.00% Held
1617 Lucid Group Inc $339 0.00% Held
1618 Ollies Bargain Outlet Hldgs $329 0.00% Held
1619 Novocure Ltd $324 0.00% NEW BUY
1620 Standard Biotools Inc $320 0.00% -750 -75.00%
1621 Consolidated Water Co Inc $318 0.00% NEW BUY
1622 Granite Pt Mtg Tr Inc $317 0.00% +61 +85.92%
1623 Etf Opportunities Trust $306 0.00% NEW BUY
1624 Nanoviricides Inc $300 0.00% Held
1625 Chargepoint Holdings Inc $293 0.00% +1 +2.33%
1626 Newell Brands Inc $272 0.00% Held
1627 Tidal Trust Ii $267 0.00% NEW BUY
1628 Nutanix Inc $265 0.00% Held
1629 Tidal Trust Ii $258 0.00% NEW BUY
1630 Orion Properties Inc $249 0.00% -30 -21.43%
1631 Oxford Lane Cap Corp $249 0.00% NEW BUY
1632 Teladoc Health Inc $231 0.00% -117 -78.00%
1633 Barnes & Noble Ed Inc $230 0.00% Held
1634 Ishares Inc $221 0.00% Held
1635 Endava Plc $209 0.00% -98 -74.81%
1636 Global X Fds $204 0.00% Held
1637 Vanguard Admiral Fds Inc $196 0.00% Held
1638 Biontech Se $191 0.00% Held
1639 Healthequity Inc $184 0.00% Held
1640 Invesco Exch Trd Slf Idx Fd $172 0.00% Held
1641 Prairie Oper Co $169 0.00% Held
1642 Amarin Corp Plc $168 0.00% Held
1643 Sangamo Therapeutics Inc $168 0.00% Held
1644 Lumen Technologies Inc $162 0.00% Held
1645 Nano Dimension Ltd $154 0.00% Held
1646 Jetblue Awys Corp $151 0.00% Held
1647 Harley Davidson Inc $144 0.00% Held
1648 Snap Inc $138 0.00% -4 -19.05%
1649 Allegro Microsystems Inc $132 0.00% Held
1650 National Cinemedia Inc $117 0.00% -20 -40.00%
1651 Direxion Shs Etf Tr $111 0.00% NEW BUY
1652 Plug Power Inc $111 0.00% +1 +1.82%
1653 Ishares Tr $107 0.00% NEW BUY
1654 Adient Plc $96 0.00% Held
1655 Embecta Corp $96 0.00% Held
1656 Clover Health Investments Co $83 0.00% Held
1657 Mattel Inc $80 0.00% Held
1658 Chegg Inc $64 0.00% NEW BUY
1659 Invesco Mortgage Capital Inc $59 0.00% Held
1660 Aurora Cannabis Inc $55 0.00% +2 +18.18%
1661 Gamestop Corp New $55 0.00% NEW BUY
1662 Unisys Corp $55 0.00% Held
1663 Global X Fds $54 0.00% Held
1664 Roundhill Etf Trust $48 0.00% NEW BUY
1665 Catalyst Pharmaceuticals Inc $47 0.00% Held
1666 Sphere 3d Corp New $37 0.00% Held
1667 Tidal Trust Ii $35 0.00% NEW BUY
1668 Paymentus Holdings Inc $32 0.00% Held
1669 Beyond Meat Inc $29 0.00% -310 -89.86%
1670 Genius Sports Limited $27 0.00% Held
1671 Canopy Growth Corporation $23 0.00% -25 -55.56%
1672 Pulmonx Corp $23 0.00% Held
1673 Bitdeer Technologies Group $22 0.00% Held
1674 Canadian Nat Res Ltd $18 0.00% Held
1675 Cboe Global Mkts Inc $18 0.00% Held
1676 Intellia Therapeutics Inc $18 0.00% Held
1677 Riot Platforms Inc $18 0.00% Held
1678 Virgin Galactic Holdings Inc $17 0.00% Held
1679 Comtech Telecommunications C $16 0.00% Held
1680 Acco Brands Corp $12 0.00% NEW BUY
1681 Hive Digital Technologies Lt $12 0.00% Held
1682 Pacific Biosciences Calif In $9 0.00% Held
1683 Bumble Inc $4 0.00% Held
1684 Commvault Sys Inc $4 0.00% Held
1685 Funko Inc $2 0.00% Held
1686 Inovio Pharmaceuticals Inc $2 0.00% Held
1687 Microbot Med Inc $2 0.00% Held
1688 Opko Health Inc $2 0.00% NEW BUY

Closed last quarter

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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.