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No.

Ticker Company Sector Industry Country Market Cap P/E


1 BRK-A Berkshire Hathaway Inc. FinancialInsurance - Diversified USA 880.56B 12.03
2 NVR NVR Inc.Consumer Cyclical Residential ConstructionUSA 23.97B 15.96
3 BKNGBooking Holdings Consumer
Inc Cyclical
Travel Services USA 130.84B 28.92
4 CMGChipotle Mexican Consumer
Grill CyclicalRestaurants USA 89.70B 69.69
5 SEB Seaboard Corp. Industrials Conglomerates USA 2.99B 12.79
6 AZO Autozone Inc.Consumer Cyclical Specialty Retail USA 48.05B 19.46
7 White
WTM Mountains Insurance Group, Financial
Insurance
Ltd. - Property & CasualtyUSA 4.51B 7.99
8 AVGO Broadcom Inc TechnologySemiconductors USA 778.08B 72.23
9 FCNCA
First Citizens Bancshares, Inc Financial
(NC) Banks - Regional USA 23.85B 9.11
10 MELI MercadoLibreConsumer Inc Cyclical
Internet Retail USA 80.13B 70.84
11 MKL Markel Group Inc Financial Insurance - Property & Casualty
USA 20.15B 8.37
12 MSTR Microstrategy Inc.Technology Software - Application USA 26.32B -
13 MTD
Mettler-Toledo International, Healthcare
Inc.Diagnostics & ResearchUSA 31.49B 41.35
14 FICO Fair Isaac Corp. Technology Software - Application USA 34.08B 72.37
15 TDG
Transdigm Group IncorporatedIndustrialsAerospace & Defense USA 74.07B 52.52
16 ASML ASML Holding NV TSemiconductor
echnology Equipment & Netherlands
Materials 414.16B 53.81
17 LRCX Lam Research Corp. Technology
Semiconductor Equipment & MaterialsUSA 135.77B 38.19
18 DECKDeckers OutdoorConsumer
Corp. Cyclical
Footwear & AccessoriesUSA 26.21B 35.17
19 REGN
Regeneron Pharmaceuticals, Healthcare
Inc. Biotechnology USA 113.10B 30.32
20 COKE
Coca-Cola Consolidated
Consumer Inc Defensive
Beverages - Non-Alcoholic USA 9.48B 22.45
21 ORLY O'Reilly Automotive,
Consumer
Inc. Cyclical Specialty Retail USA 58.64B 25.27
22 UBS AG
FBGXFI Enhanced Large CapFinancial
Growth Exchange
ETN Traded FundUSA - -
23 GWW W.W. Grainger Inc.Industrials Industrial Distribution USA 45.20B 25.26
24 LLY Lilly(Eli) & Co HealthcareDrug Manufacturers - General USA 839.52B 132.29
25 SMCISuper Micro Computer Technology
Inc Computer Hardware USA 51.01B 48.89
26 COSTCostco Wholesale Consumer
Corp Defensive Discount Stores USA 375.04B 52.43
27 KLAC KLA Corp. Technology
Semiconductor Equipment & MaterialsUSA 111.76B 43.49
28 MPWRMonolithic Power System TechnologySemiconductors
Inc USA 39.76B 97.29
29 BLK Blackrock Inc. FinancialAsset Management USA 114.38B 19.56
30 EQIX Equinix Inc Real EstateREIT - Specialty USA 72.76B 76.92
31 TPL
Texas Pacific Land CorporationEnergy Oil & Gas E&P USA 17.56B 40.6
32 NOW ServiceNow IncTechnology Software - Application USA 145.50B 75.89
33 GHC Graham Holdings Consumer
Co. Education
Defensive& Training Services
USA 3.15B 11.76
34 CTAS Cintas CorporationIndustrials Specialty Business ServicesUSA 70.21B 47.76
35 NFLX Netflix Communication
Inc. Services
Entertainment USA 281.53B 45.32
36 URI United Rentals, Inc.Industrials Rental & Leasing Services USA 41.81B 17
37 INTU Intuit Inc Technology Software - Application USA 166.23B 54.95
38 MCKMckesson Corporation Healthcare Medical Distribution USA 76.67B 26.42
39 SNPS Synopsys, Inc. Technology Software - InfrastructureUSA 89.87B 63.81
40 Vanguard
VGT Information Technology Financial
ETF
Exchange Traded FundUSA - -
41 TMOThermo Fisher Scientific Healthcare
Inc. Diagnostics & ResearchUSA 218.58B 36.74
42 MLM
Martin Marietta Materials,
BasicInc.
Materials
Building Materials USA 35.00B 16.79
43 HUBS HubSpot Inc Technology Software - Application USA 28.89B -
44 ROPRoper Technologies Technology
Inc Software - Application USA 58.57B 40.26
45 IVViShares Core S&P 500 ETF Financial
Exchange Traded FundUSA - -
46 SPY SPDR S&P 500 ETF Trust Financial
Exchange Traded FundUSA - -
47 LIILennox International Industrials
IncBuilding Products & Equipment USA 19.23B 31.28
48 ELV Elevance Health Inc Healthcare Healthcare Plans USA 125.22B 20.36
49 CHE Chemed Corp. Healthcare Medical Care FacilitiesUSA 8.15B 28.99
50 MDYS&P MidCap 400 ETF Financial
Exchange Traded FundUSA - -
51 NEU NewMarket Corp. Basic Materials
Specialty Chemicals USA 5.11B 12.82
52 PH Parker-Hannifin Corp. Industrials
Specialty Industrial Machinery
USA 67.98B 24.91
53 DPZ Dominos PizzaConsumerInc CyclicalRestaurants USA 18.44B 34.53
54 IDXXIdexx Laboratories, Inc. Healthcare
Diagnostics & ResearchUSA 41.80B 49.04
55 META Meta Platforms Communication
Inc Internet Services
Content & Information
USA 1278.67B 28.96
56 VOOVanguard S&P 500 ETF Financial
Exchange Traded FundUSA - -
57 UNHUnitedhealth Group Inc Healthcare Healthcare Plans USA 457.70B 30.38
58 NWLI
National Western Life Group Financial
Inc Insurance - Life USA 1.74B 11.16
59 WSO Watsco Inc. Industrials Industrial Distribution USA 19.56B 37.69
60 MSCI MSCI Inc Financial
Financial Data & Stock ExchangesUSA 38.36B 33.06
61 VRTX
Vertex Pharmaceuticals,Healthcare
Inc. Biotechnology USA 123.61B 31.08
62 MUSA Murphy USAConsumer Inc Cyclical
Specialty Retail USA 9.91B 20.07
63 QQQ
Invesco QQQ Trust Series Financial
1 Exchange Traded FundUSA - -
64 CACC Credit Acceptance Corp. Financial Credit Services USA 5.75B 24.36
65 TYLTyler Technologies, Technology
Inc. Software - Application USA 20.15B 107.63
66 ADBE Adobe Inc Technology Software - InfrastructureUSA 205.52B 43.82
67 LMTLockheed Martin Corp. Industrials
Aerospace & Defense USA 110.03B 16.77
68 SAIA Saia Inc. Industrials Trucking USA 12.12B 33.04
69 ATRI Atrion Corp. Healthcare
Medical Instruments & SuppliesUSA 799.02M 42.71
70 MicroSectors
NRGU U.S. Big Oil Index 3X Financial
Leveraged
Exchange
ETNs Traded FundUSA - -
71 GSGoldman Sachs Group, Financial
Inc. Capital Markets USA 143.93B 17.43
72 MAMastercard Incorporated Financial Credit Services USA 413.68B 35.37
73 MSFTMicrosoft Corporation Technology
Software - InfrastructureUSA 3281.96B 38.26
74 LIN Linde Plc. Basic Materials Specialty Chemicals
United Kingdom 211.42B 34.12
75 SPGI S&P Global Inc Financial Financial Data & Stock ExchangesUSA 136.80B 49.01
76 IT Gartner, Inc. Technology
Information Technology ServicesUSA 33.59B 43.04
77 AMPAmeriprise Financial Inc FinancialAsset Management USA 42.40B 14.53
BMO
78 REX MicroSectors
FNGU FANG+ IndexFinancial
3X Leveraged
ExchangeETN Traded FundUSA - -
79 CACICaci International Inc. Technology
Information Technology ServicesUSA 9.49B 24.57
80 NOC Northrop Grumman Corp. Industrials
Aerospace & Defense USA 62.66B 29.62
81 ISRG Intuitive Surgical Inc Healthcare
Medical Instruments & SuppliesUSA 150.01B 76.31
82 BLD TopBuild Corp IndustrialsEngineering & Construction USA 13.45B 21.3
83 DDS Dillard's Inc.
Consumer CyclicalDepartment Stores USA 6.78B 9.5
84 RACE Ferrari N.V.Consumer Cyclical
Auto Manufacturers Italy 75.05B 53.2
85 CSLCarlisle Companies Inc. Industrials
Building Products & Equipment USA 19.69B 26.6
86 MCO Moody's Corp. Financial
Financial Data & Stock ExchangesUSA 74.98B 44.83
87 WING Wingstop Inc Consumer CyclicalRestaurants USA 11.95B 145
88 BRK-B Berkshire Hathaway Inc. Financial
Insurance - Diversified USA 875.53B 11.98
89 FDS
Factset Research SystemsFinancial
Financial
Inc. Data & Stock Exchanges
USA 15.35B 31.89
90 ULTA Ulta Beauty Consumer
Inc Cyclical
Specialty Retail USA 18.92B 15.46
91 TDY
Teledyne Technologies Technology
Inc
Scientific & Technical Instruments
USA 18.69B 21.33
92 MEDPMedpace Holdings Inc Healthcare
Diagnostics & ResearchUSA 12.21B 40.15
93 EME Emcor Group, Inc.Industrials Engineering & Construction USA 18.34B 25.73
94 ARGX Argen X SE ADRHealthcare Biotechnology Netherlands 23.08B -
95 KNSLKinsale Capital Group Financial
IncInsurance - Property & Casualty
USA 9.02B 25.72
96 SPDRDIA
Dow Jones Industrial Average
Financial
ETF
Exchange Traded FundUSA - -
97 HUBB Hubbell Inc. Industrials
Electrical Equipment & PartsUSA 20.67B 28.72
98 CRWD Crowdstrike HoldingsTechnology
Inc Software - InfrastructureUSA 93.16B 719.43
99 DE Deere & Co. Farm Industrials
& Heavy Construction Machinery
USA 104.15B 11.38
100 MSI Motorola Solutions Technology
Inc Communication Equipment USA 62.83B 46.58
101 CASY
Casey's General Stores,
Consumer
Inc. Cyclical
Specialty Retail USA 13.94B 28.04
102 EG Everest Group Ltd Financial Insurance - ReinsuranceBermuda 16.27B 5.56
103 VUGVanguard Growth ETF FinancialExchange Traded FundUSA - -
104 DJCODaily Journal Corporation
Technology Software - Application USA 511.62M 22.97
105 iShares
IWF Russell 1000 Growth Financial
ETFExchange Traded FundUSA - -
106 CVCO Cavco Industries Consumer
Inc Cyclical
Residential ConstructionUSA 2.98B 19.59
107 CABO Cable One Communication
Inc Services
Telecom Services USA 2.01B 8.2
108 HUM Humana Inc. Healthcare Healthcare Plans USA 43.15B 22.29
109 ERIE Erie Indemnity Co.Financial Insurance Brokers USA 16.33B 38.15
110 HD Home Depot, Consumer
Inc. Home
Cyclical
Improvement Retail USA 344.96B 23.34
111 WINAWinmark CorporationConsumer Cyclical Specialty Retail USA 1.21B 31.69
112 SYK Stryker Corp. Healthcare Medical Devices USA 130.67B 39.21
113 POOL Pool Corporation Industrials Industrial Distribution USA 13.15B 26.83
114 HCA HCA Healthcare Inc Healthcare
Medical Care FacilitiesUSA 89.29B 16.99
115 United
USLM States Lime & Minerals
Basic Materials
Inc. Building Materials USA 1.92B 24.07
116 West
WSTPharmaceutical Services, Healthcare
Medical
Inc. Instruments & Supplies USA 24.50B 44.38
117 CI Cigna Group Healthcare Healthcare Plans USA 94.92B 27.43
118 TT Trane Technologies plc Industrials
Building Products & EquipmentIreland 75.50B 35.65
119 VOOG
Vanguard S&P 500 Growth Financial
ETF Exchange Traded FundUSA - -
120 ANET Arista Networks Inc Technology Computer Hardware USA 103.93B 46.13
121 ETN Eaton Corporation plc Industrials
Specialty Industrial Machinery
Ireland 131.27B 38.75
122 CAT Caterpillar Inc. Farm
Industrials
& Heavy Construction Machinery
USA 159.61B 14.73
123 ANSS Ansys Inc. Technology Software - Application USA 28.37B 65.43
124 FIX
Comfort Systems USA,Industrials
Inc. Engineering & Construction USA 11.61B 32.15
125 WSMWilliams-Sonoma, Consumer
Inc. Cyclical
Specialty Retail USA 20.66B 19.72
126 PANW Palo Alto Networks Technology
Inc Software - InfrastructureUSA 103.51B 46.53
127 ICLR Icon Plc Healthcare
Diagnostics & Research Ireland 26.29B 38.64
128 MGK
Vanguard Mega Cap Growth Financial
ETFExchange Traded FundUSA - -
129 GPIGroup 1 Automotive,Consumer
Inc. Auto
Cyclical
& Truck Dealerships USA 4.19B 7.32
130 Vanguard
VCR Consumer Discretionary Financial
ETF
Exchange Traded FundUSA - -
131 ZBRAZebra Technologies Corp.
Technology
Communication Equipment USA 15.88B 61.27
132 MOHMolina Healthcare Inc Healthcare Healthcare Plans USA 18.06B 16.72
133 CDNS
Cadence Design Systems, Technology
Inc. Software - Application USA 83.69B 80.13
134 LULU Lululemon Athletica
Consumer
inc. Cyclical Apparel Retail Canada 38.44B 24.64
135 IWV iShares Russell 3000 ETFFinancialExchange Traded FundUSA - -
136 SPOT Spotify Technology
Communication
S.A. Internet
Services
Content & Information
Luxembourg 59.71B -
137 GrupoASR
Aeroportuario Del SuresteIndustrials
S.A. Airports
ADR & Air Services Mexico 8.45B 14.69
138 OIHVanEck Oil Services ETF FinancialExchange Traded FundUSA - -
139 SHWSherwin-WilliamsBasic Co. Materials
Specialty Chemicals USA 76.18B 32.05
140 AMGN AMGEN Inc. Healthcare Drug Manufacturers - GeneralUSA 160.12B 42.68
141 Alpha
AMR Metallurgical Resources
Basic MaterialsCoking
Inc Coal USA 3.87B 7.21
142 ESGREnstar Group Limited FinancialInsurance - Diversified
Bermuda 4.51B 5.75
143 IWBiShares Russell 1000 ETF FinancialExchange Traded FundUSA - -
144 WAT Waters Corp. Healthcare Diagnostics & ResearchUSA 17.53B 29.01
145 AON Aon plc. Financial Insurance Brokers Ireland 64.23B 23.15
146 AXON Axon Enterprise IncIndustrials Aerospace & Defense USA 22.15B 85.74
147 GDGeneral Dynamics Corp. IndustrialsAerospace & Defense USA 80.26B 23.83
148 FSLR First Solar Inc Technology Solar USA 31.21B 30.57
149 WIRE Encore Wire Corp.Industrials Electrical Equipment & Parts
USA 4.57B 15.32
150 UTHR United Therapeutics Corp
Healthcare Biotechnology USA 12.76B 13.6
151 KAI Kadant, Inc. Industrials
Specialty Industrial Machinery
USA 3.37B 29.9
152 SAM Boston Beer Co., Consumer
Inc. Defensive
Beverages - Brewers USA 3.42B 35.85
153 MORN Morningstar Inc Financial Financial Data & Stock Exchanges
USA 12.22B 57.68
154 APD
Air Products & Chemicals
BasicInc.
Materials
Specialty Chemicals USA 63.43B 25.81
155 PSA Public Storage. Real EstateREIT - Industrial USA 49.66B 25.65
156 ACN Accenture plc Technology
Information Technology Services
Ireland 177.50B 25.59
157 BIOBio-Rad Laboratories Healthcare
Inc. Medical Devices USA 8.04B -
158 TSCO Tractor SupplyConsumer
Co. Cyclical
Specialty Retail USA 30.35B 27.42
159 RS Reliance Inc.Basic Materials Steel USA 16.05B 13.05
160 LPLALPL Financial HoldingsFinancial
Inc Capital Markets USA 20.86B 21.09
161 RH RH Consumer Cyclical Specialty Retail USA 5.08B 49.64
162 MDGLMadrigal Pharmaceuticals Healthcare
Inc Biotechnology USA 5.90B -
163 PWR Quanta Services, Inc. Industrials
Engineering & Construction USA 40.51B 53.65
164 NXPI NXP SemiconductorsTechnologySemiconductorsNetherlands
NV 70.43B 25.43
165 ESSEssex Property Trust,Real
Inc. EstateREIT - Residential USA 17.67B 33.65
166 RBC RBC Bearings Inc.Industrials Tools & Accessories USA 8.03B 42.91
167 CHTR
Charter Communications
Communication
Inc. Services
Telecom Services USA 39.49B 8.87
168 VMIValmont Industries, Inc.Industrials Conglomerates USA 5.51B 34.45
169 ALGNAlign Technology, Inc. Healthcare Medical Devices USA 20.42B 44.7
170 V Visa Inc Financial Credit Services USA 542.65B 30.8
171 CMI Cummins Inc. Industrials
Specialty Industrial Machinery
USA 36.98B 19.9
172 CW Curtiss-Wright Corp. IndustrialsAerospace & Defense USA 10.30B 27.69
173 SNA Snap-on, Inc. Industrials Tools & Accessories USA 14.17B 14.11
174 SMHVanEck Semiconductor Financial
ETF Exchange Traded FundUSA - -
175 Vanguard
VTI Total Stock MarketFinancial
ETFExchange Traded FundUSA - -
176 VHTVanguard Health Care ETF FinancialExchange Traded FundUSA - -
177 CSWI CSW Industrials IncIndustrials
Specialty Industrial Machinery
USA 4.12B 40.66
178 CB Chubb Limited FinancialInsurance - Property & Casualty
Switzerland 106.88B 11.68
179 VRSK Verisk Analytics Inc IndustrialsConsulting Services USA 37.42B 48.92
180 OEF iShares S&P 100 ETF Financial
Exchange Traded FundUSA - -
181 iShares
IWO Russell 2000 Growth Financial
ETFExchange Traded FundUSA - -
182 AJGArthur J. Gallagher & Co. Financial Insurance Brokers USA 56.98B 52.82
183 ROK Rockwell AutomationIndustrials
IncSpecialty Industrial Machinery
USA 29.72B 25.47
184 LFUS Littelfuse, Inc. Technology Electronic ComponentsUSA 6.46B 29.87
185 AYI Acuity Brands, Inc.IndustrialsElectrical Equipment & Parts
USA 7.98B 21.68
186 LAD Lithia Motors,Consumer
Inc. Auto
Cyclical
& Truck Dealerships USA 7.04B 7.58
187 UFPTUFP Technologies Inc. Healthcare Medical Devices USA 1.96B 41.24
188 Willis
WTW Towers Watson Public Limited
FinancialCoInsurance Brokers
United Kingdom 26.16B 25.63
189 XSDSPDR Semiconductors ETF Financial
Exchange Traded FundUSA - -
190 DHR Danaher Corp. Healthcare Diagnostics & ResearchUSA 188.88B 43.23
191 STZConstellation Brands
Consumer
Inc
Beverages
Defensive
- Wineries & Distilleries
USA 46.43B 27.13
192 VMC Vulcan MaterialsBasic Co Materials Building Materials USA 33.58B 37.07
193 MCD McDonald's Corp Consumer CyclicalRestaurants USA 182.92B 21.55
194 SOXX iShares Semiconductor Financial
ETF Exchange Traded FundUSA - -
195 CPAY Corpay Inc. Technology Software - InfrastructureUSA 17.71B 18.75
196 CYBRCyberArk Software Technology
Ltd Software - InfrastructureIsrael 10.86B -
197 Vanguard
VBK Small Cap Growth Financial
ETFExchange Traded FundUSA - -
198 VVVanguard Large Cap ETF Financial
Exchange Traded FundUSA - -
199 FDX Fedex Corp IndustrialsIntegrated Freight & Logistics
USA 61.18B 14.33
200 COIN Coinbase Global IncFinancial
Financial Data & Stock Exchanges
USA 60.81B 49.46
201 VONE
Vanguard Russell 1000 Index Financial
ETFExchange Traded FundUSA - -
202 EFX Equifax, Inc. IndustrialsConsulting Services USA 30.31B 54.59
203 FN Fabrinet TechnologyElectronic Components
Cayman Islands 8.86B 32.54
204 ADP
Automatic Data Processing Industrials
Staffing
Inc. & Employment Services
USA 99.98B 27.27
205 VOVanguard Mid-Cap ETF Financial
Exchange Traded FundUSA - -
206 CRVL Corvel Corp. Financial Insurance Brokers USA 4.16B 55.32
207 SPDR
MMTM S&P 1500 MomentumFinancial
Tilt ETF
Exchange Traded FundUSA - -
208 ECL Ecolab, Inc. Basic Materials
Specialty Chemicals USA 68.97B 44.7
209 ITWIllinois Tool Works, Inc.Industrials
Specialty Industrial Machinery
USA 71.80B 23.73
210 MAR Marriott International,
Consumer
Inc. Cyclical Lodging USA 68.68B 24.82
211 Huntington
HII Ingalls Industries
Industrials
Inc Aerospace & Defense USA 9.47B 13.54
212 VTHR
Vanguard Russell 3000 Index Financial
ETFExchange Traded FundUSA - -
213 AMATApplied Materials Inc. Technology
Semiconductor Equipment & Materials
USA 196.69B 27.3
214 NVMI Nova Ltd Technology
Semiconductor Equipment & Materials
Israel 6.89B 54.86
215 VISVanguard Industrials ETF Financial
Exchange Traded FundUSA - -
216 APPF Appfolio Inc Technology Software - Application USA 8.49B 113
217 ADI Analog Devices Inc. TechnologySemiconductors USA 116.13B 54.78
218 BIIB Biogen Inc HealthcareDrug Manufacturers - GeneralUSA 34.05B 29.21
219 NDSN Nordson Corp. Industrials Specialty Industrial Machinery
USA 13.38B 27.83
220 ABG
Asbury Automotive Consumer
Group IncAutoCyclical
& Truck Dealerships USA 4.71B 8.5
221 COR Cencora Inc. Healthcare Medical Distribution USA 46.32B 25.4
222 BDXBecton Dickinson & Co. Healthcare
Medical Instruments & Supplies
USA 67.04B 51.05
223 BURLBurlington Stores Consumer
Inc Cyclical
Apparel Retail USA 14.78B 38.74
224 VOT
Vanguard Mid-Cap Growth Financial
ETF Exchange Traded FundUSA - -
225 EXP Eagle Materials Inc. Basic Materials Building Materials USA 7.82B 16.95
226 MANH Manhattan Associates,Technology
Inc. Software - Application USA 14.11B 74.69
227 CRM Salesforce Inc Technology Software - Application USA 221.93B 41.19
228 AVYAvery DennisonConsumerCorp. Cyclical
Packaging & ContainersUSA 18.39B 33.38
229 MNDY Monday.Com LtdTechnology Software - ApplicationIsrael 11.16B 608.86
230 HEI Heico Corp. Industrials Aerospace & Defense USA 31.43B 71.49
231 LOW Lowe's Cos., Consumer
Inc. Home
Cyclical
Improvement Retail USA 129.27B 18.22
232 Technology
XLK Select Sector SPDRFinancial
ETF
Exchange Traded FundUSA - -
233 CDW CDW Corp Technology Information Technology ServicesUSA 30.25B 28.07
234 ONTO Onto Innovation Inc. Technology
Semiconductor Equipment & MaterialsUSA 11.02B 79.64
235 ADSK Autodesk Inc. Technology Software - Application USA 48.19B 48.34
236 WDFC WD-40 Co. Basic Materials Specialty Chemicals USA 3.02B 44.41
237 PRI Primerica Inc Financial Insurance - Life USA 7.67B 13.58
238 AXP American Express Co. Financial Credit Services USA 159.82B 18.3
239 UNP Union Pacific Corp.Industrials Railroads USA 135.52B 21.2
240 IBP
Installed Building Products
Consumer IncCyclical
Residential ConstructionUSA 6.31B 25.11
241 NSCNorfolk Southern Corp. Industrials Railroads USA 50.12B 35.66
242 CLH Clean Harbors, Inc.IndustrialsWaste Management USA 11.95B 32.07
243 RNRRenaissanceRe HoldingsFinancial
Ltd Insurance - Reinsurance Bermuda 11.70B 4.89
244 STE Steris Plc Healthcare Medical Devices Ireland 21.86B 58.05
245 DKS Dicks Sporting Goods,
Consumer
Inc. CyclicalSpecialty Retail USA 17.96B 18.26
246 Constellation
CEG Energy Corporation
UtilitiesUtilities - Renewable USA 69.33B 29.36
247 LHX L3Harris TechnologiesIndustrials
Inc Aerospace & Defense USA 41.58B 35.57
248 VBVanguard Small Cap ETF FinancialExchange Traded FundUSA - -
249 MDB MongoDB Inc Technology Software - InfrastructureUSA 16.00B -
250 QCOM Qualcomm, Inc.TechnologySemiconductors USA 243.08B 29.27
251 AVAV AeroVironment Inc.Industrials Aerospace & Defense USA 6.06B -
252 ALX Alexander's Inc. Real Estate REIT - Retail USA 1.10B 10.26
253 AAPL Apple Inc Technology Consumer Electronics USA 3285.18B 33.31
254 IQV IQVIA Holdings Inc HealthcareDiagnostics & ResearchUSA 38.98B 29.18
255 VRTS
Virtus Investment Partners FinancialAsset
Inc Management USA 1.52B 12.86
256 GLDSPDR Gold Shares ETF FinancialExchange Traded FundUSA - -
257 iShares
IWY Russell Top 200 Growth Financial
ETF
Exchange Traded FundUSA - -
258 Charles
CRL
River Laboratories International
HealthcareDiagnostics
Inc. & ResearchUSA 10.94B 24.67
259 RMD Resmed Inc. HealthcareMedical Instruments & SuppliesUSA 31.20B 32.69
260 HLT
Hilton Worldwide Holdings
Consumer IncCyclical Lodging USA 52.92B 46.08
261 TTEK Tetra Tech, Inc. Industrials Engineering & Construction USA 11.32B 42.87
262 MMC
Marsh & McLennan Cos.,FinancialInc. Insurance Brokers USA 103.39B 26.61
263 TFX Teleflex Incorporated Healthcare
Medical Instruments & SuppliesUSA 9.86B 33.58
264 HON Honeywell International Industrials
Inc Conglomerates USA 135.86B 24.18
265 FERG Ferguson Plc. Industrials Industrial Distribution
United Kingdom 42.08B 22.79
266 FCN FTI Consulting Inc.IndustrialsConsulting Services USA 7.43B 24.21
267 WDAY Workday Inc Technology Software - Application USA 54.88B 37.39
268 TRVTravelers Companies Inc. Financial
Insurance - Property & Casualty
USA 47.42B 15.38
269 PIPR Piper Sandler Co's Financial Capital Markets USA 3.65B 35.07
270 QXO QXO Inc. Technology Software - Application USA 135.56M -
271 JLL Jones Lang Lasalle Inc.Real Estate Real Estate Services USA 9.73B 32.89
272 OLED Universal Display Corp.
TechnologyElectronic ComponentsUSA 9.70B 44.46
273 RTH VanEck Retail ETFFinancial Exchange Traded FundUSA - -
274 VDC
Vanguard Consumer Staples Financial
ETFExchange Traded FundUSA - -
275 PGR Progressive Corp. Financial Insurance - Property & CasualtyUSA 119.25B 20.84
276 IEX Idex Corporation Industrials Specialty Industrial MachineryUSA 15.36B 26.65
277 IWM iShares Russell 2000 ETFFinancial Exchange Traded FundUSA - -
278 PODD Insulet CorporationHealthcare Medical Devices USA 14.14B 61.04
279 Reinsurance
RGA Group Of America,
Financial
Inc.
Insurance - ReinsuranceUSA 13.26B 15.74
280 WMWaste Management, Inc. IndustrialsWaste Management USA 80.71B 32.9
281 ELF e.l.f. BeautyConsumer
Inc Household
Defensive& Personal ProductsUSA 11.21B 90.39
282 AVBAvalonbay Communities Real
Inc.EstateREIT - Residential USA 28.43B 29.79
283
FlexShares Morningstar
TILT US Market Factors
Financial
TiltExchange
Index FundTraded FundUSA - -
284 AZPNAspen Technology Inc Technology Software - Application USA 12.64B -
285 Toyota
TM Motor Corporation
Consumer
ADRCyclical
Auto Manufacturers Japan 258.24B 7.86
286 MKTX MarketAxess Holdings Financial
Inc. Capital Markets USA 7.55B 29.23
287 PTL Inspire 500 ETF Financial Exchange Traded FundUSA - -
288 NSITInsight Enterprises Inc.Technology
Electronics & Computer DistributionUSA 6.46B 24.95
289 DUOL Duolingo Inc Technology Software - Application USA 8.54B 207.07
290 FirstFDN
Trust Dow Jones Internet Financial
Index FundExchange Traded FundUSA - -
291 EVR Evercore Inc Financial Capital Markets USA 7.60B 30.99
292 VAWVanguard Materials ETF Financial Exchange Traded FundUSA - -
293 SBAC SBA Communications Real CorpEstateREIT - Specialty USA 21.17B 38.59
294 AMTAmerican Tower Corp. Real EstateREIT - Specialty USA 91.89B 44.54
295 LH Labcorp Holdings Inc. HealthcareDiagnostics & ResearchUSA 16.56B 39.67
296 TXNTexas Instruments Inc. TechnologySemiconductors USA 178.71B 30.59
297 Vanguard
MGC Mega Cap 300 Index Financial
ETF Exchange Traded FundUSA - -
298 Broadridge
BR Financial Solutions,
Technology
Information
Inc. Technology Services
USA 23.19B 33.46
299 QQQM Invesco NASDAQ 100 Financial
ETF Exchange Traded FundUSA - -
300
First Trust NASDAQ-100
QTEC TechnologyFinancial
Sector Exchange
Index Fund Traded FundUSA - -
301 CME CME Group Inc Financial Financial Data & Stock Exchanges USA 70.44B 22.29
302 iShares
MTUM MSCI USA MomentumFinancial FactorExchange
ETF Traded FundUSA - -
303 XNTK
SPDR NYSE TechnologyFinancialETF Exchange Traded FundUSA - -
304 JPMJPMorgan Chase & Co. FinancialBanks - Diversified USA 556.13B 11.69
305 BH Biglari Holdings Consumer
Inc. CyclicalRestaurants USA 598.95M 47.43
306 SAP Sap SE ADR Technology Software - Application Germany 224.60B 111.27
307 WTS
Watts Water Technologies, Industrials
Inc.
Specialty Industrial MachineryUSA 6.41B 23.84
308 Vanguard
VTWGRussell 2000 GrowthFinancialIndex Exchange
ETF Traded FundUSA - -
309 ANFAbercrombie & Fitch Consumer
Co. Cyclical Apparel Retail USA 9.75B 23.75
310 Applied
AIT Industrial TechnologiesIndustrials
Inc.Industrial Distribution USA 7.35B 19.98
311 FANG Diamondback Energy Inc Energy Oil & Gas E&P USA 33.95B 10.73
312 T-RexNVDX2X Long NVIDIA DailyFinancial
TargetExchange
ETF Traded FundUSA - -
313 BMI Badger Meter Inc.TechnologyScientific & Technical Instruments
USA 5.55B 54.39
314 UHS
Universal Health Services,Healthcare
Inc. Medical Care FacilitiesUSA 12.59B 15.96
315 PEN Penumbra Inc Healthcare Medical Devices USA 7.29B 79.06
316 RSGRepublic Services, Inc. IndustrialsWaste Management USA 59.03B 32.92
317 LECO
Lincoln Electric Holdings, Industrials
Inc. Tools & Accessories USA 10.63B 19.82
MicroSectors
318 NRGD
U.S. Big Oil Index -3X InverseFinancial
Leveraged
ExchangeETNs
Traded FundUSA - -
319 RL Ralph Lauren Consumer
Corp Cyclical
Apparel ManufacturingUSA 11.65B 19.16
320 VEEV Veeva Systems IncHealthcare Health Information ServicesUSA 30.03B 54.79
321 HSY Hershey Company Consumer Defensive Confectioners USA 37.53B 18.38
322 LANCLancaster Colony Consumer
Corp. Defensive Packaged Foods USA 5.10B 38.38
323 PKG
Packaging Corp OfConsumer
America Cyclical
Packaging & ContainersUSA 16.62B 23.13
324 WWD Woodward Inc Industrials Aerospace & Defense USA 11.25B 32.26
325 AMZN Amazon.com ConsumerInc. Cyclical
Internet Retail USA 1913.05B 51.63
326 SPSC SPS Commerce Inc. TechnologySoftware - InfrastructureUSA 6.81B 100.8
327 VBR
Vanguard Small Cap Value Financial
ETF Exchange Traded FundUSA - -
328 Vanguard
VIG Dividend Appreciation Financial
FTF
Exchange Traded FundUSA - -
329 Madison
MSGS Square Garden Communication
Sports CorpServices
Entertainment USA 4.38B 184.39
330 KRYS Krystal Biotech IncHealthcare Biotechnology USA 5.22B 97.07
331 iShares CRBN
MSCI ACWI Low Carbon Financial
TargetExchange
ETF Traded FundUSA - -
332 TSLA Tesla IncConsumer Cyclical
Auto Manufacturers USA 581.93B 46.63
333 MTN Vail Resorts Inc. Consumer Cyclical
Resorts & Casinos USA 6.82B 24.68
334 DOV Dover Corp. Industrials
Specialty Industrial Machinery
USA 24.93B 17.42
335 OC Owens Corning Industrials
Building Products & EquipmentUSA 15.70B 14.67
336 ZS Zscaler Inc Technology Software - InfrastructureUSA 27.37B -
337 IVE
iShares S&P 500 Value Financial
ETF Exchange Traded FundUSA - -
338 BA Boeing Co. Industrials Aerospace & Defense USA 110.93B -
339 LSTR Landstar System, Inc. Industrials
Integrated Freight & Logistics
USA 6.46B 27.78
340 DY Dycom Industries, Inc. Industrials
Engineering & Construction USA 5.24B 23.21
341 ESLT Elbit Systems Ltd.Industrials Aerospace & Defense Israel 8.01B 35.44
342 Consumer
XLYDiscretionary Select Sector
Financial
SPDR
Exchange Traded FundUSA - -
343 VRSN Verisign Inc. Technology Software - InfrastructureUSA 17.90B 22.09
344 HEI-A Heico Corp. Industrials Aerospace & Defense USA 24.78B 56.35
345 FLUT Flutter Entertainment
Consumer
Plc CyclicalGambling USA 31.72B -
346 MSA MSA Safety Inc Industrials Security & Protection Services
USA 7.02B 26.39
347 EPAM EPAM Systems Inc Technology
Information Technology Services
USA 10.32B 24.36
348 ALG Alamo Group Inc.Industrials
Farm & Heavy Construction MachineryUSA 2.14B 15.8
349 GOOG AlphabetCommunication
Inc Internet
Services
Content & Information
USA 2184.15B 27.11
350 GEV GE Vernova Inc. UtilitiesUtilities - Renewable USA 48.29B -
351 POWLPowell Industries, Inc. Industrials
Electrical Equipment & Parts
USA 2.11B 20.92
352 VOOV
Vanguard S&P 500 ValueFinancial
ETF Exchange Traded FundUSA - -
353 GOOGL AlphabetCommunication
Inc Internet
Services
Content & Information
USA 2164.63B 26.86
354 TMUS T-Mobile US Communication
Inc Services
Telecom Services USA 205.20B 23.83
355 KWR Quaker Houghton Basic Materials
Specialty Chemicals USA 3.15B 26.61
356 WCC Wesco International, Inc.
Industrials
Industrial Distribution USA 8.88B 14.54
357 PTC PTC Inc Technology Software - Application USA 20.87B 72.79
358 WMS
Advanced Drainage Systems Industrials
Building
Inc Products & Equipment
USA 13.49B 27
359 AME Ametek Inc Industrials
Specialty Industrial Machinery
USA 40.26B 30.57
360 IWD
iShares Russell 1000 Value Financial
ETF Exchange Traded FundUSA - -
361 Federal
AGM Agricultural Mortgage Financial
Corp. Credit Services USA 1.89B 10.57
362 ODFL
Old Dominion Freight Line,Industrials
Inc. Trucking USA 37.57B 30.45
363 Taiwan TSMSemiconductor Manufacturing
TechnologySemiconductors
ADR Taiwan 896.88B 32.92
364 WEX WEX Inc Technology Software - InfrastructureUSA 7.24B 28.08
365 ITIC Investors Title Co. FinancialInsurance - Specialty USA 324.54M 13.05
366 Fidelity FTEC
MSCI Information Technology Financial
Index
Exchange
ETF Traded FundUSA - -
367 CRAICRA International Inc. IndustrialsConsulting Services USA 1.19B 28.06
368 ZTS Zoetis Inc Drug
Healthcare
Manufacturers - Specialty &USA Generic 78.17B 33.02
369 VLU
SPDR S&P 1500 Value Tilt Financial
ETF Exchange Traded FundUSA - -
370 TXRHTexas Roadhouse Consumer
Inc CyclicalRestaurants USA 11.43B 34.63
371 iShares
QUALMSCI USA Quality Factor Financial
ETF
Exchange Traded FundUSA - -
372 MPC Marathon Petroleum Corp Energy
Oil & Gas Refining & MarketingUSA 60.08B 8.52
373 International
IBM Business Machines
Technology
Information
Corp. Technology Services
USA 155.35B 19.15
374 CBOE Cboe Global Markets Inc.
Financial
Financial Data & Stock Exchanges
USA 17.74B 22.57
375 HIFS
Hingham Institution For Savings
Financial Banks - Regional USA 362.70M 14.95
376 Vanguard
VXF Extended Market Index Financial
ETFExchange Traded FundUSA - -
377 TRI Thomson-Reuters Corp Industrials
Specialty Business Services
Canada 75.82B 32.08
378 VanEck
EVX Environmental Services Financial
ETFExchange Traded FundUSA - -
379 NICE NICE Ltd ADR Technology Software - ApplicationIsrael 10.57B 30.31
380 AN Autonation Inc.
Consumer AutoCyclical
& Truck Dealerships USA 6.77B 7.97
381 AIZ Assurant Inc FinancialInsurance - Specialty USA 8.74B 11.73
382 FFIV F5 Inc Technology
Software - InfrastructureUSA 9.84B 20.14
383 JJSFJ&J Snack Foods Consumer
Corp. Defensive Packaged Foods USA 3.25B 37.79
384 MTHMeritage HomesConsumer
Corp. Cyclical
Residential ConstructionUSA 6.09B 7.82
385 BBH VanEck Biotech ETFFinancial Exchange Traded FundUSA - -
386 INSP
Inspire Medical SystemsHealthcare
Inc Medical Devices USA 4.97B -
387 WCNWaste Connections Inc IndustrialsWaste Management Canada 43.11B 54.28
388 ABBV Abbvie Inc Healthcare
Drug Manufacturers - GeneralUSA 294.12B 49.59
389 PG Procter & GambleConsumer
Co. Household
Defensive& Personal Products
USA 392.75B 27.21
390 BGNE BeiGene Ltd ADRHealthcare BiotechnologyCayman Islands 15.94B -
391 EGPEastgroup Properties, Real
Inc. EstateREIT - Industrial USA 8.00B 36.01
392 CHRD Chord Energy Corp Energy Oil & Gas E&P USA 6.91B 7.78
393 Grupo Aeroportuario
PAC Del Pacifico SAB
Industrials
de Airports
CV ADR& Air Services Mexico 7.22B 15.28
394 SXIStandex International Corp.
Industrials
Specialty Industrial Machinery
USA 1.96B 26.8
395 WIX Wix.com Ltd Technology Software - InfrastructureIsrael 9.20B 147.79
396 FlexShares
ESGGSTOXX Global ESG Select Financial
Index
Exchange
Fund Traded FundUSA - -
397 MOG-A Moog, Inc. Industrials Aerospace & Defense USA 5.27B 27.99
398 Invesco
RSP S&P 500 Equal Weight Financial
ETF Exchange Traded FundUSA - -
399 NOVT Novanta Inc Technology
Scientific & Technical Instruments
USA 5.90B 85.57
400 Simpson
SSD ManufacturingBasic
Co., Materials
Inc.
Lumber & Wood Production USA 6.93B 20.58
401 Westinghouse
WAB Air Brake Technologies
Industrials
Corp Railroads USA 28.83B 31.79
402 PEP PepsiCo Inc
Consumer Defensive
Beverages - Non-Alcoholic USA 224.54B 24.58
403 GRMN Garmin Ltd Technology
Scientific & Technical Instruments
Switzerland 31.10B 22.84
404 GLOB Globant S.A. Technology
Information Technology Luxembourg
Services 6.96B 42.15
405 ALL Allstate Corp Financial
Insurance - Property & Casualty USA 42.42B 35.09
406 VTV Vanguard Value ETFFinancial Exchange Traded FundUSA - -
407 iSharesRXI
Global Consumer Discretionary
Financial Exchange
ETF Traded FundUSA - -
408 ALNYAlnylam Pharmaceuticals Healthcare
Inc Biotechnology USA 20.24B -
409 AMDAdvanced Micro Devices TechnologySemiconductors
Inc. USA 258.45B 233.57
410 LNG Cheniere Energy Inc.EnergyOil & Gas Midstream USA 36.45B 7.75
411 JBHT
J.B. Hunt Transport Services,
Industrials
Inc.
Integrated Freight & Logistics USA 16.40B 25.2
412 BAP Credicorp Ltd Financial Banks - Regional Peru 12.64B 9.44
413 CROX Crocs IncConsumer Cyclical
Footwear & AccessoriesUSA 9.63B 12.28
414 JKHY
Jack Henry & Associates,Technology
Inc.
Information Technology Services USA 11.56B 30.58
415 EXRExtra Space Storage Inc.
Real EstateREIT - Industrial USA 33.56B 35.64
416 ARMArm Holdings plc. ADR TechnologySemiconductors United Kingdom 164.42B 553.98
417 ARCH Arch Resources Basic Inc MaterialsCoking Coal USA 2.86B 9.29
418 Take-Two
TTWO Interactive Communication
Software,
Electronic
Inc. Services
Gaming & Multimedia USA 27.03B -
419 GPORGulfport Energy Corp.Energy Oil & Gas E&P USA 2.86B 3.5
420 Check
CHKP Point Software Technologies
TechnologySoftware
Ltd. - InfrastructureIsrael 17.79B 21.92
421 TEAMAtlassian Corporation Technology Software - Application USA 40.61B -
422 GE GE Aerospace Industrials Aerospace & Defense USA 170.42B 51.11
423 RCLRoyal CaribbeanConsumer
Group Cyclical Travel Services USA 39.96B 20.35
424 LEN Lennar Corp.
Consumer Cyclical
Residential ConstructionUSA 43.12B 10.86
425 PI Impinj Inc Technology Communication Equipment USA 4.28B -
426 NUE Nucor Corp.Basic Materials Steel USA 36.95B 9.07
427 HOVHovnanian Enterprises,
Consumer
Inc. Cyclical
Residential ConstructionUSA 920.18M 5.17
428 UNF Unifirst Corp. Industrials
Specialty Business Services USA 2.75B 25.07
429 WLK Westlake Corporation Basic Materials
Specialty Chemicals USA 19.70B 77.25
430 NXST Nexstar MediaCommunication
Group Inc Services
Entertainment USA 5.02B 12.91
431 CVX Chevron Corp. EnergyOil & Gas Integrated USA 281.68B 14.07
432 First Trust
FBTNYSE Arca Biotechnology Financial
Index
Exchange
Fund Traded FundUSA - -
433SPDR SSGA LGLV US Large Cap Low Volatility
FinancialIndex
Exchange
ETFTraded FundUSA - -
434 BCPC Balchem Corp.Basic Materials Specialty Chemicals USA 4.94B 43.12
435 AMG
Affiliated Managers Group FinancialAsset
Inc. Management USA 4.84B 8.44
436 SPGSimon Property Group,RealInc.Estate REIT - Retail USA 49.50B 19.31
437 ProShares
USD Ultra SemiconductorsFinancial
2X Shares
Exchange Traded FundUSA - -
438 PNC
PNCFinancial Services GroupFinancial
Inc Banks - Regional USA 60.38B 12.75
439 VPUVanguard Utilities ETF Financial Exchange Traded FundUSA - -
440 BLDRBuilders Firstsource Inc
Industrials
Building Products & Equipment USA 18.45B 12.94
441 IWN
iShares Russell 2000 Value Financial
ETF Exchange Traded FundUSA - -
442 VOE
Vanguard Mid-Cap ValueFinancial
ETF Exchange Traded FundUSA - -
443 PDDPDD Holdings Inc Consumer
ADR Cyclical Internet Retail China 200.71B 19.96
444 FSV FirstService CorpReal Estate Real Estate Services Canada 6.79B 74.76
MicroSectorsTM
445 BULZ
Solactive FANG Innovation Financial
3X Leveraged
Exchange Traded
ETNs FundUSA - -
446 Vanguard
VFMO U.S. Momentum Factor Financial
ETF
Exchange Traded FundUSA - -
447 TEL TE Connectivity Ltd TechnologyElectronic Components Switzerland 46.11B 13.79
448 Booz
BAHAllen Hamilton Holding Industrials
Corp Consulting Services USA 19.45B 32.74
449 IYW
iShares U.S. TechnologyFinancial
ETF Exchange Traded FundUSA - -
450 VLO Valero Energy Corp.Energy Oil & Gas Refining & Marketing
USA 48.99B 7.42
451 DLRDigital Realty Trust Real
Inc EstateREIT - Specialty USA 48.36B 41.99
452 NPO Enpro Inc Industrials
Specialty Industrial Machinery
USA 3.12B -
453 H Hyatt Hotels Corporation
Consumer Cyclical Lodging USA 15.04B 23.08
454 Diamond
DHIL Hill Investment Group, FinancialAsset
Inc. Management USA 411.29M 10.09
455 FI Fiserv, Inc. Technology
Information Technology Services
USA 86.75B 27.75
456 TER Teradyne, Inc. Technology
Semiconductor Equipment & Materials
USA 23.05B 56.2
457 PAG
Penske Automotive Consumer
Group IncAuto
Cyclical
& Truck DealershipsUSA 9.87B 10.27
458 DRIDarden Restaurants,Consumer
Inc. CyclicalRestaurants USA 17.60B 17.29
459 URTH iShares MSCI World ETF Financial
Exchange Traded FundUSA - -
460 FR SPGLDI
ETN REDEEM 02/02/2033 Financial
USD Exchange
20 Traded FundUSA - -
461 SPDRQUSMSCI USA StrategicFactors Financial
SMExchange
ETF Traded FundUSA - -
462 UI Ubiquiti Inc Technology
Communication Equipment USA 8.83B 25.25
463 ABNB Airbnb IncConsumer Cyclical Travel Services USA 92.75B 19.57
464 XLV
Health Care Select Sector Financial
SPDR Exchange Traded FundUSA - -
465 ATR Aptargroup Inc. Healthcare
Medical Instruments & Supplies
USA 9.66B 31.29
466 ROST Ross Stores, Inc. Consumer Cyclical Apparel Retail USA 48.84B 24.55
467 SPDR
XSWS&P Software & Services Financial
ETF
Exchange Traded FundUSA - -
468 JNJ Johnson & JohnsonHealthcareDrug Manufacturers - General
USA 350.05B 20.95
469 MRNA Moderna Inc Healthcare Biotechnology USA 55.66B -
470 SPDR Oil
XOP& Gas Exploration and Production
Financial
Exchange
ETF Traded FundUSA - -
471 CR Crane Co Industrials
Specialty Industrial Machinery
USA 8.30B 38.95
472 TGT Target Corp
Consumer DefensiveDiscount Stores USA 66.93B 16.22
473 Direxion
SPXL Daily S&P 500 Bull Financial
3X Shares
Exchange Traded FundUSA - -
474 LDOS Leidos Holdings Inc Technology
Information Technology Services
USA 19.49B 62.13
475 CE Celanese CorpBasic Materials Chemicals USA 15.74B 7.93
476 GTLS Chart Industries IncIndustrials
Specialty Industrial Machinery
USA 6.16B 132.39
477 HES Hess Corporation Energy Oil & Gas E&P USA 44.29B 22.04
478 DHI D.R. Horton Inc. Consumer Cyclical
Residential ConstructionUSA 47.24B 9.77
479 TMDXTransmedics Group Inc Healthcare Medical Devices USA 4.72B -
480 MUMicron Technology TechnologySemiconductors
Inc. USA 158.51B -
481 MTB M & T Bank Corp Financial Banks - Regional USA 23.86B 9.66
482 RRX Regal Rexnord Corp Industrials
Specialty Industrial Machinery
USA 9.50B -
483 MYRG MYR Group Inc Industrials Engineering & ConstructionUSA 2.39B 27.66
484 SPDRXITK
FactSet Innovative Technology
Financial
Exchange
ETF Traded FundUSA - -
485 NVO Novo Nordisk ADRHealthcare Biotechnology Denmark 475.69B 49.2
486 ATKR Atkore Inc Industrials
Electrical Equipment & Parts
USA 5.19B 8.88
487 DVA DaVita Inc Healthcare Medical Care FacilitiesUSA 12.47B 16.14
488 iShares
IYM U.S. Basic Materials Financial
ETFExchange Traded FundUSA - -
489 ACLS Axcelis TechnologiesTechnology
Semiconductor
Inc Equipment & Materials
USA 4.59B 18.67
490 PAYCPaycom Software Inc TechnologySoftware - Application USA 8.19B 17.18
491 GPC Genuine PartsConsumer
Co. CyclicalAuto Parts USA 19.63B 15.72
492 Direxion
FNGGDaily NYSE FANG+ Bull Financial
2X Shares
Exchange Traded FundUSA - -
493 SPDR
XARS&P Aerospace & Defense Financial
ETF
Exchange Traded FundUSA - -
494 XYL Xylem Inc Industrials
Specialty Industrial Machinery
USA 34.11B 50.17
495 ICFI ICF International, Inc
IndustrialsConsulting Services USA 2.63B 28.51
496 RLI RLI Corp. Financial
Insurance - Property & Casualty
USA 6.40B 19.36
497 ORCL Oracle Corp. Technology Software - InfrastructureUSA 384.38B 37.72
498 THCTenet Healthcare Corp. Healthcare
Medical Care FacilitiesUSA 13.62B 5.39
499 KMB Kimberly-ClarkConsumer
Corp. Household
Defensive& Personal Products
USA 46.95B 25.6
500 CHDNChurchill Downs, Consumer
Inc. CyclicalGambling USA 10.24B 31.05
501 AREN Arena Group Holdings
Communication
IncInternet
Services
Content & Information
USA 24.86M -
502 ARESAres Management Corp FinancialAsset Management USA 26.04B 58.72
503 ARGT
Global X MSCI ArgentinaFinancial
ETF Exchange Traded FundUSA - -
504 ARGX Argen X SE ADRHealthcare Biotechnology Netherlands 23.08B -
505 ARHS Arhaus IncConsumer HomeCyclical
Improvement RetailUSA 2.65B 24.93
506 ApolloARI
Commercial Real EstateRealFinance
EstateREIT
Inc - Mortgage USA 1.41B -
507 ARISAris Water Solutions IncUtilities
Utilities - Regulated Water
USA 442.67M 20.17
508 ARK 21Shares
ARKA Active Bitcoin Futures Financial
Strategy
Exchange
ETF Traded FundUSA - -
509 ARK 21Shares
ARKB Bitcoin ETF Beneficial Financial
Interest
Exchange Traded FundUSA - -
510ARK 21Shares
ARKCActive On-Chain Bitcoin Financial
Strategy
Exchange
ETFTraded FundUSA - -
ARK
51121SharesARKD
Blockchain and Digital Economy
Financial
Exchange
InnovationTraded
ETF FundUSA - -
512 ARKF
ARK Fintech InnovationFinancial
ETF Exchange Traded FundUSA - -
513 ARKG
ARK Genomic RevolutionFinancial
ETF Exchange Traded FundUSA - -
514 ARKKARK Innovation ETF Financial
Exchange Traded FundUSA - -
515 ARKO ARKO Corp Consumer Cyclical Specialty Retail USA 701.38M 23.94
516 ARK Autonomous
ARKQ Technology &Financial
RoboticsExchange
ETF Traded FundUSA - -
517 ARKRArk RestaurantsConsumer
Corp. CyclicalRestaurants USA 55.12M -
518 ARKW
ARK Next Generation Internet Financial
ETFExchange Traded FundUSA - -
519 ARKARKX
Space Exploration & Innovation
Financial
Exchange
ETF Traded FundUSA - -
520ARK 21Shares
ARKYActive Bitcoin Ethereum Financial
Strategy
Exchange
ETFTraded FundUSA - -
521ARK 21Shares
ARKZActive Ethereum Futures Financial
Strategy
Exchange
ETFTraded FundUSA - -
522 ARL
American Realty Investors
RealInc.
Estate
Real Estate - Development USA 221.58M 80.85
523 ARLOArlo Technologies Inc Industrials
Building Products & EquipmentUSA 1.28B -
524 ARLP
Alliance Resource Partners,Energy
LP Thermal Coal USA 3.04B 5.19
525 AllianzIM
ARLUU.S. Equity Buffer15 Uncapped
Financial
Exchange
Apr ETF Traded FundUSA - -
526 ARMArm Holdings plc. ADR TechnologySemiconductors United Kingdom 164.42B 553.98
527 ARMK Aramark Industrials
Specialty Business Services
USA 8.86B 14.17
528 ARMN Aris Mining Corp Basic Materials Gold Canada 584.29M 38.13
529 ARMP Armata Pharmaceuticals Healthcare
Inc Biotechnology USA 103.75M -
530 AROC Archrock Inc Energy
Oil & Gas Equipment & ServicesUSA 2.94B 22.89
531 AROWArrow Financial Corp. Financial Banks - Regional USA 410.24M 14.31
532 ARP
PMV Adaptive Risk Parity Financial
ETF Exchange Traded FundUSA - -
533 ARQ Arq Inc Industrials
Pollution & Treatment Controls
USA 224.17M -
534 ARQQ Arqit Quantum IncTechnology Software - Infrastructure
United Kingdom 62.93M -
535 ARQT Arcutis BiotherapeuticsHealthcare
Inc Biotechnology USA 1.08B -
536 ARR
ARMOUR Residential REIT RealIncEstateREIT - Mortgage USA 954.04M -
537 ARRYArray Technologies Technology
Inc Solar USA 1.97B 34.8
538 ARTLArtelo Biosciences Inc Healthcare Biotechnology USA 4.30M -
539 ARTNA Artesian Resources Corp.
Utilities
Utilities - Regulated Water
USA 356.86M 20.34
540 ARTW
Art's-way Manufacturing FarmCo.
Industrials
Inc.
& Heavy Construction Machinery
USA 8.47M -
541 ARVN Arvinas Inc Healthcare Biotechnology USA 1.81B -
542 ARVR
First Trust IndxxMetaverse Financial
ETF Exchange Traded FundUSA - -
543 ARWArrow Electronics Inc. Technology
Electronics & Computer Distribution
USA 7.04B 10.4
544 ARWR
Arrowhead Pharmaceuticals Healthcare
Inc. Biotechnology USA 3.29B -
545 Arya
ARYD Sciences Acquisition Corp
Financial
IV Shell Companies USA 86.33M -
546 AS Amer Sports Consumer
Inc. Cyclical Leisure Finland 7.24B -
547 ASA
ASAGold and Precious Metals Financial
Ltd
Closed-End Fund - Equity USA 331.21M 34.34
548 ASAI
Sendas Distribuidora Consumer
S.A. ADR Defensive
Grocery Stores Brazil 2.92B 20.67
549 ASAN Asana Inc Technology Software - Application USA 2.82B -
550 ASBAssociated Banc-Corp. Financial Banks - Regional USA 3.04B 20.6
551 ASCArdmore Shipping Corp Industrials Marine Shipping Bermuda 897.19M 8.28
552 ASCB
A SPAC II Acquisition CorpFinancial Shell Companies Singapore 138.38M 56.91
553 Global
ASEA X FTSE Southeast Asia Financial
ETF Exchange Traded FundUSA - -
554 FlexShares
ASETReal Assets Allocation Financial
IndexExchange
Fund Traded FundUSA - -
555 Liberty
ASG All-Star Growth Fund Financial
Inc
Closed-End Fund - Equity USA 305.74M 5.53
556 abrdn
ASGI
Global Infrastructure Income
Financial
Closed-End
Fund Fund - EquityUSA 473.63M 11.25
557 ASGN ASGN Inc Technology
Information Technology ServicesUSA 4.11B 20.71
558 ASH Ashland Inc Basic MaterialsSpecialty Chemicals USA 4.88B 25.72
559 Xtrackers
ASHRHarvest CSI 300 China Financial
A-Shares Exchange
ETF Traded FundUSA - -
560
Xtrackers Harvest
ASHSCSI 500 China A-Shares Financial
Small
Exchange
Cap ETF
Traded FundUSA - -
561 Matthews
ASIA Pacific Tiger Active
Financial
ETFExchange Traded FundUSA - -
562 ASIX AdvanSix IncBasic Materials Chemicals USA 642.61M 686.53
563 ASLE AerSale Corp Industrials Airports & Air ServicesUSA 369.87M -
564 ASLAN
ASLN Pharmaceuticals Ltd Healthcare
ADR Biotechnology Singapore 9.08M -
565 ASM
Avino Silver & Gold Mines
BasicOther
Ltd.
Materials
Precious Metals & Mining
Canada 119.98M 79.52
566 ASMBAssembly BiosciencesHealthcare
Inc Biotechnology USA 83.37M -
567 Virtus
ASMF
AlphaSimplex Managed Financial
FuturesExchange
ETF Traded FundUSA - -
568 ASML ASML Holding NV TSemiconductor
echnology Equipment & Netherlands
Materials 414.16B 53.81
569 ASNDAscendis Pharma A/S ADR Healthcare Biotechnology Denmark 7.24B -
570 ASNS Actelis Networks Inc Technology
Communication Equipment USA 6.26M -
571 Academy
ASO Sports and Outdoors
ConsumerInc Cyclical
Specialty Retail USA 3.71B 7.85
572 ASPI ASP Isotopes Inc Basic Materials Chemicals USA 212.73M -
573 ASPN Aspen Aerogels Inc. Industrials
Building Products & Equipment USA 2.34B -
574 Altisource
ASPS Portfolio Solutions
RealS.A.
Estate
Real Estate Services
Luxembourg 47.72M -
575 GrupoASR
Aeroportuario Del Sureste Industrials
S.A. Airports
ADR & Air Services Mexico 8.45B 14.69
576 ASRTAssertio HoldingsDrug Inc
Healthcare
Manufacturers - Specialty &USAGeneric 98.92M -
577 ASRVAmeriserv Financial Inc Financial Banks - Regional USA 40.30M -
578 ASST Asset EntitiesCommunication
Inc Internet
Services
Content & Information
USA 5.70M -
579 ASTC Astrotech Corp Industrials Aerospace & Defense USA 15.01M -
580 ASTE Astec Industries Inc. Farm
Industrials
& Heavy Construction Machinery
USA 712.47M 28.77
581 ASTH Astrana Health Inc.Healthcare Medical Care FacilitiesUSA 1.90B 29.39
582 ASTI
Ascent Solar TechnologiesTechnology
Inc Solar USA 3.38M -
583 ASTLAlgoma Steel Group Basic
Inc Materials Steel Canada 752.21M 78.67
584 ASTR Astra Space Inc Industrials Aerospace & Defense USA 12.13M -
585 ASTSAST SpaceMobile Inc Technology
Communication Equipment USA 1.43B -
586 ASUR Asure Software Inc Technology Software - Application USA 205.96M -
587 ASEASX
Technology Holding Co.Ltd
TechnologySemiconductors
ADR Taiwan 24.64B 24.94
588 ASXC Asensus Surgical Inc Healthcare Medical Devices USA 89.91M -
589 ASYS Amtech Systems Inc. Technology
Semiconductor Equipment & Materials USA 84.12M -
590 ATAI ATAI Life Sciences N.V.Healthcare Biotechnology Germany 224.33M -
591 Atour
ATATLifestyle Holdings Consumer
Ltd ADR Cyclical Lodging China 2.01B 18.07
592 ATCH AtlasClear HoldingsTechnology
Inc Software - InfrastructureUSA 14.83M -
593 ATECAlphatec Holdings Inc Healthcare Medical Devices USA 1.50B -
594 Athena
ATEKTechnology Acquisition Financial
Corp IIShell Companies USA 137.02M 276.46
595 ATEN A10 Networks IncTechnology Software - InfrastructureUSA 1.03B 22.68
596 ATER Aterian IncConsumer
Furnishings,
CyclicalFixtures & Appliances
USA 19.24M -
597 ATEX AnterixCommunication
Inc Services
Telecom Services USA 583.38M 37.71
598 ATFV Alger 35 ETF Financial Exchange Traded FundUSA - -
599 ATGE
Adtalem Global Education
Consumer Inc
Education
Defensive& Training ServicesUSA 2.41B 24.07
600 ATGL
Alpha Technology Group Technology
Ltd Software - InfrastructureHong Kong 45.07M -
601 ATHA Athira Pharma IncHealthcare Biotechnology USA 97.74M -
602 ATHE
Alterity Therapeutics LtdHealthcare
ADR Biotechnology Australia 16.52M -
603 ATHM Autohome Inc Communication
ADR Internet Services
Content & Information
China 3.42B 13.27
Athene
604 HoldingATHS
Ltd - FXDFR DB REDEEM Financial
30/03/2064
InsuranceUSD- Diversified
25 USA - -
605 ATI ATI Inc IndustrialsMetal Fabrication USA 7.11B 22.85
606 ATIF ATIF Holdings LtdFinancial Capital Markets USA 7.61M -
607 ATIP ATI Physical TherapyHealthcare
Inc Medical Care FacilitiesUSA 19.71M -
608 ATKR Atkore Inc Industrials
Electrical Equipment & Parts USA 5.19B 8.88
609 ATLC Atlanticus Holdings CorpFinancial Credit Services USA 394.30M 6.28
610 ATLO Ames National Corp.Financial Banks - Regional USA 179.89M 18.13
611 ATLXAtlas Lithium Corporation
BasicOther
Materials
Precious Metals & MiningBrazil 148.74M -
612 ATMC
AlphaTime Acquisition Financial
Corp Shell Companies USA 75.84M 40.93
613 ATMPiPath Select MLP ETN FinancialExchange Traded FundUSA - -
614 ATMU
Atmus Filtration Technologies
Industrials
Pollution
Inc & Treatment ControlsUSA 2.38B 14.52
615 ATNF180 Life Sciences Corp Healthcare Biotechnology USA 0.84M -
616 ATNIATN International
Communication
Inc Services
Telecom Services USA 325.55M -
617 ATNM
Actinium Pharmaceuticals Healthcare
Inc Biotechnology USA 238.84M -
618 ATO Atmos Energy Corp.Utilities Utilities - Regulated GasUSA 17.53B 17.42
619 ATOM Atomera Inc Technology
Semiconductor Equipment & Materials USA 104.60M -
620 ATOSAtossa Therapeutics Healthcare
Inc Biotechnology USA 154.68M -
621 ATPC Agape ATP Consumer
Corp Defensive
Packaged Foods Malaysia 17.40M -
622 ATR Aptargroup Inc. Healthcare
Medical Instruments & Supplies USA 9.66B 31.29
623 ATRA Atara BiotherapeuticsHealthcare
Inc Biotechnology USA 63.52M -
624 ATRC Atricure Inc Healthcare
Medical Instruments & Supplies USA 1.01B -
625 ATRI Atrion Corp. Healthcare
Medical Instruments & Supplies USA 799.02M 42.71
626 ATRO Astronics Corp. Industrials Aerospace & Defense USA 654.30M -
627 ATS ATS Corporation.Industrials Specialty Industrial Machinery
Canada 3.13B 21.89
628 ATSG
Air Transport Services Group
Industrials
Inc Airlines USA 804.41M 19.44
629 ATUS Altice USA Communication
Inc Services
Telecom Services USA 1.03B 162.77
630 ATXGAddentax Group Corp Industrials
Integrated Freight & Logistics
China 6.34M -
631 ATXI Avenue Therapeutics Healthcare
Inc Biotechnology USA 3.20M -
632 ATXSAstria Therapeutics Inc
Healthcare Biotechnology USA 503.52M -
633 ATYR Atyr Pharma Inc Healthcare Biotechnology USA 127.67M -
634 AU AngloGold AshantiBasic
Plc. Materials Gold United Kingdom 9.49B -
635 AUB
Atlantic Union BanksharesFinancial
Corp Banks - Regional USA 2.81B 11.57
636 AUBN
Auburn National BancorpFinancial
Inc. Banks - Regional USA 63.52M 79.75
637 AUDC Audiocodes Technology Communication Equipment Israel 303.51M 28.36
638 PGIMAUGPUS Large-Cap Buffer 12 ETF Financial
- August
Exchange Traded FundUSA - -
639 AllianzIM
AUGT U.S. Large Cap Buffer10
Financial
AugExchange
ETF Traded FundUSA - -
640 AllianzIM
AUGW U.S. Large Cap Buffer20
Financial
AugExchange
ETF Traded FundUSA - -
641 AUGX Augmedix Inc Healthcare Health Information ServicesUSA 39.22M -
642 TrueShares
AUGZStructured Outcome (August)
Financial Exchange
ETF Traded FundUSA - -
643 AUID authID Inc Technology Software - InfrastructureUSA 97.62M -
644 AULT Ault Alliance Inc Industrials Aerospace & Defense USA 8.78M -
645 AUMI Themes Gold Miners ETF Financial Exchange Traded FundUSA - -
646 AUMNGolden MineralsBasic Co Other
Materials
Precious Metals & Mining
USA 6.59M -
647 AUNA Auna S.A. Healthcare Medical Care Facilities Peru 231.90M -
648 AUPH
Aurinia PharmaceuticalsHealthcare
Inc Biotechnology Canada 765.16M -
649 AUR Aurora Innovation IncTechnology
Information Technology ServicesUSA 3.88B -
650 AURAAura Biosciences Inc Healthcare Biotechnology USA 356.69M -
651 Global
AUSF X Adaptive U.S. Factor Financial
ETFExchange Traded FundUSA - -
652 AUST Austin Gold Corp Basic Materials Gold Canada 10.75M -
653 AUTL
Autolus Therapeutics plcHealthcare
ADR Biotechnology United Kingdom 1.21B -
654 AUUD Auddia Inc Technology Software - Application USA 1.01M -
655 AVA Avista Corp. UtilitiesUtilities - Diversified USA 2.71B 14.34
656 AVAH
Aveanna Healthcare Holdings
Healthcare
IncMedical Care FacilitiesUSA 484.80M -
657 Grupo
AVAL
Aval Acciones y ValoresFinancial
S.A. ADR Banks - Regional Colombia 819.63M 25.09
658 AVAV AeroVironment Inc.Industrials Aerospace & Defense USA 6.06B -
659 AVB
Avalonbay Communities Real
Inc.EstateREIT - Residential USA 28.43B 29.79
660 AVBP ArriVent BioPharma Inc.
Healthcare Biotechnology USA 630.62M -
661 AVDAmerican VanguardBasic
Corp.Materials Agricultural Inputs USA 247.62M 35.51
662 AVDE
Avantis International Equity
Financial
ETF Exchange Traded FundUSA - -
663 AVDL
Avadel Pharmaceuticals
Drug
Healthcare
plcManufacturers - Specialty Ireland
& Generic 1.53B -
664 Avantis
AVDS
International Small CapFinancial
EquityExchange
ETF Traded FundUSA - -
665 Avantis
AVDVInternational Small CapFinancial
ValueExchange
ETF Traded FundUSA - -
666 AVDXAvidXchange Holdings Technology
Inc Software - InfrastructureUSA 2.24B -
667 AvantisAVEE
Emerging Markets Small Cap Financial
Equity
Exchange
ETF Traded FundUSA - -
668 Avantis
AVEMEmerging Markets Equity Financial
ETF
Exchange Traded FundUSA - -
669 Avantis
AVESEmerging Markets Value Financial
ETF
Exchange Traded FundUSA - -
670 AVGE
Avantis All Equity Markets Financial
ETF Exchange Traded FundUSA - -
671 AVGO Broadcom Inc TechnologySemiconductors USA 778.08B 72.23
672 AVGR Avinger Inc Healthcare
Medical Instruments & SuppliesUSA 2.64M -
673 Avantis
AVGVAll Equity Markets ValueFinancial
ETF
Exchange Traded FundUSA - -
674 Avantis
AVIE Inflation Focused Equity
Financial
ETF
Exchange Traded FundUSA - -
675 AVIG
Avantis Core Fixed Income Financial
ETF Exchange Traded FundUSA - -
676 AVIR Atea PharmaceuticalsHealthcare
Inc Biotechnology USA 311.61M -
677 Avantis
AVIVInternational Large CapFinancial
ValueExchange
ETF Traded FundUSA - -
678 Advent
AVK Convertible and Income Financial
Fund
Closed-End Fund - DebtUSA 419.62M -
679 Avantis
AVLC U.S. Large Cap Equity Financial
ETF Exchange Traded FundUSA - -
680 Avantis
AVLV U.S. Large Cap Value Financial
ETFExchange Traded FundUSA - -
681 AVMA
Avantis Moderate AllocationFinancial
ETFExchange Traded FundUSA - -
682 AVMC
Avantis U.S. Mid Cap Equity Financial
ETFExchange Traded FundUSA - -
683 Avantis
AVMUCore Municipal Fixed Income
Financial Exchange
ETF Traded FundUSA - -
684 AVMV
Avantis U.S. Mid Cap Value Financial
ETFExchange Traded FundUSA - -
685 Avantis AVNM
All International MarketsFinancial
EquityExchange
ETF Traded FundUSA - -
686 AVNS Avanos Medical Inc Healthcare Medical Devices USA 900.10M -
687 AVNT Avient CorpBasic Materials Specialty Chemicals USA 4.00B 38.29
688 Avantis
AVNV
All International MarketsFinancial
ValueExchange
ETF Traded FundUSA - -
689 AVNW Aviat Networks Inc Technology
Communication Equipment USA 377.35M 26.82
690 AVO Mission Produce Consumer
Inc Defensive
Food Distribution USA 740.30M 42.06
691 AVPT AvePoint Inc Technology Software - InfrastructureUSA 1.67B -
692 AVRE Avantis Real E state ETF
Financial Exchange Traded FundUSA - -
693 AVRO AvroBio Inc Healthcare Biotechnology USA 65.99M 2.13
694 Avantis
AVSC U.S Small Cap Equity Financial
ETFExchange Traded FundUSA - -
695 Avantis AVSD
Responsible InternationalFinancial
Equity Exchange
ETF Traded FundUSA - -
696 Avantis Responsible
AVSE Emerging Markets
Financial
Equity
Exchange
ETF Traded FundUSA - -
697 Avantis
AVSFShort-Term Fixed Income Financial
ETFExchange Traded FundUSA - -
698 Avantis
AVSU Responsible U.S. EquityFinancial
ETFExchange Traded FundUSA - -
699 AVT Avnet Inc. Technology
Electronics & Computer Distribution
USA 4.83B 8.65
700 AVTEAerovate TherapeuticsHealthcare
Inc Biotechnology USA 708.40M -
701 AVTR Avantor Inc.Basic MaterialsSpecialty Chemicals USA 14.96B 57.55
702 AVTXAvalo Therapeutics Inc Healthcare Biotechnology USA 11.98M -
703 AVUS Avantis U.S. Equity ETFFinancial Exchange Traded FundUSA - -
704 AVUV
Avantis U.S. Small Cap ValueFinancial
ETFExchange Traded FundUSA - -
705 AvantisAVXC
Emerging Markets ex-China Financial
Equity
Exchange
ETF Traded FundUSA - -
706 AVXL
Anavex Life Sciences Corporation
Healthcare Biotechnology USA 315.71M -
707 AVYAvery DennisonConsumer
Corp. Cyclical
Packaging & ContainersUSA 18.39B 33.38
708 AWAY Amplify Travel Tech ETFFinancial Exchange Traded FundUSA - -
709 Alger
AWEG
Weatherbie Enduring Growth
Financial
ETF
Exchange Traded FundUSA - -
710 AllianceBernstein
AWF Global High Income
Financial
Fund
Closed-End
Inc Fund - DebtUSA 920.07M 7.31
711 AWH Aspira Women's HealthHealthcare
Inc Diagnostics & ResearchUSA 24.28M -
712 AWI
Armstrong World IndustriesIndustrials
Building
Inc. Products & Equipment
USA 5.03B 21.65
713 AWIN
AERWINS Technologies Technology
Scientific
Inc & Technical Instruments
USA 3.34M -
714 AWK
American Water Works Co. Utilities
Inc.
Utilities - Regulated WaterUSA 25.17B 26.27
715 abrdn
AWP Global Premier Properties
Financial
Fund
Closed-End Fund - Foreign USA 323.70M -
716 AWR American States Water Co.Utilities
Utilities - Regulated WaterUSA 2.62B 23.01
717 AWRE Aware Inc. Technology Software - Application USA 38.38M -
718 AWXAvalon Holdings Corp. IndustrialsWaste Management USA 9.17M -
719 AX Axos Financial Inc.Financial Banks - Regional USA 3.05B 7.25
720 AXDX Accelerate DiagnosticsHealthcare
Inc Medical Devices USA 29.55M -
721 AXGN Axogen Inc. Healthcare Medical Devices USA 342.17M -
722 AXIL AXIL Brands Inc.Technology Consumer Electronics USA 64.59M 75.19
723 American
AXL Axle & Manufacturing
Consumer
Holdings
Cyclical
IncAuto Parts USA 844.01M -
724 AXNX Axonics Inc Healthcare Medical Devices USA 3.44B -
725 AXON Axon Enterprise IncIndustrials Aerospace & Defense USA 22.15B 85.74
726 AXP American Express Co. Financial Credit Services USA 159.82B 18.3
727 AXR AMREP Corp. Real Estate Real Estate - Development USA 110.67M 50.34
728 AXS Axis Capital Holdings Financial
Ltd Insurance - SpecialtyBermuda 5.84B 10.57
729 AXSM Axsome TherapeuticsHealthcare
Inc Biotechnology USA 3.44B -
730 AXTAAxalta Coating Systems
BasicLtdMaterials
Specialty Chemicals USA 7.88B 31.92
731 AXTI AXT Inc Technology
Semiconductor Equipment & MaterialsUSA 162.06M -
732 Atlantica
AY Sustainable Infrastructure
UtilitiesUtilities
Plc - Renewable
United Kingdom 2.55B 54.1
733 AYI Acuity Brands, Inc.Industrials
Electrical Equipment & Parts USA 7.98B 21.68
734 AYRO AYRO IncConsumer Cyclical Auto Manufacturers USA 4.51M -
735 AYTU Aytu BioPharma Drug Inc
Healthcare
Manufacturers - Specialty &USA Generic 15.99M -
736 AZ
A2Z Smart TechnologiesIndustrials
Corp. Aerospace & DefenseCanada 15.75M -
737 AZEK AZEK Company Inc Industrials
Building Products & Equipment USA 6.97B 60.13
738 AZN Astrazeneca plc ADR Healthcare
Drug Manufacturers -UnitedGeneral
Kingdom 246.58B 39.2
739 AZO Autozone Inc.
Consumer Cyclical Specialty Retail USA 48.05B 19.46
740 AZPNAspen Technology Inc Technology Software - Application USA 12.64B -
741 AZTA Azenta Inc Healthcare
Medical Instruments & Supplies USA 2.95B -
742 AztlanAZTD
Global Stock Selection DM Financial
SMID Exchange
ETF Traded FundUSA - -
743 AZTR Azitra Inc Healthcare Biotechnology USA 4.18M -
744 AZUL Azul S.A. ADR Industrials Airlines Brazil 574.04M -
745 AZZ AZZ Inc Industrials
Specialty Business ServicesUSA 2.33B 26.1
746 B Barnes Group Inc.Industrials
Specialty Industrial MachineryUSA 1.99B 425.05
747 BA Boeing Co. Industrials Aerospace & Defense USA 110.93B -
748 Invesco
BAB Taxable Municipal Bond Financial
ETF
Exchange Traded FundUSA - -
749 BABA
Alibaba Group Holding Consumer
Ltd ADR Cyclical
Internet Retail China 171.19B 17.37
750 GraniteShares
BABX 2x Long BABAFinancial
Daily ETF
Exchange Traded FundUSA - -
751 BACBank Of America Corp. FinancialBanks - Diversified USA 307.03B 13.56
752 BACA
Berenson Acquisition CorpFinancial
I Shell Companies USA 84.96M -
753 BACK IMAC Holdings IncHealthcare Medical Care FacilitiesUSA 3.11M -
754 Bridger
BAERAerospace Group Holdings
Industrials
Security
Inc & Protection ServicesUSA 183.34M -
755 BAFNBayFirst Financial Corp Financial Banks - Regional USA 47.00M 10.15
756 Booz
BAHAllen Hamilton Holding Industrials
Corp Consulting Services USA 19.45B 32.74
757 BAK Braskem S.A. ADR Basic Materials Chemicals Brazil 1.18B -
758 BlackRock
BALIAdvantage Large CapFinancial
Income Exchange
ETF Traded FundUSA - -
759 BALL Ball Corp.Consumer Cyclical
Packaging & ContainersUSA 20.55B -
760 Innovator
BALT Defined Wealth Shield Financial
ETF
Exchange Traded FundUSA - -
761 BALY Ballys CorporationConsumer CyclicalResorts & Casinos USA 476.45M -
762 Brookfield
BAM Asset ManagementFinancialAsset
Ltd Management Canada 15.85B 35.13
763 BAMA Brookstone Active ETF FinancialExchange Traded FundUSA - -
764 Brookstone
BAMB Intermediate Bond
Financial
ETFExchange Traded FundUSA - -
765 BAMD
Brookstone Dividend Stock Financial
ETF Exchange Traded FundUSA - -
766 BAMG
Brookstone Growth StockFinancial
ETF Exchange Traded FundUSA - -
767 BAMO
Brookstone OpportunitiesFinancial
ETF Exchange Traded FundUSA - -
768 BAMU
Brookstone Ultra-Short BondFinancial
ETFExchange Traded FundUSA - -
769 BAMVBrookstone Value StockFinancial
ETF Exchange Traded FundUSA - -
770 BAMYBrookstone Yield ETF Financial
Exchange Traded FundUSA - -
771 BANCBanc of California Inc Financial Banks - Regional USA 2.21B -
772 BAND Bandwidth Inc Technology Software - InfrastructureUSA 499.69M -
773 BANF Bancfirst Corp. Financial Banks - Regional USA 2.75B 13.62
774 BANLCBL International LtdEnergyOil & Gas MidstreamMalaysia 20.19M 93.14
775 BANR Banner Corp. Financial Banks - Regional USA 1.59B 9.61
776 BANXArrowMark Financial Corp
Financial
Closed-End Fund - DebtUSA 131.59M 6.51
777 Baosheng
BAOS Media Group Communication
Holdings LtdAdvertising
Services Agencies China 3.42M -
778 BAP Credicorp Ltd Financial Banks - Regional Peru 12.64B 9.44
779 Innovator
BAPR U.S. Equity Buffer ETFFinancial
- April
Exchange Traded FundUSA - -
780 BARGraniteShares Gold Shares
Financial
Exchange Traded FundUSA - -
781 BARK BARK IncConsumer Cyclical Specialty Retail USA 273.97M -
782 BASE Couchbase Inc Technology Software - InfrastructureUSA 898.03M -
783 BATL Battalion Oil Corp Energy Oil & Gas E&P USA 75.15M -
784 BATRA
Atlanta Braves Holdings
Communication
Inc Services
Entertainment USA 2.59B -
785 BATRK
Atlanta Braves Holdings
Communication
Inc Services
Entertainment USA 2.46B -
786 Amplify
BATTLithium & Battery Technology
Financial
Exchange
ETF Traded FundUSA - -
787 Innovator
BAUGU.S. Equity Buffer ETF Financial
- August
Exchange Traded FundUSA - -
788 BAXBaxter International Inc.
Healthcare
Medical Instruments & Supplies
USA 17.19B -
789 BAYABayview Acquisition Corp.
Financial Shell Companies USA - -
790 BB BlackBerry Ltd Technology
Software - Infrastructure
Canada 1.49B -
791 JPMorganBBAG
BetaBuilders U.S. Aggregate
Financial
Bond
Exchange
ETF Traded FundUSA - -
792 BBAIBigBear.ai HoldingsTechnology
IncInformation Technology Services
USA 337.13M -
793 BBARBBVA Argentina ADR Financial Banks - Regional Argentina 2.19B 5.15
JPMorgan
794 BetaBuilders
BBAX Developed Asia Financial
Pacific Exchange
ex-Japan ETF
Traded FundUSA - -
795
BondBloxxBBBI
BBB Rated 5-10 Year Corporate
Financial
Exchange
Bond ETFTraded FundUSA - -
796BondBloxxBBBL
BBB Rated 10+ Year Corporate
Financial
Exchange
Bond ETFTraded FundUSA - -
797BondBloxxBBBS
BBB Rated 1-5 Year Corporate
Financial
Exchange
Bond ETFTraded FundUSA - -
798 Virtus
BBC
LifeSci Biotech ClinicalFinancial
Trials Exchange
ETF Traded FundUSA - -
799 JPMorgan
BBCA BetaBuilders Canada Financial
ETFExchange Traded FundUSA - -
JPMorgan
800 BetaBuilders
BBCB USD Investment Grade Financial
Corporate
ExchangeBond
Traded
ETF FundUSA - -
801 BBCP
Concrete Pumping HoldingsIndustrials
Inc
Engineering & ConstructionUSA 360.44M 21.82
802 BBDBanco Bradesco S.A. ADRFinancial Banks - Regional Brazil 12.67B 9.67
803 BBDC Barings BDC Inc FinancialAsset Management USA 1.02B 7.79
804JPMorganBBEM
BetaBuilders Emerging Markets
Financial
Equity
Exchange
ETFTraded FundUSA - -
805 JPMorgan
BBEU BetaBuilders Europe Financial
ETFExchange Traded FundUSA - -
806 BBGI
Beasley Broadcast
Communication
Group Inc Services Broadcasting USA 21.24M -
807 BBH VanEck Biotech ETFFinancial Exchange Traded FundUSA - -
JPMorgan
808 BetaBuilders
BBHY USD High YieldFinancial
Corporate
Exchange
Bond ETF
Traded FundUSA - -
809
JPMorgan BetaBuilders
BBIB U.S. Treasury Bond
Financial
3-10
Exchange
Year ETF
Traded FundUSA - -
810 JPMorgan BBIN
BetaBuilders International
Financial
Equity
Exchange
ETF Traded FundUSA - -
811 BBIOBridgeBio Pharma Inc Healthcare Biotechnology USA 5.43B -
812 JPMorgan BBIP
BetaBuilders U.S. TIPSFinancial
0-5 Year
Exchange
ETF Traded FundUSA - -
813 JPMorgan
BBJP BetaBuilders JapanFinancial
ETFExchange Traded FundUSA - -
814
JPMorgan BetaBuilders
BBLB U.S. Treasury Bond
Financial
20+
Exchange
Year ETF
Traded FundUSA - -
815 BBLG Bone Biologics Corp Healthcare Medical Devices USA 0.83M -
816 BBLU
EA Bridgeway Blue ChipFinancial
ETF Exchange Traded FundUSA - -
817 JPMorganBBMCBetaBuilders U.S. Mid CapFinancial
Equity
Exchange
ETF Traded FundUSA - -
818 BlackRock
BBN Taxable Municipal Financial
Bond Trust
Closed-End Fund - DebtUSA 994.86M 8.34
819 Virtus
BBP LifeSci Biotech ProductsFinancial
ETFExchange Traded FundUSA - -
820 JPMorganBBRE BetaBuilders MSCI U.S. Financial
REITExchange
ETF Traded FundUSA - -
821
JPMorgan BetaBuilders
BBSA 1-5 Year U.S. Aggregate
Financial
Exchange
Bond ETFTraded FundUSA - -
822
JPMorgan BetaBuilders
BBSB U.S. Treasury Bond
Financial
1-3
Exchange
Year ETFTraded FundUSA - -
823 JPMorganBBSC
BetaBuilders U.S. Small Financial
Cap Equity
Exchange
ETF Traded FundUSA - -
824 BBSI
Barrett Business ServicesIndustrials
Inc.
Staffing & Employment ServicesUSA 864.91M 18.13
825 Brookfield
BBU Business Partners
Industrials
L.P. Conglomerates Canada 1.41B 2.99
826 BBUC Brookfield Business CorpFinancialAsset Management USA 2.01B 3.94
827 JPMorgan
BBUS BetaBuilders U.S. EquityFinancial
ETF
Exchange Traded FundUSA - -
828 Banco
BBVA
Bilbao Vizcaya Argentaria FinancialBanks
S.A. ADR - Diversified Spain 56.48B 6.42
829 BBWBuild A Bear Workshop
Consumer
Inc Cyclical
Specialty Retail USA 358.03M 7.35
830 BBWIBath & Body Works Consumer
Inc Cyclical Specialty Retail USA 9.77B 11.25
831 BBY Best Buy Co. Consumer
Inc. Cyclical
Specialty Retail USA 18.92B 15.36
832 BC Brunswick Corp.
Consumer Cyclical
Recreational Vehicles USA 5.08B 13.97
833 BCAB BioAtla Inc Healthcare Biotechnology USA 75.55M -
834 BCALSouthern Calif Bancorp Financial Banks - Regional USA 241.76M 10.77
835 BCAN
BYND Cannasoft Enterprises
Technology
IncSoftware - InfrastructureIsrael 6.35M -
836 BlackRock
BCAT Capital Allocation Financial
Term Closed-End
Trust Fund - EquityUSA 1.80B 8.71
837 BCBPBCB Bancorp Inc (NJ) Financial Banks - Regional USA 165.19M 6.25
838 BCC Boise Cascade Co Basic Materials Building Materials USA 5.15B 10.61
abrdn
839 BloombergBCD All Comm Longer Dt Strategy
Financial
Exchange
K-1 Free ETF
Traded FundUSA - -
840 BCDA BioCardia Inc. Healthcare Biotechnology USA 6.64M -
841 Horizon BCDF
Kinetics Blockchain Development
Financial
Exchange
ETF Traded FundUSA - -
842 BCE BCE Inc
Communication Services
Telecom Services Canada 31.00B 23.83
843 BCGBinah Capital Group Inc. FinancialAsset Management USA 109.56M -
844 BCH Banco de Chile ADRFinancial Banks - Regional Chile 11.72B 8
845 BCHP
Principal Focused Blue Chip Financial
ETFExchange Traded FundUSA - -
846
abrdn Bloomberg
BCI All Commodity Strategy Financial
K-1
Exchange
Free ETFTraded FundUSA - -
847 Bancreek
BCIL International LargeFinancial
Cap ETFExchange Traded FundUSA - -
848
abrdn Bloomberg
BCIMIndustrial Metals Strategy
Financial
K-1
Exchange
Free ETF
Traded FundUSA - -
849 Brainstorm
BCLI Cell Therapeutics,
Healthcare
Inc. Biotechnology USA 31.05M -
850 BCML BayCom Corp Financial Banks - Regional USA 217.24M 8.72
851 BCO Brink's Co. Industrials
Security & Protection Services
USA 4.46B 38.24
852 BCOV Brightcove Inc Technology Software - Application USA 91.39M -
853 BCOW
1895 Bancorp of Wisconsin Financial
Inc. Banks - Regional USA 46.50M -
854 BCPC Balchem Corp.Basic Materials Specialty Chemicals USA 4.94B 43.12
855 BCRX
Biocryst PharmaceuticalsHealthcare
Inc. Biotechnology USA 1.29B -
856 BCS Barclays plc ADR FinancialBanks - Diversified United Kingdom 39.40B -
857 Blockchain
BCSA Coinvestors AcquisitionFinancial
CorpShell
I Companies Cayman Islands 144.22M 10.97
858 Bain
BCSFCapital Specialty Finance
FinancialAsset
Inc Management USA 1.06B 8.18
859 BCTXBriaCell Therapeutics Corp
Healthcare Biotechnology Canada 24.86M -
860 Trust
BCUS Bancreek U.S. Large CapFinancial
ETFExchange Traded FundUSA - -
861 BCV Bancroft Fund Ltd Financial Closed-End Fund - DebtUSA 92.32M -
862BlackRockBCX Resources & Commodities Financial
Strategy
Closed-End
Trust Fund - Equity USA 771.87M -
863 BCYC
Bicycle Therapeutics PlcHealthcare
ADR Biotechnology United Kingdom 1.04B -
864 BDC Belden Inc Technology Communication Equipment USA 3.98B 19.15
ETRACS Quarterly
865 PayBDCX
1.5X Leveraged MVIS BDC Financial
Index
Exchange
ETN due Traded
June 10,
FundUSA
20 - -
ETRACS MVIS
866 Business BDCZDevelopment Companies Financial
IndexExchange
ETN due Traded
April 26,
FundUSA
204 - -
867 InnovatorBDEC U.S. Equity Buffer ETF Financial
- December
Exchange Traded FundUSA - -
868 BDGS
Bridges Capital TacticalFinancial
ETF Exchange Traded FundUSA - -
869 BlackRock
BDJ Enhanced Equity Dividend
Financial
Closed-End
Trust Fund - Equity
USA 1.52B 10.07
870 BDLFlanigan's Enterprises,
Consumer
Inc. CyclicalRestaurants USA 49.76M 14.09
871 BDNBrandywine Realty Trust
Real Estate REIT - Office USA 790.72M -
872 BDRX
Biodexa Pharmaceuticals PlcHealthcare
ADR Biotechnology United Kingdom 0.24M -
873 Breakwave
BDRY Dry Bulk Shipping
Financial
ETFExchange Traded FundUSA - -
874 BDSX Biodesix Inc Healthcare Diagnostics & ResearchUSA 181.21M -
875 BDTX
Black Diamond TherapeuticsHealthcare
Inc Biotechnology USA 347.06M -
876 iMGP
BDVG Berkshire Dividend Growth
Financial
ETF
Exchange Traded FundUSA - -
877 BDXBecton Dickinson & Co. Healthcare
Medical Instruments & Supplies USA 67.04B 51.05
878 BE Bloom Energy CorpIndustrials Electrical Equipment & Parts USA 3.43B -
879 BEAMBeam Therapeutics Inc Healthcare Biotechnology USA 2.08B -
880 BEAT HeartBeam Inc Healthcare Health Information Services USA 53.71M -
881 BECNBeacon Roofing SupplyIndustrials
Inc Industrial Distribution USA 6.36B -
882
BlackRock BECO
Future Climate and Sustainable
Financial
Economy
Exchange ETFTraded FundUSA - -
883 Bright
BEDU
Scholar Education Holdings
ConsumerEducation
Ltd
Defensive
ADR & Training Services China 15.97M -
884 BEDZ AdvisorShares Hotel ETFFinancialExchange Traded FundUSA - -
885 BEEM Beam Global Technology Solar USA 84.77M -
886 BEEPMobile Infrastructure Corp.
Industrials
Infrastructure OperationsUSA 102.90M -
887 BEEZHoneytree U.S. Equity ETF
FinancialExchange Traded FundUSA - -
888 BEKEKE Holdings Inc ADR Real Estate Real Estate Services China 18.49B 38.22
889 BELFB Bel Fuse Inc. Technology Electronic ComponentsUSA 821.99M 11.07
iShares
890 J.P. Morgan
BEMBBroad USD Emerging Financial
Markets
Exchange
Bond ETFTraded FundUSA - -
891 BENFranklin Resources, Inc.FinancialAsset Management USA 11.55B 12.6
892 BENF Beneficient FinancialAsset Management USA 12.50M -
893 Brookfield
BEP Renewable Partners
UtilitiesUtilities
LP - RenewableBermuda 7.36B -
894 Brookfield
BEPC Renewable Corporation
UtilitiesUtilities - Renewable USA 11.44B 8.2
895 BERYBerry Global GroupConsumer
Inc Cyclical
Packaging & ContainersUSA 6.84B 14.21
MicroSectorsTM
896 Solactive
BERZFANG & Innovation Financial
-3X Inverse
Exchange
Leveraged
TradedETNs
FundUSA - -
897 BEST BEST Inc ADR Industrials Trucking China 29.82M -
898ProShares BETE
Bitcoin & Ether Equal Weight
Financial
Strategy
ExchangeETFTraded FundUSA - -
ProShares
899 Bitcoin
BETH& Ether Market Cap Weight
FinancialExchange
Strategy ETFTraded FundUSA - -
900 Better
BETRHome & Finance Holding Financial
Co. Mortgage Finance USA 260.90M -
901 Roundhill
BETZ Sports Betting & iGaming
FinancialETF
Exchange Traded FundUSA - -
902 BF-A Brown-FormanConsumer
Corp.Beverages
Defensive
- Wineries & Distilleries
USA 20.53B 20.26
903 BF-B Brown-FormanConsumer
Corp.Beverages
Defensive
- Wineries & Distilleries
USA 20.24B 19.97
904 BFAC
Battery Future AcquisitionFinancial
Corp Shell Companies USA 152.14M 28.95
905 Bright
BFAM Horizons Family Consumer
Solutions, Cyclical
Inc. Personal Services USA 6.07B 73.21
906 BFC Bank First Corp Financial Banks - Regional USA 798.24M 10.33
907 Innovator
BFEBU.S. Equity Buffer ETF Financial
- February
Exchange Traded FundUSA - -
908 BFH
Bread Financial Holdings Financial
Inc Credit Services USA 2.00B 5.08
909 BFIBurgerFi International
Consumer
Inc CyclicalRestaurants USA 6.57M -
910 BFIN Bankfinancial CorpFinancial Banks - Regional USA 122.48M 14.58
911 BFIX
Build Bond Innovation Financial
ETF Exchange Traded FundUSA - -
912 BlackRock
BFK Municipal Income Financial
Trust
Closed-End Fund - DebtUSA 446.44M 67.87
913 BFLYButterfly Network Inc Healthcare Medical Devices USA 194.34M -
914 BFOR Barron's 400 ETF Financial Exchange Traded FundUSA - -
915 BFRG Bullfrog AI HoldingsHealthcare
Inc Health Information Services USA 21.19M -
916 BFRI Biofrontera IncDrug
Healthcare
Manufacturers - Specialty &USAGeneric 5.04M -
917 BFS Saul Centers, Inc.Real Estate REIT - Retail USA 885.58M 21.36
918 BFST
Business First BancsharesFinancial
Inc. Banks - Regional USA 513.06M 7.94
919 BlackRockBFZ California Municipal Financial
IncomeClosed-End
Trust Fund - DebtUSA 361.97M 40.13
920 BG Bunge Global Consumer
SA Defensive
Farm Products USA 14.60B 8.3
921 Blackstone
BGB Strategic Credit 2027Financial
TermClosed-End
Fund Fund - DebtUSA 539.10M 6.67
922 BGC BGC Group Inc Financial Capital Markets USA 4.00B 67.61
923 BGFVBig 5 Sporting Goods
Consumer
Corp Cyclical Specialty Retail USA 70.12M -
924 BaringsBGHGlobal Short Duration HighFinancial
Yield
Closed-End
Fund Fund - DebtUSA 292.34M 6.15
925 BGI Birks Group Consumer
Inc Cyclical
Luxury Goods Canada 47.22M -
926 Bahl
BGIG & Gaynor Income Growth Financial
ETFExchange Traded FundUSA - -
927 BGLC BioNexus Gene LabBasic
CorpMaterialsSpecialty ChemicalsMalaysia 8.46M -
928 FT Vest
BGLDGold Strategy QuarterlyFinancial
BufferExchange
ETF Traded FundUSA - -
929 BGNE BeiGene Ltd ADRHealthcare BiotechnologyCayman Islands 15.94B -
930 Blackrock
BGR Energy & ResourcesFinancial
Trust
Closed-End Fund - Equity USA 358.70M 18.68
931 BGRN
iShares USD Green BondFinancial
ETF Exchange Traded FundUSA - -
932 BlackRock
BGRO Large Cap GrowthFinancial
ETFExchange Traded FundUSA - -
933 BGS B&G Foods,ConsumerInc Defensive
Packaged Foods USA 699.59M -
934 BGSF BGSF Inc Industrials
Staffing & Employment Services
USA 78.44M 14.2
935 BlackRock
BGT Floating Rate Income
Financial
Trust
Closed-End Fund - DebtUSA 289.66M 7.42
936 Blackstone
BGX Long-Short Credit IncomeFinancialClosed-End
Fund Fund - DebtUSA 160.89M 6.59
937 BGXX Bright Green Corp Drug
Healthcare
Manufacturers - Specialty &USAGeneric 52.18M -
938 BlackRock
BGY Enhanced InternationalFinancial
Dividend
Closed-End
Trust Fund - ForeignUSA 559.59M 6.57
939 BH Biglari Holdings Consumer
Inc. CyclicalRestaurants USA 598.95M 47.43
940 BHAC
Focus Impact BH3 Acquisition Financial
Co. Shell Companies USA 85.33M 23.04
941 Blue HatBHAT
Interactive Entertainment
Communication
Electronic
Technology
Services
Gaming & Multimedia
China 64.82M -
942 BHBBar Harbor BanksharesFinancial
Inc Banks - Regional USA 389.13M 9.27
943 BHC
Bausch Health CompaniesDrug
Healthcare
Inc
Manufacturers - Specialty Canada
& Generic 2.26B -
944 BHEBenchmark ElectronicsTechnology
Inc. Electronic ComponentsUSA 1.48B 22.41
945 BHFBrighthouse Financial Financial
Inc Insurance - Life USA 2.56B -
946 BHIL Benson Hill Inc Basic Materials
Agricultural Inputs USA 36.78M -
947 BHKBlackRock Core Bond Trust Financial
Closed-End Fund - DebtUSA 586.29M 10.54
948 BHLB
Berkshire Hills BancorpFinancial
Inc. Banks - Regional USA 920.35M 43.09
949 BHM Bluerock Homes TrustRealInc EstateREIT - Residential USA 69.85M -
950 BHP BHP Group LimitedBasicADR Other
Materials
Industrial Metals & Mining
Australia 145.31B 19.76
951 BHR
Braemar Hotels & Resorts RealInc
Estate
REIT - Hotel & Motel USA 199.44M -
952 Burke
BHRB& Herbert Financial Services
Financial
Corp.Banks - Regional USA 704.04M 17.52
953 BlackRock
BHV Virginia Municipal Financial
Bond Trust.
Closed-End Fund - DebtUSA 17.52M -
954 BHVN Biohaven Ltd Healthcare Biotechnology USA 2.95B -
955 XtrackersBHYB
USD High Yield BB-B exFinancial
Financials
Exchange
ETF Traded FundUSA - -
956 BIAF
BioAffinity Technologies Healthcare
Inc Diagnostics & ResearchUSA 24.57M -
957 ProShares BIB
Ultra Nasdaq BiotechnologyFinancial
2XExchange
Shares Traded FundUSA - -
958 BIBL Inspire 100 ETF Financial Exchange Traded FundUSA - -
959 BIDU Baidu IncCommunication
ADR Internet
Services
Content & Information
China 27.45B 12.41
960 BIG Big Lots Inc
Consumer Defensive Discount Stores USA 68.76M -
961 BIGCBigCommerce Holdings Technology
Inc Software - Application USA 614.30M -
962 BlackRockBIGZInnovation and Growth Financial
TermClosed-End
Trust Fund - Equity
USA 1.63B 7.42
963 BIIB Biogen Inc HealthcareDrug Manufacturers - General USA 34.05B 29.21
964 SPDR BILBloomberg 1-3 Month T-Bill
Financial
ETF
Exchange Traded FundUSA - -
965 Macquarie
BILD Global Listed Infrastructure
FinancialExchange
ETF Traded FundUSA - -
966 BILI Bilibili IncCommunication
ADR Electronic Services
Gaming & MultimediaChina 4.96B -
967 BILL BILL Holdings Inc Technology Software - Application USA 5.14B -
968 SPDRBILS
Bloomberg 3-12 Month Financial
T-Bill ETF
Exchange Traded FundUSA - -
969 PIMCO BILZUltra Short GovernmentFinancial
ActiveExchange
ETF Traded FundUSA - -
970 BIMI BIMI Holdings Inc.Healthcare Pharmaceutical RetailersUSA 19.92M -
971 BINC
BlackRock Flexible Income Financial
ETF Exchange Traded FundUSA - -
972 BINVBrandes International ETFFinancialExchange Traded FundUSA - -
973 BIOBio-Rad Laboratories Healthcare
Inc. Medical Devices USA 8.04B -
974 BIOL Biolase Inc Healthcare Medical Devices USA 4.85M -
975 BIORBiora Therapeutics Inc Healthcare Biotechnology USA 25.84M -
976 BIOX
Bioceres Crop SolutionsBasic
CorpMaterials
Agricultural InputsArgentina 684.22M 271.57
977 Brookfield
BIP Infrastructure Partners
Utilities
L.PUtilities - DiversifiedBermuda 12.87B 88.03
978 BIPC
Brookfield Infrastructure Utilities
Corp Utilities - Regulated GasUSA 4.86B 13.23
979 BIRD Allbirds Inc
Consumer Cyclical Apparel Retail USA 84.68M -
980 BIRKBirkenstock Holding Consumer
Plc Cyclical
Footwear & Accessories
United Kingdom 11.26B 103.27
981
ProShares UltraShort
BIS Nasdaq Biotechnology
FinancialExchange
-2x SharesTraded FundUSA - -
982 BlackRock
BIT Multi-Sector Income
Financial
Trust
Closed-End Fund - DebtUSA 559.09M 24.7
983 Bitwise
BITBBitcoin ETF Beneficial Financial
Interest
Exchange Traded FundUSA - -
984 Bitwise
BITCBitcoin Strategy Optimum Financial
RollExchange
ETF Traded FundUSA - -
985 BITE Bite Acquisition Corp Financial Shell Companies USA 75.20M -
986 BITF Bitfarms Ltd. Financial Capital Markets Canada 1.12B -
987 ProShares
BITI Short Bitcoin Strategy Financial
ETFExchange Traded FundUSA - -
988 BITO
ProShares Bitcoin Strategy Financial
ETF Exchange Traded FundUSA - -
989 Bitwise
BITQCrypto Industry Innovators
Financial
ETF
Exchange Traded FundUSA - -
990 GlobalBITS
X Blockchain & Bitcoin Strategy
Financial
Exchange
ETF Traded FundUSA - -
991 BITU
ProShares Ultra Bitcoin Financial
ETF Exchange Traded FundUSA - -
992 BITX2x Bitcoin Strategy ETFFinancial
Exchange Traded FundUSA - -
993 Vanguard
BIV Intermediate-Term Financial
Bond ETF
Exchange Traded FundUSA - -
994 BIVI BioVie Inc Healthcare Biotechnology USA 29.67M -
995 BIZDVanEck BDC Income ETF Financial
Exchange Traded FundUSA - -
996 BJ's
BJ Wholesale Club Consumer
Holdings Inc
Defensive
Discount Stores USA 11.70B 22.89
997 Innovator
BJANU.S. Equity Buffer ETF Financial
- January
Exchange Traded FundUSA - -
998 BJDXBluejay Diagnostics Inc
Healthcare Medical Devices USA 1.33M -
999 BJK VanEck Gaming ETF Financial
Exchange Traded FundUSA - -
1000 BJRI BJ's RestaurantConsumer
Inc. CyclicalRestaurants USA 815.96M 34.98
Price Change Volume
611500 -0.0066 2729
7657.85 0.0004 14873
3856.14 -0.0052 153704
3265.26 0.0298 433834
3079 -0.0197 1616
2813.4 -0.0016 93895
1753.11 0.0001 23059
1678.99 0.1227 8879027
1641.49 -0.0125 42404
1580.53 -0.0118 250641
1550.27 -0.0043 25758
1483.88 -0.0747 2096839
1474.44 0.0102 179307
1379.01 0.0005 92638
1323.65 0.0011 165729
1052.71 -0.0151 1105697
1038.5 0.0008 862009
1030.16 -0.009 319969
1026.55 -0.0011 296029
1012.09 -0.0118 40381
995.78 -0.0084 417505
954.21 0.0044 400
921.07 0.0067 198251
883.33 0.0185 2230283
871.1 0.1244 11565420
845.96 -0.0022 1245057
830.03 0.0027 545031
817 0.0017 528984
769.71 -0.0005 452938
766.6 0.0068 362244
764 -0.0171 266785
709.76 -0.0163 1112225
709.41 -0.0137 14179
691.96 -0.0008 248119
653.26 0.0049 1845053
627.83 0.0043 651230
594.62 0.0041 2118544
591.07 0.0107 465962
586.54 -0.0074 568385
577.17 0.0099 400630
572.63 -0.0053 1192296
567.8 0.0198 421413
567 -0.0412 767743
547.17 -0.0197 482810
543.67 0.0021 4778418
542.45 0.002 44618131
540 0.0128 304708
538.75 0.0153 1458288
538.43 -0.0052 73567
537.11 -0.0062 688408
532.66 -0.0052 26905
528.9 -0.0076 666676
528.75 -0.005 401325
506.12 -0.0159 463036
504.1 -0.0093 9346281
498.58 0.0019 8800518
497.3 0.0086 4411444
491.31 -0.0012 32951
485.41 0.0039 146528
484.28 -0.0075 446860
479.03 0.0068 808419
478.52 0.0096 221963
476.72 0.0054 25571834
475.06 -0.0126 38822
474.49 -0.0085 224160
458.74 -0.0025 7892954
458.56 -0.0012 741830
455.9 -0.0132 245532
453.99 0.0016 20353
453 -0.0149 26325
446.35 -0.0052 1848588
445 0.0045 2782717
441.58 0.0012 15907880
439.8 0.013 1590506
437.19 -0.007 688337
432.67 -0.0071 425209
426.91 -0.0033 354944
426 0.0436 1050062
425.48 -0.0044 73293
423.42 -0.0087 1232560
422.9 -0.0121 1121954
422.71 0.0074 270514
418.03 -0.0164 66199
416.68 -0.025 178680
413.59 -0.0048 333472
410.62 -0.0035 481311
406.8 -0.0102 273238
405.92 -0.007 4249526
402.79 -0.0084 159339
396.39 0.0161 950572
394.23 -0.0075 232666
394.1 -0.0239 200160
390.14 0.0197 345276
388.34 0.0153 167382
387.35 0.0019 92598
386.88 -0.0021 3122038
385.01 0.004 409624
382.81 -0.0118 3959158
377.95 0.0212 1581088
376.71 -0.007 555825
376.58 -0.0119 492628
374.43 0.0019 147792
371.22 0.0012 819343
370.74 -0.0166 2065
361.86 0.0049 1250833
359.39 0.0011 51118
358.22 -0.0045 48171
358.1 0.0162 1472743
350.72 -0.0075 48341
347.88 0.0109 3378722
347.11 -0.0241 11606
343.02 -0.0098 939189
343 -0.0108 276918
340.9 0.0003 653786
336.51 -0.0066 14436
336.29 -0.0063 682515
334.15 -0.0057 1170495
333.57 0.0043 1109189
331.79 0.004 158193
331.67 0.0653 3889247
328.35 0.0036 2190645
326.36 -0.0072 3158311
325.01 -0.0042 349721
324.91 0.0193 301555
321.33 0.0332 1102833
319.66 -0.0004 2879779
317.92 -0.0058 538914
311.59 0.0028 243102
309.32 -0.0086 79844
309.19 -0.0026 25088
308.91 0.0143 302957
308.16 0.0109 470674
307.54 -0.0133 1496656
307.49 -0.0075 2075038
306.85 0.0004 66759
306.01 -0.03 2134435
304.95 0.0081 49267
303.48 -0.0228 342385
300.45 0.0039 1333042
298.5 -0.0086 1708031
297.65 -0.0021 108293
296.36 -0.0185 37904
295.68 0.0005 516338
295.51 -0.0181 365342
295.42 0.0015 1352503
293.48 -0.008 383416
292.52 -0.0062 686638
291.56 -0.0304 2569258
288.96 0.0001 542590
287.59 0.0203 484129
287.01 -0.0045 77283
286.31 -0.0098 130403
285.91 -0.0141 47475
285.31 0.008 2049386
282.6 0.0249 747577
282.32 -0.0119 3116595
281.8 -0.0053 297453
281.48 0.0056 1084062
279.47 -0.0052 393410
279.16 0.0006 331315
277.05 -0.0297 1246993
277.02 -0.0308 413226
276.7 -0.0003 481659
275.47 -0.0266 1382073
275.2 0.0139 433336
274.86 -0.0108 91856
274.17 -0.0032 590726
272.96 0.0116 248547
271.28 0.0194 922175
271.19 0.0032 7353997
270.38 -0.0067 705398
268.98 -0.0075 190680
268.83 0.0021 179812
267.21 0.0157 7641799
266.89 0.0004 2175128
266.38 -0.0014 116685
265.34 -0.0138 130868
263.21 0.0006 1533912
262.24 -0.005 496002
262.09 0.0048 248508
262.07 -0.0078 253477
260.78 0.0073 1240897
260.72 -0.0055 515978
260.64 0.0015 192903
259.23 0.0088 154712
256.81 -0.0257 223421
256 -0.0026 31545
255.85 -0.0002 262538
255.5 -0.0026 23915
255.01 -0.0363 4854857
254.62 0.0084 1324676
253.95 0.0194 692730
253.7 -0.0031 3083810
252.95 0.0109 3427052
252 -0.0066 546048
251.79 0.0041 483310
250.13 -0.0092 113178
248.72 0.0013 135108
248.6 0 1015443
247.64 -0.0287 8542260
245.28 0.0005 53129
245.2 0.0061 680295
245.2 0.0316 331747
244.27 -0.0076 1368732
243.49 -0.0028 387849
243.16 0.0098 35428
242.11 0.0055 180
241.53 -0.0006 687722
240.6 0.0033 841186
240.47 0.0165 1187449
240.26 -0.0125 281224
239.14 -0.0001 36457
237.55 -0.0004 3621949
237.31 0.0103 212768
236.89 -0.0052 86047
234.42 -0.0235 188952
234.03 -0.0185 2583090
233.84 0.0139 994262
233.67 0.004 298990
233.36 -0.005 110483
232.23 0.0091 863716
231.97 -0.0086 868841
231.53 0.0006 915854
231.2 -0.0037 109685
230.92 0.0074 259960
229.14 -0.0083 300976
229.03 -0.0287 13062970
228.36 0.0007 307926
228.14 -0.0147 565307
226.96 0.0065 309056
226.86 0.0082 2116539
226.82 0.0079 6333194
225.1 -0.0053 557450
223.58 -0.0053 314823
223.1 0.0004 2518602
222.93 0.0046 58370
222.92 -0.0018 107232
222.19 -0.0083 2956231
222.12 -0.0192 3276133
221.9 0.0064 193226
221.84 -0.0102 841049
221.45 -0.001 193445
221.33 0.0076 255979
221.05 -0.0212 386249
220.4 -0.0068 809658
219.93 0.0083 2183400
219.2 0.0011 512391
219.02 -0.0081 416597
218.18 -0.0483 1791388
217.81 0.0112 9979258
215.51 -0.0095 327284
214.51 -0.0053 11528
214.24 0.0055 96723246
213.96 -0.0161 904371
213.45 -0.0243 49636
212.97 -0.0082 5748752
212.81 0.006 263744
212.44 -0.0065 336982
212.38 0.0071 906137
211.64 0.0044 1263173
211.62 -0.0069 285743
209.5 -0.0047 1539932
209.3 -0.0085 339167
208.63 0.0006 1940919
208.39 -0.002 1028579
208.25 -0.013 96534
207.08 -0.0183 1926127
207.07 -0.0009 1402559
206.19 -0.0087 54150
205.4 0.1455 27826
204.64 0.002 202017
204.43 0.0087 598810
204.23 -0.0013 5981
203.62 0 41313
203.6 0.0057 2520465
202.92 -0.0139 479739
201.94 -0.0087 27715955
201.84 0.0058 926625
201.5 -0.0241 466973
201.22 0.0017 1184485
200.44 0.0158 931344
199.91 0.0058 555662
199.7 -0.0013 16197
199.59 -0.0243 105341
199.35 -0.0306 518250
199.31 -0.009 249315
199.18 0.0045 7079
198.39 0.0039 119862
197.92 -0.0155 548727
197.6 -0.012 177393
197.4 -0.0011 378832
197.03 -0.0016 27070
197.01 0.0037 952696
196.78 0.0153 1530701
196.48 0.0006 632442
196.28 -0.0136 3404596
196.21 0.0032 50114
196.21 -0.0038 286565
196.18 0.0056 1098573
195.65 -0.0024 75770
195.64 -0.0005 1797253
194.6 0.0091 655115
193.94 0.0019 8898
193.66 0.0111 8583846
193.21 0.0002 1318
192.42 -0.0242 903298
192.09 0.0013 118724
191 -0.0068 31478
190.82 -0.0079 1158680
190.48 -0.0001 154256
190.35 -0.017 1268335
189.46 0.0682 659069
188.82 -0.0015 130438
188.18 0.005 520279
188 -0.0197 268585
187.43 0.0009 695003
186.82 -0.0146 363923
186.56 0.0156 9354
186.3 0.0001 699664
185.77 -0.0166 1061071
185.59 -0.0087 1080673
185.32 -0.0052 69634
185.12 0.0017 353186
184.7 -0.0028 314777
183.83 -0.0164 39597292
183.77 -0.0218 122703
183.35 -0.008 231087
183.23 0.0044 664144
182.84 -0.0241 101749
182.72 0.0042 483951
182.47 -0.0028 6473
182.47 0.0292 116710876
181.4 0.0135 363862
181.39 -0.002 886269
181.19 -0.0011 484340
181.05 -0.0412 2702652
180.98 -0.0023 506776
180.7 -0.0108 4192459
180.64 -0.0123 187695
180.08 -0.0139 201942
179.97 -0.0327 41592
179.75 0.0008 2587497
179.7 -0.002 484340
178.91 0.0026 302281
178.58 -0.0179 1032207
178.33 0.0085 141936
177.96 -0.0116 687056
177.65 -0.0224 95370
176.74 -0.0157 15754675
176.17 -0.0076 3399338
176.16 0.0174 193461
175.81 -0.0024 54733
175.16 -0.0148 19844316
175.11 0.0076 5382102
175 -0.0073 66579
174.63 -0.0191 413796
174.27 -0.0152 499581
174.01 0.0238 471840
173.92 0.0012 808937
173.76 -0.0034 1392315
173.37 -0.0064 35226
172.91 -0.0108 1121404
172.91 -0.0004 15549640
172.85 -0.0253 243101
172.63 0.0182 7834
171.74 0.009 184580
171.53 -0.0037 38683
171.32 -0.0258 2298723
171.31 -0.0037 6980
171.14 -0.0033 682095
170.86 0.0027 976340
170.51 0.0104 3283950
169.12 0.0007 3285913
168.71 -0.0041 688445
168.7 -0.0129 5567
168.39 -0.0094 179002
168.28 -0.012 266208
168.17 -0.0046 834
168.15 -0.0346 616665
168.15 -0.0075 195235
168.12 -0.005 274297
167.96 -0.0005 534731
167.82 0.0007 54115
167.63 -0.0145 318608
167.46 -0.0043 7138
167.28 -0.0012 387772
167.08 0.001 483085
166.56 0.0028 3678701
166.41 0.0074 4898580
166.38 -0.0103 314022
166.11 -0.0076 204281
165.86 -0.0319 1031331
165.69 0.0312 52301
165.67 -0.0091 44005
165.29 -0.0204 460711
165.06 -0.0012 1537
164.83 -0.0193 100220
164.73 -0.0028 7125088
164.44 -0.0021 91128
164.31 -0.0057 273222
163.43 -0.0105 537607
163.33 -0.0031 5241040
161.93 -0.0138 808529
160.93 -0.0005 778959
160.83 0.0012 1188127
160.63 0.0024 1578976
160.21 -0.0054 2880
160.05 0.0064 400346
159.9 -0.0021 44162605
159.22 0.0048 1582238
158.93 -0.0127 410253
158.92 -0.0181 282426
158.65 0.0076 1312960
158.55 -0.0104 658583
158.53 0.0243 1233768
158.05 0.0158 15241185
157.93 -0.0046 164474
157.72 -0.0122 1273106
157.6 -0.0241 219059
157.56 -0.0028 598785
156.02 -0.0418 1731846
155.69 -0.0333 7624821
155.28 -0.014 1196883
155.04 0.0003 2080567
154.39 0.0151 642295
154.12 -0.0021 1226506
153.62 0.0104 52962
153.23 -0.0143 82541
153.22 0.0024 582984
153 -0.0185 340584
152.84 -0.0089 5976213
152.77 -0.0049 44122
152.5 -0.0024 100887
152.31 -0.0061 52658
152.01 -0.0211 281133
151.87 -0.0084 1067899
151.83 0.0617 463954
151.75 -0.0058 918309
151.71 0.0013 166892
151.15 0 1395984
151.1 -0.0105 1200382
151.08 -0.0022 177932
151.07 0.0005 4555696
151 -0.0145 119913
150.81 0.0299 98818
150.69 -0.0006 30596
150.56 -0.0011 1494790
150.41 -0.0099 394395
150.24 0.0066 860397
149.82 0.0097 2668700
149.76 0.0011 1488736
149.04 0.0001 84087
148.65 -0.0073 623821
148.48 -0.0103 18148
148.26 0.0016 2015433
147.64 -0.0082 1270817
147.63 -0.0084 126363
147.48 0.002 1202554
147.01 -0.0022 257784
146.99 -0.0102 918
146.22 0.0008 13085
146.12 -0.0031 46532
146.1 -0.0216 4447077
145.93 -0.0008 4677117
145.83 0 232364
145.65 0.0087 2003101
145.57 -0.0194 7773
145.45 0.0003 6725303
145.23 -0.0169 1812070
145.19 -0.0155 3131549
145.17 -0.005 108192
144.68 -0.0143 3107677
144.46 0.0062 6755959
144.15 -0.003 618746
144.14 -0.0113 769035
143.97 -0.0167 219404
143.75 -0.0147 1483972
143.46 -0.0019 1708310
143.4 0.0107 497602
143.14 0.017 15865951
143 -0.0045 844228
142.74 -0.019 273596
142.62 -0.0273 143445
142.59 -0.0095 1439
142.49 -0.0054 2854649
142.38 -0.0091 552131
142.16 -0.0037 558563
141.65 -0.0045 13415
141.16 0.0336 924229
140.99 -0.022 682855
140.91 -0.0132 1032084
140.85 0.0288 25773
140.85 -0.0104 67611
140.67 -0.0001 814624
140.6 -0.0193 71294
140.11 -0.003 70707
139.85 -0.0038 13684829
139.48 -0.009 855327
139.43 0.0314 3349699
139.32 0.0079 550339
0.84 0 7612
133.76 -0.0271 3758068
58.89 0.0199 461,168
388.34 0.0153 167382
18.89 -0.0042 685837
9.95 -0.005 673530
14.49 -0.0242 301409
63.16 -0.0122 1265
66.51 -0.0147 1855703
40.86 -0.01 424
44.28 -0.0188 390
27.57 -0.0171 387489
25.78 -0.0141 1757889
44.38 -0.0155 7626796
6.06 -0.0288 242648
54.67 -0.0062 105994
15.31 -0.0084 588
77.3 -0.0135 108553
15.02 -0.0105 43904
41.41 -0.0107 384
41.23 -0.0111 907
13.72 0 1245
13.15 -0.0338 624933
23.74 -0.0079 185663
25.6 0.0014 15126
158.05 0.0158 15241185
33.68 -0.0053 1155916
3.84 -0.0424 311328
2.87 0.0035 3994
18.8 -0.0244 961494
24.57 -0.0071 22924
27.51 -0.0026 76
6.22 -0.0205 101166
0.37 -0.0283 588697
9.34 0.1531 4899857
19.57 0.0103 858859
12.98 -0.0114 5179245
1.33 0 3157
34.68 0.0009 43638
1.67 -0.0147 857
26.45 -0.0015 787944
37.21 -0.0028 3
132.28 -0.0089 384516
26.5 0.0283 1261963
11.45 0 128
14.33 -0.0056 805083
17.17 -0.0121 24505
10.8 -0.0092 155322
12.37 -0.0713 2403877
20.16 -0.0147 772405
21.5 -0.0341 783626
11.16 0.0009 70
14.74 -0.0051 2292
30.26 -0.0065 593
5.25 0 100812
18.79 0.0048 41257
89.45 -0.0156 432839
97.38 -0.0275 414372
24.03 -0.0087 3086660
25.6 -0.0102 565
26.64 0.0015 2676
23.96 -0.0244 124745
6.98 0.0265 282767
0.4 -0.0288 114070
0.91 -0.0271 898253
15.13 -0.0245 13507
24.8 -0.0173 10058
1052.71 -0.0151 1105697
127.84 -0.0261 261227
1.43 -0.0467 551624
51.37 -0.0287 2267238
4.11 -0.0144 489961
30.67 0.0076 1115245
1.77 0.0172 9620
304.95 0.0081 49267
1.04 0 354152
2.35 -0.0167 635113
0.4 -0.0958 319644
8.83 -0.0291 16272
31.29 -0.0107 180180
38.88 -0.029 179954
0.11 -0.0126 5671978
7.23 0 490724
0.53 -0.0457 426109
9.98 0.0225 8796156
7.98 -0.005 60675
11.41 -0.0017 4693055
0.33 -0.0015 2587180
5.92 -0.0117 16843
1.34 0.0152 677501
17.75 0.0195 2246727
1.19 0.0625 12198
10.72 -0.0056 882302
11.39 0 5
13.78 -0.0227 1005509
2.28 -0.038 43545
31.5 -0.0047 110579
21.79 0.0069 1334
64.11 -0.01 256219
2.95 -0.0056 1064
2.55 -0.0192 94039
1.89 -0.0258 13646
28.25 0.0243 502732
25.94 0.0039 75741
57.11 -0.0219 2067853
0.71 -0.1696 45422
4.48 0.0299 1884
142.38 -0.0091 552131
26.66 -0.0119 6828
20.01 -0.0138 9788
10.05 0.0245 254817
11.04 0 0
24.4 -0.0057 107151
28.59 -0.0185 902246
1.59 0.0325 122690
21.25 -0.0471 160772
8.02 0.0113 91519
116.17 -0.0001 1535120
3.89 -0.0026 139331
1.23 -0.0391 530698
0.23 -0.0216 70114
145.83 0 232364
0.53 -0.0319 562162
20.97 -0.0494 544717
453.99 0.0016 20353
18.78 -0.0011 104318
32.01 -0.0291 119825
12.24 -0.0475 471187
2.23 -0.0591 2642889
1.05 -0.0186 1776
3.4 -0.0244 2708
9.17 -0.0119 455383
1.85 -0.0263 1226106
22.61 -0.0296 1969175
31.47 -0.0107 203562
18.2 -0.0267 904
10.05 -0.0069 60543
25.44 -0.0003 1
28.91 0 0
27.8 0 7341
0.8 -0.0464 370462
37.73 0 0
10.33 0.2431 55930
0.29 -0.0523 1082331
29.96 -0.0248 468
0.45 0.061 51818
7.73 0 223909
5.35 -0.0183 1229729
2.5 -0.0119 7899364
7.2 -0.0055 78606
39.26 -0.0065 10755
0.81 0.0085 45545
4.53 0.0438 1383641
1.23 0.0696 542368
34.6 -0.0035 347591
2.52 -0.0079 113758
2.17 -0.029 75839
215.51 -0.0095 327284
199.91 0.0058 555662
18.83 0.0091 64432
8.85 -0.021 143674
63.59 -0.0153 231741
15.89 0.044 813565
52.82 -0.0177 1605
65.81 -0.0205 229917
10.82 -0.0082 1949135
55.79 -0.0013 343
61.13 -0.0015 284307
48.85 -0.0039 32396
69.54 -0.0071 56086
1678.99 0.1227 8879027
1.66 0.0343 12399
59.29 -0.0099 12470
61.52 -0.0027 513
41.12 0.0045 72060
3.7 -0.0212 233133
53.58 -0.0165 11130
12.13 -0.0041 91015
62.66 -0.0002 23498
62.68 -0.004 569352
56.93 -0.0013 580
59.8 -0.006 1813
46.33 0.0024 2243
60.08 -0.006 9926
56.85 -0.0115 905
19.61 -0.0282 153751
43.81 -0.0214 191599
57.02 -0.0141 17
30.02 -0.0079 37419
10.44 -0.0114 226931
9.03 -0.0414 657681
41.39 0.0012 21276
1.47 -0.02 56720
50.08 -0.0126 38746
56.88 -0.0144 942
51.8 -0.0008 3000
46.2 0.0017 34721
61.8 0.0005 15608
53.47 -0.0052 461045
24.58 0.0678 250021
22.02 -0.0054 8733101
11.63 0.0122 4906
90 -0.002 131100
89.4 -0.0135 532567
51.75 -0.0021 1240
3.73 -0.0053 752460
228.36 0.0007 307926
19.74 -0.0145 13381
23.27 -0.0087 304
10.67 0.0028 126967
1.95 0.0484 118520
115.02 0.0021 232830
3.63 -0.032 54170
129.22 0.0085 946758
3.79 0.0107 173210
70.41 0.0004 184122
1.82 -0.0162 9697
2.35 0 64
53.47 -0.0089 493037
1.34 0.0551 59417
7.83 -0.0285 273979
10.98 0.0462 7339
7.18 -0.0401 1303638
67.34 0.0051 301020
293.48 -0.008 383416
222.19 -0.0083 2956231
21 -0.0014 6911
69.04 -0.0078 420033
72.51 0.0134 708334
35.7 -0.0116 878684
3.65 0 176077
21.98 -0.0018 759600
259.23 0.0088 154712
0.85 -0.0163 65547
2.87 -0.0205 30153
0.38 -0.0392 18926
47.77 -0.0004 1069383
79.53 -0.0067 2778005
2813.4 -0.0016 93895
199.59 -0.0243 105341
54.76 -0.0258 383233
21.38 -0.0206 185
0.15 -0.041 550730
5.14 0.0019 1664524
78.36 -0.0112 164684
39.19 0.02 227097
180.7 -0.0108 4192459
26.76 0.0075 229036
75.68 -0.022 13966198
14.52 -0.0229 294283
39.26 -0.0038 39489358
10.7 0.0113 3906
2.7 -0.0391 276564
3.9 -0.0051 12174
11.38 -0.0018 9644
150.41 -0.0099 394395
6.86 0.0394 809911
29.31 0.0024 15509
66.22 -0.0137 1809310
29.83 -0.0007 166578
11.77 -0.0289 152709
38.25 -0.0003 1777843
29.23 0.0021 2935
25.81 0.0055 6875
28.71 -0.0013 16925
30.63 0.0003 6378
28.86 0.0024 3653
25.23 0 6542
29.01 -0.0028 9731
26.41 -0.0006 3212
13.1 -0.0318 1419116
18.5 -0.0513 263924
83.47 -0.0069 62026
0.95 -0.0321 4253
46.21 -0.023 196003
18.49 -0.0005 22246
2.24 -0.0058 2888
158.92 -0.0181 282426
41.29 0.0015 32413
22.74 -0.0079 964348
1.56 -0.0429 568130
17.85 -0.0419 442525
4.57 -0.1386 27134
41.74 -0.0102 18482
39.75 -0.008 186030
9.11 -0.013 44676
40.31 0.0009 4653
33.74 0.0129 5472651
10.23 0 5
2.52 -0.0903 13808504
45.71 0.0044 46711
1.37 -0.0214 1605199
10.7 0.0732 1815232
48.93 -0.0051 171134
50.18 0.0043 702
49.36 0.0072 99
50.33 0.002 5522
27.7 -0.0037 97
64.47 -0.0135 130936
45.32 0.0047 2152
6.66 0.031 54510
2.39 0.0084 19480507
9.66 -0.0123 450879
52.33 -0.0014 109
60.66 -0.0145 335314
0.7 0.0448 9084
167.46 -0.0043 7138
45.81 0.0004 47101
96.84 0.005 4
60.38 -0.0116 41056
29 0.0112 1334210
96.67 0.0015 1
55.55 -0.0179 944477
89.38 0.015 22
1.56 0.0685 319732
12.02 0.0075 136906
88.1 -0.0057 3292
16.1 0.0025 391205
58.94 -0.0055 818
87.13 0.0057 8913
47.6 0.0036 3343
97.83 0.0014 9
60.95 -0.0122 2652
132.25 -0.0057 50692
19.01 -0.0052 7628
20.28 -0.0093 37130
97.78 0.0013 157960
9.82 -0.0306 1243424
25.61 -0.0188 190818
43.78 0.0018 3005570
87.73 0.0156 2943869
75.16 -0.0133 569470
1.57 -0.0063 192385
13.04 -0.0076 43106
0.7 -0.002 123020
16.73 0.0072 299687
9.74 -0.0201 22674
130.5 -0.009 326126
32.88 -0.0022 21976
3.65 0.0027 54206
24.24 -0.009 3016
33.98 -0.009 2128864
6.66 -0.1462 20676
23.2 -0.0026 222123
31.4 -0.0078 5767
20.6 -0.0039 170823
25.78 0 0
23.61 -0.0078 17747
0.44 -0.0285 99735
19.31 -0.0148 9796
100.28 -0.0069 238498
2.05 -0.0376 71537
7.75 0.0047 3729
152.31 -0.0061 52658
6.23 -0.0111 2603359
10.6 -0.0158 14762056
11.18 0.0027 46
16.36 -0.0133 256186
1.36 0.0382 19083
28.67 0.0029 2062
15.72 -0.016 42802
8.99 -0.011 179692
24.3 -0.0069 130206
97.8 0.009 421826
33.79 -0.0118 169
19.63 -0.0077 631
41.76 0.0005 2503
28.16 0.0016 2476
8.16 -0.0024 345046
26.75 -0.0412 7433
4.59 0.011 730440
0.98 -0.0199 115027
12.12 0.0151 41388
1.58 0.026 93990
6.17 -0.0112 748948
11.01 -0.0007 1426
231.97 -0.0086 868841
15.1 -0.0137 4713202
25.24 -0.0315 1530293
2.04 -0.0973 190306
99.95 -0.0224 836038
21.22 -0.0077 3
2.04 0.005 1328
27.63 -0.0007 82
5.83 -0.0051 42661
3.33 -0.0776 110816
29.9 -0.0004 698
15.82 -0.0094 3957958
66.72 -0.0105 38852
52.07 0.0035 296
21.96 -0.0275 4201061
3.02 0.0272 124212
25.63 -0.0012 364352
30.59 -0.0049 577532
59.79 0.0055 785841
21.43 -0.0321 174497
2.33 0 31280
74.21 -0.0122 2087
75.97 -0.0115 1473
0.34 0.002 907827
16.76 -0.0085 11870
43.44 0.0105 186897
42.83 -0.0019 2229699
11.02 -0.0005 4143
104.58 -0.0239 571862
79.19 -0.0292 11389
40.48 0.0008 8988
40.25 0.001 634871
0.24 -0.0439 151816
9.83 -0.002 6572
23.28 0.0023 90
10.18 0.003 97160
0.92 -0.0475 747057
66.02 -0.0061 868
2.7 0.0074 32792
0.99 -0.0388 35491
36.93 0.0071 40620
20.12 -0.02 21046
12.04 0.0075 34119
103.14 -0.0215 1367991
12.07 -0.0033 90413
8.1 -0.0122 2304610
3.1 0 180021
14.57 -0.0041 44594
2.48 -0.1123 34408
28.14 0.0107 106454
0.48 0.0086 79755
20.21 -0.0069 37461
166.38 -0.0103 314022
12.89 -0.0107 65085
46.79 0.0024 15034
31.77 0.0057 320
8.85 -0.0504 1089289
7.17 0.0654 20376
12.98 -0.0038 99666
12.66 -0.0024 25066
0.27 -0.0472 671099
5.52 -0.009 160865
193.21 0.0002 1318
10.6 0.0009 16013
1.11 -0.0243 7936
25.55 -0.0062 20656
6.17 -0.0222 2341663
41.1 -0.0036 292069
41.25 -0.0155 356045
0.17 -0.0142 417160
10.85 0.007 137855
21.26 -0.0135 508355
17.64 -0.0112 1202
57.35 -0.0007 2062618
3 -0.026 138640
47.41 -0.016 18851
11.03 0.0036 1757
33.41 -0.0101 621747
53.6 -0.0001 275000
2.11 -0.0334 91266
59.54 -0.0028 9272
37.93 -0.0037 16975
93.99 -0.0041 2943941
2.33 -0.021 1248161
7.95 -0.0257 397796
7.27 -0.0136 708625
233.84 0.0139 994262
91.57 0.0001 5102282
25.39 -0.0013 62
15.5 0.0771 9784658
48.4 -0.0536 2106695
99.15 0.0003 186511
100.86 0.0001 19714
1.72 0.1615 79630
52.23 0.0006 434346
30.09 -0.0138 20486
281.8 -0.0053 297453
0.15 -0.0255 806675
0.72 0.0142 79142
10.89 0.0065 23112
27.88 -0.0127 418638
33.97 -0.0041 578071
0.54 -0.0374 507232
59.95 0.0197 962377
16.84 0.0036 254
14.82 0.0082 93849
36.27 -0.0139 1791244
50.32 -0.0131 2988
9.4 0.0108 2199
2.81 0.1564 53605814
7.65 0.0119 5755707
25.13 -0.0141 7763003
13.81 0.0007 105261
71.72 -0.0005 2719
33.6 -0.0275 739276
41.13 -0.0325 6411231
75.35 0.0052 768681
0.49 -0.011 266484
17.01 -0.0087 687047
88.16 0.0031 867030
44.9 0.0008 3853
0.46 0.0408 311752
39.75 -0.0117 2417
34.9 -0.0144 187798

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