| 1.401 | Cadre Holdings Inc | 507.238 | 15,1 Mio. $ | |
| 1.402 | Range Resources Corp | 333.887 | 15,1 Mio. $ | |
| 1.403 | Schwab International Small-Cap Equity ETF | 322.703 | 15,1 Mio. $ | |
| 1.404 | First Trust Exchange-Traded Fund VIII | 448.088 | 15,1 Mio. $ | |
| 1.405 | Cohen & Steers Inc | 242.437 | 15 Mio. $ | |
| 1.406 | JPMorgan BetaBuilders Canada E | 159.290 | 15 Mio. $ | |
| 1.407 | Invesco Exchange-Traded Fund Trust | 136.826 | 15 Mio. $ | |
| 1.408 | COPT Defense Properties | 485.687 | 15 Mio. $ | |
| 1.409 | First Solar Inc | 75.869 | 15 Mio. $ | |
| 1.410 | Rentokil Initial PLC | 474.800 | 14,9 Mio. $ | |
| 1.411 | Warner Bros Discovery Inc | 544.250 | 14,9 Mio. $ | |
| 1.412 | Eaton Vance T/M Gl | 1.700.683 | 14,9 Mio. $ | |
| 1.413 | Central Securities C | 300.106 | 14,9 Mio. $ | |
| 1.414 | Cohen & Steers Quality Income | 1.236.471 | 14,9 Mio. $ | |
| 1.415 | iShares Core 60/40 Balanced Al | 231.077 | 14,9 Mio. $ | |
| 1.416 | Chemed Corp | 39.364 | 14,9 Mio. $ | |
| 1.417 | NVR Inc | 2.255 | 14,9 Mio. $ | |
| 1.418 | First Trust Exchange-Traded Fund VI | 100.717 | 14,9 Mio. $ | |
| 1.419 | Valvoline Inc | 440.647 | 14,8 Mio. $ | |
| 1.420 | iShares ESG Aware MSCI EM ETF | 326.033 | 14,8 Mio. $ | |
| 1.421 | State Street SPDR Bloomberg Short Term High Yield Bond ETF | 592.461 | 14,8 Mio. $ | |
| 1.422 | WD-40 Co | 72.495 | 14,8 Mio. $ | |
| 1.423 | First Trust Exchange-Traded Fund III | 310.410 | 14,8 Mio. $ | |
| 1.424 | OGE Energy Corp | 307.619 | 14,8 Mio. $ | |
| 1.425 | NexPoint Diversified Real Estate Trust | 3.155.342 | 14,7 Mio. $ | |
| 1.426 | First Trust Exchange-Traded Fund IV | 777.553 | 14,7 Mio. $ | |
| 1.427 | Rexford Industrial Realty Inc | 449.133 | 14,7 Mio. $ | |
| 1.428 | TRP BLUE CHIP GROWTH ETF | 332.089 | 14,7 Mio. $ | |
| 1.429 | Vaxcyte Inc | 260.395 | 14,6 Mio. $ | |
| 1.430 | Equitable Holdings Inc | 394.328 | 14,6 Mio. $ | |
| 1.431 | ALLIANZIM US EQ BUFFER20 APR | 413.522 | 14,6 Mio. $ | |
| 1.432 | TransUnion | 210.038 | 14,5 Mio. $ | |
| 1.433 | Ovintiv Inc | 244.171 | 14,5 Mio. $ | |
| 1.434 | UDR Inc | 428.923 | 14,5 Mio. $ | |
| 1.435 | Impinj Inc | 145.089 | 14,5 Mio. $ | |
| 1.436 | GoDaddy Inc | 174.756 | 14,4 Mio. $ | |
| 1.437 | BancFirst Corp | 133.051 | 14,4 Mio. $ | |
| 1.438 | Honda Motor Co Ltd | 593.467 | 14,4 Mio. $ | |
| 1.439 | IonQ Inc | 499.845 | 14,4 Mio. $ | |
| 1.440 | StoneX Group Inc | 184.456 | 14,4 Mio. $ | |
| 1.441 | Goldman Sachs Nasdaq-100 Premium Income ETF | 291.031 | 14,4 Mio. $ | |
| 1.442 | iShares iBonds Dec 2033 Term C | 556.383 | 14,4 Mio. $ | |
| 1.443 | FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND | 640.121 | 14,4 Mio. $ | |
| 1.444 | Vanguard World Fund | 221.051 | 14,4 Mio. $ | |
| 1.445 | Alpha Architect International | 360.312 | 14,4 Mio. $ | |
| 1.446 | Goldman Sachs Access Treasury 0-1 Year ETF | 143.107 | 14,3 Mio. $ | |
| 1.447 | Eaton Vance Enhanced Equity Income Fund II | 699.479 | 14,3 Mio. $ | |
| 1.448 | iShares MSCI International Value Factor ETF | 360.390 | 14,3 Mio. $ | |
| 1.449 | Cogent Biosciences Inc | 369.715 | 14,2 Mio. $ | |
| 1.450 | U-Haul Holding Co | 317.927 | 14,2 Mio. $ | |
| 1.451 | Vontier Corp | 399.718 | 14,2 Mio. $ | |
| 1.452 | TG Therapeutics Inc | 426.379 | 14,2 Mio. $ | |
| 1.453 | TTM Technologies Inc | 144.962 | 14,1 Mio. $ | |
| 1.454 | Reaves Utility Income Fund | 359.278 | 14,1 Mio. $ | |
| 1.455 | Nuvalent Inc | 145.288 | 14,1 Mio. $ | |
| 1.456 | Hancock Whitney Corp | 221.148 | 14,1 Mio. $ | |
| 1.457 | Twilio Inc | 111.613 | 14 Mio. $ | |
| 1.458 | Nexstar Media Group Inc | 77.642 | 14 Mio. $ | |
| 1.459 | Hyatt Hotels Corp | 97.538 | 14 Mio. $ | |
| 1.460 | Innovator U.S. Equit | 343.030 | 14 Mio. $ | |
| 1.461 | UMH Properties Inc | 971.433 | 14 Mio. $ | |
| 1.462 | FIDUS INVESTMENT CORP | 804.392 | 14 Mio. $ | |
| 1.463 | First Trust Exchange-Traded Fund VIII | 277.420 | 14 Mio. $ | |
| 1.464 | Main Street Capital Corp. | 263.721 | 13,9 Mio. $ | |
| 1.465 | Lloyds Banking Group PLC | 2.763.567 | 13,9 Mio. $ | |
| 1.466 | BlackRock Health Sciences Term Trust | 964.706 | 13,9 Mio. $ | |
| 1.467 | Vodafone Group PLC | 922.213 | 13,9 Mio. $ | |
| 1.468 | Crown Holdings Inc | 138.101 | 13,8 Mio. $ | |
| 1.469 | Legence Corp | 244.687 | 13,8 Mio. $ | |
| 1.470 | New York Life Investments ETF Trust | 404.742 | 13,8 Mio. $ | |
| 1.471 | First Trust Exchange-Traded Fund VIII | 276.446 | 13,7 Mio. $ | |
| 1.472 | Glacier Bancorp Inc | 309.174 | 13,7 Mio. $ | |
| 1.473 | American Century Diversified Municipal Bond ETF | 274.203 | 13,7 Mio. $ | |
| 1.474 | Principal Active High Yield ETF | 721.957 | 13,7 Mio. $ | |
| 1.475 | Manhattan Associates Inc | 103.165 | 13,7 Mio. $ | |
| 1.476 | Innovator U.S. Equity Power Bu | 340.372 | 13,6 Mio. $ | |
| 1.477 | HP Inc | 708.152 | 13,6 Mio. $ | |
| 1.478 | Alliance Resource Partners LP | 491.064 | 13,6 Mio. $ | |
| 1.479 | Eastman Chemical Co | 177.198 | 13,5 Mio. $ | |
| 1.480 | iShares Convertible Bond ETF | 132.483 | 13,5 Mio. $ | |
| 1.481 | Plains GP Holdings LP | 554.199 | 13,5 Mio. $ | |
| 1.482 | iShares Global Energy ETF | 233.458 | 13,4 Mio. $ | |
| 1.483 | Rivian Automotive Inc | 893.456 | 13,4 Mio. $ | |
| 1.484 | Marzetti Company/The | 96.910 | 13,4 Mio. $ | |
| 1.485 | InterDigital Inc | 44.270 | 13,4 Mio. $ | |
| 1.486 | California Water Service Group | 294.518 | 13,4 Mio. $ | |
| 1.487 | Revolution Medicines Inc | 137.160 | 13,3 Mio. $ | |
| 1.488 | First Trust Exchange-Traded AlphaDEX Fund II | 444.848 | 13,3 Mio. $ | |
| 1.489 | ResMed Inc | 59.196 | 13,3 Mio. $ | |
| 1.490 | PIMCO 0-5 Year High Yield Corp | 142.353 | 13,3 Mio. $ | |
| 1.491 | Middleby Corp/The | 101.623 | 13,3 Mio. $ | |
| 1.492 | iShares MSCI Global Min Vol Factor ETF | 110.927 | 13,3 Mio. $ | |
| 1.493 | Thornburg Income Builder Opportunities Trust | 626.909 | 13,3 Mio. $ | |
| 1.494 | Banco Bradesco SA | 3.612.660 | 13,2 Mio. $ | |
| 1.495 | First Merchants Corp | 344.643 | 13,2 Mio. $ | |
| 1.496 | Innovator U.S. Equity Power Bu | 305.814 | 13,2 Mio. $ | |
| 1.497 | abrdn Healthcare Opportunities | 783.686 | 13,2 Mio. $ | |
| 1.498 | First Trust Exchange Traded Fund VI | 520.699 | 13,2 Mio. $ | |
| 1.499 | BILL Holdings Inc | 351.435 | 13,1 Mio. $ | |
| 1.500 | Millrose Properties Inc | 469.208 | 13,1 Mio. $ | |