Titelia

Holdings of Strategic Advisers U.S. Total Stock Fund

Fidelity Rutland Square Trust II · 2008 declared positions · as of Feb 28, 2026

Original filing · Net assets 92.4B $ · Ten largest lines: 31.5 % of the equity sleeve

Country breakdown

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US 1,85889.4B $98.03 %
CA 33444.8M $0.49 %
NL 11255.7M $0.28 %
GB 16194.4M $0.21 %
TW 4179.5M $0.20 %
IE 9164.4M $0.18 %
BM 1195.1M $0.10 %
KY 1091.8M $0.10 %
JP 649.9M $0.05 %
SG 236.8M $0.04 %
GG 336.5M $0.04 %
MH 629.9M $0.03 %

Sector breakdown is published in no regulatory filing: neither Form N-PORT nor the LEI reference data carries an activity code. It is absent rather than estimated.

Positions

The 500 largest lines are shown.

CompanySharesValue (USD)Weight
NVIDIA Corp 25,857,1224.6B $4.96 %
Fidelity Mt. Vernon Street Trust 92,499,1754.5B $4.86 %
Apple Inc 13,727,6073.6B $3.93 %
Fidelity Salem Street Trust 139,457,3343.3B $3.55 %
Microsoft Corp 8,114,1293.2B $3.45 %
Amazon.com Inc 11,766,5362.5B $2.68 %
Fidelity Salem Street Trust 93,462,9961.8B $1.96 %
Fidelity Concord Street Trust 17,343,9991.8B $1.96 %
Meta Platforms Inc 2,683,7251.7B $1.88 %
Alphabet Inc 5,476,7731.7B $1.85 %
Alphabet Inc 5,100,4351.6B $1.72 %
iShares Core S&P 500 ETF 2,271,2461.6B $1.70 %
Broadcom Inc 4,737,6871.5B $1.64 %
Fidelity Salem Street Trust 46,500,8401.3B $1.38 %
Tesla Inc 2,381,192958.5M $1.04 %
Exxon Mobil Corp 6,273,314956.7M $1.04 %
Fidelity Securities Fund 3,099,120807.1M $0.87 %
Eli Lilly & Co 729,846767.8M $0.83 %
Mastercard Inc 1,475,990763.4M $0.83 %
Fidelity Securities Fund 18,696,503695.3M $0.75 %
JPMorgan Chase & Co 2,281,208685M $0.74 %
Berkshire Hathaway Inc 1,285,362649M $0.70 %
Bank of America Corp 12,617,931628.8M $0.68 %
INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO 595,691,951595.7M $0.65 %
AbbVie Inc 2,475,379574.5M $0.62 %
Fidelity Salem Street Trust 23,706,313562.1M $0.61 %
Visa Inc 1,694,860542.6M $0.59 %
Johnson & Johnson 2,129,893529.1M $0.57 %
Fidelity Salem Street Trust 99,338,209504.6M $0.55 %
Wells Fargo & Co 5,870,061478.1M $0.52 %
Walt Disney Co/The 4,322,512458.4M $0.50 %
Micron Technology Inc 1,008,077415.7M $0.45 %
Philip Morris International Inc. 2,181,769407.6M $0.44 %
Lowe's Cos Inc 1,481,380391.9M $0.42 %
Netflix Inc 4,069,131391.6M $0.42 %
PepsiCo Inc 2,293,804389.4M $0.42 %
Merck & Co Inc 3,143,824389.3M $0.42 %
Walmart Inc 3,013,398385.6M $0.42 %
McDonald's Corp. 1,121,414382.5M $0.41 %
Costco Wholesale Corp 357,673361.5M $0.39 %
AT&T Inc 12,621,567353.5M $0.38 %
Charles Schwab Corp/The 3,708,567353.1M $0.38 %
Cisco Systems, Inc. 4,269,643339.3M $0.37 %
Procter & Gamble Co/The 1,999,890334.4M $0.36 %
Citigroup Inc 2,895,025319M $0.35 %
UnitedHealth Group Inc 1,082,463317.5M $0.34 %
T-Mobile US Inc 1,462,301317.5M $0.34 %
3M Co 1,907,043315.3M $0.34 %
Amphenol Corp 2,078,749303.6M $0.33 %
Linde PLC 590,548300M $0.32 %
Coca-Cola Co/The 3,578,020291.8M $0.32 %
General Electric Co 848,761290.5M $0.31 %
Goldman Sachs Group Inc/The 337,699290.3M $0.31 %
NextEra Energy Inc 3,066,425287.5M $0.31 %
Stryker Corp 741,508287.3M $0.31 %
Oracle Corp 1,969,993286.4M $0.31 %
RTX Corp 1,395,301282.7M $0.31 %
Trane Technologies PLC 601,555278.1M $0.30 %
Home Depot Inc/The 717,939273.3M $0.30 %
Caterpillar Inc 360,691267.9M $0.29 %
Analog Devices Inc 747,863266.1M $0.29 %
US Bancorp 4,615,339252.3M $0.27 %
Lam Research Corp 1,044,589244.3M $0.26 %
Chubb Ltd 710,882242.3M $0.26 %
Chevron Corp 1,274,137238M $0.26 %
Boston Scientific Corp 3,076,472236.4M $0.26 %
Eaton Corp PLC 619,616232.9M $0.25 %
Bristol-Myers Squibb Co 3,726,479232.4M $0.25 %
Morgan Stanley 1,354,997225.6M $0.24 %
Boeing Co/The 988,174224.8M $0.24 %
Western Digital Corp 800,969224M $0.24 %
Baker Hughes Co 3,273,807213.6M $0.23 %
Vertex Pharmaceuticals Inc 428,684213M $0.23 %
Advanced Micro Devices Inc 1,034,554207.1M $0.22 %
Danaher Corp 978,536206.1M $0.22 %
Medtronic PLC 2,076,267202.8M $0.22 %
Salesforce Inc 1,029,009200.4M $0.22 %
KLA Corp 128,759196.3M $0.21 %
Gilead Sciences Inc 1,256,764187.2M $0.20 %
Thermo Fisher Scientific Inc 355,444185.2M $0.20 %
Southern Co/The 1,899,803185M $0.20 %
Regeneron Pharmaceuticals, Inc. 235,050183.7M $0.20 %
Texas Instruments Inc 857,433181.9M $0.20 %
Abbott Laboratories 1,560,886181.6M $0.20 %
Applied Materials Inc 478,478178.1M $0.19 %
NXP Semiconductors NV 782,062177.5M $0.19 %
CVS Health Corp 2,218,741177.3M $0.19 %
Ecolab Inc 570,937176M $0.19 %
Altria Group, Inc. 2,532,071174.8M $0.19 %
American Tower Corp 907,166174M $0.19 %
Howmet Aerospace Inc 656,174172.3M $0.19 %
Intuitive Surgical Inc 341,030171.7M $0.19 %
General Motors Co 2,151,825169.4M $0.18 %
Intuit Inc 410,829168M $0.18 %
EOG Resources Inc 1,350,055167.5M $0.18 %
Comfort Systems USA Inc 115,854165.6M $0.18 %
TransDigm Group Inc 125,673163.7M $0.18 %
Hilton Worldwide Holdings Inc 508,624158.6M $0.17 %
HCA Healthcare Inc 298,818158.3M $0.17 %
Amgen Inc 404,568157M $0.17 %
Arthur J Gallagher & Co 677,973154.7M $0.17 %
Burlington Stores Inc 492,373151.1M $0.16 %
Taiwan Semiconductor Manufacturing Co Ltd 400,051149.9M $0.16 %
Northrop Grumman Corp 206,416149.5M $0.16 %
QUALCOMM Inc 1,037,739147.7M $0.16 %
Honeywell International Inc 605,275147.4M $0.16 %
Parker-Hannifin Corp 146,007147.3M $0.16 %
Booking Holdings Inc 34,725147.2M $0.16 %
Chipotle Mexican Grill Inc 3,925,198146.1M $0.16 %
Fifth Third Bancorp 2,937,448145.3M $0.16 %
Marsh & McLennan Cos Inc 772,628144.3M $0.16 %
Equinix Inc 147,615143.8M $0.16 %
Newmont Corp 1,094,939142.3M $0.15 %
Sandisk Corp/DE 223,229141.8M $0.15 %
ConocoPhillips 1,198,540136M $0.15 %
Palantir Technologies Inc 985,788135.2M $0.15 %
Emerson Electric Co. 888,040133.9M $0.15 %
Arista Networks Inc 998,868133.3M $0.14 %
GE Vernova Inc 146,716128.2M $0.14 %
AutoZone Inc 34,021127.8M $0.14 %
Martin Marietta Materials Inc 188,787127.7M $0.14 %
Union Pacific Corp 480,277127.3M $0.14 %
TE Connectivity PLC 551,990127M $0.14 %
Ingersoll Rand Inc 1,346,859126.8M $0.14 %
Corning Inc 831,195125M $0.14 %
Verizon Communications Inc 2,455,339123.1M $0.13 %
Entergy Corp 1,146,396122.8M $0.13 %
Valero Energy Corp 590,159120.8M $0.13 %
Seagate Technology Holdings PLC 288,065117.5M $0.13 %
TJX Cos Inc/The 710,750114.9M $0.12 %
Allstate Corp/The 533,502114.4M $0.12 %
Welltower Inc 551,288114.2M $0.12 %
Lockheed Martin Corp 172,380113.4M $0.12 %
Bank of New York Mellon Corp/The 948,425113M $0.12 %
Monster Beverage Corp 1,323,747112.9M $0.12 %
Corpay Inc 345,402112.3M $0.12 %
Intel Corp 2,448,595111.7M $0.12 %
Blackrock Inc 104,051110.6M $0.12 %
United Rentals Inc 129,590108.9M $0.12 %
Apollo Global Management Inc 1,033,903108.1M $0.12 %
Williams Cos Inc/The 1,433,806107.1M $0.12 %
Aon PLC 319,267107.1M $0.12 %
PACCAR Inc 845,859106.7M $0.12 %
Ventas Inc 1,234,731106.4M $0.12 %
EQT Corp 1,727,007106.1M $0.11 %
Deere & Co 166,209104.7M $0.11 %
Fidelity National Information Services Inc 2,051,490104.5M $0.11 %
McKesson Corp 104,568103.2M $0.11 %
CSX Corp 2,379,967101.6M $0.11 %
DoorDash Inc 567,343100.1M $0.11 %
Progressive Corp/The 460,17598.3M $0.11 %
Ciena Corp 280,30097.7M $0.11 %
Cadence Design Systems Inc 323,41397.5M $0.11 %
Lumentum Holdings Inc 138,80497.3M $0.11 %
United Therapeutics Corp 192,83597.2M $0.11 %
Canadian Pacific Kansas City Ltd 1,105,29096.8M $0.10 %
Sempra 1,005,53496.8M $0.10 %
American Express Co 304,12393.9M $0.10 %
KKR & Co Inc 1,067,91393.6M $0.10 %
Waste Connections Inc 538,32292.7M $0.10 %
Roper Technologies Inc 262,37491.8M $0.10 %
Capital One Financial Corp 465,85891.1M $0.10 %
SLB Ltd 1,773,02191M $0.10 %
AppLovin Corp 207,71590.3M $0.10 %
Jabil Inc 335,25488.8M $0.10 %
Pfizer Inc 3,190,48888.2M $0.10 %
FedEx Corp 222,22186M $0.09 %
United Airlines Holdings Inc 808,82686M $0.09 %
Prologis Inc 602,98486M $0.09 %
Freeport-McMoRan Inc 1,250,85785.2M $0.09 %
Church & Dwight Co Inc 802,44184.1M $0.09 %
Adobe Inc 320,65084.1M $0.09 %
MetLife Inc 1,163,37683.8M $0.09 %
EMCOR Group Inc 114,76383.2M $0.09 %
PG&E Corp 4,367,22183M $0.09 %
Monolithic Power Systems Inc 70,64280.7M $0.09 %
Cognizant Technology Solutions Corp. 1,252,88280.7M $0.09 %
Intercontinental Exchange Inc 490,13480.4M $0.09 %
BJ's Wholesale Club Holdings Inc 813,59080.4M $0.09 %
Waters Corp 246,90378.9M $0.09 %
Cencora Inc 210,48978.3M $0.08 %
American International Group Inc 968,62978M $0.08 %
Royal Caribbean Cruises Ltd 250,47477.9M $0.08 %
United Parcel Service Inc 662,89876.9M $0.08 %
Teradyne Inc 238,62076.4M $0.08 %
General Dynamics Corp 213,35176.2M $0.08 %
Keysight Technologies Inc 247,19076M $0.08 %
Brookfield Corp 1,731,10575.9M $0.08 %
Johnson Controls International plc 523,35975.5M $0.08 %
Sherwin-Williams Co/The 205,44374.5M $0.08 %
ServiceNow Inc 687,84974.3M $0.08 %
S&P Global Inc 167,43974M $0.08 %
Moody's Corp 153,12073.1M $0.08 %
PulteGroup Inc 530,50872.8M $0.08 %
State Street Corp 560,13972M $0.08 %
Autodesk Inc 290,98371.5M $0.08 %
Colgate-Palmolive Co 718,41171.2M $0.08 %
Motorola Solutions Inc 146,90170.8M $0.08 %
Vertiv Holdings Co 270,15968.9M $0.07 %
Edison International 920,49668.8M $0.07 %
O'Reilly Automotive Inc 723,22267.9M $0.07 %
Las Vegas Sands Corp 1,180,46267M $0.07 %
Palo Alto Networks Inc 449,03466.9M $0.07 %
eBay Inc 733,35866.6M $0.07 %
Phillips 66 429,51266.3M $0.07 %
Xcel Energy Inc 794,71466.2M $0.07 %
Fabrinet 120,88366M $0.07 %
Old Dominion Freight Line Inc 323,41765.7M $0.07 %
Cardinal Health, Inc. 284,96865.3M $0.07 %
Kroger Co/The 943,39264.4M $0.07 %
PPL Corp 1,648,61364.3M $0.07 %
Hartford Insurance Group Inc/The 449,99463.4M $0.07 %
Ford Motor Co 4,479,80863.1M $0.07 %
Corteva Inc 785,77163M $0.07 %
Illinois Tool Works Inc 214,94462.5M $0.07 %
Tenet Healthcare Corp 260,67062.4M $0.07 %
Mondelez International Inc 998,98661.5M $0.07 %
Block Inc 964,11261.4M $0.07 %
FirstEnergy Corp 1,178,56060.3M $0.07 %
Anglogold Ashanti Plc 469,01359.9M $0.06 %
CME Group Inc 187,08159.8M $0.06 %
Alliant Energy Corp 824,19159.6M $0.06 %
Citizens Financial Group Inc 959,56057.8M $0.06 %
Incyte Corp 565,15857.2M $0.06 %
BorgWarner Inc 993,46057.2M $0.06 %
Consolidated Edison Inc 499,51256.2M $0.06 %
Truist Financial Corp 1,138,59756.1M $0.06 %
Everpure Inc 874,06856.1M $0.06 %
Lincoln Electric Holdings Inc 195,31556.1M $0.06 %
Woodward Inc 144,65055.9M $0.06 %
Edwards Lifesciences Corp 646,92555.9M $0.06 %
Targa Resources Corp 232,34654.8M $0.06 %
Mueller Industries Inc 462,25754.5M $0.06 %
Teledyne Technologies Inc 79,11053.9M $0.06 %
Exelixis Inc 1,210,91853.4M $0.06 %
API Group Corp 1,190,76852.9M $0.06 %
Oshkosh Corp 307,38052.3M $0.06 %
Allegion plc 323,29852.1M $0.06 %
Modine Manufacturing Co 228,94152M $0.06 %
Dell Technologies Inc 350,95952M $0.06 %
Regal Rexnord Corp 227,30450.2M $0.05 %
Starbucks Corp 511,68950.2M $0.05 %
Diamondback Energy Inc 287,92950.1M $0.05 %
Vistra Corp 287,33350M $0.05 %
Royal Gold Inc 165,97549.8M $0.05 %
ResMed Inc 192,33949.3M $0.05 %
Viatris Inc 3,281,12149M $0.05 %
Universal Health Services Inc 234,68948.4M $0.05 %
Curtiss-Wright Corp 68,86548.2M $0.05 %
Uber Technologies Inc 638,73648.2M $0.05 %
Evercore Inc 153,51847.4M $0.05 %
Cummins Inc 80,55647M $0.05 %
Travelers Cos Inc/The 152,32447M $0.05 %
Constellation Energy Corp. 142,24046.9M $0.05 %
State Street SPDR S&P 500 ETF Trust 68,34046.9M $0.05 %
Comcast Corp 1,513,01346.8M $0.05 %
Steel Dynamics Inc 240,95246.5M $0.05 %
Unilever PLC 629,08546.4M $0.05 %
Warner Music Group Corp 1,619,78746.3M $0.05 %
Fortive Corp 779,54746.1M $0.05 %
Fortinet Inc 583,59046.1M $0.05 %
Allison Transmission Holdings Inc 365,09545.7M $0.05 %
Tapestry Inc 293,16645.6M $0.05 %
Regions Financial Corp 1,626,62245.3M $0.05 %
Target Corp 396,60045.1M $0.05 %
New York Times Co/The 562,37444.9M $0.05 %
Natera Inc 213,24644.4M $0.05 %
Carrier Global Corp 686,52644.2M $0.05 %
Devon Energy Corp 1,014,28944.2M $0.05 %
Dover Corp 195,65444.1M $0.05 %
TD SYNNEX Corp 280,09243.9M $0.05 %
International Business Machines Corp. 182,69943.9M $0.05 %
Bio-Techne Corp 738,43243.6M $0.05 %
Public Service Enterprise Group Inc 504,86043.5M $0.05 %
Axis Capital Holdings Ltd 410,98143.4M $0.05 %
Coherent Corp 166,83443.2M $0.05 %
Onto Innovation Inc 199,82243.1M $0.05 %
Sysco Corp 471,68243M $0.05 %
Equitable Holdings Inc 1,059,79142.6M $0.05 %
CF Industries Holdings Inc 422,25342M $0.05 %
Huntington Ingalls Industries, Inc. 94,46942M $0.05 %
KeyCorp 2,015,99641.8M $0.05 %
US Foods Holding Corp 431,55841.7M $0.05 %
TKO Group Holdings Inc 185,89441.6M $0.05 %
Airbnb Inc 307,31941.5M $0.05 %
Ross Stores Inc 201,19041.4M $0.04 %
Franco-Nevada Corp 146,95141.2M $0.04 %
Saia Inc 101,60741.2M $0.04 %
Toll Brothers Inc 261,62341.1M $0.04 %
Marathon Petroleum Corp 207,49941.1M $0.04 %
Crowdstrike Holdings Inc 109,97440.9M $0.04 %
Kimco Realty Corp 1,721,62940.5M $0.04 %
RPM International Inc 352,70040.3M $0.04 %
WW Grainger Inc 35,15940.2M $0.04 %
Tradeweb Markets Inc 326,52140.2M $0.04 %
Atmos Energy Corp 215,34840.2M $0.04 %
AptarGroup Inc 279,47840.2M $0.04 %
Cognex Corp 737,37440.1M $0.04 %
DTE Energy Co 269,44539.9M $0.04 %
Cintas Corp 197,28339.7M $0.04 %
Yum! Brands Inc 235,38139.6M $0.04 %
Dollar General Corp 253,18139.6M $0.04 %
Houlihan Lokey Inc 240,17539.3M $0.04 %
Ameriprise Financial Inc 82,89539M $0.04 %
SEI Investments Co 477,42738.8M $0.04 %
Esab Corp 307,49838.8M $0.04 %
Duke Energy Corp 295,71638.7M $0.04 %
Kinder Morgan, Inc. 1,148,80038.2M $0.04 %
Expedia Group Inc 176,87938.2M $0.04 %
American Financial Group Inc/OH 285,76638M $0.04 %
Matador Resources Co 737,34237.9M $0.04 %
Halliburton Co 1,052,20037.9M $0.04 %
Affirm Holdings Inc 805,09137.8M $0.04 %
AMETEK Inc 155,91837.3M $0.04 %
Virtu Financial Inc 898,86237.2M $0.04 %
TTM Technologies Inc 355,70237.1M $0.04 %
VICI Properties Inc 1,222,93736.9M $0.04 %
Rollins Inc 604,70536.8M $0.04 %
Medpace Holdings Inc 80,87036.5M $0.04 %
Delta Air Lines Inc 550,69436.2M $0.04 %
Knight-Swift Transportation Holdings Inc 574,31136.1M $0.04 %
Textron Inc 365,85936.1M $0.04 %
Globus Medical Inc 373,89135.7M $0.04 %
Flex Ltd 565,66035.6M $0.04 %
Globe Life Inc 244,62935.5M $0.04 %
Reliance Inc 112,32035.5M $0.04 %
AGCO Corp 258,48435.3M $0.04 %
Advanced Energy Industries Inc 105,05335.3M $0.04 %
Coca-Cola Consolidated Inc 173,73735.2M $0.04 %
CRH PLC 293,07735.2M $0.04 %
HF Sinclair Corp 699,69335M $0.04 %
Service Corp International/US 415,32735M $0.04 %
Invesco Ltd 1,322,99034.7M $0.04 %
L3Harris Technologies Inc 95,06234.7M $0.04 %
Dollar Tree Inc 273,49334.6M $0.04 %
Elevance Health Inc 107,96634.5M $0.04 %
Otis Worldwide Corp 369,67234.2M $0.04 %
Donaldson Co Inc 368,24034.2M $0.04 %
Sanmina Corp 219,75334.1M $0.04 %
Graco Inc 362,93534.1M $0.04 %
Nasdaq Inc 387,49533.9M $0.04 %
East West Bancorp Inc 307,98233.7M $0.04 %
Simon Property Group Inc 164,99933.6M $0.04 %
Middleby Corp/The 198,74733.6M $0.04 %
Owens Corning 272,86033.3M $0.04 %
Cirrus Logic Inc 234,63633.1M $0.04 %
Jefferies Financial Group Inc 743,38533M $0.04 %
Carvana Co 98,40532.9M $0.04 %
Moog Inc 96,83132.7M $0.04 %
Shopify Inc 270,40132.6M $0.04 %
Rexford Industrial Realty Inc 863,09632.3M $0.04 %
Chugai Pharmaceutical Co Ltd 961,18832.3M $0.04 %
Shell PLC 386,39732.3M $0.03 %
First Horizon Corp 1,352,13832.2M $0.03 %
Estee Lauder Cos Inc/The 292,45432M $0.03 %
Centene Corp 713,31032M $0.03 %
Expand Energy Corp 294,21931.8M $0.03 %
Amdocs Ltd 450,40631.4M $0.03 %
ITT Inc 154,94931.4M $0.03 %
Fox Corp 555,10031.3M $0.03 %
Ball Corp 464,73031.2M $0.03 %
Manhattan Associates Inc 230,28831.2M $0.03 %
Packaging Corp of America 134,07131.1M $0.03 %
Corebridge Financial Inc 1,200,83131M $0.03 %
F5 Inc 113,55330.8M $0.03 %
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 123,83430.7M $0.03 %
GXO Logistics Inc 488,29930.7M $0.03 %
Unum Group 427,26630.6M $0.03 %
Jazz Pharmaceuticals PLC 160,99830.6M $0.03 %
Voya Financial Inc 455,89230.5M $0.03 %
PNC Financial Services Group Inc/The 143,00030.4M $0.03 %
White Mountains Insurance Group Ltd 13,65430.3M $0.03 %
Marriott International Inc/MD 88,12130.1M $0.03 %
Exelon Corp 605,81230M $0.03 %
Lattice Semiconductor Corp 312,81929.9M $0.03 %
Cheniere Energy Inc 126,00029.7M $0.03 %
NVR Inc 3,94129.6M $0.03 %
Rockwell Automation Inc 72,57929.6M $0.03 %
Kinsale Capital Group Inc 75,52729.4M $0.03 %
Insmed Inc 196,75629.4M $0.03 %
Performance Food Group Co 302,30929.3M $0.03 %
Nucor Corp 165,86729.3M $0.03 %
Autoliv Inc 247,23029.3M $0.03 %
CBRE Group Inc 198,42129.3M $0.03 %
Pool Corp 128,42429.2M $0.03 %
Jones Lang LaSalle Inc 91,27528.8M $0.03 %
ADT Inc 3,582,89328.7M $0.03 %
Everest Group Ltd 85,28028.6M $0.03 %
Descartes Systems Group Inc/The 426,85928.3M $0.03 %
Eagle Materials Inc 126,21428.2M $0.03 %
Akamai Technologies Inc 286,78728.2M $0.03 %
Pentair PLC 283,89328.2M $0.03 %
Nexstar Media Group Inc 111,20527.9M $0.03 %
Williams-Sonoma Inc 135,45127.9M $0.03 %
Aflac Inc 243,57427.5M $0.03 %
Waste Management Inc 113,85827.4M $0.03 %
Prudential Financial, Inc. 278,12327.4M $0.03 %
Becton Dickinson & Co 154,75427.3M $0.03 %
Cigna Group/The 93,74427.2M $0.03 %
Powell Industries Inc 51,81627.1M $0.03 %
MarketAxess Holdings Inc 140,64627M $0.03 %
Teleflex Inc 219,85226.8M $0.03 %
Guardant Health Inc 284,45726.7M $0.03 %
Canadian National Railway Co 237,61626.7M $0.03 %
Lithia Motors Inc 95,09026.6M $0.03 %
CNH Industrial NV 2,124,10126.1M $0.03 %
CACI International Inc 42,78126.1M $0.03 %
TALEN ENERGY CORP 69,89225.9M $0.03 %
SSR Mining Inc 802,37525.8M $0.03 %
ON Semiconductor Corp 387,40325.8M $0.03 %
Hasbro Inc 258,27925.7M $0.03 %
Lamar Advertising Co 186,72925.7M $0.03 %
Charles River Laboratories International Inc 143,35325.6M $0.03 %
Leidos Holdings Inc 144,85225.4M $0.03 %
Cincinnati Financial Corp 153,49625.2M $0.03 %
Public Storage 81,91725.2M $0.03 %
TechnipFMC PLC 379,26525.1M $0.03 %
Willis Towers Watson PLC 82,30025.1M $0.03 %
Fiserv Inc 399,94024.9M $0.03 %
Keurig Dr Pepper Inc 820,47524.8M $0.03 %
Host Hotels & Resorts Inc 1,268,07624.8M $0.03 %
SiteOne Landscape Supply Inc 172,11424.6M $0.03 %
Armstrong World Industries Inc 141,73924.6M $0.03 %
WESCO International Inc 84,89924.6M $0.03 %
Spotify Technology SA 47,69624.6M $0.03 %
Clean Harbors Inc 83,63924.5M $0.03 %
Avnet Inc 371,12224.4M $0.03 %
IDACORP Inc 169,28624.4M $0.03 %
Encompass Health Corp 225,44324.3M $0.03 %
RBC Bearings Inc 42,20824.3M $0.03 %
McGrath RentCorp 218,89324.3M $0.03 %
PPG Industries Inc 196,39624.2M $0.03 %
NRG Energy Inc 135,24024.2M $0.03 %
Grand Canyon Education Inc 152,12124.2M $0.03 %
PayPal Holdings Inc 523,12824.2M $0.03 %
A O Smith Corp 309,52024.1M $0.03 %
Crown Holdings Inc 210,16724.1M $0.03 %
Solventum Corp 324,31124.1M $0.03 %
Coupang Inc 1,258,77224M $0.03 %
CH Robinson Worldwide Inc 129,36924M $0.03 %
Federated Hermes Inc 427,21023.9M $0.03 %
Genpact Ltd 597,73023.7M $0.03 %
Cooper Cos Inc/The 283,50523.7M $0.03 %
Lantheus Holdings Inc 315,24123.6M $0.03 %
SoFi Technologies Inc 1,322,31123.5M $0.03 %
Reinsurance Group of America Inc 108,66623.4M $0.03 %
FTAI Aviation Ltd 76,50123.4M $0.03 %
CubeSmart 567,77723.4M $0.03 %
Element Solutions Inc 662,79623.3M $0.03 %
Equity LifeStyle Properties Inc 345,08423.2M $0.03 %
International Paper Co 532,12623.2M $0.03 %
Dominion Energy Inc 366,21923.1M $0.03 %
Applied Industrial Technologies Inc 81,73923.1M $0.03 %
Global Payments Inc 298,18122.8M $0.02 %
Synchrony Financial 327,90022.7M $0.02 %
Primerica Inc 89,18722.6M $0.02 %
Ovintiv Inc 443,08022.4M $0.02 %
Huntington Bancshares Inc/OH 1,332,29022.4M $0.02 %
Antero Midstream Corp 985,26722.1M $0.02 %
Kimberly-Clark Corp 198,46622.1M $0.02 %
Kirby Corp 169,84922M $0.02 %
Paycom Software Inc 174,97522M $0.02 %
Equifax Inc 105,15422M $0.02 %
Baidu Inc 176,11921.9M $0.02 %
Ionis Pharmaceuticals Inc 269,75521.9M $0.02 %
Murphy USA Inc 55,52021.7M $0.02 %
Ameren Corp 191,31521.7M $0.02 %
Garrett Motion Inc 1,063,65321.7M $0.02 %
AAON Inc 213,18521.6M $0.02 %
DaVita Inc 137,77021.5M $0.02 %
Verisk Analytics Inc 103,71021.5M $0.02 %
Southwest Airlines Co 435,77621.5M $0.02 %
James Hardie Industries PLC 880,19521.4M $0.02 %
Halozyme Therapeutics Inc 308,16621.4M $0.02 %
Zions Bancorp NA 373,76321.4M $0.02 %
Molson Coors Beverage Co 436,82821.4M $0.02 %
Upwork Inc 1,588,08721.3M $0.02 %
Hewlett Packard Enterprise Co 989,57721.2M $0.02 %
Ares Management Corp 189,39721.2M $0.02 %
InterDigital Inc 57,53421.1M $0.02 %
UniFirst Corp/MA 89,74121.1M $0.02 %
Marvell Technology Inc 257,13221M $0.02 %
CMS Energy Corp 268,21820.9M $0.02 %
Universal Display Corp 195,91820.9M $0.02 %
West Pharmaceutical Services Inc 82,15620.9M $0.02 %
AeroVironment Inc 82,68820.9M $0.02 %
Bloom Energy Corp 133,59220.8M $0.02 %
Novanta Inc 154,58020.8M $0.02 %
NewMarket Corp 33,16520.8M $0.02 %
Canada Goose Holdings Inc 1,685,17520.7M $0.02 %
CoreCivic Inc 1,169,22520.7M $0.02 %
Ralph Lauren Corp 56,99220.7M $0.02 %
LKQ Corp 622,59320.6M $0.02 %
Quest Diagnostics Inc 96,89120.5M $0.02 %
DR Horton Inc 127,10020.4M $0.02 %
Assured Guaranty Ltd 235,62020.3M $0.02 %
Zoetis Inc 154,08420.2M $0.02 %
Sterling Infrastructure Inc 46,82820M $0.02 %
Hyatt Hotels Corp 124,02820M $0.02 %
Chemed Corp 48,78820M $0.02 %