| 601 | ExlService Holdings Inc | 29,085 | 885.6K $ | |
| 602 | Williams Cos Inc/The | 12,062 | 877.9K $ | |
| 603 | UiPath Inc | 78,886 | 875.6K $ | |
| 604 | Paylocity Holding Corp | 8,073 | 872.2K $ | |
| 605 | Avantis Emerging Markets Equity ETF | 10,809 | 871K $ | |
| 606 | Exponent Inc | 13,233 | 863.5K $ | |
| 607 | iShares ESG Optimized MSCI USA ETF | 6,534 | 863.1K $ | |
| 608 | Buckle Inc/The | 17,117 | 862K $ | |
| 609 | Equinix Inc | 879 | 861.6K $ | |
| 610 | Grand Canyon Education Inc | 5,064 | 861K $ | |
| 611 | Vertiv Holdings Co | 3,431 | 859.7K $ | |
| 612 | Fortune Brands Innovations Inc | 22,017 | 858K $ | |
| 613 | KBR Inc | 23,273 | 857.8K $ | |
| 614 | Vanguard Russell 1000 | 2,876 | 848.7K $ | |
| 615 | Huntington Ingalls Industries, Inc. | 2,232 | 847.9K $ | |
| 616 | Vail Resorts Inc | 6,589 | 845.5K $ | |
| 617 | Sandisk Corp/DE | 1,330 | 845K $ | |
| 618 | Blackstone Inc | 7,314 | 841K $ | |
| 619 | Jabil Inc | 3,162 | 839.9K $ | |
| 620 | Qualys Inc | 9,540 | 838.1K $ | |
| 621 | Boston Scientific Corp | 13,268 | 832.6K $ | |
| 622 | GoDaddy Inc | 10,049 | 830.8K $ | |
| 623 | Howmet Aerospace Inc | 3,599 | 829.4K $ | |
| 624 | CH Robinson Worldwide Inc | 4,991 | 828.9K $ | |
| 625 | Mattel Inc | 56,960 | 827.6K $ | |
| 626 | Marsh & McLennan Cos Inc | 4,711 | 817.2K $ | |
| 627 | CVS Health Corp | 11,366 | 816.3K $ | |
| 628 | Travel + Leisure Co | 11,789 | 815.7K $ | |
| 629 | Zscaler Inc | 5,810 | 815.1K $ | |
| 630 | IonQ Inc | 28,254 | 814.6K $ | |
| 631 | iShares 5-10 Year Investment Grade Corporate Bond ETF | 15,021 | 799.4K $ | |
| 632 | Wingstop Inc | 5,119 | 793.3K $ | |
| 633 | Valvoline Inc | 23,454 | 789.9K $ | |
| 634 | Science Applications International Corp | 8,313 | 789.1K $ | |
| 635 | Motorola Solutions Inc | 1,813 | 786.8K $ | |
| 636 | SLM Corp | 36,697 | 785.7K $ | |
| 637 | Bank of New York Mellon Corp/The | 6,602 | 783.2K $ | |
| 638 | Thor Industries Inc | 9,734 | 777.6K $ | |
| 639 | Alaska Air Group Inc | 21,119 | 776.8K $ | |
| 640 | Waste Management Inc | 3,380 | 776.7K $ | |
| 641 | Polaris Inc | 14,250 | 776.6K $ | |
| 642 | MSC Industrial Direct Co Inc | 8,384 | 773.6K $ | |
| 643 | Select Sector Spdr Trust | 4,777 | 772.5K $ | |
| 644 | Vornado Realty Trust | 29,596 | 769.2K $ | |
| 645 | Post Holdings Inc | 7,776 | 768.7K $ | |
| 646 | Crocs Inc | 9,254 | 768.3K $ | |
| 647 | Federated Hermes Inc | 13,544 | 768.1K $ | |
| 648 | CoStar Group Inc | 19,030 | 767.7K $ | |
| 649 | Envista Holdings Corp | 30,134 | 764.5K $ | |
| 650 | ARM Holdings PLC | 5,046 | 763.4K $ | |
| 651 | Waystar Holding Corp | 31,607 | 762K $ | |
| 652 | Schwab Emerging Markets Equity ETF | 23,119 | 761.8K $ | |
| 653 | State Street SPDR Portfolio S& | 9,630 | 761.3K $ | |
| 654 | Nordson Corp | 2,843 | 756.4K $ | |
| 655 | Freeport-McMoRan Inc | 12,852 | 755.4K $ | |
| 656 | ONEOK Inc | 8,322 | 752.2K $ | |
| 657 | Hamilton Lane Inc | 7,494 | 744.9K $ | |
| 658 | Universal Display Corp | 8,103 | 742.7K $ | |
| 659 | H&R Block Inc | 23,352 | 741.2K $ | |
| 660 | Bruker Corp | 20,328 | 734.2K $ | |
| 661 | Madrigal Pharmaceuticals Inc | 1,400 | 732.9K $ | |
| 662 | First Trust Exchange-Traded Fund VIII | 28,360 | 730.1K $ | |
| 663 | Charles River Laboratories International Inc | 4,219 | 727.8K $ | |
| 664 | Dropbox Inc | 31,966 | 726.3K $ | |
| 665 | Assurant Inc | 3,331 | 725.5K $ | |
| 666 | Duolingo Inc | 7,334 | 722.9K $ | |
| 667 | Allegro MicroSystems Inc | 22,731 | 716.7K $ | |
| 668 | Morningstar Inc | 4,229 | 714.9K $ | |
| 669 | Pegasystems Inc | 16,797 | 714.9K $ | |
| 670 | Ryan Specialty Holdings Inc | 21,011 | 708.9K $ | |
| 671 | Appfolio Inc | 4,483 | 707.5K $ | |
| 672 | Sysco Corp | 9,899 | 706.1K $ | |
| 673 | iShares ESG Aware U.S. Aggregate Bond ETF | 14,841 | 705.7K $ | |
| 674 | Haemonetics Corp | 12,493 | 704.1K $ | |
| 675 | Cummins Inc | 1,306 | 702.6K $ | |
| 676 | VanEck ETF Trust | 15,119 | 702K $ | |
| 677 | EPR Properties | 13,954 | 697.1K $ | |
| 678 | Brady Corp | 8,575 | 696.6K $ | |
| 679 | A O Smith Corp | 10,558 | 696.2K $ | |
| 680 | Expand Energy Corp | 6,311 | 692.8K $ | |
| 681 | Warner Music Group Corp | 27,074 | 691.5K $ | |
| 682 | VANGUARD ADMIRAL FDS INC | 6,038 | 690.3K $ | |
| 683 | Veralto Corp | 7,727 | 683.2K $ | |
| 684 | Praxis Precision Medicines Inc | 2,113 | 680.8K $ | |
| 685 | Globe Life Inc | 4,888 | 680.3K $ | |
| 686 | Genuine Parts Co | 6,428 | 679.8K $ | |
| 687 | HCA Healthcare Inc | 1,435 | 679.1K $ | |
| 688 | Dolby Laboratories Inc | 11,213 | 673.5K $ | |
| 689 | United Parcel Service Inc | 6,826 | 671.6K $ | |
| 690 | Camden Property Trust | 6,812 | 665.3K $ | |
| 691 | Visteon Corp | 7,297 | 664.8K $ | |
| 692 | Marathon Petroleum Corp | 2,695 | 658.1K $ | |
| 693 | Air Products and Chemicals Inc | 2,250 | 653.7K $ | |
| 694 | Select Sector Spdr Trust | 13,187 | 651K $ | |
| 695 | SPDR Series Trust | 2,548 | 647.1K $ | |
| 696 | Vanguard Value ETF | 3,291 | 645.8K $ | |
| 697 | iShares Trust | 12,837 | 642.4K $ | |
| 698 | State Street Utilities Select Sector SPDR ETF | 13,962 | 640.7K $ | |
| 699 | SM Energy Co | 20,412 | 636.4K $ | |
| 700 | Primoris Services Corp | 4,431 | 633.8K $ | |