| 2,601 | Invesco S&P SmallCap Health Care ETF | 5,270 | 216.9K $ | |
| 2,602 | Canary XRP ETF | 15,154 | 216.7K $ | |
| 2,603 | Flaherty & Crumrine Dynamic Preferred & Income Fund Inc | 10,776 | 216.3K $ | |
| 2,604 | Trinity Industries Inc | 6,713 | 216K $ | |
| 2,605 | Enel Chile SA | 54,740 | 215.7K $ | |
| 2,606 | CAPITAL SOUTHWEST CORP | 9,747 | 215.6K $ | |
| 2,607 | ANI Pharmaceuticals Inc | 2,802 | 215.5K $ | |
| 2,608 | JPMorgan Inflation Managed Bond ETF | 4,442 | 214.9K $ | |
| 2,609 | Global X MSCI Argent | 2,302 | 214.8K $ | |
| 2,610 | RiverNorth Opportunities Fund | 19,280 | 214K $ | |
| 2,611 | Choice Hotels International Inc | 2,067 | 214K $ | |
| 2,612 | Global X Funds | 3,344 | 213.6K $ | |
| 2,613 | ELECTROCORE INC | 35,342 | 213.1K $ | |
| 2,614 | Western Asset Emerging Markets Debt Fund Inc. | 21,692 | 213K $ | |
| 2,615 | Sarepta Therapeutics Inc | 9,769 | 212.6K $ | |
| 2,616 | Figs Inc | 14,331 | 211.7K $ | |
| 2,617 | iShares Interest Rate Hedged C | 2,283 | 210.8K $ | |
| 2,618 | FPA Global Equity ETF | 5,795 | 210.2K $ | |
| 2,619 | Exponent Inc | 3,214 | 209.7K $ | |
| 2,620 | Global X SuperDividend REIT ETF | 9,889 | 209.6K $ | |
| 2,621 | BNY Mellon Strategic Municipals Inc | 33,290 | 209.4K $ | |
| 2,622 | Cia Paranaense de Energia - Copel | 17,483 | 208.7K $ | |
| 2,623 | Repligen Corp | 1,759 | 207.3K $ | |
| 2,624 | RXO Inc | 14,176 | 207.3K $ | |
| 2,625 | Gitlab Inc | 9,564 | 207K $ | |
| 2,626 | Invesco Exchange-Traded Fund Trust | 6,540 | 206.6K $ | |
| 2,627 | WisdomTree Trust WisdomTree In | 9,161 | 206.6K $ | |
| 2,628 | Commvault Systems Inc | 2,647 | 206.2K $ | |
| 2,629 | Innovative Industrial Properties Inc | 4,105 | 205.9K $ | |
| 2,630 | Proto Labs Inc | 3,611 | 205.9K $ | |
| 2,631 | Immunome Inc | 9,403 | 205.6K $ | |
| 2,632 | Dimensional Inflation-Protecte | 4,926 | 205.5K $ | |
| 2,633 | American Eagle Outfitters Inc | 12,285 | 205.2K $ | |
| 2,634 | OppFi Inc | 26,604 | 205.1K $ | |
| 2,635 | CorMedix Inc | 30,179 | 204.9K $ | |
| 2,636 | Saba Capital Income & Opportunities Fund | 30,393 | 204.9K $ | |
| 2,637 | TransUnion | 2,955 | 204.5K $ | |
| 2,638 | Vicor Corp | 1,268 | 204.2K $ | |
| 2,639 | ARS Pharmaceuticals Inc | 25,413 | 204.1K $ | |
| 2,640 | State Street SPDR ICE Preferre | 6,606 | 203.7K $ | |
| 2,641 | Plug Power Inc | 89,771 | 202.9K $ | |
| 2,642 | Concentra Group Holdings Parent Inc | 9,434 | 202.4K $ | |
| 2,643 | Champions Oncology Inc | 35,158 | 202.2K $ | |
| 2,644 | USA Rare Earth Inc | 13,351 | 202.1K $ | |
| 2,645 | Hyperfine Inc | 186,737 | 201.7K $ | |
| 2,646 | YETI Holdings Inc | 5,507 | 201.5K $ | |
| 2,647 | PROG Holdings Inc | 7,014 | 201.2K $ | |
| 2,648 | Bentley Systems Inc | 5,727 | 201.2K $ | |
| 2,649 | HBT Financial Inc | 7,509 | 200.6K $ | |
| 2,650 | OPENLANE Inc | 6,877 | 200.5K $ | |
| 2,651 | Worthington Steel Inc | 6,604 | 200.4K $ | |
| 2,652 | PIMCO Income Strategy Fund II | 29,024 | 200K $ | |
| 2,653 | Neuberger High Yield Strategie | 30,622 | 198.4K $ | |
| 2,654 | American Well Corp | 37,659 | 198.1K $ | |
| 2,655 | Shutterstock Inc | 11,924 | 198.1K $ | |
| 2,656 | Franklin BSP Realty Trust Inc | 23,239 | 197.3K $ | |
| 2,657 | Virtus Dividend, Interest & Premium Strategy Fund | 15,618 | 196.9K $ | |
| 2,658 | Ellington Financial Inc | 16,581 | 196.5K $ | |
| 2,659 | Peloton Interactive Inc | 45,695 | 196K $ | |
| 2,660 | Korea Electric Power Corp | 13,749 | 195.9K $ | |
| 2,661 | RiverNorth Flexible | 15,409 | 194.9K $ | |
| 2,662 | InfuSystem Holdings Inc | 21,061 | 194.4K $ | |
| 2,663 | Payoneer Global Inc | 40,043 | 193.4K $ | |
| 2,664 | WisdomTree Inc | 13,203 | 192.2K $ | |
| 2,665 | OraSure Technologies Inc | 63,264 | 189.8K $ | |
| 2,666 | Fortrea Holdings Inc | 19,947 | 187.9K $ | |
| 2,667 | EATON VANCE MUNICIPAL INCOME TRUST | 17,499 | 187.8K $ | |
| 2,668 | Flaherty & Crumrine Preferred & Income Securities Fund Inc | 12,120 | 187.7K $ | |
| 2,669 | Amprius Technologies Inc | 11,013 | 185.7K $ | |
| 2,670 | Asana Inc | 28,976 | 185.4K $ | |
| 2,671 | Eaton Vance Tax Mn | 12,821 | 184.9K $ | |
| 2,672 | BioCryst Pharmaceuticals Inc | 19,399 | 184.7K $ | |
| 2,673 | BLACKROCK INTERNATIONAL GROWTH AND INCOME TRUST | 34,096 | 184.5K $ | |
| 2,674 | Bny Mellon Strategic Muni Bd Fd Inc | 30,464 | 183.1K $ | |
| 2,675 | QuantumScape Corp | 28,577 | 182.3K $ | |
| 2,676 | LG Display Co Ltd | 46,953 | 182.2K $ | |
| 2,677 | Nuveen Real Asset Income & Growth Fund | 14,806 | 182.1K $ | |
| 2,678 | Sonos Inc | 13,492 | 180.8K $ | |
| 2,679 | ProShares Ultra Bloomberg Natu | 11,146 | 179.7K $ | |
| 2,680 | Guggenheim Strategic Opportunities Fund | 16,183 | 178.3K $ | |
| 2,681 | OrthoPediatrics Corp | 11,236 | 178.3K $ | |
| 2,682 | Nephros Inc | 59,710 | 177.9K $ | |
| 2,683 | MFA Financial Inc | 18,570 | 177.9K $ | |
| 2,684 | Ooma Inc | 12,148 | 176.8K $ | |
| 2,685 | Huntsman Corp | 13,233 | 176.1K $ | |
| 2,686 | Geron Corp | 117,329 | 174.8K $ | |
| 2,687 | Sangamo Therapeutics Inc | 706,481 | 174.4K $ | |
| 2,688 | Larimar Therapeutics Inc | 38,465 | 173.1K $ | |
| 2,689 | DiamondRock Hospitality Co | 18,430 | 172.7K $ | |
| 2,690 | Crescent Energy Co | 12,689 | 171.3K $ | |
| 2,691 | BCB Bancorp Inc | 18,946 | 170.1K $ | |
| 2,692 | Compass Pathways plc | 30,641 | 169.4K $ | |
| 2,693 | BLACKROCK MUNIASSETS FD INC | 15,721 | 166.8K $ | |
| 2,694 | Red Cat Holdings Inc | 12,729 | 166.6K $ | |
| 2,695 | Eaton Vance Senior Floating-Rate Trust | 15,784 | 166.4K $ | |
| 2,696 | Cars.com Inc | 20,452 | 166.1K $ | |
| 2,697 | ATLASCLEAR HOLDINGS INC | 833,574 | 165.7K $ | |
| 2,698 | Neogen Corp | 17,788 | 165.3K $ | |
| 2,699 | Upwork Inc | 15,004 | 164.4K $ | |
| 2,700 | Gladstone Investment Corp | 11,572 | 164.3K $ | |