| 201 | State Street SPDR Portfolio S& | 9,815 | 776K $ | |
| 202 | West Pharmaceutical Services Inc | 3,083 | 772.9K $ | |
| 203 | BHP Group Ltd | 10,520 | 765.2K $ | |
| 204 | Atmos Energy Corp | 4,087 | 755K $ | |
| 205 | UnitedHealth Group Inc | 2,788 | 754.3K $ | |
| 206 | iShares Emerging Markets Equity Factor ETF | 12,357 | 746.7K $ | |
| 207 | United Therapeutics Corp | 1,256 | 744.7K $ | |
| 208 | United Natural Foods Inc | 16,395 | 738.8K $ | |
| 209 | Vistance Networks Inc | 40,339 | 734.2K $ | |
| 210 | 3M Co | 5,045 | 732.7K $ | |
| 211 | Simon Property Group Inc | 3,924 | 732K $ | |
| 212 | Exelixis Inc | 17,063 | 731.8K $ | |
| 213 | Trade Desk Inc/The | 32,142 | 729.3K $ | |
| 214 | MercadoLibre Inc | 420 | 725.7K $ | |
| 215 | Tidewater Inc | 8,633 | 721.3K $ | |
| 216 | Public Storage | 2,662 | 721K $ | |
| 217 | Invesco S&P 500 Equal Weight ETF | 3,753 | 720.4K $ | |
| 218 | TTM Technologies Inc | 7,327 | 713.8K $ | |
| 219 | Vanguard S&P 500 ETF | 1,194 | 713.2K $ | |
| 220 | Invesco S&P 500 Momentum ETF | 6,361 | 713.1K $ | |
| 221 | Meta Platforms Inc | 1,243 | 711.3K $ | |
| 222 | DR Horton Inc | 5,163 | 708.4K $ | |
| 223 | Chevron Corp | 3,421 | 707.8K $ | |
| 224 | Select Water Solutions Inc | 46,141 | 706K $ | |
| 225 | YETI Holdings Inc | 19,227 | 703.5K $ | |
| 226 | Schwab International Equity ETF | 28,042 | 694K $ | |
| 227 | Coeur Mining Inc | 36,873 | 692.1K $ | |
| 228 | AST SpaceMobile Inc | 8,331 | 690.4K $ | |
| 229 | STMicroelectronics NV | 19,838 | 685.4K $ | |
| 230 | National Fuel Gas Co | 7,245 | 680.8K $ | |
| 231 | Steel Dynamics Inc | 3,776 | 679.6K $ | |
| 232 | UL Solutions Inc | 7,913 | 678.2K $ | |
| 233 | Lithia Motors Inc | 2,708 | 676K $ | |
| 234 | CH Robinson Worldwide Inc | 4,070 | 675.9K $ | |
| 235 | Rocket Lab Corp | 10,479 | 673K $ | |
| 236 | Hologic Inc | 8,878 | 671.1K $ | |
| 237 | Align Technology Inc | 3,862 | 662K $ | |
| 238 | Equifax Inc | 3,673 | 661.4K $ | |
| 239 | Visa Inc | 2,168 | 655.1K $ | |
| 240 | APA Corp | 15,433 | 655K $ | |
| 241 | Wayfair Inc | 8,655 | 650.9K $ | |
| 242 | Cal-Maine Foods Inc | 8,219 | 650.5K $ | |
| 243 | Houlihan Lokey Inc | 4,529 | 650.5K $ | |
| 244 | FTI Consulting Inc | 3,668 | 648.4K $ | |
| 245 | Qualys Inc | 7,375 | 647.8K $ | |
| 246 | Western Alliance Bancorp | 9,120 | 646.2K $ | |
| 247 | Republic Services Inc | 2,950 | 646.1K $ | |
| 248 | Rio Tinto PLC | 6,921 | 645.7K $ | |
| 249 | Taiwan Semiconductor Manufacturing Co Ltd | 1,902 | 642.8K $ | |
| 250 | Aflac Inc | 5,833 | 639.9K $ | |
| 251 | Globus Medical Inc | 7,410 | 638.4K $ | |
| 252 | Rambus Inc | 7,383 | 635.1K $ | |
| 253 | Timothy Plan | 17,605 | 634.5K $ | |
| 254 | Vanguard Index Funds | 3,439 | 633.7K $ | |
| 255 | Jack Henry & Associates Inc | 4,010 | 633.7K $ | |
| 256 | Mettler-Toledo International Inc | 501 | 632K $ | |
| 257 | Home BancShares Inc/AR | 23,314 | 627.9K $ | |
| 258 | Dillard's Inc | 1,097 | 627.4K $ | |
| 259 | Yum China Holdings Inc | 12,781 | 623.5K $ | |
| 260 | SEI Investments Co | 7,942 | 623.2K $ | |
| 261 | EMCOR Group Inc | 838 | 618.5K $ | |
| 262 | Masco Corp | 10,224 | 617.2K $ | |
| 263 | Grand Canyon Education Inc | 3,607 | 613.4K $ | |
| 264 | Lincoln Electric Holdings Inc | 2,461 | 613K $ | |
| 265 | Crane Co | 3,565 | 609.6K $ | |
| 266 | ServisFirst Bancshares Inc | 8,337 | 607.1K $ | |
| 267 | State Street SPDR Portfolio Ag | 23,650 | 605.9K $ | |
| 268 | SPDR SERIES TRUST | 3,364 | 599.1K $ | |
| 269 | Insulet Corp | 2,849 | 597.8K $ | |
| 270 | Equity Residential | 10,079 | 596.2K $ | |
| 271 | American Century ETF Trust | 5,385 | 594.9K $ | |
| 272 | iShares Ultra Short Duration B | 11,655 | 590K $ | |
| 273 | Willdan Group Inc | 7,694 | 589.1K $ | |
| 274 | Toast Inc | 22,216 | 588.9K $ | |
| 275 | iShares MSCI USA Value Factor ETF | 4,109 | 584.3K $ | |
| 276 | Corpay Inc | 1,999 | 581.7K $ | |
| 277 | Vanguard Intermediate-Term Corporate Bond ETF | 6,983 | 577.9K $ | |
| 278 | Roper Technologies Inc | 1,629 | 576.6K $ | |
| 279 | Dexcom Inc | 9,165 | 575.6K $ | |
| 280 | XPEL Inc | 12,842 | 568.4K $ | |
| 281 | Docusign Inc | 11,832 | 561K $ | |
| 282 | Norfolk Southern Corp | 1,952 | 560.2K $ | |
| 283 | Nice Ltd | 5,054 | 557.3K $ | |
| 284 | State Street SPDR S&P 600 Smal | 5,636 | 544.6K $ | |
| 285 | iShares Core S&P Mid-Cap ETF | 8,064 | 544.6K $ | |
| 286 | Cava Group Inc | 6,731 | 544.5K $ | |
| 287 | Smith & Nephew PLC | 17,116 | 543.9K $ | |
| 288 | UFP Industries Inc | 5,903 | 543.8K $ | |
| 289 | Group 1 Automotive Inc | 1,640 | 542.2K $ | |
| 290 | Wells Fargo & Co | 6,786 | 540.2K $ | |
| 291 | iShares Silver Trust | 7,871 | 536.3K $ | |
| 292 | iShares Trust | 5,286 | 532.4K $ | |
| 293 | Avantis International Equity ETF | 6,219 | 527.7K $ | |
| 294 | Neogen Corp | 56,747 | 527.2K $ | |
| 295 | Comfort Systems USA Inc | 381 | 525.5K $ | |
| 296 | Ollie's Bargain Outlet Holdings Inc | 5,682 | 523K $ | |
| 297 | SPDR Series Trust | 8,800 | 521.2K $ | |
| 298 | SELECT SECTOR SPDR TRUST (THE) | 4,588 | 508.6K $ | |
| 299 | iShares MSCI EAFE Growth ETF | 4,566 | 508.5K $ | |
| 300 | Day One Biopharmaceuticals Inc | 23,681 | 507.7K $ | |