| 401 | Stifel Financial Corp | 13,196 | 1M $ | |
| 402 | Encompass Health Corp | 10,289 | 1M $ | |
| 403 | Alibaba Group Holding Ltd | 7,801 | 1M $ | |
| 404 | Synopsys Inc | 2,131 | 1M $ | |
| 405 | Ishares Gold Trust | 11,787 | 1M $ | |
| 406 | Keysight Technologies Inc | 2,942 | 1M $ | |
| 407 | Sprouts Farmers Market Inc | 12,460 | 1M $ | |
| 408 | Maplebear Inc | 23,529 | 996.5K $ | |
| 409 | Enterprise Products Partners LP | 25,904 | 989.9K $ | |
| 410 | CSG Systems International Inc | 12,212 | 982K $ | |
| 411 | New York Life Investments ETF Trust | 27,288 | 973.9K $ | |
| 412 | Coca-Cola Consolidated Inc | 4,742 | 972.4K $ | |
| 413 | Iridium Communications Inc | 24,829 | 970.1K $ | |
| 414 | Penske Automotive Group Inc | 5,631 | 965.8K $ | |
| 415 | Intel Corp | 12,563 | 957.1K $ | |
| 416 | Sony Group Corp | 47,381 | 952.2K $ | |
| 417 | Kaiser Aluminum Corp | 5,516 | 940.1K $ | |
| 418 | Hubbell Inc | 1,844 | 936.8K $ | |
| 419 | Central Pacific Financial Corp | 27,836 | 926.4K $ | |
| 420 | J P Morgan Exchange Traded Fund Trust | 15,514 | 916.5K $ | |
| 421 | National Storage Affiliates Trust | 21,374 | 902K $ | |
| 422 | Silgan Holdings Inc | 22,136 | 897.6K $ | |
| 423 | Ingredion Inc | 8,025 | 897.5K $ | |
| 424 | Vanguard World Fund | 4,432 | 897.4K $ | |
| 425 | Motorola Solutions Inc | 1,995 | 874.8K $ | |
| 426 | Viavi Solutions Inc | 16,521 | 865.7K $ | |
| 427 | ASML Holding NV | 596 | 856.1K $ | |
| 428 | Patterson-UTI Energy Inc | 69,566 | 850.1K $ | |
| 429 | Crescent Energy Co | 63,124 | 849K $ | |
| 430 | iShares Core S&P Total U.S. Stock Market ETF | 5,645 | 848.6K $ | |
| 431 | Zoetis Inc | 7,238 | 833.5K $ | |
| 432 | Xcel Energy Inc | 10,105 | 833.4K $ | |
| 433 | State Street SPDR Portfolio S& | 17,677 | 831.7K $ | |
| 434 | Renasant Corp | 20,700 | 825.7K $ | |
| 435 | iShares Trust | 6,322 | 814.3K $ | |
| 436 | Hilton Worldwide Holdings Inc | 2,504 | 811.1K $ | |
| 437 | Ameris Bancorp | 9,479 | 808.1K $ | |
| 438 | VanEck J. P. Morgan EM Local Currency Bond ETF | 31,409 | 802.8K $ | |
| 439 | Onto Innovation Inc | 2,685 | 792.2K $ | |
| 440 | First Trust Health Care AlphaDEX Fund | 7,000 | 790.5K $ | |
| 441 | CNO Financial Group Inc | 17,776 | 789.8K $ | |
| 442 | Schwab Strategic Trust | 24,277 | 788.3K $ | |
| 443 | BlackRock ETF Trust II | 15,008 | 785.1K $ | |
| 444 | Lincoln Electric Holdings Inc | 2,893 | 766.6K $ | |
| 445 | Matson Inc | 4,394 | 766.4K $ | |
| 446 | ONEOK Inc | 8,318 | 762K $ | |
| 447 | Monster Beverage Corp | 9,830 | 757K $ | |
| 448 | ADT Inc | 100,479 | 756.6K $ | |
| 449 | Provident Financial Services Inc | 32,950 | 747.3K $ | |
| 450 | Pediatrix Medical Group Inc | 33,072 | 744.5K $ | |
| 451 | Brady Corp | 8,955 | 732.7K $ | |
| 452 | Catalyst Pharmaceuticals Inc | 25,929 | 729.4K $ | |
| 453 | Banner Corp | 10,900 | 729.3K $ | |
| 454 | Pegasystems Inc | 19,944 | 729K $ | |
| 455 | Semtech Corp | 6,886 | 723.4K $ | |
| 456 | Koppers Holdings Inc | 17,667 | 721.3K $ | |
| 457 | iShares S&P Small-Cap 600 Growth ETF | 4,479 | 718.1K $ | |
| 458 | Starbucks Corp | 6,913 | 715.6K $ | |
| 459 | Simmons First National Corp | 33,293 | 707.8K $ | |
| 460 | Watsco Inc | 1,923 | 702.7K $ | |
| 461 | Unilever PLC | 12,103 | 701.5K $ | |
| 462 | Ameriprise Financial Inc | 1,488 | 700.3K $ | |
| 463 | Taylor Morrison Home Corp | 11,339 | 688.7K $ | |
| 464 | SiTime Corp | 1,225 | 688.6K $ | |
| 465 | Omnicom Group Inc | 8,957 | 686.4K $ | |
| 466 | S&P Global Inc | 1,592 | 686.4K $ | |
| 467 | Regions Financial Corp | 24,117 | 685.9K $ | |
| 468 | Comcast Corp | 25,218 | 684.5K $ | |
| 469 | Rayonier Inc | 32,126 | 680K $ | |
| 470 | Urban Outfitters Inc | 9,487 | 667.3K $ | |
| 471 | Qualys Inc | 7,539 | 655.4K $ | |
| 472 | Boot Barn Holdings Inc | 3,810 | 653.2K $ | |
| 473 | Reinsurance Group of America Inc | 3,073 | 649.8K $ | |
| 474 | Cargurus Inc | 17,797 | 648.9K $ | |
| 475 | iShares Trust | 4,753 | 647.9K $ | |
| 476 | Sun Country Airlines Holdings Inc | 40,921 | 646.6K $ | |
| 477 | East West Bancorp Inc | 5,095 | 644.4K $ | |
| 478 | Universal Corp/VA | 11,991 | 642.5K $ | |
| 479 | Royal Gold Inc | 2,737 | 638.8K $ | |
| 480 | State Street SPDR Bloomberg Short Term High Yield Bond ETF | 25,271 | 637.1K $ | |
| 481 | Corning Inc | 3,882 | 629.5K $ | |
| 482 | Vanguard Small-Cap ETF | 2,199 | 625.4K $ | |
| 483 | Vertiv Holdings Co | 1,904 | 624.4K $ | |
| 484 | NMI Holdings Inc | 16,122 | 624.1K $ | |
| 485 | McCormick & Co Inc/MD | 12,218 | 621.1K $ | |
| 486 | Leggett & Platt Inc | 56,790 | 617K $ | |
| 487 | Corteva Inc | 7,483 | 616.9K $ | |
| 488 | Global Payments Inc | 9,111 | 613.4K $ | |
| 489 | Weyerhaeuser Co | 25,062 | 613.4K $ | |
| 490 | Perdoceo Education Corp | 18,032 | 612K $ | |
| 491 | Entergy Corp | 5,151 | 605.1K $ | |
| 492 | Bread Financial Holdings Inc | 7,089 | 600.5K $ | |
| 493 | Horizon Bancorp Inc/IN | 36,211 | 600K $ | |
| 494 | Minerals Technologies Inc | 8,305 | 597.5K $ | |
| 495 | Energy Transfer LP | 30,200 | 587.7K $ | |
| 496 | Cboe Global Markets Inc | 1,955 | 586.5K $ | |
| 497 | Deckers Outdoor Corp | 5,731 | 585.7K $ | |
| 498 | MDU Resources Group Inc | 25,586 | 576.5K $ | |
| 499 | Vertex Pharmaceuticals Inc | 1,341 | 574.5K $ | |
| 500 | Williams Cos Inc/The | 7,529 | 572.2K $ | |