| 501 | iShares Trust | 7,779 | 396.3K $ | |
| 502 | Simon Property Group Inc | 2,106 | 392.8K $ | |
| 503 | Darden Restaurants Inc | 2,000 | 392.1K $ | |
| 504 | Revvity Inc | 4,460 | 390.7K $ | |
| 505 | CME Group Inc | 1,303 | 384.8K $ | |
| 506 | LCI Industries | 3,043 | 374.2K $ | |
| 507 | Fiserv Inc | 6,667 | 372K $ | |
| 508 | Artisan Partners Asset Management Inc | 10,131 | 368.7K $ | |
| 509 | Jacobs Solutions Inc | 2,890 | 367.8K $ | |
| 510 | Schwab Short-Term U.S. Treasury ETF | 15,000 | 364.1K $ | |
| 511 | Donaldson Co Inc | 4,222 | 358.3K $ | |
| 512 | Sempra | 3,674 | 357K $ | |
| 513 | Boston Scientific Corp | 5,669 | 355.7K $ | |
| 514 | iShares ESG Aware MSCI USA ETF | 2,506 | 354.4K $ | |
| 515 | Atmos Energy Corp | 1,905 | 351.9K $ | |
| 516 | Elevance Health Inc | 1,195 | 349.8K $ | |
| 517 | BHP Group Ltd | 4,725 | 343.7K $ | |
| 518 | Woodward Inc | 958 | 342.9K $ | |
| 519 | United Rentals Inc | 465 | 338.8K $ | |
| 520 | Carlsmed Inc | 37,000 | 334.9K $ | |
| 521 | abrdn Physical Gold Shares ETF | 7,404 | 330.4K $ | |
| 522 | Warner Bros Discovery Inc | 11,919 | 327.3K $ | |
| 523 | ARM Holdings PLC | 2,112 | 319.5K $ | |
| 524 | Hershey Co/The | 1,520 | 316K $ | |
| 525 | ISHARES TRUST | 8,810 | 312.9K $ | |
| 526 | Tyson Foods Inc | 4,851 | 310.8K $ | |
| 527 | Paychex Inc | 3,323 | 306.1K $ | |
| 528 | General Motors Co | 3,967 | 295.5K $ | |
| 529 | Solventum Corp | 4,513 | 294.7K $ | |
| 530 | Oxford Lane Capital Corp | 30,090 | 294.3K $ | |
| 531 | Babcock & Wilcox Enterprises Inc | 20,000 | 293.8K $ | |
| 532 | Novo Nordisk A/S | 7,920 | 291.1K $ | |
| 533 | Lennar Corp | 3,351 | 291K $ | |
| 534 | Block Inc | 4,821 | 290.1K $ | |
| 535 | Invesco KBW Bank ETF | 3,659 | 289.5K $ | |
| 536 | Newmont Corp | 2,647 | 286.5K $ | |
| 537 | Edison International | 3,908 | 286K $ | |
| 538 | Manhattan Associates Inc | 2,131 | 283.7K $ | |
| 539 | Equinix Inc | 289 | 283.3K $ | |
| 540 | Mid-America Apartment Communities, Inc. | 2,314 | 282.6K $ | |
| 541 | Clorox Co/The | 2,715 | 281.4K $ | |
| 542 | Eastman Chemical Co | 3,651 | 278.6K $ | |
| 543 | Ecolab Inc | 1,036 | 275.6K $ | |
| 544 | iShares Core S&P U.S. Growth ETF | 1,776 | 275.5K $ | |
| 545 | Conagra Brands Inc | 17,411 | 273.7K $ | |
| 546 | J M Smucker Co/The | 2,808 | 270.8K $ | |
| 547 | SPDR Series Trust | 1,064 | 270.2K $ | |
| 548 | Texas Pacific Land Corp | 567 | 269.1K $ | |
| 549 | Vodafone Group PLC | 17,873 | 268.5K $ | |
| 550 | Archer-Daniels-Midland Co | 3,687 | 268K $ | |
| 551 | Chemours Co/The | 12,141 | 267.5K $ | |
| 552 | Coherent Corp | 1,120 | 266.8K $ | |
| 553 | Casey's General Stores Inc | 364 | 264.9K $ | |
| 554 | SPDR Series Trust | 2,436 | 264.2K $ | |
| 555 | Dollar General Corp | 2,225 | 264.2K $ | |
| 556 | City Holding Co | 2,195 | 262.3K $ | |
| 557 | State Street SPDR NYSE Technology ETF | 1,021 | 260.6K $ | |
| 558 | SP Funds S&P 500 Sharia Indust | 5,365 | 258.4K $ | |
| 559 | Blackstone Inc | 2,203 | 253.3K $ | |
| 560 | Everus Construction Group Inc | 2,106 | 248.6K $ | |
| 561 | Omega Healthcare Investors Inc | 5,672 | 248.5K $ | |
| 562 | Republic Services Inc | 1,108 | 242.7K $ | |
| 563 | Flexshares Trust | 4,362 | 240.6K $ | |
| 564 | Adeia Inc | 10,000 | 240.3K $ | |
| 565 | Global X Funds | 3,072 | 240.1K $ | |
| 566 | Weyerhaeuser Co | 9,799 | 239.4K $ | |
| 567 | Northwest Bancshares Inc | 18,617 | 236.2K $ | |
| 568 | iShares Trust | 1,703 | 235.6K $ | |
| 569 | iShares Trust | 3,893 | 233.4K $ | |
| 570 | Janus Detroit Street Trust | 5,000 | 233K $ | |
| 571 | iShares High Yield Muni Active ETF | 4,850 | 232.7K $ | |
| 572 | Invesco RAFI US 1000 ETF | 4,860 | 231K $ | |
| 573 | Royal Gold Inc | 900 | 229K $ | |
| 574 | iShares Trust | 5,369 | 228.5K $ | |
| 575 | Expedia Group Inc | 978 | 225.8K $ | |
| 576 | Vertiv Holdings Co | 900 | 225.5K $ | |
| 577 | ServiceNow Inc | 2,115 | 221.1K $ | |
| 578 | Patterson-UTI Energy Inc | 20,000 | 216.6K $ | |
| 579 | PPL Corp | 5,658 | 216.1K $ | |
| 580 | Fox Corp | 3,687 | 215.3K $ | |
| 581 | Sanofi SA | 4,462 | 215K $ | |
| 582 | Vanguard Whitehall Funds | 2,274 | 214.3K $ | |
| 583 | Intrepid Potash Inc | 5,000 | 213.9K $ | |
| 584 | Nasdaq Inc | 2,498 | 212.1K $ | |
| 585 | Lincoln Electric Holdings Inc | 850 | 211.7K $ | |
| 586 | Eaton Vance Enhanced Equity Income Fund II | 10,256 | 209.8K $ | |
| 587 | Realty Income Corp | 3,402 | 208.1K $ | |
| 588 | Baidu Inc | 1,865 | 207.8K $ | |
| 589 | Kraft Heinz Co/The | 9,203 | 207K $ | |
| 590 | Peoples Bancorp Inc/OH | 6,259 | 205.7K $ | |
| 591 | iShares Trust | 937 | 205K $ | |
| 592 | GSK PLC | 3,639 | 200.8K $ | |
| 593 | Main Street Capital Corp. | 3,791 | 200.8K $ | |
| 594 | Viatris Inc | 13,381 | 180.8K $ | |
| 595 | Pimco Dynamic Income Fd | 10,029 | 171.6K $ | |
| 596 | Putnam Managed Municipal Income Trust | 27,700 | 170.4K $ | |
| 597 | ALEANNA INC | 20,000 | 165.8K $ | |
| 598 | Nuveen Municipal Value Fund Inc | 18,157 | 163.2K $ | |
| 599 | NUVEEN QUALITY MUN INCOME FD | 12,799 | 147.2K $ | |
| 600 | Invesco Preferred ETF | 13,210 | 143.7K $ | |