| 201 | BGC Group Inc | 107 965 | 1,1 M $ | |
| 202 | iShares Trust | 3 174 | 1 M $ | |
| 203 | Aflac Inc | 9 405 | 1 M $ | |
| 204 | Sonoco Products Co | 19 052 | 1 M $ | |
| 205 | Shell PLC | 11 060 | 1 M $ | |
| 206 | Avery Dennison Corp | 5 954 | 1 M $ | |
| 207 | eBay Inc | 11 267 | 1 M $ | |
| 208 | Ligand Pharmaceuticals Inc | 5 035 | 1 M $ | |
| 209 | RLI Corp | 17 406 | 992,8 k $ | |
| 210 | Graco Inc | 11 554 | 978 k $ | |
| 211 | YETI Holdings Inc | 26 283 | 961,7 k $ | |
| 212 | Asure Software Inc | 111 760 | 961,1 k $ | |
| 213 | ICU Medical Inc | 7 377 | 952,7 k $ | |
| 214 | Watsco Inc | 2 613 | 950,6 k $ | |
| 215 | GoDaddy Inc | 11 477 | 948,8 k $ | |
| 216 | Cognex Corp | 18 857 | 923,8 k $ | |
| 217 | Stryker Corp | 2 806 | 922 k $ | |
| 218 | Pfizer Inc | 32 738 | 919,3 k $ | |
| 219 | AutoZone Inc | 257 | 868,1 k $ | |
| 220 | State Street Health Care Select Sector SPDR ETF | 5 909 | 866,3 k $ | |
| 221 | Kroger Co/The | 11 965 | 865,8 k $ | |
| 222 | First Trust Exchange-Traded Fund VI | 5 707 | 841,6 k $ | |
| 223 | Tetra Tech Inc | 27 886 | 839,9 k $ | |
| 224 | Boston Scientific Corp | 12 912 | 810,2 k $ | |
| 225 | First Trust NASDAQ Clean Edge Smart Grid Infrastructure Index Fund | 4 939 | 807,9 k $ | |
| 226 | Dorman Products Inc | 7 642 | 797,5 k $ | |
| 227 | Kimberly-Clark Corp | 8 259 | 796,7 k $ | |
| 228 | iShares Russell 2000 Value ETF | 4 188 | 794 k $ | |
| 229 | Barrett Business Services Inc | 27 085 | 790,3 k $ | |
| 230 | Matthews International Corp | 30 435 | 785,8 k $ | |
| 231 | Verra Mobility Corp | 54 780 | 782,8 k $ | |
| 232 | Rockwell Automation Inc | 2 162 | 775,9 k $ | |
| 233 | State Street Materials Select Sector SPDR ETF | 15 424 | 770,7 k $ | |
| 234 | SiteOne Landscape Supply Inc | 5 747 | 765 k $ | |
| 235 | Dexcom Inc | 11 995 | 753,3 k $ | |
| 236 | Texas Instruments Inc | 3 874 | 752,1 k $ | |
| 237 | VANGUARD WORLD FUND | 2 053 | 737,1 k $ | |
| 238 | Select Sector Spdr Trust | 14 922 | 736,7 k $ | |
| 239 | I3 Verticals Inc | 32 386 | 724,2 k $ | |
| 240 | Lantheus Holdings Inc | 9 420 | 714,5 k $ | |
| 241 | Hayward Holdings Inc | 53 314 | 713,3 k $ | |
| 242 | Brown & Brown Inc | 10 901 | 710,9 k $ | |
| 243 | Brown-Forman Corp | 26 417 | 698,5 k $ | |
| 244 | Insight Enterprises Inc | 10 303 | 690,4 k $ | |
| 245 | Arista Networks Inc | 5 621 | 690,1 k $ | |
| 246 | Masco Corp | 11 380 | 687 k $ | |
| 247 | Zebra Technologies Corp | 3 271 | 683,9 k $ | |
| 248 | 3M Co | 4 706 | 683,5 k $ | |
| 249 | Colgate-Palmolive Co | 7 984 | 680,5 k $ | |
| 250 | Live Nation Entertainment Inc | 4 460 | 680,2 k $ | |
| 251 | Powerfleet Inc NJ | 220 152 | 678,1 k $ | |
| 252 | Cardinal Health, Inc. | 3 188 | 673,7 k $ | |
| 253 | Motorcar Parts of America Inc | 58 492 | 646,9 k $ | |
| 254 | Marathon Petroleum Corp | 2 637 | 643,9 k $ | |
| 255 | Emerson Electric Co. | 4 815 | 630,9 k $ | |
| 256 | Netflix Inc | 6 516 | 626,5 k $ | |
| 257 | Tractor Supply Co | 13 681 | 619,7 k $ | |
| 258 | Wells Fargo & Co | 7 734 | 615,7 k $ | |
| 259 | PTC Inc | 4 319 | 615,4 k $ | |
| 260 | Hilton Worldwide Holdings Inc | 1 998 | 607,6 k $ | |
| 261 | Jefferies Financial Group Inc | 14 710 | 607,1 k $ | |
| 262 | Elevance Health Inc | 2 059 | 602,8 k $ | |
| 263 | General Dynamics Corp | 1 742 | 597,9 k $ | |
| 264 | Altria Group, Inc. | 9 012 | 594,7 k $ | |
| 265 | Cummins Inc | 1 093 | 588,1 k $ | |
| 266 | Henry Schein Inc | 7 953 | 586,1 k $ | |
| 267 | iShares Trust | 5 177 | 585,6 k $ | |
| 268 | Interparfums Inc | 6 419 | 583,1 k $ | |
| 269 | iShares Trust | 4 896 | 579,9 k $ | |
| 270 | Global X Funds | 17 439 | 579,3 k $ | |
| 271 | Fidelity Wise Origin Bitcoin Fund | 9 763 | 576,3 k $ | |
| 272 | Astronics Corp | 8 599 | 573,8 k $ | |
| 273 | ACI Worldwide Inc | 13 904 | 570,2 k $ | |
| 274 | United Parcel Service Inc | 5 709 | 561,7 k $ | |
| 275 | Keurig Dr Pepper Inc | 21 216 | 558,6 k $ | |
| 276 | iShares Silver Trust | 8 197 | 558,5 k $ | |
| 277 | Axos Financial Inc | 6 528 | 555,5 k $ | |
| 278 | Tyler Technologies Inc | 1 618 | 554 k $ | |
| 279 | Jack Henry & Associates Inc | 3 476 | 549,3 k $ | |
| 280 | Select Sector Spdr Trust | 3 354 | 542,4 k $ | |
| 281 | Itron Inc | 6 037 | 541,1 k $ | |
| 282 | Manhattan Associates Inc | 4 050 | 539,1 k $ | |
| 283 | iShares Trust | 5 532 | 537,9 k $ | |
| 284 | Adobe Inc | 2 190 | 532,3 k $ | |
| 285 | CBRE Group Inc | 3 888 | 526,7 k $ | |
| 286 | StoneX Group Inc | 6 435 | 519 k $ | |
| 287 | iShares Core MSCI EAFE ETF | 5 667 | 513 k $ | |
| 288 | AT&T Inc | 17 503 | 507,4 k $ | |
| 289 | iShares Core High Dividend ETF | 3 738 | 507,3 k $ | |
| 290 | First Trust Exchange-Traded Fund II | 10 219 | 506,8 k $ | |
| 291 | OPENLANE Inc | 17 220 | 502 k $ | |
| 292 | Corteva Inc | 5 993 | 501,7 k $ | |
| 293 | Booking Holdings Inc | 119 | 501 k $ | |
| 294 | First Horizon Corp | 21 983 | 500,3 k $ | |
| 295 | Palantir Technologies Inc | 3 395 | 496,6 k $ | |
| 296 | Live Oak Bancshares Inc | 14 722 | 486,9 k $ | |
| 297 | Novo Nordisk A/S | 13 132 | 482,6 k $ | |
| 298 | Group 1 Automotive Inc | 1 441 | 476,4 k $ | |
| 299 | Information Services Group Inc | 122 397 | 470 k $ | |
| 300 | Micron Technology Inc | 1 391 | 469,9 k $ | |