|
NuVasive
NUVA
|
$ 39.75
|
$ 2.07 B
|
$ 165 M
|
689.2
|
1.8
|
$ 0.1
|
|
|
Sonic Automotive
SAH
|
$ 59.06
|
$ 2.07 B
|
$ 575 M
|
11.8
|
0.2
|
$ 5.1
|
|
|
Pactiv Evergreen
PTVE
|
$ 11.6
|
$ 2.06 B
|
$ 772 M
|
8.0
|
0.3
|
$ 1.2
|
|
|
Core-Mark Holding Company, Inc.
CORE
|
$ 45.65
|
$ 2.06 B
|
$ 7.25 B
|
∙ |
∙ |
∙ |
|
|
AZZ
AZZ
|
$ 82.29
|
$ 2.06 B
|
$ 340 M
|
∙ |
∙ |
∙ |
|
|
TripAdvisor
TRIP
|
$ 14.77
|
$ 2.06 B
|
$ 214 M
|
∙ |
∙ |
∙ |
|
|
Vericel Corporation
VCEL
|
$ 43.19
|
$ 2.06 B
|
$ -17.9 M
|
∙ |
∙ |
∙ |
|
|
O-I Glass
OI
|
$ 13.27
|
$ 2.05 B
|
$ 605 M
|
7.1
|
0.3
|
$ 1.9
|
|
|
Hilltop Holdings
HTH
|
$ 31.55
|
$ 2.05 B
|
$ 38.8 M
|
∙ |
∙ |
∙ |
|
|
SpringWorks Therapeutics
SWTX
|
$ 32.28
|
$ 2.04 B
|
$ -311 M
|
∙ |
∙ |
∙ |
|
|
LeMaitre Vascular
LMAT
|
$ 91.71
|
$ 2.04 B
|
$ 47.8 M
|
55.3
|
9.2
|
$ 1.5
|
|
|
Huron Consulting Group
HURN
|
$ 108.01
|
$ 2.03 B
|
$ 181 M
|
20.4
|
1.4
|
$ 5.5
|
|
|
Barnes Group
B
|
$ 39.84
|
$ 2.03 B
|
$ 152 M
|
-42.0
|
1.4
|
$ -1.0
|
|
|
Five9
FIVN
|
$ 28.76
|
$ 2.03 B
|
$ -50.4 M
|
∙ |
∙ |
∙ |
|
|
Delek Logistics Partners, LP
DKL
|
$ 43.05
|
$ 2.03 B
|
$ 282 M
|
14.5
|
2.0
|
$ 3.0
|
|
|
Vocera Communications, Inc.
VCRA
|
$ 58.3
|
$ 2.03 B
|
$ -21.4 M
|
∙ |
∙ |
∙ |
|
|
Sapiens International Corporation N.V.
SPNS
|
$ 36.63
|
$ 2.03 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Flagstar Bancorp
FBC
|
$ 37.96
|
$ 2.02 B
|
$ 36 M
|
6.0
|
1.8
|
$ 6.4
|
|
|
Falcon Minerals Corporation
FLMN
|
$ 26.99
|
$ 2.02 B
|
$ 239 M
|
21.2
|
8.2
|
$ 1.3
|
|
|
Banner Corporation
BANR
|
$ 58.83
|
$ 2.02 B
|
$ 85.2 M
|
11.2
|
∙ |
$ 4.7
|
|
|
Ameresco
AMRC
|
$ 38.6
|
$ 2.01 B
|
$ 138 M
|
50.4
|
1.1
|
$ 0.6
|
|
|
Federal Agricultural Mortgage Corporation
AGM
|
$ 185.85
|
$ 2.01 B
|
∙ |
11.4
|
4.0
|
$ 16.5
|
|
|
New Fortress Energy
NFE
|
$ 9.77
|
$ 2.01 B
|
$ 815 M
|
∙ |
∙ |
∙ |
|
|
Stewart Information Services Corporation
STC
|
$ 74.34
|
$ 2.01 B
|
$ 62.5 M
|
∙ |
∙ |
∙ |
|
|
Worthington Industries
WOR
|
$ 40.83
|
$ 2.01 B
|
$ 176 M
|
15.7
|
1.0
|
$ 3.9
|
|
|
Viavi Solutions
VIAV
|
$ 9.03
|
$ 2.01 B
|
$ 64.3 M
|
∙ |
∙ |
∙ |
|
|
Liberty All-Star Equity Fund
USA
|
$ 7.1
|
$ 2.01 B
|
$ 2.76 B
|
∙ |
∙ |
∙ |
|
|
Cable One
CABO
|
$ 353.56
|
$ 2 B
|
$ 672 M
|
∙ |
∙ |
∙ |
|
|
Teekay Tankers Ltd.
TNK
|
$ 58.31
|
$ 1.99 B
|
$ 15.1 M
|
-12.6
|
2.5
|
$ -3.8
|
|
|
Score Media and Gaming Inc.
SCR
|
$ 35.58
|
$ 1.99 B
|
$ -25.8 M
|
∙ |
∙ |
∙ |
|
|
Aspen Aerogels
ASPN
|
$ 28.54
|
$ 1.98 B
|
$ -52.2 M
|
∙ |
∙ |
∙ |
|
|
PC Connection
CNXN
|
$ 75.26
|
$ 1.98 B
|
$ 114 M
|
22.3
|
0.7
|
$ 3.2
|
|
|
Brigham Minerals
MNRL
|
$ 32.62
|
$ 1.97 B
|
$ 227 M
|
17.1
|
8.0
|
$ 1.9
|
|
|
Compañía de Minas Buenaventura S.A.A.
BVN
|
$ 14.08
|
$ 1.96 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Retail Opportunity Investments Corp.
ROIC
|
$ 15.63
|
$ 1.95 B
|
$ 218 M
|
∙ |
∙ |
∙ |
|
|
Extreme Networks
EXTR
|
$ 15.1
|
$ 1.95 B
|
$ 19.7 M
|
∙ |
∙ |
∙ |
|
|
Omnicell
OMCL
|
$ 43.02
|
$ 1.95 B
|
$ 36.1 M
|
∙ |
∙ |
∙ |
|
|
Hillenbrand
HI
|
$ 27.8
|
$ 1.94 B
|
$ 83.7 M
|
∙ |
∙ |
∙ |
|
|
NBT Bancorp
NBTB
|
$ 43.51
|
$ 1.94 B
|
$ 6.37 M
|
16.8
|
∙ |
$ 2.6
|
|
|
Trillium Therapeutics Inc.
TRIL
|
$ 18.44
|
$ 1.94 B
|
$ 3.56 M
|
∙ |
∙ |
∙ |
|
|
Beam Therapeutics
BEAM
|
$ 25.05
|
$ 1.93 B
|
$ -398 M
|
∙ |
∙ |
∙ |
|
|
NuStar Logistics, L.P. SB NT FX/FL 43
NSS
|
$ 25.44
|
$ 1.92 B
|
$ 762 M
|
32.6
|
∙ |
$ 0.8
|
|
|
Leggett & Platt, Incorporated
LEG
|
$ 14.12
|
$ 1.92 B
|
$ 155 M
|
-3.7
|
0.4
|
$ -3.4
|
|
|
Merchants Bancorp
MBIN
|
$ 44.52
|
$ 1.92 B
|
$ 4.31 M
|
∙ |
∙ |
∙ |
|
|
The Cheesecake Factory Incorporated
CAKE
|
$ 39.8
|
$ 1.92 B
|
$ 260 M
|
∙ |
∙ |
∙ |
|
|
Donnelley Financial Solutions
DFIN
|
$ 65.62
|
$ 1.92 B
|
$ 252 M
|
∙ |
∙ |
∙ |
|
|
Central Garden & Pet Company
CENT
|
$ 36.65
|
$ 1.92 B
|
$ 336 M
|
17.3
|
0.6
|
$ 2.3
|
|
|
Quidel Corporation
QDEL
|
$ 45.55
|
$ 1.92 B
|
∙ |
∙ |
∙ |
∙ |
|
|
TTM Technologies
TTMI
|
$ 18.58
|
$ 1.91 B
|
$ 117 M
|
∙ |
∙ |
∙ |
|
|
National HealthCare Corporation
NHC
|
$ 124.01
|
$ 1.9 B
|
$ 105 M
|
∙ |
∙ |
∙ |
|
|
Kayne Anderson Energy Infrastructure Fund, Inc.
KYN
|
$ 11.2
|
$ 1.89 B
|
$ -101 M
|
∙ |
∙ |
∙ |
|
|
DiamondRock Hospitality Company
DRH
|
$ 8.95
|
$ 1.89 B
|
$ -369 M
|
∙ |
∙ |
∙ |
|
|
Cohen & Steers Quality Income Realty Fund, Inc.
RQI
|
$ 14.07
|
$ 1.89 B
|
$ -114 M
|
∙ |
∙ |
∙ |
|
|
Healthcare Trust
HTIA
|
$ 16.7
|
$ 1.89 B
|
$ -15.2 M
|
∙ |
∙ |
∙ |
|
|
Enterprise Financial Services Corp
EFSC
|
$ 50.44
|
$ 1.88 B
|
$ 7.78 M
|
∙ |
∙ |
∙ |
|
|
Navient Corporation
NAVI
|
$ 15.42
|
$ 1.88 B
|
∙ |
7.3
|
5.9
|
$ 2.2
|
|
|
GreenSky
GSKY
|
$ 10.2
|
$ 1.88 B
|
$ 172 M
|
18.2
|
13.5
|
$ 0.6
|
|
|
Magnite
MGNI
|
$ 13.72
|
$ 1.87 B
|
$ -41.2 M
|
∙ |
∙ |
∙ |
|
|
Vicor Corporation
VICR
|
$ 42.29
|
$ 1.87 B
|
$ 27.7 M
|
105.3
|
4.9
|
$ 0.4
|
|
|
Earthstone Energy
ESTE
|
$ 21.17
|
$ 1.87 B
|
$ 1.26 B
|
5.7
|
1.0
|
$ 3.7
|
|
|
Costamare
CMRE
|
$ 15.53
|
$ 1.87 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Nuveen Municipal Value Fund, Inc.
NUV
|
$ 9.0
|
$ 1.87 B
|
$ 341 M
|
∙ |
∙ |
∙ |
|
|
Edgewell Personal Care Company
EPC
|
$ 36.48
|
$ 1.87 B
|
$ 311 M
|
∙ |
∙ |
∙ |
|
|
Certara
CERT
|
$ 11.75
|
$ 1.87 B
|
$ -48.5 M
|
∙ |
∙ |
∙ |
|
|
Pinnacle Financial Partners
PNFPP
|
$ 24.56
|
$ 1.87 B
|
$ 31.1 M
|
∙ |
8.4
|
∙ |
|
|
Arcos Dorados Holdings
ARCO
|
$ 8.86
|
$ 1.87 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Intellia Therapeutics
NTLA
|
$ 21.0
|
$ 1.86 B
|
$ -420 M
|
∙ |
∙ |
∙ |
|
|
Nuveen Municipal Credit Income Fund
NZF
|
$ 13.01
|
$ 1.85 B
|
$ 285 M
|
∙ |
∙ |
∙ |
|
|
Popular Capital Trust II PFD GTD 6.125%
BPOPM
|
$ 25.83
|
$ 1.85 B
|
$ 3.12 M
|
∙ |
∙ |
∙ |
|
|
Weis Markets
WMK
|
$ 68.8
|
$ 1.85 B
|
$ 274 M
|
∙ |
∙ |
∙ |
|
|
JBG SMITH Properties
JBGS
|
$ 17.55
|
$ 1.84 B
|
$ 340 M
|
∙ |
∙ |
∙ |
|
|
QAD Inc.
QADA
|
$ 87.65
|
$ 1.84 B
|
$ 193 M
|
∙ |
∙ |
∙ |
|
|
Ferro Corporation
FOE
|
$ 22.01
|
$ 1.84 B
|
$ 322 M
|
∙ |
∙ |
∙ |
|
|
Cornerstone Strategic Value Fund, Inc.
CLM
|
$ 7.63
|
$ 1.84 B
|
$ -106 M
|
∙ |
∙ |
∙ |
|
|
Apollo Medical Holdings
AMEH
|
$ 40.82
|
$ 1.84 B
|
$ 135 M
|
30.5
|
1.3
|
$ 1.3
|
|
|
KAR Auction Services
KAR
|
$ 16.77
|
$ 1.83 B
|
$ 43.2 M
|
-20.3
|
1.0
|
$ -0.7
|
|
|
Eaton Vance Tax-Advantaged Dividend Income Fund
EVT
|
$ 24.53
|
$ 1.83 B
|
$ 264 M
|
∙ |
∙ |
∙ |
|
|
La-Z-Boy Incorporated
LZB
|
$ 42.56
|
$ 1.82 B
|
$ 195 M
|
∙ |
∙ |
∙ |
|
|
Revolve Group
RVLV
|
$ 24.99
|
$ 1.82 B
|
$ 61.7 M
|
34.4
|
1.2
|
$ 0.5
|
|
|
MGP Ingredients
MGPI
|
$ 82.63
|
$ 1.82 B
|
$ 158 M
|
∙ |
∙ |
∙ |
|
|
Kosmos Energy Ltd.
KOS
|
$ 3.96
|
$ 1.82 B
|
$ 896 M
|
8.2
|
1.3
|
$ 0.6
|
|
|
NeoGenomics
NEO
|
$ 14.5
|
$ 1.82 B
|
$ -70.8 M
|
∙ |
∙ |
∙ |
|
|
Great Western Bancorp, Inc.
GWB
|
$ 33.0
|
$ 1.82 B
|
$ -6.39 M
|
∙ |
∙ |
∙ |
|
|
National Western Life Group
NWLI
|
$ 499.98
|
$ 1.82 B
|
$ 30.7 M
|
∙ |
2.7
|
∙ |
|
|
Micro Focus International plc
MFGP
|
$ 6.48
|
$ 1.81 B
|
∙ |
∙ |
∙ |
∙ |
|
|
STAAR Surgical Company
STAA
|
$ 37.23
|
$ 1.81 B
|
$ 38.7 M
|
∙ |
∙ |
∙ |
|
|
Inseego Corp.
INSG
|
$ 17.49
|
$ 1.81 B
|
$ 264 K
|
-2.4
|
0.4
|
$ -0.4
|
|
|
BRP Group
BRP
|
$ 30.02
|
$ 1.81 B
|
$ 64.3 M
|
-48.4
|
1.3
|
$ -0.6
|
|
|
Veeco Instruments
VECO
|
$ 33.53
|
$ 1.8 B
|
$ 94 M
|
∙ |
∙ |
∙ |
|
|
BP Midstream Partners LP
BPMP
|
$ 17.11
|
$ 1.79 B
|
$ 9.72 M
|
∙ |
∙ |
∙ |
|
|
HighPeak Energy
HPK
|
$ 15.84
|
$ 1.79 B
|
$ 890 M
|
∙ |
∙ |
∙ |
|
|
Tennant Company
TNC
|
$ 96.58
|
$ 1.79 B
|
$ 175 M
|
∙ |
∙ |
∙ |
|
|
Stepan Company
SCL
|
$ 78.21
|
$ 1.78 B
|
$ 297 M
|
34.6
|
0.8
|
$ 2.1
|
|
|
Stock Yards Bancorp
SYBT
|
$ 60.95
|
$ 1.78 B
|
$ 6.83 M
|
∙ |
∙ |
∙ |
|
|
EVO Payments
EVOP
|
$ 33.99
|
$ 1.77 B
|
$ 238 M
|
-846.2
|
3.4
|
$ -0.0
|
|
|
Pandion Therapeutics, Inc.
PAND
|
$ 60.05
|
$ 1.77 B
|
∙ |
∙ |
∙ |
∙ |
|
|
IDEAYA Biosciences
IDYA
|
$ 30.8
|
$ 1.77 B
|
$ -180 M
|
∙ |
∙ |
∙ |
|
|
Maiden Holdings North America, Ltd.
MHNC
|
$ 17.47
|
$ 1.77 B
|
$ 4.97 M
|
∙ |
∙ |
∙ |
|
|
Five Prime Therapeutics, Inc.
FPRX
|
$ 38.0
|
$ 1.77 B
|
$ 17.3 M
|
∙ |
∙ |
∙ |
|
|
GenMark Diagnostics, Inc.
GNMK
|
$ 24.04
|
$ 1.77 B
|
$ -54.6 M
|
∙ |
∙ |
∙ |
|
|
Cardtronics plc
CATM
|
$ 39.01
|
$ 1.77 B
|
$ -8.83 M
|
∙ |
∙ |
∙ |
|
|
Fox Factory Holding Corp.
FOXF
|
$ 41.81
|
$ 1.77 B
|
$ 266 M
|
∙ |
∙ |
∙ |
|
|
Empire State Realty Trust
ESRT
|
$ 10.95
|
$ 1.76 B
|
$ 323 M
|
33.6
|
2.1
|
$ 0.3
|
|
|
Winnebago Industries
WGO
|
$ 58.21
|
$ 1.76 B
|
$ 263 M
|
16.9
|
0.6
|
$ 4.1
|
|
|
Tri-Continental Corporation
TY
|
$ 32.87
|
$ 1.76 B
|
$ 654 M
|
∙ |
∙ |
∙ |
|
|
Peloton Interactive
PTON
|
$ 4.81
|
$ 1.76 B
|
$ -1.42 B
|
-1.4
|
0.4
|
$ -2.2
|
|
|
Kiniksa Pharmaceuticals, Ltd.
KNSA
|
$ 25.0
|
$ 1.75 B
|
$ -29.6 M
|
-86.4
|
5.6
|
$ -0.3
|
|
|
Luminex Corporation
LMNX
|
$ 36.99
|
$ 1.75 B
|
$ 663 K
|
∙ |
∙ |
∙ |
|
|
Meta Financial Group
CASH
|
$ 65.2
|
$ 1.75 B
|
$ 18.1 M
|
8.8
|
2.2
|
$ 7.0
|
|
|
Columbia Financial
CLBK
|
$ 17.01
|
$ 1.75 B
|
$ 2.97 M
|
∙ |
∙ |
∙ |
|
|
Grocery Outlet Holding Corp.
GO
|
$ 17.67
|
$ 1.74 B
|
$ 162 M
|
∙ |
∙ |
∙ |
|
|
Papa John's International
PZZA
|
$ 52.94
|
$ 1.74 B
|
$ 197 M
|
∙ |
∙ |
∙ |
|
|
WesBanco
WSBC
|
$ 29.38
|
$ 1.74 B
|
$ 8.71 M
|
∙ |
∙ |
∙ |
|
|
SJW Group
SJW
|
$ 57.48
|
$ 1.74 B
|
$ 253 M
|
∙ |
∙ |
∙ |
|
|
Trupanion
TRUP
|
$ 42.7
|
$ 1.74 B
|
$ -13.8 M
|
∙ |
∙ |
∙ |
|
|
City Holding Company
CHCO
|
$ 116.7
|
$ 1.74 B
|
$ 7.7 M
|
13.8
|
∙ |
$ 8.1
|
|
|
H&E Equipment Services
HEES
|
$ 48.06
|
$ 1.73 B
|
$ 253 M
|
∙ |
∙ |
∙ |
|
|
Bonanza Creek Energy, Inc.
BCEI
|
$ 56.1
|
$ 1.73 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Uranium Energy Corp.
UEC
|
$ 6.37
|
$ 1.73 B
|
$ -15.9 M
|
-48.0
|
49.6
|
$ -0.1
|
|
|
MYR Group
MYRG
|
$ 102.75
|
$ 1.71 B
|
$ 86.3 M
|
∙ |
∙ |
∙ |
|
|
Nuveen California Quality Municipal Income Fund
NAC
|
$ 11.85
|
$ 1.71 B
|
$ -3.08 M
|
∙ |
∙ |
∙ |
|
|
DHT Holdings
DHT
|
$ 11.07
|
$ 1.71 B
|
$ 47 M
|
-401.7
|
6.4
|
$ -0.0
|
|
|
Danaos Corporation
DAC
|
$ 85.98
|
$ 1.71 B
|
$ 324 M
|
2.6
|
2.4
|
$ 22.6
|
|
|
PagerDuty
PD
|
$ 18.48
|
$ 1.71 B
|
$ -70 M
|
-23.4
|
4.1
|
$ -0.8
|
|
|
Virtus Investment Partners
VRTS
|
$ 230.41
|
$ 1.7 B
|
$ 184 M
|
∙ |
∙ |
∙ |
|
|
Kadmon Holdings, Inc.
KDMN
|
$ 9.5
|
$ 1.7 B
|
∙ |
∙ |
∙ |
∙ |
|
|
BGC Partners
BGCP
|
$ 4.43
|
$ 1.69 B
|
$ 33.6 M
|
27.7
|
0.8
|
$ 0.2
|
|
|
Resolute Forest Products
RFP
|
$ 21.92
|
$ 1.69 B
|
$ 867 M
|
2.7
|
0.4
|
$ 8.2
|
|
|
The Andersons
ANDE
|
$ 50.08
|
$ 1.69 B
|
$ 231 M
|
15.0
|
0.1
|
$ 3.1
|
|
|
Ligand Pharmaceuticals Incorporated
LGND
|
$ 97.37
|
$ 1.68 B
|
$ 124 M
|
∙ |
∙ |
∙ |
|
|
First Bancorp
FBNC
|
$ 41.3
|
$ 1.68 B
|
$ 7.69 M
|
∙ |
∙ |
∙ |
|
|
CareTrust REIT
CTRE
|
$ 17.27
|
$ 1.68 B
|
$ 51.4 M
|
∙ |
∙ |
∙ |
|
|
Northwest Bancshares
NWBI
|
$ 13.18
|
$ 1.67 B
|
$ 6.92 M
|
∙ |
∙ |
∙ |
|
|
Extraction Oil & Gas, Inc.
XOG
|
$ 64.92
|
$ 1.67 B
|
∙ |
∙ |
∙ |
∙ |
|
|
AMN Healthcare Services
AMN
|
$ 42.57
|
$ 1.67 B
|
$ 744 M
|
10.6
|
0.8
|
$ 8.5
|
|
|
Compass Diversified
CODI
|
$ 22.09
|
$ 1.66 B
|
$ 335 M
|
∙ |
∙ |
∙ |
|
|
LiveRamp Holdings
RAMP
|
$ 25.09
|
$ 1.66 B
|
$ -30.9 M
|
179.5
|
2.7
|
$ 0.2
|
|
|
Keros Therapeutics
KROS
|
$ 56.45
|
$ 1.66 B
|
$ -145 M
|
∙ |
∙ |
∙ |
|
|
NovoCure Limited
NVCR
|
$ 15.61
|
$ 1.66 B
|
$ -185 M
|
∙ |
∙ |
∙ |
|
|
Sprout Social
SPT
|
$ 29.07
|
$ 1.66 B
|
$ -46.9 M
|
∙ |
9.2
|
∙ |
|
|
MannKind Corporation
MNKD
|
$ 6.2
|
$ 1.66 B
|
$ 45.4 M
|
∙ |
∙ |
∙ |
|
|
Pebblebrook Hotel Trust
PEB
|
$ 13.55
|
$ 1.65 B
|
$ 25.9 M
|
∙ |
∙ |
∙ |
|
|
Supernus Pharmaceuticals
SUPN
|
$ 30.75
|
$ 1.65 B
|
$ 32.5 M
|
∙ |
∙ |
∙ |
|
|
Lakeland Financial Corporation
LKFN
|
$ 64.17
|
$ 1.64 B
|
$ 9.08 M
|
∙ |
∙ |
∙ |
|
|
Knowles Corporation
KN
|
$ 18.04
|
$ 1.64 B
|
$ -155 M
|
∙ |
∙ |
∙ |
|
|
Verint Systems
VRNT
|
$ 25.57
|
$ 1.64 B
|
$ 97.5 M
|
∙ |
∙ |
∙ |
|
|
StoneX Group
SNEX
|
$ 81.95
|
$ 1.64 B
|
$ 24.1 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Capital Allocation Trust
BCAT
|
$ 15.12
|
$ 1.64 B
|
$ -2.91 M
|
∙ |
∙ |
∙ |
|
|
Constellation Pharmaceuticals, Inc.
CNST
|
$ 33.99
|
$ 1.63 B
|
$ -14 M
|
∙ |
∙ |
∙ |
|
|
Xenia Hotels & Resorts
XHR
|
$ 15.05
|
$ 1.63 B
|
$ 231 M
|
∙ |
∙ |
∙ |
|
|
Forestar Group
FOR
|
$ 32.56
|
$ 1.63 B
|
$ 5.1 M
|
∙ |
∙ |
∙ |
|
|
Lightspeed POS
LSPD
|
$ 16.76
|
$ 1.63 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Helix Energy Solutions Group
HLX
|
$ 10.8
|
$ 1.62 B
|
$ 170 M
|
66.0
|
1.4
|
$ 0.2
|
|
|
OneSpaWorld Holdings Limited
OSW
|
$ 16.56
|
$ 1.62 B
|
$ 85 M
|
28.4
|
1.8
|
$ 0.6
|
|
|
Harmonic
HLIT
|
$ 14.49
|
$ 1.62 B
|
$ 43.5 M
|
∙ |
∙ |
∙ |
|
|
Sierra Wireless
SWIR
|
$ 30.99
|
$ 1.62 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Taro Pharmaceutical Industries Ltd.
TARO
|
$ 42.97
|
$ 1.62 B
|
$ 109 M
|
18.3
|
4.5
|
$ 1.6
|
|
|
Chipotle Mexican Grill
CMG
|
$ 57.34
|
$ 1.61 B
|
$ 2.15 B
|
2.1
|
0.1
|
$ 24.2
|
|
|
Progyny
PGNY
|
$ 16.8
|
$ 1.61 B
|
$ 37.1 M
|
∙ |
∙ |
∙ |
|
|
Hollysys Automation Technologies Ltd.
HOLI
|
$ 26.42
|
$ 1.61 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Star Bulk Carriers Corp. 8.30% SR NT 22
SBLKZ
|
$ 25.39
|
$ 1.61 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Safehold
SAFE
|
$ 26.31
|
$ 1.61 B
|
$ 137 M
|
10.2
|
7.1
|
$ 2.2
|
|
|
Preferred Apartment Communities
APTS
|
$ 24.96
|
$ 1.61 B
|
$ 264 M
|
-3.8
|
39.1
|
$ -6.5
|
|
|
Monmouth Real Estate Investment Corporation
MNR
|
$ 16.37
|
$ 1.61 B
|
$ -8.9 M
|
∙ |
∙ |
∙ |
|
|
Tivity Health
TVTY
|
$ 32.13
|
$ 1.6 B
|
$ 156 M
|
18.5
|
3.2
|
$ 1.7
|
|
|
S&T Bancorp
STBA
|
$ 41.12
|
$ 1.6 B
|
$ 9.88 M
|
∙ |
∙ |
∙ |
|
|
Genesis Energy, L.P.
GEL
|
$ 13.08
|
$ 1.6 B
|
$ 633 M
|
79.2
|
0.5
|
$ 0.2
|
|
|
The Greenbrier Companies
GBX
|
$ 50.04
|
$ 1.6 B
|
$ 290 M
|
∙ |
∙ |
∙ |
|
|
American Assets Trust
AAT
|
$ 26.57
|
$ 1.6 B
|
$ 245 M
|
∙ |
∙ |
∙ |
|
|
NextGen Healthcare
NXGN
|
$ 23.94
|
$ 1.6 B
|
$ 27.9 M
|
∙ |
∙ |
∙ |
|
|
CareDx, Inc
CDNA
|
$ 29.7
|
$ 1.6 B
|
$ -71.2 M
|
∙ |
∙ |
∙ |
|
|
First Commonwealth Financial Corporation
FCF
|
$ 16.7
|
$ 1.6 B
|
$ 5.44 M
|
∙ |
∙ |
∙ |
|
|
Forterra, Inc.
FRTA
|
$ 23.82
|
$ 1.6 B
|
$ 607 M
|
∙ |
∙ |
∙ |
|
|
REV Group
REVG
|
$ 27.2
|
$ 1.6 B
|
$ 132 M
|
∙ |
∙ |
∙ |
|
|
Mirum Pharmaceuticals
MIRM
|
$ 38.85
|
$ 1.59 B
|
$ -84.9 M
|
∙ |
∙ |
∙ |
|
|
Pimco Dynamic Income Opportunities Fund
PDO
|
$ 14.07
|
$ 1.59 B
|
$ 206 M
|
∙ |
∙ |
∙ |
|
|
Itamar Medical Ltd.
ITMR
|
$ 30.65
|
$ 1.58 B
|
$ 3.21 M
|
∙ |
∙ |
∙ |
|
|
Getty Realty Corp.
GTY
|
$ 31.6
|
$ 1.58 B
|
$ 145 M
|
∙ |
∙ |
∙ |
|
|
Xerox Holdings Corporation
XRX
|
$ 10.58
|
$ 1.58 B
|
$ 243 M
|
∙ |
∙ |
∙ |
|
|
Dana Incorporated
DAN
|
$ 10.92
|
$ 1.58 B
|
$ 791 M
|
∙ |
∙ |
∙ |
|
|
Benchmark Electronics
BHE
|
$ 44.78
|
$ 1.58 B
|
$ 107 M
|
18.6
|
0.3
|
$ 1.3
|
|
|
Gentherm Incorporated
THRM
|
$ 48.0
|
$ 1.57 B
|
$ 131 M
|
∙ |
∙ |
∙ |
|
|
The Chefs' Warehouse
CHEF
|
$ 41.8
|
$ 1.57 B
|
$ 130 M
|
∙ |
∙ |
∙ |
|
|
National Bank Holdings Corporation
NBHC
|
$ 41.37
|
$ 1.57 B
|
$ 12 M
|
∙ |
∙ |
∙ |
|
|
Millicom International Cellular S.A.
TIGO
|
$ 27.76
|
$ 1.56 B
|
∙ |
∙ |
∙ |
∙ |
|
|
BTRS Holdings
BTRS
|
$ 9.49
|
$ 1.56 B
|
$ -71.7 M
|
-20.2
|
8.3
|
$ -0.5
|
|
|
Sprott
SII
|
$ 44.6
|
$ 1.56 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Eldorado Gold Corporation
EGO
|
$ 17.6
|
$ 1.56 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Studio City International Holdings Limited
MSC
|
$ 7.39
|
$ 1.56 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Blue Bird Corporation
BLBD
|
$ 48.45
|
$ 1.55 B
|
$ 29.1 M
|
∙ |
∙ |
∙ |
|
|
Sonos
SONO
|
$ 12.15
|
$ 1.55 B
|
$ 336 M
|
6.1
|
0.9
|
$ 3.2
|
|
|
Helios Technologies
HLIO
|
$ 47.15
|
$ 1.55 B
|
$ 134 M
|
∙ |
∙ |
∙ |
|
|
Rocket Pharmaceuticals
RCKT
|
$ 18.46
|
$ 1.55 B
|
$ -266 M
|
∙ |
∙ |
∙ |
|
|
Mack-Cali Realty Corporation
CLI
|
$ 17.04
|
$ 1.55 B
|
$ 652 M
|
∙ |
∙ |
∙ |
|
|
The GEO Group
GEO
|
$ 12.71
|
$ 1.55 B
|
$ 461 M
|
∙ |
∙ |
∙ |
|
|
Waddell & Reed Financial, Inc.
WDR
|
$ 24.98
|
$ 1.55 B
|
$ 156 M
|
∙ |
∙ |
∙ |
|
|
Kennedy-Wilson Holdings
KW
|
$ 11.14
|
$ 1.55 B
|
$ 173 M
|
∙ |
∙ |
∙ |
|
|
American Woodmark Corporation
AMWD
|
$ 92.96
|
$ 1.54 B
|
$ 225 M
|
∙ |
∙ |
∙ |
|
|
Infinera Corporation
INFN
|
$ 6.78
|
$ 1.54 B
|
$ -24.5 M
|
∙ |
∙ |
∙ |
|
|
Washington Real Estate Investment Trust
WRE
|
$ 17.57
|
$ 1.54 B
|
$ 69.9 M
|
∙ |
∙ |
∙ |
|
|
BlackRock Enhanced Equity Dividend Trust
BDJ
|
$ 8.21
|
$ 1.53 B
|
$ 328 M
|
∙ |
∙ |
∙ |
|
|
Marcus & Millichap
MMI
|
$ 39.56
|
$ 1.53 B
|
$ -40.4 M
|
∙ |
∙ |
∙ |
|
|
NetScout Systems
NTCT
|
$ 21.38
|
$ 1.53 B
|
$ -511 M
|
∙ |
∙ |
∙ |
|
|
Royce Value Trust Inc.
RVT
|
$ 15.55
|
$ 1.53 B
|
$ 4.51 M
|
∙ |
∙ |
∙ |
|
|
Apogee Enterprises
APOG
|
$ 69.81
|
$ 1.53 B
|
$ 194 M
|
∙ |
∙ |
∙ |
|
|
Blackrock Municipal 2030 Target Term Trust
BTT
|
$ 21.65
|
$ 1.53 B
|
$ -55.9 M
|
∙ |
∙ |
∙ |
|
|
Global Partners LP
GLP
|
$ 44.7
|
$ 1.52 B
|
$ 451 M
|
∙ |
0.1
|
∙ |
|
|
Monarch Casino & Resort
MCRI
|
$ 78.92
|
$ 1.52 B
|
$ 41.7 M
|
∙ |
∙ |
∙ |
|
|
Kimbell Royalty Partners, LP
KRP
|
$ 15.89
|
$ 1.52 B
|
$ 208 M
|
7.9
|
4.9
|
$ 2.0
|
|
|
CTS Corporation
CTS
|
$ 48.38
|
$ 1.52 B
|
$ 89.6 M
|
∙ |
∙ |
∙ |
|
|
Allegiance Bancshares
ABTX
|
$ 41.63
|
$ 1.51 B
|
$ 5.29 M
|
11.0
|
∙ |
$ 3.8
|
|
|
CBTX
CBTX
|
$ 28.67
|
$ 1.51 B
|
$ 28.1 M
|
∙ |
∙ |
∙ |
|
|
Steelcase
SCS
|
$ 13.25
|
$ 1.51 B
|
$ 160 M
|
∙ |
∙ |
∙ |
|
|
LTC Properties
LTC
|
$ 36.62
|
$ 1.51 B
|
$ 109 M
|
∙ |
∙ |
∙ |
|
|
Desktop Metal
DM
|
$ 4.69
|
$ 1.51 B
|
$ -222 M
|
∙ |
∙ |
∙ |
|
|
World Fuel Services Corporation
INT
|
$ 24.26
|
$ 1.51 B
|
$ 412 M
|
∙ |
∙ |
∙ |
|
|
US Ecology, Inc.
ECOL
|
$ 47.99
|
$ 1.5 B
|
$ 1.82 B
|
∙ |
∙ |
∙ |
|
|
Napco Security Technologies
NSSC
|
$ 40.91
|
$ 1.5 B
|
$ 52.1 M
|
∙ |
∙ |
∙ |
|
|
New Frontier Health Corporation
NFH
|
$ 11.4
|
$ 1.5 B
|
$ 1.17 B
|
∙ |
∙ |
∙ |
|
|
Photronics
PLAB
|
$ 24.8
|
$ 1.5 B
|
$ 430 M
|
∙ |
∙ |
∙ |
|
|
AdaptHealth Corp.
AHCO
|
$ 11.14
|
$ 1.49 B
|
$ 53.9 M
|
∙ |
∙ |
∙ |
|
|
Sumo Logic
SUMO
|
$ 12.04
|
$ 1.49 B
|
$ -115 M
|
-10.7
|
5.1
|
$ -1.1
|
|
|
Century Aluminum Company
CENX
|
$ 16.15
|
$ 1.49 B
|
$ -36.2 M
|
∙ |
∙ |
∙ |
|
|
Rent-A-Center
RCII
|
$ 27.43
|
$ 1.49 B
|
$ 336 M
|
72.2
|
0.4
|
$ 0.4
|
|
|
Meridian Bioscience
VIVO
|
$ 33.97
|
$ 1.49 B
|
$ 52.9 M
|
56.6
|
4.6
|
$ 0.6
|
|
|
Kraton Corporation
KRA
|
$ 46.3
|
$ 1.49 B
|
$ 5.92 B
|
∙ |
∙ |
∙ |
|
|
FBL Financial Group, Inc.
FFG
|
$ 60.99
|
$ 1.49 B
|
$ 530 K
|
∙ |
∙ |
∙ |
|
|
Madison Square Garden Entertainment Corp.
MSGE
|
$ 42.14
|
$ 1.49 B
|
$ 169 M
|
-12.5
|
1.2
|
$ -2.7
|
|
|
Hope Bancorp
HOPE
|
$ 12.4
|
$ 1.49 B
|
$ 31 M
|
∙ |
∙ |
∙ |
|
|
Akero Therapeutics
AKRO
|
$ 28.24
|
$ 1.48 B
|
$ -115 M
|
∙ |
∙ |
∙ |
|
|
Brookdale Senior Living
BKD
|
$ 6.59
|
$ 1.48 B
|
$ 420 M
|
∙ |
∙ |
∙ |
|
|
Ladder Capital Corp
LADR
|
$ 11.88
|
$ 1.48 B
|
$ 32.8 M
|
13.3
|
927.4
|
$ 0.9
|
|
|
Bluegreen Vacations Holding Corporation
BVH
|
$ 75.0
|
$ 1.48 B
|
$ 40.6 M
|
15.9
|
1.4
|
$ 4.6
|
|
|
Ingevity Corporation
NGVT
|
$ 40.42
|
$ 1.48 B
|
$ 467 M
|
∙ |
∙ |
∙ |
|
|
Perdoceo Education Corporation
PRDO
|
$ 22.17
|
$ 1.47 B
|
$ 198 M
|
∙ |
∙ |
∙ |
|
|
Eaton Vance Tax-Advantaged Global Dividend Income Fund
ETG
|
$ 19.27
|
$ 1.47 B
|
$ -1.15 M
|
∙ |
∙ |
∙ |
|
|
BlackBerry Limited
BB
|
$ 2.52
|
$ 1.47 B
|
$ -52 M
|
∙ |
∙ |
∙ |
|
|
Helen of Troy Limited
HELE
|
$ 61.69
|
$ 1.47 B
|
$ 276 M
|
∙ |
∙ |
∙ |
|
|
Teekay LNG Partners L.P.
TGP
|
$ 16.9
|
$ 1.47 B
|
$ 897 M
|
∙ |
∙ |
∙ |
|
|
RLJ Lodging Trust
RLJ
|
$ 9.42
|
$ 1.47 B
|
$ 281 M
|
∙ |
∙ |
∙ |
|
|
Horace Mann Educators Corporation
HMN
|
$ 35.53
|
$ 1.47 B
|
$ 17.7 M
|
48.4
|
0.9
|
$ 0.7
|
|
|
Bloomin' Brands
BLMN
|
$ 16.8
|
$ 1.47 B
|
$ 465 M
|
∙ |
∙ |
∙ |
|
|
Northwest Natural Holding Company
NWN
|
$ 40.46
|
$ 1.47 B
|
$ 250 M
|
∙ |
∙ |
∙ |
|
|
BioCryst Pharmaceuticals
BCRX
|
$ 7.62
|
$ 1.46 B
|
$ -93.3 M
|
∙ |
∙ |
∙ |
|
|
SFL Corporation Ltd.
SFL
|
$ 11.59
|
$ 1.46 B
|
$ 120 M
|
11.8
|
9.5
|
$ 0.9
|
|
|
Ardelyx
ARDX
|
$ 6.65
|
$ 1.46 B
|
$ -97.4 M
|
∙ |
∙ |
∙ |
|
|
Renasant Corporation
RNST
|
$ 26.06
|
$ 1.46 B
|
$ 12 M
|
∙ |
∙ |
∙ |
|
|
InMode Ltd.
INMD
|
$ 17.43
|
$ 1.46 B
|
∙ |
∙ |
∙ |
∙ |
|
|
Pieris Pharmaceuticals
PIRS
|
$ 16.16
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$ 1.46 B
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$ -42.5 M
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PAR Technology Corporation
PAR
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$ 52.75
|
$ 1.45 B
|
$ -57.9 M
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