🇺🇸 US Stock Screener ← Switch market ★ Elite Club ⚡ HerAI

Highest Dividend Yield screener

Top dividend-paying listed stocks.

1204 matches
#TickerName Charts Mkt Cap Price P/E Fwd P/E Δ P/E ROCE % ROA % Rev CAGR 5Y % Profit CAGR 5Y % Div % 1Y % Sector
1 ABR Arbor Realty Trust, Inc. $973.35M 5.06 12.65 7.53 Δ 5.12 - 0.89% -6.80% -22.99% 20.54% -44.00% Real Estate
2 ORC Orchid Island Capital, Inc. $1.33B 6.62 6.97 4.81 Δ 2.16 - 1.22% - 136.97% 18.40% +14.13% Real Estate
3 IVR Invesco Mortgage Capital Inc. $734.23M 7.91 10.14 3.72 Δ 6.42 - 0.99% - 12.63% 18.14% +27.22% Real Estate
4 ALIT Alight, Inc. $289.77M 0.55 -0.09 1.87 Δ -1.96 -80.40% 0.77% 0.82% -1,631.72% 16.84% -89.16% Technology
5 ARR ARMOUR Residential REIT, Inc. $2.05B 16.55 6.65 5.41 Δ 1.24 - 1.30% - - 16.84% +18.63% Real Estate
6 REFI Chicago Atlantic Real Estate Finance, Inc. $230.95M 10.89 7.56 5.67 Δ 1.89 - 7.24% - 3.70% 16.53% -11.36% Real Estate
7 NAT Nordic American Tankers Limited $1.31B 6.21 23.88 21.05 Δ 2.83 3.56% 4.72% -4.92% -6.68% 15.83% +134.38% Energy
8 PMT PennyMac Mortgage Investment Trust $866.79M 9.94 8.57 6.59 Δ 1.98 - 0.76% 17.78% 11.65% 15.81% -8.49% Real Estate
9 DX Dynex Capital, Inc. $2.76B 12.84 6.06 8.45 Δ -2.39 - 1.45% - 19.86% 15.78% +22.96% Real Estate
10 JACK Jack in the Box Inc. $217.63M 11.41 -2.06 3.10 Δ -5.16 -0.84% 4.35% -3.18% - 15.71% -33.12% Consumer Cyclical
11 XRN Chiron Real Estate Inc. $464.15M 35.07 -31.04 -22.92 Δ -8.12 - 1.82% 9.60% - 15.45% +20.81% Real Estate
12 MFA MFA Financial, Inc. $950.94M 9.36 10.64 6.30 Δ 4.34 - 1.09% 151.01% 58.78% 15.29% +15.38% Real Estate
13 AOMR Angel Oak Mortgage REIT, Inc. $216.01M 8.67 13.76 6.21 Δ 7.55 - 0.59% 46.21% 41.15% 15.17% +10.42% Real Estate
14 EMBC Embecta Corp. $179.76M 3.03 1.60 1.74 Δ -0.14 35.74% 16.84% -1.47% -24.72% 14.86% -67.60% Healthcare
15 LFT Lument Finance Trust, Inc. $52.44M 1.00 -7.69 4.00 Δ -11.69 - -0.18% - - 14.81% -54.81% Real Estate
16 DHT DHT Holdings, Inc. $3.18B 19.77 9.60 11.39 Δ -1.79 11.26% 13.21% 3.15% 50.83% 14.57% +75.31% Energy
17 SUNS Sunrise Realty Trust, Inc. $112.88M 8.35 8.52 6.61 Δ 1.91 - 4.71% 102.96% 76.79% 14.05% -13.18% Real Estate
18 RWT Redwood Trust, Inc. $623.57M 4.98 -6.23 4.89 Δ -11.12 - -0.39% 195.37% 19.06% 13.71% +0.98% Real Estate
19 CURI CuriosityStream Inc. $144.66M 2.44 -17.43 10.17 Δ -27.60 -16.08% -7.23% 25.86% - 13.33% -44.75% Communication Services
20 SEVN Seven Hills Realty Trust $185.51M 8.21 9.12 7.10 Δ 2.02 - 2.02% -8.50% -11.05% 13.32% -21.48% Real Estate
21 PLTK Playtika Holding Corp. $1.35B 3.56 -4.56 3.72 Δ -8.28 -0.19% 5.34% 9.17% - 12.70% -15.83% Communication Services
22 NREF NexPoint Real Estate Finance, Inc. $280.84M 14.90 5.80 8.36 Δ -2.56 - 2.25% - 46.80% 12.60% +24.85% Real Estate
23 IIPR Innovative Industrial Properties, Inc. $1.72B 59.31 15.13 12.38 Δ 2.75 - 3.33% 59.28% 12.46% 12.56% +18.56% Real Estate
24 MITT TPG Mortgage Investment Trust, Inc. $248.70M 7.82 18.62 6.23 Δ 12.39 - 0.43% - -7.54% 12.29% +18.00% Real Estate
25 CIM Chimera Investment Corporation $1.10B 13.12 -15.81 5.88 Δ -21.69 - 0.13% - 21.00% 12.28% +8.14% Real Estate
26 ACRE Ares Commercial Real Estate Corporation $250.77M 4.52 -12.56 8.45 Δ -21.01 - -1.18% -40.52% -34.34% 12.17% +6.07% Real Estate
27 NXDT NexPoint Diversified Real Estate Trust $228.10M 4.41 -1.79 - - - -0.22% 16.55% - 12.17% +31.20% Real Estate
28 VTS Vitesse Energy, Inc. $666.98M 15.99 -32.63 16.48 Δ -49.11 2.03% -1.24% 23.02% - 11.66% -24.62% Energy
29 PAGS PagSeguro Digital Ltd. $1.40B 8.81 6.25 4.60 Δ 1.65 30.34% 6.51% 10.00% 12.08% 11.61% -1.09% Technology
30 EPM Evolution Petroleum Corporation $136.48M 3.81 -31.75 65.69 Δ -97.44 3.01% -0.15% 20.83% -24.33% 11.54% -15.46% Energy
31 CLPR Clipper Realty Inc. $49.12M 3.04 -3.71 7.60 Δ -11.31 - 1.80% 5.70% - 11.52% -11.66% Real Estate
32 SPOK Spok Holdings, Inc. $215.55M 10.32 17.49 12.29 Δ 5.20 12.55% 5.29% -4.46% -8.65% 11.47% -31.30% Healthcare
33 TWO Two Harbors Investment Corp. $1.28B 12.22 -3.21 10.55 Δ -13.76 - -2.83% - - 11.43% +30.03% Real Estate
34 EFC Ellington Financial Inc. $1.67B 13.30 8.21 6.82 Δ 1.39 - 1.19% 92.23% 2.87% 11.40% +17.04% Real Estate
35 BRSP BrightSpire Capital, Inc. $716.53M 5.50 -20.37 7.86 Δ -28.23 - 2.62% 8.53% - 11.39% +20.79% Real Estate
36 TRTX TPG RE Finance Trust, Inc. $660.21M 8.54 13.34 7.52 Δ 5.82 - 1.55% - 0.16% 11.18% +20.96% Real Estate
37 CHCT Community Healthcare Trust Incorporated $500.01M 17.50 145.83 43.75 Δ 102.08 - 1.99% 19.07% -23.18% 10.64% +17.52% Real Estate
38 ADAM Adamas Trust, Inc. $803.36M 8.94 7.64 8.37 Δ -0.73 - 1.64% 243.71% 49.97% 10.31% +50.90% Real Estate
39 BXMT Blackstone Mortgage Trust, Inc. $3.04B 18.01 30.02 9.16 Δ 20.86 - 0.52% - -4.46% 10.24% +2.84% Real Estate
40 CAG Conagra Brands, Inc. $6.15B 12.85 -128.50 7.98 Δ -136.48 8.21% 4.20% 0.19% 1.27% 10.19% -35.06% Consumer Defensive
41 SSTK AI Shutterstock, Inc. $577.15M 15.71 -25.34 17.65 Δ -42.99 10.32% 4.59% 8.30% 12.22% 10.08% -10.85% Communication Services
42 BDN Brandywine Realty Trust $536.77M 3.09 -2.69 -154.50 Δ 151.81 - 0.53% -0.90% - 9.88% -21.14% Real Estate
43 RPT Rithm Property Trust Inc. $110.99M 14.28 -47.60 8.92 Δ -56.52 - 0.29% - -7.39% 9.76% -2.20% Real Estate
44 FLNG FLEX LNG Ltd. $1.64B 30.36 21.84 14.42 Δ 7.42 7.15% 3.90% -0.03% -26.45% 9.59% +38.81% Energy
45 FBRT Franklin BSP Realty Trust, Inc. $638.02M 8.29 16.25 6.88 Δ 9.37 - 1.22% 35.96% 74.67% 9.58% -13.10% Real Estate
46 GOOD Gladstone Commercial Corporation $578.46M 11.95 66.39 72.42 Δ -6.03 - 3.29% 7.19% 9.37% 9.57% -9.10% Real Estate
47 AMBP Ardagh Metal Packaging S.A. $2.69B 4.50 -450.00 15.29 Δ -465.29 4.81% 3.35% 5.44% -64.06% 9.52% +17.39% Consumer Cyclical
48 APAM Artisan Partners Asset Management Inc. $2.55B 35.98 9.02 8.93 Δ 0.09 41.52% 18.11% 6.41% 11.98% 9.45% -6.36% Financial Services
49 CODI Compass Diversified $777.19M 10.33 -2.82 36.89 Δ -39.71 0.41% 1.33% 8.56% - 9.45% +61.91% Industrials
50 BGS B&G Foods, Inc. $306.81M 3.78 -3.94 5.79 Δ -9.73 3.72% 4.14% 8.43% - 9.43% +4.25% Consumer Defensive
51 ARI Apollo Commercial Real Estate Finance, Inc. $1.41B 10.75 13.27 14.65 Δ -1.38 - 1.35% -9.56% -21.82% 9.31% +21.25% Real Estate
52 BHR Braemar Hotels & Resorts Inc. $139.42M 2.03 -2.11 -1.80 Δ -0.31 4.34% 1.48% 9.31% - 9.22% -17.20% Real Estate
53 LADR Ladder Capital Corp $1.30B 10.17 23.11 8.53 Δ 14.58 - 1.09% - 22.89% 9.08% +4.58% Real Estate
54 GRNT Granite Ridge Resources, Inc. $594.85M 4.51 -18.04 6.14 Δ -24.18 4.33% 2.44% 38.90% - 8.94% -18.27% Energy
55 NOG Northern Oil and Gas, Inc. $2.10B 19.31 -3.06 4.58 Δ -7.64 5.05% 4.31% 30.71% 12.18% 8.66% -33.93% Energy
56 MCHB Mechanics Bancorp $3.28B 14.89 -0.02 12.31 Δ -12.33 - 1.40% 3.33% 27.14% 8.49% +32.13% Financial Services
57 RMR The RMR Group Inc. $328.30M 20.40 16.86 26.15 Δ -9.29 6.96% 6.67% -3.96% 9.19% 8.42% +39.75% Real Estate
58 DEC Diversified Energy Company $948.88M 13.12 1.65 5.41 Δ -3.76 10.50% 5.53% -3.12% -32.50% 8.38% -5.83% Energy
59 UPBD Upbound Group, Inc. $1.07B 18.32 12.72 3.85 Δ 8.87 - 7.36% 2.91% -3.72% 8.23% -18.12% Technology
60 GTN Gray Media, Inc. $356.62M 3.84 -2.53 -16.00 Δ 13.47 3.95% 2.42% 16.46% - 8.16% -0.66% Communication Services
61 AHRT AH REALTY TRUST INC $512.70M 6.75 -84.38 - - 3.35% 2.14% -15.41% -57.83% 8.14% +6.07% Real Estate
62 GNL Global Net Lease, Inc. $1.92B 9.08 -20.64 -151.33 Δ 130.69 - 2.19% 9.34% -658.40% 8.05% +35.71% Real Estate
63 NAVI Navient Corporation $739.70M 7.87 -12.69 8.32 Δ -21.01 - -0.12% -4.58% - 8.04% -37.42% Financial Services
64 BRSL Brightstar Lottery PLC $2.02B 10.95 36.50 11.70 Δ 24.80 10.86% 4.09% -1.12% -18.84% 7.75% -6.68% Consumer Cyclical
65 SAMG Silvercrest Asset Management Group Inc. $79.12M 10.30 31.21 11.44 Δ 19.77 5.89% 2.45% 7.98% -7.53% 7.71% -25.31% Financial Services
66 SFL SFL Corporation Ltd. $1.50B 11.25 46.88 23.47 Δ 23.41 6.06% 2.93% 3.11% - 7.66% +31.38% Industrials
67 OXM Oxford Industries, Inc. $565.58M 37.88 -14.74 12.57 Δ -27.31 -3.00% 0.94% 5.96% - 7.52% -0.62% Consumer Cyclical
68 DEA Easterly Government Properties, Inc. $1.10B 23.77 108.05 91.42 Δ 16.63 - 1.70% 13.85% 1.68% 7.49% +12.61% Real Estate
69 HSHP Himalaya Shipping Ltd. $675.59M 14.33 22.75 27.12 Δ -4.37 8.24% 5.70% - - 7.49% +122.52% Industrials
70 UHT Universal Health Realty Income Trust $530.05M 38.20 29.84 28.18 Δ 1.66 - 4.11% 7.34% -0.33% 7.45% -0.31% Real Estate
71 ACCO ACCO Brands Corporation $352.42M 3.82 4.90 3.99 Δ 0.91 5.31% 3.02% -7.84% 137.63% 7.43% +22.97% Industrials
72 NXRT NexPoint Residential Trust, Inc. $689.03M 27.03 -21.45 -13.38 Δ -8.07 - 0.95% 74.46% - 7.38% -12.73% Real Estate
73 OLP One Liberty Properties, Inc. $523.88M 24.01 19.21 114.33 Δ -95.12 - 2.56% 7.72% 1.64% 7.32% +4.09% Real Estate
74 CTO CTO Realty Growth, Inc. $692.90M 20.51 102.55 186.45 Δ -83.90 - 1.74% 22.38% 17.16% 7.26% +23.20% Real Estate
75 BLMN Bloomin' Brands, Inc. $713.17M 8.33 34.71 8.55 Δ 26.16 1.62% 2.48% 0.58% -11.67% 7.24% -5.05% Consumer Cyclical
76 ETD Ethan Allen Interiors Inc. $542.77M 21.33 13.50 14.71 Δ -1.21 10.61% 3.93% 0.24% 19.95% 7.23% -15.67% Consumer Cyclical
77 SBGI Sinclair, Inc. $658.86M 13.61 14.03 -7.87 Δ 21.90 2.94% 1.90% -6.91% -34.74% 7.11% +11.51% Communication Services
78 GIS General Mills, Inc. $17.79B 33.34 8.15 10.61 Δ -2.46 13.11% 5.31% 2.12% 3.43% 7.07% -33.48% Consumer Defensive
79 MNRO Monro, Inc. $460.89M 15.35 511.67 24.76 Δ 486.91 1.91% 1.39% 1.40% -15.67% 7.03% +15.70% Consumer Cyclical
80 ALX Alexander's, Inc. $1.34B 261.89 65.15 20.13 Δ 45.02 7.43% 3.09% 1.18% -21.18% 6.85% +24.20% Real Estate
81 CPB The Campbell's Company $6.08B 20.40 10.00 10.28 Δ -0.28 9.37% 5.39% 1.47% -3.81% 6.84% -32.19% Consumer Defensive
82 PGR The Progressive Corporation $121.01B 207.38 10.55 12.80 Δ -2.25 - 7.94% 10.44% 13.36% 6.84% -15.17% Financial Services
83 CCOI Cogent Communications Holdings, Inc. $734.14M 14.66 -4.14 -4.97 Δ 0.83 -3.51% -1.62% 8.97% - 6.78% -67.65% Communication Services
84 KNTK Kinetik Holdings Inc. $3.46B 47.01 18.73 27.99 Δ -9.26 2.48% 1.49% 81.26% - 6.70% +18.12% Energy
85 BRT BRT Apartments Corp. $279.70M 14.86 -22.86 -22.18 Δ -0.68 - 0.78% 13.00% - 6.62% -0.23% Real Estate
86 NL NLI Holdings, Inc. $292.41M 5.98 -8.67 6.95 Δ -15.62 2.41% 3.28% 1.95% - 6.61% -0.29% Industrials
87 VRTS Virtus Investment Partners, Inc. $939.31M 140.57 8.28 5.58 Δ 2.70 3.99% 2.26% 13.21% 11.60% 6.61% -14.47% Financial Services
88 KHC The Kraft Heinz Company $26.12B 22.03 -4.53 10.54 Δ -15.07 -6.40% 3.47% 7.80% - 6.56% -8.46% Consumer Defensive
89 NSP Insperity, Inc. $1.30B 34.11 -50.16 12.20 Δ -62.36 -1.72% -0.46% 8.42% - 6.56% -39.00% Industrials
90 PFE Pfizer Inc. $142.94B 25.08 19.15 8.86 Δ 10.29 - 5.69% 1.44% -0.26% 6.56% +12.36% Healthcare
91 MDV Modiv Industrial, Inc. $182.63M 17.69 -43.15 136.08 Δ -179.23 - 2.54% 55.72% - 6.54% +33.16% Real Estate
92 LPG Dorian LPG Ltd. $1.71B 39.99 8.81 13.29 Δ -4.48 12.34% 7.20% 14.94% 20.34% 6.53% +70.13% Energy
93 AMCR Amcor plc $18.81B 40.68 32.54 9.49 Δ 23.05 3.48% 4.08% 1.05% -14.06% 6.40% -7.40% Consumer Cyclical
94 SBRA Sabra Health Care REIT, Inc. $4.61B 18.27 29.00 24.58 Δ 4.42 - 3.09% 10.86% 19.50% 6.40% +6.32% Real Estate
95 LYB LyondellBasell Industries N.V. $18.89B 58.52 -27.60 7.77 Δ -35.37 -1.51% 1.74% -3.29% 5.90% 6.38% +7.51% Basic Materials
96 VICI VICI Properties Inc. $28.09B 26.09 8.93 8.89 Δ 0.04 - 5.38% 46.62% 67.62% 6.31% -15.50% Real Estate
97 BFS Saul Centers, Inc. $877.64M 35.77 33.75 26.30 Δ 7.45 - 3.55% 3.74% 0.13% 6.30% +10.07% Real Estate
98 PDM Piedmont Realty Trust, Inc. $1.13B 9.01 -13.06 -90.10 Δ 77.04 - 1.20% 0.25% - 6.27% +21.76% Real Estate
99 LAND Gladstone Land Corporation $370.54M 8.59 -11.01 -18.02 Δ 7.01 - 1.08% -8.67% 73.14% 6.25% -9.77% Real Estate
100 WASH Washington Trust Bancorp, Inc. $671.30M 35.21 12.85 10.30 Δ 2.55 - 0.81% -5.81% 7.64% 6.25% +41.12% Financial Services
101 DEI Douglas Emmett, Inc. $1.96B 11.72 -68.94 -108.31 Δ 39.37 - 1.24% 2.99% -20.25% 6.19% -15.71% Real Estate
102 LTC LTC Properties, Inc. $1.87B 36.51 14.32 22.19 Δ -7.87 - 2.56% 8.74% 6.35% 6.19% +10.01% Real Estate
103 UVV Universal Corporation $1.28B 51.51 39.62 11.76 Δ 27.86 9.60% 4.59% 4.40% -35.92% 6.16% -7.29% Consumer Defensive
104 CALM Cal-Maine Foods, Inc. $3.60B 75.97 5.29 21.07 Δ -15.78 55.35% 17.20% 10.84% 21.25% 6.15% -22.44% Consumer Defensive
105 UNB Union Bankshares, Inc. $110.37M 23.92 9.53 8.06 Δ 1.47 - 0.73% - 4.67% 6.13% -6.01% Financial Services
106 UPS United Parcel Service, Inc. $80.06B 107.24 17.35 13.40 Δ 3.95 13.69% 7.19% 3.27% 16.05% 6.07% +15.53% Industrials
107 RGP Resources Connection, Inc. $140.41M 4.09 -1.38 -409.00 Δ 407.62 1.20% 0.18% -0.70% - 6.02% -19.59% Industrials
108 KRT Karat Packaging Inc. $592.92M 29.70 18.80 12.22 Δ 6.58 19.04% 8.74% 9.62% 12.44% 5.99% +19.59% Consumer Cyclical
109 ENR Energizer Holdings, Inc. $1.44B 21.09 7.73 5.78 Δ 1.95 - 7.76% 3.25% 6.29% 5.93% +11.94% Industrials
110 APLE Apple Hospitality REIT, Inc. $3.92B 16.61 22.75 23.52 Δ -0.77 5.44% 3.19% 4.48% 6.59% 5.92% +55.11% Real Estate
111 DOC Healthpeak Properties, Inc. $13.77B 19.98 62.44 133.20 Δ -70.76 - 1.50% -2.51% -10.86% 5.90% +25.53% Real Estate
112 AESI Atlas Energy Solutions Inc. $2.06B 16.48 -20.60 48.12 Δ -68.72 -0.50% -1.81% 31.41% -41.06% 5.89% +15.50% Energy
113 MO Altria Group, Inc. $116.07B 69.51 14.51 11.83 Δ 2.68 38.27% 27.61% 1.24% -1.89% 5.89% +24.77% Consumer Defensive
114 UMH UMH Properties, Inc. $1.27B 14.97 149.70 88.06 Δ 61.64 - 1.95% 11.38% 3.05% 5.89% -5.97% Real Estate
115 VZ Verizon Communications Inc. $189.40B 45.36 11.06 8.61 Δ 2.45 8.56% 5.08% 2.20% 6.51% 5.88% +16.19% Communication Services
116 JCAP Jefferson Capital, Inc. $940.45M 16.97 3.30 5.84 Δ -2.54 17.99% 12.29% 37.78% 29.83% 5.87% -3.73% Financial Services
117 GTY Getty Realty Corp. $1.99B 32.83 21.46 16.70 Δ 4.76 - 4.23% 6.24% 3.31% 5.81% +21.62% Real Estate
118 PINE Alpine Income Property Trust, Inc. $318.27M 19.26 -240.75 40.13 Δ -280.88 1.89% 1.94% 26.43% - 5.81% +36.69% Real Estate
119 FCPT Four Corners Property Trust, Inc. $2.68B 24.40 21.98 19.57 Δ 2.41 - 3.72% 5.32% 99.08% 5.80% -5.26% Real Estate
120 MFIN Medallion Financial Corp. $223.71M 9.38 6.34 6.47 Δ -0.13 - 3.68% - - 5.71% +8.57% Financial Services
121 FFIC Flushing Financial Corporation $525.20M 15.50 15.50 10.13 Δ 5.37 - 0.39% 7.91% -1.88% 5.68% +43.68% Financial Services
122 PZZA Papa John's International, Inc. $1.13B 34.35 41.39 19.62 Δ 21.77 16.31% 7.83% 3.72% -0.39% 5.64% -26.45% Consumer Cyclical
123 AAT American Assets Trust, Inc. $1.49B 24.24 80.80 33.67 Δ 47.13 5.34% 2.13% 1.06% 8.50% 5.57% +27.36% Real Estate
124 FSP Franklin Street Properties Corp. $58.07M 0.56 -1.81 -1.81 Δ 0.00 - -0.49% -0.76% - 5.56% -66.53% Real Estate
125 HVT Haverty Furniture Companies, Inc. $359.63M 24.16 19.80 9.35 Δ 10.45 4.11% 2.20% -10.17% -39.56% 5.56% +26.36% Consumer Cyclical
126 BNL Broadstone Net Lease, Inc. $3.98B 20.75 31.92 25.47 Δ 6.45 - 2.74% 16.56% 17.47% 5.53% +36.46% Real Estate
127 KREF KKR Real Estate Finance Trust Inc. $448.82M 6.98 -3.75 15.77 Δ -19.52 - -1.51% - - 5.53% -14.37% Real Estate
128 CWH Camping World Holdings, Inc. $466.87M 7.35 -4.93 6.57 Δ -11.50 6.24% 2.23% 8.35% - 5.52% -58.17% Consumer Cyclical
129 NEWT NewtekOne, Inc. $396.52M 13.74 6.08 5.43 Δ 0.65 - 5.21% - -7.91% 5.44% +40.27% Financial Services
130 RLJ RLJ Lodging Trust $1.73B 11.36 -568.00 -309.79 Δ -258.21 - 1.69% 7.02% - 5.44% +70.79% Real Estate
131 ARE Alexandria Real Estate Equities, Inc. $8.84B 50.73 -8.09 -57.65 Δ 49.56 -3.10% 1.00% 4.56% -124.68% 5.42% -23.68% Real Estate
132 NWBI Northwest Bancshares, Inc. $2.13B 14.59 15.86 10.11 Δ 5.75 - 0.85% - 8.81% 5.41% +28.26% Financial Services
133 CMCSA Comcast Corporation $79.52B 22.32 4.38 5.90 Δ -1.52 8.65% 4.54% 7.98% 12.03% 5.39% -27.44% Communication Services
134 MKTW MarketWise, Inc. $43.04M 16.31 9.77 81.55 Δ -71.78 - 12.98% 3.60% -23.46% 5.33% +3.60% Financial Services
135 PAX Patria Investments Limited $746.39M 11.21 21.15 7.22 Δ 13.93 13.24% 5.74% 13.82% -2.69% 5.30% -16.13% Financial Services
136 SILA Sila Realty Trust, Inc. $1.68B 30.34 44.62 28.40 Δ 16.22 2.58% 2.44% 3.57% -2.07% 5.28% +34.26% Real Estate
137 CSR Centerspace $929.89M 55.34 117.74 -106.71 Δ 224.45 - 0.75% 37.29% 10.17% 5.27% -6.93% Real Estate
138 QUAD Quad/Graphics, Inc. $291.06M 7.60 13.10 5.53 Δ 7.57 18.90% 5.31% 2.04% -4.37% 5.27% +46.18% Industrials
139 SLG SL Green Realty Corp. $3.53B 49.57 -19.75 -27.28 Δ 7.53 - 0.50% -0.35% - 5.23% -19.89% Real Estate
140 AMSF AMERISAFE, Inc. $587.30M 31.40 12.92 15.07 Δ -2.15 - 3.17% 2.49% -5.35% 5.20% -23.16% Financial Services
141 LXP LXP Industrial Trust $3.17B 53.84 36.13 18.07 Δ 18.06 - 0.87% -20.28% -9.20% 5.18% +31.63% Real Estate
142 O Realty Income Corporation $56.49B 60.58 49.66 35.19 Δ 14.47 - 2.31% 24.73% 13.04% 5.18% +11.08% Real Estate
143 INN Summit Hotel Properties, Inc. $711.96M 6.57 -23.46 -18.77 Δ -4.69 2.65% 1.30% 14.74% - 5.16% +44.41% Real Estate
144 PRU Prudential Financial, Inc. $37.60B 108.26 11.15 7.45 Δ 3.70 - 0.41% 2.28% 105.71% 5.16% +9.63% Financial Services
145 STRW Strawberry Fields REIT, Inc. $181.26M 13.50 21.09 16.72 Δ 4.37 - 6.29% 15.52% 109.53% 5.14% +28.49% Real Estate
146 BSET Bassett Furniture Industries, Incorporated $135.07M 15.62 25.19 12.11 Δ 13.08 3.17% 1.30% 2.31% - 5.12% +6.03% Consumer Cyclical
147 CLX The Clorox Company $10.96B 90.60 14.73 14.39 Δ 0.34 - 11.04% 1.77% 3.37% 5.12% -21.70% Consumer Defensive
148 IP International Paper Company $19.53B 36.89 -7.11 13.78 Δ -20.89 7.85% 1.79% 0.43% - 5.12% -16.18% Consumer Cyclical
149 SAFT Safety Insurance Group, Inc. $1.04B 70.62 16.70 11.30 Δ 5.40 - 2.19% 4.80% 3.86% 5.12% -4.69% Financial Services
150 WD Walker & Dunlop, Inc. $1.77B 51.58 25.53 8.86 Δ 16.67 - 1.35% 8.34% 2.23% 5.11% -19.16% Financial Services
151 NHI National Health Investors, Inc. $3.44B 70.96 22.89 19.96 Δ 2.93 - 4.40% 2.02% 5.47% 5.10% +5.07% Real Estate
152 CZNC Citizens & Northern Corporation $386.10M 21.55 20.14 7.98 Δ 12.16 - 0.60% - 4.04% 5.07% +22.65% Financial Services
153 FIBK First Interstate BancSystem, Inc. $3.57B 36.71 12.00 12.46 Δ -0.46 - 1.14% - 11.38% 5.07% +48.11% Financial Services
154 DLX Deluxe Corporation $1.02B 22.25 9.85 5.41 Δ 4.44 10.47% 6.84% 2.22% -1.25% 5.04% +59.24% Industrials
155 LCNB LCNB Corp. $242.47M 17.02 10.57 9.40 Δ 1.17 - 1.01% - 7.06% 5.04% +26.11% Financial Services
156 CBL CBL & Associates Properties, Inc. $1.53B 49.60 8.94 -127.18 Δ 136.12 - 3.65% -23.04% - 5.03% +103.54% Real Estate
157 KMB Kimberly-Clark Corporation $33.36B 100.50 19.44 13.26 Δ 6.18 23.57% 10.16% -0.58% 0.57% 5.01% -17.61% Consumer Defensive
158 KRNY Kearny Financial Corp. $541.22M 8.60 15.09 10.96 Δ 4.13 - 0.47% 194.36% 13.45% 5.01% +51.17% Financial Services
159 SXC SunCoke Energy, Inc. $710.22M 8.37 -10.87 -44.05 Δ 33.18 -2.83% 1.22% 3.00% - 5.01% +6.72% Basic Materials
160 SMA SmartStop Self Storage REIT, Inc. $1.79B 32.38 101.19 60.00 Δ 41.19 2.56% 1.56% 20.75% - 4.96% -6.42% Real Estate
161 LCII LCI Industries $2.22B 91.33 11.19 9.08 Δ 2.11 10.36% 5.81% 15.73% 3.51% 4.94% +6.91% Consumer Cyclical
162 MATV Mativ Holdings, Inc. $434.33M 7.88 5.59 6.30 Δ -0.71 -21.76% 2.10% 6.55% - 4.92% +25.93% Basic Materials
163 BBY Best Buy Co., Inc. $16.02B 76.01 14.08 10.75 Δ 3.33 25.03% 7.77% 0.19% -1.30% 4.89% +16.88% Consumer Cyclical
164 EBF Ennis, Inc. $517.60M 20.46 12.33 12.71 Δ -0.38 16.39% 9.11% -1.72% 1.20% 4.82% +16.62% Industrials
165 FNLC The First Bancorp, Inc. $373.45M 33.12 10.22 8.05 Δ 2.17 - 1.14% - 5.41% 4.82% +47.83% Financial Services
166 EIX Edison International $27.78B 72.20 7.85 11.09 Δ -3.24 8.50% 3.90% 2.28% 8.10% 4.81% +51.59% Utilities
167 AES The AES Corporation $10.45B 14.65 7.63 6.16 Δ 1.47 3.42% 2.71% -1.02% 88.89% 4.79% +46.42% Utilities
168 WGO Winnebago Industries, Inc. $800.49M 28.32 19.27 9.61 Δ 9.66 3.13% 2.23% 12.97% 6.32% 4.79% -5.73% Consumer Cyclical
169 GNK Genco Shipping & Trading Limited $1.03B 23.57 60.44 13.45 Δ 46.99 0.68% 1.83% -1.06% - 4.78% +83.64% Industrials
170 INSW International Seaways, Inc. $4.38B 88.41 8.05 13.77 Δ -5.72 13.44% 10.52% 4.55% - 4.76% +143.47% Energy
171 JBGS JBG SMITH Properties $839.47M 14.41 -7.79 -8.79 Δ 1.00 - 0.04% 0.58% - 4.76% -16.82% Real Estate
172 HPQ HP Inc. $21.53B 23.54 8.72 7.82 Δ 0.90 25.37% 5.88% -3.46% -5.69% 4.75% +2.35% Technology
173 TROW T. Rowe Price Group, Inc. $23.14B 107.99 11.59 11.17 Δ 0.42 15.71% 10.85% 9.56% 6.51% 4.74% +23.33% Financial Services
174 HRL Hormel Foods Corporation $13.27B 24.11 28.36 15.45 Δ 12.91 5.98% 4.58% 3.49% 3.08% 4.73% -16.06% Consumer Defensive
175 PAYX Paychex, Inc. $34.37B 95.93 21.18 16.27 Δ 4.91 22.98% 10.01% 5.82% 6.41% 4.73% -33.56% Technology
176 OKE ONEOK, Inc. $54.37B 86.29 15.38 13.96 Δ 1.42 9.52% 5.66% 5.21% 14.32% 4.72% +12.16% Energy
177 T AT&T Inc. $153.56B 22.10 7.27 8.67 Δ -1.40 6.59% 4.12% 0.31% 3.44% 4.71% -16.61% Communication Services
178 FMNB Farmers National Banc Corp. $843.81M 14.25 9.83 8.14 Δ 1.69 - 0.93% 14.54% 14.99% 4.68% +16.45% Financial Services
179 CIX CompX International Inc. $317.44M 25.76 15.71 16.00 Δ -0.29 16.24% 9.33% -1.68% -2.28% 4.66% +17.49% Industrials
180 BXP BXP, Inc. $10.35B 64.91 32.62 30.54 Δ 2.08 - 1.68% 4.86% -8.27% 4.65% -5.08% Real Estate
181 AVA Avista Corporation $3.28B 39.71 15.82 14.23 Δ 1.59 4.73% 2.79% 0.99% 6.21% 4.63% +11.21% Utilities
182 TAP Molson Coors Beverage Company $6.95B 39.64 -3.76 7.94 Δ -11.70 -13.41% 4.49% 4.23% - 4.62% -15.31% Consumer Defensive
183 CCI Crown Castle Inc. $36.28B 83.12 35.07 28.07 Δ 7.00 7.67% 4.05% -9.83% -14.97% 4.61% -12.34% Real Estate
184 MLKN MillerKnoll, Inc. $1.08B 15.77 105.13 7.89 Δ 97.24 1.56% 3.81% 5.20% - 4.61% -2.81% Consumer Cyclical
185 ES Eversource Energy $26.37B 70.12 15.01 14.13 Δ 0.88 5.34% 3.29% 5.87% 10.64% 4.59% +17.52% Utilities
186 IMMR Immersion Corporation $216.81M 6.55 -10.92 11.91 Δ -22.83 14.11% 5.83% 30.80% - 4.59% -10.67% Technology
187 PEBO Peoples Bancorp Inc. $1.31B 36.60 11.73 9.85 Δ 1.88 - 1.18% 8.11% 22.43% 4.59% +32.64% Financial Services
188 EGY VAALCO Energy, Inc. $583.22M 5.45 -3.98 16.27 Δ -20.25 -2.86% -4.20% 22.05% - 4.58% +47.28% Energy
189 KVUE Kenvue Inc. $34.29B 17.86 21.26 14.44 Δ 6.82 11.42% 7.07% 0.12% -8.29% 4.58% -12.50% Consumer Defensive
190 REPX Riley Exploration Permian, Inc. $726.60M 33.49 11.67 4.18 Δ 7.49 13.16% 7.62% 28.08% - 4.54% +27.47% Energy
191 BIPC Brookfield Infrastructure Corporation $4.66B 37.86 -6.12 28.90 Δ -35.02 13.78% 5.92% 24.82% - 4.50% -2.70% Utilities
192 SAFE Safehold Inc. $1.09B 15.21 9.63 8.78 Δ 0.85 - 2.87% 12.57% -5.45% 4.48% +3.97% Real Estate
193 EPSN Epsilon Energy Ltd. $157.60M 5.21 -12.71 14.08 Δ -26.79 -5.17% 4.77% 8.22% - 4.46% -34.94% Energy
194 CRCT Cricut, Inc. $240.43M 4.37 12.85 23.00 Δ -10.15 26.70% 9.20% 6.47% 11.83% 4.45% -23.39% Technology
195 JAKK JAKKS Pacific, Inc. $251.89M 22.01 31.44 6.73 Δ 24.71 4.83% 1.92% -2.12% - 4.44% +10.89% Consumer Cyclical
196 BMY Bristol-Myers Squibb Company $111.70B 54.70 15.32 8.87 Δ 6.45 - 10.69% 6.46% 6.78% 4.41% +22.62% Healthcare
197 HASI HA Sustainable Infrastructure Capital, Inc. $5.01B 39.24 98.10 11.76 Δ 86.34 - 0.72% 33.25% 17.49% 4.41% +59.42% Financial Services
198 MAA Mid-America Apartment Communities, Inc. $15.38B 132.13 39.92 33.97 Δ 5.95 - 3.19% 14.73% 23.02% 4.41% -7.20% Real Estate
199 OFLX Omega Flex, Inc. $306.87M 30.40 22.86 39.28 Δ -16.42 19.02% 9.31% 5.43% 8.78% 4.40% -2.08% Industrials
200 KW Kennedy-Wilson Holdings, Inc. $1.52B 10.92 91.00 -10.21 Δ 101.21 - 0.83% 15.79% - 4.39% +76.24% Real Estate
201 NUS Nu Skin Enterprises, Inc. $242.75M 5.00 4.63 3.79 Δ 0.84 5.76% 3.68% 0.69% 5.42% 4.39% -33.06% Consumer Defensive
202 UDR UDR, Inc. $12.26B 37.74 25.67 67.39 Δ -41.72 - 2.21% -20.72% -3.55% 4.39% -3.83% Real Estate
203 DGICA Donegal Group Inc. $550.77M 17.50 9.83 9.33 Δ 0.50 - 2.12% 5.97% 9.41% 4.37% -3.76% Financial Services
204 HCKT AI The Hackett Group, Inc. $258.19M 10.25 19.71 6.16 Δ 13.55 14.93% 10.46% 4.88% 18.79% 4.37% -55.58% Technology
205 BLX Banco Latinoamericano de Comercio Exterior, S. A. $1.83B 60.96 10.13 8.64 Δ 1.49 - 1.77% 29.28% 35.09% 4.34% +50.11% Financial Services
206 GWRS Global Water Resources, Inc. $198.47M 6.90 86.25 62.73 Δ 23.52 1.54% 0.85% 17.60% -24.48% 4.34% -31.59% Utilities
207 FVR FrontView REIT, Inc. $446.47M 19.71 -123.19 - - - 0.97% 39.05% - 4.33% +80.77% Real Estate
208 SLVM Sylvamo Corporation $1.54B 38.77 15.45 6.95 Δ 8.50 12.26% 4.80% -2.98% -16.05% 4.33% -19.66% Basic Materials
209 AGNT AGNT, Inc $742.74M 4.52 -45.20 12.91 Δ -58.11 -8.84% -2.75% 1.31% -82.36% 4.32% -47.93% Real Estate
210 NTST NETSTREIT Corp. $1.89B 19.42 161.83 47.37 Δ 114.46 - 1.82% 42.04% 58.59% 4.32% +21.33% Real Estate
211 EXR Extra Space Storage Inc. $30.86B 146.08 32.90 30.48 Δ 2.42 5.12% 3.38% 13.99% 21.45% 4.30% +4.39% Real Estate
212 OCFC OceanFirst Financial Corp. $1.04B 18.10 15.34 7.62 Δ 7.72 - 0.50% - 9.91% 4.30% +12.86% Financial Services
213 FIS Fidelity National Information Services, Inc. $19.50B 37.72 7.31 5.51 Δ 1.80 6.06% 4.07% 3.18% 34.09% 4.29% -51.59% Technology
214 BCBP BCB Bancorp, Inc. $180.23M 10.38 -148.29 8.42 Δ -156.71 - 0.02% -4.20% - 4.28% +40.92% Financial Services
215 III AI Information Services Group, Inc. $190.88M 3.99 19.00 9.28 Δ 9.72 10.42% 5.99% 5.77% 27.66% 4.28% -12.51% Technology
216 NE Noble Corporation plc $6.76B 42.35 29.62 16.48 Δ 13.14 6.14% 3.37% 27.79% - 4.26% +54.76% Energy
217 HOPE Hope Bancorp, Inc. $1.66B 12.96 23.56 8.09 Δ 15.47 - 0.39% - -11.20% 4.25% +35.16% Financial Services
218 MSBI Midland States Bancorp, Inc. $611.94M 29.52 24.60 9.43 Δ 15.17 - 0.51% -8.62% - 4.24% +93.17% Financial Services
219 BBT Beacon Financial Corporation $2.49B 29.75 27.55 8.68 Δ 18.87 - 0.70% 19.02% -6.30% 4.23% +29.78% Financial Services
220 CTRE CareTrust REIT, Inc. $8.86B 37.49 23.73 21.52 Δ 2.21 4.33% 4.76% 19.85% 94.40% 4.23% +30.67% Real Estate
221 GCMG GCM Grosvenor Inc. $732.45M 12.13 24.26 11.53 Δ 12.73 - 13.66% 5.69% 62.14% 4.23% +9.44% Financial Services
222 HNI HNI Corporation $2.46B 34.16 126.52 7.07 Δ 119.45 3.36% 4.30% 6.33% -24.09% 4.23% -24.52% Consumer Cyclical
223 POR Portland General Electric Company $5.81B 50.19 22.41 14.02 Δ 8.39 4.54% 2.43% 7.14% 10.47% 4.19% +30.90% Utilities
224 SBSI Southside Bancshares, Inc. $1.01B 33.78 14.31 9.72 Δ 4.59 - 0.83% - 2.81% 4.18% +26.23% Financial Services
225 SW Smurfit Westrock Plc $23.81B 45.39 63.04 14.35 Δ 48.69 4.51% 3.01% 32.15% -12.24% 4.18% +10.35% Consumer Cyclical
226 EQR Equity Residential $24.26B 64.73 25.89 41.23 Δ -15.34 5.94% 2.71% 3.33% 0.74% 4.17% -1.80% Real Estate
227 OMC Omnicom Group Inc. $20.68B 72.55 -196.08 5.86 Δ -201.94 1.79% 4.47% 1.73% - 4.17% +8.71% Communication Services
228 SR Spire Inc. $4.49B 75.94 15.37 13.74 Δ 1.63 5.80% 2.85% 4.19% 7.62% 4.17% +9.14% Utilities
229 CNNE Cannae Holdings, Inc. $585.73M 13.33 -1.79 -8.00 Δ 6.21 -10.04% -3.63% -11.45% - 4.16% -29.85% Consumer Cyclical
230 CRGY Crescent Energy Company $3.47B 10.52 -14.41 4.32 Δ -18.73 2.05% 0.37% 21.97% - 4.15% +15.61% Energy
231 EPRT Essential Properties Realty Trust, Inc. $6.37B 29.46 23.20 21.04 Δ 2.16 - 3.59% 33.86% 58.68% 4.15% -6.05% Real Estate
232 DOW Dow Inc. $22.19B 30.79 -7.70 14.13 Δ -21.83 - -0.14% -1.12% - 4.14% +13.69% Basic Materials
233 MOV Movado Group, Inc. $619.04M 39.25 27.84 21.45 Δ 6.39 4.74% 3.18% 4.16% - 4.14% +170.95% Consumer Cyclical
234 FF FutureFuel Corp. $178.09M 4.06 -3.41 5.07 Δ -8.48 -30.37% -16.71% -4.32% - 4.13% +1.29% Basic Materials
235 NKSH National Bankshares, Inc. $227.48M 35.72 12.94 10.66 Δ 2.28 - 0.96% 4.69% 0.63% 4.13% +44.55% Financial Services
236 WSBC WesBanco, Inc. $3.53B 36.70 11.26 9.28 Δ 1.98 - 1.17% - 14.97% 4.13% +27.38% Financial Services
237 CFFN Capitol Federal Financial, Inc. $1.02B 8.19 13.65 11.38 Δ 2.27 - 0.79% 1.00% 0.16% 4.12% +48.86% Financial Services
238 FDP Del Monte Corporation $1.28B 26.90 18.55 7.98 Δ 10.57 5.43% 3.34% 1.20% -3.20% 4.12% -16.71% Consumer Defensive
239 BEN Franklin Resources, Inc. $17.63B 33.93 25.90 11.38 Δ 14.52 1.95% 2.60% 1.94% -6.54% 4.11% +58.79% Financial Services
240 VALU Value Line, Inc. $324.70M 34.59 14.78 12.87 Δ 1.91 4.95% 2.06% -3.31% 6.72% 4.11% -6.70% Financial Services
241 GPC Genuine Parts Company $14.47B 105.11 238.89 12.55 Δ 226.34 13.00% 4.54% 4.54% -17.72% 4.10% -8.41% Consumer Cyclical
242 PEP PepsiCo, Inc. $192.32B 140.71 22.05 15.44 Δ 6.61 15.41% 9.09% 4.93% 2.11% 4.10% +13.33% Consumer Defensive
243 PSTL Postal Realty Trust, Inc. $635.62M 23.01 44.25 35.89 Δ 8.36 - 3.12% 42.82% - 4.10% +61.55% Real Estate
244 IRT Independence Realty Trust, Inc. $3.77B 16.01 80.05 94.18 Δ -14.13 1.02% 1.31% 119.42% 89.10% 4.09% -6.18% Real Estate
245 PFS Provident Financial Services, Inc. $3.00B 23.01 9.79 9.11 Δ 0.68 - 1.24% 8.22% 12.12% 4.08% +49.41% Financial Services
246 BX Blackstone Inc. $91.48B 123.26 31.61 16.36 Δ 15.25 - 13.03% 18.82% 23.63% 4.05% -7.09% Financial Services
247 F Ford Motor Company $55.22B 14.11 -9.10 7.67 Δ -16.77 -5.26% 0.34% 0.52% - 4.04% +41.95% Consumer Cyclical
248 INVH Invitation Homes Inc. $16.89B 28.44 29.94 42.82 Δ -12.88 - 2.47% 46.60% 24.54% 4.04% -12.12% Real Estate
249 SGC Superior Group of Companies, Inc. $181.82M 11.63 20.40 13.96 Δ 6.44 - 2.31% 11.83% 4.14% 4.03% +22.62% Consumer Cyclical
250 TFC Truist Financial Corporation $60.75B 48.76 12.07 9.52 Δ 2.55 - 1.02% - 6.03% 4.03% +28.03% Financial Services
251 JJSF J&J Snack Foods Corp. $1.35B 71.73 24.07 16.36 Δ 7.71 6.99% 4.46% 5.69% 2.93% 4.02% -33.44% Consumer Defensive
252 RMBI Richmond Mutual Bancorporation, Inc. $143.96M 14.72 11.78 8.41 Δ 3.37 - 0.81% - 10.71% 4.02% +16.29% Financial Services
253 SPG Simon Property Group, Inc. $69.58B 214.57 14.91 31.99 Δ -17.08 - 5.56% 3.14% 14.02% 4.02% +43.08% Real Estate
254 KIM Kimco Realty Corporation $16.65B 24.69 28.38 28.58 Δ -0.20 - 2.32% 6.55% 1.56% 4.01% +23.09% Real Estate
255 ARES Ares Management Corporation $27.95B 125.90 58.02 17.20 Δ 40.82 9.72% 2.54% 22.39% 46.55% 4.00% -21.99% Financial Services
256 NWFL Norwood Financial Corp. $335.65M 30.82 11.29 8.36 Δ 2.93 - 0.97% 5.06% 8.93% 3.98% +27.95% Financial Services
257 KRG Kite Realty Group Trust $5.67B 27.94 21.17 52.72 Δ -31.55 1.75% 1.82% 10.14% - 3.97% +30.42% Real Estate
258 SWK Stanley Black & Decker, Inc. $13.42B 86.31 35.37 13.84 Δ 21.53 13.60% 3.33% 7.50% 1.60% 3.97% +39.72% Industrials
259 WTBA West Bancorporation, Inc. $427.58M 25.11 12.13 8.81 Δ 3.32 - 0.88% - -0.09% 3.96% +39.39% Financial Services
260 FE FirstEnergy Corp. $27.05B 46.76 25.41 15.87 Δ 9.54 4.36% 3.76% 0.92% -1.38% 3.95% +22.44% Utilities
261 NWN Northwest Natural Holding Company $2.05B 48.70 16.68 15.09 Δ 1.59 5.27% 2.81% 7.58% 7.54% 3.95% +27.99% Utilities
262 OPBK OP Bancorp $214.63M 14.41 7.87 7.15 Δ 0.72 - 1.05% 10.78% 14.76% 3.94% +27.28% Financial Services
263 D Dominion Energy, Inc. $59.84B 68.04 20.07 17.84 Δ 2.23 4.19% 3.09% 0.61% 0.93% 3.93% +31.13% Utilities
264 BORR Borr Drilling Limited $1.34B 4.34 28.93 14.04 Δ 14.89 9.83% 5.34% 32.00% - 3.92% +93.75% Energy
265 MKC McCormick & Company, Incorporated $11.61B 45.73 7.50 13.70 Δ -6.20 10.56% 4.88% 4.62% 6.85% 3.92% -35.70% Consumer Defensive
266 PFIS Peoples Financial Services Corp. $627.98M 62.73 10.70 8.59 Δ 2.11 - 1.13% - 16.63% 3.91% +39.31% Financial Services
267 HY Hyster-Yale, Inc. $557.72M 38.54 -6.88 18.62 Δ -25.50 -2.17% -1.09% 5.04% - 3.89% +4.29% Industrials
268 MOS The Mosaic Company $6.99B 22.00 157.14 12.01 Δ 145.13 4.01% 2.00% 0.99% -8.77% 3.88% -37.51% Basic Materials
269 ATNI ATN International, Inc. $401.44M 26.10 -26.63 21.22 Δ -47.85 3.09% 1.92% 7.61% - 3.87% +79.03% Communication Services
270 RHP Ryman Hospitality Properties, Inc. $7.90B 125.16 33.02 25.26 Δ 7.76 8.35% 5.47% 7.00% - 3.87% +33.76% Real Estate
271 MC Moelis & Company $4.98B 66.94 24.08 16.94 Δ 7.14 - 19.89% 15.47% 5.44% 3.84% +23.25% Financial Services
272 SWKS AI Skyworks Solutions, Inc. $11.46B 76.18 31.74 14.80 Δ 16.94 7.58% 3.54% 9.60% 8.96% 3.84% +10.84% Technology
273 ACN Accenture plc $76.64B 124.83 10.24 8.40 Δ 1.84 23.31% 11.16% 4.19% 3.74% 3.83% -58.71% Technology
274 BKH Black Hills Corporation $5.55B 72.92 18.99 15.81 Δ 3.18 5.31% 3.17% 4.95% 6.19% 3.83% +35.57% Utilities
275 OUT OUTFRONT Media Inc. $5.50B 31.26 29.21 22.48 Δ 6.73 6.16% 4.27% 2.77% 2.02% 3.83% +106.77% Real Estate
276 PII Polaris Inc. $3.91B 68.76 -8.77 22.08 Δ -30.85 -13.16% 1.37% 7.95% - 3.83% +79.23% Consumer Cyclical
277 SFNC Simmons First National Corporation $3.22B 22.17 -8.06 10.11 Δ -18.17 - -1.40% - - 3.82% +27.09% Financial Services
278 ASC Ardmore Shipping Corporation $716.49M 17.56 13.30 20.54 Δ -7.24 6.91% 5.54% -11.38% -33.34% 3.81% +72.61% Industrials
279 AVB AvalonBay Communities, Inc. $25.52B 179.89 22.32 36.92 Δ -14.60 4.45% 2.65% 8.77% 6.54% 3.81% -9.50% Real Estate
280 BMRC Bank of Marin Bancorp $418.67M 25.86 -12.80 10.80 Δ -23.60 - -0.83% - - 3.81% +25.12% Financial Services
281 CVX Chevron Corporation $348.65B 175.06 30.45 13.93 Δ 16.52 - 3.46% -1.00% -2.30% 3.80% +23.08% Energy
282 MATW Matthews International Corporation $815.01M 26.12 87.07 21.15 Δ 65.92 5.61% 0.69% 3.62% - 3.80% +27.65% Industrials
283 SJM The J. M. Smucker Company $11.43B 107.19 -9.09 10.00 Δ -19.09 2.63% 5.07% 5.31% - 3.78% +16.37% Consumer Defensive
284 CVBF CVB Financial Corp. $3.71B 21.05 13.76 11.17 Δ 2.59 - 1.36% - 7.54% 3.77% +19.38% Financial Services
285 REG Regency Centers Corporation $14.16B 77.36 26.58 30.56 Δ -3.98 9.00% 3.21% 5.87% 14.70% 3.76% +13.87% Real Estate
286 STEP StepStone Group Inc. $3.71B 45.46 -6.71 13.72 Δ -20.43 - -11.27% 34.05% - 3.76% -12.24% Financial Services
287 NWE NorthWestern Energy Group, Inc. $4.30B 69.96 25.72 17.63 Δ 8.09 4.20% 2.43% 4.08% -0.78% 3.74% +42.68% Utilities
288 AMT American Tower Corporation $82.20B 176.43 28.46 25.55 Δ 2.91 7.82% 4.91% 3.34% 12.73% 3.73% -14.96% Real Estate
289 BCML BayCom Corp $344.52M 31.58 13.05 11.24 Δ 1.81 - 1.01% 0.15% 19.10% 3.73% +23.20% Financial Services
290 BPRN Princeton Bancorp, Inc. $251.60M 36.94 12.96 9.76 Δ 3.20 - 0.85% - -4.62% 3.73% +30.88% Financial Services
291 CPT Camden Property Trust $10.80B 108.98 30.44 68.26 Δ -37.82 - 1.58% -37.38% 25.41% 3.69% -1.89% Real Estate
292 KMI Kinder Morgan, Inc. $71.75B 32.25 21.64 21.41 Δ 0.23 6.90% 4.32% 4.80% 12.05% 3.68% +21.82% Energy
293 PSA Public Storage $56.21B 320.22 33.08 30.56 Δ 2.52 - 7.21% 5.67% 7.85% 3.68% +14.68% Real Estate
294 SCVL Shoe Station Group Inc. $432.79M 15.94 11.81 8.65 Δ 3.16 6.40% 3.39% 3.23% 8.04% 3.68% -15.61% Consumer Cyclical
295 ESS Essex Property Trust, Inc. $17.75B 276.28 31.11 45.86 Δ -14.75 - 3.17% -19.91% 15.01% 3.65% +1.18% Real Estate
296 NKE NIKE, Inc. $51.81B 43.19 28.41 23.79 Δ 4.62 - 5.20% 5.50% 3.20% 3.65% -25.43% Consumer Cyclical
297 EXC Exelon Corporation $47.01B 45.94 16.83 15.12 Δ 1.71 4.85% 2.84% 1.49% 0.07% 3.64% +12.34% Utilities
298 OSPN OneSpan Inc. $493.81M 13.32 7.36 10.15 Δ -2.79 17.11% 8.43% 5.60% 12.02% 3.63% -10.02% Technology
299 AKR Acadia Realty Trust $2.84B 21.25 68.55 66.41 Δ 2.14 1.22% 0.99% 7.98% 49.22% 3.62% +14.89% Real Estate
300 CDP COPT Defense Properties $3.82B 33.69 24.59 24.06 Δ 0.53 - 3.42% -14.35% 7.13% 3.62% +22.90% Real Estate
301 RF Regions Financial Corporation $24.53B 28.75 11.93 10.07 Δ 1.86 - 1.39% 12.39% 3.07% 3.62% +36.16% Financial Services
302 BUSE First Busey Corporation $2.41B 28.52 11.74 10.51 Δ 1.23 - 1.15% 16.92% 6.15% 3.61% +32.20% Financial Services
303 FPI Farmland Partners Inc. $423.09M 9.70 16.44 48.50 Δ -32.06 - 1.84% 5.96% 35.87% 3.61% -10.66% Real Estate
304 KEY KeyCorp $24.64B 22.83 14.01 10.63 Δ 3.38 - 1.03% -7.48% 3.90% 3.61% +48.63% Financial Services
305 AUB Atlantic Union Bankshares Corporation $5.67B 39.62 16.93 9.87 Δ 7.06 - 1.12% 25.05% 35.49% 3.60% +37.51% Financial Services
306 EXE Expand Energy Corporation $21.16B 88.44 6.58 9.23 Δ -2.65 9.73% 9.67% 2.48% 1.25% 3.59% -24.42% Energy
307 FRT Federal Realty Investment Trust $10.52B 121.72 21.06 39.20 Δ -18.14 - 3.32% 5.44% 7.02% 3.59% +33.13% Real Estate
308 MDT Medtronic plc $101.77B 79.27 21.25 12.37 Δ 8.88 7.56% 5.09% 6.04% 2.50% 3.59% -4.60% Healthcare
309 MZTI The Marzetti Company $2.87B 104.72 16.39 14.51 Δ 1.88 20.24% 10.97% 4.02% 2.53% 3.58% -36.36% Consumer Defensive
310 COFS ChoiceOne Financial Services, Inc. $480.40M 32.08 7.60 8.71 Δ -1.11 - 1.28% 36.69% 20.23% 3.57% +19.81% Financial Services
311 TRN Trinity Industries, Inc. $2.79B 35.13 11.08 14.79 Δ -3.71 8.27% 2.53% -3.40% -0.61% 3.57% +39.60% Industrials
312 UTL Unitil Corporation $917.89M 51.02 16.30 14.54 Δ 1.76 5.92% 3.48% -1.64% 6.64% 3.56% +1.90% Utilities
313 TSN Tyson Foods, Inc. $15.66B 55.51 43.71 12.23 Δ 31.48 3.63% 2.47% 3.79% 9.40% 3.55% +5.73% Consumer Defensive
314 HBAN Huntington Bancshares Incorporated $34.56B 17.05 13.12 9.00 Δ 4.12 - 0.90% 8.52% 22.03% 3.54% +12.46% Financial Services
315 RGCO RGC Resources, Inc. $250.60M 24.08 17.97 17.45 Δ 0.52 6.00% 3.61% 5.64% 7.57% 3.54% +20.35% Utilities
316 HAFC Hanmi Financial Corporation $934.07M 31.38 11.71 9.18 Δ 2.53 - 1.04% -0.21% 12.51% 3.53% +43.98% Financial Services
317 UTZ Utz Brands, Inc. $606.48M 6.85 -68.50 8.18 Δ -76.68 0.79% 0.27% 10.93% - 3.53% -47.45% Consumer Defensive
318 BHB Bar Harbor Bankshares $607.57M 36.29 14.75 9.50 Δ 5.25 - 0.92% 8.08% 8.27% 3.52% +31.72% Financial Services
319 NFBK Northfield Bancorp, Inc. $600.56M 14.38 110.62 9.59 Δ 101.03 - 0.08% 4.85% -17.32% 3.52% +29.30% Financial Services
320 PNW Pinnacle West Capital Corporation $12.41B 102.43 19.11 18.39 Δ 0.72 3.97% 2.49% 3.02% 5.65% 3.52% +20.31% Utilities
321 SWBI Smith & Wesson Brands, Inc. $731.92M 16.45 68.54 49.85 Δ 18.69 4.84% 2.46% 1.90% -5.73% 3.52% +59.00% Industrials
322 FRME First Merchants Corporation $2.60B 41.19 12.15 9.04 Δ 3.11 - 1.01% - 8.75% 3.51% +19.65% Financial Services
323 UE Urban Edge Properties $2.82B 22.35 26.29 43.54 Δ -17.25 - 2.65% 2.21% -1.29% 3.51% +24.32% Real Estate
324 OGS ONE Gas, Inc. $4.80B 76.43 17.25 15.24 Δ 2.01 6.25% 3.40% 10.36% 8.06% 3.50% +10.14% Utilities
325 USB U.S. Bancorp $91.41B 58.68 12.30 10.37 Δ 1.93 - 1.14% 3.51% 3.16% 3.50% +41.37% Financial Services
326 ALTG Alta Equipment Group Inc. $244.67M 7.52 -2.98 -13.76 Δ 10.78 3.52% 0.73% 5.31% -321.15% 3.49% +25.96% Industrials
327 BOH Bank of Hawaii Corporation $3.14B 79.18 15.96 11.35 Δ 4.61 - 0.92% 2.67% 2.26% 3.49% +26.22% Financial Services
328 CNS Cohen & Steers, Inc. $3.89B 75.61 25.04 19.78 Δ 5.26 - 13.51% 9.86% 14.88% 3.48% +5.32% Financial Services
329 MUR Murphy Oil Corporation $4.93B 34.42 58.34 9.86 Δ 48.48 3.43% 1.73% -10.11% -10.49% 3.48% +43.54% Energy
330 PTEN Patterson-UTI Energy, Inc. $3.87B 10.20 -34.00 103.33 Δ -137.33 -0.87% -0.82% 5.02% - 3.48% +66.26% Energy
331 DNUT Krispy Kreme, Inc. $603.40M 3.50 -1.17 65.53 Δ -66.70 -21.97% -1.16% 8.00% - 3.47% +31.09% Consumer Defensive
332 WSBF Waterstone Financial, Inc. $345.54M 19.14 11.60 18.95 Δ -7.35 - 1.33% - -20.11% 3.47% +48.40% Financial Services
333 FG F&G Annuities & Life, Inc. $3.62B 27.32 7.08 5.30 Δ 1.78 - 0.55% 9.58% -32.01% 3.46% -10.60% Financial Services
334 SD SandRidge Energy, Inc. $512.79M 13.89 6.78 9.32 Δ -2.54 10.58% 6.40% -8.26% 1.99% 3.46% +20.57% Energy
335 NJR New Jersey Resources Corporation $5.53B 54.81 16.26 15.88 Δ 0.38 7.49% 4.25% 9.54% 6.83% 3.45% +28.73% Utilities
336 WHG Westwood Holdings Group, Inc. $172.49M 18.18 21.90 12.17 Δ 9.73 3.46% 1.55% 5.34% -0.68% 3.44% +16.90% Financial Services
337 TGT Target Corporation $58.92B 129.73 17.14 14.57 Δ 2.57 13.37% 5.68% 2.83% 2.52% 3.43% +42.35% Consumer Defensive
338 VAC Marriott Vacations Worldwide Corporation $3.29B 95.71 -9.77 11.33 Δ -21.10 - 2.70% 6.94% - 3.43% +47.34% Consumer Cyclical
339 NVEC AI NVE Corporation $535.47M 110.70 35.14 39.12 Δ -3.98 26.88% 15.96% -0.42% 1.49% 3.42% +67.64% Technology
340 DUK Duke Energy Corporation $96.30B 123.52 19.00 17.23 Δ 1.77 4.94% 2.78% 5.53% 6.88% 3.41% +11.57% Utilities
341 AGM Federal Agricultural Mortgage Corporation $1.71B 183.07 10.55 8.57 Δ 1.98 - 0.63% 9.73% 5.20% 3.40% +0.58% Financial Services
342 BF-B Brown-Forman Corporation $7.91B 27.26 17.82 15.96 Δ 1.86 15.80% 8.64% 1.38% 4.42% 3.40% +9.90% Consumer Defensive
343 NTB The Bank of N.T. Butterfield & Son Limited $2.33B 58.74 10.18 8.32 Δ 1.86 - 1.69% 3.23% 2.72% 3.40% +43.00% Financial Services
344 GIC Global Industrial Company $1.25B 32.80 17.35 14.81 Δ 2.54 24.26% 11.18% -5.06% 2.82% 3.39% +27.68% Industrials
345 FDBC Fidelity D & D Bancorp, Inc. $282.13M 48.60 9.51 7.65 Δ 1.86 - 1.07% - 16.69% 3.38% +21.47% Financial Services
346 WY Weyerhaeuser Company $17.49B 24.25 43.30 34.79 Δ 8.51 4.77% 0.72% -2.52% -4.83% 3.38% -3.32% Real Estate
347 LKFN Lakeland Financial Corporation $1.50B 60.26 14.11 13.32 Δ 0.79 - 1.57% 3.03% 11.17% 3.37% +6.65% Financial Services
348 GEF Greif, Inc. $1.72B 69.22 28.60 15.39 Δ 13.21 8.25% 4.04% 2.29% 0.67% 3.36% +13.65% Consumer Cyclical
349 PEG Public Service Enterprise Group Incorporated $40.17B 80.61 17.83 17.16 Δ 0.67 5.75% 3.66% -0.23% 2.58% 3.36% +1.43% Utilities
350 WEC WEC Energy Group, Inc. $36.82B 113.04 22.65 18.83 Δ 3.82 4.89% 3.04% 5.74% 8.90% 3.36% +12.53% Utilities
351 SMP Standard Motor Products, Inc. $866.04M 38.90 10.46 7.87 Δ 2.59 9.09% 6.09% 5.72% 16.72% 3.35% +31.10% Consumer Cyclical
352 HAS Hasbro, Inc. $11.94B 84.39 -52.42 13.16 Δ -65.58 28.74% 11.94% 0.98% - 3.34% +28.41% Consumer Cyclical
353 UBSI United Bankshares, Inc. $6.19B 44.95 12.59 11.85 Δ 0.74 - 1.52% 6.81% 10.36% 3.33% +34.24% Financial Services
354 EVRG Evergy, Inc. $19.19B 83.25 22.14 18.29 Δ 3.85 5.07% 2.90% 9.30% 10.56% 3.32% +29.11% Utilities
355 FISI Financial Institutions, Inc. $745.92M 37.89 9.87 9.04 Δ 0.83 - 1.25% - 12.90% 3.32% +60.65% Financial Services
356 HFWA Heritage Financial Corporation $1.16B 28.08 13.76 10.05 Δ 3.71 - 0.93% - 34.61% 3.31% +29.52% Financial Services
357 JXN Jackson Financial Inc. $7.63B 109.38 -18.23 4.22 Δ -22.45 - -0.06% 11.50% - 3.31% +31.71% Financial Services
358 NCMI National CineMedia, Inc. $315.10M 3.36 -33.60 23.17 Δ -56.77 -3.24% -1.79% -2.76% - 3.31% -33.98% Communication Services
359 WNC Wabash National Corporation $490.53M 12.06 -8.43 7.68 Δ -16.11 35.39% -2.17% 9.96% - 3.30% +19.99% Industrials
360 BHRB Burke & Herbert Financial Services Corp. $1.32B 65.48 8.49 7.43 Δ 1.06 - 1.49% - 34.20% 3.28% +20.53% Financial Services
361 ESCA Escalade, Incorporated $257.60M 18.66 16.66 9.52 Δ 7.14 9.77% 5.81% 4.65% 14.11% 3.25% +40.93% Consumer Cyclical
362 FULT Fulton Financial Corporation $4.41B 23.05 10.98 9.73 Δ 1.25 - 1.22% 4.41% 17.08% 3.25% +40.13% Financial Services
363 HBNC Horizon Bancorp, Inc. $996.31M 19.41 -5.92 8.74 Δ -14.66 - -2.09% - - 3.24% +39.57% Financial Services
364 ED Consolidated Edison, Inc. $39.40B 106.92 18.03 16.48 Δ 1.55 4.32% 3.17% 1.69% 5.35% 3.23% +9.67% Utilities
365 SO The Southern Company $105.32B 93.43 23.90 19.00 Δ 4.90 5.25% 3.24% 3.71% 5.23% 3.23% +8.86% Utilities
366 CLAR Clarus Corporation $116.09M 3.02 -2.60 17.51 Δ -20.11 -28.62% -4.68% 8.28% - 3.22% -11.33% Consumer Cyclical
367 RM Regional Management Corp. $343.92M 37.35 7.58 5.07 Δ 2.51 - 4.76% 14.31% 6.85% 3.22% +39.54% Financial Services
368 STC Stewart Information Services Corporation $2.01B 66.18 14.74 8.76 Δ 5.98 - 4.44% 3.41% -5.70% 3.22% +9.48% Financial Services
369 TRI Thomson Reuters Corporation $33.42B 76.55 22.00 15.14 Δ 6.86 13.74% 6.94% 4.10% 3.93% 3.22% -59.41% Industrials
370 ASB Associated Banc-Corp $5.55B 29.38 10.20 9.08 Δ 1.12 - 1.11% 2.02% 6.69% 3.21% +33.11% Financial Services
371 HST Host Hotels & Resorts, Inc. $17.21B 25.13 17.10 25.13 Δ -8.03 - 4.21% 0.85% 0.50% 3.21% +68.66% Real Estate
372 WLY John Wiley & Sons, Inc. $1.91B 44.99 15.73 9.47 Δ 6.26 11.84% 6.35% 0.25% -2.60% 3.21% +9.91% Communication Services
373 HSY The Hershey Company $25.33B 170.89 31.76 17.20 Δ 14.56 13.44% 7.84% 4.90% 8.19% 3.20% +3.70% Consumer Defensive
374 VABK Virginia National Bankshares Corporation $235.93M 43.51 11.79 10.09 Δ 1.70 - 1.22% - 8.94% 3.20% +21.14% Financial Services
375 WABC Westamerica Bancorporation $1.37B 58.13 12.95 13.53 Δ -0.58 - 1.90% - 3.98% 3.20% +31.01% Financial Services
376 CAC Camden National Corporation $877.20M 51.86 11.03 8.90 Δ 2.13 - 1.15% 6.52% 6.79% 3.19% +40.26% Financial Services
377 NRC NRC Health $439.24M 19.49 49.97 16.80 Δ 33.17 22.99% 12.21% 5.57% 1.92% 3.19% +19.79% Healthcare
378 PM Philip Morris International Inc. $269.90B 173.17 24.39 18.97 Δ 5.42 34.03% 15.46% -1.69% 3.57% 3.19% -1.81% Consumer Defensive
379 MDLZ Mondelez International, Inc. $76.39B 59.51 29.46 17.57 Δ 11.89 7.15% 3.43% 0.40% -0.58% 3.18% -7.32% Consumer Defensive
380 PPL PPL Corporation $26.78B 35.59 21.83 16.81 Δ 5.02 5.23% 3.12% 1.31% -0.48% 3.18% +9.32% Utilities
381 CPF Central Pacific Financial Corp. $946.95M 36.28 12.13 10.17 Δ 1.96 - 1.08% 11.24% 15.76% 3.17% +44.39% Financial Services
382 DIN Dine Brands Global, Inc. $423.43M 33.38 29.03 6.47 Δ 22.56 - 4.99% -2.93% -3.73% 3.17% +31.29% Consumer Cyclical
383 ATLO Ames National Corporation $263.95M 29.80 12.31 10.57 Δ 1.74 - 1.00% 2.03% 5.11% 3.16% +78.94% Financial Services
384 FMAO Farmers & Merchants Bancorp, Inc. $394.60M 28.66 10.94 9.51 Δ 1.43 - 1.04% - 10.64% 3.16% +23.51% Financial Services
385 IBCP Independent Bank Corporation $704.52M 34.19 10.24 8.93 Δ 1.31 - 1.28% 2.16% 2.66% 3.16% +16.39% Financial Services
386 KFRC Kforce Inc. $783.54M 43.94 22.30 14.98 Δ 7.32 19.88% 8.38% 0.08% 6.42% 3.16% +14.54% Industrials
387 PCB PCB Bancorp $379.78M 26.68 9.56 8.65 Δ 0.91 - 1.23% 3.00% 11.55% 3.16% +39.26% Financial Services
388 PFBC Preferred Bank $1.18B 99.74 9.31 8.90 Δ 0.41 - 1.83% 3.66% 1.22% 3.15% +28.35% Financial Services
389 IPAR Interparfums, Inc. $3.13B 97.75 18.55 17.54 Δ 1.01 21.78% 11.29% 8.40% 13.45% 3.14% -23.87% Consumer Defensive
390 CLDT Chatham Lodging Trust $624.13M 13.37 668.50 -111.42 Δ 779.92 3.59% 1.36% -0.03% - 3.11% +99.44% Real Estate
391 DTE DTE Energy Company $30.54B 146.83 24.19 17.58 Δ 6.61 4.88% 2.78% 5.75% 2.30% 3.11% +14.20% Utilities
392 CMS CMS Energy Corporation $22.80B 73.80 20.44 17.69 Δ 2.75 4.75% 3.13% 1.18% 7.88% 3.10% +10.55% Utilities
393 FFBC First Financial Bancorp. $3.35B 31.94 11.29 9.32 Δ 1.97 - 1.35% - 0.90% 3.10% +42.76% Financial Services
394 PECO Phillips Edison & Company, Inc. $5.18B 41.09 44.66 53.65 Δ -8.99 - 2.46% 38.34% 87.74% 3.10% +20.45% Real Estate
395 STRA Strategic Education, Inc. $1.73B 76.45 13.53 9.45 Δ 4.08 10.77% 5.95% 12.45% 2.68% 3.10% -6.46% Consumer Defensive
396 BKE The Buckle, Inc. $2.31B 44.82 10.28 10.66 Δ -0.38 34.65% 17.11% 2.95% 4.19% 3.09% +8.54% Consumer Cyclical
397 HTO H2O America $2.37B 56.70 19.42 20.59 Δ -1.17 3.64% 2.35% 10.49% 12.69% 3.09% +11.00% Utilities
398 STBA S&T Bancorp, Inc. $1.70B 47.31 13.29 12.37 Δ 0.92 - 1.38% - 19.32% 3.09% +36.31% Financial Services
399 TRNO Terreno Realty Corporation $6.85B 64.79 15.80 37.51 Δ -21.71 - 2.39% 17.88% 38.25% 3.09% +15.32% Real Estate
400 NECB Northeast Community Bancorp, Inc. $358.51M 25.95 8.08 7.17 Δ 0.91 - 2.21% - 29.22% 3.08% +20.71% Financial Services
401 TSEOF Trinseo PLC $365.60K 0.01 -0.00 -0.00 Δ 0.00 -16.24% -2.74% -4.55% - 3.08% -99.65% Basic Materials
402 CVGW Calavo Growers Inc $466.33M 26.09 28.99 18.64 Δ 10.35 8.46% 4.00% 4.03% 2.37% 3.07% -1.31% Consumer Defensive
403 INDB Independent Bank Corp. $3.93B 81.40 16.18 9.74 Δ 6.44 - 1.08% - 14.66% 3.07% +37.50% Financial Services
404 NBTB NBT Bancorp Inc. $2.46B 47.29 13.36 10.41 Δ 2.95 - 1.22% 5.69% 6.46% 3.07% +22.41% Financial Services
405 SHO Sunstone Hotel Investors, Inc. $2.21B 11.86 107.82 60.82 Δ 47.00 11.29% 1.79% -2.35% - 3.07% +41.83% Real Estate
406 TSCO Tractor Supply Company $15.63B 29.81 14.68 12.88 Δ 1.80 17.64% 8.23% 3.00% 0.23% 3.07% -41.51% Consumer Cyclical
407 TOWN TowneBank $3.20B 35.00 16.83 10.05 Δ 6.78 - 0.84% 6.70% -3.56% 3.06% +12.40% Financial Services
408 ABBV AbbVie Inc. $406.38B 230.01 112.20 14.15 Δ 98.05 10.47% 10.03% 1.75% -29.06% 3.04% +28.04% Healthcare
409 YORW The York Water Company $478.18M 29.50 20.07 19.28 Δ 0.79 4.24% 2.66% 6.06% 6.33% 3.04% -5.39% Utilities
410 MCBS MetroCity Bankshares, Inc. $979.03M 34.16 12.29 10.35 Δ 1.94 - 1.79% - 10.03% 3.03% +31.67% Financial Services
411 DRH DiamondRock Hospitality Company $2.51B 12.25 26.63 21.87 Δ 4.76 - 3.46% 2.51% 3.90% 3.02% +67.61% Real Estate
412 ADP Automatic Data Processing, Inc. $85.78B 214.60 20.02 17.60 Δ 2.42 47.69% 5.95% 7.61% 11.43% 3.01% -28.10% Technology
413 AROW Arrow Financial Corporation $645.79M 39.07 12.64 8.98 Δ 3.66 - 1.14% 3.53% -3.43% 3.01% +62.60% Financial Services
414 HBT HBT Financial, Inc. $1.11B 30.48 13.98 9.94 Δ 4.04 - 1.17% - 4.04% 3.01% +33.48% Financial Services
415 VLY Valley National Bancorp $7.89B 14.24 12.83 9.26 Δ 3.57 - 1.04% - 11.53% 3.01% +72.32% Financial Services
416 KFY Korn Ferry $3.52B 67.77 13.45 11.77 Δ 1.68 11.92% 5.96% 10.72% 18.58% 3.00% -1.85% Industrials
417 EOG EOG Resources, Inc. $70.75B 132.83 13.06 8.96 Δ 4.10 13.55% 8.97% 9.75% 8.81% 2.99% +11.14% Energy
418 WSR Whitestone REIT $973.92M 18.95 19.74 42.30 Δ -22.56 - 2.97% 4.92% 25.36% 2.99% +58.70% Real Estate
419 XEL Xcel Energy Inc. $49.20B 78.81 22.71 17.39 Δ 5.32 3.48% 2.34% 1.28% 7.24% 2.99% +22.57% Utilities
420 BANR Banner Corporation $2.23B 65.54 11.03 9.74 Δ 1.29 - 1.26% 1.59% 5.96% 2.98% +8.80% Financial Services
421 CTBI Community Trust Bancorp, Inc. $1.25B 68.96 12.08 10.99 Δ 1.09 - 1.59% - 8.90% 2.98% +42.17% Financial Services
422 FBP First BanCorp. $3.98B 25.74 11.44 10.75 Δ 0.69 - 1.87% 0.34% 27.52% 2.98% +35.25% Financial Services
423 HOMB Home BancShares, Inc. $5.60B 27.78 11.43 10.76 Δ 0.67 - 2.07% - 19.69% 2.97% +3.80% Financial Services
424 IVZ Invesco Ltd. $12.76B 28.78 -19.58 9.64 Δ -29.22 -1.13% 2.68% 1.78% -43.53% 2.97% +102.36% Financial Services
425 TXNM TXNM Energy, Inc. $6.35B 57.35 40.67 17.40 Δ 23.27 4.00% 2.06% 5.88% -2.61% 2.96% +4.33% Utilities
426 HMN Horace Mann Educators Corporation $1.98B 49.03 12.32 9.66 Δ 2.66 - 1.03% 3.80% 5.07% 2.95% +20.19% Financial Services
427 PFG Principal Financial Group, Inc. $24.03B 111.23 15.96 10.89 Δ 5.07 - 0.38% 2.02% 1.80% 2.95% +51.79% Financial Services
428 WEYS Weyco Group, Inc. $352.12M 36.94 14.90 25.48 Δ -10.58 10.76% 6.23% 1.28% 3.74% 2.95% +31.66% Consumer Cyclical
429 AEP American Electric Power Company, Inc. $70.90B 130.30 19.28 19.01 Δ 0.27 5.68% 3.17% 3.66% 15.77% 2.94% +32.83% Utilities
430 RDN Radian Group Inc. $4.67B 35.11 8.18 6.37 Δ 1.81 - 5.69% -0.58% 8.16% 2.94% +4.26% Financial Services
431 SKT Tanger Inc. $4.51B 39.30 37.08 31.89 Δ 5.19 7.07% 4.61% 9.53% 11.83% 2.94% +36.37% Real Estate
432 BUR Burford Capital Limited $937.62M 4.28 -0.58 5.90 Δ -6.48 - -17.20% 9.00% 27.06% 2.93% -60.71% Financial Services
433 CZFS Citizens Financial Services, Inc. $324.04M 67.44 8.23 8.12 Δ 0.11 - 1.30% 6.14% 8.53% 2.93% +21.76% Financial Services
434 NBHC National Bank Holdings Corporation $1.91B 42.75 15.95 10.36 Δ 5.59 - 0.94% 7.82% 21.30% 2.93% +23.05% Financial Services
435 ACNB ACNB Corporation $580.15M 56.81 11.48 10.37 Δ 1.11 - 1.56% 13.12% 1.20% 2.92% +43.80% Financial Services
436 FITB Fifth Third Bancorp $48.59B 53.61 18.05 10.90 Δ 7.15 - 0.85% 0.48% 4.85% 2.92% +43.20% Financial Services
437 AVNT Avient Corporation $3.42B 37.28 21.67 11.04 Δ 10.63 3.93% 4.04% 2.91% -1.64% 2.91% +12.64% Basic Materials
438 DBI Designer Brands Inc. $263.00M 6.11 27.77 10.43 Δ 17.34 3.51% 2.28% 3.76% - 2.91% +177.26% Consumer Cyclical
439 MGPI MGP Ingredients, Inc. $347.28M 16.25 -1.46 7.72 Δ -9.18 -9.13% 3.94% 4.14% - 2.91% -45.49% Consumer Defensive
440 TMP Tompkins Financial Corporation $1.30B 90.30 7.72 11.08 Δ -3.36 - 1.98% 2.31% 10.67% 2.91% +55.67% Financial Services
441 VTRS Viatris Inc. $17.91B 15.38 -51.27 5.77 Δ -57.04 -8.85% 2.31% 3.41% - 2.91% +82.28% Healthcare
442 WAFD WaFd, Inc. $2.72B 36.80 12.07 10.72 Δ 1.35 - 0.91% 1.95% 7.87% 2.91% +36.29% Financial Services
443 WMB The Williams Companies, Inc. $91.66B 74.95 32.87 29.19 Δ 3.68 8.00% 4.89% 2.11% 5.55% 2.91% +30.80% Energy
444 KDP Keurig Dr Pepper Inc. $42.00B 30.87 22.87 12.23 Δ 10.64 7.58% 3.61% 6.11% 9.43% 2.90% -3.93% Consumer Defensive
445 NEE NextEra Energy, Inc. $179.53B 86.08 21.85 19.57 Δ 2.28 4.36% 2.41% 4.12% 8.76% 2.90% +23.76% Utilities
446 SB Safe Bulkers, Inc. $716.74M 7.01 23.37 15.58 Δ 7.79 4.90% 2.91% -7.62% -39.31% 2.90% +86.18% Industrials
447 SCL Stepan Company $1.22B 53.50 -86.29 13.67 Δ -99.96 4.64% 1.49% 3.84% -1.83% 2.90% +1.81% Basic Materials
448 SWX Southwest Gas Holdings, Inc. $6.41B 88.55 26.83 18.11 Δ 8.72 4.99% 2.75% 10.99% 12.26% 2.90% +23.40% Utilities
449 UCB United Community Banks, Inc. $4.00B 33.38 12.23 10.07 Δ 2.16 - 1.22% 12.98% 14.86% 2.89% +23.90% Financial Services
450 EFSI Eagle Financial Services, Inc. $227.37M 42.01 11.03 11.43 Δ -0.40 - 1.01% - 5.59% 2.88% +49.41% Financial Services
451 LXFR Luxfer Holdings PLC $511.77M 18.95 45.12 13.39 Δ 31.73 8.84% 5.85% -0.84% -8.89% 2.88% +70.44% Industrials
452 PLD Prologis, Inc. $134.10B 143.83 36.05 42.94 Δ -6.89 - 2.48% 14.83% 36.55% 2.88% +41.31% Real Estate
453 XHR Xenia Hotels & Resorts, Inc. $1.85B 20.10 28.71 36.55 Δ -7.84 - 2.51% 1.42% - 2.88% +70.40% Real Estate
454 XRX Xerox Holdings Corporation $400.19M 3.06 -0.37 3.31 Δ -3.68 - 0.14% -4.31% - 2.88% -40.95% Industrials
455 BDX Becton, Dickinson and Company $38.77B 140.71 24.56 10.51 Δ 14.05 5.49% 4.38% 7.17% 4.04% 2.87% +8.77% Healthcare
456 CBFV CB Financial Services, Inc. $179.32M 35.35 27.19 10.83 Δ 16.36 - 0.45% 7.65% 1.17% 2.87% +32.50% Financial Services
457 COP ConocoPhillips $133.65B 109.70 18.59 11.93 Δ 6.66 - 5.87% -6.89% -2.19% 2.87% +20.83% Energy
458 ABT Abbott Laboratories $152.98B 87.83 24.60 14.50 Δ 10.10 12.76% 5.59% 0.51% -2.01% 2.86% -32.31% Healthcare
459 BBW Build-A-Bear Workshop, Inc. $398.82M 31.81 7.45 7.39 Δ 0.06 26.07% 13.01% 1.73% 1.70% 2.86% -38.35% Consumer Cyclical
460 MRK Merck & Co., Inc. $285.22B 115.48 32.53 12.07 Δ 20.46 - 12.58% 5.64% 10.01% 2.86% +50.51% Healthcare
461 PNC The PNC Financial Services Group, Inc. $94.25B 234.71 13.64 11.17 Δ 2.47 - 1.26% 7.89% 8.69% 2.86% +38.42% Financial Services
462 LNT Alliant Energy Corporation $18.91B 73.21 23.02 19.86 Δ 3.16 4.48% 2.62% 1.02% 5.88% 2.85% +25.82% Utilities
463 ORRF Orrstown Financial Services, Inc. $768.03M 39.09 8.95 9.11 Δ -0.16 - 1.54% 13.82% 11.90% 2.85% +35.53% Financial Services
464 PG The Procter & Gamble Company $343.89B 147.68 21.59 20.84 Δ 0.75 22.93% 10.93% 0.36% 1.66% 2.85% -3.86% Consumer Defensive
465 SRE Sempra $59.89B 91.62 31.16 16.55 Δ 14.61 3.46% 1.81% 3.05% 3.18% 2.85% +26.92% Utilities
466 THFF First Financial Corporation $880.48M 74.04 10.89 9.77 Δ 1.12 - 1.38% - 8.12% 2.85% +51.17% Financial Services
467 AMGN Amgen Inc. $186.05B 344.72 23.96 14.68 Δ 9.28 18.02% 8.35% 11.77% 5.58% 2.84% +22.60% Healthcare
468 CBU Community Financial System, Inc. $3.34B 63.50 15.41 11.80 Δ 3.61 - 1.26% 6.39% 8.34% 2.84% +20.74% Financial Services
469 DRI Darden Restaurants, Inc. $24.28B 212.00 22.32 18.63 Δ 3.69 13.18% 7.26% 3.59% 6.20% 2.84% -1.91% Consumer Cyclical
470 HD The Home Depot, Inc. $325.68B 326.62 23.18 20.28 Δ 2.90 28.75% 12.52% 1.52% -6.11% 2.84% -3.38% Consumer Cyclical
471 KRO Kronos Worldwide, Inc. $782.36M 6.80 -5.86 16.19 Δ -22.05 -3.07% -2.29% -1.24% -68.71% 2.84% +15.77% Basic Materials
472 AWK American Water Works Company, Inc. $24.39B 124.92 22.11 19.05 Δ 3.06 6.12% 3.51% 6.25% 12.34% 2.83% -9.14% Utilities
473 PSX Phillips 66 $67.52B 168.41 16.64 9.80 Δ 6.84 10.78% 3.80% -8.00% -26.36% 2.83% +39.55% Energy
474 SM SM Energy Company $6.61B 27.56 11.63 3.46 Δ 8.17 12.37% 2.94% 5.35% - 2.83% +4.40% Energy
475 GBX The Greenbrier Companies, Inc. $1.55B 50.20 10.70 12.34 Δ -1.64 - 3.11% 10.19% 29.39% 2.82% +13.52% Industrials
476 JOUT Johnson Outdoors Inc. $421.44M 45.47 -30.11 19.35 Δ -49.46 -3.24% 0.67% 2.96% - 2.82% +59.12% Consumer Cyclical
477 MBWM Mercantile Bank Corporation $932.13M 53.96 9.67 9.14 Δ 0.53 - 1.40% - 14.99% 2.82% +27.75% Financial Services
478 ALRS Alerus Financial Corporation $747.83M 29.76 28.34 11.06 Δ 17.28 - 0.51% 1.88% -24.18% 2.81% +46.64% Financial Services
479 ASIX AdvanSix Inc. $525.16M 19.48 54.11 6.66 Δ 47.45 4.57% 1.40% -1.46% -4.72% 2.81% -14.94% Basic Materials
480 EIG Employers Holdings, Inc. $848.66M 46.52 101.13 18.12 Δ 83.01 - 0.21% 3.49% -11.97% 2.81% +3.54% Financial Services
481 FCBC First Community Bankshares, Inc. $827.49M 43.86 16.61 14.48 Δ 2.13 - 1.43% - 6.31% 2.81% +25.24% Financial Services
482 FCF First Commonwealth Financial Corporation $2.00B 19.70 12.96 10.03 Δ 2.93 - 1.31% - 15.70% 2.81% +32.30% Financial Services
483 MRBK Meridian Corporation $228.06M 19.18 10.37 7.52 Δ 2.85 - 0.84% 10.10% 27.99% 2.81% +72.27% Financial Services
484 XOM Exxon Mobil Corporation $573.95B 138.47 23.31 13.02 Δ 10.29 - 4.22% 0.61% -1.88% 2.80% +26.23% Energy
485 CWT California Water Service Group $2.71B 45.20 22.60 16.38 Δ 6.22 3.49% 2.19% 6.83% 7.98% 2.79% +0.89% Utilities
486 CMCL Caledonia Mining Corporation Plc $398.04M 20.61 6.48 4.03 Δ 2.45 32.22% 15.52% 23.50% 70.00% 2.78% +6.05% Basic Materials
487 KGS Kodiak Gas Services, Inc. $7.14B 70.72 93.05 23.42 Δ 69.63 8.65% 5.99% 21.19% -18.33% 2.78% +114.59% Energy
488 SYY Sysco Corporation $37.29B 77.98 21.66 15.75 Δ 5.91 18.32% 8.29% 4.66% 3.00% 2.78% +8.45% Consumer Defensive
489 USPH U.S. Physical Therapy, Inc. $951.33M 62.51 125.02 18.32 Δ 106.70 8.14% 4.13% 8.84% 7.88% 2.78% -13.15% Healthcare
490 CMRE Costamare Inc. $1.84B 15.25 5.39 5.49 Δ -0.10 13.10% 5.92% -7.63% -13.07% 2.77% +62.35% Industrials
491 KSS Kohl's Corporation $2.00B 17.60 7.39 11.80 Δ -4.41 5.76% 2.31% -0.33% -7.39% 2.77% +118.12% Consumer Cyclical
492 STZ Constellation Brands, Inc. $24.36B 141.51 14.73 11.37 Δ 3.36 14.17% 8.51% 3.96% -3.33% 2.77% -9.16% Consumer Defensive
493 CRC California Resources Corporation $4.87B 54.81 -10.68 12.34 Δ -23.02 9.41% -1.40% -2.55% -4.92% 2.76% +22.59% Energy
494 LARK Landmark Bancorp, Inc. $178.78M 29.32 9.37 8.69 Δ 0.68 - 1.20% - 11.54% 2.76% +20.17% Financial Services
495 AEE Ameren Corporation $30.36B 109.70 19.73 18.89 Δ 0.84 5.32% 3.09% 3.41% 10.68% 2.75% +19.49% Utilities
496 IVT InvenTrust Properties Corp. $2.69B 34.46 24.61 -96.17 Δ 120.78 - 1.18% -7.59% - 2.75% +27.17% Real Estate
497 SBFG SB Financial Group, Inc. $144.52M 23.03 9.03 8.93 Δ 0.10 - 1.04% - 25.22% 2.75% +36.49% Financial Services
498 TRST TrustCo Bank Corp NY $923.02M 52.82 15.49 18.40 Δ -2.91 - 0.98% - 4.97% 2.75% +77.82% Financial Services
499 HPK HighPeak Energy, Inc. $948.95M 7.51 -6.53 -26.82 Δ 20.29 5.03% 1.97% 154.32% - 2.74% -34.76% Energy
500 PXED Phoenix Education Partners, Inc. $1.09B 30.48 11.21 6.27 Δ 4.94 65.93% 27.12% 9.81% 43.59% 2.73% -18.94% Consumer Defensive
501 TCBK TriCo Bancshares $1.65B 51.56 13.09 11.88 Δ 1.21 - 1.30% 5.42% 16.92% 2.73% +36.98% Financial Services
502 CFG Citizens Financial Group, Inc. $28.75B 67.99 16.11 10.60 Δ 5.51 - 0.88% -8.09% 8.38% 2.72% +69.87% Financial Services
503 FSBW FS Bancorp, Inc. $309.93M 41.80 9.72 8.15 Δ 1.57 - 1.06% 70.69% 26.66% 2.72% +14.11% Financial Services
504 IRM Iron Mountain Incorporated $39.23B 131.86 143.33 49.32 Δ 94.01 6.29% 4.56% 7.80% 3.39% 2.72% +32.83% Real Estate
505 APA APA Corporation $12.09B 34.20 7.97 7.90 Δ 0.07 20.20% 9.61% -6.96% -26.45% 2.70% +75.40% Energy
506 BKU BankUnited, Inc. $3.53B 48.50 13.55 10.58 Δ 2.97 - 0.77% 6.45% 2.52% 2.70% +48.00% Financial Services
507 OFG OFG Bancorp $1.99B 47.19 9.75 10.04 Δ -0.29 - 1.80% - 14.67% 2.70% +18.46% Financial Services
508 APOG Apogee Enterprises, Inc. $884.36M 41.42 16.44 11.19 Δ 5.25 10.69% 6.31% -0.84% -19.59% 2.69% +13.33% Industrials
509 BR Broadridge Financial Solutions, Inc. $15.75B 136.22 14.58 13.09 Δ 1.49 17.78% 9.17% 7.79% 17.34% 2.69% -41.54% Technology
510 MSEX Middlesex Water Company $964.37M 51.78 21.58 17.32 Δ 4.26 4.28% 2.84% 4.35% 9.53% 2.69% -5.31% Utilities
511 KTB Kontoor Brands, Inc. $4.21B 76.14 15.35 11.85 Δ 3.50 16.93% 15.70% 1.36% 8.76% 2.68% +21.75% Consumer Cyclical
512 MAC The Macerich Company $6.81B 24.04 -33.39 801.33 Δ -834.72 - 1.37% 0.83% - 2.67% +55.19% Real Estate
513 MET MetLife, Inc. $56.34B 87.56 16.94 7.96 Δ 8.98 - 0.45% -15.18% -1.35% 2.67% +14.82% Financial Services
514 POOL Pool Corporation $7.13B 195.61 17.98 16.25 Δ 1.73 21.13% 9.49% 6.60% 12.25% 2.67% -29.83% Industrials
515 AEO American Eagle Outfitters, Inc. $2.98B 17.79 11.19 9.12 Δ 2.07 10.43% 6.83% 3.59% 15.33% 2.66% +91.74% Consumer Cyclical
516 CHCO City Holding Company $1.80B 127.82 14.11 13.46 Δ 0.65 - 1.97% 3.74% 7.24% 2.66% +13.16% Financial Services
517 ZTS Zoetis Inc. $31.82B 75.89 12.44 10.22 Δ 2.22 - 15.53% 5.92% 18.61% 2.66% -50.30% Healthcare
518 CIVB Civista Bancshares, Inc. $557.41M 26.82 9.93 9.24 Δ 0.69 - 1.21% 4.05% 7.50% 2.65% +26.01% Financial Services
519 DLR Digital Realty Trust, Inc. $68.71B 195.54 51.73 68.27 Δ -16.54 - 1.26% 15.18% 18.41% 2.65% +13.92% Real Estate
520 AIG American International Group, Inc. $40.49B 76.37 13.45 8.58 Δ 4.87 - 1.88% -3.69% -32.85% 2.64% -7.19% Financial Services
521 GBCI Glacier Bancorp, Inc. $6.37B 48.93 22.86 13.42 Δ 9.44 - 0.90% 5.08% 7.90% 2.64% +24.45% Financial Services
522 PBF PBF Energy Inc. $4.65B 39.29 10.37 6.90 Δ 3.47 -0.58% -1.97% 2.93% - 2.63% +75.43% Energy
523 PKG Packaging Corporation of America $20.85B 234.03 28.40 19.10 Δ 9.30 11.40% 8.37% 8.18% 10.79% 2.63% +28.77% Consumer Cyclical
524 EPC Edgewell Personal Care Company $1.05B 22.72 -98.78 11.05 Δ -109.83 3.03% 3.20% -3.85% -13.99% 2.62% +1.72% Consumer Defensive
525 HWC Hancock Whitney Corporation $5.74B 70.78 14.56 9.80 Δ 4.76 - 1.18% 3.07% -2.48% 2.62% +35.92% Financial Services
526 TSBK Timberland Bancorp, Inc. $332.61M 42.49 10.89 10.28 Δ 0.61 - 1.55% - 3.74% 2.62% +43.82% Financial Services
527 CVS CVS Health Corporation $129.25B 101.30 44.43 12.10 Δ 32.33 2.83% 2.67% 9.67% -2.20% 2.61% +57.10% Healthcare
528 FFIN First Financial Bankshares, Inc. $4.74B 33.09 17.98 15.48 Δ 2.50 - 1.78% 5.89% 2.65% 2.61% -3.40% Financial Services
529 GABC German American Bancorp, Inc. $1.70B 45.32 12.45 11.37 Δ 1.08 - 1.61% 20.57% 14.89% 2.61% +26.78% Financial Services
530 GILD Gilead Sciences, Inc. $155.03B 124.87 16.99 12.92 Δ 4.07 21.23% 13.29% 11.38% 9.79% 2.61% +18.63% Healthcare
531 MCD McDonald's Corporation $191.91B 270.10 22.27 19.00 Δ 3.27 22.47% 13.56% 0.92% 7.33% 2.61% -4.48% Consumer Cyclical
532 EBC Eastern Bankshares, Inc. $4.46B 20.74 11.46 9.56 Δ 1.90 - 1.34% -2.84% -4.61% 2.60% +49.07% Financial Services
533 PANL Pangaea Logistics Solutions Ltd. $490.61M 7.50 13.89 8.49 Δ 5.40 5.12% 3.07% 4.05% 1.90% 2.60% +60.79% Industrials
534 ADM Archer-Daniels-Midland Company $36.77B 76.29 34.06 14.69 Δ 19.37 5.60% 1.67% -7.54% -37.14% 2.59% +45.76% Consumer Defensive
535 AWR American States Water Company $3.04B 77.66 22.64 20.36 Δ 2.28 8.00% 5.04% 3.96% 9.73% 2.59% +2.36% Utilities
536 CASS Cass Information Systems, Inc. $635.19M 49.35 21.09 14.41 Δ 6.68 - 1.44% 1.29% 4.98% 2.59% +21.83% Industrials
537 MTB M&T Bank Corporation $33.35B 227.73 12.79 10.90 Δ 1.89 - 1.38% -6.05% 8.52% 2.59% +29.06% Financial Services
538 RBB RBB Bancorp $431.87M 25.50 10.81 10.43 Δ 0.38 - 1.00% 12.94% 9.43% 2.59% +62.88% Financial Services
539 ERIE Erie Indemnity Company $9.78B 211.65 19.38 15.11 Δ 4.27 29.76% 14.84% 2.55% 13.10% 2.58% -38.10% Financial Services
540 MTH Meritage Homes Corporation $5.01B 75.08 13.70 11.50 Δ 2.20 - 3.90% - 1.36% 2.58% +23.40% Consumer Cyclical
541 APD Air Products and Chemicals, Inc. $63.04B 283.11 29.83 19.89 Δ 9.94 -0.62% 3.60% -1.77% -39.16% 2.57% +5.57% Basic Materials
542 ESRT Empire State Realty Trust, Inc. $883.02M 5.15 24.52 85.83 Δ -61.31 3.56% 2.04% 7.07% 4.53% 2.57% -38.53% Real Estate
543 KO The Coca-Cola Company $342.18B 79.53 25.01 22.83 Δ 2.18 16.47% 9.51% 2.86% 4.46% 2.57% +18.17% Consumer Defensive
544 BSRR Sierra Bancorp $514.14M 39.31 11.49 10.14 Δ 1.35 - 1.24% - 10.22% 2.56% +48.61% Financial Services
545 USCB USCB Financial Holdings, Inc. $354.68M 19.42 13.21 8.84 Δ 4.37 - 1.01% - 19.26% 2.56% +25.10% Financial Services
546 HP Helmerich & Payne, Inc. $3.54B 35.45 -9.35 25.64 Δ -34.99 3.94% 1.01% 5.02% - 2.55% +111.62% Energy
547 LMT Lockheed Martin Corporation $113.81B 493.60 23.91 15.38 Δ 8.53 21.18% 7.23% 3.30% 2.84% 2.55% +8.18% Industrials
548 FRST Primis Financial Corp. $383.47M 15.48 8.28 8.08 Δ 0.20 - 1.16% - 21.41% 2.54% +61.36% Financial Services
549 NI NiSource Inc. $22.84B 47.63 23.70 21.23 Δ 2.47 5.65% 3.39% 4.32% 4.95% 2.54% +24.50% Utilities
550 PLGO Pelagos Insurance Capital Limit $1.96B 22.98 6.31 5.64 Δ 0.67 - 2.27% 12.73% 62.45% 2.54% +44.36% Financial Services
551 ABM ABM Industries Incorporated $2.57B 43.86 16.87 10.10 Δ 6.77 7.98% 3.77% 3.86% -11.00% 2.53% +2.21% Industrials
552 CTSH AI Cognizant Technology Solutions Corporation $19.79B 41.83 9.07 6.78 Δ 2.29 19.53% 10.44% 13.57% 10.83% 2.53% -46.03% Technology
553 SNA Snap-on Incorporated $20.24B 390.70 20.17 18.35 Δ 1.82 17.72% 9.92% 2.99% 8.95% 2.52% +30.85% Industrials
554 WKC World Kinect Corporation $1.63B 31.68 -3.13 13.02 Δ -16.15 -22.11% 2.22% 4.14% - 2.52% +15.79% Energy
555 AVY Avery Dennison Corporation $12.05B 157.48 17.71 14.10 Δ 3.61 18.28% 8.27% 1.65% 5.75% 2.51% -7.41% Consumer Cyclical
556 LZB La-Z-Boy Incorporated $1.64B 39.99 20.00 13.51 Δ 6.49 9.05% 4.31% 3.95% 7.70% 2.51% +7.17% Consumer Cyclical
557 MPB Mid Penn Bancorp, Inc. $846.77M 33.41 15.19 9.22 Δ 5.97 - 0.82% - 16.50% 2.51% +28.87% Financial Services
558 DCOM Dime Commercial Bancshares, Inc. $1.73B 39.16 14.72 8.99 Δ 5.73 - 0.85% 10.05% 17.18% 2.50% +54.99% Financial Services
559 ITW Illinois Tool Works Inc. $76.33B 265.31 24.66 21.80 Δ 2.86 38.25% 17.04% -0.02% - 2.50% +12.73% Industrials
560 PLOW Douglas Dynamics, Inc. $1.15B 49.88 22.47 16.01 Δ 6.46 13.87% 8.03% 8.64% 10.25% 2.50% +80.59% Consumer Cyclical
561 CCEP Coca-Cola Europacific Partners PLC $42.94B 96.98 19.59 17.31 Δ 2.28 12.76% 6.50% 6.46% 8.80% 2.49% +7.08% -
562 CFFI C&F Financial Corporation $246.45M 75.73 8.69 6.94 Δ 1.75 - 1.05% 2.34% 10.38% 2.49% +29.59% Financial Services
563 FIP FTAI Infrastructure Inc. $563.64M 4.77 -1.06 -3.61 Δ 2.55 2.07% 0.59% 24.25% 10.07% 2.49% -24.88% Industrials
564 KELYA Kelly Services, Inc. $345.42M 11.01 -1.45 6.44 Δ -7.89 -4.89% 0.95% -2.40% - 2.49% -1.76% Industrials
565 TROX Tronox Holdings plc $1.17B 7.34 -2.51 -42.39 Δ 39.88 -4.78% -0.77% 4.60% - 2.49% +39.43% Basic Materials
566 FUNC First United Corporation $272.37M 42.25 10.81 8.98 Δ 1.83 - 1.26% 5.71% 12.11% 2.48% +51.55% Financial Services
567 IBM AI International Business Machines Corporation $237.06B 252.22 22.32 18.79 Δ 3.53 - 5.37% -2.09% -0.89% 2.48% -8.66% Technology
568 NRIM Northrim BanCorp, Inc. $561.90M 25.26 8.77 9.19 Δ -0.42 - 2.00% 85.46% 14.19% 2.48% +18.62% Financial Services
569 RYZ Ryerson Holding Corporation $1.41B 27.25 -18.41 12.00 Δ -30.41 -1.77% 0.04% 2.53% - 2.47% +35.63% Industrials
570 SVC Service Properties Trust $1.07B 1.66 -1.16 -6.38 Δ 5.22 - 1.90% 0.72% - 2.47% -31.74% Real Estate
571 DPZ Domino's Pizza, Inc. $9.82B 295.11 17.00 14.09 Δ 2.91 81.20% 32.49% 8.18% 13.46% 2.46% -32.67% Consumer Cyclical
572 EBMT Eagle Bancorp Montana, Inc. $184.80M 23.20 11.60 10.81 Δ 0.79 - 0.74% - 13.86% 2.46% +54.10% Financial Services
573 OTTR Otter Tail Corporation $3.70B 88.21 13.24 16.58 Δ -3.34 9.57% 5.56% -0.03% 12.89% 2.46% +18.59% Industrials
574 SHBI Shore Bancshares, Inc. $738.37M 22.07 11.74 9.98 Δ 1.76 - 1.01% 12.99% 14.04% 2.46% +55.63% Financial Services
575 MGEE MGE Energy, Inc. $2.87B 76.01 19.49 18.32 Δ 1.17 5.97% 3.81% - 5.72% 2.45% -12.50% Utilities
576 TNET TriNet Group, Inc. $1.98B 43.10 12.75 8.91 Δ 3.84 40.43% 4.19% 13.03% 12.95% 2.45% -41.43% Industrials
577 ULH Universal Logistics Holdings, Inc. $392.38M 14.88 -3.59 12.40 Δ -15.99 -4.43% 1.74% 7.32% - 2.45% -38.07% Industrials
578 SBAC SBA Communications Corporation $19.90B 187.59 19.75 23.14 Δ -3.39 15.09% 8.57% -3.83% 112.87% 2.44% -15.90% Real Estate
579 PRK Park National Corporation $3.19B 176.55 16.20 13.81 Δ 2.39 - 1.57% 8.92% 16.36% 2.41% +14.82% Financial Services
580 SBUX Starbucks Corporation $114.14B 100.15 76.45 33.26 Δ 43.19 13.46% 7.38% 7.93% 5.80% 2.41% +11.39% Consumer Cyclical
581 AOS A. O. Smith Corporation $6.57B 58.69 15.65 14.07 Δ 1.58 31.95% 12.78% 0.67% 32.33% 2.40% -5.00% Industrials
582 AROC Archrock, Inc. $6.67B 38.08 20.70 16.27 Δ 4.43 14.18% 8.69% 20.78% 93.77% 2.40% +57.26% Energy
583 ESNT Essent Group Ltd. $5.43B 58.93 8.38 7.63 Δ 0.75 - 7.27% 28.44% 10.81% 2.40% +0.97% Financial Services
584 OTIS Otis Worldwide Corporation $27.81B 72.48 19.28 15.36 Δ 3.92 71.17% 13.35% 1.60% 4.04% 2.40% -22.70% Industrials
585 VLGEA Village Super Market, Inc. $435.71M 40.78 11.11 13.72 Δ -2.61 8.76% 4.30% 4.23% 7.32% 2.40% +13.12% Consumer Defensive
586 HBB Hamilton Beach Brands Holding Company $203.09M 20.39 9.80 12.74 Δ -2.94 13.33% 6.23% -2.33% 2.99% 2.39% +24.99% Consumer Cyclical
587 MVBF MVB Financial Corp. $356.71M 27.76 12.73 11.05 Δ 1.68 - 0.90% -3.38% 21.43% 2.39% +38.36% Financial Services
588 BANC Banc of California, Inc. $3.11B 20.21 15.55 9.81 Δ 5.74 - 0.72% 90.64% 57.32% 2.38% +51.69% Financial Services
589 CNOB ConnectOne Bancorp, Inc. $1.64B 32.70 17.58 8.91 Δ 8.67 - 0.82% - 21.08% 2.38% +53.56% Financial Services
590 CPK Chesapeake Utilities Corporation $2.86B 118.97 19.10 16.27 Δ 2.83 7.39% 4.34% 8.07% 14.58% 2.38% +0.64% Utilities
591 PPG PPG Industries, Inc. $26.51B 118.92 17.04 13.72 Δ 3.32 15.55% 6.28% 1.46% 3.60% 2.38% +12.79% Basic Materials
592 CL Colgate-Palmolive Company $70.95B 88.67 34.37 21.93 Δ 12.44 34.88% 16.10% 2.19% 1.14% 2.37% +3.09% Consumer Defensive
593 DOLE Dole plc $1.32B 13.87 14.91 9.30 Δ 5.61 7.68% 2.97% 5.48% -35.68% 2.37% +1.26% Consumer Defensive
594 RC Ready Capital Corporation $264.35M 1.60 -0.51 -2.75 Δ 2.24 - -6.12% - - 2.37% -62.10% Real Estate
595 SBCF Seacoast Banking Corporation of Florida $3.03B 31.17 20.92 11.47 Δ 9.45 - 0.79% - 13.25% 2.37% +28.47% Financial Services
596 CATY Cathay General Bancorp $4.02B 59.95 12.36 10.17 Δ 2.19 - 1.41% 8.65% 6.61% 2.36% +43.47% Financial Services
597 EG Everest Group, Ltd. $13.43B 339.30 6.91 5.60 Δ 1.31 - 2.66% 9.88% 43.44% 2.36% +3.17% Financial Services
598 VCTR Victory Capital Holdings, Inc. $5.45B 87.19 19.59 11.25 Δ 8.34 11.70% 12.16% 18.42% 56.27% 2.36% +43.01% Financial Services
599 VTR Ventas, Inc. $40.37B 83.04 150.98 98.08 Δ 52.90 - 2.21% 12.10% -0.47% 2.36% +36.08% Real Estate
600 ATO Atmos Energy Corporation $28.31B 169.59 20.89 18.90 Δ 1.99 5.80% 3.88% 7.49% 11.79% 2.35% +13.77% Utilities
601 CRI Carter's, Inc. $1.53B 41.57 16.69 11.51 Δ 5.18 6.99% 3.80% 3.97% 0.97% 2.34% +43.84% Consumer Cyclical
602 PLBC Plumas Bancorp $388.82M 55.80 11.82 9.68 Δ 2.14 - 1.68% -1.98% 15.39% 2.33% +35.49% Financial Services
603 BSVN Bank7 Corp. $434.56M 45.65 9.78 10.03 Δ -0.25 - 2.40% - 11.01% 2.32% +22.72% Financial Services
604 ONB Old National Bancorp $9.66B 25.01 12.89 8.60 Δ 4.29 - 1.20% -1.76% 14.97% 2.31% +25.28% Financial Services
605 PBI Pitney Bowes Inc. $2.32B 17.14 16.48 9.79 Δ 6.69 - 7.68% -6.32% -5.31% 2.31% +70.24% Industrials
606 CNMD CONMED Corporation $979.75M 32.54 18.38 6.80 Δ 11.58 5.10% 3.71% 4.36% 8.84% 2.30% -37.28% Healthcare
607 DVN Devon Energy Corporation $49.65B 43.05 11.99 7.90 Δ 4.09 -10.52% 6.07% 2.93% -1.71% 2.30% +29.75% Energy
608 ETR Entergy Corporation $51.37B 112.20 28.62 22.16 Δ 6.46 5.00% 2.77% 1.44% 2.17% 2.30% +42.20% Utilities
609 JILL J.Jill, Inc. $217.24M 14.53 10.61 5.94 Δ 4.67 15.84% 5.96% -0.76% 1.65% 2.30% +2.61% Consumer Cyclical
610 CCBG Capital City Bank Group, Inc. $801.37M 46.86 13.27 12.90 Δ 0.37 - 1.36% - 14.28% 2.29% +30.99% Financial Services
611 FANG Diamondback Energy, Inc. $52.83B 187.80 191.63 10.66 Δ 180.97 1.90% -0.12% 45.10% 42.47% 2.29% +29.48% Energy
612 KMT Kennametal Inc. $2.70B 35.44 19.91 9.10 Δ 10.81 7.39% 5.04% -0.76% -13.65% 2.29% +65.64% Industrials
613 MGY Magnolia Oil & Gas Corporation $5.02B 27.13 15.68 10.35 Δ 5.33 16.79% 9.27% 18.36% 114.99% 2.28% +15.54% Energy
614 PPHC Public Policy Holding Company, Inc. $239.79M 8.17 -3.66 6.18 Δ -9.84 -22.65% -19.25% 24.72% - 2.28% -26.34% Industrials
615 STNG Scorpio Tankers Inc. $4.10B 82.45 8.14 12.85 Δ -4.71 8.15% 6.26% -15.64% -18.55% 2.28% +90.02% Energy
616 UNH UnitedHealth Group Incorporated $369.32B 406.68 30.62 19.46 Δ 11.16 9.74% 3.78% 10.40% 5.43% 2.27% +35.93% Healthcare
617 BG Bunge Global SA $21.62B 111.42 29.32 10.24 Δ 19.08 - 2.38% 0.20% -20.84% 2.26% +33.91% Consumer Defensive
618 CCNE CNB Financial Corporation $957.61M 32.32 11.26 8.47 Δ 2.79 - 1.10% - 13.67% 2.26% +52.43% Financial Services
619 GSBC Great Southern Bancorp, Inc. $815.03M 74.82 11.88 13.23 Δ -1.35 - 1.22% - 0.55% 2.26% +37.51% Financial Services
620 LOW Lowe's Companies, Inc. $120.28B 214.40 18.12 15.91 Δ 2.21 29.28% 12.79% 3.48% 9.86% 2.26% +3.69% Consumer Cyclical
621 RBCAA Republic Bancorp, Inc. $1.50B 85.62 13.21 12.93 Δ 0.28 - 1.77% 10.02% 12.96% 2.26% +28.12% Financial Services
622 SPB Spectrum Brands Holdings, Inc. $1.93B 83.29 16.27 15.20 Δ 1.07 4.37% 2.87% 0.60% 0.43% 2.26% +64.81% Consumer Defensive
623 FXNC First National Corporation $265.35M 29.35 12.65 11.67 Δ 0.98 - 1.02% 8.97% 14.09% 2.25% +61.60% Financial Services
624 PKBK Parke Bancorp, Inc. $374.10M 31.89 9.11 5.98 Δ 3.13 - 1.92% - 11.54% 2.25% +72.60% Financial Services
625 FRAF Franklin Financial Services Corporation $278.75M 62.04 11.62 9.57 Δ 2.05 - 1.05% - 7.59% 2.24% +86.91% Financial Services
626 RNST Renasant Corporation $3.89B 42.11 17.84 10.59 Δ 7.25 - 1.00% - 15.32% 2.24% +24.89% Financial Services
627 CBAN Colony Bankcorp, Inc. $438.22M 20.71 12.94 9.75 Δ 3.19 - 0.87% - 19.05% 2.23% +39.13% Financial Services
628 FSBC Five Star Bancorp $979.88M 45.84 14.55 11.59 Δ 2.96 - 1.45% - 11.39% 2.23% +77.28% Financial Services
629 JNJ Johnson & Johnson $556.77B 231.29 26.83 18.19 Δ 8.64 14.88% 8.42% 2.43% 4.76% 2.23% +57.28% Healthcare
630 RES RPC, Inc. $1.43B 6.47 71.89 24.42 Δ 47.47 3.58% 2.46% 6.57% - 2.23% +28.08% Energy
631 BLK BlackRock, Inc. $163.27B 1,051.74 26.47 17.32 Δ 9.15 4.89% 3.62% 10.65% 2.36% 2.22% +9.62% Financial Services
632 CINF Cincinnati Financial Corporation $26.68B 172.46 9.86 18.78 Δ -8.92 - 5.55% 7.28% 10.64% 2.22% +21.08% Financial Services
633 ILPT Industrial Logistics Properties Trust $557.99M 8.37 -10.33 -9.51 Δ -0.82 - 1.78% - - 2.22% +82.84% Real Estate
634 WWW Wolverine World Wide, Inc. $1.42B 17.32 14.08 9.86 Δ 4.22 12.64% 6.22% 2.56% -0.00% 2.22% +0.48% Consumer Cyclical
635 JMSB John Marshall Bancorp, Inc. $303.55M 21.51 13.61 10.12 Δ 3.49 - 0.97% - -4.44% 2.21% +24.08% Financial Services
636 LEN Lennar Corporation $18.82B 87.44 13.71 11.86 Δ 1.85 - 3.88% 12.56% -3.36% 2.21% -13.88% Consumer Cyclical
637 LFVN LifeVantage Corporation $76.70M 6.08 13.51 13.31 Δ 0.20 27.27% 6.44% 13.48% -3.22% 2.21% -50.57% Consumer Defensive
638 LMNR Limoneira Company $232.45M 12.82 -5.60 24.97 Δ -30.57 -7.26% -7.18% 9.72% - 2.21% -12.49% Consumer Defensive
639 CURB Curbline Properties Corp. $3.21B 30.42 101.40 89.47 Δ 11.93 - 0.87% 35.73% 15.73% 2.20% +37.55% Real Estate
640 SRCE 1st Source Corporation $1.87B 77.82 11.94 11.13 Δ 0.81 - 1.78% - 12.09% 2.19% +34.95% Financial Services
641 HWBK Hawthorn Bancshares, Inc. $263.31M 38.18 10.94 10.15 Δ 0.79 - 1.29% 3.36% 4.68% 2.18% +36.96% Financial Services
642 TRMK Trustmark Corporation $2.64B 45.10 11.96 11.00 Δ 0.96 - 1.22% - 5.35% 2.18% +36.27% Financial Services
643 LVS Las Vegas Sands Corp. $31.67B 47.80 17.64 13.01 Δ 4.63 15.92% 9.90% 6.77% - 2.17% +16.70% Consumer Cyclical
644 PATK Patrick Industries, Inc. $2.84B 86.47 22.23 14.53 Δ 7.70 10.12% 5.37% 20.04% 6.83% 2.17% -1.96% Consumer Cyclical
645 DK Delek US Holdings, Inc. $2.63B 42.88 -47.64 18.19 Δ -65.83 6.97% 2.74% 9.64% - 2.16% +107.13% Energy
646 HON Honeywell International Inc. $144.54B 228.11 36.44 19.93 Δ 16.51 16.17% 5.95% 0.44% 3.74% 2.16% +11.47% Industrials
647 KR The Kroger Co. $34.38B 55.76 36.21 9.93 Δ 26.28 5.93% 5.76% 4.21% -0.96% 2.16% -13.12% Consumer Defensive
648 TMUS T-Mobile US, Inc. $194.86B 180.06 19.11 12.88 Δ 6.23 9.39% 5.87% 22.63% 28.77% 2.16% -16.99% Communication Services
649 UVSP Univest Financial Corporation $1.17B 42.12 12.69 11.19 Δ 1.50 - 1.18% - 14.24% 2.16% +50.22% Financial Services
650 VHI Valhi, Inc. $373.02M 13.18 -5.19 4.07 Δ -9.26 2.90% -0.42% 3.11% - 2.16% -13.08% Basic Materials
651 WFC Wells Fargo & Company $256.57B 83.84 12.96 10.61 Δ 2.35 - 1.05% -1.22% 5.56% 2.15% +14.64% Financial Services
652 AHR American Healthcare REIT, Inc. $9.09B 47.16 79.93 54.84 Δ 25.09 2.95% 2.11% 11.80% 61.95% 2.14% +35.10% Real Estate
653 CBRL Cracker Barrel Old Country Store, Inc. $1.03B 46.12 40.10 72.41 Δ -32.31 3.58% -0.05% 2.44% -2.17% 2.14% -19.87% Consumer Cyclical
654 CNP CenterPoint Energy, Inc. $28.21B 43.12 26.45 20.71 Δ 5.74 5.24% 2.84% -0.17% 5.59% 2.14% +23.99% Utilities
655 EXPO Exponent, Inc. $2.71B 55.87 26.11 20.24 Δ 5.87 19.98% 10.06% 6.04% 10.29% 2.14% -24.24% Industrials
656 FMBH First Mid Bancshares, Inc. $1.23B 46.08 11.64 9.42 Δ 2.22 - 1.14% - 16.28% 2.14% +33.87% Financial Services
657 OVLY Oak Valley Bancorp $278.74M 33.13 11.50 11.50 Δ 0.00 - 1.22% - 11.57% 2.14% +33.42% Financial Services
658 GNE Genie Energy Ltd. $347.61M 14.00 18.18 30.43 Δ -12.25 10.94% 2.92% 6.07% 3.17% 2.13% -43.82% Utilities
659 MRSH Marsh & McLennan Companies, Inc. $77.14B 160.12 20.02 14.15 Δ 5.87 16.53% 7.27% 8.26% 2.93% 2.13% -23.86% Financial Services
660 MMS Maximus, Inc. $2.84B 54.04 8.11 5.96 Δ 2.15 15.99% 8.64% 13.46% 12.78% 2.12% -20.52% Industrials
661 SLB SLB N.V. $71.69B 47.95 21.12 14.34 Δ 6.78 16.25% 6.47% 2.41% -2.35% 2.10% +37.41% Energy
662 ABX Abacus Global Management, Inc. $917.02M 9.56 25.16 8.42 Δ 16.74 12.15% 7.27% 73.92% 4.86% 2.09% +73.48% Financial Services
663 CI The Cigna Group $74.62B 282.08 11.28 8.43 Δ 2.85 9.06% 4.78% 23.94% 13.76% 2.09% -8.29% Healthcare
664 CBT Cabot Corporation $4.68B 90.70 17.11 12.96 Δ 4.15 21.73% 9.50% 0.90% 8.25% 2.08% +27.10% Basic Materials
665 FBIZ First Business Financial Services, Inc. $505.07M 60.40 9.97 9.01 Δ 0.96 - 1.24% 9.67% 7.19% 2.08% +31.02% Financial Services
666 AFL Aflac Incorporated $59.32B 116.55 13.32 15.33 Δ -2.01 - 3.09% -3.23% -6.20% 2.07% +15.99% Financial Services
667 EVC Entravision Communications Corporation $816.12M 9.87 -49.35 -51.95 Δ 2.60 -31.34% 3.81% 5.53% - 2.07% +348.70% Communication Services
668 IOSP Innospec Inc. $2.03B 82.47 18.01 13.50 Δ 4.51 8.80% 5.03% 7.04% 62.88% 2.07% +1.98% Basic Materials
669 DG Dollar General Corporation $24.81B 112.46 15.91 14.06 Δ 1.85 9.18% 4.63% 8.38% 9.79% 2.06% +2.17% Consumer Defensive
670 GEN Gen Digital Inc. $13.86B 23.01 14.66 7.00 Δ 7.66 16.46% 8.67% -0.89% 11.92% 2.06% -20.10% Technology
671 ACT Enact Holdings, Inc. $5.96B 42.72 9.25 8.59 Δ 0.66 - 8.33% 4.12% -1.44% 2.05% +21.72% Financial Services
672 BFST Business First Bancshares, Inc. $947.66M 29.00 10.28 8.92 Δ 1.36 - 1.09% 20.27% 27.45% 2.05% +28.34% Financial Services
673 WNEB Western New England Bancorp, Inc. $273.90M 13.61 15.47 12.26 Δ 3.21 - 0.65% 36.97% 6.64% 2.05% +61.66% Financial Services
674 IFF International Flavors & Fragrances Inc. $19.39B 75.95 23.51 15.78 Δ 7.73 -1.77% 2.12% 9.33% - 2.04% +3.88% Basic Materials
675 CCS Century Communities, Inc. $1.80B 62.45 14.07 15.23 Δ -1.16 1.75% 2.96% 30.35% 22.94% 2.03% +21.73% Real Estate
676 EFSC Enterprise Financial Services Corp $2.31B 63.27 11.94 10.77 Δ 1.17 - 1.22% - 22.04% 2.03% +22.64% Financial Services
677 BCAL California BanCorp $633.65M 19.70 10.77 10.78 Δ -0.01 - 1.49% 25.01% 57.59% 2.02% +38.70% Financial Services
678 CMCO Columbus McKinnon Corporation $419.45M 14.55 -1.97 5.80 Δ -7.77 -2.84% 1.58% 5.91% - 2.02% +1.88% Industrials
679 EML The Eastern Company $140.16M 23.24 29.79 59.58 Δ -29.79 5.65% 3.17% 4.77% 12.81% 2.02% +1.40% Industrials
680 UNP Union Pacific Corporation $154.31B 259.91 21.37 18.97 Δ 2.40 15.22% 9.14% 2.30% 7.77% 2.02% +19.73% Industrials
681 BAC Bank of America Corporation $407.13B 57.37 14.24 11.36 Δ 2.88 - 0.93% 6.00% 3.49% 2.00% +30.09% Financial Services
682 OVBC Ohio Valley Banc Corp. $224.20M 47.59 14.51 14.88 Δ -0.37 - 0.97% - 5.48% 2.00% +67.48% Financial Services
683 STT State Street Corporation $48.08B 173.71 17.62 12.57 Δ 5.05 - 0.80% 2.90% 4.83% 2.00% +79.84% Financial Services
684 FCCO First Community Corporation $299.51M 31.87 12.50 10.09 Δ 2.41 - 0.94% -4.57% 13.72% 1.99% +46.32% Financial Services
685 MYE Myers Industries, Inc. $1.05B 27.97 25.20 15.04 Δ 10.16 10.93% 6.73% 1.02% -1.02% 1.99% +97.81% Consumer Cyclical
686 OBK Origin Bancorp, Inc. $1.53B 49.54 19.20 11.66 Δ 7.54 - 0.81% - 21.69% 1.99% +45.36% Financial Services
687 FAST Fastenal Company $52.95B 46.12 40.81 33.55 Δ 7.26 38.17% 21.20% 7.97% 9.83% 1.98% +13.49% Industrials
688 HTH Hilltop Holdings Inc. $2.22B 37.98 14.44 15.91 Δ -1.47 - 1.06% 8.69% -18.04% 1.98% +31.98% Financial Services
689 MMM 3M Company $85.13B 163.22 31.45 17.28 Δ 14.17 16.45% 8.12% 0.11% -1.28% 1.97% +16.67% Industrials
690 NC NACCO Industries, Inc. $301.87M 50.49 17.65 9.95 Δ 7.70 3.72% -3.58% -12.41% -3.50% 1.97% +31.79% Energy
691 NATH Nathan's Famous, Inc. $412.80M 100.82 20.79 31.55 Δ -10.76 86.63% 38.87% 7.51% 8.33% 1.96% -3.86% Consumer Cyclical
692 ALL The Allstate Corporation $57.29B 222.56 4.92 8.47 Δ -3.55 - 7.52% 9.84% 299.22% 1.95% +16.03% Financial Services
693 GLNG Golar LNG Limited $5.17B 50.75 37.87 47.28 Δ -9.41 2.72% 2.69% 13.70% -56.31% 1.95% +22.66% Energy
694 HRI Herc Holdings Inc. $5.12B 153.43 - 15.47 - - 3.82% -12.61% -57.68% 1.94% +40.19% Industrials
695 SAH Sonic Automotive, Inc. $1.58B 80.58 25.42 10.70 Δ 14.72 10.90% 5.45% 5.90% 8.63% 1.94% +6.10% Consumer Cyclical
696 YUM Yum! Brands, Inc. $41.55B 150.74 24.31 20.11 Δ 4.20 38.53% 23.30% -1.32% 3.04% 1.94% +11.04% Consumer Cyclical
697 CME CME Group Inc. $88.60B 245.20 20.92 18.99 Δ 1.93 11.09% 1.55% 7.56% 10.65% 1.93% -6.38% Financial Services
698 FCAP First Capital, Inc. $210.77M 63.00 12.07 8.99 Δ 3.08 - 1.40% 7.92% 11.20% 1.93% +48.52% Financial Services
699 RPC Ridgepost Capital, Inc $628.11M 8.03 38.24 6.64 Δ 31.60 - 6.14% 45.95% 10.31% 1.93% -9.39% Financial Services
700 SFBC Sound Financial Bancorp, Inc. $102.27M 42.99 14.67 10.82 Δ 3.85 - 0.69% - 11.54% 1.93% -7.55% Financial Services
701 FDS FactSet Research Systems Inc. $7.96B 218.62 14.08 11.28 Δ 2.80 19.78% 10.91% 8.58% 9.25% 1.92% -47.69% Financial Services
702 CAL Caleres, Inc. $425.58M 12.67 - 5.57 - 2.43% 1.76% 1.23% - 1.91% -1.43% Consumer Cyclical
703 CDW CDW Corporation $15.79B 123.57 15.05 10.62 Δ 4.43 18.81% 6.70% 7.39% 6.23% 1.91% -25.91% Technology
704 MCHP AI Microchip Technology Incorporated $55.68B 102.71 466.86 25.10 Δ 441.76 3.70% 2.23% 8.78% -1.41% 1.91% +55.10% Technology
705 PSKY Paramount Skydance Corporation $10.76B 9.89 329.67 11.38 Δ 318.29 -16.09% 2.81% -1.48% - 1.91% -16.50% Communication Services
706 NGVC Natural Grocers by Vitamin Cottage, Inc. $696.98M 30.25 14.54 13.10 Δ 1.44 12.11% 5.92% 12.23% 20.27% 1.90% -23.88% Consumer Defensive
707 LEG Leggett & Platt, Incorporated $1.45B 10.66 6.62 10.53 Δ -3.91 - 3.94% -0.03% 4.90% 1.89% +19.28% Consumer Cyclical
708 PEBK Peoples Bancorp of North Carolina, Inc. $227.79M 42.90 11.82 11.67 Δ 0.15 - 1.16% - 12.73% 1.89% +59.23% Financial Services
709 TXN AI Texas Instruments Incorporated $302.41B 332.28 56.90 35.30 Δ 21.60 19.17% 12.16% 1.37% 3.58% 1.89% +72.22% Technology
710 NX Quanex Building Products Corporation $773.89M 16.85 -3.03 8.01 Δ -11.04 -11.07% 3.04% 14.58% -127.97% 1.88% -8.02% Industrials
711 CHMG Chemung Financial Corporation $344.38M 71.45 18.85 9.49 Δ 9.36 - 0.66% - 6.85% 1.87% +55.67% Financial Services
712 EQIX Equinix, Inc. $110.06B 1,115.94 77.12 58.05 Δ 19.07 5.10% 3.50% 16.33% 16.02% 1.87% +28.69% Real Estate
713 IBOC International Bancshares Corporation $4.67B 75.11 11.21 10.65 Δ 0.56 - 2.52% - 6.92% 1.87% +22.58% Financial Services
714 JPM JPMorgan Chase & Co. $888.20B 331.48 15.88 14.07 Δ 1.81 - 1.27% 5.35% 7.56% 1.87% +23.35% Financial Services
715 MS Morgan Stanley $358.19B 227.09 20.57 17.87 Δ 2.70 - 1.27% 3.76% 9.66% 1.87% +75.50% Financial Services
716 CWBC Community West Bancshares $686.77M 25.31 11.72 8.43 Δ 3.29 - 1.14% - 18.32% 1.86% +42.50% Financial Services
717 CWCO Consolidated Water Co. Ltd. $464.33M 29.02 26.62 20.01 Δ 6.61 7.99% 4.21% 5.28% 7.12% 1.86% +0.66% Utilities
718 JKHY Jack Henry & Associates, Inc. $8.77B 123.42 17.21 17.40 Δ -0.19 22.67% 13.66% 7.20% 9.43% 1.86% -30.93% Technology
719 VLO Valero Energy Corporation $72.39B 243.78 17.82 11.41 Δ 6.41 7.25% 6.49% 5.52% -4.36% 1.86% +79.33% Energy
720 HIG The Hartford Insurance Group, Inc. $35.50B 129.50 9.11 9.15 Δ -0.04 - 3.88% -14.62% 1.47% 1.85% +5.50% Financial Services
721 HII Huntington Ingalls Industries, Inc. $10.96B 278.19 18.08 13.66 Δ 4.42 6.77% 4.10% 4.38% 10.41% 1.85% +20.78% Industrials
722 KBH KB Home $3.29B 52.52 10.14 11.81 Δ -1.67 - 4.30% 4.33% 7.68% 1.85% +5.58% Consumer Cyclical
723 NTRS Northern Trust Corporation $32.49B 175.56 18.38 14.79 Δ 3.59 - 1.10% 0.94% 4.96% 1.84% +61.78% Financial Services
724 OXY Occidental Petroleum Corporation $51.72B 52.00 70.27 12.89 Δ 57.38 - 2.50% 0.77% -6.50% 1.84% +17.03% Energy
725 SFBS ServisFirst Bancshares, Inc. $4.48B 81.92 13.74 11.42 Δ 2.32 - 1.61% - 27.22% 1.84% +15.45% Financial Services
726 CF CF Industries Holdings, Inc. $15.92B 103.60 9.33 8.96 Δ 0.37 17.42% 11.34% 5.38% 7.86% 1.83% +5.50% Basic Materials
727 OBT Orange County Bancorp, Inc. $484.43M 36.13 10.60 9.42 Δ 1.18 - 1.68% - 28.93% 1.82% +56.55% Financial Services
728 SCHL Scholastic Corporation $749.64M 42.53 17.65 15.93 Δ 1.72 1.19% 1.33% -0.80% - 1.82% +126.83% Communication Services
729 SHOO Steven Madden, Ltd. $3.12B 42.73 40.31 15.86 Δ 24.45 5.82% 8.19% 10.59% - 1.82% +87.93% Consumer Cyclical
730 FRBA First Bank $410.80M 16.39 9.81 9.09 Δ 0.72 - 1.07% 14.72% 6.36% 1.81% +14.17% Financial Services
731 GOLD Gold.com, Inc. $1.21B 41.81 13.62 11.52 Δ 2.10 - 2.76% 2.68% 40.78% 1.81% +101.29% Financial Services
732 SIGI Selective Insurance Group, Inc. $5.53B 92.44 12.65 10.44 Δ 2.21 - 2.66% 7.38% 14.94% 1.81% +10.71% Financial Services
733 UTMD Utah Medical Products, Inc. $210.59M 66.14 19.57 21.99 Δ -2.42 9.51% 6.22% 2.51% - 1.80% +25.65% Healthcare
734 HBCP Home Bancorp, Inc. $520.04M 66.31 11.14 10.59 Δ 0.55 - 1.32% - 15.36% 1.79% +37.36% Financial Services
735 PWP Perella Weinberg Partners $1.17B 16.02 64.08 10.64 Δ 53.44 6.03% 4.44% 5.87% - 1.79% -9.15% Financial Services
736 SAP AI SAP SE $174.56B 149.51 20.79 15.19 Δ 5.60 18.17% 9.08% 7.63% 46.36% 1.78% -47.51% Technology
737 AZN AstraZeneca PLC $273.62B 176.43 26.61 21.94 Δ 4.67 15.97% 8.49% 9.82% 45.96% 1.77% +26.84% Healthcare
738 GD General Dynamics Corporation $92.85B 343.36 21.61 18.91 Δ 2.70 13.24% 6.00% 10.07% 7.49% 1.77% +25.54% Industrials
739 GRMN Garmin Ltd. $45.58B 236.34 26.41 22.89 Δ 3.52 20.23% 11.90% 4.68% 5.52% 1.76% +21.14% Technology
740 METC Ramaco Resources, Inc. $721.52M 13.41 -12.19 75.55 Δ -87.74 -5.43% -4.80% 67.34% - 1.76% +17.73% Basic Materials
741 PRDO Perdoceo Education Corporation $2.06B 32.80 12.52 9.82 Δ 2.70 17.66% 10.14% -3.86% 5.92% 1.76% +3.51% Consumer Defensive
742 WDFC WD-40 Company $3.00B 223.11 37.88 35.03 Δ 2.85 27.79% 14.07% 4.47% 6.36% 1.76% -6.61% Basic Materials
743 VSTS Vestis Corporation $1.73B 13.11 -100.85 19.73 Δ -120.58 2.58% 2.15% 0.59% - 1.75% +125.26% Industrials
744 HQI HireQuest, Inc. $172.72M 12.39 25.81 21.18 Δ 4.63 8.62% 4.70% -5.31% 3.38% 1.74% +25.65% Industrials
745 QCOM AI QUALCOMM Incorporated $233.88B 221.90 23.89 20.80 Δ 3.09 30.13% 12.69% 9.34% 2.92% 1.74% +47.48% Technology
746 COF Capital One Financial Corporation $124.89B 200.70 61.75 8.26 Δ 53.49 - 0.49% -2.93% 2.51% 1.73% +3.29% Financial Services
747 INTU AI Intuit Inc. $70.51B 257.77 15.74 9.43 Δ 6.31 18.52% 9.46% 11.43% 13.10% 1.73% -65.57% Technology
748 MAS Masco Corporation $14.84B 73.58 18.21 15.65 Δ 2.56 34.40% 15.68% -2.26% 4.20% 1.73% +23.08% Industrials
749 MLR Miller Industries, Inc. $566.71M 49.73 37.11 15.54 Δ 21.57 6.96% 2.29% 7.80% 8.75% 1.73% +14.89% Consumer Cyclical
750 C Citigroup Inc. $248.45B 145.67 17.98 11.63 Δ 6.35 - 0.61% 0.54% 7.94% 1.72% +90.14% Financial Services
751 HAL Halliburton Company $29.38B 35.17 19.43 12.03 Δ 7.40 11.64% 7.38% 2.10% -5.40% 1.72% +61.52% Energy
752 NSC Norfolk Southern Corporation $68.31B 304.17 25.63 22.46 Δ 3.17 10.51% 5.89% 1.43% 3.79% 1.72% +22.49% Industrials
753 NOC Northrop Grumman Corporation $72.06B 507.33 15.89 16.83 Δ -0.94 11.41% 7.36% 4.65% -5.12% 1.71% +4.17% Industrials
754 ELV Elevance Health, Inc. $85.74B 394.82 16.73 13.50 Δ 3.23 10.08% 3.98% 8.34% -1.33% 1.70% +7.24% Healthcare
755 MGRC McGrath RentCorp $2.91B 118.42 18.80 16.89 Δ 1.91 - 6.53% 7.99% 10.14% 1.70% +5.50% Industrials
756 RCKY Rocky Brands, Inc. $308.06M 40.85 16.54 9.99 Δ 6.55 9.75% 4.25% 4.75% 20.19% 1.70% +94.19% Consumer Cyclical
757 RCL Royal Caribbean Cruises Ltd. $82.97B 309.36 18.86 15.46 Δ 3.40 16.61% 8.08% 26.59% 99.32% 1.70% +17.50% Consumer Cyclical
758 UFPI UFP Industries, Inc. $4.83B 85.44 18.61 15.53 Δ 3.08 10.40% 5.12% 8.66% 16.89% 1.70% -8.79% Basic Materials
759 BANF BancFirst Corporation $3.74B 111.34 15.25 14.89 Δ 0.36 - 1.70% 7.40% 14.25% 1.69% -4.50% Financial Services
760 DGX Quest Diagnostics Incorporated $21.43B 193.58 21.37 16.59 Δ 4.78 11.16% 6.35% 2.81% 6.13% 1.69% +9.62% Healthcare
761 GS The Goldman Sachs Group, Inc. $326.39B 1,106.37 20.22 16.87 Δ 3.35 - 0.94% - 2.21% 1.69% +77.67% Financial Services
762 SYBT Stock Yards Bancorp, Inc. $2.16B 73.35 15.09 13.21 Δ 1.88 - 1.55% -0.38% 14.39% 1.69% +0.88% Financial Services
763 UVE Universal Insurance Holdings, Inc. $1.07B 38.32 5.67 8.71 Δ -3.04 - 6.06% 13.53% 12.25% 1.69% +49.92% Financial Services
764 APO Apollo Global Management, Inc. $77.95B 135.21 85.04 12.74 Δ 72.30 5.46% 0.71% 42.96% 92.69% 1.68% +3.22% Financial Services
765 ATKR Atkore Inc. $2.77B 81.95 -22.83 13.32 Δ -36.15 10.21% 3.69% 5.29% - 1.67% +25.39% Industrials
766 FVCB FVCBankcorp, Inc. $303.43M 16.86 13.17 10.57 Δ 2.60 - 1.02% -0.96% -4.07% 1.67% +48.58% Financial Services
767 HNVR Hanover Bancorp, Inc. $163.89M 22.90 21.81 7.99 Δ 13.82 - 0.34% - 8.53% 1.67% +11.77% Financial Services
768 DD DuPont de Nemours, Inc. $19.52B 48.19 126.82 18.41 Δ 108.41 4.46% 1.98% -19.27% -37.76% 1.66% +75.45% Basic Materials
769 MEI Methode Electronics, Inc. $493.90M 13.94 -7.66 89.94 Δ -97.60 -2.23% -1.02% 7.04% - 1.66% +58.09% Technology
770 MMI Marcus & Millichap, Inc. $1.09B 28.81 -1,440.50 32.01 Δ -1,472.51 -1.94% -0.03% 7.49% - 1.66% -4.82% Real Estate
771 RRR Red Rock Resorts, Inc. $3.53B 60.45 19.50 16.74 Δ 2.76 15.71% 9.11% 4.11% 5.86% 1.65% +23.02% Consumer Cyclical
772 UFCS United Fire Group, Inc. $1.24B 48.50 9.78 10.71 Δ -0.93 - 2.96% 5.69% - 1.65% +72.19% Financial Services
773 WMK Weis Markets, Inc. $1.93B 78.13 19.29 12.45 Δ 6.84 6.79% 3.88% 4.33% 2.53% 1.65% +8.79% Consumer Defensive
774 AAP Advance Auto Parts, Inc. $3.34B 55.42 49.48 13.82 Δ 35.66 0.63% 1.75% -2.04% -54.41% 1.64% +16.40% Consumer Cyclical
775 SYF Synchrony Financial $25.47B 75.71 7.84 7.22 Δ 0.62 - 2.96% - 4.05% 1.64% +25.26% Financial Services
776 TRV The Travelers Companies, Inc. $66.05B 310.61 9.27 10.88 Δ -1.61 - 4.44% 3.56% 4.66% 1.64% +19.12% Financial Services
777 KALU Kaiser Aluminum Corporation $3.02B 185.03 20.18 17.03 Δ 3.15 8.83% 5.75% 4.85% 31.33% 1.62% +152.88% Basic Materials
778 LHX L3Harris Technologies, Inc. $53.25B 285.83 31.07 20.97 Δ 10.10 6.21% 3.90% 8.62% 14.78% 1.62% +16.73% Industrials
779 NSSC Napco Security Technologies, Inc. $1.34B 37.50 36.41 23.15 Δ 13.26 26.57% 16.93% 6.90% 29.84% 1.61% +33.99% Industrials
780 WM Waste Management, Inc. $85.66B 213.31 30.87 23.07 Δ 7.80 10.69% 6.60% 3.61% 4.81% 1.61% -7.07% Industrials
781 IBP Installed Building Products, Inc. $5.71B 211.92 22.64 18.83 Δ 3.81 22.42% 11.14% 19.25% 22.24% 1.60% +31.16% Consumer Cyclical
782 MNSB MainStreet Bancshares, Inc. $171.59M 24.11 12.12 9.96 Δ 2.16 - 0.78% -0.90% -16.35% 1.60% +34.82% Financial Services
783 SPFI South Plains Financial, Inc. $777.13M 40.59 11.37 9.90 Δ 1.47 - 1.34% - 10.38% 1.60% +17.98% Financial Services
784 CAKE The Cheesecake Factory Incorporated $3.82B 76.91 22.55 17.29 Δ 5.26 7.54% 4.46% 5.12% 8.08% 1.59% +33.14% Consumer Cyclical
785 CC The Chemours Company $3.23B 21.46 -7.86 9.49 Δ -17.35 - 2.13% -1.38% - 1.59% +99.37% Basic Materials
786 AIN Albany International Corp. $2.04B 71.99 -36.73 23.14 Δ -59.87 -2.82% -0.94% 4.55% -53.29% 1.58% +8.97% Consumer Cyclical
787 ALLE Allegion plc $11.25B 130.93 17.91 13.72 Δ 4.19 19.46% 11.03% 7.52% 12.02% 1.58% -3.53% Industrials
788 LUV Southwest Airlines Co. $23.74B 48.57 32.38 10.73 Δ 21.65 2.36% 1.94% 5.98% -2.09% 1.58% +58.80% Industrials
789 NMRK Newmark Group, Inc. $2.31B 14.78 18.25 6.83 Δ 11.42 7.52% 2.98% 8.32% -3.16% 1.58% +32.52% Real Estate
790 DAN Dana Incorporated $3.21B 29.83 -55.24 8.82 Δ -64.06 3.09% 2.27% 2.28% - 1.56% +74.83% Consumer Cyclical
791 EL The Estée Lauder Companies Inc. $20.90B 84.53 -120.76 26.53 Δ -147.29 -5.43% 4.87% 4.28% - 1.56% +14.79% Consumer Defensive
792 TRGP Targa Resources Corp. $56.78B 264.51 27.02 21.50 Δ 5.52 15.37% 9.13% 10.94% - 1.56% +59.79% Energy
793 XYL Xylem Inc. $26.57B 111.77 27.80 18.34 Δ 9.46 8.28% 5.01% 7.48% 7.89% 1.56% -9.52% Industrials
794 EMR Emerson Electric Co. $84.13B 150.21 34.77 20.97 Δ 13.80 - 6.68% -1.14% 0.39% 1.55% +18.65% Industrials
795 FBNC First Bancorp $2.52B 60.80 20.75 12.20 Δ 8.55 - 0.96% 27.83% 4.34% 1.55% +52.46% Financial Services
796 ROL Rollins, Inc. $21.38B 44.41 40.74 31.82 Δ 8.92 30.83% 14.98% 10.17% 12.16% 1.55% -19.82% Consumer Cyclical
797 SIG Signet Jewelers Limited $3.41B 86.73 12.25 7.08 Δ 5.17 9.67% 6.09% 4.31% - 1.55% +7.33% Consumer Cyclical
798 FUL H.B. Fuller Company $3.50B 64.31 22.25 12.50 Δ 9.75 7.84% 4.96% 5.53% 13.05% 1.54% +20.76% Basic Materials
799 STEL Stellar Bancorp, Inc. $1.96B 38.57 18.72 16.43 Δ 2.29 - 0.99% 19.41% 15.60% 1.54% +46.97% Financial Services
800 VIRC Virco Mfg. Corporation $96.11M 6.11 -87.29 3.47 Δ -90.76 2.57% 0.06% 0.29% - 1.54% -23.96% Consumer Cyclical
801 FBK FB Financial Corporation $2.77B 53.82 19.86 10.62 Δ 9.24 - 0.95% - 12.84% 1.53% +27.55% Financial Services
802 TKO TKO Group Holdings, Inc. $14.79B 197.26 73.60 42.31 Δ 31.29 6.12% 3.85% 46.36% - 1.53% +13.85% Communication Services
803 CRAI CRA International, Inc. $906.63M 140.28 19.46 14.56 Δ 4.90 27.82% 7.54% 9.77% 14.46% 1.52% -22.03% Industrials
804 PAHC Phibro Animal Health Corporation $654.60M 31.07 13.33 9.29 Δ 4.04 10.35% 8.40% 5.40% 16.04% 1.52% +31.31% Healthcare
805 AMTB Amerant Bancorp Inc. $915.93M 23.81 16.77 11.17 Δ 5.60 - 0.58% 10.01% -6.10% 1.51% +46.14% Financial Services
806 GATX GATX Corporation $6.38B 179.75 19.29 16.09 Δ 3.20 - 2.36% 10.99% 28.82% 1.51% +18.92% Industrials
807 NRG NRG Energy, Inc. $29.31B 138.91 150.99 11.94 Δ 139.05 8.74% 2.24% 9.43% 2.31% 1.51% -7.95% Utilities
808 RNGR Ranger Energy Services, Inc. $370.92M 15.61 24.78 11.87 Δ 12.91 4.40% 2.51% 38.41% - 1.51% +23.64% Energy
809 RTX RTX Corporation $244.87B 181.83 34.18 23.99 Δ 10.19 8.28% 4.05% 2.61% 2.62% 1.51% +26.64% Industrials
810 DIS The Walt Disney Company $177.91B 102.45 16.39 13.67 Δ 2.72 10.74% 4.45% 6.96% 4.12% 1.50% -12.11% Communication Services
811 SEM Select Medical Holdings Corporation $2.05B 16.55 15.47 12.06 Δ 3.41 6.91% 3.43% 2.90% 4.24% 1.50% +12.92% Healthcare
812 EQBK Equity Bancshares, Inc. $968.26M 46.91 39.75 9.00 Δ 30.75 - 0.38% 2.03% 10.12% 1.49% +23.19% Financial Services
813 AMP Ameriprise Financial, Inc. $42.38B 471.41 11.75 9.90 Δ 1.85 - 2.43% 9.03% 4.20% 1.48% -5.67% Financial Services
814 GPN Global Payments Inc. $17.80B 65.09 23.93 4.02 Δ 19.91 3.82% 2.37% 9.67% 22.33% 1.48% -13.41% Industrials
815 ICE Intercontinental Exchange, Inc. $74.27B 131.34 19.12 14.91 Δ 4.21 9.34% 2.11% 17.47% 14.31% 1.48% -26.00% Financial Services
816 MPC Marathon Petroleum Corporation $72.19B 247.29 16.29 10.04 Δ 6.25 12.90% 5.15% 6.91% 14.73% 1.48% +50.60% Energy
817 WTTR Select Water Solutions, Inc. $2.30B 18.48 88.00 28.22 Δ 59.78 2.10% 1.71% 10.14% - 1.48% +103.74% Energy
818 CRH CRH plc $74.34B 111.25 20.64 16.64 Δ 4.00 10.97% 6.05% 6.41% 9.30% 1.47% +25.85% Basic Materials
819 PFSI PennyMac Financial Services, Inc. $4.14B 79.81 8.48 5.60 Δ 2.88 - 1.82% 22.23% 25.24% 1.47% -14.66% Financial Services
820 WS Worthington Steel, Inc. $2.04B 40.22 16.76 15.04 Δ 1.72 11.05% 4.84% -8.73% -15.02% 1.47% +62.34% Basic Materials
821 BKR Baker Hughes Company $58.68B 59.15 18.90 21.26 Δ -2.36 11.41% 5.01% 5.21% - 1.46% +54.36% Energy
822 ISTR Investar Holding Corporation $407.74M 29.56 13.02 9.08 Δ 3.94 - 0.87% -5.93% -13.76% 1.46% +64.91% Financial Services
823 WTW Willis Towers Watson Public Limited Company $23.89B 252.97 14.85 11.40 Δ 3.45 14.39% 5.09% 7.40% 10.30% 1.46% -13.96% Financial Services
824 PRG PROG Holdings, Inc. $1.56B 38.99 9.92 7.31 Δ 2.61 - 13.78% 2.43% -4.06% 1.45% +42.09% Industrials
825 BWFG Bankwell Financial Group, Inc. $448.57M 56.26 11.27 10.06 Δ 1.21 - 1.21% 115.22% 32.39% 1.44% +64.66% Financial Services
826 FDX FedEx Corporation $78.45B 328.78 17.54 17.40 Δ 0.14 7.22% 5.03% 5.07% 7.89% 1.44% +86.78% Industrials
827 PKOH Park-Ohio Holdings Corp. $526.25M 36.55 20.89 10.66 Δ 10.23 6.30% 3.95% 5.29% - 1.44% +121.61% Industrials
828 PNR Pentair plc $11.96B 74.03 18.60 12.74 Δ 5.86 14.51% 8.88% 1.30% 6.37% 1.44% -22.85% Industrials
829 CNO CNO Financial Group, Inc. $4.80B 51.46 20.75 10.39 Δ 10.36 - 1.04% 0.40% -5.35% 1.43% +41.16% Financial Services
830 MCS The Marcus Corporation $557.98M 23.50 53.41 43.52 Δ 9.89 2.00% 1.40% 4.43% -1.48% 1.43% +39.60% Communication Services
831 TNC Tennant Company $1.54B 90.15 53.66 13.81 Δ 39.85 7.00% 2.99% 4.49% 5.38% 1.43% +22.06% Industrials
832 FNWD Finward Bancorp $149.12M 34.44 15.04 11.06 Δ 3.98 - 0.49% - 3.02% 1.42% +21.78% Financial Services
833 GSM Ferroglobe PLC $695.12M 3.72 -6.31 7.44 Δ -13.75 -11.90% -2.77% -19.90% - 1.42% -2.62% Basic Materials
834 TEL AI TE Connectivity plc $62.08B 212.69 21.75 16.82 Δ 4.93 16.09% 9.55% 1.78% - 1.42% +31.23% Technology
835 ACU Acme United Corporation $171.73M 45.07 19.43 20.12 Δ -0.69 9.91% 4.90% 0.44% 49.72% 1.41% +18.86% Consumer Defensive
836 CBNK Capital Bancorp, Inc. $545.00M 33.46 10.08 8.95 Δ 1.13 - 1.54% - 29.77% 1.41% +8.79% Financial Services
837 KWR Quaker Chemical Corporation $2.61B 150.24 577.85 17.12 Δ 560.73 2.19% 4.34% 9.36% - 1.41% +33.94% Basic Materials
838 LDOS AI Leidos Holdings, Inc. $13.19B 104.84 9.59 7.97 Δ 1.62 19.77% 9.23% 6.06% 28.34% 1.41% -28.59% Technology
839 PHIN PHINIA Inc. $3.01B 81.33 22.78 12.06 Δ 10.72 8.85% 5.43% 1.93% -3.83% 1.41% +94.28% Consumer Cyclical
840 SCHW The Charles Schwab Corporation $160.05B 92.03 18.30 12.69 Δ 5.61 - 1.97% 9.09% 7.50% 1.41% +3.66% Financial Services
841 BALL Ball Corporation $15.50B 58.20 16.97 12.88 Δ 4.09 9.90% 4.70% 4.19% 6.78% 1.40% +5.77% Consumer Cyclical
842 PKE Park Aerospace Corp. $695.23M 33.30 59.46 65.29 Δ -5.83 9.91% 6.38% -5.32% -4.94% 1.40% +150.31% Industrials
843 RJF Raymond James Financial, Inc. $30.53B 156.65 14.79 11.71 Δ 3.08 - 2.45% 9.57% 14.79% 1.40% +7.01% Financial Services
844 AMAL Amalgamated Financial Corp. $1.32B 44.25 12.86 9.79 Δ 3.07 - 1.20% 7.43% 8.63% 1.39% +50.85% Financial Services
845 ARKO Arko Corp. $836.91M 7.46 37.30 149.20 Δ -111.90 3.93% 2.08% -5.80% -31.82% 1.39% +81.66% Consumer Cyclical
846 CSCO AI Cisco Systems, Inc. $479.00B 121.53 40.51 25.44 Δ 15.07 13.48% 7.34% 2.14% 1.39% 1.39% +88.83% Technology
847 FLOC Flowco Holdings Inc. $964.47M 23.06 18.75 12.80 Δ 5.95 9.50% 5.58% 114.15% - 1.39% +33.64% Energy
848 SMBC Southern Missouri Bancorp, Inc. $799.51M 72.58 12.14 10.75 Δ 1.39 - 1.33% - 18.44% 1.38% +42.72% Financial Services
849 WELL Welltower Inc. $149.27B 211.45 101.66 62.93 Δ 38.73 - 0.74% 18.99% 10.37% 1.38% +40.16% Real Estate
850 CARR Carrier Global Corporation $59.68B 71.85 47.90 22.45 Δ 25.45 7.22% 3.15% 2.01% -8.36% 1.37% +4.36% Industrials
851 EFX Equifax Inc. $18.28B 153.49 27.02 14.94 Δ 12.08 11.49% 6.27% 5.85% -1.75% 1.37% -38.79% Industrials
852 MSCI MSCI Inc. $42.24B 580.85 33.21 25.81 Δ 7.40 44.25% 20.55% 11.71% 11.36% 1.37% +8.32% Financial Services
853 RELL Richardson Electronics, Ltd. $229.25M 18.31 67.81 46.95 Δ 20.86 -1.55% 0.64% 2.93% - 1.37% +108.13% Technology
854 TGLS Tecnoglass Inc. $2.05B 46.17 14.29 12.93 Δ 1.36 25.39% 10.57% 16.82% 26.57% 1.37% -38.29% Basic Materials
855 NBBK NB Bancorp, Inc. $890.08M 20.30 14.82 8.20 Δ 6.62 - 0.84% - 18.72% 1.36% +27.08% Financial Services
856 WSM Williams-Sonoma, Inc. $26.62B 226.06 25.34 22.04 Δ 3.30 40.94% 17.36% 5.08% 23.52% 1.36% +42.96% Consumer Cyclical
857 AIZ Assurant, Inc. $12.96B 261.58 13.40 11.64 Δ 1.76 - 2.44% 7.93% 46.67% 1.35% +35.93% Financial Services
858 FLXS Flexsteel Industries, Inc. $264.27M 64.84 11.83 12.84 Δ -1.01 12.07% 8.20% 2.03% 4.25% 1.35% +85.27% Consumer Cyclical
859 PYPL PayPal Holdings, Inc. $37.35B 42.34 7.94 7.35 Δ 0.59 18.96% 4.74% 6.43% 29.33% 1.35% -37.72% Financial Services
860 TIPT Tiptree Inc. $655.97M 17.46 -17.64 - - -0.69% -0.45% -31.77% 5.49% 1.35% -22.06% Financial Services
861 BFC Bank First Corporation $1.60B 142.82 19.89 11.87 Δ 8.02 - 1.39% - 19.02% 1.34% +29.89% Financial Services
862 CARE Carter Bankshares, Inc. $700.44M 31.52 6.47 12.28 Δ -5.81 - 2.28% 8.03% 2.80% 1.34% +90.26% Financial Services
863 IEX IDEX Corporation $16.68B 225.36 33.39 24.42 Δ 8.97 11.01% 6.76% 5.08% 8.18% 1.34% +30.74% Industrials
864 RVSB Riverview Bancorp, Inc. $114.75M 5.58 -26.57 13.95 Δ -40.52 - -0.29% - - 1.34% +5.86% Financial Services
865 GCBC Greene County Bancorp, Inc. $495.27M 29.09 12.70 9.66 Δ 3.04 - 1.26% 11.06% 13.50% 1.33% +35.34% Financial Services
866 NXPI AI NXP Semiconductors N.V. $81.61B 323.24 30.90 18.34 Δ 12.56 13.44% 8.14% 3.59% -1.14% 1.33% +55.78% Technology
867 TNK Teekay Tankers Ltd. $2.33B 77.58 6.30 9.60 Δ -3.30 10.21% 8.60% -6.86% 14.26% 1.33% +70.46% Energy
868 CSPI CSP Inc. $85.71M 8.51 -851.00 - - -6.35% -2.48% -2.81% - 1.32% -24.77% Technology
869 MRTN Marten Transport, Ltd. $1.38B 16.92 94.00 36.00 Δ 58.00 2.67% 0.44% 3.55% 0.44% 1.32% +34.06% Industrials
870 SXT Sensient Technologies Corporation $5.07B 119.07 35.12 25.12 Δ 10.00 10.46% 6.64% 1.50% 2.33% 1.32% +25.53% Basic Materials
871 NHC National HealthCare Corporation $3.15B 201.40 25.59 468.37 Δ -442.78 10.08% 5.28% 5.67% 5.64% 1.31% +93.72% Healthcare
872 CHRW C.H. Robinson Worldwide, Inc. $22.05B 187.07 37.87 25.46 Δ 12.41 24.64% 10.08% 4.53% 3.35% 1.30% +103.43% Industrials
873 PLUS ePlus inc. $2.09B 79.11 16.80 13.63 Δ 3.17 14.29% 5.64% 9.76% 15.77% 1.30% +12.45% Technology
874 NTAP NetApp, Inc. $31.02B 158.31 24.93 16.06 Δ 8.87 24.90% 9.82% 4.26% 19.18% 1.29% +57.05% Technology
875 AJG Arthur J. Gallagher & Co. $53.72B 209.08 33.78 14.07 Δ 19.71 6.58% 2.28% 17.70% 10.27% 1.28% -33.33% Financial Services
876 CDRE Cadre Holdings, Inc. $1.18B 27.56 32.81 19.27 Δ 13.54 10.12% 6.26% 8.57% 2.80% 1.28% -17.39% Industrials
877 LNN Lindsay Corporation $1.21B 116.73 21.34 18.68 Δ 2.66 12.64% 5.09% 4.14% 7.55% 1.28% -12.38% Industrials
878 EQT EQT Corporation $32.42B 51.84 9.84 11.19 Δ -1.35 8.27% 7.73% 22.54% 17.38% 1.27% -11.66% Energy
879 UMBF UMB Financial Corporation $10.40B 136.94 11.98 10.00 Δ 1.98 - 1.24% - 12.28% 1.27% +39.60% Financial Services
880 VC Visteon Corporation $3.20B 120.00 20.07 12.29 Δ 7.78 - 6.00% -4.83% 6.80% 1.27% +33.70% Consumer Cyclical
881 WERN Werner Enterprises, Inc. $2.45B 40.86 -272.40 20.66 Δ -293.06 0.45% 1.56% 1.73% - 1.27% +48.81% Industrials
882 WOR Worthington Enterprises, Inc. $3.03B 61.49 186.33 15.78 Δ 170.55 -0.72% 2.89% -5.02% 4.04% 1.27% +5.90% Industrials
883 CHD Church & Dwight Co., Inc. $22.21B 93.74 30.84 22.92 Δ 7.92 14.53% 8.14% 5.69% 8.13% 1.26% -0.96% Consumer Defensive
884 MCY Mercury General Corporation $5.71B 103.15 6.80 8.60 Δ -1.80 - 7.06% 5.49% 7.63% 1.26% +66.60% Financial Services
885 NDAQ Nasdaq, Inc. $46.72B 82.61 24.88 18.62 Δ 6.26 10.09% 5.55% 4.92% 10.77% 1.26% -3.14% Financial Services
886 SGHC Super Group (SGHC) Limited $7.00B 13.78 28.71 15.41 Δ 13.30 48.02% 24.80% 17.20% 3.70% 1.26% +42.15% Consumer Cyclical
887 HTB HomeTrust Bancshares, Inc. $807.50M 48.05 12.42 12.88 Δ -0.46 - 1.49% 3.62% 15.90% 1.25% +38.38% Financial Services
888 BCC Boise Cascade Company $2.55B 72.54 24.42 13.43 Δ 10.99 6.67% 2.80% 8.39% 10.42% 1.24% -12.62% Basic Materials
889 BY Byline Bancorp, Inc. $1.61B 35.48 11.52 10.52 Δ 1.00 - 1.43% - 28.26% 1.24% +44.13% Financial Services
890 CB Chubb Limited $126.13B 325.20 11.50 11.12 Δ 0.38 - 3.36% 8.29% 8.00% 1.24% +15.96% Financial Services
891 KINS Kingstone Companies, Inc. $242.77M 16.76 7.58 5.59 Δ 1.99 - 5.76% 18.19% 93.66% 1.23% +15.12% Financial Services
892 RMD ResMed Inc. $27.34B 188.45 18.19 15.52 Δ 2.67 23.55% 14.71% 11.36% 15.16% 1.23% -24.15% Healthcare
893 LIN Linde plc $238.90B 516.71 34.26 26.22 Δ 8.04 12.46% 7.24% 13.90% 18.47% 1.22% +14.16% Basic Materials
894 NVGS Navigator Holdings Ltd. $1.35B 21.90 13.52 12.58 Δ 0.94 6.91% 3.65% 7.40% 23.25% 1.22% +52.39% Energy
895 BMI Badger Meter, Inc. $3.93B 134.82 30.43 25.83 Δ 4.60 22.29% 11.31% 8.45% 9.29% 1.21% -43.62% Technology
896 CMI Cummins Inc. $100.03B 724.93 37.64 21.39 Δ 16.25 16.51% 7.27% 5.41% 7.77% 1.21% +133.83% Industrials
897 LBRT Liberty Energy Inc. $4.54B 27.85 30.60 76.20 Δ -45.60 2.56% 1.31% 30.12% - 1.21% +116.08% Energy
898 STE STERIS plc $19.53B 200.40 25.27 16.55 Δ 8.72 11.49% 6.65% 9.55% 24.36% 1.21% -14.48% Healthcare
899 EEX Emerald Holding, Inc. $995.48M 5.03 -26.47 17.34 Δ -43.81 2.43% 4.22% 4.22% - 1.20% +5.30% Communication Services
900 OSBC Old Second Bancorp, Inc. $1.14B 22.08 13.22 9.62 Δ 3.60 - 1.37% 10.79% 15.27% 1.20% +34.18% Financial Services
901 ROK Rockwell Automation, Inc. $53.20B 478.08 49.54 32.92 Δ 16.62 18.30% 9.34% 3.05% -3.11% 1.20% +50.67% Industrials
902 HUBB Hubbell Incorporated $28.50B 539.39 31.86 24.77 Δ 7.09 17.99% 10.20% 4.64% 8.47% 1.19% +36.91% Industrials
903 RSG Republic Services, Inc. $62.87B 204.36 29.32 25.35 Δ 3.97 10.91% 6.18% 9.62% 11.74% 1.19% -16.79% Industrials
904 YOU Clear Secure, Inc. $5.23B 51.96 41.57 19.50 Δ 22.07 34.31% 10.41% 29.35% - 1.19% +114.75% Technology
905 ASO Academy Sports and Outdoors, Inc. $3.22B 51.88 9.17 7.40 Δ 1.77 12.07% 5.88% 2.99% 43.09% 1.18% +18.53% Consumer Cyclical
906 CSX CSX Corporation $85.85B 46.20 28.34 21.32 Δ 7.02 11.15% 7.08% 1.91% 4.38% 1.18% +45.32% Industrials
907 HPE AI Hewlett Packard Enterprise Company $64.09B 48.40 45.23 12.11 Δ 33.12 3.21% 1.97% -4.57% -27.80% 1.18% +177.89% Technology
908 PCAR PACCAR Inc $63.22B 120.12 25.50 17.73 Δ 7.77 - 4.15% 3.85% 3.74% 1.18% +35.76% Industrials
909 PCG PG&E Corporation $36.62B 16.63 12.89 9.23 Δ 3.66 3.87% 2.53% 3.80% 5.99% 1.18% +19.31% Utilities
910 AXP American Express Company $230.67B 338.07 21.12 16.78 Δ 4.34 - 3.80% 8.87% 6.02% 1.17% +15.25% Financial Services
911 DHI D.R. Horton, Inc. $44.22B 155.94 14.64 12.96 Δ 1.68 - 7.30% 15.01% 8.60% 1.17% +30.07% Consumer Cyclical
912 MSI Motorola Solutions, Inc. $65.11B 392.23 31.61 21.18 Δ 10.43 22.45% 11.22% -6.15% 17.81% 1.17% -2.00% Technology
913 RICK RCI Hospitality Holdings, Inc. $207.13M 27.07 -34.71 6.48 Δ -41.19 5.67% 4.00% 9.50% 4.67% 1.17% -30.67% Consumer Cyclical
914 VOXR Vox Royalty Corp. $353.47M 5.13 11.40 19.18 Δ -7.78 1.97% 20.16% 25.01% 161.76% 1.16% +42.41% Basic Materials
915 VRSN AI VeriSign, Inc. $22.54B 247.69 27.40 23.17 Δ 4.23 - 52.07% 3.77% - 1.16% -10.81% Technology
916 CFBK CF Bankshares Inc. $193.28M 30.10 10.83 7.17 Δ 3.66 - 0.85% - -9.94% 1.15% +29.88% Financial Services
917 EBAY eBay Inc. $46.59B 104.94 24.24 15.52 Δ 8.72 17.55% 8.59% 1.55% 10.29% 1.14% +37.09% Consumer Cyclical
918 NDSN Nordson Corporation $16.44B 295.06 31.49 23.74 Δ 7.75 13.79% 7.92% 5.49% 8.69% 1.14% +39.60% Industrials
919 TJX The TJX Companies, Inc. $181.36B 164.17 31.94 28.51 Δ 3.43 21.26% 13.87% 6.84% 8.48% 1.14% +35.61% Consumer Cyclical
920 VTOL Bristow Group Inc. $1.26B 42.41 11.04 8.06 Δ 2.98 8.16% 4.22% 12.40% 31.56% 1.14% +26.13% Energy
921 GIII G-III Apparel Group, Ltd. $1.44B 34.15 12.02 13.83 Δ -1.81 5.23% 5.83% 8.51% 4.82% 1.13% +60.32% Consumer Cyclical
922 J Jacobs Solutions Inc. $14.02B 118.70 35.01 14.35 Δ 20.66 10.93% 4.35% 1.97% 0.04% 1.13% -5.82% Industrials
923 JBSS John B. Sanfilippo & Son, Inc. $717.19M 78.88 13.81 16.57 Δ -2.76 19.18% 9.39% 4.63% 9.84% 1.13% +33.09% Consumer Defensive
924 SYK Stryker Corporation $116.81B 304.69 35.22 18.22 Δ 17.00 12.21% 7.72% 8.28% 6.66% 1.13% -17.58% Healthcare
925 CSV Carriage Services, Inc. $607.28M 38.26 13.91 10.17 Δ 3.74 7.58% 4.66% 5.49% 13.24% 1.12% -13.00% Consumer Cyclical
926 DE Deere & Company $161.68B 598.59 33.88 26.19 Δ 7.69 - 3.83% 3.43% 5.10% 1.12% +15.52% Industrials
927 ETN AI Eaton Corporation plc $169.21B 435.78 42.64 27.72 Δ 14.92 11.53% 7.02% 4.73% 10.38% 1.12% +31.65% Industrials
928 ANDE The Andersons, Inc. $2.41B 70.86 18.90 11.92 Δ 6.98 9.31% 2.30% -14.03% -9.95% 1.11% +95.39% Consumer Defensive
929 RGR Sturm, Ruger & Company, Inc. $645.58M 40.49 -55.47 20.45 Δ -75.92 -4.28% -3.01% 4.48% - 1.11% +8.48% Industrials
930 CNXN AI PC Connection, Inc. $1.75B 69.29 20.14 16.36 Δ 3.78 10.67% 5.20% 3.85% 8.47% 1.10% +8.63% Technology
931 ECL Ecolab Inc. $75.80B 269.34 36.50 28.05 Δ 8.45 14.29% 8.01% 6.17% 9.18% 1.10% +4.61% Basic Materials
932 JCI Johnson Controls International plc $90.43B 148.21 45.19 25.74 Δ 19.45 3.27% 5.45% 1.37% 39.14% 1.10% +44.59% Industrials
933 POWI AI Power Integrations, Inc. $4.87B 87.35 291.17 47.04 Δ 244.13 1.45% 1.80% 4.74% 15.88% 1.10% +64.53% Technology
934 UNTY Unity Bancorp, Inc. $556.77M 55.45 9.34 8.77 Δ 0.57 - 2.09% 11.06% 14.65% 1.10% +27.78% Financial Services
935 BTU Peabody Energy Corporation $2.94B 24.12 -24.61 6.35 Δ -30.96 -1.61% -0.72% -0.93% - 1.09% +71.06% Energy
936 LMAT LeMaitre Vascular, Inc. $2.02B 88.61 32.58 27.22 Δ 5.36 11.72% 7.20% 10.45% 25.13% 1.09% +9.47% Healthcare
937 ORCL AI Oracle Corporation $503.51B 175.07 29.98 16.11 Δ 13.87 13.03% 6.52% 5.68% 4.83% 1.09% -16.14% Technology
938 ROP Roper Technologies, Inc. $32.81B 325.09 20.31 13.65 Δ 6.66 7.25% 4.32% 13.73% -30.34% 1.09% -41.05% Technology
939 RUSHA Rush Enterprises, Inc. $4.31B 70.61 21.33 15.51 Δ 5.82 13.40% 5.22% 11.71% 26.83% 1.09% +45.09% Consumer Cyclical
940 TPR Tapestry, Inc. $30.15B 149.20 45.63 19.27 Δ 26.36 8.26% 16.44% 4.76% -8.19% 1.09% +79.39% Consumer Cyclical
941 VRSK Verisk Analytics, Inc. $22.14B 168.99 25.76 19.52 Δ 6.24 34.50% 18.00% 4.91% 13.11% 1.09% -44.32% Industrials
942 BRO Brown & Brown, Inc. $19.74B 58.24 18.97 11.96 Δ 7.01 - 5.51% 11.16% 11.48% 1.08% -45.74% Financial Services
943 FELE Franklin Electric Co., Inc. $4.62B 104.46 31.46 20.56 Δ 10.90 16.81% 8.95% 6.37% 7.34% 1.08% +23.20% Industrials
944 HUBG Hub Group, Inc. $2.66B 43.98 25.28 21.97 Δ 3.31 6.13% 3.16% 4.62% 3.58% 1.08% +36.43% Industrials
945 LH Labcorp Holdings Inc. $20.86B 254.43 22.54 13.09 Δ 9.45 8.89% 5.31% 7.09% 3.44% 1.08% -1.63% Healthcare
946 ZBH Zimmer Biomet Holdings, Inc. $16.85B 87.09 22.56 9.69 Δ 12.87 5.35% 4.10% 4.24% -0.51% 1.08% -2.82% Healthcare
947 CNK Cinemark Holdings, Inc. $3.93B 33.61 25.85 13.52 Δ 12.33 -5.66% 5.43% 2.88% 2.23% 1.07% +4.27% Communication Services
948 MWA Mueller Water Products, Inc. $4.05B 25.89 19.61 16.39 Δ 3.22 16.83% 10.30% 0.01% 21.63% 1.07% +11.86% Industrials
949 RUSHB Rush Enterprises, Inc. $1.22B 73.26 22.13 20.98 Δ 1.15 13.40% 5.22% 11.71% 26.83% 1.07% +46.89% Consumer Cyclical
950 TEX Terex Corporation $7.87B 68.94 33.63 11.85 Δ 21.78 9.59% 2.50% -2.12% -5.52% 1.07% +53.81% Industrials
951 CRM AI Salesforce, Inc. $122.95B 150.12 17.40 9.66 Δ 7.74 11.08% 5.70% 24.99% 39.62% 1.06% -41.66% Technology
952 LII Lennox International Inc. $18.65B 536.04 23.79 20.07 Δ 3.72 36.04% 16.74% 2.45% 11.70% 1.06% -1.15% Industrials
953 SRBK SR Bancorp, Inc. $142.23M 19.13 32.98 23.33 Δ 9.65 - 0.42% - 40.02% 1.06% +48.77% Financial Services
954 ADI AI Analog Devices, Inc. $216.99B 445.48 66.19 30.15 Δ 36.04 6.77% 5.49% -2.84% -6.21% 1.05% +96.59% Technology
955 GOLF Acushnet Holdings Corp. $6.27B 107.09 37.58 25.88 Δ 11.70 15.66% 8.15% 4.74% 21.79% 1.04% +51.66% Consumer Cyclical
956 NEM Newmont Corporation $108.68B 101.80 13.20 8.93 Δ 4.27 - 14.89% 6.53% 20.15% 1.04% +76.59% Basic Materials
957 CCL Carnival Corporation Ltd. $37.41B 30.19 13.30 11.60 Δ 1.70 11.62% 5.52% 5.23% 0.76% 1.03% +29.25% Consumer Cyclical
958 MCB Metropolitan Bank Holding Corp. $1.17B 94.52 11.68 7.98 Δ 3.70 - 1.05% -4.16% 32.48% 1.03% +47.40% Financial Services
959 MRX Marex Group plc $4.70B 65.30 14.81 11.73 Δ 3.08 31.55% 1.14% 45.63% 46.25% 1.03% +69.04% Financial Services
960 CTAS Cintas Corporation $67.80B 169.45 35.75 31.23 Δ 4.52 28.84% 15.94% 6.50% 15.25% 1.02% -22.39% Industrials
961 WINA Winmark Corporation $1.41B 393.64 35.46 32.56 Δ 2.90 284.08% 91.80% 5.03% 9.74% 1.02% -9.66% Consumer Cyclical
962 ASTE Astec Industries, Inc. $1.33B 57.83 51.63 13.74 Δ 37.89 6.30% 4.27% 2.34% -3.00% 1.01% +48.55% Industrials
963 SHW The Sherwin-Williams Company $78.16B 316.90 30.44 23.93 Δ 6.51 21.93% 9.45% 6.18% 8.26% 1.01% -3.50% Basic Materials
964 BCO The Brink's Company $4.02B 97.55 22.79 9.21 Δ 13.58 11.45% 5.17% 3.23% 0.54% 1.00% +13.07% Industrials
965 HCI HCI Group, Inc. $2.14B 167.42 7.34 9.25 Δ -1.91 - 11.49% 18.73% 30.65% 1.00% +13.64% Financial Services
966 OEC Orion S.A. $404.31M 7.17 -4.54 19.09 Δ -23.63 2.15% 2.62% 3.92% - 1.00% -28.56% Basic Materials
967 IDCC AI InterDigital, Inc. $7.70B 297.84 28.37 26.49 Δ 1.88 35.13% 13.10% 7.91% 17.50% 0.99% +33.71% Technology
968 JOE The St. Joe Company $3.75B 65.32 33.84 593.82 Δ -559.98 - 6.02% 4.13% 20.66% 0.99% +40.87% Real Estate
969 NNI Nelnet, Inc. $3.28B 129.73 11.27 12.97 Δ -1.70 - 2.63% - 7.28% 0.99% +15.58% Financial Services
970 WTI W&T Offshore, Inc. $492.45M 3.31 -3.48 -32.99 Δ 29.51 -7.32% -1.88% -1.23% - 0.99% +42.60% Energy
971 AON Aon plc $66.98B 313.63 17.22 14.64 Δ 2.58 20.23% 6.05% 11.25% 12.59% 0.98% -10.18% Financial Services
972 CBOE Cboe Global Markets, Inc. $26.79B 255.98 21.86 17.39 Δ 4.47 21.13% 10.59% 16.21% 15.72% 0.98% +12.98% Financial Services
973 CZWI Citizens Community Bancorp, Inc. $213.42M 22.13 14.46 9.99 Δ 4.47 - 0.83% - 2.53% 0.98% +68.78% Financial Services
974 BKNG Booking Holdings Inc. $130.00B 167.77 22.10 13.64 Δ 8.46 70.23% 22.26% 16.93% 22.07% 0.97% -19.99% Consumer Cyclical
975 EXPD Expeditors International of Washington, Inc. $21.34B 163.15 26.31 23.91 Δ 2.40 37.31% 14.17% 4.25% 6.31% 0.97% +45.79% Industrials
976 BAX Baxter International Inc. $10.15B 19.66 -10.29 9.77 Δ -20.06 1.04% 2.85% -0.01% - 0.96% -33.46% Healthcare
977 DOV Dover Corporation $30.89B 229.40 28.68 19.84 Δ 8.84 12.60% 7.06% 0.56% 2.84% 0.96% +31.93% Industrials
978 TTAM Titan America SA $3.36B 18.21 18.21 14.38 Δ 3.83 16.05% 9.10% 6.85% 43.53% 0.96% +42.78% Basic Materials
979 ALB Albemarle Corporation $18.48B 156.69 -45.68 12.97 Δ -58.65 -2.36% 1.60% -11.10% -39.66% 0.95% +167.36% Basic Materials
980 CMC Commercial Metals Company $8.13B 73.29 16.40 10.59 Δ 5.81 - 5.68% 1.23% 9.17% 0.95% +51.28% Industrials
981 CTVA Corteva, Inc. $52.74B 78.86 42.63 19.22 Δ 23.41 - 4.33% 2.86% 9.94% 0.95% +7.43% Basic Materials
982 FOX Fox Corporation $9.92B 44.93 11.82 7.92 Δ 3.90 - 8.71% 6.40% 6.46% 0.95% -9.60% Communication Services
983 GTX Garrett Motion Inc. $6.46B 34.49 20.17 15.50 Δ 4.67 - 14.09% 2.01% 5.05% 0.95% +243.88% Consumer Cyclical
984 JRVR James River Group Holdings, Inc. $180.79M 3.91 9.31 3.53 Δ 5.78 - 0.61% 4.92% -2.88% 0.95% -32.78% Financial Services
985 WHD Cactus, Inc. $3.76B 54.22 50.67 15.73 Δ 34.94 14.67% 7.03% 24.06% 18.14% 0.95% +20.58% Energy
986 BBSI Barrett Business Services, Inc. $794.26M 32.34 21.14 15.04 Δ 6.10 16.66% 4.79% 10.91% 10.03% 0.94% -21.15% Industrials
987 GFF Griffon Corporation $4.10B 89.43 87.68 15.54 Δ 72.14 11.93% 12.51% 4.78% 6.48% 0.94% +33.51% Industrials
988 WSFS WSFS Financial Corporation $3.91B 75.10 13.39 11.33 Δ 2.06 - 1.45% 13.43% 46.15% 0.94% +47.97% Financial Services
989 BABA AI Alibaba Group Holding Limited $251.84B 104.97 16.15 11.40 Δ 4.75 4.16% 2.12% 5.62% 12.49% 0.93% -6.66% Consumer Cyclical
990 EE Excelerate Energy, Inc. $1.14B 35.90 30.17 17.29 Δ 12.88 6.98% 5.56% 23.31% - 0.93% +22.89% Energy
991 HUM Humana Inc. $43.31B 360.72 38.50 22.93 Δ 15.57 8.30% 3.64% 9.51% 1.99% 0.93% +50.54% Healthcare
992 MCRI Monarch Casino & Resort, Inc. $2.30B 129.46 21.94 19.01 Δ 2.93 7.23% 12.71% 8.38% 20.94% 0.93% +55.56% Consumer Cyclical
993 MSFT AI Microsoft Corporation $2.73T 367.34 21.87 18.99 Δ 2.88 26.90% 14.81% 9.48% 10.85% 0.93% -22.90% Technology
994 RL Ralph Lauren Corporation $15.47B 410.92 27.20 20.17 Δ 7.03 19.94% 10.88% 3.11% 5.07% 0.93% +55.23% Consumer Cyclical
995 SPGI S&P Global Inc. $120.59B 407.39 25.80 18.35 Δ 7.45 12.09% 6.92% 4.65% 8.59% 0.93% -18.27% Financial Services
996 TR Tootsie Roll Industries, Inc. $1.56B 36.20 27.22 -18.56 Δ 45.78 8.74% 6.06% 2.32% 4.03% 0.93% +10.94% Consumer Defensive
997 WYNN Wynn Resorts, Limited $10.75B 103.62 29.69 19.17 Δ 10.52 9.75% 5.60% 5.26% 2.63% 0.93% +20.32% Consumer Cyclical
998 INBK First Internet Bancorp $222.54M 25.53 -6.63 5.41 Δ -12.04 - -0.58% 21.36% - 0.92% +10.94% Financial Services
999 MCO Moody's Corporation $78.14B 447.33 32.11 24.05 Δ 8.06 26.08% 14.82% 7.06% 7.22% 0.92% -4.13% Financial Services
1000 PIPR Piper Sandler Companies $5.53B 81.77 20.60 14.56 Δ 6.04 - 16.48% 10.29% 47.35% 0.92% +31.86% Financial Services
1001 TT Trane Technologies plc $108.67B 491.59 37.50 28.87 Δ 8.63 26.22% 11.34% 5.06% -1.69% 0.92% +17.90% Industrials
1002 CAH Cardinal Health, Inc. $52.17B 222.74 33.95 18.57 Δ 15.38 15.99% 3.60% 5.40% 1.92% 0.91% +36.19% Healthcare
1003 ZWS Zurn Elkay Water Solutions Corporation $8.28B 49.64 40.36 25.83 Δ 14.53 11.52% 7.20% 0.69% 5.19% 0.91% +40.85% Industrials
1004 ABCB Ameris Bancorp $5.88B 87.36 13.74 12.20 Δ 1.54 - 1.59% 3.83% 5.95% 0.90% +45.62% Financial Services
1005 BFH Bread Financial Holdings, Inc. $4.19B 103.68 8.46 8.33 Δ 0.13 2.46% 2.51% -9.93% 5.56% 0.90% +99.04% Financial Services
1006 DAL Delta Air Lines, Inc. $56.45B 85.92 12.54 10.66 Δ 1.88 10.84% 4.34% 5.22% - 0.90% +82.82% Industrials
1007 GRC The Gorman-Rupp Company $2.32B 87.93 39.25 29.77 Δ 9.48 12.52% 7.40% 6.06% 6.89% 0.90% +153.08% Industrials
1008 TSM AI Taiwan Semiconductor Manufacturing Company Limited $2.43T 467.67 40.25 23.95 Δ 16.30 30.20% 17.32% 18.94% 19.57% 0.90% +121.47% Technology
1009 DHR Danaher Corporation $126.12B 178.19 34.47 19.26 Δ 15.21 6.12% 4.19% 4.55% 5.54% 0.89% -7.73% Healthcare
1010 NIC Nicolet Bankshares, Inc. $3.21B 151.25 17.77 11.38 Δ 6.39 - 1.09% - 35.03% 0.89% +30.42% Financial Services
1011 PH Parker-Hannifin Corporation $121.31B 962.14 35.50 28.22 Δ 7.28 18.36% 9.54% 2.93% 8.03% 0.89% +48.78% Industrials
1012 CON Concentra Group Holdings Parent, Inc. $3.65B 28.49 20.50 16.77 Δ 3.73 13.21% 7.98% 7.85% -0.06% 0.88% +37.96% Healthcare
1013 FCX Freeport-McMoRan Inc. $99.49B 69.21 36.62 17.90 Δ 18.72 12.50% 7.77% 1.35% -1.26% 0.88% +70.02% Basic Materials
1014 GM General Motors Company $72.52B 80.43 29.35 5.71 Δ 23.64 1.55% 2.69% 1.44% -5.37% 0.88% +68.78% Consumer Cyclical
1015 MBIN Merchants Bancorp $2.27B 49.50 12.07 8.69 Δ 3.38 - 1.17% - 22.66% 0.88% +59.79% Financial Services
1016 ODC Oil-Dri Corporation of America $963.54M 94.04 24.62 19.65 Δ 4.97 21.15% 10.50% 5.45% 11.52% 0.86% +68.99% Basic Materials
1017 RRBI Red River Bancshares, Inc. $586.17M 89.02 13.35 11.82 Δ 1.53 - 1.36% - 9.23% 0.86% +59.13% Financial Services
1018 COR Cencora, Inc. $52.78B 271.28 20.80 13.71 Δ 7.09 14.00% 3.49% 9.22% 6.88% 0.85% -7.89% Healthcare
1019 FOXA Fox Corporation $9.85B 49.39 13.00 8.60 Δ 4.40 - 8.71% 6.40% 6.46% 0.85% -8.86% Communication Services
1020 HIFS Hingham Institution for Savings $627.01M 285.36 12.51 25.02 Δ -12.51 - 1.11% 6.90% 13.29% 0.85% +28.08% Financial Services
1021 IRMD IRADIMED CORPORATION $1.17B 91.69 50.10 38.93 Δ 11.17 26.52% 16.17% 16.28% 20.56% 0.85% +59.06% Healthcare
1022 NGS Natural Gas Services Group, Inc. $545.89M 43.33 25.19 18.92 Δ 6.27 6.63% 5.00% 6.00% 3.77% 0.85% +60.39% Energy
1023 TRAK ReposiTrak, Inc. $162.84M 8.96 24.22 22.97 Δ 1.25 12.50% 8.41% 5.45% 34.37% 0.85% -55.51% Technology
1024 NUE Nucor Corporation $55.78B 244.93 24.32 14.79 Δ 9.53 - 6.15% 3.80% 0.95% 0.84% +97.06% Basic Materials
1025 PHM PulteGroup, Inc. $23.93B 125.62 12.16 11.24 Δ 0.92 - 9.96% 6.16% 9.54% 0.84% +27.72% Consumer Cyclical
1026 WLFC Willis Lease Finance Corporation $1.66B 208.97 12.64 11.63 Δ 1.01 - 5.08% 9.28% 11.11% 0.84% +48.51% Industrials
1027 ALG Alamo Group Inc. $1.96B 161.05 19.26 13.39 Δ 5.87 11.12% 5.77% 1.95% 0.61% 0.83% -24.60% Industrials
1028 KOP Koppers Holdings Inc. $854.28M 44.42 11.78 9.45 Δ 2.33 8.88% 6.51% -1.73% -4.05% 0.83% +44.04% Basic Materials
1029 V Visa Inc. $542.06B 326.60 28.45 21.97 Δ 6.48 37.15% 19.19% 14.33% 13.04% 0.83% -3.29% Financial Services
1030 WMT Walmart Inc. $932.53B 117.18 41.26 35.64 Δ 5.62 16.83% 6.83% 3.55% 3.06% 0.82% +24.26% Consumer Defensive
1031 AEBI Aebi Schmidt Holding AG $967.28M 12.48 113.45 9.24 Δ 104.21 3.43% 2.93% 22.61% -6.75% 0.81% +12.53% Industrials
1032 HCA HCA Healthcare, Inc. $83.63B 376.99 12.98 11.39 Δ 1.59 - 12.34% 6.89% 12.34% 0.81% +0.71% Healthcare
1033 A Agilent Technologies, Inc. $35.72B 126.49 25.35 19.15 Δ 6.20 14.90% 8.61% 0.48% 1.29% 0.79% +10.39% Healthcare
1034 GL Globe Life Inc. $13.36B 172.05 11.90 10.33 Δ 1.57 - 3.31% 3.06% 4.48% 0.79% +44.95% Financial Services
1035 TCBI Texas Capital Bancshares, Inc. $4.35B 99.60 13.41 11.92 Δ 1.49 - 1.10% -37.39% 11.05% 0.79% +31.80% Financial Services
1036 EXPE Expedia Group, Inc. $27.25B 238.02 21.05 10.30 Δ 10.75 24.00% 5.83% 9.95% - 0.78% +47.66% Consumer Cyclical
1037 KKR KKR & Co. Inc. $87.00B 96.90 32.96 13.10 Δ 19.86 - 1.46% 37.54% 6.62% 0.78% -20.32% Financial Services
1038 LYTS LSI Industries Inc. $955.99M 26.04 35.19 18.67 Δ 16.52 11.96% 3.92% 3.78% 20.51% 0.78% +62.14% Technology
1039 NWSA News Corporation $8.93B 24.61 31.15 19.06 Δ 12.09 - 4.11% -0.18% - 0.78% -11.63% Communication Services
1040 OSW OneSpaWorld Holdings Limited $2.75B 27.10 36.13 20.90 Δ 15.23 12.85% 8.27% 9.58% 12.65% 0.78% +40.79% Consumer Cyclical
1041 BBUC Brookfield Business Corporation $6.80B 32.93 -67.20 12.71 Δ -79.91 6.22% 3.38% -21.79% -25.55% 0.77% +17.70% Industrials
1042 ICFI ICF International, Inc. $1.17B 64.54 13.94 8.40 Δ 5.54 8.84% 4.30% 7.05% 9.86% 0.77% -22.90% Industrials
1043 NPK National Presto Industries, Inc. $917.90M 128.09 28.53 147.23 Δ -118.70 9.92% 5.43% 0.32% -3.91% 0.77% +38.85% Industrials
1044 PSMT PriceSmart, Inc. $5.65B 182.98 36.09 25.95 Δ 10.14 15.07% 6.95% 9.40% 8.13% 0.77% +81.65% Consumer Defensive
1045 ATEN A10 Networks, Inc. $2.43B 33.77 55.36 28.62 Δ 26.74 9.50% 5.24% 1.20% -3.51% 0.76% +88.00% Technology
1046 BHE Benchmark Electronics, Inc. $3.36B 93.66 99.64 30.18 Δ 69.46 5.30% 2.87% 0.35% 12.07% 0.76% +152.35% Technology
1047 EVTC EVERTEC, Inc. $1.55B 25.20 12.12 5.80 Δ 6.32 9.52% 5.39% 7.91% 13.44% 0.76% -29.59% Technology
1048 CLMB Climb Global Solutions, Inc. $397.05M 21.35 18.73 12.08 Δ 6.65 23.78% 4.41% 9.79% 13.36% 0.75% -18.15% Technology
1049 FCFS FirstCash Holdings, Inc. $10.03B 228.89 28.68 18.43 Δ 10.25 - 7.83% 10.15% 12.56% 0.75% +79.90% Financial Services
1050 STLD Steel Dynamics, Inc. $36.19B 250.98 26.90 14.02 Δ 12.88 10.32% 6.66% 8.22% 6.30% 0.75% +95.51% Basic Materials
1051 COSO CoastalSouth Bancshares, Inc. $323.27M 26.86 12.21 10.12 Δ 2.09 - 1.15% 6.43% 13.64% 0.74% +33.47% Financial Services
1052 ROST Ross Stores, Inc. $76.02B 236.97 33.10 27.67 Δ 5.43 25.25% 12.16% 7.66% 12.15% 0.74% +86.74% Consumer Cyclical
1053 KLIC AI Kulicke and Soffa Industries, Inc. $6.50B 124.22 120.60 29.32 Δ 91.28 -0.35% 5.43% 6.89% -66.74% 0.73% +269.55% Technology
1054 MAR Marriott International, Inc. $101.31B 384.19 40.27 29.37 Δ 10.90 21.62% 9.77% 4.21% 8.06% 0.73% +50.50% Consumer Cyclical
1055 SMBK SmartFinancial, Inc. $766.70M 44.84 14.37 10.68 Δ 3.69 - 0.93% 5.95% 5.38% 0.73% +43.74% Financial Services
1056 URI United Rentals, Inc. $68.45B 1,092.68 27.95 20.23 Δ 7.72 15.26% 8.86% 11.41% 5.82% 0.73% +57.71% Industrials
1057 VMC Vulcan Materials Company $39.50B 304.39 36.02 28.19 Δ 7.83 10.29% 6.06% 4.95% 4.95% 0.73% +18.77% Basic Materials
1058 CAT Caterpillar Inc. $470.85B 1,022.28 50.81 33.96 Δ 16.85 17.98% 8.52% 2.29% 5.24% 0.72% +187.20% Industrials
1059 ESOA Energy Services of America Corporation $333.82M 17.89 32.53 20.33 Δ 12.20 3.60% 5.71% 4.31% -3.32% 0.72% +80.34% Industrials
1060 IMKTA Ingles Markets, Incorporated $1.31B 89.75 16.35 19.10 Δ -2.75 5.20% 3.61% 3.14% 7.09% 0.72% +48.09% Consumer Defensive
1061 ITIC Investors Title Company $488.25M 258.61 12.87 6.72 Δ 6.15 - 8.66% -3.64% 12.06% 0.72% +33.17% Financial Services
1062 MA Mastercard Incorporated $424.56B 484.09 27.98 21.25 Δ 6.73 60.19% 25.03% 12.29% 19.21% 0.71% -9.61% Financial Services
1063 MATX Matson, Inc. $5.96B 196.83 14.59 12.99 Δ 1.60 12.17% 6.28% 3.48% 7.41% 0.71% +79.83% Industrials
1064 GWW W.W. Grainger, Inc. $63.33B 1,341.42 36.02 26.60 Δ 9.42 35.53% 19.51% 5.88% 8.10% 0.70% +29.77% Industrials
1065 AVGO AI Broadcom Inc. $1.87T 392.13 65.36 20.26 Δ 45.10 16.70% 12.12% 24.38% 26.24% 0.68% +57.33% Technology
1066 EGBN Eagle Bancorp, Inc. $848.39M 27.82 -6.74 10.62 Δ -17.36 - -1.18% - - 0.68% +66.13% Financial Services
1067 GPI Group 1 Automotive, Inc. $3.75B 315.25 11.98 6.64 Δ 5.34 10.57% 6.00% 10.56% 14.98% 0.68% -27.78% Consumer Cyclical
1068 NWS News Corporation $5.07B 27.92 35.34 21.62 Δ 13.72 - 4.11% -0.18% - 0.68% -13.00% Communication Services
1069 BGC BGC Group, Inc. $4.46B 12.08 32.65 7.48 Δ 25.17 - 3.29% 4.75% 13.64% 0.67% +27.29% Financial Services
1070 CEG AI Constellation Energy Corporation $98.39B 275.53 23.92 20.24 Δ 3.68 6.26% 4.20% 5.18% 31.53% 0.67% -9.61% Utilities
1071 SHEN Shenandoah Telecommunications Company $766.21M 13.85 -16.69 -13.71 Δ -2.98 -1.29% -0.81% 5.12% - 0.67% -1.15% Communication Services
1072 VSH AI Vishay Intertechnology, Inc. $7.97B 64.27 - 41.69 - 1.62% 0.87% 0.49% - 0.67% +324.15% Technology
1073 WT WisdomTree, Inc. $2.85B 18.66 45.51 14.28 Δ 31.23 14.15% 9.18% 24.85% - 0.67% +83.91% Financial Services
1074 PJT PJT Partners Inc. $3.99B 154.55 22.40 18.07 Δ 4.33 - 21.94% 12.87% 8.91% 0.66% +0.71% Financial Services
1075 WTS Watts Water Technologies, Inc. $9.62B 350.00 32.02 26.89 Δ 5.13 18.92% 11.49% 3.18% 12.42% 0.66% +46.27% Industrials
1076 APH Amphenol Corporation $204.17B 165.96 47.69 29.19 Δ 18.50 20.28% 13.45% 22.31% 30.94% 0.65% +78.50% Technology
1077 CBK Commercial Bancgroup, Inc. $427.07M 31.17 11.21 9.90 Δ 1.31 - 1.65% - 18.42% 0.65% +30.82% Financial Services
1078 ESQ Esquire Financial Holdings, Inc. $985.24M 114.04 19.20 13.18 Δ 6.02 - 2.36% - 45.78% 0.65% +28.41% Financial Services
1079 SEI Solaris Energy Infrastructure, Inc. $4.80B 82.17 97.82 32.34 Δ 65.48 6.84% 4.98% 52.19% -10.32% 0.65% +186.31% Energy
1080 DELL AI Dell Technologies Inc. $136.03B 418.71 33.39 19.80 Δ 13.59 21.44% 7.00% 6.96% 12.80% 0.64% +264.68% Technology
1081 GHC Graham Holdings Company $3.81B 1,140.53 16.86 17.02 Δ -0.16 3.35% 3.20% 0.91% 9.18% 0.64% +20.11% Consumer Defensive
1082 ADEA Adeia Inc. $3.51B 31.81 29.18 20.55 Δ 8.63 18.89% 12.67% 0.34% 45.85% 0.63% +146.37% Technology
1083 GLW Corning Incorporated $180.59B 209.83 100.88 50.12 Δ 50.76 8.99% 5.38% 5.60% -1.64% 0.63% +320.13% Technology
1084 TPL Texas Pacific Land Corporation $24.91B 361.11 49.60 4.94 Δ 44.66 38.19% 25.19% 14.99% 12.60% 0.63% +0.96% Energy
1085 CVLG Covenant Logistics Group, Inc. $887.01M 43.33 481.44 16.51 Δ 464.93 2.45% 1.35% 4.65% -3.11% 0.62% +91.66% Industrials
1086 JBHT J.B. Hunt Transport Services, Inc. $25.79B 273.48 42.40 29.79 Δ 12.61 14.44% 6.90% 7.57% 7.07% 0.62% +98.63% Industrials
1087 VLTO Veralto Corporation $20.37B 82.95 21.38 17.83 Δ 3.55 22.65% 11.32% 4.02% 2.22% 0.62% -14.09% Industrials
1088 VST AI Vistra Corp. $56.40B 167.26 27.97 15.26 Δ 12.71 6.41% 6.02% 15.82% 8.22% 0.62% -7.30% Utilities
1089 LLY Eli Lilly and Company $982.77B 1,102.08 39.22 24.77 Δ 14.45 - 20.74% 7.20% 11.41% 0.61% +41.38% Healthcare
1090 MLAB Mesa Laboratories, Inc. $515.09M 93.23 77.05 7.60 Δ 69.45 5.06% 2.69% 14.15% 0.55% 0.61% +1.02% Technology
1091 MTX Minerals Technologies Inc. $2.39B 77.16 15.16 10.81 Δ 4.35 1.63% 5.30% 3.73% - 0.61% +44.45% Basic Materials
1092 REGN Regeneron Pharmaceuticals, Inc. $63.10B 612.50 14.96 11.39 Δ 3.57 10.23% 6.13% 29.18% 16.32% 0.61% +19.91% Healthcare
1093 AME AMETEK, Inc. $55.36B 241.55 36.54 27.41 Δ 9.13 14.21% 8.01% 6.36% 8.48% 0.60% +36.74% Industrials
1094 COST Costco Wholesale Corporation $421.90B 951.35 47.95 42.05 Δ 5.90 25.96% 8.67% 8.16% 11.45% 0.60% -1.87% Consumer Defensive
1095 GFS AI GLOBALFOUNDRIES Inc. $49.18B 89.67 56.04 35.61 Δ 20.43 5.39% 3.09% -5.74% -15.14% 0.59% +141.50% Technology
1096 TECH Bio-Techne Corporation $8.71B 55.61 79.44 27.06 Δ 52.38 4.29% 7.45% 10.04% -2.23% 0.59% +11.60% Healthcare
1097 WRB W. R. Berkley Corporation $24.99B 67.14 14.22 13.94 Δ 0.28 - 3.67% 6.93% 11.46% 0.59% -5.28% Financial Services
1098 BCPC Balchem Corporation $5.32B 165.57 34.00 27.10 Δ 6.90 13.86% 8.09% 10.19% 11.59% 0.58% +4.27% Basic Materials
1099 MLM Martin Marietta Materials, Inc. $36.62B 609.88 38.28 26.62 Δ 11.66 8.07% 4.78% 6.48% 11.59% 0.58% +13.80% Basic Materials
1100 HLIO Helios Technologies, Inc. $3.05B 92.41 50.77 27.50 Δ 23.27 4.81% 4.37% 14.41% 22.61% 0.57% +192.40% Industrials
1101 GE GE Aerospace $370.51B 355.12 44.11 40.88 Δ 3.23 11.89% 4.85% 16.32% 195.89% 0.56% +51.34% Industrials
1102 FSS Federal Signal Corporation $7.16B 117.44 26.69 21.19 Δ 5.50 16.15% 11.21% 6.89% 15.95% 0.55% +15.52% Industrials
1103 NPB Northpointe Bancshares, Inc. $618.67M 17.89 7.99 6.00 Δ 1.99 - 1.33% - 57.18% 0.55% +38.31% Financial Services
1104 UHS Universal Health Services, Inc. $7.60B 142.64 5.96 5.63 Δ 0.33 16.23% 8.35% 8.80% 12.55% 0.55% -16.35% Healthcare
1105 UNF UniFirst Corporation $3.79B 261.00 35.32 33.08 Δ 2.24 7.42% 3.94% 5.92% 4.52% 0.55% +43.38% Industrials
1106 AZZ AZZ Inc. $4.75B 158.24 15.07 20.75 Δ -5.68 13.36% 7.62% 10.74% 15.25% 0.53% +78.26% Industrials
1107 AAMI Acadian Asset Management Inc. $2.63B 73.89 31.44 12.62 Δ 18.82 39.88% 12.66% 10.55% -7.35% 0.51% +135.89% Financial Services
1108 HSTM HealthStream, Inc. $740.90M 25.36 37.85 29.32 Δ 8.53 5.11% 2.84% 10.98% 1.72% 0.51% -7.00% Healthcare
1109 MPWR AI Monolithic Power Systems, Inc. $75.56B 1,537.88 109.54 50.99 Δ 58.55 19.05% 12.13% 19.33% 22.51% 0.51% +123.53% Technology
1110 HTLD Heartland Express, Inc. $1.14B 14.69 -26.71 28.88 Δ -55.59 -5.31% -2.76% 1.50% - 0.50% +69.97% Industrials
1111 KAI Kadant Inc. $3.56B 301.25 34.39 23.02 Δ 11.37 10.60% 6.78% 10.10% 13.06% 0.50% -2.16% Industrials
1112 ALCO Alico, Inc. $297.77M 40.15 -16.26 -22.31 Δ 6.05 -92.49% 22.40% -21.74% -427.52% 0.49% +28.67% Consumer Defensive
1113 NVDA AI NVIDIA Corporation $5.05T 208.65 31.95 16.39 Δ 15.56 74.66% 52.73% 24.64% 32.12% 0.49% +43.61% Technology
1114 HWKN Hawkins, Inc. $3.38B 162.01 41.43 30.03 Δ 11.40 13.76% 8.19% 9.41% 7.99% 0.48% +17.79% Basic Materials
1115 IDT IDT Corporation $1.22B 52.28 16.04 13.24 Δ 2.80 30.14% 11.12% -0.66% 7.74% 0.48% -20.50% Communication Services
1116 ASML AI ASML Holding N.V. $743.57B 1,929.25 64.70 40.20 Δ 24.50 42.97% 15.66% 15.55% 19.55% 0.47% +155.29% Technology
1117 ENS EnerSys $8.51B 232.94 30.29 17.34 Δ 12.95 13.33% 7.32% 3.85% 7.80% 0.47% +180.34% Industrials
1118 ODFL Old Dominion Freight Line, Inc. $45.65B 219.52 45.83 34.74 Δ 11.09 27.30% 15.03% 6.99% 17.23% 0.47% +41.61% Industrials
1119 WAB Westinghouse Air Brake Technologies Corporation $46.96B 276.75 39.09 22.77 Δ 16.32 10.60% 6.04% 12.21% 13.77% 0.47% +38.50% Industrials
1120 FRD Friedman Industries, Incorporated $264.04M 37.15 13.46 7.91 Δ 5.55 1.61% 5.98% 9.08% -2.07% 0.46% +126.95% Basic Materials
1121 SXI Standex International Corporation $3.88B 320.61 39.00 32.19 Δ 6.81 6.68% 6.12% 2.22% 3.31% 0.45% +105.04% Industrials
1122 ATMU Atmus Filtration Technologies Inc. $4.26B 52.12 20.44 16.21 Δ 4.23 26.99% 12.22% 5.23% 5.08% 0.44% +48.63% Consumer Cyclical
1123 DHC Diversified Healthcare Trust $2.16B 8.94 -6.72 -18.82 Δ 12.10 - -0.53% 10.81% - 0.44% +144.30% Real Estate
1124 CNR Core Natural Resources, Inc. $4.14B 82.13 -69.02 12.09 Δ -81.11 -4.08% -1.36% 12.68% - 0.43% +10.24% Energy
1125 PGC Peapack-Gladstone Financial Corporation $791.66M 44.68 18.09 9.36 Δ 8.73 - 0.59% 11.00% 10.90% 0.43% +68.70% Financial Services
1126 IIIN Insteel Industries Inc. $574.06M 29.54 13.61 12.79 Δ 0.82 - 7.81% 6.68% 16.63% 0.42% -12.17% Industrials
1127 MCK McKesson Corporation $89.53B 744.85 19.39 14.80 Δ 4.59 42.17% 4.99% 8.44% 9.68% 0.42% +2.60% Healthcare
1128 QCRH QCR Holdings, Inc. $1.57B 95.01 11.94 10.93 Δ 1.01 - 1.44% 15.67% 30.62% 0.42% +48.12% Financial Services
1129 CSW CSW Industrials, Inc. $4.48B 274.36 41.01 20.80 Δ 20.21 8.06% 6.28% 13.71% 13.42% 0.41% -2.16% Industrials
1130 FTV Fortive Corporation $18.80B 61.67 36.28 19.15 Δ 17.13 7.59% 3.25% -3.76% -4.45% 0.40% +17.60% Technology
1131 TDS Telephone and Data Systems, Inc. $4.14B 38.94 22.91 21.51 Δ 1.40 -1.22% -0.18% -8.76% - 0.40% +16.49% Communication Services
1132 TMO Thermo Fisher Scientific Inc. $172.44B 464.01 25.48 17.03 Δ 8.45 8.14% 5.00% 8.81% 12.95% 0.40% +18.63% Healthcare
1133 IBKR Interactive Brokers Group, Inc. $43.13B 96.82 41.55 33.65 Δ 7.90 - 2.42% 0.66% 14.88% 0.39% +84.92% Financial Services
1134 TRS TriMas Corporation $1.59B 44.36 126.74 20.44 Δ 106.30 3.17% 0.76% -1.15% - 0.39% +63.68% Consumer Cyclical
1135 NPO Enpro Inc. $8.19B 387.65 190.02 37.41 Δ 152.61 6.53% 4.34% 2.22% -25.59% 0.38% +109.64% Industrials
1136 TILE Interface, Inc. $1.88B 32.36 15.12 13.87 Δ 1.25 16.92% 8.90% 3.03% 15.92% 0.38% +61.83% Consumer Cyclical
1137 TPB Turning Point Brands, Inc. $1.46B 75.45 25.84 26.38 Δ -0.54 13.84% 8.27% 7.91% 8.78% 0.38% +1.62% Consumer Defensive
1138 AAPL Apple Inc. $4.36T 297.01 35.91 30.95 Δ 4.96 68.72% 26.23% 1.81% 3.92% 0.37% +51.69% Technology
1139 AMAT AI Applied Materials, Inc. $508.28B 640.18 60.34 39.37 Δ 20.97 33.71% 14.86% 3.23% 2.36% 0.37% +273.11% Technology
1140 EA Electronic Arts Inc. $50.90B 202.97 57.66 21.14 Δ 36.52 12.45% 5.70% 4.08% 1.17% 0.37% +34.95% Communication Services
1141 GVA Granite Construction Incorporated $6.63B 151.50 41.28 20.00 Δ 21.28 11.08% 5.24% 3.01% 2.71% 0.37% +70.72% Industrials
1142 META AI Meta Platforms, Inc. $1.24T 563.85 20.50 15.56 Δ 4.94 25.69% 16.40% 36.10% 35.91% 0.37% -18.69% Communication Services
1143 KLAC AI KLA Corporation $351.60B 269.16 76.03 53.33 Δ 22.70 6.44% 21.28% 13.88% 27.26% 0.36% +210.96% Technology
1144 ORA Ormat Technologies, Inc. $7.96B 129.55 62.58 52.40 Δ 10.18 3.07% 2.03% 6.41% 6.34% 0.35% +53.16% Utilities
1145 CVI CVR Energy, Inc. $2.80B 27.90 -66.43 17.07 Δ -83.50 6.07% 2.67% 5.30% -5.73% 0.33% +2.09% Energy
1146 HCC Warrior Met Coal, Inc. $4.64B 87.96 33.70 11.92 Δ 21.78 1.81% 3.27% 17.90% - 0.33% +87.89% Basic Materials
1147 JBTM JBT Marel Corporation $6.83B 131.13 40.35 14.01 Δ 26.34 2.88% 2.92% 8.25% - 0.32% +10.16% Industrials
1148 PRIM Primoris Services Corporation $5.88B 108.34 23.92 18.28 Δ 5.64 16.08% 5.51% 15.97% 15.91% 0.32% +45.56% Industrials
1149 STX Seagate Technology Holdings plc $245.32B 1,094.04 104.00 40.66 Δ 63.34 35.16% 24.66% -0.47% 7.91% 0.32% +743.98% Technology
1150 TPC Tutor Perini Corporation $4.29B 81.50 55.82 13.53 Δ 42.29 12.08% 2.97% 1.21% -3.28% 0.32% +94.62% Industrials
1151 AGX Argan, Inc. $11.08B 790.00 69.54 48.63 Δ 20.91 28.35% 9.37% 27.57% 60.86% 0.31% +285.30% Industrials
1152 LOB Live Oak Bancshares, Inc. $1.79B 38.59 14.73 9.34 Δ 5.39 - 0.87% - 11.70% 0.31% +38.43% Financial Services
1153 CLB Core Laboratories Inc. $542.56M 11.77 19.30 13.77 Δ 5.53 11.81% 4.86% 2.87% 10.74% 0.30% -6.17% Energy
1154 ARCB ArcBest Corporation $3.24B 145.60 59.67 17.21 Δ 42.46 5.32% 2.08% -7.27% -41.37% 0.28% +114.66% Industrials
1155 LRCX AI Lam Research Corporation $512.16B 409.54 77.56 51.41 Δ 26.15 39.93% 22.78% 19.16% 18.93% 0.28% +346.45% Technology
1156 RVTY Revvity, Inc. $11.05B 99.04 47.62 17.01 Δ 30.61 3.29% 2.27% 3.24% 3.87% 0.28% +5.21% Healthcare
1157 ENTG AI Entegris, Inc. $28.02B 184.00 106.36 39.80 Δ 66.56 5.80% 3.75% 13.90% -4.40% 0.27% +142.24% Technology
1158 FLG Flagstar Bank, National Association $6.26B 15.03 -71.57 9.66 Δ -81.23 - -0.06% -36.09% - 0.27% +31.78% Financial Services
1159 WST West Pharmaceutical Services, Inc. $23.29B 329.71 44.20 34.50 Δ 9.70 16.18% 11.21% 6.52% 19.10% 0.27% +51.78% Healthcare
1160 CASY Casey's General Stores, Inc. $30.74B 831.67 43.41 35.59 Δ 7.82 - 7.54% 7.95% 12.28% 0.26% +64.89% Consumer Cyclical
1161 DBRG DigitalBridge Group, Inc. $2.90B 15.72 29.66 39.30 Δ -9.64 - -0.56% -51.02% 48.03% 0.25% +56.44% Financial Services
1162 CTS CTS Corporation $1.95B 68.31 29.19 23.64 Δ 5.55 12.84% 7.25% 0.54% 12.56% 0.24% +65.68% Technology
1163 GOOGL AI Alphabet Inc. $2.05T 349.68 26.71 24.15 Δ 2.56 26.20% 14.64% 17.96% 21.53% 0.24% +102.33% Communication Services
1164 CDE Coeur Mining, Inc. $18.00B 17.47 14.09 8.45 Δ 5.64 16.43% 6.71% 17.72% 86.99% 0.23% +93.90% Basic Materials
1165 L Loews Corporation $22.25B 108.13 13.76 37.29 Δ -23.53 - 1.90% 8.96% 26.58% 0.23% +22.71% Financial Services
1166 MTRN Materion Corporation $5.78B 277.68 75.87 37.32 Δ 38.55 7.31% 4.04% 0.56% -4.53% 0.23% +261.37% Basic Materials
1167 PEB Pebblebrook Hotel Trust $2.12B 18.72 -23.70 -52.49 Δ 28.79 - 1.17% 6.80% - 0.22% +95.69% Real Estate
1168 PLPC Preformed Line Products Company $1.96B 401.24 57.73 62.89 Δ -5.16 10.23% 5.53% 6.16% 2.61% 0.22% +159.11% Industrials
1169 USLM United States Lime & Minerals, Inc. $3.19B 111.12 24.48 17.98 Δ 6.50 24.01% 14.79% 7.49% 15.35% 0.22% +12.69% Basic Materials
1170 GEHC GE HealthCare Technologies Inc. $27.58B 60.64 14.54 11.31 Δ 3.23 9.94% 5.17% 4.07% -1.87% 0.21% -15.50% Healthcare
1171 GEV AI GE Vernova Inc. $303.01B 1,127.59 32.93 46.00 Δ -13.07 6.30% 2.38% 8.68% - 0.21% +130.65% Industrials
1172 Q AI Qnity Electronics, Inc. $36.77B 175.64 56.66 36.92 Δ 19.74 - 5.06% 8.54% 16.83% 0.21% +84.65% Technology
1173 VSEC VSE Corporation $6.05B 215.55 74.58 37.59 Δ 36.99 5.00% 3.40% 0.58% -4.40% 0.20% +59.12% Industrials
1174 ALNT Allient Inc. $1.68B 98.78 69.08 31.90 Δ 37.18 8.25% 5.15% 3.30% 8.21% 0.18% +188.18% Technology
1175 HWM Howmet Aerospace Inc. $112.17B 280.36 65.05 46.60 Δ 18.45 21.75% 11.92% -6.79% -2.91% 0.18% +65.07% Industrials
1176 BDC Belden Inc. $4.74B 121.65 20.48 13.68 Δ 6.80 11.09% 6.05% 1.84% - 0.17% +11.30% Technology
1177 ENSG The Ensign Group, Inc. $9.16B 156.78 25.53 18.82 Δ 6.71 9.31% 5.41% 13.15% 15.89% 0.17% +0.42% Healthcare
1178 HLT Hilton Worldwide Holdings Inc. $78.07B 342.93 52.44 32.92 Δ 19.52 21.95% 10.86% 2.03% 11.55% 0.17% +38.81% Consumer Cyclical
1179 EME EMCOR Group, Inc. $38.61B 868.88 29.17 26.60 Δ 2.57 38.71% 11.75% 5.55% 12.11% 0.16% +79.42% Industrials
1180 ACA Arcosa, Inc. $7.11B 144.90 32.42 28.50 Δ 3.92 7.81% 4.00% 8.74% -5.35% 0.15% +66.88% Industrials
1181 FIX Comfort Systems USA, Inc. $72.71B 2,066.51 59.81 38.67 Δ 21.14 43.14% 17.27% 13.93% 23.66% 0.14% +315.04% Industrials
1182 TER AI Teradyne, Inc. $71.54B 457.00 84.63 48.09 Δ 36.54 21.19% 15.83% 6.42% -6.71% 0.13% +431.15% Technology
1183 POWL AI Powell Industries, Inc. $11.21B 307.80 60.00 44.77 Δ 15.23 32.88% 13.04% 4.75% 9.93% 0.12% +417.47% Industrials
1184 AEIS Advanced Energy Industries, Inc. $15.53B 388.23 80.55 32.96 Δ 47.59 11.73% 5.96% -0.85% -9.42% 0.11% +201.56% Industrials
1185 EPAC Enerpac Tool Group Corp. $1.87B 36.21 22.77 16.61 Δ 6.16 19.32% 10.62% -3.65% 12.69% 0.11% -13.56% Industrials
1186 IR Ingersoll Rand Inc. $30.47B 77.87 52.61 20.26 Δ 32.35 7.05% 5.12% 13.66% - 0.11% -3.52% Industrials
1187 WDC Western Digital Corporation $252.52B 732.62 43.82 40.88 Δ 2.94 27.19% 14.65% 0.97% 4.69% 0.11% +1,141.10% Technology
1188 BELFB Bel Fuse Inc. $3.68B 304.33 73.51 30.05 Δ 43.46 13.74% 7.21% 8.51% 36.90% 0.10% +241.95% Technology
1189 ESE ESCO Technologies Inc. $9.15B 353.01 69.49 38.49 Δ 31.00 9.10% 5.78% 3.69% 12.31% 0.10% +93.92% Technology
1190 HL Hecla Mining Company $10.72B 15.98 23.16 13.41 Δ 9.75 16.12% 13.81% 25.56% 320.46% 0.10% +169.36% Basic Materials
1191 BELFA Bel Fuse Inc. $572.22M 270.52 65.19 29.21 Δ 35.98 13.74% 7.21% 8.51% 36.90% 0.09% +233.13% Technology
1192 MRVL AI Marvell Technology, Inc. $269.55B 307.86 105.79 49.88 Δ 55.91 6.94% 3.81% 20.33% 9.09% 0.09% +311.86% Technology
1193 TXT Textron Inc. $15.12B 86.94 16.59 11.91 Δ 4.68 - 4.56% 0.32% 3.83% 0.09% +13.59% Industrials
1194 GPGI GPGI, Inc. $4.16B 14.34 -6.21 11.21 Δ -17.42 -2.76% -2.54% -20.85% - 0.08% +1.96% Industrials
1195 JBL Jabil Inc. $39.80B 377.24 50.77 25.56 Δ 25.21 24.48% 5.35% 6.03% 64.83% 0.08% +84.57% Technology
1196 VRT AI Vertiv Holdings Co $137.50B 357.96 90.17 40.44 Δ 49.73 23.44% 11.15% 18.54% - 0.08% +200.94% Industrials
1197 MPX Marine Products Corp $280.04M 8.18 40.90 16.36 Δ 24.54 11.08% 5.33% -13.75% -34.41% 0.07% +6.43% Consumer Cyclical
1198 MU AI Micron Technology, Inc. $1.37T 1,211.38 57.14 10.80 Δ 46.34 13.69% 20.14% 13.68% 26.02% 0.06% +896.78% Technology
1199 PWR Quanta Services, Inc. $111.07B 740.14 101.53 44.97 Δ 56.56 9.94% 4.71% 15.72% 12.44% 0.06% +105.55% Industrials
1200 NBN Northeast Bank $1.10B 128.01 10.96 8.83 Δ 2.13 - 2.12% 24.97% 25.55% 0.03% +56.02% Financial Services
1201 CTRA Coterra Energy Inc. $24.72B 32.56 15.00 11.01 Δ 3.99 10.79% 6.20% -5.47% -24.97% 0.03% +24.78% Energy
1202 CSGS CSG Systems International, Inc. $2.30B 80.69 36.02 15.01 Δ 21.01 15.50% 6.91% 3.93% 8.24% 0.02% +28.98% Technology
1203 VRE Veris Residential, Inc. $1.78B 18.99 26.01 -67.82 Δ 93.83 - 1.29% -8.04% 2.23% 0.02% +29.28% Real Estate
1204 BK Bank of New York Mellon Corp $98.58B 143.63 17.82 14.90 Δ 2.92 - 1.20% 2.48% 5.25% 0.02% +59.75% Financial Services
Ad space

Explore More

🔍 All Stock Screens 📈 Technical Screens 💰 Fundamental Screens 🔄 Swing Trading 📐 Chart Patterns 📋 All USA Stocks 📅 Earnings Calendar ⚙️ Custom Screener

Highest Dividend Yield screener — FAQ

What is the Highest Dividend Yield stock screener?
Top dividend-paying listed stocks. It scans USA stocks and currently lists 1204 matching companies, refreshed every trading day.
How often is the Highest Dividend Yield screen updated?
The screen is recalculated every trading day after market close using the latest price, volume and fundamental data.
How many USA stocks match the Highest Dividend Yield screen today?
1204 USA stocks currently match the Highest Dividend Yield screen.
Is the USA Highest Dividend Yield screener free to use?
Yes. HeRAI is a completely free AI stock screener — no signup, login or payment required.