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1198 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. $961.81M 5.00 12.50 7.44 Δ 5.06 - 0.89% -6.80% -22.99% 20.54% -49.81% Real Estate
2 ORC Orchid Island Capital, Inc. $1.37B 6.83 7.19 4.97 Δ 2.22 - 1.22% - 136.97% 18.40% +16.93% Real Estate
3 IVR Invesco Mortgage Capital Inc. $751.87M 8.10 10.38 3.81 Δ 6.57 - 0.99% - 12.63% 18.14% +27.72% Real Estate
4 ALIT Alight, Inc. $11.56B 21.94 -3.76 74.75 Δ -78.51 -80.40% 0.77% 0.82% -1,631.72% 16.84% -80.00% Technology
5 ARR ARMOUR Residential REIT, Inc. $2.12B 17.11 6.87 5.60 Δ 1.27 - 1.30% - - 16.84% +21.40% Real Estate
6 REFI Chicago Atlantic Real Estate Finance, Inc. $227.98M 10.75 7.47 5.60 Δ 1.87 - 7.24% - 3.70% 16.53% -9.62% Real Estate
7 NAT Nordic American Tankers Limited $1.33B 6.29 24.19 21.32 Δ 2.87 3.56% 4.72% -4.92% -6.68% 15.83% +147.82% Energy
8 PMT PennyMac Mortgage Investment Trust $882.49M 10.12 8.72 6.71 Δ 2.01 - 0.76% 17.78% 11.65% 15.81% -8.01% Real Estate
9 DX Dynex Capital, Inc. $2.84B 13.22 6.24 8.70 Δ -2.46 - 1.45% - 19.86% 15.78% +22.66% Real Estate
10 JACK Jack in the Box Inc. $289.92M 15.20 -2.74 4.13 Δ -6.87 -0.84% 4.35% -3.18% - 15.71% -28.40% Consumer Cyclical
11 MFA MFA Financial, Inc. $961.10M 9.46 10.75 6.37 Δ 4.38 - 1.09% 151.01% 58.78% 15.29% +18.39% Real Estate
12 AOMR Angel Oak Mortgage REIT, Inc. $222.99M 8.95 14.21 6.41 Δ 7.80 - 0.59% 46.21% 41.15% 15.17% +7.59% Real Estate
13 XRN Chiron Real Estate Inc. $487.17M 36.81 -32.58 -24.06 Δ -8.52 4.50% 1.82% 2.49% -43.50% 15.09% +10.62% Real Estate
14 EMBC Embecta Corp. $183.92M 3.10 1.64 1.78 Δ -0.14 35.74% 16.84% -1.47% -24.72% 14.86% -68.86% Healthcare
15 LFT Lument Finance Trust, Inc. $48.77M 0.93 -7.15 3.72 Δ -10.87 - -0.18% - - 14.81% -51.19% Real Estate
16 DHT DHT Holdings, Inc. $2.93B 18.18 8.83 10.47 Δ -1.64 11.26% 13.21% 3.15% 50.83% 14.57% +73.36% Energy
17 SUNS Sunrise Realty Trust, Inc. $111.66M 8.26 8.43 6.54 Δ 1.89 - 4.71% 102.96% 76.79% 14.05% -13.97% Real Estate
18 RWT Redwood Trust, Inc. $637.35M 5.09 -6.36 5.00 Δ -11.36 - -0.39% 195.37% 19.06% 13.71% -3.08% Real Estate
19 CURI CuriosityStream Inc. $154.74M 2.61 -18.64 10.88 Δ -29.52 -16.08% -7.23% 25.86% - 13.33% -35.40% Communication Services
20 SEVN Seven Hills Realty Trust $189.13M 8.37 9.30 7.24 Δ 2.06 - 2.02% -8.50% -11.05% 13.32% -15.18% Real Estate
21 VTS Vitesse Energy, Inc. $654.47M 15.69 -32.02 16.18 Δ -48.20 5.38% -1.24% -0.94% -40.32% 12.92% -26.23% Energy
22 PLTK Playtika Holding Corp. $1.50B 3.94 -5.05 4.12 Δ -9.17 -0.19% 5.34% 9.17% - 12.70% -10.95% Communication Services
23 NREF NexPoint Real Estate Finance, Inc. $312.69M 16.59 6.46 9.30 Δ -2.84 - 2.25% - 46.80% 12.60% +36.02% Real Estate
24 IIPR Innovative Industrial Properties, Inc. $1.85B 63.72 16.26 13.30 Δ 2.96 - 3.33% 59.28% 12.46% 12.56% +30.70% Real Estate
25 MITT TPG Mortgage Investment Trust, Inc. $245.20M 7.71 18.36 6.14 Δ 12.22 - 0.43% - -7.54% 12.29% +13.09% Real Estate
26 CIM Chimera Investment Corporation $1.09B 13.04 -15.71 5.85 Δ -21.56 - 0.13% - 21.00% 12.28% +5.73% Real Estate
27 ACRE Ares Commercial Real Estate Corporation $247.45M 4.46 -12.39 8.34 Δ -20.73 - -1.18% -40.52% -34.34% 12.17% +7.39% Real Estate
28 NXDT NexPoint Diversified Real Estate Trust $297.93M 5.76 -2.33 - - - -0.22% 16.55% - 12.17% +41.42% Real Estate
29 PAGS PagSeguro Digital Ltd. $1.48B 9.28 6.58 4.85 Δ 1.73 30.34% 6.51% 10.00% 12.08% 11.61% +11.16% Technology
30 EPM Evolution Petroleum Corporation $137.91M 3.85 -32.08 66.38 Δ -98.46 3.01% -0.15% 20.83% -24.33% 11.54% -11.39% Energy
31 CLPR Clipper Realty Inc. $46.37M 2.87 -3.50 7.18 Δ -10.68 - 1.80% 5.70% - 11.52% -16.60% Real Estate
32 SPOK Spok Holdings, Inc. $219.73M 10.52 17.83 12.52 Δ 5.31 12.55% 5.29% -4.46% -8.65% 11.47% -34.52% Healthcare
33 TWO Two Harbors Investment Corp. $1.27B 12.11 -3.18 10.45 Δ -13.63 - -2.83% - - 11.43% +35.65% Real Estate
34 EFC Ellington Financial Inc. $1.71B 13.62 8.41 6.99 Δ 1.42 - 1.19% 92.23% 2.87% 11.40% +15.64% Real Estate
35 BRSP BrightSpire Capital, Inc. $696.99M 5.35 -19.81 7.64 Δ -27.45 - 2.62% 8.53% - 11.39% +18.96% Real Estate
36 TRTX TPG RE Finance Trust, Inc. $658.67M 8.52 13.31 7.50 Δ 5.81 - 1.55% - 0.16% 11.18% +16.48% Real Estate
37 CHCT Community Healthcare Trust Incorporated $505.44M 17.69 147.42 44.22 Δ 103.20 - 1.99% 19.07% -23.18% 10.64% +15.09% Real Estate
38 ADAM Adamas Trust, Inc. $822.23M 9.15 7.82 8.56 Δ -0.74 - 1.64% 243.71% 49.97% 10.31% +54.25% Real Estate
39 BXMT Blackstone Mortgage Trust, Inc. $2.88B 17.10 28.50 8.70 Δ 19.80 - 0.52% - -4.46% 10.24% -4.99% Real Estate
40 CAG Conagra Brands, Inc. $6.77B 14.15 -141.50 8.79 Δ -150.29 8.21% 4.20% 0.19% 1.27% 10.19% -20.67% Consumer Defensive
41 SSTK AI Shutterstock, Inc. $279.58M 7.61 -12.27 8.55 Δ -20.82 10.32% 4.59% 8.30% 12.22% 10.08% -56.22% Communication Services
42 BDN Brandywine Realty Trust $540.24M 3.11 -2.70 -155.50 Δ 152.80 - 0.53% -0.90% - 9.88% -20.71% Real Estate
43 RPT Rithm Property Trust Inc. $99.18M 12.76 -42.53 7.98 Δ -50.51 - 0.29% - -7.39% 9.76% -13.05% Real Estate
44 FLNG FLEX LNG Ltd. $1.67B 30.81 22.17 14.64 Δ 7.53 7.15% 3.90% -0.03% -26.45% 9.59% +52.36% Energy
45 FBRT Franklin BSP Realty Trust, Inc. $621.09M 8.07 15.82 6.70 Δ 9.12 - 1.22% 35.96% 74.67% 9.58% -17.29% Real Estate
46 GOOD Gladstone Commercial Corporation $608.48M 12.57 69.83 76.18 Δ -6.35 - 3.29% 7.19% 9.37% 9.57% -1.67% Real Estate
47 AMBP Ardagh Metal Packaging S.A. $2.64B 4.42 -442.00 15.02 Δ -457.02 4.81% 3.35% 5.44% -64.06% 9.52% +1.11% Consumer Cyclical
48 APAM Artisan Partners Asset Management Inc. $2.72B 38.36 9.61 9.52 Δ 0.09 41.52% 18.11% 6.41% 11.98% 9.45% -10.04% Financial Services
49 CODI Compass Diversified $733.55M 9.75 -2.66 34.82 Δ -37.48 0.41% 1.33% 8.56% - 9.45% +55.50% Industrials
50 BGS B&G Foods, Inc. $307.62M 3.79 -3.95 5.81 Δ -9.76 3.72% 4.14% 8.43% - 9.43% +4.32% Consumer Defensive
51 ARI Apollo Commercial Real Estate Finance, Inc. $1.39B 10.61 13.10 14.46 Δ -1.36 - 1.35% -9.56% -21.82% 9.31% +14.41% Real Estate
52 BHR Braemar Hotels & Resorts Inc. $142.85M 2.08 -2.17 -1.84 Δ -0.33 4.34% 1.48% 9.31% - 9.22% -14.48% Real Estate
53 LADR Ladder Capital Corp $1.25B 9.83 22.34 8.24 Δ 14.10 - 1.09% - 22.89% 9.08% -4.12% Real Estate
54 GRNT Granite Ridge Resources, Inc. $608.04M 4.61 -18.44 6.27 Δ -24.71 4.33% 2.44% 38.90% - 8.94% -10.82% Energy
55 NOG Northern Oil and Gas, Inc. $2.19B 20.14 -3.19 4.78 Δ -7.97 5.05% 4.31% 30.71% 12.18% 8.66% -26.06% Energy
56 MCHB Mechanics Bancorp $3.54B 16.09 -0.02 13.30 Δ -13.32 - 1.40% 3.33% 27.14% 8.49% +30.98% Financial Services
57 RMR The RMR Group Inc. $330.56M 20.54 16.98 26.33 Δ -9.35 6.96% 6.67% -3.96% 9.19% 8.42% +30.04% Real Estate
58 DEC Diversified Energy Company $964.80M 13.34 1.67 5.50 Δ -3.83 10.50% 5.53% -3.12% -32.50% 8.38% -4.56% Energy
59 UPBD Upbound Group, Inc. $1.23B 21.08 14.64 4.43 Δ 10.21 - 7.36% 2.91% -3.72% 8.23% -12.06% Technology
60 GTN Gray Media, Inc. $353.83M 3.81 -2.51 -15.88 Δ 13.37 3.95% 2.42% 16.46% - 8.16% -27.70% Communication Services
61 AHRT AH REALTY TRUST INC $537.76M 7.08 -88.50 - - 3.35% 2.14% -15.41% -57.83% 8.14% +8.96% Real Estate
62 GNL Global Net Lease, Inc. $1.87B 8.81 -20.02 -146.83 Δ 126.81 - 2.19% 9.34% -658.40% 8.05% +26.65% Real Estate
63 NAVI Navient Corporation $796.09M 8.47 -13.66 8.96 Δ -22.62 - -0.12% -4.58% - 8.04% -40.02% Financial Services
64 BRSL Brightstar Lottery PLC $1.98B 10.71 35.70 11.44 Δ 24.26 10.86% 4.09% -1.12% -18.84% 7.75% -22.42% Consumer Cyclical
65 SAMG Silvercrest Asset Management Group Inc. $79.51M 10.35 31.36 11.50 Δ 19.86 5.89% 2.45% 7.98% -7.53% 7.71% -33.44% Financial Services
66 SFL SFL Corporation Ltd. $1.50B 11.30 47.08 23.58 Δ 23.50 6.06% 2.93% 3.11% - 7.66% +29.21% Industrials
67 OXM Oxford Industries, Inc. $555.88M 37.23 -14.49 12.35 Δ -26.84 -3.00% 0.94% 5.96% - 7.52% -12.09% Consumer Cyclical
68 DEA Easterly Government Properties, Inc. $1.15B 24.70 112.27 95.00 Δ 17.27 - 1.70% 13.85% 1.68% 7.49% +14.17% Real Estate
69 HSHP Himalaya Shipping Ltd. $739.71M 15.69 24.90 29.68 Δ -4.78 8.24% 5.70% - - 7.49% +148.20% Industrials
70 UHT Universal Health Realty Income Trust $589.44M 42.48 33.19 31.34 Δ 1.85 - 4.11% 7.34% -0.33% 7.45% +10.15% Real Estate
71 ACCO ACCO Brands Corporation $359.81M 3.90 5.00 4.08 Δ 0.92 5.31% 3.02% -7.84% 137.63% 7.43% +12.89% Industrials
72 NXRT NexPoint Residential Trust, Inc. $691.58M 27.13 -21.53 -13.43 Δ -8.10 - 0.95% 74.46% - 7.38% -14.86% Real Estate
73 OLP One Liberty Properties, Inc. $534.58M 24.50 19.60 116.67 Δ -97.07 - 2.56% 7.72% 1.64% 7.32% +9.48% Real Estate
74 CTO CTO Realty Growth, Inc. $730.06M 21.61 108.05 196.45 Δ -88.40 - 1.74% 22.38% 17.16% 7.26% +32.15% Real Estate
75 BLMN Bloomin' Brands, Inc. $711.45M 8.31 34.62 8.53 Δ 26.09 1.62% 2.48% 0.58% -11.67% 7.24% -13.40% Consumer Cyclical
76 ETD Ethan Allen Interiors Inc. $565.67M 22.23 14.07 15.33 Δ -1.26 10.61% 3.93% 0.24% 19.95% 7.23% -19.42% Consumer Cyclical
77 SBGI Sinclair, Inc. $668.55M 13.81 14.24 -7.98 Δ 22.22 2.94% 1.90% -6.91% -34.74% 7.11% -4.78% Communication Services
78 GIS General Mills, Inc. $19.46B 36.46 8.91 11.60 Δ -2.69 13.11% 5.31% 2.12% 3.43% 7.07% -24.02% Consumer Defensive
79 MNRO Monro, Inc. $520.34M 17.33 577.67 27.95 Δ 549.72 1.91% 1.39% 1.40% -15.67% 7.03% +17.39% Consumer Cyclical
80 ALX Alexander's, Inc. $1.41B 276.26 68.72 21.23 Δ 47.49 7.43% 3.09% 1.18% -21.18% 6.85% +24.25% Real Estate
81 CPB The Campbell's Company $6.59B 22.10 10.83 11.13 Δ -0.30 9.37% 5.39% 1.47% -3.81% 6.84% -23.47% Consumer Defensive
82 PGR The Progressive Corporation $132.21B 226.58 11.52 13.98 Δ -2.46 - 7.94% 10.44% 13.36% 6.84% -2.45% Financial Services
83 CCOI Cogent Communications Holdings, Inc. $613.45M 12.25 -3.46 -4.15 Δ 0.69 -3.51% -1.62% 8.97% - 6.78% -74.96% Communication Services
84 KNTK Kinetik Holdings Inc. $3.72B 50.55 20.14 30.10 Δ -9.96 2.48% 1.49% 81.26% - 6.70% +31.05% Energy
85 VZ Verizon Communications Inc. $177.34B 42.47 10.36 8.06 Δ 2.30 8.59% 5.08% 0.33% -6.86% 6.65% +9.12% Communication Services
86 BRT BRT Apartments Corp. $277.25M 14.73 -22.66 -21.99 Δ -0.67 - 0.78% 13.00% - 6.62% +0.48% Real Estate
87 VICI VICI Properties Inc. $28.94B 26.28 9.00 8.95 Δ 0.05 7.97% 5.38% 15.49% 35.42% 6.62% -16.72% Real Estate
88 NL NLI Holdings, Inc. $292.90M 5.99 -8.68 6.97 Δ -15.65 2.41% 3.28% 1.95% - 6.61% +0.79% Industrials
89 KHC The Kraft Heinz Company $29.74B 25.08 -5.16 12.00 Δ -17.16 -6.40% 3.47% 7.80% - 6.56% -3.73% Consumer Defensive
90 NSP Insperity, Inc. $1.81B 47.50 -69.85 16.99 Δ -86.84 -1.72% -0.46% 8.42% - 6.56% -12.44% Industrials
91 PFE Pfizer Inc. $138.21B 24.25 18.51 8.57 Δ 9.94 - 5.69% 1.44% -0.26% 6.56% +2.35% Healthcare
92 MDV Modiv Industrial, Inc. $181.18M 17.55 -42.80 135.00 Δ -177.80 - 2.54% 55.72% - 6.54% +28.22% Real Estate
93 LPG Dorian LPG Ltd. $1.78B 41.63 9.17 13.83 Δ -4.66 12.34% 7.20% 14.94% 20.34% 6.53% +60.70% Energy
94 AMCR Amcor plc $19.78B 42.78 34.22 9.98 Δ 24.24 3.48% 4.08% 1.05% -14.06% 6.40% -8.39% Consumer Cyclical
95 SBRA Sabra Health Care REIT, Inc. $4.98B 19.75 31.35 26.57 Δ 4.78 - 3.09% 10.86% 19.50% 6.40% +11.99% Real Estate
96 LYB LyondellBasell Industries N.V. $18.90B 58.55 -27.62 7.78 Δ -35.40 -1.51% 1.74% -3.29% 5.90% 6.38% +0.05% Basic Materials
97 VRTS Virtus Investment Partners, Inc. $1.07B 160.77 9.47 6.28 Δ 3.19 8.45% 2.26% -1.30% 5.60% 6.33% -16.27% Financial Services
98 BFS Saul Centers, Inc. $889.42M 36.25 34.20 26.65 Δ 7.55 - 3.55% 3.74% 0.13% 6.30% +10.82% Real Estate
99 WASH Washington Trust Bancorp, Inc. $682.36M 35.79 13.06 10.51 Δ 2.55 - 0.81% 0.53% -10.01% 6.29% +29.95% Financial Services
100 PDM Piedmont Realty Trust, Inc. $1.19B 9.55 -13.84 -95.50 Δ 81.66 - 1.20% 0.25% - 6.27% +25.00% Real Estate
101 LAND Gladstone Land Corporation $373.56M 8.66 -11.10 -18.17 Δ 7.07 - 1.08% -8.67% 73.14% 6.25% -13.17% Real Estate
102 DEI Douglas Emmett, Inc. $2.09B 12.47 -73.35 -115.24 Δ 41.89 - 1.24% 2.99% -20.25% 6.19% -17.71% Real Estate
103 LTC LTC Properties, Inc. $2.05B 40.03 15.70 24.33 Δ -8.63 - 2.56% 8.74% 6.35% 6.19% +19.45% Real Estate
104 UVV Universal Corporation $1.26B 50.42 38.78 11.51 Δ 27.27 9.60% 4.59% 4.40% -35.92% 6.16% -4.00% Consumer Defensive
105 CALM Cal-Maine Foods, Inc. $3.94B 83.14 5.79 23.06 Δ -17.27 55.35% 17.20% 10.84% 21.25% 6.15% -14.21% Consumer Defensive
106 UNB Union Bankshares, Inc. $114.43M 24.80 9.88 8.36 Δ 1.52 - 0.73% - 4.67% 6.13% -5.57% Financial Services
107 UPS United Parcel Service, Inc. $84.86B 113.67 18.39 14.20 Δ 4.19 13.69% 7.19% 3.27% 16.05% 6.07% +21.34% Industrials
108 RGP Resources Connection, Inc. $157.57M 4.59 -1.55 -459.00 Δ 457.45 1.20% 0.18% -0.70% - 6.02% -10.29% Industrials
109 KRT Karat Packaging Inc. $707.71M 35.45 22.44 14.59 Δ 7.85 19.04% 8.74% 9.62% 12.44% 5.99% +33.22% Consumer Cyclical
110 ENR Energizer Holdings, Inc. $1.40B 20.41 7.48 5.59 Δ 1.89 - 7.76% 3.25% 6.29% 5.93% -1.88% Industrials
111 APLE Apple Hospitality REIT, Inc. $3.94B 16.68 22.85 23.62 Δ -0.77 5.44% 3.19% 4.48% 6.59% 5.92% +43.32% Real Estate
112 DOC Healthpeak Properties, Inc. $14.93B 21.66 67.69 144.40 Δ -76.71 - 1.50% -2.51% -10.86% 5.90% +25.15% Real Estate
113 AESI Atlas Energy Solutions Inc. $1.84B 14.70 -18.37 42.92 Δ -61.29 -0.50% -1.81% 31.41% -41.06% 5.89% +7.38% Energy
114 MO Altria Group, Inc. $117.16B 70.16 14.65 11.95 Δ 2.70 38.27% 27.61% 1.24% -1.89% 5.89% +28.88% Consumer Defensive
115 UMH UMH Properties, Inc. $1.31B 15.37 153.70 90.41 Δ 63.29 - 1.95% 11.38% 3.05% 5.89% -4.47% Real Estate
116 JCAP Jefferson Capital, Inc. $1.04B 18.76 3.64 6.45 Δ -2.81 17.99% 12.29% 37.78% 29.83% 5.87% +16.96% Financial Services
117 GTY Getty Realty Corp. $2.08B 34.45 22.52 17.52 Δ 5.00 - 4.23% 6.24% 3.31% 5.81% +31.61% Real Estate
118 PINE Alpine Income Property Trust, Inc. $340.57M 20.61 -257.62 42.94 Δ -300.56 1.89% 1.94% 26.43% - 5.81% +49.25% Real Estate
119 FCPT Four Corners Property Trust, Inc. $2.76B 25.15 22.66 20.17 Δ 2.49 - 3.72% 5.32% 99.08% 5.80% -0.83% Real Estate
120 MFIN Medallion Financial Corp. $237.78M 9.97 6.74 6.88 Δ -0.14 - 3.68% - - 5.71% +9.96% Financial Services
121 PZZA Papa John's International, Inc. $1.09B 33.20 40.00 18.96 Δ 21.04 16.31% 7.83% 3.72% -0.39% 5.64% -25.76% Consumer Cyclical
122 AAT American Assets Trust, Inc. $1.55B 25.18 83.93 34.97 Δ 48.96 5.34% 2.13% 1.06% 8.50% 5.57% +26.16% Real Estate
123 FSP Franklin Street Properties Corp. $50.81M 0.49 -1.58 -1.58 Δ 0.00 - -0.49% -0.76% - 5.56% -71.20% Real Estate
124 HVT Haverty Furniture Companies, Inc. $374.96M 25.19 20.65 9.74 Δ 10.91 4.11% 2.20% -10.17% -39.56% 5.56% +21.38% Consumer Cyclical
125 BNL Broadstone Net Lease, Inc. $4.19B 21.87 33.65 26.85 Δ 6.80 - 2.74% 16.56% 17.47% 5.53% +44.30% Real Estate
126 KREF KKR Real Estate Finance Trust Inc. $480.97M 7.48 -4.02 16.90 Δ -20.92 - -1.51% - - 5.53% -9.40% Real Estate
127 CWH Camping World Holdings, Inc. $392.55M 6.18 -4.15 5.53 Δ -9.68 6.24% 2.23% 8.35% - 5.52% -65.14% Consumer Cyclical
128 NEWT NewtekOne, Inc. $427.69M 14.82 6.56 5.85 Δ 0.71 - 5.21% - -7.91% 5.44% +36.22% Financial Services
129 RLJ RLJ Lodging Trust $1.76B 11.60 -580.00 -316.33 Δ -263.67 - 1.69% 7.02% - 5.44% +60.21% Real Estate
130 ARE Alexandria Real Estate Equities, Inc. $8.28B 47.50 -7.58 -53.98 Δ 46.40 -3.10% 1.00% 4.56% -124.68% 5.42% -35.89% Real Estate
131 NWBI Northwest Bancshares, Inc. $2.21B 15.11 16.42 10.47 Δ 5.95 - 0.85% - 8.81% 5.41% +18.99% Financial Services
132 CMCSA Comcast Corporation $82.62B 23.19 4.55 6.13 Δ -1.58 8.65% 4.54% 7.98% 12.03% 5.39% -27.21% Communication Services
133 MKTW MarketWise, Inc. $54.99M 20.84 12.48 104.20 Δ -91.72 - 12.98% 3.60% -23.46% 5.33% +28.37% Financial Services
134 PAX Patria Investments Limited $739.07M 11.10 20.94 7.15 Δ 13.79 13.24% 5.74% 13.82% -2.69% 5.30% -13.30% Financial Services
135 CSR Centerspace $926.69M 55.15 117.34 -106.35 Δ 223.69 - 0.75% 37.29% 10.17% 5.27% -3.77% Real Estate
136 QUAD Quad/Graphics, Inc. $320.17M 8.36 14.41 6.09 Δ 8.32 18.90% 5.31% 2.04% -4.37% 5.27% +58.49% Industrials
137 SLG SL Green Realty Corp. $3.55B 49.87 -19.87 -27.45 Δ 7.58 - 0.50% -0.35% - 5.23% -17.32% Real Estate
138 AMSF AMERISAFE, Inc. $637.05M 34.06 14.02 16.35 Δ -2.33 - 3.17% 2.49% -5.35% 5.20% -18.47% Financial Services
139 LXP LXP Industrial Trust $3.24B 55.04 36.94 18.47 Δ 18.47 - 0.87% -20.28% -9.20% 5.18% +38.08% Real Estate
140 O Realty Income Corporation $59.47B 63.77 52.27 37.05 Δ 15.22 - 2.31% 24.73% 13.04% 5.18% +14.66% Real Estate
141 INN Summit Hotel Properties, Inc. $708.71M 6.54 -23.36 -18.69 Δ -4.67 2.65% 1.30% 14.74% - 5.16% +24.91% Real Estate
142 PRU Prudential Financial, Inc. $39.87B 114.79 11.82 7.90 Δ 3.92 - 0.41% 2.28% 105.71% 5.16% +14.70% Financial Services
143 STRW Strawberry Fields REIT, Inc. $183.14M 13.64 21.31 16.89 Δ 4.42 - 6.29% 15.52% 109.53% 5.14% +37.55% Real Estate
144 BSET Bassett Furniture Industries, Incorporated $185.83M 21.49 34.66 16.66 Δ 18.00 3.17% 1.30% 2.31% - 5.12% +21.01% Consumer Cyclical
145 CLX The Clorox Company $11.46B 94.75 15.41 15.05 Δ 0.36 - 11.04% 1.77% 3.37% 5.12% -22.28% Consumer Defensive
146 IP International Paper Company $19.33B 36.50 -7.03 13.63 Δ -20.66 7.85% 1.79% 0.43% - 5.12% -26.62% Consumer Cyclical
147 SAFT Safety Insurance Group, Inc. $1.10B 74.82 17.69 11.97 Δ 5.72 - 2.19% 4.80% 3.86% 5.12% +7.23% Financial Services
148 NHI National Health Investors, Inc. $3.69B 76.12 24.55 21.41 Δ 3.14 - 4.40% 2.02% 5.47% 5.10% +10.53% Real Estate
149 CZNC Citizens & Northern Corporation $410.83M 22.93 21.43 8.49 Δ 12.94 - 0.60% - 4.04% 5.07% +20.99% Financial Services
150 FIBK First Interstate BancSystem, Inc. $3.78B 38.94 12.73 13.22 Δ -0.49 - 1.14% - 11.38% 5.07% +31.56% Financial Services
151 DLX Deluxe Corporation $1.13B 24.63 10.90 5.99 Δ 4.91 10.47% 6.84% 2.22% -1.25% 5.04% +59.12% Industrials
152 LCNB LCNB Corp. $250.59M 17.59 10.93 9.72 Δ 1.21 - 1.01% - 7.06% 5.04% +20.60% Financial Services
153 CBL CBL & Associates Properties, Inc. $1.62B 52.41 9.44 -134.38 Δ 143.82 - 3.65% -23.04% - 5.03% +108.13% Real Estate
154 KMB Kimberly-Clark Corporation $35.46B 106.82 20.66 14.10 Δ 6.56 23.57% 10.16% -0.58% 0.57% 5.01% -12.09% Consumer Defensive
155 KRNY Kearny Financial Corp. $590.31M 9.38 16.46 11.95 Δ 4.51 - 0.47% 194.36% 13.45% 5.01% +50.26% Financial Services
156 SXC SunCoke Energy, Inc. $727.19M 8.57 -11.13 -45.11 Δ 33.98 -2.83% 1.22% 3.00% - 5.01% +6.09% Basic Materials
157 WD Walker & Dunlop, Inc. $1.67B 48.50 24.01 8.32 Δ 15.69 2.18% 1.35% -0.65% -35.61% 4.99% -33.39% Financial Services
158 SMA SmartStop Self Storage REIT, Inc. $1.84B 33.19 103.72 61.50 Δ 42.22 2.56% 1.56% 20.75% - 4.96% -4.23% Real Estate
159 LCII LCI Industries $2.51B 103.55 12.69 10.29 Δ 2.40 10.36% 5.81% 15.73% 3.51% 4.94% +8.35% Consumer Cyclical
160 MATV Mativ Holdings, Inc. $426.06M 7.73 5.48 6.18 Δ -0.70 -21.76% 2.10% 6.55% - 4.92% +7.49% Basic Materials
161 BBY Best Buy Co., Inc. $17.70B 83.98 15.55 11.87 Δ 3.68 25.03% 7.77% 0.19% -1.30% 4.89% +24.97% Consumer Cyclical
162 EBF Ennis, Inc. $531.77M 21.02 12.66 13.06 Δ -0.40 16.39% 9.11% -1.72% 1.20% 4.82% +20.01% Industrials
163 FNLC The First Bancorp, Inc. $381.01M 33.79 10.43 8.21 Δ 2.22 - 1.14% - 5.41% 4.82% +36.91% Financial Services
164 EIX Edison International $29.47B 76.58 8.32 11.76 Δ -3.44 8.50% 3.90% 2.28% 8.10% 4.81% +58.56% Utilities
165 AES The AES Corporation $10.55B 14.80 7.71 6.22 Δ 1.49 3.42% 2.71% -1.02% 88.89% 4.79% +23.70% Utilities
166 GNK Genco Shipping & Trading Limited $1.11B 25.45 65.26 14.52 Δ 50.74 0.68% 1.83% -1.06% - 4.78% +80.57% Industrials
167 INSW International Seaways, Inc. $4.36B 88.12 8.03 13.73 Δ -5.70 13.44% 10.52% 4.55% - 4.76% +153.37% Energy
168 JBGS JBG SMITH Properties $854.03M 14.66 -7.92 -8.94 Δ 1.02 - 0.04% 0.58% - 4.76% -17.39% Real Estate
169 HPQ HP Inc. $22.52B 24.63 9.12 8.18 Δ 0.94 25.37% 5.88% -3.46% -5.69% 4.75% +4.28% Technology
170 TROW T. Rowe Price Group, Inc. $24.87B 116.07 12.45 12.00 Δ 0.45 15.71% 10.85% 9.56% 6.51% 4.74% +19.44% Financial Services
171 HRL Hormel Foods Corporation $13.65B 24.81 29.19 15.90 Δ 13.29 5.98% 4.58% 3.49% 3.08% 4.73% -13.33% Consumer Defensive
172 PAYX Paychex, Inc. $39.24B 109.52 24.18 18.57 Δ 5.61 22.98% 10.01% 5.82% 6.41% 4.73% -20.99% Technology
173 OKE ONEOK, Inc. $57.90B 91.90 16.38 14.87 Δ 1.51 9.52% 5.66% 5.21% 14.32% 4.72% +18.86% Energy
174 T AT&T Inc. $147.86B 21.28 7.00 8.35 Δ -1.35 6.59% 4.12% 0.31% 3.44% 4.71% -17.95% Communication Services
175 FMNB Farmers National Banc Corp. $844.41M 14.26 9.83 8.15 Δ 1.68 - 0.93% 14.54% 14.99% 4.68% +5.29% Financial Services
176 CIX CompX International Inc. $309.06M 25.08 15.29 15.58 Δ -0.29 16.24% 9.33% -1.68% -2.28% 4.66% +2.16% Industrials
177 BXP BXP, Inc. $10.80B 67.72 34.03 31.87 Δ 2.16 - 1.68% 4.86% -8.27% 4.65% -0.69% Real Estate
178 AVA Avista Corporation $3.46B 41.82 16.66 14.99 Δ 1.67 4.73% 2.79% 0.99% 6.21% 4.63% +15.40% Utilities
179 TAP Molson Coors Beverage Company $6.81B 38.86 -3.68 7.78 Δ -11.46 -13.41% 4.49% 4.23% - 4.62% -18.08% Consumer Defensive
180 CCI Crown Castle Inc. $34.50B 79.05 33.35 26.69 Δ 6.66 7.67% 4.05% -9.83% -14.97% 4.61% -19.75% Real Estate
181 MLKN MillerKnoll, Inc. $1.41B 20.56 137.07 10.29 Δ 126.78 1.56% 3.81% 5.20% - 4.61% +4.27% Consumer Cyclical
182 ES Eversource Energy $28.07B 74.64 15.98 15.04 Δ 0.94 5.34% 3.29% 5.87% 10.64% 4.59% +19.39% Utilities
183 IMMR Immersion Corporation $224.09M 6.77 -11.28 12.31 Δ -23.59 14.11% 5.83% 30.80% - 4.59% -9.69% Technology
184 PEBO Peoples Bancorp Inc. $1.37B 38.22 12.25 10.29 Δ 1.96 - 1.18% 8.11% 22.43% 4.59% +27.16% Financial Services
185 EGY VAALCO Energy, Inc. $581.08M 5.43 -3.96 16.21 Δ -20.17 -2.86% -4.20% 22.05% - 4.58% +53.39% Energy
186 KVUE Kenvue Inc. $36.02B 18.76 22.33 15.17 Δ 7.16 11.42% 7.07% 0.12% -8.29% 4.58% -10.03% Consumer Defensive
187 REPX Riley Exploration Permian, Inc. $745.47M 34.36 11.97 4.29 Δ 7.68 13.16% 7.62% 28.08% - 4.54% +33.23% Energy
188 BIPC Brookfield Infrastructure Corporation $4.88B 39.71 -6.42 30.31 Δ -36.73 13.78% 5.92% 24.82% - 4.50% +1.16% Utilities
189 WGO Winnebago Industries, Inc. $820.08M 29.01 21.33 11.57 Δ 9.76 3.06% 2.06% -17.36% -59.63% 4.49% -6.80% Consumer Cyclical
190 SAFE Safehold Inc. $1.18B 16.44 10.41 9.49 Δ 0.92 - 2.87% 12.57% -5.45% 4.48% +11.69% Real Estate
191 EPSN Epsilon Energy Ltd. $166.37M 5.50 -13.41 14.86 Δ -28.27 -5.17% 4.77% 8.22% - 4.46% -18.96% Energy
192 CRCT Cricut, Inc. $246.49M 4.48 13.18 23.58 Δ -10.40 26.70% 9.20% 6.47% 11.83% 4.45% -10.04% Technology
193 JAKK JAKKS Pacific, Inc. $260.93M 22.80 32.57 6.97 Δ 25.60 4.83% 1.92% -2.12% - 4.44% +21.87% Consumer Cyclical
194 BMY Bristol-Myers Squibb Company $116.30B 56.95 15.95 9.24 Δ 6.71 - 10.69% 6.46% 6.78% 4.41% +26.07% Healthcare
195 HASI HA Sustainable Infrastructure Capital, Inc. $4.92B 38.46 96.15 11.53 Δ 84.62 - 0.72% 33.25% 17.49% 4.41% +48.97% Financial Services
196 MAA Mid-America Apartment Communities, Inc. $15.56B 133.68 40.39 34.37 Δ 6.02 - 3.19% 14.73% 23.02% 4.41% -7.56% Real Estate
197 OFLX Omega Flex, Inc. $299.60M 29.68 22.32 38.35 Δ -16.03 19.02% 9.31% 5.43% 8.78% 4.40% -9.76% Industrials
198 NUS Nu Skin Enterprises, Inc. $241.30M 4.97 4.60 3.77 Δ 0.83 5.76% 3.68% 0.69% 5.42% 4.39% -40.92% Consumer Defensive
199 UDR UDR, Inc. $12.99B 39.97 27.19 71.37 Δ -44.18 - 2.21% -20.72% -3.55% 4.39% +2.68% Real Estate
200 DGICA Donegal Group Inc. $590.43M 18.76 10.54 10.01 Δ 0.53 - 2.12% 5.97% 9.41% 4.37% +4.21% Financial Services
201 HCKT AI The Hackett Group, Inc. $247.10M 9.81 18.87 5.89 Δ 12.98 14.93% 10.46% 4.88% 18.79% 4.37% -58.84% Technology
202 BLX Banco Latinoamericano de Comercio Exterior, S. A. $1.72B 57.36 9.53 8.13 Δ 1.40 - 1.77% 29.28% 35.09% 4.34% +39.34% Financial Services
203 GWRS Global Water Resources, Inc. $203.36M 7.07 88.38 64.27 Δ 24.11 1.54% 0.85% 17.60% -24.48% 4.34% -30.04% Utilities
204 FVR FrontView REIT, Inc. $486.34M 21.47 -134.19 - - - 0.97% 39.05% - 4.33% +81.33% Real Estate
205 SLVM Sylvamo Corporation $1.50B 37.84 15.08 6.79 Δ 8.29 12.26% 4.80% -2.98% -16.05% 4.33% -22.02% Basic Materials
206 AGNT AGNT, Inc $703.31M 4.28 -42.80 12.23 Δ -55.03 -8.84% -2.75% 1.31% -82.36% 4.32% -57.39% Real Estate
207 NTST NETSTREIT Corp. $2.08B 21.40 178.33 52.20 Δ 126.13 - 1.82% 42.04% 58.59% 4.32% +26.38% Real Estate
208 EXR Extra Space Storage Inc. $30.74B 145.50 32.77 30.36 Δ 2.41 5.12% 3.38% 13.99% 21.45% 4.30% +1.21% Real Estate
209 OCFC OceanFirst Financial Corp. $1.11B 19.26 16.32 8.10 Δ 8.22 - 0.50% - 9.91% 4.30% +7.18% Financial Services
210 FIS Fidelity National Information Services, Inc. $20.97B 40.58 7.86 5.92 Δ 1.94 6.06% 4.07% 3.18% 34.09% 4.29% -47.30% Technology
211 BCBP BCB Bancorp, Inc. $179.88M 10.36 -148.00 8.40 Δ -156.40 - 0.02% -4.20% - 4.28% +22.03% Financial Services
212 III AI Information Services Group, Inc. $188.01M 3.93 18.71 9.14 Δ 9.57 10.42% 5.99% 5.77% 27.66% 4.28% -15.96% Technology
213 NE Noble Corporation plc $6.65B 41.68 29.15 16.22 Δ 12.93 6.14% 3.37% 27.79% - 4.26% +53.37% Energy
214 HOPE Hope Bancorp, Inc. $1.71B 13.39 24.35 8.36 Δ 15.99 - 0.39% - -11.20% 4.25% +20.72% Financial Services
215 MSBI Midland States Bancorp, Inc. $632.88M 30.53 25.44 9.75 Δ 15.69 - 0.51% -8.62% - 4.24% +71.29% Financial Services
216 BBT Beacon Financial Corporation $2.52B 30.09 27.86 8.78 Δ 19.08 - 0.70% 19.02% -6.30% 4.23% +17.36% Financial Services
217 CTRE CareTrust REIT, Inc. $9.57B 40.49 25.63 23.24 Δ 2.39 4.33% 4.76% 19.85% 94.40% 4.23% +34.68% Real Estate
218 GCMG GCM Grosvenor Inc. $833.89M 13.81 27.62 13.13 Δ 14.49 - 13.66% 5.69% 62.14% 4.23% +22.07% Financial Services
219 HNI HNI Corporation $2.86B 39.69 147.00 8.21 Δ 138.79 3.36% 4.30% 6.33% -24.09% 4.23% -21.06% Consumer Cyclical
220 POR Portland General Electric Company $6.14B 53.08 23.70 14.83 Δ 8.87 4.54% 2.43% 7.14% 10.47% 4.19% +34.61% Utilities
221 SBSI Southside Bancshares, Inc. $1.02B 34.36 14.56 9.89 Δ 4.67 - 0.83% - 2.81% 4.18% +15.62% Financial Services
222 SW Smurfit Westrock Plc $22.50B 42.91 59.60 13.57 Δ 46.03 4.51% 3.01% 32.15% -12.24% 4.18% -4.68% Consumer Cyclical
223 EQR Equity Residential $25.75B 68.72 27.49 43.77 Δ -16.28 5.94% 2.71% 3.33% 0.74% 4.17% +7.16% Real Estate
224 OMC Omnicom Group Inc. $23.01B 80.75 -218.24 6.52 Δ -224.76 1.79% 4.47% 1.73% - 4.17% +15.61% Communication Services
225 SR Spire Inc. $4.81B 81.39 16.48 14.73 Δ 1.75 5.80% 2.85% 4.19% 7.62% 4.17% +12.05% Utilities
226 CNNE Cannae Holdings, Inc. $653.40M 14.87 -1.99 -8.92 Δ 6.93 -10.04% -3.63% -11.45% - 4.16% -28.43% Consumer Cyclical
227 CRGY Crescent Energy Company $3.31B 10.01 -13.71 4.11 Δ -17.82 2.05% 0.37% 21.97% - 4.15% +19.55% Energy
228 EPRT Essential Properties Realty Trust, Inc. $6.75B 31.20 24.57 22.28 Δ 2.29 - 3.59% 33.86% 58.68% 4.15% +2.05% Real Estate
229 DOW Dow Inc. $21.85B 30.31 -7.58 13.91 Δ -21.49 - -0.14% -1.12% - 4.14% +12.90% Basic Materials
230 MOV Movado Group, Inc. $596.33M 37.81 26.82 20.66 Δ 6.16 4.74% 3.18% 4.16% - 4.14% +141.10% Consumer Cyclical
231 FF FutureFuel Corp. $207.04M 4.72 -3.97 5.90 Δ -9.87 -30.37% -16.71% -4.32% - 4.13% +21.21% Basic Materials
232 NKSH National Bankshares, Inc. $230.03M 36.12 13.09 10.78 Δ 2.31 - 0.96% 4.69% 0.63% 4.13% +28.99% Financial Services
233 CFFN Capitol Federal Financial, Inc. $1.06B 8.49 14.15 11.79 Δ 2.36 - 0.79% 1.00% 0.16% 4.12% +41.43% Financial Services
234 BEN Franklin Resources, Inc. $17.22B 33.14 25.30 11.12 Δ 14.18 1.95% 2.60% 1.94% -6.54% 4.11% +40.47% Financial Services
235 VALU Value Line, Inc. $366.57M 39.05 16.69 14.54 Δ 2.15 4.95% 2.06% -3.31% 6.72% 4.11% +7.03% Financial Services
236 GPC Genuine Parts Company $16.81B 122.16 277.64 14.59 Δ 263.05 13.00% 4.54% 4.54% -17.72% 4.10% +1.71% Consumer Cyclical
237 PEP PepsiCo, Inc. $185.13B 135.45 21.23 14.87 Δ 6.36 15.41% 9.09% 4.93% 2.11% 4.10% +3.87% Consumer Defensive
238 PSTL Postal Realty Trust, Inc. $657.45M 23.80 45.77 37.13 Δ 8.64 - 3.12% 42.82% - 4.10% +67.20% Real Estate
239 IRT Independence Realty Trust, Inc. $3.90B 16.55 82.75 97.35 Δ -14.60 1.02% 1.31% 119.42% 89.10% 4.09% -1.18% Real Estate
240 PFS Provident Financial Services, Inc. $3.07B 23.53 10.01 9.32 Δ 0.69 - 1.24% 8.22% 12.12% 4.08% +31.31% Financial Services
241 BX Blackstone Inc. $92.45B 124.56 31.94 16.53 Δ 15.41 - 13.03% 18.82% 23.63% 4.05% -20.98% Financial Services
242 F Ford Motor Company $54.56B 13.94 -8.99 7.58 Δ -16.57 -5.26% 0.34% 0.52% - 4.04% +23.13% Consumer Cyclical
243 INVH Invitation Homes Inc. $17.96B 30.23 31.82 45.51 Δ -13.69 - 2.47% 46.60% 24.54% 4.04% -2.30% Real Estate
244 SGC Superior Group of Companies, Inc. $200.58M 12.83 22.51 15.40 Δ 7.11 - 2.31% 11.83% 4.14% 4.03% +26.30% Consumer Cyclical
245 TFC Truist Financial Corporation $64.72B 51.95 12.86 10.14 Δ 2.72 - 1.02% - 6.03% 4.03% +18.90% Financial Services
246 JJSF J&J Snack Foods Corp. $1.42B 75.67 25.39 17.26 Δ 8.13 6.99% 4.46% 5.69% 2.93% 4.02% -32.50% Consumer Defensive
247 RMBI Richmond Mutual Bancorporation, Inc. $149.24M 15.26 12.21 8.72 Δ 3.49 - 0.81% - 10.71% 4.02% +13.99% Financial Services
248 SPG Simon Property Group, Inc. $71.76B 221.28 15.38 32.99 Δ -17.61 - 5.56% 3.14% 14.02% 4.02% +42.71% Real Estate
249 KIM Kimco Realty Corporation $17.03B 25.25 29.02 29.22 Δ -0.20 - 2.32% 6.55% 1.56% 4.01% +21.77% Real Estate
250 ARES Ares Management Corporation $26.71B 120.30 55.44 16.43 Δ 39.01 9.72% 2.54% 22.39% 46.55% 4.00% -30.83% Financial Services
251 NWFL Norwood Financial Corp. $342.19M 31.42 11.51 8.53 Δ 2.98 - 0.97% 5.06% 8.93% 3.98% +28.03% Financial Services
252 KRG Kite Realty Group Trust $5.83B 28.69 21.73 54.13 Δ -32.40 1.75% 1.82% 10.14% - 3.97% +33.36% Real Estate
253 SWK Stanley Black & Decker, Inc. $13.58B 87.37 35.81 14.01 Δ 21.80 13.60% 3.33% 7.50% 1.60% 3.97% +27.62% Industrials
254 FE FirstEnergy Corp. $28.48B 49.23 26.76 16.71 Δ 10.05 4.36% 3.76% 0.92% -1.38% 3.95% +26.62% Utilities
255 NWN Northwest Natural Holding Company $2.13B 50.56 17.32 15.67 Δ 1.65 5.27% 2.81% 7.58% 7.54% 3.95% +25.25% Utilities
256 OPBK OP Bancorp $219.24M 14.72 8.04 7.31 Δ 0.73 - 1.05% 10.78% 14.76% 3.94% +10.77% Financial Services
257 D Dominion Energy, Inc. $62.71B 71.30 21.03 18.69 Δ 2.34 4.19% 3.09% 0.61% 0.93% 3.93% +30.16% Utilities
258 BORR Borr Drilling Limited $1.36B 4.42 29.47 14.30 Δ 15.17 9.83% 5.34% 32.00% - 3.92% +125.51% Energy
259 MKC McCormick & Company, Incorporated $13.42B 52.85 8.66 15.84 Δ -7.18 10.56% 4.88% 4.62% 6.85% 3.92% -24.18% Consumer Defensive
260 PFIS Peoples Financial Services Corp. $667.53M 66.68 11.38 9.13 Δ 2.25 - 1.13% - 16.63% 3.91% +34.01% Financial Services
261 HY Hyster-Yale, Inc. $468.15M 32.35 -5.78 15.63 Δ -21.41 -2.17% -1.09% 5.04% - 3.89% -19.62% Industrials
262 MOS The Mosaic Company $7.29B 22.94 163.86 12.53 Δ 151.33 4.01% 2.00% 0.99% -8.77% 3.88% -34.14% Basic Materials
263 ATNI ATN International, Inc. $366.06M 23.80 -24.29 19.35 Δ -43.64 3.09% 1.92% 7.61% - 3.87% +40.40% Communication Services
264 RHP Ryman Hospitality Properties, Inc. $7.82B 123.97 32.71 25.02 Δ 7.69 8.35% 5.47% 7.00% - 3.87% +25.21% Real Estate
265 MC Moelis & Company $4.98B 66.97 24.09 16.94 Δ 7.15 - 19.89% 15.47% 5.44% 3.84% -1.48% Financial Services
266 SWKS AI Skyworks Solutions, Inc. $8.51B 56.58 23.58 10.99 Δ 12.59 7.58% 3.54% 9.60% 8.96% 3.84% -20.79% Technology
267 ACN Accenture plc $82.61B 134.56 11.04 9.06 Δ 1.98 23.31% 11.16% 4.19% 3.74% 3.83% -50.95% Technology
268 BKH Black Hills Corporation $5.75B 75.54 19.67 16.38 Δ 3.29 5.31% 3.17% 4.95% 6.19% 3.83% +37.54% Utilities
269 OUT OUTFRONT Media Inc. $5.84B 33.15 30.98 23.84 Δ 7.14 6.16% 4.27% 2.77% 2.02% 3.83% +93.44% Real Estate
270 PII Polaris Inc. $3.84B 67.50 -8.61 21.68 Δ -30.29 -13.16% 1.37% 7.95% - 3.83% +46.44% Consumer Cyclical
271 WSBC WesBanco, Inc. $3.76B 39.10 11.99 9.87 Δ 2.12 - 1.17% 18.47% 5.11% 3.83% +22.39% Financial Services
272 SFNC Simmons First National Corporation $3.32B 22.92 -8.33 10.45 Δ -18.78 - -1.40% - - 3.82% +18.56% Financial Services
273 ASC Ardmore Shipping Corporation $660.19M 16.18 12.26 18.92 Δ -6.66 6.91% 5.54% -11.38% -33.34% 3.81% +63.86% Industrials
274 AVB AvalonBay Communities, Inc. $27.20B 191.75 23.79 39.36 Δ -15.57 4.45% 2.65% 8.77% 6.54% 3.81% -1.28% Real Estate
275 BMRC Bank of Marin Bancorp $457.52M 28.26 -13.99 11.80 Δ -25.79 - -0.83% - - 3.81% +14.12% Financial Services
276 CVX Chevron Corporation $361.99B 181.76 31.61 14.46 Δ 17.15 - 3.46% -1.00% -2.30% 3.80% +24.87% Energy
277 MATW Matthews International Corporation $825.62M 26.46 88.20 21.43 Δ 66.77 5.61% 0.69% 3.62% - 3.80% +9.59% Industrials
278 SJM The J. M. Smucker Company $11.60B 108.81 -9.23 10.15 Δ -19.38 2.63% 5.07% 5.31% - 3.78% +8.26% Consumer Defensive
279 CVBF CVB Financial Corp. $3.99B 22.59 14.76 11.99 Δ 2.77 - 1.36% - 7.54% 3.77% +10.99% Financial Services
280 REG Regency Centers Corporation $14.71B 80.33 27.60 31.74 Δ -4.14 9.00% 3.21% 5.87% 14.70% 3.76% +19.58% Real Estate
281 STEP StepStone Group Inc. $3.55B 43.42 -6.40 13.10 Δ -19.50 - -11.27% 34.05% - 3.76% -25.11% Financial Services
282 NWE NorthWestern Energy Group, Inc. $4.48B 72.91 26.81 18.37 Δ 8.44 4.20% 2.43% 4.08% -0.78% 3.74% +44.59% Utilities
283 AMT American Tower Corporation $78.66B 168.83 27.23 24.45 Δ 2.78 7.82% 4.91% 3.34% 12.73% 3.73% -20.93% Real Estate
284 BCML BayCom Corp $365.90M 33.54 13.86 11.94 Δ 1.92 - 1.01% 0.15% 19.10% 3.73% +23.39% Financial Services
285 BPRN Princeton Bancorp, Inc. $259.71M 38.13 13.38 10.07 Δ 3.31 - 0.85% - -4.62% 3.73% +21.97% Financial Services
286 WTBA West Bancorporation, Inc. $450.73M 26.47 12.79 9.29 Δ 3.50 - 0.88% -2.50% -11.14% 3.70% +35.31% Financial Services
287 CPT Camden Property Trust $11.20B 112.98 31.56 70.77 Δ -39.21 - 1.58% -37.38% 25.41% 3.69% +3.05% Real Estate
288 KMI Kinder Morgan, Inc. $72.40B 32.54 21.84 21.60 Δ 0.24 6.90% 4.32% 4.80% 12.05% 3.68% +19.67% Energy
289 PSA Public Storage $55.99B 318.93 32.95 30.43 Δ 2.52 - 7.21% 5.67% 7.85% 3.68% +15.08% Real Estate
290 ESS Essex Property Trust, Inc. $19.16B 298.13 33.57 49.49 Δ -15.92 - 3.17% -19.91% 15.01% 3.65% +8.95% Real Estate
291 NKE NIKE, Inc. $51.41B 42.86 28.20 23.60 Δ 4.60 - 5.20% 5.50% 3.20% 3.65% -39.05% Consumer Cyclical
292 EXC Exelon Corporation $48.01B 46.92 17.19 15.45 Δ 1.74 4.85% 2.84% 1.49% 0.07% 3.64% +11.93% Utilities
293 OSPN OneSpan Inc. $574.26M 15.49 8.56 11.81 Δ -3.25 17.11% 8.43% 5.60% 12.02% 3.63% +3.23% Technology
294 AKR Acadia Realty Trust $2.85B 21.36 68.90 66.75 Δ 2.15 1.22% 0.99% 7.98% 49.22% 3.62% +19.03% Real Estate
295 CDP COPT Defense Properties $4.14B 36.55 26.68 26.11 Δ 0.57 - 3.42% -14.35% 7.13% 3.62% +34.30% Real Estate
296 RF Regions Financial Corporation $26.39B 30.92 12.83 10.83 Δ 2.00 - 1.39% 12.39% 3.07% 3.62% +30.20% Financial Services
297 BUSE First Busey Corporation $2.48B 29.31 12.06 10.80 Δ 1.26 - 1.15% 16.92% 6.15% 3.61% +25.07% Financial Services
298 FPI Farmland Partners Inc. $421.34M 9.66 16.37 48.30 Δ -31.93 - 1.84% 5.96% 35.87% 3.61% -10.34% Real Estate
299 KEY KeyCorp $25.15B 23.30 14.29 10.85 Δ 3.44 - 1.03% -7.48% 3.90% 3.61% +32.27% Financial Services
300 AUB Atlantic Union Bankshares Corporation $5.99B 41.82 17.87 10.42 Δ 7.45 - 1.12% 25.05% 35.49% 3.60% +30.77% Financial Services
301 EXE Expand Energy Corporation $21.01B 87.81 6.53 9.17 Δ -2.64 9.73% 9.67% 2.48% 1.25% 3.59% -17.29% Energy
302 FRT Federal Realty Investment Trust $10.55B 122.11 21.13 39.33 Δ -18.20 - 3.32% 5.44% 7.02% 3.59% +34.14% Real Estate
303 MDT Medtronic plc $101.81B 79.30 21.26 12.38 Δ 8.88 7.56% 5.09% 6.04% 2.50% 3.59% -8.75% Healthcare
304 MZTI The Marzetti Company $2.93B 106.96 16.74 14.82 Δ 1.92 20.24% 10.97% 4.02% 2.53% 3.58% -37.81% Consumer Defensive
305 COFS ChoiceOne Financial Services, Inc. $492.53M 32.89 7.79 8.93 Δ -1.14 - 1.28% 36.69% 20.23% 3.57% +14.25% Financial Services
306 TRN Trinity Industries, Inc. $2.88B 36.23 11.43 15.25 Δ -3.82 8.27% 2.53% -3.40% -0.61% 3.57% +36.63% Industrials
307 XRX Xerox Holdings Corporation $357.03M 2.73 -0.33 2.95 Δ -3.28 -3.64% 0.24% -0.40% -73.19% 3.57% -43.93% Industrials
308 UTL Unitil Corporation $964.67M 53.62 17.13 15.28 Δ 1.85 5.92% 3.48% -1.64% 6.64% 3.56% +7.11% Utilities
309 TSN Tyson Foods, Inc. $16.22B 57.48 45.26 12.67 Δ 32.59 3.63% 2.47% 3.79% 9.40% 3.55% +9.50% Consumer Defensive
310 HBAN Huntington Bancshares Incorporated $36.18B 17.85 13.73 9.42 Δ 4.31 - 0.90% 8.52% 22.03% 3.54% +8.49% Financial Services
311 RGCO RGC Resources, Inc. $258.51M 24.84 18.54 18.00 Δ 0.54 6.00% 3.61% 5.64% 7.57% 3.54% +13.60% Utilities
312 HAFC Hanmi Financial Corporation $953.72M 32.04 11.96 9.37 Δ 2.59 - 1.04% -0.21% 12.51% 3.53% +27.29% Financial Services
313 UTZ Utz Brands, Inc. $662.26M 7.48 -74.80 8.94 Δ -83.74 0.79% 0.27% 10.93% - 3.53% -44.68% Consumer Defensive
314 WY Weyerhaeuser Company $17.16B 23.80 42.50 34.48 Δ 8.02 3.48% 0.72% -12.15% -44.35% 3.53% -4.82% Real Estate
315 BHB Bar Harbor Bankshares $625.15M 37.34 15.18 9.77 Δ 5.41 - 0.92% 8.08% 8.27% 3.52% +22.20% Financial Services
316 NFBK Northfield Bancorp, Inc. $614.76M 14.72 113.23 9.81 Δ 103.42 - 0.08% 4.85% -17.32% 3.52% +30.67% Financial Services
317 PNW Pinnacle West Capital Corporation $13.21B 109.00 20.34 19.57 Δ 0.77 3.97% 2.49% 3.02% 5.65% 3.52% +24.14% Utilities
318 SWBI Smith & Wesson Brands, Inc. $675.86M 15.19 63.29 46.03 Δ 17.26 4.84% 2.46% 1.90% -5.73% 3.52% +88.35% Industrials
319 FRME First Merchants Corporation $2.73B 43.30 12.77 9.51 Δ 3.26 - 1.01% - 8.75% 3.51% +7.66% Financial Services
320 UE Urban Edge Properties $2.89B 22.92 26.96 44.65 Δ -17.69 - 2.65% 2.21% -1.29% 3.51% +24.29% Real Estate
321 OGS ONE Gas, Inc. $4.97B 79.15 17.87 15.78 Δ 2.09 6.25% 3.40% 10.36% 8.06% 3.50% +10.56% Utilities
322 USB U.S. Bancorp $96.80B 62.14 13.03 10.98 Δ 2.05 - 1.14% 3.51% 3.16% 3.50% +37.31% Financial Services
323 ALTG Alta Equipment Group Inc. $215.39M 6.62 -2.63 -12.11 Δ 9.48 3.52% 0.73% 5.31% -321.15% 3.49% -14.91% Industrials
324 BOH Bank of Hawaii Corporation $3.25B 82.08 16.55 11.77 Δ 4.78 - 0.92% 2.67% 2.26% 3.49% +22.75% Financial Services
325 CNS Cohen & Steers, Inc. $3.96B 77.07 25.52 20.16 Δ 5.36 - 13.51% 9.86% 14.88% 3.48% +3.80% Financial Services
326 MUR Murphy Oil Corporation $5.01B 34.97 59.27 10.01 Δ 49.26 3.43% 1.73% -10.11% -10.49% 3.48% +40.83% Energy
327 PTEN Patterson-UTI Energy, Inc. $3.74B 9.86 -32.87 99.89 Δ -132.76 -0.87% -0.82% 5.02% - 3.48% +64.29% Energy
328 DNUT Krispy Kreme, Inc. $574.09M 3.33 -1.12 62.35 Δ -63.47 -21.97% -1.16% 8.00% - 3.47% +3.42% Consumer Defensive
329 FG F&G Annuities & Life, Inc. $4.01B 30.26 7.84 5.87 Δ 1.97 - 0.55% 9.58% -32.01% 3.46% +1.79% Financial Services
330 SD SandRidge Energy, Inc. $505.78M 13.70 6.68 9.19 Δ -2.51 10.58% 6.40% -8.26% 1.99% 3.46% +32.76% Energy
331 NJR New Jersey Resources Corporation $5.93B 58.76 17.44 17.03 Δ 0.41 7.49% 4.25% 9.54% 6.83% 3.45% +32.00% Utilities
332 TGT Target Corporation $60.86B 134.00 17.70 15.05 Δ 2.65 13.37% 5.68% 2.83% 2.52% 3.43% +33.37% Consumer Defensive
333 VAC Marriott Vacations Worldwide Corporation $3.33B 96.98 -9.90 11.48 Δ -21.38 - 2.70% 6.94% - 3.43% +21.06% Consumer Cyclical
334 NVEC AI NVE Corporation $437.42M 90.43 28.71 31.95 Δ -3.24 26.88% 15.96% -0.42% 1.49% 3.42% +25.15% Technology
335 DUK Duke Energy Corporation $98.52B 126.37 19.44 17.62 Δ 1.82 4.94% 2.78% 5.53% 6.88% 3.41% +10.90% Utilities
336 AGM Federal Agricultural Mortgage Corporation $1.85B 198.88 11.46 9.32 Δ 2.14 - 0.63% 9.73% 5.20% 3.40% +13.13% Financial Services
337 BF-B Brown-Forman Corporation $7.29B 25.10 16.41 14.70 Δ 1.71 15.80% 8.64% 1.38% 4.42% 3.40% -8.03% Consumer Defensive
338 NTB The Bank of N.T. Butterfield & Son Limited $2.40B 60.58 10.50 8.58 Δ 1.92 - 1.69% 3.23% 2.72% 3.40% +33.56% Financial Services
339 GIC Global Industrial Company $1.29B 33.68 17.82 15.21 Δ 2.61 24.26% 11.18% -5.06% 2.82% 3.39% +26.27% Industrials
340 FDBC Fidelity D & D Bancorp, Inc. $296.06M 51.00 9.98 8.03 Δ 1.95 - 1.07% - 16.69% 3.38% +21.31% Financial Services
341 LKFN Lakeland Financial Corporation $1.51B 60.56 14.18 13.38 Δ 0.80 - 1.57% 3.03% 11.17% 3.37% -5.80% Financial Services
342 GEF Greif, Inc. $1.78B 71.65 29.61 15.93 Δ 13.68 8.25% 4.04% 2.29% 0.67% 3.36% +11.35% Consumer Cyclical
343 PEG Public Service Enterprise Group Incorporated $40.11B 80.50 17.81 17.14 Δ 0.67 5.75% 3.66% -0.23% 2.58% 3.36% +0.19% Utilities
344 SMP Standard Motor Products, Inc. $827.97M 37.19 10.00 7.53 Δ 2.47 9.09% 6.09% 5.72% 16.72% 3.35% +15.81% Consumer Cyclical
345 HAS Hasbro, Inc. $11.10B 78.42 -48.71 12.23 Δ -60.94 28.74% 11.94% 0.98% - 3.34% +6.95% Consumer Cyclical
346 UBSI United Bankshares, Inc. $6.36B 46.19 12.94 12.17 Δ 0.77 - 1.52% 6.81% 10.36% 3.33% +26.38% Financial Services
347 EVRG Evergy, Inc. $19.93B 86.45 22.99 18.99 Δ 4.00 5.07% 2.90% 9.30% 10.56% 3.32% +30.73% Utilities
348 FISI Financial Institutions, Inc. $763.44M 38.78 10.10 9.26 Δ 0.84 - 1.25% - 12.90% 3.32% +46.31% Financial Services
349 HFWA Heritage Financial Corporation $1.22B 29.61 14.51 10.59 Δ 3.92 - 0.93% - 34.61% 3.31% +19.70% Financial Services
350 JXN Jackson Financial Inc. $8.50B 121.92 -20.32 4.71 Δ -25.03 - -0.06% 11.50% - 3.31% +43.12% Financial Services
351 NCMI National CineMedia, Inc. $364.81M 3.89 -38.90 26.83 Δ -65.73 -3.24% -1.79% -2.76% - 3.31% -17.95% Communication Services
352 BHRB Burke & Herbert Financial Services Corp. $1.42B 70.37 9.13 7.98 Δ 1.15 - 1.49% - 34.20% 3.28% +11.71% Financial Services
353 ESCA Escalade, Incorporated $250.84M 18.17 16.22 9.27 Δ 6.95 9.77% 5.81% 4.65% 14.11% 3.25% +34.80% Consumer Cyclical
354 FULT Fulton Financial Corporation $4.63B 24.21 11.53 10.22 Δ 1.31 - 1.22% 4.41% 17.08% 3.25% +28.33% Financial Services
355 HBNC Horizon Bancorp, Inc. $1.01B 19.62 -5.98 8.84 Δ -14.82 - -2.09% - - 3.24% +28.53% Financial Services
356 ED Consolidated Edison, Inc. $41.26B 111.96 18.88 17.25 Δ 1.63 4.32% 3.17% 1.69% 5.35% 3.23% +14.52% Utilities
357 SO The Southern Company $108.18B 95.96 24.54 19.52 Δ 5.02 5.25% 3.24% 3.71% 5.23% 3.23% +6.92% Utilities
358 CLAR Clarus Corporation $125.32M 3.26 -2.81 18.90 Δ -21.71 -28.62% -4.68% 8.28% - 3.22% -6.15% Consumer Cyclical
359 RM Regional Management Corp. $397.24M 43.14 8.75 5.86 Δ 2.89 - 4.76% 14.31% 6.85% 3.22% +36.85% Financial Services
360 STC Stewart Information Services Corporation $2.10B 68.88 15.34 9.12 Δ 6.22 - 4.44% 3.41% -5.70% 3.22% +18.59% Financial Services
361 TRI Thomson Reuters Corporation $40.05B 91.74 26.36 18.14 Δ 8.22 13.74% 6.94% 4.10% 3.93% 3.22% -55.50% Industrials
362 ASB Associated Banc-Corp $5.80B 30.71 10.66 9.49 Δ 1.17 - 1.11% 2.02% 6.69% 3.21% +22.96% Financial Services
363 HST Host Hotels & Resorts, Inc. $16.01B 23.38 15.90 23.38 Δ -7.48 - 4.21% 0.85% 0.50% 3.21% +53.36% Real Estate
364 WEC WEC Energy Group, Inc. $37.47B 115.05 23.06 19.17 Δ 3.89 5.59% 3.04% 0.70% 3.42% 3.21% +12.35% Utilities
365 HSY The Hershey Company $25.42B 171.46 31.87 17.25 Δ 14.62 13.44% 7.84% 4.90% 8.19% 3.20% +7.09% Consumer Defensive
366 VABK Virginia National Bankshares Corporation $246.45M 45.45 12.32 10.54 Δ 1.78 - 1.22% - 8.94% 3.20% +23.72% Financial Services
367 CAC Camden National Corporation $910.69M 53.84 11.46 9.24 Δ 2.22 - 1.15% 6.52% 6.79% 3.19% +28.58% Financial Services
368 NRC NRC Health $495.36M 21.98 56.36 18.95 Δ 37.41 22.99% 12.21% 5.57% 1.92% 3.19% +47.89% Healthcare
369 PM Philip Morris International Inc. $274.23B 175.95 24.78 19.27 Δ 5.51 34.03% 15.46% -1.69% 3.57% 3.19% +0.87% Consumer Defensive
370 MDLZ Mondelez International, Inc. $75.48B 58.80 29.11 17.36 Δ 11.75 7.15% 3.43% 0.40% -0.58% 3.18% -10.05% Consumer Defensive
371 PPL PPL Corporation $27.16B 36.10 22.15 17.05 Δ 5.10 5.23% 3.12% 1.31% -0.48% 3.18% +7.15% Utilities
372 CPF Central Pacific Financial Corp. $999.42M 38.29 12.81 10.74 Δ 2.07 - 1.08% 11.24% 15.76% 3.17% +34.91% Financial Services
373 DIN Dine Brands Global, Inc. $452.61M 35.68 31.03 6.91 Δ 24.12 - 4.99% -2.93% -3.73% 3.17% +53.40% Consumer Cyclical
374 ATLO Ames National Corporation $259.34M 29.28 12.10 10.38 Δ 1.72 - 1.00% 2.03% 5.11% 3.16% +66.38% Financial Services
375 FMAO Farmers & Merchants Bancorp, Inc. $410.43M 29.81 11.38 9.89 Δ 1.49 - 1.04% - 10.64% 3.16% +18.62% Financial Services
376 IBCP Independent Bank Corporation $739.55M 35.89 10.75 9.38 Δ 1.37 - 1.28% 2.16% 2.66% 3.16% +7.74% Financial Services
377 KFRC Kforce Inc. $992.71M 55.67 28.26 18.98 Δ 9.28 19.88% 8.38% 0.08% 6.42% 3.16% +36.66% Industrials
378 PCB PCB Bancorp $416.22M 29.24 10.48 9.48 Δ 1.00 - 1.23% 3.00% 11.55% 3.16% +38.55% Financial Services
379 PFBC Preferred Bank $1.25B 105.85 9.88 9.44 Δ 0.44 - 1.83% 3.66% 1.22% 3.15% +17.91% Financial Services
380 IPAR Interparfums, Inc. $3.77B 117.80 22.35 21.13 Δ 1.22 21.78% 11.29% 8.40% 13.45% 3.14% -8.85% Consumer Defensive
381 WABC Westamerica Bancorporation $1.38B 58.62 13.06 13.65 Δ -0.59 - 1.90% -0.87% -1.63% 3.13% +17.27% Financial Services
382 CLDT Chatham Lodging Trust $618.99M 13.26 663.00 -110.50 Δ 773.50 3.59% 1.36% -0.03% - 3.11% +88.52% Real Estate
383 DTE DTE Energy Company $31.01B 149.07 24.56 17.85 Δ 6.71 4.88% 2.78% 5.75% 2.30% 3.11% +14.82% Utilities
384 WSBF Waterstone Financial, Inc. $352.40M 19.52 11.83 19.33 Δ -7.50 - 1.33% -4.15% 10.65% 3.11% +49.34% Financial Services
385 CMS CMS Energy Corporation $23.19B 75.08 20.80 17.99 Δ 2.81 4.75% 3.13% 1.18% 7.88% 3.10% +9.67% Utilities
386 FFBC First Financial Bancorp. $3.59B 34.23 12.10 9.99 Δ 2.11 - 1.35% - 0.90% 3.10% +37.74% Financial Services
387 PECO Phillips Edison & Company, Inc. $5.35B 42.46 46.15 55.44 Δ -9.29 - 2.46% 38.34% 87.74% 3.10% +26.40% Real Estate
388 STRA Strategic Education, Inc. $1.90B 84.08 14.88 10.39 Δ 4.49 10.77% 5.95% 12.45% 2.68% 3.10% +8.95% Consumer Defensive
389 BKE The Buckle, Inc. $2.19B 42.48 9.74 10.10 Δ -0.36 34.65% 17.11% 2.95% 4.19% 3.09% -4.42% Consumer Cyclical
390 HTO H2O America $2.63B 62.94 21.55 22.85 Δ -1.30 3.64% 2.35% 10.49% 12.69% 3.09% +25.02% Utilities
391 STBA S&T Bancorp, Inc. $1.76B 48.82 13.71 12.77 Δ 0.94 - 1.38% - 19.32% 3.09% +27.43% Financial Services
392 TRNO Terreno Realty Corporation $7.52B 71.13 17.35 41.19 Δ -23.84 - 2.39% 17.88% 38.25% 3.09% +27.39% Real Estate
393 NECB Northeast Community Bancorp, Inc. $361.69M 26.18 8.16 7.23 Δ 0.93 - 2.21% - 29.22% 3.08% +14.99% Financial Services
394 INDB Independent Bank Corp. $4.06B 84.19 16.74 10.08 Δ 6.66 - 1.08% - 14.66% 3.07% +29.72% Financial Services
395 NBTB NBT Bancorp Inc. $2.63B 50.64 14.31 11.15 Δ 3.16 - 1.22% 5.69% 6.46% 3.07% +18.10% Financial Services
396 SHO Sunstone Hotel Investors, Inc. $2.12B 11.36 103.27 58.26 Δ 45.01 11.29% 1.79% -2.35% - 3.07% +29.57% Real Estate
397 TSCO Tractor Supply Company $16.02B 30.55 15.05 13.20 Δ 1.85 17.64% 8.23% 3.00% 0.23% 3.07% -46.27% Consumer Cyclical
398 TOWN TowneBank $3.26B 35.76 17.19 10.27 Δ 6.92 - 0.84% 6.70% -3.56% 3.06% +5.29% Financial Services
399 ABBV AbbVie Inc. $432.48B 244.78 119.40 15.06 Δ 104.34 10.47% 10.03% 1.75% -29.06% 3.04% +31.97% Healthcare
400 MCBS MetroCity Bankshares, Inc. $1.01B 35.37 12.72 10.72 Δ 2.00 - 1.79% - 10.03% 3.03% +24.02% Financial Services
401 DRH DiamondRock Hospitality Company $2.47B 12.10 26.30 21.61 Δ 4.69 - 3.46% 2.51% 3.90% 3.02% +54.35% Real Estate
402 ADP Automatic Data Processing, Inc. $98.51B 246.44 22.99 20.21 Δ 2.78 47.69% 5.95% 7.61% 11.43% 3.01% -16.51% Technology
403 AROW Arrow Financial Corporation $674.38M 40.80 13.20 9.38 Δ 3.82 - 1.14% 3.53% -3.43% 3.01% +53.26% Financial Services
404 HBT HBT Financial, Inc. $1.16B 31.77 14.57 10.36 Δ 4.21 - 1.17% - 4.04% 3.01% +25.13% Financial Services
405 VLY Valley National Bancorp $8.08B 14.58 13.14 9.48 Δ 3.66 - 1.04% 2.85% 1.68% 3.01% +57.50% Financial Services
406 XOM ExxonMobil Holdings Corporation $601.39B 145.09 24.43 13.44 Δ 10.99 11.12% 4.22% -6.69% -19.72% 3.01% +31.42% Energy
407 KFY Korn Ferry $3.82B 73.56 14.60 12.78 Δ 1.82 11.92% 5.96% 10.72% 18.58% 3.00% +2.36% Industrials
408 WHG Westwood Holdings Group, Inc. $183.50M 19.34 23.30 12.94 Δ 10.36 3.92% 1.55% 12.49% 84.17% 3.00% +20.98% Financial Services
409 WSR Whitestone REIT $975.97M 18.99 19.78 42.39 Δ -22.61 7.58% 2.97% 4.78% 12.28% 3.00% +53.87% Real Estate
410 EOG EOG Resources, Inc. $73.51B 138.01 13.57 9.31 Δ 4.26 13.55% 8.97% 9.75% 8.81% 2.99% +16.58% Energy
411 BANR Banner Corporation $2.35B 69.05 11.62 10.26 Δ 1.36 - 1.26% 1.59% 5.96% 2.98% +2.73% Financial Services
412 CTBI Community Trust Bancorp, Inc. $1.31B 72.25 12.65 11.51 Δ 1.14 - 1.59% - 8.90% 2.98% +35.07% Financial Services
413 FBP First BanCorp. $4.13B 26.72 11.88 11.16 Δ 0.72 - 1.87% 0.34% 27.52% 2.98% +23.01% Financial Services
414 HOMB Home BancShares, Inc. $5.84B 29.00 11.93 11.23 Δ 0.70 - 2.07% - 19.69% 2.97% +1.23% Financial Services
415 IVZ Invesco Ltd. $12.74B 28.73 -19.54 9.62 Δ -29.16 -1.13% 2.68% 1.78% -43.53% 2.97% +71.49% Financial Services
416 TXNM TXNM Energy, Inc. $6.31B 57.00 40.43 17.30 Δ 23.13 4.00% 2.06% 5.88% -2.61% 2.96% +3.49% Utilities
417 HMN Horace Mann Educators Corporation $2.11B 52.30 13.14 10.31 Δ 2.83 - 1.03% 3.80% 5.07% 2.95% +31.64% Financial Services
418 PFG Principal Financial Group, Inc. $24.39B 112.92 16.20 11.06 Δ 5.14 - 0.38% 2.02% 1.80% 2.95% +44.62% Financial Services
419 AEP American Electric Power Company, Inc. $73.42B 134.94 19.96 19.68 Δ 0.28 5.68% 3.17% 3.66% 15.77% 2.94% +32.56% Utilities
420 RDN Radian Group Inc. $4.91B 36.90 8.60 6.69 Δ 1.91 - 5.69% -0.58% 8.16% 2.94% +10.66% Financial Services
421 SKT Tanger Inc. $4.58B 39.88 37.62 32.36 Δ 5.26 7.07% 4.61% 9.53% 11.83% 2.94% +27.31% Real Estate
422 BUR Burford Capital Limited $893.80M 4.08 -0.56 5.63 Δ -6.19 - -17.20% 9.00% 27.06% 2.93% -71.22% Financial Services
423 CZFS Citizens Financial Services, Inc. $342.69M 71.32 8.71 8.58 Δ 0.13 - 1.30% 6.14% 8.53% 2.93% +19.22% Financial Services
424 NBHC National Bank Holdings Corporation $2.02B 45.01 16.79 10.90 Δ 5.89 - 0.94% 7.82% 21.30% 2.93% +14.49% Financial Services
425 ACNB ACNB Corporation $608.94M 59.63 12.05 10.89 Δ 1.16 - 1.56% 13.12% 1.20% 2.92% +42.02% Financial Services
426 FITB Fifth Third Bancorp $51.71B 57.05 19.21 11.60 Δ 7.61 - 0.85% 0.48% 4.85% 2.92% +34.82% Financial Services
427 AVNT Avient Corporation $3.28B 35.81 20.82 10.61 Δ 10.21 3.93% 4.04% 2.91% -1.64% 2.91% +10.02% Basic Materials
428 DBI Designer Brands Inc. $228.57M 5.31 24.14 9.06 Δ 15.08 3.51% 2.28% 3.76% - 2.91% +78.07% Consumer Cyclical
429 MGPI MGP Ingredients, Inc. $366.30M 17.14 -1.54 8.14 Δ -9.68 -9.13% 3.94% 4.14% - 2.91% -41.41% Consumer Defensive
430 TMP Tompkins Financial Corporation $1.31B 91.28 7.81 11.20 Δ -3.39 - 1.98% 2.31% 10.67% 2.91% +41.56% Financial Services
431 YORW The York Water Company $502.49M 31.00 21.09 20.26 Δ 0.83 4.52% 2.66% 8.86% 0.81% 2.91% -1.39% Utilities
432 KDP Keurig Dr Pepper Inc. $41.17B 30.26 22.41 11.99 Δ 10.42 7.58% 3.61% 6.11% 9.43% 2.90% -5.96% Consumer Defensive
433 NEE NextEra Energy, Inc. $186.75B 89.54 22.73 20.36 Δ 2.37 4.36% 2.41% 4.12% 8.76% 2.90% +22.78% Utilities
434 SB Safe Bulkers, Inc. $729.01M 7.13 23.77 15.84 Δ 7.93 4.90% 2.91% -7.62% -39.31% 2.90% +79.93% Industrials
435 SCL Stepan Company $1.29B 56.90 -91.77 14.53 Δ -106.30 4.64% 1.49% 3.84% -1.83% 2.90% +0.71% Basic Materials
436 SWX Southwest Gas Holdings, Inc. $6.69B 92.38 27.99 18.89 Δ 9.10 4.99% 2.75% 10.99% 12.26% 2.90% +22.68% Utilities
437 UCB United Community Banks, Inc. $4.26B 35.61 13.04 10.75 Δ 2.29 - 1.22% 12.98% 14.86% 2.89% +15.73% Financial Services
438 XEL Xcel Energy Inc. $50.05B 80.17 23.10 17.69 Δ 5.41 4.19% 2.34% -1.42% 5.15% 2.89% +19.48% Utilities
439 EFSI Eagle Financial Services, Inc. $226.78M 41.90 11.00 11.40 Δ -0.40 - 1.01% - 5.59% 2.88% +30.04% Financial Services
440 LXFR Luxfer Holdings PLC $461.54M 17.09 40.69 12.08 Δ 28.61 8.84% 5.85% -0.84% -8.89% 2.88% +44.00% Industrials
441 PLD Prologis, Inc. $132.85B 142.49 35.71 42.54 Δ -6.83 - 2.48% 14.83% 36.55% 2.88% +34.53% Real Estate
442 BDX Becton, Dickinson and Company $41.51B 150.65 26.29 11.25 Δ 15.04 5.49% 4.38% 7.17% 4.04% 2.87% +10.86% Healthcare
443 CBFV CB Financial Services, Inc. $181.55M 35.79 27.53 10.97 Δ 16.56 - 0.45% 7.65% 1.17% 2.87% +29.09% Financial Services
444 COP ConocoPhillips $136.29B 111.87 18.96 12.17 Δ 6.79 - 5.87% -6.89% -2.19% 2.87% +22.73% Energy
445 VTRS Viatris Inc. $18.99B 16.31 -54.37 6.12 Δ -60.49 -10.61% 2.31% -4.20% -89.70% 2.87% +85.48% Healthcare
446 WMB The Williams Companies, Inc. $92.92B 75.98 33.32 29.61 Δ 3.71 9.66% 4.89% 2.91% 8.51% 2.87% +32.77% Energy
447 ABT Abbott Laboratories $154.95B 88.96 24.92 14.68 Δ 10.24 12.76% 5.59% 0.51% -2.01% 2.86% -31.24% Healthcare
448 BBW Build-A-Bear Workshop, Inc. $412.61M 32.91 7.71 7.64 Δ 0.07 26.07% 13.01% 1.73% 1.70% 2.86% -34.54% Consumer Cyclical
449 MRK Merck & Co., Inc. $298.31B 120.78 34.02 12.63 Δ 21.39 - 12.58% 5.64% 10.01% 2.86% +49.18% Healthcare
450 PNC The PNC Financial Services Group, Inc. $101.15B 251.88 14.64 11.99 Δ 2.65 - 1.26% 7.89% 8.69% 2.86% +31.90% Financial Services
451 LNT Alliant Energy Corporation $19.71B 76.31 24.00 20.71 Δ 3.29 4.48% 2.62% 1.02% 5.88% 2.85% +25.74% Utilities
452 ORRF Orrstown Financial Services, Inc. $794.16M 40.42 9.25 9.42 Δ -0.17 - 1.54% 13.82% 11.90% 2.85% +24.36% Financial Services
453 PG The Procter & Gamble Company $340.16B 146.08 21.36 20.61 Δ 0.75 22.93% 10.93% 0.36% 1.66% 2.85% -2.26% Consumer Defensive
454 SRE Sempra $61.03B 93.36 31.76 16.86 Δ 14.90 3.46% 1.81% 3.05% 3.18% 2.85% +28.86% Utilities
455 THFF First Financial Corporation $890.23M 74.86 11.01 9.88 Δ 1.13 - 1.38% - 8.12% 2.85% +33.98% Financial Services
456 AMGN Amgen Inc. $191.73B 355.25 24.69 15.13 Δ 9.56 18.02% 8.35% 11.77% 5.58% 2.84% +23.20% Healthcare
457 CBU Community Financial System, Inc. $3.57B 67.88 16.48 12.61 Δ 3.87 - 1.26% 6.39% 8.34% 2.84% +19.96% Financial Services
458 DRI Darden Restaurants, Inc. $22.42B 195.74 20.60 17.20 Δ 3.40 13.18% 7.26% 3.59% 6.20% 2.84% -3.60% Consumer Cyclical
459 HD The Home Depot, Inc. $336.77B 337.74 23.97 20.97 Δ 3.00 28.75% 12.52% 1.52% -6.11% 2.84% -6.32% Consumer Cyclical
460 KRO Kronos Worldwide, Inc. $737.49M 6.41 -5.53 15.26 Δ -20.79 -3.07% -2.29% -1.24% -68.71% 2.84% +3.36% Basic Materials
461 AWK American Water Works Company, Inc. $25.69B 131.57 23.29 20.06 Δ 3.23 6.12% 3.51% 6.25% 12.34% 2.83% -5.80% Utilities
462 PSX Phillips 66 $80.77B 201.45 19.91 11.72 Δ 8.19 10.78% 3.80% -8.00% -26.36% 2.83% +61.50% Energy
463 SM SM Energy Company $7.13B 29.72 12.54 3.73 Δ 8.81 12.37% 2.94% 5.35% - 2.83% +12.55% Energy
464 ZTS Zoetis Inc. $31.05B 74.07 12.14 10.02 Δ 2.12 27.07% 15.53% 5.42% 8.13% 2.83% -51.67% Healthcare
465 GBX The Greenbrier Companies, Inc. $1.46B 47.34 10.09 11.64 Δ -1.55 - 3.11% 10.19% 29.39% 2.82% -7.79% Industrials
466 JOUT Johnson Outdoors Inc. $415.04M 44.78 -29.66 19.06 Δ -48.72 -3.24% 0.67% 2.96% - 2.82% +47.38% Consumer Cyclical
467 MBWM Mercantile Bank Corporation $985.50M 57.05 10.22 9.66 Δ 0.56 - 1.40% - 14.99% 2.82% +19.00% Financial Services
468 WAFD WaFd, Inc. $2.81B 38.01 12.46 11.15 Δ 1.31 - 0.91% 3.09% -1.47% 2.82% +26.82% Financial Services
469 ALRS Alerus Financial Corporation $785.02M 31.24 29.75 11.61 Δ 18.14 - 0.51% 1.88% -24.18% 2.81% +43.37% Financial Services
470 ASIX AdvanSix Inc. $566.95M 21.03 58.42 7.19 Δ 51.23 4.57% 1.40% -1.46% -4.72% 2.81% -5.71% Basic Materials
471 EIG Employers Holdings, Inc. $914.52M 50.13 108.98 19.53 Δ 89.45 - 0.21% 3.49% -11.97% 2.81% +10.48% Financial Services
472 FCBC First Community Bankshares, Inc. $824.29M 43.69 16.55 14.42 Δ 2.13 - 1.43% - 6.31% 2.81% +12.84% Financial Services
473 FCF First Commonwealth Financial Corporation $2.08B 20.42 13.43 10.40 Δ 3.03 - 1.31% - 15.70% 2.81% +22.83% Financial Services
474 MRBK Meridian Corporation $237.81M 20.00 10.81 7.84 Δ 2.97 - 0.84% 10.10% 27.99% 2.81% +47.43% Financial Services
475 CWT California Water Service Group $2.99B 50.01 25.00 18.12 Δ 6.88 3.49% 2.19% 6.83% 7.98% 2.79% +10.06% Utilities
476 CMCL Caledonia Mining Corporation Plc $329.29M 17.05 5.36 3.34 Δ 2.02 32.22% 15.52% 23.50% 70.00% 2.78% -17.89% Basic Materials
477 KGS Kodiak Gas Services, Inc. $6.97B 69.09 90.91 22.88 Δ 68.03 8.65% 5.99% 21.19% -18.33% 2.78% +117.08% Energy
478 SYY Sysco Corporation $39.62B 82.85 23.01 16.73 Δ 6.28 18.32% 8.29% 4.66% 3.00% 2.78% +9.65% Consumer Defensive
479 USPH U.S. Physical Therapy, Inc. $1.07B 70.00 140.00 20.51 Δ 119.49 8.14% 4.13% 8.84% 7.88% 2.78% -2.72% Healthcare
480 CMRE Costamare Inc. $1.84B 15.28 5.40 5.50 Δ -0.10 13.10% 5.92% -7.63% -13.07% 2.77% +64.56% Industrials
481 KSS Kohl's Corporation $1.86B 16.43 6.90 11.01 Δ -4.11 5.76% 2.31% -0.33% -7.39% 2.77% +74.47% Consumer Cyclical
482 STZ Constellation Brands, Inc. $22.61B 131.34 13.67 10.55 Δ 3.12 14.17% 8.51% 3.96% -3.33% 2.77% -18.03% Consumer Defensive
483 CRC California Resources Corporation $4.65B 52.32 -10.20 11.78 Δ -21.98 9.41% -1.40% -2.55% -4.92% 2.76% +13.21% Energy
484 LARK Landmark Bancorp, Inc. $184.21M 30.21 9.65 8.95 Δ 0.70 - 1.20% - 11.54% 2.76% +21.89% Financial Services
485 AEE Ameren Corporation $31.26B 112.95 20.31 19.45 Δ 0.86 5.32% 3.09% 3.41% 10.68% 2.75% +20.37% Utilities
486 IVT InvenTrust Properties Corp. $2.77B 35.55 25.39 -99.21 Δ 124.60 - 1.18% -7.59% - 2.75% +34.27% Real Estate
487 SBFG SB Financial Group, Inc. $165.91M 26.44 10.37 10.25 Δ 0.12 - 1.04% - 25.22% 2.75% +41.69% Financial Services
488 TRST TrustCo Bank Corp NY $953.78M 54.58 16.01 19.02 Δ -3.01 - 0.98% - 4.97% 2.75% +60.03% Financial Services
489 WEYS Weyco Group, Inc. $365.75M 38.37 15.53 26.46 Δ -10.93 11.82% 6.23% -7.75% -7.90% 2.75% +29.57% Consumer Cyclical
490 XHR Xenia Hotels & Resorts, Inc. $1.87B 20.28 28.97 36.87 Δ -7.90 5.74% 2.51% 2.63% 4.10% 2.75% +58.56% Real Estate
491 HPK HighPeak Energy, Inc. $946.42M 7.49 -6.51 -26.75 Δ 20.24 5.03% 1.97% 154.32% - 2.74% -22.00% Energy
492 PXED Phoenix Education Partners, Inc. $1.24B 34.57 12.71 7.11 Δ 5.60 65.93% 27.12% 9.81% 43.59% 2.73% -8.06% Consumer Defensive
493 TCBK TriCo Bancshares $1.88B 58.81 14.93 13.55 Δ 1.38 - 1.30% 5.42% 16.92% 2.73% +40.88% Financial Services
494 CFG Citizens Financial Group, Inc. $29.74B 70.32 16.66 10.97 Δ 5.69 - 0.88% -8.09% 8.38% 2.72% +51.62% Financial Services
495 FSBW FS Bancorp, Inc. $320.75M 43.26 10.06 8.43 Δ 1.63 - 1.06% 70.69% 26.66% 2.72% +5.31% Financial Services
496 IRM Iron Mountain Incorporated $36.49B 122.66 133.33 45.88 Δ 87.45 6.29% 4.56% 7.80% 3.39% 2.72% +29.43% Real Estate
497 APA APA Corporation $12.21B 34.53 8.05 7.98 Δ 0.07 20.20% 9.61% -6.96% -26.45% 2.70% +84.74% Energy
498 BKU BankUnited, Inc. $3.49B 47.95 13.39 10.46 Δ 2.93 - 0.77% 6.45% 2.52% 2.70% +30.82% Financial Services
499 OFG OFG Bancorp $2.11B 49.85 10.30 10.61 Δ -0.31 - 1.80% - 14.67% 2.70% +12.58% Financial Services
500 WLY John Wiley & Sons, Inc. $2.07B 49.27 11.84 9.30 Δ 2.54 14.28% 6.77% -6.02% 134.29% 2.70% +20.51% Communication Services
501 APOG Apogee Enterprises, Inc. $822.65M 38.53 15.29 10.41 Δ 4.88 10.69% 6.31% -0.84% -19.59% 2.69% -8.99% Industrials
502 BR Broadridge Financial Solutions, Inc. $16.89B 146.02 15.63 14.03 Δ 1.60 17.78% 9.17% 7.79% 17.34% 2.69% -36.86% Technology
503 MSEX Middlesex Water Company $1.03B 55.37 23.07 18.52 Δ 4.55 4.28% 2.84% 4.35% 9.53% 2.69% +2.11% Utilities
504 KTB Kontoor Brands, Inc. $4.63B 83.85 16.91 13.05 Δ 3.86 16.93% 15.70% 1.36% 8.76% 2.68% +29.68% Consumer Cyclical
505 MAC The Macerich Company $7.06B 24.89 -34.57 829.67 Δ -864.24 - 1.37% 0.83% - 2.67% +56.95% Real Estate
506 MET MetLife, Inc. $59.54B 92.54 17.90 8.42 Δ 9.48 - 0.45% -15.18% -1.35% 2.67% +22.36% Financial Services
507 POOL Pool Corporation $7.66B 210.07 19.31 17.45 Δ 1.86 21.13% 9.49% 6.60% 12.25% 2.67% -28.69% Industrials
508 AEO American Eagle Outfitters, Inc. $2.71B 16.15 10.16 8.28 Δ 1.88 10.43% 6.83% 3.59% 15.33% 2.66% +63.48% Consumer Cyclical
509 CHCO City Holding Company $1.89B 134.17 14.81 14.13 Δ 0.68 - 1.97% 3.74% 7.24% 2.66% +9.50% Financial Services
510 CIVB Civista Bancshares, Inc. $580.27M 27.92 10.34 9.62 Δ 0.72 - 1.21% 4.05% 7.50% 2.65% +32.51% Financial Services
511 DLR Digital Realty Trust, Inc. $60.83B 173.11 45.80 60.44 Δ -14.64 - 1.26% 15.18% 18.41% 2.65% +4.20% Real Estate
512 AIG American International Group, Inc. $41.89B 79.00 13.91 8.88 Δ 5.03 - 1.88% -3.69% -32.85% 2.64% -0.91% Financial Services
513 GBCI Glacier Bancorp, Inc. $6.74B 51.79 24.20 14.20 Δ 10.00 - 0.90% 5.08% 7.90% 2.64% +14.07% Financial Services
514 PBF PBF Energy Inc. $7.20B 60.89 16.07 10.69 Δ 5.38 -0.58% -1.97% 2.93% - 2.63% +133.57% Energy
515 PKG Packaging Corporation of America $20.11B 225.76 27.40 18.42 Δ 8.98 11.40% 8.37% 8.18% 10.79% 2.63% +13.74% Consumer Cyclical
516 EPC Edgewell Personal Care Company $1.26B 27.45 -119.35 13.35 Δ -132.70 3.03% 3.20% -3.85% -13.99% 2.62% +5.90% Consumer Defensive
517 HWC Hancock Whitney Corporation $6.17B 76.02 15.64 10.52 Δ 5.12 - 1.18% 3.07% -2.48% 2.62% +29.94% Financial Services
518 TSBK Timberland Bancorp, Inc. $339.03M 43.31 11.11 10.49 Δ 0.62 - 1.55% - 3.74% 2.62% +36.68% Financial Services
519 CVS CVS Health Corporation $135.48B 106.18 46.57 12.68 Δ 33.89 2.83% 2.67% 9.67% -2.20% 2.61% +71.01% Healthcare
520 FFIN First Financial Bankshares, Inc. $4.96B 34.64 18.83 16.21 Δ 2.62 - 1.78% 5.89% 2.65% 2.61% -4.53% Financial Services
521 GABC German American Bancorp, Inc. $1.77B 47.20 12.97 11.84 Δ 1.13 - 1.61% 20.57% 14.89% 2.61% +18.63% Financial Services
522 GILD Gilead Sciences, Inc. $161.45B 130.04 17.69 13.45 Δ 4.24 21.23% 13.29% 11.38% 9.79% 2.61% +19.04% Healthcare
523 MCD McDonald's Corporation $191.08B 268.94 22.17 18.91 Δ 3.26 22.47% 13.56% 0.92% 7.33% 2.61% -8.75% Consumer Cyclical
524 EBC Eastern Bankshares, Inc. $4.82B 22.44 12.40 10.35 Δ 2.05 - 1.34% -2.84% -4.61% 2.60% +42.66% Financial Services
525 PANL Pangaea Logistics Solutions Ltd. $469.68M 7.18 13.30 8.13 Δ 5.17 5.12% 3.07% 4.05% 1.90% 2.60% +44.87% Industrials
526 ADM Archer-Daniels-Midland Company $39.66B 82.28 36.73 15.85 Δ 20.88 5.60% 1.67% -7.54% -37.14% 2.59% +56.30% Consumer Defensive
527 AWR American States Water Company $3.33B 85.01 24.78 22.28 Δ 2.50 8.00% 5.04% 3.96% 9.73% 2.59% +13.78% Utilities
528 CASS Cass Information Systems, Inc. $670.20M 52.07 22.25 15.20 Δ 7.05 - 1.44% 1.29% 4.98% 2.59% +21.27% Industrials
529 MTB M&T Bank Corporation $35.42B 241.85 13.58 11.58 Δ 2.00 - 1.38% -6.05% 8.52% 2.59% +22.65% Financial Services
530 RBB RBB Bancorp $458.79M 27.09 11.48 11.08 Δ 0.40 - 1.00% 12.94% 9.43% 2.59% +49.13% Financial Services
531 ERIE Erie Indemnity Company $11.01B 238.47 21.84 17.02 Δ 4.82 29.76% 14.84% 2.55% 13.10% 2.58% -29.79% Financial Services
532 MTH Meritage Homes Corporation $4.92B 73.72 13.45 11.29 Δ 2.16 - 3.90% - 1.36% 2.58% +4.21% Consumer Cyclical
533 APD Air Products and Chemicals, Inc. $66.67B 299.40 31.55 21.03 Δ 10.52 -0.62% 3.60% -1.77% -39.16% 2.57% +5.70% Basic Materials
534 ESRT Empire State Realty Trust, Inc. $949.89M 5.54 26.38 92.33 Δ -65.95 3.56% 2.04% 7.07% 4.53% 2.57% -31.31% Real Estate
535 KO The Coca-Cola Company $357.45B 83.08 26.13 23.85 Δ 2.28 16.47% 9.51% 2.86% 4.46% 2.57% +22.98% Consumer Defensive
536 BSRR Sierra Bancorp $537.29M 41.08 12.01 10.59 Δ 1.42 - 1.24% - 10.22% 2.56% +33.28% Financial Services
537 USCB USCB Financial Holdings, Inc. $366.37M 20.06 13.65 9.13 Δ 4.52 - 1.01% - 19.26% 2.56% +20.16% Financial Services
538 HP Helmerich & Payne, Inc. $3.37B 33.74 -8.90 24.41 Δ -33.31 3.94% 1.01% 5.02% - 2.55% +112.54% Energy
539 LMT Lockheed Martin Corporation $118.74B 514.99 24.95 16.05 Δ 8.90 21.18% 7.23% 3.30% 2.84% 2.55% +11.68% Industrials
540 FRST Primis Financial Corp. $388.18M 15.67 8.38 8.18 Δ 0.20 - 1.16% - 21.41% 2.54% +41.99% Financial Services
541 NI NiSource Inc. $22.35B 46.62 23.19 20.78 Δ 2.41 5.65% 3.39% 4.32% 4.95% 2.54% +19.81% Utilities
542 PLGO Pelagos Insurance Capital Limit $2.16B 25.23 6.93 6.19 Δ 0.74 - 2.27% 12.73% 62.45% 2.54% +59.38% Financial Services
543 ABM ABM Industries Incorporated $2.65B 45.30 17.42 10.43 Δ 6.99 7.98% 3.77% 3.86% -11.00% 2.53% -6.03% Industrials
544 CTSH AI Cognizant Technology Solutions Corporation $20.35B 43.03 9.33 6.98 Δ 2.35 19.53% 10.44% 13.57% 10.83% 2.53% -41.72% Technology
545 SNA Snap-on Incorporated $20.96B 404.62 20.89 19.00 Δ 1.89 17.72% 9.92% 2.99% 8.95% 2.52% +30.26% Industrials
546 AVY Avery Dennison Corporation $12.02B 157.16 17.68 14.07 Δ 3.61 18.28% 8.27% 1.65% 5.75% 2.51% -10.94% Consumer Cyclical
547 LZB La-Z-Boy Incorporated $1.58B 38.58 19.29 13.03 Δ 6.26 9.05% 4.31% 3.95% 7.70% 2.51% +2.27% Consumer Cyclical
548 MPB Mid Penn Bancorp, Inc. $871.11M 34.37 15.62 9.48 Δ 6.14 - 0.82% - 16.50% 2.51% +20.03% Financial Services
549 DCOM Dime Commercial Bancshares, Inc. $1.76B 39.88 14.99 9.16 Δ 5.83 - 0.85% 10.05% 17.18% 2.50% +42.11% Financial Services
550 ITW Illinois Tool Works Inc. $78.33B 272.28 25.30 22.37 Δ 2.93 38.25% 17.04% -0.02% - 2.50% +8.36% Industrials
551 PLOW Douglas Dynamics, Inc. $1.01B 43.50 19.59 13.96 Δ 5.63 13.87% 8.03% 8.64% 10.25% 2.50% +48.87% Consumer Cyclical
552 WKC World Kinect Corporation $1.87B 36.40 -3.60 14.96 Δ -18.56 -24.58% 2.22% -14.49% -212.83% 2.50% +28.77% Energy
553 CFFI C&F Financial Corporation $250.85M 77.08 8.85 7.07 Δ 1.78 - 1.05% 2.34% 10.38% 2.49% +21.80% Financial Services
554 FIP FTAI Infrastructure Inc. $527.01M 4.46 -0.99 -3.38 Δ 2.39 2.07% 0.59% 24.25% 10.07% 2.49% -26.02% Industrials
555 KELYA Kelly Services, Inc. $441.42M 14.07 -1.86 8.23 Δ -10.09 -4.89% 0.95% -2.40% - 2.49% +17.50% Industrials
556 TROX Tronox Holdings plc $987.45M 6.19 -2.12 -35.75 Δ 33.63 -4.78% -0.77% 4.60% - 2.49% +16.31% Basic Materials
557 FUNC First United Corporation $286.94M 44.51 11.38 9.46 Δ 1.92 - 1.26% 5.71% 12.11% 2.48% +33.83% Financial Services
558 IBM AI International Business Machines Corporation $204.02B 217.07 19.21 16.17 Δ 3.04 - 5.37% -2.09% -0.89% 2.48% -21.55% Technology
559 NRIM Northrim BanCorp, Inc. $604.17M 27.16 9.43 9.88 Δ -0.45 - 2.00% 85.46% 14.19% 2.48% +15.18% Financial Services
560 RYZ Ryerson Holding Corporation $1.46B 28.13 -19.01 12.39 Δ -31.40 -1.77% 0.04% 2.53% - 2.47% +22.96% Industrials
561 SVC Service Properties Trust $5.53B 8.54 -5.97 -32.85 Δ 26.88 - 1.90% 0.72% - 2.47% -37.57% Real Estate
562 DPZ Domino's Pizza, Inc. $10.31B 309.85 17.85 14.80 Δ 3.05 81.20% 32.49% 8.18% 13.46% 2.46% -33.22% Consumer Cyclical
563 EBMT Eagle Bancorp Montana, Inc. $184.80M 23.20 11.60 10.81 Δ 0.79 - 0.74% - 13.86% 2.46% +38.01% Financial Services
564 OTTR Otter Tail Corporation $3.78B 90.09 13.53 16.93 Δ -3.40 9.57% 5.56% -0.03% 12.89% 2.46% +17.38% Industrials
565 SHBI Shore Bancshares, Inc. $757.44M 22.64 12.04 10.23 Δ 1.81 - 1.01% 12.99% 14.04% 2.46% +38.81% Financial Services
566 MGEE MGE Energy, Inc. $3.06B 81.17 20.81 19.56 Δ 1.25 5.97% 3.81% - 5.72% 2.45% -4.03% Utilities
567 TNET TriNet Group, Inc. $2.61B 56.84 16.82 11.76 Δ 5.06 40.43% 4.19% 13.03% 12.95% 2.45% -15.72% Industrials
568 ULH Universal Logistics Holdings, Inc. $398.71M 15.12 -3.64 12.60 Δ -16.24 -4.43% 1.74% 7.32% - 2.45% -41.91% Industrials
569 SBAC SBA Communications Corporation $19.86B 187.25 19.71 23.10 Δ -3.39 15.09% 8.57% -3.83% 112.87% 2.44% -17.51% Real Estate
570 WWW Wolverine World Wide, Inc. $1.45B 17.67 14.37 10.06 Δ 4.31 12.99% 6.22% -11.29% 50.29% 2.42% -6.61% Consumer Cyclical
571 PRK Park National Corporation $3.32B 183.37 16.82 14.34 Δ 2.48 - 1.57% 8.92% 16.36% 2.41% +7.77% Financial Services
572 SBUX Starbucks Corporation $121.00B 106.17 81.05 35.26 Δ 45.79 13.46% 7.38% 7.93% 5.80% 2.41% +16.65% Consumer Cyclical
573 WNC Wabash National Corporation $545.84M 13.42 -9.38 8.55 Δ -17.93 35.04% -2.17% -14.89% 23.50% 2.41% +35.61% Industrials
574 AOS A. O. Smith Corporation $6.82B 60.87 16.23 14.59 Δ 1.64 31.95% 12.78% 0.67% 32.33% 2.40% -9.73% Industrials
575 AROC Archrock, Inc. $6.75B 38.53 20.94 16.46 Δ 4.48 14.18% 8.69% 20.78% 93.77% 2.40% +67.01% Energy
576 ESNT Essent Group Ltd. $5.99B 65.01 9.25 8.42 Δ 0.83 - 7.27% 28.44% 10.81% 2.40% +16.57% Financial Services
577 OTIS Otis Worldwide Corporation $27.84B 72.56 19.30 15.38 Δ 3.92 71.17% 13.35% 1.60% 4.04% 2.40% -26.00% Industrials
578 HBB Hamilton Beach Brands Holding Company $215.24M 21.61 10.39 13.51 Δ -3.12 13.33% 6.23% -2.33% 2.99% 2.39% +15.29% Consumer Cyclical
579 MVBF MVB Financial Corp. $368.54M 28.68 13.16 11.41 Δ 1.75 - 0.90% -3.38% 21.43% 2.39% +23.28% Financial Services
580 BANC Banc of California, Inc. $3.17B 20.59 15.84 9.99 Δ 5.85 - 0.72% 90.64% 57.32% 2.38% +41.10% Financial Services
581 CNOB ConnectOne Bancorp, Inc. $1.63B 32.41 17.42 8.84 Δ 8.58 - 0.82% - 21.08% 2.38% +32.74% Financial Services
582 CPK Chesapeake Utilities Corporation $3.15B 131.13 21.05 17.93 Δ 3.12 7.39% 4.34% 8.07% 14.58% 2.38% +8.33% Utilities
583 PPG PPG Industries, Inc. $25.56B 114.66 16.43 13.23 Δ 3.20 15.55% 6.28% 1.46% 3.60% 2.38% +1.16% Basic Materials
584 CL Colgate-Palmolive Company $72.84B 91.03 35.28 22.52 Δ 12.76 34.88% 16.10% 2.19% 1.14% 2.37% +5.04% Consumer Defensive
585 DOLE Dole plc $1.34B 14.10 15.16 9.46 Δ 5.70 7.68% 2.97% 5.48% -35.68% 2.37% +2.49% Consumer Defensive
586 RC Ready Capital Corporation $269.31M 1.63 -0.52 -2.80 Δ 2.28 - -6.12% - - 2.37% -60.69% Real Estate
587 SBCF Seacoast Banking Corporation of Florida $3.21B 32.98 22.13 12.13 Δ 10.00 - 0.79% - 13.25% 2.37% +14.55% Financial Services
588 CATY Cathay General Bancorp $4.12B 61.39 12.66 10.41 Δ 2.25 - 1.41% 8.65% 6.61% 2.36% +28.13% Financial Services
589 EG Everest Group, Ltd. $14.71B 371.85 7.57 6.13 Δ 1.44 - 2.66% 9.88% 43.44% 2.36% +10.37% Financial Services
590 VCTR Victory Capital Holdings, Inc. $6.11B 97.70 21.96 12.60 Δ 9.36 11.70% 12.16% 18.42% 56.27% 2.36% +54.71% Financial Services
591 VLGEA Village Super Market, Inc. $465.09M 43.53 11.86 14.64 Δ -2.78 9.52% 4.30% 3.28% 36.15% 2.36% +20.65% Consumer Defensive
592 ATO Atmos Energy Corporation $29.79B 178.45 21.98 19.89 Δ 2.09 5.80% 3.88% 7.49% 11.79% 2.35% +17.40% Utilities
593 CRI Carter's, Inc. $1.40B 38.00 15.26 10.52 Δ 4.74 6.99% 3.80% 3.97% 0.97% 2.34% +23.07% Consumer Cyclical
594 PLBC Plumas Bancorp $406.38M 58.32 12.36 10.11 Δ 2.25 - 1.68% -1.98% 15.39% 2.33% +28.88% Financial Services
595 BSVN Bank7 Corp. $483.58M 50.80 10.88 11.16 Δ -0.28 - 2.40% - 11.01% 2.32% +12.53% Financial Services
596 ONB Old National Bancorp $10.17B 26.31 13.56 9.05 Δ 4.51 - 1.20% -1.76% 14.97% 2.31% +15.63% Financial Services
597 PBI Pitney Bowes Inc. $2.41B 17.77 17.09 10.15 Δ 6.94 - 7.68% -6.32% -5.31% 2.31% +51.56% Industrials
598 CNMD CONMED Corporation $1.26B 41.75 23.59 8.72 Δ 14.87 5.10% 3.71% 4.36% 8.84% 2.30% -16.28% Healthcare
599 DVN Devon Energy Corporation $50.06B 43.40 12.09 7.96 Δ 4.13 -10.52% 6.07% 2.93% -1.71% 2.30% +34.12% Energy
600 ETR Entergy Corporation $52.84B 115.41 29.44 22.80 Δ 6.64 5.00% 2.77% 1.44% 2.17% 2.30% +42.97% Utilities
601 JILL J.Jill, Inc. $236.83M 15.84 11.56 6.47 Δ 5.09 15.84% 5.96% -0.76% 1.65% 2.30% +6.72% Consumer Cyclical
602 CCBG Capital City Bank Group, Inc. $843.78M 49.34 13.98 13.58 Δ 0.40 - 1.36% - 14.28% 2.29% +21.69% Financial Services
603 FANG Diamondback Energy, Inc. $53.64B 190.69 194.58 10.82 Δ 183.76 1.90% -0.12% 45.10% 42.47% 2.29% +37.79% Energy
604 KMT Kennametal Inc. $2.62B 34.32 19.28 8.81 Δ 10.47 7.39% 5.04% -0.76% -13.65% 2.29% +44.39% Industrials
605 MGY Magnolia Oil & Gas Corporation $4.93B 26.68 15.42 10.18 Δ 5.24 16.79% 9.27% 18.36% 114.99% 2.28% +15.59% Energy
606 PPHC Public Policy Holding Company, Inc. $240.96M 8.21 -3.68 6.21 Δ -9.89 -22.65% -19.25% 24.72% - 2.28% -25.98% Industrials
607 STNG Scorpio Tankers Inc. $3.88B 77.87 7.69 12.14 Δ -4.45 8.15% 6.26% -15.64% -18.55% 2.28% +74.38% Energy
608 UNH UnitedHealth Group Incorporated $386.13B 425.19 32.02 20.34 Δ 11.68 9.74% 3.78% 10.40% 5.43% 2.27% +45.24% Healthcare
609 BG Bunge Global SA $22.63B 116.63 30.69 10.71 Δ 19.98 - 2.38% 0.20% -20.84% 2.26% +59.91% Consumer Defensive
610 CCNE CNB Financial Corporation $990.50M 33.43 11.65 8.76 Δ 2.89 - 1.10% - 13.67% 2.26% +41.37% Financial Services
611 GSBC Great Southern Bancorp, Inc. $838.34M 76.96 12.22 13.61 Δ -1.39 - 1.22% - 0.55% 2.26% +28.23% Financial Services
612 LOW Lowe's Companies, Inc. $116.51B 207.68 17.56 15.41 Δ 2.15 29.28% 12.79% 3.48% 9.86% 2.26% -4.78% Consumer Cyclical
613 RBCAA Republic Bancorp, Inc. $1.55B 88.48 13.65 13.37 Δ 0.28 - 1.77% 10.02% 12.96% 2.26% +20.54% Financial Services
614 SPB Spectrum Brands Holdings, Inc. $1.95B 84.12 16.43 15.35 Δ 1.08 4.37% 2.87% 0.60% 0.43% 2.26% +53.49% Consumer Defensive
615 FXNC First National Corporation $264.27M 29.23 12.60 11.62 Δ 0.98 - 1.02% 8.97% 14.09% 2.25% +43.74% Financial Services
616 PKBK Parke Bancorp, Inc. $383.72M 32.71 9.35 6.14 Δ 3.21 - 1.92% - 11.54% 2.25% +59.73% Financial Services
617 FRAF Franklin Financial Services Corporation $277.76M 61.82 11.58 9.54 Δ 2.04 - 1.05% - 7.59% 2.24% +63.07% Financial Services
618 RNST Renasant Corporation $3.93B 42.57 18.04 10.70 Δ 7.34 - 1.00% - 15.32% 2.24% +11.16% Financial Services
619 CBAN Colony Bankcorp, Inc. $431.66M 20.40 12.75 9.60 Δ 3.15 - 0.87% - 19.05% 2.23% +18.25% Financial Services
620 FSBC Five Star Bancorp $1.02B 47.65 15.13 12.05 Δ 3.08 - 1.45% - 11.39% 2.23% +59.70% Financial Services
621 JNJ Johnson & Johnson $611.07B 253.85 29.45 19.96 Δ 9.49 14.88% 8.42% 2.43% 4.76% 2.23% +65.92% Healthcare
622 RES RPC, Inc. $1.30B 5.85 65.00 22.08 Δ 42.92 3.58% 2.46% 6.57% - 2.23% +20.93% Energy
623 BLK BlackRock, Inc. $159.18B 1,025.44 25.81 16.89 Δ 8.92 4.89% 3.62% 10.65% 2.36% 2.22% -5.81% Financial Services
624 CINF Cincinnati Financial Corporation $27.85B 180.03 10.29 19.60 Δ -9.31 - 5.55% 7.28% 10.64% 2.22% +23.32% Financial Services
625 ILPT Industrial Logistics Properties Trust $595.32M 8.93 -11.02 -10.15 Δ -0.87 - 1.78% - - 2.22% +54.37% Real Estate
626 VHI Valhi, Inc. $397.36M 14.04 -5.53 4.33 Δ -9.86 0.65% -0.42% -2.23% -55.35% 2.22% -20.21% Basic Materials
627 JMSB John Marshall Bancorp, Inc. $307.65M 21.80 13.80 10.26 Δ 3.54 - 0.97% - -4.44% 2.21% +18.04% Financial Services
628 LEN Lennar Corporation $18.02B 83.71 13.12 11.35 Δ 1.77 - 3.88% 12.56% -3.36% 2.21% -24.36% Consumer Cyclical
629 LFVN LifeVantage Corporation $78.22M 6.20 13.78 13.58 Δ 0.20 27.27% 6.44% 13.48% -3.22% 2.21% -48.58% Consumer Defensive
630 LMNR Limoneira Company $246.96M 13.62 -5.95 26.53 Δ -32.48 -7.26% -7.18% 9.72% - 2.21% -9.40% Consumer Defensive
631 CURB Curbline Properties Corp. $3.20B 30.32 101.07 89.18 Δ 11.89 - 0.87% 35.73% 15.73% 2.20% +36.49% Real Estate
632 SRCE 1st Source Corporation $1.96B 81.50 12.50 11.65 Δ 0.85 - 1.78% - 12.09% 2.19% +28.88% Financial Services
633 HWBK Hawthorn Bancshares, Inc. $265.52M 38.50 11.03 10.23 Δ 0.80 - 1.29% 3.36% 4.68% 2.18% +35.35% Financial Services
634 TRMK Trustmark Corporation $2.71B 46.24 12.27 11.28 Δ 0.99 - 1.22% - 5.35% 2.18% +22.32% Financial Services
635 LVS Las Vegas Sands Corp. $29.67B 44.78 16.52 12.19 Δ 4.33 15.92% 9.90% 6.77% - 2.17% -9.06% Consumer Cyclical
636 PATK Patrick Industries, Inc. $2.77B 84.28 21.67 14.16 Δ 7.51 10.12% 5.37% 20.04% 6.83% 2.17% -13.82% Consumer Cyclical
637 DK Delek US Holdings, Inc. $3.74B 60.95 -67.72 25.86 Δ -93.58 6.97% 2.74% 9.64% - 2.16% +139.91% Energy
638 HON Honeywell International Inc. $141.10B 222.68 35.57 19.45 Δ 16.12 16.17% 5.95% 0.44% 3.74% 2.16% -3.30% Industrials
639 KR The Kroger Co. $36.22B 58.74 38.14 10.47 Δ 27.67 5.93% 5.76% 4.21% -0.96% 2.16% -17.03% Consumer Defensive
640 TMUS T-Mobile US, Inc. $202.51B 187.13 19.87 13.39 Δ 6.48 9.39% 5.87% 22.63% 28.77% 2.16% -16.43% Communication Services
641 UVSP Univest Financial Corporation $1.21B 43.48 13.10 11.55 Δ 1.55 - 1.18% - 14.24% 2.16% +39.57% Financial Services
642 VTR Ventas, Inc. $44.92B 92.40 168.00 109.13 Δ 58.87 3.28% 2.21% 12.21% 209.94% 2.16% +44.46% Real Estate
643 AHR American Healthcare REIT, Inc. $10.55B 54.73 92.76 63.64 Δ 29.12 2.95% 2.11% 11.80% 61.95% 2.14% +48.75% Real Estate
644 CBRL Cracker Barrel Old Country Store, Inc. $1.19B 53.36 46.40 83.78 Δ -37.38 3.58% -0.05% 2.44% -2.17% 2.14% -15.03% Consumer Cyclical
645 CNP CenterPoint Energy, Inc. $28.63B 43.76 26.85 21.02 Δ 5.83 5.24% 2.84% -0.17% 5.59% 2.14% +23.57% Utilities
646 EXPO Exponent, Inc. $3.01B 62.08 29.01 22.49 Δ 6.52 19.98% 10.06% 6.04% 10.29% 2.14% -15.15% Industrials
647 FMBH First Mid Bancshares, Inc. $1.28B 48.04 12.13 9.82 Δ 2.31 - 1.14% - 16.28% 2.14% +25.00% Financial Services
648 OVLY Oak Valley Bancorp $280.08M 33.29 11.56 11.56 Δ 0.00 - 1.22% - 11.57% 2.14% +18.94% Financial Services
649 GNE Genie Energy Ltd. $348.36M 14.03 18.22 30.50 Δ -12.28 10.94% 2.92% 6.07% 3.17% 2.13% -35.04% Utilities
650 MRSH Marsh & McLennan Companies, Inc. $85.78B 178.05 22.26 15.73 Δ 6.53 16.53% 7.27% 8.26% 2.93% 2.13% -15.03% Financial Services
651 MMS Maximus, Inc. $3.03B 57.60 8.65 6.35 Δ 2.30 15.99% 8.64% 13.46% 12.78% 2.12% -19.02% Industrials
652 WFC Wells Fargo & Company $261.00B 85.29 13.18 10.81 Δ 2.37 - 1.05% 4.02% 15.98% 2.11% +4.47% Financial Services
653 SLB SLB N.V. $71.08B 47.54 20.94 14.21 Δ 6.73 16.25% 6.47% 2.41% -2.35% 2.10% +34.84% Energy
654 ABX Abacus Global Management, Inc. $1.07B 11.14 29.32 9.81 Δ 19.51 12.15% 7.27% 73.92% 4.86% 2.09% +137.73% Financial Services
655 CI The Cigna Group $80.25B 303.35 12.13 9.06 Δ 3.07 9.06% 4.78% 23.94% 13.76% 2.09% +2.31% Healthcare
656 CBT Cabot Corporation $4.53B 87.74 16.55 12.53 Δ 4.02 21.73% 9.50% 0.90% 8.25% 2.08% +15.51% Basic Materials
657 FBIZ First Business Financial Services, Inc. $529.33M 63.30 10.45 9.44 Δ 1.01 - 1.24% 9.67% 7.19% 2.08% +19.45% Financial Services
658 AFL Aflac Incorporated $62.12B 122.05 13.95 16.05 Δ -2.10 - 3.09% -3.23% -6.20% 2.07% +21.41% Financial Services
659 EVC Entravision Communications Corporation $955.03M 11.55 -57.75 -60.79 Δ 3.04 -31.34% 3.81% 5.53% - 2.07% +383.57% Communication Services
660 IOSP Innospec Inc. $2.01B 81.64 17.83 13.36 Δ 4.47 8.80% 5.03% 7.04% 62.88% 2.07% -4.46% Basic Materials
661 DG Dollar General Corporation $26.50B 120.14 16.99 15.02 Δ 1.97 9.18% 4.63% 8.38% 9.79% 2.06% +7.16% Consumer Defensive
662 GEN Gen Digital Inc. $16.01B 26.57 16.92 8.08 Δ 8.84 16.46% 8.67% -0.89% 11.92% 2.06% -9.10% Technology
663 ACT Enact Holdings, Inc. $6.37B 45.65 9.88 9.17 Δ 0.71 - 8.33% 4.12% -1.44% 2.05% +32.50% Financial Services
664 BFST Business First Bancshares, Inc. $986.22M 30.18 10.70 9.28 Δ 1.42 - 1.09% 20.27% 27.45% 2.05% +17.00% Financial Services
665 IFF International Flavors & Fragrances Inc. $19.06B 74.67 23.12 15.51 Δ 7.61 -1.77% 2.12% 9.33% - 2.04% +2.47% Basic Materials
666 CCS Century Communities, Inc. $1.88B 65.28 14.70 15.92 Δ -1.22 1.75% 2.96% 30.35% 22.94% 2.03% +8.73% Real Estate
667 EFSC Enterprise Financial Services Corp $2.39B 65.29 12.32 11.11 Δ 1.21 - 1.22% - 22.04% 2.03% +14.04% Financial Services
668 BCAL California BanCorp $673.53M 20.94 11.44 11.46 Δ -0.02 - 1.49% 25.01% 57.59% 2.02% +29.51% Financial Services
669 CMCO Columbus McKinnon Corporation $379.95M 13.18 -1.78 5.26 Δ -7.04 -2.84% 1.58% 5.91% - 2.02% -15.02% Industrials
670 EML The Eastern Company $152.94M 25.36 32.51 65.02 Δ -32.51 5.65% 3.17% 4.77% 12.81% 2.02% +7.80% Industrials
671 UNP Union Pacific Corporation $171.17B 288.30 23.71 21.04 Δ 2.67 15.22% 9.14% 2.30% 7.77% 2.02% +26.38% Industrials
672 BAC Bank of America Corporation $430.20B 60.62 15.04 12.01 Δ 3.03 - 0.93% 6.00% 3.49% 2.00% +31.59% Financial Services
673 OVBC Ohio Valley Banc Corp. $203.47M 43.19 13.17 13.51 Δ -0.34 - 0.97% - 5.48% 2.00% +29.22% Financial Services
674 STT State Street Corporation $50.83B 183.65 18.63 13.29 Δ 5.34 - 0.80% 2.90% 4.83% 2.00% +71.21% Financial Services
675 FCCO First Community Corporation $304.21M 32.37 12.69 10.24 Δ 2.45 - 0.94% -4.57% 13.72% 1.99% +31.82% Financial Services
676 MYE Myers Industries, Inc. $1.16B 30.85 27.79 16.59 Δ 11.20 10.93% 6.73% 1.02% -1.02% 1.99% +108.42% Consumer Cyclical
677 OBK Origin Bancorp, Inc. $1.57B 50.83 19.70 11.96 Δ 7.74 - 0.81% - 21.69% 1.99% +36.15% Financial Services
678 FAST Fastenal Company $52.51B 45.74 40.48 33.28 Δ 7.20 38.17% 21.20% 7.97% 9.83% 1.98% +3.61% Industrials
679 HTH Hilltop Holdings Inc. $2.24B 38.28 14.56 16.03 Δ -1.47 - 1.06% 8.69% -18.04% 1.98% +24.91% Financial Services
680 MMM 3M Company $81.67B 156.58 30.17 16.57 Δ 13.60 16.45% 8.12% 0.11% -1.28% 1.97% +1.01% Industrials
681 NC NACCO Industries, Inc. $284.17M 47.53 16.62 9.37 Δ 7.25 3.72% -3.58% -12.41% -3.50% 1.97% +20.10% Energy
682 NATH Nathan's Famous, Inc. $410.87M 100.35 20.69 31.40 Δ -10.71 86.63% 38.87% 7.51% 8.33% 1.96% -9.24% Consumer Cyclical
683 ALL The Allstate Corporation $64.45B 250.35 5.54 9.53 Δ -3.99 - 7.52% 9.84% 299.22% 1.95% +30.17% Financial Services
684 GLNG Golar LNG Limited $5.28B 51.92 38.75 48.37 Δ -9.62 2.72% 2.69% 13.70% -56.31% 1.95% +29.33% Energy
685 HRI Herc Holdings Inc. $4.92B 147.24 - 14.85 - - 3.82% -12.61% -57.68% 1.94% +10.40% Industrials
686 SAH Sonic Automotive, Inc. $1.81B 92.38 29.14 12.27 Δ 16.87 10.90% 5.45% 5.90% 8.63% 1.94% +6.37% Consumer Cyclical
687 WNEB Western New England Bancorp, Inc. $285.38M 14.18 16.11 12.77 Δ 3.34 - 0.65% -2.73% -16.14% 1.94% +46.34% Financial Services
688 CME CME Group Inc. $88.02B 243.61 20.79 18.87 Δ 1.92 11.09% 1.55% 7.56% 10.65% 1.93% -8.65% Financial Services
689 FCAP First Capital, Inc. $206.59M 61.75 11.83 8.81 Δ 3.02 - 1.40% 7.92% 11.20% 1.93% +50.74% Financial Services
690 RPC Ridgepost Capital, Inc $625.76M 8.00 38.10 6.62 Δ 31.48 - 6.14% 45.95% 10.31% 1.93% -25.38% Financial Services
691 SFBC Sound Financial Bancorp, Inc. $110.19M 46.32 15.81 11.66 Δ 4.15 - 0.69% - 11.54% 1.93% +2.55% Financial Services
692 FDS FactSet Research Systems Inc. $9.20B 252.61 16.27 13.03 Δ 3.24 19.78% 10.91% 8.58% 9.25% 1.92% -41.61% Financial Services
693 CAL Caleres, Inc. $379.90M 11.31 - 4.97 - 2.43% 1.76% 1.23% - 1.91% -19.10% Consumer Cyclical
694 CDW CDW Corporation $17.81B 139.38 16.98 11.97 Δ 5.01 18.81% 6.70% 7.39% 6.23% 1.91% -20.05% Technology
695 MCHP AI Microchip Technology Incorporated $47.22B 87.11 395.95 21.29 Δ 374.66 3.70% 2.23% 8.78% -1.41% 1.91% +20.83% Technology
696 PSKY Paramount Skydance Corporation $9.92B 9.12 304.00 10.50 Δ 293.50 -16.09% 2.81% -1.48% - 1.91% -28.68% Communication Services
697 NGVC Natural Grocers by Vitamin Cottage, Inc. $739.38M 32.09 15.43 13.89 Δ 1.54 12.11% 5.92% 12.23% 20.27% 1.90% -18.67% Consumer Defensive
698 LEG Leggett & Platt, Incorporated $1.48B 10.82 6.72 10.69 Δ -3.97 - 3.94% -0.03% 4.90% 1.89% +10.29% Consumer Cyclical
699 PEBK Peoples Bancorp of North Carolina, Inc. $222.85M 41.97 11.56 11.41 Δ 0.15 - 1.16% - 12.73% 1.89% +44.75% Financial Services
700 TXN AI Texas Instruments Incorporated $278.08B 305.55 52.32 32.46 Δ 19.86 19.17% 12.16% 1.37% 3.58% 1.89% +42.75% Technology
701 NX Quanex Building Products Corporation $789.04M 17.18 -3.08 8.17 Δ -11.25 -11.07% 3.04% 14.58% -127.97% 1.88% -11.07% Industrials
702 CHMG Chemung Financial Corporation $360.33M 74.76 19.73 9.93 Δ 9.80 - 0.66% - 6.85% 1.87% +42.13% Financial Services
703 EQIX Equinix, Inc. $100.95B 1,023.54 70.74 53.24 Δ 17.50 5.10% 3.50% 16.33% 16.02% 1.87% +37.70% Real Estate
704 IBOC International Bancshares Corporation $4.68B 75.22 11.23 10.66 Δ 0.57 - 2.52% - 6.92% 1.87% +9.24% Financial Services
705 JPM JPMorgan Chase & Co. $918.78B 342.89 16.42 14.56 Δ 1.86 - 1.27% 5.35% 7.56% 1.87% +21.04% Financial Services
706 MS Morgan Stanley $359.10B 227.67 20.62 17.91 Δ 2.71 - 1.27% 3.76% 9.66% 1.87% +61.95% Financial Services
707 CWBC Community West Bancshares $729.10M 26.87 12.44 8.95 Δ 3.49 - 1.14% - 18.32% 1.86% +31.31% Financial Services
708 CWCO Consolidated Water Co. Ltd. $462.25M 28.89 26.50 19.92 Δ 6.58 7.99% 4.21% 5.28% 7.12% 1.86% -5.21% Utilities
709 JKHY Jack Henry & Associates, Inc. $10.33B 145.37 20.27 20.50 Δ -0.23 22.67% 13.66% 7.20% 9.43% 1.86% -16.23% Technology
710 HIG The Hartford Insurance Group, Inc. $37.87B 138.15 9.72 9.76 Δ -0.04 - 3.88% -14.62% 1.47% 1.85% +14.36% Financial Services
711 HII Huntington Ingalls Industries, Inc. $11.03B 280.00 18.19 13.75 Δ 4.44 6.77% 4.10% 4.38% 10.41% 1.85% +10.15% Industrials
712 KBH KB Home $3.47B 55.49 10.71 12.48 Δ -1.77 - 4.30% 4.33% 7.68% 1.85% +2.08% Consumer Cyclical
713 NTRS Northern Trust Corporation $34.54B 186.64 19.54 15.72 Δ 3.82 - 1.10% 0.94% 4.96% 1.84% +50.81% Financial Services
714 OXY Occidental Petroleum Corporation $54.28B 54.57 73.74 13.53 Δ 60.21 - 2.50% 0.77% -6.50% 1.84% +23.58% Energy
715 SFBS ServisFirst Bancshares, Inc. $4.67B 85.47 14.34 11.91 Δ 2.43 - 1.61% - 27.22% 1.84% +4.96% Financial Services
716 CF CF Industries Holdings, Inc. $18.31B 119.19 10.74 10.30 Δ 0.44 17.42% 11.34% 5.38% 7.86% 1.83% +24.98% Basic Materials
717 OBT Orange County Bancorp, Inc. $495.02M 36.92 10.83 9.63 Δ 1.20 - 1.68% - 28.93% 1.82% +35.51% Financial Services
718 SCHL Scholastic Corporation $824.02M 46.75 19.40 17.51 Δ 1.89 1.19% 1.33% -0.80% - 1.82% +121.36% Communication Services
719 SHOO Steven Madden, Ltd. $3.10B 42.44 40.04 15.76 Δ 24.28 5.82% 8.19% 10.59% - 1.82% +74.73% Consumer Cyclical
720 YUM Yum! Brands, Inc. $43.60B 158.18 25.55 21.15 Δ 4.40 38.59% 23.30% 6.28% 5.57% 1.82% +9.55% Consumer Cyclical
721 FRBA First Bank $433.11M 17.28 10.35 9.58 Δ 0.77 - 1.07% 14.72% 6.36% 1.81% +10.14% Financial Services
722 GOLD Gold.com, Inc. $1.13B 39.07 12.73 10.76 Δ 1.97 - 2.76% 2.68% 40.78% 1.81% +69.91% Financial Services
723 SIGI Selective Insurance Group, Inc. $5.77B 96.34 13.18 10.88 Δ 2.30 - 2.66% 7.38% 14.94% 1.81% +11.97% Financial Services
724 UTMD Utah Medical Products, Inc. $217.31M 68.25 20.19 22.69 Δ -2.50 9.51% 6.22% 2.51% - 1.80% +22.79% Healthcare
725 HBCP Home Bancorp, Inc. $536.36M 68.39 11.49 10.92 Δ 0.57 - 1.32% - 15.36% 1.79% +23.18% Financial Services
726 PWP Perella Weinberg Partners $1.12B 15.40 61.60 10.23 Δ 51.37 6.03% 4.44% 5.87% - 1.79% -20.87% Financial Services
727 VLO Valero Energy Corporation $89.50B 301.43 22.03 13.77 Δ 8.26 8.12% 6.49% -11.40% -41.16% 1.79% +107.66% Energy
728 SAP AI SAP SE $180.75B 154.81 21.53 15.73 Δ 5.80 18.17% 9.08% 7.63% 46.36% 1.78% -47.61% Technology
729 AZN AstraZeneca PLC $255.12B 164.50 24.81 20.45 Δ 4.36 15.97% 8.49% 9.82% 45.96% 1.77% +16.65% Healthcare
730 GD General Dynamics Corporation $99.92B 369.50 23.25 20.35 Δ 2.90 13.24% 6.00% 10.07% 7.49% 1.77% +23.35% Industrials
731 GRMN Garmin Ltd. $46.55B 241.39 26.97 23.38 Δ 3.59 20.23% 11.90% 4.68% 5.52% 1.76% +12.85% Technology
732 METC Ramaco Resources, Inc. $698.93M 12.99 -11.81 73.18 Δ -84.99 -5.43% -4.80% 67.34% - 1.76% -32.06% Basic Materials
733 PRDO Perdoceo Education Corporation $2.28B 36.32 13.86 10.87 Δ 2.99 17.66% 10.14% -3.86% 5.92% 1.76% +27.13% Consumer Defensive
734 VSTS Vestis Corporation $1.97B 14.90 -114.62 22.32 Δ -136.94 1.92% 2.15% 0.59% -42.80% 1.75% +150.84% Industrials
735 HQI HireQuest, Inc. $176.07M 12.63 26.31 21.59 Δ 4.72 8.62% 4.70% -5.31% 3.38% 1.74% +29.10% Industrials
736 QCOM AI QUALCOMM Incorporated $187.72B 178.10 19.17 16.70 Δ 2.47 30.13% 12.69% 9.34% 2.92% 1.74% +17.86% Technology
737 COF Capital One Financial Corporation $127.75B 205.29 63.17 8.45 Δ 54.72 - 0.49% -2.93% 2.51% 1.73% -5.67% Financial Services
738 INTU AI Intuit Inc. $77.26B 282.43 17.24 10.33 Δ 6.91 18.52% 9.46% 11.43% 13.10% 1.73% -62.06% Technology
739 MAS Masco Corporation $15.71B 77.85 19.27 16.56 Δ 2.71 34.40% 15.68% -2.26% 4.20% 1.73% +20.33% Industrials
740 MLR Miller Industries, Inc. $558.62M 49.02 36.58 15.32 Δ 21.26 6.96% 2.29% 7.80% 8.75% 1.73% +12.58% Consumer Cyclical
741 C Citigroup Inc. $227.30B 133.27 16.45 10.64 Δ 5.81 - 0.61% 0.54% 7.94% 1.72% +55.76% Financial Services
742 HAL Halliburton Company $29.59B 35.42 19.57 12.12 Δ 7.45 11.64% 7.38% 2.10% -5.40% 1.72% +64.59% Energy
743 NSC Norfolk Southern Corporation $73.40B 326.83 27.53 24.13 Δ 3.40 10.51% 5.89% 1.43% 3.79% 1.72% +26.63% Industrials
744 NOC Northrop Grumman Corporation $75.09B 528.67 16.56 17.54 Δ -0.98 11.41% 7.36% 4.65% -5.12% 1.71% +3.04% Industrials
745 ELV Elevance Health, Inc. $92.68B 426.79 18.08 14.59 Δ 3.49 10.08% 3.98% 8.34% -1.33% 1.70% +28.14% Healthcare
746 MGRC McGrath RentCorp $2.85B 115.88 18.39 16.53 Δ 1.86 - 6.53% 7.99% 10.14% 1.70% -1.31% Industrials
747 RCKY Rocky Brands, Inc. $299.92M 39.77 16.10 9.72 Δ 6.38 9.75% 4.25% 4.75% 20.19% 1.70% +71.30% Consumer Cyclical
748 RCL Royal Caribbean Cruises Ltd. $75.92B 283.09 17.26 14.15 Δ 3.11 16.61% 8.08% 26.59% 99.32% 1.70% -15.82% Consumer Cyclical
749 UFPI UFP Industries, Inc. $4.76B 84.34 18.37 15.33 Δ 3.04 10.40% 5.12% 8.66% 16.89% 1.70% -18.29% Basic Materials
750 WMK Weis Markets, Inc. $1.93B 77.94 19.24 12.42 Δ 6.82 6.79% 3.88% 1.69% -9.21% 1.70% +4.76% Consumer Defensive
751 BANF BancFirst Corporation $3.86B 115.03 15.76 15.38 Δ 0.38 - 1.70% 7.40% 14.25% 1.69% -10.64% Financial Services
752 DGX Quest Diagnostics Incorporated $22.80B 206.00 22.74 17.65 Δ 5.09 11.16% 6.35% 2.81% 6.13% 1.69% +24.50% Healthcare
753 GS The Goldman Sachs Group, Inc. $336.31B 1,140.00 20.83 17.38 Δ 3.45 - 0.94% - 2.21% 1.69% +63.04% Financial Services
754 SYBT Stock Yards Bancorp, Inc. $2.27B 76.99 15.84 13.86 Δ 1.98 - 1.55% -0.38% 14.39% 1.69% -1.35% Financial Services
755 UVE Universal Insurance Holdings, Inc. $1.16B 41.45 6.13 9.42 Δ -3.29 - 6.06% 13.53% 12.25% 1.69% +74.92% Financial Services
756 APO Apollo Global Management, Inc. $69.14B 119.93 75.43 11.30 Δ 64.13 5.46% 0.71% 42.96% 92.69% 1.68% -17.96% Financial Services
757 ATKR Atkore Inc. $2.48B 73.58 -20.50 11.96 Δ -32.46 10.21% 3.69% 5.29% - 1.67% +1.74% Industrials
758 FVCB FVCBankcorp, Inc. $314.76M 17.49 13.66 10.97 Δ 2.69 - 1.02% -0.96% -4.07% 1.67% +31.87% Financial Services
759 HNVR Hanover Bancorp, Inc. $174.84M 24.43 23.27 8.53 Δ 14.74 - 0.34% - 8.53% 1.67% +10.11% Financial Services
760 DD DuPont de Nemours, Inc. $54.35B 134.17 353.08 51.26 Δ 301.82 4.46% 1.98% -19.27% -37.76% 1.66% +45.43% Basic Materials
761 MEI Methode Electronics, Inc. $617.20M 17.42 -9.57 112.39 Δ -121.96 -2.23% -1.02% 7.04% - 1.66% +167.53% Technology
762 MMI Marcus & Millichap, Inc. $1.13B 29.87 -1,493.50 33.19 Δ -1,526.69 -1.94% -0.03% 7.49% - 1.66% -2.74% Real Estate
763 WDFC WD-40 Company $3.35B 249.12 42.22 38.74 Δ 3.48 28.13% 14.07% 6.12% 10.56% 1.66% +11.91% Basic Materials
764 RRR Red Rock Resorts, Inc. $3.74B 64.00 20.65 17.72 Δ 2.93 15.71% 9.11% 4.11% 5.86% 1.65% +17.40% Consumer Cyclical
765 UFCS United Fire Group, Inc. $1.33B 51.67 10.42 11.41 Δ -0.99 - 2.96% 5.69% - 1.65% +86.85% Financial Services
766 AAP Advance Auto Parts, Inc. $3.34B 55.41 49.47 13.82 Δ 35.65 0.63% 1.75% -2.04% -54.41% 1.64% -8.85% Consumer Cyclical
767 SYF Synchrony Financial $24.78B 73.68 7.63 7.03 Δ 0.60 - 2.96% - 4.05% 1.64% +5.69% Financial Services
768 TRV The Travelers Companies, Inc. $71.63B 336.83 10.05 11.79 Δ -1.74 - 4.44% 3.56% 4.66% 1.64% +33.94% Financial Services
769 KALU Kaiser Aluminum Corporation $2.63B 161.16 17.57 14.83 Δ 2.74 8.83% 5.75% 4.85% 31.33% 1.62% +86.83% Basic Materials
770 LHX L3Harris Technologies, Inc. $54.03B 290.01 31.52 21.27 Δ 10.25 6.21% 3.90% 8.62% 14.78% 1.62% +12.35% Industrials
771 WS Worthington Steel, Inc. $1.69B 33.94 99.82 13.58 Δ 86.24 11.67% 4.84% -8.73% -15.02% 1.62% +6.93% Basic Materials
772 NSSC Napco Security Technologies, Inc. $1.28B 35.90 34.85 22.16 Δ 12.69 26.57% 16.93% 6.90% 29.84% 1.61% +19.09% Industrials
773 IBP Installed Building Products, Inc. $6.05B 224.40 23.97 19.94 Δ 4.03 22.42% 11.14% 19.25% 22.24% 1.60% +14.35% Consumer Cyclical
774 MNSB MainStreet Bancshares, Inc. $171.73M 24.13 12.13 9.97 Δ 2.16 - 0.78% -0.90% -16.35% 1.60% +22.93% Financial Services
775 SPFI South Plains Financial, Inc. $807.57M 42.18 11.82 10.29 Δ 1.53 - 1.34% - 10.38% 1.60% +13.90% Financial Services
776 CAKE The Cheesecake Factory Incorporated $4.00B 80.44 23.59 18.08 Δ 5.51 7.54% 4.46% 5.12% 8.08% 1.59% +27.60% Consumer Cyclical
777 CC The Chemours Company $2.80B 18.63 -6.82 8.24 Δ -15.06 - 2.13% -1.38% - 1.59% +41.13% Basic Materials
778 AIN Albany International Corp. $2.09B 73.73 -37.62 23.70 Δ -61.32 -2.82% -0.94% 4.55% -53.29% 1.58% +8.11% Consumer Cyclical
779 ALLE Allegion plc $11.73B 136.51 18.67 14.30 Δ 4.37 19.46% 11.03% 7.52% 12.02% 1.58% -7.23% Industrials
780 LUV Southwest Airlines Co. $23.25B 47.56 31.71 10.50 Δ 21.21 2.36% 1.94% 5.98% -2.09% 1.58% +28.52% Industrials
781 NMRK Newmark Group, Inc. $2.30B 14.70 18.15 6.79 Δ 11.36 7.52% 2.98% 8.32% -3.16% 1.58% +18.91% Real Estate
782 VIRC Virco Mfg. Corporation $95.01M 6.04 -86.29 3.43 Δ -89.72 2.65% 0.06% -4.75% -46.26% 1.58% -24.76% Consumer Cyclical
783 DAN Dana Incorporated $2.91B 27.07 -50.13 8.00 Δ -58.13 3.09% 2.27% 2.28% - 1.56% +60.79% Consumer Cyclical
784 EL The Estée Lauder Companies Inc. $20.00B 80.86 -115.51 25.38 Δ -140.89 -5.43% 4.87% 4.28% - 1.56% -8.42% Consumer Defensive
785 TRGP Targa Resources Corp. $60.44B 281.60 28.76 22.88 Δ 5.88 15.37% 9.13% 10.94% - 1.56% +67.02% Energy
786 WTTR Select Water Solutions, Inc. $2.53B 20.32 96.76 31.03 Δ 65.73 3.50% 1.71% 0.48% -23.96% 1.56% +124.27% Energy
787 EMR Emerson Electric Co. $76.22B 136.09 31.50 19.00 Δ 12.50 - 6.68% -1.14% 0.39% 1.55% -1.14% Industrials
788 FBNC First Bancorp $2.65B 63.98 21.84 12.84 Δ 9.00 - 0.96% 27.83% 4.34% 1.55% +37.74% Financial Services
789 ROL Rollins, Inc. $21.32B 44.29 40.63 31.74 Δ 8.89 30.83% 14.98% 10.17% 12.16% 1.55% -19.55% Consumer Cyclical
790 SIG Signet Jewelers Limited $3.35B 85.30 12.05 6.96 Δ 5.09 9.67% 6.09% 4.31% - 1.55% +6.06% Consumer Cyclical
791 FUL H.B. Fuller Company $3.05B 56.02 19.38 10.89 Δ 8.49 7.84% 4.96% 5.53% 13.05% 1.54% -8.64% Basic Materials
792 WM Waste Management, Inc. $94.08B 234.27 33.90 25.33 Δ 8.57 10.76% 6.60% 8.56% 6.56% 1.54% +3.80% Industrials
793 FBK FB Financial Corporation $3.01B 58.40 21.55 11.52 Δ 10.03 - 0.95% - 12.84% 1.53% +20.46% Financial Services
794 TKO TKO Group Holdings, Inc. $13.84B 184.56 68.87 39.59 Δ 29.28 6.12% 3.85% 46.36% - 1.53% +7.42% Communication Services
795 CRAI CRA International, Inc. $1.06B 164.12 22.76 17.04 Δ 5.72 27.82% 7.54% 9.77% 14.46% 1.52% -18.04% Industrials
796 PAHC Phibro Animal Health Corporation $696.11M 33.04 14.18 9.88 Δ 4.30 10.35% 8.40% 5.40% 16.04% 1.52% +6.07% Healthcare
797 AMTB Amerant Bancorp Inc. $985.95M 25.63 18.05 12.02 Δ 6.03 - 0.58% 10.01% -6.10% 1.51% +30.28% Financial Services
798 GATX GATX Corporation $6.31B 177.74 19.07 15.91 Δ 3.16 - 2.36% 10.99% 28.82% 1.51% +13.43% Industrials
799 NRG NRG Energy, Inc. $29.19B 138.36 150.39 11.90 Δ 138.49 8.74% 2.24% 9.43% 2.31% 1.51% -7.36% Utilities
800 RNGR Ranger Energy Services, Inc. $382.80M 16.11 25.57 12.25 Δ 13.32 4.40% 2.51% 38.41% - 1.51% +34.07% Energy
801 RTX RTX Corporation $260.44B 193.39 36.35 25.51 Δ 10.84 8.28% 4.05% 2.61% 2.62% 1.51% +31.61% Industrials
802 DIS The Walt Disney Company $166.48B 95.87 15.34 12.79 Δ 2.55 10.74% 4.45% 6.96% 4.12% 1.50% -18.93% Communication Services
803 EQBK Equity Bancshares, Inc. $1.01B 48.97 41.50 9.39 Δ 32.11 - 0.38% 2.03% 10.12% 1.49% +12.96% Financial Services
804 AMP Ameriprise Financial, Inc. $46.62B 518.60 12.92 10.89 Δ 2.03 - 2.43% 9.03% 4.20% 1.48% -2.50% Financial Services
805 GPN Global Payments Inc. $20.76B 75.89 27.90 4.69 Δ 23.21 3.82% 2.37% 9.67% 22.33% 1.48% -3.27% Industrials
806 ICE Intercontinental Exchange, Inc. $77.82B 137.61 20.03 15.62 Δ 4.41 9.34% 2.11% 17.47% 14.31% 1.48% -23.35% Financial Services
807 MPC Marathon Petroleum Corporation $88.57B 303.40 19.99 12.31 Δ 7.68 12.90% 5.15% 6.91% 14.73% 1.48% +76.13% Energy
808 CRH CRH plc $69.43B 103.91 19.28 15.54 Δ 3.74 10.97% 6.05% 6.41% 9.30% 1.47% +10.35% Basic Materials
809 PFSI PennyMac Financial Services, Inc. $4.31B 82.91 8.81 5.81 Δ 3.00 - 1.82% 22.23% 25.24% 1.47% -16.85% Financial Services
810 WOR Worthington Enterprises, Inc. $2.69B 54.65 17.40 13.22 Δ 4.18 8.74% 3.12% -4.13% -36.74% 1.47% -13.40% Industrials
811 BKR Baker Hughes Company $57.32B 57.78 18.46 20.76 Δ -2.30 11.41% 5.01% 5.21% - 1.46% +47.41% Energy
812 ISTR Investar Holding Corporation $402.50M 29.18 12.85 8.96 Δ 3.89 - 0.87% -5.93% -13.76% 1.46% +33.63% Financial Services
813 XYL Xylem Inc. $28.89B 121.55 30.24 19.94 Δ 10.30 8.19% 5.01% 17.84% 39.17% 1.46% -5.99% Industrials
814 PRG PROG Holdings, Inc. $1.81B 45.21 11.50 8.48 Δ 3.02 - 13.78% 2.43% -4.06% 1.45% +57.97% Industrials
815 BWFG Bankwell Financial Group, Inc. $465.00M 58.32 11.69 10.43 Δ 1.26 - 1.21% 115.22% 32.39% 1.44% +54.79% Financial Services
816 FDX FedEx Corporation $74.84B 313.66 16.74 16.60 Δ 0.14 7.22% 5.03% 5.07% 7.89% 1.44% +69.60% Industrials
817 PKOH Park-Ohio Holdings Corp. $531.15M 36.89 21.08 10.76 Δ 10.32 6.30% 3.95% 5.29% - 1.44% +107.68% Industrials
818 PNR Pentair plc $12.23B 75.68 19.02 13.02 Δ 6.00 14.51% 8.88% 1.30% 6.37% 1.44% -28.38% Industrials
819 CNO CNO Financial Group, Inc. $4.87B 52.19 21.04 10.53 Δ 10.51 - 1.04% 0.40% -5.35% 1.43% +43.08% Financial Services
820 MCS The Marcus Corporation $518.56M 21.84 49.64 40.44 Δ 9.20 2.00% 1.40% 4.43% -1.48% 1.43% +27.73% Communication Services
821 TNC Tennant Company $1.45B 85.15 50.68 13.04 Δ 37.64 7.00% 2.99% 4.49% 5.38% 1.43% +4.53% Industrials
822 FNWD Finward Bancorp $157.18M 36.30 15.85 11.65 Δ 4.20 - 0.49% - 3.02% 1.42% +33.53% Financial Services
823 GSM Ferroglobe PLC $642.80M 3.44 -5.83 6.88 Δ -12.71 -11.90% -2.77% -19.90% - 1.42% -20.15% Basic Materials
824 TEL AI TE Connectivity plc $58.67B 200.98 20.55 15.89 Δ 4.66 16.09% 9.55% 1.78% - 1.42% +15.28% Technology
825 ACU Acme United Corporation $178.10M 46.74 20.15 20.87 Δ -0.72 9.91% 4.90% 0.44% 49.72% 1.41% +10.76% Consumer Defensive
826 CBNK Capital Bancorp, Inc. $571.87M 35.11 10.58 9.39 Δ 1.19 - 1.54% - 29.77% 1.41% -0.05% Financial Services
827 KWR Quaker Chemical Corporation $2.60B 149.96 576.77 17.09 Δ 559.68 2.19% 4.34% 9.36% - 1.41% +20.47% Basic Materials
828 LDOS AI Leidos Holdings, Inc. $13.40B 106.56 9.75 8.10 Δ 1.65 19.77% 9.23% 6.06% 28.34% 1.41% -34.21% Technology
829 PHIN PHINIA Inc. $2.90B 78.25 21.92 11.60 Δ 10.32 8.85% 5.43% 1.93% -3.83% 1.41% +62.75% Consumer Cyclical
830 SCHW The Charles Schwab Corporation $175.83B 101.10 20.10 13.94 Δ 6.16 - 1.97% 9.09% 7.50% 1.41% +10.44% Financial Services
831 BALL Ball Corporation $16.10B 60.46 17.63 13.38 Δ 4.25 9.90% 4.70% 4.19% 6.78% 1.40% +5.40% Consumer Cyclical
832 PKE Park Aerospace Corp. $699.83M 33.52 59.86 65.73 Δ -5.87 9.91% 6.38% -5.32% -4.94% 1.40% +115.02% Industrials
833 RJF Raymond James Financial, Inc. $32.63B 167.43 15.81 12.52 Δ 3.29 - 2.45% 9.57% 14.79% 1.40% +6.53% Financial Services
834 AMAL Amalgamated Financial Corp. $1.39B 46.40 13.49 10.27 Δ 3.22 - 1.20% 7.43% 8.63% 1.39% +40.75% Financial Services
835 ARKO Arko Corp. $858.22M 7.65 38.25 153.00 Δ -114.75 3.93% 2.08% -5.80% -31.82% 1.39% +70.46% Consumer Cyclical
836 CSCO AI Cisco Systems, Inc. $461.50B 117.09 39.03 24.51 Δ 14.52 13.48% 7.34% 2.14% 1.39% 1.39% +76.22% Technology
837 FLOC Flowco Holdings Inc. $858.65M 20.53 16.69 11.39 Δ 5.30 9.50% 5.58% 114.15% - 1.39% +16.58% Energy
838 SMBC Southern Missouri Bancorp, Inc. $828.93M 75.25 12.58 11.15 Δ 1.43 - 1.33% - 18.44% 1.38% +33.37% Financial Services
839 CARR Carrier Global Corporation $57.94B 69.76 46.51 21.79 Δ 24.72 7.22% 3.15% 2.01% -8.36% 1.37% -7.60% Industrials
840 EFX Equifax Inc. $19.88B 166.93 29.39 16.24 Δ 13.15 11.49% 6.27% 5.85% -1.75% 1.37% -35.28% Industrials
841 MSCI MSCI Inc. $44.47B 611.43 34.96 27.17 Δ 7.79 44.25% 20.55% 11.71% 11.36% 1.37% +8.64% Financial Services
842 RELL Richardson Electronics, Ltd. $219.10M 17.50 64.81 44.87 Δ 19.94 -1.55% 0.64% 2.93% - 1.37% +80.28% Technology
843 TGLS Tecnoglass Inc. $1.96B 44.23 13.69 12.39 Δ 1.30 25.39% 10.57% 16.82% 26.57% 1.37% -40.90% Basic Materials
844 NBBK NB Bancorp, Inc. $915.51M 20.88 15.24 8.44 Δ 6.80 - 0.84% - 18.72% 1.36% +10.01% Financial Services
845 AIZ Assurant, Inc. $13.72B 276.98 14.19 12.33 Δ 1.86 - 2.44% 7.93% 46.67% 1.35% +47.16% Financial Services
846 FLXS Flexsteel Industries, Inc. $291.94M 71.63 13.07 14.18 Δ -1.11 12.07% 8.20% 2.03% 4.25% 1.35% +85.33% Consumer Cyclical
847 PYPL PayPal Holdings, Inc. $41.79B 47.37 8.89 8.23 Δ 0.66 18.96% 4.74% 6.43% 29.33% 1.35% -35.34% Financial Services
848 TIPT Tiptree Inc. $671.38M 17.87 -18.05 - - -0.69% -0.45% -31.77% 5.49% 1.35% -16.05% Financial Services
849 BFC Bank First Corporation $1.64B 146.38 20.39 12.17 Δ 8.22 - 1.39% - 19.02% 1.34% +20.63% Financial Services
850 CARE Carter Bankshares, Inc. $710.44M 31.97 6.56 12.46 Δ -5.90 - 2.28% 8.03% 2.80% 1.34% +74.89% Financial Services
851 IEX IDEX Corporation $16.49B 222.74 33.00 24.13 Δ 8.87 11.01% 6.76% 5.08% 8.18% 1.34% +24.98% Industrials
852 RVSB Riverview Bancorp, Inc. $109.61M 5.33 -25.38 13.32 Δ -38.70 - -0.29% - - 1.34% -5.07% Financial Services
853 WSM Williams-Sonoma, Inc. $25.94B 220.34 24.70 21.45 Δ 3.25 40.94% 17.36% -3.45% -1.18% 1.34% +31.15% Consumer Cyclical
854 WTW Willis Towers Watson Public Limited Company $27.27B 288.74 16.95 13.01 Δ 3.94 14.25% 5.09% 3.07% 16.73% 1.34% -5.43% Financial Services
855 GCBC Greene County Bancorp, Inc. $551.11M 32.37 14.14 10.75 Δ 3.39 - 1.26% 11.06% 13.50% 1.33% +31.58% Financial Services
856 NXPI AI NXP Semiconductors N.V. $71.67B 283.87 27.14 16.10 Δ 11.04 13.44% 8.14% 3.59% -1.14% 1.33% +28.63% Technology
857 TNK Teekay Tankers Ltd. $2.17B 72.27 5.87 8.94 Δ -3.07 10.21% 8.60% -6.86% 14.26% 1.33% +68.62% Energy
858 CSPI CSP Inc. $81.98M 8.14 -814.00 - - -6.35% -2.48% -2.81% - 1.32% -30.93% Technology
859 MRTN Marten Transport, Ltd. $1.42B 17.43 96.83 37.09 Δ 59.74 2.67% 0.44% 3.55% 0.44% 1.32% +31.75% Industrials
860 SXT Sensient Technologies Corporation $4.83B 113.54 33.49 23.95 Δ 9.54 10.46% 6.64% 1.50% 2.33% 1.32% +5.39% Basic Materials
861 NHC National HealthCare Corporation $3.29B 210.79 26.78 490.21 Δ -463.43 10.08% 5.28% 5.67% 5.64% 1.31% +107.83% Healthcare
862 CHRW C.H. Robinson Worldwide, Inc. $23.53B 199.61 40.41 27.17 Δ 13.24 24.64% 10.08% 4.53% 3.35% 1.30% +106.86% Industrials
863 PLUS ePlus inc. $2.31B 87.56 18.59 15.08 Δ 3.51 14.29% 5.64% 9.76% 15.77% 1.30% +26.81% Technology
864 WERN Werner Enterprises, Inc. $2.69B 44.80 -298.67 21.68 Δ -320.35 0.71% 1.41% -3.31% -35.32% 1.30% +58.71% Industrials
865 NTAP NetApp, Inc. $34.20B 174.55 27.49 17.70 Δ 9.79 24.90% 9.82% 4.26% 19.18% 1.29% +69.68% Technology
866 WTI W&T Offshore, Inc. $534.11M 3.59 -3.78 -35.78 Δ 32.00 -8.68% -1.88% -18.34% -54.97% 1.29% +101.66% Energy
867 AJG Arthur J. Gallagher & Co. $65.22B 253.83 41.01 17.08 Δ 23.93 6.58% 2.28% 17.70% 10.27% 1.28% -18.62% Financial Services
868 CDRE Cadre Holdings, Inc. $1.21B 28.38 33.79 19.85 Δ 13.94 10.12% 6.26% 8.57% 2.80% 1.28% -14.22% Industrials
869 LNN Lindsay Corporation $1.20B 115.46 21.11 18.48 Δ 2.63 12.64% 5.09% 4.14% 7.55% 1.28% -14.12% Industrials
870 EQT EQT Corporation $31.16B 49.81 9.45 10.75 Δ -1.30 8.27% 7.73% 22.54% 17.38% 1.27% -13.53% Energy
871 UMBF UMB Financial Corporation $10.84B 142.61 12.48 10.42 Δ 2.06 - 1.24% - 12.28% 1.27% +29.04% Financial Services
872 VC Visteon Corporation $2.78B 103.97 17.39 10.65 Δ 6.74 - 6.00% -4.83% 6.80% 1.27% -7.98% Consumer Cyclical
873 CHD Church & Dwight Co., Inc. $22.61B 95.41 31.38 23.33 Δ 8.05 14.53% 8.14% 5.69% 8.13% 1.26% -0.42% Consumer Defensive
874 MCY Mercury General Corporation $5.97B 107.78 7.10 8.98 Δ -1.88 - 7.06% 5.49% 7.63% 1.26% +60.13% Financial Services
875 NDAQ Nasdaq, Inc. $49.77B 88.01 26.51 19.84 Δ 6.67 10.09% 5.55% 4.92% 10.77% 1.26% -0.60% Financial Services
876 SGHC Super Group (SGHC) Limited $7.52B 14.81 30.85 16.56 Δ 14.29 48.02% 24.80% 17.20% 3.70% 1.26% +28.07% Consumer Cyclical
877 VRSN AI VeriSign, Inc. $24.47B 268.85 29.71 25.66 Δ 4.05 - 52.07% 5.15% 7.01% 1.26% -3.76% Technology
878 HTB HomeTrust Bancshares, Inc. $815.56M 48.53 12.54 13.00 Δ -0.46 - 1.49% 3.62% 15.90% 1.25% +27.31% Financial Services
879 WELL Welltower Inc. $166.60B 236.00 113.46 70.24 Δ 43.22 0.26% 0.74% 22.69% 87.90% 1.25% +51.60% Real Estate
880 BCC Boise Cascade Company $2.61B 74.09 24.95 13.72 Δ 11.23 6.67% 2.80% 8.39% 10.42% 1.24% -16.34% Basic Materials
881 BY Byline Bancorp, Inc. $1.69B 37.20 12.08 11.03 Δ 1.05 - 1.43% - 28.26% 1.24% +32.78% Financial Services
882 CB Chubb Limited $134.28B 346.22 12.24 11.84 Δ 0.40 - 3.36% 8.29% 8.00% 1.24% +24.31% Financial Services
883 KINS Kingstone Companies, Inc. $288.54M 19.92 9.01 6.64 Δ 2.37 - 5.76% 18.19% 93.66% 1.23% +37.75% Financial Services
884 RMD ResMed Inc. $28.00B 193.01 18.63 15.90 Δ 2.73 23.55% 14.71% 11.36% 15.16% 1.23% -23.30% Healthcare
885 VOXR Vox Royalty Corp. $307.30M 4.46 9.91 15.93 Δ -6.02 6.38% 20.16% 25.01% 161.76% 1.23% +40.48% Basic Materials
886 LIN Linde plc $241.59B 522.54 34.65 26.51 Δ 8.14 12.46% 7.24% 13.90% 18.47% 1.22% +12.97% Basic Materials
887 NVGS Navigator Holdings Ltd. $1.30B 21.08 13.01 12.11 Δ 0.90 6.91% 3.65% 7.40% 23.25% 1.22% +38.33% Energy
888 BMI Badger Meter, Inc. $4.13B 141.46 31.93 27.10 Δ 4.83 22.29% 11.31% 8.45% 9.29% 1.21% -40.28% Technology
889 CMI Cummins Inc. $93.22B 675.54 35.07 19.93 Δ 15.14 16.51% 7.27% 5.41% 7.77% 1.21% +101.74% Industrials
890 LBRT Liberty Energy Inc. $4.12B 25.27 27.77 69.14 Δ -41.37 2.56% 1.31% 30.12% - 1.21% +109.98% Energy
891 STE STERIS plc $20.34B 208.73 26.32 17.24 Δ 9.08 11.49% 6.65% 9.55% 24.36% 1.21% -6.80% Healthcare
892 VTOL Bristow Group Inc. $1.28B 43.35 11.29 8.24 Δ 3.05 9.82% 4.22% 7.94% 305.80% 1.21% +22.21% Energy
893 EEX Emerald Holding, Inc. $997.46M 5.04 -26.53 17.38 Δ -43.91 2.43% 4.22% 4.22% - 1.20% -0.06% Communication Services
894 OSBC Old Second Bancorp, Inc. $1.18B 23.01 13.78 10.02 Δ 3.76 - 1.37% 10.79% 15.27% 1.20% +23.09% Financial Services
895 ROK Rockwell Automation, Inc. $52.27B 469.77 48.68 32.35 Δ 16.33 18.30% 9.34% 3.05% -3.11% 1.20% +38.83% Industrials
896 HUBB Hubbell Incorporated $25.57B 483.89 28.58 22.22 Δ 6.36 17.99% 10.20% 4.64% 8.47% 1.19% +17.98% Industrials
897 RSG Republic Services, Inc. $67.70B 220.03 31.57 27.30 Δ 4.27 10.91% 6.18% 9.62% 11.74% 1.19% -8.85% Industrials
898 ASO Academy Sports and Outdoors, Inc. $2.88B 46.43 8.20 6.63 Δ 1.57 12.07% 5.88% 2.99% 43.09% 1.18% -8.16% Consumer Cyclical
899 CSX CSX Corporation $92.76B 49.92 30.63 23.03 Δ 7.60 11.15% 7.08% 1.91% 4.38% 1.18% +48.99% Industrials
900 HPE AI Hewlett Packard Enterprise Company $65.63B 49.56 46.32 12.40 Δ 33.92 3.21% 1.97% -4.57% -27.80% 1.18% +144.76% Technology
901 PCAR PACCAR Inc $65.23B 123.94 26.31 18.30 Δ 8.01 - 4.15% 3.85% 3.74% 1.18% +32.52% Industrials
902 PCG PG&E Corporation $38.41B 17.44 13.52 9.68 Δ 3.84 3.87% 2.53% 3.80% 5.99% 1.18% +31.63% Utilities
903 AXP American Express Company $242.27B 355.06 22.18 17.62 Δ 4.56 - 3.80% 8.87% 6.02% 1.17% +11.82% Financial Services
904 DHI D.R. Horton, Inc. $42.53B 149.99 14.08 12.46 Δ 1.62 - 7.30% 15.01% 8.60% 1.17% +11.49% Consumer Cyclical
905 MSI Motorola Solutions, Inc. $68.67B 413.71 33.34 22.34 Δ 11.00 22.45% 11.22% -6.15% 17.81% 1.17% +1.15% Technology
906 RICK RCI Hospitality Holdings, Inc. $201.16M 26.29 -33.71 6.29 Δ -40.00 5.67% 4.00% 9.50% 4.67% 1.17% -33.54% Consumer Cyclical
907 CFBK CF Bankshares Inc. $208.05M 32.40 11.65 7.71 Δ 3.94 - 0.85% - -9.94% 1.15% +35.53% Financial Services
908 EBAY eBay Inc. $49.97B 112.54 25.99 16.64 Δ 9.35 17.55% 8.59% 1.55% 10.29% 1.14% +46.83% Consumer Cyclical
909 NDSN Nordson Corporation $15.98B 286.83 30.61 23.07 Δ 7.54 13.79% 7.92% 5.49% 8.69% 1.14% +33.04% Industrials
910 TJX The TJX Companies, Inc. $166.08B 150.34 29.25 26.10 Δ 3.15 21.26% 13.87% 6.84% 8.48% 1.14% +23.16% Consumer Cyclical
911 GIII G-III Apparel Group, Ltd. $1.44B 34.18 12.04 13.84 Δ -1.80 5.23% 5.83% 8.51% 4.82% 1.13% +44.18% Consumer Cyclical
912 J Jacobs Solutions Inc. $15.26B 129.26 38.13 15.62 Δ 22.51 10.93% 4.35% 1.97% 0.04% 1.13% -4.00% Industrials
913 JBSS John B. Sanfilippo & Son, Inc. $769.74M 84.66 14.83 17.79 Δ -2.96 19.18% 9.39% 4.63% 9.84% 1.13% +33.88% Consumer Defensive
914 SYK Stryker Corporation $119.25B 311.07 35.96 18.60 Δ 17.36 12.21% 7.72% 8.28% 6.66% 1.13% -19.73% Healthcare
915 CSV Carriage Services, Inc. $607.75M 38.29 13.92 10.18 Δ 3.74 7.58% 4.66% 5.49% 13.24% 1.12% -17.59% Consumer Cyclical
916 DE Deere & Company $157.85B 584.40 33.07 25.57 Δ 7.50 - 3.83% 3.43% 5.10% 1.12% +16.57% Industrials
917 ETN AI Eaton Corporation plc $161.35B 415.52 40.66 26.43 Δ 14.23 11.53% 7.02% 4.73% 10.38% 1.12% +16.67% Industrials
918 YOU Clear Secure, Inc. $5.39B 53.54 42.83 20.67 Δ 22.16 34.31% 10.41% 27.22% 88.83% 1.12% +89.43% Technology
919 ANDE The Andersons, Inc. $2.55B 74.92 19.98 12.61 Δ 7.37 9.31% 2.30% -14.03% -9.95% 1.11% +101.08% Consumer Defensive
920 RGR Sturm, Ruger & Company, Inc. $603.81M 37.87 -51.88 19.13 Δ -71.01 -4.28% -3.01% 4.48% - 1.11% +7.02% Industrials
921 WHD Cactus, Inc. $3.65B 52.60 49.16 15.02 Δ 34.14 15.42% 7.03% 16.16% 14.65% 1.11% +19.40% Energy
922 CNXN AI PC Connection, Inc. $1.96B 77.59 22.56 18.32 Δ 4.24 10.67% 5.20% 3.85% 8.47% 1.10% +17.94% Technology
923 ECL Ecolab Inc. $75.92B 269.75 36.55 28.09 Δ 8.46 14.29% 8.01% 6.17% 9.18% 1.10% +1.64% Basic Materials
924 JCI Johnson Controls International plc $88.61B 145.24 44.28 25.22 Δ 19.06 3.27% 5.45% 1.37% 39.14% 1.10% +37.48% Industrials
925 POWI AI Power Integrations, Inc. $3.94B 70.76 235.87 38.10 Δ 197.77 1.45% 1.80% 4.74% 15.88% 1.10% +27.12% Technology
926 UNTY Unity Bancorp, Inc. $557.67M 55.54 9.35 8.78 Δ 0.57 - 2.09% 11.06% 14.65% 1.10% +6.74% Financial Services
927 ZBH Zimmer Biomet Holdings, Inc. $17.61B 91.03 23.58 10.13 Δ 13.45 5.48% 4.10% 5.85% 44.98% 1.10% -1.99% Healthcare
928 BTU Peabody Energy Corporation $2.93B 24.04 -24.53 6.33 Δ -30.86 -1.61% -0.72% -0.93% - 1.09% +62.96% Energy
929 LMAT LeMaitre Vascular, Inc. $2.24B 97.86 35.98 30.06 Δ 5.92 11.72% 7.20% 10.45% 25.13% 1.09% +17.45% Healthcare
930 ORCL AI Oracle Corporation $367.96B 127.94 21.91 11.77 Δ 10.14 13.03% 6.52% 5.68% 4.83% 1.09% -43.56% Technology
931 ROP Roper Technologies, Inc. $34.98B 346.65 21.65 14.55 Δ 7.10 7.25% 4.32% 13.73% -30.34% 1.09% -36.22% Technology
932 RUSHA Rush Enterprises, Inc. $4.63B 75.86 22.92 16.66 Δ 6.26 13.40% 5.22% 11.71% 26.83% 1.09% +42.57% Consumer Cyclical
933 TPR Tapestry, Inc. $27.35B 135.36 41.39 17.49 Δ 23.90 8.26% 16.44% 4.76% -8.19% 1.09% +35.01% Consumer Cyclical
934 BRO Brown & Brown, Inc. $23.22B 68.50 22.31 14.07 Δ 8.24 - 5.51% 11.16% 11.48% 1.08% -36.00% Financial Services
935 FELE Franklin Electric Co., Inc. $4.62B 104.47 31.47 20.56 Δ 10.91 16.81% 8.95% 6.37% 7.34% 1.08% +16.22% Industrials
936 HUBG Hub Group, Inc. $2.86B 47.28 27.17 23.62 Δ 3.55 6.13% 3.16% 4.62% 3.58% 1.08% +36.77% Industrials
937 LH Labcorp Holdings Inc. $22.61B 275.68 24.42 14.18 Δ 10.24 8.89% 5.31% 7.09% 3.44% 1.08% +11.53% Healthcare
938 CNK Cinemark Holdings, Inc. $3.43B 29.37 22.59 11.81 Δ 10.78 -5.66% 5.43% 2.88% 2.23% 1.07% -0.34% Communication Services
939 MWA Mueller Water Products, Inc. $3.86B 24.70 18.71 15.63 Δ 3.08 16.83% 10.30% 0.01% 21.63% 1.07% -0.47% Industrials
940 RUSHB Rush Enterprises, Inc. $1.26B 75.19 22.72 21.54 Δ 1.18 13.40% 5.22% 11.71% 26.83% 1.07% +39.19% Consumer Cyclical
941 TEX Terex Corporation $7.45B 65.21 31.81 11.21 Δ 20.60 9.59% 2.50% -2.12% -5.52% 1.07% +29.64% Industrials
942 CRM AI Salesforce, Inc. $137.23B 167.56 19.42 10.78 Δ 8.64 11.08% 5.70% 24.99% 39.62% 1.06% -34.93% Technology
943 LII Lennox International Inc. $19.58B 562.77 24.98 21.07 Δ 3.91 36.04% 16.74% 2.45% 11.70% 1.06% -7.57% Industrials
944 SRBK SR Bancorp, Inc. $143.34M 19.28 33.24 23.51 Δ 9.73 - 0.42% - 40.02% 1.06% +33.36% Financial Services
945 VRSK Verisk Analytics, Inc. $24.96B 190.54 29.09 21.97 Δ 7.12 34.46% 18.00% 7.16% -1.63% 1.06% -37.09% Industrials
946 ADI AI Analog Devices, Inc. $191.30B 392.75 58.36 26.59 Δ 31.77 6.77% 5.49% -2.84% -6.21% 1.05% +63.49% Technology
947 GOLF Acushnet Holdings Corp. $6.58B 112.42 39.45 27.17 Δ 12.28 15.66% 8.15% 4.74% 21.79% 1.04% +45.11% Consumer Cyclical
948 NEM Newmont Corporation $101.15B 94.75 12.29 8.32 Δ 3.97 - 14.89% 6.53% 20.15% 1.04% +57.44% Basic Materials
949 WYNN Wynn Resorts, Limited $9.95B 95.90 27.48 17.78 Δ 9.70 9.94% 5.60% 23.86% 59.08% 1.04% -12.82% Consumer Cyclical
950 CCL Carnival Corporation Ltd. $32.83B 26.50 11.67 10.18 Δ 1.49 11.62% 5.52% 5.23% 0.76% 1.03% -8.64% Consumer Cyclical
951 MCB Metropolitan Bank Holding Corp. $1.20B 96.90 11.98 8.19 Δ 3.79 - 1.05% -4.16% 32.48% 1.03% +29.52% Financial Services
952 MRX Marex Group plc $4.72B 65.68 14.89 11.80 Δ 3.09 31.55% 1.14% 45.63% 46.25% 1.03% +71.42% Financial Services
953 CTAS Cintas Corporation $73.76B 184.33 38.89 33.97 Δ 4.92 28.84% 15.94% 6.50% 15.25% 1.02% -14.21% Industrials
954 ASTE Astec Industries, Inc. $1.29B 55.94 49.95 13.29 Δ 36.66 6.30% 4.27% 2.34% -3.00% 1.01% +42.18% Industrials
955 SHW The Sherwin-Williams Company $81.02B 328.50 31.56 24.81 Δ 6.75 21.93% 9.45% 6.18% 8.26% 1.01% -3.75% Basic Materials
956 BCO The Brink's Company $4.49B 109.12 25.50 10.30 Δ 15.20 11.45% 5.17% 3.23% 0.54% 1.00% +17.56% Industrials
957 HCI HCI Group, Inc. $2.30B 179.94 7.89 9.94 Δ -2.05 - 11.49% 18.73% 30.65% 1.00% +28.67% Financial Services
958 OEC Orion S.A. $343.41M 6.09 -3.85 16.22 Δ -20.07 2.15% 2.62% 3.92% - 1.00% -44.97% Basic Materials
959 IDCC AI InterDigital, Inc. $6.86B 265.48 25.28 23.61 Δ 1.67 35.13% 13.10% 7.91% 17.50% 0.99% +18.15% Technology
960 JOE The St. Joe Company $3.48B 60.54 31.37 550.36 Δ -518.99 - 6.02% 4.13% 20.66% 0.99% +18.29% Real Estate
961 NNI Nelnet, Inc. $3.34B 131.87 11.46 13.19 Δ -1.73 - 2.63% - 7.28% 0.99% +8.80% Financial Services
962 AON Aon plc $76.65B 358.89 19.71 16.75 Δ 2.96 20.23% 6.05% 11.25% 12.59% 0.98% +0.21% Financial Services
963 CBOE Cboe Global Markets, Inc. $28.78B 274.98 23.48 18.69 Δ 4.79 21.13% 10.59% 16.21% 15.72% 0.98% +17.07% Financial Services
964 CZWI Citizens Community Bancorp, Inc. $221.53M 22.97 15.01 10.37 Δ 4.64 - 0.83% - 2.53% 0.98% +53.42% Financial Services
965 BKNG Booking Holdings Inc. $135.49B 174.85 23.04 14.21 Δ 8.83 70.23% 22.26% 16.93% 22.07% 0.97% -23.55% Consumer Cyclical
966 EXPD Expeditors International of Washington, Inc. $23.31B 178.22 28.75 26.12 Δ 2.63 37.31% 14.17% 4.25% 6.31% 0.97% +56.62% Industrials
967 BAX Baxter International Inc. $11.26B 21.80 -11.41 10.83 Δ -22.24 1.04% 2.85% -0.01% - 0.96% -22.93% Healthcare
968 DOV Dover Corporation $28.84B 214.15 26.77 18.52 Δ 8.25 12.60% 7.06% 0.56% 2.84% 0.96% +14.55% Industrials
969 TTAM Titan America SA $3.13B 17.00 17.00 13.42 Δ 3.58 16.05% 9.10% 6.85% 43.53% 0.96% +21.06% Basic Materials
970 WINA Winmark Corporation $1.35B 376.66 34.03 31.15 Δ 2.88 284.08% 91.80% 1.87% 1.85% 0.96% +4.35% Consumer Cyclical
971 ALB Albemarle Corporation $15.18B 128.75 -37.54 10.66 Δ -48.20 -2.36% 1.60% -11.10% -39.66% 0.95% +81.57% Basic Materials
972 CMC Commercial Metals Company $7.34B 66.19 14.81 9.56 Δ 5.25 - 5.68% 1.23% 9.17% 0.95% +29.22% Industrials
973 CTVA Corteva, Inc. $56.79B 84.91 45.90 20.70 Δ 25.20 - 4.33% 2.86% 9.94% 0.95% +17.27% Basic Materials
974 FOX Fox Corporation $10.92B 49.50 13.03 8.73 Δ 4.30 - 8.71% 6.40% 6.46% 0.95% -2.54% Communication Services
975 GTX Garrett Motion Inc. $5.93B 31.68 18.53 14.24 Δ 4.29 - 14.09% 2.01% 5.05% 0.95% +182.59% Consumer Cyclical
976 JRVR James River Group Holdings, Inc. $210.38M 4.55 10.83 4.10 Δ 6.73 - 0.61% 4.92% -2.88% 0.95% -16.96% Financial Services
977 BBSI Barrett Business Services, Inc. $944.56M 38.46 25.14 17.89 Δ 7.25 16.66% 4.79% 10.91% 10.03% 0.94% -10.96% Industrials
978 GFF Griffon Corporation $4.17B 90.83 89.05 15.79 Δ 73.26 11.93% 12.51% 4.78% 6.48% 0.94% +17.06% Industrials
979 BABA AI Alibaba Group Holding Limited $269.47B 112.32 17.28 12.20 Δ 5.08 4.16% 2.12% 5.62% 12.49% 0.93% +4.74% Consumer Cyclical
980 EE Excelerate Energy, Inc. $1.23B 38.73 32.55 18.65 Δ 13.90 6.98% 5.56% 23.31% - 0.93% +46.74% Energy
981 HUM Humana Inc. $48.84B 406.77 43.41 25.85 Δ 17.56 8.30% 3.64% 9.51% 1.99% 0.93% +81.41% Healthcare
982 MCRI Monarch Casino & Resort, Inc. $2.23B 125.59 21.29 18.44 Δ 2.85 7.23% 12.71% 8.38% 20.94% 0.93% +45.21% Consumer Cyclical
983 MSFT AI Microsoft Corporation $2.86T 384.93 22.91 19.90 Δ 3.01 26.90% 14.81% 9.48% 10.85% 0.93% -22.86% Technology
984 RL Ralph Lauren Corporation $13.89B 368.97 24.42 18.11 Δ 6.31 19.94% 10.88% 3.11% 5.07% 0.93% +29.05% Consumer Cyclical
985 SPGI S&P Global Inc. $129.91B 438.87 27.79 19.77 Δ 8.02 12.09% 6.92% 4.65% 8.59% 0.93% -11.76% Financial Services
986 TR Tootsie Roll Industries, Inc. $1.64B 38.15 28.68 -19.56 Δ 48.24 8.74% 6.06% 2.32% 4.03% 0.93% +11.34% Consumer Defensive
987 INBK First Internet Bancorp $230.73M 26.47 -6.88 5.61 Δ -12.49 - -0.58% 21.36% - 0.92% -3.62% Financial Services
988 MCO Moody's Corporation $86.42B 494.73 35.52 26.60 Δ 8.92 26.08% 14.82% 7.06% 7.22% 0.92% -0.90% Financial Services
989 PIPR Piper Sandler Companies $5.06B 74.94 18.88 13.34 Δ 5.54 - 16.48% 10.29% 47.35% 0.92% +0.65% Financial Services
990 TT Trane Technologies plc $106.89B 483.55 36.88 28.40 Δ 8.48 26.22% 11.34% 5.06% -1.69% 0.92% +10.87% Industrials
991 WSFS WSFS Financial Corporation $4.04B 77.67 13.84 11.70 Δ 2.14 - 1.45% 4.90% 8.92% 0.92% +33.24% Financial Services
992 CAH Cardinal Health, Inc. $53.89B 230.11 35.08 19.18 Δ 15.90 15.99% 3.60% 5.40% 1.92% 0.91% +43.80% Healthcare
993 ABCB Ameris Bancorp $6.06B 90.11 14.17 12.58 Δ 1.59 - 1.59% 3.83% 5.95% 0.90% +33.21% Financial Services
994 BFH Bread Financial Holdings, Inc. $3.98B 98.49 8.04 7.91 Δ 0.13 2.46% 2.51% -9.93% 5.56% 0.90% +60.92% Financial Services
995 DAL Delta Air Lines, Inc. $56.18B 85.51 12.48 10.61 Δ 1.87 10.84% 4.34% 5.22% - 0.90% +49.29% Industrials
996 GRC The Gorman-Rupp Company $2.11B 80.03 35.73 27.10 Δ 8.63 12.52% 7.40% 6.06% 6.89% 0.90% +117.33% Industrials
997 TSM AI Taiwan Semiconductor Manufacturing Company Limited $2.18T 420.39 36.18 21.53 Δ 14.65 30.20% 17.32% 18.94% 19.57% 0.90% +85.87% Technology
998 ZWS Zurn Elkay Water Solutions Corporation $7.93B 47.51 38.63 24.66 Δ 13.97 11.77% 7.20% 9.78% 47.50% 0.90% +28.41% Industrials
999 DHR Danaher Corporation $140.88B 199.05 38.50 21.52 Δ 16.98 6.12% 4.19% 4.55% 5.54% 0.89% +1.40% Healthcare
1000 NIC Nicolet Bankshares, Inc. $3.50B 164.68 19.35 12.39 Δ 6.96 - 1.09% - 35.03% 0.89% +27.43% Financial Services
1001 PH Parker-Hannifin Corporation $121.62B 964.55 35.59 28.29 Δ 7.30 18.36% 9.54% 2.93% 8.03% 0.89% +36.63% Industrials
1002 WMT Walmart Inc. $904.83B 113.70 40.04 34.60 Δ 5.44 18.21% 6.83% 5.27% 23.30% 0.89% +19.70% Consumer Defensive
1003 FCX Freeport-McMoRan Inc. $89.06B 61.95 32.78 16.02 Δ 16.76 12.50% 7.77% 1.35% -1.26% 0.88% +37.34% Basic Materials
1004 GM General Motors Company $69.31B 76.87 28.05 5.46 Δ 22.59 1.55% 2.69% 1.44% -5.37% 0.88% +45.46% Consumer Cyclical
1005 MBIN Merchants Bancorp $2.23B 48.58 11.85 8.53 Δ 3.32 - 1.17% - 22.66% 0.88% +38.58% Financial Services
1006 VSH AI Vishay Intertechnology, Inc. $5.90B 41.74 - 27.10 - 1.83% 0.87% -4.26% -34.03% 0.87% +144.02% Technology
1007 ODC Oil-Dri Corporation of America $1.06B 103.84 27.18 21.69 Δ 5.49 21.15% 10.50% 5.45% 11.52% 0.86% +76.15% Basic Materials
1008 RRBI Red River Bancshares, Inc. $633.45M 96.20 14.42 12.77 Δ 1.65 - 1.36% - 9.23% 0.86% +51.69% Financial Services
1009 COR Cencora, Inc. $58.81B 302.28 23.18 15.28 Δ 7.90 14.00% 3.49% 9.22% 6.88% 0.85% +2.53% Healthcare
1010 FOXA Fox Corporation $10.95B 54.87 14.44 9.56 Δ 4.88 - 8.71% 6.40% 6.46% 0.85% -1.01% Communication Services
1011 HIFS Hingham Institution for Savings $632.35M 287.79 12.62 25.24 Δ -12.62 - 1.11% 6.90% 13.29% 0.85% +3.89% Financial Services
1012 IRMD IRADIMED CORPORATION $1.17B 91.67 50.09 38.93 Δ 11.16 26.52% 16.17% 16.28% 20.56% 0.85% +60.06% Healthcare
1013 NGS Natural Gas Services Group, Inc. $520.31M 41.30 24.01 18.03 Δ 5.98 6.63% 5.00% 6.00% 3.77% 0.85% +67.35% Energy
1014 TRAK ReposiTrak, Inc. $159.75M 8.79 23.76 22.54 Δ 1.22 12.50% 8.41% 5.45% 34.37% 0.85% -53.23% Technology
1015 NUE Nucor Corporation $53.33B 234.16 23.25 14.14 Δ 9.11 - 6.15% 3.80% 0.95% 0.84% +67.62% Basic Materials
1016 PHM PulteGroup, Inc. $23.73B 124.56 12.06 11.15 Δ 0.91 - 9.96% 6.16% 9.54% 0.84% +11.27% Consumer Cyclical
1017 ALG Alamo Group Inc. $1.99B 163.16 19.52 13.56 Δ 5.96 11.12% 5.77% 1.95% 0.61% 0.83% -26.78% Industrials
1018 KOP Koppers Holdings Inc. $933.32M 48.53 12.87 10.33 Δ 2.54 8.88% 6.51% -1.73% -4.05% 0.83% +45.33% Basic Materials
1019 V Visa Inc. $590.89B 356.02 31.01 23.95 Δ 7.06 37.15% 19.19% 14.33% 13.04% 0.83% +2.38% Financial Services
1020 AEBI Aebi Schmidt Holding AG $934.72M 12.06 109.64 8.93 Δ 100.71 3.43% 2.93% 22.61% -6.75% 0.81% +17.92% Industrials
1021 HCA HCA Healthcare, Inc. $80.66B 363.60 12.52 10.98 Δ 1.54 - 12.34% 6.89% 12.34% 0.81% -3.78% Healthcare
1022 A Agilent Technologies, Inc. $38.18B 135.20 27.09 20.47 Δ 6.62 14.90% 8.61% 0.48% 1.29% 0.79% +13.50% Healthcare
1023 CON Concentra Group Holdings Parent, Inc. $3.95B 30.90 22.23 18.28 Δ 3.95 13.21% 7.98% 7.85% -0.06% 0.79% +54.44% Healthcare
1024 GL Globe Life Inc. $13.90B 178.99 12.38 10.75 Δ 1.63 - 3.31% 3.06% 4.48% 0.79% +49.51% Financial Services
1025 TCBI Texas Capital Bancshares, Inc. $4.45B 101.98 13.73 12.20 Δ 1.53 - 1.10% -37.39% 11.05% 0.79% +16.38% Financial Services
1026 EXPE Expedia Group, Inc. $30.49B 266.28 23.54 11.53 Δ 12.01 24.00% 5.83% 9.95% - 0.78% +46.21% Consumer Cyclical
1027 KKR KKR & Co. Inc. $87.28B 97.21 33.06 13.14 Δ 19.92 - 1.46% 37.54% 6.62% 0.78% -29.82% Financial Services
1028 LYTS LSI Industries Inc. $878.53M 23.93 32.34 17.15 Δ 15.19 11.96% 3.92% 3.78% 20.51% 0.78% +36.92% Technology
1029 NWSA News Corporation $10.02B 27.60 34.94 21.38 Δ 13.56 - 4.11% -0.18% - 0.78% -6.46% Communication Services
1030 OSW OneSpaWorld Holdings Limited $2.69B 26.51 35.35 20.44 Δ 14.91 12.85% 8.27% 9.58% 12.65% 0.78% +24.52% Consumer Cyclical
1031 BBUC Brookfield Business Corporation $6.29B 30.45 -62.14 11.76 Δ -73.90 6.22% 3.38% -21.79% -25.55% 0.77% +1.05% Industrials
1032 ICFI ICF International, Inc. $1.38B 76.35 16.49 9.94 Δ 6.55 8.84% 4.30% 7.05% 9.86% 0.77% -12.40% Industrials
1033 NPK National Presto Industries, Inc. $879.63M 122.75 27.34 141.09 Δ -113.75 9.92% 5.43% 0.32% -3.91% 0.77% +16.98% Industrials
1034 PSMT PriceSmart, Inc. $6.01B 194.56 38.37 27.60 Δ 10.77 15.07% 6.95% 9.40% 8.13% 0.77% +84.48% Consumer Defensive
1035 ATEN A10 Networks, Inc. $2.71B 37.64 61.70 31.90 Δ 29.80 9.50% 5.24% 1.20% -3.51% 0.76% +113.89% Technology
1036 BHE Benchmark Electronics, Inc. $2.97B 82.76 88.04 26.67 Δ 61.37 5.30% 2.87% 0.35% 12.07% 0.76% +111.96% Technology
1037 EVTC EVERTEC, Inc. $1.79B 29.07 13.98 6.69 Δ 7.29 9.52% 5.39% 7.91% 13.44% 0.76% -14.37% Technology
1038 CLMB Climb Global Solutions, Inc. $475.72M 25.58 22.44 14.48 Δ 7.96 23.78% 4.41% 9.79% 13.36% 0.75% -6.09% Technology
1039 FCFS FirstCash Holdings, Inc. $9.21B 210.06 26.32 16.92 Δ 9.40 - 7.83% 10.15% 12.56% 0.75% +61.40% Financial Services
1040 STLD Steel Dynamics, Inc. $33.65B 233.35 25.01 13.04 Δ 11.97 10.32% 6.66% 8.22% 6.30% 0.75% +77.26% Basic Materials
1041 COSO CoastalSouth Bancshares, Inc. $318.82M 26.49 12.04 9.98 Δ 2.06 - 1.15% 6.43% 13.64% 0.74% +25.48% Financial Services
1042 ROST Ross Stores, Inc. $70.87B 220.93 30.86 25.79 Δ 5.07 25.25% 12.16% 7.66% 12.15% 0.74% +69.96% Consumer Cyclical
1043 KLIC AI Kulicke and Soffa Industries, Inc. $5.76B 110.09 106.88 25.99 Δ 80.89 -0.35% 5.43% 6.89% -66.74% 0.73% +212.22% Technology
1044 MAR Marriott International, Inc. $95.77B 363.19 38.07 27.77 Δ 10.30 21.62% 9.77% 4.21% 8.06% 0.73% +29.53% Consumer Cyclical
1045 SMBK SmartFinancial, Inc. $796.62M 46.59 14.93 11.09 Δ 3.84 - 0.93% 5.95% 5.38% 0.73% +30.49% Financial Services
1046 URI United Rentals, Inc. $66.77B 1,065.83 27.26 19.74 Δ 7.52 15.26% 8.86% 11.41% 5.82% 0.73% +32.91% Industrials
1047 CAT Caterpillar Inc. $429.89B 933.34 46.39 31.01 Δ 15.38 17.98% 8.52% 2.29% 5.24% 0.72% +132.51% Industrials
1048 ESOA Energy Services of America Corporation $303.03M 16.24 29.53 18.45 Δ 11.08 3.60% 5.71% 4.31% -3.32% 0.72% +66.21% Industrials
1049 IMKTA Ingles Markets, Incorporated $1.31B 89.95 16.38 19.14 Δ -2.76 5.20% 3.61% 3.14% 7.09% 0.72% +34.94% Consumer Defensive
1050 ITIC Investors Title Company $526.22M 278.72 13.87 7.24 Δ 6.63 - 8.66% -3.64% 12.06% 0.72% +41.48% Financial Services
1051 MA Mastercard Incorporated $471.86B 538.02 31.10 23.62 Δ 7.48 60.19% 25.03% 12.29% 19.21% 0.71% -2.11% Financial Services
1052 MATX Matson, Inc. $6.38B 210.95 15.64 13.92 Δ 1.72 12.17% 6.28% 3.48% 7.41% 0.71% +87.79% Industrials
1053 WLFC Willis Lease Finance Corporation $1.73B 216.98 13.14 12.07 Δ 1.07 7.71% 5.08% 32.78% 175.52% 0.71% +55.65% Industrials
1054 GWW W.W. Grainger, Inc. $64.73B 1,371.07 36.82 27.18 Δ 9.64 35.53% 19.51% 5.88% 8.10% 0.70% +30.77% Industrials
1055 VMC Vulcan Materials Company $37.87B 291.89 34.63 26.95 Δ 7.68 10.35% 6.06% 2.77% 23.21% 0.69% +8.92% Basic Materials
1056 AVGO AI Broadcom Inc. $1.85T 389.11 64.85 20.11 Δ 44.74 16.70% 12.12% 24.38% 26.24% 0.68% +42.22% Technology
1057 EGBN Eagle Bancorp, Inc. $819.11M 26.86 -6.50 10.25 Δ -16.75 - -1.18% - - 0.68% +25.45% Financial Services
1058 GPI Group 1 Automotive, Inc. $3.56B 299.18 11.37 6.30 Δ 5.07 10.57% 6.00% 10.56% 14.98% 0.68% -37.65% Consumer Cyclical
1059 NWS News Corporation $5.66B 31.15 39.43 24.13 Δ 15.30 - 4.11% -0.18% - 0.68% -9.23% Communication Services
1060 BGC BGC Group, Inc. $4.04B 10.94 29.57 6.77 Δ 22.80 - 3.29% 4.75% 13.64% 0.67% +5.97% Financial Services
1061 CEG AI Constellation Energy Corporation $91.57B 256.43 22.26 18.84 Δ 3.42 6.26% 4.20% 5.18% 31.53% 0.67% -20.92% Utilities
1062 SHEN Shenandoah Telecommunications Company $673.82M 12.18 -14.67 -12.06 Δ -2.61 -1.29% -0.81% 5.12% - 0.67% -19.02% Communication Services
1063 WT WisdomTree, Inc. $2.99B 19.53 47.63 14.99 Δ 32.64 14.03% 9.18% 17.89% 29.13% 0.67% +54.32% Financial Services
1064 PJT PJT Partners Inc. $4.25B 164.70 23.87 19.25 Δ 4.62 - 21.94% 12.87% 8.91% 0.66% -8.09% Financial Services
1065 APH Amphenol Corporation $194.83B 158.37 45.51 27.85 Δ 17.66 20.28% 13.45% 22.31% 30.94% 0.65% +59.12% Technology
1066 CBK Commercial Bancgroup, Inc. $449.54M 32.81 11.80 10.42 Δ 1.38 - 1.65% - 18.42% 0.65% +37.71% Financial Services
1067 ESQ Esquire Financial Holdings, Inc. $1.03B 119.28 20.08 13.79 Δ 6.29 - 2.36% - 45.78% 0.65% +23.07% Financial Services
1068 SEI Solaris Energy Infrastructure, Inc. $4.06B 69.50 82.74 27.36 Δ 55.38 6.84% 4.98% 52.19% -10.32% 0.65% +120.77% Energy
1069 DELL AI Dell Technologies Inc. $148.64B 457.54 36.49 21.63 Δ 14.86 21.44% 7.00% 6.96% 12.80% 0.64% +269.62% Technology
1070 GHC Graham Holdings Company $3.94B 1,178.12 17.42 17.58 Δ -0.16 3.35% 3.20% 0.91% 9.18% 0.64% +27.95% Consumer Defensive
1071 ADEA Adeia Inc. $3.08B 27.94 25.63 18.05 Δ 7.58 18.89% 12.67% 0.34% 45.85% 0.63% +94.50% Technology
1072 GLW Corning Incorporated $161.49B 187.64 90.21 44.82 Δ 45.39 8.99% 5.38% 5.60% -1.64% 0.63% +257.10% Technology
1073 TPL Texas Pacific Land Corporation $28.69B 415.93 57.13 5.69 Δ 51.44 38.19% 25.19% 14.99% 12.60% 0.63% +21.00% Energy
1074 CVLG Covenant Logistics Group, Inc. $951.08M 46.46 516.22 17.70 Δ 498.52 2.45% 1.35% 4.65% -3.11% 0.62% +87.82% Industrials
1075 JBHT J.B. Hunt Transport Services, Inc. $26.49B 280.87 43.55 30.60 Δ 12.95 14.44% 6.90% 7.57% 7.07% 0.62% +86.32% Industrials
1076 LLY Eli Lilly and Company $1.03T 1,152.54 41.02 25.91 Δ 15.11 - 20.74% 7.20% 11.41% 0.61% +45.21% Healthcare
1077 MLAB Mesa Laboratories, Inc. $522.88M 94.64 78.21 7.71 Δ 70.50 5.06% 2.69% 14.15% 0.55% 0.61% +15.09% Technology
1078 MTX Minerals Technologies Inc. $2.24B 72.32 14.21 10.14 Δ 4.07 1.63% 5.30% 3.73% - 0.61% +24.09% Basic Materials
1079 REGN Regeneron Pharmaceuticals, Inc. $67.59B 656.12 16.02 12.20 Δ 3.82 10.23% 6.13% 29.18% 16.32% 0.61% +15.62% Healthcare
1080 VST AI Vistra Corp. $53.42B 158.43 26.49 14.66 Δ 11.83 7.08% 6.02% 8.92% 58.98% 0.61% -18.25% Utilities
1081 AME AMETEK, Inc. $53.62B 233.96 35.39 26.55 Δ 8.84 14.21% 8.01% 6.36% 8.48% 0.60% +32.00% Industrials
1082 COST Costco Wholesale Corporation $408.78B 921.75 46.46 40.74 Δ 5.72 25.96% 8.67% 8.16% 11.45% 0.60% -5.50% Consumer Defensive
1083 GFS AI GLOBALFOUNDRIES Inc. $34.76B 63.39 39.62 25.17 Δ 14.45 5.39% 3.09% -5.74% -15.14% 0.59% +57.33% Technology
1084 TECH Bio-Techne Corporation $11.15B 71.23 101.76 34.65 Δ 67.11 4.29% 7.45% 10.04% -2.23% 0.59% +36.19% Healthcare
1085 WTS Watts Water Technologies, Inc. $9.62B 350.00 31.96 26.63 Δ 5.33 19.28% 11.49% 7.20% 10.66% 0.59% +39.53% Industrials
1086 BCPC Balchem Corporation $5.17B 160.86 33.03 26.33 Δ 6.70 13.86% 8.09% 10.19% 11.59% 0.58% +1.76% Basic Materials
1087 MLM Martin Marietta Materials, Inc. $34.45B 573.75 36.02 25.04 Δ 10.98 8.07% 4.78% 6.48% 11.59% 0.58% +2.12% Basic Materials
1088 HLIO Helios Technologies, Inc. $2.68B 81.06 44.54 24.12 Δ 20.42 4.81% 4.37% 14.41% 22.61% 0.57% +137.43% Industrials
1089 GE GE Aerospace $369.06B 353.73 43.94 40.72 Δ 3.22 11.89% 4.85% 16.32% 195.89% 0.56% +35.52% Industrials
1090 VLTO Veralto Corporation $22.57B 91.90 23.69 19.74 Δ 3.95 22.51% 11.32% 4.16% 3.62% 0.56% -9.60% Industrials
1091 FSS Federal Signal Corporation $7.22B 118.33 26.89 21.35 Δ 5.54 16.15% 11.21% 6.89% 15.95% 0.55% +10.20% Industrials
1092 NPB Northpointe Bancshares, Inc. $644.26M 18.63 8.32 6.24 Δ 2.08 - 1.33% - 57.18% 0.55% +24.09% Financial Services
1093 UHS Universal Health Services, Inc. $7.69B 144.23 6.02 5.69 Δ 0.33 16.23% 8.35% 8.80% 12.55% 0.55% -21.04% Healthcare
1094 UNF UniFirst Corporation $4.00B 275.26 37.25 34.89 Δ 2.36 7.42% 3.94% 5.92% 4.52% 0.55% +55.61% Industrials
1095 WRB W. R. Berkley Corporation $26.80B 71.98 15.25 15.04 Δ 0.21 - 3.67% 9.28% 8.81% 0.55% +6.51% Financial Services
1096 AZZ AZZ Inc. $4.50B 149.99 14.28 19.66 Δ -5.38 13.36% 7.62% 10.74% 15.25% 0.53% +41.42% Industrials
1097 AAMI Acadian Asset Management Inc. $2.87B 80.62 34.31 13.77 Δ 20.54 39.88% 12.66% 10.55% -7.35% 0.51% +104.13% Financial Services
1098 HSTM HealthStream, Inc. $830.30M 28.42 42.42 32.86 Δ 9.56 5.11% 2.84% 10.98% 1.72% 0.51% +5.45% Healthcare
1099 MPWR AI Monolithic Power Systems, Inc. $67.62B 1,376.41 98.03 45.64 Δ 52.39 19.05% 12.13% 19.33% 22.51% 0.51% +92.20% Technology
1100 HTLD Heartland Express, Inc. $1.17B 15.04 -27.35 29.57 Δ -56.92 -5.31% -2.76% 1.50% - 0.50% +67.51% Industrials
1101 KAI Kadant Inc. $3.54B 300.07 34.25 22.93 Δ 11.32 10.60% 6.78% 10.10% 13.06% 0.50% -6.91% Industrials
1102 ALCO Alico, Inc. $303.70M 40.95 -16.58 -22.75 Δ 6.17 -92.49% 22.40% -21.74% -427.52% 0.49% +26.20% Consumer Defensive
1103 NVDA AI NVIDIA Corporation $5.13T 211.80 32.43 16.64 Δ 15.79 74.66% 52.73% 24.64% 32.12% 0.49% +29.26% Technology
1104 HWKN Hawkins, Inc. $2.88B 138.24 35.36 25.62 Δ 9.74 13.76% 8.19% 9.41% 7.99% 0.48% -12.09% Basic Materials
1105 IDT IDT Corporation $1.45B 62.38 19.13 15.79 Δ 3.34 30.14% 11.12% -0.66% 7.74% 0.48% +6.30% Communication Services
1106 ASML AI ASML Holding N.V. $684.36B 1,775.64 59.55 37.00 Δ 22.55 42.97% 15.66% 15.55% 19.55% 0.47% +121.83% Technology
1107 ENS EnerSys $7.35B 201.23 26.17 14.98 Δ 11.19 13.33% 7.32% 3.85% 7.80% 0.47% +131.91% Industrials
1108 ODFL Old Dominion Freight Line, Inc. $47.54B 228.61 47.73 36.18 Δ 11.55 27.30% 15.03% 6.99% 17.23% 0.47% +38.84% Industrials
1109 WAB Westinghouse Air Brake Technologies Corporation $44.46B 262.02 37.01 21.56 Δ 15.45 10.74% 6.04% 10.12% 22.72% 0.47% +23.64% Industrials
1110 FRD Friedman Industries, Incorporated $248.76M 35.00 12.68 7.45 Δ 5.23 1.61% 5.98% 9.08% -2.07% 0.46% +116.44% Basic Materials
1111 SXI Standex International Corporation $3.78B 311.88 37.94 31.31 Δ 6.63 6.68% 6.12% 2.22% 3.31% 0.45% +94.08% Industrials
1112 ATMU Atmus Filtration Technologies Inc. $4.25B 52.07 20.42 16.20 Δ 4.22 26.99% 12.22% 5.23% 5.08% 0.44% +38.39% Consumer Cyclical
1113 DHC Diversified Healthcare Trust $2.16B 8.91 -6.70 -18.76 Δ 12.06 - -0.53% 10.81% - 0.44% +130.97% Real Estate
1114 CNR Core Natural Resources, Inc. $4.36B 86.47 -72.66 12.73 Δ -85.39 -4.08% -1.36% 12.68% - 0.43% +15.42% Energy
1115 PGC Peapack-Gladstone Financial Corporation $813.63M 45.92 18.59 9.62 Δ 8.97 - 0.59% 11.00% 10.90% 0.43% +52.80% Financial Services
1116 IIIN Insteel Industries Inc. $576.58M 29.67 13.67 12.84 Δ 0.83 - 7.81% 6.68% 16.63% 0.42% -22.03% Industrials
1117 MCK McKesson Corporation $96.57B 803.37 20.91 15.96 Δ 4.95 42.17% 4.99% 8.44% 9.68% 0.42% +12.73% Healthcare
1118 QCRH QCR Holdings, Inc. $1.59B 96.07 12.07 11.05 Δ 1.02 - 1.44% 15.67% 30.62% 0.42% +30.39% Financial Services
1119 CSW CSW Industrials, Inc. $4.78B 292.85 43.77 22.20 Δ 21.57 8.06% 6.28% 13.71% 13.42% 0.41% -3.35% Industrials
1120 FTV Fortive Corporation $18.50B 60.68 35.69 18.84 Δ 16.85 7.59% 3.25% -3.76% -4.45% 0.40% +16.83% Technology
1121 TDS Telephone and Data Systems, Inc. $3.64B 34.26 20.15 18.92 Δ 1.23 -1.22% -0.18% -8.76% - 0.40% -13.47% Communication Services
1122 TMO Thermo Fisher Scientific Inc. $198.47B 534.07 29.33 19.60 Δ 9.73 8.14% 5.00% 8.81% 12.95% 0.40% +26.02% Healthcare
1123 IBKR Interactive Brokers Group, Inc. $42.59B 95.61 41.03 33.23 Δ 7.80 - 2.42% 0.66% 14.88% 0.39% +61.16% Financial Services
1124 TRS TriMas Corporation $1.46B 40.64 116.11 18.73 Δ 97.38 3.17% 0.76% -1.15% - 0.39% +34.71% Consumer Cyclical
1125 NPO Enpro Inc. $7.02B 332.14 162.81 32.05 Δ 130.76 6.53% 4.34% 2.22% -25.59% 0.38% +63.68% Industrials
1126 TILE Interface, Inc. $1.91B 32.94 15.39 14.12 Δ 1.27 16.92% 8.90% 3.03% 15.92% 0.38% +54.85% Consumer Cyclical
1127 TPB Turning Point Brands, Inc. $1.55B 79.99 27.39 27.97 Δ -0.58 13.84% 8.27% 7.91% 8.78% 0.38% +7.57% Consumer Defensive
1128 AAPL Apple Inc. $4.62T 314.86 38.07 32.82 Δ 5.25 68.72% 26.23% 1.81% 3.92% 0.37% +51.52% Technology
1129 AMAT AI Applied Materials, Inc. $472.96B 595.70 56.15 36.64 Δ 19.51 33.71% 14.86% 3.23% 2.36% 0.37% +204.45% Technology
1130 EA Electronic Arts Inc. $51.82B 206.65 58.71 21.52 Δ 37.19 12.45% 5.70% 4.08% 1.17% 0.37% +39.40% Communication Services
1131 GVA Granite Construction Incorporated $5.29B 120.93 32.95 15.97 Δ 16.98 11.08% 5.24% 3.01% 2.71% 0.37% +29.90% Industrials
1132 META AI Meta Platforms, Inc. $1.45T 661.04 24.04 18.24 Δ 5.80 25.69% 16.40% 36.10% 35.91% 0.37% -8.01% Communication Services
1133 KLAC AI KLA Corporation $300.93B 230.37 65.08 45.64 Δ 19.44 6.44% 21.28% 13.88% 27.26% 0.36% +151.51% Technology
1134 ORA Ormat Technologies, Inc. $6.60B 107.36 51.86 43.43 Δ 8.43 3.07% 2.03% 6.41% 6.34% 0.35% +23.18% Utilities
1135 CVI CVR Energy, Inc. $3.38B 33.58 -79.95 20.54 Δ -100.49 6.07% 2.67% 5.30% -5.73% 0.33% +8.72% Energy
1136 HCC Warrior Met Coal, Inc. $4.40B 83.33 31.93 11.29 Δ 20.64 1.81% 3.27% 17.90% - 0.33% +64.75% Basic Materials
1137 JBTM JBT Marel Corporation $7.13B 136.85 42.11 14.63 Δ 27.48 2.88% 2.92% 8.25% - 0.32% +6.28% Industrials
1138 PRIM Primoris Services Corporation $4.81B 88.63 19.57 14.95 Δ 4.62 16.08% 5.51% 15.97% 15.91% 0.32% +1.77% Industrials
1139 STX Seagate Technology Holdings plc $196.94B 878.31 83.49 32.64 Δ 50.85 35.16% 24.66% -0.47% 7.91% 0.32% +494.02% Technology
1140 TPC Tutor Perini Corporation $4.09B 77.77 53.27 12.91 Δ 40.36 12.08% 2.97% 1.21% -3.28% 0.32% +57.47% Industrials
1141 AGX Argan, Inc. $8.70B 620.74 54.64 38.21 Δ 16.43 28.35% 9.37% 27.57% 60.86% 0.31% +182.85% Industrials
1142 LOB Live Oak Bancshares, Inc. $1.92B 41.54 15.85 10.06 Δ 5.79 - 0.87% - 11.70% 0.31% +28.28% Financial Services
1143 CLB Core Laboratories Inc. $532.42M 11.55 18.93 13.51 Δ 5.42 11.81% 4.86% 2.87% 10.74% 0.30% -6.89% Energy
1144 ARCB ArcBest Corporation $3.37B 151.58 62.12 17.91 Δ 44.21 5.32% 2.08% -7.27% -41.37% 0.28% +87.08% Industrials
1145 LRCX AI Lam Research Corporation $432.82B 346.10 65.55 43.44 Δ 22.11 39.93% 22.78% 19.16% 18.93% 0.28% +249.34% Technology
1146 RVTY Revvity, Inc. $12.41B 111.21 53.47 19.11 Δ 34.36 3.29% 2.27% 3.24% 3.87% 0.28% +13.26% Healthcare
1147 ENTG AI Entegris, Inc. $21.42B 140.63 81.29 30.42 Δ 50.87 5.80% 3.75% 13.90% -4.40% 0.27% +63.69% Technology
1148 FLG Flagstar Bank, National Association $6.24B 14.96 -71.24 9.61 Δ -80.85 - -0.06% -36.09% - 0.27% +30.60% Financial Services
1149 CASY Casey's General Stores, Inc. $31.31B 847.19 44.22 36.25 Δ 7.97 - 7.54% 7.95% 12.28% 0.26% +62.52% Consumer Cyclical
1150 DBRG DigitalBridge Group, Inc. $2.91B 15.73 29.68 39.32 Δ -9.64 - -0.56% -51.02% 48.03% 0.25% +46.33% Financial Services
1151 CTS CTS Corporation $1.72B 60.05 25.66 20.78 Δ 4.88 12.84% 7.25% 0.54% 12.56% 0.24% +44.94% Technology
1152 GOOGL AI Alphabet Inc. $2.11T 359.51 27.46 24.83 Δ 2.63 26.20% 14.64% 17.96% 21.53% 0.24% +98.58% Communication Services
1153 WST West Pharmaceutical Services, Inc. $25.27B 357.65 47.69 37.42 Δ 10.27 16.28% 11.21% 2.12% -5.55% 0.24% +59.84% Healthcare
1154 CDE Coeur Mining, Inc. $16.49B 16.00 12.90 7.74 Δ 5.16 16.43% 6.71% 17.72% 86.99% 0.23% +69.86% Basic Materials
1155 L Loews Corporation $23.55B 114.47 14.56 39.47 Δ -24.91 - 1.90% 8.96% 26.58% 0.23% +25.23% Financial Services
1156 MTRN Materion Corporation $5.27B 253.27 69.20 34.04 Δ 35.16 7.31% 4.04% 0.56% -4.53% 0.23% +199.52% Basic Materials
1157 PEB Pebblebrook Hotel Trust $2.12B 18.70 -23.67 -52.43 Δ 28.76 - 1.17% 6.80% - 0.22% +70.21% Real Estate
1158 PLPC Preformed Line Products Company $1.69B 345.92 49.77 54.22 Δ -4.45 10.23% 5.53% 6.16% 2.61% 0.22% +105.14% Industrials
1159 USLM United States Lime & Minerals, Inc. $2.98B 104.01 22.91 16.83 Δ 6.08 24.01% 14.79% 7.49% 15.35% 0.22% +2.90% Basic Materials
1160 GEHC GE HealthCare Technologies Inc. $28.05B 61.66 14.79 11.50 Δ 3.29 9.94% 5.17% 4.07% -1.87% 0.21% -17.03% Healthcare
1161 GEV AI GE Vernova Inc. $286.46B 1,066.01 31.13 43.49 Δ -12.36 6.30% 2.38% 8.68% - 0.21% +92.58% Industrials
1162 Q AI Qnity Electronics, Inc. $29.66B 141.67 45.70 29.78 Δ 15.92 - 5.06% 8.54% 16.83% 0.21% +48.94% Technology
1163 ALNT Allient Inc. $1.51B 88.78 62.08 28.67 Δ 33.41 8.25% 5.15% 3.30% 8.21% 0.18% +127.55% Technology
1164 HWM Howmet Aerospace Inc. $110.74B 276.78 64.22 46.00 Δ 18.22 21.75% 11.92% -6.79% -2.91% 0.18% +50.50% Industrials
1165 BDC Belden Inc. $4.08B 104.76 17.64 11.78 Δ 5.86 11.09% 6.05% 1.84% - 0.17% -14.15% Technology
1166 ENSG The Ensign Group, Inc. $9.74B 166.73 27.15 20.02 Δ 7.13 9.31% 5.41% 13.15% 15.89% 0.17% +14.56% Healthcare
1167 HLT Hilton Worldwide Holdings Inc. $74.18B 325.86 49.83 31.28 Δ 18.55 21.95% 10.86% 2.03% 11.55% 0.17% +17.18% Consumer Cyclical
1168 VSEC VSE Corporation $5.85B 208.60 71.93 36.46 Δ 35.47 5.00% 3.40% 18.44% -25.28% 0.17% +61.36% Industrials
1169 EME EMCOR Group, Inc. $34.43B 774.74 26.01 23.72 Δ 2.29 38.71% 11.75% 5.55% 12.11% 0.16% +39.39% Industrials
1170 ACA Arcosa, Inc. $7.12B 145.08 32.46 28.53 Δ 3.93 7.81% 4.00% 8.74% -5.35% 0.15% +62.71% Industrials
1171 FIX Comfort Systems USA, Inc. $62.46B 1,775.10 51.38 33.21 Δ 18.17 43.14% 17.27% 13.93% 23.66% 0.14% +227.67% Industrials
1172 TER AI Teradyne, Inc. $55.30B 353.23 65.41 37.17 Δ 28.24 21.19% 15.83% 6.42% -6.71% 0.13% +271.91% Technology
1173 POWL AI Powell Industries, Inc. $8.53B 234.25 45.66 34.08 Δ 11.58 32.88% 13.04% 4.75% 9.93% 0.12% +234.66% Industrials
1174 AEIS Advanced Energy Industries, Inc. $12.21B 305.20 63.32 25.91 Δ 37.41 11.73% 5.96% -0.85% -9.42% 0.11% +116.10% Industrials
1175 EPAC Enerpac Tool Group Corp. $1.76B 34.15 21.48 15.67 Δ 5.81 19.32% 10.62% -3.65% 12.69% 0.11% -8.53% Industrials
1176 IR Ingersoll Rand Inc. $30.92B 79.01 53.39 20.55 Δ 32.84 7.05% 5.12% 13.66% - 0.11% -9.76% Industrials
1177 WDC Western Digital Corporation $194.17B 563.32 33.71 30.84 Δ 2.87 17.32% 14.65% -20.28% 6.38% 0.11% +743.94% Technology
1178 BELFB Bel Fuse Inc. $3.38B 279.39 67.49 27.58 Δ 39.91 13.74% 7.21% 8.51% 36.90% 0.10% +175.33% Technology
1179 ESE ESCO Technologies Inc. $8.43B 325.46 64.07 35.48 Δ 28.59 9.10% 5.78% 3.69% 12.31% 0.10% +68.86% Technology
1180 HL Hecla Mining Company $10.40B 15.50 22.46 13.00 Δ 9.46 16.12% 13.81% 25.56% 320.46% 0.10% +153.17% Basic Materials
1181 BELFA Bel Fuse Inc. $496.79M 234.86 56.59 25.36 Δ 31.23 13.74% 7.21% 8.51% 36.90% 0.09% +156.80% Technology
1182 MRVL AI Marvell Technology, Inc. $194.76B 222.44 76.44 36.04 Δ 40.40 6.94% 3.81% 20.33% 9.09% 0.09% +207.43% Technology
1183 TXT Textron Inc. $15.56B 89.50 17.08 12.27 Δ 4.81 - 4.56% 0.32% 3.83% 0.09% +4.91% Industrials
1184 GPGI GPGI, Inc. $4.25B 14.65 -6.34 11.45 Δ -17.79 -2.76% -2.54% -20.85% - 0.08% +2.13% Industrials
1185 JBL Jabil Inc. $34.48B 326.82 43.99 22.14 Δ 21.85 24.48% 5.35% 6.03% 64.83% 0.08% +48.40% Technology
1186 VRT AI Vertiv Holdings Co $116.61B 303.58 76.47 34.28 Δ 42.19 23.42% 11.15% 21.59% 159.13% 0.08% +143.68% Industrials
1187 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% - Consumer Cyclical
1188 MU AI Micron Technology, Inc. $1.11T 983.12 46.37 8.76 Δ 37.61 13.69% 20.14% 13.68% 26.02% 0.06% +730.20% Technology
1189 PWR Quanta Services, Inc. $99.18B 660.94 90.66 40.15 Δ 50.51 9.94% 4.71% 15.72% 12.44% 0.06% +70.93% Industrials
1190 FFIC Flushing Financial Corporation $525.20M 15.50 15.50 10.13 Δ 5.37 - 0.39% -1.97% -37.40% 0.06% - Financial Services
1191 SILA Sila Realty Trust Inc $1.68B 30.36 44.65 28.42 Δ 16.23 5.47% 2.44% 3.15% 171.71% 0.05% - Real Estate
1192 KW Kennedy-Wilson Holdings, Inc. $1.52B 10.92 91.00 -10.21 Δ 101.21 4.56% 0.83% -2.47% -63.12% 0.04% - Real Estate
1193 SCVL Shoe Station Group Inc. $417.04M 15.36 11.38 8.33 Δ 3.05 6.78% 3.39% -3.47% -21.98% 0.04% - Consumer Cyclical
1194 CVGW Calavo Growers Inc $466.33M 26.09 28.99 18.64 Δ 10.35 11.07% 4.00% -5.55% 138.93% 0.03% - Consumer Defensive
1195 NBN Northeast Bank $1.11B 129.66 11.10 8.94 Δ 2.16 - 2.12% 24.97% 25.55% 0.03% +31.28% Financial Services
1196 CSGS CSG Systems International, Inc. $2.30B 80.69 36.02 15.01 Δ 21.01 13.39% 6.91% 3.93% 8.24% 0.02% +0.00% Technology
1197 BK Bank of New York Mellon Corp $104.27B 151.92 18.85 15.76 Δ 3.09 - 1.20% 6.87% 29.48% 0.02% - Financial Services
1198 SEM Select Medical Holdings Corp $2.05B 16.51 15.43 11.01 Δ 4.42 6.91% 3.43% 5.76% -2.75% 0.02% - Healthcare
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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 1198 matching companies, refreshed every trading day.
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