πŸ‡ΊπŸ‡Έ US Stock Screener ← Switch market β˜… Elite Club ⚑ StockGenie AI

High Earnings Growth

Top earnings growth (YoY).

693 matches
#TickerName Charts Mkt Cap Price P/E Fwd P/E Ξ” P/E ROCE % ROA % Rev CAGR 5Y % Profit CAGR 5Y % Div % 1Y % Sector
1 NLOP Net Lease Office Properties $177.92M 12.01 - - - -41.11% 2.67% -8.69% -340.20% - +19.88% Real Estate
2 AFL Aflac Incorporated $57.22B 112.42 12.85 14.78 Ξ” -1.94 - 3.09% -3.23% -6.20% 2.17% +10.89% Financial Services
3 EGAN eGain Corporation $203.95M 7.43 5.50 17.41 Ξ” -11.91 5.16% 5.15% -1.29% 473.78% - +37.85% Technology
4 TSN Tyson Foods, Inc. $21.49B 61.02 48.05 13.38 Ξ” 34.66 4.02% 2.47% 0.72% -47.30% 3.34% +11.50% Consumer Defensive
5 FIS Fidelity National Information Services, Inc. $22.22B 42.99 8.33 6.28 Ξ” 2.05 6.06% 4.07% 3.18% 34.09% 3.91% -44.61% Technology
6 FIVN Five9, Inc. $1.86B 24.35 37.46 6.45 Ξ” 31.01 3.74% 2.18% 13.84% 47.21% - -8.15% Technology
7 SPB Spectrum Brands Holdings, Inc. $1.83B 78.69 15.37 14.36 Ξ” 1.01 4.10% 2.87% -3.57% 11.74% 2.39% +40.18% Consumer Defensive
8 CALY Callaway Golf Company $2.77B 15.40 59.23 20.36 Ξ” 38.87 5.08% 1.94% -19.81% -119.74% - +142.90% Consumer Cyclical
9 AKR Acadia Realty Trust $3.19B 22.02 71.03 80.07 Ξ” -9.04 1.22% 0.99% 7.98% 49.22% 3.63% +19.12% Real Estate
10 LFST LifeStance Health Group, Inc. $2.94B 7.71 128.50 19.51 Ξ” 108.99 1.23% 1.35% 18.33% 34.83% - +29.80% Healthcare
11 GEV AI GE Vernova Inc. $260.21B 968.32 28.33 39.50 Ξ” -11.17 6.30% 2.38% 8.68% 92.84% 0.21% +105.18% Industrials
12 MLM Martin Marietta Materials, Inc. $34.93B 581.64 36.49 25.31 Ξ” 11.18 8.17% 4.78% -0.06% 9.46% 0.57% +6.80% Basic Materials
13 CTO CTO Realty Growth, Inc. $694.25M 20.55 102.75 186.82 Ξ” -84.07 2.94% 1.74% 22.02% 47.30% 7.40% +21.36% Real Estate
14 SHO Sunstone Hotel Investors, Inc. $2.02B 10.82 98.36 55.49 Ξ” 42.88 2.53% 1.79% 1.73% -34.47% 3.33% +25.64% Real Estate
15 NAT Nordic American Tankers Limited $1.09B 5.15 85.83 16.09 Ξ” 69.74 5.67% 4.84% -4.92% -6.68% 17.09% +105.62% Energy
16 AES The AES Corporation $10.46B 14.67 7.64 6.14 Ξ” 1.50 3.42% 2.71% -1.02% 88.89% 4.80% +52.87% Utilities
17 GLNG Golar LNG Limited $5.06B 49.75 37.13 56.53 Ξ” -19.41 2.95% 2.69% 13.70% -56.31% 2.01% +23.75% Energy
18 CARE Carter Bankshares, Inc. $606.66M 27.30 5.61 10.64 Ξ” -5.03 - 2.28% -2.11% -14.47% 1.47% +66.59% Financial Services
19 LPG Dorian LPG Ltd. $1.72B 40.22 8.86 13.36 Ξ” -4.50 12.94% 7.20% 7.30% 3.94% 7.33% +105.80% Energy
20 IRM Iron Mountain Incorporated $38.16B 128.25 139.40 47.97 Ξ” 91.44 5.72% 4.56% 10.58% -36.21% 2.69% +34.48% Real Estate
21 PFG Principal Financial Group, Inc. $22.38B 103.62 14.87 10.15 Ξ” 4.72 - 0.38% -3.77% -37.08% 3.17% +38.18% Financial Services
22 ARES Ares Management Corporation $42.39B 128.50 59.22 17.55 Ξ” 41.66 9.72% 2.54% 22.39% 46.55% 4.20% -19.75% Financial Services
23 EGBN Eagle Bancorp, Inc. $832.23M 27.29 - 10.42 - - -1.18% -5.68% -65.99% 0.71% +56.86% Financial Services
24 MU AI Micron Technology, Inc. $1.10T 971.00 45.87 9.22 Ξ” 36.64 14.20% 20.14% 6.71% -0.57% 0.06% +930.41% Technology
25 PRAA PRA Group, Inc. $582.03M 15.26 - 5.40 - -2.86% 4.98% 7.88% -120.16% - +7.54% Financial Services
26 VISN Vistance Networks, Inc. $2.82B 12.48 18.35 8.88 Ξ” 9.47 0.40% 1.35% -30.64% 92.49% - +323.44% Technology
27 VICR Vicor Corporation $15.26B 334.84 112.36 60.33 Ξ” 52.03 11.36% 5.15% 4.29% 67.02% - +667.28% Technology
28 BLKB Blackbaud, Inc. $1.41B 30.69 10.40 5.23 Ξ” 5.17 16.53% 6.67% 2.17% 117.73% - -50.68% Technology
29 AVAH Aveanna Healthcare Holdings Inc. $1.56B 7.17 5.93 9.61 Ξ” -3.68 15.19% 10.17% 10.82% 44.66% - +34.52% Healthcare
30 DCO Ducommun Incorporated $2.30B 152.22 - 29.94 - -3.43% 4.55% 5.00% -76.58% - +116.28% Industrials
31 CUBI Customers Bancorp, Inc. $2.54B 75.14 9.46 7.84 Ξ” 1.62 - 1.16% 8.16% -0.58% - +47.45% Financial Services
32 APOG Apogee Enterprises, Inc. $820.09M 38.41 15.24 10.38 Ξ” 4.86 10.69% 6.31% -0.84% -19.59% 2.81% +2.18% Industrials
33 NL NLI Holdings, Inc. $296.82M 6.07 - 7.06 - -11.42% 3.28% -1.68% -70.59% 6.59% -8.59% Industrials
34 PENG Penguin Solutions, Inc. $2.93B 55.83 79.76 21.30 Ξ” 58.46 4.92% 3.04% -0.65% -27.47% - +214.36% Technology
35 MKC McCormick & Company, Incorporated $12.74B 47.37 7.77 14.15 Ξ” -6.39 10.94% 4.88% 2.51% 5.00% 4.05% -32.97% Consumer Defensive
36 EQT EQT Corporation $34.36B 54.93 10.42 11.81 Ξ” -1.39 8.69% 7.73% -11.72% 4.81% 1.20% +0.80% Energy
37 WDC Western Digital Corporation $183.10B 531.21 31.75 30.16 Ξ” 1.59 17.32% 14.65% -20.28% 6.38% 0.11% +934.92% Technology
38 INSW International Seaways, Inc. $3.82B 77.19 7.03 12.02 Ξ” -4.99 13.68% 10.52% -0.83% -7.27% 5.05% +125.62% Energy
39 QTWO Q2 Holdings, Inc. $2.96B 47.35 41.90 14.66 Ξ” 27.24 8.21% 3.17% 12.00% 49.24% - -45.90% Technology
40 WD Walker & Dunlop, Inc. $1.72B 50.19 24.85 8.62 Ξ” 16.22 2.18% 1.35% -0.65% -35.61% 5.42% -23.15% Financial Services
41 CSTM Constellium SE $4.66B 34.26 10.95 11.64 Ξ” -0.69 14.45% 6.97% -0.33% -3.94% - +182.21% Basic Materials
42 F Ford Motor Company $69.49B 17.44 - 9.50 - -6.02% 0.34% 5.82% -104.34% 3.44% +76.30% Consumer Cyclical
43 CRDO AI Credo Technology Group Holding Ltd $43.54B 236.03 129.69 42.79 Ξ” 86.89 5.42% 14.68% 60.08% 111.77% - +287.19% Technology
44 RBB RBB Bancorp $405.11M 23.92 10.14 9.78 Ξ” 0.36 - 1.00% -6.90% -20.81% 2.67% +45.41% Financial Services
45 MOV Movado Group, Inc. $850.86M 38.28 27.15 20.92 Ξ” 6.23 5.54% 3.18% -3.38% -33.52% 4.18% +153.71% Consumer Cyclical
46 STC Stewart Information Services Corporation $1.98B 64.98 14.47 8.60 Ξ” 5.87 - 4.44% -1.63% -10.71% 3.23% +11.02% Financial Services
47 VTEX VTEX $642.73M 3.77 29.00 13.56 Ξ” 15.44 7.00% 4.25% 15.13% 46.06% - -41.19% Technology
48 FNWD Finward Bancorp $142.80M 32.98 14.40 10.59 Ξ” 3.81 - 0.49% -5.66% -18.76% 1.47% +14.13% Financial Services
49 AMRX Amneal Pharmaceuticals, Inc. $4.20B 13.17 35.59 11.47 Ξ” 24.12 13.60% 8.35% 10.92% 51.81% - +79.92% Healthcare
50 NUE Nucor Corporation $56.94B 250.00 24.80 15.84 Ξ” 8.96 8.80% 6.15% -7.84% -38.80% 0.90% +132.07% Basic Materials
51 DOC Healthpeak Properties, Inc. $13.20B 19.15 59.84 141.85 Ξ” -82.01 3.18% 1.50% 11.05% -47.76% 6.37% +17.94% Real Estate
52 RELY Remitly Global, Inc. $4.22B 20.02 41.71 12.14 Ξ” 29.57 7.48% 6.56% 35.76% 53.19% - -6.27% Technology
53 BTSG BrightSpring Health Services, Inc. $11.96B 61.68 80.10 29.19 Ξ” 50.91 6.47% 4.07% 18.69% 151.23% - +159.05% Healthcare
54 TRV The Travelers Companies, Inc. $62.07B 291.89 8.71 10.22 Ξ” -1.51 - 4.44% 9.79% 30.31% 1.71% +7.55% Financial Services
55 RNGR Ranger Energy Services, Inc. $367.35M 15.46 24.54 11.76 Ξ” 12.78 5.43% 2.51% -3.50% -6.61% 1.55% +47.63% Energy
56 NSIT Insight Enterprises, Inc. $3.21B 106.38 18.93 8.86 Ξ” 10.07 7.80% 3.29% -7.53% -17.54% - -18.41% Technology
57 LC LendingClub Corporation $2.06B 17.85 11.90 7.76 Ξ” 4.14 - 1.27% -5.60% -22.34% - +77.97% Financial Services
58 ALL The Allstate Corporation $53.05B 206.09 4.56 7.84 Ξ” -3.28 - 7.52% 9.84% 299.22% 2.10% +0.13% Financial Services
59 LSCC AI Lattice Semiconductor Corporation $20.15B 147.08 980.53 63.64 Ξ” 916.90 2.00% 2.48% -7.46% -74.17% - +227.28% Technology
60 FET Forum Energy Technologies, Inc. $567.70M 50.22 - 18.23 - 6.39% 1.70% 4.18% -120.08% - +240.71% Energy
61 MTUS Metallus Inc. $817.99M 19.65 280.71 14.66 Ξ” 266.05 0.45% 0.50% -4.50% -33.95% - +55.58% Basic Materials
62 SMCI AI Super Micro Computer, Inc. $27.72B 46.09 24.26 14.31 Ξ” 9.94 10.89% 5.52% 61.71% 54.36% - +15.17% Technology
63 PLTR AI Palantir Technologies Inc. $375.28B 156.54 175.89 75.47 Ξ” 100.42 18.30% 14.70% 32.92% 178.28% - +18.79% Technology
64 ASC Ardmore Shipping Corporation $656.11M 16.08 12.18 18.81 Ξ” -6.63 6.12% 5.54% -11.38% -33.34% 4.04% +73.36% Industrials
65 OXY Occidental Petroleum Corporation $56.33B 56.63 76.53 14.55 Ξ” 61.98 5.53% 2.50% -16.16% -44.08% 1.84% +41.87% Energy
66 TER AI Teradyne, Inc. $58.60B 374.31 69.45 39.35 Ξ” 30.10 21.51% 15.83% 0.37% -8.17% 0.14% +377.44% Technology
67 JOUT Johnson Outdoors Inc. $468.85M 44.76 - 19.05 - -1.81% 0.67% -7.29% -59.03% 2.95% +69.94% Consumer Cyclical
68 AGL agilon health, inc. $1.54B 92.28 - - - - -14.16% 35.43% -89.09% - +66.27% Healthcare
69 TGTX TG Therapeutics, Inc. $5.81B 37.94 13.27 13.09 Ξ” 0.17 14.75% 8.55% 504.86% 99.93% - +8.06% Healthcare
70 DV AI DoubleVerify Holdings, Inc. $1.49B 9.70 29.39 7.68 Ξ” 21.72 6.85% 4.43% 18.26% 5.39% - -29.40% Communication Services
71 VCYT Veracyte, Inc. $3.70B 46.34 42.91 24.33 Ξ” 18.58 5.07% 3.76% 20.37% 93.83% - +74.15% Healthcare
72 DELL AI Dell Technologies Inc. $273.41B 420.91 48.55 21.20 Ξ” 27.35 23.21% 6.94% 3.53% 34.46% 0.60% +284.03% Technology
73 DHT DHT Holdings, Inc. $2.63B 16.32 7.92 9.38 Ξ” -1.46 14.76% 13.21% 3.15% 50.83% 15.69% +49.71% Energy
74 STNE StoneCo Ltd. $2.78B 11.45 4.19 4.53 Ξ” -0.33 22.34% 7.09% 14.12% 182.20% - +1.54% Technology
75 PLAB Photronics, Inc. $1.91B 32.35 11.94 15.98 Ξ” -4.04 13.54% 6.79% 0.99% 4.72% - +93.60% Technology
76 PTC PTC Inc. $16.02B 138.73 13.33 16.06 Ξ” -2.73 18.54% 11.99% 12.32% 32.85% - -17.58% Technology
77 GEN Gen Digital Inc. $15.54B 25.79 16.43 7.85 Ξ” 8.58 16.15% 8.67% 14.66% -9.98% 1.94% -7.68% Technology
78 ELA Envela Corporation $661.03M 25.46 31.82 72.74 Ξ” -40.92 24.73% 17.46% 9.68% -2.38% - +338.97% Consumer Cyclical
79 STNG Scorpio Tankers Inc. $3.71B 74.51 7.36 11.62 Ξ” -4.26 10.83% 6.26% -15.64% -18.55% 2.42% +91.42% Energy
80 WDAY AI Workday, Inc. $36.11B 146.19 45.40 11.59 Ξ” 33.81 9.60% 4.34% 15.40% 96.28% - -40.98% Technology
81 BKNG Booking Holdings Inc. $129.74B 167.43 22.09 13.61 Ξ” 8.48 67.24% 22.26% 16.35% 20.90% 0.96% -23.58% Consumer Cyclical
82 IDR Idaho Strategic Resources, Inc. $618.32M 39.11 27.54 49.51 Ξ” -21.96 15.15% 15.72% 64.19% 253.09% - +195.62% Basic Materials
83 ADSK AI Autodesk, Inc. $48.84B 231.31 33.77 16.25 Ξ” 17.52 26.94% 11.33% 12.92% 10.95% - -21.89% Technology
84 EG Everest Group, Ltd. $12.82B 324.03 6.60 5.35 Ξ” 1.25 - 2.66% 12.84% 38.64% 2.47% -6.09% Financial Services
85 FORM FormFactor, Inc. $9.71B 124.59 143.21 45.83 Ξ” 97.38 6.35% 5.15% 1.62% 2.33% - +317.39% Technology
86 SPOT AI Spotify Technology S.A. $102.33B 497.68 33.22 26.88 Ξ” 6.34 25.25% 11.64% 13.59% 204.81% - -25.18% Communication Services
87 AMSC AI American Superconductor Corporation $2.43B 50.94 16.70 34.73 Ξ” -18.03 2.60% 2.10% 41.32% 160.62% - +80.25% Industrials
88 SLQT SelectQuote, Inc. $176.35M 1.00 - 5.26 - 12.34% 2.96% 25.95% 38.66% - -53.92% Financial Services
89 PKE Park Aerospace Corp. $635.04M 31.87 56.91 62.49 Ξ” -5.58 8.33% 6.38% 5.00% -11.42% 1.57% +139.38% Industrials
90 NVDA AI NVIDIA Corporation $5.11T 211.14 32.38 16.68 Ξ” 15.70 81.14% 52.73% 100.05% 201.80% 0.47% +56.29% Technology
91 RUN Sunrun Inc. $3.99B 16.72 7.85 20.63 Ξ” -12.78 -0.84% -0.16% 8.40% 37.42% - +123.23% Technology
92 AGYS Agilysys, Inc. $2.44B 86.56 63.18 27.15 Ξ” 36.04 13.72% 4.68% 17.26% 38.56% - -18.27% Technology
93 XOMA XOMA Royalty Corporation $523.09M 41.71 26.57 19.49 Ξ” 7.08 18.85% 1.28% 24.60% 95.14% - +68.46% Healthcare
94 SENEA Seneca Foods Corporation $989.43M 143.79 11.08 - - 9.17% 6.67% 4.46% -3.73% - +52.47% Consumer Defensive
95 SXI Standex International Corporation $3.36B 277.01 33.66 27.81 Ξ” 5.85 6.62% 6.12% 2.42% -3.16% 0.49% +84.57% Industrials
96 EXTR Extreme Networks, Inc. $3.47B 26.51 220.92 20.37 Ξ” 200.55 3.57% 4.19% 0.82% -38.96% - +69.18% Technology
97 FXNC First National Corporation $251.29M 27.80 11.98 11.05 Ξ” 0.93 - 1.02% 15.57% 1.77% 2.45% +41.24% Financial Services
98 HLLY Holley Inc. $328.61M 2.73 13.65 7.00 Ξ” 6.65 7.67% 4.52% -3.77% -36.18% - +40.72% Consumer Cyclical
99 NGVT Ingevity Corporation $2.36B 67.82 - 11.78 - -4.96% 9.03% -11.21% -59.66% - +63.94% Basic Materials
100 PACS PACS Group, Inc. $5.80B 36.65 23.65 14.60 Ξ” 9.04 6.83% 4.27% 29.74% 8.37% - +269.46% Healthcare
101 GABC German American Bancorp, Inc. $1.64B 43.72 12.01 10.97 Ξ” 1.04 - 1.61% 11.65% 11.24% 2.74% +17.76% Financial Services
102 LOB Live Oak Bancshares, Inc. $1.76B 38.03 14.52 9.21 Ξ” 5.31 - 0.87% 11.37% -15.62% 0.32% +39.05% Financial Services
103 PGY Pagaya Technologies Ltd. $1.25B 15.12 13.50 4.27 Ξ” 9.23 15.82% 12.65% 22.54% 42.31% - -8.03% Technology
104 KALU Kaiser Aluminum Corporation $2.97B 182.04 19.87 16.75 Ξ” 3.12 9.36% 5.75% -0.54% 160.02% 1.69% +157.81% Basic Materials
105 ALH Alliance Laundry Holdings Inc. $5.01B 25.25 35.56 17.24 Ξ” 18.32 12.01% 6.98% - - - +1.73% Consumer Cyclical
106 NTST NETSTREIT Corp. $1.98B 20.26 168.83 49.41 Ξ” 119.42 2.10% 1.82% 25.16% -5.27% 4.34% +31.98% Real Estate
107 NWPX NWPX Infrastructure, Inc. $1.14B 117.96 27.76 24.20 Ξ” 3.56 9.57% 5.81% 4.75% 4.37% - +205.28% Basic Materials
108 UMBF UMB Financial Corporation $9.97B 131.26 11.48 9.58 Ξ” 1.90 - 1.24% 21.36% 17.62% 1.31% +29.16% Financial Services
109 UE Urban Edge Properties $2.98B 22.44 26.40 43.71 Ξ” -17.31 5.35% 2.65% 5.85% 26.53% 3.74% +28.50% Real Estate
110 BNL Broadstone Net Lease, Inc. $4.05B 20.23 31.12 25.62 Ξ” 5.50 3.49% 2.74% 3.68% -7.55% 5.76% +35.97% Real Estate
111 QCOM AI QUALCOMM Incorporated $264.58B 251.02 27.02 23.60 Ξ” 3.42 32.51% 12.69% 0.06% -24.62% 1.47% +76.93% Technology
112 LLY Eli Lilly and Company $985.37B 1,105.00 39.21 24.85 Ξ” 14.36 38.44% 20.74% 31.69% 48.96% 0.63% +50.86% Healthcare
113 BMBL Bumble Inc. $480.82M 3.17 - 3.16 - -63.60% 8.50% 2.24% -256.39% - -43.59% Communication Services
114 HLIO Helios Technologies, Inc. $2.75B 83.09 45.65 24.73 Ξ” 20.93 6.15% 4.37% -1.78% -21.06% 0.58% +176.09% Industrials
115 SIG Signet Jewelers Limited $3.47B 87.39 12.34 7.23 Ξ” 5.12 12.68% 5.75% -4.58% -7.89% 1.60% +32.29% Consumer Cyclical
116 INBK First Internet Bancorp $210.59M 24.16 - 5.12 - - -0.58% -1.22% -66.32% 0.99% +0.70% Financial Services
117 NEE NextEra Energy, Inc. $181.47B 87.01 22.08 19.78 Ξ” 2.30 4.79% 2.41% 9.36% 18.12% 2.86% +26.84% Utilities
118 PODD Insulet Corporation $10.04B 144.94 33.86 17.92 Ξ” 15.95 15.89% 9.74% 27.54% 277.32% - -55.41% Healthcare
119 WELL Welltower Inc. $144.95B 205.33 99.19 61.11 Ξ” 38.08 0.26% 0.74% 22.69% 87.90% 1.44% +35.14% Real Estate
120 ASIC Ategrity Specialty Insurance Company Holdings $937.12M 19.51 10.16 7.80 Ξ” 2.36 - 5.65% 32.61% 171.38% - -20.95% Financial Services
121 ATRO Astronics Corporation $3.12B 87.00 71.31 27.84 Ξ” 43.47 13.51% 9.01% 17.25% 60.71% - +178.67% Industrials
122 FCX Freeport-McMoRan Inc. $94.46B 65.71 34.77 17.62 Ξ” 17.14 12.93% 7.77% 4.39% -14.02% 0.91% +72.75% Basic Materials
123 FRT Federal Realty Investment Trust $10.40B 119.63 20.73 38.58 Ξ” -17.84 6.92% 3.32% 5.98% 2.17% 3.78% +31.04% Real Estate
124 DLX Deluxe Corporation $1.11B 24.29 10.75 5.91 Ξ” 4.84 10.86% 6.84% -1.59% 7.88% 4.94% +79.69% Industrials
125 UDR UDR, Inc. $13.67B 36.90 25.10 61.50 Ξ” -36.40 6.21% 2.21% 4.11% 63.18% 4.69% -6.67% Real Estate
126 TIPT Tiptree Inc. $685.28M 18.24 - - - - -0.45% -33.36% 174.04% 1.32% -16.67% Financial Services
127 AEIS Advanced Energy Industries, Inc. $12.09B 302.18 62.82 25.70 Ξ” 37.12 11.73% 5.96% -0.85% -9.42% 0.13% +163.73% Industrials
128 ALAB AI Astera Labs, Inc. $58.77B 342.85 233.23 81.50 Ξ” 151.73 12.40% 10.07% 120.18% 158.53% - +277.92% Technology
129 EVER AI EverQuote, Inc. $680.58M 19.24 6.57 6.04 Ξ” 0.53 27.77% 16.65% 19.67% 168.92% - -16.53% Communication Services
130 TRGP Targa Resources Corp. $54.75B 255.07 26.05 20.73 Ξ” 5.33 15.41% 9.13% -6.65% 17.17% 1.67% +65.20% Energy
131 STRL Sterling Infrastructure, Inc. $26.42B 860.84 76.93 37.61 Ξ” 39.32 26.58% 12.91% 12.06% 39.68% - +357.87% Industrials
132 ECBK ECB Bancorp, Inc. $159.85M 18.26 15.74 - - - 0.62% 9.90% 41.90% - +12.37% Financial Services
133 VVX V2X, Inc. $2.60B 83.13 29.69 12.25 Ξ” 17.44 8.09% 4.05% 15.72% 214.50% - +83.59% Industrials
134 GLW Corning Incorporated $155.91B 181.16 87.10 42.89 Ξ” 44.20 9.42% 5.38% 3.27% 6.64% 0.62% +269.31% Technology
135 VRT AI Vertiv Holdings Co $121.27B 315.71 79.32 35.73 Ξ” 43.60 23.42% 11.15% 21.59% 159.13% 0.08% +192.88% Industrials
136 HAL Halliburton Company $32.46B 38.85 21.46 13.35 Ξ” 8.11 10.93% 7.38% 3.01% -6.55% 1.75% +103.75% Energy
137 LINC Lincoln Educational Services Corporation $1.47B 46.32 64.33 42.34 Ξ” 21.99 7.52% 4.40% 14.16% 16.54% - +94.62% Consumer Defensive
138 BKR Baker Hughes Company $63.37B 63.88 20.41 22.96 Ξ” -2.55 11.48% 5.01% 9.44% 176.87% 1.44% +75.39% Energy
139 NXPI NXP Semiconductors N.V. $81.13B 321.35 30.66 18.23 Ξ” 12.43 13.80% 8.14% -2.42% -10.16% 1.26% +71.34% Technology
140 KTOS Kratos Defense & Security Solutions, Inc. $12.03B 64.13 377.24 59.72 Ξ” 317.51 2.02% 0.57% 14.45% 53.21% - +73.84% Industrials
141 APEI American Public Education, Inc. $907.45M 49.47 25.63 13.24 Ξ” 12.39 10.74% 6.90% 2.29% 42.48% - +67.98% Consumer Defensive
142 TECH Bio-Techne Corporation $8.09B 51.68 73.83 25.06 Ξ” 48.76 4.49% 7.45% 3.33% -35.38% 0.62% +7.42% Healthcare
143 COR Cencora, Inc. $52.41B 269.36 20.66 13.62 Ξ” 7.04 14.27% 3.49% 10.43% -2.92% 0.89% -6.81% Healthcare
144 SEI Solaris Energy Infrastructure, Inc. $6.50B 69.54 82.79 26.18 Ξ” 56.60 5.08% 4.98% 24.81% 12.55% 0.69% +156.75% Energy
145 EFC Ellington Financial Inc. $1.70B 13.57 8.38 6.96 Ξ” 1.42 - 1.19% 92.23% 103.22% 11.50% +21.60% Real Estate
146 OSCR Oscar Health, Inc. $6.70B 22.23 - 15.89 - - 0.09% 41.55% 8.97% - +61.09% Healthcare
147 DG Dollar General Corporation $24.36B 110.61 16.15 13.92 Ξ” 2.23 9.15% 4.55% 4.13% -14.46% 2.13% +16.05% Consumer Defensive
148 PRLB Proto Labs, Inc. $1.80B 75.76 71.47 34.32 Ξ” 37.15 3.76% 2.72% 2.96% 40.18% - +104.87% Industrials
149 PRGS AI Progress Software Corporation $1.38B 32.83 16.84 5.42 Ξ” 11.42 9.25% 4.66% 17.55% -8.37% - -46.67% Technology
150 SNEX StoneX Group Inc. $8.98B 113.35 20.24 17.05 Ξ” 3.20 8.26% 1.09% 26.09% 13.88% - +100.83% Financial Services
151 REX REX American Resources Corporation $1.54B 46.76 16.64 20.60 Ξ” -3.96 8.46% 6.00% -8.71% 44.14% - +121.93% Basic Materials
152 WNEB Western New England Bancorp, Inc. $267.06M 13.27 15.08 11.95 Ξ” 3.12 - 0.65% -2.73% -16.14% 2.11% +43.77% Financial Services
153 AROW Arrow Financial Corporation $606.62M 36.70 11.88 8.53 Ξ” 3.34 - 1.14% 3.53% -3.43% 3.27% +47.87% Financial Services
154 KTB Kontoor Brands, Inc. $3.97B 71.77 14.47 11.21 Ξ” 3.26 17.87% 15.70% 6.21% -2.51% 2.95% +7.64% Consumer Cyclical
155 APP AI AppLovin Corporation $205.96B 613.09 53.17 27.96 Ξ” 25.21 70.20% 44.24% 24.84% 609.87% - +56.00% Communication Services
156 NESR National Energy Services Reunited Corp. $2.46B 24.35 38.05 10.21 Ξ” 27.84 7.45% 3.80% 13.34% 80.13% - +294.01% Energy
157 GSHD Goosehead Insurance, Inc. $1.22B 34.39 30.17 12.57 Ξ” 17.59 - 13.49% 20.38% 266.57% - -68.23% Financial Services
158 EYE National Vision Holdings, Inc. $1.34B 16.75 29.39 14.16 Ξ” 15.23 3.74% 2.63% 6.51% -11.09% - -15.45% Consumer Cyclical
159 ADI Analog Devices, Inc. $201.58B 413.85 61.77 28.01 Ξ” 33.76 6.77% 5.49% -2.84% -6.21% 1.06% +96.36% Technology
160 ASTH Astrana Health, Inc. $1.87B 37.62 61.67 11.03 Ξ” 50.64 5.58% 3.56% 40.62% -20.75% - +51.75% Healthcare
161 ROAD Construction Partners, Inc. $6.58B 116.47 50.64 30.16 Ξ” 20.48 8.46% 6.21% 29.28% 68.23% - +11.25% Industrials
162 CBFV CB Financial Services, Inc. $181.80M 35.84 27.57 10.98 Ξ” 16.59 - 0.45% -6.00% -24.18% 2.98% +26.92% Financial Services
163 SBFG SB Financial Group, Inc. $135.54M 21.60 8.47 8.37 Ξ” 0.10 - 1.04% 4.39% 3.73% 2.96% +14.62% Financial Services
164 STX Seagate Technology Holdings plc $197.28B 879.80 83.31 33.27 Ξ” 50.05 34.12% 24.66% -7.94% -3.78% 0.34% +655.59% Technology
165 GEO The GEO Group, Inc. $3.03B 22.67 11.51 13.63 Ξ” -2.12 14.23% 5.46% 3.45% 13.97% - -16.47% Industrials
166 MO Altria Group, Inc. $116.19B 69.58 14.53 11.85 Ξ” 2.68 40.85% 27.61% -0.89% 6.42% 6.09% +22.88% Consumer Defensive
167 MYRG MYR Group Inc. $7.24B 465.06 51.27 35.29 Ξ” 15.99 19.67% 7.56% 6.73% 12.40% - +196.50% Industrials
168 HST Host Hotels & Resorts, Inc. $15.94B 22.98 15.63 22.98 Ξ” -7.35 9.06% 4.21% 7.61% 6.52% 3.48% +56.62% Real Estate
169 PBI Pitney Bowes Inc. $2.18B 16.10 15.48 9.20 Ξ” 6.28 18.13% 7.68% -8.65% 57.64% 2.48% +61.31% Industrials
170 WSBF Waterstone Financial, Inc. $334.16M 18.51 11.22 18.33 Ξ” -7.11 - 1.33% -4.15% 10.65% 3.67% +48.96% Financial Services
171 DAVE Dave Inc. $3.59B 282.56 18.12 13.68 Ξ” 4.45 46.88% 32.00% 39.34% 83.98% - +40.70% Technology
172 DDOG AI Datadog, Inc. $88.05B 247.35 618.38 86.91 Ξ” 531.47 2.73% -0.22% 26.95% 104.93% - +109.83% Technology
173 MCB Metropolitan Bank Holding Corp. $1.11B 89.52 11.07 7.56 Ξ” 3.50 - 1.05% 5.87% 6.16% 1.12% +39.73% Financial Services
174 TNK Teekay Tankers Ltd. $2.44B 70.35 5.71 8.71 Ξ” -2.99 16.62% 8.60% -6.86% 14.26% 1.42% +63.25% Energy
175 ADEA Adeia Inc. $2.95B 26.71 24.51 17.26 Ξ” 7.26 18.89% 12.67% 0.34% 45.85% 0.75% +110.41% Technology
176 BSX Boston Scientific Corporation $71.81B 48.31 20.21 12.92 Ξ” 7.29 9.77% 6.07% 16.54% 60.72% - -54.10% Healthcare
177 ECPG Encore Capital Group, Inc. $1.71B 79.93 6.23 5.99 Ξ” 0.24 12.07% 8.17% 8.15% 9.70% - +110.90% Financial Services
178 HBB Hamilton Beach Brands Holding Company $274.98M 20.30 9.76 12.69 Ξ” -2.93 13.25% 6.23% -1.81% 1.54% 2.39% +13.59% Consumer Cyclical
179 SRBK SR Bancorp, Inc. $139.70M 18.79 32.40 22.91 Ξ” 9.48 - 0.42% 35.99% 40.02% 1.06% +48.64% Financial Services
180 TTI TETRA Technologies, Inc. $1.39B 10.23 170.50 25.79 Ξ” 144.71 8.44% 5.20% 4.48% -27.36% - +281.72% Industrials
181 RLGT Radiant Logistics, Inc. $397.60M 8.49 25.73 15.72 Ξ” 10.01 7.23% 2.38% -14.80% -27.01% - +42.93% Industrials
182 HAS Hasbro, Inc. $12.19B 86.17 - 13.40 - 1.67% 11.94% -7.06% -86.14% 3.25% +32.43% Consumer Cyclical
183 CBRE CBRE Group, Inc. $36.61B 125.04 28.55 14.12 Ξ” 14.43 6.97% 2.72% 9.57% -6.31% - +0.02% Real Estate
184 GDOT Green Dot Corporation $729.48M 12.87 - 7.71 - 3.10% -1.15% 12.80% -84.66% - +39.29% Financial Services
185 WY Weyerhaeuser Company $17.67B 24.51 43.77 35.16 Ξ” 8.60 3.48% 0.72% -12.15% -44.35% 3.43% -2.89% Real Estate
186 JBL Jabil Inc. $38.46B 364.56 49.00 24.99 Ξ” 24.01 21.52% 5.35% -3.80% -12.95% 0.09% +117.27% Technology
187 TK Teekay Corporation Ltd. $998.03M 11.47 10.15 26.67 Ξ” -16.52 15.74% - -7.25% 7.76% - +66.90% Energy
188 NUTX Nutex Health Inc. $888.45M 129.11 9.44 6.35 Ξ” 3.09 35.10% 28.59% 58.62% 38.89% - -23.03% Healthcare
189 ROOT Root, Inc. $823.92M 52.06 15.40 17.07 Ξ” -1.67 - 3.02% 69.63% 37.85% - -60.26% Financial Services
190 NODK NI Holdings, Inc. $286.33M 13.98 - - - - -0.54% 2.10% 26.80% - +5.27% Financial Services
191 ACGL Arch Capital Group Ltd. $31.21B 89.34 6.87 9.02 Ξ” -2.15 - 4.57% 26.14% 43.91% - -6.00% Financial Services
192 OPLN OPENLANE, Inc. $4.04B 38.10 - 23.14 - 9.92% 4.40% 8.15% -9.68% - +66.16% Consumer Cyclical
193 RPC Ridgepost Capital, Inc $906.47M 8.28 39.43 6.85 Ξ” 32.58 7.50% 6.35% 14.45% -12.60% 1.93% -22.49% Financial Services
194 HSY The Hershey Company $39.36B 194.03 36.13 19.56 Ξ” 16.57 13.41% 7.84% 3.92% -18.72% 2.99% +24.36% Consumer Defensive
195 STLD Steel Dynamics, Inc. $37.52B 260.15 27.85 15.29 Ξ” 12.56 10.93% 6.66% -6.53% -32.54% 0.81% +114.24% Basic Materials
196 DXCM DexCom, Inc. $28.45B 73.74 31.65 24.04 Ξ” 7.61 26.37% 9.65% 17.01% 34.83% - -14.06% Healthcare
197 ITIC Investors Title Company $443.21M 234.75 11.68 - - - 8.66% -1.21% 13.75% 0.78% +4.38% Financial Services
198 AIZ Assurant, Inc. $12.33B 248.87 12.76 11.08 Ξ” 1.68 - 2.44% 7.93% 46.67% 1.41% +24.53% Financial Services
199 AMD AI Advanced Micro Devices, Inc. $841.55B 516.10 172.61 39.82 Ξ” 132.78 6.33% 3.65% 13.64% 48.64% - +366.09% Technology
200 INOD AI Innodata Inc. $3.43B 104.98 93.73 52.33 Ξ” 41.40 33.77% 18.06% 47.14% 123.21% - +165.97% Technology
201 MNSB MainStreet Bancshares, Inc. $162.91M 22.89 11.50 9.46 Ξ” 2.04 - 0.78% -0.90% -16.35% 1.75% +23.39% Financial Services
202 PAYS Paysign, Inc. $406.43M 7.27 42.76 16.65 Ξ” 26.12 12.29% 2.70% 29.20% 94.41% - +63.37% Technology
203 NFLX AI Netflix, Inc. $362.21B 86.02 27.75 22.38 Ξ” 5.36 30.26% 15.40% 12.64% 34.71% - -28.75% Communication Services
204 ANIP ANI Pharmaceuticals, Inc. $1.78B 78.51 20.08 7.40 Ξ” 12.68 9.97% 4.97% 40.81% 87.85% - +33.70% Healthcare
205 PGC Peapack-Gladstone Financial Corporation $766.32M 43.25 17.51 9.06 Ξ” 8.45 - 0.59% 5.13% -20.49% 0.46% +58.77% Financial Services
206 EA Electronic Arts Inc. $50.58B 201.72 57.47 21.01 Ξ” 36.46 13.21% 5.70% 0.47% 3.41% 0.38% +40.85% Communication Services
207 NOC Northrop Grumman Corporation $80.06B 563.68 17.67 18.70 Ξ” -1.03 15.29% 7.36% 4.65% -5.12% 1.67% +18.15% Industrials
208 UAL United Airlines Holdings, Inc. $37.26B 114.80 10.27 8.07 Ξ” 2.19 10.88% 4.14% 9.53% 65.70% - +44.51% Industrials
209 GOOD Gladstone Commercial Corporation $615.69M 12.61 70.06 76.42 Ξ” -6.37 5.22% 3.29% 2.69% 21.30% 9.52% -3.01% Real Estate
210 INCY Incyte Corporation $19.33B 96.74 13.66 10.67 Ξ” 3.00 30.63% 13.89% 14.84% 55.73% - +48.69% Healthcare
211 KMT Kennametal Inc. $2.50B 32.80 18.43 8.42 Ξ” 10.01 7.39% 5.04% -0.76% -13.65% 2.44% +56.65% Industrials
212 PSTL Postal Realty Trust, Inc. $808.90M 23.04 44.31 42.39 Ξ” 1.92 4.76% 3.12% 21.57% 54.27% 4.25% +76.37% Real Estate
213 SFST Southern First Bancshares, Inc. $546.22M 57.77 13.56 8.78 Ξ” 4.78 - 0.79% 3.15% 1.41% - +60.16% Financial Services
214 SFNC Simmons First National Corporation $3.11B 21.45 - 9.78 - - -1.40% -52.48% -85.01% 4.01% +19.49% Financial Services
215 GOOGL AI Alphabet Inc. $4.61T 380.34 28.99 26.25 Ξ” 2.74 32.40% 14.64% 12.51% 30.14% 0.23% +122.23% Communication Services
216 INDV Indivior Pharmaceuticals, Inc. $4.26B 36.02 18.47 9.19 Ξ” 9.28 98.95% 22.65% 11.20% 192.42% - +180.09% Healthcare
217 TILE Interface, Inc. $1.72B 29.60 13.83 12.69 Ξ” 1.14 16.13% 8.90% 2.23% 81.06% 0.41% +47.73% Consumer Cyclical
218 WHG Westwood Holdings Group, Inc. $156.17M 16.46 19.83 - - 3.92% 1.55% 12.49% 84.17% 3.65% +15.41% Financial Services
219 ICE Intercontinental Exchange, Inc. $83.61B 147.85 21.49 16.77 Ξ” 4.72 9.76% 2.11% 9.47% 31.86% 1.41% -16.80% Financial Services
220 CMCL Caledonia Mining Corporation Plc $458.88M 23.76 7.47 4.65 Ξ” 2.82 31.31% 15.52% 23.50% 70.00% 2.36% +39.78% Basic Materials
221 CB Chubb Limited $120.91B 311.73 11.03 10.66 Ξ” 0.37 - 3.36% 11.56% 25.26% 1.31% +5.55% Financial Services
222 GHM Graham Corporation $1.11B 100.14 74.18 50.32 Ξ” 23.86 11.87% 3.79% 19.56% 79.80% - +153.97% Industrials
223 NEM Newmont Corporation $117.23B 109.81 14.24 9.61 Ξ” 4.63 22.51% 14.89% 23.91% 583.84% 0.95% +110.50% Basic Materials
224 NC NACCO Industries, Inc. $381.55M 50.60 17.69 - - 3.19% -3.58% 4.67% -38.12% 2.08% +43.40% Energy
225 AMT American Tower Corporation $87.10B 186.96 30.11 27.07 Ξ” 3.03 7.82% 4.91% 3.34% 12.73% 3.73% -9.69% Real Estate
226 CCNE CNB Financial Corporation $908.72M 30.67 10.69 8.03 Ξ” 2.65 - 1.10% 8.05% 1.53% 2.41% +44.41% Financial Services
227 BMRC Bank of Marin Bancorp $418.34M 25.84 - 10.79 - - -0.83% -40.63% -58.86% 3.87% +26.14% Financial Services
228 LNTH Lantheus Holdings, Inc. $6.47B 99.30 23.70 15.58 Ξ” 8.12 17.61% 8.15% 18.13% 102.64% - +31.42% Healthcare
229 SHOO Steven Madden, Ltd. $3.17B 43.44 40.98 16.21 Ξ” 24.77 6.48% 8.19% 6.09% -40.87% 1.93% +80.87% Consumer Cyclical
230 DRH DiamondRock Hospitality Company $2.26B 10.99 23.89 19.98 Ξ” 3.91 6.11% 3.46% 3.81% -2.47% 3.27% +50.18% Real Estate
231 IMAX IMAX Corporation $2.18B 39.68 59.22 20.34 Ξ” 38.88 10.33% 6.26% 10.89% 84.32% - +42.48% Communication Services
232 AMZN AI Amazon.com, Inc. $2.91T 270.64 31.65 27.44 Ξ” 4.21 16.60% 6.84% 11.73% 984.47% - +32.01% Consumer Cyclical
233 ATLO Ames National Corporation $254.56M 28.74 11.88 10.19 Ξ” 1.68 - 1.00% 2.03% -0.46% 3.34% +69.86% Financial Services
234 TPR Tapestry, Inc. $29.39B 145.46 44.48 18.86 Ξ” 25.63 6.00% 16.44% 1.60% -40.19% 1.10% +87.86% Consumer Cyclical
235 LVS Las Vegas Sands Corp. $33.51B 50.57 18.66 13.74 Ξ” 4.92 16.72% 9.90% 46.86% -3.88% 2.18% +25.32% Consumer Cyclical
236 YUM Yum! Brands, Inc. $40.78B 147.95 23.86 19.74 Ξ” 4.13 38.59% 23.30% 6.28% 5.57% 2.03% +4.76% Consumer Cyclical
237 WLDN Willdan Group, Inc. $1.37B 90.84 24.42 17.14 Ξ” 7.28 11.96% 5.65% 16.67% 240.71% - +68.07% Industrials
238 UFCS United Fire Group, Inc. $1.14B 44.33 8.94 9.79 Ξ” -0.85 - 2.96% 11.99% 98.85% 1.80% +58.23% Financial Services
239 HWM Howmet Aerospace Inc. $103.33B 258.25 59.92 42.92 Ξ” 17.00 21.16% 11.92% 13.37% 47.60% 0.19% +52.35% Industrials
240 ALRS Alerus Financial Corporation $718.18M 28.58 27.22 10.62 Ξ” 16.59 - 0.51% 1.88% -24.18% 2.98% +41.16% Financial Services
241 PGNY Progyny, Inc. $2.00B 25.56 33.19 11.58 Ξ” 21.61 15.79% 9.12% 17.87% 24.45% - +18.88% Healthcare
242 HG Hamilton Insurance Group, Ltd. $2.94B 29.61 4.86 6.30 Ξ” -1.44 - 6.03% 32.23% 229.48% - +45.61% Financial Services
243 GNRC Generac Holdings Inc. $16.36B 277.91 86.85 25.05 Ξ” 61.80 6.19% 3.79% -2.67% -23.06% - +127.55% Industrials
244 TCBI Texas Capital Bancshares, Inc. $4.34B 99.49 13.39 11.91 Ξ” 1.48 - 1.10% 8.74% -0.22% 0.80% +38.78% Financial Services
245 FICO Fair Isaac Corporation $29.00B 1,250.59 39.69 23.09 Ξ” 16.60 91.89% 36.92% 13.07% 20.40% - -27.56% Technology
246 RM Regional Management Corp. $338.49M 36.76 7.46 4.99 Ξ” 2.47 - 4.76% 5.84% -4.65% 3.26% +43.72% Financial Services
247 CCEP Coca-Cola Europacific Partners PLC $40.16B 90.69 18.32 15.94 Ξ” 2.38 12.76% 5.72% 6.46% 8.80% 2.65% +1.44% Consumer Defensive
248 FRAF Franklin Financial Services Corporation $261.18M 58.13 10.89 8.97 Ξ” 1.92 - 1.05% 10.16% 12.42% 2.32% +55.75% Financial Services
249 ESCA Escalade, Incorporated $259.12M 18.77 16.76 9.58 Ξ” 7.18 9.84% 5.81% -8.53% -8.68% 3.23% +31.82% Consumer Cyclical
250 RSVR Reservoir Media, Inc. $676.99M 10.32 79.38 13.58 Ξ” 65.81 4.25% 2.63% 12.83% 48.42% - +32.31% Communication Services
251 DLR Digital Realty Trust, Inc. $67.96B 190.00 50.53 66.34 Ξ” -15.81 3.99% 1.26% 9.22% 51.32% 2.57% +14.01% Real Estate
252 SWBI Smith & Wesson Brands, Inc. $677.19M 15.22 63.42 46.12 Ξ” 17.30 4.84% 2.46% -18.10% -58.98% 3.42% +68.13% Industrials
253 SPNT SiriusPoint Ltd. $2.51B 21.35 5.38 7.72 Ξ” -2.34 - 2.38% 13.56% 72.94% - +8.98% Financial Services
254 RSI Rush Street Interactive, Inc. $5.87B 25.34 74.53 30.39 Ξ” 44.13 19.50% 13.54% 24.19% 62.07% - +99.68% Consumer Cyclical
255 ELMD Electromed, Inc. $312.32M 37.72 32.24 61.84 Ξ” -29.60 22.29% 14.86% 15.39% 48.43% - +86.73% Healthcare
256 III Information Services Group, Inc. $215.76M 4.51 21.48 10.49 Ξ” 10.99 10.89% 5.99% -5.09% -22.06% 3.99% -0.77% Technology
257 AMP Ameriprise Financial, Inc. $40.07B 445.71 11.11 9.36 Ξ” 1.76 - 2.43% 9.03% 4.20% 1.53% -11.31% Financial Services
258 DCOM Dime Community Bancshares, Inc. $1.65B 37.42 14.07 8.59 Ξ” 5.48 - 0.85% 2.71% -10.14% 2.67% +50.70% Financial Services
259 CXW CoreCivic, Inc. $2.08B 21.08 17.14 10.59 Ξ” 6.55 7.60% 4.80% 6.21% -1.61% - -4.01% Industrials
260 PLD Prologis, Inc. $133.76B 143.47 36.14 42.22 Ξ” -6.08 4.94% 2.48% 13.74% -0.36% 2.98% +36.70% Real Estate
261 QNST QuinStreet, Inc. $719.22M 12.52 11.18 8.22 Ξ” 2.96 2.25% 3.68% 23.40% 63.23% - -18.01% Communication Services
262 FSLR First Solar, Inc. $32.97B 306.79 19.81 13.09 Ξ” 6.71 14.68% 8.45% 25.84% 1,186.73% - +94.07% Technology
263 GRND Grindr Inc. $2.22B 12.50 27.17 16.23 Ξ” 10.94 30.54% 16.25% 31.15% 380.89% - -48.81% Technology
264 WWW Wolverine World Wide, Inc. $1.44B 17.55 14.27 9.99 Ξ” 4.28 12.99% 6.22% -11.29% 50.29% 2.28% +5.04% Consumer Cyclical
265 GTX Garrett Motion Inc. $6.13B 32.76 19.16 14.77 Ξ” 4.39 50.10% 14.09% -0.18% -7.37% 0.98% +215.02% Consumer Cyclical
266 CVS CVS Health Corporation $116.08B 90.98 39.90 10.88 Ξ” 29.02 3.19% 2.67% 7.63% -25.70% 2.92% +47.26% Healthcare
267 TKO TKO Group Holdings, Inc. $15.38B 205.18 76.28 44.01 Ξ” 32.26 5.93% 3.85% 60.74% -20.39% 1.52% +31.83% Communication Services
268 META AI Meta Platforms, Inc. $1.61T 632.51 22.99 17.49 Ξ” 5.50 26.87% 16.40% 19.89% 37.61% 0.33% -2.01% Communication Services
269 AUB Atlantic Union Bankshares Corporation $5.38B 37.62 16.08 9.42 Ξ” 6.66 - 1.12% 25.05% 5.29% 3.85% +30.61% Financial Services
270 VRTX Vertex Pharmaceuticals Incorporated $113.59B 447.54 26.53 20.84 Ξ” 5.69 21.38% 12.14% 10.35% 5.97% - +1.24% Healthcare
271 COCO The Vita Coco Company, Inc. $4.29B 75.13 54.44 36.71 Ξ” 17.73 23.94% 13.89% 12.54% 108.98% - +111.10% Consumer Defensive
272 HCSG Healthcare Services Group, Inc. $1.41B 20.60 21.68 17.82 Ξ” 3.86 11.13% 4.53% 2.82% 19.92% - +46.10% Healthcare
273 PANW AI Palo Alto Networks, Inc. $228.45B 281.69 156.49 70.78 Ξ” 85.72 10.25% 3.45% 18.79% 174.89% - +46.39% Technology
274 IPI Intrepid Potash, Inc. $524.83M 39.07 35.20 68.68 Ξ” -33.48 1.98% 2.14% -4.04% -46.30% - +3.47% Basic Materials
275 VICI VICI Properties Inc. $30.39B 28.22 9.66 9.61 Ξ” 0.05 7.97% 5.38% 15.49% 35.42% 6.32% -5.55% Real Estate
276 A Agilent Technologies, Inc. $38.25B 135.53 27.27 20.53 Ξ” 6.74 14.90% 8.64% 0.48% 1.29% 0.75% +22.09% Healthcare
277 ROP Roper Technologies, Inc. $32.85B 325.53 20.32 13.62 Ξ” 6.70 7.33% 4.32% 13.73% -30.34% 1.12% -42.47% Technology
278 TSM AI Taiwan Semiconductor Manufacturing Company Limited $2.17T 418.45 35.86 21.44 Ξ” 14.42 32.04% 17.32% 18.94% 19.57% 0.91% +119.14% Technology
279 FUL H.B. Fuller Company $3.49B 64.08 22.17 12.46 Ξ” 9.71 7.86% 4.96% -2.51% -5.54% 1.53% +16.62% Basic Materials
280 NBN Northeast Bank $1.08B 125.74 10.77 8.67 Ξ” 2.09 - 2.12% 24.97% 25.55% 0.03% +50.05% Financial Services
281 TRTX TPG RE Finance Trust, Inc. $649.39M 8.40 13.12 7.53 Ξ” 5.60 - 1.55% -1.08% 66.81% 11.43% +22.69% Real Estate
282 VLY Valley National Bancorp $7.63B 13.77 12.41 8.95 Ξ” 3.45 - 1.04% 2.85% 1.68% 3.20% +63.44% Financial Services
283 AMTB Amerant Bancorp Inc. $894.14M 22.72 16.00 10.65 Ξ” 5.35 - 0.58% 10.01% -6.10% 1.58% +31.89% Financial Services
284 SILA Sila Realty Trust, Inc. $1.67B 30.24 44.47 - - 4.76% 2.44% 3.15% 171.71% 5.29% +29.14% Real Estate
285 INDB Independent Bank Corp. $3.82B 79.08 15.72 9.47 Ξ” 6.26 - 1.08% 5.64% -8.05% 3.24% +33.06% Financial Services
286 NFBK Northfield Bancorp, Inc. $592.21M 14.18 109.08 9.45 Ξ” 99.62 - 0.08% -2.46% -76.47% 3.67% +26.85% Financial Services
287 AUPH Aurinia Pharmaceuticals Inc. $1.97B 15.33 7.10 13.71 Ξ” -6.61 18.01% 13.66% 28.30% 121.83% - +95.54% Healthcare
288 WST West Pharmaceutical Services, Inc. $22.81B 322.81 43.10 33.79 Ξ” 9.31 16.28% 11.21% 2.12% -5.55% 0.27% +53.60% Healthcare
289 AGX Argan, Inc. $9.31B 667.02 68.48 44.70 Ξ” 23.78 28.35% 8.33% 27.57% 60.86% 0.30% +219.01% Industrials
290 OLP One Liberty Properties, Inc. $513.85M 23.55 18.84 65.42 Ξ” -46.58 6.01% 2.56% 1.78% -15.47% 7.64% +4.23% Real Estate
291 TRMB Trimble Inc. $13.15B 56.41 29.53 13.84 Ξ” 15.70 7.48% 4.65% -0.81% -1.94% - -20.85% Technology
292 IESC IES Holdings, Inc. $13.52B 678.35 36.24 - - 41.07% 15.90% 15.88% 106.47% - +161.25% Industrials
293 MRX Marex Group plc $3.81B 52.94 12.03 9.60 Ξ” 2.44 31.57% 1.14% 45.63% 46.25% 1.21% +24.60% Financial Services
294 WMK Weis Markets, Inc. $1.81B 72.97 18.02 - - 6.79% 3.88% 1.69% -9.21% 1.86% -1.88% Consumer Defensive
295 GILD Gilead Sciences, Inc. $166.90B 134.43 18.29 14.02 Ξ” 4.27 22.92% 13.29% 2.57% 22.83% 2.44% +25.37% Healthcare
296 KWR Quaker Chemical Corporation $2.49B 143.53 552.04 16.36 Ξ” 535.67 2.11% 4.34% -0.95% 28.13% 1.42% +34.37% Basic Materials
297 HCKT The Hackett Group, Inc. $290.43M 11.53 22.17 6.92 Ξ” 15.25 14.93% 10.46% 1.33% -31.80% 4.16% -51.74% Technology
298 FN AI Fabrinet $23.44B 654.16 56.20 37.88 Ξ” 18.32 17.57% 8.52% 14.76% 18.39% - +180.91% Technology
299 KE Kimball Electronics, Inc. $623.59M 25.93 24.70 19.11 Ξ” 5.58 5.40% 3.53% 3.28% -18.40% - +43.26% Industrials
300 NKSH National Bankshares, Inc. $224.10M 35.19 12.75 10.50 Ξ” 2.25 - 0.96% -2.22% -15.18% 4.26% +44.01% Financial Services
301 GCT GigaCloud Technology Inc. $1.31B 36.04 9.12 7.31 Ξ” 1.81 18.76% 8.57% 38.07% 78.95% - +105.24% Technology
302 PCYO Pure Cycle Corporation $249.48M 10.35 18.16 115.00 Ξ” -96.84 11.88% 4.71% 4.28% 10.87% - -2.54% Utilities
303 NATL NCR Atleos Corporation $3.29B 44.60 19.91 8.39 Ξ” 11.52 12.18% 5.92% 1.84% 17.84% - +68.24% Technology
304 SMID Smith-Midland Corporation $170.08M 32.05 13.58 - - 23.50% 13.64% 23.07% 150.04% - +6.34% Basic Materials
305 KRYS Krystal Biotech, Inc. $9.11B 309.03 41.42 30.66 Ξ” 10.77 13.10% 9.04% - 82.11% - +145.34% Healthcare
306 ALNT Allient Inc. $1.35B 79.16 55.36 25.56 Ξ” 29.79 8.08% 5.15% 3.30% 8.21% 0.20% +161.02% Technology
307 PHIN PHINIA Inc. $2.86B 77.26 21.64 11.43 Ξ” 10.21 9.72% 5.43% 1.33% -20.83% 1.55% +81.69% Consumer Cyclical
308 PKBK Parke Bancorp, Inc. $363.92M 30.73 8.78 - - - 1.92% -0.76% -3.34% 2.34% +63.41% Financial Services
309 CAKE The Cheesecake Factory Incorporated $3.28B 66.04 19.37 14.84 Ξ” 4.52 6.98% 4.46% 4.34% 50.99% 1.82% +22.09% Consumer Cyclical
310 CRM AI Salesforce, Inc. $156.51B 191.10 22.12 12.35 Ξ” 9.77 11.86% 5.70% 9.82% 229.74% 0.92% -27.45% Technology
311 STE STERIS plc $20.88B 212.73 26.83 17.58 Ξ” 9.24 9.67% 6.63% 8.93% 36.09% 1.18% -12.59% Healthcare
312 FSS Federal Signal Corporation $6.51B 106.70 24.25 19.25 Ξ” 5.00 16.05% 11.21% 14.97% 27.00% 0.56% +14.00% Industrials
313 TTMI TTM Technologies, Inc. $18.04B 173.72 94.41 32.17 Ξ” 62.24 8.88% 4.86% 5.22% 23.33% - +481.78% Technology
314 PWR Quanta Services, Inc. $106.80B 711.73 98.03 43.28 Ξ” 54.75 10.18% 4.71% 18.60% 27.93% 0.06% +107.97% Industrials
315 CMCO Columbus McKinnon Corporation $458.68M 15.96 76.00 9.38 Ξ” 66.62 1.82% 3.95% 2.03% -39.11% 1.75% +11.52% Industrials
316 KR The Kroger Co. $38.32B 62.15 40.36 11.05 Ξ” 29.31 5.77% 5.76% -0.14% -23.21% 2.25% -7.01% Consumer Defensive
317 WYNN Wynn Resorts, Limited $10.51B 101.22 29.00 18.60 Ξ” 10.41 9.94% 5.60% 23.86% 59.08% 0.99% +12.82% Consumer Cyclical
318 UBSI United Bankshares, Inc. $5.98B 43.41 12.16 11.44 Ξ” 0.72 - 1.52% 5.90% 6.96% 3.50% +24.94% Financial Services
319 KRNY Kearny Financial Corp. $518.57M 8.24 14.46 10.50 Ξ” 3.96 - 0.47% -9.90% -27.19% 5.34% +45.57% Financial Services
320 ATLC Atlanticus Holdings Corporation $1.30B 86.22 11.48 6.46 Ξ” 5.02 - 2.50% 11.23% -3.41% - +75.78% Financial Services
321 MD Pediatrix Medical Group, Inc. $1.77B 21.54 10.46 9.13 Ξ” 1.33 14.12% 7.35% -0.99% 35.60% - +52.23% Healthcare
322 CASY Casey's General Stores, Inc. $28.44B 767.14 44.04 37.86 Ξ” 6.18 11.21% 7.13% 7.16% 17.17% 0.30% +75.91% Consumer Cyclical
323 CPAY Corpay, Inc. $23.65B 361.80 21.64 11.82 Ξ” 9.82 16.06% 6.19% 9.73% 3.88% - +11.29% Technology
324 MSCI MSCI Inc. $45.92B 631.38 36.10 28.05 Ξ” 8.05 44.00% 20.55% 11.71% 11.36% 1.30% +13.51% Financial Services
325 ZUMZ Zumiez Inc. $425.01M 24.63 31.58 15.94 Ξ” 15.64 3.58% 2.19% -1.03% -14.00% - +97.20% Consumer Cyclical
326 ARM AI Arm Holdings plc $377.34B 353.29 415.64 115.64 Ξ” 300.00 9.40% 5.78% 22.46% 19.93% - +183.68% Technology
327 BSRR Sierra Bancorp $496.75M 37.98 11.11 9.79 Ξ” 1.31 - 1.24% 3.98% 7.94% 2.72% +43.21% Financial Services
328 WLFC Willis Lease Finance Corporation $1.41B 177.01 10.71 9.85 Ξ” 0.86 7.71% 5.08% 32.78% 175.52% 0.90% +32.89% Industrials
329 MOD Modine Manufacturing Company $14.73B 278.91 123.41 24.38 Ξ” 99.03 11.21% 10.04% 11.45% -7.42% - +207.17% Consumer Cyclical
330 YOU Clear Secure, Inc. $7.41B 55.45 44.36 20.81 Ξ” 23.55 34.31% 10.41% 27.22% 88.83% 1.08% +128.42% Technology
331 SEZL Sezzle Inc. $3.97B 118.15 23.54 18.26 Ξ” 5.27 52.43% 47.54% 53.06% 149.83% - +10.72% Financial Services
332 KVUE Kenvue Inc. $33.18B 17.28 20.57 13.97 Ξ” 6.60 11.49% 7.07% 0.39% -10.70% 4.80% -24.24% Consumer Defensive
333 SLP Simulations Plus, Inc. $345.72M 17.11 - 18.56 - 5.18% 3.81% 13.67% -206.15% - -46.28% Healthcare
334 GRC The Gorman-Rupp Company $1.98B 74.95 33.46 25.38 Ξ” 8.08 12.16% 7.40% 9.41% 67.93% 1.01% +108.22% Industrials
335 SANM Sanmina Corporation $13.92B 259.73 54.91 19.94 Ξ” 34.97 11.84% 4.79% 0.87% 0.76% - +206.68% Technology
336 MYFW First Western Financial, Inc. $283.79M 29.17 18.94 10.74 Ξ” 8.20 - 0.50% -3.38% -15.29% - +39.97% Financial Services
337 WSFS WSFS Financial Corporation $3.72B 71.45 12.74 10.78 Ξ” 1.96 - 1.45% 4.90% 8.92% 0.99% +36.68% Financial Services
338 ENTG AI Entegris, Inc. $21.14B 138.79 80.23 30.02 Ξ” 50.21 5.78% 3.75% -0.88% 4.09% 0.29% +102.65% Technology
339 SGHC Super Group (SGHC) Limited $6.33B 12.45 25.94 13.92 Ξ” 12.01 41.47% 24.80% 17.20% 3.70% 1.37% +43.71% Consumer Cyclical
340 BLK BlackRock, Inc. $162.51B 1,046.88 26.32 17.26 Ξ” 9.05 4.89% 3.62% 10.65% 2.36% 2.19% +9.04% Financial Services
341 CSGS CSG Systems International, Inc. $2.30B 80.69 36.02 15.01 Ξ” 21.01 13.39% 6.91% 3.93% 8.24% 0.02% +24.39% Technology
342 COST Costco Wholesale Corporation $424.27B 956.32 49.76 42.27 Ξ” 7.49 27.44% 8.72% 6.64% 11.49% 0.61% -7.54% Consumer Defensive
343 UPBD Upbound Group, Inc. $1.12B 19.21 13.34 4.04 Ξ” 9.30 7.90% 7.36% 3.41% 80.97% 8.13% -9.72% Technology
344 MCRI Monarch Casino & Resort, Inc. $2.13B 120.26 20.38 17.66 Ξ” 2.72 22.66% 12.71% 4.49% 5.04% 1.00% +44.92% Consumer Cyclical
345 RNST Renasant Corporation $3.76B 40.72 17.25 10.24 Ξ” 7.02 - 1.00% 16.06% 2.96% 2.36% +19.09% Financial Services
346 MVBF MVB Financial Corp. $343.73M 26.75 12.27 10.64 Ξ” 1.63 - 0.90% -3.38% 21.43% 2.54% +39.46% Financial Services
347 PDLB Ponce Financial Group, Inc. $456.67M 18.88 14.41 10.67 Ξ” 3.75 - 0.98% 15.14% 65.22% - +41.00% Financial Services
348 JYNT The Joint Corp. $126.87M 8.90 98.89 20.54 Ξ” 78.35 -3.22% 0.61% -18.46% 66.78% - -16.82% Healthcare
349 DVA DaVita Inc. $12.47B 194.36 18.72 11.31 Ξ” 7.41 13.44% 7.50% 5.53% 10.04% - +42.64% Healthcare
350 DY Dycom Industries, Inc. $15.31B 510.00 48.76 26.03 Ξ” 22.73 8.74% 6.76% 13.35% 25.51% - +121.82% Industrials
351 LOCO El Pollo Loco Holdings, Inc. $452.87M 14.87 15.17 13.72 Ξ” 1.46 7.97% 5.11% 1.40% 8.39% - +41.62% Consumer Cyclical
352 OSW OneSpaWorld Holdings Limited $2.41B 23.75 31.67 18.32 Ξ” 13.35 12.88% 8.27% 20.72% 10.45% 0.84% +27.05% Consumer Cyclical
353 HSTM HealthStream, Inc. $729.50M 24.97 37.27 28.87 Ξ” 8.40 5.11% 2.84% 4.45% 14.90% 0.53% -10.39% Healthcare
354 SD SandRidge Energy, Inc. $541.59M 14.67 7.16 9.85 Ξ” -2.69 11.31% 6.40% -14.96% -33.82% 3.54% +56.80% Energy
355 CRMD CorMedix Inc. $662.13M 8.44 3.89 24.11 Ξ” -20.22 23.44% 26.40% 1,582.83% 216.33% - -30.48% Healthcare
356 NTRS Northern Trust Corporation $30.62B 165.45 17.32 13.94 Ξ” 3.39 - 1.10% 6.15% 9.14% 1.93% +58.91% Financial Services
357 OTIS Otis Worldwide Corporation $27.18B 70.84 18.84 15.02 Ξ” 3.82 74.04% 13.35% 1.79% 3.37% 2.40% -24.20% Industrials
358 SKT Tanger Inc. $4.14B 36.07 34.03 29.27 Ξ” 4.76 7.48% 4.61% 9.53% 11.83% 3.30% +25.50% Real Estate
359 BK Bank of New York Mellon Corp $94.14B 139.43 17.02 14.23 Ξ” 2.79 - 1.20% 6.87% 29.48% 0.02% +60.31% Financial Services
360 LMAT LeMaitre Vascular, Inc. $2.16B 94.65 34.80 29.07 Ξ” 5.72 13.87% 7.20% 15.58% 40.91% 1.06% +16.20% Healthcare
361 GCO Genesco Inc. $416.63M 38.37 20.74 13.50 Ξ” 7.24 1.71% 1.14% 0.71% -43.07% - +76.58% Consumer Cyclical
362 HIG The Hartford Insurance Group, Inc. $34.85B 127.13 8.95 8.82 Ξ” 0.13 - 3.88% 8.70% 28.24% 1.89% -0.45% Financial Services
363 MDLZ Mondelez International, Inc. $78.52B 61.17 30.28 18.06 Ξ” 12.22 7.28% 3.43% 6.96% -3.38% 3.27% -6.35% Consumer Defensive
364 LRCX AI Lam Research Corporation $397.91B 318.18 60.26 40.06 Ξ” 20.20 41.53% 22.78% 2.29% 5.18% 0.33% +296.72% Technology
365 FSBC Five Star Bancorp $902.71M 42.23 13.41 10.68 Ξ” 2.73 - 1.45% 12.96% 11.20% 2.37% +54.84% Financial Services
366 AVB AvalonBay Communities, Inc. $25.89B 182.51 22.62 37.46 Ξ” -14.85 6.37% 2.65% 5.45% -2.57% 3.90% -8.29% Real Estate
367 TRNO Terreno Realty Corporation $6.94B 65.69 16.02 38.04 Ξ” -22.01 8.62% 2.39% 19.92% 26.73% 3.17% +20.55% Real Estate
368 RMBI Richmond Mutual Bancorporation, Inc. $142.00M 14.52 11.62 - - - 0.81% 1.69% -3.71% 4.14% +14.51% Financial Services
369 XHR Xenia Hotels & Resorts, Inc. $1.70B 17.37 24.81 35.81 Ξ” -11.00 5.74% 2.51% 2.63% 4.10% 3.22% +47.86% Real Estate
370 PCG PG&E Corporation $35.98B 16.34 12.67 9.07 Ξ” 3.60 4.35% 2.53% 4.77% 14.22% 1.22% -2.28% Utilities
371 EOG EOG Resources, Inc. $71.04B 133.38 13.13 9.10 Ξ” 4.03 14.00% 8.97% -8.51% -13.74% 3.06% +27.23% Energy
372 PCB PCB Bancorp $349.75M 24.57 8.81 7.97 Ξ” 0.84 - 1.23% 3.58% 2.30% 3.42% +31.90% Financial Services
373 ROK Rockwell Automation, Inc. $50.19B 451.06 46.94 31.08 Ξ” 15.86 13.80% 9.34% 2.44% -2.31% 1.22% +44.97% Industrials
374 MPWR AI Monolithic Power Systems, Inc. $76.95B 1,566.21 112.35 51.93 Ξ” 60.42 19.05% 12.13% 15.86% 12.40% 0.51% +138.42% Technology
375 NGS Natural Gas Services Group, Inc. $495.12M 39.30 22.85 17.16 Ξ” 5.69 6.92% 5.00% 26.65% 1,200.76% 0.92% +66.29% Energy
376 CAG Conagra Brands, Inc. $6.35B 13.28 - 7.95 - 9.48% 4.20% 0.22% 9.07% 10.54% -36.96% Consumer Defensive
377 GRDN Guardian Pharmacy Services, Inc. $2.45B 38.74 46.12 28.52 Ξ” 17.60 29.41% 14.43% 16.81% 11.59% - +82.99% Healthcare
378 JCI Johnson Controls International plc $81.79B 134.06 41.00 23.55 Ξ” 17.45 8.13% 5.45% 4.57% 29.03% 1.19% +33.14% Industrials
379 FIX Comfort Systems USA, Inc. $64.32B 1,828.21 52.91 34.37 Ξ” 18.55 42.67% 17.27% 30.03% 60.80% 0.14% +283.14% Industrials
380 MMSI Merit Medical Systems, Inc. $3.76B 63.06 27.18 14.34 Ξ” 12.84 8.07% 4.72% 9.61% 19.91% - -33.64% Healthcare
381 NVGS Navigator Holdings Ltd. $1.34B 21.70 13.40 12.47 Ξ” 0.93 8.19% 3.65% 7.40% 23.25% 1.29% +55.27% Energy
382 SCHW The Charles Schwab Corporation $151.91B 87.35 17.37 12.10 Ξ” 5.27 - 1.97% 4.83% 7.21% 1.47% +0.13% Financial Services
383 VCTR Victory Capital Holdings, Inc. $5.29B 84.55 19.00 11.02 Ξ” 7.98 12.33% 12.16% 15.18% 6.21% 2.37% +40.44% Financial Services
384 BL AI BlackLine, Inc. $1.72B 29.40 70.00 10.52 Ξ” 59.48 5.49% 1.51% 10.23% 61.14% - -47.43% Technology
385 CBZ CBIZ, Inc. $1.78B 33.20 13.02 7.39 Ξ” 5.63 7.30% 4.43% 25.00% 3.10% - -54.04% Industrials
386 WAY Waystar Holding Corp. $3.82B 19.91 29.72 10.77 Ξ” 18.94 4.48% 3.31% 15.97% 105.95% - -50.20% Healthcare
387 ROST Ross Stores, Inc. $74.95B 231.73 32.36 27.06 Ξ” 5.31 26.86% 12.16% 6.76% 12.36% 0.77% +67.07% Consumer Cyclical
388 FMAO Farmers & Merchants Bancorp, Inc. $384.55M 27.93 10.66 9.27 Ξ” 1.39 - 1.04% 5.81% 0.81% 3.25% +21.48% Financial Services
389 MCK McKesson Corporation $89.24B 742.44 19.34 14.75 Ξ” 4.59 42.13% 4.99% 13.39% 10.18% 0.44% +3.59% Healthcare
390 ZWS Zurn Elkay Water Solutions Corporation $7.87B 47.00 38.21 24.46 Ξ” 13.75 11.77% 7.20% 9.78% 47.50% 0.94% +31.04% Industrials
391 CSCO AI Cisco Systems, Inc. $474.63B 120.42 40.14 25.23 Ξ” 14.91 14.55% 7.34% 3.19% -4.84% 1.40% +95.42% Technology
392 CWBC Community West Bancshares $651.49M 24.01 11.12 8.00 Ξ” 3.12 - 1.14% 20.11% 12.73% 2.00% +37.84% Financial Services
393 CZFS Citizens Financial Services, Inc. $312.46M 65.03 7.94 7.83 Ξ” 0.11 - 1.30% 11.12% 7.97% 3.08% +9.85% Financial Services
394 KMI Kinder Morgan, Inc. $69.15B 31.08 20.86 20.33 Ξ” 0.53 6.90% 4.32% -4.09% 6.25% 3.78% +15.44% Energy
395 SLDE Slide Insurance Holdings, Inc. $2.07B 18.03 4.95 5.13 Ξ” -0.18 - 17.03% 68.31% 171.03% - -10.96% Financial Services
396 MET MetLife, Inc. $53.21B 82.69 15.99 7.52 Ξ” 8.47 - 0.45% 3.92% -13.85% 2.87% +8.39% Financial Services
397 KEYS AI Keysight Technologies, Inc. $57.77B 338.33 54.31 28.54 Ξ” 25.77 12.46% 6.55% -0.28% -8.89% - +115.44% Technology
398 SFBC Sound Financial Bancorp, Inc. $99.27M 41.73 14.24 - - - 0.69% -0.86% -6.67% 2.01% -15.00% Financial Services
399 SMP Standard Motor Products, Inc. $872.50M 39.19 10.53 7.93 Ξ” 2.60 9.45% 6.09% 9.30% -9.27% 3.37% +33.56% Consumer Cyclical
400 TAP Molson Coors Beverage Company $7.41B 39.53 - 7.88 - -13.03% 4.49% 1.35% -373.51% 4.86% -22.37% Consumer Defensive
401 V Visa Inc. $620.65B 326.36 28.48 21.98 Ξ” 6.50 38.38% 19.19% 10.92% 10.28% 0.82% -9.93% Financial Services
402 HOPE Hope Bancorp, Inc. $1.60B 12.54 22.80 7.83 Ξ” 14.97 - 0.39% -7.49% -34.41% 4.47% +31.30% Financial Services
403 HLT Hilton Worldwide Holdings Inc. $74.59B 327.66 50.02 31.45 Ξ” 18.57 21.95% 10.86% 11.13% 5.10% 0.18% +32.16% Consumer Cyclical
404 IVZ Invesco Ltd. $12.62B 28.46 - 9.58 - -1.13% 2.68% 1.78% -43.53% 3.02% +103.71% Financial Services
405 MBIN Merchants Bancorp $2.17B 47.14 11.50 8.28 Ξ” 3.22 - 1.17% 15.48% -0.14% 0.93% +48.93% Financial Services
406 WTS Watts Water Technologies, Inc. $10.32B 308.98 28.24 23.74 Ξ” 4.50 19.28% 11.49% 7.20% 10.66% 0.71% +28.29% Industrials
407 HQY HealthEquity, Inc. $7.38B 87.99 32.96 16.08 Ξ” 16.88 10.38% 6.46% 15.08% 307.72% - -12.54% Healthcare
408 FCAP First Capital, Inc. $206.79M 61.81 11.84 - - - 1.40% 7.92% 11.20% 1.98% +28.99% Financial Services
409 USCB USCB Financial Holdings, Inc. $338.61M 18.54 12.61 8.43 Ξ” 4.18 - 1.01% 9.49% 9.02% 2.70% +14.95% Financial Services
410 CTS CTS Corporation $1.84B 64.21 27.44 22.22 Ξ” 5.22 13.46% 7.25% -2.66% 3.11% 0.25% +58.38% Technology
411 ONB Old National Bancorp $9.28B 24.01 12.38 8.26 Ξ” 4.12 - 1.20% 13.47% 16.04% 2.42% +18.05% Financial Services
412 ZBH Zimmer Biomet Holdings, Inc. $15.93B 82.33 21.33 9.14 Ξ” 12.19 5.48% 4.10% 5.85% 44.98% 1.17% -9.74% Healthcare
413 BOH Bank of Hawaii Corporation $3.03B 76.60 15.44 10.98 Ξ” 4.46 - 0.92% 0.63% -3.03% 3.66% +19.74% Financial Services
414 EFX Equifax Inc. $20.00B 165.79 29.14 16.13 Ξ” 13.00 11.62% 6.27% 5.85% -1.75% 1.35% -36.58% Industrials
415 NDAQ Nasdaq, Inc. $52.32B 92.52 27.87 20.89 Ξ” 6.98 10.82% 5.55% 9.89% 16.70% 1.21% +12.10% Financial Services
416 AMAT AI Applied Materials, Inc. $357.33B 450.06 42.38 27.83 Ξ” 14.54 33.71% 14.86% 3.23% 2.36% 0.47% +189.23% Technology
417 CNXN PC Connection, Inc. $1.76B 69.59 20.23 16.43 Ξ” 3.80 11.97% 5.20% -2.77% -2.10% 1.15% +7.60% Technology
418 GTY Getty Realty Corp. $1.97B 32.53 21.26 16.54 Ξ” 4.72 6.80% 4.23% 10.22% -4.19% 5.96% +18.86% Real Estate
419 KEY KeyCorp $23.13B 21.33 13.09 9.89 Ξ” 3.19 - 1.03% 1.21% -1.55% 3.84% +38.80% Financial Services
420 LKFN Lakeland Financial Corporation $1.51B 60.63 14.20 13.40 Ξ” 0.80 - 1.57% 3.20% -0.15% 3.44% +4.71% Financial Services
421 WTW Willis Towers Watson Public Limited Company $23.58B 249.67 14.67 11.26 Ξ” 3.41 14.25% 5.09% 3.07% 16.73% 1.54% -20.19% Financial Services
422 LH Labcorp Holdings Inc. $21.32B 260.06 23.03 13.38 Ξ” 9.66 8.55% 5.31% 5.55% -11.84% 1.11% +5.56% Healthcare
423 PSA Public Storage $53.31B 303.69 31.34 30.04 Ξ” 1.30 10.69% 7.21% 4.88% -25.69% 3.95% +2.64% Real Estate
424 TMP Tompkins Financial Corporation $1.24B 86.15 7.37 10.57 Ξ” -3.20 - 1.98% -5.77% 23.73% 3.11% +45.40% Financial Services
425 ALGT Allegiant Travel Company $2.46B 91.61 - 9.21 - 2.44% 2.56% 4.23% -630.97% - +64.83% Industrials
426 SBUX Starbucks Corporation $113.01B 99.16 75.69 32.74 Ξ” 42.96 13.98% 7.38% 4.86% -17.30% 2.50% +21.23% Consumer Cyclical
427 WTBA West Bancorporation, Inc. $407.65M 23.94 11.57 8.40 Ξ” 3.17 - 0.88% -2.50% -11.14% 4.18% +29.26% Financial Services
428 RTX RTX Corporation $241.95B 179.66 33.64 23.77 Ξ” 9.87 9.41% 4.05% 9.72% 9.01% 1.54% +33.74% Industrials
429 SPGI S&P Global Inc. $125.50B 424.00 26.80 19.10 Ξ” 7.71 12.16% 6.92% 11.11% 11.24% 0.92% -16.63% Financial Services
430 APA APA Corporation $12.88B 36.43 8.49 8.52 Ξ” -0.02 20.20% 9.61% -6.96% -26.45% 2.74% +123.09% Energy
431 YORW The York Water Company $484.66M 29.90 20.34 19.54 Ξ” 0.80 4.52% 2.66% 8.86% 0.81% 3.05% -5.84% Utilities
432 HLIT AI Harmonic Inc. $1.64B 15.11 188.88 19.44 Ξ” 169.44 2.43% 2.57% -16.75% -84.56% - +67.52% Technology
433 MS Morgan Stanley $328.08B 208.00 18.84 16.38 Ξ” 2.46 - 1.27% 9.52% 15.20% 1.92% +66.38% Financial Services
434 CATY Cathay General Bancorp $3.87B 57.66 11.89 9.78 Ξ” 2.11 - 1.41% 1.14% -4.40% 2.50% +38.31% Financial Services
435 STRW Strawberry Fields REIT, Inc. $176.16M 13.12 20.50 16.25 Ξ” 4.25 9.67% 6.29% 18.76% 59.92% 5.18% +35.23% Real Estate
436 FFBC First Financial Bancorp. $3.23B 30.76 10.87 8.98 Ξ” 1.89 - 1.35% 8.27% 5.51% 3.25% +32.32% Financial Services
437 GCBC Greene County Bancorp, Inc. $446.75M 26.24 11.46 - - - 1.26% 2.42% 3.62% 1.51% +23.04% Financial Services
438 BKE The Buckle, Inc. $2.36B 45.87 10.52 10.19 Ξ” 0.33 34.65% 17.11% -1.19% -6.26% 3.05% +16.94% Consumer Cyclical
439 GBCI Glacier Bancorp, Inc. $6.19B 47.55 22.22 13.04 Ξ” 9.18 - 0.90% 4.03% -7.62% 2.78% +18.03% Financial Services
440 TXN Texas Instruments Incorporated $278.20B 305.68 52.34 32.47 Ξ” 19.87 19.90% 12.16% -4.07% -17.01% 1.86% +71.86% Technology
441 SFBS ServisFirst Bancshares, Inc. $4.26B 77.99 13.83 10.88 Ξ” 2.95 - 1.61% 4.14% 3.22% 1.95% +6.80% Financial Services
442 FBK FB Financial Corporation $2.71B 52.69 19.44 10.40 Ξ” 9.05 - 0.95% 2.11% -0.52% 1.59% +22.52% Financial Services
443 SR Spire Inc. $4.86B 82.26 16.65 14.75 Ξ” 1.90 5.93% 2.85% 4.05% 7.16% 4.01% +13.75% Utilities
444 QCRH QCR Holdings, Inc. $1.52B 92.15 11.58 10.60 Ξ” 0.98 - 1.44% 5.79% 8.69% 0.43% +37.42% Financial Services
445 PRDO Perdoceo Education Corporation $2.03B 32.38 12.36 9.69 Ξ” 2.66 20.12% 10.14% 6.77% 18.60% 1.85% -3.49% Consumer Defensive
446 UVE Universal Insurance Holdings, Inc. $1.03B 37.02 5.48 8.41 Ξ” -2.94 - 6.06% 9.47% 307.33% 1.73% +39.77% Financial Services
447 LCII LCI Industries $2.65B 109.02 13.38 10.84 Ξ” 2.54 10.76% 5.81% -7.49% -21.89% 4.22% +30.27% Consumer Cyclical
448 LWAY Lifeway Foods, Inc. $364.17M 23.83 24.82 17.39 Ξ” 7.43 22.21% 12.21% 14.50% 146.62% - +5.44% Consumer Defensive
449 CAT Caterpillar Inc. $403.42B 875.87 43.66 29.38 Ξ” 14.28 19.42% 8.52% 4.38% 9.83% 0.69% +154.39% Industrials
450 EME EMCOR Group, Inc. $36.82B 826.82 27.77 25.31 Ξ” 2.46 39.17% 11.75% 15.32% 46.34% 0.16% +75.56% Industrials
451 OPBK OP Bancorp $209.41M 14.06 7.68 6.98 Ξ” 0.71 - 1.05% 0.05% -8.36% 3.98% +18.34% Financial Services
452 TCBK TriCo Bancshares $1.63B 50.80 12.89 11.70 Ξ” 1.19 - 1.30% 0.73% -1.04% 2.83% +31.34% Financial Services
453 BLMN Bloomin' Brands, Inc. $722.58M 8.44 35.17 8.66 Ξ” 26.50 1.62% 2.42% -0.44% -56.76% 7.11% +12.97% Consumer Cyclical
454 FCFS FirstCash Holdings, Inc. $9.64B 219.91 27.56 17.71 Ξ” 9.85 11.63% 7.83% 10.29% 9.23% 0.76% +73.62% Financial Services
455 VMC Vulcan Materials Company $36.71B 282.92 33.56 26.13 Ξ” 7.43 10.35% 6.03% 2.77% 23.21% 0.74% +7.51% Basic Materials
456 ATEN A10 Networks, Inc. $2.17B 30.14 49.41 25.54 Ξ” 23.87 11.84% 5.24% 1.20% -3.51% 0.80% +76.73% Technology
457 CON Concentra Group Holdings Parent, Inc. $3.18B 24.87 17.89 14.63 Ξ” 3.27 13.21% 7.98% 7.85% -0.06% 1.01% +16.25% Healthcare
458 KIM Kimco Realty Corporation $16.24B 24.08 27.68 27.92 Ξ” -0.24 4.25% 2.32% 7.40% 66.81% 4.32% +18.72% Real Estate
459 HAFC Hanmi Financial Corporation $896.57M 30.12 11.24 8.81 Ξ” 2.43 - 1.04% -0.21% -9.13% 3.72% +36.99% Financial Services
460 TJX The TJX Companies, Inc. $171.12B 154.75 30.11 26.87 Ξ” 3.24 32.91% 13.87% 6.53% 16.24% 1.24% +23.44% Consumer Cyclical
461 PLXS Plexus Corp. $7.18B 268.36 39.35 28.49 Ξ” 10.86 12.33% 4.31% 1.90% 7.74% - +104.45% Technology
462 MNST Monster Beverage Corporation $86.14B 88.08 42.55 34.09 Ξ” 8.46 28.33% 17.72% 9.54% 16.94% - +37.73% Consumer Defensive
463 RCL Royal Caribbean Cruises Ltd. $76.34B 284.63 17.37 14.23 Ξ” 3.14 18.15% 8.08% 26.59% 99.32% 1.76% +12.39% Consumer Cyclical
464 ENVA Enova International, Inc. $4.02B 161.51 13.14 8.27 Ξ” 4.87 6.70% 5.30% 21.99% 14.13% - +74.29% Financial Services
465 FTNT AI Fortinet, Inc. $101.08B 137.97 53.48 40.27 Ξ” 13.20 42.99% 13.59% 15.46% 29.30% - +35.56% Technology
466 FISI Financial Institutions, Inc. $713.24M 36.23 9.43 8.65 Ξ” 0.79 - 1.25% 4.67% 9.79% 3.48% +46.57% Financial Services
467 SXT Sensient Technologies Corporation $4.85B 113.85 33.58 24.02 Ξ” 9.57 10.46% 6.64% 3.91% -1.54% 1.44% +22.37% Basic Materials
468 FBNC First Bancorp $2.43B 58.83 20.08 11.58 Ξ” 8.50 - 0.96% -0.64% -8.91% 1.63% +44.85% Financial Services
469 EMR Emerson Electric Co. $80.55B 143.82 33.37 20.10 Ξ” 13.27 10.32% 6.68% 9.28% -10.80% 1.54% +22.43% Industrials
470 IEX IDEX Corporation $15.60B 210.83 31.14 22.85 Ξ” 8.29 10.97% 6.76% 2.81% -6.28% 1.39% +18.34% Industrials
471 PEP PepsiCo, Inc. $197.10B 144.19 22.64 15.76 Ξ” 6.87 15.23% 9.09% 2.83% -2.57% 4.11% +14.09% Consumer Defensive
472 JMSB John Marshall Bancorp, Inc. $300.17M 21.27 13.46 10.01 Ξ” 3.45 - 0.97% -4.59% -12.60% 2.26% +25.02% Financial Services
473 JBHT J.B. Hunt Transport Services, Inc. $26.07B 276.43 42.92 30.42 Ξ” 12.50 14.51% 6.90% -6.78% -14.86% 0.65% +101.01% Industrials
474 NVEC NVE Corporation $473.75M 97.94 31.19 34.61 Ξ” -3.42 26.88% 15.96% -11.71% -12.51% 4.10% +45.75% Technology
475 NBTB NBT Bancorp Inc. $2.40B 46.24 13.06 10.18 Ξ” 2.88 - 1.22% 10.47% 3.65% 3.20% +14.32% Financial Services
476 AON Aon plc $67.50B 316.06 17.36 14.75 Ξ” 2.60 20.23% 6.05% 11.25% 12.59% 1.04% -14.65% Financial Services
477 FNLC The First Bancorp, Inc. $328.24M 29.11 8.98 - - - 1.14% 0.61% -4.09% 5.06% +27.08% Financial Services
478 COO The Cooper Companies, Inc. $11.94B 61.21 30.45 12.21 Ξ” 18.24 5.91% 3.64% 7.35% -0.95% - -10.35% Healthcare
479 CSX CSX Corporation $84.10B 45.26 27.77 20.92 Ξ” 6.84 11.38% 7.08% -1.74% -11.12% 1.24% +45.30% Industrials
480 NPB Northpointe Bancshares, Inc. $590.66M 17.08 7.62 5.73 Ξ” 1.90 - 1.33% -2.09% 53.11% 0.59% +30.74% Financial Services
481 AAMI Acadian Asset Management Inc. $2.58B 72.31 30.77 12.64 Ξ” 18.13 39.88% 12.66% 10.55% -7.35% 0.55% +140.81% Financial Services
482 WAFD WaFd, Inc. $2.63B 35.56 11.66 10.36 Ξ” 1.30 - 0.91% 3.09% -1.47% 3.04% +29.38% Financial Services
483 CPSS Consumer Portfolio Services, Inc. $213.95M 9.86 11.60 6.80 Ξ” 4.80 - 0.52% -5.80% -39.20% - +8.95% Financial Services
484 OFG OFG Bancorp $1.93B 45.56 9.41 9.69 Ξ” -0.28 - 1.80% 6.38% 7.25% 2.85% +13.28% Financial Services
485 WRB W. R. Berkley Corporation $23.65B 63.54 13.46 13.16 Ξ” 0.30 - 3.67% 9.28% 8.81% 0.57% -12.65% Financial Services
486 BKTI BK Technologies Corporation $309.08M 82.55 23.06 19.56 Ξ” 3.50 30.67% 16.38% 19.13% 72.12% - +92.56% Technology
487 OBK Origin Bancorp, Inc. $1.47B 47.66 18.47 11.21 Ξ” 7.26 - 0.81% 6.02% -5.00% 2.10% +42.23% Financial Services
488 PEG Public Service Enterprise Group Incorporated $39.19B 78.65 17.40 16.74 Ξ” 0.66 6.43% 3.66% 7.48% 26.98% 3.41% +0.19% Utilities
489 TFC Truist Financial Corporation $60.06B 48.21 11.93 9.41 Ξ” 2.53 - 1.02% 0.57% -5.36% 4.31% +27.58% Financial Services
490 ANET AI Arista Networks, Inc. $200.80B 159.47 54.99 35.84 Ξ” 19.15 27.40% 14.36% 27.15% 37.44% - +84.06% Technology
491 FIBK First Interstate BancSystem, Inc. $3.46B 35.60 11.63 12.08 Ξ” -0.45 - 1.14% -1.44% 14.32% 5.28% +38.66% Financial Services
492 FVCB FVCBankcorp, Inc. $283.99M 15.78 12.33 9.89 Ξ” 2.43 - 1.02% -0.96% -4.07% 1.77% +37.75% Financial Services
493 HNVR Hanover Bancorp, Inc. $166.46M 23.26 22.15 8.12 Ξ” 14.03 - 0.34% 1.50% -31.75% 1.72% +4.69% Financial Services
494 MCW Mister Car Wash, Inc. $2.34B 7.10 21.52 13.15 Ξ” 8.37 6.68% 4.39% 6.26% -2.99% - +0.28% Consumer Cyclical
495 RDVT Red Violet, Inc. $801.95M 56.84 58.60 34.98 Ξ” 23.62 12.62% 8.85% 19.18% 177.43% - +17.05% Technology
496 WMB The Williams Companies, Inc. $87.31B 71.39 31.31 27.82 Ξ” 3.49 9.66% 4.89% 2.91% 8.51% 2.94% +21.84% Energy
497 UVSP Univest Financial Corporation $1.10B 39.44 11.88 10.48 Ξ” 1.40 - 1.18% 3.47% 5.12% 2.33% +37.33% Financial Services
498 ORCL AI Oracle Corporation $649.35B 225.78 40.46 28.11 Ξ” 12.35 13.07% 6.33% 10.59% 22.81% 0.89% +37.77% Technology
499 MTB M&T Bank Corporation $31.65B 216.11 12.13 10.36 Ξ” 1.77 - 1.38% 6.33% 12.69% 2.78% +21.90% Financial Services
500 NTB The Bank of N.T. Butterfield & Son Limited $2.24B 56.46 9.79 8.35 Ξ” 1.44 - 1.69% 3.23% 2.72% 3.54% +37.94% Financial Services
501 SHBI Shore Bancshares, Inc. $691.20M 20.66 10.99 9.35 Ξ” 1.64 - 1.01% 21.85% 24.04% 2.71% +45.70% Financial Services
502 EBMT Eagle Bancorp Montana, Inc. $176.75M 22.19 11.10 10.34 Ξ” 0.76 - 0.74% 1.01% 11.50% 2.61% +34.80% Financial Services
503 FDBC Fidelity D & D Bancorp, Inc. $271.16M 46.71 9.14 - - - 1.07% 1.48% -2.07% 3.62% +18.98% Financial Services
504 GS The Goldman Sachs Group, Inc. $302.55B 1,025.56 18.73 15.68 Ξ” 3.04 - 0.94% 7.16% 15.11% 1.76% +73.47% Financial Services
505 PFS Provident Financial Services, Inc. $2.89B 22.19 9.44 8.84 Ξ” 0.60 - 1.24% 19.87% 18.35% 4.33% +39.25% Financial Services
506 APH Amphenol Corporation $183.01B 148.76 42.75 26.40 Ξ” 16.35 20.28% 13.45% 22.31% 30.94% 0.67% +66.59% Technology
507 ALGN Align Technology, Inc. $12.53B 174.95 29.40 14.13 Ξ” 15.27 13.57% 7.33% 2.61% 4.31% - -3.31% Healthcare
508 UNTY Unity Bancorp, Inc. $560.88M 55.86 9.40 8.83 Ξ” 0.57 - 2.09% 11.06% 14.65% 1.11% +27.89% Financial Services
509 CCB Coastal Financial Corporation $1.09B 71.18 22.17 10.16 Ξ” 12.01 - 0.98% 24.07% 4.97% - -19.01% Financial Services
510 DUOL AI Duolingo, Inc. $5.19B 111.36 12.74 14.05 Ξ” -1.30 9.41% 5.87% 41.08% 265.01% - -78.57% Technology
511 NTAP NetApp, Inc. $34.52B 174.29 27.49 17.76 Ξ” 9.73 23.49% 9.82% 1.32% 8.17% 1.19% +79.17% Technology
512 MSFT AI Microsoft Corporation $3.34T 450.24 26.82 23.28 Ξ” 3.53 26.37% 14.81% 12.42% 11.87% 0.81% -1.42% Technology
513 CTBI Community Trust Bancorp, Inc. $1.21B 66.86 11.71 10.71 Ξ” 0.99 - 1.59% 7.57% 6.22% 3.17% +35.81% Financial Services
514 IBKR Interactive Brokers Group, Inc. $147.85B 86.97 37.33 30.46 Ξ” 6.87 19.56% 2.42% 34.60% 37.32% 0.40% +66.50% Financial Services
515 NEWT NewtekOne, Inc. $400.56M 13.88 6.14 5.48 Ξ” 0.66 - 5.21% 36.42% 23.26% 5.48% +36.61% Financial Services
516 SMTC Semtech Corporation $14.21B 152.54 - 39.26 - -0.60% 4.93% 11.55% -55.26% - +308.63% Technology
517 PDEX Pro-Dex, Inc. $206.79M 64.77 17.84 31.44 Ξ” -13.60 27.68% 9.70% 16.57% 25.23% - +61.72% Healthcare
518 FOR Forestar Group Inc. $1.40B 27.47 8.38 8.59 Ξ” -0.22 7.76% 4.23% 3.05% -2.07% - +43.45% Real Estate
519 ISTR Investar Holding Corporation $389.81M 28.26 12.45 8.68 Ξ” 3.77 - 0.87% -5.93% -13.76% 1.56% +51.44% Financial Services
520 MCBS MetroCity Bankshares, Inc. $936.04M 32.66 11.75 9.90 Ξ” 1.85 - 1.79% 4.44% 3.06% 3.19% +21.12% Financial Services
521 PRM Perimeter Solutions, Inc. $5.27B 32.28 - 16.54 - -7.95% -4.44% 21.89% -108.30% - +167.44% Basic Materials
522 GLRE Greenlight Capital Re, Ltd. $519.72M 15.67 6.64 9.79 Ξ” -3.15 - 2.47% 12.67% 43.47% - +8.52% Financial Services
523 IRMD IRADIMED CORPORATION $1.16B 90.66 49.54 38.50 Ξ” 11.04 26.52% 16.17% 16.28% 20.56% 0.88% +58.82% Healthcare
524 ENSG The Ensign Group, Inc. $9.80B 167.65 27.30 20.13 Ξ” 7.18 10.15% 5.41% 18.68% 15.25% 0.16% +14.01% Healthcare
525 IBEX IBEX Limited $423.63M 31.64 9.89 8.73 Ξ” 1.16 24.61% 12.98% 4.24% 19.77% - +9.90% Technology
526 AAPL Apple Inc. $4.58T 312.06 37.73 32.48 Ξ” 5.25 68.72% 26.23% 1.81% 3.92% 0.35% +55.99% Technology
527 AIG American International Group, Inc. $39.36B 74.23 13.07 8.35 Ξ” 4.72 - 1.88% -3.69% -32.85% 2.69% -10.33% Financial Services
528 MAMA Mama's Creations, Inc. $561.76M 13.80 106.15 46.00 Ξ” 60.15 11.28% 7.92% 22.60% 31.89% - +66.06% Consumer Defensive
529 RF Regions Financial Corporation $23.89B 28.00 11.62 9.81 Ξ” 1.81 - 1.39% 1.65% -1.34% 3.79% +36.13% Financial Services
530 TDY Teledyne Technologies Incorporated $28.72B 619.83 31.45 23.79 Ξ” 7.66 8.60% 4.89% 3.86% 4.30% - +24.25% Technology
531 CCSI Consensus Cloud Solutions, Inc. $631.97M 34.35 7.50 5.69 Ξ” 1.81 24.99% 14.38% -1.18% 5.15% - +56.35% Technology
532 GRMN Garmin Ltd. $45.11B 233.92 26.11 22.66 Ξ” 3.45 20.23% 11.90% 14.24% 19.56% 1.80% +17.15% Technology
533 GHC Graham Holdings Company $4.73B 1,097.29 16.23 16.38 Ξ” -0.14 8.11% 3.20% 7.77% 63.33% 0.69% +15.80% Consumer Defensive
534 NSSC Napco Security Technologies, Inc. $1.34B 37.53 36.44 23.17 Ξ” 13.27 26.57% 16.93% 8.15% 30.35% 1.60% +36.56% Industrials
535 FBP First BanCorp. $3.71B 23.98 10.66 10.02 Ξ” 0.64 - 1.87% 2.75% 4.17% 3.17% +23.10% Financial Services
536 TRST TrustCo Bank Corp NY $905.37M 51.81 15.19 18.05 Ξ” -2.86 - 0.98% -1.96% -6.68% 2.94% +73.44% Financial Services
537 ADAM Adamas Trust, Inc. $826.72M 9.20 7.86 8.61 Ξ” -0.75 - 1.64% 243.71% 49.97% 9.68% +59.80% Real Estate
538 MA Mastercard Incorporated $436.47B 493.98 28.57 21.72 Ξ” 6.85 61.47% 25.03% 13.82% 14.66% 0.70% -15.15% Financial Services
539 RVLV Revolve Group, Inc. $1.40B 19.60 21.78 18.30 Ξ” 3.48 13.90% 6.48% 3.63% 1.68% - -4.85% Consumer Cyclical
540 CVCO Cavco Industries, Inc. $4.12B 536.52 22.37 17.88 Ξ” 4.49 21.22% 9.86% 1.56% -7.47% - +23.74% Consumer Cyclical
541 DFIN Donnelley Financial Solutions, Inc. $991.55M 39.69 28.97 7.54 Ξ” 21.43 9.51% 11.06% -2.74% -31.88% - -27.15% Technology
542 SMBK SmartFinancial, Inc. $713.01M 41.70 13.37 9.93 Ξ” 3.44 - 0.93% 5.95% 5.38% 0.79% +32.37% Financial Services
543 SWX Southwest Gas Holdings, Inc. $6.24B 86.21 26.12 17.63 Ξ” 8.49 5.62% 2.75% -26.86% 105.45% 2.99% +23.65% Utilities
544 HUBG Hub Group, Inc. $2.54B 41.54 23.87 20.75 Ξ” 3.12 6.42% 3.16% -2.31% -15.34% 1.20% +24.95% Industrials
545 ORRF Orrstown Financial Services, Inc. $729.52M 37.13 8.50 8.68 Ξ” -0.18 - 1.54% 25.71% 54.24% 3.07% +27.58% Financial Services
546 GIC Global Industrial Company $1.16B 30.40 16.08 13.72 Ξ” 2.36 24.29% 11.18% 5.75% -2.92% 3.55% +20.93% Industrials
547 HRTG Heritage Insurance Holdings, Inc. $656.33M 21.68 3.33 4.73 Ξ” -1.41 - 8.13% 5.34% 75.57% - -11.40% Financial Services
548 OKTA AI Okta, Inc. $21.43B 123.27 89.33 28.86 Ξ” 60.47 3.62% 1.14% 16.25% 42.94% - +19.48% Technology
549 SYF Synchrony Financial $24.03B 71.44 7.40 6.82 Ξ” 0.58 - 2.96% 8.67% 5.60% 1.68% +25.99% Financial Services
550 CPF Central Pacific Financial Corp. $896.84M 34.36 11.49 9.63 Ξ” 1.86 - 1.08% 3.54% 1.58% 3.38% +33.26% Financial Services
551 EQIX Equinix, Inc. $105.33B 1,068.04 74.07 55.56 Ξ” 18.51 5.61% 3.50% 8.27% 24.18% 1.84% +22.90% Real Estate
552 HFWA Heritage Financial Corporation $1.12B 27.25 13.36 9.75 Ξ” 3.61 - 0.93% -0.38% -6.22% 3.52% +21.23% Financial Services
553 MAS Masco Corporation $14.17B 70.25 17.39 14.94 Ξ” 2.45 34.07% 15.68% -4.49% -1.44% 1.82% +14.65% Industrials
554 RL Ralph Lauren Corporation $21.66B 363.90 24.10 17.86 Ξ” 6.24 20.83% 10.88% 7.99% 21.65% 1.03% +33.00% Consumer Cyclical
555 PRTH Priority Technology Holdings, Inc. $526.25M 6.39 9.13 5.16 Ξ” 3.96 13.85% 4.22% 12.82% 896.60% - -25.09% Technology
556 PCAR PACCAR Inc $58.09B 110.37 23.48 16.29 Ξ” 7.19 8.93% 4.15% -0.44% -7.60% 1.27% +20.58% Industrials
557 AEE Ameren Corporation $29.88B 107.97 19.42 18.60 Ξ” 0.82 5.32% 3.09% 3.41% 10.68% 2.78% +14.67% Utilities
558 MPTI M-tron Industries, Inc. $393.25M 91.00 34.34 25.93 Ξ” 8.41 16.21% 11.63% 19.55% 67.48% - +96.67% Technology
559 STRA Strategic Education, Inc. $1.74B 76.75 13.58 9.48 Ξ” 4.10 10.77% 5.95% 5.98% 39.47% 3.13% -13.32% Consumer Defensive
560 WMT Walmart Inc. $922.64B 115.75 40.76 35.19 Ξ” 5.57 18.21% 6.88% 5.27% 23.30% 0.86% +18.23% Consumer Defensive
561 XPEL XPEL, Inc. $1.26B 45.72 23.94 18.89 Ξ” 5.04 20.59% 11.70% 13.70% 7.37% - +27.11% Consumer Cyclical
562 UCB United Community Banks, Inc. $3.94B 32.95 12.07 9.94 Ξ” 2.12 - 1.22% 6.24% 5.75% 3.03% +18.39% Financial Services
563 ASML AI ASML Holding N.V. $621.59B 1,612.76 53.76 33.87 Ξ” 19.89 43.81% 15.66% 15.55% 19.55% 0.54% +120.61% Technology
564 PEBO Peoples Bancorp Inc. $1.25B 34.78 11.15 9.36 Ξ” 1.79 - 1.18% 11.94% 1.77% 4.83% +25.19% Financial Services
565 RRBI Red River Bancshares, Inc. $598.68M 90.92 13.63 12.07 Ξ” 1.56 - 1.36% 5.90% 5.02% 0.88% +63.64% Financial Services
566 CRVL CorVel Corporation $3.13B 61.75 28.86 - - 34.50% 15.05% 10.08% 18.47% - -44.50% Financial Services
567 EPAM EPAM Systems, Inc. $5.35B 102.46 14.72 7.26 Ξ” 7.46 13.25% 8.05% 4.19% -3.43% - -41.28% Technology
568 ISRG AI Intuitive Surgical, Inc. $150.39B 424.64 51.53 36.01 Ξ” 15.52 15.96% 10.24% 17.39% 29.26% - -23.12% Healthcare
569 ASB Associated Banc-Corp $5.25B 27.81 9.66 8.60 Ξ” 1.06 - 1.11% 6.24% 9.05% 3.42% +24.53% Financial Services
570 AGM Federal Agricultural Mortgage Corporation $1.93B 177.79 10.25 8.33 Ξ” 1.92 - 0.63% 9.73% 5.20% 3.49% -1.27% Financial Services
571 EVRG Evergy, Inc. $18.91B 82.04 21.82 18.02 Ξ” 3.80 4.98% 2.90% 0.58% 4.36% 3.39% +27.96% Utilities
572 TBBK The Bancorp, Inc. $2.30B 55.16 10.73 6.84 Ξ” 3.89 - 2.40% 25.68% 20.57% - +7.95% Financial Services
573 BOOT Boot Barn Holdings, Inc. $5.16B 169.87 23.08 17.17 Ξ” 5.91 14.67% 8.37% 10.79% 9.82% - +5.96% Consumer Cyclical
574 TPL Texas Pacific Land Corporation $27.11B 393.00 54.06 5.37 Ξ” 48.68 39.43% 25.19% 6.15% 2.55% 0.61% +6.48% Energy
575 GWW W.W. Grainger, Inc. $58.27B 1,234.24 33.22 24.47 Ξ” 8.75 35.76% 19.51% 5.62% 3.31% 0.75% +14.47% Industrials
576 KO The Coca-Cola Company $339.94B 79.01 24.85 22.68 Ξ” 2.17 21.13% 9.51% 3.69% 11.16% 2.68% +12.76% Consumer Defensive
577 QUAD Quad/Graphics, Inc. $384.12M 7.45 12.84 5.42 Ξ” 7.42 13.20% 5.31% -9.05% 42.66% 5.37% +34.69% Industrials
578 UNB Union Bankshares, Inc. $106.58M 23.10 9.20 - - - 0.73% 3.58% -4.23% 6.20% -17.14% Financial Services
579 SPFI South Plains Financial, Inc. $777.13M 40.59 11.37 9.90 Ξ” 1.47 - 1.34% -0.55% 0.13% 1.68% +14.70% Financial Services
580 OKE ONEOK, Inc. $52.88B 83.94 14.96 13.58 Ξ” 1.38 10.41% 5.66% 14.53% 25.37% 5.10% +9.56% Energy
581 HTB HomeTrust Bancshares, Inc. $780.94M 46.47 12.01 12.45 Ξ” -0.44 - 1.49% 12.15% 21.76% 1.29% +30.38% Financial Services
582 KMB Kimberly-Clark Corporation $32.40B 97.60 18.88 12.88 Ξ” 6.00 23.14% 10.16% -6.58% 1.48% 5.25% -29.09% Consumer Defensive
583 O Realty Income Corporation $57.14B 61.28 50.23 35.60 Ξ” 14.63 3.27% 2.31% 19.80% 6.78% 5.30% +14.82% Real Estate
584 PNC The PNC Financial Services Group, Inc. $88.79B 221.12 12.86 10.51 Ξ” 2.34 - 1.26% 3.01% 4.71% 3.08% +31.50% Financial Services
585 UHS Universal Health Services, Inc. $8.84B 146.11 6.10 5.76 Ξ” 0.34 17.29% 8.35% 9.03% 30.13% 0.55% -22.94% Healthcare
586 HE Hawaiian Electric Industries, Inc. $2.30B 13.30 17.97 11.60 Ξ” 6.37 3.71% 1.62% -3.37% -19.61% - +24.53% Utilities
587 SUNS Sunrise Realty Trust, Inc. $120.31M 8.90 9.08 7.04 Ξ” 2.04 6.67% 4.71% 143.19% 76.79% 13.47% -6.17% Real Estate
588 FDX FedEx Corporation $98.25B 411.75 21.98 18.35 Ξ” 3.63 8.63% 5.03% -2.03% 2.27% 1.41% +92.99% Industrials
589 IT Gartner, Inc. $10.86B 162.20 16.03 10.58 Ξ” 5.45 27.24% 9.38% 5.87% -3.35% - -62.83% Technology
590 ADUS Addus HomeCare Corporation $1.71B 91.68 16.92 12.27 Ξ” 4.65 10.95% 6.30% 14.36% 27.73% - -17.34% Healthcare
591 IDXX IDEXX Laboratories, Inc. $44.45B 563.53 41.50 34.12 Ξ” 7.38 61.90% 26.46% 8.52% 15.98% - +9.77% Healthcare
592 JPM JPMorgan Chase & Co. $802.00B 299.31 14.33 12.71 Ξ” 1.62 - 1.27% 12.50% 14.83% 2.00% +15.58% Financial Services
593 REG Regency Centers Corporation $14.46B 77.35 26.58 30.70 Ξ” -4.12 5.98% 3.21% 8.27% 2.99% 3.91% +11.64% Real Estate
594 VABK Virginia National Bankshares Corporation $235.28M 43.39 11.76 - - - 1.22% -4.82% -6.33% 3.31% +20.36% Financial Services
595 NAGE Niagen Bioscience, Inc. $307.43M 3.86 18.38 12.06 Ξ” 6.32 16.53% 7.09% 21.56% 68.36% - -64.33% Healthcare
596 WOR Worthington Enterprises, Inc. $2.81B 56.77 172.03 14.57 Ξ” 157.46 8.74% 2.89% -4.13% -36.74% 1.34% -2.36% Industrials
597 FFIN First Financial Bankshares, Inc. $4.68B 32.68 17.76 15.29 Ξ” 2.47 - 1.78% 5.89% 2.65% 2.69% -5.15% Financial Services
598 SPG Simon Property Group, Inc. $77.86B 204.91 14.25 29.76 Ξ” -15.51 17.44% 5.56% 6.35% 29.32% 4.29% +31.91% Real Estate
599 EXPD Expeditors International of Washington, Inc. $20.66B 157.99 25.52 23.16 Ξ” 2.37 37.31% 14.17% -13.45% -15.80% 1.03% +41.86% Industrials
600 FTDR Frontdoor, Inc. $4.36B 62.07 17.73 12.35 Ξ” 5.38 23.97% 12.02% 7.99% 53.14% - +12.83% Consumer Cyclical
601 HLF Herbalife Ltd. $1.24B 11.96 5.25 3.79 Ξ” 1.45 27.61% 11.51% -1.08% -10.77% - +53.14% Consumer Defensive
602 AJG Arthur J. Gallagher & Co. $51.67B 201.11 32.59 13.54 Ξ” 19.05 6.58% 2.28% 17.70% 10.27% 1.39% -41.54% Financial Services
603 HPQ HP Inc. $24.73B 27.04 10.01 9.04 Ξ” 0.98 25.76% 5.88% -4.21% -6.88% 4.44% +14.08% Technology
604 ORLY O'Reilly Automotive, Inc. $72.00B 86.88 28.30 24.03 Ξ” 4.27 44.77% 13.81% 7.26% 5.32% - -4.70% Consumer Cyclical
605 LBRT Liberty Energy Inc. $4.77B 29.26 32.15 82.78 Ξ” -50.63 8.30% 1.31% -1.16% -28.21% 1.20% +158.17% Energy
606 NATR Nature's Sunshine Products, Inc. $374.21M 21.28 19.35 16.62 Ξ” 2.72 16.38% 6.83% 4.40% 1,701.79% - +37.65% Consumer Defensive
607 MGEE MGE Energy, Inc. $2.85B 75.50 19.36 18.34 Ξ” 1.02 6.66% 3.81% 1.34% 6.99% 2.51% -14.97% Utilities
608 BSVN Bank7 Corp. $421.33M 44.26 9.48 9.73 Ξ” -0.25 - 2.40% 10.02% 13.27% 2.44% +17.51% Financial Services
609 FCCO First Community Corporation $282.50M 30.06 11.79 9.51 Ξ” 2.28 - 0.94% 9.95% 9.54% 2.13% +29.80% Financial Services
610 PAHC Phibro Animal Health Corporation $1.25B 30.79 13.21 9.21 Ξ” 4.01 9.48% 8.40% 11.22% -0.62% 1.56% +27.76% Healthcare
611 DGX Quest Diagnostics Incorporated $21.57B 194.90 21.56 16.70 Ξ” 4.86 11.44% 6.35% 3.74% 1.60% 1.77% +14.47% Healthcare
612 FUNC First United Corporation $254.90M 39.54 10.11 8.40 Ξ” 1.71 - 1.26% 5.51% -0.71% 2.63% +35.27% Financial Services
613 MWA Mueller Water Products, Inc. $3.94B 25.21 19.10 15.96 Ξ” 3.14 17.64% 10.30% 4.65% 35.77% 1.10% +3.86% Industrials
614 PLUS ePlus inc. $2.17B 82.09 17.43 13.50 Ξ” 3.93 14.92% 5.64% 5.71% 3.58% 1.32% +16.11% Technology
615 HQI HireQuest, Inc. $183.31M 13.15 27.40 21.56 Ξ” 5.84 9.63% 4.70% -0.34% -20.20% 1.82% +34.61% Industrials
616 RJF Raymond James Financial, Inc. $27.95B 143.41 13.55 10.72 Ξ” 2.83 - 2.45% 8.45% 12.26% 1.51% -1.13% Financial Services
617 SMBC Southern Missouri Bancorp, Inc. $760.74M 69.06 11.55 10.23 Ξ” 1.32 - 1.33% 13.54% 7.49% 1.45% +33.35% Financial Services
618 STEL Stellar Bancorp, Inc. $1.90B 37.34 18.13 15.91 Ξ” 2.22 - 0.99% 11.03% 26.00% 1.61% +41.31% Financial Services
619 WFC Wells Fargo & Company $237.29B 77.54 11.98 9.82 Ξ” 2.17 - 1.05% 4.02% 15.98% 2.32% +5.97% Financial Services
620 IQV IQVIA Holdings Inc. $30.41B 182.21 22.63 12.84 Ξ” 9.79 10.74% 5.13% 4.21% 7.62% - +29.84% Healthcare
621 PLBC Plumas Bancorp $366.73M 52.63 11.15 9.13 Ξ” 2.02 - 1.68% 10.08% 3.85% 2.51% +24.27% Financial Services
622 FCF First Commonwealth Financial Corporation $1.93B 18.94 12.46 9.65 Ξ” 2.81 - 1.31% 8.36% 5.92% 2.96% +25.16% Financial Services
623 FELE Franklin Electric Co., Inc. $4.35B 98.38 29.63 19.37 Ξ” 10.27 14.88% 8.95% 1.41% -7.74% 1.14% +15.14% Industrials
624 PECO Phillips Edison & Company, Inc. $5.57B 40.15 43.64 52.42 Ξ” -8.78 4.67% 2.46% 8.09% 32.06% 3.24% +17.34% Real Estate
625 USB U.S. Bancorp $85.14B 54.85 11.50 9.71 Ξ” 1.79 - 1.14% 5.68% 9.13% 3.76% +31.17% Financial Services
626 VALU Value Line, Inc. $302.27M 32.20 13.76 - - 4.95% 2.06% -4.70% -4.60% 4.32% -14.92% Financial Services
627 LTH Life Time Group Holdings, Inc. $7.36B 33.08 19.35 16.95 Ξ” 2.39 6.51% 4.09% 18.01% 6,980.18% - +15.66% Consumer Cyclical
628 AME AMETEK, Inc. $51.77B 225.85 34.12 25.63 Ξ” 8.48 14.21% 8.01% 6.36% 8.48% 0.60% +27.18% Industrials
629 ATO Atmos Energy Corporation $28.23B 169.13 20.83 18.85 Ξ” 1.97 6.14% 3.88% 3.83% 15.68% 2.37% +11.78% Utilities
630 XYL Xylem Inc. $26.04B 109.54 27.25 17.98 Ξ” 9.27 8.19% 5.01% 17.84% 39.17% 1.57% -11.96% Industrials
631 WSR Whitestone REIT $992.69M 19.08 19.88 42.59 Ξ” -22.71 7.58% 2.97% 4.78% 12.28% 2.99% +60.21% Real Estate
632 IBM AI International Business Machines Corporation $279.90B 297.80 26.38 22.13 Ξ” 4.24 10.83% 5.37% 3.72% 86.23% 2.27% +17.89% Technology
633 SYK Stryker Corporation $116.96B 305.09 35.35 18.25 Ξ” 17.10 12.79% 7.72% 10.83% 11.24% 1.15% -19.50% Healthcare
634 FMBH First Mid Bancshares, Inc. $1.17B 44.05 11.12 9.00 Ξ” 2.12 - 1.14% 10.36% 7.94% 2.27% +28.01% Financial Services
635 FAST Fastenal Company $50.74B 44.20 39.12 32.31 Ξ” 6.81 38.30% 21.20% 5.52% 5.00% 2.08% +9.16% Industrials
636 SRE Sempra $58.26B 89.13 30.32 16.10 Ξ” 14.22 3.04% 1.81% -1.73% -4.95% 2.95% +16.87% Utilities
637 KHC The Kraft Heinz Company $28.47B 24.01 - 11.41 - -6.16% 3.47% -1.98% -115.80% 6.66% -5.86% Consumer Defensive
638 EXPO Exponent, Inc. $2.83B 58.32 27.25 21.13 Ξ” 6.12 19.98% 10.06% 4.28% 1.18% 2.09% -22.35% Industrials
639 PFBC Preferred Bank $1.13B 95.82 8.95 8.55 Ξ” 0.40 - 1.83% 3.66% 1.22% 3.34% +18.51% Financial Services
640 RGCO RGC Resources, Inc. $239.88M 23.05 17.20 16.70 Ξ” 0.50 7.78% 3.61% 4.24% 47.28% 3.65% +16.60% Utilities
641 LIN Linde plc $230.11B 497.69 33.00 25.25 Ξ” 7.75 13.07% 7.24% 0.62% 18.48% 1.29% +7.88% Basic Materials
642 AVA Avista Corporation $3.43B 41.47 16.52 14.86 Ξ” 1.66 4.88% 2.79% 4.72% 7.58% 4.74% +13.09% Utilities
643 PAYO Payoneer Global Inc. $1.74B 5.20 26.00 13.88 Ξ” 12.12 14.28% 1.05% 12.79% 237.15% - -23.64% Technology
644 VLTO Veralto Corporation $20.20B 82.23 21.19 17.68 Ξ” 3.51 22.51% 11.32% 4.16% 3.62% 0.63% -18.21% Industrials
645 WM Waste Management, Inc. $84.92B 211.46 30.60 22.87 Ξ” 7.74 10.76% 6.60% 8.56% 6.56% 1.67% -10.92% Industrials
646 SBH Sally Beauty Holdings, Inc. $1.27B 13.28 7.34 5.94 Ξ” 1.39 14.28% 6.37% -1.01% 2.19% - +52.47% Consumer Cyclical
647 TCBX Third Coast Bancshares, Inc. $634.81M 38.26 9.84 9.10 Ξ” 0.73 - 1.20% 19.19% 52.59% - +24.79% Financial Services
648 HVT Haverty Furniture Companies, Inc. $373.25M 23.19 19.01 8.97 Ξ” 10.04 4.11% 2.20% -10.17% -39.56% 5.69% +17.30% Consumer Cyclical
649 PNR Pentair plc $11.45B 70.84 17.80 12.19 Ξ” 5.61 13.98% 8.88% 0.44% 10.78% 1.50% -27.85% Industrials
650 ED Consolidated Edison, Inc. $38.93B 105.63 17.81 16.28 Ξ” 1.54 5.63% 3.17% 2.59% 6.81% 3.29% +4.45% Utilities
651 FE FirstEnergy Corp. $26.83B 46.39 25.21 15.74 Ξ” 9.47 5.12% 3.76% 6.59% 35.94% 4.01% +15.10% Utilities
652 WAB Westinghouse Air Brake Technologies Corporation $44.31B 261.16 36.89 21.53 Ξ” 15.36 10.74% 6.04% 10.12% 22.72% 0.47% +29.72% Industrials
653 GL Globe Life Inc. $11.90B 153.24 10.60 9.20 Ξ” 1.40 - 3.31% 4.67% 9.09% 0.86% +26.81% Financial Services
654 HUBB Hubbell Incorporated $25.03B 473.61 28.01 21.75 Ξ” 6.26 17.61% 10.20% 5.71% 17.57% 1.20% +23.04% Industrials
655 JKHY Jack Henry & Associates, Inc. $9.69B 136.32 19.04 19.28 Ξ” -0.24 23.78% 13.66% 6.93% 7.89% 1.75% -23.96% Technology
656 PBH Prestige Consumer Healthcare Inc. $2.25B 47.53 12.16 9.37 Ξ” 2.78 8.89% 5.61% -1.17% 110.40% - -44.52% Healthcare
657 WEYS Weyco Group, Inc. $336.39M 35.29 14.23 24.34 Ξ” -10.11 11.82% 6.23% -7.75% -7.90% 3.09% +23.50% Consumer Cyclical
658 NPO Enpro Inc. $6.49B 306.99 149.02 29.62 Ξ” 119.40 3.70% 4.34% 1.32% -41.77% 0.41% +66.77% Industrials
659 PAGS PagSeguro Digital Ltd. $2.61B 9.35 6.49 4.80 Ξ” 1.69 26.05% 6.51% 10.00% 12.08% 11.12% +8.98% Technology
660 CPT Camden Property Trust $10.56B 106.56 29.77 87.11 Ξ” -57.35 6.26% 1.58% 3.41% -16.21% 3.98% -5.59% Real Estate
661 CTVA Corteva, Inc. $52.36B 78.28 42.31 19.08 Ξ” 23.23 6.08% 4.33% -0.10% -1.56% 0.92% +11.65% Basic Materials
662 EAT Brinker International, Inc. $6.11B 142.38 13.86 11.41 Ξ” 2.45 25.62% 13.88% 12.28% 48.24% - -17.52% Consumer Cyclical
663 GPI Group 1 Automotive, Inc. $3.76B 316.34 12.02 6.66 Ξ” 5.36 10.57% 6.00% 11.64% -24.36% 0.70% -24.99% Consumer Cyclical
664 URBN Urban Outfitters, Inc. $6.52B 72.65 13.97 10.89 Ξ” 3.08 15.47% 8.46% 8.74% 42.79% - +3.93% Consumer Cyclical
665 DUK Duke Energy Corporation $95.68B 122.73 18.88 17.12 Ξ” 1.76 5.35% 2.78% 3.87% 24.90% 3.47% +7.90% Utilities
666 GD General Dynamics Corporation $93.79B 346.82 21.84 19.11 Ξ” 2.73 13.61% 6.00% 10.07% 7.49% 1.76% +26.82% Industrials
667 LEGH Legacy Housing Corporation $571.00M 24.01 13.56 11.30 Ξ” 2.27 9.67% 5.41% -13.81% -14.87% - +7.72% Consumer Cyclical
668 CVNA Carvana Co. $80.07B 73.00 42.44 34.57 Ξ” 7.87 -3.30% 11.43% 14.31% 62.89% - +11.57% Consumer Cyclical
669 NE Noble Corporation plc $7.42B 46.48 32.50 18.06 Ξ” 14.44 6.43% 3.37% 32.46% 8.65% 4.30% +99.77% Energy
670 CPK Chesapeake Utilities Corporation $2.96B 123.32 19.79 16.86 Ξ” 2.93 7.66% 4.34% 10.96% 16.04% 2.38% +3.16% Utilities
671 ITW Illinois Tool Works Inc. $71.14B 247.28 22.94 20.32 Ξ” 2.62 38.63% 17.04% 0.23% 0.35% 2.60% +3.45% Industrials
672 KLAC AI KLA Corporation $251.03B 1,921.71 54.35 38.55 Ξ” 15.80 41.28% 21.28% 9.69% 6.93% 0.48% +155.54% Technology
673 KFY Korn Ferry $3.63B 69.98 13.88 12.14 Ξ” 1.74 12.57% 5.96% 1.46% -8.98% 3.14% +5.91% Industrials
674 OSBC Old Second Bancorp, Inc. $1.10B 21.32 12.77 9.29 Ξ” 3.48 - 1.37% 10.79% 6.01% 1.27% +30.74% Financial Services
675 PSMT PriceSmart, Inc. $5.25B 169.99 33.53 24.11 Ξ” 9.42 14.13% 6.95% 9.03% 12.26% 0.82% +59.03% Consumer Defensive
676 TDG TransDigm Group Incorporated $70.38B 1,258.32 39.21 26.84 Ξ” 12.37 20.27% 11.77% 17.61% 33.79% - -8.42% Industrials
677 TRN Trinity Industries, Inc. $2.58B 32.44 10.23 13.66 Ξ” -3.43 8.27% 2.53% 2.94% 61.49% 3.82% +31.42% Industrials
678 VRSN AI VeriSign, Inc. $25.97B 285.38 31.53 26.79 Ξ” 4.74 - 52.07% 5.15% 7.01% 1.14% +6.04% Technology
679 ESE ESCO Technologies Inc. $7.56B 291.90 57.46 31.82 Ξ” 25.64 8.96% 5.78% 8.50% 53.76% 0.11% +61.30% Technology
680 TMO Thermo Fisher Scientific Inc. $183.03B 492.51 27.11 18.04 Ξ” 9.06 9.17% 5.00% -0.27% -1.19% 0.38% +22.72% Healthcare
681 VEL Velocity Financial, Inc. $686.97M 17.50 6.23 5.12 Ξ” 1.10 - 1.60% 50.61% 48.30% - +4.48% Financial Services
682 ADBE AI Adobe Inc. $104.77B 259.21 15.11 9.82 Ξ” 5.28 46.63% 18.91% 10.52% 14.45% - -37.55% Technology
683 CPRX Catalyst Pharmaceuticals, Inc. $3.82B 31.23 18.05 9.96 Ξ” 8.09 26.94% 16.27% 40.10% 37.15% - +25.12% Healthcare
684 HCA HCA Healthcare, Inc. $83.98B 378.54 13.04 11.42 Ξ” 1.62 27.23% 12.34% 7.87% 6.33% 0.82% -0.08% Healthcare
685 PJT PJT Partners Inc. $6.24B 152.90 22.16 17.88 Ξ” 4.28 20.55% 21.94% 18.67% 25.77% 0.65% +2.12% Financial Services
686 INTU AI Intuit Inc. $90.69B 331.53 20.24 12.13 Ξ” 8.11 19.11% 9.46% 13.95% 23.26% 1.45% -55.64% Technology
687 TNET TriNet Group, Inc. $2.10B 45.68 13.51 9.45 Ξ” 4.07 23.53% 4.19% 0.69% -24.14% 2.54% -43.96% Industrials
688 TXT Textron Inc. $15.96B 91.76 17.51 12.58 Ξ” 4.94 9.17% 4.56% 4.77% 2.27% 0.09% +24.07% Industrials
689 ADP Automatic Data Processing, Inc. $88.68B 221.84 20.71 18.19 Ξ” 2.52 47.69% 5.95% 7.61% 11.43% 3.07% -30.14% Technology
690 RMD ResMed Inc. $27.64B 190.57 18.38 15.62 Ξ” 2.75 23.58% 14.71% 12.88% 21.58% 1.26% -21.39% Healthcare
691 NBBK NB Bancorp, Inc. $878.24M 20.03 14.62 8.09 Ξ” 6.53 - 0.84% 23.53% 18.72% 1.40% +20.62% Financial Services
692 SBSI Southside Bancshares, Inc. $974.67M 32.76 13.88 9.43 Ξ” 4.45 - 0.83% -2.17% -12.97% 4.40% +21.81% Financial Services
693 QLYS Qualys, Inc. $3.85B 109.29 19.62 13.23 Ξ” 6.39 35.36% 13.85% 10.96% 22.46% - -21.12% Technology
Ad space

Explore More

πŸ” All Stock Screens πŸ“ˆ Technical Screens πŸ’° Fundamental Screens πŸ”„ Swing Trading πŸ“ Chart Patterns πŸ“‹ All USA Stocks πŸ“… Earnings Calendar βš™οΈ Custom Screener