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iShares Russell 1000 Value ETF Holdings

IWD was created on 2000-05-22 by iShares. The fund's investment portfolio concentrates primarily on large cap equity. The ETF currently has 60672.68m in AUM and 869 holdings. IWD tracks an index of US large- and mid-cap value stocks. The index selects from US stocks ranked 1-1,000 by market cap.

Last Updated: 4 days, 10 hours ago

Last reported holdings - iShares Russell 1000 Value ETF

Ticker Name Est. Value
BRK.B
BERKSHIRE HATHAWAY INC CLASS B $2.1 billion
JPM
JPMORGAN CHASE & CO $1.9 billion
XOM
EXXON MOBIL CORP $1.2 billion
WMT
WALMART INC $994.6 million
JNJ
JOHNSON & JOHNSON $876.2 million
BAC
BANK OF AMERICA CORP $723.1 million
PG
PROCTER & GAMBLE $698.2 million
PM
PHILIP MORRIS INTERNATIONAL INC $684.1 million
UNH
UNITEDHEALTH GROUP INC $634.5 million
CSCO
CISCO SYSTEMS INC $633.3 million
IBM
INTERNATIONAL BUSINESS MACHINES CO $626.1 million
WFC
WELLS FARGO $592.8 million
CVX
CHEVRON CORP $584.5 million
ABT
ABBOTT LABORATORIES $551.9 million
LIN
LINDE PLC $531.1 million
DIS
WALT DISNEY $515.7 million
GE
GE AEROSPACE $480.3 million
T
AT&T INC $478.5 million
MCD
MCDONALDS CORP $470.7 million
RTX
RTX CORP $467.4 million
ACN
ACCENTURE PLC CLASS A $463.3 million
ABBV
ABBVIE INC $449.8 million
VZ
VERIZON COMMUNICATIONS INC $423.2 million
TXN
TEXAS INSTRUMENT INC $382.4 million
SPGI
S&P GLOBAL INC $379.0 million
TMO
THERMO FISHER SCIENTIFIC INC $361.3 million
CAT
CATERPILLAR INC $359.1 million
BSX
BOSTON SCIENTIFIC CORP $358.8 million
C
CITIGROUP INC $357.3 million
NEE
NEXTERA ENERGY INC $354.6 million
BLK
BLACKROCK INC $348.5 million
MS
MORGAN STANLEY $344.6 million
GS
GOLDMAN SACHS GROUP INC $337.6 million
XTSLA
BLK CSH FND TREASURY SL AGENCY $332.5 million
PFE
PFIZER INC $326.3 million
GILD
GILEAD SCIENCES INC $324.8 million
MU
MICRON TECHNOLOGY INC $323.6 million
SCHW
CHARLES SCHWAB CORP $323.1 million
GEV
GE VERNOVA INC $321.8 million
ETN
EATON PLC $318.4 million
DE
DEERE $315.3 million
CMCSA
COMCAST CORP CLASS A $309.6 million
DHR
DANAHER CORP $302.4 million
COF
CAPITAL ONE FINANCIAL CORP $300.9 million
BA
BOEING $297.9 million
HON
HONEYWELL INTERNATIONAL INC $294.4 million
COP
CONOCOPHILLIPS $292.5 million
LOW
LOWES COMPANIES INC $287.1 million
KO
COCA-COLA $276.5 million
CB
CHUBB LTD $275.1 million
ADI
ANALOG DEVICES INC $274.2 million
MDT
MEDTRONIC PLC $265.2 million
TMUS
T MOBILE US INC $250.8 million
AXP
AMERICAN EXPRESS $247.4 million
ICE
INTERCONTINENTAL EXCHANGE INC $246.1 million
MO
ALTRIA GROUP INC $243.1 million
CME
CME GROUP INC CLASS A $235.7 million
PLD
PROLOGIS REIT INC $234.0 million
SO
SOUTHERN $233.9 million
BMY
BRISTOL MYERS SQUIBB $228.9 million
SYK
STRYKER CORP $228.8 million
WELL
WELLTOWER INC $227.5 million
INTC
INTEL CORPORATION CORP $224.5 million
MMC
MARSH & MCLENNAN INC $219.7 million
MDLZ
MONDELEZ INTERNATIONAL INC CLASS A $214.1 million
DUK
DUKE ENERGY CORP $213.0 million
CVS
CVS HEALTH CORP $202.4 million
PH
PARKER-HANNIFIN CORP $201.0 million
CEG
CONSTELLATION ENERGY CORP $195.5 million
EQIX
EQUINIX REIT INC $194.8 million
MSTR
MICROSTRATEGY INC CLASS A $192.5 million
CI
CIGNA $185.3 million
GD
GENERAL DYNAMICS CORP $183.2 million
EMR
EMERSON ELECTRIC $177.1 million
ELV
ELEVANCE HEALTH INC $176.9 million
AJG
ARTHUR J GALLAGHER $174.8 million
UPS
UNITED PARCEL SERVICE INC CLASS B $174.3 million
WMB
WILLIAMS INC $173.3 million
UNP
UNION PACIFIC CORP $170.0 million
PNC
PNC FINANCIAL SERVICES GROUP INC $167.7 million
HD
HOME DEPOT INC $167.6 million
AMD
ADVANCED MICRO DEVICES INC $167.2 million
EOG
EOG RESOURCES INC $167.1 million
AON
AON PLC CLASS A $165.9 million
PYPL
PAYPAL HOLDINGS INC $165.7 million
JCI
JOHNSON CONTROLS INTERNATIONAL PLC $164.4 million
NOC
NORTHROP GRUMMAN CORP $162.7 million
USB
US BANCORP $162.5 million
LMT
LOCKHEED MARTIN CORP $161.9 million
NEM
NEWMONT $160.0 million
BK
BANK OF NEW YORK MELLON CORP $158.6 million
HWM
HOWMET AEROSPACE INC $156.0 million
MMM
3M $152.0 million
TT
TRANE TECHNOLOGIES PLC $150.9 million
FI
FISERV INC $150.2 million
CSX
CSX CORP $149.7 million
TDG
TRANSDIGM GROUP INC $148.0 million
CRH
CRH PUBLIC LIMITED PLC $147.4 million
APD
AIR PRODUCTS AND CHEMICALS INC $147.3 million
TRV
TRAVELERS COMPANIES INC $144.3 million
ROP
ROPER TECHNOLOGIES INC $143.0 million
MRVL
MARVELL TECHNOLOGY INC $142.4 million
FCX
FREEPORT MCMORAN INC $142.0 million
KKR
KKR AND CO INC $141.4 million
CARR
CARRIER GLOBAL CORP $141.2 million
DLR
DIGITAL REALTY TRUST REIT INC $141.0 million
MAR
MARRIOTT INTERNATIONAL INC CLASS A $140.5 million
VRTX
VERTEX PHARMACEUTICALS INC $139.7 million
NSC
NORFOLK SOUTHERN CORP $137.7 million
TJX
TJX INC $136.9 million
AFL
AFLAC INC $136.5 million
AEP
AMERICAN ELECTRIC POWER INC $129.9 million
MPC
MARATHON PETROLEUM CORP $129.6 million
KMI
KINDER MORGAN INC $128.7 million
TFC
TRUIST FINANCIAL CORP $128.0 million
HCA
HCA HEALTHCARE INC $126.9 million
MCK
MCKESSON CORP $126.9 million
HOOD
ROBINHOOD MARKETS INC CLASS A $126.8 million
AIG
AMERICAN INTERNATIONAL GROUP INC $126.6 million
PSX
PHILLIPS $124.1 million
CTVA
CORTEVA INC $122.8 million
RSG
REPUBLIC SERVICES INC $122.8 million
SLB
SCHLUMBERGER NV $121.9 million
OKE
ONEOK INC $121.2 million
O
REALTY INCOME REIT CORP $120.9 million
FDX
FEDEX CORP $119.2 million
REGN
REGENERON PHARMACEUTICALS INC $118.5 million
BDX
BECTON DICKINSON $117.4 million
GM
GENERAL MOTORS $114.6 million
SRE
SEMPRA $113.5 million
LHX
L3HARRIS TECHNOLOGIES INC $113.5 million
PCAR
PACCAR INC $112.4 million
APH
AMPHENOL CORP CLASS A $110.9 million
MET
METLIFE INC $109.5 million
D
DOMINION ENERGY INC $109.4 million
ITW
ILLINOIS TOOL INC $106.4 million
TGT
TARGET CORP $106.0 million
VLO
VALERO ENERGY CORP $106.0 million
KR
KROGER $104.7 million
ALL
ALLSTATE CORP $104.5 million
FIS
FIDELITY NATIONAL INFORMATION SERV $104.4 million
CCI
CROWN CASTLE INC $104.1 million
CMI
CUMMINS INC $103.6 million
EXC
EXELON CORP $102.1 million
TTWO
TAKE TWO INTERACTIVE SOFTWARE INC $101.7 million
KDP
KEURIG DR PEPPER INC $101.7 million
RCL
ROYAL CARIBBEAN GROUP LTD $99.9 million
AME
AMETEK INC $98.9 million
F
FORD MOTOR CO $98.7 million
PEG
PUBLIC SERVICE ENTERPRISE GROUP IN $98.6 million
KVUE
KENVUE INC $98.5 million
CBRE
CBRE GROUP INC CLASS A $98.3 million
FERG
FERGUSON ENTERPRISES INC $96.4 million
EA
ELECTRONIC ARTS INC $96.1 million
CTSH
COGNIZANT TECHNOLOGY SOLUTIONS COR $94.9 million
PSA
PUBLIC STORAGE REIT $93.9 million
BKR
BAKER HUGHES CLASS A $93.7 million
GLW
CORNING INC $93.2 million
OTIS
OTIS WORLDWIDE CORP $92.0 million
XEL
XCEL ENERGY INC $91.8 million
SPG
SIMON PROPERTY GROUP REIT INC $91.1 million
PRU
PRUDENTIAL FINANCIAL INC $90.2 million
PEP
PEPSICO INC $89.8 million
EBAY
EBAY INC $89.4 million
CRM
SALESFORCE INC $87.8 million
PWR
QUANTA SERVICES INC $87.5 million
HIG
HARTFORD INSURANCE GROUP INC $87.2 million
MCHP
MICROCHIP TECHNOLOGY INC $86.8 million
NDAQ
NASDAQ INC $85.7 million
EW
EDWARDS LIFESCIENCES CORP $84.3 million
MSI
MOTOROLA SOLUTIONS INC $84.2 million
CHTR
CHARTER COMMUNICATIONS INC CLASS A $84.1 million
ED
CONSOLIDATED EDISON INC $84.0 million
URI
UNITED RENTALS INC $83.5 million
ETR
ENTERGY CORP $83.1 million
DHI
D R HORTON INC $82.9 million
AMGN
AMGEN INC $82.7 million
WAB
WESTINGHOUSE AIR BRAKE TECHNOLOGIE $82.5 million
VICI
VICI PPTYS INC $82.0 million
A
AGILENT TECHNOLOGIES INC $79.9 million
CSGP
COSTAR GROUP INC $79.6 million
ROK
ROCKWELL AUTOMATION INC $79.6 million
WEC
WEC ENERGY GROUP INC $79.1 million
EQT
EQT CORP $79.0 million
IR
INGERSOLL RAND INC $78.5 million
ACGL
ARCH CAPITAL GROUP LTD $78.5 million
CL
COLGATE-PALMOLIVE $77.7 million
ROST
ROSS STORES INC $77.2 million
MLM
MARTIN MARIETTA MATERIALS INC $75.1 million
PAYX
PAYCHEX INC $74.6 million
OXY
OCCIDENTAL PETROLEUM CORP $74.4 million
GRMN
GARMIN LTD $74.0 million
PCG
PG&E CORP $73.9 million
DAL
DELTA AIR LINES INC $73.8 million
EXR
EXTRA SPACE STORAGE REIT INC $73.8 million
XYL
XYLEM INC $72.8 million
MTB
M&T BANK CORP $72.8 million
RJF
RAYMOND JAMES INC $72.4 million
WTW
WILLIS TOWERS WATSON PLC $72.1 million
GEHC
GE HEALTHCARE TECHNOLOGIES INC $71.3 million
NUE
NUCOR CORP $71.3 million
ANSS
ANSYS INC $70.8 million
HUM
HUMANA INC $70.7 million
AVB
AVALONBAY COMMUNITIES REIT INC $70.6 million
GIS
GENERAL MILLS INC $70.3 million
STT
STATE STREET CORP $69.9 million
HLT
HILTON WORLDWIDE HOLDINGS INC $69.7 million
FANG
DIAMONDBACK ENERGY INC $67.5 million
DD
DUPONT DE NEMOURS INC $67.4 million
KEYS
KEYSIGHT TECHNOLOGIES INC $67.3 million
EXE
EXPAND ENERGY CORP $67.2 million
CNC
CENTENE CORP $67.0 million
AWK
AMERICAN WATER WORKS INC $66.2 million
DTE
DTE ENERGY $65.6 million
DELL
DELL TECHNOLOGIES INC CLASS C $65.0 million
NKE
NIKE INC CLASS B $64.8 million
RMD
RESMED INC $63.9 million
VTR
VENTAS REIT INC $63.3 million
FITB
FIFTH THIRD BANCORP $63.0 million
EQR
EQUITY RESIDENTIAL REIT $62.8 million
LNG
CHENIERE ENERGY INC $62.0 million
ADM
ARCHER DANIELS MIDLAND $62.0 million
WBD
WARNER BROS. DISCOVERY INC SERIES $61.9 million
VMC
VULCAN MATERIALS $61.2 million
STZ
CONSTELLATION BRANDS INC CLASS A $60.6 million
AEE
AMEREN CORP $60.5 million
PPG
PPG INDUSTRIES INC $60.2 million
KMB
KIMBERLY CLARK CORP $60.1 million
PPL
PPL CORP $59.9 million
EFX
EQUIFAX INC $59.8 million
IQV
IQVIA HOLDINGS INC $59.7 million
DG
DOLLAR GENERAL CORP $59.5 million
SBAC
SBA COMMUNICATIONS REIT CORP CLASS $59.0 million
UAL
UNITED AIRLINES HOLDINGS INC $58.7 million
CCL
CARNIVAL CORP $58.5 million
FTV
FORTIVE CORP $58.4 million
IP
INTERNATIONAL PAPER $58.1 million
DOV
DOVER CORP $57.9 million
YUM
YUM BRANDS INC $57.8 million
CBOE
CBOE GLOBAL MARKETS INC $57.7 million
SYF
SYNCHRONY FINANCIAL $57.6 million
PGR
PROGRESSIVE CORP $57.6 million
MTD
METTLER TOLEDO INC $57.4 million
LEN
LENNAR A CORP CLASS A $57.3 million
ATO
ATMOS ENERGY CORP $57.0 million
CHD
CHURCH AND DWIGHT INC $56.4 million
SBUX
STARBUCKS CORP $56.4 million
HPE
HEWLETT PACKARD ENTERPRISE $56.2 million
STE
STERIS $56.0 million
CNP
CENTERPOINT ENERGY INC $55.4 million
ES
EVERSOURCE ENERGY $55.1 million
FE
FIRSTENERGY CORP $55.1 million
KHC
KRAFT HEINZ $54.9 million
HBAN
HUNTINGTON BANCSHARES INC $54.6 million
TDY
TELEDYNE TECHNOLOGIES INC $54.5 million
CINF
CINCINNATI FINANCIAL CORP $53.8 million
IBKR
INTERACTIVE BROKERS GROUP INC CLAS $53.5 million
ON
ON SEMICONDUCTOR CORP $53.4 million
LH
LABCORP HOLDINGS INC $52.9 million
SW
SMURFIT WESTROCK PLC $52.9 million
VRSN
VERISIGN INC $52.6 million
CVNA
CARVANA CLASS A $52.2 million
NTRS
NORTHERN TRUST CORP $51.8 million
WRB
WR BERKLEY CORP $51.5 million
HUBB
HUBBELL INC $51.4 million
HSY
HERSHEY FOODS $51.3 million
FCNCA
FIRST CITIZENS BANCSHARES INC CLAS $51.2 million
DVN
DEVON ENERGY CORP $51.0 million
K
KELLANOVA $49.8 million
INVH
INVITATION HOMES INC $49.7 million
AMCR
AMCOR PLC $49.4 million
CMS
CMS ENERGY CORP $49.3 million
WDC
WESTERN DIGITAL CORP $49.2 million
ZM
ZOOM COMMUNICATIONS INC CLASS A $49.2 million
PHM
PULTEGROUP INC $48.8 million
XYZ
BLOCK INC CLASS A $48.8 million
TROW
T ROWE PRICE GROUP INC $48.8 million
JBL
JABIL INC $48.3 million
DOW
DOW INC $48.2 million
DGX
QUEST DIAGNOSTICS INC $48.1 million
RF
REGIONS FINANCIAL CORP $48.1 million
LDOS
LEIDOS HOLDINGS INC $47.4 million
DLTR
DOLLAR TREE INC $47.4 million
HAL
HALLIBURTON $47.3 million
CTRA
COTERRA ENERGY INC $47.2 million
NVR
NVR INC $47.1 million
TPR
TAPESTRY INC $47.1 million
GPN
GLOBAL PAYMENTS INC $46.7 million
EIX
EDISON INTERNATIONAL $46.3 million
RBA
RB GLOBAL INC $46.3 million
IFF
INTERNATIONAL FLAVORS & FRAGRANCES $46.1 million
WY
WEYERHAEUSER REIT $45.6 million
MKL
MARKEL GROUP INC $45.4 million
STLD
STEEL DYNAMICS INC $44.9 million
LUV
SOUTHWEST AIRLINES $44.8 million
MKC
MCCORMICK & CO NON-VOTING INC $44.4 million
BIIB
BIOGEN INC $44.4 million
NI
NISOURCE INC $44.3 million
NRG
NRG ENERGY INC $43.8 million
CFG
CITIZENS FINANCIAL GROUP INC $43.7 million
ESS
ESSEX PROPERTY TRUST REIT INC $43.7 million
ZBH
ZIMMER BIOMET HOLDINGS INC $43.3 million
CW
CURTISS WRIGHT CORP $42.5 million
APO
APOLLO GLOBAL MANAGEMENT INC $42.3 million
TRMB
TRIMBLE INC $42.0 million
CF
CF INDUSTRIES HOLDINGS INC $41.9 million
MSCI
MSCI INC $41.8 million
MAA
MID AMERICA APARTMENT COMMUNITIES $41.6 million
PFG
PRINCIPAL FINANCIAL GROUP INC $41.4 million
HPQ
HP INC $41.4 million
SSNC
SS AND C TECHNOLOGIES HOLDINGS INC $41.2 million
RS
RELIANCE STEEL & ALUMINUM $40.0 million
PKG
PACKAGING CORP OF AMERICA $39.9 million
FFIV
F5 INC $39.9 million
GPC
GENUINE PARTS $39.9 million
BALL
BALL CORP $39.8 million
BRO
BROWN & BROWN INC $39.8 million
CAH
CARDINAL HEALTH INC $39.5 million
USFD
US FOODS HOLDING CORP $39.4 million
AFRM
AFFIRM HOLDINGS INC CLASS A $38.5 million
GEN
GEN DIGITAL INC $38.5 million
PNR
PENTAIR $38.5 million
THC
TENET HEALTHCARE CORP $38.3 million
SNA
SNAP ON INC $38.3 million
SUI
SUN COMMUNITIES REIT INC $38.2 million
L
LOEWS CORP $38.2 million
APTV
APTIV PLC $38.0 million
J
JACOBS SOLUTIONS INC $37.7 million
TRU
TRANSUNION $37.4 million
CASY
CASEYS GENERAL STORES INC $37.4 million
LNT
ALLIANT ENERGY CORP $37.2 million
FSLR
FIRST SOLAR INC $36.9 million
TSN
TYSON FOODS INC CLASS A $36.8 million
BAX
BAXTER INTERNATIONAL INC $36.6 million
LYB
LYONDELLBASELL INDUSTRIES NV CLASS $36.6 million
FTI
TECHNIPFMC PLC $35.8 million
KEY
KEYCORP $35.7 million
EVRG
EVERGY INC $35.7 million
WSO
WATSCO INC $35.3 million
ACM
AECOM $35.2 million
BBY
BEST BUY INC $34.8 million
ILMN
ILLUMINA INC $34.6 million
TXT
TEXTRON INC $34.5 million
BJ
BJS WHOLESALE CLUB HOLDINGS INC $34.5 million
TWLO
TWILIO INC CLASS A $34.4 million
UNM
UNUM $34.3 million
HOLX
HOLOGIC INC $34.2 million
HES
HESS CORP $34.1 million
GGG
GRACO INC $34.0 million
FNF
FIDELITY NATIONAL FINANCIAL INC $34.0 million
WWD
WOODWARD INC $33.9 million
CSL
CARLISLE COMPANIES INC $33.6 million
SOFI
SOFI TECHNOLOGIES INC $33.4 million
KIM
KIMCO REALTY REIT CORP $33.4 million
WPC
W. P. CAREY REIT INC $33.2 million
SYY
SYSCO CORP $33.1 million
FWONK
LIBERTY MEDIA FORMULA ONE CORP SER $33.1 million
COO
COOPER INC $32.8 million
UDR
UDR REIT INC $32.7 million
RPRX
ROYALTY PHARMA PLC CLASS A $32.4 million
OMC
OMNICOM GROUP INC $32.4 million
EME
EMCOR GROUP INC $32.2 million
IEX
IDEX CORP $31.8 million
JKHY
JACK HENRY AND ASSOCIATES INC $31.8 million
EXPD
EXPEDITORS INTERNATIONAL OF WASHIN $31.7 million
NTNX
NUTANIX INC CLASS A $31.7 million
VLTO
VERALTO CORP $31.7 million
MAS
MASCO CORP $31.6 million
RGA
REINSURANCE GROUP OF AMERICA INC $31.0 million
EWBC
EAST WEST BANCORP INC $31.0 million
IRM
IRON MOUNTAIN INC $30.9 million
UTHR
UNITED THERAPEUTICS CORP $30.8 million
REG
REGENCY CENTERS REIT CORP $30.7 million
RNR
RENAISSANCERE HOLDING LTD $30.4 million
AR
ANTERO RESOURCES CORP $30.2 million
ITT
ITT INC $29.9 million
AMH
AMERICAN HOMES RENT REIT CLASS A $29.6 million
DRI
DARDEN RESTAURANTS INC $29.6 million
ZTS
ZOETIS INC CLASS A $29.5 million
ARE
ALEXANDRIA REAL ESTATE EQUITIES RE $29.3 million
NDSN
NORDSON CORP $29.1 million
FOXA
FOX CORP CLASS A $29.1 million
CCK
CROWN HOLDINGS INC $29.0 million
GLPI
GAMING AND LEISURE PROPERTIES REIT $29.0 million
TKO
TKO GROUP HOLDINGS INC CLASS A $29.0 million
ALLE
ALLEGION PLC $28.8 million
CPT
CAMDEN PROPERTY TRUST REIT $28.7 million
DOC
HEALTHPEAK PROPERTIES INC $28.7 million
ELS
EQUITY LIFESTYLE PROPERTIES REIT I $28.6 million
EG
EVEREST GROUP LTD $28.5 million
RGLD
ROYAL GOLD INC $28.5 million
EHC
ENCOMPASS HEALTH CORP $28.5 million
FTNT
FORTINET INC $28.3 million
ZBRA
ZEBRA TECHNOLOGIES CORP CLASS A $28.2 million
NVT
NVENT ELECTRIC PLC $28.2 million
AKAM
AKAMAI TECHNOLOGIES INC $28.2 million
JNPR
JUNIPER NETWORKS INC $28.2 million
RIVN
RIVIAN AUTOMOTIVE INC CLASS A $28.0 million
SWKS
SKYWORKS SOLUTIONS INC $27.9 million
MOS
MOSAIC $27.7 million
NTAP
NETAPP INC $27.7 million
CLH
CLEAN HARBORS INC $27.7 million
RVTY
REVVITY INC $27.6 million
AMAT
APPLIED MATERIAL INC $27.4 million
BG
BUNGE GLOBAL SA $27.4 million
APG
API GROUP CORP $27.3 million
JBHT
JB HUNT TRANSPORT SERVICES INC $27.3 million
BXP
BXP INC $27.3 million
CDW
CDW CORP $27.3 million
CNH
CNH INDUSTRIAL N.V. NV $27.1 million
PFGC
PERFORMANCE FOOD GROUP $26.9 million
OC
OWENS CORNING $26.8 million
EL
ESTEE LAUDER INC CLASS A $26.7 million
SCI
SERVICE $26.7 million
HST
HOST HOTELS & RESORTS REIT INC $26.6 million
GWRE
GUIDEWIRE SOFTWARE INC $26.5 million
BLDR
BUILDERS FIRSTSOURCE INC $26.5 million
CHRW
CH ROBINSON WORLDWIDE INC $26.2 million
NLY
ANNALY CAPITAL MANAGEMENT REIT INC $26.1 million
OVV
OVINTIV INC $25.8 million
QCOM
QUALCOMM INC $25.7 million
BKNG
BOOKING HOLDINGS INC $25.7 million
NWSA
NEWS CORP CLASS A $25.7 million
RBC
RBC BEARINGS INC $25.6 million
DTM
DT MIDSTREAM INC $25.5 million
RPM
RPM INTERNATIONAL INC $25.5 million
RL
RALPH LAUREN CORP CLASS A $25.5 million
ARMK
ARAMARK $25.5 million
BMRN
BIOMARIN PHARMACEUTICAL INC $25.3 million
FDS
FACTSET RESEARCH SYSTEMS INC $25.3 million
VTRS
VIATRIS INC $25.3 million
TOL
TOLL BROTHERS INC $25.2 million
Z
ZILLOW GROUP INC CLASS C $25.2 million
CIEN
CIENA CORP $25.1 million
ALAB
ASTERA LABS INC $25.1 million
COHR
COHERENT CORP $24.9 million
CG
CARLYLE GROUP INC $24.9 million
CAG
CONAGRA BRANDS INC $24.9 million
MTZ
MASTEC INC $24.8 million
DOX
AMDOCS LTD $24.7 million
INCY
INCYTE CORP $24.6 million
ATI
ATI INC $24.6 million
BWXT
BWX TECHNOLOGIES INC $24.5 million
DPZ
DOMINOS PIZZA INC $24.5 million
QIA.DE
QIAGEN NV $24.5 million
FHN
FIRST HORIZON CORP $24.5 million
SOLV
SOLVENTUM CORP $24.4 million
PNW
PINNACLE WEST CORP $24.3 million
CACI
CACI INTERNATIONAL INC CLASS A $24.3 million
RRC
RANGE RESOURCES CORP $24.3 million
OHI
OMEGA HEALTHCARE INVESTORS REIT IN $24.2 million
AIZ
ASSURANT INC $24.1 million
SJM
JM SMUCKER $24.0 million
ATR
APTARGROUP INC $23.9 million
SWK
STANLEY BLACK & DECKER INC $23.9 million
GL
GLOBE LIFE INC $23.9 million
DASH
DOORDASH INC CLASS A $23.8 million
TW
TRADEWEB MARKETS INC CLASS A $23.6 million
SF
STIFEL FINANCIAL CORP $23.3 million
UHS
UNIVERSAL HEALTH SERVICES INC CLAS $23.3 million
COIN
COINBASE GLOBAL INC CLASS A $23.3 million
LKQ
LKQ CORP $23.2 million
CUBE
CUBESMART REIT $23.1 million
WTRG
ESSENTIAL UTILITIES INC $22.8 million
SNX
TD SYNNEX CORP $22.8 million
KMX
CARMAX INC $22.5 million
RRX
REGAL REXNORD CORP $22.5 million
HII
HUNTINGTON INGALLS INDUSTRIES INC $22.2 million
GME
GAMESTOP CORP CLASS A $22.1 million
KD
KYNDRYL HOLDINGS INC $22.0 million
ADP
AUTOMATIC DATA PROCESSING INC $21.8 million
AVTR
AVANTOR INC $21.8 million
INGR
INGREDION INC $21.7 million
FYBR
FRONTIER COMMUNICATIONS PARENT INC $21.5 million
MNST
MONSTER BEVERAGE CORP $21.5 million
DKS
DICKS SPORTING INC $21.4 million
OKTA
OKTA INC CLASS A $21.3 million
AFG
AMERICAN FINANCIAL GROUP INC $21.3 million
WBS
WEBSTER FINANCIAL CORP $21.3 million
ACI
ALBERTSONS COMPANY INC CLASS A $21.3 million
OGE
OGE ENERGY CORP $21.3 million
HRL
HORMEL FOODS CORP $21.2 million
ROKU
ROKU INC CLASS A $21.2 million
HSIC
HENRY SCHEIN INC $21.2 million
CR
CRANE $21.1 million
ALLY
ALLY FINANCIAL INC $21.1 million
AVY
AVERY DENNISON CORP $21.0 million
EVR
EVERCORE INC CLASS A $21.0 million
NYT
NEW YORK TIMES CLASS A $20.9 million
IPG
INTERPUBLIC GROUP OF COMPANIES INC $20.9 million
LAD
LITHIA MOTORS INC CLASS A $20.8 million
PRI
PRIMERICA INC $20.8 million
ECL
ECOLAB INC $20.8 million
EMN
EASTMAN CHEMICAL $20.7 million
AYI
ACUITY INC $20.7 million
ORI
OLD REPUBLIC INTERNATIONAL CORP $20.7 million
EPAM
EPAM SYSTEMS INC $20.3 million
TAP
MOLSON COORS BREWING CLASS B $20.3 million
HLI
HOULIHAN LOKEY INC CLASS A $20.2 million
EGP
EASTGROUP PROPERTIES REIT INC $20.2 million
SEIC
SEI INVESTMENTS $20.2 million
MTSI
MACOM TECHNOLOGY SOLUTIONS INC $20.2 million
DCI
DONALDSON INC $19.9 million
MRNA
MODERNA INC $19.9 million
MKTX
MARKETAXESS HOLDINGS INC $19.8 million
WBA
WALGREEN BOOTS ALLIANCE INC $19.8 million
FRT
FEDERAL REALTY INVESTMENT TRUST RE $19.6 million
REXR
REXFORD INDUSTRIAL REALTY REIT INC $19.6 million
BLD
TOPBUILD CORP $19.4 million
LECO
LINCOLN ELECTRIC HOLDINGS INC $19.4 million
WYNN
WYNN RESORTS LTD $19.4 million
ALSN
ALLISON TRANSMISSION HOLDINGS INC $19.3 million
AGNC
AGNC INVESTMENT REIT CORP $19.3 million
WSM
WILLIAMS SONOMA INC $19.2 million
NNN
NNN REIT INC $19.1 million
TECH
BIO TECHNE CORP $19.0 million
UGI
UGI CORP $19.0 million
PNFP
PINNACLE FINANCIAL PARTNERS INC $19.0 million
BRBR
BELLRING BRANDS INC $19.0 million
LAMR
LAMAR ADVERTISING COMPANY CLAS $18.9 million
WAT
WATERS CORP $18.9 million
PTC
PTC INC $18.8 million
WAL
WESTERN ALLIANCE $18.8 million
AXS
AXIS CAPITAL HOLDINGS LTD $18.8 million
JLL
JONES LANG LASALLE INC $18.8 million
BRX
BRIXMOR PROPERTY GROUP REIT INC $18.8 million
WTFC
WINTRUST FINANCIAL CORP $18.7 million
MGM
MGM RESORTS INTERNATIONAL $18.7 million
ADC
AGREE REALTY REIT CORP $18.5 million
NFG
NATIONAL FUEL GAS $18.4 million
MIDD
MIDDLEBY CORP $18.4 million
SKX
SKECHERS USA INC CLASS A $18.3 million
LBRDK
LIBERTY BROADBAND CORP SERIES C $18.3 million
DAY
DAYFORCE INC $18.3 million
MTCH
MATCH GROUP INC $18.3 million
PR
PERMIAN RESOURCES CORP CLASS A $18.2 million
FAST
FASTENAL $18.2 million
WCC
WESCO INTERNATIONAL INC $18.1 million
AES
AES CORP $18.1 million
QRVO
QORVO INC $18.0 million
TTEK
TETRA TECH INC $18.0 million
CRL
CHARLES RIVER LABORATORIES INTERNA $18.0 million
AOS
A O SMITH CORP $18.0 million
CBSH
COMMERCE BANCSHARES INC $17.9 million
OLLI
OLLIES BARGAIN OUTLET HOLDINGS INC $17.9 million
CMA
COMERICA INC $17.8 million
APA
APA CORP $17.8 million
XP
XP CLASS A INC $17.7 million
BWA
BORGWARNER INC $17.7 million
CFR
CULLEN FROST BANKERS INC $17.6 million
CHE
CHEMED CORP $17.5 million
CART
MAPLEBEAR INC $17.5 million
G
GENPACT LTD $17.4 million
PARA
PARAMOUNT GLOBAL CLASS B $17.4 million
VNO
VORNADO REALTY TRUST REIT $17.3 million
OSK
OSHKOSH CORP $17.2 million
ALB
ALBEMARLE CORP $16.9 million
BEN
FRANKLIN RESOURCES INC $16.8 million
TTC
TORO $16.8 million
AA
ALCOA CORP $16.8 million
SHW
SHERWIN WILLIAMS $16.8 million
ZION
ZIONS BANCORPORATION $16.8 million
MTG
MGIC INVESTMENT CORP $16.3 million
KNX
KNIGHT-SWIFT TRANSPORTATION HOLDIN $16.3 million
SNV
SYNOVUS FINANCIAL CORP $16.2 million
JEF
JEFFERIES FINANCIAL GROUP INC $16.1 million
SLM
SLM CORP $16.1 million
ESAB
ESAB CORP $16.1 million
STAG
STAG INDUSTRIAL REIT INC $16.0 million
ELAN
ELANCO ANIMAL HEALTH INC $16.0 million
DOCS
DOXIMITY INC CLASS A $16.0 million
FOX
FOX CORP CLASS B $16.0 million
FR
FIRST INDUSTRIAL REALTY TRUST INC $15.8 million
ARW
ARROW ELECTRONICS INC $15.7 million
FICO
FAIR ISAAC CORP $15.7 million
MAT
MATTEL INC $15.6 million
KBR
KBR INC $15.6 million
VMI
VALMONT INDS INC $15.6 million
GMED
GLOBUS MEDICAL INC CLASS A $15.6 million
AXTA
AXALTA COATING SYSTEMS LTD $15.6 million
AAL
AMERICAN AIRLINES GROUP INC $15.5 million
BPOP
POPULAR INC $15.5 million
KEX
KIRBY CORP $15.5 million
COKE
COCA COLA CONSOLIDATED INC $15.4 million
VOYA
VOYA FINANCIAL INC $15.4 million
JAZZ
JAZZ PHARMACEUTICALS PLC $15.4 million
DINO
HF SINCLAIR CORP $15.4 million
STWD
STARWOOD PROPERTY TRUST REIT INC $15.4 million
AGCO
AGCO CORP $15.3 million
CHRD
CHORD ENERGY CORP $15.3 million
GPK
GRAPHIC PACKAGING HOLDING $15.2 million
R
RYDER SYSTEM INC $15.1 million
WST
WEST PHARMACEUTICAL SERVICES INC $15.1 million
SNDK
SANDISK CORP $15.1 million
MSA
MSA SAFETY INC $14.9 million
MOH
MOLINA HEALTHCARE INC $14.8 million
CPB
CAMPBELL SOUP $14.8 million
FLS
FLOWSERVE CORP $14.8 million
FBIN
FORTUNE BRANDS INNOVATIONS INC $14.8 million
PB
PROSPERITY BANCSHARES INC $14.8 million
OMF
ONEMAIN HOLDINGS INC $14.8 million
DAR
DARLING INGREDIENTS INC $14.7 million
BBWI
BATH AND BODY WORKS INC $14.6 million
HRB
H&R BLOCK INC $14.6 million
THG
HANOVER INSURANCE GROUP INC $14.5 million
IDA
IDACORP INC $14.5 million
GWW
WW GRAINGER INC $14.5 million
LITE
LUMENTUM HOLDINGS INC $14.4 million
BFAM
BRIGHT HORIZONS FAMILY SOLUTIONS I $14.4 million
ORLY
OREILLY AUTOMOTIVE INC $14.3 million
SSD
SIMPSON MANUFACTURING INC $14.3 million
MKSI
MKS INC $14.2 million
POST
POST HOLDINGS INC $14.1 million
AL
AIR LEASE CORP CLASS A $14.1 million
CZR
CAESARS ENTERTAINMENT INC $14.1 million
RITM
RITHM CAPITAL CORP $14.0 million
EXAS
EXACT SCIENCES CORP $13.9 million
ALK
ALASKA AIR GROUP INC $13.9 million
FAF
FIRST AMERICAN FINANCIAL CORP $13.8 million
ALGN
ALIGN TECHNOLOGY INC $13.7 million
FCN
FTI CONSULTING INC $13.6 million
RLI
RLI CORP $13.5 million
RGEN
REPLIGEN CORP $13.5 million
CRUS
CIRRUS LOGIC INC $13.5 million
WH
WYNDHAM HOTELS RESORTS INC $13.4 million
MTDR
MATADOR RESOURCES $13.3 million
AMG
AFFILIATED MANAGERS GROUP INC $13.3 million
LNC
LINCOLN NATIONAL CORP $13.2 million
TFX
TELEFLEX INC $13.1 million
NOV
NOV INC $13.0 million
IVZ
INVESCO LTD $12.9 million
VNT
VONTIER CORP $12.9 million
LFUS
LITTELFUSE INC $12.9 million
AZO
AUTOZONE INC $12.8 million
HR
HEALTHCARE REALTY TRUST INC CLASS $12.8 million
GTES
GATES INDUSTRIAL PLC $12.6 million
MHK
MOHAWK INDUSTRIES INC $12.5 million
LW
LAMB WESTON HOLDINGS INC $12.5 million
FMC
FMC CORP $12.4 million
SAIC
SCIENCE APPLICATIONS INTERNATIONAL $12.4 million
CUZ
COUSINS PROPERTIES REIT INC $12.3 million
GXO
GXO LOGISTICS INC $12.1 million
WEX
WEX INC $12.0 million
FNB
FNB CORP $12.0 million
AN
AUTONATION INC $11.9 million
GNTX
GENTEX CORP $11.9 million
WMS
ADVANCED DRAINAGE SYSTEMS INC $11.9 million
LEA
LEAR CORP $11.8 million
FND
FLOOR DECOR HOLDINGS INC CLASS A $11.8 million
ROIV
ROIVANT SCIENCES LTD $11.7 million
MP
MP MATERIALS CORP CLASS A $11.7 million
LSTR
LANDSTAR SYSTEM INC $11.7 million
CGNX
COGNEX CORP $11.7 million
WHR
WHIRLPOOL CORP $11.7 million
BYD
BOYD GAMING CORP $11.6 million
COLD
AMERICOLD REALTY INC TRUST $11.6 million
ESI
ELEMENT SOLUTIONS INC $11.5 million
OZK
BANK OZK $11.5 million
W
WAYFAIR INC CLASS A $11.4 million
SN
SHARKNINJA INC $11.4 million
JHG
JANUS HENDERSON GROUP PLC $11.4 million
COLB
COLUMBIA BANKING SYSTEM INC $11.3 million
CROX
CROCS INC $11.3 million
H
HYATT HOTELS CORP CLASS A $11.2 million
BROS
DUTCH BROS INC CLASS A $11.1 million
SIRI
SIRIUSXM HOLDINGS INC $11.1 million
MSFUT
CASH COLLATERAL MSFUT USD $11.0 million
CCCS
CCC INTELLIGENT SOLUTIONS HOLDINGS $10.9 million
ALNY
ALNYLAM PHARMACEUTICALS INC $10.9 million
TKR
TIMKEN $10.9 million
SLGN
SILGAN HOLDINGS INC $10.9 million
HXL
HEXCEL CORP $10.8 million
BF.B
BROWN FORMAN CORP CLASS B $10.7 million
NEU
NEWMARKET CORP $10.7 million
CE
CELANESE CORP $10.7 million
AVT
AVNET INC $10.6 million
DLB
DOLBY LABORATORIES INC CLASS A $10.6 million
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V $10.6 million
DBX
DROPBOX INC CLASS A $10.5 million
PAYC
PAYCOM SOFTWARE INC $10.5 million
BIO
BIO RAD LABORATORIES INC CLASS A $10.5 million
THO
THOR INDUSTRIES INC $10.5 million
AWI
ARMSTRONG WORLD INDUSTRIES INC $10.5 million
SON
SONOCO PRODUCTS $10.4 million
AMP
AMERIPRISE FINANCE INC $10.4 million
WTM
WHITE MOUNTAINS INSURANCE GROUP LT $10.4 million
EPR
EPR PROPERTIES REIT $10.3 million
GAP
GAP INC $10.3 million
S
SENTINELONE INC CLASS A $10.2 million
EEFT
EURONET WORLDWIDE INC $10.2 million
ST
SENSATA TECHNOLOGIES HOLDING PLC $10.2 million
AGO
ASSURED GUARANTY LTD $10.0 million
RHI
ROBERT HALF $10.0 million
PLNT
PLANET FITNESS INC CLASS A $10.0 million
VFC
VF CORP $9.9 million
KRC
KILROY REALTY REIT CORP $9.8 million
U
UNITY SOFTWARE INC $9.8 million
TPG
TPG INC CLASS A $9.6 million
CTAS
CINTAS CORP $9.3 million
KMPR
KEMPER CORP $9.2 million
AM
ANTERO MIDSTREAM CORP $9.1 million
GNRC
GENERAC HOLDINGS INC $9.1 million
MSM
MSC INDUSTRIAL INC CLASS A $9.0 million
SPR
SPIRIT AEROSYSTEMS INC CLASS A $9.0 million
LOPE
GRAND CANYON EDUCATION INC $9.0 million
CNM
CORE & MAIN INC CLASS A $8.9 million
VNOM
VIPER ENERGY INC CLASS A $8.9 million
LLYVK
LIBERTY MEDIA LIBERTY LIVE CORP SE $8.8 million
NWS
NEWS CORP CLASS B $8.8 million
PVH
PVH CORP $8.8 million
ALGM
ALLEGRO MICROSYSTEMS INC $8.8 million
GFS
GLOBALFOUNDRIES INC $8.8 million
BC
BRUNSWICK CORP $8.7 million
SEE
SEALED AIR CORP $8.7 million
TYL
TYLER TECHNOLOGIES INC $8.7 million
ONTO
ONTO INNOVATION INC $8.6 million
AS
AMER SPORTS INC $8.6 million
MRP
MILLROSE PROPERTIES INC CLASS A $8.6 million
PRGO
PERRIGO PLC $8.6 million
OLED
UNIVERSAL DISPLAY CORP $8.5 million
BHF
BRIGHTHOUSE FINANCIAL INC $8.5 million
RYN
RAYONIER REIT INC $8.4 million
VIRT
VIRTU FINANCIAL INC CLASS A $8.4 million
MASI
MASIMO CORP $8.3 million
AMTM
AMENTUM HOLDINGS INC $8.2 million
HIW
HIGHWOODS PROPERTIES REIT INC $8.0 million
SITE
SITEONE LANDSCAPE SUPPLY INC $7.9 million
BILL
BILL HOLDINGS INC $7.9 million
WSC
WILLSCOT HOLDINGS CORP CLASS A $7.9 million
MDU
MDU RESOURCES GROUP INC $7.9 million
MSGS
MADISON SQUARE GARDEN SPORTS CORP $7.9 million
TNL
TRAVEL LEISURE $7.7 million
NVST
ENVISTA HOLDINGS CORP $7.7 million
PAG
PENSKE AUTOMOTIVE GROUP VOTING INC $7.6 million
AMED
AMEDISYS INC $7.5 million
UHAL.B
U HAUL NON VOTING SERIES N $7.5 million
PSN
PARSONS CORP $7.5 million
XRAY
DENTSPLY SIRONA INC $7.5 million
ZG
ZILLOW GROUP INC CLASS A $7.5 million
ECG
EVERUS CONSTRUCTION GROUP INC $7.3 million
ADT
ADT INC $7.3 million
M
MACYS INC $7.3 million
NXST
NEXSTAR MEDIA GROUP INC $7.2 million
FLO
FLOWERS FOODS INC $7.2 million
FHB
FIRST HAWAIIAN INC $7.1 million
IRDM
IRIDIUM COMMUNICATIONS INC $7.1 million
ULTA
ULTA BEAUTY INC $7.0 million
AAP
ADVANCE AUTO PARTS INC $6.9 million
SAIA
SAIA INC $6.9 million
CPRT
COPART INC $6.8 million
DNB
DUN BRADST HLDG INC $6.7 million
GTM
ZOOMINFO TECHNOLOGIES INC $6.7 million
BIRK
BIRKENSTOCK HOLDING PLC $6.6 million
LINE
LINEAGE INC $6.6 million
SARO
STANDARDAERO $6.6 million
IAC
IAC INC $6.6 million
SMG
SCOTTS MIRACLE GRO $6.5 million
HOG
HARLEY DAVIDSON INC $6.4 million
DXC
DXC TECHNOLOGY $6.4 million
CXT
CRANE NXT $6.4 million
CWEN
CLEARWAY ENERGY INC CLASS C $6.3 million
MPW
MEDICAL PROPERTIES TRUST REIT INC $6.3 million
PENN
PENN ENTERTAINMENT INC $6.2 million
OGN
ORGANON $6.1 million
CNXC
CONCENTRIX CORP $5.9 million
BR
BROADRIDGE FINANCIAL SOLUTIONS INC $5.8 million
WLK
WESTLAKE CORP $5.7 million
CLF
CLEVELAND CLIFFS INC $5.7 million
VAC
MARRIOTT VACATIONS WORLDWIDE CORP $5.7 million
RH
RH $5.6 million
NSA
NATIONAL STORAGE AFFILIATES TRUST $5.6 million
OLN
OLIN CORP $5.6 million
CIVI
CIVITAS RESOURCES INC $5.6 million
NWL
NEWELL BRANDS INC $5.5 million
AMKR
AMKOR TECHNOLOGY INC $5.5 million
ASH
ASHLAND INC $5.5 million
FRPT
FRESHPET INC $5.5 million
ETSY
ETSY INC $5.4 million
AZEK
AZEK COMPANY INC CLASS A $5.3 million
LCID
LUCID GROUP INC $5.3 million
PINC
PREMIER INC CLASS A $5.2 million
HHH
HOWARD HUGHES HOLDINGS INC $5.2 million
PK
PARK HOTELS RESORTS INC $5.1 million
BOKF
BOK FINANCIAL CORP $5.0 million
PSTG
PURE STORAGE INC CLASS A $5.0 million
PII
POLARIS INC $4.9 million
COLM
COLUMBIA SPORTSWEAR $4.8 million
RKT
ROCKET COMPANIES INC CLASS A $4.8 million
CPRI
CAPRI HOLDINGS LTD $4.8 million
ACHC
ACADIA HEALTHCARE COMPANY INC $4.7 million
INFA
INFORMATICA INC CLASS A $4.7 million
EXEL
EXELIXIS INC $4.7 million
HAYW
HAYWARD HOLDINGS INC $4.6 million
MAN
MANPOWER INC $4.6 million
QDEL
QUIDELORTHO CORP $4.5 million
COTY
COTY INC CLASS A $4.4 million
IPGP
IPG PHOTONICS CORP $4.3 million
LYFT
LYFT INC CLASS A $4.3 million
YETI
YETI HOLDINGS INC $4.2 million
ENOV
ENOVIS CORP $4.2 million
CLVT
CLARIVATE PLC $4.2 million
WU
WESTERN UNION $4.1 million
PPC
PILGRIMS PRIDE CORP $4.1 million
HUN
HUNTSMAN CORP $4.1 million
LPX
LOUISIANA PACIFIC CORP $4.0 million
LBTYK
LIBERTY GLOBAL LTD CLASS C $4.0 million
SHC
SOTERA HEALTH COMPANY $4.0 million
EXP
EAGLE MATERIALS INC $3.9 million
QS
QUANTUMSCAPE CORP CLASS A $3.9 million
LBTYA
LIBERTY GLOBAL LTD CLASS A $3.9 million
BRKR
BRUKER CORP $3.7 million
CC
CHEMOURS $3.6 million
LLYVA
LIBERTY MEDIA LIBERTY LIVE CORP SE $3.6 million
SAM
BOSTON BEER INC CLASS A $3.5 million
SPB
SPECTRUM BRANDS HOLDINGS INC $3.4 million
FWONA
LIBERTY MEDIA FORMULA ONE CORP SER $3.3 million
FIVE
FIVE BELOW INC $3.3 million
CAR
AVIS BUDGET GROUP INC $3.3 million
TRIP
TRIPADVISOR INC $3.2 million
GRAL
GRAIL INC $3.1 million
BF.A
BROWN FORMAN CORP CLASS A $3.1 million
CERT
CERTARA INC $3.1 million
GO
GROCERY OUTLET HOLDING CORP $3.0 million
TER
TERADYNE INC $3.0 million
DDS
DILLARDS INC CLASS A $2.9 million
LEG
LEGGETT & PLATT INC $2.9 million
AZTA
AZENTA INC $2.9 million
HAS
HASBRO INC $2.9 million
UAA
UNDER ARMOUR INC CLASS A $2.8 million
REYN
REYNOLDS CONSUMER PRODUCTS INC $2.7 million
LEN.B
LENNAR CORP CLASS B $2.7 million
UA
UNDER ARMOUR INC CLASS C $2.7 million
CWEN.A
CLEARWAY ENERGY INC CLASS A $2.7 million
SNDR
SCHNEIDER NATIONAL INC CLASS B $2.7 million
LBRDA
LIBERTY BROADBAND CORP SERIES A $2.7 million
CRI
CARTERS INC $2.6 million
WEN
WENDYS $2.4 million
CNA
CNA FINANCIAL CORP $2.4 million
MTN
VAIL RESORTS INC $2.3 million
LSCC
LATTICE SEMICONDUCTOR CORP $2.2 million
KSS
KOHLS CORP $2.2 million
GLOB
GLOBANT SA $2.2 million
DV
DOUBLEVERIFY HOLDINGS INC $2.2 million
UI
UBIQUITI INC $2.1 million
NCNO
NCINO INC $2.0 million
PATH
UIPATH INC CLASS A $1.9 million
SEB
SEABOARD CORP $1.8 million
TFSL
TFS FINANCIAL CORP $1.7 million
CACC
CREDIT ACCEPTANCE CORP $1.6 million
VSTS
VESTIS CORP $1.6 million
SFD
SMITHFIELD FOODS INC $1.4 million
ANGI
ANGI INC CLASS A $1.4 million
CHH
CHOICE HOTELS INTERNATIONAL INC $1.3 million
DJT
TRUMP MEDIA TECHNOLOGY GROUP CORP $1.2 million
FTRE
FORTREA HOLDINGS INC $1.0 million
IONS
IONIS PHARMACEUTICALS INC $975472
TXG
10X GENOMICS INC CLASS A $896861
LOAR
LOAR HOLDINGS INC $801722
PLTK
PLAYTIKA HOLDING CORP $771357
LAZ
LAZARD INC $733033
UHAL
U HAUL HOLDING $651996
INGM
INGRAM MICRO HOLDING CORP $619807
PARAA
PARAMOUNT GLOBAL CLASS A $593877
SEG
SEAPORT ENTERTAINMENT GROUP INC $367618
WOLF
WOLFSPEED INC $323614
UWMC
UWM HOLDINGS CORP CLASS A $281548
NFE
NEW FORTRESS ENERGY INC CLASS A $202944
MARGIN_USD
FUTURES USD MARGIN BALANCE $149607
-
ESC GCI LIBERTY INC SR ESCROW $2
RVYU5
RUSSELL1000 VALUE MINI CME SEP 25 $0
USD
USD CASH $-161.9 million

Recent Changes - iShares Russell 1000 Value ETF

Date Ticker Name Change (Shares)
2025-06-18
X
US STEEL CORP -535,317
2025-06-17
USD
USD CASH 13.3 million
2025-06-17
MSFUT
CASH COLLATERAL MSFUT USD 10.0 million
2025-06-16
USD
USD CASH 11.5 million
2025-06-16
MSFUT
CASH COLLATERAL MSFUT USD 15.4 million
2025-06-13
MSFUT
CASH COLLATERAL MSFUT USD -14.3 million
2025-06-13
USD
USD CASH -78.1 million
2025-06-12
USD
USD CASH 78.1 million
2025-06-12
MSFUT
CASH COLLATERAL MSFUT USD 14.3 million
2025-06-11
MSFUT
CASH COLLATERAL MSFUT USD -14.3 million
2025-06-11
USD
USD CASH -112.2 million
2025-06-10
USD
USD CASH 112.2 million
2025-06-10
MSFUT
CASH COLLATERAL MSFUT USD 14.3 million
2025-05-30
MSFUT
CASH COLLATERAL MSFUT USD -16.7 million
2025-05-30
USD
USD CASH -86.6 million
2025-05-29
USD
USD CASH 86.6 million
2025-05-29
MSFUT
CASH COLLATERAL MSFUT USD 16.7 million
2025-05-27
USD
USD CASH 86.8 million
2025-05-27
MSFUT
CASH COLLATERAL MSFUT USD 16.7 million
2025-05-21
JWN
NORDSTROM INC -254,334
2025-05-20
DFS
Discover Financial Services -612,893
2025-05-20
MSFUT
CASH COLLATERAL MSFUT USD 15.5 million
2025-05-20
USD
USD CASH 80.2 million
2025-05-16
USD
USD CASH -81.4 million
2025-05-16
MSFUT
CASH COLLATERAL MSFUT USD -11.6 million
2025-05-15
MSFUT
CASH COLLATERAL MSFUT USD 11.6 million
2025-05-15
USD
USD CASH 81.4 million
2025-05-14
USD
USD CASH -63.5 million
2025-05-14
MSFUT
CASH COLLATERAL MSFUT USD -11.6 million
2025-05-13
MSFUT
CASH COLLATERAL MSFUT USD 11.6 million
2025-05-13
USD
USD CASH 63.5 million
2025-05-09
MSFUT
CASH COLLATERAL MSFUT USD 9.8 million
2025-05-09
USD
USD CASH 62.0 million
2025-05-08
MSFUT
CASH COLLATERAL MSFUT USD 9.8 million
2025-05-08
USD
USD CASH 36.9 million
2025-05-07
MSFUT
CASH COLLATERAL MSFUT USD 9.8 million
2025-05-07
USD
USD CASH 38.1 million
2025-05-06
USD
USD CASH 33.4 million
2025-05-06
MSFUT
CASH COLLATERAL MSFUT USD 9.9 million
2025-05-05
USD
USD CASH 36.6 million
2025-05-05
MSFUT
CASH COLLATERAL MSFUT USD 9.9 million
2025-05-02
USD
USD CASH -49.3 million
2025-05-02
MSFUT
CASH COLLATERAL MSFUT USD -8.9 million
2025-05-01
USD
USD CASH 49.3 million
2025-05-01
MSFUT
CASH COLLATERAL MSFUT USD 8.9 million
2025-04-30
BERY
BERRY GLOBAL GROUP INC -286,776
2025-04-29
MSFUT
CASH COLLATERAL MSFUT USD 13.0 million
2025-04-29
USD
USD CASH 235,874
2025-04-28
USD
USD CASH 59.8 million
2025-04-28
MSFUT
CASH COLLATERAL MSFUT USD 13.0 million
2025-04-25
NCNO
NCINO INC 77,775
2025-04-25
USD
USD CASH 64.2 million
2025-04-25
HTAEUR
Healthcare Trust of America Inc Class A -873,472
2025-04-25
MSFUT
CASH COLLATERAL MSFUT USD 13.0 million
2025-04-25
HR
HEALTHCARE REALTY TRUST INC CLASS 873,738
2025-04-25
GPK
GRAPHIC PACKAGING HOLDING 737,286
2025-04-24
HR
HEALTHCARE REALTY TRUST INC CLASS -872,275
2025-04-24
HTAEUR
Healthcare Trust of America Inc Class A 873,472
2025-04-24
NCNO
NCINO INC -77,643
2025-04-24
GPK
GRAPHIC PACKAGING HOLDING -736,054
2025-04-24
USD
USD CASH -74.8 million
2025-04-24
MSFUT
CASH COLLATERAL MSFUT USD -12.9 million
2025-04-23
ANGI
ANGI INC CLASS A -96,629
2025-04-23
ANGI
ANGI INC CLASS A 96,404
2025-04-22
ANGI
Angi Inc Class A -96,629
2025-04-22
MSFUT
CASH COLLATERAL MSFUT USD 12.9 million
2025-04-22
USD
USD CASH 67.8 million
2025-04-22
ANGI
ANGI INC CLASS A 96,629
2025-04-21
MSFUT
CASH COLLATERAL MSFUT USD 12.9 million
2025-04-21
USD
USD CASH 64.6 million
2025-04-16
USD
USD CASH 62.5 million
2025-04-16
MSFUT
CASH COLLATERAL MSFUT USD 12.9 million
2025-04-15
MSFUT
CASH COLLATERAL MSFUT USD 11.7 million
2025-04-15
USD
USD CASH 82.8 million
2025-04-14
PYCR
Paycor HCM Inc -182,689
2025-04-14
MSFUT
CASH COLLATERAL MSFUT USD 11.7 million
2025-04-14
USD
USD CASH 81.7 million
2025-04-11
USD
USD CASH -30.1 million
2025-04-11
MSFUT
CASH COLLATERAL MSFUT USD -13.7 million
2025-04-10
MSFUT
CASH COLLATERAL MSFUT USD 13.7 million
2025-04-10
USD
USD CASH 30.1 million
2025-04-09
ANGI
ANGI INC CLASS A 97,410
2025-04-09
ANGI
ANGI INC CLASS A -97,200
2025-04-08
USD
USD CASH 64.3 million
2025-04-08
MSFUT
CASH COLLATERAL MSFUT USD 11.3 million
2025-04-07
USD
USD CASH 59.6 million
2025-04-07
MSFUT
CASH COLLATERAL MSFUT USD 11.3 million
2025-04-04
USD
USD CASH -40.6 million
2025-04-04
MSFUT
CASH COLLATERAL MSFUT USD -10.8 million
2025-04-02
MSFUT
CASH COLLATERAL MSFUT USD 10.8 million
2025-04-02
USD
USD CASH 49.1 million
2025-04-01
ANGI
ANGI INC CLASS A 96,599
2025-03-31
USD
USD CASH 67.7 million
2025-03-31
MSFUT
CASH COLLATERAL MSFUT USD 9.1 million
2025-03-28
MSFUT
CASH COLLATERAL MSFUT USD -9.1 million
2025-03-28
USD
USD CASH -69.2 million
2025-03-26
USD
USD CASH 71.0 million
2025-03-26
MSFUT
CASH COLLATERAL MSFUT USD 9.1 million
2025-03-25
USD
USD CASH 75.3 million
2025-03-25
MSFUT
CASH COLLATERAL MSFUT USD 9.1 million
2025-03-24
MSFUT
CASH COLLATERAL MSFUT USD 9.1 million
2025-03-24
USD
USD CASH 51.8 million
2025-03-21
SFD
SMITHFIELD FOODS INC 63,350
2025-03-20
MSFUT
CASH COLLATERAL MSFUT USD 9.4 million
2025-03-19
USD
USD CASH 38.0 million
2025-03-19
MSFUT
CASH COLLATERAL MSFUT USD 9.4 million
2025-03-18
USD
USD CASH 43.2 million
2025-03-18
MSFUT
CASH COLLATERAL MSFUT USD 12.2 million
2025-03-17
USD
USD CASH 97.1 million
2025-03-17
MSFUT
CASH COLLATERAL MSFUT USD 12.2 million
2025-03-14
MSFUT
CASH COLLATERAL MSFUT USD -10.9 million
2025-03-14
USD
USD CASH -93.9 million
2025-03-13
MSFUT
CASH COLLATERAL MSFUT USD 10.9 million
2025-03-13
USD
USD CASH 93.9 million
2025-03-12
AZPN
ASPEN TECHNOLOGY INC None
2025-03-11
USD
USD CASH None
2025-03-11
MSFUT
CASH COLLATERAL MSFUT USD None
2025-03-10
USD
USD CASH None
2025-03-10
MSFUT
CASH COLLATERAL MSFUT USD None
2025-03-07
USD
USD CASH None
2025-03-07
MSFUT
CASH COLLATERAL MSFUT USD None
2025-03-06
MSFUT
CASH COLLATERAL MSFUT USD None
2025-03-06
USD
USD CASH None
2025-03-05
USD
USD CASH None
2025-03-05
MSFUT
CASH COLLATERAL MSFUT USD None
2025-03-04
USD
USD CASH None
2025-03-04
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-28
HCP
HASHICORP INC CLASS A None
2025-02-27
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-27
USD
USD CASH None
2025-02-26
USD
USD CASH None
2025-02-26
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-25
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-25
USD
USD CASH None
2025-02-21
USD
USD CASH None
2025-02-21
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-20
USD
USD CASH None
2025-02-20
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-19
USD
USD CASH None
2025-02-19
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-18
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-18
USD
USD CASH None
2025-02-13
QIA.DE
QIAGEN NV None
2025-02-13
QGEN
QIAGEN NV None
2025-02-12
QGEN
Qiagen NV -528,551
2025-02-12
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-12
QGEN
QIAGEN NV None
2025-02-12
USD
USD CASH None
2025-02-11
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-11
USD
USD CASH None
2025-02-10
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-10
USD
USD CASH None
2025-02-07
USD
USD CASH None
2025-02-07
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-07
USD
USD CASH 0
2025-02-07
MSFUT
CASH COLLATERAL MSFUT USD 0
2025-02-06
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-06
USD
USD CASH None
2025-02-05
USD
USD CASH None
2025-02-05
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-04
MSFUT
CASH COLLATERAL MSFUT USD None
2025-02-04
USD
USD CASH None
2025-02-03
USD
USD CASH None
2025-02-03
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-31
USD
USD CASH None
2025-01-31
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-21
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-21
MRP-W
MILLROSE PROPERTIES INC None
2025-01-21
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -334,533
2025-01-21
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-21
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-16
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -340,959
2025-01-16
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-16
USD
USD CASH None
2025-01-16
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-16
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-15
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-15
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-15
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -340,959
2025-01-15
USD
USD CASH None
2025-01-15
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-14
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -340,908
2025-01-14
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-14
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-14
USD
USD CASH None
2025-01-14
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-13
USD
USD CASH None
2025-01-13
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-13
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-13
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-13
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -343,560
2025-01-10
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-10
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-10
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None
2025-01-10
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin 343,560
2025-01-10
USD
USD CASH None
2025-01-09
BEPC
Brookfield Renewable Corp Ordinary Shares - Class A (Exchangeable Sub Votin -344,937
2025-01-09
-
RAYONIER REIT INC CASH ACCRUAL None
2025-01-09
MSFUT
CASH COLLATERAL MSFUT USD None
2025-01-09
BEPC.NE
BROOKFIELD RENEWABLE SUBORDINATE V None