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EQUITABLE TRUST CO

CIK 33250 · 2024-Q3 · 1 filing(s)

Total Portfolio Value

$1.6T

Positions

706

Latest Filing

2024-Q3

Due Diligence Score

Institutional quality assessment based on 13F data

D

48 / 100

Filing Longevity1/30

1 quarters of history

Portfolio Breadth11/25

442 positions

Equity Purity20/20

0 options positions (0.0%)

Concentration Balance16/25

Top-5 = 18.1% of portfolio

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AI Portfolio Analysis

Claude-powered institutional analyst commentary

Portfolio Profile

Relative positioning across key dimensions (0–100)

Top Holdings by Value

Top 30 positions by value

#IssuerClassCUSIPValueShares% PortfolioType
1
NEWiShares Gold Trust ETF
Com464285204$115.5B2,324,6697.41%EQ
2
NEWWCM SMID Quality Value Instl
Com46143U401$45.7B3,227,2942.93%EQ
3
NEWApple Inc
Com037833100$43.4B186,0712.78%EQ
4
NEWMicrosoft Corp
Com594918104$40.9B95,1232.63%EQ
5
NEWHCA Healthcare Inc
Com40412C101$36.8B90,6042.36%EQ
6
NEWAlphabet Inc Cl A
Com02079K305$36.8B221,9622.36%EQ
7
NEWCrown Castle Inc
Com22822V101$29.1B245,2591.87%EQ
8
NEWiShares Core MSCI Total International ETF
Com46432F834$26.5B364,2631.70%EQ
9
NEWPublic Storage
Com74460D109$24.0B66,0791.54%EQ
10
NEWPerimeter Solutions SA
ComL7579L106$21.7B1,614,3551.39%EQ
11
NEWOtis Worldwide Corp
Com68902V107$19.8B190,6081.27%EQ
12
NEWInvesco S&P 500 Equal Weight ETF
Com46137V357$18.5B103,4011.19%EQ
13
NEWAlphabet Inc Cl C
Com02079K107$18.1B108,5381.16%EQ
14
NEWShopify Inc Cl A
Com82509L107$16.9B210,9611.08%EQ
15
NEWHCA Healthcare Inc
Com40412C101$16.3B40,0061.04%EQ
16
NEWLabcorp Holdings Inc
Com504922105$16.2B72,3111.04%EQ
17
NEWAnalog Devices Inc
Com032654105$16.0B69,4451.03%EQ
18
NEWNVIDIA Corp
Com67066G104$14.5B119,2290.93%EQ
19
NEWFidelity National Information Svs Inc
Com31620M106$13.7B163,6390.88%EQ
20
NEWAmazon.com Inc
Com023135106$13.4B72,1690.86%EQ
21
NEWInvesco QQQ Trust ETF
Com46090E103$13.1B26,7870.84%EQ
22
NEWiShares Gold Trust ETF
Com464285204$12.6B253,0280.81%EQ
23
NEWAmerican Express Co
Com025816109$12.4B45,7920.80%EQ
24
NEWVisa Inc Cl A
Com92826C839$11.3B41,0640.72%EQ
25
NEWMastercard Inc Cl A
Com57636Q104$11.3B22,8360.72%EQ
26
NEWVanguard Intl High Dividend Yield ETF
Com921946794$11.2B153,2170.72%EQ
27
NEWS&P Global Inc
Com78409V104$11.1B21,5650.71%EQ
28
NEWMicrosoft Corp
Com594918104$11.1B25,8520.71%EQ
29
NEWSea Ltd SP ADR
Com81141R100$10.8B115,0650.70%EQ
30
NEWHome Depot Inc
Com437076102$10.7B26,4930.69%EQ
31
NEWBank of America Corp
Com060505104$10.1B254,1410.65%EQ
32
NEWAlphabet Inc Cl C
Com02079K107$9.8B58,6240.63%EQ
33
NEWVerra Mobility Corp Cl A
Com92511U102$9.6B346,3070.62%EQ
34
NEWAmazon.com Inc
Com023135106$9.1B49,0970.59%EQ
35
NEWMeta Platforms Inc Cl A
Com30303M102$8.9B15,5980.57%EQ
36
NEWJPMorgan Chase & Co
Com46625H100$8.8B41,8770.57%EQ
37
NEWExxon Mobil Corp
Com30231G102$8.2B70,1580.53%EQ
38
NEWApple Inc
Com037833100$7.7B32,8420.49%EQ
39
NEWRockwell Automation Inc
Com773903109$7.5B27,9770.48%EQ
40
NEWMastercard Inc Cl A
Com57636Q104$7.4B15,0870.48%EQ
41
NEWOld National Bancorp
Com680033107$7.4B398,9250.48%EQ
42
NEWJohnson & Johnson
Com478160104$7.3B45,1690.47%EQ
43
NEWVisa Inc Cl A
Com92826C839$7.1B25,8350.46%EQ
44
NEWAlphabet Inc Cl A
Com02079K305$7.0B42,1360.45%EQ
45
NEWNovo Nordisk A/S ADR
Com670100205$6.7B56,0910.43%EQ
46
NEWAmgen Inc
Com031162100$6.5B20,2160.42%EQ
47
NEWCoca-Cola Co
Com191216100$6.5B90,2680.42%EQ
48
NEWWCM SMID Quality Value Instl
Com46143U401$6.4B451,1750.41%EQ
49
NEWSalesforce Inc
Com79466L302$6.4B23,2510.41%EQ
50
NEWiShares Short Term Bond ETF
Com464288646$6.2B118,5610.40%EQ
51
NEWSea Ltd SP ADR
Com81141R100$6.1B64,9940.39%EQ
52
NEWDavita Inc
Com23918K108$6.1B37,0310.39%EQ
53
NEWProcter & Gamble Co
Com742718109$6.1B34,9720.39%EQ
54
NEWSalesforce Inc
Com79466L302$6.0B22,0160.39%EQ
55
NEWFerrari NV
ComN3167Y103$5.9B12,4490.38%EQ
56
NEWPerimeter Solutions SA
ComL7579L106$5.8B431,6970.37%EQ
57
NEWCoStar Group Inc
Com22160N109$5.7B75,1050.36%EQ
58
NEWAmeriprise Finl Inc
Com03076C106$5.6B11,8930.36%EQ
59
NEWAutomatic Data Processing Inc
Com053015103$5.6B20,0670.36%EQ
60
NEWBerkshire Hathaway Inc Cl A
Com084670108$5.5B80.35%EQ
61
NEWTransDigm Group Inc
Com893641100$5.5B3,8610.35%EQ
62
NEWUnitedhealth Group Inc
Com91324P102$5.5B9,3410.35%EQ
63
NEWUnion Pacific Corp
Com907818108$5.5B22,1360.35%EQ
64
NEWTaiwan Semiconductor Mfg Co Ltd ADR
Com874039100$5.4B31,1310.35%EQ
65
NEWGoldman Sachs Group Inc
Com38141G104$5.2B10,5640.34%EQ
66
NEWIntercontinental Exchange Inc
Com45866F104$5.2B32,0900.33%EQ
67
NEWCaterpillar Inc
Com149123101$5.1B13,0260.33%EQ
68
NEWBroadcom Inc
Com11135F101$4.9B28,6940.32%EQ
69
NEWGeneral Dynamics Corp
Com369550108$4.8B15,9750.31%EQ
70
NEWSafran SA UNSP ADR
Com786584102$4.8B81,8780.31%EQ
71
NEWIcon PLC
ComG4705A100$4.8B16,5480.31%EQ
72
NEWWalmart Inc
Com931142103$4.7B58,4050.30%EQ
73
NEWFlexshares Global Upstream Ntrl Resources ETF
Com33939L407$4.7B113,6140.30%EQ
74
NEWKKR & Co Inc
Com48251W104$4.7B35,8590.30%EQ
75
NEWAmerican Express Co
Com025816109$4.7B17,1710.30%EQ
76
NEWAbbVie Inc
Com00287Y109$4.6B23,5190.30%EQ
77
NEWLive Nation Entertainment Inc
Com538034109$4.5B41,2730.29%EQ
78
NEWCrown Castle Inc
Com22822V101$4.5B38,0400.29%EQ
79
NEWAstrazeneca PLC ADR
Com046353108$4.4B55,9400.28%EQ
80
NEWPublic Storage
Com74460D109$4.3B11,8800.28%EQ
81
NEWPepsico Inc
Com713448108$4.3B25,3640.28%EQ
82
NEWCBRE Group Inc Cl A
Com12504L109$4.3B34,4160.27%EQ
83
NEWSkyworks Solutions Inc
Com83088M102$4.2B42,5240.27%EQ
84
NEWEli Lilly & Co
Com532457108$4.2B4,7020.27%EQ
85
NEWASM Intl NV ADR
ComN07045102$4.1B6,3070.27%EQ
86
NEWMerck & Co Inc
Com58933Y105$4.0B35,5260.26%EQ
87
NEWArch Capital Group Ltd
ComG0450A105$4.0B35,3930.25%EQ
88
NEWEntergy Corp
Com29364G103$4.0B30,0690.25%EQ
89
NEWChevron Corp
Com166764100$4.0B26,8360.25%EQ
90
NEWBoeing Co
Com097023105$3.8B25,1330.25%EQ
91
NEWExperian PLC ADR
Com30215C101$3.8B71,8660.24%EQ
92
NEWZoetis Inc Cl A
Com98978V103$3.8B19,2330.24%EQ
93
NEWGE Aerospace
Com369604301$3.8B19,9200.24%EQ
94
NEWCostco Wholesale Corp
Com22160K105$3.8B4,2370.24%EQ
95
NEWGeneral Mills Inc
Com370334104$3.7B49,5700.23%EQ
96
NEWMercadoLibre Inc
Com58733R102$3.6B1,7610.23%EQ
97
NEWMcDonalds Corp
Com580135101$3.6B11,8650.23%EQ
98
NEWAdyen NV ADR
Com00783V104$3.6B228,9270.23%EQ
99
NEWIngredion Inc
Com457187102$3.5B25,7140.23%EQ
100
NEWShopify Inc Cl A
Com82509L107$3.5B44,0020.23%EQ
101
NEWJPMorgan Chase & Co
Com46625H100$3.5B16,6910.23%EQ
102
NEWEdwards Lifesciences Corp
Com28176E108$3.5B53,2380.23%EQ
103
NEWCarlyle Group Inc
Com14316J108$3.5B81,4100.22%EQ
104
NEWSpotify Technology SA
ComL8681T102$3.5B9,4890.22%EQ
105
NEWNVIDIA Corp
Com67066G104$3.5B28,7210.22%EQ
106
NEWServiceNow Inc
Com81762P102$3.5B3,8910.22%EQ
107
NEWLabcorp Holdings Inc
Com504922105$3.5B15,4760.22%EQ
108
NEWOtis Worldwide Corp
Com68902V107$3.4B33,1380.22%EQ
109
NEWNovo Nordisk A/S ADR
Com670100205$3.4B28,8790.22%EQ
110
NEWLive Nation Entertainment Inc
Com538034109$3.4B31,2300.22%EQ
111
NEWEli Lilly & Co
Com532457108$3.4B3,8380.22%EQ
112
NEWCarlisle Companies Inc
Com142339100$3.4B7,4740.22%EQ
113
NEWRoper Technologies Inc
Com776696106$3.4B6,0280.22%EQ
114
NEWASML Holding NV ADR
ComN07059210$3.3B4,0130.21%EQ
115
NEWEverest Group Ltd
ComG3223R108$3.2B8,2580.21%EQ
116
NEWAdobe Inc
Com00724F101$3.2B6,1400.20%EQ
117
NEWICICI Bank Ltd SP ADR
Com45104G104$3.2B106,0090.20%EQ
118
NEWiShares Core MSCI Total International ETF
Com46432F834$3.1B42,7500.20%EQ
119
NEWNu Hldgs Ltd Cl A
ComG6683N103$3.1B227,4630.20%EQ
120
NEWSteris PLC
ComG8473T100$3.1B12,7840.20%EQ
121
NEWCSX Corp
Com126408103$3.1B89,6510.20%EQ
122
NEWCoupang Inc Cl A
Com22266T109$3.1B125,8400.20%EQ
123
NEWAon PLC Cl A
ComG0403H108$3.0B8,8140.20%EQ
124
NEWDanaher Corp
Com235851102$3.0B10,9000.19%EQ
125
NEWFidelity National Information Svs Inc
Com31620M106$3.0B35,9430.19%EQ
126
NEWHoneywell Intl Inc
Com438516106$3.0B14,4970.19%EQ
127
NEWVulcan Materials Co
Com929160109$3.0B11,9370.19%EQ
128
NEWmonday.com Ltd
ComM7S64H106$2.9B10,5200.19%EQ
129
NEWNextEra Energy Inc
Com65339F101$2.9B34,5680.19%EQ
130
NEWWaste Connections Inc
Com94106B101$2.9B16,2520.19%EQ
131
NEWSchneider Electric SE ADR
Com80687P106$2.9B54,8210.19%EQ
132
NEWBAE Systems PLC ADR
Com05523R107$2.9B43,3450.18%EQ
133
NEWApplied Industrial Tech Inc
Com03820C105$2.9B12,8940.18%EQ
134
NEWUlta Beauty Inc
Com90384S303$2.8B7,3210.18%EQ
135
NEWKKR & Co Inc
Com48251W104$2.8B21,6380.18%EQ
136
NEWIntuit Inc
Com461202103$2.8B4,5430.18%EQ
137
NEWBlackrock Inc
Com09247X101$2.8B2,9470.18%EQ
138
NEWStarbucks Corp
Com855244109$2.8B28,2190.18%EQ
139
NEWAECOM
Com00766T100$2.7B26,2960.17%EQ
140
NEWCSX Corp
Com126408103$2.7B77,0260.17%EQ
141
NEWAnalog Devices Inc
Com032654105$2.6B11,5120.17%EQ
142
NEWTruist Finl Corp
Com89832Q109$2.6B61,4760.17%EQ
143
NEWMerck & Co Inc
Com58933Y105$2.6B23,0840.17%EQ
144
NEWHarrow Inc
Com415858109$2.6B58,2250.17%EQ
145
NEWQUALCOMM Inc
Com747525103$2.6B15,3380.17%EQ
146
NEWExxon Mobil Corp
Com30231G102$2.6B22,2370.17%EQ
147
NEWVerra Mobility Corp Cl A
Com92511U102$2.6B93,5680.17%EQ
148
NEWLowe's Companies Inc
Com548661107$2.6B9,4580.16%EQ
149
NEWOracle Corp
Com68389X105$2.5B14,9610.16%EQ
150
NEWAccenture PLC Cl A
ComG1151C101$2.5B7,1740.16%EQ
151
NEWL'Oreal SA ADR
Com502117203$2.5B27,8140.16%EQ
152
NEWVanguard ESG US Stock ETF
Com921910733$2.5B24,3380.16%EQ
153
NEWAmerican Tower Corp
Com03027X100$2.5B10,6270.16%EQ
154
NEWNorthrop Grumman Corp
Com666807102$2.4B4,5740.15%EQ
155
NEWWheaton Precious Metals Corp
Com962879102$2.4B39,4140.15%EQ
156
NEWPhillips 66
Com718546104$2.4B18,2260.15%EQ
157
NEWUBS Group AG
ComH42097107$2.4B76,5130.15%EQ
158
NEWTransDigm Group Inc
Com893641100$2.4B1,6550.15%EQ
159
NEWFerguson PLC New
Com31488V107$2.3B11,7320.15%EQ
160
NEWTarget Corp
Com87612E106$2.3B14,8150.15%EQ
161
NEWSysco Corp
Com871829107$2.3B29,2050.15%EQ
162
NEWVanEck Gold Miners ETF
Com92189F106$2.3B56,6870.14%EQ
163
NEWQuinstreet Inc
Com74874Q100$2.3B117,9450.14%EQ
164
NEWRockwell Automation Inc
Com773903109$2.2B8,0610.14%EQ
165
NEWAbbVie Inc
Com00287Y109$2.1B10,7070.14%EQ
166
NEWRTX Corp
Com75513E101$2.1B17,1750.13%EQ
167
NEWSherwin-Williams Co
Com824348106$2.1B5,4420.13%EQ
168
NEWMatador Resources Co
Com576485205$2.0B41,0250.13%EQ
169
NEWCanadian Natural Resources Ltd
Com136385101$2.0B60,7470.13%EQ
170
NEWFedex Corp
Com31428X106$2.0B7,3010.13%EQ
171
NEWAbbott Laboratories
Com002824100$1.9B17,0530.12%EQ
172
NEWSPDR Technology Sector ETF
Com81369Y803$1.9B8,3380.12%EQ
173
NEWJohnson & Johnson
Com478160104$1.9B11,5740.12%EQ
174
NEWCisco Systems
Com17275R102$1.9B35,2390.12%EQ
175
NEWMcDonalds Corp
Com580135101$1.9B6,1420.12%EQ
176
NEWMedtronic PLC
ComG5960L103$1.8B20,3970.12%EQ
177
NEWVulcan Materials Co
Com929160109$1.8B7,1950.12%EQ
178
NEWTesla Inc
Com88160R101$1.8B6,8060.11%EQ
179
NEWThermo Fisher Scientific Inc
Com883556102$1.8B2,8600.11%EQ
180
NEWS&P Global Inc
Com78409V104$1.8B3,3920.11%EQ
181
NEWAtlassian Corp Cl A
Com049468101$1.7B10,8250.11%EQ
182
NEWBroadcom Inc
Com11135F101$1.7B9,6550.11%EQ
183
NEWTarget Corp
Com87612E106$1.7B10,6760.11%EQ
184
NEWInvesco S&P 500 Equal Weight ETF
Com46137V357$1.6B8,9530.10%EQ
185
NEWChevron Corp
Com166764100$1.6B10,8900.10%EQ
186
NEWLantheus Hldgs Inc
Com516544103$1.6B14,4650.10%EQ
187
NEWRegions Financial Corp
Com7591EP100$1.6B67,5860.10%EQ
188
NEWTractor Supply Co
Com892356106$1.6B5,3900.10%EQ
189
NEWTruist Finl Corp
Com89832Q109$1.5B35,7460.10%EQ
190
NEWBarrett Business Svcs Inc
Com068463108$1.5B40,0400.10%EQ
191
NEWDuke Energy Corp
Com26441C204$1.5B12,9380.10%EQ
192
NEWDuke Energy Corp
Com26441C204$1.5B12,8970.10%EQ
193
NEWMoody's Corp
Com615369105$1.5B3,1130.09%EQ
194
NEWCoca-Cola Co
Com191216100$1.4B20,0770.09%EQ
195
NEWTowneBank
Com89214P109$1.4B42,8110.09%EQ
196
NEWBank of America Corp
Com060505104$1.4B35,6610.09%EQ
197
NEWSouthern Co
Com842587107$1.4B15,6750.09%EQ
198
NEWKraft Heinz Co
Com500754106$1.4B39,3870.09%EQ
199
NEWPhilip Morris Intl Inc
Com718172109$1.4B11,3700.09%EQ
200
NEWCisco Systems
Com17275R102$1.4B25,5140.09%EQ
201
NEWiShares Russell 1000 Index ETF
Com464287622$1.4B4,3170.09%EQ
202
NEWPowerfleet Inc
Com73931J109$1.3B269,9920.09%EQ
203
NEWFastenal Co
Com311900104$1.3B18,7560.09%EQ
204
NEWGoDaddy Inc Cl A
Com380237107$1.3B8,4350.08%EQ
205
NEWBecton Dickinson & Co
Com075887109$1.3B5,4780.08%EQ
206
NEWGilead Sciences Inc
Com375558103$1.3B15,5780.08%EQ
207
NEWBrown Forman Inc Cl B
Com115637209$1.3B26,4170.08%EQ
208
NEWWaste Management Inc
Com94106L109$1.3B6,2470.08%EQ
209
NEWAptiv PLC
ComG6095L109$1.3B17,3920.08%EQ
210
NEWIntuitive Surgical Inc
Com46120E602$1.2B2,5070.08%EQ
211
NEWInternational Business Machines Corp
Com459200101$1.2B5,5000.08%EQ
212
NEWEntergy Corp
Com29364G103$1.2B9,2100.08%EQ
213
NEWCitigroup Inc
Com172967424$1.2B19,2490.08%EQ
214
NEWAmerican Electric Power CO Inc
Com025537101$1.2B11,6250.08%EQ
215
NEWBrown & Brown Inc
Com115236101$1.2B11,5050.08%EQ
216
NEWAdobe Inc
Com00724F101$1.2B2,2970.08%EQ
217
NEWEmcor Group Inc
Com29084Q100$1.2B2,7510.08%EQ
218
NEWVerisign Inc
Com92343E102$1.2B6,1770.08%EQ
219
NEWEPAM Systems Inc
Com29414B104$1.2B5,8640.07%EQ
220
NEWZoetis Inc Cl A
Com98978V103$1.2B5,9600.07%EQ
221
NEWPrologis Inc
Com74340W103$1.2B9,2200.07%EQ
222
NEWConstellation Software Inc
Com21037X100$1.2B3570.07%EQ
223
NEWEdison Intl
Com281020107$1.2B13,3010.07%EQ
224
NEWLam Research Corp
Com512807108$1.2B1,4170.07%EQ
225
NEWPepsico Inc
Com713448108$1.2B6,7870.07%EQ
226
NEWEmerson Electric Co
Com291011104$1.1B10,3460.07%EQ
227
NEWKellanova
Com487836108$1.1B13,9900.07%EQ
228
NEWPinnacle Financial Partners Inc
Com72346Q104$1.1B11,4380.07%EQ
229
NEWFirst Citizens Bancshares Inc
Com319462107$1.1B20,9800.07%EQ
230
NEWVerizon Communications
Com92343V104$1.1B24,5340.07%EQ
231
NEWKimberly-Clark Corp
Com494368103$1.1B7,6690.07%EQ
232
NEWASML Holding NV ADR
ComN07059210$1.1B1,2840.07%EQ
233
NEWTexas Instruments Inc
Com882508104$1.1B5,1750.07%EQ
234
NEWTarget Hospitality Corp Cl A
Com87615L107$1.1B137,1110.07%EQ
235
NEWSouthern Co
Com842587107$1.1B11,8170.07%EQ
236
NEWAflac Inc
Com001055102$1.1B9,5090.07%EQ
237
NEWInvesco Water Resources ETF
Com46137V142$1.1B15,0600.07%EQ
238
NEWJefferies Financial Group Inc
Com47233W109$1.0B16,9200.07%EQ
239
NEWSonoco Products Co
Com835495102$1.0B18,9930.07%EQ
240
NEWXcel Energy Inc
Com98389B100$1.0B15,6850.07%EQ
241
NEWConsolidated Edison Inc
Com209115104$1.0B9,7740.07%EQ
242
NEWCoStar Group Inc
Com22160N109$1.0B13,4400.07%EQ
243
NEWChipotle Mexican Grill Inc
Com169656105$1.0B17,5500.06%EQ
244
NEWConocoPhillips
Com20825C104$1.0B9,5950.06%EQ
245
NEWAbbott Laboratories
Com002824100$990.4M8,6870.06%EQ
246
NEWBooz Allen Hamilton Holding Corp Cl A
Com099502106$990.1M6,0830.06%EQ
247
NEWDollar General Corp
Com256677105$978.1M11,5660.06%EQ
248
NEWAdvanced Micro Devices Inc
Com007903107$967.4M5,8960.06%EQ
249
NEWECN Capital Corp
Com26829L107$967.1M587,9250.06%EQ
250
NEWServiceNow Inc
Com81762P102$955.2M1,0680.06%EQ
251
NEWJones Lang Lasalle Inc
Com48020Q107$950.0M3,5210.06%EQ
252
NEWICU Medical Inc
Com44930G107$949.9M5,2130.06%EQ
253
NEWYETI Holdings Inc
Com98585X104$946.2M23,0600.06%EQ
254
NEWMcKesson Corp
Com58155Q103$932.0M1,8850.06%EQ
255
NEWCrowdStrike Holdings Inc Cl A
Com22788C105$926.4M3,3030.06%EQ
256
NEWHome Depot Inc
Com437076102$926.3M2,2860.06%EQ
257
NEWBristol-Myers Squibb Co
Com110122108$924.4M17,8660.06%EQ
258
NEWTravelers Cos Inc
Com89417E109$918.2M3,9220.06%EQ
259
NEWPrudential Financial Inc
Com744320102$915.5M7,5600.06%EQ
260
NEWL3harris Technologies Inc
Com502431109$913.9M3,8420.06%EQ
261
NEWElement Solutions Inc
Com28618M106$910.6M33,5270.06%EQ
262
NEWCommunity Health Systems Inc
Com203668108$910.5M150,0000.06%EQ
263
NEWiShares Tr Semiconductor ETF
Com464287523$907.6M3,9360.06%EQ
264
NEWAutoZone Inc
Com053332102$907.2M2880.06%EQ
265
NEWUnitedhealth Group Inc
Com91324P102$906.3M1,5500.06%EQ
266
NEWFirstenergy Corp
Com337932107$902.7M20,3550.06%EQ
267
NEWGlobant SA
ComL44385109$901.5M4,5500.06%EQ
268
NEWAsure Software Inc
Com04649U102$901.2M99,5800.06%EQ
269
NEWPfizer Inc
Com717081103$900.3M31,1100.06%EQ
270
NEWUS Bancorp
Com902973304$900.2M19,6850.06%EQ
271
NEWProcter & Gamble Co
Com742718109$888.0M5,1270.06%EQ
272
NEWCaterpillar Inc
Com149123101$878.1M2,2450.06%EQ
273
NEWConagra Brands Inc
Com205887102$871.6M26,8020.06%EQ
274
NEWPhillips 66
Com718546104$869.0M6,6110.06%EQ
275
NEWKLA Corp
Com482480100$864.2M1,1160.06%EQ
276
NEWMarvell Technology Inc
Com573874104$854.3M11,8450.05%EQ
277
NEWNetflix Inc
Com64110L106$845.5M1,1920.05%EQ
278
NEWVerizon Communications
Com92343V104$844.0M18,7940.05%EQ
279
NEWMarathon Petroleum Corp
Com56585A102$838.2M5,1450.05%EQ
280
NEWCME Group Inc Cl A
Com12572Q105$837.8M3,7970.05%EQ
281
NEWEdwards Lifesciences Corp
Com28176E108$834.8M12,6500.05%EQ
282
NEWSkyworks Solutions Inc
Com83088M102$833.2M8,4360.05%EQ
283
NEWCapital One Financial Corp
Com14040H105$832.2M5,5580.05%EQ
284
NEWMeta Platforms Inc Cl A
Com30303M102$828.3M1,4470.05%EQ
285
NEWCVS Health Corp
Com126650100$827.9M13,1660.05%EQ
286
NEWPool Corp
Com73278L105$825.6M2,1910.05%EQ
287
NEWFlexshares Global Upstream Ntrl Resources ETF
Com33939L407$810.9M19,6570.05%EQ
288
NEWCarlyle Group Inc
Com14316J108$808.1M18,7680.05%EQ
289
NEWEveri Holdings Inc
Com30034T103$802.4M61,0670.05%EQ
290
NEWPaypal Holdings Inc
Com70450Y103$784.5M10,0540.05%EQ
291
NEWCharles Schwab Corp
Com808513105$783.4M12,0870.05%EQ
292
NEWDexcom Inc
Com252131107$777.7M11,6000.05%EQ
293
NEWTaiwan Semiconductor Mfg Co Ltd ADR
Com874039100$774.4M4,4590.05%EQ
294
NEWHEICO Corp
Com422806109$774.2M2,9610.05%EQ
295
NEWTetra Tech Inc
Com88162G103$762.4M16,1670.05%EQ
296
NEWWells Fargo & Co
Com949746101$762.0M13,4890.05%EQ
297
NEWRTX Corp
Com75513E101$761.1M6,2820.05%EQ
298
NEWStryker Corp
Com863667101$752.1M2,0820.05%EQ
299
NEWOracle Corp
Com68389X105$737.5M4,3280.05%EQ
300
NEWKroger Co
Com501044101$732.3M12,7800.05%EQ
301
NEWEntegris Inc
Com29362U104$731.6M6,5010.05%EQ
302
NEWHamilton Lane Inc Cl A
Com407497106$731.5M4,3440.05%EQ
303
NEWStoneX Group Inc
Com861896108$714.4M8,7250.05%EQ
304
NEWGartner Inc
Com366651107$710.0M1,4010.05%EQ
305
NEWEnsign Group Inc
Com29358P101$706.3M4,9110.05%EQ
306
NEWBGC Group Inc Cl A
Com088929104$704.6M76,7530.05%EQ
307
NEWCitigroup Inc
Com172967424$703.2M11,2340.05%EQ
308
NEWGoosehead Insurance Inc Cl A
Com38267D109$700.0M7,8390.04%EQ
309
NEWMondelez Intl Inc Cl A
Com609207105$699.8M9,4990.04%EQ
310
NEWLVMH Moet Hennessy Louis Vuitton SE ADR
Com502441306$695.2M4,5240.04%EQ
311
NEWSPDR Materials Sector ETF
Com81369Y100$693.9M7,2000.04%EQ
312
NEWPaycom Software Inc
Com70432V102$688.1M4,1310.04%EQ
313
NEWHilton Worldwide Holdings Inc
Com43300A203$683.7M2,9660.04%EQ
314
NEWExlservice Holdings Inc
Com302081104$680.7M17,8440.04%EQ
315
NEWCME Group Inc Cl A
Com12572Q105$680.3M3,0830.04%EQ
316
NEWOld National Bancorp
Com680033107$678.9M36,3820.04%EQ
317
NEWElevance Health Inc
Com036752103$675.5M1,2990.04%EQ
318
NEWCVS Health Corp
Com126650100$674.0M10,7190.04%EQ
319
NEWComcast Corp Cl A
Com20030N101$672.8M16,1080.04%EQ
320
NEWAPI Group Corp
Com00187Y100$671.1M20,3250.04%EQ
321
NEWBio-Techne Corp
Com09073M104$669.0M8,3700.04%EQ
322
NEWUnited Parcel Service Inc Cl B
Com911312106$668.7M4,9050.04%EQ
323
NEWIntuit Inc
Com461202103$667.6M1,0750.04%EQ
324
NEWMasco Corp
Com574599106$667.6M7,9530.04%EQ
325
NEWPrudential Financial Inc
Com744320102$661.8M5,4650.04%EQ
326
NEWRevolve Group Inc Cl A
Com76156B107$660.3M26,6470.04%EQ
327
NEWFranklin Resources Inc
Com354613101$656.4M32,5770.04%EQ
328
NEWPTC Inc
Com69370C100$650.7M3,6020.04%EQ
329
NEWGE Vernova Inc
Com36828A101$648.4M2,5430.04%EQ
330
NEWAon PLC Cl A
ComG0403H108$647.0M1,8700.04%EQ
331
NEWAddus HomeCare Corp
Com006739106$641.9M4,8250.04%EQ
332
NEWeBay Inc
Com278642103$636.6M9,7780.04%EQ
333
NEWTJX Companies Inc
Com872540109$631.3M5,3710.04%EQ
334
NEWFairfax Financial Hldgs Ltd
Com303901102$629.2M5000.04%EQ
335
NEWClean Edge Smart GRID Infrastructure ETF
Com33737A108$628.5M4,9390.04%EQ
336
NEWAutodesk Inc
Com052769106$627.0M2,2760.04%EQ
337
NEWClearwater Analytics Hldg Inc Cl A
Com185123106$625.2M24,7610.04%EQ
338
NEWHoulihan Lokey Inc Cl A
Com441593100$615.0M3,8920.04%EQ
339
NEWWyndham Hotels & Resorts Inc
Com98311A105$614.2M7,8600.04%EQ
340
NEWBeacon Roofing Supply Inc Cl A
Com073685109$614.2M7,1060.04%EQ
341
NEWLandstar System Inc
Com515098101$613.8M3,2500.04%EQ
342
NEWEnbridge Inc
Com29250N105$613.0M15,0960.04%EQ
343
NEWDynatrace Inc
Com268150109$612.4M11,4540.04%EQ
344
NEWArista Networks Inc
Com040413106$604.1M1,5740.04%EQ
345
NEWMorningstar Inc
Com617700109$597.1M1,8710.04%EQ
346
NEWAccolade Inc
Com00437E102$596.8M155,0200.04%EQ
347
NEWDupont De Nemours Inc
Com26614N102$591.0M6,6320.04%EQ
348
NEWInvesco QQQ Trust ETF
Com46090E103$588.6M1,2060.04%EQ
349
NEWUnion Pacific Corp
Com907818108$588.1M2,3860.04%EQ
350
NEWGraco Inc
Com384109104$583.2M6,6640.04%EQ
351
NEWAutomatic Data Processing Inc
Com053015103$582.8M2,1060.04%EQ
352
NEWZebra Technologies Corp Cl A
Com989207105$582.5M1,5730.04%EQ
353
NEWGE Aerospace
Com369604301$576.5M3,0570.04%EQ
354
NEWWatsco Inc Cl A
Com942622200$573.5M1,1660.04%EQ
355
NEWInformation Services Group Inc
Com45675Y104$572.5M173,4720.04%EQ
356
NEWABB Ltd ADR
Com000375204$572.2M9,8530.04%EQ
357
NEWPfizer Inc
Com717081103$568.2M19,6350.04%EQ
358
NEWEncompass Health Corp
Com29261A100$563.3M5,8290.04%EQ
359
NEWiShares Silver Trust ETF
Com46428Q109$561.2M19,7520.04%EQ
360
NEWTesla Inc
Com88160R101$560.9M2,1440.04%EQ
361
NEWGlobal X Robotics & AI ETF
Com37954Y715$560.7M17,4390.04%EQ
362
NEWAshland Inc
Com044186104$559.3M6,4310.04%EQ
363
NEWAdvisorShares Pure US Cannabis ETF
Com00768Y453$559.0M77,9610.04%EQ
364
NEWCorteva Inc
Com22052L104$557.9M9,4900.04%EQ
365
NEWLakeland Industries Inc
Com511795106$556.1M27,6650.04%EQ
366
NEWIcon PLC
ComG4705A100$553.6M1,9270.04%EQ
367
NEWGenerac Hldgs Inc
Com368736104$552.4M3,4770.04%EQ
368
NEWRegeneron Pharmaceuticals Inc
Com75886F107$551.9M5250.04%EQ
369
NEWMKS Instruments Inc
Com55306N104$547.4M5,0350.04%EQ
370
NEWDow Inc
Com260557103$538.7M9,8600.03%EQ
371
NEWClean Harbors Inc
Com184496107$537.8M2,2250.03%EQ
372
NEWAmeriprise Finl Inc
Com03076C106$537.0M1,1430.03%EQ
373
NEWMedpace Hldgs Inc
Com58506Q109$536.4M1,6070.03%EQ
374
NEWMurphy USA Inc
Com626755102$534.8M1,0850.03%EQ
375
NEWWeyerhaeuser Co
Com962166104$534.0M15,7710.03%EQ
376
NEWAspen Technology Inc
Com29109X106$533.5M2,2340.03%EQ
377
NEWCarmax Inc
Com143130102$531.6M6,8700.03%EQ
378
NEWLockheed Martin Corp
Com539830109$530.2M9070.03%EQ
379
NEWHEICO Corp
Com422806109$529.5M2,0250.03%EQ
380
NEWTyler Technologies Inc
Com902252105$525.3M9000.03%EQ
381
NEWWoodward Inc
Com980745103$523.1M3,0500.03%EQ
382
NEWJohn Hancock Disciplined Value R6
Com47803U418$522.9M20,1740.03%EQ
383
NEWCigna Group
Com125523100$522.1M1,5070.03%EQ
384
NEWStarbucks Corp
Com855244109$521.9M5,3530.03%EQ
385
NEWTronox Hldg PLC Cl A
ComG9087Q102$519.6M35,5150.03%EQ
386
NEWAccenture PLC Cl A
ComG1151C101$519.3M1,4690.03%EQ
387
NEWHayward Holdings Inc
Com421298100$519.2M33,8430.03%EQ
388
NEWBlackstone Inc
Com09260D107$519.1M3,3900.03%EQ
389
NEWPerion Network Ltd
ComM78673114$518.3M65,7700.03%EQ
390
NEWKraft Heinz Co
Com500754106$513.5M14,6250.03%EQ
391
NEWNextEra Energy Inc
Com65339F101$513.2M6,0710.03%EQ
392
NEWCarlisle Companies Inc
Com142339100$512.7M1,1400.03%EQ
393
NEWNike Inc Cl B
Com654106103$512.2M5,7940.03%EQ
394
NEW3M Co
Com88579Y101$509.2M3,7250.03%EQ
395
NEWGeneral Mills Inc
Com370334104$508.8M6,8890.03%EQ
396
NEWDorman Products Inc
Com258278100$508.4M4,4940.03%EQ
397
NEWCoreCivic Inc
Com21871N101$507.3M40,1000.03%EQ
398
NEWCCC Intelligent Solutions Hldgs Inc
Com12510Q100$504.9M45,6910.03%EQ
399
NEWMotorcar Parts of America Inc
Com620071100$502.3M67,9650.03%EQ
400
NEWEOG Resources Inc
Com26875P101$501.6M4,0800.03%EQ
401
NEWGoldman Sachs Group Inc
Com38141G104$500.1M1,0100.03%EQ
402
NEWEaton Corp PLC
ComG29183103$496.2M1,4970.03%EQ
403
NEWSiteOne Landscape Supply Inc
Com82982L103$492.0M3,2600.03%EQ
404
NEWAT&T Inc
Com00206R102$489.7M22,2570.03%EQ
405
NEWiShares Russell Top 200 Growth ETF
Com464289438$488.5M2,2200.03%EQ
406
NEWAzek Co Inc Cl A
Com05478C105$484.2M10,3460.03%EQ
407
NEWSmartFinancial Inc
Com83190L208$481.5M16,5250.03%EQ
408
NEWelf Beauty Inc
Com26856L103$478.2M4,3860.03%EQ
409
NEWWalt Disney Co
Com254687106$474.4M4,9320.03%EQ
410
NEWCBRE Group Inc Cl A
Com12504L109$464.3M3,7300.03%EQ
411
NEWNetflix Inc
Com64110L106$461.7M6510.03%EQ
412
NEWMercadoLibre Inc
Com58733R102$461.7M2250.03%EQ
413
NEW3M Co
Com88579Y101$460.8M3,3710.03%EQ
414
NEWEnstar Group Ltd
ComG3075P101$459.9M1,4300.03%EQ
415
NEWDolby Laboratories Cl A
Com25659T107$459.9M6,0090.03%EQ
416
NEWApplied Materials Inc
Com038222105$458.9M2,2710.03%EQ
417
NEWOneok Inc
Com682680103$457.6M5,0210.03%EQ
418
NEWVeralto Corp
Com92338C103$455.4M4,0710.03%EQ
419
NEWPalo Alto Networks Inc
Com697435105$454.3M1,3290.03%EQ
420
NEWWilliams Companies Inc
Com969457100$448.1M9,8150.03%EQ
421
NEWThermo Fisher Scientific Inc
Com883556102$447.2M7230.03%EQ
422
NEWiShares S&P Mid-Cap 400 Value ETF
Com464287705$445.6M3,6050.03%EQ
423
NEWVodafone Group PLC ADR
Com92857W308$445.4M44,4480.03%EQ
424
NEWDexcom Inc
Com252131107$445.3M6,6430.03%EQ
425
NEWVivid Seats Inc
Com92854T100$444.4M120,1100.03%EQ
426
NEWGrocery Outlet Hldg Corp
Com39874R101$442.7M25,2270.03%EQ
427
NEWWarby Parker Inc Cl A
Com93403J106$436.6M26,7370.03%EQ
428
NEWDanaher Corp
Com235851102$433.4M1,5590.03%EQ
429
NEWSolventum Corp
Com83444M101$433.0M6,2110.03%EQ
430
NEWPitney Bowes Inc
Com724479100$432.0M60,5960.03%EQ
431
NEWLowe's Companies Inc
Com548661107$430.9M1,5910.03%EQ
432
NEWeBay Inc
Com278642103$428.9M6,5880.03%EQ
433
NEWHP Inc
Com40434L105$426.0M11,8750.03%EQ
434
NEWWhite Mountains Insurance Group Ltd
ComG9618E107$425.7M2510.03%EQ
435
NEWInterparfums, Inc.
Com458334109$425.7M3,2880.03%EQ
436
NEWAlarm.com Holdings Inc
Com011642105$415.2M7,5950.03%EQ
437
NEWBecton Dickinson & Co
Com075887109$412.8M1,7120.03%EQ
438
NEWCharles River Laboratories Intl Inc
Com159864107$410.1M2,0820.03%EQ
439
NEWGlacier Bancorp Inc
Com37637Q105$408.9M8,9480.03%EQ
440
NEWGartner Inc
Com366651107$408.4M8060.03%EQ
441
NEWLigand Pharmaceuticals Inc
Com53220K504$408.4M4,0800.03%EQ
442
NEWEtsy Inc
Com29786A106$405.8M7,3070.03%EQ
443
NEWKenvue Inc
Com49177J102$405.6M17,5340.03%EQ
444
NEWAMN Healthcare Services Inc
Com001744101$404.9M9,5520.03%EQ
445
NEWTrade Desk Inc Cl A
Com88339J105$403.4M3,6790.03%EQ
446
NEWAmerican Electric Power CO Inc
Com025537101$403.2M3,9300.03%EQ
447
NEWSysco Corp
Com871829107$402.7M5,1590.03%EQ
448
NEWFlexShares Quality Dividend ETF
Com33939L860$394.4M5,5000.03%EQ
449
NEWNCR Atleos Corp
Com63001N106$392.4M13,7540.03%EQ
450
NEWGS JUST US Large Cap Equity ETF
Com381430396$391.1M4,7740.03%EQ
451
NEWWalt Disney Co
Com254687106$388.6M4,0400.02%EQ
452
NEWDelta Air Lines Inc
Com247361702$388.3M7,6450.02%EQ
453
NEWKinsale Capital Group Inc
Com49714P108$386.4M8300.02%EQ
454
NEWMedpace Hldgs Inc
Com58506Q109$383.9M1,1500.02%EQ
455
NEWMarketaxess Holdings Inc
Com57060D108$383.5M1,4970.02%EQ
456
NEWRepligen Corp
Com759916109$383.5M2,5770.02%EQ
457
NEWUS Bancorp
Com902973304$379.7M8,3040.02%EQ
458
NEWVanguard Intl High Dividend Yield ETF
Com921946794$376.4M5,1270.02%EQ
459
NEWNestle SA ADR
Com641069406$375.1M3,7240.02%EQ
460
NEWMarvell Technology Inc
Com573874104$374.3M5,1900.02%EQ
461
NEWSynovus Financial Corp
Com87161C501$370.4M8,3300.02%EQ
462
NEWTopBuild Corp
Com89055F103$369.4M9080.02%EQ
463
NEWSPDR Industrial Sector ETF
Com81369Y704$368.7M2,7220.02%EQ
464
NEWEcolab Inc
Com278865100$367.2M1,4380.02%EQ
465
NEWIntercontinental Exchange Inc
Com45866F104$366.9M2,2840.02%EQ
466
NEWGenuine Parts Co
Com372460105$365.0M2,6130.02%EQ
467
NEWIntuitive Surgical Inc
Com46120E602$364.0M7410.02%EQ
468
NEWEastman Chemical Co
Com277432100$362.4M3,2370.02%EQ
469
NEWFirst Tr VI Risign Divid Achievers ETF
Com33738R506$362.4M6,1200.02%EQ
470
NEWJones Lang Lasalle Inc
Com48020Q107$360.2M1,3350.02%EQ
471
NEWAtmos Energy Corp
Com049560105$358.7M2,5860.02%EQ
472
NEWWarner Bros Discovery Inc Cl A
Com934423104$358.1M43,4100.02%EQ
473
NEWHNI Corporation
Com404251100$357.4M6,6380.02%EQ
474
NEWProgyny Inc
Com74340E103$356.7M21,2800.02%EQ
475
NEWMSCI Inc
Com55354G100$354.4M6080.02%EQ
476
NEWCracker Barrel Old Country Store Inc
Com22410J106$353.2M7,7890.02%EQ
477
NEWAirbnb Inc Cl A
Com009066101$352.8M2,7820.02%EQ
478
NEWBP PLC SP ADR
Com055622104$351.8M11,2070.02%EQ
479
NEWWells Fargo & Co
Com949746101$349.8M6,1930.02%EQ
480
NEWLennar Corp Cl A
Com526057104$349.5M1,8640.02%EQ
481
NEWDell Technologies Inc Cl C
Com24703L202$348.7M2,9420.02%EQ
482
NEWLancaster Colony Corp
Com513847103$348.7M1,9750.02%EQ
483
NEWEmerson Electric Co
Com291011104$348.7M3,1880.02%EQ
484
NEWCardinal Health Inc
Com14149Y108$346.5M3,1350.02%EQ
485
NEWAerSale Corp
Com00810F106$345.1M68,3450.02%EQ
486
NEWSchlumberger Ltd
Com806857108$343.0M8,1770.02%EQ
487
NEWPhilip Morris Intl Inc
Com718172109$340.4M2,8040.02%EQ
488
NEWEvertec Inc
Com30040P103$335.1M9,8890.02%EQ
489
NEWFloor & Decor Hldg Inc Cl A
Com339750101$334.9M2,6970.02%EQ
490
NEWHoneywell Intl Inc
Com438516106$334.3M1,6170.02%EQ
491
NEWAmerican Tower Corp
Com03027X100$329.8M1,4180.02%EQ
492
NEWPNC Financial Services Group
Com693475105$327.4M1,7710.02%EQ
493
NEWCore & Main Inc Cl A
Com21874C102$322.5M7,2640.02%EQ
494
NEWEuronet Worldwide Inc
Com298736109$322.1M3,2460.02%EQ
495
NEWAlign Technology Inc
Com016255101$321.5M1,2640.02%EQ
496
NEWGod Bless America ETF
Com886364462$318.2M8,6080.02%EQ
497
NEWCommunity Trust Bancorp Inc
Com204149108$317.6M6,3950.02%EQ
498
NEWWalmart Inc
Com931142103$312.7M3,8730.02%EQ
499
NEWDollar General Corp
Com256677105$306.2M3,6210.02%EQ
500
NEWDXC Technology Co
Com23355L106$304.9M14,6920.02%EQ
501
NEWFB Financial Corp
Com30257X104$303.5M6,4680.02%EQ
502
NEWVisteon Corp
Com92839U206$303.3M3,1850.02%EQ
503
NEWPerdoceo Ed Corp
Com71363P106$300.2M13,4990.02%EQ
504
NEWWorkday Inc Cl A
Com98138H101$295.5M1,2090.02%EQ
505
NEWBooking Holdings Inc
Com09857L108$294.8M700.02%EQ
506
NEWFirst Trust Morningstar Dividend Leaders ETF
Com336917109$293.9M7,0050.02%EQ
507
NEWMarathon Oil Corp
Com565849106$292.9M11,0000.02%EQ
508
NEWiShares MSCI India ETF
Com46429B598$291.5M4,9800.02%EQ
509
NEWNestle SA ADR
Com641069406$291.0M2,8890.02%EQ
510
NEWCarrier Global Corp
Com14448C104$289.8M3,6000.02%EQ
511
NEWAirbnb Inc Cl A
Com009066101$287.6M2,2680.02%EQ
512
NEWDavita Inc
Com23918K108$285.9M1,7440.02%EQ
513
NEWHershey Co
Com427866108$284.4M1,4830.02%EQ
514
NEWAltria Group Inc
Com02209S103$282.5M5,5350.02%EQ
515
NEWNXP Semiconductors NV
ComN6596X109$279.1M1,1630.02%EQ
516
NEWNational Health Invs Inc
Com63633D104$278.2M3,3100.02%EQ
517
NEWChubb Ltd
ComH1467J104$275.7M9560.02%EQ
518
NEWMorgan Stanley
Com617446448$271.4M2,6040.02%EQ
519
NEWAres Management Corp
Com03990B101$267.7M1,7180.02%EQ
520
NEWFox Factory Holding Corp
Com35138V102$266.5M6,4220.02%EQ
521
NEWLiberty Energy Inc Cl A
Com53115L104$265.2M13,8920.02%EQ
522
NEWDeere & Co
Com244199105$264.2M6330.02%EQ
523
NEWPaypal Holdings Inc
Com70450Y103$262.6M3,3660.02%EQ
524
NEWFirst Horizon Corp
Com320517105$261.7M16,8540.02%EQ
525
NEWAkamai Technologies Inc
Com00971T101$259.3M2,5690.02%EQ
526
NEWMetLife Inc
Com59156R108$258.7M3,1370.02%EQ
527
NEWWhite Mountains Insurance Group Ltd
ComG9618E107$254.4M1500.02%EQ
528
NEWR1 RCM Inc
Com77634L105$254.1M17,9320.02%EQ
529
NEWUber Technologies Inc
Com90353T100$253.7M3,3750.02%EQ
530
NEWGeneral Dynamics Corp
Com369550108$252.6M8360.02%EQ
531
NEWRoper Technologies Inc
Com776696106$252.6M4540.02%EQ
532
NEWHologic Inc
Com436440101$252.4M3,0990.02%EQ
533
NEWLululemon Athletica Inc
Com550021109$248.6M9160.02%EQ
534
NEWMarkel Group Inc
Com570535104$246.3M1570.02%EQ
535
NEWVertex Pharmaceuticals Inc
Com92532F100$243.7M5240.02%EQ
536
NEWKimberly-Clark Corp
Com494368103$241.4M1,6970.02%EQ
537
NEWBP PLC SP ADR
Com055622104$240.1M7,6500.02%EQ
538
NEWElevance Health Inc
Com036752103$239.7M4610.02%EQ
539
NEWAaon Inc
Com000360206$237.7M2,2040.02%EQ
540
NEWCheck Point Software Technologies Ltd
ComM22465104$237.3M1,2310.02%EQ
541
NEWWaste Connections Inc
Com94106B101$232.8M1,3020.01%EQ
542
NEWConsolidated Edison Inc
Com209115104$229.9M2,2080.01%EQ
543
NEWVanguard ESG International Stock ETF
Com921910725$228.6M3,7160.01%EQ
544
NEWKAR Auction Services Inc
Com48238T109$225.4M13,3550.01%EQ
545
NEWLCNB Corp
Com50181P100$224.1M14,8680.01%EQ
546
NEWVanguard Russell 1000 Growth ETF
Com92206C680$223.2M2,3120.01%EQ
547
NEWAmdocs Ltd
ComG02602103$221.8M2,5350.01%EQ
548
NEWMurphy Oil Corp
Com626717102$220.5M6,5340.01%EQ
549
NEWNovartis AG ADR
Com66987V109$219.8M1,9110.01%EQ
550
NEWTrane Technologies PLC Cl A
ComG8994E103$219.6M5650.01%EQ
551
NEWProgressive Corp
Com743315103$214.4M8450.01%EQ
552
NEWBroadridge Financial Solutions Inc
Com11133T103$212.7M9890.01%EQ
553
NEWNorthern Trust Corp
Com665859104$212.1M2,3560.01%EQ
554
NEWPPL Corp
Com69351T106$211.6M6,3970.01%EQ
555
NEWSPDR S&P Biotech ETF
Com78464A870$211.2M2,1380.01%EQ
556
NEWUNITED CMNTY BKS BLAIRSVLE GA COM
Com90984P303$211.0M7,2550.01%EQ
557
NEWSafran SA UNSP ADR
Com786584102$210.2M3,5690.01%EQ
558
NEWBristol-Myers Squibb Co
Com110122108$208.2M4,0240.01%EQ
559
NEWBooking Holdings Inc
Com09857L108$206.4M490.01%EQ
560
NEWNasdaq Inc
Com631103108$206.2M2,8240.01%EQ
561
NEWClorox Co
Com189054109$203.1M1,2470.01%EQ
562
NEWFirst Northwest Bancorp
Com335834107$202.4M18,9200.01%EQ
563
NEWEOG Resources Inc
Com26875P101$196.1M1,5950.01%EQ
564
NEWFidelity Wise Origin Bitcoin ETF
Com315948109$189.7M3,4160.01%EQ
565
NEWVerisk Analytics Inc
Com92345Y106$187.6M7000.01%EQ
566
NEWEdison Intl
Com281020107$184.9M2,1230.01%EQ
567
NEWAmgen Inc
Com031162100$182.0M5650.01%EQ
568
NEWIllinois Tool Works Inc
Com452308109$181.9M6940.01%EQ
569
NEWKenvue Inc
Com49177J102$180.7M7,8110.01%EQ
570
NEWQUALCOMM Inc
Com747525103$176.9M1,0400.01%EQ
571
NEWiShares Global Clean Energy ETF
Com464288224$176.8M12,0340.01%EQ
572
NEWWalgreens Boots Alliance Inc
Com931427108$176.5M19,6980.01%EQ
573
NEWCummins Inc
Com231021106$176.5M5450.01%EQ
574
NEWGilead Sciences Inc
Com375558103$169.9M2,0260.01%EQ
575
NEWAutodesk Inc
Com052769106$168.6M6120.01%EQ
576
NEWDevon Energy Corp
Com25179M103$168.3M4,3020.01%EQ
577
NEWStryker Corp
Com863667101$166.2M4600.01%EQ
578
NEWMid-America Apartment Communities Inc
Com59522J103$164.9M1,0380.01%EQ
579
NEWTJX Companies Inc
Com872540109$164.6M1,4000.01%EQ
580
NEWO'Reilly Automotive Inc
Com67103H107$163.5M1420.01%EQ
581
NEWDaily Journal Corp
Com233912104$163.2M3330.01%EQ
582
NEWDaily Journal Corp
Com233912104$163.2M3330.01%EQ
583
NEWSAP SE ADR
Com803054204$156.5M6830.01%EQ
584
NEWIngredion Inc
Com457187102$154.7M1,1260.01%EQ
585
NEWMid-America Apartment Communities Inc
Com59522J103$149.4M9400.01%EQ
586
NEWGreen Plains Inc
Com393222104$147.6M10,9040.01%EQ
587
NEWCrescent Energy Co Cl A
Com44952J104$146.4M13,3660.01%EQ
588
NEWMondelez Intl Inc Cl A
Com609207105$145.9M1,9800.01%EQ
589
NEWAltria Group Inc
Com02209S103$145.2M2,8440.01%EQ
590
NEWNewmont Corp
Com651639106$143.5M2,6840.01%EQ
591
NEWArch Capital Group Ltd
ComG0450A105$142.5M1,2740.01%EQ
592
NEWArthur J Gallagher & Co
Com363576109$140.7M5000.01%EQ
593
NEWL'Oreal SA ADR
Com502117203$138.5M1,5430.01%EQ
594
NEWDominion Energy Inc
Com25746U109$134.4M2,3260.01%EQ
595
NEWAflac Inc
Com001055102$134.2M1,2000.01%EQ
596
NEWEverest Group Ltd
ComG3223R108$133.6M3410.01%EQ
597
NEWConstellation Software Inc
Com21037X100$130.2M400.01%EQ
598
NEWInternational Business Machines Corp
Com459200101$129.8M5870.01%EQ
599
NEWIllinois Tool Works Inc
Com452308109$124.5M4750.01%EQ
600
NEWAtlassian Corp Cl A
Com049468101$124.3M7830.01%EQ
601
NEWWheaton Precious Metals Corp
Com962879102$122.5M2,0050.01%EQ
602
NEWCummins Inc
Com231021106$121.4M3750.01%EQ
603
NEWFidelity Wise Origin Bitcoin ETF
Com315948109$118.6M2,1350.01%EQ
604
NEWCanadian Natural Resources Ltd
Com136385101$114.6M3,4510.01%EQ
605
NEWKellanova
Com487836108$113.0M1,4000.01%EQ
606
NEWSchlumberger Ltd
Com806857108$111.3M2,6530.01%EQ
607
NEWFedex Corp
Com31428X106$110.8M4050.01%EQ
608
NEWVerisign Inc
Com92343E102$108.3M5700.01%EQ
609
NEWFerrari NV
ComN3167Y103$106.7M2270.01%EQ
610
NEWUlta Beauty Inc
Com90384S303$103.1M2650.01%EQ
611
NEWTravelers Cos Inc
Com89417E109$103.0M4400.01%EQ
612
NEWWyndham Hotels & Resorts Inc
Com98311A105$101.6M1,3000.01%EQ
613
NEWCarrier Global Corp
Com14448C104$99.2M1,2320.01%EQ
614
NEWXcel Energy Inc
Com98389B100$96.5M1,4780.01%EQ
615
NEWVerisk Analytics Inc
Com92345Y106$95.1M3550.01%EQ
616
NEWKinsale Capital Group Inc
Com49714P108$93.1M2000.01%EQ
617
NEWFirstenergy Corp
Com337932107$91.2M2,0560.01%EQ
618
NEWCharles Schwab Corp
Com808513105$91.1M1,4060.01%EQ
619
NEWLVMH Moet Hennessy Louis Vuitton SE ADR
Com502441306$90.4M5880.01%EQ
620
NEWConagra Brands Inc
Com205887102$84.2M2,5890.01%EQ
621
NEWDominion Energy Inc
Com25746U109$81.7M1,4140.01%EQ
622
NEWLam Research Corp
Com512807108$81.6M1000.01%EQ
623
NEWAstrazeneca PLC ADR
Com046353108$81.5M1,0460.01%EQ
624
NEWTractor Supply Co
Com892356106$81.5M2800.01%EQ
625
NEWSPDR Industrial Sector ETF
Com81369Y704$81.3M6000.01%EQ
626
NEWO'Reilly Automotive Inc
Com67103H107$80.6M700.01%EQ
627
NEWComcast Corp Cl A
Com20030N101$79.6M1,9060.01%EQ
628
NEWDevon Energy Corp
Com25179M103$79.3M2,0260.01%EQ
629
NEWAT&T Inc
Com00206R102$75.8M3,4460.00%EQ
630
NEWICICI Bank Ltd SP ADR
Com45104G104$75.2M2,5190.00%EQ
631
NEWGenuine Parts Co
Com372460105$74.3M5320.00%EQ
632
NEWArthur J Gallagher & Co
Com363576109$73.7M2620.00%EQ
633
NEWFranklin Resources Inc
Com354613101$70.4M3,4920.00%EQ
634
NEWAlign Technology Inc
Com016255101$70.2M2760.00%EQ
635
NEWEnbridge Inc
Com29250N105$69.9M1,7210.00%EQ
636
NEWNorthern Trust Corp
Com665859104$69.1M7680.00%EQ
637
NEWCharles River Laboratories Intl Inc
Com159864107$67.2M3410.00%EQ
638
NEWmonday.com Ltd
ComM7S64H106$66.9M2410.00%EQ
639
NEWCarmax Inc
Com143130102$64.8M8380.00%EQ
640
NEWNike Inc Cl B
Com654106103$63.7M7210.00%EQ
641
NEWDeere & Co
Com244199105$62.6M1500.00%EQ
642
NEWAmdocs Ltd
ComG02602103$61.2M7000.00%EQ
643
NEWRegions Financial Corp
Com7591EP100$60.5M2,5940.00%EQ
644
NEWSAP SE ADR
Com803054204$59.6M2600.00%EQ
645
NEWNewmont Corp
Com651639106$58.8M1,1000.00%EQ
646
NEWFirst Horizon Corp
Com320517105$56.4M3,6290.00%EQ
647
NEWVeralto Corp
Com92338C103$55.5M4960.00%EQ
648
NEWCardinal Health Inc
Com14149Y108$55.3M5000.00%EQ
649
NEWAdvisorShares Pure US Cannabis ETF
Com00768Y453$53.6M7,4690.00%EQ
650
NEWBio-Techne Corp
Com09073M104$48.2M6030.00%EQ
651
NEWTexas Instruments Inc
Com882508104$47.3M2290.00%EQ
652
NEWVanEck Gold Miners ETF
Com92189F106$45.8M1,1510.00%EQ
653
NEWBroadridge Financial Solutions Inc
Com11133T103$43.0M2000.00%EQ
654
NEWGoosehead Insurance Inc Cl A
Com38267D109$42.8M4790.00%EQ
655
NEWSolventum Corp
Com83444M101$42.6M6110.00%EQ
656
NEWNorthrop Grumman Corp
Com666807102$42.2M800.00%EQ
657
NEWPaycom Software Inc
Com70432V102$41.6M2500.00%EQ
658
NEWClorox Co
Com189054109$40.7M2500.00%EQ
659
NEWPNC Financial Services Group
Com693475105$38.4M2080.00%EQ
660
NEWSynovus Financial Corp
Com87161C501$35.6M8000.00%EQ
661
NEWPinnacle Financial Partners Inc
Com72346Q104$35.3M3600.00%EQ
662
NEWExperian PLC ADR
Com30215C101$34.6M6560.00%EQ
663
NEWBrown Forman Inc Cl B
Com115637209$32.6M6620.00%EQ
664
NEWCapital One Financial Corp
Com14040H105$31.9M2130.00%EQ
665
NEWGE Vernova Inc
Com36828A101$29.6M1160.00%EQ
666
NEWiShares Short Term Bond ETF
Com464288646$26.3M5000.00%EQ
667
NEWEmcor Group Inc
Com29084Q100$25.4M590.00%EQ
668
NEWMedtronic PLC
ComG5960L103$25.2M2800.00%EQ
669
NEWFloor & Decor Hldg Inc Cl A
Com339750101$25.1M2020.00%EQ
670
NEWLennar Corp Cl A
Com526057104$24.9M1330.00%EQ
671
NEWSiteOne Landscape Supply Inc
Com82982L103$21.6M1430.00%EQ
672
NEWCorteva Inc
Com22052L104$18.9M3220.00%EQ
673
NEWFastenal Co
Com311900104$17.9M2500.00%EQ
674
NEWNorthern Dynasty Minerals Ltd
Com66510M204$16.6M50,0000.00%EQ
675
NEWEcolab Inc
Com278865100$16.3M640.00%EQ
676
NEWAtmos Energy Corp
Com049560105$16.1M1160.00%EQ
677
NEWFB Financial Corp
Com30257X104$13.6M2890.00%EQ
678
NEWTyler Technologies Inc
Com902252105$12.8M220.00%EQ
679
NEWPool Corp
Com73278L105$12.8M340.00%EQ
680
NEWBlackstone Inc
Com09260D107$12.6M820.00%EQ
681
NEWChubb Ltd
ComH1467J104$12.1M420.00%EQ
682
NEWAutoZone Inc
Com053332102$9.4M30.00%EQ
683
NEWLockheed Martin Corp
Com539830109$9.4M160.00%EQ
684
NEWFerguson PLC New
Com31488V107$9.3M470.00%EQ
685
NEWNovartis AG ADR
Com66987V109$9.2M800.00%EQ
686
NEWWeyerhaeuser Co
Com962166104$8.7M2560.00%EQ
687
NEWYETI Holdings Inc
Com98585X104$8.2M2000.00%EQ
688
NEWWalgreens Boots Alliance Inc
Com931427108$6.5M7230.00%EQ
689
NEWFairfax Financial Hldgs Ltd
Com303901102$5.0M40.00%EQ
690
NEWUnited Parcel Service Inc Cl B
Com911312106$3.7M270.00%EQ
691
NEWMorgan Stanley
Com617446448$3.4M330.00%EQ
692
NEWASM Intl NV ADR
ComN07045102$3.3M50.00%EQ
693
NEWAdyen NV ADR
Com00783V104$3.0M1930.00%EQ
694
NEWBlackrock Inc
Com09247X101$2.8M30.00%EQ
695
NEWNu Hldgs Ltd Cl A
ComG6683N103$2.6M1920.00%EQ
696
NEWCoupang Inc Cl A
Com22266T109$2.6M1060.00%EQ
697
NEWSpotify Technology SA
ComL8681T102$2.6M70.00%EQ
698
NEWMcKesson Corp
Com58155Q103$2.5M50.00%EQ
699
NEWBAE Systems PLC ADR
Com05523R107$2.5M370.00%EQ
700
NEWSchneider Electric SE ADR
Com80687P106$2.4M460.00%EQ
701
NEWSteris PLC
ComG8473T100$2.4M100.00%EQ
702
NEWKLA Corp
Com482480100$2.3M30.00%EQ
703
NEWUBS Group AG
ComH42097107$2.0M640.00%EQ
704
NEWCoreCivic Inc
Com21871N101$1.1M870.00%EQ
705
NEWEPAM Systems Inc
Com29414B104$995K50.00%EQ
706
NEWCore & Main Inc Cl A
Com21874C102$888K200.00%EQ
Fund Intelligence | Institutional Investment Analytics