前 350 股票合计 · 近半年(6mo) · 数据 2026-07-29 21:18

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市场总成交额 · 前 350 股票合计 · 近半年每日趋势

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金额列(近3日/近1周/近1月/半年)为日均成交额,半年累计为合计;代码可点开 Yahoo 行情。3日/周/月环比 = 本期日均 ÷ 上一期同长度日均 − 1(真环比);周/半年 = 近1周 ÷ 半年(相对长期基线),其前 20 名 🔺高亮为放量异动。默认按半年日均降序。
#代码名称近3日近1周近1月半年日均3日环比周环比月环比周/半年半年累计占比
1MUMicron Technology Inc. Common Stock$47.93B$44.23B$42.79B$32.69B+33.5%+8.2%-29.5%+35.3%$4.05T5.99%
2NVDANVIDIA Corporation Common Stock$28.23B$26.30B$26.54B$32.35B+11.4%+5.6%-24.4%-18.7%$4.01T5.92%
3TSLATesla Inc. Common Stock$12.61B$18.89B$15.90B$21.90B-44.4%+57.9%-17.3%-13.8%$2.72T4.01%
4SPCXSpace Exploration Technologies Corp. Class A Common Stock$7.62B$7.66B$10.23B$18.21B-12.5%-15.8%-57.9%$582.64B0.86%
5SNDKSandisk Corporation Common Stock$26.95B$24.32B$23.14B$17.67B+40.3%+12.1%+6.6%+37.6%$2.19T3.24%
6MSFTMicrosoft Corporation Common Stock$13.71B$12.65B$12.72B$15.06B+24.2%+6.0%-35.8%-16.0%$1.87T2.76%
7AAPLApple Inc. Common Stock$17.75B$16.44B$16.14B$14.38B+28.1%-4.2%-18.2%+14.4%$1.78T2.63%
8AMDAdvanced Micro Devices Inc. Common Stock$15.36B$14.98B$14.51B$12.48B+8.3%+5.8%-11.1%+20.0%$1.55T2.29%
9AMZNAmazon.com Inc. Common Stock$9.47B$9.52B$9.77B$11.77B+3.0%+4.8%-34.7%-19.1%$1.46T2.16%
10GOOGLAlphabet Inc. Class A Common Stock$9.45B$12.11B$10.10B$11.07B-38.0%+9.6%-30.9%+9.4%$1.37T2.03%
11INTCIntel Corporation Common Stock$12.64B$13.75B$12.10B$10.27B-2.5%+36.5%-25.3%+33.9%$1.27T1.88%
12METAMeta Platforms Inc. Class A Common Stock$8.82B$8.54B$11.86B$10.22B+14.3%-3.6%+6.8%-16.4%$1.27T1.87%
13AVGOBroadcom Inc. Common Stock$7.57B$6.98B$8.11B$9.56B+20.0%-3.7%-46.8%-27.0%$1.19T1.75%
14SKHYSK hynix Inc. American Depositary Shares$7.38B$6.47B$8.83B$8.83B+50.7%-12.3%-26.7%$123.55B0.18%
15GOOGAlphabet Inc. Class C Capital Stock$6.92B$8.51B$6.77B$7.34B-30.2%+22.9%-33.9%+15.8%$910.59B1.34%
16PLTRPalantir Technologies Inc. Class A Common Stock$4.51B$3.96B$4.80B$6.52B+22.2%-1.5%-19.4%-39.3%$808.88B1.19%
17MRVLMarvell Technology Inc. Common Stock$4.45B$4.13B$5.75B$6.39B+23.1%-18.2%-71.3%-35.4%$791.95B1.17%
18TSMTaiwan Semiconductor Manufacturing Company Ltd.$7.47B$6.33B$6.47B$5.43B+65.3%-10.3%+3.8%+16.6%$673.52B0.99%
19ORCLOracle Corporation Common Stock$3.87B$4.13B$5.14B$4.86B-0.7%-8.1%-15.8%-14.9%$602.51B0.89%
20LITELumentum Holdings Inc. Common Stock$3.39B$3.35B$3.22B$4.65B+4.0%+2.0%-41.5%-27.9%$576.24B0.85%
21AMATApplied Materials Inc. Common Stock$4.43B$3.97B$5.41B$3.85B+42.5%-4.1%-19.8%+3.2%$477.23B0.70%
22NFLXNetflix Inc. Common Stock$3.13B$3.02B$3.57B$3.82B+6.4%-43.2%-3.5%-21.0%$474.25B0.70%
23WDCWestern Digital Corporation Common Stock$4.07B$3.58B$3.93B$3.71B+40.7%-11.8%-38.7%-3.6%$460.15B0.68%
24LLYEli Lilly and Company Common Stock$2.48B$2.41B$2.89B$3.26B+15.3%-12.6%-26.2%-26.0%$404.44B0.60%
25QCOMQUALCOMM Incorporated Common Stock$2.57B$2.25B$2.46B$3.17B+57.7%+3.7%-49.8%-29.3%$393.65B0.58%
26LRCXLam Research Corporation Common Stock$4.17B$3.59B$4.03B$3.13B+67.9%+13.7%-15.1%+14.5%$388.42B0.57%
27JPMJP Morgan Chase & Co. Common Stock$2.66B$2.89B$3.32B$3.03B-13.8%-3.0%+3.1%-4.5%$375.51B0.55%
28XOMExxonMobil Holdings Corporation Common Stock$2.31B$2.26B$2.21B$2.97B+6.6%+5.7%-15.1%-23.9%$368.85B0.54%
29NBISNebius Group N.V. Class A Ordinary Shares$4.71B$4.41B$4.05B$2.97B+21.8%+1.8%-9.8%+48.2%$368.76B0.54%
30STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)$5.85B$5.23B$4.39B$2.92B+30.9%+7.8%-0.9%+79.2% 🔺$361.96B0.53%
31ASMLASML Holding N.V. New York Registry Shares$4.74B$3.70B$3.74B$2.89B+132.1%+14.5%-4.4%+28.1%$358.27B0.53%
32MSTRStrategy Inc Common Stock Class A$1.45B$1.43B$1.79B$2.74B+5.5%-1.5%-41.0%-47.8%$339.82B0.50%
33CRWVCoreWeave Inc. Class A Common Stock$1.84B$1.76B$2.07B$2.71B+5.0%-12.2%-39.1%-35.0%$336.22B0.50%
34WMTWalmart Inc. Common Stock$2.54B$2.39B$2.47B$2.71B+10.1%-5.7%-17.1%-11.8%$336.21B0.50%
35GEVGE Vernova Inc. Common Stock$3.52B$3.35B$3.14B$2.66B-4.2%-5.8%-6.1%+26.0%$329.70B0.49%
36UNHUnitedHealth Group Incorporated Common Stock (DE)$2.23B$2.06B$2.43B$2.66B+22.1%-39.4%-18.7%-22.3%$329.51B0.49%
37NOWServiceNow Inc. Common Stock$3.94B$3.85B$2.50B$2.63B+1.9%+59.6%-27.9%+46.2%$326.42B0.48%
38BEBloom Energy Corporation Class A Common Stock$5.02B$4.01B$3.53B$2.63B+113.6%+26.4%-9.5%+52.7%$325.78B0.48%
39CRMSalesforce Inc. Common Stock$3.18B$2.67B$2.19B$2.62B+65.2%+29.1%-32.2%+1.7%$325.04B0.48%
40VVisa Inc.$3.54B$2.74B$2.87B$2.59B+126.0%+9.6%-5.0%+5.6%$321.34B0.47%
41HOODRobinhood Markets Inc. Class A Common Stock$1.88B$1.93B$2.33B$2.59B+9.2%-11.6%-31.9%-25.6%$321.12B0.47%
42APPApplovin Corporation Class A Common Stock$2.23B$2.15B$2.59B$2.56B-7.9%-11.4%-5.0%-16.2%$317.64B0.47%
43CATCaterpillar Inc. Common Stock$3.54B$2.96B$2.79B$2.50B+79.6%+12.5%-24.7%+18.4%$309.49B0.46%
44CSCOCisco Systems Inc. Common Stock (DE)$2.54B$2.30B$2.50B$2.40B+40.2%+3.3%-23.0%-4.2%$298.09B0.44%
45BRK/BBerkshire Hathaway Inc.$2.52B$2.19B$2.08B$2.38B+53.9%+6.7%-27.6%-8.3%$295.55B0.44%
46GLWCorning Incorporated Common Stock$3.67B$2.74B$2.49B$2.32B+158.9%+46.0%-25.7%+18.3%$287.63B0.42%
47DELLDell Technologies Inc. Class C Common Stock$2.72B$2.48B$2.84B$2.31B+9.5%-0.9%-41.9%+7.7%$286.07B0.42%
48IBMInternational Business Machines Corporation Common Stock$2.27B$2.45B$3.19B$2.22B-19.2%-19.9%-3.2%+10.5%$274.91B0.41%
49KLACKLA Corporation Common Stock$3.21B$2.79B$3.09B$2.19B+54.3%+17.0%-8.1%+27.2%$271.53B0.40%
50ARMArm Holdings plc American Depositary Shares$1.62B$1.43B$1.71B$2.16B+60.7%-9.4%-64.8%-33.7%$267.60B0.40%
51RKLBRocket Lab Corporation Common Stock$1.12B$1.11B$1.58B$2.15B-8.4%-27.2%-51.2%-48.2%$266.31B0.39%
52GSGoldman Sachs Group Inc. (The) Common Stock$2.68B$2.30B$2.16B$2.13B+56.3%+10.1%-17.2%+7.7%$264.73B0.39%
53TXNTexas Instruments Incorporated Common Stock$2.80B$2.81B$2.39B$2.13B-4.8%+18.4%-26.6%+31.7%$264.71B0.39%
54COSTCostco Wholesale Corporation Common Stock$2.17B$1.93B$2.18B$2.12B+36.7%-0.4%-18.1%-8.8%$262.67B0.39%
55CVXChevron Corporation Common Stock$1.45B$1.45B$1.49B$2.05B+6.6%+12.2%-10.7%-29.5%$254.40B0.38%
56BACBank of America Corporation Common Stock$2.14B$2.00B$2.10B$2.05B-5.3%-16.8%-3.0%-2.3%$253.77B0.37%
57IRENIREN Limited Ordinary Shares$1.65B$1.58B$1.74B$2.02B+5.0%-25.4%-31.7%-21.6%$250.63B0.37%
58COHRCoherent Corp. Common Stock$1.61B$1.36B$1.38B$2.01B+71.0%+6.6%-46.2%-32.7%$249.73B0.37%
59PANWPalo Alto Networks Inc. Common Stock$1.91B$1.86B$2.33B$2.00B+0.1%-17.2%-12.0%-7.0%$248.61B0.37%
60VRTVertiv Holdings LLC Class A Common Stock$2.79B$2.06B$1.61B$1.99B+197.2%+64.0%-28.4%+3.4%$247.06B0.36%
61JNJJohnson & Johnson Common Stock$2.33B$2.15B$2.09B$1.99B+14.7%-7.7%-4.4%+8.2%$246.45B0.36%
62COINCoinbase Global Inc. Class A Common Stock$1.03B$968.7M$1.14B$1.89B+6.2%-25.6%-20.8%-48.7%$234.24B0.35%
63MAMastercard Incorporated Common Stock$1.68B$1.50B$1.64B$1.87B+36.2%-0.8%-24.5%-19.4%$231.58B0.34%
64CRWDCrowdStrike Holdings Inc. Class A Common Stock$1.34B$1.25B$1.73B$1.86B+0.7%-26.6%-33.7%-32.4%$230.21B0.34%
65CBRSCerebras Systems Inc. Class A Common Stock$997.1M$1.20B$1.14B$1.75B-43.1%+1.3%-25.6%-31.7%$91.10B0.13%
66GEGE Aerospace Common Stock$1.34B$1.28B$1.45B$1.72B+5.2%-24.2%-22.4%-25.6%$213.16B0.31%
67CCitigroup Inc. Common Stock$1.52B$1.48B$1.81B$1.67B+7.0%-9.3%-5.1%-11.3%$206.66B0.31%
68INTUIntuit Inc. Common Stock$1.65B$1.34B$1.27B$1.66B+92.0%+18.0%-30.3%-19.3%$205.33B0.30%
69ADIAnalog Devices Inc. Common Stock$1.90B$1.74B$1.58B$1.63B+35.0%+26.7%-32.0%+7.0%$201.96B0.30%
70ASTSAST SpaceMobile Inc. Class A Common Stock$634.9M$647.3M$1.07B$1.59B-5.2%-57.5%-54.6%-59.3%$197.39B0.29%
71BKNGBooking Holdings Inc. Common Stock$1.49B$1.23B$1.13B$1.57B+74.2%+30.7%-24.8%-21.8%$195.29B0.29%
72ABBVAbbVie Inc. Common Stock$1.57B$1.40B$1.54B$1.57B+33.4%-0.2%-24.9%-11.2%$195.12B0.29%
73HDHome Depot Inc. (The) Common Stock$1.35B$1.36B$1.28B$1.50B+9.2%+10.1%-28.3%-8.9%$185.66B0.27%
74ADBEAdobe Inc. Common Stock$1.98B$1.58B$1.32B$1.50B+101.8%+23.9%-32.9%+5.8%$185.65B0.27%
75AAOIApplied Optoelectronics Inc. Common Stock$844.7M$790.0M$969.7M$1.49B+9.8%-14.8%-61.0%-47.1%$185.32B0.27%
76BABAAlibaba Group Holding Limited American Depositary Shares each representing eight Ordinary share$942.6M$915.2M$1.33B$1.47B+9.9%-25.4%-7.6%-37.8%$182.35B0.27%
77PGProcter & Gamble Company (The) Common Stock$1.71B$1.41B$1.29B$1.46B+87.8%+40.6%-10.2%-3.0%$180.57B0.27%
78CRCLCircle Internet Group Inc. Class A Common Stock$520.9M$546.2M$929.0M$1.45B-17.1%-32.4%-17.0%-62.4%$180.37B0.27%
79SNOWSnowflake Inc. Common Stock$1.76B$1.41B$1.25B$1.45B+105.9%+38.4%-45.3%-2.6%$179.33B0.26%
80BABoeing Company (The) Common Stock$1.89B$1.49B$1.22B$1.44B+84.7%+15.1%-11.9%+3.9%$178.05B0.26%
81UBERUber Technologies Inc. Common Stock$1.36B$1.51B$1.20B$1.43B-9.6%+34.4%-32.7%+6.0%$177.08B0.26%
82TERTeradyne Inc. Common Stock$2.06B$1.60B$1.43B$1.41B+137.5%+43.6%-35.2%+13.2%$175.15B0.26%
83CRDOCredo Technology Group Holding Ltd Ordinary Shares$1.19B$1.18B$1.47B$1.40B+9.8%-8.3%-48.3%-15.6%$173.41B0.26%
84SMCISuper Micro Computer Inc. Common Stock$1.05B$1.47B$1.27B$1.40B-65.7%-14.0%-52.4%+5.2%$173.39B0.26%
85WFCWells Fargo & Company Common Stock$1.29B$1.17B$1.42B$1.39B+15.9%-28.3%+6.1%-15.6%$171.89B0.25%
86KOCoca-Cola Company (The) Common Stock$2.23B$1.76B$1.48B$1.38B+118.5%+18.0%-12.9%+27.3%$171.33B0.25%
87VZVerizon Communications Inc. Common Stock$1.61B$1.59B$1.46B$1.37B+15.7%+49.0%+11.7%+15.7%$170.29B0.25%
88ACNAccenture plc Class A Ordinary Shares (Ireland)$1.61B$1.45B$1.24B$1.35B+57.4%+34.0%-21.9%+7.4%$167.09B0.25%
89APHAmphenol Corporation Common Stock$1.37B$1.19B$1.13B$1.34B+46.9%+31.3%-25.1%-10.9%$166.09B0.25%
90ALABAstera Labs Inc. Common Stock$1.25B$1.18B$1.63B$1.34B+17.0%-14.2%-33.4%-11.8%$165.92B0.25%
91ANETArista Networks Inc. Common Stock$1.26B$1.07B$1.33B$1.31B+73.7%-0.9%-4.2%-18.0%$162.11B0.24%
92SOFISoFi Technologies Inc. Common Stock$1.82B$1.64B$1.52B$1.30B+27.1%+13.3%+0.9%+26.3%$161.28B0.24%
93TAT&T Inc.$1.70B$1.88B$2.00B$1.29B-41.1%-27.4%+47.9%+45.5%$160.39B0.24%
94CIENCiena Corporation Common Stock$968.3M$844.4M$819.9M$1.29B+44.2%-5.5%-60.1%-34.4%$159.56B0.24%
95SHOPShopify Inc. Class A Subordinate Voting Shares$1.25B$1.15B$934.9M$1.28B+26.9%+27.8%-9.6%-9.7%$158.48B0.23%
96MRKMerck & Company Inc. Common Stock (new)$1.08B$1.03B$1.13B$1.27B+11.2%-17.6%-26.6%-18.4%$156.87B0.23%
97MSMorgan Stanley Common Stock$1.23B$1.13B$1.25B$1.24B+34.7%-22.2%-12.7%-9.0%$153.98B0.23%
98AALAmerican Airlines Group Inc. Common Stock$1.23B$1.28B$2.13B$1.23B-17.5%-43.1%+4.3%+3.9%$153.06B0.23%
99ABTAbbott Laboratories Common Stock$1.30B$1.19B$1.27B$1.22B+25.2%-33.0%-3.0%-2.3%$151.21B0.22%
100LINLinde plc Ordinary Shares$1.02B$933.8M$1.04B$1.21B+26.6%-7.2%-25.2%-22.7%$149.71B0.22%
101PEPPepsiCo Inc. Common Stock$1.25B$1.17B$1.30B$1.20B+25.6%+9.3%-5.6%-2.1%$148.74B0.22%
102IONQIonQ Inc. Common Stock$800.1M$697.8M$718.9M$1.20B+49.2%-0.5%-57.8%-41.7%$148.36B0.22%
103TMUST-Mobile US Inc. Common Stock$1.07B$1.17B$944.6M$1.16B-8.8%+47.8%-17.0%+1.1%$143.62B0.21%
104MCDMcDonald's Corporation Common Stock$1.25B$1.21B$1.22B$1.16B+6.6%+11.5%-8.6%+5.0%$143.38B0.21%
105TMOThermo Fisher Scientific Inc Common Stock$1.44B$1.86B$1.22B$1.15B-30.6%+62.5%+5.7%+62.2%$142.35B0.21%
106SPOTSpotify Technology S.A. Ordinary Shares$999.7M$848.1M$774.2M$1.13B+57.7%-0.4%-16.8%-25.0%$140.28B0.21%
107BSXBoston Scientific Corporation Common Stock$1.50B$1.23B$907.4M$1.12B+113.1%+68.1%-10.2%+9.6%$139.15B0.21%
108AXPAmerican Express Company Common Stock$1.20B$1.43B$1.11B$1.12B-18.4%+63.8%+4.9%+27.6%$138.76B0.20%
109RTXRTX Corporation Common Stock$1.75B$1.72B$1.04B$1.10B+21.1%+108.9%+0.0%+56.5%$136.37B0.20%
110DISWalt Disney Company (The) Common Stock$1.08B$1.13B$1.01B$1.09B-1.4%+24.7%-9.8%+4.1%$134.69B0.20%
111PFEPfizer Inc. Common Stock$990.4M$890.5M$1.01B$1.08B+29.2%-8.3%-15.0%-17.2%$133.36B0.20%
112ISRGIntuitive Surgical Inc. Common Stock$1.42B$1.41B$1.48B$1.07B-1.6%-39.5%+35.6%+32.2%$132.40B0.20%
113SCHWCharles Schwab Corporation (The) Common Stock$777.5M$739.9M$889.4M$1.05B+8.3%-33.6%-22.6%-29.4%$129.86B0.19%
114SPGIS&P Global Inc. Common Stock$1.40B$1.11B$936.8M$1.05B+127.2%+65.1%-7.9%+5.6%$129.75B0.19%
115NOKNokia Corporation Sponsored American Depositary Shares$887.1M$1.11B$999.8M$1.04B-30.5%-0.1%-44.3%+6.2%$129.15B0.19%
116FCXFreeport-McMoRan Inc. Common Stock$933.3M$949.7M$933.7M$1.03B-9.2%-1.2%-5.7%-8.0%$128.04B0.19%
117MPWRMonolithic Power Systems Inc. Common Stock$1.30B$1.19B$1.26B$1.03B+34.4%+1.7%-22.3%+15.6%$127.83B0.19%
118NKENike Inc. Common Stock$793.6M$843.3M$1.03B$1.03B-9.7%+30.4%-1.8%-17.9%$127.36B0.19%
119ETNEaton Corporation PLC Ordinary Shares$1.21B$1.00B$881.0M$1.03B+72.0%+11.9%-15.6%-2.1%$127.23B0.19%
120HONHoneywell International Inc. Common Stock$797.6M$975.1M$914.7M$999.1M-28.9%+30.4%-33.8%-2.4%$123.89B0.18%
121COPConocoPhillips Common Stock$808.7M$760.3M$722.6M$998.4M+25.5%+20.5%-21.6%-23.9%$123.81B0.18%
122ONON Semiconductor Corporation Common Stock$880.4M$814.0M$956.8M$992.2M+30.1%+16.1%-40.1%-18.0%$123.03B0.18%
123CEGConstellation Energy Corporation Common Stock$779.7M$756.2M$819.8M$986.8M-0.5%+10.1%-28.1%-23.4%$122.37B0.18%
124NEMNewmont Corporation$540.4M$634.0M$694.8M$980.5M-29.3%-22.8%-28.2%-35.3%$121.59B0.18%
125CVNACarvana Co. Class A Common Stock$836.6M$708.9M$617.8M$973.7M+61.8%+30.8%-22.9%-27.2%$120.74B0.18%
126DDOGDatadog Inc. Class A Common Stock$1.19B$961.5M$1.06B$966.5M+61.9%+2.2%-26.9%-0.5%$119.84B0.18%
127AMGNAmgen Inc. Common Stock$1.20B$1.12B$863.3M$965.9M+38.7%+32.5%-21.5%+16.5%$119.77B0.18%
128GILDGilead Sciences Inc. Common Stock$870.0M$829.9M$883.1M$960.4M+20.9%-2.7%-29.1%-13.6%$119.09B0.18%
129NXPINXP Semiconductors N.V. Common Stock$1.54B$1.38B$1.12B$959.5M+59.6%+53.4%-18.0%+43.4%$118.97B0.18%
130NEENextEra Energy Inc. Common Stock$1.00B$988.3M$936.5M$956.4M+10.9%+32.6%-13.0%+3.3%$118.59B0.18%
131COFCapital One Financial Corporation Common Stock$991.6M$947.3M$906.9M$955.3M-11.4%-12.4%-11.4%-0.8%$118.45B0.17%
132MELIMercadoLibre Inc. Common Stock$638.6M$602.7M$651.2M$934.4M+24.4%+13.0%-23.2%-35.5%$115.87B0.17%
133PYPLPayPal Holdings Inc. Common Stock$1.09B$940.7M$1.04B$932.2M+58.2%-21.1%+38.2%+0.9%$115.60B0.17%
134SNPSSynopsys Inc. Common Stock$932.6M$844.7M$771.2M$924.0M+16.7%-15.9%-27.3%-8.6%$114.58B0.17%
135NETCloudflare Inc. Class A Common Stock$762.6M$675.5M$788.2M$918.4M+28.7%-17.8%-20.3%-26.4%$113.88B0.17%
136CMCSAComcast Corporation Class A Common Stock$924.7M$1.00B$877.6M$915.9M-10.5%+21.6%-8.6%+9.4%$113.57B0.17%
137DHRDanaher Corporation Common Stock$1.51B$1.61B$1.24B$913.7M-17.5%-20.2%+53.5%+76.5% 🔺$113.30B0.17%
138PMPhilip Morris International Inc Common Stock$1.04B$1.04B$984.0M$910.4M-13.6%-9.8%+8.8%+14.3%$112.89B0.17%
139NUNu Holdings Ltd. Class A Ordinary Shares$842.3M$1.28B$1.46B$894.2M-51.7%-34.8%+87.1%+42.9%$110.88B0.16%
140MCHPMicrochip Technology Incorporated Common Stock$1.01B$944.4M$918.3M$892.9M+36.3%+13.1%-26.7%+5.8%$110.71B0.16%
141AZOAutoZone Inc. Common Stock$423.8M$411.0M$680.4M$858.6M+10.6%-6.8%-59.2%-52.1%$106.47B0.16%
142BXBlackstone Inc. Common Stock$850.0M$877.5M$611.3M$852.9M+9.8%+55.8%-11.8%+2.9%$105.75B0.16%
143CDNSCadence Design Systems Inc. Common Stock$1.36B$1.14B$822.1M$850.6M+67.3%+22.7%-25.6%+34.5%$105.48B0.16%
144LMTLockheed Martin Corporation Common Stock$760.5M$1.03B$639.9M$845.4M-34.1%+84.1%-12.6%+22.0%$104.83B0.15%
145DASHDoorDash Inc. Class A Common Stock$716.5M$724.7M$711.1M$843.7M+0.3%+29.0%-19.5%-14.1%$104.62B0.15%
146TJXTJX Companies Inc. (The) Common Stock$751.7M$684.6M$768.1M$837.6M+17.0%-12.9%-28.5%-18.3%$103.87B0.15%
147BLKBlackRock Inc. Common Stock$1.03B$858.0M$862.2M$833.2M+58.1%-7.8%-3.9%+3.0%$103.32B0.15%
148DEDeere & Company Common Stock$746.9M$775.6M$691.3M$832.3M+0.1%+36.0%-20.3%-6.8%$103.20B0.15%
149UNPUnion Pacific Corporation Common Stock$1.08B$1.32B$899.5M$831.2M-26.2%+33.7%+16.2%+59.4%$103.07B0.15%
150FFord Motor Company Common Stock$1.17B$1.10B$769.4M$827.8M+19.8%+68.8%-17.8%+33.4%$102.65B0.15%
151ECHOEchoStar Corporation Common Stock$534.9M$550.4M$502.7M$826.4M+2.0%+13.8%-67.7%-33.4%$102.48B0.15%
152SLBSLB Limited Common Shares$768.5M$881.6M$628.4M$826.3M-14.9%+48.9%-30.4%+6.7%$102.46B0.15%
153MCKMcKesson Corporation Common Stock$949.8M$833.0M$802.7M$824.8M+50.5%+6.2%-6.8%+1.0%$102.27B0.15%
154RDDTReddit Inc. Class A Common Stock$676.9M$655.3M$772.2M$811.8M-26.9%-19.1%-5.0%-19.3%$100.66B0.15%
155VLOValero Energy Corporation Common Stock$724.4M$720.9M$791.2M$811.7M-2.3%-16.7%-6.5%-11.2%$100.66B0.15%
156SYKStryker Corporation Common Stock$768.4M$777.8M$783.9M$797.2M+2.5%+22.2%-9.6%-2.4%$98.85B0.15%
157HPEHewlett Packard Enterprise Company Common Stock$721.4M$655.2M$799.3M$796.9M+18.6%-13.3%-62.5%-17.8%$98.81B0.15%
158BMNRBitMine Immersion Technologies Inc. Common Stock$748.7M$691.4M$580.0M$795.2M+22.3%+24.2%-13.7%-13.0%$98.60B0.15%
159MDTMedtronic plc. Ordinary Shares$814.3M$651.7M$640.8M$795.0M+104.0%+7.1%-33.5%-18.0%$98.58B0.15%
160CMECME Group Inc. Class A Common Stock$594.5M$595.5M$733.9M$790.2M-17.6%-25.1%-37.1%-24.6%$97.98B0.14%
161CLSCelestica Inc. Common Stock$1.91B$1.44B$792.9M$774.4M+194.8%+103.8%-9.2%+86.3% 🔺$96.03B0.14%
162FIXComfort Systems USA Inc. Common Stock$1.12B$1.19B$912.6M$767.5M+0.8%+23.6%-13.8%+55.6%$95.17B0.14%
163RCLRoyal Caribbean Cruises Ltd. Common Stock$1.08B$1.13B$735.4M$766.7M+13.2%+104.6%-12.9%+46.9%$95.07B0.14%
164OXYOccidental Petroleum Corporation Common Stock$476.1M$483.0M$496.5M$766.4M+0.4%+15.9%-10.6%-37.0%$95.03B0.14%
165SBUXStarbucks Corporation Common Stock$866.2M$796.0M$699.1M$765.1M+32.4%+19.3%-14.8%+4.0%$94.87B0.14%
166PWRQuanta Services Inc. Common Stock$864.1M$736.2M$665.2M$755.1M+77.4%+29.5%-37.4%-2.5%$93.63B0.14%
167APLDApplied Digital Corporation Common Stock$814.7M$681.2M$590.1M$749.0M+74.6%+17.9%-34.8%-9.0%$92.87B0.14%
168PDDPDD Holdings Inc. American Depositary Shares$636.4M$539.2M$584.2M$747.8M+65.8%-7.3%-29.4%-27.9%$92.72B0.14%
169NVONovo Nordisk A/S Common Stock$423.8M$438.4M$440.2M$744.9M-3.7%+7.9%-27.7%-41.1%$92.37B0.14%
170VSTVistra Corp. Common Stock$759.2M$624.7M$638.2M$740.5M+69.8%-7.7%-6.5%-15.6%$91.82B0.14%
171WDAYWorkday Inc. Class A Common Stock$1.14B$889.8M$642.3M$725.1M+112.9%+55.4%-16.3%+22.7%$89.91B0.13%
172ADPAutomatic Data Processing Inc. Common Stock$892.4M$721.3M$609.1M$720.5M+88.8%+10.5%-12.5%+0.1%$89.35B0.13%
173HIMSHims & Hers Health Inc. Class A Common Stock$531.4M$692.5M$503.9M$717.8M-25.2%+103.2%-12.6%-3.5%$89.01B0.13%
174CVSCVS Health Corporation Common Stock$796.4M$718.1M$786.7M$713.7M+7.1%-25.6%-9.2%+0.6%$88.50B0.13%
175CCLCarnival Corporation Ltd. Common Shares$633.6M$627.4M$501.8M$712.3M+15.2%+48.3%-34.9%-11.9%$88.32B0.13%
176BMYBristol-Myers Squibb Company Common Stock$759.2M$699.2M$625.2M$711.5M+39.6%+22.4%-24.4%-1.7%$88.23B0.13%
177FTNTFortinet Inc. Common Stock$1.18B$930.3M$809.6M$702.6M+92.3%+23.3%-23.4%+32.4%$87.12B0.13%
178DALDelta Air Lines Inc. Common Stock$591.2M$579.8M$614.7M$700.2M+14.1%+21.8%-9.4%-17.2%$86.82B0.13%
179WELLWelltower Inc. Common Stock$809.3M$792.5M$703.2M$697.6M+19.6%+26.6%-18.7%+13.6%$86.51B0.13%
180UALUnited Airlines Holdings Inc. Common Stock$494.3M$553.0M$578.4M$695.0M-15.9%-4.6%-15.6%-20.4%$86.18B0.13%
181SHWSherwin-Williams Company (The) Common Stock$1.18B$987.5M$725.7M$684.4M+54.7%+71.7%-21.1%+44.3%$84.87B0.13%
182LOWLowe's Companies Inc. Common Stock$672.9M$713.0M$651.1M$676.8M-8.7%-2.7%-5.4%+5.3%$83.92B0.12%
183PHParker-Hannifin Corporation Common Stock$553.8M$595.4M$526.7M$674.4M+1.6%+15.0%-28.9%-11.7%$83.63B0.12%
184VRTXVertex Pharmaceuticals Incorporated Common Stock$772.1M$706.6M$748.5M$674.1M+26.9%+14.0%-11.6%+4.8%$83.59B0.12%
185HWMHowmet Aerospace Inc. Common Stock$750.8M$715.0M$580.9M$672.3M+26.9%+54.7%-42.6%+6.4%$83.37B0.12%
186FDXFedEx Corporation Common Stock$525.5M$485.6M$527.3M$671.7M+15.3%-3.0%-34.8%-27.7%$83.29B0.12%
187TGTTarget Corporation Common Stock$519.9M$466.2M$538.8M$670.3M+43.6%-4.8%-13.1%-30.4%$83.11B0.12%
188PGRProgressive Corporation (The) Common Stock$552.4M$552.4M$682.4M$655.1M+2.2%-25.6%-15.0%-15.7%$81.23B0.12%
189WULFTeraWulf Inc. Common Stock$600.4M$564.8M$754.4M$646.2M+20.8%-10.6%+1.6%-12.6%$80.13B0.12%
190FLEXFlex Ltd. Ordinary Shares$1.02B$812.6M$617.2M$636.6M+125.6%+74.4%-58.7%+27.6%$78.94B0.12%
191UPSUnited Parcel Service Inc. Common Stock$966.0M$764.5M$556.4M$632.5M+123.8%+20.3%-10.2%+20.9%$78.43B0.12%
192HLTHilton Worldwide Holdings Inc. Common Stock$909.2M$744.6M$664.7M$627.5M+82.9%+3.8%-18.8%+18.7%$77.81B0.11%
193ORLYO'Reilly Automotive Inc. Common Stock$1.01B$832.6M$771.0M$625.3M+78.7%+20.5%-0.3%+33.2%$77.53B0.11%
194EQIXEquinix Inc. Common Stock REIT$640.1M$636.9M$590.0M$623.2M+18.5%+30.6%-13.2%+2.2%$77.27B0.11%
195TTTrane Technologies plc$719.9M$581.7M$539.1M$620.7M+89.9%-4.7%-25.2%-6.3%$76.96B0.11%
196MMM3M Company Common Stock$907.4M$846.7M$628.7M$620.5M+18.6%-2.5%-6.0%+36.4%$76.95B0.11%
197SHELShell PLC American Depositary Shares (each representing two (2) Ordinary Shares)$686.5M$651.7M$546.0M$619.0M+19.2%+17.4%-1.0%+5.3%$76.13B0.11%
198CMICummins Inc. Common Stock$767.8M$657.6M$578.3M$618.0M+64.3%+14.9%-31.0%+6.4%$76.63B0.11%
199HONAHoneywell Aerospace Inc. Common Stock$433.3M$505.2M$784.6M$617.5M-24.2%-14.0%-18.2%$19.14B0.03%
200ICEIntercontinental Exchange Inc. Common Stock$796.4M$676.7M$599.8M$616.3M+59.4%+52.0%-20.3%+9.8%$76.42B0.11%
201ROSTRoss Stores Inc. Common Stock$705.7M$588.5M$537.8M$615.4M+70.5%+20.3%-40.0%-4.4%$76.31B0.11%
202GMGeneral Motors Company Common Stock$927.0M$802.3M$605.5M$613.3M+20.8%+13.0%-21.5%+30.8%$76.05B0.11%
203MOAltria Group Inc.$633.1M$549.9M$506.1M$612.4M+41.6%-3.6%-19.6%-10.2%$75.94B0.11%
204CMGChipotle Mexican Grill Inc. Common Stock$515.5M$506.1M$567.4M$611.4M-5.6%-14.9%-24.5%-17.2%$75.81B0.11%
205MDBMongoDB Inc. Class A Common Stock$401.6M$333.2M$444.5M$605.8M+41.2%-24.6%-47.6%-45.0%$75.12B0.11%
206HCAHCA Healthcare Inc. Common Stock$916.6M$868.2M$707.3M$605.8M+44.4%+61.2%+4.0%+43.3%$75.12B0.11%
207STMSTMicroelectronics N.V. Common Stock$753.6M$971.2M$805.6M$604.9M-26.9%+41.9%-21.6%+60.6%$75.00B0.11%
208SAPSAP SE ADS$879.0M$854.5M$533.0M$596.9M+17.5%+65.7%+3.1%+43.2%$74.01B0.11%
209MPCMarathon Petroleum Corporation Common Stock$598.9M$626.6M$597.6M$594.8M-16.6%-3.2%-10.4%+5.3%$73.76B0.11%
210KKRKKR & Co. Inc. Common Stock$384.7M$351.9M$358.0M$593.2M+35.7%-5.8%-24.5%-40.7%$73.56B0.11%
211CBChubb Limited Common Stock$692.7M$759.6M$731.6M$590.7M-37.1%-21.1%+22.2%+28.6%$73.24B0.11%
212REGNRegeneron Pharmaceuticals Inc. Common Stock$590.3M$594.4M$509.4M$587.6M+0.1%+30.4%-28.5%+1.1%$72.86B0.11%
213JCIJohnson Controls International plc Ordinary Share$729.6M$606.5M$572.9M$585.6M+96.1%+67.5%-18.5%+3.6%$72.62B0.11%
214AMTAmerican Tower Corporation (REIT) Common Stock$767.7M$691.3M$555.7M$577.7M+43.8%+56.1%-14.2%+19.7%$71.63B0.11%
215CSXCSX Corporation Common Stock$817.7M$950.9M$677.3M$575.4M-22.4%+24.0%+10.5%+65.3%$71.35B0.11%
216MDLZMondelez International Inc. Class A Common Stock$944.0M$792.0M$588.9M$569.7M+88.3%+43.8%-1.9%+39.0%$70.64B0.10%
217MCOMoody's Corporation Common Stock$460.9M$463.5M$442.5M$562.0M-11.5%-19.7%-14.3%-17.5%$69.68B0.10%
218BKRBaker Hughes Company Class A Common Stock$941.3M$787.1M$604.1M$559.7M+70.9%+50.2%+23.9%+40.6%$69.41B0.10%
219MARMarriott International Class A Common Stock$602.4M$541.2M$526.3M$555.3M+46.1%+20.6%-17.2%-2.5%$68.85B0.10%
220ADSKAutodesk Inc. Common Stock$701.9M$617.8M$480.4M$553.6M+56.2%+24.1%-37.9%+11.6%$68.64B0.10%
221ABNBAirbnb Inc. Class A Common Stock$687.8M$576.7M$497.8M$550.7M+73.6%+19.8%-11.5%+4.7%$68.29B0.10%
222SOSouthern Company (The) Common Stock$495.5M$477.9M$446.7M$548.5M+11.4%+10.8%-35.2%-12.9%$68.02B0.10%
223AEPAmerican Electric Power Company Inc. Common Stock$472.1M$461.8M$579.6M$547.1M+11.2%-2.6%-23.1%-15.6%$67.84B0.10%
224USBU.S. Bancorp Common Stock$484.3M$478.6M$526.0M$546.1M-7.4%-33.0%-12.1%-12.4%$67.72B0.10%
225TEAMAtlassian Corporation Class A Common Stock$586.8M$490.2M$340.9M$543.9M+85.3%+77.2%-36.3%-9.9%$67.44B0.10%
226TELTE Connectivity plc Ordinary Shares$628.0M$600.9M$549.0M$543.4M-34.6%-25.3%+0.6%+10.6%$67.38B0.10%
227CRHCRH PLC Ordinary Shares$449.2M$440.3M$392.3M$543.4M+14.9%+26.7%-26.9%-19.0%$67.38B0.10%
228CDECoeur Mining Inc. Common Stock$474.2M$502.1M$427.9M$535.3M-25.1%+0.6%-47.1%-6.2%$66.38B0.10%
229URIUnited Rentals Inc. Common Stock$644.4M$773.3M$524.2M$534.4M-27.1%+37.8%-13.9%+44.7%$66.26B0.10%
230TRVThe Travelers Companies Inc. Common Stock$961.6M$952.2M$736.3M$533.6M+3.1%-6.2%+9.8%+78.4% 🔺$66.17B0.10%
231TTWOTake-Two Interactive Software Inc. Common Stock$529.0M$448.1M$454.3M$528.6M+66.9%+22.1%-38.3%-15.2%$65.55B0.10%
232CLColgate-Palmolive Company Common Stock$455.8M$424.5M$401.5M$522.2M+17.6%+9.1%-23.8%-18.7%$64.76B0.10%
233PLDPrologis Inc. Common Stock$678.2M$811.8M$628.2M$518.5M-31.9%+13.8%+1.6%+56.6%$64.30B0.09%
234AXONAxon Enterprise Inc. Common Stock$471.4M$413.0M$528.7M$518.0M+50.5%+16.4%-3.3%-20.3%$64.23B0.09%
235MRSHMarsh Common Stock$765.3M$637.7M$484.5M$517.5M+75.1%+24.4%+0.1%+23.2%$64.17B0.09%
236PNCPNC Financial Services Group Inc. (The) Common Stock$415.2M$392.3M$510.1M$516.6M+6.9%-27.4%-12.3%-24.1%$64.06B0.09%
237BNYThe Bank of New York Mellon Corporation Common Stock$475.1M$468.1M$613.3M$515.9M-9.0%-40.6%-0.2%-9.3%$63.98B0.09%
238MARAMARA Holdings Inc. Common Stock$551.3M$618.0M$608.0M$514.5M-15.8%-9.5%+1.7%+20.1%$63.80B0.09%
239PATHUiPath Inc. Class A Common Stock$668.6M$635.7M$999.9M$508.7M-13.2%-58.4%+79.6%+25.0%$63.08B0.09%
240CIFRCipher Digital Inc. Common Stock$573.4M$605.5M$560.2M$508.1M-9.8%-7.3%-11.7%+19.2%$63.00B0.09%
241AONAon plc Class A Ordinary Shares (Ireland)$639.1M$524.1M$456.5M$505.6M+42.9%+8.0%-27.4%+3.6%$62.70B0.09%
242EXPEExpedia Group Inc. Common Stock$513.9M$434.9M$390.3M$504.7M+76.8%+10.0%-5.3%-13.8%$62.58B0.09%
243PSXPhillips 66 Common Stock$434.2M$487.0M$499.6M$498.4M-22.4%-1.9%+7.6%-2.3%$61.80B0.09%
244DUKDuke Energy Corporation (Holding Company) Common Stock$442.3M$429.4M$463.9M$497.3M+5.6%-15.9%-0.1%-13.6%$61.66B0.09%
245MNSTMonster Beverage Corporation$497.2M$482.0M$543.9M$496.2M+8.1%-27.1%-6.0%-2.9%$61.52B0.09%
246WMWaste Management Inc. Common Stock$498.5M$429.4M$405.4M$494.0M+46.0%+0.3%-28.5%-13.1%$61.25B0.09%
247CHTRCharter Communications Inc. Class A Common Stock New$565.4M$734.2M$415.7M$488.5M-28.2%+156.0%-25.4%+50.3%$60.57B0.09%
248CTSHCognizant Technology Solutions Corporation Class A Common Stock$690.2M$544.7M$433.2M$479.7M+135.2%+55.8%-33.9%+13.5%$59.48B0.09%
249CIThe Cigna Group Common Stock$483.9M$412.6M$462.1M$477.6M+43.2%-33.2%-1.7%-13.6%$59.23B0.09%
250EAElectronic Arts Inc. Common Stock$693.3M$585.0M$478.0M$468.7M+43.7%+6.1%+4.0%+24.8%$58.12B0.09%
251ROPRoper Technologies Inc. Common Stock$434.7M$431.6M$329.7M$468.3M+10.3%+48.0%-25.7%-7.9%$58.07B0.09%
252MSIMotorola Solutions Inc. Common Stock$431.5M$382.0M$372.5M$468.1M+55.8%-1.9%-23.2%-18.4%$58.04B0.09%
253KVUEKenvue Inc. Common Stock$444.4M$403.7M$356.6M$467.6M+52.4%+32.5%-13.7%-13.7%$57.99B0.09%
254VEEVVeeva Systems Inc. Class A Common Stock$367.9M$297.4M$330.6M$466.9M+81.2%+18.9%-37.5%-36.3%$57.89B0.09%
255GDGeneral Dynamics Corporation Common Stock$623.9M$618.9M$442.5M$465.3M+18.5%+78.7%-10.0%+33.0%$57.70B0.09%
256DLRDigital Realty Trust Inc. Common Stock$521.7M$858.6M$736.3M$463.7M-49.3%+98.1%+39.1%+85.2% 🔺$57.50B0.08%
257HBANHuntington Bancshares Incorporated Common Stock$513.7M$681.2M$447.5M$458.4M-37.8%+47.6%+9.0%+48.6%$56.84B0.08%
258ROKURoku Inc. Class A Common Stock$401.6M$363.1M$407.5M$456.5M+38.3%+18.3%-60.5%-20.5%$56.61B0.08%
259HUMHumana Inc. Common Stock$965.7M$730.3M$581.9M$456.4M+181.5%+35.8%+5.7%+60.0%$56.59B0.08%
260LYVLive Nation Entertainment Inc. Common Stock$343.7M$312.9M$360.3M$449.2M+35.8%+16.3%-22.3%-30.3%$55.70B0.08%
261CAHCardinal Health Inc. Common Stock$499.9M$449.8M$525.6M$448.3M+14.8%-5.1%-3.9%+0.4%$55.58B0.08%
262EMREmerson Electric Company Common Stock$454.7M$507.5M$355.5M$443.4M-3.3%+61.6%-14.7%+14.4%$54.98B0.08%
263ODFLOld Dominion Freight Line Inc. Common Stock$496.4M$408.6M$356.7M$441.7M+67.8%+24.0%-28.9%-7.5%$54.77B0.08%
264RKTRocket Companies Inc. Class A Common Stock$466.0M$430.6M$443.3M$441.2M+44.4%-2.5%-4.4%-2.4%$54.70B0.08%
265CARRCarrier Global Corporation Common Stock$839.7M$663.1M$449.7M$439.6M+120.5%+56.5%-0.6%+50.8%$54.51B0.08%
266MTSIMACOM Technology Solutions Holdings Inc. Common Stock$418.3M$366.5M$481.8M$435.4M+56.9%-0.5%-31.8%-15.8%$53.99B0.08%
267EWEdwards Lifesciences Corporation Common Stock$502.0M$590.3M$455.6M$430.9M-17.5%+37.8%-2.7%+37.0%$53.43B0.08%
268VRSKVerisk Analytics Inc. Common Stock$590.3M$464.9M$371.4M$425.0M+109.6%+42.7%-36.0%+9.4%$52.70B0.08%
269FIGFigma Inc. Class A Common Stock$427.8M$382.5M$484.7M$424.4M+39.8%-22.4%+19.8%-9.9%$52.62B0.08%
270ECLEcolab Inc. Common Stock$460.5M$402.9M$330.6M$421.8M+48.5%+28.0%-36.8%-4.5%$52.31B0.08%
271STRLSterling Infrastructure Inc. Common Stock$769.6M$589.2M$491.1M$420.0M+134.1%+33.0%-37.7%+40.3%$52.08B0.08%
272HLHecla Mining Company Common Stock$547.1M$588.7M$597.3M$418.2M-12.2%-36.6%+27.4%+40.8%$51.86B0.08%
273CTASCintas Corporation Common Stock$620.1M$554.4M$495.5M$417.5M+29.8%-7.7%+20.6%+32.8%$51.77B0.08%
274ENTGEntegris Inc. Common Stock$470.6M$423.3M$442.8M$417.1M+53.5%+14.7%-20.6%+1.5%$51.72B0.08%
275HPQHP Inc. Common Stock$541.5M$447.2M$363.4M$413.8M+87.7%+36.1%-32.5%+8.1%$51.31B0.08%
276XELXcel Energy Inc. Common Stock$379.7M$364.1M$393.1M$411.8M+16.3%-3.6%-26.1%-11.6%$51.07B0.08%
277HSYThe Hershey Company Common Stock$392.6M$376.5M$339.8M$405.6M+32.7%+61.6%-19.3%-7.2%$50.30B0.07%
278FICOFair Isaac Corporation Common Stock$494.9M$379.0M$311.1M$403.3M+130.5%+43.1%-19.0%-6.0%$50.01B0.07%
279MKSIMKS Inc. Common Stock$550.9M$438.4M$473.7M$399.8M+102.6%+15.0%-4.0%+9.7%$49.57B0.07%
280JBLJabil Inc. Common Stock$371.3M$335.4M$374.3M$394.9M+38.8%+0.9%-38.8%-15.1%$48.97B0.07%
281ITWIllinois Tool Works Inc. Common Stock$662.4M$556.4M$420.1M$391.1M+76.6%+21.8%+7.3%+42.3%$48.50B0.07%
282NSCNorfolk Southern Corporation Common Stock$554.8M$608.2M$377.1M$390.3M-2.1%+71.0%+7.5%+55.8%$48.40B0.07%
283IBKRInteractive Brokers Group Inc. Class A Common Stock$500.5M$452.4M$420.2M$390.2M+14.9%+5.5%-8.3%+15.9%$48.38B0.07%
284HUTHut 8 Corp. Common Stock$507.4M$530.3M$445.9M$389.4M+5.6%+13.2%-13.0%+36.2%$48.29B0.07%
285DHID.R. Horton Inc. Common Stock$431.7M$450.0M$391.1M$389.4M-12.7%-8.3%+4.7%+15.6%$48.29B0.07%
286PCARPACCAR Inc. Common Stock$630.6M$618.9M$443.4M$381.1M+3.2%+35.4%+7.7%+62.4%$47.25B0.07%
287EXEExpand Energy Corporation Common Stock$480.1M$427.4M$391.0M$373.6M+24.0%+19.1%+13.6%+14.4%$46.33B0.07%
288NTAPNetApp Inc. Common Stock$476.7M$384.5M$453.9M$367.5M+84.4%+13.6%-30.2%+4.6%$45.56B0.07%
289CHRWC.H. Robinson Worldwide Inc. Common Stock$574.6M$538.4M$366.4M$367.2M+38.1%+22.7%+34.0%+46.6%$45.53B0.07%
290PAYXPaychex Inc. Common Stock$540.2M$459.1M$365.7M$367.0M+54.8%+17.6%-4.8%+25.1%$45.50B0.07%
291OMCOmnicom Group Inc. Common Stock$422.4M$342.9M$286.2M$362.5M+105.7%+64.1%-20.9%-5.4%$44.95B0.07%
292KDPKeurig Dr Pepper Inc. Common Stock$467.4M$411.7M$413.2M$361.9M+60.2%+39.5%-22.0%+13.8%$44.87B0.07%
293FTAIFTAI Aviation Ltd. Common Stock$433.6M$341.7M$310.9M$361.6M+30.6%-1.8%+17.0%-5.5%$44.84B0.07%
294FASTFastenal Company Common Stock$434.7M$383.3M$412.6M$361.3M+44.2%-2.0%+20.4%+6.1%$44.80B0.07%
295PCGPacific Gas & Electric Co. Common Stock$377.6M$480.5M$307.9M$358.2M-32.8%+70.2%-6.4%+34.1%$44.42B0.07%
296ETREntergy Corporation Common Stock$391.2M$333.2M$318.7M$355.6M+56.8%-1.4%-21.5%-6.3%$44.10B0.07%
297KHCThe Kraft Heinz Company Common Stock$498.8M$439.8M$337.8M$353.8M+52.4%+36.8%-1.3%+24.3%$43.88B0.06%
298VMCVulcan Materials Company (Holding Company) Common Stock$384.7M$320.7M$302.6M$353.8M+77.2%+32.6%-22.3%-9.3%$43.87B0.06%
299DXCMDexCom Inc. Common Stock$382.2M$316.0M$321.8M$347.3M+61.5%-8.2%-20.1%-9.0%$43.06B0.06%
300DPZDomino's Pizza Inc Common Stock$409.9M$346.7M$329.6M$345.5M+53.1%-31.0%+13.1%+0.3%$42.84B0.06%
301CPRTCopart Inc. (DE) Common Stock$582.9M$471.8M$375.0M$344.9M+113.4%+56.2%-5.5%+36.8%$42.77B0.06%
302CRSCarpenter Technology Corporation Common Stock$570.3M$462.8M$379.7M$344.3M+106.5%+38.3%-26.8%+34.4%$42.69B0.06%
303TTMITTM Technologies Inc. Common Stock$533.8M$387.3M$363.1M$343.4M+150.5%+36.2%-37.3%+12.8%$42.58B0.06%
304IQVIQVIA Holdings Inc. Common Stock$751.2M$552.1M$316.3M$343.3M+219.0%+160.7%+4.3%+60.8%$42.57B0.06%
305PSAPublic Storage Common Stock$498.4M$492.2M$388.4M$341.9M+13.3%-4.9%+18.2%+44.0%$42.39B0.06%
306MLMMartin Marietta Materials Inc. Common Stock$393.8M$362.5M$342.9M$338.8M+32.0%+38.5%-5.5%+7.0%$42.01B0.06%
307NUENucor Corporation Common Stock$530.5M$460.3M$329.2M$337.6M+71.4%+73.6%-31.4%+36.3%$41.86B0.06%
308IRIngersoll Rand Inc. Common Stock$336.3M$364.3M$328.9M$337.4M-22.3%-16.0%-2.9%+8.0%$41.83B0.06%
309FERGFerguson Enterprises Inc. Common Stock$346.4M$297.5M$282.6M$336.1M+69.5%+22.6%-15.1%-11.5%$41.68B0.06%
310VTRVentas Inc. Common Stock$432.8M$372.5M$336.4M$329.2M+60.5%+33.8%-4.3%+13.1%$40.82B0.06%
311CBRECBRE Group Inc Common Stock Class A$405.3M$329.1M$245.2M$327.4M+97.0%+67.7%-25.1%+0.5%$40.60B0.06%
312AMKRAmkor Technology Inc. Common Stock$714.4M$588.2M$371.7M$327.1M+112.3%+156.1%-28.6%+79.8% 🔺$40.56B0.06%
313CCICrown Castle Inc. Common Stock$419.9M$435.9M$336.0M$326.1M+3.0%+57.5%-20.7%+33.6%$40.44B0.06%
314EMEEMCOR Group Inc. Common Stock$403.1M$340.4M$349.7M$323.6M+64.9%-25.6%-10.2%+5.2%$40.12B0.06%
315MODModine Manufacturing Company Common Stock$487.9M$370.8M$321.9M$321.5M+130.5%+50.8%-31.7%+15.3%$39.86B0.06%
316GEHCGE HealthCare Technologies Inc. Common Stock$659.9M$562.1M$378.7M$321.1M+94.4%+80.1%+19.5%+75.0% 🔺$39.82B0.06%
317NVTnVent Electric plc Ordinary Shares$410.9M$341.3M$306.4M$317.9M+78.5%+33.5%-15.8%+7.4%$39.41B0.06%
318METMetLife Inc. Common Stock$476.0M$442.1M$333.9M$304.9M+32.6%+30.0%-5.5%+45.0%$37.81B0.06%
319WWayfair Inc. Class A Common Stock$400.7M$366.2M$266.5M$304.0M+19.2%+56.6%-9.7%+20.5%$37.70B0.06%
320CNCCentene Corporation Common Stock$579.9M$444.1M$313.9M$297.2M+123.6%+60.9%-15.1%+49.4%$36.86B0.05%
321ONTOOnto Innovation Inc. Common Stock$351.8M$306.2M$378.1M$293.3M+52.5%+12.5%-10.3%+4.4%$36.36B0.05%
322SWKSSkyworks Solutions Inc. Common Stock$636.9M$506.0M$354.2M$291.6M+130.5%+69.8%-13.9%+73.5%$36.16B0.05%
323CORZCore Scientific Inc. Common Stock$473.7M$356.7M$271.8M$275.9M+194.2%+70.5%-21.9%+29.3%$34.21B0.05%
324ULUnilever PLC American Depositary Shares (each representing One Ordinary Share)$635.2M$476.5M$286.5M$271.7M+176.9%+132.2%+14.6%+75.4% 🔺$33.69B0.05%
325CSGPCoStar Group Inc. Common Stock$369.4M$298.4M$218.2M$271.0M+105.3%+56.9%-11.4%+10.1%$33.61B0.05%
326TYLTyler Technologies Inc. Common Stock$397.5M$304.7M$229.7M$244.2M+115.2%+29.9%-22.3%+24.8%$30.28B0.04%
327BIIBBiogen Inc. Common Stock$343.8M$271.8M$298.6M$241.8M+108.8%+21.4%+25.3%+12.4%$29.98B0.04%
328LIILennox International Inc. Common Stock$540.6M$386.1M$264.3M$239.3M+283.7%+112.5%+25.2%+61.3%$29.68B0.04%
329PPGPPG Industries Inc. Common Stock$378.3M$335.7M$232.9M$236.5M+71.6%+133.0%-1.9%+41.9%$29.33B0.04%
330GNRCGenerac Holdlings Inc. Common Stock$390.5M$307.9M$232.8M$235.9M+140.4%+83.0%-14.6%+30.5%$29.25B0.04%
331TEVATeva Pharmaceutical Industries Limited American Depositary Shares$313.8M$235.3M$178.1M$224.1M+141.7%+66.8%-21.7%+5.0%$27.79B0.04%
332TECHBio-Techne Corp Common Stock$428.3M$331.2M$368.4M$223.4M+128.3%+49.9%-8.0%+48.3%$27.70B0.04%
333GRMNGarmin Ltd. Common Stock (Switzerland)$586.0M$411.8M$243.5M$219.8M+294.5%+55.9%+10.2%+87.4% 🔺$27.25B0.04%
334MASMasco Corporation Common Stock$478.0M$345.4M$207.5M$198.2M+237.5%+132.6%+16.4%+74.3% 🔺$24.57B0.04%
335IBNICICI Bank Limited Common Stock$268.7M$200.2M$229.3M$193.4M+120.5%-17.7%+11.4%+3.5%$23.99B0.04%
336EVREvercore Inc. Class A Common Stock$271.8M$221.6M$161.3M$182.3M+101.1%+53.4%+14.5%+21.6%$22.61B0.03%
337WSOWatsco Inc. Common Stock$316.7M$238.1M$163.0M$172.4M+84.7%+51.4%+15.5%+38.2%$21.37B0.03%
338CLHClean Harbors Inc. Common Stock$282.1M$213.7M$146.3M$154.7M+170.2%+39.4%+0.1%+38.2%$19.18B0.03%
339JBLUJetBlue Airways Corporation Common Stock$453.5M$365.5M$213.7M$145.5M+135.9%+146.3%+48.5%+151.2% 🔺$18.04B0.03%
340SUISun Communities Inc. Common Stock$530.1M$440.8M$231.4M$139.0M+109.6%+125.8%+42.5%+217.2% 🔺$17.23B0.03%
341BMOBank Of Montreal Common Stock$242.1M$184.8M$141.7M$125.6M+177.9%+45.5%+12.2%+47.1%$15.57B0.02%
342GKOSGlaukos Corporation Common Stock$263.6M$182.6M$123.0M$109.6M+275.6%+132.6%-12.7%+66.7%$13.59B0.02%
343MANHManhattan Associates Inc. Common Stock$298.4M$221.7M$135.6M$108.8M+157.9%+86.5%+48.7%+103.8% 🔺$13.49B0.02%
344AVTRAvantor Inc. Common Stock$354.0M$275.7M$139.2M$99.1M+168.3%+141.8%+52.0%+178.2% 🔺$12.29B0.02%
345LADLithia Motors Inc. Common Stock$325.6M$225.6M$115.1M$97.9M+272.1%+173.9%+25.1%+130.4% 🔺$12.14B0.02%
346CAKECheesecake Factory Incorporated (The) Common Stock$272.5M$217.7M$141.8M$92.8M+78.2%+57.5%+41.9%+134.7% 🔺$11.50B0.02%
347PSNParsons Corporation Common Stock$204.6M$152.3M$74.5M$73.5M+218.6%+249.1%+11.8%+107.2% 🔺$9.12B0.01%
348CBZCBIZ Inc. Common Stock$341.0M$214.1M$70.6M$39.7M+1351.8%+781.4%+165.6%+439.1% 🔺$4.92B0.01%
349FBRXForte Biosciences Inc. Common Stock$698.0M$434.1M$133.4M$29.0M+1866.5%+1175.5%+1589.4%+1397.1% 🔺$3.60B0.01%
350DFNST3 Defense Inc. Common Stock$920.6M$556.0M$141.9M$26.7M+11708.4%+1682.7%+2323.8%+1979.5% 🔺$3.32B0.00%