前 350 股票合计 · 近半年(6mo) · 数据 2026-09-27 15:06

🌐 宏观数据 · 市场成交额

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$23.19B$26.19B$25.00B$36.00B-28.9%+8.5%-20.6%-27.2%$4.57T6.57%
2NVDANVIDIA Corporation Common Stock$19.27B$20.94B$27.76B$29.79B-35.2%-19.6%+10.3%-29.7%$3.78T5.43%
3SNDKSandisk Corporation Common Stock$13.83B$16.87B$17.58B$19.59B-44.5%+2.5%-19.9%-13.9%$2.49T3.57%
4TSLATesla Inc. Common Stock$13.24B$12.83B$14.32B$18.20B-8.4%-4.5%+26.1%-29.5%$2.31T3.32%
5SPCXSpace Exploration Technologies Corp. Class A Common Stock$9.28B$9.90B$13.14B$15.96B-61.8%-51.1%-11.8%-38.0%$1.17T1.67%
6AAPLApple Inc. Common Stock$9.73B$10.98B$13.92B$15.04B-46.7%-28.8%-11.1%-27.0%$1.91T2.74%
7MSFTMicrosoft Corporation Common Stock$12.57B$12.51B$11.11B$14.60B-15.0%+9.4%-33.0%-14.3%$1.85T2.66%
8AMDAdvanced Micro Devices Inc. Common Stock$12.36B$16.42B$11.49B$13.57B-41.0%+25.0%-2.4%+21.0%$1.72T2.47%
9INTCIntel Corporation Common Stock$12.56B$14.89B$11.18B$12.24B-32.4%+14.4%+9.4%+21.7%$1.55T2.23%
10METAMeta Platforms Inc. Class A Common Stock$23.12B$25.24B$15.21B$11.49B-7.8%+89.0%+48.2%+119.7% 🔺$1.46T2.09%
11AMZNAmazon.com Inc. Common Stock$9.27B$9.92B$9.01B$11.37B-20.7%+5.9%-25.1%-12.7%$1.44T2.07%
12GOOGLAlphabet Inc. Class A Common Stock$9.23B$9.79B$9.16B$10.41B-27.0%-2.0%+0.6%-6.0%$1.32T1.90%
13AVGOBroadcom Inc. Common Stock$7.12B$7.69B$9.72B$9.46B-35.0%-25.7%+26.2%-18.7%$1.20T1.73%
14MRVLMarvell Technology Inc. Common Stock$3.43B$4.21B$4.89B$7.39B-37.7%-5.5%-3.4%-43.0%$938.36B1.35%
15GOOGAlphabet Inc. Class C Capital Stock$5.98B$6.27B$5.96B$6.99B-28.7%-7.0%-1.9%-10.4%$888.04B1.28%
16PLTRPalantir Technologies Inc. Class A Common Stock$4.83B$4.51B$4.84B$5.93B-4.0%-10.7%-34.7%-23.9%$753.66B1.08%
17TSMTaiwan Semiconductor Manufacturing Company Ltd.$3.84B$4.21B$4.28B$5.29B-23.8%-16.6%-6.2%-20.5%$671.98B0.96%
18SKHYSK hynix Inc. American Depositary Shares$2.35B$2.91B$3.48B$4.99B-66.2%-42.5%-15.3%-41.6%$274.55B0.39%
19ORCLOracle Corporation Common Stock$4.80B$4.48B$4.94B$4.78B+4.4%-11.9%+30.2%-6.3%$607.35B0.87%
20LITELumentum Holdings Inc. Common Stock$3.37B$3.74B$4.02B$4.62B-41.3%-26.6%-8.0%-19.1%$587.03B0.84%
21AMATApplied Materials Inc. Common Stock$2.22B$2.76B$2.88B$4.03B-50.6%-20.2%-26.9%-31.4%$511.79B0.73%
22NBISNebius Group N.V. Class A Ordinary Shares$3.68B$3.75B$3.40B$3.91B-11.6%-3.7%-43.0%-4.0%$496.10B0.71%
23WDCWestern Digital Corporation Common Stock$2.78B$3.14B$2.91B$3.87B-37.3%-15.4%-26.4%-19.0%$491.47B0.71%
24STXSeagate Technology Holdings PLC Ordinary Shares (Ireland)$2.78B$3.37B$3.24B$3.51B-42.5%-13.0%-19.9%-4.0%$446.18B0.64%
25QCOMQUALCOMM Incorporated Common Stock$2.43B$2.63B$2.64B$3.28B-53.2%-30.4%+52.5%-19.8%$416.72B0.60%
26BEBloom Energy Corporation Class A Common Stock$4.03B$3.80B$4.26B$3.26B-54.3%-43.8%+27.6%+16.5%$413.80B0.59%
27NFLXNetflix Inc. Common Stock$2.00B$2.24B$2.45B$3.23B-55.1%-33.9%+2.4%-30.6%$409.95B0.59%
28LRCXLam Research Corporation Common Stock$2.65B$2.85B$2.71B$3.20B-33.6%-15.6%-7.2%-10.9%$406.78B0.58%
29DELLDell Technologies Inc. Class C Common Stock$4.57B$4.71B$5.75B$3.19B-16.9%-21.1%+135.6%+47.5%$405.10B0.58%
30LLYEli Lilly and Company Common Stock$2.54B$2.67B$2.72B$3.18B-30.8%-2.2%-20.2%-15.8%$403.36B0.58%
31CRWVCoreWeave Inc. Class A Common Stock$2.62B$2.71B$2.47B$2.90B-29.3%-19.2%-14.5%-6.4%$368.27B0.53%
32ASMLASML Holding N.V. New York Registry Shares$1.92B$2.01B$2.17B$2.85B-32.5%-29.4%-4.8%-29.5%$362.56B0.52%
33CRMSalesforce Inc. Common Stock$2.54B$2.66B$4.13B$2.76B-30.2%-25.8%+73.1%-3.7%$350.90B0.50%
34JPMJP Morgan Chase & Co. Common Stock$2.89B$2.97B$2.66B$2.74B-31.1%-25.4%+26.0%+8.2%$348.14B0.50%
35MSTRStrategy Inc Common Stock Class A$3.04B$4.03B$3.68B$2.73B-53.2%+4.8%+52.6%+47.8%$346.49B0.50%
36WMTWalmart Inc. Common Stock$2.48B$2.43B$2.46B$2.59B-22.0%-8.0%-18.0%-6.2%$329.15B0.47%
37GEVGE Vernova Inc. Common Stock$1.50B$1.80B$2.06B$2.59B-46.1%-39.5%-2.5%-30.6%$328.73B0.47%
38XOMExxonMobil Holdings Corporation Common Stock$1.94B$2.11B$2.35B$2.59B-46.6%-27.3%+4.0%-18.4%$328.68B0.47%
39NOWServiceNow Inc. Common Stock$1.33B$1.45B$2.12B$2.58B-31.4%-27.2%-7.7%-44.0%$327.71B0.47%
40VVisa Inc.$1.72B$2.19B$2.25B$2.55B-60.4%-30.8%-14.9%-14.2%$324.48B0.47%
41HOODRobinhood Markets Inc. Class A Common Stock$1.94B$2.26B$2.61B$2.47B-43.0%-28.4%+36.5%-8.6%$313.92B0.45%
42CATCaterpillar Inc. Common Stock$1.89B$1.77B$1.91B$2.45B-19.9%-23.4%-22.6%-27.9%$311.71B0.45%
43CSCOCisco Systems Inc. Common Stock (DE)$2.49B$2.67B$1.95B$2.42B-28.4%+20.7%-21.5%+10.5%$307.34B0.44%
44UNHUnitedHealth Group Incorporated Common Stock (DE)$1.57B$1.71B$1.95B$2.41B-33.4%-15.2%+15.8%-29.2%$306.40B0.44%
45BRK/BBerkshire Hathaway Inc.$1.87B$2.08B$2.39B$2.31B-49.6%-35.6%+13.2%-10.2%$294.00B0.42%
46ARMArm Holdings plc American Depositary Shares$2.47B$2.82B$1.48B$2.30B-13.6%+111.2%+13.9%+22.4%$292.34B0.42%
47APPApplovin Corporation Class A Common Stock$1.44B$1.49B$1.54B$2.27B-33.3%-24.7%-37.3%-34.6%$288.37B0.41%
48KLACKLA Corporation Common Stock$1.49B$1.60B$1.70B$2.24B-37.0%-17.7%-17.3%-28.7%$284.86B0.41%
49GLWCorning Incorporated Common Stock$857.5M$1.02B$1.32B$2.20B-45.6%-38.6%-22.5%-53.5%$279.70B0.40%
50TXNTexas Instruments Incorporated Common Stock$1.17B$1.58B$1.60B$2.14B-62.8%-25.9%-8.6%-26.1%$271.90B0.39%
51RKLBRocket Lab Corporation Common Stock$1.54B$1.60B$1.31B$2.10B-16.1%+16.0%-3.4%-23.7%$266.84B0.38%
52COSTCostco Wholesale Corporation Common Stock$2.98B$2.53B$2.12B$2.09B+19.7%+9.8%+24.9%+21.0%$265.59B0.38%
53PANWPalo Alto Networks Inc. Common Stock$1.95B$2.18B$2.57B$2.09B-41.9%-33.1%+29.6%+4.2%$265.30B0.38%
54IBMInternational Business Machines Corporation Common Stock$977.0M$1.19B$1.30B$2.07B-51.9%-32.5%-4.3%-42.7%$263.37B0.38%
55IRENIREN Limited Ordinary Shares$1.58B$1.66B$1.73B$2.07B-16.9%+0.2%-7.6%-19.7%$263.25B0.38%
56GSGoldman Sachs Group Inc. (The) Common Stock$2.00B$1.95B$2.01B$2.07B-19.9%-33.7%-1.1%-5.9%$262.61B0.38%
57CRWDCrowdStrike Holdings Inc. Class A Common Stock$2.53B$2.63B$2.96B$2.01B-25.7%-36.4%+83.5%+30.5%$255.73B0.37%
58COHRCoherent Corp. Common Stock$1.52B$1.86B$1.81B$2.01B-42.9%-16.7%-24.5%-7.3%$255.03B0.37%
59BACBank of America Corporation Common Stock$1.99B$2.09B$2.27B$1.96B-20.3%-30.2%+34.5%+6.5%$248.99B0.36%
60JNJJohnson & Johnson Common Stock$1.53B$1.47B$1.72B$1.86B-35.8%-28.0%+0.3%-21.1%$236.32B0.34%
61CVXChevron Corporation Common Stock$1.70B$1.74B$2.09B$1.84B-62.4%-49.5%+32.5%-5.6%$234.05B0.34%
62MAMastercard Incorporated Common Stock$1.39B$1.55B$1.49B$1.77B-37.1%-6.0%-16.9%-12.1%$224.54B0.32%
63VRTVertiv Holdings LLC Class A Common Stock$979.8M$1.01B$1.35B$1.69B-27.7%-39.9%-14.3%-40.4%$215.15B0.31%
64COINCoinbase Global Inc. Class A Common Stock$1.37B$1.70B$1.86B$1.64B-52.4%-39.4%+16.8%+4.0%$207.68B0.30%
65CBRSCerebras Systems Inc. Class A Common Stock$869.9M$1.07B$1.14B$1.60B-46.4%-7.0%-31.5%-33.4%$149.06B0.21%
66GEGE Aerospace Common Stock$1.33B$1.26B$1.37B$1.59B-28.5%-38.6%+7.8%-21.0%$202.08B0.29%
67SNOWSnowflake Inc. Common Stock$1.10B$1.24B$1.82B$1.59B-24.2%-11.1%+21.1%-21.6%$201.69B0.29%
68ADIAnalog Devices Inc. Common Stock$1.04B$1.16B$1.26B$1.59B-44.5%-23.5%-13.3%-26.6%$201.43B0.29%
69SMCISuper Micro Computer Inc. Common Stock$1.76B$1.70B$1.50B$1.58B+2.9%+6.8%-21.1%+7.8%$200.61B0.29%
70AAOIApplied Optoelectronics Inc. Common Stock$594.8M$694.4M$685.1M$1.58B-34.6%-7.4%-58.0%-56.0%$200.41B0.29%
71CRDOCredo Technology Group Holding Ltd Ordinary Shares$1.71B$1.76B$1.69B$1.55B-14.8%+11.6%+56.1%+13.5%$196.78B0.28%
72CCitigroup Inc. Common Stock$1.13B$1.26B$1.32B$1.52B-39.6%-30.0%+11.8%-16.7%$192.47B0.28%
73ALABAstera Labs Inc. Common Stock$1.18B$1.52B$1.21B$1.51B-43.2%+12.6%-12.8%+1.0%$191.55B0.28%
74HDHome Depot Inc. (The) Common Stock$1.73B$1.70B$1.37B$1.44B-9.4%+12.9%+3.5%+17.9%$182.77B0.26%
75INTUIntuit Inc. Common Stock$1.06B$1.10B$1.17B$1.44B-31.4%-17.0%-17.2%-23.6%$182.42B0.26%
76ABBVAbbVie Inc. Common Stock$835.6M$829.7M$1.07B$1.42B-34.0%-35.5%-17.4%-41.5%$180.06B0.26%
77ASTSAST SpaceMobile Inc. Class A Common Stock$481.9M$576.4M$590.1M$1.40B-44.3%-4.0%-22.2%-58.8%$177.55B0.25%
78BABAAlibaba Group Holding Limited American Depositary Shares each representing eight Ordinary share$942.4M$1.13B$1.01B$1.38B-34.6%+16.7%-37.1%-18.4%$175.81B0.25%
79ADBEAdobe Inc. Common Stock$846.2M$1.12B$1.46B$1.37B-54.5%-27.7%+20.1%-18.6%$174.28B0.25%
80BABoeing Company (The) Common Stock$1.65B$1.56B$1.30B$1.36B+3.9%-6.6%+1.6%+14.3%$173.14B0.25%
81TERTeradyne Inc. Common Stock$645.9M$831.1M$905.1M$1.36B-49.2%-29.4%-25.9%-39.0%$173.01B0.25%
82UBERUber Technologies Inc. Common Stock$1.00B$1.21B$1.33B$1.35B-33.2%-8.6%-6.0%-10.4%$171.80B0.25%
83ANETArista Networks Inc. Common Stock$814.2M$881.5M$939.3M$1.35B-40.5%-31.8%-37.8%-34.7%$171.43B0.25%
84KOCoca-Cola Company (The) Common Stock$1.12B$1.30B$1.38B$1.34B-39.6%-17.6%+5.1%-3.0%$169.58B0.24%
85MRNAModerna Inc. Common Stock$3.08B$3.45B$2.56B$1.34B-17.1%+68.3%-33.7%+158.4% 🔺$169.55B0.24%
86BKNGBooking Holdings Inc. Common Stock$1.71B$1.73B$1.46B$1.30B-22.8%+3.1%+24.8%+32.7%$165.71B0.24%
87MRKMerck & Company Inc. Common Stock (new)$1.40B$1.42B$1.45B$1.29B-43.7%-25.6%-6.1%+9.9%$163.62B0.23%
88CRCLCircle Internet Group Inc. Class A Common Stock$1.05B$1.18B$1.43B$1.29B-43.2%-39.6%+36.1%-8.6%$163.44B0.23%
89PGProcter & Gamble Company (The) Common Stock$966.3M$916.9M$1.17B$1.28B-19.1%-29.2%-14.9%-28.4%$162.68B0.23%
90WFCWells Fargo & Company Common Stock$995.4M$1.03B$1.24B$1.27B-30.8%-29.1%+19.5%-19.0%$161.26B0.23%
91IONQIonQ Inc. Common Stock$2.09B$1.52B$952.5M$1.23B+184.0%+113.3%+15.5%+23.6%$155.92B0.22%
92AALAmerican Airlines Group Inc. Common Stock$1.01B$1.01B$930.6M$1.22B+13.2%-9.5%+14.4%-17.2%$155.46B0.22%
93MCDMcDonald's Corporation Common Stock$2.42B$2.02B$1.46B$1.22B+39.4%+31.6%+22.3%+65.0%$155.15B0.22%
94SHOPShopify Inc. Class A Subordinate Voting Shares$1.73B$2.25B$1.42B$1.21B-30.5%+125.9%-5.2%+85.6%$154.04B0.22%
95APHAmphenol Corporation Common Stock$964.9M$986.4M$965.1M$1.21B-33.4%-6.9%-8.8%-18.3%$153.39B0.22%
96TAT&T Inc.$847.1M$866.5M$963.2M$1.19B-35.4%-29.0%-2.1%-27.1%$151.01B0.22%
97NOKNokia Corporation Sponsored American Depositary Shares$665.8M$819.1M$891.9M$1.16B-47.8%-38.2%+21.1%-29.6%$147.80B0.21%
98VZVerizon Communications Inc. Common Stock$867.0M$1.01B$1.03B$1.16B-44.2%-24.1%+4.9%-12.6%$147.43B0.21%
99CIENCiena Corporation Common Stock$581.6M$737.5M$947.5M$1.16B-52.1%-38.3%+16.4%-36.3%$147.09B0.21%
100TMOThermo Fisher Scientific Inc Common Stock$1.47B$1.46B$1.36B$1.15B-25.3%-29.3%+25.9%+27.0%$146.07B0.21%
101SOFISoFi Technologies Inc. Common Stock$769.4M$1.02B$763.6M$1.13B-34.8%+36.0%-24.5%-9.8%$143.54B0.21%
102MSMorgan Stanley Common Stock$923.3M$1.03B$1.01B$1.13B-29.0%-27.1%+4.5%-8.4%$143.27B0.21%
103PEPPepsiCo Inc. Common Stock$1.05B$1.15B$1.19B$1.13B-43.8%-28.0%+22.3%+1.7%$143.21B0.21%
104ACNAccenture plc Class A Ordinary Shares (Ireland)$811.3M$905.4M$896.4M$1.12B-42.2%-17.0%-15.1%-19.0%$141.93B0.20%
105MPWRMonolithic Power Systems Inc. Common Stock$810.4M$1.17B$915.1M$1.11B-53.0%+10.1%-11.7%+6.2%$140.36B0.20%
106ABTAbbott Laboratories Common Stock$892.5M$812.7M$922.3M$1.10B-35.7%-29.1%+5.8%-26.1%$139.63B0.20%
107NKENike Inc. Common Stock$1.41B$1.38B$1.21B$1.09B-5.9%+1.4%+15.1%+26.1%$139.04B0.20%
108LINLinde plc Ordinary Shares$880.3M$892.5M$924.0M$1.08B-32.0%-12.7%-15.4%-17.3%$137.12B0.20%
109ISRGIntuitive Surgical Inc. Common Stock$769.3M$850.2M$901.1M$1.08B-40.5%-20.4%-11.3%-21.1%$136.92B0.20%
110DDOGDatadog Inc. Class A Common Stock$1.02B$892.8M$862.7M$1.07B+16.6%+9.1%-34.3%-16.9%$136.42B0.20%
111ONON Semiconductor Corporation Common Stock$768.8M$814.0M$785.7M$1.05B-27.9%-27.7%+6.5%-22.1%$132.79B0.19%
112HPEHewlett Packard Enterprise Company Common Stock$1.09B$1.11B$1.56B$1.04B-16.1%-26.6%+86.9%+6.9%$132.15B0.19%
113BSXBoston Scientific Corporation Common Stock$756.3M$861.7M$936.5M$1.03B-31.4%-22.6%-11.3%-16.1%$130.51B0.19%
114NXPINXP Semiconductors N.V. Common Stock$773.7M$887.3M$816.2M$1.02B-29.8%-4.7%-12.0%-12.7%$129.10B0.19%
115PFEPfizer Inc. Common Stock$912.2M$855.9M$939.5M$1.01B-24.7%-22.4%-10.1%-15.0%$127.86B0.18%
116AMGNAmgen Inc. Common Stock$1.03B$1.15B$1.20B$999.5M-48.1%-22.6%+9.3%+15.1%$126.93B0.18%
117TMUST-Mobile US Inc. Common Stock$931.3M$1.02B$884.5M$992.0M-37.4%-5.9%+10.1%+2.7%$125.98B0.18%
118AXPAmerican Express Company Common Stock$1.09B$1.12B$949.7M$981.0M-20.6%-8.1%+15.3%+14.3%$124.59B0.18%
119NETCloudflare Inc. Class A Common Stock$1.09B$1.16B$1.04B$979.4M-18.5%+1.1%-13.4%+18.5%$124.39B0.18%
120AZOAutoZone Inc. Common Stock$1.50B$1.70B$1.13B$966.3M-13.3%+76.6%+79.9%+75.6%$122.72B0.18%
121DISWalt Disney Company (The) Common Stock$818.0M$790.4M$855.8M$965.1M-29.1%-29.4%-20.4%-18.1%$122.57B0.18%
122SCHWCharles Schwab Corporation (The) Common Stock$905.2M$999.1M$919.9M$962.6M-35.1%-5.2%+18.5%+3.8%$122.25B0.18%
123RTXRTX Corporation Common Stock$716.2M$722.2M$769.6M$958.3M-36.3%-26.4%-24.6%-24.6%$121.70B0.17%
124ETNEaton Corporation PLC Ordinary Shares$668.9M$758.4M$849.1M$957.9M-46.4%-37.4%-10.5%-20.8%$121.66B0.17%
125NEENextEra Energy Inc. Common Stock$1.12B$968.2M$958.2M$957.2M+5.1%-5.0%+5.6%+1.1%$121.56B0.17%
126FCXFreeport-McMoRan Inc. Common Stock$617.4M$635.7M$872.5M$943.5M-22.8%-19.5%-13.6%-32.6%$119.83B0.17%
127SPOTSpotify Technology S.A. Ordinary Shares$661.3M$750.8M$781.8M$931.4M-25.3%-10.7%-25.4%-19.4%$118.29B0.17%
128TJXTJX Companies Inc. (The) Common Stock$1.11B$1.23B$1.19B$929.2M-34.1%-18.6%+21.7%+32.3%$118.01B0.17%
129VLOValero Energy Corporation Common Stock$1.85B$1.98B$1.48B$912.3M-32.0%+0.2%+84.0%+117.2% 🔺$115.86B0.17%
130COPConocoPhillips Common Stock$662.9M$781.9M$909.1M$908.7M-54.4%-39.3%+5.5%-14.0%$115.41B0.17%
131NUNu Holdings Ltd. Class A Ordinary Shares$787.3M$801.7M$995.2M$906.9M-9.6%-21.8%+6.8%-11.6%$115.18B0.17%
132HONHoneywell International Inc. Common Stock$456.6M$620.9M$657.3M$905.9M-57.0%-32.7%-7.6%-31.5%$115.05B0.17%
133GILDGilead Sciences Inc. Common Stock$831.5M$821.7M$871.7M$904.4M-38.8%-29.1%-3.9%-9.1%$114.86B0.16%
134MELIMercadoLibre Inc. Common Stock$1.26B$1.48B$1.09B$899.4M-33.5%-1.5%+18.7%+64.9%$114.22B0.16%
135MCHPMicrochip Technology Incorporated Common Stock$667.4M$658.2M$621.9M$894.4M-18.5%-6.3%-21.9%-26.4%$113.59B0.16%
136DHRDanaher Corporation Common Stock$1.04B$1.05B$838.4M$883.9M-21.9%-1.6%+9.3%+19.3%$112.25B0.16%
137CEGConstellation Energy Corporation Common Stock$578.7M$656.2M$774.1M$882.1M-45.9%-34.7%+6.7%-25.6%$112.03B0.16%
138RDDTReddit Inc. Class A Common Stock$540.6M$630.0M$714.2M$873.3M-55.2%-36.8%-49.9%-27.9%$110.91B0.16%
139PMPhilip Morris International Inc Common Stock$913.5M$1.06B$832.0M$872.9M-31.9%+32.6%-6.6%+21.3%$110.85B0.16%
140NEMNewmont Corporation$579.3M$623.7M$952.1M$872.5M-56.9%-44.9%+6.3%-28.5%$110.81B0.16%
141SPGIS&P Global Inc. Common Stock$582.4M$578.6M$758.8M$853.3M-17.8%-23.8%-7.7%-32.2%$108.37B0.16%
142MCKMcKesson Corporation Common Stock$500.1M$633.5M$824.7M$846.7M-62.8%-40.0%-5.5%-25.2%$107.53B0.15%
143COFCapital One Financial Corporation Common Stock$824.9M$732.2M$735.7M$835.6M-12.2%-20.7%+5.8%-12.4%$106.12B0.15%
144CLSCelestica Inc. Common Stock$931.5M$873.2M$739.8M$825.9M+24.0%+37.5%-21.9%+5.7%$104.90B0.15%
145AXTIAXT Inc Common Stock$517.3M$630.9M$577.6M$822.4M-44.2%-5.4%-38.8%-23.3%$104.45B0.15%
146DASHDoorDash Inc. Class A Common Stock$898.8M$935.9M$793.7M$818.2M-20.1%+29.5%-18.8%+14.4%$103.91B0.15%
147SNPSSynopsys Inc. Common Stock$839.9M$750.0M$821.5M$817.1M+1.8%-12.8%+30.3%-8.2%$103.77B0.15%
148CDNSCadence Design Systems Inc. Common Stock$928.6M$871.0M$803.2M$815.7M+1.7%+13.9%+14.4%+6.8%$103.60B0.15%
149SYKStryker Corporation Common Stock$666.1M$681.1M$875.6M$811.4M-26.7%-28.4%+10.3%-16.1%$103.05B0.15%
150CMCSAComcast Corporation Class A Common Stock$863.8M$854.3M$734.1M$798.5M-17.9%-4.9%+20.1%+7.0%$101.41B0.15%
151BMNRBitMine Immersion Technologies Inc. Common Stock$931.6M$1.09B$1.11B$793.0M-35.8%-10.0%+48.8%+37.4%$100.71B0.14%
152UNPUnion Pacific Corporation Common Stock$531.1M$829.0M$697.0M$779.8M-59.2%+16.2%-7.7%+6.3%$99.03B0.14%
153MDTMedtronic plc. Ordinary Shares$1.02B$1.00B$901.8M$770.0M-9.0%+1.4%+48.8%+30.3%$97.79B0.14%
154DEDeere & Company Common Stock$958.6M$923.4M$917.8M$762.0M-12.2%-1.9%+24.2%+21.2%$96.78B0.14%
155FTNTFortinet Inc. Common Stock$572.1M$598.0M$775.5M$760.7M-50.1%-46.1%-4.7%-21.4%$96.61B0.14%
156PWRQuanta Services Inc. Common Stock$510.9M$514.5M$539.6M$760.3M-18.3%-12.1%-35.2%-32.3%$96.56B0.14%
157FIXComfort Systems USA Inc. Common Stock$373.1M$429.9M$529.3M$759.7M-53.4%-34.1%-26.7%-43.4%$96.48B0.14%
158PYPLPayPal Holdings Inc. Common Stock$725.8M$812.1M$764.8M$745.6M-36.1%+21.3%+22.8%+8.9%$94.69B0.14%
159SBUXStarbucks Corporation Common Stock$714.9M$722.8M$670.1M$744.6M-21.3%-10.4%-16.6%-2.9%$94.56B0.14%
160CVNACarvana Co. Class A Common Stock$423.0M$405.2M$448.0M$740.4M-25.2%-29.7%-40.3%-45.3%$94.03B0.14%
161CVSCVS Health Corporation Common Stock$887.0M$861.5M$680.8M$739.7M-25.9%+3.1%-12.7%+16.5%$93.94B0.13%
162FFord Motor Company Common Stock$520.8M$562.7M$657.6M$739.0M-42.6%-27.2%+1.9%-23.9%$93.85B0.13%
163MPCMarathon Petroleum Corporation Common Stock$1.07B$1.37B$1.24B$735.3M-59.0%-25.1%+52.4%+85.7%$93.38B0.13%
164BLKBlackRock Inc. Common Stock$528.2M$535.3M$632.9M$731.3M-29.7%-21.8%-3.6%-26.8%$92.88B0.13%
165SLBSLB Limited Common Shares$418.8M$529.1M$803.5M$727.2M-53.1%-38.1%+59.4%-27.3%$92.36B0.13%
166RCLRoyal Caribbean Cruises Ltd. Common Stock$1.24B$1.25B$708.0M$712.3M+12.0%+119.2%+41.2%+75.1%$90.46B0.13%
167HWMHowmet Aerospace Inc. Common Stock$524.3M$554.1M$955.6M$709.6M-31.1%-30.1%+60.0%-21.9%$90.12B0.13%
168WELLWelltower Inc. Common Stock$603.6M$588.4M$646.5M$690.8M-40.2%-21.4%-6.8%-14.8%$87.73B0.13%
169LMTLockheed Martin Corporation Common Stock$538.9M$575.7M$616.2M$690.7M-42.0%-23.0%-3.5%-16.6%$87.72B0.13%
170APLDApplied Digital Corporation Common Stock$365.6M$396.8M$414.7M$688.2M-29.6%-19.1%-16.0%-42.3%$87.41B0.13%
171HONAHoneywell Aerospace Inc. Common Stock$429.1M$521.4M$662.6M$683.5M-63.1%-54.4%-16.1%-23.7%$49.21B0.07%
172VSTVistra Corp. Common Stock$596.6M$618.8M$631.1M$681.5M-12.5%-8.3%-6.8%-9.2%$86.55B0.12%
173FLEXFlex Ltd. Ordinary Shares$378.6M$356.3M$366.0M$671.6M-32.4%-20.5%-17.8%-47.0%$85.30B0.12%
174PATHUiPath Inc. Class A Common Stock$631.2M$619.7M$884.5M$670.5M+9.9%-21.4%-11.8%-7.6%$85.15B0.12%
175WBDWarner Bros. Discovery Inc. Series A Common Stock$1.86B$3.23B$1.17B$670.2M-52.9%+380.3%+109.0%+382.5% 🔺$85.12B0.12%
176BMYBristol-Myers Squibb Company Common Stock$852.0M$786.5M$660.7M$669.7M-30.9%-17.6%-13.0%+17.4%$85.05B0.12%
177SHWSherwin-Williams Company (The) Common Stock$714.3M$633.9M$555.3M$667.9M+10.4%+8.8%-11.8%-5.1%$84.82B0.12%
178ONDSOndas Inc. Common Stock$637.9M$567.2M$493.4M$667.1M+37.2%+11.8%-22.1%-15.0%$84.72B0.12%
179LOWLowe's Companies Inc. Common Stock$640.3M$655.2M$640.6M$643.7M-22.8%-4.5%+3.4%+1.8%$81.75B0.12%
180ABNBAirbnb Inc. Class A Common Stock$1.40B$1.11B$878.1M$642.2M+43.6%+57.5%-6.5%+73.3%$81.55B0.12%
181STMSTMicroelectronics N.V. Common Stock$476.9M$462.1M$414.0M$640.7M-7.9%+5.5%-5.5%-27.9%$81.37B0.12%
182PHParker-Hannifin Corporation Common Stock$560.8M$553.1M$587.5M$637.9M-19.4%-10.7%-14.7%-13.3%$81.01B0.12%
183VRTXVertex Pharmaceuticals Incorporated Common Stock$505.4M$538.6M$542.5M$637.0M-37.2%-6.8%-14.1%-15.4%$80.90B0.12%
184WULFTeraWulf Inc. Common Stock$447.2M$433.8M$457.8M$632.5M-3.1%-17.9%-18.3%-31.4%$80.33B0.12%
185CCLCarnival Corporation Ltd. Common Shares$580.1M$610.6M$512.0M$632.0M-8.8%+27.3%+7.7%-3.4%$80.26B0.12%
186BXBlackstone Inc. Common Stock$610.8M$513.8M$475.3M$631.5M+23.3%+7.5%-19.5%-18.6%$80.20B0.12%
187TGTTarget Corporation Common Stock$485.0M$431.9M$533.1M$629.1M-18.4%-33.3%-28.3%-31.3%$79.90B0.11%
188OXYOccidental Petroleum Corporation Common Stock$501.5M$522.4M$501.9M$628.5M-22.6%-19.9%+6.8%-16.9%$79.82B0.11%
189ADPAutomatic Data Processing Inc. Common Stock$520.8M$542.1M$603.8M$624.0M-46.8%-36.0%-7.2%-13.1%$79.25B0.11%
190CMICummins Inc. Common Stock$595.8M$579.6M$629.4M$623.1M-11.7%-22.2%+4.3%-7.0%$79.13B0.11%
191MDBMongoDB Inc. Class A Common Stock$528.4M$599.6M$798.7M$621.2M-16.9%+9.7%+32.7%-3.5%$78.89B0.11%
192SHELShell PLC American Depositary Shares (each representing two (2) Ordinary Shares)$505.1M$508.3M$594.7M$612.8M+3.8%+2.0%+10.8%-17.0%$77.82B0.11%
193DVNDevon Energy Corporation Common Stock$691.0M$625.8M$631.3M$610.6M-30.5%-31.5%+32.7%+2.5%$77.55B0.11%
194HLTHilton Worldwide Holdings Inc. Common Stock$495.9M$537.2M$522.5M$608.7M-29.1%-7.8%-20.6%-11.7%$77.30B0.11%
195NVONovo Nordisk A/S Common Stock$621.2M$958.2M$555.8M$605.2M-44.8%+122.3%-17.0%+58.3%$76.86B0.11%
196MOAltria Group Inc.$507.6M$487.7M$561.7M$603.7M-20.4%-30.9%-19.0%-19.2%$76.68B0.11%
197PGRProgressive Corporation (The) Common Stock$828.2M$789.5M$544.0M$603.2M-10.2%+19.8%+5.9%+30.9%$76.60B0.11%
198REGNRegeneron Pharmaceuticals Inc. Common Stock$508.2M$513.8M$560.6M$602.3M-48.9%-30.2%-9.5%-14.7%$76.49B0.11%
199DALDelta Air Lines Inc. Common Stock$553.9M$629.0M$547.5M$598.9M-52.1%-19.9%+32.9%+5.0%$76.06B0.11%
200EQIXEquinix Inc. Common Stock REIT$569.0M$571.3M$549.0M$597.6M-7.4%+7.2%-14.7%-4.4%$75.90B0.11%
201HCAHCA Healthcare Inc. Common Stock$487.6M$545.1M$641.4M$597.0M-59.3%-39.6%+26.6%-8.7%$75.82B0.11%
202ORLYO'Reilly Automotive Inc. Common Stock$393.4M$529.7M$552.8M$595.2M-60.6%-28.5%+16.6%-11.0%$75.59B0.11%
203FDXFedEx Corporation Common Stock$591.1M$568.8M$503.1M$583.7M-10.9%+17.1%+4.0%-2.6%$74.14B0.11%
204TTTrane Technologies plc$497.2M$480.3M$455.5M$578.3M-17.7%-15.6%-17.4%-16.9%$73.44B0.11%
205GMGeneral Motors Company Common Stock$544.1M$563.7M$625.0M$577.4M-44.2%-30.7%+42.0%-2.4%$73.33B0.11%
206LNGCheniere Energy Inc. Common Stock$484.7M$598.2M$632.2M$577.2M-38.1%+11.3%+59.7%+3.6%$73.31B0.11%
207CMGChipotle Mexican Grill Inc. Common Stock$502.1M$456.8M$440.0M$576.8M-1.6%-11.4%-35.3%-20.8%$73.26B0.11%
208AKAMAkamai Technologies Inc. Common Stock$1.63B$1.20B$541.9M$574.0M+203.1%+222.7%+31.9%+108.4%$72.90B0.10%
209UALUnited Airlines Holdings Inc. Common Stock$417.3M$475.9M$412.8M$573.9M-23.4%+11.3%+9.7%-17.1%$72.89B0.10%
210CDECoeur Mining Inc. Common Stock$810.1M$714.8M$695.5M$571.9M+6.4%-13.6%-5.5%+25.0%$72.63B0.10%
211CSXCSX Corporation Common Stock$450.7M$528.4M$513.7M$570.3M-46.0%-13.1%-1.5%-7.4%$72.43B0.10%
212CBChubb Limited Common Stock$503.3M$462.2M$543.6M$569.8M-33.6%-31.6%-4.0%-18.9%$72.36B0.10%
213ICEIntercontinental Exchange Inc. Common Stock$427.8M$432.1M$505.2M$568.9M-16.9%-6.0%-14.5%-24.0%$72.25B0.10%
214PSXPhillips 66 Common Stock$889.7M$925.6M$871.6M$567.7M-43.6%-24.6%+40.7%+63.0%$72.10B0.10%
215CIFRCipher Digital Inc. Common Stock$532.1M$589.1M$583.4M$566.9M-24.1%-14.4%-13.7%+3.9%$72.00B0.10%
216ELVElevance Health Inc. Common Stock$476.6M$452.4M$483.9M$566.7M-15.1%-21.9%+34.3%-20.2%$71.97B0.10%
217TRVThe Travelers Companies Inc. Common Stock$448.0M$471.0M$538.9M$561.8M-40.1%-28.4%-19.8%-16.2%$71.35B0.10%
218ZSZscaler Inc. Common Stock$788.6M$700.4M$724.9M$560.9M+12.8%-20.9%+91.9%+24.9%$71.23B0.10%
219MARMarriott International Class A Common Stock$482.3M$494.4M$544.3M$556.4M-41.3%-24.8%-13.9%-11.1%$70.66B0.10%
220MMM3M Company Common Stock$436.2M$450.6M$477.0M$555.1M-23.0%-19.4%-4.6%-18.8%$70.50B0.10%
221MARAMARA Holdings Inc. Common Stock$493.3M$553.1M$557.9M$548.4M-38.4%-23.4%+11.3%+0.8%$69.65B0.10%
222UPSUnited Parcel Service Inc. Common Stock$556.4M$593.6M$451.6M$548.3M-25.1%+15.1%-13.4%+8.3%$69.63B0.10%
223RBLXRoblox Corporation Class A Common Stock$822.4M$669.5M$505.2M$542.9M+64.0%+22.9%-18.9%+23.3%$68.95B0.10%
224AEPAmerican Electric Power Company Inc. Common Stock$514.6M$599.6M$476.6M$541.0M-36.1%+6.7%-2.3%+10.8%$68.70B0.10%
225PLDPrologis Inc. Common Stock$377.5M$386.0M$443.3M$540.9M-38.0%-33.0%-30.1%-28.6%$68.69B0.10%
226HIMSHims & Hers Health Inc. Class A Common Stock$355.9M$364.5M$281.9M$539.3M+4.9%+43.4%-33.2%-32.4%$68.49B0.10%
227FSLRFirst Solar Inc. Common Stock$687.8M$568.1M$468.5M$536.1M+56.5%+26.9%-20.0%+6.0%$68.09B0.10%
228TTWOTake-Two Interactive Software Inc. Common Stock$463.9M$513.2M$626.0M$533.8M-40.7%-20.2%+13.0%-3.9%$67.79B0.10%
229BNYThe Bank of New York Mellon Corporation Common Stock$548.9M$625.9M$590.9M$528.5M-40.8%-22.1%+57.6%+18.4%$67.12B0.10%
230ADSKAutodesk Inc. Common Stock$386.2M$373.2M$557.5M$526.7M-34.2%-42.2%+26.9%-29.1%$66.89B0.10%
231JCIJohnson Controls International plc Ordinary Share$427.6M$396.5M$466.4M$523.4M-13.2%-34.2%-7.8%-24.2%$66.47B0.10%
232SOSouthern Company (The) Common Stock$426.8M$463.9M$532.5M$520.1M-45.1%-26.6%+1.6%-10.8%$66.06B0.09%
233AMTAmerican Tower Corporation (REIT) Common Stock$467.2M$539.3M$439.9M$519.3M-27.4%+14.8%+3.0%+3.8%$65.95B0.09%
234MDLZMondelez International Inc. Class A Common Stock$427.8M$480.3M$491.6M$513.9M-41.6%-11.3%-2.7%-6.5%$65.27B0.09%
235AXONAxon Enterprise Inc. Common Stock$453.6M$424.3M$507.3M$509.1M+4.6%-42.9%-5.7%-16.7%$64.65B0.09%
236BKRBaker Hughes Company Class A Common Stock$428.3M$455.0M$506.9M$508.1M-41.5%-31.1%+18.6%-10.5%$64.53B0.09%
237FANGDiamondback Energy Inc. Common Stock$462.2M$530.5M$640.5M$504.4M-50.9%-58.2%+79.6%+5.2%$64.06B0.09%
238URIUnited Rentals Inc. Common Stock$422.8M$424.4M$439.7M$499.0M-13.2%-8.6%-8.3%-14.9%$63.37B0.09%
239AONAon plc Class A Ordinary Shares (Ireland)$569.3M$599.8M$655.9M$498.0M-23.5%-30.5%+70.4%+20.4%$63.24B0.09%
240TSEMTower Semiconductor Ltd. Ordinary Shares$395.5M$429.6M$411.6M$497.8M-61.2%-39.0%-10.2%-13.7%$63.22B0.09%
241EOGEOG Resources Inc. Common Stock$373.3M$395.5M$490.8M$494.9M-45.4%-40.8%+21.6%-20.1%$62.85B0.09%
242TWLOTwilio Inc. Class A Common Stock$1.16B$1.09B$589.3M$494.1M+17.7%+97.3%+1.5%+121.6% 🔺$62.75B0.09%
243USBU.S. Bancorp Common Stock$413.7M$450.1M$469.9M$490.4M-34.8%-34.1%+16.5%-8.2%$62.29B0.09%
244HLHecla Mining Company Common Stock$787.4M$813.7M$680.8M$482.6M-12.5%-5.2%+0.5%+68.6%$61.29B0.09%
245CRHCRH PLC Ordinary Shares$497.6M$449.8M$440.8M$482.3M+9.7%-0.4%-1.3%-6.7%$61.25B0.09%
246CHTRCharter Communications Inc. Class A Common Stock New$423.4M$430.6M$405.7M$480.5M-25.3%+4.5%-2.2%-10.4%$61.02B0.09%
247LULUlululemon athletica inc. Common Stock$455.8M$480.5M$846.6M$480.1M-24.5%-12.6%+160.9%+0.1%$60.98B0.09%
248APOApollo Global Management Inc. (New) Common Stock$357.4M$350.8M$337.5M$477.4M-21.4%-14.4%-30.6%-26.5%$60.63B0.09%
249MNSTMonster Beverage Corporation$401.0M$401.4M$423.9M$475.7M-26.3%-17.1%-17.7%-15.6%$60.41B0.09%
250OKTAOkta Inc. Class A Common Stock$993.1M$941.7M$860.3M$473.6M+7.4%+6.2%+117.4%+98.8%$60.14B0.09%
251VEEVVeeva Systems Inc. Class A Common Stock$417.6M$408.1M$531.7M$471.8M-46.7%-29.0%+32.9%-13.5%$59.91B0.09%
252MRSHMarsh Common Stock$511.4M$528.9M$480.1M$469.6M-35.1%-16.3%+16.8%+12.6%$59.64B0.09%
253WMWaste Management Inc. Common Stock$460.4M$447.4M$487.1M$469.6M-14.2%-11.7%+3.8%-4.7%$59.64B0.09%
254AZNAstraZeneca PLC Ordinary Shares$410.0M$422.4M$493.0M$466.9M-11.5%-23.2%-27.9%-9.5%$59.30B0.09%
255DUKDuke Energy Corporation (Holding Company) Common Stock$431.2M$423.0M$453.0M$463.4M-29.4%-27.6%-21.9%-8.7%$58.85B0.08%
256CIThe Cigna Group Common Stock$471.5M$439.8M$414.5M$458.6M-0.8%+8.1%-19.2%-4.1%$58.24B0.08%
257RIVNRivian Automotive Inc. Class A Common Stock$309.4M$310.2M$333.5M$457.9M-21.4%-23.7%-5.9%-32.3%$58.15B0.08%
258BBarrick Mining Corporation Common Shares$381.2M$361.7M$389.0M$456.1M-0.7%-0.4%-23.4%-20.7%$57.93B0.08%
259EXPEExpedia Group Inc. Common Stock$820.8M$940.2M$658.9M$454.9M-22.4%+53.1%+29.5%+106.7%$57.77B0.08%
260CLColgate-Palmolive Company Common Stock$415.7M$507.1M$462.8M$454.8M-44.2%-10.9%+12.9%+11.5%$57.76B0.08%
261CAHCardinal Health Inc. Common Stock$501.6M$477.9M$412.3M$453.1M-17.2%-10.0%-8.9%+5.5%$57.54B0.08%
262SMTCSemtech Corporation Common Stock$521.7M$610.0M$530.4M$450.9M-40.0%-13.7%+33.7%+35.3%$57.26B0.08%
263PNCPNC Financial Services Group Inc. (The) Common Stock$417.3M$425.1M$400.1M$448.1M-25.1%-19.1%+9.1%-5.1%$56.91B0.08%
264KMBKimberly-Clark Corporation Common Stock$331.0M$350.2M$471.2M$447.1M-29.6%-33.4%+25.3%-21.7%$56.78B0.08%
265RVMDRevolution Medicines Inc. Common Stock$577.9M$492.1M$427.4M$446.7M-6.8%-5.7%+20.3%+10.2%$56.73B0.08%
266HPQHP Inc. Common Stock$423.9M$457.2M$575.9M$445.0M-43.1%-31.0%+40.5%+2.8%$56.51B0.08%
267BPBP p.l.c. Common Stock$437.5M$480.6M$450.3M$442.9M-17.5%+0.8%+20.7%+8.5%$56.25B0.08%
268MSIMotorola Solutions Inc. Common Stock$352.4M$343.8M$423.8M$441.3M-27.7%-34.3%-11.7%-22.1%$56.04B0.08%
269GDGeneral Dynamics Corporation Common Stock$464.4M$432.1M$430.9M$438.0M-18.9%-13.5%+21.1%-1.3%$55.63B0.08%
270CASYCasey's General Stores Inc. Common Stock$427.5M$420.7M$477.8M$437.9M-12.7%-9.6%+100.6%-3.9%$55.62B0.08%
271PCGPacific Gas & Electric Co. Common Stock$516.8M$591.8M$828.3M$435.4M-18.4%+41.7%+82.1%+35.9%$55.30B0.08%
272NTAPNetApp Inc. Common Stock$359.3M$375.2M$481.2M$435.0M-38.5%-26.0%+2.6%-13.7%$55.24B0.08%
273LHXL3Harris Technologies Inc. Common Stock$351.6M$365.4M$419.7M$432.2M-28.5%-25.4%-13.6%-15.5%$54.89B0.08%
274KRKroger Company (The) Common Stock$490.2M$454.4M$444.5M$420.3M-3.8%-21.7%+27.5%+8.1%$53.38B0.08%
275XELXcel Energy Inc. Common Stock$430.9M$394.6M$441.7M$418.2M-2.9%-24.4%+14.0%-5.6%$53.11B0.08%
276CTASCintas Corporation Common Stock$600.6M$514.5M$403.5M$405.0M+15.6%+14.4%-0.6%+27.0%$51.44B0.07%
277ILMNIllumina Inc. Common Stock$966.2M$862.7M$910.7M$403.6M-68.6%-59.3%+114.3%+113.7% 🔺$51.26B0.07%
278ALLAllstate Corporation (The) Common Stock$665.6M$755.0M$500.4M$403.1M-26.8%+56.9%+11.2%+87.3%$51.19B0.07%
279EQTEQT Corporation Common Stock$407.6M$441.1M$394.1M$401.5M-39.0%-12.8%+20.1%+9.8%$50.99B0.07%
280RKTRocket Companies Inc. Class A Common Stock$475.9M$508.1M$424.5M$400.3M-17.0%-10.8%+13.5%+26.9%$50.84B0.07%
281HBANHuntington Bancshares Incorporated Common Stock$554.0M$501.5M$476.2M$398.7M-2.1%-30.8%+24.6%+25.8%$50.64B0.07%
282IBKRInteractive Brokers Group Inc. Class A Common Stock$326.0M$335.0M$348.4M$395.4M-22.4%-17.5%-15.5%-15.3%$50.21B0.07%
283RIOTRiot Platforms Inc. Common Stock$438.0M$466.0M$355.1M$389.9M-17.9%+30.1%-23.8%+19.5%$49.52B0.07%
284FISVFiserv Inc. Common Stock$314.7M$339.8M$357.2M$389.5M-27.7%-2.5%-18.9%-12.7%$49.46B0.07%
285FICOFair Isaac Corporation Common Stock$401.9M$393.8M$408.2M$387.6M-22.0%+11.8%-4.8%+1.6%$49.23B0.07%
286VALEVALE S.A. American Depositary Shares Each Representing one common share$398.0M$344.5M$443.8M$383.5M+50.8%-14.6%+21.6%-10.2%$48.71B0.07%
287PCARPACCAR Inc. Common Stock$417.1M$537.8M$397.2M$382.4M-53.3%+9.5%-5.6%+40.6%$48.56B0.07%
288AJGArthur J. Gallagher & Co. Common Stock$390.7M$370.0M$349.1M$382.1M+7.8%+6.0%-0.8%-3.2%$48.53B0.07%
289SWKSSkyworks Solutions Inc. Common Stock$405.1M$402.3M$653.5M$382.0M-55.9%-62.6%+81.8%+5.3%$48.52B0.07%
290NTRANatera Inc. Common Stock$709.4M$693.9M$507.3M$376.4M-21.6%-8.3%+11.2%+84.3%$47.81B0.07%
291ORealty Income Corporation Common Stock$646.8M$568.5M$451.4M$370.8M+10.0%-4.2%+32.0%+53.3%$47.09B0.07%
292TEMTempus AI Inc. Class A Common Stock$672.5M$584.0M$500.7M$361.9M+24.0%-15.9%+17.6%+61.4%$45.96B0.07%
293ITWIllinois Tool Works Inc. Common Stock$366.2M$357.2M$334.5M$354.3M-12.2%+0.3%+5.6%+0.8%$45.00B0.06%
294STTState Street Corporation Common Stock$431.0M$464.0M$355.1M$347.5M-36.8%-4.1%+27.9%+33.5%$44.13B0.06%
295GISGeneral Mills Inc. Common Stock$450.8M$415.0M$372.5M$346.2M+2.6%+19.0%+22.3%+19.9%$43.97B0.06%
296FASTFastenal Company Common Stock$423.5M$366.0M$332.1M$346.2M+12.4%+7.2%-8.7%+5.7%$43.97B0.06%
297UUnity Software Inc. Common Stock$806.9M$609.6M$425.2M$344.2M+98.3%+88.2%-20.8%+77.1%$43.71B0.06%
298FITBFifth Third Bancorp Common Stock$372.1M$365.0M$302.7M$339.9M-9.5%-6.5%+0.6%+7.4%$43.17B0.06%
299YUMYum! Brands Inc.$344.4M$361.6M$325.9M$339.3M-27.6%-3.5%-18.0%+6.6%$43.09B0.06%
300PAYXPaychex Inc. Common Stock$569.5M$501.1M$376.8M$339.0M-10.6%+7.5%+22.9%+47.8%$43.05B0.06%
301PEverpure Inc. Class A common stock$881.8M$826.7M$773.3M$336.9M-70.9%-53.1%+130.7%+145.4% 🔺$42.78B0.06%
302MLMMartin Marietta Materials Inc. Common Stock$595.1M$525.4M$433.8M$336.5M+27.1%+22.7%+30.9%+56.1%$42.74B0.06%
303SREDBA Sempra Common Stock$268.3M$259.3M$331.0M$330.3M-18.8%-23.0%-4.4%-21.5%$41.95B0.06%
304WATWaters Corporation Common Stock$347.9M$330.3M$275.9M$329.2M-0.0%-1.3%-18.6%+0.3%$41.81B0.06%
305SYYSysco Corporation Common Stock$464.4M$396.3M$349.7M$327.6M+19.0%-27.6%+21.6%+21.0%$41.60B0.06%
306AFRMAffirm Holdings Inc. Class A Common Stock$347.5M$337.9M$462.2M$323.7M+12.7%+22.9%+116.3%+4.4%$41.11B0.06%
307GHGuardant Health Inc. Common Stock$328.6M$367.3M$316.5M$319.2M-29.7%-3.9%-14.4%+15.1%$40.54B0.06%
308ARESAres Management Corporation Class A Common Stock$256.5M$253.9M$280.3M$318.1M-48.0%-29.5%-14.4%-20.2%$40.39B0.06%
309IRIngersoll Rand Inc. Common Stock$462.8M$404.6M$326.2M$318.0M+9.2%-2.0%-4.5%+27.2%$40.38B0.06%
310EXEExpand Energy Corporation Common Stock$311.6M$327.3M$288.3M$317.0M-35.5%-19.3%+5.5%+3.3%$40.26B0.06%
311IQVIQVIA Holdings Inc. Common Stock$372.8M$379.1M$429.0M$316.8M-50.7%-39.4%+35.7%+19.7%$40.23B0.06%
312AMPAmeriprise Financial Inc. Common Stock$412.8M$425.5M$334.6M$304.1M-24.4%+2.1%+51.7%+39.9%$38.63B0.06%
313AAgilent Technologies Inc. Common Stock$503.1M$516.2M$406.4M$303.4M-17.6%+23.4%+42.6%+70.1%$38.53B0.06%
314MXLMaxLinear Inc. Common Stock$317.1M$322.9M$207.2M$301.4M-10.3%+44.4%+21.8%+7.1%$38.28B0.05%
315DKNGDraftKings Inc. Class A Common Stock$391.0M$398.3M$290.4M$300.1M-3.2%+42.1%-3.4%+32.7%$38.12B0.05%
316ELEstee Lauder Companies Inc. (The) Common Stock$291.6M$291.7M$308.7M$299.3M-24.2%+5.9%-4.0%-2.5%$38.01B0.05%
317AMEAMETEK Inc.$402.0M$370.9M$347.2M$293.9M+13.6%-1.4%+4.1%+26.2%$37.32B0.05%
318VIKViking Holdings Ltd Ordinary Shares$516.2M$521.4M$370.1M$288.1M-2.5%+58.4%+13.6%+81.0%$36.58B0.05%
319DTDynatrace Inc. Common Stock$454.9M$516.0M$383.4M$273.7M-26.2%+22.1%+8.3%+88.5%$34.76B0.05%
320LENLennar Corporation Class A Common Stock$395.7M$422.1M$362.6M$257.5M-35.1%-22.8%+82.6%+63.9%$32.71B0.05%
321DRIDarden Restaurants Inc. Common Stock$395.8M$366.5M$264.9M$253.2M+18.5%+31.9%+16.4%+44.8%$32.16B0.05%
322XYLXylem Inc. Common Stock New$287.4M$259.9M$288.3M$246.7M-5.2%-18.7%+46.8%+5.3%$31.33B0.04%
323MTDMettler-Toledo International Inc. Common Stock$316.1M$328.0M$299.8M$245.8M-34.6%-25.5%+21.2%+33.4%$31.22B0.04%
324WECWEC Energy Group Inc. Common Stock$360.1M$339.6M$268.6M$243.7M+1.5%+14.0%-2.5%+39.3%$30.95B0.04%
325CPCanadian Pacific Kansas City Limited Common Shares$312.1M$258.7M$192.9M$237.1M+73.5%+46.5%-22.5%+9.1%$30.11B0.04%
326ACGLArch Capital Group Ltd. Common Stock$417.0M$439.7M$412.8M$236.1M-29.4%-13.8%+159.1%+86.3%$29.98B0.04%
327OWLBlue Owl Capital Inc. Class A Common Stock$223.4M$187.5M$216.3M$233.4M+51.4%+16.2%-10.1%-19.6%$29.64B0.04%
328KGCKinross Gold Corporation Common Stock$313.0M$253.1M$226.8M$232.2M+82.1%+40.9%-8.9%+9.0%$29.49B0.04%
329SNXTD SYNNEX Corporation Common Stock$694.3M$536.6M$260.4M$211.1M+56.9%+86.0%+61.8%+154.2% 🔺$26.81B0.04%
330GDDYGoDaddy Inc. Class A Common Stock$530.0M$450.5M$263.9M$210.0M+31.6%+73.4%+29.4%+114.5% 🔺$26.67B0.04%
331AGNCAGNC Investment Corp. Common Stock$343.2M$320.3M$349.9M$202.3M-57.6%-48.7%+97.2%+58.3%$25.70B0.04%
332ROLRollins Inc. Common Stock$331.1M$282.9M$214.5M$200.3M+4.4%+2.4%+12.6%+41.3%$25.44B0.04%
333CRLCharles River Laboratories International Inc. Common Stock$385.3M$349.2M$271.8M$199.4M+15.4%+11.6%+2.2%+75.1%$25.32B0.04%
334FSLYFastly Inc. Class A Common Stock$535.0M$453.2M$201.7M$197.6M+89.2%+206.9%+21.6%+129.3% 🔺$25.10B0.04%
335BBBlackBerry Limited Common Stock$291.8M$251.7M$120.6M$196.3M+77.7%+193.3%+37.6%+28.2%$24.93B0.04%
336COOThe Cooper Companies Inc. Common Stock$275.0M$240.1M$276.0M$184.9M-4.3%-25.5%+110.8%+29.9%$23.48B0.03%
337GENGen Digital Inc. Common Stock$552.7M$432.7M$253.3M$172.5M+56.4%+67.3%+63.8%+150.9% 🔺$21.90B0.03%
338RVTYRevvity Inc. Common Stock$331.6M$340.5M$299.3M$170.8M-16.0%-20.4%+63.6%+99.3%$21.70B0.03%
339TWSTTwist Bioscience Corporation Common Stock$494.2M$446.9M$291.4M$162.3M+17.2%+24.0%+32.4%+175.4% 🔺$20.61B0.03%
340MGMMGM Resorts International Common Stock$386.1M$278.2M$140.7M$162.3M+118.6%+119.9%+34.9%+71.5%$20.61B0.03%
341HALOHalozyme Therapeutics Inc. Common Stock$297.5M$338.2M$244.5M$160.4M-54.1%-3.9%+4.1%+110.8%$20.37B0.03%
342TXG10x Genomics Inc. Class A Common Stock$299.1M$280.9M$200.9M$124.0M+23.2%+16.0%+9.1%+126.6% 🔺$15.74B0.02%
343VKTXViking Therapeutics Inc. Common Stock$730.8M$805.9M$241.4M$103.1M+14.5%+991.2%+288.8%+681.3% 🔺$13.10B0.02%
344DKDelek US Holdings Inc. Common Stock$301.7M$235.8M$206.8M$89.9M-23.1%-22.7%+112.6%+162.3% 🔺$11.42B0.02%
345GILGildan Activewear Inc. Class A Sub. Vot. Common Stock$170.4M$127.3M$72.5M$76.8M+160.4%+105.5%-4.4%+65.8%$9.75B0.01%
346GRALGRAIL Inc. Common Stock$198.3M$265.8M$119.3M$56.9M-39.1%+93.3%+119.8%+366.8% 🔺$7.23B0.01%
347GRMLGreenland Mines Ltd. Common Stock$520.9M$1.01B$243.0M$41.7M-55.4%+26440.9%+7118.7%+2321.7% 🔺$5.30B0.01%
348GLNDGreenland Energy Company Common Stock$544.2M$470.7M$114.4M$25.1M+114.6%+5655.8%+4441.3%+1777.8% 🔺$3.18B0.00%
349SRZNSurrozen Inc. Common Stock$149.0M$90.2M$24.6M$7.4M+6416.4%+2733.8%+310.3%+1111.4% 🔺$945.2M0.00%
350APUSApimeds Pharmaceuticals US Inc. Common Stock$233.5M$140.4M$33.6M$5.9M+18686.6%+25172.3%+4343.2%+2283.8% 🔺$748.0M0.00%