Industry List

Industry: Credit Services as of 05/18/2024
Industry Technical Rank:
Industry Technical Score:
Rank Symbol Company
Name
List RS
Rank
Close Vol
50 dma
1 CRBP
Corbus Pharmaceuticals Holdings, Inc.
99 42.87 305030.74
2 CSLMW
Cslm Acquisition Corp.
99 0.18
3 CVNA
Carvana Co. Class A
99 116.9 5237428.14
4 CZOO
Cazoo Group Ltd Class A O
99 6.89 2419277.78
5 DAVE
Dave Inc.
99 48.97 147553.26
6 DBD
Diebold Nixdorf Inco
99 42.25 163673.22
7 DOMA
Doma Holdings, Inc.
CWH 99 6.04 49857.98
8 DOYU
Douyu International Holdings Limited
99 9.82 205977.24
9 DSS
Dss, Inc.
99 1.61 7391.34
10 DTSS
Datasea Inc.
99 7.16 410430
11 DTSTW
Data Storage Corporation
99 0.77 7147.4
12 DAVEW
Dave Inc.
98 0.07 40511.4
13 DHACW
Digital Health Acquisition Corp.
98 0.15 14662.82
14 ELYM
Eliem Therapeutics, Inc
98 8.41 1078613.28
15 ENGNW
Engene Holdings Inc.
98 3.51 19690.18
16 CPHI
China Pharma Holdings, Inc.
97 0.3227 586629.22
17 CRDL
Cardiol Therapeutics Inc.
97 2.18 335106.08
18 DISTW
Distoken Acquisition Corporation
97 0.037 5031.02
19 DTST
Data Storage Corporation
97 5.6 56010.16
20 ENTX
Entera Bio Ltd.
97 2.34 0
21 COIN
Coinbase Global, Inc.
96 199.51 11582800.86
22 CRDF
Cardiff Oncology, Inc.
96 3.48 2353307.88
23 DELL
Dell Technologies Inc.
96 131.01 8875315.66
24 DOGZ
Dogness (international) Corporation
96 7.9 137537.98
25 EBS
Emergent Biosolutions, Inc.
96 5.36 5395213.82
26 EDSA
Edesa Biotech, Inc.
96 4.435 7579.44
27 CPOP
Pop Culture Group Co., Ltd
95 2.5 1652516.06
28 CRIS
Curis, Inc.
95 15.66 25595.98
29 CRNX
Crinetics Pharmaceuticals, Inc.
95 47.93 921993.56
30 CRVO
Cervomed Inc.
95 24.45 24113.26
31 DATSW
Datchat, Inc.
95 0.085 2475.88
32 DYN
Dyne Therapeutics, Inc.
95 26.62 1285181.26
33 CRS
Carpenter Technology Corporation
94 103.2 578417.18
34 CTV
Innovid Corp.
94 2.1 298523.1
35 DCPH
Deciphera Pharmaceuticals, Inc.
94 25.42 1904017.86
36 ELEV
Elevation Oncology, Inc.
94 3.54 1023774.08
37 EME
Emcor Group, Inc.
94 373.56 475072.84
38 ENGN
Engene Holdings Inc.
94 14.23 67480.2
39 DESP
Despegar.com, Corp. Ordin
93 12.12 939622.88
40 ELTX
Elicio Therapeutics, Inc.
93 9.65 57751.28
41 CRAI
Cra International,inc.
92 164.7 31315.24
42 CRESW
Cresud S.a.c.i.f. Y A.
92 0.6512 7885.92
43 CRWD
Crowdstrike Holdings, Inc.
92 319.18 3066803.36
44 CSLMR
Cslm Acquisition Corp.
92 0.18 5699.26
45 CURV
Torrid Holdings Inc.
92 5.76 73574.84
46 DOC
Healthpeak Properties, Inc.
92 19.57 7318322.14
47 DPSI
Decisionpoint Systems, Inc.
92 10.01 27735.3
48 DXPE
Dxp Enterprises, Inc.
SQZ 92 50.51 110912.14
49 EFTR
Effector Therapeutics, Inc.
92 2 424376.68
50 ELMD
Electromed, Inc.
CWH 92 17.11 35638.94
51 ELVN
Enliven Therapeutics, Inc.
92 24.49 332649.18
52 COYA
Coya Therapeutics, Inc.
91 8.08 94232.44
53 CXDO
Crexendo, Inc.
91 3.74 168612.74
54 DAKT
Daktronics, Inc.
91 11.25 465091.86
55 EAT
Brinker International, Inc.
91 60.94 1374221.7
56 CRON
Cronos Group Inc.
90 2.93 3632379.54
57 CSTE
Caesarstone Ltd.
90 6.33 100171.96
58 DNTH
Dianthus Therapeutics, Inc.
90 26.01 167290.52
59 DSGN
Design Therapeutics, Inc.
90 4.55 323596.52
60 DY
Dycom Industries, Inc.
90 149.73 259821.66
61 EDN
Empresa Distribuidora Y C
CWH 90 19.01 92518.1
62 EH
Ehang Holdings Limited
SQZ 90 17.94 1684963.2
63 CRBG
Corebridge Financial Inc.
89 29.01 4755939.38
64 CRMD
Cormedix Inc.
89 5.3 691269.84
65 CSL
Carlisle Companies Inco
89 414.69 313101.7
66 DATS
Datchat, Inc.
89 1.93 155872.76
67 DB
Deutsche Bank Ag
89 17.04 3447077.58
68 DLNG
Dynagas Lng Partners Lp
89 3.96 54613.32
69 EDU
New Oriental Education & Technology Group, Inc.
89 87.68 1762317
70 CR
Crane Company
88 142.36 233057.82
71 CREVW
Carbon Revolution Public Limited Company
88 0.08 14841.3
72 CREX
Creative Realities, Inc.
88 3.79 66170.98
73 CROX
Crocs, Inc.
88 142.94 1221554.78
74 CUBI
Customers Bancorp, Inc
SQZ 88 48.99 311520.62
75 CVLT
Commvault Systems, Inc.
88 108.36 307321.98
76 DSP
Viant Technology Inc.
88 8.88 190359
77 EGO
Eldorado Gold Corporation
88 15.07 1720282.22
78 EGY
Vaalco Energy, Inc.
88 6.04 1350577.02
79 ELAN
Elanco Animal Health Inco
CWH 88 17 4285627.6
80 COOP
Mr. Cooper Group Inc.
87 80.98 434575.84
81 CPNG
Coupang, Inc.
87 22.22 16105038.26
82 DAL
Delta Air Lines, Inc.
87 52.99 9728956.74
83 DIBS
1stdibs.com, Inc.
87 6.07 128043.4
84 DNOW
Dnow Inc.
87 13.78 1075022.18
85 ELDN
Eledon Pharmaceuticals, Inc.
87 2.19 183473.2
86 EML
Eastern Company (the)
87 28.25 21084.84
87 EMLDW
Ftac Emerald Acquisition Corp.
87 0.095 7141.64
88 ENV
Envestnet, Inc
CWH 87 65.75 546448.54
89 DKS
Draftkings Inc.
86 194.31 1232349.14
90 DTI
Drilling Tools International Corporation
86 5.47 58362.74
91 CRESY
Cresud S.a.c.i.f. Y A.
85 9.86 180893.54
92 CRH
Crh Plc Ordinary Shares
85 82.12 3355003.2
93 CSWI
Csw Industrials, Inc.
85 241.94 80336.04
94 CWBC
Community West Bancshares
85 17.14 47888.52
95 DCTH
Delcath Systems, Inc.
85 5.4 233246.46
96 DGP
Db Gold Double Long Etn D
85 54.64 11327.2
97 DPZ
Decisionpoint Systems, Inc.
85 510.24 585062.36
98 EPAC
Enerpac Tool Group Corp.
85 37.6 304591.94
99 COMP
Compass, Inc.
84 4.12 4765112.46
100 CRUS
Cirrus Logic, Inc.
84 107.78 402508.4
101 CW
Curtis
84 273.01 213453.48
102 CYTK
Cytokinetics, Inco
84 57.89 2054517.9
103 DDI
Doubledown Interactive Co., Ltd.
84 12.43 31394.64
104 DECK
Deckers Outdoor Corporation
84 850.67 463431.24
105 DMAC
Diamedica Therapeutics Inc.
84 3.19 42096.8
106 DNN
Denison Mines Corp Ordina
84 2.04 16027397.16
107 DVA
Davita Inc.
CWH 84 136.59 822354.58
108 COHR
Coherent Corp.
83 54.37 2051505.48
109 CRNT
Ceragon Networks Ltd.
83 2.67 553623.08
110 CTLT
Catalent, Inc.
83 55.8 1940815.5
111 DASH
Doordash, Inc.
83 116.51 3866039.02
112 DHC
Diversified Healthcare Trust
83 2.39 1107949.84
113 DKNG
Draftkings Inc.
83 43.21 10238339.94
114 ELF
E.l.f. Beauty, Inc.
83 161.73 1494615.56
115 EMO
Clearbridge Energy Midstream Opportunity Fund Inc.
83 42.47 19744.92
116 COF
Capital One Financial Corporation
82 142.2 2346625.36
117 COKE
Coca-cola Consolidated, Inc.
82 952.01 47192.58
118 CTAS
Cintas Corporation
CWH 82 690.11 372114.6
119 DDS
Datadog, Inc.
82 446.52 96292.66
120 EDRY
Eurodry Ltd.
82 21.825 8541.18
121 ENVA
Enova International, Inc.
82 62.89 243016.26
122 COST
Costco Wholesale Corporation
81 775.15 2065050.76
123 CRTO
Criteo S.a.
81 37.37 260056.02
124 CTMX
Cytomx Therapeutics, Inc.
81 1.89 7390130.56
125 CTR
Clearbridge Mlp And Midstream Total Return Fund In
81 42.72 14642.9
126 DOOR
Masonite International Co
81 132.77 676511.06
127 CPF
Central Pacific Financial
80 21.18 179018.74
128 CSR
D/b/a Centerspace
80 69.9 85864.96
129 CXW
Corecivic, Inc.
80 15.23 778551.86
130 DERM
Journey Medical Corporation
80 3.57 144119.12
131 DLX
Deluxe Corporation
80 22.91 207705.58
132 DOV
Dover Corporation
80 184.26 1003135.04
133 DRS
Leonardo Drs, Inc.
80 22.84 682456.34
134 EHC
Encompass Health Corporation
80 86.18 703225.54
135 DFS
Discover Financial Services
79 124.17 1406306.12
136 DOCU
Docusign, Inc.
79 59.76 2387745.94
137 DTM
Dt Midstream, Inc.
79 64.74 661098.26
138 EDF
Virtus Stone Harbor Emerging Markets Inco
79 5.44 157137.8
139 EMN
Eastman Chemical Company
79 101.02 1075712.44
140 CPG
Crescent Point Energy Cor
78 8.6 5811951.48
141 CSWC
Capital Southwest Corporation
78 26.73 258694.94
142 CYBR
Cyberark Software Ltd.
SQZ 78 234.02 459746.1
143 DAC
Danaos Corporation
78 83.25 89423.44
144 DHAIW
Dih Holding Us, Inc.
78 0.0423 100504.8
145 DUETW
Duet Acquisition Corp.
78 0.0341 281.9
146 EBAY
Ebay Inc.
78 51.99 6762091.8
147 EEX
Emerald Holding, Inc.
78 5.92 42295.14
148 ENTG
Entegris, Inc.
78 128.79 1396590.52
149 CRDO
Credo Technology Group Holding Ltd
77 17.76 1990230.64
150 DFH
Dream Finders Homes, Inc.
77 30.17 483429.42
151 CVCO
Cavco Industries, Inc.
76 372.2 57205
152 DAWN
Day One Biopharmaceuticals, Inc.
76 16.05 1208955.46
153 DHT
Dht Holdings, Inc.
76 12.15 1528983.52
154 DSGX
The Descartes Systems Group Inc.
76 97.41 191507.36
155 EMR
Emerson Electric Company
76 114.82 2793428
156 COLL
Collegium Pharmaceutical, Inc.
75 32.15 453870.3
157 CPRX
Catalyst Pharmaceuticals, Inc.
75 16.22 1408483.94
158 CTS
Cts Corporation
75 51.4 136342.28
159 DPCSW
Dp Cap Acquisition Corp I
75 0.05 579.98
160 EFSCP
Enterprise Financial Services Corporation
75 19.26 15630.78
161 ELTK
Eltek Ltd.
75 10.21 85982.72
162 COHN
Cohen & Company Inc.
74 9.05 15198.66
163 CRM
Salesforce, Inc.
74 277.52 5750447.7
164 CVE
Cenovus Energy Inc
74 20.42 10312943.8
165 DEI
Douglas Emmett, Inc.
74 14.44 1630007.98
166 ECL
Ecolab Inc.
74 231.75 1190036.92
167 EEFT
Euronet Worldwide, Inc.
74 114.07 280070.4
168 CPRT
Copart, Inc.
73 54.59 4509941.02
169 CSTL
Castle Biosciences, Inc.
73 24.25 263986.14
170 CWK
Cushman & Wakefield Plc O
73 10.57 1911215.6
171 DMA
Destra Mult
73 7.39 23190.26
172 ECOR
Electrocore, Inc.
73 7.25 12220.8
173 ENLC
Enlink Midstream, Llc
73 13.28 1908327.58
174 EOLS
Evolus, Inc.
73 12.61 664092.28
175 CSTM
Constellium Se Ordinary S
72 20.2 794989.28
176 CVEO
Civeo Corporation (canada)
72 24.81 75480
177 DCI
Donaldson Company, Inc.
72 74.61 529630.06
178 EARN
Ellington Credit Company
72 7.14 241794.84
179 ECO
Okeanis Eco Tankers Corp.
72 33.68 44237.92
180 CRVL
Corvel Corp.
71 260.41 33844
181 DCO
Ducommun Inco
71 56.63 88106.3
182 DORM
Dorman Products, Inc.
71 93.34 111342.14
183 DEC
Diversified Energy Compan
70 13.66 203647.44
184 DFIN
Donnelley Financial Solutions, Inc.
70 61.85 206348.38
185 DHI
D.r. Horton, Inc.
70 146.86 2564063.94
186 DLR
Digital Realty Trust, Inc.
70 143.09 2166760.92
187 CTBI
Community Trust Bancorp, Inc.
69 43.46 46444.5
188 CTRE
Caretrust Reit, Inc.
69 24.79 1287753.32
189 DD
Dupont De Nemours, Inc.
69 78.87 2358649.08
190 CURI
Curiositystream Inc.
68 1.11 86111.62
191 DO
Diamond Offshore Drilling, Inc.
68 14.45 1575167.98
192 EFX
Equifax, Inc.
68 244.73 884244.58
193 EMX
Emx Royalty Corporation
68 1.885 326907.16
194 CRL
Charles River Laboratories International, Inc.
66 228.41 512078
195 CWST
Casella Waste Systems, Inc.
66 96.47 268221.82
196 DOCN
Digitalocean Holdings, Inc.
66 37.67 1372341.86
197 EJH
66 0.718 1624598.48
198 CRK
Comstock Resources, Inc.
65 10.36 3898968.18
199 CURIW
Curiositystream Inc.
65 0.018 11372.1
200 CUZ
Cousins Properties Inco
65 23.81 1477461.58
201 DOW
Dow Inc.
65 59.36 5043818.78
202 EE
Excelerate Energy, Inc.
65 18.88 216499.22
203 ENSG
The Ensign Group, Inc.
65 117.74 275726.06
204 CRGY
Crescent Energy Company Class A
64 12.29 1735437
205 CWCO
Consolidated Water Co. Ltd.
64 28.35 156543.14
206 D
Dominion Energy, Inc.
64 53.04 5461736.52
207 DDOG
Datadog, Inc.
64 118.26 3821786.4
208 ELV
Elevance Health, Inc.
64 538.77 1013498.76
209 EOS
Eaton Vance Enhance Equity Inco
64 20.41 85840.62
210 CORT
Corcept Therapeutics Inco
63 27.53 1075797.9
211 CSGP
Costar Group, Inc.
63 88.58 2183245.14
212 DUK
Duke Energy Corporation (holding Company)
63 102.89 2937171.24
213 EIX
Edison International
63 74.44 1810533.7
214 ENLT
Enlight Renewable Energy Ltd.
63 18.17 32405.42
215 EOD
Allspring Global Dividend Opportunity Fund
63 4.77 131741.28
216 COP
Conocophillips
62 121.59 5171704.58
217 CSQ
Calamos Strategic Total Return Fund
62 16.01 196229.88
218 CVLY
Codorus Valley Bancorp, Inc
62 22.35 22861.08
219 CWEN
Clearway Energy, Inc.
62 26.89 937732.32
220 DVN
Devon Energy Corporation
62 49.9 7400307.86
221 DXCM
Dexcom, Inc.
62 124.95 2833001.04
222 EDAP
Edap Tms S.a.
62 7.1 39133.04
223 EOG
Eog Resources, Inc.
62 129.4 3464786.9
224 EOI
Eaton Vance Enhance Equity Inco
62 18.23 87429.42
225 CPT
Camden Property Trust
61 106.74 1031283.12
226 CTVA
Corteva, Inc.
61 57.3 3324823.8
227 CVBF
Cvb Financial Corporation
61 17.09 796797.18
228 CZWI
Citizens Community Bancorp, Inc.
61 11.07 32512.88
229 DC
Dakota Gold Corp.
61 2.7 210398.48
230 DMLP
Dorchester Minerals, L.p.
61 32.42 69626.24
231 EIC
Eagle Point Inco
61 16.21 136290.56
232 CPA
Copa Holdings, S.a. Class A
60 106 227668.66
233 CTRA
Coterra Energy Inc.
60 27.97 6536465.64
234 CX
Cemex, S.a.b. De C.v. Spo
60 7.95 7032174.36
235 CXT
Crane Nxt, Co.
60 60.57 331302.68
236 DCOMP
Dime Community Bancshares, Inc.
60 17.1586 8856.44
237 DTE
Dte Energy Company
60 115.31 1179869.62
238 EBC
Eastern Bankshares, Inc.
60 13.84 984784.94
239 ENS
Enersys
60 96.38 222165.16
240 COLM
Columbia Sportswear Company
59 84.77 526457.96
241 CPLP
Capital Product Partners L.p.
59 16.37 30530.68
242 CRVS
Corvus Pharmaceuticals, Inc.
59 2.11 255167.32
243 CUK
Carnival Plc Ads Ads
59 13.26 2068386.04
244 DHR
Danaher Corporation
59 251.61 2586721.16
245 DIS
Walt Disney Company (the)
59 105.83 11267749.52
246 EDR
Endeavor Group Holdings, Inc.
59 26.49 5101018.28
247 EEA
The European Equity Fund, Inc.
59 9.09 6888.32
248 EIG
Employers Holdings Inc
59 43.31 131026.08
249 EMF
Templeton Emerging Markets Fund
59 12.41 25864.06
250 EMKR
Emcore Corporation
59 1 0
251 CRCT
Cricut, Inc.
58 7.17 1013649.56
252 ED
Consolidated Edison, Inc.
58 97.64 1947068.78
253 ELME
Elme Communities
58 15.75 694767.98
254 DCF
Bny Mellon Alcentra Global Credit Inco
57 8.59 34767.9
255 DGX
Quest Diagnostics Inco
57 140.78 983201.08
256 DMF
Bny Mellon Municipal Inco
57 6.83 47534.14
257 DMO
Western Asset Mortgage Opportunity Fund Inc.
57 11.75 53597.98
258 DUOL
Duolingo, Inc.
57 180.99 962157.7
259 EFT
Eaton Vance Floating Rate Inco
57 13.4 97158
260 CVX
Chevron Corporation
56 164.53 7930899.22
261 DFP
Flaherty & Crumrine Dynamic Preferred And Inco
56 18.64 51321.14
262 DHAI
Dih Holding Us, Inc.
56 1.65 262031.06
263 DLY
Doubleline Yield Opportunities Fund
56 15.93 134070.56
264 ECDAW
Ecd Automotive Design, Inc.
56 0.031 2929.46
265 ENFN
Enfusion, Inc.
56 9.15 441581.66
266 DJP
Ipath Bloomberg Commodity
55 32.75 102808.04
267 EFR
Eaton Vance Senior Floatin
55 13.12 102953.26
268 ENB
Enbridge Inc
55 37.83 5620481.06
269 CSV
Carriage Services, Inc.
54 26.54 105024.42
270 DHY
Credit Suisse High Yield Bond Fund
54 2.05 364172.84
271 E
Eni S.p.a.
54 32.73 221819.04
272 CWT
California Water Service Group
53 52.62 406198.6
273 DCOM
Dime Community Bancshares, Inc.
53 19.75 221652.24
274 DINO
Hf Sincl
53 56.21 2317098.18
275 DSU
Blackrock Debt Strategies Fund, Inc.
53 11 158916.26
276 DX
Dynex Capital, Inc.
53 12.32 1265960.1
277 EBON
Ebang International Holdings Inc.
53 8.15 33949.04
278 ECAT
Blackrock Esg Capital Allocation Term Trust
53 16.76 200289.02
279 EIM
Eaton Vance Municipal Bond Fund
53 10.51 182877.62
280 ENIC
Enel Chile S.a. American Depositary Shares (each R
53 3.09 441055.38
281 DE
Deere & Company
52 407.99 1391940.56
282 DHF
Bny Mellon High Yield Strategies Fund
52 2.37 339501.6
283 COFS
Choiceone Financial Services, Inc.
51 25.3 8784.8
284 CPB
Campbell Soup Company
51 46.23 2541190.18
285 CPK
Chesapeake Utilities Corporation
51 110.37 106872.76
286 CPZ
Calamos Long/short Equity & Dynamic Inco
51 15.68 54821.14
287 CRGX
Cargo Therapeutics, Inc.
51 19.51 330756.66
288 CTO
Cto Realty Growth, Inc.
51 17.36 149460.36
289 DOLE
Dole Plc Ordinary Shares
51 12.22 436558.24
290 DPCS
Dp Cap Acquisition Corp I
51 11.14 2842.06
291 DSL
Doubleline Inco
51 12.7 376348.14
292 CPTN
Cepton, Inc.
50 3.0201 26939.46
293 DBI
Designer Brands Inc.
50 9.44 1430560.46
294 DK
Delek Us Holdings, Inc.
50 27.5 1145846.74
295 EC
Ecopetrol S.a. American D
50 11.66 2071884.9
296 EMD
Western Asset Emerging Markets Debt Fund Inc
50 9.26 205224.24
297 CPAC
Cementos Pacasmayo S.a.a. American Depositary Shar
49 5.51 7203.32
298 CPHC
Canterbury Park Holding Corporation
49 22.83 3352.42
299 CSX
Csx Corporation
49 34.52 12113347.18
300 CYTO
Altamira Therapeutics Ltd.
49 1.44 1459376.82
301 EBMT
Eagle Bancorp Montana, Inc.
49 13 8208.38
302 COLB
Columbia Banking System, Inc.
48 20.22 2872205.3
303 CTRN
Citi Trends, Inc.
48 23.51 92332.9
304 DPG
Duff & Phelps Utility And Infrastructure Fund Inc.
48 9.91 141964.54
305 ELLO
Ellomay Capital Ltd Ordin
48 15.15 5793.9
306 CSLM
Cslm Acquisition Corp.
47 11.12 44419.4
307 CXE
Mfs High Inco
47 3.605 59414.72
308 CP
Canadian Pacific Kansas City Limited
46 82.03 2010720.78
309 CRWS
Crown Crafts, Inc.
46 5.05 13317.28
310 CWAN
Clearwater Analytics Holdings, Inc.
46 18.43 1390738.72
311 DBL
Doubleline Opportunistic Credit Fund
46 15.19 54589.58
312 ECBK
Ecb Bancorp, Inc.
46 12.2699 5692.98
313 ECCC
Eagle Point Credit Company Inc.
46 22.3 11130.1
314 EFOI
Energy Focus, Inc.
45 1.65 13566.26
315 EFSC
Enterprise Financial Services Corporation
45 39.85 131463.92
316 ENX
Eaton Vance New York Municipal Bond Fund
45 9.69 20435.22
317 DSM
Bny Mellon Strategic Municipal Bond Fund, Inc.
44 5.71 127363.82
318 EMLD
Ftac Emerald Acquisition Corp.
44 10.62 572639.46
319 CTGO
Contango Ore, Inc.
43 18.66 33927.98
320 CXH
Mfs Investment Grade Municipal Trust
43 7.51 16932.2
321 DDL
Dingdong (cayman) Limited
43 1.82 424244.74
322 DHCNL
Diversified Healthcare Trust
43 14.48 12185.88
323 DUET
Duet Acquisition Corp.
43 11.02 307.62
324 ECCW
Eagle Point Credit Company Inc.
43 24.1 1941.6
325 EG
Everest Group, Ltd.
43 381.18 333912.98
326 CUBB
Customers Bancorp, Inc
42 19.4623 1877.08
327 DIST
Distoken Acquisition Corporation
42 10.72 38093.58
328 DLB
Dolby Laboratories
42 82.22 323093.22
329 DMYY
Dmy Squared Technology Group, Inc.
42 10.7 1735.76
330 DPCSU
Dp Cap Acquisition Corp I
42 10.71 24.04
331 DUETU
Duet Acquisition Corp.
42 10.9 0
332 ECCV
Eagle Point Credit Company Inc.
42 22.39 5824.46
333 COR
Cencora, Inc.
41 222.92 1258123.32
334 CRF
Cornerstone Total Return Fund, Inc.
41 7.55 709234.68
335 CSWCZ
Capital Southwest Corporation
41 25.78 7240.8
336 CYH
Community Health Systems, Inc.
41 3.43 1813731.62
337 DHACU
Digital Health Acquisition Corp.
41 13.3 3.22
338 EAD
Allspring Inco
41 6.5 182246.68
339 CUBE
Cubesmart
40 42.37 1404099.16
340 CYTH
Cyclo Therapeutics, Inc.
40 1.4 75198.12
341 DRD
Drdgold Limited American
40 8.54 363650.56
342 DRH
Diamondrock Hospitality Company
40 8.47 1899633.46
343 ECPG
Encore Capital Group Inc
40 47.31 176393.5
344 COGT
Cogent Biosciences, Inc.
39 7.35 1558921.24
345 COTY
Coty Inc.
39 11.17 3900419.98
346 DIAX
Nuveen Dow 30sm Dynamic Overwrite Fund
39 14.31 78204.36
347 ECCX
Eagle Point Credit Company Inc.
39 24.21 4370.26
348 ECVT
Ecovyst Inc.
39 9.67 873699.62
349 EMLDU
Ftac Emerald Acquisition Corp.
39 10.58 0.04
350 DAN
Dana Inco
38 13.57 1504100.08
351 DNB
Dun & Bradstreet Holdings, Inc.
38 10.55 3636060.7
352 EHI
Western Asset Global High Inco
38 7.05 46381.28
353 ELVA
Electrovaya Inc.
38 3.54 22863.82
354 CPBI
Central Plains Bancshares, Inc.
37 10.03 3375.58
355 CVLG
Covenant Logistics Group, Inc.
37 46.66 72934.88
356 CYCN
Cyclerion Therapeutics, Inc.
37 3.15 2406.64
357 DDT
Datadog, Inc.
37 25.8422 9083.64
358 DTF
Dtf Tax-free Inco
37 10.91 17497.9
359 EBF
Ennis, Inc.
37 20.56 126827.9
360 EICA
Eagle Point Inco
37 23.25 2817.34
361 CRML
Critical Metals Corp.
36 8.68 0
362 CRMLW
Critical Metals Corp.
36 0.1152 0
363 CTNM
Contineum Therapeutics, Inc.
36 15.48 0
364 CTRI
Centuri Holdings, Inc.
36 24.73 0
365 CTRM
Castor Maritime Inc.
36 3.85 0
366 DXYZ
Destiny Tech100 Inc.
36 16.04 0
367 DYCQ
Dt Cloud Acquisition Corporation
36 10.16 0
368 DYCQR
Dt Cloud Acquisition Corporation
36 0.18 0
369 DTIL
Precision Biosciences, Inc.
35 11.5 0
370 COOT
Australian Oilseeds Holdings Limited
34 1.11 0
371 COOTW
Australian Oilseeds Holdings Limited
34 0.0384 0
372 CPAY
Corpay, Inc.
34 287.51 0
373 CTEST
Nyse Test One
34 25 71
374 DHAC
Digital Health Acquisition Corp.
34 11.6 5529.72
375 DJT
Trump Media & Technology Group Corp.
34 51.65 0
376 DJTWW
Trump Media & Technology Group Corp.
34 23.9 0
377 DYCQU
Dt Cloud Acquisition Corporation
34 10.49 20791.62
378 ECC
Eagle Point Credit Company Inc.
34 10.15 691471.14
379 EICC
Eagle Point Inco
34 24.99 0
380 ENTA
Enanta Pharmaceuticals, Inc.
34 12.91 204522.9
381 CSLMU
Cslm Acquisition Corp.
33 10.72 0
382 CULL
Cullman Bancorp, Inc.
33 10.48 2739.14
383 DHCNI
Diversified Healthcare Trust
33 13.11 66272.58
384 DIOD
Diodes Inco
33 70.94 310570
385 DSX
Diana Shipping Inc.
33 3.17 607691.3
386 DXR
Daxor Corporation
33 9.4 2895.62
387 CORZ
Core Scientific, Inc.
32 3.635 3530174.38
388 DNLI
Denali Therapeutics Inc.
32 19.3 1147506.84
389 DSGR
Distribution Solutions Group, Inc.
32 34.11 65557.42
390 DTCK
Davis Commodities Limited
32 1.1 249959.08
391 ECF
Ellsworth Growth And Inco
32 7.945 46870.3
392 EDD
Morgan Stanley Emerging Markets Domestic Debt Fund
32 4.63 218319.14
393 EICB
Eagle Point Inco
32 24.75 4847.94
394 ELA
Envela Corporation
32 4.61 41291.7
395 EOT
Eaton Vance Municipal Inco
32 16.52 37349.04
396 CTLP
Cantaloupe, Inc.
31 6.37 290217
397 CVGW
Calavo Growers, Inc.
31 28.38 169274.44
398 DHIL
Diamond Hill Investment Group, Inc.
31 155.26 16830.44
399 DMB
Bny Mellon Municipal Bond Infrastructure Fund, Inc
31 10.22 63491.8
400 ECCF
Eagle Point Credit Company Inc.
31 24.91 11626.78
401 ENO
Entergy New Orleans, Llc
31 22.95 5132.8
402 CRC
California Resources Corporation
30 48.22 1046329.56
403 CTSH
Cognizant Technology Solutions Corporation
30 67.87 4704867.94
404 DAR
Darling Ingredients Inc.
30 46.63 2138822.66
405 DEA
Easterly Government Properties, Inc.
30 12.08 917000.76
406 DOOO
Brp Inc.
30 69.22 128862.66
407 DTW
Dte Energy Company 2017 S
30 23.08 32092.1
408 DUKB
Duke Energy Corporation 5
30 24.16 30167.8
409 EFXT
Enerflex Ltd
30 5.11 276276.06
410 CRI
Crh Plc Ordinary Shares
29 71.14 880061.3
411 DOX
Amdocs Limited
29 84 717214.94
412 CPS
Cooper-standard Holdings Inc.
28 14.71 116053.52
413 CSCO
Cisco Systems, Inc.
28 48.68 18186293.26
414 CYBN
Cybin Inc.
28 0.3439 5648001.9
415 DGII
Digi International Inc.
28 27.05 160900.66
416 DSWL
Deswell Industries, Inc.
28 2.38 5602.52
417 DYAI
Dyadic International, Inc.
28 1.53 21810.62
418 EA
Electronic Arts Inc.
28 126.58 2155680.14
419 EAI
Entergy Arkansas, Llc Fir
28 21.56 31123.52
420 ELC
Entergy Louisiana, Inc.
28 21.58 15620.2
421 EMP
Entergy Mississippi, Llc
28 21.81 12948.76
422 DNP
Dnp Select Inco
27 8.96 563509.28
423 EFC
Ellington Financial Inc.
27 11.75 898642.46
424 EFSH
1847 Holdings Llc
27 1.6 285603.4
425 EGAN
Egain Corporation
27 6.11 94019.42
426 ELSE
Electro-sensors, Inc.
27 4 2627.3
427 ENJ
Entergy New Orleans, Llc
27 21.4901 1520.96
428 CXM
Sprinklr, Inc.
26 12.18 3156693.54
429 DG
Dollar General Corporation
26 137.93 2326820.88
430 DRI
Darden Restaurants, Inc.
26 149.06 1325518.24
431 EGF
Blackrock Enhanced Government Fund, Inc.
26 9.26 10248.74
432 DBRG
Digitalbridge Group, Inc.
25 14.65 2408027.54
433 DTG
Dte Energy Company 2021 S
25 19.48 20181.16
434 EBR
Centrais Electricas Brasileiras S A American Depos
25 7.39 1122681.94
435 EDV
Vanguard Extended Duratio
25 71.5 433438.02
436 CQP
Cheniere Energy Partners, Lp
24 47 194701.12
437 CZNC
Citizens & Northern Corp
24 17.67 23803.26
438 DALN
Dallasnews Corporation
24 3.67 22664.32
439 DT
Dynatrace, Inc.
24 45.92 3604603.86
440 DTB
Dte Energy Company 2020 S
24 19.31 12841.94
441 EGP
Eastgroup Properties, Inc.
24 163.02 312171.2
442 ELS
Equity Lifestyle Properties, Inc.
24 62.45 1281868.6
443 ENOV
Enovis Corporation
24 51.71 488278.68
444 ENPH
Enphase Energy, Inc.
24 110.78 3753746.96
445 CRSP
Crispr Therapeutics Ag
23 55.65 1399991.72
446 CYRX
Cryoport, Inc.
23 13.28 519902.92
447 DAO
Youdao, Inc.
23 3.86 129487.6
448 DCBO
Docebo Inc.
23 36.26 109708.06
449 DEO
Diageo Plc
23 142.57 721335.16
450 DNUT
Krispy Kreme, Inc.
23 12.32 3486996.92
451 EGBN
Eagle Bancorp, Inc.
23 19.97 354876.68
452 EGHT
8x8 Inc
23 2.68 1191001.5
453 ENR
Energizer Holdings, Inc.
23 30.06 513921.18
454 EP
Empire Petroleum Corporation
23 6.68 67293.38
455 CVI
Cvr Energy Inc.
22 28.55 933942.1
456 CWH
Camping World Holdings, Inc.
22 22.12 1028631.66
457 DGICA
Donegal Group, Inc.
22 13.17 62660.54
458 DGICB
Donegal Group, Inc.
22 12.45 561.48
459 DHX
Dhi Group, Inc.
22 2.44 228939.72
460 EL
Estee Lauder Companies, Inc.
22 134.71 2572347.58
461 CVR
Chicago Rivet & Machine Co.
21 16.25 2026.52
462 DIN
Dine Brands Global, Inc.
21 43.93 327815.48
463 DXC
Dxc Technology Company
21 19.53 2008572.92
464 EBTC
Enterprise Bancorp Inc
21 24.88 27286.4
465 CPIX
Cumberland Pharmaceuticals Inc.
20 1.59 9365.42
466 CTBB
Qwest Corporation 6.5% No
20 9.84 74946.32
467 CTDD
Qwest Corporation 6.75% N
20 9.95 43624.94
468 CYD
China Yuchai International Limited
20 8.21 13326.74
469 DAY
Dayforce, Inc.
20 61.85 1536373.02
470 DGZ
Db Gold Short Etn Due Feb
20 8.9824 2356.34
471 DLO
Dlocal Limited
20 13.42 1231740.68
472 DOMH
Dominari Holdings Inc.
20 2.05 13240.1
473 COHU
Cohu, Inc.
19 29.39 309662.06
474 CPSS
Consumer Portfolio Services, Inc.
19 8.17 25317.64
475 CVU
Cpi Aerostructures, Inc.
19 2.72 41983.14
476 DFLIW
Dragonfly Energy Holdings Corp
19 0.0548 16524.92
477 DLTR
Dollar Tree, Inc.
19 120.2 3078299.4
478 DRIO
Dariohealth Corp.
19 1.75 120212.72
479 DVAX
Dynavax Technologies Corporation
19 11.03 2078452.46
480 ELUT
Elutia, Inc.
19 3.42 13871.84
481 COOK
Traeger, Inc.
18 2.3 323473.32
482 CTKB
Cytek Biosciences, Inc.
18 6.18 786275.78
483 DBX
Dropbox, Inc.
18 23.79 3986990.08
484 DKL
Delek Logistics Partners, L.p.
18 38.55 113394.74
485 DRRX
Durect Corporation
18 1.07 200513.94
486 DWSN
Dawson Geophysical Company
18 1.4 17743.9
487 EAF
Graftech International Ltd.
18 1.8 3125430.58
488 EDTK
Skillful Craftsman Education Technology Limited
18 0.92 40355.04
489 EHAB
Enhabit, Inc.
18 8.64 657676.3
490 ELP
Companhia Paranaense De Energia (copel) American D
18 7.11 290873.48
491 COLD
Americold Realty Trust, Inc.
17 23.7 2585520.22
492 CONN
Compass, Inc.
17 3.54 138853.72
493 CRGO
Freightos Limited
17 2.21 19031.68
494 CSBR
Champions Oncology, Inc.
17 4.73 3584.64
495 CVV
Cvd Equipment Corporation
17 5.045 19848.66
496 DOCS
Doximity, Inc.
17 22.99 1374756.02
497 DRQ
Dril-quip, Inc.
17 19.24 268491.62
498 EKSO
Ekso Bionics Holdings, Inc.
17 1.38 148647.82
499 ELPC
Companhia Paranaense De Energia (copel) American D
17 6.3 42149.78
500 CORZZ
Core Scientific, Inc.
16 2.5 163814.86
501 CRMT
Critical Metals Corp.
16 63.04 123796.68
502 CSGS
Csg Systems International, Inc.
16 43.25 280325.96
503 CUBA
The Herzfeld Caribbean Basin Fund, Inc.
16 2.46 94444.42
504 CULP
Culp, Inc.
16 4.32 21527.94
505 DAIO
Data I/o Corporation
16 2.85 18401.06
506 DGHI
Digihost Technology Inc.
16 1.33 95585.48
507 DLHC
Dlh Holdings Corp.
16 10.92 43289.3
508 CZR
Caesars Entertainment, Inc.
15 36.27 3428912.78
509 DENN
Dell Technologies Inc.
15 8.06 466846.32
510 EMBC
Embecta Corp.
15 14.18 439322.2
511 CREG
Smart Powerr Corp.
14 1.015 29505.64
512 DIT
Amcon Distributing Company
14 157.45 313.5
513 DLTH
Duluth Holdings Inc.
14 4.37 61765.14
514 DRMAW
Dermata Therapeutics, Inc.
14 0.0169 4191.9
515 DRTSW
Alpha Tau Medical Ltd.
14 0.2317 5142.92
516 EEIQ
Epicquest Education Group International Limited
14 1.02 6478.16
517 CSAN
Cosan S.a. Ads
13 11.17 403724.82
518 CSLRW
Complete Solaria, Inc.
13 0.0351 9093.84
519 CTM
Castellum, Inc.
13 0.289 134582.04
520 CVS
Cvs Health Corporation
13 56.47 11518369.26
521 CZFS
Citizens Financial Services, Inc.
13 43.66 6296.16
522 DRTS
Alpha Tau Medical Ltd.
13 2.65 36931.22
523 DXLG
Destination Xl Group, Inc.
13 3.31 261051.76
524 CPRI
Capri Holdings Limited Or
12 35.76 1538436.08
525 CRSR
Corsair Gaming, Inc.
12 10.82 330657.92
526 CSPI
Csp Inc.
12 13.48 105458.48
527 CVGI
Commercial Vehicle Group, Inc.
12 5.5 117408.2
528 CYTHW
Cyclo Therapeutics, Inc.
12 0.25 1235.36
529 DRVN
Driven Brands Holdings Inc.
12 11.24 1294148.1
530 DXF
Dunxin Financial Holdings
12 0.2428 175469.82
531 DZZ
Db Gold Double Short Etn
12 1.9744 8018.78
532 CRGOW
Freightos Limited
11 0.07 8193.52
533 CRT
Cross Timbers Royalty Trust
11 14.06 45881.78
534 CTOS
Custom Truck One Source, Inc.
11 4.56 727408.7
535 DISTR
Distoken Acquisition Corporation
11 0.09555 1261.98
536 EHTH
Ehealth, Inc.
11 5.4 249642.4
537 ENSV
Enservco Corporation
11 0.20642 814918.12
538 DLPN
Dolphin Entertainment, Inc.
10 1.16 48825.96
539 DMRC
Digimarc Corporation
10 23.98 175254.52
540 DQ
Daqo New Energy Corp. Ame
10 18.82 1464263.88
541 ENVX
Enovix Corporation
10 8.78 5425650.54
542 ENZ
Enzo Biochem, Inc.
10 1.09 97022.4
543 CORZW
Core Scientific, Inc.
9 1.26 210376.78
544 CRBU
Caribou Biosciences, Inc.
9 3.71 1716354.04
545 CREV
Carbon Revolution Public Limited Company
9 11.3 4998.74
546 CTNT
Cheetah Net Supply Chain Service Inc.
9 1.19 85958.7
547 CVM
Ce
9 1.42 338150.56
548 DM
Desktop Metal, Inc.
9 0.6104 3047406.62
549 EDIT
Editas Medicine, Inc.
9 5.71 2071988.48
550 CPSH
Cps Technologies Corp.
8 1.74 40464.42
551 DADA
Dada Nexus Limited
8 1.91 1662829.64
552 DDD
3d Systems Corporation
8 3.73 1677386.66
553 CSIQ
Canadian Solar Inc.
7 16.06 1738742.46
554 CTCX
Carmell Corporation
7 2.1799 6759.32
555 DOMO
Domo, Inc.
7 7.35 414299.06
556 EB
Eventbrite, Inc.
7 5.44 2197313.98
557 CUE
Cue Biopharma, Inc.
6 1.65 283864.02
558 CWD
Calibercos Inc.
6 0.8166 25145.48
559 DH
Definitive Healthcare Corp.
6 5.43 707314.94
560 DNA
Ginkgo Bioworks Holdings, Inc.
6 0.8407 38043357.22
561 DNMR
Danimer Scientific, Inc.
6 0.7953 866697.66
562 DUOT
Duos Technologies Group, Inc.
6 2.55 31651.06
563 COUR
Coursera, Inc.
5 8.69 1978145.74
564 CTSO
Cytosorbents Corporation
5 0.8348 105030.26
565 CVAC
Curevac N.v.
5 2.97 758451
566 DCGO
Docgo Inc.
5 3.16 1025079.52
567 DRUG
Bright Minds Biosciences Inc.
5 1.1 20613.88
568 DV
Doubleverify Holdings, Inc.
5 19.29 2796369.7
569 ENLV
Enlivex Therapeutics Ltd.
5 1.46 207178.56
570 CPTNW
Cepton, Inc.
4 0.0094 4803.9
571 CUTR
Cutera, Inc.
4 2.23 1059673.16
572 DAVA
Endava Plc American Depos
4 30.46 850020
573 DOUG
Douglas Elliman Inc.
4 1.12 928737.52
574 DTC
Solo Brands, Inc.
4 2 608446.84
575 ECXWW
Ecarx Holdings Inc.
4 0.0202 17505.74
576 EOSE
Eos Energy Enterprises, Inc.
4 0.7202 5144577.7
577 CTCXW
Carmell Corporation
3 0.0975 7258.86
578 DDC
Ddc Enterprise Limited Cl
3 0.788 33627.1
579 ECX
Ecarx Holdings Inc.
3 1.68 68223.44
580 COMM
Commscope Holding Company, Inc.
2 1.03 3713786.96
581 CVRX
Cvrx, Inc.
2 7.69 214115.24
582 EOSEW
Eos Energy Enterprises, Inc.
2 0.1195 14238.48
583 COO
The Cooper Companies, Inc.
1 92.83 1117978.7
584 CRNC
Cerence Inc.
1 5.1 674302.8
585 DLA
Delta Apparel, Inc.
1 1.64 25203.2
586 EFTRW
Effector Therapeutics, Inc.
1 0.021 30836.1