TNTradingNote AI
Back to daily briefing

Why it matters

This signal is selected by portfolio impact within the manager filing, while the full filing change list remains available in the briefing.

Full Filing Changes

1134 changes from Ken Fisher (Fisher Asset Management), filed 2026-05-05 for period end 2026-03-31.

$294.9B portfolio value
StockActionChangeCurrentPortfolio Impact
594918104
MICROSOFT CORP
Reduced-$2.6B$9.6B0.89%
G0593M107
ASTRAZENECA PLC
New$2.1B$2.1B0.73%
46353108
ASTRAZENECA PLC ADR
Sold out-$2.0B$00.67%
00287Y109
ABBVIE INC
Increased$1.8B$2.0B0.62%
30231G102
EXXON MOBIL CORP
Increased$1.7B$5.5B0.57%
717081103
PFIZER INC
Increased$1.7B$2.9B0.56%
149123101
CATERPILLAR INC
Increased$1.5B$6.9B0.50%
00724F101
ADOBE INC
Reduced-$1.4B$30.4M0.46%
2824100
ABBOTT LABORATORIES
Reduced-$1.4B$77.2M0.46%
N07059210
ASML HLDG NV NYS
Increased$1.3B$6.1B0.43%
166764100
CHEVRON CORPORATION
Increased$1.3B$4.5B0.43%
17275R102
CISCO SYS INC
Increased$1.1B$1.3B0.37%
66987V109
NOVARTIS A G SPONSORED ADR ADR
Increased$1.1B$2.1B0.37%
803054204
SAP SE ADR
Reduced-$1.1B$2.5B0.37%
464287440
ISHARES TR 7 10YR TR BD ETF
Increased$1.1B$14.0B0.36%
863667101
STRYKER CORPORATION
Reduced-$945.0M$150.7M0.32%
101137107
BOSTON SCIENTIFIC CORP
Reduced-$843.1M$28.3M0.29%
55622104
BP PLC SPONSORED ADR ADR
Increased$824.1M$3.1B0.28%
874039100
TAIWAN SEMICONDUCTOR MANUF ADR
Increased$777.2M$6.3B0.26%
136385101
CANADIAN NAT RES LTD MED TERM
Increased$747.1M$2.2B0.25%
88635A204
PBB WORLD BIOPHARMA ETF
New$716.7M$716.7M0.24%
02079K305
ALPHABET INC CLASS A
Reduced-$697.8M$11.2B0.24%
05964H105
BANCO SANTANDER SA ADR
Reduced-$690.5M$445.8M0.23%
88635A303
PBB GLOBAL OIL GAS EP ETF
New$675.9M$675.9M0.23%
37833100
APPLE INC
Reduced-$670.7M$14.3B0.23%
464289180
ISHARES MSCI EUROPE FN ETF
Reduced-$670.5M$702.5M0.23%
23135106
AMAZON COM INC COM
Reduced-$634.3M$7.1B0.22%
461202103
INTUIT
Reduced-$633.2M$879.9M0.21%
20825C104
CONOCOPHILLIPS
Increased$618.9M$2.0B0.21%
67066G104
NVIDIA CORP COM
Reduced-$604.9M$15.4B0.21%
35671D857
FREEPORT MCMORAN INC
Increased$581.5M$3.8B0.20%
464287325
ISHARES GLOBAL HEALTH CARE ETF
Reduced-$570.9M$211.5M0.19%
931142103
WALMART INC
Increased$566.5M$5.1B0.19%
58933Y105
MERCK CO INC
Increased$561.9M$3.2B0.19%
780259305
SHELL PLC ADR
Increased$560.7M$2.6B0.19%
25816109
AMERICAN EXPRESS CO
Reduced-$540.2M$2.8B0.18%
30303M102
META PLATFORMS INC CL A
Reduced-$538.2M$3.8B0.18%
835699307
SONY GROUP CORP ADR
Reduced-$499.9M$2.3B0.17%
532457108
ELI LILLY CO
Reduced-$499.6M$4.5B0.17%
14040H105
CAPITAL ONE FINL CORP
Reduced-$480.7M$1.2B0.16%
22160K105
COSTCO WHOLESALE CORPORATION
Increased$469.3M$3.2B0.16%
867224107
SUNCOR ENERGY INC NEW
Increased$449.7M$1.2B0.15%
81762P102
SERVICENOW INC
Reduced-$439.6M$839.8M0.15%
88635A105
PBB EUROPE BANKS ETF
New$436.2M$436.2M0.15%
478160104
JOHNSON JOHNSON
Increased$429.5M$2.3B0.15%
464287341
ISHARES GLOBAL ENERGY ETF
Reduced-$414.5M$203.1M0.14%
68389X105
ORACLE CORP
Reduced-$408.7M$1.4B0.14%
79466L302
SALESFORCE INC
Reduced-$406.9M$726.5M0.14%
H42097107
UBS GROUP AG
Reduced-$387.3M$2.6B0.13%
244199105
DEERE CO
Increased$377.4M$1.7B0.13%
F92124100
TOTALENERGIES SE ACT
Increased$369.2M$1.6B0.13%
46120E602
INTUITIVE SURGICAL INC
Reduced-$367.5M$1.8B0.12%
6.738E+207
BARCLAYS PLC ADR
Reduced-$349.0M$1.9B0.12%
92206C870
VANGUARD FDS INT TERM CORP
Increased$348.1M$7.4B0.12%
92826C839
VISA INC
Reduced-$331.4M$2.3B0.11%
91324P102
UNITEDHEALTH GROUP INC
Reduced-$330.2M$1.4B0.11%
88606108
BHP GROUP LTD SPONSORED AD ADR
Increased$323.7M$1.7B0.11%
767204100
RIO TINTO PLC ADR
Increased$306.5M$1.9B0.10%
7.5513E+105
RTX CORPORATION COM
Increased$292.9M$4.3B0.10%
L8681T102
SPOTIFY TECHNOLOGY S A
Reduced-$292.6M$1.3B0.10%
57636Q104
MASTERCARD INCORPORATED
Reduced-$284.2M$2.2B0.10%
37733W204
GSK PLC SPONSORED ADR ADR
Increased$277.4M$1.9B0.09%
31162100
AMGEN INC
Increased$259.4M$555.2M0.09%
11135F101
BROADCOM INC COM
Reduced-$244.4M$4.5B0.08%
09290D101
BLACKROCK INC COM
Reduced-$239.9M$1.7B0.08%
G51502105
JOHNSON CTLS INTL PLC SHS
Increased$230.6M$2.3B0.08%
617446448
MORGAN STANLEY
Reduced-$228.5M$4.2B0.08%
883556102
THERMO FISHER SCIENTIFIC INC
Reduced-$216.4M$1.4B0.07%
D18190898
DEUTSCHE BK AG GRS
Reduced-$210.9M$845.6M0.07%
456837103
ING GROEP NV ADR
Reduced-$195.4M$1.3B0.07%
38141G104
GOLDMAN SACHS GROUP INC
Reduced-$176.4M$5.8B0.06%
89677Q107
TRIP COM GROUP LTD ADR
Sold out-$174.8M$00.06%
670100205
NOVO NORDISK A S ADR
Reduced-$166.3M$331.5M0.06%
60505104
BANK OF AMER CORP
Reduced-$162.3M$2.8B0.06%
126408103
CSX CORP
Increased$157.3M$1.1B0.05%
291011104
EMERSON ELEC CO
Increased$156.6M$1.1B0.05%
46625H100
JPMORGAN CHASE CO
Reduced-$154.9M$5.0B0.05%
35473P744
FRANKLIN FTSE JAPAN ETF
Increased$148.3M$148.6M0.05%
05946K101
BANCO BILBAO VIZCAYA ARGEN ADR
Reduced-$147.9M$643.6M0.05%
235851102
DANAHER CORP DEL COM
Reduced-$144.6M$873.4M0.05%
606822104
MITSUBISHI UFJ FINANCIAL G ADR
Increased$144.5M$1.6B0.05%
231021106
CUMMINS INC
Increased$140.5M$1.9B0.05%
904767803
UNILEVER PLC ADR
Reduced-$139.5M$1.2B0.05%
01609W102
ALIBABA GROUP HLDG LTD ADR
Reduced-$139.5M$642.6M0.05%
55024U109
LUMENTUM HLDGS INC
Reduced-$135.4M$62.1M0.05%
713448108
PEPSICO INC COM
Increased$131.0M$1.3B0.04%
47233W109
JEFFERIES FINANCIAL GROUP INC
Reduced-$130.5M$611,1210.04%
40415F101
HDFC BANK LTD ADR
Reduced-$128.8M$304.3M0.04%
74144T108
PRICE T ROWE GROUP INC
Reduced-$120.4M$44.0M0.04%
52769106
AUTODESK INC
Reduced-$110.5M$114.8M0.04%
G491BT108
INVESCO LTD SHS
Reduced-$109.2M$35.5M0.04%
437076102
HOME DEPOT INC
Reduced-$108.9M$3.4B0.04%
404280406
HSBC HLDGS PLC SPON ADR NE ADR
Increased$101.2M$1.5B0.03%
03524A108
ANHEUSER BUSCH INBEV SA NV ADR
Increased$97.8M$826.6M0.03%
808513105
SCHWAB CHARLES CORP COM
Reduced-$91.8M$2.1B0.03%
907818108
UNION PAC CORP
Increased$90.4M$1.6B0.03%
855244109
STARBUCKS CORP
Increased$84.3M$1.1B0.03%
464288414
ISHARES NATIONAL MUNI BOND ETF
Increased$83.4M$1.2B0.03%
639057207
NATWEST GROUP PLC ADR
Reduced-$82.9M$633.0M0.03%
724078209
PIPER SANDLER COMPANIES COM NE
New$82.5M$82.5M0.03%
G4474Y214
JANUS HENDERSON GROUP PLC ORD
Reduced-$80.4M$375,7960.03%
71654V408
PETROLEO BRASILEIRO S A ADR
Increased$79.8M$245.5M0.03%
4.609E+107
INVESCO QQQ TRUST SERIES 1
Reduced-$79.2M$751.7M0.03%
9.1912E+109
VALE S A ADR
Increased$76.9M$358.3M0.03%
452308109
ILLINOIS TOOL WKS INC
Increased$69.1M$981.7M0.02%
438128308
HONDA MOTOR CO LTD ADR
Reduced-$65.1M$245.4M0.02%
13646K108
CANADIAN PACIFIC KANSAS CITY C
Increased$62.8M$487.9M0.02%
26875P101
EOG RES INC COM
Increased$62.6M$204.3M0.02%
464288729
ISHARES TR GLOB INDSTRL ETF
Increased$60.7M$498.7M0.02%
97023105
BOEING CO
Reduced-$60.0M$1.2B0.02%
464288737
ISHARES GLOBAL CONS STAPLES
Increased$57.5M$447.5M0.02%
747525103
QUALCOMM INC
Reduced-$55.5M$138.7M0.02%
724078100
PIPER SANDLER COMPANIES
Sold out-$54.6M$00.02%
136069101
CANADIAN IMPERIAL BANK OF COMM
Increased$50.4M$240.9M0.02%
14448C104
CARRIER GLOBAL CORPORATION
Reduced-$48.1M$733.7M0.02%
576690101
MATERION CORP
Increased$46.5M$63.9M0.02%
701094104
PARKER HANNIFIN CORP
Reduced-$45.9M$456.2M0.02%
02079K107
ALPHABET INC CLASS C
Reduced-$45.6M$494.1M0.02%
191216100
COCA COLA CO
Increased$45.4M$491.6M0.02%
947890109
WEBSTER FINL CORP
Sold out-$45.2M$00.02%
55405W104
MYR GROUP INC
Increased$44.1M$147.1M0.01%
892331307
TOYOTA MOTOR CORP ADR
Reduced-$41.0M$1.5B0.01%
172967424
CITIGROUP INC
Increased$39.9M$4.0B0.01%
697435105
PALO ALTO NETWORKS INC
Increased$39.8M$41.1M0.01%
739128106
POWELL INDS INC
Increased$37.9M$139.0M0.01%
80105N105
SANOFI SA ADR
Reduced-$37.1M$551.3M0.01%
09857L108
BOOKING HLDGS INC COM
Reduced-$36.4M$72.5M0.01%
22822V101
CROWN CASTLE INC COM
Reduced-$35.9M$453.5M0.01%
465562106
ITAU UNIBANCO HLDG SA SPON ADR
Increased$35.4M$239.8M0.01%
136375102
CANADIAN NATL RY CO
Increased$35.1M$260.5M0.01%
693718108
PACCAR INC
Increased$34.3M$589.9M0.01%
64110L106
NETFLIX INC COM
Increased$34.2M$2.0B0.01%
84265V105
SOUTHERN COPPER CORP COM
Increased$33.3M$397.2M0.01%
922908363
VANGUARD SP 500 ETF
Reduced-$33.1M$939.7M0.01%
29446M102
EQUINOR ASA SPONSORED ADR ADR
Increased$33.0M$75.0M0.01%
156944100
CG ONCOLOGY INC
New$31.5M$31.5M0.01%
86562M209
SUMITOMO MITSUI FIN GRP IN ADR
Increased$31.3M$63.1M0.01%
917047102
URBAN OUTFITTERS INC
Reduced-$31.1M$106.5M0.01%
42704L104
HERC HLDGS INC COM
Reduced-$30.3M$56.8M0.01%
01741R102
ATI INC
Increased$30.2M$134.5M0.01%
12740C103
CADENCE BANK
Sold out-$29.6M$00.01%
539439109
LLOYDS BANKING GROUP PLC ADR
Reduced-$29.5M$772.1M0.01%
00215W100
ASE TECHNOLOGY HOLDING CO ADR
Increased$29.4M$104.2M0.01%
703481101
PATTERSON UTI ENERGY INC
Increased$29.1M$55.9M0.01%
45687V106
INGERSOLL RAND INC
Increased$28.9M$577.7M0.01%
7973100
ADVANCED ENERGY INDS
Increased$28.5M$111.1M0.01%
443320106
HUB GROUP INC
Sold out-$28.4M$00.01%
00508Y102
ACUITY INC
Reduced-$28.3M$93.5M0.01%
742718109
PROCTER GAMBLE CO
Increased$27.5M$1.6B0.01%
38222105
APPLIED MATLS INC
Increased$27.3M$144.3M0.01%
60786M105
MOELIS CO
Increased$27.2M$58.6M0.01%
03743Q108
APA CORPORATION
Increased$27.2M$64.5M0.01%
47215P106
JDCOM INC ADR
Reduced-$26.7M$69.0M0.01%
39874R101
GROCERY OUTLET HLDG CORP
Sold out-$25.7M$00.01%
2.553E+109
AMERICAN EAGLE OUTFITTERS INC
Reduced-$25.6M$37.1M0.01%
860630102
STIFEL FINL CORP
Reduced-$25.3M$124.8M0.01%
64110W102
NETEASE INC SPONSORED ADR ADR
Reduced-$24.6M$128.5M0.01%
46434G822
ISHARES MSCI JAPAN ETF
Increased$24.3M$226.4M0.01%
654106103
NIKE INC
Reduced-$23.9M$2.7M0.01%
576485205
MATADOR RES CO
Increased$23.1M$52.5M0.01%
705573103
PEGASYSTEMS INC
Reduced-$22.7M$47.2M0.01%
683344105
ONTO INNOVATION INC
Increased$22.5M$133.3M0.01%
464287515
ISHARES TR EXPANDED TECH
Reduced-$22.4M$50.1M0.01%
G54950103
LINDE PLC
Increased$21.9M$131.0M0.01%
G6683N103
NU HLDGS LTD
Reduced-$21.7M$149.8M0.01%
741511109
PRICESMART INC
Increased$21.6M$48.2M0.01%
922417100
VEECO INSTRS INC DEL
Increased$21.4M$73.5M0.01%
464287788
ISHARES US FINANCIALS ETF
Reduced-$21.4M$202.1M0.01%
737446104
POST HLDGS INC
Increased$21.3M$45.3M0.01%
03940C100
ARCELLX INC
Sold out-$21.1M$00.01%
92790C104
VIRIDIAN THERAPEUTICS INC
Reduced-$20.8M$34.6M0.01%
46433108
ASTRONICS CORP
Increased$20.0M$23.3M0.01%
921943858
VANGUARD FTSE DEVELOPED MKT
Increased$19.8M$611.2M0.01%
758750103
REGAL REXNORD CORPORATION
Increased$19.6M$91.8M0.01%
46137V530
INVESCO NASDAQ INTERNET ETF
Reduced-$19.0M$72.4M0.01%
483007704
KAISER ALUMINIUM CORPORATION
Increased$18.7M$36.7M0.01%
59460303
BANCO BRADESCO SA SP ADR
Increased$18.2M$194.5M0.01%
260003108
DOVER CORP
Increased$18.1M$332.5M0.01%
589889104
MERIT MED SYS INC
Sold out-$18.1M$00.01%
29977A105
EVERCORE INC
Increased$18.0M$126.8M0.01%
2896207
ABERCROMBIE FITCH CO
Reduced-$17.9M$43.7M0.01%
G3323L100
FABRINET
Increased$17.7M$66.1M0.01%
45167R104
IDEX CORP
Increased$17.6M$134.2M0.01%
423452101
HELMERICH PAYNE INC
Increased$17.3M$67.0M0.01%
04280A100
ARROWHEAD PHARMACEUTICALS INC
Reduced-$17.3M$69.8M0.01%
98980A105
ZTO EXPRESS CAYMAN INC SPO ADR
Increased$17.0M$91.3M0.01%
346375108
FORMFACTOR INC
Increased$17.0M$41.3M0.01%
464288588
ISHARES TR MBS ETF
Reduced-$16.7M$83.8M0.01%
666807102
NORTHROP GRUMMAN CORP
Increased$16.2M$113.3M0.01%
512807306
LAM RESEARCH CORP COM NEW
Increased$16.0M$76.8M0.01%
156431108
CENTURY ALUM CO
Increased$16.0M$50.0M0.01%
750917106
RAMBUS INC DEL
Increased$16.0M$63.5M0.01%
87161C501
SYNOVUS FINL CORP
Sold out-$15.7M$00.01%
67103H107
OREILLY AUTOMOTIVE INC
Reduced-$15.6M$41.5M0.01%
737630103
POTLATCHDELTIC CORPORATION COM
Sold out-$15.3M$00.01%
72348N109
PINNACLE FINL PARTNERS INC COM
New$14.9M$14.9M0.01%
806857108
SLB LIMITED COM STK
Increased$14.2M$54.3M0.00%
422806109
HEICO CORP NEW
Reduced-$13.9M$91.7M0.00%
24665A103
DELEK US HLDGS INC NEW
Increased$13.9M$44.9M0.00%
464288794
ISHARES US BRKR DEALR EXCHNG
Reduced-$13.1M$100.9M0.00%
G1890L107
CAPRI HOLDINGS LIMITED
Reduced-$13.1M$24.2M0.00%
F21107101
CONSTELLIUM SE
Increased$13.1M$13.3M0.00%
8073108
AEROVIRONMENT INC
Reduced-$13.0M$55.6M0.00%
573874104
MARVELL TECHNOLOGY INC
Increased$13.0M$74.2M0.00%
78454L100
SM ENERGY COMPANY
Increased$12.9M$30.6M0.00%
464287291
ISHARES GLOBAL TECH ETF
Reduced-$12.9M$307.7M0.00%
05722G100
BAKER HUGHES CO
Increased$12.9M$43.4M0.00%
81369Y308
SPDR CONS STAPLES SELECT SCTR
Reduced-$12.9M$85.8M0.00%
58506Q109
MEDPACE HLDGS INC COM
Reduced-$12.8M$65.2M0.00%
03027X100
AMERICAN TOWER CORP
Reduced-$12.8M$299.7M0.00%
G8994E103
TRANE TECHNOLOGIES PLC
Increased$12.7M$775.7M0.00%
7.4366E+106
PROTAGONIST THERAPEUTICS INC
Increased$12.6M$18.3M0.00%
464287242
ISHARES TR IBOXX INV CP ETF
Reduced-$12.6M$202.8M0.00%
G98239109
XP INC
Increased$12.1M$83.8M0.00%
92242T101
V2X INC
Increased$12.0M$22.9M0.00%
410120109
HANCOCK WHITNEY CORPORATION CO
Increased$11.9M$32.3M0.00%
19247G107
COHERENT CORP
Reduced-$11.6M$81.1M0.00%
626717102
MURPHY OIL CORP
Increased$11.5M$43.7M0.00%
46434G848
ISHARES GLOBAL METALS MINING
Increased$11.4M$171.5M0.00%
04316A108
ARTISAN PARTNERS ASSET MGMT I
Reduced-$11.0M$47.7M0.00%
G29183103
EATON CORP PLC
Increased$11.0M$80.5M0.00%
231561101
CURTISS WRIGHT CORP
Increased$10.7M$83.6M0.00%
801056102
SANMINA CORP
Increased$10.5M$108.1M0.00%
78464A664
SPDR BLOOMBERG BRCLYS LG TRS E
Reduced-$10.4M$19.0M0.00%
58733R102
MERCADOLIBRE INC COM
Reduced-$9.9M$137.0M0.00%
464286103
ISHARES INC MSCI AUST ETF
Reduced-$9.9M$6.0M0.00%
67059N108
NUTANIX INC CL A
Reduced-$9.8M$25.5M0.00%
92337F107
VERACYTE INC
Reduced-$9.8M$23.7M0.00%
69047Q102
OVINTIV INC
Increased$9.7M$27.0M0.00%
G52694109
KINIKSA PHARMACEUTICALS INTL P
Increased$9.6M$20.7M0.00%
98419M100
XYLEM INC
Reduced-$9.6M$45.2M0.00%
G5960L103
MEDTRONIC PLC
Reduced-$9.5M$12.1M0.00%
872540109
TJX COS INC NEW
Reduced-$9.5M$56.9M0.00%
482480100
KLA CORPORATION
Increased$9.4M$44.8M0.00%
92206C706
VANGUARD SCOTTSDALE FDS INTER
Reduced-$9.3M$200.5M0.00%
27579R104
EAST WEST BANCORP INC
Reduced-$9.3M$78.5M0.00%
675232102
OCEANEERING INTL INC
Increased$9.0M$28.1M0.00%
98980G102
ZSCALER INC
Reduced-$8.9M$14.3M0.00%
268158201
DYNAVAX TECHNOLOGIES CORP
Sold out-$8.8M$00.00%
754907103
RAYONIER INC
New$8.7M$8.7M0.00%
589378108
MERCURY SYS INC
Increased$8.7M$71.5M0.00%
29275Y102
ENERSYS
Increased$8.6M$55.6M0.00%
7903107
ADVANCED MICRO DEVICES INC
Reduced-$8.6M$125.1M0.00%
10806X102
BRIDGEBIO PHARMA INC
Increased$8.3M$26.1M0.00%
G87110105
TECHNIPFMC LTD COM
Increased$8.1M$26.3M0.00%
361105
AAR CORP
Increased$8.1M$25.2M0.00%
31652100
AMKOR TECHNOLOGY INC
Increased$7.8M$90.6M0.00%
144285103
CARPENTER TECHNOLOGY CORP
Increased$7.8M$97.7M0.00%
902973304
US BANCORP
Reduced-$7.8M$253.7M0.00%
204166102
COMMVAULT SYS INC
Reduced-$7.7M$12.6M0.00%
99406100
BOOT BARN HLDGS INC
Reduced-$7.6M$35.2M0.00%
22663K107
CRINETICS PHARMACEUTICALS INC
Reduced-$7.6M$27.7M0.00%
302520101
F N B CORP
Increased$7.5M$28.9M0.00%
604749101
MIRUM PHARMACEUTICALS INC
Increased$7.5M$8.6M0.00%
595112103
MICRON TECHNOLOGY INC
Reduced-$7.4M$7.9M0.00%
74347M108
PROPETRO HLDG CORP
Increased$7.3M$21.5M0.00%
81369Y407
SPDR CONS DISC SELECT SECTOR
Reduced-$7.1M$47.7M0.00%
20454B104
COMPASS THERAPEUTICS INC
New$7.1M$7.1M0.00%
876030107
TAPESTRY INC
Increased$7.1M$87.2M0.00%
65535H208
NOMURA HLDGS INC SPONSORED ADR
Reduced-$7.0M$103.3M0.00%
880779103
TEREX CORP NEW
Increased$6.9M$112.0M0.00%
09058V103
BIOCRYST PHARMACEUTICALS INC
Increased$6.8M$26.0M0.00%
68902V107
OTIS WORLDWIDE CORP
Reduced-$6.8M$47.7M0.00%
52110M109
LAZARD INC COM
Increased$6.7M$92.2M0.00%
15117B202
CELLDEX THERAPEUTICS INC NEW
Increased$6.7M$32.2M0.00%
90572207
BIO RAD LABS INC
Reduced-$6.6M$33.1M0.00%
197236102
COLUMBIA BKG SYS INC
Reduced-$6.6M$63.7M0.00%
75281A109
RANGE RES CORP
Increased$6.5M$33.0M0.00%
252784301
DIAMONDROCK HOSPITALITY CO
Sold out-$6.5M$00.00%
45104G104
ICICI BANK LIMITED ADR
Reduced-$6.4M$46.8M0.00%
501147102
KRYSTAL BIOTECH INC SHS
Increased$6.2M$7.2M0.00%
911363109
UNITED RENTALS INC
Reduced-$6.2M$47.8M0.00%
674215207
CHORD ENERGY CORPORATION
Increased$6.2M$13.9M0.00%
N5505D105
MAGNUM ICE CREAM CO NV
Reduced-$6.1M$4.3M0.00%
91307C102
UNITED THERAPEUTICS CORP DEL
Increased$6.1M$20.4M0.00%
67080M103
NURIX THERAPEUTICS INC
New$6.0M$6.0M0.00%
98983L108
ZURN ELKAY WATER SOLUTIONS COR
Reduced-$5.8M$39.9M0.00%
722304102
PDD HOLDINGS INC ADR
Reduced-$5.7M$59.2M0.00%
09062X103
BIOGEN INC
Increased$5.7M$57.3M0.00%
74758T303
QUALYS INC
Reduced-$5.6M$10.2M0.00%
754730109
RAYMOND JAMES FINL INC
Reduced-$5.6M$57.5M0.00%
00737L103
COVISTA INC
Increased$5.5M$65.2M0.00%
438516106
HONEYWELL INTL INC
Increased$5.5M$34.1M0.00%
436893200
HOME BANCSHARES INC
Reduced-$5.5M$48.9M0.00%
7.9546E+108
SALLY BEAUTY HLDGS INC
Reduced-$5.4M$53.4M0.00%
680033107
OLD NATL BANCORP IND
Reduced-$5.3M$82.1M0.00%
5098108
ACUSHNET HOLDINGS CORP COM
Increased$5.3M$58.1M0.00%
81369Y852
SELECT SECTOR SPDR TR STATE ST
Reduced-$5.2M$67.9M0.00%
2.967E+111
ESSENTIAL PPTYS RLTY TR INC
Sold out-$5.2M$00.00%
406216101
HALLIBURTON CO
Increased$5.2M$15.9M0.00%
61225M102
MONTE ROSA THERAPEUTICS INC
New$5.2M$5.2M0.00%
101121101
BXP INC COM
Reduced-$5.2M$16.9M0.00%
46138E628
INVESCO EXCHANGE TRADED FD TR
Increased$5.0M$305.8M0.00%
489170100
KENNAMETAL INC
Increased$5.0M$38.9M0.00%
81369Y704
SPDR INDUSTRIALS SELECT SECTOR
Reduced-$4.9M$479.0M0.00%
19240Q201
COGENT BIOSCIENCES INC
Increased$4.7M$6.4M0.00%
909907107
UNITED BANKSHARES INC WEST VA
Increased$4.7M$50.2M0.00%
925550105
VIAVI SOLUTIONS INC
Increased$4.7M$12.6M0.00%
69370C100
PTC INC
Reduced-$4.7M$20.6M0.00%
3.3733E+306
FIRST TR DOW JONES INTERNET IN
Reduced-$4.7M$24.1M0.00%
315912808
FIDELITY COMWLTH TR NASDAQ COM
Reduced-$4.6M$50.0M0.00%
90400D108
ULTRAGENYX PHARMACEUTICAL INC
Sold out-$4.6M$00.00%
68062P106
OLEMA PHARMACEUTICALS INC
New$4.5M$4.5M0.00%
464286749
ISHARES MSCI SWITZERLAND ETF
Reduced-$4.4M$65.5M0.00%
78467J100
SSC TECH HLDGS
Reduced-$4.4M$9.4M0.00%
98138H101
WORKDAY INC
Reduced-$4.3M$2.5M0.00%
92204A702
VANGUARD FDS INF TECH ETF
Reduced-$4.3M$45.2M0.00%
97650W108
WINTRUST FINL CORP
Reduced-$4.2M$61.6M0.00%
446150104
HUNTINGTON BANCSHARES INC
Reduced-$4.2M$51.3M0.00%
10316T104
BOX INC
Reduced-$4.1M$14.0M0.00%
24823R105
DENALI THERAPEUTICS INC
Increased$4.0M$46.8M0.00%
G36738105
FRESH DEL MONTE PRODUCE INC
Increased$4.0M$25.2M0.00%
46432F842
ISHARES TR CORE MSCI EAFE
Increased$4.0M$5.4M0.00%
761152107
RESMED INC
Reduced-$4.0M$12.1M0.00%
52736R102
LEVI STRAUSS CO NEW
Reduced-$4.0M$20.6M0.00%
8.4472E+106
SOUTHSTATE BK CORP
Reduced-$3.9M$54.7M0.00%
N3168P101
FERROVIAL SE
Increased$3.9M$42.1M0.00%
637417106
NNN REIT INC
Increased$3.7M$7.6M0.00%
526107107
LENNOX INTL INC
Increased$3.7M$19.1M0.00%
91913Y100
VALERO ENERGY CORP NEW COM
Increased$3.6M$8.1M0.00%
78468R721
SPDR SER TR NUVN BLOOMBERG MU
Reduced-$3.6M$111.2M0.00%
457187102
INGREDION INC
New$3.5M$3.5M0.00%
369604301
GE AEROSPACE COM NEW
Reduced-$3.5M$4.4M0.00%
252131107
DEXCOM INC
Reduced-$3.4M$11.8M0.00%
615394202
MOOG INC
Increased$3.4M$26.9M0.00%
556269108
MADDEN STEVEN LTD
Reduced-$3.4M$10.2M0.00%
70432V102
PAYCOM SOFTWARE INC
Reduced-$3.4M$7.3M0.00%
185899101
CLEVELAND CLIFFS INC NEW
Reduced-$3.3M$5.6M0.00%
902788108
UMB FINL CORP
Reduced-$3.3M$27.3M0.00%
858119100
STEEL DYNAMICS INC
Increased$3.3M$21.1M0.00%
V5633W109
MAKEMYTRIP LTD
Reduced-$3.2M$616,5720.00%
44952J104
CRESCENT ENERGY COMPANY CLASS
Increased$3.2M$8.7M0.00%
81369Y506
SPDR ENERGY SELECT SECTOR
Increased$3.1M$9.2M0.00%
76118Y104
RESIDEO TECHNOLOGIES INC COM
Reduced-$3.1M$34.6M0.00%
69366J200
PTC THERAPEUTICS INC
New$3.0M$3.0M0.00%
819047101
SHAKE SHACK INC
Increased$3.0M$60.0M0.00%
464287457
ISHARES TR 1 3 YR TR BD ETF
Increased$3.0M$49.9M0.00%
45784P101
INSULET CORP
Reduced-$3.0M$12.0M0.00%
109641100
BRINKER INTL INC
Reduced-$2.9M$28.8M0.00%
918284100
VSE CORP
Increased$2.9M$4.3M0.00%
464287200
ISHARES SP 500 ETF
Increased$2.9M$7.8M0.00%
88160R101
TESLA INC
Reduced-$2.9M$12.9M0.00%
G01767105
ALKERMES PLC
Increased$2.9M$13.8M0.00%
G1151C101
ACCENTURE PLC IRELAND
Increased$2.9M$3.9M0.00%
06652V208
BANNER CORP
Reduced-$2.9M$20.1M0.00%
45487105
ASSOCIATED BANC CORP
Increased$2.8M$12.0M0.00%
46435G334
ISHARES MSCI UNITED KINGDOM
Increased$2.8M$54.0M0.00%
40637H109
HALOZYME THERAPEUTICS INC
Reduced-$2.7M$28.7M0.00%
82982L103
SITEONE LANDSCAPE SUPPLY INC
Increased$2.7M$24.1M0.00%
254687106
DISNEY WALT CO
Reduced-$2.7M$3.6M0.00%
26874R108
ENI S P A SPONSORED ADR ADR
Increased$2.7M$8.4M0.00%
315616102
F5 INC COM
Increased$2.6M$23.1M0.00%
426281101
HENRY JACK ASSOC INC
New$2.6M$2.6M0.00%
343412102
FLUOR CORP
Increased$2.6M$21.0M0.00%
45337C102
INCYTE CORP
Increased$2.6M$10.6M0.00%
G3730V105
FTAI AVIATION LTD
New$2.6M$2.6M0.00%
92532F100
VERTEX PHARMACEUTICALS INC
Increased$2.5M$13.9M0.00%
74624M102
EVERPURE INC
Reduced-$2.5M$17.7M0.00%
464288810
ISHARES TR US MED DVC ETF
Reduced-$2.5M$3.2M0.00%
253393102
DICKS SPORTING GOODS INC
Reduced-$2.4M$621,0460.00%
320209109
1ST FINL BANCORP
Increased$2.4M$19.9M0.00%
88162G103
TETRA TECH INC NEW
Reduced-$2.4M$18.5M0.00%
580135101
MCDONALDS CORP
Increased$2.4M$85.9M0.00%
77454106
BELDEN INC
Increased$2.4M$45.5M0.00%
833034101
SNAP ON INC
Increased$2.3M$25.1M0.00%
929328102
WSFS FINL CORP
Increased$2.3M$14.9M0.00%
360271100
FULTON FINL CORP PA
Reduced-$2.3M$60.6M0.00%
554382101
MACERICH CO
Reduced-$2.3M$51.2M0.00%
92206C409
VANGUARD FDS SHRT TERM CORP
Reduced-$2.2M$18.1M0.00%
464287507
ISHARES SP MID CAP ETF
Increased$2.2M$5.1M0.00%
655844108
NORFOLK SOUTHN CORP
Increased$2.2M$331.6M0.00%
922042874
VANGUARD FTSE EUROPE ETF
Reduced-$2.1M$413.6M0.00%
237266101
DARLING INGREDIENTS INC
Increased$2.1M$5.1M0.00%
00175J107
OUTDOOR HOLDING CO COM
Reduced-$2.1M$569,4990.00%
20717M103
CONFLUENT INC
Sold out-$2.1M$00.00%
62855J104
MYRIAD GENETICS INC
Reduced-$2.1M$5.4M0.00%
25754A201
DOMINOS PIZZA INC
Reduced-$2.1M$12.4M0.00%
256135203
DR REDDYS LABS LTD ADR
Reduced-$2.1M$5.1M0.00%
222795502
COUSINS PROPERTIES
Reduced-$2.0M$10.5M0.00%
958102105
WESTERN DIGITAL CORP
Increased$2.0M$4.1M0.00%
74112D101
PRESTIGE CONSUMER HEALTHCARE I
Reduced-$2.0M$14.9M0.00%
548661107
LOWES COS INC
Reduced-$2.0M$98.5M0.00%
02043Q107
ALNYLAM PHARMACEUTICALS INC
New$2.0M$2.0M0.00%
G2519Y108
CREDICORP LTD
Reduced-$2.0M$12.7M0.00%
05368V106
AVIENT CORPORATION
Increased$2.0M$14.9M0.00%
88224Q107
TEXAS CAP BANCSHARES INC
Reduced-$2.0M$24.4M0.00%
670346105
NUCOR CORP
Reduced-$1.9M$27.6M0.00%
934423104
WARNER BROS DISCOVERY INC
Reduced-$1.9M$12.9M0.00%
922042742
VANGUARD TOTAL WORLD STOCK ETF
Increased$1.8M$27.0M0.00%
2.8176E+112
EDWARDS LIFESCIENCES CORP
Reduced-$1.8M$10.6M0.00%
76169C100
REXFORD INDL RLTY INC
Increased$1.8M$4.4M0.00%
858586100
STEPAN CO
Sold out-$1.8M$00.00%
320517105
FIRST HORIZON CORP
Reduced-$1.8M$30.7M0.00%
76155X100
REVOLUTION MEDICINES INC
Increased$1.8M$21.0M0.00%
458140100
INTEL CORP
Increased$1.8M$7.3M0.00%
171340102
CHURCH DWIGHT CO INC
Increased$1.8M$18.4M0.00%
194162103
COLGATE PALMOLIVE CO
Increased$1.8M$4.8M0.00%
03852U106
ARAMARK HLDGS CORP
Increased$1.7M$59.4M0.00%
87583X109
TANGO THERAPEUTICS INC
Increased$1.7M$3.4M0.00%
31847R102
FIRST AMERN FINL CORP
Reduced-$1.7M$22.4M0.00%
313745101
FEDERAL RLTY INVT TR NEW
Increased$1.7M$7.3M0.00%
92206C847
VANGUARD SCOTTSDALE FDS LONG T
Reduced-$1.7M$11.2M0.00%
23282W605
CYTOKINETICS INC
Reduced-$1.6M$50.6M0.00%
25278X109
DIAMONDBACK ENERGY INC
Increased$1.6M$7.1M0.00%
974250102
WINMARK CORP
Reduced-$1.6M$40.8M0.00%
922908736
VANGUARD INDEX FDS GROWTH ETF
Reduced-$1.6M$3.9M0.00%
45378A106
INDEPENDENCE RLTY TR INC COM
Reduced-$1.6M$18.5M0.00%
81369Y803
SPDR TECHNOLOGY SELECT SECTOR
Reduced-$1.5M$3.3M0.00%
92537N108
VERTIV HOLDINGS CO
Increased$1.5M$4.4M0.00%
808524102
SCHWAB STRATEGIC TR US BRD MKT
Increased$1.5M$1.9M0.00%
598511103
MIDWESTONE FINL GROUP INC NEW
Sold out-$1.5M$00.00%
163072101
CHEESECAKE FACTORY INC
Increased$1.5M$26.9M0.00%
82509L107
SHOPIFY INC CL A SUB VTG SHS
Reduced-$1.5M$2.4M0.00%
4225108
ACADIA PHARMACEUTICALS INC
Reduced-$1.5M$16.3M0.00%
842587107
SOUTHERN CO
Increased$1.4M$11.8M0.00%
375558103
GILEAD SCIENCES INC
Reduced-$1.4M$1.6M0.00%
65339F101
NEXTERA ENERGY INC
Increased$1.4M$3.3M0.00%
539830109
LOCKHEED MARTIN CORP
Increased$1.4M$5.5M0.00%
69007J304
OUTFRONT MEDIA INC COM NEW
Increased$1.4M$11.9M0.00%
358039105
FRESHPET INC COM
Reduced-$1.4M$16.6M0.00%
23128Q101
CURBLINE PPTYS CORP COM
Increased$1.4M$11.7M0.00%
533900106
LINCOLN ELEC HLDGS INC
Reduced-$1.4M$104.6M0.00%
29082A107
EMBRAER SA ADR
New$1.4M$1.4M0.00%
57665200
BALCHEM CORP
Sold out-$1.4M$00.00%
56585A102
MARATHON PETE CORP
Increased$1.4M$4.5M0.00%
336433107
FIRST SOLAR INC
Reduced-$1.4M$4.4M0.00%
45166A102
IDEAYA BIOSCIENCES INC
Reduced-$1.3M$29.4M0.00%
45073V108
ITT INC
Reduced-$1.3M$16.1M0.00%
02209S103
ALTRIA GROUP INC
Increased$1.3M$8.3M0.00%
700885106
PARKE BANCORP INC
New$1.3M$1.3M0.00%
983134107
WYNN RESORTS LTD
Reduced-$1.3M$4.0M0.00%
83946P107
SOUTH PLAINS FINANCIAL INC
New$1.3M$1.3M0.00%
110122108
BRISTOL MYERS SQUIBB CO
Increased$1.3M$12.4M0.00%
913290102
UNITY BANCORP INC
New$1.3M$1.3M0.00%
34354P105
FLOWSERVE CORP
Increased$1.3M$130.7M0.00%
868109
ACNB CORP
New$1.3M$1.3M0.00%
06211J100
BANK FIRST CORPORATION
New$1.3M$1.3M0.00%
92922P106
W T OFFSHORE INC
Increased$1.2M$2.2M0.00%
16359R103
CHEMED CORP NEW
Reduced-$1.2M$2.9M0.00%
700517105
PARK HOTELS RESORTS INC COM
Reduced-$1.2M$9.5M0.00%
92857W308
VODAFONE GROUP PLC ADR
New$1.2M$1.2M0.00%
78468R739
SPDR SERIES TRUST STATE STREET
New$1.2M$1.2M0.00%
922908769
VANGUARD INDEX FDS TOTAL STK M
Increased$1.2M$6.8M0.00%
70509V100
PEBBLEBROOK HOTEL TR
Increased$1.2M$7.0M0.00%
12504L109
CBRE GROUP INC
Reduced-$1.2M$6.3M0.00%
921910816
VANGUARD WORLD FD MEGA GRWTH I
Reduced-$1.2M$3.0M0.00%
887399103
METALLUS INC
New$1.2M$1.2M0.00%
988498101
YUM BRANDS INC
Increased$1.2M$9.6M0.00%
78464A474
SPDR PORTFOLIO SHORT TERM CORP
Reduced-$1.2M$30.2M0.00%
898402102
TRUSTMARK CORP
Increased$1.2M$15.6M0.00%
37045V100
GENERAL MTRS CO
Reduced-$1.2M$8.0M0.00%
46436E718
ISHARES TR 0 3 MTH TREASURY
Increased$1.1M$1.5M0.00%
200525103
COMMERCE BANCSHARES INC
Reduced-$1.1M$15.8M0.00%
78463V107
SPDR GOLD TR GOLD SHS
Increased$1.1M$3.7M0.00%
441593100
HOULIHAN LOKEY INC
New$1.1M$1.1M0.00%
74965L101
RLJ LODGING TR
Increased$1.1M$24.4M0.00%
36828A101
GE VERNOVA INC COM
Reduced-$1.1M$3.4M0.00%
00206R102
ATT INC
Reduced-$1.1M$4.9M0.00%
529043408
LXP INDUSTRIAL TRUST
Reduced-$1.0M$14.3M0.00%
1.1135E+207
BROADSTONE NET LEASE INC COM
Increased$1.0M$5.7M0.00%
78468R754
SPDR SERIES TRUST STATE STREET
Sold out-$1.0M$00.00%
615111101
MONTROSE ENVIRONMENTAL GROUP I
Reduced-$1.0M$7.7M0.00%
911312106
UNITED PARCEL SVCS INC
Increased$1.0M$6.7M0.00%
90984P303
UNITED CMNTY BKS BLAIRSVLE GA
Reduced-$1.0M$29.9M0.00%
875465106
TANGER INC
Reduced-$1.0M$14.3M0.00%
53015103
AUTOMATIC DATA PROCESSING INC
Reduced-$1.0M$566,4660.00%
78462F103
STATE STREET SPDR SP 500 ETF
Reduced-$1.0M$10.8M0.00%
81768T108
SERVISFIRST BANCSHARES INC
Increased$999,228$6.4M0.00%
40413205
ARISTA NETWORKS INC COM SHS
Reduced-$986,584$1.7M0.00%
464288257
ISHARES MSCI ACWI ETF
Sold out-$984,663$00.00%
126650100
CVS HEALTH CORPORATION COM
Reduced-$983,758$6.3M0.00%
518439104
LAUDER ESTEE COS INC CL A
Reduced-$973,262$2.3M0.00%
428291108
HEXCEL CORP NEW
Increased$972,582$6.6M0.00%
37637Q105
GLACIER BANCORP INC NEW
Reduced-$966,598$35.7M0.00%
26818M108
DYNE THERAPEUTICS INC
Increased$965,643$5.9M0.00%
78463X889
SPDR INDEX SHS FDS STATE STREE
Increased$957,156$1.3M0.00%
464287101
ISHARES TR SP 100 ETF
Reduced-$953,404$5.6M0.00%
78463X202
SPDR EURO STOXX 50 ETF
Reduced-$951,378$19.3M0.00%
30225T102
EXTRA SPACE STORAGE INC COM
Reduced-$938,776$4.2M0.00%
464287614
ISHARES RUSSELL 1000 GROWTH
Increased$937,275$6.6M0.00%
84670702
BERKSHIRE HATHAWAY INC CL B
Reduced-$931,024$18.3M0.00%
773903109
ROCKWELL AUTOMATION INC
Reduced-$925,472$332.7M0.00%
05366Y201
AVIAT NETWORKS INC
Increased$910,155$1.6M0.00%
128030202
CAL MAINE FOODS INC
Increased$907,509$17.7M0.00%
74933W452
RBB FD INC FM US TREASURY
New$902,562$902,5620.00%
80706P103
SCHOLAR ROCK HOLDING CORP
Reduced-$893,772$22.5M0.00%
219350105
CORNING INC COM
Increased$887,865$2.0M0.00%
464286772
ISHARES MSCI SOUTH KOREA ETF
Increased$885,330$1.2M0.00%
808524805
SCHWAB STRATEGIC TR INTL EQTY
Increased$884,654$1.7M0.00%
678026105
OIL STS INTL INC
Increased$879,300$2.3M0.00%
92189F676
VANECK SEMICONDUCTOR ETF
Reduced-$877,648$55.4M0.00%
751212101
RALPH LAUREN CORP
Reduced-$872,665$115.3M0.00%
653656108
NICE LTD ADR
Reduced-$871,393$522,3470.00%
78468R556
SPDR SP OIL GAS EP ETF
Increased$870,744$2.3M0.00%
921937835
VANGUARD BD INDEX FDS TOTAL BN
Reduced-$865,955$3.3M0.00%
23954D109
DAY ONE BIOPHARMACEUTICALS INC
Reduced-$850,904$936,8850.00%
03969F109
ARCUS BIOSCIENCES INC
Increased$849,277$47.3M0.00%
09661T602
BNY MELLON ETF TRUST CORE BOND
Sold out-$846,854$00.00%
19247A100
COHEN STEERS INC
Reduced-$835,361$6.0M0.00%
81369Y209
SPDR HEALTH CARE SELECT SECTOR
Increased$832,503$20.9M0.00%
949746101
WELLS FARGO CO
Reduced-$824,852$2.3M0.00%
78464A771
SPDR SERIES TRUST SP CAP MKT
Reduced-$824,387$6.8M0.00%
02913V103
AMERICAN PUB ED INC
Increased$824,230$2.7M0.00%
502431109
L3HARRIS TECHNOLOGIES INC
Increased$819,650$2.9M0.00%
808524607
SCHWAB STRATEGIC TR US SML CAP
Increased$812,791$1.2M0.00%
53220K504
LIGAND PHARMACEUTICALS INC
Increased$812,717$25.6M0.00%
140475203
SONIDA SENIOR LIVING INC
New$811,703$811,7030.00%
78409V104
SP GLOBAL INC
Reduced-$806,472$3.8M0.00%
780087102
ROYAL BK CDA
Reduced-$805,776$1.1B0.00%
494368103
KIMBERLY CLARK CORP
Increased$799,061$4.1M0.00%
92346J108
VERICEL CORP
Reduced-$793,761$6.0M0.00%
03076K108
AMERIS BANCORP
Reduced-$779,459$13.4M0.00%
120076104
BUILD A BEAR WORKSHOP INC
Reduced-$774,367$1.2M0.00%
369550108
GENERAL DYNAMICS CORP
Increased$771,361$3.6M0.00%
46137V472
INVESCO EXCHANGE TRADED FD TR
Sold out-$769,641$00.00%
30212P303
EXPEDIA GROUP INC
Reduced-$769,073$2.3M0.00%
829073105
SIMPSON MFG INC
New$759,186$759,1860.00%
464287655
ISHARES TR RUSSELL 2000 ETF
Reduced-$752,451$1.7M0.00%
98985Y108
ZYMEWORKS INC
Increased$744,404$2.5M0.00%
808524300
SCHWAB STRATEGIC TR US LCAP GR
Increased$736,761$1.7M0.00%
922907746
VANGUARD MUN BD FDS TAX EXEMPT
Increased$736,080$3.5M0.00%
G7496G103
RENAISSANCERE HLDGS LTD
Increased$727,126$21.2M0.00%
25537101
AMERICAN ELEC PWR CO INC
Increased$726,286$1.7M0.00%
464287432
ISHARES TR 20 YR TR BD ETF
Reduced-$723,171$4.0M0.00%
78468R663
SPDR SERIES TRUST STATE STREET
Increased$716,013$1.1M0.00%
00187Y100
API GROUP CORP
Reduced-$712,987$63.1M0.00%
46137V241
INVESCO EXCHANGE TRADED FD TR
New$712,584$712,5840.00%
69608A108
PALANTIR TECHNOLOGIES INC
Reduced-$711,939$1.9M0.00%
393657101
GREENBRIER COS INC
Increased$704,923$10.7M0.00%
6.5406E+106
NICOLET BANKSHARES INC
Sold out-$704,874$00.00%
92343V104
VERIZON COMMUNICATIONS INC
Increased$700,182$4.0M0.00%
46432F834
ISHARES TR CORE MSCI TOTAL
New$699,544$699,5440.00%
L44385109
GLOBANT S A COM
Reduced-$698,076$227,9970.00%
602496101
MIMEDX GROUP INC
Reduced-$689,841$973,9470.00%
08265T208
BENTLEY SYS INC
Reduced-$686,167$8.0M0.00%
97717W307
WISDOMTREE TR US LARGECAP DIVD
New$682,640$682,6400.00%
82981J851
SITE CTRS CORP COM
Sold out-$682,489$00.00%
9.8149E+307
WORLD GOLD TR SPDR GLD MINIS
Reduced-$682,242$201,5070.00%
46435G193
ISHARES TR ESG AWRE USD ETF
Increased$681,597$19.3M0.00%
09661T107
BNY MELLON ETF TRUST US LRG CP
Sold out-$677,523$00.00%
46137V233
INVESCO SP 500 TOP 50 ETF
Reduced-$675,576$2.4M0.00%
46434V738
ISHARES TR CORE MSCI EURO
Reduced-$672,701$12.1M0.00%
464287465
ISHARES TR MSCI EAFE ETF
Reduced-$672,506$2.4M0.00%
39483102
ARCHER DANIELS MIDLAND CO
Increased$663,587$1.6M0.00%
776696106
ROPER TECHNOLOGIES INC COM
Reduced-$660,002$1.4M0.00%
817070501
SENECA FOODS CORP NEW
New$657,674$657,6740.00%
37940X102
GLOBAL PMTS INC
Reduced-$651,873$423,2820.00%
7.597E+111
RENASANT CORP
Reduced-$651,732$11.5M0.00%
46432F339
ISHARES TR MSCI USA QLT FCT
Increased$649,124$2.1M0.00%
84670108
BERKSHIRE HATHAWAY INC CL A
Increased$644,820$2.2M0.00%
316092204
FIDELITY MSCI CONSUMER DISCRET
Reduced-$643,248$6.2M0.00%
46641Q761
J P MORGAN EXCHANGE TRADED FD
New$634,318$634,3180.00%
278865100
ECOLAB INC
Increased$632,174$1.2M0.00%
32054K103
FIRST INDL RLTY TR INC
Increased$629,916$6.9M0.00%
922908538
VANGUARD INDEX FDS MCAP GR IDX
New$627,322$627,3220.00%
65487K100
NLIGHT INC
Increased$626,489$3.8M0.00%
922908744
VANGUARD INDEX FDS VALUE ETF
Increased$626,336$2.3M0.00%
651718504
NPK International Inc
Increased$611,321$3.4M0.00%
980228308
WOODSIDE ENERGY GROUP LTD ADR
Increased$606,483$2.8M0.00%
81369Y605
SPDR FINANCIALS SELECT SECTOR
Reduced-$596,791$5.5M0.00%
316773100
FIFTH THIRD BANCORP
Increased$594,800$873,7670.00%
464287622
ISHARES TR RUS 1000 ETF
Reduced-$591,341$1.8M0.00%
50127T109
KURA ONCOLOGY INC
Increased$586,221$5.5M0.00%
74347B698
PROSHARES TR RUSS 2000 DIVD
Sold out-$581,504$00.00%
462222100
IONIS PHARMACEUTICALS INC
Reduced-$574,625$10.6M0.00%
464289438
ISHARES TR RUS TP200 GR ETF
Reduced-$570,919$303,4070.00%
36266G107
GE HEALTHCARE TECHNOLOGIES INC
Reduced-$568,996$228,9790.00%
05153U107
AURA BIOSCIENCES INC
New$558,668$558,6680.00%
320817109
FIRST MERCHANTS CORP
Reduced-$553,958$13.5M0.00%
4498101
ACI WORLDWIDE INC
Reduced-$551,023$3.5M0.00%
05464C101
AXON ENTERPRISE INC
Sold out-$547,405$00.00%
464287168
ISHARES TR SELECT DIVID ETF
New$546,169$546,1690.00%
808524797
SCHWAB STRATEGIC TR US DIVIDEN
Increased$544,642$2.1M0.00%
92206C680
VANGUARD SCOTTSDALE FDS VNG RU
Reduced-$542,994$491,3010.00%
25072406
AMERICAN CENTY ETF TR QUALITY
New$542,497$542,4970.00%
387328107
GRANITE CONSTR INC
Increased$539,395$40.6M0.00%
4239109
ACADIA RLTY TR
Reduced-$538,259$6.9M0.00%
46435U853
ISHARES TR BROAD USD HIGH
Reduced-$529,390$5.9M0.00%
693282105
PDF SOLUTIONS INC
Increased$524,333$1.7M0.00%
464288448
ISHARES TR INTL SEL DIV ETF
Sold out-$522,122$00.00%
25179M103
DEVON ENERGY CORP NEW
Increased$517,807$2.3M0.00%
921909768
VANGUARD STAR FDS VG TL INTL S
Increased$509,758$2.3M0.00%
147448104
CASELLA WASTE SYS INC
Reduced-$509,449$2.2M0.00%
97717W315
WISDOMTREE TR EMER MKT HIGH FD
Sold out-$502,646$00.00%
33740F276
FIRST TR EXCHNG TRADED FD VIII
Sold out-$497,577$00.00%
464287234
ISHARES TR MSCI EMG MKT ETF
New$497,470$497,4700.00%
316092808
FIDELITY MSCI INFORMATION TECH
New$492,827$492,8270.00%
808524763
SCHWAB STRATEGIC TR FUNDAMENTA
Increased$491,151$770,4940.00%
464287333
ISHARES TR GLOBAL FINLS ETF
Reduced-$485,283$321,5940.00%
25459W862
DIREXION SHARES ETF TRUST DAIL
New$485,208$485,2080.00%
252828108
DIANTHUS THERAPEUTICS INC
Increased$484,272$1.1M0.00%
982104101
WORTHINGTON STL INC
Reduced-$483,602$7.8M0.00%
464287523
ISHARES TR ISHARES SEMICDTR
Increased$483,383$2.5M0.00%
464287713
ISHARES US TELECOM ETF
New$472,901$472,9010.00%
869367201
SUTRO BIOPHARMA INC
Increased$470,720$879,1980.00%
26441C204
DUKE ENERGY CORP NEW
Increased$470,344$1.4M0.00%
46434V407
ISHARES TR 05YR HI YL CP
Sold out-$467,191$00.00%
383082104
GORMAN RUPP CO COM
Increased$466,416$2.3M0.00%
46434G764
ISHARES INC MSCI EMRG CHN
Increased$462,130$1.3M0.00%
37954Y715
GLOBAL X FDS RBTCS ARTFL INTE
Reduced-$461,024$2.6M0.00%
92203J407
VANGUARD CHARLOTTE FDS TOTAL I
Reduced-$457,748$427,6650.00%
78464A763
SPDR SERIES TRUST STATE STREET
Sold out-$455,556$00.00%
G8726T105
TEEKAY CORPORATION LTD
Sold out-$451,500$00.00%
62914V106
NIO INC ADR
Increased$449,220$1.6M0.00%
97717X669
WISDOMTREE TR US QTLY DIV GRT
Reduced-$449,211$225,7170.00%
955306105
WEST PHARMACEUTICAL SVSC INC
Reduced-$439,751$4.7M0.00%
886364702
TIDAL TRUST I SP DWJNS SUKUK
Increased$433,187$2.7M0.00%
16208T102
CHATHAM LODGING TR
Increased$432,541$1.6M0.00%
683797104
OPPENHEIMER HLDGS INC
Increased$427,334$2.3M0.00%
871829107
SYSCO CORP
Sold out-$426,707$00.00%
35473P108
FRANKLIN TEMPLETON ETF TR INTL
New$417,208$417,2080.00%
453038408
IMPERIAL OIL LTD
New$417,104$417,1040.00%
2121101
A10 NETWORKS INC
Increased$412,451$1.7M0.00%
46435G243
ISHARES TR ESG AWRE 1 5 YR
Increased$411,385$7.0M0.00%
78468R853
SPDR SER TR SPDR RUSSEL 2000
New$409,229$409,2290.00%
46435G425
ISHARES ESG MSCI USA ETF
Reduced-$407,645$9.2M0.00%
25434V583
DIMENSIONAL ETF TRUST GLOBAL C
New$404,925$404,9250.00%
33741X102
FIRST TR EXCHANGE TRADED FD VI
New$403,605$403,6050.00%
95306106
BLUE BIRD CORP
New$402,808$402,8080.00%
32724106
ANAPTYSBIO INC
Increased$396,590$3.1M0.00%
922042866
VANGUARD INTL EQUITY INDEX FDS
Sold out-$395,680$00.00%
427866108
HERSHEY CO
Reduced-$392,778$374,6280.00%
20030N101
COMCAST CORP NEW CL A
Reduced-$391,231$1.0M0.00%
279158109
ECOPETROL S A ADR
Increased$388,074$4.8M0.00%
09290C103
BLACKROCK ETF TRUST US EQT FAC
Sold out-$385,574$00.00%
58155Q103
MCKESSON CORP
Reduced-$385,127$781,5970.00%
06652K103
BANKUNITED INC
Increased$381,445$28.2M0.00%
92204A306
VANGUARD FDS ENERGY ETF
Increased$379,712$1.6M0.00%
217204106
COPART INC
New$379,285$379,2850.00%
464287838
ISHARES TR US BAS MTL ETF
New$366,441$366,4410.00%
143658300
CARNIVAL CORP
Reduced-$366,097$215,0830.00%
78468R812
SPDR SERIES TRUST STATE STREET
New$364,967$364,9670.00%
94106B101
WASTE CONNECTIONS INC
Sold out-$363,671$00.00%
921937819
VANGUARD BD INDEX FDS INTERMED
Sold out-$360,584$00.00%
808524870
SCHWAB STRATEGIC TR US TIPS ET
Sold out-$358,231$00.00%
00773T101
ADVANSIX INC COM
Increased$357,930$1.2M0.00%
808524706
SCHWAB STRATEGIC TR EMRG MKTEQ
Increased$355,657$619,3840.00%
690742101
OWENS CORNING NEW
Sold out-$355,489$00.00%
315948109
FIDELITY WISE ORIGIN BITCOIN F
Sold out-$354,345$00.00%
457651107
INNOVEX INTERNATIONAL INC
Increased$353,231$4.8M0.00%
389637109
GRAYSCALE BITCOIN TR ETF
New$352,708$352,7080.00%
31100100
AMETEK INC
New$351,757$351,7570.00%
78467X109
STATE STR SPDR DOW JONES INDL
Increased$351,214$719,9550.00%
97651M109
WIPRO LTD ADR
Reduced-$350,511$2.2M0.00%
720190206
PIEDMONT REALTY TRUST INC
Reduced-$348,458$1.3M0.00%
90240B106
TYRA BIOSCIENCE INC
Increased$345,888$1.1M0.00%
871607107
SYNOPSYS INC
Reduced-$345,137$1.4M0.00%
85571B105
STARWOOD PPTY TR INC
New$344,650$344,6500.00%
297178105
ESSEX PPTY TR INC
Reduced-$344,286$509,9890.00%
525327102
LEIDOS HOLDINGS INC
Increased$344,082$983,0290.00%
674599105
OCCIDENTAL PETE CORP
Increased$342,826$862,1690.00%
464287754
ISHARES TR US INDUSTRIALS
New$341,112$341,1120.00%
922908595
VANGUARD INDEX FDS SML CP GRW
Sold out-$340,675$00.00%
443510607
HUBBELL INC
New$340,086$340,0860.00%
09631P102
BLUEROCK PVT REAL ESTATE FD
Sold out-$337,965$00.00%
30161Q104
EXELIXIS INC
Increased$336,924$7.1M0.00%
25072703
AMERICAN CENTY ETF TR INTL EQT
Sold out-$333,642$00.00%
595017104
MICROCHIP TECHNOLOGY INC
Reduced-$332,573$257,1310.00%
25434V302
DIMENSIONAL ETF TRUST EMGR CRE
Sold out-$331,171$00.00%
370334104
GENERAL MILLS INC
Increased$330,580$3.2M0.00%
46138G649
INVESCO EXCHANGE TRADED FD TR
Reduced-$328,369$1.0M0.00%
68621T102
ORIGIN BANCORP INC
Increased$327,500$1.6M0.00%
78467Y107
SPDR SP MIDCAP 400 ETF TR UTS
Sold out-$326,758$00.00%
7.8473E+107
SPX TECHNOLOGIES INC
Reduced-$325,790$32.8M0.00%
11271J107
BROOKFIELD CORP
Reduced-$325,687$887,9290.00%
921908844
VANGUARD SPECIALIZED FUNDS DIV
Increased$324,386$1.4M0.00%
373737105
GERDAU SA ADR
Reduced-$321,735$1.2M0.00%
381430503
GOLDMAN SACHS ETF TR ACTIVEBET
New$321,458$321,4580.00%
464287879
ISHARES TR SP SMCP600VL ETF
New$321,395$321,3950.00%
89832Q109
TRUIST FINL CORP
Reduced-$319,613$443,4570.00%
693475105
PNC FINL SVCS GROUP INC
Reduced-$317,118$1.3M0.00%
32055Y201
FIRST INTST BANCSYSTEM INC
Reduced-$316,969$8.9M0.00%
38169207
APPLIED DIGITAL CORP COM NEW
New$316,929$316,9290.00%
46266C105
IQVIA HLDGS INC
Reduced-$316,502$809,0160.00%
770700102
ROBINHOOD MKTS INC
Sold out-$315,307$00.00%
70932M107
PENNYMAC FINANCIAL SERVICES
Sold out-$313,515$00.00%
36262G101
GXO LOGISTICS INCORPORATED
New$311,359$311,3590.00%
3.073E+108
CENCORA INC
Increased$311,239$922,6340.00%
464287796
ISHARES TR US ENERGY ETF
New$309,229$309,2290.00%
97717W422
WISDOMTREE TR INDIA ERNGS FD
Sold out-$306,446$00.00%
404609109
HACKETT GROUP INC
Reduced-$304,946$597,6780.00%
70438V106
PAYLOCITY HLDG CORP
Reduced-$304,015$821,8070.00%
64828T201
Rithm Capital Corp
New$302,553$302,5530.00%
00846U101
AGILENT TECHNOLOGIES INC
Sold out-$301,352$00.00%
368736104
GENERAC HLDGS INC
Increased$301,009$605,5230.00%
42068205
ARM HOLDINGS PLC ADR
Sold out-$298,634$00.00%
718546104
PHILLIPS 66
Increased$296,908$1.9M0.00%
78464A847
SPDR SERIES TRUST STATE STREET
Sold out-$295,550$00.00%
320866106
FIRST MID BANCSHARES INC
Increased$294,263$1.6M0.00%
64058100
BANK NEW YORK MELLON CORP
Reduced-$293,984$804,8810.00%
21037T109
CONSTELLATION ENERGY CORP
Reduced-$291,681$686,3730.00%
3.3739E+112
FIRST TR EXCH TRADED FD III PF
New$290,681$290,6810.00%
922908629
VANGUARD INDEX FDS MID CAP ETF
Increased$289,784$1.6M0.00%
89422G107
TRAVERE THERAPEUTICS INC
Reduced-$288,964$1.0M0.00%
464287804
ISHARES SP SMALL CAP ETF
Increased$288,312$1.7M0.00%
464288158
ISHARES TR SHRT NAT MUN ETF
Reduced-$288,171$4.5M0.00%
39653100
ARCOSA INC COM
Reduced-$287,735$11.1M0.00%
316092840
FIDELITY COVINGTON TRUST HIGH
New$286,715$286,7150.00%
808524201
SCHWAB STRATEGIC TR US LRG CAP
Reduced-$286,490$210,6470.00%
90353T100
UBER TECHNOLOGIES INC
Reduced-$284,567$3.7M0.00%
740367404
PREFERRED BK LOS ANGELES CA
Increased$282,678$1.7M0.00%
8.9417E+113
TRAVELERS COMPANIES INC
Increased$282,586$940,2330.00%
86959K105
SUZANO S A ADR
Increased$278,696$1.5M0.00%
70202L102
PARSONS CORPORATION
Sold out-$277,976$00.00%
464288661
ISHARES TR 3 7 YR TR BD ETF
Reduced-$276,382$1.4M0.00%
921937827
VANGUARD BD INDEX FDS SHORT TR
Reduced-$276,008$296,8400.00%
63425102
BANK OF MARIN BANCORP
Increased$274,797$1.6M0.00%
56035L104
MAIN STR CAP CORP
Sold out-$274,177$00.00%
817565104
SERVICE CORP INTL
Increased$272,675$10.5M0.00%
453836108
INDEPENDENT BK CORP MASS
Reduced-$272,146$7.4M0.00%
25072364
AMERICAN CENTY ETF TR INTERNAT
Sold out-$271,956$00.00%
97717P104
WISDOMTREE INC
Increased$271,438$1.6M0.00%
25434V781
DIMENSIONAL ETF TRUST INTL SMA
Sold out-$269,268$00.00%
860372101
STEWART INFORMATION SVCS CORP
Reduced-$268,428$1.9M0.00%
03769M106
APOLLO GLOBAL MGMT INC
Reduced-$266,186$282,9360.00%
84423102
BERKLEY W R CORP
Sold out-$264,605$00.00%
78463X103
SPDR INDEX SHS FDS PORTFLO EUR
Sold out-$263,498$00.00%
30049H102
EVOLV TECHNOLOGIES HOLDINGS IN
New$263,453$263,4530.00%
30034W106
EVERGY INC
New$263,374$263,3740.00%
172062101
CINCINNATI FINL CORP
Reduced-$262,357$297,8670.00%
25746U109
DOMINION ENERGY INC
Increased$262,150$467,3190.00%
75887109
BECTON DICKINSON AND CO
Sold out-$261,646$00.00%
71813109
BAXTER INTL INC
Sold out-$259,355$00.00%
69374H881
PACER FDS TR US CASH COWS 100
New$258,910$258,9100.00%
78464A508
SPDR SERIES TRUST STATE STREET
Sold out-$258,778$00.00%
16411R208
CHENIERE ENERGY INC
Increased$256,373$679,5480.00%
15135B101
CENTENE CORP DEL
New$256,241$256,2410.00%
72201R833
PIMCO ETF TR ENHAN SHRT MA AC
Sold out-$255,467$00.00%
464287309
ISHARES TR SP 500 GRWT ETF
Reduced-$254,775$2.9M0.00%
464288513
ISHARES TR IBOXX HI YD ETF
New$254,507$254,5070.00%
464287762
ISHARES TR US HLTHCARE ETF
New$253,745$253,7450.00%
56501R106
MANULIFE FINL CORP
New$252,801$252,8010.00%
46434V621
ISHARES TR CORE DIV GRWTH
Increased$252,010$496,4060.00%
921946406
VANGUARD WHITEHALL FDS HIGH DI
Reduced-$251,831$377,1170.00%
466313103
JABIL INC COM
Sold out-$251,353$00.00%
867892101
SUNSTONE HOTEL INVS INC NEW
Reduced-$250,434$10.8M0.00%
62944T105
NVR INC
Sold out-$248,994$00.00%
46435G409
ISHARES TR MSCI INTL VLU FT
Sold out-$248,963$00.00%
833445109
SNOWFLAKE INC
Sold out-$247,981$00.00%
651639106
NEWMONT CORP
Increased$247,711$1.0M0.00%
910047109
UNITED AIRLINES HOLDINGS INC
Sold out-$247,417$00.00%
626755102
MURPHY USA INC
Sold out-$246,845$00.00%
372460105
GENUINE PARTS CO
Sold out-$245,440$00.00%
46434V381
ISHARES TR FUTURE EXPONENTI
Sold out-$245,399$00.00%
464288687
ISHARES PREFERRED INCOME SEC
Sold out-$244,924$00.00%
02072L441
EA SERIES TRUST STRIVE ENHANCE
New$244,134$244,1340.00%
942622200
WATSCO INC
New$242,864$242,8640.00%
311900104
FASTENAL CO
Sold out-$241,835$00.00%
962879102
WHEATON PRECIOUS METALS CORP
New$238,603$238,6030.00%
874054109
TAKE TWO INTERACTIVE SOFTWARE
Sold out-$237,641$00.00%
615369105
MOODYS CORP
Reduced-$237,191$806,4810.00%
171779309
CIENA CORP COM NEW
New$237,038$237,0380.00%
517834107
LAS VEGAS SANDS CORP
Reduced-$236,835$633,3540.00%
29364G103
ENTERGY CORP NEW
Increased$235,469$1.9M0.00%
98980L101
ZOOM COMMUNICATIONS INC CL A
Sold out-$234,795$00.00%
922042858
VANGUARD FTSE EMERGING MKT ETF
Reduced-$234,344$1.2M0.00%
78464A714
SPDR SERIES TRUST STATE STREET
Reduced-$234,257$862,3150.00%
30161N101
EXELON CORP
New$233,424$233,4240.00%
04010L103
ARES CAPITAL CORP
New$233,394$233,3940.00%
32654105
ANALOG DEVICES INC
Increased$233,310$1.1M0.00%
253868103
DIGITAL RLTY TR INC
New$231,499$231,4990.00%
749685103
RPM INTL INC
Sold out-$231,171$00.00%
969904101
WILLIAMS SONOMA INC
Reduced-$230,182$9.0M0.00%
31620M106
FIDELITY NATL INFORMATION SVCS
Sold out-$229,626$00.00%
303250104
FAIR ISAAC CORP
Sold out-$229,518$00.00%
775711104
ROLLINS INC
Sold out-$227,639$00.00%
35710839
ANNALY CAPITAL MANAGEMENT INC
Increased$227,212$472,7140.00%
922475108
VEEVA SYS INC
Sold out-$227,073$00.00%
11133T103
BROADRIDGE FINL SOLUTIONS INC
Reduced-$225,259$369,0090.00%
G0403H108
AON PLC
Sold out-$224,088$00.00%
984017103
XENIA HOTELS RESORTS INC
Reduced-$223,769$5.9M0.00%
23331A109
D R HORTON INC
Reduced-$223,766$1.4M0.00%
78468R101
SPDR SERIES TRUST STATE STREET
Reduced-$223,725$2.9M0.00%
133131102
CAMDEN PPTY TR SH BEN INT
Increased$223,588$635,0820.00%
124765108
CAE INC
New$223,170$223,1700.00%
23586506
U HAUL HOLDING COMPANY
Sold out-$222,949$00.00%
46429B267
ISHARES TR US TREAS BD ETF
New$222,690$222,6900.00%
493267108
KEYCORP
Reduced-$222,230$1.7M0.00%
169656105
CHIPOTLE MEXICAN GRILL INC
New$222,158$222,1580.00%
464286806
ISHARES INC MSCI GERMANY ETF
Sold out-$222,147$00.00%
26614N102
DUPONT DE NEMOURS INC
New$222,051$222,0510.00%
25072604
AMERICAN CENTY ETF TR AVANTIS
Sold out-$221,740$00.00%
46641Q837
J P MORGAN EXCHANGE TRADED FD
Sold out-$221,078$00.00%
808524771
SCHWAB STRATEGIC TR FUNDAMENTA
Sold out-$220,994$00.00%
464288638
ISHARES INTERMEDIATE TERM CORP
Reduced-$220,769$2.6M0.00%
00766T100
AECOM
Sold out-$220,618$00.00%
74834L100
QUEST DIAGNOSTICS INC
Sold out-$220,356$00.00%
H2906T109
GARMIN LTD
Increased$219,477$1.6M0.00%
46137V357
INVESCO EXCHANGE TRADED FD TR
Reduced-$219,423$542,3100.00%
25434V203
DIMENSIONAL ETF TRUST INTL COR
New$219,111$219,1110.00%
278642103
EBAY INC
Reduced-$218,649$209,7970.00%
921946794
VANGUARD INTERNATIONAL HIGH DI
New$218,251$218,2510.00%
891092108
TORO CO
New$218,040$218,0400.00%
53190C102
LIFE TIME GROUP HOLDINGS INC
Increased$218,007$59.5M0.00%
552953101
MGM RESORTS INTERNATIONAL
Reduced-$216,811$1.5M0.00%
682680103
ONEOK INC NEW
Increased$216,667$961,5420.00%
74460D109
PUBLIC STORAGE OPER CO
Sold out-$216,183$00.00%
440452100
HORMEL FOODS CORP
Reduced-$215,982$1.7M0.00%
3.4959E+113
FORTINET INC
New$215,885$215,8850.00%
88579Y101
3M CO
Reduced-$215,142$1.3M0.00%
3.3733E+108
FIRST TR EXCHANGE TRADED FD CA
New$214,941$214,9410.00%
78463X509
SPDR INDEX SHS FDS PORTFOLIO E
Sold out-$213,760$00.00%
38059T106
GOLD FIELDS LTD ADR
Sold out-$213,715$00.00%
127387108
CADENCE DESIGN SYSTEM INC
Sold out-$213,664$00.00%
8252108
AFFILIATED MANAGERS GROUP
Reduced-$213,381$70.1M0.00%
46641Q191
J P MORGAN EXCHANGE TRADED FD
Sold out-$213,156$00.00%
14020X104
CAPITAL GROUP GBL GROWTH EQTY
Sold out-$212,543$00.00%
78464A631
SPDR SERIES TRUST STATE STREET
New$212,444$212,4440.00%
337932107
FIRSTENERGY CORP
New$212,363$212,3630.00%
92189F643
VANECK ETF TR
New$212,226$212,2260.00%
61174X109
MONSTER BEVERAGE CORP NEW
Sold out-$212,124$00.00%
844741108
SOUTHWEST AIRLS CO
New$211,614$211,6140.00%
47103U845
JANUS DETROIT STR TR HENDRSON
Sold out-$211,532$00.00%
72201R817
PIMCO ETF TR INV GRD CRP BD
Sold out-$211,258$00.00%
48666K109
KB HOME
Sold out-$211,183$00.00%
670837103
OGE ENERGY CORP
Increased$210,376$1.8M0.00%
668771108
GEN DIGITAL INC COM
Sold out-$210,330$00.00%
78433H303
NEOS ETF TRUST NEOS SP 500 HI
New$210,281$210,2810.00%
209115104
CONSOLIDATED EDISON INC
Sold out-$210,254$00.00%
444859102
HUMANA INC
Sold out-$209,742$00.00%
857477103
STATE STR CORP
Reduced-$209,314$504,3250.00%
25072877
AMERICAN CENTY ETF TR US SML C
New$209,230$209,2300.00%
37954Y830
GLOBAL X FDS GLOBAL X COPPER
New$209,046$209,0460.00%
64361Q101
VIPER ENERGY INC
Reduced-$207,449$429,9180.00%
92189F791
VANECK ETF TR
New$205,678$205,6780.00%
92840M102
VISTRA CORP
New$205,314$205,3140.00%
654902204
NOKIA CORP ADR
Sold out-$204,612$00.00%
624580106
MOVADO GROUP INC
Increased$204,041$1.3M0.00%
74727A104
QCR HLDGS INC
Reduced-$203,296$1.8M0.00%
570535104
MARKEL GROUP INC COM
Increased$203,281$492,1090.00%
892356106
TRACTOR SUPPLY CO
Sold out-$202,982$00.00%
718172109
PHILIP MORRIS INTL INC
Reduced-$202,775$2.8M0.00%
40434L105
HP INC COM
Sold out-$202,634$00.00%
3.7959E+106
GLOBE LIFE INC
Sold out-$201,079$00.00%
464288273
ISHARES TR EAFE SML CP ETF
New$200,880$200,8800.00%
969457100
WILLIAMS COS INC
Increased$200,850$542,1170.00%
30420103
AMERICAN WTR WKS CO INC NEW
New$200,249$200,2490.00%
126128107
CNB FINL CORP PA
Increased$199,050$2.1M0.00%
98850P109
YUM CHINA HLDGS INC COM
Increased$198,899$1.1M0.00%
03957W106
ARCHROCK INC COM
Increased$195,533$1.0M0.00%
83443Q103
SOLSTICE ADVANCED MATERIALS IN
Increased$194,799$500,7550.00%
872590104
T MOBILE US INC
Reduced-$194,152$258,7260.00%
14020W106
CAPITAL GROUP DIVIDEND VALUE E
Reduced-$193,231$282,9130.00%
70450Y103
PAYPAL HLDGS INC
Reduced-$191,443$409,0530.00%
40412C101
HCA HEALTHCARE INC
Increased$186,056$821,2600.00%
31428X106
FEDEX CORP
Reduced-$185,575$700,4510.00%
02319V103
AMBEV SA ADR
Increased$184,043$1.6M0.00%
808524409
SCHWAB STRATEGIC TR US LCAP VA
Reduced-$183,664$340,4720.00%
64125C109
NEUROCRINE BIOSCIENCES INC
Increased$182,770$16.1M0.00%
744320102
PRUDENTIAL FINL INC
Increased$182,401$504,7710.00%
60687Y109
MIZUHO FINANCIAL GROUP INC ADR
Increased$180,693$2.2M0.00%
92338C103
VERALTO CORP
Reduced-$179,607$1.1M0.00%
199908104
COMFORT SYS USA INC
Increased$179,146$426,8770.00%
26740W109
D WAVE QUANTUM INC
New$178,659$178,6590.00%
94106L109
WASTE MGMT INC DEL
Reduced-$176,854$2.2M0.00%
G3922B107
GENPACT LIMITED
Reduced-$176,527$646,9920.00%
464287671
ISHARES CORE SP US GROWTH E
Reduced-$175,960$370,2380.00%
125523100
CIGNA GROUP
Reduced-$175,780$248,8320.00%
464288836
ISHARES TR US PHARMA ETF
Increased$175,366$239.9M0.00%
464288877
ISHARES TR EAFE VALUE ETF
Reduced-$173,653$547,4240.00%
363576109
GALLAGHER ARTHUR J CO
Increased$171,453$576,0290.00%
67070X101
NUVEEN ENHANCED MUN CREDIT INC
New$171,032$171,0320.00%
922908751
VANGUARD INDEX FDS SMALL CP ET
Increased$171,024$1.1M0.00%
69351T106
PPL CORP
Increased$169,678$1.9M0.00%
464287150
ISHARES TR CORE SP TTL STK
Increased$169,108$587,5080.00%
464287663
ISHARES TR CORE SP US VLU
Reduced-$167,668$269,2730.00%
71424F105
PERMIAN RESOURCES CORP
Increased$166,898$496,4510.00%
40167F101
GUGGENHEIM STRATEGIC OPPORTUN
New$166,691$166,6910.00%
714046109
REVVITY INC
Reduced-$166,471$1.1M0.00%
92939U106
WEC ENERGY GROUP INC
Increased$164,763$393,8360.00%
55261F104
M T BK CORP
Reduced-$164,610$7.7M0.00%
743606105
PROSPERITY BANCSHARES INC
Reduced-$164,229$3.2M0.00%
09180C106
BJS RESTAURANTS INC
Reduced-$163,908$1.3M0.00%
49560105
ATMOS ENERGY CORP
Increased$163,159$1.5M0.00%
8.3422E+208
SOLID BIOSCIENCES INC
Increased$161,431$745,0630.00%
538034109
LIVE NATION ENTERTAINMENT INC
Increased$160,834$452,6870.00%
464287226
ISHARES CORE US AGGREGATE BOND
Reduced-$160,814$126.6M0.00%
8492100
AGREE RLTY CORP
Increased$160,728$3.6M0.00%
744573106
PUBLIC SVC ENTERPRISE GROUP
Increased$158,129$838,9650.00%
04911A107
ATLANTIC UNION BANKSHARES CO
Increased$157,170$12.9M0.00%
09254J102
BLACKROCK MUNIASSETS FD INC
New$156,986$156,9860.00%
20002101
ALLSTATE CORP
Increased$155,058$692,2970.00%
756109104
REALTY INCOME CORP
Increased$153,537$438,4170.00%
59156R108
METLIFE INC
Reduced-$153,418$278,6030.00%
501044101
KROGER CO
Increased$153,365$1.2M0.00%
443201108
HOWMET AEROSPACE INC
Increased$151,388$946,8470.00%
00123Q104
AGNC INVT CORP COM
Sold out-$150,727$00.00%
530158104
LIBERTY ALL STAR EQUITY FD
Sold out-$149,640$00.00%
46428Q109
ISHARES SILVER TR ISHARES
Increased$149,621$374,0240.00%
85254J102
STAG INDUSTRIAL INC
Increased$149,078$6.9M0.00%
464287861
ISHARES TR EUROPE ETF
Reduced-$147,568$549,6790.00%
302130109
EXPEDITORS INTL WASH INC COM
Reduced-$146,983$1.5M0.00%
464287598
ISHARES TR RUS 1000 VAL ETF
Reduced-$146,340$2.9M0.00%
V7780T103
ROYAL CARIBBEAN GROUP
Increased$145,501$625,3910.00%
92204A603
VANGUARD INDUSTRIALS ETF
Increased$142,456$2.6M0.00%
46131M106
INVESCO TR INV MUNS COM
New$141,654$141,6540.00%
464288885
ISHARES TR EAFE GRWTH ETF
Reduced-$140,276$385,8400.00%
45866F104
INTERCONTINENTAL EXCHANGE INC
Increased$139,946$540,4830.00%
670703107
NUVALENT INC CLASS A
Reduced-$139,297$10.0M0.00%
29273V100
ENERGY TRANSFER L P
Reduced-$138,647$388,8650.00%
92204A108
VANGUARD US CONSUMER DISC ETF
Reduced-$138,310$515,8250.00%
06849F108
BARRICK MNG CORP
Increased$137,704$356,9700.00%
87162W100
TD SYNNEX CORP
Increased$137,261$1.4M0.00%
19330109
ALLIENT INC COM
Reduced-$135,570$2.6M0.00%
456788108
INFOSYS LTD ADR
New$135,441$135,4410.00%
67401P405
OAKTREE SPECIALTY LENDING CORP
Sold out-$131,547$00.00%
45168D104
IDEXX LABS INC
Increased$131,199$337,0800.00%
64110D104
NETAPP INC
Reduced-$129,461$275,3240.00%
74736K101
QORVO INC
Reduced-$129,203$1.4M0.00%
922908652
VANGUARD INDEX FDS EXTEND MKT
Increased$128,721$387,1010.00%
922908553
VANGUARD REAL ESTATE ETF
Reduced-$126,648$697,6210.00%
78464A409
SPDR SERIES TRUST STATE STREET
Increased$125,536$492,2080.00%
233377407
DXP ENTERPRISES INC
Increased$124,855$1.8M0.00%
23325P104
DNP SELECT INCOME FD INC
New$124,506$124,5060.00%
3057106
ABRDN INCOME CREDIT STRATEGIES
New$122,400$122,4000.00%
7.4762E+106
QUANTA SVCS INC
Increased$120,831$498,7470.00%
127097103
COTERRA ENERGY INC
Increased$120,490$498,7760.00%
216648501
COOPER COS INC COM
Reduced-$119,916$772,3140.00%
82620P102
SIERRA BANCORP
Increased$119,841$1.7M0.00%
92189H607
VANECK ETF TR
Increased$119,440$404,2090.00%
78464A755
SPDR SERIES TRUST STATE STREET
Increased$118,170$2.9M0.00%
03831W108
APPLOVIN CORP
Reduced-$115,621$234,1390.00%
464286764
ISHARES INC MSCI SPAIN ETF
Reduced-$114,989$717,4890.00%
46434G103
ISHARES CORE MSCI EM ETF
Increased$114,079$1.0M0.00%
808524755
SCHWAB STRATEGIC TR FUNDAMENTA
Increased$113,763$361,8750.00%
12572Q105
CME GROUP INC
Reduced-$113,023$348,6720.00%
496902404
KINROSS GOLD CORP
Increased$111,711$378,3860.00%
75644T100
RED CAT HLDGS INC
Sold out-$111,020$00.00%
55354G100
MSCI INC
Reduced-$110,628$1.5M0.00%
464287408
ISHARES TR SP 500 VAL ETF
Reduced-$109,049$2.2M0.00%
172908105
CINTAS CORP
Reduced-$108,852$594,2840.00%
87165B103
SYNCHRONY FINANCIAL
Increased$108,200$2.1M0.00%
98389B100
XCEL ENERGY INC
Increased$107,921$539,4960.00%
92645B103
VICTORY CAP HLDGS INC DEL
Increased$107,650$2.7M0.00%
26874784
AMERICAN INTL GROUP INC COM NE
Reduced-$104,959$222,6050.00%
464287721
ISHARES TR US TECH ETF
Increased$104,292$614,6640.00%
636274409
NATIONAL GRID PLC SPONSOR ADR
Increased$104,255$1.9M0.00%
747619104
QUANEX BLDG PRODS CORP
Increased$103,460$717,8290.00%
13321L108
CAMECO CORP
Increased$102,083$718,8240.00%
09260D107
BLACKSTONE INC
Reduced-$101,740$1.3M0.00%
828730200
SIMMONS FIRST NATL CORP
Increased$101,324$3.3M0.00%
14888U101
CATALYST PHARMACEUTICALS INC
Increased$101,206$2.0M0.00%
464288760
ISHARES US AEROSPACE DEF ETF
Reduced-$101,141$2.3M0.00%
42824C109
HEWLETT PACKARD ENTERPRISE CO
Reduced-$100,754$8.4M0.00%
21924U300
CORNERSTONE TOTAL RETURN FD IN
Sold out-$100,189$00.00%
G7738W106
SFL CORPORATION LTD
Sold out-$99,894$00.00%
46429B689
ISHARES TR MSCI EAFE MIN VL
Increased$98,466$401,6970.00%
825107105
SHORE BANCSHARES INC
Increased$97,659$1.8M0.00%
45841N107
INTERACTIVE BROKERS GROUP INC
Reduced-$97,226$498,3370.00%
98978V103
ZOETIS INC
Reduced-$97,181$277,1780.00%
46435G516
ISHARES ESG MSCI EAFE ETF
Reduced-$97,140$5.5M0.00%
N6596X109
NXP SEMICONDUCTORS N V
Reduced-$94,035$283,6170.00%
09061G101
BIOMARIN PHARMACEUTICAL INC
Reduced-$93,046$2.0M0.00%
46654Q203
J P MORGAN EXCHANGE TRADED FD
Increased$92,040$348,0690.00%
8.7612E+110
TARGET CORP
Increased$91,545$484,1380.00%
48251W104
KKR CO INC
Reduced-$90,332$221,7510.00%
92204A405
VANGUARD WORLD FD FINANCIALS E
Reduced-$90,330$245,7390.00%
405552100
HALEON PLC ADR
Increased$89,973$3.3M0.00%
74623V103
PURECYCLE TECHNOLOGIES INC
New$89,895$89,8950.00%
36752103
ELEVANCE HEALTH INC
Increased$88,281$540,5620.00%
922042775
VANGUARD INTL EQUITY INDEX FDS
Increased$87,395$451,3630.00%
760759100
REPUBLIC SVCS INC
Increased$87,393$1.5M0.00%
25434V609
DIMENSIONAL ETF TRUST US TARGE
Increased$87,276$289,5810.00%
759509102
RELIANCE INC
Increased$85,933$950,2600.00%
637870106
NATIONAL STORAGE AFFILIATES TR
Increased$85,123$336,6510.00%
981811102
WORTHINGTON ENTERPRISES INC
Increased$85,061$22.6M0.00%
78464A854
SPDR SERIES TRUST STATE STREET
Increased$83,988$539,5290.00%
G02602103
AMDOCS LTD
Reduced-$83,678$279,7550.00%
464287556
ISHARES NASDAQ BIOTECH ETF
Reduced-$83,333$382,9810.00%
46434G772
ISHARES MSCI TAIWAN ETF
Increased$83,218$1.4M0.00%
33738R506
FIRST TR EXCHANGE TRADED FD VI
Reduced-$81,779$232,2880.00%
449172105
HYSTER YALE INC CL A
Increased$81,652$1.1M0.00%
174610105
CITIZENS FINL GROUP INC
Reduced-$81,508$7.4M0.00%
115236101
BROWN BROWN INC
Reduced-$80,662$202,0210.00%
9158106
AIR PRODUCTS AND CHEMICALS INC
Increased$80,552$393,2200.00%
H1467J104
CHUBB LTD SWITZ
Increased$80,450$1.6M0.00%
922908512
VANGUARD INDEX FDS MCAP VL IDX
Increased$79,304$362,0740.00%
609207105
MONDELEZ INTL INC
Reduced-$79,235$663,6380.00%
46132X101
INVESCO MUNI INCOME OPP TRST
New$78,927$78,9270.00%
92206C102
VANGUARD SCOTTSDALE FDS SHORT
Increased$78,544$393,0790.00%
26884L109
EQT CORP
Increased$78,073$349,5980.00%
22788C105
CROWDSTRIKE HLDGS INC
Reduced-$77,044$1.1M0.00%
879360105
TELEDYNE TECHNOLOGIES INC
Increased$76,534$1.8M0.00%
32095101
AMPHENOL CORP
Reduced-$71,273$704,5340.00%
816851109
SEMPRA
Increased$70,286$333,8460.00%
778296103
ROSS STORES INC
Reduced-$70,148$3.3M0.00%
620076307
MOTOROLA SOLUTIONS INC
Increased$69,793$744,8150.00%
316188309
FIDELITY MERRIMACK STR TR TOTA
Increased$69,602$498,6190.00%
464287481
ISHARES TR RUS MD CP GR ETF
Reduced-$68,628$206,8920.00%
92206C714
VANGUARD SCOTTSDALE FDS VNG RU
Increased$68,093$410,6600.00%
464288117
ISHARES TR INTL TREA BD ETF
Reduced-$67,695$4.6M0.00%
24703L202
DELL TECHNOLOGIES INC
Increased$67,298$433,3990.00%
464286343
ISHARES INC US POWER INFRAST
Increased$65,942$1.3M0.00%
921932505
VANGUARD ADMIRAL FDS INC 500 G
Reduced-$65,152$663,6750.00%
464288356
ISHARES CALIFORNIA MUNI BOND E
Reduced-$64,611$344,9380.00%
124155102
BUTTERFLY NETWORK INC
New$64,252$64,2520.00%
680277100
OLD SECOND BANCORP INC DEL
Increased$64,208$2.0M0.00%
893641100
TRANSDIGM GROUP INC
Reduced-$63,774$334,3830.00%
49456B101
KINDER MORGAN INC DEL
Reduced-$62,752$516,6170.00%
316092600
FIDELITY MSCI HLTH CARE I
Reduced-$62,633$710,0310.00%
882508104
TEXAS INSTRS INC
Increased$62,621$1.0M0.00%
243537107
DECKERS OUTDOOR CORP
Increased$62,586$734,9640.00%
78464A359
SPDR SERIES TRUST STATE STREET
Increased$61,966$322,6080.00%
5.9318E+106
MFS HIGH YIELD MUN TR
New$60,312$60,3120.00%
22052L104
CORTEVA INC
Reduced-$58,573$513,4960.00%
75886F107
REGENERON PHARMACEUTICALS
Increased$56,725$3.9M0.00%
46432F396
ISHARES TR MSCI USA MMENTM
Increased$55,551$350,4690.00%
74348A467
PROSHARES TR SP 500 DV ARIST
Increased$54,796$334,7070.00%
830879102
SKYWEST INC
Reduced-$54,736$471,9140.00%
929160109
VULCAN MATLS CO
Reduced-$54,669$256,2970.00%
05550J101
BJS WHSL CLUB HLDGS INC
Increased$54,523$623,8130.00%
78464A375
SPDR PORTFOLIO INTERMEDIATE TE
Increased$54,256$1.0M0.00%
91704F104
URBAN EDGE PPTYS
Increased$54,076$12.7M0.00%
113004105
BROOKFIELD ASSET MANAGMT LTD
Reduced-$54,026$219,6270.00%
44955L106
I 80 GOLD CORP
New$53,808$53,8080.00%
464287176
ISHARES TR TIPS BD ETF
Reduced-$53,781$407,1500.00%
38336103
APTARGROUP INC
Increased$53,497$2.9M0.00%
74340W103
PROLOGIS INC COM
Reduced-$53,477$2.1M0.00%
293792107
ENTERPRISE PRODS PARTNERS L P
Increased$53,085$1.1M0.00%
21867A105
CORE LABORATORIES COM NPV
Reduced-$52,931$12.4M0.00%
87612G101
TARGA RES CORP
Reduced-$52,625$288,7880.00%
58463J304
MEDICAL PPTYS TRUST INC
Sold out-$52,011$00.00%
154760409
CENTRAL PAC FINL CORP
Reduced-$51,721$2.2M0.00%
896522109
TRINITY INDS INC
Increased$51,624$254,7360.00%
571748102
MARSH
Reduced-$50,646$353,4130.00%
704326107
PAYCHEX INC
Reduced-$49,783$364,6640.00%
866082100
SUMMIT HOTEL PPTYS
Reduced-$48,800$2.6M0.00%
852234103
BLOCK INC CL A
Reduced-$47,590$263,6780.00%
44486Q103
HUMACYTE INC
Sold out-$47,448$00.00%
247361702
DELTA AIR LINES INC
Reduced-$46,579$294,2870.00%
78464A672
SPDR SERIES TRUST PORTFLIO INT
Reduced-$45,818$1.2M0.00%
92936U109
WP CAREY INC
Increased$45,691$384,3610.00%
743315103
PROGRESSIVE CORP
Reduced-$45,362$2.2M0.00%
316092113
FIDELITY COVINGTON TRUST ENHAN
Reduced-$44,958$202,7980.00%
464286608
ISHARES MSCI EUROZONE ETF
Increased$44,611$213.8M0.00%
00302L108
ABRDN GLOBAL PREMIER PPTYS FD
Sold out-$43,259$00.00%
459200101
INTERNATIONAL BUSINESS MACHS
Reduced-$42,742$6.0M0.00%
464287606
ISHARES TR SP MC 400GR ETF
Reduced-$42,621$333,9610.00%
316092303
FIDELITY MSCI CONS STAPLES ETF
Increased$41,812$451,7120.00%
46429B697
ISHARES TR MSCI USA MIN VOL
Increased$41,744$390,1690.00%
500767306
KRANESHARES CHINA INTERNET ETF
Reduced-$41,338$1.5M0.00%
75321W103
RANPAK HOLDINGS CORP
New$40,947$40,9470.00%
95040Q104
WELLTOWER INC COM
Reduced-$40,518$276,9300.00%
189054109
CLOROX CO DEL
Increased$39,939$608,1630.00%
709789101
PEOPLES BANCORP INC
Increased$39,774$1.6M0.00%
706915105
PENGUIN SOLUTIONS INC
Reduced-$38,488$677,3880.00%
11642105
ALARM COM HLDGS INC
Reduced-$38,317$334,8940.00%
416515104
HARTFORD INSURANCE GROUP INC
Increased$38,188$523,1470.00%
68375N103
OPKO HEALTH INC
Sold out-$37,800$00.00%
84470P109
SOUTHSIDE BANCSHARES INC
Increased$37,541$1.7M0.00%
853606101
STANDARD LITHIUM CORP
New$37,512$37,5120.00%
92335C106
VERA BRADLEY INC
Increased$36,540$156,0340.00%
46641Q332
J P MORGAN EXCHANGE TRADED FD
Increased$36,220$589,3350.00%
1055102
AFLAC INC
Increased$36,069$1.4M0.00%
253798102
DIGI INTL INC
Increased$35,638$352,3900.00%
758849103
REGENCY CTRS CORP
Increased$34,706$441,9440.00%
110448107
BRITISH AMERN TOB PLC SPON ADR
Increased$34,506$4.5M0.00%
665859104
NORTHERN TR CORP
Reduced-$33,953$313,8530.00%
46333X108
IRONWOOD PHARMACEUTICALS INC
Sold out-$33,700$00.00%
92204A207
VANGUARD FDS CONSUM STP ETF
Increased$31,647$377,5500.00%
46435U549
ISHARES TR ESG AWR US AGRGT
Increased$30,469$280,1170.00%
824348106
SHERWIN WILLIAMS CO
Reduced-$30,327$345,6460.00%
816850101
SEMTECH CORP
Increased$30,015$545,9180.00%
872280102
CARLYLE SECURED LENDING INC
Reduced-$29,672$250,8650.00%
43300A203
HILTON INC
Reduced-$29,390$310,0450.00%
316092501
FIDELITY MSCI FINLS IDX
Reduced-$29,334$1.4M0.00%
92206C771
VANGUARD SCOTTSDALE FDS MORTG
Increased$29,280$434,4030.00%
25787G100
DONNELLEY FINL SOLUTIONS INC
Increased$28,607$2.5M0.00%
25243Q205
DIAGEO PLC ADR
Increased$27,818$283,9360.00%
320218100
FIRST FINL CORP
Reduced-$27,567$2.3M0.00%
62540109
BANK HAWAII CORP
Increased$27,369$381,8670.00%
563571405
MANITOWOC CO INC
Reduced-$26,404$1.7M0.00%
G25839104
COCA COLA EUROPACIFIC PARTNERS
Reduced-$26,373$3.4M0.00%
53332102
AUTOZONE INC
Reduced-$25,245$348,2530.00%
464286707
ISHARES INC MSCI FRANCE ETF
Reduced-$25,068$371,1660.00%
H01301128
ALCON INC
Reduced-$24,264$449,7050.00%
85207H104
SPROTT ASSET MANAGEMENT LP PHY
Increased$23,398$1.0M0.00%
46434V613
ISHARES TR CORE UNIVRSL USD
Reduced-$23,389$324,3470.00%
45245EAJ8
IMAX CORP
Sold out-$23,265$00.00%
384802104
WW GRAINGER INC
Increased$23,203$595,1720.00%
92189F692
VANECK ETF TRUST PHARMACEUTCL
Reduced-$22,053$1.6M0.00%
464287499
ISHARES TR RUS MID CAP ETF
Increased$21,956$380,7590.00%
92189F106
VANECK GOLD MINERS ETF
Reduced-$21,864$222,6500.00%
81369Y886
SPDR UTILITIES SELECT SECTOR
Reduced-$21,828$1.0M0.00%
56752108
BAIDU INC SPON ADR ADR
Reduced-$20,770$2.6M0.00%
4.6138E+210
INVESCO EXCHANGE TRADED FD TR
Increased$20,072$551,5920.00%
66510M204
NORTHERN DYNASTY MINERALS LTD
New$19,600$19,6000.00%
3009867
ABRDN ASIA PACIFIC INCOME FUND
Increased$19,476$286,8680.00%
30257X104
FB FINL CORP COM
Reduced-$18,792$250,6100.00%
30040W108
EVERSOURCE ENERGY
Reduced-$18,759$375,8220.00%
293712105
ENTERPRISE FINL SVCS CORP
Increased$18,153$7.2M0.00%
03076C106
AMERIPRISE FINL INC
Reduced-$17,799$375,6950.00%
92204A504
VANGUARD WORLD FD HEALTH CAR E
Increased$16,915$678,0280.00%
609839105
MONOLITHIC PWR SYS INC
Increased$16,182$232,2240.00%
922908611
VANGUARD INDEX FDS SM CP VAL E
Reduced-$15,200$361,3880.00%
G96629103
WILLIS TOWERS WATSON PLC LTD
Increased$14,369$260,8010.00%
59001A102
MERITAGE HOMES CORP
Reduced-$14,139$211,5540.00%
49338L103
KEYSIGHT TECHNOLOGIES INC
Reduced-$13,998$227,2930.00%
77347300
BEL FUSE INC
Increased$13,737$42.7M0.00%
G7997R103
SEAGATE TECHNOLOGY HLDNGS PLC
Reduced-$12,546$375,8690.00%
92189F379
VANECK ETF TRUST CHINA BOND ET
Increased$12,457$605,1770.00%
464288620
ISHARES BROAD USD INVESTMENT G
Increased$12,302$844,5260.00%
573284106
MARTIN MARIETTA MATLS INC
Increased$12,252$216,8400.00%
G7606H108
ROADZEN INC
New$12,000$12,0000.00%
H50430232
LOGITECH INTL S A GRS
Increased$10,755$234,2160.00%
464288646
ISHARES SHORT TERM CORPORATE B
Reduced-$10,459$207,3360.00%
4397105
ACCURAY INC
Sold out-$9,944$00.00%
92203C303
VANGUARD BD INDEX FDS VANGUARD
Reduced-$7,999$237,0260.00%
745867101
PULTE GROUP INC
Increased$7,420$212,2640.00%
962166104
WEYERHAEUSER CO
Reduced-$7,224$271,6420.00%
14149Y108
CARDINAL HEALTH INC
Increased$7,104$483,7000.00%
571903202
MARRIOTT INTL INC NEW
Increased$7,042$903,1950.00%
12564W227
CREATIVE MEDIA CMNTY TR
New$6,719$6,7190.00%
922042718
VANGUARD FTSE ALL WO X US SC
Reduced-$6,562$321,3530.00%
46284V101
IRON MTN INC DEL
Increased$5,946$355,6700.00%
500600101
KOPIN CORP
Reduced-$5,929$148,2180.00%
35137L204
FOX CORP
Reduced-$5,870$1.7M0.00%
29250N105
ENBRIDGE INC
Increased$5,635$880,1930.00%
464286517
ISHARES INC JP MORGAN EM ETF
Increased$5,323$431,5810.00%
929740108
WABTEC
Reduced-$5,133$534,2470.00%
464288695
ISHARES TR GLOBAL MATER ETF
Reduced-$4,846$527,0360.00%
464285204
ISHARES GOLD TR ISHARES NEW
Increased$4,572$838,5420.00%
89834G836
TRUST FOR PROFESSIONAL MANAGER
Reduced-$4,414$229,7690.00%
373865104
GERMAN AMERN BANCORP INC
Reduced-$4,054$1.6M0.00%
828806109
SIMON PPTY GROUP INC NEW
Reduced-$3,344$492,7870.00%
78468R804
SPDR SERIES TRUST STATE STREET
Increased$3,104$218,5280.00%
15101Q207
CELESTICA INC
Reduced-$2,731$412,7540.00%
08771Y402
SRX HEALTH SOLUTIONS INC
New$2,580$2,5800.00%
G87052109
TE CONNECTIVITY PLC
Increased$2,327$549,6320.00%
738920107
ASPIRE BIOPHARMA HLDGS INC
Sold out-$1,319$00.00%
45408X308
IGC PHARMA INC COM
Reduced-$798$11,4140.00%
504922105
LABORATORY CORP OF AMERICA HOL
Reduced-$459$439,7230.00%
345370860
FORD MTR CO
Reduced-$102$1.4M0.00%
922908637
VANGUARD INDEX FDS LARGE CAP E
Reduced-$101$351,5090.00%

Evidence

Related Cards

KF

Ken Fisher

Ken Fisher (Fisher Asset Management) filed a 13F change in ASTRAZENECA PLC (G0593M107) on 2026-05-05, covering period end 2026-03-31.

KF
Reduced594918104

Ken Fisher

Ken Fisher (Fisher Asset Management) filed a 13F change in MICROSOFT CORP (594918104) on 2026-05-05, covering period end 2026-03-31.

KF
Sold out46353108

Ken Fisher

Ken Fisher (Fisher Asset Management) filed a 13F change in ASTRAZENECA PLC ADR (46353108) on 2026-05-05, covering period end 2026-03-31.

Ken Fisher (Fisher Asset Management) disclosed new in PBB GLOBAL OIL GAS EP ETF | TradingNote AI