Insider und Institutionelle

Insider-Kauf trifft institutionelle Aufstockung

Aktien, bei denen sowohl Insider kaufen (Form 4) als auch institutionelle Fonds aufstocken (13F) — zwei unabhängige Meldepflichten, die hier zusammenfallen.

Zeitraum

Insider-Käufe: letzte 90 Tage, Open Market, >10.000 $.
Institutional: aktuelles vs. vorheriges Quartal (13F).

AktieTickerInsider-KäufeInsider-Vol. ($)Neue Fonds-Pos.Erhöhte Fonds-Pos.Netto Inst. ($)ScoreGüteADR
REPUBLIC SERVICES, INC.RSG781.251.016.577 $110510-845.088.280 $
48.360
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM221.392.056 $4531.450131.907.764.926 $
41.866± 48 %Datenbasis Fundamentaldaten 27 %ADR
SIMON PROPERTY GROUP INC.SPG12477.776 $16351813.113.150.328 $
8.172
BERKSHIRE HATHAWAY INCBRK-B3250.072 $2982.11342.518.036.044 $
7.233Datenbasis Fundamentaldaten 27 %
GROUP 1 AUTOMOTIVE INCGPI3348.935.220 $58142-318.017.010 $
6.600
Liberty Latin America Ltd.LILA3048.888.747 $102108-249.461.133 $
6.300
ENERGIZER HOLDINGS, INC.ENR3615.673.709 $49110361.674.525 $
5.724
Amrize LtdAMRZ162.638.162 $7821960.550.290.910 $
4.752± 58 %
PFIZER INCPFE32.960.110 $1511.174-13.552.177.570 $
3.975
BOSTON SCIENTIFIC CORPBSX59.479.236 $156595-22.825.070.124 $
3.755
Aon plcAON66.549.688 $1394755.221.313.852 $
3.684
Uber Technologies, IncUBER315.314.016 $2329693.982.824.228 $
3.603
FISERV INCFISV72.242.901 $106400-2.055.877.126 $
3.542
Blackstone Inc.BX362.445 $1819684.591.538.353 $
3.447
Alpha Metallurgical Resources, Inc.AMR2612.635.232 $3384-470.147.369 $
3.042
Eaton Corp plcETN292.162 $3011.13133.925.324.075 $
2.864
Elevance Health, Inc.ELV31.368.280 $26760121.304.122.126 $
2.604
Vistra Corp.VST31.173.069 $2306335.547.459.126 $
2.589
American Homes 4 RentAMH10329.873 $871702.403.695.201 $
2.570
DICK'S SPORTING GOODS, INC.DKS63.843.905 $1332873.459.216.725 $
2.520
Matador Resources CoMTDR91.237.513 $80198-1.394.025.183 $
2.502
American Assets Trust, Inc.AAT1819.219.191 $3394337.457.093 $
2.286
AXIA Energia S.A.AXIA167.668.156 $409861.641.381 $
2.208ADR
INTEL CORPINTC19.999.985 $1.1421.024384.209.105.260 $
2.166
TRACTOR SUPPLY CO /DE/TSCO4652.394 $150385-6.021.875.872 $
2.140
Honeywell Aerospace Inc.HONA1998.400 $2.062051.259.651.590 $
2.062± 60 %
Energy Transfer LPET321.513.521 $109564238.170.023 $
2.019
Aptiv PLCAPTV68.254.508 $78257-683.668.595 $
2.010± 58 %
OppFi Inc.OPFI201.421.965 $325871.760.976 $
1.800
WELLTOWER INC.WELL21.203.825 $21267529.864.341.901 $
1.774
Columbia Financial, Inc./MD/CLBK254.696.940 $2247139.099.999 $
1.725± 65 %
AST SpaceMobile, Inc.ASTS3619.200 $1843854.778.238.039 $
1.707
Civil Infrastructure Group Inc.CDNL138.541.274 $74561.434.520.333 $
1.690± 68 %
Alibaba Group Holding LtdBABA325.691.200 $125429-9.628.757.308 $
1.662ADR
CARVANA CO.CVNA21.544.981 $15067653.247.998 $
1.652
DPC Holdings PLCDPC1175.821.493 $14304.820.056.970 $
1.573± 45 %
DONEGAL GROUP INCDGICA173.285.223 $197232.211.946 $
1.547
Chemours CoCC7488.619 $86135-216.297.384 $
1.547
Mission Produce, Inc.AVO1242.487.955 $497981.514.284 $
1.536
Autodesk, Inc.ADSK31.371.119 $114398-6.920.446.341 $
1.536
Navios Maritime Partners L.P.NMM403.290.283 $132427.586.667 $
1.480
Bankwell Financial Group, Inc.BWFG211.251.710 $185259.892.795 $
1.470
EquipmentShare.com IncEQPT133.400.348 $5655175.889.295 $
1.443
Ameresco, Inc.AMRC131.914.610 $3377154.947.010 $
1.430
RB GLOBAL INC.RBA5181.396 $632194.175.697.354 $
1.410
GameStop Corp.GME421.705.932 $1971433.492.703.488 $
1.360
CARMAX INCKMX61.268.037 $901361.469.220.041 $
1.356
LINDE PLCLIN147.912 $2181.01012.450.404.574 $
1.228
Keel Infrastructure Corp.BITF4525.657 $30402.147.645.778 $
1.216
Elanco Animal Health IncELAN51.473.069 $80163886.742.659 $
1.215
Goosehead Insurance, Inc.GSHD1011.450.192 $4765112.036.305 $
1.120
Cencora, Inc.COR21.245.387 $110435-5.795.264.859 $
1.090
Constellation Energy CorpCEG1417.931 $183840-4.794.463.993 $
1.023
ProFrac Holding Corp.ACDC109.753.790 $33682.645.503 $
1.010
Celanese CorpCE4225.512 $84168-1.500.532.219 $
1.008± 68 %
SUJA LIFE, INC.SUJA2229.042.164 $450105.403.218 $
990± 50 %
Netskope IncNTSK621.961.192 $7389895.719.917 $
972
NATURES SUNSHINE PRODUCTS INCNATR142.612.712 $1752-21.088.010 $
966± 57 %
Artiva Biotherapeutics, Inc.ARTV156.677.279 $3925286.119.044 $
960
Albertsons Companies, Inc.ACI42.515.542 $81152-1.473.994.352 $
932
FORD MOTOR COF1148.880 $1937367.673.007.852 $
929± 59 %
Liberty Capital Corp/NVGLIBA513.583.480 $67114-544.375.576 $
905n. b. 38 %
Optimum Communications, Inc.OPTU72.454.482 $5771-58.959.623 $
896
Strategy IncMSTR1998.756 $248633-12.741.660.159 $
881
Evolv Technologies Holdings, Inc.EVLV6296.479 $4896-23.945.431 $
864
Inhibrx Biosciences, Inc.INBX83.499.597 $5058513.239.902 $
864
AMERICAN TOWER CORP /MA/AMT1500.733 $175687635.370.359 $
862
ADOBE INC.ADBE11.945.130 $177676-6.770.940.180 $
853
CME GROUP INC.CME174.885 $165668-19.139.524.052 $
833
Bunge Global SABG2689.050 $124292-3.408.532.665 $
832
HALLADOR ENERGY COHNRG9674.795 $276371.017.014 $
810
TTM TECHNOLOGIES INCTTMI21.642.200 $1782249.055.142.798 $
804
KEMPER CorpKMPR5367.880 $6792-102.762.015 $
795
Pinnacle Financial Partners, Inc.PNFP21.250.335 $1492472.512.485.738 $
792
HUDSON TECHNOLOGIES INC /NYHDSN115.818.422 $2546-11.838.577 $
781
Faeth Therapeutics, Inc.SNSE201.174.821 $2217261.629.691 $
780
Fortune Brands Innovations, Inc.FBIN32.015.342 $1041562.177.272.514 $
780
Wix.com Ltd.WIX7182.425 $3873-3.833.295.400 $
777n. b. 31 %
Aura Minerals Inc.AUGO522.660.981 $9163-76.992.168 $
770± 50 %
Chiron Real Estate Inc.GMRE82.579.304 $316593.656.410 $
768
Enovis CORPENOV5470.519 $5499-61.892.707 $
765
GRANITE CONSTRUCTION INCGVA3103.465 $931601.830.718.474 $
759
GERMAN AMERICAN BANCORP, INC.GABC8155.000 $2073123.516.109 $
744± 63 %
Compass Diversified HoldingsCODI82.426.410 $3062328.105.830 $
736
HF Sinclair CorpDINO21.379.511 $1082601.951.669.996 $
736
DT Midstream, Inc.DTM2218.313 $842691.586.495.061 $
706
FIVE STAR BANCORPFSBC76.279.988 $4852162.631.319 $
700
ENTERGY CORP /DE/ETR1106.075 $1405574.166.332.395 $
697
DYCOM INDUSTRIES INCDY2453.090 $1571874.705.706.042 $
688
HARLEY-DAVIDSON, INC.HOG31.439.491 $94129529.305.161 $
669
Qnity Electronics, Inc.Q1138.136 $2474168.584.544.993 $
663
DARLING INGREDIENTS INC.DAR260.970 $88239-1.063.057.707 $
654
TERAWULF INC.WULF299.950 $1301968.019.350.415 $
652
TENAX THERAPEUTICS, INC.TENX74.800.057 $4944127.239.427 $
651
Kayne Anderson Energy Infrastructure Fund, Inc.KYN5321.585 $30100-7.913.016 $
650
Fulcrum Therapeutics, Inc.FULC61.485.743 $3176-238.218.076 $
642
UNIVERSAL TECHNICAL INSTITUTE INCUTI4295.186 $53107628.085.865 $
640
OCCIDENTAL PETROLEUM CORP /DE/OXY1249.853 $137500-12.711.300.428 $
637
Dream Finders Homes, Inc.DFH51.299.665 $4780110.945.549 $
635
RHRH31.832.322 $74137831.173.435 $
633
Parabilis Medicines, Inc.PBLS87.159.687 $7902.710.461.855 $
632
JABIL INCJBL1149.815 $23639113.386.408.883 $
627
Ascendis Pharma A/SASND2492.654 $30472.562.874.393 $
622n. b. 27 %Datenbasis Fundamentaldaten 15 %ADR
COLONY BANKCORP INCCBAN7151.300 $295913.787.289 $
616
AMETEK INC/AME11.023.400 $1274876.675.770.028 $
614
Grocery Outlet Holding Corp.GO4403.900 $6785339.889.254 $
608
IONIS PHARMACEUTICALS INCIONS21.058.700 $752231.776.490.452 $
596
Byrna Technologies Inc.BYRN10406.209 $2336-43.431.222 $
590
First Carolina Financial Services, Inc.FCBM191.594.625 $31092.635.185 $
589± 50 %
Hyperscale Data, Inc.GPUS141.037.063 $339612.802 $
588± 60 %
Millrose Properties, Inc.MRP2115.580 $100190463.529.326 $
580
Jefferies Financial Group Inc.JEF2642.749.900 $90198946.710.539 $
576
Kearny Financial Corp.KRNY6241.642 $1779104.778.389 $
576
Embecta Corp.EMBC4557.945 $6380-368.144.615 $
572
RESIDEO TECHNOLOGIES, INC.REZI3848.123 $63126-195.154.754 $
567
Borr Drilling LtdBORR612.054.908 $3559-167.243.914 $
564± 59 %
CASEYS GENERAL STORES INCCASY1199.375 $2043575.142.650.359 $
561
Angel Studios, Inc.ANGX82.848.048 $363453.168.942 $
560
Core Scientific, Inc./txCORZ2244.352 $1061725.917.437.600 $
556
ATMOS ENERGY CORPATO150.278 $135416-1.440.779.960 $
551
V F CORPVFC2787.352 $7420025.334.289 $
548
UNITED STATES ANTIMONY CORPUAMY4384.761 $5384-15.648.689 $
548
Solaris Energy Infrastructure, Inc.SEI2500.994 $1131572.240.411.905 $
540
SoFi Technologies, Inc.SOFI1250.787 $134404585.301.200 $
538
SiteOne Landscape Supply, Inc.SITE31.296.930 $63115-1.128.816.621 $
534
CITY HOLDING COCHCO459.740 $3796160.274.195 $
532± 68 %
NEIGHBORHOOD INTELLIGENCE, INC.BBBY4406.828 $4092103.417.491 $
528
COMMERCIAL METALS CoCMC2604.468 $83181169.606.440 $
528
PayPal Holdings, Inc.PYPL1254.537 $113413-2.530.996.220 $
526
H2O AMERICAHTO3474.918 $461284.499.934 $
522
MSCI Inc.MSCI11.000.160 $1213942.748.088.036 $
515
UMB FINANCIAL CORPUMBF2135.021 $821742.471.947.191 $
512
MCCORMICK & CO INCMKC155.227 $154358-435.890.825 $
512± 61 %
NORTHERN TRUST CORPNTRS145.790 $1373715.170.587.009 $
508
Energy Vault Holdings, Inc.NRGV4426.317 $5572282.734.903 $
508
PALISADE BIO, INC.PALI6250.182 $5132104.741.367 $
498
AGREE REALTY CORPADC22.188.800 $48199305.985.510 $
494
CONAGRA BRANDS INC.CAG1510.633 $163330-713.303.557 $
493
On Holding AGONON23.987.581 $91155772.369.292 $
492n. b. 27 %Datenbasis Fundamentaldaten 15 %
CENTERPOINT ENERGY INCCNP140.700 $1213683.821.848.096 $
489
GRUPO FINANCIERO GALICIA SAGGAL64.252.148 $3546208.450.375 $
486± 59 %ADR
CVB FINANCIAL CORPCVBF2675.600 $711701.086.148.171 $
482
CURTISS WRIGHT CORPCW1148.999 $1213563.501.197.703 $
477
PROSPECT CAPITAL CORPPSEC47.400.683 $3188-13.520.216 $
476
CMS ENERGY CORPCMS114.491 $1163581.160.541.572 $
474
Keurig Dr Pepper Inc.KDP1250.247 $12634212.901.587.049 $
468
TechnipFMC plcFTI1499.971 $161306-1.179.552.158 $
467
CINCINNATI FINANCIAL CORPCINF1171.640 $1253403.926.182.663 $
465
GBank Financial Holdings Inc.GBFH91.792.874 $173319.650.090 $
450
Magnolia Oil & Gas CorpMGY2323.125 $59164-1.094.228.653 $
446
COMMUNITY FINANCIAL SYSTEM, INC.CBU375.265 $42106403.530.609 $
444
Broadstone Net Lease, Inc.BNL2211.600 $70151703.976.081 $
442
IPG PHOTONICS CORPIPGP2199.400 $68152632.535.682 $
440
Destiny Tech100 Inc.DXYZ41.792.344 $6842177.976.435 $
440
PROTHENA CORP PUBLIC LTD COPRTA51.176.379 $285814.366.243 $
430
AdaptHealth Corp.AHCO4520.530 $2780-221.115.153 $
428
COSTAR GROUP, INC.CSGP12.489.837 $116312-4.531.116.650 $
428
Chicago Atlantic Real Estate Finance, Inc.REFI71.285.710 $15462.250.766 $
427
Galaxy Digital Inc.GLXY2358.545 $951181.926.308.337 $
426
INSULET CORPPODD1162.217 $91335-3.650.718.743 $
426
BORGWARNER INCBWA1500.664 $1782463.033.523.096 $
424
MEDIFAST INCMED61.413.072 $2545-5.123.452 $
420
Indivior Pharmaceuticals, Inc.INDV2107.955 $891201.260.177.451 $
418
Fidelity National Information Services, Inc.FIS157.367 $91323-3.318.213.766 $
414
DENTSPLY SIRONA Inc.XRAY2164.902 $63144-71.699.825 $
414
lululemon athletica inc.LULU1500.384 $122289-3.900.408.697 $
411
ENERGY FUELS INCUUUU21.018.700 $61144-651.643.474 $
410± 68 %
MATTHEWS INTERNATIONAL CORPMATW5295.924 $265643.275.798 $
410
loanDepot, Inc.LDI6912.710 $1652-7.568.905 $
408
TYSON FOODS, INC.TSN11.001.617 $99306-1.143.634.496 $
405
Guardant Health, Inc.GH178.456 $1782248.301.513.139 $
402
COASTAL FINANCIAL CORPCCB41.115.844 $3070-6.166.566 $
400
FIRST FINANCIAL BANKSHARES INCFFIN2128.403 $51149665.360.065 $
400
Blue Owl Capital CorpOBDC237.589 $48149-23.276.722 $
394
Main Street Capital CORPMAIN2150.577 $43151-9.420.824 $
388
Innventure, Inc.INV4807.794 $405780.797.693 $
388
Orion Group Holdings IncORN4320.840 $2769217.686.587 $
384
Avidia Bancorp, Inc.AVBC7470.842 $262821.051.780 $
378
Bitdeer Technologies GroupBTDR2447.000 $811052.779.253.005 $
372± 65 %Datenbasis Fundamentaldaten 12 %
Ingersoll Rand Inc.IR11.000.091 $98272422.240.180 $
370
NewtekOne, Inc.NEWT4227.260 $197370.503.938 $
368
Opendoor Technologies Inc.OPEN1100.003 $165203351.659.737 $
368
CarParts.com, Inc.PRTS142.064.186 $260-2.805.881 $
364± 57 %
Lineage, Inc.LINE21.814.193 $651161.178.843.153 $
362
Pampa Energy Inc.PAM813.588.813 $1728-21.464.595 $
360Datenbasis Fundamentaldaten 27 %ADR
Mobileye Global Inc.MBLY2198.808 $61118596.959.769 $
358
Via Transportation, Inc.VIA41.298.348 $3257259.128.275 $
356
LTC PROPERTIES INCLTC2153.200 $36142219.649.072 $
356
MapLight Therapeutics, Inc.MPLT665.535.496 $3721437.420.046 $
348
Global Self Storage, Inc.SELF12436.714 $3262.050.581 $
348
ALEXANDRIA REAL ESTATE EQUITIES, INC.ARE1231.400 $1082342.087.496.730 $
342
Soluna Holdings, IncSLNH4117.000 $652060.837.230 $
340
Gaming & Leisure Properties, Inc.GLPI1422.400 $85254164.204.096 $
339
Donnelley Financial Solutions, Inc.DFIN3999.990 $3578-177.279.672 $
339
Allegion plcALLE126.908 $79258-53.138.815 $
337
NVR INCNVR1405.185 $882451.027.279.140 $
333
HAWKINS INCHWKN2261.576 $53112-203.669.987 $
330
WESCO INTERNATIONAL INCWCC1351.254 $1212082.931.653.516 $
329
ITT INC.ITT11.001.592 $842441.273.926.592 $
328
HUBSPOT INCHUBS1199.735 $102226-2.887.977.926 $
328
Tilray Brands, Inc.TLRY369.225 $4960-64.407.054 $
327± 64 %
AbCellera Biologics Inc.ABCL41.545.680 $4239527.119.429 $
324
Polestar Automotive Holding UK PLCPSNY7282.813 $103615.263.500 $
322Datenbasis Fundamentaldaten 15 %ADR
SOMNIGROUP INTERNATIONAL INC.SGI11.885.314 $1032152.285.260.242 $
318
VALMONT INDUSTRIES INCVMI1101.118 $1191983.405.647.430 $
317
YPF SOCIEDAD ANONIMAYPF3532.930 $4362505.559.381 $
315Datenbasis Fundamentaldaten 27 %ADR
Burke & Herbert Financial Services Corp.BHRB2161.648 $6493221.523.938 $
314
Madison Air Solutions CorpMAIR2219.556.784 $15704.773.015.349 $
314± 45 %
ALUMIS INC.ALMS38.267.413 $2975792.914.212 $
312
Under Armour, Inc.UAA1100.181 $105205277.364.387 $
310
NETSTREIT Corp.NTST2120.094 $41114616.361.662 $
310
Babcock & Wilcox Enterprises, Inc.BW2115.050 $8867280.240.600 $
310
MEXICO FUND INCMXF171.506.272 $61216.588.739 $
306
Starling Oncology, Inc.TOI4351.450 $2650106.406.124 $
304
Six Flags Entertainment Corporation/NEWFUN23.174.328 $5498308.511.421 $
304
TORO COTTC114.401 $88212523.888.418 $
300
BJs RESTAURANTS INCBJRI3107.902 $3763561.807.505 $
300
Epsilon Energy Ltd.EPSN5411.838 $1446-18.336.932 $
300
Boundless Bio, Inc.BOLD131.495.484 $131028.917.064 $
299
DLH Holdings Corp.DLHC23685.248 $76-3.484.571 $
299
Celsius Holdings, Inc.CELH1493.843 $110188-644.048.251 $
298
Lumen Technologies, Inc.LUMN1612.680 $91207600.549.621 $
298
REAVES UTILITY INCOME FUNDUTG245.320 $4010761.543.564 $
294
Dutch Bros Inc.BROS1103.120 $1161772.662.027.810 $
293
Match Group, Inc.MTCH1109.890 $981941.691.243.847 $
292
BETA Technologies, Inc.BETA2502.798 $7274347.328.325 $
292
Enhanced Group Inc.APAD104.058.825 $290-167.194.216 $
290
FIVE BELOW, INCFIVE193.309 $91199-2.926.705.560 $
290
TOYOTA MOTOR CORP/TM11.564.850 $77205-855.914.090 $
282Datenbasis Fundamentaldaten 27 %ADR
Enviri CorpNVRI2149.576 $1410491.589.992 $
282
BayCom CorpBCML4461.368 $224824.844.449 $
280
Transocean Ltd.RIG1173.250 $79201-1.347.650.094 $
280
StoneX Group Inc.SNEX1161.206 $1171612.532.476.014 $
278
AECOMACM1298.341 $85191-1.212.684.235 $
276
Clean Energy Fuels Corp.CLNE3109.036 $1576-36.876.184 $
273
AGCO CORP /DEAGCO1100.710 $73199566.407.307 $
272
Chicago Atlantic BDC, Inc.LIEN91.189.900 $1515141.010 $
270
ALASKA AIR GROUP, INC.ALK11.001.510 $1131551.752.261.611 $
268
EQUITY BANCSHARES INCEQBK3250.929 $206979.874.345 $
267
Everus Construction Group, Inc.ECG1144.950 $1041622.159.527.896 $
266
SONOCO PRODUCTS COSON1249.446 $68197801.071.219 $
265
SmartRent, Inc.SMRT4371.280 $3135-36.352.452 $
264
Lifeway Foods, Inc.LWAY46.177.332 $3036149.325.467 $
264
Sibanye Stillwater LtdSBSW2480.850 $4290-686.422.072 $
264Datenbasis Fundamentaldaten 27 %ADR
CLARIVATE PLCCLVT21.671.500 $5478-189.038.742 $
264
COLUMBIA BANKING SYSTEM, INC.COLB122.478 $831801.119.091.086 $
263
CONSTELLIUM SECSTM140.588 $113149785.270.157 $
262
TORTOISE ENERGY INFRASTRUCTURE CORPTYG360.171.325 $285946.914.613 $
261
FIRST CITIZENS BANCSHARES INC /DE/FCNCA199.734 $86175794.472.829 $
261
PULSE BIOSCIENCES, INC.PLSE4199.937 $2143129.268.668 $
256
CAVA GROUP, INC.CAVA1432.380 $84170-661.226.306 $
254
BADGER METER INCBMI1101.572 $82171248.420.978 $
253
CYBIN INC.HELP44.551.332 $313288.252.738 $
252± 56 %Datenbasis Fundamentaldaten 15 %
Infleqtion, Inc.INFQ1646.836 $19458822.457.322 $
252
American Bitcoin Corp.ABTC32.321.107 $31536.459.869 $
252± 64 %
Planet Fitness, Inc.PLNT1492.800 $101151-1.799.586.050 $
252
Clipper Realty Inc.CLPR81.197.375 $1417-4.206.997 $
248± 49 %
Franklin BSP Realty Trust, Inc.FBRT2291.612 $6163-44.728.849 $
248
AAON, INC.AAON134.924 $1161322.508.878.602 $
248
Gitlab Inc.GTLB1122.960 $991431.594.854.836 $
242
Kura Oncology, Inc.KURA22.351.000 $2992270.415.744 $
242
Vistance Networks, Inc.VISN1107.500 $76162-819.733.492 $
238
VALVOLINE INCVVV149.999 $72164866.961.567 $
236
Zurn Elkay Water Solutions CorpZWS199.994 $62173865.434.436 $
235
PARSONS CORPPSN1959.400 $7815574.779.689 $
233
PureCycle Technologies, Inc.PCT198.756 $80152975.285.164 $
232
HOULIHAN LOKEY, INC.HLI1500.570 $55177-353.523.560 $
232
Advanced Flower Capital Inc.AFCG111.134.328 $8132.418.512 $
231
Granite Ridge Resources, Inc.GRNT255.500 $3580-134.480.066 $
230
NORTHERN OIL & GAS, INC.NOG1499.741 $76154-1.180.322.789 $
230
Sezzle Inc.SEZL115.000 $133942.296.001.129 $
227
Core & Main, Inc.CNM195.111 $6116558.238.126 $
226
CENTERSPACECSR2121.392 $32805.365.414 $
224
Cardiff Oncology, Inc.CRDF41.116.490 $2036-15.476.106 $
224
Liberty Energy Inc.LBRT1250.009 $82141-196.346.079 $
223
MSC INCOME FUND, INC.MSIF3110.358 $324217.484.798 $
222
NEXSTAR MEDIA GROUP, INC.NXST11.985.309 $57163134.987.389 $
220
Mueller Water Products, Inc.MWA129.965 $57161-164.789.825 $
218
Surgery Partners, Inc.SGRY2304.713 $3771725.909.130 $
216
TENNANT COTNC2640.990 $4464418.789.028 $
216
Delek Logistics Partners, LPDKL5750.000 $103345.483.534 $
215
Calamos Dynamic Convertible & Income FundCCD522.000.000 $192426.217.358 $
215
PIMCO Dynamic Income FundPDI11.640.000 $4517097.377.822 $
215
MODIV INDUSTRIAL, INC.MDV4163.023 $213222.754.793 $
212
BELLRING BRANDS, INC.BRBR120.000 $89123-302.229.605 $
212
Mirion Technologies, Inc.MIR1312.000 $62150102.933.215 $
212
GLACIER BANCORP, INC.GBCI1105.840 $521571.047.367.878 $
209
HERC HOLDINGS INCHRI1502.855 $791291.740.333.062 $
208
Nano-X Imaging Ltd.NNOX4109.680 $2230-30.547.371 $
208
Big Digital Energy, Inc.MIGI1334.251.777 $6102.550.929 $
208
TREACE MEDICAL CONCEPTS, INC.TMCI3246.654 $313879.075.644 $
207
GOLD FIELDS LTDGFI116.655 $44162-1.528.112.833 $
206Datenbasis Fundamentaldaten 27 %ADR
Primo Brands CorpPRMB11.996.543 $771292.264.741.891 $
206
INNOVATIVE INDUSTRIAL PROPERTIES INCIIPR129.938 $58147335.267.869 $
205
OPENLANE, Inc.OPLN1499.999 $881171.367.324.444 $
205
BLACKSTONE MORTGAGE TRUST, INC.BXMT1143.357 $57147-201.095.987 $
204
MGE ENERGY INCMGEE121.249 $57147477.209.458 $
204
Kardigan, Inc.KARD390.000.000 $6801.359.078.354 $
204± 50 %
Nomad Foods LtdNOMD2954.231 $3764101.991.394 $
202± 65 %Datenbasis Fundamentaldaten 15 %
BrightView Holdings, Inc.BV2562.400 $2179180.227.965 $
200
NextCure, Inc.NXTC101.594.783 $128-17.344.065 $
200± 56 %
Baozun Inc.BZUN8312.865 $61911.357.255 $
200ADR
Upstart Holdings, Inc.UPST11.277.500 $78121733.451.679 $
199
Sol-Gel Technologies Ltd.SLGL183.881.054 $65650.658 $
198n. b. 36 %
KENNAMETAL INCKMT1151.050 $63135-11.935.180 $
198
Lovesac CoLOVE3490.146 $2541-487.736 $
198
Anixa Biosciences IncANIX7130.624 $10181.786.345 $
196
Proficient Auto Logistics, IncPAL3294.700 $2242-5.305.928 $
192
RING ENERGY, INC.REI2338.340 $484710.038.406 $
190
LSI INDUSTRIES INCLYTS239.456 $2372340.336.457 $
190
Lument Finance Trust, Inc.LFT791.132 $1215-6.521.124 $
189
UNITED COMMUNITY BANKS INCUCB174.270 $56133487.800.920 $
189
NORTHPOINTE BANCSHARES INCNPB32.750.031 $184537.637.761 $
189± 45 %
FS KKR Capital CorpFSK113.283 $6012863.011.066 $
188
SHENANDOAH TELECOMMUNICATIONS CO/VA/SHEN273.131 $3063-22.150.010 $
186
GLOBAL PARTNERS LPGLP3663.900 $214190.540.297 $
186
Camp4 Therapeutics CorpCAMP599.051 $23146.543.659 $
185
ProQR Therapeutics N.V.PRQR51.342.385 $122556.260.470 $
185Datenbasis Fundamentaldaten 27 %
MESA LABORATORIES INC /CO/MLAB2902.411 $207273.519.346 $
184
MEXICAN ECONOMIC DEVELOPMENT INCFMX1248.073 $621203.074.687.653 $
182± 64 %Datenbasis Fundamentaldaten 12 %ADR
REGENXBIO Inc.RGNX2949.381 $2665154.034.229 $
182
TXO Partners, L.P.TXO76.899.257 $719-30.902.521 $
182
Primis Financial Corp.FRST244.930 $246788.635.120 $
182
EURONET WORLDWIDE, INC.EEFT155.139 $59122183.625.869 $
181
Keros Therapeutics, Inc.KROS331.070 $14464.093.859 $
180
Atmus Filtration Technologies Inc.ATMU199.551 $59120-287.370.499 $
179
Community Healthcare Trust IncCHCT2272.980 $226757.758.178 $
178
CITIZENS, INC.CIA4302.015 $113326.104.919 $
176
Venu Holding CorpVENU3184.012 $3325-29.760.091 $
174
Pershing Square USA, Ltd.PSUS2444.933 $8701.347.062.283 $
174
RED RIVER BANCSHARES INCRRBI2110.279 $256150.702.598 $
172
OPAL Fuels Inc.OPAL4177.000 $1132-2.273.375 $
172
Blend Labs, Inc.BLND21.145.200 $2957-9.733.668 $
172
GULFPORT ENERGY CORPGPOR1256.976 $46125-545.063.728 $
171± 68 %
VEON Ltd.VEON31.120.053 $203743.244.945 $
171Datenbasis Fundamentaldaten 12 %ADR
COLUMBUS MCKINNON CORPCMCO2194.660 $2065-18.663.619 $
170
FUELCELL ENERGY INCFCEL1494.967 $108611.776.991.853 $
169± 54 %
Blue Bird CorpBLBD122.530 $55114662.419.180 $
169
Bridger Aerospace Group Holdings, Inc.BAER7513.030 $9151.033.625 $
168
Mobia Medical, Inc.MOBI4994.443 $420114.440.348 $
168± 50 %
Tonix Pharmaceuticals Holding Corp.TNXP240.180 $285555.153.570 $
166
STANDEX INTERNATIONAL CORP/DE/SXI111.505 $69971.323.469.949 $
166
Mobility Global Inc.MBGL3980.566 $550102.275.034 $
165± 45 %
EASTERN COEML5130.497 $132032.135.352 $
165
Quanterix CorpQTRX2286.354 $384411.554.796 $
164
Western Midstream Partners, LPWES1249.907 $49115965.605.313 $
164
Rhinebeck Bancorp, Inc.RBKB6710.148 $6214.156.108 $
162
Total Return Securities FundSWZ9150.570 $6122.674.512 $
162
Huntsman CORPHUN1981.000 $6597-735.948.676 $
162
Evommune, Inc.EVMN2146.260 $4535-320.168.632 $
160
Sunrise Realty Trust, Inc.SUNS4900.383 $1525-9.734.912 $
160
Northwest Bancshares, Inc.NWBI119.094 $36124278.051.495 $
160
Concentrix CorpCNXC121.250 $52106-374.786.451 $
158
NATIONAL HEALTH INVESTORS INCNHI163.767 $4111640.923.819 $
157
Claros Mortgage Trust, Inc.CMTG3393.971 $1240-3.623.897 $
156
FRP HOLDINGS, INC.FRPH3349.924 $133934.395.814 $
156
CROSS TIMBERS ROYALTY TRUSTCRT131.215.774 $48202.355 $
156
Butterfly Network, Inc.BFLY1999.510 $48103802.545.379 $
151
UPBOUND GROUP, INC.UPBD136.986 $40111222.477.291 $
151
ADTRAN Holdings, Inc.ADTN150.000 $5298218.057.978 $
150
ARBOR REALTY TRUST INCABR1126.674 $38111-259.766.206 $
149
PROCEPT BioRobotics CorpPRCT1498.315 $38111-176.227.320 $
149
Thryv Holdings, Inc.THRY21.122.376 $235146.881.724 $
148
Gevo, Inc.GEVO296.369 $1757-106.977.490 $
148
Digi Power X Inc.DGXX2110.600 $4628129.713.669 $
148
Immuneering CorpIMRX235.993 $363818.477.394 $
148
Blue Owl Technology Finance Corp.OTF111.370 $4999-162.624.486 $
148
Altimmune, Inc.ALT144.250 $5789249.130.393 $
146
ELLSWORTH GROWTH & INCOME FUND LTDECF6300.289 $81615.566.646 $
144
IPERIONX LtdIPX32.378.393 $252329.355.969 $
144Datenbasis Fundamentaldaten 15 %ADR
Pagaya Technologies Ltd.PGY1250.468 $5787296.058.964 $
144
Regional Management Corp.RM2316.495 $195274.736.214 $
142
ETHAN ALLEN INTERIORS INCETD124.610 $6180-6.402.949 $
141
Greenland Mines LtdGRML4462.126 $25101.798.023 $
140
USA Compression Partners, LPUSAC2262.200 $2149-14.145.519 $
140
TETRA TECHNOLOGIES INCTTI165.000 $37103554.211.659 $
140
Smith Douglas Homes Corp.SDHC448.717 $142114.963.338 $
140
Claritev CorpCTEV2249.664 $2247298.191.237 $
138
Vestis CorpVSTS11.045.383 $5781854.772.359 $
138
PAR TECHNOLOGY CORPPAR1199.950 $4295193.922.551 $
137
STARZ ENTERTAINMENT CORP /CN/STRZ2273.730 $2444206.653.502 $
136± 45 %
AmpliTech Group, Inc.AMPG242.649 $412797.745.019 $
136
Nuvectis Pharma, Inc.NVCT21.166.000 $3137170.169.693 $
136
BANK BRADESCOBBD11.998.240 $4293-312.474.517 $
135Datenbasis Fundamentaldaten 27 %ADR
Strive, Inc.ASST1199.386 $5679-6.421.603 $
135± 49 %
NGL Energy Partners LPNGL55.746.749 $522307.551.625 $
135
GREENLIGHT CAPITAL RE, LTD.GLRE2186.240 $1651-27.701.348 $
134
Klarna Group plcKLAR19.949.164 $70641.695.915.207 $
134± 61 %Datenbasis Fundamentaldaten 27 %
Korro Bio, Inc.KRRO278.809 $194850.153.727 $
134
Anika Therapeutics, Inc.ANIK241.060 $1849625.949 $
134
CG Oncology, Inc.CGON124.814.454 $3697688.825.573 $
133
DIEBOLD NIXDORF, IncDBD150.603 $5280588.076.381 $
132
NEW GERMANY FUND INCGF122.016.324 $2916.622.408 $
132
Absci CorpABSI1148.866 $53771.404.967.051 $
130
GRAN TIERRA ENERGY INC.GTE3592.663 $1231-52.920.732 $
129
Energy Recovery, Inc.ERII199.267 $4584-39.327.948 $
129
Sensus Healthcare, Inc.SRTS8563.538 $511-4.510.755 $
128
EDAP TMS SAEDAP8551.000 $41229.094.135 $
128
Gold.com, Inc.GOLD13.930.350 $478041.524.012 $
127
Arq, Inc.ARQ236.148 $25382.265.082 $
126
GUGGENHEIM STRATEGIC OPPORTUNITIES FUNDGOF149.989 $369047.696.450 $
126
SPROTT FOCUS TRUST INC.FUND7847.999 $612-254.673 $
126
DeFi Development Corp.DFDV4119.831 $1318-4.129.494 $
124
BuzzFeed, Inc.BZFD4126.999 $16155.308.564 $
124
Global Water Resources, Inc.GWRS27.000.005 $1844-9.375.832 $
124
Sky Harbour Group CorpSKYH264.300 $174520.212.511 $
124
PRECIGEN, INC.PGEN124.662 $3786302.789.680 $
123
CAPITAL SOUTHWEST CORPCSWC119.978 $378564.307.563 $
122
Runway Growth Finance Corp.RWAY2101.733 $3130-28.823.224 $
122
51Talk Online Education GroupCOE61142.827.705 $11-2.153.945 $
122ADR
First Guaranty Bancshares, Inc.FGBI4939.785 $13177.272.292 $
120
PEOPLES BANCORP INCPEBO139.810 $3585163.398.965 $
120
DEL MONTE CORPFDP1358.705 $3188-416.877.442 $
119
Hudson Pacific Properties, Inc.HPP1335.000 $3881640.557.379 $
119
ROYCE SMALL-CAP TRUST, INC.RVT150.848 $3089115.474.363 $
119
John Marshall Bancorp, Inc.JMSB254.022 $223712.389.511 $
118
Commercial Bancgroup, Inc.CBK252.838 $213853.614.990 $
118
ConnectOne Bancorp, Inc.CNOB128.543 $3681224.126.867 $
117
Metropolitan Bank Holding Corp.MCB189.980 $3483161.389.007 $
117± 60 %
BYLINE BANCORP, INC.BY111.519 $3581225.422.263 $
116
Greenwich LifeSciences, Inc.GLSI487.833 $623-1.575.050 $
116
SCHMID Group N.V.SHMD3432.529 $231524.761.958 $
114Datenbasis Fundamentaldaten 15 %
Hyliion Holdings Corp.HYLN1170.000 $4172239.305.293 $
113
CuriosityStream Inc.CURI2128.650 $1640-6.675.515 $
112
Vitesse Energy, Inc.VTS1660.530 $318061.243.966 $
111
STONERIDGE INCSRI278.610 $193654.616.105 $
110
Hemab Therapeutics Holdings, Inc.COAG21.689.818 $5501.329.008.078 $
110± 45 %
Citizens Community Bancorp Inc.CZWI230.625 $144117.012.657 $
110
Community West BancsharesCWBC1118.678 $3474164.903.878 $
108
TRANSCAT INCTRNS198.663 $3375216.494.433 $
108
ABERDEEN MULTI-MARKET INCOME FUNDMMT111.175 $5553112.426.086 $
108
RCI HOSPITALITY HOLDINGS, INC.RICK274.437 $143921.635.273 $
106
Origin Bancorp, Inc.OBK1199.282 $3076220.798.833 $
106
PIMCO Dynamic Income Strategy FundPDX2671.515 $1637-23.165.935 $
106
Red Violet, Inc.RDVT1142.980 $3571304.031.221 $
106
CapsoVision, IncCV31.007.916 $5309.294.920 $
105
Motorsport Games Inc.MSGM13406.102 $53338.845 $
104
Humacyte, Inc.HUMA117.820 $426122.589.191 $
103
Eightco Holdings Inc.ORBS140.385 $495412.436.487 $
103
Oak Valley BancorpOVLY295.858 $11408.419.961 $
102
OXFORD INDUSTRIES INCOXM1108.268 $3765-95.843.127 $
102
Outlook Therapeutics, Inc.OTLK22.599.996 $252632.979.338 $
102
Farmland Partners Inc.FPI119.300 $2279-34.897.540 $
101
Larimar Therapeutics, Inc.LRMR1166.890 $3269-104.403.334 $
101
UR-ENERGY INCURG114.200 $505012.142.866 $
100
FINANCIAL INSTITUTIONS INCFISI124.789 $2672112.761.053 $
98
Bank First CorpBFC1160.737 $336496.590.100 $
97
Palmer Square Capital BDC Inc.PSBD41.492.137 $8163.890.537 $
96
2023 ETF Series Trust19.999.998 $4452268.404.620 $
96
Alto Ingredients, Inc.ALTO1207.500 $554145.877.773 $
96
MacKenzie Realty Capital, Inc.MKZR12422.838 $53-322.881 $
96
Business First Bancshares, Inc.BFST147.415 $2075120.752.232 $
95
TREDEGAR CORPTG116.472 $2470-7.642.822 $
94
Orchestra BioMed Holdings, Inc.OBIO258.560 $242320.990.179 $
94
EyePoint, Inc.EYPT152.258 $2569200.474.391 $
94
Neuronetics, Inc.STIM2106.540 $1730-11.874.301 $
94
HighPeak Energy, Inc.HPK1207.520 $345819.557.576 $
92
Neostellar Capital Corp.SSSS2760.984 $182828.795.473 $
92
CNB FINANCIAL CORP/PACCNE138.908 $3062117.083.894 $
92
BETTERWARE DE MEXICO, S.A.P.I. DE C.VBWMX41.260.050 $6173.656.489 $
92Datenbasis Fundamentaldaten 27 %
Grace Therapeutics, Inc.GRCE4270.102 $1013-10.752.984 $
92
Lucky Strike Entertainment CorpLUCK4867.201 $149-62.154.058 $
92
AIAI Holdings CorpAIAI4179.470 $230203.984.277 $
92± 50 %
LANTRONIX INCLTRX177.685 $415074.846.579 $
91
Ocugen, Inc.OCGN125.830 $434718.777.093 $
90
Trinity Capital Inc.TRIN141.424 $2465142.987.069 $
89
ALERUS FINANCIAL CORPALRS132.450 $2663127.724.765 $
89
RGC RESOURCES INCRGCO234.050 $9359.592.583 $
88
Core Laboratories Inc. /DE/CLB153.900 $3058-233.822.885 $
88
MAIA Biotechnology, Inc.MAIA4200.405 $1391.032.857 $
88
Powerlaw Corp.PWRL3347.050 $29088.496.207 $
87
i-80 Gold Corp.IAUX11.620.000 $2463-112.104.300 $
87
AMTECH SYSTEMS INCASYS149.456 $4641177.314.823 $
87
Crescent Capital BDC, Inc.CCAP249.045 $1528-20.677.722 $
86
PIMCO MUNICIPAL INCOME FUND IIPML137.500 $196710.654.567 $
86
Prenetics Global LtdPRE5999.698 $512-15.050.575 $
85± 46 %Datenbasis Fundamentaldaten 35 %
NB Bancorp, Inc.NBBK143.500 $1668-11.237.447 $
84
Portillo's Inc.PTLO1299.979 $2162-56.612.007 $
83
Contango Silver & Gold Inc.CTGO162.652 $245931.803.694 $
83
INFINITY NATURAL RESOURCES, INC.INR1129.440 $2260-48.117.619 $
82
HIGH INCOME SECURITIES FUNDPCF3134.400 $621936.877 $
81
BRC Inc.BRCC142.475 $265521.190.753 $
81
Oaktree Specialty Lending CorpOCSL121.581 $1962105.688.824 $
81± 61 %
biote Corp.BTMD2202.204 $15254.428.450 $
80
Verrica Pharmaceuticals Inc.VRCA5200.902 $973.259.876 $
80± 60 %
PARKE BANCORP, INC.PKBK143.784 $176330.413.333 $
80
TEAM INCTISI8621.580 $372.355.230 $
80± 54 %
FIRST COMMUNITY CORP /SC/FCCO142.431 $215829.604.376 $
79
GENESCO INCGCO199.980 $265360.167.676 $
79
Yext, Inc.YEXT1397.910 $265226.574.211 $
78
Spok Holdings, IncSPOK1366.705 $2058-2.928.329 $
78
Nakamoto Inc.NAKA2209.990 $390-15.057.051 $
78± 60 %
UNIVERSAL SAFETY PRODUCTS, INC.UUU11621.116 $43212.059 $
77
NORTHRIM BANCORP INCNRIM131.440 $176084.423.450 $
77
Palladyne AI Corp.PDYN199.129 $28499.960.501 $
77
Fossil Group, Inc.FOSL140.221 $374038.329.894 $
77
TRUSTCO BANK CORP N YTRST125.000 $2354129.876.990 $
77
CENTRAL SECURITIES CORPCET222.512 $162232.603.242 $
76
KINGSWAY CorpKFS281.878 $929-1.885.828 $
76
JEWETT CAMERON TRADING CO LTDJCTC191.061.812 $31420.951 $
76
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