Kombi Signal — Insider + Institutional

Doppeltes Akkumulations-Signal

Aktien bei denen sowohl Insider kaufen (Form 4) als auch institutionelle Fonds einsteigen (13F). Diese Kombination ist statistisch ein stärkeres Signal als jedes für sich.

Zeitraum

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

AktieTickerInsider-KäufeInsider-Vol. ($)Neue Fonds-Pos.Erhöhte Fonds-Pos.Netto Inst. ($)Signal ScoreGüteADR
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSM211.315.014 $4371.416124.746.127.630 $
38.913± 42 %ADR
REPUBLIC SERVICES, INC.RSG44561.734.776 $104494-1.295.355.273 $
26.312± 61 %
FIRST CITIZENS BANCSHARES INC /DE/FCNCA372.371.021 $83168519.229.367 $
9.287
SIMON PROPERTY GROUP INC.SPG12477.776 $15950312.208.817.091 $
7.944± 61 %
BERKSHIRE HATHAWAY INCBRK-B3250.072 $2882.06631.811.680.656 $
7.062
ENERGIZER HOLDINGS, INC.ENR3817.023.887 $48107331.496.592 $
5.890
Liberty Latin America Ltd.LILA2537.880.553 $100100-308.444.454 $
5.000± 66 %
PFIZER INCPFE32.960.110 $1451.152-14.601.230.847 $
3.891
Matador Resources CoMTDR141.449.642 $78191-1.515.810.587 $
3.766
BOSTON SCIENTIFIC CORPBSX59.479.236 $152574-24.533.996.081 $
3.630
FISERV INCFISV72.242.901 $101385-2.588.838.204 $
3.402
Blackstone Inc.BX362.445 $1729473.811.967.948 $
3.357
Amrize LtdAMRZ111.364.082 $7421360.499.381.991 $
3.157± 61 %
Eaton Corp plcETN292.162 $2921.10232.848.720.572 $
2.788
AXIA Energia S.A.AXIA2020.479.410 $419448.515.277 $
2.700ADR
Broadcom Inc.AVGO1373.570 $3502.264357.512.991.097 $
2.614
Elevance Health, Inc.ELV31.368.280 $26258520.399.017.592 $
2.541± 61 %
Autodesk, Inc.ADSK52.165.173 $109386-7.580.921.305 $
2.475
American Homes 4 RentAMH10329.873 $831602.169.438.573 $
2.430
American Assets Trust, Inc.AAT1914.433.081 $3290318.309.766 $
2.318
PAR TECHNOLOGY CORPPAR175.439.518 $4390139.900.529 $
2.261
HUNTINGTON BANCSHARES INC /MD/HBAN4401.225 $1114523.439.326.764 $
2.252± 61 %
INTEL CORPINTC19.999.985 $1.1151.001378.561.183.680 $
2.116
Ascendis Pharma A/SASND7681.946 $29272.456.795.646 $
2.093n. b. 21 %ADR
TRACTOR SUPPLY CO /DE/TSCO4652.394 $141371-6.183.870.690 $
2.048
Mission Produce, Inc.AVO1644.751.747 $477977.686.105 $
2.016
Energy Transfer LPET321.513.521 $10455536.021.980 $
1.977
Quantinuum Inc.QNT1124.661.920 $17602.765.130.402 $
1.936
Aptiv PLCAPTV68.254.508 $71244-863.485.442 $
1.890± 61 %
Navios Maritime Partners L.P.NMM514.213.134 $1324-297.283.639 $
1.887
Columbia Financial, Inc./MD/CLBK254.696.940 $2247136.065.540 $
1.725
Robinhood Markets, Inc.HOOD235.288.053 $27357227.284.535.811 $
1.690
Alpha Metallurgical Resources, Inc.AMR1511.260.590 $3081-513.146.518 $
1.665
Cardinal Infrastructure Group Inc.CDNL138.541.274 $72541.337.227.172 $
1.638
Alibaba Group Holding LtdBABA325.691.200 $119418-11.712.639.633 $
1.611ADR
CARVANA CO.CVNA21.544.981 $142653-579.823.013 $
1.590
Liberty Capital Corp/NVGLIBA915.003.997 $65111-557.098.683 $
1.584± 40 %
Installed Building Products, Inc.IBP7191.540 $71149-919.526.356 $
1.540
Chemours CoCC7488.619 $82130-298.476.639 $
1.484
ECOLAB INC.ECL22.263.331 $1386037.204.338.586 $
1.482± 61 %
DPC Holdings PLCDPC1175.821.493 $13304.703.835.597 $
1.463
Bankwell Financial Group, Inc.BWFG201.075.943 $185155.704.016 $
1.380
EXPAND ENERGY CorpEXE3368.020 $104354-4.458.723.458 $
1.374
CARMAX INCKMX61.268.037 $851301.252.469.989 $
1.290± 61 %
INSULET CORPPODD31.060.100 $86324-3.929.499.990 $
1.230
Goosehead Insurance, Inc.GSHD1111.549.760 $4863107.478.670 $
1.221
LINDE PLCLIN147.912 $21398810.362.868.849 $
1.201
DENTSPLY SIRONA Inc.XRAY6617.199 $60137-181.903.570 $
1.182
Keel Infrastructure Corp.BITF4525.657 $29402.086.515.008 $
1.176
Elanco Animal Health IncELAN51.473.069 $78157765.576.373 $
1.175
DONEGAL GROUP INCDGICA132.409.554 $167217.839.882 $
1.144
RYAN SPECIALTY HOLDINGS, INC.RYAN64.568.609 $79110616.097.369 $
1.134
Artiva Biotherapeutics, Inc.ARTV1817.677.739 $3724253.185.943 $
1.098
Cencora, Inc.COR21.245.387 $107422-6.227.108.091 $
1.058± 61 %
Parabilis Medicines, Inc.PBLS14441.418.080 $7202.394.965.402 $
1.008
Constellation Energy CorpCEG1417.931 $176820-5.429.324.154 $
996
Fortune Brands Innovations, Inc.FBIN415.010.062 $951511.932.033.481 $
984± 61 %
Ameresco, Inc.AMRC91.532.501 $327595.989.731 $
963
Celanese CorpCE4225.512 $77162-1.577.695.573 $
956
Netskope IncNTSK621.961.192 $7285852.268.088 $
942
Kearny Financial Corp.KRNY10371.594 $167895.569.735 $
940± 66 %
NATURES SUNSHINE PRODUCTS INCNATR142.612.712 $1650-81.002.280 $
924± 66 %
Summit Therapeutics Inc.SMMT6103.616.650 $54100-276.053.537 $
924
GRANITE CONSTRUCTION INCGVA4156.636 $831471.618.398.668 $
920
VORNADO REALTY TRUSTVNO467.754 $731542.959.889.891 $
908
FORD MOTOR COF1148.880 $1857197.192.709.286 $
904± 64 %
OppFi Inc.OPFI101.168.969 $335771.140.426 $
900
Pebblebrook Hotel TrustPEB51.741.400 $64114914.596.881 $
890
Hamilton Lane INCHLNE44.248.770 $71151-721.646.839 $
888
MasterBrand, Inc.MBC4696.390 $70151967.585.461 $
884
Albertsons Companies, Inc.ACI42.515.542 $75145-1.530.242.140 $
880
EquipmentShare.com IncEQPT82.349.703 $5555159.946.362 $
880
Strategy IncMSTR1998.756 $237620-14.140.946.266 $
857
AMERICAN TOWER CORP /MA/AMT1500.733 $167671-301.803.410 $
838
Vistra Corp.VST1270.000 $2236144.395.940.142 $
837
ADOBE INC.ADBE11.945.130 $169662-8.254.210.131 $
831
ILLINOIS TOOL WORKS INCITW1199.880 $1476802.290.224.627 $
827
CME GROUP INC.CME174.885 $156646-20.319.768.560 $
802
Bunge Global SABG2689.050 $114284-3.671.992.010 $
796± 61 %
ERIE INDEMNITY COERIE31.433.500 $80185-73.710.783 $
795
HALLADOR ENERGY COHNRG9674.795 $266255.299.619 $
792
V F CORPVFC31.302.362 $71192-74.101.187 $
789
INTERNATIONAL FLAVORS & FRAGRANCES INCIFF220.317.855 $1052853.544.751.810 $
780
Faeth Therapeutics, Inc.SNSE201.174.821 $2217261.629.691 $
780
KEMPER CorpKMPR5367.880 $6788-198.443.948 $
775
Kayne Anderson Energy Infrastructure Fund, Inc.KYN6371.591 $2999-8.662.597 $
768
Chiron Real Estate Inc.GMRE82.579.304 $316593.118.081 $
768
TTM TECHNOLOGIES INCTTMI21.642.200 $1692128.732.440.806 $
762± 61 %
Blend Labs, Inc.BLND94.320.211 $2954-19.724.168 $
747
GLOBAL PARTNERS LPGLP122.859.600 $214190.447.117 $
744
CAVA GROUP, INC.CAVA3343.750 $82165-777.311.096 $
741
GERMAN AMERICAN BANCORP, INC.GABC8155.000 $1872119.069.378 $
720± 66 %
HF Sinclair CorpDINO21.379.511 $1052511.614.584.057 $
712± 61 %
MERCADOLIBRE INCMELI1200.000 $139564-2.303.067.844 $
703
FIVE STAR BANCORPFSBC76.279.988 $4851161.604.547 $
693± 66 %
LTC PROPERTIES INCLTC4500.900 $35138210.219.797 $
692
HUDSON TECHNOLOGIES INC /NYHDSN105.791.305 $2544-21.087.260 $
690± 66 %
H2O AMERICAHTO42.261.319 $46123-39.110.287 $
676
DT Midstream, Inc.DTM2218.313 $772611.299.516.166 $
676
ENTERGY CORP /DE/ETR1106.075 $1325403.575.421.964 $
672
Enviri CorpNVRI51.564.401 $1340448.028.123 $
670
INFINITY NATURAL RESOURCES, INC.INR81.658.504 $2060-53.314.469 $
640
HARLEY-DAVIDSON, INC.HOG31.439.491 $90123400.030.368 $
639
Horizon Technology Finance CorpHRZN7655.804 $622924.830.355 $
637
Compass Diversified HoldingsCODI72.197.034 $3061283.119.095 $
637± 66 %
Qnity Electronics, Inc.Q1138.136 $2313998.024.663.214 $
630
Borr Drilling LtdBORR717.051.008 $3455-219.275.035 $
623± 59 %
TERAWULF INC.WULF299.950 $1201907.469.659.790 $
620
DARLING INGREDIENTS INC.DAR260.970 $83226-1.537.818.917 $
618± 61 %
Aurinia Pharmaceuticals Inc.AUPH412.453.708 $47107125.604.362 $
616
OCCIDENTAL PETROLEUM CORP /DE/OXY1249.853 $131483-13.895.331.258 $
614
Fulcrum Therapeutics, Inc.FULC61.485.743 $2973-251.695.613 $
612± 66 %
RHRH31.832.322 $73131655.992.756 $
612
JABIL INCJBL1149.815 $22837712.603.627.587 $
605± 61 %
Comstock Inc.LODE92.661.093 $353280.930.674 $
603± 66 %
Enovis CORPENOV487.890 $5297-74.025.459 $
596
PROTHENA CORP PUBLIC LTD COPRTA72.878.460 $2758-15.913.894 $
595
COLONY BANKCORP INCCBAN7151.300 $29566.251.634 $
595
AMETEK INC/AME11.023.400 $1234645.491.916.142 $
587± 61 %
FIRST FINANCIAL BANKSHARES INCFFIN3161.583 $48145641.901.714 $
579
Byrna Technologies Inc.BYRN10406.209 $2235-45.185.463 $
570
First Carolina Financial Services, Inc.FCBM191.594.625 $30091.311.185 $
570
IONIS PHARMACEUTICALS INCIONS21.058.700 $692151.569.480.549 $
568
Norwegian Cruise Line Holdings Ltd.NCLH224.992.300 $861981.739.323.152 $
568
INNIO N.V.INIO44.559.976 $141017.738.842.974 $
564
Millrose Properties, Inc.MRP2115.580 $96186411.525.792 $
564± 63 %
Jefferies Financial Group Inc.JEF2642.749.900 $86192686.540.930 $
556
RESIDEO TECHNOLOGIES, INC.REZI3848.123 $61123-281.381.310 $
552
Embecta Corp.EMBC4557.945 $6176-376.388.070 $
548
SUJA LIFE, INC.SUJA1314.428.758 $420100.147.663 $
546n. b. 34 %
TREACE MEDICAL CONCEPTS, INC.TMCI8734.732 $323674.917.045 $
544± 66 %
CASEYS GENERAL STORES INCCASY1199.375 $1923434.793.994.874 $
535± 61 %
Via Transportation, Inc.VIA61.715.659 $3257250.774.222 $
534
Core Scientific, Inc./txCORZ2244.352 $981685.627.502.366 $
532
ATMOS ENERGY CORPATO150.278 $128403-1.761.717.311 $
531
SoFi Technologies, Inc.SOFI1250.787 $132398-67.202.925 $
530
Krispy Kreme, Inc.DNUT52.203.894 $3471-4.899.217 $
525
CITY HOLDING COCHCO459.740 $3893148.816.438 $
524
NEIGHBORHOOD INTELLIGENCE, INC.BBBY4406.828 $409097.451.941 $
520
AUTOZONE INCAZO1492.855 $113407151.134.136 $
520
COMMERCIAL METALS CoCMC2604.468 $8117881.871.307 $
518
Ventas, Inc.VTR1197.025 $1104075.252.003.177 $
517± 61 %
Patria Investments LtdPAX61.651.100 $2066-39.155.069 $
516± 59 %
NASDAQ, INC.NDAQ14.882.116 $109405-2.938.513.057 $
514
PayPal Holdings, Inc.PYPL1254.537 $111401-3.324.659.438 $
512
GBank Financial Holdings Inc.GBFH102.554.874 $173318.602.030 $
500
Angel Studios, Inc.ANGX72.801.123 $373451.864.281 $
497
Energy Vault Holdings, Inc.NRGV4426.317 $5470281.456.330 $
496
MCCORMICK & CO INCMKC155.227 $147347-585.575.744 $
494± 61 %
NORTHERN TRUST CORPNTRS145.790 $1343594.834.996.395 $
493
GRUPO FINANCIERO GALICIA SAGGAL64.252.148 $3645137.843.143 $
486± 59 %ADR
MEXICO FUND INCMXF275.059.390 $61215.824.907 $
486
PALISADE BIO, INC.PALI6250.182 $4932101.964.468 $
486
Baozun Inc.BZUN20671.410 $61810.439.381 $
480ADR
CENTERPOINT ENERGY INCCNP140.700 $1143613.184.566.824 $
475
CONAGRA BRANDS INC.CAG1510.633 $153318-815.251.042 $
471
CMS ENERGY CORPCMS114.491 $113349912.894.940 $
462
On Holding AGONON23.987.581 $84147543.199.102 $
462n. b. 21 %
SmartRent, Inc.SMRT7523.611 $3234-45.824.896 $
462± 66 %
CURTISS WRIGHT CORPCW1148.999 $1173443.154.654.403 $
461± 61 %
NewtekOne, Inc.NEWT5239.956 $197367.151.196 $
460
Burke & Herbert Financial Services Corp.BHRB3475.444 $6191205.958.992 $
456± 66 %
TechnipFMC plcFTI1499.971 $155294-1.728.350.608 $
449
Six Flags Entertainment Corporation/NEWFUN36.135.940 $5297274.565.196 $
447
COGNIZANT TECHNOLOGY SOLUTIONS CORPCTSH1209.768 $117328-9.685.173.867 $
445
Grocery Outlet Holding Corp.GO3228.400 $6582318.598.380 $
441
BROWN & BROWN, INC.BRO149.923 $1233111.421.267.250 $
434
Magnolia Oil & Gas CorpMGY2323.125 $54161-1.125.350.802 $
430
Broadstone Net Lease, Inc.BNL2211.600 $67147664.986.149 $
428
RADIAN GROUP INCRDN25.768.292 $61153538.833.168 $
428
AVITA Medical, Inc.RCEL9188.586 $2027-195.738.424 $
423
AdaptHealth Corp.AHCO4520.530 $2778-239.033.582 $
420
Galaxy Digital Inc.GLXY2358.545 $901161.715.179.145 $
412
MATTHEWS INTERNATIONAL CORPMATW5295.924 $265642.029.813 $
410
COSTAR GROUP, INC.CSGP12.489.837 $110299-4.716.579.959 $
409
MP Materials Corp. / DEMP1543.000 $1272801.674.035.826 $
407
BORGWARNER INCBWA1500.664 $1702372.640.759.178 $
407
Gen Digital Inc.GEN181.171 $1142883.610.809.294 $
402
ENERGY FUELS INCUUUU21.018.700 $57143-795.544.640 $
400± 61 %
GOLD FIELDS LTDGFI235.505 $42157-1.692.506.899 $
398± 60 %ADR
Fidelity National Information Services, Inc.FIS157.367 $90308-3.567.786.521 $
398
Coeur Mining, Inc.CDE110.763 $139255-1.042.627.279 $
394
lululemon athletica inc.LULU1500.384 $115279-4.356.839.102 $
394
Innventure, Inc.INV4807.794 $405779.265.511 $
388
SPIRE INCSR279.480 $50144-577.039.669 $
388
LOEWS CORPL1523.700 $892981.212.055.081 $
387
Pinnacle Financial Partners, Inc.PNFP11.000.299 $1422432.406.307.420 $
385
ProFrac Holding Corp.ACDC44.018.492 $3165-16.600.753 $
384
Orion Group Holdings IncORN4320.840 $2769210.909.355 $
384
COASTAL FINANCIAL CORPCCB41.115.844 $2769-25.674.926 $
384
MINISO Group Holding LtdMNSO613.802.020 $2737-71.864.800 $
384ADR
Blue Owl Capital CorpOBDC255.655 $46146-36.859.582 $
384
Guardant Health, Inc.GH178.456 $1672157.545.862.121 $
382
Starling Oncology, Inc.TOI5408.450 $2650105.797.920 $
380± 66 %
Avidia Bancorp, Inc.AVBC7321.034 $272721.100.434 $
378± 51 %
Main Street Capital CORPMAIN2150.577 $41147-47.271.970 $
376
Polestar Automotive Holding UK PLCPSNY8414.937 $113515.159.820 $
368ADR
Dream Finders Homes, Inc.DFH31.264.740 $4378103.621.993 $
363
Opendoor Technologies Inc.OPEN1100.003 $159202330.989.864 $
361
Crane NXT, Co.CXT21.160.078 $61117816.467.510 $
356
StepStone Group Inc.STEP25.022.072 $54124-710.353.440 $
356
Mobileye Global Inc.MBLY2198.808 $61116575.724.231 $
354
PROSPECT CAPITAL CORPPSEC34.674.368 $3187-15.119.550 $
354
Ingersoll Rand Inc.IR11.000.091 $89264140.185.469 $
353
Bitdeer Technologies GroupBTDR2447.000 $751012.504.141.464 $
352± 60 %
MSC INCOME FUND, INC.MSIF5205.962 $304016.552.074 $
350
MapLight Therapeutics, Inc.MPLT665.535.496 $3721393.375.697 $
348
Global Self Storage, Inc.SELF12436.714 $3261.962.326 $
348± 62 %
SiteOne Landscape Supply, Inc.SITE2816.280 $61109-1.164.908.601 $
340
DLH Holdings Corp.DLHC24726.465 $86-22.997.298 $
336
ALEXANDRIA REAL ESTATE EQUITIES, INC.ARE1231.400 $1052271.943.938.140 $
332
Tonix Pharmaceuticals Holding Corp.TNXP4144.728 $275554.249.820 $
328
Immunome Inc.IMNM3204.260 $3277-76.638.539 $
327
Gaming & Leisure Properties, Inc.GLPI1422.400 $78248-63.139.472 $
326
NVR INCNVR1405.185 $87235866.535.667 $
322
Tilray Brands, Inc.TLRY369.225 $4859-68.301.287 $
321
Medline Inc.MDLN1170.750 $1641571.106.117.878 $
321
UNIVERSAL TECHNICAL INSTITUTE INCUTI2251.621 $52106613.923.855 $
316
AbCellera Biologics Inc.ABCL41.545.680 $4039524.786.943 $
316
HUBSPOT INCHUBS1199.735 $97215-3.210.147.795 $
312
WESCO INTERNATIONAL INCWCC1351.254 $1082002.699.841.935 $
308± 61 %
NATIONAL HEALTH INVESTORS INCNHI2167.027 $4011320.987.698 $
306
Under Armour, Inc.UAA1100.181 $105200177.923.332 $
305
VALMONT INDUSTRIES INCVMI1101.118 $1121903.172.360.668 $
302
Aura Minerals Inc.AUGO21.050.090 $9160-99.060.178 $
302± 45 %
Epsilon Energy Ltd.EPSN5411.838 $1545-19.897.846 $
300
Babcock & Wilcox Enterprises, Inc.BW2115.050 $8565258.274.763 $
300
Chicago Atlantic Real Estate Finance, Inc.REFI5776.770 $1644-180.541 $
300
GeneDx Holdings Corp.WGS211.109.565 $5693209.871.780 $
298
EASTERN COEML9295.348 $132030.118.708 $
297
EnerSysENS124.675 $1001952.235.636.008 $
295
YPF SOCIEDAD ANONIMAYPF3532.930 $4058445.851.361 $
294± 59 %ADR
Lumen Technologies, Inc.LUMN1612.680 $88204303.384.900 $
292
MERCER INTERNATIONAL INC.MERC10348.742 $920-52.193.204 $
290
Enphase Energy, Inc.ENPH153.910 $1311591.936.009.647 $
290
REAVES UTILITY INCOME FUNDUTG245.320 $3910559.821.964 $
288
Pagaya Technologies Ltd.PGY2501.018 $5786280.361.496 $
286
ADT Inc.ADT1101.250 $78207-154.738.929 $
285
FLOWERS FOODS INCFLO137.542 $101184214.417.509 $
285
Aurora Innovation, Inc.AUR1498.300 $941914.743.861.424 $
285
Dutch Bros Inc.BROS1103.120 $1131712.579.844.470 $
284
TORO COTTC114.401 $82201339.226.670 $
283
Evolv Technologies Holdings, Inc.EVLV2134.740 $4794-85.781.038 $
282
LEE ENTERPRISES, IncLEE91.084.189 $16156.063.474 $
279
Match Group, Inc.MTCH1109.890 $901881.487.973.523 $
278± 61 %
RB GLOBAL INC.RBA1100.488 $592174.074.982.647 $
276
TOYOTA MOTOR CORP/TM11.564.850 $74199-896.174.179 $
273n. b. 31 %ADR
Boundless Bio, Inc.BOLD131.495.484 $12928.412.064 $
273
Applied Aerospace & Defense, Inc.AADX31.160.000 $910880.368.305 $
273
FIVE BELOW, INCFIVE193.309 $83190-3.311.184.798 $
273± 61 %
BayCom CorpBCML4461.368 $224619.392.813 $
272
MEDIFAST INCMED4883.915 $2444-8.130.974 $
272
TWFG, Inc.TWFG61.641.480 $103515.299.453 $
270± 66 %
TENAX THERAPEUTICS, INC.TENX31.814.147 $4842118.588.142 $
270
StoneX Group Inc.SNEX1161.206 $1141562.326.046.929 $
270
Kinsale Capital Group, Inc.KNSL1100.320 $97173-149.113.834 $
270
Dyne Therapeutics, Inc.DYN277.580 $4689812.610.076 $
270
Transocean Ltd.RIG1173.250 $76192-1.802.667.802 $
268± 61 %
Clean Energy Fuels Corp.CLNE3109.036 $1673-47.992.784 $
267
HIGHLAND OPPORTUNITIES & INCOME FUNDHFRO71.977.161 $112760.014.375 $
266
Pampa Energy Inc.PAM611.361.513 $1727-38.051.029 $
264± 59 %ADR
AGCO CORP /DEAGCO1100.710 $70193461.503.849 $
263
TORTOISE ENERGY INFRASTRUCTURE CORPTYG360.171.325 $285947.060.788 $
261
Everus Construction Group, Inc.ECG1144.950 $1001611.996.594.791 $
261
AECOMACM1298.341 $80180-1.522.378.253 $
260± 61 %
STEWART INFORMATION SERVICES CORPSTC263.104 $3496159.486.881 $
260
Lifeway Foods, Inc.LWAY46.177.332 $2935146.267.732 $
256
Big Digital Energy, Inc.MIGI1634.458.428 $6102.550.929 $
256
DORCHESTER MINERALS, L.P.DMLP4353.795 $1846-1.946.634 $
256
COLUMBIA BANKING SYSTEM, INC.COLB122.478 $821741.031.054.160 $
256
Venture Global, Inc.VG115.981 $110145-4.311.990.314 $
255
CLARIVATE PLCCLVT21.671.500 $5275-458.042.590 $
254
CONSTELLIUM SECSTM140.588 $108145580.148.826 $
253
Sibanye Stillwater LtdSBSW2480.850 $4086-806.855.087 $
252n. b. 31 %ADR
SONOCO PRODUCTS COSON1249.446 $64188729.727.254 $
252
ALASKA AIR GROUP, INC.ALK11.001.510 $1031481.514.103.030 $
251
BADGER METER INCBMI1101.572 $81167203.523.464 $
248
Infleqtion, Inc.INFQ1646.836 $19157819.023.787 $
248
American Bitcoin Corp.ABTC32.321.107 $29536.273.199 $
246
Sunshine Silver Mining & Refining CoSSMR5803.250 $4901.420.955.688 $
245
CECO ENVIRONMENTAL CORPCECO11.536.938 $1071362.837.660.287 $
243
AGREE REALTY CORPADC1357.050 $48193106.328.575 $
241
Alignment Healthcare, Inc.ALHC1197.627 $871521.764.975.760 $
239
CAPITAL SOUTHWEST CORPCSWC2136.977 $358447.191.643 $
238
Planet Fitness, Inc.PLNT1492.800 $91146-2.026.941.776 $
237± 61 %
Kura Oncology, Inc.KURA22.351.000 $2890160.215.403 $
236
Franklin BSP Realty Trust, Inc.FBRT2291.612 $5563-46.064.516 $
236
TXO Partners, L.P.TXO915.131.029 $719-30.908.771 $
234
AFFILIATED MANAGERS GROUP, INC.AMG1228.660 $761561.419.786.792 $
232
MSA Safety IncMSA171.093 $51180454.117.417 $
231
Zurn Elkay Water Solutions CorpZWS199.994 $61169843.389.236 $
230
CVB FINANCIAL CORPCVBF1455.300 $691611.030.081.635 $
230
Vistance Networks, Inc.VISN1107.500 $73157-907.550.744 $
230
Gitlab Inc.GTLB1122.960 $931361.398.256.753 $
229± 61 %
VALVOLINE INCVVV149.999 $66162852.075.307 $
228
enCore Energy Corp.EU3250.279 $1660-47.655.468 $
228
OUTFRONT Media Inc.OUT1127.245 $671601.114.768.118 $
227
DEL MONTE CORPFDP2476.325 $3083-444.425.629 $
226
WhiteHorse Finance, Inc.WHF9316.454 $916-3.918.574 $
225± 62 %
PARSONS CORPPSN1959.400 $7515049.621.173 $
225
CENTERSPACECSR2121.392 $34774.750.524 $
222
HOULIHAN LOKEY, INC.HLI1500.570 $51171-460.334.468 $
222
RLI CORPRLI1152.700 $68153421.904.927 $
221
Cardiff Oncology, Inc.CRDF41.116.490 $1936-15.503.439 $
220
NORTHERN OIL & GAS, INC.NOG1499.741 $69151-1.240.681.184 $
220
Granite Ridge Resources, Inc.GRNT270.190 $3377-139.605.013 $
220
Calamos Dynamic Convertible & Income FundCCD522.000.000 $202423.776.633 $
220
Sezzle Inc.SEZL115.000 $127932.261.094.338 $
220
Core & Main, Inc.CNM195.111 $57160-330.559.517 $
217
STONERIDGE INCSRI4153.610 $203438.069.795 $
216± 62 %
Anixa Biosciences IncANIX8183.124 $9181.655.661 $
216
SMARTFINANCIAL INC.SMBK2257.700 $2583102.401.669 $
216
TENNANT COTNC2640.990 $4563412.597.739 $
216
Mueller Water Products, Inc.MWA129.965 $55158-206.201.620 $
213
Bakkt, Inc.BKKT34.282.357 $175438.342.109 $
213
PIMCO Dynamic Income FundPDI11.640.000 $4316886.352.276 $
211
Surgery Partners, Inc.SGRY2304.713 $3570671.156.715 $
210
Liberty Energy Inc.LBRT1250.009 $74136-342.809.193 $
210
Delek Logistics Partners, LPDKL5750.000 $103243.609.341 $
210
MODIV INDUSTRIAL, INC.MDV4163.023 $203222.472.404 $
208
NEXSTAR MEDIA GROUP, INC.NXST11.985.309 $52156-23.638.603 $
208
Mobia Medical, Inc.MOBI51.058.412 $410114.306.348 $
205n. b. 34 %
Chicago Atlantic BDC, Inc.LIEN71.113.757 $1514-2.871.188 $
203± 62 %
HERC HOLDINGS INCHRI1502.855 $741281.722.938.997 $
202
Indivior Pharmaceuticals, Inc.INDV154.420 $861161.240.176.843 $
202
Nano-X Imaging Ltd.NNOX4109.680 $2030-30.662.789 $
200
BLACKSTONE MORTGAGE TRUST, INC.BXMT1143.357 $54146-269.975.732 $
200
Primo Brands CorpPRMB11.996.543 $731262.082.035.652 $
199
MGE ENERGY INCMGEE121.249 $52144457.192.778 $
196
Lument Finance Trust, Inc.LFT791.132 $1315-6.520.984 $
196± 62 %
Nomad Foods LtdNOMD2954.231 $356348.951.640 $
196n. b. 31 %
Biglari Holdings Inc.BH-A2658.793 $5048295.433.716 $
196
GRAN TIERRA ENERGY INC.GTE51.227.504 $1227-63.445.893 $
195
Kardigan, Inc.KARD390.000.000 $6501.357.646.638 $
195
Proficient Auto Logistics, IncPAL3294.700 $2342-6.510.129 $
195± 66 %
OPENLANE, Inc.OPLN1499.999 $841101.292.264.130 $
194
AmperCap Acquisition CoAPMC35.299.120 $640129.078.743 $
192
Lovesac CoLOVE3490.146 $2440-5.555.946 $
192
NextCure, Inc.NXTC101.594.783 $127-17.440.787 $
190± 66 %
U S PHYSICAL THERAPY INC /NVUSPH248.777 $2668-128.534.458 $
188
BrightView Holdings, Inc.BV2562.400 $2173149.031.776 $
188
MARZETTI COMZTI198.109 $43144-271.551.343 $
187
FS KKR Capital CorpFSK113.283 $6012524.953.055 $
185
Nuvation Bio Inc.NUVB1118.250 $71113597.632.176 $
184
Onterris, Inc.MEG2509.625 $276527.852.557 $
184
LSI INDUSTRIES INCLYTS239.456 $2072330.157.830 $
184
RING ENERGY, INC.REI2338.340 $47453.861.812 $
184± 66 %
Banco Santander (Brasil) S.A.BSBR42.852.273 $1729-342.863.820 $
184± 59 %ADR
Greenland Energy CoGLND3111.762 $56518.925.183 $
183± 50 %
SHENANDOAH TELECOMMUNICATIONS CO/VA/SHEN273.131 $3160-29.059.218 $
182
Xometry, Inc.XMTR13.999.930 $791023.314.758.017 $
181
Nerdy Inc.NRDY4950.853 $2322-3.982.461 $
180
UNITED COMMUNITY BANKS INCUCB174.270 $47132469.968.187 $
179
MEXICAN ECONOMIC DEVELOPMENT INCFMX1248.073 $601183.076.103.610 $
178± 59 %ADR
INSPERITY, INC.NSP17.933.650 $67110579.335.844 $
177
Keros Therapeutics, Inc.KROS331.070 $1544-9.539.787 $
177± 66 %
Community Healthcare Trust IncCHCT2272.980 $236553.362.195 $
176± 66 %
ProQR Therapeutics N.V.PRQR51.342.385 $102555.897.132 $
175
Ardent Health, Inc.ARDT2186.400 $2364130.368.436 $
174
MESA LABORATORIES INC /CO/MLAB2902.411 $196841.634.344 $
174
Primis Financial Corp.FRST244.954 $246383.873.118 $
174± 66 %
Lineage, Inc.LINE1826.638 $611131.169.033.253 $
174
Atmus Filtration Technologies Inc.ATMU199.551 $57116-339.789.329 $
173
EURONET WORLDWIDE, INC.EEFT155.139 $5911494.536.796 $
173
RED RIVER BANCSHARES INCRRBI2110.279 $256150.577.272 $
172± 66 %
EQUITY BANCSHARES INCEQBK2150.929 $196768.247.913 $
172± 66 %
Pershing Square USA, Ltd.PSUS2444.933 $8601.324.722.973 $
172
VEON Ltd.VEON31.120.053 $213642.437.679 $
171n. b. 36 %ADR
James Hardie Industries plcJHX168.730 $82892.167.231.723 $
171± 61 %
Blue Bird CorpBLBD122.530 $55114621.507.348 $
169
Rhinebeck Bancorp, Inc.RBKB6710.148 $7212.864.573 $
168± 66 %
BRADY CORPBRC11.000.025 $58110306.462.395 $
168
Palmer Square Capital BDC Inc.PSBD72.000.358 $8163.890.537 $
168
Soluna Holdings, IncSLNH234.400 $641960.716.826 $
166
BOSTON OMAHA CorpBOC2207.067 $255831.309.728 $
166± 66 %
American Integrity Insurance Group, Inc.AII32.301.242 $1441-23.494.239 $
165
Clipper Realty Inc.CLPR5791.757 $1617-4.195.794 $
165± 62 %
Liftoff Mobile, Inc.LFTO259.999.962 $8201.145.885.637 $
164
Sunrise Realty Trust, Inc.SUNS4900.383 $1625-9.865.246 $
164
GULFPORT ENERGY CORPGPOR1256.976 $44119-669.042.600 $
163
Mobility Global Inc.MBGL3980.566 $540101.951.034 $
162
Quanterix CorpQTRX2286.354 $37449.044.527 $
162
Western Midstream Partners, LPWES1249.907 $49112925.977.361 $
161
COLUMBUS MCKINNON CORPCMCO2194.660 $1961-39.194.777 $
160
Evommune, Inc.EVMN2146.260 $4535-324.904.231 $
160± 46 %
Black Stone Minerals, L.P.BSM2985.354 $2258-28.687.877 $
160
FUELCELL ENERGY INCFCEL1494.967 $99611.759.206.327 $
160± 61 %
Outlook Therapeutics, Inc.OTLK32.624.141 $272633.037.036 $
159
FRP HOLDINGS, INC.FRPH3349.924 $133934.142.543 $
156± 66 %
Northwest Bancshares, Inc.NWBI119.094 $32123264.464.399 $
155
Corbus Pharmaceuticals Holdings, Inc.CRBP3126.255 $222919.704.923 $
153
Huntsman CORPHUN1981.000 $6192-835.606.069 $
153
Yext, Inc.YEXT2896.128 $255124.144.284 $
152
NETSTREIT Corp.NTST195.950 $41110554.822.058 $
151
Concentrix CorpCNXC121.250 $47103-404.517.825 $
150
Gevo, Inc.GEVO296.369 $1857-107.052.147 $
150
UPBOUND GROUP, INC.UPBD136.986 $41108202.756.659 $
149
ADTRAN Holdings, Inc.ADTN150.000 $5297195.820.643 $
149
Immuneering CorpIMRX235.993 $363814.329.075 $
148
Camp4 Therapeutics CorpCAMP459.451 $2314-28.501.250 $
148
ROYCE MICRO-CAP TRUST, INC.RMT3151.021 $123764.972.105 $
147
ARBOR REALTY TRUST INCABR1148.986 $37110-281.412.669 $
147
PROCEPT BioRobotics CorpPRCT1498.315 $39108-182.252.902 $
147
Madison Air Solutions CorpMAIR1556.800 $14704.643.262.505 $
147n. b. 28 %
Butterfly Network, Inc.BFLY1999.510 $45101732.038.744 $
146
Enhanced Group Inc.APAD53.562.698 $290-167.194.216 $
145
Altimmune, Inc.ALT144.250 $5788247.762.247 $
145
IPERIONX LtdIPX32.378.393 $252329.355.969 $
144ADR
Laird Superfood, Inc.LSF6270.780 $13115.215.704 $
144± 62 %
Digi Power X Inc.DGXX2110.600 $4626123.782.084 $
144
NEW GERMANY FUND INCGF133.522.967 $2916.622.408 $
143
COMMUNITY FINANCIAL SYSTEM, INC.CBU130.271 $38103394.752.487 $
141
FRACTYL HEALTH, INC.GUTS5127.414 $121627.068.750 $
140± 62 %
Greenland Mines LtdGRML4462.126 $25101.747.023 $
140
Star Equity Holdings, Inc.STRR14581.993 $46507.060 $
140
Thryv Holdings, Inc.THRY21.122.376 $234735.992.069 $
140
VIRCO MFG CORPORATIONVIRC4106.070 $1718-7.023.898 $
140
Anika Therapeutics, Inc.ANIK241.060 $2048-7.554.933 $
136± 66 %
AmpliTech Group, Inc.AMPG242.649 $412797.031.110 $
136
Regional Management Corp.RM2316.495 $194964.456.812 $
136± 66 %
USA Compression Partners, LPUSAC2262.200 $2048-15.282.944 $
136
ETHAN ALLEN INTERIORS INCETD124.610 $5878-23.420.788 $
136
TETRA TECHNOLOGIES INCTTI1216.898 $34102514.868.517 $
136
Total Return Securities FundSWZ8132.630 $6111.497.459 $
136
Nuvectis Pharma, Inc.NVCT21.166.000 $3137157.624.341 $
136
loanDepot, Inc.LDI2430.861 $1651-10.717.630 $
134
UNITED STATES ANTIMONY CORPUAMY193.125 $5183-18.606.012 $
134
HERBALIFE LTD.HLF113.572 $3697-87.041.620 $
133
PicS N.V.PICS71.669.889 $109-30.577.697 $
133± 50 %
BANK BRADESCOBBD11.998.240 $4290-364.407.639 $
132n. b. 31 %ADR
CROSS TIMBERS ROYALTY TRUSTCRT111.147.862 $48202.355 $
132
OPAL Fuels Inc.OPAL3131.950 $1232-2.272.515 $
132± 62 %
Korro Bio, Inc.KRRO278.809 $184828.601.362 $
132
MediWound Ltd.MDWD3131.308 $1529-12.842.238 $
132
GREENLIGHT CAPITAL RE, LTD.GLRE2186.240 $1749-34.835.915 $
132± 66 %
CITIZENS, INC.CIA3264.015 $123223.075.026 $
132
Strive, Inc.ASST1199.386 $5577-10.752.966 $
132
Teads Holding Co.TEAD353.250 $18261.448.539 $
132
NATIONAL HEALTHCARE CORPNHC1174.859 $3991498.150.116 $
130
Bluerock Private Real Estate FundBPRE125.005 $3199-175.884.091 $
130
DIEBOLD NIXDORF, IncDBD150.603 $5278550.451.797 $
130
CG Oncology, Inc.CGON124.814.454 $3693320.484.279 $
129
EDAP TMS SAEDAP8551.000 $41229.094.135 $
128
BuzzFeed, Inc.BZFD4126.999 $17155.296.703 $
128
DeFi Development Corp.DFDV4119.831 $1418-4.305.663 $
128
Sky Harbour Group CorpSKYH264.300 $184515.794.807 $
126
Hyperscale Data, Inc.GPUS361.465 $339612.802 $
126
Caledonia Mining Corp PlcCMCL2712.567 $954-35.494.207 $
126
SPROTT FOCUS TRUST INC.FUND7847.999 $612-254.673 $
126
Global Water Resources, Inc.GWRS27.000.005 $1944-9.521.945 $
126± 62 %
EVERTEC, Inc.EVTC1427.999 $3591-79.633.101 $
126
STARZ ENTERTAINMENT CORP /CN/STRZ2273.730 $2142161.347.541 $
126± 51 %
Energy Recovery, Inc.ERII199.267 $4481-46.351.631 $
125
NORTHPOINTE BANCSHARES INCNPB21.327.106 $184425.825.842 $
124± 51 %
UNITED FIRE GROUP INCUFCS1203.535 $3688253.343.351 $
124± 66 %
GUGGENHEIM STRATEGIC OPPORTUNITIES FUNDGOF149.989 $358735.396.618 $
122
Absci CorpABSI1148.866 $47741.281.422.702 $
121
John Marshall Bancorp, Inc.JMSB248.369 $233712.392.107 $
120
First Guaranty Bancshares, Inc.FGBI4939.785 $13176.395.759 $
120
TFS Financial CORPTFSL1110.950 $4080134.384.381 $
120
Greenwich LifeSciences, Inc.GLSI487.833 $723-1.574.229 $
120
Advanced Flower Capital Inc.AFCG6537.023 $911-3.905.660 $
120± 62 %
PRECIGEN, INC.PGEN124.662 $3485280.257.350 $
119
ROYCE SMALL-CAP TRUST, INC.RVT150.848 $3089105.387.723 $
119
GERDAU S.A.GGB1781.510 $4673329.144.773 $
119± 59 %ADR
Hudson Pacific Properties, Inc.HPP1335.000 $3679590.981.297 $
115± 66 %
ConnectOne Bancorp, Inc.CNOB128.543 $3679205.473.757 $
115± 66 %
National Vision Holdings, Inc.EYE1776.000 $4075-716.725.150 $
115
Metropolitan Bank Holding Corp.MCB189.980 $3481134.407.973 $
115± 66 %
Bridger Aerospace Group Holdings, Inc.BAER5293.890 $81567.038 $
115
KINGSWAY CorpKFS3119.538 $1028-2.223.926 $
114
Venu Holding CorpVENU277.511 $3324-29.988.060 $
114
AMERICAN VANGUARD CORPAVD252.210 $2433-7.386.836 $
114± 62 %
LIBERTY ALL STAR EQUITY FUNDUSA111.610 $328271.889.094 $
114
PEOPLES BANCORP INCPEBO139.810 $3182145.907.464 $
113± 66 %
Citizens Community Bancorp Inc.CZWI230.625 $154112.073.937 $
112± 62 %
BYLINE BANCORP, INC.BY111.519 $3379202.039.377 $
112
Corvus Pharmaceuticals, Inc.CRVS1250.236 $3971-3.402.277 $
110
Vitesse Energy, Inc.VTS1660.530 $317960.082.301 $
110
GPGI, Inc.GPGI1994.868 $3474-52.369.615 $
108
CapsoVision, IncCV31.007.916 $6309.295.679 $
108
Hemab Therapeutics Holdings, Inc.COAG21.689.818 $5401.326.253.328 $
108n. b. 28 %
NGL Energy Partners LPNGL45.707.836 $522309.090.625 $
108
PHIBRO ANIMAL HEALTH CORPPAHC1317.700 $3077-481.092.137 $
107± 66 %
Origin Bancorp, Inc.OBK1199.282 $3175209.514.486 $
106
RCI HOSPITALITY HOLDINGS, INC.RICK274.437 $143921.353.100 $
106± 66 %
ABERDEEN MULTI-MARKET INCOME FUNDMMT111.175 $5352111.429.437 $
105
TRANSCAT INCTRNS198.663 $3273212.043.416 $
105
PIMCO Dynamic Income Strategy FundPDX2671.515 $1537-23.343.946 $
104
Alpha Cognition Inc.ACOG133.762.723 $1718.693.607 $
104
Goldman Sachs BDC, Inc.GSBD118.116 $4064111.385.369 $
104
Community West BancsharesCWBC1118.678 $2974161.409.153 $
103
McEwen Inc.MUX118.360 $4358-53.452.293 $
101
Farmland Partners Inc.FPI119.300 $2279-36.965.165 $
101
Barings BDC, Inc.BBDC182.700 $287337.590.447 $
101± 66 %
UR-ENERGY INCURG114.200 $50509.533.390 $
100
Eightco Holdings Inc.ORBS1183.960 $47529.671.748 $
99
Humacyte, Inc.HUMA117.820 $376122.125.396 $
98
OXFORD INDUSTRIES INCOXM192.250 $3563-114.073.555 $
98± 66 %
Larimar Therapeutics, Inc.LRMR1166.890 $2968-106.142.557 $
97± 66 %
Erweitert ×