Dividend Stocks

Dividend stocks are a popular investment option for those seeking a reliable source of income. These stocks are issued by companies that distribute a portion of their earnings to shareholders in the form of dividends. Investors often look to dividend stocks for long-term growth and stability, as they can provide a steady stream of passive income. By investing in companies that consistently pay out dividends, investors can potentially build wealth over time and protect against market volatility. Dividend stocks come in various forms, such as preferred and common stocks, each with its own set of advantages and risks. Overall, dividend stocks are a valuable tool for building a diversified investment portfolio that generates income while also offering the potential for capital appreciation.

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Symbol Exchange Name MCAP Price Change PE Ratio Yield
CIG NYSE Comp En De Mn Cemig ADS American Depositary Shares 5.84B 2.04 -1.93 5.12 0.07
TUYA NYSE Tuya Inc. American Depositary Shares, each representing one Class A Ordinary Share 1.32B 2.17 0.93 27.13 0.05
RLX NYSE RLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share 2.73B 2.24 0.45 27.58 0.04
ABEV NYSE Ambev S.A. American Depositary Shares (Each representing 1 Common Share) 40.60B 2.60 0.39 14.45 0.07
WIT NYSE Wipro Limited Common Stock 27.34B 2.61 1.17 18.97 0.07
CIG.C NYSE Comp En De Mn Cemig ADS American Depositary Receipts 8.01B 2.80 4.09 6.83 0.05
PSEC NASDAQ Prospect Capital Corp 1.35B 2.86 1.42 37.56 0.19
TV NYSE Grupo Televisa S.A.B. Common Stock 1.60B 2.99 0.68 0.13 0.03
BBDO NYSE Banco Bradesco Sa American Depositary Shares (each representing one Common Share) 35.22B 3.33 1.62 10.01 0.04
BTE NYSE Baytex Energy Corp Common Shares 2.57B 3.35 1.06 16.70 0.02
PLTK NASDAQ Playtika Holding Corp 1.34B 3.57 -1.93 14.88 0.11
AMBP NYSE Ardagh Metal Packaging SA 2.46B 4.12 -5.73 18.59 0.09
BBD NYSE Banco Bradesco Sa American Depositary Shares 43.79B 4.14 4.29 11.39 0.05
ENIC NYSE Enel Chile S.A. American Depositary Shares (Each representing 50 shares of Common Stock) 5.98B 4.32 -1.60 121.62 0.01
GGB NYSE Gerdau S.A. Common Stock 8.63B 4.37 2.35 16.06 0.02
NWL NASDAQ Newell Brands Inc 1.83B 4.37 1.16 6.81 0.06
UGP NYSE Ultrapar Participacoes S.A. (New) American Depositary Shares (Each representing one Common Share) 4.69B 4.39 5.03 9.37 0.07
AVAL NYSE Grupo Aval Acciones y Valores S.A. ADR (Each representing 20 preferred shares) 5.37B 4.52 4.39 13.89 0.03
CRCT NASDAQ Cricut Inc 1.02B 4.83 -2.43 11.89 0.05
DHC NASDAQ Diversified Healthcare Trust 1.20B 4.97 0.51 1.33 0.01
BTG NYSE B2Gold Corp Common shares (Canada) 6.73B 5.04 2.55 36.87 0.01
MPW NYSE Medical Properties Trust Inc 3.06B 5.09 -2.12 19.17 0.06
ICL NYSE ICL Group Ltd. Ordinary Shares 6.69B 5.18 1.87 18.93 0.03
FINV NYSE FinVolution Group American Depositary Shares 1.28B 5.20 0.88 3.38 0.05
LYG NYSE Lloyds Banking Group Plc American Depositary Shares 80.79B 5.50 0.55 18.79 0.03
UWMC NYSE UWM Holdings Corp 1.55B 5.76 -0.26 53.27 0.07
HAFN NYSE Hafnia Limited Common Shares 2.93B 5.89 2.53 9.62 0.07
TKC NYSE Turkcell Iletisim Hizmetleri AS Common Stock 5.29B 6.07 -0.33 17.96 0.03
GAB NYSE Gabelli Equity Trust Inc 1.91B 6.18 1.48 6.81 0.10
USA NYSE Liberty All Star Equity Fund 1.84B 6.25 -1.73 8.88 0.11
OGCP AMEX Empire State Realty OP, L.P. Series 60 Operating Partnership Units Representing Limited Partnership Interests 1.72B 6.25 0.49 31.73 0.02
ESRT NYSE Empire State Realty Trust Inc 1.09B 6.40 3.90 33.30 0.02
AQN NYSE Algonquin Power & Utilities Corp. Common Shares 4.92B 6.41 -1.69 94.71 0.04
RES NYSE RPC Inc 1.42B 6.43 -1.38 29.64 0.02
FSCO NYSE FS Credit Opportunities Corp. Common Stock 1.28B 6.45 0.24 6.78 0.13
ESBA AMEX Empire State Realty OP LP 1.79B 6.48 2.86 32.40 0.02
NOK NYSE Nokia Corporation Sponsored American Depositary Shares 37.54B 6.77 4.16 36.53 0.02
FISK AMEX Empire State Realty OP, L.P. Series 250 Operating Partnership Units Representing Limited Partnership Interests 1.87B 6.80 4.46 32.95 0.02
BSBR NYSE Banco Santander Brasil SA American Depositary Shares, each representing one unit 52.82B 7.07 4.05 24.79 0.05
ORC NYSE Orchid Island Capital Inc 1.32B 7.18 1.06 16.06 0.17
PTEN NASDAQ Patterson-UTI Energy Inc 2.80B 7.39 3.29 19.25 0.04
ARCO NYSE Arcos Dorados Holdings Inc 1.56B 7.41 -1.60 6.64 0.03
IEP NASDAQ Icahn Enterprises LP 4.49B 7.48 -0.93 165.52 0.25
AEG NYSE Aegon Ltd. New York Registry Shares 11.38B 7.52 0.67 8.33 0.06
RLJ NYSE RLJ Lodging Trust 1.16B 7.70 -1.03 148.80 0.08
JFR NYSE Nuveen Floating Rate Income Fund 1.26B 7.84 0.00 14.14 0.13
CRF NYSE Cornerstone Total Return Fund Inc 1.22B 7.92 0.18 9.16 0.18
ABR NYSE Arbor Realty Trust Inc 1.56B 7.96 -0.26 9.84 0.17
ADT NYSE ADT Inc 6.57B 8.02 -2.44 10.92 0.03
JPC NYSE Nuveen Preferred & Income Opportunities Fund 2.92B 8.17 0.13 10.45 0.10
SFL NYSE SFL Corp Ltd 1.10B 8.26 0.13 18.21 0.11
CLM NYSE Cornerstone Strategic Value Fund Inc 2.36B 8.31 0.73 8.76 0.18
PDM NYSE Piedmont Office Realty Trust Inc 1.04B 8.32 0.00 22.66 0.02
CRGY NYSE Crescent Energy Co 2.76B 8.39 -1.30 5.83 0.05
MFG NYSE Mizuho Financial Group, Inc. Sponosred ADR (Japan) 104.37B 8.45 -0.71 16.62 0.02
HIMX NASDAQ Himax Technologies Inc 1.49B 8.56 -0.12 23.48 0.04
WEN NASDAQ The Wendy's Co 1.64B 8.64 3.54 8.49 0.08
BUR NYSE Burford Capital Ltd 1.92B 8.75 -1.91 24.53 0.01
ITUB NYSE Itau Unibanco Banco Holding SA American Depositary Shares (Each repstg 500 Preferred shares) 96.59B 8.76 4.35 11.68 0.06
HYT NYSE BlackRock Corporate High Yield Fund Inc 1.44B 8.83 0.00 8.75 0.10
AGRO NYSE Adecoagro SA 1.26B 8.93 0.12 39.06 0.04
GNL NYSE Global Net Lease Inc 1.96B 8.95 0.68 117.57 0.08
VET NYSE Vermilion Energy Inc. Common (Canada) 1.37B 8.95 2.70 19.83 0.04
SHO NYSE Sunstone Hotel Investors Inc 1.72B 9.05 -1.04 442.50 0.04
NUV NYSE Nuveen Municipal Value Fund Inc 1.88B 9.07 0.23 31.38 0.04
GRFS NASDAQ Grifols, S.A. - American Depositary Shares 6.18B 9.08 0.67 14.30 0.02
BGC NASDAQ BGC Group Inc 4.26B 9.08 -0.22 26.85 0.01
ETW NYSE Eaton Vance Tax-mangd Glo Buy-write Oppo 1.01B 9.26 0.77 9.70 0.09
WU NYSE The Western Union Co 2.95B 9.27 1.43 4.07 0.10
NMR NYSE Nomura Holdings Inc ADR American Depositary Shares 27.26B 9.29 -1.07 11.64 0.05
INTR NASDAQ Inter & Co Inc 4.09B 9.30 2.15 19.24 0.01
SUZ NYSE Suzano S.A. American Depositary Shares (each representing One Ordinary Share) 11.51B 9.31 -0.43 9.63 0.02
GSBD NYSE Goldman Sachs BDC Inc 1.07B 9.40 0.00 8.17 0.08
ERIC NASDAQ Ericsson - American Depositary Shares each representing 1 underlying Class B share 31.67B 9.50 -0.42 11.68 0.03
DRH NYSE Diamondrock Hospitality Co 1.95B 9.55 0.80 35.58 0.03
BDJ NYSE BlackRock Enhanced Equity Dividend Trust 1.70B 9.59 0.74 9.79 0.08
ZGN NYSE Ermenegildo Zegna NV 2.44B 9.60 -0.21 21.10 0.02
EXG NYSE Eaton Vance Tax-Mgd Glbl Div Eq Inc 2.98B 9.74 0.11 7.07 0.08
EXPI NASDAQ eXp World Holdings Inc 1.56B 9.81 -0.61 175.52 0.02
KW NYSE Kennedy-Wilson Holdings Inc 1.36B 9.84 0.36 23.13 0.05
MFA NYSE MFA Financial Inc 1.01B 9.87 -2.33 11.64 0.14
YMM NYSE Full Truck Alliance Co. Ltd. American Depositary Shares (each representing 20 Class A Ordinary Shares) 10.33B 9.88 0.21 18.17 0.02
HLN NYSE Haleon plc American Depositary Shares (Each representing two Ordinary Shares) 44.13B 9.91 -1.30 22.81 0.02
SGHC NYSE Super Group (SGHC) Ltd 5.02B 9.92 -0.90 23.17 0.02
STLA NYSE Stellantis NV 28.66B 9.92 5.99 5.26 0.08
ELPC NYSE Companhia Paranaense de Energia (COPEL) American Depositary Shares (each representing four (4) Common Shares) 7.40B 9.96 0.81 19.96 0.06
EVV NYSE Eaton Vance Ltd Duration Income Fund 1.16B 9.97 -0.05 14.57 0.09
AOD NYSE Aberdeen Total Dynamic Dividend Fund 1.05B 10.00 -0.05 6.36 0.12
ARI NYSE Apollo Commercial Real Estate Finance Inc 1.40B 10.07 -0.55 11.50 0.10
DNP NYSE DNP Select Income Fund Inc 3.80B 10.09 0.50 8.74 0.08
PBI NYSE Pitney Bowes Inc 1.63B 10.14 0.60 24.21 0.03
NMZ NYSE Nuveen Municipal High Income Opp Fund 1.21B 10.26 0.30 49.43 0.08
TWO NYSE Two Harbors Investment Corp 1.08B 10.41 0.20 9.37 0.11
CNH NYSE CNH Industrial NV 13.02B 10.45 1.86 22.50 0.02
UMC NYSE United Microelectronics Corporation (NEW) Common Stock 26.33B 10.46 -4.09 23.24 0.04
BTZ NYSE Blackrock Credit Allocation Income Trust 1.01B 10.78 -0.47 9.65 0.09
DEI NYSE Douglas Emmett Inc 1.81B 10.79 -0.74 87.67 0.07
MUC NYSE BlackRock MuniHoldings California Quality Fund Inc 1.02B 10.86 -0.37 131.77 0.06
WB NASDAQ Weibo Corp 2.67B 10.89 -0.28 6.19 0.08
PAGS NYSE PagSeguro Digital Ltd 3.18B 10.93 4.20 8.58 0.01
LADR NYSE Ladder Capital Corp 1.40B 10.98 0.28 17.68 0.08
FLO NYSE Flowers Foods Inc 2.33B 11.04 0.51 12.23 0.09
PX NYSE P10 Inc 1.22B 11.09 4.04 84.38 0.01
DSL NYSE DoubleLine Income Solutions Fund 1.28B 11.18 -0.27 11.88 0.12
PK NYSE Park Hotels & Resorts Inc 2.24B 11.21 -1.41 156.25 0.09
MFIC NASDAQ MidCap Financial Investment Corp 1.05B 11.25 -0.96 10.72 0.14
XRAY NASDAQ Dentsply Sirona Inc 2.25B 11.27 -1.40 7.96 0.05
PGX AMEX Invesco Preferred ETF 4.17B 11.34 -0.05 0.00 4.53
RITM NYSE Rithm Capital Corp 6.29B 11.35 1.34 8.26 0.08
CMBT NYSE Euronav NV Ordinary Shares 3.31B 11.39 -0.70 14.67 0.01
MNR NYSE Mach Natural Resources LP 1.93B 11.45 0.71 12.26 0.17
KRP NYSE Kimbell Royalty Partners LP 1.07B 11.50 -1.38 268.24 0.12
CX NYSE Cemex, S.A.B. de C.V. Sponsored ADR 16.73B 11.53 -3.28 14.22 0.01
NEA NYSE Nuveen AMT-Free Municipal Income Fund 3.46B 11.57 0.61 41.32 0.07
HOPE NASDAQ Hope Bancorp Inc 1.50B 11.72 2.54 25.31 0.05
AGNC NASDAQ AGNC Investment Corp 13.06B 11.79 0.77 8.28 0.12
HUN NYSE Huntsman Corp 2.06B 11.83 4.14 15.16 0.07
NAC NYSE Nuveen California Quality Municipal Income Fund 1.74B 11.85 0.26 14.58 0.07
AESI NYSE Atlas Energy Solutions Inc 1.47B 11.87 2.38 56.07 0.06
APLE NYSE Apple Hospitality REIT Inc 2.81B 11.88 -2.71 16.05 0.08
TAC NYSE TransAlta Corporation Ordinary Shares 3.56B 11.99 -1.48 51.28 0.01
LEG NYSE Leggett & Platt Inc 1.64B 12.09 -0.50 7.39 0.02
NAVI NASDAQ Navient Corp 1.18B 12.09 0.09 8.92 0.05
NAD NYSE Nuveen Quality Municipal Income Fund 2.83B 12.14 -0.29 43.07 0.07
EC NYSE Ecopetrol S.A. American Depositary Shares 25.06B 12.19 -5.18 9.61 0.08
WTTR NYSE Select Water Solutions Inc 1.29B 12.31 -0.17 61.79 0.02
BWLP NYSE BW LPG Limited Common Shares 1.88B 12.43 -0.56 13.28 0.09
SAN NYSE Banco Santander, S.A. Sponsored ADR (Spain) 182.87B 12.45 2.18 13.01 0.02
PSO NYSE Pearson, Plc Common Stock 7.94B 12.52 0.49 14.55 0.03
VLY NASDAQ Valley National Bancorp 7.01B 12.57 1.58 13.97 0.04
NOMD NYSE Nomad Foods Ltd 1.84B 12.58 -1.80 8.17 0.05
NWBI NASDAQ Northwest Bancshares Inc 1.79B 12.64 -0.94 13.87 0.06
MRTN NASDAQ Marten Transport Ltd 1.03B 12.66 -2.24 51.92 0.02
PBR.A NYSE Petroleo Brasileiro S.A.- Petrobras American Depositary Shares 81.84B 12.70 0.48 6.50 0.12
NZF NYSE Nuveen Municipal Credit Income Fund 2.46B 12.72 0.20 41.17 0.08
GOF NYSE Guggenheim Strategic Opportunities Fund 2.55B 12.80 -0.53 7.68 0.17
OCSL NASDAQ Oaktree Specialty Lending Corp 1.13B 12.86 1.50 32.28 0.13
KYN NYSE Kayne Anderson Energy Infrastructure Fund, Inc 2.08B 12.87 0.87 3.02 0.08
CIM NYSE Chimera Investment Corp 1.08B 13.02 0.82 6.46 0.11
PTY NYSE PIMCO Corporate & Income Opportunity Fds 2.51B 13.09 0.35 9.12 0.11
VTRS NASDAQ Viatris Inc 15.09B 13.10 -2.06 5.35 0.04
NFJ NYSE Virtus Dividend, Interest & Premium Strategy Fund 1.24B 13.19 -0.83 19.58 0.09
PMT NYSE PennyMac Mortgage Investment Trust 1.15B 13.22 -0.94 14.71 0.12
OPRA NASDAQ Opera Ltd 1.19B 13.23 -5.97 15.38 0.06
COLD NYSE Americold Realty Trust Inc 3.77B 13.25 -0.23 289.21 0.07
DHT NYSE DHT Holdings Inc 2.15B 13.40 0.61 10.98 0.05
GBDC NASDAQ Golub Capital BDC Inc 3.57B 13.56 -0.88 9.65 0.11
VOD NASDAQ Vodafone Group Plc - American Depositary Shares each representing ten Ordinary Shares 31.85B 13.60 0.75 40.65 0.04
TU NYSE Telus Corporation Ordinary Shares 21.12B 13.62 1.72 24.37 0.09
F NYSE Ford Motor Co 55.03B 13.81 -0.22 11.91 0.05
DEC NYSE Diversified Energy Company plc Ordinary Shares 1.06B 13.83 -3.02 4.59 0.09
RDY NYSE Dr. Reddy's Laboratories Ltd Common Stock 11.54B 13.86 0.29 18.52 0.01
EFC NYSE Ellington Financial Inc 1.61B 13.92 -0.65 10.13 0.12
PDO NYSE PIMCO Dynamic Income Opportunities Fund 1.92B 13.98 0.08 7.66 0.11
VIV NYSE Telefonica Brasil S.A. American Depositary Shares (Each representing One Common Share) 22.35B 13.99 0.29 20.19 0.03
SAFE NYSE Safehold Inc 1.00B 14.00 -0.85 8.89 0.05
BSM NYSE Black Stone Minerals LP 3.00B 14.14 -0.36 12.72 0.09
PRGO NYSE Perrigo Co PLC 2.08B 14.18 1.25 5.47 0.08
AES NYSE The AES Corp 10.12B 14.21 -2.74 9.82 0.05
WT NYSE WisdomTree Inc 2.00B 14.22 2.09 25.94 0.01
PGF AMEX Invesco Financial Preferred ETF 1.34B 14.25 -0.48 0.00 4.55
CC NYSE The Chemours Co 2.14B 14.30 3.25 8.36 0.03
PR NYSE Permian Resources Corp 10.67B 14.32 -2.39 13.66 0.04
BCAT NYSE BlackRock Capital Allocation Trust 1.51B 14.37 -1.17 9.72 0.22
ETV NYSE Eaton Vance Tax-Managed Buy-Write Opp 1.68B 14.38 0.21 10.14 0.08
FSK NYSE FS KKR Capital Corp 4.05B 14.46 0.00 14.51 0.20
TFSL NASDAQ TFS Financial Corp 4.07B 14.52 -0.07 44.50 0.08
DX NYSE Dynex Capital Inc 2.91B 14.60 -0.14 5.97 0.14
SBGI NASDAQ Sinclair Inc 1.02B 14.63 -3.05 15.92 0.07
CCU NYSE Compania Cervecerias Unidas, S.A. Common Stock 2.70B 14.64 2.81 17.83 0.03
XHR NYSE Xenia Hotels & Resorts Inc 1.39B 14.65 -1.35 26.55 0.04
BXMX NYSE Nuveen S&P 500 Buy-Write Income Fund 1.53B 14.71 0.00 11.80 0.07
OXLC NASDAQ Oxford Lane Capital Corp 1.43B 14.73 0.17 31.86 0.37
NBXG NYSE Neuberger Berman Next Generation Connectivity Fund Inc. Common Stock 1.16B 14.74 -1.28 3.53 0.09
VRE NYSE Veris Residential Inc 1.39B 14.90 0.95 23.75 0.02
EFXT NYSE Enerflex Ltd Common Shares 1.83B 15.01 -0.53 15.88 0.01
ETY NYSE Eaton Vance Tax-mgd Dvsf Eq Inc Fd 2.41B 15.15 0.34 7.93 0.08
SEM NYSE Select Medical Holdings Corp 1.88B 15.16 -1.31 18.23 0.02
GPK NYSE Graphic Packaging Holding Co 4.48B 15.18 -1.82 8.91 0.03
FMC NYSE FMC Corp 1.92B 15.34 -0.10 7.18 0.11
ASX NYSE ASE Technology Holding Co., Ltd. American Depositary Shares (each representing Two Common Shares) 33.49B 15.35 1.26 40.75 0.02
ECAT NYSE BlackRock ESG Capital Allocation Trust 1.55B 15.58 1.30 7.61 0.23
DOLE NYSE Dole PLC 1.38B 15.65 -0.20 12.44 0.02
OWL NYSE Blue Owl Capital Inc 10.49B 15.78 0.32 181.63 0.06
WDS NYSE Woodside Energy Group Limited American Depositary Shares, each representing one Ordinary Share 30.08B 15.82 -0.63 11.24 0.06
PCG NYSE PG&E Corp 34.86B 15.86 -0.79 12.75 0.01
TME NYSE Tencent Music Entertainment Group 24.49B 15.89 -2.01 16.99 0.01
MUFG NYSE Mitsubishi UFJ Financial Group, Inc. Common Stock 180.45B 15.92 -2.22 17.01 0.03
QFIN NASDAQ 360 Finance Inc 2.09B 16.03 -2.26 2.27 0.09
TRIN NASDAQ Trinity Capital Inc 1.23B 16.21 -0.31 7.59 0.13
MSDL NYSE Morgan Stanley Direct Lending Fund 1.41B 16.24 -0.49 9.92 0.12
TAK NYSE Takeda Pharmaceutical Company Limited American Depositary Shares (each representing 1/2 of a share of Common Stock) 51.37B 16.26 -0.31 253.78 0.04
UMH NYSE UMH Properties Inc 1.39B 16.32 -1.69 196.25 0.06
BBN NYSE BlackRock Taxable Municipal Bond Trust 1.02B 16.50 -0.74 19.11 0.07
CMRE NYSE Costamare Inc 1.99B 16.51 1.98 6.51 0.03
CVE NYSE Cenovus Energy Inc Common Stock 31.33B 16.61 1.22 15.44 0.03
IRT NYSE Independence Realty Trust Inc 4.02B 16.81 -1.47 187.00 0.04
GEL NYSE Genesis Energy LP 2.06B 16.84 -1.81 115.89 0.04
HR NYSE Healthcare Realty Trust Inc 5.96B 16.96 -1.57 80.85 0.07
IRS NYSE IRSA Inversiones Y Representaciones S.A. Global Depositary Shares (Each representing ten shares of Common Stock) 1.31B 16.98 3.86 4.24 0.08
ACI NYSE Albertsons Companies Inc 8.75B 17.02 -0.70 10.82 0.04
JBGS NYSE JBG SMITH Properties 1.01B 17.06 -0.53 48.25 0.04
WWW NYSE Wolverine World Wide Inc 1.40B 17.12 -1.67 16.00 0.02
VIPS NYSE Vipshop Holdings Ltd 8.45B 17.14 -0.32 9.20 0.03
PAX NASDAQ Patria Investments Ltd 2.73B 17.15 -0.47 23.61 0.04
FNB NYSE F N B Corp 6.15B 17.22 -1.97 11.17 0.03
CAG NYSE Conagra Brands Inc 8.26B 17.26 -0.52 10.40 0.08
NTST NYSE Netstreit Corp 1.44B 17.28 -1.49 48.54 0.05
BEKE NYSE KE Holdings Inc American Depositary Shares (each representing three Class A Ordinary Shares) 18.69B 17.38 1.58 42.05 0.02
RVT NYSE Royce Value Trust Inc 2.09B 17.51 -0.52 12.97 0.08
KSS NYSE Kohl's Corp 1.98B 17.66 -0.51 10.28 0.03
KVUE NYSE Kenvue Inc 33.97B 17.73 1.99 23.33 0.05
HBAN NASDAQ Huntington Bancshares Inc 27.91B 17.80 -0.59 12.54 0.04
DOC NYSE Healthpeak Properties Inc 12.39B 17.83 0.00 70.92 0.07
MAC NYSE Macerich Co 4.62B 18.05 -1.64 56.85 0.04
AAT NYSE American Assets Trust Inc 1.10B 18.06 0.45 17.70 0.08
NOV NYSE NOV Inc 6.59B 18.07 1.98 19.11 0.02
FCF NYSE First Commonwealth Financial Corp 1.88B 18.11 4.75 12.73 0.03
ET NYSE Energy Transfer LP 62.25B 18.13 2.70 14.36 0.07
ATEN NYSE A10 Networks Inc 1.30B 18.14 1.86 26.29 0.01
PDI NYSE PIMCO Dynamic Income Fund 7.60B 18.19 -0.03 7.74 0.15
NWG NYSE NatWest Group plc American Depositary Shares, (each representing two (2) Ordinary Shares) 72.71B 18.22 1.79 10.39 0.04
STWD NYSE Starwood Property Trust Inc 6.76B 18.26 0.72 17.73 0.11
INFY NYSE Infosys Limited American Depositary Shares 74.08B 18.31 0.55 23.70 0.03
XP NASDAQ XP Inc 9.51B 18.32 5.29 11.35 0.01
OCFC NASDAQ OceanFirst Financial Corp 1.05B 18.35 0.00 15.68 0.04
NVGS NYSE Navigator Holdings Ltd 1.20B 18.36 -0.28 12.27 0.01
ARR NYSE ARMOUR Residential REIT Inc 2.06B 18.45 -0.60 97.74 0.16
GTX NASDAQ Garrett Motion Inc 3.60B 18.50 0.03 11.76 0.01
BNL NYSE Broadstone Net Lease Inc 3.51B 18.53 -0.97 38.96 0.06
AM NYSE Antero Midstream Corp 8.88B 18.65 -0.54 19.14 0.05
SM NYSE SM Energy Co 2.14B 18.67 -1.72 3.05 0.04
PHB AMEX Invesco Fundamental High Yield Corporate Bond ETF 1.11B 18.69 -0.06 0.00 3.13
KT NYSE KT Corporation Common Stock 9.02B 18.71 0.46 15.15 0.04
HTGC NYSE Hercules Capital Inc 3.41B 18.77 -0.53 10.75 0.10
ADEA NASDAQ Adeia Inc 2.06B 18.79 -0.64 28.34 0.01
HST NASDAQ Host Hotels & Resorts Inc 12.94B 18.81 0.70 17.53 0.04
SBRA NASDAQ Sabra Health Care REIT Inc 4.69B 18.82 -1.08 25.36 0.06
FIHL NYSE Fidelis Insurance Holdings Ltd 1.94B 18.83 1.08 5.85 0.03
BXMT NYSE Blackstone Mortgage Trust Inc 3.16B 18.87 -1.52 30.70 0.10
FPF NYSE First Trust Inter Dur Pref& Income Fund 1.15B 18.88 0.22 9.58 0.09
BBAR NYSE Banco BBVA Argentina S.A. ADS 3.86B 18.91 1.62 33.21 0.01
TGNA NYSE Tegna Inc 3.05B 18.92 0.27 9.05 0.03
VSH NYSE Vishay Intertechnology Inc 2.57B 18.97 -0.42 28.01 0.02
BZ NASDAQ KANZHUN LIMITED - American Depository Shares 7.66B 18.98 -1.54 24.56 0.01
MNSO NYSE MINISO Group Holding Limited American Depositary Shares, each representing four Ordinary Shares 5.78B 19.08 -1.09 18.76 0.03
UE NYSE Urban Edge Properties 2.41B 19.17 1.11 21.54 0.04
PAA NASDAQ Plains All American Pipeline LP 13.54B 19.19 0.27 18.98 0.08
EBC NASDAQ Eastern Bankshares Inc 4.23B 19.24 -0.70 47.14 0.03
CSQ NASDAQ Calamos Strategic Total Return Fund 3.09B 19.25 1.27 4.30 0.06
UPBD NASDAQ Upbound Group Inc 1.12B 19.26 0.26 13.23 0.08
HQH NYSE abrdn Healthcare Investors 1.08B 19.39 -0.77 12.05 0.11
CGAU NYSE Centerra Gold Inc. Common Shares 3.91B 19.40 2.46 12.12 0.01
PTA NYSE COHEN & STEERS TAX-ADV PRD SEC AND INC 1.07B 19.43 0.63 12.06 0.08
SFNC NASDAQ Simmons First National Corp 2.82B 19.45 0.94 16.06 0.04
VFC NYSE VF Corp 7.68B 19.66 -1.04 84.50 0.02
IRDM NASDAQ Iridium Communications Inc 2.07B 19.76 1.03 18.76 0.03
MLKN NASDAQ MillerKnoll Inc 1.35B 19.80 4.05 33.24 0.04
OSBC NASDAQ Old Second Bancorp Inc 1.05B 19.88 -0.70 12.23 0.01
CVBF NASDAQ CVB Financial Corp 2.69B 19.88 3.01 12.89 0.04
SKM NYSE SK Telecom Co., Ltd. Common Stock 7.63B 19.89 0.99 26.82 0.04
PFS NYSE Provident Financial Services Inc 2.62B 20.03 -0.58 10.47 0.05
BANC NYSE Banc of California Inc 3.13B 20.12 -0.35 17.23 0.02
FULT NASDAQ Fulton Financial Corp 3.62B 20.14 -0.45 9.80 0.04
SIRI NASDAQ Sirius XM Holdings Inc 6.80B 20.19 -1.37 4.96 0.05
SPH NYSE Suburban Propane Partners LP 1.34B 20.22 1.00 12.48 0.06
BAX NYSE Baxter International Inc 10.47B 20.37 2.68 8.34 0.03
PAGP NASDAQ Plains GP Holdings LP 4.03B 20.39 0.30 27.25 0.07
WSC NASDAQ WillScot Mobile Mini Holdings Corp 3.72B 20.42 -0.10 16.88 0.01
METC NASDAQ Ramaco Resources Inc 1.35B 20.43 0.89 55.77 0.01
ARCC NASDAQ Ares Capital Corp 14.68B 20.48 -0.21 10.20 0.09
KIM NYSE Kimco Realty Corp 13.98B 20.64 -0.58 25.23 0.05
SMFG NYSE Sumitomo Mitsui Financial Group Inc Unsponsored American Depositary Shares (Japan) 131.75B 20.65 -0.73 15.31 0.03
TLK NYSE PT Telekomunikasi Indonesia, Tbk 20.59B 20.78 -2.90 17.90 0.05
ALEX NYSE Alexander & Baldwin Inc 1.51B 20.79 0.20 20.52 0.05
BKLN AMEX Invesco Senior Loan ETF 8.19B 20.90 -0.25 0.00 3.05
AKR NYSE Acadia Realty Trust 2.74B 20.91 -0.29 151.54 0.04
ENR NYSE Energizer Holdings Inc 1.43B 20.91 5.82 6.55 0.06
KEY NYSE KeyCorp 23.14B 20.99 -0.38 14.12 0.04
LBRT NYSE Liberty Energy Inc 3.41B 21.05 4.57 19.63 0.01
PEY NASDAQ Invesco High Yield Equity Dividend Achievers ETF 1.05B 21.08 -1.85 0.00 4.24
AMX NYSE America Movil, S.A.B. de C.V. American Depositary Shares (each representing the right to receive twenty (20) Series B Shares 63.55B 21.10 1.84 16.36 0.03
M NYSE Macy's Inc 5.63B 21.17 -0.61 11.99 0.04
FBP NYSE First BanCorp 3.33B 21.26 -0.84 10.72 0.03
SCHH AMEX Schwab U.S. REIT ETF 2.31B 21.28 -0.24 0.00 2.63
HOG NYSE Harley-Davidson Inc 2.52B 21.29 -0.66 4.75 0.04
HPQ NYSE HP Inc 19.62B 21.37 -0.49 7.31 0.06
SBLK NASDAQ Star Bulk Carriers Corp 2.45B 21.49 0.94 46.83 0.01
ZIM NYSE ZIM Integrated Shipping Services Ltd 2.59B 21.50 0.66 2.73 0.19
CON NYSE Concentra Group Holdings Parent Inc 2.76B 21.55 -0.14 18.51 0.01
PWP NASDAQ Perella Weinberg Partners 1.44B 21.63 -0.99 29.36 0.01
PCY AMEX Invesco Emerging Markets Sovereign Debt ETF 2.71B 21.64 -0.14 0.00 4.82
LEVI NYSE Levi Strauss & Co 8.48B 21.70 -0.62 16.22 0.03
TSLX NYSE Sixth Street Specialty Lending Inc 2.06B 21.79 -1.85 10.86 0.04
FRO NYSE Frontline Plc 4.86B 21.84 0.56 27.59 0.03
WPP NYSE WPP plc American Depositary Shares 4.75B 22.00 0.74 8.97 0.10
SONY NYSE Sony Group Corporation American Depositary Shares 149.44B 22.18 -1.89 17.43 0.01
HPE NYSE Hewlett Packard Enterprise Co 29.60B 22.18 0.05 9.23 0.02
EWH AMEX iShares MSCI Hong Kong Index Fund 1.59B 22.24 1.14 0.00 2.20
OSW NASDAQ OneSpaWorld Holdings Ltd 2.27B 22.25 0.82 27.93 0.01
EOS NYSE Eaton Vance Enhanced Equity Income Fund II 1.19B 22.36 0.68 8.16 0.08
BWX AMEX SPDR Bloomberg International Treasury Bond ETF 1.79B 22.40 0.32 0.00 0.95
ZTO NYSE ZTO Express (Cayman) Inc 17.68B 22.47 2.70 13.96 0.03
MGY NYSE Magnolia Oil & Gas Corp 4.12B 22.49 -1.54 13.72 0.02
NOG NYSE Northern Oil & Gas Inc 2.20B 22.56 -1.62 13.20 0.07
BSTZ NYSE BlackRock Science and Technology Trust II 1.56B 22.67 -0.55 3.65 0.11
BTT NYSE Blackrock Municipal 2030 Target Term Trust 1.45B 22.70 0.31 24.97 0.02
HMY NYSE Harmony Gold Mining Company Limited 14.20B 22.73 9.86 16.94 0.01
BBWI NYSE Bath & Body Works Inc 4.67B 22.83 2.57 6.64 0.04
ATHM NYSE Autohome Inc 2.71B 22.84 -1.30 12.93 0.08
ADX NYSE Adams Diversified Equity Fund Inc 2.74B 22.85 0.22 7.65 0.08
RYN NYSE Rayonier Inc 3.71B 22.99 -0.87 8.88 0.05
PHI NYSE PLDT Inc. Sponsored ADR 4.97B 22.99 3.75 10.05 0.07
REYN NASDAQ Reynolds Consumer Products Inc 4.85B 23.06 0.62 16.13 0.04
KRG NYSE Kite Realty Group Trust 4.99B 23.07 -0.31 36.08 0.05
CNK NYSE Cinemark Holdings Inc 2.72B 23.12 -2.29 21.02 0.01
CSWC NASDAQ Capital Southwest Corp 1.33B 23.15 0.31 14.61 0.12
WKC NYSE World Kinect Corp 1.29B 23.29 -1.23 56.99 0.03
TRMD NASDAQ TORM plc - Class A Common Stock 2.36B 23.33 2.15 8.55 0.09
SCHZ AMEX Schwab US Aggregate Bond ETF 4.93B 23.34 -0.30 0.00 2.13
DLX NYSE Deluxe Corp 1.05B 23.37 -0.77 13.41 0.05
DEA NYSE Easterly Government Properties Inc 1.08B 23.38 2.06 77.33 0.09
ETG NYSE Eaton Vance Tax Advgd Gbl Div Inc Fd 1.78B 23.38 -0.43 5.50 0.07
WY NYSE Weyerhaeuser Co 16.94B 23.50 -0.91 57.02 0.03
KHC NASDAQ The Kraft Heinz Co 27.85B 23.53 0.58 9.29 0.07
DBC AMEX Invesco DB Commodity Index Tracking Fund 2.72B 23.56 1.73 0.00 1.77
GNTX NASDAQ Gentex Corp 5.16B 23.59 -1.45 14.11 0.02
CCOI NASDAQ Cogent Communications Holdings Inc 1.16B 23.64 -1.57 115.20 0.13
T NYSE AT&T Inc 167.67B 23.65 1.51 7.49 0.05
TIMB NYSE TIM S.A. American Depositary Shares (Each representing 5 Common Shares) 11.33B 23.72 1.46 15.17 0.10
OLN NYSE Olin Corp 2.71B 23.77 5.41 49.72 0.04
DMLP NASDAQ Dorchester Minerals LP 1.15B 23.78 1.80 23.36 0.11
NLY NYSE Annaly Capital Management Inc 16.31B 23.88 -2.14 10.78 0.11
ONB NASDAQ Old National Bancorp 9.32B 23.92 -1.32 13.34 0.02
SILA NYSE Sila Realty Trust Inc 1.32B 24.00 0.26 34.48 0.07
UTF NYSE Cohen & Steers Infrastructure Fund Inc 2.35B 24.04 0.95 5.50 0.07
IGIC NASDAQ International General Insurance Holdings Ltd 1.04B 24.06 -0.34 8.63 0.01
FCPT NYSE Four Corners Property Trust Inc 2.57B 24.24 -0.17 22.52 0.06
BCE NYSE BCE, Inc. Common Stock 22.62B 24.26 2.26 5.25 0.07
FHN NYSE First Horizon Corp 11.78B 24.28 0.21 12.98 0.02
SCHO AMEX Schwab Short-Term U.S. Treasury ETF 3.57B 24.36 -0.03 0.00 0.31
BBVA NYSE Banco Bilbao Vizcaya Argentaria S.A. Common Stock 138.12B 24.37 -1.24 12.64 0.03
VRP AMEX Invesco Variable Rate Preferred ETF 1.60B 24.44 0.05 0.00 4.20
OUT NYSE Outfront Media Inc 4.12B 24.62 0.11 34.18 0.05
AKO.A NYSE Embotelladora Andina S.A. Common Stock 3.89B 24.68 0.74 13.06 0.05
SCHF AMEX Schwab International Equity ETF 19.37B 24.92 0.19 0.00 2.19
AEO NYSE American Eagle Outfitters Inc 4.25B 25.08 -3.54 20.74 0.02
SCHR AMEX Schwab Intermediate-Term U.S. Treasury ETF 2.87B 25.14 0.14 0.00 0.81
ARLP NASDAQ Alliance Resource Partners LP 3.24B 25.20 0.36 12.93 0.11
GEN NASDAQ Gen Digital Inc 15.55B 25.21 -1.64 27.70 0.02
SDIV AMEX Global X SuperDividend ETF 1.01B 25.32 0.76 0.00 9.69
CTRA NYSE Coterra Energy Inc 19.45B 25.54 0.62 12.74 0.03
BEN NYSE Franklin Resources Inc 13.32B 25.55 0.95 28.02 0.05
EQNR NYSE Equinor ASA 63.85B 25.59 3.00 12.29 0.06
REET AMEX iShares Trust iShares Global REIT ETF 1.21B 25.65 -0.88 0.00 4.56
BUSE NASDAQ First Busey Corp 2.27B 25.71 0.87 18.98 0.04
USAC NYSE USA Compression Partners LP 3.16B 25.73 1.54 31.11 0.08
EVT NYSE EATON VANCE TAX ADVANTAGED DIVIDEND INCOME FUND 1.92B 25.79 0.32 10.28 0.08
APA NASDAQ APA Corp 9.16B 25.83 1.70 6.18 0.04
EMLC AMEX VanEck J. P. Morgan EM Local Currency Bond ET 3.40B 25.98 0.27 0.00 4.98
FLNG NYSE FLEX LNG Ltd. Ordinary Shares 1.41B 26.09 -0.39 14.34 0.12
PFE NYSE Pfizer Inc 148.40B 26.10 0.82 15.41 0.06
CNOB NASDAQ ConnectOne Bancorp Inc 1.31B 26.12 -0.39 21.23 0.03
BCS NYSE Barclays PLC Common Stock 90.61B 26.25 -0.27 12.24 0.02
BRX NYSE Brixmor Property Group Inc 8.05B 26.31 -1.00 24.39 0.04
SBS NYSE Companhia de saneamento Basico Do Estado De Sao Paulo - Sabesp American Depositary Shares (Each repstg 250 Common Shares) 18.49B 26.41 -0.31 13.97 0.02
SCHB AMEX Schwab U.S. Broad Market ETF 11.62B 26.48 -0.38 0.00 1.47
SCHP AMEX Schwab U.S. TIPs ETF 5.71B 26.48 -0.17 0.00 10.11
INVH NYSE Invitation Homes Inc 16.25B 26.50 -0.53 28.18 0.04
AKO.B NYSE Embotelladora Andina S.A. Common Stock 4.20B 26.62 -1.38 16.78 0.04
BF.B NYSE Brown-Forman Corp 12.38B 26.72 -4.92 15.65 0.03
EWA AMEX iShares MSCI Australia Index Fund 1.38B 26.74 0.34 0.00 5.33
ASB NYSE Associated Banc-Corp 4.44B 26.75 -0.78 9.66 0.03
MMI NYSE Marcus & Millichap Inc 1.04B 26.81 0.87 24.42 0.02
MWA NYSE Mueller Water Products, Inc. 4.20B 26.84 -0.38 22.08 0.01
SCHX AMEX Schwab U.S. Large-Cap ETF 13.32B 26.97 -1.34 0.00 1.46
HIW NYSE Highwoods Properties Inc 2.97B 27.00 -1.97 22.85 0.08
MOS NYSE The Mosaic Co 8.58B 27.03 2.59 7.37 0.03
BXSL NYSE Blackstone Secured Lending Fund 6.27B 27.11 -0.95 9.91 0.12
MGIC NASDAQ Magic Software Enterprises Ltd. - Ordinary Shares 1.33B 27.17 0.12 32.87 0.03
DAN NYSE Dana Inc 3.07B 27.30 2.29 67.98 0.01
BF.A NYSE Brown Forman Inc Class A Common Stock 12.72B 27.45 2.85 15.87 0.03
KDP NASDAQ Keurig Dr Pepper Inc 37.43B 27.55 -0.55 23.78 0.03
SLM NASDAQ SLM Corp 5.50B 27.61 -1.15 7.84 0.02
CPB NYSE Campbell Soup Co 8.26B 27.71 -0.58 14.11 0.06
FG NYSE F&G Annuities & Life Inc 3.73B 27.74 1.65 8.34 0.03
JKS NYSE JinkoSolar Holding Co Ltd 1.43B 27.76 9.04 57.80 0.05
FFBC NASDAQ First Financial Bancorp 2.91B 27.81 0.46 10.11 0.04
CIVI NYSE Civitas Resources Inc 2.38B 27.90 2.39 4.06 0.07
IVZ NYSE Invesco Ltd 12.45B 28.03 -0.96 10.60 0.03
TRN NYSE Trinity Industries Inc 2.26B 28.20 4.33 22.81 0.04
BEP NYSE Brookfield Renewable Partners L.P. 8.63B 28.20 0.72 0.00 0.05
DOW NYSE Dow Inc 20.14B 28.33 -0.29 47.96 0.08
FNDX AMEX Schwab Fundamental U.S. Large Company ETF 7.95B 28.35 0.43 0.00 1.91
ESI NYSE Element Solutions Inc 6.88B 28.42 -3.60 29.59 0.01
QQQX NASDAQ Nuveen NASDAQ 100 Dynamic Overwrite Fund 1.39B 28.46 -0.21 10.73 0.08
VICI NYSE VICI Properties Inc 30.42B 28.46 0.94 10.84 0.06
PHG NYSE Koninklijke Philips N.V. NY Registry Shares 27.09B 28.49 -3.69 155.37 0.03
ING NYSE ING Group, N.V. Common Stock 82.55B 28.51 1.03 12.64 0.04
LPG NYSE Dorian LPG Ltd 1.22B 28.53 0.14 12.58 0.09
AROC NYSE Archrock Inc 5.01B 28.55 1.35 18.89 0.03
RWX AMEX SPDR DJ Wilshire Intl Real Estate 2.44B 28.65 0.51 0.00 10.59
GDV NYSE Gabelli Dividend & Income Trust 2.54B 28.66 0.60 7.11 0.06
RHI NYSE Robert Half Inc 2.90B 28.66 1.96 18.02 0.09
RF NYSE Regions Financial Corp 24.92B 28.71 1.56 12.12 0.04
OTEX NASDAQ Open Text Corporation - Common Shares 7.29B 28.92 0.40 14.89 0.04
SCHA AMEX Schwab U.S. Small-Cap ETF 5.28B 29.02 -0.26 0.00 1.93
JD NASDAQ JD.com Inc 41.25B 29.07 2.44 9.65 0.03
COLB NASDAQ Columbia Banking System Inc 8.60B 29.10 -1.94 12.59 0.05
SCHD AMEX Schwab US Dividend Equity ETF 12.48B 29.24 0.30 0.00 3.11
IBN NYSE ICICI Bank Limited Common Stock 104.60B 29.25 -0.19 18.62 0.01
IVT NYSE InvenTrust Properties Corp 2.28B 29.35 1.11 18.93 0.03
STM NYSE STMicroelectronics N.V. Common Stock 26.14B 29.41 7.30 50.62 0.01
CMCSA NASDAQ Comcast Corp 107.24B 29.43 0.45 4.77 0.05
HOMB NYSE Home BancShares Inc 5.79B 29.48 3.44 12.18 0.03
GTY NYSE Getty Realty Corp 1.70B 29.48 -0.41 23.01 0.06
EVTC NYSE Evertec Inc 1.89B 29.58 -1.80 12.90 0.01
KMI NYSE Kinder Morgan Inc 65.85B 29.60 -0.32 21.60 0.04
SNDR NYSE Schneider National Inc 5.22B 29.80 2.23 46.17 0.01
TGS NYSE Transportadora de Gas del Sur SA TGS Common Stock 4.49B 29.85 -1.49 20.60 0.03
WMG NASDAQ Warner Music Group Corp 15.62B 29.90 -2.26 43.86 0.02
RTO NYSE Rentokil Initial plc American Depositary Shares (each representing five (5) Ordinary Shares) 15.06B 29.95 -0.63 52.91 0.02
IX NYSE Orix Corp Ads Common Stock 33.15B 29.95 -1.42 12.16 0.03
CDP NYSE COPT Defense Properties 3.41B 30.14 -0.76 22.98 0.04
BVN NYSE Buenaventura Mining Company Inc. 7.66B 30.14 2.07 21.32 0.01
SPSB AMEX SPDR Portfolio Short Term Corporate Bond ETF 3.42B 30.24 0.07 0.00 1.03
CRBG NYSE Corebridge Financial Inc 15.29B 30.31 3.01 20.56 0.03
HP NYSE Helmerich & Payne Inc 3.08B 30.33 -0.98 90.09 0.03
HMC NYSE Honda Motor Company, Ltd. Common Stock 39.61B 30.53 -2.21 10.13 0.05
EPRT NYSE Essential Properties Realty Trust Inc 6.05B 30.54 0.30 24.14 0.04
DK NYSE Delek US Holdings Inc 1.84B 30.61 0.40 21.51 0.04
SCHV AMEX Schwab U.S. Large-Cap Value ETF 6.51B 30.69 -0.88 0.00 2.28
BY NYSE Byline Bancorp Inc 1.41B 30.92 -2.50 11.03 0.01
PEBO NASDAQ Peoples Bancorp Inc (Marietta OH) 1.10B 30.92 0.75 10.69 0.05
MUR NYSE Murphy Oil Corp 4.42B 30.96 -2.00 31.81 0.04
GIC NYSE Global Industrial Co 1.19B 30.96 -1.37 17.29 0.03
WLY NYSE John Wiley & Sons Inc 1.63B 31.03 1.01 16.54 0.05
MAN NYSE ManpowerGroup Inc 1.45B 31.29 3.10 7.99 0.05
CWEN.A NYSE Clearway Energy Inc 3.75B 31.43 -0.67 14.65 0.05
AMH NYSE American Homes 4 Rent 11.68B 31.47 1.13 26.72 0.04
DCOM NASDAQ Dime Community Bancshares Inc 1.38B 31.48 -0.82 14.00 0.03
PRDO NASDAQ Perdoceo Education Corp 2.03B 31.57 -1.52 13.58 0.02
PFF NASDAQ iShares Preferred and Income Securities ETF 13.26B 31.61 -0.54 0.00 3.88
MTCH NASDAQ Match Group Inc 7.47B 31.64 -0.15 14.82 0.02
WAFD NASDAQ WaFd Inc 2.42B 31.68 -3.84 11.12 0.03
PUK NYSE Prudential Public Limited Company Common Stock 40.14B 31.79 1.23 12.73 0.01
HI NYSE Hillenbrand Inc 2.25B 31.85 0.08 52.30 0.03
SCHM AMEX Schwab U.S. Mid Cap ETF 7.45B 31.97 -0.45 0.00 1.32
WLYB NYSE John Wiley & Sons, Inc. Common Stock 1.68B 31.97 -0.25 17.19 0.04
HDB NYSE HDFC Bank Limited Common Stock 164.13B 32.00 -2.00 22.56 0.01
EPD NYSE Enterprise Products Partners LP 69.27B 32.02 -0.07 12.56 0.07
HAL NYSE Halliburton Co 26.98B 32.06 -1.57 22.84 0.02
VTMX NYSE Corporacion Inmobiliaria Vesta, S.A.B de C.V. American Depositary Shares, each representing ten (10) Common Shares 2.71B 32.08 0.44 47.71 0.03
VNO NYSE Vornado Realty Trust 6.16B 32.08 0.76 7.66 0.02
SCHG AMEX Schwab U.S. Large-Cap Growth ETF 7.66B 32.22 -1.79 0.00 0.56
STEL NYSE Stellar Bancorp Inc 1.68B 32.77 1.90 16.82 0.02
TY NYSE Tri Continental Corporation Common Stock 1.73B 32.99 0.58 7.59 0.03
NSA NYSE National Storage Affiliates Trust 2.55B 33.07 -2.16 52.44 0.07
SKT NYSE Tanger Inc 3.79B 33.10 -0.84 34.55 0.04
SCHK AMEX Schwab 1000 Index ETF 1.07B 33.14 -0.93 0.00 1.40
WERN NASDAQ Werner Enterprises Inc 1.98B 33.16 -0.19 80.51 0.02
PRG NYSE PROG Holdings Inc 1.32B 33.34 0.49 8.35 0.02
FNDA AMEX Schwab Fundamental U.S. Small Company ETF 4.80B 33.38 -0.06 0.00 2.49
RDN NYSE Radian Group Inc 4.54B 33.49 0.85 8.35 0.03
KMT NYSE Kennametal Inc 2.56B 33.61 -1.21 28.78 0.02
FFIN NASDAQ First Financial Bankshares Inc 4.79B 33.70 -0.33 17.99 0.02
LKQ NASDAQ LKQ Corp 8.64B 33.77 -0.78 12.33 0.04
EWZ AMEX iShares Inc iShares MSCI Brazil ETF 6.02B 33.77 1.80 0.00 14.30
SNN NYSE Smith & Nephew SNATS, Inc. Common Stock 14.25B 33.86 -0.66 30.54 0.02
SBCF NASDAQ Seacoast Banking Corp of Florida 3.33B 34.02 3.69 20.02 0.02
SCHE AMEX Schwab Emerging Markets Equity ETF 4.78B 34.06 -0.25 0.00 2.14
TOWN NASDAQ Towne Bank 3.16B 34.25 -1.43 16.26 0.03
TBT AMEX ProShares UltraShort Lehman 20 Year Treasury 1.30B 34.43 -0.47 0.00 0.01
CNQ NYSE Canadian Natural Resources Limited Common Stock 71.72B 34.43 0.24 15.86 0.05
HASI NYSE HA Sustainable Infrastructure Capital Inc 4.36B 34.55 0.62 14.82 0.05
BBU NYSE Brookfield Business Partners L.P. Limited Partnership Units 3.09B 34.83 -0.45 2.69 0.01
MBIN NASDAQ Merchants Bancorp 1.60B 34.86 -4.26 8.12 0.01
WSBC NASDAQ Wesbanco Inc 3.35B 34.93 0.09 16.69 0.04
HESM NYSE Hess Midstream LP 4.52B 34.97 0.23 12.68 0.08
ST NYSE Sensata Technologies Holding PLC 5.10B 34.98 -0.73 9.55 0.01
BIP NYSE Brookfield Infrastructure Partners LP Limited Partnership Units 16.30B 35.15 0.92 52.81 0.05
NE NYSE Noble Corp PLC 5.60B 35.24 0.12 25.35 0.06
LINE NASDAQ Lineage Inc 8.04B 35.24 -0.62 0.00 0.06
YOU NYSE Clear Secure Inc 3.46B 35.35 -0.26 20.69 0.01
BBUC NYSE Brookfield Business Corporation Class A Exchangeable Subordinate Voting Shares 2.48B 35.36 -0.59 0.00 0.01
BP NYSE BP p.l.c. Common Stock 90.80B 35.39 0.03 61.11 0.05
EE NYSE Excelerate Energy Inc 1.14B 35.62 2.07 24.91 0.01
CRI NYSE Carter's Inc 1.30B 35.67 0.12 14.17 0.04
PECO NASDAQ Phillips Edison & Co Inc 4.50B 35.75 -0.84 53.67 0.04
CSX NASDAQ CSX Corp 66.63B 35.78 -2.06 24.46 0.01
DES AMEX WisdomTree U.S. SmallCap Dividend Fund 2.30B 35.79 1.48 0.00 3.51
DVN NYSE Devon Energy Corp 22.51B 35.89 -1.81 9.30 0.02
HTH NYSE Hilltop Holdings Inc 2.20B 35.93 0.68 14.51 0.02
RNST NYSE Renasant Corp 3.42B 35.99 1.84 19.80 0.02
CWEN NYSE Clearway Energy, Inc. Class C Common Stock 4.30B 36.03 0.45 15.67 0.05
LTC NYSE LTC Properties Inc 1.72B 36.08 0.23 50.00 0.06
TFPM NYSE Triple Flag Precious Metals Corp. Common Shares 7.46B 36.10 2.85 38.02 0.01
CBL NYSE CBL & Associates Properties Inc 1.11B 36.15 -2.67 8.79 0.05
KGS NYSE Kodiak Gas Services Inc 3.11B 36.29 1.69 49.12 0.04
BSAC NYSE Banco Santander - Chile ADS 17.12B 36.34 0.45 14.24 0.04
BTU NYSE Peabody Energy Corp 4.42B 36.36 0.84 25.19 0.01
PZZA NASDAQ Papa John's International Inc 1.19B 36.38 -1.41 31.82 0.05
GSL NYSE Global Ship Lease Inc 1.30B 36.41 2.08 3.94 0.06
VNOM NASDAQ Viper Energy Inc 6.15B 36.54 0.67 16.58 0.05
CTRE NYSE CareTrust REIT Inc 8.16B 36.56 0.64 26.57 0.04
STAG NYSE Stag Industrial Inc 6.84B 36.65 -1.62 28.56 0.04
RCI NYSE Rogers Communication, Inc. Common Stock 19.84B 36.72 0.97 4.03 0.04
FIBK NASDAQ First Interstate BancSystem Inc 3.78B 36.75 -1.24 15.55 0.05
PBA NYSE Pembina Pipeline Corp. Ordinary Shares (Canada) 21.38B 36.80 -3.09 20.17 0.05
UDR NYSE UDR Inc 12.17B 36.82 -1.34 84.32 0.05
KRC NYSE Kilroy Realty Corp 4.36B 36.89 -2.15 12.92 0.06
PPL NYSE PPL Corp 27.30B 36.91 0.22 24.98 0.03
POWI NASDAQ Power Integrations Inc 2.05B 37.03 1.23 143.50 0.02
PAHC NASDAQ Phibro Animal Health Corp 1.50B 37.12 -1.88 23.66 0.01
UTG NYSE Reaves Utility Income Fund 3.37B 37.20 0.33 4.41 0.06
MFC NYSE Manulife Financial Corporation Common Stock 62.68B 37.37 0.68 16.43 0.03
TTEK NASDAQ Tetra Tech Inc 9.80B 37.51 2.27 40.14 0.01
EUFN NASDAQ iShares MSCI Europe Financials ETF 1.13B 37.57 0.76 0.00 4.17
AVNT NYSE Avient Corp 3.45B 37.64 2.12 29.85 0.03
VIRT NASDAQ Virtu Financial Inc 3.20B 37.64 0.35 8.16 0.03
TR NYSE Tootsie Roll Industries Inc 2.75B 37.70 0.40 28.95 0.01
DRD NYSE DRDGOLD Limited American Depositary Shares 3.26B 37.72 3.57 23.72 0.01
FNDE AMEX Schwab Fundamental Emerging Markets Equity ETF 2.15B 37.72 0.46 0.00 3.65
EMLP AMEX First Trust North American Energy Infrastructure Fund 1.53B 37.77 -0.61 0.00 3.41
ATAT NASDAQ Atour Lifestyle Holdings Limited - American Depositary Shares 5.22B 37.77 4.31 24.56 0.02
CNP NYSE CenterPoint Energy Inc 24.73B 37.88 -0.03 25.21 0.02
NSSC NASDAQ NAPCO Security Technologies Inc 1.35B 37.93 -1.75 31.28 0.01
FDP NYSE Fresh Del Monte Produce Inc 1.81B 37.99 0.85 23.98 0.03
FRME NASDAQ First Merchants Corp 2.16B 38.01 -0.02 9.84 0.04
UGI NYSE UGI Corp 8.18B 38.06 2.43 12.94 0.04
LZB NYSE La-Z-Boy Inc 1.57B 38.10 -1.83 17.27 0.02
E NYSE ENI S.p.A. Common Stock 56.36B 38.19 -2.11 21.05 0.06
AMAL NASDAQ Amalgamated Financial Corp 1.14B 38.21 0.50 11.49 0.01
KMPR NYSE Kemper Corp 2.24B 38.27 -0.58 9.90 0.03
WS NYSE Worthington Steel Inc 1.96B 38.66 -4.25 15.77 0.02
ECO NYSE Okeanis Eco Tankers Corp. Common Stock 1.51B 38.69 1.85 16.58 0.05
AUB NYSE Atlantic Union Bankshares Corp 5.52B 38.95 0.21 19.37 0.04
WTRG NYSE Essential Utilities Inc 11.07B 39.09 -1.84 16.36 0.03
RPRX NASDAQ Royalty Pharma PLC 16.70B 39.09 -1.17 23.28 0.02
BSY NASDAQ Bentley Systems Inc 11.89B 39.18 -2.01 45.32 0.01
GABC NASDAQ German American Bancorp Inc 1.47B 39.21 -0.55 13.75 0.03
BEPC NYSE Brookfield Renewable Corporation Class A Subordinate Voting Shares 7.05B 39.28 0.03 21.08 0.04
UBSI NASDAQ United Bankshares Inc 5.48B 39.30 0.64 12.71 0.04
DB NYSE Deutsche Bank AG Common Stock 75.20B 39.36 -0.08 13.53 0.02
ACT NASDAQ Enact Holdings Inc 5.70B 39.49 1.99 9.01 0.02
GLNG NASDAQ Golar LNG Ltd 4.07B 39.71 -1.86 73.13 0.02
LNC NYSE Lincoln National Corp 7.55B 39.75 -2.82 3.54 0.04
NBHC NYSE National Bank Holdings Corp 1.51B 39.80 -2.65 12.72 0.03
FXI AMEX iShares China Large-Cap ETF 3.23B 39.82 0.94 0.00 2.08
MRX NASDAQ Marex Group PLC 2.86B 39.87 -1.44 11.26 0.02
KNTK NYSE Kinetik Holdings Inc 2.55B 39.89 0.28 96.24 0.08
BCH NYSE Banco De Chile ADS 20.26B 40.11 0.83 15.57 0.05
AVA NYSE Avista Corp 3.26B 40.12 0.20 17.36 0.05
AB NYSE AllianceBernstein Holding LP 3.66B 40.17 2.35 14.01 0.08
RELX NYSE RELX PLC PLC American Depositary Shares (Each representing One Ordinary Share) 73.23B 40.38 -3.02 27.13 0.02
BST NYSE BlackRock Science and Technology Trust 1.40B 40.45 0.48 8.58 0.07
WES NYSE Western Midstream Partners LP 16.52B 40.48 -2.72 12.12 0.09
OVV NYSE Ovintiv Inc 10.25B 40.49 3.32 45.99 0.03
REXR NYSE Rexford Industrial Realty Inc 9.47B 40.67 0.05 27.76 0.04
CNO NYSE CNO Financial Group Inc 3.88B 40.68 -1.93 14.05 0.02
CGNX NASDAQ Cognex Corp 6.84B 40.80 -2.19 60.71 0.01
DRS NASDAQ Leonardo DRS Inc 10.93B 41.10 0.26 42.59 0.01
ALLY NYSE Ally Financial Inc 12.68B 41.11 -2.10 18.09 0.03
TRMK NASDAQ Trustmark Corp 2.47B 41.14 0.57 11.24 0.02
LUV NYSE Southwest Airlines Co 21.36B 41.30 -0.08 65.62 0.02
VZ NYSE Verizon Communications Inc 174.14B 41.30 -0.94 8.38 0.07
OFG NYSE OFG Bancorp 1.79B 41.38 -0.68 8.28 0.03
CNMD NYSE Conmed Corp 1.29B 41.63 -1.26 19.31 0.02
STBA NASDAQ S&T Bancorp Inc 1.56B 41.78 -0.48 12.07 0.03
CDRE NYSE Cadre Holdings Inc 1.70B 41.79 -1.54 37.73 0.01
IMOS NASDAQ ChipMOS TECHNOLOGIES INC. - American Depositary Shares 1.45B 41.80 -1.72 99.32 0.02
SEE NYSE Sealed Air Corp 6.16B 41.86 0.11 15.56 0.02
NNN NYSE NNN REIT Inc 8.03B 42.26 0.36 20.27 0.06
OBK NYSE Origin Bancorp Inc 1.31B 42.36 1.19 21.47 0.01
SW NYSE Smurfit WestRock PLC 22.12B 42.36 -1.36 29.42 0.04
IP NYSE International Paper Co 22.37B 42.36 -2.27 19.19 0.04
AMCR NYSE Amcor PLC 19.57B 42.40 2.99 29.71 0.06
PCH NASDAQ PotlatchDeltic Corp 3.28B 42.45 -1.57 51.93 0.04
XLU AMEX SPDR Select Sector Fund - Utilities 7.33B 42.47 -0.58 50.10 3.13
OGE NYSE OGE Energy Corp 8.76B 42.49 -0.80 17.61 0.04
FMBH NASDAQ First Mid Bancshares Inc 1.02B 42.60 0.70 11.67 0.02
IFS NYSE Intercorp Financial Services Inc. Common Shares 4.75B 42.64 -0.24 9.73 0.02
CHT NYSE Chunghwa Telecom Co., Ltd. 33.09B 42.66 0.78 27.03 0.04
SLGN NYSE Silgan Holdings Inc 4.52B 42.75 -0.28 14.51 0.02
EWG AMEX iShares MSCI Germany Index Fund 2.86B 42.82 0.66 0.00 0.22
CADE NYSE Cadence Bank 7.99B 42.91 -1.81 15.58 0.03
APAM NYSE Artisan Partners Asset Management Inc 3.03B 42.94 -2.37 11.81 0.07
ORI NYSE Old Republic International Corp 10.62B 43.03 -0.05 10.40 0.03
GLP NYSE Global Partners LP 1.46B 43.04 0.57 22.04 0.07
SHYG AMEX iShares 0-5 Year High Yield Corporate Bond ETF 2.79B 43.08 -0.09 0.00 4.72
OXY NYSE Occidental Petroleum Corp 42.51B 43.15 -0.83 32.76 0.02
CNXC NASDAQ Concentrix Corp 2.66B 43.16 3.41 3.49 0.03
HMN NYSE Horace Mann Educators Corp 1.76B 43.16 1.01 10.86 0.03
SON NYSE Sonoco Products Co 4.26B 43.17 -0.33 26.02 0.04
CWT NYSE California Water Service Group 2.58B 43.24 -0.21 19.54 0.03
KARO NASDAQ Karooooo Ltd 1.34B 43.34 -3.18 24.39 0.02
CYD NYSE China Yuchai International Ltd 1.63B 43.53 -0.94 27.40 0.01
FAST NASDAQ Fastenal Co 49.97B 43.53 2.62 40.32 0.02
ABM NYSE ABM Industries Inc 2.64B 43.79 0.42 17.53 0.02
TX NYSE Ternium SA 8.60B 43.81 1.07 14.96 0.06
LW NYSE Lamb Weston Holdings Inc 6.11B 43.97 -0.32 16.32 0.03
MTDR NYSE Matador Resources Co 5.47B 44.02 2.78 6.95 0.03
TS NYSE Tenaris S.A. American Depositary Shares 22.30B 44.17 -0.59 12.04 0.04
DD NYSE DuPont de Nemours Inc 18.52B 44.20 0.14 25.79 0.03
BIPC NYSE Brookfield Infrastructure Corporation 5.27B 44.27 -0.18 13.06 0.04
OHI NYSE Omega Healthcare Investors Inc 13.08B 44.27 -0.92 23.99 0.06
KBR NYSE KBR Inc 5.62B 44.29 -0.16 13.53 0.02
NI NYSE NiSource Inc 21.01B 44.39 1.10 23.36 0.03
GIS NYSE General Mills Inc 23.74B 44.49 -0.02 9.62 0.05
EXC NASDAQ Exelon Corp 45.02B 44.65 -0.68 16.07 0.04
HRB NYSE H&R Block Inc 5.65B 44.66 -0.95 8.95 0.04
NBTB NASDAQ NBT Bancorp Inc 2.34B 44.73 3.85 13.04 0.03
GLPI NASDAQ Gaming and Leisure Properties Inc 12.71B 44.91 0.09 16.34 0.07
EWU AMEX iShares MSCI United Kingdom ETF 1.87B 44.98 -0.26 0.00 5.32
HEZU AMEX iShares Currency Hedged MSCI Eurozone ETF 1.83B 45.23 0.05 0.00 2.06
EWQ AMEX iShares MSCI France Index Fund 1.08B 45.29 -0.25 0.00 5.37
NSP NYSE Insperity Inc 1.71B 45.36 -2.64 92.40 0.05
AAP NYSE Advance Auto Parts Inc 2.73B 45.53 10.22 19.34 0.02
IXC AMEX iShares Global Energy ETF 1.64B 45.67 0.14 0.00 4.88
SHOO NASDAQ Steven Madden Ltd 3.32B 45.70 1.20 56.40 0.02
SCHC AMEX Schwab International Small-Cap Equity ETF 2.24B 45.73 -0.27 0.00 4.94
ENB NYSE Enbridge Inc Common Stock 100.11B 45.86 0.51 25.82 0.06
IHF AMEX iShares U.S. Health Care Providers ETF 1.53B 45.90 -8.24 0.00 0.50
FNDC AMEX Schwab Fundamental International Small Equity ETF 1.96B 46.02 0.48 0.00 1.98
RWO AMEX SPDR DJ Wilshire Global Real Estate ETF 1.00B 46.13 -0.29 0.00 3.82
CNA NYSE CNA Financial Corp 12.50B 46.19 -0.46 12.77 0.04
AHR NYSE American Healthcare REIT Inc 8.24B 46.25 0.03 380.75 0.02
BLX NYSE Banco Latinoamericano de Comercio Exterior SA 1.72B 46.30 -2.37 7.94 0.05
EQH NYSE Equitable Holdings Inc 13.29B 46.37 1.38 5.46 0.02
UBS NYSE UBS Group AG Registered Ordinary Shares 145.05B 46.43 0.33 22.18 0.02
HNI NYSE HNI Corp 3.30B 46.51 -1.45 15.91 0.03
GBCI NYSE Glacier Bancorp Inc 6.06B 46.59 -1.28 24.38 0.03
NJR NYSE New Jersey Resources Corp 4.70B 46.69 0.48 14.70 0.04
IUSB NASDAQ iShares Core Total USD Bond Market ETF 1.10B 46.72 -0.04 0.00 1.28
NWN NYSE Northwest Natural Holding Co 1.94B 46.79 -0.70 18.69 0.04
B NYSE Barnes Group Inc 79.31B 47.00 -0.05 25.08 0.01
SNY NASDAQ Sanofi - American Depositary Shares 113.74B 47.09 -1.08 15.26 0.05
INDY NASDAQ iShares India 50 ETF 1.12B 47.11 -1.82 0.00 14.45
BN NYSE Brookfield Corporation Class A Limited Voting Shares 105.76B 47.12 -1.59 132.95 0.01
SLG NYSE SL Green Realty Corp 3.35B 47.16 0.22 2,245.50 0.07
XLE AMEX SPDR Select Sector Fund - Energy Select Sector 8.21B 47.20 1.85 68.34 5.07
ITM AMEX VanEck ETF Trust VanEck Intermediate Muni ETF 1.64B 47.24 -0.05 0.00 1.53
FE NYSE FirstEnergy Corp 27.35B 47.34 -0.02 20.66 0.04
WGO NYSE Winnebago Industries Inc 1.34B 47.46 3.11 36.57 0.03
BKU NYSE BankUnited Inc 3.37B 47.47 -0.30 13.49 0.03
BWA NYSE BorgWarner Inc 10.17B 47.56 -0.32 68.21 0.01
HUBG NASDAQ Hub Group Inc 2.91B 47.56 0.28 27.32 0.01
SPDW AMEX SPDR Portfolio Developed World ex-US ETF 1.02B 47.68 1.62 0.00 1.80
FVD AMEX First Trust VL Dividend 6.21B 47.69 0.32 0.00 1.50
JHG NYSE Janus Henderson Group PLC 7.14B 47.79 -0.09 14.18 0.03
GUNR AMEX FlexShares Global Upstream Natural Resources Index Fund ETF 3.22B 47.84 1.02 0.00 4.14
MT NYSE Arcelor Mittal NY Registry Shares NEW 36.39B 47.85 1.88 16.31 0.01
OZK NASDAQ Bank OZK 5.29B 47.90 -0.85 7.50 0.04
CRC NYSE California Resources Corp 4.28B 47.94 1.55 12.15 0.03
CXT NYSE Crane NXT Co 2.75B 47.95 0.06 18.54 0.01
AOM AMEX iShares Core Moderate Allocation ETF 1.10B 47.95 0.32 0.00 1.09
ZWS NYSE Zurn Elkay Water Solutions Corp 8.03B 48.00 -0.37 42.98 0.01
IDT NYSE IDT Corp 1.20B 48.01 -0.65 15.02 0.01
DKL NYSE Delek Logistics Partners LP 2.58B 48.17 -0.55 16.23 0.09
SHM AMEX SPDR Nuveen Bloomberg Short Term Municipal Bond ETF 1.97B 48.21 -0.06 0.00 0.53
MEOH NASDAQ Methanex Corporation - Common Stock 3.74B 48.35 6.34 15.73 0.02
FITB NASDAQ Fifth Third Bancorp 31.99B 48.38 0.51 14.40 0.03
XLB AMEX Materials Select Sector SPDR 7.53B 48.43 0.35 57.45 2.00
SPHD AMEX Invesco S&P 500 High Dividend Low Volatility ETF 3.23B 48.49 -0.18 0.00 3.68
G NYSE Genpact Ltd 8.36B 48.50 1.24 14.60 0.02
TAP.A NYSE Molson Coors Beverage Company Class A Common Stock 9.59B 48.50 0.03 8.90 0.04
SLB NYSE Schlumberger Ltd 72.55B 48.52 4.46 21.56 0.02
TCBK NASDAQ TriCo Bancshares 1.57B 48.55 -1.37 13.26 0.03
TAP NYSE Molson Coors Beverage Co 9.60B 48.59 -1.13 8.47 0.04
ISTB NASDAQ iShares Core 1-5 Year USD Bond ETF 2.17B 48.70 -0.09 0.00 1.38
ASTE NASDAQ Astec Industries Inc 1.12B 49.02 0.99 23.16 0.01
AMKR NASDAQ Amkor Technology Inc 12.16B 49.20 1.09 40.92 0.01
MLPA AMEX Global X MLP ETF 4.62B 49.26 -0.02 0.00 8.47
AMLP AMEX Alerian MLP ETF 19.10B 49.28 0.49 0.00 9.64
YUMC NYSE Yum China Holdings Inc 17.45B 49.28 1.09 20.82 0.02
LXP NYSE LXP Industrial Trust 2.92B 49.36 0.21 26.04 0.06
IYE AMEX iShares U.S. Energy ETF 2.12B 49.39 0.21 0.00 3.75
CATY NASDAQ Cathay General Bancorp 3.33B 49.48 0.76 11.12 0.03
BHE NYSE Benchmark Electronics Inc 1.77B 49.54 0.11 48.51 0.01
WABC NASDAQ Westamerica Bancorp 1.22B 49.58 -0.09 11.08 0.04
IIPR NYSE Innovative Industrial Properties Inc 1.39B 49.71 -1.30 11.53 0.16
DINO NYSE HF Sinclair Corp 9.17B 49.87 0.68 23.67 0.04
SLVM NYSE Sylvamo Corp 1.97B 49.99 0.35 11.62 0.04
HTHT NASDAQ Huazhu Group Ltd 15.40B 50.06 0.53 29.53 0.04
EQT NYSE EQT Corp 31.24B 50.06 -2.97 17.72 0.01
AVT NASDAQ Avnet Inc 4.07B 50.07 0.20 19.51 0.03
GRC NYSE Gorman-Rupp Co 1.32B 50.14 0.39 27.73 0.01
DEM AMEX WisdomTree Emerging Markets High Dividend Fund 1.94B 50.21 1.07 0.00 9.04
POR NYSE Portland General Electric Co 5.65B 50.23 0.99 18.34 0.04
GSK NYSE GSK plc American Depositary Shares (Each representing two Ordinary Shares) 101.50B 50.32 2.38 13.96 0.03
NTB NYSE Bank of N.T Butterfield & Son Ltd 2.08B 50.49 -1.62 9.75 0.04
SU NYSE Suncor Energy Inc. Common Stock 60.68B 50.51 2.36 16.63 0.03
TFC NYSE Truist Financial Corp 63.98B 50.68 0.24 13.32 0.04
SCL NYSE Stepan Co 1.15B 50.69 -1.73 28.35 0.03
SLQD NASDAQ iShares 0-5 Year Investment Grade Corporate Bond ETF 1.38B 50.71 -0.01 0.00 1.49
RYAN NYSE Ryan Specialty Holdings Inc 6.54B 50.75 -0.10 87.89 0.01
LYB NYSE LyondellBasell Industries NV 16.37B 50.86 4.09 14.41 0.11
GBX NYSE Greenbrier Companies Inc 1.57B 50.89 1.48 8.61 0.03
PAAS NYSE Pan American Silver Corp. Common Stock 21.54B 51.04 -1.49 37.17 0.01
HYD AMEX VanEck ETF Trust VanEck High Yield Muni ETF 1.99B 51.11 -0.56 0.00 3.27
EPP AMEX iShares MSCI Pacific Ex-Japan Index Fund 2.12B 51.33 0.34 0.00 5.30
BAM NYSE Brookfield Asset Management Inc Class A Limited Voting Shares 83.32B 51.67 1.09 33.35 0.03
LAZ NYSE Lazard Inc 4.93B 51.97 -2.61 20.94 0.04
CET NYSE Central Securities Corp 1.51B 52.10 0.66 6.95 0.05
COLM NASDAQ Columbia Sportswear Co 2.83B 52.46 -0.02 16.36 0.02
BAC NYSE Bank of America Corp 379.30B 52.59 0.21 13.69 0.02
WHD NYSE Cactus Inc 3.63B 52.72 0.81 22.49 0.01
IGSB NASDAQ iShares 1-5 Year Investment Grade Corporate Bond ETF 11.63B 53.03 0.07 0.00 1.67
TNK NYSE Teekay Tankers Ltd 1.85B 53.47 -0.71 6.87 0.02
MGA NYSE Magna International, Inc. Common Stock 15.09B 53.55 0.64 14.67 0.04
FTS NYSE Fortis Inc. Common Shares 26.01B 53.56 -0.27 21.92 0.03
WOR NYSE Worthington Enterprises Inc 2.66B 53.68 -0.25 253.76 0.01
TGLS NYSE Tecnoglass Inc 2.50B 53.71 -0.21 12.96 0.01
FNF NYSE Fidelity National Financial Inc 14.59B 53.78 2.78 12.77 0.04
USB NYSE U.S. Bancorp 83.64B 53.79 -2.59 12.24 0.04
CBSH NASDAQ Commerce Bancshares Inc 7.93B 53.81 1.04 12.89 0.02
DON AMEX WisdomTree U.S. MidCap Dividend Fund 4.34B 53.89 -0.80 0.00 2.20
IGIB NASDAQ iShares 5-10 Year Investment Grade Corporate Bond ETF 7.16B 53.97 0.06 0.00 2.37
EPR NYSE EPR Properties 4.12B 54.17 -1.28 22.64 0.07
BMY NYSE Bristol-Myers Squibb Co 110.38B 54.22 -1.89 18.71 0.04
GGAL NASDAQ Grupo Financiero Galicia S.A. - American Depositary Shares, Class B Shares underlying 8.71B 54.25 0.35 8.59 0.02
TRP NYSE TC Energy Corporation Common Stock 56.51B 54.28 -1.21 22.11 0.04
FHI NYSE Federated Hermes Inc 4.21B 54.31 1.82 10.99 0.03
XLF AMEX SPDR Select Sector Fund - Financial 26.01B 54.34 -1.73 27.90 1.90
INSW NYSE International Seaways Inc 2.69B 54.41 -0.19 13.09 0.05
SHG NYSE Shinhan Financial Group Co Ltd American Depositary Shares 26.21B 54.42 2.30 9.18 0.03
UVV NYSE Universal Corp 1.36B 54.56 -0.86 12.57 0.06
EWP AMEX iShares Inc iShares MSCI Spain ETF 1.00B 54.65 0.70 0.00 3.37
BKE NYSE Buckle Inc 2.80B 54.71 1.25 11.97 0.03
BKR NASDAQ Baker Hughes Co 54.06B 54.78 0.58 21.73 0.02
TECK NYSE Teck Resources Ltd Ordinary Shares 26.83B 54.96 3.68 31.46 0.01
FTV NYSE Fortive Corp 17.46B 54.96 -1.00 20.93 0.01
KNX NYSE Knight-Swift Transportation Holdings Inc 8.93B 55.00 -2.26 133.90 0.01
CARR NYSE Carrier Global Corp 46.43B 55.13 -1.47 35.67 0.02
EWC AMEX iShares MSCI Canada Index Fund 3.69B 55.13 -0.17 0.00 2.52
KBH NYSE KB Home 3.49B 55.24 -3.41 9.36 0.02
KLIC NASDAQ Kulicke & Soffa Industries Inc 2.90B 55.37 -0.08 41.49 0.01
MPLX NYSE MPLX LP 56.52B 55.57 -0.09 11.81 0.07
EFSC NASDAQ Enterprise Financial Services Corp 2.06B 55.61 -4.01 10.75 0.02
BALL NYSE Ball Corp 14.98B 55.89 -0.25 22.18 0.01
HEWJ AMEX iShares Currency Hedged MSCI Japan ETF 1.37B 56.10 0.13 0.00 1.45
SUN NYSE Sunoco LP 10.56B 56.11 1.12 21.09 0.06
TSCO NASDAQ Tractor Supply Co 29.66B 56.14 2.65 26.92 0.02
CQP NYSE Cheniere Energy Partners LP 27.39B 56.59 -0.55 14.77 0.06
EDU NYSE New Oriental Education & Technology Group Inc 9.03B 56.72 -0.67 24.33 0.01
FBNC NASDAQ First Bancorp 2.36B 56.95 -1.01 21.15 0.02
LKFN NASDAQ Lakeland Financial Corp 1.44B 57.13 -0.78 14.97 0.03
NKE NYSE Nike Inc 84.71B 57.22 -2.54 36.89 0.03
MDLZ NASDAQ Mondelez International Inc 73.94B 57.30 0.13 22.10 0.03
WSFS NASDAQ WSFS Financial Corp 3.06B 57.38 -0.16 12.12 0.01
AIN NYSE Albany International Corp 1.65B 57.56 -1.02 27.26 0.02
VWO AMEX Vanguard FTSE Emerging Markets ETF 50.34B 57.64 1.25 0.00 3.88
CAKE NASDAQ Cheesecake Factory Inc 2.87B 57.67 -2.77 17.35 0.02
CTBI NASDAQ Community Trust Bancorp Inc 1.05B 57.71 -1.81 11.30 0.03
CMF AMEX iShares California Muni Bond ETF 1.03B 57.74 -0.04 0.00 1.54
ANDE NASDAQ Andersons Inc 1.96B 57.85 -1.06 28.46 0.01
KTB NYSE Kontoor Brands Inc 3.23B 58.19 -3.01 15.18 0.04
BTI NYSE British American Tobacco Industries, p.l.c. Common Stock ADR 126.35B 58.22 0.89 31.67 0.05
EEM AMEX iShares MSCI Emerging Index Fund 35.67B 58.29 1.71 0.00 2.90
FBIN NYSE Fortune Brands Innovations Inc 7.06B 58.73 1.02 20.75 0.02
FCX NYSE Freeport-McMoRan Inc 84.39B 58.77 0.10 41.36 0.01
STNG NYSE Scorpio Tankers Inc 3.04B 58.80 1.28 10.02 0.03
FR NYSE First Industrial Realty Trust Inc 7.79B 58.84 -1.77 32.08 0.03
ZION NASDAQ Zions Bancorp NA 8.69B 58.88 -0.34 9.84 0.03
FUL NYSE H.B. Fuller Co 3.20B 58.99 1.87 21.59 0.02
RLI NYSE RLI Corp 5.46B 59.38 -1.28 13.12 0.01
HLIO NYSE Helios Technologies Inc 1.97B 59.46 5.64 65.17 0.01
LVS NYSE Las Vegas Sands Corp 40.43B 59.80 -0.24 27.18 0.02
VAC NYSE Marriott Vacations Worldwide Corp 2.07B 59.87 -4.18 12.08 0.06
D NYSE Dominion Energy Inc 51.18B 59.93 -1.63 19.98 0.04
LB NYSE LandBridge Co LLC 1.67B 59.96 2.50 63.94 0.01
SSO AMEX ProShares Ultra S&P500 1.56B 59.99 0.81 0.00 0.11
DGS AMEX WisdomTree Emerging Market SmallCap Fund 1.50B 60.24 1.60 0.00 4.90
TEX NYSE Terex Corp 3.95B 60.29 -0.61 25.62 0.01
EIX NYSE Edison International 23.20B 60.29 0.50 8.21 0.05
TSN NYSE Tyson Foods Inc 21.34B 60.43 -0.02 49.44 0.03
MKC.V NYSE McCormick & Company, Incorporated Common Stock 16.23B 60.45 0.01 21.70 0.03
RUSHB NASDAQ Rush Enterprises, Inc. - Class B Common Stock 4.67B 60.61 -0.15 17.42 0.01
TNET NYSE Trinet Group Inc 2.91B 60.63 -3.31 22.18 0.02
FXO AMEX First Trust Financials AlphaDEX 1.56B 60.78 0.20 0.00 1.97
ESNT NYSE Essent Group Ltd 5.88B 60.80 -0.23 9.05 0.02
O NYSE Realty Income Corp 55.87B 60.85 -1.53 56.93 0.05
MO NYSE Altria Group Inc 102.43B 61.02 -0.10 12.14 0.07
TIGO NASDAQ Millicom International Cellular SA 10.23B 61.23 -0.20 9.27 0.05
CNXN NASDAQ PC Connection Inc 1.55B 61.26 -0.06 17.73 0.01
RRR NASDAQ Red Rock Resorts Inc 3.68B 61.41 -2.57 19.30 0.02
CG NASDAQ The Carlyle Group Inc 22.23B 61.68 3.60 33.89 0.02
FAF NYSE First American Financial Corp 6.29B 61.74 -1.99 13.92 0.03
MAIN NYSE Main Street Capital Corp 5.53B 61.75 2.26 10.70 0.07
MLPX AMEX Global X MLP & Energy Infrastructure ETF 2.06B 61.76 1.45 0.00 5.75
FIS NYSE Fidelity National Information Services Inc 32.03B 61.85 -2.38 181.44 0.03
TRNO NYSE Terreno Realty Corp 6.37B 61.88 0.12 19.47 0.03
SPB NYSE Spectrum Brands Holdings Inc 1.44B 62.01 -0.40 16.95 0.03
RUSHA NASDAQ Rush Enterprises Inc 4.78B 62.07 0.87 18.61 0.01
IGF NASDAQ iShares Global Infrastructure ETF 2.92B 62.12 -0.20 0.00 2.02
ROL NYSE Rollins Inc 29.91B 62.17 0.02 59.34 0.01
AA NYSE Alcoa Corp 16.11B 62.21 -1.48 13.50 0.01
NVO NYSE Novo Nordisk A/S Common Stock 276.52B 62.23 4.91 16.95 0.03
GIL NYSE Gildan Activewear, Inc. Class A Sub. Vot. Common Stock 11.53B 62.28 -3.01 21.60 0.01
PKX NYSE POSCO Holdings Inc. American Depositary Shares (Each representing 1/4th of a share of Common Stock) 18.85B 62.33 -1.71 56.75 0.03
LTM NYSE LATAM Airlines Group S.A. American Depositary Shares (each representing two thousand (2,000) shares of Common Stock) 17.92B 62.42 1.12 15.88 0.04
DLB NYSE Dolby Laboratories Inc 5.97B 62.69 0.87 23.42 0.02
MCHI NASDAQ iShares MSCI China ETF 2.55B 62.70 -0.13 0.00 1.52
ELS NYSE Equity Lifestyle Properties Inc 11.79B 62.75 -0.25 31.45 0.03
CFG NYSE Citizens Financial Group Inc 26.96B 62.80 0.25 16.43 0.03
SMG NYSE The Scotts Miracle Gro Co 3.64B 62.83 -0.05 25.60 0.04
KBE AMEX SPDR S&P Bank ETF 3.63B 63.14 0.56 0.00 2.66
WMB NYSE Williams Companies Inc 77.16B 63.18 2.72 33.93 0.03
WD NYSE Walker & Dunlop Inc 2.16B 63.41 -0.04 18.88 0.04
JEF NYSE Jefferies Financial Group Inc 13.09B 63.45 -1.25 21.84 0.03
WBS NYSE Webster Financial Corp 10.25B 63.58 1.17 10.89 0.02
TTE NYSE TotalEnergies SE 136.97B 63.93 0.54 11.60 0.05
SLF NYSE Sun Life Financial Inc. Common Stock 35.42B 63.96 0.43 16.32 0.04
JOE NYSE The St. Joe Co 3.70B 64.02 -1.19 35.94 0.01
SAH NYSE Sonic Automotive Inc 2.19B 64.05 -1.09 16.48 0.02
ASH NYSE Ashland Inc 2.93B 64.12 0.02 15.38 0.03
CBU NYSE Community Financial System Inc 3.38B 64.16 5.20 15.48 0.03
AL NYSE Air Lease Corp 7.18B 64.23 0.05 7.48 0.01
KR NYSE The Kroger Co 40.66B 64.25 2.56 54.96 0.02
XMLV AMEX Invesco S&P MidCap Low Volatility ETF 1.38B 64.28 -1.00 0.00 1.19
OMF NYSE OneMain Holdings Inc 7.59B 64.46 -1.40 11.05 0.06
VEA AMEX Vanguard FTSE Developed Markets ETF 21.37B 64.53 0.93 0.00 6.06
BXP NYSE BXP Inc 10.26B 64.75 -1.14 29.15 0.05
UL NYSE Unilever PLC Common Stock 141.37B 64.83 -0.11 22.58 0.03
FOX NASDAQ Fox Corporation - Class B Common Stock 28.92B 65.14 -0.43 14.58 0.01
SRCE NASDAQ 1st Source Corp 1.59B 65.20 0.78 10.41 0.02
BBY NYSE Best Buy Co Inc 13.79B 65.83 -2.85 21.70 0.06
ADM NYSE Archer-Daniels Midland Co 31.66B 65.88 1.08 27.74 0.03
HWC NASDAQ Hancock Whitney Corp 5.25B 65.90 0.13 11.89 0.03
MTX NYSE Minerals Technologies Inc 2.05B 65.94 -1.76 10.47 0.01
EWT AMEX iShares Inc iShares MSCI Taiwan ETF 4.90B 66.17 -0.68 0.00 0.56
FV NASDAQ First Trust Dorsey Wright Focus 5 ETF 4.88B 66.23 -0.14 0.00 0.16
WFG NYSE West Fraser Timber Co. Ltd Common stock 5.19B 66.29 6.51 15.38 0.02
FEZ AMEX SPDR DJ Euro STOXX 50 Etf 4.60B 66.36 0.55 0.00 4.93
CSR NYSE Centerspace 1.11B 66.40 1.37 35.56 0.05
NWE NASDAQ NorthWestern Energy Group Inc 4.08B 66.46 0.68 19.10 0.04
BANR NASDAQ Banner Corp 2.27B 66.49 3.60 10.87 0.03
AOR AMEX iShares Core Growth Allocation ETF 1.44B 66.64 0.35 0.00 1.98
KRE AMEX SPDR S&P Regional Banking ETF 3.05B 66.64 -1.25 0.00 2.26
PWV AMEX Invesco Large Cap Value ETF 1.97B 66.66 0.03 0.00 2.44
WRB NYSE WR Berkley Corp 25.23B 66.90 -0.33 15.11 0.01
MKC NYSE McCormick & Co Inc 17.99B 67.00 -1.07 21.64 0.03
CDC NASDAQ VictoryShares US EQ Income Enhanced Volatility Wtd ETF 1.06B 67.14 -0.09 0.00 7.53
NTR NYSE Nutrien Ltd. Common Shares 32.49B 67.22 1.27 18.95 0.03
FER NASDAQ Ferrovial SE - Ordinary Shares 48.09B 67.26 -1.40 45.66 0.02
TPG NASDAQ TPG Inc 10.30B 67.27 2.32 598.40 0.03
LNT NASDAQ Alliant Energy Corp 17.29B 67.28 -0.09 21.13 0.03
PHIN NYSE Phinia Inc 2.59B 67.28 2.04 30.98 0.02
EMN NYSE Eastman Chemical Co 7.69B 67.41 1.84 11.51 0.05
BHP NYSE BHP Group Limited American Depositary Shares (Each representing two Ordinary Shares) 171.44B 67.52 3.93 19.87 0.03
PXF AMEX Invesco FTSE RAFI Developed Markets ex-U.S. ETF 1.31B 67.71 0.51 0.00 6.94
CTVA NYSE Corteva Inc 45.79B 67.76 1.09 29.55 0.01
SYBT NASDAQ Stock Yards Bancorp Inc 2.01B 68.10 0.14 14.87 0.02
EZM AMEX WisdomTree U.S. MidCap Fund 1.66B 68.13 -0.38 0.00 2.05
PSP AMEX Invesco Global Listed Private Equity ETF 1.56B 68.14 -0.31 0.00 13.79
MAS NYSE Masco Corp 14.16B 68.16 -3.28 17.18 0.02
BUD NYSE Anheuser-Busch Inbev SA Sponsored ADR (Belgium) 133.35B 68.57 -0.22 23.34 0.02
QSR NYSE Restaurant Brands International Inc. Common Shares 23.71B 68.64 0.14 23.94 0.04
WMK NYSE Weis Markets Inc 1.70B 68.74 -0.11 18.39 0.02
WPC NYSE W.P. Carey Inc 15.07B 68.75 0.30 41.93 0.05
VCTR NASDAQ Victory Capital Holdings Inc 4.47B 68.85 1.30 17.66 0.03
KFY NYSE Korn Ferry 3.59B 68.86 -0.18 13.80 0.03
SBR NYSE Sabine Royalty Trust 1.01B 68.94 1.33 12.88 0.07
DAL NYSE Delta Air Lines Inc 45.02B 68.95 0.00 8.63 0.01
CCS NYSE Century Communities Inc 2.03B 69.13 0.76 9.25 0.02
IFF NYSE International Flavors & Fragrances Inc 17.76B 69.33 0.53 16.58 0.02
ACWX NASDAQ iShares MSCI ACWI ex U.S. ETF 4.02B 69.45 -0.64 0.00 2.95
BOH NYSE Bank of Hawaii Corp 2.76B 69.54 -0.28 16.15 0.04
MTH NYSE Meritage Homes Corp 4.90B 69.57 -2.98 9.29 0.02
CNS NYSE Cohen & Steers Inc 3.55B 69.63 1.45 21.92 0.04
RYAAY NASDAQ Ryanair Holdings plc - American Depositary Shares, each representing five Ordinary Shares 36.58B 69.76 -1.12 13.46 0.01
CMS NYSE CMS Energy Corp 21.26B 69.85 -0.20 20.76 0.03
ES NYSE Eversource Energy 26.26B 70.00 2.34 19.51 0.04
LRGF AMEX iShares U.S. Equity Factor ETF 1.12B 70.00 0.29 0.00 1.46
IJH AMEX iShares Core S&P Mid-Cap ETF 8.73B 70.06 -0.26 0.00 1.38
IEV AMEX iShares Europe ETF 2.74B 70.61 0.42 0.00 2.18
BFH NYSE Bread Financial Holdings Inc 3.22B 70.65 2.40 7.03 0.01
ATKR NYSE Atkore Inc 2.39B 70.77 -0.55 13.87 0.02
PII NYSE Polaris Inc 3.98B 70.79 0.32 32.79 0.04
RBCAA NASDAQ Republic Bancorp Inc 1.38B 70.82 -0.86 10.86 0.03
CIB NYSE BanColombia S.A. Common Stock 16.94B 70.98 0.34 9.91 0.05
XT NASDAQ iShares Exponential Technologies ETF 2.41B 70.99 0.39 0.00 0.85
DGRO AMEX iShares Core Dividend Growth ETF 3.75B 71.08 0.80 0.00 2.18
REG NASDAQ Regency Centers Corp 13.01B 71.14 0.39 32.70 0.04
AOS NYSE A.O. Smith Corp 9.91B 71.15 0.90 19.04 0.02
NYT NYSE New York Times Co 11.61B 71.49 -0.12 35.70 0.01
BKH NYSE Black Hills Corp 5.41B 71.65 1.30 18.59 0.04
GEF NYSE Greif Inc 4.15B 71.70 0.69 30.21 0.03
TNL NYSE Travel+Leisure Co 4.63B 71.94 0.19 11.45 0.03
FOXA NASDAQ Fox Corp 31.95B 71.96 -0.05 16.17 0.01
CBT NYSE Cabot Corp 3.81B 72.02 -1.23 11.89 0.02
IBOC NASDAQ International Bancshares Corp 4.48B 72.07 0.82 10.18 0.02
ADC NYSE Agree Realty Corp 8.29B 72.10 -0.32 42.56 0.04
CMC NYSE Commercial Metals Co 8.00B 72.11 -0.49 19.82 0.01
IEUR AMEX iShares Core MSCI Europe ETF 3.51B 72.12 -1.48 0.00 2.49
PB NYSE Prosperity Bancshares Inc 7.04B 72.18 -0.29 13.02 0.03
PHO NASDAQ Invesco Water Resources ETF 1.89B 72.19 1.04 0.00 0.21
BNS NYSE Bank Nova Scotia Halifax Pfd 3 Ordinary Shares 89.29B 72.22 -2.30 18.44 0.04
AIG NYSE American International Group Inc 39.02B 72.32 0.02 13.29 0.02
IMKTA NASDAQ Ingles Markets Inc 1.37B 72.32 1.36 16.42 0.01
RDVY NASDAQ First Trust Rising Dividend Achievers ETF 1.25B 72.33 1.43 0.00 1.02
QLD AMEX ProShares Ultra QQQ 1.89B 72.45 1.76 0.00 0.03
AWR NYSE American States Water Co 2.81B 72.54 1.29 21.66 0.03
SPLV AMEX Invesco S&P 500 Low Volatility ETF 9.95B 72.61 0.68 0.00 1.81
KO NYSE Coca-Cola Co 313.50B 72.88 1.41 24.35 0.03
ULS NYSE UL Solutions Inc 14.65B 72.90 -2.80 43.36 0.01
SYF NYSE Synchrony Financial 25.36B 73.00 -5.82 7.87 0.02
EVRG NASDAQ Evergy Inc 16.85B 73.18 0.50 21.12 0.04
MC NYSE Moelis & Co 5.42B 73.23 -0.56 24.38 0.04
INDB NASDAQ Independent Bank Corp 3.57B 73.35 -0.20 17.92 0.03
SHEL NYSE Shell PLC American Depositary Shares (each representing two (2) Ordinary Shares) 207.82B 73.42 -1.26 15.40 0.04
KEN NYSE Kenon Holdings Ltd 3.86B 74.03 1.29 77.79 0.06
LIT AMEX Global X Lithium & Battery Tech ETF 1.02B 74.17 -1.37 0.00 0.08
SYY NYSE Sysco Corp 35.57B 74.28 0.02 22.62 0.03
CSCO NASDAQ Cisco Systems Inc 293.68B 74.33 0.87 30.38 0.02
SAFT NASDAQ Safety Insurance Group Inc 1.11B 74.38 -0.30 12.96 0.05
XEL NASDAQ Xcel Energy Inc 44.03B 74.43 0.49 23.27 0.03
MCHP NASDAQ Microchip Technology Inc 40.24B 74.45 -0.31 30.03 0.02
CP NYSE Canadian Pacific Kansas City Limited Common Shares 67.09B 74.48 0.38 21.69 0.01
EXPO NASDAQ Exponent Inc 3.72B 74.58 0.31 36.78 0.02
STEP NASDAQ StepStone Group Inc 5.94B 75.06 1.42 27.93 0.02
EWW AMEX iShares Inc iShares MSCI Mexico ETF 1.52B 75.36 1.01 0.00 2.65
MET NYSE MetLife Inc 49.79B 75.57 -1.57 14.44 0.03
VEU AMEX Vanguard FTSE All World Ex US ETF 12.66B 75.76 0.36 0.00 5.53
TMP NYSE Tompkins Financial Corp 1.10B 75.98 -0.22 12.87 0.03
CFO NASDAQ VictoryShares US 500 Enhanced Volatility Wtd ETF 1.41B 76.00 -0.46 0.00 1.32
VOYA NYSE Voya Financial Inc 7.25B 76.17 0.08 13.01 0.02
NHI NYSE National Health Investors Inc 3.64B 76.43 -1.82 24.92 0.05
CSGS NASDAQ CSG Systems International Inc 2.19B 76.76 0.10 27.18 0.02
VTR NYSE Ventas Inc 36.32B 77.33 -0.59 143.30 0.03
SPHQ AMEX Invesco S&P 500 Quality ETF 2.65B 77.80 0.65 0.00 1.10
GM NYSE General Motors Co 70.34B 77.81 -3.73 26.42 0.01
BIV AMEX Vanguard Intermediate-Term Bond ETF 3.33B 77.86 -0.04 0.00 1.88
TNC NYSE Tennant Co 1.42B 78.24 0.18 25.87 0.02
OKE NYSE ONEOK Inc 49.43B 78.56 3.62 14.29 0.05
BSV AMEX Vanguard Short-Term Bond ETF 13.13B 78.74 0.04 0.00 3.12
BRO NYSE Brown & Brown Inc 26.58B 79.11 -1.13 23.46 0.01
OMC NYSE Omnicom Group Inc 24.93B 79.24 0.84 11.51 0.04
MGEE NASDAQ MGE Energy Inc 2.90B 79.37 -0.27 21.44 0.02
PEG NYSE Public Service Enterprise Group Inc 39.63B 79.40 -0.47 19.33 0.03
WH NYSE Wyndham Hotels & Resorts Inc 6.01B 79.57 2.65 17.63 0.02
NGG NYSE National Grid Transco, PLC National Grid PLC (NEW) American Depositary Shares 79.09B 79.59 1.70 20.65 0.04
ABCB NYSE Ameris Bancorp 5.44B 79.67 -0.37 13.90 0.01
VCSH NASDAQ Vanguard Short-Term Corporate Bond ETF 6.65B 79.82 0.01 0.00 1.46
UNM NYSE Unum Group 13.36B 79.85 -0.55 14.67 0.02
IOSP NASDAQ Innospec Inc 2.00B 80.82 -1.02 14.31 0.02
SCI NYSE Service Corp International 11.35B 81.00 -0.87 21.64 0.02
SWK NYSE Stanley Black & Decker Inc 12.55B 81.06 -0.91 27.95 0.04
HYG AMEX iShares iBoxx $ High Yield Corporate Bond ETF 12.98B 81.12 0.30 0.00 4.08
SWX NYSE Southwest Gas Holdings Inc 5.86B 81.14 0.36 26.45 0.03
NFG NYSE National Fuel Gas Co 7.72B 81.21 -0.10 14.64 0.03
GEF.B NYSE Greif, Inc. Corporation Class B Common Stock 3.14B 81.47 -0.23 23.13 0.04
FDT NASDAQ First Trust Developed Markets Ex-US AlphaDEX Fund 1.09B 81.99 0.49 0.00 7.37
SIGI NASDAQ Selective Insurance Group Inc 4.97B 82.32 0.54 12.42 0.02
QDF AMEX FlexShares Quality Dividend Index Fund 2.32B 82.38 -0.05 0.00 2.46
XLP AMEX SPDR Select Sector Fund - Consumer Staples 9.79B 82.60 0.40 52.05 2.72
CVS NYSE CVS Health Corp 104.96B 82.68 2.30 189.47 0.04
SPTM AMEX SPDR Portfolio S&P 1500 Composite Stock Market ETF 1.55B 82.70 -0.33 0.00 1.20
SHY NASDAQ iShares 1-3 Year Treasury Bond ETF 16.45B 82.89 0.03 0.00 0.25
USPH NYSE US Physical Therapy Inc 1.26B 83.03 -3.21 35.03 0.02
EWJ AMEX iShares MSCI Japan Index Fund 21.11B 83.07 -0.08 0.00 1.28
HXL NYSE Hexcel Corp 6.62B 83.15 0.72 95.96 0.01
DLS AMEX WisdomTree International SmallCap Fund 1.60B 83.16 0.99 0.00 2.68
SCZ NASDAQ iShares MSCI EAFE Small-Cap ETF 9.83B 83.47 1.39 0.00 3.84
WFRD NASDAQ Weatherford International PLC 6.01B 83.74 -0.44 16.89 0.01
SR NYSE Spire Inc 4.95B 83.82 -0.72 19.40 0.04
AGO NYSE Assured Guaranty Ltd 3.87B 83.85 0.71 10.17 0.02
WLK NYSE Westlake Corp 10.76B 83.92 -4.50 62.89 0.03
VCIT NASDAQ Vanguard Intermediate-Term Corporate Bond ETF 3.19B 83.96 -0.02 0.00 2.16
LMAT NASDAQ LeMaitre Vascular Inc 1.90B 83.97 -0.64 36.78 0.01
BRC NYSE Brady Corp 3.96B 84.00 1.91 20.63 0.01
DOX NASDAQ Amdocs Ltd 9.10B 84.29 0.29 16.31 0.03
PFBC NASDAQ Preferred Bank 1.03B 84.43 1.07 8.55 0.04
CTSH NASDAQ Cognizant Technology Solutions Corp 40.84B 84.61 0.69 19.59 0.01
VGK AMEX Vanguard FTSEEuropean ETF 13.93B 84.96 -1.41 0.00 4.00
GFF NYSE Griffon Corp 3.97B 85.20 1.54 75.58 0.01
HSBC NYSE HSBC Holdings, plc. Common Stock 292.54B 85.21 1.51 18.63 0.04
SEIC NASDAQ SEI Investments Co 10.45B 85.31 0.71 15.59 0.01
NEE NYSE NextEra Energy Inc 177.88B 85.41 0.71 26.55 0.03
BCC NYSE Boise Cascade Co 3.17B 85.51 -0.89 16.12 0.01
BRZU AMEX Direxion Daily Brazil Bull 2X Shares 1.19B 85.63 -0.51 0.00 3.70
STRA NASDAQ Strategic Education Inc 2.01B 85.70 2.32 17.45 0.03
BC NYSE Brunswick Corp 5.57B 85.71 0.05 20.58 0.02
SSNC NASDAQ SS&C Technologies Holdings Inc 20.92B 85.72 0.49 25.37 0.01
SFBS NYSE Servisfirst Bancshares Inc 4.68B 85.76 12.36 15.92 0.02
PLUS NASDAQ ePlus Inc 2.28B 86.31 -1.51 17.42 0.01
ARCB NASDAQ ArcBest Corp 1.95B 86.61 -1.11 20.64 0.01
UYG AMEX ProShares Ultra Financials 1.24B 86.71 0.70 0.00 0.15
OTTR NASDAQ Otter Tail Corp 3.63B 86.73 -2.48 13.20 0.02
CCI NYSE Crown Castle Inc 37.98B 87.22 0.72 24.39 0.05
CALM NASDAQ Cal-Maine Foods Inc 4.16B 87.26 -0.37 3.53 0.10
MSM NYSE MSC Industrial Direct Co Inc 4.88B 87.37 2.11 22.78 0.04
HAS NASDAQ Hasbro Inc 12.34B 87.90 3.26 17.09 0.03
TRU NYSE TransUnion 17.08B 87.97 1.01 38.33 0.01
WHR NYSE Whirlpool Corp 4.94B 88.02 2.20 13.46 0.06
WFC NYSE Wells Fargo & Co 272.27B 88.04 2.23 14.17 0.02
PNW NYSE Pinnacle West Capital Corp 10.55B 88.14 -0.64 19.54 0.04
GIB NYSE CGI Inc. Common Stock 19.08B 88.23 -1.08 16.46 0.01
XRT AMEX SPDR S&P Retail ETF 1.23B 88.42 -0.42 0.00 4.20
TLT NASDAQ iShares 20+ Year Treasury Bond ETF 5.81B 88.45 0.59 0.00 1.35
SO NYSE Southern Co 97.50B 88.55 -0.33 22.10 0.03
DEO NYSE Diageo plc Common Stock 49.67B 89.35 -2.22 21.00 0.05
VNQ AMEX Vanguard Real Estate ETF 22.89B 89.37 0.74 0.00 2.32
FTA NASDAQ First Trust Large Cap Value AlphaDEX Fund 1.61B 89.55 0.09 0.00 2.05
AZN NASDAQ AstraZeneca PLC - American Depositary Shares 277.75B 89.58 -0.41 31.76 0.02
IXUS NASDAQ iShares Core MSCI Total International Stock ETF 14.53B 89.59 0.40 0.00 3.61
DLN AMEX WisdomTree U.S. LargeCap Dividend Fund 1.50B 89.82 -0.18 0.00 2.76
CHRD NASDAQ Chord Energy Corp 5.11B 89.83 -0.89 33.12 0.05
CCEP NASDAQ Coca-Cola Europacific Partners plc - Ordinary Shares 40.29B 89.83 0.32 22.89 0.03
SIG NYSE Signet Jewelers Ltd 3.66B 90.04 0.28 27.28 0.01
OTIS NYSE Otis Worldwide Corp 35.18B 90.27 -0.14 26.71 0.02
LPX NYSE Louisiana-Pacific Corp 6.31B 90.64 -0.67 28.48 0.01
TKR NYSE The Timken Co 6.31B 90.66 -3.10 22.20 0.01
DGRW NASDAQ WisdomTree U.S. Quality Dividend Growth Fund 4.29B 90.77 0.28 0.00 1.38
AOA AMEX iShares Core Aggressive Allocation ETF 1.20B 90.99 0.43 0.00 1.56
SBUX NASDAQ Starbucks Corp 103.89B 91.19 0.70 58.72 0.03
SRE NYSE Sempra 59.52B 91.20 -1.46 26.80 0.03
RIO NYSE Rio Tinto Plc Common Stock 182.38B 91.38 1.06 14.80 0.04
CMA NYSE Comerica Inc 11.69B 91.38 -1.16 17.94 0.03
ZBH NYSE Zimmer Biomet Holdings Inc 18.12B 91.45 -1.51 21.34 0.01
GOLF NYSE Acushnet Holdings Corp 5.37B 91.50 1.04 25.70 0.01
EBAY NASDAQ eBay Inc 41.36B 91.51 1.15 21.11 0.01
BIL AMEX SPDR Bloomberg 1-3 Month T-Bill ETF 1.07B 91.57 0.03 0.00 0.04
CF NYSE CF Industries Holdings Inc 14.28B 91.57 -0.88 11.09 0.02
PFG NASDAQ Principal Financial Group Inc 20.12B 91.59 0.06 13.52 0.03
CHD NYSE Church & Dwight Co Inc 22.02B 91.71 -0.78 29.13 0.01
EWY AMEX iShares Inc iShares MSCI South Korea ETF 3.96B 91.75 0.45 0.00 4.26
LOGI NASDAQ Logitech International S.A. - Registered Shares 13.48B 91.80 -3.86 19.65 0.02
UFPI NASDAQ UFP Industries Inc 5.37B 92.18 1.25 19.13 0.01
CM NYSE Canadian Imperial Bank of Commerce Common Stock 85.59B 92.37 -0.34 14.95 0.03
GLW NYSE Corning Inc 79.37B 92.57 -1.73 70.35 0.01
KB NYSE KB Financial Group Inc 33.27B 92.77 -2.43 9.55 0.03
MCRI NASDAQ Monarch Casino & Resort Inc 1.70B 93.04 0.08 20.27 0.01
CWB AMEX SPDR Bloomberg Convertible Securities ETF 4.09B 93.08 0.84 0.00 9.48
JJSF NASDAQ J&J Snack Foods Corp 1.80B 93.59 -0.66 28.04 0.03
IRM NYSE Iron Mountain Inc 27.74B 93.85 0.05 169.85 0.04
CFA NASDAQ VictoryShares US 500 Volatility Wtd ETF 1.07B 94.06 -0.03 0.00 3.48
BAH NYSE Booz Allen Hamilton Holding Corp 11.40B 94.50 -2.98 13.29 0.02
ICFI NASDAQ ICF International Inc 1.74B 94.51 0.68 17.65 0.01
PNFP NASDAQ Pinnacle Financial Partners Inc 14.29B 95.10 -0.33 12.16 0.01
ETR NYSE Entergy Corp 42.52B 95.21 0.49 23.79 0.03
TD NYSE Toronto Dominion Bank (The) Common Stock 159.76B 95.28 0.18 11.40 0.03
MBB NASDAQ iShares MBS ETF 9.95B 95.33 0.04 0.00 0.21
UAN NYSE CVR Partners LP 1.01B 95.47 -0.01 8.64 0.11
VPL AMEX Vanguard FTSE Pacific ETF 3.20B 95.52 0.60 0.00 7.52
MCY NYSE Mercury General Corp 5.31B 95.87 0.62 10.75 0.01
SXT NYSE Sensient Technologies Corp 4.07B 95.87 -0.16 28.92 0.02
DAC NYSE Danaos Corp 1.76B 95.89 1.67 4.07 0.03
RHP NYSE Ryman Hospitality Properties Inc 6.05B 95.97 2.67 24.89 0.05
IEF NASDAQ iShares 7-10 Year Treasury Bond ETF 8.76B 95.98 -0.12 0.00 1.10
MMS NYSE Maximus Inc 5.24B 96.05 -2.31 17.58 0.01
EMB NASDAQ iShares J.P. Morgan USD Emerging Markets Bond ETF 12.73B 96.30 0.03 0.00 4.06
BMA NYSE Banco Macro S.A. ADR (representing Ten Class B Common Shares) 6.17B 96.55 6.21 41.87 0.02
KOF NYSE Coca Cola Femsa S.A.B. de C.V. American Depositary Shares, each representing 10 Units (each Unit consists of 3 Series B Shares and 5 Series L Shares) 20.35B 96.87 2.51 42.01 0.04
COP NYSE ConocoPhillips 119.72B 96.88 -0.28 14.11 0.03
CNI NYSE Canadian National Railway Company Common Stock 59.82B 97.19 -2.92 18.72 0.03
ACM NYSE AECOM 12.62B 97.58 0.89 20.22 0.01
JNK AMEX SPDR Bloomberg High Yield Bond ETF 22.55B 97.67 -0.03 0.00 4.26
FELE NASDAQ Franklin Electric Co Inc 4.35B 97.72 -2.78 32.54 0.01
IPAR NASDAQ Inter Parfums Inc 3.15B 98.24 -0.54 18.86 0.03
IYR AMEX iShares U.S. Real Estate ETF 4.04B 98.31 1.32 0.00 4.04
RWR AMEX SPDR DJ Wilshire REIT ETF 2.75B 98.42 0.20 0.00 3.93
AU NYSE Anglogold Ashanti PLC 49.72B 98.47 0.83 24.00 0.02
ED NYSE Consolidated Edison Inc 35.58B 98.57 0.52 18.42 0.03
MDT NYSE Medtronic PLC 126.41B 98.60 1.91 27.29 0.03
NDAQ NASDAQ Nasdaq Inc 56.40B 98.78 0.00 35.18 0.01
STN NYSE Stantec Inc Common Stock 11.29B 98.97 0.21 32.64 0.01
SSB NYSE SouthState Corp 9.81B 98.99 1.20 12.84 0.02
IMO NYSE Imperial Oil Limited Common Stock 49.29B 99.21 -0.99 18.07 0.02
EFA AMEX iShares MSCI EAFE ETF 79.87B 99.26 -0.04 0.00 3.44
EHC NYSE Encompass Health Corp 10.00B 99.37 -0.04 17.84 0.01
NTAP NASDAQ NetApp Inc 19.70B 99.44 0.64 17.40 0.02
TDIV NASDAQ First Trust NASDAQ Technology Dividend Index Fund 1.70B 99.98 1.53 0.00 1.52
AAXJ NASDAQ iShares MSCI All Country Asia ex Japan ETF 3.76B 100.11 -0.03 0.00 3.75
AXS NYSE Axis Capital Holdings Ltd 7.71B 100.11 1.07 8.49 0.02
AGG AMEX iShares Core U.S. Aggregate Bond ETF 15.26B 100.26 0.15 0.00 1.22
IXJ AMEX iShares Global Healthcare ETF 2.59B 100.48 0.86 0.00 1.08
IWR AMEX iShares Russell Mid-Cap ETF 20.78B 100.80 -0.29 0.00 1.25
DCI NYSE Donaldson Co Inc 11.65B 101.05 0.43 31.48 0.01
FRT NYSE Federal Realty Investment Trust 8.77B 101.64 -1.13 25.76 0.04
AEE NYSE Ameren Corp 27.52B 101.74 -1.13 19.99 0.03
KMB NYSE Kimberly-Clark Corp 33.84B 101.97 -0.22 20.71 0.05
SJM NYSE JM Smucker Co 10.90B 102.19 -0.98 10.94 0.04
SCHW NYSE Charles Schwab Corp 182.21B 102.54 -1.24 22.31 0.01
STIP AMEX iShares 0-5 Year TIPS Bond ETF 2.32B 102.65 0.08 0.00 7.01
IJK AMEX iShares S&P Mid-Cap 400 Growth ETF 3.03B 102.74 0.05 0.00 0.64
FMX NYSE Fomento Economico Mexicano S.A.B. de C.V. Common Stock 35.58B 102.98 -0.84 58.89 0.06
TFX NYSE Teleflex Inc 4.55B 103.00 -1.54 6.93 0.01
VC NASDAQ Visteon Corp 2.83B 103.62 4.68 8.40 0.01
EOG NYSE EOG Resources Inc 56.39B 103.92 0.49 10.78 0.04
DHS AMEX WisdomTree U.S. High Dividend Fund 1.10B 104.19 0.19 0.00 2.79
CHH NYSE Choice Hotels International Inc 4.85B 104.79 -0.76 12.86 0.01
NRP NYSE Natural Resources Partners LP 1.38B 105.04 -0.69 10.45 0.03
IUSV NASDAQ iShares Core S&P U.S. Value ETF 7.72B 105.16 0.32 0.00 2.03
LEN.B NYSE Lennar Corporation Class B 26.02B 105.36 -1.69 12.79 0.02
TGT NYSE Target Corp 47.78B 105.52 -0.77 12.62 0.04
CCK NYSE Crown Holdings Inc 12.20B 105.75 1.17 12.88 0.01
WEC NYSE WEC Energy Group Inc 34.46B 105.95 0.52 20.90 0.03
TROW NASDAQ T. Rowe Price Group Inc 23.32B 106.84 -0.44 11.48 0.05
AFL NYSE Aflac Inc 56.13B 107.09 -1.12 14.24 0.02
PNR NYSE Pentair PLC 17.53B 107.13 -0.69 27.38 0.01
MOAT AMEX VanEck Morningstar Wide Moat ETF 3.24B 107.14 -0.03 0.00 1.09
PAYX NASDAQ Paychex Inc 38.48B 107.19 0.00 23.74 0.04
IXN AMEX iShares Global Tech ETF 1.18B 107.49 -0.16 0.00 0.50
RPM NYSE RPM International Inc 13.80B 107.72 -1.61 20.67 0.02
SPYG AMEX SPDR Series Trust SPDR Portfolio S&P 500 Growth ETF 1.02B 107.74 0.55 0.00 0.68
NVT NYSE nVent Electric PLC 17.42B 107.98 3.30 62.87 0.01
UPS NYSE United Parcel Service Inc 91.64B 108.02 -0.05 16.34 0.06
MGRC NASDAQ McGrath RentCorp 2.67B 108.33 -0.56 19.38 0.02
CPT NYSE Camden Property Trust 11.53B 108.35 0.48 44.10 0.04
THO NYSE Thor Industries Inc 5.75B 108.82 3.62 21.66 0.02
BANF NASDAQ BancFirst Corp 3.66B 108.99 0.37 15.37 0.02
MRK NYSE Merck & Co Inc 270.99B 109.18 -1.74 14.28 0.03
ALSN NYSE Allison Transmission Holdings Inc 9.13B 109.64 -1.26 13.61 0.01
AGCO NYSE AGCO Corp 8.21B 109.97 -1.24 22.60 0.01
TIP AMEX iShares TIPS Bond ETF 11.99B 110.12 0.40 0.00 7.36
PPG NYSE PPG Industries Inc 24.73B 110.22 0.14 15.94 0.03
SHV NASDAQ iShares Short Treasury Bond ETF 6.23B 110.32 0.01 0.00 1.69
LEN NYSE Lennar Corp 27.39B 110.91 -0.84 13.79 0.02
LQD AMEX iShares iBoxx $ Investment Grade Corporate Bond ETF 29.55B 110.93 0.09 0.00 2.32
JXN NYSE Jackson Financial Inc 7.58B 111.59 -1.72 16.13 0.03
TFII NYSE TFI International Inc. Common Shares 9.20B 111.84 0.86 27.84 0.02
BG NYSE Bunge Global SA 21.74B 112.41 -0.23 13.08 0.02
CLX NYSE Clorox Co 13.77B 112.87 -0.54 17.77 0.04
SIMO NASDAQ Silicon Motion Technology Corp 3.84B 113.01 0.12 40.70 0.02
RBA NYSE RB Global, Inc. Common Stock 21.03B 113.25 0.32 55.90 0.01
SAIC NASDAQ Science Applications International Corp 5.16B 114.32 0.27 13.26 0.01
XHB AMEX SPDR Series Trust SPDR Homebuilders ETF 5.52B 114.56 -0.78 0.00 0.63
OMAB NASDAQ Grupo Aeroportuario del Centro Norte S.A.B. de C.V. - American Depositary Shares each representing 8 Series B shares 5.54B 114.76 -0.01 18.97 0.04
C NYSE Citigroup Inc 200.65B 114.82 1.09 16.42 0.02
EWBC NASDAQ East West Bancorp Inc 15.86B 115.30 -0.18 11.91 0.02
JCI NYSE Johnson Controls International PLC 70.69B 115.49 0.82 44.47 0.01
OC NYSE Owens-Corning Inc 9.55B 116.21 2.25 11.05 0.02
AEP NASDAQ American Electric Power Co Inc 62.34B 116.73 0.14 17.49 0.03
INGR NYSE Ingredion Inc 7.42B 116.74 0.68 11.66 0.03
PCAR NASDAQ PACCAR Inc 61.49B 117.08 3.69 26.79 0.01
IJS AMEX iShares S&P SmallCap 600 Value ETF 3.95B 117.09 -0.95 0.00 1.91
XLC AMEX The Communication Services Select Sector SPDR Fund 12.55B 117.91 -0.06 103.78 0.80
OLED NASDAQ Universal Display Corp 5.61B 117.92 1.55 25.35 0.02
PRU NYSE Prudential Financial Inc 41.27B 117.93 -0.13 14.72 0.05
UPRO AMEX ProShares UltraPro S&P 500 2.02B 118.42 0.02 0.00 0.16
WMT NYSE Walmart Inc 951.32B 119.36 0.55 40.89 0.01
IEI NASDAQ iShares 3-7 Year Treasury Bond ETF 7.34B 119.37 -0.09 0.00 0.77
DELL NYSE Dell Technologies Inc 79.30B 119.66 0.82 15.33 0.02
BK NYSE Bank of New York Mellon Corp 82.42B 119.76 -0.77 16.06 0.02
AZZ NYSE AZZ Inc 3.59B 120.37 -1.22 11.54 0.01
UMBF NASDAQ UMB Financial Corp 9.15B 120.45 -1.34 13.94 0.01
DTM NYSE DT Midstream Inc 12.37B 121.68 -0.52 31.09 0.03
LEA NYSE Lear Corp 6.31B 121.73 -0.89 14.70 0.03
PDP NASDAQ Invesco Dorsey Wright Momentum ETF 2.77B 122.38 1.90 0.00 0.05
BCO NYSE The Brink's Co 5.09B 122.48 -0.25 31.93 0.01
ATR NYSE AptarGroup Inc 8.04B 122.54 0.48 20.02 0.01
XLY AMEX SPDR Select Sector Fund - Consumer Discretionary 11.86B 122.92 0.25 103.78 0.58
FEX NASDAQ First Trust Large Cap Core AlphaDEX Fund 2.30B 122.98 1.11 0.00 0.88
SKYY NASDAQ First Trust Cloud Computing ETF 3.20B 123.35 -0.20 0.00 0.15
LNN NYSE Lindsay Corp 1.29B 123.35 -1.43 18.46 0.01
CHCO NASDAQ City Holding Co 1.77B 123.51 0.48 13.51 0.03
ZTS NYSE Zoetis Inc 54.58B 123.84 -0.17 21.04 0.02
IVW AMEX iShares S&P 500 Growth ETF 7.65B 124.31 0.64 0.00 0.44
STT NYSE State Street Corporation 34.80B 124.71 -2.59 13.58 0.03
NIC NYSE Nicolet Bankshares Inc 1.86B 125.34 -1.67 14.67 0.01
WYNN NASDAQ Wynn Resorts Ltd 13.10B 125.98 -1.54 25.23 0.01
CPK NYSE Chesapeake Utilities Corp 2.98B 126.02 -2.42 22.67 0.02
CRH NYSE CRH PLC 84.37B 126.22 1.45 24.69 0.01
SF NYSE Stifel Financial Corp 12.86B 126.34 -1.93 22.36 0.01
XBI AMEX SPDR Series Trust SPDR S&P Biotech ETF 2.54B 126.43 3.56 0.00 0.14
HDV AMEX iShares Core High Dividend ETF 7.62B 126.46 -0.54 0.00 4.21
IOO AMEX iShares Global 100 ETF 3.63B 126.98 0.50 0.00 1.34
PHM NYSE PulteGroup Inc 24.90B 127.77 -1.70 9.56 0.01
ABT NYSE Abbott Laboratories 222.19B 127.78 1.06 29.10 0.02
BPOP NASDAQ Popular Inc 8.40B 127.83 -1.81 10.62 0.02
SUI NYSE Sun Communities Inc 15.80B 128.03 1.10 47.39 0.03
IDA NYSE Idacorp Inc 6.93B 128.29 0.13 23.09 0.03
LAMR NASDAQ Lamar Advertising Co 13.03B 128.65 -0.89 30.16 0.05
IYF AMEX iShares U.S. Financial ETF 1.38B 128.67 -0.38 0.00 1.29
PATK NASDAQ Patrick Industries Inc 4.29B 128.78 -3.19 37.23 0.01
DTE NYSE DTE Energy Co 27.06B 130.28 -0.03 20.49 0.03
NNI NYSE Nelnet Inc 4.70B 130.71 -1.19 10.98 0.01
CPA NYSE Copa Holdings SA 5.38B 130.90 0.46 8.54 0.05
DSI AMEX iShares MSCI KLD 400 Social ETF 1.17B 130.91 -0.20 0.00 1.17
AWK NYSE American Water Works Co Inc 25.61B 131.21 -0.17 22.94 0.02
KALU NASDAQ Kaiser Aluminum Corp 2.13B 131.21 -1.47 23.84 0.03
VDE AMEX Vanguard Energy ETF 2.36B 131.24 0.29 0.00 4.88
KKR NYSE KKR & Co Inc 117.01B 131.27 0.92 48.74 0.01
AFG NYSE American Financial Group Inc 10.98B 131.60 -0.54 13.42 0.03
GPC NYSE Genuine Parts Co 18.36B 131.97 -3.63 23.99 0.03
MLI NYSE Mueller Industries Inc 14.65B 132.00 -0.85 20.09 0.01
NTES NASDAQ NetEase Inc 84.06B 132.76 0.40 16.26 0.02
TPR NYSE Tapestry Inc 27.22B 133.01 -1.01 97.36 0.01
SII NYSE Sprott Inc. Common Shares 3.43B 133.17 -0.73 67.94 0.01
PLD NYSE Prologis Inc 123.73B 133.21 0.35 37.41 0.03
CDW NASDAQ CDW Corp 17.38B 133.50 0.01 15.85 0.02
PWB AMEX Invesco Large Cap Growth ETF 1.09B 133.66 -0.06 0.00 0.07
FNX NASDAQ First Trust Mid Cap Core AlphaDEX Fund 1.39B 133.80 -0.24 0.00 1.47
BMO NYSE Bank Of Montreal Common Stock 95.60B 134.86 1.21 16.54 0.03
XOM NYSE Exxon Mobil Corp 569.19B 134.97 1.00 19.89 0.03
AGM.A NYSE Federal Agricultural Mortgage Corp 1.47B 135.00 0.67 7.35 0.05
HIG NYSE The Hartford Financial Services Group Inc 37.79B 135.48 0.14 10.66 0.02
J NYSE Jacobs Solutions Inc 16.00B 135.53 -0.12 53.01 0.01
BFC NASDAQ Bank First Corp 1.52B 135.68 5.65 19.14 0.01
CFR NYSE Cullen/Frost Bankers Inc 8.68B 135.78 -0.94 13.95 0.03
BOKF NASDAQ BOK Financial Corp 8.25B 136.08 4.86 14.15 0.02
IHG NYSE Intercontinental Hotels Group American Depositary Shares (Each representing one Ordinary Share) 20.53B 136.41 0.34 28.89 0.01
LCII NYSE LCI Industries Inc 3.31B 136.78 3.00 20.71 0.03
PSX NYSE Phillips 66 55.13B 136.83 -2.26 37.74 0.03
VFH AMEX Vanguard Financials ETF 3.69B 137.67 0.50 0.00 2.12
GL NYSE Globe Life Inc 10.99B 138.06 -0.49 9.97 0.01
PKW NASDAQ Invesco BuyBack Achievers ETF 2.51B 138.14 0.29 0.00 0.76
MTN NYSE Vail Resorts Inc 4.96B 138.64 -1.40 19.21 0.07
NHC NYSE National Healthcare Corp 2.16B 139.01 2.74 21.59 0.02
FANG NASDAQ Diamondback Energy Inc 40.24B 140.45 -2.79 11.17 0.03
XYL NYSE Xylem Inc 34.39B 141.23 -1.18 36.19 0.01
IWP AMEX iShares Russell Midcap Growth ETF 7.74B 141.33 0.26 0.00 0.31
SDY AMEX SPDR S&P Dividend ETF 21.29B 143.57 0.45 0.00 3.07
APO NYSE Apollo Global Management Inc 83.70B 144.20 -1.12 19.20 0.02
QQEW NASDAQ First Trust NASDAQ-100 Equal Weighted Index Fund 1.05B 144.34 0.35 0.00 0.13
PEP NASDAQ PepsiCo Inc 197.44B 144.40 -1.60 28.29 0.04
AER NYSE AerCap Holdings NV 24.67B 144.94 -1.51 6.87 0.01
ACWI NASDAQ iShares MSCI ACWI ETF 14.46B 145.00 0.00 0.00 1.93
GDXJ AMEX VanEck Junior Gold Miners ETF 5.14B 145.03 2.07 0.00 2.15
DVY NASDAQ iShares Select Dividend ETF 21.66B 145.05 1.01 0.00 2.78
PSMT NASDAQ Pricesmart Inc 4.49B 145.81 3.55 28.98 0.01
RRX NYSE Regal Rexnord Corp 9.70B 146.10 4.12 39.95 0.01
PFSI NYSE PennyMac Financial Services Inc 7.60B 146.18 -0.01 16.07 0.01
A NYSE Agilent Technologies Inc 41.46B 146.26 -0.05 29.75 0.01
XLK AMEX SPDR Select Sector Fund - Technology 76.49B 146.33 -0.32 67.18 0.73
WTFC NASDAQ Wintrust Financial Corp 9.81B 146.40 1.45 12.76 0.01
HLNE NASDAQ Hamilton Lane Inc 6.44B 146.41 0.28 26.60 0.01
MGV AMEX Vanguard Mega Cap Value ETF 1.37B 146.50 -0.13 0.00 2.34
EXR NYSE Extra Space Storage Inc 31.11B 146.58 1.29 31.27 0.05
EMR NYSE Emerson Electric Co 83.04B 147.68 -1.72 36.64 0.01
TOL NYSE Toll Brothers Inc 14.07B 148.06 -0.33 10.61 0.01
IWS AMEX iShares Russell Mid-cap Value ETF 15.65B 148.25 -0.33 0.00 1.70
SNX NYSE TD Synnex Corp 11.91B 148.71 -0.86 15.92 0.01
DG NYSE Dollar General Corp 32.74B 148.74 -1.98 25.50 0.02
COKE NASDAQ Coca-Cola Consolidated Inc 9.93B 149.00 -0.61 21.46 0.01
NVS NYSE Novartis AG Common Stock 286.13B 149.12 1.35 20.82 0.03
NTRS NASDAQ Northern Trust Corp 27.89B 149.65 0.69 17.16 0.02
PG NYSE Procter & Gamble Co 348.44B 149.93 2.65 21.98 0.03
IJT NASDAQ iShares S&P SmallCap 600 Growth ETF 4.23B 150.23 0.28 0.00 0.62
FAS AMEX Direxion Financial Bull 3X Shares 2.70B 150.59 -2.24 0.00 1.11
ITOT AMEX iShares Core S&P Total U.S. Stock Market ETF 3.32B 150.96 -0.12 0.00 1.38
LSTR NASDAQ Landstar System Inc 5.21B 151.68 -1.07 38.79 0.01
DXJ AMEX WisdomTree Japan Hedged Equity Fund 9.35B 152.26 -2.17 0.00 0.41
YUM NYSE Yum Brands Inc 42.41B 152.74 -0.16 30.02 0.02
TJX NYSE TJX Companies Inc 170.16B 153.23 -0.13 32.67 0.01
OSK NYSE Oshkosh Corp 9.74B 153.91 -1.72 14.67 0.01
MATX NYSE Matson Inc 4.85B 155.69 7.64 12.15 0.01
BX NYSE Blackstone Inc 120.50B 155.81 -0.50 42.65 0.03
CINF NASDAQ Cincinnati Financial Corp 24.33B 155.96 -1.39 11.75 0.02
DHI NYSE D.R. Horton Inc 45.18B 155.96 -3.13 13.52 0.01
NRG NYSE NRG Energy Inc 29.90B 156.04 4.08 23.32 0.01
BCPC NASDAQ Balchem Corp 5.07B 156.63 -0.24 36.35 0.01
XLV AMEX SPDR Select Sector Fund - Health Care 21.77B 157.41 -0.56 81.76 1.51
KWR NYSE Quaker Houghton 2.76B 159.19 5.97 17.99 0.01
QCOM NASDAQ Qualcomm Inc 170.27B 159.42 -1.23 30.55 0.02
FSV NASDAQ FirstService Corporation - Common Shares 7.31B 159.90 -0.53 51.98 0.01
VST NYSE Vistra Corp 54.33B 160.36 0.22 59.09 0.01
MSA NYSE MSA Safety Inc 6.32B 161.47 0.87 25.38 0.01
EXPD NYSE Expeditors International of Washington Inc 21.78B 162.51 2.13 25.79 0.01
ALLE NYSE Allegion PLC 14.00B 162.69 -0.97 22.58 0.01
FCFS NASDAQ FirstCash Holdings Inc 7.20B 163.11 0.06 24.33 0.01
STZ NYSE Constellation Brands Inc 28.29B 163.16 4.17 25.31 0.03
ARES NYSE Ares Management Corp 36.01B 163.43 0.17 63.03 0.03
DLR NYSE Digital Realty Trust Inc 56.20B 163.60 1.89 42.27 0.03
PAG NYSE Penske Automotive Group Inc 10.78B 163.64 -0.66 11.30 0.03
PRK NYSE Park National Corp 2.63B 163.76 2.48 14.50 0.03
XLI AMEX SPDR Select Sector Fund - Industrial 18.49B 164.14 0.60 75.15 1.48
WCN NYSE Waste Connections Inc 42.25B 165.04 -1.24 70.65 0.01
ATO NYSE Atmos Energy Corp 26.74B 165.34 -0.04 22.66 0.02
FTC NASDAQ First Trust Large Cap Growth AlphaDEX Fund 1.75B 165.68 0.01 0.00 0.13
MMM NYSE 3M Co 88.17B 166.27 0.63 26.34 0.02
CVX NYSE Chevron Corp 333.21B 166.66 -0.05 23.78 0.04
CHRW NASDAQ C.H. Robinson Worldwide Inc 19.81B 167.66 0.27 36.52 0.01
RY NYSE Royal Bank Of Canada Common Stock 235.24B 168.00 0.34 16.46 0.03
IYY AMEX iShares Dow Jones U.S. ETF 1.07B 168.49 -0.05 0.00 1.27
IUSG NASDAQ iShares Core S&P U.S. Growth ETF 10.63B 168.88 0.43 0.00 0.62
FPX AMEX First Trust US Equity Opportunities ETF 1.58B 169.15 0.82 0.00 0.26
HRI NYSE Herc Holdings Inc 5.64B 169.39 2.85 14.33 0.02
VRTS NYSE Virtus Investment Partners Inc 1.14B 169.44 1.65 8.68 0.05
MKTX NASDAQ MarketAxess Holdings Inc 6.31B 169.84 -0.16 28.64 0.02
ODFL NASDAQ Old Dominion Freight Line Inc 35.86B 171.52 -0.08 35.10 0.01
RJF NYSE Raymond James Financial Inc 33.88B 171.57 0.89 16.41 0.01
IBB NASDAQ iShares Biotechnology ETF 12.07B 172.39 0.08 0.00 0.11
AGM NYSE Federal Agricultural Mortgage Corporation Common Stock 1.89B 172.89 -0.14 9.85 0.03
IWC AMEX iShares Microcap ETF 1.15B 173.15 1.64 0.00 1.55
BABA NYSE Alibaba Group Holding Ltd 413.56B 173.23 -2.23 22.96 0.01
GATX NYSE GATX Corp 6.19B 173.50 -0.37 21.46 0.01
NUE NYSE Nucor Corp 39.73B 173.58 -2.30 23.08 0.01
PM NYSE Philip Morris International Inc 270.26B 173.62 0.62 25.52 0.03
TXRH NASDAQ Texas Roadhouse Inc 11.49B 173.69 -1.19 28.24 0.01
FXL AMEX First Trust Technology AlphaDEX 4.58B 174.11 1.89 0.00 0.97
ICE NYSE Intercontinental Exchange Inc 99.52B 174.55 1.55 31.56 0.01
HCI NYSE HCI Group Inc 2.27B 175.01 -0.60 9.65 0.01
SCCO NYSE Southern Copper Corp 144.16B 176.00 3.22 42.07 0.02
WLFC NASDAQ Willis Lease Finance Corp 1.20B 176.19 -4.30 10.94 0.01
PPA AMEX Invesco Aerospace & Defense ETF 1.41B 177.43 0.38 0.00 0.51
AMT NYSE American Tower Corp 83.21B 177.75 -3.17 28.72 0.04
ORCL NYSE Oracle Corp 511.93B 178.18 2.48 32.88 0.01
AVB NYSE AvalonBay Communities Inc 25.28B 178.54 0.16 21.47 0.04
STLD NASDAQ Steel Dynamics Inc 26.11B 178.81 -0.57 21.98 0.01
THG NYSE The Hanover Insurance Group Inc 6.37B 179.06 -2.03 9.83 0.02
LABU AMEX Direxion Daily S&P Biotech Bull 3X Shares 2.18B 179.17 -0.72 0.00 0.02
ENS NYSE EnerSys 6.64B 179.89 2.82 21.09 0.01
EGP NYSE EastGroup Properties Inc 9.60B 179.95 -2.47 37.43 0.03
HLI NYSE Houlihan Lokey Inc 12.63B 180.20 -1.56 29.02 0.01
MS NYSE Morgan Stanley 287.24B 181.45 1.37 17.89 0.02
SSD NYSE Simpson Manufacturing Co Inc 7.57B 182.65 0.22 21.85 0.01
DGX NYSE Quest Diagnostics Inc 19.41B 182.71 -0.84 21.62 0.02
JKHY NASDAQ Jack Henry & Associates Inc 13.24B 182.94 -1.18 27.20 0.01
VLO NYSE Valero Energy Corp 55.96B 183.46 -0.61 38.03 0.02
ITT NYSE ITT Inc 15.83B 184.02 0.48 30.54 0.01
TRGP NYSE Targa Resources Corp 39.52B 184.12 2.13 26.29 0.02
VOE AMEX Vanguard Mid-Cap Value ETF 3.94B 184.36 0.51 0.00 1.55
SPG NYSE Simon Property Group Inc 60.30B 184.69 -0.16 26.86 0.05
TMUS NASDAQ T-Mobile US Inc 207.36B 185.39 0.98 17.77 0.02
WELL NYSE Welltower Inc 127.42B 185.66 0.51 126.54 0.02
AVY NYSE Avery Dennison Corp 14.40B 186.25 0.21 21.22 0.02
ROST NASDAQ Ross Stores Inc 60.38B 186.69 -0.18 29.06 0.01
ALG NYSE Alamo Group Inc 2.26B 186.91 0.22 20.05 0.01
AWI NYSE Armstrong World Industries Inc 8.08B 187.39 0.06 26.63 0.01
ALB NYSE Albemarle Corp 22.43B 190.57 0.56 196.08 0.01
PJT NYSE PJT Partners Inc 4.65B 191.42 0.10 26.96 0.01
IWN AMEX iShares Russell 2000 Value ETF 11.91B 191.61 0.26 0.00 2.19
R NYSE Ryder System Inc 7.75B 192.06 2.62 16.05 0.02
LDOS NYSE Leidos Holdings Inc 24.65B 192.81 0.36 17.47 0.01
CTAS NASDAQ Cintas Corp 77.21B 193.07 -1.20 41.39 0.01
HON NASDAQ Honeywell International Inc 122.92B 193.61 -0.13 23.30 0.02
SBAC NASDAQ SBA Communications Corp 20.64B 193.73 3.03 23.50 0.02
RGA NYSE Reinsurance Group of America Inc 12.76B 194.10 -0.12 15.15 0.02
TXN NASDAQ Texas Instruments Inc 176.65B 194.41 2.55 36.08 0.03
IEX NYSE IDEX Corp 14.62B 195.27 -1.30 30.83 0.01
ALL NYSE Allstate Corp 51.38B 196.33 1.39 6.32 0.02
RTX NYSE RTX Corp 263.25B 196.34 -0.59 40.58 0.01
AEM NYSE Agnico Eagle Mines Limited Common Stock 99.14B 197.48 -1.47 31.60 0.01
HSY NYSE The Hershey Co 40.10B 197.76 -1.65 28.64 0.03
VTV AMEX Vanguard Value ETF 25.14B 198.08 -0.10 0.00 2.21
RSP AMEX Invesco S&P 500 Equal Weight ETF 12.90B 198.35 -0.66 0.00 1.13
DRI NYSE Darden Restaurants Inc 23.06B 200.25 3.94 20.64 0.03
TKO NYSE TKO Group Holdings Inc 16.01B 202.81 -0.42 76.03 0.01
UNF NYSE UniFirst Corp 3.67B 203.30 0.64 27.73 0.01
DOV NYSE Dover Corp 27.95B 203.80 -0.30 26.99 0.01
JBHT NASDAQ JB Hunt Transport Services Inc 19.47B 205.81 0.32 33.15 0.01
MTB NYSE M&T Bank Corp 31.79B 206.82 0.49 12.79 0.03
PGR NYSE Progressive Corp 121.30B 206.92 1.94 11.42 0.07
WDFC NASDAQ WD-40 Co 2.81B 208.20 0.83 33.34 0.02
DKS NYSE Dick's Sporting Goods Inc 18.73B 208.20 -1.79 16.76 0.02
BDX NYSE Becton Dickinson & Co 59.36B 208.35 0.45 34.95 0.02
FNV NYSE Franco-Nevada Corporation 40.21B 208.58 0.63 54.91 0.01
CR NYSE Crane Co 12.03B 208.87 -0.65 32.80 0.01
AME NYSE AMETEK Inc 48.29B 209.76 -0.42 34.79 0.01
WSM NYSE Williams-Sonoma Inc 25.17B 210.85 2.41 22.96 0.01
CAH NYSE Cardinal Health Inc 50.15B 211.08 1.32 32.28 0.01
RSG NYSE Republic Services Inc 66.07B 213.44 0.25 32.27 0.01
MORN NASDAQ Morningstar Inc 8.80B 214.00 1.94 23.12 0.01
VDC AMEX Vanguard Consumer Staples ETF 2.93B 215.42 0.94 0.00 2.57
IVE AMEX iShares S&P 500 Value ETF 12.03B 217.14 0.37 0.00 1.97
CRAI NASDAQ CRA International Inc 1.43B 217.29 0.95 23.17 0.01
VRSK NASDAQ Verisk Analytics Inc 30.32B 217.53 -0.45 33.27 0.01
JNJ NYSE Johnson & Johnson 525.25B 218.01 -0.10 20.35 0.02
EFX NYSE Equifax Inc 26.72B 218.34 0.36 39.33 0.01
IWD AMEX iShares Russell 1000 Value ETF 39.27B 219.12 0.01 0.00 1.73
VXF AMEX Vanguard Extended Market ETF 6.42B 219.17 -0.13 0.00 0.58
NXST NASDAQ Nexstar Media Group Inc 6.65B 219.27 3.23 13.07 0.04
TM NYSE Toyota Motor Corporation Common Stock 287.35B 220.47 -4.74 9.79 0.03
WM NYSE Waste Management Inc 89.07B 221.09 -0.07 36.43 0.01
SAP NYSE SAP SE ADS 258.83B 222.25 -2.06 32.67 0.01
VIG AMEX Vanguard Div Appreciation ETF 44.93B 222.88 -0.54 0.00 1.83
PNC NYSE PNC Financial Services Group Inc 90.23B 223.18 3.79 13.48 0.03
VAW AMEX Vanguard Materials ETF 1.74B 224.15 0.84 0.00 1.72
PKG NYSE Packaging Corp of America 20.28B 225.39 3.04 22.59 0.02
UNP NYSE Union Pacific Corp 134.33B 226.47 -0.87 19.41 0.02
VBR AMEX Vanguard Small-Cap Value ETF 7.08B 226.97 2.40 0.00 1.49
CRM NYSE Salesforce Inc 213.72B 228.09 2.94 30.51 0.01
BR NYSE Broadridge Financial Solutions Inc 26.64B 228.22 1.00 26.40 0.02
ALX NYSE Alexander's Inc 1.17B 229.32 0.25 33.55 0.08
ABBV NYSE AbbVie Inc 405.46B 229.41 0.66 169.64 0.03
SPXL AMEX Direxion Daily S&P 500 Bull 3X Shares 3.07B 229.87 1.90 0.00 0.33
TEL NYSE TE Connectivity Ltd 67.96B 231.60 1.57 33.25 0.01
COF NYSE Capital One Financial Corp 145.77B 233.20 -6.43 64.62 0.01
NPO NYSE Enpro Inc 4.93B 234.01 -3.84 58.68 0.01
AIZ NYSE Assurant Inc 11.93B 238.21 1.37 14.45 0.01
NXPI NASDAQ NXP Semiconductors NV 59.98B 238.33 -1.17 28.36 0.02
DHR NYSE Danaher Corp 170.97B 242.05 3.30 48.51 0.01
SXI NYSE Standex International Corp 3.00B 247.31 1.81 56.21 0.01
ESS NYSE Essex Property Trust Inc 16.00B 248.41 -0.68 19.14 0.04
ITW NYSE Illinois Tool Works Inc 72.38B 249.50 1.30 25.09 0.02
FERG NYSE Ferguson PLC 50.14B 249.86 1.53 25.46 0.01
LH NYSE Labcorp Holdings Inc 20.76B 250.39 -0.57 26.61 0.01
VRSN NASDAQ VeriSign Inc 23.26B 250.87 -0.25 29.09 0.01
NDSN NASDAQ Nordson Corp 14.04B 252.00 2.49 32.11 0.01
AJG NYSE Arthur J. Gallagher & Co 65.03B 253.21 1.13 38.71 0.01
CBOE AMEX Cboe Global Markets Inc 26.69B 255.07 1.29 28.82 0.01
PRI NYSE Primerica Inc 8.14B 255.11 -1.59 11.76 0.02
TILT AMEX FlexShares Mornigstar US Market Factors Tilt Index Fund ETF 1.67B 255.59 0.29 0.00 1.77
RMD NYSE ResMed Inc 37.46B 256.61 -1.03 26.15 0.01
LECO NASDAQ Lincoln Electric Holdings Inc 14.23B 258.64 -0.97 27.52 0.01
ADP NASDAQ Automatic Data Processing Inc 104.89B 259.34 -1.32 25.12 0.02
NUGT AMEX Direxion Daily Gold Miners Index Bull 2XShares 2.28B 260.84 -0.36 0.00 0.85
STE NYSE Steris PLC 25.61B 260.90 -0.11 37.69 0.01
APD NYSE Air Products & Chemicals Inc 58.17B 261.35 -1.02 19.92 0.03
AIT NYSE Applied Industrial Technologies Inc 10.27B 262.33 -0.01 24.98 0.01
PAC NYSE Grupo Aeroportuario Del Pacifico, S.A. B. de C.V. Grupo Aeroportuario Del Pacifico, S.A. de C.V. (each representing 10 Series B shares) 13.54B 267.88 1.01 24.59 0.03
POOL NASDAQ Pool Corp 9.98B 267.99 0.15 24.11 0.02
LOW NYSE Lowe's Companies Inc 150.56B 268.40 -3.30 22.68 0.02
TRV NYSE The Travelers Companies Inc 58.64B 269.61 0.08 10.25 0.02
EXPE NASDAQ Expedia Group Inc 33.16B 270.59 -0.58 25.70 0.01
ECL NYSE Ecolab Inc 76.91B 271.53 3.18 40.88 0.01
RNR NYSE RenaissanceRe Holdings Ltd 12.55B 272.24 -3.18 7.66 0.01
HUM NYSE Humana Inc 32.87B 273.28 -3.76 19.45 0.02
IWY AMEX iShares Russell Top 200 Growth ETF 3.03B 275.05 0.70 0.00 0.52
ACN NYSE Accenture PLC 169.87B 276.01 -1.19 22.79 0.02
WCC NYSE WESCO International Inc 13.45B 276.53 -0.09 22.59 0.01
FDS NYSE FactSet Research Systems Inc 10.28B 277.05 -4.01 17.09 0.02
CI NYSE The Cigna Group 75.06B 280.98 0.64 11.96 0.02
VOT AMEX Vanguard Mid-Cap Growth ETF 4.83B 284.03 0.59 0.00 0.27
CME NASDAQ CME Group Inc 102.20B 284.27 0.08 27.57 0.02
CEG NASDAQ Constellation Energy Corp 103.35B 285.27 -1.32 33.08 0.01
RCL NYSE Royal Caribbean Group 77.87B 285.55 2.81 19.55 0.01
JNUG AMEX Direxion Daily Junior Gold Miners Index Bull 2X Shares 2.36B 285.60 -2.17 0.00 2.12
WTS NYSE Watts Water Technologies Inc 9.63B 288.78 0.47 30.72 0.01
ERIE NASDAQ Erie Indemnity Co 15.14B 289.48 2.22 21.99 0.02
RGLD NASDAQ Royal Gold Inc 24.65B 292.03 4.47 40.35 0.01
ADI NASDAQ Analog Devices Inc 143.14B 292.94 5.65 66.63 0.01
VHT AMEX Vanguard Health Care ETF 5.80B 293.91 1.94 0.00 3.03
IBM NYSE International Business Machines Corp 276.55B 295.86 -0.57 35.03 0.02
VO AMEX Vanguard Mid-Cap ETF 14.17B 299.15 -0.01 0.00 0.98
LFUS NASDAQ Littelfuse Inc 7.48B 300.31 -0.40 62.35 0.01
VMC NYSE Vulcan Materials Co 39.71B 300.57 1.32 35.26 0.01
IBP NYSE Installed Building Products Inc 8.17B 302.97 2.21 31.53 0.01
CB NYSE Chubb Ltd 119.44B 303.49 0.86 12.60 0.01
MCD NYSE McDonald's Corp 217.70B 305.69 0.95 26.80 0.02
FDX NYSE FedEx Corp 71.93B 305.93 -0.73 17.29 0.02
STX NASDAQ Seagate Technology Holdings PLC 68.08B 312.49 -1.87 42.01 0.01
VIS AMEX Vanguard Industrials ETF 3.20B 313.34 1.35 0.00 1.22
MAR NASDAQ Marriott International Inc 84.10B 313.41 1.03 33.12 0.01
JPM NYSE JPMorgan Chase & Co 855.88B 317.44 -2.18 15.00 0.02
AMAT NASDAQ Applied Materials Inc 253.31B 319.46 -0.91 38.42 0.01
TPL NYSE Texas Pacific Land Corp 22.08B 320.31 3.30 50.03 0.01
VV AMEX Vanguard Large-Cap ETF 12.77B 320.55 0.39 0.00 1.16
LAD NYSE Lithia Motors Inc 7.82B 322.50 -3.72 9.46 0.01
IDCC NASDAQ InterDigital Inc 8.31B 322.66 -2.26 22.37 0.01
UNH NYSE UnitedHealth Group Inc 293.15B 323.62 -1.55 14.73 0.03
ASR NYSE Grupo Aeroportuario del Sureste, S.A. de C.V. Common Stock 9.78B 326.10 1.11 13.44 0.07
OIH AMEX VanEck Oil Services ETF 16.06B 326.59 -0.17 0.00 0.97
RS NYSE Reliance Inc 17.08B 326.75 -0.45 23.80 0.01
VBK AMEX Vanguard Small-Cap Growth ETF 7.58B 327.76 0.78 0.00 0.21
AMGN NASDAQ Amgen Inc 177.79B 330.17 2.95 27.17 0.03
AON NYSE Aon PLC 71.09B 330.75 -2.40 26.46 0.01
TSM NYSE Taiwan Semiconductor Manufacturing Company Ltd. 1.73T 332.74 -0.64 32.14 0.01
SOXX NASDAQ iShares Semiconductor ETF 3.40B 333.94 1.09 0.00 1.14
ETN NYSE Eaton Corp PLC 130.11B 335.00 -0.77 34.15 0.01
CSL NYSE Carlisle Companies Inc 14.04B 336.05 0.92 19.73 0.01
WTW NASDAQ Willis Towers Watson PLC 32.18B 336.10 0.45 15.05 0.01
EG NYSE Everest Group Ltd 14.16B 337.24 0.48 24.10 0.02
RACE NYSE Ferrari N.V. Common Shares 59.84B 337.80 -0.78 31.68 0.01
VTI AMEX Vanguard Total Stock Market ETF 100.81B 340.56 -0.10 0.00 1.20
LHX NYSE L3Harris Technologies Inc 63.76B 340.84 -0.12 38.81 0.01
OEF AMEX iShares S&P 100 ETF 12.22B 342.33 -0.19 0.00 1.13
V NYSE Visa Inc 662.86B 343.80 -1.71 31.89 0.01
IWO AMEX iShares Russell 2000 Growth ETF 13.13B 344.52 0.63 0.00 0.38
BAP NYSE Credicorp Ltd 27.37B 344.83 0.15 14.97 0.03
AVGO NASDAQ Broadcom Inc 1.65T 347.62 0.44 69.77 0.01
PIPR NYSE Piper Sandler Cos 5.82B 349.97 3.02 26.54 0.01
SHW NYSE Sherwin-Williams Co 87.20B 351.77 1.39 33.80 0.01
SYK NYSE Stryker Corp 135.60B 354.57 -0.68 46.59 0.01
COR NYSE Cencora Inc 69.28B 356.14 0.18 44.74 0.01
AXP NYSE American Express Co 246.17B 357.37 -0.25 24.14 0.01
SNA NYSE Snap-on Inc 18.89B 363.31 0.25 19.30 0.02
GD NYSE General Dynamics Corp 99.03B 366.62 0.85 23.76 0.02
RL NYSE Ralph Lauren Corp 22.36B 368.65 1.49 26.44 0.01
HD NYSE The Home Depot Inc 372.96B 374.64 4.20 25.95 0.02
EVR NYSE Evercore Inc 14.49B 374.65 2.23 28.90 0.01
WSO.B NYSE Watsco, Inc. Class B Common Stock 15.26B 376.25 0.74 29.21 0.03
IWB AMEX iShares Russell 1000 ETF 31.67B 381.53 0.47 0.00 1.19
ELV NYSE Elevance Health Inc 84.88B 381.93 2.44 13.16 0.02
TT NYSE Trane Technologies PLC 86.00B 387.86 -0.59 30.02 0.01
WSO NYSE Watsco Inc 15.75B 388.29 0.91 30.00 0.03
GPI NYSE Group 1 Automotive Inc 4.95B 391.91 -2.66 13.87 0.01
IWV AMEX iShares Russell 3000 ETF 14.23B 394.71 0.51 0.00 1.17
MSI NYSE Motorola Solutions Inc 65.78B 394.95 0.99 32.59 0.01
MGK AMEX Vanguard Mega Cap Growth ETF 4.55B 401.78 0.99 0.00 0.42
VCR AMEX Vanguard Consumer Discretion ETF 3.63B 402.95 1.90 0.00 0.78
DPZ NYSE Domino's Pizza Inc 13.71B 405.66 1.69 24.19 0.02
ROP NASDAQ Roper Technologies Inc 43.66B 409.56 0.51 26.00 0.01
ROK NYSE Rockwell Automation Inc 46.98B 417.84 -1.76 54.73 0.01
HII NYSE Huntington Ingalls Industries Inc 16.60B 422.93 0.06 29.16 0.01
CHE NYSE Chemed Corp 6.07B 430.45 0.31 23.11 0.01
MUSA NYSE Murphy USA Inc 8.20B 437.77 2.51 18.09 0.01
LIN NASDAQ Linde PLC 208.09B 445.64 1.44 30.32 0.01
VMI NYSE Valmont Industries Inc 8.80B 446.57 0.55 38.35 0.01
WINA NASDAQ Winmark Corp 1.63B 458.25 1.18 41.03 0.01
HUBB NYSE Hubbell Inc 24.99B 470.25 -2.38 30.28 0.01
MSFT NASDAQ Microsoft Corp 3.50T 470.28 0.93 34.18 0.01
HCA NYSE HCA Healthcare Inc 107.72B 472.07 -1.46 17.86 0.01
IWF AMEX iShares Russell 1000 Growth ETF 85.78B 478.39 0.44 0.00 0.53
VUG AMEX Vanguard Growth ETF 46.49B 490.45 0.76 0.00 0.40
AMP NYSE Ameriprise Financial Inc 45.76B 492.58 -3.29 13.71 0.01
DIA AMEX SPDR Dow Jones Industrial Average ETF 26.24B 493.42 -0.18 0.00 2.22
LII NYSE Lennox International Inc 17.88B 509.68 -1.31 21.07 0.01
DE NYSE Deere & Co 139.44B 514.40 -0.13 28.06 0.01
MCO NYSE Moody's Corporation 92.29B 517.30 -4.02 41.74 0.01
CMI NYSE Cummins Inc 71.53B 518.18 -0.22 29.87 0.01
LMT NYSE Lockheed Martin Corp 120.80B 522.04 2.05 33.14 0.02
MA NYSE Mastercard Inc 472.14B 525.77 -1.13 33.27 0.01
UI NYSE Ubiquiti Inc 32.02B 529.31 -5.98 41.83 0.01
INTU NASDAQ Intuit Inc 147.56B 530.28 -2.76 37.46 0.01
SPGI NYSE S&P Global Inc 164.87B 544.48 0.47 38.30 0.01
MSCI NYSE MSCI Inc 44.61B 593.64 1.06 36.89 0.01
QQQ NASDAQ Invesco QQQ Trust, Series 1 158.18B 619.21 0.35 0.00 0.49
CAT NYSE Caterpillar Inc 293.25B 626.62 -3.37 32.82 0.01
MDY AMEX SPDR MidCap Trust Series I 32.94B 627.71 1.35 0.00 1.17
MLM NYSE Martin Marietta Materials Inc 38.19B 633.21 0.12 33.36 0.01
NOC NYSE Northrop Grumman Corp 94.11B 662.73 -1.52 23.34 0.01
IVV AMEX iShares Core S&P 500 ETF 298.66B 699.29 0.49 0.00 1.27
NEU NYSE NewMarket Corp 6.77B 720.71 1.39 13.75 0.02
EQIX NASDAQ Equinix Inc 74.42B 757.92 -0.08 74.41 0.02
VGT AMEX Vanguard Information Tech ETF 24.57B 769.90 1.25 0.00 1.28
URI NYSE United Rentals Inc 58.53B 919.82 -3.79 23.38 0.01
GS NYSE The Goldman Sachs Group Inc 292.69B 975.86 4.64 18.12 0.02
COST NASDAQ Costco Wholesale Corp 433.29B 976.17 -0.69 51.97 0.01
GWW NYSE W.W. Grainger Inc 49.21B 1,034.87 0.97 29.64 0.01
LLY NYSE Eli Lilly and Co 960.35B 1,072.99 -0.39 50.93 0.01
MPWR NASDAQ Monolithic Power Systems Inc 51.58B 1,076.67 0.17 28.10 0.01
BLK NYSE BlackRock Inc 176.71B 1,139.36 1.02 31.34 0.02
GHC NYSE Graham Holdings Co 5.09B 1,166.01 -0.53 6.97 0.01
ASML NASDAQ ASML Holding N.V. - New York Registry Shares 540.03B 1,391.31 -0.27 50.55 0.01
BKNG NASDAQ Booking Holdings Inc 164.15B 5,092.53 -1.14 33.54 0.01

Introduction

Dividend stocks are a popular investment option for those looking to generate a steady income stream from their portfolios. These stocks are issued by companies that pay out a portion of their earnings to shareholders on a regular basis. By investing in dividend stocks, investors can benefit from both the potential for share price appreciation and the opportunity to earn regular income through dividends.

Benefits of Dividend Stocks

There are several benefits to investing in dividend stocks:

1. Income Generation

Dividend stocks provide investors with a source of regular income, which can be especially beneficial for those looking to supplement their existing income or for retirees seeking a reliable cash flow.

2. Potential for Growth

Many dividend-paying companies have a long history of increasing their dividend payments over time. By investing in these stocks, investors can benefit from both the potential for share price appreciation and higher dividend payments in the future.

3. Defensive Qualities

Dividend-paying companies tend to be more established and financially stable, making them less volatile than growth stocks. This can help investors weather market downturns and provide a level of consistency to their portfolios.

Conclusion

Dividend stocks can be a valuable addition to any investment portfolio, offering income generation, potential for growth, and defensive qualities. By carefully selecting dividend-paying companies with strong fundamentals and a history of increasing dividends, investors can build a reliable income stream and set themselves up for long-term financial success.

Frequently Asked Questions

What are dividend stocks?

Dividend stocks are stocks issued by companies that pay out a portion of their earnings to shareholders on a regular basis.

How do I invest in dividend stocks?

Investing in dividend stocks can be done through a brokerage account, where you can purchase shares of individual dividend-paying companies or invest in dividend-focused mutual funds or exchange-traded funds (ETFs).

Are dividend stocks safe investments?

While dividend stocks have historically provided investors with income and potential for growth, they are not without risk. Investors should carefully research and analyze dividend-paying companies to ensure they are financially stable and have the ability to continue paying dividends in the future.