Market Cap ($1 B - $5 B)


In billions. example - 0.2 or 2 or 20.

< 500 M

1488

$500 M - $1 B

315

$1 B - $5 B

795

$5 B - $10 B

308

$10 B - $15 B

139

$15 B - $30 B

163

$30 B - $50 B

91

$50 - $100 B

91

$100 - $200 B

54

200+ B

33
Name Market Cap ($) Last Close ($) 52 Week
High - Low ($)
G III Apparel Group LTD 1.2B 26.31 35.41 - 19.3
Live Oak Bancshares Inc. 1.9B 42.95 46.56 - 26.97
STAAR Surgical Company 1.6B 32.3 52.21 - 27.67
Worthington Industries Inc 2.3B 45.59 76.85 - 34.92
Cadre Holdings Inc. 1.4B 36.09 39.47 - 25.34
Brinker International Inc 3.1B 70.2 74.44 - 28.92
Catalyst Pharmaceuticals Inc 2.1B 19.97 20.72 - 11.69
GCP Applied Technologies Inc 2.3B 31.55 0 - 0
TPG Inc. 3.9B 49.52 50.93 - 26.88
Paymentus Holdings Inc. 2.7B 22.26 24.84 - 14.25
Jamf Holding Corp. 2.4B 18.69 20.88 - 14.91
Masonite International Corporation 2.9B 131.29 131.59 - 77.73
Fox Factory Holding Corp 1.7B 40.69 110.81 - 39.26
NOW Inc 1.4B 13.03 15.43 - 9.53
Allete Inc 3.6B 63.31 64.49 - 50.39
Atkore International Group Inc. 3.5B 92.89 193.6 - 92.49
Provention Bio Inc. 2.4B 24.98 0 - 0
Instructure Holdings Inc. 3.4B 23.44 28.09 - 19.08
Winmark Corporation 1.2B 357.48 446.68 - 332.07
Soleno Therapeutics Inc 1.3B 41.77 52.35 - 3.74
International Bancshares Corporation 3.9B 62.16 67.4 - 42.13
Alignment Healthcare Inc. 1.7B 8.89 9.42 - 4.46
Alta Mesa Resources Inc 3.2B 239.31 442.48 - 202.82
Geron Corporation 2.5B 4.57 5.1 - 1.74
Berkshire Hills Bancorp Inc 1.2B 27.47 27.7 - 18.53
Interface Inc 1.1B 18.86 18.91 - 8.7
Enterprise Financial Services Corporation 2B 52.72 53.03 - 33.59
LendingClub Corporation 1.3B 12.13 12.51 - 5.01
Alteryx Inc. 3.4B 48.26 48.26 - 29.51
Mirati Therapeutics Inc 4.1B 58.7 62.38 - 31.81
Integer Holdings Corporation 4.3B 128.41 128.41 - 69.46
Celldex Therapeutics Inc 1.8B 37.71 51.88 - 22.61
The Goodyear Tire & Rubber Company 2.5B 8.68 15 - 7.69
Geo Group Inc The 1.7B 13.56 16 - 7.07
Adtalem Global Education Inc 3B 75.51 78.44 - 42.27
Progress Software Corporation 2.5B 58.24 60.88 - 48.01
Sovos Brands Inc. 2.3B 22.98 22.98 - 21.49
Insperity Inc 3.5B 93 118.71 - 90.59
Apple Hospitality REIT Inc 3.3B 14.34 17.4 - 13.87
Integra LifeSciences Holdings Corporation 2.2B 28.67 45.2 - 28.55
Kratos Defense & Security Solutions Inc 2.9B 22.58 22.77 - 14.35
ForgeRock Inc. 2B 23.22 0 - 0
Patrick Industries Inc 2.8B 128.41 133.01 - 71.59
TFS Financial Corporation 3.8B 13.47 15.2 - 11.04
Albany International Corporation 2.9B 93.14 98.91 - 78.54
Chemours Company The 2.9B 19.34 34.99 - 17.83
DISH Network Corporation 3.1B 5.77 6.82 - 3.32
NeoGenomics Inc 2.1B 16.38 20.73 - 11.66
Wolverine World Wide Inc 1.1B 13.78 14.85 - 7.24
Marathon Digital Holdings Inc. 3.8B 17.12 31.07 - 7.3
Amerco 1.4B 70.28 72.4 - 48.65
Coeur Mining Inc 2.4B 6.18 6.59 - 2
Ultragenyx Pharmaceutical Inc. 4.7B 56.98 57.77 - 31.73
LCI Industries 3B 117.92 130.2 - 99.51
Vir Biotechnology Inc. 1.1B 8.31 12.66 - 7.76
National Bank Holdings Corporation 1.6B 43.48 43.81 - 28.53
Greenbrier Companies Inc The 1.5B 48.08 55.24 - 32.61
Sinclair Broadcast Group Inc 1.1B 15.38 0 - 0
Boston Beer Company Inc 3.3B 269.69 394 - 255.72
GATX Corporation 5B 140.04 142 - 101.63
Arcosa Inc 4.4B 90.46 92.92 - 65.13
Standex International Corporation 2.1B 175.66 186.8 - 132.69
Portland General Electric Company 4.8B 47.67 48.06 - 38.89
Summit Materials Inc. 2.8B 39.79 44.58 - 30.05
Patterson Companies Inc 2.1B 22.47 32.55 - 22.47
PGT Innovations Inc. 2.4B 42 41.99 - 25.92
The Andersons Inc 1.7B 50.43 58.57 - 46.22
LiveRamp Holdings Inc 2B 30.36 41.97 - 27.36
RxSight Inc. 2B 55.43 60.36 - 20.91
Ultra Clean Holdings Inc 1.7B 37.37 47.16 - 23.23
Bank of Hawaii Corporation 2.7B 67.05 74.38 - 45.71
Cousins Properties Incorporated 4.3B 28.09 28.16 - 17.6
Prospect Capital Corporation 2B 5.01 6.25 - 4.76
Kemper Corporation 4B 62.79 64.06 - 39.2
Ladder Capital Corp 1.5B 12.2 12.19 - 9.14
Diodes Incorporated 3.2B 69.64 82.83 - 59.02
Origin Bancorp Inc. 1B 33.26 36.22 - 27.13
Celsius Holdings Inc 2.9B 37.66 205.26 - 37.66
Surgery Partners Inc. 4B 31.44 37.37 - 22.32
AAR Corp 2.3B 65.58 72.56 - 56.62
First BanCorp 3.7B 21.17 21.47 - 12.93
Xerox Corporation 1.4B 11.23 19.61 - 9.66
Sunnova Energy International Inc. 1.3B 10.73 16.05 - 3.8
Par Pacific Holdings Inc 1.3B 22.06 40.38 - 21.54
Lindsay Corporation 1.4B 123.21 134.15 - 107.04
Archrock Inc 3.1B 19.98 21.08 - 11.94
BGC Partners Inc 1.7B 4.43 0 - 0
MYR Group Inc 1.7B 99.93 179.87 - 96.13
Tandem Diabetes Care Inc 2.8B 43.12 0 - 0
Delek Logistics Partners L P 1.7B 39.46 52.31 - 37.11
TaskUs Inc. 1.3B 13.49 16.48 - 8.18
Uranium Energy Corp 2B 5.09 5.95 - 4.37
Ping Identity Holding Corp. 2.4B 28.28 0 - 0
Cinemark Holdings Inc 3.3B 27.73 28.18 - 13.36
Workiva Inc. 4.2B 79.13 112.49 - 70.19
Leggett & Platt Incorporated 1.7B 12.7 28.28 - 10.48
TriMas Corporation 1B 25.32 26.9 - 22.88
Wendy`s Company The 3.4B 16.66 20.78 - 16.36
NextDecade Corporation 1.1B 4.47 0 - 0
Flowers Foods Inc 4.8B 22.87 24.6 - 20.37
Kadant Inc 3.8B 320.97 350.86 - 214.51
SolarWinds Corporation 2.1B 12.88 13.26 - 8.88
American Equity Investment Life Holding Company 4.4B 55.88 56.32 - 52.76
United States Cellular Corporation 2.9B 55.48 59.57 - 32.55
McGrath RentCorp 2.6B 107.57 130.11 - 96.65
UFP Technologies Inc 2.6B 333.88 337.88 - 136.64
Cogent Communications Holdings Inc 3.4B 70.17 80.91 - 51.71
Vicor Corporation 1B 38.61 69 - 31.98
LGI Homes Inc 2.5B 106.85 135.66 - 85.3
Cannae Holdings Inc 1.4B 19.95 22.54 - 16.11
Hub Group Inc 1.7B 45.59 94.38 - 38.84
Safety Insurance Group Inc 1.3B 88.9 88.9 - 65.87
The Bancorp Inc 2.8B 51.7 52.25 - 31.3
Innospec Inc 2.8B 113.96 131.23 - 96.36
Stewart Information Services Corporation 2B 73.72 73.84 - 39
Oscar Health Inc. 3.9B 17.81 20.5 - 4.86
OSI Systems Inc 2.5B 148.82 154.2 - 104.27
Tidewater Inc 4.7B 88.27 105.74 - 56.19
Duck Creek Technologies Inc. 2.5B 18.99 0 - 0
Viper Energy Partners LP 2.2B 30.15 30.15 - 27.02
LegalZoom.com Inc 1.7B 9.01 0 - 0
Banner Corporation 2B 59.21 59.7 - 39.75
Livent Corporation 3B 16.5 21.67 - 12.95
Holly Energy Partners L P 2.6B 20.5 23.36 - 20.37
Progyny Inc. 2.1B 22.18 41.62 - 20.51
Virtu Financial Inc. 3B 30.88 30.89 - 16.19
Ringcentral Inc 3.2B 33.85 36.34 - 25.31
Sterling Check Corp. 1.4B 14.54 16.44 - 10.81
Herc Holdings Inc 4.1B 143.93 170.04 - 102.35
Vishay Intertechnology Inc 2.6B 20.15 27.59 - 19.61
1Life Healthcare Inc. 3.4B 16.47 0 - 0
Amicus Therapeutics Inc 3.3B 11.3 14.52 - 9.37
Otter Tail Corporation 3.5B 83.57 98.85 - 69.76
Vector Group Ltd 2.4B 15.16 15.17 - 9.84
ARMOUR Residential REIT Inc 1B 20.45 20.44 - 4.2
Kaiser Aluminum Corporation 1.2B 74.33 99.38 - 54.28
CSG Systems International Inc 1.4B 47.88 54.79 - 39.89
Urban Outfitters Inc 3.4B 36.65 47.18 - 31.38
Cathay General Bancorp 3.2B 43.67 45.44 - 32.82
Delek Logistics Partners L P 1.7B 39.46 52.31 - 37.11
NV5 Global Inc 1.5B 95.25 113.92 - 89.33
NorthWestern Corporation 3.3B 53.66 54.15 - 46.55
Biohaven Pharmaceutical Holding Company Ltd. 3.2B 39.81 61.3 - 16.92
Premier Inc 2.4B 20.2 23.15 - 18.11
Alpha and Omega Semiconductor Limited 1.1B 41.23 41.93 - 19.53
QCR Holdings Inc 1.3B 77 77.05 - 47.14
Gibraltar Industries Inc 2.1B 68.61 87.18 - 60.13
Advance Auto Parts Inc 2.7B 46.15 86.43 - 46.15
Playa Hotels & Resorts N V 1.1B 7.81 9.74 - 6.91
JELD-WEN Holding Inc. 1.2B 14.22 21.42 - 11.02
CTI BioPharma Corp 1.2B 9.09 0 - 0
Century Communities Inc. 3.2B 99.47 104.66 - 58.09
PROCEPT BioRobotics Corporation 4B 78.65 84.4 - 24.89
Tanger Factory Outlet Centers Inc 3.2B 30.16 30.42 - 21.5
U S Silica Holdings Inc 1.2B 15.45 15.53 - 10.15
World Fuel Services Corporation 1.7B 28.59 28.58 - 18.14
IDEAYA Biosciences Inc. 2.5B 39.18 47.13 - 24.59
Thermon Group Holdings Inc 1B 30.91 34.84 - 24.61
A10 Networks Inc. 1B 13.75 15.35 - 10.69
Green Brick Partners Inc 3.5B 77.75 79.77 - 38.2
Global Net Lease Inc 2B 8.56 11.41 - 6.56
Guardant Health Inc. 3.1B 25.93 39.08 - 16.08
Freshworks Inc. 3.4B 11.71 24.48 - 11.01
ICU Medical Inc 4B 164.09 164.09 - 81.08
ServisFirst Bancshares Inc. 4.4B 80.06 81.61 - 46.35
Remitly Global Inc. 2.5B 13.75 27.59 - 12.88
NetScout Systems Inc 1.5B 21.29 28.63 - 18.01
Hillenbrand Inc 2.8B 40.28 50.31 - 37.48
Evertec Inc 2.2B 34.17 42.22 - 31.76
Q2 Holdings Inc. 4.3B 73.73 74.88 - 29.13
MillerKnoll, Inc 2.1B 29.24 31.03 - 16.7
Sensient Technologies Corporation 3.2B 76.63 78.09 - 53.16
OFG Bancorp 2.1B 45.24 45.57 - 28.43
Southside Bancshares Inc 1B 33.84 35.03 - 25.55
CBTX Inc 1.7B 31.46 0 - 0
OceanFirst Financial Corp 1.1B 17.74 18.33 - 12.32
Two Harbors Investments Corp 1.4B 14.05 14.36 - 9.86
Vericel Corporation 2.5B 51.63 53.66 - 30.85
Centennial Resource Development Inc 4.7B 8.22 0 - 0
SJW Group 1.9B 58.65 69.26 - 51.72
Macerich Company The 3.4B 15.64 17.48 - 9.69
Telephone and Data Systems Inc 1.2B 23.51 23.87 - 14.03
Universal Logistics Holdings Inc 1.1B 41.91 44.32 - 21.18
Dynavax Technologies Corporation 1.5B 11.26 14.98 - 9.9
Zuora Inc. 1.3B 9.63 10.15 - 7.24
ePlus inc 2.6B 94.69 95.53 - 58.43
U S Physical Therapy Inc 1.3B 84.39 112.87 - 80.47
Safety Income & Growth Inc. 2.1B 29.79 0 - 0
Spire Inc 3.5B 65.47 66.61 - 54.75
The Vita Coco Company Inc. 1.4B 25.32 31.83 - 19.56
Seacoast Banking Corporation of Florida 2.3B 27.21 29.28 - 19.59
ManpowerGroup 3.6B 73 79.76 - 68.44
Sandy Spring Bancorp Inc 1.4B 30.94 31.41 - 19.66
Macy`s Inc 4.3B 15.58 21.53 - 10.57
Getty Realty Corporation 1.7B 31.6 31.87 - 26.09
Gulfport Energy Corporation 2.7B 144.83 161.88 - 111.15
Guess Inc 1.1B 20.51 33.3 - 18.53
CarGurus Inc. 1.4B 11.92 0 - 0
Hanesbrands Inc 2.2B 6.38 6.65 - 3.57
Ameresco Inc 1.6B 29.98 46.75 - 18.11
Harmonic Inc 1.6B 14.68 14.68 - 9.14
Primo Water Corporation 3.5B 22 22.92 - 12.98
Trustmark Corporation 1.8B 29.24 29.24 - 19.2
Pulse Biosciences Inc 1.1B 19.31 21.87 - 3.85
Mueller Water Products Inc 3.3B 21.1 21.18 - 12.21
ARCELLX Inc. 3.3B 67.52 73.49 - 31.75
Newell Brands Inc 3B 7.23 10.71 - 6.29
Steelcase Inc 1.6B 13.87 14.48 - 8.48
MGE Energy Inc 3.1B 86.65 88.65 - 62.19
Crane Co 3.3B 58.43 64.73 - 49.52
Mercury General Corporation 3.7B 66.16 66.16 - 27.68
ADMA Biologics Inc 3.9B 17.23 18.4 - 3.08
Syndax Pharmaceuticals Inc. 1.4B 20.2 24.57 - 11.39
CBIZ Inc 3.6B 71.25 78.42 - 50.13
Texas Capital Bancshares Inc 3.2B 66.53 68.41 - 53.45
Meta Financial Group Inc 1.7B 66.77 68.06 - 42.49
Collegium Pharmaceutical Inc. 1.2B 38.32 40.91 - 21.16
Lancaster Colony Corporation 4.7B 170 207.3 - 159.43
Park National Corporation 2.8B 175.02 177.5 - 157.02
American Eagle Outfitters Inc 4.1B 20.8 26.19 - 14.48
Kforce Inc 1.3B 64.13 73.41 - 56.18
M I Homes Inc 4.4B 158.23 166.64 - 75.02
Avista Corporation 2.9B 38.1 39.65 - 31.05
Sweetgreen Inc. 3B 31.62 37.91 - 8.92
Kronos Worldwide Inc 1.3B 11.41 14.39 - 6.57
Prestige Consumer Healthcare Inc 3.7B 73.98 75.15 - 56.66
Victory Capital Holdings Inc. 3.5B 53.39 54.67 - 28.85
IES Holdings Inc 3.6B 180.16 192.35 - 60.7
Sanmina Corporation 4B 69.58 75.41 - 45.24
EVO Payments Inc. 1.6B 33.99 0 - 0
StoneX Group Inc. 1.7B 81.55 101.01 - 60.6
Lyft Inc. 4.3B 11.56 20.28 - 9.06
QuinStreet Inc 1B 18.97 19.67 - 8.71
EchoStar Corporation 1.5B 18.36 20.12 - 9.68
Brighthouse Financial Inc 2.9B 45.66 54.65 - 40.82
Sealed Air Corporation 5B 34.59 40.08 - 28.59
American States Water Company 3B 80.67 85.36 - 66.58
Brookdale Senior Living Inc 1.3B 7.11 7.72 - 3.67
TPG Specialty Lending Inc 1.6B 18.31 0 - 0
Ready Capital Corporation 1.4B 8.27 11.48 - 8.2
CRA International Inc 1.2B 165.09 186.18 - 83.47
Verra Mobility Corporation 4.6B 27.43 30.13 - 17.48
Hillman Solutions Corporation 1.7B 8.8 10.67 - 6.55
Hope Bancorp Inc 1.5B 12.7 13.17 - 8.3
TRI Pointe Group Inc 4.3B 44.04 45.9 - 24.44
Wintrust Financial Corporation 1.5B 24.84 24.9 - 20.51
MannKind Corporation 1.7B 6.33 6.33 - 3.25
Integral Ad Science Holding LLC 1.8B 11.58 17.1 - 8.74
Box Inc. 4.7B 32.92 32.92 - 23.75
Hancock Whitney Corporation 4.6B 53.24 54.66 - 33
Getty Images Holdings Inc 1.5B 3.76 7.34 - 3.04
Alexander & Baldwin Inc 1.4B 19.64 19.85 - 15.62
Ormat Technologies Inc 4.5B 73.96 77.77 - 59
St Joe Company The 3.4B 58.28 61.75 - 46.19
Huntsman Corporation 3.8B 21.94 28.1 - 20.03
Rocket Pharmaceuticals Inc 1.7B 18.79 31.94 - 15.29
Federal Agricultural Mortgage Corporation 2.1B 195.26 206.28 - 141.86
frontdoor inc 3.8B 47.56 48.6 - 28.33
Haemonetics Corporation 3.8B 75.34 92.65 - 71.25
Axonics Modulation Technologies Inc. 3.5B 69.12 69.64 - 49.38
Coursera Inc. 1.2B 8.08 21.05 - 6.43
Warby Parker Inc. 1.7B 14.97 17.71 - 10.05
Globalstar Inc 2.4B 1.31 1.48 - 1.1
Spirit Aerosystems Holdings Inc 3.6B 34.52 36.25 - 14.83
Clearway Energy Inc 1.8B 28.54 29.24 - 18.77
Foot Locker Inc 2.9B 31.28 35.16 - 16.85
Papa Murphy`s Holdings Inc. 3.4B 11.71 24.48 - 11.01
Carter`s Inc 2.4B 65.99 87.95 - 58.35
TEGNA Inc 2.7B 13.75 16.52 - 12.72
Callon Petroleum Company 2.4B 35.79 40.81 - 28.73
Plains Group Holdings L P 3.7B 19.01 19.65 - 14.89
Braze Inc. 4.3B 44.96 59.73 - 34.49
Teradata Corporation 2.8B 28.29 48.98 - 24.51
Hilton Grand Vacations Inc 4.1B 38.16 48.57 - 33.42
Belite Bio Inc. 1.2B 48.01 49.99 - 29.2
Rush Enterprises Inc 2.6B 46.81 53.17 - 38.44
Addus HomeCare Corporation 2.1B 131.07 133.46 - 78.9
Tennant Company 1.8B 97.19 122.96 - 73.22
Helen of Troy Limited 1.3B 52.86 126.28 - 48.49
Stock Yards Bancorp Inc 1.8B 60.09 62.21 - 38.1
Hostess Brands Inc 4.4B 33.3 33.54 - 27.87
InterDigital Inc 3.5B 136.71 139.43 - 75.03
Penn National Gaming Inc 2.8B 18.56 26.6 - 16.13
SkyWest Inc 3.1B 75.8 81.88 - 37.24
Arch Coal Inc 2.5B 135.22 185.76 - 120.62
Qurate Retail Inc 1.4B 3.74 8.73 - 3.4
Cars com Inc 1.2B 17.84 20.7 - 15.04
Customers Bancorp Inc 1.6B 51.63 64.56 - 31.84
Scotts Miracle Gro Company The 4B 71.04 78.68 - 43.73
Pacific Premier Bancorp Inc 2.5B 25.56 29.94 - 18.53
Tootsie Roll Industries Inc 2.1B 29.6 35.21 - 28.1
Huron Consulting Group Inc 2B 107.98 112.32 - 85.91
ViaSat Inc 2B 15.8 28.89 - 12.05
Nordstrom Inc 3.6B 21.99 23.83 - 13.09
Reinsurance Group of America Incorporated 1.6B 25 0 - 0
PTC Therapeutics Inc 2.7B 35.53 41.8 - 18.07
Alexander`s Inc 1.2B 228.91 242.96 - 170.59
Triumph Group Inc 1.1B 13.86 16.93 - 7.16
Associated Banc Corp 3.4B 22.71 22.98 - 15.45
Rent A Center Inc 1.8B 33.36 37.74 - 25.27
Boot Barn Holdings Inc. 4.2B 137.45 142.5 - 68.58
Nuvalent Inc. 4.8B 84.8 88.99 - 42.08
Stepan Company 1.8B 78.67 95.83 - 63.65
Rapid7 Inc. 2.3B 37.85 61.47 - 33.06
Semtech Corporation 2.8B 43.87 43.87 - 13.43
Callaway Golf Company 4.3B 23.16 0 - 0
ZoomInfo Technologies Inc. 4.9B 12.47 18.94 - 11.8
Papa John`s International Inc 1.5B 47.11 78.1 - 41.49
Shake Shack Inc. 4B 101.41 110 - 53.54
German American Bancorp Inc 1.2B 39.94 40.18 - 25.76
Innoviva Inc 1.2B 19.11 19.29 - 12.32
Avid Technology Inc 1.2B 27.04 27.04 - 26.66
Walker & Dunlop Inc 3.6B 106.35 113.19 - 64.02
Thoughtworks Holding Inc. (Turing Holding) 1.4B 4.35 5.15 - 2.25
Black Hills Corporation 4B 58.61 59.31 - 47.92
Neogen Corporation 3.7B 17.18 23.33 - 11.61
1st Source Corporation 1.5B 60.84 63.64 - 41.05
Arrowhead Pharmaceuticals Inc 2.6B 24.09 39.48 - 21.2
Ashland Global Holdings Inc 4.6B 89.65 101.21 - 72.47
ENGAGESMART Inc. 3.9B 23.06 23.11 - 17.25
MGP Ingredients Inc 2B 90.39 119.9 - 72.4
California Water Service Group Holding 3.2B 55.06 55.16 - 43.76
Owens Illinois Inc 2B 12.79 20.29 - 10.94
Extreme Networks Inc 2B 15.79 27.45 - 10.69
Helmerich & Payne Inc 3.3B 33.18 45.96 - 32.41
Syneos Health Inc 4.5B 42.98 42.98 - 42.7
Apollo Medical Holdings Inc 2.8B 47.49 52.35 - 29.34
JetBlue Airways Corporation 1.7B 5 7.53 - 3.69
Omnicell Inc 2.1B 45.59 59.22 - 26.15
Cal Maine Foods Inc 3.5B 71.84 72.15 - 44.04
Lakeland Financial Corporation 1.7B 67.7 72.96 - 45.34
Silk Road Medical Inc. 1.1B 27.09 27.25 - 6.29
Strategic Education Inc 2.4B 96.43 115.69 - 74.67
Oxford Industries Inc 1.3B 85.87 114.71 - 83.71
BlackLine Inc. 3.1B 49.78 68.65 - 43.79
Dave & Buster`s Entertainment Inc. 1.3B 31.28 67.78 - 30.71
Agios Pharmaceuticals Inc 2.6B 45.87 48.85 - 19.97
EPR Properties 3.5B 47.12 49.03 - 39.75
Flagstar Bancorp Inc 2B 37.54 0 - 0
PAR Technology Corporation 1.5B 53.94 55.22 - 28.54
Energizer Holdings Inc 2.3B 32.55 36.14 - 27.36
Natural Resource Partners LP 1.1B 87.26 100.04 - 64.35
Fluence Energy Inc. 2.1B 18.47 27.54 - 13.47
International Seaways Inc 2.5B 50.74 65 - 40.42
Amphastar Pharmaceuticals Inc. 2.3B 48.84 63.45 - 38.63
Xenia Hotels & Resorts Inc 1.5B 14.02 15.64 - 11.26
Atlas Air Worldwide Holdings 3B 102.48 0 - 0
Bloomin Brands Inc 1.5B 17.57 29.72 - 15.36
Victoria`s Secret & Co. 1.9B 23.95 30.51 - 14.31
Community Bank System Inc 3.2B 60.87 61.71 - 37.57
Compass Diversified Holdings 1.6B 21.89 24.56 - 17.06
First Watch Restaurant Group Inc. 1B 17.09 25.46 - 14.28
EnPro Industries 3.3B 159.13 171.01 - 111.29
New Fortress Energy LLC 2.5B 12.37 39.71 - 12.15
Northwest Natural Holding Company 1.5B 40.14 41.24 - 34.95
FB Financial Corporation 2.2B 47.81 47.9 - 27.57
H B Fuller Company 4.6B 84.46 86.39 - 64.87
J & J Snack Foods Corp 3.3B 168.16 173.88 - 134.31
MFA Financial Inc 1.3B 12.34 12.34 - 8.46
Liberty Oilfield Services Inc. 3.7B 20.73 24.7 - 15.95
Energizer Holdings Inc 2B 40.48 40.66 - 34.15
Sonos Inc 1.5B 12.19 19.51 - 9.86
Werner Enterprises Inc 2.3B 36.57 43.02 - 35.24
Douglas Emmett Inc 2.7B 16.08 16.09 - 10.83
Warrior Met Coal Inc. 3.2B 61.41 72.98 - 39.61
Rambus Inc 4.7B 43.89 73.99 - 40.01
John Bean Technologies Corporation 2.9B 89.79 110.98 - 86.78
Highwoods Properties Inc 3.3B 31.66 32 - 17.54
Cohu Inc 1.3B 26.37 37.72 - 24.13
Hecla Mining Company 3.7B 5.97 6.24 - 3.36
Encore Capital Group Inc 1.2B 49.59 53.42 - 37.43
ANGI Homeservices Inc 1.3B 2.66 3 - 1.56
Urban Edge Properties 2.5B 20.9 20.9 - 14.47
Power Integrations Inc 3.8B 66.45 86.89 - 59.66
USA Compression Partners LP 2.2B 22.57 28.17 - 21.09
Calumet Specialty Products Partners L P 1.3B 16.21 19.7 - 12.91
Supernus Pharmaceuticals Inc 1.9B 34.99 35.17 - 22.72
Arlo Technologies Inc. 1.1B 12.07 15.18 - 7.92
Cushman & Wakefield plc 2.9B 12.87 13.36 - 6.51
HNI Corporation 2.5B 53.17 55 - 31.38
Retail Opportunity Investments Corp 2B 15.51 15.72 - 11.08
BrightView Holdings Inc. 1.5B 15.81 15.91 - 6.65
Peoples Bancorp Inc 1.1B 31.69 34.52 - 25.03
Brink`s Company The 4.9B 109.59 110.07 - 65.66
ScanSource Inc 1.3B 52.34 52.34 - 28.63
Goldman Sachs BDC Inc 1.5B 14.06 15.84 - 13.46
Unifirst Corporation 3.8B 189.79 194.88 - 151.39
Pitney Bowes Inc 1.2B 7.03 7.49 - 2.85
PBF Energy Inc 4.3B 33.33 62.05 - 32.72
Hannon Armstrong Sustainable Infrastructure Capital Inc 3.6B 32.39 33.29 - 14.35
Talos Energy Inc 1.5B 11.94 17.33 - 10.07
Array BioPharma Inc 1B 6.86 26.32 - 6.39
AtriCure Inc 1.2B 25.79 45.71 - 19.85
Enersys 4B 100.2 109.91 - 84.24
Itron Inc 4.6B 101.59 108.26 - 56.81
Republic Bancorp Inc 1.3B 64.52 66.16 - 42.77
Winnebago Industries Inc 1.7B 59.76 75.16 - 51.88
Bloom Energy Corporation 2.7B 11.9 16.49 - 8.58
Primoris Services Corporation 3B 55.71 56.56 - 29.15
Equity Commonwealth 2.2B 20.25 20.41 - 18.19
Golub Capital BDC Inc 2.2B 13.18 0 - 0
Arconic Inc 3B 30.02 0 - 0
UMB Financial Corporation 5B 102.78 104.03 - 58.65
The Simply Good Foods Company 3.1B 31.3 42.69 - 31.3
Silicon Laboratories Inc 3.8B 118.82 151.99 - 87.17
Arvinas Inc. 1.4B 26.05 52.31 - 14.19
Blue Bird Corporation 1.7B 52.78 57.91 - 17.79
Granite Construction Incorporated 3.2B 73.96 74.05 - 33.95
ASGN Incorporated 4.2B 87.95 104.77 - 77.74
Vista Outdoor Inc 2.3B 39.55 40.63 - 23.85
Six Flags Entertainment Corporation New 2.7B 32.63 32.63 - 18.3
Paycor HCM Inc. 2.5B 14.2 25.29 - 11.64
Central Garden & Pet Company 1.7B 32.64 44.79 - 32.54
Kennedy Wilson Holdings Inc 1.5B 11.09 16.53 - 8.03
Advanced Energy Industries Inc 4B 107.16 118.15 - 84.6
Northwest Bancshares Inc 1.8B 13.79 14.05 - 9.81
WesBanco Inc 1.9B 32.17 32.49 - 23.5
Avis Budget Group Inc 3B 82.58 213.39 - 80.65
First Busey Corporation 1.5B 26.92 27.5 - 18.42
Evolent Health Inc 3.7B 31.85 34.74 - 20.07
Franklin Electric Co Inc 4.7B 102.92 106.74 - 84
eXp World Holdings Inc 1.9B 12.26 19.47 - 9.24
CVR Energy Inc 2.5B 24.69 37.61 - 24.2
Westamerica Bancorporation 1.3B 47.2 57.21 - 42.13
Comstock Resources Inc 3B 10.75 13.31 - 7.28
Global Partners LP 1.5B 45.32 49.49 - 28.32
GMS Inc. 3.4B 85 100.25 - 57.04
iRhythm Technologies Inc. 2.2B 72.4 123.61 - 64.57
Argan Inc 1B 77.37 78.83 - 40.87
Donnelley Financial Solutions Inc 1.9B 66.08 67.48 - 47.77
FormFactor Inc 3.8B 48.74 60 - 31.39
Arcus Biosciences Inc. 1.3B 17.32 22.51 - 13.44
SITE Centers Corp 3B 14.32 14.71 - 11.09
RadNet Inc 4.4B 64.73 65.6 - 25.42
Photronics Inc 1.6B 24.91 33.84 - 18.2
M D C Holdings Inc 4.7B 62.98 62.99 - 36.89
Acushnet Holdings Corp. 4.4B 67.27 72.54 - 49.64
Perficient Inc 2.6B 75.11 75.42 - 43.63
P10 Inc. 1.2B 9.97 12.04 - 7.41
Verint Systems Inc 2B 31.8 36.17 - 18.5
Provident Financial Services Inc 1.4B 18.92 19.12 - 13.21
Easterly Government Properties Inc. 1.3B 13.25 14.13 - 10.34
Benchmark Electronics Inc 1.5B 42.64 47.9 - 23
Sally Beauty Holdings Inc 1.4B 12.81 13.81 - 7.26
MicroStrategy Incorporated 1.6B 133.05 1931.76 - 123.01
Alkami Technology Inc. 3.2B 33.48 33.83 - 16.69
WD 40 Company 3.5B 259.57 275.82 - 199.06
Cohen & Steers Inc 4.3B 87.87 88.57 - 50.6
Columbia Financial Inc 1.9B 17.68 19.76 - 13.92
ICF International Inc 3.1B 163.76 163.76 - 119.62
PC Connection Inc 1.9B 71.93 75.3 - 52.32
Mercury Systems Inc 2.2B 37.54 41 - 26.23
Cowen Inc 1.1B 38.99 0 - 0
Forestar Group Inc 1.5B 30.77 40.79 - 22.97
Franchise Group Inc. 1.1B 29.88 0 - 0
Olaplex Holdings Inc. 1.4B 2.18 2.71 - 1.29
Intellia Therapeutics Inc. 2.1B 23 38.25 - 21.3
Hilltop Holdings Inc 2.1B 32.85 35.45 - 27.13
ANI Pharmaceuticals Inc 1.5B 62.49 70.08 - 48.72
Alliance Resource Partners L P 3B 23.93 24.94 - 18.4
Novavax Inc 1.4B 11.41 21.24 - 3.76
Genworth Financial Inc 3.1B 6.91 6.91 - 5.49
Axsome Therapeutics Inc. 4.2B 89.12 97.64 - 57.42
Cvent Holding Corp 4.2B 8.52 0 - 0
Akari Therapeutics Plc 1.4B 0.19 0 - 0
The Bancorp, Inc. 2.8B 51.7 52.25 - 31.3
TTM Technologies Inc 2B 19.64 20.49 - 11.21
DXC Technology Company 4B 20.72 25.03 - 15.1
CoreCivic Inc 1.5B 13.62 16.43 - 10.1
VSE Corporation 1.5B 92.16 92.16 - 48.47
U S Silica Holdings Inc 1.2B 15.45 15.53 - 10.15
Asbury Automotive Group Inc 5B 242.33 269.06 - 184.98
Byline Bancorp Inc. 1.2B 27.5 28.06 - 18.62
Protagonist Therapeutics Inc. 2.4B 42.32 42.74 - 14.05
Virtus Investment Partners Inc 1.5B 207.42 249.85 - 170.94
Asana Inc 3.1B 14.17 23.31 - 11.8
Northern Oil and Gas Inc 4.1B 40.3 43.19 - 31.72
Gates Industrial Corporation plc 4.7B 17.84 19 - 10.76
Hawkins Inc 2.6B 124.35 125.61 - 54.52
CNO Financial Group Inc 3.9B 34.66 34.85 - 22.5
South Jersey Industries Inc 4.4B 36.11 0 - 0
Bloomin` Brands Inc 1.5B 17.57 29.72 - 15.36
Cedar Fair L P 2.7B 53.68 53.68 - 34.26
Barnes Group Inc 2.1B 40.76 41.88 - 19.86
Griffon Corporation 3.4B 65.81 74.41 - 38.39
Brady Corporation 3.6B 73.33 73.95 - 50.43
NextEra Energy Partners LP 2.4B 25.22 50.92 - 20.58
Marten Transport Ltd 1.4B 17.4 21.32 - 15.95
United Community Banks Inc 3B 25.22 30.21 - 22.02
NMI Holdings Inc 3.3B 40.42 40.42 - 26.16
Polaris Industries Inc 4.7B 83.8 113.97 - 76.72
Visteon Corporation 2.8B 101.08 144.3 - 96.27
The Cheesecake Factory Incorporated 2B 39.31 40.79 - 28.59
Amplitude Inc. 1B 8.98 14.29 - 7.57
Lumentum Holdings Inc 3.8B 56.57 58.98 - 36.07
Park Hotels & Resorts Inc 3.2B 15.1 17.78 - 11.12
Sunrun Inc. 4.4B 20.13 21.51 - 8.84
Employers Holdings Inc 1.2B 47.74 48.05 - 37.12
Travel + Leisure Co. 3.2B 43.86 48.99 - 32.52
REV Group Inc. 1.9B 31.3 31.3 - 12.81
Alarm.com Holdings Inc. 3B 59.79 75.69 - 50.38
Opko Health Inc 1.3B 1.62 1.83 - 0.87
SLM Corporation 4.9B 21.63 22.7 - 12.81
Calix Inc 2.5B 37.77 47.95 - 29.18
K12 Inc 3.5B 81.81 82.51 - 42.49
Qualys Inc 4.6B 125.64 205.89 - 122.24
Mister Car Wash Inc. 2.1B 6.53 9.29 - 4.97
UMH Properties Inc 1.3B 19.2 19.58 - 13.4
NCR Corporation 1.9B 13.77 30.76 - 10.97
Nelnet Inc 4.3B 114.98 114.98 - 82.72
MeridianLink Inc. 1.8B 22.68 25.71 - 15.79
Trupanion Inc. 2B 47.23 48.6 - 20.46
Heritage Crystal Clean Inc 1.1B 45.51 45.51 - 45.07
Instructure Inc. 3.4B 23.44 28.09 - 19.08
Sana Biotechnology Inc. 1.2B 6.1 11.27 - 2.8
Aerojet Rocketdyne Holdings Inc 4.7B 57.99 0 - 0
Global Blood Therapeutics Inc. 4.6B 67.69 0 - 0
Denali Therapeutics Inc. 3.4B 24.4 25.62 - 15.83
Dorian LPG Ltd. 1.6B 38.25 51.14 - 25.79
LTC Properties Inc 1.5B 36.45 36.63 - 30.3
Patterson UTI Energy Inc 3.9B 9.36 15.81 - 8.65
Earthstone Energy Inc 3B 21.18 22.43 - 18.34
Kosmos Energy Ltd 2.3B 5.04 8.22 - 4.58
Terex Corporation 3.8B 56.31 65.41 - 43.84
Oceaneering International Inc 2.7B 27.3 30 - 18.97
PBF Logistics LP 1.2B 19.9 0 - 0
PotlatchDeltic Corporation 3.4B 43.08 49.6 - 40.39
Suburban Propane Partners L P 1.1B 17.66 21.3 - 14.47
Viavi Solutions Inc 1.9B 8.57 10.99 - 6.8
Tenneco Inc 1.5B 17.39 0 - 0
Liberty Latin America Ltd 2B 9.43 10.6 - 6.06
Apogee Enterprises Inc 1.5B 66.38 68.71 - 41.37
Magnolia Oil & Gas Corporation 5B 25.83 27.24 - 19.59
Clearwater Analytics Holdings Inc. 4.7B 24.57 24.65 - 16.16
Sumo Logic Inc. 1.5B 12.04 0 - 0
Middlesex Water Company 1.1B 62.67 75.26 - 45.84
Arhaus Inc. 1.7B 12.32 16.28 - 8
Plains Group Holdings L P 3.7B 19.01 19.65 - 14.89
Nustar Energy L P 2.8B 22.12 24.24 - 16.54
Heska Corporation 1.3B 119.99 0 - 0
Avnet Inc 5B 54.82 55.45 - 43.95
Ziff Davis 2.2B 48.27 70.84 - 39.63
Gorman Rupp Company The 1B 38.79 41.27 - 29.52
Materion Corporation 2.4B 115.3 139.14 - 92.78
ACADIA Pharmaceuticals Inc 2.7B 16.31 31.77 - 14.63
Encore Wire Corporation 4.6B 289.77 291.24 - 163.74
Ligand Pharmaceuticals Incorporated 1.8B 105.88 109.17 - 49.57
Infinera Corporation 1.4B 6.18 6.5 - 2.87
Graham Holdings Company 3.8B 794.35 794.35 - 564.72
Alamo Group Inc 2.2B 184.57 228.06 - 158.41
Owens & Minor Inc 1.2B 15.91 27.97 - 13.74
NAPCO Security Technologies Inc 1.7B 44.94 58.04 - 18.37
Merchants Bancorp 2B 45.21 46.47 - 26.38
Powell Industries Inc 1.9B 162.61 204.7 - 72.87
AvidXchange Holdings Inc. 1.7B 8.16 13.29 - 7.57
Minerals Technologies Inc 2.5B 75.31 86.79 - 48.66
Main Street Capital Corporation 4.1B 49.12 51.18 - 37.85
Madrigal Pharmaceuticals Inc 4.9B 248.7 291.86 - 120.4
MSC Industrial Direct Company Inc 4.6B 81.54 105 - 75.83
Sabra Health Care REIT Inc 3.9B 16.84 16.83 - 12.53
WSFS Financial Corporation 3.3B 54.12 56.58 - 33.96
Axcelis Technologies Inc 3.6B 109.53 192.9 - 95
John Wiley & Sons, Inc. 2.9B 47.6 47.79 - 29.14
National Beverage Corp 4.2B 45.03 53.14 - 44.06
RPC Inc 1.4B 6.41 9.28 - 6.08
Triumph Bancorp Inc. 1.9B 83.41 90.94 - 57.05
SiTime Corporation 3.3B 147.07 147.07 - 73.44
PriceSmart Inc 2.7B 88.98 91.37 - 62.49
Ameris Bancorp 4.2B 60.6 62.06 - 35.17
Monarch Casino & Resort Inc 1.4B 75.32 78.28 - 57.99
Axos Financial Inc 4B 68.67 73 - 33.35
SMART Global Holdings Inc. 1.1B 20.5 26.91 - 13.1
Palomar Holdings Inc. 2.4B 98.58 99.03 - 48.58
Avanos Medical Inc 1.1B 24.13 24.13 - 17.64
Wayfair Inc. 4.6B 42.11 74.78 - 38.35
USA Compression Partners LP 2.2B 22.57 28.17 - 21.09
National Health Investors Inc 3.5B 80.54 80.54 - 48.61
Amedisys Inc 3.2B 97.92 98.39 - 90.43
Grand Canyon Education Inc 4.3B 143.51 156.1 - 110.76
YETI Holdings Inc. 3.5B 40.37 53.6 - 36.47
NBT Bancorp Inc 2.3B 48.96 49.14 - 30.41
Korn Ferry International 3.8B 72.57 73.6 - 44.82
Laureate Education Inc. 2.4B 15.23 15.72 - 12.51
Matson Inc 4.8B 137.88 137.88 - 84.35
Alpine Immune Sciences Inc 3.7B 64.54 64.54 - 8.54
Kaman Corporation 1.3B 46 46 - 18.1
KAR Auction Services Inc 1.9B 17.27 17.91 - 13.14
Euronet Worldwide Inc 4.9B 106.99 116.55 - 73.93
ESCO Technologies Inc 3.1B 118.34 122.96 - 95.19
Synaptics Incorporated 3.2B 80.91 119.82 - 67.5
American Woodmark Corporation 1.4B 88.6 102.31 - 65.75
Maxar Technologies Ltd 4B 52.99 0 - 0
BioCryst Pharmaceuticals Inc 1.8B 8.7 8.7 - 4.44
Renasant Corporation 1.9B 34.52 34.85 - 23.85
Columbia Sportswear Company 4.9B 80.48 87.02 - 69.95
CareDx Inc. 1.7B 30.92 33.96 - 4.9
Diamondrock Hospitality Company 1.8B 8.67 9.8 - 7.38
Yelp Inc 2.4B 34.93 48.43 - 33.17
Construction Partners Inc. 3.4B 64.8 65.34 - 33.5
Universal Corporation 1.4B 54.98 67.31 - 44.54
SEMrush Holdings Inc. 2B 13.85 15.85 - 7.61
Kilroy Realty Corporation 4.3B 36.29 42.99 - 27.42
ONE Gas Inc 3.8B 68.24 75.66 - 57.63
IPG Photonics Corporation 3.2B 69.26 110.56 - 65.71
Appian Corporation 2.4B 32.47 52.04 - 26.83
Chipotle Mexican Grill Inc 1.5B 55.71 2993.3 - 51.51
Cable One Inc 2B 361.4 663.66 - 334.35
Tronox Limited 2.2B 14 20.29 - 10.22
Tenable Holdings Inc. 4.9B 41.52 51.89 - 35.33
Udemy Inc. 1.3B 8.24 15.96 - 6.99
PagerDuty Inc. 1.8B 19.78 26.5 - 18.1
TravelCenters of America LLC 1.3B 86 0 - 0
Model N Inc 1.2B 30 30 - 21.49
Fulton Financial Corporation 3.1B 19.18 19.35 - 11.71
Agilysys Inc 2.8B 112.32 112.83 - 63.9
Seaboard Corporation 3B 3107.9 3253.9 - 3016.01
CONMED Corporation 2.3B 73.99 114.95 - 65.39
Twist Bioscience Corporation 2.6B 44.92 55.85 - 15.08
Veritiv Corporation 2.3B 170.01 170.01 - 168.06
Shoe Carnival Inc 1.1B 41.5 43.89 - 20.92
Select Medical Holdings Corporation 4.5B 35.09 35.09 - 21.5
SpringWorks Therapeutics Inc. 2.5B 39.81 52.5 - 18.94
Veritex Holdings Inc. 1.4B 25.1 25.1 - 16.85
Diamond Offshore Drilling Inc 1.5B 14.29 16.7 - 11.09
Peabody Energy Corporation 3.1B 23.41 27.15 - 21.35
Air Transport Services Group Inc 1.2B 16.31 21.62 - 11.78
Privia Health Group Inc. 2.4B 20.16 26.29 - 16.38
California Resources Corporation 2.8B 40.34 0 - 0
CTS Corporation 1.5B 48.96 54.64 - 35.84
Cavco Industries Inc 3.4B 405.1 414.28 - 248.21
Rayonier Inc 4.5B 30.66 35.2 - 25.16
Five9 Inc. 2.4B 32.92 85.47 - 31.24
Chesapeake Utilities Corporation 2.7B 117.73 119.16 - 86.77
Valley National Bancorp 4.4B 8.58 11.1 - 6.51
Navient Corporation 1.9B 16.4 19.57 - 14.16
Belden Inc 4.5B 106.85 106.9 - 62.74
MRC Global Inc 1.1B 13.12 14.49 - 9.27
PDF Solutions Inc 1.2B 31.27 36.45 - 26.4
AZZ Inc 2B 81.3 85.39 - 44.02
Horace Mann Educators Corporation 1.4B 35.27 37.69 - 28.31
New York Community Bancorp Inc 2.2B 3.02 12.31 - 2.71
NewJersey Resources Corporation 4.5B 45.65 46.92 - 39.33
PNM Resources Inc Holding Co 3.5B 40.75 44.85 - 34.73
Everi Holdings Inc 1.1B 13.04 14.98 - 6.4
PowerSchool Holdings Inc. 4.6B 22.69 24.98 - 17.42
Five Below Inc 4.3B 78.28 215.51 - 65.29
Quaker Chemical Corporation 3B 168.79 220.65 - 139.19
CNX Resources Corporation 4.4B 27.95 27.94 - 19.23
JBG SMITH Properties 1.7B 17.39 17.99 - 12.81
BancFirst Corporation 3.5B 107.31 107.57 - 80.69
Veeco Instruments Inc 2B 35.22 48.18 - 23.84
Red Rock Resorts Inc. 3.3B 57.78 62.43 - 38.13
Kohl`s Corporation 2.2B 19.77 29.36 - 17.8
Digi International Inc 1B 29.06 33.38 - 22.07
Phillips Edison & Company Inc. 4.4B 36.76 37.25 - 30.93
Heartland Financial USA Inc 2.4B 55.32 55.87 - 27.08
LeMaitre Vascular Inc 2B 88.63 91.74 - 45.37
DICE Therapeutics Inc. 2.3B 47.55 0 - 0
TG Therapeutics Inc 3.6B 23.5 25.19 - 6.68
CVB Financial Corporation 2.6B 18.31 21.31 - 14.98
Newmark Group Inc. 2.3B 13.54 13.77 - 5.26
CinCor Pharma Inc. 1.3B 29.06 0 - 0
Ardelyx Inc. 1.4B 6.13 9.74 - 3.29
Liberty Latin America Ltd 2B 9.41 10.5 - 5.98
Dorman Products Inc 3.5B 111.65 112.62 - 62.18
Uniti Group Inc 1.1B 4.41 6.56 - 3.03
CIRCOR International Inc 1.1B 56 55.99 - 52.88
Xencor Inc 1.1B 17.31 26.52 - 15.69
New Mountain Finance Corporation 1.2B 12.25 13.21 - 11.95
Kennametal Inc 2.1B 25.76 26.87 - 22.42
Rush Enterprises Inc 2.9B 52.85 54.85 - 34.91
AMN Healthcare Services Inc 2B 52.98 88.38 - 50.62
Plymouth Industrial REIT Inc. 1.1B 23.7 25.45 - 19.37
Gentherm Inc 1.7B 50.67 60.4 - 39.2
nCino Inc. 3.4B 30.19 37.41 - 27.58
BankUnited Inc 2.8B 38.12 38.66 - 21.25
Paramount Group Inc. 1.1B 4.95 5.74 - 4.26
Apartment Investment and Management Company 1.4B 9.36 9.35 - 5.68
Hess Midstream Partners LP 2.5B 36.63 37.54 - 27.95
City Holding Company 1.7B 117.77 123.81 - 87.43
Helix Energy Solutions Group Inc 1.7B 11.45 11.87 - 8.82
Arlington Asset Investment Corp 2.5B 23.21 36.98 - 20.5
Sonic Automotive Inc 1.9B 54.22 59.52 - 41.83
Goosehead Insurance Inc. 1.8B 85.11 91.79 - 55.33
Everbridge Inc. 1.4B 34.7 35.59 - 19.34
CareTrust REIT Inc 3.5B 29.68 29.79 - 19.93
Delek US Holdings Inc 1.3B 19.86 33.38 - 19.69
Teladoc Health Inc. 1.2B 7.13 22.97 - 6.85
Aspen Aerogels Inc. 2B 29.02 32.01 - 5.97
Myriad Genetics Inc 2.3B 28.31 28.31 - 13.91
First Interstate BancSystem Inc 3.2B 30.69 32.14 - 21.68
OUTFRONT Media Inc 2.8B 17 17 - 8.37
Brigham Minerals Inc. 1.7B 32.38 0 - 0
Imago BioSciences Inc. 1.2B 36.01 0 - 0
Barings BDC Inc 1.1B 10.03 10.17 - 8.57
Arcutis Biotherapeutics Inc. 1B 10.97 12.55 - 1.84
ChemoCentryx Inc 3.7B 51.8 0 - 0
National HealthCare Corporation 2.1B 136.02 136.32 - 118.05
Meridian Bioscience Inc 1.5B 33.97 0 - 0
The Chefs` Warehouse Inc 1.7B 42.51 42.51 - 17.83
Hawaiian Electric Industries Inc 1.2B 10.95 16.81 - 9.02
Dutch Bros Inc. 1.7B 30.33 42.12 - 22.8
RPT Realty 1.1B 12.85 13.65 - 9.87
Joby Aviation, Inc 3.6B 5.15 7.46 - 4.53
Dime Community Bancshares Inc 1B 25.76 27.61 - 17.5
Independent Bank Corp 2.8B 62.98 67.82 - 45.44
Sunstone Hotel Investors Inc 2.1B 10.35 11.39 - 8.86
Apollo Commercial Real Estate Finance 1.4B 9.93 12.66 - 9.29
Enova International Inc 2.5B 84.51 86.52 - 36.18
Life Time Group Holdings Inc. 4.6B 23.5 24.87 - 11.26
Rhythm Pharmaceuticals Inc. 2.7B 46.02 52.44 - 21.39
Kura Oncology Inc. 1.5B 20.53 23.53 - 7.58
Inter Parfums Inc 4B 126.15 155.12 - 109.63
Weis Markets Inc 1.8B 66.7 75.99 - 59.37
Riot Platforms Inc 1.6B 7.71 18.62 - 7.62
Bain Capital Specialty Finance Inc 1.1B 16.96 16.96 - 14.68
NuVasive Inc 2.1B 39.75 39.75 - 39.75
ArcBest Corporation 2.5B 104.63 151.51 - 87.99
Independent Bank Group Inc 2.4B 58.19 59.15 - 34.8
Century Aluminum Company 1.3B 14.49 19.21 - 5.79
First Commonwealth Financial Corporation 1.4B 13.62 15.82 - 11.54
Trinity Industries Inc 2.7B 32.87 36.48 - 20.11
SL Green Realty Corp 4.3B 66.7 67.21 - 29.27
Treehouse Foods Inc 2.2B 40.53 47.82 - 35.05
Alaska Air Group Inc 4.6B 35.8 45.02 - 31.08
Buckle Inc The 2.1B 41.83 48.05 - 30.68
First Merchants Corporation 2.3B 38.95 40.36 - 26.22
Iovance Biotherapeutics Inc 2.9B 11.38 17.47 - 3.3
Knowles Corporation 1.7B 18.49 18.49 - 12.98
Office Depot Inc 1.1B 30.07 58.55 - 24.6
Ingevity Corporation 1.4B 39.47 54.63 - 34.54
Central Garden & Pet Company 2.1B 39.55 50.85 - 37.61
Plug Power Inc 1.2B 1.96 8.73 - 1.94
Artisan Partners Asset Management Inc 2.6B 41.34 46.75 - 32.23
Rogers Corporation 2B 107.54 146.23 - 102
Schneider National Inc. 4.8B 26.75 29.16 - 20.65
SeaWorld Entertainment Inc 3.1B 49.25 58.26 - 41.15
CNX Resources Corporation 3.2B 101.69 113.1 - 76.29
Crestwood Equity Partners LP 3B 28.23 29.51 - 27.08
Genesis Energy L P 1.2B 13.86 14.23 - 9.9
CymaBay Therapeutics Inc 3.7B 32.48 32.48 - 12.63
Shutterstock Inc 1.3B 35.32 51.77 - 32.87
Redfin Corporation 1.1B 9.52 11.72 - 4.66
Membership Collective Group Inc. 1.2B 6.22 8.21 - 4.48
Sabre Corporation 1.2B 3.07 5.37 - 1.9
Simmons First National Corporation 2.6B 21.12 21.55 - 14.1
BioLife Solutions Inc 1.1B 25.92 26.5 - 8.99
Corcept Therapeutics Incorporated 3.6B 35.14 38.51 - 21.1
Iridium Communications Inc 3.2B 25.89 50.78 - 24.66
La Z Boy Incorporated 1.7B 40.07 44.13 - 28.23
Veracyte Inc 2.3B 31.93 32.87 - 18.86
ABM Industries Incorporated 3.5B 56.25 56.25 - 38.72
Steven Madden Ltd 3.3B 44.54 45.34 - 30.84
Resideo Technologies Inc 2.9B 19.91 23 - 14.3
H&E Equipment Services Inc 1.7B 47.79 65.61 - 39.16
Crinetics Pharmaceuticals Inc. 3.5B 52.68 54.47 - 15.97
NextGen Healthcare Inc 1.6B 23.94 23.94 - 18.21
ProFrac Holding Corp. 2.7B 17.04 0 - 0
Caleres Inc 1.5B 42.73 44.01 - 25.18
Plexus Corp 3.5B 127.64 128.34 - 87.46
Deciphera Pharmaceuticals Inc. 1.2B 14.69 17.36 - 10.11
Umpqua Holdings Corporation 3.8B 17.66 0 - 0
PJT Partners Inc 3B 122.91 132.93 - 71.71
Dorchester Minerals L P 1.2B 30.66 35.49 - 27.5
Ambarella Inc 2.4B 59.29 64.07 - 39.81
First Financial Bancorp 2.5B 26.52 27.39 - 17.37
Certara Inc. 2B 12.3 19.45 - 11.9
TriCo Bancshares 1.5B 45.23 46.56 - 30.23
AllianceBernstein Holding L P 3.8B 34.31 35.44 - 26.08
MaxLinear Inc 1.1B 13.78 24.92 - 11
Upwork Inc. 1.3B 9.62 15.66 - 9
Western Union Company The 4.4B 12.11 14.08 - 10.97
Apellis Pharmaceuticals Inc 4.6B 38.69 72.47 - 33.64
Academy Sports + Outdoors Inc. 4.1B 55.3 75.16 - 43.25
Under Armour Inc 3.4B 7.48 8.9 - 5.97
Under Armour Inc 3.5B 7.76 9.39 - 6.37
Marriot Vacations Worldwide Corporation 2.6B 73.46 110.68 - 68.57
EverCommerce Inc. 2B 10.74 12.04 - 7.88
Marcus & Millichap Inc 1.5B 39.02 44.13 - 27.23
Tutor Perini Corporation 1.2B 23.16 24.9 - 6.95
Sterling Construction Company Inc 3.7B 119.02 119.02 - 62.55
Envestnet Inc 3.4B 62.58 67.9 - 33.53
First Hawaiian Inc. 3.1B 24.35 25.03 - 17.26
Innovative Industrial Properties Inc. 3.5B 123.88 125.45 - 69.98
Hercules Capital Inc 2.9B 18.9 21.57 - 15.09
Dana Incorporated 1.6B 11.17 16.43 - 10.14
BridgeBio Pharma Inc. 4.3B 24.61 43.89 - 23
First Bancorp 1.7B 42 42.96 - 26.48
Blackbaud Inc 4.5B 83.45 87.75 - 65.3
Washington Federal Inc 2.4B 36.62 36.87 - 24.17
S&T Bancorp Inc 1.6B 42.7 44.43 - 24.99
Hibbett Sports Inc 1B 87.24 87.24 - 42.22
Moneygram International Inc 1.1B 10.99 0 - 0
Hyster Yale Materials Handling Inc 1.1B 62.29 82.02 - 38.85
Impinj Inc. 4.5B 166.51 166.51 - 49.23