ETF constituents for VFLQ

Below, a list of constituents for VFLQ (Vanguard U.S. Liquidity Factor ETF) is shown. In total, VFLQ consists of 757 securities.

Note: The data shown here is as of date 2021-12-31T00:00:00-05:00 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

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longName sharesHeld marketValue ticker isin percentWeight
Marsh & McLennan Cos. Inc. 3804 661211 MMC US5717481023 1.22
Illinois Tool Works Inc. 2654 655007 ITW US4523081093 1.21
Amphenol Corp. Class A 7407 647816 APH US0320951017 1.20
Edwards Lifesciences Corp. 4994 646973 EW US28176E1082 1.19
Waste Management Inc. 3653 609686 WM US94106L1098 1.13
Moody's Corp. 1409 550327 MCO US6153691059 1.02
Zoetis Inc. 2099 512219 ZTS US98978V1035 0.95
Synopsys Inc. 1294 476839 SNPS US8716071076 0.88
Ecolab Inc. 1908 447598 ECL US2788651006 0.83
Eaton Corp. plc 2587 447085 ETN IE00B8KQN827 0.83
HCA Healthcare Inc. 1650 423918 HCA US40412C1018 0.78
T. Rowe Price Group Inc. 2154 423563 TROW US74144T1088 0.78
IDEXX Laboratories Inc. 639 420756 IDXX US45168D1046 0.78
General Dynamics Corp. 2015 420067 GD US3695501086 0.78
IQVIA Holdings Inc. 1486 419260 IQV US46266C1053 0.77
Roper Technologies Inc. 804 395455 ROP US7766961061 0.73
Stryker Corp. 1476 394712 SYK US8636671013 0.73
Agilent Technologies Inc. 2429 387790 A US00846U1016 0.72
MSCI Inc. Class A 594 363938 MSCI US55354G1004 0.67
Cadence Design Systems Inc. 1936 360774 CDNS US1273871087 0.67
Capital One Financial Corp. 2484 360404 COF US14040H1059 0.67
Emerson Electric Co. 3866 359422 EMR US2910111044 0.66
Chubb Ltd. 1652 319348 CB CH0044328745 0.59
Truist Financial Corp. 5435 318219 TFC US89832Q1094 0.59
Intercontinental Exchange Inc. 2188 299253 ICE US45866F1049 0.55
Progressive Corp. 2759 283211 PGR US7433151039 0.52
Air Products & Chemicals Inc. 892 271400 APD US0091581068 0.50
Flowers Foods Inc. 9610 263987 FLO US3434981011 0.49
Accenture plc Class A 613 254119 ACN IE00B4BNMY34 0.47
HEICO Corp. Class A 1966 252670 HEI.A US4228062083 0.47
Bank of New York Mellon Corp. 4312 250441 BK US0640581007 0.46
Blackstone Group LP 1875 242606 BX US09260D1072 0.45
Ross Stores Inc. 2103 240331 ROST US7782961038 0.44
Trane Technologies plc 1158 233951 TT IE00BK9ZQ967 0.43
Dow Inc. 3945 223760 DOW US2605571031 0.41
Automatic Data Processing Inc. 806 198743 ADP US0530151036 0.37
Cognizant Technology Solutions Corp. Class A 2202 195361 CTSH US1924461023 0.36
US Bancorp 3368 189181 USB US9029733048 0.35
Balchem Corp. 1100 185460 BCPC US0576652004 0.34
Brown-Forman Corp. Class A 2698 182897 BF.A US1156371007 0.34
BlackRock Inc. 196 179450 BLK US09247X1019 0.33
Baxter International Inc. 2045 175543 BAX US0718131099 0.32
Exponent Inc. 1492 174161 EXPO US30214U1025 0.32
Deere & Co. 504 172817 DE US2441991054 0.32
PNC Financial Services Group Inc. 860 172447 PNC US6934751057 0.32
CME Group Inc. 744 169974 CME US12572Q1058 0.31
Erie Indemnity Co. Class A 882 169926 ERIE US29530P1021 0.31
Prosperity Bancshares Inc. 2345 169544 PB US7436061052 0.31
Axis Capital Holdings Ltd. 3095 168585 AXS BMG0692U1099 0.31
Johnson Controls International plc 2065 167905 JCI IE00BY7QL619 0.31
Helios Technologies Inc. 1567 164801 HLIO US42328H1095 0.30
Liberty Media Corp-Liberty SiriusXM Class C 3155 160432 LSXMK US5312296073 0.30
Aon plc Class A 529 158996 AON IE00BLP1HW54 0.29
Colgate-Palmolive Co. 1839 156940 CL US1941621039 0.29
Liberty Broadband Corp. Class A 967 155590 LBRDA US5303071071 0.29
Kronos Worldwide Inc. 10276 154243 KRO US50105F1057 0.28
Darling Ingredients Inc. 2223 154032 DAR US2372661015 0.28
AMERCO 212 153961 UHAL US0235861004 0.28
TE Connectivity Ltd. 942 151982 TEL CH0102993182 0.28
Primerica Inc. 989 151584 PRI US74164M1080 0.28
Brown & Brown Inc. 2150 151102 BRO US1152361010 0.28
First Citizens BancShares Inc./NC Class A 179 148541 FCNCA US31946M1036 0.27
Philip Morris International Inc. 1549 147155 PM US7181721090 0.27
nVent Electric plc 3841 145958 NVT IE00BDVJJQ56 0.27
Customers Bancorp Inc. 2214 144729 CUBI US23204G1004 0.27
Cross Country Healthcare Inc. 5148 142908 CCRN US2274831047 0.26
Ensign Group Inc. 1697 142480 ENSG US29358P1012 0.26
Donnelley Financial Solutions Inc. 2937 138450 DFIN US25787G1004 0.26
Regal Beloit Corp. 812 138186 RRX US7587501039 0.26
Golden Entertainment Inc. 2713 137088 GDEN US3810131017 0.25
ASGN Inc. 1110 136974 ASGN US00191U1025 0.25
Morningstar Inc. 400 136796 MORN US6177001095 0.25
Curtiss-Wright Corp. 978 135619 CW US2315611010 0.25
Neogen Corp. 2980 135322 NEOG US6404911066 0.25
South State Corp. 1681 134665 SSB US8404411097 0.25
MetLife Inc. 2153 134541 MET US59156R1086 0.25
S&P Global Inc. 282 133084 SPGI US78409V1044 0.25
RLI Corp. 1182 132502 RLI US7496071074 0.24
Southern Copper Corp. 2145 132368 SCCO US84265V1052 0.24
Novanta Inc. 750 132248 NOVT CA67000B1040 0.24
East West Bancorp Inc. 1647 129586 EWBC US27579R1041 0.24
Premier Inc. Class A 3127 128739 PINC US74051N1028 0.24
American International Group Inc. 2223 126400 AIG US0268747849 0.23
Bio-Techne Corp. 243 125714 TECH US09073M1045 0.23
Norfolk Southern Corp. 419 124740 NSC US6558441084 0.23
Newmark Group Inc. Class A 6612 123644 NMRK US65158N1028 0.23
Donaldson Co. Inc. 2080 123261 DCI US2576511099 0.23
National Instruments Corp. 2814 122887 NATI US6365181022 0.23
Veeva Systems Inc. Class A 479 122375 VEEV US9224751084 0.23
Linde plc 351 121597 LIN IE00BZ12WP82 0.22
ArcBest Corp. 1014 121528 ARCB US03937C1053 0.22
Pool Corp. 212 119992 POOL US73278L1052 0.22
Stifel Financial Corp. 1702 119855 SF US8606301021 0.22
MSA Safety Inc. 791 119409 MSA US5534981064 0.22
Tetra Tech Inc. 702 119200 TTEK US88162G1031 0.22
Sonoco Products Co. 2047 118501 SON US8354951027 0.22
frontdoor Inc. 3203 117390 FTDR US35905A1097 0.22
ACI Worldwide Inc. 3379 117251 ACIW US0044981019 0.22
Aptiv plc 698 115135 APTV JE00B783TY65 0.21
Universal Insurance Holdings Inc. 6664 113288 UVE US91359V1070 0.21
Liberty Media Corp-Liberty Formula One 1788 113073 FWONK US5312298541 0.21
Pinnacle Financial Partners Inc. 1184 113072 PNFP US72346Q1040 0.21
Hanmi Financial Corp. 4715 111651 HAFC US4104952043 0.21
Glacier Bancorp Inc. 1958 111019 GBCI US37637Q1058 0.21
Paylocity Holding Corp. 465 109814 PCTY US70438V1061 0.20
Crinetics Pharmaceuticals Inc. 3859 109634 CRNX US22663K1079 0.20
UFP Industries Inc. 1187 109216 UFPI US90278Q1085 0.20
Cornerstone Building Brands Inc. 6196 108058 CNR US21925D1090 0.20
Selective Insurance Group Inc. 1297 106276 SIGI US8163001071 0.20
Bruker Corp. 1265 106146 BRKR US1167941087 0.20
Stericycle Inc. 1775 105861 SRCL US8589121081 0.20
Nordson Corp. 413 105427 NDSN US6556631025 0.19
Littelfuse Inc. 335 105418 LFUS US5370081045 0.19
Popular Inc. 1265 103781 BPOP PR7331747001 0.19
Carriage Services Inc. Class A 1605 103426 CSV US1439051079 0.19
ConnectOne Bancorp Inc. 3153 103135 CNOB US20786W1071 0.19
Manhattan Associates Inc. 663 103090 MANH US5627501092 0.19
MYR Group Inc. 929 102701 MYRG US55405W1045 0.19
Lincoln Electric Holdings Inc. 734 102371 LECO US5339001068 0.19
AngioDynamics Inc. 3698 101991 ANGO US03475V1017 0.19
RBC Bearings Inc. 504 101793 ROLL US75524B1044 0.19
First Financial Bankshares Inc. 1991 101222 FFIN US32020R1095 0.19
National HealthCare Corp. 1474 100144 NHC US6359061008 0.18
Berkshire Hills Bancorp Inc. 3500 99505 BHLB US0846801076 0.18
Integra LifeSciences Holdings Corp. 1483 99346 IART US4579852082 0.18
United Bankshares Inc./WV 2731 99081 UBSI US9099071071 0.18
Cushman & Wakefield plc 4444 98835 CWK GB00BFZ4N465 0.18
Live Oak Bancshares Inc. 1130 98638 LOB US53803X1054 0.18
Air Lease Corp. Class A 2214 97925 AL US00912X3026 0.18
Kemper Corp. 1648 96886 KMPR US4884011002 0.18
Resources Connection Inc. 5418 96657 RGP US76122Q1058 0.18
Syneos Health Inc. 941 96622 SYNH US87166B1026 0.18
Pilgrim's Pride Corp. 3426 96613 PPC US72147K1088 0.18
Apogee Enterprises Inc. 1969 94807 APOG US0375981091 0.18
AECOM 1224 94676 ACM US00766T1007 0.17
AdvanSix Inc. 2001 94547 ASIX US00773T1016 0.17
Catalent Inc. 738 94486 CTLT US1488061029 0.17
Churchill Downs Inc. 391 94192 CHDN US1714841087 0.17
Acadia Healthcare Co. Inc. 1537 93296 ACHC US00404A1097 0.17
Commerce Bancshares Inc./MO 1357 93280 CBSH US2005251036 0.17
EPAM Systems Inc. 139 92915 EPAM US29414B1044 0.17
Movado Group Inc. 2212 92528 MOV US6245801062 0.17
Quotient Ltd. 35717 92507 QTNT JE00BLG2ZQ72 0.17
Timken Co. 1335 92502 TKR US8873891043 0.17
Dolby Laboratories Inc. Class A 971 92459 DLB US25659T1079 0.17
Denali Therapeutics Inc. 2071 92367 DNLI US24823R1059 0.17
John Bean Technologies Corp. 599 91982 JBT US4778391049 0.17
Kimberly-Clark Corp. 643 91898 KMB US4943681035 0.17
Choice Hotels International Inc. 583 90942 CHH US1699051066 0.17
Graco Inc. 1127 90859 GGG US3841091040 0.17
Triumph Bancorp Inc. 759 90382 TBK US89679E3009 0.17
St. Joe Co. 1732 90151 JOE US7901481009 0.17
CorVel Corp. 431 89648 CRVL US2210061097 0.17
Valvoline Inc. 2403 89608 VVV US92047W1018 0.17
Liberty Latin America Ltd. Class A 7641 89094 LILA BMG9001E1021 0.16
Chemed Corp. 168 88879 CHE US16359R1032 0.16
Pegasystems Inc. 792 88561 PEGA US7055731035 0.16
United Fire Group Inc. 3797 88052 UFCS US9103401082 0.16
Premier Financial Corp. 2847 88001 PFC US74052F1084 0.16
L3Harris Technologies Inc. 412 87855 LHX US5024311095 0.16
BlueLinx Holdings Inc. 916 87716 BXC US09624H2085 0.16
Crane Co. 859 87386 CR US2243991054 0.16
Covenant Transportation Group Inc. Class A 3304 87325 CVLG US22284P1057 0.16
Weis Markets Inc. 1325 87291 WMK US9488491047 0.16
Trimble Inc. 989 86231 TRMB US8962391004 0.16
Douglas Dynamics Inc. 2192 85620 PLOW US25960R1059 0.16
Monolithic Power Systems Inc. 173 85346 MPWR US6098391054 0.16
Reliance Steel & Aluminum Co. 526 85328 RS US7595091023 0.16
Aligos Therapeutics Inc. 7181 85238 ALGS US01626L1052 0.16
Axcelis Technologies Inc. 1136 84700 ACLS US0545402085 0.16
Valley National Bancorp 6143 84466 VLY US9197941076 0.16
WideOpenWest Inc. 3888 83670 WOW US96758W1018 0.15
Charles River Laboratories International Inc. 221 83268 CRL US1598641074 0.15
Analog Devices Inc. 473 83139 ADI US0326541051 0.15
Northrop Grumman Corp. 213 82446 NOC US6668071029 0.15
Textainer Group Holdings Ltd. 2294 81919 TGH BMG8766E1093 0.15
Clearfield Inc. 963 81296 CLFD US18482P1030 0.15
Science Applications International Corp. 971 81166 SAIC US8086251076 0.15
Houghton Mifflin Harcourt Co. 5038 81112 HMHC US44157R1095 0.15
Keurig Dr Pepper Inc. 2193 80834 KDP US49271V1008 0.15
BWX Technologies Inc. 1675 80199 BWXT US05605H1005 0.15
Hanger Inc. 4415 80044 HNGR US41043F2083 0.15
Enstar Group Ltd. 323 79972 ESGR BMG3075P1014 0.15
Becton Dickinson and Co. 313 78713 BDX US0758871091 0.15
Seaboard Corp. 20 78700 SEB US8115431079 0.15
TTEC Holdings Inc. 869 78688 TTEC US89854H1023 0.15
Trustmark Corp. 2424 78683 TRMK US8984021027 0.15
Hanover Insurance Group Inc. 595 77981 THG US4108671052 0.14
New Fortress Energy LLC 3214 77586 NFE US6443931000 0.14
MAXIMUS Inc. 973 77519 MMS US5779331041 0.14
Globant SA 243 76324 GLOB LU0974299876 0.14
Franchise Group Inc. 1456 75945 FRG US35180X1054 0.14
Select Energy Services Inc. Class A 12094 75346 WTTR US81617J3014 0.14
Heritage Financial Corp./WA 3071 75055 HFWA US42722X1063 0.14
CDK Global Inc. 1794 74882 CDK US12508E1010 0.14
Napco Security Technologies Inc. 1494 74670 NSSC US6304021057 0.14
Avient Corp. 1334 74637 AVNT US05368V1061 0.14
B. Riley Financial Inc. 839 74554 RILY US05580M1080 0.14
AGCO Corp. 642 74485 AGCO US0010841023 0.14
FutureFuel Corp. 9610 73420 FF US36116M1062 0.14
Lazard Ltd. Class A 1680 73298 LAZ BMG540501027 0.14
Clarivate plc 3105 73030 CLVT JE00BJJN4441 0.13
EMCOR Group Inc. 573 72994 EME US29084Q1004 0.13
Encore Wire Corp. 510 72981 WIRE US2925621052 0.13
Option Care Health Inc. 2559 72778 OPCH US68404L2016 0.13
Cohu Inc. 1910 72752 COHU US1925761066 0.13
American Software Inc./GA Class A 2779 72726 AMSWA US0296831094 0.13
Simpson Manufacturing Co. Inc. 521 72455 SSD US8290731053 0.13
United States Cellular Corp. 2290 72181 USM US9116841084 0.13
Old Republic International Corp. 2931 72044 ORI US6802231042 0.13
Taysha Gene Therapies Inc. 6177 71962 TSHA US8776191061 0.13
Harmonic Inc. 6088 71595 HLIT US4131601027 0.13
Fox Corp. Class B 2074 71076 FOX US35137L2043 0.13
Iridium Communications Inc. 1719 70978 IRDM US46269C1027 0.13
Acutus Medical Inc. 20801 70931 AFIB US0051111096 0.13
Pliant Therapeutics Inc. 5241 70754 PLRX US7291391057 0.13
Nicolet Bankshares Inc. 824 70658 NCBS US65406E1029 0.13
Univest Financial Corp. 2347 70222 UVSP US9152711001 0.13
Ducommun Inc. 1500 70155 DCO US2641471097 0.13
Agilysys Inc. 1577 70113 AGYS US00847J1051 0.13
Teledyne Technologies Inc. 160 69902 TDY US8793601050 0.13
CONSOL Energy Inc. 3049 69243 CEIX US20854L1089 0.13
Vera Bradley Inc. 8103 68957 VRA US92335C1062 0.13
A10 Networks Inc. 4155 68890 ATEN US0021211018 0.13
Globus Medical Inc. 952 68734 GMED US3795772082 0.13
Oak Street Health Inc. 2073 68699 OSH US67181A1079 0.13
MaxLinear Inc. 908 68454 MXL US57776J1007 0.13
Herc Holdings Inc. 437 68412 HRI US42704L1044 0.13
CureVac NV 1977 67831 CVAC NL0015436031 0.13
Haverty Furniture Cos. Inc. 2214 67682 HVT US4195961010 0.12
MKS Instruments Inc. 384 66881 MKSI US55306N1046 0.12
Glatfelter Corp. 3885 66822 GLT US3773201062 0.12
Provident Financial Services Inc. 2757 66775 PFS US74386T1051 0.12
Tucows Inc. Class A 795 66637 TCX US8986972060 0.12
Boston Scientific Corp. 1560 66269 BSX US1011371077 0.12
Avid Technology Inc. 2033 66215 AVID US05367P1003 0.12
Synovus Financial Corp. 1373 65726 SNV US87161C5013 0.12
RadNet Inc. 2177 65549 RDNT US7504911022 0.12
Genuine Parts Co. 465 65193 GPC US3724601055 0.12
BOK Financial Corp. 616 64982 BOKF US05561Q2012 0.12
Berry Petroleum Corp. 7669 64573 BRY US08579X1019 0.12
Janus Henderson Group plc 1538 64504 JHG JE00BYPZJM29 0.12
MeiraGTx Holdings plc 2715 64454 MGTX KYG596651029 0.12
Daseke Inc. 6362 63874 DSKE US23753F1075 0.12
Washington Trust Bancorp Inc. 1133 63867 WASH US9406101082 0.12
Liberty Broadband Corp. 395 63635 LBRDK US5303073051 0.12
Dril-Quip Inc. 3205 63074 DRQ US2620371045 0.12
ITT Inc. 616 62949 ITT US45073V1089 0.12
Gates Industrial Corp. plc 3945 62765 GTES GB00BD9G2S12 0.12
Grid Dynamics Holdings Inc. 1651 62688 GDYN US39813G1094 0.12
SYNNEX Corp. 544 62212 SNX US87162W1009 0.11
Western Alliance Bancorp 576 62006 WAL US9576381092 0.11
Penske Automotive Group Inc. 577 61866 PAG US70959W1036 0.11
Vivint Smart Home Inc. 6307 61682 VVNT US9285421098 0.11
Ultragenyx Pharmaceutical Inc. 730 61386 RARE US90400D1081 0.11
First Financial Bancorp 2517 61364 FFBC US3202091092 0.11
Alarm.com Holdings Inc. 723 61318 ALRM US0116421050 0.11
First American Financial Corp. 782 61176 FAF US31847R1023 0.11
Inhibrx Inc. 1395 60920 INBX US45720L1070 0.11
Digimarc Corp. 1542 60878 DMRC US25381B1017 0.11
TrustCo Bank Corp. NY 1818 60558 TRST US8983492047 0.11
Markel Corp. 49 60466 MKL US5705351048 0.11
AerCap Holdings NV 923 60383 AER NL0000687663 0.11
ViacomCBS Inc. Class A 1808 60333 VIACA US92556H1077 0.11
Globe Life Inc. 643 60262 GL US37959E1029 0.11
Liberty Oilfield Services Inc. Class A 6171 59859 LBRT US53115L1044 0.11
Sterling Construction Co. Inc. 2270 59701 STRL US8592411016 0.11
TFS Financial Corp. 3337 59632 TFSL US87240R1077 0.11
Accelerate Diagnostics Inc. 11323 59106 AXDX US00430H1023 0.11
Morphic Holding Inc. 1247 59083 MORF US61775R1059 0.11
Stoke Therapeutics Inc. 2462 59063 STOK US86150R1077 0.11
Winmark Corp. 237 58845 WINA US9742501029 0.11
QCR Holdings Inc. 1047 58632 QCRH US74727A1043 0.11
CSW Industrials Inc. 484 58496 CSWI US1264021064 0.11
Hope Bancorp Inc. 3976 58487 HOPE US43940T1097 0.11
SLM Corp. 2955 58125 SLM US78442P1066 0.11
Acushnet Holdings Corp. 1095 58123 GOLF US0050981085 0.11
Valmont Industries Inc. 232 58116 VMI US9202531011 0.11
Ryerson Holding Corp. 2225 57961 RYI US7837541041 0.11
Black Knight Inc. 699 57940 BKI US09215C1053 0.11
Chase Corp. 579 57645 CCF US16150R1041 0.11
ServisFirst Bancshares Inc. 678 57589 SFBS US81768T1088 0.11
Computer Programs & Systems Inc. 1965 57575 CPSI US2053061030 0.11
Johnson Outdoors Inc. Class A 612 57338 JOUT US4791671088 0.11
Clean Harbors Inc. 573 57168 CLH US1844961078 0.11
Willdan Group Inc. 1619 56989 WLDN US96924N1000 0.11
RPC Inc. 12545 56954 RES US7496601060 0.11
Frank's International NV 3967 56926 XPRO NL0010556684 0.11
Essent Group Ltd. 1250 56913 ESNT BMG3198U1027 0.11
Pactiv Evergreen Inc. 4475 56743 PTVE US69526K1051 0.10
Travel + Leisure Co. 1024 56596 TNL US8941641024 0.10
Mirum Pharmaceuticals Inc. 3547 56575 MIRM US6047491013 0.10
Stoneridge Inc. 2864 56535 SRI US86183P1021 0.10
Griffon Corp. 1977 56305 GFF US3984331021 0.10
Rollins Inc. 1641 56139 ROL US7757111049 0.10
Casey's General Stores Inc. 284 56047 CASY US1475281036 0.10
Northfield Bancorp Inc. 3466 56011 NFBK US66611T1088 0.10
Arrow Electronics Inc. 417 55991 ARW US0427351004 0.10
Lakeland Financial Corp. 693 55537 LKFN US5116561003 0.10
Central Pacific Financial Corp. 1965 55354 CPF US1547604090 0.10
Solaris Oilfield Infrastructure Inc. Class A 8445 55315 SOI US83418M1036 0.10
Cognex Corp. 708 55054 CGNX US1924221039 0.10
News Corp. Class A 2466 55016 NWSA US65249B1098 0.10
Liberty Media Corp-Liberty Braves 1949 54767 BATRK US5312298889 0.10
Ceridian HCM Holding Inc. 524 54737 CDAY US15677J1088 0.10
ModivCare Inc. 369 54719 MODV US60783X1046 0.10
First Commonwealth Financial Corp. 3396 54642 FCF US3198291078 0.10
Columbia Financial Inc. 2615 54549 CLBK US1976411033 0.10
First Foundation Inc. 2194 54543 FFWM US32026V1044 0.10
HCI Group Inc. 648 54134 HCI US40416E1038 0.10
Jefferies Financial Group Inc. 1387 53816 JEF US47233W1099 0.10
RPM International Inc. 531 53631 RPM US7496851038 0.10
National Energy Services Reunited Corp. 5641 53307 NESR VGG6375R1073 0.10
Merchants Bancorp/IN 1126 53294 MBIN US58844R1086 0.10
AptarGroup Inc. 435 53279 ATR US0383361039 0.10
Atlanticus Holdings Corp. 744 53062 ATLC US04914Y1029 0.10
Ooma Inc. 2583 52797 OOMA US6834161019 0.10
Federal Agricultural Mortgage Corp. 425 52670 AGM US3131483063 0.10
Service Corp. International/US 740 52533 SCI US8175651046 0.10
Stock Yards Bancorp Inc. 821 52445 SYBT US8610251048 0.10
Kaman Corp. 1215 52427 KAMN US4835481031 0.10
REV Group Inc. 3693 52256 REVG US7495271071 0.10
Cass Information Systems Inc. 1325 52099 CASS US14808P1093 0.10
Assetmark Financial Holdings Inc. 1983 51974 AMK US04546L1061 0.10
Atrion Corp. 73 51458 ATRI US0499041053 0.10
CBRE Group Inc. Class A 472 51217 CBRE US12504L1098 0.09
CBIZ Inc. 1309 51208 CBZ US1248051021 0.09
Loral Space & Communications Inc. 1783 51119 LORL US5438811060 0.09
Stereotaxis Inc. 8197 50821 STXS US85916J4094 0.09
Sapiens International Corp. NV 1472 50710 SPNS KYG7T16G1039 0.09
Tompkins Financial Corp. 605 50566 TMP US8901101092 0.09
CACI International Inc. Class A 187 50342 CACI US1271903049 0.09
Genpact Ltd. 947 50267 G BMG3922B1072 0.09
EW Scripps Co. Class A 2597 50252 SSP US8110544025 0.09
Cogent Biosciences Inc. 5839 50099 COGT US19240Q2012 0.09
1st Source Corp. 1009 50046 SRCE US3369011032 0.09
PDF Solutions Inc. 1567 49815 PDFS US6932821050 0.09
NGM Biopharmaceuticals Inc. 2801 49606 NGM US62921N1054 0.09
Cullen/Frost Bankers Inc. 392 49419 CFR US2298991090 0.09
DXP Enterprises Inc./TX 1922 49338 DXPE US2333774071 0.09
Nelnet Inc. Class A 505 49328 NNI US64031N1081 0.09
Bonanza Creek Energy Inc. 1004 49166 BCEI US0977934001 0.09
StoneX Group Inc. 800 49000 SNEX US8618961085 0.09
Digi International Inc. 1993 48968 DGII US2537981027 0.09
RAPT Therapeutics Inc. 1332 48924 RAPT US75382E1091 0.09
Century Casinos Inc. 4016 48915 CNTY US1564921005 0.09
Amkor Technology Inc. 1973 48911 AMKR US0316521006 0.09
Alnylam Pharmaceuticals Inc. 287 48669 ALNY US02043Q1076 0.09
iTeos Therapeutics Inc. 1034 48143 ITOS US46565G1040 0.09
Arlo Technologies Inc. 4582 48065 ARLO US04206A1016 0.09
HomeStreet Inc. 921 47892 HMST US43785V1026 0.09
Bristow Group Inc. 1510 47822 VTOL US11040G1031 0.09
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Harpoon Therapeutics Inc. 4575 34541 HARP US41358P1066 0.06
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Landstar System Inc. 179 32045 LSTR US5150981018 0.06
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Applied Therapeutics Inc. 3389 30332 APLT US03828A1016 0.06
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Carlyle Group Inc. 542 29756 CG US14316J1088 0.05
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Entercom Communications Corp. Class A 11066 28440 AUD US05070N1037 0.05
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Cymabay Therapeutics Inc. 6332 21402 CBAY US23257D1037 0.04
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Clear Channel Outdoor Holdings Inc. 4352 14405 CCO US18453H1068 0.03
Rhythm Pharmaceuticals Inc. 1442 14391 RYTM US76243J1051 0.03
Dyne Therapeutics Inc. 1201 14280 DYN US26818M1080 0.03
El Pollo Loco Holdings Inc. 1004 14247 LOCO US2686031079 0.03
Olema Pharmaceuticals Inc. 1521 14237 OLMA US68062P1066 0.03
Fresh Del Monte Produce Inc. 512 14131 FDP KYG367381053 0.03
BioDelivery Sciences International Inc. 4544 14086 BDSI US09060J1060 0.03
International Bancshares Corp. 327 13862 IBOC US4590441030 0.03
Assured Guaranty Ltd. 275 13805 AGO BMG0585R1060 0.03
UroGen Pharma Ltd. 1451 13799 URGN IL0011407140 0.03
Armstrong World Industries Inc. 117 13586 AWI US04247X1028 0.03
Inspire Medical Systems Inc. 59 13574 INSP US4577301090 0.03
Viad Corp. 316 13522 VVI US92552R4065 0.02
Byline Bancorp Inc. 492 13456 BY US1244111092 0.02
Estee Lauder Cos. Inc. Class A 36 13327 EL US5184391044 0.02
Precigen Inc. 3581 13286 PGEN US74017N1054 0.02
TravelCenters of America Inc. 252 13008 TA US89421B1098 0.02
WaVe Life Sciences Ltd. 4104 12887 WVE SG9999014716 0.02
WisdomTree Investments Inc. 2100 12852 WETF US97717P1049 0.02
Rigel Pharmaceuticals Inc. 4831 12802 RIGL US7665596034 0.02
SecureWorks Corp. Class A 798 12744 SCWX US81374A1051 0.02
O'Reilly Automotive Inc. 18 12712 ORLY US67103H1077 0.02
Mueller Water Products Inc. Class A 873 12571 MWA US6247581084 0.02
Satsuma Pharmaceuticals Inc. 2759 12416 STSA US80405P1075 0.02
Meridian Bioscience Inc. 604 12322 VIVO US5895841014 0.02
ViewRay Inc. 2229 12282 VRAY US92672L1070 0.02
Lakeland Bancorp Inc. 631 11983 LBAI US5116371007 0.02
Smith Micro Software Inc. 2429 11951 SMSI US8321542073 0.02
Park Aerospace Corp. 897 11840 PKE US70014A1043 0.02
Grand Canyon Education Inc. 136 11657 LOPE US38526M1062 0.02
Biohaven Pharmaceutical Holding Co. Ltd. 84 11576 BHVN VGG111961055 0.02
FNB Corp./PA 945 11463 FNB US3025201019 0.02
Casa Systems Inc. 2014 11419 CASA US14713L1026 0.02
MiMedx Group Inc. 1833 11071 MDXG US6024961012 0.02
Huron Consulting Group Inc. 220 10978 HURN US4474621020 0.02
Ocular Therapeutix Inc. 1564 10901 OCUL US67576A1007 0.02
Homology Medicines Inc. 2925 10647 FIXX US4380831077 0.02
Rubius Therapeutics Inc. 1097 10619 RUBY US78116T1034 0.02
DMC Global Inc. 266 10536 BOOM US23291C1036 0.02
Syros Pharmaceuticals Inc. 2959 9646 SYRS US87184Q1076 0.02
Vanguard Market Liquidity Fund 211947 211926 0.39