| 11 | PLTRPalantir Technologies | 184,578 | $34M |
| 12 | METAMeta Platforms | 58,815 | $34M |
| 13 | JPMJPMorgan Chase | 92,574 | $33M |
| 14 | TSLATesla | 86,281 | $32M |
| 15 | PANWPalo Alto Networks | 79,669 | $30M |
| 16 | AVGOBroadcom | 82,053 | $30M |
| 17 | CVXChevron | 130,039 | $27M |
| 18 | BRK-BBerkshire Hathaway | 50,932 | $26M |
| 19 | VVisa | 65,128 | $25M |
| 20 | ABBVAbbVie | 88,002 | $23M |
| 21 | LLYEli Lilly | 18,405 | $21M |
| 22 | CSCOCisco Systems | 186,732 | $21M |
| 23 | BSTZBlackRock Science & Technology Term Trust | 657,087 | $21M |
| 24 | XOMExxon Mobil | 120,389 | $19M |
| 25 | HDHome Depot | 58,308 | $19M |
| 26 | WDCWestern Digital | 41,481 | $19M |
| 27 | CATCaterpillar | 22,218 | $18M |
| 28 | MUMicron Technology | 18,349 | $18M |
| 29 | JNJJohnson & Johnson | 65,248 | $17M |
| 30 | SNDKSandisk | 10,724 | $17M |
| 31 | DIASPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST | 29,964 | $16M |
| 32 | IBMIBM | 67,956 | $16M |
| 33 | BACBank of America | 252,811 | $16M |
| 34 | MAMastercard | 25,724 | $15M |
| 35 | WMTWalmart | 135,371 | $14M |
| 36 | NFLXNetflix | 174,138 | $14M |
| 37 | CCitigroup | 104,338 | $14M |
| 38 | AMGNAmgen | 30,997 | $13M |
| 39 | PGProcter & Gamble | 90,117 | $13M |
| 40 | QCOMQualcomm | 69,898 | $12M |
| 41 | RTXRTX | 56,708 | $12M |
| 42 | GLDSPDR GOLD TRUST | 28,063 | $11M |
| 43 | BABoeing | 54,331 | $11M |
| 44 | GOLDGold.com | 250,426 | $11M |
| 45 | GEVGE Vernova | 12,394 | $11M |
| 46 | UNHUnitedHealth Group | 27,790 | $11M |
| 47 | TSMTaiwan Semiconductor Manufacturing | 24,814 | $10M |
| 48 | KOCoca-Cola | 115,526 | $10M |
| 49 | ORCLOracle | 68,553 | $10M |
| 50 | DISWalt Disney | 93,480 | $10M |
| 51 | GSGoldman Sachs | 9,085 | $9M |
| 52 | GDGeneral Dynamics | 22,896 | $9M |
| 53 | VZVerizon Communications | 168,638 | $8M |
| 54 | MCDMcDonald's | 31,351 | $8M |
| 55 | MRKMerck | 55,244 | $8M |
| 56 | AXPAmerican Express | 23,914 | $8M |
| 57 | CBChubb | 22,660 | $8M |
| 58 | PSXPhillips 66 | 28,519 | $7M |
| 59 | ABTAbbott Laboratories | 63,505 | $7M |
| 60 | INTCIntel | 76,501 | $7M |
| 61 | UNPUnion Pacific | 21,255 | $6M |
| 62 | NEENextEra Energy | 75,723 | $6M |
| 63 | BLKBlackRock | 5,269 | $6M |
| 64 | ADIAnalog Devices | 16,603 | $6M |
| 65 | PFEPfizer | 206,735 | $6M |
| 66 | NOWServiceNow | 39,676 | $6M |
| 67 | PEPPepsiCo | 41,749 | $6M |
| 68 | ETNEaton | 13,859 | $6M |
| 69 | ISRGIntuitive Surgical | 14,602 | $6M |
| 70 | LRCXLam Research | 18,192 | $5M |
| 71 | CRMSalesforce | 21,290 | $5M |
| 72 | PPIHPerma-Pipe International Holdings | 196,355 | $5M |
| 73 | DEDeere | 8,204 | $5M |
| 74 | TAT&T | 199,986 | $5M |
| 75 | WFCWells Fargo | 59,243 | $5M |
| 76 | VRTVertiv Holdings | 19,716 | $5M |
| 77 | USBU.S. Bancorp | 79,673 | $5M |
| 78 | AMATApplied Materials | 10,692 | $5M |
| 79 | GEGE Aerospace | 14,424 | $5M |
| 80 | LMTLockheed Martin | 8,484 | $5M |
| 81 | SHWSherwin-Williams | 13,912 | $5M |
| 82 | TJXTJX Companies | 35,001 | $5M |
| 83 | BMYBristol Myers Squibb | 70,050 | $5M |
| 84 | SBUXStarbucks | 43,920 | $5M |
| 85 | MDTMedtronic | 49,640 | $4M |
| 86 | BSTBlackRock Science & Technology Trust | 87,856 | $4M |
| 87 | TXNTexas Instruments | 16,171 | $4M |
| 88 | AFLAflac | 36,288 | $4M |
| 89 | LINLinde | 8,420 | $4M |
| 90 | HONHoneywell | 19,240 | $4M |
| 91 | EXPDExpeditors International | 21,187 | $4M |
| 92 | GLWCorning | 26,350 | $4M |
| 93 | IAUISHARES GOLD TRUST | 46,399 | $4M |
| 94 | MELIMercadoLibre | 1,999 | $4M |
| 95 | EMREmerson Electric | 24,906 | $4M |
| 96 | NVONovo Nordisk | 82,814 | $4M |
| 97 | SNPSSynopsys | 8,429 | $4M |
| 98 | FCXFreeport-McMoRan | 48,842 | $4M |
| 99 | EPDEnterprise Products Partners | 92,103 | $4M |
| 100 | LOWLowe's | 17,429 | $4M |
| 101 | BXBlackstone | 24,805 | $4M |
| 102 | APDAir Products and Chemicals | 11,453 | $4M |
| 103 | GILDGilead Sciences | 24,167 | $4M |
| 104 | STXSeagate Technology | 4,244 | $4M |
| 105 | NOCNorthrop Grumman | 6,378 | $3M |
| 106 | ITWIllinois Tool Works | 12,498 | $3M |
| 107 | ULTAUlta Beauty | 6,375 | $3M |
| 108 | THQabrdn Healthcare Opportunities Fund | 173,507 | $3M |
| 109 | ORealty Income | 55,401 | $3M |
| 110 | TGTTarget | 20,872 | $3M |
| 111 | UBERUber Technologies | 44,292 | $3M |
| 112 | CRWDCrowdStrike | 14,417 | $3M |
| 113 | COPConocoPhillips | 24,569 | $3M |
| 114 | WECWEC Energy Group | 30,280 | $3M |
| 115 | WMWaste Management | 14,165 | $3M |
| 116 | ETEnergy Transfer | 143,716 | $3M |
| 117 | UMHUMH Properties | 187,758 | $3M |
| 118 | GWWW.W. Grainger | 2,349 | $3M |
| 119 | KMIKinder Morgan | 93,299 | $3M |
| 120 | ADPAutomatic Data Processing | 10,316 | $3M |
| 121 | VRTXVertex Pharmaceuticals | 5,417 | $3M |
| 122 | MDLZMondelez International | 47,017 | $3M |
| 123 | NKENike | 74,578 | $3M |
| 124 | DELLDell Technologies | 6,319 | $3M |
| 125 | ALLAllstate | 11,134 | $3M |
| 126 | HSBCHSBC Holdings | 27,519 | $3M |
| 127 | MRVLMarvell Technology | 13,362 | $3M |
| 128 | AODabrdn Total Dynamic Dividend Fund | 259,926 | $3M |
| 129 | SHOPShopify | 19,054 | $3M |
| 130 | SLViShares Silver Trust | 46,550 | $3M |
| 131 | AEPAmerican Electric Power | 22,651 | $3M |
| 132 | MPCMarathon Petroleum | 7,336 | $3M |
| 133 | TELTE Connectivity | 13,322 | $3M |
| 134 | TTTrane Technologies | 6,128 | $3M |
| 135 | NEMNewmont | 21,549 | $3M |
| 136 | URIUnited Rentals | 2,592 | $3M |
| 137 | MSGSMadison Square Garden Sports | 6,993 | $3M |
| 138 | CMECME Group | 9,353 | $3M |
| 139 | CEGConstellation Energy | 9,598 | $3M |
| 140 | CTASCintas | 12,901 | $3M |
| 141 | SPGIS&P Global | 5,894 | $3M |
| 142 | IBITiShares Bitcoin Trust ETF | 57,281 | $3M |
| 143 | ADBEAdobe | 8,684 | $3M |
| 144 | BNYBNY Mellon | 15,687 | $3M |
| 145 | UPSUnited Parcel Service | 24,267 | $3M |
| 146 | AWKAmerican Water Works | 18,266 | $3M |
| 147 | AGMFarmer Mac | 11,479 | $3M |
| 148 | MOAltria | 36,710 | $3M |
| 149 | BDXBecton Dickinson | 13,303 | $3M |
| 150 | PWRQuanta Services | 4,102 | $2M |
| 151 | MMM3M | 14,323 | $2M |
| 152 | PMPhilip Morris International | 13,114 | $2M |
| 153 | FDXFedEx | 7,298 | $2M |
| 154 | MSMorgan Stanley | 10,959 | $2M |
| 155 | DUKDuke Energy | 19,309 | $2M |
| 156 | COFCapital One Financial | 10,477 | $2M |
| 157 | RITMRithm Capital | 223,649 | $2M |
| 158 | SOSouthern Company | 25,344 | $2M |
| 159 | AXONAxon Enterprise | 3,930 | $2M |
| 160 | TMOThermo Fisher Scientific | 3,558 | $2M |
| 161 | PAYXPaychex | 17,223 | $2M |
| 162 | XELXcel Energy | 28,743 | $2M |
| 163 | APHAmphenol | 13,670 | $2M |
| 164 | YUMYum Brands | 14,048 | $2M |
| 165 | FDSFactSet Research Systems | 6,839 | $2M |
| 166 | SYKStryker | 6,621 | $2M |
| 167 | FCNCAFirst Citizens BancShares | 969 | $2M |
| 168 | GRMNGarmin | 7,285 | $2M |
| 169 | ACNAccenture | 10,889 | $2M |
| 170 | UTFCOHEN & STEERS INFRASTRUCTURE FUND INC | 75,320 | $2M |
| 171 | AIOVirtus Artificial Intelligence & Technology Opportunities Fund | 76,802 | $2M |
| 172 | LHXL3Harris Technologies | 7,530 | $2M |
| 173 | HOODRobinhood Markets | 18,920 | $2M |
| 174 | JCIJohnson Controls | 14,165 | $2M |
| 175 | ASMLASML Holding | 1,151 | $2M |
| 176 | EWBCEast West Bancorp | 15,297 | $2M |
| 177 | AERAerCap Holdings | 13,125 | $2M |
| 178 | CLColgate-Palmolive | 21,210 | $2M |
| 179 | INTUIntuit | 5,242 | $2M |
| 180 | SCHWCharles Schwab | 16,998 | $2M |
| 181 | CSXCSX | 36,954 | $2M |
| 182 | AMTAmerican Tower | 10,516 | $2M |
| 183 | BABAAlibaba Group | 16,200 | $2M |
| 184 | EOGEOG Resources | 12,721 | $2M |
| 185 | ETYEaton Vance Tax-Managed Diversified Equity Income Fund | 126,851 | $2M |
| 186 | ENBEnbridge | 36,067 | $2M |
| 187 | ORLYO'Reilly Automotive | 20,359 | $2M |
| 188 | ANETArista Networks | 9,200 | $2M |
| 189 | MCKMcKesson | 2,023 | $2M |
| 190 | SNOWSnowflake | 5,355 | $2M |
| 191 | PCARPACCAR | 14,263 | $2M |
| 192 | CARRCarrier Global | 30,401 | $2M |
| 193 | ARCCAres Capital | 87,428 | $2M |
| 194 | WMBWilliams Companies | 23,233 | $2M |
| 195 | GOFGUGGENHEIM STRATEGIC OPPORTUNITIES FUND | 185,392 | $2M |
| 196 | CMCSAComcast | 65,083 | $2M |
| 197 | VSTVistra | 12,550 | $2M |
| 198 | SLBSchlumberger | 28,365 | $2M |
| 199 | IDXXIDEXX Laboratories | 3,037 | $2M |
| 200 | FTNTFortinet | 9,873 | $2M |
| 201 | MDBMongoDB | 3,715 | $2M |
| 202 | MDYSPDR S&P MIDCAP 400 ETF TRUST | 2,439 | $2M |
| 203 | PHParker Hannifin | 1,683 | $2M |
| 204 | SNASnap-on | 4,252 | $2M |
| 205 | VLOValero Energy | 4,559 | $2M |
| 206 | MSTRStrategy | 11,921 | $2M |
| 207 | ECLEcolab | 5,595 | $2M |
| 208 | ETVEaton Vance Tax-Managed Buy-Write Opportunities Fund | 102,557 | $2M |
| 209 | GMGeneral Motors | 17,988 | $2M |
| 210 | RYRoyal Bank of Canada | 7,527 | $2M |
| 211 | CORCencora | 4,732 | $2M |
| 212 | PLDPrologis | 10,772 | $2M |
| 213 | ROSTRoss Stores | 6,576 | $2M |
| 214 | NACNuveen California Quality Municipal Income Fund | 123,219 | $1M |
| 215 | GBTCGrayscale Bitcoin Trust ETF | 23,296 | $1M |
| 216 | UTGREAVES UTILITY INCOME FUND | 37,425 | $1M |
| 217 | ROKRockwell Automation | 3,289 | $1M |
| 218 | STRLSterling Infrastructure | 2,938 | $1M |
| 219 | SRESempra | 16,722 | $1M |
| 220 | CMSCMS Energy | 19,496 | $1M |
| 221 | AEMAgnico Eagle Mines | 6,453 | $1M |
| 222 | KMBKimberly-Clark | 12,061 | $1M |
| 223 | OXLCOxford Lane Capital | 133,129 | $1M |
| 224 | TMUST-Mobile US | 7,156 | $1M |
| 225 | CVSCVS Health | 13,728 | $1M |
| 226 | MORNMorningstar | 5,875 | $1M |
| 227 | MUCBLACKROCK MUNIHOLDINGS CALIFORNIA QUALITY FUND, INC. | 120,432 | $1M |
| 228 | HIGHartford Insurance Group | 9,225 | $1M |
| 229 | PDOPIMCO Dynamic Income Opportunities Fund | 99,325 | $1M |
| 230 | DXCMDexcom | 13,588 | $1M |
| 231 | AEEAmeren | 11,618 | $1M |
| 232 | CAHCardinal Health | 5,249 | $1M |
| 233 | EWEdwards Lifesciences | 13,559 | $1M |
| 234 | NBISNebius Group | 5,909 | $1M |
| 235 | PTACohen & Steers Tax-Advantaged Preferred Securities & Income Fund | 65,591 | $1M |
| 236 | RIORio Tinto | 11,797 | $1M |
| 237 | DLYDoubleLine Yield Opportunities Fund | 87,173 | $1M |
| 238 | CLXClorox | 12,351 | $1M |
| 239 | STZConstellation Brands | 9,179 | $1M |
| 240 | RCLRoyal Caribbean Cruises | 4,430 | $1M |
| 241 | HSYHershey | 6,748 | $1M |
| 242 | SIMOSilicon Motion Technology | 4,815 | $1M |
| 243 | RLIRLI | 18,718 | $1M |
| 244 | GISGeneral Mills | 28,799 | $1M |
| 245 | SPOTSpotify Technology | 2,178 | $1M |
| 246 | SHELShell | 12,913 | $1M |
| 247 | DDOGDatadog | 4,961 | $1M |
| 248 | NDSNNordson | 3,637 | $1M |
| 249 | BMNRBitMine Immersion Technologies | 46,075 | $1M |
| 250 | DCIDonaldson | 12,604 | $1M |
| 251 | SPGSimon Property Group | 5,372 | $1M |
| 252 | WRBW. R. Berkley | 16,876 | $1M |
| 253 | HWMHowmet Aerospace | 4,615 | $1M |
| 254 | AZNAstraZeneca | 6,964 | $1M |
| 255 | OKLOOklo | 27,772 | $1M |
| 256 | RACEFerrari | 2,644 | $1M |
| 257 | ZSZscaler | 5,905 | $1M |
| 258 | PDIPIMCO Dynamic Income Fund | 73,177 | $1M |
| 259 | MPLXMPLX | 18,683 | $1M |
| 260 | BPBP p.l.c. | 25,772 | $1M |
| 261 | PHYSSprott Physical Gold Trust | 32,528 | $1M |
| 262 | XYLXylem | 9,953 | $1M |
| 263 | THWabrdn World Healthcare Fund | 77,639 | $1M |
| 264 | GABGABELLI EQUITY TRUST INC | 190,532 | $1M |
| 265 | NREFNexPoint Real Estate Finance | 62,482 | $1M |
| 266 | EDFVirtus Stone Harbor Emerging Markets Income Fund | 204,483 | $1M |
| 267 | EXRExtra Space Storage | 7,580 | $1M |
| 268 | CICigna | 3,867 | $1M |
| 269 | TPRTapestry | 8,581 | $1M |
| 270 | MFCManulife Financial | 24,902 | $1M |
| 271 | STRKStrategy Inc | 14,449 | $1M |
| 272 | SJMJ.M. Smucker | 7,959 | $1M |
| 273 | IMAXIMAX | 20,349 | $1M |
| 274 | IRMIron Mountain | 9,007 | $1M |
| 275 | KRKroger | 17,993 | $1M |
| 276 | GGGGraco | 13,301 | $1M |
| 277 | OBDCBlue Owl Capital Corp | 89,226 | $1M |
| 278 | RFMZRiverNorth Flexible Municipal Income Fund II, Inc. | 78,646 | $1M |
| 279 | OKEONEOK | 10,557 | $1M |
| 280 | DDominion Energy | 15,335 | $1M |
| 281 | TROWT. Rowe Price | 9,086 | $1M |
| 282 | NJRNew Jersey Resources | 18,940 | $1M |
| 283 | ICEIntercontinental Exchange | 6,275 | $1M |
| 284 | SMCISuper Micro Computer | 26,704 | $996K |
| 285 | TTCToro | 10,113 | $989K |
| 286 | FANGDiamondback Energy | 4,907 | $984K |
| 287 | LNGCheniere Energy | 3,352 | $978K |
| 288 | PNCPNC Financial Services | 4,066 | $974K |
| 289 | DSLDoubleLine Income Solutions Fund | 91,446 | $973K |
| 290 | RMDResMed | 4,046 | $971K |
| 291 | BROBrown & Brown | 13,449 | $971K |
| 292 | GBABGuggenheim Taxable Municipal Bond & Investment Grade Debt Trust | 70,851 | $969K |
| 293 | PYPLPayPal Holdings | 18,354 | $967K |
| 294 | CMICummins | 1,710 | $965K |
| 295 | EMEEMCOR Group | 1,312 | $964K |
| 296 | DKNGDraftKings | 39,068 | $949K |
| 297 | RWTRedwood Trust | 204,188 | $943K |
| 298 | MASMasco | 13,021 | $940K |
| 299 | COHRCoherent | 3,341 | $928K |
| 300 | NKXNUVEEN CALIFORNIA AMT-FREE QUALITY MUNICIPAL INCOME FUND | 76,929 | $927K |
| 301 | TRVTravelers Companies | 2,533 | $927K |
| 302 | METMetLife | 9,643 | $918K |
| 303 | APPAppLovin | 2,940 | $917K |
| 304 | ELVElevance Health | 2,332 | $915K |
| 305 | EQIXEquinix | 871 | $912K |
| 306 | IRENIREN | 24,545 | $911K |
| 307 | USALIBERTY ALL STAR EQUITY FUND | 151,109 | $905K |
| 308 | TBLDThornburg Income Builder Opportunities Trust | 40,087 | $894K |
| 309 | CBOECboe Global Markets | 2,906 | $872K |
| 310 | WPMWheaton Precious Metals | 5,779 | $872K |
| 311 | HUBBHubbell Incorporated | 1,924 | $872K |
| 312 | EVVEaton Vance Ltd Duration Income Fund | 93,632 | $851K |
| 313 | NBBNuveen Taxable Municipal Income Fund | 55,217 | $850K |
| 314 | TLNTalen Energy | 2,872 | $849K |
| 315 | JPCNuveen Preferred & Income Opportunities Fund | 115,387 | $847K |
| 316 | PMTPennyMac Mortgage Investment Trust | 90,590 | $844K |
| 317 | DXYZDestiny Tech100 | 26,265 | $844K |
| 318 | NZFNuveen Municipal Credit Income Fund | 69,132 | $842K |
| 319 | EXCExelon | 19,123 | $836K |
| 320 | NSCNorfolk Southern | 2,428 | $832K |
| 321 | AGNCAGNC Investment | 77,408 | $831K |
| 322 | PLTKPlaytika Holding | 363,775 | $826K |
| 323 | HALHalliburton | 22,355 | $824K |
| 324 | ETREntergy | 7,714 | $820K |
| 325 | OHIOmega Healthcare Investors | 17,844 | $816K |
| 326 | DVNDevon Energy | 16,671 | $809K |
| 327 | PPLPPL Corp | 23,359 | $797K |
| 328 | DOWDow Inc | 25,620 | $782K |
| 329 | RMMRiverNorth Managed Duration Municipal Income Fund, Inc. | 54,300 | $778K |
| 330 | PRUPrudential Financial | 6,555 | $771K |
| 331 | OXYOccidental Petroleum | 12,806 | $771K |
| 332 | BHPBHP Group | 8,183 | $769K |
| 333 | HQHabrdn Healthcare Investors | 33,778 | $767K |
| 334 | ROKURoku | 4,863 | $763K |
| 335 | FPFFirst Trust Intermediate Duration Preferred & Income Fund | 42,555 | $760K |
| 336 | BF-BBrown-Forman | 28,471 | $756K |
| 337 | CCLCarnival | 31,648 | $756K |
| 338 | SGOLabrdn Gold ETF Trust | 17,804 | $755K |
| 339 | ECATBlackRock ESG Capital Allocation Term Trust | 48,909 | $751K |
| 340 | TERTeradyne | 2,144 | $750K |
| 341 | AMPAmeriprise Financial | 1,345 | $744K |
| 342 | NRKNUVEEN NEW YORK AMT-FREE QUALITY MUNICIPAL INCOME FUND | 72,041 | $741K |
| 343 | SCCOSouthern Copper | 3,523 | $736K |
| 344 | TEVATeva Pharmaceutical | 20,041 | $722K |
| 345 | AOSA.O. Smith | 12,133 | $717K |
| 346 | FSLRFirst Solar | 3,544 | $716K |
| 347 | GLDMWorld Gold Trust | 8,046 | $709K |
| 348 | ECCEagle Point Credit | 177,786 | $708K |
| 349 | NGLNGL Energy Partners | 37,184 | $705K |
| 350 | NDMONuveen Dynamic Municipal Opportunities Fund | 70,862 | $704K |
| 351 | ZTSZoetis | 9,133 | $704K |
| 352 | SPXXNuveen S&P 500 Dynamic Overwrite Fund | 36,510 | $703K |
| 353 | KLACKLA Corporation | 3,983 | $699K |
| 354 | BBNBlackRock Taxable Municipal Bond Trust | 44,172 | $698K |
| 355 | DECKDeckers Outdoor | 8,003 | $697K |
| 356 | ALBAlbemarle | 5,152 | $695K |
| 357 | MARMarriott International | 2,033 | $695K |
| 358 | EDConsolidated Edison | 6,486 | $694K |
| 359 | SLRCSLR Investment | 54,120 | $689K |
| 360 | DHRDanaher | 3,226 | $689K |
| 361 | EPREPR Properties | 11,706 | $687K |
| 362 | FFord Motor | 49,227 | $686K |
| 363 | PCQPIMCO CALIFORNIA MUNICIPAL INCOME FUND | 78,946 | $683K |
| 364 | DALDelta Air Lines | 8,751 | $683K |
| 365 | KTFDWS MUNICIPAL INCOME TRUST | 77,244 | $676K |
| 366 | COINCoinbase Global | 3,589 | $675K |
| 367 | WELLWelltower | 2,822 | $667K |
| 368 | HUMHumana | 1,733 | $664K |
| 369 | NIEVirtus Equity & Convertible Income Fund | 25,537 | $663K |
| 370 | LVSLas Vegas Sands | 15,092 | $661K |
| 371 | NVSNovartis | 4,323 | $657K |
| 372 | MGMMGM Resorts International | 15,742 | $651K |
| 373 | CMGChipotle Mexican Grill | 17,096 | $650K |
| 374 | KREFKKR Real Estate Finance Trust | 85,315 | $650K |
| 375 | EQNREquinor | 15,141 | $648K |
| 376 | AITApplied Industrial Technologies | 1,985 | $643K |
| 377 | IONQIonQ | 16,314 | $641K |
| 378 | IRIngersoll Rand | 8,302 | $640K |
| 379 | BBarrick Mining | 14,177 | $636K |
| 380 | SOUNSoundHound AI | 87,675 | $628K |
| 381 | CAMTCamtek | 4,655 | $624K |
| 382 | SMGScotts Miracle-Gro | 10,404 | $622K |
| 383 | DLRDigital Realty Trust | 3,329 | $618K |
| 384 | PSLVSprott Physical Silver Trust | 28,233 | $618K |
| 385 | STTState Street | 3,175 | $608K |
| 386 | TEMTempus AI | 9,603 | $605K |
| 387 | GUTGABELLI UTILITY TRUST | 94,087 | $603K |
| 388 | MSIMotorola Solutions | 1,242 | $603K |
| 389 | TTWOTake-Two Interactive | 2,731 | $600K |
| 390 | DDDuPont de Nemours | 4,399 | $592K |
| 391 | PAXSPIMCO Access Income Fund | 42,140 | $591K |
| 392 | ABNBAirbnb | 3,199 | $586K |
| 393 | DASHDoorDash | 2,514 | $583K |
| 394 | NPFDNuveen Variable Rate Preferred & Income Fund | 30,914 | $581K |
| 395 | CPCanadian Pacific Kansas City | 6,244 | $579K |
| 396 | NLYAnnaly Capital Management | 25,007 | $573K |
| 397 | PRGSProgress Software | 12,339 | $571K |
| 398 | LNTAlliant Energy | 8,322 | $566K |
| 399 | CDNSCadence Design Systems | 1,657 | $561K |
| 400 | CEVEaton Vance California Municipal Income Trust | 52,497 | $561K |
| 401 | HASIHA Sustainable Infrastructure Capital | 14,117 | $558K |
| 402 | ARMARM Holdings | 2,307 | $558K |
| 403 | BTXBlackRock Technology & Private Equity Term Trust | 62,160 | $556K |
| 404 | ATRAptarGroup | 4,217 | $555K |
| 405 | NXPNuveen Select Tax-Free Income Portfolio | 39,032 | $555K |
| 406 | EZPWEZCORP | 17,161 | $555K |
| 407 | VMCVulcan Materials | 2,057 | $555K |
| 408 | WLDNWilldan Group | 6,065 | $533K |
| 409 | GBDCGolub Capital BDC | 40,381 | $531K |
| 410 | AXGNAxogen | 10,464 | $531K |
| 411 | SYYSysco | 6,547 | $531K |
| 412 | CIIBlackRock Enhanced Large Cap Core Fund, Inc. | 21,581 | $528K |
| 413 | ETHEGrayscale Ethereum Staking ETF | 26,369 | $527K |
| 414 | PEGPublic Service Enterprise Group | 7,179 | $526K |
| 415 | BTIBritish American Tobacco | 9,442 | $525K |
| 416 | RIVNRivian Automotive | 32,506 | $522K |
| 417 | ADMArcher-Daniels-Midland | 6,422 | $522K |
| 418 | WATWaters Corp | 1,258 | $522K |
| 419 | BMOBank of Montreal | 3,061 | $521K |
| 420 | MTBM&T Bank | 2,218 | $519K |
| 421 | KTOSKratos Defense & Security Solutions | 10,172 | $519K |
| 422 | EXGEaton Vance Tax-Managed Global Diversified Equity Income Fund | 51,482 | $514K |
| 423 | APTVAptiv | 11,337 | $507K |
| 424 | NUENucor | 2,032 | $507K |
| 425 | REGNRegeneron Pharmaceuticals | 634 | $507K |
| 426 | BKRBaker Hughes | 7,955 | $506K |
| 427 | AZOAutoZone | 169 | $506K |
| 428 | VSATViasat | 7,495 | $504K |
| 429 | NTRSNorthern Trust Corporation | 2,699 | $501K |
| 430 | EGPEastGroup Properties | 2,493 | $497K |
| 431 | TRGPTarga Resources | 1,692 | $497K |
| 432 | UNMUnum Group | 5,257 | $490K |
| 433 | NXPINXP Semiconductors | 2,181 | $490K |
| 434 | CTVACorteva | 5,780 | $489K |
| 435 | ULUnilever | 7,435 | $482K |
| 436 | RVTROYCE SMALL-CAP TRUST, INC. | 25,938 | $482K |
| 437 | WTMWhite Mountains Insurance Group | 228 | $479K |
| 438 | KIOKKR Income Opportunities Fund | 43,103 | $477K |
| 439 | RGLDRoyal Gold | 1,823 | $477K |
| 440 | PDXPIMCO Dynamic Income Strategy Fund | 21,700 | $473K |
| 441 | SANBanco Santander | 32,475 | $473K |
| 442 | WLFCWillis Lease Finance | 8,685 | $470K |
| 443 | NCANUVEEN CALIFORNIA MUNICIPAL VALUE FUND | 51,904 | $470K |
| 444 | ASTSAST SpaceMobile | 7,945 | $470K |
| 445 | OPPRiverNorth/DoubleLine Strategic Opportunity Fund, Inc. | 62,400 | $466K |
| 446 | ADSKAutodesk | 1,793 | $464K |
| 447 | MMDNYLI MacKay DefinedTerm Muni Opportunities Fund | 30,822 | $462K |
| 448 | SYFSynchrony Financial | 5,977 | $461K |
| 449 | SNYSanofi | 10,347 | $459K |
| 450 | AAgilent Technologies | 2,986 | $459K |
| 451 | WBDWarner Bros. Discovery | 16,028 | $457K |
| 452 | ACGLArch Capital Group | 4,611 | $452K |
| 453 | SUNSunoco | 5,944 | $452K |
| 454 | ESEversource Energy | 6,440 | $452K |
| 455 | VTRVentas | 4,851 | $442K |
| 456 | PAAPlains All American Pipeline | 17,147 | $440K |
| 457 | BSXBoston Scientific | 9,090 | $439K |
| 458 | PEGAPegasystems | 11,884 | $437K |
| 459 | FLSFlowserve | 5,435 | $430K |
| 460 | FASTFastenal | 8,716 | $430K |
| 461 | NXDTNexPoint Diversified Real Estate Trust | 80,614 | $428K |
| 462 | BROSDutch Bros | 8,667 | $423K |
| 463 | FIXComfort Systems USA | 272 | $420K |
| 464 | GDVGABELLI DIVIDEND & INCOME TRUST | 13,890 | $419K |
| 465 | CSWCCapital Southwest | 16,378 | $419K |
| 466 | UUnity Software | 9,927 | $418K |
| 467 | SEISolaris Energy Infrastructure | 8,185 | $416K |
| 468 | FSKFS KKR Capital | 33,236 | $412K |
| 469 | EVRGEvergy | 5,078 | $411K |
| 470 | AONAon | 1,279 | $411K |
| 471 | SXIStandex International | 1,419 | $411K |
| 472 | CHKPCheck Point Software | 2,931 | $407K |
| 473 | QQQXNuveen NASDAQ 100 Dynamic Overwrite Fund | 13,159 | $407K |
| 474 | CWTCalifornia Water Service | 8,100 | $405K |
| 475 | NUVNUVEEN MUNICIPAL VALUE FUND INC | 44,591 | $401K |
| 476 | ATOAtmos Energy | 2,411 | $401K |
| 477 | FFCFlaherty & Crumrine PREFERRED & INCOME SECURITIES FUND INC | 25,057 | $399K |
| 478 | MPMP Materials | 7,220 | $395K |
| 479 | RABrookfield Real Assets Income Fund Inc. | 31,297 | $393K |
| 480 | WTWisdomTree | 16,268 | $391K |
| 481 | WTFCWintrust Financial | 2,591 | $390K |
| 482 | ORBSEightco Holdings | 505,100 | $389K |
| 483 | LUVSouthwest Airlines | 10,083 | $388K |
| 484 | DBLDoubleLine Opportunistic Credit Fund | 27,482 | $388K |
| 485 | CSQCALAMOS STRATEGIC TOTAL RETURN FUND | 18,515 | $388K |
| 486 | CIMChimera Investment | 33,732 | $387K |
| 487 | HPFJOHN HANCOCK PREFERRED INCOME FUND II | 24,768 | $386K |
| 488 | XYZBlock | 4,692 | $385K |
| 489 | VCVInvesco California Value Municipal Income Trust | 36,700 | $385K |
| 490 | LAMRLamar Advertising | 2,580 | $384K |
| 491 | RKLBRocket Lab | 6,011 | $384K |
| 492 | MMSIMerit Medical Systems | 4,197 | $381K |
| 493 | RDDTReddit | 2,555 | $378K |
| 494 | ASGLIBERTY ALL STAR GROWTH FUND INC. | 72,215 | $376K |
| 495 | NDAQNasdaq | 3,803 | $375K |
| 496 | WABWestinghouse Air Brake Technologies | 1,308 | $374K |
| 497 | PGRProgressive | 1,706 | $372K |
| 498 | TSNTyson Foods | 6,719 | $370K |
| 499 | GSKGSK | 7,318 | $368K |
| 500 | PKGPackaging Corp of America | 1,555 | $364K |