First Eagle Investment Management

First Eagle Investment Management · SEC Form 13F portfolio

Period
2026-06-30
Portfolio value
$120.64B
Holdings
424
Top 10
28.8%

Latest reported holdings

Holding% of PortfolioValueSharesChange
ALPHABET INC · CAP STK CL C
4.29%
$5.17B14.63M+97.61%
BECTON DICKINSON & CO · COM
3.47%
$4.18B27.63M+131.64%
META PLATFORMS INC · CL A
3.00%
$3.62B6.43M+101.52%
TAIWAN SEMICONDUCTOR MANUFAC · SPONSORED ADS
2.97%
$3.58B7.49M+91.98%
FOMENTO ECONOMICO MEXICANO S
SPON ADR UNITS
Ticker unresolved
2.76%
$3.33B26.02M+101.64%
ELEVANCE HEALTH INC FORMERLY · COM
2.69%
$3.24B8.38M+102.71%
WHEATON PRECIOUS METALS CORP · COM
2.65%
$3.19B28.43M+100.83%
IMPERIAL OIL LTD · COM NEW
2.53%
$3.05B27.18M+94.54%
SLB LIMITED · COM STK
2.23%
$2.69B57.83M+103.79%
BNY
BANK OF NY MELLON CORP · COM
Company page unavailable
2.22%
$2.68B18.53M+87.82%
HCA HEALTHCARE INC · COM
2.13%
$2.57B6.59M+102.52%
ORACLE CORP · COM
2.07%
$2.50B17.03M+101.94%
WEYERHAEUSER CO · COM NEW
2.03%
$2.45B102.36M+121.11%
WILLIS TOWERS WATSON PLC LTD · SHS
1.94%
$2.34B8.95M+106.29%
AUTOMATIC DATA PROCESSING IN · COM
1.92%
$2.32B10.35M+263.11%
SALESFORCE INC · COM
1.90%
$2.29B14.61M+138.27%
FRANCO NEV CORP · COM
1.82%
$2.20B10.55M+99.95%
AMBEV SA · SPONSORED ADR
1.82%
$2.19B698.65M+101.35%
NEWMONT CORP · COM
1.79%
$2.16B23.14M+92.48%
WORKDAY INC · CL A
1.79%
$2.16B17.65M+131.96%
MEDTRONIC PLC · SHS
1.79%
$2.16B27.57M+174.45%
PHILIP MORRIS INTL INC · COM
1.78%
$2.14B11.85M+101.12%
ONEOK INC NEW
COM
Ticker unresolved
1.71%
$2.06B23.67MFirst tracked quarter
COMCAST CORP NEW · CL A
1.55%
$1.87B76.35M+102.08%
SPDR GOLD TR
GOLD SHS
No company page
1.52%
$1.84B4.98M+102.92%
BOOKING HOLDINGS INC · COM
1.45%
$1.75B9.83MNew
AGNICO EAGLE MINES LTD · COM
1.34%
$1.61B10.39M+99.98%
PPG INDS INC · COM
1.31%
$1.58B13.02M+102.32%
BIO RAD LABS INC · CL A
1.27%
$1.53B5.21M+100.26%
BROWN & BROWN INC · COM
1.25%
$1.50B23.46M+165.83%
COLGATE PALMOLIVE CO · COM
1.25%
$1.50B16.41M+102.19%
INTERNATIONAL FLAVORS&FRAGRA · COM
1.24%
$1.49B18.82M+102.04%
BARRICK MNG CORP · COM SHS
1.21%
$1.46B39.84M+93.65%
MICROSOFT CORP · COM
1.20%
$1.45B3.88M+192.84%
C H ROBINSON WORLDWIDE IN · COM NEW
1.14%
$1.37B7.28M+27.14%
UNIVERSAL HLTH SVCS INC · CL B
1.12%
$1.35B9.11M+105.89%
VMRK
EQUITY RESIDENTIAL · SH BEN INT
Company page unavailable
1.07%
$1.29B19.06M+101.25%
BXP INC · COM
1.04%
$1.26B18.93M+102.63%
NUTRIEN LTD
COM
Ticker unresolved
1.04%
$1.26B19.94M+99.65%
NOV INC · COM
0.94%
$1.14B61.37M+68.56%
AMERICAN EXPRESS CO · COM
0.94%
$1.14B3.36M+102.11%
EXTRA SPACE STORAGE INC · COM
0.93%
$1.13B7.75M+102.00%
US BANCORP
COM NEW
Ticker unresolved
0.91%
$1.10B18.25M+102.33%
OMNICOM GROUP INC · COM
0.89%
$1.07B14.69M+101.10%
FISERV INC · COM
0.88%
$1.07B21.72M+189.72%
NOBLE CORP PLC · ORD SHS A
0.86%
$1.04B27.91M+105.83%
DOLLAR GEN CORP · COM
0.86%
$1.04B9.00M+101.99%
DISNEY WALT CO · COM
0.86%
$1.03B10.75M+104.61%
CHARTER COMMUNICATIONS INC · CL A
0.85%
$1.02B7.17M+100.40%
WATERS CORP · COM
0.83%
$1.00B2.67M+69.52%
CARLISLE COS INC · COM
0.74%
$895.66M2.47M+211.29%
CULLEN FROST BANKERS INC · COM
0.71%
$858.41M5.56M+145.17%
FIDELITY NATL FINL INC · COM SHS
0.70%
$846.71M17.95M+102.18%
BERKSHIRE HATHAWAY INC DEL · CL A
0.70%
$846.20M1.13K+100.00%
EXXON MOBIL CORP
COM
Ticker unresolved
0.69%
$828.12M6.06M−2.89%
MAGNUM ICE CREAM CO NV · ORD SHS
0.66%
$801.27M46.04M+102.75%
IPG PHOTONICS CORP · COM
0.65%
$783.44M6.68M+45.38%
CUMMINS INC · COM
0.63%
$765.80M1.07M+39.95%
DEERE & CO · COM
0.56%
$681.12M1.07M+101.45%
EXPEDITORS INTL WASH INC
COM
Ticker unresolved
0.55%
$658.76M4.04M−32.01%
WARRIOR MET COAL INC · COM
0.52%
$629.65M7.76MNew
ALAMOS GOLD INC · COM CL A
0.31%
$373.75M12.34M+100.00%
ALPHABET INC · CAP STK CL A
0.31%
$370.89M1.04M−13.39%
COMPANIA CERVECERIAS UNIDAS
SPONSORED ADR
Ticker unresolved
0.30%
$361.08M32.24M+99.99%
ROYAL GOLD INC · COM
0.29%
$344.04M1.72M+87.83%
DOUGLAS EMMETT INC · COM
0.27%
$329.42M27.92M+100.00%
FERGUSON ENTERPRISES INC · COMMON STOCK NEW
0.26%
$312.83M1.32M+108.13%
KINROSS GOLD CORP · COM
0.25%
$303.04M12.83M+79.67%
ANGLOGOLD ASHANTI PLC · COM SHS
0.20%
$241.16M2.98M+100.00%
GOLD FIELDS LTD · SPONSORED ADR
0.20%
$237.54M7.07M+100.00%
PAN AMERN SILVER CORP · COM
0.18%
$216.53M4.83M+100.00%
BRITISH AMERN TOB PLC · SPONSORED ADR
0.18%
$212.31M3.44M+106.03%
SPDR SERIES TRUST
ST STR BLO 1 ETF
No company page
0.16%
$197.42M2.15MNew
SHELL PLC · SPON ADS
0.14%
$166.44M2.15M+103.07%
ENTERPRISE PRODS PARTNERS L
COM
No company page
0.12%
$143.95M3.92M+101.71%
UNILEVER PLC · SPON ADR NEW
0.08%
$101.30M1.69M+109.07%
ULTRA CLEAN HLDGS INC · COM
0.08%
$99.22M695.86K+60.30%
ORLA MNG LTD NEW
COM
Ticker unresolved
0.08%
$93.16M9.54M+100.00%
NOVAGOLD RESOURCES INC · COM NEW
0.07%
$89.38M14.97M+63.21%
DIAGEO PLC · SPON ADR NEW
0.07%
$89.09M1.11M+596.20%
VISHAY INTERTECHNOLOGY INC · COM
0.07%
$87.79M1.63M+53.49%
SILICON MOTION TECHNOLOGY CO · SPONSORED ADR
0.07%
$83.82M251.47K+49.30%
COCA-COLA FEMSA SAB DE CV · SPONS ADS REP
0.07%
$83.46M785.48K+100.00%
LLOYDS BANKING GROUP PLC · SPONSORED ADR
0.07%
$81.64M14.00M+89.13%
COHU INC · COM
0.07%
$81.08M1.10M+131.42%
HALEON PLC · SPON ADS
0.07%
$78.84M8.45M+109.53%
BANK OF AMER CORP
7.25%CNV PFD L
No company page
0.06%
$74.37M59.28K+100.00%
BROOKDALE SR LIVING INC · COM
0.06%
$74.03M4.60M+146.61%
B2GOLD CORP · COM
0.06%
$72.72M19.41M+100.00%
HINGE HEALTH INC · CL A
0.06%
$71.40M860.28K+155.32%
MATERION CORP · COM
0.06%
$70.96M238.60K+134.04%
VEECO INSTRS INC DEL · COM
0.06%
$70.32M927.71K+137.03%
BENCHMARK ELECTRS INC · COM
0.06%
$69.26M701.93K+136.68%
ADVANCED ENERGY INDS · COM
0.06%
$68.26M183.07K+123.75%
ENPRO INC · COM
0.06%
$67.95M180.26K+158.05%
BERKSHIRE HATHAWAY INC DEL · CL B NEW
0.06%
$67.68M135.25K+134.80%
RELX PLC · SPONSORED ADR
0.05%
$65.93M2.08M+159.53%
DUCOMMUN INC DEL · COM
0.05%
$65.33M352.75K+129.39%
ROGERS CORP · COM
0.05%
$61.65M376.54K+185.65%
LINCOLN EDL SVCS CORP · COM
0.05%
$61.43M1.23M+79.66%
ONTO INNOVATION INC · COM
0.05%
$60.02M158.59K+268.96%
WELLS FARGO & CO
PERP PFD CNV A
No company page
0.05%
$59.56M51.48K+100.00%
AMERIS BANCORP · COM
0.05%
$59.38M657.86K+165.83%
TTM TECHNOLOGIES INC · COM
0.05%
$58.88M314.83K+40.25%
INSTALLED BLDG PRODS INC · COM
0.05%
$58.64M255.13K+299.61%
ITAU UNIBANCO HLDG S A
SPON ADR REP PFD
No company page
0.05%
$57.78M7.07M+113.52%
PLEXUS CORP · COM
0.05%
$55.37M184.15K+172.66%
KAISER ALUMINIUM CORPORATION · COM PAR $0.01
0.04%
$54.16M276.86K+149.96%
QUAKER HOUGHTON · COM
0.04%
$51.78M325.95K+244.78%
OLD NATL BANCORP IND · COM
0.04%
$51.13M1.97M+183.30%
CECO ENVIRONMENTAL CORP · COM
0.04%
$49.78M548.64K+126.23%
SPECTRUM BRANDS HOLDINGS INC · COM
0.04%
$49.58M578.24K+148.95%
MAMAS CREATIONS INC · COM
0.04%
$49.24M2.76M+125.47%
UNIVERSAL TECHNICAL INST INC · COM
0.04%
$48.78M1.14M+141.56%
REMITLY GLOBAL INC · COM
0.04%
$48.08M2.15M+158.04%
GRAHAM CORP · COM
0.04%
$48.06M388.23K+80.14%
HARMONIC INC · COM
0.04%
$47.23M2.89M+144.93%
CAE INC · COM
0.04%
$45.99M1.84M+96.64%
LOUISIANA PAC CORP · COM
0.04%
$45.91M583.61K+151.65%
MARAVAI LIFESCIENCES HLDGS I · COM CL A
0.04%
$45.82M7.34M+190.87%
HERC HLDGS INC · COM
0.04%
$44.53M310.64K+213.67%
TE CONNECTIVITY PLC · ORD SHS
0.04%
$44.29M219.68K+107.64%
COMMERCIAL METALS CO · COM
0.04%
$43.97M700.73K+145.40%
DORMAN PRODS INC · COM
0.04%
$43.29M317.28K+247.36%
AMBIQ MICRO INC · COMMON STOCK
0.04%
$43.16M488.79K+75.15%
SEACOAST BKG CORP FLA
COM NEW
Ticker unresolved
0.04%
$43.06M1.30M+156.43%
PENNANT GROUP INC · COM
0.03%
$42.16M1.14M+164.73%
AXOS FINANCIAL INC · COM
0.03%
$41.55M426.62K+159.17%
TIMKEN CO · COM
0.03%
$41.36M284.59K+209.86%
AMERESCO INC · CL A
0.03%
$41.35M1.50M+169.78%
ALBANY INTL CORP · CL A
0.03%
$40.55M544.26K+165.71%
FLYWIRE CORPORATION · COM VTG
0.03%
$40.54M2.31M+188.11%
CRYOPORT INC · COM PAR $0.001
0.03%
$39.92M2.54M+241.39%
FULLER H B CO · COM
0.03%
$39.56M678.69K+196.90%
SIMULATIONS PLUS INC · COM
0.03%
$39.20M2.14M+188.54%
AMTECH SYS INC · COM PAR $0.01N
0.03%
$39.16M1.70M+103.84%
DORIAN LPG LTD · SHS USD
0.03%
$38.91M1.12M+183.31%
CONCENTRA GROUP HOLDINGS PAR · COMMON STOCK
0.03%
$38.56M1.30M+224.17%
NAVIGATOR HLDGS LTD · SHS
0.03%
$38.41M2.06M+164.10%
LITHIA MTRS INC · COM
0.03%
$38.33M131.95K+201.95%
CABOT CORP · COM
0.03%
$37.86M416.90K+205.09%
EXTREME NETWORKS INC · COM
0.03%
$37.74M1.17M+233.53%
HOME DEPOT INC · COM
0.03%
$37.23M105.55K+107.64%
ARCOSA INC · COM
0.03%
$37.15M255.68K+101.90%
PARK-OHIO HLDGS CORP · COM
0.03%
$36.75M955.69K+98.59%
WESCO INTL INC · COM
0.03%
$36.44M105.50K+106.22%
GOLAR LNG LTD · SHS
0.03%
$35.92M720.64K+159.72%
SPDR SERIES TRUST
ST STR SP REGBNK
No company page
0.03%
$35.41M473.14KNew
ABM INDS INC · COM
0.03%
$35.40M800.17K+173.12%
UNITEDHEALTH GROUP INC · COM
0.03%
$35.22M84.73K+107.65%
ELEMENT SOLUTIONS INC · COM
0.03%
$35.01M733.20K+1197.70%
CHEFS WHSE INC · COM
0.03%
$34.89M363.04K+116.78%
BELDEN INC · COM
0.03%
$34.87M290.82K+183.54%
ADTRAN HOLDINGS INC · COM
0.03%
$34.71M2.50M+82.44%
CAREDX INC · COM
0.03%
$34.11M1.20M+108.04%
FORMFACTOR INC · COM
0.03%
$33.95M212.27K+18.03%
EL POLLO LOCO HLDGS INC · COM
0.03%
$33.78M1.99M+246.19%
LIFESTANCE HEALTH GROUP INC · COM
0.03%
$33.48M3.13M+94.10%
CENTURY ALUM CO · COM
0.03%
$33.34M724.72K+344.38%
TITAN MACHY INC · COM
0.03%
$33.24M1.57M+96.43%
ASTEC INDS INC · COM
0.03%
$33.24M543.20K+108.72%
FLOWCO HLDGS INC · COM CL A
0.03%
$33.23M1.56M+173.73%
GRIFFON CORP · COM
0.03%
$33.19M340.31KNew
VALLEY NATL BANCORP · COM
0.03%
$32.76M2.24M+130.16%
TAYLOR MORRISON HOME CORP
COM
Ticker unresolved
0.03%
$32.66M455.20K+89.55%
AXIS CAP HLDGS LTD · SHS
0.03%
$32.65M303.90K+234.88%
MURPHY OIL CORP · COM
0.03%
$32.39M994.80K+382.91%
HEALTHSTREAM INC · COM
0.03%
$32.26M1.18M+178.08%
TRANSCAT INC · COM
0.03%
$32.23M347.39K+126.99%
OIL STS INTL INC · COM
0.03%
$32.13M4.01M+96.28%
TRINITY INDS INC · COM
0.03%
$32.04M926.64K+122.95%
COVENANT LOGISTICS GROUP INC · CL A
0.03%
$31.72M717.86K+189.28%
SCORPIO TANKERS INC · SHS
0.03%
$31.68M457.44K+94.60%
AXOGEN INC · COM
0.03%
$31.51M682.15K+92.38%
ASTRONICS CORP · COM
0.03%
$31.32M385.45K+60.33%
TEXAS INSTRS INC · COM
0.03%
$31.28M104.93K−97.14%
INSTEEL INDS INC · COM
0.03%
$30.89M1.02M+168.51%
I3 VERTICALS INC · COM CL A
0.03%
$30.89M1.45M+278.40%
LSB INDS INC · COM
0.03%
$30.68M2.84M+161.55%
DIGI INTL INC · COM
0.03%
$30.47M406.52K+134.02%
GATES INDL CORP PLC
ORD SHS
Ticker unresolved
0.02%
$30.03M1.07M+1185.75%
NATURAL GAS SVCS GROUP INC · COM
0.02%
$30.00M695.37K+142.13%
BOISE CASCADE CO DEL · COM
0.02%
$30.00M386.42K+126.89%
SMARTFINANCIAL INC · COM NEW
0.02%
$29.97M638.68K+185.07%
TRIMAS CORP · COM NEW
0.02%
$29.86M663.11K+108.52%
ACCENTURE PLC IRELAND · SHS CLASS A
0.02%
$29.52M237.18K+162.83%
OTIS WORLDWIDE CORP · COM
0.02%
$29.48M411.73K+110.03%
MANITOWOC CO INC · COM NEW
0.02%
$29.44M2.12M+150.49%
TALOS ENERGY INC · COM
0.02%
$29.11M2.25M+347.43%
STRIDE INC · COM
0.02%
$28.94M335.60K+7763.12%
PERELLA WEINBERG PARTNERS · CLASS A COM
0.02%
$28.77M1.80M+193.04%
SONOS INC · COM
0.02%
$28.57M2.11M+197.86%
NETGEAR INC · COM
0.02%
$28.55M1.22M+323.09%
RILEY EXPLORATION PERMIAN IN · COM
0.02%
$28.41M861.89K+368.04%
DYCOM INDS INC · COM
0.02%
$28.35M56.07K+78.63%
OUTFRONT MEDIA INC · COM NEW
0.02%
$28.04M856.07K+57.79%
SYNAPTICS INC · COM
0.02%
$27.99M225.29KNew
MARINEMAX INC · COM
0.02%
$27.72M756.90K+125.23%
MAYVILLE ENGR CO INC · COM
0.02%
$27.69M739.15K+82.92%
PHOENIX ED PARTNERS INC · COM
0.02%
$27.30M831.02K+201.30%
RED RIVER BANCSHARES INC · COM
0.02%
$27.27M298.70K+283.01%
AXCELIS TECHNOLOGIES INC · COM NEW
0.02%
$27.25M143.85K+43.06%
MATRIX SVC CO · COM
0.02%
$27.13M1.98M+132.77%
DIME COML BANCSHARES INC · COM
0.02%
$26.96M663.32K+146.44%
HEALTHCARE SVCS GROUP INC · COM
0.02%
$26.92M1.10M+130.98%
BLACK HILLS CORP · COM
0.02%
$26.48M355.98K+176.45%
BRAZE INC · COM CL A
0.02%
$26.45M1.22M+669.48%
WHITESTONE REIT
COM
Ticker unresolved
0.02%
$26.44M1.39M+87.91%
FRONTVIEW REIT INC · COM
0.02%
$26.33M1.30M+125.54%
FLOWSERVE CORP · COM
0.02%
$26.31M354.82K+217.48%
STAR BULK CARRIERS CORP. · SHS PAR
0.02%
$25.72M1.03MNew
FTAI INFRASTRUCTURE INC · COMMON STOCK
0.02%
$25.50M5.50M+117.58%
MAGNITE INC · COM
0.02%
$25.46M1.34M+197.94%
UMH PPTYS INC · COM
0.02%
$25.23M1.67M+117.86%
DOUBLEVERIFY HLDGS INC · COM
0.02%
$25.15M2.32M+265.35%
SI BONE INC · COM
0.02%
$25.10M1.54M+140.69%
ONE GAS INC · COM
0.02%
$24.78M321.53K+199.75%
LINCOLN NATL CORP IND · COM
0.02%
$24.66M697.50K+62.85%
COLUMBIA BKG SYS INC · COM
0.02%
$24.65M769.20K+235.90%
JBT MAREL CORPORATION · COM
0.02%
$24.45M168.60K+167.62%
STRATA CRITICAL MEDICAL INC · CL A COM
0.02%
$24.40M4.63M+104.27%
RADNET INC · COM
0.02%
$24.06M390.07K+314.37%
CHAMPION HOMES INC · COM
0.02%
$23.89M271.16K+99.13%
QUANTERIX CORP · COM
0.02%
$23.79M5.51M+323.54%
NMI HLDGS INC · COM
0.02%
$23.74M577.74K+111.19%
TENNANT CO · COM
0.02%
$23.26M265.71K+728.91%
HUNTSMAN CORP · COM
0.02%
$23.24M2.19M+184.11%
AAR CORP · COM
0.02%
$23.17M162.12K+153.34%
FABRINET · SHS
0.02%
$23.13M41.15K+170.77%
NPK INTERNATIONAL INC · COM SHS
0.02%
$22.94M1.44M+426.62%
QXO INC · COM NEW
0.02%
$22.91M1.33M+494.03%
OSI SYSTEMS INC · COM
0.02%
$22.82M104.32K+323.02%
OLD REP INTL CORP · COM
0.02%
$22.73M555.56K+107.60%
CENTRAL GARDEN & PET CO · CL A NON-VTG
0.02%
$22.48M579.88K+122.65%
INTEST CORP · COM
0.02%
$22.26M1.23M+188.89%
PROPETRO HLDG CORP · COM
0.02%
$22.25M1.55M+199.65%
STEVANATO GROUP S P A · ORD SHS
0.02%
$22.09M1.22M+676.24%
NETSCOUT SYS INC · COM
0.02%
$21.64M496.80K+148.40%
ITRON INC · COM
0.02%
$21.63M249.97KNew
DINE BRANDS GLOBAL INC · COM
0.02%
$21.28M592.65KNew
CHEESECAKE FACTORY INC · COM
0.02%
$21.25M267.18K+81.03%
INTREPID POTASH INC · COM
0.02%
$21.21M647.10K+327.83%
VSE CORP · COM
0.02%
$20.76M90.84K+380.10%
ENSIGN GROUP INC · COM
0.02%
$20.71M129.20K+10260.87%
VISHAY PRECISION GROUP INC · COM
0.02%
$20.69M138.00K+90.34%
TANGER INC · COM
0.02%
$20.63M522.65K+164.73%
CUSTOM TRUCK ONE SOURCE INC · COM CL A
0.02%
$20.35M1.72M+125.05%
VIAVI SOLUTIONS INC · COM
0.02%
$20.33M425.80K−23.94%
UTZ BRANDS INC · COM CL A
0.02%
$20.31M2.64M+133.46%
ARLO TECHNOLOGIES INC · COM
0.02%
$20.28M1.50M+1526.38%
CROSS CTRY HEALTHCARE INC
COM
Ticker unresolved
0.02%
$19.74M1.49M+153.44%
CEVA INC · COM
0.02%
$19.72M418.23KNew
GROCERY OUTLET HLDG CORP · COM
0.02%
$19.68M1.97MNew
ENVISTA HOLDINGS CORPORATION
COM
Ticker unresolved
0.02%
$19.63M745.00K+181.66%
MISTRAS GROUP INC · COM
0.02%
$19.35M1.11M+293.46%
PARSONS CORP DEL · COM
0.02%
$18.78M358.51KNew
AVIDBANK HLDGS INC · COM
0.02%
$18.76M568.08K+187.87%
LSI INDS INC OHIO · COM
0.02%
$18.12M681.65K+138.82%
DENTSPLY SIRONA INC · COM
0.01%
$18.07M1.70M−88.74%
CONCRETE PUMPING HLDGS INC · COM
0.01%
$17.75M1.47M+124.54%
QUANEX BLDG PRODS CORP · COM
0.01%
$17.66M948.42K+96.06%
WARBY PARKER INC · CL A COM
0.01%
$17.48M576.00K+326.38%
CADRE HLDGS INC · COM
0.01%
$17.47M612.92KNew
RADIAN GROUP INC · COM
0.01%
$17.31M459.60K+155.62%
ALPHATEC HLDGS INC · COM NEW
0.01%
$17.24M1.99M+186.13%
ONEWATER MARINE INC · CL A COM
0.01%
$17.08M1.52M+188.27%
ATRICURE INC · COM
0.01%
$16.66M595.29K+127.08%
NATIONAL VISION HLDGS INC · COM
0.01%
$16.33M859.24K+287.83%
STEWART INFORMATION SVCS COR · COM
0.01%
$16.26M246.24K+96.02%
908 DEVICES INC · COM
0.01%
$16.18M1.86M+131.45%
AVIAT NETWORKS INC · COM NEW
0.01%
$16.00M720.91K+147.60%
SEACOR MARINE HLDGS INC · COM
0.01%
$15.82M2.07M+93.18%
RANPAK HOLDINGS CORP · COM CL A
0.01%
$15.62M2.14M+170.82%
ARTIVION INC · COM
0.01%
$15.57M693.15K+122.45%
DNOW INC · COM
0.01%
$15.56M1.20M+239.16%
ALKAMI TECHNOLOGY INC · COM
0.01%
$15.43M851.46KNew
HOOKER FURNISHINGS CORPORATI · COM
0.01%
$14.98M840.13K+128.86%
COEUR MNG INC · COM NEW
0.01%
$14.82M908.24K+69.47%
JOHNSON OUTDOORS INC · CL A
0.01%
$14.79M321.18K+131.25%
MOELIS & CO · CL A
0.01%
$14.39M220.00K+192.94%
VITAL FARMS INC · COM
0.01%
$14.07M1.21M+127.45%
TERADATA CORP DEL · COM
0.01%
$13.88M400.68KNew
TITAN AMER SA · COMMON SHARES
0.01%
$13.88M743.89K+82.29%
FLOTEK INDUSTRIES INC · COM NEW
0.01%
$13.79M586.48KNew
SEADRILL LTD · COM
0.01%
$13.53M357.62K+660.89%
AVEANNA HEALTHCARE HLDGS INC · COM
0.01%
$13.11M1.53M+99.48%
PEPSICO INC · COM
0.01%
$13.06M96.46K+107.64%
AMN HEALTHCARE SVCS INC · COM
0.01%
$12.70M392.42KNew
SMITH DOUGLAS HOMES CORP · COM SHS CL A
0.01%
$12.56M808.55K+110.14%
IDACORP INC · COM
0.01%
$12.56M83.02K+99.69%
COLUMBUS MCKINNON CORP N Y · COM
0.01%
$12.47M824.07K+146.30%
HECLA MINING COMPANY · COM
0.01%
$12.41M804.00K+64.92%
PROGYNY INC · COM
0.01%
$12.29M426.42K+116.89%
VIEMED HEALTHCARE INC · COM
0.01%
$12.20M1.07M+102.08%
TITAN INTL INC ILL · COM
0.01%
$12.04M1.56M+132.80%
INFUSYSTEM HLDGS INC · COM
0.01%
$11.97M1.24M+71.89%
COURSERA INC · COM
0.01%
$11.93M2.12MNew
MARKETAXESS HLDGS INC · COM
0.01%
$11.25M99.15K+450600.00%
STRAWBERRY FIELDS REIT INC · COM
0.01%
$11.13M809.78K+145.69%
BRC GROUP HOLDINGS INC · COM
0.01%
$10.95M1.36MNew
EVERQUOTE INC · COM CL A
0.01%
$10.93M459.51K+98.10%
CAL MAINE FOODS INC · COM NEW
0.01%
$10.80M134.00KNew
RAMACO RES INC · COM CL B
0.01%
$10.47M1.22M+124.53%
RADIANT LOGISTICS INC · COM
0.01%
$10.45M1.11M+113.94%
INSEEGO CORP · COM NEW
0.01%
$10.41M1.01M+76.53%
ESAB CORPORATION · COM
0.01%
$10.14M102.84KNew
DIANA SHIPPING INC · COM
0.01%
$9.93M4.73M+273.76%
OUTDOOR HOLDING CO · COM
0.01%
$9.77M4.29M+109.74%
ORASURE TECHNOLOGIES INC · COM
0.01%
$9.48M2.13MNew
INTERFACE INC · COM
0.01%
$8.97M250.29K+100.96%
FRBT
FORBRIGHT INC · CL A COM
Company page unavailable
0.01%
$8.78M480.00KNew
HOS
HELIX ENERGY SOLUTIONS GRP I · COM
Company page unavailable
0.01%
$8.45M966.72KNew
ANGIODYNAMICS INC · COM
0.01%
$7.19M552.87K+100.51%
ROSS STORES INC · COM
0.01%
$7.16M33.66K+107.64%
CERTARA INC · COM
0.01%
$6.81M1.04MNew
ALTA EQUIPMENT GROUP INC · COMMON STOCK
0.01%
$6.73M1.04M+42.38%
CITIZENS INC · CL A
0.01%
$6.70M1.17M+100.45%
ALTISOURCE PORTFOLIO SOLUTIO · SHS NEW
0.01%
$6.54M871.37K+100.00%
VAIL RESORTS INC · COM
0.01%
$6.47M47.54K+100.00%
RPC INC · COM
0.01%
$6.35M1.09M+223.09%
TALKSPACE INC
COM
Ticker unresolved
0.01%
$6.28M1.21M+81.42%
AEBI SCHMIDT HLDG AG · COM
0.01%
$6.16M490.60K+57.65%
PROFOUND MED CORP · COM NEW
0.00%
$5.85M880.41K+172.82%
WENDYS CO · COM
0.00%
$5.85M706.05KNew
DOUGLAS ELLIMAN INC · COM
0.00%
$5.81M3.28M+101.25%
APPLIED AEROSPACE & DEFENSE · COMMON STOCK
0.00%
$5.70M250.00KNew
LUXFER HLDGS PLC · SHS
0.00%
$5.68M315.00K+5.20%
KVH INDS INC · COM
0.00%
$5.62M566.65K+168.78%
RICHARDSON ELECTRS LTD · COM
0.00%
$5.51M290.00KNew
FLEX LTD · ORD
0.00%
$5.37M33.14K+64.27%
EASTMAN KODAK CO · COM NEW
0.00%
$5.29M572.00K+95.56%
ETHAN ALLEN INTERIORS INC · COM
0.00%
$5.15M230.46K−32.76%
MATIV HOLDINGS INC · COM
0.00%
$4.79M632.98K−42.39%
SONIDA SENIOR LIVING INC · COM
0.00%
$4.69M115.00KNew
AIRGAIN INC · COM
0.00%
$4.34M688.81K+84.71%
NATURES SUNSHINE PRODS INC · COM
0.00%
$4.31M197.60K+100.00%
WABASH NATL CORP · COM
0.00%
$3.79M280.85KNew
VAREX IMAGING CORP · COM
0.00%
$3.74M359.00KNew
NVENT ELEC PLC · SHS
0.00%
$3.52M20.75K+100.74%
STARBUCKS CORP · COM
0.00%
$3.47M34.00K+107.65%
ENTEGRIS INC · COM
0.00%
$3.43M19.10K+90.16%
TENET HEALTHCARE CORP · COM NEW
0.00%
$3.42M18.27K+237.14%
QUEST DIAGNOSTICS INC · COM
0.00%
$3.22M15.21K+407.07%
TRIVAGO N V · SPON ADS A SHS N
0.00%
$3.10M566.89K+100.00%
LITTELFUSE INC · COM
0.00%
$3.09M6.78K+102.45%
MATADOR RES CO · COM
0.00%
$2.99M60.00KNew
FLEXSTEEL INDS INC · COM
0.00%
$2.98M40.00KNew
GENERAC HLDGS INC · COM
0.00%
$2.86M9.78K+117.33%
EXAGEN INC · COM
0.00%
$2.85M613.93K+390.19%
DELTA AIR LINES INC · COM NEW
0.00%
$2.85M30.42K+152.57%
FOSSIL GROUP INC · COM
0.00%
$2.82M680.00K+100.00%
CARDINAL HEALTH INC · COM
0.00%
$2.80M11.80K+103.45%
VOYA FINANCIAL INC · COM
0.00%
$2.72M30.00KNew
EVERCORE INC · CLASS A
0.00%
$2.70M7.92K+102.92%
QUANTA SVCS INC · COM
0.00%
$2.66M3.70K+100.00%
CELSIUS HLDGS INC · COM NEW
0.00%
$2.66M90.71KNew
RYMAN HOSPITALITY PPTYS INC · COM
0.00%
$2.62M20.42K+127.05%
NATIONAL CINEMEDIA INC · COM NEW
0.00%
$2.61M687.43K+57.81%
INNIO NV · ORDINARY SHARES
0.00%
$2.57M65.00KNew
FTAI AVIATION LTD · SHS
0.00%
$2.54M9.37K+122.14%
JAMES HARDIE INDS PLC · ORD SHS
0.00%
$2.52M96.35K+209.06%
COHERENT CORP · COM
0.00%
$2.50M6.34K+40.31%
SHARKNINJA INC · COM SHS
0.00%
$2.48M16.31K+103.01%
PERMIAN RESOURCES CORP · CLASS A COM
0.00%
$2.46M133.56K+161.16%
BAKER HUGHES COMPANY · CL A
0.00%
$2.44M44.00KNew
DPC HOLDINGS PLC · ORDINARY SHARES
0.00%
$2.40M48.87KNew
HUNT J B TRANS SVCS INC · COM
0.00%
$2.33M8.06K+77.93%
HF SINCLAIR CORP · COM
0.00%
$2.33M33.38K+100.00%
HOLLEY INC · COM
0.00%
$2.32M911.59K+89.60%
CLEAN HARBORS INC · COM
0.00%
$2.31M7.75K+103.04%
FIRST EAGLE ETF TR
MID CAP EQUI ETF
No company page
0.00%
$2.30M60.00KNew
DOW HLDGS INC · COM
0.00%
$2.19M80.00KNew
ROCKET COS INC · COM CL A
0.00%
$2.13M135.00K+108.45%
PERFORMANCE FOOD GROUP CO · COM
0.00%
$2.09M18.69K+107.69%
FIRST EAGLE ETF TR
US EQUITY ETF
No company page
0.00%
$2.03M60.00K+100.00%
TOLL BROTHERS INC · COM
0.00%
$1.98M12.00K+363.14%
CIENA CORP · COM NEW
0.00%
$1.96M4.00K+53.85%
CASEYS GEN STORES INC · COM
0.00%
$1.91M2.40K+200.00%
LANTHEUS HLDGS INC · COM
0.00%
$1.78M16.00KNew
CURTISS WRIGHT CORP · COM
0.00%
$1.74M2.30K+64.31%
REGAL REXNORD CORPORATION · COM
0.00%
$1.72M7.22K+33.26%
ARAMARK · COM
0.00%
$1.71M30.00K+172.73%
SANMINA CORP · COM
0.00%
$1.62M6.40KNew
OLIN CORP · COM PAR $1
0.00%
$1.59M80.39K−62.39%
HURCO CO · COM
0.00%
$1.37M60.00KNew
XPO INC · COM
0.00%
$1.35M6.56K+77.11%
PULTE GROUP INC · COM
0.00%
$1.30M9.46K+212.24%
EQUINIX INC · COM
0.00%
$1.13M1.09K+95.33%
RELIANCE INC · COM
0.00%
$1.09M2.92K+171.51%
EXELIXIS INC · COM
0.00%
$1.09M20.00K+100.00%
TEXAS ROADHOUSE INC · COM
0.00%
$979.29K5.07K+59.07%
UNITED RENTALS INC · COM
0.00%
$942.56K832.00+13766.67%
BLACK STONE MINERALS L P
COM UNIT
No company page
0.00%
$818.22K58.57K+95.21%
UGI CORP NEW · COM
0.00%
$788.96K22.84K+95.21%
SOUTHWEST AIRLS CO · COM
0.00%
$719.88K14.00K+40.00%
RAYMOND JAMES FINL INC · COM
0.00%
$641.57K4.22K+70.78%
WILLIAMS COS INC · COM
0.00%
$629.07K8.46K+95.25%
CRH PLC
ORD
Ticker unresolved
0.00%
$619.32K5.79K+95.28%
CANADIAN PACIFIC KANSAS CITY · COM
0.00%
$609.07K7.03K+107.92%
COLLIERS INTL GROUP INC · SUB VTG SHS
0.00%
$589.75K6.29K−20.29%
DONALDSON INC · COM
0.00%
$574.53K6.40K+100.00%
TRANSALTA CORP · COM
0.00%
$562.75K40.72K+95.22%
CANADIAN NATL RY CO · COM
0.00%
$558.65K4.69K+95.25%
EASTGROUP PPTYS INC · COM
0.00%
$446.38K2.20K+95.22%
WESTLAKE CORPORATION · COM
0.00%
$413.91K5.67K−20.34%
ISHARES GOLD TR
ISHARES NEW
No company page
0.00%
$402.92K5.34K+86.05%
RPM INTL INC · COM
0.00%
$384.80K3.46K+95.26%
SUNBELT RENTALS HOLDINGS INC · SHS
0.00%
$272.29K3.74K−47.72%
AMERICAN WTR WKS CO INC NEW · COM
0.00%
$158.42K1.20K+95.45%
GENERAL DYNAMICS CORP · COM
0.00%
$68.72K194.00+100.00%
TARGA RES CORP · COM
0.00%
$54.16K202.00+861.90%
TELEDYNE TECHNOLOGIES INC · COM
0.00%
$44.01K66.00+842.86%
COHEN & STEERS INC · COM
0.00%
$41.42K544.00+791.80%
OLD DOMINION FREIGHT LINE IN · COM
0.00%
$41.15K190.00+804.76%
STERIS PLC · SHS USD
0.00%
$40.01K190.00+955.56%
WP CAREY INC · COM
0.00%
$38.75K542.00+818.64%
REINSURANCE GROUP AMER INC · COM NEW
0.00%
$37.85K178.00+836.84%
GE HEALTHCARE TECHNOLOGIES I · COMMON STOCK
0.00%
$31.49K492.00+794.55%
BUILDERS FIRSTSOURCE INC · COM
0.00%
$29.89K334.00New
ON HLDG AG · NAMEN AKT A
0.00%
$26.92K760.00New
AIR PRODUCTS AND CHEMICALS I · COM
0.00%
$26.39K90.00+429.41%
HOULIHAN LOKEY INC · CL A
0.00%
$24.14K180.00−96.31%
ALTISOURCE PORTFOLIO SOLUTIO
*W EXP 04/30/203
No company page
0.00%
$2.27K5.67K+100.00%
ALTISOURCE PORTFOLIO SOLUTIO
*W EXP 04/02/202
No company page
0.00%
$1.59K5.67K+100.00%