Holding |
Shares |
Market Value |
Ginkgo Bioworks Holdings Inc. | 35,022,038 | $31,208,138 |
Southwestern Energy Co. | 28,034,162 | $209,975,873 |
Arcadium Lithium plc | 27,346,288 | $120,323,667 |
Lumen Technologies Inc. | 25,679,709 | $30,558,854 |
Lucid Group Inc. | 23,392,906 | $59,651,910 |
SoFi Technologies Inc. | 22,359,227 | $151,595,559 |
Globalstar Inc. | 19,329,076 | $24,934,508 |
Aurora Innovation Inc. Class A | 19,328,511 | $53,636,618 |
Transocean Ltd. | 18,539,536 | $96,776,378 |
AGNC Investment Corp. | 17,689,934 | $161,862,896 |
New York Community Bancorp Inc. | 17,439,309 | $46,214,169 |
Kimco Realty Corp. | 17,095,464 | $318,488,494 |
American Airlines Group Inc. | 16,633,878 | $224,723,692 |
Opendoor Technologies Inc. | 15,561,358 | $30,967,102 |
Plug Power Inc. | 15,400,692 | $35,575,599 |
Medical Properties Trust Inc. | 15,237,859 | $70,094,151 |
Robinhood Markets Inc. Class A | 15,178,475 | $250,293,053 |
Hecla Mining Co. | 15,110,487 | $71,472,604 |
First Horizon National Corp. | 14,223,057 | $212,208,010 |
Nikola Corp. | 13,984,027 | $8,678,487 |
Permian Resources Corp. | 13,283,886 | $222,505,091 |
ViacomCBS Inc. Class B | 13,242,541 | $150,832,542 |
Annaly Capital Management Inc. | 12,729,532 | $238,551,430 |
Cleveland-Cliffs Inc. | 12,683,067 | $214,343,832 |
Elanco Animal Health Inc. | 12,546,225 | $165,108,321 |
New Residential Investment Corp. | 12,290,977 | $136,675,664 |
Marqeta Inc. Class A | 11,891,090 | $65,995,550 |
Blue Owl Capital Inc. Class A | 11,599,575 | $219,115,972 |
FuelCell Energy Inc. | 11,488,752 | $10,659,264 |
Genworth Financial Inc. Class A | 11,369,190 | $67,419,297 |
Compass Inc. | 11,247,559 | $35,429,811 |
Invesco Ltd. | 11,157,377 | $158,100,032 |
Valley National Bancorp | 10,981,527 | $76,980,504 |
DraftKings Inc. | 10,849,559 | $450,907,672 |
Norwegian Cruise Line Holdings Ltd. | 10,828,342 | $204,872,231 |
Patterson-UTI Energy Inc. | 10,623,747 | $114,948,943 |
TechnipFMC plc | 10,529,094 | $269,755,388 |
Equitrans Midstream Corp. | 10,484,644 | $141,857,233 |
Coty Inc. Class A | 10,252,718 | $117,291,094 |
NOV Inc. | 10,029,638 | $185,448,007 |
Newell Brands Inc. | 10,015,650 | $79,524,261 |
Multiplan Corp. | 9,912,995 | $6,441,464 |
UiPath Inc. Class A | 9,849,109 | $186,837,598 |
Toast Inc. Class A | 9,828,352 | $232,243,958 |
Alight Inc. Class A | 9,752,706 | $87,969,408 |
ADT Inc. | 9,751,860 | $63,387,090 |
Healthcare Trust of America Inc. Class A | 9,707,523 | $138,138,052 |
Rivian Automotive Inc. Class A | 9,670,512 | $86,067,557 |
Sabre Corp. | 9,650,699 | $27,697,506 |
ChargePoint Holdings Inc. | 9,565,972 | $12,722,743 |
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