Holding |
Shares |
Market Value |
Ginkgo Bioworks Holdings Inc. | 35,172,073 | $40,799,605 |
Southwestern Energy Co. | 28,091,733 | $212,935,336 |
Arcadium Lithium plc | 27,397,268 | $118,082,225 |
Lumen Technologies Inc. | 25,791,058 | $40,234,050 |
Lucid Group Inc. | 23,459,390 | $66,859,262 |
SoFi Technologies Inc. | 22,406,428 | $163,566,924 |
Globalstar Inc. | 19,442,569 | $28,580,576 |
Aurora Innovation Inc. Class A | 19,393,133 | $54,688,635 |
Transocean Ltd. | 18,574,394 | $116,647,194 |
AGNC Investment Corp. | 17,726,515 | $175,492,499 |
New York Community Bancorp Inc. | 17,496,213 | $56,337,806 |
Kimco Realty Corp. | 17,138,267 | $336,081,416 |
American Airlines Group Inc. | 16,673,931 | $255,944,841 |
Opendoor Technologies Inc. | 15,620,080 | $47,328,842 |
Plug Power Inc. | 15,453,424 | $53,159,779 |
Medical Properties Trust Inc. | 15,278,789 | $71,810,308 |
Robinhood Markets Inc. Class A | 15,213,106 | $306,239,824 |
Hecla Mining Co. | 15,150,612 | $72,874,444 |
First Horizon National Corp. | 14,251,336 | $219,470,574 |
Nikola Corp. | 13,992,314 | $14,552,007 |
Permian Resources Corp. | 13,319,449 | $235,221,469 |
ViacomCBS Inc. Class B | 13,263,100 | $156,106,687 |
Annaly Capital Management Inc. | 12,754,670 | $251,139,452 |
Cleveland-Cliffs Inc. | 12,709,903 | $289,023,194 |
Elanco Animal Health Inc. | 12,573,674 | $204,699,413 |
New Residential Investment Corp. | 12,324,002 | $137,535,862 |
Marqeta Inc. Class A | 11,923,293 | $71,062,826 |
Blue Owl Capital Inc. Class A | 11,623,883 | $219,226,433 |
FuelCell Energy Inc. | 11,495,547 | $13,679,701 |
Genworth Financial Inc. Class A | 11,399,238 | $73,297,100 |
Compass Inc. | 11,295,886 | $40,665,190 |
Invesco Ltd. | 11,186,539 | $185,584,682 |
Valley National Bancorp | 11,006,866 | $87,614,653 |
DraftKings Inc. | 10,875,362 | $493,850,188 |
Norwegian Cruise Line Holdings Ltd. | 10,851,087 | $227,113,251 |
Patterson-UTI Energy Inc. | 10,643,402 | $127,082,220 |
TechnipFMC plc | 10,557,615 | $265,101,713 |
Equitrans Midstream Corp. | 10,506,350 | $131,224,312 |
Coty Inc. Class A | 10,275,369 | $122,893,413 |
NOV Inc. | 10,047,113 | $196,119,646 |
Newell Brands Inc. | 10,040,255 | $80,623,248 |
Multiplan Corp. | 9,918,860 | $8,046,179 |
UiPath Inc. Class A | 9,871,744 | $223,792,436 |
Toast Inc. Class A | 9,849,737 | $245,455,446 |
ADT Inc. | 9,779,963 | $65,721,351 |
Alight Inc. Class A | 9,773,695 | $96,270,896 |
Healthcare Trust of America Inc. Class A | 9,723,857 | $137,592,577 |
Rivian Automotive Inc. Class A | 9,689,926 | $106,104,690 |
Sabre Corp. | 9,656,414 | $23,368,522 |
ChargePoint Holdings Inc. | 9,571,627 | $18,186,091 |
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