Lord, Abbett & Co. LLC

NameLORD, ABBETT & CO. LLC
Qtr Ending20230331 (Historical)
# Holdings674
AUM$ 77.12B
AUM - prev qtr$ 99.15B
Deposit/Withdraw$ -26.38B
Qtr Return 5.06 %
automated analysis found + corrected what appeared to be errors in 23 of the holdings in this filing

Holdings

Now Buy/Sell TickerTypeName
$ 4.03M   $ -2.28M   AIR com A a R Corp
$ 3.63M   $ -248.00K   AMN com Amn Healthcare Services
$ 172.31M   $ 32.00M   ABT com Abbott Labs
$ 327.81M   $ -9.30M   ABBV com Abbvie Inc
$ 994.00K   $ 386.00K   ASO com Academy Sports & Outdoors Inc
$ 58.27M   $ 5.20M   ADBE com Adobe Inc
$ 12.45M   $ NEW   AEHR com Aehr Test Systems
$ 21.77M   $ -5.88M   ACM com Aecom Com Stk
$ 109.60M   $ 20.28M   AMD com Advanced Micro Devices
$ 1.21M   $ 0.00K   AEIS com Advanced Energy Inds Inc
$ 23.68M   $ -23.48M   AVAV com Aerovironment Inc
$ 9.33B   $ NEW   AFRM Bond Affirm Hldgs Inc*
$ 67.48M   $ 21.01M   AGYS com Agilysys Inc
$ 136.83M   $ NEW   ABNB com Airbnb*
$ 45.08M   $ -164.00K   ABNB Bond Airbnb Inc
$ 30.13M   $ -43.08M   APD com Air Prod&chem Inc
$ 8.73M   $ 0.00K   ALG com Alamo Group
$ 22.81M   $ -1.69M   AA com Alcoa Upstream Corp
$ 130.45M   $ NEW   ALGN com Align Technology Inc
$ 40.16M   $ NEW   ALGM com Allegro Microsystems Inc
$ 209.79M   $ -54.84M   ALL com Allstate Corp
$ 236.34M   $ -30.18M   GOOGL com Alphabet Inc
$ 1.87M   $ 0.00K   ALTR com Altair Engr Inc
$ 55.87M   $ 4.51M   AYX Bond Alteryx Inc
$ 22.69M   $ NEW   AYX Bond Alteryx Inc
$ 43.99M   $ -542.00K   AMZN com Amazon Com Inc
$ 42.52M   $ -1.98M   AXP com American Express Company
$ 67.63M   $ -40.99M   AFG com American Finl Gp
$ 69.12M   $ -2.52M   AMH com American Homes 4 Rent
$ 64.13M   $ -366.00K   AMT com American Tower Corp
$ 23.95M   $ -403.00K   ABC com Amerisourcebergen Corp
$ 236.04M   $ -92.24M   AMP com Ameriprise Financial Inc
$ 504.00K   $ -68.08M   AME com Ametek Inc
$ 7.26M   $ NEW   AMLX com Amylyx Pharmaceuticals Inc
$ 56.51M   $ -10.21M   ADI com Analog Devices Inc
$ 27.75M   $ NEW   ANSS com Ansys Inc
$ 59.37M   $ -15.00M   APLS com Apellis Pharmaceuticals Inc
$ 18.70M   $ 9.38M   APLS Bond Apellis Pharmaceuticals Inc*
$ 533.92M   $ -100.87M   AAPL com Apple Inc
$ 28.81M   $ -19.25M   AIT com Applied Industrial Techs Inc
$ 86.84M   $ NEW   AMAT com Applied Materials Inc
$ 32.73M   $ 15.99M   ACLX com Arcellx Inc
$ 1.16M   $ 0.00K   ACA com Arcosa Inc
$ 48.70M   $ -4.92M   ARGX adr Argenx Se Sponsored Ads
$ 161.23M   $ 2.40M   ANET com Arista Networks Inc
$ 15.33M   $ -35.92M   AIZ com Assurant Inc
$ 52.96M   $ -226.00K   AZO com Autozone Inc
$ 123.28M   $ -67.09M   AVY com Avery Dennison Corp
$ 30.88M   $ 427.00K   AVNT com Avient Corporation
$ 25.59M   $ -12.41M   AVDX com Avidxchange Hldgs Inc
$ 123.01M   $ -27.70M   AXON com Axon Enterprise Inc
$ 72.54M   $ -19.76M   AXNX com Axonics Inc
$ 112.80M   $ -32.85M   BJ com Bjs Whsl Club Hldgs Inc
$ 11.19M   $ 558.00K   TBBK com Bancorp Bank
$ 100.00M   $ -78.27M   BAC com Bank of America Corp
$ 13.73M   $ -610.00K   BACPRL cvpfd Bank of America Corp*
$ 26.41M   $ NEW   BDX com Becton Dickinson & Co
$ 10.85M   $ -1.94M   BDC com Belden Inc
$ 11.03M   $ -3.67M   BRBR com Bellring Distr LLC Com
$ 6.12M   $ -2.93M   BLU com Bellus Health Inc
$ 4.05M   $ -1.43M   BSY com Bentley Sys Inc
$ 28.34M   $ 10.47M   BSY Bond Bentley Sys Inc
$ 10.39M   $ NEW   BLBLF Bond Bilibili Inc
$ 23.77M   $ -187.00K   TECH com Bio-techne Corp
$ 23.34M   $ 0.00K   BLK com Blackrock Inc
$ 110.72M   $ 37.57M   BKNG com Booking Hldgs Inc
$ 33.35M   $ 10.65M   BKNG Bond Booking Holdings Inc
$ 7.78M   $ 1.01M   BOOT com Boot Barn Hldgs Inc*
$ 32.54M   $ -49.90M   BAH com Booz Allen Hamilton Hldg Corp
$ 28.36M   $ 3.87M   BSXPRA cvpfd Boston Scientific Corp
$ 10.64M   $ 3.92M   BOWL com Bowlero Corp
$ 14.83M   $ NEW   BRC com Brady Corp
$ 6.92M   $ -71.00K   BRDG com Bridge Invt Group Hldgs Inc
$ 815.00K   $ 0.00K   AZTA com Azenta Inc
$ 38.27M   $ NEW   BLDR com Builders First Source Inc
$ 13.24M   $ -1.23M   BURL com Burlington Stores Inc
$ 37.44M   $ NEW   AI com C3 Ai Inc
$ 162.93M   $ 22.54M   CBOE com Cboe Global Markets Inc
$ 38.06M   $ NEW   CBRE com Cbre Group Inc
$ 23.41M   $ NEW   CME com Cme Group Inc
$ 21.23M   $ -16.66M   CMS com Cms Energy Corp
$ 33.13M   $ -38.00K   CVS com Cvs Health Corporation
$ 86.91M   $ 42.50M   CDNS com Cadence Design Sys Inc
$ 84.67M   $ 131.00K   CZR com Caesars Entmt Inc*
$ 22.54M   $ -95.44M   CALX com Calix Inc
$ 33.49M   $ 16.04M   MODG com Topgolf Callaway Brands Corp
$ 10.34M   $ NEW   MODG Bond Topgolf Callaway Brands Corp
$ 14.90M   $ -1.47M   CPT com Camden Property Trust Sbi
$ 35.23M   $ 13.38M   CPB com Campbell Soup Co Capital
$ 11.08M   $ -3.22M   CARS com Cars Com Inc
$ 702.00K   $ 0.00K   CNTY com Century Casino Inc
$ 7.49M   $ NEW   CRNC com Cerence Inc
$ 10.46M   $ 2.94M   CRNC Bond Cerence Inc
$ 10.28M   $ NEW   CDAY com Ceridian Hcm Hldg Inc
$ 7.98M   $ -18.91M   CERE com Cerevel Therapeutics Hold Inc
$ 3.75M   $ -8.02M   CEVA com Ceva Inc*
$ 25.57M   $ -217.00K   CRL com Charles River Labs Int'l Inc
$ 17.14M   $ 9.40M   CAKE Bond Cheesecake Factory Inc
$ 7.49M   $ -5.34M   CHEF com Chef's Warehouse Inc
$ 30.29M   $ -47.33M   CHGG Bond Chegg Inc
$ 34.14M   $ -75.60M   LNG com Cheniere Energy Inc
$ 187.57M   $ 18.67M   CHK com Chesapeake Energy Corp
$ 86.13M   $ -61.48M   CVX com Chevron Corporation
$ 32.31M   $ 401.00K   CHH com Choice Hotels Int'l Inc
$ 58.42M   $ 23.52M   CHDN com Churchill Downs Inc
$ 29.31M   $ NEW   CRUS com Cirrus Logic Inc
$ 17.38M   $ -46.02M   CLH com Clean Harbors Inc
$ 114.98M   $ 15.49M   YOU com Clear Secure Inc
$ 35.61M   $ NEW   CLX com Clorox Co
$ 91.25M   $ 45.66M   NET com Cloudflare Inc
$ 48.38M   $ 25.12M   NET Bond Cloudflare Inc
$ 137.87M   $ -26.30M   KO com Coca-cola Co
$ 31.56M   $ 8.48M   COLB com Columbia Banking Systems Inc
$ 43.58M   $ -3.86M   CMCO com Columbus Mckinnon Corp
$ 53.97M   $ -26.61M   FIX com Comfort Systems Usa Inc
$ 41.63M   $ -498.00K   CMCSA com Comcast Corp
$ 40.73M   $ 506.00K   CVLT com Commvault Systems Inc
$ 8.50M   $ 2.83M   CODI com Compass Diversified
$ 58.44M   $ 37.16M   CFLT com Confluent Inc
$ 34.05M   $ 424.00K   CNMD com Conmed Corporation
$ 26.39M   $ -4.32M   COO com Cooper Cos Inc
$ 3.75M   $ NEW   CPRT com Copart Inc
$ 58.08M   $ -5.65M   COST com Costco Wholesale Corp-new
$ 70.22M   $ -11.48M   CR com Crane Hldgs Co Com
$ 430.00K   $ -3.05M   WOLF Bond Wolfspeed Inc*
$ 30.48M   $ 1.39M   CRTO adr Criteo S a Sponsored Ads
$ 151.81M   $ -19.61M   CROX com Crocs Inc
$ 66.17M   $ -5.20M   CW com Curtiss-wright Corp
$ 78.93M   $ -21.11M   CYTK com Cytokinetics Inc
$ 4.44M   $ 189.00K   CTKB com Cytek Biosciences Inc
$ 58.54M   $ -24.75M   DHR com Danaher Corp
$ 103.85M   $ -14.55M   DHRPRB cvpfd Danaher Corp
$ 16.19M   $ -140.00K   PLAY com Dave & Busters Entertainment I
$ 5.13M   $ -1.32M   DAWN com Day One Biopharmaceuticals Inc
$ 199.97M   $ 24.25M   DECK com Deckers Outdoor Corp
$ 34.70M   $ 399.00K   DSGX com Descartes Systems Gp Inc
$ 23.73M   $ 2.64M   DVN com Devon Energy Corp
$ 69.75M   $ -50.49M   DXCM com Dexcom Inc
$ 12.15M   $ -6.35M   DXCM Bond Dexcom Inc*
$ 34.50M   $ -1.43M   DXCM Bond Dexcom Inc
$ 77.60M   $ 42.77M   DKS com Dick's Sporting Goods Inc
$ 65.13M   $ 10.44M   DIOD com Diodes Incorporated
$ 8.86M   $ -84.00K   DORM com Dorman Products Inc
$ 91.21M   $ 48.94M   DV com Doubleverify Hldgs Inc
$ 20.37M   $ -232.00K   DOW com Dow Inc
$ 80.58M   $ NEW   DUOL com Duolingo Inc
$ 68.81M   $ NEW   DT com Dynatrace Inc
$ 16.95M   $ -2.87M   ELF com E L F Beauty Inc
$ 4.97M   $ NEW   EGLE Bond Eagle Bulk Shipping Inc
$ 57.70M   $ -857.00K   EXP com Eagle Materials Inc
$ 57.79M   $ -9.52M   EWBC com East West Bancorp Inc
$ 12.21M   $ NEW   ETNB com 89bio Inc
$ 6.82M   $ -64.00K   ESI com Element Solutions Inc
$ 158.17M   $ 7.85M   EME com Emcor Group Inc
$ 19.39M   $ -68.35M   AZPN com Aspen Technology Inc
$ 35.68M   $ 394.00K   ENTG com Entegris Inc
$ 97.48M   $ -10.96M   ETR com Entergy Corp
$ 2.56M   $ -279.00K   ESPR Bond Esperion Therapeutics Inc*
$ 60.41M   $ 5.99M   EEFT com Euronet Worldwide Inc
$ 9.80M   $ 82.00K   EEFT Bond Euronet Worldwide Inc
$ 590.00K   $ -17.37M   EVR com Evercore Inc
$ 268.00K   $ NEW   EXAS Bond Exact Sciences Corp*
$ 4.33M   $ NEW   EXAS Bond Exact Sciences Corp*
$ 5.63B   $ NEW   Bond Exact Sciences Corp*
$ 13.27M   $ 362.00K   EXPE Bond Expedia Group Inc
$ 64.20M   $ NEW   EXPD com Expeditors Intl of Wash Inc
$ 116.29M   $ -28.51M   XOM com Exxon Mobil Corporation
$ 74.44M   $ 19.65M   FLYW com Flywire Corp
$ 25.53M   $ NEW   FCN com Fti Consulting Inc
$ 28.84M   $ 20.69M   FCN Bond Fti Consulting Inc
$ 136.34M   $ NEW   META com Meta Platforms Inc
$ 7.98M   $ NEW   FTCH Bond Farfetch Ltd
$ 1.40M   $ 0.00K   FSS com Federal Signal Corp
$ 45.86M   $ -188.00K   FFIV com F5inc Common Stock
$ 16.88M   $ -12.41M   FNF com Fidelity National Finl Inc
$ 26.06M   $ -7.92M   FBP com First Bancorp Com Stk New
$ 48.65M   $ -4.11M   FR com First Indutrial Realty Tr Inc
$ 6.51M   $ -70.81M   FSLR com First Solar Inc
$ 53.72M   $ -692.00K   FISV com Fiserv Inc
$ 37.76M   $ NEW   FE com Firstenergy Corp
$ 15.82M   $ 411.00K   FVRR Bond Fiverr Intl Ltd
$ 6.39M   $ -3.00K   F Bond Ford Mtr Co Del
$ 31.36M   $ -273.00K   FORM com Formfactor Inc*
$ 23.69M   $ NEW   FTNT com Fortinet Inc
$ 35.05M   $ 2.73M   FOXF com Fox Factory Holding Corp
$ 37.42M   $ 516.00K   GDS Bond Gds Hldgs Ltd
$ 102.29M   $ -13.03M   AJG com Gallagher Arthur J& Co
$ 100.64M   $ 17.51M   GM com General Motors Company Com Stk
$ 31.30M   $ 2.26M   THRM com Gentherm Inc
$ 425.00K   $ 0.00K   GILD com Gilead Sciences Inc
$ 8.39M   $ -4.52M   GTLB com Gitlab Inc
$ 17.08M   $ -28.19M   GKOS com Glaukos Corp
$ 5.01M   $ 0.00K   GKOS Bond Glaukos Corp
$ 26.17M   $ 4.50M   GPN com Global Payments Inc
$ 21.74M   $ -11.71M   GOGO com Gogo Inc
$ 2.58M   $ NEW   GVA Bond Granite Constr Inc*
$ 16.88M   $ -565.00K   GPRE Bond Green Plains Inc
$ 7.11M   $ 0.00K   GBX Bond Greenbrier Cos Inc
$ 202.00K   $ 0.00K   GH Bond Guardant Health Inc
$ 284.00K   $ NEW   GES Bond Guess Inc
$ 4.70M   $ NEW   HEES com H & E Equipment Services Inc
$ 27.25M   $ 11.09M   HCP com Hashicorp Inc
$ 26.47M   $ -13.75M   JKHY com Henry Jack & Associates Inc
$ 6.43M   $ -1.44M   HFWA com Heritage Finl Corp
$ 10.46M   $ -3.89M   HCCI com Heritage-crystal Clean Inc
$ 47.93M   $ 6.28M   HSY com Hershey Company
$ 25.99M   $ NEW   HXL com Hexcel Corp
$ 5.15M   $ -22.54M   HLT com Hilton Worldwide Hldgs Inc
$ 129.38M   $ -313.00K   HD com Home Depot Inc
$ 119.12M   $ -83.98M   HON com Honeywell International Inc
$ 18.91M   $ NEW   HTHT Bond H World Group Ltd
$ 87.26M   $ NEW   HUBS com Hubspot Inc
$ 29.53M   $ NEW   HUBS Bond Hubspot Inc*
$ 129.77M   $ 91.62M   HUM com Humana Inc
$ 25.38M   $ NEW   H com Hyatt Hotels Corporation Com S
$ 40.83M   $ -4.64M   ICFI com Icf International Inc
$ 24.19M   $ NEW   IPGP com Ipg Photonics Corporation Com
$ 22.64M   $ 6.69M   IRTC com Irhythm Technologies Inc
$ 3.12M   $ -126.00K   IBN adr Icici Bank Ltd
$ 30.23M   $ -5.19M   IDA com Idacorp Inc
$ 62.83M   $ 58.03M   IDXX com Idexx Laboratories Corp
$ 18.64M   $ NEW   ILMN Bond Illumina Inc
$ 96.17M   $ 13.80M   PI com Impinj Inc
$ 65.29M   $ 5.23M   INDI com Indie Semiconductor Inc*
$ 27.98M   $ 91.00K   INSM Bond Insmed Inc
$ 111.02M   $ 1.79M   INSP com Inspire Med Sys Inc
$ 64.06M   $ -48.71M   PODD com Insulet Corp
$ 22.52M   $ -10.94M   PODD Bond Insulet Corp*
$ 21.55M   $ 16.18M   IAS com Integral Ad Science Hldg Corp
$ 27.62M   $ -6.01M   IPAR com Inter Parfums Inc
$ 16.67M   $ -139.00K   IMXI com International Money Express In
$ 40.12M   $ -10.45M   ITCI com Intra-cellular Therapies Inc
$ 80.15M   $ -696.00K   INTU com Intuit Inc
$ 618.00K   $ -88.57M   ISRG com Intuitive Surgical Inc
$ 15.33M   $ -73.80M   BKLN etf Invesco Senior Loan ETF
$ 4.12M   $ 154.00K   ISEE com Iveric Bio Inc
$ 348.94M   $ -4.45M   JPM com Jpmorgan Chase & Co Com Stk
$ 17.04M   $ 7.23M   JBLU Bond Jetblue Airways Corp
$ 13.56M   $ 647.00K   KBR Bond Kbr Inc
$ 119.34M   $ -28.79M   KLAC com Kla Corporation Common Stock
$ 64.26M   $ 8.15M   KKR com Kkr & Co Inc
$ 88.50M   $ -10.30M   KRTX com Karuna Therapeutics Inc
$ 28.54M   $ 16.71M   KMPR com Kemper Corp
$ 18.07M   $ -1.16M   KIM com Kimco Realty Corporation
$ 2.67M   $ 0.00K   KTB com Kontoor Brands Inc
$ 76.28M   $ -25.14M   KRYS com Krystal Biotech Inc
$ 6.33M   $ -4.56M   KRUS com Kura Sushi Usa Inc*
$ 56.11M   $ NEW   LH com Laboratory Crp Amer Hldgs
$ 172.48M   $ 106.21M   LRCX com Lam Research Corp
$ 22.64M   $ NEW   LW com Lamb Weston Hldgs Inc
$ 64.12M   $ 35.59M   LNTH com Lantheus Hldgs Inc
$ 231.61M   $ 87.96M   LSCC com Lattice Semiconductor Corp
$ 19.71M   $ -145.00K   EL com Estee Lauder Co's Inc
$ 2.71M   $ -16.39M   LEGN adr Legend Biotech Corp
$ 145.92M   $ -147.45M   LLY com Eli Lilly and Co
$ 53.57M   $ 23.90M   LFUS com Littelfuse Inc
$ 6.03M   $ -82.00K   LTHM Bond Livent Corp*
$ 45.92M   $ -9.70M   LMT com Lockheed Martin Corp
$ 112.14M   $ -73.32M   LOW com Lowes Companies Inc
$ 5.95M   $ NEW   LYFT Bond Lyft Inc
$ 11.81M   $ 483.00K   MRC com Mrc Global Inc
$ 80.66M   $ 26.59M   MSCI com Msci Inc
$ 5.60M   $ NEW   MYRG com Myr Group Inc
$ 15.97M   $ -25.93M   MDGL com Madrigal Pharmaceuticals Inc
$ 5.49M   $ -22.84M   MMYT Bond Makemytrip Limited Mauritius
$ 16.42M   $ NEW   MANH com Manhattan Associates Inc
$ 72.78M   $ NEW   MFC com Manulife Financial Corp
$ 198.86M   $ 2.08M   MPC com Marathon Pete Corp
$ 30.53M   $ 778.00K   MMI com Marcus & Millichap Inc
$ 117.45M   $ 86.11M   MKTX com Market*
$ 6.72M   $ -150.00K   VAC Bond Marriott Vacations Worldwide
$ 75.24M   $ 0.00K   MMC com Marsh & Mclennan Cos Inc
$ 55.00M   $ -692.00K   MAR com Marriott Int'l Inc
$ 65.47M   $ 7.42M   MAS com Masco Corp
$ 49.17M   $ 486.00K   DOOR com Masonite International Corpora
$ 16.85M   $ 726.00K   MTZ com Mastec Inc
$ 218.00M   $ -52.88M   MA com Mastercard Incorporated Cl a C
$ 16.16M   $ NEW   MMS com Maximus Inc
$ 49.00M   $ -23.89M   MCD com Mcdonalds Corp
$ 33.42M   $ -8.29M   MCK com Mckesson Corporation
$ 117.59M   $ 7.79M   MELI com Mercadolibre Inc*
$ 22.59M   $ 4.68M   MELI Bond Mercadolibre Inc*
$ 237.00K   $ -71.00K   MRK com Merck & Co Inc
$ 54.44M   $ NEW   MTD com Mettler-toledo Int'l Inc
$ 582.25M   $ -265.03M   MSFT com Microsoft Corp
$ 16.88B   $ -186.46M   Bond Microchip Technology Inc*
$ 39.39M   $ 2.78M   MU com Micron Technology Inc
$ 6.23M   $ -425.00K   MLR com Miller Industries Inc
$ 11.83M   $ 6.72M   MIR com Mirion Technologies Inc
$ 102.70M   $ NEW   MBLY com Mobileye Global Inc
$ 51.34M   $ 21.09M   MC com Moelis & Co Cl a Com Stk
$ 100.33M   $ 37.13M   MOH com Molina Healthcareinc
$ 110.04M   $ 21.69M   MPWR com Monolithic Power Systems Inc
$ 268.62M   $ -35.83M   MS com Morgan Stanley
$ 47.94M   $ -10.61M   NOV com Nov Inc
$ 18.18M   $ 687.00K   NSSC com Napco Security Technologies In
$ 68.59M   $ -31.59M   NDAQ com Nasdaq Inccom Stk
$ 48.84M   $ 16.71M   NTRA com Natera Inc
$ 17.43B   $ -1.77B   NTRA Bond Natera Inc*
$ 32.74M   $ 513.00K   NSA com National Storage Affiliates Tr
$ 28.10M   $ 16.71M   NRDS com Nerdwallet Inc
$ 63.17M   $ 2.83M   NTAP com Netapp Inc
$ 130.82M   $ 24.71M   NFLX com Netflix Com Inc
$ 12.39M   $ -10.92M   NBIX Bond Neurocrine Biosciences Inc
$ 35.98M   $ 13.77M   NEWR Bond New Relic Inc
$ 29.20M   $ NEW   NXT com Nextracker Inc
$ 16.31M   $ 1.62M   NXST com Nexstar Media Group Inc
$ 150.24M   $ 4.19M   NEE com Nextera Energy Inc
$ 239.51M   $ -41.80M   NEEPRQ cvpfd Nextera Energy Inc
$ 133.36M   $ 13.22M   NKE com Nike Inc
$ 120.44M   $ 3.95M   NSC com Norfolk Southern Corp
$ 141.50M   $ -36.00M   NOC com Northrop Grumman Cp
$ 22.86M   $ -14.83M   NUE com Nucor Corp*
$ 347.39M   $ 173.53M   NVDA com Nvidia Corp*
$ 329.00K   $ 0.00K   NUVA com Nuvasive Inc
$ 9.21M   $ 3.29M   OSIS com Osi Systems Inc
$ 60.33M   $ NEW   OKTA com Okta Inc
$ 60.87M   $ 30.87M   OKTA Bond Okta Inc
$ 49.57M   $ NEW   ODFL com Old Dominion Freight Lines Inc
$ 22.05M   $ 13.90M   OLK adr Olink Hldg Ab Sponsored Ads*
$ 120.95M   $ 51.14M   ON com On Semiconductor Corp
$ 12.73M   $ -22.24M   ON Bond On Semiconductor Corp
$ 3.27M   $ -2.92M   OOMA com Ooma Inc
$ 144.70M   $ -18.32M   OGN com Organon & Co
$ 22.08M   $ -2.01M   OTIS com Otis Worldwide Corp
$ 6.88M   $ -1.07M   OXM com Oxford Industries Inc*
$ 31.33M   $ -7.12M   PACB com Pacific Biosciences of Califor*
$ 429.00K   $ -3.56M   PTVE com Pactiv Evergreen Inc
$ 27.57M   $ NEW   PD com Pagerduty Inc
$ 66.19M   $ 62.93M   PANW com Palo Alto Networks Inc
$ 64.26M   $ 1.36M   PANW Bond Palo Alto Networks Inc
$ 388.92M   $ -2.54M   PH com Parker-hannifin Corp
$ 2.38M   $ -3.04M   PAYC com Paycom Software Inc
$ 17.49M   $ -52.66M   PCTY com Paylocity Holding Corp
$ 43.24M   $ 5.95M   PYPL com Paypal Hldgs Inc
$ 40.43M   $ 33.90M   PEN com Penumbra Inc
$ 24.63M   $ 6.35M   PRFT com Perficient Inc
$ 35.43M   $ -221.00K   PR com Permian Res Corp
$ 117.07M   $ -60.88M   PFE com Pfizer Inc
$ 46.62M   $ NEW   PM com Philip Morris Intl
$ 5.92M   $ -76.00K   DOC com Physicians Rlty Tr Com
$ 9.48M   $ 6.44M   PHR com Phreesia Inc
$ 61.95M   $ 9.15M   PDD adr Pdd Holdings Inc
$ 9.13M   $ -9.97M   PDD Bond Pdd Holdings Inc*
$ 1.19M   $ 1.13M   PDD Bond Pdd Holdings Inc
$ 27.28M   $ -2.43M   PINS com Pinterest Inc
$ 51.44M   $ 2.78M   PXD com Pioneer Nat Res Co
$ 22.42M   $ -17.81M   PXD Bond Pioneer Nat Res Co
$ 38.99M   $ 12.77M   PIPR com Piper Sandler Companies
$ 54.20M   $ -13.19M   PLNT com Planet Fitness Inc
$ 39.13M   $ 25.95M   PLRX com Pliant Therapeutics Inc*
$ 4.50M   $ NEW   POOL com Pool Corporation Com Stk
$ 55.07M   $ -236.00K   POR com Portland General Electric Co N
$ 5.68M   $ -38.18M   PWSC com Powerschool Hldgs Inc
$ 70.00M   $ -50.16M   PG com Procter & Gamble
$ 3.26M   $ NEW   PCOR com Procore Technologies Inc
$ 2.88M   $ -1.36M   PRCT com Procept Biorobotics Corp
$ 25.80M   $ 708.00K   PGR com Progressive Corp
$ 93.94M   $ -81.03M   PLD com Prologis Inc
$ 48.87M   $ 15.14M   RXDX com Prometheus Biosciences Inc
$ 7.33M   $ -62.00K   PB com Prosperity Bancshares Inc
$ 5.80M   $ -3.52M   PWR com Quanta Services Inc
$ 6.66M   $ 96.00K   RH Bond Rh
$ 91.90M   $ -8.17M   RMBS com Rambus Inc
$ 298.11M   $ -95.36M   RTX com Raytheon Technologies Corp
$ 33.52M   $ -17.02M   RBC com Rbc Bearings Inc
$ 25.81M   $ -9.08M   RBCP cvpfd Rbc Bearings Inc
$ 222.90M   $ 11.31M   RS com Reliance Steel & Aluminum Co
$ 70.90M   $ 5.72M   RELY com Remitly Global Inc
$ 53.85M   $ -2.61M   RGEN com Repligen Corp
$ 15.53M   $ -5.63M   RGEN Bond Repligen Corp
$ 7.28M   $ NEW   RVNC com Revance Therapeutics Inc
$ 25.67M   $ NEW   RBLX com Roblox Corp
$ 18.82M   $ 10.10M   RCKT com Rocket Pharmaceuticals Inc
$ 82.39M   $ NEW   ROK com Rockwell Automation Inc
$ 17.59M   $ -100.00K   RCM com R1 Rcm Inc*
$ 137.37M   $ 63.94M   ROP com Roper Technologies Inc
$ 54.91M   $ 17.02M   ROST com Ross Stores Inc
$ 213.59M   $ 15.89M   SHEL adr Royal Dutch Shell Plc Spons A
$ 5.53M   $ NEW   RXST com Rxsight Inc
$ 95.42M   $ 22.28M   SPGI com S&P Global Inc
$ 25.38M   $ -35.41M   SRLN etf SPDR Blackstone / Gso Senior Loan ETF
$ 8.72M   $ -917.00K   SP com Sp Plus
$ 902.88M   $ NEW   Bond Sabre Glbl Inc*
$ 8.08M   $ NEW   SAGE com Sage Therapeutics Inc
$ 68.28M   $ 4.56M   SAIA com Saia Inc*
$ 40.87M   $ NEW   IOT com Samsara Inc
$ 80.97M   $ -63.17M   SRPT com Sarepta Therapeutics Inc
$ 5.17M   $ -2.63M   SRPT Bond Sarepta Therapeutics Inc
$ 14.23M   $ -6.29M   SRPT Bond Sarepta Therapeutics Inc
$ 75.64M   $ -23.61M   SLB com Schlumberger Ltd
$ 122.71M   $ 26.92M   SCHW com Schwab Charles Corp
$ 3.70M   $ NEW   SE Bond Sea Ltd
$ 23.00M   $ 2.99M   SE Bond Sea Ltd
$ 7.25M   $ NEW   SBCF com Seacoast Bkg Corp
$ 10.83M   $ -3.30M   SEAS com Seaworld Entertainment Inc
$ 29.28M   $ -5.28M   SIGI com Selective Insurance Group Inc
$ 81.21M   $ NEW   NOW com Servicenow Inc
$ 33.77M   $ NEW   SHAK com Shake Shack Inc
$ 5.21M   $ -48.00K   SHAK Bond Shake Shack Inc
$ 30.26M   $ NEW   SHW com Sherwin-williams Co
$ 55.12M   $ 34.60M   FOUR com Shift4 Payments Inc
$ 27.13M   $ NEW   FOUR Bond Shift4 Pmts Inc*
$ 5.38M   $ NEW   FOUR Bond Shift4 Pmts Inc
$ 5.69M   $ -43.60M   SWAV com Shockwave Med Inc
$ 16.57M   $ -4.67M   SHLS com Shoals Technologies Group Inc
$ 123.82M   $ -1.59M   SHOP com Shopify Inc*
$ 73.01M   $ -7.09M   SHOP Bond Shopify Inc
$ 3.92M   $ 917.00K   SGHT com Sight Sciences Inc
$ 31.98M   $ NEW   SLAB com Silicon Laboratories Inc
$ 9.22M   $ NEW   SLAB Bond Silicon Laboratories Inc*
$ 30.31M   $ -4.96M   SILK com Silk Rd Med Inc
$ 32.15M   $ NEW   SITE com Siteone Landscape Supply Inc
$ 23.96M   $ NEW   AOS com Smith a O Corp
$ 32.10M   $ NEW   SMAR com Smartsheet Inc
$ 23.89M   $ NEW   SNA com Snap on Incorporated
$ 2.48M   $ -4.35M   SEDG com Solaredge Technologies Inc
$ 7.85M   $ -302.00K   SEDG Bond Solaredge Technologies Inc
$ 131.00K   $ NEW   DTC com Solo Brands Inc
$ 3.70M   $ -4.05M   SSB com Southstate Corp
$ 7.36M   $ -37.00K   LUV Bond Southwest Airls Co
$ 32.39M   $ -668.00K   SPB com Spectrum Brands Hldgs Inc
$ 25.27M   $ NEW   SPLK Bond Splunk Inc
$ 52.85M   $ 17.72M   SPT com Sprout Social Inc
$ 30.65M   $ -15.16M   SQ com Blockinc Class a Com Stk*
$ 27.83M   $ NEW   SQ Bond Block Inc
$ 45.06M   $ -11.67M   SQ Bond Block Inc
$ 5.22M   $ 0.00K   STAG com Stag Indl Inc
$ 28.10M   $ 4.38M   SWK com Stanley Black & Decker Inc
$ 164.15M   $ -11.59M   SBUX com Starbucks Corporation
$ 22.65M   $ 1.25M   STC com Stewart Information Svcs Corp
$ 4.52M   $ 1.35M   SNPS com Synopsys Inc
$ 10.33M   $ 3.17M   SNDX com Syndax Pharmaceuticals Inc
$ 63.25M   $ -350.00K   TJX com Tjx Companies Inc
$ 46.26M   $ -3.37M   TMUS com T-mobile Us Inc
$ 24.02M   $ -1.92M   TPG com Tpg Inc
$ 102.76M   $ 101.86M   TSM adr Taiwan Semicon Mfg Ltd*
$ 18.65M   $ 336.00K   TPR com Tapestry Inc
$ 70.20M   $ -417.00K   TGT com Target Corporation
$ 2.14M   $ NEW   TECK com Teck Resources Limited Class B
$ 60.42M   $ -616.00K   TDY com Teledyne Technologies Inc
$ 35.59M   $ 15.32M   TENB com Tenable Hldgs Inc
$ 53.28M   $ NEW   TXG com 10x Genomics Inc
$ 35.82M   $ 677.00K   THC com Tenet Healthcare Corporation
$ 19.24M   $ 21.00K   TER com Teradyne Inc
$ 36.89M   $ -2.57M   TSLA com Tesla Inc*
$ 25.47M   $ -45.89M   TTEK com Tetra Tech Inc
$ 196.41M   $ -14.31M   TXN com Texas Instruments
$ 78.89M   $ 14.09M   TXRH com Texas Roadhouse Inc
$ 7.40M   $ NEW   SKIN com Beauty Health Company Cl A
$ 96.85M   $ 46.89M   TTD com Trade Desk Inc
$ 43.65M   $ -1.94M   TMO com Thermo Fisher Scientific Inc
$ 3.65M   $ -301.00K   TITN com Titan Machinery Inc
$ 27.67M   $ -25.14M   TOST com Toast Inc
$ 23.16M   $ NEW   TTC com Toro Company
$ 5.71M   $ 28.00K   TSCO com Tractor Supply Co
$ 22.63M   $ NEW   TW com Tradeweb Mkts Inc
$ 49.36M   $ 39.13M   TDG com Transdigm Group Incorporated C
$ 140.67M   $ 50.55M   TMDX com Transmedics Group Inc
$ 7.52M   $ -6.16M   TMCI com Treace Med Concepts Inc
$ 3.20M   $ -4.01M   TBI com Trueblue Inc
$ 44.16M   $ -7.37M   UBER Bond Uber Technologies Inc
$ 77.47M   $ 23.01M   ULTA com Ulta Beauty Inc
$ 104.21M   $ 0.00K   UL adr Unilever Plc Ads New
$ 119.23M   $ -338.00K   UNP com Union Pacific Corporation
$ 26.72M   $ NEW   URI com United Rentals Inc
$ 342.45M   $ -55.67M   UNH com Unitedhealth Group Inc
$ 18.06M   $ NEW   OLED com Universal Display Corp
$ 25.96M   $ -18.67M   VMI com Valmont Inds Inc
$ 108.84M   $ -2.46M   VVV com Valvoline Inc
$ 48.13M   $ -19.17M   VTYX com Ventyx Biosciences Inc*
$ 59.89M   $ -60.77M   VRTX com Vertex Pharmaceuticals Inc
$ 5.78M   $ NEW   VKTX com Viking Therapeutics Inc
$ 55.40M   $ -46.24M   V com Visa Inc
$ 13.97M   $ -22.22M   COCO com Vita Coco Co Inc
$ 40.68M   $ -32.15M   VMC com Vulcan Materials Company
$ 6.29M   $ -48.00K   WSFS com Wsfs Finl Corp
$ 41.96M   $ NEW   WNS adr Wns Holdings Limited Ads Shs
$ 1.26M   $ NEW   WIX Bond Wix Com Ltd
$ 170.86M   $ 10.43M   WMT com Wal-mart Inc
$ 43.98M   $ NEW   WM com Waste Management Inc
$ 48.81M   $ -626.00K   WFC com Wells Fargo & Co
$ 17.33M   $ -120.00K   WFCPRL cvpfd Wells Fargo 75% Non Cumv Perp*
$ 27.10M   $ -14.30M   WST com West Pharmaceutical Serv Inc
$ 78.66M   $ 32.15M   WDC Bond Western Digital Corp
$ 63.65M   $ 1.90M   WING com Wingstop Inc
$ 31.58M   $ 721.00K   WTFC com Wintrust Finl Corp
$ 7.59M   $ -16.16M   WWE Bond World Wrestling Entmt Inc*
$ 71.43M   $ 42.34M   WYNN com Wynn Resorts Ltd
$ 63.48M   $ -12.16M   XENE com Xenon Pharmaceuticals Inc
$ 18.73M   $ 10.73M   XPOF com Xponential Fitness Inc
$ 13.66M   $ 8.28M   YEXT com Yext Inc
$ 28.57M   $ NEW   YETI com Yeti Hldgs Inc
$ 30.11M   $ NEW   ZETA com Zeta Global Hldgs Corp
$ 52.09M   $ 9.32M   ZTS com Zoetis Inc
$ 10.12M   $ 638.00K   ZS Bond Zscaler Inc
$ 4.26M   $ NEW   ZUO com Zuora Inc
$ 35.27M   $ 819.00K   ALLE com Allegion Pub Ltd
$ 63.34M   $ -10.06M   ACGL com Arch Capital Group Ltd
$ 18.16M   $ -146.00K   AXTA com Axalta Coating Sys Ltd
$ 60.63M   $ -5.83M   ACN com Accenture Plc Cl-a Ordinary Sh
$ 2.15M   $ -7.00K   BAP com Credicorp Ltd
$ 139.78M   $ 59.02M   ETN com Eaton Corp
$ 91.76M   $ 10.78M   FERG com Ferguson Plc New
$ 4.03M   $ NEW   GFS com Globalfoundries Inc
$ 23.24M   $ 119.00K   HELE com Helen of Troy Ltd-new-bermuda
$ 55.85M   $ -20.16M   JCI com Johnson Ctls Intl Plc Shs
$ 24.63M   $ NEW   LIN com Linde Plc New Shs
$ 29.19M   $ 8.07M   APTVPRA preferred stock Aptiv Plc Mandatory Pfd Conv S
$ 46.02M   $ NEW   NVT com Nvent Elec Plc Shs
$ 169.03M   $ 20.79M   RNR com Renaissancere Holdings Ltd
$ 25.08M   $ NEW   PNR com Pentair Plc
$ 25.51M   $ 1.09M   ST com Sensata Technologies Hldg Plc
$ 39.39M   $ -339.00K   STE com Steris Plc Ord Shs
$ 9.97M   $ -37.76M   FTI com Technipfmc Plc Com
$ 3.99M   $ NEW   TGLS com Tecnoglass Inc
$ 127.59M   $ 29.12M   CB com Chubb Ltd
$ 5.60M   $ NEW   ONON com On Hldg Ag Namen Akt A
$ 99.74M   $ NEW   SPOT com Spotify Technology S a Shs
$ 20.65M   $ -19.18M   CYBR com Cyberark Software Ltd
$ 49.25M   $ 17.77M   FVRR com Fiverr Intl Ltd
$ 45.00M   $ 20.23M   GLBE com Global-e Online Ltd*
$ 3.28M   $ -19.64M   FROG com Jfrog Ltd
$ 2.31M   $ NEW   PERI com Perion Network Ltd*
$ 35.56M   $ NEW   MNDY com Monday Com Ltd
$ 23.32M   $ NEW   WIX com Wixcom Ltd
$ 107.93M   $ -4.42M   AER com Aercap Holdings Nv Ord Shs
$ 48.06M   $ NEW   RACE com Ferrari N v New Com Shs
$ 5.12M   $ 2.06M   QURE com Uniqure N v Ord Shs
$ 4.26M   $ 757.00K   IFS com Intercorp Finl Svcs Inc
$ SOLD   $ -8.61M   AGCO com Agco Corp
$ SOLD   $ -238.00K   AES com Aes Corporation
$ SOLD   $ -10.97M   AESC cvpfd Aes Corp
$ SOLD   $ -6.59M   A com Agilent Technologies Inc
$ SOLD   $ -3.10M   AKYA com Akoya Biosciences Inc
$ SOLD   $ -3.93M   AQNU cvpfd Algonquin Pwr & Utils Corp
$ SOLD   $ -56.76M   BABA adr Alibaba Group Hldg Ltd*
$ SOLD   $ -120.82M   ALNY com Alynlam Pharmaceuticals Inc
$ SOLD   $ -52.39M   AMRC com Ameresco Inc
$ SOLD   $ -21.87M   AMGN com Amgen Inc
$ SOLD   $ -2.01M   AR com Antero Resources Corporation C
$ SOLD   $ -8.32B   Bond Antero Resources Corp*
$ SOLD   $ -23.29M   ADM com Archer Daniels Midland Co
$ SOLD   $ -38.14M   ARRY com Array Technologies Inc
$ SOLD   $ -17.53B   ARRY Bond Array Technologies Inc*
$ SOLD   $ -2.97M   AIP com Arteris Inc*
$ SOLD   $ -5.94M   AVID com Avid Tech Inc
$ SOLD   $ -5.04M   BMI com Badger Meter Inc
$ SOLD   $ -42.34M   BCPC com Balchem Corp
$ SOLD   $ -21.24M   WRB com Berkley
$ SOLD   $ -43.04M   BILI adr Bilibili Inc
$ SOLD   $ -45.37M   BILL com Bill Com Hldgs Inc
$ SOLD   $ -38.81M   BILL Bond Bill Com Hldgs Inc
$ SOLD   $ -75.58M   BIIB com Biogen Inc
$ SOLD   $ -23.23M   BFB com Brown-forman Corp
$ SOLD   $ -6.42M   BY com Byline Bancorp Inc
$ SOLD   $ -21.73M   CI com Cigna Corp
$ SOLD   $ -28.98M   CBT com Cabot Corp
$ SOLD   $ -10.42M   WHD com Cactus Inc
$ SOLD   $ -23.11M   CP com Canadian Pacific Railway Ltd
$ SOLD   $ -34.22M   CAH com Cardinal Health Inc
$ SOLD   $ -7.93M   CRS com Carpenter Technology Corp*
$ SOLD   $ -42.74M   CELH com Celsius Holdings Inc
$ SOLD   $ -533.00K   CNC com Centene Corp
$ SOLD   $ -6.25M   CCS com Century Cmntys Inc
$ SOLD   $ -5.74M   CDAY Bond Ceridian Hcm Hldg Inc
$ SOLD   $ -18.51M   CHX com Championx Corp
$ SOLD   $ -132.81M   CMG com Chipolte Mexican Grill Inc
$ SOLD   $ -2.99M   CLFD com Clearfield in Com Stk*
$ SOLD   $ -372.00K   CDXS com Codexis Inc*
$ SOLD   $ -17.13M   CTVA com Corteva Inc
$ SOLD   $ -60.24M   CSGP com Costar Group Inc
$ SOLD   $ -31.72M   COUP Bond Coupa Software Inc
$ SOLD   $ -10.95M   COUP Bond Coupa Software Inc
$ SOLD   $ -5.38M   CPNG com Coupang Inc
$ SOLD   $ -2.68M   CUTR com Cutera Inc*
$ SOLD   $ -12.10M   CYBR Bond Cyberark Software Ltd
$ SOLD   $ -25.93M   DHI com Dr Horton Inc
$ SOLD   $ -145.45M   DE com Deere & Co
$ SOLD   $ -3.18M   DISH Bond Dish Network Corporation
$ SOLD   $ -37.86M   DPZ com Domino's Pizza Inc
$ SOLD   $ -13.77M   DKNG Bond Draftkings Inc
$ SOLD   $ -16.52M   DRVN com Driven Brands Hldgs Inc
$ SOLD   $ -2.02M   EQT com Eqt Corporation Com Stk
$ SOLD   $ -34.58M   EQT Bond Eqt Corp
$ SOLD   $ -35.94M   DAVA adr Endava Plc Ads
$ SOLD   $ -94.51M   ENPH com Enphase Energy Inc
$ SOLD   $ -139.00K   ENPH Bond Enphase Energy Inc
$ SOLD   $ -33.28M   ENPH Bond Enphase Energy Inc
$ SOLD   $ -42.75M   EPAM com Epam Sys Inc
$ SOLD   $ -7.04M   EQH com Equitable Hldgs Inc
$ SOLD   $ -3.04M   ESPR com Esperion Therapeutics Inc
$ SOLD   $ -56.74M   ETSY com Etsy Inc
$ SOLD   $ -15.70M   ETSY Bond Etsy Inc
$ SOLD   $ -13.99M   ETSY Bond Etsy Inc
$ SOLD   $ -48.16M   AQUA com Evoqua Water Technologies Corp
$ SOLD   $ -28.31M   FIVE com Five Below Inc
$ SOLD   $ -268.00K   FLR com Fluor Corporation
$ SOLD   $ -5.26M   FTV com Fortive Corp
$ SOLD   $ -25.73M   FCX com Freeport-mcmoran Inc
$ SOLD   $ -31.23M   GIS com General Mills Inc
$ SOLD   $ -24.87M   GMAB adr Genmab a/s Ads
$ SOLD   $ -20.80M   GPC com Genuine Parts Co
$ SOLD   $ -20.99M   GBCI com Glacier Bancorp Inc
$ SOLD   $ -44.29M   GWW com Grainger Wwinc
$ SOLD   $ -11.00K   GBX Bond Greenbrier Cos Inc
$ SOLD   $ -2.35M   PAC adr Grupo Aeroportuario Del Pacifi
$ SOLD   $ -8.38M   HOG com Harley Davidson Inc
$ SOLD   $ -4.42M   HRMY com Harmony Biosciences Hldgs Inc
$ SOLD   $ -3.62M   HUBB com Hubbell Inc
$ SOLD   $ -33.12M   HII com Huntington Ingalls Inds Inc
$ SOLD   $ -37.18M   NARI com Inari Med Inc
$ SOLD   $ -2.29M   INSM com Insmed Inc-new
$ SOLD   $ -402.00K   IQ Bond Iqiyi Inc
$ SOLD   $ -1.76M   IWD etf Ishares Russell 1000 Value ETF
$ SOLD   $ -25.70M   J com Jacobs Solutions Inc
$ SOLD   $ -7.81M   JAMF com Jamf Hldg Corp
$ SOLD   $ -8.61M   JAMF Bond Jamf Hldg Corp
$ SOLD   $ -23.08M   KNSL com Kinsale Cap Group Inc
$ SOLD   $ -40.98M   LSI com Life Storage Inc
$ SOLD   $ -284.00K   LYV com Live Nation Entertainment Inc
$ SOLD   $ -99.70M   LULU com Lululemon Athletica Inc
$ SOLD   $ -6.96M   LITE Bond Lumentum Hldgs Inc
$ SOLD   $ -5.89M   MGPI com Mgp Ingredients Inc
$ SOLD   $ -12.91B   MGPI Bond Mgp Ingredients Inc*
$ SOLD   $ -1.57M   MYTE adr Myt Neth Parent B v Ads*
$ SOLD   $ -9.29M   MCS com Marcus Corp
$ SOLD   $ -25.30M   MKL com Markel Corporation
$ SOLD   $ -21.11M   MTDR com Matador Res Co Com Stk
$ SOLD   $ -25.41M   MEDP com Medpace Hldgs Inc
$ SOLD   $ -6.26M   MLCO adr Melco Resorts & Entmt Ltd
$ SOLD   $ -8.86M   MCRI com Monarch Casino & Resort Inc
$ SOLD   $ -8.04M   MEG com Montrose Environmental Group I
$ SOLD   $ -20.00K   NIO Bond Nio Inc
$ SOLD   $ -39.53M   NRG com Nrg Energy Inc
$ SOLD   $ -10.99M   NVEE com Nv5 Global Inc
$ SOLD   $ -281.00K   NBIX com Neurocrine Biosciences Inc
$ SOLD   $ -49.68M   NEM com Newmont Corporation
$ SOLD   $ -53.29M   NVO adr Novo Nordisk Ads
$ SOLD   $ -27.95M   ORLY com O Reilly Automotive Inc
$ SOLD   $ -243.00K   ORA com Ormat Technologies Inc
$ SOLD   $ -23.49M   PCG com Pg&e Corporation
$ SOLD   $ -33.05M   PSN com Parsons Corp
$ SOLD   $ -10.16M   PSN Bond Parsons Corp
$ SOLD   $ -13.96M   PENN Bond Penn Entertainment Inc
$ SOLD   $ -1.79M   TLK adr Perusahaan Perseroan Tele 1 Ad
$ SOLD   $ -18.35M   BPOP com Popular Inc
$ SOLD   $ -6.86M   PSTG com Pure Storage Inc
$ SOLD   $ -10.62M   XM com Qualtrics Intl Inc*
$ SOLD   $ -34.03M   RJF com Raymond James Financial Inc
$ SOLD   $ -5.13M   RGP com Resources Connection Inc
$ SOLD   $ -30.94M   REYN com Reynolds Consumer Prods Inc
$ SOLD   $ -7.58M   SBSW adr Sibanye Stillwater Ltd
$ SOLD   $ -58.77M   SNOW com Snowflake Inc
$ SOLD   $ -10.65M   STWD Bond Starwood Ppty Tr Inc
$ SOLD   $ -3.32M   SNEX com Stonex Group Inc
$ SOLD   $ -25.40M   SUM com Summit Matls Inc
$ SOLD   $ -11.98M   NOVA Bond Sunnova Energy Intl Inc
$ SOLD   $ -22.41M   SPWR Bond Sunpower Corp
$ SOLD   $ -29.45M   RUN Bond Sunrun Inc
$ SOLD   $ -25.19M   SHO com Sunstone Hotel Investors Inc
$ SOLD   $ -34.35M   TALO com Talos Energy Inc
$ SOLD   $ -4.35M   UAA Bond Under Armour Inc
$ SOLD   $ -4.37M   MTN com Vail Resorts Inc
$ SOLD   $ -241.00K   VEEV com Veeva Systems Inc
$ SOLD   $ -22.65M   WAB com Wabtec
$ SOLD   $ -25.47M   WRBY com Warby Parker Inc
$ SOLD   $ -5.07M   WMG com Warner Music Group Corp
$ SOLD   $ -4.64M   W Bond Wayfair Inc
$ SOLD   $ -49.71M   WWE com World Wrestling Entertainment
$ SOLD   $ -3.46M   XYL com Xylem Inc
$ SOLD   $ -3.76M   ZIP com Ziprecruiter Inc
$ SOLD   $ -45.65M   HZNP com Horizon Therapeutics Pub Ltd
$ SOLD   $ -14.43M   GLOB com Globant S a Com Shs


Other Filings Available: 2024/q3 2024/q2 2024/q1 2023/q4 2023/q3 2023/q2 2023/q1 2022/q4 2022/q3 2022/q2