| 1 | SBSAASpanish Broadcasting System Inc | Media | — | — | — | $6.21 | — |
| 2 | BACKIMAC Holdings Inc | Biotechnology | — | — | 0.13 | $1.89 K | 6,291,957 |
| 3 | GTCHGbt Technologies Inc | Technology | — | — | — | $22.2 K | — |
| 4 | FGNVForge Innovation Development Corp | N/A | — | — | — | $55.4 K | — |
| 5 | SCPXScorpius Holdings Inc | Biotechnology | — | — | — | $67.3 K | — |
| 6 | BTMBitcoin Depot Inc | Commercial Services & Supplies | — | — | 0.35 | $230 K | 1,534,205 |
| 7 | BZYRBurzynski Research Institute Inc | Biotechnology | — | — | — | $263 K | — |
| 8 | CYTOFAltamira Therapeutics Ltd | Pharmaceuticals | — | — | — | $406 K | — |
| 9 | CREGSmart Powerr Corp | Commercial Services & Supplies | — | — | — | $495 K | — |
| 10 | ECIAEncision Inc | Health Care | — | — | — | $715 K | — |
| 11 | ZSPCzSpace, Inc. | Diversified Consumer Services | — | — | 0.15 | $732 K | 5,348,034 |
| 12 | AMIHAmerican International Holdings Corp | N/A | — | — | — | $761 K | — |
| 13 | HBUVHubilu Venture Corporation | N/A | — | — | — | $1.05 M | — |
| 14 | MSSMaison Solutions Inc | Retail | — | — | — | $1.30 M | — |
| 15 | DRCTDirect Digital Holdings Inc | Media | — | — | — | $1.53 M | — |
| 16 | CLSDClearside Biomedical, Inc | Pharmaceuticals | — | — | — | $1.84 M | — |
| 17 | ACUTAccustem Sciences Inc | Biotechnology | — | — | — | $2.57 M | — |
| 18 | JAGXJaguar Health Inc | Pharmaceuticals | ▼− 23.68% | — | 0.53 | $2.60 M | 2,649,118 |
| 19 | ADMTADM Tronics Unlimited Inc | Chemicals | — | — | — | $2.68 M | — |
| 20 | KWIKKwikclick Inc | Media | — | — | — | $2.70 M | — |
| 21 | CASIFCASI Pharmaceuticals Inc | Biotechnology | — | — | — | $3.15 M | — |
| 22 | BIAFbioAffinity Technologies Inc | Biotechnology | ▲+ 9.31% | — | 13.97 | $3.24 M | 19,307,236 |
| 23 | LDLDXCLondax Corp | N/A | — | — | — | $3.35 M | — |
| 24 | EESEEnergy and Environmental Services Inc | Chemicals | — | — | — | $3.60 M | — |
| 25 | EUSPAivita Group Inc | Utilities | — | — | — | $4.20 M | — |
| 26 | HGTXUHugoton Royalty Trust | Energy | — | — | 0.12 | $4.94 M | — |
| 27 | SGRPSPAR Group Inc | Media | — | — | — | $7.04 M | — |
| 28 | ONFOOnfolio Holdings Inc | Media | — | — | — | $7.88 M | — |
| 29 | AHNRAthena Gold Corp | N/A | — | — | — | $8.06 M | — |
| 30 | HLYKHealthlynked Corp | Health Care | — | — | — | $8.09 M | — |
| 31 | AIREreAlpha Tech Corp | Technology | ▼− 3.82% | — | 1.51 | $8.09 M | 41,084 |
| 32 | MOBQMobiquity Technologies Inc | Media | — | — | — | $8.34 M | — |
| 33 | DAREDare Bioscience Inc | Pharmaceuticals | — | — | — | $10.8 M | — |
| 34 | GTBPGT Biopharma Inc | Biotechnology | ▲+ 2.61% | — | 0.26 | $11.5 M | 1,152,763 |
| 35 | BLINBridgeline Digital Inc | Technology | ▼− 2.87% | — | 0.92 | $11.6 M | 49,482 |
| 36 | ONVCOnline Vacation Center Holdings Corp | Hotels, Restaurants & Leisure | — | — | — | $11.8 M | — |
| 37 | HMBLTap Real Estate Technologies, Inc | Retail | — | — | — | $12.1 M | — |
| 38 | ADGMAdagio Medical Holdings Inc | Health Care | ▲+ 4.31% | — | 0.56 | $12.5 M | 296,800 |
| 39 | DFLIDragonfly Energy Holdings Corp | Electrical Equipment | — | — | — | $14.0 M | — |
| 40 | BIVIBioVie Inc | Biotechnology | ▼− 1.97% | — | 1.99 | $15.0 M | 275,529 |
| 41 | BWTLBowlin Travel Centers Inc | Retail | — | — | — | $15.4 M | — |
| 42 | DLPNDolphin Entertainment Inc | Media | — | — | — | $15.5 M | — |
| 43 | HINDVyome Holdings Inc | Pharmaceuticals | ▼− 0.45% | — | 2.22 | $15.6 M | 2,273 |
| 44 | SDOTSadot Group Inc | Food Products | — | — | — | $16.6 M | — |
| 45 | CIBYCIBL Inc | Telecommunication | — | — | — | $17.1 M | — |
| 46 | SFRXSeafarer Exploration Corp | Commercial Services & Supplies | — | — | — | $18.4 M | — |
| 47 | ARKRArk Restaurants Corp | Hotels, Restaurants & Leisure | ▼− 0.75% | — | 5.32 | $19.2 M | 35,526 |
| 48 | LFWDLifeward Ltd | Health Care | ▼− 1.55% | — | 6.99 | $19.6 M | 7,617 |
| 49 | CTSOCytosorbents Corp | Health Care | — | — | — | $20.8 M | — |
| 50 | BEATHeartbeam Inc | Health Care | ▲+ 0.33% | — | 0.42 | $23.4 M | 472,298 |
| 51 | CAHOCaro Holdings Inc | Media | — | — | — | $23.7 M | — |
| 52 | BYSIBeyondspring Inc | Biotechnology | ▼− 0.66% | — | 0.62 | $25.4 M | 26,733 |
| 53 | GTHPGuided Therapeutics Inc | Health Care | — | — | — | $26.1 M | — |
| 54 | BAFNBayfirst Financial Corp | Banking | ▼− 5.56% | — | 6.80 | $27.9 M | 135,805 |
| 55 | AVXAVAX One Technology Ltd | Food Products | ▲+ 0.27% | — | 3.65 | $28.1 M | 37,497 |
| 56 | COHNCohen & Company Inc | Financial Services | — | — | — | $28.1 M | — |
| 57 | AUSIAura Systems Inc | Electrical Equipment | — | — | — | $30.5 M | — |
| 58 | BEEMBeam Global | Electrical Equipment | ▼− 0.70% | — | 1.41 | $31.3 M | 355,226 |
| 59 | ACTUActuate Therapeutics Inc | Biotechnology | ▼− 1.46% | — | 1.35 | $32.3 M | 1,322,820 |
| 60 | ATNMActinium Pharmaceuticals Inc | Biotechnology | ▼− 1.90% | — | 1.03 | $32.3 M | 53,957 |
| 61 | NSNSARONSTAR Electric Co | Utilities | — | — | — | $33.1 M | — |
| 62 | ARAYAccuray Inc | Health Care | ▲+ 4.96% | — | 0.28 | $33.3 M | 276,544 |
| 63 | FIEEFiEE Inc | Communications | ▼− 3.68% | — | 3.93 | $33.5 M | 11,105 |
| 64 | BLNEBeeline Holdings Inc | Financial Services | ▼− 2.27% | — | 1.08 | $34.5 M | 196,248 |
| 65 | CNBZCNB Corp | Banking | — | — | — | $36.5 M | — |
| 66 | KLXEKLX Energy Services Holdings Inc | Energy | 0.00% | — | 1.53 | $36.5 M | 1,147,403 |
| 67 | DXLGDestination XL Group Inc | Retail | — | — | — | $36.8 M | — |
| 68 | GROWUS Global Investors Inc | Financial Services | ▼− 8.87% | — | 2.98 | $37.0 M | 98,700 |
| 69 | ALGSAligos Therapeutics Inc | Biotechnology | ▼− 0.16% | — | 6.21 | $38.4 M | 20,259 |
| 70 | SNTSenstar Technologies Corp | Electrical Equipment | — | — | — | $40.1 M | — |
| 71 | AERTAeries Technology Inc | Professional Services | ▼− 2.90% | — | 7.03 | $40.4 M | 6,517 |
| 72 | SERSerina Therapeutics Inc | Biotechnology | — | — | — | $41.0 M | — |
| 73 | SDEVStablecoin Development Corp | Pharmaceuticals | — | — | — | $44.9 M | — |
| 74 | SWVLSwvl Holdings Corp | Road & Rail | — | — | — | $47.9 M | — |
| 75 | ANVSAnnovis Bio Inc | Biotechnology | ▲+ 2.17% | — | 1.41 | $48.9 M | 1,530,325 |
| 76 | CLNNClene Inc | Biotechnology | — | — | — | $49.2 M | — |
| 77 | AGIGAbundia Global Impact Group, Inc | Energy | ▲+ 1.75% | — | 1.16 | $51.1 M | 74,676 |
| 78 | CLPRClipper Realty Inc | Real Estate | — | — | — | $51.9 M | — |
| 79 | CATOCato Corp | Retail | 0.00% | — | 2.60 | $51.9 M | 23,195 |
| 80 | JMMNuveen Multi-Market Income Fund | N/A | ▲+ 0.29% | — | 5.79 | $54.7 M | 2,051 |
| 81 | SGASaga Communications Inc | Media | — | — | — | $58.4 M | — |
| 82 | SELFGlobal Self Storage Inc | Real Estate | — | — | — | $59.6 M | — |
| 83 | BAERBridger Aerospace Group Holdings Inc | Commercial Services & Supplies | ▲+ 2.75% | — | 1.12 | $64.6 M | 606,279 |
| 84 | RPIDRapid Micro Biosystems, Inc | Life Sciences Tools & Services | — | — | — | $65.7 M | — |
| 85 | HOURHour Loop Inc | Retail | ▲+ 4.26% | — | 1.96 | $69.0 M | 9,561 |
| 86 | GEGGreat Elm Group Inc | Financial Services | ▲+ 0.91% | — | 2.22 | $69.6 M | 4,582 |
| 87 | AISPAirship AI Holdings Inc | Technology | ▼− 2.38% | — | 2.05 | $70.6 M | 223,900 |
| 88 | CPSHCPS Technologies Corp | Electrical Equipment | — | — | — | $73.8 M | — |
| 89 | NFENew Fortress Energy Inc | Energy | — | — | — | $79.4 M | — |
| 90 | LNZALanzatech Global Inc | Commercial Services & Supplies | ▼− 1.77% | — | 6.12 | $80.1 M | 39,009 |
| 91 | MNOVMediciNova Inc | Biotechnology | — | — | — | $80.2 M | — |
| 92 | BYNOBynordic Acquisition Corp | N/A | — | — | 11.36 | $81.0 M | 4,372 |
| 93 | CPHCCanterbury Park Holding Corp | Hotels, Restaurants & Leisure | — | — | — | $82.2 M | — |
| 94 | VNCEVince Holding Corp | Textiles, Apparel & Luxury Goods | ▲+ 1.91% | — | 6.40 | $82.2 M | 64,502 |
| 95 | ECORelectroCore, Inc. | Health Care | — | — | — | $83.1 M | — |
| 96 | AFCGAdvanced Flower Capital Inc | Financial Services | ▼− 0.55% | — | 3.60 | $84.7 M | 39,404 |
| 97 | MCBKMadison County Financial Inc | Banking | — | — | — | $88.9 M | — |
| 98 | ANTAAntalpha Platform Holding Co | Financial Services | ▲+ 5.62% | — | 3.76 | $90.2 M | 6,129 |
| 99 | BCICBCP Investment Corp | Financial Services | ▲+ 0.55% | — | 7.34 | $90.9 M | 72,381 |
| 100 | ACRVAcrivon Therapeutics Inc | Biotechnology | ▲+ 3.88% | — | 2.14 | $91.6 M | 184,384 |
| 101 | DTIDrilling Tools International Corp | Energy | — | — | — | $93.5 M | — |
| 102 | SLQTSelectQuote Inc | Insurance | — | — | — | $94.6 M | — |
| 103 | VRAVera Bradley Inc | Textiles, Apparel & Luxury Goods | ▲+ 2.13% | — | 3.35 | $95.3 M | 89,919 |
| 104 | BARKBark Inc | Retail | ▲+ 4.65% | — | 10.80 | $97.5 M | 45,312 |
| 105 | ARQArq Inc | Chemicals | ▲+ 1.55% | — | 2.30 | $98.7 M | 172,504 |
| 106 | CHMICherry Hill Mortgage Investment Corp | Real Estate | — | — | — | $109 M | — |
| 107 | GUTSFractyl Health Inc | Health Care | ▲+ 1.85% | — | 0.70 | $111 M | 433,937 |
| 108 | PAIWestern Asset Investment Grade Income Fund Inc | N/A | — | — | — | $113 M | — |
| 109 | AARDAardvark Therapeutics Inc | Pharmaceuticals | ▼− 6.11% | — | 5.38 | $118 M | 257,641 |
| 110 | KULRKULR Technology Group Inc | Electrical Equipment | ▲+ 0.39% | — | 2.56 | $118 M | 506,201 |
| 111 | MCNXAI Madison Equity Premium Income Fund | N/A | 0.00% | — | 5.71 | $120 M | 19,516 |
| 112 | BDTXBlack Diamond Therapeutics Inc | Biotechnology | ▲+ 0.95% | — | 2.12 | $121 M | 323,521 |
| 113 | HSDTSolana Co | Health Care | ▼− 5.53% | — | 2.22 | $130 M | 241,767 |
| 114 | STEXStreamex Corp | Health Care | — | — | — | $130 M | — |
| 115 | TLYSTillys Inc | Retail | ▼− 0.45% | — | 4.38 | $134 M | 3,058,168 |
| 116 | KVHIKVH Industries Inc | Communications | ▲+ 1.98% | — | 7.21 | $141 M | 106,932 |
| 117 | HOFTHooker Furnishings Corp | Consumer products | ▲+ 3.63% | — | 13.12 | $141 M | 35,975 |
| 118 | TUSKMammoth Energy Services Inc | Energy | ▲+ 0.32% | — | 3.12 | $150 M | 82,815 |
| 119 | CNRDConrad Industries Inc | Machinery | — | — | — | $151 M | — |
| 120 | ASRTAssertio Holdings Inc | Pharmaceuticals | — | — | 23.49 | $152 M | 274,521 |
| 121 | GGTGabelli Multimedia Trust Inc | N/A | ▲+ 0.25% | — | 4.06 | $170 M | 281,744 |
| 122 | DLTHDuluth Holdings Inc | Retail | — | — | — | $172 M | — |
| 123 | DOMODomo Inc | Technology | — | — | — | $179 M | — |
| 124 | AOUTAmerican Outdoor Brands Inc | Leisure Products | ▲+ 44.96% | — | 14.51 | $182 M | 4,373,795 |
| 125 | GFNew Germany Fund Inc | N/A | ▼− 0.52% | — | 11.50 | $187 M | 8,168 |
| 126 | SLNHSoluna Holdings Inc | Technology | — | — | — | $192 M | — |
| 127 | TOYOTOYO Co., Ltd | Semiconductors | ▲+ 3.42% | — | 4.53 | $194 M | 524,338 |
| 128 | ALTGAlta Equipment Group Inc | Trading Companies & Distributors | ▲+ 6.46% | — | 6.10 | $198 M | 194,269 |
| 129 | BANXArrowMark Financial Corp | Financial Services | ▲+ 0.58% | — | 20.80 | $202 M | 33,823 |
| 130 | AIRSAirSculpt Technologies Inc | Health Care | ▲+ 12.60% | — | 2.86 | $202 M | 1,588,382 |
| 131 | GDEVGDEV Inc | Media | ▼− 1.67% | — | 11.16 | $203 M | 1,345 |
| 132 | CPSSConsumer Portfolio Services Inc | Financial Services | — | — | — | $204 M | — |
| 133 | TSITCW Strategic Income Fund Inc | N/A | 0.00% | — | 4.37 | $209 M | 90,535 |
| 134 | ARMPArmata Pharmaceuticals Inc | Biotechnology | ▲+ 5.80% | — | 5.84 | $214 M | 48,035 |
| 135 | CMRCCommerce.com Inc | Technology | — | — | — | $215 M | — |
| 136 | GSHRGesher Acquisition II Corp | N/A | ▼− 0.19% | — | 10.52 | $215 M | 107 |
| 137 | ALOTAstroNova Inc | Technology | — | — | 28.99 | $225 M | 249,502 |
| 138 | SLGLSol Gel Technologies Ltd | Pharmaceuticals | — | — | — | $227 M | — |
| 139 | EICEagle Point Income Company Inc | N/A | — | — | — | $230 M | — |
| 140 | ELMDElectromed Inc | Health Care | — | — | — | $232 M | — |
| 141 | LTRXLantronix Inc | Communications | 0.00% | — | 5.22 | $233 M | 576,377 |
| 142 | PDEXPro-Dex Inc | Health Care | — | — | — | $234 M | — |
| 143 | AIROAIRO Group Holdings Inc | Aerospace & Defense | ▲+ 5.69% | — | 7.48 | $235 M | 387,752 |
| 144 | CURVTorrid Holdings Inc | Retail | — | — | — | $236 M | — |
| 145 | MCGAYorkville Acquisition Corp | N/A | ▼− 0.19% | — | 10.35 | $244 M | 2,624 |
| 146 | LOVELovesac Co | Consumer products | ▲+ 4.64% | — | 16.69 | $244 M | 177,573 |
| 147 | CGENCompugen Ltd | Biotechnology | — | — | — | $245 M | — |
| 148 | IVVDInvivyd Inc | Biotechnology | ▲+ 0.60% | — | 0.84 | $247 M | 1,951,526 |
| 149 | ARLAmerican Realty Investors Inc | Real Estate | ▼− 6.92% | — | 15.60 | $252 M | 4,092 |
| 150 | LICTLICT Corp | Telecommunication | — | — | — | $254 M | — |
| 151 | AVNWAviat Networks Inc | Communications | ▲+ 2.38% | — | 19.78 | $256 M | 134,753 |
| 152 | GWRSGlobal Water Resources Inc | Utilities | ▼− 0.22% | — | 8.90 | $256 M | 41,146 |
| 153 | CHPTChargePoint Holdings Inc | Electrical Equipment | — | — | — | $256 M | — |
| 154 | AENTAlliance Entertainment Holding Corp | Distributors | ▼− 0.19% | — | 5.13 | $262 M | 4,783 |
| 155 | SRZNSurrozen Inc | Biotechnology | — | — | — | $264 M | — |
| 156 | DBIDesigner Brands Inc | Retail | — | — | — | $267 M | — |
| 157 | KFKorea Fund Inc | N/A | ▲+ 3.90% | — | 67.18 | $279 M | 40,689 |
| 158 | ARDCAres Dynamic Credit Allocation Fund Inc | N/A | ▼− 0.08% | — | 12.30 | $295 M | 90,494 |
| 159 | STRTStrattec Security Corp | Auto Components | — | — | — | $309 M | — |
| 160 | CBNAChain Bridge Bancorp Inc | Banking | — | — | — | $312 M | — |
| 161 | ATIIArchimedes Tech SPAC Partners II Co | N/A | ▲+ 0.09% | — | 10.65 | $315 M | 8,959 |
| 162 | MRLNMerlin Inc | Aerospace & Defense | — | — | — | $322 M | — |
| 163 | BKTBlackrock Income Trust Inc | N/A | ▼− 0.58% | — | 10.23 | $331 M | 102,225 |
| 164 | LELands' End Inc | Retail | ▲+ 1.11% | — | 10.94 | $336 M | 207,805 |
| 165 | TWINTwin Disc Inc | Machinery | ▲+ 4.56% | — | 23.85 | $344 M | 105,655 |
| 166 | GASSStealthGas Inc | Energy | ▼− 0.43% | — | 9.29 | $345 M | 141,182 |
| 167 | JGHNuveen Global High Income Fund | N/A | ▲+ 0.24% | — | 12.41 | $349 M | 26,838 |
| 168 | CLNEClean Energy Fuels Corp | Energy | — | — | — | $363 M | — |
| 169 | CIONCion Investment Corp | Financial Services | — | — | — | $365 M | — |
| 170 | PFLPIMCO Income Strategy Fund | N/A | — | — | — | $374 M | — |
| 171 | KNOPKnot Offshore Partners LP | Energy | ▼− 0.80% | — | 11.14 | $375 M | 72,083 |
| 172 | FRABlackRock Floating Rate Income Strategies Fund Inc | N/A | ▼− 0.46% | — | 10.88 | $385 M | 177,790 |
| 173 | CRNCCerence Inc | Technology | — | — | — | $387 M | — |
| 174 | RLGTRadiant Logistics Inc | Logistics & Transportation | — | — | — | $395 M | — |
| 175 | GCOGenesco Inc | Retail | ▲+ 3.98% | — | 35.81 | $398 M | 331,777 |
| 176 | SPCEVirgin Galactic Holdings Inc | Aerospace & Defense | — | — | — | $405 M | — |
| 177 | CLPTClearpoint Neuro Inc | Health Care | — | — | — | $419 M | — |
| 178 | AMBRAmber International Holding Ltd | Media | ▼− 4.23% | — | 0.90 | $424 M | 263,605 |
| 179 | MAGNMagnera Corp | Paper & Forest | ▲+ 1.13% | — | 12.54 | $449 M | 343,172 |
| 180 | PCQPIMCO California Municipal Income Fund | N/A | — | — | — | $479 M | — |