APH Amphenol Corp 26.442B0.780.800.0810.96
ARNC Arconic Inc 13.077B0.280.430.1136.51
AUBN Auburn National Bancorporation Inc 127.525M
BCC Boise Cascade, L.l.c 1.364B0.730.57-0.05-7.69
BMRC Bank Of Marin Bancorp 418.346M
BOH Bank Of Hawaii Corp 3.627B
BSRR Sierra Bancorp 382.625M0.390.370.025.71
BUSE First Busey Corp 1.468B0.420.430.013.301508788700.00
CASH Meta Financial Group Inc 758.752M-0.211.04-0.11-9.57
CBU Community Bank System Inc 2.817B0.660.35-0.16-31.37
CFFI C&f Financial Corp 204.177M
CLB Core Laboratories N.v 3.950B0.470.510.000.001508788700.00
CLDB Cortland Bancorp 79.794M
CPSS Consumer Portfolio Services Inc 105.136M0.170.17-0.03-16.391508788700.00
CR Crane Company 5.013B1.101.14-0.04-2.981508788700.00
CSFL Centerstate Bank Corp 1.662B0.350.26-0.01-2.261508788700.00
EACO Eaco Corp 33.302M1508788700.00
EBMT Eagle Bancorp Montana Inc 95.041M
EBSB Meridian Bancorp Inc 1.038B0.200.220.0527.54
EFSC Enterprise Financial Services Corp 1.014B0.670.50-0.05-9.09
EOCC Enel Generacion Chile S.a. American Depositary Shares (each Representing 30 Shares Of ) 7.466B
FBP First Bancorp. New 1.037B0.090.130.0220.93
FMCB Farmers & Merchants Bancorp Ca 525.658M
FNBG Fnb Bancorp 262.473M
FNWB First Northwest Bancorp 201.050M
FRAF Franklin Finl Svcs Corp 160.343M
FRBK Republic First Bancorp Inc 526.984M
GCBC Greene County Bancorp Inc 267.864M
HAL Halliburton Company 37.766B0.370.03-0.14-81.94
HAS Hasbro Inc 12.282B1.960.530.0716.16
HBCP Home Bancorp Inc 310.900M0.640.620.010.81
HLX Helix Energy Solutions Group Inc 1.146B0.01-0.04-0.02-66.671519160400.00
HMST Homestreet Inc 775.604M0.390.41-0.21-34.081508788700.00
HNI Hni Corp 1.888B0.750.310.013.331508788700.00
HSTM Healthstream Inc 763.369M0.040.070.04133.331508788700.00
IBTX Independent Bank Group Inc 1.697B0.880.65-0.13-16.531508792400.00
ITW Illinois Tool Works Inc 53.353B1.651.690.063.681516712400.00
JBT John Bean Technologies Corp 3.287B0.780.560.0611.361508788700.00
JMBA Jamba Inc 125.551M-0.95-0.13-0.27-196.30
JMP Jmp Group Llc 120.608M0.06-0.39-0.50-454.551508788700.00
KALTF Kalytera Therapeutics Inc 9.462M1508788700.00
KMB Kimberly-Clark Corp 40.079B1.551.49-0.01-0.601516714200.00
KNL Knoll Inc 987.423M0.420.26-0.11-28.771508788700.00
LII Lennox International Inc 7.605B1508765400.00
MCRI Monarch Casino & Resort Inc 718.555M0.470.400.025.261508788700.00
MLI Mueller Industries Inc 1.984B
MPB Mid Penn Bancorp 122.914M
NBTB Nbt Bancorp Inc 1.670B0.500.490.012.511508788700.00
NQ Nq Mobile Inc American Depositary Shares, Each Representing Five Class A Common Shares 334.195M1508788700.00
NWBI Northwest Bancshares Inc 1.810B
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