1 DebtFidelity Treasury 15.22% 15.2% - $78.67M - - - 2 C CPAI Counterpoint Quantitative Equity Etf 11.41% 26.6% 1,471,116 $58.99M - - - 3 I IVV Ishares Core S&p 500 ETFFinancials · Capital Markets 11.17% 37.8% 84,341 $57.77M - Financials Capital Markets 4 DebtTreasury Bill 0% Jan 02, 2026Financials · Diversified Financial Services 9.67% 47.5% - $50.00M - Financials Diversified Financial Services 5 DebtTreasury Bill Jun 04, 2026 9.53% 57.0% - $49.26M - - - 6 DebtUnited States Treasury Bill 09/03/2026 5.67% 62.7% - $29.32M - - - 7 S SPY Spdr S&p 500 ETF TrustFinancials · Diversified Financial Services 2.87% 65.5% 370,370 $14.81M - Financials Diversified Financial Services 8 DebtValmont Industries Inc 0.33% 65.9% 1,001,400 $1.69M - - - 9 —Toronto-D Vrn 01/09/33 0.26% 66.1% 305,500 $1.34M - - - 10 —Jpcpils3 Index 0.24% 66.4% 989,300 $1.26M - - - 11 DebtFnma 30Yr Umbs Super 0.24% 66.6% 697,486 $1.25M - - - 12 L LVS Las Vegas Sands Corp. Consumer Disc. · Hotels & Leisure 0.16% 66.8% 12,414 $808.0K - Consumer Disc. Hotels & Leisure 13 —Magnera, BLIndustrials · Construction 0.16% 66.9% 54,410 $823.8K - Industrials Construction 14 N NRG - Utilities · Power & Renewables 0.16% 67.1% 5,085 $809.7K +2.9K Utilities Power & Renewables 15 N NEE Nextera Energy Inc. Utilities · Electric Utilities 0.16% 67.2% 83,511 $835.1K -4.7K Utilities Electric Utilities 16 P PUMP Propetro Holding Corp Industrials · Construction 0.16% 67.4% 87,919 $836.1K - Industrials Construction 17 R RBLX Roblox Corp., Class A Comm. Services · Interactive Media 0.16% 67.6% 10,057 $814.9K +6.5K Comm. Services Interactive Media 18 S SLDE Slide Insurance Holdings, Inc. Financials · Insurance 0.16% 67.7% 41,891 $816.0K - Financials Insurance 19 S SPT Sprout Social, Inc. (Class A) Info Tech · Software 0.16% 67.9% 71,170 $802.1K +34.7K Info Tech Software 20 T TDOC Teladoc Health, Inc Health Care · Health Care Technology 0.16% 68.0% 115,452 $808.2K +54.0K Health Care Health Care Technology 21 U UNFI United Natural Foods Inc Cons. Staples · Food & Staples Retailing 0.16% 68.2% 24,276 $817.4K -4.7K Cons. Staples Food & Staples Retailing 22 P PBF Pbf Energy Inc Class A 0.16% 68.4% 30,168 $818.2K +13.5K - - 23 —Zim Integrated Shipping Services Ltd. Shs 0.16% 68.5% 39,950 $848.1K +3.5K - - 24 N NMM Navios Maritime Partners L P Com Unit Lpi 0.16% 68.7% 15,454 $810.3K - - - 25 C CNC Centene Health Care · Healthcare Services 0.16% 68.8% 19,799 $814.7K -6.9K Health Care Healthcare Services 26 F FMC Fmc Corp. Materials · Chemicals 0.16% 69.0% 58,764 $815.1K - Materials Chemicals 27 F FISV Fiserv, Inc. (United States) Info Tech · IT Services 0.16% 69.2% 12,056 $809.8K - Info Tech IT Services 28 G GM General Motors Co Consumer Disc. · Automobiles 0.16% 69.3% 9,941 $808.4K +4.1K Consumer Disc. Automobiles 29 H HNGE Hinge Health Inc Ordinary Shares - Class A Financials · Capital Markets 0.16% 69.5% 17,504 $813.1K +7.3K Financials Capital Markets 30 N NSIT Insight Enterprises Inc Info Tech · IT Services 0.16% 69.6% 10,002 $814.9K - Info Tech IT Services 31 N NSP Insperity Inc Industrials · Professional Services 0.16% 69.8% 20,969 $811.9K - Industrials Professional Services 32 A ACHC Acadia Healthcare Co., Inc. Health Care · Healthcare Services 0.15% 70.0% 55,521 $787.8K +39.0K Health Care Healthcare Services 33 C CHYM Chime Financial Inc Class A Financials · Consumer Finance 0.15% 70.1% 31,406 $790.5K - Financials Consumer Finance 34 C COTY Coty Inc. Class A Cons. Staples · Personal Products 0.15% 70.3% 257,220 $792.2K +184.8K Cons. Staples Personal Products 35 H HWM Howmet Aerospace Inc. Industrials · Aerospace & Defense 0.15% 70.4% 3,899 $799.4K - Industrials Aerospace & Defense 36 K KSS Kohl's Corp. Consumer Disc. · Multiline Retail 0.15% 70.6% 38,559 $787.0K - Consumer Disc. Multiline Retail 37 S SONO Sonos, Inc. Consumer Disc. · Household Durables 0.15% 70.7% 45,437 $797.9K +19.5K Consumer Disc. Household Durables 38 T TALO Talos Energy Inc Energy · Oil & Gas 0.15% 70.9% 72,635 $800.4K - Energy Oil & Gas 39 U URBN Urban Outfitters Inc Consumer Disc. · Apparel & Luxury 0.15% 71.0% 10,352 $779.1K - Consumer Disc. Apparel & Luxury 40 U USAR Usa Rare Earth Inc Materials · Metals & Mining 0.15% 71.2% 65,863 $783.8K - Materials Metals & Mining 41 A AMN Amn Healthcare Services Inc 0.15% 71.3% 50,815 $800.8K +23.6K - - 42 T TROX Tronox Holdings Plc Ordinary Shares 0.15% 71.5% 186,215 $776.5K +63.2K - - 43 —Purchased USD / Sold GBP 0.13% 71.6% 579,900 $667.1K - - - 44 T TASK Taskus Inc-A Info Tech · IT Services 0.11% 71.7% 48,498 $571.8K - Info Tech IT Services 45 I IBTA Ibotta Inc Consumer Disc. · Internet 0.11% 71.8% 25,842 $587.4K - Consumer Disc. Internet 46 A AMRK A Mark Precious Metals IncMaterials · Metals & Mining 0.10% 71.9% 14,851 $505.7K - Materials Metals & Mining 47 A ATGE Adtalem Global Education IncConsumer Disc. · Diversified Consumer Services 0.10% 72.0% 4,869 $503.8K - Consumer Disc. Diversified Consumer Services 48 A AAP Advance Auto Parts Inc. Consumer Disc. · Auto Components 0.10% 72.1% 12,820 $503.8K - Consumer Disc. Auto Components 49 A AVAV Aerovironment Inc Industrials · Aerospace & Defense 0.10% 72.2% 2,085 $504.3K - Industrials Aerospace & Defense 50 N NVCR Novocure Ltd 0.10% 72.3% 38,605 $499.2K +7.2K - - More holdings · Pro