C000050279 Holdings — Index 600 Stock Portfolio

All 606 reported holdings of Index 600 Stock Portfolio (C000050279) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
FormFactor Inc0.67%$4.17M
Viasat Inc0.66%$4.08M
Molina Healthcare Inc0.64%$3.98M
Argan Inc0.60%$3.73M
BrightSpring Health Services Inc0.60%$3.69M
Element Solutions Inc0.59%$3.66M
MaxLinear Inc0.58%$3.60M
Krystal Biotech Inc0.53%$3.26M
ESCO Technologies Inc0.49%$3.04M
Match Group Inc0.48%$2.96M
Alkermes PLC0.47%$2.92M
Everus Construction Group Inc0.46%$2.83M
StoneX Group Inc0.45%$2.80M
Corcept Therapeutics Inc0.45%$2.78M
Ralliant Corp0.45%$2.76M
Glaukos Corp0.44%$2.74M
Powell Industries Inc0.44%$2.72M
Ryman Hospitality Properties Inc0.44%$2.71M
Plexus Corp0.43%$2.69M
Enpro Inc0.43%$2.66M
Federal Signal Corp0.42%$2.62M
MYR Group Inc0.42%$2.61M
Eastman Chemical Co0.41%$2.56M
JBT Marel Corp0.41%$2.52M
Zurn Elkay Water Solutions Corp0.41%$2.51M
CarMax Inc0.41%$2.51M
Qorvo Inc0.40%$2.50M
Protagonist Therapeutics Inc0.40%$2.48M
Kodiak Gas Services Inc0.40%$2.46M
Lumen Technologies Inc0.39%$2.43M
ACM Research Inc0.39%$2.42M
TG Therapeutics Inc0.39%$2.42M
Madison Square Garden Sports Corp0.39%$2.42M
Brinker International Inc0.39%$2.41M
Etsy Inc0.39%$2.39M
Archrock Inc0.39%$2.39M
Jackson Financial Inc0.39%$2.39M
Macerich Co/The0.39%$2.39M
Arcosa Inc0.39%$2.38M
Gates Industrial Corp PLC0.38%$2.37M
Kulicke & Soffa Industries Inc0.38%$2.34M
Granite Construction Inc0.37%$2.31M
Terreno Realty Corp0.37%$2.30M
Pool Corp0.37%$2.30M
Armstrong World Industries Inc0.37%$2.29M
PTC Therapeutics Inc0.37%$2.26M
LKQ Corp0.36%$2.24M
Vishay Intertechnology Inc0.36%$2.23M
Victoria's Secret & Co0.36%$2.22M
Enphase Energy Inc0.35%$2.17M
Mercury Systems Inc0.35%$2.16M
Essential Properties Realty Trust Inc0.35%$2.16M
Conagra Brands Inc0.35%$2.15M
VSE Corp0.35%$2.14M
Ultra Clean Holdings Inc0.35%$2.14M
Ligand Pharmaceuticals Inc0.34%$2.12M
Life Time Group Holdings Inc0.34%$2.10M
Mohawk Industries Inc0.34%$2.07M
Materion Corp0.33%$2.07M
Caesars Entertainment Inc0.33%$2.05M
Casella Waste Systems Inc0.33%$2.03M
Atlantic Union Bankshares Corp0.33%$2.03M
Lincoln National Corp0.32%$2.01M
Enova International Inc0.32%$2.00M
Lamb Weston Holdings Inc0.32%$1.99M
SM Energy Co0.32%$1.99M
Axcelis Technologies Inc0.31%$1.95M
Matson Inc0.31%$1.94M
Iridium Communications Inc0.31%$1.94M
Ameris Bancorp0.31%$1.91M
AAR Corp0.30%$1.88M
Teleflex Inc0.30%$1.87M
Liquidia Corp0.30%$1.87M
Meritage Homes Corp0.30%$1.86M
Axos Financial Inc0.30%$1.85M
Lyft Inc0.30%$1.85M
Frontdoor Inc0.29%$1.82M
Balchem Corp0.29%$1.81M
Primoris Services Corp0.29%$1.80M
MARA Holdings Inc0.29%$1.77M
Sensient Technologies Corp0.28%$1.75M
Phillips Edison & Co Inc0.28%$1.75M
Rithm Capital Corp0.28%$1.75M
WillScot Holdings Corp0.28%$1.74M
Paycom Software Inc0.28%$1.74M
Installed Building Products Inc0.28%$1.73M
Clear Secure Inc0.28%$1.71M
ACI Worldwide Inc0.28%$1.71M
Versant Media Group Inc0.27%$1.70M
Celanese Corp0.27%$1.68M
Diodes Inc0.27%$1.68M
Outfront Media Inc0.27%$1.68M
Radian Group Inc0.27%$1.68M
Indivior Pharmaceuticals Inc0.27%$1.67M
HA Sustainable Infrastructure Capital Inc0.27%$1.67M
Boot Barn Holdings Inc0.27%$1.67M
PriceSmart Inc0.27%$1.65M
Piper Sandler Cos0.26%$1.63M
Virtu Financial Inc0.26%$1.63M
Champion Homes Inc0.26%$1.63M
Moelis & Co0.26%$1.63M
Cavco Industries Inc0.26%$1.60M
Magnolia Oil & Gas Corp0.26%$1.59M
Eastern Bankshares Inc0.26%$1.58M
Noble Corp PLC0.25%$1.57M
Veracyte Inc0.25%$1.56M
Lazard Inc0.25%$1.56M
Power Integrations Inc0.25%$1.56M
Sphere Entertainment Co0.25%$1.56M
Laureate Education Inc0.25%$1.55M
AZZ Inc0.25%$1.55M
Veeco Instruments Inc0.25%$1.55M
Millrose Properties Inc0.25%$1.55M
CSW Industrials Inc0.25%$1.53M
Fulton Financial Corp0.25%$1.52M
Tanger Inc0.25%$1.52M
RXO Inc0.25%$1.52M
Life360 Inc0.24%$1.50M
Rush Enterprises Inc0.24%$1.49M
MDU Resources Group Inc0.24%$1.48M
Mirion Technologies Inc0.24%$1.46M
ServisFirst Bancshares Inc0.24%$1.46M
Bread Financial Holdings Inc0.24%$1.46M
OPENLANE Inc0.24%$1.46M
Campbell's Company/The0.24%$1.46M
RadNet Inc0.23%$1.45M
Resideo Technologies Inc0.23%$1.45M
Standex International Corp0.23%$1.45M
Badger Meter Inc0.23%$1.45M
Warrior Met Coal Inc0.23%$1.43M
Liberty Energy Inc0.23%$1.43M
Covista Inc0.23%$1.42M
Extreme Networks Inc0.23%$1.42M
Kontoor Brands Inc0.23%$1.42M
United Community Banks Inc/GA0.23%$1.41M
Atmus Filtration Technologies Inc0.22%$1.39M
Cathay General Bancorp0.22%$1.39M
Clearway Energy Inc0.22%$1.38M
EPAM Systems Inc0.22%$1.38M
Merit Medical Systems Inc0.22%$1.38M
California Resources Corp0.22%$1.38M
M/I Homes Inc0.22%$1.37M
Franklin Electric Co Inc0.22%$1.36M
Mueller Water Products Inc0.22%$1.35M
Independent Bank Corp0.22%$1.35M
Core Natural Resources Inc0.22%$1.35M
Oceaneering International Inc0.22%$1.35M
MarketAxess Holdings Inc0.22%$1.35M
Brady Corp0.22%$1.34M
First BanCorp/Puerto Rico0.22%$1.34M
WSFS Financial Corp0.22%$1.33M
BGC Group Inc0.21%$1.32M
Broadstone Net Lease Inc0.21%$1.32M
Alignment Healthcare Inc0.21%$1.32M
SkyWest Inc0.21%$1.31M
Renasant Corp0.21%$1.31M
Impinj Inc0.21%$1.30M
Ichor Holdings Ltd0.21%$1.30M
PJT Partners Inc0.21%$1.30M
Victory Capital Holdings Inc0.21%$1.30M
Remitly Global Inc0.21%$1.30M
GEO Group Inc/The0.21%$1.30M
Dave Inc0.21%$1.29M
UniFirst Corp/MA0.21%$1.29M
Itron Inc0.21%$1.28M
Otter Tail Corp0.20%$1.26M
CVB Financial Corp0.20%$1.26M
Advance Auto Parts Inc0.20%$1.25M
Griffon Corp0.20%$1.25M
WesBanco Inc0.20%$1.25M
Cleanspark Inc0.20%$1.25M
Credit Acceptance Corp0.20%$1.25M
Asbury Automotive Group Inc0.20%$1.25M
National Health Investors Inc0.20%$1.24M
Kadant Inc0.20%$1.24M
Bright Horizons Family Solutions Inc0.20%$1.24M
Dorman Products Inc0.20%$1.24M
SL Green Realty Corp0.20%$1.24M
Apple Hospitality REIT Inc0.20%$1.23M
Insight Enterprises Inc0.20%$1.23M
Box Inc0.20%$1.22M
ADT Inc0.20%$1.22M
Adeia Inc0.20%$1.22M
ICU Medical Inc0.20%$1.22M
Urban Outfitters Inc0.20%$1.22M
Cheesecake Factory Inc/The0.20%$1.21M
Genworth Financial Inc0.20%$1.21M
Stride Inc0.20%$1.21M
Catalyst Pharmaceuticals Inc0.19%$1.20M
Cal-Maine Foods Inc0.19%$1.19M
Telephone and Data Systems Inc0.19%$1.19M
Benchmark Electronics Inc0.19%$1.19M
SolarEdge Technologies Inc0.19%$1.19M
First Hawaiian Inc0.19%$1.19M
Organon & Co0.19%$1.19M
Cactus Inc0.19%$1.19M
Knowles Corp0.19%$1.18M
Concentra Group Holdings Parent Inc0.19%$1.18M
Community Financial System Inc0.19%$1.17M
Penguin Solutions Inc0.19%$1.17M
BankUnited Inc0.19%$1.17M
First Financial Bancorp0.19%$1.17M
Chefs' Warehouse Inc/The0.19%$1.17M
Cohu Inc0.19%$1.16M
Korn Ferry0.19%$1.16M
Hayward Holdings Inc0.19%$1.16M
Signet Jewelers Ltd0.19%$1.15M
Group 1 Automotive Inc0.18%$1.14M
OSI Systems Inc0.18%$1.13M
Avista Corp0.18%$1.13M
Palomar Holdings Inc0.18%$1.12M
Assured Guaranty Ltd0.18%$1.11M
Highwoods Properties Inc0.18%$1.11M
Simmons First National Corp0.18%$1.09M
Acushnet Holdings Corp0.18%$1.09M
WD-40 Co0.18%$1.09M
Helmerich & Payne Inc0.18%$1.09M
Teradata Corp0.18%$1.09M
Cinemark Holdings Inc0.18%$1.09M
American States Water Co0.18%$1.08M
First Interstate BancSystem Inc0.18%$1.08M
Nicolet Bankshares Inc0.17%$1.08M
Bank of Hawaii Corp0.17%$1.08M
NCR Atleos Corp0.17%$1.07M
LXP Industrial Trust0.17%$1.07M
ACADIA Pharmaceuticals Inc0.17%$1.07M
ArcBest Corp0.17%$1.07M
Sunrun Inc0.17%$1.07M
Seacoast Banking Corp of Florida0.17%$1.06M
Kaiser Aluminum Corp0.17%$1.06M
Patterson-UTI Energy Inc0.17%$1.06M
Amentum Holdings Inc0.17%$1.06M
Integer Holdings Corp0.17%$1.06M
HB Fuller Co0.17%$1.06M
NMI Holdings Inc0.17%$1.05M
Cushman & Wakefield Ltd0.17%$1.04M
International Seaways Inc0.17%$1.04M
Rush Street Interactive Inc0.17%$1.04M
Steven Madden Ltd0.17%$1.03M
Red Rock Resorts Inc0.17%$1.03M
Chemours Co/The0.17%$1.03M
Robert Half Inc0.17%$1.03M
Tidewater Inc0.17%$1.03M
Provident Financial Services Inc0.17%$1.02M
MGE Energy Inc0.17%$1.02M
Warby Parker Inc0.16%$1.02M
StepStone Group Inc0.16%$1.02M
Phinia Inc0.16%$1.02M
Privia Health Group Inc0.16%$1.01M
Academy Sports & Outdoors Inc0.16%$1.01M
CoreCivic Inc0.16%$1.00M
Q2 Holdings Inc0.16%$1.00M
Versigent PLC0.16%$997.11K
Hawkins Inc0.16%$996.41K
Amneal Pharmaceuticals Inc0.16%$993.18K
NetScout Systems Inc0.16%$989.37K
Dana Inc0.16%$988.32K
Park National Corp0.16%$984.67K
Patrick Industries Inc0.16%$983.36K
Chesapeake Utilities Corp0.16%$982.53K
Diebold Nixdorf Inc0.16%$982.07K
Curbline Properties Corp0.16%$982.62K
California Water Service Group0.16%$973.88K
Vita Coco Co Inc/The0.16%$972.32K
Freshpet Inc0.16%$968.92K
RingCentral Inc0.16%$964.33K
Urban Edge Properties0.16%$964.58K
Sezzle Inc0.16%$964.05K
People Inc0.15%$957.36K
OneSpaWorld Holdings Ltd0.15%$956.60K
Mercury General Corp0.15%$950.73K
HNI Corp0.15%$945.80K
WaFd Inc0.15%$944.52K
Digi International Inc0.15%$943.77K
Peabody Energy Corp0.15%$940.20K
Par Pacific Holdings Inc0.15%$938.22K
Marriott Vacations Worldwide Corp0.15%$933.93K
United Natural Foods Inc0.15%$932.35K
Banc of California Inc0.15%$928.87K
Acadia Realty Trust0.15%$927.92K
InvenTrust Properties Corp0.15%$916.79K
Trinity Industries Inc0.15%$915.37K
Penn Entertainment Inc0.15%$911.00K
Boise Cascade Co0.15%$907.81K
Acadia Healthcare Co Inc0.15%$907.31K
Four Corners Property Trust Inc0.15%$906.95K
Rogers Corp0.15%$905.75K
A10 Networks Inc0.15%$900.04K
Trustmark Corp0.15%$899.04K
Supernus Pharmaceuticals Inc0.15%$898.90K
PDF Solutions Inc0.15%$898.89K
American Eagle Outfitters Inc0.14%$894.59K
Kennametal Inc0.14%$893.35K
Arcus Biosciences Inc0.14%$891.82K
Agilysys Inc0.14%$890.13K
First Bancorp/Southern Pines NC0.14%$884.22K
Hub Group Inc0.14%$882.02K
Blackstone Mortgage Trust Inc0.14%$881.01K
National HealthCare Corp0.14%$877.57K
Allegiant Travel Co0.14%$877.41K
ABM Industries Inc0.14%$870.73K
Werner Enterprises Inc0.14%$870.06K
Newell Brands Inc0.14%$869.85K
Bancorp Inc/The0.14%$869.44K
Century Aluminum Co0.14%$866.87K
LCI Industries0.14%$864.72K
Ingevity Corp0.14%$862.51K
Cargurus Inc0.14%$862.48K
Callaway Golf Co0.14%$855.41K
NBT Bancorp Inc0.14%$853.46K
Beacon Financial Corp0.14%$851.41K
Kinetik Holdings Inc0.14%$843.19K
Customers Bancorp Inc0.14%$838.06K
SiriusPoint Ltd0.14%$838.30K
DiamondRock Hospitality Co0.14%$836.94K
Peloton Interactive Inc0.13%$830.90K
LifeStance Health Group Inc0.13%$826.93K
St Joe Co/The0.13%$826.28K
Artisan Partners Asset Management Inc0.13%$823.26K
Western Union Co/The0.13%$810.64K
Green Brick Partners Inc0.13%$802.40K
H2O America0.13%$796.33K
Crescent Energy Co0.13%$796.88K
Waystar Holding Corp0.13%$796.54K
LiveRamp Holdings Inc0.13%$793.30K
DNOW Inc0.13%$789.19K
Hawaiian Electric Industries Inc0.13%$777.51K
Andersons Inc/The0.13%$776.68K
TransMedics Group Inc0.12%$773.66K
BancFirst Corp0.12%$773.13K
Minerals Technologies Inc0.12%$771.21K
Alarm.com Holdings Inc0.12%$766.72K
Vericel Corp0.12%$763.31K
Medical Properties Trust Inc0.12%$756.66K
Shake Shack Inc0.12%$753.81K
Banner Corp0.12%$753.76K
Northwest Bancshares Inc0.12%$747.02K
FB Financial Corp0.12%$742.74K
Prestige Consumer Healthcare Inc0.12%$743.08K
Pebblebrook Hotel Trust0.12%$741.79K
Pitney Bowes Inc0.12%$735.70K
Six Flags Entertainment Corp0.12%$733.68K
Quaker Chemical Corp0.12%$733.03K
Calix Inc0.12%$729.83K
ePlus Inc0.12%$723.77K
Universal Technical Institute Inc0.12%$722.51K
ARMOUR Residential REIT Inc0.12%$719.08K
Sunstone Hotel Investors Inc0.12%$719.15K
WisdomTree Inc0.12%$718.17K
DXP Enterprises Inc/TX0.12%$714.28K
Albany International Corp0.12%$712.97K
Cohen & Steers Inc0.12%$712.06K
Progyny Inc0.11%$707.86K
SPS Commerce Inc0.11%$707.36K
Uniti Group Inc0.11%$704.12K
Interface Inc0.11%$701.17K
OFG Bancorp0.11%$698.71K
Northwest Natural Holding Co0.11%$696.01K
Horace Mann Educators Corp0.11%$695.88K
First Commonwealth Financial Corp0.11%$693.27K
Masterbrand Inc0.11%$693.57K
NETSTREIT Corp0.11%$691.58K
Pediatrix Medical Group Inc0.11%$684.49K
UFP Technologies Inc0.11%$681.91K
Interparfums Inc0.11%$680.67K
LeMaitre Vascular Inc0.11%$680.07K
Stewart Information Services Corp0.11%$677.37K
EZCORP Inc0.11%$674.60K
Innospec Inc0.11%$674.72K
Encore Capital Group Inc0.11%$673.93K
Central Garden & Pet Co0.11%$670.29K
National Bank Holdings Corp0.11%$668.36K
Douglas Emmett Inc0.11%$666.63K
Astrana Health Inc0.11%$663.94K
Kohl's Corp0.11%$663.31K
LTC Properties Inc0.11%$662.42K
Neogen Corp0.11%$658.53K
CorVel Corp0.11%$656.90K
Proto Labs Inc0.11%$653.71K
ADMA Biologics Inc0.11%$653.90K
Payoneer Global Inc0.11%$650.85K
Ziff Davis Inc0.10%$650.12K
Northern Oil & Gas Inc0.10%$640.24K
John Wiley & Sons Inc0.10%$640.19K
Photronics Inc0.10%$639.70K
NeoGenomics Inc0.10%$638.79K
Omnicell Inc0.10%$636.25K
Perdoceo Education Corp0.10%$635.49K
Sarepta Therapeutics Inc0.10%$634.47K
Acadian Asset Management Inc0.10%$634.53K
Xenia Hotels & Resorts Inc0.10%$633.24K
City Holding Co0.10%$629.24K
Walker & Dunlop Inc0.10%$627.46K
CTS Corp0.10%$627.65K
PROG Holdings Inc0.10%$626.53K
HCI Group Inc0.10%$623.54K
Getty Realty Corp0.10%$623.20K
Enerpac Tool Group Corp0.10%$622.49K
Pathward Financial Inc0.10%$619.00K
Schneider National Inc0.10%$612.17K
Select Medical Holdings Corp0.10%$612.42K
Addus HomeCare Corp0.10%$608.04K
Century Communities Inc0.10%$604.81K
Stellar Bancorp Inc0.10%$604.23K
Innovative Industrial Properties Inc0.10%$601.02K
Alamo Group Inc0.10%$600.72K
Harmonic Inc0.10%$597.04K
S&T Bancorp Inc0.10%$594.60K
Alpha Metallurgical Resources Inc0.10%$593.78K
Hope Bancorp Inc0.09%$582.47K
Strategic Education Inc0.09%$577.18K
EVERTEC Inc0.09%$577.05K
Triumph Financial Inc0.09%$575.30K
Global Net Lease Inc0.09%$574.13K
JetBlue Airways Corp0.09%$574.11K
Ellington Financial Inc0.09%$570.50K
World Kinect Corp0.09%$570.06K
Healthcare Services Group Inc0.09%$568.07K
Worthington Enterprises Inc0.09%$562.17K
Flowers Foods Inc0.09%$561.23K
Fortrea Holdings Inc0.09%$554.80K
Dime Commercial Bancshares Inc0.09%$553.41K
La-Z-Boy Inc0.09%$553.38K
Sonos Inc0.09%$542.95K
Vestis Corp0.09%$542.29K
Leggett & Platt Inc0.09%$539.15K
Talos Energy Inc0.09%$537.78K
TripAdvisor Inc0.09%$537.71K
Innoviva Inc0.09%$537.07K
Hilltop Holdings Inc0.09%$534.97K
Monarch Casino & Resort Inc0.09%$530.78K
ManpowerGroup Inc0.09%$526.74K
Kemper Corp0.08%$525.13K
Lakeland Financial Corp0.08%$516.78K
Greenbrier Cos Inc/The0.08%$512.89K
Carter's Inc0.08%$511.17K
National Vision Holdings Inc0.08%$510.44K
Insperity Inc0.08%$504.81K
ANI Pharmaceuticals Inc0.08%$504.21K
Tennant Co0.08%$502.57K
O-I Glass Inc0.08%$496.82K
Merchants Bancorp/IN0.08%$497.15K
Reynolds Consumer Products Inc0.08%$496.35K
Arlo Technologies Inc0.08%$493.22K
Harmony Biosciences Holdings Inc0.08%$489.10K
DXC Technology Co0.08%$487.78K
Adient PLC0.08%$486.11K
Perrigo Co PLC0.08%$484.63K
STAAR Surgical Co0.08%$483.25K
First Advantage Corp0.08%$479.97K
FMC Corp0.08%$476.47K
Millerknoll Inc0.08%$471.54K
Progress Software Corp0.08%$471.06K
Astec Industries Inc0.08%$468.65K
BlackLine Inc0.08%$466.24K
DoubleVerify Holdings Inc0.08%$465.45K
Westamerica BanCorp0.07%$464.08K
Napco Security Technologies Inc0.07%$458.30K
Sally Beauty Holdings Inc0.07%$454.50K
Wolverine World Wide Inc0.07%$449.45K
Gibraltar Industries Inc0.07%$449.51K
Wendy's Co/The0.07%$441.65K
Energizer Holdings Inc0.07%$438.92K
Two Harbors Investment Corp0.07%$437.94K
Universal Corp/VA0.07%$437.81K
LGI Homes Inc0.07%$436.21K
Atlas Energy Solutions Inc0.07%$434.42K
Dauch Corp0.07%$433.20K
Dorian LPG Ltd0.07%$431.62K
Yelp Inc0.07%$431.53K
Enact Holdings Inc0.07%$430.86K
REX American Resources Corp0.07%$430.82K
Buckle Inc/The0.07%$430.19K
BJ's Restaurants Inc0.07%$429.46K
Lindsay Corp0.07%$426.61K
Sylvamo Corp0.07%$424.91K
Winmark Corp0.07%$421.39K
AMN Healthcare Services Inc0.07%$420.68K
G-III Apparel Group Ltd0.07%$418.24K
Vir Biotechnology Inc0.07%$417.00K
XPEL Inc0.07%$415.10K
Heritage Financial Corp/WA0.07%$411.57K
Edgewell Personal Care Co0.07%$409.64K
Papa John's International Inc0.07%$407.19K
Stepan Co0.07%$404.69K
Under Armour Inc0.07%$403.04K
Helix Energy Solutions Group Inc0.07%$402.04K
Xencor Inc0.07%$402.27K
Cracker Barrel Old Country Store Inc0.06%$400.18K
QuidelOrtho Corp0.06%$400.06K
Comstock Resources Inc0.06%$398.63K
Integra LifeSciences Holdings Corp0.06%$397.92K
Enovis Corp0.06%$398.16K
Tompkins Financial Corp0.06%$396.13K
Collegium Pharmaceutical Inc0.06%$395.77K
Alpha & Omega Semiconductor Ltd0.06%$395.21K
American Assets Trust Inc0.06%$394.45K
Preferred Bank/Los Angeles CA0.06%$393.91K
Inspire Medical Systems Inc0.06%$391.72K
Pursuit Attractions and Hospitality Inc0.06%$391.40K

C000050279 overview: performance, fees, allocation and SEC filings