Shareholders

Shareholder Holders Value ($MM) % O/S Shares
Institution 304 122.66 69.91 91,427,086
Mutual Fund 307 53.89 19.80 25,739,548
Insider 17 36.59 8.90 11,636,355

Rotation

Shareholder Holders Value Chg ($MM) % O/S Share Change
Buyers 146 27.60 13.22 17,286,268
Sellers 238 -72.35 36.53 -47,773,456
Net -44.75 23.31 -30,487,188

Concentration

Concentration Value ($MM) % O/S Shares
Total Inst. 178.46 85.34 111,605,541
Top 10 Inst. 104.88 46.88 61,303,625
Top 20 Inst. 130.98 62.34 81,531,818
Top 50 Inst. 157.35 76.02 99,419,135

Style

Style Holders Value ($MM) % Inst Shares Shares
Growth 45 9.82 4.89 6,389,402
Aggressive Growth 3 1.81 0.95 1,237,629
Core Growth 34 7.10 3.52 4,604,246
Growth 8 0.92 0.42 547,527
Income 10 4.36 2.48 3,244,124
Income Value 4 0.85 0.51 661,388
Yield 6 3.51 1.97 2,582,736
Index 28 45.83 27.15 35,501,195
Other 98 38.35 21.43 28,028,108
Broker Dealer 24 8.62 5.09 6,660,458
GARP 28 2.50 1.36 1,778,699
Hedge Fund 46 27.24 14.98 19,588,951
Specialty -- --
VC Private Equity -- -- -- --
Value 33 19.99 11.72 15,320,985
Core Value 24 10.69 6.20 8,108,087
Deep Value 9 9.30 5.52 7,212,898

Location: Global Region

Location Holders % O/S Shares Share Value
North America 268 76.70 100,307,876 161,786,830
Europe 41 5.76 7,538,317 11,311,836
Asia / Pacific 10 1.91 2,502,508 3,591,375
Latin America 1 0.91 1,195,080 1,541,653
Middle East 1 0.05 61,760 232,218
Africa -- -- -- --

Top Holders

Holder Shares Held % O/S Share Change Filing Date
BlackRock Institutional Trust Company, N.A. 9,300,229 7.11 490,339 3/31/26
DD Revocable Trust 8,542,100 6.53 15 4/2/26
Bostl (Frantisek) 8,000,000 6.12 1,400,000 6/2/26
Vanguard Portfolio Management, LLC 6,114,018 4.68 6,114,018 3/31/26
State Street Investment Management (US) 5,867,988 4.49 57,532 3/31/26
Dimensional Fund Advisors, L.P. 5,833,007 4.46 -245,801 3/31/26
Two Sigma Investments, LP 5,254,090 4.02 -9,643 3/31/26
Vanguard Capital Management, LLC 5,059,438 3.87 81,971 3/31/26
Marshall Wace LLP 3,694,481 2.83 610,864 3/31/26
Charles Schwab Investment Management, Inc. 3,638,274 2.78 140,042 3/31/26

Top Holders: Mutual Funds

Fund Shares Held % O/S Share Change Filing Date
Vanguard Total Stock Market Index Fund 3,578,710 2.74 -- 4/30/26
State Street SPDR S&P Kensho New Econ Comp ETF 3,118,879 2.38 -21,884 5/31/26
iShares Russell 2000 ETF 3,060,031 2.34 -113,229 4/30/26
Vanguard Information Technology Index Fund 2,959,374 2.26 12,157 4/30/26
Schwab Fundamental U.S. Large Company ETF 1,570,829 1.20 -123,450 5/31/26
DFA US Small Cap Value Portfolio 1,560,133 1.19 -- 2/28/26
Vanguard Strategic Small-Cap Equity Fund 1,415,588 1.08 487,663 3/31/26
Vanguard Extended Market Index Fund 1,352,385 1.03 -- 4/30/26
DFA U.S. Targeted Value Portfolio 1,220,753 0.93 -- 2/28/26
iShares US Small-Cap Equity Factor ETF 1,197,606 0.92 8,202 4/30/26

* Insider values reflect direct beneficial ownership.

Identifies buyers, sellers, and calculates net change by comparing current ownership to previously reported positions.

Value Chg ($MM) Is calculated by subtracting the total sum of current positions from total sum of previous positions. %O/S (percent of outstanding shares held) Is calculated by dividing the share change by most recently reported total shares outstanding.

Source: LSEG