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, 2025, , . . equities, reflecting subdued market engagement despite its recent price movement.
Market participants observed muted follow-through demand for
, . Analysts noted that the stock’s performance remains vulnerable to broader sector dynamics and earnings expectations, though no immediate catalysts were identified in the latest session.Strategic back-testing for a "top-500-by-volume" approach requires clarification on key parameters: asset universe (e.g., Russell 3000 inclusion), rebalancing frequency, transaction cost assumptions, and corporate action adjustments. Current systems support daily-rebalanced, . , 2022, to October 9, 2025, .

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