HoldingsChannel.com
All Stocks Held By AlphaCrest Capital Management LLC
As of  09/30/2019
   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
STARBUCKS CORP 157,196 +104,351 $13,899
     SBUX157,196+104,351$13,899
GILEAD SCIENCES INC 171,101 +113,178 $10,844
     GILD171,101+113,178$10,844
COGNIZANT TECHNOLOGY SOLUTIO 154,983 +154,983 $9,340
     CTSH154,983+154,983$9,340
COCA COLA CO 169,783 +160,363 $9,243
     KO169,783+160,363$9,243
CLOROX CO DEL 58,895 +48,649 $8,944
     CLX58,895+48,649$8,944
WASTE MGMT INC DEL 76,209 +73,709 $8,764
     WM76,209+73,709$8,764
ACCENTURE PLC IRELAND 44,549 +19,887 $8,569
     ACN44,549+19,887$8,569
YUM BRANDS INC 70,922 +51,800 $8,045
     YUM70,922+51,800$8,045
UNITEDHEALTH GROUP INC 35,823 +20,622 $7,785
     UNH35,823+20,622$7,785
DISNEY WALT CO 54,993 +51,809 $7,167
     DIS54,993+51,809$7,167
MARRIOTT INTL INC NEW 56,087 +47,532 $6,976
     MAR56,087+47,532$6,976
METLIFE INC 146,335 +111,625 $6,901
     MET146,335+111,625$6,901
FACEBOOK INC 37,621 +32,050 $6,700
     FB37,621+32,050$6,700
COMCAST CORP NEW 146,456 +51,509 $6,602
     CMCSA146,456+51,509$6,602
PFIZER INC 179,541 +107,616 $6,451
     PFE179,541+107,616$6,451
LOWES COS INC 57,927 +27,333 $6,370
     LOW57,927+27,333$6,370
SBA COMMUNICATIONS CORP NEW 25,786 +22,788 $6,218
     SBAC25,786+22,788$6,218
UNION PACIFIC CORP 37,721 +14,188 $6,110
     UNP37,721+14,188$6,110
HUMANA INC 23,678 +22,483 $6,054
     HUM23,678+22,483$6,054
CROWN CASTLE INTL CORP NEW 42,921 +30,296 $5,966
     CCI42,921+30,296$5,966
AMERICAN EXPRESS CO 48,595 +30,388 $5,748
     AXP48,595+30,388$5,748
MORGAN STANLEY 132,734 +56,323 $5,664
     MS132,734+56,323$5,664
3M CO 33,758 +9,926 $5,550
     MMM33,758+9,926$5,550
ANTHEM INC 22,918 +13,434 $5,503
     ANTM22,918+13,434$5,503
COSTCO WHSL CORP NEW 18,665 +12,692 $5,378
     COST18,665+12,692$5,378
WILLIAMS COS INC DEL 221,954 +71,402 $5,340
     WMB221,954+71,402$5,340
TD AMERITRADE HLDG CORP 113,597 +22,794 $5,305
     AMTD113,597+22,794$5,305
XILINX INC 54,740 +45,123 $5,250
     XLNX54,740+45,123$5,250
MICROSOFT CORP 37,354 -858 $5,193
     MSFT37,354-858$5,193
MASTERCARD INC 19,058 -10,471 $5,176
     MA19,058-10,471$5,176
VORNADO RLTY TR 78,255 +33,976 $4,982
     VNO78,255+33,976$4,982
QIAGEN NV 147,840 +128,325 $4,874
     QGEN147,840+128,325$4,874
MCDONALDS CORP 22,657 +16,822 $4,865
     MCD22,657+16,822$4,865
HD SUPPLY HLDGS INC 121,927 +77,287 $4,776
     HDS121,927+77,287$4,776
CISCO SYS INC 95,941 -146,804 $4,740
     CSCO95,941-146,804$4,740
TRACTOR SUPPLY CO 51,992 +51,992 $4,702
     TSCO51,992+51,992$4,702
DISCOVER FINL SVCS 57,851 +18,555 $4,691
     DFS57,851+18,555$4,691
HOME DEPOT INC 19,875 +15,492 $4,611
     HD19,875+15,492$4,611
TARGET CORP 42,883 -3,022 $4,585
     TGT42,883-3,022$4,585
UNITED AIRLINES HLDGS INC 51,572 +6,612 $4,559
     UAL51,572+6,612$4,559
REPUBLIC SVCS INC 51,866 +40,120 $4,489
     RSG51,866+40,120$4,489
EXPEDIA GROUP INC 32,777 +32,777 $4,406
     EXPE32,777+32,777$4,406
MOODYS CORP 20,977 +16,091 $4,297
     MCO20,977+16,091$4,297
PUBLIC STORAGE 17,508 +13,348 $4,294
     PSA17,508+13,348$4,294
INTUIT 16,009 -867 $4,257
     INTU16,009-867$4,257
AMERICAN TOWER CORP NEW 19,202 +3,559 $4,246
     AMT19,202+3,559$4,246
FIFTH THIRD BANCORP 154,053 +67,020 $4,218
     FITB154,053+67,020$4,218
THOMSON REUTERS CORP 62,796 +53,079 $4,200
     TRI62,796+53,079$4,200
EXELON CORP 86,891 -28,106 $4,198
     EXC86,891-28,106$4,198
AFLAC INC 80,044 +46,963 $4,188
     AFL80,044+46,963$4,188
SCHLUMBERGER LTD 121,614 +115,618 $4,156
     SLB121,614+115,618$4,156
DELTA AIR LINES INC DEL 71,775 +50,948 $4,134
     DAL71,775+50,948$4,134
HCA HEALTHCARE INC 33,519 +28,697 $4,036
     HCA33,519+28,697$4,036
AMERICAN INTL GROUP INC 72,327 -18,110 $4,029
     AIG72,327-18,110$4,029
INTEL CORP 78,129 +17,965 $4,026
     INTC78,129+17,965$4,026
CATERPILLAR INC DEL 31,815 +31,815 $4,019
     CAT31,815+31,815$4,019
CHURCH & DWIGHT INC 53,399 +5,623 $4,018
     CHD53,399+5,623$4,018
COLGATE PALMOLIVE CO 54,227 -19,170 $3,986
     CL54,227-19,170$3,986
REGENERON PHARMACEUTICALS 14,333 +9,163 $3,976
     REGN14,333+9,163$3,976
US BANCORP DEL 71,812 +29,129 $3,974
     USB71,812+29,129$3,974
VERISIGN INC 21,025 +15,386 $3,966
     VRSN21,025+15,386$3,966
EATON CORP PLC 47,638 +37,751 $3,961
     ETN47,638+37,751$3,961
AMGEN INC 20,429 +15,365 $3,953
     AMGN20,429+15,365$3,953
CADENCE DESIGN SYSTEM INC 58,697 +48,215 $3,879
     CDNS58,697+48,215$3,879
DUKE ENERGY CORP NEW 40,167 -4,619 $3,850
     DUK40,167-4,619$3,850
AUTONATION INC 75,655 +54,275 $3,836
     AN75,655+54,275$3,836
BOOKING HLDGS INC 1,900 +1,900 $3,729
     BKNG1,900+1,900$3,729
LAUDER ESTEE COS INC 18,714 +17,191 $3,723
     EL18,714+17,191$3,723
HP INC 196,199 +83,865 $3,712
     HPQ196,199+83,865$3,712
ROCKWELL AUTOMATION INC 22,391 +11,962 $3,690
     ROK22,391+11,962$3,690
SIMON PPTY GROUP INC NEW 23,452 -77 $3,650
     SPG23,452-77$3,650
EOG RES INC 48,611 +35,780 $3,608
     EOG48,611+35,780$3,608
BIOGEN INC 15,307 +8,869 $3,564
     BIIB15,307+8,869$3,564
AVERY DENNISON CORP 31,305 +15,770 $3,555
     AVY31,305+15,770$3,555
BCE INC 73,231 -32,362 $3,545
     BCE73,231-32,362$3,545
MOTOROLA SOLUTIONS INC 20,690 +18,327 $3,526
     MSI20,690+18,327$3,526
AIR PRODS & CHEMS INC 15,858 +15,858 $3,518
     APD15,858+15,858$3,518
NETAPP INC 66,739 -2,721 $3,504
     NTAP66,739-2,721$3,504
CBS CORP NEW 86,081 +60,566 $3,475
     CBS86,081+60,566$3,475
NAVIENT CORPORATION 270,200 +252,100 $3,459
     NAVI270,200+252,100$3,459
CVS HEALTH CORP 54,704 +5,844 $3,450
     CVS54,704+5,844$3,450
RELIANCE STEEL & ALUMINUM CO 34,446 +29,900 $3,433
     RS34,446+29,900$3,433
SPOTIFY TECHNOLOGY S A 30,106 +30,106 $3,432
     SPOT30,106+30,106$3,432
NIKE INC 36,504 -35,744 $3,428
     NKE36,504-35,744$3,428
HENRY JACK & ASSOC INC 23,423 +19,664 $3,419
     JKHY23,423+19,664$3,419
NEWMONT GOLDCORP CORPORATION 89,711 +80,444 $3,402
     NEM89,711+80,444$3,402
SEI INVESTMENTS CO 57,196 +42,944 $3,389
     SEIC57,196+42,944$3,389
PENSKE AUTOMOTIVE GRP INC 69,200 +57,642 $3,272
     PAG69,200+57,642$3,272
NETFLIX INC 12,147 +9,162 $3,251
     NFLX12,147+9,162$3,251
HARTFORD FINL SVCS GROUP INC 53,571 +46,010 $3,247
     HIG53,571+46,010$3,247
ROLLINS INC 94,544 +40,947 $3,221
     ROL94,544+40,947$3,221
NISOURCE INC 107,391 +73,696 $3,213
     NI107,391+73,696$3,213
AMERICAN WTR WKS CO INC NEW 25,726 +25,726 $3,196
     AWK25,726+25,726$3,196
SALESFORCE COM INC 21,398 -14,702 $3,176
     CRM21,398-14,702$3,176
ABBOTT LABS 37,890 +37,890 $3,170
     ABT37,890+37,890$3,170
ARROW ELECTRS INC 41,750 +41,750 $3,114
     ARW41,750+41,750$3,114
AVNET INC 69,163 +41,358 $3,077
     AVT69,163+41,358$3,077
RITCHIE BROS AUCTIONEERS 76,800 +69,700 $3,064
     RBA76,800+69,700$3,064
NASDAQ INC 30,833 +28,394 $3,063
     NDAQ30,833+28,394$3,063
NORWEGIAN CRUISE LINE HLDG L 59,057 -19,374 $3,057
     NCLH59,057-19,374$3,057
TRAVELERS COMPANIES INC 20,551 +20,551 $3,056
     TRV20,551+20,551$3,056
VERIZON COMMUNICATIONS INC 50,612 -55,157 $3,055
     VZ50,612-55,157$3,055
TELUS CORP 85,246 +16,523 $3,036
     TU85,246+16,523$3,036
BROADRIDGE FINL SOLUTIONS IN 24,360 +20,464 $3,031
     BR24,360+20,464$3,031
GILDAN ACTIVEWEAR INC 84,788 +78,188 $3,010
     GIL84,788+78,188$3,010
ALLISON TRANSMISSION HLDGS I 63,921 +11,867 $3,007
     ALSN63,921+11,867$3,007
SEALED AIR CORP NEW 72,232 +26,178 $2,998
     SEE72,232+26,178$2,998
FORTINET INC 39,041 +14,149 $2,997
     FTNT39,041+14,149$2,997
PERSPECTA INC 114,700 +114,700 $2,996
     PRSP114,700+114,700$2,996
COMERICA INC 45,340 +32,887 $2,992
     CMA45,340+32,887$2,992
CREDICORP LTD 14,260 +8,006 $2,972
     BAP14,260+8,006$2,972
AGNC INVT CORP 184,256 +172,595 $2,965
     AGNC184,256+172,595$2,965
LAS VEGAS SANDS CORP 51,198 +4,127 $2,957
     LVS51,198+4,127$2,957
M & T BK CORP 18,689 +16,871 $2,952
     MTB18,689+16,871$2,952
AMERISOURCEBERGEN CORP 35,715 +29,511 $2,940
     ABC35,715+29,511$2,940
MAXIMUS INC 38,004 +34,891 $2,936
     MMS38,004+34,891$2,936
APARTMENT INVT & MGMT CO 56,138 -25,256 $2,927
     AIV56,138-25,256$2,927
CHECK POINT SOFTWARE TECH LT 26,598 +2,464 $2,912
     CHKP26,598+2,464$2,912
ALLY FINL INC 87,400 +33,300 $2,898
     ALLY87,400+33,300$2,898
BMC STK HLDGS INC 110,500 +30,700 $2,893
     BMCH110,500+30,700$2,893
ANALOG DEVICES INC 25,748 +25,748 $2,877
     ADI25,748+25,748$2,877
SL GREEN RLTY CORP 34,993 +19,213 $2,861
     SLG34,993+19,213$2,861
APTARGROUP INC 24,127 +13,927 $2,858
     ATR24,127+13,927$2,858
ROGERS COMMUNICATIONS INC 58,552 +41,594 $2,853
     RCI58,552+41,594$2,853
TAUBMAN CTRS INC 69,404 +25,362 $2,834
     TCO69,404+25,362$2,834
CENTERPOINT ENERGY INC 93,821 +42,352 $2,832
     CNP93,821+42,352$2,832
CANADIAN NATL RY CO 31,498 +17,140 $2,830
     CNI31,498+17,140$2,830
PAYCHEX INC 34,183 +6,036 $2,829
     PAYX34,183+6,036$2,829
BROADCOM INC 10,215 -250 $2,820
     AVGO10,215-250$2,820
MGM RESORTS INTERNATIONAL 101,669 +83,760 $2,818
     MGM101,669+83,760$2,818
CABOT OIL & GAS CORP 160,342 +104,322 $2,817
     COG160,342+104,322$2,817
UNITED PARCEL SERVICE INC 23,452 +7,624 $2,810
     UPS23,452+7,624$2,810
VMWARE INC 18,628 -817 $2,795
     VMW18,628-817$2,795
GRACE W R & CO DEL NEW 41,698 +28,013 $2,784
     GRA41,698+28,013$2,784
FIDELITY NATIONAL FINANCIAL 62,444 +33,227 $2,773
     FNF62,444+33,227$2,773
SANTANDER CONSUMER USA HDG I 108,676 +108,676 $2,772
     SC108,676+108,676$2,772
J & J SNACK FOODS CORP 14,400 +14,400 $2,765
     JJSF14,400+14,400$2,765
E TRADE FINANCIAL CORP 63,253 +1,235 $2,764
     ETFC63,253+1,235$2,764
COPART INC 34,153 +21,130 $2,744
     CPRT34,153+21,130$2,744
CHOICE HOTELS INTL INC 30,804 +21,403 $2,740
     CHH30,804+21,403$2,740
EATON VANCE CORP 60,800 -10,307 $2,732
     EV60,800-10,307$2,732
CITIZENS FINL GROUP INC 76,879 +55,466 $2,719
     CFG76,879+55,466$2,719
VERTEX PHARMACEUTICALS INC 15,982 +14,007 $2,708
     VRTX15,982+14,007$2,708
ECOLAB INC 13,634 -433 $2,700
     ECL13,634-433$2,700
NATIONAL INSTRS CORP 64,151 +6,982 $2,694
     NATI64,151+6,982$2,694
CHARTER COMMUNICATIONS INC N 6,532 +4,292 $2,692
     CHTR6,532+4,292$2,692
SABRE CORP 119,622 +119,622 $2,679
     SABR119,622+119,622$2,679
ALLSTATE CORP 24,480 +24,480 $2,660
     ALL24,480+24,480$2,660
ASSURED GUARANTY LTD 59,358 +41,634 $2,639
     AGO59,358+41,634$2,639
OSI SYSTEMS INC 25,900 +21,300 $2,630
     OSIS25,900+21,300$2,630
EBAY INC 67,311 +5,702 $2,624
     EBAY67,311+5,702$2,624
ALIGN TECHNOLOGY INC 14,448 +2,946 $2,614
     ALGN14,448+2,946$2,614
V F CORP 29,158 +18,742 $2,595
     VFC29,158+18,742$2,595
MAXIM INTEGRATED PRODS INC 44,578 +38,845 $2,582
     MXIM44,578+38,845$2,582
GENERAL MTRS CO 68,851 +68,851 $2,581
     GM68,851+68,851$2,581
MSCI INC 11,854 +10,544 $2,581
     MSCI11,854+10,544$2,581
PEPSICO INC 18,735 +6,996 $2,569
     PEP18,735+6,996$2,569
BERKLEY W R CORP 35,355 +30,603 $2,554
     WRB35,355+30,603$2,554
US FOODS HLDG CORP 61,700 +31,000 $2,536
     USFD61,700+31,000$2,536
CONOCOPHILLIPS 44,397 -2,646 $2,530
     COP44,397-2,646$2,530
EXPEDITORS INTL WASH INC 33,624 +20,614 $2,498
     EXPD33,624+20,614$2,498
JONES LANG LASALLE INC 17,858 +15,103 $2,483
     JLL17,858+15,103$2,483
WELLS FARGO CO NEW 49,200 +23,446 $2,482
     WFC49,200+23,446$2,482
HENRY SCHEIN INC 38,853 +15,764 $2,467
     HSIC38,853+15,764$2,467
GOLDMAN SACHS GROUP INC 11,876 +7,176 $2,461
     GS11,876+7,176$2,461
APPLIED MATLS INC 49,300 +37,353 $2,460
     AMAT49,300+37,353$2,460
HEICO CORP NEW      $2,445
     HEI10,308+1,108$1,287
     HEI.A11,900+4,300$1,158
TJX COS INC NEW 43,873 -30,495 $2,445
     TJX43,873-30,495$2,445
JPMORGAN CHASE & CO 20,651 +473 $2,430
     JPM20,651+473$2,430
UDR INC 50,107 +12,948 $2,429
     UDR50,107+12,948$2,429
MASCO CORP 58,261 +31,326 $2,428
     MAS58,261+31,326$2,428
SOUTHWEST AIRLS CO 44,831 -10,803 $2,421
     LUV44,831-10,803$2,421
GRAINGER W W INC 8,094 +2,022 $2,405
     GWW8,094+2,022$2,405
DOMINION ENERGY INC 29,536 +23,354 $2,394
     D29,536+23,354$2,394
SUNSTONE HOTEL INVS INC NEW 174,041 +89,696 $2,391
     SHO174,041+89,696$2,391
PUBLIC SVC ENTERPRISE GRP IN 38,161 -46,932 $2,369
     PEG38,161-46,932$2,369
S&P GLOBAL INC 9,590 +929 $2,349
     SPGI9,590+929$2,349
MERCK & CO INC 27,879 -13,819 $2,347
     MRK27,879-13,819$2,347
PNC FINL SVCS GROUP INC 16,742 +13,260 $2,347
     PNC16,742+13,260$2,347
HOLOGIC INC 46,245 +1,780 $2,335
     HOLX46,245+1,780$2,335
PRICE T ROWE GROUP INC 20,335 +14,635 $2,323
     TROW20,335+14,635$2,323
THE CHARLES SCHWAB CORPORATI 55,055 -111,829 $2,303
     SCHW55,055-111,829$2,303
INTERDIGITAL INC 43,834 +33,987 $2,300
     IDCC43,834+33,987$2,300
SPS COMMERCE INC 48,400 +42,100 $2,278
     SPSC48,400+42,100$2,278
WIX COM LTD 19,500 +11,600 $2,276
     WIX19,500+11,600$2,276
PROGRESSIVE CORP OHIO 29,345 -56,166 $2,267
     PGR29,345-56,166$2,267
CIRRUS LOGIC INC 42,087 -256 $2,255
     CRUS42,087-256$2,255
ROBERT HALF INTL INC 40,521 +15,397 $2,255
     RHI40,521+15,397$2,255
TECK RESOURCES LTD 138,864 +138,864 $2,254
     TECK138,864+138,864$2,254
JAZZ PHARMACEUTICALS PLC 17,546 +10,903 $2,248
     JAZZ17,546+10,903$2,248
CITRIX SYS INC 23,220 +12,258 $2,241
     CTXS23,220+12,258$2,241
INCYTE CORP 30,182 +6,575 $2,240
     INCY30,182+6,575$2,240
WESTERN DIGITAL CORP 37,537 +37,537 $2,239
     WDC37,537+37,537$2,239
EXXON MOBIL CORP 31,647 +20,885 $2,235
     XOM31,647+20,885$2,235
IDACORP INC 19,705 +13,678 $2,220
     IDA19,705+13,678$2,220
AUTODESK INC 14,959 -5,848 $2,209
     ADSK14,959-5,848$2,209
VISA INC 12,845 +2,614 $2,209
     V12,845+2,614$2,209
PROCTER & GAMBLE CO 17,720 -10,931 $2,204
     PG17,720-10,931$2,204
XEROX HOLDINGS CORP 73,498 +36,942 $2,198
     XRX73,498+36,942$2,198
LIVE NATION ENTERTAINMENT IN 33,083 +18,617 $2,195
     LYV33,083+18,617$2,195
EVERCORE INC 27,327 +13,900 $2,189
     EVR27,327+13,900$2,189
PACWEST BANCORP DEL 60,078 +49,404 $2,183
     PACW60,078+49,404$2,183
SHOPIFY INC 7,000 +7,000 $2,182
     SHOP7,000+7,000$2,182
TE CONNECTIVITY LTD 23,366 +4,562 $2,177
     TEL23,366+4,562$2,177
GENTEX CORP 79,031 +58,773 $2,176
     GNTX79,031+58,773$2,176
MICROCHIP TECHNOLOGY INC 23,411 +11,442 $2,175
     MCHP23,411+11,442$2,175
LABORATORY CORP AMER HLDGS 12,929 +7,441 $2,172
     LH12,929+7,441$2,172
GRACO INC 46,689 +33,767 $2,150
     GGG46,689+33,767$2,150
MEDTRONIC PLC 19,782 -7,683 $2,149
     MDT19,782-7,683$2,149
PROLOGIS INC 25,100 +25,100 $2,139
     PLD25,100+25,100$2,139
CF INDS HLDGS INC 43,363 +43,363 $2,133
     CF43,363+43,363$2,133
POLYONE CORP 65,100 +26,900 $2,126
     POL65,100+26,900$2,126
ALNYLAM PHARMACEUTICALS INC 26,408 +26,408 $2,124
     ALNY26,408+26,408$2,124
O REILLY AUTOMOTIVE INC NEW 5,307 +3,369 $2,115
     ORLY5,307+3,369$2,115
CARMAX INC 24,004 +7,604 $2,112
     KMX24,004+7,604$2,112
DOLLAR GEN CORP NEW 13,234 -255 $2,103
     DG13,234-255$2,103
NUANCE COMMUNICATIONS INC 128,799 +63,136 $2,101
     NUAN128,799+63,136$2,101
DISCOVERY INC 85,061 +62,629 $2,094
     DISCK85,061+62,629$2,094
CERNER CORP 30,655 +24,512 $2,090
     CERN30,655+24,512$2,090
LULULEMON ATHLETICA INC 10,849 -11,366 $2,089
     LULU10,849-11,366$2,089
HALLIBURTON CO 110,296 +76,883 $2,079
     HAL110,296+76,883$2,079
CENTENE CORP DEL 47,612 -53,050 $2,060
     CNC47,612-53,050$2,060
FEDERAL REALTY INVT TR 15,076 -2,997 $2,052
     FRT15,076-2,997$2,052
BRISTOL MYERS SQUIBB CO 40,431 -124,312 $2,050
     BMY40,431-124,312$2,050
DAVITA INC 35,828 +35,828 $2,045
     DVA35,828+35,828$2,045
TORONTO DOMINION BK ONT 34,881 +34,881 $2,032
     TD34,881+34,881$2,032
SMITH A O CORP 42,547 +3,004 $2,030
     AOS42,547+3,004$2,030
ROYAL BK CDA MONTREAL QUE 24,972 -17,761 $2,027
     RY24,972-17,761$2,027
WEC ENERGY GROUP INC 21,253 +3,665 $2,021
     WEC21,253+3,665$2,021
HOST HOTELS & RESORTS INC 116,693 +9,950 $2,018
     HST116,693+9,950$2,018
COMMERCIAL METALS CO 115,938 +115,938 $2,015
     CMC115,938+115,938$2,015
WATERS CORP 9,021 +4,612 $2,014
     WAT9,021+4,612$2,014
AUTOMATIC DATA PROCESSING IN 12,465 +7,123 $2,012
     ADP12,465+7,123$2,012
FLOWERS FOODS INC 86,839 +52,390 $2,009
     FLO86,839+52,390$2,009
CME GROUP INC 9,485 -6,207 $2,005
     CME9,485-6,207$2,005
PENN NATL GAMING INC 107,629 +73,157 $2,005
     PENN107,629+73,157$2,005
ASPEN TECHNOLOGY INC 16,281 +8,819 $2,004
     AZPN16,281+8,819$2,004
UNITED THERAPEUTICS CORP DEL 25,130 +3,287 $2,004
     UTHR25,130+3,287$2,004
FIRSTCASH INC 21,800 +8,900 $1,998
     FCFS21,800+8,900$1,998
IDEX CORP 12,125 +10,526 $1,987
     IEX12,125+10,526$1,987
SYSCO CORP 24,742 -10,495 $1,965
     SYY24,742-10,495$1,965
OPEN TEXT CORP 48,030 +24,447 $1,960
     OTEX48,030+24,447$1,960
SPIRIT AEROSYSTEMS HLDGS INC 23,820 +4,852 $1,959
     SPR23,820+4,852$1,959
HUB GROUP INC 42,000 +29,903 $1,953
     HUBG42,000+29,903$1,953
MADDEN STEVEN LTD 54,448 +28,669 $1,949
     SHOO54,448+28,669$1,949
HYATT HOTELS CORP 26,422 +26,422 $1,947
     H26,422+26,422$1,947
PPG INDS INC 16,433 -10,616 $1,947
     PPG16,433-10,616$1,947
ASGN INC 30,906 +17,889 $1,943
     ASGN30,906+17,889$1,943
ARCHER DANIELS MIDLAND CO 47,164 +4,449 $1,937
     ADM47,164+4,449$1,937
WALGREENS BOOTS ALLIANCE INC 34,855 +4,280 $1,928
     WBA34,855+4,280$1,928
LINCOLN ELEC HLDGS INC 22,192 +18,271 $1,925
     LECO22,192+18,271$1,925
BANKUNITED INC 57,135 +13,096 $1,921
     BKU57,135+13,096$1,921
RESTAURANT BRANDS INTL INC 26,900 +26,900 $1,914
     QSR26,900+26,900$1,914
NORFOLK SOUTHERN CORP 10,644 -3,439 $1,912
     NSC10,644-3,439$1,912
INGERSOLL RAND PLC 15,456 +4,042 $1,904
     IR15,456+4,042$1,904
KEYSIGHT TECHNOLOGIES INC 19,569 +8,269 $1,903
     KEYS19,569+8,269$1,903
PALO ALTO NETWORKS INC 9,330 -675 $1,902
     PANW9,330-675$1,902
AMETEK INC NEW 20,621 +13,937 $1,893
     AME20,621+13,937$1,893
AGNICO EAGLE MINES LTD 35,068 +15,618 $1,880
     AEM35,068+15,618$1,880
THERMO FISHER SCIENTIFIC INC 6,445 -697 $1,877
     TMO6,445-697$1,877
TORO CO 25,586 -12,585 $1,875
     TTC25,586-12,585$1,875
FACTSET RESH SYS INC 7,703 +6,139 $1,872
     FDS7,703+6,139$1,872
SCOTTS MIRACLE GRO CO 18,367 +12,536 $1,870
     SMG18,367+12,536$1,870
WEINGARTEN RLTY INVS 64,026 -18,581 $1,865
     WRI64,026-18,581$1,865
ONEOK INC NEW 25,276 +14,433 $1,863
     OKE25,276+14,433$1,863
ONEMAIN HLDGS INC 50,700 +50,700 $1,860
     OMF50,700+50,700$1,860
UNUM GROUP 62,410 +5,772 $1,855
     UNM62,410+5,772$1,855
BIOMARIN PHARMACEUTICAL INC 27,494 -3,071 $1,853
     BMRN27,494-3,071$1,853
NETSCOUT SYS INC 80,281 +17,667 $1,851
     NTCT80,281+17,667$1,851
WESTROCK CO 50,700 +50,700 $1,848
     WRK50,700+50,700$1,848
WYNDHAM DESTINATIONS INC 40,033 +20,165 $1,842
     WYND40,033+20,165$1,842
BECTON DICKINSON & CO 7,276 +5,581 $1,841
     BDX7,276+5,581$1,841
DEVON ENERGY CORP NEW 76,358 +76,358 $1,837
     DVN76,358+76,358$1,837
BUILDERS FIRSTSOURCE INC 89,212 -14,288 $1,836
     BLDR89,212-14,288$1,836
BOSTON PROPERTIES INC 14,135 +11,064 $1,833
     BXP14,135+11,064$1,833
MEDNAX INC 81,017 +43,432 $1,833
     MD81,017+43,432$1,833
MANHATTAN ASSOCS INC 22,709 +10,000 $1,832
     MANH22,709+10,000$1,832
PULTE GROUP INC 50,094 +14,492 $1,831
     PHM50,094+14,492$1,831
COMMVAULT SYSTEMS INC 40,886 +24,550 $1,828
     CVLT40,886+24,550$1,828
BANK NEW YORK MELLON CORP 40,415 -80,421 $1,827
     BK40,415-80,421$1,827
AFFILIATED MANAGERS GROUP IN 21,896 +18,383 $1,825
     AMG21,896+18,383$1,825
PINNACLE WEST CAP CORP 18,750 +12,487 $1,820
     PNW18,750+12,487$1,820
VEEVA SYS INC 11,786 -4,578 $1,800
     VEEV11,786-4,578$1,800
HEWLETT PACKARD ENTERPRISE C 118,600 +29,000 $1,799
     HPE118,600+29,000$1,799
EMCOR GROUP INC 20,836 +13,023 $1,794
     EME20,836+13,023$1,794
TECH DATA CORP 17,204 +8,104 $1,793
     TECD17,204+8,104$1,793
PENTAIR PLC 47,294 +21,812 $1,788
     PNR47,294+21,812$1,788
TEXAS INSTRS INC 13,755 -9,755 $1,778
     TXN13,755-9,755$1,778
MDU RES GROUP INC 63,036 +3,327 $1,777
     MDU63,036+3,327$1,777
INGREDION INC 21,647 +7,721 $1,769
     INGR21,647+7,721$1,769
EASTMAN CHEMICAL CO 23,908 +15,325 $1,765
     EMN23,908+15,325$1,765
SERVICENOW INC 6,924 +5,838 $1,758
     NOW6,924+5,838$1,758
GENTHERM INC 42,800 +42,800 $1,758
     THRM42,800+42,800$1,758
SYNOPSYS INC 12,802 -6,189 $1,757
     SNPS12,802-6,189$1,757
FEDERATED INVS INC PA 54,144 +25,866 $1,755
     FII54,144+25,866$1,755
LILLY ELI & CO 15,675 -55,353 $1,753
     LLY15,675-55,353$1,753
NATIONAL FUEL GAS CO N J 37,328 -2,718 $1,751
     NFG37,328-2,718$1,751
KROGER CO 67,869 -26,017 $1,750
     KR67,869-26,017$1,750
VIAVI SOLUTIONS INC 124,554 +85,320 $1,744
     VIAV124,554+85,320$1,744
ALLIANCE DATA SYSTEMS CORP 13,594 +4,293 $1,742
     ADS13,594+4,293$1,742
RH 10,197 -12,560 $1,742
     RH10,197-12,560$1,742
BLACKBAUD INC 19,100 +19,100 $1,725
     BLKB19,100+19,100$1,725
MERITOR INC 92,821 +92,821 $1,717
     MTOR92,821+92,821$1,717
BROWN FORMAN CORP      $1,716
     BF.B27,339+7,945$1,716
COLUMBIA PPTY TR INC 81,000 +12,100 $1,713
     CXP81,000+12,100$1,713
LPL FINL HLDGS INC 20,817 -16,897 $1,705
     LPLA20,817-16,897$1,705
UNIVERSAL HLTH SVCS INC 11,429 +11,429 $1,700
     UHS11,429+11,429$1,700
PARSLEY ENERGY INC 101,100 +88,900 $1,698
     PE101,100+88,900$1,698
ECHO GLOBAL LOGISTICS INC 74,900 +52,900 $1,696
     ECHO74,900+52,900$1,696
MID AMER APT CMNTYS INC 13,016 +10,395 $1,692
     MAA13,016+10,395$1,692
OCCIDENTAL PETE CORP 37,960 -20,622 $1,688
     OXY37,960-20,622$1,688
ROYAL CARIBBEAN CRUISES LTD 15,534 -14,910 $1,683
     RCL15,534-14,910$1,683
ADVANCED MICRO DEVICES INC 58,000 +58,000 $1,681
     AMD58,000+58,000$1,681
CENTRAL GARDEN & PET CO 60,500 +45,112 $1,677
     CENTA60,500+45,112$1,677
PREMIER INC 57,485 +48,630 $1,662
     PINC57,485+48,630$1,662
KIMBERLY CLARK CORP 11,687 +2,610 $1,660
     KMB11,687+2,610$1,660
MCCORMICK & CO INC 10,606 +2,632 $1,658
     MKC10,606+2,632$1,658
ZEBRA TECHNOLOGIES CORP 8,005 +8,005 $1,652
     ZBRA8,005+8,005$1,652
SLEEP NUMBER CORP 39,785 +39,785 $1,644
     SNBR39,785+39,785$1,644
SQUARE INC 26,500 +13,900 $1,642
     SQ26,500+13,900$1,642
URBAN EDGE PPTYS 82,900 +44,200 $1,641
     UE82,900+44,200$1,641
BORGWARNER INC 44,694 +44,694 $1,639
     BWA44,694+44,694$1,639
UGI CORP NEW 32,566 -18,861 $1,637
     UGI32,566-18,861$1,637
COOPER COS INC 5,498 +1,133 $1,633
     COO5,498+1,133$1,633
OMNICOM GROUP INC 20,780 +18,176 $1,627
     OMC20,780+18,176$1,627
PRA HEALTH SCIENCES INC 16,300 +16,300 $1,617
     PRAH16,300+16,300$1,617
FEDEX CORP 11,082 -8,412 $1,613
     FDX11,082-8,412$1,613
SPECTRUM BRANDS HLDGS INC NE 30,380 +14,980 $1,602
     SPB30,380+14,980$1,602
LOGITECH INTL S A 39,300 +33,100 $1,601
     LOGI39,300+33,100$1,601
HOLLYFRONTIER CORP 29,794 +7,294 $1,598
     HFC29,794+7,294$1,598
BANK MONTREAL QUE 21,617 +1,734 $1,594
     BMO21,617+1,734$1,594
NORTHERN TR CORP 17,066 +7,521 $1,593
     NTRS17,066+7,521$1,593
CRANE CO 19,726 -4,174 $1,591
     CR19,726-4,174$1,591
STRYKER CORP 7,356 +3,529 $1,591
     SYK7,356+3,529$1,591
JUNIPER NETWORKS INC 64,240 +17,447 $1,590
     JNPR64,240+17,447$1,590
DROPBOX INC 78,500 +78,500 $1,583
     DBX78,500+78,500$1,583
CARLISLE COS INC 10,866 +10,866 $1,581
     CSL10,866+10,866$1,581
SYNOVUS FINL CORP 44,011 -3,073 $1,574
     SNV44,011-3,073$1,574
HASBRO INC 13,224 +2,594 $1,570
     HAS13,224+2,594$1,570
JABIL INC 43,825 +19,666 $1,568
     JBL43,825+19,666$1,568
PLANET FITNESS INC 27,100 +22,600 $1,568
     PLNT27,100+22,600$1,568
TAYLOR MORRISON HOME CORP 60,307 -12,480 $1,564
     TMHC60,307-12,480$1,564
ALKERMES PLC 80,035 -9,549 $1,561
     ALKS80,035-9,549$1,561
FISERV INC 15,052 +11,339 $1,559
     FISV15,052+11,339$1,559
SHAW COMMUNICATIONS INC 78,525 +28,766 $1,544
     SJR78,525+28,766$1,544
HESS CORP 25,442 +20,263 $1,539
     HES25,442+20,263$1,539
CHINA BIOLOGIC PRODS HLDGS I 13,400 +13,400 $1,534
     CBPO13,400+13,400$1,534
HUBSPOT INC 10,100 +8,800 $1,531
     HUBS10,100+8,800$1,531
WILEY JOHN & SONS INC      $1,529
     JW.A34,800+12,000$1,529
CONCHO RES INC 22,504 +8,387 $1,528
     CXO22,504+8,387$1,528
ROSS STORES INC 13,911 +11,424 $1,528
     ROST13,911+11,424$1,528
JETBLUE AWYS CORP 91,193 +33,252 $1,527
     JBLU91,193+33,252$1,527
ALPHABET INC 1,247 -1,328 $1,523
     GOOGL1,247-1,328$1,523
HEARTLAND EXPRESS INC 70,600 -1,453 $1,519
     HTLD70,600-1,453$1,519
BENCHMARK ELECTRS INC 52,100 +52,100 $1,514
     BHE52,100+52,100$1,514
LKQ CORP 47,951 -40,373 $1,508
     LKQ47,951-40,373$1,508
LEAR CORP 12,674 +12,674 $1,494
     LEA12,674+12,674$1,494
DONALDSON INC 28,675 +28,675 $1,493
     DCI28,675+28,675$1,493
AMERICAN STS WTR CO 16,600 +10,700 $1,492
     AWR16,600+10,700$1,492
ZIONS BANCORPORATION N A 33,413 +16,154 $1,488
     ZION33,413+16,154$1,488
INTL PAPER CO 35,343 +25,666 $1,478
     IP35,343+25,666$1,478
IRON MTN INC NEW 45,551 +37,308 $1,475
     IRM45,551+37,308$1,475
EXTRA SPACE STORAGE INC 12,564 -608 $1,468
     EXR12,564-608$1,468
CARGURUS INC 47,300 +47,300 $1,464
     CARG47,300+47,300$1,464
NATIONAL HEALTH INVS INC 17,700 +7,400 $1,458
     NHI17,700+7,400$1,458
AVISTA CORP 30,061 -6,190 $1,456
     AVA30,061-6,190$1,456
SYNAPTICS INC 36,436 +36,436 $1,456
     SYNA36,436+36,436$1,456
APOGEE ENTERPRISES INC 37,273 +16,800 $1,453
     APOG37,273+16,800$1,453
AERCAP HOLDINGS NV 26,492 +16,296 $1,450
     AER26,492+16,296$1,450
LEGGETT & PLATT INC 35,346 +23,916 $1,447
     LEG35,346+23,916$1,447
LANDSTAR SYS INC 12,839 +10,816 $1,445
     LSTR12,839+10,816$1,445
BRUNSWICK CORP 27,702 +27,702 $1,444
     BC27,702+27,702$1,444
ENTEGRIS INC 30,678 +30,678 $1,444
     ENTG30,678+30,678$1,444
APPLE INC 6,400 -2,406 $1,433
     AAPL6,400-2,406$1,433
ILLUMINA INC 4,708 +4,708 $1,432
     ILMN4,708+4,708$1,432
DEXCOM INC 9,557 +8,016 $1,426
     DXCM9,557+8,016$1,426
TESLA INC 5,922 +5,922 $1,426
     TSLA5,922+5,922$1,426
WORKIVA INC 32,400 +32,400 $1,420
     WK32,400+32,400$1,420
ABIOMED INC 7,975 +4,019 $1,419
     ABMD7,975+4,019$1,419
C H ROBINSON WORLDWIDE INC 16,734 -2,907 $1,419
     CHRW16,734-2,907$1,419
HILTON WORLDWIDE HLDGS INC 15,192 +15,192 $1,415
     HLT15,192+15,192$1,415
DOLLAR TREE INC 12,347 +8,772 $1,410
     DLTR12,347+8,772$1,410
DUNKIN BRANDS GROUP INC 17,701 +12,901 $1,405
     DNKN17,701+12,901$1,405
CGI INC 17,749 +10,438 $1,405
     GIB17,749+10,438$1,405
CONSTELLIUM SE 110,400 +68,800 $1,403
     CSTM110,400+68,800$1,403
ASSURANT INC 11,130 +2,661 $1,400
     AIZ11,130+2,661$1,400
NVENT ELECTRIC PLC 63,500 +63,500 $1,400
     NVT63,500+63,500$1,400
TRIMBLE INC 36,032 +23,803 $1,398
     TRMB36,032+23,803$1,398
STANLEY BLACK & DECKER INC 9,652 -2,896 $1,394
     SWK9,652-2,896$1,394
STEELCASE INC 75,700 +55,100 $1,393
     SCS75,700+55,100$1,393
NATIONAL OILWELL VARCO INC 65,506 +23,945 $1,389
     NOV65,506+23,945$1,389
D R HORTON INC 26,325 +5,542 $1,388
     DHI26,325+5,542$1,388
LAM RESEARCH CORP 6,003 -5,518 $1,387
     LRCX6,003-5,518$1,387
MARSH & MCLENNAN COS INC 13,861 -4,073 $1,387
     MMC13,861-4,073$1,387
AVALONBAY CMNTYS INC 6,400 +3,488 $1,378
     AVB6,400+3,488$1,378
SIX FLAGS ENTMT CORP NEW 27,112 +9,315 $1,377
     SIX27,112+9,315$1,377
DOLBY LABORATORIES INC 21,169 +4,292 $1,368
     DLB21,169+4,292$1,368
WYNN RESORTS LTD 12,505 +10,778 $1,360
     WYNN12,505+10,778$1,360
BJS RESTAURANTS INC 34,978 +15,492 $1,359
     BJRI34,978+15,492$1,359
KEYCORP NEW 76,149 +76,149 $1,358
     KEY76,149+76,149$1,358
ROYAL GOLD INC 10,998 +8,447 $1,355
     RGLD10,998+8,447$1,355
MONDELEZ INTL INC 24,478 +12,254 $1,354
     MDLZ24,478+12,254$1,354
RADIAN GROUP INC 59,212 -6,686 $1,352
     RDN59,212-6,686$1,352
FIRST HAWAIIAN INC 50,600 +2,600 $1,351
     FHB50,600+2,600$1,351
COGENT COMMUNICATIONS HLDGS 24,500 +14,700 $1,350
     CCOI24,500+14,700$1,350
BANK HAWAII CORP 15,700 +11,200 $1,349
     BOH15,700+11,200$1,349
REGIONS FINL CORP NEW 85,088 +85,088 $1,346
     RF85,088+85,088$1,346
HAWAIIAN HOLDINGS INC 51,089 +51,089 $1,342
     HA51,089+51,089$1,342
MCKESSON CORP 9,801 -1,979 $1,339
     MCK9,801-1,979$1,339
GRUBHUB INC 23,807 +23,807 $1,338
     GRUB23,807+23,807$1,338
FIRST AMERN FINL CORP 22,649 -14,966 $1,337
     FAF22,649-14,966$1,337
PILGRIMS PRIDE CORP NEW 41,662 +13,702 $1,335
     PPC41,662+13,702$1,335
SKYWORKS SOLUTIONS INC 16,839 +13,391 $1,334
     SWKS16,839+13,391$1,334
WABTEC CORP 18,533 +12,949 $1,332
     WAB18,533+12,949$1,332
GUESS INC 71,644 +33,658 $1,328
     GES71,644+33,658$1,328
EASTGROUP PPTY INC 10,600 +6,100 $1,325
     EGP10,600+6,100$1,325
YUM CHINA HLDGS INC 29,000 +23,900 $1,317
     YUMC29,000+23,900$1,317
HILLTOP HOLDINGS INC 54,900 +54,900 $1,312
     HTH54,900+54,900$1,312
CASEYS GEN STORES INC 8,120 +4,613 $1,309
     CASY8,120+4,613$1,309
CORELOGIC INC 28,231 +28,231 $1,306
     CLGX28,231+28,231$1,306
CIENA CORP 33,182 -7,364 $1,302
     CIEN33,182-7,364$1,302
HUBBELL INC 9,900 +9,900 $1,301
     HUBB9,900+9,900$1,301
NORTHWEST BANCSHARES INC MD (NWBI) 79,300 +47,128 $1,300
     NWBI79,300+47,128$1,300
BEST BUY INC 18,810 +18,810 $1,298
     BBY18,810+18,810$1,298
ROPER TECHNOLOGIES INC 3,633 -3,183 $1,296
     ROP3,633-3,183$1,296
AMDOCS LTD 19,577 -4,310 $1,294
     DOX19,577-4,310$1,294
NOVOCURE LTD 17,300 +6,100 $1,294
     NVCR17,300+6,100$1,294
GENESCO INC 32,300 -15,100 $1,293
     GCO32,300-15,100$1,293
PROGRESS SOFTWARE CORP 33,867 +3,791 $1,289
     PRGS33,867+3,791$1,289
CARTERS INC 14,059 +14,059 $1,282
     CRI14,059+14,059$1,282
SPROUTS FMRS MKT INC 66,253 +15,973 $1,281
     SFM66,253+15,973$1,281
AVALARA INC 19,000 +19,000 $1,279
     AVLR19,000+19,000$1,279
NEWMARK GROUP INC 141,200 +141,200 $1,279
     NMRK141,200+141,200$1,279
MOHAWK INDS INC 10,285 +6,678 $1,276
     MHK10,285+6,678$1,276
QUALYS INC 16,831 +9,800 $1,272
     QLYS16,831+9,800$1,272
AUTOZONE INC 1,170 -268 $1,269
     AZO1,170-268$1,269
REALTY INCOME CORP 16,540 -43,907 $1,268
     O16,540-43,907$1,268
GAMING & LEISURE PPTYS INC 33,108 +33,108 $1,266
     GLPI33,108+33,108$1,266
ASHLAND GLOBAL HLDGS INC 16,420 +16,420 $1,265
     ASH16,420+16,420$1,265
ECHOSTAR CORP 31,900 +20,100 $1,264
     SATS31,900+20,100$1,264
GRANITE PT MTG TR INC 67,400 +55,300 $1,263
     GPMT67,400+55,300$1,263
FORWARD AIR CORP 19,800 +10,800 $1,262
     FWRD19,800+10,800$1,262
HIGHWOODS PPTYS INC 28,058 +28,058 $1,261
     HIW28,058+28,058$1,261
MIDDLEBY CORP 10,767 -8,334 $1,259
     MIDD10,767-8,334$1,259
APTIV PLC 14,376 +14,376 $1,257
     APTV14,376+14,376$1,257
EAGLE MATERIALS INC 13,960 +858 $1,257
     EXP13,960+858$1,257
AMC NETWORKS INC 25,556 +25,556 $1,256
     AMCX25,556+25,556$1,256
COTT CORP QUE 100,700 +44,100 $1,256
     COT100,700+44,100$1,256
INVESCO LTD 74,012 +49,189 $1,254
     IVZ74,012+49,189$1,254
DARDEN RESTAURANTS INC 10,506 +6,966 $1,242
     DRI10,506+6,966$1,242
CALERES INC 53,000 +19,500 $1,241
     CAL53,000+19,500$1,241
FIRST HORIZON NATL CORP 76,598 +49,601 $1,241
     FHN76,598+49,601$1,241
CORNING INC 43,523 +43,523 $1,241
     GLW43,523+43,523$1,241
GENUINE PARTS CO 12,446 -7,105 $1,239
     GPC12,446-7,105$1,239
GCI LIBERTY INC 19,900 +4,600 $1,235
     GLIBA19,900+4,600$1,235
KEURIG DR PEPPER INC 45,116 +3,466 $1,233
     KDP45,116+3,466$1,233
CIGNA CORP NEW 8,107 -9,426 $1,231
     CI8,107-9,426$1,231
CORCEPT THERAPEUTICS INC 87,100 +58,100 $1,231
     CORT87,100+58,100$1,231
VALVOLINE INC 55,900 +18,900 $1,231
     VVV55,900+18,900$1,231
EQUITY RESIDENTIAL 14,246 +6,929 $1,229
     EQR14,246+6,929$1,229
CINEMARK HOLDINGS INC 31,788 -5,911 $1,228
     CNK31,788-5,911$1,228
HUNT J B TRANS SVCS INC 11,100 +2,333 $1,228
     JBHT11,100+2,333$1,228
CDN IMPERIAL BK COMM TORONTO 14,836 +845 $1,225
     CM14,836+845$1,225
ADTALEM GLOBAL ED INC 32,100 -18,372 $1,223
     ATGE32,100-18,372$1,223
MACYS INC 78,339 +68,016 $1,217
     M78,339+68,016$1,217
CRACKER BARREL OLD CTRY STOR 7,469 -5,401 $1,215
     CBRL7,469-5,401$1,215
GLOBAL PMTS INC 7,633 +7,633 $1,214
     GPN7,633+7,633$1,214
NEUROCRINE BIOSCIENCES INC 13,471 +231 $1,214
     NBIX13,471+231$1,214
SOUTH JERSEY INDS INC 36,800 +22,000 $1,211
     SJI36,800+22,000$1,211
CDW CORP 9,813 +4,462 $1,209
     CDW9,813+4,462$1,209
SMARTSHEET INC 33,400 +33,400 $1,203
     SMAR33,400+33,400$1,203
CUBESMART 34,259 +34,259 $1,196
     CUBE34,259+34,259$1,196
MURPHY USA INC 14,021 +14,021 $1,196
     MUSA14,021+14,021$1,196
LANCASTER COLONY CORP 8,600 +7,200 $1,192
     LANC8,600+7,200$1,192
ZENDESK INC 16,274 +16,274 $1,186
     ZEN16,274+16,274$1,186
MANTECH INTL CORP 16,600 +16,600 $1,185
     MANT16,600+16,600$1,185
GENPACT LIMITED 30,544 +30,544 $1,184
     G30,544+30,544$1,184
PERFORMANCE FOOD GROUP CO 25,700 -800 $1,182
     PFGC25,700-800$1,182
TRINET GROUP INC 19,000 +7,100 $1,182
     TNET19,000+7,100$1,182
HMS HLDGS CORP 34,200 +15,000 $1,179
     HMSY34,200+15,000$1,179
TERADYNE INC 20,322 -13,606 $1,177
     TER20,322-13,606$1,177
WORTHINGTON INDS INC 32,500 +14,000 $1,172
     WOR32,500+14,000$1,172
WHEATON PRECIOUS METALS CORP 44,435 -6,640 $1,166
     WPM44,435-6,640$1,166
SEAWORLD ENTMT INC 44,235 +34,872 $1,164
     SEAS44,235+34,872$1,164
WORKDAY INC 6,851 -713 $1,164
     WDAY6,851-713$1,164
QURATE RETAIL INC 112,389 +112,389 $1,159
     QRTEA112,389+112,389$1,159
BERKSHIRE HATHAWAY INC DEL      $1,157
     BRK.B5,563+5,563$1,157
BOSTON SCIENTIFIC CORP 28,430 +28,430 $1,157
     BSX28,430+28,430$1,157
TEXAS ROADHOUSE INC 21,983 +9,175 $1,155
     TXRH21,983+9,175$1,155
NORDSTROM INC 34,280 -10,722 $1,154
     JWN34,280-10,722$1,154
BROWN & BROWN INC 31,959 +7,816 $1,152
     BRO31,959+7,816$1,152
APOLLO COML REAL EST FIN INC 59,995 +2,660 $1,150
     ARI59,995+2,660$1,150
WATSCO INC 6,795 +6,795 $1,150
     WSO6,795+6,795$1,150
PRA GROUP INC 34,000 +34,000 $1,149
     PRAA34,000+34,000$1,149
KOHLS CORP 23,090 -21,033 $1,147
     KSS23,090-21,033$1,147
EASTERLY GOVT PPTYS INC 53,600 +42,500 $1,142
     DEA53,600+42,500$1,142
LITHIA MTRS INC 8,630 -100 $1,142
     LAD8,630-100$1,142
TRIPADVISOR INC 29,499 +22,990 $1,141
     TRIP29,499+22,990$1,141
LIBERTY MEDIA CORP DELAWARE 27,100 +27,100 $1,137
     LSXMK27,100+27,100$1,137
AXOS FINL INC 41,000 +41,000 $1,134
     AX41,000+41,000$1,134
FRANCO NEVADA CORP 12,426 +3,376 $1,133
     FNV12,426+3,376$1,133
EXELIXIS INC 64,000 +51,800 $1,132
     EXEL64,000+51,800$1,132
DISCOVERY INC 42,404 +42,404 $1,129
     DISCA42,404+42,404$1,129
MICROSTRATEGY INC 7,600 +7,600 $1,128
     MSTR7,600+7,600$1,128
POOL CORPORATION 5,576 -1,096 $1,125
     POOL5,576-1,096$1,125
WESTERN ALLIANCE BANCORP 24,299 -1,580 $1,120
     WAL24,299-1,580$1,120
TOPBUILD CORP 11,600 +300 $1,119
     BLD11,600+300$1,119
RAYONIER INC 39,644 -5,881 $1,118
     RYN39,644-5,881$1,118
ILLINOIS TOOL WKS INC 7,103 -6,968 $1,112
     ITW7,103-6,968$1,112
NEWELL BRANDS INC 59,344 +59,344 $1,111
     NWL59,344+59,344$1,111
DIAMONDBACK ENERGY INC 12,348 +12,348 $1,110
     FANG12,348+12,348$1,110
VIASAT INC 14,742 -8,999 $1,110
     VSAT14,742-8,999$1,110
WERNER ENTERPRISES INC 31,424 +31,424 $1,109
     WERN31,424+31,424$1,109
GAP INC 63,690 +37,219 $1,106
     GPS63,690+37,219$1,106
OLD DOMINION FREIGHT LINE IN 6,498 +3,219 $1,104
     ODFL6,498+3,219$1,104
GARMIN LTD 12,995 -18,595 $1,101
     GRMN12,995-18,595$1,101
PROOFPOINT INC 8,532 +8,532 $1,101
     PFPT8,532+8,532$1,101
SEMPRA ENERGY 7,454 +5,816 $1,100
     SRE7,454+5,816$1,100
MIMECAST LTD 30,799 -7,601 $1,099
     MIME30,799-7,601$1,099
LENNOX INTL INC 4,511 +4,511 $1,096
     LII4,511+4,511$1,096
MICRON TECHNOLOGY INC 25,570 -3,275 $1,096
     MU25,570-3,275$1,096
BALL CORP 15,021 +5,580 $1,094
     BLL15,021+5,580$1,094
NU SKIN ENTERPRISES INC 25,716 +8,197 $1,094
     NUS25,716+8,197$1,094
NEWS CORP NEW 76,500 +53,800 $1,094
     NWS76,500+53,800$1,094
STERIS PLC 7,545 +4,204 $1,090
     STE7,545+4,204$1,090
ESSEX PPTY TR INC 3,335 +1,335 $1,089
     ESS3,335+1,335$1,089
SONOCO PRODS CO 18,714 +14,356 $1,089
     SON18,714+14,356$1,089
TRITON INTL LTD 32,100 +32,100 $1,086
     TRTN32,100+32,100$1,086
PORTLAND GEN ELEC CO 19,166 +8,354 $1,080
     POR19,166+8,354$1,080
INSTRUCTURE INC 27,800 +27,800 $1,077
     INST27,800+27,800$1,077
ONE GAS INC 11,200 +7,600 $1,076
     OGS11,200+7,600$1,076
EQUITY LIFESTYLE PPTYS INC 7,980 -5,344 $1,066
     ELS7,980-5,344$1,066
GLOBE LIFE INC 11,106 +11,106 $1,064
     GL11,106+11,106$1,064
SIMPSON MANUFACTURING CO INC 15,300 +3,500 $1,061
     SSD15,300+3,500$1,061
TELEPHONE & DATA SYS INC 41,143 -11,488 $1,061
     TDS41,143-11,488$1,061
FTI CONSULTING INC 10,000 +4,700 $1,060
     FCN10,000+4,700$1,060
NIELSEN HLDGS PLC 49,862 +12,162 $1,060
     NLSN49,862+12,162$1,060
DOVER CORP 10,562 -2,638 $1,052
     DOV10,562-2,638$1,052
SOUTHERN CO 16,997 +5,887 $1,050
     SO16,997+5,887$1,050
BOISE CASCADE CO DEL 32,200 +32,200 $1,049
     BCC32,200+32,200$1,049
PVH CORP 11,886 +7,475 $1,049
     PVH11,886+7,475$1,049
VONAGE HLDGS CORP 92,800 +92,800 $1,049
     VG92,800+92,800$1,049
NUVASIVE INC 16,534 -2,727 $1,048
     NUVA16,534-2,727$1,048
RAYMOND JAMES FINANCIAL INC 12,700 -10,378 $1,047
     RJF12,700-10,378$1,047
ASSOCIATED BANC CORP 51,566 +11,716 $1,044
     ASB51,566+11,716$1,044
LIBERTY MEDIA CORP DELAWARE 25,067 -4,792 $1,042
     LSXMA25,067-4,792$1,042
ELECTRONIC ARTS INC 10,638 +2,728 $1,041
     EA10,638+2,728$1,041
SEMTECH CORP 21,387 +16,271 $1,040
     SMTC21,387+16,271$1,040
ATKORE INTL GROUP INC 34,200 +6,800 $1,038
     ATKR34,200+6,800$1,038
SOUTHWEST GAS HOLDINGS INC 11,400 +3,100 $1,038
     SWX11,400+3,100$1,038
VOYA FINL INC 19,064 -3,865 $1,038
     VOYA19,064-3,865$1,038
METTLER TOLEDO INTERNATIONAL 1,469 +1,197 $1,035
     MTD1,469+1,197$1,035
NEOGEN CORP 15,200 +15,200 $1,035
     NEOG15,200+15,200$1,035
UNIFIRST CORP MASS 5,300 +5,300 $1,034
     UNF5,300+5,300$1,034
QUEST DIAGNOSTICS INC 9,648 +5,582 $1,033
     DGX9,648+5,582$1,033
W P CAREY INC 11,538 +2,007 $1,033
     WPC11,538+2,007$1,033
OSHKOSH CORP 13,600 -5,900 $1,031
     OSK13,600-5,900$1,031
UNDER ARMOUR INC 51,609 +33,012 $1,029
     UAA51,609+33,012$1,029
J2 GLOBAL INC 11,313 +8,637 $1,027
     JCOM11,313+8,637$1,027
BLACK HILLS CORP 13,360 -4,100 $1,025
     BKH13,360-4,100$1,025
AXON ENTERPRISE INC 18,032 +18,032 $1,024
     AAXN18,032+18,032$1,024
KELLOGG CO 15,900 +4,851 $1,023
     K15,900+4,851$1,023
EQUITY COMWLTH 29,800 -5,079 $1,021
     EQC29,800-5,079$1,021
GARTNER INC 7,116 +1,077 $1,018
     IT7,116+1,077$1,018
BRADY CORP 19,000 -6,100 $1,008
     BRC19,000-6,100$1,008
PACIRA BIOSCIENCES 26,437 +3,095 $1,006
     PCRX26,437+3,095$1,006
AON PLC 5,193 +5,193 $1,005
     AON5,193+5,193$1,005
PTC INC 14,719 +5,265 $1,004
     PTC14,719+5,265$1,004
AVIS BUDGET GROUP INC 35,428 +35,428 $1,001
     CAR35,428+35,428$1,001
F5 NETWORKS INC 7,125 -14,435 $1,000
     FFIV7,125-14,435$1,000
GMS INC 34,800 +3,500 $999
     GMS34,800+3,500$999
CORPORATE OFFICE PPTYS TR 33,543 -5,968 $999
     OFC33,543-5,968$999
EVERSOURCE ENERGY 11,654 +4,321 $996
     ES11,654+4,321$996
SUNCOR ENERGY INC NEW 31,456 -103,082 $993
     SU31,456-103,082$993
MOSAIC CO NEW 48,362 +48,362 $991
     MOS48,362+48,362$991
ACADIA RLTY TR 34,600 -17,800 $989
     AKR34,600-17,800$989
CANADIAN PAC RY LTD 4,434 +4,434 $986
     CP4,434+4,434$986
ZIMMER BIOMET HLDGS INC 7,179 -22,807 $985
     ZBH7,179-22,807$985
CBRE GROUP INC 18,527 -3,000 $982
     CBRE18,527-3,000$982
COMFORT SYS USA INC 22,200 +22,200 $982
     FIX22,200+22,200$982
TERRAFORM PWR INC 53,900 +53,900 $982
     TERP53,900+53,900$982
CHIPOTLE MEXICAN GRILL INC 1,166 +844 $980
     CMG1,166+844$980
PINNACLE FINL PARTNERS INC 17,240 +8,300 $978
     PNFP17,240+8,300$978
RENT A CTR INC NEW 37,800 +20,652 $975
     RCII37,800+20,652$975
AMERICAN CAMPUS CMNTYS INC 20,265 +20,265 $974
     ACC20,265+20,265$974
DELUXE CORP 19,800 +200 $973
     DLX19,800+200$973
UNIVERSAL FST PRODS INC 24,400 +15,600 $973
     UFPI24,400+15,600$973
PRINCIPAL FINL GROUP INC 17,014 +17,014 $972
     PFG17,014+17,014$972
FOUR CORNERS PPTY TR INC 34,300 -9,600 $970
     FCPT34,300-9,600$970
TAKE TWO INTERACTIVE SOFTWAR 7,714 +4,811 $967
     TTWO7,714+4,811$967
WENDYS CO 48,396 +48,396 $967
     WEN48,396+48,396$967
MRC GLOBAL INC 79,600 +6,600 $966
     MRC79,600+6,600$966
MASTEC INC 14,798 -9,720 $961
     MTZ14,798-9,720$961
NAVISTAR INTL CORP NEW 34,069 -29,105 $958
     NAV34,069-29,105$958
ASTEC INDS INC 30,700 +30,700 $955
     ASTE30,700+30,700$955
TYLER TECHNOLOGIES INC 3,620 +3,620 $950
     TYL3,620+3,620$950
PHYSICIANS RLTY TR 53,441 -19,237 $949
     DOC53,441-19,237$949
INOGEN INC 19,700 +19,700 $944
     INGN19,700+19,700$944
MANPOWERGROUP INC 11,189 +481 $943
     MAN11,189+481$943
AMERICAN WOODMARK CORPORATIO 10,600 +10,600 $942
     AMWD10,600+10,600$942
VERISK ANALYTICS INC 5,958 -10,987 $942
     VRSK5,958-10,987$942
MARATHON OIL CORP 76,724 +64,434 $941
     MRO76,724+64,434$941
SENSIENT TECHNOLOGIES CORP 13,700 +13,700 $941
     SXT13,700+13,700$941
TRANSUNION 11,600 +11,600 $941
     TRU11,600+11,600$941
VALMONT INDS INC 6,800 +6,800 $941
     VMI6,800+6,800$941
ENCOMPASS HEALTH CORP 14,848 -16,716 $940
     EHC14,848-16,716$940
ATHENE HLDG LTD 22,300 -21,500 $938
     ATH22,300-21,500$938
TREX CO INC 10,300 +10,300 $937
     TREX10,300+10,300$937
EDGEWELL PERS CARE CO 28,816 -7,204 $936
     EPC28,816-7,204$936
POTLATCHDELTIC CORPORATION 22,705 +22,705 $933
     PCH22,705+22,705$933
FIRST INTST BANCSYSTEM INC 23,100 -3,300 $930
     FIBK23,100-3,300$930
CIT GROUP INC 20,465 -235 $927
     CIT20,465-235$927
CAPITAL ONE FINL CORP 10,164 -22,785 $925
     COF10,164-22,785$925
EDWARDS LIFESCIENCES CORP 4,200 -7,586 $924
     EW4,200-7,586$924
CORE MARK HOLDING CO INC 28,700 -1,600 $922
     CORE28,700-1,600$922
CUMMINS INC 5,653 -7,080 $920
     CMI5,653-7,080$920
LINCOLN NATL CORP IND 15,214 +2,515 $918
     LNC15,214+2,515$918
LTC PPTYS INC 17,900 +11,900 $917
     LTC17,900+11,900$917
GRAPHIC PACKAGING HLDG CO 62,029 +62,029 $915
     GPK62,029+62,029$915
DAVE & BUSTERS ENTMT INC 23,500 +3,300 $915
     PLAY23,500+3,300$915
DTE ENERGY CO 6,870 -1,414 $913
     DTE6,870-1,414$913
WORLD FUEL SVCS CORP 22,800 +10,400 $911
     INT22,800+10,400$911
RLI CORP 9,800 +9,800 $911
     RLI9,800+9,800$911
LIBERTY GLOBAL PLC 36,785 +16,629 $910
     LBTYA36,785+16,629$910
NETGEAR INC 28,218 +28,218 $909
     NTGR28,218+28,218$909
HANOVER INS GROUP INC 6,689 +1,088 $907
     THG6,689+1,088$907
VISHAY INTERTECHNOLOGY INC 53,478 +53,478 $905
     VSH53,478+53,478$905
BARNES GROUP INC 17,500 +17,500 $902
     B17,500+17,500$902
INTERCONTINENTAL EXCHANGE IN (ICE) 9,775 +9,775 $902
     ICE9,775+9,775$902
IDEXX LABS INC 3,316 -1,287 $902
     IDXX3,316-1,287$902
CREDIT ACCEP CORP MICH 1,948 +1,447 $899
     CACC1,948+1,447$899
RAPID7 INC 19,800 +19,800 $899
     RPD19,800+19,800$899
UNITED RENTALS INC 7,205 +5,005 $898
     URI7,205+5,005$898
BANK AMER CORP 30,752 -62,350 $897
     BAC30,752-62,350$897
GREEN DOT CORP 35,544 +24,438 $897
     GDOT35,544+24,438$897
CALIFORNIA WTR SVC GROUP 16,900 +16,900 $895
     CWT16,900+16,900$895
ALBANY INTL CORP 9,900 +9,900 $893
     AIN9,900+9,900$893
IAC INTERACTIVECORP 4,092 -1,684 $892
     IAC4,092-1,684$892
JANUS HENDERSON GROUP PLC 39,700 +6,700 $892
     JHG39,700+6,700$892
NMI HLDGS INC 33,700 +10,900 $885
     NMIH33,700+10,900$885
COGNEX CORP 18,003 +18,003 $884
     CGNX18,003+18,003$884
SWITCH INC 56,600 +56,600 $884
     SWCH56,600+56,600$884
INTERNATIONAL FLAVORS&FRAGRA 7,200 +7,200 $883
     IFF7,200+7,200$883
CNO FINL GROUP INC 55,636 -18,056 $881
     CNO55,636-18,056$881
MGM GROWTH PPTYS LLC 29,300 -1,900 $880
     MGP29,300-1,900$880
STONERIDGE INC 28,400 +5,900 $880
     SRI28,400+5,900$880
DISH NETWORK CORP 25,791 +25,791 $879
     DISHV25,791+25,791$879
PACKAGING CORP AMER 8,229 +2,970 $873
     PKG8,229+2,970$873
MARKETAXESS HLDGS INC 2,664 +2,664 $872
     MKTX2,664+2,664$872
VAIL RESORTS INC 3,827 -9,617 $871
     MTN3,827-9,617$871
TELEDYNE TECHNOLOGIES INC 2,700 +1,697 $869
     TDY2,700+1,697$869
BRANDYWINE RLTY TR 57,204 +21,312 $867
     BDN57,204+21,312$867
NEXTERA ENERGY INC 3,707 -6,216 $864
     NEE3,707-6,216$864
CDK GLOBAL INC 17,876 -46,298 $860
     CDK17,876-46,298$860
ACUITY BRANDS INC 6,324 +4,600 $852
     AYI6,324+4,600$852
DOMINOS PIZZA INC 3,485 -2,133 $852
     DPZ3,485-2,133$852
POLARIS INC 9,668 +2,839 $851
     PII9,668+2,839$851
CORE LABORATORIES N V 18,222 +12,699 $850
     CLB18,222+12,699$850
OKTA INC 8,600 +1,800 $847
     OKTA8,600+1,800$847
SUPERNUS PHARMACEUTICALS INC 30,700 +16,800 $844
     SUPN30,700+16,800$844
KINDER MORGAN INC DEL 40,884 -43,124 $843
     KMI40,884-43,124$843
SEAGATE TECHNOLOGY PLC 15,673 +15,673 $843
     STX15,673+15,673$843
RESMED INC 6,233 +6,233 $842
     RMD6,233+6,233$842
LIBERTY PPTY TR 16,346 +16,346 $839
     LPT16,346+16,346$839
WSFS FINL CORP 19,000 +19,000 $838
     WSFS19,000+19,000$838
GCP APPLIED TECHNOLOGIES INC 43,500 +24,400 $837
     GCP43,500+24,400$837
DUKE REALTY CORP 24,605 -7,389 $836
     DRE24,605-7,389$836
BURLINGTON STORES INC 4,180 +4,180 $835
     BURL4,180+4,180$835
GLU MOBILE INC 167,200 +144,100 $834
     GLUU167,200+144,100$834
AMERICAN FINL GROUP INC OHIO 7,710 +4,095 $832
     AFG7,710+4,095$832
INTEGRA LIFESCIENCES HLDGS C 13,777 +5,745 $828
     IART13,777+5,745$828
CABOT CORP 18,198 +9,181 $825
     CBT18,198+9,181$825
RYDER SYS INC 15,944 +5,154 $825
     R15,944+5,154$825
YELP INC 23,631 +2,141 $821
     YELP23,631+2,141$821
MYOKARDIA INC 15,700 +3,300 $819
     MYOK15,700+3,300$819
NORDSON CORP 5,598 -100 $819
     NDSN5,598-100$819
NUTRIEN LTD 16,400 +11,100 $818
     NTR16,400+11,100$818
PRICESMART INC 11,500 -4,500 $818
     PSMT11,500-4,500$818
HILL ROM HLDGS INC 7,765 +7,765 $817
     HRC7,765+7,765$817
TANGER FACTORY OUTLET CTRS I 52,581 -27,474 $814
     SKT52,581-27,474$814
ARCBEST CORP 26,600 +14,900 $810
     ARCB26,600+14,900$810
DOUGLAS EMMETT INC 18,913 -32,215 $810
     DEI18,913-32,215$810
PDC ENERGY INC 29,134 +29,134 $808
     PDCE29,134+29,134$808
ATMOS ENERGY CORP 7,086 +3,032 $807
     ATO7,086+3,032$807
FORTUNE BRANDS HOME & SEC IN 14,728 +14,728 $806
     FBHS14,728+14,728$806
KULICKE & SOFFA INDS INC 34,319 +34,319 $806
     KLIC34,319+34,319$806
MONSTER BEVERAGE CORP NEW 13,881 -17,183 $806
     MNST13,881-17,183$806
BAXTER INTL INC 9,160 +6,598 $801
     BAX9,160+6,598$801
GARDNER DENVER HLDGS INC 28,300 +1,700 $801
     GDI28,300+1,700$801
SMUCKER J M CO 7,265 -11,679 $799
     SJM7,265-11,679$799
WELLTOWER INC 8,800 +8,800 $798
     WELL8,800+8,800$798
NATUS MEDICAL INC 25,000 +12,900 $796
     BABY25,000+12,900$796
EXTREME NETWORKS INC 109,300 +109,300 $795
     EXTR109,300+109,300$795
MBIA INC 86,100 +86,100 $795
     MBI86,100+86,100$795
KANSAS CITY SOUTHERN 5,962 +2,701 $793
     KSU5,962+2,701$793
BOX INC 47,764 -88,500 $791
     BOX47,764-88,500$791
INNOVIVA INC 74,700 +38,000 $787
     INVA74,700+38,000$787
EQUINIX INC 1,362 -506 $786
     EQIX1,362-506$786
DICKS SPORTING GOODS INC 19,079 -26,368 $779
     DKS19,079-26,368$779
PEBBLEBROOK HOTEL TR 27,990 +27,990 $779
     PEB27,990+27,990$779
DIGITAL RLTY TR INC 5,995 -2,837 $778
     DLR5,995-2,837$778
HARLEY DAVIDSON INC 21,600 +3,546 $777
     HOG21,600+3,546$777
PAYPAL HLDGS INC 7,500 -5,600 $777
     PYPL7,500-5,600$777
WADDELL & REED FINL INC 44,500 +31,000 $765
     WDR44,500+31,000$765
OUTFRONT MEDIA INC 27,497 +27,497 $764
     OUT27,497+27,497$764
CULLEN FROST BANKERS INC 8,608 +8,608 $762
     CFR8,608+8,608$762
VECTOR GROUP LTD 63,825 +52,625 $760
     VGR63,825+52,625$760
CATALENT INC 15,900 +15,900 $758
     CTLT15,900+15,900$758
PORTOLA PHARMACEUTICALS INC 28,112 +17,989 $754
     PTLA28,112+17,989$754
MASIMO CORP 5,036 +5,036 $749
     MASI5,036+5,036$749
TRINSEO S A 17,400 -16,100 $747
     TSE17,400-16,100$747
NOW INC 64,900 +11,900 $744
     DNOW64,900+11,900$744
BOYD GAMING CORP 31,005 +20,849 $743
     BYD31,005+20,849$743
ACCELERON PHARMA INC 18,800 +4,100 $743
     XLRN18,800+4,100$743
AXIS CAPITAL HOLDINGS LTD 11,105 +11,105 $741
     AXS11,105+11,105$741
ALARM COM HLDGS INC 15,863 +8,400 $740
     ALRM15,863+8,400$740
PRUDENTIAL FINL INC 8,170 -4,933 $735
     PRU8,170-4,933$735
STAAR SURGICAL CO 28,500 +28,500 $735
     STAA28,500+28,500$735
CLEAN HARBORS INC 9,502 -4,600 $734
     CLH9,502-4,600$734
CALAVO GROWERS INC 7,700 +7,700 $733
     CVGW7,700+7,700$733
FASTENAL CO 22,451 -76,610 $733
     FAST22,451-76,610$733
JOHNSON CTLS INTL PLC 16,700 +16,700 $733
     JCI16,700+16,700$733
MAGNA INTL INC 13,748 +6,329 $733
     MGA13,748+6,329$733
SERVICE PPTYS TR 28,403 +28,403 $733
     SVC28,403+28,403$733
BLACKLINE INC 15,300 +11,100 $731
     BL15,300+11,100$731
SKYWEST INC 12,700 +4,100 $729
     SKYW12,700+4,100$729
CENOVUS ENERGY INC 77,600 -9,700 $728
     CVE77,600-9,700$728
BOTTOMLINE TECH DEL INC 18,500 +6,400 $728
     EPAY18,500+6,400$728
MAXLINEAR INC 32,400 +32,400 $725
     MXL32,400+32,400$725
WPX ENERGY INC 68,470 +14,170 $725
     WPX68,470+14,170$725
FIRST REP BK SAN FRANCISCO C 7,479 -3,256 $723
     FRC7,479-3,256$723
FORD MTR CO DEL 78,796 -168,104 $722
     F78,796-168,104$722
TOWER SEMICONDUCTOR LTD 37,500 -15,000 $722
     TSEM37,500-15,000$722
SHERWIN WILLIAMS CO 1,308 -1,221 $719
     SHW1,308-1,221$719
AKAMAI TECHNOLOGIES INC 7,844 +2,143 $717
     AKAM7,844+2,143$717
AGCO CORP 9,457 +5,717 $716
     AGCO9,457+5,717$716
HILLENBRAND INC 23,200 -19,200 $716
     HI23,200-19,200$716
MERCURY GENL CORP NEW 12,800 +8,600 $715
     MCY12,800+8,600$715
INTERNATIONAL BUSINESS MACHS 4,911 -12,290 $714
     IBM4,911-12,290$714
VARIAN MED SYS INC 5,998 -13,251 $714
     VAR5,998-13,251$714
WRIGHT MED GROUP N V 34,600 +34,600 $714
     WMGI34,600+34,600$714
FRANKLIN RES INC 24,669 +24,669 $712
     BEN24,669+24,669$712
CYRUSONE INC 9,007 -29,362 $712
     CONE9,007-29,362$712
RALPH LAUREN CORP 7,456 +957 $712
     RL7,456+957$712
HOSTESS BRANDS INC 50,600 +50,600 $708
     TWNK50,600+50,600$708
NATIONAL VISION HLDGS INC 29,300 +29,300 $705
     EYE29,300+29,300$705
FIRST MIDWEST BANCORP DEL 36,100 +36,100 $703
     FMBI36,100+36,100$703
F M C CORP 8,012 -3,547 $702
     FMC8,012-3,547$702
MILLER HERMAN INC 15,200 -13,800 $701
     MLHR15,200-13,800$701
UNIVERSAL DISPLAY CORP 4,177 +2,315 $701
     OLED4,177+2,315$701
WILLIAMS SONOMA INC 10,314 +514 $701
     WSM10,314+514$701
CURTISS WRIGHT CORP 5,409 -6,012 $700
     CW5,409-6,012$700
ALLEGHENY TECHNOLOGIES INC 34,539 +24,214 $699
     ATI34,539+24,214$699
PARAMOUNT GROUP INC 52,300 +24,300 $698
     PGRE52,300+24,300$698
ALASKA AIR GROUP INC 10,733 +10,733 $697
     ALK10,733+10,733$697
CATHAY GEN BANCORP 20,000 +14,400 $695
     CATY20,000+14,400$695
L BRANDS INC 35,370 +1,058 $693
     LB35,370+1,058$693
VERINT SYS INC 16,202 -42,796 $693
     VRNT16,202-42,796$693
COHERENT INC 4,500 +4,500 $692
     COHR4,500+4,500$692
NATERA INC 21,100 +21,100 $692
     NTRA21,100+21,100$692
OFFICE PPTYS INCOME TR 22,600 +22,600 $692
     OPI22,600+22,600$692
TC ENERGY CORP 13,335 +13,335 $691
     TRP13,335+13,335$691
PRIMERICA INC 5,413 +3,300 $689
     PRI5,413+3,300$689
VANDA PHARMACEUTICALS INC 51,900 +51,900 $689
     VNDA51,900+51,900$689
SNAP ON INC 4,395 -143 $688
     SNA4,395-143$688
DIAMONDROCK HOSPITALITY CO 67,043 +54,828 $687
     DRH67,043+54,828$687
PATRICK INDS INC 15,983 +15,983 $685
     PATK15,983+15,983$685
TIMKEN CO 15,739 -24,045 $685
     TKR15,739-24,045$685
CHEESECAKE FACTORY INC 16,411 +6,303 $684
     CAKE16,411+6,303$684
TELEFLEX INC 2,004 +600 $681
     TFX2,004+600$681
ALTICE USA INC 23,600 -27,700 $677
     ATUS23,600-27,700$677
FORTIS INC 16,000 +16,000 $677
     FTS16,000+16,000$677
KNOWLES CORP 33,100 +33,100 $673
     KN33,100+33,100$673
CARDTRONICS PLC 22,167 +8,267 $670
     CATM22,167+8,267$670
CHEFS WHSE INC 16,600 +16,600 $669
     CHEF16,600+16,600$669
CARDIOVASCULAR SYS INC DEL 14,074 +2,610 $669
     CSII14,074+2,610$669
SYNCHRONY FINL 19,600 +3,100 $668
     SYF19,600+3,100$668
NATIONAL RETAIL PPTYS INC 11,809 +11,809 $666
     NNN11,809+11,809$666
PURE STORAGE INC 39,300 +29,300 $666
     PSTG39,300+29,300$666
MARCUS & MILLICHAP INC 18,700 +18,700 $664
     MMI18,700+18,700$664
U S CONCRETE INC 11,900 +11,900 $658
     USCR11,900+11,900$658
XPERI CORP 31,800 +19,400 $658
     XPER31,800+19,400$658
APERGY CORP 24,300 +24,300 $657
     APY24,300+24,300$657
ELEMENT SOLUTIONS INC 64,476 -33,524 $656
     ESI64,476-33,524$656
LUMINEX CORP DEL 31,600 +31,600 $653
     LMNX31,600+31,600$653
TECHNIPFMC PLC 27,000 +27,000 $652
     FTI27,000+27,000$652
MAGELLAN HEALTH INC 10,500 +10,500 $652
     MGLN10,500+10,500$652
PAN AMERICAN SILVER CORP 41,611 +41,611 $652
     PAAS41,611+41,611$652
INTERCEPT PHARMACEUTICALS IN 9,761 +9,761 $648
     ICPT9,761+9,761$648
WABASH NATL CORP 44,600 +44,600 $647
     WNC44,600+44,600$647
MYLAN N V 32,625 +32,625 $645
     MYL32,625+32,625$645
NCR CORP NEW 20,400 -14,617 $644
     NCR20,400-14,617$644
IONIS PHARMACEUTICALS INC 10,700 +10,700 $641
     IONS10,700+10,700$641
SOUTHERN COPPER CORP 18,775 +4,302 $641
     SCCO18,775+4,302$641
EPAM SYS INC 3,508 -3,181 $640
     EPAM3,508-3,181$640
GENERAL MLS INC 11,599 +11,599 $639
     GIS11,599+11,599$639
CHENIERE ENERGY INC 10,132 -7,366 $639
     LNG10,132-7,366$639
SHIP FINANCE INTERNATIONAL L 45,300 +45,300 $636
     SFL45,300+45,300$636
LYON WILLIAM HOMES 31,200 +31,200 $635
     WLH31,200+31,200$635
KRAFT HEINZ CO 22,700 +6,900 $634
     KHC22,700+6,900$634
UNIVAR SOLUTIONS INC 30,375 -5,950 $631
     UNVR30,375-5,950$631
HUDSON PAC PPTYS INC 18,830 -44,198 $630
     HPP18,830-44,198$630
EXPONENT INC 9,000 +9,000 $629
     EXPO9,000+9,000$629
MACERICH CO 19,916 -51,631 $629
     MAC19,916-51,631$629
CHART INDS INC 10,063 UNCH $628
     GTLS10,063UNCH$628
RYMAN HOSPITALITY PPTYS INC 7,648 +4,048 $626
     RHP7,648+4,048$626
RINGCENTRAL INC 4,983 +4,983 $626
     RNG4,983+4,983$626
VALERO ENERGY CORP NEW 7,321 +4,394 $624
     VLO7,321+4,394$624
MGIC INVT CORP WIS 49,538 +49,538 $623
     MTG49,538+49,538$623
DELEK US HLDGS INC NEW 17,133 -19,704 $622
     DK17,133-19,704$622
STATE STR CORP 10,500 -38,404 $621
     STT10,500-38,404$621
APPLE HOSPITALITY REIT INC 37,400 +37,400 $620
     APLE37,400+37,400$620
ZILLOW GROUP INC 20,900 +16,500 $617
     ZG20,900+16,500$617
WALKER & DUNLOP INC 11,000 -3,100 $615
     WD11,000-3,100$615
AGILENT TECHNOLOGIES INC 8,016 +2,868 $614
     A8,016+2,868$614
CAMDEN PPTY TR 5,514 -888 $612
     CPT5,514-888$612
TERADATA CORP DEL 19,700 -10,928 $611
     TDC19,700-10,928$611
STIFEL FINL CORP 10,571 +2,799 $607
     SF10,571+2,799$607
WD 40 CO 3,300 -1,400 $606
     WDFC3,300-1,400$606
AMERICAN HOMES 4 RENT 23,358 +23,358 $605
     AMH23,358+23,358$605
ORTHOFIX MED INC 11,400 +7,600 $604
     OFIX11,400+7,600$604
HERBALIFE NUTRITION LTD 15,915 -35,207 $603
     HLF15,915-35,207$603
DESIGNER BRANDS INC 35,187 +15,346 $602
     DBI35,187+15,346$602
EPR PPTYS 7,834 +1,935 $602
     EPR7,834+1,935$602
ALLEGION PUB LTD CO 5,791 +2,735 $600
     ALLE5,791+2,735$600
CVB FINL CORP 28,600 +7,600 $597
     CVBF28,600+7,600$597
TANDEM DIABETES CARE INC 10,100 +10,100 $596
     TNDM10,100+10,100$596
DIODES INC 14,800 -20,933 $594
     DIOD14,800-20,933$594
BUCKLE INC 28,800 +28,800 $593
     BKE28,800+28,800$593
RPM INTL INC 8,615 -3,791 $593
     RPM8,615-3,791$593
SOUTH ST CORP 7,881 +7,881 $593
     SSB7,881+7,881$593
FULLER H B CO 12,700 +4,100 $591
     FUL12,700+4,100$591
GREIF INC 15,600 +15,600 $591
     GEF15,600+15,600$591
MACOM TECH SOLUTIONS HLDGS I 27,500 -9,788 $591
     MTSI27,500-9,788$591
OWENS CORNING NEW 9,334 +9,334 $590
     OC9,334+9,334$590
CONNS INC 23,692 +23,692 $589
     CONN23,692+23,692$589
WEBSTER FINL CORP CONN 12,530 -10,516 $587
     WBS12,530-10,516$587
CHEMED CORP NEW 1,400 +582 $585
     CHE1,400+582$585
ENVESTNET INC 10,300 +10,300 $584
     ENV10,300+10,300$584
IMAX CORP 26,600 -7,100 $584
     IMAX26,600-7,100$584
MERITAGE HOMES CORP 8,300 +8,300 $584
     MTH8,300+8,300$584
PROS HOLDINGS INC 9,800 -9,300 $584
     PRO9,800-9,300$584
IMPERIAL OIL LTD 22,400 -8,515 $583
     IMO22,400-8,515$583
PS BUSINESS PKS INC CALIF 3,200 +3,200 $582
     PSB3,200+3,200$582
FAIR ISAAC CORP 1,900 -2,700 $577
     FICO1,900-2,700$577
BLACKROCK INC 1,291 +283 $575
     BLK1,291+283$575
ARISTA NETWORKS INC 2,401 +2,401 $574
     ANET2,401+2,401$574
TRUSTMARK CORP 16,800 -3,400 $573
     TRMK16,800-3,400$573
KAISER ALUMINUM CORP 5,759 +5,759 $570
     KALU5,759+5,759$570
PARK HOTELS RESORTS INC 22,808 -33,292 $570
     PK22,808-33,292$570
MARRIOTT VACTINS WORLDWID CO 5,500 -6,350 $570
     VAC5,500-6,350$570
DARLING INGREDIENTS INC 29,718 +1,618 $569
     DAR29,718+1,618$569
MERCADOLIBRE INC 1,033 +432 $569
     MELI1,033+432$569
TECHTARGET INC 25,000 +25,000 $563
     TTGT25,000+25,000$563
DXC TECHNOLOGY CO 18,969 +18,969 $560
     DXC18,969+18,969$560
LIFE STORAGE INC 5,300 -3,588 $559
     LSI5,300-3,588$559
SALLY BEAUTY HLDGS INC 37,415 +37,415 $557
     SBH37,415+37,415$557
CIMPRESS N V 4,211 -2,102 $555
     CMPR4,211-2,102$555
MOLINA HEALTHCARE INC 5,050 +2,007 $554
     MOH5,050+2,007$554
KENNAMETAL INC 17,901 +17,901 $550
     KMT17,901+17,901$550
CERIDIAN HCM HLDG INC 11,100 +11,100 $548
     CDAY11,100+11,100$548
TOLL BROTHERS INC 13,341 +13,341 $548
     TOL13,341+13,341$548
HOME BANCSHARES INC (HOMB) 29,100 +18,900 $547
     HOMB29,100+18,900$547
LENNAR CORP 9,750 -32,001 $545
     LEN9,750-32,001$545
LIBERTY BROADBAND CORP 5,200 +100 $544
     LBRDA5,200+100$544
ORACLE CORP 9,885 -40,615 $544
     ORCL9,885-40,615$544
EDITAS MEDICINE INC 23,900 -30,200 $543
     EDIT23,900-30,200$543
TERRENO RLTY CORP 10,600 +5,400 $542
     TRNO10,600+5,400$542
BRIGHT HORIZONS FAM SOL IN D 3,545 +3,545 $541
     BFAM3,545+3,545$541
LOEWS CORP 10,507 -456 $541
     L10,507-456$541
ADOBE INC 1,953 -151 $540
     ADBE1,953-151$540
BANNER CORP 9,600 +9,600 $539
     BANR9,600+9,600$539
BIOTELEMETRY INC 13,200 +6,200 $538
     BEAT13,200+6,200$538
BRIGHTHOUSE FINL INC 13,300 +3,100 $538
     BHF13,300+3,100$538
RETAIL OPPORTUNITY INVTS COR 29,500 -6,600 $538
     ROIC29,500-6,600$538
TIVO CORP 70,602 +29,002 $538
     TIVO70,602+29,002$538
Q2 HLDGS INC 6,800 +6,800 $536
     QTWO6,800+6,800$536
SANMINA CORPORATION 16,700 +6,000 $536
     SANM16,700+6,000$536
FGL HLDGS 66,300 -53,800 $529
     FG66,300-53,800$529
LENDINGTREE INC NEW 1,704 +1,704 $529
     TREE1,704+1,704$529
CNH INDL N V 51,906 +51,906 $527
     CNHI51,906+51,906$527
SCHNITZER STL INDS 25,500 +25,500 $527
     SCHN25,500+25,500$527
HERSHEY CO 3,379 -2,980 $524
     HSY3,379-2,980$524
MONOLITHIC PWR SYS INC 3,360 +3,360 $523
     MPWR3,360+3,360$523
E L F BEAUTY INC 29,800 +29,800 $522
     ELF29,800+29,800$522
KENNEDY WILSON HLDGS INC 23,800 +6,300 $522
     KW23,800+6,300$522
REGENCY CTRS CORP 7,482 +7,482 $520
     REG7,482+7,482$520
TRIUMPH BANCORP INC 16,200 +16,200 $517
     TBK16,200+16,200$517
PGT INNOVATIONS INC 29,900 +12,200 $516
     PGTI29,900+12,200$516
AMERICAN EAGLE OUTFITTERS IN 31,751 +15,206 $515
     AEO31,751+15,206$515
EVEREST RE GROUP LTD 1,937 -3,814 $515
     RE1,937-3,814$515
WARRIOR MET COAL INC 26,300 -103,200 $513
     HCC26,300-103,200$513
TRIUMPH GROUP INC NEW 22,400 -7,900 $513
     TGI22,400-7,900$513
BLACKSTONE MTG TR INC 14,269 +4,093 $512
     BXMT14,269+4,093$512
CONSOLIDATED EDISON INC 5,421 +5,421 $512
     ED5,421+5,421$512
MOBILE MINI INC 13,900 -35,100 $512
     MINI13,900-35,100$512
FLIR SYS INC 9,700 +3,787 $510
     FLIR9,700+3,787$510
WEYERHAEUSER CO 18,400 +18,400 $510
     WY18,400+18,400$510
MARTIN MARIETTA MATLS INC 1,848 +1,848 $507
     MLM1,848+1,848$507
QUALCOMM INC 6,628 -32,478 $506
     QCOM6,628-32,478$506
TWILIO INC 4,600 +4,600 $506
     TWLO4,600+4,600$506
USANA HEALTH SCIENCES INC 7,400 +7,400 $506
     USNA7,400+7,400$506
WHIRLPOOL CORP 3,196 +3,196 $506
     WHR3,196+3,196$506
XENCOR INC 15,000 +15,000 $506
     XNCR15,000+15,000$506
SUMMIT MATLS INC 22,751 +22,751 $505
     SUM22,751+22,751$505
HEALTHCARE RLTY TR 15,011 +15,011 $503
     HR15,011+15,011$503
ITRON INC 6,800 -19,000 $503
     ITRI6,800-19,000$503
LEXINGTON REALTY TRUST 49,100 +12,100 $503
     LXP49,100+12,100$503
DOCUSIGN INC 8,100 +8,100 $502
     DOCU8,100+8,100$502
KORN FERRY 13,000 -18,700 $502
     KFY13,000-18,700$502
BROOKS AUTOMATION INC 13,500 +6,300 $500
     BRKS13,500+6,300$500
BIO RAD LABS INC 1,500 -610 $499
     BIO1,500-610$499
KAMAN CORP 8,400 +8,400 $499
     KAMN8,400+8,400$499
MSG NETWORK INC 30,618 +30,618 $497
     MSGN30,618+30,618$497
BANK OZK 18,203 -3,997 $496
     OZK18,203-3,997$496
CARBONITE INC 31,900 -2,800 $494
     CARB31,900-2,800$494
BROOKDALE SR LIVING INC 65,100 +65,100 $493
     BKD65,100+65,100$493
ENCORE CAP GROUP INC 14,800 +14,800 $493
     ECPG14,800+14,800$493
STEEL DYNAMICS INC 16,539 +16,539 $493
     STLD16,539+16,539$493
BRIGHTSPHERE INVT GROUP INC 49,600 -9,300 $492
     BSIG49,600-9,300$492
BUNGE LIMITED 8,660 -733 $490
     BG8,660-733$490
MACQUARIE INFRASTRUCTURE COR 12,400 -27,294 $489
     MIC12,400-27,294$489
RAMBUS INC DEL 37,200 +37,200 $488
     RMBS37,200+37,200$488
COSTAR GROUP INC 817 +817 $485
     CSGP817+817$485
FOX FACTORY HLDG CORP 7,800 +7,800 $485
     FOXF7,800+7,800$485
UNITED BANKSHARES INC WEST V (UBSI) 12,800 +12,800 $485
     UBSI12,800+12,800$485
PEMBINA PIPELINE CORP 13,031 +13,031 $483
     PBA13,031+13,031$483
AUTOLIV INC 6,062 +719 $478
     ALV6,062+719$478
GLACIER BANCORP INC NEW 11,800 +11,800 $477
     GBCI11,800+11,800$477
LHC GROUP INC 4,200 +4,200 $477
     LHCG4,200+4,200$477
REPLIGEN CORP 6,214 +6,214 $477
     RGEN6,214+6,214$477
INSPERITY INC 4,812 +2,112 $475
     NSP4,812+2,112$475
PIEDMONT OFFICE REALTY TR IN 22,700 -11,100 $474
     PDM22,700-11,100$474
MATTEL INC 41,500 +41,500 $473
     MAT41,500+41,500$473
MARKEL CORP 400 -800 $473
     MKL400-800$473
ADVANCE AUTO PARTS INC 2,829 +2,829 $468
     AAP2,829+2,829$468
AMERICAN ASSETS TR INC 9,962 -2,738 $466
     AAT9,962-2,738$466
AAR CORP 11,300 -11,000 $466
     AIR11,300-11,000$466
CAREDX INC 20,600 +20,600 $466
     CDNA20,600+20,600$466
REALPAGE INC 7,411 +7,411 $466
     RP7,411+7,411$466
WOLVERINE WORLD WIDE INC 16,489 +2,979 $466
     WWW16,489+2,979$466
IBERIABANK CORP 6,157 -2,000 $465
     IBKC6,157-2,000$465
BARRICK GOLD CORPORATION 26,795 +26,795 $464
     GOLD26,795+26,795$464
CONSTELLATION BRANDS INC 2,240 -6,794 $464
     STZ2,240-6,794$464
TWO HBRS INVT CORP 35,305 +35,305 $464
     TWO35,305+35,305$464
REXNORD CORP NEW 17,100 +17,100 $463
     RXN17,100+17,100$463
SAREPTA THERAPEUTICS INC 6,149 +6,149 $463
     SRPT6,149+6,149$463
XENIA HOTELS & RESORTS INC 21,900 +21,900 $463
     XHR21,900+21,900$463
WAYFAIR INC 4,100 +4,100 $460
     W4,100+4,100$460
ARCHROCK INC 46,000 +3,500 $459
     AROC46,000+3,500$459
TENET HEALTHCARE CORP 20,748 +20,748 $459
     THC20,748+20,748$459
CAPRI HOLDINGS LIMITED 13,800 -17,100 $458
     CPRI13,800-17,100$458
SIMPLY GOOD FOODS CO 15,770 -27,000 $457
     SMPL15,770-27,000$457
TRI POINTE GROUP INC 30,413 -9,448 $457
     TPH30,413-9,448$457
NLIGHT INC 29,100 +29,100 $456
     LASR29,100+29,100$456
GRAND CANYON ED INC 4,610 +667 $453
     LOPE4,610+667$453
TIFFANY & CO NEW 4,887 +2,020 $453
     TIF4,887+2,020$453
SELECTIVE INS GROUP INC 6,000 -8,500 $451
     SIGI6,000-8,500$451
AMKOR TECHNOLOGY INC 49,400 +49,400 $450
     AMKR49,400+49,400$450
NATIONAL STORAGE AFFILIATES 13,500 -13,100 $450
     NSA13,500-13,100$450
CROCS INC 16,174 +16,174 $449
     CROX16,174+16,174$449
M D C HLDGS INC 10,400 +10,400 $448
     MDC10,400+10,400$448
MAKEMYTRIP LIMITED MAURITIUS 19,700 +19,700 $447
     MMYT19,700+19,700$447
TELADOC HEALTH INC 6,600 +6,600 $447
     TDOC6,600+6,600$447
ENSIGN GROUP INC 9,400 +9,400 $446
     ENSG9,400+9,400$446
ATLAS AIR WORLDWIDE HLDGS IN 17,600 +17,600 $444
     AAWW17,600+17,600$444
BLOCK H & R INC 18,751 +18,751 $443
     HRB18,751+18,751$443
ALCOA CORP 22,000 +22,000 $442
     AA22,000+22,000$442
MUELLER WTR PRODS INC 39,200 +39,200 $441
     MWA39,200+39,200$441
INDEPENDENT BANK CORP MASS 5,900 +5,900 $440
     INDB5,900+5,900$440
CORNERSTONE ONDEMAND INC 8,000 -1,851 $439
     CSOD8,000-1,851$439
MICHAELS COS INC 44,816 +44,816 $439
     MIK44,816+44,816$439
RETAIL PPTYS AMER INC 35,600 -11,012 $439
     RPAI35,600-11,012$439
EMPIRE ST RLTY TR INC 30,700 +30,700 $438
     ESRT30,700+30,700$438
NANOMETRICS INC 13,400 +13,400 $437
     NANO13,400+13,400$437
QUIDEL CORP 7,100 -100 $436
     QDEL7,100-100$436
BAUSCH HEALTH COS INC 19,900 -2,888 $435
     BHC19,900-2,888$435
ETSY INC 7,700 +2,200 $435
     ETSY7,700+2,200$435
STRATASYS LTD 20,400 +7,700 $435
     SSYS20,400+7,700$435
UBIQUITI INC 3,682 +3,682 $435
     UI3,682+3,682$435
AEROVIRONMENT INC 8,100 -4,200 $434
     AVAV8,100-4,200$434
AMERICAN AIRLS GROUP INC 16,063 -16,506 $433
     AAL16,063-16,506$433
WASTE CONNECTIONS INC 4,700 +4,700 $432
     WCN4,700+4,700$432
AIR LEASE CORP 10,300 +10,300 $431
     AL10,300+10,300$431
HANESBRANDS INC 27,959 +27,959 $428
     HBI27,959+27,959$428
MEREDITH CORP 11,681 +5,423 $428
     MDP11,681+5,423$428
ON SEMICONDUCTOR CORP 22,222 -16,813 $427
     ON22,222-16,813$427
PARKER HANNIFIN CORP 2,361 -1,639 $426
     PH2,361-1,639$426
CENTURYLINK INC 34,089 +15,370 $425
     CTL34,089+15,370$425
WESTERN UN CO 18,362 -12,763 $425
     WU18,362-12,763$425
EXACT SCIENCES CORP 4,687 +4,687 $424
     EXAS4,687+4,687$424
AXA EQUITABLE HLDGS INC 19,100 +19,100 $423
     EQH19,100+19,100$423
ELDORADO RESORTS INC 10,600 +10,600 $423
     ERI10,600+10,600$423
CHIMERA INVT CORP 21,600 +21,600 $422
     CIM21,600+21,600$422
VENTAS INC 5,763 +5,763 $421
     VTR5,763+5,763$421
CAL MAINE FOODS INC 10,500 +500 $420
     CALM10,500+500$420
PIONEER NAT RES CO 3,341 +419 $420
     PXD3,341+419$420
BRUKER CORP 9,548 +9,548 $419
     BRKR9,548+9,548$419
IRIDIUM COMMUNICATIONS INC 19,700 -9,100 $419
     IRDM19,700-9,100$419
SYNNEX CORP 3,700 -4,800 $418
     SNX3,700-4,800$418
NEWS CORP NEW 29,888 +9,988 $416
     NWSA29,888+9,988$416
TYSON FOODS INC 4,834 -4,582 $416
     TSN4,834-4,582$416
PACCAR INC 5,931 -14,283 $415
     PCAR5,931-14,283$415
GRANITE CONSTR INC 12,800 +12,800 $411
     GVA12,800+12,800$411
LAUREATE EDUCATION INC 24,800 -27,600 $411
     LAUR24,800-27,600$411
ARCONIC INC 15,768 +15,768 $410
     ARNC15,768+15,768$410
SEATTLE GENETICS INC 4,804 -22,355 $410
     SGEN4,804-22,355$410
THIRD PT REINS LTD 40,800 -26,000 $408
     TPRE40,800-26,000$408
VAREX IMAGING CORP 14,249 -18,100 $407
     VREX14,249-18,100$407
HALOZYME THERAPEUTICS INC 26,100 +7,600 $405
     HALO26,100+7,600$405
CANTEL MEDICAL CORP 5,400 +5,400 $404
     CMD5,400+5,400$404
CAMPBELL SOUP CO 8,600 -41,065 $404
     CPB8,600-41,065$404
VERITEX HLDGS INC 16,600 +16,600 $403
     VBTX16,600+16,600$403
TEXAS CAPITAL BANCSHARES INC (TCBI) 7,321 +7,321 $400
     TCBI7,321+7,321$400
CYBERARK SOFTWARE LTD 4,000 +2,100 $399
     CYBR4,000+2,100$399
INGEVITY CORP 4,700 +4,700 $399
     NGVT4,700+4,700$399
INVESCO MORTGAGE CAPITAL INC 26,000 -18,200 $398
     IVR26,000-18,200$398
SILGAN HOLDINGS INC 13,200 -44,900 $396
     SLGN13,200-44,900$396
COLUMBIA SPORTSWEAR CO 4,077 -6,492 $395
     COLM4,077-6,492$395
NORTHWESTERN CORP 5,263 +5,263 $395
     NWE5,263+5,263$395
GALLAGHER ARTHUR J & CO 4,389 -2,412 $393
     AJG4,389-2,412$393
ANNALY CAP MGMT INC 44,653 +15,480 $393
     NLY44,653+15,480$393
HAEMONETICS CORP 3,105 +3,105 $392
     HAE3,105+3,105$392
BEACON ROOFING SUPPLY INC 11,661 -6,083 $391
     BECN11,661-6,083$391
TTM TECHNOLOGIES INC 31,800 +31,800 $388
     TTMI31,800+31,800$388
BALCHEM CORP 3,900 +3,900 $387
     BCPC3,900+3,900$387
GLOBUS MED INC 7,570 +7,570 $387
     GMED7,570+7,570$387
CSX CORP 5,570 -53,763 $386
     CSX5,570-53,763$386
H & E EQUIPMENT SERVICES INC 13,300 +13,300 $384
     HEES13,300+13,300$384
LIGAND PHARMACEUTICALS INC 3,843 +3,843 $383
     LGND3,843+3,843$383
KAR AUCTION SVCS INC 15,511 -6,690 $381
     KAR15,511-6,690$381
MOELIS & CO 11,600 +11,600 $381
     MC11,600+11,600$381
EQUIFAX INC 2,694 +2,694 $379
     EFX2,694+2,694$379
FULTON FINL CORP PA 23,400 -33,700 $379
     FULT23,400-33,700$379
HOULIHAN LOKEY INC 8,400 +8,400 $379
     HLI8,400+8,400$379
CONTINENTAL BLDG PRODS INC 13,800 -1,400 $377
     CBPX13,800-1,400$377
LAMAR ADVERTISING CO NEW 4,599 -4,301 $377
     LAMR4,599-4,301$377
SIGNET JEWELERS LIMITED 22,521 +437 $377
     SIG22,521+437$377
IQVIA HLDGS INC 2,494 +2,494 $373
     IQV2,494+2,494$373
ABBVIE INC 4,900 -42,027 $371
     ABBV4,900-42,027$371
CONTINENTAL RESOURCES INC 12,050 +4,991 $371
     CLR12,050+4,991$371
3 D SYS CORP DEL 45,300 +45,300 $369
     DDD45,300+45,300$369
AVANGRID INC 7,047 -14,753 $368
     AGR7,047-14,753$368
LGI HOMES INC 4,400 +4,400 $367
     LGIH4,400+4,400$367
INSULET CORP 2,200 -200 $363
     PODD2,200-200$363
SPIRIT AIRLS INC 10,006 -3,309 $363
     SAVE10,006-3,309$363
ABERCROMBIE & FITCH CO 23,116 +23,116 $361
     ANF23,116+23,116$361
MEDPACE HLDGS INC 4,300 +4,300 $361
     MEDP4,300+4,300$361
SKYLINE CHAMPION CORPORATION 12,000 +12,000 $361
     SKY12,000+12,000$361
CARDINAL HEALTH INC 7,600 +7,600 $359
     CAH7,600+7,600$359
FIRST SOLAR INC 6,196 +6,196 $359
     FSLR6,196+6,196$359
FIBROGEN INC 9,600 +9,600 $355
     FGEN9,600+9,600$355
HEALTHEQUITY INC 6,200 -7,500 $354
     HQY6,200-7,500$354
HOWARD HUGHES CORP 2,706 -11,800 $351
     HHC2,706-11,800$351
HORMEL FOODS CORP 8,034 -17,443 $351
     HRL8,034-17,443$351
KLA CORPORATION 2,200 +2,200 $351
     KLAC2,200+2,200$351
LOGMEIN INC 4,939 -947 $350
     LOGM4,939-947$350
VISTEON CORP 4,220 +4,220 $348
     VC4,220+4,220$348
CHUBB LIMITED 2,146 -7,788 $346
     CB2,146-7,788$346
EQT CORP 32,485 -12,866 $346
     EQT32,485-12,866$346
AGREE REALTY CORP 4,700 +4,700 $344
     ADC4,700+4,700$344
COCA COLA EUROPEAN PARTNERS 6,200 -1,800 $344
     CCEP6,200-1,800$344
PRESTIGE CONSMR HEALTHCARE I 9,897 -501 $343
     PBH9,897-501$343
SENSATA TECHNOLOGIES HLDNG P 6,847 -712 $343
     ST6,847-712$343
AMPHENOL CORP NEW 3,542 -18,423 $342
     APH3,542-18,423$342
IROBOT CORP 5,549 +5,549 $342
     IRBT5,549+5,549$342
LIONS GATE ENTMNT CORP      $342
     LGF.B20,000+20,000$175
     LGF.A18,100+18,100$167
CORESITE RLTY CORP 2,790 -1,813 $340
     COR2,790-1,813$340
PEGASYSTEMS INC 5,000 +5,000 $340
     PEGA5,000+5,000$340
CABOT MICROELECTRONICS CORP 2,404 +2,404 $339
     CCMP2,404+2,404$339
ADIENT PLC 14,739 +14,739 $338
     ADNT14,739+14,739$338
AMERIPRISE FINL INC 2,300 -3,740 $338
     AMP2,300-3,740$338
UNIQURE NV 8,600 +8,600 $338
     QURE8,600+8,600$338
SJW GROUP 4,900 +4,900 $335
     SJW4,900+4,900$335
WEST PHARMACEUTICAL SVSC INC 2,361 -10 $335
     WST2,361-10$335
TWITTER INC 8,100 -83,117 $334
     TWTR8,100-83,117$334
RENASANT CORP 9,500 +9,500 $333
     RNST9,500+9,500$333
VEREIT INC 34,000 +22,900 $333
     VER34,000+22,900$333
SIGNATURE BK NEW YORK N Y 2,773 +2,773 $331
     SBNY2,773+2,773$331
ITT INC 5,399 -12,324 $330
     ITT5,399-12,324$330
DRIL QUIP INC 6,492 -13,035 $326
     DRQ6,492-13,035$326
ENTERGY CORP NEW 2,760 -436 $324
     ETR2,760-436$324
THOR INDS INC 5,722 +5,722 $324
     THO5,722+5,722$324
GODADDY INC 4,900 -27,400 $323
     GDDY4,900-27,400$323
PAYLOCITY HLDG CORP 3,300 +3,300 $322
     PCTY3,300+3,300$322
PTC THERAPEUTICS INC 9,410 +9,410 $318
     PTCT9,410+9,410$318
WASHINGTON FED INC 8,600 +8,600 $318
     WAFD8,600+8,600$318
APPFOLIO INC 3,300 +900 $314
     APPF3,300+900$314
FNB CORP PA 27,256 +27,256 $314
     FNB27,256+27,256$314
G III APPAREL GROUP LTD 12,185 +12,185 $314
     GIII12,185+12,185$314
OCEANEERING INTL INC 23,201 -30,401 $314
     OII23,201-30,401$314
ACADIA HEALTHCARE COMPANY IN 10,065 +10,065 $313
     ACHC10,065+10,065$313
WINGSTOP INC 3,500 +3,500 $305
     WING3,500+3,500$305
EAST WEST BANCORP INC 6,853 -7,637 $304
     EWBC6,853-7,637$304
BOK FINL CORP 3,800 +1,145 $301
     BOKF3,800+1,145$301
ALTAIR ENGR INC 8,600 +8,600 $298
     ALTR8,600+8,600$298
XYLEM INC 3,743 +1,251 $298
     XYL3,743+1,251$298
INTERPUBLIC GROUP COS INC 13,798 -96,770 $297
     IPG13,798-96,770$297
AT&T INC 7,800 +7,800 $295
     T7,800+7,800$295
KIMCO RLTY CORP 14,100 -33,600 $294
     KIM14,100-33,600$294
RETROPHIN INC 25,300 +25,300 $293
     RTRX25,300+25,300$293
TEMPUR SEALY INTL INC 3,801 -2,498 $293
     TPX3,801-2,498$293
LA Z BOY INC 8,700 +8,700 $292
     LZB8,700+8,700$292
UMPQUA HLDGS CORP 17,723 +17,723 $292
     UMPQ17,723+17,723$292
WILLIS TOWERS WATSON PUB LTD 1,500 -2,700 $289
     WLTW1,500-2,700$289
REGENXBIO INC 8,100 +8,100 $288
     RGNX8,100+8,100$288
SELECT MED HLDGS CORP 17,400 +17,400 $288
     SEM17,400+17,400$288
CACTUS INC 9,900 +2,500 $287
     WHD9,900+2,500$287
NUTANIX INC 10,900 +10,900 $286
     NTNX10,900+10,900$286
APACHE CORP 11,113 -3,314 $284
     APA11,113-3,314$284
CVR ENERGY INC 6,394 +6,394 $282
     CVI6,394+6,394$282
GREENBRIER COS INC 9,300 UNCH $280
     GBX9,300UNCH$280
FIVE9 INC 5,200 +5,200 $279
     FIVN5,200+5,200$279
SILICON LABORATORIES INC 2,506 +2,506 $279
     SLAB2,506+2,506$279
CENTERSTATE BK CORP 11,600 +200 $278
     CSFL11,600+200$278
ALLSCRIPTS HEALTHCARE SOLUTN 25,351 +25,351 $278
     MDRX25,351+25,351$278
QTS RLTY TR INC 5,400 -7,300 $278
     QTS5,400-7,300$278
ACADIA PHARMACEUTICALS INC 7,696 +7,696 $277
     ACAD7,696+7,696$277
GLOBAL BLOOD THERAPEUTICS IN 5,700 +5,700 $277
     GBT5,700+5,700$277
ZUORA INC 18,400 +18,400 $277
     ZUO18,400+18,400$277
AMERICOLD RLTY TR 7,400 -12,100 $274
     COLD7,400-12,100$274
FLOWSERVE CORP 5,868 -5,173 $274
     FLS5,868-5,173$274
BIO TECHNE CORP 1,400 -4,005 $274
     TECH1,400-4,005$274
SPLUNK INC 2,318 +2,318 $273
     SPLK2,318+2,318$273
CHURCHILL DOWNS INC 2,200 -6,000 $272
     CHDN2,200-6,000$272
CINCINNATI FINL CORP 2,333 -2,052 $272
     CINF2,333-2,052$272
FIRST INDUSTRIAL REALTY TRUS 6,805 +6,805 $269
     FR6,805+6,805$269
PERRIGO CO PLC 4,813 -10,036 $269
     PRGO4,813-10,036$269
TARGA RES CORP 6,686 -1,006 $269
     TRGP6,686-1,006$269
WYNDHAM HOTELS & RESORTS INC 5,200 +5,200 $269
     WH5,200+5,200$269
NEKTAR THERAPEUTICS 14,696 +14,696 $268
     NKTR14,696+14,696$268
BERRY GLOBAL GROUP INC 6,798 -15,348 $267
     BERY6,798-15,348$267
OLD NATL BANCORP IND 15,500 +15,500 $267
     ONB15,500+15,500$267
CIMAREX ENERGY CO 5,568 -2,055 $267
     XEC5,568-2,055$267
MARVELL TECHNOLOGY GROUP LTD 10,609 -40,310 $265
     MRVL10,609-40,310$265
STERICYCLE INC 5,200 +5,200 $265
     SRCL5,200+5,200$265
SAILPOINT TECHNLGIES HLDGS I 14,100 +14,100 $264
     SAIL14,100+14,100$264
ZUMIEZ INC 8,300 +8,300 $263
     ZUMZ8,300+8,300$263
AMERIS BANCORP 6,500 +6,500 $262
     ABCB6,500+6,500$262
NOVANTA INC 3,200 +3,200 $262
     NOVT3,200+3,200$262
NEW YORK TIMES CO 9,017 -8,651 $257
     NYT9,017-8,651$257
GLOBANT S A 2,800 +2,800 $256
     GLOB2,800+2,800$256
KILROY RLTY CORP 3,261 -6,624 $254
     KRC3,261-6,624$254
SLM CORP 28,800 -122,094 $254
     SLM28,800-122,094$254
DECKERS OUTDOOR CORP 1,717 -6,474 $253
     DECK1,717-6,474$253
IPG PHOTONICS CORP 1,867 +1,867 $253
     IPGP1,867+1,867$253
SAGE THERAPEUTICS INC 1,800 +1,800 $253
     SAGE1,800+1,800$253
VERICEL CORP 16,700 +16,700 $253
     VCEL16,700+16,700$253
APPIAN CORP 5,300 +5,300 $252
     APPN5,300+5,300$252
CARETRUST REIT INC 10,700 +700 $252
     CTRE10,700+700$252
AMEDISYS INC 1,919 +1,919 $251
     AMED1,919+1,919$251
ICON PLC 1,700 +1,700 $250
     ICLR1,700+1,700$250
INTERNATIONAL GAME TECHNOLOG 17,600 +17,600 $250
     IGT17,600+17,600$250
WESCO INTL INC 5,214 -7,758 $249
     WCC5,214-7,758$249
WINTRUST FINL CORP 3,842 -7,731 $248
     WTFC3,842-7,731$248
COMMUNITY BK SYS INC 4,000 +4,000 $247
     CBU4,000+4,000$247
DORMAN PRODUCTS INC 3,100 +3,100 $247
     DORM3,100+3,100$247
JBG SMITH PPTYS 6,300 -28,400 $247
     JBGS6,300-28,400$247
HCP INC 6,900 +6,900 $246
     HCP6,900+6,900$246
NUCOR CORP 4,834 +4,834 $246
     NUE4,834+4,834$246
ANSYS INC 1,102 +1,102 $244
     ANSS1,102+1,102$244
LEGG MASON INC 6,349 -101,534 $242
     LM6,349-101,534$242
EXLSERVICE HOLDINGS INC 3,600 +3,600 $241
     EXLS3,600+3,600$241
QUANTA SVCS INC 6,384 -31,683 $241
     PWR6,384-31,683$241
MEDICINES CO 4,800 +4,800 $240
     MDCO4,800+4,800$240
COTY INC 22,755 +9,355 $239
     COTY22,755+9,355$239
IRHYTHM TECHNOLOGIES INC 3,200 -3,700 $237
     IRTC3,200-3,700$237
MADISON SQUARE GARDEN CO NEW 900 +900 $237
     MSG900+900$237
BB&T CORP 4,425 -14,236 $236
     BBT4,425-14,236$236
PLAYAGS INC 22,700 +22,700 $233
     AGS22,700+22,700$233
EVOQUA WATER TECHNOLOGIES CO 13,600 +13,600 $231
     AQUA13,600+13,600$231
NVIDIA CORP 1,328 -232 $231
     NVDA1,328-232$231
GLOBAL NET LEASE INC 11,800 +11,800 $230
     GNL11,800+11,800$230
LYONDELLBASELL INDUSTRIES N 2,559 -12,285 $229
     LYB2,559-12,285$229
SUN CMNTYS INC 1,540 +1,540 $229
     SUI1,540+1,540$229
ACTUANT CORP 10,400 +10,400 $228
     ATU10,400+10,400$228
EAGLE BANCORP INC MD 5,100 +5,100 $228
     EGBN5,100+5,100$228
NORTHWEST NAT HLDG CO 3,200 +3,200 $228
     NWN3,200+3,200$228
PATTERN ENERGY GROUP INC 8,400 -1,800 $226
     PEGI8,400-1,800$226
UMB FINL CORP 3,500 -300 $226
     UMBF3,500-300$226
8X8 INC NEW 10,860 +10,860 $225
     EGHT10,860+10,860$225
SHAKE SHACK INC 2,300 +2,300 $225
     SHAK2,300+2,300$225
HANNON ARMSTRONG SUST INFR C 7,700 -20,600 $224
     HASI7,700-20,600$224
REALOGY HLDGS CORP 33,490 +33,490 $224
     RLGY33,490+33,490$224
CELANESE CORP DEL 1,820 -5,145 $223
     CE1,820-5,145$223
NEW YORK CMNTY BANCORP INC 17,712 -1,691 $222
     NYCB17,712-1,691$222
HUNTSMAN CORP 9,513 -17,722 $221
     HUN9,513-17,722$221
VIRTU FINL INC 13,500 +1,600 $221
     VIRT13,500+1,600$221
SABRA HEALTH CARE REIT INC 9,600 +9,600 $220
     SBRA9,600+9,600$220
BANCORPSOUTH BK TUPELO MISS 7,400 +7,400 $219
     BXS7,400+7,400$219
IOVANCE BIOTHERAPEUTICS INC 12,000 +12,000 $218
     IOVA12,000+12,000$218
ULTRA CLEAN HLDGS INC 14,900 +14,900 $218
     UCTT14,900+14,900$218
FIRST MAJESTIC SILVER CORP 23,900 +23,900 $217
     AG23,900+23,900$217
BERKSHIRE HILLS BANCORP INC 7,400 UNCH $217
     BHLB7,400UNCH$217
SCIENTIFIC GAMES CORP 10,668 +10,668 $217
     SGMS10,668+10,668$217
AVAYA HLDGS CORP 21,100 -24,600 $216
     AVYA21,100-24,600$216
DENALI THERAPEUTICS INC 14,100 +14,100 $216
     DNLI14,100+14,100$216
SAIA INC 2,300 -6,800 $216
     SAIA2,300-6,800$216
VULCAN MATLS CO 1,427 -5,936 $216
     VMC1,427-5,936$216
VICOR CORP 7,300 -9,400 $215
     VICR7,300-9,400$215
U S SILICA HLDGS INC 22,149 +22,149 $212
     SLCA22,149+22,149$212
COMPASS MINERALS INTL INC 3,700 -9,585 $209
     CMP3,700-9,585$209
BRINKER INTL INC 4,909 +4,909 $209
     EAT4,909+4,909$209
IRONWOOD PHARMACEUTICALS INC 24,400 +24,400 $209
     IRWD24,400+24,400$209
NXP SEMICONDUCTORS N V 1,912 +1,912 $209
     NXPI1,912+1,912$209
SVB FINL GROUP 1,002 +1,002 $209
     SIVB1,002+1,002$209
ARMOUR RESIDENTIAL REIT INC 12,300 +12,300 $206
     ARR12,300+12,300$206
PEOPLES UTD FINL INC 13,053 +13,053 $204
     PBCT13,053+13,053$204
REGAL BELOIT CORP 2,800 +2,800 $204
     RBC2,800+2,800$204
CNA FINL CORP 4,100 +4,100 $202
     CNA4,100+4,100$202
EBIX INC 4,800 +4,800 $202
     EBIX4,800+4,800$202
GREEN PLAINS INC 19,000 -11,300 $201
     GPRE19,000-11,300$201
ATLASSIAN CORP PLC 1,600 +1,600 $201
     TEAM1,600+1,600$201
DANAHER CORPORATION 1,387 -4,862 $200
     DHR1,387-4,862$200
FOSSIL GROUP INC 16,000 -81,120 $200
     FOSL16,000-81,120$200
JAGGED PEAK ENERGY INC 27,600 -53,600 $200
     JAG27,600-53,600$200
REDWOOD TR INC 11,700 +11,700 $192
     RWT11,700+11,700$192
WISDOMTREE INVTS INC 36,400 +36,400 $190
     WETF36,400+36,400$190
MFA FINL INC 25,200 +25,200 $185
     MFA25,200+25,200$185
MOMENTA PHARMACEUTICALS INC 14,300 -55,300 $185
     MNTA14,300-55,300$185
COMMSCOPE HLDG CO INC 15,314 +15,314 $180
     COMM15,314+15,314$180
UNISYS CORP 24,100 -25,300 $179
     UIS24,100-25,300$179
ORION ENGINEERED CARBONS S A 10,300 -5,400 $172
     OEC10,300-5,400$172
SPECTRUM PHARMACEUTICALS INC 20,300 -49,700 $168
     SPPI20,300-49,700$168
HELIX ENERGY SOLUTIONS GRP I 20,300 +20,300 $164
     HLX20,300+20,300$164
YEXT INC 10,000 -78,100 $159
     YEXT10,000-78,100$159
DELPHI TECHNOLOGIES PLC 11,728 -73,472 $157
     DLPH11,728-73,472$157
UNITED NAT FOODS INC 13,600 +13,600 $157
     UNFI13,600+13,600$157
CYMABAY THERAPEUTICS INC 30,100 +4,300 $154
     CBAY30,100+4,300$154
AMICUS THERAPEUTICS INC 18,009 +18,009 $144
     FOLD18,009+18,009$144
MAGNOLIA OIL & GAS CORP 11,700 -46,800 $130
     MGY11,700-46,800$130
TRONOX HOLDINGS PLC 14,700 +14,700 $122
     TROX14,700+14,700$122
RANGE RES CORP 22,100 +2,700 $84
     RRC22,100+2,700$84
PARTY CITY HOLDCO INC 11,700 -71,000 $67
     PRTY11,700-71,000$67
ANTERO RES CORP 15,400 -2,100 $47
     AR15,400-2,100$47
QEP RES INC 10,500 +10,500 $39
     QEP10,500+10,500$39
ABM INDS INC $0 (exited)
     ABM0-15,900$0
ACACIA COMMUNICATIONS INC $0 (exited)
     ACIA0-4,700$0
AERIE PHARMACEUTICALS INC $0 (exited)
     AERI0-16,286$0
AGIOS PHARMACEUTICALS INC $0 (exited)
     AGIO0-17,510$0
AIMMUNE THERAPEUTICS INC $0 (exited)
     AIMT0-11,400$0
APPLIED INDL TECHNOLOGIES IN $0 (exited)
     AIT0-3,500$0
ALBEMARLE CORP $0 (exited)
     ALB0-12,803$0
ALLEGIANT TRAVEL CO $0 (exited)
     ALGT0-2,408$0
ALEXION PHARMACEUTICALS INC $0 (exited)
     ALX