HoldingsChannel.com
All Stocks Held By American International Group Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 3,125,911 -48,536 $492,987
     MSFT3,125,911-48,536$492,987
APPLE INC 1,718,341 -36,258 $436,957
     AAPL1,718,341-36,258$436,957
AMAZON.COM INC 160,968 -2,555 $313,843
     AMZN160,968-2,555$313,843
VERIZON COMMUNICATIONS INC 5,604,362 -1,107,167 $301,122
     VZ5,604,362-1,107,167$301,122
JPMORGAN CHASE & CO 3,265,211 -395,698 $293,967
     JPM3,265,211-395,698$293,967
CISCO SYSTEMS INC 7,144,728 -1,125,769 $280,859
     CSCO7,144,728-1,125,769$280,859
PFIZER INC 8,362,237 -2,022,060 $272,943
     PFE8,362,237-2,022,060$272,943
GILEAD SCIENCES INC 3,621,952 -1,564,161 $270,777
     GILD3,621,952-1,564,161$270,777
BRISTOL MYERS SQUIBB CO      $265,793
     BMY4,766,407-1,746,897$265,680
     COM29,832+29,832$113
ABBVIE INC 3,380,229 -1,175,771 $257,540
     ABBV3,380,229-1,175,771$257,540
PHILIP MORRIS INTERNATIONAL 3,445,808 -888,166 $251,406
     PM3,445,808-888,166$251,406
ALTRIA GROUP INC 6,478,070 -1,057,377 $250,507
     MO6,478,070-1,057,377$250,507
CATERPILLAR INC 2,158,495 -351,785 $250,472
     CAT2,158,495-351,785$250,472
3M CO 1,815,905 -307,039 $247,889
     MMM1,815,905-307,039$247,889
INTL BUSINESS MACHINES CORP 2,224,469 -231,206 $246,760
     IBM2,224,469-231,206$246,760
AMGEN INC 1,148,747 +868,178 $232,885
     AMGN1,148,747+868,178$232,885
HP INC 13,407,671 -3,909,119 $232,757
     HPQ13,407,671-3,909,119$232,757
CARDINAL HEALTH INC 4,850,164 -899,397 $232,517
     CAH4,850,164-899,397$232,517
KRAFT HEINZ CO THE 8,933,314 -1,189,005 $221,010
     KHC8,933,314-1,189,005$221,010
CHEVRON CORP 2,949,244 -311,239 $213,702
     CVX2,949,244-311,239$213,702
GENERAL MILLS INC 4,013,886 -1,638,391 $211,813
     GIS4,013,886-1,638,391$211,813
WALGREENS BOOTS ALLIANCE INC 4,614,229 -897,646 $211,101
     WBA4,614,229-897,646$211,101
BROADCOM INC 886,622 +712,175 $210,218
     AVGO886,622+712,175$210,218
OMNICOM GROUP 3,779,305 -414,783 $207,484
     OMC3,779,305-414,783$207,484
CUMMINS INC 1,530,225 -197,825 $207,070
     CMI1,530,225-197,825$207,070
EXXON MOBIL CORP 5,341,124 -512,037 $202,802
     XOM5,341,124-512,037$202,802
NETAPP INC 4,509,093 -582,723 $187,984
     NTAP4,509,093-582,723$187,984
BEST BUY CO INC 3,092,735 -1,040,206 $176,286
     BBY3,092,735-1,040,206$176,286
BRIDGEBIO PHARMA INC 5,919,246 -825,146 $171,658
     BBIO5,919,246-825,146$171,658
CENTURYLINK INC 17,789,360 -2,617,631 $168,287
     CTL17,789,360-2,617,631$168,287
LAS VEGAS SANDS CORP 3,744,843 -1,284,616 $159,043
     LVS3,744,843-1,284,616$159,043
ALPHABET INC CL A 136,632 -2,721 $158,760
     GOOGL136,632-2,721$158,760
DOW INC 5,278,258 -704,126 $154,336
     DOW5,278,258-704,126$154,336
LYONDELLBASELL INDU CL A 3,068,041 -419,214 $152,267
     LYB3,068,041-419,214$152,267
FACEBOOK INC CLASS A 908,734 -12,874 $151,577
     FB908,734-12,874$151,577
ALPHABET INC CL C 114,950 -1,783 $133,665
     GOOG114,950-1,783$133,665
JOHNSON & JOHNSON 991,482 +7,824 $130,013
     JNJ991,482+7,824$130,013
BERKSHIRE HATHAWAY INC CL B      $115,822
     BRK.B633,494+5,571$115,822
KOHLS CORP 7,896,144 +2,714,766 $115,205
     KSS7,896,144+2,714,766$115,205
PROCTER & GAMBLE CO THE 1,000,829 +9,723 $110,091
     PG1,000,829+9,723$110,091
VISA INC CLASS A SHARES (V) 650,660 -5,788 $104,834
     V650,660-5,788$104,834
INTEL CORP 1,782,174 -22,449 $96,451
     INTC1,782,174-22,449$96,451
HOME DEPOT INC 470,263 +12,109 $87,803
     HD470,263+12,109$87,803
MASTERCARD INC A 335,223 -1,093 $80,976
     MA335,223-1,093$80,976
PEPSICO INC 659,089 +4,183 $79,157
     PEP659,089+4,183$79,157
UNITEDHEALTH GROUP INC 306,836 +2,699 $76,519
     UNH306,836+2,699$76,519
NETFLIX INC 189,172 -2,842 $71,034
     NFLX189,172-2,842$71,034
AT&T INC 2,419,352 -20,334 $70,524
     T2,419,352-20,334$70,524
ISHARES MSCI EAFE ETF (EFA) 1,316,600 +147,000 $70,385
     EFA1,316,600+147,000$70,385
NVIDIA CORP 258,548 -3,970 $68,153
     NVDA258,548-3,970$68,153
ADOBE INC 210,373 -3,139 $66,949
     ADBE210,373-3,139$66,949
COCA COLA CO THE 1,506,565 +250,543 $66,666
     KO1,506,565+250,543$66,666
MERCK & CO. INC. 847,697 +14,709 $65,222
     MRK847,697+14,709$65,222
WALT DISNEY CO THE 665,735 -27,515 $64,310
     DIS665,735-27,515$64,310
COMCAST CORP CLASS A 1,804,461 -207,033 $62,037
     CMCSA1,804,461-207,033$62,037
SPDR S&P 500 ETF TRUST (SPY) 234,600 -103,100 $60,468
     SPY234,600-103,100$60,468
BANK OF AMERICA CORP 2,621,885 -6,115 $55,663
     BAC2,621,885-6,115$55,663
MCDONALD S CORP 321,462 +3,759 $53,154
     MCD321,462+3,759$53,154
WALMART INC 459,431 +4,040 $52,201
     WMT459,431+4,040$52,201
TEXAS INSTRUMENTS INC 521,842 +3,357 $52,148
     TXN521,842+3,357$52,148
COSTCO WHOLESALE CORP 171,216 -2,125 $48,819
     COST171,216-2,125$48,819
PAYPAL HOLDINGS INC 503,851 -7,614 $48,239
     PYPL503,851-7,614$48,239
SALESFORCE.COM INC 326,056 -1,092 $46,946
     CRM326,056-1,092$46,946
ABBOTT LABORATORIES 579,696 -88,472 $45,744
     ABT579,696-88,472$45,744
THERMO FISHER SCIENTIFIC INC 156,340 -494 $44,338
     TMO156,340-494$44,338
MEDTRONIC PLC 466,865 -8,918 $42,102
     MDT466,865-8,918$42,102
LOCKHEED MARTIN CORP 115,475 +381 $39,140
     LMT115,475+381$39,140
NEXTERA ENERGY INC 160,141 +335 $38,533
     NEE160,141+335$38,533
ELI LILLY & CO 276,947 +510 $38,418
     LLY276,947+510$38,418
CVS HEALTH CORP 641,209 +6,295 $38,043
     CVS641,209+6,295$38,043
AMERICAN TOWER CORP 167,869 -2,775 $36,553
     AMT167,869-2,775$36,553
WELLS FARGO & CO 1,246,467 +10,962 $35,774
     WFC1,246,467+10,962$35,774
DANAHER CORP 257,883 +13,389 $35,694
     DHR257,883+13,389$35,694
STARBUCKS CORP 526,292 -7,658 $34,598
     SBUX526,292-7,658$34,598
LINDE PLC 198,948 -25 $34,418
     LIN198,948-25$34,418
ORACLE CORP 710,896 -62,422 $34,358
     ORCL710,896-62,422$34,358
ACCENTURE PLC CL A 208,525 +178 $34,044
     ACN208,525+178$34,044
NIKE INC CL B 409,490 +142 $33,881
     NKE409,490+142$33,881
HONEYWELL INTERNATIONAL INC 252,099 -22,086 $33,728
     HON252,099-22,086$33,728
QUALCOMM INC 495,860 -9,114 $33,545
     QCOM495,860-9,114$33,545
BOEING CO THE 215,844 +38,506 $32,191
     BA215,844+38,506$32,191
UNION PACIFIC CORP 227,892 -73,767 $32,142
     UNP227,892-73,767$32,142
CITIGROUP INC 707,061 +6,217 $29,781
     C707,061+6,217$29,781
ILLINOIS TOOL WORKS 199,966 -901 $28,419
     ITW199,966-901$28,419
CHARTER COMMUNICATIONS INC A 64,673 -1,321 $28,217
     CHTR64,673-1,321$28,217
MONDELEZ INTERNATIONAL INC A 551,964 -3,463 $27,642
     MDLZ551,964-3,463$27,642
FIDELITY NATIONAL INFO SERV 224,841 +5,610 $27,350
     FIS224,841+5,610$27,350
VERTEX PHARMACEUTICALS INC 112,228 -1,668 $26,705
     VRTX112,228-1,668$26,705
AUTOMATIC DATA PROCESSING 193,980 -2,134 $26,513
     ADP193,980-2,134$26,513
ZOETIS INC 223,982 -4,055 $26,360
     ZTS223,982-4,055$26,360
BOOKING HOLDINGS INC 19,455 -271 $26,173
     BKNG19,455-271$26,173
INTUIT INC 112,669 -1,687 $25,914
     INTU112,669-1,687$25,914
BIOGEN INC 80,912 -207 $25,599
     BIIB80,912-207$25,599
FISERV INC 263,241 -2,512 $25,005
     FISV263,241-2,512$25,005
UNITED PARCEL SERVICE CL B 266,448 +709 $24,892
     UPS266,448+709$24,892
DOMINO S PIZZA INC 75,708 -3,546 $24,535
     DPZ75,708-3,546$24,535
CME GROUP INC 141,862 -1,971 $24,529
     CME141,862-1,971$24,529
LOWE S COS INC 282,683 -1,693 $24,325
     LOW282,683-1,693$24,325
EATON CORP PLC 308,276 -31,024 $23,950
     ETN308,276-31,024$23,950
S&P GLOBAL INC 97,465 -3,181 $23,884
     SPGI97,465-3,181$23,884
CLOROX COMPANY 134,462 +7,138 $23,296
     CLX134,462+7,138$23,296
ADVANCED MICRO DEVICES 506,093 +17,649 $23,017
     AMD506,093+17,649$23,017
CROWN CASTLE INTL CORP 159,391 +216 $23,016
     CCI159,391+216$23,016
AMERICAN EXPRESS CO 267,383 +270 $22,891
     AXP267,383+270$22,891
PROLOGIS INC 282,672 +35,276 $22,718
     PLD282,672+35,276$22,718
COLGATE PALMOLIVE CO 341,609 -930 $22,669
     CL341,609-930$22,669
TYLER TECHNOLOGIES INC 76,264 +751 $22,617
     TYL76,264+751$22,617
GENERAL ELECTRIC CO 2,828,495 +24,872 $22,458
     GE2,828,495+24,872$22,458
INTUITIVE SURGICAL INC 45,129 -749 $22,348
     ISRG45,129-749$22,348
TJX COMPANIES INC 466,210 -1,494 $22,290
     TJX466,210-1,494$22,290
WEST PHARMACEUTICAL SERVICES 144,634 +1,419 $22,021
     WST144,634+1,419$22,021
ISHARES S&P 500 GROWTH ETF (IVW) 131,774 +55,670 $21,749
     IVW131,774+55,670$21,749
BLACKROCK INC 48,793 -891 $21,467
     BLK48,793-891$21,467
CIGNA CORP 120,938 +1,062 $21,428
     CI120,938+1,062$21,428
STEEL DYNAMICS INC 938,596 +41,803 $21,156
     STLD938,596+41,803$21,156
TELEDYNE TECHNOLOGIES INC 71,109 +736 $21,139
     TDY71,109+736$21,139
DOMINION ENERGY INC 290,215 +25,988 $20,951
     D290,215+25,988$20,951
EMERSON ELECTRIC CO 437,288 +11,845 $20,837
     EMR437,288+11,845$20,837
STRYKER CORP 124,529 +1,538 $20,733
     SYK124,529+1,538$20,733
FASTENAL CO 660,830 +2,188 $20,651
     FAST660,830+2,188$20,651
US BANCORP 598,584 +4,048 $20,621
     USB598,584+4,048$20,621
CHUBB LTD 181,516 +1,292 $20,274
     CB181,516+1,292$20,274
BECTON DICKINSON AND CO 87,592 +770 $20,126
     BDX87,592+770$20,126
MICRON TECHNOLOGY INC 478,327 -18,479 $20,118
     MU478,327-18,479$20,118
ACTIVISION BLIZZARD INC 331,209 +9,472 $19,700
     ATVI331,209+9,472$19,700
PAYCHEX INC 312,742 +6,124 $19,678
     PAYX312,742+6,124$19,678
EQUINIX INC 31,244 -101 $19,514
     EQIX31,244-101$19,514
SERVICENOW INC 67,889 +5,232 $19,456
     NOW67,889+5,232$19,456
CSX CORP 338,435 -3,480 $19,392
     CSX338,435-3,480$19,392
FACTSET RESEARCH SYSTEMS INC 74,231 +716 $19,351
     FDS74,231+716$19,351
GENERAL DYNAMICS CORP 146,134 +6,120 $19,335
     GD146,134+6,120$19,335
INTERCONTINENTAL EXCHANGE IN (ICE) 237,954 -2,223 $19,215
     ICE237,954-2,223$19,215
DUKE ENERGY CORP 236,109 +2,076 $19,096
     DUK236,109+2,076$19,096
ALLERGAN PLC 106,317 +935 $18,829
     AGN106,317+935$18,829
APPLIED MATERIALS INC 408,003 +8,142 $18,695
     AMAT408,003+8,142$18,695
ANTHEM INC 82,120 +722 $18,645
     ANTM82,120+722$18,645
SOUTHERN CO THE 339,650 +2,987 $18,389
     SO339,650+2,987$18,389
PNC FINANCIAL SERVICES GROUP 187,780 +1,247 $17,974
     PNC187,780+1,247$17,974
REGENERON PHARMACEUTICALS 36,711 -558 $17,926
     REGN36,711-558$17,926
TERADYNE INC 327,864 +3,073 $17,760
     TER327,864+3,073$17,760
ALLSTATE CORP 190,448 +26,486 $17,470
     ALL190,448+26,486$17,470
PROGRESSIVE CORP 236,296 +10,341 $17,448
     PGR236,296+10,341$17,448
MEDICAL PROPERTIES TRUST INC 1,008,994 +10,763 $17,446
     MPW1,008,994+10,763$17,446
FAIR ISAAC CORP 56,652 +547 $17,431
     FICO56,652+547$17,431
TARGET CORP 186,390 +20,087 $17,329
     TGT186,390+20,087$17,329
HUMANA INC 54,719 -2,588 $17,183
     HUM54,719-2,588$17,183
ILLUMINA INC 62,793 -713 $17,150
     ILMN62,793-713$17,150
ESSENTIAL UTILITIES INC 420,914 +420,914 $17,131
     WTRG420,914+420,914$17,131
MOLINA HEALTHCARE INC 122,542 -2,792 $17,120
     MOH122,542-2,792$17,120
AIR PRODUCTS & CHEMICALS INC 85,690 -272 $17,105
     APD85,690-272$17,105
TRUIST FINANCIAL CORP 553,955 +3,818 $17,084
     TFC553,955+3,818$17,084
MASIMO CORP 95,944 +928 $16,994
     MASI95,944+928$16,994
KIMBERLY CLARK CORP 132,684 -131 $16,966
     KMB132,684-131$16,966
CYPRESS SEMICONDUCTOR CORP 720,193 +7,449 $16,795
     CY720,193+7,449$16,795
TIDEWATER INC 2,364,564 -1,347 $16,741
     TDW2,364,564-1,347$16,741
BROWN & BROWN INC 456,149 +4,703 $16,522
     BRO456,149+4,703$16,522
BIO RAD LABORATORIES A 47,119 -2,026 $16,518
     BIO47,119-2,026$16,518
MARSH & MCLENNAN COS 190,466 +181 $16,468
     MMC190,466+181$16,468
DEERE & CO 119,037 +140 $16,446
     DE119,037+140$16,446
BAXTER INTERNATIONAL INC 198,820 +517 $16,142
     BAX198,820+517$16,142
CABLE ONE INC 9,818 +94 $16,141
     CABO9,818+94$16,141
GOLDMAN SACHS GROUP INC 103,210 +908 $15,955
     GS103,210+908$15,955
GRACO INC 326,273 +3,148 $15,899
     GGG326,273+3,148$15,899
DOLLAR GENERAL CORP 104,029 +13,489 $15,709
     DG104,029+13,489$15,709
NORTHROP GRUMMAN CORP 51,877 -193 $15,695
     NOC51,877-193$15,695
CATALENT INC 301,767 +19,421 $15,677
     CTLT301,767+19,421$15,677
NUCOR CORP 433,686 +247,775 $15,621
     NUE433,686+247,775$15,621
CENTENE CORP 262,695 +78,697 $15,607
     CNC262,695+78,697$15,607
ALLEGHANY CORP 28,071 +289 $15,505
     Y28,071+289$15,505
TRIMBLE INC 486,155 +4,974 $15,474
     TRMB486,155+4,974$15,474
LAM RESEARCH CORP 64,420 -1,018 $15,461
     LRCX64,420-1,018$15,461
POOL CORP 78,302 +757 $15,407
     POOL78,302+757$15,407
ECOLAB INC 98,650 +194 $15,373
     ECL98,650+194$15,373
GLOBAL PAYMENTS INC 105,174 -4,963 $15,169
     GPN105,174-4,963$15,169
CAMDEN PROPERTY TRUST 190,175 +1,970 $15,069
     CPT190,175+1,970$15,069
RPM INTERNATIONAL INC 252,996 +2,581 $15,053
     RPM252,996+2,581$15,053
BOSTON SCIENTIFIC CORP 457,266 +615 $14,921
     BSX457,266+615$14,921
AMEDISYS INC 80,947 -442 $14,857
     AMED80,947-442$14,857
C.H. ROBINSON WORLDWIDE INC 223,562 +39,434 $14,800
     CHRW223,562+39,434$14,800
AUTODESK INC 94,543 -1,424 $14,758
     ADSK94,543-1,424$14,758
GENERAC HOLDINGS INC 157,165 +118,852 $14,643
     GNRC157,165+118,852$14,643
ISHARES S&P 500 VALUE ETF (IVE) 151,733 +95,073 $14,604
     IVE151,733+95,073$14,604
WEC ENERGY GROUP INC 164,956 +1,089 $14,538
     WEC164,956+1,089$14,538
SCHWAB CHARLES CORP 428,720 -23,612 $14,414
     SCHW428,720-23,612$14,414
ANALOG DEVICES INC 159,912 -2,389 $14,336
     ADI159,912-2,389$14,336
AON PLC 86,653 +66 $14,301
     AON86,653+66$14,301
INTERPUBLIC GROUP OF COS INC 882,740 +88,576 $14,292
     IPG882,740+88,576$14,292
FIRSTENERGY CORP 356,159 +14,990 $14,271
     FE356,159+14,990$14,271
LUMENTUM HOLDINGS INC 193,586 -2,610 $14,267
     LITE193,586-2,610$14,267
WASTE MANAGEMENT INC 153,995 +188 $14,254
     WM153,995+188$14,254
NORFOLK SOUTHERN CORP 97,528 +168 $14,239
     NSC97,528+168$14,239
T ROWE PRICE GROUP INC 145,211 +2,912 $14,180
     TROW145,211+2,912$14,180
BIO TECHNE CORP 74,565 +730 $14,139
     TECH74,565+730$14,139
ROPER TECHNOLOGIES INC 45,297 -129 $14,124
     ROP45,297-129$14,124
COGNEX CORP 334,212 +3,229 $14,110
     CGNX334,212+3,229$14,110
CONSOLIDATED EDISON INC 180,632 +1,144 $14,089
     ED180,632+1,144$14,089
MOODY S CORP 66,456 -199 $14,055
     MCO66,456-199$14,055
CONOCOPHILLIPS 455,107 +34,122 $14,017
     COP455,107+34,122$14,017
L3HARRIS TECHNOLOGIES INC 77,487 -281 $13,957
     LHX77,487-281$13,957
SERVICE CORP INTERNATIONAL 356,770 +3,602 $13,953
     SCI356,770+3,602$13,953
CARLISLE COS INC 110,800 +1,055 $13,881
     CSL110,800+1,055$13,881
ESTEE LAUDER COMPANIES CL A 86,587 -274 $13,797
     EL86,587-274$13,797
CYRUSONE INC 223,133 +2,317 $13,778
     CONE223,133+2,317$13,778
EXELON CORP 372,664 -2,337 $13,718
     EXC372,664-2,337$13,718
TORO CO 208,585 +2,044 $13,577
     TTC208,585+2,044$13,577
CHEMED CORP 31,312 +302 $13,564
     CHE31,312+302$13,564
NORDSON CORP 100,215 +968 $13,536
     NDSN100,215+968$13,536
ROSS STORES INC 154,552 -2,345 $13,441
     ROST154,552-2,345$13,441
DIGITAL REALTY TRUST INC 96,691 +19,139 $13,431
     DLR96,691+19,139$13,431
MONOLITHIC POWER SYSTEMS INC 79,086 +774 $13,244
     MPWR79,086+774$13,244
SHERWIN WILLIAMS CO THE 28,794 +1,500 $13,231
     SHW28,794+1,500$13,231
HILL ROM HOLDINGS INC 130,418 +1,302 $13,120
     HRC130,418+1,302$13,120
EDWARDS LIFESCIENCES CORP 69,035 -257 $13,021
     EW69,035-257$13,021
RAYTHEON COMPANY 98,480 +7,211 $12,916
     RTN98,480+7,211$12,916
RENAISSANCERE HOLDINGS LTD 86,220 +870 $12,874
     RNR86,220+870$12,874
T MOBILE US INC 153,421 -3,593 $12,872
     TMUS153,421-3,593$12,872
MORGAN STANLEY 377,179 -17,715 $12,824
     MS377,179-17,715$12,824
AMERICAN ELECTRIC POWER 159,973 +1,406 $12,795
     AEP159,973+1,406$12,795
HAEMONETICS CORP MASS 127,914 -1,182 $12,748
     HAE127,914-1,182$12,748
XCEL ENERGY INC 210,276 -855 $12,680
     XEL210,276-855$12,680
RELIANCE STEEL & ALUMINUM 144,356 +15,737 $12,644
     RS144,356+15,737$12,644
NEWMONT CORP 278,844 +2,829 $12,626
     NEM278,844+2,829$12,626
LENNOX INTERNATIONAL INC 68,586 +668 $12,468
     LII68,586+668$12,468
PTC INC 203,373 +1,961 $12,448
     PTC203,373+1,961$12,448
APTARGROUP INC 124,832 +1,257 $12,426
     ATR124,832+1,257$12,426
GENUINE PARTS CO 184,417 +8,318 $12,417
     GPC184,417+8,318$12,417
ENCOMPASS HEALTH CORP 192,590 +1,924 $12,332
     EHC192,590+1,924$12,332
ELECTRONIC ARTS INC 122,591 -1,335 $12,280
     EA122,591-1,335$12,280
HUBBELL INC 106,250 +1,059 $12,191
     HUBB106,250+1,059$12,191
FOOT LOCKER INC 549,850 +18,431 $12,124
     FL549,850+18,431$12,124
KILROY REALTY CORP 190,300 +2,051 $12,122
     KRC190,300+2,051$12,122
TRAVELERS COS INC THE 121,834 -5,738 $12,104
     TRV121,834-5,738$12,104
CHARLES RIVER LABORATORIES 95,541 +922 $12,058
     CRL95,541+922$12,058
EVERSOURCE ENERGY 153,558 +1,114 $12,010
     ES153,558+1,114$12,010
CIENA CORP 301,646 +3,091 $12,009
     CIEN301,646+3,091$12,009
ISHARES IBOXX INVESTMENT GRA (LQD) 97,200 -10,200 $12,005
     LQD97,200-10,200$12,005
OGE ENERGY CORP 390,358 +4,039 $11,996
     OGE390,358+4,039$11,996
AMERICAN WATER WORKS CO INC 99,961 +5,999 $11,951
     AWK99,961+5,999$11,951
EBAY INC 394,480 -5,214 $11,858
     EBAY394,480-5,214$11,858
TREX COMPANY INC 147,606 -869 $11,829
     TREX147,606-869$11,829
BANK OF NEW YORK MELLON CORP 350,334 +2,390 $11,799
     BK350,334+2,390$11,799
REPLIGEN CORP 121,550 -871 $11,734
     RGEN121,550-871$11,734
TECH DATA CORP 89,529 -522 $11,715
     TECD89,529-522$11,715
KINDER MORGAN INC 830,341 +5,548 $11,558
     KMI830,341+5,548$11,558
COUSINS PROPERTIES INC 394,186 +110,964 $11,538
     CUZ394,186+110,964$11,538
SEI INVESTMENTS COMPANY 246,540 +2,431 $11,425
     SEIC246,540+2,431$11,425
OMEGA HEALTHCARE INVESTORS 429,818 +4,652 $11,407
     OHI429,818+4,652$11,407
SBA COMMUNICATIONS CORP 42,206 -205 $11,394
     SBAC42,206-205$11,394
FTI CONSULTING INC 94,822 -537 $11,357
     FCN94,822-537$11,357
ROYAL GOLD INC 128,041 +1,296 $11,230
     RGLD128,041+1,296$11,230
ONE GAS INC 132,921 -755 $11,115
     OGS132,921-755$11,115
SNAP ON INC 101,777 +2,191 $11,075
     SNA101,777+2,191$11,075
SEMPRA ENERGY 96,797 +573 $10,937
     SRE96,797+573$10,937
UNIVERSAL DISPLAY CORP 82,964 +800 $10,933
     OLED82,964+800$10,933
GENTEX CORP 493,328 +5,064 $10,932
     GNTX493,328+5,064$10,932
PUBLIC STORAGE 54,904 +158 $10,904
     PSA54,904+158$10,904
UGI CORP 407,585 +4,218 $10,870
     UGI407,585+4,218$10,870
NATIONAL RETAIL PROPERTIES 337,557 +3,642 $10,866
     NNN337,557+3,642$10,866
COGNIZANT TECH SOLUTIONS A 232,463 +21,233 $10,803
     CTSH232,463+21,233$10,803
POST HOLDINGS INC 129,784 +1,310 $10,768
     POST129,784+1,310$10,768
FIRST INDUSTRIAL REALTY TR 323,778 -1,781 $10,759
     FR323,778-1,781$10,759
SPDR PORTFOLIO S&P 500 GROWTH (SPYG) 298,720 UNCH $10,676
     SPYG298,720UNCH$10,676
AFLAC INC 311,531 +2,090 $10,667
     AFL311,531+2,090$10,667
JONES LANG LASALLE INC 105,283 +154 $10,631
     JLL105,283+154$10,631
AXON ENTERPRISE INC 149,293 -834 $10,565
     AAXN149,293-834$10,565
VERISK ANALYTICS INC 74,299 -961 $10,356
     VRSK74,299-961$10,356
O REILLY AUTOMOTIVE INC 34,249 -561 $10,311
     ORLY34,249-561$10,311
CACI INTERNATIONAL INC CL A 48,827 +505 $10,310
     CACI48,827+505$10,310
PRA HEALTH SCIENCES INC 123,738 +1,209 $10,275
     PRAH123,738+1,209$10,275
REINSURANCE GROUP OF AMERICA 122,097 +1,264 $10,273
     RGA122,097+1,264$10,273
HCA HEALTHCARE INC 114,020 +754 $10,245
     HCA114,020+754$10,245
AMERICAN FINANCIAL GROUP INC 145,938 +1,510 $10,227
     AFG145,938+1,510$10,227
EXELIXIS INC 593,234 +5,969 $10,215
     EXEL593,234+5,969$10,215
COMMERCE BANCSHARES INC (CBSH) 202,211 +2,045 $10,181
     CBSH202,211+2,045$10,181
EASTGROUP PROPERTIES INC 97,035 -257 $10,138
     EGP97,035-257$10,138
PENUMBRA INC 62,832 +607 $10,137
     PEN62,832+607$10,137
EIDOS THERAPEUTICS INC 206,671 -385 $10,125
     EIDX206,671-385$10,125
EMCOR GROUP INC 164,272 +21,819 $10,073
     EME164,272+21,819$10,073
WATSCO INC 63,663 +658 $10,061
     WSO63,663+658$10,061
PACCAR INC 163,764 -2,038 $10,011
     PCAR163,764-2,038$10,011
MERCURY SYSTEMS INC 139,520 -768 $9,953
     MRCY139,520-768$9,953
KROGER CO 330,405 +2,764 $9,952
     KR330,405+2,764$9,952
BLACK HILLS CORP 155,003 -885 $9,925
     BKH155,003-885$9,925
MONSTER BEVERAGE CORP 176,331 -2,779 $9,920
     MNST176,331-2,779$9,920
DOUGLAS EMMETT INC 324,902 +3,371 $9,913
     DEI324,902+3,371$9,913
DUPONT DE NEMOURS INC 290,438 +46,730 $9,904
     DD290,438+46,730$9,904
CERIDIAN HCM HOLDING INC 196,905 +1,973 $9,859
     CDAY196,905+1,973$9,859
INGREDION INC 130,197 +1,347 $9,830
     INGR130,197+1,347$9,830
TETRA TECH INC 137,878 -798 $9,737
     TTEK137,878-798$9,737
KLA CORP 67,586 -1,188 $9,715
     KLAC67,586-1,188$9,715
IHS MARKIT LTD 161,525 -267 $9,692
     INFO161,525-267$9,692
MSCI INC 33,477 -873 $9,674
     MSCI33,477-873$9,674
SCIENCE APPLICATIONS INTE 129,160 -1,021 $9,639
     SAIC129,160-1,021$9,639
CIRRUS LOGIC INC 146,270 -862 $9,600
     CRUS146,270-862$9,600
SOUTHWEST GAS HOLDINGS INC 137,794 -789 $9,585
     SWX137,794-789$9,585
DONALDSON CO INC 247,617 +2,354 $9,565
     DCI247,617+2,354$9,565
SPIRE INC 128,018 -704 $9,535
     SR128,018-704$9,535
LEGG MASON INC 194,965 -82,291 $9,524
     LM194,965-82,291$9,524
CASEY S GENERAL STORES INC 71,788 +731 $9,511
     CASY71,788+731$9,511
TAPESTRY INC 733,873 +53,940 $9,504
     TPR733,873+53,940$9,504
WILLIS TOWERS WATSON PLC 55,901 -484 $9,495
     WLTW55,901-484$9,495
DECKERS OUTDOOR CORP 70,736 -413 $9,479
     DECK70,736-413$9,479
FEDEX CORP 77,739 +684 $9,427
     FDX77,739+684$9,427
HEALTHCARE REALTY TRUST INC 337,041 -1,911 $9,414
     HR337,041-1,911$9,414
IDEXX LABORATORIES INC 38,795 -184 $9,398
     IDXX38,795-184$9,398
TRANE TECHNOLOGIES PLC 113,757 +113,757 $9,395
     TT113,757+113,757$9,395
MAXIMUS INC 161,387 -923 $9,393
     MMS161,387-923$9,393
LEAR CORP 115,496 -6,621 $9,384
     LEA115,496-6,621$9,384
SILICON LABORATORIES INC 109,328 -622 $9,338
     SLAB109,328-622$9,338
AGILENT TECHNOLOGIES INC 130,307 +3,594 $9,333
     A130,307+3,594$9,333
FIRST AMERICAN FINANCIAL 219,016 -12,122 $9,288
     FAF219,016-12,122$9,288
CHURCHILL DOWNS INC 89,364 -507 $9,200
     CHDN89,364-507$9,200
HANESBRANDS INC 1,167,980 +87,614 $9,192
     HBI1,167,980+87,614$9,192
HELEN OF TROY LTD 63,532 -365 $9,151
     HELE63,532-365$9,151
HAWAIIAN ELECTRIC INDS 212,498 +2,200 $9,148
     HE212,498+2,200$9,148
AECOM 306,223 -25,783 $9,141
     ACM306,223-25,783$9,141
FIRST FINL BANKSHARES INC (FFIN) 339,509 -2,010 $9,112
     FFIN339,509-2,010$9,112
KEMPER CORP 122,251 +1,256 $9,092
     KMPR122,251+1,256$9,092
MSA SAFETY INC 89,823 -510 $9,090
     MSA89,823-510$9,090
MOTOROLA SOLUTIONS INC 68,372 +4,431 $9,088
     MSI68,372+4,431$9,088
PHILLIPS 66 168,859 -2,031 $9,059
     PSX168,859-2,031$9,059
SONOCO PRODUCTS CO 195,188 +2,020 $9,047
     SON195,188+2,020$9,047
PRUDENTIAL FINANCIAL INC 173,168 +1,144 $9,029
     PRU173,168+1,144$9,029
CERNER CORP 143,198 -1,874 $9,020
     CERN143,198-1,874$9,020
HEALTHEQUITY INC 178,071 -980 $9,009
     HQY178,071-980$9,009
RALPH LAUREN CORP 134,674 -15,167 $9,000
     RL134,674-15,167$9,000
EOG RESOURCES INC 249,558 +21,718 $8,964
     EOG249,558+21,718$8,964
YUM BRANDS INC 130,352 -372 $8,933
     YUM130,352-372$8,933
ETSY INC 231,813 +2,197 $8,911
     ETSY231,813+2,197$8,911
PROSPERITY BANCSHARES INC (PB) 184,109 +1,889 $8,883
     PB184,109+1,889$8,883
RLI CORP 100,817 -586 $8,865
     RLI100,817-586$8,865
WEX INC 84,694 +817 $8,855
     WEX84,694+817$8,855
EQUITY RESIDENTIAL 142,925 +1,240 $8,820
     EQR142,925+1,240$8,820
XPO LOGISTICS INC 180,327 +1,792 $8,791
     XPO180,327+1,792$8,791
J2 GLOBAL INC 117,136 -689 $8,768
     JCOM117,136-689$8,768
ALEXION PHARMACEUTICALS INC 97,302 -1,056 $8,737
     ALXN97,302-1,056$8,737
LAMAR ADVERTISING CO A 169,975 -32,901 $8,716
     LAMR169,975-32,901$8,716
CORESITE REALTY CORP 74,992 +755 $8,692
     COR74,992+755$8,692
MKS INSTRUMENTS INC 106,292 +1,099 $8,657
     MKSI106,292+1,099$8,657
STERICYCLE INC 177,678 +1,838 $8,632
     SRCL177,678+1,838$8,632
IDACORP INC 98,279 +1,018 $8,628
     IDA98,279+1,018$8,628
NEW YORK TIMES CO A 280,830 +2,873 $8,624
     NYT280,830+2,873$8,624
XILINX INC 110,622 +330 $8,622
     XLNX110,622+330$8,622
DUNKIN BRANDS GROUP INC 162,046 +1,571 $8,605
     DNKN162,046+1,571$8,605
LIFE STORAGE INC 90,968 +940 $8,601
     LSI90,968+940$8,601
NEW YORK COMMUNITY BANCORP 911,155 +9,425 $8,556
     NYCB911,155+9,425$8,556
BALL CORP 132,197 -409 $8,548
     BLL132,197-409$8,548
OSHKOSH CORP 132,717 +1,373 $8,538
     OSK132,717+1,373$8,538
VERISIGN INC 47,323 -609 $8,522
     VRSN47,323-609$8,522
H&R BLOCK INC 605,128 +2,666 $8,520
     HRB605,128+2,666$8,520
OLD REPUBLIC INTL CORP 556,419 +5,758 $8,485
     ORI556,419+5,758$8,485
SIGNATURE BANK 105,436 +1,035 $8,476
     SBNY105,436+1,035$8,476
GENERAL MOTORS CO 407,204 +3,580 $8,462
     GM407,204+3,580$8,462
JOHNSON CONTROLS INTERNATION 313,416 -1,940 $8,450
     JCI313,416-1,940$8,450
ISHARES 3 7 YEAR TREASURY BOND (IEI) 63,100 -16,800 $8,414
     IEI63,100-16,800$8,414
MDU RESOURCES GROUP INC 390,745 +4,078 $8,401
     MDU390,745+4,078$8,401
CABOT MICROELECTRONICS CORP 73,451 -423 $8,384
     CCMP73,451-423$8,384
BOSTON BEER COMPANY INC A 22,768 -107 $8,369
     SAM22,768-107$8,369
HEMISPHERE MEDIA GROUP INC 978,452 -595 $8,356
     HMTV978,452-595$8,356
RESMED INC 56,619 +2,012 $8,339
     RMD56,619+2,012$8,339
SYNOPSYS INC 64,418 -1,075 $8,296
     SNPS64,418-1,075$8,296
LINCOLN ELECTRIC HOLDINGS 119,564 +1,147 $8,250
     LECO119,564+1,147$8,250
GLOBUS MEDICAL INC A 193,866 -1,095 $8,245
     GMED193,866-1,095$8,245
ARROW ELECTRONICS INC 158,824 -13,033 $8,238
     ARW158,824-13,033$8,238
OWENS CORNING 212,124 +2,195 $8,233
     OC212,124+2,195$8,233
AVALONBAY COMMUNITIES INC 55,702 +481 $8,198
     AVB55,702+481$8,198
ANSYS INC 35,239 -605 $8,192
     ANSS35,239-605$8,192
NEW JERSEY RESOURCES CORP 241,003 +2,572 $8,187
     NJR241,003+2,572$8,187
MARRIOTT INTERNATIONAL CL A 109,264 -2,052 $8,174
     MAR109,264-2,052$8,174
VALERO ENERGY CORP 179,908 +9,902 $8,161
     VLO179,908+9,902$8,161
DOLLAR TREE INC 110,661 -596 $8,130
     DLTR110,661-596$8,130
UNITED THERAPEUTICS CORP 85,561 +885 $8,113
     UTHR85,561+885$8,113
SCHLUMBERGER LTD 588,599 +59,997 $7,940
     SLB588,599+59,997$7,940
SCOTTS MIRACLE GRO CO 77,519 +748 $7,938
     SMG77,519+748$7,938
DARLING INGREDIENTS INC 413,825 +295,280 $7,933
     DAR413,825+295,280$7,933
LOGMEIN INC 95,183 +970 $7,927
     LOGM95,183+970$7,927
ALLETE INC 130,615 -762 $7,926
     ALE130,615-762$7,926
IQVIA HOLDINGS INC 72,997 -44 $7,873
     IQV72,997-44$7,873
KNIGHT SWIFT TRANSPORTATION 239,606 -19,603 $7,859
     KNX239,606-19,603$7,859
STATE STREET CORP 147,148 -7,009 $7,839
     STT147,148-7,009$7,839
ROCKWELL AUTOMATION INC 51,717 -885 $7,805
     ROK51,717-885$7,805
CDK GLOBAL INC 237,529 +2,291 $7,803
     CDK237,529+2,291$7,803
CONSTELLATION BRANDS INC A 54,246 +476 $7,777
     STZ54,246+476$7,777
ITT INC 171,024 +1,770 $7,758
     ITT171,024+1,770$7,758
METLIFE INC 253,161 +2,226 $7,739
     MET253,161+2,226$7,739
PPL CORP 313,029 +17,750 $7,726
     PPL313,029+17,750$7,726
PUBLIC SERVICE ENTERPRISE GP 172,014 +1,746 $7,725
     PEG172,014+1,746$7,725
FLOWERS FOODS INC 375,390 +3,886 $7,703
     FLO375,390+3,886$7,703
BJ S WHOLESALE CLUB HOLDINGS 302,307 -1,424 $7,700
     BJ302,307-1,424$7,700
SOLAREDGE TECHNOLOGIES INC 94,006 +952 $7,697
     SEDG94,006+952$7,697
CURTISS WRIGHT CORP 83,246 +862 $7,693
     CW83,246+862$7,693
FIRSTCASH INC 106,962 -995 $7,673
     FCFS106,962-995$7,673
FIVE BELOW 108,906 +1,051 $7,665
     FIVE108,906+1,051$7,665
CADENCE DESIGN SYS INC 115,893 -2,017 $7,654
     CDNS115,893-2,017$7,654
PNM RESOURCES INC 201,115 -1,161 $7,642
     PNM201,115-1,161$7,642
AMPHENOL CORP CL A 104,771 -562 $7,636
     APH104,771-562$7,636
DELTA AIR LINES INC 267,537 -12,671 $7,633
     DAL267,537-12,671$7,633
NORTHWESTERN CORP 127,550 -744 $7,631
     NWE127,550-744$7,631
NATIONAL INSTRUMENTS CORP 230,266 +2,379 $7,617
     NATI230,266+2,379$7,617
SYSCO CORP 166,878 +516 $7,615
     SYY166,878+516$7,615
CAPITAL ONE FINANCIAL CORP 150,832 +1,327 $7,605
     COF150,832+1,327$7,605
WILLIAMS COS INC 536,939 +128,805 $7,598
     WMB536,939+128,805$7,598
ICU MEDICAL INC 37,531 +381 $7,573
     ICUI37,531+381$7,573
AMERICAN CAMPUS COMMUNITIES 271,148 +2,816 $7,524
     ACC271,148+2,816$7,524
TWITTER INC 306,162 +8,759 $7,519
     TWTR306,162+8,759$7,519
CMS ENERGY CORP 126,974 +979 $7,460
     CMS126,974+979$7,460
CREE INC 210,098 +2,203 $7,450
     CREE210,098+2,203$7,450
MCKESSON CORP 55,051 -17,458 $7,446
     MCK55,051-17,458$7,446
ISHARES 1 3 YEAR TREASURY BOND (SHY) 85,800 -21,900 $7,436
     SHY85,800-21,900$7,436
SELECTIVE INSURANCE GROUP 149,527 -841 $7,431
     SIGI149,527-841$7,431
CITRIX SYSTEMS INC 52,404 -1,647 $7,418
     CTXS52,404-1,647$7,418
PPG INDUSTRIES INC 88,720 +182 $7,417
     PPG88,720+182$7,417
KBR INC 357,900 -2,068 $7,401
     KBR357,900-2,068$7,401
LANDSTAR SYSTEM INC 77,184 +749 $7,399
     LSTR77,184+749$7,399
CAESARS ENTERTAINMENT CORP 1,088,717 +11,381 $7,360
     CZR1,088,717+11,381$7,360
TE CONNECTIVITY LTD 116,495 +271 $7,337
     TEL116,495+271$7,337
JBG SMITH PROPERTIES 230,242 +2,385 $7,329
     JBGS230,242+2,385$7,329
EAST WEST BANCORP INC 283,977 -49,910 $7,310
     EWBC283,977-49,910$7,310
GRUBHUB INC 178,921 +1,727 $7,287
     GRUB178,921+1,727$7,287
WELLTOWER INC 159,021 +1,513 $7,280
     WELL159,021+1,513$7,280
ARROWHEAD PHARMACEUTICALS IN 252,853 +2,754 $7,275
     ARWR252,853+2,754$7,275
AUTOZONE INC 8,549 +60 $7,232
     AZO8,549+60$7,232
MCCORMICK & CO NON VTG SHRS 51,160 +1,521 $7,224
     MKC51,160+1,521$7,224
VALLEY NATIONAL BANCORP 986,995 -5,594 $7,215
     VLY986,995-5,594$7,215
SIMON PROPERTY GROUP INC 131,158 +3,295 $7,195
     SPG131,158+3,295$7,195
GRAND CANYON EDUCATION INC 94,059 +967 $7,175
     LOPE94,059+967$7,175
HIGHWOODS PROPERTIES INC 202,283 +2,092 $7,165
     HIW202,283+2,092$7,165
LANCASTER COLONY CORP 49,463 -257 $7,154
     LANC49,463-257$7,154
PRIMERICA INC 80,844 +783 $7,153
     PRI80,844+783$7,153
EATON VANCE CORP 220,533 +2,197 $7,112
     EV220,533+2,197$7,112
STIFEL FINANCIAL CORP 171,574 -934 $7,083
     SF171,574-934$7,083
ZIMMER BIOMET HOLDINGS INC 69,958 +710 $7,071
     ZBH69,958+710$7,071
ACI WORLDWIDE INC 291,733 -1,677 $7,045
     ACIW291,733-1,677$7,045
MICROCHIP TECHNOLOGY INC 103,413 -1,448 $7,011
     MCHP103,413-1,448$7,011
KELLOGG CO 116,631 -1,396 $6,997
     K116,631-1,396$6,997
HANOVER INSURANCE GROUP INC 76,801 -18,747 $6,957
     THG76,801-18,747$6,957
BLACKBAUD INC 124,047 -707 $6,891
     BLKB124,047-707$6,891
HERSHEY CO THE 51,907 -56 $6,878
     HSY51,907-56$6,878
MANPOWERGROUP INC 129,579 +6,521 $6,866
     MAN129,579+6,521$6,866
PS BUSINESS PARKS INC CA 50,582 -294 $6,855
     PSB50,582-294$6,855
AMERICAN INTERNATIONAL GROUP 281,748 +2,478 $6,832
     AIG281,748+2,478$6,832
TEXAS ROADHOUSE INC 165,274 -982 $6,826
     TXRH165,274-982$6,826
AMETEK INC 94,417 -381 $6,800
     AME94,417-381$6,800
HILTON WORLDWIDE HOLDINGS IN 99,625 -749 $6,798
     HLT99,625-749$6,798
TCF FINANCIAL CORP 299,126 +3,071 $6,778
     TCF299,126+3,071$6,778
PARKER HANNIFIN CORP 52,208 -11,928 $6,773
     PH52,208-11,928$6,773
EDISON INTERNATIONAL 121,843 +1,227 $6,676
     EIX121,843+1,227$6,676
JABIL INC 271,272 +2,767 $6,668
     JBL271,272+2,767$6,668
ARCHER DANIELS MIDLAND CO 189,366 +1,921 $6,662
     ADM189,366+1,921$6,662
NUVASIVE INC 131,448 -756 $6,659
     NUVA131,448-756$6,659
TELADOC HEALTH INC 42,752 -2,471 $6,627
     TDOC42,752-2,471$6,627
ACUITY BRANDS INC 77,336 +786 $6,625
     AYI77,336+786$6,625
MAXIM INTEGRATED PRODUCTS 136,292 +25,519 $6,625
     MXIM136,292+25,519$6,625
NORTHERN TRUST CORP 87,442 +644 $6,598
     NTRS87,442+644$6,598
BRINK S CO THE 126,296 -728 $6,574
     BCO126,296-728$6,574
WOODWARD INC 110,232 +1,078 $6,552
     WWD110,232+1,078$6,552
FORTIVE CORP 118,568 +933 $6,544
     FTV118,568+933$6,544
METTLER TOLEDO INTERNATIONAL 9,397 -26 $6,489
     MTD9,397-26$6,489
REPUBLIC SERVICES INC 86,307 +315 $6,478
     RSG86,307+315$6,478
INTERACTIVE BROKERS GRO CL A 149,763 +1,532 $6,465
     IBKR149,763+1,532$6,465
WILLIAMS SONOMA INC 151,437 -11,943 $6,439
     WSM151,437-11,943$6,439
CINTAS CORP 37,169 -680 $6,438
     CTAS37,169-680$6,438
VF CORP 118,505 -1,378 $6,409
     VFC118,505-1,378$6,409
JEFFERIES FINANCIAL GROUP IN 466,664 -184,366 $6,379
     JEF466,664-184,366$6,379
ENTERGY CORP 67,721 +684 $6,364
     ETR67,721+684$6,364
PERSPECTA INC 348,747 -2,093 $6,361
     PRSP348,747-2,093$6,361
LITTELFUSE INC 47,488 +486 $6,336
     LFUS47,488+486$6,336
II VI INC 222,150 -787 $6,331
     IIVI222,150-787$6,331
FLEETCOR TECHNOLOGIES INC 33,850 -163 $6,314
     FLT33,850-163$6,314
SOUTHWEST AIRLINES CO 177,246 +1,349 $6,312
     LUV177,246+1,349$6,312
NATIONAL FUEL GAS CO 168,270 +1,740 $6,275
     NFG168,270+1,740$6,275
QUEST DIAGNOSTICS INC 78,108 -1,026 $6,272
     DGX78,108-1,026$6,272
SEMTECH CORP 167,128 -957 $6,267
     SMTC167,128-957$6,267
INCYTE CORP 85,282 +1,530 $6,245
     INCY85,282+1,530$6,245
SYNNEX CORP 85,345 +6,482 $6,239
     SNX85,345+6,482$6,239
MANHATTAN ASSOCIATES INC 125,020 +1,189 $6,228
     MANH125,020+1,189$6,228
INTEGRA LIFESCIENCES HOLDING 138,975 +1,438 $6,208
     IART138,975+1,438$6,208
SKECHERS USA INC CL A 261,415 +2,639 $6,206
     SKX261,415+2,639$6,206
SYNEOS HEALTH INC 157,300 -912 $6,201
     SYNH157,300-912$6,201
DTE ENERGY COMPANY 65,235 +700 $6,195
     DTE65,235+700$6,195
CULLEN FROST BANKERS INC 111,020 +1,149 $6,194
     CFR111,020+1,149$6,194
MURPHY USA INC 73,175 -432 $6,173
     MUSA73,175-432$6,173
SANDERSON FARMS INC 49,907 -294 $6,155
     SAFM49,907-294$6,155
SKYWORKS SOLUTIONS INC 68,842 -7,609 $6,153
     SWKS68,842-7,609$6,153
REALTY INCOME CORP 123,375 +6,162 $6,151
     O123,375+6,162$6,151
NEKTAR THERAPEUTICS 343,101 -11,561 $6,124
     NKTR343,101-11,561$6,124
LABORATORY CRP OF AMER HLDGS 48,400 +304 $6,117
     LH48,400+304$6,117
AMEREN CORPORATION 83,672 +849 $6,094
     AEE83,672+849$6,094
FORD MOTOR CO 1,261,147 -158,817 $6,091
     F1,261,147-158,817$6,091
CORTEVA INC 254,610 +2,586 $5,983
     CTVA254,610+2,586$5,983
MATTEL INC 677,602 +6,685 $5,970
     MAT677,602+6,685$5,970
TEGNA INC 548,191 -3,192 $5,953
     TGNA548,191-3,192$5,953
NASDAQ INC 62,665 -13,993 $5,950
     NDAQ62,665-13,993$5,950
RAYONIER INC 252,177 +2,611 $5,939
     RYN252,177+2,611$5,939
CHIPOTLE MEXICAN GRILL INC 9,047 -1,017 $5,920
     CMG9,047-1,017$5,920
SLM CORP 823,267 +8,445 $5,919
     SLM823,267+8,445$5,919
COPART INC 86,110 -1,532 $5,900
     CPRT86,110-1,532$5,900
ALEXANDRIA REAL ESTATE EQUIT 42,943 +2,604 $5,886
     ARE42,943+2,604$5,886
ASHLAND GLOBAL HOLDINGS INC 117,371 +1,136 $5,877
     ASH117,371+1,136$5,877
VULCAN MATERIALS CO 54,296 -238 $5,868
     VMC54,296-238$5,868
UNITED BANKSHARES INC (UBSI) 254,127 -1,351 $5,865
     UBSI254,127-1,351$5,865
TYSON FOODS INC CL A 101,298 -14,212 $5,862
     TSN101,298-14,212$5,862
WYNDHAM HOTELS & RESORTS INC 185,714 +1,819 $5,852
     WH185,714+1,819$5,852
M & T BANK CORP 56,210 +405 $5,814
     MTB56,210+405$5,814
STANLEY BLACK & DECKER INC 58,110 +524 $5,811
     SWK58,110+524$5,811
AGCO CORP 122,236 +1,248 $5,776
     AGCO122,236+1,248$5,776
TAKE TWO INTERACTIVE SOFTWRE 48,382 +1,281 $5,739
     TTWO48,382+1,281$5,739
AFFILIATED MANAGERS GROUP 96,082 +973 $5,682
     AMG96,082+973$5,682
TELEFLEX INC 19,379 +1,940 $5,675
     TFX19,379+1,940$5,675
CORNING INC 276,243 +580 $5,674
     GLW276,243+580$5,674
CARTER S INC 86,205 +845 $5,666
     CRI86,205+845$5,666
HEWLETT PACKARD ENTERPRISE 582,707 +6,640 $5,658
     HPE582,707+6,640$5,658
HORMEL FOODS CORP 121,305 +960 $5,658
     HRL121,305+960$5,658
SABRA HEALTH CARE REIT INC 516,397 +24,657 $5,639
     SBRA516,397+24,657$5,639
COOPER COS INC THE 20,442 +2,347 $5,635
     COO20,442+2,347$5,635
TRANSDIGM GROUP INC 17,587 -39 $5,631
     TDG17,587-39$5,631
BRUNSWICK CORP 159,068 +1,580 $5,626
     BC159,068+1,580$5,626
ALIGN TECHNOLOGY INC 32,314 -586 $5,621
     ALGN32,314-586$5,621
TESLA INC 10,723 -947 $5,619
     TSLA10,723-947$5,619
LIVERAMP HOLDINGS INC 170,598 -968 $5,616
     RAMP170,598-968$5,616
KEYSIGHT TECHNOLOGIES IN 66,355 -356 $5,553
     KEYS66,355-356$5,553
GATX CORP 88,614 -511 $5,544
     GATX88,614-511$5,544
JANUS HENDERSON GROUP PLC 361,620 +61,213 $5,540
     JHG361,620+61,213$5,540
LIVANOVA PLC 122,344 -713 $5,536
     LIVN122,344-713$5,536
CDW CORP DE 59,347 -1,082 $5,535
     CDW59,347-1,082$5,535
NEWMARKET CORP 14,433 +140 $5,526
     NEU14,433+140$5,526
CHURCH & DWIGHT CO INC 86,021 -15 $5,521
     CHD86,021-15$5,521
BRIXMOR PROPERTY GROUP INC 580,814 +6,011 $5,518
     BRX580,814+6,011$5,518
GAP INC THE 772,065 -763,141 $5,435
     GPS772,065-763,141$5,435
AKAMAI TECHNOLOGIES INC 59,382 -167 $5,433
     AKAM59,382-167$5,433
POLARIS INC 112,468 +1,092 $5,415
     PII112,468+1,092$5,415
WESTERN DIGITAL CORP 129,407 -466 $5,386
     WDC129,407-466$5,386
MARRIOTT VACATIONS WORLD 96,880 -684 $5,385
     VAC96,880-684$5,385
WENDY S CO THE 360,115 +3,471 $5,359
     WEN360,115+3,471$5,359
FIRST SOLAR INC 148,105 +1,535 $5,341
     FSLR148,105+1,535$5,341
FORTINET INC 52,772 +2,253 $5,339
     FTNT52,772+2,253$5,339
POTLATCHDELTIC CORP 169,159 -946 $5,310
     PCH169,159-946$5,310
ENERSYS 107,041 -632 $5,301
     ENS107,041-632$5,301
JM SMUCKER CO THE 47,639 +2,744 $5,288
     SJM47,639+2,744$5,288
MARATHON PETROLEUM CORP 223,693 +15,249 $5,284
     MPC223,693+15,249$5,284
PINNACLE FINANCIAL PARTNERS 140,400 +1,454 $5,271
     PNFP140,400+1,454$5,271
ARTHUR J GALLAGHER & CO 64,386 +257 $5,248
     AJG64,386+257$5,248
AMERIPRISE FINANCIAL INC 51,189 +6 $5,246
     AMP51,189+6$5,246
PACWEST BANCORP 291,869 -6,167 $5,230
     PACW291,869-6,167$5,230
FIRST REPUBLIC BANK CA 63,334 +269 $5,211
     FRC63,334+269$5,211
NORTONLIFELOCK INC 278,539 +81,401 $5,211
     NLOK278,539+81,401$5,211
BRIGHTHOUSE FINANCIAL INC 213,025 +2,117 $5,149
     BHF213,025+2,117$5,149
CLEAN HARBORS INC 100,130 +1,036 $5,141
     CLH100,130+1,036$5,141
WASHINGTON FEDERAL INC 197,374 -2,138 $5,124
     WAFD197,374-2,138$5,124
NVENT ELECTRIC PLC 303,404 +3,136 $5,118
     NVT303,404+3,136$5,118
INTERNATIONAL PAPER CO 164,302 +1,350 $5,115
     IP164,302+1,350$5,115
UMB FINANCIAL CORP 109,783 -671 $5,092
     UMBF109,783-671$5,092
TIFFANY & CO 39,280 -60 $5,087
     TIF39,280-60$5,087
SPIRIT REALTY CAPITAL INC 194,474 +2,162 $5,085
     SRC194,474+2,162$5,085
KIRBY CORP 116,893 +1,209 $5,081
     KEX116,893+1,209$5,081
EQUIFAX INC 42,352 -11 $5,059
     EFX42,352-11$5,059
CRACKER BARREL OLD COUNTRY 60,760 -351 $5,056
     CBRL60,760-351$5,056
LOUISIANA PACIFIC CORP 293,854 -4,977 $5,048
     LPX293,854-4,977$5,048
JETBLUE AIRWAYS CORP 563,140 +5,656 $5,040
     JBLU563,140+5,656$5,040
REGAL BELOIT CORP 79,838 +810 $5,026
     RBC79,838+810$5,026
SYNOVUS FINANCIAL CORP 285,739 +2,812 $5,018
     SNV285,739+2,812$5,018
COHERENT INC 47,097 +488 $5,012
     COHR47,097+488$5,012
ESSEX PROPERTY TRUST INC 22,703 +92 $5,000
     ESS22,703+92$5,000
TAUBMAN CENTERS INC 119,340 +1,235 $4,998
     TCO119,340+1,235$4,998
MASTEC INC 152,152 -872 $4,980
     MTZ152,152-872$4,980
ISHARES RUSSELL 2000 ETF (IWM) 43,500 -10,400 $4,979
     IWM43,500-10,400$4,979
BANK OZK 297,193 +63,886 $4,963
     OZK297,193+63,886$4,963
OLLIE S BARGAIN OUTLET HOLDI 106,950 +1,033 $4,956
     OLLI106,950+1,033$4,956
AVNET INC 196,854 +1,977 $4,941
     AVT196,854+1,977$4,941
SYNAPTICS INC 84,984 -143 $4,918
     SYNA84,984-143$4,918
FIRST HORIZON NATIONAL CORP 606,778 +6,213 $4,891
     FHN606,778+6,213$4,891
CRANE CO 99,407 +1,028 $4,889
     CR99,407+1,028$4,889
ALLIANT ENERGY CORP 100,894 +20,013 $4,872
     LNT100,894+20,013$4,872
MARTIN MARIETTA MATERIALS 25,671 -64 $4,858
     MLM25,671-64$4,858
CONAGRA BRANDS INC 165,470 +1,678 $4,855
     CAG165,470+1,678$4,855
AMCOR PLC 597,728 +77,633 $4,854
     AMCR597,728+77,633$4,854
POLYONE CORPORATION 255,648 +60,354 $4,850
     POL255,648+60,354$4,850
TREEHOUSE FOODS INC 109,671 +1,122 $4,842
     THS109,671+1,122$4,842
CORPORATE OFFICE PROPERTIES 218,525 +2,262 $4,836
     OFC218,525+2,262$4,836
MSC INDUSTRIAL DIRECT CO A 87,820 +909 $4,827
     MSM87,820+909$4,827
VISHAY INTERTECHNOLOGY INC 334,491 -1,948 $4,820
     VSH334,491-1,948$4,820
PIONEER NATURAL RESOURCES CO 68,652 +6 $4,816
     PXD68,652+6$4,816
WATERS CORP 26,431 +1,434 $4,812
     WAT26,431+1,434$4,812
VALVOLINE INC 367,394 +3,803 $4,809
     VVV367,394+3,803$4,809
EAGLE MATERIALS INC 81,410 +797 $4,756
     EXP81,410+797$4,756
FULTON FINANCIAL CORP 412,387 -2,276 $4,738
     FULT412,387-2,276$4,738
CORELOGIC INC 155,095 +1,580 $4,737
     CLGX155,095+1,580$4,737
COMMERCIAL METALS CO 299,264 -1,711 $4,725
     CMC299,264-1,711$4,725
STERIS PLC 33,690 +4,607 $4,716
     STE33,690+4,607$4,716
NXP SEMICONDUCTORS NV 56,836 -1,399 $4,713
     NXPI56,836-1,399$4,713
CNO FINANCIAL GROUP INC 380,035 -4,027 $4,709
     CNO380,035-4,027$4,709
PACKAGING CORP OF AMERICA 54,168 +7,879 $4,703
     PKG54,168+7,879$4,703
HOME BANCSHARES INC (HOMB) 391,927 -79,915 $4,699
     HOMB391,927-79,915$4,699
UMPQUA HOLDINGS CORP 429,447 +4,445 $4,681
     UMPQ429,447+4,445$4,681
ASGN INC 132,362 -714 $4,675
     ASGN132,362-714$4,675
FIFTH THIRD BANCORP 314,793 +2,063 $4,675
     FITB314,793+2,063$4,675
FNB CORP 633,621 +6,558 $4,670
     FNB633,621+6,558$4,670
PRESTIGE CONSUMER HEALTHCARE 126,997 -740 $4,658
     PBH126,997-740$4,658
SENSIENT TECHNOLOGIES CORP 106,923 -620 $4,652
     SXT106,923-620$4,652
WEYERHAEUSER CO 274,107 +2,573 $4,646
     WY274,107+2,573$4,646
FEDERATED HERMES INC 242,880 -1,417 $4,627
     FII242,880-1,417$4,627
BANCORPSOUTH BANK 244,304 -1,515 $4,622
     BXS244,304-1,515$4,622
AMERISOURCEBERGEN CORP 52,066 +249 $4,608
     ABC52,066+249$4,608
MASCO CORP 133,275 +34,363 $4,607
     MAS133,275+34,363$4,607
FRANKLIN RESOURCES INC 273,770 -11,315 $4,569
     BEN273,770-11,315$4,569
BOSTON PROPERTIES INC 49,541 +244 $4,569
     BXP49,541+244$4,569
EXPEDIA GROUP INC 80,927 -498 $4,554
     EXPE80,927-498$4,554
LENNAR CORP A      $4,544
     LEN118,714+7,941$4,535
     LEN.B297+1$9
THOR INDUSTRIES INC 107,607 -4,333 $4,539
     THO107,607-4,333$4,539
TOLL BROTHERS INC 235,403 -13,989 $4,532
     TOL235,403-13,989$4,532
TERADATA CORP 220,101 +2,091 $4,510
     TDC220,101+2,091$4,510
HARTFORD FINANCIAL SVCS GRP 127,561 +6,207 $4,495
     HIG127,561+6,207$4,495
HEALTHCARE SERVICES GROUP 187,367 -1,094 $4,480
     HCSG187,367-1,094$4,480
EXTRA SPACE STORAGE INC 46,621 +66 $4,464
     EXR46,621+66$4,464
MARKETAXESS HOLDINGS INC 13,388 -74 $4,452
     MKTX13,388-74$4,452
VALMONT INDUSTRIES 41,973 +431 $4,448
     VMI41,973+431$4,448
DISCOVER FINANCIAL SERVICES 124,583 -7 $4,444
     DFS124,583-7$4,444
NCR CORPORATION 249,652 +2,583 $4,419
     NCR249,652+2,583$4,419
CBRE GROUP INC A 117,047 -373 $4,414
     CBRE117,047-373$4,414
OLD DOMINION FREIGHT LINE 33,559 +11,114 $4,405
     ODFL33,559+11,114$4,405
CATHAY GENERAL BANCORP 191,840 -1,140 $4,403
     CATY191,840-1,140$4,403
SILGAN HOLDINGS INC 151,210 +1,566 $4,388
     SLGN151,210+1,566$4,388
KANSAS CITY SOUTHERN 34,370 -133 $4,371
     KSU34,370-133$4,371
BANK OF HAWAII CORP 78,529 +802 $4,338
     BOH78,529+802$4,338
SEAGATE TECHNOLOGY 88,779 +303 $4,332
     STX88,779+303$4,332
LOEWS CORP 124,022 +647 $4,320
     L124,022+647$4,320
ULTA BEAUTY INC 24,505 -349 $4,306
     ULTA24,505-349$4,306
HANCOCK WHITNEY CORP 220,043 -1,262 $4,295
     HWC220,043-1,262$4,295
COMMVAULT SYSTEMS INC 106,043 -106 $4,293
     CVLT106,043-106$4,293
SPROUTS FARMERS MARKET INC 230,731 +2,311 $4,289
     SFM230,731+2,311$4,289
APTIV PLC 86,987 +861 $4,283
     APTV86,987+861$4,283
ALIBABA GROUP HOLDING SP ADR 22,002 +1,847 $4,279
     BABA22,002+1,847$4,279
TIMKEN CO 132,178 +1,356 $4,275
     TKR132,178+1,356$4,275
EVERGY INC 77,517 +663 $4,267
     EVRG77,517+663$4,267
WESTROCK CO 150,758 -2,577 $4,260
     WRK150,758-2,577$4,260
KEYCORP 410,448 +3,031 $4,256
     KEY410,448+3,031$4,256
DR HORTON INC 124,839 +8,101 $4,245
     DHI124,839+8,101$4,245
DUKE REALTY CORP 130,886 +569 $4,238
     DRE130,886+569$4,238
DOVER CORP 50,428 +69 $4,233
     DOV50,428+69$4,233
GENWORTH FINANCIAL INC CL A 1,273,007 -7,460 $4,226
     GNW1,273,007-7,460$4,226
LEIDOS HOLDINGS INC 45,748 +149 $4,193
     LDOS45,748+149$4,193
WW GRAINGER INC 16,862 +82 $4,190
     GWW16,862+82$4,190
RH 41,604 -31 $4,180
     RH41,604-31$4,180
JACK HENRY & ASSOCIATES INC 26,892 +14 $4,175
     JKHY26,892+14$4,175
AES CORP 305,451 -84,248 $4,154
     AES305,451-84,248$4,154
MID AMERICA APARTMENT COMM 40,292 +200 $4,151
     MAA40,292+200$4,151
WORLD FUEL SERVICES CORP 164,653 -926 $4,146
     INT164,653-926$4,146
STERLING BANCORP DE 393,908 -51,486 $4,116
     STL393,908-51,486$4,116
XYLEM INC 63,152 -48 $4,113
     XYL63,152-48$4,113
WEBSTER FINANCIAL CORP 179,462 +1,858 $4,110
     WBS179,462+1,858$4,110
WERNER ENTERPRISES INC 112,445 -682 $4,077
     WERN112,445-682$4,077
HAIN CELESTIAL GROUP INC 156,710 +1,499 $4,070
     HAIN156,710+1,499$4,070
HEALTHPEAK PROPERTIES INC 170,198 +984 $4,059
     PEAK170,198+984$4,059
INTL FLAVORS & FRAGRANCES 39,747 +368 $4,057
     IFF39,747+368$4,057
VIASAT INC 112,457 +1,175 $4,039
     VSAT112,457+1,175$4,039
ATMOS ENERGY CORP 40,621 +474 $4,031
     ATO40,621+474$4,031
NETSCOUT SYSTEMS INC 169,323 -1,724 $4,008
     NTCT169,323-1,724$4,008
HOLOGIC INC 114,057 +17,128 $4,003
     HOLX114,057+17,128$4,003
NRG ENERGY INC 146,597 +21,854 $3,996
     NRG146,597+21,854$3,996
OCCIDENTAL PETROLEUM CORP 344,343 -6,895,609 $3,987
     OXY344,343-6,895,609$3,987
ONEOK INC 182,504 +1,254 $3,980
     OKE182,504+1,254$3,980
ASSOCIATED BANC CORP 310,655 +3,098 $3,973
     ASB310,655+3,098$3,973
SVB FINANCIAL GROUP 26,285 +5,112 $3,971
     SIVB26,285+5,112$3,971
EXPEDITORS INTL WASH INC 59,366 +67 $3,961
     EXPD59,366+67$3,961
COLUMBIA SPORTSWEAR CO 56,757 +554 $3,960
     COLM56,757+554$3,960
CINCINNATI FINANCIAL CORP 52,185 +240 $3,937
     CINF52,185+240$3,937
CBOE GLOBAL MARKETS INC 44,097 +2,002 $3,936
     CBOE44,097+2,002$3,936
KB HOME 217,044 -647 $3,928
     KBH217,044-647$3,928
ASSURANT INC 37,616 +3,287 $3,915
     AIZ37,616+3,287$3,915
GARMIN LTD 52,209 +1,935 $3,914
     GRMN52,209+1,935$3,914
ARISTA NETWORKS INC 19,301 -110 $3,909
     ANET19,301-110$3,909
KENNAMETAL INC 208,857 -1,186 $3,889
     KMT208,857-1,186$3,889
REGIONS FINANCIAL CORP 433,521 +2,798 $3,889
     RF433,521+2,798$3,889
TEMPUR SEALY INTERNATIONAL I 88,896 +846 $3,886
     TPX88,896+846$3,886
AARON S INC 169,868 -996 $3,870
     AAN169,868-996$3,870
INTERNATIONAL BANCSHARES CRP (IBOC) 143,882 -781 $3,868
     IBOC143,882-781$3,868
CITIZENS FINANCIAL GROUP 205,248 +1,300 $3,861
     CFG205,248+1,300$3,861
WYNDHAM DESTINATIONS INC 176,863 +1,806 $3,838
     WYND176,863+1,806$3,838
GEO GROUP INC THE 314,541 -1,570 $3,825
     GEO314,541-1,570$3,825
BROADRIDGE FINANCIAL SOLUTIO 40,287 -78 $3,820
     BR40,287-78$3,820
CAMPBELL SOUP CO 82,569 -6,185 $3,811
     CPB82,569-6,185$3,811
CHOICE HOTELS INTL INC 62,070 +622 $3,802
     CHH62,070+622$3,802
UDR INC 103,917 +480 $3,797
     UDR103,917+480$3,797
ENERGIZER HOLDINGS INC 125,436 +1,284 $3,794
     ENR125,436+1,284$3,794
TRUSTMARK CORP 162,357 -943 $3,783
     TRMK162,357-943$3,783
TENET HEALTHCARE CORP 261,815 -1,483 $3,770
     THC261,815-1,483$3,770
VENTAS INC 140,411 +1,317 $3,763
     VTR140,411+1,317$3,763
HENRY SCHEIN INC 74,404 +443 $3,759
     HSIC74,404+443$3,759
EPR PROPERTIES 155,148 +1,624 $3,758
     EPR155,148+1,624$3,758
HESS CORP 112,545 -158 $3,748
     HES112,545-158$3,748
INGEVITY CORP 105,775 -620 $3,723
     NGVT105,775-620$3,723
PARK HOTELS & RESORTS INC 466,815 +4,778 $3,693
     PK466,815+4,778$3,693
FMC CORP 45,008 -20,413 $3,677
     FMC45,008-20,413$3,677
SYNCHRONY FINANCIAL 227,941 -11,429 $3,668
     SYF227,941-11,429$3,668
TAYLOR MORRISON HOME CORP 333,137 +267,226 $3,665
     TMHC333,137+267,226$3,665
WINTRUST FINANCIAL CORP 111,299 +1,169 $3,657
     WTFC111,299+1,169$3,657
IDEX CORP 26,415 +36 $3,648
     IEX26,415+36$3,648
HASBRO INC 50,929 +7,158 $3,644
     HAS50,929+7,158$3,644
JACOBS ENGINEERING GROUP INC 45,974 +409 $3,644
     JEC45,974+409$3,644
ADTALEM GLOBAL EDUCATION INC 135,684 -1,425 $3,635
     ATGE135,684-1,425$3,635
OLIN CORP 311,337 +3,108 $3,633
     OLN311,337+3,108$3,633
BROWN FORMAN CORP CLASS B      $3,612
     BF.B64,141-332$3,560
     BF.A1,007-32$52
VARIAN MEDICAL SYSTEMS INC 34,978 +3,105 $3,591
     VAR34,978+3,105$3,591
PEBBLEBROOK HOTEL TRUST 329,634 -1,892 $3,590
     PEB329,634-1,892$3,590
TRIPADVISOR INC 205,489 -17,326 $3,573
     TRIP205,489-17,326$3,573
BELDEN INC 97,827 -579 $3,530
     BDC97,827-579$3,530
INSPERITY INC 94,612 -893 $3,529
     NSP94,612-893$3,529
PERRIGO CO PLC 73,330 +463 $3,526
     PRGO73,330+463$3,526
EQT CORP 498,508 +5,159 $3,524
     EQT498,508+5,159$3,524
EVERCORE INC A 76,304 +755 $3,515
     EVR76,304+755$3,515
INTERDIGITAL INC 78,675 -457 $3,511
     IDCC78,675-457$3,511
HUNTINGTON BANCSHARES INC (HBAN) 427,402 +3,127 $3,509
     HBAN427,402+3,127$3,509
PAYCOM SOFTWARE INC 17,359 +16,204 $3,507
     PAYC17,359+16,204$3,507
TRACTOR SUPPLY COMPANY 41,466 +21 $3,506
     TSCO41,466+21$3,506
ZEBRA TECHNOLOGIES CORP CL A 19,062 -105 $3,500
     ZBRA19,062-105$3,500
PENN NATIONAL GAMING INC 275,747 -1,625 $3,488
     PENN275,747-1,625$3,488
NOVOCURE LTD 51,428 -2,972 $3,463
     NVCR51,428-2,972$3,463
NISOURCE INC 138,553 +1,288 $3,460
     NI138,553+1,288$3,460
DENTSPLY SIRONA INC 88,934 +5,713 $3,453
     XRAY88,934+5,713$3,453
MACK CALI REALTY CORP 226,405 -1,191 $3,448
     CLI226,405-1,191$3,448
KAR AUCTION SERVICES INC 284,984 +1,577 $3,420
     KAR284,984+1,577$3,420
CONCHO RESOURCES INC 79,784 +692 $3,419
     CXO79,784+692$3,419
WEINGARTEN REALTY INVESTORS 235,870 +2,440 $3,404
     WRI235,870+2,440$3,404
VISTEON CORP 70,614 -408 $3,388
     VC70,614-408$3,388
FREEPORT MCMORAN INC 499,188 +1,751 $3,370
     FCX499,188+1,751$3,370
CORECIVIC INC 300,854 -1,745 $3,361
     CXW300,854-1,745$3,361
FOX CORP CLASS A 141,681 -29,051 $3,348
     FOXA141,681-29,051$3,348
CIMAREX ENERGY CO 198,511 +163,644 $3,341
     XEC198,511+163,644$3,341
WABTEC CORP 68,941 +562 $3,318
     WAB68,941+562$3,318
DELUXE CORP 127,876 +20,856 $3,316
     DLX127,876+20,856$3,316
HERMAN MILLER INC 149,096 -858 $3,310
     MLHR149,096-858$3,310
PATTERSON COS INC 216,090 -1,174 $3,304
     PDCO216,090-1,174$3,304
CARMAX INC 61,365 -239 $3,303
     KMX61,365-239$3,303
COMPASS MINERALS INTERNATION 85,726 -503 $3,298
     CMP85,726-503$3,298
EDGEWELL PERSONAL CARE CO 136,832 -789 $3,295
     EPC136,832-789$3,295
QORVO INC 40,339 -102 $3,253
     QRVO40,339-102$3,253
AVANOS MEDICAL INC 120,691 -679 $3,250
     AVNS120,691-679$3,250
INGERSOLL RAND INC 130,745 +35,324 $3,242
     IR130,745+35,324$3,242
COLFAX CORP 163,192 +1,693 $3,231
     CFX163,192+1,693$3,231
AUTONATION INC 114,739 +1,185 $3,220
     AN114,739+1,185$3,220
UNITED AIRLINES HOLDINGS INC 101,418 -699 $3,200
     UAL101,418-699$3,200
WILEY JOHN & SONS CLASS A      $3,198
     JW.A85,312+874$3,198
TELEPHONE AND DATA SYSTEMS 190,765 +1,975 $3,197
     TDS190,765+1,975$3,197
CIT GROUP INC 184,768 +183,221 $3,189
     CIT184,768+183,221$3,189
MINERALS TECHNOLOGIES INC 87,808 -736 $3,184
     MTX87,808-736$3,184
AMERICAN EAGLE OUTFITTERS 400,228 -3,436 $3,182
     AEO400,228-3,436$3,182
DAVITA INC 41,807 +11,097 $3,180
     DVA41,807+11,097$3,180
NVR INC 1,237 +4 $3,178
     NVR1,237+4$3,178
BAKER HUGHES CO 302,172 +6,905 $3,173
     BHGE302,172+6,905$3,173
ACADIA HEALTHCARE CO INC 172,693 +1,787 $3,169
     ACHC172,693+1,787$3,169
SABRE CORP 534,435 +5,466 $3,169
     SABR534,435+5,466$3,169
CENTERPOINT ENERGY INC 204,567 +1,732 $3,161
     CNP204,567+1,732$3,161
LAMB WESTON HOLDINGS INC 55,232 +126 $3,154
     LW55,232+126$3,154
WORLD WRESTLING ENTERTAIN A 92,746 +871 $3,147
     WWE92,746+871$3,147
GARTNER INC 31,596 -171 $3,146
     IT31,596-171$3,146
WESTERN UNION CO 172,006 -13,941 $3,118
     WU172,006-13,941$3,118
PERKINELMER INC 41,146 +2,854 $3,097
     PKI41,146+2,854$3,097
TRI POINTE GROUP INC 351,201 -2,008 $3,080
     TPH351,201-2,008$3,080
CELANESE CORP 41,949 -144 $3,079
     CE41,949-144$3,079
TRINITY INDUSTRIES INC 191,440 +1,891 $3,076
     TRN191,440+1,891$3,076
LIGAND PHARMACEUTICALS 42,052 -2,287 $3,058
     LGND42,052-2,287$3,058
ALLEGION PLC 32,718 -173 $3,011
     ALLE32,718-173$3,011
ISHARES MSCI EMERGING MARKETS (EEM) 88,217 -3,000 $3,011
     EEM88,217-3,000$3,011
EASTMAN CHEMICAL CO 64,626 -3,215 $3,010
     EMN64,626-3,215$3,010
ISHARES MSCI INDIA ETF (INDA) 124,786 +6,400 $3,009
     INDA124,786+6,400$3,009
PRINCIPAL FINANCIAL GROUP 95,983 +841 $3,008
     PFG95,983+841$3,008
AVERY DENNISON CORP 29,327 -77 $2,988
     AVY29,327-77$2,988
PAPA JOHN S INTL INC 55,721 -324 $2,974
     PZZA55,721-324$2,974
IRON MOUNTAIN INC 124,488 -12,365 $2,963
     IRM124,488-12,365$2,963
YELP INC 164,128 -1,093 $2,959
     YELP164,128-1,093$2,959
E TRADE FINANCIAL CORP 86,066 -3,111 $2,954
     ETFC86,066-3,111$2,954
BOYD GAMING CORP 202,495 -1,190 $2,920
     BYD202,495-1,190$2,920
DARDEN RESTAURANTS INC 53,379 +5,265 $2,907
     DRI53,379+5,265$2,907
HOST HOTELS & RESORTS INC 262,978 +2,374 $2,903
     HST262,978+2,374$2,903
CABOT CORP 111,103 +1,128 $2,902
     CBT111,103+1,128$2,902
PINNACLE WEST CAPITAL 38,231 +387 $2,898
     PNW38,231+387$2,898
LHC GROUP INC 20,661 -1,029 $2,897
     LHCG20,661-1,029$2,897
GRAHAM HOLDINGS CO CLASS B 8,479 -1,333 $2,893
     GHC8,479-1,333$2,893
REXFORD INDUSTRIAL REALTY IN 70,508 -2,046 $2,892
     REXR70,508-2,046$2,892
JUNIPER NETWORKS INC 150,893 -4,297 $2,888
     JNPR150,893-4,297$2,888
ALLSCRIPTS HEALTHCARE SOLUTI 409,783 -2,356 $2,885
     MDRX409,783-2,356$2,885
RADIAN GROUP INC 222,133 +40,786 $2,877
     RDN222,133+40,786$2,877
ISHARES 20 YEAR TREASURY BOND (TLT) 17,300 +5,200 $2,854
     TLT17,300+5,200$2,854
DANA INC 363,860 -2,124 $2,842
     DAN363,860-2,124$2,842
CABOT OIL & GAS CORP 165,183 -206 $2,839
     COG165,183-206$2,839
CHEMOURS CO THE 318,842 +3,300 $2,828
     CC318,842+3,300$2,828
CHECK POINT SOFTWARE TECH 28,038 -808 $2,819
     CHKP28,038-808$2,819
ACADIA PHARMACEUTICALS INC 66,636 -3,850 $2,815
     ACAD66,636-3,850$2,815
UNITED RENTALS INC 27,252 -2,352 $2,804
     URI27,252-2,352$2,804
LENDINGTREE INC 15,006 +145 $2,752
     TREE15,006+145$2,752
RYDER SYSTEM INC 103,903 +1,074 $2,747
     R103,903+1,074$2,747
HNI CORP 108,180 -627 $2,725
     HNI108,180-627$2,725
HUNT JB TRANSPRT SVCS INC 29,526 +55 $2,723
     JBHT29,526+55$2,723
FIVE9 INC 35,416 -2,046 $2,708
     FIVN35,416-2,046$2,708
ALLEGHENY TECHNOLOGIES INC 318,300 -1,836 $2,706
     ATI318,300-1,836$2,706
UNIVERSAL HEALTH SERVICES B 27,289 +261 $2,704
     UHS27,289+261$2,704
EVEREST RE GROUP LTD 13,942 +126 $2,683
     RE13,942+126$2,683
LIVE NATION ENTERTAINMENT IN 58,861 +9,541 $2,676
     LYV58,861+9,541$2,676
RAYMOND JAMES FINANCIAL INC 42,198 +389 $2,667
     RJF42,198+389$2,667
GOODYEAR TIRE & RUBBER CO 453,524 +4,695 $2,640
     GT453,524+4,695$2,640
DICK S SPORTING GOODS INC 123,985 +1,221 $2,636
     DKS123,985+1,221$2,636
CANTEL MEDICAL CORP 73,209 +742 $2,628
     CMD73,209+742$2,628
DISH NETWORK CORP A 131,251 +36,452 $2,624
     DISHV131,251+36,452$2,624
MYLAN NV 175,537 +1,780 $2,617
     MYL175,537+1,780$2,617
JD.COM INC ADR 64,568 -5,668 $2,615
     JD64,568-5,668$2,615
VIACOMCBS INC CLASS B      $2,607
     CBS185,770+1,477$2,603
     CBS.A210+117$4
HUNTINGTON INGALLS INDUSTRIE 14,274 -15 $2,601
     HII14,274-15$2,601
WR BERKLEY CORP 49,337 +500 $2,574
     WRB49,337+500$2,574
URBAN EDGE PROPERTIES 290,862 -1,683 $2,562
     UE290,862-1,683$2,562
EXPONENT INC 35,601 -1,770 $2,560
     EXPO35,601-1,770$2,560
PORTLAND GENERAL ELECTRIC CO 53,164 -3,072 $2,549
     POR53,164-3,072$2,549
DISCOVERY INC A 129,565 +33,750 $2,519
     DISCA129,565+33,750$2,519
NAVIENT CORP 332,172 -43,353 $2,518
     NAVI332,172-43,353$2,518
CHEGG INC 70,106 -4,051 $2,508
     CHGG70,106-4,051$2,508
CNX RESOURCES CORP 471,208 -2,725 $2,507
     CNX471,208-2,725$2,507
MEDNAX INC 215,298 +52,649 $2,506
     MD215,298+52,649$2,506
MOLSON COORS BEVERAGE CO B 63,676 +640 $2,484
     TAP63,676+640$2,484
WPX ENERGY INC 812,643 +8,324 $2,479
     WPX812,643+8,324$2,479
CANNAE HOLDINGS INC 73,920 +31,590 $2,476
     CNNE73,920+31,590$2,476
WORTHINGTON INDUSTRIES 94,273 -600 $2,475
     WOR94,273-600$2,475
LKQ CORP 120,643 -4,168 $2,474
     LKQ120,643-4,168$2,474
GLOBE LIFE INC 34,003 +322 $2,447
     GL34,003+322$2,447
ABIOMED INC 16,684 -7 $2,422
     ABMD16,684-7$2,422
DOMTAR CORP 111,682 +1,065 $2,417
     UFS111,682+1,065$2,417
ACCELERON PHARMA INC 26,660 -1,541 $2,396
     XLRN26,660-1,541$2,396
NEOGEN CORP 35,721 -1,410 $2,393
     NEOG35,721-1,410$2,393
COGENT COMMUNICATIONS HOLDIN 29,116 -1,451 $2,387
     CCOI29,116-1,451$2,387
ELDORADO RESORTS INC 165,335 -975 $2,381
     ERI165,335-975$2,381
SALLY BEAUTY HOLDINGS INC 294,159 -4,100 $2,377
     SBH294,159-4,100$2,377
NU SKIN ENTERPRISES INC A 108,312 +1,122 $2,367
     NUS108,312+1,122$2,367
TEREX CORP 164,372 -883 $2,360
     TEX164,372-883$2,360
CARPENTER TECHNOLOGY 120,168 -678 $2,343
     CRS120,168-678$2,343
ISHARES 7 10 YEAR TREASURY BON (IEF) 19,000 -5,100 $2,308
     IEF19,000-5,100$2,308
SPDR S&P MIDCAP 400 ETF TRUST (MDY) 8,600 -28,900 $2,261
     MDY8,600-28,900$2,261
HOLLYFRONTIER CORP 91,969 +26,300 $2,254
     HFC91,969+26,300$2,254
F5 NETWORKS INC 21,045 +160 $2,244
     FFIV21,045+160$2,244
EHEALTH INC 15,879 -342 $2,236
     EHTH15,879-342$2,236
ESSENT GROUP LTD 84,726 -7,526 $2,232
     ESNT84,726-7,526$2,232
ADVANCE AUTO PARTS INC 23,611 +174 $2,203
     AAP23,611+174$2,203
GREIF INC CL A      $2,198
     GEF66,093-30,115$2,055
     GEF.B3,569-205$143
REGENCY CENTERS CORP 56,975 +576 $2,190
     REG56,975+576$2,190
BALCHEM CORP 22,148 -1,101 $2,186
     BCPC22,148-1,101$2,186
DIVERSIFIED HEALTHCARE TRUST 600,227 +600,227 $2,179
     DHC600,227+600,227$2,179
TEXAS CAPITAL BANCSHARES INC (TCBI) 98,129 +1,015 $2,176
     TCBI98,129+1,015$2,176
TERRENO REALTY CORP 41,796 -2,221 $2,163
     TRNO41,796-2,221$2,163
O I GLASS INC 303,483 +3,140 $2,158
     OI303,483+3,140$2,158
MERCURY GENERAL CORP 52,898 +547 $2,154
     MCY52,898+547$2,154
LINCOLN NATIONAL CORP 81,667 +683 $2,149
     LNC81,667+683$2,149
QTS REALTY TRUST INC CL A 36,928 -1,930 $2,142
     QTS36,928-1,930$2,142
WRIGHT MEDICAL GROUP NV 74,705 -4,315 $2,140
     WMGI74,705-4,315$2,140
HOWMET AEROSPACE INC 133,099 +133,099 $2,138
     HWM133,099+133,099$2,138
TANDEM DIABETES CARE INC 33,189 -1,917 $2,136
     TNDM33,189-1,917$2,136
MOMENTA PHARMACEUTICALS INC 78,040 +5,462 $2,123
     MNTA78,040+5,462$2,123
CINEMARK HOLDINGS INC 207,896 -16,500 $2,118
     CNK207,896-16,500$2,118
ISHARES RUSSELL MID CAP GROWTH (IWP) 17,364 +7,070 $2,111
     IWP17,364+7,070$2,111
INPHI CORP 26,616 -1,538 $2,107
     IPHI26,616-1,538$2,107
STAG INDUSTRIAL INC 93,443 +4,866 $2,104
     STAG93,443+4,866$2,104
FORTUNE BRANDS HOME & SECURI 48,614 -146 $2,103
     FBHS48,614-146$2,103
ROBERT HALF INTL INC 55,668 +15,212 $2,101
     RHI55,668+15,212$2,101
AEROJET ROCKETDYNE HOLDINGS 50,193 -2,500 $2,100
     AJRD50,193-2,500$2,100
AMC NETWORKS INC A 86,192 +835 $2,095
     AMCX86,192+835$2,095
EVERBRIDGE INC 19,683 -1,137 $2,093
     EVBG19,683-1,137$2,093
UNITED STATES STEEL CORP 331,583 +3,394 $2,092
     X331,583+3,394$2,092
MGM RESORTS INTERNATIONAL 177,220 +133 $2,091
     MGM177,220+133$2,091
CF INDUSTRIES HOLDINGS INC 76,836 +714 $2,090
     CF76,836+714$2,090
JACK IN THE BOX INC 59,408 -2,029 $2,082
     JACK59,408-2,029$2,082
IOVANCE BIOTHERAPEUTICS INC 69,362 -4,006 $2,076
     IOVA69,362-4,006$2,076
QUIDEL CORP 21,182 -990 $2,072
     QDEL21,182-990$2,072
TEXTRON INC 77,677 +787 $2,072
     TXT77,677+787$2,072
AMERICAN STATES WATER CO 25,242 -1,255 $2,063
     AWR25,242-1,255$2,063
COMMUNITY BANK SYSTEM INC 35,062 -1,739 $2,062
     CBU35,062-1,739$2,062
STRATEGIC EDUCATION INC 14,732 -730 $2,059
     STRA14,732-730$2,059
WYNN RESORTS LTD 34,096 -166 $2,052
     WYNN34,096-166$2,052
HALLIBURTON CO 298,478 +3,026 $2,045
     HAL298,478+3,026$2,045
ALBEMARLE CORP 36,054 +365 $2,032
     ALB36,054+365$2,032
AMERICAN AIRLINES GROUP INC 166,510 -1,105 $2,030
     AAL166,510-1,105$2,030
GLACIER BANCORP INC 59,650 -2,972 $2,028
     GBCI59,650-2,972$2,028
DYCOM INDUSTRIES INC 78,963 -423 $2,025
     DY78,963-423$2,025
INVESCO LTD 222,889 +41,704 $2,024
     IVZ222,889+41,704$2,024
BAIDU INC SPON ADR 20,001 -1,776 $2,016
     BIDU20,001-1,776$2,016
QUALYS INC 23,125 -1,152 $2,012
     QLYS23,125-1,152$2,012
NEWELL BRANDS INC 151,049 +1,990 $2,006
     NWL151,049+1,990$2,006
DISCOVERY INC C 114,128 +978 $2,002
     DISCK114,128+978$2,002
AVIS BUDGET GROUP INC 143,990 -854 $2,001
     CAR143,990-854$2,001
EQUITRANS MIDSTREAM CORP 397,557 +4,086 $2,000
     ETRN397,557+4,086$2,000
ADIENT PLC 220,258 -1,296 $1,998
     ADNT220,258-1,296$1,998
WW INTERNATIONAL INC 117,497 -689 $1,987
     WW117,497-689$1,987
PULTEGROUP INC 88,418 -213 $1,973
     PHM88,418-213$1,973
VORNADO REALTY TRUST 54,118 +557 $1,960
     VNO54,118+557$1,960
URBAN OUTFITTERS INC 137,533 +1,421 $1,958
     URBN137,533+1,421$1,958
AVISTA CORP 45,817 -2,278 $1,947
     AVA45,817-2,278$1,947
REATA PHARMACEUTICALS INC A 13,414 -591 $1,936
     RETA13,414-591$1,936
AGREE REALTY CORP 31,071 -1,087 $1,923
     ADC31,071-1,087$1,923
SIX FLAGS ENTERTAINMENT CORP 153,355 -299,608 $1,923
     SIX153,355-299,608$1,923
EL PASO ELECTRIC CO 27,939 -1,390 $1,899
     EE27,939-1,390$1,899
LULULEMON ATHLETICA INC 10,011 -727 $1,898
     LULU10,011-727$1,898
WD 40 CO 9,449 -470 $1,898
     WDFC9,449-470$1,898
DXC TECHNOLOGY CO 144,870 +1,666 $1,891
     DXC144,870+1,666$1,891
FLUOR CORP 273,349 -17,385 $1,889
     FLR273,349-17,385$1,889
SIMPSON MANUFACTURING CO INC 30,389 -1,531 $1,884
     SSD30,389-1,531$1,884
APARTMENT INVT & MGMT CO A 53,515 +552 $1,881
     AIV53,515+552$1,881
ROYAL CARIBBEAN CRUISES LTD 58,466 +593 $1,881
     RCL58,466+593$1,881
OMNICELL INC 28,549 -1,418 $1,872
     OMCL28,549-1,418$1,872
BLUEPRINT MEDICINES CORP 31,696 +1,117 $1,854
     BPMC31,696+1,117$1,854
PILGRIM S PRIDE CORP 102,339 +1,033 $1,854
     PPC102,339+1,033$1,854
WHIRLPOOL CORP 21,479 -5,215 $1,843
     WHR21,479-5,215$1,843
CVB FINANCIAL CORP 91,816 -4,568 $1,841
     CVBF91,816-4,568$1,841
ANIXTER INTERNATIONAL INC 20,932 -1,043 $1,839
     AXE20,932-1,043$1,839
AMN HEALTHCARE SERVICES INC 31,738 -1,574 $1,835
     AMN31,738-1,574$1,835
NEOGENOMICS INC 66,448 -3,261 $1,835
     NEO66,448-3,261$1,835
EMERGENT BIOSOLUTIONS INC 31,218 -1,560 $1,806
     EBS31,218-1,560$1,806
FEDERAL REALTY INVS TRUST 24,171 +125 $1,803
     FRT24,171+125$1,803
MURPHY OIL CORP 291,219 +2,873 $1,785
     MUR291,219+2,873$1,785
ROLLINS INC 49,291 +30 $1,781
     ROL49,291+30$1,781
SITEONE LANDSCAPE SUPPLY INC 24,196 -1,397 $1,781
     SITE24,196-1,397$1,781
CHEESECAKE FACTORY INC THE 104,036 -619 $1,777
     CAKE104,036-619$1,777
VIAVI SOLUTIONS INC 158,136 -7,864 $1,773
     VIAV158,136-7,864$1,773
NEVRO CORP 17,708 -1,022 $1,770
     NVRO17,708-1,022$1,770
SMITH A.O. CORP 46,743 +431 $1,767
     AOS46,743+431$1,767
COSTAR GROUP INC 2,998 -218 $1,760
     CSGP2,998-218$1,760
ENPHASE ENERGY INC 54,373 -3,141 $1,756
     ENPH54,373-3,141$1,756
GLOBAL BLOOD THERAPEUTICS IN 34,293 -1,982 $1,752
     GBT34,293-1,982$1,752
LIBERTY MEDIA COR SIRIUSXM A 55,211 +53,887 $1,750
     LSXMA55,211+53,887$1,750
DIAMONDBACK ENERGY INC 66,271 +439 $1,736
     FANG66,271+439$1,736
SERVICE PROPERTIES TRUST 320,890 +3,320 $1,733
     SVC320,890+3,320$1,733
POWER INTEGRATIONS INC 19,587 -970 $1,730
     POWI19,587-970$1,730
BORGWARNER INC 70,236 +713 $1,712
     BWA70,236+713$1,712
CARNIVAL CORP 129,728 -7,001 $1,709
     CCL129,728-7,001$1,709
PENTAIR PLC 57,164 +578 $1,701
     PNR57,164+578$1,701
VERINT SYSTEMS INC 39,327 -2,273 $1,691
     VRNT39,327-2,273$1,691
NETEASE INC ADR 5,245 -458 $1,683
     NTES5,245-458$1,683
PERFORMANCE FOOD GROUP CO 67,895 +3,429 $1,678
     PFGC67,895+3,429$1,678
PHYSICIANS REALTY TRUST 119,802 -6,351 $1,670
     DOC119,802-6,351$1,670
PEOPLE S UNITED FINANCIAL 151,012 +1,531 $1,669
     PBCT151,012+1,531$1,669
CALIFORNIA WATER SERVICE GRP 33,076 -1,644 $1,664
     CWT33,076-1,644$1,664
LEXINGTON REALTY TRUST 166,920 -8,271 $1,658
     LXP166,920-8,271$1,658
TOPBUILD CORP 23,067 -1,146 $1,653
     BLD23,067-1,146$1,653
ZIONS BANCORP NA 61,636 +398 $1,649
     ZION61,636+398$1,649
FOX CORP CLASS B 71,133 -901 $1,628
     FOX71,133-901$1,628
RBC BEARINGS INC 14,361 -829 $1,620
     ROLL14,361-829$1,620
SHENANDOAH TELECOMMUNICATION 32,879 -1,641 $1,619
     SHEN32,879-1,641$1,619
XEROX HOLDINGS CORP 85,448 +18,948 $1,618
     XRX85,448+18,948$1,618
FIBROGEN INC 46,505 -2,687 $1,616
     FGEN46,505-2,687$1,616
NIELSEN HOLDINGS PLC 128,854 -17,977 $1,616
     NLSN128,854-17,977$1,616
WINGSTOP INC 20,199 -1,002 $1,610
     WING20,199-1,002$1,610
WATTS WATER TECHNOLOGIES A 18,987 -945 $1,607
     WTS18,987-945$1,607
COMERICA INC 54,688 -12,806 $1,605
     CMA54,688-12,806$1,605
JOHN BEAN TECHNOLOGIES CORP 21,503 -1,067 $1,597
     JBT21,503-1,067$1,597
PTC THERAPEUTICS INC 35,759 -2,066 $1,595
     PTCT35,759-2,066$1,595
NOVANTA INC 19,938 -1,151 $1,593
     NOVT19,938-1,151$1,593
SOUTH JERSEY INDUSTRIES 63,703 -3,169 $1,593
     SJI63,703-3,169$1,593
ORMAT TECHNOLOGIES INC 23,497 -1,357 $1,590
     ORA23,497-1,357$1,590
SPLUNK INC 12,549 -764 $1,584
     SPLK12,549-764$1,584
UNIFIRST CORP MA 10,430 -518 $1,576
     UNF10,430-518$1,576
TOOTSIE ROLL INDS 43,354 +1,035 $1,559
     TR43,354+1,035$1,559
QUANTA SERVICES INC 49,053 +187 $1,556
     PWR49,053+187$1,556
MOHAWK INDUSTRIES INC 20,212 +195 $1,541
     MHK20,212+195$1,541
ENVESTNET INC 28,578 -1,651 $1,537
     ENV28,578-1,651$1,537
OLD NATIONAL BANCORP 116,407 -5,784 $1,535
     ONB116,407-5,784$1,535
UNIVERSAL FOREST PRODUCTS 41,139 -2,037 $1,530
     UFPI41,139-2,037$1,530
HMS HOLDINGS CORP 60,424 -3,003 $1,527
     HMSY60,424-3,003$1,527
Q2 HOLDINGS INC 25,850 -1,493 $1,527
     QTWO25,850-1,493$1,527
NATIONAL OILWELL VARCO INC 155,217 +844 $1,526
     NOV155,217+844$1,526
BROOKS AUTOMATION INC 49,814 -1,565 $1,519
     BRKS49,814-1,565$1,519
IMMUNOMEDICS INC 112,684 +3,086 $1,519
     IMMU112,684+3,086$1,519
IRIDIUM COMMUNICATIONS INC 67,934 -3,389 $1,517
     IRDM67,934-3,389$1,517
BRADY CORPORATION CL A 33,431 -1,266 $1,509
     BRC33,431-1,266$1,509
ACACIA COMMUNICATIONS INC 22,451 -1,297 $1,508
     ACIA22,451-1,297$1,508
SEATTLE GENETICS INC 12,846 -941 $1,482
     SGEN12,846-941$1,482
INDEPENDENT BANK CORP MA 22,956 -1,136 $1,478
     INDB22,956-1,136$1,478
STAMPS.COM INC 11,332 -566 $1,474
     STMP11,332-566$1,474
FLIR SYSTEMS INC 46,174 +184 $1,472
     FLIR46,174+184$1,472
KINSALE CAPITAL GROUP INC 14,070 -699 $1,471
     KNSL14,070-699$1,471
FRANKLIN ELECTRIC CO INC 31,054 -1,582 $1,464
     FELE31,054-1,582$1,464
KIMCO REALTY CORP 150,727 +1,695 $1,458
     KIM150,727+1,695$1,458
SIRIUS XM HOLDINGS INC 294,295 -24,159 $1,454
     SIRI294,295-24,159$1,454
MERCADOLIBRE INC 2,957 -261 $1,445
     MELI2,957-261$1,445
ULTRAGENYX PHARMACEUTICAL IN 32,349 -1,870 $1,437
     RARE32,349-1,870$1,437
HALOZYME THERAPEUTICS INC 79,612 -10,025 $1,432
     HALO79,612-10,025$1,432
REXNORD CORP 63,003 -3,641 $1,428
     RXN63,003-3,641$1,428
FORTY SEVEN INC 14,960 +1,038 $1,427
     FTSV14,960+1,038$1,427
EASTERLY GOVERNMENT PROPERTI 57,643 -2,460 $1,420
     DEA57,643-2,460$1,420
NOW INC 274,521 -1,575 $1,417
     DNOW274,521-1,575$1,417
BLACKSTONE MORTGAGE TRU CL A 75,961 -3,090 $1,414
     BXMT75,961-3,090$1,414
ADVANCED DISPOSAL SERVICES I 43,023 -2,485 $1,411
     ADSW43,023-2,485$1,411
PROTO LABS INC 18,534 -922 $1,411
     PRLB18,534-922$1,411
PBF ENERGY INC CLASS A 198,937 +2,067 $1,408
     PBF198,937+2,067$1,408
INTEGER HOLDINGS CORP 22,374 -1,111 $1,406
     ITGR22,374-1,111$1,406
AMICUS THERAPEUTICS INC 151,470 -8,752 $1,400
     FOLD151,470-8,752$1,400
MOSAIC CO THE 129,326 -7,531 $1,399
     MOS129,326-7,531$1,399
MEDPACE HOLDINGS INC 18,966 -943 $1,392
     MEDP18,966-943$1,392
ISHARES CORE S&P SMALL CAP ETF (IJR) 24,731 -14,500 $1,388
     IJR24,731-14,500$1,388
ISHARES RUSSELL MID CAP VALUE (IWS) 21,510 +5,310 $1,379
     IWS21,510+5,310$1,379
FABRINET 25,131 -1,248 $1,371
     FN25,131-1,248$1,371
AAON INC 28,208 -1,405 $1,363
     AAON28,208-1,405$1,363
BARNES GROUP INC 32,474 -1,612 $1,358
     B32,474-1,612$1,358
MGE ENERGY INC 20,665 -1,194 $1,353
     MGEE20,665-1,194$1,353
MIRATI THERAPEUTICS INC 17,605 +549 $1,353
     MRTX17,605+549$1,353
IPG PHOTONICS CORP 12,235 +47 $1,349
     IPGP12,235+47$1,349
BLACKLINE INC 25,595 -1,480 $1,347
     BL25,595-1,480$1,347
WASHINGTON REIT 56,445 -1,520 $1,347
     WRE56,445-1,520$1,347
NATL HEALTH INVESTORS INC 27,101 -1,432 $1,342
     NHI27,101-1,432$1,342
DELPHI TECHNOLOGIES PLC 166,448 +1,685 $1,340
     DLPH166,448+1,685$1,340
MANTECH INTERNATIONAL CORP A 18,435 -916 $1,340
     MANT18,435-916$1,340
ESCO TECHNOLOGIES INC 17,616 -873 $1,337
     ESE17,616-873$1,337
SCIENTIFIC GAMES CORP 137,618 -848 $1,335
     SGMS137,618-848$1,335
BED BATH & BEYOND INC 316,941 -1,693 $1,334
     BBBY316,941-1,693$1,334
LATTICE SEMICONDUCTOR CORP 74,689 -4,316 $1,331
     LSCC74,689-4,316$1,331
ARCOSA INC 33,464 -1,665 $1,330
     ACA33,464-1,665$1,330
COLUMBIA BANKING SYSTEM INC 49,596 -2,467 $1,329
     COLB49,596-2,467$1,329
STEVEN MADDEN LTD 57,145 -2,874 $1,327
     SHOO57,145-2,874$1,327
ITRON INC 23,679 -1,174 $1,322
     ITRI23,679-1,174$1,322
SAIA INC 17,841 -887 $1,312
     SAIA17,841-887$1,312
ARES MANAGEMENT CORP A 42,330 -2,447 $1,309
     ARES42,330-2,447$1,309
PIEDMONT OFFICE REALTY TRU A 74,148 -4,284 $1,309
     PDM74,148-4,284$1,309
ENSIGN GROUP INC THE 34,761 -1,730 $1,307
     ENSG34,761-1,730$1,307
FRESHPET INC 20,377 -1,178 $1,301
     FRPT20,377-1,178$1,301
TRANSOCEAN LTD 1,121,662 +11,610 $1,301
     RIG1,121,662+11,610$1,301
SEALED AIR CORP 52,646 +518 $1,301
     SEE52,646+518$1,301
HOULIHAN LOKEY INC 24,919 -1,440 $1,299
     HLI24,919-1,440$1,299
SANMINA CORP 47,348 -2,348 $1,292
     SANM47,348-2,348$1,292
NORTHWEST NATURAL HOLDING CO 20,829 -1,035 $1,286
     NWN20,829-1,035$1,286
IRHYTHM TECHNOLOGIES INC 15,674 -905 $1,275
     IRTC15,674-905$1,275
ADVANCED ENERGY INDUSTRIES 26,210 -1,302 $1,271
     AEIS26,210-1,302$1,271
WORKDAY INC CLASS A 9,756 -862 $1,270
     WDAY9,756-862$1,270
RAPID7 INC 29,180 -1,685 $1,264
     RPD29,180-1,685$1,264
LITHIA MOTORS INC CL A 15,448 -767 $1,263
     LAD15,448-767$1,263
ARENA PHARMACEUTICALS INC 29,897 -1,728 $1,256
     ARNA29,897-1,728$1,256
J & J SNACK FOODS CORP 10,384 -516 $1,256
     JJSF10,384-516$1,256
SUNSTONE HOTEL INVESTORS INC 143,322 -7,541 $1,248
     SHO143,322-7,541$1,248
BIOMARIN PHARMACEUTICAL INC 14,752 -1,070 $1,247
     BMRN14,752-1,070$1,247
STEPAN CO 14,039 -699 $1,242
     SCL14,039-699$1,242
SIMMONS FIRST NATL CORP CL A 67,367 -3,262 $1,240
     SFNC67,367-3,262$1,240
MEREDITH CORP 101,304 -575 $1,238
     MDP101,304-575$1,238
CLEARWAY ENERGY INC C      $1,236
     CWEN46,889+704$882
     CWEN.A20,638-1,191$354
MYOKARDIA INC 26,302 -1,520 $1,233
     MYOK26,302-1,520$1,233
CENTERSTATE BANK CORP 71,384 -4,124 $1,230
     CSFL71,384-4,124$1,230
NOBLE ENERGY INC 202,743 +1,647 $1,225
     NBL202,743+1,647$1,225
COCA COLA EUROPEAN PARTNERS 32,539 -358 $1,221
     CCEP32,539-358$1,221
BOX INC CLASS A 86,653 -3,086 $1,217
     BOX86,653-3,086$1,217
ANTERO MIDSTREAM CORP 578,319 +6,219 $1,214
     AM578,319+6,219$1,214
MACERICH CO THE 215,381 +2,242 $1,213
     MAC215,381+2,242$1,213
LEGGETT & PLATT INC 45,373 +99 $1,211
     LEG45,373+99$1,211
APPLIED INDUSTRIAL TECH INC 26,412 -1,311 $1,208
     AIT26,412-1,311$1,208
NATIONAL STORAGE AFFILIATES 40,822 -2,030 $1,208
     NSA40,822-2,030$1,208
EXLSERVICE HOLDINGS INC 23,116 -1,147 $1,203
     EXLS23,116-1,147$1,203
ROGERS CORP 12,736 -633 $1,203
     ROG12,736-633$1,203
ALASKA AIR GROUP INC 42,214 -16,560 $1,202
     ALK42,214-16,560$1,202
SL GREEN REALTY CORP 27,683 +227 $1,193
     SLG27,683+227$1,193
ARTISAN PARTNERS ASSET MA A 55,451 +24,112 $1,192
     APAM55,451+24,112$1,192
NEWS CORP CLASS A 132,101 +1,339 $1,186
     NWSA132,101+1,339$1,186
PVH CORP 31,486 +223 $1,185
     PVH31,486+223$1,185
MARATHON OIL CORP 359,407 +2,752 $1,182
     MRO359,407+2,752$1,182
DEVON ENERGY CORP 169,393 +1,014 $1,171
     DVN169,393+1,014$1,171
AMERICAN EQUITY INVT LIFE HL 62,101 -3,084 $1,167
     AEL62,101-3,084$1,167
SOUTH STATE CORP 19,813 -1,146 $1,164
     SSB19,813-1,146$1,164
INNOSPEC INC 16,739 -832 $1,163
     IOSP16,739-832$1,163
DIODES INC 28,557 -1,119 $1,160
     DIOD28,557-1,119$1,160
RESIDEO TECHNOLOGIES INC 239,511 +2,478 $1,159
     REZI239,511+2,478$1,159
MERIT MEDICAL SYSTEMS INC 37,011 -1,833 $1,157
     MMSI37,011-1,833$1,157
ASML HOLDING NV NY REG SHS 4,406 -389 $1,153
     ASML4,406-389$1,153
CLOUDERA INC 146,370 -4,411 $1,152
     CLDR146,370-4,411$1,152
MGIC INVESTMENT CORP 181,261 +42,302 $1,151
     MTG181,261+42,302$1,151
QUAKER CHEMICAL CORP 9,010 -448 $1,138
     KWR9,010-448$1,138
BRINKER INTERNATIONAL INC 94,395 -547 $1,134
     EAT94,395-547$1,134
SELECT MEDICAL HOLDINGS CORP 75,431 -3,763 $1,131
     SEM75,431-3,763$1,131
VARONIS SYSTEMS INC 17,760 -809 $1,131
     VRNS17,760-809$1,131
VONAGE HOLDINGS CORP 155,924 -7,747 $1,127
     VG155,924-7,747$1,127
LCI INDUSTRIES 16,847 -833 $1,126
     LCII16,847-833$1,126
FEDERAL SIGNAL CORP 41,175 -2,044 $1,123
     FSS41,175-2,044$1,123
VAIL RESORTS INC 7,577 +2,416 $1,119
     MTN7,577+2,416$1,119
SPS COMMERCE INC 24,051 -1,195 $1,119
     SPSC24,051-1,195$1,119
IBERIABANK CORP 30,906 -1,786 $1,118
     IBKC30,906-1,786$1,118
ABM INDUSTRIES INC 45,786 -2,278 $1,115
     ABM45,786-2,278$1,115
NATERA INC 36,898 -2,131 $1,102
     NTRA36,898-2,131$1,102
TEVA PHARMACEUTICAL SP ADR 122,113 -185 $1,097
     TEVA122,113-185$1,097
GCI LIBERTY INC CLASS A 19,185 +17,646 $1,093
     GLIBA19,185+17,646$1,093
FOX FACTORY HOLDING CORP 25,970 -1,287 $1,091
     FOXF25,970-1,287$1,091
PLEXUS CORP 19,911 -989 $1,086
     PLXS19,911-989$1,086
MOOG INC CLASS A      $1,084
     MOG.A21,454-1,772$1,084
ENSTAR GROUP LTD 6,807 -393 $1,083
     ESGR6,807-393$1,083
CONMED CORP 18,848 -932 $1,079
     CNMD18,848-932$1,079
CARETRUST REIT INC 72,916 -3,168 $1,078
     CTRE72,916-3,168$1,078
INVESTORS BANCORP INC 134,588 -7,777 $1,075
     ISBC134,588-7,777$1,075
BOTTOMLINE TECHNOLOGIES DE 29,293 -1,482 $1,074
     EPAY29,293-1,482$1,074
CLEVELAND CLIFFS INC 271,747 +77,526 $1,073
     CLF271,747+77,526$1,073
CORNERSTONE ONDEMAND INC 33,729 -1,950 $1,071
     CSOD33,729-1,950$1,071
FLOWSERVE CORP 44,699 +415 $1,068
     FLS44,699+415$1,068
CASELLA WASTE SYSTEMS INC A 27,148 -1,568 $1,060
     CWST27,148-1,568$1,060
WESTAMERICA BANCORPORATION 18,027 -893 $1,060
     WABC18,027-893$1,060
BADGER METER INC 19,724 -977 $1,057
     BMI19,724-977$1,057
UNUM GROUP 70,105 +617 $1,052
     UNM70,105+617$1,052
NIC INC 45,347 -2,248 $1,043
     EGOV45,347-2,248$1,043
FORMFACTOR INC 51,935 -2,582 $1,043
     FORM51,935-2,582$1,043
HORACE MANN EDUCATORS 28,437 -1,414 $1,041
     HMN28,437-1,414$1,041
RYMAN HOSPITALITY PROPERTIES 29,001 +257 $1,040
     RHP29,001+257$1,040
OTTER TAIL CORP 23,346 -1,348 $1,038
     OTTR23,346-1,348$1,038
ATLANTIC UNION BANKSHARES CO (AUB) 47,298 -2,733 $1,036
     AUB47,298-2,733$1,036
DORMAN PRODUCTS INC 18,753 -922 $1,036
     DORM18,753-922$1,036
APPFOLIO INC A 9,303 -538 $1,032
     APPF9,303-538$1,032
HUB GROUP INC CL A 22,336 -1,104 $1,016
     HUBG22,336-1,104$1,016
INSIGHT ENTERPRISES INC 24,115 -1,197 $1,016
     NSIT24,115-1,197$1,016
NORDSTROM INC 66,109 +2,985 $1,014
     JWN66,109+2,985$1,014
NOVAGOLD RESOURCES INC 137,028 -7,916 $1,011
     NG137,028-7,916$1,011
SUMMIT MATERIALS INC CL A 67,364 -3,109 $1,010
     SUM67,364-3,109$1,010
AMERIS BANCORP 42,455 -2,092 $1,009
     ABCB42,455-2,092$1,009
TECHNIPFMC PLC 149,651 +1,198 $1,009
     FTI149,651+1,198$1,009
FIRST FINANCIAL BANCORP 67,237 -3,334 $1,003
     FFBC67,237-3,334$1,003
FOUR CORNERS PROPERTY TRUST 53,519 -1,313 $1,001
     FCPT53,519-1,313$1,001
ALBANY INTL CORP CL A 21,076 -1,047 $998
     AIN21,076-1,047$998
HARLEY DAVIDSON INC 52,467 +490 $993
     HOG52,467+490$993
UNITED COMMUNITY BANKS GA 54,214 -2,694 $993
     UCBI54,214-2,694$993
PROGRESS SOFTWARE CORP 30,978 -1,162 $991
     PRGS30,978-1,162$991
RA PHARMACEUTICALS INC 20,601 -1,192 $989
     RARX20,601-1,192$989
MONRO INC 22,518 -1,117 $987
     MNRO22,518-1,117$987
ONTO INNOVATION INC 33,197 -1,646 $985
     NANO33,197-1,646$985
ALARM.COM HOLDINGS INC 25,244 -1,257 $982
     ALRM25,244-1,257$982
FORWARD AIR CORP 19,393 -966 $982
     FWRD19,393-966$982
SPX CORP 30,095 -1,495 $982
     SPXC30,095-1,495$982
H.B. FULLER CO. 35,038 -1,742 $979
     FUL35,038-1,742$979
TRINET GROUP INC 25,990 -1,997 $979
     TNET25,990-1,997$979
XENCOR INC 32,737 -1,618 $978
     XNCR32,737-1,618$978
KENNEDY WILSON HOLDINGS INC 72,651 -4,197 $975
     KW72,651-4,197$975
FIRST MIDWEST BANCORP INC IL 73,621 -3,646 $974
     FMBI73,621-3,646$974
LIVEPERSON INC 42,666 -2,124 $971
     LPSN42,666-2,124$971
CHEMOCENTRYX INC 24,119 -1,393 $969
     CCXI24,119-1,393$969
FGL HOLDINGS 98,860 -4,988 $969
     FG98,860-4,988$969
HILLENBRAND INC 50,338 -2,499 $962
     HI50,338-2,499$962
N B T BANCORP INC 29,473 -1,460 $955
     NBTB29,473-1,460$955
SERVISFIRST BANCSHARES INC (SFBS) 32,581 -1,627 $955
     SFBS32,581-1,627$955
GIBRALTAR INDUSTRIES INC 22,203 -14,023 $953
     ROCK22,203-14,023$953
KEMET CORP 39,272 -1,947 $949
     KEM39,272-1,947$949
CAL MAINE FOODS INC 21,554 -1,078 $948
     CALM21,554-1,078$948
PACIRA BIOSCIENCES INC 28,261 -1,401 $948
     PCRX28,261-1,401$948
CSG SYSTEMS INTL INC 22,632 -1,125 $947
     CSGS22,632-1,125$947
EVERTEC INC 41,629 -2,074 $946
     EVTC41,629-2,074$946
SIMPLY GOOD FOODS CO THE 48,853 -2,822 $941
     SMPL48,853-2,822$941
AXSOME THERAPEUTICS INC 15,985 +227 $940
     AXSM15,985+227$940
INTERCEPT PHARMACEUTICALS IN 14,894 -861 $938
     ICPT14,894-861$938
KEURIG DR PEPPER INC 38,542 +38,542 $935
     KDP38,542+38,542$935
L BRANDS INC 80,841 +753 $935
     LB80,841+753$935
IRONWOOD PHARMACEUTICALS INC 92,491 -3,746 $933
     IRWD92,491-3,746$933
AMBARELLA INC 19,159 -618 $930
     AMBA19,159-618$930
8X8 INC 66,879 -1,433 $927
     EGHT66,879-1,433$927
KORN FERRY 37,997 -2,639 $924
     KFY37,997-2,639$924
DILLARDS INC CL A 24,896 -228 $920
     DDS24,896-228$920
WINNEBAGO INDUSTRIES 33,033 +10,324 $919
     WGO33,033+10,324$919
PROASSURANCE CORP 36,712 -1,822 $918
     PRA36,712-1,822$918
MUELLER INDUSTRIES INC 38,296 -1,899 $917
     MLI38,296-1,899$917
COMFORT SYSTEMS USA INC 25,049 -1,246 $916
     FIX25,049-1,246$916
FITBIT INC A 136,944 -3,813 $912
     FIT136,944-3,813$912
MERITAGE HOMES CORP 24,900 -1,239 $909
     MTH24,900-1,239$909
WESBANCO INC 38,362 -2,216 $909
     WSBC38,362-2,216$909
APELLIS PHARMACEUTICALS INC 33,877 +3,297 $908
     APLS33,877+3,297$908
CAPITOL FEDERAL FINANCIAL IN 78,194 -4,517 $908
     CFFN78,194-4,517$908
NATIONAL VISION HOLDINGS INC 46,384 -2,681 $901
     EYE46,384-2,681$901
SJW GROUP 15,585 -900 $900
     SJW15,585-900$900
MATSON INC 29,275 -1,454 $896
     MATX29,275-1,454$896
OFFICE PROPERTIES INCOME TRU 32,867 -1,632 $896
     OPI32,867-1,632$896
AEROVIRONMENT INC 14,674 -728 $895
     AVAV14,674-728$895
BCE INC 21,800 +21,800 $891
     COM21,800+21,800$891
CORE MARK HOLDING CO INC 31,188 -1,549 $891
     CORE31,188-1,549$891
PATTERSON UTI ENERGY INC 379,285 +3,759 $891
     PTEN379,285+3,759$891
UNITI GROUP INC 147,826 -6,069 $891
     UNIT147,826-6,069$891
SKYWEST INC 34,001 -1,685 $890
     SKYW34,001-1,685$890
CUBIC CORP 21,509 -1,070 $889
     CUB21,509-1,070$889
UNIVERSAL HEALTH RLTY INCOME 8,805 -439 $888
     UHT8,805-439$888
CORE LABORATORIES N.V. 85,814 +869 $887
     CLB85,814+869$887
BIOTELEMETRY INC 22,904 -1,135 $882
     BEAT22,904-1,135$882
EMPLOYERS HOLDINGS INC 21,739 -1,081 $881
     EIG21,739-1,081$881
APERGY CORP 151,051 +1,563 $869
     APY151,051+1,563$869
LIVONGO HEALTH INC 30,466 +21,227 $869
     LVGO30,466+21,227$869
TRIP.COM GROUP LTD ADR 37,060 -2,501 $869
     TCOM37,060-2,501$869
BIOHAVEN PHARMACEUTICAL HOLD 25,327 +836 $862
     BHVN25,327+836$862
PRA GROUP INC 31,000 -1,540 $859
     PRAA31,000-1,540$859
CAVCO INDUSTRIES INC 5,923 -294 $858
     CVCO5,923-294$858
INNOVATIVE INDUSTRIAL PROPER 11,275 +3,042 $856
     IIPR11,275+3,042$856
SAFETY INSURANCE GROUP INC 10,144 -505 $856
     SAFT10,144-505$856
AMERISAFE INC 13,164 -652 $849
     AMSF13,164-652$849
STAAR SURGICAL CO 26,309 -1,520 $849
     STAA26,309-1,520$849
FIRST MERCHANTS CORP 31,951 -2,235 $846
     FRME31,951-2,235$846
INSMED INC 52,714 -3,045 $845
     INSM52,714-3,045$845
RAMBUS INC 76,073 -3,776 $844
     RMBS76,073-3,776$844
GREEN DOT CORP CLASS A 33,182 -87,805 $842
     GDOT33,182-87,805$842
CARGURUS INC 44,387 -2,564 $841
     CARG44,387-2,564$841
CARDIOVASCULAR SYSTEMS INC 23,817 -1,181 $839
     CSII23,817-1,181$839
LTC PROPERTIES INC 27,120 -1,348 $838
     LTC27,120-1,348$838
WOLVERINE WORLD WIDE INC 54,891 -2,723 $834
     WWW54,891-2,723$834
AMERICAN ASSETS TRUST INC 33,218 -1,653 $830
     AAT33,218-1,653$830
TRITON INTERNATIONAL LTD BER 32,028 -1,850 $829
     TRTN32,028-1,850$829
GLOBAL NET LEASE INC 61,891 -3,081 $827
     GNL61,891-3,081$827
GLAUKOS CORP 26,768 +2,406 $826
     GKOS26,768+2,406$826
BUILDERS FIRSTSOURCE INC 67,485 -3,900 $825
     BLDR67,485-3,900$825
SPX FLOW INC 28,874 -1,433 $821
     FLOW28,874-1,433$821
ESSENTIAL PROPERTIES REALTY 62,649 +4,337 $818
     EPRT62,649+4,337$818
REDFIN CORP 52,997 -3,063 $817
     RDFN52,997-3,063$817
APPIAN CORP 20,163 -1,166 $811
     APPN20,163-1,166$811
CHESAPEAKE UTILITIES CORP 9,461 -545 $811
     CPK9,461-545$811
PRICESMART INC 15,440 -768 $811
     PSMT15,440-768$811
FORESCOUT TECHNOLOGIES INC 25,581 -930 $808
     FSCT25,581-930$808
CROCS INC 47,431 -2,360 $806
     CROX47,431-2,360$806
BANNER CORPORATION 24,357 -1,202 $805
     BANR24,357-1,202$805
MDC HOLDINGS INC 34,703 -1,726 $805
     MDC34,703-1,726$805
XENIA HOTELS & RESORTS INC 77,915 -3,878 $803
     XHR77,915-3,878$803
OSI SYSTEMS INC 11,630 -577 $802
     OSIS11,630-577$802
NORTHWEST BANCSHARES INC (NWBI) 69,035 -3,434 $799
     NWBI69,035-3,434$799
FATE THERAPEUTICS INC 35,913 -2,075 $798
     FATE35,913-2,075$798
GREAT WESTERN BANCORP INC 38,885 -1,934 $796
     GWB38,885-1,934$796
NORWEGIAN CRUISE LINE HOLDIN 72,637 +632 $796
     NCLH72,637+632$796
LUMINEX CORP 28,894 -1,437 $795
     LMNX28,894-1,437$795
MONMOUTH REAL ESTATE INV COR 66,007 -1,678 $795
     MNR66,007-1,678$795
KODIAK SCIENCES INC 16,605 +1,841 $792
     KOD16,605+1,841$792
MOBILE MINI INC 30,212 -1,500 $792
     MINI30,212-1,500$792
B&G FOODS INC 43,705 -2,171 $791
     BGS43,705-2,171$791
CORCEPT THERAPEUTICS INC 66,534 -3,275 $791
     CORT66,534-3,275$791
MOELIS & CO CLASS A 28,113 -1,624 $790
     MC28,113-1,624$790
HD SUPPLY HOLDINGS INC 27,761 -2,402 $789
     HDS27,761-2,402$789
FIRST BANCORP PUERTO RICO 147,930 -7,344 $787
     FBP147,930-7,344$787
FIDELITY NATIONAL FINANCIAL 31,601 +27,458 $786
     FNF31,601+27,458$786
CUSHMAN & WAKEFIELD PLC 66,708 -3,855 $783
     CWK66,708-3,855$783
INDUSTRIAL LOGISTICS PROPERT 44,624 -2,216 $783
     ILPT44,624-2,216$783
IROBOT CORP 19,131 -766 $782
     IRBT19,131-766$782
APOLLO COMMERCIAL REAL ESTAT 105,052 -5,279 $779
     ARI105,052-5,279$779
RLJ LODGING TRUST 100,112 -5,784 $773
     RLJ100,112-5,784$773
SAILPOINT TECHNOLOGIES HOLDI 50,765 -2,933 $773
     SAIL50,765-2,933$773
DIAMONDROCK HOSPITALITY CO 151,982 -6,708 $772
     DRH151,982-6,708$772
WALKER & DUNLOP INC 19,146 -946 $771
     WD19,146-946$771
HANNON ARMSTRONG SUSTAINABLE 37,492 -2,168 $765
     HASI37,492-2,168$765
SHAKE SHACK INC CLASS A 20,150 -993 $760
     SHAK20,150-993$760
DRIL QUIP INC 24,895 -1,237 $759
     DRQ24,895-1,237$759
ATRICURE INC 22,495 -1,300 $756
     ATRC22,495-1,300$756
PACIFIC PREMIER BANCORP INC 40,115 -1,990 $756
     PPBI40,115-1,990$756
ADVANCED DRAINAGE SYSTEMS IN 25,688 -1,484 $756
     WMS25,688-1,484$756
KNOWLES CORP 56,408 -2,784 $755
     KN56,408-2,784$755
HOSTESS BRANDS INC 70,748 -4,088 $754
     TWNK70,748-4,088$754
KAISER ALUMINUM CORP 10,847 -539 $751
     KALU10,847-539$751
MCGRATH RENTCORP 14,332 -829 $751
     MGRC14,332-829$751
SUNRUN INC 74,368 +3,603