HoldingsChannel.com
All Stocks Held By Ameritas Investment Partners Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
VANGUARD INDEX FDS (VOO) 268,000 -1,000 $63,468
     VOO268,000-1,000$63,468
ISHARES TR (AGG) 498,918 -87,200 $57,560
     AGG498,918-87,200$57,560
MICROSOFT CORP 331,024 -6,792 $52,204
     MSFT331,024-6,792$52,204
APPLE INC 194,248 -2,882 $49,395
     AAPL194,248-2,882$49,395
AMAZON COM INC 20,434 -185 $39,840
     AMZN20,434-185$39,840
VANGUARD TAX MANAGED INTL FD (VEA) 1,182,582 +100,574 $39,425
     VEA1,182,582+100,574$39,425
VANGUARD BD INDEX FDS (BND) 354,175 -60,000 $30,228
     BND354,175-60,000$30,228
ISHARES TR (IVV) 96,367 -6,872 $24,901
     IVV96,367-6,872$24,901
ISHARES TR (IVW) 139,350 -6,705 $23,000
     IVW139,350-6,705$23,000
ISHARES TR (IVE) 217,619 +27,230 $20,946
     IVE217,619+27,230$20,946
ALPHABET INC 16,030 -393 $18,639
     GOOG16,030-393$18,639
FACEBOOK INC 104,741 -1,033 $17,470
     FB104,741-1,033$17,470
ISHARES TR (IJH) 114,342 -19,848 $16,448
     IJH114,342-19,848$16,448
ISHARES TR (IWM) 128,539 +14,300 $14,711
     IWM128,539+14,300$14,711
ALPHABET INC 10,718 -116 $12,452
     GOOGL10,718-116$12,452
INTEL CORP 224,842 -989 $12,167
     INTC224,842-989$12,167
BERKSHIRE HATHAWAY INC DEL      $11,299
     BRK.B52,877+1,780$9,667
     BRK.A6+1$1,632
VANGUARD INDEX FDS (VNQ) 161,207 +6,775 $11,260
     VNQ161,207+6,775$11,260
NVIDIA CORP 35,314 -1,870 $9,307
     NVDA35,314-1,870$9,307
CISCO SYS INC 225,499 +1,152 $8,864
     CSCO225,499+1,152$8,864
SPDR SER TR (ONEV) 140,680 +140,680 $8,754
     ONEV140,680+140,680$8,754
COSTCO WHSL CORP NEW 30,025 -3,153 $8,561
     COST30,025-3,153$8,561
PROCTER & GAMBLE CO 77,811 +1,556 $8,558
     PG77,811+1,556$8,558
JPMORGAN CHASE & CO 93,614 -2,262 $8,427
     JPM93,614-2,262$8,427
MASTERCARD INC 34,801 -1,634 $8,405
     MA34,801-1,634$8,405
PAYPAL HLDGS INC 86,488 -808 $8,279
     PYPL86,488-808$8,279
COMCAST CORP NEW 231,631 +827 $7,962
     CMCSA231,631+827$7,962
UNITEDHEALTH GROUP INC 31,394 -283 $7,828
     UNH31,394-283$7,828
MERCK & CO. INC 99,427 -1,397 $7,649
     MRK99,427-1,397$7,649
VANGUARD INTL EQUITY INDEX F (VWO) 227,817 +7,202 $7,643
     VWO227,817+7,202$7,643
ISHARES TR (MUB) 67,487 -88 $7,626
     MUB67,487-88$7,626
ILLUMINA INC      $7,460
     ILMN15,056-89$4,111
     CONV3,500,000+1,000,000$3,349
JOHNSON & JOHNSON 56,398 -1,829 $7,395
     JNJ56,398-1,829$7,395
ADOBE INC 23,211 +3,519 $7,386
     ADBE23,211+3,519$7,386
NEXTERA ENERGY INC 30,158 +100 $7,256
     NEE30,158+100$7,256
AKAMAI TECHNOLOGIES INC      $7,152
     CONV5,500,000UNCH$6,138
     AKAM11,087UNCH$1,014
VERIZON COMMUNICATIONS INC 132,573 +7,426 $7,122
     VZ132,573+7,426$7,122
PEPSICO INC 57,888 -515 $6,952
     PEP57,888-515$6,952
AMGEN INC 31,889 -398 $6,464
     AMGN31,889-398$6,464
COCA COLA CO 144,916 +5,795 $6,412
     KO144,916+5,795$6,412
DISNEY WALT CO 65,750 -1,161 $6,350
     DIS65,750-1,161$6,350
LILLY ELI & CO 44,348 -576 $6,151
     LLY44,348-576$6,151
NETFLIX INC 15,941 -162 $5,986
     NFLX15,941-162$5,986
BK OF AMERICA CORP 277,786 +313 $5,896
     BAC277,786+313$5,896
ABBOTT LABS 74,528 +289 $5,880
     ABT74,528+289$5,880
BROADCOM INC 24,410 -335 $5,787
     AVGO24,410-335$5,787
CHEVRON CORP NEW 75,890 +4,669 $5,497
     CVX75,890+4,669$5,497
VANGUARD SCOTTSDALE FDS (VCIT) 63,047 -2,996 $5,490
     VCIT63,047-2,996$5,490
SELECT SECTOR SPDR TR (XLF) 261,595 +16,960 $5,446
     XLF261,595+16,960$5,446
CSG SYS INTL INC      $5,278
     CONV5,100,000UNCH$5,155
     CSGS2,940+170$123
UNION PAC CORP 36,347 -158 $5,126
     UNP36,347-158$5,126
VISA INC 31,300 -696 $5,043
     V31,300-696$5,043
VANGUARD BD INDEX FDS (BIV) 55,535 -381 $4,960
     BIV55,535-381$4,960
INTUITIVE SURGICAL INC 9,750 -72 $4,827
     ISRG9,750-72$4,827
KAMAN CORP      $4,815
     CONV4,850,000UNCH$4,721
     KAMN2,432UNCH$94
HONEYWELL INTL INC 35,945 +891 $4,807
     HON35,945+891$4,807
AT&T INC 164,229 -20,325 $4,787
     T164,229-20,325$4,787
LOWES COS INC 55,295 -296 $4,757
     LOW55,295-296$4,757
AUTOMATIC DATA PROCESSING IN 34,228 +410 $4,678
     ADP34,228+410$4,678
DANAHER CORPORATION 33,663 +497 $4,658
     DHR33,663+497$4,658
BRISTOL MYERS SQUIBB CO      $4,629
     BMY82,983+1,017$4,625
     Rights Warrants1,200UNCH$4
INTERNATIONAL BUSINESS MACHS 41,436 +22,201 $4,596
     IBM41,436+22,201$4,596
STARBUCKS CORP 67,713 +57 $4,450
     SBUX67,713+57$4,450
TYLER TECHNOLOGIES INC 14,996 UNCH $4,447
     TYL14,996UNCH$4,447
S&P GLOBAL INC 18,055 -425 $4,424
     SPGI18,055-425$4,424
COWEN INC      $4,377
     CONV4,800,000+3,300,000$4,353
     COWN2,526+378$24
VERTEX PHARMACEUTICALS INC 18,249 -1,449 $4,341
     VRTX18,249-1,449$4,341
FORTIVE CORP      $4,122
     CONV4,150,000+4,150,000$3,846
     FTV5,008UNCH$276
SPDR S&P 500 ETF TR (SPY) 14,934 -3,058 $3,848
     SPY14,934-3,058$3,848
ACTIVISION BLIZZARD INC 62,486 +1,465 $3,715
     ATVI62,486+1,465$3,715
HOME DEPOT INC 19,492 -109 $3,639
     HD19,492-109$3,639
EDWARDS LIFESCIENCES CORP 18,912 -256 $3,566
     EW18,912-256$3,566
DOMINOS PIZZA INC 10,884 -588 $3,527
     DPZ10,884-588$3,527
BROWN & BROWN INC 96,689 +3,800 $3,502
     BRO96,689+3,800$3,502
FACTSET RESH SYS INC 13,243 UNCH $3,451
     FDS13,243UNCH$3,451
GILEAD SCIENCES INC 46,069 -253 $3,444
     GILD46,069-253$3,444
TEXAS INSTRS INC 34,420 -342 $3,439
     TXN34,420-342$3,439
MCCORMICK & CO INC 24,306 -1,403 $3,432
     MKC24,306-1,403$3,432
AMEDISYS INC 18,629 -9 $3,419
     AMED18,629-9$3,419
WEST PHARMACEUTICAL SVSC INC 22,345 +1,500 $3,402
     WST22,345+1,500$3,402
WALMART INC 29,291 -230 $3,327
     WMT29,291-230$3,327
EXXON MOBIL CORP 86,517 -833 $3,284
     XOM86,517-833$3,284
CARLISLE COS INC 26,196 UNCH $3,281
     CSL26,196UNCH$3,281
II VI INC      $3,253
     CONV2,540,000UNCH$2,326
     IIVI32,531+242$927
GREENBRIER COS INC      $3,235
     CONV3,950,000UNCH$3,184
     GBX2,874+246$51
BLACKROCK INC 7,314 -98 $3,217
     BLK7,314-98$3,217
AIR PRODS & CHEMS INC 16,038 -342 $3,200
     APD16,038-342$3,200
COLGATE PALMOLIVE CO 48,069 +228 $3,189
     CL48,069+228$3,189
TERADYNE INC 57,502 UNCH $3,114
     TER57,502UNCH$3,114
TJX COS INC NEW 64,768 -1,024 $3,096
     TJX64,768-1,024$3,096
PFIZER INC 94,176 -2,068 $3,074
     PFE94,176-2,068$3,074
ISHARES TR (IJJ) 27,990 +6,950 $3,071
     IJJ27,990+6,950$3,071
ESSENTIAL UTILS INC 75,204 +75,204 $3,059
     WTRG75,204+75,204$3,059
PROSPECT CAPITAL CORPORATION      $3,051
     CONV3,590,000+3,590,000$3,051
TELEDYNE TECHNOLOGIES INC 10,229 UNCH $3,041
     TDY10,229UNCH$3,041
CHARTER COMMUNICATIONS INC N 6,865 -31 $2,995
     CHTR6,865-31$2,995
VANGUARD SCOTTSDALE FDS (VCSH) 37,460 +6,180 $2,963
     VCSH37,460+6,180$2,963
MCDONALDS CORP 17,671 -676 $2,921
     MCD17,671-676$2,921
CAMDEN PPTY TR 36,859 UNCH $2,920
     CPT36,859UNCH$2,920
ISHARES TR (IGIB) 52,855 -4,964 $2,902
     IGIB52,855-4,964$2,902
LUMENTUM HLDGS INC 38,915 -165 $2,867
     LITE38,915-165$2,867
AMERICAN TOWER CORP NEW 13,063 -264 $2,843
     AMT13,063-264$2,843
QUALCOMM INC 41,951 -430 $2,838
     QCOM41,951-430$2,838
US BANCORP DEL 81,828 +1,469 $2,818
     USB81,828+1,469$2,818
COMMERCE BANCSHARES INC (CBSH) 55,489 UNCH $2,794
     CBSH55,489UNCH$2,794
MONDELEZ INTL INC 55,454 -280 $2,777
     MDLZ55,454-280$2,777
PRICELINE GRP INC      $2,731
     CONV2,740,000UNCH$2,731
EATON CORP PLC 34,945 +353 $2,714
     ETN34,945+353$2,714
HUBBELL INC 23,554 UNCH $2,702
     HUBB23,554UNCH$2,702
CYRUSONE INC 43,280 +2 $2,672
     CONE43,280+2$2,672
ABBVIE INC 35,011 -496 $2,667
     ABBV35,011-496$2,667
RPM INTL INC 44,362 UNCH $2,638
     RPM44,362UNCH$2,638
CHARLES RIV LABS INTL INC 20,895 UNCH $2,637
     CRL20,895UNCH$2,637
KEYSIGHT TECHNOLOGIES INC 31,510 +797 $2,636
     KEYS31,510+797$2,636
MEDTRONIC PLC 29,235 -3,014 $2,635
     MDT29,235-3,014$2,635
LANCASTER COLONY CORP 17,988 +350 $2,601
     LANC17,988+350$2,601
NATIONAL FUEL GAS CO N J 69,697 UNCH $2,599
     NFG69,697UNCH$2,599
GENERAL DYNAMICS CORP 19,538 -408 $2,585
     GD19,538-408$2,585
WILLIS TOWERS WATSON PLC LTD 15,216 -281 $2,583
     WLTW15,216-281$2,583
RELIANCE STEEL & ALUMINUM CO 28,896 UNCH $2,531
     RS28,896UNCH$2,531
SERVICE CORP INTL 64,545 UNCH $2,524
     SCI64,545UNCH$2,524
STANLEY BLACK & DECKER INC 25,147 +470 $2,515
     SWK25,147+470$2,515
MEDICAL PPTYS TRUST INC 145,130 UNCH $2,509
     MPW145,130UNCH$2,509
FAIR ISAAC CORP 8,123 UNCH $2,499
     FICO8,123UNCH$2,499
BIO TECHNE CORP 13,184 UNCH $2,499
     TECH13,184UNCH$2,499
FEDEX CORP 20,582 +5,695 $2,495
     FDX20,582+5,695$2,495
SONOCO PRODS CO 53,312 UNCH $2,470
     SON53,312UNCH$2,470
MOLINA HEALTHCARE INC 17,586 UNCH $2,457
     MOH17,586UNCH$2,457
NATIONAL RETAIL PROPERTIES I 75,741 UNCH $2,438
     NNN75,741UNCH$2,438
MASIMO CORP 13,760 UNCH $2,437
     MASI13,760UNCH$2,437
NATIONAL HEALTH INVS INC      $2,436
     CONV2,238,000+488,000$2,249
     NHI3,785+107$187
CYPRESS SEMICONDUCTOR CORP 103,585 UNCH $2,416
     CY103,585UNCH$2,416
CERNER CORP 37,168 +557 $2,340
     CERN37,168+557$2,340
CABLE ONE INC 1,419 UNCH $2,333
     CABO1,419UNCH$2,333
MONSTER BEVERAGE CORP NEW 41,313 -3,631 $2,323
     MNST41,313-3,631$2,323
ATMOS ENERGY CORP 23,382 +3,352 $2,319
     ATO23,382+3,352$2,319
SPDR SER TR (JNK) 24,080 -403 $2,281
     JNK24,080-403$2,281
GRACO INC 46,778 UNCH $2,279
     GGG46,778UNCH$2,279
CASEYS GEN STORES INC 17,193 +300 $2,277
     CASY17,193+300$2,277
RENAISSANCERE HOLDINGS LTD 15,249 UNCH $2,276
     RNR15,249UNCH$2,276
CATALENT INC 43,574 +2,300 $2,264
     CTLT43,574+2,300$2,264
ROPER TECHNOLOGIES INC 7,235 UNCH $2,254
     ROP7,235UNCH$2,254
LINCOLN ELEC HLDGS INC 32,651 UNCH $2,252
     LECO32,651UNCH$2,252
CULLEN FROST BANKERS INC 40,353 +1 $2,250
     CFR40,353+1$2,250
GENTEX CORP 101,253 UNCH $2,243
     GNTX101,253UNCH$2,243
ALLEGHANY CORP DEL 4,037 UNCH $2,230
     Y4,037UNCH$2,230
TRIMBLE INC 69,877 UNCH $2,224
     TRMB69,877UNCH$2,224
OGE ENERGY CORP 72,345 UNCH $2,222
     OGE72,345UNCH$2,222
POOL CORPORATION 11,284 UNCH $2,220
     POOL11,284UNCH$2,220
DEERE & CO 15,944 -430 $2,202
     DE15,944-430$2,202
WESTERN DIGITAL CORP.      $2,196
     CONV2,000,000UNCH$1,739
     WDC10,974UNCH$457
FISERV INC 22,868 -297 $2,172
     FISV22,868-297$2,172
INTUIT 9,435 -96 $2,170
     INTU9,435-96$2,170
NORDSON CORP 15,851 UNCH $2,140
     NDSN15,851UNCH$2,140
GENERAC HLDGS INC 22,925 +17,696 $2,136
     GNRC22,925+17,696$2,136
MERCURY SYS INC 29,920 +9,503 $2,134
     MRCY29,920+9,503$2,134
BIO RAD LABS INC 6,077 UNCH $2,130
     BIO6,077UNCH$2,130
MICROCHIP TECHNOLOGY INC      $2,126
     CONV1,500,000-750,000$1,539
     MCHP8,662-213$587
WALGREENS BOOTS ALLIANCE INC 46,344 -273 $2,118
     WBA46,344-273$2,118
CATERPILLAR INC DEL 18,212 +276 $2,112
     CAT18,212+276$2,112
PRUDENTIAL FINL INC 40,405 -127 $2,106
     PRU40,405-127$2,106
SALESFORCE COM INC 14,588 -295 $2,100
     CRM14,588-295$2,100
BLACK HILLS CORP 32,792 +79 $2,099
     BKH32,792+79$2,099
PROLOGIS INC. 26,107 +1,166 $2,097
     PLD26,107+1,166$2,097
DIGITAL RLTY TR INC 15,068 +723 $2,091
     DLR15,068+723$2,091
BOOKING HLDGS INC 1,541 -7 $2,073
     BKNG1,541-7$2,073
BIOGEN INC 6,540 -67 $2,069
     BIIB6,540-67$2,069
REINSURANCE GRP OF AMERICA I 24,587 -1,500 $2,068
     RGA24,587-1,500$2,068
FIRST AMERN FINL CORP 48,485 UNCH $2,056
     FAF48,485UNCH$2,056
SHERWIN WILLIAMS CO 4,443 -15 $2,041
     SHW4,443-15$2,041
COGNEX CORP 47,933 UNCH $2,024
     CGNX47,933UNCH$2,024
SEI INVESTMENTS CO 43,400 UNCH $2,010
     SEIC43,400UNCH$2,010
NORTHERN TR CORP 26,388 +3,083 $1,991
     NTRS26,388+3,083$1,991
ORACLE CORP 41,216 -37,926 $1,991
     ORCL41,216-37,926$1,991
CHURCHILL DOWNS INC 19,323 -2,491 $1,989
     CHDN19,323-2,491$1,989
COUSINS PPTYS INC 67,883 UNCH $1,986
     CUZ67,883UNCH$1,986
UGI CORP NEW 73,553 UNCH $1,960
     UGI73,553UNCH$1,960
CHEMED CORP NEW 4,500 UNCH $1,949
     CHE4,500UNCH$1,949
TORO CO 29,899 UNCH $1,946
     TTC29,899UNCH$1,946
MARRIOTT INTL INC NEW 25,799 -363 $1,929
     MAR25,799-363$1,929
NEW YORK CMNTY BANCORP INC      $1,917
     NYCB132,101UNCH$1,240
     NYCB.PRU16,400UNCH$677
PARKER HANNIFIN CORP 14,700 +147 $1,906
     PH14,700+147$1,906
MONOLITHIC PWR SYS INC 11,367 UNCH $1,904
     MPWR11,367UNCH$1,904
TESLA INC 3,632 +20 $1,902
     TSLA3,632+20$1,902
PHILIP MORRIS INTL INC 25,943 -568 $1,892
     PM25,943-568$1,892
ADVANCED MICRO DEVICES INC 41,563 +686 $1,890
     AMD41,563+686$1,890
HILL ROM HLDGS INC 18,725 UNCH $1,884
     HRC18,725UNCH$1,884
THERMO FISHER SCIENTIFIC INC 6,642 -147 $1,883
     TMO6,642-147$1,883
MDU RES GROUP INC 87,590 +6,801 $1,882
     MDU87,590+6,801$1,882
T MOBILE US INC 22,376 UNCH $1,877
     TMUS22,376UNCH$1,877
JONES LANG LASALLE INC 18,554 UNCH $1,874
     JLL18,554UNCH$1,874
WELLS FARGO CO NEW 65,307 -1,304 $1,874
     WFC65,307-1,304$1,874
HAEMONETICS CORP 18,590 -99 $1,853
     HAE18,590-99$1,853
BALL CORP 28,337 -1,948 $1,831
     BLL28,337-1,948$1,831
WEX INC 17,442 UNCH $1,823
     WEX17,442UNCH$1,823
PTC INC 29,300 UNCH $1,793
     PTC29,300UNCH$1,793
LENNOX INTL INC 9,835 UNCH $1,788
     LII9,835UNCH$1,788
APTARGROUP INC 17,930 UNCH $1,785
     ATR17,930UNCH$1,785
BROWN FORMAN CORP      $1,774
     BF.B31,983+2,110$1,774
BECTON DICKINSON & CO 7,719 -90 $1,773
     BDX7,719-90$1,773
ENCOMPASS HEALTH CORP 27,655 UNCH $1,771
     EHC27,655UNCH$1,771
LAMAR ADVERTISING CO NEW 34,124 UNCH $1,749
     LAMR34,124UNCH$1,749
ISHARES TR (IWF) 11,610 +8,980 $1,748
     IWF11,610+8,980$1,748
OLD REP INTL CORP 114,492 +3 $1,745
     ORI114,492+3$1,745
KILROY RLTY CORP 27,355 UNCH $1,743
     KRC27,355UNCH$1,743
TREX CO INC 21,640 +104 $1,734
     TREX21,640+104$1,734
CIENA CORP 43,389 UNCH $1,727
     CIEN43,389UNCH$1,727
ACCENTURE PLC IRELAND 10,578 -233 $1,726
     ACN10,578-233$1,726
DONALDSON INC 44,698 UNCH $1,726
     DCI44,698UNCH$1,726
GLOBUS MED INC 40,560 +171 $1,724
     GMED40,560+171$1,724
PNC FINL SVCS GROUP INC 17,848 -410 $1,708
     PNC17,848-410$1,708
REPLIGEN CORP 17,664 +28 $1,705
     RGEN17,664+28$1,705
TECH DATA CORP 13,030 +42 $1,705
     TECD13,030+42$1,705
ARROW ELECTRS INC 32,745 UNCH $1,698
     ARW32,745UNCH$1,698
NIKE INC 20,493 -459 $1,696
     NKE20,493-459$1,696
MICRON TECHNOLOGY INC 40,124 -409 $1,688
     MU40,124-409$1,688
REGENERON PHARMACEUTICALS 3,454 -57 $1,687
     REGN3,454-57$1,687
ROSS STORES INC 19,392 -168 $1,685
     ROST19,392-168$1,685
LANDSTAR SYS INC 17,401 UNCH $1,668
     LSTR17,401UNCH$1,668
OMEGA HEALTHCARE INVS INC 62,329 UNCH $1,653
     OHI62,329UNCH$1,653
FTI CONSULTING INC 13,739 -6 $1,646
     FCN13,739-6$1,646
ONE GAS INC 19,455 -14 $1,627
     OGS19,455-14$1,627
AECOM 54,359 UNCH $1,622
     ACM54,359UNCH$1,622
CSX CORP 28,278 -288 $1,620
     CSX28,278-288$1,620
EOG RES INC 44,958 -48 $1,614
     EOG44,958-48$1,614
ROYAL GOLD INC 18,397 UNCH $1,614
     RGLD18,397UNCH$1,614
CREE INC 45,437 UNCH $1,610
     CREE45,437UNCH$1,610
NEW JERSEY RES 47,043 +538 $1,597
     NJR47,043+538$1,597
ECOLAB INC 10,096 -311 $1,572
     ECL10,096-311$1,572
UNIVERSAL DISPLAY CORP 11,892 UNCH $1,567
     OLED11,892UNCH$1,567
ESSEX PPTY TR INC 7,116 +175 $1,566
     ESS7,116+175$1,566
FIRST INDL RLTY TR INC 46,957 +176 $1,560
     FR46,957+176$1,560
MSA SAFETY INC 15,324 +79 $1,550
     MSA15,324+79$1,550
LINDE PLC 8,955 -187 $1,549
     LIN8,955-187$1,549
AXON ENTERPRISE INC 21,863 +22 $1,547
     AAXN21,863+22$1,547
POST HLDGS INC 18,642 UNCH $1,547
     POST18,642UNCH$1,547
RLI CORP 17,508 -32 $1,539
     RLI17,508-32$1,539
PHILLIPS 66 28,692 +7,539 $1,538
     PSX28,692+7,539$1,538
APPLIED MATLS INC 33,481 -489 $1,534
     AMAT33,481-489$1,534
ISHARES TR (IJR) 27,327 +57 $1,533
     IJR27,327+57$1,533
CITIGROUP INC 36,252 -650 $1,527
     C36,252-650$1,527
3M CO 11,002 -1,715 $1,501
     MMM11,002-1,715$1,501
OLD DOMINION FREIGHT LINE IN 11,400 +3,800 $1,496
     ODFL11,400+3,800$1,496
STIFEL FINL CORP 36,181 +191 $1,493
     SF36,181+191$1,493
CACI INTL INC 7,033 UNCH $1,485
     CACI7,033UNCH$1,485
EASTGROUP PPTY INC 14,181 +141 $1,482
     EGP14,181+141$1,482
AMERICAN FINL GROUP INC OHIO 21,108 UNCH $1,479
     AFG21,108UNCH$1,479
EXELIXIS INC 85,617 UNCH $1,474
     EXEL85,617UNCH$1,474
PRA HEALTH SCIENCES INC 17,749 UNCH $1,474
     PRAH17,749UNCH$1,474
DISCOVER FINL SVCS 41,069 +2,703 $1,464
     DFS41,069+2,703$1,464
PENUMBRA INC 9,051 UNCH $1,460
     PEN9,051UNCH$1,460
WATSCO INC 9,218 UNCH $1,457
     WSO9,218UNCH$1,457
LOCKHEED MARTIN CORP 4,230 -88 $1,433
     LMT4,230-88$1,433
TETRA TECH INC NEW 20,296 +71 $1,433
     TTEK20,296+71$1,433
INGREDION INC 18,861 UNCH $1,424
     INGR18,861UNCH$1,424
DOUGLAS EMMETT INC 46,563 UNCH $1,421
     DEI46,563UNCH$1,421
CERIDIAN HCM HLDG INC 28,369 +190 $1,420
     CDAY28,369+190$1,420
SCIENCE APPLICATNS INTL CP N 19,006 +166 $1,418
     SAIC19,006+166$1,418
CARTERS INC 21,382 UNCH $1,405
     CRI21,382UNCH$1,405
CIRRUS LOGIC INC 21,294 -5 $1,398
     CRUS21,294-5$1,398
SOUTHWEST GAS HOLDINGS INC 20,090 -9 $1,397
     SWX20,090-9$1,397
SPIRE INC 18,696 -8 $1,392
     SR18,696-8$1,392
UNITED TECHNOLOGIES CORP 14,763 -15,754 $1,392
     UTX14,763-15,754$1,392
DECKERS OUTDOOR CORP 10,343 +81 $1,386
     DECK10,343+81$1,386
SPDR S&P MIDCAP 400 ETF TR (MDY) 5,260 -13,000 $1,382
     MDY5,260-13,000$1,382
HEALTHCARE RLTY TR 49,277 +591 $1,376
     HR49,277+591$1,376
FULTON FINL CORP PA 119,631 UNCH $1,374
     FULT119,631UNCH$1,374
MAXIMUS INC 23,587 +1 $1,373
     MMS23,587+1$1,373
SILICON LABORATORIES INC 16,070 +145 $1,373
     SLAB16,070+145$1,373
STEEL DYNAMICS INC 60,619 UNCH $1,366
     STLD60,619UNCH$1,366
F M C CORP 16,710 +730 $1,363
     FMC16,710+730$1,363
BOEING CO 9,073 -5,829 $1,353
     BA9,073-5,829$1,353
MANPOWERGROUP INC 25,538 UNCH $1,352
     MAN25,538UNCH$1,352
TREEHOUSE FOODS INC 30,485 UNCH $1,345
     THS30,485UNCH$1,345
HELEN OF TROY CORP LTD 9,287 -4 $1,338
     HELE9,287-4$1,338
FIRST FINL BANKSHARES (FFIN) 49,702 -42 $1,334
     FFIN49,702-42$1,334
TIMKEN CO 41,114 UNCH $1,329
     TKR41,114UNCH$1,329
ILLINOIS TOOL WKS INC 9,345 -986 $1,327
     ITW9,345-986$1,327
HAWAIIAN ELEC INDUSTRIES 30,801 UNCH $1,326
     HE30,801UNCH$1,326
HEALTHEQUITY INC 26,026 +20 $1,317
     HQY26,026+20$1,317
KEMPER CORP DEL 17,700 UNCH $1,316
     KMPR17,700UNCH$1,316
CHUBB LIMITED 11,736 -153 $1,310
     CB11,736-153$1,310
ALTRIA GROUP INC 33,790 -693 $1,306
     MO33,790-693$1,306
ISHARES TR (IGOV) 26,443 -1,427 $1,303
     IGOV26,443-1,427$1,303
CONOCOPHILLIPS 42,237 +284 $1,300
     COP42,237+284$1,300
SILGAN HOLDINGS INC 44,797 UNCH $1,299
     SLGN44,797UNCH$1,299
ISHARES TR (EFA) 24,265 +6,531 $1,297
     EFA24,265+6,531$1,297
EXELON CORP 35,233 -630 $1,297
     EXC35,233-630$1,297
J2 GLOBAL INC 17,304 +102 $1,295
     JCOM17,304+102$1,295
UNITED BANKSHARES INC WEST V (UBSI) 55,972 +1,753 $1,291
     UBSI55,972+1,753$1,291
EMCOR GROUP INC 20,857 +110 $1,279
     EME20,857+110$1,279
ETSY INC 33,234 UNCH $1,278
     ETSY33,234UNCH$1,278
PROSPERITY BANCSHARES INC (PB) 26,478 UNCH $1,278
     PB26,478UNCH$1,278
STERIS PLC 9,115 UNCH $1,275
     STE9,115UNCH$1,275
CVS HEALTH CORP 21,421 -483 $1,271
     CVS21,421-483$1,271
XPO LOGISTICS INC 26,055 +26,055 $1,270
     XPO26,055+26,055$1,270
MORGAN STANLEY 37,290 -1,335 $1,267
     MS37,290-1,335$1,267
LAM RESEARCH CORP 5,258 -68 $1,262
     LRCX5,258-68$1,262
WILLIAMS SONOMA INC 29,668 UNCH $1,261
     WSM29,668UNCH$1,261
FIDELITY NATL INFORMATION SV 10,347 -122 $1,258
     FIS10,347-122$1,258
CORTEVA INC 53,570 +1,527 $1,257
     CTVA53,570+1,527$1,257
LEAR CORP 15,434 UNCH $1,254
     LEA15,434UNCH$1,254
MKS INSTRS INC 15,400 UNCH $1,254
     MKSI15,400UNCH$1,254
STERICYCLE INC 25,765 UNCH $1,252
     SRCL25,765UNCH$1,252
IDACORP INC 14,245 UNCH $1,251
     IDA14,245UNCH$1,251
NEW YORK TIMES CO 40,626 UNCH $1,248
     NYT40,626UNCH$1,248
LIFE STORAGE INC 13,186 UNCH $1,247
     LSI13,186UNCH$1,247
AUTODESK INC 7,966 -140 $1,243
     ADSK7,966-140$1,243
DUNKIN BRANDS GROUP INC 23,380 UNCH $1,241
     DNKN23,380UNCH$1,241
ULTA BEAUTY INC 7,044 -1,275 $1,237
     ULTA7,044-1,275$1,237
CABOT MICROELECTRONICS CORP 10,792 +52 $1,232
     CCMP10,792+52$1,232
OSHKOSH CORP 19,088 UNCH $1,228
     OSK19,088UNCH$1,228
CORESITE RLTY CORP 10,570 UNCH $1,225
     COR10,570UNCH$1,225
BOSTON BEER INC 3,331 UNCH $1,224
     SAM3,331UNCH$1,224
TELEFLEX INCORPORATED 4,180 -45 $1,224
     TFX4,180-45$1,224
SIGNATURE BK NEW YORK N Y 15,143 UNCH $1,217
     SBNY15,143UNCH$1,217
ANALOG DEVICES INC 13,349 -136 $1,197
     ADI13,349-136$1,197
WOODWARD INC 20,108 UNCH $1,195
     WWD20,108UNCH$1,195
ASHLAND GLOBAL HLDGS INC 23,793 UNCH $1,191
     ASH23,793UNCH$1,191
OWENS CORNING NEW 30,512 UNCH $1,184
     OC30,512UNCH$1,184
DUKE REALTY CORP 36,443 UNCH $1,179
     DRE36,443UNCH$1,179
UNITED THERAPEUTICS CORP DEL 12,394 UNCH $1,175
     UTHR12,394UNCH$1,175
ISHARES TR (IGE) 70,395 -1,412 $1,170
     IGE70,395-1,412$1,170
ALLETE INC 19,236 +101 $1,167
     ALE19,236+101$1,167
DARLING INGREDIENTS INC 60,781 +46,465 $1,165
     DAR60,781+46,465$1,165
TAKE TWO INTERACTIVE SOFTWAR 9,828 -162 $1,165
     TTWO9,828-162$1,165
XCEL ENERGY INC 19,243 -368 $1,160
     XEL19,243-368$1,160
NEWELL BRANDS INC 87,317 -336 $1,158
     NWL87,317-336$1,158
GENERAL ELECTRIC CO 144,584 -2,862 $1,147
     GE144,584-2,862$1,147
SCOTTS MIRACLE GRO CO 11,201 UNCH $1,146
     SMG11,201UNCH$1,146
PRICE T ROWE GROUP INC 11,750 -173 $1,146
     TROW11,750-173$1,146
INTERCONTINENTAL EXCHANGE IN (ICE) 14,165 -187 $1,144
     ICE14,165-187$1,144
SPDR SER TR (XBI) 14,745 UNCH $1,141
     XBI14,745UNCH$1,141
CDK GLOBAL INC 34,740 -4,800 $1,140
     CDK34,740-4,800$1,140
LOGMEIN INC 13,692 UNCH $1,140
     LOGM13,692UNCH$1,140
KNIGHT SWIFT TRANSN HLDGS IN 34,701 UNCH $1,138
     KNX34,701UNCH$1,138
FIRSTCASH INC 15,789 -90 $1,132
     FCFS15,789-90$1,132
POLYONE CORP 59,447 +8,776 $1,127
     POL59,447+8,776$1,127
BJS WHSL CLUB HLDGS INC 44,227 UNCH $1,126
     BJ44,227UNCH$1,126
LEGG MASON INC 23,048 UNCH $1,126
     LM23,048UNCH$1,126
PNM RES INC 29,622 +167 $1,126
     PNM29,622+167$1,126
EMERSON ELEC CO 23,629 -225 $1,125
     EMR23,629-225$1,125
SOLAREDGE TECHNOLOGIES INC 13,682 +112 $1,120
     SEDG13,682+112$1,120
NORTHWESTERN CORP 18,700 +10 $1,119
     NWE18,700+10$1,119
FLOWERS FOODS INC 54,424 UNCH $1,117
     FLO54,424UNCH$1,117
CURTISS WRIGHT CORP 12,078 UNCH $1,116
     CW12,078UNCH$1,116
ITT INC 24,598 UNCH $1,116
     ITT24,598UNCH$1,116
CIGNA CORP NEW 6,248 -75 $1,107
     CI6,248-75$1,107
FIVE BELOW INC 15,734 UNCH $1,107
     FIVE15,734UNCH$1,107
POLARIS INC 22,840 UNCH $1,099
     PII22,840UNCH$1,099
ICU MED INC 5,434 UNCH $1,096
     ICUI5,434UNCH$1,096
NATIONAL INSTRS CORP 33,083 UNCH $1,094
     NATI33,083UNCH$1,094
SELECTIVE INS GROUP INC 22,019 +125 $1,094
     SIGI22,019+125$1,094
KBR INC 52,670 +297 $1,089
     KBR52,670+297$1,089
DUKE ENERGY CORP NEW 13,400 -269 $1,083
     DUK13,400-269$1,083
ARCHER DANIELS MIDLAND CO 30,778 +3 $1,082
     ADM30,778+3$1,082
AMERICAN CAMPUS CMNTYS INC 38,837 UNCH $1,078
     ACC38,837UNCH$1,078
UNITED PARCEL SERVICE INC 11,536 -258 $1,077
     UPS11,536-258$1,077
ELECTRONIC ARTS INC 10,691 UNCH $1,071
     EA10,691UNCH$1,071
CAESARS ENTMT CORP 157,089 UNCH $1,062
     CZR157,089UNCH$1,062
JBG SMITH PPTYS 33,362 UNCH $1,062
     JBGS33,362UNCH$1,062
VALLEY NATL BANCORP 145,338 +815 $1,062
     VLY145,338+815$1,062
WEBSTER FINL CORP CONN 46,299 UNCH $1,060
     WBS46,299UNCH$1,060
EAST WEST BANCORP INC 41,139 UNCH $1,059
     EWBC41,139UNCH$1,059
ARROWHEAD PHARMACEUTICALS IN 36,790 +593 $1,058
     ARWR36,790+593$1,058
TARGET CORP 11,368 -187 $1,057
     TGT11,368-187$1,057
GRUBHUB INC 25,821 UNCH $1,052
     GRUB25,821UNCH$1,052
LOUISIANA PAC CORP 61,050 -350 $1,048
     LPX61,050-350$1,048
HIGHWOODS PPTYS INC 29,318 UNCH $1,038
     HIW29,318UNCH$1,038
ACI WORLDWIDE INC 42,717 +245 $1,032
     ACIW42,717+245$1,032
GRAND CANYON ED INC 13,526 UNCH $1,032
     LOPE13,526UNCH$1,032
EATON VANCE CORP 31,997 UNCH $1,031
     EV31,997UNCH$1,031
PRIMERICA INC 11,601 UNCH $1,026
     PRI11,601UNCH$1,026
CME GROUP INC 5,928 -131 $1,025
     CME5,928-131$1,025
BLACKBAUD INC 18,291 +122 $1,016
     BLKB18,291+122$1,016
CROWN CASTLE INTL CORP NEW 6,966 -152 $1,005
     CCI6,966-152$1,005
PS BUSINESS PKS INC CALIF 7,419 UNCH $1,005
     PSB7,419UNCH$1,005
TEXAS ROADHOUSE INC 24,277 +13 $1,003
     TXRH24,277+13$1,003
HANOVER INS GROUP INC 11,049 UNCH $1,001
     THG11,049UNCH$1,001
MARKETAXESS HLDGS INC 3,010 UNCH $1,000
     MKTX3,010UNCH$1,000
EQUINIX INC 1,591 -80 $994
     EQIX1,591-80$994
NUVASIVE INC 19,353 +116 $980
     NUVA19,353+116$980
TELADOC HEALTH INC 6,325 +221 $980
     TDOC6,325+221$980
TCF FINANCIAL CORPORATION NE 43,027 UNCH $975
     TCF43,027UNCH$975
DOMINION ENERGY INC 13,469 -423 $971
     D13,469-423$971
BRINKS CO 18,594 +101 $968
     BCO18,594+101$968
ALLERGAN PLC 5,443 -173 $964
     AGN5,443-173$964
JABIL INC 38,963 UNCH $958
     JBL38,963UNCH$958
ISHARES TR (SUSC) 37,196 +6,051 $956
     SUSC37,196+6,051$956
AMERICAN EXPRESS CO 11,134 -137 $953
     AXP11,134-137$953
ACUITY BRANDS INC 11,113 UNCH $952
     AYI11,113UNCH$952
ANTHEM INC 4,137 -94 $939
     ANTM4,137-94$939
PERSPECTA INC 51,422 +419 $938
     PRSP51,422+419$938
CINTAS CORP 5,421 -336 $937
     CTAS5,421-336$937
AARONS INC 41,109 +165 $936
     AAN41,109+165$936
INTERACTIVE BROKERS GROUP IN 21,693 UNCH $936
     IBKR21,693UNCH$936
SOUTHERN CO 17,216 -566 $931
     SO17,216-566$931
PENTAIR PLC 31,271 UNCH $929
     PNR31,271UNCH$929
COGNIZANT TECHNOLOGY SOLUTIO 19,846 -369 $922
     CTSH19,846-369$922
SEMTECH CORP 24,596 UNCH $922
     SMTC24,596UNCH$922
ZOETIS INC 7,771 -176 $915
     ZTS7,771-176$915
CLOROX CO DEL 5,273 -780 $913
     CLX5,273-780$913
ZEBRA TECHNOLOGIES CORP 4,975 UNCH $913
     ZBRA4,975UNCH$913
JEFFERIES FINL GROUP INC 66,740 -4,500 $912
     JEF66,740-4,500$912
LITTELFUSE INC 6,832 UNCH $912
     LFUS6,832UNCH$912
SYNEOS HEALTH INC 23,116 +133 $911
     SYNH23,116+133$911
FASTENAL CO 29,113 +6 $908
     FAST29,113+6$908
SPDR SER TR (SDY) 11,361 -1,826 $907
     SDY11,361-1,826$907
MURPHY USA INC 10,700 +84 $903
     MUSA10,700+84$903
SANDERSON FARMS INC 7,311 UNCH $902
     SAFM7,311UNCH$902
ALZA CORP      $900
     CONV500,000UNCH$900
SKECHERS U S A INC 37,805 UNCH $897
     SKX37,805UNCH$897
ISHARES TR (SUSA) 8,173 +594 $897
     SUSA8,173+594$897
INTEGRA LIFESCIENCES HLDGS C 20,066 UNCH $896
     IART20,066UNCH$896
MANHATTAN ASSOCS INC 17,923 UNCH $893
     MANH17,923UNCH$893
ISHARES TR (SHY) 10,307 +900 $893
     SHY10,307+900$893
NEKTAR THERAPEUTICS 49,500 UNCH $884
     NKTR49,500UNCH$884
SERVICENOW INC 3,077 -113 $882
     NOW3,077-113$882
DOVER CORP 10,501 -144 $880
     DOV10,501-144$880
STRYKER CORP 5,253 -119 $875
     SYK5,253-119$875
NORTHROP GRUMMAN CORP 2,883 -92 $872
     NOC2,883-92$872
TEGNA INC 80,311 +42 $872
     TGNA80,311+42$872
EBAY INC 28,972 UNCH $871
     EBAY28,972UNCH$871
RAYONIER INC 36,640 UNCH $863
     RYN36,640UNCH$863
MATTEL INC 97,666 UNCH $860
     MAT97,666UNCH$860
KRAFT HEINZ CO 34,728 UNCH $859
     KHC34,728UNCH$859
FORD MTR CO DEL 177,740 UNCH $858
     F177,740UNCH$858
GOLDMAN SACHS GROUP INC 5,549 -118 $858
     GS5,549-118$858
SLM CORP 118,409 UNCH $851
     SLM118,409UNCH$851
TELEPHONE & DATA SYS INC 50,634 UNCH $848
     TDS50,634UNCH$848
SYNNEX CORP 11,549 UNCH $844
     SNX11,549UNCH$844
ALLIANT ENERGY CORP 17,429 UNCH $841
     LNT17,429UNCH$841
WYNDHAM HOTELS & RESORTS INC 26,692 UNCH $841
     WH26,692UNCH$841
WILEY JOHN & SONS INC      $840
     JW.A22,412+31$840
VERISK ANALYTICS INC 6,000 UNCH $836
     VRSK6,000UNCH$836
AGCO CORP 17,581 UNCH $831
     AGCO17,581UNCH$831
VERINT SYS INC 19,301 +152 $830
     VRNT19,301+152$830
PPG INDS INC 9,925 +15 $829
     PPG9,925+15$829
O REILLY AUTOMOTIVE INC NEW 2,742 -55 $825
     ORLY2,742-55$825
VANGUARD INDEX FDS (VB) 7,140 +262 $824
     VB7,140+262$824
REALTY INCOME CORP 16,546 -799 $823
     O16,546-799$823
KLA CORPORATION 5,719 -108 $822
     KLAC5,719-108$822
LIVERAMP HLDGS INC 24,975 UNCH $822
     RAMP24,975UNCH$822
AFFILIATED MANAGERS GROUP IN 13,820 UNCH $817
     AMG13,820UNCH$817
LIVANOVA PLC 18,043 +120 $816
     LIVN18,043+120$816
SABRA HEALTH CARE REIT INC 74,687 +3,862 $816
     SBRA74,687+3,862$816
GATX CORP 12,976 +120 $812
     GATX12,976+120$812
BRUNSWICK CORP 22,880 UNCH $809
     BC22,880UNCH$809
EPR PPTYS 33,169 +11,200 $803
     EPR33,169+11,200$803
BRIXMOR PPTY GROUP INC 84,187 UNCH $800
     BRX84,187UNCH$800
NEWMARKET CORP 2,087 UNCH $799
     NEU2,087UNCH$799
NVR INC 310 UNCH $796
     NVR310UNCH$796
PAYCHEX INC 12,650 +1 $795
     PAYX12,650+1$795
PEOPLES UTD FINL INC 71,684 +3 $791
     PBCT71,684+3$791
MARRIOTT VACTINS WORLDWID CO 14,174 +119 $788
     VAC14,174+119$788
ENERSYS 15,844 +115 $785
     ENS15,844+115$785
SYSCO CORP 17,131 -323 $780
     SYY17,131-323$780
POTLATCHDELTIC CORPORATION 24,803 UNCH $779
     PCH24,803UNCH$779
BOYD GAMING CORP 53,978 +24,503 $777
     BYD53,978+24,503$777
WENDYS CO 52,144 UNCH $776
     WEN52,144UNCH$776
PACCAR INC 12,664 UNCH $774
     PCAR12,664UNCH$774
FIRST SOLAR INC 21,449 UNCH $773
     FSLR21,449UNCH$773
IDEXX LABS INC 3,141 UNCH $761
     IDXX3,141UNCH$761
CINCINNATI FINL CORP 10,069 -121 $759
     CINF10,069-121$759
PINNACLE FINL PARTNERS INC 20,186 UNCH $758
     PNFP20,186UNCH$758
ISHARES TR (EFAV) 12,188 +853 $756
     EFAV12,188+853$756
HUNTINGTON INGALLS INDS INC 4,146 UNCH $755
     HII4,146UNCH$755
HORMEL FOODS CORP 16,098 UNCH $751
     HRL16,098UNCH$751
SMUCKER J M CO 6,761 -146 $750
     SJM6,761-146$750
WASHINGTON FED INC 28,874 UNCH $750
     WAFD28,874UNCH$750
JD COM INC 18,473 UNCH $748
     JD18,473UNCH$748
CLEAN HARBORS INC 14,526 UNCH $746
     CLH14,526UNCH$746
UMB FINL CORP 16,084 UNCH $746
     UMBF16,084UNCH$746
FORTINET INC 7,369 UNCH $745
     FTNT7,369UNCH$745
CRACKER BARREL OLD CTRY STOR 8,931 +69 $743
     CBRL8,931+69$743
BOSTON SCIENTIFIC CORP 22,741 -515 $742
     BSX22,741-515$742
NVENT ELECTRIC PLC 43,976 UNCH $742
     NVT43,976UNCH$742
BRIGHTHOUSE FINL INC 30,646 UNCH $741
     BHF30,646UNCH$741
MARSH & MCLENNAN COS INC 8,572 -293 $741
     MMC8,572-293$741
KIRBY CORP 16,938 UNCH $736
     KEX16,938UNCH$736
SPIRIT RLTY CAP INC NEW 28,152 UNCH $736
     SRC28,152UNCH$736
MASTEC INC 22,435 +152 $734
     MTZ22,435+152$734
VERISIGN INC 4,064 UNCH $732
     VRSN4,064UNCH$732
TPG SPECIALTY LENDING INC      $731
     CONV790,000+790,000$731
SYNOVUS FINL CORP 41,419 UNCH $727
     SNV41,419UNCH$727
JETBLUE AWYS CORP 80,972 UNCH $725
     JBLU80,972UNCH$725
TAUBMAN CTRS INC 17,301 UNCH $725
     TCO17,301UNCH$725
REGAL BELOIT CORP 11,483 UNCH $723
     RBC11,483UNCH$723
ANSYS INC 3,103 UNCH $721
     ANSS3,103UNCH$721
COHERENT INC 6,779 UNCH $721
     COHR6,779UNCH$721
EXPEDITORS INTL WASH INC 10,816 +40 $721
     EXPD10,816+40$721
ALEXION PHARMACEUTICALS INC 8,020 -198 $720
     ALXN8,020-198$720
XILINX INC 9,208 UNCH $718
     XLNX9,208UNCH$718
OLLIES BARGAIN OUTLT HLDGS I 15,463 UNCH $717
     OLLI15,463UNCH$717
GENUINE PARTS CO 10,653 +2 $716
     GPC10,653+2$716
GLOBAL PMTS INC 4,969 -137 $716
     GPN4,969-137$716
KIMBERLY CLARK CORP 5,593 -127 $715
     KMB5,593-127$715
SYNOPSYS INC 5,550 UNCH $715
     SNPS5,550UNCH$715
SYNAPTICS INC 12,309 +118 $712
     SYNA12,309+118$712
AVNET INC 28,318 UNCH $711
     AVT28,318UNCH$711
V F CORP 13,181 -188 $711
     VFC13,181-188$711
CRANE CO 14,403 UNCH $708
     CR14,403UNCH$708
VISHAY INTERTECHNOLOGY INC 49,066 UNCH $707
     VSH49,066UNCH$707
PROGRESSIVE CORP OHIO 9,539 -379 $704
     PGR9,539-379$704
WASTE MGMT INC DEL 7,618 -268 $704
     WM7,618-268$704
FIRST HORIZON NATL CORP 87,279 UNCH $703
     FHN87,279UNCH$703
CORPORATE OFFICE PPTYS TR 31,643 UNCH $700
     OFC31,643UNCH$700
ISHARES TR (IJK) 3,918 +70 $699
     IJK3,918+70$699
MSC INDL DIRECT INC 12,722 UNCH $699
     MSM12,722UNCH$699
VALVOLINE INC 53,192 UNCH $696
     VVV53,192UNCH$696
HOME BANCSHARES INC (HOMB) 57,971 +433 $695
     HOMB57,971+433$695
TRUIST FINL CORP 22,465 -704 $693
     TFC22,465-704$693
CORELOGIC INC 22,650 UNCH $692
     CLGX22,650UNCH$692
ASGN INC 19,546 +139 $690
     ASGN19,546+139$690
COMMERCIAL METALS CO 43,638 UNCH $689
     CMC43,638UNCH$689
PRESTIGE CONSMR HEALTHCARE I 18,719 +171 $687
     PBH18,719+171$687
CADENCE DESIGN SYSTEM INC 10,365 UNCH $685
     CDNS10,365UNCH$685
CNO FINL GROUP INC 55,314 -82 $685
     CNO55,314-82$685
EVERSOURCE ENERGY 8,774 +2,281 $685
     ES8,774+2,281$685
EAGLE MATERIALS INC 11,677 UNCH $682
     EXP11,677UNCH$682
FEDERATED HERMES INC 35,811 +229 $682
     FII35,811+229$682
SENSIENT TECHNOLOGIES CORP 15,665 UNCH $682
     SXT15,665UNCH$682
HUMANA INC 2,161 -49 $679
     HUM2,161-49$679
BANCORPSOUTH BK TUPELO MISS 35,827 +462 $678
     BXS35,827+462$678
UMPQUA HLDGS CORP 62,240 UNCH $678
     UMPQ62,240UNCH$678
F N B CORP 91,826 UNCH $677
     FNB91,826UNCH$677
BAXTER INTL INC 8,330 -275 $676
     BAX8,330-275$676
AMERICAN ELEC PWR CO INC 8,372 -321 $670
     AEP8,372-321$670
VALERO ENERGY CORP 14,772 +42 $670
     VLO14,772+42$670
JANUS HENDERSON GROUP PLC 43,646 UNCH $669
     JHG43,646UNCH$669
FOOT LOCKER INC 30,022 UNCH $662
     FL30,022UNCH$662
THOR INDS INC 15,569 UNCH $657
     THO15,569UNCH$657
HEALTHCARE SVCS GROUP INC 27,416 UNCH $656
     HCSG27,416UNCH$656
TOLL BROTHERS INC 33,977 -3,040 $654
     TOL33,977-3,040$654
CATHAY GEN BANCORP 28,321 +197 $650
     CATY28,321+197$650
L3HARRIS TECHNOLOGIES INC 3,607 -153 $650
     LHX3,607-153$650
ISHARES TR (PFF) 20,416 +794 $650
     PFF20,416+794$650
VALMONT INDS INC 6,115 UNCH $648
     VMI6,115UNCH$648
TERADATA CORP DEL 31,554 UNCH $647
     TDC31,554UNCH$647
DOLLAR GEN CORP NEW 4,248 UNCH $641
     DG4,248UNCH$641
DOLLAR TREE INC 8,702 UNCH $639
     DLTR8,702UNCH$639
NUCOR CORP 17,752 -544 $638
     NUE17,752-544$638
NCR CORP NEW 36,011 UNCH $637
     NCR36,011UNCH$637
NORFOLK SOUTHERN CORP 4,354 -97 $635
     NSC4,354-97$635
CITRIX SYS INC 4,459 -260 $631
     CTXS4,459-260$631
HANCOCK WHITNEY CORPORATION 32,173 +250 $628
     HWC32,173+250$628
SCHWAB CHARLES CORP 18,653 -423 $627
     SCHW18,653-423$627
BANK HAWAII CORP 11,296 UNCH $624
     BOH11,296UNCH$624
GENWORTH FINL INC 187,617 +1,879 $623
     GNW187,617+1,879$623
HOULIHAN LOKEY INC 11,962 +8,362 $623
     HLI11,962+8,362$623
SPROUTS FMRS MKT INC 33,385 UNCH $621
     SFM33,385UNCH$621
COMMVAULT SYSTEMS INC 15,301 UNCH $619
     CVLT15,301UNCH$619
AMCOR PLC 75,433 -1,955 $612
     AMCR75,433-1,955$612
RAYTHEON CO 4,667 -102 $612
     RTN4,667-102$612
RH 6,079 +40 $611
     RH6,079+40$611
WORLD FUEL SVCS CORP 24,115 UNCH $607
     INT24,115UNCH$607
NEWMONT CORP 13,376 -434 $606
     NEM13,376-434$606
PACWEST BANCORP DEL 33,411 UNCH $599
     PACW33,411UNCH$599
NETSCOUT SYS INC 25,247 UNCH $598
     NTCT25,247UNCH$598
WERNER ENTERPRISES INC 16,495 UNCH $598
     WERN16,495UNCH$598
CENTENE CORP DEL 10,022 +2,774 $595
     CNC10,022+2,774$595
BRADY CORP 13,129 -3,745 $592
     BRC13,129-3,745$592
STERLING BANCORP DEL 56,669 UNCH $592
     STL56,669UNCH$592
UNITED RENTALS INC 5,754 +200 $592
     URI5,754+200$592
HAIN CELESTIAL GROUP INC 22,682 UNCH $589
     HAIN22,682UNCH$589
GARTNER INC 5,893 UNCH $587
     IT5,893UNCH$587
VIASAT INC 16,286 UNCH $585
     VSAT16,286UNCH$585
CHEESECAKE FACTORY INC 34,161 UNCH $583
     CAKE34,161UNCH$583
CARDINAL HEALTH INC 12,122 UNCH $581
     CAH12,122UNCH$581
ISHARES TR (IEI) 4,363 -107 $581
     IEI4,363-107$581
LAUDER ESTEE COS INC 3,631 -82 $579
     EL3,631-82$579
KB HOME 31,885 +224 $577
     KBH31,885+224$577
INTERNATIONAL BANCSHARES COR (IBOC) 21,309 +243 $573
     IBOC21,309+243$573
MOODYS CORP 2,709 UNCH $573
     MCO2,709UNCH$573
ASSOCIATED BANC CORP 44,692 UNCH $572
     ASB44,692UNCH$572
BANK OZK 34,168 UNCH $571
     OZK34,168UNCH$571
COLUMBIA SPORTSWEAR CO 8,144 UNCH $568
     COLM8,144UNCH$568
ISHARES TR (SUB) 5,345 +2 $568
     SUB5,345+2$568
KENNAMETAL INC 30,475 UNCH $567
     KMT30,475UNCH$567
SPDR SER TR (SJNK) 24,070 +300 $567
     SJNK24,070+300$567
TRUSTMARK CORP 23,986 +278 $559
     TRMK23,986+278$559
COPART INC 8,157 UNCH $558
     CPRT8,157UNCH$558
DOLBY LABORATORIES INC 10,300 UNCH $558
     DLB10,300UNCH$558
TEMPUR SEALY INTL INC 12,744 UNCH $557
     TPX12,744UNCH$557
BAIDU INC 5,510 UNCH $555
     BIDU5,510UNCH$555
SKYWORKS SOLUTIONS INC 6,175 -153 $552
     SWKS6,175-153$552
WYNDHAM DESTINATIONS INC 25,440 UNCH $552
     WYND25,440UNCH$552
CHOICE HOTELS INTL INC 9,000 UNCH $551
     CHH9,000UNCH$551
TENET HEALTHCARE CORP 38,288 UNCH $551
     THC38,288UNCH$551
ENERGIZER HLDGS INC NEW 18,112 UNCH $548
     ENR18,112UNCH$548
SEMPRA ENERGY 4,851 +1 $548
     SRE4,851+1$548
ADTALEM GLOBAL ED INC 20,364 +208 $546
     ATGE20,364+208$546
GEO GROUP INC NEW 44,912 +519 $546
     GEO44,912+519$546
INGEVITY CORP 15,504 UNCH $546
     NGVT15,504UNCH$546
ISHARES TR (SUSB) 21,494 +5,346 $535
     SUSB21,494+5,346$535
TAYLOR MORRISON HOME CORP 48,608 +39,613 $535
     TMHC48,608+39,613$535
INTERDIGITAL INC 11,935 UNCH $532
     IDCC11,935UNCH$532
PARK HOTELS RESORTS INC 67,143 UNCH $531
     PK67,143UNCH$531
INCYTE CORP 7,210 -197 $528
     INCY7,210-197$528
YUM BRANDS INC 7,715 +4 $528
     YUM7,715+4$528
PEBBLEBROOK HOTEL TR 48,353 UNCH $527
     PEB48,353UNCH$527
WINTRUST FINL CORP 16,023 UNCH $527
     WTFC16,023UNCH$527
OLIN CORP 44,784 UNCH $523
     OLN44,784UNCH$523
CITIZENS FINANCIAL GROUP INC 27,793 -5,738 $522
     CFG27,793-5,738$522
ISHARES INC (EEMV) 11,140 UNCH $522
     EEMV11,140UNCH$522
GENERAL MLS INC 9,861 -495 $520
     GIS9,861-495$520
INSPERITY INC 13,883 +108 $518
     NSP13,883+108$518
BELDEN INC 14,315 UNCH $516
     BDC14,315UNCH$516
NOVOCURE LTD 7,610 +187 $512
     NVCR7,610+187$512
TRIPADVISOR INC 29,470 UNCH $512
     TRIP29,470UNCH$512
EQT CORPORATION 72,217 UNCH $511
     EQT72,217UNCH$511
PENN NATL GAMING INC 40,431 -122 $511
     PENN40,431-122$511
NUSHARES ETF TR (NUMG) 17,400 +960 $509
     NUMG17,400+960$509
MACK CALI RLTY CORP 33,207 UNCH $506
     CLI33,207UNCH$506
EVERCORE INC 10,963 UNCH $505
     EVR10,963UNCH$505
SBA COMMUNICATIONS CORP NEW 1,872 -86 $505
     SBAC1,872-86$505
VISTEON CORP 10,355 UNCH $497
     VC10,355UNCH$497
ALLSTATE CORP 5,405 UNCH $496
     ALL5,405UNCH$496
CDW CORP 5,302 UNCH $495
     CDW5,302UNCH$495
WEC ENERGY GROUP INC 5,604 -165 $494
     WEC5,604-165$494
CORECIVIC INC 44,121 UNCH $493
     CXW44,121UNCH$493
WEINGARTEN RLTY INVS 34,187 UNCH $493
     WRI34,187UNCH$493
FLIR SYS INC 15,389 -309 $490
     FLIR15,389-309$490
CONSOLIDATED EDISON INC 6,276 -234 $489
     ED6,276-234$489
PUBLIC STORAGE 2,451 -98 $487
     PSA2,451-98$487
MAXIM INTEGRATED PRODS INC 10,002 -328 $486
     MXIM10,002-328$486
EDGEWELL PERS CARE CO 20,141 +284 $485
     EPC20,141+284$485
MILLER HERMAN INC 21,846 UNCH $485
     MLHR21,846UNCH$485
PATTERSON COS INC 31,742 +361 $485
     PDCO31,742+361$485
MERCADOLIBRE INC 991 UNCH $484
     MELI991UNCH$484
COMPASS MINERALS INTL INC 12,567 UNCH $483
     CMP12,567UNCH$483
AVANOS MED INC 17,914 UNCH $482
     AVNS17,914UNCH$482
CIMAREX ENERGY CO 28,650 +26,833 $482
     XEC28,650+26,833$482
ALIGN TECHNOLOGY INC 2,768 UNCH $481
     ALGN2,768UNCH$481
AFLAC INC 13,827 -145 $473
     AFL13,827-145$473
MINERALS TECHNOLOGIES INC 13,041 +136 $473
     MTX13,041+136$473
AMERICAN EAGLE OUTFITTERS IN 59,073 UNCH $470
     AEO59,073UNCH$470
COLFAX CORP 23,614 UNCH $468
     CFX23,614UNCH$468
INVESCO QQQ TR 2,458 -13,000 $468
     QQQ2,458-13,000$468
NETEASE INC 1,454 UNCH $467
     NTES1,454UNCH$467
AUTONATION INC 16,611 UNCH $466
     AN16,611UNCH$466
LEGGETT & PLATT INC 17,482 -312 $465
     LEG17,482-312$465
LULULEMON ATHLETICA INC 2,454 UNCH $465
     LULU2,454UNCH$465
NXP SEMICONDUCTORS N V 5,571 UNCH $462
     NXPI5,571UNCH$462
PLANET FITNESS INC 9,500 UNCH $462
     PLNT9,500UNCH$462
BANK NEW YORK MELLON CORP 13,692 -310 $461
     BK13,692-310$461
CIT GROUP INC 26,660 +26,660 $460
     CIT26,660+26,660$460
ACADIA HEALTHCARE COMPANY IN 25,022 UNCH $459
     ACHC25,022UNCH$459
SABRE CORP 77,355 UNCH $459
     SABR77,355UNCH$459
WORLD WRESTLING ENTMT INC 13,448 UNCH $456
     WWE13,448UNCH$456
SIRIUS XM HLDGS INC 91,663 +1 $453
     SIRI91,663+1$453
TRI POINTE GROUP INC 51,378 UNCH $451
     TPH51,378UNCH$451
TRAVELERS COMPANIES INC 4,534 UNCH $450
     TRV4,534UNCH$450
LIGAND PHARMACEUTICALS INC 6,134 -300 $446
     LGND6,134-300$446
VANGUARD WORLD FD (ESGV) 9,692 +932 $443
     ESGV9,692+932$443
KINDER MORGAN INC DEL 31,780 -1,284 $442
     KMI31,780-1,284$442
TRINITY INDS INC 27,528 UNCH $442
     TRN27,528UNCH$442
YELP INC 24,326 UNCH $439
     YELP24,326UNCH$439
KAR AUCTION SVCS INC 36,118 UNCH $433
     KAR36,118UNCH$433
PAPA JOHNS INTL INC 8,119 UNCH $433
     PZZA8,119UNCH$433
COSTAR GROUP INC 730 UNCH $429
     CSGP730UNCH$429
HP INC 24,726 UNCH $429
     HPQ24,726UNCH$429
GENERAL MTRS CO 20,514 -649 $426
     GM20,514-649$426
WORKDAY INC 3,268 UNCH $426
     WDAY3,268UNCH$426
DELEK US HLDGS INC NEW 26,990 UNCH $425
     DK26,990UNCH$425
GRAHAM HLDGS CO 1,230 UNCH $420
     GHC1,230UNCH$420
ALLSCRIPTS HEALTHCARE SOLUTN 59,450 UNCH $419
     MDRX59,450UNCH$419
CABOT CORP 15,981 UNCH $417
     CBT15,981UNCH$417
DANA INCORPORATED 53,286 UNCH $416
     DAN53,286UNCH$416
MSCI INC 1,438 UNCH $416
     MSCI1,438UNCH$416
VANGUARD MUN BD FD INC (VTEB) 7,869 +712 $416
     VTEB7,869+712$416
ACADIA PHARMACEUTICALS INC 9,809 +134 $414
     ACAD9,809+134$414
DUPONT DE NEMOURS INC 12,087 -274 $412
     DD12,087-274$412
MOTOROLA SOLUTIONS INC 3,099 +1 $411
     MSI3,099+1$411
CHEMOURS CO 46,208 UNCH $410
     CC46,208UNCH$410
KROGER CO 13,455 UNCH $405
     KR13,455UNCH$405
DELUXE CORP 15,567 UNCH $404
     DLX15,567UNCH$404
REXFORD INDL RLTY INC 9,839 +271 $403
     REXR9,839+271$403
LENDINGTREE INC NEW 2,197 UNCH $403
     TREE2,197UNCH$403
HNI CORP 15,953 +173 $402
     HNI15,953+173$402
RYDER SYS INC 15,075 UNCH $399
     R15,075UNCH$399
FIVE9 INC 5,207 -13 $398
     FIVN5,207-13$398
ALLEGHENY TECHNOLOGIES INC 46,664 UNCH $397
     ATI46,664UNCH$397
HCA HEALTHCARE INC 4,414 UNCH $397
     HCA4,414UNCH$397
STATE STR CORP 7,437 -435 $395
     STT7,437-435$395
SEATTLE GENETICS INC 3,416 UNCH $394
     SGEN3,416UNCH$394
IHS MARKIT LTD 6,542 -218 $393
     INFO6,542-218$393
CONSTELLATION BRANDS INC 2,733 -84 $392
     STZ2,733-84$392
METLIFE INC 12,800 -289 $391
     MET12,800-289$391
ASML HOLDING N V 1,476 UNCH $386
     ASML1,476UNCH$386
COLONY CAP INC      $385
     CONV470,000UNCH$385
DICKS SPORTING GOODS INC 18,147 UNCH $385
     DKS18,147UNCH$385
CAPITAL ONE FINL CORP 7,598 -173 $383
     COF7,598-173$383
GOODYEAR TIRE & RUBR CO 65,723 UNCH $383
     GT65,723UNCH$383
PORTLAND GEN ELEC CO 7,977 +120 $382
     POR7,977+120$382
SPLUNK INC 3,016 UNCH $381
     SPLK3,016UNCH$381
URBAN EDGE PPTYS 42,828 +493 $377
     UE42,828+493$377
CHEGG INC 10,520 +354 $376
     CHGG10,520+354$376
C H ROBINSON WORLDWIDE INC 5,680 UNCH $376
     CHRW5,680UNCH$376
FEDERAL REALTY INVT TR 5,046 -126 $376
     FRT5,046-126$376
SCHLUMBERGER LTD 27,766 -26,886 $374
     SLB27,766-26,886$374
AGILENT TECHNOLOGIES INC 5,213 UNCH $373
     A5,213UNCH$373
CANTEL MEDICAL CORP 10,388 UNCH $373
     CMD10,388UNCH$373
EDISON INTL 6,816 -355 $373
     EIX6,816-355$373
INVESCO EXCHANGE TRADED FD T (PHB) 22,508 -1,980 $373
     PHB22,508-1,980$373
PUBLIC SVC ENTERPRISE GRP IN 8,251 -333 $371
     PEG8,251-333$371
CNX RESOURCES CORPORATION 69,396 UNCH $369
     CNX69,396UNCH$369
AMERICAN WTR WKS CO INC NEW 3,066 UNCH $367
     AWK3,066UNCH$367
LHC GROUP INC 2,621 -11 $367
     LHCG2,621-11$367
DOW INC 12,458 +2 $364
     DOW12,458+2$364
WORTHINGTON INDS INC 13,842 UNCH $363
     WOR13,842UNCH$363
EQUITY RESIDENTIAL 5,872 UNCH $362
     EQR5,872UNCH$362
NAVIENT CORPORATION 47,556 -7,000 $360
     NAVI47,556-7,000$360
ACCELERON PHARMA INC 4,001 +172 $360
     XLRN4,001+172$360
AVALARA INC 4,800 UNCH $358
     AVLR4,800UNCH$358
GILDAN ACTIVEWEAR INC 28,000 +1,200 $357
     GIL28,000+1,200$357
WPX ENERGY INC 116,887 UNCH $357
     WPX116,887UNCH$357
AMPHENOL CORP NEW 4,837 -237 $353
     APH4,837-237$353
FIRSTENERGY CORP 8,815 -373 $353
     FE8,815-373$353
RESMED INC 2,399 UNCH $353
     RMD2,399UNCH$353
ELDORADO RESORTS INC 24,353 +127 $351
     ERI24,353+127$351
CUMMINS INC 2,586 -1,000 $350
     CMI2,586-1,000$350
ZIMMER BIOMET HOLDINGS INC 3,462 +30 $350
     ZBH3,462+30$350
EXPONENT INC 4,860 -6 $349
     EXPO4,860-6$349
SALLY BEAUTY HLDGS INC 43,168 UNCH $349
     SBH43,168UNCH$349
ISHARES TR (IBML) 13,530 +1 $347
     IBML13,530+1$347
JOHNSON CTLS INTL PLC 12,871 UNCH $347
     JCI12,871UNCH$347
NETAPP INC 8,277 -283 $345
     NTAP8,277-283$345
AMERICAN INTL GROUP INC 14,194 -578 $344
     AIG14,194-578$344
SMITH A O CORP 9,122 +45 $344
     AOS9,122+45$344
TE CONNECTIVITY LTD 5,457 -264 $344
     TEL5,457-264$344
AVALONBAY CMNTYS INC 2,330 UNCH $343
     AVB2,330UNCH$343
CARPENTER TECHNOLOGY CORP 17,611 UNCH $343
     CRS17,611UNCH$343
NU SKIN ENTERPRISES INC 15,700 UNCH $343
     NUS15,700UNCH$343
DOMTAR CORP 15,849 UNCH $343
     UFS15,849UNCH$343
TEREX CORP NEW 23,696 UNCH $340
     TEX23,696UNCH$340
MURPHY OIL CORP 55,395 UNCH $339
     MUR55,395UNCH$339
ISHARES TR (SHYG) 8,279 +356 $338
     SHYG8,279+356$338
AUTOZONE INC 398 UNCH $337
     AZO398UNCH$337
TRANE TECHNOLOGIES PLC 4,061 +4,061 $335
     TT4,061+4,061$335
MCKESSON CORP 2,470 -645 $334
     MCK2,470-645$334
HERSHEY CO 2,511 UNCH $333
     HSY2,511UNCH$333
SERVICE PPTYS TR 61,282 UNCH $330
     SVC61,282UNCH$330
ISHARES TR (IBMM) 12,596 +1 $329
     IBMM12,596+1$329
PPL CORP 13,231 +364 $327
     PPL13,231+364$327
TRI CONTL CORP 15,566 UNCH $325
     TY15,566UNCH$325
HILTON WORLDWIDE HLDGS INC 4,708 UNCH $321
     HLT4,708UNCH$321
SPDR SER TR (SPYX) 5,030 +544 $321
     SPYX5,030+544$321
DIVERSIFIED HEALTHCARE TR 88,230 +88,230 $320
     DHC88,230+88,230$320
VANECK VECTORS ETF TR (ITM) 6,514 UNCH $320
     ITM6,514UNCH$320
IQVIA HLDGS INC 2,944 -126 $318
     IQV2,944-126$318
GREIF INC      $317
     GEF9,633UNCH$299
     GEF.B446UNCH$18
TANDEM DIABETES CARE INC 4,916 +11 $316
     TNDM4,916+11$316
WELLTOWER INC 6,920 +43 $316
     WELL6,920+43$316
TEXAS CAPITAL BANCSHARES INC (TCBI) 14,218 UNCH $315
     TCBI14,218UNCH$315
WRIGHT MED GROUP N V 10,992 -31 $315
     WMGI10,992-31$315
MERCURY GENL CORP NEW 7,667 UNCH $312
     MCY7,667UNCH$312
TWITTER INC 12,667 -458 $311
     TWTR12,667-458$311
EVERBRIDGE INC 2,912 UNCH $310
     EVBG2,912UNCH$310
ISHARES TR (IBMK) 11,935 UNCH $310
     IBMK11,935UNCH$310
INPHI CORP 3,918 +1 $310
     IPHI3,918+1$310
O I GLASS INC 43,651 UNCH $310
     OI43,651UNCH$310
COGENT COMMUNICATIONS HLDGS 3,769 +179 $309
     CCOI3,769+179$309
NEOGEN CORP 4,608 +133 $309
     NEOG4,608+133$309
QUIDEL CORP 3,145 +132 $308
     QDEL3,145+132$308
CINEMARK HOLDINGS INC 30,133 -14,200 $307
     CNK30,133-14,200$307
IOVANCE BIOTHERAPEUTICS INC 10,222 +147 $306
     IOVA10,222+147$306
CHECK POINT SOFTWARE TECH LT 3,034 UNCH $305
     CHKP3,034UNCH$305
ENTERGY CORP NEW 3,248 -133 $305
     ETR3,248-133$305
JACK IN THE BOX INC 8,696 -235 $305
     JACK8,696-235$305
UNITED STATES STL CORP NEW 48,261 UNCH $305
     X48,261UNCH$305
DTE ENERGY CO 3,205 UNCH $304
     DTE3,205UNCH$304
FOX CORP 12,849 -533 $304
     FOXA12,849-533$304
AMC NETWORKS INC 12,482 UNCH $303
     AMCX12,482UNCH$303
BIOMARIN PHARMACEUTICAL INC 3,580 UNCH $303
     BMRN3,580UNCH$303
TERRENO RLTY CORP 5,862 +226 $303
     TRNO5,862+226$303
AMEREN CORP 4,105 UNCH $299
     AEE4,105UNCH$299
DYCOM INDS INC 11,626 +175 $298
     DY11,626+175$298
QTS RLTY TR INC 5,113 +304 $297
     QTS5,113+304$297
ADIENT PLC 32,316 UNCH $293
     ADNT32,316UNCH$293
WW INTL INC 17,327 +202 $293
     WW17,327+202$293
STAG INDL INC 12,967 +1,475 $292
     STAG12,967+1,475$292
AVIS BUDGET GROUP 20,963 UNCH $291
     CAR20,963UNCH$291
EQUITRANS MIDSTREAM CORP 57,668 UNCH $290
     ETRN57,668UNCH$290
EXPEDIA GROUP INC 5,146 UNCH $290
     EXPE5,146UNCH$290
EHEALTH INC 2,037 +83 $287
     EHTH2,037+83$287
REATA PHARMACEUTICALS INC 1,987 +101 $287
     RETA1,987+101$287
DIAMONDBACK ENERGY INC 10,950 UNCH $286
     FANG10,950UNCH$286
CHIPOTLE MEXICAN GRILL INC 434 UNCH $284
     CMG434UNCH$284
ROCKWELL AUTOMATION INC 1,885 -86 $284
     ROK1,885-86$284
URBAN OUTFITTERS INC 19,951 UNCH $284
     URBN19,951UNCH$284
ISHARES TR (IWD) 2,861 -1,723 $283
     IWD2,861-1,723$283
SOUTHWEST AIRLS CO 7,966 UNCH $283
     LUV7,966UNCH$283
WILLIAMS COS INC 20,017 -633 $283
     WMB20,017-633$283
ALEXANDRIA REAL ESTATE EQ IN 2,063 +120 $282
     ARE2,063+120$282
BLUEPRINT MEDICINES CORP 4,785 +518 $280
     BPMC4,785+518$280
AMETEK INC 3,870 UNCH $279
     AME3,870UNCH$279
ONEOK INC NEW 12,799 +785 $279
     OKE12,799+785$279
TYSON FOODS INC 4,816 -191 $279
     TSN4,816-191$279
CMS ENERGY CORP 4,736 UNCH $278
     CMS4,736UNCH$278
SIX FLAGS ENTMT CORP NEW 22,182 UNCH $278
     SIX22,182UNCH$278
MEDNAX INC 23,803 UNCH $277
     MD23,803UNCH$277
BALCHEM CORP 2,799 -19 $276
     BCPC2,799-19$276
SIMON PPTY GROUP INC NEW 5,007 -113 $275
     SPG5,007-113$275
METTLER TOLEDO INTERNATIONAL 397 -24 $274
     MTD397-24$274
UNITED AIRLS HLDGS INC 8,674 UNCH $274
     UAL8,674UNCH$274
FLUOR CORP NEW 39,551 UNCH $273
     FLR39,551UNCH$273
FLEETCOR TECHNOLOGIES INC 1,464 UNCH $273
     FLT1,464UNCH$273
ALBEMARLE CORP 4,784 -1,265 $269
     ALB4,784-1,265$269
DELTA AIR LINES INC DEL 9,391 -356 $268
     DAL9,391-356$268
PILGRIMS PRIDE CORP 14,804 UNCH $268
     PPC14,804UNCH$268
MOMENTA PHARMACEUTICALS INC 9,828 +1,224 $267
     MNTA9,828+1,224$267
NEVRO CORP 2,673 +61 $267
     NVRO2,673+61$267
AEROJET ROCKETDYNE HLDGS INC 6,371 -48 $266
     AJRD6,371-48$266
GLOBAL BLOOD THERAPEUTICS IN 5,178 +116 $265
     GBT5,178+116$265
CORNING INC 12,833 UNCH $264
     GLW12,833UNCH$264
SITEONE LANDSCAPE SUPPLY INC 3,584 -7 $264
     SITE3,584-7$264
AMER STATES WTR CO 3,216 +11 $263
     AWR3,216+11$263
CHURCH & DWIGHT INC 4,095 UNCH $263
     CHD4,095UNCH$263
ENPHASE ENERGY INC 8,159 +343 $263
     ENPH8,159+343$263
REPUBLIC SVCS INC 3,515 -222 $263
     RSG3,515-222$263
VANGUARD SCOTTSDALE FDS (VGSH) 4,225 +50 $263
     VGSH4,225+50$263
STRATEGIC ED INC 1,874 UNCH $262
     STRA1,874UNCH$262
COMMUNITY BK SYS INC 4,431 -8 $261
     CBU4,431-8$261
QUALYS INC 2,991 +103 $260
     QLYS2,991+103$260
TRANSDIGM GROUP INC 813 -41 $260
     TDG813-41$260
ISHARES TR (ESML) 13,032 +934 $259
     ESML13,032+934$259
GLACIER BANCORP INC NEW 7,579 -15 $258
     GBCI7,579-15$258
MARATHON PETE CORP 10,834 UNCH $256
     MPC10,834UNCH$256
AVISTA CORP 5,952 +200 $253
     AVA5,952+200$253
KELLOGG CO 4,222 UNCH $253
     K4,222UNCH$253
SIMPSON MANUFACTURING CO INC 4,023 +87 $249
     SSD4,023+87$249
GALLAGHER ARTHUR J & CO 3,043 -180 $248
     AJG3,043-180$248
MAGELLAN MIDSTREAM PRTNRS LP 6,802 UNCH $248
     MMP6,802UNCH$248
FULLER H B CO 8,875 -3,100 $247
     FUL8,875-3,100$247
PERFORMANCE FOOD GROUP CO 9,982 +1,009 $247
     PFGC9,982+1,009$247
BUCKLE INC 17,900 -500 $245
     BKE17,900-500$245
OMNICELL INC 3,724 +96 $244
     OMCL3,724+96$244
RBC BEARINGS INC 2,155 +24 $243
     ROLL2,155+24$243
FIBROGEN INC 6,978 +201 $242
     FGEN6,978+201$242
EL PASO ELEC CO 3,548 UNCH $241
     EE3,548UNCH$241
VULCAN MATLS CO 2,228 UNCH $241
     VMC2,228UNCH$241
WD 40 CO 1,200 UNCH $241
     WDFC1,200UNCH$241
LOEWS CORP 6,890 UNCH $240
     L6,890UNCH$240
PTC THERAPEUTICS INC 5,366 +174 $239
     PTCT5,366+174$239
CVB FINL CORP 11,863 +453 $238
     CVBF11,863+453$238
LAS VEGAS SANDS CORP 5,600 UNCH $238
     LVS5,600UNCH$238
EMERGENT BIOSOLUTIONS INC 4,101 +134 $237
     EBS4,101+134$237
NEOGENOMICS INC 8,569 +279 $237
     NEO8,569+279$237
EQUIFAX INC 1,976 -149 $236
     EFX1,976-149$236
NOVANTA INC 2,959 UNCH $236
     NOVT2,959UNCH$236
ORMAT TECHNOLOGIES INC 3,487 UNCH $236
     ORA3,487UNCH$236
VANGUARD WORLD FD (VSGX) 5,739 +593 $236
     VSGX5,739+593$236
ANIXTER INTL INC 2,667 UNCH $234
     AXE2,667UNCH$234
PHYSICIANS RLTY TR 16,771 +525 $234
     DOC16,771+525$234
NUSHARES ETF TR (NUMV) 11,622 +515 $234
     NUMV11,622+515$234
AMN HEALTHCARE SVCS INC 4,036 +13 $233
     AMN4,036+13$233
CONAGRA BRANDS INC 7,940 -605 $233
     CAG7,940-605$233
RADIAN GROUP INC 17,982 +583 $233
     RDN17,982+583$233
TIFFANY & CO NEW 1,801 UNCH $233
     TIF1,801UNCH$233
ENVESTNET INC 4,315 +117 $232
     ENV4,315+117$232
FIRST MIDWEST BANCORP DEL 17,620 +51 $232
     FMBI17,620+51$232
OCCIDENTAL PETE CORP 20,102 -2,190 $232
     OXY20,102-2,190$232
VIAVI SOLUTIONS INC 20,665 +620 $232
     VIAV20,665+620$232
ISHARES TR (IBMJ) 9,035 -650 $230
     IBMJ9,035-650$230
AGREE REALTY CORP 3,707 +121 $229
     ADC3,707+121$229
ENTERPRISE PRODS PARTNERS L 16,052 -2,000 $229
     EPD16,052-2,000$229
Q2 HLDGS INC 3,879 +109 $229
     QTWO3,879+109$229
SPDR SER TR (SPTM) 7,282 +433 $229
     SPTM7,282+433$229
M & T BK CORP 2,202 UNCH $228
     MTB2,202UNCH$228
TOOTSIE ROLL INDS INC 6,348 +184 $228
     TR6,348+184$228
ESSENT GROUP LTD 8,611 +215 $227
     ESNT8,611+215$227
FIRST REP BK SAN FRANCISCO C 2,750 -150 $226
     FRC2,750-150$226
ISHARES TR (JKG) 1,470 -26,818 $225
     JKG1,470-26,818$225
ACACIA COMMUNICATIONS INC 3,332 UNCH $224
     ACIA3,332UNCH$224
BOSTON PROPERTIES INC 2,421 UNCH $223
     BXP2,421UNCH$223
COOPER COS INC 809 -58 $223
     COO809-58$223
IMMUNOMEDICS INC 16,477 +1,100 $222
     IMMU16,477+1,100$222
EVERGY INC 4,003 UNCH $220
     EVRG4,003UNCH$220
POWER INTEGRATIONS INC 2,488 UNCH $220
     POWI2,488UNCH$220
CBRE GROUP INC 5,809 UNCH $218
     CBRE5,809UNCH$218
AMERISOURCEBERGEN CORP 2,453 -188 $217
     ABC2,453-188$217
AMERIPRISE FINL INC 2,114 UNCH $217
     AMP2,114UNCH$217
BEST BUY INC 3,800 UNCH $217
     BBY3,800UNCH$217
HEWLETT PACKARD ENTERPRISE C 22,312 +3 $217
     HPE22,312+3$217
HEXCEL CORP NEW 5,853 -9,800 $216
     HXL5,853-9,800$216
LYONDELLBASELL INDUSTRIES N 4,348 UNCH $216
     LYB4,348UNCH$216
ULTRAGENYX PHARMACEUTICAL IN 4,854 +208 $216
     RARE4,854+208$216
CANNAE HLDGS INC 6,430 +525 $215
     CNNE6,430+525$215
HARTFORD FINL SVCS GROUP INC 6,090 UNCH $215
     HIG6,090UNCH$215
KANSAS CITY SOUTHERN 1,694 UNCH $215
     KSU1,694UNCH$215
LEXINGTON REALTY TRUST 21,614 +828 $215
     LXP21,614+828$215
CAMPBELL SOUP CO 4,652 UNCH $214
     CPB4,652UNCH$214
EXTRA SPACE STORAGE INC 2,232 UNCH $214
     EXR2,232UNCH$214
REXNORD CORP 9,454 +264 $214
     RXN9,454+264$214
VANGUARD INDEX FDS (VTI) 1,663 -119 $214
     VTI1,663-119$214
TOPBUILD CORP 2,973 +96 $213
     BLD2,973+96$213
APTIV PLC 4,315 UNCH $212
     APTV4,315UNCH$212
CALIFORNIA WTR SVC GROUP 4,213 UNCH $212
     CWT4,213UNCH$212
NORTONLIFELOCK INC 11,391 UNCH $212
     NLOK11,391UNCH$212
NOW INC 40,925 UNCH $211
     DNOW40,925UNCH$211
TRACTOR SUPPLY CO 2,504 +2 $211
     TSCO2,504+2$211
WEYERHAEUSER CO 12,433 UNCH $211
     WY12,433UNCH$211
FORTY SEVEN INC 2,201 +240 $210
     FTSV2,201+240$210
HALLIBURTON CO 30,679 +412 $210
     HAL30,679+412$210
HALOZYME THERAPEUTICS INC 11,656 -545 $210
     HALO11,656-545$210
WINGSTOP INC 2,629 +75 $210
     WING2,629+75$210
LEIDOS HOLDINGS INC 2,277 UNCH $209
     LDOS2,277UNCH$209
ADVANCED DISP SVCS INC DEL 6,349 UNCH $208
     ADSW6,349UNCH$208
AMICUS THERAPEUTICS INC 22,362 UNCH $207
     FOLD22,362UNCH$207
ISHARES TR (HYG) 2,696 -670 $207
     HYG2,696-670$207
ISHARES TR (IBMN) 7,690 +101 $207
     IBMN7,690+101$207
BLACKSTONE MTG TR INC 11,058 +35 $206
     BXMT11,058+35$206
SHENANDOAH TELECOMMUNICATION 4,181 UNCH $206
     SHEN4,181UNCH$206
LABORATORY CORP AMER HLDGS 1,620 UNCH $205
     LH1,620UNCH$205
UNIFIRST CORP MASS 1,360 +38 $205
     UNF1,360+38$205
ISHARES TR (IBMI) 8,060 -850 $204
     IBMI8,060-850$204
INTL PAPER CO 6,543 UNCH $204
     IP6,543UNCH$204
JOHN BEAN TECHNOLOGIES CORP 2,741 UNCH $204
     JBT2,741UNCH$204
MID AMER APT CMNTYS INC 1,976 UNCH $204
     MAA1,976UNCH$204
PBF ENERGY INC 28,805 UNCH $204
     PBF28,805UNCH$204
WATTS WATER TECHNOLOGIES INC 2,413 UNCH $204
     WTS2,413UNCH$204
SOUTH JERSEY INDS INC 8,112 UNCH $203
     SJI8,112UNCH$203
BLACKLINE INC 3,841 +190 $202
     BL3,841+190$202
SPDR SER TR (FLRN) 6,884 +802 $202
     FLRN6,884+802$202
HENRY JACK & ASSOC INC 1,297 UNCH $201
     JKHY1,297UNCH$201
MGE ENERGY INC 3,067 UNCH $201
     MGEE3,067UNCH$201
OMNICOM GROUP INC 3,664 UNCH $201
     OMC3,664UNCH$201
LATTICE SEMICONDUCTOR CORP 11,207 +591 $200
     LSCC11,207+591$200
HMS HLDGS CORP 7,885 +258 $199
     HMSY7,885+258$199
MARTIN MARIETTA MATLS INC 1,052 UNCH $199
     MLM1,052UNCH$199
MIRATI THERAPEUTICS INC 2,588 +215 $199
     MRTX2,588+215$199
ARES MANAGEMENT CORPORATION 6,391 +253 $198
     ARES6,391+253$198
DELPHI TECHNOLOGIES PL 24,622 UNCH $198
     DLPH24,622UNCH$198
HEALTHPEAK PROPERTIES INC 8,291 UNCH $198
     PEAK8,291UNCH$198
UNIVERSAL FST PRODS INC 5,336 +152 $198
     UFPI5,336+152$198
BED BATH & BEYOND INC 46,780 UNCH $197
     BBBY46,780UNCH$197
GARMIN LTD 2,635 UNCH $197
     GRMN2,635UNCH$197
OLD NATL BANCORP IND 14,955 UNCH $197
     ONB14,955UNCH$197
D R HORTON INC 5,780 UNCH $196
     DHI5,780UNCH$196
IRIDIUM COMMUNICATIONS INC 8,799 +381 $196
     IRDM8,799+381$196
SCIENTIFIC GAMES CORP 20,176 UNCH $196
     SGMS20,176UNCH$196
FRANKLIN ELEC INC 4,132 +154 $195
     FELE4,132+154$195
SEAGATE TECHNOLOGY PLC 3,988 UNCH $195
     STX3,988UNCH$195
PIEDMONT OFFICE REALTY TR IN 11,004 UNCH $194
     PDM11,004UNCH$194
FRESHPET INC 3,024 UNCH $193
     FRPT3,024UNCH$193
XYLEM INC 2,978 -192 $193
     XYL2,978-192$193
IRHYTHM TECHNOLOGIES INC 2,366 +94 $192
     IRTC2,366+94$192
GOLDMAN SACHS ETF TR (JUST) 5,176 +157 $192
     JUST5,176+157$192
RAPID7 INC 4,416 +133 $191
     RPD4,416+133$191
WATERS CORP 1,051 -73 $191
     WAT1,051-73$191
ARENA PHARMACEUTICALS INC 4,525 +136 $190
     ARNA4,525+136$190
BROOKS AUTOMATION INC NEW 6,236 UNCH $190
     BRKS6,236UNCH$190
ISHARES TR (DSI) 1,954 +923 $190
     DSI1,954+923$190
PIONEER NAT RES CO 2,703 -157 $190
     PXD2,703-157$190
HASBRO INC 2,646 UNCH $189
     HAS2,646UNCH$189
TRANSOCEAN LTD 162,611 UNCH $189
     RIG162,611UNCH$189
BRIDGEBIO PHARMA INC 6,478 +4,600 $188
     BBIO6,478+4,600$188
INDEPENDENT BANK CORP MASS 2,918 UNCH $188
     INDB2,918UNCH$188
STAMPS COM INC 1,448 UNCH $188
     STMP1,448UNCH$188
FOX CORP 8,170 UNCH $187
     FOX8,170UNCH$187
CENTERSTATE BK CORP 10,777 +412 $186
     CSFL10,777+412$186
KINSALE CAP GROUP INC 1,780 UNCH $186
     KNSL1,780UNCH$186
MYOKARDIA INC 3,947 +140 $185
     MYOK3,947+140$185
AMERICAN AIRLS GROUP INC 15,091 -575 $184
     AAL15,091-575$184
PROTO LABS INC 2,411 +99 $184
     PRLB2,411+99$184
BROADRIDGE FINL SOLUTIONS IN 1,925 UNCH $183
     BR1,925UNCH$183
CLEARWAY ENERGY INC      $183
     CWEN6,905+425$130
     CWEN.A3,063UNCH$53
ARISTA NETWORKS INC 898 UNCH $182
     ANET898UNCH$182
QUEST DIAGNOSTICS INC 2,268 UNCH $182
     DGX2,268UNCH$182
MEREDITH CORP 14,884 +256 $182
     MDP14,884+256$182
GRAINGER W W INC 728 UNCH $181
     GWW728UNCH$181
JACOBS ENGR GROUP INC 2,284 UNCH $181
     JEC2,284UNCH$181
MEDPACE HLDGS INC 2,467 +104 $181
     MEDP2,467+104$181
BOX INC 12,809 +575 $180
     BOX12,809+575$180
INTEGER HLDGS CORP 2,856 UNCH $180
     ITGR2,856UNCH$180
INTERNATIONAL FLAVORS&FRAGRA 1,758 UNCH $179
     IFF1,758UNCH$179
ANTERO MIDSTREAM CORP 84,530 UNCH $178
     AM84,530UNCH$178
NASDAQ INC 1,872 -160 $178
     NDAQ1,872-160$178
AAON INC 3,671 +182 $177
     AAON3,671+182$177
BARNES GROUP INC 4,223 +111 $177
     B4,223+111$177
FIFTH THIRD BANCORP 11,841 UNCH $176
     FITB11,841UNCH$176
SUNSTONE HOTEL INVS INC NEW 20,164 +571 $176
     SHO20,164+571$176
MADDEN STEVEN LTD 7,526 +190 $175
     SHOO7,526+190$175
FABRINET 3,188 UNCH $174
     FN3,188UNCH$174
LENNAR CORP 4,566 -282 $174
     LEN4,566-282$174
MACERICH CO 30,905 UNCH $174
     MAC30,905UNCH$174
SOUTH ST CORP 2,956 UNCH $174
     SSB2,956UNCH$174
COLUMBIA BKG SYS INC 6,444 +257 $173
     COLB6,444+257$173
ESCO TECHNOLOGIES INC 2,284 +89 $173
     ESE2,284+89$173
HELMERICH & PAYNE INC 11,082 +9,100 $173
     HP11,082+9,100$173
MANTECH INTL CORP 2,379 +117 $173
     MANT2,379+117$173
UDR INC 4,724 UNCH $173
     UDR4,724UNCH$173
ITRON INC 3,080 +85 $172
     ITRI3,080+85$172
IDEX CORP 1,241 -109 $171
     IEX1,241-109$171
IBERIABANK CORP 4,692 +130 $170
     IBKC4,692+130$170
ARCOSA INC 4,248 UNCH $169
     ACA4,248UNCH$169
ENSIGN GROUP INC 4,495 +196 $169
     ENSG4,495+196$169
KEYCORP 16,286 -1,054 $169
     KEY16,286-1,054$169
VARIAN MED SYS INC 1,653 -133 $169
     VAR1,653-133$169
CLOUDERA INC 21,389 +1,226 $168
     CLDR21,389+1,226$168
DARDEN RESTAURANTS INC 3,091 UNCH $168
     DRI3,091UNCH$168
RESIDEO TECHNOLOGIES INC 34,704 UNCH $168
     REZI34,704UNCH$168
VARONIS SYS INC 2,634 +112 $168
     VRNS2,634+112$168
VENTAS INC 6,297 -335 $168
     VTR6,297-335$168
WASHINGTON REAL ESTATE INVT 7,049 UNCH $168
     WRE7,049UNCH$168
NATERA INC 5,602 +245 $167
     NTRA5,602+245$167
BRINKER INTL INC 13,800 UNCH $166
     EAT13,800UNCH$166
SAIA INC 2,258 UNCH $166
     SAIA2,258UNCH$166
ADVANCED ENERGY INDS 3,403 +136 $165
     AEIS3,403+136$165
EASTERLY GOVT PPTYS INC 6,683 +286 $165
     DEA6,683+286$165
ENSTAR GROUP LIMITED 1,028 +45 $164
     ESGR1,028+45$164
LITHIA MTRS INC 2,005 +75 $164
     LAD2,005+75$164
CORNERSTONE ONDEMAND INC 5,121 +153 $163
     CSOD5,121+153$163
MASCO CORP 4,740 -351 $163
     MAS4,740-351$163
NORTHWEST NAT HLDG CO 2,642 UNCH $163
     NWN2,642UNCH$163
QORVO INC 2,024 UNCH $163
     QRVO2,024UNCH$163
PAYCOM SOFTWARE INC 800 +800 $162
     PAYC800+800$162
INVESCO EXCHANGE TRADED FD T (PGJ) 4,318 +10 $162
     PGJ4,318+10$162
SANMINA CORPORATION 5,948 UNCH $162
     SANM5,948UNCH$162
CBOE GLOBAL MARKETS INC 1,809 -164 $161
     CBOE1,809-164$161
INVESTORS BANCORP INC NEW 20,179 UNCH $161
     ISBC20,179UNCH$161
FREEPORT MCMORAN INC 23,672 -1,475 $160
     FCX23,672-1,475$160
J & J SNACK FOODS CORP 1,320 UNCH $160
     JJSF1,320UNCH$160
CASELLA WASTE SYS INC 4,074 +175 $159
     CWST4,074+175$159
HOLOGIC INC 4,502 UNCH $158
     HOLX4,502UNCH$158
STEPAN CO 1,782 UNCH $158
     SCL1,782UNCH$158
AES CORP 11,494 UNCH $156
     AES11,494UNCH$156
ATLANTIC UN BANKSHARES CORP (AUB) 7,141 +274 $156
     AUB7,141+274$156
INVESCO EXCHANGE TRADED FD T (PWZ) 5,816 +638 $156
     PWZ5,816+638$156
SIMMONS 1ST NATL CORP 8,470 +493 $156
     SFNC8,470+493$156
SYNCHRONY FINL 9,699 -582 $156
     SYF9,699-582$156
APPLIED INDL TECHNOLOGIES IN 3,370 UNCH $154
     AIT3,370UNCH$154
NATIONAL STORAGE AFFILIATES 5,194 UNCH $154
     NSA5,194UNCH$154
CELANESE CORP DEL 2,084 UNCH $153
     CE2,084UNCH$153
OTTER TAIL CORP 3,441 UNCH $153
     OTTR3,441UNCH$153
ROGERS CORP 1,620 UNCH $153
     ROG1,620UNCH$153
APPFOLIO INC 1,373 UNCH $152
     APPF1,373UNCH$152
EXLSERVICE HOLDINGS INC 2,930 UNCH $152
     EXLS2,930UNCH$152
NISOURCE INC 6,095 -581 $152
     NI6,095-581$152
CENTURYLINK INC 16,009 -1,448 $151
     CTL16,009-1,448$151
NOVAGOLD RES INC 20,420 UNCH $151
     NG20,420UNCH$151
MERIT MED SYS INC 4,789 +238 $150
     MMSI4,789+238$150
AMERICAN EQTY INVT LIFE HLD 7,921 UNCH $149
     AEL7,921UNCH$149
HESS CORP 4,442 UNCH $148
     HES4,442UNCH$148
INNOSPEC INC 2,126 UNCH $148
     IOSP2,126UNCH$148
QUAKER CHEM CORP 1,173 +56 $148
     KWR1,173+56$148
SELECT MED HLDGS CORP 9,880 +282 $148
     SEM9,880+282$148
SUMMIT MATLS INC 9,887 UNCH $148
     SUM9,887UNCH$148
TRINET GROUP INC 3,927 UNCH $148
     TNET3,927UNCH$148
WESTLAKE CHEM CORP 3,900 -3,500 $148
     WLK3,900-3,500$148
CHEMOCENTRYX INC 3,659 +150 $147
     CCXI3,659+150$147
DIODES INC 3,611 UNCH $147
     DIOD3,611UNCH$147
PINNACLE WEST CAP CORP 1,946 UNCH $147
     PNW1,946UNCH$147
RA PHARMACEUTICALS INC 3,058 UNCH $147
     RARX3,058UNCH$147
RYMAN HOSPITALITY PPTYS INC 4,103 +108 $147
     RHP4,103+108$147
LAMB WESTON HLDGS INC 2,542 UNCH $145
     LW2,542UNCH$145
PERKINELMER INC 1,923 UNCH $145
     PKI1,923UNCH$145
VONAGE HLDGS CORP 20,117 +1,178 $145
     VG20,117+1,178$145
WABTEC 3,012 UNCH $145
     WAB3,012UNCH$145
ABM INDS INC 5,915 +232 $144
     ABM5,915+232$144
CARMAX INC 2,683 -204 $144
     KMX2,683-204$144
KENNEDY WILSON HLDGS INC 10,725 UNCH $144
     KW10,725UNCH$144
REGIONS FINANCIAL CORP NEW 16,095 UNCH $144
     RF16,095UNCH$144
PRINCIPAL FINL GROUP INC 4,595 -36 $143
     PFG4,595-36$143
FEDERAL SIGNAL CORP 5,217 UNCH $142
     FSS5,217UNCH$142
LCI INDS 2,130 UNCH $142
     LCII2,130UNCH$142
PACKAGING CORP AMER 1,640 UNCH $142
     PKG1,640UNCH$142
SPS COMMERCE INC 3,056 UNCH $142
     SPSC3,056UNCH$142
CONCHO RES INC 3,280 -254 $141
     CXO3,280-254$141
DILLARDS INC 3,807 UNCH $141
     DDS3,807UNCH$141
BOTTOMLINE TECH DEL INC 3,847 +200 $141
     EPAY3,847+200$141
ISHARES TR (FLOT) 2,905 -60 $141
     FLOT2,905-60$141
DENTSPLY SIRONA INC 3,629 -295 $141
     XRAY3,629-295$141
ALLEGION PLC 1,516 -123 $140
     ALLE1,516-123$140
AON PLC 4,650 -201 $140
     AON4,650-201$140
UNIVERSAL HLTH SVCS INC 1,408 UNCH $140
     UHS1,408UNCH$140
VANGUARD WHITEHALL FDS (VYM) 1,985 UNCH $140
     VYM1,985UNCH$140
AVERY DENNISON CORP 1,362 -143 $139
     AVY1,362-143$139
FOX FACTORY HLDG CORP 3,306 UNCH $139
     FOXF3,306UNCH$139
IRONWOOD PHARMACEUTICALS INC 13,813 +727 $139
     IRWD13,813+727$139
SIMPLY GOOD FOODS CO 7,196 UNCH $139
     SMPL7,196UNCH$139
BADGER METER INC 2,569 +105 $138
     BMI2,569+105$138
HUNTINGTON BANCSHARES INC (HBAN) 16,850 -1,317 $138
     HBAN16,850-1,317$138
ISHARES TR (HDV) 1,935 -40 $138
     HDV1,935-40$138
INTERCEPT PHARMACEUTICALS IN 2,193 UNCH $138
     ICPT2,193UNCH$138
INGERSOLL RAND INC 5,581 +1,334 $138
     IR5,581+1,334$138
MPLX LP 11,942 +11,942 $138
     MPLX11,942+11,942$138
PLEXUS CORP 2,529 UNCH $138
     PLXS2,529UNCH$138
CONMED CORP 2,394 UNCH $137
     CNMD2,394UNCH$137
LIBERTY GLOBAL PLC 8,745 UNCH $137
     LBTYK8,745UNCH$137
MOOG INC      $137
     MOG.A2,706+2,706$137
SJW GROUP 2,366 +122 $137
     SJW2,366+122$137
CLEVELAND CLIFFS INC 34,534 +11,079 $136
     CLF34,534+11,079$136
NIC INC 5,910 +426 $136
     EGOV5,910+426$136
FORMFACTOR INC 6,778 +280 $136
     FORM6,778+280$136
HUNT J B TRANS SVCS INC 1,477 UNCH $136
     JBHT1,477UNCH$136
EVEREST RE GROUP LTD 708 UNCH $136
     RE708UNCH$136
CAPITOL FED FINL INC 11,605 UNCH $135
     CFFN11,605UNCH$135
HORACE MANN EDUCATORS CORP N 3,697 +195 $135
     HMN3,697+195$135
AMBARELLA INC 2,758 UNCH $134
     AMBA2,758UNCH$134
APELLIS PHARMACEUTICALS INC 5,014 +874 $134
     APLS5,014+874$134
RAYMOND JAMES FINANCIAL INC 2,122 UNCH $134
     RJF2,122UNCH$134
WESTAMERICA BANCORPORATION 2,275 UNCH $134
     WABC2,275UNCH$134
WESBANCO INC 5,658 UNCH $134
     WSBC5,658UNCH$134
DORMAN PRODUCTS INC 2,409 +133 $133
     DORM2,409+133$133
NATIONAL VISION HLDGS INC 6,874 UNCH $133
     EYE6,874UNCH$133
AXSOME THERAPEUTICS INC 2,249 +100 $132
     AXSM2,249+100$132
CENTERPOINT ENERGY INC 8,529 UNCH $132
     CNP8,529UNCH$132
HOST HOTELS & RESORTS INC 11,966 UNCH $132
     HST11,966UNCH$132
INSIGHT ENTERPRISES INC 3,123 +124 $132
     NSIT3,123+124$132
FITBIT INC 19,650 UNCH $131
     FIT19,650UNCH$131
SVB FINANCIAL GROUP 868 UNCH $131
     SIVB868UNCH$131
APPIAN CORP 3,234 +306 $130
     APPN3,234+306$130
CORE LABORATORIES N V 12,539 UNCH $130
     CLB12,539UNCH$130
MYLAN NV 8,689 UNCH $130
     MYL8,689UNCH$130
ISHARES TR (CMF) 2,148 +101 $129
     CMF2,148+101$129
FIRST MERCHANTS CORP 4,879 +231 $129
     FRME4,879+231$129
HUB GROUP INC 2,840 UNCH $129
     HUBG2,840UNCH$129
WESTERN UN CO 7,140 UNCH $129
     WU7,140UNCH$129
ALARM COM HLDGS INC 3,300 +161 $128
     ALRM3,300+161$128
FORWARD AIR CORP 2,535 +139 $128
     FWRD2,535+139$128
ISHARES TR (IJT) 930 UNCH $128
     IJT930UNCH$128
ONTO INNOVATION INC 4,326 +236 $128
     NANO4,326+236$128
PATTERSON UTI ENERGY INC 54,565 UNCH $128
     PTEN54,565UNCH$128
STAAR SURGICAL CO 3,982 +200 $128
     STAA3,982+200$128
AMERIS BANCORP 5,343 UNCH $127
     ABCB5,343UNCH$127
ALBANY INTL CORP 2,680 UNCH $127
     AIN2,680UNCH$127
E TRADE FINANCIAL CORP 3,686 -353 $127
     ETFC3,686-353$127
FIRST FINL BANCORP OH 8,499 UNCH $127
     FFBC8,499UNCH$127
GLOBE LIFE INC 1,760 UNCH $127
     GL1,760UNCH$127
LIVONGO HEALTH INC 4,456 +3,250 $127
     LVGO4,456+3,250$127
PROGRESS SOFTWARE CORP 3,975 +199 $127
     PRGS3,975+199$127
SPX CORP 3,905 +166 $127
     SPXC3,905+166$127
MOLSON COORS BEVERAGE CO 3,257 UNCH $127
     TAP3,257UNCH$127
WESTROCK CO 4,502 UNCH $127
     WRK4,502UNCH$127
APERGY CORP 21,894 UNCH $126
     APY21,894UNCH$126
CARGURUS INC 6,660 +275 $126
     CARG6,660+275$126
CABOT OIL & GAS CORP 7,347 UNCH $126
     COG7,347UNCH$126
CARETRUST REIT INC 8,536 +388 $126
     CTRE8,536+388$126
LIVEPERSON INC 5,551 +209 $126
     LPSN5,551+209$126
MONRO INC 2,869 UNCH $126
     MNRO2,869UNCH$126
UNITED CMNTY BKS BLAIRSVLE G 6,890 UNCH $126
     UCBI6,890UNCH$126
BUILDERS FIRSTSOURCE INC 10,237 +267 $125
     BLDR10,237+267$125
FGL HLDGS 12,744 UNCH $125
     FG12,744UNCH$125
INSMED INC 7,785 UNCH $125
     INSM7,785UNCH$125
TRITON INTL LTD 4,847 UNCH $125
     TRTN4,847UNCH$125
BERKLEY W R CORP 2,400 UNCH $125
     WRB2,400UNCH$125
VIACOMCBS INC 8,817 -413 $124
     CBS8,817-413$124
HENRY SCHEIN INC 2,448 UNCH $124
     HSIC2,448UNCH$124
GIBRALTAR INDS INC 2,885 +161 $124
     ROCK2,885+161$124
XENCOR INC 4,142 UNCH $124
     XNCR4,142UNCH$124
REDFIN CORP 7,952 +425 $123
     RDFN7,952+425$123
SERVISFIRST BANCSHARES INC (SFBS) 4,180 UNCH $123
     SFBS4,180UNCH$123
HILLENBRAND INC 6,378 UNCH $122
     HI6,378UNCH$122
KORN FERRY 5,012 +225 $122
     KFY5,012+225$122
PACIRA BIOSCIENCES 3,640 +191 $122
     PCRX3,640+191$122
EVERTEC INC 5,329 UNCH $121
     EVTC5,329UNCH$121
KEMET CORP 5,002 UNCH $121
     KEM5,002UNCH$121
MOELIS & CO 4,268 +225 $120
     MC4,268+225$120
CHESAPEAKE UTILS CORP 1,388 UNCH $119
     CPK1,388UNCH$119
CUSHMAN WAKEFIELD PLC 10,096 +410 $119
     CWK10,096+410$119
DAVITA INC 1,560 UNCH $119
     DVA1,560UNCH$119
FORESCOUT TECHNOLOGIES INC 3,761 +278 $119
     FSCT3,761+278$119
NBT BANCORP INC 3,663 UNCH $119
     NBTB3,663UNCH$119
NRG ENERGY INC 4,351 UNCH $119
     NRG4,351UNCH$119
BIOHAVEN PHARMACTL HLDG CO L 3,460 UNCH $118
     BHVN3,460UNCH$118
CAL MAINE FOODS INC 2,682 UNCH $118
     CALM2,682UNCH$118
MERITAGE HOMES CORP 3,219 +145 $118
     MTH3,219+145$118
COMFORT SYS USA INC 3,196 UNCH $117
     FIX3,196UNCH$117
KODIAK SCIENCES INC 2,449 +400 $117
     KOD2,449+400$117
MUELLER INDS INC 4,874 UNCH $117
     MLI4,874UNCH$117
SPDR INDEX SHS FDS (NANR) 5,365 +2 $117
     NANR5,365+2$117
PROASSURANCE CORP 4,666 UNCH $117
     PRA4,666UNCH$117
RLJ LODGING TR 15,115 +595 $117
     RLJ15,115+595$117
SAILPOINT TECHNLGIES HLDGS I 7,664 +329 $117
     SAIL7,664+329$117
ABIOMED INC 800 UNCH $116
     ABMD800UNCH$116
FATE THERAPEUTICS INC 5,214 UNCH $116
     FATE5,214UNCH$116
EMPLOYERS HOLDINGS INC 2,835 +166 $115
     EIG2,835+166$115
IRON MTN INC NEW 4,836 UNCH $115
     IRM4,836UNCH$115
SKYWEST INC 4,404 +169 $115
     SKYW4,404+169$115
ADVANCE AUTO PARTS INC 1,218 UNCH $114
     AAP1,218UNCH$114
ATRICURE INC 3,396 +234 $114
     ATRC3,396+234$114
F5 NETWORKS INC 1,073 UNCH $114
     FFIV1,073UNCH$114
HANNON ARMSTRONG SUST INFR C 5,564 UNCH $114
     HASI5,564UNCH$114
JUNIPER NETWORKS INC 5,981 UNCH $114
     JNPR5,981UNCH$114
MATSON INC 3,735 UNCH $114
     MATX3,735UNCH$114
OFFICE PPTYS INCOME TR 4,192 UNCH $114
     OPI4,192UNCH$114
ADVANCED DRAIN SYS INC DEL 3,888 +158 $114
     WMS3,888+158$114
AEROVIRONMENT INC 1,860 UNCH $113
     AVAV1,860UNCH$113
CUBIC CORP 2,731 UNCH $113
     CUB2,731UNCH$113
8X8 INC NEW 8,167 UNCH $113
     EGHT8,167UNCH$113
MUELLER WTR PRODS INC 14,064 +600 $113
     MWA14,064+600$113
BIOTELEMETRY INC 2,899 UNCH $112
     BEAT2,899UNCH$112
FOUR CORNERS PPTY TR INC 5,983 UNCH $112
     FCPT5,983UNCH$112
REGENCY CTRS CORP 2,902 UNCH $112
     REG2,902UNCH$112
SAFETY INS GROUP INC 1,323 +81 $112
     SAFT1,323+81$112
HOSTESS BRANDS INC 10,500 UNCH $112
     TWNK10,500UNCH$112
UNIVERSAL HEALTH RLTY INCM T 1,113 UNCH $112
     UHT1,113UNCH$112
BAKER HUGHES COMPANY 10,603 -629 $111
     BHGE10,603-629$111
MCGRATH RENTCORP 2,127 UNCH $111
     MGRC2,127UNCH$111
WSFS FINL CORP 4,470 UNCH $111
     WSFS4,470UNCH$111
ICF INTL INC 1,595 UNCH $110
     ICFI1,595UNCH$110
KRATOS DEFENSE & SEC SOLUTIO 7,918 UNCH $110
     KTOS7,918UNCH$110
PRA GROUP INC 3,955 UNCH $110
     PRAA3,955UNCH$110
CAVCO INDS INC DEL 750 UNCH $109
     CVCO750UNCH$109
HAMILTON LANE INC 1,974 +106 $109
     HLNE1,974+106$109
LKQ CORP 5,333 UNCH $109
     LKQ5,333UNCH$109
PHILLIPS 66 PARTNERS LP 3,000 +3,000 $109
     PSXP3,000+3,000$109
INVESCO EXCH TRD SLF IDX FD 5,174 -444 $108
     BSCK5,174-444$108
CORE MARK HOLDING CO INC 3,796 UNCH $108
     CORE3,796UNCH$108
EPIZYME INC 6,949 +296 $108
     EPZM6,949+296$108
GLAUKOS CORP 3,494 +104 $108
     GKOS3,494+104$108
GLOBAL NET LEASE INC 8,088 +357 $108
     GNL8,088+357$108
INOVALON HLDGS INC 6,512 +302 $108
     INOV6,512+302$108
WOLVERINE WORLD WIDE INC 7,117 +273 $108
     WWW7,117+273$108
GREEN DOT CORP 4,218 -13,480 $107
     GDOT4,218-13,480$107
INNOVATIVE INDL PPTYS INC 1,407 +509 $107
     IIPR1,407+509$107
LTC PPTYS INC 3,459 UNCH $107
     LTC3,459UNCH$107
LIVE NATION ENTERTAINMENT IN 2,351 UNCH $107
     LYV2,351UNCH$107
RAMBUS INC DEL 9,662 UNCH $107
     RMBS9,662UNCH$107
TERRAFORM PWR INC 6,811 UNCH $107
     TERP6,811UNCH$107
AMERICAN ASSETS TR INC 4,223 UNCH $106
     AAT4,223UNCH$106
ARGO GROUP INTL HLDGS LTD 2,857 UNCH $106
     ARGO2,857UNCH$106
BMC STK HLDGS INC 5,982 +234 $106
     BMCH5,982+234$106
EASTMAN CHEM CO 2,269 UNCH $106
     EMN2,269UNCH$106
INTERPUBLIC GROUP COS INC 6,573 UNCH $106
     IPG6,573UNCH$106
INVITAE CORP 7,788 +377 $106
     NVTA7,788+377$106
RENASANT CORP 4,869 UNCH $106
     RNST4,869UNCH$106
TURNING POINT THERAPEUTICS I 2,380 UNCH $106
     TPTX2,380UNCH$106
AMERISAFE INC 1,636 UNCH $105
     AMSF1,636UNCH$105
CROCS INC 6,168 +236 $105
     CROX6,168+236$105
CARDIOVASCULAR SYS INC DEL 2,986 UNCH $105
     CSII2,986UNCH$105
HOWMET AEROSPACE INC 6,525 +6,525 $105
     HWM6,525+6,525$105
M D C HLDGS INC 4,540 +204 $105
     MDC4,540+204$105
SVMK INC 7,779 +435 $105
     SVMK7,779+435$105
TOWNEBANK PORTSMOUTH VA 5,819 UNCH $105
     TOWN5,819UNCH$105
CF INDS HLDGS INC 3,840 UNCH $104
     CF3,840UNCH$104
MASONITE INTL CORP NEW 2,187 UNCH $104
     DOOR2,187UNCH$104
ESSENTIAL PPTYS RLTY TR INC 7,972 +1,333 $104
     EPRT7,972+1,333$104
WORKIVA INC 3,228 UNCH $104
     WK3,228UNCH$104
ISHARES TR (AGZ) 860 UNCH $103
     AGZ860UNCH$103
ASSURANT INC 989 -117 $103
     AIZ989-117$103
BANNER CORP 3,119 +175 $103
     BANR3,119+175$103
B & G FOODS INC NEW 5,687 UNCH $103
     BGS5,687UNCH$103
DISCOVERY INC 5,844 UNCH $103
     DISCK5,844UNCH$103
ENERGY TRANSFER LP 22,421 +22,421 $103
     ET22,421+22,421$103
FORTUNE BRANDS HOME & SEC IN 2,381 UNCH $103
     FBHS2,381UNCH$103
SPX FLOW INC 3,637 UNCH $103
     FLOW3,637UNCH$103
KARYOPHARM THERAPEUTICS INC 5,338 +452 $103
     KPTI5,338+452$103
LAUREATE EDUCATION INC 9,838 -312 $103
     LAUR9,838-312$103
PRICESMART INC 1,964 UNCH $103
     PSMT1,964UNCH$103
GREAT WESTN BANCORP INC 4,997 UNCH $102
     GWB4,997UNCH$102
INDUSTRIAL LOGISTICS PPTYS T 5,794 +381 $102
     ILPT5,794+381$102
LIBERTY LATIN AMERICA LTD 9,988 UNCH $102
     LILAK9,988UNCH$102
MGM RESORTS INTERNATIONAL 8,667 UNCH $102
     MGM8,667UNCH$102
NORTHWEST BANCSHARES INC MD (NWBI) 8,819 UNCH $102
     NWBI8,819UNCH$102
PERRIGO CO PLC 2,125 UNCH $102
     PRGO2,125UNCH$102
XENIA HOTELS & RESORTS INC 9,886 UNCH $102
     XHR9,886UNCH$102
ALTRA INDL MOTION CORP 5,751 +279 $101
     AIMC5,751+279$101
SCHWAB STRATEGIC TR 3,247 +3,247 $101
     FNDX3,247+3,247$101
LUMINEX CORP DEL 3,659 UNCH $101
     LMNX3,659UNCH$101
OSI SYSTEMS INC 1,463 UNCH $101
     OSIS1,463UNCH$101
APOLLO COML REAL EST FIN INC 13,478 UNCH $100
     ARI13,478UNCH$100
FIRST BANCORP P R 18,815 UNCH $100
     FBP18,815UNCH$100
IROBOT CORP 2,456 +124 $100
     IRBT2,456+124$100
MOBILE MINI INC 3,826 UNCH $100
     MINI3,826UNCH$100
SUNRUN INC 9,929 UNCH $100
     RUN9,929UNCH$100
SPDR SER TR (SHE) 1,703 +297 $100
     SHE1,703+297$100
WALKER & DUNLOP INC 2,490 +113 $100
     WD2,490+113$100
DRIL QUIP INC 3,250 +177 $99
     DRQ3,250+177$99
PULTE GROUP INC 4,425 UNCH $99
     PHM4,425UNCH$99
SNAP ON INC 918 -105 $99
     SNA918-105$99
TEXTRON INC 3,724 -349 $99
     TXT3,724-349$99
FIRST INTST BANCSYSTEM INC 3,391 +195 $98
     FIBK3,391+195$98
KNOWLES CORP 7,306 +405 $98
     KN7,306+405$98
MATADOR RES CO 39,640 UNCH $98
     MTDR39,640UNCH$98
UNITI GROUP INC 16,329 UNCH $98
     UNIT16,329UNCH$98
VERACYTE INC 4,016 UNCH $98
     VCYT4,016UNCH$98
ARTISAN PARTNERS ASSET MGMT 4,498 +240 $97
     APAM4,498+240$97
CORCEPT THERAPEUTICS INC 8,144 UNCH $97
     CORT8,144UNCH$97
KAISER ALUMINUM CORP 1,405 UNCH $97
     KALU1,405UNCH$97
MONMOUTH REAL ESTATE INVT CO 8,073 UNCH $97
     MNR8,073UNCH$97
PACIFIC PREMIER BANCORP 5,168 UNCH $97
     PPBI5,168UNCH$97
REGENXBIO INC 2,991 +150 $97
     RGNX2,991+150$97
VORNADO RLTY TR 2,668 UNCH $97
     VNO2,668UNCH$97
WHIRLPOOL CORP 1,145 UNCH $97
     WHR1,145UNCH$97
CENTRAL GARDEN & PET CO 3,755 +301 $96
     CENTA3,755+301$96
HELIOS TECHNOLOGIES INC 2,542 UNCH $96
     HLIO2,542UNCH$96
NATIONAL GEN HLDGS CORP 5,773 UNCH $96
     NGHC5,773UNCH$96
SHAKE SHACK INC 2,549 UNCH $96
     SHAK2,549UNCH$96
BANDWIDTH INC 1,419 UNCH $95
     BAND1,419UNCH$95
CITY HLDG CO 1,429 +97 $95
     CHCO1,429+97$95
WYNN RESORTS LTD 1,576 -105 $95
     WYNN1,576-105$95
YETI HLDGS INC 4,863 +1,444 $95
     YETI4,863+1,444$95
ACADIA RLTY TR 7,600 +352 $94
     AKR7,600+352$94
ALTAIR ENGR INC 3,553 +234 $94
     ALTR3,553+234$94
CBIZ INC 4,490 UNCH $94
     CBZ4,490UNCH$94
PRINCIPIA BIOPHARMA INC 1,581 UNCH $94
     PRNB1,581UNCH$94
ISHARES TR (TIP) 803 -29 $94
     TIP803-29$94
ASBURY AUTOMOTIVE GROUP INC 1,683 UNCH $93
     ABG1,683UNCH$93
ALLEGIANT TRAVEL CO 1,137 UNCH $93
     ALGT1,137UNCH$93
MAGELLAN HEALTH INC 1,928 UNCH $93
     MGLN1,928UNCH$93
PALOMAR HLDGS INC 1,601 +525 $93
     PLMR1,601+525$93
VECTOR GROUP LTD 9,919 +649 $93
     VGR9,919+649$93
AIR TRANSPORT SERVICES GRP I 5,010 UNCH $92
     ATSG5,010UNCH$92
AXOS FINL INC 5,080 UNCH $92
     AX5,080UNCH$92
HEARTLAND FINL USA INC 3,037 UNCH $92