HoldingsChannel.com
All Stocks Held By Amundi Pioneer Asset Management Inc.
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 17,649,909 -4,239,108 $2,506,892
     MSFT17,649,909-4,239,108$2,506,892
AMAZON COM INC 1,219,418 +308,209 $2,377,524
     AMZN1,219,418+308,209$2,377,524
APPLE INC 7,033,632 -1,498,672 $1,733,409
     AAPL7,033,632-1,498,672$1,733,409
ALIBABA GROUP HLDG LTD 5,358,141 -442,325 $1,042,051
     BABA5,358,141-442,325$1,042,051
FACEBOOK INC 6,022,849 +1,955,250 $1,004,610
     FB6,022,849+1,955,250$1,004,610
ALPHABET INC 810,944 -50,997 $942,972
     GOOG810,944-50,997$942,972
HOME DEPOT INC 5,273,140 +55,075 $924,297
     HD5,273,140+55,075$924,297
ALPHABET INC 788,558 -180,107 $916,266
     GOOGL788,558-180,107$916,266
PEPSICO INC 6,453,943 -296,174 $774,729
     PEP6,453,943-296,174$774,729
VERIZON COMMUNICATIONS INC 15,812,397 -262,779 $766,734
     VZ15,812,397-262,779$766,734
ADOBE INC 2,376,804 +247,880 $756,393
     ADBE2,376,804+247,880$756,393
JOHNSON & JOHNSON 5,197,728 +472,064 $681,578
     JNJ5,197,728+472,064$681,578
MEDTRONIC PLC 7,375,758 -1,592,880 $664,849
     MDT7,375,758-1,592,880$664,849
LINDE PLC 3,768,956 -1,802,754 $652,029
     LIN3,768,956-1,802,754$652,029
MASTERCARD INC 2,617,647 -437,716 $632,317
     MA2,617,647-437,716$632,317
PROGRESSIVE CORP OHIO 8,442,492 +866,527 $623,396
     PGR8,442,492+866,527$623,396
MERCK & CO. INC 7,603,098 -757,380 $584,982
     MRK7,603,098-757,380$584,982
ELI LILLY & CO 4,058,325 -847,666 $562,969
     LLY4,058,325-847,666$562,969
WALMART INC 4,819,532 -912,907 $547,596
     WMT4,819,532-912,907$547,596
VISA INC 3,301,652 -252,703 $531,964
     V3,301,652-252,703$531,964
BANK OF AMERICA CORP 23,387,620 +6,670,827 $496,522
     BAC23,387,620+6,670,827$496,522
ACCENTURE PLC IRELAND 2,938,250 -208,185 $479,696
     ACN2,938,250-208,185$479,696
PAYPAL HLDGS INC 4,832,336 +533,176 $462,648
     PYPL4,832,336+533,176$462,648
THERMO FISHER SCIENTIFIC 1,554,923 -190,225 $440,976
     TMO1,554,923-190,225$440,976
ELECTRONIC ARTS INC 4,346,516 +1,173,850 $435,392
     EA4,346,516+1,173,850$435,392
SALESFORCE COM INC 2,910,739 +1,294,044 $419,085
     CRM2,910,739+1,294,044$419,085
INTERCONTINENTAL EXCHANGE INC (ICE) 4,832,289 -702,694 $390,208
     ICE4,832,289-702,694$390,208
BERKSHIRE HATHAWAY INC DEL      $372,964
     BRK.B2,036,985-170,609$372,420
     BRK.A2-433$544
BIOGEN INC 1,168,912 +308,789 $369,820
     BIIB1,168,912+308,789$369,820
NVIDIA CORP 1,402,271 +311,360 $369,639
     NVDA1,402,271+311,360$369,639
ELANCO ANIMAL HEALTH INC 16,316,507 +796 $365,326
     ELAN16,316,507+796$365,326
ROSS STORES INC 3,773,213 -610,113 $328,156
     ROST3,773,213-610,113$328,156
BOOKING HLDGS INC 242,387 -65,762 $326,089
     BKNG242,387-65,762$326,089
DISNEY WALT CO 3,359,562 +85,331 $324,532
     DIS3,359,562+85,331$324,532
PROCTER & GAMBLE CO 2,928,889 -531,003 $322,178
     PG2,928,889-531,003$322,178
UNION PAC CORP 2,222,546 +713,265 $313,467
     UNP2,222,546+713,265$313,467
STANLEY BLACK & DECKER INC 3,086,124 +32 $308,614
     SWK3,086,124+32$308,614
FERRARI N V 1,985,622 +289,434 $302,947
     RACE1,985,622+289,434$302,947
MOTOROLA SOLUTIONS INC 2,264,827 +2,049,283 $301,043
     MSI2,264,827+2,049,283$301,043
ECOLAB INC 1,945,758 +101,986 $288,731
     ECL1,945,758+101,986$288,731
NIKE INC 3,477,869 +442,474 $287,759
     NKE3,477,869+442,474$287,759
ZOETIS INC 2,424,546 -467,425 $285,344
     ZTS2,424,546-467,425$285,344
CHARLES SCHWAB NEW 8,478,105 +3,381,164 $285,035
     SCHW8,478,105+3,381,164$285,035
ZIMMER BIOMET HLDGS INC COM 2,808,517 +247,506 $283,886
     ZBH2,808,517+247,506$283,886
CDW CORP 2,997,434 +30,842 $279,570
     CDW2,997,434+30,842$279,570
MARSH & MCLENNAN COS INC 3,219,405 -1,447,853 $278,348
     MMC3,219,405-1,447,853$278,348
DANAHER CORPORATION      $278,323
     DHR2,121,539+105,411$275,497
     DHR.PRA2,710-176$2,826
EDWARD LIFESCIENCES CORP 1,444,991 +146,570 $272,554
     EW1,444,991+146,570$272,554
O REILLY AUTOMOTIVE INC NEW 902,227 +163,132 $271,613
     ORLY902,227+163,132$271,613
COMCAST CORP NEW 10,009,778 -835,213 $267,872
     CMCSA10,009,778-835,213$267,872
INTEL CORP 5,394,203 -990,811 $263,388
     INTC5,394,203-990,811$263,388
FIDELITY NATL INFORMATION SE 2,164,675 +1,239,494 $263,313
     FIS2,164,675+1,239,494$263,313
MICRON TECHNOLOGY INC 5,966,441 -407,082 $250,949
     MU5,966,441-407,082$250,949
JPMORGAN CHASE & CO 2,774,654 -5,038,414 $249,800
     JPM2,774,654-5,038,414$249,800
ABBVIE INC 4,836,414 -282,544 $238,379
     ABBV4,836,414-282,544$238,379
AMPHENOL CORP NEW 3,207,217 +328,605 $233,743
     APH3,207,217+328,605$233,743
UNITED PARCEL SERVICE INC 2,472,869 -307,801 $231,014
     UPS2,472,869-307,801$231,014
PFIZER INC 6,886,978 -2,725,950 $224,792
     PFE6,886,978-2,725,950$224,792
WELLS FARGO CO NEW 7,815,255 -2,845,342 $224,297
     WFC7,815,255-2,845,342$224,297
COOPER CO INC NEW 806,046 -109,043 $222,203
     COO806,046-109,043$222,203
S&P GLOBAL INC 886,749 +469,048 $217,299
     SPGI886,749+469,048$217,299
CATERPILLAR INC DEL 1,866,251 +739,408 $216,558
     CAT1,866,251+739,408$216,558
ABBOTT LABS 2,479,876 -640,182 $195,684
     ABT2,479,876-640,182$195,684
MONDELEZ INTL INC 3,886,900 -238,887 $194,655
     MDLZ3,886,900-238,887$194,655
INTERNATIONAL FLAVORS&FRAGRANC 1,900,182 +77,099 $193,970
     IFF1,900,182+77,099$193,970
STARBUCKS CORP 2,915,666 +1,434,271 $191,678
     SBUX2,915,666+1,434,271$191,678
NEXTERA ENERGY INC 795,540 +144,385 $189,709
     NEE795,540+144,385$189,709
AT&T INC 6,498,728 -8,795,193 $189,212
     T6,498,728-8,795,193$189,212
CME GROUP INC 1,091,440 +646 $188,720
     CME1,091,440+646$188,720
BRISTOL MYERS SQUIBB CO      $187,979
     BMY4,377,467-471,122$187,659
     CONTNGNT VAL RT84,324-92,489$320
CISCO SYS INC 4,681,458 -1,957,022 $184,029
     CSCO4,681,458-1,957,022$184,029
FIAT CHRYSLER AUTOMOBILES N V 25,143,526 +4,695,676 $180,782
     FCAU25,143,526+4,695,676$180,782
BECTON DICKINSON & CO 777,879 -12,736 $178,734
     BDX777,879-12,736$178,734
UnitedHealth Group Inc 836,157 -677,076 $176,206
     UNH836,157-677,076$176,206
CNH INDL N V 30,899,043 +7,065,258 $173,342
     CNHI30,899,043+7,065,258$173,342
LAM RESEARCH CORP 695,711 -445,438 $166,973
     LRCX695,711-445,438$166,973
AGILENT TECHNOLOGIES INC 2,619,554 -10,225 $165,928
     A2,619,554-10,225$165,928
AMGEN INC 916,465 -111,918 $163,715
     AMGN916,465-138,518$163,715
Gilead Sciences Inc 4,103,738 -362,256 $159,015
     GILD4,103,738-362,256$159,015
MCDONALDS CORP 921,188 -463,239 $152,213
     MCD921,188-463,239$152,213
ILL TOOL WORKS INC 1,047,924 +222,630 $148,932
     ITW1,047,924+222,630$148,932
COCA COLA CO 3,322,685 -227,102 $146,852
     KO3,322,685-227,102$146,852
DEUTSCHE BANK A G 22,642,986 -1,532,573 $145,369
     DB22,642,986-1,532,573$145,369
QIAGEN NV      $143,404
     QGEN2,786,745+958,647$115,927
     COCO 2421,800,000-200,000$24,518
     SR GLBL REGS 212,000,000+1,200,000$2,959
CHEVRON CORP NEW 2,314,032 +134,745 $142,572
     CVX2,314,032+134,745$142,572
ADVANCED MICRO DEVICES INC 3,115,109 -399,605 $141,677
     AMD3,115,109-399,605$141,677
BLACKROCK INC 315,918 +25,627 $138,800
     BLK315,918+25,627$138,800
NETEASE INC 436,700 +18,975 $137,900
     NTES436,700+18,975$137,900
UBS GROUP AG 14,661,233 -1,638,159 $135,764
     UBS14,661,233-1,638,159$135,764
NETFLIX INC 351,562 +47,200 $132,011
     NFLX351,562+47,200$132,011
EXXON MOBIL CORP 3,437,535 -1,371,770 $130,523
     XOM3,437,535-1,371,770$130,523
TJX COS INC NEW 2,701,885 -901,298 $129,176
     TJX2,701,885-901,298$129,176
ESSEX PPTY TR INC 576,014 -186,216 $126,862
     ESS576,014-186,216$126,862
ANTHEM INC 553,398 +264,692 $125,360
     ANTM553,398+264,692$125,360
VERTEX PHARMACEUTICALS INC 525,362 +243,643 $125,011
     VRTX525,362+243,643$125,011
NXP SEMICONDUCTORS N V 1,624,382 -116,076 $120,916
     NXPI1,624,382-116,076$120,916
PROLOGIS INC. 1,489,572 +152,232 $119,717
     PLD1,489,572+152,232$119,717
TEXAS INSTRS INC 1,861,610 -14,531 $119,357
     TXN1,861,610-14,531$119,357
ROCKWELL AUTOMATION INC 790,617 +474,487 $119,312
     ROK790,617+474,487$119,312
WASTE MGMT INC DEL 1,281,271 -238,638 $118,595
     WM1,281,271-238,638$118,595
HONEYWELL INTL INC 880,395 -786,019 $117,787
     HON880,395-786,019$117,787
AMERICAN WTR WKS CO INC NEW 973,208 +4,351 $116,359
     AWK973,208+4,351$116,359
Digital Realty Trust Inc 836,122 -395,057 $115,786
     DLR836,122-395,057$115,786
ANALOG DEVICES INC 1,290,972 +249,567 $115,735
     ADI1,290,972+249,567$115,735
CITIGROUP INC 2,685,163 -816,056 $113,098
     C2,685,163-816,056$113,098
COGNIZANT TECHNOLOGY SOLUTIONS 2,381,997 -279,407 $110,687
     CTSH2,381,997-279,407$110,687
COSTCO WHSL CORP NEW 365,452 -851,097 $104,200
     COST365,452-851,097$104,200
RAYTHEON CO 773,460 -2,058,213 $101,439
     RTN773,460-2,058,213$101,439
ORACLE CORP 3,062,701 -442,266 $101,158
     ORCL3,062,701-442,266$101,158
MONSTER BEVERAGE CORP NEW 1,786,202 +1,166,051 $100,491
     MNST1,786,202+1,166,051$100,491
CVS HEALTH CORP 1,683,265 -605,505 $99,867
     CVS1,683,265-605,505$99,867
CITRIX SYS INC 702,887 -352,864 $99,385
     CTXS702,887-352,864$99,385
DOLLAR GEN CORP NEW 646,928 +24,593 $97,692
     DG646,928+24,593$97,692
BROADCOM INC 702,325 -1,205,131 $95,947
     AVGO702,325-1,205,131$95,947
NEWMONT CORP      $94,970
     NEM2,087,400-646,953$94,517
     Call10,000UNCH$453
TRANE TECHNOLOGIES PLC 1,294,321 +1,294,321 $94,219
     TT1,294,321+1,294,321$94,219
EVERSOURCE ENERGY 1,196,703 +763,039 $93,593
     ES1,196,703+763,039$93,593
INCYTE CORP 1,276,848 +976,926 $93,504
     INCY1,276,848+976,926$93,504
ARISTA NETWORKS INC 459,560 -10,677 $93,084
     ANET459,560-10,677$93,084
IBM 1,595,605 -1,082,089 $93,037
     IBM1,595,605-1,082,089$93,037
BAIDU INC 906,555 -107,844 $91,372
     BIDU906,555-107,844$91,372
MORGAN STANLEY 4,282,618 -1,842,243 $89,952
     MS4,282,618-1,842,243$89,952
XYLEM INC 1,753,392 -411,853 $87,518
     XYL1,753,392-411,853$87,518
BAXTER INTL INC 1,058,652 -166,918 $85,952
     BAX1,058,652-166,918$85,952
HUMANA INC 273,018 -513,794 $85,734
     HUM273,018-513,794$85,734
General Mills Inc      $85,463
     GIS2,895,613+421,369$84,935
     Call10,000UNCH$528
TAL EDUCATION GROUP 1,595,898 +242,085 $84,998
     TAL1,595,898+242,085$84,998
LOWES COS INC 972,870 -440,865 $83,717
     LOW972,870-440,865$83,717
KANSAS CITY SOUTHERN 657,629 -79,486 $83,638
     KSU657,629-79,486$83,638
VERISIGN INC 463,244 +295,124 $83,426
     VRSN463,244+295,124$83,426
ALEXANDRIA REAL ESTATE EQ INC 606,966 +91,736 $83,193
     ARE606,966+91,736$83,193
KIMBERLY CLARK CORP 1,223,829 +338,512 $83,070
     KMB1,223,829+338,512$83,070
CHARTER COMMUNICATIONS INC NEW 189,216 +65,563 $82,557
     CHTR189,216+65,563$82,557
WEC ENERGY GROUP INC 936,543 -164,767 $82,536
     WEC936,543-164,767$82,536
INTUIT 359,396 -203,255 $82,513
     INTU359,396-203,255$82,513
SCHLUMBERGER LTD      $82,071
     SLB6,073,955-1,487,240$81,936
     Call10,000UNCH$135
V F CORP 1,502,216 +483,362 $81,242
     VFC1,502,216+483,362$81,242
ALCON AG 1,586,704 +331,000 $80,638
     ALC1,586,704+331,000$80,638
ALIGN TECHNOLOGY INC 462,316 +140,343 $80,419
     ALGN462,316+140,343$80,419
AMERICAN EXPRESS CO 939,137 +208,992 $80,400
     AXP939,137+208,992$80,400
NEW ORIENTAL ED & TECH GRP INC 733,176 +195,741 $79,359
     EDU733,176+195,741$79,359
CHUBB LIMITED 708,554 -147,238 $79,137
     CB708,554-147,238$79,137
TRACTOR SUPPLY CO 925,551 -1,154,963 $78,258
     TSCO925,551-1,154,963$78,258
UNITED RENTALS INC 757,765 -436,035 $77,974
     URI757,765-436,035$77,974
FEDEX CORP 635,122 -543,060 $77,018
     FDX635,122-543,060$77,018
SYNOPSYS INC 597,560 +83,721 $76,961
     SNPS597,560+83,721$76,961
L3HARRIS TECHNOLOGIES INC      $76,616
     LHX350,361-40,029$63,107
     Call75,000+75,000$13,509
TARGET CORP 821,913 -215,429 $76,415
     TGT821,913-215,429$76,415
Automatic Data Processing Inc 784,506 -110,011 $73,937
     ADP784,506-110,011$73,937
EXACT SCIENCES CORP      $73,849
     EXAS854,024+252,864$49,533
     SR GLBL COCO 2823,125,000+23,125,000$18,143
     SR CV NT07,347,000-430,000$6,173
SOLAREDGE TECHNOLOGIES INC 913,365 +294,790 $73,785
     SEDG913,365+294,790$73,785
CLOROX CO DEL 425,355 +45,082 $73,693
     CLX425,355+45,082$73,693
CIGNA CORP NEW 410,508 -282,626 $72,733
     CI410,508-282,626$72,733
COLGATE PALMOLIVE CO 1,710,155 -807,264 $71,981
     CL1,710,155-807,264$71,981
AMEREN CORP 985,373 -8,490 $71,765
     AEE985,373-8,490$71,765
GENERAC HLDGS INC 769,440 -78,561 $71,688
     GNRC769,440-78,561$71,688
DEXCOM INC      $71,653
     DXCM254,765-2,586$68,601
     SR GLBL COCO 231,746,000+1,746,000$3,052
SERVICENOW INC      $70,928
     NOW240,521+354$68,927
     SR GLBL COCO 22940,000-60,000$2,001
AMERICAN ELEC PWR CO INC 886,668 -111,727 $70,916
     AEP886,668-181,327$70,916
PRICE T ROWE GROUP INC 725,505 -54,361 $70,845
     TROW725,505-54,361$70,845
PACCAR INC 1,155,549 -469,119 $70,637
     PCAR1,155,549-469,119$70,637
PALO ALTO NETWORKS INC      $70,628
     PANW305,885-7,851$50,154
     SR GLBL COCO 2321,211,000-1,027,000$20,474
MARVELL TECHNOLOGY GROUP LTD 3,097,579 +191,551 $70,099
     MRVL3,097,579+191,551$70,099
DOW INC 2,389,546 -338,135 $69,871
     DOW2,389,546-338,135$69,871
FORTINET INC 689,059 +398,426 $69,712
     FTNT689,059+398,426$69,712
3M CO 903,648 -225,028 $69,355
     MMM903,648-225,028$69,355
EBAY INC. 2,279,906 -47,223 $68,537
     EBAY2,279,906-47,223$68,537
TRANSUNION 1,034,002 +363,372 $68,432
     TRU1,034,002+363,372$68,432
NORFOLK SOUTHERN CORP 463,493 -364,827 $67,668
     NSC463,493-364,827$67,668
AGNICO EAGLE MINES LTD 1,691,060 +251,935 $67,289
     AEM1,691,060+251,935$67,289
NETAPP INC 2,843,198 -332,270 $67,248
     NTAP2,843,198-332,270$67,248
ILLUMINA INC      $67,101
     ILMN234,009-9,771$63,912
     SR GLBL COCO 233,333,000-215,000$3,189
COCA COLA EUROPEAN PARTNERS P 1,779,726 +292,422 $66,794
     CCEP1,779,726+292,422$66,794
INTUITIVE SURGICAL INC 133,837 -29,977 $66,276
     ISRG133,837-29,977$66,276
KLA CORPORATION 458,151 -33,330 $65,855
     KLAC458,151-33,330$65,855
EQUINIX INC 105,261 -10,276 $65,745
     EQIX105,261-10,276$65,745
Applied Materials Inc 1,431,009 -285,938 $65,355
     AMAT1,431,009-285,938$65,355
AUTODESK INC 416,531 +236,300 $65,020
     ADSK416,531+236,300$65,020
EOG RES INC 1,802,024 -700,320 $64,730
     EOG1,802,024-700,320$64,730
ASTRAZENECA PLC 1,439,302 +3,521 $64,279
     AZN1,439,302+3,521$64,279
SYSCO CORP 1,599,590 -1,586,068 $63,853
     SYY1,599,590-1,586,068$63,853
ALEXION PHARMACEUTICALS INC 709,100 -54,424 $63,669
     ALXN709,100-54,424$63,669
MCKESSON CORP 803,295 -113,663 $63,127
     MCK803,295-113,663$63,127
BARRICK GOLD CORPORATION 3,419,454 -527,477 $62,643
     GOLD3,419,454-527,477$62,643
KELLOGG CO 1,036,313 -139,572 $62,169
     K1,036,313-139,572$62,169
HOLOGIC INC 1,765,746 +1,170,124 $61,979
     HOLX1,765,746+1,048,924$61,979
REGENERON PHARMACEUTICALS 126,922 -49,540 $61,975
     REGN126,922-49,540$61,975
BALL CORP 956,917 -112,259 $61,876
     BLL956,917-112,259$61,876
PNC FINL SVCS GROUP INC 646,220 -138,455 $61,858
     PNC646,220-138,455$61,858
MCCORMICK & CO INC 432,262 +175,935 $61,040
     MKC432,262+175,935$61,040
ZENDESK INC      $60,661
     ZEN917,287+60,820$58,715
     SR GLBL COCO 231,647,000-99,000$1,946
QUALCOMM INC 896,067 -110,872 $60,619
     QCOM896,067-110,872$60,619
COSTAR GROUP INC 103,176 -18,645 $60,584
     CSGP103,176-18,645$60,584
AMERICAN TOWER CORP NEW 277,980 -51,674 $60,530
     AMT277,980-51,674$60,530
GLOBAL PMTS INC 414,930 -60,787 $59,845
     GPN414,930-60,787$59,845
TECHNIPFMC PLC 8,810,712 -8,557,195 $59,385
     FTI8,810,712-8,557,195$59,385
TELADOC HEALTH INC 378,194 -403,826 $58,624
     TDOC378,194-403,826$58,624
EATON CORP PLC 766,559 -73,859 $58,335
     ETN766,559-73,859$58,335
QORVO INC 717,844 +633,297 $57,880
     QRVO717,844+633,297$57,880
VALERO ENERGY CORP      $57,139
     VLO2,989,258-151,299$56,912
     Call5,000-5,000$227
CENTENE CORP DEL 951,899 +140,808 $56,552
     CNC951,899+140,808$56,552
HP INC 4,134,006 +960,817 $56,529
     HPQ4,134,006+960,817$56,529
Johnson Controls International PLC 3,357,204 +207,689 $56,066
     JCI3,357,204+207,689$56,066
FISERV INC 582,601 -129,301 $55,342
     FISV582,601-129,301$55,342
ALLIANT ENERGY CORP 1,145,806 -195,576 $55,331
     LNT1,145,806-195,576$55,331
AMERISOURCEBERGEN CORP 1,984,512 -215,229 $55,207
     ABC1,984,512-215,229$55,207
Best Buy Company Inc 2,662,361 -131,428 $54,802
     BBY2,662,361-131,428$54,802
HERSHEY CO 412,416 -73,049 $54,646
     HSY412,416-73,049$54,646
SUN LIFE FINANCIAL INC. 1,697,999 -90,260 $54,489
     SLF1,697,999-90,260$54,489
BANK NEW YORK MELLON CORP 1,586,479 -293,872 $53,430
     BK1,586,479-293,872$53,430
SBA COMMUNICATIONS CORP NEW 195,441 +44,919 $52,764
     SBAC195,441+44,919$52,764
MSCI INC 181,778 -32,386 $52,526
     MSCI181,778-32,386$52,526
TWILIO INC 580,910 +52,772 $51,985
     TWLO580,910+52,772$51,985
UBER TECHNOLOGIES INC 1,841,827 +673,381 $51,425
     UBER1,841,827+673,381$51,425
LAUDER ESTEE COS INC 321,498 -13,323 $51,229
     EL321,498-13,323$51,229
RELIANCE STEEL & ALUMINUM CO 621,978 +29,727 $51,187
     RS621,978+29,727$51,187
PHILLIPS 66 943,409 -110,583 $50,614
     PSX943,409-110,583$50,614
STRYKER CORP 303,176 -77,022 $50,474
     SYK303,176-77,022$50,474
BORGWARNER INC 2,065,996 -1,855,447 $50,348
     BWA2,065,996-1,855,447$50,348
BOSTON SCIENTIFIC CORP 1,542,664 -460,848 $50,336
     BSX1,542,664-460,848$50,336
Public Service Enterprise Group Inc 1,901,555 -110,859 $50,322
     PEG1,901,555-110,859$50,322
AVALONBAY CMNTYS INC 338,424 +74,098 $49,806
     AVB338,424+74,098$49,806
NORTHERN TR CORP 1,684,432 -72,373 $49,685
     NTRS1,684,432-72,373$49,685
LULULEMON ATHLETICA INC 260,736 +35,954 $49,426
     LULU260,736+35,954$49,426
AKAMAI TECHNOLOGIES INC      $49,286
     AKAM462,177+279,461$42,285
     SR GLBL COCO 256,273,000UNCH$7,001
DEERE & CO 354,325 -193,362 $48,824
     DE354,325-193,362$48,824
PHILIP MORRIS INTL INC 666,591 -106,396 $48,633
     PM666,591-106,396$48,633
QUEST DIAGNOSTICS INC 1,338,946 -144,941 $48,629
     DGX1,338,946-144,941$48,629
VEEVA SYS INC 310,741 -22,021 $48,590
     VEEV310,741-22,021$48,590
CELANESE CORP DEL 660,685 +6,172 $48,486
     CE660,685+6,172$48,486
Essential Utilities Inc 1,806,982 +1,806,982 $48,381
     WTRG1,806,982+1,806,982$48,381
SOUTHERN CO 884,723 -599,011 $47,897
     SO884,723-599,011$47,897
AIR PRODS & CHEMS INC 239,532 -52,486 $47,815
     APD239,532-52,486$47,815
ROPER TECHNOLOGIES INC 217,871 -31,446 $47,565
     ROP217,871-31,446$47,565
TRIP COM GROUP LTD 2,024,783 -34,230 $47,481
     TCOM2,024,783-34,230$47,481
Omnicom Group Inc 2,827,339 +60,413 $47,458
     OMC2,827,339+60,413$47,458
ALLSTATE CORP 509,053 -147,101 $46,695
     ALL509,053-147,101$46,695
TRUIST FINL CORP 1,491,479 -113,958 $45,997
     TFC1,491,479-113,958$45,997
FRANCO NEVADA CORP 457,829 -114,185 $45,562
     FNV457,829-114,185$45,562
Cummins Inc 1,166,348 -300,434 $45,464
     CMI1,166,348-300,434$45,464
EXELON CORP 1,783,744 +5,022 $45,401
     EXC1,783,744+5,022$45,401
LOGITECH INTL S A 1,056,269 -470,650 $45,346
     LOGI1,056,269-470,650$45,346
BLACKSTONE GROUP INC 991,260 +40,357 $45,171
     BX991,260+40,357$45,171
TAKE TWO INTERACTIVE SOFTWARE 378,108 +215,594 $44,847
     TTWO378,108+215,594$44,847
THOMSON REUTERS CORP. 652,894 -13,530 $44,304
     TRI652,894-13,530$44,304
VERISK ANALYTICS INC 317,801 -61,972 $44,295
     VRSK317,801-61,972$44,295
First Solar Inc 1,340,318 +376,880 $44,258
     FSLR1,340,318+376,880$44,258
SVB FINANCIAL GROUP 290,842 -30,877 $43,938
     SIVB290,842-30,877$43,938
CONOCOPHILLIPS 1,422,129 -825,939 $43,802
     COP1,422,129-825,939$43,802
GORMAN RUPP CO 1,402,832 -2,139 $43,782
     GRC1,402,832-2,139$43,782
ACTIVISION BLIZZARD INC 719,804 -807,592 $42,816
     ATVI719,804-807,592$42,816
CENTURYLINK INC 4,431,400 +336,159 $41,920
     CTL4,431,400+336,159$41,920
LEIDOS HOLDINGS INC 455,397 -20,119 $41,735
     LDOS455,397-20,119$41,735
IAC INTERACTIVECORP 231,718 -16,521 $41,531
     IAC231,718-16,521$41,531
DOMINION ENERGY INC 571,187 -116,500 $41,235
     D571,187-116,500$41,235
SUN CMNTYS INC 329,549 +17,695 $41,143
     SUI329,549+17,695$41,143
CLARIVATE ANALYTICS PLC 1,975,903 +17,067 $41,000
     CCC1,975,903+17,067$41,000
NOVO NORDISK A S 679,767 -950,722 $40,922
     NVO679,767-950,722$40,922
YUM CHINA HLDGS INC 951,038 -174,778 $40,543
     YUMC951,038-174,778$40,543
DUKE ENERGY CORP NEW 497,079 -147,500 $40,202
     DUK497,079-147,500$40,202
APTIV PLC 836,431 -842,063 $40,131
     APTV836,431-842,063$40,131
SMUCKER J M CO 360,919 +6,317 $40,062
     SJM360,919+6,317$40,062
HESS CORP 1,201,719 +181,539 $40,015
     HES1,201,719+181,539$40,015
BOOZ ALLEN HAMILTON HLDG CORP      $39,907
     BAH364,580+25,548$24,772
     Call220,500+220,500$15,135
EMERSON ELEC CO 835,808 -3,676,997 $39,828
     EMR835,808-3,676,997$39,828
SPLUNK INC      $39,014
     SPLK215,692-34,891$27,227
     SR GLBL COCO 239,188,000-556,000$9,859
     SR GLBL COCO 251,745,000UNCH$1,928
HARTFORD FINL SVCS GROUP INC 1,096,838 -181,553 $38,653
     HIG1,096,838-181,553$38,653
AVERY DENNISON CORP 378,778 -86,974 $38,586
     AVY378,778-86,974$38,586
CAMDEN PPTY TR 480,813 -14,403 $38,101
     CPT480,813-14,403$38,101
CMS ENERGY CORP 647,427 -157,080 $38,035
     CMS647,427-157,080$38,035
TORONTO DOMINION BK ONT 889,642 -111,015 $37,711
     TD889,642-111,015$37,711
IDEXX LABS INC 154,658 -8,272 $37,462
     IDXX154,658-8,272$37,462
DUKE REALTY CORP 1,155,512 -113,549 $37,415
     DRE1,155,512-113,549$37,415
Prudential Financial Inc 2,103,463 +481,242 $37,340
     PRU2,103,463+481,242$37,340
ARCHER DANIELS MIDLAND CO 1,896,919 +682,609 $37,202
     ADM1,896,919+682,609$37,202
ROYAL BK CDA 602,504 -126,990 $37,084
     RY602,504-126,990$37,084
ULTA BEAUTY INC 209,606 -54,465 $36,829
     ULTA209,606-54,465$36,829
TE CONNECTIVITY LTD 581,094 -193,689 $36,597
     TEL581,094-193,689$36,597
WALGREENS BOOTS ALLIANCE INC 798,845 -526,842 $36,546
     WBA798,845-526,842$36,546
TAIWAN SEMICONDUCTOR MFG LTD 763,551 -246,289 $36,490
     TSM763,551-246,289$36,490
STATE STR CORP 684,095 -117,331 $36,443
     STT684,095-117,331$36,443
BOEING CO 244,327 -241,286 $36,440
     BA244,327-241,286$36,440
ENTERGY CORP NEW 385,577 -92,294 $36,232
     ETR385,577-92,294$36,232
KROGER CO 1,195,217 +259,125 $36,001
     KR1,195,217+259,125$36,001
CROWN CASTLE INTL CORP NEW 248,081 -55,884 $35,822
     CCI248,081-55,884$35,822
WILLIS TOWERS WATSON PLC LTD 207,719 -39,642 $35,281
     WLTW207,719-39,642$35,281
ALTRIA GROUP INC 911,955 -39,695 $35,266
     MO911,955-39,695$35,266
TWITTER INC      $34,884
     TWTR1,194,308-284,141$29,333
     SR GLBL COCO 245,109,000-333,000$4,581
     COCO 211,026,000-474,000$970
APOLLO GLOBAL MGMT INC 1,036,285 +447,225 $34,715
     APO1,036,285+447,225$34,715
ALLERGAN PLC 195,998 +519 $34,711
     AGN195,998+519$34,711
GENERAL ELECTRIC CO 4,369,163 +492,697 $34,692
     GE4,369,163+492,697$34,692
NUCOR CORP 953,818 -629,764 $34,356
     NUE953,818-629,764$34,356
Seagate Technology PLC 1,963,204 +488,467 $34,322
     STX1,963,204+488,467$34,322
LYONDELLBASELL INDUSTRIES N V 2,156,049 -142,199 $34,278
     LYB2,156,049-142,199$34,278
SIMON PPTY GROUP INC NEW 1,646,944 +374,560 $34,227
     SPG1,646,944+374,560$34,227
M & T BK CORP 323,484 -69,797 $33,458
     MTB323,484-69,797$33,458
ABIOMED INC 230,459 -27,026 $33,456
     ABMD230,459-27,026$33,456
CROWN HLDGS INC 576,300 -116,229 $33,449
     CCK576,300-116,229$33,449
LINCOLN NATL CORP IND 1,254,990 -203,177 $33,032
     LNC1,254,990-203,177$33,032
ALBEMARLE CORP 583,830 +238,540 $32,911
     ALB583,830+238,540$32,911
GOLDMAN SACHS GROUP INC 212,627 -144,217 $32,870
     GS212,627-144,217$32,870
FASTENAL CO 1,038,281 -204,451 $32,447
     FAST1,038,281-204,451$32,447
FIRSTENERGY CORP 807,942 +39,717 $32,374
     FE807,942-96,583$32,374
CSX CORP 559,521 -553,368 $32,059
     CSX559,521-553,368$32,059
PUBLIC STORAGE 158,797 -35,179 $31,538
     PSA158,797-35,179$31,538
CREDICORP LTD 218,675 -24,239 $31,286
     BAP218,675-24,239$31,286
HEALTHPEAK PROPERTIES INC 1,302,876 -107,035 $31,074
     PEAK1,302,876-107,035$31,074
IQVIA HLDGS INC 285,791 +93,879 $30,824
     IQV285,791+93,879$30,824
Pentair PLC 1,906,312 +404,803 $30,801
     PNR1,906,312+404,803$30,801
ANGLOGOLD ASHANTI LTD      $30,242
     AU1,374,875+251,056$22,864
     Call443,600+443,600$7,378
SKYWORKS SOLUTIONS INC 335,348 +226,026 $29,974
     SWKS335,348+226,026$29,974
CANADIAN NATL RY CO 384,952 -114,661 $29,885
     CNI384,952-114,661$29,885
TELEFLEX INCORPORATED 101,805 -7,364 $29,814
     TFX101,805-7,364$29,814
RESMED INC 201,379 -11,960 $29,549
     RMD201,379-11,960$29,549
WESTERN UN CO 6,010,769 +1,608,180 $29,307
     WU6,010,769+1,608,180$29,307
SHERWIN WILLIAMS CO 63,223 -38,558 $29,052
     SHW63,223-38,558$29,052
LAMB WESTON HLDGS INC 505,512 -25,138 $28,865
     LW505,512-25,138$28,865
EQUITY RESIDENTIAL 466,271 -101,321 $28,773
     EQR466,271-101,321$28,773
REPUBLIC SVCS INC 382,574 -245,035 $28,718
     RSG382,574-245,035$28,718
MOODYS CORP 135,076 +26,735 $28,568
     MCO135,076+26,735$28,568
CADENCE DESIGN SYSTEM INC 431,085 +141,049 $28,469
     CDNS431,085+141,049$28,469
DOLLAR TREE INC 385,329 -24,702 $28,309
     DLTR385,329-24,702$28,309
ZSCALER INC 462,470 +55,917 $28,146
     ZS462,470+55,917$28,146
TENABLE HLDGS INC 1,286,196 +222,737 $28,116
     TENB1,286,196+222,737$28,116
STERIS PLC 200,732 -10,505 $28,098
     STE200,732-10,505$28,098
First American Financial Corporation 702,273 -13,632 $27,993
     FAF702,273-13,632$27,993
Expeditors International of Washington 1,388,916 -120,874 $27,966
     EXPD1,388,916-120,874$27,966
FORTUNE BRANDS HOME & SEC INC 1,077,457 -5,450 $27,903
     FBHS1,077,457-5,450$27,903
GRUBHUB INC 684,580 -23,568 $27,883
     GRUB684,580-23,568$27,883
TELEDYNE TECHNOLOGIES INC 93,696 +23,404 $27,852
     TDY93,696+23,404$27,852
HUNTINGTON BANCSHARES INC (HBAN) 3,381,373 -2,495,394 $27,763
     HBAN3,381,373-2,495,394$27,763
GENUINE PARTS CO 410,724 -24,496 $27,655
     GPC410,724-24,496$27,655
YANDEX N V 809,812 -163,968 $27,573
     YNDX809,812-163,968$27,573
INSULET CORP 166,296 +102,409 $27,551
     PODD166,296+102,409$27,551
CONSOLIDATED EDISON INC 349,427 -102,490 $27,256
     ED349,427-102,490$27,256
INSMED INC      $27,118
     SR COCO 2532,298,000-4,647,000$26,972
     INSM9,100-100$146
KKR & CO INC 1,151,469 -4,248,252 $27,025
     KKR1,151,469-4,248,252$27,025
TESLA INC 51,065 -21,016,251 $26,757
     TSLA51,065-13,251$26,757
F5 NETWORKS INC 250,735 +122,717 $26,736
     FFIV250,735+122,717$26,736
EPAM SYS INC 143,727 -11,083 $26,685
     EPAM143,727-11,083$26,685
BANK MONTREAL 530,506 +5,279 $26,664
     BMO530,506+5,279$26,664
ELASTIC N V 476,684 +96,951 $26,604
     ESTC476,684+96,951$26,604
INTERPUBLIC GROUP COS INC 6,582,326 -38,469 $26,551
     IPG6,582,326-38,469$26,551
WHEATON PRECIOUS METALS CORP 962,033 -146,026 $26,484
     WPM962,033-146,026$26,484
BANK NOVA SCOTIA B C 651,976 -120,402 $26,468
     BNS651,976-120,402$26,468
DOCUSIGN INC      $26,463
     DOCU232,864+179,858$21,516
     SR GLBL COCO 233,522,000-340,000$4,947
SEMPRA ENERGY 231,064 +30,134 $26,106
     SRE231,064+30,134$26,106
PAYCHEX INC 420,647 -129,141 $26,021
     PAYX420,647-129,141$26,021
XCEL ENERGY INC 431,192 -124,450 $26,000
     XEL431,192-124,450$26,000
AUTOZONE INC 30,624 +12,496 $25,908
     AZO30,624+12,496$25,908
CARTERS INC 410,959 -367 $25,901
     CRI410,959-367$25,901
US BANCORP DEL 748,803 -488,680 $25,797
     USB748,803-488,680$25,797
NASDAQ INC 271,662 -127,700 $25,796
     NDAQ271,662-127,700$25,796
PIONEER NAT RES CO 367,059 -529 $25,749
     PXD367,059-529$25,749
NOMAD FOODS LTD 1,384,517 +290,761 $25,697
     NOMD1,384,517+290,761$25,697
HEWLETT PACKARD ENTERPRISE CO 8,266,284 -5,474,530 $25,664
     HPE8,266,284-5,474,530$25,664
WELLTOWER INC 559,358 -175,970 $25,607
     WELL559,358-175,970$25,607
GRAF INDL CORP      $25,583
     Call1,697,620-65,212$17,266
     GRAF817,835-101,173$8,317
PALOMAR HLDGS INC 437,836 +437,836 $25,464
     PLMR437,836+437,836$25,464
DUPONT DE NEMOURS INC 745,935 +25,686 $25,437
     DD745,935+25,686$25,437
CHIPOTLE MEXICAN GRILL INC 37,729 -10,333 $24,689
     CMG37,729-10,333$24,689
MSA SAFETY INC 243,854 -1,924 $24,678
     MSA243,854-1,924$24,678
LUMENTUM HLDGS INC 332,779 +260,447 $24,526
     LITE332,779+260,447$24,526
PPG INDS INC 290,646 -53,384 $24,296
     PPG290,646-53,384$24,296
58 COM INC 497,347 -66,784 $24,231
     WUBA497,347-66,784$24,231
KINDER MORGAN INC DEL 1,728,402 -589,416 $24,060
     KMI1,728,402-589,416$24,060
TRAVELERS COMPANIES INC 241,431 -118,454 $23,985
     TRV241,431-118,454$23,985
NORDSON CORP 177,434 +35,962 $23,966
     NDSN177,434+35,962$23,966
MIRATI THERAPEUTICS INC 310,040 +75,877 $23,833
     MRTX310,040+75,877$23,833
WEST PHARMACEUTICAL SVSC INC 156,195 +14,771 $23,780
     WST156,195+14,771$23,780
HCA Healthcare Inc 483,008 -239,727 $23,747
     HCA483,008-239,727$23,747
KAISER ALUMINUM CORP 348,500 -3,995 $23,402
     KALU348,500-3,995$23,402
T MOBILE US INC 278,098 -298,399 $23,332
     TMUS278,098-298,399$23,332
MANULIFE FINL CORP 1,845,180 +78,225 $23,138
     MFC1,845,180+78,225$23,138
KEYSIGHT TECHNOLOGIES INC 274,822 -32,152 $22,997
     KEYS274,822-32,152$22,997
C H ROBINSON WORLDWIDE INC 342,452 -63,422 $22,671
     CHRW342,452-63,422$22,671
KIRKLAND LAKE GOLD LTD 764,255 +99,047 $22,622
     KL764,255+99,047$22,622
HILTON WORLDWIDE HLDGS INC 329,419 -189,652 $22,477
     HLT329,419-189,652$22,477
Nutrien Limited 672,362 +46,193 $22,460
     NTR672,362+46,193$22,460
ISHARES RUSSELL 1000 GRW ETF (IWF) 147,767 +127,337 $22,261
     IWF147,767+127,337$22,261
XILINX INC 284,769 -149,046 $22,196
     XLNX284,769-149,046$22,196
ALTERYX INC 232,928 +231,061 $22,168
     AYX232,928+231,061$22,168
AMEDISYS INC 120,576 -9,955 $22,130
     AMED120,576-9,955$22,130
Valmont Industries Inc 442,140 +21,558 $21,954
     VMI442,140+21,558$21,954
BCE INC 534,434 -159,716 $21,837
     BCE534,434-159,716$21,837
HUNT J B TRANS SVCS INC 235,361 -42,596 $21,706
     JBHT235,361-42,596$21,706
BURLINGTON STORES INC 136,954 -46,935 $21,701
     BURL136,954-46,935$21,701
CAMPBELL SOUP CO 466,512 +137,848 $21,533
     CPB466,512+137,848$21,533
IHS MARKIT LTD 355,448 -96,815 $21,328
     INFO355,448-96,815$21,328
FIRST REP BK SAN FRANCISCO CAL 258,691 -31,342 $21,285
     FRC258,691-31,342$21,285
CERNER CORP 336,316 -63,277 $21,087
     CERN336,316-63,277$21,087
CAPITAL ONE FINL CORP 415,782 -104,499 $20,965
     COF415,782-104,499$20,965
DTE ENERGY CO 220,086 -57,289 $20,901
     DTE220,086-57,289$20,901
ALLIANCEBERNSTEIN HLDG L P 1,122,546 +303,630 $20,869
     AB1,122,546+303,630$20,869
ENBRIDGE INC 714,984 -422,149 $20,798
     ENB714,984-422,149$20,798
APPIAN CORP 515,724 -18,409 $20,747
     APPN515,724-18,409$20,747
REALTY INCOME CORP 413,870 -165,378 $20,637
     O413,870-165,378$20,637
AUTOHOME INC 288,922 +2,816 $20,521
     ATHM288,922+2,816$20,521
CANADIAN PAC RY LTD 92,423 -15,624 $20,296
     CP92,423-15,624$20,296
NEW RELIC INC      $20,273
     NEWR358,567+342,839$16,580
     SR GLBL COCO 234,388,000-257,000$3,693
CROWDSTRIKE HLDGS INC 361,882 +83,598 $20,150
     CRWD361,882+83,598$20,150
ROYAL GOLD INC 229,669 +2,964 $20,143
     RGLD229,669+2,964$20,143
REATA PHARMACEUTICALS INC 138,797 -3,593 $20,034
     RETA138,797-3,593$20,034
BROWN & BROWN INC 550,375 -948 $19,934
     BRO550,375-948$19,934
PINNACLE WEST CAP CORP 841,896 +510,968 $19,921
     PNW841,896+510,968$19,921
SAREPTA THERAPEUTICS INC      $19,905
     SRPT176,864+3,935$17,301
     COCO 241,716,000+1,716,000$2,604
DISH NETWORK CORPORATION      $19,856
     SR GLBL COCO 2413,735,000-500,000$10,885
     COCO 268,209,000-3,091,000$6,664
     DISHV115,391-29,741$2,307
OKTA INC 160,677 +67,894 $19,645
     OKTA160,677+67,894$19,645
Broadridge Financial Solutions Inc 860,564 -40,047 $19,613
     BR860,564-40,047$19,613
INFOSYS LTD 2,382,008 +497,613 $19,556
     INFY2,382,008+497,613$19,556
CHURCH & DWIGHT INC 303,232 -31,843 $19,463
     CHD303,232-31,843$19,463
VULCAN MATLS CO 179,135 -67,215 $19,361
     VMC179,135-67,215$19,361
BUNGE LIMITED 498,501 -51,711 $19,321
     BG498,501-51,711$19,321
KINROSS GOLD CORP 4,846,879 -147,643 $19,291
     KGC4,846,879-147,643$19,291
SMITH & NEPHEW GROUP PLC 535,865 -146 $19,221
     SNN535,865-146$19,221
PAGSEGURO DIGITAL LTD 994,324 +124,032 $19,220
     PAGS994,324+124,032$19,220
ALNYLAM PHARMACEUTICALS INC 176,434 -24,678 $19,204
     ALNY176,434-24,678$19,204
GUIDEWIRE SOFTWARE INC      $18,921
     GWRE233,703+77,826$18,536
     COCO 25400,000UNCH$385
INGERSOLL RAND INC 810,582 -633,081 $18,867
     IR810,582-633,081$18,867
NUANCE COMMUNICATIONS INC 1,099,373 -2,411,946 $18,447
     NUAN1,099,373-254,946$18,447
PING IDENTITY HLDG CORP 906,707 +556,312 $18,153
     PING906,707+556,312$18,153
TEVA PHARMACEUTICAL FIN LLC      $17,901
     018,281,000+3,000,000$16,920
     TEVA109,213-18,126$981
OLD REP INTL CORP 1,172,897 +2,279 $17,887
     ORI1,172,897+2,279$17,887
CITIZENS FINANCIAL GROUP INC 950,815 -15,908 $17,883
     CFG950,815-15,908$17,883
MKS INSTRS INC 219,454 -29,529 $17,874
     MKSI219,454-29,529$17,874
METTLER TOLEDO INTERNATIONAL 25,883 -8,054 $17,872
     MTD25,883-8,054$17,872
METLIFE INC 579,305 -230,988 $17,709
     MET579,305-230,988$17,709
GENERAL MTRS CO 851,851 -242,183 $17,702
     GM851,851-242,183$17,702
BOSTON PROPERTIES INC 191,363 -43,398 $17,649
     BXP191,363-43,398$17,649
HENRY JACK & ASSOC INC 113,053 -112,881 $17,550
     JKHY113,053-112,881$17,550
SS&C TECHNOLOGIES HLDGS INC 397,799 -1,040,314 $17,432
     SSNC397,799-1,040,314$17,432
TYSON FOODS INC 299,895 -150,261 $17,356
     TSN299,895-150,261$17,356
AMBARELLA INC 355,794 +355,794 $17,279
     AMBA355,794+355,794$17,279
GLAUKOS CORP 559,792 +215,281 $17,276
     GKOS559,792+215,281$17,276
HEALTHCARE TR AMER INC 707,369 -186,153 $17,175
     HTA707,369-186,153$17,175
AMERICOLD RLTY TR 503,412 -633,681 $17,136
     COLD503,412-633,681$17,136
Cardinal Health Inc 364,816 +59,211 $16,904
     CAH364,816+59,211$16,904
REALPAGE INC 316,655 -6,042 $16,761
     RP316,655-6,042$16,761
YUM BRANDS INC 244,072 -259,997 $16,726
     YUM244,072-259,997$16,726
MOBILE TELESYSTEMS PJSC 2,184,543 -159,282 $16,603
     MBT2,184,543-159,282$16,603
SERVICE CORP INTL 422,617 +152,205 $16,528
     SCI422,617+152,205$16,528
Mueller Water Products Inc 4,270,783 +173,601 $16,265
     MWA4,270,783+173,601$16,265
PPL CORP 655,722 -335,165 $16,182
     PPL655,722-335,165$16,182
DARDEN RESTAURANTS INC 741,149 -333,528 $16,172
     DRI741,149-333,528$16,172
Owens Corning 467,261 -127,722 $16,036
     OC467,261-127,722$16,036
TIFFANY & CO NEW 123,185 -27,066 $15,953
     TIF123,185-27,066$15,953
SQUARE INC      $15,929
     SQ213,046+92,280$11,160
     SR GLBL COCO 234,620,000-1,642,000$4,769
PENUMBRA INC 98,713 -5,284 $15,925
     PEN98,713-5,284$15,925
CORTEVA INC 670,921 -210,862 $15,766
     CTVA670,921-210,862$15,766
CONAGRA BRANDS INC 536,871 -10,453 $15,751
     CAG536,871-10,453$15,751
ANSYS INC 67,554 -34,241 $15,704
     ANSS67,554-34,241$15,704
ATLASSIAN CORP PLC 114,283 +170 $15,686
     TEAM114,283+170$15,686
TRADEWEB MKTS INC 372,035 -114,889 $15,641
     TW372,035-114,889$15,641
DAVITA INC 205,407 +100,804 $15,623
     DVA205,407+100,804$15,623
AFLAC INC 456,323 -275,015 $15,622
     AFL456,323-275,015$15,622
INTL PAPER CO      $15,529
     IP488,816-281,266$15,218
     Call10,000UNCH$311
SPX Corporation 1,021,693 +147,247 $15,490
     SPXC1,021,693+147,247$15,490
REDWOOD TR INC 3,060,008 +3,060,008 $15,483
     RWT3,060,008+3,060,008$15,483
ASSURANT INC 148,386 +10,840 $15,444
     AIZ148,386+10,840$15,444
SHOPIFY INC 36,988 +3,646 $15,421
     SHOP36,988+3,646$15,421
JOYY INC 288,568 -86,944 $15,369
     YY288,568-86,944$15,369
CHEGG INC 428,927 +18,167 $15,348
     CHGG428,927+18,167$15,348
TC ENERGY CORP 345,191 -123,841 $15,292
     TRP345,191-123,841$15,292
ATMOS ENERGY CORP 153,859 -31,263 $15,266
     ATO153,859-31,263$15,266
PAYCOM SOFTWARE INC 75,314 -1,611 $15,214
     PAYC75,314-1,611$15,214
MARATHON PETE CORP 640,633 -52,638 $15,131
     MPC640,633-52,638$15,131
WATERS CORP 83,047 -166,510 $15,118
     WAT83,047-166,510$15,118
CBRE GROUP INC 399,954 -339,542 $15,083
     CBRE399,954-339,542$15,083
ROGERS COMMUNICATIONS INC 363,062 -97,592 $15,078
     RCI363,062-97,592$15,078
CEDAR FAIR L P 821,530 +2,901 $15,067
     FUN821,530+2,901$15,067
AMERICAN HOMES 4 RENT 648,844 +450,233 $15,053
     AMH648,844+450,233$15,053
Delta Air Lines Inc 1,848,627 -412,230 $14,994
     DAL1,848,627-412,230$14,994
GOLD FIELDS LTD NEW 3,154,163 -1,697,612 $14,982
     GFI3,154,163-162,212$14,982
WASTE CONNECTIONS INC 192,919 -186,119 $14,952
     WCN192,919-186,119$14,952
F M C CORP 276,848 -511,156 $14,824
     FMC276,848-511,156$14,824
EXTRA SPACE STORAGE INC 154,100 -65,390 $14,756
     EXR154,100-65,390$14,756
TIMKEN CO 555,472 +18,515 $14,587
     TKR555,472+18,515$14,587
DOVER CORP 173,076 -46,449 $14,528
     DOV173,076-46,449$14,528
HORMEL FOODS CORP 310,534 -245,322 $14,482
     HRL310,534-245,322$14,482
FORD MTR CO DEL 2,976,186 -1,135,685 $14,374
     F2,976,186-1,135,685$14,374
FIBROGEN INC 413,622 -10,815 $14,374
     FGEN413,622-10,815$14,374
EDISON INTL 262,132 +25,815 $14,362
     EIX262,132+25,815$14,362
PURE STORAGE INC      $14,313
     016,620,000-709,000$14,313
Trimble Inc 454,943 -25,951 $14,267
     TRMB454,943-25,951$14,267
HASBRO INC 199,205 -44,233 $14,253
     HAS199,205-44,233$14,253
ICICI BANK LIMITED 1,672,777 +802,804 $14,219
     IBN1,672,777+802,804$14,219
MID AMER APT CMNTYS INC 137,765 -33,270 $14,194
     MAA137,765-33,270$14,194
POST HLDGS INC 169,303 -8,422 $14,047
     POST169,303-8,422$14,047
FLEETCOR TECHNOLOGIES INC 74,945 -50,145 $13,981
     FLT74,945-50,145$13,981
AERCAP HOLDINGS NV 611,458 -212,541 $13,935
     AER611,458-212,541$13,935
EAST WEST BANCORP INC 539,552 +11,950 $13,888
     EWBC539,552+11,950$13,888
BIOMARIN PHARMACEUTICAL INC      $13,707
     BMRN157,240-412,730$13,288
     SR SB GLBL CV 24400,000UNCH$419
KILROY RLTY CORP 214,701 -4,405 $13,676
     KRC214,701-4,405$13,676
CBOE GLOBAL MARKETS INC 152,411 +59,999 $13,603
     CBOE152,411+59,999$13,603
VARIAN MED SYS INC 131,835 -29,961 $13,534
     VAR131,835-29,961$13,534
TREX CO INC 168,122 -33,223 $13,473
     TREX168,122-33,223$13,473
AMERICAN INTL GROUP INC 552,007 -1,650,820 $13,385
     AIG552,007-1,650,820$13,385
AES CORP 983,637 -582,570 $13,377
     AES983,637-582,570$13,377
WP CAREY INC 226,610 -33,584 $13,161
     WPC226,610-33,584$13,161
BROOKFIELD ASSET MGMT INC 445,536 -100,675 $13,144
     BAM445,536-100,675$13,144
VISTRA ENERGY CORP 808,988 +561,478 $12,912
     VST808,988+561,478$12,912
AGNC INVT CORP 1,220,323 +691,357 $12,911
     AGNC1,220,323+691,357$12,911
CABOT MICROELECTRONICS CORP 112,711 -9,761 $12,865
     CCMP112,711-9,761$12,865
FIDELITY NATIONAL FINANCIAL IN 517,063 -161,081 $12,865
     FNF517,063-161,081$12,865
IDEX Corp 138,958 +60,599 $12,808
     IEX138,958+60,599$12,808
LIVE NATION ENTERTAINMENT INC      $12,679
     LYV224,063-675,846$10,186
     SR GLBL COCO 232,622,000-160,000$2,493
FREEPORT MCMORAN INC 1,869,977 -3,661,999 $12,623
     FCX1,869,977-3,661,999$12,623
Kimco Realty Corporation 5,219,096 +183,454 $12,613
     KIM5,219,096+183,454$12,613
ALLY FINL INC 872,018 -230,341 $12,585
     ALLY872,018-230,341$12,585
FORTIVE CORP      $12,472
     FTV140,032-72,684$7,729
     SR GLBL COCO 225,117,000+5,117,000$4,743
B2GOLD CORP 4,055,493 +415,374 $12,409
     BTG4,055,493+415,374$12,409
ZOOM VIDEO COMMUNICATIONS INC 83,835 -275,700 $12,251
     ZM83,835-275,700$12,251
GARMIN LTD 162,925 -33,898 $12,212
     GRMN162,925-33,898$12,212
NVR INC 4,750 -489 $12,204
     NVR4,750-489$12,204
PETROLEO BRASILEIRO SA PETROBR      $12,204
     PBR.A2,264,133-1,091,349$12,204
THE TRADE DESK INC 62,534 -17,583 $12,069
     TTD62,534-17,583$12,069
SANFILIPPO JOHN B & SON INC 134,701 -661 $12,042
     JBSS134,701-661$12,042
RINGCENTRAL INC 56,776 +37,709 $12,031
     RNG56,776+37,709$12,031
SUNCOR ENERGY INC NEW 761,187 -420,638 $12,028
     SU761,187-420,638$12,028
REGIONS FINANCIAL CORP NEW 1,338,917 -463,970 $12,010
     RF1,338,917-463,970$12,010
OGE ENERGY CORP 1,291,963 -886,780 $11,997
     OGE1,291,963-886,780$11,997
AMETEK INC 165,965 -105,483 $11,952
     AME165,965-105,483$11,952
CANADIAN IMP BK COMM 205,903 -52,800 $11,936
     CM205,903-52,800$11,936
ZEBRA TECHNOLOGIES CORPORATION 65,000 -54,707 $11,935
     ZBRA65,000-54,707$11,935
FORTIS INC 309,072 -162,738 $11,915
     FTS309,072-162,738$11,915
COMPANIA DE MINAS BUENAVENTURA 1,629,534 +117,468 $11,880
     BVN1,629,534+117,468$11,880
WHIRLPOOL CORP 137,425 +2,372 $11,792
     WHR137,425+2,372$11,792
Itron Inc 313,481 +157,365 $11,747
     ITRI313,481+157,365$11,747
IRON MTN INC NEW 486,659 +253,486 $11,584
     IRM486,659+253,486$11,584
D R HORTON INC 336,484 -75,288 $11,440
     DHI336,484-75,288$11,440
HUNTINGTON INGALLS INDS INC 203,342 +171,870 $11,308
     HII203,342+171,870$11,308
MAXIM INTEGRATED PRODS INC 232,074 -82,912 $11,280
     MXIM232,074-82,912$11,280
MATERION CORP 319,445 -1,550 $11,184
     MTRN319,445-1,550$11,184
EVERGY INC 202,914 -176,990 $11,171
     EVRG202,914-176,990$11,171
COPART INC 162,230 -21,432 $11,116
     CPRT162,230-21,432$11,116
EQUITY LIFESTYLE PPTYS INC 192,040 -86,884 $11,039
     ELS192,040-86,884$11,039
APPLIED INDL TECHNOLOGIES INC 241,116 +70,725 $11,024
     AIT241,116+70,725$11,024
PAN AMERN SILVER CORP 768,753 +52,065 $11,017
     PAAS768,753+52,065$11,017
MEDICAL PPTYS TRUST INC 636,697 -13,983 $11,008
     MPW636,697-13,983$11,008
UDR INC 299,821 -32,938 $10,956
     UDR299,821-32,938$10,956
EURONET WORLDWIDE INC      $10,924
     EEFT96,222-69,408$8,248
     SR GLBL COCO 492,947,000+2,947,000$2,676
AMERICAN FINL GROUP INC OHIO 154,299 -52,884 $10,813
     AFG154,299-52,884$10,813
HOST HOTELS & RESORTS INC 976,124 -788,583 $10,776
     HST976,124-788,583$10,776
BROWN FORMAN CORP      $10,639
     BF.B191,515-85,778$10,633
     BF.A116UNCH$6
CTRIP COM INTL LTD      $10,600
     SR CV BD 17,911,000+7,911,000$7,675
     SR CONV NT 1 203,000,000UNCH$2,925
HUAZHU GROUP LTD 368,304 +59,404 $10,582
     HTHT368,304+59,404$10,582
COUSINS PPTYS INC 360,318 -6,361 $10,546
     CUZ360,318-6,361$10,546
WEYERHAEUSER CO MTN BE 618,919 -345,503 $10,490
     WY618,919-345,503$10,490
DUNKIN BRANDS GROUP INC 305,315 -108,092 $10,477
     DNKN305,315-108,092$10,477
REXNORD CORP 610,665 +272,741 $10,419
     RXN610,665+272,741$10,419
MACQUARIE INFRASTRUCTURE CORP      $10,412
     SR GLBL CV NT 2313,015,545+13,015,545$10,412
MARRIOTT INTL INC NEW 138,971 -23,490 $10,396
     MAR138,971-23,490$10,396
NISOURCE INC 414,889 -290,045 $10,360
     NI414,889-290,045$10,360
HEICO CORP NEW      $10,336
     HEI91,089+59,710$6,797
     HEI.A55,384+17,096$3,539
ASSOCIATED BANC CORP 796,436 -99,636 $10,187
     ASB796,436-99,636$10,187
MODERNA INC 340,145 -613,618 $10,187
     MRNA340,145-613,618$10,187
GENPACT LIMITED 346,864 -6,617 $10,128
     G346,864-6,617$10,128
PERRIGO CO PLC 210,622 +133,767 $10,127
     PRGO210,622+133,767$10,127
KRAFT HEINZ CO 407,543 -491,394 $10,083
     KHC407,543-491,394$10,083
ESPERION THERAPEUTICS INC NEW 318,352 -8,446 $10,038
     ESPR318,352-8,446$10,038
ANNALY CAPITAL MANAGEMENT INC 1,967,024 -521,014 $9,972
     NLY1,967,024-521,014$9,972
ZIONS BANCORPORATION N A 372,651 -81,425 $9,972
     ZION372,651-81,425$9,972
GALLAGHER ARTHUR J & CO 122,168 -56,364 $9,960
     AJG122,168-56,364$9,960
SOCIEDAD QUIMICA MINERA DE CHI 442,133 +31,872 $9,849
     SQM442,133+31,872$9,849
NATIONAL FUEL GAS CO N J 263,420 -76,865 $9,822
     NFG263,420-76,865$9,822
PEOPLES UTD FINL INC 886,547 -175,654 $9,795
     PBCT886,547-175,654$9,795
CONSTELLATION BRANDS INC 68,258 -99,081 $9,786
     STZ68,258-99,081$9,786
FOMENTO ECONOMICO MEXICANO SAB 161,036 -142,849 $9,745
     FMX161,036-142,849$9,745
CINTAS CORP 56,233 -21,825 $9,741
     CTAS56,233-21,825$9,741
KOHLS CORP 2,596,094 +60,012 $9,735
     KSS2,596,094+60,012$9,735
MPLX LP 837,128 +51,725 $9,728
     MPLX837,128+51,725$9,728
GRAPHIC PACKAGING HLDG CO 793,974 +793,974 $9,686
     GPK793,974+793,974$9,686
CF INDS HLDGS INC 362,950 +84,681 $9,669
     CF362,950+84,681$9,669
SSR MNG INC 847,578 +93,433 $9,646
     SSRM847,578+93,433$9,646
HUNTSMAN CORP 667,862 +57,147 $9,637
     HUN667,862+57,147$9,637
EQUIFAX INC 79,610 +10,756 $9,509
     EFX79,610+10,756$9,509
BLUEBIRD BIO INC 206,614 +54,882 $9,497
     BLUE206,614+54,882$9,497
NEUROCRINE BIOSCIENCES INC 109,601 +14,334 $9,486
     NBIX109,601+14,334$9,486
CINCINNATI FINL CORP 125,573 -98,529 $9,473
     CINF125,573-98,529$9,473
LAS VEGAS SANDS CORP 220,117 -487,056 $9,349
     LVS220,117-487,056$9,349
GARTNER INC 93,810 -11,004 $9,341
     IT93,810-11,004$9,341
GRAINGER W W INC 37,563 -11,405 $9,335
     GWW37,563-11,405$9,335
REGENCY CTRS CORP 241,070 -46,764 $9,265
     REG241,070-46,764$9,265
Pico Holdings Inc 2,475,024 -2,402 $9,250
     PICO2,475,024-2,402$9,250
MERCADOLIBRE INC 18,925 -1,643 $9,247
     MELI18,925-1,643$9,247
CASEYS GEN STORES INC 69,777 +68,804 $9,245
     CASY69,777+68,804$9,245
POOL CORPORATION 46,887 +44,232 $9,226
     POOL46,887+44,232$9,226
TORO CO 141,695 +19,938 $9,223
     TTC141,695+19,938$9,223
PULTE GROUP INC 413,026 +125,803 $9,218
     PHM413,026+125,803$9,218
XPO LOGISTICS INC 186,918 -46,712 $9,112
     XPO186,918-46,712$9,112
MAGNA INTL INC 285,198 -78,470 $9,104
     MGA285,198-78,470$9,104
ENERGY TRANSFER LP 1,973,056 -32,895 $9,076
     ET1,973,056-32,895$9,076
EXPEDIA GROUP INC 160,537 -188,160 $9,034
     EXPE160,537-188,160$9,034
RESTAURANT BRANDS INTL INC 225,606 +67,226 $9,031
     QSR225,606+67,226$9,031
ROCHE HOLDINGS ADR 222,286 +222,286 $9,018
     RHHBY222,286+222,286$9,018
ONEOK INC NEW 409,183 -111,873 $8,924
     OKE409,183-111,873$8,924
ARCO PLATFORM LTD 210,419 +39,497 $8,892
     ARCE210,419+39,497$8,892
LOEWS CORP 254,909 -158,610 $8,878
     L254,909-158,610$8,878
NATIONAL RETAIL PROPERTIES INC 273,300 -192,936 $8,797
     NNN273,300-192,936$8,797
TWO HBRS INVT CORP 2,308,005 +2,308,005 $8,794
     TWO2,308,005+2,308,005$8,794
CRACKER BARREL OLD CTRY STORE 105,343 -434 $8,767
     CBRL105,343-434$8,767
Dentsply Sirona Inc 226,816 -50,196 $8,741
     XRAY226,816-50,196$8,741
AMERICAN CAMPUS CMNTYS INC 313,168 +90,773 $8,690
     ACC313,168+90,773$8,690
COLUMBIA SPORTSWEAR CO 124,554 -3,442 $8,690
     COLM124,554-3,442$8,690
CALLAWAY GOLF CO 849,143 +9,083 $8,679
     ELY849,143+9,083$8,679
MOLSON COORS BEVERAGE CO 624,514 -1,651,537 $8,676
     TAP624,514-1,651,537$8,676
ROKU INC 98,914 +7,569 $8,653
     ROKU98,914+7,569$8,653
BRIGHT HORIZONS FAM SOL IN DEL 84,660 +40,401 $8,635
     BFAM84,660+40,401$8,635
Hannon Armstrong 518,930 +349,094 $8,604
     HASI518,930+349,094$8,604
AVALARA INC 114,420 -184,228 $8,536
     AVLR114,420-184,228$8,536
MOMO INC      $8,454
     SR CV NT 110,592,000+3,319,000$8,454
ARCH CAP GROUP LTD 294,498 -59,766 $8,381
     ACGL294,498-59,766$8,381
ON SEMICONDUCTOR CORP      $8,371
     ON486,076-1,666,824$4,239
     SR COCO 204,159,000-1,337,000$4,132
WORKDAY INC      $8,369
     WDAY48,840-26,186$6,360
     SR GLBL COCO 221,813,000-153,000$2,009
MICROCHIP TECHNOLOGY INC      $8,337
     MCHP83,403-49,428$5,654
     COCO 272,560,000-7,287,000$2,628
     SR SB COCO 2538,000UNCH$55
VENTAS INC 312,411 -126,220 $8,312
     VTR312,411-126,220$8,312
LENNAR CORP 215,400 -329,946 $8,229
     LEN215,400-329,946$8,229
ALLEGION PLC 89,159 -71,313 $8,204
     ALLE89,159-71,313$8,204
DISCOVERY INC 419,190 -253,549 $8,150
     DISCA419,190-253,549$8,150
XP INC 422,225 -7,271 $8,144
     XP422,225-7,271$8,144
Southern Copper Corp 301,551 +25,977 $8,056
     SCCO301,551+25,977$8,056
BANCO BRADESCO S A 2,174,056 -554,152 $8,025
     BBD2,174,056-554,152$8,025
INVITATION HOMES INC 374,523 -92,447 $8,003
     INVH374,523-92,447$8,003
NATIONAL VISION HLDGS INC 411,393 +403,293 $7,989
     EYE411,393+403,293$7,989
PARKER HANNIFIN CORP 61,283 -26,974 $7,950
     PH61,283-26,974$7,950
POLARIS INC 164,788 +139,828 $7,935
     PII164,788+139,828$7,935
CENTERPOINT ENERGY INC 506,431 -363,628 $7,825
     CNP506,431-363,628$7,825
BERKLEY W R CORP 149,166 -155,852 $7,782
     WRB149,166-155,852$7,782
ALLEGHANY CORP DEL 14,056 -3,395 $7,764
     Y14,056-3,395$7,764
BAKER HUGHES HOLDINGS LLC 739,009 -306,652 $7,759
     BHGE739,009-306,652$7,759
MARKEL CORP 8,353 +801 $7,751
     MKL8,353+801$7,751
DOLBY LABORATORIES INC 142,545 +142,545 $7,728
     DLB142,545+142,545$7,728
ALGONQUIN PWR UTILS CORP 574,323 +380,039 $7,696
     AQN574,323+380,039$7,696
FULLER H B CO 275,219 -14,701 $7,687
     FUL275,219-14,701$7,687
MATCH GROUP INC 115,616 +34,290 $7,635
     MTCH115,616+34,290$7,635
DISCOVERY INC 434,525 -69,587 $7,624
     DISCK434,525-69,587$7,624
CORNING INC 369,972 -185,437 $7,600
     GLW369,972-185,437$7,600
WESTERN DIGITAL CORP. 182,508 -4,251,319 $7,597
     WDC182,508-151,319$7,597
TELUS CORPORATION 476,130 +167,289 $7,514
     TU476,130+167,289$7,514
TOPBUILD CORP 104,813 -24,496 $7,509
     BLD104,813-24,496$7,509
CABOT OIL & GAS CORP 431,730 +22,876 $7,422
     COG431,730+22,876$7,422
ACUSHNET HOLDINGS CORP 288,236 -10,743 $7,414
     GOLF288,236-10,743$7,414
UGI CORP NEW 277,451 -88,074 $7,401
     UGI277,451-88,074$7,401
Tetra Tech Inc 220,828 +219,018 $7,369
     TTEK220,828+219,018$7,369
VEREIT INC 1,501,391 -183,258 $7,342
     VER1,501,391-183,258$7,342
SLACK TECHNOLOGIES INC 270,989 +270,989 $7,273
     WORK270,989+270,989$7,273
WINGSTOP INC 91,208 +91,208 $7,269
     WING91,208+91,208$7,269
OLD DOMINION FREIGHT LINE INC 55,307 +10,973 $7,259
     ODFL55,307+10,973$7,259
CHECK POINT SOFTWARE TECH LTD 72,135 -18,515 $7,252
     CHKP72,135-18,515$7,252
OCCIDENTAL PETE CORP 625,594 -1,269,398 $7,246
     OXY625,594-1,269,398$7,246
JUNIPER NETWORKS INC 378,341 -155,299 $7,242
     JNPR378,341-155,299$7,242
Consolidated Water Company Limited 942,688 -14,761 $7,230
     CWCO942,688-14,761$7,230
MASCO CORP 208,276 -111,883 $7,200
     MAS208,276-111,883$7,200
AUTONATION INC 256,204 +87,682 $7,189
     AN256,204+87,682$7,189
SERVICEMASTER GLOBAL HLDGS INC 265,697 -66,318 $7,174
     SERV265,697-66,318$7,174
VALE S A 859,410 +137,205 $7,124
     VALE859,410+137,205$7,124
LABORATORY CORP AMER HLDGS 56,293 -66,181 $7,115
     LH56,293-66,181$7,115
HILL ROM HLDGS INC 155,103 +19,871 $7,109
     HRC155,103+19,871$7,109
Tapestry Inc 1,140,128 -68,937 $7,008
     TPR1,140,128-68,937$7,008
PACKAGING CORP AMER 80,681 -20,118 $7,005
     PKG80,681-20,118$7,005
LIBERTY MEDIA CORP DEL 221,524 +156,590 $7,004
     LSXMK221,524+156,590$7,004
CRESCENT ACQUISITION CORP      $6,914
     CRSA464,896-12,028$4,579
     Call236,977-1,382$2,335
JETBLUE AWYS CORP 769,598 -596,261 $6,888
     JBLU769,598-596,261$6,888
SJW Group 248,974 +17,050 $6,838
     SJW248,974+17,050$6,838
CONCHO RES INC 156,617 -80,406 $6,712
     CXO156,617-80,406$6,712
Amcor PLC 842,214 -683,764 $6,674
     AMCR842,214-683,764$6,674
ASSURED GUARANTY LTD 257,649 -1,345 $6,644
     AGO257,649-1,345$6,644
OPEN TEXT CORP 189,976 -58,427 $6,633
     OTEX189,976-58,427$6,633
AMERICAN RLTY CAP PPTYS INC      $6,617
     SR COCO 206,784,000+5,000,000$6,617
WILLIAMS COS INC 462,889 -363,804 $6,550
     WMB462,889-363,804$6,550
AFYA LTD 342,744 +143,134 $6,533
     AFYA342,744+143,134$6,533
PLURALSIGHT INC 589,577 +188,605 $6,474
     PS589,577+188,605$6,474
CARLYLE GROUP INC 297,610 +297,610 $6,443
     CG297,610+297,610$6,443
SLM CORP 894,814 +155,937 $6,434
     SLM894,814+155,937$6,434
UNITED AIRLS HLDGS INC 203,796 +6,889 $6,429
     UAL203,796+6,889$6,429
BLACK KNIGHT INC 110,541 +52,080 $6,418
     BKI110,541+52,080$6,418
EVEREST RE GROUP LTD 33,322 -16,390 $6,413
     RE33,322-16,390$6,413
CARMAX INC 119,057 -35,713 $6,408
     KMX119,057-35,713$6,408
DISCOVER FINL SVCS 179,199 -763,743 $6,392
     DFS179,199-763,743$6,392
Keycorp 624,004 -712,627 $6,384
     KEY624,004-712,627$6,384
COMERICA INC 213,742 -472,609 $6,270
     CMA213,742-472,609$6,270
TERNIUM SA 526,755 -123,392 $6,268
     TX526,755-123,392$6,268
LAUREATE EDUCATION INC 596,073 +137,389 $6,265
     LAUR596,073+137,389$6,265
CANADIAN NAT RES LTD 459,431 -143,481 $6,225
     CNQ459,431-143,481$6,225
YAMANA GOLD INC 2,259,166 -14,306 $6,212
     AUY2,259,166-14,306$6,212
Cia de Saneamento Basico 839,563 -65,183 $6,196
     SBS839,563-65,183$6,196
Middlesex Water Company 232,050 -21,034 $6,167
     MSEX232,050-21,034$6,167
GLOBANT S A 69,669 -7,513 $6,123
     GLOB69,669-7,513$6,123
LIBERTY BROADBAND CORP 54,874 +12,033 $6,075
     LBRDK54,874+12,033$6,075
UNIVERSAL HLTH SVCS INC 61,045 -70,537 $6,047
     UHS61,045-70,537$6,047
DIAMONDBACK ENERGY INC 227,890 -88,164 $5,971
     FANG227,890-88,164$5,971
21VIANET GROUP INC 429,089 +429,089 $5,947
     VNET429,089+429,089$5,947
Granite Construction Inc 818,265 +32,707 $5,868
     GVA818,265+32,707$5,868
EASTMAN CHEM CO 125,486 -131,932 $5,844
     EMN125,486-131,932$5,844
SYNCHRONY FINANCIAL 360,181 -279,037 $5,794
     SYF360,181-279,037$5,794
MAKEMYTRIP LIMITED MAURITIUS 484,437 -36,467 $5,791
     MMYT484,437-36,467$5,791
Robert Half International Inc 559,790 -30,769 $5,735
     RHI559,790-30,769$5,735
Ameriprise Financial Inc 57,049 -125,758 $5,684
     AMP57,049-125,758$5,684
Manpower Group Inc 289,771 +1,066 $5,683
     MAN289,771+1,066$5,683
COMPANHIA BRASILEIRA DE DISTRB 450,246 +31,744 $5,677
     CBD450,246+31,744$5,677
VICI PPTYS INC 337,887 -3,093 $5,624
     VICI337,887-3,093$5,624
NortonLifeLock Inc 302,891 -101,375 $5,596
     NLOK302,891-101,375$5,596
STRATEGIC ED INC 39,886 +5,421 $5,575
     STRA39,886+5,421$5,575
PEMBINA PIPELINE CORP 295,673 -23,726 $5,561
     PBA295,673-23,726$5,561
2U INC 259,894 -811,751 $5,515
     TWOU259,894-811,751$5,515
SOUTHWEST AIRLS CO 153,927 -149,651 $5,480
     LUV153,927-149,651$5,480
COSAN LTD 445,415 -19,039 $5,479
     CZZ445,415-19,039$5,479
SAGE THERAPEUTICS INC 190,722 -23,594 $5,478
     SAGE190,722-23,594$5,478
VORNADO RLTY TR 150,656 -32,274 $5,454
     VNO150,656-32,274$5,454
LOCKHEED MARTIN CORP 16,064 -14,019 $5,445
     LMT16,064-14,019$5,445
MARTIN MARIETTA MATLS INC 28,739 -10,947 $5,437
     MLM28,739-10,947$5,437
MARKETAXESS HLDGS INC 16,313 -8,186 $5,425
     MKTX16,313-8,186$5,425
CGI INC 99,634 -80,053 $5,421
     GIB99,634-80,053$5,421
MOSAIC CO NEW 521,313 -381,702 $5,416
     MOS521,313-381,702$5,416
DYCOM INDS INC      $5,403
     SR COCO 216,400,000+4,500,000$5,400
     DY120-3,225$3
NEW RESIDENTIAL INVT CORP 1,074,285 +791,517 $5,382
     NRZ1,074,285+791,517$5,382
VAIL RESORTS INC 36,304 -30,490 $5,361
     MTN36,304-30,490$5,361
LKQ CORP 321,797 -28,478 $5,352
     LKQ321,797-28,478$5,352
SEALED AIR CORP NEW 216,571 -278,485 $5,352
     SEE216,571-278,485$5,352
SCHULTZE SPL PURP ACQUSTN CORP      $5,308
     Call515,348-11,378$5,308
KEURIG DR PEPPER INC 213,587 +14,380 $5,184
     KDP213,587+14,380$5,184
JAZZ PHARMACEUTICALS PLC 51,465 -107,252 $5,133
     JAZZ51,465-107,252$5,133
OMEGA HEALTHCARE INVS INC 192,928 -57,511 $5,120
     OHI192,928-57,511$5,120
RENAISSANCERE HOLDINGS LTD 34,265 -25,427 $5,116
     RNR34,265-25,427$5,116
SCHULTZE SPL PURP ACQUSTN CORP 504,998 -21,631 $5,111
     SAMA504,998-21,631$5,111
FEDERAL REALTY INVT TR 68,284 -62,989 $5,095
     FRT68,284-62,989$5,095
CORNERSTONE ONDEMAND INC 159,329 +33,808 $5,059
     CSOD159,329+33,808$5,059
HALLIBURTON CO 736,530 -203,123 $5,046
     HAL736,530-203,123$5,046
VANGUARD GROWTH ETF (VUG) 32,013 +30,929 $5,016
     VUG32,013+30,929$5,016
Lindsay Corp 112,819 +3,963 $4,967
     LNN112,819+3,963$4,967
Franklin Resources Inc 960,667 -36,600 $4,953
     BEN960,667-36,600$4,953
FOX CORP 214,838 -116,996 $4,917
     FOX214,838-116,996$4,917
BANCO SANTANDER CHILE NEW 322,705 +72,665 $4,883
     BSAC322,705+72,665$4,883
RADIAN GROUP INC 374,774 -1,897 $4,853
     RDN374,774-1,897$4,853
BRINKER INTL INC 403,983 +48,945 $4,852
     EAT403,983+48,945$4,852
FIFTH THIRD BANCORP 326,490 -220,633 $4,848
     FITB326,490-220,633$4,848
BANCOLOMBIA S A 193,281 -9,058 $4,825
     CIB193,281-9,058$4,825
PILGRIMS PRIDE CORP 264,812 -440 $4,799
     PPC264,812-440$4,799
PERDOCEO ED CORP 443,771 +443,771 $4,788
     PRDO443,771+443,771$4,788
HENNESSY CAP ACQUSTION CORP IV 472,965 -11,684 $4,782
     HCAC472,965-11,684$4,782
ZILLOW GROUP INC      $4,756
     SR GLBL COCO 213,230,000-211,000$3,250
     Z41,790+1,251$1,506
ANAPLAN INC 156,749 +156,749 $4,743
     PLAN156,749+156,749$4,743
MOHAWK INDS INC 61,836 -60,471 $4,714
     MHK61,836-60,471$4,714
MAGELLAN MIDSTREAM PRTNRS LP 128,650 +91,358 $4,695
     MMP128,650+91,358$4,695
REXFORD INDL RLTY INC 114,002 +1,284 $4,675
     REXR114,002+1,284$4,675
LEAR CORP 57,363 -5,675 $4,661
     LEA57,363-5,675$4,661
DEVON ENERGY CORP NEW 673,303 -15,881 $4,652
     DVN673,303-15,881$4,652
NAVIENT CORPORATION 612,628 +151,141 $4,644
     NAVI612,628+151,141$4,644
BRUNSWICK CORP 130,670 +56,257 $4,622
     BC130,670+56,257$4,622
E TRADE FINANCIAL CORP 134,380 -95,959 $4,610
     ETFC134,380-95,959$4,610
XEROX HOLDINGS CORP 239,724 +78,468 $4,540
     XRX239,724+78,468$4,540
NEXSTAR MEDIA GROUP INC 78,438 -67,065 $4,528
     NXST78,438-67,065$4,528
Bio Techne Corp 73,389 +6,388 $4,507
     TECH73,389+6,388$4,507
HORIZON PHARMA INVT LTD      $4,503
     SR EXCH NT23,915,000-435,000$4,503
Ingredion Inc 60,686 -24,490 $4,480
     INGR60,686-24,490$4,480
ENEL AMERICAS S A 737,571 UNCH $4,470
     ENIA737,571UNCH$4,470
Maximus Inc 239,550 +21,232 $4,457
     MMS239,550+21,232$4,457
ACAMAR PARTNERS ACQSITION CORP 451,909 -30,953 $4,451
     ACAM451,909-30,953$4,451
ROYAL CARIBBEAN CRUISES LTD 137,722 -328,493 $4,430
     RCL137,722-328,493$4,430
MERITOR INC      $4,407
     COCO 262,625,000UNCH$3,278
     SR COCO 371,330,000-400,000$1,129
NEW YORK TIMES CO 143,004 +31,435 $4,392
     NYT143,004+31,435$4,392
CAPRI HOLDINGS LIMITED 405,876 +142,847 $4,379
     CPRI405,876+142,847$4,379
AMERICA MOVIL SAB DE CV 371,706 UNCH $4,378
     AMX371,706UNCH$4,378
TERRENO RLTY CORP 84,164 +5,706 $4,356
     TRNO84,164+5,706$4,356
Oshkosh Corp 208,124 +67,819 $4,355
     OSK208,124+67,819$4,355
ASGN INC 122,815 +38,721 $4,338
     ASGN122,815+38,721$4,338
TD AMERITRADE HLDG CORP 124,797 -24,694 $4,327
     AMTD124,797-24,694$4,327
HENRY SCHEIN INC 85,159 -10,579 $4,303
     HSIC85,159-10,579$4,303
VMWARE INC 35,133 -30,518 $4,256
     VMW35,133-30,518$4,256
SEACOR HOLDINGS INC      $4,206
     SR GLBL COCO 284,270,000UNCH$4,206
AARONS INC 181,223 -386,877 $4,128
     AAN181,223-386,877$4,128
VIACOMCBS INC      $4,101
     CBS291,817-542,245$4,089
     CBS.A655UNCH$12
MORNINGSTAR INC 35,216 +35,216 $4,094
     MORN35,216+35,216$4,094
GODADDY INC 71,641 -531,413 $4,092
     GDDY71,641-531,413$4,092
HOLLYFRONTIER CORP 166,847 +10,349 $4,089
     HFC166,847+10,349$4,089
Bruker Corporation 355,846 +28,885 $4,080
     BRKR355,846+28,885$4,080
TEGNA INC 375,453 +107,077 $4,077
     TGNA375,453+107,077$4,077
TYLER TECHNOLOGIES INC 13,712 -3,981 $4,066
     TYL13,712-3,981$4,066
Principal Financial Group Inc 134,694 -92,326 $4,063
     PFG134,694-92,326$4,063
WESTROCK CO 142,632 -161,498 $4,031
     WRK142,632-161,498$4,031
SNAP INC 338,269 -136,695 $4,021
     SNAP338,269-136,695$4,021
FACTSET RESH SYS INC 15,327 -23,694 $3,995
     FDS15,327-23,694$3,995
SINA CORP 125,200 -22,300 $3,987
     SINA125,200-22,300$3,987
GOLAR LNG LTD      $3,950
     SR CV NT 23,500,000+3,500,000$2,224
     GLNG219,000-7,900$1,726
CREE INC      $3,915
     SR GLBL COCO 232,740,000-160,000$2,500
     CREE73,096+24,537$1,415
NUVASIVE INC      $3,913
     SR GLBL COCO 212,321,000-606,000$2,415
     NUVA29,584-10,953$1,498
EASTGROUP PPTY INC 37,440 +681 $3,911
     EGP37,440+681$3,911
TREEHOUSE FOODS INC 87,517 +87,517 $3,864
     THS87,517+87,517$3,864
FOX CORP 163,465 -61,627 $3,863
     FOXA163,465-61,627$3,863
Apple Hospitality REIT Inc 1,061,497 +156,440 $3,845
     APLE1,061,497+156,440$3,845
PROSPECT CAP CORP      $3,840
     63,000,000+3,000,000$2,550
     SR CV NT 41,500,000+1,500,000$1,290
TECK RESOURCES LTD 507,690 +17,531 $3,837
     TECK507,690+17,531$3,837
Evoqua Water Technologies Corp 714,926 -428,870 $3,836
     AQUA714,926-428,870$3,836
LIFE STORAGE INC 40,416 +11,742 $3,822
     LSI40,416+11,742$3,822
HDFC BANK LTD 98,820 -15,080 $3,801
     HDB98,820-15,080$3,801
YPF SOCIEDAD ANONIMA 897,647 -443,914 $3,743
     YPF897,647-443,914$3,743
WENDYS CO 249,046 -750,793 $3,706
     WEN249,046-750,793$3,706
STEEL DYNAMICS INC 164,134 -104,248 $3,699
     STLD164,134-104,248$3,699
PRICELINE GRP INC      $3,696
     SR COCO 202,979,000-190,000$3,297
     SR COCO 21400,000+400,000$399
VISHAY INTERTECHNOLOGY INC      $3,686
     SR GLBL COCO 254,150,000-500,000$3,686
NORDSTROM INC 239,997 -1,104,796 $3,681
     JWN239,997-1,104,796$3,681
DELL TECHNOLOGIES INC 92,590 -14,640 $3,661
     DELL92,590-14,640$3,661
ARAMARK 181,917 -527,543 $3,634
     ARMK181,917-527,543$3,634
SL GREEN RLTY CORP 84,229 -412,532 $3,631
     SLG84,229-412,532$3,631
FLEX LTD 433,628 +137,101 $3,630
     FLEX433,628+137,101$3,630
LIBERTY GLOBAL PLC 230,596 -27,870 $3,622
     LBTYK230,596-27,870$3,622
John Wiley & Sons Inc      $3,605
     JW.A131,022+26,619$3,605
WEIBO CORP      $3,578
     SR CV NT 14,235,000-3,478,000$3,578
COMPANHIA ENERGETICA DE MINAS 2,101,145 -78,451 $3,572
     CIG2,101,145-78,451$3,572
SEI INVTS CO 76,777 -19,263 $3,558
     SEIC76,777-19,263$3,558
WABTEC 73,784 -132,379 $3,551
     WAB73,784-132,379$3,551
NUTANIX INC      $3,550
     SR GLBL COCO 234,360,000-1,040,000$3,550
SNAP ON INC 32,553 -12,092 $3,543
     SNA32,553-12,092$3,543
MASIMO CORP 19,893 -15,426 $3,524
     MASI19,893-15,426$3,524
10X GENOMICS INC 56,173 -14,686 $3,501
     TXG56,173-14,686$3,501
QTS RLTY TR INC 60,157 +33,451 $3,489
     QTS60,157+33,451$3,489
AGREE REALTY CORP 56,191 -13,367 $3,478
     ADC56,191-13,367$3,478
MYLAN NV 232,485 -147,451 $3,467
     MYL232,485-147,451$3,467
ALAMOS GOLD INC NEW 690,585 -119,609 $3,453
     AGI690,585-119,609$3,453
SEATTLE GENETICS INC 29,889 -7,881 $3,449
     SGEN29,889-7,881$3,449
MALIBU BOATS INC 117,597 +26,728 $3,386
     MBUU117,597+26,728$3,386
MARATHON OIL CORP 1,029,495 -2,041,529 $3,386
     MRO1,029,495-2,041,529$3,386
PRETIUM RES INC 592,105 -85,872 $3,357
     PVG592,105-85,872$3,357
GRAND CANYON ED INC 43,370 -6,922 $3,309
     LOPE43,370-6,922$3,309
NIELSEN HLDGS PLC 263,800 -160,974 $3,309
     NLSN263,800-160,974$3,309
CYRUSONE INC 53,378 -16,656 $3,296
     CONE53,378-16,656$3,296
SPRINT CORPORATION 381,774 -84,732 $3,291
     S381,774-84,732$3,291
STARWOOD PPTY TR INC      $3,256
     SR GLBL COCO 232,700,000+100,000$2,133
     STWD109,489UNCH$1,123
Acuity Brands Inc 50,052 -13,387 $3,248
     AYI50,052-13,387$3,248
NORTHROP GRUMMAN CORP 10,712 -4,749 $3,241
     NOC10,712-4,749$3,241
TERADYNE INC 59,165 -8,496 $3,204
     TER59,165-8,496$3,204
INVESCO LTD 350,602 -209,925 $3,184
     IVZ350,602-209,925$3,184
Quanta Services Inc 194,521 +42,243 $3,172
     PWR194,521+42,243$3,172
NRG ENERGY INC 116,233 +93,110 $3,168
     NRG116,233-36,690$3,168
GLOBE LIFE INC 43,931 -52,241 $3,162
     GL43,931-52,241$3,162
ATHENE HLDG LTD 125,496 -79,164 $3,115
     ATH125,496-79,164$3,115
RLJ LODGING TR 1,068,688 +525,207 $3,107
     RLJ1,068,688+525,207$3,107
GAMING & LEISURE PPTYS INC 112,028 -219,456 $3,104
     GLPI112,028-219,456$3,104
JEFFERIES FINL GROUP INC 224,349 -259,650 $3,068
     JEF224,349-259,650$3,068
VOYA FINANCIAL INC 75,144 -64,538 $3,048
     VOYA75,144-64,538$3,048
ADVANCE AUTO PARTS INC 32,496 -55,644 $3,033
     AAP32,496-55,644$3,033
ARES CAPITAL CORP      $3,030
     CONV NT 43,500,000+3,500,000$3,030
WABCO HLDGS INC 22,121 -9,104 $2,987
     WBC22,121-9,104$2,987
TTM TECHNOLOGIES INC 287,538 -13,062 $2,973
     TTMI287,538-13,062$2,973
JONES LANG LASALLE INC 29,419 -8,324 $2,972
     JLL29,419-8,324$2,972
MGM RESORTS INTERNATIONAL 248,962 -389,871 $2,939
     MGM248,962-389,871$2,939
SANDERSON FARMS INC 23,829 -5,600 $2,939
     SAFM23,829-5,600$2,939
CHINA LODGING GROUP LTD      $2,927
     SR CV NT03,050,000-170,000$2,927
DOMINOS PIZZA INC 9,028 -4,546 $2,926
     DPZ9,028-4,546$2,926
NELNET INC 64,189 +10,680 $2,914
     NNI64,189+10,680$2,914
SIRIUS XM HLDGS INC 586,206 -209,375 $2,897
     SIRI586,206-209,375$2,897
SUPERNUS PHARMACEUTICALS INC      $2,891
     SR GLBL COCO 233,600,000-1,000,000$2,891
K12 INC 152,908 +6,045 $2,884
     LRN152,908+6,045$2,884
NORWEGIAN CRUISE LINE HLDG LTD 261,575 -68,537 $2,868
     NCLH261,575-68,537$2,868
PERKINELMER INC 37,300 -18,581 $2,808
     PKI37,300-18,581$2,808
CARNIVAL CORP 212,282 -174,691 $2,798
     CCL212,282-174,691$2,798
INTERNATIONAL GAME TECHNOLOGY 469,858 +467,349 $2,795
     IGT469,858+467,349$2,795
EPR PPTYS 115,122 +13,121 $2,788
     EPR115,122+13,121$2,788
RALPH LAUREN CORP 41,652 -7,136 $2,783
     RL41,652-7,136$2,783
RPM INTL INC 46,757 -7,510 $2,782
     RPM46,757-7,510$2,782
APARTMENT INVT & MGMT CO 78,195 -24,583 $2,748
     AIV78,195-24,583$2,748
BIO RAD LABS INC 7,749 +179 $2,716
     BIO7,749+179$2,716
FLIR SYS INC 84,993 -22,573 $2,712
     FLIR84,993-22,573$2,712
WIX COM LTD      $2,678
     SR GLBL COCO 231,975,000-125,000$1,948
     WIX7,239-728$730
SHAW COMMUNICATIONS INC 164,497 -91,564 $2,665
     SJR164,497-91,564$2,665
AXALTA COATING SYS LTD 154,206 +17,008 $2,663
     AXTA154,206+17,008$2,663
HELEN OF TROY CORP LTD 18,445 +14,981 $2,656
     HELE18,445+14,981$2,656
NATIONAL OILWELL VARCO INC 266,866 -48,854 $2,623
     NOV266,866-48,854$2,623
CATHAY GEN BANCORP 328,882 +3,039 $2,598
     CATY328,882+3,039$2,598
HANESBRANDS INC 328,547 +72,904 $2,585
     HBI328,547+72,904$2,585
Janus Henderson Group PLC 512,209 +192,492 $2,567
     JHG512,209+192,492$2,567
LENNOX INTL INC 14,086 -23,058 $2,561
     LII14,086-23,058$2,561
GAP INC 363,458 +4,645 $2,559
     GPS363,458+4,645$2,559
Covanta Holding Corporation 616,710 +124,578 $2,552
     CVA616,710+124,578$2,552
CALAVO GROWERS INC 44,195 -217 $2,549
     CVGW44,195-217$2,549
TOLL BROTHERS INC 132,346 -41,270 $2,547
     TOL132,346-41,270$2,547
Cypress Semiconductor Corp 233,595 -806,894 $2,544
     CY233,595-806,894$2,544
SENSATA TECHNOLOGIES HLDNG PLC 87,914 -142,395 $2,543
     ST87,914-142,395$2,543
KB Home 403,567 -906,804 $2,541
     KBH403,567-906,804$2,541
DXC TECHNOLOGY CO 194,538 +30,215 $2,540
     DXC194,538+30,215$2,540
NEWELL BRANDS INC 190,419 -52,243 $2,530
     NWL190,419-52,243$2,530
HUTCHISON CHINA MEDITECH LTD 140,540 -24,960 $2,508
     HCM140,540-24,960$2,508
BEIGENE LTD 20,349 +911 $2,505
     BGNE20,349+911$2,505
Gladstone Land Corporation 329,682 +7,335 $2,475
     LAND329,682+7,335$2,475
SMITH A O CORP 65,011 -13,185 $2,458
     AOS65,011-13,185$2,458
CUBESMART 91,251 +3,474 $2,445
     CUBE91,251+3,474$2,445
EQUITY COMWLTH 77,004 +21,474 $2,442
     EQC77,004+21,474$2,442
NATIONAL STORAGE AFFILIATES TR 82,234 +12,708 $2,434
     NSA82,234+12,708$2,434
ALCOA CORP 394,852 +162,025 $2,432
     AA394,852+162,025$2,432
DOUGLAS EMMETT INC 78,638 -35,584 $2,399
     DEI78,638-35,584$2,399
COGNEX CORP 56,744 -19,759 $2,396
     CGNX56,744-19,759$2,396
RAYMOND JAMES FINL INC 37,759 -14,122 $2,387
     RJF37,759-14,122$2,387
Valvoline Inc 553,724 +78,604 $2,381
     VVV553,724+78,604$2,381
HAEMONETICS CORP 23,559 -10,238 $2,347
     HAE23,559-10,238$2,347
ROLLINS INC 64,754 -34,404 $2,340
     ROL64,754-34,404$2,340
Progress Software Corp 209,611 +145,698 $2,323
     PRGS209,611+145,698$2,323
HD SUPPLY HLDGS INC 81,386 -37,634 $2,313
     HDS81,386-37,634$2,313
PINTEREST INC 149,672 +79,754 $2,310
     PINS149,672+79,754$2,310
Power Integrations Inc 70,254 +13,401 $2,295
     POWI70,254+13,401$2,295
EURONAV NV ANTWERPEN 203,150 +37,417 $2,291
     EURN203,150+37,417$2,291
National Health Investors Inc 95,197 +15,315 $2,250
     NHI95,197+15,315$2,250
TANDEM DIABETES CARE INC 34,939 -1,004 $2,249
     TNDM34,939-1,004$2,249
PBF ENERGY INC 317,386 -781,801 $2,247
     PBF317,386-781,801$2,247
IAA INC 74,844 +7,676 $2,242
     IAA74,844+7,676$2,242
PIEDMONT OFFICE REALTY TR INC 126,792 +7,306 $2,239
     PDM126,792+7,306$2,239
ARROW ELECTRS INC 43,134 -4,550 $2,237
     ARW43,134-4,550$2,237
GENERAL DYNAMICS CORP 16,544 -2,750 $2,189
     GD16,544-2,750$2,189
MELCO RESORTS AND ENTMNT LTD 175,184 -59,382 $2,171
     MLCO175,184-59,382$2,171
ALLEGIANT TRAVEL CO 26,500 +25,000 $2,168
     ALGT26,500+25,000$2,168
VIAVI SOLUTIONS INC      $2,168
     COCO 242,056,000+2,056,000$2,168
BRIXMOR PPTY GROUP INC 407,363 -44,102 $2,144
     BRX407,363-44,102$2,144
ENTERPRISE PRODS PARTNERS L P 149,971 -862,882 $2,144
     EPD149,971-862,882$2,144
Livent Corp 741,766 +242,334 $2,139
     LTHM741,766+242,334$2,139
BLOCK H & R INC 447,499 +46,900 $2,138
     HRB447,499+46,900$2,138
Innospec Inc 65,973 +19,714 $2,104
     IOSP65,973+19,714$2,104
Atlantica Yield PLC 181,236 +18,518 $2,098
     AY181,236+18,518$2,098
Ceva Inc 158,559 +46,929 $2,094
     CEVA158,559+46,929$2,094
FLOWSERVE CORP 86,658 -11,965 $2,070
     FLS86,658-11,965$2,070
LIBERTY MEDIA CORP DEL 75,949 -621,025 $2,068
     FWONK75,949-21,025$2,068
PHYSICIANS RLTY TR 148,083 +29,635 $2,064
     DOC148,083+29,635$2,064
EASTERLY GOVT PPTYS INC 83,492 -90 $2,057
     DEA83,492-90$2,057
TPG SPECIALTY LENDING INC 147,726 -73,218 $2,057
     TSLX147,726-73,218$2,057
DROPBOX INC 112,932 -682 $2,045
     DBX112,932-682$2,045
LIBERTY MEDIA CORP DEL      $2,028
     LSXMA59,556+2,081$1,887
     SR AMZ EXC DB 31200,000UNCH$141
FIRST INDL RLTY TR INC 59,843 -11,757 $1,988
     FR59,843-11,757$1,988
CHENIERE ENERGY INC 59,232 -34,796 $1,984
     LNG59,232-34,796$1,984
Vishay Intertechnology Inc 421,061 +47,409 $1,981
     VSH421,061+47,409$1,981
CEMEX SAB DE CV 921,086 -2,086,589 $1,953
     CX921,086-336,589$1,953
Employers Holdings Inc 146,236 +26,655 $1,949
     EIG146,236+26,655$1,949
IAMGOLD CORP 853,018 +156,282 $1,945
     IAG853,018+156,282$1,945
REINSURANCE GRP OF AMERICA INC 23,078 -22,741 $1,942
     RGA23,078-22,741$1,942
CURTISS WRIGHT CORP 20,957 +3,145 $1,937
     CW20,957+3,145$1,937
STORE CAP CORP 106,774 -52,349 $1,934
     STOR106,774-52,349$1,934
ALTICE USA INC 86,628 +9,923 $1,931
     ATUS86,628+9,923$1,931
APACHE CORP 459,399 +28,915 $1,920
     APA459,399+28,915$1,920
CACTUS INC 163,297 -324,417 $1,894
     WHD163,297-324,417$1,894
CVR Energy Inc 347,840 +160,254 $1,882
     CVI347,840+160,254$1,882
WYNN RESORTS LTD 31,007 -31,321 $1,866
     WYNN31,007-31,321$1,866
RIO TINTO PLC      $1,865
     RIO30,922-993$1,409
     Call10,000-10,000$456
Xenia Hotels & Resorts Inc 434,514 +11,975 $1,856
     XHR434,514+11,975$1,856
PTC INC 30,315 -4,544 $1,855
     PTC30,315-4,544$1,855
ARMOUR RESIDENTIAL REIT INC 209,332 +9,400 $1,844
     ARR209,332+9,400$1,844
JBG SMITH PPTYS 57,788 +1,962 $1,839
     JBGS57,788+1,962$1,839
U.S. Physical Therapy Inc 80,655 +66,939 $1,832
     USPH80,655+66,939$1,832
NOBLE ENERGY INC 302,332 -758,505 $1,826
     NBL302,332-758,505$1,826
UNITED STATES STL CORP NEW 289,415 +45,298 $1,826
     X289,415+45,298$1,826
RYMAN HOSPITALITY PPTYS INC 109,298 -42,331 $1,816
     RHP109,298-42,331$1,816
HUDSON PAC PPTYS INC 71,212 -255,027 $1,806
     HPP71,212-255,027$1,806
COMPANHIA PARANAENSE ENERG COP 172,413 -7,954 $1,794
     ELP172,413-7,954$1,794
Adecoagro SA 500,368 +117,517 $1,793
     AGRO500,368+117,517$1,793
UNIVERSAL HEALTH RLTY INCM TR 17,773 +741 $1,791
     UHT17,773+741$1,791
CONMED CORP 31,200 +4,904 $1,787
     CNMD31,200+4,904$1,787
SIGNATURE BK NEW YORK N Y 22,038 -1,252 $1,772
     SBNY22,038-1,252$1,772
HEALTHCARE RLTY TR 62,640 -1,818 $1,749
     HR62,640-1,818$1,749
BHP GROUP LTD 47,574 -8,206 $1,745
     BHP47,574-8,206$1,745
HIGHWOODS PPTYS INC 48,832 -28,408 $1,729
     HIW48,832-28,408$1,729
Kforce Inc 207,206 +14,112 $1,727
     KFRC207,206+14,112$1,727
NEWS CORP NEW 192,249 -35,922 $1,726
     NWSA192,249-35,922$1,726
LIBERTY GLOBAL PLC 104,134 +5,317 $1,718
     LBTYA104,134+5,317$1,718
PVH CORPORATION 45,497 -24,926 $1,712
     PVH45,497-24,926$1,712
APOLLO COML REAL EST FIN INC      $1,698
     SR CONV 42,450,000+2,450,000$1,698
OFFICE PPTYS INCOME TR 62,144 +8,635 $1,693
     OPI62,144+8,635$1,693
AMERCO 5,750 -406 $1,671
     UHAL5,750-406$1,671
EQUITABLE HLDGS INC 267,582 -643,008 $1,663
     EQH267,582-643,008$1,663
Ormat Technologies Inc 45,852 +733 $1,663
     ORA45,852+733$1,663
UNUM GROUP 110,088 -85,258 $1,652
     UNM110,088-85,258$1,652
SYNNEX Corp 68,255 +4,820 $1,648
     SNX68,255+4,820$1,648
TPI Composites Inc 225,308 -598,077 $1,646
     TPIC225,308-598,077$1,646
LeMaitre Vascular Inc 201,603 +38,409 $1,643
     LMAT201,603+38,409$1,643
NICE SYS INC      $1,624
     SR EXC NT1922,000-58,000$1,624
CULLEN FROST BANKERS INC 88,614 +6,367 $1,623
     CFR88,614+6,367$1,623
MONGODB INC 11,880 +1,589 $1,623
     MDB11,880+1,589$1,623
UNDER ARMOUR INC 200,647 +97,179 $1,618
     UA200,647+97,179$1,618
MIDDLEBY CORP 28,329 -1,048 $1,612
     MIDD28,329-1,048$1,612
Foot Locker Inc 162,705 +17,460 $1,595
     FL162,705+17,460$1,595
AUTOLIV INC 34,654 -9,247 $1,594
     ALV34,654-9,247$1,594
STAG INDL INC 69,926 +5,018 $1,575
     STAG69,926+5,018$1,575
COMMUNITY HEALTHCARE TR INC 40,618 +2,063 $1,555
     CHCT40,618+2,063$1,555
MACYS INC 312,263 +104,224 $1,534
     M312,263+104,224$1,534
BANCO MACRO SA 89,377 -16,489 $1,518
     BMA89,377-16,489$1,518
ESCO TECHNOLOGIES INC 20,000 UNCH $1,518
     ESE20,000UNCH$1,518
ETSY INC 38,998 +4,016 $1,499
     ETSY38,998+4,016$1,499
LIGAND PHARMACEUTICALS INC      $1,486
     COCO 231,800,000+1,800,000$1,486
Federated Hermes Inc 239,494 -19,843 $1,484
     FII239,494-19,843$1,484
ITT Inc 98,481 +12,051 $1,477
     ITT98,481+12,051$1,477
LEGGETT & PLATT INC 54,837 +465 $1,464
     LEG54,837+465$1,464
Barnes Group Inc 107,144 +19,672 $1,442
     B107,144+19,672$1,442
NorthWestern Corp 73,316 -17,666 $1,439
     NWE73,316-17,666$1,439
GRUPO FINANCIERO GALICIA S.A. 203,537 -26,670 $1,434
     GGAL203,537-26,670$1,434
KNIGHT SWIFT TRANSN HLDGS INC 43,587 -19,274 $1,430
     KNX43,587-19,274$1,430
Sunrun Inc 245,389 +38,492 $1,429
     RUN245,389+38,492$1,429
PARK HOTELS RESORTS INC 178,368 +40,848 $1,411
     PK178,368+40,848$1,411
CATALENT INC 27,098 -5,827 $1,407
     CTLT27,098-5,827$1,407
TARGA RES CORP 203,002 +6,764 $1,403
     TRGP203,002+6,764$1,403
TELECOM ARGENTINA S A 151,789 -74,721 $1,399
     TEO151,789-74,721$1,399
CANADA GOOSE HOLDINGS INC 69,839 -19,800 $1,389
     GOOS69,839-19,800$1,389
ITAU UNIBANCO HLDG S A 307,739 -98,664 $1,382
     ITUB307,739-98,664$1,382
PACIFIC PREMIER BANCORP 73,000 +66,400 $1,375
     PPBI73,000+66,400$1,375
CENTRAIS ELETRICAS BRASILEIRAS 296,739 -3,066 $1,368
     EBR296,739-3,066$1,368
OASIS PETROLEUM INC      $1,367
     SR GLBL COCO 2311,902,000+11,902,000$1,367
SPIRIT RLTY CAP INC NEW 51,311 -51,468 $1,342
     SRC51,311-51,468$1,342
KAR AUCTION SVCS INC 111,319 +4,987 $1,336
     KAR111,319+4,987$1,336
IPG PHOTONICS CORP 12,104 -56,412 $1,335
     IPGP12,104-56,412$1,335
Sunnova Energy International Inc 233,002 -40,695 $1,314
     NOVA233,002-40,695$1,314
CIENA CORP 32,807 -11,798 $1,307
     CIEN32,807-11,798$1,307
OSISKO GOLD ROYALTIES LTD 175,000 -135,421 $1,302
     OR175,000-135,421$1,302
WESTERN MIDSTREAM PARTNERS LP 398,112 +20,861 $1,290
     WES398,112+20,861$1,290
PS BUSINESS PKS INC CALIF 9,493 -14,626 $1,286
     PSB9,493-14,626$1,286
GILDAN ACTIVEWEAR INC 100,525 -34,393 $1,282
     GIL100,525-34,393$1,282
IONIS PHARMACEUTICALS INC 27,065 -8,624 $1,281
     IONS27,065-8,624$1,281
JACOBS ENGR GROUP INC 16,143 -4,252 $1,279
     JEC16,143-4,252$1,279
ROYAL DUTCH SHELL PLC      $1,279
     RDS.A36,670+2,078$1,279
SABRA HEALTH CARE REIT INC 116,947 -3,478 $1,277
     SBRA116,947-3,478$1,277
Medifast Inc 62,666 +62,666 $1,273
     MED62,666+62,666$1,273
NIC Inc 171,737 +21,382 $1,269
     EGOV171,737+21,382$1,269
HARLEY DAVIDSON INC 66,476 -1,744,161 $1,257
     HOG66,476-1,744,161$1,257
EATON VANCE CORP 38,912 -12,270 $1,256
     EV38,912-12,270$1,256
RYANAIR HOLDINGS PLC 23,657 +7,427 $1,255
     RYAAY23,657+7,427$1,255
TTEC HLDGS INC 95,110 +11,682 $1,248
     TTEC95,110+11,682$1,248
PENNYMAC MTG INVT TR 117,393 UNCH $1,247
     PMT117,393UNCH$1,247
TAUBMAN CTRS INC 29,782 +3,145 $1,247
     TCO29,782+3,145$1,247
Evercore Inc 82,646 -18,638 $1,234
     EVR82,646-18,638$1,234
CORPORATE OFFICE PPTYS TR 55,349 +308 $1,225
     OFC55,349+308$1,225
SAFEHOLD INC 19,369 +4,358 $1,225
     SAFE19,369+4,358$1,225
Gentex Corp MI 170,550 +3,776 $1,221
     GNTX170,550+3,776$1,221
SPIRIT AEROSYSTEMS HLDGS INC 51,009 -16,911 $1,221
     SPR51,009-16,911$1,221
VISTA OIL & GAS S A B DE C V 607,551 -146,393 $1,215
     VIST607,551-146,393$1,215
American Eagle Outfitters Inc 466,167 +348,690 $1,211
     AEO466,167+348,690$1,211
J2 GLOBAL INC 16,085 -2,657 $1,204
     JCOM16,085-2,657$1,204
INDUSTRIAL LOGISTICS PPTYS TR 68,017 +26,230 $1,193
     ILPT68,017+26,230$1,193
TELEFONICA BRASIL SA 124,608 UNCH $1,187
     VIV124,608UNCH$1,187
VEON LTD 784,615 -1,396,000 $1,185
     VEON784,615-1,396,000$1,185
ALLIANCE DATA SYSTEMS CORP 35,013 -2,801 $1,178
     ADS35,013-2,801$1,178
ManTech International Corp 44,428 +6,003 $1,175
     MANT44,428+6,003$1,175
TRANSPORTADORA DE GAS SUR 255,070 -156,521 $1,173
     TGS255,070-156,521$1,173
PBF LOGISTICS LP 172,665 +117,261 $1,168
     PBFX172,665+117,261$1,168
ERIE INDTY CO 7,860 -2,813 $1,165
     ERIE7,860-2,813$1,165
CAE INC 91,850 -21,670 $1,159
     CAE91,850-21,670$1,159
CDK GLOBAL INC 35,162 -65,171 $1,155
     CDK35,162-65,171$1,155
Graco Inc 71,979 -3,282 $1,147
     GGG71,979-3,282$1,147
LEXINGTON REALTY TRUST 115,152 -7,557 $1,143
     LXP115,152-7,557$1,143
TRIPADVISOR INC 65,292 +5,090 $1,136
     TRIP65,292+5,090$1,136
WILLIAMS SONOMA INC 60,167 +6,992 $1,123
     WSM60,167+6,992$1,123
AMDOCS LTD 20,407 -10,492 $1,121
     DOX20,407-10,492$1,121
INVESCO MORTGAGE CAPITAL INC 328,630 +276,830 $1,121
     IVR328,630+276,830$1,121
WESTLAKE CHEM CORP 28,947 +1,586 $1,105
     WLK28,947+1,586$1,105
ONEMAIN HLDGS INC 57,427 +57,427 $1,098
     OMF57,427+57,427$1,098
TRANSDIGM GROUP INC 3,422 -329 $1,096
     TDG3,422-329$1,096
WAYFAIR INC 20,311 -221,980 $1,086
     W20,311-221,980$1,086
GRANITE REAL ESTATE INVT TR      $1,084
     GRP.U26,249-646$1,084
Universal Insurance Holdings Inc 189,105 -36,070 $1,080
     UVE189,105-36,070$1,080
HUBSPOT INC 8,011 -43,641 $1,067
     HUBS8,011-43,641$1,067
GERDAU SA 555,966 -39,064 $1,061
     GGB555,966-39,064$1,061
CAMECO CORP 138,268 -45,073 $1,056
     CCJ138,268-45,073$1,056
LOGMEIN INC 12,608 -27,174 $1,050
     LOGM12,608-27,174$1,050
Littelfuse Inc 23,860 -6,097 $1,031
     LFUS23,860-6,097$1,031
PacWest Bancorp 174,482 +14,545 $1,018
     PACW174,482+14,545$1,018
INNOVATIVE INDL PPTYS INC 13,205 +8,292 $1,003
     IIPR13,205+8,292$1,003
Hackett Group Inc The 244,884 +12,979 $1,001
     HCKT244,884+12,979$1,001
DIAMONDROCK HOSPITALITY CO 192,390 +99,615 $977
     DRH192,390+99,615$977
PLANET FITNESS INC 20,047 -240,293 $976
     PLNT20,047-240,293$976
SYNAPTICS INC      $972
     SR GLBL COCO 22500,000UNCH$520
     SYNA7,819+5,228$452
PEBBLEBROOK HOTEL TR 138,847 +79,724 $971
     PEB138,847+79,724$971
WASHINGTON REAL ESTATE INVT TR 40,461 +3,666 $966
     WRE40,461+3,666$966
SMARTSHEET INC 23,017 -3,023 $955
     SMAR23,017-3,023$955
BLACKBERRY LTD 230,895 -3,527,181 $954
     BB230,895-3,527,181$954
BLUCORA INC 78,627 +78,627 $947
     BCOR78,627+78,627$947
SUNSTONE HOTEL INVS INC NEW 107,760 +4,715 $939
     SHO107,760+4,715$939
PDC ENERGY INC 150,000 +143,100 $932
     PDCE150,000+143,100$932
COTY INC 180,009 -71,936 $929
     COTY180,009-71,936$929
INOVALON HLDGS INC 54,800 -23,745 $913
     INOV54,800-23,745$913
WEINGARTEN RLTY INVS 63,274 -336,451 $913
     WRI63,274-336,451$913
CORESITE RLTY CORP 7,828 +6,737 $907
     COR7,828+6,737$907
BRANDYWINE RLTY TR 85,761 +3,933 $902
     BDN85,761+3,933$902
Renewable Energy Group Inc 81,016 +22,148 $898
     REGI81,016+22,148$898
PARAMOUNT GROUP INC 99,783 +6,876 $879
     PGRE99,783+6,876$879
BAUSCH HEALTH COS INC 56,605 -8,751 $877
     BHC56,605-8,751$877
Canadian Solar Inc 99,943 +18,591 $866
     CSIQ99,943+18,591$866
DR REDDYS LABS LTD 20,857 -580 $842
     RDY20,857-580$842
FOX FACTORY HLDG CORP 20,000 UNCH $840
     FOXF20,000UNCH$840
First Defiance Financial Corp 175,771 +175,771 $836
     FDEF175,771+175,771$836
STERLING BANCORP DEL 77,774 -39,400 $813
     STL77,774-39,400$813
Choice Hotels International Inc 40,818 +6,922 $810
     CHH40,818+6,922$810
OPTION CARE HEALTH INC 84,735 +84,735 $802
     OPCH84,735+84,735$802
KENNEDY WILSON HLDGS INC 58,897 -34,333 $790
     KW58,897-34,333$790
STARS GROUP INC 38,032 -11,137 $777
     TSG38,032-11,137$777
MSC Industrial Direct Co Inc 42,558 -48,048 $770
     MSM42,558-48,048$770
MAG SILVER CORP 100,000 UNCH $768
     MAG100,000UNCH$768
NOVOCURE LTD 11,400 +11,400 $768
     NVCR11,400+11,400$768
SLEEP NUMBER CORP 40,000 +40,000 $766
     SNBR40,000+40,000$766
Carlisle Company Inc 18,549 -3,131 $764
     CSL18,549-3,131$764
COMMSCOPE HLDG CO INC 82,819 -22,309 $754
     COMM82,819-22,309$754
SANDSTORM GOLD LTD 150,000 +25,000 $752
     SAND150,000+25,000$752
DIVERSIFIED HEALTHCARE TR 206,606 +206,606 $750
     DHC206,606+206,606$750
COLUMBIA PPTY TR INC 58,953 +5,061 $737
     CXP58,953+5,061$737
DOMTAR CORP 104,234 -167,807 $736
     UFS104,234-167,807$736
Buckle Inc 130,933 +9,509 $734
     BKE130,933+9,509$734
AMERICAN AIRLS GROUP INC 59,469 -39,142 $724
     AAL59,469-39,142$724
CARETRUST REIT INC 48,759 +4,286 $722
     CTRE48,759+4,286$722
UMPQUA HLDGS CORP 154,328 +39,366 $720
     UMPQ154,328+39,366$720
SERVICE PPTYS TR 133,003 +3,697 $718
     SVC133,003+3,697$718
Entegris Inc 48,961 +48,961 $710
     ENTG48,961+48,961$710
R1 RCM INC 78,057 -323 $709
     RCM78,057-323$709
IMPERIAL OIL LTD 62,161 -111,739 $701
     IMO62,161-111,739$701
ECOPETROL S A 73,537 UNCH $699
     EC73,537UNCH$699
GLOBAL MED REIT INC 69,004 +68,964 $699
     GMRE69,004+68,964$699
SABRE CORP 117,548 -22,679 $697
     SABR117,548-22,679$697
VONAGE HLDGS CORP 95,641 -11,792 $691
     VG95,641-11,792$691
MACK CALI RLTY CORP 45,297 -38,338 $690
     CLI45,297-38,338$690
P T TELEKOMUNIKASI INDONESIA 35,840 -19,911 $690
     TLK35,840-19,911$690
Universal Display Corp 9,533 +2,404 $686
     OLED9,533+2,404$686
BOX INC 48,557 -6,089 $682
     BOX48,557-6,089$682
ESSENTIAL PPTYS RLTY TR INC 51,963 +11,225 $679
     EPRT51,963+11,225$679
EMPIRE ST RLTY TR INC 75,765 +6,268 $679
     ESRT75,765+6,268$679
UNITED CMNTY BKS BLAIRSVLE GA 95,669 +28,091 $671
     UCBI95,669+28,091$671
EQUINOX GOLD CORP 100,000 UNCH $663
     EQX100,000UNCH$663
BRF SA 223,889 -22,761 $649
     BRFS223,889-22,761$649
ASE TECHNOLOGY HOLDING CO LTD 173,000 UNCH $647
     ASX173,000UNCH$647
FOUR CORNERS PPTY TR INC 34,515 +2,893 $646
     FCPT34,515+2,893$646
Herman Miller Inc 59,666 +41,747 $646
     MLHR59,666+41,747$646
OVINTIV INC 236,858 +236,858 $639
     OVV236,858+236,858$639
TEXTRON INC 23,953 -2,147 $638
     TXT23,953-2,147$638
UNDER ARMOUR INC 68,597 -6,088 $632
     UAA68,597-6,088$632
LTC PPTYS INC 20,257 +1,719 $626
     LTC20,257+1,719$626
DELPHI TECHNOLOGIES PL 141,743 -114,868 $616
     DLPH141,743-114,868$616
EMBOTELLADORA ANDINA S A      $615
     AKO.B49,817-781$615
CHARLES RIV LABS INTL INC 4,865 +914 $614
     CRL4,865+914$614
AMERICAN ASSETS TR INC 24,355 +2,679 $609
     AAT24,355+2,679$609
MDU RES GROUP INC 82,786 -36,675 $609
     MDU82,786-36,675$609
FIRSTCASH INC 8,400 +2,400 $603
     FCFS8,400+2,400$603
NATIONAL ENERGY SERVICES REUNI 117,348 -15,191 $596
     NESR117,348-15,191$596
MONOLITHIC PWR SYS INC 3,505 -161,269 $587
     MPWR3,505-161,269$587
GLOBAL NET LEASE INC 43,224 +3,496 $578
     GNL43,224+3,496$578
PAMPA ENERGIA S A 51,087 -7,178 $577
     PAM51,087-7,178$577
Ethan Allen Interiors Inc 173,062 -37,057 $576
     ETH173,062-37,057$576
Primoris Services Corp 109,882 +30,954 $573
     PRIM109,882+30,954$573
RETAIL PPTYS AMER INC 110,175 +13,706 $570
     RPAI110,175+13,706$570
8X8 INC NEW 41,070 -5,146 $569
     EGHT41,070-5,146$569
Heidrick & Struggles International Inc 75,143 +20,307 $567
     HSII75,143+20,307$567
HOUGHTON MIFFLIN HARCOURT CO 301,267 -3,700 $566
     HMHC301,267-3,700$566
PRA HEALTH SCIENCES INC 6,782 -7,289 $563
     PRAH6,782-7,289$563
COEUR MNG INC 175,000 UNCH $562
     CDE175,000UNCH$562
ISRAEL CHEMICALS LTD 182,866 -30,806 $561
     ICL182,866-30,806$561
FIVE BELOW INC 7,954 -5,610 $560
     FIVE7,954-5,610$560
CONTINENTAL RES INC 73,076 +12,278 $558
     CLR73,076+12,278$558
EXELIXIS INC 32,040 -16,941 $552
     EXEL32,040-16,941$552
Broadwind Energy Inc 700,883 +198,544 $550
     BWEN700,883+198,544$550
ACADIA RLTY TR 43,435 +5,667 $538
     AKR43,435+5,667$538
Columbia Banking System Inc 60,948 +18,409 $538
     COLB60,948+18,409$538
URSTADT BIDDLE PPTYS INC 37,540 +1,748 $529
     UBA37,540+1,748$529
ELDORADO GOLD CORP NEW 85,000 UNCH $524
     EGO85,000UNCH$524
CENOVUS ENERGY INC 258,041 +51,343 $521
     CVE258,041+51,343$521
MONMOUTH REAL ESTATE INVT CORP 42,673 -130 $514
     MNR42,673-130$514
URBAN EDGE PPTYS 58,290 +4,974 $514
     UE58,290+4,974$514
Apogee Enterprices Inc 73,527 +18,404 $506
     APOG73,527+18,404$506
SWITCH INC 34,963 +34,963 $505
     SWCH34,963+34,963$505
TECH DATA CORP 3,835 -6,376 $502
     TECD3,835-6,376$502
COLLEGIUM PHARMACEUTICAL INC 30,482 UNCH $498
     COLL30,482UNCH$498
CYBERARK SOFTWARE LTD 5,735 -131,357 $491
     CYBR5,735-131,357$491
Methode Electronics Inc 54,147 +16,215 $488
     MEI54,147+16,215$488
GARRETT MOTION INC 169,500 -130,500 $485
     GTX169,500-130,500$485
Winnebago Industries Inc 53,949 -7,896 $484
     WGO53,949-7,896$484
RETAIL OPPORTUNITY INVTS CORP 57,578 +5,702 $477
     ROIC57,578+5,702$477
UNITED THERAPEUTICS CORP DEL 5,026 -10,726 $477
     UTHR5,026-10,726$477
Cadence Bancorp 221,014 -51,223 $467
     CADE221,014-51,223$467
CSG Systems International Inc 34,255 +34,255 $464
     CSGS34,255+34,255$464
AGCO CORP 9,738 -3,492 $460
     AGCO9,738-3,492$460
Cinemark Holdings Inc 135,160 +17,645 $457
     CNK135,160+17,645$457
Stewart Information Services Corp 50,611 +13,529 $455
     STC50,611+13,529$455
JAZZ INVESTMENTS I LTD      $452
     SR COCO 21400,000UNCH$379
     SR GLBL EXC NT2483,000UNCH$73
Steelcase Inc 137,451 +32,495 $447
     SCS137,451+32,495$447
NICE LTD 3,088 +3,088 $444
     NICE3,088+3,088$444
POSCO 13,600 UNCH $444
     PKX13,600UNCH$444
TFS FINL CORP 28,500 -1,200 $435
     TFSL28,500-1,200$435
HORIZON THERAPEUTICS PUB LTD 14,600 -4,800 $432
     HZNP14,600-4,800$432
LINX S A 133,106 -25,062 $431
     LINX133,106-25,062$431
ICU MED INC 2,131 +2,131 $430
     ICUI2,131+2,131$430
SYNEOS HEALTH INC 10,837 +6,850 $427
     SYNH10,837+6,850$427
FIREEYE INC      $420
     SR GLBL COCO 24500,000-2,761,000$420
DICKS SPORTING GOODS INC 59,103 +2,793 $419
     DKS59,103+2,793$419
LANDSTAR SYS INC 4,332 -7,516 $415
     LSTR4,332-7,516$415
MACERICH CO 73,377 +7,821 $413
     MAC73,377+7,821$413
AMER STATES WTR CO 4,967 +2,966 $406
     AWR4,967+2,966$406
CANOPY GROWTH CORP 28,033 -18,063 $405
     CGC28,033-18,063$405
COLONY CAP INC NEW 230,570 +14,116 $403
     CLNY230,570+14,116$403
SITE CENTERS CORP 77,268 -110 $403
     SITC77,268-110$403
FINISAR CORP      $399
     SR COCO 36400,000UNCH$399
KITE RLTY GROUP TR 41,751 -46,554 $395
     KRG41,751-46,554$395
COGENT COMMUNICATIONS HLDGS IN 4,800 -200 $393
     CCOI4,800-200$393
MANHATTAN ASSOCS INC 7,865 -5,810 $392
     MANH7,865-5,810$392
CIRRUS LOGIC INC 5,968 -2,312 $391
     CRUS5,968-2,312$391
GETTY RLTY CORP NEW 16,400 -40 $389
     GTY16,400-40$389
INDEPENDENCE RLTY TR INC 43,283 +747 $387
     IRT43,283+747$387
VIR BIOTECHNOLOGY INC 11,200 +11,200 $384
     VIR11,200+11,200$384
iShares MSCI India ETF (INDA) 159,081 -2,163 $383
     INDA159,081-2,163$383
INTERFACE INC 50,680 +14,000 $383
     TILE50,680+14,000$383
FIRST FINL BANKSHARES (FFIN) 14,121 -3,511 $379
     FFIN14,121-3,511$379
TCF FINANCIAL CORPORATION NEW 16,738 +7,236 $379
     TCF16,738+7,236$379
Hanover Insurance Group Inc 12,684 +3,463 $374
     THG12,684+3,463$374
Franklin Electric Company Inc 7,801 -117,445 $367
     FELE7,801-117,445$367
Cheesecake Factory Inc 66,973 +12,166 $365
     CAKE66,973+12,166$365
First Horizon National Corp 138,669 +8,084 $365
     FHN138,669+8,084$365
BUILDERS FIRSTSOURCE INC 29,665 +17,565 $362
     BLDR29,665+17,565$362
Knoll Inc 108,185 +28,962 $361
     KNL108,185+28,962$361
TERRAFORM PWR INC 22,200 UNCH $350
     TERP22,200UNCH$350
TALLGRASS ENERGY LP 20,364 -1,007,142 $335
     TGE20,364-1,007,142$335
MAVERIX METALS INC 100,000 -19,600 $333
     MMX100,000-19,600$333
AXON ENTERPRISE INC 4,602 +1,772 $325
     AAXN4,602+1,772$325
Children&apos s Place Inc 50,335 +7,208 $319
     PLCE50,335+7,208$319
ARMADA HOFFLER PPTYS INC 29,697 -56,733 $318
     AHH29,697-56,733$318
GEO GROUP INC NEW 26,164 +14,607 $318
     GEO26,164+14,607$318
TEXAS ROADHOUSE INC 7,582 +3,709 $313
     TXRH7,582+3,709$313
GROCERY OUTLET HLDG CORP 9,100 +9,100 $312
     GO9,100+9,100$312
PARSLEY ENERGY INC 54,220 UNCH $311
     PE54,220UNCH$311
OLLIES BARGAIN OUTLT HLDGS INC 6,647 +3,304 $308
     OLLI6,647+3,304$308
AMERICAN FIN TR INC 48,459 -140 $303
     AFIN48,459-140$303
SELECTIVE INS GROUP INC 6,100 +6,100 $303
     SIGI6,100+6,100$303
ISHARES S&P 500 GRWTH ETF (IVW) 1,832 +1,832 $302
     IVW1,832+1,832$302
INVESTORS REAL ESTATE TRUST 5,450 -11,766 $300
     IRET5,450-11,766$300
CORECIVIC INC 26,582 +15,371 $296
     CXW26,582+15,371$296
DESCARTES SYS GROU