HoldingsChannel.com
All Stocks Held By Assenagon Asset Management S.A.
As of  03/31/2024, we find all stocks held by Assenagon Asset Management S.A. to be as follows, presented in the table below with each row detailing each Assenagon Asset Management S.A. position, ordered by largest to smallest position size. The all-stocks-held-by-Assenagon Asset Management S.A. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Assenagon Asset Management S.A. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
AMAZON COM INC 14,791,685 +3,687,522 $2,668,124
     AMZN14,791,685+3,687,522$2,668,124
MICROSOFT CORP      $2,348,378
     MSFT5,580,109-325,279$2,347,663
     Call1,700UNCH$715
NVIDIA CORPORATION 2,108,985 +209,313 $1,905,594
     NVDA2,108,985+209,313$1,905,594
ALPHABET INC 10,854,006 +932,576 $1,638,195
     GOOGL10,854,006+932,576$1,638,195
BERKSHIRE HATHAWAY INC DEL      $1,207,008
     BRK.B2,870,276+230,742$1,207,008
META PLATFORMS INC 2,235,610 -234,987 $1,085,568
     META2,235,610-234,987$1,085,568
APPLE INC      $901,177
     AAPL7,760,289+699,974$1,330,734
     Put3,915,000-435,000$671,344
     Call1,410,000+335,000$241,787
ADVANCED MICRO DEVICES INC 4,592,545 +2,359,004 $828,908
     AMD4,592,545+2,359,004$828,908
ALPHABET INC 4,506,420 -84,963 $686,148
     GOOG4,506,420-84,963$686,148
PDD HOLDINGS INC 5,087,255 +5,055,169 $591,393
     PDD5,087,255+5,055,169$591,393
INTUITIVE SURGICAL INC 1,285,565 +678,375 $513,056
     ISRG1,285,565+678,375$513,056
NETFLIX INC 681,566 +327,696 $413,935
     NFLX681,566+327,696$413,935
APPLIED MATLS INC 1,976,914 +1,092,429 $407,699
     AMAT1,976,914+1,092,429$407,699
ELI LILLY & CO 515,961 +229,319 $401,397
     LLY515,961+229,319$401,397
PAYPAL HLDGS INC      $330,936
     PYPL4,928,976+2,188,534$330,192
     Call11,100-10,800$744
QUALCOMM INC 1,867,987 +931,361 $316,250
     QCOM1,867,987+931,361$316,250
MASTERCARD INCORPORATED 625,614 -299,945 $301,277
     MA625,614-299,945$301,277
BROADCOM INC      $298,061
     AVGO259,882+187,099$344,450
     Put35,000UNCH$46,389
INTEL CORP 6,690,486 +977,845 $295,519
     INTC6,690,486+977,845$295,519
CRH PLC 3,123,996 -260,213 $269,475
     CRH3,123,996-260,213$269,475
PEPSICO INC 1,494,329 -307,448 $261,523
     PEP1,494,329-307,448$261,523
SYNCHRONY FINANCIAL 5,599,443 +5,088,262 $241,448
     SYF5,599,443+5,088,262$241,448
WALMART INC 3,793,199 +2,635,579 $228,237
     WMT3,793,199+2,635,579$228,237
UBER TECHNOLOGIES INC 2,868,795 +1,585,937 $220,869
     UBER2,868,795+1,585,937$220,869
HOME DEPOT INC 568,488 +231,119 $218,072
     HD568,488+231,119$218,072
MERCK & CO INC 1,634,904 +470,217 $215,726
     MRK1,634,904+470,217$215,726
BOSTON SCIENTIFIC CORP 3,089,653 +1,034,005 $211,610
     BSX3,089,653+1,034,005$211,610
SEA LTD 3,667,085 +1,011,417 $196,959
     SE3,667,085+1,011,417$196,959
TE CONNECTIVITY LTD 1,335,477 +1,214,122 $193,965
     TEL1,335,477+1,214,122$193,965
MONSTER BEVERAGE CORP NEW 3,210,439 +908,735 $190,315
     MNST3,210,439+908,735$190,315
CADENCE DESIGN SYSTEM INC 600,146 -20,415 $186,813
     CDNS600,146-20,415$186,813
UNITEDHEALTH GROUP INC 375,335 -15,105 $185,678
     UNH375,335-60,105$185,678
CONOCOPHILLIPS 1,455,878 +1,419,764 $185,304
     COP1,455,878+1,419,764$185,304
REGENERON PHARMACEUTICALS 189,685 -26,838 $182,570
     REGN189,685-26,838$182,570
PROCTER AND GAMBLE CO 1,036,305 -2,194,727 $168,140
     PG1,036,305-2,194,727$168,140
PFIZER INC 5,971,594 -401,898 $165,712
     PFE5,971,594-401,898$165,712
MCDONALDS CORP      $164,806
     MCD582,322-69,004$164,186
     Call2,200UNCH$620
SUNCOR ENERGY INC NEW 4,348,589 +3,783,250 $160,507
     SU4,348,589+3,783,250$160,507
COSTCO WHSL CORP NEW 215,906 +200,304 $158,179
     COST215,906+200,304$158,179
ADOBE INC 312,894 +193,299 $157,886
     ADBE312,894+193,299$157,886
AMGEN INC 547,733 -351,499 $155,731
     AMGN547,733-351,499$155,731
ALCON AG 1,817,006 +390,622 $150,776
     ALC1,817,006+390,622$150,776
ARISTA NETWORKS INC 503,789 -241,845 $146,089
     ANET503,789-241,845$146,089
OREILLY AUTOMOTIVE INC 120,986 -95,801 $136,579
     ORLY120,986-95,801$136,579
DELL TECHNOLOGIES INC 1,195,871 +905,279 $136,461
     DELL1,195,871+905,279$136,461
VERTEX PHARMACEUTICALS INC 323,088 +26,935 $135,054
     VRTX323,088+26,935$135,054
UNION PAC CORP 548,304 +108,382 $134,844
     UNP548,304+108,382$134,844
MERCADOLIBRE INC 86,643 -2,630 $131,001
     MELI86,643-2,630$131,001
ARROW ELECTRS INC 985,373 +446,647 $127,566
     ARW985,373+446,647$127,566
WORKDAY INC 465,699 +187,130 $127,019
     WDAY465,699+187,130$127,019
CHIPOTLE MEXICAN GRILL INC 41,608 +27,055 $120,945
     CMG41,608+27,055$120,945
SALESFORCE INC 397,556 -397,775 $119,736
     CRM397,556-397,775$119,736
APELLIS PHARMACEUTICALS INC 2,023,614 -121,390 $118,948
     APLS2,023,614-121,390$118,948
ELEVANCE HEALTH INC 225,746 -85,797 $117,058
     ELV225,746-85,797$117,058
COCA COLA CO 1,911,500 -1,636,795 $116,946
     KO1,911,500-1,636,795$116,946
CROCS INC 800,592 -95,062 $115,125
     CROX800,592-95,062$115,125
AON PLC 344,891 +276,131 $115,097
     AON344,891+276,131$115,097
SERVICENOW INC 150,468 +34,773 $114,717
     NOW150,468+34,773$114,717
AUTOZONE INC 35,768 -15,692 $112,728
     AZO35,768-15,692$112,728
FREEPORT MCMORAN INC 2,393,264 +1,799,028 $112,531
     FCX2,393,264+1,799,028$112,531
AMERICAN WTR WKS CO INC NEW 917,185 +433,794 $112,089
     AWK917,185+433,794$112,089
GILEAD SCIENCES INC 1,510,280 +1,195,507 $110,628
     GILD1,510,280+1,195,507$110,628
ENTERGY CORP NEW 1,028,272 +343,086 $108,668
     ETR1,028,272+343,086$108,668
MCKESSON CORP 191,909 -33,107 $103,026
     MCK191,909-33,107$103,026
CROWDSTRIKE HLDGS INC 302,163 +297,118 $96,870
     CRWD302,163+297,118$96,870
NISOURCE INC 3,463,203 +2,659,551 $95,792
     NI3,463,203+2,659,551$95,792
SYNOPSYS INC 166,848 -7,065 $95,354
     SNPS166,848-7,065$95,354
DISNEY WALT CO      $94,104
     DIS763,674+426,117$93,443
     Call5,400-10,100$661
AUTOMATIC DATA PROCESSING IN 374,041 -226,902 $93,413
     ADP374,041-226,902$93,413
APOLLO GLOBAL MGMT INC 818,950 +478,303 $92,091
     APO818,950+478,303$92,091
BOOKING HOLDINGS INC 25,113 -596 $91,107
     BKNG25,113-9,596$91,107
CORNING INC 2,724,225 +1,227,863 $89,790
     GLW2,724,225+1,227,863$89,790
NEXTERA ENERGY INC 1,404,931 +524,268 $89,789
     NEE1,404,931+524,268$89,789
NEXTRACKER INC 1,586,766 +1,579,507 $89,287
     NXT1,586,766+1,579,507$89,287
MR COOPER GROUP INC 1,140,473 -453,307 $88,900
     COOP1,140,473-453,307$88,900
DUKE ENERGY CORP NEW 882,552 +861,854 $85,352
     DUK882,552+861,854$85,352
EDWARDS LIFESCIENCES CORP 886,388 -322,631 $84,703
     EW886,388-322,631$84,703
AERCAP HOLDINGS NV 949,978 +648,382 $82,563
     AER949,978+648,382$82,563
NIKE INC 843,373 +573,401 $79,260
     NKE843,373+573,401$79,260
PURE STORAGE INC 1,477,133 UNCH $76,796
     PSTG1,477,133UNCH$76,796
HOLOGIC INC 974,177 +48,209 $75,947
     HOLX974,177+48,209$75,947
DOLLAR TREE INC 534,436 +98,924 $71,160
     DLTR534,436+98,924$71,160
SNOWFLAKE INC 437,237 +383,620 $70,657
     SNOW437,237+383,620$70,657
MOTOROLA SOLUTIONS INC 198,016 +149,391 $70,292
     MSI198,016+149,391$70,292
HUBSPOT INC 108,915 +50,506 $68,242
     HUBS108,915+50,506$68,242
MOODYS CORP 171,299 +138,339 $67,326
     MCO171,299+138,339$67,326
TESLA INC 380,192 -433,300 $66,834
     TSLA380,192-433,300$66,834
PARKER HANNIFIN CORP 119,295 +37,126 $66,303
     PH119,295+37,126$66,303
NRG ENERGY INC 962,919 +432,080 $65,180
     NRG962,919+432,080$65,180
CONSTELLATION BRANDS INC 238,533 +135,052 $64,824
     STZ238,533+135,052$64,824
QORVO INC 558,408 +153,265 $64,122
     QRVO558,408+153,265$64,122
IDEXX LABS INC 115,330 +71,737 $62,270
     IDXX115,330+71,737$62,270
ICICI BANK LIMITED 2,340,157 -759,726 $61,804
     IBN2,340,157-759,726$61,804
TJX COS INC NEW 606,948 -118,130 $61,557
     TJX606,948-118,130$61,557
APPLIED INDL TECHNOLOGIES IN 309,700 +197,552 $61,181
     AIT309,700+197,552$61,181
ZOETIS INC 357,774 +186,046 $60,539
     ZTS357,774+186,046$60,539
GODADDY INC 509,002 +472,894 $60,408
     GDDY509,002+472,894$60,408
EMERSON ELEC CO 530,160 +261,761 $60,131
     EMR530,160+261,761$60,131
DEXCOM INC 428,081 +310,565 $59,375
     DXCM428,081+310,565$59,375
WARRIOR MET COAL INC 974,247 +246,217 $59,137
     HCC974,247+246,217$59,137
ECOLAB INC 252,783 +232,282 $58,368
     ECL252,783+232,282$58,368
CINTAS CORP 84,259 +57,110 $57,888
     CTAS84,259+57,110$57,888
ABBVIE INC 317,559 -1,826,351 $57,827
     ABBV317,559-1,826,351$57,827
SAREPTA THERAPEUTICS INC 437,690 +53,911 $56,663
     SRPT437,690+53,911$56,663
MSCI INC 100,659 -43,083 $56,414
     MSCI100,659-43,083$56,414
CSX CORP 1,518,747 +349,513 $56,300
     CSX1,518,747+349,513$56,300
ZILLOW GROUP INC 1,133,685 +1,118,782 $55,301
     Z1,133,685+1,118,782$55,301
SLM CORP 2,517,251 +1,638,003 $54,851
     SLM2,517,251+1,638,003$54,851
VERISIGN INC 288,083 +49,105 $54,595
     VRSN288,083+49,105$54,595
STARBUCKS CORP 595,253 -1,071,598 $54,400
     SBUX595,253-1,271,598$54,400
LIVE NATION ENTERTAINMENT IN 512,347 +418,411 $54,191
     LYV512,347+418,411$54,191
KINDER MORGAN INC DEL 2,880,963 +1,084,408 $52,837
     KMI2,880,963+1,084,408$52,837
PEABODY ENERGY CORP 2,163,939 +9,404 $52,497
     BTU2,163,939+9,404$52,497
COUPANG INC 2,909,546 +1,992,092 $51,761
     CPNG2,909,546+1,992,092$51,761
SHERWIN WILLIAMS CO 147,231 -107,066 $51,138
     SHW147,231-107,066$51,138
SCHWAB CHARLES CORP 705,379 -497,974 $51,027
     SCHW705,379-497,974$51,027
FORD MTR CO DEL 3,781,402 +1,605,830 $50,217
     F3,781,402+1,605,830$50,217
DATADOG INC 406,168 +284,437 $50,202
     DDOG406,168+284,437$50,202
ENTEGRIS INC 354,507 +333,973 $49,822
     ENTG354,507+333,973$49,822
KIMBERLY CLARK CORP 385,121 +107,073 $49,815
     KMB385,121+107,073$49,815
CATERPILLAR INC 135,416 +119,962 $49,620
     CAT135,416+119,962$49,620
EMCOR GROUP INC 141,492 +27,229 $49,550
     EME141,492+27,229$49,550
ALLSTATE CORP 284,317 -47,787 $49,190
     ALL284,317-47,787$49,190
ARCHER DANIELS MIDLAND CO 775,515 -30,369 $48,710
     ADM775,515-30,369$48,710
KANZHUN LIMITED 2,765,211 +2,087,745 $48,474
     BZ2,765,211+2,087,745$48,474
NETEASE INC 465,742 -45,712 $48,190
     NTES465,742-45,712$48,190
VISTEON CORP 405,280 +324,946 $47,665
     VC405,280+324,946$47,665
CATALENT INC 835,029 +395,629 $47,137
     CTLT835,029+395,629$47,137
DECKERS OUTDOOR CORP 50,027 +39,932 $47,088
     DECK50,027+39,932$47,088
EPAM SYS INC 169,051 +90,895 $46,685
     EPAM169,051+90,895$46,685
NEUROCRINE BIOSCIENCES INC 337,737 +22,177 $46,581
     NBIX337,737+22,177$46,581
ABBOTT LABS 404,870 -13,881 $46,018
     ABT404,870-13,881$46,018
METTLER TOLEDO INTERNATIONAL 34,102 -35,442 $45,400
     MTD34,102-35,442$45,400
INTRA CELLULAR THERAPIES INC 649,817 -114,157 $44,967
     ITCI649,817-114,157$44,967
O I GLASS INC 2,644,360 +641,493 $43,870
     OI2,644,360+641,493$43,870
MEDPACE HLDGS INC 108,522 +23,443 $43,859
     MEDP108,522+23,443$43,859
S&P GLOBAL INC 102,474 -173,374 $43,598
     SPGI102,474-173,374$43,598
LOGITECH INTL S A 480,655 +457,006 $43,098
     LOGI480,655+457,006$43,098
VALERO ENERGY CORP 251,926 +58,021 $43,001
     VLO251,926+58,021$43,001
QUANTA SVCS INC 161,940 +156,121 $42,072
     PWR161,940+156,121$42,072
EXELIXIS INC 1,766,602 -182,841 $41,921
     EXEL1,766,602-182,841$41,921
UNUM GROUP 778,129 +357,475 $41,754
     UNM778,129+357,475$41,754
COOPER COS INC 409,538 +367,045 $41,552
     COO409,538+367,045$41,552
EVERGY INC 771,022 -745,795 $41,157
     EVRG771,022-745,795$41,157
ETSY INC 598,323 +198,023 $41,117
     ETSY598,323+198,023$41,117
WESTERN DIGITAL CORP. 588,732 +23,355 $40,175
     WDC588,732+23,355$40,175
CHEVRON CORP NEW 254,463 -307,417 $40,139
     CVX254,463-307,417$40,139
EOG RES INC 313,248 +298,427 $40,046
     EOG313,248+298,427$40,046
SPOTIFY TECHNOLOGY S A 151,747 +53,976 $40,046
     SPOT151,747+53,976$40,046
SANMINA CORPORATION 643,251 +100,865 $39,997
     SANM643,251+100,865$39,997
TEXAS INSTRS INC 227,391 -1,466,186 $39,614
     TXN227,391-1,466,186$39,614
CBRE GROUP INC 406,993 +354,588 $39,576
     CBRE406,993+354,588$39,576
KRAFT HEINZ CO 1,070,637 +483,457 $39,507
     KHC1,070,637+483,457$39,507
VULCAN MATLS CO 143,939 +4,198 $39,284
     VMC143,939+4,198$39,284
APPFOLIO INC 155,127 +120,246 $38,276
     APPF155,127+120,246$38,276
CELSIUS HLDGS INC 456,391 +397,699 $37,844
     CELH456,391+397,699$37,844
DRAFTKINGS INC NEW 824,011 +747,134 $37,418
     DKNG824,011+747,134$37,418
IDEX CORP 152,601 -36,542 $37,238
     IEX152,601-36,542$37,238
TYSON FOODS INC 632,366 +628,084 $37,139
     TSN632,366+628,084$37,139
NMI HLDGS INC 1,144,360 +284,405 $37,009
     NMIH1,144,360+284,405$37,009
THE CIGNA GROUP 101,705 -284,521 $36,938
     CI101,705-284,521$36,938
GARTNER INC 77,317 +39,609 $36,855
     IT77,317+39,609$36,855
KLA CORP 52,448 -2,322 $36,639
     KLAC52,448-2,322$36,639
BUILDERS FIRSTSOURCE INC 174,527 -85,255 $36,398
     BLDR174,527-85,255$36,398
UNITED PARCEL SERVICE INC 244,548 -261,831 $36,347
     UPS244,548-261,831$36,347
NUTANIX INC 588,843 +480,069 $36,343
     NTNX588,843+480,069$36,343
TAYLOR MORRISON HOME CORP 581,065 +128,978 $36,125
     TMHC581,065+128,978$36,125
ALTRIA GROUP INC 820,969 +775,681 $35,811
     MO820,969+775,681$35,811
ATMOS ENERGY CORP 301,083 +63,554 $35,790
     ATO301,083+63,554$35,790
ZSCALER INC 183,833 +175,190 $35,412
     ZS183,833+175,190$35,412
ANTERO RESOURCES CORP 1,213,162 -294,994 $35,182
     AR1,213,162-294,994$35,182
LOWES COS INC 136,847 +88,720 $34,859
     LOW136,847+88,720$34,859
LAM RESEARCH CORP 35,175 -67,828 $34,175
     LRCX35,175-67,828$34,175
T MOBILE US INC      $33,826
     TMUS327,242-233,372$53,412
     Put220,000-412,000$35,908
     Call100,000-62,000$16,322
TENET HEALTHCARE CORP 319,795 +72,146 $33,614
     THC319,795+72,146$33,614
WARNER MUSIC GROUP CORP 1,013,025 +832,990 $33,450
     WMG1,013,025+832,990$33,450
ZOOM VIDEO COMMUNICATIONS IN 508,308 +499,288 $33,228
     ZM508,308+499,288$33,228
F5 INC 173,912 +47,007 $32,972
     FFIV173,912+47,007$32,972
INCYTE CORP 578,421 -56,202 $32,953
     INCY578,421-56,202$32,953
INSMED INC 1,211,560 +927,040 $32,870
     INSM1,211,560+927,040$32,870
MASCO CORP 415,406 +376,506 $32,767
     MAS415,406+376,506$32,767
FISERV INC 204,847 -242,959 $32,739
     FI204,847-242,959$32,739
Q2 HLDGS INC 622,640 +16,472 $32,726
     QTWO622,640+16,472$32,726
FRONTDOOR INC 991,370 +752,942 $32,299
     FTDR991,370+752,942$32,299
CENTENE CORP DEL      $32,224
     CNC403,005+53,449$31,628
     Call7,600-4,200$596
EXXON MOBIL CORP 271,828 -360,024 $31,597
     XOM271,828-360,024$31,597
SEADRILL 2021 LTD 623,974 +246,844 $31,386
     SDRL623,974+246,844$31,386
XYLEM INC 241,659 +33,825 $31,232
     XYL241,659+33,825$31,232
HERSHEY CO 159,286 +56,264 $30,981
     HSY159,286+56,264$30,981
WABTEC 211,052 -196,059 $30,746
     WAB211,052-196,059$30,746
HILTON WORLDWIDE HLDGS INC 143,605 -19,908 $30,632
     HLT143,605-19,908$30,632
HUBBELL INC 73,450 -15,207 $30,485
     HUBB73,450-15,207$30,485
CIENA CORP 611,464 +73,505 $30,237
     CIEN611,464+73,505$30,237
EXELON CORP 803,863 +564,506 $30,201
     EXC803,863+564,506$30,201
MICROCHIP TECHNOLOGY INC. 335,772 -380,103 $30,122
     MCHP335,772-380,103$30,122
TAKE TWO INTERACTIVE SOFTWAR 199,961 +84,262 $29,692
     TTWO199,961+84,262$29,692
THERMO FISHER SCIENTIFIC INC      $29,545
     TMO49,634-55,075$28,848
     Call1,200UNCH$697
FEDERATED HERMES INC 817,234 +817,234 $29,518
     FHI817,234+817,234$29,518
DOCUSIGN INC 495,126 +448,253 $29,485
     DOCU495,126+448,253$29,485
BLOCK INC 347,709 +204,101 $29,409
     SQ347,709+204,101$29,409
FASTENAL CO 373,981 +295,951 $28,849
     FAST373,981+295,951$28,849
PTC INC 152,677 +70,416 $28,847
     PTC152,677+70,416$28,847
TRUIST FINL CORP 733,606 +41,001 $28,596
     TFC733,606+41,001$28,596
NU HLDGS LTD 2,374,337 +2,374,337 $28,326
     NU2,374,337+2,374,337$28,326
ONEOK INC NEW 350,039 -83,593 $28,063
     OKE350,039-83,593$28,063
STERLING INFRASTRUCTURE INC 254,072 -29,088 $28,027
     STRL254,072-29,088$28,027
OPTION CARE HEALTH INC 828,970 +7,043 $27,804
     OPCH828,970+7,043$27,804
ORACLE CORP 220,900 +68,333 $27,747
     ORCL220,900+68,333$27,747
ALLY FINL INC 678,579 -341,413 $27,544
     ALLY678,579-341,413$27,544
FEDERAL SIGNAL CORP 322,088 +291,309 $27,336
     FSS322,088+291,309$27,336
ZOOMINFO TECHNOLOGIES INC 1,696,019 +949,072 $27,187
     ZI1,696,019+949,072$27,187
DEVON ENERGY CORP NEW 537,130 +522,513 $26,953
     DVN537,130+522,513$26,953
ASSURANT INC 140,736 -38,927 $26,492
     AIZ140,736-38,927$26,492
COLGATE PALMOLIVE CO 293,968 -1,142,086 $26,472
     CL293,968-1,142,086$26,472
GENERAL MTRS CO 579,574 +90,826 $26,284
     GM579,574+90,826$26,284
MURPHY OIL CORP 573,470 +3,938 $26,208
     MUR573,470+3,938$26,208
INTUIT 40,148 +21,719 $26,096
     INTU40,148+21,719$26,096
BRADY CORP 438,862 -386,701 $26,016
     BRC438,862-386,701$26,016
LYONDELLBASELL INDUSTRIES N 254,259 -121,174 $26,006
     LYB254,259-121,174$26,006
GIBRALTAR INDS INC 314,911 +151,298 $25,360
     ROCK314,911+151,298$25,360
CAESARS ENTERTAINMENT INC NE 569,121 +313,196 $24,893
     CZR569,121+313,196$24,893
KURA ONCOLOGY INC 1,153,845 UNCH $24,612
     KURA1,153,845UNCH$24,612
CMS ENERGY CORP 406,786 -110,320 $24,545
     CMS406,786-110,320$24,545
INTERNATIONAL BUSINESS MACHS 128,494 -50,720 $24,537
     IBM128,494-50,720$24,537
AGILYSYS INC 286,595 +68,177 $24,148
     AGYS286,595+68,177$24,148
PACKAGING CORP AMER 126,204 +126,204 $23,951
     PKG126,204+126,204$23,951
GRACO INC 252,941 +26,071 $23,640
     GGG252,941+26,071$23,640
ITRON INC 248,992 +60,635 $23,037
     ITRI248,992+60,635$23,037
ATI INC 449,330 +94,128 $22,992
     ATI449,330+94,128$22,992
OSCAR HEALTH INC 1,539,037 +806,752 $22,885
     OSCR1,539,037+806,752$22,885
IQVIA HLDGS INC      $22,787
     IQV87,406+18,182$22,104
     Call2,700UNCH$683
XCEL ENERGY INC 420,735 +405,255 $22,615
     XEL420,735+405,255$22,615
APTARGROUP INC 156,472 +123,161 $22,515
     ATR156,472+123,161$22,515
NICE LTD 85,551 +85,551 $22,296
     NICE85,551+85,551$22,296
INSULET CORP 129,292 +49,917 $22,161
     PODD129,292+49,917$22,161
NORFOLK SOUTHN CORP 86,678 -30,274 $22,092
     NSC86,678-30,274$22,092
ADMA BIOLOGICS INC 3,346,467 -598,758 $22,087
     ADMA3,346,467-598,758$22,087
TARGET CORP 123,771 -101,831 $21,933
     TGT123,771-101,831$21,933
CONAGRA BRANDS INC 730,600 -285,649 $21,655
     CAG730,600-285,649$21,655
SPX TECHNOLOGIES INC 175,316 +119,990 $21,587
     SPXC175,316+119,990$21,587
CORVEL CORP 81,721 -6,810 $21,489
     CRVL81,721-6,810$21,489
LINCOLN NATL CORP IND 672,244 -45,225 $21,465
     LNC672,244-45,225$21,465
AXON ENTERPRISE INC 68,567 +50,286 $21,453
     AXON68,567+50,286$21,453
ROBLOX CORP 557,985 +557,985 $21,304
     RBLX557,985+557,985$21,304
GRAND CANYON ED INC 154,858 -18,785 $21,093
     LOPE154,858-18,785$21,093
BEACON ROOFING SUPPLY INC 212,532 +183,708 $20,832
     BECN212,532+183,708$20,832
UNITED RENTALS INC 28,869 +26,603 $20,818
     URI28,869+26,603$20,818
VISA INC 74,387 -23,368 $20,760
     V74,387-23,368$20,760
MOSAIC CO NEW 639,033 +490,837 $20,743
     MOS639,033+490,837$20,743
HEWLETT PACKARD ENTERPRISE C 1,169,046 +604,658 $20,727
     HPE1,169,046+604,658$20,727
DORMAN PRODS INC 213,459 -5 $20,575
     DORM213,459-5$20,575
CME GROUP INC 95,197 +85,870 $20,495
     CME95,197+85,870$20,495
AMBARELLA INC 402,507 -690 $20,435
     AMBA402,507-690$20,435
CVS HEALTH CORP 255,215 -2,001,885 $20,356
     CVS255,215-1,911,885$20,356
PUBLIC SVC ENTERPRISE GRP IN 303,969 +63,378 $20,299
     PEG303,969+63,378$20,299
KEYSIGHT TECHNOLOGIES INC 129,518 -63,919 $20,254
     KEYS129,518-63,919$20,254
YELP INC 512,586 +49,081 $20,196
     YELP512,586+49,081$20,196
MANHATTAN ASSOCIATES INC 80,561 +71,179 $20,159
     MANH80,561+71,179$20,159
CALIX INC 607,001 +386,318 $20,128
     CALX607,001+386,318$20,128
GRAINGER W W INC 19,731 +17,430 $20,072
     GWW19,731+17,430$20,072
VEECO INSTRS INC DEL 566,532 -9,784 $19,925
     VECO566,532-9,784$19,925
TERADYNE INC 176,399 -298,577 $19,903
     TER176,399-298,577$19,903
VEEVA SYS INC 85,703 +11,983 $19,857
     VEEV85,703+11,983$19,857
HP INC 656,446 +624,651 $19,838
     HPQ656,446+624,651$19,838
BALCHEM CORP 127,594 +127,594 $19,771
     BCPC127,594+127,594$19,771
PACCAR INC 159,366 -843 $19,744
     PCAR159,366-843$19,744
OKTA INC 187,383 +11,312 $19,604
     OKTA187,383+11,312$19,604
AFFILIATED MANAGERS GROUP IN 115,433 -32,810 $19,332
     AMG115,433-32,810$19,332
SKYWORKS SOLUTIONS INC 175,731 -166,320 $19,035
     SWKS175,731-166,320$19,035
STONEX GROUP INC 270,813 +50,088 $19,027
     SNEX270,813+50,088$19,027
WEST PHARMACEUTICAL SVSC INC 47,571 -78,769 $18,824
     WST47,571-78,769$18,824
VIAVI SOLUTIONS INC 2,070,353 +1,025,987 $18,820
     VIAV2,070,353+1,025,987$18,820
FATE THERAPEUTICS INC 2,548,304 +2,385,207 $18,705
     FATE2,548,304+2,385,207$18,705
SNAP INC 1,622,789 +257,420 $18,630
     SNAP1,622,789+257,420$18,630
UNITED THERAPEUTICS CORP DEL 80,907 +2,905 $18,586
     UTHR80,907+2,905$18,586
PHILLIPS 66 113,233 -151,311 $18,495
     PSX113,233-151,311$18,495
ROSS STORES INC 125,617 -150,104 $18,436
     ROST125,617-150,104$18,436
DOORDASH INC 132,697 -980,478 $18,275
     DASH132,697-980,478$18,275
UFP INDUSTRIES INC 148,322 +148,322 $18,245
     UFPI148,322+148,322$18,245
AUTOHOME INC 693,440 +693,440 $18,182
     ATHM693,440+693,440$18,182
ULTA BEAUTY INC 34,452 -105,031 $18,014
     ULTA34,452-105,031$18,014
HEALTHCARE SVCS GROUP INC 1,429,456 -131,827 $17,840
     HCSG1,429,456-131,827$17,840
ASTRAZENECA PLC 258,304 +258,304 $17,500
     AZN258,304+258,304$17,500
TRI POINTE HOMES INC 451,148 +153,109 $17,441
     TPH451,148+153,109$17,441
LULULEMON ATHLETICA INC 44,522 -48,760 $17,393
     LULU44,522-48,760$17,393
CAPITAL ONE FINL CORP 116,565 -86,316 $17,355
     COF116,565-86,316$17,355
LENNAR CORP 100,817 -561,460 $17,339
     LEN100,817-561,460$17,339
DONALDSON INC 229,338 -48,450 $17,127
     DCI229,338-48,450$17,127
CRYOPORT INC 966,629 -426,527 $17,109
     CYRX966,629-426,527$17,109
PENTAIR PLC 199,482 -173,600 $17,044
     PNR199,482-173,600$17,044
MONDAY COM LTD 74,681 +74,681 $16,868
     MNDY74,681+74,681$16,868
AKAMAI TECHNOLOGIES INC 153,400 +11,843 $16,684
     AKAM153,400+11,843$16,684
HAWAIIAN ELEC INDUSTRIES 1,475,102 +135,102 $16,624
     HE1,475,102+135,102$16,624
BLUEPRINT MEDICINES CORP 175,109 -94,549 $16,611
     BPMC175,109-94,549$16,611
HF SINCLAIR CORP 275,076 +240,543 $16,606
     DINO275,076+240,543$16,606
AMETEK INC 90,455 -60,406 $16,544
     AME90,455-60,406$16,544
DOMINION ENERGY INC 334,417 -58,151 $16,450
     D334,417-58,151$16,450
SOUTHWESTERN ENERGY CO 2,164,454 +2,164,454 $16,407
     SWN2,164,454+2,164,454$16,407
BANKUNITED INC 584,573 +472,694 $16,368
     BKU584,573+472,694$16,368
BROWN & BROWN INC 186,243 -15,077 $16,304
     BRO186,243-15,077$16,304
ALCOA CORP 482,457 -407,780 $16,302
     AA482,457-407,780$16,302
TELEDYNE TECHNOLOGIES INC 37,320 +3,060 $16,022
     TDY37,320+3,060$16,022
ALLISON TRANSMISSION HLDGS I 196,479 +68,739 $15,946
     ALSN196,479+68,739$15,946
WIX COM LTD 115,831 +72,655 $15,924
     WIX115,831+72,655$15,924
CONSTELLATION ENERGY CORP 86,018 +79,761 $15,900
     CEG86,018+79,761$15,900
INTERNATIONAL PAPER CO 398,304 +190,975 $15,542
     IP398,304+190,975$15,542
PRINCIPAL FINANCIAL GROUP IN 178,695 -71,907 $15,423
     PFG178,695-71,907$15,423
BATH & BODY WORKS INC 307,845 -88,097 $15,398
     BBWI307,845-88,097$15,398
ALASKA AIR GROUP INC 353,897 +342,922 $15,214
     ALK353,897+342,922$15,214
LIBERTY BROADBAND CORP 265,326 -1,069,173 $15,185
     LBRDK265,326-1,069,173$15,185
GENERAL MLS INC 216,764 +123,293 $15,167
     GIS216,764+123,293$15,167
ELANCO ANIMAL HEALTH INC 921,808 -591,054 $15,007
     ELAN921,808-591,054$15,007
PPG INDS INC 103,570 -620,120 $15,007
     PPG103,570-620,120$15,007
CIRRUS LOGIC INC 160,481 +5,957 $14,854
     CRUS160,481+5,957$14,854
TEVA PHARMACEUTICAL INDS LTD 1,050,699 +471,137 $14,825
     TEVA1,050,699+471,137$14,825
SOUTHERN CO 205,641 +178,724 $14,753
     SO205,641+178,724$14,753
MINERALS TECHNOLOGIES INC 195,608 +67,379 $14,725
     MTX195,608+67,379$14,725
ENOVA INTL INC 234,070 +18,217 $14,707
     ENVA234,070+18,217$14,707
TIDEWATER INC NEW 157,946 +92,659 $14,531
     TDW157,946+92,659$14,531
HELIX ENERGY SOLUTIONS GRP I 1,329,823 UNCH $14,415
     HLX1,329,823UNCH$14,415
DIAMOND OFFSHORE DRILLING IN 1,043,907 +830,156 $14,239
     DO1,043,907+830,156$14,239
MARATHON OIL CORP 501,865 -1,867,793 $14,223
     MRO501,865-1,867,793$14,223
CORTEVA INC 246,558 -1,289,150 $14,219
     CTVA246,558-1,289,150$14,219
REINSURANCE GRP OF AMERICA I 73,719 -68,603 $14,219
     RGA73,719-68,603$14,219
MARKEL GROUP INC 9,326 +1,148 $14,189
     MKL9,326+1,148$14,189
COGNIZANT TECHNOLOGY SOLUTIO 188,811 -562,538 $13,838
     CTSH188,811-562,538$13,838
BIO RAD LABS INC 39,875 +27,270 $13,792
     BIO39,875+27,270$13,792
4D MOLECULAR THERAPEUTICS IN 430,556 +430,556 $13,718
     FDMT430,556+430,556$13,718
EXPEDITORS INTL WASH INC 112,487 +69,450 $13,675
     EXPD112,487+69,450$13,675
CENCORA INC 55,960 +55,960 $13,598
     COR55,960+55,960$13,598
ATRICURE INC 444,801 +185,632 $13,531
     ATRC444,801+185,632$13,531
AZEK CO INC 269,219 +257,868 $13,520
     AZEK269,219+257,868$13,520
VALE S A 1,106,895 +1,006,077 $13,493
     VALE1,106,895+1,006,077$13,493
US FOODS HLDG CORP 249,831 +95,943 $13,483
     USFD249,831+95,943$13,483
ARES MANAGEMENT CORPORATION 100,621 +100,621 $13,381
     ARES100,621+100,621$13,381
DOVER CORP 75,230 +54,974 $13,330
     DOV75,230+54,974$13,330
AGIOS PHARMACEUTICALS INC 454,801 +404,297 $13,298
     AGIO454,801+404,297$13,298
PLAYA HOTELS & RESORTS NV 1,369,280 -15,252 $13,282
     PLYA1,369,280-15,252$13,282
MARKETAXESS HLDGS INC 60,426 +22,442 $13,248
     MKTX60,426+22,442$13,248
DELTA AIR LINES INC DEL 276,608 -173,071 $13,241
     DAL276,608-173,071$13,241
JOHNSON & JOHNSON 82,227 +1,066 $13,007
     JNJ82,227+1,066$13,007
PACIFIC PREMIER BANCORP 540,267 +55,357 $12,966
     PPBI540,267+55,357$12,966
EQUITABLE HLDGS INC 340,767 +146,196 $12,953
     EQH340,767+146,196$12,953
MARATHON PETE CORP 63,382 -821,191 $12,771
     MPC63,382-821,191$12,771
DECIPHERA PHARMACEUTICALS IN 809,923 UNCH $12,740
     DCPH809,923UNCH$12,740
RESIDEO TECHNOLOGIES INC 566,273 +87,373 $12,696
     REZI566,273+87,373$12,696
NOVA LTD 69,690 -19,635 $12,387
     NVMI69,690-19,635$12,387
RHYTHM PHARMACEUTICALS INC 285,651 -15,985 $12,377
     RYTM285,651-15,985$12,377
ILLUMINA INC 90,070 -90,039 $12,368
     ILMN90,070-90,039$12,368
FIRST SOLAR INC 73,241 -326,409 $12,363
     FSLR73,241-326,409$12,363
EATON CORP PLC 39,520 +20,269 $12,357
     ETN39,520+20,269$12,357
INNOVIVA INC 810,208 UNCH $12,348
     INVA810,208UNCH$12,348
BEAZER HOMES USA INC 374,833 -163,509 $12,295
     BZH374,833-163,509$12,295
DUCKHORN PORTFOLIO INC 1,299,972 +378,902 $12,103
     NAPA1,299,972+378,902$12,103
WORLD KINECT CORPORATION 453,765 -116,494 $12,002
     WKC453,765-116,494$12,002
YUM BRANDS INC 86,540 -89,361 $11,999
     YUM86,540-89,361$11,999
HDFC BANK LTD 212,883 -105,954 $11,915
     HDB212,883-105,954$11,915
ALTICE USA INC 4,528,572 +643,731 $11,820
     ATUS4,528,572+643,731$11,820
IONIS PHARMACEUTICALS INC 271,263 +86,862 $11,759
     IONS271,263+86,862$11,759
DR REDDYS LABS LTD 160,252 -35,894 $11,754
     RDY160,252-35,894$11,754
GROUP 1 AUTOMOTIVE INC 40,140 -19,283 $11,730
     GPI40,140-19,283$11,730
MASTEC INC 125,443 -15,293 $11,698
     MTZ125,443-15,293$11,698
HOWMET AEROSPACE INC 170,659 -389,199 $11,678
     HWM170,659-389,199$11,678
BLACK HILLS CORP 212,748 -43,779 $11,616
     BKH212,748-43,779$11,616
AMPHENOL CORP NEW 100,630 +65,060 $11,608
     APH100,630+65,060$11,608
VERITEX HLDGS INC 566,284 +513,284 $11,603
     VBTX566,284+513,284$11,603
ADDUS HOMECARE CORP 112,256 +49,483 $11,601
     ADUS112,256+49,483$11,601
ALLETE INC 193,820 -310,542 $11,559
     ALE193,820-310,542$11,559
STIFEL FINL CORP 147,586 +108,147 $11,537
     SF147,586+108,147$11,537
AMN HEALTHCARE SVCS INC 184,341 +112,745 $11,523
     AMN184,341+112,745$11,523
EZCORP INC 1,011,204 +327,912 $11,457
     EZPW1,011,204+327,912$11,457
GENWORTH FINL INC 1,776,725 -29,625 $11,424
     GNW1,776,725-29,625$11,424
VISTA OUTDOOR INC 348,296 -122,988 $11,417
     VSTO348,296-122,988$11,417
SIMPLY GOOD FOODS CO 333,760 +238,064 $11,358
     SMPL333,760+238,064$11,358
OSI SYSTEMS INC 78,635 +17,063 $11,231
     OSIS78,635+17,063$11,231
URBAN OUTFITTERS INC 254,283 +176,876 $11,041
     URBN254,283+176,876$11,041
KEYCORP 698,109 -2,564,236 $11,037
     KEY698,109-2,564,236$11,037
EVERI HLDGS INC 1,094,062 +387,118 $10,995
     EVRI1,094,062+387,118$10,995
SUPER MICRO COMPUTER INC 10,804 -13,580 $10,912
     SMCI10,804-13,580$10,912
OMNICELL COM 371,835 +8,096 $10,869
     OMCL371,835+8,096$10,869
ROIVANT SCIENCES LTD 1,018,899 -44,493 $10,739
     ROIV1,018,899-44,493$10,739
CNO FINL GROUP INC 389,767 -197,802 $10,711
     CNO389,767-197,802$10,711
RPM INTL INC 89,953 +52,016 $10,700
     RPM89,953+52,016$10,700
WAYFAIR INC 157,108 +157,108 $10,664
     W157,108+157,108$10,664
SMITH A O CORP 118,823 +118,823 $10,630
     AOS118,823+118,823$10,630
NETSCOUT SYS INC 485,190 -137,737 $10,597
     NTCT485,190-137,737$10,597
CNH INDL N V 807,601 +505,849 $10,467
     CNHI807,601+555,849$10,467
INTERNATIONAL MNY EXPRESS IN 458,413 +24,356 $10,466
     IMXI458,413+24,356$10,466
COPART INC 179,583 -1,043,916 $10,401
     CPRT179,583-1,043,916$10,401
MARVELL TECHNOLOGY INC 146,286 +116,830 $10,369
     MRVL146,286+116,830$10,369
CHARLES RIV LABS INTL INC 38,256 +12,769 $10,365
     CRL38,256+12,769$10,365
PINTEREST INC 298,457 -27,741 $10,348
     PINS298,457-27,741$10,348
AES CORP 575,395 +558,465 $10,317
     AES575,395+558,465$10,317
COSTAR GROUP INC 106,057 -63,297 $10,245
     CSGP106,057-63,297$10,245
ENANTA PHARMACEUTICALS INC 583,658 UNCH $10,191
     ENTA583,658UNCH$10,191
CORBUS PHARMACEUTICALS HLDGS 259,456 +259,456 $10,181
     CRBP259,456+259,456$10,181
UMB FINL CORP 116,992 -16,875 $10,177
     UMBF116,992-16,875$10,177
AFLAC INC 118,162 +23,513 $10,145
     AFL118,162+23,513$10,145
WEBSTER FINL CORP 199,527 +199,527 $10,130
     WBS199,527+199,527$10,130
STONECO LTD 607,117 +450,500 $10,084
     STNE607,117+450,500$10,084
MRC GLOBAL INC 795,818 -10,328 $10,003
     MRC795,818-10,328$10,003
LOEWS CORP 127,465 -105,709 $9,979
     L127,465-105,709$9,979
BROADRIDGE FINL SOLUTIONS IN 48,130 -45,233 $9,860
     BR48,130-45,233$9,860
MGM RESORTS INTERNATIONAL 208,804 +121,641 $9,858
     MGM208,804+121,641$9,858
ARROWHEAD PHARMACEUTICALS IN 344,467 +306,059 $9,852
     ARWR344,467+306,059$9,852
OSHKOSH CORP 78,789 -178,353 $9,826
     OSK78,789-178,353$9,826
ASBURY AUTOMOTIVE GROUP INC 41,661 +41,661 $9,823
     ABG41,661+41,661$9,823
APOGEE ENTERPRISES INC 165,192 -83,985 $9,779
     APOG165,192-83,985$9,779
CARPENTER TECHNOLOGY CORP 136,776 +83,703 $9,769
     CRS136,776+83,703$9,769
AVERY DENNISON CORP 43,706 +32,993 $9,757
     AVY43,706+32,993$9,757
ENLIGHT RENEWABLE ENERGY LTD 580,673 +426,881 $9,752
     ENLT580,673+426,881$9,752
VIATRIS INC 810,681 -1,487,479 $9,680
     VTRS810,681-1,487,479$9,680
IES HLDGS INC 79,388 +59,643 $9,657
     IESC79,388+59,643$9,657
UNIFIRST CORP MASS 55,320 +51,979 $9,594
     UNF55,320+51,979$9,594
EMPLOYERS HLDGS INC 211,084 +131,910 $9,581
     EIG211,084+131,910$9,581
JONES LANG LASALLE INC 49,020 +21,761 $9,563
     JLL49,020+21,761$9,563
GRAB HOLDINGS LIMITED 3,006,302 +2,870,238 $9,440
     GRAB3,006,302+2,870,238$9,440
CAVCO INDS INC DEL 23,594 +22,603 $9,415
     CVCO23,594+22,603$9,415
GREIF INC 136,325 +91,461 $9,413
     GEF136,325+91,461$9,413
SELECT MED HLDGS CORP 309,273 +253,134 $9,325
     SEM309,273+253,134$9,325
TARGA RES CORP 83,182 +73,928 $9,316
     TRGP83,182+73,928$9,316
BIOGEN INC 42,839 -377 $9,237
     BIIB42,839-377$9,237
D R HORTON INC 56,075 -401,358 $9,227
     DHI56,075-401,358$9,227
GMS INC 94,442 -46,893 $9,193
     GMS94,442-46,893$9,193
DARLING INGREDIENTS INC      $9,191
     DAR183,506-34,517$8,535
     Call14,100UNCH$656
REGIONS FINANCIAL CORP NEW 430,860 -510,565 $9,065
     RF430,860-510,565$9,065
KIRBY CORP 94,957 +1,656 $9,051
     KEX94,957+1,656$9,051
HORACE MANN EDUCATORS CORP N 244,236 +237,255 $9,034
     HMN244,236+237,255$9,034
NATERA INC 98,733 -324,347 $9,030
     NTRA98,733-324,347$9,030
PRICESMART INC 107,490 -29,698 $9,029
     PSMT107,490-29,698$9,029
ALNYLAM PHARMACEUTICALS INC 60,342 +46,176 $9,018
     ALNY60,342+46,176$9,018
PTC THERAPEUTICS INC 306,231 +63,570 $8,908
     PTCT306,231+63,570$8,908
VERIZON COMMUNICATIONS INC 210,908 -469,868 $8,850
     VZ210,908-469,868$8,850
SUNCOKE ENERGY INC 783,778 +259,152 $8,833
     SXC783,778+259,152$8,833
THE TRADE DESK INC 100,381 +826 $8,775
     TTD100,381+826$8,775
APPLIED OPTOELECTRONICS INC 631,799 +567,056 $8,757
     AAOI631,799+567,056$8,757
A10 NETWORKS INC 638,894 +261,198 $8,746
     ATEN638,894+261,198$8,746
HOVNANIAN ENTERPRISES INC 55,595 -10,587 $8,725
     HOV55,595-10,587$8,725
COMERICA INC 158,390 +158,390 $8,710
     CMA158,390+158,390$8,710
SELECTIVE INS GROUP INC 79,728 -4,317 $8,704
     SIGI79,728-4,317$8,704
SKECHERS U S A INC 141,690 +113,705 $8,680
     SKX141,690+113,705$8,680
POPULAR INC 98,176 +98,176 $8,648
     BPOP98,176+98,176$8,648
HEIDRICK & STRUGGLES INTL IN 256,549 +7,626 $8,635
     HSII256,549+7,626$8,635
GREEN DOT CORP 923,176 +97,040 $8,613
     GDOT923,176+97,040$8,613
TRIMBLE INC 131,230 -254,987 $8,446
     TRMB131,230-254,987$8,446
RTX CORPORATION 86,213 -271,026 $8,408
     RTX86,213-271,026$8,408
HCI GROUP INC 72,022 +55,817 $8,360
     HCI72,022+55,817$8,360
KBR INC 130,908 +130,908 $8,334
     KBR130,908+130,908$8,334
CISCO SYS INC 166,096 +4,494 $8,290
     CSCO166,096+4,494$8,290
DYNATRACE INC 177,222 -178,790 $8,230
     DT177,222-178,790$8,230
ZILLOW GROUP INC 171,881 +121,942 $8,226
     ZG171,881+121,942$8,226
FRANKLIN ELEC INC 76,473 -44,392 $8,168
     FELE76,473-44,392$8,168
ACCENTURE PLC IRELAND 23,551 -13,896 $8,163
     ACN23,551-13,896$8,163
ENPHASE ENERGY INC 67,390 -156,046 $8,153
     ENPH67,390-156,046$8,153
API GROUP CORP 207,153 +207,153 $8,135
     APG207,153+207,153$8,135
HOPE BANCORP INC 701,414 -72,205 $8,073
     HOPE701,414-72,205$8,073
XENON PHARMACEUTICALS INC 186,606 +86,875 $8,033
     XENE186,606+86,875$8,033
TANDEM DIABETES CARE INC 226,427 +226,427 $8,018
     TNDM226,427+226,427$8,018
MONGODB INC 22,307 -6,908 $8,000
     MDB22,307-6,908$8,000
PNC FINL SVCS GROUP INC 49,096 -171,991 $7,934
     PNC49,096-171,991$7,934
HILLTOP HOLDINGS INC 252,476 +185,789 $7,908
     HTH252,476+185,789$7,908
STAAR SURGICAL CO 204,613 +204,613 $7,833
     STAA204,613+204,613$7,833
INNOSPEC INC 60,528 +40,250 $7,804
     IOSP60,528+40,250$7,804
SCANSOURCE INC 177,210 -47,394 $7,804
     SCSC177,210-47,394$7,804
HYATT HOTELS CORP 48,878 +44,622 $7,802
     H48,878+44,622$7,802
ALARM COM HLDGS INC 107,376 -57,655 $7,782
     ALRM107,376-57,655$7,782
MAXIMUS INC 92,653 +92,653 $7,774
     MMS92,653+92,653$7,774
AMER STATES WTR CO 107,424 -13,321 $7,760
     AWR107,424-13,321$7,760
CLEARWATER PAPER CORP 177,048 +42,365 $7,742
     CLW177,048+42,365$7,742
CINCINNATI FINL CORP 61,993 +61,993 $7,698
     CINF61,993+61,993$7,698
SPIRIT AEROSYSTEMS HLDGS INC 211,438 +211,438 $7,627
     SPR211,438+211,438$7,627
CENTRAL PAC FINL CORP 383,846 -559 $7,581
     CPF383,846-559$7,581
OWENS CORNING NEW 45,440 +27,385 $7,579
     OC45,440+27,385$7,579
TEXAS ROADHOUSE INC 48,815 +48,815 $7,540
     TXRH48,815+48,815$7,540
IRIDIUM COMMUNICATIONS INC 284,308 +284,308 $7,437
     IRDM284,308+284,308$7,437
LAUDER ESTEE COS INC      $7,410
     EL43,874-97,192$6,763
     Call4,200-3,800$647
I3 VERTICALS INC 322,011 UNCH $7,371
     IIIV322,011UNCH$7,371
SJW GROUP 129,492 +22,149 $7,328
     SJW129,492+22,149$7,328
MANITOWOC CO INC 516,771 -3 $7,307
     MTW516,771-3$7,307
GOODRX HLDGS INC 1,024,625 -325,175 $7,275
     GDRX1,024,625-325,175$7,275
ALBANY INTL CORP 77,510 +56,179 $7,248
     AIN77,510+56,179$7,248
UNIVERSAL HLTH SVCS INC 39,539 -13,700 $7,214
     UHS39,539-13,700$7,214
DANAHER CORPORATION 28,661 -422 $7,157
     DHR28,661-422$7,157
PDF SOLUTIONS INC 211,030 -306,449 $7,105
     PDFS211,030-306,449$7,105
LAUREATE EDUCATION INC 487,604 +226,565 $7,104
     LAUR487,604+226,565$7,104
MYERS INDS INC 306,175 +26,504 $7,094
     MYE306,175+26,504$7,094
KAISER ALUMINUM CORP 79,358 +63,396 $7,091
     KALU79,358+63,396$7,091
ROKU INC 108,580 -162,308 $7,076
     ROKU108,580-162,308$7,076
HANMI FINL CORP 443,539 +266,949 $7,061
     HAFC443,539+266,949$7,061
DOUGLAS DYNAMICS INC 292,484 +292,484 $7,055
     PLOW292,484+292,484$7,055
HERC HLDGS INC 41,340 +41,340 $6,958
     HRI41,340+41,340$6,958
SOLARIS OILFIELD INFRASTRUCT 799,690 +608,676 $6,933
     SOI799,690+608,676$6,933
LIVERAMP HLDGS INC 200,315 -499,494 $6,911
     RAMP200,315-499,494$6,911
VIPER ENERGY INC 178,583 +178,583 $6,868
     VNOM178,583+178,583$6,868
FORESTAR GROUP INC 170,755 +7,779 $6,863
     FOR170,755+7,779$6,863
LENDINGTREE INC NEW 161,118 +12,816 $6,822
     TREE161,118+12,816$6,822
AMPHASTAR PHARMACEUTICALS IN 154,299 +154,299 $6,775
     AMPH154,299+154,299$6,775
AMKOR TECHNOLOGY INC 210,021 -14,540 $6,771
     AMKR210,021-14,540$6,771
COMCAST CORP NEW 154,579 +2,423 $6,701
     CMCSA154,579+2,423$6,701
ULTRAGENYX PHARMACEUTICAL IN 142,174 -367 $6,638
     RARE142,174-367$6,638
SYNDAX PHARMACEUTICALS INC 277,928 -134,037 $6,615
     SNDX277,928-134,037$6,615
ZIFF DAVIS INC 104,571 +58,400 $6,592
     ZD104,571+58,400$6,592
KKR & CO INC 65,498 +54,345 $6,588
     KKR65,498+54,345$6,588
GLOBAL E ONLINE LTD 180,603 UNCH $6,565
     GLBE180,603UNCH$6,565
NATIONAL BEVERAGE CORP 138,041 +38,642 $6,551
     FIZZ138,041+38,642$6,551
MANPOWERGROUP INC WIS 83,875 +83,875 $6,512
     MAN83,875+83,875$6,512
EQT CORP 175,028 +157,912 $6,488
     EQT175,028+157,912$6,488
MAXLINEAR INC 346,873 +29,102 $6,476
     MXL346,873+29,102$6,476
RINGCENTRAL INC 186,130 +38,665 $6,466
     RNG186,130+38,665$6,466
CINEMARK HLDGS INC 359,434 +71,376 $6,459
     CNK359,434+71,376$6,459
CARLYLE GROUP INC 137,311 +117,941 $6,441
     CG137,311+117,941$6,441
AVISTA CORP 183,803 -42,666 $6,437
     AVA183,803-42,666$6,437
FIRST CTZNS BANCSHARES INC N (FCNCA) 3,919 -11,879 $6,408
     FCNCA3,919-11,879$6,408
PHOTRONICS INC 224,645 -602,670 $6,362
     PLAB224,645-602,670$6,362
ROYAL BK CDA 62,922 -97,673 $6,352
     RY62,922-97,673$6,352
TRANE TECHNOLOGIES PLC 21,003 -70,080 $6,305
     TT21,003-70,080$6,305
WESTAMERICA BANCORPORATION 128,124 +37,972 $6,263
     WABC128,124+37,972$6,263
H & E EQUIPMENT SERVICES INC 97,506 -256,105 $6,258
     HEES97,506-256,105$6,258
EXPEDIA GROUP INC 45,417 -22,223 $6,256
     EXPE45,417-22,223$6,256
MICRON TECHNOLOGY INC 53,069 -2,680 $6,256
     MU53,069-2,680$6,256
ROLLINS INC 135,075 -12,047 $6,250
     ROL135,075-12,047$6,250
PENN ENTERTAINMENT INC 342,539 +135,697 $6,238
     PENN342,539+135,697$6,238
PENNYMAC FINL SVCS INC NEW 67,866 +67,866 $6,182
     PFSI67,866+67,866$6,182
ATLASSIAN CORPORATION 31,618 +17,681 $6,169
     TEAM31,618+17,681$6,169
MOLINA HEALTHCARE INC 14,939 -88,246 $6,137
     MOH14,939-88,246$6,137
DANA INC 481,063 +481,063 $6,110
     DAN481,063+481,063$6,110
U S SILICA HLDGS INC 492,180 -71,414 $6,108
     SLCA492,180-71,414$6,108
FARO TECHNOLOGIES INC 282,013 +99,990 $6,066
     FARO282,013+99,990$6,066
MODEL N INC 213,077 -82,647 $6,066
     MODN213,077-82,647$6,066
NATIONAL BK HLDGS CORP 167,618 +6,950 $6,046
     NBHC167,618+6,950$6,046
LINDE PLC 12,995 -146 $6,034
     LIN12,995-146$6,034
OVINTIV INC 115,270 +98,488 $5,983
     OVV115,270+98,488$5,983
VARONIS SYS INC 126,688 +20,936 $5,976
     VRNS126,688+20,936$5,976
MERCHANTS BANCORP IND 138,089 +11,212 $5,963
     MBIN138,089+11,212$5,963
MOLSON COORS BEVERAGE CO 88,641 -6,949 $5,961
     TAP88,641-6,949$5,961
HAWKINS INC 77,589 -33,654 $5,959
     HWKN77,589-33,654$5,959
MARTIN MARIETTA MATLS INC 9,589 -46,172 $5,887
     MLM9,589-46,172$5,887
KROGER CO 102,939 +75,543 $5,881
     KR102,939+75,543$5,881
COCA COLA CONS INC 6,926 -11,605 $5,862
     COKE6,926-11,605$5,862
BARRETT BUSINESS SVCS INC 45,879 +25,165 $5,814
     BBSI45,879+25,165$5,814
ANI PHARMACEUTICALS INC 83,944 +46,008 $5,803
     ANIP83,944+46,008$5,803
ANALOG DEVICES INC 29,201 -629,698 $5,776
     ADI29,201-629,698$5,776
WARNER BROS DISCOVERY INC 661,372 -144,225 $5,774
     WBD661,372-144,225$5,774
UBS GROUP AG 187,287 -4,109 $5,768
     UBS187,287-4,109$5,768
PACIRA BIOSCIENCES INC 196,295 -50,326 $5,736
     PCRX196,295-50,326$5,736
MUELLER WTR PRODS INC 351,199 +280,528 $5,651
     MWA351,199+280,528$5,651
HORMEL FOODS CORP 161,288 +129,837 $5,627
     HRL161,288+129,837$5,627
MSA SAFETY INC 29,051 -327 $5,624
     MSA29,051-327$5,624
MORGAN STANLEY 59,410 -158 $5,594
     MS59,410-158$5,594
WSFS FINL CORP 123,639 -81,386 $5,581
     WSFS123,639-81,386$5,581
HARTFORD FINL SVCS GROUP INC 53,848 +44,424 $5,549
     HIG53,848+44,424$5,549
KENVUE INC 257,729 -1,285,754 $5,531
     KVUE257,729-1,285,754$5,531
AMERICAN AIRLS GROUP INC 359,992 -1,402,089 $5,526
     AAL359,992-1,402,089$5,526
ALIGN TECHNOLOGY INC 16,730 +1,048 $5,486
     ALGN16,730+1,048$5,486
BRISTOL MYERS SQUIBB CO 100,822 +2,428 $5,468
     BMY100,822+2,428$5,468
AUTODESK INC 20,774 -2,849 $5,410
     ADSK20,774-2,849$5,410
STEWART INFORMATION SVCS COR 82,727 -54,208 $5,382
     STC82,727-54,208$5,382
AT&T INC 305,658 +69,819 $5,380
     T305,658+122,919$5,380
DAVITA INC 38,642 -69,982 $5,335
     DVA38,642-69,982$5,335
BILL HOLDINGS INC 77,584 +15,838 $5,332
     BILL77,584+15,838$5,332
M I HOMES INC 39,058 -28,186 $5,323
     MHO39,058-28,186$5,323
KOPPERS HOLDINGS INC 96,275 -10,144 $5,311
     KOP96,275-10,144$5,311
NORDSON CORP 19,271 +7,208 $5,291
     NDSN19,271+7,208$5,291
TORONTO DOMINION BK ONT 87,401 +3,699 $5,280
     TD87,401+3,699$5,280
MOHAWK INDS INC 40,128 -48,583 $5,252
     MHK40,128-48,583$5,252
GENERAL ELECTRIC CO 29,700 +1,550 $5,213
     GE29,700+1,550$5,213
BADGER METER INC 32,181 -28,819 $5,207
     BMI32,181-28,819$5,207
TITAN MACHY INC 208,125 -9,573 $5,164
     TITN208,125-9,573$5,164
WELLS FARGO CO NEW 88,754 +1,606 $5,144
     WFC88,754+1,606$5,144
CHUBB LIMITED 19,834 -1,616 $5,140
     CB19,834-1,616$5,140
HILTON GRAND VACATIONS INC 108,696 +70,649 $5,132
     HGV108,696+70,649$5,132
AMERIPRISE FINL INC 11,640 -49,339 $5,103
     AMP11,640-49,339$5,103
CODEXIS INC 1,456,739 UNCH $5,084
     CDXS1,456,739UNCH$5,084
ADVERUM BIOTECHNOLOGIES INC 358,719 +358,719 $5,072
     ADVM358,719+358,719$5,072
DNOW INC 332,765 -566,137 $5,058
     DNOW332,765-566,137$5,058
OLYMPIC STEEL INC 70,688 +9,336 $5,010
     ZEUS70,688+9,336$5,010
ANAPTYSBIO INC 221,838 UNCH $4,996
     ANAB221,838UNCH$4,996
MEDTRONIC PLC 57,116 -10,584 $4,978
     MDT57,116+916$4,978
GUIDEWIRE SOFTWARE INC 42,576 +35,361 $4,969
     GWRE42,576+35,361$4,969
MERCURY GENL CORP NEW 95,842 -5,743 $4,945
     MCY95,842-5,743$4,945
BANK OF NT BUTTERFIELD&SON L 152,896 +132,107 $4,891
     NTB152,896+132,107$4,891
BOSTON BEER INC 16,058 +10,794 $4,888
     SAM16,058+10,794$4,888
HUNT J B TRANS SVCS INC 24,376 +20,704 $4,857
     JBHT24,376+20,704$4,857
LARIMAR THERAPEUTICS INC 636,185 +636,185 $4,829
     LRMR636,185+636,185$4,829
CSW INDUSTRIALS INC 20,520 -96 $4,814
     CSWI20,520-96$4,814
NOMAD FOODS LTD 245,825 +126,838 $4,808
     NOMD245,825+126,838$4,808
HAIN CELESTIAL GROUP INC 610,760 +229,813 $4,801
     HAIN610,760+229,813$4,801
FEDEX CORP 16,556 -175,734 $4,797
     FDX16,556-175,734$4,797
REGENXBIO INC 227,611 +120,929 $4,796
     RGNX227,611+120,929$4,796
ANGIODYNAMICS INC 811,332 -242,690 $4,763
     ANGO811,332-242,690$4,763
FERRARI N V 10,681 -4,678 $4,658
     RACE10,681-4,678$4,658
PACTIV EVERGREEN INC 321,753 +321,753 $4,608
     PTVE321,753+321,753$4,608
SPECTRUM BRANDS HLDGS INC NE 51,745 -43,627 $4,606
     SPB51,745-43,627$4,606
DOW INC 79,124 -633,918 $4,584
     DOW79,124-633,918$4,584
COLUMBUS MCKINNON CORP N Y 102,455 -31,296 $4,573
     CMCO102,455-31,296$4,573
BARRICK GOLD CORP 274,027 +242,717 $4,560
     GOLD274,027+242,717$4,560
STANDARD MTR PRODS INC 135,806 +30,272 $4,556
     SMP135,806+30,272$4,556
ZEBRA TECHNOLOGIES CORPORATI 15,010 -49,192 $4,525
     ZBRA15,010-49,192$4,525
MADISON SQUARE GARDEN ENTMT 114,879 -167,280 $4,504
     MSGE114,879-167,280$4,504
WASTE MGMT INC DEL 20,862 -23,043 $4,447
     WM20,862-23,043$4,447
WHIRLPOOL CORP 37,164 +37,164 $4,446
     WHR37,164+37,164$4,446
HEARTLAND FINL USA INC 126,229 -82,891 $4,437
     HTLF126,229-82,891$4,437
ENNIS INC 215,219 +215,219 $4,414
     EBF215,219+215,219$4,414
BOYD GAMING CORP 65,481 +65,481 $4,408
     BYD65,481+65,481$4,408
MIDDLESEX WTR CO 83,516 +32,379 $4,385
     MSEX83,516+32,379$4,385
UNITIL CORP 83,353 +15,518 $4,364
     UTL83,353+15,518$4,364
CHECK POINT SOFTWARE TECH LT 26,605 -29,076 $4,363
     CHKP26,605-29,076$4,363
PULTE GROUP INC 36,169 +9,592 $4,363
     PHM36,169+9,592$4,363
PRAXIS PRECISION MEDICINES I 71,253 +71,253 $4,348
     PRAX71,253+71,253$4,348
PROS HOLDINGS INC 119,604 +50,753 $4,345
     PRO119,604+50,753$4,345
NXP SEMICONDUCTORS N V 17,325 -71,972 $4,293
     NXPI17,325-71,972$4,293
LIQUIDITY SVCS INC 226,703 -5,467 $4,217
     LQDT226,703-5,467$4,217
APA CORPORATION 122,598 -679,632 $4,215
     APA122,598-679,632$4,215
MYRIAD GENETICS INC 197,711 +65,031 $4,215
     MYGN197,711+65,031$4,215
LENDINGCLUB CORP 475,205 UNCH $4,177
     LC475,205UNCH$4,177
BROOKLINE BANCORP INC DEL 417,861 -10,089 $4,162
     BRKL417,861-10,089$4,162
G III APPAREL GROUP LTD 143,394 -48,364 $4,160
     GIII143,394-48,364$4,160
FERGUSON PLC NEW 18,994 -2,389 $4,149
     FERG18,994-2,389$4,149
BERRY GLOBAL GROUP INC 68,421 -14,834 $4,138
     BERY68,421-14,834$4,138
SNAP ON INC 13,960 -8,235 $4,135
     SNA13,960-8,235$4,135
TRIUMPH GROUP INC NEW 269,757 -76,648 $4,057
     TGI269,757-76,648$4,057
CHURCH & DWIGHT CO INC 38,837 -17,384 $4,051
     CHD38,837-17,384$4,051
STELLANTIS N.V 142,194 -6,858 $4,046
     STLA142,194-6,858$4,046
TRIPADVISOR INC 145,374 +5,326 $4,040
     TRIP145,374+5,326$4,040
COGENT BIOSCIENCES INC 600,764 UNCH $4,037
     COGT600,764UNCH$4,037
TITAN INTL INC ILL 323,905 +66,459 $4,036
     TWI323,905+66,459$4,036
HERITAGE FINL CORP WASH 205,854 +12,008 $3,992
     HFWA205,854+12,008$3,992
USANA HEALTH SCIENCES INC 82,199 +30,485 $3,987
     USNA82,199+30,485$3,987
DIGITAL RLTY TR INC 27,670 -725 $3,986
     DLR27,670-725$3,986
GREEN BRICK PARTNERS INC 65,321 +90 $3,934
     GRBK65,321+90$3,934
WATTS WATER TECHNOLOGIES INC 18,502 -17,177 $3,933
     WTS18,502-17,177$3,933
SUMMIT MATLS INC 88,168 +88,168 $3,930
     SUM88,168+88,168$3,930
NUCOR CORP 19,778 +55 $3,914
     NUE19,778+55$3,914
HURON CONSULTING GROUP INC 39,999 UNCH $3,865
     HURN39,999UNCH$3,865
ARMSTRONG WORLD INDS INC NEW 31,026 +28,434 $3,854
     AWI31,026+28,434$3,854
METALLUS INC 172,798 -4,885 $3,845
     TMST172,798-4,885$3,845
ICL GROUP LTD 723,239 +218,811 $3,838
     ICL723,239+218,811$3,838
HONEYWELL INTL INC 18,660 +110 $3,830
     HON18,660+110$3,830
CUSTOMERS BANCORP INC 72,135 -111,034 $3,827
     CUBI72,135-111,034$3,827
GENUINE PARTS CO 24,681 -35,732 $3,824
     GPC24,681-35,732$3,824
CELLDEX THERAPEUTICS INC NEW 90,931 +90,931 $3,816
     CLDX90,931+90,931$3,816
JELD WEN HLDG INC 179,056 -135,824 $3,801
     JELD179,056-135,824$3,801
CAREDX INC 356,573 -219,774 $3,776
     CDNA356,573-219,774$3,776
INSIGHT ENTERPRISES INC 20,266 -49,997 $3,760
     NSIT20,266-49,997$3,760
HCA HEALTHCARE INC 11,271 -79,280 $3,759
     HCA11,271-79,280$3,759
SELECT WATER SOLUTIONS INC 406,106 +283,269 $3,748
     WTTR406,106+283,269$3,748
PROGRESSIVE CORP 18,094 -540,408 $3,742
     PGR18,094-540,408$3,742
ACADEMY SPORTS & OUTDOORS IN 55,312 +55,312 $3,736
     ASO55,312+55,312$3,736
PATHWARD FINANCIAL INC 73,351 +51,304 $3,703
     CASH73,351+51,304$3,703
NEWPARK RES INC 512,348 -95,994 $3,699
     NR512,348-95,994$3,699
SUN CTRY AIRLS HLDGS INC 244,507 +134,924 $3,690
     SNCY244,507+134,924$3,690
CANADIAN IMPERIAL BK COMM TO 72,531 -1,669 $3,681
     CM72,531-1,669$3,681
RAMBUS INC DEL 59,297 -88,501 $3,665
     RMBS59,297-88,501$3,665
YPF SOCIEDAD ANONIMA 184,153 +184,153 $3,646
     YPF184,153+184,153$3,646
ADVANCE AUTO PARTS INC 42,839 -53,933 $3,645
     AAP42,839-53,933$3,645
BANK NEW YORK MELLON CORP 63,040 -2,202 $3,632
     BK63,040-2,202$3,632
CENTURY ALUM CO 235,578 +100,639 $3,626
     CENX235,578+100,639$3,626
SAFETY INS GROUP INC 44,094 -3,937 $3,624
     SAFT44,094-3,937$3,624
CARRIER GLOBAL CORPORATION 62,247 -3,789 $3,618
     CARR62,247-3,789$3,618
DIGI INTL INC 113,187 -41,322 $3,614
     DGII113,187-41,322$3,614
RUSH STREET INTERACTIVE INC 552,649 -881,124 $3,598
     RSI552,649-881,124$3,598
PHINIA INC 93,438 -134,774 $3,591
     PHIN93,438-134,774$3,591
PHILIP MORRIS INTL INC 39,001 -118,357 $3,573
     PM39,001-118,357$3,573
CLEANSPARK INC 168,313 +168,313 $3,570
     CLSK168,313+168,313$3,570
STONERIDGE INC 192,287 UNCH $3,546
     SRI192,287UNCH$3,546
SPARTANNASH CO 175,369 -270,909 $3,544
     SPTN175,369-270,909$3,544
HEICO CORP NEW      $3,540
     HEI17,192+17,192$3,284
     HEI.A1,660UNCH$256
ELECTRONIC ARTS INC 26,659 -300,433 $3,537
     EA26,659-300,433$3,537
TRUEBLUE INC 281,691 -24,002 $3,527
     TBI281,691-24,002$3,527
BLACKROCK INC 4,216 -24,835 $3,515
     BLK4,216-24,835$3,515
MIDDLEBY CORP 21,842 UNCH $3,512
     MIDD21,842UNCH$3,512
DEERE & CO 8,518 -140 $3,499
     DE8,518-140$3,499
COMMUNITY BK SYS INC 72,109 +29,325 $3,463
     CBU72,109+29,325$3,463
MADRIGAL PHARMACEUTICALS INC 12,958 -6,124 $3,460
     MDGL12,958-6,124$3,460
QUALYS INC 20,551 +18,830 $3,429
     QLYS20,551+18,830$3,429
BUNGE GLOBAL SA 33,095 +6,633 $3,393
     BG33,095+6,633$3,393
KEURIG DR PEPPER INC 110,439 +11,866 $3,387
     KDP110,439+11,866$3,387
EL POLLO LOCO HLDGS INC 347,574 -8,185 $3,385
     LOCO347,574-8,185$3,385
IMMUNOVANT INC 104,522 -16,746 $3,377
     IMVT104,522-16,746$3,377
DISCOVER FINL SVCS 25,707 -467,547 $3,370
     DFS25,707-467,547$3,370
HERITAGE INSURANCE HLDGS INC 314,856 +228,655 $3,353
     HRTG314,856+228,655$3,353
SPIRE INC 54,533 +20,363 $3,347
     SR54,533+20,363$3,347
FOMENTO ECONOMICO MEXICANO S 25,469 -59,074 $3,318
     FMX25,469-59,074$3,318
AMNEAL PHARMACEUTICALS INC 546,537 +399,492 $3,312
     AMRX546,537+399,492$3,312
FOX FACTORY HLDG CORP 63,292 +63,292 $3,296
     FOXF63,292+63,292$3,296
COEUR MNG INC 872,659 +625,490 $3,290
     CDE872,659+625,490$3,290
SUN LIFE FINANCIAL INC. 60,128 +1,841 $3,284
     SLF60,128+1,841$3,284
STEEL DYNAMICS INC 22,139 -13 $3,282
     STLD22,139-13$3,282
ANSYS INC 9,436 -13,933 $3,276
     ANSS9,436-13,933$3,276
KIMBALL ELECTRONICS INC 151,300 -4,358 $3,276
     KE151,300-4,358$3,276
LINDSAY CORP 27,708 -13,695 $3,260
     LNN27,708-13,695$3,260
BALL CORP 48,167 +35,982 $3,245
     BALL48,167+35,982$3,245
PROLOGIS INC. 24,920 +244 $3,245
     PLD24,920+244$3,245
UNISYS CORP 660,290 -109,022 $3,242
     UIS660,290-109,022$3,242
CITI TRENDS INC 118,772 +56,087 $3,222
     CTRN118,772+56,087$3,222
PROASSURANCE CORP 247,587 +74,755 $3,184
     PRA247,587+74,755$3,184
AMERICAN ELEC PWR CO INC 36,816 -319,891 $3,170
     AEP36,816-319,891$3,170
UFP TECHNOLOGIES INC 12,562 +7,766 $3,168
     UFPT12,562+7,766$3,168
STRYKER CORPORATION 8,839 +19 $3,163
     SYK8,839+19$3,163
MONDELEZ INTL INC      $3,159
     MDLZ36,725-313$2,571
     Call8,400-300$588
CLOROX CO DEL 20,572 +15,176 $3,150
     CLX20,572+15,176$3,150
OTIS WORLDWIDE CORP 31,392 -104,036 $3,116
     OTIS31,392-104,036$3,116
QUINSTREET INC 176,397 -2,134 $3,115
     QNST176,397-2,134$3,115
ZIMMER BIOMET HOLDINGS INC 23,471 -1,010 $3,098
     ZBH23,471-1,010$3,098
STURM RUGER & CO INC 67,104 +1,529 $3,097
     RGR67,104+1,529$3,097
FORTIVE CORP 35,805 -2,825 $3,080
     FTV35,805-2,825$3,080
ARCH CAP GROUP LTD 33,283 +117 $3,077
     ACGL33,283+117$3,077
ICU MED INC 28,517 +28,517 $3,060
     ICUI28,517+28,517$3,060
DXC TECHNOLOGY CO 143,516 -1,877,899 $3,044
     DXC143,516-1,845,399$3,044
WEYERHAEUSER CO MTN BE 84,424 -11,584 $3,032
     WY84,424-11,584$3,032
VANDA PHARMACEUTICALS INC 730,820 -856,897 $3,004
     VNDA730,820-856,897$3,004
RYERSON HLDG CORP 89,193 -155,123 $2,988
     RYI89,193-155,123$2,988
BOX INC 104,666 +11,743 $2,964
     BOX104,666+11,743$2,964
NETAPP INC 28,232 -671 $2,964
     NTAP28,232-671$2,964
IPG PHOTONICS CORP 32,674 -24,291 $2,963
     IPGP32,674-24,291$2,963
RIGEL PHARMACEUTICALS INC 1,991,398 UNCH $2,947
     RIGL1,991,398UNCH$2,947
PROGRESS SOFTWARE CORP 55,054 -77,773 $2,935
     PRGS55,054-77,773$2,935
SAGE THERAPEUTICS INC 156,593 +143,075 $2,935
     SAGE156,593+143,075$2,935
STERIS PLC 13,032 -611 $2,930
     STE13,032-611$2,930
AMERICAN WOODMARK CORPORATIO 28,727 -21,639 $2,920
     AMWD28,727-21,639$2,920
AMERICAN TOWER CORP NEW 14,600 +313 $2,885
     AMT14,600+313$2,885
ASTEC INDS INC 65,883 +43,211 $2,880
     ASTE65,883+43,211$2,880
EBAY INC. 54,543 -38,729 $2,879
     EBAY54,543-3,029$2,879
UNIVEST FINANCIAL CORPORATIO 137,910 -39,129 $2,871
     UVSP137,910-39,129$2,871
ARGENX SE 7,287 -121,192 $2,869
     ARGX7,287-121,192$2,869
PALO ALTO NETWORKS INC 10,085 -102,678 $2,865
     PANW10,085-102,678$2,865
KNOWLES CORP 177,621 -50,340 $2,860
     KN177,621-50,340$2,860
LABORATORY CORP AMER HLDGS 12,929 +842 $2,824
     LH12,929+842$2,824
SHOPIFY INC 36,390 +326 $2,824
     SHOP36,390+326$2,824
TYLER TECHNOLOGIES INC 6,607 -11,650 $2,808
     TYL6,607-11,650$2,808
MARSH & MCLENNAN COS INC 13,613 -519,057 $2,804
     MMC13,613-519,057$2,804
BOISE CASCADE CO DEL 18,123 -1,423 $2,780
     BCC18,123-1,423$2,780
ULTRA CLEAN HLDGS INC 60,468 -61,058 $2,778
     UCTT60,468-61,058$2,778
KOSMOS ENERGY LTD 463,133 +338,376 $2,760
     KOS463,133+338,376$2,760
ORGANOGENESIS HLDGS INC 971,674 UNCH $2,760
     ORGO971,674UNCH$2,760
COLLEGIUM PHARMACEUTICAL INC 70,851 -274,989 $2,750
     COLL70,851-274,989$2,750
GENESCO INC 97,055 -233 $2,731
     GCO97,055-233$2,731
COTY INC 228,103 +228,103 $2,728
     COTY228,103+228,103$2,728
FOSTER L B CO 99,862 +71,265 $2,727
     FSTR99,862+71,265$2,727
ADAPTIVE BIOTECHNOLOGIES COR 844,852 UNCH $2,712
     ADPT844,852UNCH$2,712
TOPBUILD CORP 6,153 -885 $2,712
     BLD6,153-885$2,712
DOLLAR GEN CORP NEW 17,344 -98,470 $2,707
     DG17,344-98,470$2,707
SCHLUMBERGER LTD 49,244 -264,274 $2,699
     SLB49,244-264,274$2,699
AMALGAMATED FINANCIAL CORP 112,433 -16,694 $2,698
     AMAL112,433-16,694$2,698
GOPRO INC 1,209,042 -30,304 $2,696
     GPRO1,209,042-30,304$2,696
ARRAY TECHNOLOGIES INC 180,320 +36,399 $2,689
     ARRY180,320+36,399$2,689
MERCANTILE BK CORP 69,641 -1,152 $2,680
     MBWM69,641-1,152$2,680
MERITAGE HOMES CORP 15,274 +549 $2,680
     MTH15,274+549$2,680
AXCELIS TECHNOLOGIES INC 23,946 UNCH $2,670
     ACLS23,946UNCH$2,670
TUTOR PERINI CORP 184,461 +133,534 $2,667
     TPC184,461+133,534$2,667
PREMIER FINANCIAL CORP 131,239 -29,521 $2,664
     PFC131,239-29,521$2,664
JUNIPER NETWORKS INC 71,807 -912,104 $2,661
     JNPR71,807-912,104$2,661
BYLINE BANCORP INC 122,259 -476 $2,655
     BY122,259-476$2,655
EQUINIX INC 3,205 +15 $2,645
     EQIX3,205+15$2,645
FIRST COMWLTH FINL CORP PA 189,922 +107,706 $2,644
     FCF189,922+107,706$2,644
OLD SECOND BANCORP INC ILL 190,265 +32,769 $2,633
     OSBC190,265+32,769$2,633
NETGEAR INC 166,497 -127,873 $2,626
     NTGR166,497-127,873$2,626
ALAMO GROUP INC 11,498 -29,456 $2,625
     ALG11,498-29,456$2,625
BLACKLINE INC 40,592 +40,592 $2,621
     BL40,592+40,592$2,621
LOUISIANA PAC CORP 31,129 -117,949 $2,612
     LPX31,129-117,949$2,612
CONDUENT INC 765,800 +310,299 $2,588
     CNDT765,800+310,299$2,588
FOX CORP 82,487 +6,517 $2,579
     FOXA82,487+6,517$2,579
GULFPORT ENERGY CORP 16,076 +10,941 $2,574
     GPOR16,076+10,941$2,574
DOMINOS PIZZA INC 5,158 +89 $2,563
     DPZ5,158+89$2,563
HANOVER INS GROUP INC 18,748 +18,748 $2,553
     THG18,748+18,748$2,553
KB HOME 36,011 -165,671 $2,552
     KBH36,011-165,671$2,552
ACUITY BRANDS INC 9,422 -6,267 $2,532
     AYI9,422-6,267$2,532
SM ENERGY CO 50,700 -158,941 $2,527
     SM50,700-158,941$2,527
TRUSTCO BK CORP N Y 89,559 -24,865 $2,522
     TRST89,559-24,865$2,522
MORPHIC HLDG INC 71,384 -26,038 $2,513
     MORF71,384-26,038$2,513
LATTICE SEMICONDUCTOR CORP 32,082 -15,937 $2,510
     LSCC32,082-15,937$2,510
SPRINGWORKS THERAPEUTICS INC 50,978 +50,978 $2,509
     SWTX50,978+50,978$2,509
CAPITOL FED FINL INC 419,921 +92,103 $2,503
     CFFN419,921+92,103$2,503
RELIANCE INC 7,481 -5,358 $2,500
     RS7,481-5,358$2,500
KINROSS GOLD CORP 406,491 +380,412 $2,496
     KGC406,491+380,412$2,496
ENERGY RECOVERY INC 156,855 +39,941 $2,477
     ERII156,855+39,941$2,477
DAYFORCE INC 37,347 -51,237 $2,473
     CDAY37,347-51,237$2,473
GORMAN RUPP CO 62,433 +18,579 $2,469
     GRC62,433+18,579$2,469
HEALTHSTREAM INC 92,599 -5,215 $2,469
     HSTM92,599-5,215$2,469
PBF ENERGY INC 42,887 +1,276 $2,469
     PBF42,887+1,276$2,469
JACKSON FINANCIAL INC 37,315 -1,476 $2,468
     JXN37,315-1,476$2,468
WEST FRASER TIMBER CO LTD 28,557 -4,424 $2,468
     WFG28,557-4,424$2,468
ABERCROMBIE & FITCH CO 19,638 +19,638 $2,461
     ANF19,638+19,638$2,461
COUSINS PPTYS INC 102,365 +17,635 $2,461
     CUZ102,365+17,635$2,461
INGEVITY CORP 51,560 -2,012 $2,459
     NGVT51,560-2,012$2,459
MARINUS PHARMACEUTICALS INC 271,157 UNCH $2,451
     MRNS271,157UNCH$2,451
GARMIN LTD 16,450 -19,657 $2,449
     GRMN16,450-19,657$2,449
MODINE MFG CO 25,670 UNCH $2,444
     MOD25,670UNCH$2,444
THERMON GROUP HLDGS INC 74,451 -189,729 $2,436
     THR74,451-189,729$2,436
HENRY SCHEIN INC 32,229 -26,750 $2,434
     HSIC32,229-26,750$2,434
ROCKWELL AUTOMATION INC 8,294 -11,758 $2,416
     ROK8,294-11,758$2,416
HAVERTY FURNITURE COS INC 70,422 +11,244 $2,403
     HVT70,422+11,244$2,403
POTLATCHDELTIC CORPORATION 50,904 +10,251 $2,394
     PCH50,904+10,251$2,394
FIRST BUSEY CORP 99,397 +23,142 $2,390
     BUSE99,397+23,142$2,390
BURLINGTON STORES INC 10,274 +7,232 $2,386
     BURL10,274+7,232$2,386
UNIVERSAL DISPLAY CORP 14,154 +1,775 $2,384
     OLED14,154+1,775$2,384
10X GENOMICS INC 63,400 +45,814 $2,379
     TXG63,400+45,814$2,379
AVANGRID INC 64,919 -93,065 $2,366
     AGR64,919-93,065$2,366
ENCORE WIRE CORP 8,951 -1,031 $2,352
     WIRE8,951-1,031$2,352
CENTERPOINT ENERGY INC 82,345 +82,345 $2,346
     CNP82,345+82,345$2,346
OIL STS INTL INC 378,949 +534 $2,334
     OIS378,949+534$2,334
AGCO CORP 18,947 -35,861 $2,331
     AGCO18,947-35,861$2,331
AVNET INC 46,918 +7,440 $2,326
     AVT46,918+7,440$2,326
DROPBOX INC 95,331 +86,003 $2,317
     DBX95,331+86,003$2,317
DONNELLEY FINL SOLUTIONS INC 37,361 +1,425 $2,317
     DFIN37,361+1,425$2,317
HARMONIC INC 172,340 +159,940 $2,316
     HLIT172,340+159,940$2,316
LPL FINL HLDGS INC 8,745 -15,389 $2,310
     LPLA8,745-15,389$2,310
TENNANT CO 18,933 +18,933 $2,302
     TNC18,933+18,933$2,302
COMMERCIAL METALS CO 39,056 -116,237 $2,295
     CMC39,056-116,237$2,295
INOGEN INC 284,026 -1,150 $2,292
     INGN284,026-1,150$2,292
ALLIENT INC 64,113 +64,113 $2,288
     ALNT64,113+64,113$2,288
TOLL BROTHERS INC 17,664 -3,525 $2,285
     TOL17,664-3,525$2,285
ENBRIDGE INC 62,895 +918 $2,280
     ENB62,895+918$2,280
COHU INC 68,307 +18,283 $2,277
     COHU68,307+18,283$2,277
MGIC INVT CORP WIS 101,241 -1,888 $2,264
     MTG101,241-1,888$2,264
BANK NOVA SCOTIA HALIFAX 43,646 +30 $2,260
     BNS43,646+30$2,260
GOODYEAR TIRE & RUBR CO 164,386 -406,738 $2,257
     GT164,386-406,738$2,257
WINNEBAGO INDS INC 30,392 +2,729 $2,249
     WGO30,392+2,729$2,249
BIO TECHNE CORP 31,899 -102,916 $2,245
     TECH31,899-102,916$2,245
RESOURCES CONNECTION INC 170,360 -24,029 $2,242
     RGP170,360-24,029$2,242
NEWMARK GROUP INC 201,790 -103,758 $2,238
     NMRK201,790-103,758$2,238
ILLINOIS TOOL WKS INC 8,332 -117 $2,236
     ITW8,332-117$2,236
JAZZ PHARMACEUTICALS PLC 18,551 -98 $2,234
     JAZZ18,551-98$2,234
VERMILION ENERGY INC 179,405 +26,643 $2,233
     VET179,405+26,643$2,233
ITT INC 16,361 -573 $2,226
     ITT16,361-573$2,226
TEGNA INC 148,942 +31,579 $2,225
     TGNA148,942+31,579$2,225
3M CO 20,939 +885 $2,221
     MMM20,939+885$2,221
AZZ INC 28,721 +6,703 $2,220
     AZZ28,721+6,703$2,220
BELDEN INC 23,861 -80,577 $2,210
     BDC23,861-80,577$2,210
VERA BRADLEY INC 324,303 -56,378 $2,205
     VRA324,303-56,378$2,205
CLEARWAY ENERGY INC      $2,203
     CWEN.A102,432+36,922$2,203
SPS COMM INC 11,889 +11,889 $2,198
     SPSC11,889+11,889$2,198
BANDWIDTH INC 119,779 UNCH $2,187
     BAND119,779UNCH$2,187
ROCKET PHARMACEUTICALS INC 80,726 -621,899 $2,175
     RCKT80,726-621,899$2,175
CANADIAN NATL RY CO 16,469 -305 $2,171
     CNI16,469-305$2,171
HALOZYME THERAPEUTICS INC 52,840 -72,367 $2,150
     HALO52,840-72,367$2,150
CAL MAINE FOODS INC 36,394 -1,409 $2,142
     CALM36,394-1,409$2,142
TRICO BANCSHARES (TCBK) 58,224 +58,224 $2,141
     TCBK58,224+58,224$2,141
DOLBY LABORATORIES INC 25,469 +4,003 $2,134
     DLB25,469+4,003$2,134
JANUS HENDERSON GROUP PLC 64,838 -5,711 $2,133
     JHG64,838-5,711$2,133
KRATOS DEFENSE & SEC SOLUTIO 116,026 +35,790 $2,133
     KTOS116,026+35,790$2,133
EMERGENT BIOSOLUTIONS INC 839,414 +5,042 $2,124
     EBS839,414+5,042$2,124
NEWS CORP NEW 81,104 +68,330 $2,123
     NWSA81,104+68,330$2,123
ETHAN ALLEN INTERIORS INC 61,275 -5,593 $2,118
     ETD61,275-5,593$2,118
PROG HOLDINGS INC 61,335 -117,524 $2,112
     PRG61,335-117,524$2,112
ORION GROUP HLDGS INC 256,865 +228,533 $2,106
     ORN256,865+228,533$2,106
OUTSET MED INC 944,845 -76,026 $2,098
     OM944,845-76,026$2,098
CERUS CORP 1,107,740 +568,107 $2,094
     CERS1,107,740+568,107$2,094
INTERDIGITAL INC 19,653 +1,122 $2,092
     IDCC19,653+1,122$2,092
NUVATION BIO INC 574,410 -164,421 $2,091
     NUVB574,410-164,421$2,091
CANADIAN PACIFIC KANSAS CITY 23,648 +673 $2,087
     CP23,648+673$2,087
NOV INC 106,665 +106,665 $2,082
     NOV106,665+106,665$2,082
INGREDION INC 17,806 +154 $2,081
     INGR17,806+154$2,081
GENERAC HLDGS INC 16,483 -64,400 $2,079
     GNRC16,483-64,400$2,079
WORTHINGTON ENTERPRISES INC 33,411 +33,411 $2,079
     WOR33,411+33,411$2,079
CROSS CTRY HEALTHCARE INC 110,980 +110,980 $2,078
     CCRN110,980+110,980$2,078
VISHAY INTERTECHNOLOGY INC 91,576 +8,427 $2,077
     VSH91,576+8,427$2,077
CARRIAGE SVCS INC 76,180 +13,979 $2,060
     CSV76,180+13,979$2,060
NORTHROP GRUMMAN CORP 4,301 +4,301 $2,059
     NOC4,301+4,301$2,059
BLACKSTONE INC 15,660 +357 $2,057
     BX15,660+357$2,057
GREEN PLAINS INC 88,932 +88,932 $2,056
     GPRE88,932+88,932$2,056
INTERCONTINENTAL EXCHANGE IN (ICE) 14,905 -26,020 $2,048
     ICE14,905-26,020$2,048
COMMERCIAL VEH GROUP INC 317,634 UNCH $2,042
     CVGI317,634UNCH$2,042
GENTEX CORP 56,379 -4,055 $2,036
     GNTX56,379-4,055$2,036
BENCHMARK ELECTRS INC 67,569 +67,569 $2,028
     BHE67,569+67,569$2,028
GARRETT MOTION INC 203,772 +203,772 $2,025
     GTX203,772+203,772$2,025
BANK MONTREAL QUE 20,708 +481 $2,024
     BMO20,708+481$2,024
BELLRING BRANDS INC 33,687 +33,687 $1,989
     BRBR33,687+33,687$1,989
CANADIAN NAT RES LTD 25,979 -660 $1,984
     CNQ25,979-660$1,984
FLEX LTD 69,344 -3,103 $1,984
     FLEX69,344-3,103$1,984
EQUIFAX INC 7,401 -4,226 $1,980
     EFX7,401-4,226$1,980
BIOCRYST PHARMACEUTICALS INC 386,885 -142,534 $1,965
     BCRX386,885-142,534$1,965
CHEGG INC 257,581 +257,581 $1,950
     CHGG257,581+257,581$1,950
HESS CORP 12,681 -582,019 $1,936
     HES12,681-582,019$1,936
THOR INDS INC 16,468 -1,191 $1,932
     THO16,468-1,191$1,932
RESMED INC 9,706 -5,577 $1,922
     RMD9,706-5,577$1,922
AMERICAN SUPERCONDUCTOR CORP 142,192 +116,786 $1,921
     AMSC142,192+116,786$1,921
VAREX IMAGING CORP 105,784 +67,811 $1,915
     VREX105,784+67,811$1,915
FIDELITY NATIONAL FINANCIAL 35,923 -25,978 $1,908
     FNF35,923-25,978$1,908
ALKERMES PLC 70,256 -2,914 $1,902
     ALKS70,256-2,914$1,902
QURATE RETAIL INC 1,530,767 -904,432 $1,883
     QRTEA1,530,767-904,432$1,883
DIAMOND HILL INVT GROUP INC 12,195 +4,712 $1,880
     DHIL12,195+4,712$1,880
CROWN CASTLE INC 17,742 +706 $1,878
     CCI17,742+706$1,878
US BANCORP DEL 41,795 +1,191 $1,868
     USB41,795+1,191$1,868
ARCTURUS THERAPEUTICS HLDGS 55,237 +55,237 $1,865
     ARCT55,237+55,237$1,865
PIONEER NAT RES CO 7,104 -718,203 $1,865
     PXD7,104-718,203$1,865
QCR HOLDINGS INC 30,406 +716 $1,847
     QCRH30,406+716$1,847
MONARCH CASINO & RESORT INC 24,563 -63,778 $1,842
     MCRI24,563-63,778$1,842
TRAVELERS COMPANIES INC 7,993 -192,088 $1,840
     TRV7,993-192,088$1,840
BECTON DICKINSON & CO 7,287 -59 $1,803
     BDX7,287-59$1,803
ALLIANT ENERGY CORP 35,693 -497,033 $1,799
     LNT35,693-497,033$1,799
NEVRO CORP 123,329 +44,273 $1,781
     NVRO123,329+44,273$1,781
NORTHFIELD BANCORP INC DEL 181,823 +48,643 $1,767
     NFBK181,823+48,643$1,767
COMMUNITY TR BANCORP INC 41,405 -24,439 $1,766
     CTBI41,405-24,439$1,766
ACCO BRANDS CORP 314,392 -772,967 $1,764
     ACCO314,392-772,967$1,764
NORTHWEST PIPE CO 50,831 +1,465 $1,763
     NWPX50,831+1,465$1,763
AMERISAFE INC 35,128 +20,040 $1,762
     AMSF35,128+20,040$1,762
ROPER TECHNOLOGIES INC 3,125 +192 $1,753
     ROP3,125+192$1,753
ZYMEWORKS INC 166,549 +166,549 $1,752
     ZYME166,549+166,549$1,752
AMERICAN FINL GROUP INC OHIO 12,791 -83,861 $1,746
     AFG12,791-83,861$1,746
CABOT CORP 18,919 -105,503 $1,744
     CBT18,919-105,503$1,744
BABCOCK & WILCOX ENTERPRISES 1,541,267 -383,481 $1,742
     BW1,541,267-383,481$1,742
COMMSCOPE HLDG CO INC 1,324,515 +353,799 $1,735
     COMM1,324,515+353,799$1,735
RAPID7 INC 35,261 +26,693 $1,729
     RPD35,261+26,693$1,729
BP PLC 45,708 -450,678 $1,722
     BP45,708-450,678$1,722
YORK WTR CO 47,418 +47,418 $1,720
     YORW47,418+47,418$1,720
BROOKFIELD CORP 40,973 +27 $1,716
     BN40,973+27$1,716
VICOR CORP 44,812 +44,812 $1,714
     VICR44,812+44,812$1,714
CBIZ INC 21,600 -71,943 $1,696
     CBZ21,600-71,943$1,696
SEABRIDGE GOLD INC 112,197 +50,193 $1,696
     SA112,197+50,193$1,696
POTBELLY CORP 139,460 -26,258 $1,689
     PBPB139,460-26,258$1,689
TRAVERE THERAPEUTICS INC 218,680 -35,371 $1,686
     TVTX218,680-35,371$1,686
CONSOL ENERGY INC NEW 20,084 +20,084 $1,682
     CEIX20,084+20,084$1,682
CUMMINS INC 5,646 -217,661 $1,664
     CMI5,646-217,661$1,664
AUDIOCODES LTD 125,445 +125,445 $1,660
     AUDC125,445+125,445$1,660
NAYAX LTD 62,612 +37,853 $1,655
     NYAX62,612+37,853$1,655
NEWMONT CORP 44,768 -880,974 $1,604
     NEM44,768-880,974$1,604
COCA COLA EUROPACIFIC PARTNE 22,754 -3,015 $1,592
     CCEP22,754-3,015$1,592
JOHNSON CTLS INTL PLC 24,288 +377 $1,586
     JCI24,288+377$1,586
CDW CORP 6,184 -9,702 $1,582
     CDW6,184-9,702$1,582
DEUTSCHE BANK A G 100,434 +2,735 $1,582
     DB100,434+2,735$1,582
HUMANA INC 4,564 +314 $1,582
     HUM4,564+314$1,582
NEKTAR THERAPEUTICS 1,687,300 -778,967 $1,576
     NKTR1,687,300-778,967$1,576
SIERRA BANCORP 77,645 +10,496 $1,568
     BSRR77,645+10,496$1,568
STANDARD BIOTOOLS INC 578,439 +512,937 $1,568
     LAB578,439+512,937$1,568
ALIGNMENT HEALTHCARE INC 315,629 +233,417 $1,566
     ALHC315,629+233,417$1,566
SOLAREDGE TECHNOLOGIES INC 22,008 -3,765 $1,562
     SEDG22,008-3,765$1,562
WELLTOWER INC 16,648 +1,109 $1,556
     WELL16,648+1,109$1,556
RADNET INC 31,812 UNCH $1,548
     RDNT31,812UNCH$1,548
CECO ENVIRONMENTAL CORP 67,173 UNCH $1,546
     CECO67,173UNCH$1,546
APTIV PLC      $1,523
     APTV11,627-32,468$926
     Call7,500+7,500$597
DIGITALOCEAN HLDGS INC 39,748 -2,910 $1,518
     DOCN39,748-2,910$1,518
OPKO HEALTH INC 1,253,808 +648,569 $1,502
     OPK1,253,808+648,569$1,502
FIDELITY NATL INFORMATION SV 20,153 -274,693 $1,495
     FIS20,153-251,093$1,495
SMARTSHEET INC 38,790 -25,940 $1,493
     SMAR38,790-25,940$1,493
MOELIS & CO 26,286 +26,286 $1,492
     MC26,286+26,286$1,492
MCCORMICK & CO INC      $1,492
     MKC11,323+184$870
     Call8,100-1,700$622
IDT CORP 39,092 -34,205 $1,478
     IDT39,092-34,205$1,478
FAIR ISAAC CORP 1,170 -2,994 $1,462
     FICO1,170-2,994$1,462
AIRBNB INC 8,842 +621 $1,459
     ABNB8,842+621$1,459
AKEBIA THERAPEUTICS INC 790,483 +790,483 $1,447
     AKBA790,483+790,483$1,447
PAYLOCITY HLDG CORP 8,408 -3,919 $1,445
     PCTY8,408-3,919$1,445
FLUSHING FINL CORP 114,404 +85,139 $1,443
     FFIC114,404+85,139$1,443
WORKIVA INC 16,707 -219 $1,417
     WK16,707-219$1,417
ARLO TECHNOLOGIES INC 111,957 -780,242 $1,416
     ARLO111,957-780,242$1,416
AGILENT TECHNOLOGIES INC 9,684 +130 $1,409
     A9,684+130$1,409
AMERICAN PUB ED INC 98,973 UNCH $1,405
     APEI98,973UNCH$1,405
DESIGN THERAPEUTICS INC 347,794 +102,567 $1,402
     DSGN347,794+102,567$1,402
KELLY SVCS INC 55,905 -195,318 $1,400
     KELYA55,905-195,318$1,400
M & T BK CORP 9,612 -83,379 $1,398
     MTB9,612-83,379$1,398
ZUMIEZ INC 91,980 +56,495 $1,397
     ZUMZ91,980+56,495$1,397
WILLSCOT MOBIL MINI HLDNG CO 29,989 -35,440 $1,394
     WSC29,989-35,440$1,394
OLD DOMINION FREIGHT LINE IN 6,328 -1,601 $1,388
     ODFL6,328-1,601$1,388
FACTSET RESH SYS INC 3,043 +1,430 $1,383
     FDS3,043+1,430$1,383
VISHAY PRECISION GROUP INC 38,892 -6,745 $1,374
     VPG38,892-6,745$1,374
ENERSYS 14,378 -46,285 $1,358
     ENS14,378-46,285$1,358
V2X INC 29,044 +11,033 $1,357
     VVX29,044+11,033$1,357
CARDIFF ONCOLOGY INC 252,982 +252,982 $1,351
     CRDF252,982+252,982$1,351
LUMEN TECHNOLOGIES INC 861,545 -121,800 $1,344
     LUMN861,545UNCH$1,344
FLOWERS FOODS INC 55,618 -365,333 $1,321
     FLO55,618-365,333$1,321
INFINERA CORP 218,909 UNCH $1,320
     INFN218,909UNCH$1,320
ENOVIS CORPORATION 21,113 +21,113 $1,319
     ENOV21,113+21,113$1,319
WILLIAMS SONOMA INC 4,147 +4,147 $1,317
     WSM4,147+4,147$1,317
MANULIFE FINL CORP 51,706 -855 $1,293
     MFC51,706-855$1,293
WILLIAMS COS INC 33,141 -141,377 $1,292
     WMB33,141-141,377$1,292
BANC OF CALIFORNIA INC 84,795 -27,322 $1,290
     BANC84,795-27,322$1,290
TENABLE HLDGS INC 25,664 -4,824 $1,269
     TENB25,664-4,824$1,269
INTERACTIVE BROKERS GROUP IN 11,342 -232,757 $1,267
     IBKR11,342-232,757$1,267
CF INDS HLDGS INC 15,162 -78,047 $1,262
     CF15,162-78,047$1,262
PRESTIGE CONSMR HEALTHCARE I 17,282 -1,130 $1,254
     PBH17,282-1,130$1,254
MARRIOTT INTL INC NEW 4,964 -119 $1,252
     MAR4,964-119$1,252
GEN DIGITAL INC 55,517 -537,239 $1,244
     GEN55,517-537,239$1,244
IRHYTHM TECHNOLOGIES INC 10,618 +919 $1,232
     IRTC10,618+919$1,232
ALAMOS GOLD INC NEW 83,376 +83,376 $1,230
     AGI83,376+83,376$1,230
ONEMAIN HLDGS INC 23,837 +23,837 $1,218
     OMF23,837+23,837$1,218
TAPESTRY INC 25,587 -574,794 $1,215
     TPR25,587-574,794$1,215
METROPOLITAN BK HLDG CORP 31,421 +31,421 $1,210
     MCB31,421+31,421$1,210
TREDEGAR CORP 185,199 +10,366 $1,207
     TG185,199+10,366$1,207
INGERSOLL RAND INC 12,673 -496 $1,203
     IR12,673-496$1,203
PUBLIC STORAGE 4,135 +502 $1,199
     PSA4,135+502$1,199
CITIZENS FINL GROUP INC 33,017 -1,036,838 $1,198
     CFG33,017-1,036,838$1,198
BAKER HUGHES COMPANY 35,734 +993 $1,197
     BKR35,734+993$1,197
TRANSDIGM GROUP INC 970 +57 $1,195
     TDG970+57$1,195
ANIKA THERAPEUTICS INC 47,012 -12 $1,194
     ANIK47,012-12$1,194
UNIVERSAL ELECTRS INC 118,740 -43,900 $1,189
     UEIC118,740-43,900$1,189
EXPRO GROUP HOLDINGS NV 59,484 UNCH $1,188
     XPRO59,484UNCH$1,188
PAYCHEX INC 9,666 -42,793 $1,187
     PAYX9,666-42,793$1,187
SYSCO CORP 14,446 +28 $1,173
     SYY14,446+28$1,173
KELLANOVA 20,332 -313,599 $1,165
     K20,332-313,599$1,165
OLLIES BARGAIN OUTLET HLDGS 14,398 UNCH $1,146
     OLLI14,398UNCH$1,146
LIBERTY MEDIA CORP DEL 17,191 -112,269 $1,128
     FWONK17,191-112,269$1,128
AXT INC 243,749 -12,821 $1,119
     AXTI243,749-12,821$1,119
PRA GROUP INC 42,846 +23,880 $1,117
     PRAA42,846+23,880$1,117
FLUTTER ENTMT PLC 5,590 +5,590 $1,115
     FLUT5,590+5,590$1,115
GOLDEN OCEAN GROUP LTD 85,562 +53,483 $1,109
     GOGL85,562+53,483$1,109
HAEMONETICS CORP MASS 12,970 +12,970 $1,107
     HAE12,970+12,970$1,107
TRACTOR SUPPLY CO 4,222 -32,434 $1,105
     TSCO4,222-32,434$1,105
TC ENERGY CORP 27,266 +609 $1,097
     TRP27,266+609$1,097
CLEAN ENERGY FUELS CORP 408,780 UNCH $1,096
     CLNE408,780UNCH$1,096
KNIGHT SWIFT TRANSN HLDGS IN 19,898 -165,728 $1,095
     KNX19,898-165,728$1,095
SENECA FOODS CORP NEW 19,243 -3,961 $1,095
     SENEA19,243-3,961$1,095
OCCIDENTAL PETE CORP 16,691 -215,208 $1,085
     OXY16,691-215,208$1,085
INSPERITY INC 9,892 -19,360 $1,084
     NSP9,892-19,360$1,084
AIR PRODS & CHEMS INC 4,391 -338 $1,064
     APD4,391-338$1,064
BEST BUY INC 12,954 -122,892 $1,063
     BBY12,954-122,892$1,063
CARDINAL HEALTH INC 9,494 +3,618 $1,062
     CAH9,494+3,618$1,062
BRUKER CORP 11,298 -189,411 $1,061
     BRKR11,298-189,411$1,061
GALLAGHER ARTHUR J & CO 4,236 -65,816 $1,059
     AJG4,236-65,816$1,059
SEMPRA 14,714 -185,503 $1,057
     SRE14,714-185,503$1,057
SHORE BANCSHARES INC (SHBI) 91,396 +25,155 $1,051
     SHBI91,396+25,155$1,051
SIMON PPTY GROUP INC NEW 6,713 +237 $1,051
     SPG6,713+237$1,051
BRIGHTSPHERE INVT GROUP INC 45,959 +45,959 $1,050
     BSIG45,959+45,959$1,050
GE HEALTHCARE TECHNOLOGIES I 11,526 +297 $1,048
     GEHC11,526+297$1,048
ASSOCIATED BANC CORP 48,513 -573,271 $1,044
     ASB48,513-573,271$1,044
SILVERBOW RES INC 30,415 -249,825 $1,038
     SBOW30,415-249,825$1,038
MILLERKNOLL INC 41,687 -38,094 $1,032
     MLKN41,687-38,094$1,032
FIBROGEN INC 428,848 -1,798,009 $1,008
     FGEN428,848-1,798,009$1,008
DUPONT DE NEMOURS INC 13,131 -26,770 $1,007
     DD13,131-26,770$1,007
MASIMO CORP 6,822 -1,951 $1,002
     MASI6,822-1,951$1,002
OOMA INC 117,484 UNCH $1,002
     OOMA117,484UNCH$1,002
TERADATA CORP DEL 25,839 +25,839 $999
     TDC25,839+25,839$999
CAMDEN NATL CORP 29,751 +14,502 $997
     CAC29,751+14,502$997
IAC INC 18,624 -87,214 $993
     IAC18,624-87,214$993
COMFORT SYS USA INC 3,121 -60,354 $992
     FIX3,121-60,354$992
NATURAL GAS SVCS GROUP INC 50,755 +2,182 $986
     NGS50,755+2,182$986
NUTRIEN LTD 18,134 +1,693 $986
     NTR18,134+1,693$986
INTERNATIONAL FLAVORS&FRAGRA 11,440 +643 $984
     IFF11,440+643$984
VERALTO CORP 11,079 -652 $982
     VLTO11,079-652$982
REVANCE THERAPEUTICS INC 198,846 UNCH $978
     RVNC198,846UNCH$978
SBA COMMUNICATIONS CORP NEW 4,499 +344 $975
     SBAC4,499+344$975
SURGERY PARTNERS INC 32,657 UNCH $974
     SGRY32,657UNCH$974
FORTINET INC 14,234 +469 $972
     FTNT14,234+469$972
WATERS CORP 2,825 -25,238 $972
     WAT2,825-25,238$972
EAGLE PHARMACEUTICALS INC 185,337 -32,331 $971
     EGRX185,337-32,331$971
LENNOX INTL INC 1,958 -205 $957
     LII1,958-205$957
NEXTCURE INC 426,717 +426,717 $952
     NXTC426,717+426,717$952
GILAT SATELLITE NETWORKS LTD 173,659 +75,116 $950
     GILT173,659+75,116$950
HERITAGE COMM CORP 110,128 -132,140 $945
     HTBK110,128-132,140$945
ON SEMICONDUCTOR CORP 12,822 -54,199 $943
     ON12,822-54,199$943
TELEPHONE & DATA SYS INC 58,537 -156,031 $938
     TDS58,537-156,031$938
COGENT COMMUNICATIONS HLDGS 14,350 +14,350 $937
     CCOI14,350+14,350$937
WASTE CONNECTIONS INC 5,433 -1,204 $935
     WCN5,433-1,204$935
DYCOM INDS INC 6,479 -3,784 $930
     DY6,479-3,784$930
REPUBLIC SVCS INC 4,860 -716 $930
     RSG4,860-716$930
CNA FINL CORP 20,319 -26,789 $923
     CNA20,319-26,789$923
SOUTHERN MO BANCORP INC 21,017 +8,906 $919
     SMBC21,017+8,906$919
DIAMONDBACK ENERGY INC 4,602 -6,285 $912
     FANG4,602-6,285$912
SYROS PHARMACEUTICALS INC 169,999 +144,869 $909
     SYRS169,999+144,869$909
CONSOLIDATED EDISON INC 9,874 -176,088 $897
     ED9,874-176,088$897
CYTOMX THERAPEUTICS INC 404,674 UNCH $882
     CTMX404,674UNCH$882
TALOS ENERGY INC 63,282 -2,701 $882
     TALO63,282-2,701$882
LKQ CORP 16,499 -44,654 $881
     LKQ16,499-44,654$881
HASBRO INC 15,576 -4,401 $880
     HAS15,576-4,401$880
IRON MTN INC DEL 10,927 -688 $876
     IRM10,927-688$876
SOUTHERN FIRST BANCSHARES (SFST) 27,475 -204 $873
     SFST27,475-204$873
AIR TRANSPORT SERVICES GRP I 63,339 -5,759 $872
     ATSG63,339-5,759$872
HALLIBURTON CO 21,954 -281,352 $865
     HAL21,954-281,352$865
EVERSOURCE ENERGY 14,321 +876 $856
     ES14,321+876$856
WHEATON PRECIOUS METALS CORP 18,164 +1,495 $856
     WPM18,164+1,495$856
AGNICO EAGLE MINES LTD 14,146 -3,263 $844
     AEM14,146-3,263$844
SSR MINING IN 187,781 +187,781 $838
     SSRM187,781+187,781$838
EDISON INTL 11,823 -5,944 $836
     EIX11,823-5,944$836
FRANCO NEV CORP 7,003 +396 $835
     FNV7,003+396$835
CENTURY CMNTYS INC 8,594 -2,934 $829
     CCS8,594-2,934$829
FORTUNE BRANDS INNOVATIONS I 9,788 -930 $829
     FBIN9,788-930$829
C H ROBINSON WORLDWIDE INC 10,841 +1,276 $825
     CHRW10,841+1,276$825
NASDAQ INC 13,032 -448,462 $822
     NDAQ13,032-448,462$822
CBOE GLOBAL MKTS INC 4,445 -180 $817
     CBOE4,445-180$817
AVALONBAY CMNTYS INC 4,353 -51 $808
     AVB4,353-51$808
SANDRIDGE ENERGY INC 55,332 -50,229 $806
     SD55,332-50,229$806
SILK RD MED INC 43,743 +43,743 $801
     SILK43,743+43,743$801
NBT BANCORP INC 21,702 +21,702 $796
     NBTB21,702+21,702$796
WILLIS TOWERS WATSON PLC LTD 2,880 -163 $792
     WTW2,880-163$792
EHEALTH INC 130,562 -250,779 $787
     EHTH130,562-250,779$787
VERISK ANALYTICS INC 3,338 -109,466 $787
     VRSK3,338-109,466$787
HBT FINL INC. 40,887 -6,953 $778
     HBT40,887-6,953$778
HUNTSMAN CORP      $777
     Call23,700+23,700$617
     HUN6,146+6,146$160
STATE STR CORP 10,043 -25,238 $777
     STT10,043-25,238$777
SPYRE THERAPEUTICS INC 64,400 +64,400 $773
     AGLE64,400+64,400$773
QUEST DIAGNOSTICS INC 5,799 -46,904 $772
     DGX5,799-46,904$772
ALTA EQUIPMENT GROUP INC 59,446 -30,831 $770
     ALTG59,446-30,831$770
PEAPACK GLADSTONE FINL CORP 31,390 +21,345 $764
     PGC31,390+21,345$764
CAMECO CORP 17,310 +27 $750
     CCJ17,310+27$750
ARCUS BIOSCIENCES INC 39,731 -7,522 $750
     RCUS39,731-7,522$750
HUNTINGTON BANCSHARES INC (HBAN) 53,473 -839,032 $746
     HBAN53,473-839,032$746
SEAGATE TECHNOLOGY HLDNGS PL 7,947 -1,304 $739
     STX7,947-1,304$739
CIVISTA BANCSHARES INC (CIVB) 47,421 +12,531 $729
     CIVB47,421+12,531$729
GEOSPACE TECHNOLOGIES CORP 55,189 +55,189 $728
     GEOS55,189+55,189$728
DTE ENERGY CO 6,480 +699 $727
     DTE6,480+699$727
FIRSTENERGY CORP 18,692 -150,854 $722
     FE18,692-150,854$722
EASTMAN CHEM CO 7,170 +7,170 $719
     EMN7,170+7,170$719
ACI WORLDWIDE INC 21,606 -105,091 $718
     ACIW21,606-105,091$718
INSPIRE MED SYS INC 3,337 -9,812 $717
     INSP3,337-9,812$717
FIFTH THIRD BANCORP 19,232 +1,124 $716
     FITB19,232+1,124$716
IDENTIV INC 90,186 -18,521 $714
     INVE90,186-18,521$714
SURMODICS INC 24,324 -9 $714
     SRDX24,324-9$714
GROUPON INC 53,296 +53,296 $711
     GRPN53,296+53,296$711
TOPGOLF CALLAWAY BRANDS CORP 43,756 -612,614 $708
     MODG43,756-612,614$708
BRISTOW GROUP INC 26,028 -1,341 $708
     VTOL26,028-1,341$708
MONOLITHIC PWR SYS INC 1,039 +112 $704
     MPWR1,039+112$704
JACK IN THE BOX INC 10,243 +10,243 $701
     JACK10,243+10,243$701
TECK RESOURCES LTD 15,263 +470 $699
     TECK15,263+470$699
ELEMENT SOLUTIONS INC 27,766 +27,766 $694
     ESI27,766+27,766$694
MODERNA INC 6,509 +530 $694
     MRNA6,509+530$694
ADTALEM GLOBAL ED INC 13,418 +13,418 $690
     ATGE13,418+13,418$690
AVANTOR INC 26,523 -102,698 $678
     AVTR26,523-36,698$678
MISTRAS GROUP INC 70,019 +5,803 $669
     MG70,019+5,803$669
NORTHERN TR CORP 7,464 +172 $664
     NTRS7,464+172$664
KORNIT DIGITAL LTD 36,534 +36,534 $662
     KRNT36,534+36,534$662
CENOVUS ENERGY INC 33,023 -3,270,881 $660
     CVE33,023-3,270,881$660
CARDLYTICS INC 44,971 -52,380 $652
     CDLX44,971-52,380$652
ORRSTOWN FINL SVCS INC 24,211 +3,613 $648
     ORRF24,211+3,613$648
OPEN TEXT CORP 16,624 +1,060 $646
     OTEX16,624+1,060$646
LITHIA MTRS INC 2,129 +2,129 $641
     LAD2,129+2,129$641
RB GLOBAL INC 8,390 -883 $640
     RBA8,390-883$640
ASPEN AEROGELS INC 36,114 +36,114 $636
     ASPN36,114+36,114$636
UDEMY INC 57,942 +57,942 $636
     UDMY57,942+57,942$636
GLOBAL PMTS INC 4,752 +90 $635
     GPN4,752+90$635
VESTIS CORPORATION 32,960 +32,960 $635
     VSTS32,960+32,960$635
AEROVIRONMENT INC 4,128 -19,454 $633
     AVAV4,128-19,454$633
CARMAX INC 7,272 -16,483 $633
     KMX7,272-16,483$633
YUM CHINA HLDGS INC 15,862 -709 $631
     YUMC15,862-709$631
NIU TECHNOLOGIES 373,305 -185,152 $627
     NIU373,305-185,152$627
MVB FINL CORP 28,039 -4,564 $626
     MVBF28,039-4,564$626
WEC ENERGY GROUP INC 7,608 UNCH $625
     WEC7,608UNCH$625
TEJON RANCH CO 40,500 +32 $624
     TRC40,500+32$624
THOMSON REUTERS CORP. 3,990 +70 $622
     TRI3,990+70$622
CHARTER COMMUNICATIONS INC N 2,129 -78,138 $619
     CHTR2,129-78,138$619
WESTERN NEW ENG BANCORP INC 80,763 -1,209 $619
     WNEB80,763-1,209$619
BAYCOM CORP 29,946 -9,754 $617
     BCML29,946-9,754$617
CGI INC 5,579 -353 $616
     GIB5,579-353$616
LAMB WESTON HLDGS INC 5,759 -130,612 $614
     LW5,759-130,612$614
POOL CORP 1,519 -14 $613
     POOL1,519-14$613
ROYAL CARIBBEAN GROUP 4,412 +4,412 $613
     RCL4,412+4,412$613
ALLEGION PLC 4,542 -363 $612
     ALLE4,542-363$612
STANDEX INTL CORP 3,306 -10,725 $602
     SXI3,306-10,725$602
RAYMOND JAMES FINL INC 4,592 +5 $590
     RJF4,592+5$590
NVR INC 72 -834 $583
     NVR72-834$583
CAE INC 28,016 +9,220 $579
     CAE28,016+9,220$579
JOHN BEAN TECHNOLOGIES CORP 5,521 -121,115 $579
     JBT5,521-121,115$579
ORASURE TECHNOLOGIES INC 93,917 -293,618 $578
     OSUR93,917-293,618$578
WALGREENS BOOTS ALLIANCE INC 26,630 -251,727 $578
     WBA26,630-251,727$578
HUNTINGTON INGALLS INDS INC 1,977 -199 $576
     HII1,977-199$576
REPUBLIC BANCORP INC KY 11,093 +3,607 $566
     RBCAA11,093+3,607$566
VERTIV HOLDINGS CO 6,863 -35,121 $561
     VRT6,863-35,121$561
PEMBINA PIPELINE CORP 15,520 -352 $548
     PBA15,520-352$548
PG&E CORP 32,602 -2,827 $546
     PCG32,602-2,827$546
TWILIO INC 8,918 +553 $545
     TWLO8,918+553$545
BROWN FORMAN CORP      $539
     BF.B10,447-29,376$539
PALANTIR TECHNOLOGIES INC 23,426 +3,823 $539
     PLTR23,426+3,823$539
VICI PPTYS INC 18,053 UNCH $538
     VICI18,053UNCH$538
BRINKER INTL INC 10,800 +10,800 $537
     EAT10,800+10,800$537
LEIDOS HOLDINGS INC 4,083 -135 $535
     LDOS4,083-135$535
REPLIGEN CORP 2,909 -73 $535
     RGEN2,909-73$535
BAXTER INTL INC 12,356 +339 $528
     BAX12,356+339$528
EXACT SCIENCES CORP 7,611 -1,167 $526
     EXAS7,611-1,167$526
FORTIS INC 13,276 -306 $525
     FTS13,276-306$525
CAMPBELL SOUP CO 11,593 -142 $515
     CPB11,593-142$515
VAIL RESORTS INC 2,307 +10 $514
     MTN2,307+10$514
RIBBON COMMUNICATIONS INC 160,014 +26,571 $512
     RBBN160,014+26,571$512
AMERICAN AXLE & MFG HLDGS IN 68,803 -245,496 $506
     AXL68,803-245,496$506
JACOBS SOLUTIONS INC 3,282 -93 $505
     J3,282-93$505
SCRIPPS E W CO OHIO 128,159 -1,001 $504
     SSP128,159-1,001$504
COINBASE GLOBAL INC 1,890 +1,890 $501
     COIN1,890+1,890$501
AXOGEN INC 61,988 UNCH $500
     AXGN61,988UNCH$500
TELEFLEX INCORPORATED 2,209 -8,229 $500
     TFX2,209-8,229$500
PRICE T ROWE GROUP INC 3,999 -28,020 $488
     TROW3,999-28,020$488
CROWN HLDGS INC 6,077 +3,834 $482
     CCK6,077+3,834$482
CHIMERIX INC 454,468 -44,923 $482
     CMRX454,468-44,923$482
TRANSUNION 5,917 -381 $472
     TRU5,917-381$472
ONESPAN INC 40,265 +40,265 $468
     OSPN40,265+40,265$468
AMBEV SA 186,539 +186,539 $463
     ABEV186,539+186,539$463
UIPATH INC 20,016 -1,255 $454
     PATH20,016-1,255$454
INTERPUBLIC GROUP COS INC 13,657 -2,399 $446
     IPG13,657-2,399$446
UPLAND SOFTWARE INC 144,201 -262,246 $446
     UPLD144,201-262,246$446
NORTHWESTERN ENERGY GROUP IN 8,741 -23,630 $445
     NWE8,741-23,630$445
CHEFS WHSE INC 11,706 UNCH $441
     CHEF11,706UNCH$441
REX AMERICAN RES CORP 7,517 -154 $441
     REX7,517-154$441
ALPHATEC HLDGS INC 31,905 -143,345 $440
     ATEC31,905-143,345$440
EXTRA SPACE STORAGE INC 2,965 +134 $436
     EXR2,965+134$436
TEXTRON INC 4,547 -343 $436
     TXT4,547-343$436
HASHICORP INC 16,096 UNCH $434
     HCP16,096UNCH$434
BRIGHTVIEW HLDGS INC 36,358 -35,096 $433
     BV36,358-35,096$433
EDITAS MEDICINE INC 57,033 +18,745 $423
     EDIT57,033+18,745$423
NORTHRIM BANCORP INC 8,299 -9,346 $419
     NRIM8,299-9,346$419
UNDER ARMOUR INC 56,729 -253,330 $419
     UAA56,729-253,330$419
VENTAS INC 9,611 -439 $418
     VTR9,611-439$418
BRIDGEWATER BANCSHARES INC (BWB) 35,016 +2,070 $408
     BWB35,016+2,070$408
FARMERS NATIONAL BANC CORP 30,500 +4,044 $407
     FMNB30,500+4,044$407
HEALTHPEAK PROPERTIES INC 21,609 +4,799 $405
     PEAK21,609+4,799$405
BOSTON PROPERTIES INC 6,187 -801 $404
     BXP6,187-801$404
QIAGEN NV 9,390 -793,953 $402
     QGEN9,390-793,953$402
CARPARTS COM INC 247,056 +115,626 $400
     PRTS247,056+115,626$400
HOST HOTELS & RESORTS INC 19,274 -741 $399
     HST19,274-741$399
NEURONETICS INC 83,296 -2,866 $396
     STIM83,296-2,866$396
CYBERARK SOFTWARE LTD 1,487 UNCH $395
     CYBR1,487UNCH$395
RIVIAN AUTOMOTIVE INC 36,080 +1,842 $395
     RIVN36,080+1,842$395
RESTAURANT BRANDS INTL INC 4,922 +170 $391
     QSR4,922+170$391
TORO CO 4,270 +146 $391
     TTC4,270+146$391
STANTEC INC 4,693 -585 $390
     STN4,693-585$390
WESTROCK CO 7,889 -877,171 $390
     WRK7,889-877,171$390
BIGLARI HLDGS INC 2,001 UNCH $380
     BH2,001UNCH$380
JABIL INC 2,811 -9,042 $377
     JBL2,811-9,042$377
ALBEMARLE CORP 2,844 +2,844 $375
     ALB2,844+2,844$375
CLOUDFLARE INC 3,874 +1,281 $375
     NET3,874+1,281$375
COTERRA ENERGY INC 13,414 -1,143 $374
     CTRA13,414-1,143$374
PUMA BIOTECHNOLOGY INC 70,145 -14,894 $372
     PBYI70,145-14,894$372
ROBINHOOD MKTS INC 18,280 -5,311 $368
     HOOD18,280-5,311$368
ESSENTIAL UTILS INC 9,929 +628 $368
     WTRG9,929+628$368
PARK OHIO HLDGS CORP 13,734 -4,453 $366
     PKOH13,734-4,453$366
CREDICORP LTD 2,152 -67 $365
     BAP2,152-67$365
INSTALLED BLDG PRODS INC 1,409 -548 $365
     IBP1,409-548$365
FIRST CMNTY BANKSHARES INC V (FCBC) 10,488 -1,972 $363
     FCBC10,488-1,972$363
VORNADO RLTY TR 12,601 +12,601 $363
     VNO12,601+12,601$363
AMCOR PLC 37,988 -15,626 $361
     AMCR37,988-15,626$361
THERAVANCE BIOPHARMA INC 40,166 +40,166 $360
     TBPH40,166+40,166$360
SL GREEN RLTY CORP 6,472 +6,472 $357
     SLG6,472+6,472$357
ALEXANDRIA REAL ESTATE EQ IN 2,763 +216 $356
     ARE2,763+216$356
CONFLUENT INC 11,567 -3,317 $353
     CFLT11,567-3,317$353
ADVANCED DRAIN SYS INC DEL 2,038 -458 $351
     WMS2,038-458$351
OVID THERAPEUTICS INC 114,265 +35,786 $349
     OVID114,265+35,786$349
AMERICAN ASSETS TR INC 15,592 +15,592 $342
     AAT15,592+15,592$342
EMPIRE ST RLTY TR INC 33,643 -804 $341
     ESRT33,643-804$341
MAGNA INTL INC 6,175 +243 $337
     MGA6,175+243$337
DESCARTES SYS GROUP INC 3,674 -195 $336
     DSGX3,674-195$336
ACNB CORP 8,831 -4,202 $332
     ACNB8,831-4,202$332
AC IMMUNE SA 111,418 UNCH $330
     ACIU111,418UNCH$330
DICKS SPORTING GOODS INC 1,467 UNCH $330
     DKS1,467UNCH$330
HARVARD BIOSCIENCE INC 77,483 UNCH $329
     HBIO77,483UNCH$329
VIPSHOP HLDGS LTD 19,749 -3,161 $327
     VIPS19,749-3,161$327
MERIT MED SYS INC 4,308 +4,308 $326
     MMSI4,308+4,308$326
ASGN INC 3,086 -18,658 $323
     ASGN3,086-18,658$323
ASPEN TECHNOLOGY INC 1,476 +64 $315
     AZPN1,476+64$315
RAYONIER INC 9,391 -492 $312
     RYN9,391-492$312
EGAIN CORP 47,575 UNCH $307
     EGAN47,575UNCH$307
ROBERT HALF INC. 3,863 UNCH $306
     RHI3,863UNCH$306
PAYCOM SOFTWARE INC 1,522 UNCH $303
     PAYC1,522UNCH$303
PREMIER INC 13,583 -191,545 $300
     PINC13,583-191,545$300
DARDEN RESTAURANTS INC 1,768 -246 $296
     DRI1,768-246$296
HENRY JACK & ASSOC INC 1,702 -345,316 $296
     JKHY1,702-345,316$296
LAS VEGAS SANDS CORP 5,722 -567,454 $296
     LVS5,722-567,454$296
SMUCKER J M CO 2,350 -96,480 $296
     SJM2,350-96,480$296
SS&C TECHNOLOGIES HLDGS INC 4,600 +4,600 $296
     SSNC4,600+4,600$296
REDFIN CORP 44,216 -315,996 $294
     RDFN44,216-315,996$294
AMEREN CORP 3,950 -927 $292
     AEE3,950-927$292
MITEK SYS INC 20,738 +2,457 $292
     MITK20,738+2,457$292
AECOM 2,964 UNCH $291
     ACM2,964UNCH$291
VERACYTE INC 12,943 UNCH $287
     VCYT12,943UNCH$287
ARCADIUM LITHIUM PLC 66,433 +66,433 $286
     ALTM66,433+66,433$286
BORGWARNER INC 8,243 -912 $286
     BWA8,243-912$286
CENTURY CASINOS INC 90,525 -3,439 $286
     CNTY90,525-3,439$286
SHOALS TECHNOLOGIES GROUP IN 25,241 +3,811 $282
     SHLS25,241+3,811$282
INVESTORS TITLE CO NC 1,717 -2,644 $280
     ITIC1,717-2,644$280
REVVITY INC 2,665 -67,157 $280
     RVTY2,665-67,157$280
REGENCY CTRS CORP 4,592 UNCH $278
     REG4,592UNCH$278
ITURAN LOCATION AND CONTROL 9,902 +9,902 $277
     ITRN9,902+9,902$277
OMNICOM GROUP INC 2,862 UNCH $277
     OMC2,862UNCH$277
BIOMARIN PHARMACEUTICAL INC 3,145 -13,842 $275
     BMRN3,145-13,842$275
FTI CONSULTING INC 1,310 +121 $275
     FCN1,310+121$275
NIO INC 60,178 UNCH $271
     NIO60,178UNCH$271
LI AUTO INC 8,881 -55,485 $269
     LI8,881-55,485$269
VOYAGER THERAPEUTICS INC 28,896 +10,936 $269
     VYGR28,896+10,936$269
FMC CORP 4,160 +503 $265
     FMC4,160+503$265
CONSTRUCTION PARTNERS INC 4,598 -13,072 $258
     ROAD4,598-13,072$258
MAGNITE INC 23,054 -4,671 $248
     MGNI23,054-4,671$248
DHI GROUP INC 96,436 -23,549 $246
     DHX96,436-23,549$246
GILDAN ACTIVEWEAR INC 6,409 -920 $238
     GIL6,409-920$238
CHURCHILL DOWNS INC 1,915 +1,915 $237
     CHDN1,915+1,915$237
GOLDEN ENTMT INC 6,436 -244,863 $237
     GDEN6,436-244,863$237
CELANESE CORP DEL 1,370 -80 $235
     CE1,370-80$235
EVOLUS INC 16,537 +16,537 $232
     EOLS16,537+16,537$232
CARLISLE COS INC 590 +590 $231
     CSL590+590$231
PINNACLE WEST CAP CORP 3,090 -80,349 $231
     PNW3,090-80,349$231
WESTLAKE CORPORATION 1,506 +1,506 $230
     WLK1,506+1,506$230
WATSCO INC 533 -78 $230
     WSO533-78$230
NLIGHT INC 17,314 -39,398 $225
     LASR17,314-39,398$225
BASSETT FURNITURE INDS INC 15,179 +15,179 $224
     BSET15,179+15,179$224
MARINEMAX INC 6,728 -85,463 $224
     HZO6,728-85,463$224
ADIENT PLC 6,761 +6,761 $223
     ADNT6,761+6,761$223
IMAX CORP 13,726 +13,726 $222
     IMAX13,726+13,726$222
PARAMOUNT GLOBAL 18,858 +1,754 $222
     PARA18,858+1,754$222
ROGERS COMMUNICATIONS INC 5,417 UNCH $222
     RCI5,417UNCH$222
EMERALD HOLDING INC 32,380 +5,785 $221
     EEX32,380+5,785$221
TELUS CORPORATION 13,631 +892 $218
     TU13,631+892$218
STANLEY BLACK & DECKER INC 2,217 -103,401 $217
     SWK2,217-103,401$217
BRIDGEBIO PHARMA INC 6,995 -29,739 $216
     BBIO6,995-29,739$216
EVEREST GROUP LTD 506 -4,772 $201
     EG506-4,772$201
FIRST FNDTN INC 22,602 +22,602 $171
     FFWM22,602+22,602$171
CARA THERAPEUTICS INC 173,331 +5,493 $158
     CARA173,331+5,493$158
XPERI INC 12,756 -1,075,640 $154
     XPER12,756-1,075,640$154
ARC DOCUMENT SOLUTIONS INC 53,125 +16,167 $147
     ARC53,125+16,167$147
CARIBOU BIOSCIENCES INC 26,592 -2,231,947 $137
     CRBU26,592-2,231,947$137
UNIFI INC 22,532 -30,718 $135
     UFI22,532-30,718$135
IMMERSION CORP 17,900 +17,900 $134
     IMMR17,900+17,900$134
LIFECORE BIOMEDICAL INC 23,852 UNCH $127
     LFCR23,852UNCH$127
OPTINOSE INC 87,096 +50,662 $127
     OPTN87,096+50,662$127
8X8 INC NEW 45,990 UNCH $124
     EGHT45,990UNCH$124
PMV PHARMACEUTICALS INC 70,814 UNCH $120
     PMVP70,814UNCH$120
SCPHARMACEUTICALS INC 19,822 +19,822 $100
     SCPH19,822+19,822$100
AIRGAIN INC 15,150 -6,430 $83
     AIRG15,150-6,430$83
GLATFELTER CORPORATION 33,375 -442,301 $67
     GLT33,375-442,301$67
CULP INC 11,889 -740 $57
     CULP11,889-740$57
ORAMED PHARMACEUTICALS INC 18,659 +18,659 $54
     ORMP18,659+18,659$54
ENZO BIOCHEM INC 19,773 -52,643 $25
     ENZ19,773-52,643$25
CHENIERE ENERGY INC      $-5,487
     Put365,000UNCH$58,867
     LNG195,976+186,367$31,607
     Call135,000UNCH$21,773
AMERICAN EXPRESS CO      $-34,993
     Put250,000-250,000$56,922
     Call70,000-80,000$15,938
     AXP26,312-2,498$5,991
AMERICAN INTL GROUP INC      $-69,515
     Put2,020,000+860,000$157,903
     Call620,000+210,000$48,465
     AIG510,719-251,345$39,923
METLIFE INC      $-80,163
     Put1,780,000+350,000$131,916
     Call680,000-80,000$50,395
     MET18,326-412$1,358
PRUDENTIAL FINL INC      $-109,143
     Put1,730,000+940,000$203,102
     Call680,000+440,000$79,832
     PRU120,329+107,409$14,127
GOLDMAN SACHS GROUP INC      $-204,995
     Put635,000-75,000$265,233
     Call130,000-55,000$54,300
     GS14,216UNCH$5,938
CITIGROUP INC      $-206,702
     Put6,550,000-2,335,000$414,222
     Call3,190,000+150,000$201,736
     C91,464+36,110$5,784
BANK AMERICA CORP      $-276,661
     Put12,550,000-330,000$475,896
     Call5,000,000-180,000$189,600
     BAC254,076+58,442$9,635
JPMORGAN CHASE & CO 92,088 +6,318,157 $-848,854
     Put4,950,000-2,460,000$991,485
     Call620,000-470,000$124,186
     JPM92,088-1,843$18,445
CENCORA INC $0 (exited)
     ABC0-63,184$0
ARBUTUS BIOPHARMA CORP $0 (exited)
     ABUS0-817,574$0
AGENUS INC $0 (exited)
     AGEN0-2,306,248$0
AIR LEASE CORP $0 (exited)
     AL0-90,128$0
ALLEGIANT TRAVEL CO $0 (exited)
     ALGT0-3,543$0
AMC NETWORKS INC $0 (exited)
     AMCX0-39,895$0
ALLIENT INC $0 (exited)
     AMOT0-123,571$0
ALGONQUIN PWR UTILS CORP $0 (exited)
     AQN0-54,568$0
ARCBEST CORP $0 (exited)
     ARCB0-15,020$0
AVIAT NETWORKS INC $0 (exited)
     AVNW0-63,697$0
AXOS FINANCIAL INC $0 (exited)
     AX0-37,217$0
AZENTA INC $0 (exited)
     AZTA0-13,119$0
KE HLDGS INC $0 (exited)
     BEKE0-3,384,030$0
BRIGHTHOUSE FINL INC $0 (exited)
     BHF0-229,339$0
BERRY CORP $0 (exited)
     BRY0-125,778$0
BENTLEY SYS INC $0 (exited)
     BSY0-4,231$0
B2GOLD CORP $0 (exited)
     BTG0-556,657$0
CAMTEK LTD $0 (exited)
     CAMT0-3,523$0
CASEYS GEN STORES INC $0 (exited)
     CASY0-29,002$0
CATO CORP NEW $0 (exited)
     CATO0-16,000$0
CATHAY GEN BANCORP $0 (exited)
     CATY0-21,598$0
CYMABAY THERAPEUTICS INC $0 (exited)
     CBAY0-746,353$0
CHEMOURS CO $0 (exited)
     CC0-149,361$0
CLEAR CHANNEL OUTDOOR HLDGS $0 (exited)
     CCO0-1,844,202$0
CENTRAL GARDEN & PET CO $0 (exited)
     CENT0-3,357$0
CENTRAL GARDEN & PET CO $0 (exited)
     CENTA0-168,701$0
CEREVEL THERAPEUTICS HLDNG I $0 (exited)
     CERE0-299,891$0
COGNEX CORP $0 (exited)
     CGNX0-297,487$0
CLEAN HARBORS INC $0 (exited)
     CLH0-1,422$0
CANNAE HLDGS INC $0 (exited)
     CNNE0-201,022$0
CONSOLIDATED COMM HLDGS INC $0 (exited)
     CNSL0-54,975$0
COLUMBIA SPORTSWEAR CO $0 (exited)
     COLM0-12,446$0
CONNS INC $0 (exited)
     CONN0-57,584$0
COPA HOLDINGS SA $0 (exited)
     CPA0-65,531$0
CHESAPEAKE UTILS CORP $0 (exited)
     CPK0-14,292$0
CREDO TECHNOLOGY GROUP HOLDI $0 (exited)
     CRDO0-530,857$0
CSG SYS INTL INC $0 (exited)
     CSGS0-178,576$0
CVR ENERGY INC $0 (exited)
     CVI0-28,163$0
CURTISS WRIGHT CORP $0 (exited)
     CW0-82,867$0
CALIFORNIA WTR SVC GROUP $0 (exited)
     CWT0-15,008$0
COMMUNITY HEALTH SYS INC NEW $0 (exited)
     CYH0-115,989$0
CYTOKINETICS INC $0 (exited)
     CYTK0-554,658$0
DIODES INC $0 (exited)
     DIOD0-28,142$0
DASEKE INC $0 (exited)
     DSKE0-510,046$0
DYNE THERAPEUTICS INC $0 (exited)
     DYN0-286,644$0
ENCORE CAP GROUP INC $0 (exited)
     ECPG0-4,053$0
EQUITY RESIDENTIAL $0 (exited)
     EQR0-3,424$0
ELBIT SYS LTD $0 (exited)
     ESLT0-1,086$0
ESTABLISHMENT LABS HLDGS INC $0 (exited)
     ESTA0-30,247$0
EQUITRANS MIDSTREAM CORP $0 (exited)
     ETRN0-1,248,486$0
EVERBRIDGE INC $0 (exited)
     EVBG0-50,911$0
EXPONENT INC $0 (exited)
     EXPO0-56,510$0
FIRST AMERN FINL CORP $0 (exited)
     FAF0-16,206$0
FUTUREFUEL CORP $0 (exited)
     FF0-117,358$0
FIVE9 INC $0 (exited)
     FIVN0-837,856$0
HOMOLOGY MEDICINES INC $0 (exited)
     FIXX0-37,367$0
FLUENCE ENERGY INC $0 (exited)
     FLNC0-13,648$0
FLUENT INC $0 (exited)
     FLNT0-12,305$0
FLEETCOR TECHNOLOGIES INC $0 (exited)
     FLT0-19,621$0
FUNKO INC $0 (exited)
     FNKO0-1,209,147$0
FORTUNA SILVER MINES INC $0 (exited)
     FSM0-353,049$0
GRIFFON CORP $0 (exited)
     GFF0-91,978$0
GRUPO FINANCIERO GALICIA S.A $0 (exited)
     GGAL0-169,388$0
GRAHAM HLDGS CO $0 (exited)
     GHC0-3,066$0
GLOBUS MED INC $0 (exited)
     GMED0-55,853$0
HUDBAY MINERALS INC $0 (exited)
     HBM0-933,609$0
HOULIHAN LOKEY INC $0 (exited)
     HLI0-11,324$0
HOMESTREET INC $0 (exited)
     HMST0-119,676$0
HARMONY GOLD MINING CO LTD $0 (exited)
     HMY0-280,193$0
BLOCK H & R INC $0 (exited)
     HRB0-25,386$0
HUB GROUP INC $0 (exited)
     HUBG0-173,542$0
HUNTSMAN CORP $0 (exited)
     Call0-23,700$0
HUYA INC $0 (exited)
     HUYA0-504,625$0
HYSTER YALE MATLS HANDLING I $0 (exited)
     HY0-124,733$0
INTEGRA LIFESCIENCES HLDGS C $0 (exited)
     IART0-475,409$0
IDACORP INC $0 (exited)
     IDA0-11,726$0
INDEPENDENT BK CORP MASS $0 (exited)
     INDB0-52,627$0
INVITATION HOMES INC $0 (exited)
     INVH0-6,990$0
INTEGER HLDGS CORP $0 (exited)
     ITGR0-13,879$0
JD.COM INC $0 (exited)
     JD0-1,228,927$0
KENON HLDGS LTD $0 (exited)
     KEN0-84,586$0
KORN FERRY $0 (exited)
     KFY0-71,269$0
LAKELAND BANCORP INC $0 (exited)
     LBAI0-85,840$0
LUCID GROUP INC $0 (exited)
     LCID0-65,611$0
LCI INDS $0 (exited)
     LCII0-10,951$0
LEAR CORP $0 (exited)
     LEA0-1,426$0
LEVI STRAUSS & CO NEW $0 (exited)
     Call0-59,000$0
LITTELFUSE INC $0 (exited)
     LFUS0-7,861$0
L3HARRIS TECHNOLOGIES INC $0 (exited)
     LHX0-5,787$0
LAKELAND FINL CORP $0 (exited)
     LKFN0-18,211$0
LANTHEUS HLDGS INC $0 (exited)
     LNTH0-36,484$0
LIVEPERSON INC $0 (exited)
     LPSN0-220,408$0
LIVENT CORP $0 (exited)
     LTHM0-154,878$0
MARCUS CORP DEL $0 (exited)
     MCS0-335,302$0
M D C HLDGS INC $0 (exited)
     MDC0-40,394$0
MCGRATH RENTCORP $0 (exited)
     MGRC0-43,333$0
MONTAUK RENEWABLES INC $0 (exited)
     MNTK0-35,647$0
MOVADO GROUP INC $0 (exited)
     MOV0-157,963$0
MACOM TECH SOLUTIONS HLDGS I $0 (exited)
     MTSI0-27,774$0
MURPHY USA INC $0 (exited)
     MUSA0-12,136$0
MYR GROUP INC DEL $0 (exited)
     MYRG0-110,119$0
NAVIENT CORPORATION $0 (exited)
     NAVI0-201,495$0
NORTHEAST BK LEWISTON ME $0 (exited)
     NBN0-8,890$0
NANOSTRING TECHNOLOGIES INC $0 (exited)
     NSTG0-637,359$0
NEWELL BRANDS INC $0 (exited)
     NWL0-673,170$0
ORTHOFIX MED INC $0 (exited)
     OFIX0-568,519$0
ORMAT TECHNOLOGIES INC $0 (exited)
     ORA0-4,563$0
OLD REP INTL CORP $0 (exited)
     ORI0-111,208$0
PACIFIC BIOSCIENCES CALIF IN $0 (exited)
     PACB0-3,041,624$0
PLAINS GP HLDGS L P $0 (exited)
     PAGP0-3,772,217$0
PITNEY BOWES INC $0 (exited)
     PBI0-1,738,793$0
PETIQ INC $0 (exited)
     PETQ0-350,169$0
PLAYTIKA HLDG CORP $0 (exited)
     PLTK0-338,698$0
PORTLAND GEN ELEC CO $0 (exited)
     POR0-84,085$0
POWELL INDS INC $0 (exited)
     POWL0-28,475$0
PPL CORP $0 (exited)
     PPL0-857,311$0
PELOTON INTERACTIVE INC $0 (exited)
     PTON0-180,756$0
RYDER SYS INC $0 (exited)
     R0-20,415$0
RADIAN GROUP INC $0 (exited)
     RDN0-573,303$0
RE MAX HLDGS INC $0 (exited)
     RMAX0-154,727$0
SUNRUN INC $0 (exited)
     RUN0-33,836$0
RYANAIR HOLDINGS PLC $0 (exited)
     RYAAY0-27,804$0
SONIC AUTOMOTIVE INC $0 (exited)
     SAH0-31,482$0
SCHOLASTIC CORP $0 (exited)
     SCHL0-47,456$0
SEAWORLD ENTMT INC $0 (exited)
     SEAS0-50,951$0
SEALED AIR CORP NEW $0 (exited)
     SEE0-10,620$0
SANGAMO THERAPEUTICS INC $0 (exited)
     SGMO0-1,033,322$0
SI BONE INC $0 (exited)
     SIBN0-419,940$0
SIX FLAGS ENTMT CORP NEW $0 (exited)
     SIX0-90,641$0
SILICON LABORATORIES INC $0 (exited)
     SLAB0-10,383$0
SCHNEIDER NATIONAL INC $0 (exited)
     SNDR0-81,144$0
SPLUNK INC $0 (exited)
     SPLK0-8,090$0
SAPIENS INTL CORP N V $0 (exited)
     SPNS0-115,313$0
SHUTTERSTOCK INC $0 (exited)
     SSTK0-88,697$0
SUPERNUS PHARMACEUTICALS INC $0 (exited)
     SUPN0-36,254$0
PROTARA THERAPEUTICS INC $0 (exited)
     TARA0-15,831$0
CARROLS RESTAURANT GROUP INC $0 (exited)
     TAST0-208,448$0
BANCORP INC DEL $0 (exited)
     TBBK0-88,285$0
TRIP COM GROUP LTD $0 (exited)
     TCOM0-1,484,323$0
TEREX CORP NEW $0 (exited)
     TEX0-110,391$0
GENTHERM INC $0 (exited)
     THRM0-175,591$0
TRINET GROUP INC $0 (exited)
     TNET0-12,421$0
TURNING PT BRANDS INC $0 (exited)
     TPB0-521,980$0
TTEC HLDGS INC $0 (exited)
     TTEC0-502,505$0
TECHTARGET INC $0 (exited)
     TTGT0-116,676$0
GRUPO TELEVISA S A B $0 (exited)
     TV0-831,124$0
UNDER ARMOUR INC $0 (exited)
     UA0-283,800$0
UNITED AIRLS HLDGS INC $0 (exited)
     UAL0-271,824$0
UNITED FIRE GROUP INC $0 (exited)
     UFCS0-113,874$0
UPWORK INC $0 (exited)
     UPWK0-1,283,227$0
V F CORP $0 (exited)
     VFC0-20,554$0
VONTIER CORPORATION $0 (exited)
     VNT0-63,434$0
VIRTUS INVT PARTNERS INC $0 (exited)
     VRTS0-22,828$0
VISTRA CORP $0 (exited)
     VST0-71,217$0
VIZIO HLDG CORP $0 (exited)
     VZIO0-310,019$0
WYNDHAM HOTELS & RESORTS INC $0 (exited)
     WH0-25,010$0
CACTUS INC $0 (exited)
     WHD0-208,010$0
WESTWOOD HLDGS GROUP INC $0 (exited)
     WHG0-10,105$0
WW INTL INC $0 (exited)
     WW0-78,486$0
WYNN RESORTS LTD $0 (exited)
     WYNN0-112,256$0
XP INC $0 (exited)
     XP0-36,987$0

See Summary: Assenagon Asset Management S.A. Top Holdings
See Details: Top 10 Stocks Held By Assenagon Asset Management S.A.

EntityShares/Amount
Change
Position Value
Change
FHI +817,234+$29,518
NU +2,374,337+$28,326
PKG +126,204+$23,951
NICE +85,551+$22,296
RBLX +557,985+$21,304
BCPC +127,594+$19,771
UFPI +148,322+$18,245
ATHM +693,440+$18,182
AZN +258,304+$17,500
MNDY +74,681+$16,868
EntityShares/Amount
Change
Position Value
Change
FIVN -837,856-$65,931
PAGP -3,772,217-$60,167
BEKE -3,384,030-$54,855
TCOM -1,484,323-$53,450
CYTK -554,658-$46,308
JD -1,228,927-$35,504
PACB -3,041,624-$29,838
PPL -857,311-$23,233
IART -475,409-$20,704
UPWK -1,283,227-$19,082
EntityShares/Amount
Change
Position Value
Change
SYF +5,088,262+$221,926
PDD +5,055,169+$586,698
SU +3,783,250+$142,389
AMZN +3,687,522+$980,957
GRAB +2,870,238+$8,981
NI +2,659,551+$74,455
WMT +2,635,579+$45,738
C +2,521,110+$91,117
FATE +2,385,207+$18,095
AMD +2,359,004+$499,662
EntityShares/Amount
Change
Position Value
Change
CVE -3,270,881-$54,353
KEY -2,564,236-$35,941
CRBU -2,231,947-$12,804
PG -2,194,727-$305,335
CVS -2,001,885-$157,864
DXC -1,877,899-$43,185
MRO -1,867,793-$43,028
ABBV -1,826,351-$274,415
FGEN -1,798,009-$966
Size ($ in 1000's)
At 03/31/2024: $42,244,118
At 12/31/2023: $37,674,518

Assenagon Asset Management S.A. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Assenagon Asset Management S.A. 13F filings. Link to 13F filings: SEC filings

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