HoldingsChannel.com
All Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
TORONTO DOMINION BK ONT 4,075,174 -2,267,431 $173,364
     TD4,075,174-2,267,431$173,364
ROYAL BK CDA 2,483,486 -934,269 $153,930
     RY2,483,486-934,269$153,930
ALIBABA GROUP HLDG LTD 789,500 -417,375 $153,542
     BABA789,500-417,375$153,542
MICROSOFT CORP 805,654 -1,556,021 $127,060
     MSFT805,654-1,556,021$127,060
APPLE INC 486,038 -580,373 $123,595
     AAPL486,038-580,373$123,595
MASTERCARD INC 462,599 -54,405 $111,745
     MA462,599-54,405$111,745
UNITEDHEALTH GROUP INC 405,012 -146,998 $101,002
     UNH405,012-146,998$101,002
FIDELITY NATL INFORMATION SV 825,197 +21,791 $100,377
     FIS825,197+21,791$100,377
BROOKFIELD ASSET MGMT INC 2,176,831 -394,920 $96,553
     BAM2,176,831-394,920$96,553
CANADIAN NATL RY CO 1,151,298 -461,041 $90,073
     CNI1,151,298-461,041$90,073
AMAZON COM INC 46,100 -125,338 $89,882
     AMZN46,100-125,338$89,882
CVS HEALTH CORP 1,509,309 +380,276 $89,547
     CVS1,509,309+380,276$89,547
ELECTRONIC ARTS INC 835,972 +101,463 $83,739
     EA835,972+101,463$83,739
TC ENERGY CORP 1,745,806 -477,929 $77,646
     TRP1,745,806-477,929$77,646
ENBRIDGE INC 2,635,193 -928,198 $76,785
     ENB2,635,193-928,198$76,785
BANK NOVA SCOTIA B C 1,825,383 -948,752 $74,592
     BNS1,825,383-948,752$74,592
EVOQUA WATER TECHNOLOGIES CO 5,781,968 -2,000,000 $74,298
     AQUA5,781,968-2,000,000$74,298
ISHARES TR (IWM) 591,000 +8,000 $67,646
     IWM591,000+8,000$67,646
BOOKING HLDGS INC 49,565 +12,927 $66,681
     BKNG49,565+12,927$66,681
INTERNATIONAL FLAVORS&FRAGRA 652,364 +155,235 $66,593
     IFF652,364+155,235$66,593
NIKE INC 791,172 -149,432 $65,462
     NKE791,172-149,432$65,462
CANADIAN PAC RY LTD 288,122 -43,129 $63,621
     CP288,122-43,129$63,621
SHOPIFY INC 146,305 -11,075 $61,337
     SHOP146,305-11,075$61,337
CERNER CORP 916,457 +83,369 $57,728
     CERN916,457+83,369$57,728
TE CONNECTIVITY LTD 911,584 +147,350 $57,412
     TEL911,584+147,350$57,412
FORTIS INC 1,457,712 -187,410 $56,250
     FTS1,457,712-187,410$56,250
WASTE CONNECTIONS INC 704,103 -305,595 $54,666
     WCN704,103-305,595$54,666
MANULIFE FINL CORP 4,251,853 -826,717 $53,421
     MFC4,251,853-826,717$53,421
FACEBOOK INC 289,039 -771,393 $48,212
     FB289,039-771,393$48,212
TELUS CORPORATION 3,038,042 +1,236,497 $48,064
     TU3,038,042+1,236,497$48,064
ACCENTURE PLC IRELAND 293,325 -58,540 $47,888
     ACN293,325-58,540$47,888
TRANE TECHNOLOGIES PLC 575,803 +575,803 $47,556
     TT575,803+575,803$47,556
SUNCOR ENERGY INC NEW 2,734,412 -1,407,247 $43,668
     SU2,734,412-1,407,247$43,668
FRANCO NEVADA CORP 427,833 -5,085 $42,775
     FNV427,833-5,085$42,775
ALPHABET INC 36,245 -39,117 $42,115
     GOOGL36,245-39,117$42,115
LHC GROUP INC 297,543 -158,207 $41,716
     LHCG297,543-158,207$41,716
LAUDER ESTEE COS INC 261,439 +34,003 $41,658
     EL261,439+34,003$41,658
CGI INC 764,756 -124,825 $41,430
     GIB764,756-124,825$41,430
ALPHABET INC 33,822 -59,945 $39,329
     GOOG33,822-59,945$39,329
CHEMED CORP NEW 89,050 -34,311 $38,576
     CHE89,050-34,311$38,576
PREMIER INC 1,171,170 +92,269 $38,321
     PINC1,171,170+92,269$38,321
JOHNSON & JOHNSON 287,877 -434,899 $37,749
     JNJ287,877-434,899$37,749
GARTNER INC 347,503 -8,737 $34,601
     IT347,503-8,737$34,601
TEXAS INSTRS INC 322,779 -112,427 $32,255
     TXN322,779-112,427$32,255
VISA INC 193,133 -214,388 $31,118
     V193,133-214,388$31,118
JPMORGAN CHASE & CO 343,072 -411,453 $30,887
     JPM343,072-411,453$30,887
SERVICE CORP INTL 771,275 -141,975 $30,165
     SCI771,275-141,975$30,165
PROCTER & GAMBLE CO 272,775 -317,783 $30,005
     PG272,775-317,783$30,005
WHEATON PRECIOUS METALS CORP 1,060,772 -298,007 $29,212
     WPM1,060,772-298,007$29,212
BCE INC 705,800 -432,210 $28,972
     BCE705,800-432,210$28,972
ECOLAB INC 185,082 -198,304 $28,841
     ECL185,082-198,304$28,841
AGNICO EAGLE MINES LTD 721,488 -50,328 $28,821
     AEM721,488-50,328$28,821
BROOKFIELD INFRAST PARTNERS 775,087 +478,147 $28,162
     BIP775,087+478,147$28,162
ISHARES TR (IYW) 130,500 +65,600 $26,673
     IYW130,500+65,600$26,673
BERKSHIRE HATHAWAY INC DEL      $26,284
     BRK.B143,761-858,682$26,284
INTEL CORP 475,820 -929,094 $25,751
     INTC475,820-929,094$25,751
OPEN TEXT CORP 709,494 -434,872 $24,825
     OTEX709,494-434,872$24,825
VERIZON COMMUNICATIONS INC 452,400 -523,591 $24,307
     VZ452,400-523,591$24,307
AT&T INC 799,089 -925,177 $23,293
     T799,089-925,177$23,293
HOME DEPOT INC 119,336 -214,119 $22,281
     HD119,336-214,119$22,281
CISCO SYS INC 550,174 -595,214 $21,627
     CSCO550,174-595,214$21,627
SUN LIFE FINL INC 668,283 -406,657 $21,511
     SLF668,283-406,657$21,511
BANK MONTREAL 424,479 -476,829 $21,447
     BMO424,479-476,829$21,447
MERCK & CO. INC 278,494 -325,701 $21,427
     MRK278,494-325,701$21,427
COMCAST CORP NEW 583,501 -573,687 $20,061
     CMCSA583,501-573,687$20,061
BK OF AMERICA CORP 934,719 -1,151,978 $19,844
     BAC934,719-1,151,978$19,844
PFIZER INC 605,346 -699,841 $19,758
     PFE605,346-699,841$19,758
COCA COLA CO 445,227 -513,355 $19,701
     KO445,227-513,355$19,701
SPDR S&P 500 ETF TR (SPY) 75,338 -114,500 $19,418
     SPY75,338-114,500$19,418
PTC INC 315,594 +72,964 $19,318
     PTC315,594+72,964$19,318
BARRICK GOLD CORPORATION 1,040,968 -1,086,912 $19,141
     GOLD1,040,968-1,086,912$19,141
DISNEY WALT CO 197,154 -377,925 $19,045
     DIS197,154-377,925$19,045
PEPSICO INC 152,529 -177,403 $18,319
     PEP152,529-177,403$18,319
NETFLIX INC 47,947 -55,370 $18,004
     NFLX47,947-55,370$18,004
WALMART INC 155,573 -181,247 $17,676
     WMT155,573-181,247$17,676
EXXON MOBIL CORP 462,809 -535,625 $17,573
     XOM462,809-535,625$17,573
ADOBE INC 52,953 -61,598 $16,852
     ADBE52,953-61,598$16,852
NVIDIA CORP 63,605 -72,917 $16,766
     NVDA63,605-72,917$16,766
ABBOTT LABS 193,378 -223,682 $15,259
     ABT193,378-223,682$15,259
CHEVRON CORP NEW 206,764 -241,214 $14,982
     CVX206,764-241,214$14,982
TPI COMPOSITES INC 987,500 +52,500 $14,595
     TPIC987,500+52,500$14,595
BRISTOL MYERS SQUIBB CO 256,332 -296,911 $14,288
     BMY256,332-296,911$14,288
ROGERS COMMUNICATIONS INC 340,886 -730,119 $14,238
     RCI340,886-730,119$14,238
CANADIAN IMP BK COMM 240,489 -236,853 $14,022
     CM240,489-236,853$14,022
COSTCO WHSL CORP NEW 48,309 -55,469 $13,774
     COST48,309-55,469$13,774
MCDONALDS CORP 82,349 -246,860 $13,616
     MCD82,349-246,860$13,616
JD COM INC 335,600 -600 $13,592
     JD335,600-600$13,592
MEDTRONIC PLC 146,568 -170,032 $13,218
     MDT146,568-170,032$13,218
AMGEN INC 65,054 -76,459 $13,188
     AMGN65,054-76,459$13,188
LILLY ELI & CO 94,608 -110,427 $13,124
     LLY94,608-110,427$13,124
SALESFORCE COM INC 91,103 -105,498 $13,117
     CRM91,103-105,498$13,117
NEXTERA ENERGY INC 53,513 -59,542 $12,876
     NEE53,513-59,542$12,876
WELLS FARGO CO NEW 439,349 -1,061,146 $12,609
     WFC439,349-1,061,146$12,609
BAIDU INC 124,550 -1,400 $12,553
     BIDU124,550-1,400$12,553
THERMO FISHER SCIENTIFIC INC 43,848 -50,653 $12,435
     TMO43,848-50,653$12,435
PHILIP MORRIS INTL INC 170,342 -196,796 $12,428
     PM170,342-196,796$12,428
ABBVIE INC 161,906 -186,978 $12,336
     ABBV161,906-186,978$12,336
UNION PAC CORP 87,155 -79,096 $12,292
     UNP87,155-79,096$12,292
ORACLE CORP 251,571 -299,447 $12,158
     ORCL251,571-299,447$12,158
PAYPAL HLDGS INC 122,128 -141,654 $11,693
     PYPL122,128-141,654$11,693
ALGONQUIN PWR UTILS CORP 862,032 -181,174 $11,615
     AQN862,032-181,174$11,615
INTERNATIONAL BUSINESS MACHS 96,965 -112,078 $10,756
     IBM96,965-112,078$10,756
AMERICAN TOWER CORP NEW 48,497 -55,965 $10,560
     AMT48,497-55,965$10,560
HONEYWELL INTL INC 78,233 -91,551 $10,467
     HON78,233-91,551$10,467
NETEASE INC 32,300 UNCH $10,367
     NTES32,300UNCH$10,367
GILEAD SCIENCES INC 138,514 -160,336 $10,355
     GILD138,514-160,336$10,355
CIGNA CORP NEW 58,400 -38,867 $10,347
     CI58,400-38,867$10,347
WEST PHARMACEUTICAL SVSC INC 67,897 +44,519 $10,337
     WST67,897+44,519$10,337
BROADCOM INC 43,431 -50,503 $10,297
     AVGO43,431-50,503$10,297
LINDE PLC 58,814 -68,751 $10,175
     LIN58,814-68,751$10,175
CITIGROUP INC 239,023 -2,914,844 $10,068
     C239,023-2,914,844$10,068
KIRKLAND LAKE GOLD LTD 337,474 -160,649 $9,946
     KL337,474-160,649$9,946
MAGNA INTL INC 308,411 -128,509 $9,848
     MGA308,411-128,509$9,848
GRANITE REAL ESTATE INVT TR      $9,629
     GRP.U232,965-98,485$9,629
DANAHER CORPORATION 68,523 -78,959 $9,484
     DHR68,523-78,959$9,484
LOCKHEED MARTIN CORP 27,796 -32,178 $9,421
     LMT27,796-32,178$9,421
TAL EDUCATION GROUP 174,900 -700 $9,315
     TAL174,900-700$9,315
LOWES COS INC 106,720 -76,396 $9,183
     LOW106,720-76,396$9,183
UNITED PARCEL SERVICE INC 95,588 -79,612 $8,930
     UPS95,588-79,612$8,930
TYLER TECHNOLOGIES INC 29,668 +9,277 $8,798
     TYL29,668+9,277$8,798
AMERICOLD RLTY TR 258,000 +139,300 $8,782
     COLD258,000+139,300$8,782
CABLE ONE INC 5,325 +3,300 $8,754
     CABO5,325+3,300$8,754
BOEING CO 58,555 -616,590 $8,733
     BA58,555-616,590$8,733
NUTRIEN LTD 251,672 -382,580 $8,609
     NTR251,672-382,580$8,609
3M CO 62,962 -147,788 $8,595
     MMM62,962-147,788$8,595
BROOKFIELD RENEWABLE PARTNER 203,055 -36,402 $8,546
     BEP203,055-36,402$8,546
STARBUCKS CORP 129,305 -261,060 $8,501
     SBUX129,305-261,060$8,501
UNITED TECHNOLOGIES CORP 89,774 -203,651 $8,468
     UTX89,774-203,651$8,468
QUALCOMM INC 125,014 -161,849 $8,457
     QCOM125,014-161,849$8,457
BLACK KNIGHT INC 144,961 +109,716 $8,416
     BKI144,961+109,716$8,416
OLD DOMINION FREIGHT LINE IN 63,680 +29,598 $8,359
     ODFL63,680+29,598$8,359
HAEMONETICS CORP 83,800 +56,700 $8,352
     HAE83,800+56,700$8,352
CANADIAN NAT RES LTD 602,654 -1,461,401 $8,249
     CNQ602,654-1,461,401$8,249
ALTRIA GROUP INC 204,532 -236,290 $7,909
     MO204,532-236,290$7,909
MONDELEZ INTL INC 157,642 -182,668 $7,895
     MDLZ157,642-182,668$7,895
STARS GROUP INC 383,123 -68,856 $7,840
     TSG383,123-68,856$7,840
RESTAURANT BRANDS INTL INC 193,681 -228,490 $7,810
     QSR193,681-228,490$7,810
DESCARTES SYS GROUP INC 226,735 -24,073 $7,805
     DSGX226,735-24,073$7,805
TESLA INC 14,808 -16,893 $7,759
     TSLA14,808-16,893$7,759
SPDR SER TR (XRT) 259,900 +59,700 $7,740
     XRT259,900+59,700$7,740
PEMBINA PIPELINE CORP 405,842 -471,178 $7,618
     PBA405,842-471,178$7,618
GENERAL ELECTRIC CO 956,484 -1,102,884 $7,594
     GE956,484-1,102,884$7,594
CHEGG INC 210,400 +128,200 $7,528
     CHGG210,400+128,200$7,528
INDEPENDENT BANK CORP MASS 111,700 +65,700 $7,190
     INDB111,700+65,700$7,190
CHARTER COMMUNICATIONS INC N 16,468 -20,115 $7,185
     CHTR16,468-20,115$7,185
IAA INC 239,300 +161,100 $7,169
     IAA239,300+161,100$7,169
CATERPILLAR INC DEL 60,530 -72,226 $7,024
     CAT60,530-72,226$7,024
NEW ORIENTAL ED & TECH GRP I 64,700 -100 $7,003
     EDU64,700-100$7,003
YUM CHINA HLDGS INC 162,100 -1,000 $6,910
     YUMC162,100-1,000$6,910
BECTON DICKINSON & CO 29,621 -34,080 $6,806
     BDX29,621-34,080$6,806
PROSPERITY BANCSHARES INC (PB) 140,900 +86,000 $6,798
     PB140,900+86,000$6,798
CME GROUP INC 39,252 -45,248 $6,787
     CME39,252-45,248$6,787
VERTEX PHARMACEUTICALS INC 28,170 -32,483 $6,703
     VRTX28,170-32,483$6,703
SHAW COMMUNICATIONS INC 408,896 -256,463 $6,638
     SJR408,896-256,463$6,638
CROWN CASTLE INTL CORP NEW 45,536 -52,571 $6,575
     CCI45,536-52,571$6,575
S&P GLOBAL INC 26,769 -31,350 $6,560
     SPGI26,769-31,350$6,560
INTUIT 28,510 -32,860 $6,557
     INTU28,510-32,860$6,557
AMERICAN EXPRESS CO 76,177 -90,237 $6,522
     AXP76,177-90,237$6,522
DOMINION ENERGY INC 90,145 -103,805 $6,508
     D90,145-103,805$6,508
REALPAGE INC 122,700 +102,900 $6,495
     RP122,700+102,900$6,495
DUKE ENERGY CORP NEW 80,255 -91,675 $6,491
     DUK80,255-91,675$6,491
PROLOGIS INC. 80,754 -68,176 $6,490
     PLD80,754-68,176$6,490
AUTOMATIC DATA PROCESSING IN 47,391 -55,007 $6,477
     ADP47,391-55,007$6,477
WASTE MGMT INC DEL 69,684 -30,376 $6,450
     WM69,684-30,376$6,450
ALLERGAN PLC 35,955 -1,262,476 $6,368
     AGN35,955-1,262,476$6,368
TJX COS INC NEW 132,404 -152,873 $6,330
     TJX132,404-152,873$6,330
ANTHEM INC 27,772 -32,593 $6,305
     ANTM27,772-32,593$6,305
INTUITIVE SURGICAL INC 12,661 -14,535 $6,270
     ISRG12,661-14,535$6,270
BIOGEN INC 19,768 -23,756 $6,254
     BIIB19,768-23,756$6,254
B2GOLD CORP 2,063,710 -302,317 $6,251
     BTG2,063,710-302,317$6,251
SOUTHERN CO 114,858 -131,790 $6,218
     SO114,858-131,790$6,218
RITCHIE BROS AUCTIONEERS 181,056 -28,761 $6,205
     RBA181,056-28,761$6,205
LAMB WESTON HLDGS INC 108,479 +46,152 $6,194
     LW108,479+46,152$6,194
L3HARRIS TECHNOLOGIES INC 34,257 -18,406 $6,170
     LHX34,257-18,406$6,170
STRYKER CORP 36,906 -42,544 $6,144
     SYK36,906-42,544$6,144
ZOETIS INC 52,166 -60,524 $6,139
     ZTS52,166-60,524$6,139
FISERV INC 63,293 -73,037 $6,012
     FISV63,293-73,037$6,012
WATTS WATER TECHNOLOGIES INC 71,000 +35,000 $6,010
     WTS71,000+35,000$6,010
ALLEGION PLC 64,865 +18,062 $5,969
     ALLE64,865+18,062$5,969
SERVICENOW INC 20,666 -23,569 $5,922
     NOW20,666-23,569$5,922
COLGATE PALMOLIVE CO 89,171 -103,173 $5,917
     CL89,171-103,173$5,917
NEOGENOMICS INC 213,600 +116,200 $5,897
     NEO213,600+116,200$5,897
XYLEM INC 89,947 -467,475 $5,858
     XYL89,947-467,475$5,858
EQUINIX INC 9,348 -20,666 $5,838
     EQIX9,348-20,666$5,838
CHARLES RIV LABS INTL INC 45,700 +24,400 $5,768
     CRL45,700+24,400$5,768
US BANCORP DEL 162,504 -190,758 $5,598
     USB162,504-190,758$5,598
BLACKROCK INC 12,679 -14,676 $5,578
     BLK12,679-14,676$5,578
CHUBB LIMITED 49,637 -57,908 $5,544
     CB49,637-57,908$5,544
CAE INC 437,279 -79,074 $5,531
     CAE437,279-79,074$5,531
FOUR CORNERS PPTY TR INC 288,400 +279,600 $5,396
     FCPT288,400+279,600$5,396
GOLDMAN SACHS GROUP INC 34,905 -141,457 $5,396
     GS34,905-141,457$5,396
NORTHROP GRUMMAN CORP 17,538 -20,391 $5,306
     NOC17,538-20,391$5,306
ADVANCED MICRO DEVICES INC 115,841 -127,395 $5,268
     AMD115,841-127,395$5,268
SIMPSON MANUFACTURING CO INC 84,700 +44,100 $5,250
     SSD84,700+44,100$5,250
TARGET CORP 55,499 -65,066 $5,160
     TGT55,499-65,066$5,160
NATIONAL RETAIL PROPERTIES I 159,176 +71,945 $5,124
     NNN159,176+71,945$5,124
LINCOLN ELEC HLDGS INC 74,200 +41,300 $5,120
     LECO74,200+41,300$5,120
MICRON TECHNOLOGY INC 121,291 -139,178 $5,101
     MU121,291-139,178$5,101
TRIP COM GROUP LTD 214,500 UNCH $5,030
     TCOM214,500UNCH$5,030
BANK HAWAII CORP 90,700 +48,300 $5,010
     BOH90,700+48,300$5,010
ACTIVISION BLIZZARD INC 84,187 -96,725 $5,007
     ATVI84,187-96,725$5,007
ILLINOIS TOOL WKS INC 35,195 -41,137 $5,002
     ITW35,195-41,137$5,002
MSA SAFETY INC 49,300 +21,300 $4,989
     MSA49,300+21,300$4,989
BOSTON SCIENTIFIC CORP 152,631 -176,075 $4,980
     BSX152,631-176,075$4,980
PAN AMERN SILVER CORP 344,713 -61,796 $4,963
     PAAS344,713-61,796$4,963
INTERCONTINENTAL EXCHANGE IN (ICE) 60,975 -71,267 $4,924
     ICE60,975-71,267$4,924
BAUSCH HEALTH COS INC 313,690 -196,284 $4,865
     BHC313,690-196,284$4,865
AIR PRODS & CHEMS INC 24,144 -27,853 $4,819
     APD24,144-27,853$4,819
KIMBERLY CLARK CORP 37,546 -43,637 $4,801
     KMB37,546-43,637$4,801
MARSH & MCLENNAN COS INC 55,262 -64,214 $4,778
     MMC55,262-64,214$4,778
GLOBAL PMTS INC 32,912 -37,889 $4,747
     GPN32,912-37,889$4,747
PROS HOLDINGS INC 152,500 +126,600 $4,732
     PRO152,500+126,600$4,732
PROGRESSIVE CORP OHIO 64,019 -73,876 $4,727
     PGR64,019-73,876$4,727
DOLLAR GEN CORP NEW 31,290 -29,342 $4,725
     DG31,290-29,342$4,725
TECK RESOURCES LTD 621,501 -272,291 $4,715
     TECK621,501-272,291$4,715
INTER PARFUMS INC 101,100 +62,300 $4,686
     IPAR101,100+62,300$4,686
STANTEC INC 182,496 -32,781 $4,671
     STN182,496-32,781$4,671
APPLIED MATLS INC 101,154 -116,827 $4,635
     AMAT101,154-116,827$4,635
CSX CORP 80,898 -98,033 $4,635
     CSX80,898-98,033$4,635
PNC FINL SVCS GROUP INC 47,979 -57,090 $4,593
     PNC47,979-57,090$4,593
HUMANA INC 14,487 -17,390 $4,549
     HUM14,487-17,390$4,549
TRUIST FINL CORP 146,859 -169,598 $4,529
     TFC146,859-169,598$4,529
DEERE & CO 32,755 -37,831 $4,525
     DE32,755-37,831$4,525
MORGAN STANLEY 132,929 -159,578 $4,520
     MS132,929-159,578$4,520
SELECT SECTOR SPDR TR (XLF) 214,968 +214,968 $4,476
     XLF214,968+214,968$4,476
CREDICORP LTD 30,820 -54,594 $4,409
     BAP30,820-54,594$4,409
THOMSON REUTERS CORP 64,638 -99,969 $4,407
     TRI64,638-99,969$4,407
ILLUMINA INC 16,082 -18,606 $4,392
     ILMN16,082-18,606$4,392
AON PLC 25,611 -30,014 $4,380
     AON25,611-30,014$4,380
FIRSTSERVICE CORP NEW 56,505 -10,165 $4,360
     FSV56,505-10,165$4,360
YAMANA GOLD INC 1,562,886 -280,349 $4,345
     AUY1,562,886-280,349$4,345
AMERICAN ELEC PWR CO INC 54,087 -62,379 $4,326
     AEP54,087-62,379$4,326
REGENERON PHARMACEUTICALS 8,856 -10,245 $4,324
     REGN8,856-10,245$4,324
BAXTER INTL INC 53,051 -61,348 $4,307
     BAX53,051-61,348$4,307
EDWARDS LIFESCIENCES CORP 22,815 -26,259 $4,303
     EW22,815-26,259$4,303
SCHWAB CHARLES CORP 126,222 -151,393 $4,244
     SCHW126,222-151,393$4,244
SHERWIN WILLIAMS CO 9,089 -10,504 $4,177
     SHW9,089-10,504$4,177
NORFOLK SOUTHERN CORP 28,521 -33,635 $4,164
     NSC28,521-33,635$4,164
BROOKFIELD INFRASTRUCTURE CO 116,996 +116,996 $4,100
     BIPC116,996+116,996$4,100
NEWMONT CORP 89,669 -103,712 $4,060
     NEM89,669-103,712$4,060
PORTLAND GEN ELEC CO 84,400 +84,400 $4,046
     POR84,400+84,400$4,046
DIGITAL RLTY TR INC 28,757 -20,338 $3,995
     DLR28,757-20,338$3,995
RAYTHEON CO 30,462 -35,264 $3,995
     RTN30,462-35,264$3,995
MOODYS CORP 18,589 -21,573 $3,932
     MCO18,589-21,573$3,932
ZTO EXPRESS CAYMAN INC 148,200 UNCH $3,924
     ZTO148,200UNCH$3,924
EXELON CORP 106,323 -122,837 $3,911
     EXC106,323-122,837$3,911
LAM RESEARCH CORP 15,871 -18,218 $3,809
     LRCX15,871-18,218$3,809
WALGREENS BOOTS ALLIANCE INC 82,997 -98,067 $3,797
     WBA82,997-98,067$3,797
CENTENE CORP DEL 63,861 -33,603 $3,794
     CNC63,861-33,603$3,794
AUTODESK INC 24,020 -27,779 $3,750
     ADSK24,020-27,779$3,750
CONOCOPHILLIPS 120,013 -141,952 $3,696
     COP120,013-141,952$3,696
COGNIZANT TECHNOLOGY SOLUTIO 78,190 -205,820 $3,633
     CTSH78,190-205,820$3,633
ANALOG DEVICES INC 40,285 -46,843 $3,612
     ADI40,285-46,843$3,612
GENERAL DYNAMICS CORP 26,899 -31,009 $3,559
     GD26,899-31,009$3,559
ONE GAS INC 42,500 +42,500 $3,554
     OGS42,500+42,500$3,554
ROPER TECHNOLOGIES INC 11,383 -13,146 $3,549
     ROP11,383-13,146$3,549
EATON CORP PLC 45,216 -53,845 $3,513
     ETN45,216-53,845$3,513
GENERAL MLS INC 66,106 -76,234 $3,488
     GIS66,106-76,234$3,488
SEMPRA ENERGY 30,834 -33,921 $3,484
     SRE30,834-33,921$3,484
IHS MARKIT LTD 57,692 -32,099 $3,462
     INFO57,692-32,099$3,462
AUTOZONE INC 4,090 -1,695 $3,460
     AZO4,090-1,695$3,460
XCEL ENERGY INC 57,356 -64,114 $3,459
     XEL57,356-64,114$3,459
ROSS STORES INC 39,566 -46,451 $3,441
     ROST39,566-46,451$3,441
PUBLIC STORAGE 17,198 -19,864 $3,416
     PSA17,198-19,864$3,416
SBA COMMUNICATIONS CORP NEW 12,318 -24,334 $3,325
     SBAC12,318-24,334$3,325
FEDEX CORP 27,113 -31,338 $3,288
     FDX27,113-31,338$3,288
BLACKSTONE GROUP INC 72,118 -83,883 $3,286
     BX72,118-83,883$3,286
ALLSTATE CORP 35,434 -42,209 $3,250
     ALL35,434-42,209$3,250
ALAMOS GOLD INC NEW 643,629 -115,076 $3,236
     AGI643,629-115,076$3,236
PINDUODUO INC 88,400 UNCH $3,185
     PDD88,400UNCH$3,185
EMERSON ELEC CO 66,628 -78,450 $3,175
     EMR66,628-78,450$3,175
T MOBILE US INC 37,433 -43,107 $3,141
     TMUS37,433-43,107$3,141
VIPSHOP HLDGS LTD 200,000 UNCH $3,116
     VIPS200,000UNCH$3,116
ZEBRA TECHNOLOGIES CORP 16,919 +4,167 $3,106
     ZBRA16,919+4,167$3,106
KINDER MORGAN INC DEL 222,951 -257,600 $3,103
     KMI222,951-257,600$3,103
BANK NEW YORK MELLON CORP 90,779 -109,324 $3,057
     BK90,779-109,324$3,057
TFI INTL INC 137,911 +137,911 $3,045
     TFII137,911+137,911$3,045
WEC ENERGY GROUP INC 34,503 -39,828 $3,041
     WEC34,503-39,828$3,041
GENERAL MTRS CO 140,643 -162,429 $2,923
     GM140,643-162,429$2,923
NOVAGOLD RES INC 392,400 -71,112 $2,896
     NG392,400-71,112$2,896
WESTERN ALLIANCE BANCORP 94,000 +43,900 $2,877
     WAL94,000+43,900$2,877
BROOKFIELD PROPERTY PARTRS L 353,797 -368,991 $2,858
     BPY353,797-368,991$2,858
CONSOLIDATED EDISON INC 36,361 -41,978 $2,836
     ED36,361-41,978$2,836
HP INC 162,082 -187,445 $2,814
     HPQ162,082-187,445$2,814
TRAVELERS COMPANIES INC 28,233 -33,181 $2,805
     TRV28,233-33,181$2,805
KINROSS GOLD CORP 691,213 -785,025 $2,777
     KGC691,213-785,025$2,777
EVERSOURCE ENERGY 35,413 -40,842 $2,770
     ES35,413-40,842$2,770
DUPONT DE NEMOURS INC 81,026 -94,889 $2,763
     DD81,026-94,889$2,763
AFLAC INC 80,283 -94,345 $2,749
     AFL80,283-94,345$2,749
DEXCOM INC 10,014 -11,473 $2,696
     DXCM10,014-11,473$2,696
MSCI INC 9,268 -10,690 $2,678
     MSCI9,268-10,690$2,678
HCA HEALTHCARE INC 29,680 -34,659 $2,667
     HCA29,680-34,659$2,667
KROGER CO 87,677 -100,558 $2,641
     KR87,677-100,558$2,641
UNIVAR SOLUTIONS INC 246,000 +246,000 $2,637
     UNVR246,000+246,000$2,637
CONSTELLATION BRANDS INC 18,323 -21,121 $2,627
     STZ18,323-21,121$2,627
METLIFE INC 85,496 -702,245 $2,614
     MET85,496-702,245$2,614
PHILLIPS 66 48,602 -57,242 $2,607
     PSX48,602-57,242$2,607
BRP INC 157,720 +8,575 $2,575
     DOOO157,720+8,575$2,575
CAPITAL ONE FINL CORP 50,939 -60,047 $2,568
     COF50,939-60,047$2,568
PRIMO WATER CORPORATION 282,218 +282,218 $2,563
     PRMW282,218+282,218$2,563
EBAY INC 84,530 -103,239 $2,541
     EBAY84,530-103,239$2,541
EQUITY RESIDENTIAL 40,619 -46,850 $2,507
     EQR40,619-46,850$2,507
SYNOPSYS INC 19,441 -15,973 $2,504
     SNPS19,441-15,973$2,504
PRICE T ROWE GROUP INC 25,560 -29,949 $2,496
     TROW25,560-29,949$2,496
O REILLY AUTOMOTIVE INC NEW 8,280 -9,765 $2,493
     ORLY8,280-9,765$2,493
MOTOROLA SOLUTIONS INC 18,744 -20,267 $2,491
     MSI18,744-20,267$2,491
PUBLIC SVC ENTERPRISE GRP IN 55,315 -63,944 $2,484
     PEG55,315-63,944$2,484
MONSTER BEVERAGE CORP NEW 44,109 -52,190 $2,482
     MNST44,109-52,190$2,482
KLA CORPORATION 17,261 -20,266 $2,481
     KLAC17,261-20,266$2,481
AGILENT TECHNOLOGIES INC 33,850 -39,074 $2,424
     A33,850-39,074$2,424
SYSCO CORP 53,018 -61,968 $2,419
     SYY53,018-61,968$2,419
TRANSALTA CORP 461,965 -84,089 $2,418
     TAC461,965-84,089$2,418
ISHARES TR (EFA) 44,959 -201,000 $2,404
     EFA44,959-201,000$2,404
MERCADOLIBRE INC 4,897 -5,644 $2,393
     MELI4,897-5,644$2,393
MCKESSON CORP 17,688 -25,883 $2,392
     MCK17,688-25,883$2,392
WILLIS TOWERS WATSON PLC LTD 14,065 -16,332 $2,389
     WLTW14,065-16,332$2,389
CLOROX CO DEL 13,730 -15,900 $2,379
     CLX13,730-15,900$2,379
VERISK ANALYTICS INC 17,028 -19,574 $2,373
     VRSK17,028-19,574$2,373
DOW INC 81,101 -94,194 $2,371
     DOW81,101-94,194$2,371
FIRSTENERGY CORP 59,098 -68,147 $2,368
     FE59,098-68,147$2,368
AMPHENOL CORP NEW 32,431 -37,725 $2,364
     APH32,431-37,725$2,364
AMERICAN WTR WKS CO INC NEW 19,774 -98,134 $2,364
     AWK19,774-98,134$2,364
COSTAR GROUP INC 4,010 -4,602 $2,355
     CSGP4,010-4,602$2,355
HELEN OF TROY CORP LTD 16,300 +16,300 $2,348
     HELE16,300+16,300$2,348
WORKDAY INC 17,940 -20,706 $2,336
     WDAY17,940-20,706$2,336
RESMED INC 15,729 -18,126 $2,317
     RMD15,729-18,126$2,317
PACCAR INC 37,832 -43,789 $2,313
     PCAR37,832-43,789$2,313
SSR MNG INC 202,237 -36,281 $2,308
     SSRM202,237-36,281$2,308
AMERICAN INTL GROUP INC 95,151 -110,026 $2,307
     AIG95,151-110,026$2,307
ENERPLUS CORP 1,564,661 -1,819,246 $2,303
     ERF1,564,661-1,819,246$2,303
LULULEMON ATHLETICA INC 12,115 -13,978 $2,296
     LULU12,115-13,978$2,296
PRUDENTIAL FINL INC 43,972 -50,843 $2,293
     PRU43,972-50,843$2,293
BROOKFIELD BUSINESS PARTNERS 90,576 -16,249 $2,292
     BBU90,576-16,249$2,292
EOG RES INC 63,632 -73,317 $2,286
     EOG63,632-73,317$2,286
JOHNSON CTLS INTL PLC 84,373 -103,303 $2,275
     JCI84,373-103,303$2,275
IDEXX LABS INC 9,386 -10,900 $2,274
     IDXX9,386-10,900$2,274
MARRIOTT INTL INC NEW 30,399 -35,630 $2,274
     MAR30,399-35,630$2,274
ZIMMER BIOMET HOLDINGS INC 22,499 -25,926 $2,274
     ZBH22,499-25,926$2,274
YUM BRANDS INC 33,085 -38,684 $2,267
     YUM33,085-38,684$2,267
COLLIERS INTL GROUP INC 47,276 -8,554 $2,263
     CIGI47,276-8,554$2,263
VEEVA SYS INC 14,390 -16,261 $2,250
     VEEV14,390-16,261$2,250
AVALONBAY CMNTYS INC 15,278 -17,661 $2,248
     AVB15,278-17,661$2,248
PAYCHEX INC 35,237 -40,973 $2,217
     PAYX35,237-40,973$2,217
PNM RES INC 58,000 +58,000 $2,204
     PNM58,000+58,000$2,204
BALL CORP 33,992 -40,331 $2,198
     BLL33,992-40,331$2,198
ISHARES TR (EUFN) 173,836 +173,836 $2,178
     EUFN173,836+173,836$2,178
ALEXION PHARMACEUTICALS INC 24,206 -28,631 $2,173
     ALXN24,206-28,631$2,173
PPG INDS INC 25,865 -210,445 $2,162
     PPG25,865-210,445$2,162
CUMMINS INC 15,922 -19,400 $2,155
     CMI15,922-19,400$2,155
HERSHEY CO 16,225 -18,877 $2,150
     HSY16,225-18,877$2,150
EDISON INTL 39,224 -45,158 $2,149
     EIX39,224-45,158$2,149
XILINX INC 27,507 -32,018 $2,144
     XLNX27,507-32,018$2,144
ARCHER DANIELS MIDLAND CO 60,889 -70,359 $2,142
     ADM60,889-70,359$2,142
ANSYS INC 9,211 -10,606 $2,141
     ANSS9,211-10,606$2,141
SPLUNK INC 16,883 -18,504 $2,131
     SPLK16,883-18,504$2,131
STATE STR CORP 39,773 -48,103 $2,119
     STT39,773-48,103$2,119
58 COM INC 43,000 UNCH $2,095
     WUBA43,000UNCH$2,095
VERISIGN INC 11,560 -13,544 $2,082
     VRSN11,560-13,544$2,082
FORD MTR CO DEL 425,898 -498,444 $2,057
     F425,898-498,444$2,057
SILVERCORP METALS INC 625,154 -52,656 $2,049
     SVM625,154-52,656$2,049
ENTERGY CORP NEW 21,781 -25,071 $2,047
     ETR21,781-25,071$2,047
SCHLUMBERGER LTD 151,413 -174,941 $2,043
     SLB151,413-174,941$2,043
SYNOVUS FINL CORP 116,110 +43,710 $2,039
     SNV116,110+43,710$2,039
VALERO ENERGY CORP 44,917 -52,824 $2,037
     VLO44,917-52,824$2,037
WELLTOWER INC 44,382 -51,199 $2,032
     WELL44,382-51,199$2,032
CADENCE DESIGN SYSTEM INC 30,692 -35,324 $2,027
     CDNS30,692-35,324$2,027
CITRIX SYS INC 14,245 -166,601 $2,016
     CTXS14,245-166,601$2,016
V F CORP 37,132 -42,694 $2,008
     VFC37,132-42,694$2,008
HILTON WORLDWIDE HLDGS INC 29,322 -34,953 $2,001
     HLT29,322-34,953$2,001
DTE ENERGY CO 21,013 -22,180 $1,996
     DTE21,013-22,180$1,996
SQUARE INC 37,973 -42,766 $1,989
     SQ37,973-42,766$1,989
TWITTER INC 80,669 -92,382 $1,981
     TWTR80,669-92,382$1,981
AMEREN CORP 26,913 -31,009 $1,960
     AEE26,913-31,009$1,960
FASTENAL CO 62,730 -72,397 $1,960
     FAST62,730-72,397$1,960
CANADA GOOSE HOLDINGS INC 97,575 -17,847 $1,952
     GOOS97,575-17,847$1,952
PPL CORP 79,082 -91,113 $1,952
     PPL79,082-91,113$1,952
IQVIA HLDGS INC 18,041 -21,396 $1,946
     IQV18,041-21,396$1,946
ELDORADO GOLD CORP NEW 309,366 +379 $1,925
     EGO309,366+379$1,925
CORTEVA INC 81,857 -94,617 $1,924
     CTVA81,857-94,617$1,924
AUTOHOME INC 26,900 UNCH $1,910
     ATHM26,900UNCH$1,910
MCCORMICK & CO INC 13,519 -15,477 $1,909
     MKC13,519-15,477$1,909
ROCKWELL AUTOMATION INC 12,640 -14,931 $1,908
     ROK12,640-14,931$1,908
DOLLAR TREE INC 25,887 -29,872 $1,902
     DLTR25,887-29,872$1,902
CHIPOTLE MEXICAN GRILL INC 2,891 -3,314 $1,892
     CMG2,891-3,314$1,892
WILLIAMS COS INC 132,565 -153,044 $1,876
     WMB132,565-153,044$1,876
BROWN FORMAN CORP      $1,873
     BF.B33,744-38,953$1,873
TYSON FOODS INC 32,288 -37,150 $1,869
     TSN32,288-37,150$1,869
METTLER TOLEDO INTERNATIONAL 2,668 -3,131 $1,842
     MTD2,668-3,131$1,842
SIMON PPTY GROUP INC NEW 33,565 -39,083 $1,841
     SPG33,565-39,083$1,841
REPUBLIC SVCS INC 24,437 -28,471 $1,834
     RSG24,437-28,471$1,834
FORTIVE CORP 33,060 -38,100 $1,825
     FTV33,060-38,100$1,825
CMS ENERGY CORP 31,046 -35,827 $1,824
     CMS31,046-35,827$1,824
PARKER HANNIFIN CORP 14,052 -16,214 $1,823
     PH14,052-16,214$1,823
KRAFT HEINZ CO 73,460 -84,658 $1,817
     KHC73,460-84,658$1,817
FIRST MAJESTIC SILVER CORP 292,408 -53,225 $1,813
     AG292,408-53,225$1,813
AMETEK INC 25,006 -28,803 $1,801
     AME25,006-28,803$1,801
REALTY INCOME CORP 35,650 -39,339 $1,778
     O35,650-39,339$1,778
MICROCHIP TECHNOLOGY INC 26,140 -29,954 $1,772
     MCHP26,140-29,954$1,772
FLEETCOR TECHNOLOGIES INC 9,495 -10,903 $1,771
     FLT9,495-10,903$1,771
HUAZHU GROUP LTD 61,200 UNCH $1,758
     HTHT61,200UNCH$1,758
PALO ALTO NETWORKS INC 10,719 -11,896 $1,757
     PANW10,719-11,896$1,757
OSISKO GOLD ROYALTIES LTD 235,152 -42,803 $1,756
     OR235,152-42,803$1,756
IAMGOLD CORP 767,824 -142,724 $1,747
     IAG767,824-142,724$1,747
RINGCENTRAL INC 8,205 -8,704 $1,739
     RNG8,205-8,704$1,739
PRETIUM RES INC 304,094 -55,070 $1,736
     PVG304,094-55,070$1,736
MOBILE TELESYSTEMS PJSC 227,500 UNCH $1,729
     MBT227,500UNCH$1,729
CORNING INC 84,120 -99,888 $1,728
     GLW84,120-99,888$1,728
ALEXANDRIA REAL ESTATE EQ IN 12,598 -14,127 $1,727
     ARE12,598-14,127$1,727
CHURCH & DWIGHT INC 26,844 -31,382 $1,723
     CHD26,844-31,382$1,723
KEYSIGHT TECHNOLOGIES INC 20,519 -23,734 $1,717
     KEYS20,519-23,734$1,717
TRANSDIGM GROUP INC 5,274 -6,055 $1,689
     TDG5,274-6,055$1,689
CRONOS GROUP INC 296,840 -54,032 $1,686
     CRON296,840-54,032$1,686
KELLOGG CO 27,983 -32,218 $1,679
     K27,983-32,218$1,679
MARATHON PETE CORP 71,020 -84,252 $1,677
     MPC71,020-84,252$1,677
CINTAS CORP 9,625 -10,902 $1,667
     CTAS9,625-10,902$1,667
SKYWORKS SOLUTIONS INC 18,638 -21,823 $1,666
     SWKS18,638-21,823$1,666
GALLAGHER ARTHUR J & CO 20,402 -23,444 $1,663
     AJG20,402-23,444$1,663
STANLEY BLACK & DECKER INC 16,630 -19,127 $1,663
     SWK16,630-19,127$1,663
NORTHERN TR CORP 22,019 -26,087 $1,662
     NTRS22,019-26,087$1,662
BIOMARIN PHARMACEUTICAL INC 19,648 -22,641 $1,660
     BMRN19,648-22,641$1,660
GDS HLDGS LTD 28,100 UNCH $1,629
     GDS28,100UNCH$1,629
VIEMED HEALTHCARE INC 346,246 +177,819 $1,627
     VMD346,246+177,819$1,627
AKAMAI TECHNOLOGIES INC 17,677 -21,200 $1,617
     AKAM17,677-21,200$1,617
FORTINET INC 15,904 -18,344 $1,609
     FTNT15,904-18,344$1,609
LAS VEGAS SANDS CORP 37,805 -43,823 $1,606
     LVS37,805-43,823$1,606
ESSEX PPTY TR INC 7,232 -8,256 $1,593
     ESS7,232-8,256$1,593
EQUIFAX INC 13,247 -15,238 $1,582
     EFX13,247-15,238$1,582
COPART INC 22,884 -25,706 $1,568
     CPRT22,884-25,706$1,568
MARVELL TECHNOLOGY GROUP LTD 69,307 -78,667 $1,568
     MRVL69,307-78,667$1,568
VULCAN MATLS CO 14,478 -16,694 $1,565
     VMC14,478-16,694$1,565
CONAGRA BRANDS INC 53,227 -61,439 $1,562
     CAG53,227-61,439$1,562
BOSTON PROPERTIES INC 16,914 -19,508 $1,560
     BXP16,914-19,508$1,560
IAC INTERACTIVECORP 8,621 -9,879 $1,545
     IAC8,621-9,879$1,545
CARDINAL HEALTH INC 31,993 -38,261 $1,534
     CAH31,993-38,261$1,534
TIFFANY & CO NEW 11,809 -13,809 $1,529
     TIF11,809-13,809$1,529
METHANEX CORP 125,016 -51,341 $1,523
     MEOH125,016-51,341$1,523
FIRST REP BK SAN FRANCISCO C 18,402 -21,077 $1,514
     FRC18,402-21,077$1,514
SEATTLE GENETICS INC 13,125 -14,728 $1,514
     SGEN13,125-14,728$1,514
HORMEL FOODS CORP 32,123 -37,065 $1,498
     HRL32,123-37,065$1,498
COOPER COS INC 5,427 -6,233 $1,496
     COO5,427-6,233$1,496
AMERISOURCEBERGEN CORP 16,894 -19,924 $1,495
     ABC16,894-19,924$1,495
MOMO INC 68,500 UNCH $1,486
     MOMO68,500UNCH$1,486
TELEFLEX INCORPORATED 5,068 -5,826 $1,484
     TFX5,068-5,826$1,484
BEST BUY INC 25,947 -30,688 $1,479
     BBY25,947-30,688$1,479
TAKE TWO INTERACTIVE SOFTWAR 12,400 -14,269 $1,471
     TTWO12,400-14,269$1,471
INCYTE CORP 20,028 -23,049 $1,467
     INCY20,028-23,049$1,467
CDW CORP 15,717 -18,384 $1,466
     CDW15,717-18,384$1,466
LYONDELLBASELL INDUSTRIES N 29,176 -34,023 $1,448
     LYB29,176-34,023$1,448
SANDSTORM GOLD LTD 287,853 -52,396 $1,443
     SAND287,853-52,396$1,443
AMCOR PLC 177,200 -205,380 $1,439
     AMCR177,200-205,380$1,439
MAXIM INTEGRATED PRODS INC 29,600 -34,324 $1,439
     MXIM29,600-34,324$1,439
OKTA INC 11,661 -13,457 $1,426
     OKTA11,661-13,457$1,426
ALIGN TECHNOLOGY INC 8,193 -9,687 $1,425
     ALGN8,193-9,687$1,425
AMERIPRISE FINL INC 13,862 -16,977 $1,421
     AMP13,862-16,977$1,421
M & T BK CORP 13,714 -16,208 $1,418
     MTB13,714-16,208$1,418
MARKEL CORP 1,515 -1,741 $1,406
     MKL1,515-1,741$1,406
JOYY INC 26,400 UNCH $1,406
     YY26,400UNCH$1,406
NXP SEMICONDUCTORS N V 16,910 -13,770 $1,402
     NXPI16,910-13,770$1,402
GLOBANT S A 15,800 -51,750 $1,389
     GLOB15,800-51,750$1,389
HARTFORD FINL SVCS GROUP INC 39,421 -45,784 $1,389
     HIG39,421-45,784$1,389
SMUCKER J M CO 12,479 -14,395 $1,385
     SJM12,479-14,395$1,385
MARKETAXESS HLDGS INC 4,152 -4,744 $1,381
     MKTX4,152-4,744$1,381
WEYERHAEUSER CO 81,498 -94,041 $1,381
     WY81,498-94,041$1,381
DOMINOS PIZZA INC 4,254 -4,976 $1,379
     DPZ4,254-4,976$1,379
KANSAS CITY SOUTHERN 10,846 -12,697 $1,379
     KSU10,846-12,697$1,379
APTIV PLC 27,924 -32,446 $1,375
     APTV27,924-32,446$1,375
HEWLETT PACKARD ENTERPRISE C 141,530 -166,131 $1,374
     HPE141,530-166,131$1,374
EVERGY INC 24,930 -30,556 $1,372
     EVRG24,930-30,556$1,372
TRANSUNION 20,597 -23,656 $1,363
     TRU20,597-23,656$1,363
EXTRA SPACE STORAGE INC 14,166 -16,118 $1,357
     EXR14,166-16,118$1,357
WESTERN DIGITAL CORP. 32,531 -37,221 $1,354
     WDC32,531-37,221$1,354
LEIDOS HOLDINGS INC 14,713 -17,480 $1,348
     LDOS14,713-17,480$1,348
LABORATORY CORP AMER HLDGS 10,624 -12,398 $1,343
     LH10,624-12,398$1,343
DOVER CORP 15,893 -18,378 $1,334
     DOV15,893-18,378$1,334
ALNYLAM PHARMACEUTICALS INC 12,197 -14,007 $1,328
     ALNY12,197-14,007$1,328
CBRE GROUP INC 34,785 -40,508 $1,312
     CBRE34,785-40,508$1,312
OMNICOM GROUP INC 23,817 -27,441 $1,308
     OMC23,817-27,441$1,308
HENRY JACK & ASSOC INC 8,417 -9,727 $1,307
     JKHY8,417-9,727$1,307
D R HORTON INC 38,292 -44,497 $1,302
     DHI38,292-44,497$1,302
DUKE REALTY CORP 40,204 -94,969 $1,302
     DRE40,204-94,969$1,302
UBER TECHNOLOGIES INC 46,645 +2,580 $1,302
     UBER46,645+2,580$1,302
STERIS PLC 9,275 -10,681 $1,298
     STE9,275-10,681$1,298
ATMOS ENERGY CORP 13,057 -14,796 $1,296
     ATO13,057-14,796$1,296
LIBERTY BROADBAND CORP 11,695 -13,495 $1,295
     LBRDK11,695-13,495$1,295
MARTIN MARIETTA MATLS INC 6,839 -7,874 $1,294
     MLM6,839-7,874$1,294
ALLIANT ENERGY CORP 26,758 -29,212 $1,292
     LNT26,758-29,212$1,292
HEALTHPEAK PROPERTIES INC 54,137 -61,591 $1,291
     PEAK54,137-61,591$1,291
MID AMER APT CMNTYS INC 12,479 -14,394 $1,286
     MAA12,479-14,394$1,286
WATERS CORP 7,050 -8,681 $1,283
     WAT7,050-8,681$1,283
CINCINNATI FINL CORP 16,977 -19,587 $1,281
     CINF16,977-19,587$1,281
NORTONLIFELOCK INC 68,168 -77,469 $1,275
     NLOK68,168-77,469$1,275
KKR & CO INC 54,187 -61,530 $1,272
     KKR54,187-61,530$1,272
PIONEER NAT RES CO 18,120 -21,266 $1,271
     PXD18,120-21,266$1,271
INTL PAPER CO 40,745 -618,563 $1,268
     IP40,745-618,563$1,268
SUN CMNTYS INC 10,140 -11,226 $1,266
     SUI10,140-11,226$1,266
ARCH CAP GROUP LTD 44,332 -51,102 $1,262
     ACGL44,332-51,102$1,262
SEAGATE TECHNOLOGY PLC 25,862 -31,196 $1,262
     STX25,862-31,196$1,262
INVITATION HOMES INC 58,809 -67,893 $1,257
     INVH58,809-67,893$1,257
GRAINGER W W INC 5,012 -5,918 $1,245
     GWW5,012-5,918$1,245
EXPEDITORS INTL WASH INC 18,630 -21,599 $1,243
     EXPD18,630-21,599$1,243
DISCOVER FINL SVCS 34,287 -40,704 $1,223
     DFS34,287-40,704$1,223
CENOVUS ENERGY INC 601,121 -982,015 $1,214
     CVE601,121-982,015$1,214
NUCOR CORP 33,167 -38,270 $1,195
     NUE33,167-38,270$1,195
NASDAQ INC 12,553 -14,612 $1,192
     NDAQ12,553-14,612$1,192
BROADRIDGE FINL SOLUTIONS IN 12,543 -14,387 $1,189
     BR12,543-14,387$1,189
TELEDYNE TECHNOLOGIES INC 3,992 -4,580 $1,187
     TDY3,992-4,580$1,187
ARISTA NETWORKS INC 5,852 -6,790 $1,185
     ANET5,852-6,790$1,185
QUEST DIAGNOSTICS INC 14,735 -16,999 $1,183
     DGX14,735-16,999$1,183
UDR INC 32,055 -36,951 $1,171
     UDR32,055-36,951$1,171
LENNAR CORP 30,614 -36,404 $1,169
     LEN30,614-36,404$1,169
NORBORD INC 98,089 -27,005 $1,161
     OSB98,089-27,005$1,161
TWILIO INC 12,950 -14,258 $1,159
     TWLO12,950-14,258$1,159
F M C CORP 14,177 -16,558 $1,158
     FMC14,177-16,558$1,158
FIFTH THIRD BANCORP 77,620 -93,611 $1,153
     FITB77,620-93,611$1,153
JACOBS ENGR GROUP INC 14,533 -17,396 $1,152
     JEC14,533-17,396$1,152
BURLINGTON STORES INC 7,250 -8,366 $1,149
     BURL7,250-8,366$1,149
IDEX CORP 8,323 -9,549 $1,149
     IEX8,323-9,549$1,149
OCCIDENTAL PETE CORP 97,707 -113,267 $1,131
     OXY97,707-113,267$1,131
INSULET CORP 6,765 -7,437 $1,121
     PODD6,765-7,437$1,121
EPAM SYS INC 6,017 -6,908 $1,117
     EPAM6,017-6,908$1,117
KEYCORP 107,729 -128,686 $1,117
     KEY107,729-128,686$1,117
CANOPY GROWTH CORP 76,186 +203 $1,108
     CGC76,186+203$1,108
PAYCOM SOFTWARE INC 5,434 -6,267 $1,098
     PAYC5,434-6,267$1,098
TRACTOR SUPPLY CO 12,951 -15,152 $1,095
     TSCO12,951-15,152$1,095
WP CAREY INC 18,847 -21,397 $1,095
     WPC18,847-21,397$1,095
VENTAS INC 40,769 -47,029 $1,093
     VTR40,769-47,029$1,093
GARMIN LTD 14,558 -16,799 $1,091
     GRMN14,558-16,799$1,091
SOUTHERN COPPER CORP 38,700 UNCH $1,090
     SCCO38,700UNCH$1,090
SS&C TECHNOLOGIES HLDGS INC 24,880 -28,937 $1,090
     SSNC24,880-28,937$1,090
VMWARE INC 8,990 -10,310 $1,089
     VMW8,990-10,310$1,089
EQUITY LIFESTYLE PPTYS INC 18,923 -21,835 $1,088
     ELS18,923-21,835$1,088
FACTSET RESH SYS INC 4,155 -4,859 $1,083
     FDS4,155-4,859$1,083
CBOE GLOBAL MARKETS INC 12,128 -14,189 $1,082
     CBOE12,128-14,189$1,082
HUDBAY MINERALS INC 570,430 -63,527 $1,079
     HBM570,430-63,527$1,079
ULTA BEAUTY INC 6,116 -7,057 $1,075
     ULTA6,116-7,057$1,075
MASCO CORP 31,075 -37,134 $1,074
     MAS31,075-37,134$1,074
FREEPORT MCMORAN INC 158,691 -183,207 $1,071
     FCX158,691-183,207$1,071
GENUINE PARTS CO 15,895 -18,528 $1,070
     GPC15,895-18,528$1,070
DOCUSIGN INC 11,551 -13,021 $1,067
     DOCU11,551-13,021$1,067
GODADDY INC 18,679 -23,023 $1,067
     GDDY18,679-23,023$1,067
BOOZ ALLEN HAMILTON HLDG COR 15,356 -17,685 $1,054
     BAH15,356-17,685$1,054
NETAPP INC 24,966 -31,096 $1,041
     NTAP24,966-31,096$1,041
LUCKIN COFFEE INC 38,100 +38,100 $1,036
     LK38,100+38,100$1,036
CAMECO CORP 135,220 -248,122 $1,032
     CCJ135,220-248,122$1,032
IQIYI INC 58,000 UNCH $1,032
     IQ58,000UNCH$1,032
HOLOGIC INC 29,331 -33,658 $1,030
     HOLX29,331-33,658$1,030
TD AMERITRADE HLDG CORP 29,564 -35,064 $1,025
     AMTD29,564-35,064$1,025
QORVO INC 12,709 -15,046 $1,025
     QRVO12,709-15,046$1,025
SYNCHRONY FINL 63,612 -77,091 $1,024
     SYF63,612-77,091$1,024
VARIAN MED SYS INC 9,946 -11,512 $1,021
     VAR9,946-11,512$1,021
LOEWS CORP 29,281 -34,847 $1,020
     L29,281-34,847$1,020
NISOURCE INC 40,858 -47,120 $1,020
     NI40,858-47,120$1,020
HASBRO INC 14,220 -16,093 $1,017
     HAS14,220-16,093$1,017
CENTURYLINK INC 107,318 -124,014 $1,015
     CTL107,318-124,014$1,015
HESS CORP 29,997 -34,577 $999
     HES29,997-34,577$999
NVR INC 387 -431 $994
     NVR387-431$994
TERADYNE INC 18,331 -21,716 $993
     TER18,331-21,716$993
AES CORP 72,613 -83,820 $988
     AES72,613-83,820$988
ONEOK INC NEW 45,181 -52,222 $985
     OKE45,181-52,222$985
C H ROBINSON WORLDWIDE INC 14,796 -17,104 $979
     CHRW14,796-17,104$979
MEDICAL PPTYS TRUST INC 56,596 -63,569 $979
     MPW56,596-63,569$979
CELANESE CORP DEL 13,224 -15,934 $971
     CE13,224-15,934$971
ELANCO ANIMAL HEALTH INC 43,282 -40,218 $969
     ELAN43,282-40,218$969
CARMAX INC 17,987 -21,032 $968
     KMX17,987-21,032$968
THE REALREAL INC 138,100 +138,100 $968
     REAL138,100+138,100$968
SNAP INC 80,930 -88,136 $962
     SNAP80,930-88,136$962
ESSENTIAL UTILS INC 23,610 +23,610 $961
     WTRG23,610+23,610$961
INGERSOLL RAND INC 38,681 -381,738 $959
     IR38,681-381,738$959
WABTEC 19,919 -22,995 $959
     WAB19,919-22,995$959
MAG SILVER CORP 123,495 -22,733 $954
     MAG123,495-22,733$954
PRINCIPAL FINL GROUP INC 30,375 -35,322 $952
     PFG30,375-35,322$952
BROWN & BROWN INC 26,197 -30,141 $949
     BRO26,197-30,141$949
REGIONS FINANCIAL CORP NEW 105,507 -129,615 $946
     RF105,507-129,615$946
DENTSPLY SIRONA INC 24,329 -28,498 $945
     XRAY24,329-28,498$945
CONCHO RES INC 21,992 -25,390 $942
     CXO21,992-25,390$942
PINNACLE WEST CAP CORP 12,298 -14,165 $932
     PNW12,298-14,165$932
AVERY DENNISON CORP 9,135 -10,704 $931
     AVY9,135-10,704$931
EXACT SCIENCES CORP 16,055 -18,392 $931
     EXAS16,055-18,392$931
HUNTINGTON BANCSHARES INC (HBAN) 112,956 -131,608 $927
     HBAN112,956-131,608$927
FOX CORP 38,777 -44,743 $916
     FOXA38,777-44,743$916
PERKINELMER INC 12,155 -14,019 $915
     PKI12,155-14,019$915
SINA CORP 28,500 UNCH $907
     SINA28,500UNCH$907
PACKAGING CORP AMER 10,357 -11,949 $899
     PKG10,357-11,949$899
IMPERIAL OIL LTD 79,380 -185,143 $898
     IMO79,380-185,143$898
CITIZENS FINANCIAL GROUP INC 47,550 -57,804 $894
     CFG47,550-57,804$894
CHECK POINT SOFTWARE TECH LT 8,850 -6,200 $890
     CHKP8,850-6,200$890
GILDAN ACTIVEWEAR INC 69,590 -161,947 $888
     GIL69,590-161,947$888
HEICO CORP NEW      $886
     HEI.A8,352-9,633$534
     HEI4,712-5,432$352
ROKU INC 10,015 -10,114 $876
     ROKU10,015-10,114$876
ALLEGHANY CORP DEL 1,578 -1,822 $872
     Y1,578-1,822$872
UNIVERSAL HLTH SVCS INC 8,787 -10,354 $871
     UHS8,787-10,354$871
ZAI LAB LTD 16,900 +16,900 $870
     ZLAB16,900+16,900$870
TRIMBLE INC 27,251 -32,082 $867
     TRMB27,251-32,082$867
HOST HOTELS & RESORTS INC 78,441 -93,558 $866
     HST78,441-93,558$866
RAYMOND JAMES FINANCIAL INC 13,659 -15,787 $863
     RJF13,659-15,787$863
VIACOMCBS INC 61,576 -71,073 $861
     CBS61,576-71,073$861
CROWN HLDGS INC 14,826 -17,109 $861
     CCK14,826-17,109$861
HUNT J B TRANS SVCS INC 9,328 -10,799 $860
     JBHT9,328-10,799$860
EVEREST RE GROUP LTD 4,465 -5,134 $859
     RE4,465-5,134$859
BIO RAD LABS INC 2,448 -2,790 $858
     BIO2,448-2,790$858
EXPEDIA GROUP INC 15,246 -17,778 $858
     EXPE15,246-17,778$858
SVB FINANCIAL GROUP 5,643 -6,500 $853
     SIVB5,643-6,500$853
CENTERPOINT ENERGY INC 54,934 -63,412 $849
     CNP54,934-63,412$849
E TRADE FINANCIAL CORP 24,712 -31,799 $848
     ETFC24,712-31,799$848
UNITED RENTALS INC 8,224 -9,958 $846
     URI8,224-9,958$846
RPM INTL INC 14,185 -16,372 $844
     RPM14,185-16,372$844
MYLAN NV 56,453 -65,110 $842
     MYL56,453-65,110$842
CAMDEN PPTY TR 10,595 -12,221 $840
     CPT10,595-12,221$840
CHENIERE ENERGY INC 25,081 -29,377 $840
     LNG25,081-29,377$840
VICI PPTYS INC 50,423 -58,211 $839
     VICI50,423-58,211$839
BERKLEY W R CORP 16,075 -18,457 $839
     WRB16,075-18,457$839
SIRIUS XM HLDGS INC 169,342 -197,663 $837
     SIRI169,342-197,663$837
WEIBO CORP 25,270 UNCH $837
     WB25,270UNCH$837
CAMPBELL SOUP CO 18,121 -20,909 $836
     CPB18,121-20,909$836
NIO INC 298,900 +5,400 $831
     NIO298,900+5,400$831
WESTERN UN CO 45,857 -54,031 $831
     WU45,857-54,031$831
NEUROCRINE BIOSCIENCES INC 9,571 -10,930 $828
     NBIX9,571-10,930$828
HUNTINGTON INGALLS INDS INC 4,478 -5,262 $816
     HII4,478-5,262$816
HENRY SCHEIN INC 16,082 -18,854 $812
     HSIC16,082-18,854$812
MOLSON COORS BEVERAGE CO 20,780 -23,983 $811
     TAP20,780-23,983$811
GLOBE LIFE INC 11,255 -13,168 $810
     GL11,255-13,168$810
SAREPTA THERAPEUTICS INC 8,157 -9,360 $798
     SRPT8,157-9,360$798
WESTROCK CO 28,209 -32,432 $797
     WRK28,209-32,432$797
ANNALY CAPITAL MANAGEMENT IN 156,416 -186,748 $793
     NLY156,416-186,748$793
COGNEX CORP 18,696 -21,519 $789
     CGNX18,696-21,519$789
VERMILION ENERGY INC 255,761 -46,134 $786
     VET255,761-46,134$786
DEUTSCHE BANK A G 118,200 -98,557 $779
     DB118,200-98,557$779
SPRINT CORPORATION 89,836 -103,059 $774
     S89,836-103,059$774
CABOT OIL & GAS CORP 44,619 -53,973 $767
     COG44,619-53,973$767
SEABRIDGE GOLD INC 82,020 -14,542 $766
     SA82,020-14,542$766
WABCO HLDGS INC 5,610 -6,465 $758
     WBC5,610-6,465$758
DAVITA INC 9,933 -14,507 $756
     DVA9,933-14,507$756
NRG ENERGY INC 27,521 -32,094 $750
     NRG27,521-32,094$750
FIDELITY NATIONAL FINANCIAL 30,088 -34,576 $749
     FNF30,088-34,576$749
IRON MTN INC NEW 31,407 -36,248 $747
     IRM31,407-36,248$747
BAKER HUGHES COMPANY 71,080 -77,700 $746
     BHGE71,080-77,700$746
LIVE NATION ENTERTAINMENT IN 16,366 -18,792 $744
     LYV16,366-18,792$744
51JOB INC 12,000 UNCH $737
     JOBS12,000UNCH$737
DARDEN RESTAURANTS INC 13,413 -15,527 $730
     DRI13,413-15,527$730
RENAISSANCERE HOLDINGS LTD 4,832 -5,574 $722
     RNR4,832-5,574$722
ABIOMED INC 4,943 -5,749 $718
     ABMD4,943-5,749$718
GUIDEWIRE SOFTWARE INC 9,035 -10,321 $717
     GWRE9,035-10,321$717
COMPANIA DE MINAS BUENAVENTU 98,200 UNCH $716
     BVN98,200UNCH$716
LIBERTY GLOBAL PLC 45,593 -52,402 $716
     LBTYK45,593-52,402$716
TEVA PHARMACEUTICAL INDS LTD 79,222 -56,300 $711
     TEVA79,222-56,300$711
F5 NETWORKS INC 6,652 -7,516 $709
     FFIV6,652-7,516$709
ADVANCE AUTO PARTS INC 7,580 -9,241 $707
     AAP7,580-9,241$707
MONGODB INC 5,155 -4,730 $704
     MDB5,155-4,730$704
REGENCY CTRS CORP 18,330 -21,153 $704
     REG18,330-21,153$704
DELL TECHNOLOGIES INC 17,732 -19,440 $701
     DELL17,732-19,440$701
JUNIPER NETWORKS INC 36,610 -44,879 $701
     JNPR36,610-44,879$701
CRESCENT PT ENERGY CORP 898,473 -276,099 $696
     CPG898,473-276,099$696
EASTMAN CHEM CO 14,876 -17,405 $693
     EMN14,876-17,405$693
BLACKBERRY LTD 168,667 -309,497 $692
     BB168,667-309,497$692
DISCOVERY INC 39,448 -48,464 $692
     DISCK39,448-48,464$692
ASSURANT INC 6,635 -7,770 $691
     AIZ6,635-7,770$691
IONIS PHARMACEUTICALS INC 14,618 -16,834 $691
     IONS14,618-16,834$691
LENNOX INTL INC 3,795 -4,417 $690
     LII3,795-4,417$690
LKQ CORP 33,521 -39,106 $688
     LKQ33,521-39,106$688
INTERPUBLIC GROUP COS INC 42,409 -48,839 $687
     IPG42,409-48,839$687
ARCONIC INC 42,619 -50,737 $684
     ARNC42,619-50,737$684
PERRIGO CO PLC 14,144 -16,313 $680
     PRGO14,144-16,313$680
VORNADO RLTY TR 18,791 -21,677 $680
     VNO18,791-21,677$680
OGE ENERGY CORP 21,897 -25,273 $673
     OGE21,897-25,273$673
TEXTRON INC 24,969 -29,258 $666
     TXT24,969-29,258$666
EQUITABLE HLDGS INC 45,807 -53,267 $662
     EQH45,807-53,267$662
FORTUNE BRANDS HOME & SEC IN 15,222 -17,740 $658
     FBHS15,222-17,740$658
HALLIBURTON CO 96,009 -110,401 $658
     HAL96,009-110,401$658
ALBEMARLE CORP 11,600 -13,374 $654
     ALB11,600-13,374$654
SNAP ON INC 6,001 -7,009 $653
     SNA6,001-7,009$653
VAIL RESORTS INC 4,416 -5,057 $652
     MTN4,416-5,057$652
CF INDS HLDGS INC 23,784 -27,663 $647
     CF23,784-27,663$647
SEI INVESTMENTS CO 13,972 -16,277 $647
     SEIC13,972-16,277$647
VISTRA ENERGY CORP 39,984 -46,913 $638
     VST39,984-46,913$638
BUNGE LIMITED 15,497 -17,860 $636
     BG15,497-17,860$636
WYNN RESORTS LTD 10,572 -12,251 $636
     WYNN10,572-12,251$636
OMEGA HEALTHCARE INVS INC 23,901 -27,537 $634
     OHI23,901-27,537$634
CELESTICA INC 180,188 -33,493 $633
     CLS180,188-33,493$633
MGM RESORTS INTERNATIONAL 53,510 -63,218 $631
     MGM53,510-63,218$631
PULTE GROUP INC 28,161 -33,226 $629
     PHM28,161-33,226$629
ROYAL CARIBBEAN CRUISES LTD 19,492 -22,482 $627
     RCL19,492-22,482$627
AGNC INVT CORP 59,163 -69,928 $626
     AGNC59,163-69,928$626
FEDERAL REALTY INVT TR 8,264 -9,398 $617
     FRT8,264-9,398$617
JAZZ PHARMACEUTICALS PLC 6,190 -7,151 $617
     JAZZ6,190-7,151$617
UGI CORP NEW 22,863 -26,341 $610
     UGI22,863-26,341$610
CARNIVAL CORP 46,119 -53,201 $607
     CCL46,119-53,201$607
LIBERTY MEDIA CORP DEL 22,212 -25,597 $605
     FWONK22,212-25,597$605
ALLY FINL INC 41,572 -50,428 $600
     ALLY41,572-50,428$600
VOYA FINANCIAL INC 14,746 -18,329 $598
     VOYA14,746-18,329$598
WHIRLPOOL CORP 6,916 -8,053 $593
     WHR6,916-8,053$593
AMERICAN FINL GROUP INC OHIO 8,388 -9,627 $588
     AFG8,388-9,627$588
NEWELL BRANDS INC 43,997 -50,786 $584
     NWL43,997-50,786$584
ROLLINS INC 16,120 -18,606 $583
     ROL16,120-18,606$583
REINSURANCE GRP OF AMERICA I 6,851 -7,938 $576
     RGA6,851-7,938$576
LINCOLN NATL CORP IND 21,695 -25,479 $571
     LNC21,695-25,479$571
VEREIT INC 116,778 -131,920 $571
     VER116,778-131,920$571
JONES LANG LASALLE INC 5,639 -6,501 $569
     JLL5,639-6,501$569
SMITH A O CORP 14,993 -17,608 $567
     AOS14,993-17,608$567
LIBERTY MEDIA CORP DEL 17,805 -521,397 $563
     LSXMK17,805-521,397$563
ON SEMICONDUCTOR CORP 44,924 -51,803 $559
     ON44,924-51,803$559
DISH NETWORK CORPORATION 27,892 -32,026 $558
     DISHV27,892-32,026$558
INGREDION INC 7,306 -8,417 $552
     INGR7,306-8,417$552
BORGWARNER INC 22,586 -26,078 $550
     BWA22,586-26,078$550
BAOZUN INC 19,700 UNCH $550
     BZUN19,700UNCH$550
FRANKLIN RESOURCES INC 32,688 -38,524 $546
     BEN32,688-38,524$546
ARAMARK 27,284 -30,899 $545
     ARMK27,284-30,899$545
PEOPLES UTD FINL INC 48,577 -55,925 $537
     PBCT48,577-55,925$537
STEEL DYNAMICS INC 23,568 -28,182 $531
     STLD23,568-28,182$531
PENTAIR PLC 17,469 -20,150 $520
     PNR17,469-20,150$520
COCA COLA EUROPEAN PARTNERS 13,823 -11,700 $519
     CCEP13,823-11,700$519
BALLARD PWR SYS INC NEW 68,187 -248,649 $517
     BLDP68,187-248,649$517
HD SUPPLY HLDGS INC 18,146 -22,111 $516
     HDS18,146-22,111$516
SOUTHWEST AIRLS CO 14,392 -17,273 $512
     LUV14,392-17,273$512
LEAR CORP 6,287 -7,379 $511
     LEA6,287-7,379$511
MOHAWK INDS INC 6,661 -7,791 $508
     MHK6,661-7,791$508
ZILLOW GROUP INC 14,050 -16,044 $506
     Z14,050-16,044$506
DELTA AIR LINES INC DEL 17,686 -20,618 $505
     DAL17,686-20,618$505
SENSATA TECHNOLOGIES HLDNG P 17,378 -20,589 $503
     ST17,378-20,589$503
ZIONS BANCORPORATION N A 18,648 -23,052 $499
     ZION18,648-23,052$499
APHRIA INC 163,334 -50,109 $498
     APHA163,334-50,109$498
XPO LOGISTICS INC 10,098 -11,623 $492
     XPO10,098-11,623$492
PINTEREST INC 31,822 -2,762 $491
     PINS31,822-2,762$491
NIELSEN HLDGS PLC 38,919 -44,894 $488
     NLSN38,919-44,894$488
HUTCHISON CHINA MEDITECH LTD 27,300 +1,000 $487
     HCM27,300+1,000$487
ROBERT HALF INTL INC 12,701 -15,001 $479
     RHI12,701-15,001$479
BEST INC 89,400 +4,000 $478
     BEST89,400+4,000$478
DROPBOX INC 26,388 -29,959 $478
     DBX26,388-29,959$478
SIGNATURE BK NEW YORK N Y 5,935 -7,072 $477
     SBNY5,935-7,072$477
FLIR SYS INC 14,676 -17,278 $468
     FLIR14,676-17,278$468
HUYA INC 27,600 +1,300 $468
     HUYA27,600+1,300$468
FLEX LTD 55,598 -65,696 $466
     FLEX55,598-65,696$466
COMERICA INC 15,769 -19,427 $463
     CMA15,769-19,427$463
ARROW ELECTRS INC 8,911 -10,680 $462
     ARW8,911-10,680$462
OWENS CORNING NEW 11,902 -13,734 $462
     OC11,902-13,734$462
KNIGHT SWIFT TRANSN HLDGS IN 14,001 -16,133 $459
     KNX14,001-16,133$459
IPG PHOTONICS CORP 4,067 -4,708 $449
     IPGP4,067-4,708$449
KIMCO RLTY CORP 46,184 -53,281 $447
     KIM46,184-53,281$447
DIAMONDBACK ENERGY INC 16,675 -19,824 $437
     FANG16,675-19,824$437
CDK GLOBAL INC 13,282 -15,278 $436
     CDK13,282-15,278$436
FOX CORP 18,926 -21,843 $433
     FOX18,926-21,843$433
MOSAIC CO NEW 39,356 -47,026 $426
     MOS39,356-47,026$426
TENCENT MUSIC ENTMT GROUP 42,182 UNCH $424
     TME42,182UNCH$424
SEALED AIR CORP NEW 16,902 -19,511 $418
     SEE16,902-19,511$418
AUTOLIV INC 9,066 -10,461 $417
     ALV9,066-10,461$417
NATIONAL OILWELL VARCO INC 42,202 -48,732 $415
     NOV42,202-48,732$415
ERIE INDTY CO 2,783 -3,202 $413
     ERIE2,783-3,202$413
HOLLYFRONTIER CORP 16,771 -20,072 $411
     HFC16,771-20,072$411
EAST WEST BANCORP INC 15,931 -18,366 $410
     EWBC15,931-18,366$410
GRUBHUB INC 10,006 -11,520 $408
     GRUB10,006-11,520$408
MATCH GROUP INC 6,131 -7,264 $405
     MTCH6,131-7,264$405
XEROX HOLDINGS CORP 21,284 -25,645 $403
     XRX21,284-25,645$403
AXALTA COATING SYS LTD 23,101 -26,369 $399
     AXTA23,101-26,369$399
EATON VANCE CORP 12,378 -14,259 $399
     EV12,378-14,259$399
NOAH HLDGS LTD 15,300 +600 $396
     NOAH15,300+600$396
TAPESTRY INC 30,183 -37,411 $391
     TPR30,183-37,411$391
ATHENE HLDG LTD 15,667 -20,388 $389
     ATH15,667-20,388$389
LEGGETT & PLATT INC 14,395 -16,585 $384
     LEG14,395-16,585$384
INVESCO LTD 42,199 -51,900 $383
     IVZ42,199-51,900$383
JEFFERIES FINL GROUP INC 27,882 -32,208 $381
     JEF27,882-32,208$381
NEWS CORP NEW 42,499 -48,377 $381
     NWSA42,499-48,377$381
SL GREEN RLTY CORP 8,764 -10,656 $378
     SLG8,764-10,656$378
AURORA CANNABIS INC 416,273 -1,011,684 $373
     ACB416,273-1,011,684$373
ACUITY BRANDS INC 4,337 -5,064 $372
     AYI4,337-5,064$372
DXC TECHNOLOGY CO 28,003 -33,726 $365
     DXC28,003-33,726$365
WAYFAIR INC 6,836 -7,676 $365
     W6,836-7,676$365
RALPH LAUREN CORP 5,445 -6,770 $364
     RL5,445-6,770$364
WIX COM LTD 3,600 -2,200 $363
     WIX3,600-2,200$363
TELECOM ARGENTINA S A 39,200 UNCH $361
     TEO39,200UNCH$361
BANCO MACRO SA 20,600 UNCH $350
     BMA20,600UNCH$350
MIDDLEBY CORP 6,142 -6,975 $349
     MIDD6,142-6,975$349
FLOWSERVE CORP 14,314 -16,595 $342
     FLS14,314-16,595$342
MANPOWERGROUP INC 6,451 -7,649 $342
     MAN6,451-7,649$342
UNUM GROUP 22,562 -26,601 $339
     UNM22,562-26,601$339
DISCOVERY INC 17,299 -19,941 $336
     DISCA17,299-19,941$336
ALTICE USA INC 14,787 -18,301 $330
     ATUS14,787-18,301$330
YPF SOCIEDAD ANONIMA 79,100 UNCH $330
     YPF79,100UNCH$330
GRUPO FINANCIERO GALICIA S.A 46,000 UNCH $324
     GGAL46,000UNCH$324
HARLEY DAVIDSON INC 16,878 -20,055 $320
     HOG16,878-20,055$320
HEXO CORP 386,922 +211,916 $316
     HEXO386,922+211,916$316
NOBLE ENERGY INC 52,315 -60,384 $316
     NBL52,315-60,384$316
TECHNIPFMC PLC 46,454 -53,496 $313
     FTI46,454-53,496$313
HANESBRANDS INC 39,563 -45,633 $311
     HBI39,563-45,633$311
POLARIS INC 6,359 -7,324 $306
     PII6,359-7,324$306
PVH CORPORATION 8,114 -9,538 $305
     PVH8,114-9,538$305
LIBERTY MEDIA CORP DEL 9,573 -11,030 $303
     LSXMA9,573-11,030$303
NEXTCURE INC 8,036 +8,036 $298
     NXTC8,036+8,036$298
BEIGENE LTD 2,400 -1,500 $295
     BGNE2,400-1,500$295
LIBERTY GLOBAL PLC 17,871 -20,574 $295
     LBTYA17,871-20,574$295
DEVON ENERGY CORP NEW 42,013 -53,235 $290
     DVN42,013-53,235$290
MARATHON OIL CORP 87,493 -101,977 $288
     MRO87,493-101,977$288
AMERCO 969 -1,109 $282
     UHAL969-1,109$282
SPIRIT AEROSYSTEMS HLDGS INC 11,324 -13,063 $271
     SPR11,324-13,063$271
NORWEGIAN CRUISE LINE HLDG L 23,272 -27,532 $255
     NCLH23,272-27,532$255
KOHLS CORP 17,407 -20,773 $254
     KSS17,407-20,773$254
CYBERARK SOFTWARE LTD 2,800 -1,800 $240
     CYBR2,800-1,800$240
FORTUNA SILVER MINES INC 97,312 -13,605 $224
     FSM97,312-13,605$224
BAYTEX ENERGY CORP 915,469 -448,275 $218
     BTE915,469-448,275$218
UNITED AIRLS HLDGS INC 6,923 -8,212 $218
     UAL6,923-8,212$218
TRIPADVISOR INC 11,738 -13,599 $204
     TRIP11,738-13,599$204
UNDER ARMOUR INC 22,070 -22,264 $203
     UAA22,070-22,264$203
SABRE CORP 32,116 -32,375 $190
     SABR32,116-32,375$190
UNDER ARMOUR INC 22,817 -22,982 $184
     UA22,817-22,982$184
COTY INC 35,549 -35,540 $183
     COTY35,549-35,540$183
NORDSTROM INC 11,886 -13,664 $182
     JWN11,886-13,664$182
CAPRI HOLDINGS LIMITED 16,568 -19,150 $179
     CPRI16,568-19,150$179
TARGA RES CORP 25,463 -29,390 $176
     TRGP25,463-29,390$176
APACHE CORP 41,131 -47,462 $172
     APA41,131-47,462$172
GAP INC 24,501 -28,630 $172
     GPS24,501-28,630$172
MELCO RESORTS AND ENTMNT LTD 13,178 -10,000 $163
     MLCO13,178-10,000$163
AMERICAN AIRLS GROUP INC 12,037 -14,194 $147
     AAL12,037-14,194$147
CONTINENTAL RES INC 10,843 -11,213 $83
     CLR10,843-11,213$83
ISHARES TR (EEM) 105 -18,000 $4
     EEM105-18,000$4
ALLIANCE DATA SYSTEMS CORP $0 (exited)
     ADS0-10,304$0
ADVANCED DISP SVCS INC DEL $0 (exited)
     ADSW0-884,141$0
AERCAP HOLDINGS NV $0 (exited)
     AER0-13,500$0
APARTMENT INVT & MGMT CO $0 (exited)
     AIV0-20,000$0
APOLLO GLOBAL MGMT INC $0 (exited)
     APO0-373,134$0
CARDLYTICS INC $0 (exited)
     CDLX0-8,780$0
COTT CORP QUE $0 (exited)
     COT0-288,148$0
ENCANA CORP $0 (exited)
     ECA0-1,258,141$0
ENTERPRISE PRODS PARTNERS L $0 (exited)
     EPD0-240,000$0
ENERGY TRANSFER LP $0 (exited)
     ET0-400,000$0
LIBERTY PPTY TR $0 (exited)
     LPT0-36,860$0
MAGELLAN MIDSTREAM PRTNRS LP $0 (exited)
     MMP0-35,000$0
MPLX LP $0 (exited)
     MPLX0-120,000$0
NORTH AMERN CONSTR GROUP LTD $0 (exited)
     NOA0-58,716$0
PLAINS ALL AMERN PIPELINE L $0 (exited)
     PAA0-175,000$0
PRECISION DRILLING CORP $0 (exited)
     PDS0-330,620$0
PERFORMANCE FOOD GROUP CO $0 (exited)
     PFGC0-65,200$0
CHILDRENS PL INC $0 (exited)
     PLCE0-19,200$0
PHILLIPS 66 PARTNERS LP $0 (exited)
     PSXP0-17,500$0
QUDIAN INC $0 (exited)
     QD0-65,600$0
COMPANHIA DE SANEAMENTO BASI $0 (exited)
     SBS0-646,088$0
WELLCARE HEALTH PLANS INC $0 (exited)
     WCG0-11,855$0
WESTERN MIDSTREAM PARTNERS L $0 (exited)
     WES0-67,500$0
WESTLAKE CHEM CORP $0 (exited)
     WLK0-9,067$0
AQUA AMERICA INC $0 (exited)
     WTR0-50,846$0
ZAYO GROUP HLDGS INC 0 -55,673 $0 (exited)
     ZAYO0-55,673$0

See Summary: BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp Top Holdings
See Details: Top 10 Stocks Held By BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp

EntityShares/Amount
Change
Position Value
Change
TT +575,803+$47,556
XLF +214,968+$4,476
BIPC +116,996+$4,100
POR +84,400+$4,046
OGS +42,500+$3,554
TFII +137,911+$3,045
UNVR +246,000+$2,637
PRMW +282,218+$2,563
HELE +16,300+$2,348
PNM +58,000+$2,204
EntityShares/Amount
Change
Position Value
Change
ADSW -884,141-$29,062
APO -373,134-$17,802
SBS -646,088-$9,724
EPD -240,000-$6,758
ECA -1,258,141-$5,891
ET -400,000-$5,132
COT -288,148-$3,937
WCG -11,855-$3,915
PFGC -65,200-$3,356
PAA -175,000-$3,218
EntityShares/Amount
Change
Position Value
Change
TU +1,236,497-$21,696
BIP +478,147+$13,329
CVS +380,276+$5,671
FCPT +279,600+$5,148
HEXO +211,916+$37
VMD +177,819+$572
IAA +161,100+$3,489
IFF +155,235+$2,453
TEL +147,350-$15,832
COLD +139,300+$4,620
EntityShares/Amount
Change
Position Value
Change
C -2,914,844-$241,894
TD -2,267,431-$182,388
AQUA -2,000,000-$73,170
ERF -1,819,246-$21,803
MSFT -1,556,021-$245,376
CNQ -1,461,401-$58,515
SU -1,407,247-$92,084
AGN -1,262,476-$241,853
BAC -1,151,978-$53,649
Size ($ in 1000's)
At 03/31/2020: $5,902,408
At 12/31/2019: $13,447,227

BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRITISH COLUMBIA INVESTMENT MANAGEMENT Corp 13F filings. Link to 13F filings: SEC filings

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