HoldingsChannel.com
All Stocks Held By Crossmark Global Holdings Inc.
As of  12/31/2023, we find all stocks held by Crossmark Global Holdings Inc. to be as follows, presented in the table below with each row detailing each Crossmark Global Holdings Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Crossmark Global Holdings Inc. 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 Crossmark Global Holdings Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE COMPUTER INC 894,070 -36,245 $172,136
     AAPL894,070-36,245$172,136
MICROSOFT CORP 452,644 -3,080 $170,212
     MSFT452,644-3,080$170,212
AMAZON COM INC 606,941 -11,379 $92,219
     AMZN606,941-11,379$92,219
NVIDIA CORP 138,477 -516 $68,576
     NVDA138,477-516$68,576
COCA COLA CO 1,027,967 -228 $60,578
     KO1,027,967-228$60,578
ALPHABET CLASS C 404,285 +89,284 $56,976
     GOOG404,285+89,284$56,976
TAIWAN SEMICONDUCTOR MFG CO AD 536,820 -12,885 $55,829
     TSM536,820-12,885$55,829
ALPHABET CLASS A 348,073 +1,461 $48,622
     GOOGL348,073+1,461$48,622
META PLATFORMS INC CL A 131,734 +14,941 $46,628
     META131,734+14,941$46,628
J P MORGAN CHASE & CO      $42,298
     JPM207,939+40,529$35,370
     JPM.PRC273,716-4,705$6,928
GILEAD SCIENCES INC 512,097 -3,441 $41,485
     GILD512,097-3,441$41,485
VISA INC COM CL A 156,880 +500 $40,844
     V156,880+500$40,844
CISCO SYSTEMS INC 769,000 +2,804 $38,850
     CSCO769,000+2,804$38,850
QUALCOMM INC 265,677 +2,118 $38,425
     QCOM265,677+2,118$38,425
ABBOTT LABS 348,271 +27,527 $38,334
     ABT348,271+27,527$38,334
APPLIED MATERIALS INC 228,338 -2,655 $37,006
     AMAT228,338-2,655$37,006
HOME DEPOT INC 106,621 +8,131 $36,950
     HD106,621+8,131$36,950
CIGNA CORP NEW 121,871 -2,917 $36,494
     CI121,871-2,917$36,494
MCDONALDS CORP 122,634 -3,538 $36,362
     MCD122,634-3,538$36,362
MASTERCARD INC 84,959 +1,129 $36,236
     MA84,959+1,129$36,236
BROADCOM INC COM 32,129 +2,967 $35,864
     AVGO32,129+2,967$35,864
C V S CAREMARK CORP 445,918 +162,296 $35,210
     CVS445,918+162,296$35,210
VERIZON COMMUNICATIONS 872,673 +6,178 $32,899
     VZ872,673+6,178$32,899
AMGEN INC 113,415 +487 $32,665
     AMGN113,415+487$32,665
TESLA MTRS INC COM 131,233 -1,505 $32,609
     TSLA131,233-1,505$32,609
ADVANCED MICRO DEVICES INC 216,954 -6,325 $31,982
     AMD216,954-6,325$31,982
BERKSHIRE HATHAWAY INC DEL CL      $29,492
     BRK.B82,690+2,608$29,492
ADOBE SYSTEM INC 49,282 -342 $29,401
     ADBE49,282-342$29,401
EXXON MOBIL CORP 291,551 -2,278 $29,149
     XOM291,551-2,278$29,149
T J X COMPANIES INC 309,286 +5,088 $29,014
     TJX309,286+5,088$29,014
BANK AMERICA CORP      $28,718
     BAC678,610-3,886$22,849
     BAC.PRO301,882-764$5,869
ACCENTURE PLC 75,604 -1,663 $26,530
     ACN75,604-1,663$26,530
TEXAS INSTRUMENTS INC 155,629 -3,271 $26,528
     TXN155,629-3,271$26,528
WELLS FARGO & CO 533,848 -3,850 $26,276
     WFC533,848-3,850$26,276
WAL MART STORES INC 153,923 +1,877 $24,266
     WMT153,923+1,877$24,266
ELEVANCE HEALTH INC 50,255 +427 $23,698
     ELV50,255+427$23,698
SALESFORCE COM INC 89,468 -7,212 $23,543
     CRM89,468-7,212$23,543
MORGAN STANLEY 242,371 +17,265 $22,601
     MS242,371+17,265$22,601
ORACLE SYSTEMS CORP 211,947 -12,614 $22,346
     ORCL211,947-12,614$22,346
PROCTER & GAMBLE 150,155 +16,419 $22,004
     PG150,155+16,419$22,004
LILLY ELI & COMPANY 37,122 -1,602 $21,640
     LLY37,122-1,602$21,640
HP INC COM 710,703 -25,552 $21,385
     HPQ710,703-25,552$21,385
MERCK & COMPANY 191,514 +6,915 $20,878
     MRK191,514+6,915$20,878
VALERO ENERGY CORP 160,127 +84,034 $20,817
     VLO160,127+84,034$20,817
UNITEDHEALTH GROUP INC 39,141 -667 $20,607
     UNH39,141-667$20,607
GAP INC 983,384 +26,704 $20,562
     GPS983,384+26,704$20,562
WILLIAMS SONOMA INC 96,307 -3,961 $19,432
     WSM96,307-3,961$19,432
MICRON TECHNOLOGY INC 224,763 -4,780 $19,181
     MU224,763-4,780$19,181
PAYPAL HLDGS INC COM 309,579 +59,825 $19,012
     PYPL309,579+59,825$19,012
HSBC HLDGS PLC ADR SPON 467,608 -14,823 $18,957
     HSBC467,608-14,823$18,957
DISNEY WALT CO 206,644 +1,617 $18,657
     DIS206,644+1,617$18,657
ASML HOLDING N V N Y REGISTRY 24,577 +869 $18,602
     ASML24,577+869$18,602
CANADIAN NATL RY CO 145,788 +100,631 $18,316
     CNI145,788+100,631$18,316
ROYAL BK CDA MONTREAL QUE 180,724 -4,213 $18,277
     RY180,724-4,213$18,277
TORONTO DOMINION BK ONT 282,493 -7,035 $18,255
     TD282,493-7,035$18,255
NIKE INC CLASS B 164,752 +5,327 $17,887
     NKE164,752+5,327$17,887
MONDELEZ INTL INC 244,647 -601 $17,720
     MDLZ244,647-601$17,720
LOWES COS INC 79,278 -10,623 $17,643
     LOW79,278-10,623$17,643
D R HORTON INC 115,973 -14,234 $17,625
     DHI115,973-14,234$17,625
ANALOG DEVICES INC 88,602 +65,229 $17,593
     ADI88,602+65,229$17,593
BOOKING HLDGS INC 4,892 -109 $17,353
     BKNG4,892-109$17,353
IRON MTN INC NEW COM 247,977 -10,001 $17,353
     IRM247,977-10,001$17,353
COSTCO WHOLESALE CORP 26,201 -408 $17,295
     COST26,201-408$17,295
CANADIAN NAT RES LTD 261,872 -6,235 $17,157
     CNQ261,872-6,235$17,157
MEDTRONIC PLC 204,988 -4,206 $16,887
     MDT204,988-4,206$16,887
PAYCHEX INC 140,414 -5,240 $16,725
     PAYX140,414-5,240$16,725
ASE INDUSTRIAL HOLDING CO LTSP 1,710,791 -73,672 $16,099
     ASX1,710,791-73,672$16,099
PEPSICO INC 93,556 +2,141 $15,890
     PEP93,556+2,141$15,890
COMCAST CORP CL A 352,477 +29,183 $15,456
     CMCSA352,477+29,183$15,456
MICROCHIP TECHNOLOGY INC 168,258 -9,875 $15,174
     MCHP168,258-9,875$15,174
CITIGROUP INC 294,280 +37,189 $15,137
     C294,280+37,189$15,137
BRISTOL MYERS SQUIBB CO 291,200 +50,406 $14,942
     BMY291,200+50,406$14,942
EMERSON ELEC CO 152,807 +10,571 $14,873
     EMR152,807+10,571$14,873
SOUTHERN CO 210,414 +6,466 $14,755
     SO210,414+6,466$14,755
ABBVIE INC 95,142 +1,738 $14,745
     ABBV95,142+1,738$14,745
SKYWORKS SOLUTIONS INC 130,720 +123,390 $14,695
     SWKS130,720+123,390$14,695
ALIBABA GROUP HLDG LTD SPONSOR 187,917 -8,080 $14,565
     BABA187,917-8,080$14,565
RAYTHEON TECHNOLOGIES CORP COM 172,788 +2,931 $14,538
     RTX172,788+2,931$14,538
CONOCO PHILLIPS 124,917 +34,684 $14,499
     COP124,917+34,684$14,499
SCHWAB CHARLES CORP 5.950      $14,453
     SCHW.PRD305,449-4,436$7,667
     SCHW98,643-2,413$6,786
FORTIS INC COM 343,573 -19,619 $14,131
     FTS343,573-19,619$14,131
AMERICAN EXPRESS CO 74,689 -3,228 $13,992
     AXP74,689-3,228$13,992
CADENCE DESIGNS SYSTEMS INC 50,228 +14,169 $13,680
     CDNS50,228+14,169$13,680
SYNOPSYS INC 26,376 -275 $13,582
     SNPS26,376-275$13,582
BROADRIDGE FINL SOLUTIONS INCO 65,883 -3,708 $13,556
     BR65,883-3,708$13,556
KB FINANCIAL GROUP INC SPONSOR 324,224 -13,172 $13,413
     KB324,224-13,172$13,413
INTERDIGITAL INC PA 122,616 +122,616 $13,309
     IDCC122,616+122,616$13,309
SUN LIFE FINL INC 256,061 -7,774 $13,280
     SLF256,061-7,774$13,280
SNAP ON TOOLS CORP 45,744 -2,021 $13,213
     SNA45,744-2,021$13,213
METLIFE INC CALLABLE 5.625      $12,940
     MET.PRE284,494-6,727$6,910
     MET91,185+34,630$6,030
LAM RESEARCH CORP 16,504 -1,224 $12,927
     LRCX16,504-1,224$12,927
LINDE PLC SHS 31,431 -87 $12,909
     LIN31,431-87$12,909
SUNCOR ENERGY INC 395,611 -8,903 $12,675
     SU395,611-8,903$12,675
DUPONT DE NEMOURS INC COM 164,393 +2,910 $12,647
     DD164,393+2,910$12,647
TE CONNECTIVITY LTD REG SHS 89,302 -1,321 $12,547
     TEL89,302-1,321$12,547
A T & T INC 733,399 +167,902 $12,307
     T733,399+167,902$12,307
ELECTRONIC ARTS INC 89,146 -37,261 $12,196
     EA89,146-37,261$12,196
LLOYDS TSB GROUP ADR SPON 5,100,518 -159,733 $12,190
     LYG5,100,518-159,733$12,190
JUNIPER NETWORKS INC 412,107 -19,415 $12,149
     JNPR412,107-19,415$12,149
DEERE & CO 29,838 +1,424 $11,932
     DE29,838+1,424$11,932
INTUIT INC 18,803 -97 $11,752
     INTU18,803-97$11,752
AVNET INC 232,088 +4,512 $11,697
     AVT232,088+4,512$11,697
SHELL PLC SPON ADS 177,238 -1,463 $11,663
     SHEL177,238-1,463$11,663
AIR PRODUCTS & CHEMICALS INC 42,414 -871 $11,613
     APD42,414-871$11,613
UNITED MICROELECTRONICS CORP S 1,369,735 -50,343 $11,588
     UMC1,369,735-50,343$11,588
CATERPILLAR INC 39,070 -8,197 $11,552
     CAT39,070-8,197$11,552
INTERPUBLIC GROUP COS INC 350,925 +318,078 $11,454
     IPG350,925+318,078$11,454
ARCHER DANIELS MIDLAND 158,480 -3,714 $11,445
     ADM158,480-3,714$11,445
MARATHON PETE CORP COM 76,197 -71,037 $11,304
     MPC76,197-71,037$11,304
COGNIZANT TECHNLGY SLTNS COR 149,436 -6,021 $11,287
     CTSH149,436-6,021$11,287
KT CORP SPONSORED ADR 838,564 -37,426 $11,270
     KT838,564-37,426$11,270
COCA COLA FEMSA S A B DE C VSP 118,753 -9,756 $11,238
     KOF118,753-9,756$11,238
PHILLIPS 66 COM 83,718 -1,019 $11,146
     PSX83,718-1,019$11,146
BARCLAYS PLC ADR 1,407,954 -68,867 $11,095
     BCS1,407,954-68,867$11,095
WESTERN DIGITAL CORP 211,578 +269 $11,081
     WDC211,578+269$11,081
CHEVRON CORPORATION 74,176 -1,106 $11,064
     CVX74,176-1,106$11,064
INTEL CORP 220,048 -5,287 $11,057
     INTC220,048-5,287$11,057
ECOPETROL S A SPONSORED ADS 926,913 -42,367 $11,048
     EC926,913-42,367$11,048
CDN IMPERIAL BK OF COMMERCE 228,311 -5,766 $10,991
     CM228,311-5,766$10,991
KRAFT HEINZ COMPANY 288,100 +230,606 $10,653
     KHC288,100+230,606$10,653
CORNING INC 347,790 -18,102 $10,590
     GLW347,790-18,102$10,590
TAPESTRY INC 287,244 +277,124 $10,574
     TPR287,244+277,124$10,574
MCKESSON CORP 22,762 +2,099 $10,539
     MCK22,762+2,099$10,539
BRUNSWICK CORP 108,606 -5,403 $10,508
     BC108,606-5,403$10,508
NUTRIEN LTD COM 186,208 -4,573 $10,490
     NTR186,208-4,573$10,490
SAP AG ADR SPON 67,748 +150 $10,473
     SAP67,748+150$10,473
C S X CORP 301,378 +28,377 $10,448
     CSX301,378+28,377$10,448
GENERAL DYNAMICS CORP 40,214 -1,025 $10,442
     GD40,214-1,025$10,442
OMNICOM GROUP 120,470 -5,472 $10,422
     OMC120,470-5,472$10,422
TOYOTA MTR CORP ADR 1 SH 56,618 +1,576 $10,382
     TM56,618+1,576$10,382
UNILEVER PLC ADR SPON NEW 214,092 +7,344 $10,379
     UL214,092+7,344$10,379
I B M 63,376 +9,620 $10,366
     IBM63,376+9,620$10,366
SYSCO CORP 138,031 +112,062 $10,094
     SYY138,031+112,062$10,094
AMDOCS LTD 114,759 -5,507 $10,086
     DOX114,759-5,507$10,086
NATWEST GROUP PLC SPONS ADR 1,754,030 -85,007 $9,876
     NWG1,754,030-85,007$9,876
DELTA AIR LINES INC DEL NEW 242,548 +1,987 $9,758
     DAL242,548+1,987$9,758
HUMANA INC 21,092 +1,747 $9,657
     HUM21,092+1,747$9,657
EQUINIX INC COM 11,925 +16 $9,605
     EQIX11,925+16$9,605
S&P GLOBAL INC COM 21,676 -9,563 $9,549
     SPGI21,676-9,563$9,549
BANK NOVA SCOTIA HALIFAX 194,959 -4,698 $9,493
     BNS194,959-4,698$9,493
NETFLIX COM INC 19,343 -450 $9,417
     NFLX19,343-450$9,417
DANAHER CORP 40,089 -1,268 $9,274
     DHR40,089-1,268$9,274
HILLENBRAND INC 190,314 -12,744 $9,106
     HI190,314-12,744$9,106
NUCOR CORP 51,835 -1,402 $9,021
     NUE51,835-1,402$9,021
AMERICAN TOWER REIT COM 41,627 +1,659 $8,987
     AMT41,627+1,659$8,987
CROWN CASTLE INC 76,593 -3,006 $8,823
     CCI76,593-3,006$8,823
C H ROBINSON WORLDWIDE INC 101,932 -111,780 $8,806
     CHRW101,932-111,780$8,806
TEGNA INC COM 554,724 +2,848 $8,487
     TGNA554,724+2,848$8,487
LENNAR CORP 56,739 -2,644 $8,457
     LEN56,739-2,644$8,457
XP INC CL A 320,250 -8,637 $8,349
     XP320,250-8,637$8,349
PUBLIC STORAGE CALLABLE 4.62      $8,157
     PSA.PRL247,114+6,473$5,285
     PSA9,418-566$2,872
UNION PACIFIC CORP 32,856 -342 $8,070
     UNP32,856-342$8,070
BLACKROCK INC CL A 9,930 +150 $8,061
     BLK9,930+150$8,061
TOTAL FINA ELF S A ADR SPONS 116,728 -1,877 $7,865
     TTE116,728-1,877$7,865
EXELON CORP 218,140 -97 $7,831
     EXC218,140-97$7,831
HONEYWELL INTL INC 37,132 +296 $7,787
     HON37,132+296$7,787
CRESCENT PT ENERGY CORP COM 1,111,403 -59,524 $7,702
     CPG1,111,403-59,524$7,702
SONY CORP ADR 80,709 +362 $7,643
     SONY80,709+362$7,643
ROSS STORES INC 55,180 +1,769 $7,637
     ROST55,180+1,769$7,637
SERVICENOW INC COM 10,716 -2 $7,570
     NOW10,716-2$7,570
COMPANHIA ENERGETICA DE MINASP 3,259,724 +3,259,724 $7,562
     CIG3,259,724+3,259,724$7,562
FEDEX CORP 29,246 +5,055 $7,398
     FDX29,246+5,055$7,398
TERNIUM SA SPON ADR 173,938 -9,035 $7,388
     TX173,938-9,035$7,388
GOLDMAN SACHS GROUP INC 19,081 +3,023 $7,361
     GS19,081+3,023$7,361
INTUITIVE SURGICAL INC 21,428 -379 $7,229
     ISRG21,428-379$7,229
PRUDENTIAL FINL INC 5.625 08 284,569 -2,305 $7,103
     PRS284,569-2,305$7,103
AFLAC INC 86,010 +15,855 $7,096
     AFL86,010+15,855$7,096
ZOETIS INC CL A 35,580 -1,650 $7,022
     ZTS35,580-1,650$7,022
AUTODESK INC 28,823 -1,221 $7,017
     ADSK28,823-1,221$7,017
NEXTERA ENERGY INC COM 113,883 -4,472 $6,918
     NEE113,883-4,472$6,918
UNITED PARCEL SERVICE INC CL B 43,818 +815 $6,890
     UPS43,818+815$6,890
CARDINAL HEALTH INC 67,341 -136,886 $6,788
     CAH67,341-136,886$6,788
MARSH & MCLENNAN COS INC 35,789 +3,425 $6,781
     MMC35,789+3,425$6,781
RELX PLC SPONSORED ADR 169,279 -582 $6,714
     RELX169,279-582$6,714
CENCORA INC 36,944 -1,072 $6,649
     ABC36,944-1,072$6,649
T MOBILE US INC COM 41,330 +451 $6,627
     TMUS41,330+451$6,627
EXPEDITORS INTL WASHINGTON INC 51,800 -757 $6,589
     EXPD51,800-757$6,589
SOUTHERN CO 4.950 01 30 80 292,816 -865 $6,583
     SOJD292,816-865$6,583
PROLOGIS INC 48,942 -1,558 $6,524
     PLD48,942-1,558$6,524
JOHNSON & JOHNSON 41,267 -548 $6,469
     JNJ41,267-548$6,469
COLGATE PALMOLIVE CO 80,960 +13,315 $6,453
     CL80,960+13,315$6,453
AUTOMATIC DATA PROCESSING 27,553 +100 $6,419
     ADP27,553+100$6,419
PALO ALTO NETWORKS INC COM 21,729 -818 $6,407
     PANW21,729-818$6,407
BHP BILLITON LTD SPONSORED ADR 93,460 +2,685 $6,384
     BHP93,460+2,685$6,384
FISERV INC 48,007 +48,007 $6,378
     FI48,007+48,007$6,378
MITSUBISHI UFJ FINL GROUP INC 740,247 +15,202 $6,374
     MUFG740,247+15,202$6,374
GENERAL MILLS INC 97,450 -51,808 $6,348
     GIS97,450-51,808$6,348
BANK OF NEW YORK MELLON CORPOR 121,532 -11,711 $6,326
     BK121,532-11,711$6,326
GENERAL ELECTRIC CO COM NEW 49,345 -17,124 $6,298
     GE49,345-17,124$6,298
UBS GROUP AG SHS 201,548 +1,015 $6,228
     UBS201,548+1,015$6,228
HDFC BANK LTD ADR REPS 3 SHS 91,050 -4,072 $6,110
     HDB91,050-4,072$6,110
CHUBB LIMITED COM 26,722 +861 $6,039
     CB26,722+861$6,039
PETROBRAS BRASILEIRO SPONSORED      $6,010
     PBR.A212,886+39,146$3,253
     PBR172,611+20,732$2,757
WASTE MANAGEMENT INC DEL 33,119 -542 $5,931
     WM33,119-542$5,931
STRYKER CORP 19,630 -105 $5,879
     SYK19,630-105$5,879
KROGER CO 128,491 -3,246 $5,873
     KR128,491-3,246$5,873
SIMON PPTY GROUP INC 40,145 +139 $5,726
     SPG40,145+139$5,726
ALTRIA GROUP INC 141,771 -2,988 $5,719
     MO141,771-2,988$5,719
CBRE GROUP INC CL A 61,053 -4,043 $5,684
     CBRE61,053-4,043$5,684
UBER TECHNOLOGIES INC COM 90,761 +71,542 $5,588
     UBER90,761+71,542$5,588
GRAINGER W W INC 6,713 -814 $5,563
     GWW6,713-814$5,563
BOSTON SCIENTIFIC CORP 96,214 -538 $5,562
     BSX96,214-538$5,562
ILLINOIS TOOL WORKS INC 21,136 -323 $5,536
     ITW21,136-323$5,536
GENERAL MTRS CO COM 153,566 -3,205 $5,516
     GM153,566-3,205$5,516
BRIGHTHOUSE FINL CALLABLE 6. 252,545 -4,335 $5,493
     BHFAL252,545-4,335$5,493
STARBUCKS CORP 56,836 -349 $5,456
     SBUX56,836-349$5,456
DELL TECHNOLOGIES INC CL C 71,234 +953 $5,449
     DELL71,234+953$5,449
BP PLC ADR 153,004 -1,346 $5,416
     BP153,004-1,346$5,416
SHOPIFY INC CL A 69,305 +2,421 $5,399
     SHOP69,305+2,421$5,399
CANADIAN PACIFIC KANSAS CITY C 67,996 +2,790 $5,376
     CP67,996+2,790$5,376
FORD MOTOR CO DEL 438,738 -125,467 $5,348
     F438,738-125,467$5,348
AMERIPRISE FINANCIAL INC 13,934 -563 $5,293
     AMP13,934-563$5,293
DOW INC COM 96,339 +1,361 $5,283
     DOW96,339+1,361$5,283
TARGET CORP 37,050 -50,525 $5,277
     TGT37,050-50,525$5,277
AMPHENOL CORP NEW CL A 53,083 -1,118 $5,262
     APH53,083-1,118$5,262
PROGRESSIVE CORP OHIO 31,711 -850 $5,051
     PGR31,711-850$5,051
ENBRIDGE INC 139,154 +1,105 $5,012
     ENB139,154+1,105$5,012
AIRBNB INC COM CL A 36,348 -23,441 $4,948
     ABNB36,348-23,441$4,948
TRANE TECHNOLOGIES PLC SHS 20,100 -548 $4,903
     TT20,100-548$4,903
CINTAS CORP 7,988 -379 $4,814
     CTAS7,988-379$4,814
ROPER INDS INC 8,827 +76 $4,812
     ROP8,827+76$4,812
DECKERS OUTDOOR CORP 7,163 -979 $4,788
     DECK7,163-979$4,788
CARRIER GLOBAL CORPORATION COM 82,928 +5,613 $4,764
     CARR82,928+5,613$4,764
PINDUODUO INC SPONSORED ADS 32,353 +565 $4,734
     PDD32,353+565$4,734
GALLAGHER ARTHUR J & CO 20,878 +431 $4,695
     AJG20,878+431$4,695
SYNCHRONY FINL COM 122,750 -8,747 $4,688
     SYF122,750-8,747$4,688
BERRY PLASTICS GROUP INC COM 69,200 -1,585 $4,663
     BERY69,200-1,585$4,663
KEYCORP CALLABLE 5.625      $4,653
     KEY.PRK188,202-7,971$3,768
     KEY61,458-676$885
BLOCK H & R INC 95,978 +25,118 $4,643
     HRB95,978+25,118$4,643
MOODYS CORP 11,829 -9,208 $4,620
     MCO11,829-9,208$4,620
RIO TINTO PLC ADR SPONSORED 61,701 +3,251 $4,594
     RIO61,701+3,251$4,594
WESTERN UNION CO 384,663 +104,369 $4,585
     WU384,663+104,369$4,585
BANK MONTREAL QUE 45,976 +2,038 $4,549
     BMO45,976+2,038$4,549
WASTE CONNECTIONS INC 30,324 -6,554 $4,527
     WCN30,324-6,554$4,527
LANDSTAR SYSTEMS INC 23,284 +7 $4,509
     LSTR23,284+7$4,509
DUKE ENERGY CORPORATION NEW 45,968 +1,342 $4,461
     DUK45,968+1,342$4,461
BEST BUY INC 56,746 -62,514 $4,442
     BBY56,746-62,514$4,442
EATON CORP PLC SHS 18,363 -920 $4,422
     ETN18,363-920$4,422
NATIONAL GRID PLC SPONSORED AD 64,977 -2,276 $4,418
     NGG64,977-2,276$4,418
HEWLETT PACKARD ENTERPRISE CCO 251,646 +102,918 $4,273
     HPE251,646+102,918$4,273
SHERWIN WILLIAMS CO 13,698 -297 $4,272
     SHW13,698-297$4,272
CME GROUP INC 20,018 -262 $4,216
     CME20,018-262$4,216
BLACKSTONE GROUP INC COM CL A 32,149 -90 $4,209
     BX32,149-90$4,209
KLA TENCOR CORP 7,233 -354 $4,204
     KLAC7,233-354$4,204
NOVO NORDISK A S ADR 40,551 +487 $4,195
     NVO40,551+487$4,195
DROPBOX INC CL A 141,331 +12,335 $4,166
     DBX141,331+12,335$4,166
SUMITOMO MITSUI FINL GRP INCSP 428,920 +3,440 $4,152
     SMFG428,920+3,440$4,152
VONTIER CORPORATION COM 119,665 -1,263 $4,135
     VNT119,665-1,263$4,135
FERGUSON PLC NEW SHS 21,121 -484 $4,078
     FERG21,121-484$4,078
OTIS WORLDWIDE CORP COM 45,549 -1,004 $4,075
     OTIS45,549-1,004$4,075
VALE S A ADR 256,832 -2,635 $4,073
     VALE256,832-2,635$4,073
ROBERT HALF INC 45,847 -1,257 $4,031
     RHI45,847-1,257$4,031
TERADATA CORP 92,511 +3,178 $4,025
     TDC92,511+3,178$4,025
INTERCONTINENTALEXCHANGE GROCO (ICE) 31,183 -55 $4,005
     ICE31,183-55$4,005
P N C FINANCIAL CORP 25,808 +7,786 $3,996
     PNC25,808+7,786$3,996
NETEASE INC SPONSORED ADR 42,405 -995 $3,951
     NTES42,405-995$3,951
3M COMPANY 36,056 -2,423 $3,942
     MMM36,056-2,423$3,942
BCE INC 98,087 -7,591 $3,863
     BCE98,087-7,591$3,863
BANCO SANTANDER CENT HISPANIC 932,868 +1,071 $3,862
     SAN932,868+1,071$3,862
BOEING CO 14,709 +811 $3,834
     BA14,709+811$3,834
HONDA MOTOR CO LTD 123,851 +3,626 $3,829
     HMC123,851+3,626$3,829
JD COM INC SPON ADR CL A 132,007 +1,381 $3,814
     JD132,007+1,381$3,814
SPDR S&P 500 (SPY) 7,909 +5,999 $3,759
     SPY7,909+5,999$3,759
INFOSYS TECHNOLOGIES LTD ADR S 203,611 -3,430 $3,742
     INFY203,611-3,430$3,742
MANULIFE FINL CORP 169,173 +2,269 $3,739
     MFC169,173+2,269$3,739
ITAU UNIBANCO BANCO BRASILEIRO 537,117 -810 $3,733
     ITUB537,117-810$3,733
CONSOLIDATED EDISON INC 40,565 -285 $3,691
     ED40,565-285$3,691
OWENS CORNING NEW 24,817 +887 $3,678
     OC24,817+887$3,678
ICICI BANK LTD ADR 154,200 -6,565 $3,676
     IBN154,200-6,565$3,676
WEYERHAEUSER CO 105,578 -2,183 $3,671
     WY105,578-2,183$3,671
PRUDENTIAL FINL INC 35,167 +12,669 $3,647
     PRU35,167+12,669$3,647
U S BANCORP 83,547 -1,894 $3,616
     USB83,547-1,894$3,616
KIMBERLY CLARK CORP 29,293 -23,603 $3,559
     KMB29,293-23,603$3,559
ECOLAB INC 17,845 -4,671 $3,540
     ECL17,845-4,671$3,540
MARTIN MARIETTA MATERIALS INC 7,057 -459 $3,521
     MLM7,057-459$3,521
BAIDU INC SPON ADR REP A 29,375 +99 $3,498
     BIDU29,375+99$3,498
RELIANCE STEEL & ALUMINUM CO 12,489 -234 $3,493
     RS12,489-234$3,493
CAPITAL ONE FINANCIAL CORP 26,585 -1,892 $3,486
     COF26,585-1,892$3,486
ARISTA NETWORKS INC COM 14,737 +1,284 $3,471
     ANET14,737+1,284$3,471
FOMENTO ECONOMICO MEXICANO ADR 26,560 -4,809 $3,462
     FMX26,560-4,809$3,462
VERTEX PHARMACEUTICALS INC 8,489 +460 $3,454
     VRTX8,489+460$3,454
E O G RESOURCES INC 28,500 +233 $3,447
     EOG28,500+233$3,447
ALCON INC ORD SHS 44,071 -2,010 $3,443
     ALC44,071-2,010$3,443
EDWARDS LIFESCIENCES CORP 44,780 -3,495 $3,415
     EW44,780-3,495$3,415
BANCO BILBAO VIZCAYA ARGENTAAD 373,463 +3,528 $3,402
     BBVA373,463+3,528$3,402
CHUNGHWA TELECOM CO LTD SPON A 86,927 -6,674 $3,396
     CHT86,927-6,674$3,396
CGI INC CL A SUB VTG 31,445 -784 $3,371
     GIB31,445-784$3,371
AON PLC SHS CL A 11,565 +76 $3,366
     AON11,565+76$3,366
ING GROEP N V ADR SPONSORED 222,400 +2,873 $3,340
     ING222,400+2,873$3,340
FERRARI N V COM 9,851 -1,344 $3,334
     RACE9,851-1,344$3,334
SCHLUMBERGER 62,849 +59 $3,271
     SLB62,849+59$3,271
HARTFORD FINANCIAL SERVICES GR 40,667 +527 $3,269
     HIG40,667+527$3,269
TRAVELERS COMPANIES INC 17,092 +271 $3,256
     TRV17,092+271$3,256
THERMO ELECTRON CORP 6,120 -43 $3,249
     TMO6,120-43$3,249
AGILENT TECHNOLOGIES INC 23,300 -1,692 $3,239
     A23,300-1,692$3,239
CRH PLC ORD 46,530 +46,530 $3,218
     CRH46,530+46,530$3,218
KINDER MORGAN INC DEL COM 181,350 +421 $3,199
     KMI181,350+421$3,199
RYDER SYSTEM INC 27,612 +1,457 $3,177
     R27,612+1,457$3,177
BECTON DICKINSON & CO 12,993 -555 $3,168
     BDX12,993-555$3,168
CDW CORP 13,907 +718 $3,161
     CDW13,907+718$3,161
CHIPOTLE MEXICAN GRILL INC CL 1,372 +16 $3,138
     CMG1,372+16$3,138
FASTENAL CO 48,446 -3,018 $3,138
     FAST48,446-3,018$3,138
IQVIA HOLDINGS INC 13,266 -305 $3,069
     IQV13,266-305$3,069
STELLANTIS N V SHRS 131,336 +5,557 $3,063
     STLA131,336+5,557$3,063
CUMMINS ENGINE INC 12,619 +3,264 $3,023
     CMI12,619+3,264$3,023
THOMSON REUTERS CORP. COM 20,430 -1,583 $2,988
     TRI20,430-1,583$2,988
AMERICAN INTERNATIONAL GROUP I 43,634 +118 $2,956
     AIG43,634+118$2,956
TRANSDIGM GROUP INC 2,857 -34 $2,890
     TDG2,857-34$2,890
MOTOROLA INC COM NEW 9,205 +589 $2,882
     MSI9,205+589$2,882
MSCI INC CL A 5,071 -10 $2,868
     MSCI5,071-10$2,868
PACCAR INC 29,335 -1,640 $2,864
     PCAR29,335-1,640$2,864
SEMPRA ENERGY CORP 38,190 +147 $2,854
     SRE38,190+147$2,854
AMERICA MOVIL SAB DE CV SPON A 153,788 +477 $2,848
     AMX153,788+477$2,848
QIAGEN NV SHS NEW 65,520 -7,046 $2,845
     QGEN65,520-7,046$2,845
MONSTER BEVERAGE CORP NEW COM 49,073 -2,471 $2,827
     MNST49,073-2,471$2,827
WHEATON PRECIOUS METALS CORP C 57,104 +12,332 $2,817
     WPM57,104+12,332$2,817
NOVARTIS AG SPONSORED ADR 27,822 +398 $2,809
     NVS27,822+398$2,809
CIRRUS LOGIC INC 33,763 -8,384 $2,808
     CRUS33,763-8,384$2,808
TOPBUILD CORP COM 7,456 -1,954 $2,791
     BLD7,456-1,954$2,791
CBOE HLDGS INC 15,603 +1,046 $2,786
     CBOE15,603+1,046$2,786
O REILLY AUTOMOTIVE INC NEW CO 2,927 -774 $2,781
     ORLY2,927-774$2,781
REPUBLIC SVCS INC 16,814 +109 $2,773
     RSG16,814+109$2,773
VISTRA ENERGY CORP COM 71,234 +814 $2,744
     VST71,234+814$2,744
LULULEMON ATHLETICA INC 5,366 +4,772 $2,743
     LULU5,366+4,772$2,743
ASTRAZENECA PLC ADR SPONSORED 40,494 +949 $2,727
     AZN40,494+949$2,727
PARKER HANNIFIN CORP 5,911 -282 $2,723
     PH5,911-282$2,723
TELUS CORP COM 152,722 +1,540 $2,717
     TU152,722+1,540$2,717
X C E L ENERGY INC 43,591 +1,120 $2,698
     XEL43,591+1,120$2,698
RESTAURANT BRANDS INTL INC COM 34,486 -870 $2,695
     QSR34,486-870$2,695
IDEXX LABORATORIES CORP 4,761 -294 $2,642
     IDXX4,761-294$2,642
METTLER TOLEDO INTL INC 2,160 +77 $2,620
     MTD2,160+77$2,620
INGERSOLL RAND INC COM 33,780 -3,521 $2,613
     IR33,780-3,521$2,613
TC ENERGY CORP COM 66,489 +1,277 $2,599
     TRP66,489+1,277$2,599
LOCKHEED MARTIN CORP 5,729 -6,644 $2,597
     LMT5,729-6,644$2,597
COPART INC 52,959 +2,147 $2,595
     CPRT52,959+2,147$2,595
MANPOWER INC WIS 32,278 -1,555 $2,565
     MAN32,278-1,555$2,565
HILTON WORLDWIDE HLDGS INC WHE 14,027 +720 $2,554
     HLT14,027+720$2,554
GRAND CANYON ED INC COM 19,349 -6,297 $2,554
     LOPE19,349-6,297$2,554
NXP SEMICONDUCTORS N V COM 10,856 +50 $2,494
     NXPI10,856+50$2,494
ENI S P A ADR SPONSORED 73,309 +3,550 $2,493
     E73,309+3,550$2,493
BORG WARNER INC 69,262 +5,308 $2,483
     BWA69,262+5,308$2,483
US FOODS HLDG CORP COM 54,637 -23,636 $2,481
     USFD54,637-23,636$2,481
BIOGEN IDEC INC 9,527 -2,255 $2,465
     BIIB9,527-2,255$2,465
WELLTOWER INC 26,983 +375 $2,433
     WELL26,983+375$2,433
AGNICO EAGLE MINES LTD 44,125 -348 $2,420
     AEM44,125-348$2,420
STMICROELECTRONICS N V SHS N Y 48,174 +2,670 $2,415
     STM48,174+2,670$2,415
FREEPORT MCMORAN COPPER 56,326 -3,327 $2,398
     FCX56,326-3,327$2,398
PIONEER NATURAL RESOURCES CO 10,649 -3,946 $2,394
     PXD10,649-3,946$2,394
TRUIST FINANCIAL CORPORATION C 63,814 -191 $2,356
     TFC63,814-191$2,356
DEXCOM INC 18,965 -1,461 $2,354
     DXCM18,965-1,461$2,354
REGENERON PHARMACEUTICALS 2,680 -33 $2,354
     REGN2,680-33$2,354
AMETEK INC 14,245 -397 $2,349
     AME14,245-397$2,349
HALEON PLC SPON ADS 282,602 +4,270 $2,326
     HLN282,602+4,270$2,326
ANSYS INC 6,402 -10 $2,324
     ANSS6,402-10$2,324
MARRIOTT INTL INC NEW CL A 10,243 +448 $2,310
     MAR10,243+448$2,310
HENRY JACK & ASSOC INC 14,101 -545 $2,304
     JKHY14,101-545$2,304
DIGITAL RLTY TR INC 17,095 -150 $2,301
     DLR17,095-150$2,301
WESCO INTL INC 13,226 +4,942 $2,300
     WCC13,226+4,942$2,300
AMERICAN WTR WKS CO INC NEW CO 17,366 +284 $2,292
     AWK17,366+284$2,292
MIZUHO FINL GROUP INC SPONSORE 664,672 -3,121 $2,286
     MFG664,672-3,121$2,286
PFIZER INC 78,863 +1,107 $2,271
     PFE78,863+1,107$2,271
ROCKWELL AUTOMATION INC 7,313 -207 $2,271
     ROK7,313-207$2,271
M G I C INVESTMENT CORP WIS 117,517 +774 $2,267
     MTG117,517+774$2,267
WEST PHARMACEUTICAL SVCS INC 6,404 -46 $2,255
     WST6,404-46$2,255
NORFOLK SOUTHERN CORP 9,536 -34 $2,254
     NSC9,536-34$2,254
EXTRA SPACE STORAGE INC 13,947 -398 $2,237
     EXR13,947-398$2,237
ACUITY BRANDS INC 10,903 +55 $2,233
     AYI10,903+55$2,233
WILLIAMS COS INC 63,967 -1,903 $2,228
     WMB63,967-1,903$2,228
ATMOS ENERGY CORP 19,202 +2,321 $2,225
     ATO19,202+2,321$2,225
FIFTH THIRD BANCORP 64,045 +20,023 $2,209
     FITB64,045+20,023$2,209
FORTINET INC COM 37,364 -1,775 $2,187
     FTNT37,364-1,775$2,187
ALLSTATE CORP 15,502 -325 $2,170
     ALL15,502-325$2,170
GENMAB A S SPONSORED ADR 67,675 -6,138 $2,155
     GMAB67,675-6,138$2,155
MONOLITHIC PWR SYS INC 3,410 -390 $2,151
     MPWR3,410-390$2,151
LYONDELLBASELL INDUSTRIES N SH 22,576 -1,081 $2,147
     LYB22,576-1,081$2,147
TRIP COM GROUP LTD ADS 59,624 +30,560 $2,147
     TCOM59,624+30,560$2,147
GENPACT LIMITED 61,658 -158,558 $2,140
     G61,658-158,558$2,140
YUM BRANDS INC 16,350 -142 $2,136
     YUM16,350-142$2,136
EVERSOURCE ENERGY COM 34,578 +2,248 $2,134
     ES34,578+2,248$2,134
GARTNER GROUP INC NEW CL A 4,722 -1 $2,131
     IT4,722-1$2,131
VULCAN MATERIALS CO 9,352 -461 $2,123
     VMC9,352-461$2,123
WEC ENERGY GROUP INC COM 25,211 +582 $2,122
     WEC25,211+582$2,122
POSCO SPONSORED ADR 22,284 -1,138 $2,120
     PKX22,284-1,138$2,120
HERSHEY FOODS CORP 11,322 -256 $2,111
     HSY11,322-256$2,111
AUTOZONE INC 815 -55 $2,107
     AZO815-55$2,107
NEWMONT MINING CORP 50,797 +512 $2,103
     NEM50,797+512$2,103
OLD DOMINION FGHT LINES INC 5,117 -1,021 $2,074
     ODFL5,117-1,021$2,074
ORANGE S A 180,962 -2,999 $2,068
     ORAN180,962-2,999$2,068
INCYTE GENOMICS INC 32,594 -961 $2,047
     INCY32,594-961$2,047
MOLINA HEALTHCARE INC 5,658 -646 $2,044
     MOH5,658-646$2,044
VERISK ANALYTICS INC CL A 8,508 +60 $2,032
     VRSK8,508+60$2,032
JOHNSON CONTROLS INTERNATIONAL 35,080 -15,889 $2,022
     JCI35,080-15,889$2,022
C M S ENERGY CORP 34,199 +5,645 $1,985
     CMS34,199+5,645$1,985
ARGENX SE SPONSORED ADR 5,179 -160 $1,970
     ARGX5,179-160$1,970
COSTAR GROUP INC 22,528 +83 $1,969
     CSGP22,528+83$1,969
MEDPACE HLDGS INC COM 6,423 -123 $1,969
     MEDP6,423-123$1,969
WATERS CORP 5,967 -335 $1,965
     WAT5,967-335$1,965
ORIX CORP ADR SPONSORED 20,985 +1,221 $1,960
     IX20,985+1,221$1,960
REALTY INCOME CORP 34,084 +302 $1,957
     O34,084+302$1,957
ISHARES TRUST DOW JONES SEL DI (DVY) 16,671 UNCH $1,954
     DVY16,671UNCH$1,954
UNITED RENTALS INC 3,398 -112 $1,948
     URI3,398-112$1,948
PRUDENTIAL PLC ADR 85,984 +7,169 $1,930
     PUK85,984+7,169$1,930
AMCOR PLC ORD 199,988 +35,228 $1,928
     AMCR199,988+35,228$1,928
EQUINOR ASA SPONSORED ADR 60,760 -1,600 $1,922
     EQNR60,760-1,600$1,922
SMITH & NEPHEW PLC ADR SPONS N 70,289 -6,468 $1,918
     SNN70,289-6,468$1,918
RAYMOND JAMES FINANCIAL INC 17,102 -561 $1,907
     RJF17,102-561$1,907
FRANCO NEVADA CORP COM 17,050 -1,848 $1,890
     FNV17,050-1,848$1,890
ARCH CAP GROUP LTD ORD 25,250 -6 $1,876
     ACGL25,250-6$1,876
AMERICAN ELECTRIC POWER 23,059 -423 $1,873
     AEP23,059-423$1,873
WEX INC 9,598 -9,894 $1,867
     WEX9,598-9,894$1,867
LOGITECH INTL S A SHS 19,576 -175,451 $1,861
     LOGI19,576-175,451$1,861
BROOKFIELD CORP CL A LMT VTG S 45,941 +3,547 $1,843
     BN45,941+3,547$1,843
HESS CORP 12,756 +235 $1,839
     HES12,756+235$1,839
P P G INDS INC 12,291 -571 $1,838
     PPG12,291-571$1,838
DAVITA INC 17,500 -5,631 $1,833
     DVA17,500-5,631$1,833
KEYSIGHT TECHNOLOGIES INC COM 11,518 -430 $1,832
     KEYS11,518-430$1,832
AVERY DENNISON CORP 9,046 -53 $1,828
     AVY9,046-53$1,828
INTERCONTINENTAL HOTELS GROUP 19,980 -1,049 $1,822
     IHG19,980-1,049$1,822
FIDELITY NATIONAL INFORMATION 30,171 -1,375 $1,812
     FIS30,171-1,375$1,812
TRACTOR SUPPLY CO 8,419 -223 $1,811
     TSCO8,419-223$1,811
QUANTA SERVICES INC 8,354 -1,943 $1,803
     PWR8,354-1,943$1,803
SANOFI AVENTIS ADR 36,274 +869 $1,803
     SNY36,274+869$1,803
SHINHAN FINANCIAL GROUP CO LSP 57,964 -540 $1,784
     SHG57,964-540$1,784
FAIR ISAAC & CO INC 1,526 -133 $1,777
     FICO1,526-133$1,777
LOEWS CORP 25,433 -746 $1,770
     L25,433-746$1,770
PULTE CORP 17,141 -2,628 $1,770
     PHM17,141-2,628$1,770
REGIONS FINANCIAL CORP 91,165 -48,450 $1,767
     RF91,165-48,450$1,767
ONEMAIN HLDGS INC 35,659 -7,124 $1,754
     OMF35,659-7,124$1,754
HUNT J B TRANSPORT SERVICES IN 8,741 -513 $1,746
     JBHT8,741-513$1,746
BUILDERS FIRSTSOURCE INC COM 10,449 -4,841 $1,745
     BLDR10,449-4,841$1,745
ONEOK INC 24,841 -820 $1,745
     OKE24,841-820$1,745
LAUDER ESTEE COS INC CL A 11,891 -509 $1,739
     EL11,891-509$1,739
DEUTSCHE BANK AG ORD 128,224 +9,574 $1,738
     DB128,224+9,574$1,738
AGCO CORP 14,279 +6,304 $1,734
     AGCO14,279+6,304$1,734
ROGERS COMMUNICATIONS INC CL B 37,039 -3,762 $1,734
     RCI37,039-3,762$1,734
N V R INC 247 -3 $1,729
     NVR247-3$1,729
OCCIDENTAL PETROLEUM CORP 28,712 -1,436 $1,715
     OXY28,712-1,436$1,715
DICKS SPORTING GOODS INC 11,658 -849 $1,713
     DKS11,658-849$1,713
FACTSET RESEARCH SYSTEMS INC 3,592 -44 $1,713
     FDS3,592-44$1,713
HALLIBURTON CO 47,236 -599 $1,707
     HAL47,236-599$1,707
NORDSTROM INC 92,394 -110,627 $1,704
     JWN92,394-110,627$1,704
ZIMMER HLDGS INC 13,965 -224 $1,700
     ZBH13,965-224$1,700
CHARTER COMMUNICATIONS INC 4,367 -327 $1,697
     CHTR4,367-327$1,697
NASDAQ STOCK MARKET INC 29,178 +311 $1,697
     NDAQ29,178+311$1,697
CORTEVA INC COM 35,321 -280 $1,692
     CTVA35,321-280$1,692
GLOBE LIFE INC COM 13,838 +504 $1,685
     GL13,838+504$1,685
CONSTELLATION ENERGY CORP COM 14,405 -454 $1,683
     CEG14,405-454$1,683
CENTENE CORP DEL 22,530 +3,510 $1,672
     CNC22,530+3,510$1,672
DOMINION RESOURCES INC VA 35,568 -766 $1,672
     D35,568-766$1,672
GE HEALTHCARE TECHNOLOGIES ICO 21,399 -248 $1,655
     GEHC21,399-248$1,655
PHILIPS ELECTRONICS NY SHR 70,504 +2,834 $1,644
     PHG70,504+2,834$1,644
CENTRAIS ELETRICAS BRASILEIRAD      $1,642
     EBR145,441-9,641$1,253
     EBR.B40,819-9,033$389
FIRSTSERVICE CORP NEW COM 10,062 +1,134 $1,631
     FSV10,062+1,134$1,631
KOHLS CORP 56,815 -35,651 $1,629
     KSS56,815-35,651$1,629
PUBLIC SERVICE ENTERPRISES 26,626 -125 $1,628
     PEG26,626-125$1,628
DOLLAR GEN CORP NEW 11,943 -1,145 $1,624
     DG11,943-1,145$1,624
GARMIN LTD SHS 12,603 +289 $1,620
     GRMN12,603+289$1,620
GLOBAL PAYMENTS INC 12,664 -677 $1,608
     GPN12,664-677$1,608
L3 HARRIS TECHNOLOGIES INC COM 7,631 -52 $1,607
     LHX7,631-52$1,607
ON SEMICONDUCTOR CORP 19,233 -2,159 $1,606
     ON19,233-2,159$1,606
PEMBINA PIPELINE CORP COM 46,528 +124 $1,602
     PBA46,528+124$1,602
AMEREN CORP 21,912 +1,793 $1,585
     AEE21,912+1,793$1,585
JONES LANG LASALLE INC 8,365 -1,070 $1,580
     JLL8,365-1,070$1,580
SBA COMMUNICATIONS CORP NEW CL 6,184 +124 $1,569
     SBAC6,184+124$1,569
BROWN & BROWN INC 21,987 -389 $1,564
     BRO21,987-389$1,564
QUEST DIAGNOSTICS INC 11,322 -97,680 $1,561
     DGX11,322-97,680$1,561
XYLEM INC COM 13,645 -101 $1,561
     XYL13,645-101$1,561
KELLOGG CO 27,901 -575 $1,560
     K27,901-575$1,560
NORTHERN TRUST CORP 18,463 +286 $1,558
     NTRS18,463+286$1,558
EMCOR GROUP INC 7,220 +93 $1,555
     EME7,220+93$1,555
CF INDS HLDGS INC 19,296 -69 $1,534
     CF19,296-69$1,534
ALLIANT ENERGY CORP 29,827 +1,347 $1,530
     LNT29,827+1,347$1,530
U N U M PROVIDENT CORP 33,661 +4,556 $1,522
     UNM33,661+4,556$1,522
BAKER HUGHES A GE CO CL A 44,064 +838 $1,506
     BKR44,064+838$1,506
EBAY INC 34,351 -193 $1,498
     EBAY34,351-193$1,498
DOLLAR TREE INC 10,499 -787 $1,492
     DLTR10,499-787$1,492
IDEX CORP 6,814 +245 $1,479
     IEX6,814+245$1,479
VERISIGN INC 7,153 +576 $1,473
     VRSN7,153+576$1,473
VODAFONE GROUP PLC NEW SPNSR A 169,304 +2,476 $1,472
     VOD169,304+2,476$1,472
RESMED INC 8,545 -538 $1,470
     RMD8,545-538$1,470
AKAMAI TECHNOLOGIES INC 12,383 +2,541 $1,465
     AKAM12,383+2,541$1,465
WILLIS TOWERS WATSON PUB LTD S 6,058 +184 $1,461
     WTW6,058+184$1,461
TELEFONICA S A ADR SPONSORED 373,929 +6,066 $1,459
     TEF373,929+6,066$1,459
PENTAIR PLC SHS 19,934 +7,960 $1,449
     PNR19,934+7,960$1,449
MODERNA INC COM 14,524 -273 $1,444
     MRNA14,524-273$1,444
WARNER BROS DISCOVERY INC SERI 126,616 -87 $1,441
     WBD126,616-87$1,441
EQUIFAX INC 5,822 +13 $1,439
     EFX5,822+13$1,439
BARRICK GOLD CORP 79,523 +1,053 $1,438
     GOLD79,523+1,053$1,438
EDISON INTL 20,039 -5 $1,433
     EIX20,039-5$1,433
LABORATORY CORP AMER HLDGS 6,306 +307 $1,433
     LH6,306+307$1,433
JP MORGAN ULTRA SHORT INCOME 28,513 UNCH $1,432
     JPST28,513UNCH$1,432
BUNGE GLOBAL SA COM SHS 14,090 -109,309 $1,422
     BG14,090-109,309$1,422
BROOKFIELD ASSET MANAGMT LTDCL 35,349 -4,023 $1,420
     BAM35,349-4,023$1,420
EXELIXIS INC 59,188 +7,308 $1,419
     EXEL59,188+7,308$1,419
COTERRA ENERGY 55,596 -6,072 $1,418
     CTRA55,596-6,072$1,418
JAMES HARDIE INDS N V SPONSORE 36,658 +455 $1,418
     JHX36,658+455$1,418
ISHARES JP MORGAN EMERGING MKT (EMB) 15,795 UNCH $1,407
     EMB15,795UNCH$1,407
PHILIP MORRIS INTL INC 14,946 -408 $1,406
     PM14,946-408$1,406
CHARLES RIV LABORATORIES INT 5,937 UNCH $1,404
     CRL5,937UNCH$1,404
POOL CORP 3,519 -170 $1,404
     POOL3,519-170$1,404
DISCOVER FINANCIAL SERVICES 12,477 -16,548 $1,403
     DFS12,477-16,548$1,403
LI AUTO INC SPONSORED ADS 37,479 +1,679 $1,403
     LI37,479+1,679$1,403
HF SINCLAIR CORPORATION COM 25,175 +897 $1,399
     DINO25,175+897$1,399
STERIS PLC SHS USD 6,348 -180 $1,395
     STE6,348-180$1,395
CROCS INC 14,738 +8,415 $1,377
     CROX14,738+8,415$1,377
AVALONBAY COMMUNITIES INC 7,334 -1,616 $1,373
     AVB7,334-1,616$1,373
ERICSSON L M TEL CO 217,480 -1,242,152 $1,370
     ERIC217,480-1,242,152$1,370
MARATHON OIL CORP 56,505 -5,991 $1,365
     MRO56,505-5,991$1,365
EQUITY RESIDENTIAL PPTYS 22,254 -853 $1,361
     EQR22,254-853$1,361
ROYAL CARIBBEAN CRUISES LTD 10,515 +1,470 $1,361
     RCL10,515+1,470$1,361
STATE STREET CORP 17,464 -709 $1,353
     STT17,464-709$1,353
NETAPP INC 15,314 -485 $1,350
     NTAP15,314-485$1,350
HOWMET AEROSPACE INC COM 24,919 -428 $1,349
     HWM24,919-428$1,349
FOX CORP CL A COM 45,091 -1,400 $1,338
     FOXA45,091-1,400$1,338
LEAR CORP COM NEW 9,390 +801 $1,325
     LEA9,390+801$1,325
FORTIVE CORP COM 17,957 +1,082 $1,322
     FTV17,957+1,082$1,322
PVH CORPORATION 10,733 -24,596 $1,311
     PVH10,733-24,596$1,311
SMITH A O CORP 15,856 -1,288 $1,307
     AOS15,856-1,288$1,307
PRINCIPAL FINL GROUP INC 16,546 +557 $1,302
     PFG16,546+557$1,302
DOVER CORP 8,410 -132 $1,294
     DOV8,410-132$1,294
T ROWE PRICE GROUP INC 12,016 -623 $1,294
     TROW12,016-623$1,294
BERKLEY W R CORP 18,264 -413 $1,292
     WRB18,264-413$1,292
DEVON ENERGY CORP 28,312 +772 $1,282
     DVN28,312+772$1,282
CENOVUS ENERGY INC COM 76,811 +4,123 $1,279
     CVE76,811+4,123$1,279
WALGREENS BOOTS ALLIANCE INC C 48,833 +2,748 $1,276
     WBA48,833+2,748$1,276
PTC INC COM 7,274 -413 $1,272
     PTC7,274-413$1,272
CONSTELLATION BRANDS 5,256 +121 $1,271
     STZ5,256+121$1,271
TYLER TECHNOLOGIES INC 3,032 +101 $1,268
     TYL3,032+101$1,268
NU HLDGS LTD ORD SHS CL A 151,484 +7,538 $1,262
     NU151,484+7,538$1,262
P T TELEKOMUNIKASI INDONESIASP 48,515 -993 $1,250
     TLK48,515-993$1,250
KEURIG DR PEPPER INC COM 37,370 +133 $1,245
     KDP37,370+133$1,245
LAMB WESTON HLDGS INC COM 11,515 -227 $1,244
     LW11,515-227$1,244
HORMEL FOODS CORP 38,555 +2,328 $1,238
     HRL38,555+2,328$1,238
ROBLOX CORP CL A 27,017 +27,017 $1,236
     RBLX27,017+27,017$1,236
NOKIA CORP ADR SPONSORED 359,548 -33 $1,230
     NOK359,548-33$1,230
WABTEC CORP 9,695 -609 $1,230
     WAB9,695-609$1,230
CAMECO CORP 28,518 +1,845 $1,229
     CCJ28,518+1,845$1,229
ULTA SALON COSMETCS & FRAG ICO 2,494 -756 $1,222
     ULTA2,494-756$1,222
MCCORMICK & CO INC 17,854 -1,161 $1,221
     MKC17,854-1,161$1,221
APTIV PLC SHS 13,565 +317 $1,217
     APTV13,565+317$1,217
HOLOGIC INC 17,023 -760 $1,217
     HOLX17,023-760$1,217
DIAGEO PLC ADR SPONSORED 8,311 +54 $1,211
     DEO8,311+54$1,211
GENUINE PARTS CO 8,740 -2,647 $1,210
     GPC8,740-2,647$1,210
CEMEX S A SPONSORED ADR 155,492 -273 $1,205
     CX155,492-273$1,205
KENVUE INC COM 54,978 +185 $1,184
     KVUE54,978+185$1,184
CORE & MAIN INC CL A 29,175 +4,690 $1,179
     CNM29,175+4,690$1,179
SHOCKWAVE MED INC COM 6,180 -227 $1,178
     SWAV6,180-227$1,178
MSC INDL DIRECT INC CL A 11,576 +3,037 $1,172
     MSM11,576+3,037$1,172
NORTHROP GRUMMAN CORP 2,492 +228 $1,167
     NOC2,492+228$1,167
GRACO INC 13,409 -213 $1,163
     GGG13,409-213$1,163
GODADDY INC CL A 10,934 -5 $1,161
     GDDY10,934-5$1,161
SUPER MICRO COMPUTER INC COM 4,078 +18 $1,160
     SMCI4,078+18$1,160
FLEETCOR TECHNOLOGIES INC COM 4,099 -625 $1,158
     FLT4,099-625$1,158
GSK PLC SPONSORED ADR 30,996 +887 $1,149
     GSK30,996+887$1,149
PACKAGING CORP AMER 7,006 -1,090 $1,142
     PKG7,006-1,090$1,142
SPLUNK INC COM 7,459 +7,459 $1,136
     SPLK7,459+7,459$1,136
CARLISLE COS INC 3,603 -284 $1,126
     CSL3,603-284$1,126
BANCO BRADESCO S A SP ADR PFD 321,042 +5,861 $1,123
     BBD321,042+5,861$1,123
MANHATTAN ASSOCS INC 5,164 -131 $1,112
     MANH5,164-131$1,112
BALL CORP 19,170 -725 $1,103
     BALL19,170-725$1,103
INTERNATIONAL PAPER CO 30,482 -507 $1,102
     IP30,482-507$1,102
MAGNA INTL INC CL A 18,437 +1,949 $1,089
     MGA18,437+1,949$1,089
R P M INC OHIO 9,747 -644 $1,088
     RPM9,747-644$1,088
EXPEDIA INC DEL COM NEW 7,103 +607 $1,078
     EXPE7,103+607$1,078
SIMPSON MANUFACTURING CO INC 5,449 -160 $1,078
     SSD5,449-160$1,078
OPEN TEXT CORP COM 25,519 +1,191 $1,073
     OTEX25,519+1,191$1,073
STEEL DYNAMICS INC 9,070 -2,727 $1,071
     STLD9,070-2,727$1,071
AXON ENTERPRISE INC COM 4,141 -191 $1,069
     AXON4,141-191$1,069
WATSCO INC 2,493 -62 $1,068
     WSO2,493-62$1,068
EVEREST GROUP LTD 3,008 +3,008 $1,064
     EG3,008+3,008$1,064
NEUROCRINE BIOSCIENCES INC 8,056 -491 $1,062
     NBIX8,056-491$1,062
LENNOX INTL INC 2,361 -55 $1,056
     LII2,361-55$1,056
TARGA RES CORP COM 12,114 -1,114 $1,052
     TRGP12,114-1,114$1,052
TYSON FOODS INC CL A 19,532 -6,619 $1,050
     TSN19,532-6,619$1,050
CHURCH & DWIGHT CO 11,059 +61 $1,046
     CHD11,059+61$1,046
LPL FINANCIAL HOLDINGS INC 4,597 +689 $1,046
     LPLA4,597+689$1,046
DIAMONDBACK ENERGY INC COM 6,732 +128 $1,044
     FANG6,732+128$1,044
CONAGRA INC 36,253 -165 $1,039
     CAG36,253-165$1,039
SEAGATE TECHNOLOGY HLDNGS PLC 12,172 -278 $1,039
     STX12,172-278$1,039
NVENT ELECTRIC PLC SHS 17,536 -480 $1,036
     NVT17,536-480$1,036
QUALYS INC COM 5,257 +32 $1,032
     QLYS5,257+32$1,032
P P L CORP 38,003 UNCH $1,030
     PPL38,003UNCH$1,030
INTL FLAVORS & FRAGRANCES 12,701 +120 $1,028
     IFF12,701+120$1,028
D T E ENERGY CO 9,298 -329 $1,025
     DTE9,298-329$1,025
PEARSON PLC ADR SPONSORED 83,338 +8,333 $1,024
     PSO83,338+8,333$1,024
ANHEUSER BUSCH INBEV SA NV SPO 15,773 +1,351 $1,019
     BUD15,773+1,351$1,019
DONALDSON INC 15,580 -530 $1,018
     DCI15,580-530$1,018
PREMIER INC CL A 45,151 +12,612 $1,010
     PINC45,151+12,612$1,010
RYANAIR HOLDINGS PLC 7,556 -323 $1,007
     RYAAY7,556-323$1,007
BAXTER INTL INC 25,864 -790 $1,000
     BAX25,864-790$1,000
SMUCKER J M CO 7,895 -1,188 $998
     SJM7,895-1,188$998
VERALTO CORP COM SHS 12,139 -1,298 $998
     VLTO12,139-1,298$998
DOMINOS PIZZA INC 2,414 -124 $995
     DPZ2,414-124$995
NEWMARKET CORP 1,821 -204 $994
     NEU1,821-204$994
SCHEIN HENRY INC 13,090 +197 $991
     HSIC13,090+197$991
PERKINELMER INC 9,035 +9,035 $988
     RVTY9,035+9,035$988
CINCINNATI FINANCIAL CORP 9,538 -59 $987
     CINF9,538-59$987
IMPERIAL OIL LTD 17,214 +1,399 $984
     IMO17,214+1,399$984
DYNATRACE INC COM 17,975 +46 $983
     DT17,975+46$983
HUBBELL INC 2,975 -1,623 $979
     HUBB2,975-1,623$979
W P CAREY INC COM 15,105 +15,105 $979
     WPC15,105+15,105$979
ROLLINS INC 22,348 -1,414 $976
     ROL22,348-1,414$976
CLOROX CO 6,833 -545 $975
     CLX6,833-545$975
EQUITY LIFESTYLE PPTYS INC 13,757 +1,309 $971
     ELS13,757+1,309$971
JANUS HENDERSON GROUP PLC ORD 31,734 -76,313 $957
     JHG31,734-76,313$957
SOUTHWEST AIRLINES CO 33,125 +1,371 $956
     LUV33,125+1,371$956
WORKDAY INC CL A 3,461 -127 $956
     WDAY3,461-127$956
LINCOLN ELEC HLDGS INC 4,393 -202 $955
     LECO4,393-202$955
TAKE TWO INTERACTIVE SOFTWARE 5,928 -108 $954
     TTWO5,928-108$954
LKQ CORP 19,938 +535 $953
     LKQ19,938+535$953
GEN DIGITAL INC 41,622 -425,191 $950
     GEN41,622-425,191$950
NOMURA HLDGS INC SPONSORED ADR 209,713 -209 $946
     NMR209,713-209$946
BROOKFIELD INFRAST PARTNERS LP 29,515 -11,265 $930
     BIP29,515-11,265$930
ALIGN TECHNOLOGY INC 3,392 -417 $929
     ALGN3,392-417$929
NORDSON CORP 3,508 +67 $926
     NDSN3,508+67$926
TELEDYNE TECHNOLOGIES INC 2,070 +91 $924
     TDY2,070+91$924
LIVE NATION INC 9,858 +1,599 $922
     LYV9,858+1,599$922
TECK COMINCO LTD CL B 21,569 +564 $912
     TECK21,569+564$912
BIO TECHNE CORP COM 11,814 -833 $911
     TECH11,814-833$911
APTARGROUP INC 7,318 -233 $905
     ATR7,318-233$905
CARTER HLDGS INC 12,062 +12,062 $903
     CRI12,062+12,062$903
VENTAS INC 18,128 -1,093 $903
     VTR18,128-1,093$903
ENSIGN GROUP INC COM 8,037 +954 $901
     ENSG8,037+954$901
FIDELITY NATIONAL FINANCIAL FN 17,547 +1,163 $896
     FNF17,547+1,163$896
CAMPBELL SOUP CO 20,562 -852 $889
     CPB20,562-852$889
TRIMBLE NAVIGATION LTD 16,687 -718 $888
     TRMB16,687-718$888
FRESENIUS MED CARE AG SPONSORE 42,523 -6,159 $885
     FMS42,523-6,159$885
FIRSTENERGY CORP 24,040 UNCH $881
     FE24,040UNCH$881
MASCO CORP 13,130 -80 $879
     MAS13,130-80$879
WPP PLC NEW ADR 18,287 +3,281 $870
     WPP18,287+3,281$870
FABRINET SHS 4,544 -108 $865
     FN4,544-108$865
FIVE BELOW INC COM 4,055 -95 $864
     FIVE4,055-95$864
E L F BEAUTY INC COM 5,983 -55 $863
     ELF5,983-55$863
F5 NETWORKS INC 4,825 +1,139 $863
     FFIV4,825+1,139$863
BURLINGTON STORES INC COM 4,436 +4,436 $862
     BURL4,436+4,436$862
M & T BANK CORP 6,266 -450 $859
     MTB6,266-450$859
MOSAIC CO NEW COM 24,009 -1,853 $858
     MOS24,009-1,853$858
SAIA INC 1,949 -58 $854
     SAIA1,949-58$854
FLOOR & DECOR HLDGS INC CL A 7,640 +7,640 $852
     FND7,640+7,640$852
SOCIEDA QUIMICA MIN DE CHILE 14,131 -1,559 $851
     SQM14,131-1,559$851
MURPHY USA INC COM 2,376 +2,376 $847
     MUSA2,376+2,376$847
FIRST SOLAR INC 4,915 -225 $846
     FSLR4,915-225$846
DARDEN RESTAURANTS INC 5,146 -74 $845
     DRI5,146-74$845
AECOM TECHNOLOGY CORP DELAWACO 9,107 -344 $841
     ACM9,107-344$841
HCA HOLDINGS INC 3,104 -184 $840
     HCA3,104-184$840
PRIMERICA INC COM 4,082 +1,110 $840
     PRI4,082+1,110$840
REXFORD INDL RLTY INC COM 14,951 -144 $839
     REXR14,951-144$839
CITIZENS FINL GROUP INC COM 25,144 +268 $833
     CFG25,144+268$833
BANCO DE CHILE SPONSORED ADR 35,894 -1,781 $828
     BCH35,894-1,781$828
COOPER COMPANIES INC 2,185 -153 $827
     COO2,185-153$827
ALEXANDRIA REAL EST EQTS INC 6,509 +17 $825
     ARE6,509+17$825
EPAM SYS INC COM 2,776 -61 $825
     EPAM2,776-61$825
ILLUMINA INC 5,924 -235 $825
     ILMN5,924-235$825
TELEFONICA BRASIL SA NEW ADR 75,406 +4,723 $824
     VIV75,406+4,723$824
KINSALE CAP GROUP INC COM 2,441 -115 $817
     KNSL2,441-115$817
NOVANTA INC COM 4,852 +29 $817
     NOVT4,852+29$817
SOUTHWESTERN ENERGY CO 124,160 +41,710 $813
     SWN124,160+41,710$813
GAMING & LEISURE PPTYS INC COM 16,289 +391 $804
     GLPI16,289+391$804
TOLL BROTHERS INC 7,798 -825 $802
     TOL7,798-825$802
XPO INC 9,103 +76 $797
     XPO9,103+76$797
WESTROCK CO COM 19,165 -2,411 $795
     WRK19,165-2,411$795
KINROSS GOLD CORP NO PAR 130,473 +2,204 $790
     KGC130,473+2,204$790
MID AMER APT CMNTYS INC 5,863 -80 $789
     MAA5,863-80$789
GATES INDUSTRIAL CORPRATIN POR 58,720 -2,000 $788
     GTES58,720-2,000$788
JABIL CIRCUIT INC 6,185 -22,506 $788
     JBL6,185-22,506$788
CUBESMART COM 16,952 -329 $785
     CUBE16,952-329$785
UNITED THERAPEUTICS CORP DEL 3,567 -455 $784
     UTHR3,567-455$784
MARKETAXESS HLDGS INC COM 2,674 -119 $783
     MKTX2,674-119$783
SERVICE CORP INTL 11,440 -1,009 $783
     SCI11,440-1,009$783
ROYAL GOLD INC 6,467 -491 $782
     RGLD6,467-491$782
OPTION CARE HEALTH INC COM NEW 23,167 -605 $781
     OPCH23,167-605$781
CROWN HLDGS INC 8,469 -150 $780
     CCK8,469-150$780
SPROUTS FMRS MKT INC COM 16,219 +258 $780
     SFM16,219+258$780
SPS COMM INC COM 3,985 -164 $772
     SPSC3,985-164$772
ALBEMARLE CORP 5,329 -483 $770
     ALB5,329-483$770
HOST HOTELS & RESORTS INC 39,433 UNCH $768
     HST39,433UNCH$768
UFP INDUSTRIES INC COM 6,118 -40 $768
     UFPI6,118-40$768
OVINTIV INC COM 17,454 +979 $767
     OVV17,454+979$767
TORO CO 7,942 -597 $763
     TTC7,942-597$763
CACI INTL INC CL A 2,353 -58 $762
     CACI2,353-58$762
NATIONAL STORAGE AFFILIATES CO 18,327 -379 $760
     NSA18,327-379$760
ENPHASE ENERGY INC COM 5,706 -715 $754
     ENPH5,706-715$754
MATADOR RES CO COM 13,248 -4 $754
     MTDR13,248-4$754
RENAISSANCERE HLDGS LTD 3,823 -135 $749
     RNR3,823-135$749
YETI HLDGS INC COM 14,441 +396 $748
     YETI14,441+396$748
CHEMED CORPORATION 1,277 -133 $747
     CHE1,277-133$747
BRITISH AMERN TOB PLC SPONSORE 25,441 +1,684 $745
     BTI25,441+1,684$745
HEALTHEQUITY INC COM 11,233 -3,633 $745
     HQY11,233-3,633$745
REINSURANCE GROUP OF AMERICA I 4,594 -221 $743
     RGA4,594-221$743
HUNTINGTON BANCSHARES INC (HBAN) 58,221 UNCH $740
     HBAN58,221UNCH$740
INSULET CORP 3,396 -435 $737
     PODD3,396-435$737
BEIGENE LTD SPONSORED ADR 4,078 -158 $736
     BGNE4,078-158$736
ISHARES S&P CITI INTL TREASURY (IGOV) 17,775 UNCH $735
     IGOV17,775UNCH$735
UNITED STATES STEEL CORP 15,063 -1,068 $733
     X15,063-1,068$733
POWERSHARES EXCHANGE TRADED FD (RSP) 4,624 UNCH $730
     RSP4,624UNCH$730
TKO GROUP HOLDINGS INC CL A 8,889 +379 $726
     TKO8,889+379$726
GOLD FIELDS LTD NEW SPONSORED 50,200 -5,421 $725
     GFI50,200-5,421$725
SOUTHERN COPPER CORPORATION 8,311 -1,785 $716
     SCCO8,311-1,785$716
ESSENTIAL UTILS INC COM 19,083 -1,041 $713
     WTRG19,083-1,041$713
CHART INDS INC PAR 0.01 5,219 +78 $711
     GTLS5,219+78$711
VICI PPTYS INC COM 22,268 -6,287 $710
     VICI22,268-6,287$710
ADVANCED DRAIN SYS INC DEL COM 5,047 -169 $710
     WMS5,047-169$710
PENUMBRA INC COM 2,813 -138 $707
     PEN2,813-138$707
ACADEMY SPORTS & OUTDOORS INCO 10,677 -2,047 $705
     ASO10,677-2,047$705
LATTICE SEMICONDUCTOR CORP 10,156 -376 $701
     LSCC10,156-376$701
CENTERPOINT ENERGY INC 24,494 UNCH $700
     CNP24,494UNCH$700
CELANESE CORP DEL SER A 4,494 +777 $699
     CE4,494+777$699
CROWDSTRIKE HLDGS INC CL A 2,734 -73 $698
     CRWD2,734-73$698
STELLAR BANCORP INC COM 25,026 -355 $696
     STEL25,026-355$696
AEGON LTD AMER REG 1 CERT 120,805 +282 $695
     AEG120,805+282$695
EQUITABLE HLDGS INC COM 20,870 +20,870 $695
     EQH20,870+20,870$695
AMPHASTAR PHARMACEUTICALS INCO 11,219 -194 $694
     AMPH11,219-194$694
FORTUNE BRANDS HOME & SEC INCO 9,019 -12,777 $687
     FBIN9,019-12,777$687
KIMCO RLTY CORP 32,108 +119 $685
     KIM32,108+119$685
REPLIGEN CORP COM 3,805 -319 $684
     RGEN3,805-319$684
TERADYNE INC 6,296 -465 $683
     TER6,296-465$683
WIPRO LTD SPON ADR 1 SH 122,585 +444 $683
     WIT122,585+444$683
LAMAR ADVERTISING REIT CO 6,405 -342 $681
     LAMR6,405-342$681
SILICON LABORATORIES INC 5,135 -5 $679
     SLAB5,135-5$679
TEMPUR PEDIC INTL INC 13,288 -648 $677
     TPX13,288-648$677
CLEVELAND CLIFFS INC 32,955 -3,082 $673
     CLF32,955-3,082$673
A E S CORP 34,757 -813 $669
     AES34,757-813$669
CARMAX INC 8,683 -1,181 $667
     KMX8,683-1,181$667
TELEFLEX INC 2,670 -115 $666
     TFX2,670-115$666
ASSURANT INC 3,944 -463 $665
     AIZ3,944-463$665
IRIDIUM COMMUNICATIONS INC COM 16,114 -424 $664
     IRDM16,114-424$664
ITT INC COM 5,536 +117 $661
     ITT5,536+117$661
EAST WEST BANCORP INC 9,096 +25 $654
     EWBC9,096+25$654
NOV INC COM 32,217 -3,553 $654
     NOV32,217-3,553$654
CLEAN HARBORS INC 3,741 -202 $653
     CLH3,741-202$653
ENTERGY CORP 6,447 -67,165 $653
     ETR6,447-67,165$653
CURTISS WRIGHT CORP 2,922 -230 $651
     CW2,922-230$651
REGAL BELOIT CORP 4,391 -254 $650
     RRX4,391-254$650
BJS WHSL CLUB HLDGS INC COM 9,712 -894 $648
     BJ9,712-894$648
INTERACTIVE BROKERS GROUP INCO 7,752 -200 $642
     IBKR7,752-200$642
FRANKLIN RESOURCES INC 21,484 +667 $640
     BEN21,484+667$640
JACOBS SOLUTIONS INC COM 4,922 +18 $639
     J4,922+18$639
REGENCY CTRS CORP 9,538 -87 $639
     REG9,538-87$639
TREX INC 7,710 +27 $638
     TREX7,710+27$638
ALLY FINL INC COM 18,230 +2,500 $637
     ALLY18,230+2,500$637
JAZZ PHARMACEUTICALS PLC SHS 5,164 -787 $636
     JAZZ5,164-787$636
KNIGHT SWIFT TRANSN HLDGS INC 11,022 -827 $636
     KNX11,022-827$636
NATIONAL RETAIL PROPERTIES INC 14,736 -1,529 $635
     NNN14,736-1,529$635
TETRA TECH INC 3,796 +57 $634
     TTEK3,796+57$634
CHENIERE ENERGY INC 3,686 +906 $629
     LNG3,686+906$629
ESSEX PPTY TR 2,531 +98 $628
     ESS2,531+98$628
EASTGROUP PPTYS INC 3,415 -93 $627
     EGP3,415-93$627
BRUKER CORP 8,480 -818 $623
     BRKR8,480-818$623
CYTOKINETICS INC COM NEW 7,466 -603 $623
     CYTK7,466-603$623
P G&E CORP 34,559 +1,575 $623
     PCG34,559+1,575$623
UDR INC 16,280 +35 $623
     UDR16,280+35$623
AMERICAN FINANCIAL GROUP INC 5,229 -270 $622
     AFG5,229-270$622
UNITED CONTINENTAL HOLDINGS IN 14,999 -83 $619
     UAL14,999-83$619
CELSIUS HOLDINGS INC COM NEW 11,343 +7,420 $618
     CELH11,343+7,420$618
APA CORPORATION COM 17,200 -10 $617
     APA17,200-10$617
UNIVERSAL DISPLAY CORP 3,190 -93 $610
     OLED3,190-93$610
DENTSPLY SIRONA INC COM 17,120 -594 $610
     XRAY17,120-594$610
VERRA MOBILITY CORP COM 26,367 +1,452 $607
     VRRM26,367+1,452$607
BIO RAD LABS INC CL A 1,877 -30 $606
     BIO1,877-30$606
ZEBRA TECHNOLOGIES CORP CL A 2,217 -57 $606
     ZBRA2,217-57$606
STANLEY BLACK AND DECKER INC 6,149 -420 $603
     SWK6,149-420$603
NEW YORK TIMES CO 12,277 -93 $602
     NYT12,277-93$602
GERDAU S A SPONSORED ADR 123,755 -47 $601
     GGB123,755-47$601
NEW ORIENTAL ED & TECHNOLOGYSP 8,141 -457 $597
     EDU8,141-457$597
OLD REPUBLIC INTL CORP 20,330 -1,183 $597
     ORI20,330-1,183$597
LITHIA MTRS INC CL A 1,805 -80 $595
     LAD1,805-80$595
PARAMOUNT GLOBAL CLASS B 40,260 +177 $595
     PARA40,260+177$595
DOLBY LABORATORIES INC 6,894 +344 $594
     DLB6,894+344$594
INVESCO LTD 33,220 +1,806 $593
     IVZ33,220+1,806$593
WOODWARD GOVERNOR CO 4,353 -6 $592
     WWD4,353-6$592
ISHARES S&P CITI 1 3 YR INTL T (ISHG) 8,140 UNCH $587
     ISHG8,140UNCH$587
INTRA CELLULAR THERAPIES INCCO 8,199 UNCH $587
     ITCI8,199UNCH$587
BRIXMOR PPTY GROUP INC COM 25,109 -1,034 $584
     BRX25,109-1,034$584
ESCO TECHNOLOGIES INC 4,974 -1,401 $583
     ESE4,974-1,401$583
VAIL RESORTS INC 2,731 -110 $583
     MTN2,731-110$583
ACADIA HEALTHCARE COMPANY INCO 7,458 -235 $580
     ACHC7,458-235$580
MORNINGSTAR INC 2,024 -65 $579
     MORN2,024-65$579
GILDAN ACTIVEWEAR INC 17,376 +3,562 $574
     GIL17,376+3,562$574
ERIE INDTY CO CL A 1,712 -218 $573
     ERIE1,712-218$573
FIRST HORIZON NATIONAL CORPORA 40,381 -2,576 $572
     FHN40,381-2,576$572
S E I INVESTMENTS CO 9,011 -714 $572
     SEIC9,011-714$572
ZTO EXPRESS CAYMAN INC SPONSOR 26,868 +1,406 $572
     ZTO26,868+1,406$572
CERIDIAN HCM HLDG INC COM 8,511 -355 $571
     CDAY8,511-355$571
OMEGA HEALTHCARE INVS INC COM 18,598 -988 $570
     OHI18,598-988$570
JEFFERIES FINL GROUP INC 14,015 -972 $566
     JEF14,015-972$566
RBC BEARINGS INC 1,988 -28 $566
     RBC1,988-28$566
CHESAPEAKE ENERGY CORP COM 7,341 +132 $565
     CHK7,341+132$565
FLOWERS FOODS INC 25,125 -687 $565
     FLO25,125-687$565
SKECHERS U S A INC CL A 9,078 -225 $565
     SKX9,078-225$565
BROWN FORMAN CORP CL B      $564
     BF.B9,889+7$564
WEBSTER FINANCIAL CORP WATERBU 11,078 -292 $563
     WBS11,078-292$563
WINGSTOP INC COM 2,192 -185 $563
     WING2,192-185$563
VOYA FINL INC COM 7,681 +372 $560
     VOYA7,681+372$560
DARLING INTL INC 11,222 -1,315 $559
     DAR11,222-1,315$559
FIRST INDL RLTY TR INC 10,548 -405 $555
     FR10,548-405$555
BOSTON PROPERTIES INC 7,872 -154 $552
     BXP7,872-154$552
KE HLDGS INC SPONSORED ADS 34,010 -129 $551
     BEKE34,010-129$551
AUTONATION INC DEL 3,650 -751 $548
     AN3,650-751$548
NRG ENERGY INC 10,603 +263 $548
     NRG10,603+263$548
AUTOLIV INC 4,926 +142 $543
     ALV4,926+142$543
ALGONQUIN PWR UTILS CORP COM 85,879 -10,437 $542
     AQN85,879-10,437$542
EVERGY INC COM 10,380 -26 $542
     EVRG10,380-26$542
PAYCOM SOFTWARE INC COM 2,623 -95 $542
     PAYC2,623-95$542
NIO INC SPON ADS 59,619 +234 $541
     NIO59,619+234$541
ENCOMPASS HEALTH CORP COM 8,079 -683 $539
     EHC8,079-683$539
INGREDION INC COM 4,966 -372 $539
     INGR4,966-372$539
GENTEX CORP 16,479 -278 $538
     GNTX16,479-278$538
BADGER METER INC 3,469 -57 $536
     BMI3,469-57$536
CAMDEN PPTY TR SH BEN INT 5,400 -442 $536
     CPT5,400-442$536
SENSIENT TECHNOLOGIES CORP 8,128 -63 $536
     SXT8,128-63$536
F T I CONSULTING INC 2,687 -98 $535
     FCN2,687-98$535
PAYLOCITY HLDG CORP COM 3,248 -151 $535
     PCTY3,248-151$535
COGNEX CORP 12,777 -604 $533
     CGNX12,777-604$533
FRONTIER COMMUNICATIONS CORPCO 20,995 -49 $532
     FYBR20,995-49$532
O G E ENERGY CORP 15,241 -1,754 $532
     OGE15,241-1,754$532
CARNIVAL CORP 28,590 +320 $530
     CCL28,590+320$530
COMFORT SYS USA INC COM 2,577 -207 $530
     FIX2,577-207$530
MIDDLEBY CORP 3,560 -78 $524
     MIDD3,560-78$524
ONTO INNOVATION INC COM 3,425 -259 $524
     ONTO3,425-259$524
NISOURCE INC 19,717 UNCH $523
     NI19,717UNCH$523
HEALTHPEAK PPTYS INC COM 26,434 UNCH $523
     PEAK26,434UNCH$523
MACYS INC 25,947 -2,657 $522
     M25,947-2,657$522
LANCASTER COLONY CORP 3,128 -54 $520
     LANC3,128-54$520
BELLRING DISTR LLC COMMON STOC 9,321 -366 $517
     BRBR9,321-366$517
RAMBUS INC DEL 7,574 -809 $517
     RMBS7,574-809$517
EASTMAN CHEMICAL CO 5,737 +32 $515
     EMN5,737+32$515
WYNDHAM HOTELS & RESORTS INCCO 6,406 -240 $515
     WH6,406-240$515
RANGE RES CORP 16,839 -1,008 $513
     RRC16,839-1,008$513
RXSIGHT INC COM 12,726 +357 $513
     RXST12,726+357$513
NEXSTAR MEDIA GROUP INC 3,263 -60,900 $512
     NXST3,263-60,900$512
ISHARES S&P 500 INDEX FUND (IVV) 1,065 UNCH $509
     IVV1,065UNCH$509
TAKEDA PHARMACEUTICAL CO LTDSP 35,665 -619 $509
     TAK35,665-619$509
EQT CORP COM 13,119 -4,250 $508
     EQT13,119-4,250$508
PROCEPT BIOROBOTICS CORP COM 12,088 +358 $507
     PRCT12,088+358$507
GXO LOGISTICS INCORPORATED COM 8,272 +233 $506
     GXO8,272+233$506
LTC PPTYS INC 15,754 -90 $506
     LTC15,754-90$506
SUZANO PAPEL E CELULOSE S A SP 44,320 -440 $503
     SUZ44,320-440$503
PAPA JOHNS INTL INC 6,584 -90 $502
     PZZA6,584-90$502
HARLEY DAVIDSON INC 13,604 -1,146 $501
     HOG13,604-1,146$501
KBR INC 9,031 -800 $501
     KBR9,031-800$501
APPLIED INDL TECHNOLOGIES INC 2,898 -199 $500
     AIT2,898-199$500
GROUP 1 AUTOMOTIVE INC 1,639 -101 $500
     GPI1,639-101$500
AMERICAN AIRLS GROUP INC COM 36,261 +1,122 $499
     AAL36,261+1,122$499
EAGLE MATLS INC 2,459 -3,246 $499
     EXP2,459-3,246$499
MSA SAFETY INC COM 2,958 +102 $499
     MSA2,958+102$499
ARAMARK COM 17,647 -661 $496
     ARMK17,647-661$496
STIFEL FINL CORP 7,159 -138 $495
     SF7,159-138$495
AEROVIRONMENT INC 3,912 -984 $494
     AVAV3,912-984$494
CIENA CORPORATION 10,969 -149 $494
     CIEN10,969-149$494
NEW YORK COMMUNITY BANCORP INC 48,167 -2,154 $492
     NYCB48,167-2,154$492
VISTEON CORP COM NEW 3,921 -150 $490
     VC3,921-150$490
ASGN INC COM 5,060 -503 $487
     ASGN5,060-503$487
HEXCEL CORP 6,555 -18 $484
     HXL6,555-18$484
F M C CORP 7,666 -1,210 $483
     FMC7,666-1,210$483
HOULIHAN LOKEY INC CL A 4,018 +4,018 $482
     HLI4,018+4,018$482
NEWS CORP NEW CL A 19,637 -56 $482
     NWSA19,637-56$482
DT MIDSTREAM INC COMMON STOCK 8,753 -1,031 $480
     DTM8,753-1,031$480
V F CORP 25,538 +2,851 $480
     VFC25,538+2,851$480
MATTEL INC 25,342 -3,836 $479
     MAT25,342-3,836$479
ARROW ELECTRONICS INC 3,911 -1,751 $478
     ARW3,911-1,751$478
DOXIMITY INC CL A 17,043 +4,153 $478
     DOCS17,043+4,153$478
HASBRO INC 9,280 +572 $473
     HAS9,280+572$473
FIRST AMERN FINL CORP COM 7,292 -508 $470
     FAF7,292-508$470
ASPEN TECHNOLOGY INC COM 2,126 -104 $468
     AZPN2,126-104$468
EVERCORE PARTNERS INC CLASS A 2,734 -278 $468
     EVR2,734-278$468
BATH & BODY WORKS INC COMMON S 10,812 -491 $467
     BBWI10,812-491$467
EPR PPTYS COM SH BEN INT 9,651 -74 $467
     EPR9,651-74$467
LITTELFUSE INC 1,748 -58 $467
     LFUS1,748-58$467
HYATT HOTELS CORP COM CL A 3,576 +3,576 $466
     H3,576+3,576$466
WEATHERFORD INTL PLC ORD SHS 4,770 -151 $466
     WFRD4,770-151$466
PROCORE TECHNOLOGIES INC COM 6,715 +173 $464
     PCOR6,715+173$464
PLANET FITNESS INC CL A 6,329 +94 $462
     PLNT6,329+94$462
FEDERAL RLTY INVT TR SH BEN IN 4,473 -64 $461
     FRT4,473-64$461
SHIFT4 PMTS INC CL A 6,189 +164 $460
     FOUR6,189+164$460
MERITAGE CORP 2,634 -214 $459
     MTH2,634-214$459
CREDICORP LTD COM 3,055 -180 $458
     BAP3,055-180$458
CASELLA WASTE SYS INC CL A 5,337 +180 $456
     CWST5,337+180$456
NATERA INC COM 7,267 +155 $456
     NTRA7,267+155$456
SCIENCE APPLICATNS INTL CP NCO 3,663 -321 $456
     SAIC3,663-321$456
SPIRIT RLTY CAP INC NEW COM NE 10,423 -745 $456
     SRC10,423-745$456
LAS VEGAS SANDS CORP 9,210 +240 $454
     LVS9,210+240$454
R L I CORP ILL 3,407 -168 $454
     RLI3,407-168$454
CAE INC COM 21,024 +4,416 $453
     CAE21,024+4,416$453
GLOBUS MED INC CL A 8,503 -961 $453
     GMED8,503-961$453
AMBEV SA SPONSORED ADR 161,631 +1,699 $452
     ABEV161,631+1,699$452
CRANE COMPANY COMMON STOCK 3,819 -229 $451
     CR3,819-229$451
K B HOME 7,232 +316 $451
     KBH7,232+316$451
U G I CORP 18,335 -966 $451
     UGI18,335-966$451
AXALTA COATING SYS LTD COM 13,254 +783 $450
     AXTA13,254+783$450
MURPHY OIL CORP 10,485 -773 $448
     MUR10,485-773$448
PINNACLE WEST CAPTIAL CORP 6,234 -2,354 $448
     PNW6,234-2,354$448
SONOCO PRODUCTS 7,953 -757 $445
     SON7,953-757$445
OLIN CORP 8,226 -1,325 $444
     OLN8,226-1,325$444
AGREE REALTY CORP 7,017 -427 $442
     ADC7,017-427$442
COMMERCE BANCSHARES INC (CBSH) 8,278 -85 $442
     CBSH8,278-85$442
ITRON INC 5,855 -211 $442
     ITRI5,855-211$442
CULLEN FROST BANKERS INC 4,061 +8 $440
     CFR4,061+8$440
SYNNEX CORP 4,054 +253 $437
     SNX4,054+253$437
MKS INSTRS INC 4,231 +200 $436
     MKSI4,231+200$436
ANTERO RES CORP COM 19,121 -2,051 $434
     AR19,121-2,051$434
NATIONAL FUEL & GAS CO 8,651 -764 $434
     NFG8,651-764$434
ALLEGHENY TECHNOLOGIES INC 9,462 -515 $431
     ATI9,462-515$431
BLOCK INC 5,557 -358 $430
     SQ5,557-358$430
MATCH GROUP INC NEW COM 11,752 -111 $429
     MTCH11,752-111$429
CHORD ENERGY CORP 2,566 -268 $426
     CHRD2,566-268$426
SELECTIVE INSURANCE GROUP INC 4,290 -467 $426
     SIGI4,290-467$426
VALVOLINE INC COM 11,312 -977 $425
     VVV11,312-977$425
WORKIVA INC COM CL A 4,169 +141 $423
     WK4,169+141$423
AVIS BUDGET GROUP INC 2,373 -94 $421
     CAR2,373-94$421
CATALENT INC COM 9,359 -106 $421
     CTLT9,359-106$421
APARTMENT INCOME REIT CORP COM 12,006 -1,471 $417
     AIRC12,006-1,471$417
R1 RCM INC COM 39,371 +2,361 $417
     RCM39,371+2,361$417
ALCOA INC COM 12,134 -904 $412
     AA12,134-904$412
PLEXUS CORP 3,804 -210 $412
     PLXS3,804-210$412
PINNACLE FINL PARTNERS INC 4,727 +183 $412
     PNFP4,727+183$412
CIVITAS RESOURCES INC COM NEW 6,005 +571 $411
     CIVI6,005+571$411
CAPRI HOLDINGS LIMITED SHS 8,190 +126 $411
     CPRI8,190+126$411
ARCELORMITTAL SA LUXEMBOURG NY 14,485 -3,343 $411
     MT14,485-3,343$411
NORWEGIAN CRUISE LINE HLDGS SH 20,390 +5,848 $409
     NCLH20,390+5,848$409
BWX TECHNOLOGIES INC COM 5,320 -528 $408
     BWXT5,320-528$408
MUELLER INDS INC 8,639 +4,149 $407
     MLI8,639+4,149$407
GRAPHIC PACKAGING HLDG CO COM 16,476 -18 $406
     GPK16,476-18$406
THOR INDS INC 3,426 -13,449 $405
     THO3,426-13,449$405
CHAMPIONX CORPORATION COM 13,792 -612 $403
     CHX13,792-612$403
POWERSCHOOL HOLDINGS INC COM C 17,118 +442 $403
     PWSC17,118+442$403
TENARIS S A SPONSORED ADR 11,602 -1,501 $403
     TS11,602-1,501$403
HANNON ARMSTRONG SUST INFR CCO 14,573 -1,086 $402
     HASI14,573-1,086$402
DIGITALOCEAN HLDGS INC COM 10,929 +318 $401
     DOCN10,929+318$401
INVITATION HOMES INC COM 11,751 +40 $401
     INVH11,751+40$401
BALCHEM CORP 2,688 -525 $400
     BCPC2,688-525$400
DOUBLEVERIFY HLDGS INC COM 10,868 +1,262 $400
     DV10,868+1,262$400
RESIDEO TECHNOLOGIES INC COM 21,254 -514 $400
     REZI21,254-514$400
WATTS INDS INC CL A 1,921 +122 $400
     WTS1,921+122$400
ETSY INC COM 4,884 -504 $396
     ETSY4,884-504$396
FRONTDOOR INC COM 11,226 -240 $396
     FTDR11,226-240$396
KITE RLTY GROUP TR COM NEW 17,113 -343 $391
     KRG17,113-343$391
PACIRA PHARMACEUTICALS INC COM 11,553 -534 $390
     PCRX11,553-534$390
RAPID7 INC COM 6,838 +216 $390
     RPD6,838+216$390
TAYLOR MORRISON HOME CORP CL A 7,318 -297 $390
     TMHC7,318-297$390
BLACKLINE INC COM 6,236 +189 $389
     BL6,236+189$389
MASIMO CORP 3,303 -211 $388
     MASI3,303-211$388
MOLSON COORS BREWING COMPANY 6,338 -795 $388
     TAP6,338-795$388
CADENCE BANK COM 13,067 -274 $387
     CADE13,067-274$387
VIATRIS INC COM 35,627 UNCH $386
     VTRS35,627UNCH$386
COHERENT CORP COM 8,846 -190 $385
     COHR8,846-190$385
FOOT LOCKER INC 12,320 -281 $384
     FL12,320-281$384
FLOWSERVE CORP 9,312 -225 $384
     FLS9,312-225$384
PROSPERITY BANCSHARES INC (PB) 5,645 -196 $383
     PB5,645-196$383
BOISE CASCADE CO DEL COM 2,939 -183 $380
     BCC2,939-183$380
KULICKE & SOFFA INDS INC 6,925 +54 $379
     KLIC6,925+54$379
INSIGHT ENTERPRISES INC 2,138 -646 $379
     NSIT2,138-646$379
WOLFSPEED INC COM 8,709 -245 $379
     WOLF8,709-245$379
ZOOMINFO TECHNOLOGIES INC COMM 20,466 +542 $379
     ZI20,466+542$379
ESSENT GROUP LTD COM 7,134 -231 $376
     ESNT7,134-231$376
AAON INC PAR 0.004 5,051 -70 $373
     AAON5,051-70$373
COMMERCIAL METALS CO 7,453 -624 $373
     CMC7,453-624$373
RAYONIER INC 11,166 -628 $373
     RYN11,166-628$373
IDACORP INC 3,767 -105 $371
     IDA3,767-105$371
MARVELL TECHNOLOGY GROUP LTD C 6,140 -46 $371
     MRVL6,140-46$371
SOUTH ST CORP COM 4,395 -173 $371
     SSB4,395-173$371
STAG INDL INC COM 9,429 +408 $370
     STAG9,429+408$370
VIPSHOP HLDGS LTD SPONSORED AD 20,693 -625 $368
     VIPS20,693-625$368
COLUMBIA BKG SYS INC 13,755 -1,147 $367
     COLB13,755-1,147$367
GULFPORT ENERGY CORP COMMON SH 2,759 -2 $367
     GPOR2,759-2$367
SYNOVUS FINL CORP COM NEW 9,741 -397 $367
     SNV9,741-397$367
MAGNOLIA OIL & GAS CORP CL A 17,124 -14 $365
     MGY17,124-14$365
WESTLAKE CHEM CORP 2,604 -1,272 $364
     WLK2,604-1,272$364
EXLSERVICE HOLDINGS INC 11,753 -757 $363
     EXLS11,753-757$363
HELEN OF TROY CORP 3,008 -51 $363
     HELE3,008-51$363
SOLAREDGE TECHNOLOGIES INC COM 3,881 +1,998 $363
     SEDG3,881+1,998$363
CALAVO GROWERS INC COM 12,275 -131 $361
     CVGW12,275-131$361
NEOGENOMICS INC COM NEW 22,258 -103 $360
     NEO22,258-103$360
BANK OZK COM 7,195 -190 $359
     OZK7,195-190$359
S L M CORPORATION 18,767 -58,152 $359
     SLM18,767-58,152$359
FEDERAL SIGNAL CORP 4,645 -212 $357
     FSS4,645-212$357
FNB CORP PA 25,800 -160 $356
     FNB25,800-160$356
KKR & CO INC COM 4,279 +374 $355
     KKR4,279+374$355
POST HLDGS INC COM 4,026 -265 $355
     POST4,026-265$355
TIMKEN CO 4,435 -823 $355
     TKR4,435-823$355
NAVITAS SEMICONDUCTOR CORP COM 43,873 +781 $354
     NVTS43,873+781$354
COTY INC COM CL A 28,423 +122 $353
     COTY28,423+122$353
GPO AEROPORTUARIO DEL PAC SASP 2,018 -876 $353
     PAC2,018-876$353
ESAB CORPORATION COM 4,059 +330 $352
     ESAB4,059+330$352
WOORI FINANCIAL GROUP INC SPON 11,619 +76 $351
     WF11,619+76$351
MA COM TECHNOLOGY SOLUTIONS CO 3,765 -70 $350
     MTSI3,765-70$350
MAXIMUS INC 4,161 +156 $349
     MMS4,161+156$349
OSHKOS TRUCK CORP 3,221 -12 $349
     OSK3,221-12$349
OLLIES BARGAIN OUTLT HLDGS ICO 4,590 +86 $348
     OLLI4,590+86$348
SEALED AIR CORP 9,522 +1,151 $348
     SEE9,522+1,151$348
APPIAN CORP CL A 9,215 +271 $347
     APPN9,215+271$347
AFFILIATED MANAGERS GROUP INCO 2,284 -263 $346
     AMG2,284-263$346
CLEARWAY ENERGY INC CL C 12,604 +12,604 $346
     CWEN12,604+12,604$346
SIGNET JEWELERS LIMITED SHS 3,210 -370 $345
     SIG3,210-370$345
FLUOR CORP 8,749 -106 $343
     FLR8,749-106$343
UNITED BANKSHARES INC W VA (UBSI) 9,122 -654 $343
     UBSI9,122-654$343
FOX CORP CL B COM 12,355 -53 $342
     FOX12,355-53$342
FULLER H B CO 4,194 -202 $341
     FUL4,194-202$341
INSTALLED BLDG PRODS INC COM 1,852 -39 $339
     IBP1,852-39$339
MERIT MED SYS INC 4,469 -746 $339
     MMSI4,469-746$339
MP MATERIALS CORP COM CL A 17,074 +492 $339
     MP17,074+492$339
WINTRUST FINL CORP 3,632 +33 $337
     WTFC3,632+33$337
SPX TECHNOLOGIES INC COM 3,323 -245 $336
     SPXC3,323-245$336
NEXTRACKER INC CLASS A COM 7,144 +273 $335
     NXT7,144+273$335
GAMESTOP CORPORATION CLASS A 18,976 -634 $333
     GME18,976-634$333
ASBURY AUTOMOTIVE GROUP INC CO 1,478 -71 $332
     ABG1,478-71$332
KIRBY CORP 4,224 -7 $332
     KEX4,224-7$332
SENSATA TECHNOLOGIES HLDNG PLC 8,838 +313 $332
     ST8,838+313$332
CHEMOURS CO COM 10,500 -847 $331
     CC10,500-847$331
QORVO INC 2,940 +17 $331
     QRVO2,940+17$331
ANTERO MIDSTREAM CORP COM 26,282 -81 $329
     AM26,282-81$329
CONCENTRIX CORP COM 3,346 -291 $329
     CNXC3,346-291$329
LOUISIANA PACIFIC CORP 4,638 -127 $329
     LPX4,638-127$329
CABOT CORP 3,931 -202 $328
     CBT3,931-202$328
APOLLO GLOBAL MGMT INC COM 3,505 -2 $326
     APO3,505-2$326
INSPIRE MED SYS INC COM 1,606 -35 $326
     INSP1,606-35$326
KILROY RLTY CORP 8,165 -260 $325
     KRC8,165-260$325
OLD NATL BANCORP IND 19,261 +20 $325
     ONB19,261+20$325
POLARIS INDS INC 3,420 -14,141 $324
     PII3,420-14,141$324
SNOWFLAKE INC CL A 1,626 -52 $324
     SNOW1,626-52$324
HANOVER INS GROUP INC 2,672 -431 $324
     THG2,672-431$324
ASSURED GUARANTY LTD 4,314 -227 $323
     AGO4,314-227$323
CARS COM INC WHEN ISSUED 17,055 +269 $323
     CARS17,055+269$323
COCA COLA BOTTLING CO CONSOLID 348 +9 $323
     COKE348+9$323
PERMIAN RESOURCES CORP CLASS A 23,728 +12,080 $322
     PR23,728+12,080$322
NEW JERSEY RESOURCES CORP 7,211 -737 $321
     NJR7,211-737$321
ABERCROMBIE & FITCH CO CL A 3,624 -408 $320
     ANF3,624-408$320
MR COOPER GROUP INC COM 4,915 -243 $320
     COOP4,915-243$320
FRANKLIN ELEC INC 3,312 -116 $320
     FELE3,312-116$320
SILGAN HOLDINGS INC 7,069 -777 $320
     SLGN7,069-777$320
BANCO SANTANDER CHILE NEW SP A 16,339 -433 $318
     BSAC16,339-433$318
POWER INTEGRATIONS INC 3,866 -115 $317
     POWI3,866-115$317
PERRIGO CO PCL SHS 9,863 -314 $317
     PRGO9,863-314$317
ASHLAND INC. 3,717 -148 $314
     ASH3,717-148$314
EQUITRANS MIDSTREAM CORPORATCO 30,823 -1,667 $314
     ETRN30,823-1,667$314
HOME BANCSHARES INC (HOMB) 12,425 -232 $314
     HOMB12,425-232$314
MASTEC INC 4,151 -69 $314
     MTZ4,151-69$314
PBF ENERGY INC CL A 7,125 -907 $314
     PBF7,125-907$314
COMPANHIA DE SANEAMENTO BASISP 20,593 +20,593 $314
     SBS20,593+20,593$314
STERICYCLE INC 6,336 -290 $314
     SRCL6,336-290$314
VORNADO RLTY TR 11,128 +1,371 $314
     VNO11,128+1,371$314
EURONET WORLDWIDE INC 3,080 -383 $313
     EEFT3,080-383$313
KYNDRYL HLDGS INC COMMON STOCK 15,030 -406 $313
     KD15,030-406$313
SPROUT SOCIAL INC COM CL A 5,102 +119 $313
     SPT5,102+119$313
TECNOGLASS INC ORD SHS 6,846 +203 $313
     TGLS6,846+203$313
DXC TECHNOLOGY CO COM 13,675 -18,486 $312
     DXC13,675-18,486$312
VALMONT INDS INC 1,331 -202 $311
     VMI1,331-202$311
ALLEGION PUB LTD CO ORD S 2,445 -67 $310
     ALLE2,445-67$310
HAEMONETICS CORP 3,626 -393 $310
     HAE3,626-393$310
COMERICA INC 5,542 -75 $309
     CMA5,542-75$309
AXCELIS TECHNOLOGIES INC COM N 2,374 -210 $308
     ACLS2,374-210$308
FIRSTCASH HOLDINGS INC COM 2,847 -148 $308
     FCFS2,847-148$308
ALASKA AIR GROUP INC 7,820 +1,714 $306
     ALK7,820+1,714$306
EXPONENT INC 3,480 -433 $306
     EXPO3,480-433$306
RH COM 1,049 -40 $306
     RH1,049-40$306
ADVANCED ENERGY INDS INC 2,807 -186 $305
     AEIS2,807-186$305
AZENTA INC 4,691 -229 $305
     AZTA4,691-229$305
SM ENERGY COMPANY 7,858 -625 $304
     SM7,858-625$304
LANTHEUS HLDGS INC COM 4,857 -260 $301
     LNTH4,857-260$301
ARCOSA INC COM 3,628 -302 $300
     ACA3,628-302$300
WENDYS COMPANY 15,443 -668 $300
     WEN15,443-668$300
GLACIER BANCORP INC 7,236 -514 $299
     GBCI7,236-514$299
ENVISTA HOLDINGS CORPORATIONCO 12,389 -428 $298
     NVST12,389-428$298
VALLEY NATL BANCORP 27,369 -110 $297
     VLY27,369-110$297
FIRST WATCH RESTAURANT GROUPCO 14,696 +279 $295
     FWRG14,696+279$295
ATMUS FILTRATION TECHNOLOGIECO 12,498 +307 $294
     ATMU12,498+307$294
ZIONS BANCORPORATION 6,701 -1,321 $294
     ZION6,701-1,321$294
FORWARD AIR CORP 4,651 +7 $293
     FWRD4,651+7$293
SUNRUN INC COM 14,834 -1,003 $292
     RUN14,834-1,003$292
SYNAPTICS INC 2,563 -9 $292
     SYNA2,563-9$292
ESSENTIAL PPTYS RLTY TR INC CO 11,401 +12 $291
     EPRT11,401+12$291
INSPERITY INC 2,485 -360 $291
     NSP2,485-360$291
GLAUKOS CORP COM 3,634 -388 $289
     GKOS3,634-388$289
ALKERMES PLC 10,388 +10,388 $288
     ALKS10,388+10,388$288
FIRST FINL BANCSHARES INC (FFIN) 9,479 -488 $288
     FFIN9,479-488$288
HNI CORPORATION 6,885 +6,885 $288
     HNI6,885+6,885$288
AMERICAN EAGLE OUTFITTERS INC 13,543 -711 $287
     AEO13,543-711$287
M I SCHOTTENSTEIN HOMES INC 2,072 +2,072 $286
     MHO2,072+2,072$286
ORMAT TECHNOLOGIES INC 3,777 -219 $286
     ORA3,777-219$286
BRINKS CO 3,237 -254 $285
     BCO3,237-254$285
DR REDDYS LABS LTD ADR 4,093 +27 $285
     RDY4,093+27$285
WINMARK CORP COM 682 +24 $285
     WINA682+24$285
M D U RESOURCES GROUP INC 14,299 -751 $284
     MDU14,299-751$284
VALARIS LIMITED CL A 4,151 -137 $284
     VAL4,151-137$284
AMERICAN EQTY INVT LIFE HLD CO 5,067 -213 $283
     AEL5,067-213$283
BLACKBAUD INC 3,242 -125 $282
     BLKB3,242-125$282
GATX CORP 2,344 -193 $282
     GATX2,344-193$282
CASEYS GENERAL STORES INC 1,024 -75 $281
     CASY1,024-75$281
HELMERICH & PAYNE INC 7,743 -97 $280
     HP7,743-97$280
ARMSTRONG WORLD INDS INC NEW 2,832 +2,832 $279
     AWI2,832+2,832$279
MATSON INC COM 2,546 -316 $279
     MATX2,546-316$279
LINCOLN NATIONAL CORP 10,276 +790 $278
     LNC10,276+790$278
OWENS & MINOR INC 14,429 +361 $278
     OMI14,429+361$278
POTLATCH CORP 5,638 -675 $277
     PCH5,638-675$277
PORTLAND GEN ELEC CO COM NEW 6,400 +37 $277
     POR6,400+37$277
SOUTHWEST GAS CORP 4,367 -233 $277
     SWX4,367-233$277
GOODYEAR TIRE & RUBBER CO 19,237 -1,862 $276
     GT19,237-1,862$276
NEOGEN CORP 13,627 -825 $274
     NEOG13,627-825$274
WALKER & DUNLOP INC COM 2,468 +2,468 $274
     WD2,468+2,468$274
NUTANIX INC CL A 5,709 +5,709 $273
     NTNX5,709+5,709$273
GENERAC HLDGS INC COM 2,104 -146 $272
     GNRC2,104-146$272
HANCOCK HLDG CO 5,606 -291 $272
     HWC5,606-291$272
LEGGETT & PLATT INC 10,399 -521 $272
     LEG10,399-521$272
N C R CORP 10,061 -19,279 $272
     NCR10,061-19,279$272
QUIDELORTHO CORP COM 3,703 -257 $272
     QDEL3,703-257$272
CHOICE HOTELS INTL INC 2,393 -41 $271
     CHH2,393-41$271
PARK HOTELS RESORTS INC COM 17,747 -686 $271
     PK17,747-686$271
ALARM COM HLDGS INC COM 4,152 -113 $268
     ALRM4,152-113$268
CCC INTELLIGENT SOLUTIONS HLCO 23,502 +23,502 $268
     CCCS23,502+23,502$268
MGM MIRAGE 5,999 -652 $268
     MGM5,999-652$268
NATURA &CO HLDG S A ADS 39,061 +187 $268
     NTCO39,061+187$268
SIMPLY GOOD FOODS CO COM 6,775 -18 $268
     SMPL6,775-18$268
COGENT COMM GROUP INC 3,517 -321 $267
     CCOI3,517-321$267
COMMVAULT SYSTEMS INC 3,334 -140 $267
     CVLT3,334-140$267
DIODES INC 3,327 -224 $267
     DIOD3,327-224$267
JACKSON FINANCIAL INC COM CL A 5,204 +5,204 $267
     JXN5,204+5,204$267
MACERICH CO 17,335 -126 $267
     MAC17,335-126$267
AMERIS BANCORP COM 5,001 -137 $266
     ABCB5,001-137$266
TRI POINTE HOMES INC COM 7,480 -301 $265
     TPH7,480-301$265
CLEAR SECURE INC COM CL A 12,836 +12,836 $265
     YOU12,836+12,836$265
CONSOLIDATED WATER CO INC ORD 7,414 +209 $264
     CWCO7,414+209$264
YELP INC CL A 5,592 -152 $264
     YELP5,592-152$264
ENERSYS 2,607 -99 $263
     ENS2,607-99$263
M D C HOLDINGS INC 4,752 +4,752 $263
     MDC4,752+4,752$263
TEREX CORP 4,581 -4 $263
     TEX4,581-4$263
CNO FINANCIAL GROUP INC 9,357 -154 $261
     CNO9,357-154$261
FIRST BANCORP P R COM NEW 15,844 -244 $261
     FBP15,844-244$261
KORN FERRY INTL 4,401 -220 $261
     KFY4,401-220$261
ADVANCED AUTO PTS INC 4,268 +65 $260
     AAP4,268+65$260
VITA COCO CO INC COM 10,153 +285 $260
     COCO10,153+285$260
ANYWHERE REAL ESTATE INC 32,040 -36 $260
     HOUS32,040-36$260
HUAZHU GROUP LTD SPONSORED ADS 7,771 +848 $260
     HTHT7,771+848$260
PRESTIGE BRANDS HLDGS INC 4,243 -1,570 $260
     PBH4,243-1,570$260
GENWORTH FINL INC CL A 38,789 -1,181 $259
     GNW38,789-1,181$259
KELLY SERVICES INC CL A 11,996 -1,044 $259
     KELYA11,996-1,044$259
MOOG INC CL A      $259
     MOG.A1,785-442$259
CONMED CORP 2,352 -229 $258
     CNMD2,352-229$258
CNX RESOURCES CORPORATION COM 12,909 -722 $258
     CNX12,909-722$258
ALPHA METALLURGICAL RESOUR ICO 757 +757 $256
     AMR757+757$256
WYNN RESORTS LTD 2,803 +2,803 $256
     WYNN2,803+2,803$256
CLEARWATER ANALYTICS HLDGS ICL 12,707 +2,583 $255
     CWAN12,707+2,583$255
P N M RES INC 6,123 -392 $255
     PNM6,123-392$255
OTTER TAIL CORP 2,993 -366 $254
     OTTR2,993-366$254
SASOL LTD SPONSORED ADR 25,467 -80 $253
     SSL25,467-80$253
AMERICAN STATES WATER CO 3,140 -442 $252
     AWR3,140-442$252
GMS INC COM 3,061 -198 $252
     GMS3,061-198$252
CORPORATE OFFICE PPTYS TR SH B 9,831 -5,002 $252
     OFC9,831-5,002$252
ACI WORLDWIDE INC 8,193 +8,193 $251
     ACIW8,193+8,193$251
AVIENT CORPORATION COM 6,025 -99 $251
     AVNT6,025-99$251
INTEGER HLDGS CORP COM 2,533 -354 $251
     ITGR2,533-354$251
MOHAWK INDS INC 2,431 -362 $251
     MHK2,431-362$251
INDEPENDENCE RLTY TR INC COM 16,248 UNCH $249
     IRT16,248UNCH$249
KONTOOR BRANDS INC COM 3,994 +3,994 $249
     KTB3,994+3,994$249
LIVENT CORP COM 13,831 -506 $249
     LTHM13,831-506$249
TRICON RESIDENTIAL INC COM NPV 27,414 -23 $249
     TCN27,414-23$249
BLACK HILLS CORP 4,600 -354 $248
     BKH4,600-354$248
PAYCOR HCM INC COM 11,478 +260 $248
     PYCR11,478+260$248
RADIAN GROUP INC 8,690 +33 $248
     RDN8,690+33$248
CARPENTER TECHNOLOGY CORP 3,482 -205 $247
     CRS3,482-205$247
CALIFORNIA WTR SVC GROUP 4,774 -36 $247
     CWT4,774-36$247
ONE GAS INC COM 3,882 -383 $247
     OGS3,882-383$247
TRAVEL PLUS LEISURE CO COM 6,312 -118 $247
     TNL6,312-118$247
W D 40 CO 1,031 -78 $247
     WDFC1,031-78$247
ENCORE WIRE CORP 1,157 -98 $247
     WIRE1,157-98$247
MOELIS & CO CL A 4,383 +4,383 $246
     MC4,383+4,383$246
MADDEN STEVEN LTD 5,866 -329 $246
     SHOO5,866-329$246
TANGER FACTORY OUTLET CTRS 8,900 -217 $246
     SKT8,900-217$246
KNIFE RIV HLDG CO COMMON STOCK 3,701 +3,701 $245
     KNF3,701+3,701$245
SERVISFIRST BANCSHARES INC COM (SFBS) 3,673 -144 $244
     SFBS3,673-144$244
LUMENTUM HLDGS INC COM 4,632 -362 $243
     LITE4,632-362$243
UNITED COMMUNITY BANKS BLAIRSV 8,246 -51 $242
     UCBI8,246-51$242
DYCOM INDS INC 2,092 -171 $241
     DY2,092-171$241
HILTON GRAND VACATIONS INC COM 5,994 -29 $241
     HGV5,994-29$241
AMEDISYS INC 2,526 +28 $240
     AMED2,526+28$240
COLUMBIA SPORTSWEAR CO 3,014 +142 $240
     COLM3,014+142$240
INNOSPEC INC 1,941 -160 $239
     IOSP1,941-160$239
SABRA HEALTH CARE REIT INC COM 16,790 -412 $239
     SBRA16,790-412$239
IPG PHOTONICS CORP 2,194 +23 $238
     IPGP2,194+23$238
BRIGHTHOUSE FINL INC COM 4,482 -304 $237
     BHF4,482-304$237
INARI MED INC COM 3,645 -343 $237
     NARI3,645-343$237
FORTREA HLDGS INC COMMON STOCK 6,769 +6,769 $236
     FTRE6,769+6,769$236
CRANE HLDGS CO COM 4,145 -278 $235
     CXT4,145-278$235
BENCHMARK ELECTRS INC 8,465 +11 $234
     BHE8,465+11$234
PATTERSON UTI ENERGY INC 21,680 -410 $234
     PTEN21,680-410$234
DATADOG INC CL A COM 1,916 +1,916 $233
     DDOG1,916+1,916$233
RXO INC COMMON STOCK 10,003 -65 $233
     RXO10,003-65$233
INTEGRA LIFESCIENCES HLDG CO 5,336 -729 $232
     IART5,336-729$232
SANMINA CORPORATION COM 4,478 -41 $230
     SANM4,478-41$230
A B M INDS INC 5,119 -506 $229
     ABM5,119-506$229
ALLETE INC 3,733 -238 $229
     ALE3,733-238$229
FORMFACTOR INC 5,482 +5,482 $229
     FORM5,482+5,482$229
PENSKE AUTOMOTIVE GRP INC 1,428 -76 $229
     PAG1,428-76$229
STARWOOD PPTY TR INC COM 10,802 +469 $228
     STWD10,802+469$228
ADIENT PLC ORD SHS 6,259 -83 $227
     ADNT6,259-83$227
AMKOR TECHNOLOGY INC 6,811 +6,811 $227
     AMKR6,811+6,811$227
LEXINGTON CORPORATE PPTYS 22,828 -70 $226
     LXP22,828-70$226
ENPRO INDS INC 1,436 +1,436 $226
     NPO1,436+1,436$226
SPIRE INC COM 3,567 -408 $223
     SR3,567-408$223
ASSOCIATED BANC CORP 10,341 -329 $222
     ASB10,341-329$222
ARROWHEAD PHARMACEUTICALS ICN 7,245 -572 $221
     ARWR7,245-572$221
UMB FINL CORP 2,646 +2,646 $221
     UMBF2,646+2,646$221
CALIFORNIA RES CORP COM STOCK 4,033 -11 $220
     CRC4,033-11$220
AMN HEALTHCARE SERVICES INC 2,925 -281 $219
     AMN2,925-281$219
LCI IND INC 1,735 -152 $219
     LCII1,735-152$219
JOHN BEAN TECHNOLOGIES CORP CO 2,200 -146 $218
     JBT2,200-146$218
TRUPANION INC COM 7,145 +7,145 $218
     TRUP7,145+7,145$218
J & J SNACK FOODS CORP 1,299 -102 $217
     JJSF1,299-102$217
PROGYNY INC COM 5,830 +70 $217
     PGNY5,830+70$217
AVISTA CORP 6,036 +6,036 $216
     AVA6,036+6,036$216
GRIFFON CORP 3,553 +3,553 $216
     GFF3,553+3,553$216
SITE CENTERS CORP COM 15,853 UNCH $216
     SITC15,853UNCH$216
EVERTEC INC COM 5,255 -149 $215
     EVTC5,255-149$215
FIRST HAWAIIAN INC COM 9,399 +9,399 $215
     FHB9,399+9,399$215
MADISON SQUARE GARDEN CO NEWCL 1,183 -77 $215
     MSGS1,183-77$215
THE TRADE DESK INC COM CL A 2,992 -84 $215
     TTD2,992-84$215
ARCBEST CORP COM 1,777 +1,777 $214
     ARCB1,777+1,777$214
INTER PARFUMS INC 1,485 +1,485 $214
     IPAR1,485+1,485$214
QUAKER CHEMICAL CORP 1,002 +1,002 $213
     KWR1,002+1,002$213
UPWORK INC COM 14,336 +309 $213
     UPWK14,336+309$213
WHIRLPOOL CORP 1,752 -26 $213
     WHR1,752-26$213
ZIFF DAVIS INC 3,179 -191 $213
     ZD3,179-191$213
AXIOS FINL INC COM 3,886 +3,886 $212
     AX3,886+3,886$212
HUB GROUP INC CL A 2,309 -245 $212
     HUBG2,309-245$212
DOUGLAS EMMETT INC 14,485 -239 $211
     DEI14,485-239$211
CVB FINL CORP 10,443 -177 $210
     CVBF10,443-177$210
INNOVATIVE INDL PPTYS INC COM 2,081 +2,081 $210
     IIPR2,081+2,081$210
BELDEN CDT INC 2,698 -601 $209
     BDC2,698-601$209
INTERNATIONAL BANCSHARES COR (IBOC) 3,844 +3,844 $209
     IBOC3,844+3,844$209
PACIFIC PREMIER BANCORP COM 7,171 +7,171 $209
     PPBI7,171+7,171$209
BRADY W H CO CL A 3,556 -502 $208
     BRC3,556-502$208
BANCOLOMBIA S A SPON ADR PREF 6,764 +6,764 $208
     CIB6,764+6,764$208
COMMUNITY BK SYS INC 3,976 +3,976 $207
     CBU3,976+3,976$207
NORTHWESTERN CORP 4,053 -152 $207
     NWE4,053-152$207
SHAKE SHACK INC CL A 2,783 +2,783 $206
     SHAK2,783+2,783$206
SPIRIT AEROSYSTEMS HLDGS INC C 6,490 +6,490 $206
     SPR6,490+6,490$206
FULTON FINL CORP PA 12,451 +175 $205
     FULT12,451+175$205
HIGHWOODS PROPERTIES INC 8,952 +8,952 $205
     HIW8,952+8,952$205
PIPER JAFFRAY COS 1,172 +1,172 $205
     PIPR1,172+1,172$205
SELECT MED HLDGS CORP COM 8,733 -750 $205
     SEM8,733-750$205
ALNYLAM PHARMACEUTICALS INC 1,066 +1,066 $204
     ALNY1,066+1,066$204
PROGRESS SOFTWARE CORP 3,748 -238 $204
     PRGS3,748-238$204
VEEVA SYS INC CL A COM 1,061 -83 $204
     VEEV1,061-83$204
VIAVI SOLUTIONS INC COM 20,217 UNCH $204
     VIAV20,217UNCH$204
GITLAB INC CLASS A COM 3,220 +3,220 $203
     GTLB3,220+3,220$203
O I GLASS INC COM 12,355 -556 $203
     OI12,355-556$203
ST JOE CO 3,366 +3,366 $202
     JOE3,366+3,366$202
KEMPER CORP DEL COM 4,134 +4,134 $202
     KMPR4,134+4,134$202
LEIDOS HLDGS INC COM 1,866 +1,866 $202
     LDOS1,866+1,866$202
ENOVIS CORP 3,576 +3,576 $201
     ENOV3,576+3,576$201
FOUR CORNERS PPTY TR INC COM 7,956 +7,956 $201
     FCPT7,956+7,956$201
ICON PLC SHS 712 +712 $201
     ICLR712+712$201
CALLAWAY GOLF CO 13,369 -3,576 $192
     MODG13,369-3,576$192
PALANTIR TECHNOLOGIES INC CL A 11,145 +177 $191
     PLTR11,145+177$191
BLOOM ENERGY CORP COM CL A 12,834 +1,985 $190
     BE12,834+1,985$190
ORGANON & CO COMMON STOCK 12,698 -9,001 $183
     OGN12,698-9,001$183
TRUEBLUE INC 11,928 -120 $183
     TBI11,928-120$183
DIAMONDROCK HOSPITALITY CO 19,335 -240 $181
     DRH19,335-240$181
PEBBLEBROOK HOTEL TR COM 10,938 -344 $174
     PEB10,938-344$174
TAL ED GROUP ADS REPSTG COM 13,437 +13,437 $170
     TAL13,437+13,437$170
TENCENT MUSIC ENTMT GROUP SPON 18,851 +18,851 $170
     TME18,851+18,851$170
BRANDYWINE RLTY TR SH BEN INT 31,147 UNCH $169
     BDN31,147UNCH$169
RETAIL OPPORTUNITY INVTS CORCO 12,030 +22 $169
     ROIC12,030+22$169
ARCHROCK INC COM 10,764 -454 $165
     AROC10,764-454$165
OUTFRONT MEDIA INC COM 11,547 UNCH $162
     OUT11,547UNCH$162
UNDER ARMOUR INC CL A 17,883 -570 $158
     UAA17,883-570$158
HEALTH CATALYST INC COM 16,290 -19 $151
     HCAT16,290-19$151
APOLLO COML REAL EST FIN INCCO 12,696 UNCH $149
     ARI12,696UNCH$149
SUNSTONE HOTEL INVS INC NEW CO 13,679 +30 $146
     SHO13,679+30$146
HOPE BANCORP INC COM 11,398 UNCH $137
     HOPE11,398UNCH$137
ADEIA INC COMMON STOCK 10,739 -243 $133
     ADEA10,739-243$133
NEWELL RUBBERMAID INC 15,273 +15,273 $132
     NWL15,273+15,273$132
HANESBRANDS INC 28,899 -1,260 $129
     HBI28,899-1,260$129
UNITI GROUP INC COM 21,751 -350 $126
     UNIT21,751-350$126
JETBLUE AWYS CORP 22,337 -100 $124
     JBLU22,337-100$124
HELIX ENERGY SOLUTIONS GRP INC 11,376 UNCH $117
     HLX11,376UNCH$117
SABRE CORP COM 26,160 -600 $115
     SABR26,160-600$115
SERVICE PPTYS TR COM SH BEN IN 12,843 -440 $109
     SVC12,843-440$109
HUDSON PAC PPTYS INC COM 11,511 +539 $107
     HPP11,511+539$107
CHICOS F A S INC 12,926 -3,969 $98
     CHS12,926-3,969$98
FULL TRUCK ALLIANCE CO LTD SPO 13,526 +13,526 $95
     YMM13,526+13,526$95
LESLIES INC COM 11,406 UNCH $79
     LESL11,406UNCH$79
PAYONEER GLOBAL INC COM 14,183 +36 $74
     PAYO14,183+36$74
REDWOOD TR INC 10,080 UNCH $74
     RWT10,080UNCH$74
SUMMIT HOTEL PPTYS COM 10,720 UNCH $72
     INN10,720UNCH$72
MEDICAL PPTYS TRUST INC 14,354 -826 $70
     MPW14,354-826$70
SIRIUS XM HLDGS INC COM 12,789 -138 $70
     SIRI12,789-138$70
PITNEY BOWES INC 15,634 -650 $69
     PBI15,634-650$69
3 D SYS CORP DEL 10,733 -300 $68
     DDD10,733-300$68
BIOXCEL THERAPEUTICS INC COM 12,776 -28 $38
     BTAI12,776-28$38
GRUPO AEROPORTUARIO DEL SURESP $0 (exited)
     ASR0-2,134$0
ACTIVISION BLIZZARD INC $0 (exited)
     ATVI0-54,931$0
BANCO BRADESCO S A SPONSORED A $0 (exited)
     BBDO0-16,368$0
BOX INC CL A $0 (exited)
     BOX0-19,331$0
BOYD GAMING CORP $0 (exited)
     BYD0-11,193$0
CABLE ONE INC COM $0 (exited)
     CABO0-323$0
CONSOL ENERGY INC NEW COM $0 (exited)
     CEIX0-2,011$0
CONSOLIDATED COMM HLDGS INC CO $0 (exited)
     CNSL0-13,279$0
DISH NETWORK CORPORATION $0 (exited)
     DISH0-10,403$0
EXTREME NETWORKS INC $0 (exited)
     EXTR0-10,120$0
FEDERATED INVS INC PA CL B $0 (exited)
     FHI0-6,351$0
FISERV INC $0 (exited)
     FISV0-43,484$0
FOX FACTORY HLDG CORP COM $0 (exited)
     FOXF0-3,032$0
GEO GROUP INC NEW COM $0 (exited)
     GEO0-10,167$0
INMODE LTD SHS $0 (exited)
     INMD0-8,599$0
LIVANOVA PLC SHS $0 (exited)
     LIVN0-3,888$0
NATIONAL INSTRUMENTS CORP $0 (exited)
     NATI0-10,506$0
NEXTGEN HEALTHCARE INC COM $0 (exited)
     NXGN0-18,865$0
OCEANEERING INTL INC $0 (exited)
     OII0-8,017$0
OUTSET MED INC COM $0 (exited)
     OM0-10,959$0
PATTERSON COS INC $0 (exited)
     PDCO0-7,207$0
PERKINELMER INC $0 (exited)
     PKI0-9,183$0
EVEREST GROUP LTD $0 (exited)
     RE0-3,034$0
SIBANYE STILLWATER LTD SPONSOR $0 (exited)
     SBSW0-34,311$0
SEAGEN INC COM $0 (exited)
     SGEN0-1,217$0
ATLASSIAN CORPORATION CL A $0 (exited)
     TEAM0-1,699$0
TTM TECHNOLOGIES INC $0 (exited)
     TTMI0-10,029$0
HOSTESS BRANDS INC CL A $0 (exited)
     TWNK0-10,421$0
MARRIOTT VACATIONS WRLDWDE CCO $0 (exited)
     VAC0-2,738$0
VMWARE INC CL A $0 (exited)
     VMW0-61,399$0
VISHAY INTERTECHNOLOGY INC 0 -8,515 $0 (exited)
     VSH0-8,515$0

See Summary: Crossmark Global Holdings Inc. Top Holdings
See Details: Top 10 Stocks Held By Crossmark Global Holdings Inc.

EntityShares/Amount
Change
Position Value
Change
IDCC +122,616+$13,309
CIG +3,259,724+$7,562
FI +48,007+$6,378
CRH +46,530+$3,218
RBLX +27,017+$1,236
SPLK +7,459+$1,136
EG +3,008+$1,064
RVTY +9,035+$988
WPC +15,105+$979
CRI +12,062+$903
EntityShares/Amount
Change
Position Value
Change
VMW -61,399-$10,426
ATVI -54,931-$5,183
FISV -43,484-$4,986
RE -3,034-$1,169
PKI -9,183-$1,011
BYD -11,193-$677
NATI -10,506-$630
ASR -2,134-$524
BOX -19,331-$495
NXGN -18,865-$449
EntityShares/Amount
Change
Position Value
Change
IPG +318,078+$10,488
TPR +277,124+$10,294
KHC +230,606+$8,786
T +167,902+$3,847
CVS +162,296+$14,866
SWKS +123,390+$13,975
SYY +112,062+$8,425
WU +104,369+$919
HPE +102,918+$1,755
CNI +100,631+$13,405
EntityShares/Amount
Change
Position Value
Change
ERIC -1,242,152-$5,709
GEN -425,191-$7,307
LOGI -175,451-$12,056
LYG -159,733+$1,144
G -158,558-$5,946
CAH -136,886-$11,921
F -125,467-$1,535
CHRW -111,780-$9,680
JWN -110,627-$1,209
Size ($ in 1000's)
At 12/31/2023: $4,818,734
At 09/30/2023: $4,412,999

Crossmark Global Holdings Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Crossmark Global Holdings Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Crossmark Global Holdings Inc. | www.HoldingsChannel.com

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