HoldingsChannel.com
All Stocks Held By Cubist Systematic Strategies LLC
As of  03/31/2020
   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
ISHARES TR (IWM) 774,900 +774,900 $88,695
     IWM774,900+774,900$88,695
MICROSOFT CORP 161,154 +93,979 $25,416
     MSFT161,154+93,979$25,416
JPMORGAN CHASE & CO 267,347 +265,847 $24,069
     JPM267,347+265,847$24,069
PFIZER INC 735,427 +448,966 $24,004
     PFE735,427+448,966$24,004
APPLE INC 93,532 +92,522 $23,784
     AAPL93,532+92,522$23,784
MOTOROLA SOLUTIONS INC 164,439 +86,052 $21,857
     MSI164,439+86,052$21,857
EXXON MOBIL CORP 573,818 +373,431 $21,788
     XOM573,818+373,431$21,788
DOLLAR GEN CORP NEW 134,915 +70,398 $20,374
     DG134,915+70,398$20,374
MASTERCARD INC 78,958 +56,987 $19,073
     MA78,958+56,987$19,073
MERCK & CO. INC 240,733 +183,682 $18,522
     MRK240,733+183,682$18,522
TEXAS INSTRS INC 181,306 +149,306 $18,118
     TXN181,306+149,306$18,118
SALESFORCE COM INC 125,276 +120,404 $18,037
     CRM125,276+120,404$18,037
CABOT OIL & GAS CORP 1,045,251 +1,013,498 $17,968
     COG1,045,251+1,013,498$17,968
MEDTRONIC PLC 198,988 +171,717 $17,945
     MDT198,988+171,717$17,945
CHEVRON CORP NEW 244,444 +152,208 $17,712
     CVX244,444+152,208$17,712
PAYPAL HLDGS INC 182,675 +88,247 $17,489
     PYPL182,675+88,247$17,489
INTUIT 73,861 +57,820 $16,988
     INTU73,861+57,820$16,988
AT&T INC 565,627 +545,635 $16,488
     T565,627+545,635$16,488
JOHNSON CTLS INTL PLC 607,214 +153,845 $16,370
     JCI607,214+153,845$16,370
COCA COLA EUROPEAN PARTNERS 433,606 +257,872 $16,273
     CCEP433,606+257,872$16,273
CLOROX CO DEL 90,506 +79,784 $15,680
     CLX90,506+79,784$15,680
QUALCOMM INC 230,957 -212,782 $15,624
     QCOM230,957-212,782$15,624
GOLDMAN SACHS GROUP INC 100,353 +62,871 $15,514
     GS100,353+62,871$15,514
AMPHENOL CORP NEW 212,413 +154,847 $15,481
     APH212,413+154,847$15,481
AMAZON COM INC 7,785 -340 $15,179
     AMZN7,785-340$15,179
LULULEMON ATHLETICA INC 80,045 +980 $15,173
     LULU80,045+980$15,173
EDWARDS LIFESCIENCES CORP 78,668 -445 $14,838
     EW78,668-445$14,838
COCA COLA CO 329,842 +260,672 $14,596
     KO329,842+260,672$14,596
BERKSHIRE HATHAWAY INC DEL      $14,512
     BRK.B79,374+72,318$14,512
ANTHEM INC 63,585 +44,743 $14,436
     ANTM63,585+44,743$14,436
COSTCO WHSL CORP NEW 49,366 +24,672 $14,076
     COST49,366+24,672$14,076
DEXCOM INC 51,878 -36,184 $13,969
     DXCM51,878-36,184$13,969
ARCH CAP GROUP LTD 483,644 +447,115 $13,765
     ACGL483,644+447,115$13,765
PVH CORPORATION 358,466 +352,391 $13,493
     PVH358,466+352,391$13,493
LAMB WESTON HLDGS INC 234,699 +23,055 $13,401
     LW234,699+23,055$13,401
VISA INC 82,414 +47,060 $13,279
     V82,414+47,060$13,279
DUPONT DE NEMOURS INC 385,936 +92,419 $13,160
     DD385,936+92,419$13,160
WELLS FARGO CO NEW 458,333 +65,187 $13,154
     WFC458,333+65,187$13,154
FLEETCOR TECHNOLOGIES INC 69,353 +21,060 $12,937
     FLT69,353+21,060$12,937
CITIGROUP INC 298,731 +280,452 $12,583
     C298,731+280,452$12,583
KIMBERLY CLARK CORP 96,242 +92,487 $12,306
     KMB96,242+92,487$12,306
EOG RES INC 340,942 +261,162 $12,247
     EOG340,942+261,162$12,247
CVS HEALTH CORP 205,677 +147,783 $12,203
     CVS205,677+147,783$12,203
JOHNSON & JOHNSON 92,037 +81,449 $12,069
     JNJ92,037+81,449$12,069
CAMPBELL SOUP CO 252,385 +236,187 $11,650
     CPB252,385+236,187$11,650
BEST BUY INC 202,419 +55,803 $11,538
     BBY202,419+55,803$11,538
ZOOM VIDEO COMMUNICATIONS IN 78,847 +74,147 $11,521
     ZM78,847+74,147$11,521
WALMART INC 99,819 +56,296 $11,341
     WMT99,819+56,296$11,341
GRUBHUB INC 278,278 +259,509 $11,334
     GRUB278,278+259,509$11,334
PROCTER & GAMBLE CO 101,374 -39,191 $11,151
     PG101,374-39,191$11,151
HOME DEPOT INC 58,894 +37,648 $10,996
     HD58,894+37,648$10,996
AGNICO EAGLE MINES LTD 275,018 +237,796 $10,943
     AEM275,018+237,796$10,943
CONOCOPHILLIPS 354,827 +269,020 $10,929
     COP354,827+269,020$10,929
CHURCH & DWIGHT INC 169,359 +96,733 $10,869
     CHD169,359+96,733$10,869
LILLY ELI & CO 77,829 +69,021 $10,796
     LLY77,829+69,021$10,796
WASTE CONNECTIONS INC 139,231 +76,541 $10,790
     WCN139,231+76,541$10,790
FACEBOOK INC 64,070 -10,379 $10,687
     FB64,070-10,379$10,687
COLGATE PALMOLIVE CO 160,639 +111,721 $10,660
     CL160,639+111,721$10,660
COMCAST CORP NEW 307,080 +240,378 $10,557
     CMCSA307,080+240,378$10,557
ILLINOIS TOOL WKS INC 73,770 +73,770 $10,484
     ITW73,770+73,770$10,484
CREDICORP LTD 72,543 +53,800 $10,379
     BAP72,543+53,800$10,379
PAYCOM SOFTWARE INC 51,366 +39,683 $10,376
     PAYC51,366+39,683$10,376
GODADDY INC 179,646 +94,445 $10,260
     GDDY179,646+94,445$10,260
KROGER CO 336,197 +296,682 $10,126
     KR336,197+296,682$10,126
CAPITAL ONE FINL CORP 198,620 +155,120 $10,014
     COF198,620+155,120$10,014
TAIWAN SEMICONDUCTOR MFG LTD 204,194 +177,189 $9,758
     TSM204,194+177,189$9,758
BOSTON SCIENTIFIC CORP 292,931 +161,062 $9,558
     BSX292,931+161,062$9,558
DELTA AIR LINES INC DEL 332,346 +209,654 $9,482
     DAL332,346+209,654$9,482
ENTERGY CORP NEW 100,464 +17,427 $9,441
     ETR100,464+17,427$9,441
RH 93,186 +28,001 $9,362
     RH93,186+28,001$9,362
AMERICAN ELEC PWR CO INC 116,659 +72,219 $9,330
     AEP116,659+72,219$9,330
FRANCO NEVADA CORP 92,286 +80,306 $9,189
     FNV92,286+80,306$9,189
DOMINOS PIZZA INC 27,997 +11,922 $9,073
     DPZ27,997+11,922$9,073
O REILLY AUTOMOTIVE INC NEW 30,095 +14,061 $9,060
     ORLY30,095+14,061$9,060
ADVANCED MICRO DEVICES INC 198,810 +136,739 $9,042
     AMD198,810+136,739$9,042
CISCO SYS INC 229,872 +53,397 $9,036
     CSCO229,872+53,397$9,036
WORKDAY INC 69,095 +9,527 $8,998
     WDAY69,095+9,527$8,998
FIDELITY NATIONAL FINANCIAL 357,390 +268,377 $8,892
     FNF357,390+268,377$8,892
KEYSIGHT TECHNOLOGIES INC 106,144 +64,634 $8,882
     KEYS106,144+64,634$8,882
WEYERHAEUSER CO 518,471 +414,071 $8,788
     WY518,471+414,071$8,788
ELECTRONIC ARTS INC 87,376 +62,840 $8,752
     EA87,376+62,840$8,752
AUTODESK INC 55,881 -23,306 $8,723
     ADSK55,881-23,306$8,723
REINSURANCE GRP OF AMERICA I 102,611 +64,432 $8,634
     RGA102,611+64,432$8,634
FRANKLIN RESOURCES INC 510,833 +276,880 $8,526
     BEN510,833+276,880$8,526
NVIDIA CORP 32,005 -38,643 $8,437
     NVDA32,005-38,643$8,437
WEC ENERGY GROUP INC 94,615 +84,407 $8,338
     WEC94,615+84,407$8,338
ARES CAPITAL CORP 765,897 +765,897 $8,256
     ARCC765,897+765,897$8,256
TARGET CORP 88,096 +45,631 $8,190
     TGT88,096+45,631$8,190
VERIZON COMMUNICATIONS INC 151,811 -6,027 $8,157
     VZ151,811-6,027$8,157
HCA HEALTHCARE INC 90,690 +56,946 $8,148
     HCA90,690+56,946$8,148
DENTSPLY SIRONA INC 208,154 +189,954 $8,083
     XRAY208,154+189,954$8,083
IHS MARKIT LTD 133,988 +128,561 $8,039
     INFO133,988+128,561$8,039
SPIRIT AEROSYSTEMS HLDGS INC 333,559 +25,919 $7,982
     SPR333,559+25,919$7,982
SERVICENOW INC 27,543 +25,711 $7,893
     NOW27,543+25,711$7,893
IRON MTN INC NEW 330,030 +210,020 $7,855
     IRM330,030+210,020$7,855
PPG INDS INC 93,362 +65,779 $7,805
     PPG93,362+65,779$7,805
UNITED PARCEL SERVICE INC 83,491 -38,849 $7,800
     UPS83,491-38,849$7,800
HONEYWELL INTL INC 57,848 +15,522 $7,739
     HON57,848+15,522$7,739
XCEL ENERGY INC 127,257 +117,948 $7,674
     XEL127,257+117,948$7,674
SCHLUMBERGER LTD 568,046 +328,500 $7,663
     SLB568,046+328,500$7,663
MARTIN MARIETTA MATLS INC 40,194 +21,929 $7,606
     MLM40,194+21,929$7,606
BK OF AMERICA CORP 358,099 +303,833 $7,602
     BAC358,099+303,833$7,602
UNIVERSAL HLTH SVCS INC 76,332 +54,590 $7,563
     UHS76,332+54,590$7,563
BIOGEN INC 23,886 +6,381 $7,557
     BIIB23,886+6,381$7,557
UNDER ARMOUR INC 818,739 +818,739 $7,541
     UAA818,739+818,739$7,541
QUEST DIAGNOSTICS INC 92,289 +83,171 $7,411
     DGX92,289+83,171$7,411
DOW INC 251,191 +247,453 $7,345
     DOW251,191+247,453$7,345
WOODWARD INC 120,432 +116,990 $7,158
     WWD120,432+116,990$7,158
EBAY INC 236,207 -71,303 $7,100
     EBAY236,207-71,303$7,100
CITIZENS FINANCIAL GROUP INC 377,279 +179,888 $7,097
     CFG377,279+179,888$7,097
DARDEN RESTAURANTS INC 130,270 +59,192 $7,095
     DRI130,270+59,192$7,095
ECOLAB INC 45,434 +7,021 $7,080
     ECL45,434+7,021$7,080
DOMINION ENERGY INC 97,255 +5,589 $7,021
     D97,255+5,589$7,021
GENERAL DYNAMICS CORP 52,149 -92,310 $6,900
     GD52,149-92,310$6,900
PHILLIPS 66 127,446 -32,675 $6,837
     PSX127,446-32,675$6,837
NRG ENERGY INC 250,106 -136,055 $6,818
     NRG250,106-136,055$6,818
ABBVIE INC 88,955 -107,909 $6,777
     ABBV88,955-107,909$6,777
MORGAN STANLEY 196,024 +69,844 $6,665
     MS196,024+69,844$6,665
ABBOTT LABS 84,439 +81,212 $6,663
     ABT84,439+81,212$6,663
CME GROUP INC 38,046 +23,987 $6,579
     CME38,046+23,987$6,579
EAST WEST BANCORP INC 251,853 +204,337 $6,483
     EWBC251,853+204,337$6,483
ENBRIDGE INC 222,101 +220,550 $6,460
     ENB222,101+220,550$6,460
PRICE T ROWE GROUP INC 66,084 +43,976 $6,453
     TROW66,084+43,976$6,453
HUMANA INC 20,422 +19,070 $6,413
     HUM20,422+19,070$6,413
PEPSICO INC 53,272 +41,221 $6,398
     PEP53,272+41,221$6,398
PUBLIC SVC ENTERPRISE GRP IN 142,043 -51,618 $6,379
     PEG142,043-51,618$6,379
MOODYS CORP 30,036 -4,561 $6,353
     MCO30,036-4,561$6,353
WEBSTER FINL CORP CONN 273,129 +240,378 $6,255
     WBS273,129+240,378$6,255
TESLA INC 11,796 +6,007 $6,181
     TSLA11,796+6,007$6,181
FLOOR & DECOR HLDGS INC 191,031 +191,031 $6,130
     FND191,031+191,031$6,130
STERIS PLC 43,081 -61,173 $6,030
     STE43,081-61,173$6,030
ATLASSIAN CORP PLC 43,403 -9,938 $5,957
     TEAM43,403-9,938$5,957
AMERICAN EXPRESS CO 69,377 +41,723 $5,939
     AXP69,377+41,723$5,939
ALTERYX INC 61,973 +48,849 $5,898
     AYX61,973+48,849$5,898
BAKER HUGHES COMPANY 558,783 +230,524 $5,867
     BHGE558,783+230,524$5,867
TERADYNE INC 108,271 +97,152 $5,865
     TER108,271+97,152$5,865
MARSH & MCLENNAN COS INC 67,199 +56,705 $5,810
     MMC67,199+56,705$5,810
US FOODS HLDG CORP 327,652 +195,344 $5,803
     USFD327,652+195,344$5,803
DAVITA INC 76,243 -79,443 $5,799
     DVA76,243-79,443$5,799
WASTE MGMT INC DEL 62,522 +16,314 $5,787
     WM62,522+16,314$5,787
AXIS CAPITAL HOLDINGS LTD 149,285 +117,362 $5,770
     AXS149,285+117,362$5,770
DISCOVER FINL SVCS 160,869 +77,169 $5,738
     DFS160,869+77,169$5,738
AMERICAN INTL GROUP INC 233,794 +29,766 $5,670
     AIG233,794+29,766$5,670
STARBUCKS CORP 85,955 -47,175 $5,651
     SBUX85,955-47,175$5,651
ZIONS BANCORPORATION N A 208,886 +195,696 $5,590
     ZION208,886+195,696$5,590
WESCO INTL INC 243,116 +180,366 $5,555
     WCC243,116+180,366$5,555
MCKESSON CORP 40,974 -87,718 $5,542
     MCK40,974-87,718$5,542
SCHWAB CHARLES CORP 164,784 -245,952 $5,540
     SCHW164,784-245,952$5,540
BURLINGTON STORES INC 34,788 +13,345 $5,513
     BURL34,788+13,345$5,513
STANLEY BLACK & DECKER INC 55,074 +54,981 $5,507
     SWK55,074+54,981$5,507
WESTERN UN CO 302,447 +155,983 $5,483
     WU302,447+155,983$5,483
COOPER COS INC 19,861 +15,297 $5,475
     COO19,861+15,297$5,475
TEVA PHARMACEUTICAL INDS LTD 609,282 -195,368 $5,471
     TEVA609,282-195,368$5,471
FORD MTR CO DEL 1,119,893 +828,237 $5,409
     F1,119,893+828,237$5,409
COGNIZANT TECHNOLOGY SOLUTIO 114,145 -13,756 $5,304
     CTSH114,145-13,756$5,304
CHARTER COMMUNICATIONS INC N 12,132 +2,403 $5,293
     CHTR12,132+2,403$5,293
HERSHEY CO 39,719 +36,684 $5,263
     HSY39,719+36,684$5,263
HOLOGIC INC 149,562 +21,587 $5,250
     HOLX149,562+21,587$5,250
CDW CORP 56,080 +34,563 $5,231
     CDW56,080+34,563$5,231
DISH NETWORK CORPORATION 260,083 +191,318 $5,199
     DISHV260,083+191,318$5,199
CINEMARK HOLDINGS INC 508,782 +384,116 $5,184
     CNK508,782+384,116$5,184
SYNNEX CORP 70,716 +65,916 $5,169
     SNX70,716+65,916$5,169
HARTFORD FINL SVCS GROUP INC 146,426 +53,342 $5,160
     HIG146,426+53,342$5,160
BWX TECHNOLOGIES INC 105,901 +90,264 $5,158
     BWXT105,901+90,264$5,158
ANHEUSER BUSCH INBEV SA NV 116,625 +96,837 $5,145
     BUD116,625+96,837$5,145
DUKE ENERGY CORP NEW 63,529 +51,034 $5,138
     DUK63,529+51,034$5,138
LEIDOS HOLDINGS INC 55,999 +43,505 $5,132
     LDOS55,999+43,505$5,132
SOLAREDGE TECHNOLOGIES INC 62,619 +53,288 $5,127
     SEDG62,619+53,288$5,127
NATIONAL OILWELL VARCO INC 520,955 +369,643 $5,121
     NOV520,955+369,643$5,121
TENET HEALTHCARE CORP 355,347 +272,423 $5,117
     THC355,347+272,423$5,117
ORACLE CORP 105,133 -649,765 $5,081
     ORCL105,133-649,765$5,081
CABLE ONE INC 3,076 -2,219 $5,057
     CABO3,076-2,219$5,057
FIRST AMERN FINL CORP 119,077 -84,088 $5,050
     FAF119,077-84,088$5,050
FASTENAL CO 160,731 +156,672 $5,023
     FAST160,731+156,672$5,023
XYLEM INC 76,805 +50,740 $5,002
     XYL76,805+50,740$5,002
EURONET WORLDWIDE INC 58,320 +9,325 $4,999
     EEFT58,320+9,325$4,999
ZIMMER BIOMET HOLDINGS INC 48,809 +25,434 $4,934
     ZBH48,809+25,434$4,934
WENDYS CO 329,741 +270,786 $4,907
     WEN329,741+270,786$4,907
AMGEN INC 24,199 +12,056 $4,906
     AMGN24,199+12,056$4,906
AXALTA COATING SYS LTD 283,437 +162,486 $4,895
     AXTA283,437+162,486$4,895
CINTAS CORP 27,650 +18,007 $4,790
     CTAS27,650+18,007$4,790
LIVANOVA PLC 104,972 +40,349 $4,750
     LIVN104,972+40,349$4,750
INGEVITY CORP 134,954 +99,409 $4,750
     NGVT134,954+99,409$4,750
MAXIM INTEGRATED PRODS INC 97,355 +28,414 $4,732
     MXIM97,355+28,414$4,732
NETFLIX INC 12,448 -58,001 $4,674
     NFLX12,448-58,001$4,674
CRANE CO 94,056 +70,794 $4,626
     CR94,056+70,794$4,626
ALCOA CORP 747,662 +418,614 $4,606
     AA747,662+418,614$4,606
ROPER TECHNOLOGIES INC 14,761 -43 $4,603
     ROP14,761-43$4,603
GUIDEWIRE SOFTWARE INC 57,943 +54,243 $4,595
     GWRE57,943+54,243$4,595
V F CORP 84,754 +59,516 $4,583
     VFC84,754+59,516$4,583
JUNIPER NETWORKS INC 237,301 -186,587 $4,542
     JNPR237,301-186,587$4,542
EMERSON ELEC CO 94,973 +18,532 $4,525
     EMR94,973+18,532$4,525
PHILIP MORRIS INTL INC 61,994 +15,085 $4,523
     PM61,994+15,085$4,523
BLACKSTONE GROUP INC 98,436 +65,550 $4,486
     BX98,436+65,550$4,486
SYNCHRONY FINL 276,486 +3,637 $4,449
     SYF276,486+3,637$4,449
PAYCHEX INC 70,541 -48,072 $4,438
     PAYX70,541-48,072$4,438
BOEING CO 29,420 -2,058 $4,388
     BA29,420-2,058$4,388
HANOVER INS GROUP INC 48,387 +46,853 $4,383
     THG48,387+46,853$4,383
NASDAQ INC 46,127 +34,760 $4,380
     NDAQ46,127+34,760$4,380
WEX INC 41,848 +30,529 $4,375
     WEX41,848+30,529$4,375
TWITTER INC 176,792 +161,994 $4,342
     TWTR176,792+161,994$4,342
NORTHROP GRUMMAN CORP 14,261 -5,444 $4,315
     NOC14,261-5,444$4,315
VMWARE INC 35,496 -53,292 $4,299
     VMW35,496-53,292$4,299
GARTNER INC 43,081 +19,880 $4,290
     IT43,081+19,880$4,290
MONSTER BEVERAGE CORP NEW 75,898 +47,805 $4,270
     MNST75,898+47,805$4,270
KEURIG DR PEPPER INC 175,816 -265,550 $4,267
     KDP175,816-265,550$4,267
EXPEDITORS INTL WASH INC 63,573 +21,276 $4,242
     EXPD63,573+21,276$4,242
DOLLAR TREE INC 57,640 +57,055 $4,235
     DLTR57,640+57,055$4,235
CURTISS WRIGHT CORP 45,654 +28,765 $4,219
     CW45,654+28,765$4,219
UNITED STATES STL CORP NEW 668,369 +638,635 $4,217
     X668,369+638,635$4,217
BILIBILI INC 179,586 +136,145 $4,206
     BILI179,586+136,145$4,206
JEFFERIES FINL GROUP INC 307,697 +243,701 $4,206
     JEF307,697+243,701$4,206
CDK GLOBAL INC 127,538 +47,049 $4,190
     CDK127,538+47,049$4,190
YUM BRANDS INC 61,120 -53,100 $4,189
     YUM61,120-53,100$4,189
HEICO CORP NEW      $4,174
     HEI54,044+2,858$4,032
     HEI.A2,219-32,179$142
EVERGY INC 75,791 -15,575 $4,172
     EVRG75,791-15,575$4,172
SPLUNK INC 32,671 -34,751 $4,124
     SPLK32,671-34,751$4,124
CF INDS HLDGS INC 151,397 +20,556 $4,118
     CF151,397+20,556$4,118
ANALOG DEVICES INC 45,431 +11,030 $4,073
     ADI45,431+11,030$4,073
PINDUODUO INC 113,037 -15,535 $4,073
     PDD113,037-15,535$4,073
HENRY SCHEIN INC 80,442 +58,830 $4,064
     HSIC80,442+58,830$4,064
CENTERPOINT ENERGY INC 261,935 +128,335 $4,047
     CNP261,935+128,335$4,047
SPROUTS FMRS MKT INC 217,277 +167,386 $4,039
     SFM217,277+167,386$4,039
CONSTELLATION BRANDS INC 28,152 -26,910 $4,036
     STZ28,152-26,910$4,036
ITT INC 88,679 +53,223 $4,022
     ITT88,679+53,223$4,022
TAL EDUCATION GROUP 75,195 -3,629 $4,005
     TAL75,195-3,629$4,005
ALLIANT ENERGY CORP 82,883 +44,540 $4,002
     LNT82,883+44,540$4,002
STRYKER CORP 24,027 -29,429 $4,000
     SYK24,027-29,429$4,000
VERISIGN INC 22,174 +13,248 $3,993
     VRSN22,174+13,248$3,993
ALKERMES PLC 276,162 +76,858 $3,982
     ALKS276,162+76,858$3,982
ALIGN TECHNOLOGY INC 22,774 +17,418 $3,962
     ALGN22,774+17,418$3,962
HUBSPOT INC 29,638 +19,547 $3,947
     HUBS29,638+19,547$3,947
NEXTERA ENERGY INC 16,219 +5,774 $3,903
     NEE16,219+5,774$3,903
XPO LOGISTICS INC 79,468 +72,635 $3,874
     XPO79,468+72,635$3,874
CLEAN HARBORS INC 75,102 +65,659 $3,856
     CLH75,102+65,659$3,856
BLUEBIRD BIO INC 83,314 +55,248 $3,829
     BLUE83,314+55,248$3,829
KNIGHT SWIFT TRANSN HLDGS IN 116,555 +81,902 $3,823
     KNX116,555+81,902$3,823
BAUSCH HEALTH COS INC 246,217 -37,795 $3,816
     BHC246,217-37,795$3,816
EPR PPTYS 157,369 +118,110 $3,811
     EPR157,369+118,110$3,811
MOSAIC CO NEW 349,647 +246,297 $3,783
     MOS349,647+246,297$3,783
UNITED THERAPEUTICS CORP DEL 39,831 -50,729 $3,777
     UTHR39,831-50,729$3,777
MASCO CORP 108,661 +90,695 $3,756
     MAS108,661+90,695$3,756
NEW RELIC INC 81,009 -9,236 $3,746
     NEWR81,009-9,236$3,746
CENTENE CORP DEL 63,017 +25,576 $3,744
     CNC63,017+25,576$3,744
NIELSEN HLDGS PLC 298,575 +298,575 $3,744
     NLSN298,575+298,575$3,744
MONDELEZ INTL INC 74,538 +66,891 $3,733
     MDLZ74,538+66,891$3,733
OCCIDENTAL PETE CORP 322,268 +182,947 $3,732
     OXY322,268+182,947$3,732
CERIDIAN HCM HLDG INC 74,455 +74,455 $3,728
     CDAY74,455+74,455$3,728
APPLIED MATLS INC 81,250 -94,122 $3,723
     AMAT81,250-94,122$3,723
UNDER ARMOUR INC 461,379 +445,531 $3,719
     UA461,379+445,531$3,719
EXELIXIS INC 215,023 +200,262 $3,703
     EXEL215,023+200,262$3,703
SPDR S&P 500 ETF TR (SPY) 14,358 +14,358 $3,701
     SPY14,358+14,358$3,701
BED BATH & BEYOND INC 869,037 +869,037 $3,659
     BBBY869,037+869,037$3,659
MERCADOLIBRE INC 7,459 +1,673 $3,644
     MELI7,459+1,673$3,644
VIPSHOP HLDGS LTD 233,819 +165,579 $3,643
     VIPS233,819+165,579$3,643
LENNOX INTL INC 19,963 +15,553 $3,629
     LII19,963+15,553$3,629
ACCENTURE PLC IRELAND 22,168 +9,336 $3,619
     ACN22,168+9,336$3,619
WILLIAMS SONOMA INC 85,061 +38,998 $3,617
     WSM85,061+38,998$3,617
GAMING & LEISURE PPTYS INC 129,790 +8,771 $3,596
     GLPI129,790+8,771$3,596
3M CO 26,307 +17,681 $3,591
     MMM26,307+17,681$3,591
SQUARE INC 68,227 -42,380 $3,574
     SQ68,227-42,380$3,574
BCE INC 86,271 +37,989 $3,526
     BCE86,271+37,989$3,526
BAIDU INC 34,952 +17,065 $3,523
     BIDU34,952+17,065$3,523
ROYAL BK CDA 56,435 +41,203 $3,489
     RY56,435+41,203$3,489
MOLSON COORS BEVERAGE CO 89,343 +74,357 $3,485
     TAP89,343+74,357$3,485
AECOM 116,402 +76,541 $3,475
     ACM116,402+76,541$3,475
CINCINNATI FINL CORP 45,905 +38,723 $3,464
     CINF45,905+38,723$3,464
AUTOLIV INC 75,248 +45,783 $3,462
     ALV75,248+45,783$3,462
ICICI BANK LIMITED 407,202 +394,412 $3,461
     IBN407,202+394,412$3,461
SEI INVESTMENTS CO 74,663 +61,184 $3,460
     SEIC74,663+61,184$3,460
ON SEMICONDUCTOR CORP 276,995 +159,211 $3,446
     ON276,995+159,211$3,446
ROYAL GOLD INC 39,243 +29,172 $3,442
     RGLD39,243+29,172$3,442
MSCI INC 11,900 -24,758 $3,439
     MSCI11,900-24,758$3,439
ADOBE INC 10,709 -69,761 $3,408
     ADBE10,709-69,761$3,408
SLACK TECHNOLOGIES INC 126,972 +54,967 $3,408
     WORK126,972+54,967$3,408
GILEAD SCIENCES INC 45,466 -41,816 $3,399
     GILD45,466-41,816$3,399
BERKLEY W R CORP 65,161 +17,758 $3,399
     WRB65,161+17,758$3,399
CARGURUS INC 176,321 +135,537 $3,340
     CARG176,321+135,537$3,340
ONEMAIN HLDGS INC 173,921 +72,626 $3,325
     OMF173,921+72,626$3,325
FLOWERS FOODS INC 161,314 +161,314 $3,310
     FLO161,314+161,314$3,310
PURE STORAGE INC 268,253 +182,247 $3,300
     PSTG268,253+182,247$3,300
BANK NEW YORK MELLON CORP 97,672 -86,479 $3,290
     BK97,672-86,479$3,290
OGE ENERGY CORP 106,358 +100,223 $3,268
     OGE106,358+100,223$3,268
DTE ENERGY CO 34,299 -43,807 $3,257
     DTE34,299-43,807$3,257
KENNAMETAL INC 174,737 +127,783 $3,254
     KMT174,737+127,783$3,254
UNITED TECHNOLOGIES CORP 34,454 -78,110 $3,250
     UTX34,454-78,110$3,250
PHYSICIANS RLTY TR 232,632 +97,101 $3,243
     DOC232,632+97,101$3,243
MACERICH CO 571,663 +439,619 $3,218
     MAC571,663+439,619$3,218
MARKETAXESS HLDGS INC 9,675 +8,681 $3,218
     MKTX9,675+8,681$3,218
ALTRIA GROUP INC 83,019 -56,761 $3,210
     MO83,019-56,761$3,210
SABRE CORP 539,949 +444,478 $3,202
     SABR539,949+444,478$3,202
ARROW ELECTRS INC 61,654 +54,459 $3,198
     ARW61,654+54,459$3,198
FREEPORT MCMORAN INC 472,540 +122,520 $3,190
     FCX472,540+122,520$3,190
SCIENCE APPLICATNS INTL CP N 42,739 +7,781 $3,190
     SAIC42,739+7,781$3,190
UNUM GROUP 211,891 -420,732 $3,180
     UNM211,891-420,732$3,180
AUTONATION INC 113,002 +47,443 $3,171
     AN113,002+47,443$3,171
ROKU INC 36,101 +20,176 $3,158
     ROKU36,101+20,176$3,158
FLIR SYS INC 99,005 +44,709 $3,157
     FLIR99,005+44,709$3,157
ACTIVISION BLIZZARD INC 52,931 +43,732 $3,148
     ATVI52,931+43,732$3,148
BRISTOL MYERS SQUIBB CO 56,425 -26,825 $3,145
     BMY56,425-26,325$3,145
CHEWY INC 83,614 +48,314 $3,135
     CHWY83,614+48,314$3,135
TRANSDIGM GROUP INC 9,760 +7,127 $3,125
     TDG9,760+7,127$3,125
PAN AMERN SILVER CORP 217,577 +91,102 $3,120
     PAAS217,577+91,102$3,120
TRANE TECHNOLOGIES PLC 37,680 +37,680 $3,112
     TT37,680+37,680$3,112
HERBALIFE NUTRITION LTD 106,513 +103,599 $3,106
     HLF106,513+103,599$3,106
MANPOWERGROUP INC 58,611 +51,827 $3,106
     MAN58,611+51,827$3,106
GRACO INC 63,425 +57,719 $3,091
     GGG63,425+57,719$3,091
AMN HEALTHCARE SVCS INC 53,426 +48,917 $3,089
     AMN53,426+48,917$3,089
BIO RAD LABS INC 8,804 +6,552 $3,086
     BIO8,804+6,552$3,086
STATE STR CORP 57,895 +35,995 $3,084
     STT57,895+35,995$3,084
BRIGHT HORIZONS FAM SOL IN D 30,125 -26,550 $3,073
     BFAM30,125-26,550$3,073
INSPERITY INC 81,892 +20,450 $3,055
     NSP81,892+20,450$3,055
SEA LTD 68,740 -53,228 $3,046
     SE68,740-53,228$3,046
XEROX HOLDINGS CORP 160,801 +11,294 $3,046
     XRX160,801+11,294$3,046
ETSY INC 79,209 +60,366 $3,045
     ETSY79,209+60,366$3,045
INTUITIVE SURGICAL INC 6,121 +3,181 $3,031
     ISRG6,121+3,181$3,031
VIRTU FINL INC 145,363 +111,115 $3,026
     VIRT145,363+111,115$3,026
ALLEGION PLC 32,840 +26,264 $3,022
     ALLE32,840+26,264$3,022
ZOETIS INC 25,565 -38,548 $3,009
     ZTS25,565-38,548$3,009
CONTINENTAL RES INC 392,992 +340,595 $3,002
     CLR392,992+340,595$3,002
FIRST MAJESTIC SILVER CORP 483,182 +430,502 $2,991
     AG483,182+430,502$2,991
MARKEL CORP 3,219 +2,770 $2,987
     MKL3,219+2,770$2,987
ACUITY BRANDS INC 34,803 +26,787 $2,981
     AYI34,803+26,787$2,981
DONALDSON INC 77,133 +72,111 $2,980
     DCI77,133+72,111$2,980
PNM RES INC 78,354 +19,933 $2,977
     PNM78,354+19,933$2,977
IAA INC 99,263 +92,903 $2,974
     IAA99,263+92,903$2,974
KIRBY CORP 68,412 +56,908 $2,974
     KEX68,412+56,908$2,974
ALLY FINL INC 205,678 -450,424 $2,968
     ALLY205,678-450,424$2,968
NEXSTAR MEDIA GROUP INC 51,267 +26,364 $2,960
     NXST51,267+26,364$2,960
SMUCKER J M CO 26,650 -51,997 $2,958
     SJM26,650-51,997$2,958
ELDORADO GOLD CORP NEW 476,689 +296,533 $2,943
     EGO476,689+296,533$2,943
MERITAGE HOMES CORP 80,525 -69,507 $2,940
     MTH80,525-69,507$2,940
EVERSOURCE ENERGY 37,563 +28,579 $2,938
     ES37,563+28,579$2,938
REPUBLIC SVCS INC 39,146 -8,714 $2,938
     RSG39,146-8,714$2,938
JD COM INC 72,301 +3,382 $2,928
     JD72,301+3,382$2,928
RELIANCE STEEL & ALUMINUM CO 33,332 -14,057 $2,920
     RS33,332-14,057$2,920
TENARIS S A 239,223 +199,129 $2,883
     TS239,223+199,129$2,883
REGENERON PHARMACEUTICALS 5,899 -15,907 $2,880
     REGN5,899-15,907$2,880
ONEOK INC NEW 131,929 +92,611 $2,877
     OKE131,929+92,611$2,877
NORDSON CORP 21,244 -6,452 $2,869
     NDSN21,244-6,452$2,869
BROWN & BROWN INC 78,622 -12,570 $2,848
     BRO78,622-12,570$2,848
PBF ENERGY INC 398,930 +192,578 $2,824
     PBF398,930+192,578$2,824
CERNER CORP 44,819 +154 $2,823
     CERN44,819+154$2,823
PACCAR INC 46,158 +27,108 $2,822
     PCAR46,158+27,108$2,822
VIASAT INC 78,257 +69,423 $2,811
     VSAT78,257+69,423$2,811
COMERICA INC 95,521 +12,701 $2,803
     CMA95,521+12,701$2,803
ALTICE USA INC 125,539 +108,777 $2,798
     ATUS125,539+108,777$2,798
SHERWIN WILLIAMS CO 6,084 -8,594 $2,796
     SHW6,084-8,594$2,796
STRATEGIC ED INC 20,008 UNCH $2,796
     STRA20,008UNCH$2,796
PEOPLES UTD FINL INC 251,135 +218,153 $2,775
     PBCT251,135+218,153$2,775
CONMED CORP 48,428 +9,540 $2,773
     CNMD48,428+9,540$2,773
IDEX CORP 20,058 +17,058 $2,770
     IEX20,058+17,058$2,770
STORE CAP CORP 152,414 +86,781 $2,762
     STOR152,414+86,781$2,762
HSBC HLDGS PLC 98,552 +45,477 $2,760
     HSBC98,552+45,477$2,760
DXC TECHNOLOGY CO 209,967 -169,553 $2,740
     DXC209,967-169,553$2,740
S&P GLOBAL INC 11,152 -61,355 $2,733
     SPGI11,152-61,355$2,733
LOWES COS INC 31,570 -27,406 $2,717
     LOW31,570-27,406$2,717
GOLD FIELDS LTD NEW 571,874 +257,208 $2,716
     GFI571,874+257,208$2,716
KB HOME 149,041 +66,522 $2,698
     KBH149,041+66,522$2,698
UBIQUITI INC 19,026 -8,473 $2,694
     UI19,026-8,473$2,694
KOHLS CORP 184,070 +31,299 $2,686
     KSS184,070+31,299$2,686
REGIONS FINANCIAL CORP NEW 298,877 -552,309 $2,681
     RF298,877-552,309$2,681
AFLAC INC 78,107 +73,196 $2,674
     AFL78,107+73,196$2,674
NU SKIN ENTERPRISES INC 122,308 +65,899 $2,672
     NUS122,308+65,899$2,672
TRANSUNION 40,351 -5,439 $2,670
     TRU40,351-5,439$2,670
NETAPP INC 63,995 +40,729 $2,668
     NTAP63,995+40,729$2,668
AUTOZONE INC 3,152 -13,470 $2,667
     AZO3,152-13,470$2,667
MDU RES GROUP INC 123,973 -123,831 $2,665
     MDU123,973-123,831$2,665
INTERCONTINENTAL EXCHANGE IN (ICE) 32,913 -162,446 $2,658
     ICE32,913-162,446$2,658
IQIYI INC 149,237 +72,149 $2,656
     IQ149,237+72,149$2,656
LUMENTUM HLDGS INC 36,005 -48,978 $2,654
     LITE36,005-48,978$2,654
THERMO FISHER SCIENTIFIC INC 9,280 -1,306 $2,632
     TMO9,280-1,306$2,632
AMERICAN TOWER CORP NEW 11,924 -7,007 $2,596
     AMT11,924-7,007$2,596
SIRIUS XM HLDGS INC 525,431 -45,352 $2,596
     SIRI525,431-45,352$2,596
IQVIA HLDGS INC 24,052 -13,927 $2,594
     IQV24,052-13,927$2,594
HENRY JACK & ASSOC INC 16,708 -9,024 $2,594
     JKHY16,708-9,024$2,594
EXELON CORP 70,200 -102,838 $2,584
     EXC70,200-102,838$2,584
EASTMAN CHEM CO 55,426 -35,354 $2,582
     EMN55,426-35,354$2,582
PARKER HANNIFIN CORP 19,876 -39,065 $2,579
     PH19,876-39,065$2,579
LAMAR ADVERTISING CO NEW 50,211 +26,751 $2,575
     LAMR50,211+26,751$2,575
SHOPIFY INC 6,154 -183 $2,572
     SHOP6,154-183$2,572
MARRIOTT INTL INC NEW 34,166 +27,066 $2,556
     MAR34,166+27,066$2,556
DEVON ENERGY CORP NEW 369,682 +210,245 $2,555
     DVN369,682+210,245$2,555
BIOMARIN PHARMACEUTICAL INC 30,145 -1,950 $2,547
     BMRN30,145-1,950$2,547
REALTY INCOME CORP 51,064 +20,135 $2,546
     O51,064+20,135$2,546
SBA COMMUNICATIONS CORP NEW 9,415 -9,568 $2,542
     SBAC9,415-9,568$2,542
PROGRESS SOFTWARE CORP 79,296 +71,044 $2,537
     PRGS79,296+71,044$2,537
ROYAL CARIBBEAN CRUISES LTD 78,870 +54,516 $2,537
     RCL78,870+54,516$2,537
CGI INC 46,732 +42,603 $2,533
     GIB46,732+42,603$2,533
DISNEY WALT CO 26,186 -10,121 $2,530
     DIS26,186-10,121$2,530
EQUITABLE HLDGS INC 174,956 +76,045 $2,528
     EQH174,956+76,045$2,528
TEXTRON INC 94,675 -61,966 $2,525
     TXT94,675-61,966$2,525
CHEGG INC 70,400 +50,229 $2,519
     CHGG70,400+50,229$2,519
DUNKIN BRANDS GROUP INC 47,315 +15,773 $2,512
     DNKN47,315+15,773$2,512
CHARLES RIV LABS INTL INC 19,887 +10,909 $2,510
     CRL19,887+10,909$2,510
AARONS INC 110,145 +99,935 $2,509
     AAN110,145+99,935$2,509
CHIPOTLE MEXICAN GRILL INC 3,827 -8,902 $2,504
     CMG3,827-8,902$2,504
HP INC 143,947 -126,335 $2,499
     HPQ143,947-126,335$2,499
ZEBRA TECHNOLOGIES CORP 13,569 +3,501 $2,491
     ZBRA13,569+3,501$2,491
INTERNATIONAL FLAVORS&FRAGRA 24,352 +16,052 $2,486
     IFF24,352+16,052$2,486
FIVE9 INC 32,153 +2,060 $2,458
     FIVN32,153+2,060$2,458
SERVICE CORP INTL 62,705 +24,837 $2,452
     SCI62,705+24,837$2,452
SYNAPTICS INC 42,329 -8,845 $2,450
     SYNA42,329-8,845$2,450
FIDELITY NATL INFORMATION SV 20,057 +6,732 $2,440
     FIS20,057+6,732$2,440
GROUP 1 AUTOMOTIVE INC 54,994 +31,960 $2,434
     GPI54,994+31,960$2,434
CORNING INC 118,385 -126,386 $2,432
     GLW118,385-126,386$2,432
MYLAN NV 163,130 -246,715 $2,432
     MYL163,130-246,715$2,432
EVEREST RE GROUP LTD 12,591 +5,967 $2,423
     RE12,591+5,967$2,423
ILLUMINA INC 8,840 +1,464 $2,414
     ILMN8,840+1,464$2,414
SILICON LABORATORIES INC 28,036 +28,036 $2,395
     SLAB28,036+28,036$2,395
CROWDSTRIKE HLDGS INC 42,935 +31,131 $2,391
     CRWD42,935+31,131$2,391
CARDLYTICS INC 68,375 +19,975 $2,390
     CDLX68,375+19,975$2,390
AGCO CORP 50,288 -43,816 $2,376
     AGCO50,288-43,816$2,376
UNIVAR SOLUTIONS INC 221,217 -28,922 $2,371
     UNVR221,217-28,922$2,371
MAXAR TECHNOLOGIES INC 221,695 +6,046 $2,367
     MAXR221,695+6,046$2,367
ALPHABET INC 2,028 -7,666 $2,356
     GOOGL2,028-7,666$2,356
NEWMARKET CORP 6,114 -2,147 $2,341
     NEU6,114-2,147$2,341
HORMEL FOODS CORP 50,137 -29,574 $2,338
     HRL50,137-29,574$2,338
CAE INC 185,177 +170,473 $2,337
     CAE185,177+170,473$2,337
LAM RESEARCH CORP 9,735 +4,389 $2,336
     LRCX9,735+4,389$2,336
GILDAN ACTIVEWEAR INC 183,222 +127,016 $2,335
     GIL183,222+127,016$2,335
JANUS HENDERSON GROUP PLC 152,012 +117,074 $2,329
     JHG152,012+117,074$2,329
INSULET CORP 14,057 -66,803 $2,329
     PODD14,057-66,803$2,329
TENCENT MUSIC ENTMT GROUP 231,025 +173,733 $2,324
     TME231,025+173,733$2,324
BLOCK H & R INC 164,191 +82,961 $2,312
     HRB164,191+82,961$2,312
ADVANCE AUTO PARTS INC 24,705 +18,574 $2,305
     AAP24,705+18,574$2,305
POST HLDGS INC 27,787 -1,376 $2,305
     POST27,787-1,376$2,305
VAIL RESORTS INC 15,588 +8,282 $2,303
     MTN15,588+8,282$2,303
SAGE THERAPEUTICS INC 79,986 +7,362 $2,297
     SAGE79,986+7,362$2,297
MONOLITHIC PWR SYS INC 13,669 +12,130 $2,289
     MPWR13,669+12,130$2,289
FEDERATED HERMES INC 119,834 +49,960 $2,283
     FII119,834+49,960$2,283
MAIN STR CAP CORP 111,220 +111,220 $2,281
     MAIN111,220+111,220$2,281
SITEONE LANDSCAPE SUPPLY INC 30,951 +15,033 $2,279
     SITE30,951+15,033$2,279
CANADIAN NATL RY CO 29,094 -27,929 $2,270
     CNI29,094-27,929$2,270
PULTE GROUP INC 101,102 +80,974 $2,257
     PHM101,102+80,974$2,257
MGM RESORTS INTERNATIONAL 190,148 +64,949 $2,244
     MGM190,148+64,949$2,244
GREEN DOT CORP 88,230 +27,344 $2,240
     GDOT88,230+27,344$2,240
CROCS INC 131,271 -93,765 $2,230
     CROX131,271-93,765$2,230
GRIFOLS S A 110,405 +80,115 $2,224
     GRFS110,405+80,115$2,224
D R HORTON INC 64,624 -45,848 $2,197
     DHI64,624-45,848$2,197
CELANESE CORP DEL 29,863 -24,190 $2,192
     CE29,863-24,190$2,192
GLOBE LIFE INC 30,421 +6,707 $2,189
     GL30,421+6,707$2,189
TREEHOUSE FOODS INC 49,022 -4,728 $2,164
     THS49,022-4,728$2,164
FIRSTENERGY CORP 53,713 -63,669 $2,152
     FE53,713-63,669$2,152
FLOWSERVE CORP 90,077 +69,673 $2,152
     FLS90,077+69,673$2,152
AVNET INC 85,629 +32,815 $2,149
     AVT85,629+32,815$2,149
KEYCORP 206,739 -166,705 $2,144
     KEY206,739-166,705$2,144
INVESTORS BANCORP INC NEW 266,775 -98,508 $2,132
     ISBC266,775-98,508$2,132
HEALTHCARE RLTY TR 76,280 +76,280 $2,131
     HR76,280+76,280$2,131
HARLEY DAVIDSON INC 112,300 +105,127 $2,126
     HOG112,300+105,127$2,126
CORELOGIC INC 69,495 +56,660 $2,122
     CLGX69,495+56,660$2,122
XILINX INC 27,125 -32,694 $2,114
     XLNX27,125-32,694$2,114
NUTANIX INC 133,429 +426 $2,108
     NTNX133,429+426$2,108
KIRKLAND LAKE GOLD LTD 71,271 +63,998 $2,098
     KL71,271+63,998$2,098
FOOT LOCKER INC 94,554 -3,172 $2,085
     FL94,554-3,172$2,085
WILLIAMS COS INC 147,332 +10,384 $2,085
     WMB147,332+10,384$2,085
INTERCEPT PHARMACEUTICALS IN 33,069 -24,842 $2,082
     ICPT33,069-24,842$2,082
T MOBILE US INC 24,766 -50,290 $2,078
     TMUS24,766-50,290$2,078
ARISTA NETWORKS INC 10,236 -15,864 $2,073
     ANET10,236-15,864$2,073
DEERE & CO 14,954 +604 $2,066
     DE14,954+604$2,066
STERLING BANCORP DEL 197,390 +121,277 $2,063
     STL197,390+121,277$2,063
BJS WHSL CLUB HLDGS INC 80,955 +11,699 $2,062
     BJ80,955+11,699$2,062
ANGLOGOLD ASHANTI LTD 123,727 +93,599 $2,058
     AU123,727+93,599$2,058
FISERV INC 21,623 +11,370 $2,054
     FISV21,623+11,370$2,054
TRUIST FINL CORP 66,409 +44,746 $2,048
     TFC66,409+44,746$2,048
WINGSTOP INC 25,699 -8,113 $2,048
     WING25,699-8,113$2,048
PATTERSON COS INC 132,858 +7,333 $2,031
     PDCO132,858+7,333$2,031
CARPENTER TECHNOLOGY CORP 103,950 +84,788 $2,027
     CRS103,950+84,788$2,027
FULTON FINL CORP PA 175,978 +150,243 $2,022
     FULT175,978+150,243$2,022
UNITED NAT FOODS INC 219,266 +181,676 $2,013
     UNFI219,266+181,676$2,013
SEMTECH CORP 53,635 +22,152 $2,011
     SMTC53,635+22,152$2,011
PIONEER NAT RES CO 28,610 +14,979 $2,007
     PXD28,610+14,979$2,007
KINROSS GOLD CORP 502,126 -9,823 $2,001
     KGC502,126-9,823$2,001
LENNAR CORP      $2,000
     LEN47,006-243,552$1,796
     LEN.B7,067+7,067$204
NEW YORK CMNTY BANCORP INC 212,898 +167,897 $1,999
     NYCB212,898+167,897$1,999
GOODYEAR TIRE & RUBR CO 340,161 +246,270 $1,980
     GT340,161+246,270$1,980
INTEL CORP 36,473 +4,909 $1,974
     INTC36,473+4,909$1,974
SHAW COMMUNICATIONS INC 120,934 +104,443 $1,959
     SJR120,934+104,443$1,959
ZENDESK INC 30,491 +6,266 $1,952
     ZEN30,491+6,266$1,952
LIBERTY GLOBAL PLC 117,729 +117,729 $1,944
     LBTYA117,729+117,729$1,944
HERON THERAPEUTICS INC 164,859 +56,890 $1,935
     HRTX164,859+56,890$1,935
RESTAURANT BRANDS INTL INC 48,278 -342,556 $1,934
     QSR48,278-342,556$1,934
CARDINAL HEALTH INC 40,288 -166,903 $1,931
     CAH40,288-166,903$1,931
ESSENT GROUP LTD 73,196 -45,693 $1,928
     ESNT73,196-45,693$1,928
SOUTHERN CO 35,598 +26,498 $1,927
     SO35,598+26,498$1,927
OLLIES BARGAIN OUTLT HLDGS I 41,510 -3,685 $1,924
     OLLI41,510-3,685$1,924
POLYONE CORP 101,229 +52,229 $1,920
     POL101,229+52,229$1,920
UNITED AIRLS HLDGS INC 60,620 -47,762 $1,913
     UAL60,620-47,762$1,913
CVR ENERGY INC 115,339 +101,472 $1,907
     CVI115,339+101,472$1,907
SELECT MED HLDGS CORP 126,819 +35,909 $1,902
     SEM126,819+35,909$1,902
INVITATION HOMES INC 88,859 -118,896 $1,899
     INVH88,859-118,896$1,899
MICRON TECHNOLOGY INC 45,099 -277,862 $1,897
     MU45,099-277,862$1,897
ENERGIZER HLDGS INC NEW 62,677 +16,077 $1,896
     ENR62,677+16,077$1,896
ACADIA HEALTHCARE COMPANY IN 102,551 +31,155 $1,882
     ACHC102,551+31,155$1,882
CHART INDS INC 64,871 +35,715 $1,880
     GTLS64,871+35,715$1,880
2U INC 88,613 +63,199 $1,880
     TWOU88,613+63,199$1,880
YELP INC 103,885 +3,067 $1,873
     YELP103,885+3,067$1,873
PROSPERITY BANCSHARES INC (PB) 38,658 +14,637 $1,865
     PB38,658+14,637$1,865
LIGAND PHARMACEUTICALS INC 25,630 +23,475 $1,864
     LGND25,630+23,475$1,864
DYNATRACE INC 78,103 +71,417 $1,862
     DT78,103+71,417$1,862
FIRST SOLAR INC 51,614 +6,337 $1,861
     FSLR51,614+6,337$1,861
LIBERTY GLOBAL PLC 118,342 -115,711 $1,859
     LBTYK118,342-115,711$1,859
APOLLO COML REAL EST FIN INC 250,138 +209,707 $1,856
     ARI250,138+209,707$1,856
GENUINE PARTS CO 27,564 +18,945 $1,856
     GPC27,564+18,945$1,856
WINNEBAGO INDS INC 66,532 -295 $1,850
     WGO66,532-295$1,850
ALLEGHENY TECHNOLOGIES INC 217,100 -9,109 $1,845
     ATI217,100-9,109$1,845
NUVASIVE INC 36,394 +25,875 $1,844
     NUVA36,394+25,875$1,844
UNITEDHEALTH GROUP INC 7,361 -14,746 $1,836
     UNH7,361-14,746$1,836
COHERUS BIOSCIENCES INC 112,634 +67,193 $1,827
     CHRS112,634+67,193$1,827
CIT GROUP INC 105,795 -26,260 $1,826
     CIT105,795-26,260$1,826
LKQ CORP 88,310 -51,063 $1,811
     LKQ88,310-51,063$1,811
MEDICAL PPTYS TRUST INC 104,702 +45,359 $1,810
     MPW104,702+45,359$1,810
EVERCORE INC 39,248 -24,323 $1,808
     EVR39,248-24,323$1,808
FIRST INDL RLTY TR INC 54,319 +54,319 $1,805
     FR54,319+54,319$1,805
UNIVERSAL FST PRODS INC 48,453 +1,767 $1,802
     UFPI48,453+1,767$1,802
PRIMERICA INC 20,334 -12,388 $1,799
     PRI20,334-12,388$1,799
ASHLAND GLOBAL HLDGS INC 35,916 +6,161 $1,798
     ASH35,916+6,161$1,798
IONIS PHARMACEUTICALS INC 37,907 +3,593 $1,792
     IONS37,907+3,593$1,792
NORFOLK SOUTHERN CORP 12,250 +3,215 $1,789
     NSC12,250+3,215$1,789
GRANITE CONSTR INC 117,669 -4,936 $1,786
     GVA117,669-4,936$1,786
CIGNA CORP NEW 10,040 -26,830 $1,779
     CI10,040-26,830$1,779
AGNC INVT CORP 167,818 +46,618 $1,776
     AGNC167,818+46,618$1,776
NEXTERA ENERGY PARTNERS LP 41,172 +22,918 $1,770
     NEP41,172+22,918$1,770
PARK HOTELS RESORTS INC 222,332 +103,889 $1,759
     PK222,332+103,889$1,759
DINE BRANDS GLOBAL INC 61,308 +58,391 $1,758
     DIN61,308+58,391$1,758
HELMERICH & PAYNE INC 112,130 -122,464 $1,755
     HP112,130-122,464$1,755
ALLERGAN PLC 9,904 -26,196 $1,754
     AGN9,904-26,196$1,754
GLOBANT S A 19,828 +19,828 $1,742
     GLOB19,828+19,828$1,742
ANAPLAN INC 57,576 +14,174 $1,742
     PLAN57,576+14,174$1,742
CAL MAINE FOODS INC 39,485 +34,975 $1,737
     CALM39,485+34,975$1,737
LINCOLN ELEC HLDGS INC 25,152 +22,186 $1,735
     LECO25,152+22,186$1,735
NAVISTAR INTL CORP NEW 105,212 +89,868 $1,735
     NAV105,212+89,868$1,735
PINTEREST INC 111,891 +95,851 $1,728
     PINS111,891+95,851$1,728
MEDIFAST INC 27,607 +12,010 $1,725
     MED27,607+12,010$1,725
JONES LANG LASALLE INC 17,045 +10,802 $1,721
     JLL17,045+10,802$1,721
SIGNET JEWELERS LIMITED 266,767 +14,964 $1,721
     SIG266,767+14,964$1,721
RYMAN HOSPITALITY PPTYS INC 47,984 +31,805 $1,720
     RHP47,984+31,805$1,720
PACWEST BANCORP DEL 95,898 +81,110 $1,718
     PACW95,898+81,110$1,718
COPA HOLDINGS SA 37,854 +13,398 $1,714
     CPA37,854+13,398$1,714
SYNOVUS FINL CORP 97,140 -79,274 $1,706
     SNV97,140-79,274$1,706
WIX COM LTD 16,917 +9,976 $1,706
     WIX16,917+9,976$1,706
DELEK US HLDGS INC NEW 107,323 +85,478 $1,691
     DK107,323+85,478$1,691
CITRIX SYS INC 11,931 -69,712 $1,689
     CTXS11,931-69,712$1,689
KRAFT HEINZ CO 68,246 -81,474 $1,688
     KHC68,246-81,474$1,688
TJX COS INC NEW 35,313 -128,667 $1,688
     TJX35,313-128,667$1,688
FULLER H B CO 60,341 +60,341 $1,685
     FUL60,341+60,341$1,685
RIO TINTO PLC 36,837 +36,837 $1,678
     RIO36,837+36,837$1,678
FORTIS INC 43,506 +37,233 $1,677
     FTS43,506+37,233$1,677
LYONDELLBASELL INDUSTRIES N 33,766 -21,402 $1,676
     LYB33,766-21,402$1,676
TELUS CORPORATION 106,194 +87,462 $1,676
     TU106,194+87,462$1,676
GLOBUS MED INC 39,306 -16,332 $1,672
     GMED39,306-16,332$1,672
ROLLINS INC 46,164 -169,723 $1,668
     ROL46,164-169,723$1,668
NEW YORK TIMES CO 54,251 -10,702 $1,666
     NYT54,251-10,702$1,666
SIMPLY GOOD FOODS CO 85,969 -74,719 $1,656
     SMPL85,969-74,719$1,656
FORTINET INC 16,319 +6,303 $1,651
     FTNT16,319+6,303$1,651
ELASTIC N V 29,541 +7,068 $1,649
     ESTC29,541+7,068$1,649
RADIAN GROUP INC 127,296 +20,028 $1,648
     RDN127,296+20,028$1,648
ARCELORMITTAL SA LUXEMBOURG 175,859 +11,815 $1,641
     MT175,859+11,815$1,641
TORO CO 25,164 +21,051 $1,638
     TTC25,164+21,051$1,638
AGREE REALTY CORP 26,437 -85,186 $1,636
     ADC26,437-85,186$1,636
RESMED INC 11,074 -3,970 $1,631
     RMD11,074-3,970$1,631
ENPHASE ENERGY INC 50,436 -1,858 $1,629
     ENPH50,436-1,858$1,629
MATCH GROUP INC 24,649 -1,850 $1,628
     MTCH24,649-1,850$1,628
LINDE PLC 9,395 +240 $1,625
     LIN9,395+240$1,625
MIDDLEBY CORP 28,532 -10,506 $1,623
     MIDD28,532-10,506$1,623
FIFTH THIRD BANCORP 109,055 -177,754 $1,619
     FITB109,055-177,754$1,619
CHILDRENS PL INC 82,489 +37,850 $1,613
     PLCE82,489+37,850$1,613
BECTON DICKINSON & CO 6,985 +5,563 $1,605
     BDX6,985+5,563$1,605
REVANCE THERAPEUTICS INC 108,435 +62,350 $1,605
     RVNC108,435+62,350$1,605
NOVOCURE LTD 23,817 -14,892 $1,604
     NVCR23,817-14,892$1,604
F5 NETWORKS INC 15,024 -16,608 $1,602
     FFIV15,024-16,608$1,602
NORDSTROM INC 104,327 +58,681 $1,600
     JWN104,327+58,681$1,600
TWILIO INC 17,838 -2,124 $1,596
     TWLO17,838-2,124$1,596
CIRRUS LOGIC INC 24,299 +24,299 $1,595
     CRUS24,299+24,299$1,595
HEXCEL CORP NEW 42,438 +1,768 $1,578
     HXL42,438+1,768$1,578
SKYWORKS SOLUTIONS INC 17,595 +15,967 $1,573
     SWKS17,595+15,967$1,573
AMKOR TECHNOLOGY INC 201,769 +90,713 $1,572
     AMKR201,769+90,713$1,572
TELEPHONE & DATA SYS INC 93,707 +34,586 $1,571
     TDS93,707+34,586$1,571
CACI INTL INC 7,431 -559 $1,569
     CACI7,431-559$1,569
CROWN CASTLE INTL CORP NEW 10,837 -23,100 $1,565
     CCI10,837-23,100$1,565
BRINKS CO 30,040 +7,699 $1,564
     BCO30,040+7,699$1,564
PARSLEY ENERGY INC 272,921 +251,021 $1,564
     PE272,921+251,021$1,564
CMS ENERGY CORP 26,609 +7,583 $1,563
     CMS26,609+7,583$1,563
WESTROCK CO 55,276 -23,642 $1,562
     WRK55,276-23,642$1,562
JACOBS ENGR GROUP INC 19,694 +16,994 $1,561
     JEC19,694+16,994$1,561
CUMMINS INC 11,521 -52,307 $1,559
     CMI11,521-52,307$1,559
DROPBOX INC 86,004 -14,549 $1,557
     DBX86,004-14,549$1,557
TOPBUILD CORP 21,716 -10,172 $1,556
     BLD21,716-10,172$1,556
GLAUKOS CORP 50,397 +37,102 $1,555
     GKOS50,397+37,102$1,555
MCDONALDS CORP 9,355 -22,084 $1,547
     MCD9,355-22,084$1,547
IMAX CORP 170,658 +159,472 $1,544
     IMAX170,658+159,472$1,544
PROS HOLDINGS INC 49,742 +25,268 $1,543
     PRO49,742+25,268$1,543
SIX FLAGS ENTMT CORP NEW 123,068 -204,860 $1,543
     SIX123,068-204,860$1,543
IAC INTERACTIVECORP 8,603 +6,703 $1,542
     IAC8,603+6,703$1,542
JINKOSOLAR HLDG CO LTD 103,459 +65,204 $1,536
     JKS103,459+65,204$1,536
DIAMONDROCK HOSPITALITY CO 301,483 +264,975 $1,532
     DRH301,483+264,975$1,532
LEGGETT & PLATT INC 57,360 -32,175 $1,530
     LEG57,360-32,175$1,530
INTEGRA LIFESCIENCES HLDGS C 34,234 -11,009 $1,529
     IART34,234-11,009$1,529
CLARIVATE ANALYTICS PLC 73,436 +53,075 $1,524
     CCC73,436+53,075$1,524
GRACE W R & CO DEL NEW 42,733 +3,120 $1,521
     GRA42,733+3,120$1,521
ABM INDS INC 62,250 +18,977 $1,516
     ABM62,250+18,977$1,516
COGNEX CORP 35,916 +35,916 $1,516
     CGNX35,916+35,916$1,516
SLEEP NUMBER CORP 79,100 +46,229 $1,516
     SNBR79,100+46,229$1,516
CARTERS INC 22,920 +9,055 $1,507
     CRI22,920+9,055$1,507
WILLIS TOWERS WATSON PLC LTD 8,869 -1,192 $1,506
     WLTW8,869-1,192$1,506
CANADIAN PAC RY LTD 6,831 +6,256 $1,502
     CP6,831+6,256$1,502
WESTERN DIGITAL CORP. 36,022 +31,522 $1,499
     WDC36,022+31,522$1,499
HANNON ARMSTRONG SUST INFR C 73,367 +73,367 $1,497
     HASI73,367+73,367$1,497
TIMKEN CO 45,868 +17,511 $1,483
     TKR45,868+17,511$1,483
BANK NOVA SCOTIA B C 36,296 -1,644 $1,479
     BNS36,296-1,644$1,479
NEW ORIENTAL ED & TECH GRP I 13,667 -19,556 $1,479
     EDU13,667-19,556$1,479
BOOZ ALLEN HAMILTON HLDG COR 21,508 -26,431 $1,476
     BAH21,508-26,431$1,476
LIBERTY MEDIA CORP DEL 46,466 +45,240 $1,473
     LSXMA46,466+45,240$1,473
TREX CO INC 18,385 -10,515 $1,473
     TREX18,385-10,515$1,473
POPULAR INC 42,000 +9,132 $1,470
     BPOP42,000+9,132$1,470
WADDELL & REED FINL INC 128,778 +52,613 $1,465
     WDR128,778+52,613$1,465
CROWN HLDGS INC 25,098 -1,913 $1,457
     CCK25,098-1,913$1,457
NAVIENT CORPORATION 192,210 -48,519 $1,457
     NAVI192,210-48,519$1,457
POLARIS INC 30,199 +2,303 $1,454
     PII30,199+2,303$1,454
MADISON SQUARE GARDEN CO NEW 6,861 +6,861 $1,450
     MSGS6,861+6,861$1,450
NATIONAL INSTRS CORP 43,799 -24,834 $1,449
     NATI43,799-24,834$1,449
OWENS & MINOR INC NEW 158,284 +154,056 $1,448
     OMI158,284+154,056$1,448
USANA HEALTH SCIENCES INC 25,049 +21,337 $1,447
     USNA25,049+21,337$1,447
FIVE BELOW INC 20,449 -63,042 $1,439
     FIVE20,449-63,042$1,439
AIR PRODS & CHEMS INC 7,190 -35,281 $1,435
     APD7,190-35,281$1,435
RAPID7 INC 33,023 +33,023 $1,431
     RPD33,023+33,023$1,431
COMMERCIAL METALS CO 90,417 -220,714 $1,428
     CMC90,417-220,714$1,428
ASSURED GUARANTY LTD 55,263 -10,742 $1,425
     AGO55,263-10,742$1,425
APTIV PLC 28,930 -48,022 $1,425
     APTV28,930-48,022$1,425
EATON CORP PLC 18,300 -78,689 $1,422
     ETN18,300-78,689$1,422
WNS HOLDINGS LTD 33,029 +16,138 $1,420
     WNS33,029+16,138$1,420
BLOOMIN BRANDS INC 198,048 +104,105 $1,414
     BLMN198,048+104,105$1,414
ENCOMPASS HEALTH CORP 22,081 -111,488 $1,414
     EHC22,081-111,488$1,414
DANAHER CORPORATION 10,196 +6,005 $1,411
     DHR10,196+6,005$1,411
UNISYS CORP 114,153 +27,565 $1,410
     UIS114,153+27,565$1,410
FGL HLDGS 143,787 +143,787 $1,409
     FG143,787+143,787$1,409
STEELCASE INC 142,797 +28,340 $1,409
     SCS142,797+28,340$1,409
GATX CORP 22,505 +7,427 $1,408
     GATX22,505+7,427$1,408
LIVEPERSON INC 61,768 +141 $1,405
     LPSN61,768+141$1,405
EAGLE MATERIALS INC 24,031 -16,453 $1,404
     EXP24,031-16,453$1,404
EDITAS MEDICINE INC 70,740 +59,703 $1,403
     EDIT70,740+59,703$1,403
ZYNGA INC 204,511 -996,055 $1,401
     ZNGA204,511-996,055$1,401
PILGRIMS PRIDE CORP 77,269 -4,207 $1,400
     PPC77,269-4,207$1,400
ALLEGHANY CORP DEL 2,535 +990 $1,400
     Y2,535+990$1,400
AMERICAN HOMES 4 RENT 60,146 +53,751 $1,395
     AMH60,146+53,751$1,395
ATMOS ENERGY CORP 13,878 -15,141 $1,377
     ATO13,878-15,141$1,377
EVOQUA WATER TECHNOLOGIES CO 122,029 +57,775 $1,368
     AQUA122,029+57,775$1,368
ENERSYS 27,611 +15,621 $1,367
     ENS27,611+15,621$1,367
DECKERS OUTDOOR CORP 10,190 -83,912 $1,365
     DECK10,190-83,912$1,365
BLACKLINE INC 25,929 +3,179 $1,364
     BL25,929+3,179$1,364
EQT CORPORATION 192,349 +116,332 $1,360
     EQT192,349+116,332$1,360
CANTEL MEDICAL CORP 37,769 +28,187 $1,356
     CMD37,769+28,187$1,356
STAMPS COM INC 10,398 +8,098 $1,353
     STMP10,398+8,098$1,353
WHITE MTNS INS GROUP LTD 1,483 UNCH $1,350
     WTM1,483UNCH$1,350
JABIL INC 54,707 -49,004 $1,345
     JBL54,707-49,004$1,345
MYRIAD GENETICS INC 93,941 +82,292 $1,344
     MYGN93,941+82,292$1,344
AERIE PHARMACEUTICALS INC 99,307 -28,183 $1,341
     AERI99,307-28,183$1,341
ALAMOS GOLD INC NEW 267,717 +125,197 $1,339
     AGI267,717+125,197$1,339
ALGONQUIN PWR UTILS CORP 99,927 +24,849 $1,339
     AQN99,927+24,849$1,339
ALEXION PHARMACEUTICALS INC 14,892 -19,750 $1,337
     ALXN14,892-19,750$1,337
CHEESECAKE FACTORY INC 78,107 -25,007 $1,334
     CAKE78,107-25,007$1,334
NOVARTIS A G 16,160 -9,209 $1,332
     NVS16,160-9,209$1,332
SMILEDIRECTCLUB INC 284,294 -50,432 $1,328
     SDC284,294-50,432$1,328
SSR MNG INC 116,112 +104,837 $1,322
     SSRM116,112+104,837$1,322
ROCKWELL AUTOMATION INC 8,752 -20,229 $1,321
     ROK8,752-20,229$1,321
AXON ENTERPRISE INC 18,624 +4,789 $1,318
     AAXN18,624+4,789$1,318
AMERIPRISE FINL INC 12,864 -26,284 $1,318
     AMP12,864-26,284$1,318
E L F BEAUTY INC 133,773 +46,197 $1,316
     ELF133,773+46,197$1,316
PORTLAND GEN ELEC CO 27,380 -27,244 $1,313
     POR27,380-27,244$1,313
IRONWOOD PHARMACEUTICALS INC 129,738 -69,029 $1,309
     IRWD129,738-69,029$1,309
TEMPUR SEALY INTL INC 29,926 -42,584 $1,308
     TPX29,926-42,584$1,308
ENEL AMERICAS S A 215,430 +144,280 $1,306
     ENIA215,430+144,280$1,306
COHEN & STEERS INC 28,584 +22,856 $1,299
     CNS28,584+22,856$1,299
GENERAL ELECTRIC CO 163,051 -1,532,960 $1,295
     GE163,051-1,532,960$1,295
STIFEL FINL CORP 31,356 -13,459 $1,294
     SF31,356-13,459$1,294
JAZZ PHARMACEUTICALS PLC 12,914 -38,711 $1,288
     JAZZ12,914-38,711$1,288
OLD REP INTL CORP 84,183 -71,008 $1,284
     ORI84,183-71,008$1,284
KANSAS CITY SOUTHERN 10,086 +8,044 $1,283
     KSU10,086+8,044$1,283
CLOUDERA INC 162,850 -296,247 $1,282
     CLDR162,850-296,247$1,282
SEMPRA ENERGY 11,334 +2,268 $1,281
     SRE11,334+2,268$1,281
MIMECAST LTD 36,266 +2,337 $1,280
     MIME36,266+2,337$1,280
MGIC INVT CORP WIS 201,460 +66,123 $1,279
     MTG201,460+66,123$1,279
TWIST BIOSCIENCE CORP 41,735 +28,541 $1,276
     TWST41,735+28,541$1,276
MARRIOTT VACTINS WORLDWID CO 22,916 -806 $1,274
     VAC22,916-806$1,274
SABRA HEALTH CARE REIT INC 116,532 -221,291 $1,273
     SBRA116,532-221,291$1,273
US BANCORP DEL 36,720 -77,945 $1,265
     USB36,720-77,945$1,265
DOCUSIGN INC 13,672 -41,795 $1,263
     DOCU13,672-41,795$1,263
VERRA MOBILITY CORP 176,842 +1,843 $1,263
     VRRM176,842+1,843$1,263
TARGA RES CORP 182,660 +182,460 $1,262
     TRGP182,660+182,460$1,262
LIVERAMP HLDGS INC 38,315 +4,377 $1,261
     RAMP38,315+4,377$1,261
PRETIUM RES INC 221,541 +209,541 $1,258
     PVG221,541+209,541$1,258
WASHINGTON FED INC 48,398 +25,687 $1,256
     WAFD48,398+25,687$1,256
NUCOR CORP 34,832 +6,167 $1,255
     NUE34,832+6,167$1,255
CINCINNATI BELL INC NEW 85,637 +35,601 $1,254
     CBB85,637+35,601$1,254
CREDIT ACCEP CORP MICH 4,890 +2,876 $1,250
     CACC4,890+2,876$1,250
DOMTAR CORP 57,667 +16,706 $1,247
     UFS57,667+16,706$1,247
INTERPUBLIC GROUP COS INC 76,774 +76,774 $1,243
     IPG76,774+76,774$1,243
SUMMIT MATLS INC 82,838 +41,569 $1,243
     SUM82,838+41,569$1,243
MAXLINEAR INC 106,252 +99,891 $1,240
     MXL106,252+99,891$1,240
PROOFPOINT INC 12,072 -12,641 $1,238
     PFPT12,072-12,641$1,238
PERFICIENT INC 45,657 +21,335 $1,237
     PRFT45,657+21,335$1,237
COMPANHIA DE SANEAMENTO BASI 167,390 +70,048 $1,235
     SBS167,390+70,048$1,235
LOCKHEED MARTIN CORP 3,639 -425 $1,233
     LMT3,639-425$1,233
CHEMOURS CO 138,672 +138,672 $1,230
     CC138,672+138,672$1,230
DOVER CORP 14,641 +13,990 $1,229
     DOV14,641+13,990$1,229
ERICSSON 151,264 -96,595 $1,224
     ERIC151,264-96,595$1,224
NATIONAL VISION HLDGS INC 63,041 +54,137 $1,224
     EYE63,041+54,137$1,224
ALLISON TRANSMISSION HLDGS I 37,519 -114,921 $1,223
     ALSN37,519-114,921$1,223
GENTEX CORP 55,183 -8,203 $1,223
     GNTX55,183-8,203$1,223
PNC FINL SVCS GROUP INC 12,746 +9,184 $1,220
     PNC12,746+9,184$1,220
TAPESTRY INC 94,220 -521,457 $1,220
     TPR94,220-521,457$1,220
GARMIN LTD 16,207 -27,877 $1,215
     GRMN16,207-27,877$1,215
BROADRIDGE FINL SOLUTIONS IN 12,778 -15,536 $1,212
     BR12,778-15,536$1,212
LIBERTY MEDIA CORP DEL 38,307 +5,182 $1,211
     LSXMK38,307+5,182$1,211
PORTOLA PHARMACEUTICALS INC 169,781 +131,371 $1,211
     PTLA169,781+131,371$1,211
GENPACT LIMITED 41,417 +17,092 $1,209
     G41,417+17,092$1,209
NVR INC 470 +470 $1,207
     NVR470+470$1,207
ALLETE INC 19,871 -11,008 $1,206
     ALE19,871-11,008$1,206
KKR & CO INC 51,365 -75,529 $1,206
     KKR51,365-75,529$1,206
COMPASS MINERALS INTL INC 31,302 +31,302 $1,204
     CMP31,302+31,302$1,204
CSX CORP 20,989 +6,561 $1,203
     CSX20,989+6,561$1,203
TERADATA CORP DEL 58,647 -94,719 $1,202
     TDC58,647-94,719$1,202
SOUTHWEST AIRLS CO 33,710 -76,284 $1,200
     LUV33,710-76,284$1,200
GUESS INC 176,957 +19,397 $1,198
     GES176,957+19,397$1,198
TAKE TWO INTERACTIVE SOFTWAR 10,102 -2,304 $1,198
     TTWO10,102-2,304$1,198
TPG SPECIALTY LENDING INC 85,960 +85,960 $1,197
     TSLX85,960+85,960$1,197
KELLOGG CO 19,916 +13,578 $1,195
     K19,916+13,578$1,195
FIRST REP BK SAN FRANCISCO C 14,507 +14,357 $1,194
     FRC14,507+14,357$1,194
OWL ROCK CAPITAL CORPORATION 102,973 +102,973 $1,188
     ORCC102,973+102,973$1,188
IDACORP INC 13,497 -24,380 $1,185
     IDA13,497-24,380$1,185
SELECTIVE INS GROUP INC 23,814 -33,439 $1,184
     SIGI23,814-33,439$1,184
EMERGENT BIOSOLUTIONS INC 20,437 -6,075 $1,182
     EBS20,437-6,075$1,182
VIPER ENERGY PARTNERS LP 178,145 +165,477 $1,181
     VNOM178,145+165,477$1,181
FIREEYE INC 110,825 +38,447 $1,173
     FEYE110,825+38,447$1,173
PACIRA BIOSCIENCES 34,940 -23,946 $1,172
     PCRX34,940-23,946$1,172
PEBBLEBROOK HOTEL TR 107,635 +78,970 $1,172
     PEB107,635+78,970$1,172
CHECK POINT SOFTWARE TECH LT 11,637 -36,375 $1,170
     CHKP11,637-36,375$1,170
HERCULES CAPITAL INC 153,128 +140,031 $1,170
     HTGC153,128+140,031$1,170
IRHYTHM TECHNOLOGIES INC 14,317 -6,072 $1,165
     IRTC14,317-6,072$1,165
CARLYLE GROUP INC 53,714 +53,714 $1,163
     CG53,714+53,714$1,163
HALOZYME THERAPEUTICS INC 64,620 -194,936 $1,163
     HALO64,620-194,936$1,163
DELL TECHNOLOGIES INC 29,317 -8,662 $1,159
     DELL29,317-8,662$1,159
SKYWEST INC 44,080 +10,977 $1,154
     SKYW44,080+10,977$1,154
PERFORMANCE FOOD GROUP CO 46,590 -34,613 $1,152
     PFGC46,590-34,613$1,152
QORVO INC 14,272 +5,726 $1,151
     QRVO14,272+5,726$1,151
TELADOC HEALTH INC 7,428 +3,001 $1,151
     TDOC7,428+3,001$1,151
HD SUPPLY HLDGS INC 40,412 -254,529 $1,149
     HDS40,412-254,529$1,149
HORIZON THERAPEUTICS PUB LTD 38,757 +26,957 $1,148
     HZNP38,757+26,957$1,148
CONSTELLIUM SE 219,266 +68,305 $1,142
     CSTM219,266+68,305$1,142
INTEGER HLDGS CORP 18,147 -1,753 $1,141
     ITGR18,147-1,753$1,141
MAGNA INTL INC 35,693 +19,923 $1,139
     MGA35,693+19,923$1,139
IROBOT CORP 27,650 +27,650 $1,131
     IRBT27,650+27,650$1,131
CBRE GROUP INC 29,957 +28,364 $1,130
     CBRE29,957+28,364$1,130
COLLEGIUM PHARMACEUTICAL INC 69,121 +37,884 $1,129
     COLL69,121+37,884$1,129
TIM PARTICIPACOES S A 92,736 +92,736 $1,128
     TSU92,736+92,736$1,128
APTARGROUP INC 11,314 +6,335 $1,126
     ATR11,314+6,335$1,126
SIMPSON MANUFACTURING CO INC 18,121 -18,630 $1,123
     SSD18,121-18,630$1,123
M D C HLDGS INC 48,035 +29,074 $1,114
     MDC48,035+29,074$1,114
BALL CORP 17,157 -237,582 $1,109
     BLL17,157-237,582$1,109
MATTEL INC 125,872 +36,918 $1,109
     MAT125,872+36,918$1,109
ELLINGTON FINANCIAL INC 193,841 +166,494 $1,107
     EFC193,841+166,494$1,107
LOEWS CORP 31,784 +30,163 $1,107
     L31,784+30,163$1,107
OKTA INC 9,051 +1,286 $1,107
     OKTA9,051+1,286$1,107
COPART INC 16,145 -35,211 $1,106
     CPRT16,145-35,211$1,106
C H ROBINSON WORLDWIDE INC 16,677 -11,023 $1,104
     CHRW16,677-11,023$1,104
WEIBO CORP 33,356 +33,356 $1,104
     WB33,356+33,356$1,104
NORTHERN TR CORP 14,588 -34,810 $1,101
     NTRS14,588-34,810$1,101
CSG SYS INTL INC 26,271 -2,727 $1,099
     CSGS26,271-2,727$1,099
PRINCIPAL FINL GROUP INC 35,034 +35,034 $1,098
     PFG35,034+35,034$1,098
CADENCE DESIGN SYSTEM INC 16,613 +15,688 $1,097
     CDNS16,613+15,688$1,097
RELX PLC 51,110 +36,719 $1,094
     RELX51,110+36,719$1,094
AUTOMATIC DATA PROCESSING IN 7,985 +6,344 $1,091
     ADP7,985+6,344$1,091
BOOKING HLDGS INC 810 +500 $1,090
     BKNG810+500$1,090
NIKE INC 13,141 -48,443 $1,087
     NKE13,141-48,443$1,087
ASGN INC 30,737 -11,808 $1,086
     ASGN30,737-11,808$1,086
G III APPAREL GROUP LTD 140,916 +123,661 $1,085
     GIII140,916+123,661$1,085
INVESCO LTD 119,319 -61,734 $1,083
     IVZ119,319-61,734$1,083
RAMBUS INC DEL 97,491 +60,334 $1,082
     RMBS97,491+60,334$1,082
REALPAGE INC 20,425 -2,388 $1,081
     RP20,425-2,388$1,081
BANCORPSOUTH BK TUPELO MISS 57,035 +27,744 $1,079
     BXS57,035+27,744$1,079
VOCERA COMMUNICATIONS INC 50,617 +14,249 $1,075
     VCRA50,617+14,249$1,075
EVERQUOTE INC 40,929 -12,031 $1,074
     EVER40,929-12,031$1,074
NEUROCRINE BIOSCIENCES INC 12,413 -84,452 $1,074
     NBIX12,413-84,452$1,074
NOVO NORDISK A S 17,838 +5,260 $1,074
     NVO17,838+5,260$1,074
FIRST HAWAIIAN INC 64,931 +57,859 $1,073
     FHB64,931+57,859$1,073
CLOUDFLARE INC 45,676 +45,676 $1,072
     NET45,676+45,676$1,072
SAILPOINT TECHNLGIES HLDGS I 70,300 -32,949 $1,070
     SAIL70,300-32,949$1,070
STAAR SURGICAL CO 33,141 +11,306 $1,069
     STAA33,141+11,306$1,069
GRAND CANYON ED INC 14,006 -26,422 $1,068
     LOPE14,006-26,422$1,068
BADGER METER INC 19,869 +18,942 $1,065
     BMI19,869+18,942$1,065
SYNEOS HEALTH INC 26,876 +17,851 $1,059
     SYNH26,876+17,851$1,059
ASSOCIATED BANC CORP 82,374 +18,665 $1,054
     ASB82,374+18,665$1,054
CHUBB LIMITED 9,436 +2,163 $1,054
     CB9,436+2,163$1,054
POWER INTEGRATIONS INC 11,925 +11,925 $1,053
     POWI11,925+11,925$1,053
SINA CORP 33,063 +26,029 $1,053
     SINA33,063+26,029$1,053
MINERALS TECHNOLOGIES INC 28,967 +11,826 $1,050
     MTX28,967+11,826$1,050
REYNOLDS CONSUMER PRODS INC 35,948 +35,948 $1,049
     REYN35,948+35,948$1,049
CARNIVAL CORP 79,604 +58,444 $1,048
     CCL79,604+58,444$1,048
AMEDISYS INC 5,704 -21,316 $1,047
     AMED5,704-21,316$1,047
EDGEWELL PERS CARE CO 43,484 -58,023 $1,047
     EPC43,484-58,023$1,047
INTL PAPER CO 33,628 -87,353 $1,047
     IP33,628-87,353$1,047
OPEN TEXT CORP 29,974 +4,469 $1,047
     OTEX29,974+4,469$1,047
MARATHON OIL CORP 317,872 +101,561 $1,046
     MRO317,872+101,561$1,046
IMPINJ INC 62,519 +35,598 $1,045
     PI62,519+35,598$1,045
AON PLC 6,321 -48,888 $1,043
     AON6,321-48,888$1,043
CORCEPT THERAPEUTICS INC 87,643 -13,780 $1,042
     CORT87,643-13,780$1,042
VARIAN MED SYS INC 10,128 +2,296 $1,040
     VAR10,128+2,296$1,040
COMMERCE BANCSHARES INC (CBSH) 20,613 +20,613 $1,038
     CBSH20,613+20,613$1,038
MASTEC INC 31,661 +15,236 $1,036
     MTZ31,661+15,236$1,036
TRIPADVISOR INC 59,503 -246,212 $1,035
     TRIP59,503-246,212$1,035
BUCKLE INC 75,407 +40,872 $1,034
     BKE75,407+40,872$1,034
AMERISOURCEBERGEN CORP 11,632 -19,040 $1,029
     ABC11,632-19,040$1,029
BRUKER CORP 28,696 +19,730 $1,029
     BRKR28,696+19,730$1,029
YAMANA GOLD INC 370,418 +89,380 $1,027
     AUY370,418+89,380$1,027
L BRANDS INC 88,653 +39,850 $1,025
     LB88,653+39,850$1,025
MILLER HERMAN INC 45,930 -12,968 $1,020
     MLHR45,930-12,968$1,020
INFOSYS LTD 123,989 +102,929 $1,018
     INFY123,989+102,929$1,018
OLD DOMINION FREIGHT LINE IN 7,756 +4,568 $1,018
     ODFL7,756+4,568$1,018
NORTHWESTERN CORP 16,945 +14,136 $1,014
     NWE16,945+14,136$1,014
STMICROELECTRONICS N V 47,378 +47,378 $1,012
     STM47,378+47,378$1,012
SEALED AIR CORP NEW 40,911 -45,484 $1,011
     SEE40,911-45,484$1,011
SCIENTIFIC GAMES CORP 103,773 +59,608 $1,007
     SGMS103,773+59,608$1,007
SUNSTONE HOTEL INVS INC NEW 115,600 +83,623 $1,007
     SHO115,600+83,623$1,007
BROWN FORMAN CORP      $1,004
     BF.B18,085+18,085$1,004
ALLIANCE DATA SYSTEMS CORP 29,769 +16,200 $1,002
     ADS29,769+16,200$1,002
J2 GLOBAL INC 13,348 +13,348 $999
     JCOM13,348+13,348$999
SIMON PPTY GROUP INC NEW 18,206 -71,562 $999
     SPG18,206-71,562$999
SNAP ON INC 9,173 +3,547 $998
     SNA9,173+3,547$998
TC ENERGY CORP 22,502 -63,292 $998
     TRP22,502-63,292$998
LABORATORY CORP AMER HLDGS 7,891 -43,370 $997
     LH7,891-43,370$997
SL GREEN RLTY CORP 23,141 +4,744 $997
     SLG23,141+4,744$997
FOX CORP 42,093 +42,093 $995
     FOXA42,093+42,093$995
RITE AID CORP 66,208 -2,357 $993
     RAD66,208-2,357$993
B2GOLD CORP 328,101 -27,951 $992
     BTG328,101-27,951$992
RAYTHEON CO 7,558 +4,551 $991
     RTN7,558+4,551$991
AMER STATES WTR CO 12,113 +10,198 $990
     AWR12,113+10,198$990
MANHATTAN ASSOCS INC 19,865 +11,532 $990
     MANH19,865+11,532$990
BOISE CASCADE CO DEL 41,541 -13,235 $988
     BCC41,541-13,235$988
AVANGRID INC 22,524 +22,524 $986
     AGR22,524+22,524$986
ALBANY INTL CORP 20,785 -250 $984
     AIN20,785-250$984
ABERCROMBIE & FITCH CO 108,016 -124,339 $982
     ANF108,016-124,339$982
BLACK KNIGHT INC 16,901 +16,901 $981
     BKI16,901+16,901$981
INDEPENDENT BK GROUP INC 41,427 -38,477 $981
     IBTX41,427-38,477$981
TRINITY INDS INC 60,962 +8,332 $980
     TRN60,962+8,332$980
VONAGE HLDGS CORP 135,596 -188,543 $980
     VG135,596-188,543$980
TRAVELERS COMPANIES INC 9,843 -18,501 $978
     TRV9,843-18,501$978
ULTA BEAUTY INC 5,556 -15,515 $976
     ULTA5,556-15,515$976
MANTECH INTL CORP 13,400 +9,596 $974
     MANT13,400+9,596$974
VISTEON CORP 20,245 -14,687 $971
     VC20,245-14,687$971
GENERAL MTRS CO 46,695 -5,633 $970
     GM46,695-5,633$970
RITCHIE BROS AUCTIONEERS 28,377 -14,414 $970
     RBA28,377-14,414$970
WEST PHARMACEUTICAL SVSC INC 6,366 +5,544 $969
     WST6,366+5,544$969
EXLSERVICE HOLDINGS INC 18,607 -1,678 $968
     EXLS18,607-1,678$968
WINTRUST FINL CORP 29,430 -27,492 $967
     WTFC29,430-27,492$967
MERCURY GENL CORP NEW 23,702 +19,122 $965
     MCY23,702+19,122$965
PENUMBRA INC 5,979 -25,252 $965
     PEN5,979-25,252$965
BANCO BRADESCO S A 237,196 +225,898 $963
     BBD237,196+225,898$963
TRIP COM GROUP LTD 41,065 +28,812 $963
     TCOM41,065+28,812$963
ACCELERON PHARMA INC 10,715 -27,828 $963
     XLRN10,715-27,828$963
SYNOPSYS INC 7,446 -17,177 $959
     SNPS7,446-17,177$959
THOR INDS INC 22,637 -13,102 $955
     THO22,637-13,102$955
SENSIENT TECHNOLOGIES CORP 21,892 +21,590 $953
     SXT21,892+21,590$953
PACKAGING CORP AMER 10,959 -7,461 $952
     PKG10,959-7,461$952
QUALYS INC 10,948 -11,544 $952
     QLYS10,948-11,544$952
ULTRA CLEAN HLDGS INC 68,889 -39,743 $951
     UCTT68,889-39,743$951
U S CONCRETE INC 52,448 +52,448 $951
     USCR52,448+52,448$951
MSC INDL DIRECT INC 17,284 +12,076 $950
     MSM17,284+12,076$950
BJS RESTAURANTS INC 68,345 +33,047 $949
     BJRI68,345+33,047$949
GLOBAL BLOOD THERAPEUTICS IN 18,581 -4,668 $949
     GBT18,581-4,668$949
BLUEPRINT MEDICINES CORP 16,150 +3,602 $944
     BPMC16,150+3,602$944
INSMED INC 58,596 +53,448 $939
     INSM58,596+53,448$939
WORLD WRESTLING ENTMT INC 27,610 -30,515 $937
     WWE27,610-30,515$937
EQUITY RESIDENTIAL 15,120 -46,041 $933
     EQR15,120-46,041$933
NATIONAL RETAIL PROPERTIES I 28,964 +7,129 $932
     NNN28,964+7,129$932
FIRSTCASH INC 12,952 -28,368 $929
     FCFS12,952-28,368$929
CREE INC 26,161 -72,644 $928
     CREE26,161-72,644$928
HEALTHEQUITY INC 18,342 +5,377 $928
     HQY18,342+5,377$928
MOMO INC 42,796 -84,290 $928
     MOMO42,796-84,290$928
VIAVI SOLUTIONS INC 82,773 -100,587 $928
     VIAV82,773-100,587$928
GOLUB CAP BDC INC 73,809 +56,815 $927
     GBDC73,809+56,815$927
ESSENTIAL PPTYS RLTY TR INC 70,751 -28,302 $924
     EPRT70,751-28,302$924
HUNT J B TRANS SVCS INC 10,013 -4,404 $923
     JBHT10,013-4,404$923
GLU MOBILE INC 146,546 +8,900 $922
     GLUU146,546+8,900$922
ARCHER DANIELS MIDLAND CO 26,180 -12,420 $921
     ADM26,180-12,420$921
ALIBABA GROUP HLDG LTD 4,730 -15,311 $920
     BABA4,730-15,311$920
EATON VANCE CORP 28,392 -83,240 $916
     EV28,392-83,240$916
RENAISSANCERE HOLDINGS LTD 6,134 -266 $916
     RNR6,134-266$916
ROBERT HALF INTL INC 24,190 +5,161 $913
     RHI24,190+5,161$913
AMEREN CORP 12,529 +176 $912
     AEE12,529+176$912
CYBERARK SOFTWARE LTD 10,663 +6,563 $912
     CYBR10,663+6,563$912
US ECOLOGY INC 29,945 +19,710 $910
     ECOL29,945+19,710$910
DILLARDS INC 24,564 -18,007 $908
     DDS24,564-18,007$908
PETROLEO BRASILEIRO SA PETRO      $903
     PBR137,988+85,816$759
     PBR.A26,797-76,451$144
ARCONIC INC 55,984 +21,801 $899
     ARNC55,984+21,801$899
FEDEX CORP 7,410 -89,568 $899
     FDX7,410-89,568$899
GRAPHIC PACKAGING HLDG CO 73,484 -134,433 $897
     GPK73,484-134,433$897
MUELLER WTR PRODS INC 111,854 +27,842 $896
     MWA111,854+27,842$896
AERCAP HOLDINGS NV 39,264 -33,381 $895
     AER39,264-33,381$895
AIMMUNE THERAPEUTICS INC 62,089 +62,089 $895
     AIMT62,089+62,089$895
DYCOM INDS INC 34,821 +34,821 $893
     DY34,821+34,821$893
WYNDHAM HOTELS & RESORTS INC 28,300 +8,066 $892
     WH28,300+8,066$892
MURPHY USA INC 10,567 -20,041 $891
     MUSA10,567-20,041$891
TE CONNECTIVITY LTD 14,143 -37,203 $891
     TEL14,143-37,203$891
FERRARI N V 5,819 -17,319 $888
     RACE5,819-17,319$888
PENNYMAC MTG INVT TR 83,010 +18,672 $882
     PMT83,010+18,672$882
SERVICE PPTYS TR 163,328 +88,615 $882
     SVC163,328+88,615$882
ROYAL DUTCH SHELL PLC      $881
     RDS.A17,038-41,685$594
     RDS.B8,791-19,503$287
ZTO EXPRESS CAYMAN INC 33,248 +33,248 $880
     ZTO33,248+33,248$880
CIENA CORP 22,071 -388,805 $879
     CIEN22,071-388,805$879
PINNACLE FINL PARTNERS INC 23,350 +23,350 $877
     PNFP23,350+23,350$877
TTEC HLDGS INC 23,886 -2,771 $877
     TTEC23,886-2,771$877
WABTEC 18,206 -45,122 $876
     WAB18,206-45,122$876
HIBBETT SPORTS INC 79,901 -209 $874
     HIBB79,901-209$874
INTERNATIONAL BANCSHARES COR (IBOC) 32,521 +8,581 $874
     IBOC32,521+8,581$874
NOMAD FOODS LTD 47,099 +44,034 $874
     NOMD47,099+44,034$874
BRINKER INTL INC 72,574 +19,205 $872
     EAT72,574+19,205$872
GENERAL MLS INC 16,497 -151,285 $871
     GIS16,497-151,285$871
NETSCOUT SYS INC 36,806 +9,484 $871
     NTCT36,806+9,484$871
NEENAH INC 20,107 +3,112 $867
     NP20,107+3,112$867
AKAMAI TECHNOLOGIES INC 9,459 +5,934 $865
     AKAM9,459+5,934$865
BARRICK GOLD CORPORATION 47,240 -146,339 $865
     GOLD47,240-146,339$865
UNIVERSAL DISPLAY CORP 6,567 -30,012 $865
     OLED6,567-30,012$865
AVALONBAY CMNTYS INC 5,854 -9,414 $862
     AVB5,854-9,414$862
SINCLAIR BROADCAST GROUP INC 53,621 +193 $862
     SBGI53,621+193$862
SANDSTORM GOLD LTD 171,966 +108,265 $861
     SAND171,966+108,265$861
BRP INC 52,562 +19,501 $857
     DOOO52,562+19,501$857
NISOURCE INC 34,328 -219,935 $857
     NI34,328-219,935$857
EHEALTH INC 6,081 +5,842 $856
     EHTH6,081+5,842$856
MURPHY OIL CORP 139,644 +50,193 $856
     MUR139,644+50,193$856
SONIC AUTOMOTIVE INC 64,485 +3,951 $856
     SAH64,485+3,951$856
VIAD CORP 40,201 +31,958 $853
     VVI40,201+31,958$853
NUTRIEN LTD 25,094 -41,850 $852
     NTR25,094-41,850$852
VERINT SYS INC 19,825 +19,825 $852
     VRNT19,825+19,825$852
WORLD FUEL SVCS CORP 33,767 -17,558 $850
     INT33,767-17,558$850
PREMIER INC 25,974 -39,932 $850
     PINC25,974-39,932$850
MOOG INC      $847
     MOG.A16,759+9,473$847
AGILENT TECHNOLOGIES INC 11,780 +9,080 $844
     A11,780+9,080$844
HEALTHCARE TR AMER INC 34,721 +30,803 $843
     HTA34,721+30,803$843
KAR AUCTION SVCS INC 70,255 -21,260 $843
     KAR70,255-21,260$843
MOLINA HEALTHCARE INC 6,033 -5,577 $843
     MOH6,033-5,577$843
GAP INC 119,451 +47,342 $841
     GPS119,451+47,342$841
ATKORE INTL GROUP INC 39,819 -39,783 $839
     ATKR39,819-39,783$839
CENOVUS ENERGY INC 416,544 +122,178 $839
     CVE416,544+122,178$839
DIAGEO P L C 6,600 -2,813 $839
     DEO6,600-2,813$839
COLFAX CORP 42,283 +11,680 $837
     CFX42,283+11,680$837
EDISON INTL 15,247 +10,536 $835
     EIX15,247+10,536$835
FIRST BANCORP P R 156,957 -22,130 $835
     FBP156,957-22,130$835
FORTY SEVEN INC 8,749 +8,749 $835
     FTSV8,749+8,749$835
GMS INC 53,108 -27,238 $835
     GMS53,108-27,238$835
BILL COM HLDGS INC 24,378 +19,090 $834
     BILL24,378+19,090$834
ESPERION THERAPEUTICS INC NE 26,435 -13,389 $833
     ESPR26,435-13,389$833
BOSTON PROPERTIES INC 9,017 -17,549 $832
     BXP9,017-17,549$832
GENESCO INC 62,339 +739 $832
     GCO62,339+739$832
PALO ALTO NETWORKS INC 5,074 +11 $832
     PANW5,074+11$832
TECHNIPFMC PLC 123,248 -203,734 $831
     FTI123,248-203,734$831
OVINTIV INC 301,088 +301,088 $823
     OVV301,088+301,088$823
PJT PARTNERS INC 18,977 +18,977 $823
     PJT18,977+18,977$823
CASEYS GEN STORES INC 6,206 +5,593 $822
     CASY6,206+5,593$822
MONGODB INC 6,021 -28,254 $822
     MDB6,021-28,254$822
BRUNSWICK CORP 23,207 -151,121 $821
     BC23,207-151,121$821
FOX FACTORY HLDG CORP 19,549 +10,950 $821
     FOXF19,549+10,950$821
ALTRA INDL MOTION CORP 46,908 +9,736 $820
     AIMC46,908+9,736$820
DHT HOLDINGS INC 106,831 -142,739 $819
     DHT106,831-142,739$819
GEO GROUP INC NEW 67,379 -164,053 $819
     GEO67,379-164,053$819
CNO FINL GROUP INC 65,933 -188,859 $817
     CNO65,933-188,859$817
WOLVERINE WORLD WIDE INC 53,751 +8,794 $817
     WWW53,751+8,794$817
CHIMERA INVT CORP 89,587 +83,533 $815
     CIM89,587+83,533$815
HYATT HOTELS CORP 17,007 +8,520 $815
     H17,007+8,520$815
BAXTER INTL INC 10,027 -15,962 $814
     BAX10,027-15,962$814
UNITED BANKSHARES INC WEST V (UBSI) 35,265 +11,329 $814
     UBSI35,265+11,329$814
ACADIA RLTY TR 65,348 +33,476 $810
     AKR65,348+33,476$810
INCYTE CORP 11,066 -141,002 $810
     INCY11,066-141,002$810
EQUITRANS MIDSTREAM CORP 160,247 +126,098 $806
     ETRN160,247+126,098$806
SPARTANNASH CO 56,005 +36,975 $802
     SPTN56,005+36,975$802
TELEFLEX INCORPORATED 2,724 -281 $798
     TFX2,724-281$798
TRADEWEB MKTS INC 18,959 +9,385 $797
     TW18,959+9,385$797
ICON PLC 5,844 +4,623 $795
     ICLR5,844+4,623$795
GSX TECHEDU INC 18,744 -15,030 $794
     GSX18,744-15,030$794
MEREDITH CORP 64,886 +64,886 $793
     MDP64,886+64,886$793
COVETRUS INC 97,091 -47,071 $790
     CVET97,091-47,071$790
PLANTRONICS INC NEW 78,521 +78,521 $790
     PLT78,521+78,521$790
RPM INTL INC 13,284 -4,097 $790
     RPM13,284-4,097$790
LAUDER ESTEE COS INC 4,938 +217 $787
     EL4,938+217$787
BRITISH AMERN TOB PLC 22,997 -10,541 $786
     BTI22,997-10,541$786
PRIMO WATER CORPORATION 86,786 +86,786 $786
     PRMW86,786+86,786$786
WASHINGTON PRIME GROUP NEW 976,369 +899,360 $786
     WPG976,369+899,360$786
MACYS INC 159,920 -701,132 $785
     M159,920-701,132$785
STEEL DYNAMICS INC 34,779 -170,231 $784
     STLD34,779-170,231$784
AEROJET ROCKETDYNE HLDGS INC 18,725 +16,528 $783
     AJRD18,725+16,528$783
STARWOOD PPTY TR INC 76,424 +66,765 $783
     STWD76,424+66,765$783
SENSATA TECHNOLOGIES HLDNG P 26,919 +16,090 $779
     ST26,919+16,090$779
F M C CORP 9,481 -8,258 $775
     FMC9,481-8,258$775
STERICYCLE INC 15,875 +10,129 $771
     SRCL15,875+10,129$771
MARVELL TECHNOLOGY GROUP LTD 34,015 +17,697 $770
     MRVL34,015+17,697$770
RLI CORP 8,758 -32,628 $770
     RLI8,758-32,628$770
NEW JERSEY RES 22,592 -17,913 $767
     NJR22,592-17,913$767
PACIFIC PREMIER BANCORP 40,634 +12,225 $766
     PPBI40,634+12,225$766
BERKSHIRE HILLS BANCORP INC 51,435 +40,457 $764
     BHLB51,435+40,457$764
COMPANHIA PARANAENSE ENERG C 73,217 +23,535 $762
     ELP73,217+23,535$762
CULLEN FROST BANKERS INC 13,624 +12,165 $760
     CFR13,624+12,165$760
SS&C TECHNOLOGIES HLDGS INC 17,344 -65,603 $760
     SSNC17,344-65,603$760
VIRTUS INVT PARTNERS INC 9,992 +5,871 $760
     VRTS9,992+5,871$760
TANDEM DIABETES CARE INC 11,801 +4,050 $759
     TNDM11,801+4,050$759
TRI POINTE GROUP INC 86,518 -41,886 $759
     TPH86,518-41,886$759
O I GLASS INC 106,427 -89,828 $757
     OI106,427-89,828$757
HUBBELL INC 6,576 -12,591 $755
     HUBB6,576-12,591$755
PRESTIGE CONSMR HEALTHCARE I 20,583 +6,081 $755
     PBH20,583+6,081$755
MASONITE INTL CORP NEW 15,891 +12,601 $754
     DOOR15,891+12,601$754
DECIPHERA PHARMACEUTICALS IN 18,246 -62,705 $751
     DCPH18,246-62,705$751
IAMGOLD CORP 330,435 +286,619 $751
     IAG330,435+286,619$751
VISTRA ENERGY CORP 47,021 -342,397 $750
     VST47,021-342,397$750
DICKS SPORTING GOODS INC 35,246 -234,234 $749
     DKS35,246-234,234$749
ARGENX SE 5,677 +2,464 $748
     ARGX5,677+2,464$748
NATIONAL GEN HLDGS CORP 45,223 +20,815 $748
     NGHC45,223+20,815$748
MOELIS & CO 26,592 +26,592 $747
     MC26,592+26,592$747
MONMOUTH REAL ESTATE INVT CO 61,948 -1,061 $746
     MNR61,948-1,061$746
THE REALREAL INC 106,109 +106,109 $744
     REAL106,109+106,109$744
AVAYA HLDGS CORP 91,795 -198,070 $743
     AVYA91,795-198,070$743
SKYLINE CHAMPION CORPORATION 47,259 +40,013 $741
     SKY47,259+40,013$741
TECK RESOURCES LTD 97,857 -80,218 $741
     TECK97,857-80,218$741
UPWORK INC 114,883 +72,759 $741
     UPWK114,883+72,759$741
MOMENTA PHARMACEUTICALS INC 27,206 -40,019 $740
     MNTA27,206-40,019$740
SPOTIFY TECHNOLOGY S A 6,094 -5,899 $740
     SPOT6,094-5,899$740
NORWEGIAN CRUISE LINE HLDG L 67,422 +18,718 $739
     NCLH67,422+18,718$739
CABOT CORP 28,260 -15,663 $738
     CBT28,260-15,663$738
MEDNAX INC 63,388 -144,723 $738
     MD63,388-144,723$738
TETRA TECH INC NEW 10,450 -8,742 $738
     TTEK10,450-8,742$738
WATTS WATER TECHNOLOGIES INC 8,666 +621 $734
     WTS8,666+621$734
ORION ENGINEERED CARBONS S A 98,296 +83,967 $733
     OEC98,296+83,967$733
DOMO INC 73,612 +73,612 $732
     DOMO73,612+73,612$732
TORONTO DOMINION BK ONT 17,197 +17,197 $730
     TD17,197+17,197$730
CANADIAN IMP BK COMM 12,535 +7,035 $729
     CM12,535+7,035$729
CENTRAL PAC FINL CORP 45,739 +26,791 $727
     CPF45,739+26,791$727
M I HOMES INC 43,896 -40,267 $726
     MHO43,896-40,267$726
PERRIGO CO PLC 15,102 -52,296 $726
     PRGO15,102-52,296$726
HUNTINGTON BANCSHARES INC (HBAN) 87,994 -232,492 $722
     HBAN87,994-232,492$722
DIAMONDBACK ENERGY INC 27,521 -60,379 $721
     FANG27,521-60,379$721
DARLING INGREDIENTS INC 37,506 +32,797 $719
     DAR37,506+32,797$719
GALAPAGOS NV 3,637 -2,008 $713
     GLPG3,637-2,008$713
NEWS CORP NEW 79,422 +79,422 $713
     NWSA79,422+79,422$713
CARS COM INC 165,682 +76,810 $712
     CARS165,682+76,810$712
PUMA BIOTECHNOLOGY INC 84,209 +7,199 $711
     PBYI84,209+7,199$711
VICI PPTYS INC 42,479 -13,208 $707
     VICI42,479-13,208$707
SANFILIPPO JOHN B & SON INC 7,884 -489 $705
     JBSS7,884-489$705
METTLER TOLEDO INTERNATIONAL 1,020 +929 $704
     MTD1,020+929$704
CONCHO RES INC 16,389 +2,789 $702
     CXO16,389+2,789$702
APELLIS PHARMACEUTICALS INC 26,124 -22,205 $700
     APLS26,124-22,205$700
BLOOM ENERGY CORP 133,814 +19,538 $700
     BE133,814+19,538$700
CARLISLE COS INC 5,584 +3,422 $700
     CSL5,584+3,422$700
ICHOR HOLDINGS 36,443 +2,936 $698
     ICHR36,443+2,936$698
KONINKLIJKE PHILIPS N V 17,368 +17,368 $697
     PHG17,368+17,368$697
SLM CORP 96,949 -259,649 $697
     SLM96,949-259,649$697
EXPONENT INC 9,671 -4,712 $695
     EXPO9,671-4,712$695
LENDINGTREE INC NEW 3,790 -5,915 $695
     TREE3,790-5,915$695
ACUSHNET HOLDINGS CORP 26,946 +26,946 $693
     GOLF26,946+26,946$693
ZSCALER INC 11,389 -40,649 $693
     ZS11,389-40,649$693
FLEXION THERAPEUTICS INC 87,875 -24,862 $692
     FLXN87,875-24,862$692
UNITED CMNTY BKS BLAIRSVLE G 37,814 +26,511 $692
     UCBI37,814+26,511$692
CADENCE BANCORPORATION 105,491 -46,818 $691
     CADE105,491-46,818$691
WYNDHAM DESTINATIONS INC 31,749 +5,398 $689
     WYND31,749+5,398$689
NOW INC 133,237 +33,692 $688
     DNOW133,237+33,692$688
INGERSOLL RAND INC 27,757 -76,801 $688
     IR27,757-76,801$688
LANCASTER COLONY CORP 4,746 +2,956 $686
     LANC4,746+2,956$686
MASIMO CORP 3,875 -409 $686
     MASI3,875-409$686
NORTONLIFELOCK INC 36,601 -280,862 $685
     NLOK36,601-280,862$685
ONESPAWORLD HOLDINGS LIMITED 168,366 +168,366 $684
     OSW168,366+168,366$684
GIBRALTAR INDS INC 15,940 -15,956 $684
     ROCK15,940-15,956$684
INNOVIVA INC 58,010 +58,010 $682
     INVA58,010+58,010$682
AMERICOLD RLTY TR 20,000 -107,800 $681
     COLD20,000-107,800$681
LIBERTY LATIN AMERICA LTD 66,247 +55,650 $680
     LILAK66,247+55,650$680
GDS HLDGS LTD 11,720 +11,020 $679
     GDS11,720+11,020$679
EQUITY LIFESTYLE PPTYS INC 11,798 -70,868 $678
     ELS11,798-70,868$678
SALLY BEAUTY HLDGS INC 83,915 -54,974 $678
     SBH83,915-54,974$678
INSPIRE MED SYS INC 11,210 -2,106 $676
     INSP11,210-2,106$676
KORN FERRY 27,748 +16,468 $675
     KFY27,748+16,468$675
TABULA RASA HEALTHCARE INC 12,901 +9,590 $675
     TRHC12,901+9,590$675
AEROVIRONMENT INC 11,044 -2,262 $673
     AVAV11,044-2,262$673
INTERDIGITAL INC 15,072 -24,733 $673
     IDCC15,072-24,733$673
APPLE HOSPITALITY REIT INC 73,273 +30,358 $672
     APLE73,273+30,358$672
AMERICAN EQTY INVT LIFE HLD 35,715 +33,203 $671
     AEL35,715+33,203$671
GALLAGHER ARTHUR J & CO 8,214 -47,036 $670
     AJG8,214-47,036$670
ADIENT PLC 73,613 +66,571 $668
     ADNT73,613+66,571$668
UDR INC 18,258 -89,644 $667
     UDR18,258-89,644$667
ARTISAN PARTNERS ASSET MGMT 30,882 -40,659 $664
     APAM30,882-40,659$664
PENN NATL GAMING INC 52,482 -11,320 $664
     PENN52,482-11,320$664
HOULIHAN LOKEY INC 12,673 +8,387 $661
     HLI12,673+8,387$661
AMBARELLA INC 13,600 -11,289 $660
     AMBA13,600-11,289$660
ENCORE CAP GROUP INC 28,213 -36,718 $660
     ECPG28,213-36,718$660
PETMED EXPRESS INC 22,926 -17,227 $660
     PETS22,926-17,227$660
REALOGY HLDGS CORP 218,130 +190,313 $657
     RLGY218,130+190,313$657
BORGWARNER INC 26,936 +5,904 $656
     BWA26,936+5,904$656
ADAPTIVE BIOTECHNOLOGIES COR 23,562 +23,562 $655
     ADPT23,562+23,562$655
METLIFE INC 21,432 -299,121 $655
     MET21,432-299,121$655
FAIR ISAAC CORP 2,120 +624 $652
     FICO2,120+624$652
EBIX INC 42,915 +34,131 $651
     EBIX42,915+34,131$651
BLACKSTONE MTG TR INC 34,874 +20,391 $649
     BXMT34,874+20,391$649
CARNIVAL PLC 54,362 +54,362 $649
     CUK54,362+54,362$649
AMERICAN AIRLS GROUP INC 53,167 -326,719 $648
     AAL53,167-326,719$648
ANSYS INC 2,782 +2,782 $647
     ANSS2,782+2,782$647
MERCURY SYS INC 9,071 -545 $647
     MRCY9,071-545$647
ELDORADO RESORTS INC 44,878 +3,635 $646
     ERI44,878+3,635$646
AVANOS MED INC 23,943 -17,217 $645
     AVNS23,943-17,217$645
NEXTGEN HEALTHCARE INC 61,569 +42,267 $643
     NXGN61,569+42,267$643
EQUIFAX INC 5,377 -7,448 $642
     EFX5,377-7,448$642
ZUMIEZ INC 37,060 -18,807 $642
     ZUMZ37,060-18,807$642
EVENTBRITE INC 87,694 +7,571 $640
     EB87,694+7,571$640
M & T BK CORP 6,189 +6,189 $640
     MTB6,189+6,189$640
PTC INC 10,455 -31,476 $640
     PTC10,455-31,476$640
TD AMERITRADE HLDG CORP 18,429 -150,247 $639
     AMTD18,429-150,247$639
KLA CORPORATION 4,445 -12,786 $639
     KLAC4,445-12,786$639
CHURCHILL DOWNS INC 6,183 -10,817 $637
     CHDN6,183-10,817$637
COTY INC 122,668 -179,017 $633
     COTY122,668-179,017$633
MATERION CORP 18,066 +8,833 $632
     MTRN18,066+8,833$632
BOYD GAMING CORP 43,590 +370 $629
     BYD43,590+370$629
FORTIVE CORP 11,392 -5,101 $629
     FTV11,392-5,101$629
BUILDERS FIRSTSOURCE INC 51,245 +13,551 $627
     BLDR51,245+13,551$627
URBAN EDGE PPTYS 70,982 -74,544 $625
     UE70,982-74,544$625
DISCOVERY INC 32,062 +5,694 $623
     DISCA32,062+5,694$623
PAYLOCITY HLDG CORP 7,037 +5,635 $622
     PCTY7,037+5,635$622
KEARNY FINL CORP MD 72,161 +61,118 $620
     KRNY72,161+61,118$620
FIVERR INTL LTD 24,571 +24,571 $618
     FVRR24,571+24,571$618
ORTHOFIX MED INC 22,062 +13,587 $618
     OFIX22,062+13,587$618
NEKTAR THERAPEUTICS 34,517 -11,098 $616
     NKTR34,517-11,098$616
ALLSCRIPTS HEALTHCARE SOLUTN 87,424 -73,477 $615
     MDRX87,424-73,477$615
CHANGE HEALTHCARE INC 61,161 +61,161 $611
     CHNGV61,161+61,161$611
HASBRO INC 8,522 -9,043 $610
     HAS8,522-9,043$610
INVESCO MORTGAGE CAPITAL INC 178,685 +120,629 $609
     IVR178,685+120,629$609
CANNAE HLDGS INC 18,158 -15,906 $608
     CNNE18,158-15,906$608
SUNCOR ENERGY INC NEW 38,187 -198,311 $608
     SU38,187-198,311$608
OWENS CORNING NEW 15,629 -60,057 $607
     OC15,629-60,057$607
SCHNEIDER NATIONAL INC 31,364 -2,619 $607
     SNDR31,364-2,619$607
CHEMED CORP NEW 1,400 -553 $606
     CHE1,400-553$606
UNION PAC CORP 4,295 -12,909 $606
     UNP4,295-12,909$606
VAPOTHERM INC 32,200 +32,200 $606
     VAPO32,200+32,200$606
ANIKA THERAPEUTICS INC 20,935 -169 $605
     ANIK20,935-169$605
KNOWLES CORP 44,897 -53,936 $601
     KN44,897-53,936$601
ANTERO MIDSTREAM CORP 285,086 +117,386 $599
     AM285,086+117,386$599
CAMDEN PPTY TR 7,563 -90,863 $599
     CPT7,563-90,863$599
PPD INC 33,592 +33,592 $598
     PPD33,592+33,592$598
BLUCORA INC 49,509 +36,861 $597
     BCOR49,509+36,861$597
FOUR CORNERS PPTY TR INC 31,888 -15,823 $597
     FCPT31,888-15,823$597
UMB FINL CORP 12,868 -4,026 $597
     UMBF12,868-4,026$597
NXP SEMICONDUCTORS N V 7,185 -13,732 $596
     NXPI7,185-13,732$596
WHIRLPOOL CORP 6,950 -10,544 $596
     WHR6,950-10,544$596
ALASKA AIR GROUP INC 20,907 +5,276 $595
     ALK20,907+5,276$595
AGILYSYS INC 35,453 +20,014 $592
     AGYS35,453+20,014$592
H & E EQUIPMENT SERVICES INC 40,308 +23,631 $592
     HEES40,308+23,631$592
CORE MARK HOLDING CO INC 20,678 -9,598 $591
     CORE20,678-9,598$591
FRESHPET INC 9,257 -30,954 $591
     FRPT9,257-30,954$591
BARCLAYS PLC 130,224 +86,518 $590
     BCS130,224+86,518$590
CALLAWAY GOLF CO 57,580 +31,242 $588
     ELY57,580+31,242$588
DOLBY LABORATORIES INC 10,832 -78,698 $587
     DLB10,832-78,698$587
EMPLOYERS HOLDINGS INC 14,428 +5,646 $584
     EIG14,428+5,646$584
MKS INSTRS INC 7,154 -22,205 $583
     MKSI7,154-22,205$583
MADDEN STEVEN LTD 25,079 -4,010 $583
     SHOO25,079-4,010$583
TCF FINANCIAL CORPORATION NE 25,709 +18,547 $583
     TCF25,709+18,547$583
AZUL S A 56,984 +56,984 $581
     AZUL56,984+56,984$581
ANGI HOMESERVICES INC 110,543 +60,021 $580
     ANGI110,543+60,021$580
KRATON CORPORATION 71,551 +71,551 $580
     KRA71,551+71,551$580
HESS CORP 17,390 -2,598 $579
     HES17,390-2,598$579
MEDPACE HLDGS INC 7,886 -955 $579
     MEDP7,886-955$579
MYOKARDIA INC 12,357 +1,759 $579
     MYOK12,357+1,759$579
ALLSTATE CORP 6,300 -16,903 $578
     ALL6,300-16,903$578
YANDEX N V 16,954 -93,469 $577
     YNDX16,954-93,469$577
CRISPR THERAPEUTICS AG 13,570 -33,570 $576
     CRSP13,570-33,570$576
SUNNOVA ENERGY INTL INC 57,176 +57,176 $576
     NOVA57,176+57,176$576
WORTHINGTON INDS INC 21,904 -45,459 $575
     WOR21,904-45,459$575
LANTHEUS HLDGS INC 44,933 +29,334 $573
     LNTH44,933+29,334$573
VALLEY NATL BANCORP 78,272 -67,157 $572
     VLY78,272-67,157$572
MOBILE TELESYSTEMS PJSC 75,137 -191,439 $571
     MBT75,137-191,439$571
VENTAS INC 21,299 -183,211 $571
     VTR21,299-183,211$571
LOUISIANA PAC CORP 33,192 -22,405 $570
     LPX33,192-22,405$570
WATERS CORP 3,131 +1,559 $570
     WAT3,131+1,559$570
ARBOR RLTY TR INC 115,894 +33,314 $568
     ABR115,894+33,314$568
MTS SYS CORP 25,252 +25,252 $568
     MTSC25,252+25,252$568
ENSIGN GROUP INC 15,044 -9,240 $566
     ENSG15,044-9,240$566
MGM GROWTH PPTYS LLC 23,800 -5,811 $563
     MGP23,800-5,811$563
AAR CORP 31,612 +1,741 $561
     AIR31,612+1,741$561
APPFOLIO INC 5,059 +5,059 $561
     APPF5,059+5,059$561
ERIE INDTY CO 3,787 -3,976 $561
     ERIE3,787-3,976$561
FORMFACTOR INC 27,862 +27,862 $560
     FORM27,862+27,862$560
SFL CORPORATION LTD 59,128 +33,328 $560
     SFL59,128+33,328$560
ELEMENT SOLUTIONS INC 66,866 -17,272 $559
     ESI66,866-17,272$559
PEGASYSTEMS INC 7,853 +7,853 $559
     PEGA7,853+7,853$559
EVERBRIDGE INC 5,247 +5,247 $558
     EVBG5,247+5,247$558
AAON INC 11,536 +1,545 $557
     AAON11,536+1,545$557
AMERICAN FINL GROUP INC OHIO 7,937 -4,231 $556
     AFG7,937-4,231$556
PRA HEALTH SCIENCES INC 6,685 -41,771 $555
     PRAH6,685-41,771$555
CARDIOVASCULAR SYS INC DEL 15,740 -213 $554
     CSII15,740-213$554
PLAINS GP HLDGS L P 98,674 +4,330 $554
     PAGP98,674+4,330$554
BANCO SANTANDER BRASIL S A 107,053 +85,868 $553
     BSBR107,053+85,868$553
EPIZYME INC 35,652 +1,623 $553
     EPZM35,652+1,623$553
LIBERTY MEDIA CORP DEL 20,281 +11,081 $552
     FWONK20,281+11,081$552
TENNECO INC 152,996 +114,676 $551
     TEN152,996+114,676$551
AXONICS MODULATION TECHNOLOG 21,663 -19,037 $550
     AXNX21,663-19,037$550
DUCOMMUN INC DEL 22,145 +7,728 $550
     DCO22,145+7,728$550
FRESENIUS MED CARE AG&CO KGA 16,754 +7,562 $550
     FMS16,754+7,562$550
PENNYMAC FINL SVCS INC 24,844 +15,344 $549
     PFSI24,844+15,344$549
INSTALLED BLDG PRODS INC 13,741 -24,969 $548
     IBP13,741-24,969$548
CANON INC 25,291 +8,382 $547
     CAJ25,291+8,382$547
SOLAR CAP LTD 47,013 +37,167 $547
     SLRC47,013+37,167$547
ARES MANAGEMENT CORPORATION 17,621 +17,621 $545
     ARES17,621+17,621$545
BOX INC 38,807 -26,740 $545
     BOX38,807-26,740$545
MOBILE MINI INC 20,688 -15,942 $543
     MINI20,688-15,942$543
NATIONAL BK HLDGS CORP 22,705 +8,677 $543
     NBHC22,705+8,677$543
TFS FINL CORP 35,535 +32,259 $543
     TFSL35,535+32,259$543
TRINET GROUP INC 14,404 -25,614 $542
     TNET14,404-25,614$542
ASSURANT INC 5,200 +1,165 $541
     AIZ5,200+1,165$541
MOHAWK INDS INC 7,092 -14,172 $541
     MHK7,092-14,172$541
ARMOUR RESIDENTIAL REIT INC 61,271 +61,271 $540
     ARR61,271+61,271$540
REPAY HLDGS CORP 37,453 +34,953 $537
     RPAY37,453+34,953$537
SONOCO PRODS CO 11,566 -21,364 $536
     SON11,566-21,364$536
SPS COMMERCE INC 11,514 -23,009 $536
     SPSC11,514-23,009$536
WABASH NATL CORP 74,290 +51,721 $536
     WNC74,290+51,721$536
AKEBIA THERAPEUTICS INC 70,606 +18,771 $535
     AKBA70,606+18,771$535
CURO GROUP HLDGS CORP 100,150 +55,878 $531
     CURO100,150+55,878$531
SONOS INC 62,582 -14,892 $531
     SONO62,582-14,892$531
RYDER SYS INC 20,039 -21,003 $530
     R20,039-21,003$530
SERVISFIRST BANCSHARES INC (SFBS) 18,081 +8,261 $530
     SFBS18,081+8,261$530
VERTEX PHARMACEUTICALS INC 2,227 -69,391 $530
     VRTX2,227-69,391$530
LAS VEGAS SANDS CORP 12,454 -6,318 $529
     LVS12,454-6,318$529
R1 RCM INC 57,769 +7,032 $525
     RCM57,769+7,032$525
ATLANTICA YIELD PLC 23,479 -25,579 $524
     AY23,479-25,579$524
KIMCO RLTY CORP 54,176 -12,349 $524
     KIM54,176-12,349$524
CIMAREX ENERGY CO 31,128 -37,808 $524
     XEC31,128-37,808$524
TELEFONICA BRASIL SA 54,863 +53,763 $523
     VIV54,863+53,763$523
ANAPTYSBIO INC 36,960 -1,029 $522
     ANAB36,960-1,029$522
PHREESIA INC 24,800 +24,800 $522
     PHR24,800+24,800$522
ARROWHEAD PHARMACEUTICALS IN 18,118 -23,731 $521
     ARWR18,118-23,731$521
DIODES INC 12,791 +9,359 $520
     DIOD12,791+9,359$520
ESSENTIAL UTILS INC 12,774 +12,774 $520
     WTRG12,774+12,774$520
DAQO NEW ENERGY CORP 8,962 +8,962 $519
     DQ8,962+8,962$519
LYFT INC 19,312 -14,143 $519
     LYFT19,312-14,143$519
MAGELLAN HEALTH INC 10,789 +3,124 $519
     MGLN10,789+3,124$519
BIO TECHNE CORP 2,739 +1,528 $519
     TECH2,739+1,528$519
REDWOOD TR INC 102,351 +69,518 $518
     RWT102,351+69,518$518
AMC NETWORKS INC 21,265 -21,488 $517
     AMCX21,265-21,488$517
QUANTA SVCS INC 16,279 -164,285 $517
     PWR16,279-164,285$517
TYLER TECHNOLOGIES INC 1,742 +1,742 $517
     TYL1,742+1,742$517